Quarterly Report
September 30, 2024
State Street Institutional Investment Trust
State Street Equity 500 Index Fund
State Street Equity 500 Index II Portfolio
State Street Aggregate Bond Index Fund
State Street Aggregate Bond Index Portfolio
State Street Global All Cap Equity ex-U.S. Index Fund
State Street Global All Cap Equity ex-U.S. Index Portfolio
State Street Small/Mid Cap Equity Index Fund
State Street Small/Mid Cap Equity Index Portfolio
State Street Emerging Markets Equity Index Fund
State Street Hedged International Developed Equity Index Fund
State Street Target Retirement Fund
State Street Target Retirement 2020 Fund
State Street Target Retirement 2025 Fund
State Street Target Retirement 2030 Fund
State Street Target Retirement 2035 Fund
State Street Target Retirement 2040 Fund
State Street Target Retirement 2045 Fund
State Street Target Retirement 2050 Fund
State Street Target Retirement 2055 Fund
State Street Target Retirement 2060 Fund
State Street Target Retirement 2065 Fund
The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-800-647-7327 or visiting www.ssga.com. Please read the prospectus carefully before you invest.


TABLE OF CONTENTS (Unaudited)
Schedules of Investments (Unaudited)  

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The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-800-647-7327 or visiting www.ssga.com. Please read the prospectus carefully before you invest.

Table of Contents
STATE STREET EQUITY 500 INDEX II PORTFOLIO
Schedule of Investments
September 30, 2024 (Unaudited)

State Street Equity 500 Index Fund is a feeder fund that invests substantially all of its investable assets in a master fund, the State Street Equity 500 Index II Portfolio. The Schedule of Investments for the State Street Equity 500 Index II Portfolio follows.
Security Description     Shares   Value
COMMON STOCKS — 96.8%          
COMMUNICATION SERVICES — 8.6%      
Alphabet, Inc. Class A

    1,577,040   $261,552,084
Alphabet, Inc. Class C

    1,293,240   216,216,796
AT&T, Inc.

    1,944,940   42,788,680
Charter Communications, Inc. Class A (a)(b)

    26,300   8,523,304
Comcast Corp. Class A

    1,047,666   43,761,009
Electronic Arts, Inc.

    63,079   9,048,052
Fox Corp. Class A

    70,066   2,965,894
Fox Corp. Class B

    29,300   1,136,840
Interpublic Group of Cos., Inc.

    97,166   3,073,361
Live Nation Entertainment, Inc. (a)

    45,600   4,992,744
Match Group, Inc. (a)(b)

    69,700   2,637,448
Meta Platforms, Inc. Class A

    587,893   336,533,469
Netflix, Inc. (a)

    115,504   81,923,522
News Corp. Class A

    99,188   2,641,376
News Corp. Class B (b)

    30,121   841,882
Omnicom Group, Inc. (b)

    49,791   5,147,891
Paramount Global Class B

    196,181   2,083,442
Take-Two Interactive Software, Inc. (a)(b)

    45,000   6,916,950
T-Mobile U.S., Inc.

    133,575   27,564,537
Verizon Communications, Inc.

    1,129,415   50,722,028
Walt Disney Co.

    491,464   47,273,922
Warner Bros Discovery, Inc. (a)

    572,278   4,721,293
          1,163,066,524
CONSUMER DISCRETIONARY — 9.8%      
Airbnb, Inc. Class A (a)

    115,800   14,684,598
Amazon.com, Inc. (a)

    2,512,600   468,172,758
Aptiv PLC (a)

    72,419   5,214,892
AutoZone, Inc. (a)

    4,476   14,099,579
Best Buy Co., Inc.

    51,806   5,351,560
Booking Holdings, Inc.

    8,924   37,588,959
BorgWarner, Inc.

    56,977   2,067,695
Caesars Entertainment, Inc. (a)

    52,500   2,191,350
CarMax, Inc. (a)

    39,903   3,087,694
Carnival Corp. (a)

    259,501   4,795,579
Chipotle Mexican Grill, Inc. (a)

    364,300   20,990,966
Darden Restaurants, Inc.

    34,371   5,641,312
Deckers Outdoor Corp. (a)

    40,200   6,409,890
Domino's Pizza, Inc.

    8,800   3,785,232
DR Horton, Inc.

    79,797   15,222,874
eBay, Inc.

    132,245   8,610,472
Expedia Group, Inc. (a)

    34,034   5,037,713
Security Description     Shares   Value
Ford Motor Co.

    1,054,038   $11,130,641
Garmin Ltd.

    42,940   7,558,728
General Motors Co.

    310,223   13,910,399
Genuine Parts Co.

    35,489   4,957,104
Hasbro, Inc.

    31,697   2,292,327
Hilton Worldwide Holdings, Inc.

    67,800   15,627,900
Home Depot, Inc.

    266,602   108,027,130
Las Vegas Sands Corp.

    95,100   4,787,334
Lennar Corp. Class A

    65,706   12,318,561
LKQ Corp.

    71,700   2,862,264
Lowe's Cos., Inc.

    152,850   41,399,423
Lululemon Athletica, Inc. (a)

    31,900   8,656,065
Marriott International, Inc. Class A

    61,255   15,227,993
McDonald's Corp.

    193,410   58,895,279
MGM Resorts International (a)

    71,300   2,787,117
Mohawk Industries, Inc. (a)

    12,631   2,029,549
NIKE, Inc. Class B

    324,506   28,686,330
Norwegian Cruise Line Holdings Ltd. (a)(b)

    104,900   2,151,499
NVR, Inc. (a)

    860   8,438,148
O'Reilly Automotive, Inc. (a)

    15,780   18,172,248
Pool Corp.

    10,900   4,107,120
PulteGroup, Inc.

    56,762   8,147,050
Ralph Lauren Corp.

    10,479   2,031,564
Ross Stores, Inc.

    92,256   13,885,451
Royal Caribbean Cruises Ltd.

    61,700   10,943,112
Starbucks Corp.

    305,530   29,786,120
Tapestry, Inc.

    56,928   2,674,477
Tesla, Inc. (a)

    747,200   195,489,936
TJX Cos., Inc.

    303,174   35,635,072
Tractor Supply Co.

    27,826   8,095,418
Ulta Beauty, Inc. (a)

    12,500   4,864,000
Wynn Resorts Ltd.

    24,141   2,314,639
Yum! Brands, Inc.

    73,002   10,199,109
          1,321,042,230
CONSUMER STAPLES — 5.7%      
Altria Group, Inc.

    457,229   23,336,968
Archer-Daniels-Midland Co.

    123,332   7,367,854
Brown-Forman Corp. Class B (b)

    46,552   2,290,358
Bunge Global SA

    36,600   3,537,024
Campbell Soup Co.

    46,982   2,298,359
Church & Dwight Co., Inc.

    68,500   7,173,320
Clorox Co.

    33,164   5,402,747
Coca-Cola Co.

    1,037,300   74,540,378
Colgate-Palmolive Co.

    219,423   22,778,302
Conagra Brands, Inc.

    136,624   4,443,012
See accompanying notes to Schedule of Investments.
1

Table of Contents
STATE STREET EQUITY 500 INDEX II PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Constellation Brands, Inc. Class A

    42,050   $10,835,864
Costco Wholesale Corp.

    119,155   105,633,291
Dollar General Corp.

    54,713   4,627,078
Dollar Tree, Inc. (a)

    54,726   3,848,332
Estee Lauder Cos., Inc. Class A

    61,241   6,105,115
General Mills, Inc.

    150,942   11,147,067
Hershey Co.

    41,467   7,952,541
Hormel Foods Corp.

    71,502   2,266,613
J.M. Smucker Co.

    30,405   3,682,046
Kellanova

    72,128   5,821,451
Kenvue, Inc.

    529,102   12,238,129
Keurig Dr. Pepper, Inc.

    287,700   10,782,996
Kimberly-Clark Corp.

    91,127   12,965,550
Kraft Heinz Co.

    235,418   8,265,526
Kroger Co.

    172,542   9,886,657
Lamb Weston Holdings, Inc. (b)

    36,200   2,343,588
McCormick & Co., Inc.

    63,384   5,216,503
Molson Coors Beverage Co. Class B

    47,353   2,723,745
Mondelez International, Inc. Class A

    358,715   26,426,534
Monster Beverage Corp. (a)

    195,270   10,187,236
PepsiCo, Inc.

    368,016   62,581,121
Philip Morris International, Inc.

    421,112   51,122,997
Procter & Gamble Co.

    632,726   109,588,143
Sysco Corp.

    135,074   10,543,876
Target Corp.

    122,672   19,119,658
Tyson Foods, Inc. Class A

    73,144   4,356,457
Walgreens Boots Alliance, Inc. (b)

    190,405   1,706,029
Walmart, Inc.

    1,172,309   94,663,952
          769,806,417
ENERGY — 3.2%      
APA Corp.

    102,155   2,498,711
Baker Hughes Co.

    266,479   9,633,216
Chevron Corp.

    458,310   67,495,314
ConocoPhillips

    311,935   32,840,517
Coterra Energy, Inc.

    184,578   4,420,643
Devon Energy Corp.

    165,073   6,457,656
Diamondback Energy, Inc.

    48,500   8,361,400
EOG Resources, Inc.

    149,671   18,399,056
EQT Corp.

    156,800   5,745,152
Exxon Mobil Corp.

    1,190,552   139,556,505
Halliburton Co.

    250,867   7,287,686
Hess Corp.

    72,457   9,839,661
Kinder Morgan, Inc.

    514,750   11,370,828
Marathon Oil Corp.

    146,988   3,914,290
Marathon Petroleum Corp.

    87,741   14,293,886
Occidental Petroleum Corp.

    183,373   9,451,044
ONEOK, Inc.

    159,396   14,525,757
Phillips 66 Co.

    114,973   15,113,201
Schlumberger NV

    380,550   15,964,073
Targa Resources Corp.

    59,200   8,762,192
Security Description     Shares   Value
Valero Energy Corp.

    88,823   $11,993,770
Williams Cos., Inc.

    321,858   14,692,818
          432,617,376
FINANCIALS — 12.5%      
Aflac, Inc.

    132,206   14,780,631
Allstate Corp.

    70,839   13,434,616
American Express Co.

    151,112   40,981,574
American International Group, Inc.

    168,401   12,332,005
Ameriprise Financial, Inc.

    26,044   12,235,732
Aon PLC Class A

    57,198   19,789,936
Arch Capital Group Ltd. (a)

    103,600   11,590,768
Arthur J Gallagher & Co.

    58,700   16,516,419
Assurant, Inc.

    12,685   2,522,539
Bank of America Corp.

    1,817,905   72,134,470
Bank of New York Mellon Corp.

    193,294   13,890,107
Berkshire Hathaway, Inc. Class B (a)

    491,484   226,210,426
BlackRock, Inc.

    37,516   35,621,817
Blackstone, Inc.

    191,000   29,247,830
Brown & Brown, Inc.

    60,900   6,309,240
Capital One Financial Corp.

    102,095   15,286,684
Cboe Global Markets, Inc.

    29,300   6,002,691
Charles Schwab Corp.

    397,104   25,736,310
Chubb Ltd.

    102,353   29,517,582
Cincinnati Financial Corp.

    42,109   5,731,877
Citigroup, Inc.

    506,427   31,702,330
Citizens Financial Group, Inc.

    118,700   4,875,009
CME Group, Inc.

    95,863   21,152,171
Corpay, Inc. (a)

    19,300   6,036,268
Discover Financial Services

    65,528   9,192,923
Erie Indemnity Co. Class A

    6,700   3,616,794
Everest Group Ltd.

    11,200   4,388,496
FactSet Research Systems, Inc.

    9,600   4,414,560
Fidelity National Information Services, Inc.

    146,191   12,243,496
Fifth Third Bancorp

    181,762   7,786,684
Fiserv, Inc. (a)

    154,924   27,832,097
Franklin Resources, Inc.

    70,089   1,412,293
Global Payments, Inc.

    67,068   6,869,105
Globe Life, Inc.

    21,412   2,267,745
Goldman Sachs Group, Inc.

    85,646   42,404,191
Hartford Financial Services Group, Inc.

    80,167   9,428,441
Huntington Bancshares, Inc.

    384,891   5,657,898
Intercontinental Exchange, Inc.

    152,085   24,430,934
Invesco Ltd.

    117,111   2,056,469
Jack Henry & Associates, Inc.

    17,900   3,160,066
JPMorgan Chase & Co.

    766,543   161,633,257
KeyCorp

    233,396   3,909,383
KKR & Co., Inc.

    181,400   23,687,212
Loews Corp.

    47,119   3,724,757
M&T Bank Corp.

    45,145   8,041,227
 
See accompanying notes to Schedule of Investments.
2

Table of Contents
STATE STREET EQUITY 500 INDEX II PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
MarketAxess Holdings, Inc.

    9,200   $2,357,040
Marsh & McLennan Cos., Inc.

    132,519   29,563,664
Mastercard, Inc. Class A

    221,151   109,204,364
MetLife, Inc.

    162,870   13,433,518
Moody's Corp.

    42,032   19,947,967
Morgan Stanley

    333,227   34,735,582
MSCI, Inc.

    21,000   12,241,530
Nasdaq, Inc.

    113,225   8,266,557
Northern Trust Corp.

    52,696   4,744,221
PayPal Holdings, Inc. (a)

    279,745   21,828,502
PNC Financial Services Group, Inc.

    107,975   19,959,179
Principal Financial Group, Inc.

    56,065   4,815,984
Progressive Corp.

    158,949   40,334,898
Prudential Financial, Inc.

    93,102   11,274,652
Raymond James Financial, Inc.

    47,600   5,829,096
Regions Financial Corp.

    232,346   5,420,632
S&P Global, Inc.

    86,788   44,836,417
State Street Corp. (c)

    79,578   7,040,266
Synchrony Financial

    105,676   5,271,119
T. Rowe Price Group, Inc.

    57,555   6,269,466
Travelers Cos., Inc.

    59,806   14,001,781
Truist Financial Corp.

    352,315   15,068,513
U.S. Bancorp

    426,622   19,509,424
Visa, Inc. Class A

    448,860   123,414,057
W.R. Berkley Corp.

    77,250   4,382,393
Wells Fargo & Co.

    921,803   52,072,651
Willis Towers Watson PLC

    28,445   8,377,906
          1,685,998,439
HEALTH CARE — 11.2%      
Abbott Laboratories

    466,349   53,168,449
AbbVie, Inc.

    475,080   93,818,798
Agilent Technologies, Inc.

    79,493   11,803,121
Align Technology, Inc. (a)

    17,500   4,450,600
Amgen, Inc.

    144,854   46,673,407
Baxter International, Inc.

    136,079   5,166,920
Becton Dickinson & Co.

    78,456   18,915,742
Biogen, Inc. (a)

    38,684   7,498,507
Bio-Techne Corp.

    39,500   3,157,235
Boston Scientific Corp. (a)

    400,457   33,558,297
Bristol-Myers Squibb Co.

    539,575   27,917,610
Cardinal Health, Inc.

    62,633   6,922,199
Catalent, Inc. (a)

    47,000   2,846,790
Cencora, Inc.

    45,934   10,338,825
Centene Corp. (a)

    144,404   10,870,733
Charles River Laboratories International, Inc. (a)

    12,800   2,521,216
Cigna Group

    75,541   26,170,424
Cooper Cos., Inc. (a)

    51,200   5,649,408
CVS Health Corp.

    334,194   21,014,119
Danaher Corp.

    174,194   48,429,416
DaVita, Inc. (a)(b)

    13,828   2,266,824
Dexcom, Inc. (a)

    109,400   7,334,176
Edwards Lifesciences Corp. (a)

    163,430   10,784,746
Security Description     Shares   Value
Elevance Health, Inc.

    62,519   $32,509,880
Eli Lilly & Co.

    212,472   188,237,444
GE HealthCare Technologies, Inc.

    126,507   11,872,682
Gilead Sciences, Inc.

    331,152   27,763,784
HCA Healthcare, Inc.

    50,900   20,687,287
Henry Schein, Inc. (a)(b)

    31,800   2,318,220
Hologic, Inc. (a)

    63,200   5,148,272
Humana, Inc.

    32,390   10,259,209
IDEXX Laboratories, Inc. (a)

    21,500   10,862,230
Incyte Corp. (a)

    45,600   3,014,160
Insulet Corp. (a)

    17,300   4,026,575
Intuitive Surgical, Inc. (a)

    95,232   46,784,625
IQVIA Holdings, Inc. (a)

    45,200   10,711,044
Johnson & Johnson

    647,145   104,876,319
Labcorp Holdings, Inc.

    21,575   4,821,581
McKesson Corp.

    34,952   17,280,968
Medtronic PLC

    349,093   31,428,843
Merck & Co., Inc.

    682,272   77,478,808
Mettler-Toledo International, Inc. (a)

    5,700   8,548,290
Moderna, Inc. (a)

    86,600   5,787,478
Molina Healthcare, Inc. (a)

    15,100   5,202,856
Pfizer, Inc.

    1,536,433   44,464,371
Quest Diagnostics, Inc.

    29,942   4,648,495
Regeneron Pharmaceuticals, Inc. (a)

    28,542   30,004,492
ResMed, Inc.

    40,000   9,764,800
Revvity, Inc.

    30,986   3,958,461
Solventum Corp. (a)

    36,289   2,530,069
STERIS PLC

    26,200   6,354,548
Stryker Corp.

    92,694   33,486,634
Teleflex, Inc.

    11,900   2,943,108
Thermo Fisher Scientific, Inc.

    103,312   63,905,704
UnitedHealth Group, Inc.

    248,874   145,511,650
Universal Health Services, Inc. Class B

    15,200   3,480,952
Vertex Pharmaceuticals, Inc. (a)

    68,552   31,882,164
Viatris, Inc.

    302,314   3,509,865
Waters Corp. (a)

    14,850   5,344,366
West Pharmaceutical Services, Inc.

    19,100   5,733,056
Zimmer Biomet Holdings, Inc.

    54,925   5,929,154
Zoetis, Inc.

    122,420   23,918,420
          1,518,268,426
INDUSTRIALS — 8.2%      
3M Co.

    144,658   19,774,749
A.O. Smith Corp.

    32,900   2,955,407
Allegion PLC

    25,496   3,715,787
Amentum Holdings, Inc. (a)

    36,143   1,165,612
AMETEK, Inc.

    60,399   10,371,112
Automatic Data Processing, Inc.

    109,352   30,260,979
Axon Enterprise, Inc. (a)

    20,000   7,992,000
Boeing Co. (a)

    155,964   23,712,767
 
See accompanying notes to Schedule of Investments.
3

Table of Contents
STATE STREET EQUITY 500 INDEX II PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Broadridge Financial Solutions, Inc.

    30,600   $6,579,918
Builders FirstSource, Inc. (a)

    31,400   6,087,204
Carrier Global Corp.

    229,479   18,470,765
Caterpillar, Inc.

    130,824   51,167,883
CH Robinson Worldwide, Inc.

    28,479   3,143,227
Cintas Corp.

    90,164   18,562,964
Copart, Inc. (a)

    242,500   12,707,000
CSX Corp.

    526,265   18,171,931
Cummins, Inc.

    37,870   12,261,927
Dayforce, Inc. (a)(b)

    45,700   2,799,125
Deere & Co.

    69,183   28,872,141
Delta Air Lines, Inc.

    169,034   8,585,237
Dover Corp.

    37,050   7,103,967
Eaton Corp. PLC

    107,225   35,538,654
Emerson Electric Co.

    152,579   16,687,565
Equifax, Inc.

    32,588   9,576,310
Expeditors International of Washington, Inc.

    37,276   4,898,066
Fastenal Co.

    150,116   10,721,285
FedEx Corp.

    59,950   16,407,116
Fortive Corp.

    90,549   7,147,033
GE Vernova, Inc. (a)

    73,980   18,863,420
Generac Holdings, Inc. (a)

    17,000   2,700,960
General Dynamics Corp.

    68,772   20,782,898
General Electric Co.

    293,523   55,352,567
Honeywell International, Inc.

    173,378   35,838,966
Howmet Aerospace, Inc.

    108,986   10,925,847
Hubbell, Inc.

    14,300   6,125,405
Huntington Ingalls Industries, Inc.

    11,500   3,040,370
IDEX Corp.

    21,100   4,525,950
Illinois Tool Works, Inc.

    72,400   18,973,868
Ingersoll Rand, Inc.

    105,787   10,384,052
Jacobs Solutions, Inc.

    36,143   4,731,119
JB Hunt Transport Services, Inc.

    22,900   3,946,357
Johnson Controls International PLC

    184,508   14,319,666
L3Harris Technologies, Inc.

    50,421   11,993,643
Leidos Holdings, Inc.

    38,400   6,259,200
Lockheed Martin Corp.

    56,971   33,302,968
Masco Corp.

    56,084   4,707,691
Nordson Corp.

    13,400   3,519,242
Norfolk Southern Corp.

    60,787   15,105,570
Northrop Grumman Corp.

    36,725   19,393,371
Old Dominion Freight Line, Inc. (b)

    50,300   9,991,592
Otis Worldwide Corp.

    107,689   11,193,195
PACCAR, Inc.

    144,708   14,279,785
Parker-Hannifin Corp.

    34,289   21,664,476
Paychex, Inc.

    88,607   11,890,173
Paycom Software, Inc.

    12,200   2,032,154
Pentair PLC

    47,304   4,625,858
Quanta Services, Inc.

    40,907   12,196,422
Republic Services, Inc.

    56,789   11,405,503
Rockwell Automation, Inc.

    29,426   7,899,704
Security Description     Shares   Value
Rollins, Inc.

    79,325   $4,012,259
RTX Corp.

    355,201   43,036,153
Snap-on, Inc.

    13,640   3,951,644
Southwest Airlines Co. (b)

    150,759   4,466,989
Stanley Black & Decker, Inc.

    37,957   4,180,204
Textron, Inc.

    49,633   4,396,491
Trane Technologies PLC

    61,284   23,822,929
TransDigm Group, Inc.

    15,000   21,406,950
Uber Technologies, Inc. (a)

    561,500   42,202,340
Union Pacific Corp.

    165,298   40,742,651
United Airlines Holdings, Inc. (a)

    81,800   4,667,508
United Parcel Service, Inc. Class B

    195,791   26,694,145
United Rentals, Inc.

    17,800   14,413,194
Veralto Corp.

    69,964   7,826,173
Verisk Analytics, Inc.

    37,400   10,021,704
Waste Management, Inc.

    97,535   20,248,266
Westinghouse Air Brake Technologies Corp.

    46,966   8,537,010
WW Grainger, Inc.

    12,257   12,732,694
Xylem, Inc.

    64,758   8,744,273
          1,113,513,300
INFORMATION TECHNOLOGY — 30.7%      
Accenture PLC Class A

    168,418   59,532,395
Adobe, Inc. (a)

    119,544   61,897,492
Advanced Micro Devices, Inc. (a)

    435,794   71,505,080
Akamai Technologies, Inc. (a)

    40,090   4,047,086
Amphenol Corp. Class A

    325,880   21,234,341
Analog Devices, Inc.

    131,961   30,373,463
ANSYS, Inc. (a)

    22,700   7,232,901
Apple, Inc.

    4,087,996   952,503,068
Applied Materials, Inc.

    223,654   45,189,291
Arista Networks, Inc. (a)

    68,500   26,291,670
Autodesk, Inc. (a)

    58,406   16,089,685
Broadcom, Inc.

    1,248,810   215,419,725
Cadence Design Systems, Inc. (a)

    72,200   19,568,366
CDW Corp.

    35,000   7,920,500
Cisco Systems, Inc.

    1,086,390   57,817,676
Cognizant Technology Solutions Corp. Class A

    134,841   10,407,028
Corning, Inc.

    215,826   9,744,544
Crowdstrike Holdings, Inc. Class A (a)

    63,400   17,781,798
Dell Technologies, Inc. Class C

    76,700   9,092,018
Enphase Energy, Inc. (a)

    38,000   4,294,760
EPAM Systems, Inc. (a)

    16,100   3,204,383
F5, Inc. (a)

    15,641   3,444,148
Fair Isaac Corp. (a)

    6,700   13,021,584
First Solar, Inc. (a)

    30,000   7,483,200
Fortinet, Inc. (a)

    173,600   13,462,680
Gartner, Inc. (a)

    21,000   10,641,960
Gen Digital, Inc.

    144,560   3,965,281
 
See accompanying notes to Schedule of Investments.
4

Table of Contents
STATE STREET EQUITY 500 INDEX II PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
GoDaddy, Inc. Class A (a)

    37,000   $5,800,860
Hewlett Packard Enterprise Co.

    339,353   6,943,162
HP, Inc.

    261,053   9,363,971
Intel Corp.

    1,160,936   27,235,559
International Business Machines Corp.

    247,895   54,804,627
Intuit, Inc.

    75,137   46,660,077
Jabil, Inc.

    32,500   3,894,475
Juniper Networks, Inc.

    78,349   3,054,044
Keysight Technologies, Inc. (a)

    46,500   7,390,245
KLA Corp.

    35,632   27,593,777
Lam Research Corp.

    34,877   28,462,422
Microchip Technology, Inc.

    149,666   12,016,683
Micron Technology, Inc.

    300,834   31,199,494
Microsoft Corp.

    1,998,658   860,022,537
Monolithic Power Systems, Inc.

    13,500   12,480,750
Motorola Solutions, Inc.

    44,372   19,950,982
NetApp, Inc.

    54,114   6,683,620
NVIDIA Corp.

    6,614,760   803,296,454
NXP Semiconductors NV

    66,900   16,056,669
ON Semiconductor Corp. (a)

    113,700   8,255,757
Oracle Corp.

    431,935   73,601,724
Palantir Technologies, Inc. Class A (a)

    537,100   19,980,120
Palo Alto Networks, Inc. (a)

    86,700   29,634,060
PTC, Inc. (a)

    32,800   5,925,648
Qorvo, Inc. (a)

    26,300   2,716,790
QUALCOMM, Inc.

    299,926   51,002,416
Roper Technologies, Inc.

    29,565   16,451,149
Salesforce, Inc.

    260,895   71,409,571
Seagate Technology Holdings PLC

    60,024   6,574,429
ServiceNow, Inc. (a)

    55,500   49,638,645
Skyworks Solutions, Inc.

    44,700   4,415,019
Super Micro Computer, Inc. (a)

    12,700   5,288,280
Synopsys, Inc. (a)

    40,500   20,508,795
TE Connectivity PLC

    80,051   12,086,901
Teledyne Technologies, Inc. (a)

    13,490   5,904,033
Teradyne, Inc.

    44,700   5,986,671
Texas Instruments, Inc.

    244,193   50,442,948
Trimble, Inc. (a)

    70,200   4,358,718
Tyler Technologies, Inc. (a)

    11,700   6,829,524
VeriSign, Inc. (a)

    23,153   4,398,144
Western Digital Corp. (a)

    86,353   5,897,046
Zebra Technologies Corp. Class A (a)

    14,500   5,369,640
          4,152,752,559
MATERIALS — 2.2%      
Air Products & Chemicals, Inc.

    60,902   18,132,961
Albemarle Corp. (b)

    33,100   3,134,901
Amcor PLC

    385,126   4,363,478
Avery Dennison Corp.

    20,470   4,518,957
Ball Corp.

    77,232   5,244,825
Security Description     Shares   Value
Celanese Corp.

    32,200   $4,377,912
CF Industries Holdings, Inc.

    54,020   4,634,916
Corteva, Inc.

    192,082   11,292,501
Dow, Inc.

    182,448   9,967,134
DuPont de Nemours, Inc.

    109,273   9,737,317
Eastman Chemical Co.

    29,436   3,295,360
Ecolab, Inc.

    69,100   17,643,303
FMC Corp.

    31,978   2,108,629
Freeport-McMoRan, Inc.

    379,440   18,941,645
International Flavors & Fragrances, Inc.

    72,076   7,562,935
International Paper Co. (b)

    100,903   4,929,112
Linde PLC

    129,563   61,783,412
LyondellBasell Industries NV Class A

    66,558   6,382,912
Martin Marietta Materials, Inc.

    15,845   8,528,571
Mosaic Co.

    83,184   2,227,668
Newmont Corp.

    301,333   16,106,249
Nucor Corp.

    61,848   9,298,228
Packaging Corp. of America

    24,000   5,169,600
PPG Industries, Inc.

    60,854   8,060,721
Sherwin-Williams Co.

    62,527   23,864,680
Smurfit WestRock PLC

    126,236   6,238,583
Steel Dynamics, Inc.

    39,800   5,017,984
Vulcan Materials Co.

    34,271   8,582,487
          291,146,981
REAL ESTATE — 2.3%      
Alexandria Real Estate Equities, Inc. REIT

    43,400   5,153,750
American Tower Corp. REIT

    123,918   28,818,370
AvalonBay Communities, Inc. REIT

    39,769   8,957,967
BXP, Inc. REIT

    42,746   3,439,343
Camden Property Trust REIT

    26,100   3,224,133
CBRE Group, Inc. Class A (a)

    79,367   9,879,604
CoStar Group, Inc. (a)

    105,200   7,936,288
Crown Castle, Inc. REIT

    119,658   14,195,028
Digital Realty Trust, Inc. REIT

    80,500   13,027,315
Equinix, Inc. REIT

    25,043   22,228,918
Equity Residential REIT

    95,319   7,097,453
Essex Property Trust, Inc. REIT

    16,045   4,740,014
Extra Space Storage, Inc. REIT

    59,100   10,649,229
Federal Realty Investment Trust REIT

    20,700   2,379,879
Healthpeak Properties, Inc. REIT

    204,323   4,672,867
Host Hotels & Resorts, Inc. REIT

    176,662   3,109,251
Invitation Homes, Inc. REIT

    152,500   5,377,150
Iron Mountain, Inc. REIT

    79,881   9,492,259
Kimco Realty Corp. REIT

    190,153   4,415,353
Mid-America Apartment Communities, Inc. REIT

    33,000   5,243,700
Prologis, Inc. REIT

    249,322   31,484,382
 
See accompanying notes to Schedule of Investments.
5

Table of Contents
STATE STREET EQUITY 500 INDEX II PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Public Storage REIT

    43,435   $15,804,693
Realty Income Corp. REIT

    238,500   15,125,670
Regency Centers Corp. REIT

    42,300   3,055,329
SBA Communications Corp. REIT

    28,200   6,787,740
Simon Property Group, Inc. REIT

    80,180   13,552,024
UDR, Inc. REIT

    77,200   3,500,248
Ventas, Inc. REIT

    108,097   6,932,261
VICI Properties, Inc. REIT

    290,700   9,683,217
Welltower, Inc. REIT

    152,419   19,514,205
Weyerhaeuser Co. REIT

    191,887   6,497,294
          305,974,934
UTILITIES — 2.4%      
AES Corp.

    210,936   4,231,376
Alliant Energy Corp.

    73,400   4,454,646
Ameren Corp.

    69,604   6,087,566
American Electric Power Co., Inc.

    145,109   14,888,183
American Water Works Co., Inc.

    53,300   7,794,592
Atmos Energy Corp.

    39,700   5,506,787
CenterPoint Energy, Inc.

    168,376   4,953,622
CMS Energy Corp.

    79,155   5,590,718
Consolidated Edison, Inc.

    90,852   9,460,419
Constellation Energy Corp.

    85,194   22,152,144
Dominion Energy, Inc.

    221,866   12,821,636
DTE Energy Co.

    55,045   7,068,328
Duke Energy Corp.

    206,492   23,808,528
Edison International

    99,814   8,692,801
Entergy Corp.

    58,598   7,712,083
Evergy, Inc.

    55,999   3,472,498
Eversource Energy

    96,717   6,581,592
Exelon Corp.

    260,484   10,562,626
FirstEnergy Corp.

    138,893   6,159,905
NextEra Energy, Inc.

    556,756   47,062,585
NiSource, Inc.

    120,304   4,168,534
NRG Energy, Inc.

    51,902   4,728,272
PG&E Corp.

    560,600   11,083,062
Pinnacle West Capital Corp. (b)

    27,704   2,454,297
PPL Corp.

    204,619   6,768,796
Security Description     Shares   Value
Public Service Enterprise Group, Inc.

    131,488   $11,730,044
Sempra

    169,524   14,177,292
Southern Co.

    295,159   26,617,439
Vistra Corp.

    95,400   11,308,716
WEC Energy Group, Inc.

    81,282   7,817,703
Xcel Energy, Inc.

    144,751   9,452,240
          329,369,030
TOTAL COMMON STOCKS

(Cost $7,479,681,273)

        13,083,556,216
       
SHORT-TERM INVESTMENTS — 2.9%
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (d) (e)

  382,251,654 382,251,654
State Street Navigator Securities Lending Portfolio II (c) (f)

  2,552,332 2,552,332
TOTAL SHORT-TERM INVESTMENTS

(Cost $384,803,986)

384,803,986
TOTAL INVESTMENTS — 99.7%

(Cost $7,864,485,259)

13,468,360,202
OTHER ASSETS IN EXCESS OF LIABILITIES — 0.3%

    42,836,742
NET ASSETS — 100.0%

    $13,511,196,944
(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at September 30, 2024.
(c) The Portfolio invested in an affiliated entity. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(d) The Portfolio invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(e) The rate shown is the annualized seven-day yield at September 30, 2024.
(f) Investment of cash collateral for securities loaned.
REIT Real Estate Investment Trust
 
At September 30, 2024, open futures contracts were as follows:
Description   Number of
Contracts
  Expiration
Date
  Notional
Amount
  Value   Unrealized
Appreciation
(Depreciation)
E-mini S&P 500 Index (long)   1,413   12/20/2024   $400,891,559   $410,776,762   $9,885,203
See accompanying notes to Schedule of Investments.
6

Table of Contents
STATE STREET EQUITY 500 INDEX II PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

The following table summarizes the value of the Portfolio’s investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                 
INVESTMENTS:                
Common Stocks

  $13,083,556,216   $—   $—   $13,083,556,216
Short-Term Investments

  384,803,986       384,803,986
TOTAL INVESTMENTS

  $13,468,360,202   $—   $—   $13,468,360,202
OTHER FINANCIAL INSTRUMENTS:                
Futures Contracts - Unrealized Appreciation

  $9,885,203   $—   $—   $9,885,203
TOTAL OTHER FINANCIAL INSTRUMENTS:

  $9,885,203   $—   $—   $9,885,203
 
Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
State Street Corp.

79,578   $6,164,112   $  $  $—   $876,154   79,578   $7,040,266   $109,818
State Street Institutional U.S. Government Money Market Fund, Class G Shares

311,391,880   311,391,880   1,298,850,759   1,227,990,985       382,251,654   382,251,654   13,419,924
State Street Navigator Securities Lending Portfolio II

12,138,606   12,138,606   115,483,794   125,070,068       2,552,332   2,552,332   11,583
Total

    $329,694,598   $1,414,334,553   $1,353,061,053   $—   $876,154       $391,844,252   $13,541,325
See accompanying notes to Schedule of Investments.
7

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments
September 30, 2024 (Unaudited)

State Street Aggregate Bond Index Fund is a feeder fund that invests substantially all of its investable assets in a master fund, the State Street Aggregate Bond Index Portfolio. The Schedule of Investments for the State Street Aggregate Bond Index Portfolio follows.
Security Description     Principal
Amount
  Value
CORPORATE BONDS & NOTES — 25.0%          
ADVERTISING — 0.0% (a)  
Interpublic Group of Cos., Inc.:          
2.40%, 3/1/2031

    $100,000   $87,476
3.38%, 3/1/2041

    70,000   54,457
4.65%, 10/1/2028

    10,000   10,107
5.38%, 6/15/2033

    140,000   143,090
5.40%, 10/1/2048

    25,000   24,552
Omnicom Group, Inc.:          
2.45%, 4/30/2030

    100,000   90,068
2.60%, 8/1/2031 (b)

    200,000   177,228
5.30%, 11/1/2034 (b)

    200,000   207,810
Omnicom Group, Inc./Omnicom Capital, Inc.

3.60%, 4/15/2026

    100,000   98,903
          893,691
AEROSPACE & DEFENSE — 0.5%   
Boeing Co.:          
2.20%, 2/4/2026

    1,400,000   1,348,928
2.60%, 10/30/2025

    35,000   34,034
2.75%, 2/1/2026

    550,000   534,006
2.95%, 2/1/2030

    50,000   44,706
3.25%, 2/1/2028

    50,000   47,387
3.25%, 3/1/2028

    25,000   23,560
3.38%, 6/15/2046

    25,000   16,935
3.50%, 3/1/2039

    250,000   190,352
3.55%, 3/1/2038

    165,000   128,825
3.63%, 2/1/2031

    30,000   27,478
3.65%, 3/1/2047

    100,000   70,190
3.75%, 2/1/2050

    50,000   35,114
3.83%, 3/1/2059

    250,000   169,190
5.04%, 5/1/2027

    150,000   150,457
5.15%, 5/1/2030

    1,200,000   1,202,676
5.71%, 5/1/2040

    150,000   146,492
5.81%, 5/1/2050

    200,000   193,232
5.93%, 5/1/2060

    150,000   143,969
6.26%, 5/1/2027 (c)

    35,000   36,159
6.30%, 5/1/2029 (c)

    125,000   131,486
6.39%, 5/1/2031 (c)

    55,000   58,482
6.53%, 5/1/2034 (c)

    80,000   85,829
6.86%, 5/1/2054 (c)

    695,000   762,248
7.01%, 5/1/2064 (c)

    75,000   82,642
General Dynamics Corp.:          
1.15%, 6/1/2026

    35,000   33,468
2.25%, 6/1/2031 (b)

    45,000   39,983
2.85%, 6/1/2041

    790,000   611,539
Security Description     Principal
Amount
  Value
3.63%, 4/1/2030

    $100,000   $97,741
4.25%, 4/1/2050

    60,000   54,133
Howmet Aerospace, Inc.

4.85%, 10/15/2031

    150,000   153,301
L3Harris Technologies, Inc.:          
2.90%, 12/15/2029

    15,000   13,979
3.85%, 12/15/2026

    50,000   49,669
4.40%, 6/15/2028

    100,000   100,368
5.35%, 6/1/2034

    800,000   832,896
5.40%, 7/31/2033

    250,000   260,985
5.50%, 8/15/2054

    100,000   104,229
5.60%, 7/31/2053

    75,000   79,051
Lockheed Martin Corp.:          
1.85%, 6/15/2030

    395,000   349,705
3.55%, 1/15/2026

    50,000   49,657
3.60%, 3/1/2035

    50,000   46,534
3.90%, 6/15/2032

    70,000   68,573
4.15%, 6/15/2053

    500,000   440,380
4.70%, 5/15/2046

    110,000   107,474
5.25%, 1/15/2033

    500,000   532,005
5.70%, 11/15/2054

    500,000   558,270
5.90%, 11/15/2063

    500,000   577,930
Northrop Grumman Corp.:          
3.25%, 1/15/2028

    150,000   145,770
4.03%, 10/15/2047

    100,000   86,029
4.70%, 3/15/2033

    205,000   207,970
4.75%, 6/1/2043

    25,000   24,096
4.95%, 3/15/2053

    515,000   503,840
5.20%, 6/1/2054

    750,000   763,807
RTX Corp.:          
1.90%, 9/1/2031 (b)

    125,000   106,270
2.25%, 7/1/2030

    700,000   628,418
2.38%, 3/15/2032

    750,000   650,812
2.82%, 9/1/2051

    200,000   133,784
3.13%, 5/4/2027

    200,000   195,140
3.13%, 7/1/2050

    200,000   143,204
3.50%, 3/15/2027

    136,000   133,965
4.13%, 11/16/2028

    60,000   59,817
4.35%, 4/15/2047

    450,000   399,582
4.45%, 11/16/2038

    20,000   19,056
4.50%, 6/1/2042

    100,000   93,103
4.63%, 11/16/2048

    35,000   32,354
5.38%, 2/27/2053

    600,000   616,806
5.75%, 11/8/2026

    350,000   360,958
6.00%, 3/15/2031

    350,000   380,835
          16,511,863
See accompanying notes to Schedule of Investments.
8

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
AGRICULTURE — 0.3%   
Altria Group, Inc.:          
2.45%, 2/4/2032

    $250,000   $213,255
3.40%, 2/4/2041

    550,000   428,565
3.88%, 9/16/2046

    100,000   78,040
4.40%, 2/14/2026

    117,000   116,909
4.45%, 5/6/2050

    500,000   418,865
4.50%, 5/2/2043

    25,000   22,078
4.80%, 2/14/2029

    40,000   40,484
5.80%, 2/14/2039

    285,000   299,544
5.95%, 2/14/2049 (b)

    75,000   78,698
6.20%, 11/1/2028

    500,000   532,510
Archer-Daniels-Midland Co.:          
2.90%, 3/1/2032 (b)

    115,000   104,126
3.25%, 3/27/2030

    250,000   238,487
4.50%, 8/15/2033

    500,000   502,250
BAT Capital Corp.:          
2.26%, 3/25/2028

    525,000   488,213
2.73%, 3/25/2031

    50,000   44,645
3.22%, 9/6/2026

    100,000   97,875
3.46%, 9/6/2029

    100,000   95,276
3.56%, 8/15/2027

    100,000   97,955
3.98%, 9/25/2050

    250,000   190,983
4.39%, 8/15/2037

    100,000   90,954
4.54%, 8/15/2047

    105,000   88,706
4.70%, 4/2/2027

    250,000   252,157
4.76%, 9/6/2049

    100,000   86,137
6.42%, 8/2/2033

    250,000   274,372
7.08%, 8/2/2043

    200,000   229,128
7.08%, 8/2/2053

    125,000   145,151
BAT International Finance PLC:          
1.67%, 3/25/2026

    525,000   504,404
4.45%, 3/16/2028

    250,000   250,085
5.93%, 2/2/2029

    355,000   374,852
Bunge Ltd. Finance Corp.:          
2.75%, 5/14/2031 (b)

    200,000   180,344
3.75%, 9/25/2027

    30,000   29,665
Philip Morris International, Inc.:          
0.88%, 5/1/2026

    150,000   142,596
1.75%, 11/1/2030

    150,000   129,245
2.10%, 5/1/2030

    550,000   490,941
2.75%, 2/25/2026

    125,000   122,581
3.13%, 3/2/2028

    200,000   193,250
4.13%, 3/4/2043

    25,000   21,860
4.25%, 11/10/2044

    250,000   220,875
4.50%, 3/20/2042

    50,000   46,123
4.88%, 2/13/2026

    100,000   101,006
4.88%, 2/15/2028

    100,000   102,175
5.13%, 2/15/2030

    100,000   103,708
5.25%, 2/13/2034

    1,000,000   1,038,490
5.38%, 2/15/2033

    100,000   104,554
5.63%, 9/7/2033

    400,000   425,860
5.75%, 11/17/2032

    750,000   805,530
Reynolds American, Inc.:          
5.70%, 8/15/2035

    25,000   26,014
Security Description     Principal
Amount
  Value
5.85%, 8/15/2045

    $175,000   $175,032
          10,844,553
AIRLINES — 0.1%   
American Airlines Pass-Through Trust:          
Series 2019-1, Class AA, 3.15%, 8/15/2033

    56,689   52,736
Series 2017-2, Class AA, 3.35%, 4/15/2031

    67,527   63,709
Delta Air Lines Pass-Through Trust

Series 2020-1, Class AA, 2.00%, 12/10/2029

    76,082   71,102
JetBlue Pass-Through Trust

Series 2020-1, Class A, 4.00%, 5/15/2034

    19,274   18,378
Southwest Airlines Co.:          
2.63%, 2/10/2030 (b)

    100,000   90,541
5.13%, 6/15/2027

    100,000   101,718
United Airlines Pass-Through Trust:          
Series 2019-2, Class AA, 2.70%, 11/1/2033

    52,516   46,925
Series 2016-1, Class AA, 3.10%, 1/7/2030

    31,532   29,881
Series 2018-1, Class AA, 3.50%, 9/1/2031

    81,648   77,094
Series 2019-1, Class AA, 4.15%, 2/25/2033

    54,457   52,333
Series 2023-1, Class A, 5.80%, 7/15/2037

    733,243   770,381
Series 2020-1, Class A, 5.88%, 4/15/2029

    296,738   303,020
          1,677,818
APPAREL — 0.0% (a)  
NIKE, Inc.:          
2.38%, 11/1/2026

    50,000   48,503
2.85%, 3/27/2030

    500,000   470,845
3.25%, 3/27/2040

    200,000   167,804
3.38%, 3/27/2050

    150,000   118,048
3.88%, 11/1/2045

    30,000   26,158
Ralph Lauren Corp.

2.95%, 6/15/2030

    15,000   14,019
Tapestry, Inc.:          
7.70%, 11/27/2030

    500,000   538,540
7.85%, 11/27/2033

    220,000   238,069
          1,621,986
AUTO MANUFACTURERS — 0.6%   
American Honda Finance Corp.:          
Series MTN, 1.30%, 9/9/2026

    85,000   80,665
Series MTN, 2.00%, 3/24/2028

    115,000   107,033
 
See accompanying notes to Schedule of Investments.
9

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Series MTN, 2.25%, 1/12/2029

    $100,000   $92,450
4.90%, 3/12/2027 (b)

    100,000   101,960
4.90%, 3/13/2029

    100,000   102,553
Series GMTN, 4.90%, 1/10/2034 (b)

    125,000   127,148
Series GMTN, 5.05%, 7/10/2031

    250,000   257,400
Series GMTN, 5.25%, 7/7/2026

    90,000   91,760
5.65%, 11/15/2028

    100,000   105,667
Series GMTN, 5.85%, 10/4/2030

    175,000   188,606
Cummins, Inc.:          
1.50%, 9/1/2030 (b)

    200,000   173,202
5.15%, 2/20/2034

    60,000   63,092
5.45%, 2/20/2054

    500,000   528,750
Ford Motor Co.

3.25%, 2/12/2032

    750,000   638,955
Ford Motor Credit Co. LLC:          
5.80%, 3/8/2029

    500,000   508,575
5.85%, 5/17/2027

    300,000   305,505
6.13%, 3/8/2034

    750,000   759,195
6.80%, 5/12/2028

    1,000,000   1,047,950
6.80%, 11/7/2028

    200,000   211,180
6.95%, 3/6/2026

    1,000,000   1,024,270
7.12%, 11/7/2033

    200,000   215,936
7.35%, 3/6/2030

    1,000,000   1,082,040
General Motors Co.:          
5.15%, 4/1/2038

    200,000   191,578
5.20%, 4/1/2045

    200,000   182,102
6.13%, 10/1/2025

    250,000   252,402
6.60%, 4/1/2036

    100,000   107,795
6.75%, 4/1/2046

    25,000   27,090
General Motors Financial Co., Inc.:          
1.25%, 1/8/2026

    500,000   479,810
1.50%, 6/10/2026

    500,000   475,765
2.40%, 4/10/2028

    100,000   92,695
2.40%, 10/15/2028

    250,000   228,610
2.70%, 6/10/2031

    500,000   430,730
4.30%, 4/6/2029 (b)

    150,000   146,812
4.35%, 1/17/2027

    185,000   184,463
5.00%, 4/9/2027

    500,000   505,380
5.25%, 3/1/2026

    100,000   100,700
5.35%, 7/15/2027

    135,000   138,055
5.45%, 9/6/2034 (b)

    110,000   109,674
5.55%, 7/15/2029

    45,000   46,382
5.60%, 6/18/2031

    65,000   66,656
5.80%, 6/23/2028

    750,000   778,380
5.95%, 4/4/2034

    545,000   562,631
6.00%, 1/9/2028

    100,000   104,176
6.05%, 10/10/2025

    500,000   506,250
6.10%, 1/7/2034

    300,000   312,075
Honda Motor Co. Ltd.

2.53%, 3/10/2027

    750,000   724,365
Security Description     Principal
Amount
  Value
PACCAR Financial Corp.:          
Series MTN, 1.10%, 5/11/2026 (b)

    $70,000   $66,879
Series MTN, 2.00%, 2/4/2027

    105,000   100,409
4.45%, 8/6/2027

    165,000   167,551
4.60%, 1/10/2028

    100,000   101,771
Series MTN, 4.95%, 10/3/2025

    50,000   50,366
Series MTN, 5.05%, 8/10/2026 (b)

    200,000   204,248
Toyota Motor Credit Corp.:          
Series MTN, 0.80%, 10/16/2025

    100,000   96,575
Series MTN, 1.15%, 8/13/2027

    60,000   55,481
Series MTN, 1.90%, 4/6/2028

    100,000   93,058
Series GMTN, 3.05%, 1/11/2028

    50,000   48,494
4.45%, 5/18/2026

    750,000   755,737
4.55%, 8/9/2029

    750,000   761,662
4.63%, 1/12/2028

    125,000   127,303
Series MTN, 4.80%, 1/5/2026

    600,000   605,520
Series B, 5.00%, 3/19/2027

    350,000   358,729
5.05%, 5/16/2029

    400,000   415,032
5.10%, 3/21/2031

    250,000   260,425
5.45%, 11/10/2027

    200,000   208,362
5.55%, 11/20/2030

    250,000   267,225
          19,313,295
AUTO PARTS & EQUIPMENT — 0.0% (a)  
Aptiv PLC:          
3.10%, 12/1/2051

    250,000   158,130
4.35%, 3/15/2029

    45,000   44,917
4.40%, 10/1/2046 (b)

    30,000   24,709
Aptiv PLC/Aptiv Corp.

4.15%, 5/1/2052 (b)

    500,000   387,600
BorgWarner, Inc.:          
2.65%, 7/1/2027

    50,000   48,049
4.95%, 8/15/2029

    100,000   101,694
5.40%, 8/15/2034

    75,000   76,551
Lear Corp.:          
3.50%, 5/30/2030

    25,000   23,437
4.25%, 5/15/2029

    25,000   24,631
5.25%, 5/15/2049 (b)

    30,000   28,066
Magna International, Inc.:          
5.50%, 3/21/2033 (b)

    200,000   212,638
5.98%, 3/21/2026

    200,000   199,818
          1,330,240
BANKS — 5.4%   
Australia & New Zealand Banking Group Ltd.:          
3.92%, 9/30/2027

    200,000   199,636
4.75%, 1/18/2027

    300,000   304,770
 
See accompanying notes to Schedule of Investments.
10

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
5.09%, 12/8/2025

    $250,000   $252,807
Banco Bilbao Vizcaya Argentaria SA

5.38%, 3/13/2029

    250,000   259,650
Banco Santander SA:          
1 yr. CMT + 0.90%, 1.72%, 9/14/2027 (d)

    200,000   189,438
1.85%, 3/25/2026

    200,000   192,264
2.75%, 12/3/2030

    200,000   176,642
2.96%, 3/25/2031

    200,000   181,220
1 yr. CMT + 1.60%, 3.23%, 11/22/2032 (b) (d)

    400,000   353,892
4.38%, 4/12/2028

    200,000   199,098
1 yr. CMT + 0.95%, 5.37%, 7/15/2028 (d)

    600,000   614,046
5.44%, 7/15/2031

    250,000   261,795
5.59%, 8/8/2028

    300,000   312,489
1 yr. CMT + 1.65%, 6.53%, 11/7/2027 (d)

    1,000,000   1,043,710
6.92%, 8/8/2033

    200,000   221,062
Bank of America Corp.:          
Series MTN, SOFR + 1.01%, 1.20%, 10/24/2026 (d)

    100,000   96,568
Series N, SOFR + 0.91%, 1.66%, 3/11/2027 (d)

    600,000   576,654
SOFR + 0.96%, 1.73%, 7/22/2027 (d)

    770,000   735,181
Series MTN, SOFR + 1.53%, 1.90%, 7/23/2031 (d)

    500,000   433,730
Series MTN, SOFR + 1.37%, 1.92%, 10/24/2031 (d)

    100,000   86,226
Series MTN, SOFR + 1.06%, 2.09%, 6/14/2029 (d)

    700,000   646,268
SOFR + 1.22%, 2.30%, 7/21/2032 (d)

    200,000   173,114
5 yr. CMT + 1.20%, 2.48%, 9/21/2036 (d)

    200,000   168,796
Series MTN, 3 mo. USD Term SOFR + 1.25%, 2.50%, 2/13/2031 (d)

    250,000   226,415
Series MTN, SOFR + 1.05%, 2.55%, 2/4/2028 (d)

    200,000   192,132
SOFR + 1.21%, 2.57%, 10/20/2032 (d)

    200,000   175,294
SOFR + 2.15%, 2.59%, 4/29/2031 (d)

    735,000   667,035
Series N, SOFR + 1.22%, 2.65%, 3/11/2032 (b) (d)

    150,000   133,869
Series MTN, SOFR + 1.93%, 2.68%, 6/19/2041 (d)

    350,000   263,263
SOFR + 1.32%, 2.69%, 4/22/2032 (d)

    150,000   133,740
Series MTN, SOFR + 1.88%, 2.83%, 10/24/2051 (d)

    275,000   190,020
Series MTN, 3 mo. USD Term SOFR + 1.45%, 2.88%, 10/22/2030 (d)

    75,000   69,714
Security Description     Principal
Amount
  Value
SOFR + 1.56%, 2.97%, 7/21/2052 (d)

    $200,000   $142,040
Series MTN, SOFR + 1.33%, 2.97%, 2/4/2033 (d)

    875,000   783,895
Series MTN, 3 mo. USD Term SOFR + 1.44%, 3.19%, 7/23/2030 (d)

    100,000   94,679
SOFR + 1.58%, 3.31%, 4/22/2042 (d)

    700,000   569,415
3 mo. USD Term SOFR + 1.30%, 3.42%, 12/20/2028 (d)

    750,000   729,832
Series N, SOFR + 1.65%, 3.48%, 3/13/2052 (d)

    350,000   274,501
Series GMTN, 3.50%, 4/19/2026

    130,000   128,740
Series MTN, 3 mo. USD Term SOFR + 1.32%, 3.56%, 4/23/2027 (d)

    250,000   246,975
Series GMTN, 3 mo. USD Term SOFR + 1.63%, 3.59%, 7/21/2028 (d)

    250,000   245,368
5 yr. CMT + 2.00%, 3.85%, 3/8/2037 (d)

    200,000   184,712
3 mo. USD Term SOFR + 1.45%, 3.95%, 1/23/2049 (d)

    100,000   85,329
Series MTN, 3 mo. USD Term SOFR + 1.47%, 3.97%, 2/7/2030 (d)

    150,000   147,326
Series MTN, 3 mo. USD Term SOFR + 1.58%, 4.08%, 4/23/2040 (d)

    150,000   136,922
Series MTN, 3 mo. USD Term SOFR + 3.41%, 4.08%, 3/20/2051 (d)

    600,000   521,166
3 mo. USD Term SOFR + 2.08%, 4.24%, 4/24/2038 (d)

    200,000   189,386
Series MTN, 3 mo. USD Term SOFR + 1.57%, 4.27%, 7/23/2029 (d)

    500,000   498,525
SOFR + 1.58%, 4.38%, 4/27/2028 (d)

    250,000   250,347
Series MTN, 3 mo. USD Term SOFR + 2.25%, 4.44%, 1/20/2048 (d)

    150,000   138,290
SOFR + 1.83%, 4.57%, 4/27/2033 (d)

    500,000   497,135
Series MTN, 4.88%, 4/1/2044

    50,000   49,980
Series MTN, SOFR + 2.04%, 4.95%, 7/22/2028 (d)

    250,000   254,337
Series MTN, 5.00%, 1/21/2044

    100,000   101,732
Series MTN, SOFR + 2.16%, 5.02%, 7/22/2033 (b) (d)

    500,000   512,715
 
See accompanying notes to Schedule of Investments.
11

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
SOFR + 1.29%, 5.08%, 1/20/2027 (d)

    $700,000   $705,866
SOFR + 1.63%, 5.20%, 4/25/2029 (d)

    1,450,000   1,490,846
SOFR + 1.91%, 5.29%, 4/25/2034 (d)

    700,000   726,810
Series MTN, SOFR + 1.91%, 5.43%, 8/15/2035 (d)

    600,000   615,744
SOFR + 1.65%, 5.47%, 1/23/2035 (d)

    1,200,000   1,262,052
SOFR + 1.57%, 5.82%, 9/15/2029 (d)

    300,000   315,735
SOFR + 1.84%, 5.87%, 9/15/2034 (d)

    1,050,000   1,133,286
SOFR + 1.34%, 5.93%, 9/15/2027 (d)

    300,000   308,928
6.11%, 1/29/2037

    75,000   82,871
SOFR + 1.99%, 6.20%, 11/10/2028 (d)

    325,000   342,972
Bank of America NA

5.53%, 8/18/2026

    750,000   770,010
Bank of Montreal:          
Series MTN, 1.25%, 9/15/2026

    100,000   94,694
5 yr. CMT + 1.40%, 3.09%, 1/10/2037 (d)

    200,000   173,078
Series F2F, SOFR + 0.88%, 4.57%, 9/10/2027 (d)

    500,000   503,825
SOFR + 1.25%, 4.64%, 9/10/2030 (d)

    500,000   505,310
5.20%, 2/1/2028

    100,000   103,095
5.27%, 12/11/2026

    400,000   409,452
5.30%, 6/5/2026

    250,000   254,707
5.37%, 6/4/2027

    350,000   361,791
5.51%, 6/4/2031

    300,000   315,891
Bank of New York Mellon Corp.:          
Series MTN, 0.75%, 1/28/2026

    250,000   239,155
Series MTN, 1.65%, 7/14/2028

    100,000   91,626
Series J, 1.90%, 1/25/2029

    150,000   137,577
Series MTN, 3.25%, 5/16/2027

    100,000   98,115
Series MTN, 3.30%, 8/23/2029

    250,000   239,248
Series MTN, 3 mo. USD Term SOFR + 1.33%, 3.44%, 2/7/2028 (d)

    250,000   246,065
SOFR + 0.84%, 4.89%, 7/21/2028 (d)

    100,000   101,844
SOFR + 1.03%, 4.95%, 4/26/2027 (d)

    230,000   232,199
Series J, SOFR + 1.61%, 4.97%, 4/26/2034 (d)

    350,000   358,340
SOFR + 1.23%, 5.06%, 7/22/2032 (d)

    100,000   103,511
Security Description     Principal
Amount
  Value
Series MTN, SOFR + 1.42%, 5.19%, 3/14/2035 (d)

    $335,000   $347,837
SOFR + 1.77%, 5.61%, 7/21/2039 (d)

    65,000   68,283
Series MTN, SOFR + 1.80%, 5.80%, 10/25/2028 (d)

    145,000   151,998
Series MTN, SOFR + 2.07%, 5.83%, 10/25/2033 (d)

    115,000   124,551
Series MTN, SOFR + 1.85%, 6.47%, 10/25/2034 (d)

    250,000   282,430
Bank of Nova Scotia:          
1.05%, 3/2/2026 (b)

    250,000   239,453
1.30%, 9/15/2026

    200,000   189,502
1.35%, 6/24/2026

    100,000   95,535
2.15%, 8/1/2031 (b)

    100,000   86,562
2.95%, 3/11/2027

    100,000   97,276
SOFR + 1.00%, 4.40%, 9/8/2028 (d)

    500,000   501,895
SOFR + 1.44%, 4.74%, 11/10/2032 (b) (d)

    200,000   200,732
4.75%, 2/2/2026

    500,000   503,255
4.85%, 2/1/2030 (b)

    85,000   86,966
5.35%, 12/7/2026

    500,000   512,585
Series GMTN, 5.45%, 8/1/2029

    145,000   151,721
Barclays PLC:          
1 yr. CMT + 1.05%, 2.28%, 11/24/2027 (d)

    200,000   190,746
1 yr. CMT + 1.20%, 2.67%, 3/10/2032 (d)

    200,000   175,336
1 yr. CMT + 1.30%, 2.89%, 11/24/2032 (d)

    200,000   175,374
1 yr. CMT + 1.30%, 3.33%, 11/24/2042 (d)

    250,000   192,223
5 yr. CMT + 2.90%, 3.56%, 9/23/2035 (d)

    250,000   227,258
1 yr. CMT + 1.70%, 3.81%, 3/10/2042 (b) (d)

    550,000   453,783
4.38%, 1/12/2026

    50,000   49,919
SOFR + 1.34%, 4.84%, 9/10/2028 (d)

    500,000   504,310
SOFR + 1.56%, 4.94%, 9/10/2030 (d)

    200,000   201,810
3 mo. USD Term SOFR + 1.90%, 4.97%, 5/16/2029 (d)

    200,000   202,240
5.25%, 8/17/2045 (b)

    25,000   25,312
SOFR + 1.91%, 5.34%, 9/10/2035 (b) (d)

    200,000   202,282
SOFR + 1.74%, 5.69%, 3/12/2030 (d)

    800,000   832,232
SOFR + 2.21%, 5.83%, 5/9/2027 (d)

    200,000   203,844
SOFR + 2.42%, 6.04%, 3/12/2055 (d)

    350,000   382,130
SOFR + 2.98%, 6.22%, 5/9/2034 (d)

    200,000   215,326
 
See accompanying notes to Schedule of Investments.
12

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
SOFR + 2.22%, 6.49%, 9/13/2029 (d)

    $250,000   $266,802
SOFR + 1.88%, 6.50%, 9/13/2027 (d)

    700,000   725,270
SOFR + 2.62%, 6.69%, 9/13/2034 (b) (d)

    200,000   222,476
1 yr. CMT + 3.05%, 7.33%, 11/2/2026 (d)

    200,000   205,284
1 yr. CMT + 3.30%, 7.39%, 11/2/2028 (d)

    200,000   216,006
Canadian Imperial Bank of Commerce:          
0.95%, 10/23/2025

    45,000   43,444
1.25%, 6/22/2026

    100,000   95,296
3.60%, 4/7/2032

    90,000   84,216
SOFR + 0.93%, 4.51%, 9/11/2027 (d)

    500,000   502,580
SOFR + 1.34%, 4.63%, 9/11/2030 (d)

    160,000   161,082
5.26%, 4/8/2029 (b)

    65,000   67,504
5.62%, 7/17/2026

    600,000   615,090
6.09%, 10/3/2033

    125,000   136,534
Citibank NA:          
4.84%, 8/6/2029

    455,000   465,565
5.44%, 4/30/2026

    750,000   764,865
5.49%, 12/4/2026

    1,020,000   1,049,407
5.57%, 4/30/2034

    250,000   266,662
5.80%, 9/29/2028

    350,000   370,468
Citigroup, Inc.:          
SOFR + 0.77%, 1.12%, 1/28/2027 (d)

    250,000   239,180
SOFR + 0.77%, 1.46%, 6/9/2027 (d)

    500,000   476,510
SOFR + 1.18%, 2.52%, 11/3/2032 (d)

    145,000   125,730
SOFR + 1.17%, 2.56%, 5/1/2032 (d)

    860,000   756,078
SOFR + 2.11%, 2.57%, 6/3/2031 (d)

    150,000   134,862
SOFR + 1.42%, 2.98%, 11/5/2030 (d)

    100,000   92,953
SOFR + 1.35%, 3.06%, 1/25/2033 (d)

    135,000   120,556
SOFR + 1.28%, 3.07%, 2/24/2028 (d)

    700,000   680,316
3.20%, 10/21/2026

    300,000   293,787
3 mo. USD Term SOFR + 1.41%, 3.52%, 10/27/2028 (d)

    250,000   244,013
3 mo. USD Term SOFR + 1.65%, 3.67%, 7/24/2028 (d)

    100,000   98,218
SOFR + 1.94%, 3.79%, 3/17/2033 (d)

    500,000   468,200
3 mo. USD Term SOFR + 1.82%, 3.89%, 1/10/2028 (d)

    250,000   247,468
Security Description     Principal
Amount
  Value
3 mo. USD Term SOFR + 1.45%, 4.08%, 4/23/2029 (d)

    $250,000   $247,513
4.13%, 7/25/2028

    70,000   69,381
3 mo. USD Term SOFR + 2.10%, 4.28%, 4/24/2048 (d)

    150,000   133,044
4.30%, 11/20/2026

    50,000   49,945
SOFR + 3.91%, 4.41%, 3/31/2031 (d)

    250,000   248,168
4.45%, 9/29/2027

    150,000   150,122
SOFR + 1.34%, 4.54%, 9/19/2030 (b) (d)

    550,000   550,715
4.65%, 7/30/2045

    25,000   23,661
4.65%, 7/23/2048

    250,000   235,960
SOFR + 1.89%, 4.66%, 5/24/2028 (d)

    500,000   503,985
SOFR + 2.09%, 4.91%, 5/24/2033 (d)

    500,000   503,530
SOFR + 1.36%, 5.17%, 2/13/2030 (d)

    550,000   564,586
5.30%, 5/6/2044

    50,000   50,782
SOFR + 4.55%, 5.32%, 3/26/2041 (d)

    250,000   256,230
5 yr. CMT + 1.73%, 5.41%, 9/19/2039 (d)

    500,000   498,425
SOFR + 1.45%, 5.45%, 6/11/2035 (d)

    300,000   313,077
SOFR + 2.06%, 5.83%, 2/13/2035 (d)

    250,000   260,875
SOFR + 2.66%, 6.17%, 5/25/2034 (d)

    285,000   304,132
SOFR + 2.34%, 6.27%, 11/17/2033 (d)

    885,000   971,960
6.68%, 9/13/2043

    175,000   206,127
Citizens Financial Group, Inc.:          
2.50%, 2/6/2030

    75,000   66,647
2.85%, 7/27/2026 (b)

    25,000   24,221
SOFR + 1.91%, 5.72%, 7/23/2032 (d)

    300,000   311,601
SOFR + 2.01%, 5.84%, 1/23/2030 (b) (d)

    125,000   130,031
SOFR + 2.33%, 6.65%, 4/25/2035 (d)

    190,000   208,443
Comerica Bank

SOFR + 2.61%, 5.33%, 8/25/2033 (b) (d)

    250,000   239,715
Comerica, Inc.

4.00%, 2/1/2029

    50,000   48,388
Commonwealth Bank of Australia

5.32%, 3/13/2026

    550,000   560,076
Cooperatieve Rabobank UA:          
3.75%, 7/21/2026

    500,000   492,510
5.50%, 10/5/2026

    200,000   205,700
5.75%, 12/1/2043

    50,000   53,513
 
See accompanying notes to Schedule of Investments.
13

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Deutsche Bank AG:          
SOFR + 1.87%, 2.13%, 11/24/2026 (d)

    $500,000   $484,305
SOFR + 1.22%, 2.31%, 11/16/2027 (d)

    500,000   475,390
SOFR + 1.32%, 2.55%, 1/7/2028 (d)

    500,000   476,485
SOFR + 1.70%, 5.00%, 9/11/2030 (d)

    150,000   150,852
SOFR + 2.05%, 5.40%, 9/11/2035 (d)

    505,000   508,601
SOFR + 1.59%, 5.71%, 2/8/2028 (d)

    150,000   153,204
SOFR + 3.18%, 6.72%, 1/18/2029 (d)

    150,000   158,745
SOFR + 3.65%, 7.08%, 2/10/2034 (d)

    200,000   215,712
SOFR + 2.52%, 7.15%, 7/13/2027 (d)

    330,000   343,603
Discover Bank

3.45%, 7/27/2026

    25,000   24,481
Fifth Third Bancorp:          
2.55%, 5/5/2027 (b)

    500,000   479,200
3.95%, 3/14/2028

    100,000   98,847
SOFR + 1.36%, 4.06%, 4/25/2028 (d)

    60,000   59,316
SOFR + 1.49%, 4.90%, 9/6/2030 (d)

    90,000   91,085
SOFR + 1.84%, 5.63%, 1/29/2032 (d)

    435,000   454,201
Fifth Third Bank NA

3.85%, 3/15/2026

    225,000   222,689
Goldman Sachs Bank USA:          
SOFR + 0.78%, 5.28%, 3/18/2027 (d)

    500,000   506,505
SOFR + 0.75%, 5.41%, 5/21/2027 (d)

    820,000   833,317
Goldman Sachs Group, Inc.:          
SOFR + 0.79%, 1.09%, 12/9/2026 (d)

    450,000   431,707
SOFR + 0.80%, 1.43%, 3/9/2027 (d)

    80,000   76,545
SOFR + 0.82%, 1.54%, 9/10/2027 (d)

    150,000   142,176
SOFR + 0.91%, 1.95%, 10/21/2027 (d)

    230,000   219,271
SOFR + 1.09%, 1.99%, 1/27/2032 (d)

    90,000   76,951
SOFR + 1.25%, 2.38%, 7/21/2032 (d)

    525,000   455,180
2.60%, 2/7/2030

    750,000   688,185
SOFR + 1.28%, 2.62%, 4/22/2032 (d)

    180,000   158,969
SOFR + 1.11%, 2.64%, 2/24/2028 (d)

    590,000   566,966
SOFR + 1.26%, 2.65%, 10/21/2032 (d)

    115,000   100,996
Security Description     Principal
Amount
  Value
SOFR + 1.41%, 3.10%, 2/24/2033 (d)

    $200,000   $179,910
SOFR + 1.51%, 3.21%, 4/22/2042 (d)

    655,000   521,125
SOFR + 1.63%, 3.44%, 2/24/2043 (d)

    1,350,000   1,098,967
3.50%, 11/16/2026

    250,000   246,233
SOFR + 1.85%, 3.62%, 3/15/2028 (d)

    500,000   491,935
3 mo. USD Term SOFR + 1.77%, 3.69%, 6/5/2028 (d)

    250,000   246,033
3.75%, 2/25/2026

    50,000   49,675
3.80%, 3/15/2030

    250,000   243,140
3 mo. USD Term SOFR + 1.63%, 4.02%, 10/31/2038 (d)

    200,000   181,358
3 mo. USD Term SOFR + 1.56%, 4.22%, 5/1/2029 (d)

    500,000   497,020
3 mo. USD Term SOFR + 1.69%, 4.41%, 4/23/2039 (d)

    350,000   329,882
SOFR + 1.73%, 4.48%, 8/23/2028 (d)

    385,000   387,033
4.75%, 10/21/2045

    50,000   48,519
Series MTN, 4.80%, 7/8/2044

    50,000   48,790
SOFR + 1.21%, 5.05%, 7/23/2030 (d)

    1,140,000   1,169,537
5.15%, 5/22/2045

    250,000   249,723
SOFR + 1.55%, 5.33%, 7/23/2035 (d)

    120,000   124,348
SOFR + 1.27%, 5.73%, 4/25/2030 (d)

    150,000   157,640
SOFR + 1.55%, 5.85%, 4/25/2035 (d)

    60,000   64,480
5.95%, 1/15/2027

    50,000   51,809
6.25%, 2/1/2041

    200,000   227,392
SOFR + 1.77%, 6.48%, 10/24/2029 (d)

    1,000,000   1,076,920
SOFR + 1.95%, 6.56%, 10/24/2034 (b) (d)

    750,000   846,577
6.75%, 10/1/2037

    150,000   172,689
HSBC Holdings PLC:          
SOFR + 1.73%, 2.01%, 9/22/2028 (d)

    200,000   186,652
SOFR + 1.29%, 2.21%, 8/17/2029 (d)

    200,000   183,328
SOFR + 1.19%, 2.80%, 5/24/2032 (d)

    200,000   176,906
SOFR + 2.39%, 2.85%, 6/4/2031 (d)

    200,000   182,076
3 mo. USD Term SOFR + 1.81%, 4.04%, 3/13/2028 (d)

    250,000   247,340
 
See accompanying notes to Schedule of Investments.
14

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
3 mo. USD Term SOFR + 1.80%, 4.58%, 6/19/2029 (d)

    $250,000   $250,142
SOFR + 2.53%, 4.76%, 3/29/2033 (d)

    500,000   492,980
4.95%, 3/31/2030

    250,000   256,227
5.25%, 3/14/2044 (b)

    250,000   248,313
SOFR + 2.87%, 5.40%, 8/11/2033 (d)

    250,000   258,985
SOFR + 1.46%, 5.55%, 3/4/2030 (d)

    250,000   259,532
SOFR + 1.06%, 5.60%, 5/17/2028 (d)

    500,000   513,535
SOFR + 1.78%, 5.72%, 3/4/2035 (b) (d)

    250,000   265,747
SOFR + 1.52%, 5.73%, 5/17/2032 (d)

    1,000,000   1,053,650
SOFR + 1.97%, 6.16%, 3/9/2029 (d)

    750,000   789,367
SOFR + 2.39%, 6.25%, 3/9/2034 (d)

    200,000   218,386
SOFR + 2.65%, 6.33%, 3/9/2044 (d)

    1,000,000   1,129,310
6.50%, 9/15/2037

    200,000   219,066
SOFR + 3.03%, 7.34%, 11/3/2026 (d)

    500,000   514,345
SOFR + 3.35%, 7.39%, 11/3/2028 (d)

    500,000   541,215
SOFR + 4.25%, 8.11%, 11/3/2033 (d)

    500,000   595,275
HSBC USA, Inc.

5.29%, 3/4/2027

    500,000   512,485
Huntington Bancshares, Inc.:          
SOFR + 1.87%, 5.71%, 2/2/2035 (d)

    200,000   208,388
SOFR + 2.02%, 6.21%, 8/21/2029 (d)

    300,000   317,346
Huntington National Bank

SOFR + 1.65%, 4.55%, 5/17/2028 (d)

    250,000   250,147
ING Groep NV:          
SOFR + 1.01%, 1.73%, 4/1/2027 (b) (d)

    500,000   479,835
SOFR + 1.83%, 4.02%, 3/28/2028 (d)

    200,000   198,476
4.55%, 10/2/2028

    200,000   201,422
SOFR + 1.44%, 5.34%, 3/19/2030 (d)

    210,000   217,340
SOFR + 1.56%, 6.08%, 9/11/2027 (d)

    200,000   206,230
SOFR + 2.09%, 6.11%, 9/11/2034 (d)

    200,000   218,118
JPMorgan Chase & Co.:          
3 mo. USD Term SOFR + 0.70%, 1.04%, 2/4/2027 (d)

    250,000   238,970
Security Description     Principal
Amount
  Value
SOFR + 0.80%, 1.05%, 11/19/2026 (d)

    $600,000   $576,762
SOFR + 0.77%, 1.47%, 9/22/2027 (d)

    115,000   108,969
SOFR + 0.89%, 1.58%, 4/22/2027 (d)

    135,000   129,389
3 mo. USD Term SOFR + 1.11%, 1.76%, 11/19/2031 (d)

    100,000   86,005
SOFR + 1.07%, 1.95%, 2/4/2032 (d)

    650,000   558,213
SOFR + 1.89%, 2.18%, 6/1/2028 (d)

    200,000   189,654
SOFR + 2.04%, 2.52%, 4/22/2031 (d)

    500,000   454,345
3 mo. USD Term SOFR + 1.51%, 2.53%, 11/19/2041 (d)

    100,000   73,802
SOFR + 1.18%, 2.55%, 11/8/2032 (d)

    155,000   136,332
3 mo. USD Term SOFR + 1.25%, 2.58%, 4/22/2032 (d)

    905,000   807,016
2.95%, 10/1/2026

    350,000   342,856
SOFR + 1.17%, 2.95%, 2/24/2028 (d)

    620,000   601,295
3 mo. USD Term SOFR + 2.52%, 2.96%, 5/13/2031 (d)

    565,000   519,981
SOFR + 1.26%, 2.96%, 1/25/2033 (d)

    100,000   89,919
3 mo. USD Term SOFR + 2.46%, 3.11%, 4/22/2041 (d)

    165,000   132,912
SOFR + 2.44%, 3.11%, 4/22/2051 (d)

    250,000   184,668
SOFR + 1.46%, 3.16%, 4/22/2042 (d)

    1,700,000   1,363,468
SOFR + 1.58%, 3.33%, 4/22/2052 (d)

    485,000   374,425
3 mo. USD Term SOFR + 1.21%, 3.51%, 1/23/2029 (d)

    185,000   180,632
3 mo. USD Term SOFR + 1.64%, 3.54%, 5/1/2028 (d)

    200,000   196,408
3 mo. USD Term SOFR + 1.42%, 3.70%, 5/6/2030 (d)

    125,000   121,590
3 mo. USD Term SOFR + 1.60%, 3.78%, 2/1/2028 (d)

    250,000   247,265
3 mo. USD Term SOFR + 1.62%, 3.88%, 7/24/2038 (d)

    200,000   182,746
3 mo. USD Term SOFR + 1.64%, 3.96%, 11/15/2048 (d)

    100,000   86,351
 
See accompanying notes to Schedule of Investments.
15

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
3 mo. USD Term SOFR + 1.72%, 4.03%, 7/24/2048 (d)

    $50,000   $43,645
4.13%, 12/15/2026

    50,000   49,978
3 mo. USD Term SOFR + 1.52%, 4.20%, 7/23/2029 (d)

    200,000   199,232
4.25%, 10/1/2027 (b)

    80,000   80,522
3 mo. USD Term SOFR + 1.84%, 4.26%, 2/22/2048 (d)

    100,000   90,685
SOFR + 1.56%, 4.32%, 4/26/2028 (d)

    500,000   501,010
3 mo. USD Term SOFR + 3.79%, 4.49%, 3/24/2031 (d)

    250,000   251,395
SOFR + 1.75%, 4.57%, 6/14/2030 (d)

    140,000   141,092
4.85%, 2/1/2044

    50,000   49,733
SOFR + 1.99%, 4.85%, 7/25/2028 (d)

    500,000   509,150
SOFR + 2.08%, 4.91%, 7/25/2033 (d)

    1,000,000   1,021,540
4.95%, 6/1/2045

    50,000   49,881
SOFR + 0.93%, 4.98%, 7/22/2028 (d)

    95,000   96,830
SOFR + 1.13%, 5.00%, 7/22/2030 (d)

    200,000   205,508
SOFR + 1.31%, 5.01%, 1/23/2030 (d)

    100,000   102,562
SOFR + 1.19%, 5.04%, 1/23/2028 (d)

    625,000   635,556
SOFR + 1.46%, 5.29%, 7/22/2035 (d)

    1,085,000   1,131,926
SOFR + 1.45%, 5.30%, 7/24/2029 (d)

    915,000   946,586
SOFR + 1.62%, 5.34%, 1/23/2035 (d)

    1,095,000   1,144,899
SOFR + 1.85%, 5.35%, 6/1/2034 (d)

    1,065,000   1,114,427
5.40%, 1/6/2042

    50,000   53,255
5.50%, 10/15/2040

    150,000   160,524
SOFR + 0.93%, 5.57%, 4/22/2028 (d)

    600,000   618,642
SOFR + 1.16%, 5.58%, 4/22/2030 (d)

    85,000   89,237
5.63%, 8/16/2043

    250,000   271,575
SOFR + 2.58%, 5.72%, 9/14/2033 (d)

    750,000   793,395
SOFR + 1.49%, 5.77%, 4/22/2035 (d)

    395,000   425,332
SOFR + 1.33%, 6.07%, 10/22/2027 (d)

    500,000   518,075
SOFR + 1.57%, 6.09%, 10/23/2029 (d)

    290,000   308,920
SOFR + 1.81%, 6.25%, 10/23/2034 (d)

    200,000   222,428
Security Description     Principal
Amount
  Value
JPMorgan Chase Bank NA

5.11%, 12/8/2026

    $400,000   $408,868
KeyBank NA:          
3.40%, 5/20/2026

    25,000   24,420
4.39%, 12/14/2027

    300,000   297,732
5.00%, 1/26/2033

    500,000   495,435
5.85%, 11/15/2027 (b)

    250,000   259,115
KeyCorp:          
Series MTN, 2.25%, 4/6/2027 (b)

    100,000   94,685
Series MTN, 4.15%, 10/29/2025

    65,000   64,626
Kreditanstalt fuer Wiederaufbau:          
1.00%, 10/1/2026

    500,000   474,025
3.00%, 5/20/2027

    225,000   221,405
3.63%, 4/1/2026

    955,000   951,848
3.75%, 2/15/2028

    425,000   426,687
3.88%, 6/15/2028

    795,000   802,155
4.00%, 3/15/2029 (b)

    580,000   588,874
4.13%, 7/15/2033 (b)

    1,000,000   1,019,230
4.38%, 3/1/2027 (b)

    760,000   772,897
4.38%, 2/28/2034

    260,000   270,319
4.63%, 8/7/2026

    250,000   253,862
4.75%, 10/29/2030 (b)

    400,000   423,376
Landwirtschaftliche Rentenbank:          
Series GMTN, 1.75%, 7/27/2026

    50,000   48,212
Series 44, 3.88%, 6/14/2028

    750,000   755,880
Series MTN, 5.00%, 10/24/2033 (b)

    250,000   270,645
Lloyds Banking Group PLC:          
1 yr. CMT + 0.85%, 1.63%, 5/11/2027 (d)

    200,000   191,116
3.75%, 1/11/2027 (b)

    100,000   98,908
1 yr. CMT + 1.80%, 3.75%, 3/18/2028 (d)

    200,000   196,962
4.34%, 1/9/2048

    200,000   169,824
4.55%, 8/16/2028

    250,000   251,367
4.65%, 3/24/2026

    100,000   99,799
1 yr. CMT + 2.30%, 4.98%, 8/11/2033 (d)

    250,000   252,152
1 yr. CMT + 1.38%, 5.46%, 1/5/2028 (b) (d)

    500,000   511,140
1 yr. CMT + 1.70%, 5.87%, 3/6/2029 (d)

    500,000   521,335
1 yr. CMT + 3.75%, 7.95%, 11/15/2033 (d)

    250,000   292,347
M&T Bank Corp.

SOFR + 1.78%, 4.55%, 8/16/2028 (d)

    165,000   165,132
Manufacturers & Traders Trust Co.:          
4.70%, 1/27/2028

    500,000   502,435
5.40%, 11/21/2025

    250,000   251,557
 
See accompanying notes to Schedule of Investments.
16

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Mitsubishi UFJ Financial Group, Inc.:          
1 yr. CMT + 0.75%, 1.54%, 7/20/2027 (d)

    $100,000   $95,208
1 yr. CMT + 0.67%, 1.64%, 10/13/2027 (d)

    500,000   473,870
1 yr. CMT + 0.95%, 2.31%, 7/20/2032 (d)

    500,000   432,885
2.76%, 9/13/2026 (b)

    25,000   24,332
3.29%, 7/25/2027 (b)

    50,000   48,993
3.68%, 2/22/2027 (b)

    50,000   49,518
3.74%, 3/7/2029 (b)

    250,000   245,878
3.85%, 3/1/2026

    25,000   24,843
3.96%, 3/2/2028 (b)

    50,000   49,682
4.05%, 9/11/2028 (b)

    100,000   99,701
4.29%, 7/26/2038 (b)

    35,000   33,683
1 yr. CMT + 1.70%, 5.24%, 4/19/2029 (d)

    700,000   720,531
1 yr. CMT + 0.82%, 5.26%, 4/17/2030 (d)

    200,000   206,896
1 yr. CMT + 1.90%, 5.35%, 9/13/2028 (d)

    200,000   206,002
1 yr. CMT + 1.38%, 5.42%, 2/22/2029 (d)

    500,000   516,970
1 yr. CMT + 1.00%, 5.43%, 4/17/2035 (d)

    200,000   210,300
1 yr. CMT + 1.63%, 5.44%, 2/22/2034 (b) (d)

    200,000   210,586
1 yr. CMT + 2.13%, 5.47%, 9/13/2033 (b) (d)

    200,000   210,438
1 yr. CMT + 1.53%, 5.48%, 2/22/2031 (d)

    200,000   209,568
Mizuho Financial Group, Inc.:          
3 mo. USD Term SOFR + 1.77%, 2.20%, 7/10/2031 (d)

    500,000   439,160
2.56%, 9/13/2031

    215,000   184,027
3 mo. USD Term SOFR + 1.57%, 2.87%, 9/13/2030 (d)

    200,000   184,778
4.02%, 3/5/2028

    200,000   198,438
1 yr. CMT + 1.08%, 5.38%, 7/10/2030 (d)

    200,000   207,378
1 yr. CMT + 1.12%, 5.38%, 5/26/2030 (d)

    300,000   311,118
1 yr. CMT + 2.05%, 5.41%, 9/13/2028 (d)

    200,000   206,270
1 yr. CMT + 1.30%, 5.59%, 7/10/2035 (d)

    250,000   263,795
1 yr. CMT + 1.50%, 5.67%, 5/27/2029 (d)

    350,000   364,311
1 yr. CMT + 1.80%, 5.75%, 5/27/2034 (d)

    200,000   213,188
1 yr. CMT + 1.65%, 5.78%, 7/6/2029 (d)

    240,000   250,932
Security Description     Principal
Amount
  Value
Morgan Stanley:          
SOFR + 0.72%, 0.99%, 12/10/2026 (d)

    $450,000   $431,154
Series GMTN, SOFR + 0.86%, 1.51%, 7/20/2027 (d)

    700,000   665,665
SOFR + 0.88%, 1.59%, 5/4/2027 (d)

    245,000   234,499
Series MTN, SOFR + 1.03%, 1.79%, 2/13/2032 (d)

    65,000   55,005
Series MTN, SOFR + 1.02%, 1.93%, 4/28/2032 (d)

    525,000   445,252
Series GMTN, SOFR + 1.18%, 2.24%, 7/21/2032 (d)

    200,000   172,082
SOFR + 1.00%, 2.48%, 1/21/2028 (d)

    670,000   643,260
SOFR + 1.36%, 2.48%, 9/16/2036 (d)

    200,000   167,386
Series MTN, SOFR + 1.20%, 2.51%, 10/20/2032 (d)

    110,000   96,041
Series GMTN, SOFR + 1.14%, 2.70%, 1/22/2031 (d)

    250,000   229,043
Series MTN, SOFR + 1.43%, 2.80%, 1/25/2052 (d)

    250,000   172,550
SOFR + 1.29%, 2.94%, 1/21/2033 (d)

    135,000   120,587
Series MTN, 3.13%, 7/27/2026

    225,000   221,020
SOFR + 1.49%, 3.22%, 4/22/2042 (d)

    645,000   520,102
3.59%, 7/22/2028 (d)

    100,000   97,954
Series MTN, SOFR + 3.12%, 3.62%, 4/1/2031 (d)

    500,000   480,195
3.63%, 1/20/2027

    100,000   99,049
Series GMTN, 3.88%, 1/27/2026

    125,000   124,458
3.95%, 4/23/2027

    25,000   24,743
3.97%, 7/22/2038 (d)

    100,000   90,795
SOFR + 1.61%, 4.21%, 4/20/2028 (d)

    175,000   174,661
4.30%, 1/27/2045

    50,000   46,072
Series GMTN, 4.35%, 9/8/2026

    50,000   50,112
Series MTN, 4.38%, 1/22/2047

    100,000   92,226
Series GMTN, 3 mo. USD Term SOFR + 1.89%, 4.43%, 1/23/2030 (d)

    250,000   250,575
3 mo. USD Term SOFR + 1.69%, 4.46%, 4/22/2039 (d)

    250,000   239,740
SOFR + 1.22%, 5.04%, 7/19/2030 (d)

    135,000   138,690
SOFR + 1.30%, 5.05%, 1/28/2027 (d)

    80,000   80,765
 
See accompanying notes to Schedule of Investments.
17

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
SOFR + 1.73%, 5.12%, 2/1/2029 (d)

    $635,000   $650,723
Series MTN, SOFR + 1.59%, 5.16%, 4/20/2029 (d)

    155,000   159,298
SOFR + 1.45%, 5.17%, 1/16/2030 (d)

    170,000   175,228
Series MTN, SOFR + 1.87%, 5.25%, 4/21/2034 (d)

    180,000   185,944
SOFR + 2.62%, 5.30%, 4/20/2037 (d)

    160,000   161,166
SOFR + 1.56%, 5.32%, 7/19/2035 (d)

    200,000   207,796
Series MTN, SOFR + 1.88%, 5.42%, 7/21/2034 (d)

    190,000   198,320
SOFR + 1.63%, 5.45%, 7/20/2029 (d)

    290,000   301,182
SOFR + 1.73%, 5.47%, 1/18/2035 (d)

    140,000   146,378
Series GMTN, SOFR + 4.84%, 5.60%, 3/24/2051 (d)

    500,000   547,070
Series MTN, SOFR + 1.01%, 5.65%, 4/13/2028 (d)

    75,000   77,435
SOFR + 1.26%, 5.66%, 4/18/2030 (d)

    915,000   962,580
SOFR + 1.58%, 5.83%, 4/19/2035 (d)

    115,000   123,480
5 yr. CMT + 1.80%, 5.94%, 2/7/2039 (d)

    1,000,000   1,049,100
5 yr. CMT + 2.43%, 5.95%, 1/19/2038 (d)

    135,000   141,650
SOFR + 1.77%, 6.14%, 10/16/2026 (d)

    250,000   253,985
SOFR + 2.24%, 6.30%, 10/18/2028 (d)

    250,000   264,390
SOFR + 2.56%, 6.34%, 10/18/2033 (d)

    980,000   1,089,505
6.38%, 7/24/2042

    65,000   76,681
SOFR + 1.83%, 6.41%, 11/1/2029 (d)

    1,040,000   1,117,657
SOFR + 2.05%, 6.63%, 11/1/2034 (d)

    230,000   260,277
Morgan Stanley Bank NA:          
4.75%, 4/21/2026

    500,000   504,610
SOFR + 1.08%, 4.95%, 1/14/2028 (d)

    500,000   507,380
SOFR + 0.93%, 4.97%, 7/14/2028 (d)

    300,000   306,438
SOFR + 0.87%, 5.50%, 5/26/2028 (d)

    250,000   257,855
National Australia Bank Ltd.:          
2.50%, 7/12/2026

    50,000   48,735
4.79%, 1/10/2029

    250,000   256,612
4.94%, 1/12/2028

    300,000   307,554
4.97%, 1/12/2026

    250,000   252,612
5.09%, 6/11/2027

    250,000   256,890
Security Description     Principal
Amount
  Value
National Bank of Canada

SOFR + 1.04%, 5.60%, 7/2/2027 (d)

    $250,000   $255,087
NatWest Group PLC:          
1 yr. CMT + 2.55%, 3.07%, 5/22/2028 (d)

    500,000   483,180
3 mo. USD Term SOFR + 1.87%, 4.45%, 5/8/2030 (d)

    200,000   198,572
1 yr. CMT + 1.22%, 4.96%, 8/15/2030 (d)

    550,000   558,349
1 yr. CMT + 1.95%, 5.81%, 9/13/2029 (b) (d)

    750,000   785,017
1 yr. CMT + 1.35%, 5.85%, 3/2/2027 (d)

    550,000   559,850
Northern Trust Corp.:          
1.95%, 5/1/2030 (b)

    75,000   66,801
3 mo. USD Term SOFR + 1.13%, 3.38%, 5/8/2032 (d)

    63,000   61,356
3.65%, 8/3/2028 (b)

    100,000   98,875
4.00%, 5/10/2027

    100,000   100,091
Oesterreichische Kontrollbank AG

4.63%, 11/3/2025

    645,000   648,586
PNC Bank NA

3.25%, 1/22/2028 (b)

    250,000   242,015
PNC Financial Services Group, Inc.:          
SOFR + 0.98%, 2.31%, 4/23/2032 (b) (d)

    135,000   117,686
2.55%, 1/22/2030

    500,000   458,555
3.15%, 5/19/2027

    100,000   97,503
3.45%, 4/23/2029

    100,000   97,104
SOFR + 1.85%, 4.63%, 6/6/2033 (d)

    100,000   98,522
SOFR + 1.09%, 4.76%, 1/26/2027 (d)

    115,000   115,459
SOFR + 0.80%, 5.10%, 7/23/2027 (d)

    100,000   101,431
SOFR + 1.62%, 5.35%, 12/2/2028 (d)

    500,000   516,710
SOFR + 1.60%, 5.40%, 7/23/2035 (d)

    40,000   41,724
SOFR + 1.20%, 5.49%, 5/14/2030 (d)

    500,000   522,460
SOFR + 1.84%, 5.58%, 6/12/2029 (d)

    750,000   780,510
SOFR + 1.90%, 5.68%, 1/22/2035 (d)

    125,000   132,571
SOFR + 1.73%, 6.62%, 10/20/2027 (d)

    175,000   182,889
SOFR + 2.28%, 6.88%, 10/20/2034 (d)

    200,000   229,090
Regions Financial Corp.:          
SOFR + 2.06%, 5.50%, 9/6/2035 (d)

    115,000   117,023
 
See accompanying notes to Schedule of Investments.
18

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
SOFR + 1.49%, 5.72%, 6/6/2030 (d)

    $180,000   $186,480
Royal Bank of Canada:          
Series GMTN, 1.15%, 7/14/2026

    100,000   95,019
1.20%, 4/27/2026

    100,000   95,757
2.05%, 1/21/2027

    100,000   95,727
Series GMTN, 2.30%, 11/3/2031

    100,000   87,473
3.63%, 5/4/2027

    250,000   247,575
3.88%, 5/4/2032 (b)

    500,000   482,730
Series GMTN, 4.65%, 1/27/2026

    100,000   100,209
Series GMTN, 4.90%, 1/12/2028

    500,000   511,470
Series GMTN, 4.95%, 2/1/2029 (b)

    500,000   515,260
Series GMTN, SOFR + 1.10%, 4.97%, 8/2/2030 (d)

    70,000   71,832
Series GMTN, SOFR + 0.79%, 5.07%, 7/23/2027 (d)

    90,000   91,398
Series GMTN, 5.20%, 8/1/2028

    500,000   519,170
Series MTN, 6.00%, 11/1/2027

    200,000   211,042
Santander Holdings USA, Inc.:          
4.40%, 7/13/2027

    50,000   49,866
SOFR + 1.94%, 5.35%, 9/6/2030 (b) (d)

    200,000   202,204
SOFR + 1.23%, 6.12%, 5/31/2027 (b) (d)

    75,000   76,595
SOFR + 2.36%, 6.50%, 3/9/2029 (d)

    675,000   706,522
Santander U.K. Group Holdings PLC:          
SOFR + 0.99%, 1.67%, 6/14/2027 (d)

    250,000   237,803
3 mo. USD Term SOFR + 1.40%, 3.82%, 11/3/2028 (d)

    200,000   195,604
SOFR + 1.55%, 4.86%, 9/11/2030 (d)

    200,000   201,628
SOFR + 2.75%, 6.83%, 11/21/2026 (d)

    250,000   255,365
Sumitomo Mitsui Financial Group, Inc.:          
1.90%, 9/17/2028

    550,000   501,468
2.14%, 9/23/2030

    200,000   175,158
2.30%, 1/12/2041 (b)

    750,000   536,580
3.01%, 10/19/2026

    50,000   48,789
3.04%, 7/16/2029

    200,000   188,290
3.36%, 7/12/2027 (b)

    50,000   48,924
3.78%, 3/9/2026

    30,000   29,791
3.94%, 7/19/2028 (b)

    50,000   49,434
4.31%, 10/16/2028 (b)

    100,000   100,519
Security Description     Principal
Amount
  Value
5.46%, 1/13/2026

    $500,000   $506,875
5.52%, 1/13/2028

    1,150,000   1,191,986
5.56%, 7/9/2034

    200,000   212,352
5.71%, 1/13/2030

    350,000   370,604
5.77%, 1/13/2033 (b)

    200,000   215,034
5.80%, 7/13/2028

    500,000   525,440
5.88%, 7/13/2026

    250,000   256,782
Synovus Bank

5.63%, 2/15/2028

    250,000   251,305
Toronto-Dominion Bank:          
Series MTN, 1.20%, 6/3/2026

    100,000   95,342
Series MTN, 1.25%, 9/10/2026

    100,000   94,894
Series MTN, 2.00%, 9/10/2031 (b)

    100,000   86,628
Series GMTN, 2.45%, 1/12/2032

    150,000   131,363
Series MTN, 3.20%, 3/10/2032

    200,000   183,106
4.11%, 6/8/2027

    200,000   199,972
Series GMTN, 4.98%, 4/5/2027

    100,000   102,047
Series GMTN, 4.99%, 4/5/2029 (b)

    100,000   103,054
5 yr. CMT + 1.50%, 5.15%, 9/10/2034 (b) (d)

    760,000   768,945
5.16%, 1/10/2028 (b)

    500,000   514,965
5.26%, 12/11/2026

    130,000   133,216
Series MTN, 5.52%, 7/17/2028

    200,000   209,180
Series MTN, 5.53%, 7/17/2026

    200,000   205,092
Truist Bank

4.05%, 11/3/2025

    40,000   39,870
Truist Financial Corp.:          
Series MTN, 1.13%, 8/3/2027

    100,000   91,880
Series MTN, SOFR + 0.61%, 1.27%, 3/2/2027 (d)

    60,000   57,208
Series MTN, SOFR + 0.86%, 1.89%, 6/7/2029 (d)

    50,000   45,705
Series MTN, 3.88%, 3/19/2029 (b)

    100,000   97,563
Series MTN, SOFR + 1.37%, 4.12%, 6/6/2028 (d)

    180,000   178,729
Series MTN, SOFR + 1.44%, 4.87%, 1/26/2029 (d)

    105,000   106,108
Series MTN, SOFR + 1.57%, 5.15%, 8/5/2032 (d)

    250,000   255,962
Series MTN, SOFR + 1.62%, 5.44%, 1/24/2030 (d)

    110,000   113,871
Series MTN, SOFR + 1.92%, 5.71%, 1/24/2035 (d)

    95,000   100,108
Series MTN, SOFR + 2.36%, 5.87%, 6/8/2034 (d)

    750,000   797,625
 
See accompanying notes to Schedule of Investments.
19

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Series MTN, SOFR + 2.05%, 6.05%, 6/8/2027 (d)

    $750,000   $769,695
Series MTN, SOFR + 2.30%, 6.12%, 10/28/2033 (d)

    350,000   377,489
U.S. Bancorp:          
Series MTN, 1.38%, 7/22/2030 (b)

    150,000   128,078
Series MTN, SOFR + 0.73%, 2.22%, 1/27/2028 (b) (d)

    200,000   190,952
Series MTN, SOFR + 1.02%, 2.68%, 1/27/2033 (d)

    200,000   175,086
Series DMTN, 3.00%, 7/30/2029

    100,000   93,928
Series MTN, 3.10%, 4/27/2026

    50,000   49,095
SOFR + 1.23%, 4.65%, 2/1/2029 (b) (d)

    200,000   201,852
SOFR + 1.60%, 4.84%, 2/1/2034 (d)

    400,000   399,824
SOFR + 1.25%, 5.10%, 7/23/2030 (d)

    165,000   169,787
SOFR + 1.56%, 5.38%, 1/23/2030 (d)

    130,000   134,895
SOFR + 1.86%, 5.68%, 1/23/2035 (d)

    500,000   530,000
SOFR + 2.02%, 5.78%, 6/12/2029 (d)

    750,000   785,865
SOFR + 2.26%, 5.84%, 6/12/2034 (d)

    250,000   266,787
SOFR + 2.09%, 5.85%, 10/21/2033 (d)

    155,000   165,266
UBS AG:          
1.25%, 6/1/2026

    350,000   333,697
5.65%, 9/11/2028

    450,000   472,140
7.50%, 2/15/2028

    500,000   549,115
Wells Fargo & Co.:          
Series MTN, SOFR + 2.10%, 2.39%, 6/2/2028 (d)

    200,000   190,160
Series MTN, 3 mo. USD Term SOFR + 1.26%, 2.57%, 2/11/2031 (d)

    250,000   227,038
3.00%, 4/22/2026

    250,000   245,585
3.00%, 10/23/2026

    250,000   244,320
SOFR + 2.53%, 3.07%, 4/30/2041 (d)

    915,000   721,779
Series MTN, 3 mo. USD Term SOFR + 1.43%, 3.20%, 6/17/2027 (d)

    110,000   107,921
Series MTN, SOFR + 1.50%, 3.35%, 3/2/2033 (d)

    695,000   635,515
Series MTN, SOFR + 1.51%, 3.53%, 3/24/2028 (d)

    665,000   652,451
Series MTN, 3 mo. USD Term SOFR + 1.57%, 3.58%, 5/22/2028 (d)

    350,000   343,234
Series MTN, 4.15%, 1/24/2029

    250,000   249,083
Security Description     Principal
Amount
  Value
Series GMTN, 4.30%, 7/22/2027

    $50,000   $50,084
Series MTN, 3 mo. USD Term SOFR + 4.03%, 4.48%, 4/4/2031 (d)

    150,000   150,224
Series MTN, SOFR + 2.13%, 4.61%, 4/25/2053 (d)

    1,250,000   1,158,037
Series MTN, SOFR + 1.98%, 4.81%, 7/25/2028 (d)

    165,000   166,904
Series GMTN, 4.90%, 11/17/2045

    150,000   140,756
Series MTN, SOFR + 2.10%, 4.90%, 7/25/2033 (d)

    500,000   505,800
Series MTN, 3 mo. USD Term SOFR + 4.50%, 5.01%, 4/4/2051 (d)

    1,500,000   1,471,440
SOFR + 1.50%, 5.20%, 1/23/2030 (d)

    640,000   659,782
5.38%, 11/2/2043

    150,000   150,773
SOFR + 2.02%, 5.39%, 4/24/2034 (d)

    760,000   788,386
SOFR + 1.78%, 5.50%, 1/23/2035 (d)

    530,000   555,694
Series MTN, SOFR + 1.99%, 5.56%, 7/25/2034 (d)

    600,000   629,454
Series MTN, SOFR + 1.74%, 5.57%, 7/25/2029 (d)

    435,000   452,530
5.61%, 1/15/2044

    325,000   334,763
Series MTN, SOFR + 1.07%, 5.71%, 4/22/2028 (d)

    600,000   619,668
SOFR + 1.79%, 6.30%, 10/23/2029 (d)

    270,000   288,714
SOFR + 2.06%, 6.49%, 10/23/2034 (d)

    250,000   279,467
Wells Fargo Bank NA:          
4.81%, 1/15/2026

    250,000   251,877
5.25%, 12/11/2026

    780,000   799,445
5.45%, 8/7/2026

    470,000   481,242
Westpac Banking Corp.:          
1.15%, 6/3/2026

    100,000   95,321
2.15%, 6/3/2031 (b)

    600,000   526,686
5 yr. CMT + 1.75%, 2.67%, 11/15/2035 (d)

    40,000   34,892
2.85%, 5/13/2026

    50,000   49,088
2.96%, 11/16/2040 (b)

    530,000   400,187
3.35%, 3/8/2027

    150,000   147,914
3.40%, 1/25/2028

    100,000   97,993
5 yr. CMT + 2.00%, 4.11%, 7/24/2034 (d)

    30,000   28,997
4.42%, 7/24/2039 (b)

    25,000   23,638
5.20%, 4/16/2026

    350,000   356,363
1 yr. CMT + 2.68%, 5.41%, 8/10/2033 (b) (d)

    250,000   255,997
5.46%, 11/18/2027

    250,000   260,290
6.82%, 11/17/2033 (b)

    750,000   848,482
 
See accompanying notes to Schedule of Investments.
20

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Zions Bancorp NA

3.25%, 10/29/2029

    $250,000   $223,088
          185,854,598
BEVERAGES — 0.5%   
Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc.:          
4.70%, 2/1/2036

    925,000   928,348
4.90%, 2/1/2046

    1,750,000   1,722,927
Anheuser-Busch InBev Worldwide, Inc.:          
3.50%, 6/1/2030

    500,000   485,205
4.00%, 4/13/2028 (b)

    80,000   80,172
4.35%, 6/1/2040

    500,000   472,245
4.38%, 4/15/2038

    215,000   206,996
4.60%, 4/15/2048

    35,000   33,249
4.75%, 1/23/2029 (b)

    750,000   769,747
4.90%, 1/23/2031

    65,000   67,594
4.95%, 1/15/2042

    250,000   249,895
5.00%, 6/15/2034

    250,000   260,468
5.45%, 1/23/2039

    350,000   374,311
5.55%, 1/23/2049

    350,000   377,328
5.80%, 1/23/2059

    45,000   50,718
Brown-Forman Corp.:          
4.00%, 4/15/2038

    50,000   46,308
4.75%, 4/15/2033 (b)

    200,000   204,576
Coca-Cola Co.:          
1.00%, 3/15/2028

    250,000   228,225
1.38%, 3/15/2031

    200,000   169,564
1.45%, 6/1/2027

    790,000   745,278
1.50%, 3/5/2028

    60,000   55,527
2.00%, 3/5/2031

    65,000   57,442
2.13%, 9/6/2029 (b)

    150,000   138,308
2.25%, 1/5/2032 (b)

    100,000   88,911
2.50%, 3/15/2051

    250,000   164,015
2.60%, 6/1/2050

    350,000   236,590
2.88%, 5/5/2041

    100,000   79,004
3.00%, 3/5/2051

    90,000   65,943
4.65%, 8/14/2034

    110,000   112,543
5.00%, 5/13/2034

    100,000   105,340
5.20%, 1/14/2055

    100,000   104,882
5.30%, 5/13/2054

    350,000   372,795
5.40%, 5/13/2064

    90,000   95,973
Coca-Cola Femsa SAB de CV

1.85%, 9/1/2032

    250,000   205,455
Constellation Brands, Inc.:          
2.25%, 8/1/2031

    250,000   215,988
2.88%, 5/1/2030

    25,000   23,051
3.15%, 8/1/2029

    100,000   94,877
3.75%, 5/1/2050

    20,000   15,795
4.50%, 5/9/2047

    50,000   45,101
4.65%, 11/15/2028

    30,000   30,364
5.00%, 2/2/2026

    665,000   664,741
Diageo Capital PLC:          
2.13%, 4/29/2032

    500,000   427,995
Security Description     Principal
Amount
  Value
3.88%, 5/18/2028

    $200,000   $198,798
5.30%, 10/24/2027

    550,000   570,394
Diageo Investment Corp.

4.25%, 5/11/2042

    25,000   22,836
Keurig Dr. Pepper, Inc.:          
2.25%, 3/15/2031 (b)

    40,000   35,172
3.20%, 5/1/2030

    45,000   42,467
3.35%, 3/15/2051

    280,000   207,544
3.80%, 5/1/2050

    70,000   56,623
3.95%, 4/15/2029 (b)

    200,000   197,634
4.50%, 4/15/2052

    500,000   452,555
5.05%, 3/15/2029

    665,000   686,001
5.30%, 3/15/2034

    200,000   209,370
Molson Coors Beverage Co.:          
3.00%, 7/15/2026

    50,000   49,098
4.20%, 7/15/2046

    530,000   458,206
Pepsico Singapore Financing I Pte. Ltd.

4.70%, 2/16/2034

    250,000   255,225
PepsiCo, Inc.:          
1.40%, 2/25/2031 (b)

    40,000   33,900
1.63%, 5/1/2030

    75,000   65,972
2.63%, 7/29/2029 (b)

    50,000   47,212
2.75%, 10/21/2051

    200,000   137,210
2.85%, 2/24/2026

    85,000   83,781
2.88%, 10/15/2049

    100,000   71,419
3.38%, 7/29/2049

    35,000   27,279
3.45%, 10/6/2046

    150,000   121,134
3.60%, 2/18/2028

    550,000   545,913
4.45%, 5/15/2028 (b)

    100,000   102,104
4.45%, 2/15/2033 (b)

    100,000   104,343
4.50%, 7/17/2029 (b)

    100,000   102,857
4.55%, 2/13/2026 (b)

    65,000   65,528
4.65%, 2/15/2053

    850,000   822,205
4.80%, 7/17/2034

    100,000   103,267
5.13%, 11/10/2026

    65,000   66,674
5.25%, 11/10/2025

    350,000   354,924
5.25%, 7/17/2054

    100,000   105,788
          17,277,227
BIOTECHNOLOGY — 0.3%   
Amgen, Inc.:          
1.65%, 8/15/2028

    250,000   227,577
2.20%, 2/21/2027

    820,000   784,986
2.30%, 2/25/2031 (b)

    100,000   88,529
2.77%, 9/1/2053

    65,000   42,221
3.15%, 2/21/2040

    850,000   677,900
3.20%, 11/2/2027

    250,000   243,407
3.38%, 2/21/2050

    100,000   76,122
4.05%, 8/18/2029

    500,000   495,805
4.20%, 2/22/2052

    500,000   425,070
4.40%, 5/1/2045

    50,000   44,884
4.56%, 6/15/2048

    200,000   181,000
4.66%, 6/15/2051

    150,000   137,153
4.88%, 3/1/2053

    500,000   470,285
5.25%, 3/2/2033

    680,000   707,798
 
See accompanying notes to Schedule of Investments.
21

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
5.51%, 3/2/2026

    $85,000   $85,003
5.65%, 3/2/2053

    910,000   957,602
5.75%, 3/2/2063

    795,000   838,351
Biogen, Inc.:          
2.25%, 5/1/2030

    35,000   31,252
3.25%, 2/15/2051

    308,000   216,071
Gilead Sciences, Inc.:          
1.20%, 10/1/2027 (b)

    295,000   271,952
1.65%, 10/1/2030 (b)

    290,000   250,360
2.60%, 10/1/2040

    350,000   261,866
2.80%, 10/1/2050

    150,000   101,952
2.95%, 3/1/2027

    25,000   24,379
3.65%, 3/1/2026

    85,000   84,323
4.15%, 3/1/2047

    120,000   105,155
4.50%, 2/1/2045

    25,000   23,136
4.60%, 9/1/2035

    100,000   100,098
4.75%, 3/1/2046

    175,000   167,477
4.80%, 4/1/2044

    25,000   24,158
5.55%, 10/15/2053

    500,000   536,450
Illumina, Inc.:          
5.75%, 12/13/2027

    100,000   103,868
5.80%, 12/12/2025

    250,000   253,237
Regeneron Pharmaceuticals, Inc.:          
1.75%, 9/15/2030

    35,000   30,228
2.80%, 9/15/2050

    30,000   19,720
Royalty Pharma PLC:          
2.20%, 9/2/2030

    40,000   35,028
3.30%, 9/2/2040

    65,000   50,369
3.55%, 9/2/2050

    315,000   228,284
5.40%, 9/2/2034 (b)

    250,000   256,407
5.90%, 9/2/2054 (b)

    210,000   217,218
          9,876,681
CHEMICALS — 0.4%   
Air Products & Chemicals, Inc.:          
1.50%, 10/15/2025

    20,000   19,463
2.05%, 5/15/2030

    20,000   17,959
2.70%, 5/15/2040

    50,000   38,342
2.80%, 5/15/2050

    35,000   24,200
4.60%, 2/8/2029 (b)

    250,000   256,112
4.80%, 3/3/2033 (b)

    250,000   258,355
Cabot Corp.

4.00%, 7/1/2029 (b)

    25,000   24,792
Celanese U.S. Holdings LLC:          
6.17%, 7/15/2027

    600,000   621,966
6.38%, 7/15/2032

    600,000   641,826
Dow Chemical Co.:          
2.10%, 11/15/2030 (b)

    500,000   444,310
3.60%, 11/15/2050

    750,000   564,922
4.25%, 10/1/2034

    36,000   34,883
4.38%, 11/15/2042

    50,000   44,142
4.80%, 11/30/2028 (b)

    100,000   102,107
4.80%, 5/15/2049

    65,000   59,296
6.90%, 5/15/2053

    500,000   598,070
Security Description     Principal
Amount
  Value
DuPont de Nemours, Inc.:          
4.49%, 11/15/2025

    $100,000   $99,792
4.73%, 11/15/2028

    150,000   152,927
5.42%, 11/15/2048

    610,000   674,556
Eastman Chemical Co.:          
4.50%, 12/1/2028 (b)

    100,000   100,565
5.00%, 8/1/2029

    65,000   66,470
5.75%, 3/8/2033

    250,000   264,327
Ecolab, Inc.:          
1.65%, 2/1/2027

    500,000   475,355
2.70%, 11/1/2026

    150,000   146,190
2.75%, 8/18/2055

    500,000   332,470
FMC Corp.

4.50%, 10/1/2049

    100,000   82,683
Huntsman International LLC:          
4.50%, 5/1/2029

    20,000   19,647
5.70%, 10/15/2034

    85,000   84,304
International Flavors & Fragrances, Inc.

4.45%, 9/26/2028 (b)

    45,000   45,230
Linde, Inc.:          
1.10%, 8/10/2030

    500,000   425,790
3.20%, 1/30/2026

    275,000   272,123
3.55%, 11/7/2042

    25,000   21,162
4.70%, 12/5/2025

    250,000   251,833
LYB International Finance BV

4.88%, 3/15/2044

    25,000   23,230
LYB International Finance III LLC:          
1.25%, 10/1/2025

    20,000   19,329
2.25%, 10/1/2030 (b)

    25,000   22,154
3.38%, 10/1/2040

    280,000   221,164
3.63%, 4/1/2051

    40,000   29,768
3.80%, 10/1/2060

    30,000   22,095
4.20%, 10/15/2049

    50,000   41,006
4.20%, 5/1/2050

    50,000   40,998
5.50%, 3/1/2034

    500,000   520,515
LyondellBasell Industries NV

4.63%, 2/26/2055 (b)

    25,000   21,756
Mosaic Co.:          
4.05%, 11/15/2027

    250,000   247,515
5.63%, 11/15/2043

    25,000   25,208
NewMarket Corp.

2.70%, 3/18/2031

    750,000   658,080
Nutrien Ltd.:          
2.95%, 5/13/2030

    100,000   93,011
4.00%, 12/15/2026

    50,000   49,647
4.13%, 3/15/2035

    25,000   23,307
4.20%, 4/1/2029

    85,000   84,714
4.90%, 3/27/2028

    140,000   142,831
5.00%, 4/1/2049

    150,000   141,959
5.80%, 3/27/2053

    750,000   794,130
PPG Industries, Inc.:          
1.20%, 3/15/2026

    70,000   66,910
2.80%, 8/15/2029

    100,000   93,434
 
See accompanying notes to Schedule of Investments.
22

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
RPM International, Inc.:          
2.95%, 1/15/2032

    $500,000   $443,125
3.75%, 3/15/2027

    50,000   49,285
4.25%, 1/15/2048 (b)

    200,000   175,084
5.25%, 6/1/2045

    25,000   24,389
Sherwin-Williams Co.:          
2.20%, 3/15/2032 (b)

    155,000   133,822
2.30%, 5/15/2030

    60,000   54,019
2.95%, 8/15/2029

    50,000   47,025
3.30%, 5/15/2050

    100,000   73,433
3.45%, 6/1/2027

    30,000   29,511
3.80%, 8/15/2049

    50,000   40,252
4.50%, 6/1/2047

    500,000   456,425
4.55%, 3/1/2028

    100,000   101,231
Westlake Corp.:          
3.13%, 8/15/2051 (b)

    350,000   236,667
4.38%, 11/15/2047

    150,000   129,216
5.00%, 8/15/2046

    100,000   94,606
          12,737,020
COMMERCIAL SERVICES — 0.2%   
Automatic Data Processing, Inc.:          
1.25%, 9/1/2030

    75,000   64,281
1.70%, 5/15/2028

    60,000   55,710
Block Financial LLC

3.88%, 8/15/2030 (b)

    30,000   28,704
California Institute of Technology

3.65%, 9/1/2119

    45,000   32,230
Cintas Corp. No. 2

3.70%, 4/1/2027

    150,000   148,992
Equifax, Inc.:          
4.80%, 9/15/2029

    350,000   353,986
5.10%, 12/15/2027

    115,000   117,528
George Washington University

Series 2018, 4.13%, 9/15/2048

    100,000   89,733
Georgetown University

Series 20A, 2.94%, 4/1/2050

    25,000   17,862
Global Payments, Inc.:          
1.20%, 3/1/2026

    75,000   71,702
2.15%, 1/15/2027

    100,000   95,341
3.20%, 8/15/2029

    500,000   468,315
4.45%, 6/1/2028

    100,000   99,647
GXO Logistics, Inc.

1.65%, 7/15/2026

    750,000   713,362
Massachusetts Institute of Technology:          
Series F, 2.99%, 7/1/2050

    100,000   75,164
3.96%, 7/1/2038

    50,000   48,265
Moody's Corp.:          
2.00%, 8/19/2031 (b)

    100,000   86,196
2.75%, 8/19/2041

    350,000   259,325
5.00%, 8/5/2034

    70,000   71,648
Security Description     Principal
Amount
  Value
Northwestern University

Series 2017, 3.66%, 12/1/2057

    $150,000   $123,862
PayPal Holdings, Inc.:          
2.30%, 6/1/2030

    55,000   49,827
2.65%, 10/1/2026

    270,000   263,083
2.85%, 10/1/2029

    30,000   28,216
3.25%, 6/1/2050 (b)

    65,000   48,147
3.90%, 6/1/2027

    70,000   70,004
5.05%, 6/1/2052 (b)

    500,000   498,610
5.15%, 6/1/2034 (b)

    250,000   260,755
President & Fellows of Harvard College:          
3.15%, 7/15/2046

    225,000   177,496
4.61%, 2/15/2035

    350,000   358,771
Quanta Services, Inc.:          
2.35%, 1/15/2032

    55,000   47,150
3.05%, 10/1/2041

    250,000   189,687
5.25%, 8/9/2034

    350,000   357,651
RELX Capital, Inc.

4.00%, 3/18/2029

    100,000   99,095
S&P Global, Inc.:          
2.45%, 3/1/2027

    545,000   525,511
2.50%, 12/1/2029 (b)

    55,000   50,795
2.90%, 3/1/2032

    70,000   63,666
3.25%, 12/1/2049

    65,000   49,298
3.70%, 3/1/2052

    525,000   428,479
3.90%, 3/1/2062

    30,000   24,401
5.25%, 9/15/2033

    250,000   265,057
Trustees of Princeton University

Series 2020, 2.52%, 7/1/2050

    20,000   14,021
Trustees of the University of Pennsylvania

3.61%, 2/15/2119

    25,000   18,076
University of Chicago

Series 20B, 2.76%, 4/1/2045

    10,000   8,062
University of Southern California:          
2.81%, 10/1/2050

    50,000   35,277
3.03%, 10/1/2039

    25,000   21,283
Series A, 3.23%, 10/1/2120

    35,000   23,094
4.98%, 10/1/2053 (b)

    490,000   505,954
Verisk Analytics, Inc.:          
4.13%, 3/15/2029

    120,000   119,360
5.25%, 6/5/2034

    180,000   185,855
5.75%, 4/1/2033

    115,000   123,778
          7,932,312
COMPUTERS — 0.4%   
Apple, Inc.:          
0.70%, 2/8/2026

    200,000   191,784
1.20%, 2/8/2028

    500,000   460,475
1.25%, 8/20/2030 (b)

    200,000   173,022
 
See accompanying notes to Schedule of Investments.
23

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
1.40%, 8/5/2028

    $500,000   $458,715
1.65%, 5/11/2030

    90,000   79,806
1.65%, 2/8/2031

    200,000   174,866
2.05%, 9/11/2026

    750,000   725,767
2.38%, 2/8/2041

    50,000   37,516
2.40%, 8/20/2050

    110,000   72,828
2.65%, 5/11/2050

    300,000   207,618
2.65%, 2/8/2051

    200,000   137,326
2.70%, 8/5/2051

    350,000   241,756
2.80%, 2/8/2061

    100,000   66,830
3.00%, 11/13/2027

    100,000   97,968
3.20%, 5/11/2027

    250,000   246,633
3.25%, 2/23/2026

    150,000   148,649
3.25%, 8/8/2029 (b)

    750,000   731,640
3.45%, 2/9/2045

    350,000   293,111
3.85%, 5/4/2043

    25,000   22,495
3.85%, 8/4/2046

    150,000   132,036
3.95%, 8/8/2052 (b)

    500,000   439,625
4.10%, 8/8/2062

    750,000   664,387
4.38%, 5/13/2045

    75,000   72,030
4.50%, 2/23/2036 (b)

    350,000   362,159
4.65%, 2/23/2046

    75,000   74,449
Dell International LLC/EMC Corp.:          
4.90%, 10/1/2026

    100,000   101,083
5.25%, 2/1/2028

    500,000   516,395
5.75%, 2/1/2033 (b)

    65,000   69,748
6.02%, 6/15/2026

    371,000   380,030
6.20%, 7/15/2030

    250,000   271,775
8.35%, 7/15/2046

    252,000   340,860
DXC Technology Co.:          
1.80%, 9/15/2026

    100,000   94,791
2.38%, 9/15/2028

    100,000   90,596
Hewlett Packard Enterprise Co.:          
1.75%, 4/1/2026

    150,000   144,257
4.90%, 10/15/2025

    70,000   70,054
6.10%, 4/1/2026

    350,000   350,000
6.20%, 10/15/2035

    10,000   10,901
6.35%, 10/15/2045 (b)

    10,000   10,959
HP, Inc.:          
1.45%, 6/17/2026

    200,000   190,692
4.00%, 4/15/2029 (b)

    500,000   491,970
4.20%, 4/15/2032

    200,000   193,758
6.00%, 9/15/2041 (b)

    250,000   268,842
International Business Machines Corp.:          
1.70%, 5/15/2027

    850,000   800,181
1.95%, 5/15/2030

    350,000   309,683
2.72%, 2/9/2032 (b)

    100,000   89,758
2.85%, 5/15/2040

    100,000   77,023
2.95%, 5/15/2050

    100,000   69,152
3.30%, 5/15/2026

    250,000   246,765
3.50%, 5/15/2029

    215,000   208,817
4.15%, 7/27/2027

    250,000   250,993
Security Description     Principal
Amount
  Value
4.15%, 5/15/2039

    $100,000   $91,988
4.70%, 2/19/2046

    325,000   309,091
5.88%, 11/29/2032

    25,000   27,449
Leidos, Inc.:          
2.30%, 2/15/2031

    55,000   47,770
5.75%, 3/15/2033

    95,000   99,988
Western Digital Corp.:          
2.85%, 2/1/2029

    30,000   27,320
3.10%, 2/1/2032

    55,000   47,383
          12,613,563
CONSTRUCTION MATERIALS — 0.1%   
Carrier Global Corp.:          
2.49%, 2/15/2027

    35,000   33,817
2.70%, 2/15/2031

    250,000   225,708
2.72%, 2/15/2030

    300,000   277,110
3.38%, 4/5/2040

    515,000   425,539
3.58%, 4/5/2050

    550,000   434,010
Fortune Brands Innovations, Inc.:          
4.00%, 3/25/2032

    200,000   190,618
5.88%, 6/1/2033

    65,000   69,726
Johnson Controls International PLC

4.50%, 2/15/2047

    320,000   286,461
Johnson Controls International PLC/Tyco Fire & Security Finance SCA:          
1.75%, 9/15/2030

    15,000   13,003
5.50%, 4/19/2029

    200,000   209,430
Martin Marietta Materials, Inc.:          
2.40%, 7/15/2031

    50,000   43,706
3.20%, 7/15/2051

    70,000   50,308
4.25%, 12/15/2047

    100,000   86,402
Masco Corp.:          
2.00%, 2/15/2031

    100,000   86,273
3.13%, 2/15/2051

    500,000   345,830
4.50%, 5/15/2047 (b)

    100,000   88,233
Mohawk Industries, Inc.

3.63%, 5/15/2030

    100,000   96,022
Owens Corning:          
3.95%, 8/15/2029

    70,000   68,455
4.30%, 7/15/2047

    100,000   84,754
5.70%, 6/15/2034 (b)

    610,000   647,619
Trane Technologies Financing Ltd.:          
3.80%, 3/21/2029

    100,000   98,462
5.10%, 6/13/2034

    150,000   156,222
5.25%, 3/3/2033

    90,000   94,583
Trane Technologies Global Holding Co. Ltd.

5.75%, 6/15/2043

    25,000   27,001
Vulcan Materials Co.

4.70%, 3/1/2048

    100,000   92,585
          4,231,877
 
See accompanying notes to Schedule of Investments.
24

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
COSMETICS/PERSONAL CARE — 0.0% (a)  
Kenvue, Inc.:          
4.90%, 3/22/2033

    $150,000   $155,229
5.35%, 3/22/2026

    500,000   509,505
Unilever Capital Corp.:          
4.88%, 9/8/2028

    200,000   206,070
5.00%, 12/8/2033

    200,000   210,288
          1,081,092
DISTRIBUTION & WHOLESALE — 0.0% (a)  
WW Grainger, Inc.:          
4.45%, 9/15/2034

    145,000   144,753
4.60%, 6/15/2045

    50,000   47,392
          192,145
DIVERSIFIED FINANCIAL SERVICES — 0.9%   
AerCap Ireland Capital DAC/AerCap Global Aviation Trust:          
1.75%, 1/30/2026

    225,000   216,844
2.45%, 10/29/2026

    150,000   144,097
3.00%, 10/29/2028

    500,000   472,310
3.30%, 1/30/2032

    900,000   811,116
3.40%, 10/29/2033

    150,000   132,963
3.65%, 7/21/2027

    150,000   147,118
4.63%, 9/10/2029

    300,000   300,261
6.45%, 4/15/2027

    750,000   785,932
Affiliated Managers Group, Inc.:          
3.30%, 6/15/2030

    70,000   64,985
5.50%, 8/20/2034

    250,000   253,012
Air Lease Corp.:          
1.88%, 8/15/2026

    100,000   95,540
Series MTN, 2.88%, 1/15/2026

    160,000   156,701
3.13%, 12/1/2030

    100,000   91,469
3.63%, 4/1/2027 (b)

    70,000   68,933
Series GMTN, 3.75%, 6/1/2026

    150,000   148,351
5.10%, 3/1/2029

    300,000   307,050
Series MTN, 5.20%, 7/15/2031

    100,000   102,268
5.30%, 2/1/2028 (b)

    150,000   154,038
5.85%, 12/15/2027

    250,000   260,785
Aircastle Ltd.

4.25%, 6/15/2026

    65,000   64,522
Ally Financial, Inc.:          
2.20%, 11/2/2028

    100,000   89,951
SOFR + 2.29%, 6.18%, 7/26/2035 (d)

    250,000   255,850
SOFR + 2.82%, 6.85%, 1/3/2030 (d)

    200,000   211,226
SOFR + 3.26%, 6.99%, 6/13/2029 (d)

    125,000   132,139
7.10%, 11/15/2027

    200,000   212,008
American Express Co.:          
1.65%, 11/4/2026

    550,000   523,000
Security Description     Principal
Amount
  Value
2.55%, 3/4/2027

    $165,000   $159,266
4.20%, 11/6/2025

    105,000   105,054
SOFR + 1.76%, 4.42%, 8/3/2033 (d)

    250,000   247,772
4.90%, 2/13/2026

    45,000   45,385
SOFR + 2.26%, 4.99%, 5/26/2033 (d)

    105,000   106,148
SOFR + 0.93%, 5.04%, 7/26/2028 (d)

    75,000   76,655
SOFR + 1.00%, 5.10%, 2/16/2028 (d)

    845,000   861,199
SOFR + 1.28%, 5.28%, 7/27/2029 (d)

    250,000   258,885
SOFR + 1.42%, 5.28%, 7/26/2035 (d)

    420,000   437,354
SOFR + 1.09%, 5.53%, 4/25/2030 (d)

    250,000   261,995
SOFR + 1.94%, 6.49%, 10/30/2031 (d)

    85,000   93,928
Ameriprise Financial, Inc.:          
4.50%, 5/13/2032

    70,000   70,596
5.15%, 5/15/2033

    60,000   62,494
5.70%, 12/15/2028

    350,000   370,552
Apollo Global Management, Inc.

5.80%, 5/21/2054

    135,000   143,836
BGC Group, Inc.

8.00%, 5/25/2028

    200,000   215,324
BlackRock Funding, Inc.:          
4.60%, 7/26/2027

    55,000   56,252
4.70%, 3/14/2029

    115,000   118,248
4.90%, 1/8/2035

    45,000   46,421
5.00%, 3/14/2034

    495,000   515,765
5.25%, 3/14/2054

    85,000   87,989
5.35%, 1/8/2055

    40,000   42,042
BlackRock, Inc.:          
1.90%, 1/28/2031

    25,000   21,825
2.40%, 4/30/2030

    45,000   41,152
3.20%, 3/15/2027

    56,000   55,168
3.25%, 4/30/2029 (b)

    60,000   58,238
4.75%, 5/25/2033

    235,000   241,784
Brookfield Capital Finance LLC

6.09%, 6/14/2033

    350,000   378,402
Brookfield Finance, Inc.:          
2.72%, 4/15/2031

    80,000   71,743
3.50%, 3/30/2051

    50,000   37,509
3.90%, 1/25/2028

    50,000   49,315
4.35%, 4/15/2030

    100,000   99,132
4.70%, 9/20/2047

    50,000   46,234
4.85%, 3/29/2029

    100,000   101,845
5.68%, 1/15/2035

    250,000   262,175
6.35%, 1/5/2034

    100,000   110,049
Capital One Financial Corp.:          
SOFR + 0.86%, 1.88%, 11/2/2027 (d)

    300,000   285,042
 
See accompanying notes to Schedule of Investments.
25

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
SOFR + 1.27%, 2.62%, 11/2/2032 (d)

    $300,000   $256,371
SOFR + 1.79%, 3.27%, 3/1/2030 (d)

    200,000   188,028
3.75%, 7/28/2026

    125,000   123,286
3.80%, 1/31/2028

    250,000   244,722
SOFR + 2.06%, 4.93%, 5/10/2028 (d)

    250,000   252,915
SOFR + 2.08%, 5.47%, 2/1/2029 (d)

    155,000   158,934
SOFR + 1.91%, 5.70%, 2/1/2030 (b) (d)

    85,000   88,084
SOFR + 2.60%, 5.82%, 2/1/2034 (d)

    500,000   520,440
SOFR + 2.64%, 6.31%, 6/8/2029 (d)

    750,000   789,615
SOFR + 2.86%, 6.38%, 6/8/2034 (d)

    165,000   178,286
Cboe Global Markets, Inc.

1.63%, 12/15/2030

    100,000   85,945
Charles Schwab Corp.:          
0.90%, 3/11/2026

    250,000   238,197
1.15%, 5/13/2026

    50,000   47,688
1.65%, 3/11/2031

    250,000   211,840
2.00%, 3/20/2028 (b)

    500,000   465,510
2.30%, 5/13/2031

    100,000   88,316
3.20%, 1/25/2028

    50,000   48,547
3.45%, 2/13/2026

    50,000   49,439
4.00%, 2/1/2029 (b)

    50,000   49,784
SOFR + 2.21%, 5.64%, 5/19/2029 (d)

    200,000   208,866
SOFR + 2.01%, 6.14%, 8/24/2034 (d)

    250,000   273,327
SOFR + 1.88%, 6.20%, 11/17/2029 (d)

    140,000   149,531
CI Financial Corp.

3.20%, 12/17/2030

    250,000   211,912
CME Group, Inc.:          
2.65%, 3/15/2032

    145,000   131,058
3.75%, 6/15/2028

    100,000   99,423
Credit Suisse USA LLC

7.13%, 7/15/2032

    50,000   57,721
Discover Financial Services:          
4.10%, 2/9/2027

    75,000   74,333
4.50%, 1/30/2026

    50,000   49,934
6.70%, 11/29/2032 (b)

    400,000   439,456
Eaton Vance Corp.

3.50%, 4/6/2027

    150,000   147,598
Franklin Resources, Inc.

1.60%, 10/30/2030

    100,000   84,841
Intercontinental Exchange, Inc.:          
2.10%, 6/15/2030

    30,000   26,744
2.65%, 9/15/2040

    50,000   37,730
3.00%, 6/15/2050

    25,000   17,859
3.00%, 9/15/2060

    50,000   33,399
3.10%, 9/15/2027

    100,000   97,392
Security Description     Principal
Amount
  Value
3.63%, 9/1/2028

    $800,000   $783,352
3.75%, 12/1/2025

    180,000   178,983
4.00%, 9/15/2027

    200,000   200,290
4.25%, 9/21/2048

    150,000   133,094
4.35%, 6/15/2029

    85,000   85,652
4.60%, 3/15/2033

    55,000   55,608
4.95%, 6/15/2052

    95,000   94,744
5.20%, 6/15/2062

    145,000   148,020
5.25%, 6/15/2031

    30,000   31,573
Invesco Finance PLC

3.75%, 1/15/2026

    50,000   49,600
Jefferies Financial Group, Inc.:          
2.63%, 10/15/2031

    250,000   216,857
2.75%, 10/15/2032

    40,000   34,130
4.15%, 1/23/2030

    50,000   48,803
4.85%, 1/15/2027

    90,000   91,081
5.88%, 7/21/2028

    110,000   114,811
6.20%, 4/14/2034

    190,000   203,423
6.50%, 1/20/2043 (b)

    50,000   54,798
Lazard Group LLC:          
4.50%, 9/19/2028

    100,000   99,463
6.00%, 3/15/2031

    70,000   73,816
LPL Holdings, Inc.

5.70%, 5/20/2027

    500,000   511,240
Mastercard, Inc.:          
2.95%, 6/1/2029

    100,000   95,820
3.30%, 3/26/2027

    30,000   29,578
3.35%, 3/26/2030

    50,000   48,303
3.50%, 2/26/2028

    30,000   29,639
3.65%, 6/1/2049

    100,000   81,952
3.85%, 3/26/2050

    515,000   435,185
3.95%, 2/26/2048

    30,000   26,092
4.10%, 1/15/2028 (b)

    110,000   110,787
4.35%, 1/15/2032 (b)

    200,000   200,962
4.55%, 1/15/2035

    90,000   90,424
4.88%, 3/9/2028

    215,000   222,022
4.88%, 5/9/2034

    235,000   243,117
Nasdaq, Inc.:          
1.65%, 1/15/2031 (b)

    200,000   169,756
2.50%, 12/21/2040

    250,000   177,640
3.25%, 4/28/2050

    40,000   28,939
3.95%, 3/7/2052

    500,000   402,465
5.95%, 8/15/2053 (b)

    500,000   544,510
Nomura Holdings, Inc.:          
1.65%, 7/14/2026

    150,000   142,665
2.33%, 1/22/2027

    500,000   475,800
5.71%, 1/9/2026

    500,000   506,495
6.07%, 7/12/2028

    400,000   420,548
ORIX Corp.:          
2.25%, 3/9/2031

    100,000   86,303
3.70%, 7/18/2027

    50,000   49,143
4.00%, 4/13/2032

    100,000   95,118
4.65%, 9/10/2029

    250,000   251,280
Raymond James Financial, Inc.

3.75%, 4/1/2051

    165,000   129,596
 
See accompanying notes to Schedule of Investments.
26

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Stifel Financial Corp.

4.00%, 5/15/2030

    $100,000   $96,119
Synchrony Financial

2.88%, 10/28/2031

    150,000   127,509
Visa, Inc.:          
0.75%, 8/15/2027 (b)

    45,000   41,503
1.10%, 2/15/2031

    500,000   419,015
1.90%, 4/15/2027

    500,000   477,625
2.05%, 4/15/2030

    150,000   135,798
2.70%, 4/15/2040

    350,000   275,187
2.75%, 9/15/2027

    250,000   243,010
3.65%, 9/15/2047

    100,000   83,608
4.15%, 12/14/2035

    50,000   49,233
4.30%, 12/14/2045

    200,000   186,174
Voya Financial, Inc.:          
3.65%, 6/15/2026

    50,000   49,394
5.00%, 9/20/2034

    110,000   109,403
          29,269,368
ELECTRIC — 2.1%   
AEP Texas, Inc.:          
3.45%, 5/15/2051

    50,000   35,766
Series H, 3.45%, 1/15/2050

    100,000   72,255
3.80%, 10/1/2047

    25,000   19,320
4.70%, 5/15/2032

    200,000   200,624
AEP Transmission Co. LLC:          
3.75%, 12/1/2047

    100,000   80,997
3.80%, 6/15/2049

    50,000   40,077
4.25%, 9/15/2048

    20,000   17,434
5.15%, 4/1/2034

    500,000   518,290
AES Corp.:          
1.38%, 1/15/2026

    250,000   239,895
2.45%, 1/15/2031 (b)

    500,000   432,955
Alabama Power Co.:          
Series 20-A, 1.45%, 9/15/2030

    50,000   42,827
3.13%, 7/15/2051

    50,000   35,512
3.85%, 12/1/2042

    75,000   64,256
Series A, 4.30%, 7/15/2048

    65,000   57,669
Ameren Corp.:          
1.75%, 3/15/2028

    50,000   45,963
3.65%, 2/15/2026

    50,000   49,476
5.00%, 1/15/2029

    200,000   204,838
Ameren Illinois Co.:          
3.70%, 12/1/2047

    50,000   40,900
3.80%, 5/15/2028

    25,000   24,716
4.15%, 3/15/2046

    50,000   43,654
4.50%, 3/15/2049

    50,000   45,960
4.95%, 6/1/2033

    400,000   411,372
5.55%, 7/1/2054

    250,000   268,615
American Electric Power Co., Inc.:          
Series N, 1.00%, 11/1/2025

    30,000   28,880
5 yr. CMT + 2.68%, 3.88%, 2/15/2062 (d)

    250,000   235,745
Series J, 4.30%, 12/1/2028

    100,000   99,965
Security Description     Principal
Amount
  Value
5.20%, 1/15/2029

    $500,000   $516,265
5.63%, 3/1/2033 (b)

    190,000   200,459
Appalachian Power Co.:          
4.40%, 5/15/2044

    25,000   21,898
Series BB, 4.50%, 8/1/2032

    85,000   83,851
7.00%, 4/1/2038

    25,000   29,571
Arizona Public Service Co.:          
2.65%, 9/15/2050

    85,000   53,349
3.75%, 5/15/2046

    25,000   19,793
4.20%, 8/15/2048

    25,000   20,944
4.25%, 3/1/2049

    50,000   41,997
4.35%, 11/15/2045

    50,000   43,375
5.55%, 8/1/2033

    350,000   365,141
5.70%, 8/15/2034

    55,000   58,097
Baltimore Gas & Electric Co.:          
2.25%, 6/15/2031

    400,000   351,652
5.40%, 6/1/2053

    500,000   518,695
6.35%, 10/1/2036

    50,000   56,425
Berkshire Hathaway Energy Co.:          
1.65%, 5/15/2031

    30,000   25,368
2.85%, 5/15/2051

    300,000   202,824
3.25%, 4/15/2028

    30,000   29,197
3.70%, 7/15/2030

    250,000   244,500
4.25%, 10/15/2050

    500,000   426,965
4.50%, 2/1/2045

    50,000   46,897
4.60%, 5/1/2053

    500,000   451,090
5.15%, 11/15/2043

    150,000   151,303
Black Hills Corp.:          
3.15%, 1/15/2027

    25,000   24,301
3.88%, 10/15/2049

    100,000   77,891
4.35%, 5/1/2033

    30,000   28,751
5.95%, 3/15/2028 (b)

    200,000   209,768
6.00%, 1/15/2035

    40,000   42,624
CenterPoint Energy Houston Electric LLC:          
Series AE, 2.35%, 4/1/2031

    55,000   48,410
Series Z, 2.40%, 9/1/2026

    50,000   48,370
Series AA, 3.00%, 2/1/2027

    100,000   97,478
Series AF, 3.35%, 4/1/2051

    350,000   260,697
3.95%, 3/1/2048

    50,000   41,238
Series AC, 4.25%, 2/1/2049

    200,000   175,738
4.95%, 4/1/2033

    500,000   510,275
CenterPoint Energy, Inc.:          
2.65%, 6/1/2031 (b)

    40,000   35,480
5.40%, 6/1/2029

    500,000   519,285
Cleco Corporate Holdings LLC

4.97%, 5/1/2046

    20,000   17,759
CMS Energy Corp.:          
3.45%, 8/15/2027

    50,000   48,998
5 yr. CMT + 4.12%, 4.75%, 6/1/2050 (d)

    50,000   47,928
Commonwealth Edison Co.:          
Series 131, 2.75%, 9/1/2051

    285,000   188,755
 
See accompanying notes to Schedule of Investments.
27

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Series 130, 3.13%, 3/15/2051

    $150,000   $106,903
Series 132, 3.15%, 3/15/2032

    100,000   91,289
Series 123, 3.75%, 8/15/2047

    150,000   122,136
4.00%, 3/1/2048

    125,000   105,694
5.30%, 6/1/2034 (b)

    55,000   57,918
5.65%, 6/1/2054

    65,000   69,898
Connecticut Light & Power Co.:          
Series A, 0.75%, 12/1/2025

    250,000   239,875
Series A, 3.20%, 3/15/2027

    150,000   147,261
Series A, 4.15%, 6/1/2045

    100,000   87,667
4.90%, 7/1/2033

    350,000   358,375
Consolidated Edison Co. of New York, Inc.:          
2.40%, 6/15/2031 (b)

    200,000   178,288
Series C, 3.00%, 12/1/2060

    150,000   96,929
3.20%, 12/1/2051

    500,000   357,155
3.60%, 6/15/2061 (b)

    250,000   186,850
3.70%, 11/15/2059

    85,000   64,984
3.85%, 6/15/2046

    50,000   41,199
Series 20B, 3.95%, 4/1/2050

    250,000   214,190
Series D, 4.00%, 12/1/2028

    100,000   99,796
Series A, 4.13%, 5/15/2049

    100,000   85,469
4.45%, 3/15/2044

    75,000   68,962
4.50%, 5/15/2058

    100,000   87,950
5.38%, 5/15/2034

    160,000   169,830
5.50%, 3/15/2034

    200,000   214,012
5.70%, 5/15/2054 (b)

    200,000   216,738
5.90%, 11/15/2053

    100,000   110,714
Series 06-B, 6.20%, 6/15/2036

    25,000   27,880
Constellation Energy Generation LLC:          
5.60%, 3/1/2028 (b)

    125,000   130,496
5.75%, 3/15/2054

    120,000   126,985
5.80%, 3/1/2033

    145,000   155,540
6.50%, 10/1/2053

    250,000   289,212
Consumers Energy Co.:          
3.25%, 8/15/2046

    50,000   38,922
3.75%, 2/15/2050

    50,000   40,955
4.05%, 5/15/2048

    100,000   86,605
4.63%, 5/15/2033 (b)

    100,000   101,264
4.65%, 3/1/2028

    300,000   305,046
4.70%, 1/15/2030

    175,000   179,328
4.90%, 2/15/2029

    100,000   103,144
Dayton Power & Light Co.

3.95%, 6/15/2049

    30,000   23,667
Dominion Energy South Carolina, Inc.:          
Series A, 2.30%, 12/1/2031

    150,000   129,918
6.25%, 10/15/2053

    205,000   239,245
Dominion Energy, Inc.:          
Series A, 1.45%, 4/15/2026

    75,000   71,847
Security Description     Principal
Amount
  Value
Series C, 2.25%, 8/15/2031 (b)

    $45,000   $38,946
Series D, 2.85%, 8/15/2026

    25,000   24,352
Series B, 3.30%, 4/15/2041

    565,000   437,434
Series C, 3.38%, 4/1/2030

    350,000   331,775
4.70%, 12/1/2044

    130,000   117,308
5.38%, 11/15/2032

    350,000   366,369
Series B, 5 yr. CMT + 2.51%, 7.00%, 6/1/2054 (d)

    350,000   383,523
DTE Electric Co.:          
2.25%, 3/1/2030

    500,000   454,985
Series A, 3.00%, 3/1/2032

    100,000   91,356
3.70%, 6/1/2046

    75,000   62,827
DTE Energy Co.:          
Series C, 3.40%, 6/15/2029

    164,000   156,845
4.88%, 6/1/2028

    290,000   296,191
4.95%, 7/1/2027

    65,000   66,122
5.10%, 3/1/2029

    200,000   205,954
5.85%, 6/1/2034

    250,000   268,477
Duke Energy Carolinas LLC:          
2.45%, 8/15/2029

    150,000   139,053
2.55%, 4/15/2031

    75,000   67,376
2.85%, 3/15/2032

    155,000   139,867
3.20%, 8/15/2049

    100,000   72,731
3.45%, 4/15/2051

    90,000   67,703
3.88%, 3/15/2046

    150,000   124,687
3.95%, 11/15/2028

    100,000   99,693
4.25%, 12/15/2041

    130,000   117,900
4.95%, 1/15/2033

    250,000   257,812
5.35%, 1/15/2053

    500,000   515,985
5.40%, 1/15/2054

    750,000   781,222
Duke Energy Corp.:          
2.55%, 6/15/2031

    100,000   88,389
2.65%, 9/1/2026

    50,000   48,647
3.15%, 8/15/2027

    100,000   97,216
3.30%, 6/15/2041

    850,000   670,182
3.50%, 6/15/2051

    100,000   74,006
3.75%, 9/1/2046

    250,000   198,297
3.95%, 8/15/2047

    150,000   121,624
5.00%, 8/15/2052

    500,000   473,375
5.45%, 6/15/2034

    145,000   151,431
5.80%, 6/15/2054

    125,000   131,760
5 yr. CMT + 2.59%, 6.45%, 9/1/2054 (d)

    300,000   312,078
Duke Energy Florida LLC:          
2.50%, 12/1/2029

    150,000   138,858
3.20%, 1/15/2027

    250,000   245,900
6.40%, 6/15/2038

    50,000   57,128
Duke Energy Indiana LLC

2.75%, 4/1/2050

    65,000   42,665
Duke Energy Ohio, Inc.

3.70%, 6/15/2046

    28,000   22,373
Duke Energy Progress LLC:          
2.50%, 8/15/2050

    100,000   63,373
3.40%, 4/1/2032 (b)

    145,000   135,324
 
See accompanying notes to Schedule of Investments.
28

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
3.60%, 9/15/2047

    $50,000   $39,471
3.70%, 9/1/2028

    50,000   49,343
4.20%, 8/15/2045

    150,000   132,009
5.10%, 3/15/2034

    50,000   52,226
Edison International:          
4.13%, 3/15/2028

    50,000   49,569
5.25%, 11/15/2028

    285,000   293,017
6.95%, 11/15/2029

    300,000   330,981
Emera U.S. Finance LP

4.75%, 6/15/2046

    130,000   115,864
Enel Chile SA

4.88%, 6/12/2028

    50,000   50,146
Entergy Arkansas LLC:          
2.65%, 6/15/2051

    100,000   64,180
3.35%, 6/15/2052

    100,000   73,356
4.20%, 4/1/2049

    25,000   21,309
Entergy Corp.:          
1.90%, 6/15/2028

    125,000   114,736
2.40%, 6/15/2031

    150,000   130,639
2.95%, 9/1/2026

    50,000   48,817
Entergy Louisiana LLC:          
3.05%, 6/1/2031 (b)

    25,000   23,024
3.10%, 6/15/2041

    250,000   191,290
3.25%, 4/1/2028

    200,000   193,608
4.20%, 4/1/2050

    50,000   42,408
5.35%, 3/15/2034

    500,000   523,075
Entergy Mississippi LLC:          
2.85%, 6/1/2028

    25,000   23,793
3.50%, 6/1/2051

    145,000   108,109
3.85%, 6/1/2049

    125,000   100,010
Entergy Texas, Inc.:          
1.75%, 3/15/2031

    85,000   72,096
3.55%, 9/30/2049

    25,000   19,019
5.80%, 9/1/2053

    640,000   683,981
Evergy Kansas Central, Inc.:          
3.25%, 9/1/2049

    25,000   18,032
4.13%, 3/1/2042

    30,000   26,229
5.70%, 3/15/2053

    135,000   142,605
5.90%, 11/15/2033

    150,000   161,881
Evergy Metro, Inc.:          
Series 2020, 2.25%, 6/1/2030

    50,000   44,692
Series 2019, 4.13%, 4/1/2049

    100,000   83,923
4.20%, 6/15/2047

    25,000   21,304
4.20%, 3/15/2048

    50,000   42,564
5.40%, 4/1/2034

    100,000   104,471
Eversource Energy:          
2.90%, 3/1/2027

    100,000   96,801
3.38%, 3/1/2032

    100,000   91,119
Series O, 4.25%, 4/1/2029

    25,000   24,822
5.45%, 3/1/2028

    360,000   373,226
5.95%, 2/1/2029

    250,000   264,655
5.95%, 7/15/2034 (b)

    500,000   537,395
Security Description     Principal
Amount
  Value
Exelon Corp.:          
2.75%, 3/15/2027

    $100,000   $96,789
3.35%, 3/15/2032

    100,000   92,952
3.40%, 4/15/2026

    100,000   98,782
4.10%, 3/15/2052

    350,000   289,201
4.70%, 4/15/2050

    250,000   229,592
5.10%, 6/15/2045

    330,000   322,793
5.15%, 3/15/2028

    550,000   565,081
5.30%, 3/15/2033

    100,000   104,388
5.60%, 3/15/2053

    100,000   104,209
FirstEnergy Corp.

Series B, 3.90%, 7/15/2027

    500,000   494,445
FirstEnergy Transmission LLC

4.55%, 1/15/2030 (c)

    350,000   353,062
Florida Power & Light Co.:          
2.45%, 2/3/2032

    500,000   442,110
2.88%, 12/4/2051

    750,000   519,330
3.15%, 10/1/2049

    30,000   22,039
3.95%, 3/1/2048

    85,000   73,025
3.99%, 3/1/2049

    25,000   21,395
4.05%, 10/1/2044

    50,000   44,275
4.13%, 6/1/2048

    100,000   87,339
5.10%, 4/1/2033

    500,000   522,910
5.30%, 6/15/2034

    250,000   265,360
Fortis, Inc.

3.06%, 10/4/2026

    50,000   48,658
Georgia Power Co.:          
Series A, 3.25%, 3/15/2051

    570,000   420,951
5.13%, 5/15/2052

    500,000   501,635
Idaho Power Co.

Series MTN, 5.80%, 4/1/2054

    250,000   267,880
Indiana Michigan Power Co.:          
3.25%, 5/1/2051

    45,000   32,227
4.25%, 8/15/2048

    15,000   12,728
Interstate Power & Light Co.:          
3.50%, 9/30/2049 (b)

    50,000   37,418
3.70%, 9/15/2046

    50,000   39,770
4.10%, 9/26/2028

    50,000   49,725
5.45%, 9/30/2054

    55,000   56,913
IPALCO Enterprises, Inc.

4.25%, 5/1/2030

    100,000   96,660
ITC Holdings Corp.

3.35%, 11/15/2027

    50,000   48,724
MidAmerican Energy Co.

3.95%, 8/1/2047

    150,000   126,874
National Grid PLC

5.42%, 1/11/2034 (b)

    350,000   364,850
National Rural Utilities Cooperative Finance Corp.:          
Series MTN, 1.00%, 6/15/2026

    100,000   94,800
1.35%, 3/15/2031

    50,000   41,512
Series MTN, 1.65%, 6/15/2031

    200,000   166,922
3.40%, 2/7/2028

    50,000   48,902
 
See accompanying notes to Schedule of Investments.
29

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
3.90%, 11/1/2028

    $100,000   $98,982
4.02%, 11/1/2032

    50,000   48,596
4.12%, 9/16/2027

    60,000   60,415
Series GMTN, 4.85%, 2/7/2029

    250,000   256,602
Series GMTN, 5.00%, 2/7/2031

    250,000   261,345
Series MTN, 5.05%, 9/15/2028 (b)

    500,000   516,410
NextEra Energy Capital Holdings, Inc.:          
2.25%, 6/1/2030

    250,000   223,600
2.44%, 1/15/2032 (b)

    500,000   433,820
2.75%, 11/1/2029

    165,000   153,943
3.50%, 4/1/2029

    100,000   96,852
3.55%, 5/1/2027

    100,000   98,594
3 mo. USD Term SOFR + 2.41%, 4.80%, 12/1/2077 (d)

    25,000   23,712
4.90%, 3/15/2029

    200,000   205,002
4.95%, 1/29/2026

    130,000   131,312
5.05%, 2/28/2033 (b)

    500,000   514,200
5.25%, 3/15/2034

    200,000   207,636
5.25%, 2/28/2053 (b)

    500,000   501,965
5.55%, 3/15/2054

    200,000   208,736
Northern States Power Co.:          
2.60%, 6/1/2051

    50,000   32,711
2.90%, 3/1/2050

    30,000   20,983
3.60%, 9/15/2047

    50,000   40,142
5.10%, 5/15/2053

    350,000   353,657
NSTAR Electric Co.

3.20%, 5/15/2027

    50,000   48,904
OGE Energy Corp.

5.45%, 5/15/2029

    85,000   88,596
Oglethorpe Power Corp.:          
5.05%, 10/1/2048

    100,000   94,606
5.80%, 6/1/2054 (b) (c)

    50,000   52,615
6.20%, 12/1/2053

    150,000   164,074
Ohio Power Co.:          
Series Q, 1.63%, 1/15/2031

    100,000   83,933
4.00%, 6/1/2049

    20,000   16,396
5.00%, 6/1/2033

    350,000   356,006
Oklahoma Gas & Electric Co.:          
3.80%, 8/15/2028

    50,000   49,316
5.40%, 1/15/2033

    105,000   110,415
Oncor Electric Delivery Co. LLC:          
0.55%, 10/1/2025

    70,000   67,580
2.75%, 5/15/2030 (b)

    75,000   69,109
3.70%, 11/15/2028

    200,000   196,980
3.80%, 9/30/2047

    100,000   82,193
4.15%, 6/1/2032 (b)

    75,000   73,399
5.35%, 10/1/2052 (b)

    100,000   102,416
5.55%, 6/15/2054 (c)

    245,000   260,633
5.65%, 11/15/2033

    355,000   382,828
7.50%, 9/1/2038

    50,000   62,971
Security Description     Principal
Amount
  Value
Pacific Gas & Electric Co.:          
2.50%, 2/1/2031

    $350,000   $306,764
3.25%, 6/1/2031

    790,000   720,069
3.30%, 8/1/2040

    350,000   272,146
3.50%, 8/1/2050

    295,000   213,621
4.20%, 3/1/2029

    70,000   68,958
4.20%, 6/1/2041

    55,000   46,589
4.50%, 7/1/2040

    250,000   225,155
4.55%, 7/1/2030

    250,000   248,192
4.95%, 7/1/2050

    250,000   227,670
5.25%, 3/1/2052

    500,000   473,545
5.90%, 10/1/2054

    555,000   574,936
6.15%, 1/15/2033

    250,000   268,672
6.75%, 1/15/2053

    1,000,000   1,141,610
PacifiCorp:          
2.70%, 9/15/2030

    320,000   290,544
2.90%, 6/15/2052

    200,000   129,424
3.30%, 3/15/2051

    65,000   45,921
5.35%, 12/1/2053

    1,100,000   1,088,417
5.45%, 2/15/2034

    550,000   571,769
5.50%, 5/15/2054

    350,000   351,645
5.80%, 1/15/2055

    250,000   262,410
PECO Energy Co.:          
3.05%, 3/15/2051

    45,000   31,982
3.90%, 3/1/2048

    125,000   104,760
5.25%, 9/15/2054

    210,000   216,831
PG&E Wildfire Recovery Funding LLC:          
Series A-1, 3.59%, 6/1/2032

    305,646   300,905
Series A-2, 4.72%, 6/1/2039

    300,000   303,846
Series A-4, 5.21%, 12/1/2049

    500,000   508,995
PPL Capital Funding, Inc.

5.25%, 9/1/2034

    115,000   118,386
PPL Electric Utilities Corp.:          
3.00%, 10/1/2049

    70,000   50,103
3.95%, 6/1/2047

    50,000   42,537
5.00%, 5/15/2033

    145,000   149,457
5.25%, 5/15/2053

    585,000   605,288
Public Service Co. of Colorado:          
Series 35, 1.90%, 1/15/2031 (b)

    500,000   430,805
Series 34, 3.20%, 3/1/2050

    30,000   21,504
3.80%, 6/15/2047

    150,000   119,880
5.35%, 5/15/2034

    80,000   83,906
5.75%, 5/15/2054

    600,000   650,034
Public Service Co. of Oklahoma

5.25%, 1/15/2033

    200,000   205,938
Public Service Electric & Gas Co.:          
Series MTN, 0.95%, 3/15/2026 (b)

    150,000   143,253
Series MTN, 2.05%, 8/1/2050

    50,000   29,265
 
See accompanying notes to Schedule of Investments.
30

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Series MTN, 3.00%, 3/1/2051

    $150,000   $106,557
Series MTN, 3.20%, 5/15/2029

    50,000   48,036
Series MTN, 3.20%, 8/1/2049

    30,000   22,375
Series MTN, 3.60%, 12/1/2047

    100,000   80,055
Series MTN, 3.65%, 9/1/2042

    50,000   41,722
Series MTN, 3.70%, 5/1/2028

    50,000   49,334
4.85%, 8/1/2034

    200,000   204,468
Series MTN, 4.90%, 12/15/2032

    625,000   646,450
Series MTN, 5.20%, 3/1/2034

    250,000   262,302
Public Service Enterprise Group, Inc.:          
1.60%, 8/15/2030

    100,000   85,483
2.45%, 11/15/2031

    100,000   87,608
5.20%, 4/1/2029

    55,000   57,014
5.45%, 4/1/2034 (b)

    55,000   57,342
Puget Energy, Inc.

4.22%, 3/15/2032

    180,000   169,202
Puget Sound Energy, Inc.:          
3.25%, 9/15/2049

    65,000   46,747
4.22%, 6/15/2048

    65,000   55,561
5.33%, 6/15/2034

    195,000   204,346
5.80%, 3/15/2040

    50,000   52,652
San Diego Gas & Electric Co.:          
Series VVV, 1.70%, 10/1/2030

    150,000   129,820
Series WWW, 2.95%, 8/15/2051

    350,000   245,717
Series RRR, 3.75%, 6/1/2047

    50,000   40,718
5.35%, 4/1/2053

    300,000   308,346
5.55%, 4/15/2054

    250,000   264,287
Sempra:          
3.25%, 6/15/2027

    300,000   292,095
3.40%, 2/1/2028

    30,000   29,102
3.80%, 2/1/2038

    100,000   87,389
4.00%, 2/1/2048

    30,000   24,341
5.40%, 8/1/2026

    200,000   203,810
5.50%, 8/1/2033

    200,000   210,030
5 yr. CMT + 2.63%, 6.40%, 10/1/2054 (d)

    300,000   301,752
5 yr. CMT + 2.79%, 6.88%, 10/1/2054 (d)

    500,000   519,525
Sierra Pacific Power Co.

2.60%, 5/1/2026

    50,000   48,763
Southern California Edison Co.:          
2.25%, 6/1/2030

    100,000   89,393
2.75%, 2/1/2032

    125,000   111,209
2.85%, 8/1/2029 (b)

    115,000   107,927
Security Description     Principal
Amount
  Value
Series 20A, 2.95%, 2/1/2051

    $500,000   $342,425
Series C, 3.60%, 2/1/2045

    50,000   39,395
3.65%, 2/1/2050

    250,000   194,742
Series B, 3.65%, 3/1/2028

    100,000   97,964
Series 2013-A, 3.90%, 3/15/2043

    50,000   41,877
4.00%, 4/1/2047

    191,000   159,800
Series A, 4.20%, 3/1/2029

    100,000   99,621
4.40%, 9/6/2026

    350,000   352,663
4.50%, 9/1/2040

    25,000   23,328
4.88%, 2/1/2027

    350,000   355,593
5.15%, 6/1/2029

    250,000   259,385
5.30%, 3/1/2028

    250,000   258,557
5.35%, 3/1/2026

    500,000   507,250
5.45%, 6/1/2031

    85,000   89,914
5.88%, 12/1/2053

    350,000   379,571
Southern Co.:          
3.25%, 7/1/2026

    250,000   245,830
Series B, 5 yr. CMT + 3.73%, 4.00%, 1/15/2051 (d)

    500,000   493,290
4.25%, 7/1/2036

    250,000   237,567
4.85%, 6/15/2028

    500,000   512,180
5.50%, 3/15/2029

    250,000   262,332
5.70%, 3/15/2034

    250,000   268,497
Southern Power Co.:          
0.90%, 1/15/2026

    250,000   239,302
Series F, 4.95%, 12/15/2046

    150,000   141,105
Southwestern Electric Power Co.:          
Series N, 1.65%, 3/15/2026

    300,000   289,344
Series K, 2.75%, 10/1/2026

    50,000   48,446
3.25%, 11/1/2051

    250,000   172,797
Series M, 4.10%, 9/15/2028

    25,000   24,795
Southwestern Public Service Co.

3.75%, 6/15/2049

    100,000   78,646
Tampa Electric Co.:          
3.63%, 6/15/2050

    150,000   116,277
4.30%, 6/15/2048

    50,000   43,488
4.45%, 6/15/2049

    25,000   22,552
Tucson Electric Power Co.:          
3.25%, 5/1/2051

    35,000   24,980
4.85%, 12/1/2048

    50,000   46,612
5.50%, 4/15/2053

    200,000   204,932
Union Electric Co.:          
2.15%, 3/15/2032

    250,000   214,147
3.50%, 3/15/2029

    250,000   243,227
4.00%, 4/1/2048

    50,000   42,260
5.20%, 4/1/2034

    50,000   52,281
Virginia Electric & Power Co.:          
2.45%, 12/15/2050

    375,000   231,626
Series B, 2.95%, 11/15/2026

    30,000   29,329
3.30%, 12/1/2049

    50,000   36,574
 
See accompanying notes to Schedule of Investments.
31

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Series B, 3.75%, 5/15/2027

    $155,000   $153,839
4.60%, 12/1/2048

    250,000   230,080
5.05%, 8/15/2034

    105,000   107,847
5.35%, 1/15/2054

    350,000   358,666
5.45%, 4/1/2053

    500,000   519,605
8.88%, 11/15/2038

    50,000   69,040
WEC Energy Group, Inc.:          
1.80%, 10/15/2030

    250,000   216,075
2.20%, 12/15/2028 (b)

    100,000   92,287
4.75%, 1/9/2026

    385,000   386,702
5.60%, 9/12/2026

    65,000   66,659
Wisconsin Electric Power Co.

4.30%, 10/15/2048

    25,000   22,219
Wisconsin Power & Light Co.:          
1.95%, 9/16/2031

    275,000   232,133
4.95%, 4/1/2033

    90,000   91,888
Wisconsin Public Service Corp.

5.35%, 11/10/2025

    75,000   75,809
Xcel Energy, Inc.:          
1.75%, 3/15/2027

    500,000   471,015
2.60%, 12/1/2029

    100,000   91,446
4.00%, 6/15/2028

    50,000   49,370
5.45%, 8/15/2033

    500,000   518,625
5.50%, 3/15/2034 (b)

    100,000   104,032
          72,087,872
ELECTRICAL COMPONENTS & EQUIPMENT — 0.0% (a)  
Emerson Electric Co.:          
0.88%, 10/15/2026

    65,000   61,229
1.95%, 10/15/2030

    50,000   44,338
2.00%, 12/21/2028

    200,000   184,656
2.20%, 12/21/2031

    700,000   614,481
          904,704
ELECTRONICS — 0.2%   
Agilent Technologies, Inc.

2.75%, 9/15/2029

    50,000   46,485
Allegion PLC

3.50%, 10/1/2029

    50,000   47,678
Allegion U.S. Holding Co., Inc.:          
3.55%, 10/1/2027

    50,000   48,853
5.60%, 5/29/2034

    200,000   209,206
Amphenol Corp.:          
2.20%, 9/15/2031

    60,000   51,869
2.80%, 2/15/2030

    100,000   92,564
4.35%, 6/1/2029 (b)

    50,000   50,363
4.75%, 3/30/2026

    65,000   65,504
5.05%, 4/5/2027

    55,000   56,319
5.05%, 4/5/2029

    100,000   103,198
5.25%, 4/5/2034

    100,000   104,502
Arrow Electronics, Inc.:          
3.88%, 1/12/2028

    25,000   24,424
5.15%, 8/21/2029

    160,000   162,365
5.88%, 4/10/2034

    65,000   67,431
Avnet, Inc.

3.00%, 5/15/2031

    100,000   87,818
Security Description     Principal
Amount
  Value
Flex Ltd.:          
3.75%, 2/1/2026

    $50,000   $49,446
4.88%, 6/15/2029

    75,000   75,071
5.25%, 1/15/2032 (b)

    65,000   65,588
6.00%, 1/15/2028

    355,000   368,092
Fortive Corp.

3.15%, 6/15/2026

    50,000   49,024
Honeywell International, Inc.:          
1.10%, 3/1/2027

    200,000   187,348
1.75%, 9/1/2031 (b)

    160,000   137,298
1.95%, 6/1/2030

    250,000   223,495
2.50%, 11/1/2026

    150,000   146,054
2.70%, 8/15/2029

    60,000   56,667
4.25%, 1/15/2029 (b)

    160,000   162,248
4.50%, 1/15/2034

    175,000   176,451
4.88%, 9/1/2029

    150,000   155,463
4.95%, 9/1/2031

    250,000   261,487
5.00%, 3/1/2035

    150,000   156,034
5.25%, 3/1/2054

    650,000   677,807
5.35%, 3/1/2064

    150,000   158,380
Hubbell, Inc.:          
2.30%, 3/15/2031

    60,000   52,619
3.35%, 3/1/2026

    50,000   49,265
Jabil, Inc.:          
1.70%, 4/15/2026

    65,000   62,301
3.60%, 1/15/2030

    25,000   23,590
3.95%, 1/12/2028

    25,000   24,549
5.45%, 2/1/2029

    155,000   159,614
Keysight Technologies, Inc.:          
3.00%, 10/30/2029

    50,000   46,691
4.60%, 4/6/2027

    30,000   30,184
TD SYNNEX Corp.

6.10%, 4/12/2034

    85,000   90,063
Trimble, Inc.

4.90%, 6/15/2028 (b)

    50,000   50,729
Tyco Electronics Group SA:          
2.50%, 2/4/2032

    45,000   39,887
3.70%, 2/15/2026

    50,000   49,635
4.50%, 2/13/2026

    150,000   150,800
4.63%, 2/1/2030

    200,000   203,734
          5,358,193
ENGINEERING & CONSTRUCTION — 0.0% (a)  
Jacobs Engineering Group, Inc.

6.35%, 8/18/2028

    350,000   372,417
MasTec, Inc.

5.90%, 6/15/2029 (b)

    500,000   520,815
          893,232
ENTERTAINMENT — 0.1%   
Warnermedia Holdings, Inc.:          
3.76%, 3/15/2027

    685,000   662,354
4.05%, 3/15/2029 (b)

    500,000   473,690
4.28%, 3/15/2032 (b)

    645,000   572,850
5.05%, 3/15/2042

    550,000   449,251
 
See accompanying notes to Schedule of Investments.
32

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
5.14%, 3/15/2052

    $1,250,000   $963,688
5.39%, 3/15/2062

    500,000   382,705
          3,504,538
ENVIRONMENTAL CONTROL — 0.1%   
Republic Services, Inc.:          
1.45%, 2/15/2031

    100,000   83,790
2.90%, 7/1/2026

    45,000   44,084
3.38%, 11/15/2027

    60,000   58,786
3.95%, 5/15/2028

    150,000   149,211
4.88%, 4/1/2029

    220,000   226,169
5.00%, 12/15/2033

    350,000   360,825
5.20%, 11/15/2034

    100,000   104,412
Veralto Corp.

5.35%, 9/18/2028

    500,000   520,700
Waste Connections, Inc.:          
2.20%, 1/15/2032

    115,000   98,773
2.95%, 1/15/2052

    115,000   78,887
3.05%, 4/1/2050

    20,000   14,182
3.50%, 5/1/2029

    50,000   48,676
5.00%, 3/1/2034

    300,000   307,740
Waste Management, Inc.:          
0.75%, 11/15/2025 (b)

    20,000   19,246
1.15%, 3/15/2028

    30,000   27,234
1.50%, 3/15/2031 (b)

    30,000   25,389
2.00%, 6/1/2029 (b)

    75,000   68,587
2.50%, 11/15/2050

    20,000   13,065
2.95%, 6/1/2041

    55,000   42,906
4.63%, 2/15/2030

    250,000   256,000
4.63%, 2/15/2033

    250,000   254,365
4.88%, 2/15/2029 (b)

    200,000   206,820
4.95%, 7/3/2031

    360,000   374,494
          3,384,341
FOOD — 0.4%   
Campbell Soup Co.:          
2.38%, 4/24/2030 (b)

    15,000   13,542
4.15%, 3/15/2028 (b)

    50,000   50,010
4.75%, 3/23/2035 (e)

    210,000   209,215
4.80%, 3/15/2048

    20,000   18,678
5.20%, 3/19/2027 (b)

    50,000   51,310
5.20%, 3/21/2029

    550,000   569,459
5.30%, 3/20/2026

    35,000   35,511
5.40%, 3/21/2034 (b)

    40,000   41,881
Conagra Brands, Inc.:          
5.30%, 10/1/2026

    205,000   208,967
5.30%, 11/1/2038

    265,000   265,999
5.40%, 11/1/2048

    40,000   39,531
Flowers Foods, Inc.

2.40%, 3/15/2031

    45,000   39,252
General Mills, Inc.:          
3.00%, 2/1/2051 (b)

    510,000   352,313
3.20%, 2/10/2027 (b)

    100,000   97,866
4.20%, 4/17/2028 (b)

    25,000   25,019
4.70%, 1/30/2027

    60,000   60,695
4.95%, 3/29/2033

    145,000   148,682
Security Description     Principal
Amount
  Value
5.50%, 10/17/2028

    $115,000   $120,410
Hershey Co.:          
4.25%, 5/4/2028 (b)

    175,000   177,450
4.50%, 5/4/2033 (b)

    180,000   183,416
Hormel Foods Corp.:          
1.70%, 6/3/2028 (b)

    570,000   524,964
3.05%, 6/3/2051

    45,000   32,194
Ingredion, Inc.

2.90%, 6/1/2030

    100,000   92,773
J.M. Smucker Co.:          
3.38%, 12/15/2027

    100,000   97,779
3.55%, 3/15/2050

    25,000   18,681
4.25%, 3/15/2035

    50,000   47,910
6.20%, 11/15/2033 (b)

    125,000   138,309
6.50%, 11/15/2043

    95,000   107,287
6.50%, 11/15/2053

    145,000   167,779
JBS USA Holding Lux SARL/JBS USA Food Co./JBS Lux Co. SARL:          
5.75%, 4/1/2033

    182,000   188,450
6.50%, 12/1/2052

    500,000   533,010
6.75%, 3/15/2034 (c)

    233,000   258,092
7.25%, 11/15/2053 (c)

    500,000   581,060
Kellanova:          
4.30%, 5/15/2028

    100,000   100,395
4.50%, 4/1/2046 (b)

    100,000   91,104
5.25%, 3/1/2033

    70,000   73,212
5.75%, 5/16/2054

    140,000   151,686
Kraft Heinz Foods Co.:          
3.88%, 5/15/2027

    750,000   744,555
4.38%, 6/1/2046

    500,000   442,525
4.88%, 10/1/2049

    750,000   706,162
Kroger Co.:          
2.65%, 10/15/2026

    50,000   48,525
3.70%, 8/1/2027

    35,000   34,575
3.95%, 1/15/2050

    550,000   443,613
4.45%, 2/1/2047

    100,000   87,909
4.60%, 8/15/2027

    75,000   75,646
4.65%, 9/15/2029

    410,000   412,325
4.65%, 1/15/2048

    100,000   90,454
4.70%, 8/15/2026

    75,000   75,538
4.90%, 9/15/2031

    165,000   166,064
5.00%, 9/15/2034

    515,000   519,511
5.50%, 9/15/2054

    360,000   362,174
5.65%, 9/15/2064

    90,000   90,496
McCormick & Co., Inc.

3.40%, 8/15/2027

    100,000   97,961
Mondelez International, Inc.:          
1.50%, 2/4/2031 (b)

    40,000   33,764
1.88%, 10/15/2032 (b)

    75,000   62,630
2.63%, 3/17/2027

    200,000   193,174
2.63%, 9/4/2050

    35,000   22,764
2.75%, 4/13/2030

    35,000   32,458
3.00%, 3/17/2032

    200,000   181,972
4.75%, 8/28/2034

    100,000   100,737
 
See accompanying notes to Schedule of Investments.
33

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Pilgrim's Pride Corp.

6.25%, 7/1/2033

    $145,000   $153,848
Sysco Corp.:          
2.40%, 2/15/2030

    10,000   9,066
2.45%, 12/14/2031

    145,000   126,420
3.15%, 12/14/2051

    500,000   349,815
3.25%, 7/15/2027

    50,000   48,715
3.30%, 7/15/2026

    100,000   98,355
3.30%, 2/15/2050

    10,000   7,327
3.75%, 10/1/2025

    5,000   4,965
4.45%, 3/15/2048

    50,000   44,160
4.85%, 10/1/2045

    5,000   4,725
6.00%, 1/17/2034

    350,000   384,247
6.60%, 4/1/2050

    250,000   293,115
Tyson Foods, Inc.:          
3.55%, 6/2/2027

    150,000   147,183
4.55%, 6/2/2047

    285,000   248,825
5.40%, 3/15/2029

    395,000   410,128
5.70%, 3/15/2034

    90,000   94,783
          13,365,100
FOREST PRODUCTS & PAPER — 0.0% (a)  
Celulosa Arauco y Constitucion SA

3.88%, 11/2/2027

    200,000   194,164
Georgia-Pacific LLC

7.75%, 11/15/2029

    25,000   29,063
International Paper Co.

4.35%, 8/15/2048

    27,000   23,512
Suzano Austria GmbH:          
2.50%, 9/15/2028 (b)

    125,000   114,416
3.13%, 1/15/2032

    80,000   69,572
3.75%, 1/15/2031

    150,000   138,219
Suzano International Finance BV

5.50%, 1/17/2027

    25,000   25,416
          594,362
GAS — 0.2%   
Atmos Energy Corp.:          
1.50%, 1/15/2031

    100,000   84,837
2.63%, 9/15/2029

    200,000   186,742
3.00%, 6/15/2027

    150,000   146,074
4.15%, 1/15/2043

    25,000   22,356
5.00%, 12/15/2054 (e)

    140,000   136,818
CenterPoint Energy Resources Corp.

5.25%, 3/1/2028

    250,000   258,325
National Fuel Gas Co.:          
3.95%, 9/15/2027

    50,000   49,125
5.50%, 1/15/2026

    30,000   30,267
NiSource, Inc.:          
1.70%, 2/15/2031

    100,000   84,427
2.95%, 9/1/2029

    100,000   93,795
3.49%, 5/15/2027

    50,000   49,150
4.38%, 5/15/2047

    150,000   131,827
4.80%, 2/15/2044

    30,000   28,167
Security Description     Principal
Amount
  Value
5.20%, 7/1/2029

    $245,000   $253,717
5.35%, 4/1/2034

    500,000   518,910
ONE Gas, Inc.

4.50%, 11/1/2048

    90,000   80,113
Piedmont Natural Gas Co., Inc.:          
2.50%, 3/15/2031

    190,000   167,531
5.05%, 5/15/2052

    750,000   721,882
5.10%, 2/15/2035

    550,000   557,760
Southern California Gas Co.:          
2.95%, 4/15/2027

    110,000   107,055
3.75%, 9/15/2042

    30,000   25,031
Series VV, 4.30%, 1/15/2049

    50,000   43,314
Series MM, 5.13%, 11/15/2040

    25,000   25,183
Southern Co. Gas Capital Corp.:          
Series 20-A, 1.75%, 1/15/2031

    500,000   424,495
4.40%, 5/30/2047

    150,000   130,064
4.95%, 9/15/2034

    350,000   353,552
5.75%, 9/15/2033

    300,000   322,233
Southwest Gas Corp.:          
3.70%, 4/1/2028

    25,000   24,401
4.05%, 3/15/2032

    90,000   85,613
5.45%, 3/23/2028

    165,000   170,209
Spire Missouri, Inc.

Series 2034, 5.15%, 8/15/2034 (b)

    155,000   161,065
Washington Gas Light Co.

Series MTN, 3.65%, 9/15/2049

    50,000   39,030
          5,513,068
HAND & MACHINE TOOLS — 0.0% (a)  
Kennametal, Inc.

4.63%, 6/15/2028

    50,000   50,141
Regal Rexnord Corp.:          
6.05%, 2/15/2026

    500,000   508,470
6.05%, 4/15/2028

    500,000   519,320
Snap-on, Inc.

3.10%, 5/1/2050

    70,000   50,454
Stanley Black & Decker, Inc.:          
2.75%, 11/15/2050

    100,000   62,934
3.40%, 3/1/2026

    35,000   34,539
4.25%, 11/15/2028 (b)

    100,000   99,828
6.27%, 3/6/2026 (b)

    250,000   249,830
          1,575,516
HEALTH CARE PRODUCTS — 0.3%   
Abbott Laboratories:          
1.40%, 6/30/2030 (b)

    500,000   436,890
3.75%, 11/30/2026

    85,000   84,939
4.75%, 11/30/2036

    250,000   256,282
4.75%, 4/15/2043 (b)

    25,000   25,313
4.90%, 11/30/2046

    650,000   662,207
 
See accompanying notes to Schedule of Investments.
34

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Agilent Technologies, Inc.:          
4.20%, 9/9/2027

    $200,000   $200,514
4.75%, 9/9/2034

    200,000   199,592
Baxter International, Inc.:          
1.73%, 4/1/2031

    45,000   37,842
1.92%, 2/1/2027

    600,000   568,146
2.27%, 12/1/2028 (b)

    500,000   460,065
3.13%, 12/1/2051

    250,000   170,340
3.50%, 8/15/2046

    50,000   37,689
Boston Scientific Corp.:          
2.65%, 6/1/2030

    100,000   91,917
4.55%, 3/1/2039

    50,000   48,964
4.70%, 3/1/2049 (b)

    35,000   33,374
Danaher Corp.

2.60%, 10/1/2050

    565,000   374,787
DH Europe Finance II SARL:          
2.60%, 11/15/2029

    30,000   27,941
3.25%, 11/15/2039

    50,000   42,209
3.40%, 11/15/2049

    50,000   38,862
GE HealthCare Technologies, Inc.:          
5.60%, 11/15/2025

    500,000   505,390
5.65%, 11/15/2027

    500,000   519,780
Medtronic Global Holdings SCA

4.25%, 3/30/2028 (b)

    155,000   156,294
Medtronic, Inc.:          
4.38%, 3/15/2035

    54,000   53,664
4.63%, 3/15/2045

    345,000   331,062
Revvity, Inc.:          
2.25%, 9/15/2031

    105,000   89,691
2.55%, 3/15/2031

    85,000   74,423
3.30%, 9/15/2029

    65,000   61,383
Smith & Nephew PLC:          
2.03%, 10/14/2030

    50,000   43,450
5.40%, 3/20/2034

    55,000   57,186
Solventum Corp.:          
5.45%, 2/25/2027 (c)

    250,000   255,182
5.60%, 3/23/2034 (c)

    300,000   310,752
5.90%, 4/30/2054 (c)

    900,000   933,948
Stryker Corp.:          
1.95%, 6/15/2030

    50,000   44,067
2.90%, 6/15/2050

    25,000   17,659
3.38%, 11/1/2025

    25,000   24,772
3.50%, 3/15/2026

    25,000   24,746
3.65%, 3/7/2028

    50,000   49,273
4.63%, 9/11/2034

    250,000   251,025
4.63%, 3/15/2046

    375,000   353,467
4.85%, 12/8/2028

    115,000   117,930
Thermo Fisher Scientific, Inc.:          
4.10%, 8/15/2047 (b)

    100,000   88,823
5.00%, 12/5/2026

    700,000   715,029
5.00%, 1/31/2029 (b)

    500,000   518,250
5.09%, 8/10/2033

    150,000   156,814
5.20%, 1/31/2034 (b)

    175,000   184,677
Security Description     Principal
Amount
  Value
5.40%, 8/10/2043 (b)

    $65,000   $69,147
Zimmer Biomet Holdings, Inc.:          
2.60%, 11/24/2031

    100,000   87,725
5.20%, 9/15/2034 (b)

    200,000   203,594
5.35%, 12/1/2028

    100,000   103,802
          10,200,878
HEALTH CARE SERVICES — 0.8%   
AdventHealth Obligated Group

Series E, 2.80%, 11/15/2051

    250,000   172,487
Advocate Health & Hospitals Corp.

3.39%, 10/15/2049

    50,000   39,781
Aetna, Inc.:          
3.88%, 8/15/2047

    350,000   273,374
4.13%, 11/15/2042

    25,000   20,810
AHS Hospital Corp.

Series 2021, 2.78%, 7/1/2051

    75,000   51,493
Ascension Health:          
Series B, 3.11%, 11/15/2039

    500,000   415,620
3.95%, 11/15/2046

    150,000   130,914
Banner Health

2.34%, 1/1/2030

    40,000   36,471
Baylor Scott & White Holdings

Series 2021, 1.78%, 11/15/2030 (b)

    25,000   21,731
Centene Corp.:          
2.50%, 3/1/2031

    500,000   429,925
3.38%, 2/15/2030

    500,000   460,755
4.63%, 12/15/2029

    1,000,000   979,030
Children's Hospital Corp.

Series 2020, 2.59%, 2/1/2050

    15,000   10,080
CommonSpirit Health:          
4.19%, 10/1/2049

    250,000   212,847
4.35%, 11/1/2042

    25,000   22,431
5.32%, 12/1/2034

    195,000   201,273
5.55%, 12/1/2054

    625,000   647,337
Duke University Health System, Inc.

Series 2017, 3.92%, 6/1/2047

    50,000   42,853
Elevance Health, Inc.:          
1.50%, 3/15/2026

    600,000   577,116
2.25%, 5/15/2030

    265,000   237,156
2.55%, 3/15/2031

    100,000   89,548
3.13%, 5/15/2050

    270,000   191,222
3.60%, 3/15/2051

    305,000   234,591
3.65%, 12/1/2027

    130,000   128,159
4.10%, 3/1/2028 (b)

    100,000   99,583
4.10%, 5/15/2032

    200,000   195,158
4.38%, 12/1/2047

    130,000   115,017
4.55%, 3/1/2048

    50,000   45,017
4.65%, 1/15/2043

    50,000   47,031
4.75%, 2/15/2033

    250,000   252,692
 
See accompanying notes to Schedule of Investments.
35

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
5.13%, 2/15/2053

    $500,000   $490,245
HCA, Inc.:          
2.38%, 7/15/2031

    650,000   561,860
3.13%, 3/15/2027

    45,000   43,724
3.50%, 7/15/2051

    650,000   467,941
3.63%, 3/15/2032 (b)

    650,000   601,198
4.13%, 6/15/2029

    35,000   34,460
4.50%, 2/15/2027

    50,000   50,070
4.63%, 3/15/2052

    500,000   433,850
5.13%, 6/15/2039

    275,000   270,704
5.25%, 6/15/2026

    65,000   65,473
5.25%, 6/15/2049

    100,000   95,049
5.45%, 9/15/2034

    65,000   66,892
5.50%, 6/1/2033

    550,000   570,993
5.50%, 6/15/2047

    65,000   64,550
5.90%, 6/1/2053

    750,000   782,617
6.00%, 4/1/2054

    500,000   528,580
Humana, Inc.:          
2.15%, 2/3/2032

    350,000   293,741
3.70%, 3/23/2029

    105,000   102,175
4.80%, 3/15/2047

    100,000   90,344
4.95%, 10/1/2044

    50,000   46,421
5.38%, 4/15/2031

    110,000   113,865
5.75%, 12/1/2028

    750,000   788,535
5.95%, 3/15/2034

    250,000   267,447
Icon Investments Six DAC

COR, 5.85%, 5/8/2029

    250,000   262,742
Indiana University Health, Inc. Obligated Group

Series 2021, 2.85%, 11/1/2051

    25,000   17,665
IQVIA, Inc.

6.25%, 2/1/2029

    440,000   467,804
Johns Hopkins Health System Corp.

3.84%, 5/15/2046

    50,000   42,840
Kaiser Foundation Hospitals:          
Series 2021, 2.81%, 6/1/2041

    135,000   104,190
Series 2021, 3.00%, 6/1/2051

    135,000   96,794
Series 2019, 3.27%, 11/1/2049

    105,000   79,940
4.15%, 5/1/2047

    500,000   448,480
Laboratory Corp. of America Holdings:          
1.55%, 6/1/2026

    70,000   66,858
2.70%, 6/1/2031 (b)

    100,000   89,296
2.95%, 12/1/2029

    100,000   93,031
4.70%, 2/1/2045

    25,000   22,966
4.80%, 10/1/2034

    850,000   839,519
Mass General Brigham, Inc.

Series 2017, 3.77%, 7/1/2048

    100,000   83,900
Security Description     Principal
Amount
  Value
Mayo Clinic

Series 2021, 3.20%, 11/15/2061

    $100,000   $72,274
Memorial Sloan-Kettering Cancer Center:          
Series 2020, 2.96%, 1/1/2050

    55,000   39,851
4.13%, 7/1/2052 (b)

    25,000   22,104
Methodist Hospital

Series 20A, 2.71%, 12/1/2050

    65,000   44,365
Montefiore Obligated Group

4.29%, 9/1/2050

    50,000   37,637
Mount Sinai Hospital

Series 2019, 3.74%, 7/1/2049

    35,000   24,009
New York & Presbyterian Hospital:          
2.26%, 8/1/2040

    50,000   35,953
Series 2019, 3.95%, 8/1/2119

    35,000   27,437
Northwell Healthcare, Inc.

4.26%, 11/1/2047

    50,000   43,227
Novant Health, Inc.

3.17%, 11/1/2051

    85,000   61,311
NYU Langone Hospitals

Series 2020, 3.38%, 7/1/2055

    100,000   74,585
Orlando Health Obligated Group

3.33%, 10/1/2050

    25,000   19,059
Providence St. Joseph Health Obligated Group:          
Series 19A, 2.53%, 10/1/2029

    80,000   73,392
5.40%, 10/1/2033

    250,000   259,785
Quest Diagnostics, Inc.:          
2.95%, 6/30/2030

    35,000   32,423
4.20%, 6/30/2029

    100,000   99,436
4.63%, 12/15/2029

    250,000   253,052
4.70%, 3/30/2045

    25,000   23,500
6.40%, 11/30/2033

    500,000   558,925
Sutter Health:          
Series 20A, 2.29%, 8/15/2030

    55,000   49,240
Series 20A, 3.36%, 8/15/2050

    55,000   42,065
5.16%, 8/15/2033

    180,000   186,752
Trinity Health Corp.

Series 2021, 2.63%, 12/1/2040

    50,000   37,623
UnitedHealth Group, Inc.:          
1.15%, 5/15/2026

    100,000   95,604
1.25%, 1/15/2026

    35,000   33,782
2.00%, 5/15/2030

    305,000   271,911
2.30%, 5/15/2031 (b)

    100,000   88,654
2.75%, 5/15/2040

    300,000   229,602
 
See accompanying notes to Schedule of Investments.
36

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
2.90%, 5/15/2050

    $200,000   $139,974
3.05%, 5/15/2041

    350,000   276,202
3.10%, 3/15/2026

    50,000   49,376
3.13%, 5/15/2060

    100,000   68,203
3.25%, 5/15/2051

    100,000   73,999
3.38%, 4/15/2027

    100,000   98,665
3.50%, 8/15/2039

    200,000   172,238
3.70%, 12/15/2025

    10,000   9,953
3.75%, 10/15/2047

    50,000   41,049
3.88%, 12/15/2028

    15,000   14,907
4.25%, 1/15/2029

    750,000   756,000
4.25%, 4/15/2047

    100,000   88,391
4.60%, 4/15/2027 (b)

    350,000   356,356
4.63%, 7/15/2035

    200,000   202,082
4.75%, 7/15/2026 (b)

    85,000   86,259
4.75%, 7/15/2045

    230,000   223,286
4.75%, 5/15/2052

    500,000   476,320
4.80%, 1/15/2030

    200,000   205,944
4.95%, 1/15/2032

    150,000   155,008
5.00%, 4/15/2034

    350,000   361,235
5.15%, 10/15/2025

    45,000   45,465
5.15%, 7/15/2034

    150,000   156,505
5.20%, 4/15/2063

    750,000   749,782
5.25%, 2/15/2028

    145,000   150,822
5.35%, 2/15/2033

    700,000   742,987
5.38%, 4/15/2054

    750,000   778,357
5.50%, 7/15/2044

    200,000   211,576
5.63%, 7/15/2054

    1,150,000   1,233,076
5.75%, 7/15/2064

    105,000   113,349
5.88%, 2/15/2053

    500,000   553,185
6.88%, 2/15/2038

    25,000   30,272
Universal Health Services, Inc.:          
4.63%, 10/15/2029

    140,000   139,173
5.05%, 10/15/2034

    140,000   137,435
Willis-Knighton Medical Center

Series 2021, 3.07%, 3/1/2051

    550,000   379,379
          28,042,629
HOME BUILDERS — 0.0% (a)  
DR Horton, Inc.

5.00%, 10/15/2034

    105,000   106,324
Lennar Corp.

4.75%, 11/29/2027

    250,000   253,240
MDC Holdings, Inc.

3.97%, 8/6/2061 (b)

    200,000   171,640
NVR, Inc.

3.00%, 5/15/2030

    130,000   120,462
PulteGroup, Inc.

5.00%, 1/15/2027

    106,000   107,451
          759,117
HOME FURNISHINGS — 0.0% (a)  
Leggett & Platt, Inc.

4.40%, 3/15/2029 (b)

    100,000   96,223
Whirlpool Corp.:          
2.40%, 5/15/2031

    25,000   21,404
Security Description     Principal
Amount
  Value
4.50%, 6/1/2046

    $25,000   $21,165
4.60%, 5/15/2050

    50,000   41,824
4.75%, 2/26/2029 (b)

    60,000   60,576
5.50%, 3/1/2033

    100,000   102,057
          343,249
HOUSEHOLD PRODUCTS — 0.1%   
Colgate-Palmolive Co.:          
Series MTN, 3.70%, 8/1/2047

    55,000   47,474
4.60%, 3/1/2028

    145,000   148,793
4.80%, 3/2/2026

    120,000   121,585
Estee Lauder Cos., Inc.:          
1.95%, 3/15/2031

    95,000   82,483
2.38%, 12/1/2029

    40,000   36,720
3.13%, 12/1/2049

    60,000   43,752
4.38%, 5/15/2028 (b)

    115,000   116,341
4.65%, 5/15/2033

    125,000   126,484
5.00%, 2/14/2034 (b)

    350,000   361,830
Haleon U.S. Capital LLC:          
3.38%, 3/24/2027

    250,000   245,555
3.63%, 3/24/2032

    250,000   234,930
Procter & Gamble Co.:          
1.00%, 4/23/2026

    500,000   478,995
1.20%, 10/29/2030

    300,000   256,602
1.90%, 2/1/2027

    500,000   479,350
2.45%, 11/3/2026

    150,000   146,168
3.00%, 3/25/2030

    100,000   95,710
3.95%, 1/26/2028 (b)

    500,000   503,135
4.05%, 1/26/2033 (b)

    200,000   200,182
Unilever Capital Corp.:          
1.38%, 9/14/2030 (b)

    100,000   85,572
1.75%, 8/12/2031

    140,000   120,266
2.00%, 7/28/2026 (b)

    100,000   96,811
2.90%, 5/5/2027

    150,000   146,386
4.63%, 8/12/2034

    500,000   506,825
          4,681,949
HOUSEHOLD PRODUCTS & WARES — 0.0% (a)  
Avery Dennison Corp.

5.75%, 3/15/2033

    250,000   267,975
Church & Dwight Co., Inc.:          
2.30%, 12/15/2031

    40,000   34,912
5.60%, 11/15/2032

    95,000   102,179
Clorox Co.:          
3.10%, 10/1/2027

    50,000   48,523
3.90%, 5/15/2028

    50,000   49,524
4.40%, 5/1/2029 (b)

    200,000   201,564
Kimberly-Clark Corp.:          
1.05%, 9/15/2027

    15,000   13,810
2.00%, 11/2/2031

    250,000   218,512
2.75%, 2/15/2026 (b)

    25,000   24,565
3.10%, 3/26/2030

    40,000   38,164
3.20%, 4/25/2029

    100,000   96,886
3.90%, 5/4/2047

    50,000   42,668
3.95%, 11/1/2028

    55,000   55,005
 
See accompanying notes to Schedule of Investments.
37

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
4.50%, 2/16/2033

    $100,000   $101,853
          1,296,140
INSURANCE — 0.7%   
Aflac, Inc.:          
1.13%, 3/15/2026

    105,000   100,412
4.75%, 1/15/2049

    75,000   70,539
Alleghany Corp.

4.90%, 9/15/2044

    50,000   49,072
Allstate Corp.:          
1.45%, 12/15/2030

    250,000   209,710
3.85%, 8/10/2049 (b)

    125,000   102,396
4.20%, 12/15/2046

    50,000   43,737
5.05%, 6/24/2029

    350,000   360,745
5.25%, 3/30/2033 (b)

    195,000   203,338
American Financial Group, Inc.

4.50%, 6/15/2047

    100,000   88,785
American International Group, Inc.:          
4.38%, 6/30/2050

    315,000   282,180
5.13%, 3/27/2033 (b)

    500,000   515,630
Series A-9, 3 mo. USD Term SOFR + 2.87%, 5.75%, 4/1/2048 (d)

    100,000   100,443
American National Group, Inc.

5.75%, 10/1/2029 (e)

    100,000   100,530
Aon Corp.

3.75%, 5/2/2029

    100,000   97,628
Aon Corp./Aon Global Holdings PLC

2.60%, 12/2/2031

    645,000   569,890
Aon Global Ltd.

3.88%, 12/15/2025

    150,000   149,437
Aon North America, Inc.:          
5.13%, 3/1/2027

    95,000   97,210
5.15%, 3/1/2029

    250,000   258,217
5.45%, 3/1/2034

    250,000   262,507
5.75%, 3/1/2054

    250,000   264,652
Arch Capital Group Ltd.

3.64%, 6/30/2050

    105,000   81,546
Arthur J Gallagher & Co.:          
5.45%, 7/15/2034

    200,000   208,374
5.75%, 3/2/2053

    350,000   364,448
Assurant, Inc.:          
2.65%, 1/15/2032

    600,000   517,716
4.90%, 3/27/2028

    50,000   50,413
Assured Guaranty U.S. Holdings, Inc.:          
3.60%, 9/15/2051

    40,000   29,318
6.13%, 9/15/2028

    40,000   42,450
Athene Holding Ltd.:          
3.45%, 5/15/2052

    500,000   342,210
3.50%, 1/15/2031 (b)

    150,000   139,659
4.13%, 1/12/2028

    100,000   98,687
6.25%, 4/1/2054

    65,000   69,137
AXIS Specialty Finance LLC

3.90%, 7/15/2029

    25,000   24,299
Security Description     Principal
Amount
  Value
Berkshire Hathaway Finance Corp.:          
1.45%, 10/15/2030

    $80,000   $69,134
1.85%, 3/12/2030

    10,000   8,954
2.30%, 3/15/2027

    200,000   193,668
2.50%, 1/15/2051

    110,000   72,504
2.85%, 10/15/2050

    340,000   238,646
2.88%, 3/15/2032

    200,000   184,676
3.85%, 3/15/2052

    550,000   464,090
4.20%, 8/15/2048

    100,000   91,919
4.25%, 1/15/2049

    150,000   139,095
Berkshire Hathaway, Inc.:          
3.13%, 3/15/2026 (b)

    55,000   54,353
4.50%, 2/11/2043 (b)

    180,000   179,831
Brighthouse Financial, Inc.:          
3.70%, 6/22/2027

    150,000   146,740
4.70%, 6/22/2047 (b)

    150,000   123,537
Brown & Brown, Inc.:          
2.38%, 3/15/2031 (b)

    150,000   129,836
4.20%, 3/17/2032

    65,000   62,314
4.50%, 3/15/2029

    50,000   50,199
5.65%, 6/11/2034

    75,000   78,653
Chubb INA Holdings LLC:          
1.38%, 9/15/2030

    150,000   128,615
3.05%, 12/15/2061

    500,000   341,085
3.35%, 5/3/2026

    250,000   247,057
4.15%, 3/13/2043

    25,000   22,474
4.35%, 11/3/2045

    125,000   115,323
4.65%, 8/15/2029

    100,000   102,283
5.00%, 3/15/2034

    195,000   202,441
CNA Financial Corp.:          
2.05%, 8/15/2030

    100,000   87,689
3.45%, 8/15/2027

    100,000   97,838
4.50%, 3/1/2026

    25,000   25,019
5.13%, 2/15/2034

    55,000   56,241
Corebridge Financial, Inc.:          
3.65%, 4/5/2027

    500,000   491,875
4.40%, 4/5/2052

    500,000   427,660
Enstar Group Ltd.

4.95%, 6/1/2029

    50,000   50,270
Equitable Holdings, Inc.:          
4.35%, 4/20/2028

    150,000   149,445
5.00%, 4/20/2048

    100,000   95,633
5.59%, 1/11/2033

    100,000   104,769
Everest Reinsurance Holdings, Inc.

3.50%, 10/15/2050

    500,000   363,615
F&G Annuities & Life, Inc.

6.50%, 6/4/2029 (b)

    50,000   51,495
Fairfax Financial Holdings Ltd.:          
3.38%, 3/3/2031

    70,000   63,994
4.85%, 4/17/2028

    100,000   101,154
6.00%, 12/7/2033 (c)

    200,000   210,832
6.10%, 3/15/2055 (c)

    350,000   364,595
6.35%, 3/22/2054 (c)

    80,000   85,609
 
See accompanying notes to Schedule of Investments.
38

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Fidelity National Financial, Inc.:          
2.45%, 3/15/2031

    $100,000   $86,680
3.20%, 9/17/2051

    250,000   167,305
4.50%, 8/15/2028

    50,000   50,193
First American Financial Corp.

5.45%, 9/30/2034

    200,000   199,070
Globe Life, Inc.:          
2.15%, 8/15/2030

    100,000   86,199
4.55%, 9/15/2028 (b)

    25,000   25,004
5.85%, 9/15/2034 (b)

    350,000   361,574
Hanover Insurance Group, Inc.

2.50%, 9/1/2030

    15,000   13,162
Hartford Financial Services Group, Inc.:          
2.80%, 8/19/2029

    70,000   65,195
2.90%, 9/15/2051

    325,000   219,697
4.40%, 3/15/2048

    100,000   89,323
Jackson Financial, Inc.

3.13%, 11/23/2031 (b)

    350,000   306,414
Kemper Corp.

2.40%, 9/30/2030

    100,000   86,696
Lincoln National Corp.:          
3.05%, 1/15/2030 (b)

    100,000   92,812
3.40%, 3/1/2032

    250,000   227,750
3.80%, 3/1/2028 (b)

    35,000   34,351
4.35%, 3/1/2048

    50,000   41,026
6.30%, 10/9/2037

    50,000   54,605
Loews Corp.:          
3.20%, 5/15/2030

    15,000   14,154
3.75%, 4/1/2026

    50,000   49,745
Manulife Financial Corp.:          
2.48%, 5/19/2027

    70,000   67,250
3.70%, 3/16/2032

    200,000   190,656
5 yr. USD ICE Swap + 1.65%, 4.06%, 2/24/2032 (d)

    50,000   49,287
Markel Group, Inc.:          
3.45%, 5/7/2052

    135,000   95,696
3.50%, 11/1/2027

    50,000   48,842
4.15%, 9/17/2050

    50,000   40,654
5.00%, 5/20/2049

    30,000   28,137
6.00%, 5/16/2054

    300,000   318,921
Marsh & McLennan Cos., Inc.:          
3.75%, 3/14/2026

    25,000   24,850
4.38%, 3/15/2029

    250,000   252,717
5.15%, 3/15/2034

    145,000   151,899
5.40%, 9/15/2033

    250,000   266,840
5.70%, 9/15/2053

    400,000   429,832
Mercury General Corp.

4.40%, 3/15/2027

    50,000   49,481
MetLife, Inc.:          
4.05%, 3/1/2045

    150,000   130,935
4.88%, 11/13/2043

    200,000   196,508
5.25%, 1/15/2054

    500,000   515,340
5.30%, 12/15/2034

    250,000   262,567
5.38%, 7/15/2033 (b)

    400,000   425,228
Security Description     Principal
Amount
  Value
6.40%, 12/15/2066

    $100,000   $105,964
Old Republic International Corp.:          
3.85%, 6/11/2051

    85,000   64,492
5.75%, 3/28/2034

    100,000   104,872
Principal Financial Group, Inc.:          
2.13%, 6/15/2030

    150,000   132,494
3.70%, 5/15/2029

    50,000   48,763
5.38%, 3/15/2033

    140,000   146,432
Progressive Corp.:          
2.50%, 3/15/2027

    40,000   38,580
3.00%, 3/15/2032

    50,000   45,851
4.00%, 3/1/2029

    50,000   49,872
4.20%, 3/15/2048

    100,000   88,412
4.95%, 6/15/2033 (b)

    400,000   414,508
Prudential Financial, Inc.:          
Series MTN, 3.70%, 3/13/2051

    100,000   79,114
3.94%, 12/7/2049

    100,000   82,625
3 mo. USD Term SOFR + 2.38%, 4.50%, 9/15/2047 (b) (d)

    170,000   167,409
Series MTN, 4.60%, 5/15/2044

    75,000   70,916
5 yr. CMT + 3.23%, 6.00%, 9/1/2052 (d)

    350,000   363,783
5 yr. CMT + 2.40%, 6.50%, 3/15/2054 (b) (d)

    500,000   536,560
Series MTN, 6.63%, 6/21/2040 (b)

    25,000   28,793
5 yr. CMT + 2.85%, 6.75%, 3/1/2053 (b) (d)

    510,000   552,692
Prudential Funding Asia PLC

3.63%, 3/24/2032

    150,000   140,794
Reinsurance Group of America, Inc.:          
3.15%, 6/15/2030

    35,000   32,615
3.90%, 5/15/2029 (b)

    50,000   48,862
5.75%, 9/15/2034

    300,000   316,119
RenaissanceRe Finance, Inc.

3.45%, 7/1/2027

    30,000   29,366
RenaissanceRe Holdings Ltd.

5.75%, 6/5/2033 (b)

    250,000   262,290
Travelers Cos., Inc.:          
2.55%, 4/27/2050

    10,000   6,502
3.05%, 6/8/2051

    250,000   180,112
3.75%, 5/15/2046

    10,000   8,283
4.00%, 5/30/2047

    80,000   69,218
4.05%, 3/7/2048

    100,000   86,378
4.10%, 3/4/2049

    100,000   86,787
5.45%, 5/25/2053

    115,000   122,708
Series MTN, 6.25%, 6/15/2037

    25,000   28,535
Trinity Acquisition PLC

4.40%, 3/15/2026

    26,000   25,934
 
See accompanying notes to Schedule of Investments.
39

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Unum Group:          
4.00%, 6/15/2029

    $70,000   $68,583
4.13%, 6/15/2051

    100,000   78,992
4.50%, 12/15/2049

    15,000   12,777
6.00%, 6/15/2054

    315,000   328,016
W.R. Berkley Corp.:          
3.55%, 3/30/2052

    100,000   74,543
4.00%, 5/12/2050

    45,000   36,794
Willis North America, Inc.:          
3.88%, 9/15/2049

    70,000   54,915
4.50%, 9/15/2028

    50,000   50,027
4.65%, 6/15/2027

    100,000   100,847
5.35%, 5/15/2033

    250,000   257,177
5.90%, 3/5/2054

    150,000   157,027
          23,773,403
INTERNET — 0.4%   
Alibaba Group Holding Ltd.:          
2.13%, 2/9/2031 (b)

    400,000   349,312
2.70%, 2/9/2041 (b)

    500,000   370,200
3.15%, 2/9/2051 (b)

    100,000   71,569
3.40%, 12/6/2027

    200,000   195,348
4.20%, 12/6/2047 (b)

    260,000   226,689
Alphabet, Inc.:          
1.10%, 8/15/2030 (b)

    665,000   572,512
2.00%, 8/15/2026

    250,000   242,335
2.05%, 8/15/2050

    250,000   155,678
Amazon.com, Inc.:          
1.00%, 5/12/2026

    150,000   143,456
1.50%, 6/3/2030 (b)

    235,000   205,583
1.65%, 5/12/2028

    150,000   138,890
2.10%, 5/12/2031

    150,000   132,804
2.50%, 6/3/2050

    390,000   257,759
2.70%, 6/3/2060

    280,000   179,878
2.88%, 5/12/2041

    150,000   119,355
3.10%, 5/12/2051

    150,000   111,432
3.15%, 8/22/2027

    100,000   98,167
3.25%, 5/12/2061

    150,000   108,615
3.30%, 4/13/2027

    250,000   246,790
3.45%, 4/13/2029 (b)

    200,000   197,064
3.60%, 4/13/2032

    250,000   241,560
3.88%, 8/22/2037

    125,000   117,729
3.95%, 4/13/2052

    1,000,000   870,670
4.05%, 8/22/2047

    625,000   561,637
4.25%, 8/22/2057

    150,000   135,579
4.55%, 12/1/2027

    250,000   255,242
4.60%, 12/1/2025

    800,000   805,288
4.65%, 12/1/2029

    500,000   516,575
4.70%, 12/1/2032

    500,000   519,610
4.95%, 12/5/2044

    125,000   129,795
5.20%, 12/3/2025

    50,000   50,587
Baidu, Inc.:          
1.63%, 2/23/2027 (b)

    200,000   188,110
2.38%, 8/23/2031 (b)

    200,000   173,952
Booking Holdings, Inc.:          
3.60%, 6/1/2026

    250,000   248,460
Security Description     Principal
Amount
  Value
4.63%, 4/13/2030

    $100,000   $102,330
eBay, Inc.:          
1.40%, 5/10/2026

    100,000   95,702
2.60%, 5/10/2031

    100,000   89,399
2.70%, 3/11/2030

    100,000   92,291
3.65%, 5/10/2051

    550,000   422,829
Expedia Group, Inc.:          
2.95%, 3/15/2031

    555,000   504,989
3.25%, 2/15/2030

    35,000   33,023
3.80%, 2/15/2028

    50,000   49,070
4.63%, 8/1/2027

    590,000   594,513
Meta Platforms, Inc.:          
3.85%, 8/15/2032

    500,000   486,075
4.30%, 8/15/2029

    145,000   147,233
4.45%, 8/15/2052

    750,000   691,687
4.55%, 8/15/2031

    175,000   178,902
4.60%, 5/15/2028

    250,000   256,377
4.75%, 8/15/2034

    135,000   137,782
4.95%, 5/15/2033 (b)

    250,000   261,952
5.40%, 8/15/2054

    105,000   109,951
5.55%, 8/15/2064

    645,000   683,784
5.60%, 5/15/2053

    500,000   542,105
Netflix, Inc.:          
4.90%, 8/15/2034 (b)

    60,000   62,047
5.40%, 8/15/2054

    30,000   31,695
5.88%, 11/15/2028

    750,000   799,065
VeriSign, Inc.

2.70%, 6/15/2031

    80,000   69,970
          15,381,001
INVESTMENT COMPANY SECURITY — 0.2%   
Apollo Debt Solutions BDC

6.70%, 7/29/2031 (b) (c)

    200,000   205,800
ARES Capital Corp.:          
2.15%, 7/15/2026

    250,000   237,795
2.88%, 6/15/2028

    500,000   461,240
3.88%, 1/15/2026

    100,000   98,562
5.95%, 7/15/2029

    65,000   66,739
ARES Strategic Income Fund

6.35%, 8/15/2029 (c)

    250,000   255,315
Bain Capital Specialty Finance, Inc.

2.55%, 10/13/2026

    100,000   94,613
Barings BDC, Inc.

7.00%, 2/15/2029

    65,000   68,029
BlackRock TCP Capital Corp.

6.95%, 5/30/2029 (b)

    45,000   45,865
Blackstone Private Credit Fund:          
2.63%, 12/15/2026

    200,000   189,094
4.95%, 9/26/2027 (b) (c)

    45,000   44,595
7.30%, 11/27/2028 (c)

    250,000   266,120
Blackstone Secured Lending Fund:          
2.85%, 9/30/2028

    100,000   91,233
3.63%, 1/15/2026

    150,000   146,991
 
See accompanying notes to Schedule of Investments.
40

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Blue Owl Capital Corp.

3.40%, 7/15/2026

    $250,000   $242,020
Blue Owl Credit Income Corp.:          
5.80%, 3/15/2030 (c)

    200,000   198,130
6.65%, 3/15/2031

    145,000   148,247
7.95%, 6/13/2028

    200,000   213,786
Blue Owl Technology Finance Corp.

2.50%, 1/15/2027

    500,000   466,005
FS KKR Capital Corp.:          
3.40%, 1/15/2026

    250,000   243,737
6.88%, 8/15/2029

    200,000   208,126
Golub Capital BDC, Inc.

2.50%, 8/24/2026

    160,000   151,933
HPS Corporate Lending Fund

6.25%, 9/30/2029 (b) (c)

    150,000   152,695
Main Street Capital Corp.

3.00%, 7/14/2026

    85,000   81,452
Oaktree Specialty Lending Corp.

2.70%, 1/15/2027

    100,000   93,603
Oaktree Strategic Credit Fund

6.50%, 7/23/2029 (c)

    40,000   40,609
Prospect Capital Corp.

3.44%, 10/15/2028 (b)

    100,000   87,076
Sixth Street Lending Partners:          
5.75%, 1/15/2030 (c)

    100,000   99,656
6.50%, 3/11/2029 (c)

    350,000   358,876
Sixth Street Specialty Lending, Inc.

6.95%, 8/14/2028

    70,000   73,819
          5,131,761
IRON/STEEL — 0.1%   
ArcelorMittal SA:          
6.00%, 6/17/2034 (b)

    95,000   100,819
6.55%, 11/29/2027

    200,000   212,246
6.80%, 11/29/2032 (b)

    175,000   195,190
Nucor Corp.:          
2.70%, 6/1/2030

    15,000   13,853
2.98%, 12/15/2055

    50,000   32,846
3.13%, 4/1/2032 (b)

    90,000   82,511
4.30%, 5/23/2027 (b)

    500,000   503,845
Steel Dynamics, Inc.:          
1.65%, 10/15/2027 (b)

    10,000   9,258
3.25%, 10/15/2050

    20,000   14,065
3.45%, 4/15/2030

    40,000   37,895
5.38%, 8/15/2034

    105,000   108,322
Vale Overseas Ltd.:          
6.13%, 6/12/2033 (b)

    375,000   396,975
6.40%, 6/28/2054

    65,000   68,335
6.88%, 11/10/2039

    300,000   332,685
          2,108,845
IT SERVICES — 0.2%   
Apple, Inc.:          
4.00%, 5/10/2028

    925,000   935,193
Security Description     Principal
Amount
  Value
4.30%, 5/10/2033 (b)

    $700,000   $722,393
4.85%, 5/10/2053

    500,000   515,420
Booz Allen Hamilton, Inc.

5.95%, 8/4/2033

    350,000   374,266
Dell International LLC/EMC Corp.:          
3.38%, 12/15/2041

    250,000   196,890
3.45%, 12/15/2051 (b)

    250,000   183,195
Genpact Luxembourg SARL/Genpact USA, Inc.

6.00%, 6/4/2029

    100,000   104,577
Hewlett Packard Enterprise Co.:          
4.40%, 9/25/2027

    90,000   90,077
4.45%, 9/25/2026

    90,000   90,189
4.55%, 10/15/2029

    200,000   199,362
4.85%, 10/15/2031

    200,000   199,460
5.00%, 10/15/2034

    145,000   143,580
5.25%, 7/1/2028

    250,000   257,808
5.60%, 10/15/2054

    600,000   588,918
IBM International Capital Pte. Ltd.:          
4.70%, 2/5/2026

    350,000   351,957
4.90%, 2/5/2034

    500,000   512,170
5.30%, 2/5/2054

    605,000   611,800
Kyndryl Holdings, Inc.

6.35%, 2/20/2034 (b)

    90,000   96,200
          6,173,455
LEISURE TIME — 0.0% (a)  
Brunswick Corp.

4.40%, 9/15/2032 (b)

    250,000   235,563
Polaris, Inc.

6.95%, 3/15/2029

    350,000   379,788
          615,351
LODGING — 0.1%   
Choice Hotels International, Inc.:          
3.70%, 12/1/2029 (b)

    50,000   47,340
5.85%, 8/1/2034 (b)

    125,000   128,758
Hyatt Hotels Corp.:          
4.38%, 9/15/2028

    50,000   49,785
5.25%, 6/30/2029

    110,000   112,616
5.75%, 1/30/2027

    190,000   194,674
Las Vegas Sands Corp.:          
6.00%, 8/15/2029

    125,000   129,786
6.20%, 8/15/2034

    125,000   130,821
Marriott International, Inc.:          
Series GG, 3.50%, 10/15/2032

    500,000   457,490
4.80%, 3/15/2030

    200,000   202,728
5.00%, 10/15/2027

    55,000   56,130
5.35%, 3/15/2035

    400,000   409,764
5.55%, 10/15/2028

    155,000   162,200
 
See accompanying notes to Schedule of Investments.
41

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Sands China Ltd.

5.40%, 8/8/2028 (b)

    $750,000   $757,065
          2,839,157
MACHINERY, CONSTRUCTION & MINING — 0.1%   
Caterpillar Financial Services Corp.:          
Series MTN, 0.80%, 11/13/2025

    30,000   28,931
0.90%, 3/2/2026

    600,000   575,454
Series DMTN, 4.35%, 5/15/2026

    750,000   754,740
5.00%, 5/14/2027

    750,000   770,557
Caterpillar, Inc.:          
2.60%, 9/19/2029

    100,000   93,648
2.60%, 4/9/2030

    95,000   88,256
3.25%, 4/9/2050

    125,000   95,744
3.80%, 8/15/2042

    125,000   109,729
4.75%, 5/15/2064

    25,000   23,763
Oshkosh Corp.

3.10%, 3/1/2030

    10,000   9,270
          2,550,092
MACHINERY-DIVERSIFIED — 0.2%   
CNH Industrial Capital LLC:          
1.45%, 7/15/2026

    150,000   142,620
4.55%, 4/10/2028

    125,000   125,675
5.10%, 4/20/2029

    125,000   128,718
CNH Industrial NV

Series MTN, 3.85%, 11/15/2027 (b)

    15,000   14,852
Deere & Co.:          
2.88%, 9/7/2049

    35,000   25,318
3.90%, 6/9/2042 (b)

    225,000   201,539
Flowserve Corp.:          
2.80%, 1/15/2032

    75,000   64,907
3.50%, 10/1/2030

    35,000   32,614
IDEX Corp.:          
2.63%, 6/15/2031

    100,000   88,447
3.00%, 5/1/2030

    25,000   23,158
4.95%, 9/1/2029

    35,000   35,784
Ingersoll Rand, Inc.:          
5.45%, 6/15/2034

    105,000   110,448
5.70%, 6/15/2054

    285,000   303,821
John Deere Capital Corp.:          
Series MTN, 0.70%, 1/15/2026

    100,000   95,884
Series MTN, 1.30%, 10/13/2026

    300,000   284,472
1.45%, 1/15/2031

    70,000   59,737
Series MTN, 1.50%, 3/6/2028

    100,000   92,146
Series MTN, 2.25%, 9/14/2026

    100,000   96,957
Series MTN, 2.80%, 7/18/2029

    50,000   47,330
Security Description     Principal
Amount
  Value
Series MTN, 3.35%, 4/18/2029

    $100,000   $97,354
Series MTN, 4.70%, 6/10/2030

    750,000   772,230
Series MTN, 4.80%, 1/9/2026

    500,000   504,715
Series MTN, 4.85%, 3/5/2027

    250,000   255,117
Series MTN, 4.85%, 6/11/2029

    200,000   206,544
Series MTN, 4.90%, 3/7/2031

    350,000   362,936
Series MTN, 4.95%, 7/14/2028

    55,000   56,770
Series MTN, 5.05%, 6/12/2034

    200,000   208,774
Series MTN, 5.10%, 4/11/2034

    250,000   261,715
Series I, 5.15%, 9/8/2033

    100,000   105,588
Series MTN, 5.15%, 9/8/2026

    100,000   102,333
Nordson Corp.

4.50%, 12/15/2029

    250,000   250,930
nVent Finance SARL:          
2.75%, 11/15/2031 (b)

    50,000   43,269
4.55%, 4/15/2028

    50,000   50,064
Otis Worldwide Corp.:          
2.57%, 2/15/2030

    250,000   228,865
3.11%, 2/15/2040

    250,000   200,872
Rockwell Automation, Inc.:          
3.50%, 3/1/2029

    85,000   82,951
4.20%, 3/1/2049

    250,000   222,137
Westinghouse Air Brake Technologies Corp.

4.70%, 9/15/2028

    300,000   303,801
Xylem, Inc.

1.95%, 1/30/2028

    45,000   41,773
          6,333,165
MEDIA — 0.6%   
Charter Communications Operating LLC/Charter Communications Operating Capital:          
2.30%, 2/1/2032

    350,000   282,100
2.80%, 4/1/2031

    290,000   248,049
3.50%, 6/1/2041

    500,000   350,935
3.50%, 3/1/2042

    500,000   347,480
3.70%, 4/1/2051

    730,000   465,295
3.85%, 4/1/2061

    100,000   61,275
3.90%, 6/1/2052

    100,000   65,519
4.20%, 3/15/2028

    250,000   243,212
4.40%, 4/1/2033 (b)

    315,000   288,376
4.40%, 12/1/2061

    100,000   68,011
4.80%, 3/1/2050

    155,000   118,335
5.05%, 3/30/2029

    100,000   99,505
5.25%, 4/1/2053

    750,000   612,285
 
See accompanying notes to Schedule of Investments.
42

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
5.38%, 5/1/2047

    $150,000   $125,615
6.10%, 6/1/2029

    115,000   119,049
6.15%, 11/10/2026

    500,000   514,050
6.48%, 10/23/2045

    185,000   178,236
6.55%, 6/1/2034

    180,000   186,982
Comcast Corp.:          
1.50%, 2/15/2031

    150,000   126,507
1.95%, 1/15/2031

    70,000   60,750
2.45%, 8/15/2052 (b)

    115,000   69,958
2.65%, 8/15/2062

    75,000   44,424
2.80%, 1/15/2051

    805,000   534,061
2.89%, 11/1/2051

    350,000   234,944
2.94%, 11/1/2056

    500,000   326,640
2.99%, 11/1/2063

    550,000   348,540
3.15%, 3/1/2026

    225,000   221,895
3.15%, 2/15/2028 (b)

    200,000   194,128
3.20%, 7/15/2036

    250,000   214,738
3.30%, 2/1/2027

    150,000   147,633
3.30%, 4/1/2027

    100,000   98,367
3.40%, 4/1/2030

    550,000   527,378
3.40%, 7/15/2046

    100,000   77,397
3.75%, 4/1/2040

    250,000   216,270
3.90%, 3/1/2038

    150,000   135,441
3.95%, 10/15/2025

    350,000   349,006
4.00%, 11/1/2049

    69,000   57,587
4.15%, 10/15/2028

    250,000   250,355
4.20%, 8/15/2034

    100,000   96,703
4.25%, 10/15/2030

    50,000   49,887
4.25%, 1/15/2033

    50,000   49,112
4.55%, 1/15/2029

    500,000   508,195
4.60%, 10/15/2038

    305,000   296,558
4.65%, 2/15/2033 (b)

    500,000   507,230
4.65%, 7/15/2042

    75,000   70,678
4.70%, 10/15/2048 (b)

    500,000   473,135
4.95%, 10/15/2058

    105,000   100,793
5.30%, 6/1/2034 (b)

    200,000   210,444
5.35%, 5/15/2053

    500,000   511,370
5.50%, 11/15/2032

    605,000   647,465
5.50%, 5/15/2064

    750,000   774,352
5.65%, 6/1/2054

    110,000   117,316
Discovery Communications LLC

3.95%, 3/20/2028

    30,000   28,608
Fox Corp.:          
4.71%, 1/25/2029

    40,000   40,505
5.48%, 1/25/2039

    275,000   277,538
5.58%, 1/25/2049

    25,000   24,602
6.50%, 10/13/2033

    240,000   262,538
Grupo Televisa SAB

6.13%, 1/31/2046

    58,000   55,755
Paramount Global:          
2.90%, 1/15/2027

    66,000   63,165
3.70%, 6/1/2028

    50,000   47,427
4.20%, 6/1/2029

    200,000   189,864
4.38%, 3/15/2043

    25,000   18,513
Security Description     Principal
Amount
  Value
4.95%, 1/15/2031

    $250,000   $236,272
4.95%, 5/19/2050

    700,000   538,076
5.85%, 9/1/2043

    200,000   174,236
Thomson Reuters Corp.

3.35%, 5/15/2026

    50,000   49,242
Time Warner Cable LLC:          
4.50%, 9/15/2042

    100,000   76,649
5.50%, 9/1/2041

    425,000   369,163
5.88%, 11/15/2040

    50,000   45,277
6.75%, 6/15/2039

    50,000   50,004
TWDC Enterprises 18 Corp.:          
3.00%, 2/13/2026

    50,000   49,268
Series MTN, 3.00%, 7/30/2046

    75,000   54,544
Walt Disney Co.:          
1.75%, 1/13/2026

    105,000   102,031
2.00%, 9/1/2029

    185,000   168,206
2.20%, 1/13/2028 (b)

    570,000   541,004
2.65%, 1/13/2031

    440,000   401,614
3.38%, 11/15/2026 (b)

    100,000   98,723
3.50%, 5/13/2040

    650,000   553,403
3.60%, 1/13/2051

    575,000   459,436
3.70%, 10/15/2025

    100,000   99,604
3.80%, 5/13/2060

    90,000   71,570
4.70%, 3/23/2050 (b)

    700,000   679,511
5.40%, 10/1/2043

    75,000   78,639
6.65%, 11/15/2037

    250,000   295,330
          19,223,883
METAL FABRICATE & HARDWARE — 0.0% (a)  
Timken Co.:          
4.13%, 4/1/2032

    55,000   52,813
4.50%, 12/15/2028

    20,000   19,986
          72,799
MINING — 0.2%   
AngloGold Ashanti Holdings PLC

3.38%, 11/1/2028

    200,000   188,452
Barrick North America Finance LLC

5.75%, 5/1/2043

    250,000   265,487
BHP Billiton Finance USA Ltd.:          
4.13%, 2/24/2042

    125,000   112,988
4.75%, 2/28/2028

    350,000   357,108
5.00%, 9/30/2043

    50,000   50,007
5.10%, 9/8/2028

    250,000   258,540
5.25%, 9/8/2026

    250,000   255,478
5.25%, 9/8/2033

    250,000   261,887
5.50%, 9/8/2053

    95,000   101,276
Freeport-McMoRan, Inc.

5.45%, 3/15/2043

    350,000   351,319
Newmont Corp.:          
2.25%, 10/1/2030

    65,000   58,226
2.60%, 7/15/2032 (b)

    500,000   443,235
2.80%, 10/1/2029

    80,000   75,021
 
See accompanying notes to Schedule of Investments.
43

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
4.88%, 3/15/2042

    $50,000   $49,432
Newmont Corp./Newcrest Finance Pty. Ltd.:          
5.30%, 3/15/2026

    140,000   141,770
5.35%, 3/15/2034

    965,000   1,012,053
Rio Tinto Finance USA Ltd.

2.75%, 11/2/2051

    250,000   168,815
Rio Tinto Finance USA PLC:          
4.13%, 8/21/2042

    25,000   22,501
4.75%, 3/22/2042

    150,000   147,203
5.00%, 3/9/2033

    250,000   261,788
5.13%, 3/9/2053

    750,000   761,182
Southern Copper Corp.

5.88%, 4/23/2045

    357,000   373,429
          5,717,197
MISCELLANEOUS MANUFACTURER — 0.1%   
3M Co.:          
2.38%, 8/26/2029

    100,000   91,997
2.88%, 10/15/2027

    225,000   216,999
3.05%, 4/15/2030 (b)

    500,000   474,110
3.25%, 8/26/2049

    310,000   232,072
Series MTN, 3.38%, 3/1/2029

    50,000   48,383
Series MTN, 3.63%, 10/15/2047

    25,000   19,919
Series MTN, 4.00%, 9/14/2048

    30,000   26,570
Carlisle Cos., Inc.

2.75%, 3/1/2030

    65,000   59,774
Eaton Corp.:          
3.10%, 9/15/2027

    100,000   97,659
4.15%, 11/2/2042

    25,000   22,901
4.35%, 5/18/2028

    205,000   207,573
GE Capital Funding LLC

4.55%, 5/15/2032

    200,000   200,068
GE Capital International Funding Co. Unlimited Co.

4.42%, 11/15/2035

    500,000   488,815
Illinois Tool Works, Inc.

3.90%, 9/1/2042

    325,000   286,302
Parker-Hannifin Corp.:          
4.00%, 6/14/2049

    40,000   34,041
4.25%, 9/15/2027

    750,000   752,498
Teledyne Technologies, Inc.

2.75%, 4/1/2031 (b)

    250,000   224,800
Textron, Inc.:          
2.45%, 3/15/2031

    30,000   26,259
3.90%, 9/17/2029

    50,000   48,787
4.00%, 3/15/2026

    50,000   49,781
6.10%, 11/15/2033

    200,000   216,664
          3,825,972
MULTI-NATIONAL — 0.4%   
African Development Bank:          
4.13%, 2/25/2027

    350,000   353,294
Security Description     Principal
Amount
  Value
Series GMTN, 4.38%, 11/3/2027

    $405,000   $413,489
4.63%, 1/4/2027

    175,000   178,414
Asian Development Bank:          
Series GMTN, 3.75%, 4/25/2028

    175,000   175,623
Series GMTN, 4.13%, 1/12/2027

    215,000   217,187
Series GMTN, 4.13%, 1/12/2034

    500,000   509,220
Series GMTN, 4.38%, 3/6/2029

    360,000   370,811
Series GMTN, 4.50%, 8/25/2028

    383,000   394,704
Asian Infrastructure Investment Bank:          
4.13%, 1/18/2029

    205,000   208,739
4.25%, 3/13/2034

    150,000   154,044
Corp. Andina de Fomento:          
2.25%, 2/8/2027 (b)

    150,000   143,904
4.75%, 4/1/2026

    45,000   45,325
5.00%, 1/24/2029

    470,000   486,055
5.25%, 11/21/2025

    100,000   100,962
6.00%, 4/26/2027

    175,000   183,253
Council of Europe Development Bank

4.13%, 1/24/2029

    550,000   559,850
European Bank for Reconstruction & Development

Series MTN, 4.25%, 3/13/2034

    400,000   410,604
European Investment Bank:          
3.63%, 7/15/2030

    1,120,000   1,117,334
4.00%, 2/15/2029

    1,180,000   1,197,440
4.13%, 2/13/2034

    286,000   291,340
4.38%, 3/19/2027

    1,260,000   1,282,025
4.50%, 10/16/2028

    500,000   516,555
Inter-American Development Bank:          
3.13%, 9/18/2028

    100,000   98,169
4.13%, 2/15/2029

    280,000   285,435
4.38%, 2/1/2027

    250,000   253,823
Series GMTN, 4.50%, 5/15/2026

    1,315,000   1,328,873
Series GMTN, 4.50%, 9/13/2033

    200,000   209,214
Inter-American Investment Corp.

4.25%, 2/14/2029

    175,000   178,561
International Bank for Reconstruction & Development:          
3.50%, 7/12/2028

    2,100,000   2,090,823
4.00%, 7/25/2030

    500,000   508,095
4.00%, 1/10/2031

    500,000   507,310
 
See accompanying notes to Schedule of Investments.
44

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
International Finance Corp.:          
Series GMTN, 4.38%, 1/15/2027

    $50,000   $50,732
Series GMTN, 4.50%, 7/13/2028

    135,000   139,311
Nordic Investment Bank

4.25%, 2/28/2029

    200,000   204,618
          15,165,136
OFFICE & BUSINESS EQUIPMENT — 0.0% (a)  
CDW LLC/CDW Finance Corp.:          
2.67%, 12/1/2026

    215,000   207,058
3.57%, 12/1/2031

    500,000   457,600
5.55%, 8/22/2034

    140,000   143,156
          807,814
OIL & GAS — 0.8%   
BP Capital Markets America, Inc.:          
1.75%, 8/10/2030

    500,000   436,215
2.72%, 1/12/2032

    500,000   445,515
2.94%, 6/4/2051

    105,000   71,303
3.00%, 2/24/2050

    250,000   173,285
3.02%, 1/16/2027

    200,000   195,508
3.06%, 6/17/2041

    500,000   388,275
3.38%, 2/8/2061

    150,000   105,600
3.59%, 4/14/2027

    250,000   247,188
3.63%, 4/6/2030

    200,000   194,200
3.94%, 9/21/2028

    100,000   99,391
4.81%, 2/13/2033

    535,000   542,073
4.89%, 9/11/2033

    500,000   508,690
5.02%, 11/17/2027 (b)

    750,000   771,405
Canadian Natural Resources Ltd.:          
3.85%, 6/1/2027

    350,000   345,100
Series GMTN, 4.95%, 6/1/2047

    100,000   91,967
Cenovus Energy, Inc.

2.65%, 1/15/2032

    35,000   30,164
Chevron Corp.:          
2.00%, 5/11/2027

    350,000   334,348
2.24%, 5/11/2030

    100,000   90,796
2.95%, 5/16/2026

    550,000   541,915
3.08%, 5/11/2050

    100,000   73,242
Chevron USA, Inc.:          
1.02%, 8/12/2027

    40,000   36,996
2.34%, 8/12/2050 (b)

    65,000   40,613
CNOOC Finance 2014 ULC

4.88%, 4/30/2044

    100,000   101,804
CNOOC Finance 2015 USA LLC

4.38%, 5/2/2028

    250,000   253,085
ConocoPhillips

6.50%, 2/1/2039

    75,000   86,591
ConocoPhillips Co.:          
3.80%, 3/15/2052

    500,000   400,650
4.03%, 3/15/2062

    215,000   173,587
Security Description     Principal
Amount
  Value
5.30%, 5/15/2053

    $750,000   $757,897
6.95%, 4/15/2029

    50,000   55,604
Coterra Energy, Inc.

3.90%, 5/15/2027

    250,000   246,335
Devon Energy Corp.:          
5.00%, 6/15/2045

    25,000   22,341
5.20%, 9/15/2034

    300,000   298,743
5.75%, 9/15/2054

    300,000   291,669
5.85%, 12/15/2025

    50,000   50,502
Diamondback Energy, Inc.:          
3.25%, 12/1/2026

    45,000   44,042
3.50%, 12/1/2029

    100,000   95,200
4.40%, 3/24/2051

    35,000   29,131
5.20%, 4/18/2027

    500,000   510,150
5.75%, 4/18/2054

    350,000   352,628
6.25%, 3/15/2033

    550,000   593,208
6.25%, 3/15/2053

    250,000   268,227
EOG Resources, Inc.:          
3.90%, 4/1/2035

    25,000   23,430
4.38%, 4/15/2030

    30,000   30,215
4.95%, 4/15/2050

    35,000   33,718
EQT Corp.

5.70%, 4/1/2028

    500,000   516,920
Equinor ASA:          
3.25%, 11/18/2049

    305,000   228,860
3.63%, 9/10/2028

    50,000   49,271
3.63%, 4/6/2040

    100,000   86,254
3.70%, 4/6/2050

    250,000   202,955
3.95%, 5/15/2043

    50,000   43,779
4.80%, 11/8/2043

    30,000   29,742
Exxon Mobil Corp.:          
2.44%, 8/16/2029 (b)

    50,000   46,773
2.61%, 10/15/2030

    300,000   276,468
3.00%, 8/16/2039

    50,000   41,036
3.10%, 8/16/2049

    50,000   36,787
3.29%, 3/19/2027

    350,000   347,802
3.45%, 4/15/2051

    545,000   422,664
3.48%, 3/19/2030

    250,000   242,850
4.11%, 3/1/2046

    625,000   557,031
4.23%, 3/19/2040

    105,000   98,330
4.33%, 3/19/2050

    250,000   226,385
Hess Corp.:          
5.60%, 2/15/2041

    75,000   78,014
5.80%, 4/1/2047

    250,000   263,807
Marathon Oil Corp.:          
4.40%, 7/15/2027

    50,000   50,073
5.20%, 6/1/2045

    50,000   49,211
5.30%, 4/1/2029

    200,000   207,446
5.70%, 4/1/2034 (b)

    200,000   214,558
Marathon Petroleum Corp.:          
3.80%, 4/1/2028

    30,000   29,490
4.50%, 4/1/2048

    25,000   21,183
5.13%, 12/15/2026

    150,000   152,357
Occidental Petroleum Corp.:          
5.00%, 8/1/2027

    90,000   91,240
 
See accompanying notes to Schedule of Investments.
45

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
5.20%, 8/1/2029

    $160,000   $162,626
5.55%, 10/1/2034

    145,000   147,248
6.05%, 10/1/2054

    125,000   126,956
6.45%, 9/15/2036

    500,000   539,865
6.63%, 9/1/2030

    750,000   808,837
Ovintiv, Inc.

5.65%, 5/15/2028

    675,000   696,573
Patterson-UTI Energy, Inc.

3.95%, 2/1/2028

    250,000   240,740
Phillips 66 Co.:          
2.15%, 12/15/2030

    150,000   131,553
3.15%, 12/15/2029

    100,000   94,665
3.30%, 3/15/2052

    500,000   346,760
3.55%, 10/1/2026

    10,000   9,867
3.75%, 3/1/2028

    25,000   24,619
3.90%, 3/15/2028 (b)

    50,000   49,462
4.88%, 11/15/2044

    95,000   88,550
4.90%, 10/1/2046

    10,000   9,211
4.95%, 3/15/2035

    200,000   197,838
5.50%, 3/15/2055

    200,000   196,088
5.65%, 6/15/2054

    500,000   504,305
Pioneer Natural Resources Co.:          
1.13%, 1/15/2026

    95,000   91,354
2.15%, 1/15/2031

    70,000   61,510
5.10%, 3/29/2026

    1,050,000   1,064,763
Shell International Finance BV:          
2.38%, 11/7/2029

    100,000   92,453
2.50%, 9/12/2026

    150,000   145,658
2.75%, 4/6/2030 (b)

    600,000   558,600
2.88%, 11/26/2041

    350,000   266,980
3.13%, 11/7/2049

    100,000   72,084
3.25%, 4/6/2050

    500,000   369,255
4.00%, 5/10/2046

    100,000   85,754
4.13%, 5/11/2035 (b)

    75,000   72,755
4.38%, 5/11/2045

    750,000   681,180
4.55%, 8/12/2043

    250,000   235,953
5.50%, 3/25/2040

    25,000   26,616
Suncor Energy, Inc.:          
3.75%, 3/4/2051

    285,000   215,129
4.00%, 11/15/2047

    70,000   55,670
6.50%, 6/15/2038 (b)

    50,000   55,935
TotalEnergies Capital International SA:          
2.99%, 6/29/2041

    500,000   387,945
3.13%, 5/29/2050

    200,000   144,432
3.46%, 2/19/2029

    500,000   488,455
TotalEnergies Capital SA:          
3.88%, 10/11/2028

    25,000   24,858
4.72%, 9/10/2034

    125,000   125,624
5.15%, 4/5/2034

    125,000   130,063
5.28%, 9/10/2054

    250,000   250,568
5.43%, 9/10/2064

    250,000   251,465
5.49%, 4/5/2054

    200,000   206,784
5.64%, 4/5/2064

    200,000   208,824
Security Description     Principal
Amount
  Value
Valero Energy Corp.:          
2.15%, 9/15/2027

    $250,000   $235,950
3.65%, 12/1/2051 (b)

    750,000   546,270
6.63%, 6/15/2037

    250,000   279,592
Woodside Finance Ltd.:          
5.10%, 9/12/2034

    500,000   496,540
5.70%, 9/12/2054

    350,000   348,022
          27,746,636
OIL & GAS SERVICES — 0.1%   
Baker Hughes Holdings LLC/Baker Hughes Co-Obligor, Inc.:          
2.06%, 12/15/2026 (b)

    600,000   575,028
3.34%, 12/15/2027

    50,000   48,786
4.08%, 12/15/2047

    150,000   127,083
Halliburton Co.:          
2.92%, 3/1/2030

    500,000   464,620
3.80%, 11/15/2025

    9,000   8,937
4.85%, 11/15/2035

    150,000   149,772
5.00%, 11/15/2045

    35,000   33,599
7.45%, 9/15/2039

    25,000   30,853
NOV, Inc.

3.60%, 12/1/2029

    100,000   94,924
Schlumberger Investment SA:          
2.65%, 6/26/2030 (b)

    150,000   137,899
5.00%, 6/1/2034

    250,000   256,755
          1,928,256
PACKAGING & CONTAINERS — 0.1%   
Amcor Finance USA, Inc.

5.63%, 5/26/2033

    160,000   168,677
Amcor Flexibles North America, Inc.

2.69%, 5/25/2031 (b)

    130,000   114,930
Berry Global, Inc.:          
1.57%, 1/15/2026

    250,000   240,625
5.65%, 1/15/2034 (c)

    40,000   41,082
5.80%, 6/15/2031 (c)

    250,000   259,975
Packaging Corp. of America:          
3.00%, 12/15/2029

    25,000   23,538
3.40%, 12/15/2027

    35,000   34,153
4.05%, 12/15/2049

    10,000   8,292
Sonoco Products Co.:          
4.45%, 9/1/2026

    350,000   350,101
4.60%, 9/1/2029

    125,000   124,414
5.00%, 9/1/2034

    145,000   143,028
WRKCo, Inc.:          
3.00%, 6/15/2033

    500,000   439,315
3.38%, 9/15/2027

    100,000   97,410
4.20%, 6/1/2032

    50,000   48,726
          2,094,266
PHARMACEUTICALS — 1.4%   
AbbVie, Inc.:          
2.95%, 11/21/2026

    605,000   592,319
3.20%, 5/14/2026

    200,000   197,440
 
See accompanying notes to Schedule of Investments.
46

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
3.20%, 11/21/2029

    $1,245,000   $1,190,332
4.05%, 11/21/2039

    1,450,000   1,339,350
4.25%, 11/14/2028 (b)

    35,000   35,366
4.25%, 11/21/2049

    340,000   304,259
4.30%, 5/14/2036

    50,000   48,643
4.40%, 11/6/2042

    50,000   47,143
4.45%, 5/14/2046

    150,000   139,982
4.50%, 5/14/2035

    50,000   49,828
4.55%, 3/15/2035

    350,000   350,129
4.75%, 3/15/2045

    75,000   72,983
4.80%, 3/15/2027

    160,000   163,088
4.80%, 3/15/2029

    150,000   154,339
4.88%, 11/14/2048

    25,000   24,594
4.95%, 3/15/2031

    80,000   83,138
5.05%, 3/15/2034

    250,000   261,112
5.35%, 3/15/2044

    790,000   833,647
5.40%, 3/15/2054

    155,000   164,371
5.50%, 3/15/2064

    110,000   117,402
Astrazeneca Finance LLC:          
1.20%, 5/28/2026

    785,000   751,590
1.75%, 5/28/2028

    55,000   50,784
2.25%, 5/28/2031

    20,000   17,727
4.85%, 2/26/2029

    165,000   170,110
4.88%, 3/3/2028

    250,000   256,845
5.00%, 2/26/2034

    1,085,000   1,132,501
AstraZeneca PLC:          
3.00%, 5/28/2051

    780,000   568,394
3.38%, 11/16/2025

    35,000   34,721
4.00%, 1/17/2029

    35,000   35,011
4.00%, 9/18/2042

    25,000   22,458
4.38%, 8/17/2048

    40,000   37,212
6.45%, 9/15/2037

    25,000   29,235
Becton Dickinson & Co.:          
1.96%, 2/11/2031

    65,000   56,094
3.70%, 6/6/2027

    163,000   161,008
4.67%, 6/6/2047

    210,000   195,058
4.69%, 2/13/2028

    265,000   268,294
4.69%, 12/15/2044

    20,000   18,683
4.87%, 2/8/2029

    250,000   255,267
5.08%, 6/7/2029

    140,000   144,609
Bristol-Myers Squibb Co.:          
0.75%, 11/13/2025

    50,000   48,181
1.13%, 11/13/2027 (b)

    50,000   45,927
1.45%, 11/13/2030

    30,000   25,673
2.35%, 11/13/2040

    520,000   372,325
2.55%, 11/13/2050

    30,000   19,108
2.95%, 3/15/2032

    95,000   86,584
3.25%, 8/1/2042

    50,000   39,750
3.40%, 7/26/2029

    155,000   150,558
3.55%, 3/15/2042

    550,000   460,344
3.70%, 3/15/2052

    500,000   396,720
3.90%, 2/20/2028 (b)

    100,000   99,601
4.13%, 6/15/2039

    535,000   495,437
4.25%, 10/26/2049

    150,000   131,729
4.35%, 11/15/2047

    225,000   201,316
Security Description     Principal
Amount
  Value
4.55%, 2/20/2048

    $100,000   $92,122
4.90%, 2/22/2027 (b)

    385,000   393,135
4.90%, 2/22/2029 (b)

    115,000   118,863
4.95%, 2/20/2026 (b)

    600,000   607,698
5.10%, 2/22/2031

    500,000   523,585
5.20%, 2/22/2034 (b)

    95,000   100,113
5.50%, 2/22/2044

    35,000   37,073
5.55%, 2/22/2054

    120,000   127,250
5.65%, 2/22/2064

    145,000   153,684
5.90%, 11/15/2033

    135,000   149,193
6.25%, 11/15/2053

    125,000   144,749
Cardinal Health, Inc.:          
3.41%, 6/15/2027

    300,000   293,988
4.90%, 9/15/2045

    25,000   23,393
5.13%, 2/15/2029

    250,000   257,212
Cencora, Inc.:          
2.70%, 3/15/2031

    200,000   179,666
2.80%, 5/15/2030 (b)

    100,000   91,907
3.45%, 12/15/2027

    50,000   48,903
5.13%, 2/15/2034 (b)

    145,000   149,362
Cigna Group:          
1.25%, 3/15/2026

    165,000   157,907
2.40%, 3/15/2030

    120,000   108,618
3.05%, 10/15/2027

    50,000   48,480
3.20%, 3/15/2040

    585,000   461,939
3.40%, 3/15/2050

    415,000   304,830
3.40%, 3/15/2051

    290,000   211,799
4.38%, 10/15/2028

    810,000   813,094
4.50%, 2/25/2026

    750,000   751,860
4.80%, 8/15/2038

    60,000   58,389
4.90%, 12/15/2048

    295,000   277,742
5.00%, 5/15/2029

    250,000   257,252
5.25%, 2/15/2034

    250,000   258,875
5.60%, 2/15/2054

    85,000   87,828
6.13%, 11/15/2041

    25,000   27,482
CVS Health Corp.:          
1.30%, 8/21/2027

    300,000   275,691
1.88%, 2/28/2031 (b)

    250,000   210,632
2.70%, 8/21/2040

    850,000   603,619
2.88%, 6/1/2026

    210,000   205,059
3.75%, 4/1/2030

    250,000   239,632
4.13%, 4/1/2040

    350,000   299,610
4.30%, 3/25/2028

    179,000   178,452
4.88%, 7/20/2035

    45,000   44,057
5.00%, 2/20/2026

    70,000   70,476
5.00%, 1/30/2029

    820,000   837,236
5.05%, 3/25/2048

    300,000   273,753
5.13%, 2/21/2030

    100,000   102,521
5.13%, 7/20/2045

    185,000   172,427
5.25%, 2/21/2033

    100,000   102,160
5.30%, 6/1/2033

    80,000   81,736
5.40%, 6/1/2029 (b)

    750,000   778,065
5.63%, 2/21/2053

    700,000   690,669
5.70%, 6/1/2034

    250,000   260,735
5.88%, 6/1/2053

    860,000   874,560
 
See accompanying notes to Schedule of Investments.
47

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
6.00%, 6/1/2044

    $250,000   $258,615
6.05%, 6/1/2054

    250,000   260,440
Eli Lilly & Co.:          
2.25%, 5/15/2050

    100,000   62,930
2.50%, 9/15/2060

    250,000   151,398
4.15%, 8/14/2027

    140,000   141,315
4.20%, 8/14/2029

    90,000   90,826
4.50%, 2/9/2029

    165,000   168,930
4.60%, 8/14/2034

    145,000   147,039
4.70%, 2/27/2033

    725,000   745,525
4.70%, 2/9/2034

    250,000   255,610
4.88%, 2/27/2053

    140,000   139,933
5.00%, 2/9/2054

    90,000   91,493
5.05%, 8/14/2054

    100,000   102,368
5.10%, 2/9/2064

    300,000   306,327
5.20%, 8/14/2064

    90,000   92,947
GlaxoSmithKline Capital PLC

3.38%, 6/1/2029

    835,000   810,785
GlaxoSmithKline Capital, Inc.:          
3.88%, 5/15/2028

    100,000   99,523
4.20%, 3/18/2043

    25,000   22,856
6.38%, 5/15/2038

    50,000   58,136
Johnson & Johnson:          
0.95%, 9/1/2027

    65,000   60,242
1.30%, 9/1/2030 (b)

    1,070,000   930,033
2.10%, 9/1/2040

    565,000   409,631
2.25%, 9/1/2050 (b)

    100,000   64,733
2.45%, 3/1/2026

    30,000   29,433
2.45%, 9/1/2060 (b)

    65,000   40,668
2.90%, 1/15/2028

    250,000   243,937
3.40%, 1/15/2038

    100,000   89,685
3.55%, 3/1/2036

    150,000   140,177
3.63%, 3/3/2037

    200,000   185,692
3.75%, 3/3/2047

    100,000   86,897
4.50%, 12/5/2043 (b)

    50,000   50,160
4.80%, 6/1/2029 (b)

    165,000   171,750
4.95%, 6/1/2034

    105,000   111,309
5.25%, 6/1/2054

    110,000   119,126
McKesson Corp.:          
0.90%, 12/3/2025

    370,000   355,951
4.25%, 9/15/2029

    100,000   100,225
Mead Johnson Nutrition Co.

4.60%, 6/1/2044

    25,000   23,086
Merck & Co., Inc.:          
0.75%, 2/24/2026

    350,000   335,069
1.45%, 6/24/2030

    55,000   47,683
1.70%, 6/10/2027

    850,000   805,298
1.90%, 12/10/2028

    100,000   92,204
2.15%, 12/10/2031

    195,000   170,697
2.35%, 6/24/2040

    70,000   51,258
2.75%, 12/10/2051

    150,000   101,375
3.40%, 3/7/2029

    100,000   97,684
3.60%, 9/15/2042

    25,000   21,081
3.70%, 2/10/2045

    50,000   42,137
3.90%, 3/7/2039

    100,000   91,425
Security Description     Principal
Amount
  Value
4.00%, 3/7/2049

    $65,000   $56,344
4.05%, 5/17/2028 (b)

    100,000   100,881
4.30%, 5/17/2030 (b)

    200,000   202,878
4.50%, 5/17/2033 (b)

    120,000   121,919
5.00%, 5/17/2053

    750,000   755,632
Novartis Capital Corp.:          
2.00%, 2/14/2027

    100,000   95,983
2.20%, 8/14/2030

    100,000   90,765
2.75%, 8/14/2050

    815,000   574,110
3.00%, 11/20/2025

    25,000   24,708
3.10%, 5/17/2027

    30,000   29,467
3.80%, 9/18/2029

    95,000   94,292
4.00%, 9/18/2031

    125,000   123,988
4.00%, 11/20/2045

    50,000   44,824
4.20%, 9/18/2034

    125,000   123,093
4.70%, 9/18/2054

    95,000   93,095
Pfizer Investment Enterprises Pte. Ltd.:          
4.45%, 5/19/2026

    945,000   950,935
4.45%, 5/19/2028

    500,000   507,400
4.65%, 5/19/2030

    250,000   256,042
4.75%, 5/19/2033

    750,000   765,592
5.11%, 5/19/2043

    1,000,000   1,016,620
5.30%, 5/19/2053

    660,000   682,572
5.34%, 5/19/2063

    250,000   256,512
Pfizer, Inc.:          
1.70%, 5/28/2030 (b)

    150,000   132,315
1.75%, 8/18/2031 (b)

    65,000   55,736
2.55%, 5/28/2040

    900,000   673,164
2.70%, 5/28/2050

    250,000   173,147
3.00%, 12/15/2026

    150,000   147,131
3.45%, 3/15/2029 (b)

    100,000   97,948
3.60%, 9/15/2028 (b)

    100,000   99,013
3.90%, 3/15/2039

    25,000   22,800
4.00%, 12/15/2036 (b)

    150,000   142,880
4.00%, 3/15/2049

    100,000   86,742
4.10%, 9/15/2038

    200,000   187,708
4.20%, 9/15/2048

    35,000   31,092
7.20%, 3/15/2039

    75,000   93,751
Sanofi SA

3.63%, 6/19/2028

    100,000   99,126
Shire Acquisitions Investments Ireland DAC

3.20%, 9/23/2026

    530,000   521,764
Takeda Pharmaceutical Co. Ltd.:          
2.05%, 3/31/2030

    250,000   222,090
3.03%, 7/9/2040

    200,000   155,498
3.18%, 7/9/2050

    500,000   358,690
5.00%, 11/26/2028

    100,000   102,520
5.30%, 7/5/2034

    250,000   260,827
Utah Acquisition Sub, Inc.

5.25%, 6/15/2046

    250,000   218,997
Viatris, Inc.:          
2.70%, 6/22/2030

    150,000   133,275
3.85%, 6/22/2040

    500,000   389,370
 
See accompanying notes to Schedule of Investments.
48

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
4.00%, 6/22/2050

    $900,000   $645,696
Wyeth LLC

6.00%, 2/15/2036

    25,000   27,978
Zoetis, Inc.:          
3.00%, 9/12/2027 (b)

    50,000   48,484
3.00%, 5/15/2050

    105,000   74,037
3.90%, 8/20/2028

    50,000   49,644
4.45%, 8/20/2048

    25,000   22,618
4.70%, 2/1/2043

    25,000   23,829
5.40%, 11/14/2025

    95,000   95,896
5.60%, 11/16/2032

    500,000   535,425
          48,539,885
PIPELINES — 0.9%   
Boardwalk Pipelines LP:          
3.40%, 2/15/2031

    45,000   41,322
4.80%, 5/3/2029

    40,000   40,180
5.63%, 8/1/2034

    250,000   257,897
Cheniere Corpus Christi Holdings LLC:          
2.74%, 12/31/2039

    750,000   616,462
3.70%, 11/15/2029

    90,000   86,518
Cheniere Energy Partners LP:          
5.75%, 8/15/2034 (c)

    750,000   782,190
5.95%, 6/30/2033

    250,000   264,567
Cheniere Energy, Inc.

5.65%, 4/15/2034 (c)

    115,000   119,083
DCP Midstream Operating LP

3.25%, 2/15/2032

    300,000   266,646
Enbridge, Inc.:          
2.50%, 8/1/2033

    200,000   167,810
3.40%, 8/1/2051

    145,000   104,600
3.70%, 7/15/2027

    50,000   49,299
4.00%, 11/15/2049

    100,000   80,421
4.25%, 12/1/2026

    50,000   49,942
5.25%, 4/5/2027

    350,000   358,393
5.63%, 4/5/2034

    155,000   162,834
5.70%, 3/8/2033

    610,000   643,135
6.00%, 11/15/2028

    150,000   159,352
6.70%, 11/15/2053

    500,000   580,000
5 yr. CMT + 2.97%, 7.20%, 6/27/2054 (d)

    500,000   526,530
Energy Transfer LP:          
4.00%, 10/1/2027

    50,000   49,506
4.15%, 9/15/2029

    100,000   98,478
4.20%, 4/15/2027 (b)

    50,000   49,847
4.40%, 3/15/2027

    50,000   50,085
4.75%, 1/15/2026

    225,000   225,301
4.95%, 5/15/2028

    30,000   30,451
5.00%, 5/15/2050

    250,000   225,862
5.15%, 2/1/2043

    25,000   23,407
5.15%, 3/15/2045

    225,000   209,720
5.25%, 4/15/2029

    275,000   282,832
5.30%, 4/1/2044

    25,000   24,004
5.35%, 5/15/2045

    25,000   23,809
5.40%, 10/1/2047

    150,000   142,829
Security Description     Principal
Amount
  Value
5.55%, 2/15/2028

    $550,000   $568,733
5.55%, 5/15/2034

    175,000   181,153
5.60%, 9/1/2034

    250,000   259,755
5.75%, 2/15/2033

    500,000   524,100
5.95%, 5/15/2054

    750,000   767,640
6.05%, 12/1/2026

    500,000   517,385
6.10%, 12/1/2028

    250,000   265,545
6.25%, 4/15/2049

    275,000   289,349
EnLink Midstream LLC

5.65%, 9/1/2034

    100,000   103,345
Enterprise Products Operating LLC:          
3.13%, 7/31/2029

    100,000   95,491
3.20%, 2/15/2052

    200,000   141,748
3.30%, 2/15/2053

    250,000   178,872
3.70%, 1/31/2051

    1,250,000   974,225
3.95%, 2/15/2027

    200,000   199,462
4.15%, 10/16/2028

    25,000   24,989
4.20%, 1/31/2050

    65,000   55,427
4.80%, 2/1/2049

    25,000   23,378
4.85%, 3/15/2044

    50,000   47,647
4.90%, 5/15/2046

    50,000   47,776
4.95%, 2/15/2035

    640,000   649,638
5.10%, 2/15/2045

    200,000   197,086
Series E, 3 mo. USD Term SOFR + 3.29%, 5.25%, 8/16/2077 (d)

    150,000   148,186
5.35%, 1/31/2033

    500,000   524,905
5.55%, 2/16/2055

    125,000   129,141
Kinder Morgan Energy Partners LP

5.40%, 9/1/2044

    25,000   24,186
Kinder Morgan, Inc.:          
2.00%, 2/15/2031 (b)

    110,000   94,501
3.25%, 8/1/2050

    650,000   442,429
3.60%, 2/15/2051

    600,000   434,574
5.00%, 2/1/2029

    200,000   204,088
5.05%, 2/15/2046

    50,000   46,210
5.10%, 8/1/2029

    115,000   118,025
5.20%, 6/1/2033

    675,000   683,518
5.30%, 12/1/2034

    200,000   203,108
5.40%, 2/1/2034

    200,000   204,988
5.55%, 6/1/2045

    150,000   148,081
5.95%, 8/1/2054

    180,000   186,869
MPLX LP:          
1.75%, 3/1/2026

    35,000   33,707
2.65%, 8/15/2030

    500,000   449,995
4.00%, 3/15/2028

    35,000   34,529
4.50%, 4/15/2038

    180,000   166,311
4.70%, 4/15/2048

    100,000   87,243
4.80%, 2/15/2029

    105,000   106,611
4.90%, 4/15/2058

    25,000   21,982
4.95%, 3/14/2052

    1,000,000   897,500
5.00%, 3/1/2033

    145,000   145,125
5.20%, 3/1/2047

    100,000   94,829
5.20%, 12/1/2047

    100,000   93,882
 
See accompanying notes to Schedule of Investments.
49

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
5.50%, 6/1/2034

    $110,000   $113,095
ONEOK, Inc.:          
3.10%, 3/15/2030

    525,000   488,764
3.40%, 9/1/2029

    100,000   95,094
4.00%, 7/13/2027

    30,000   29,772
4.20%, 10/3/2047

    50,000   40,072
4.25%, 9/24/2027

    450,000   450,432
4.40%, 10/15/2029

    100,000   99,667
4.45%, 9/1/2049

    40,000   33,413
4.50%, 3/15/2050

    25,000   20,855
4.55%, 7/15/2028

    50,000   50,252
4.75%, 10/15/2031

    100,000   100,014
4.85%, 2/1/2049

    275,000   244,453
4.95%, 7/13/2047

    150,000   135,716
5.00%, 3/1/2026

    50,000   50,252
5.05%, 11/1/2034

    200,000   199,088
5.20%, 7/15/2048

    25,000   23,328
5.55%, 11/1/2026

    145,000   148,297
5.70%, 11/1/2054 (b)

    200,000   198,960
5.85%, 11/1/2064

    200,000   198,678
6.05%, 9/1/2033

    145,000   154,999
6.63%, 9/1/2053

    500,000   554,950
Plains All American Pipeline LP/PAA Finance Corp.:          
4.50%, 12/15/2026

    50,000   50,061
4.65%, 10/15/2025

    400,000   399,592
4.70%, 6/15/2044

    25,000   22,205
5.70%, 9/15/2034

    250,000   259,790
Sabine Pass Liquefaction LLC:          
4.20%, 3/15/2028

    100,000   99,455
4.50%, 5/15/2030

    250,000   249,340
5.88%, 6/30/2026

    250,000   254,152
South Bow USA Infrastructure Holdings LLC

5.58%, 10/1/2034 (c)

    750,000   757,725
Targa Resources Corp.:          
5.20%, 7/1/2027

    85,000   86,929
5.50%, 2/15/2035

    155,000   159,630
6.15%, 3/1/2029

    200,000   213,114
6.50%, 2/15/2053

    500,000   555,425
Targa Resources Partners LP/Targa Resources Partners Finance Corp.

4.00%, 1/15/2032

    500,000   469,980
TransCanada PipeLines Ltd.:          
4.10%, 4/15/2030

    700,000   688,422
4.63%, 3/1/2034

    250,000   246,550
4.75%, 5/15/2038

    100,000   96,317
6.20%, 3/9/2026

    550,000   550,286
7.63%, 1/15/2039

    25,000   30,737
Transcontinental Gas Pipe Line Co. LLC:          
3.25%, 5/15/2030

    750,000   702,517
7.85%, 2/1/2026

    200,000   206,858
Security Description     Principal
Amount
  Value
Valero Energy Partners LP

4.50%, 3/15/2028

    $50,000   $50,135
Western Midstream Operating LP

6.15%, 4/1/2033

    605,000   639,539
Williams Cos., Inc.:          
2.60%, 3/15/2031

    750,000   662,842
3.50%, 11/15/2030 (b)

    100,000   94,512
3.75%, 6/15/2027

    200,000   197,088
5.10%, 9/15/2045

    125,000   119,048
5.40%, 3/2/2026

    500,000   506,475
5.65%, 3/15/2033

    500,000   523,825
5.75%, 6/24/2044

    25,000   25,651
          30,978,930
REAL ESTATE — 0.0% (a)  
CBRE Services, Inc.:          
4.88%, 3/1/2026

    50,000   50,223
5.50%, 4/1/2029

    115,000   119,947
5.95%, 8/15/2034

    155,000   166,394
          336,564
REAL ESTATE INVESTMENT TRUSTS — 0.9%   
Agree LP:          
2.00%, 6/15/2028

    65,000   59,435
4.80%, 10/1/2032

    250,000   247,907
Alexandria Real Estate Equities, Inc.:          
2.00%, 5/18/2032

    125,000   103,469
3.00%, 5/18/2051

    250,000   166,652
3.38%, 8/15/2031

    60,000   55,840
4.00%, 2/1/2050

    100,000   79,731
4.70%, 7/1/2030

    35,000   35,230
5.15%, 4/15/2053

    500,000   477,795
5.25%, 5/15/2036

    115,000   117,092
American Homes 4 Rent LP

5.50%, 2/1/2034

    300,000   309,798
American Tower Corp.:          
1.45%, 9/15/2026

    200,000   189,390
2.30%, 9/15/2031

    145,000   124,788
2.75%, 1/15/2027

    200,000   193,252
3.10%, 6/15/2050

    100,000   69,694
3.13%, 1/15/2027

    100,000   97,376
3.38%, 10/15/2026

    75,000   73,681
3.65%, 3/15/2027

    160,000   157,568
5.20%, 2/15/2029

    500,000   515,305
5.45%, 2/15/2034

    100,000   104,503
5.50%, 3/15/2028

    750,000   776,610
5.80%, 11/15/2028

    250,000   262,815
5.90%, 11/15/2033

    250,000   268,795
AvalonBay Communities, Inc.:          
2.05%, 1/15/2032

    140,000   120,316
Series MTN, 2.45%, 1/15/2031 (b)

    70,000   62,403
Series GMTN, 2.95%, 5/11/2026

    50,000   49,045
 
See accompanying notes to Schedule of Investments.
50

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Series MTN, 3.20%, 1/15/2028 (b)

    $40,000   $38,754
Series MTN, 3.30%, 6/1/2029

    65,000   62,505
Series MTN, 3.90%, 10/15/2046

    50,000   41,672
5.00%, 2/15/2033

    500,000   511,545
5.30%, 12/7/2033

    250,000   260,655
Boston Properties LP:          
2.45%, 10/1/2033 (b)

    50,000   40,026
2.55%, 4/1/2032

    200,000   166,542
2.75%, 10/1/2026

    150,000   144,582
2.90%, 3/15/2030

    35,000   31,437
3.40%, 6/21/2029

    100,000   93,515
3.65%, 2/1/2026

    100,000   98,545
5.75%, 1/15/2035

    200,000   203,986
6.50%, 1/15/2034 (b)

    500,000   543,640
6.75%, 12/1/2027

    100,000   105,725
Brixmor Operating Partnership LP:          
2.25%, 4/1/2028

    50,000   46,111
2.50%, 8/16/2031

    50,000   43,420
4.05%, 7/1/2030 (b)

    25,000   24,268
4.13%, 6/15/2026

    50,000   49,705
4.13%, 5/15/2029

    100,000   97,892
5.50%, 2/15/2034

    175,000   180,017
Camden Property Trust:          
3.15%, 7/1/2029

    65,000   61,963
4.10%, 10/15/2028

    20,000   19,900
5.85%, 11/3/2026

    250,000   258,627
COPT Defense Properties LP:          
2.25%, 3/15/2026

    35,000   33,799
2.75%, 4/15/2031

    40,000   34,988
Crown Castle, Inc.:          
2.10%, 4/1/2031

    500,000   427,645
2.50%, 7/15/2031

    500,000   435,040
2.90%, 4/1/2041

    500,000   371,000
3.65%, 9/1/2027

    150,000   147,078
3.70%, 6/15/2026

    15,000   14,822
4.00%, 3/1/2027

    20,000   19,854
4.75%, 5/15/2047

    100,000   90,907
4.90%, 9/1/2029

    85,000   86,428
5.00%, 1/11/2028

    35,000   35,604
5.20%, 9/1/2034 (b)

    200,000   202,646
5.80%, 3/1/2034

    110,000   116,664
CubeSmart LP:          
3.00%, 2/15/2030

    100,000   92,694
4.38%, 2/15/2029

    30,000   29,824
Digital Realty Trust LP:          
3.70%, 8/15/2027

    150,000   147,853
5.55%, 1/15/2028

    140,000   144,864
DOC Dr. LLC:          
2.63%, 11/1/2031

    25,000   21,808
3.95%, 1/15/2028

    100,000   98,474
Security Description     Principal
Amount
  Value
Equinix Europe 2 Financing Corp. LLC

5.50%, 6/15/2034 (b)

    $195,000   $204,818
Equinix, Inc.:          
1.45%, 5/15/2026

    70,000   66,900
1.55%, 3/15/2028

    75,000   68,401
2.00%, 5/15/2028

    70,000   64,543
2.50%, 5/15/2031

    100,000   88,332
2.95%, 9/15/2051

    150,000   99,534
3.20%, 11/18/2029

    45,000   42,480
3.40%, 2/15/2052

    50,000   36,355
3.90%, 4/15/2032 (b)

    100,000   95,733
ERP Operating LP:          
1.85%, 8/1/2031

    200,000   170,254
3.00%, 7/1/2029

    25,000   23,625
3.50%, 3/1/2028

    100,000   97,687
4.00%, 8/1/2047

    50,000   41,660
4.15%, 12/1/2028

    100,000   99,787
4.65%, 9/15/2034

    110,000   109,480
Essex Portfolio LP:          
1.70%, 3/1/2028

    165,000   151,102
2.55%, 6/15/2031

    30,000   26,266
3.00%, 1/15/2030

    25,000   23,245
3.63%, 5/1/2027

    50,000   49,175
4.00%, 3/1/2029

    65,000   63,836
4.50%, 3/15/2048 (b)

    50,000   44,042
5.50%, 4/1/2034

    200,000   207,772
Extra Space Storage LP:          
2.35%, 3/15/2032

    70,000   59,091
2.40%, 10/15/2031

    70,000   60,222
3.50%, 7/1/2026

    350,000   345,495
3.90%, 4/1/2029

    520,000   507,738
4.00%, 6/15/2029

    100,000   98,097
Federal Realty OP LP:          
3.20%, 6/15/2029

    75,000   70,828
3.25%, 7/15/2027

    50,000   48,498
5.38%, 5/1/2028

    250,000   256,752
GLP Capital LP/GLP Financing II, Inc.:          
3.25%, 1/15/2032

    100,000   88,460
4.00%, 1/15/2030

    65,000   61,929
4.00%, 1/15/2031

    50,000   46,851
5.38%, 4/15/2026

    40,000   40,175
5.63%, 9/15/2034

    200,000   204,430
5.75%, 6/1/2028

    20,000   20,531
6.75%, 12/1/2033

    490,000   538,686
Healthcare Realty Holdings LP:          
2.00%, 3/15/2031

    55,000   46,049
3.50%, 8/1/2026

    25,000   24,582
Healthpeak OP LLC:          
1.35%, 2/1/2027

    100,000   93,567
2.13%, 12/1/2028

    125,000   114,384
2.88%, 1/15/2031 (b)

    125,000   113,761
5.25%, 12/15/2032

    300,000   308,898
 
See accompanying notes to Schedule of Investments.
51

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Highwoods Realty LP:          
3.05%, 2/15/2030

    $25,000   $22,492
3.88%, 3/1/2027

    50,000   48,861
7.65%, 2/1/2034

    200,000   229,708
Host Hotels & Resorts LP:          
Series H, 3.38%, 12/15/2029

    150,000   139,773
5.50%, 4/15/2035

    250,000   253,237
Invitation Homes Operating Partnership LP

5.45%, 8/15/2030 (b)

    500,000   520,985
Kilroy Realty LP:          
3.05%, 2/15/2030

    50,000   44,696
4.75%, 12/15/2028 (b)

    25,000   24,819
6.25%, 1/15/2036 (b)

    60,000   61,444
Kimco Realty OP LLC:          
2.25%, 12/1/2031

    180,000   153,522
2.80%, 10/1/2026

    50,000   48,508
3.70%, 10/1/2049

    100,000   77,446
3.80%, 4/1/2027

    25,000   24,691
4.60%, 2/1/2033

    250,000   248,065
4.85%, 3/1/2035

    45,000   44,649
Kite Realty Group LP

5.50%, 3/1/2034

    75,000   77,242
Mid-America Apartments LP:          
3.60%, 6/1/2027

    50,000   49,318
3.95%, 3/15/2029

    100,000   98,907
5.30%, 2/15/2032

    300,000   311,949
NNN REIT, Inc.:          
3.00%, 4/15/2052

    250,000   165,322
3.10%, 4/15/2050

    100,000   68,033
3.50%, 4/15/2051

    45,000   33,108
3.60%, 12/15/2026

    50,000   49,362
4.30%, 10/15/2028

    35,000   34,808
5.50%, 6/15/2034

    100,000   103,982
Omega Healthcare Investors, Inc.:          
3.25%, 4/15/2033

    200,000   171,834
3.63%, 10/1/2029

    50,000   47,074
Phillips Edison Grocery Center Operating Partnership I LP

4.95%, 1/15/2035

    200,000   196,440
Piedmont Operating Partnership LP:          
3.15%, 8/15/2030

    100,000   87,155
6.88%, 7/15/2029 (b)

    105,000   110,415
Prologis LP:          
1.25%, 10/15/2030 (b)

    30,000   25,302
1.63%, 3/15/2031

    250,000   211,085
1.75%, 2/1/2031

    70,000   60,136
2.13%, 4/15/2027

    50,000   47,672
2.25%, 4/15/2030

    65,000   58,689
2.25%, 1/15/2032

    100,000   85,965
3.00%, 4/15/2050

    50,000   34,975
3.05%, 3/1/2050

    10,000   6,976
4.00%, 9/15/2028

    100,000   99,538
Security Description     Principal
Amount
  Value
4.38%, 2/1/2029

    $65,000   $65,525
4.75%, 6/15/2033

    200,000   202,684
4.88%, 6/15/2028

    500,000   512,610
5.25%, 6/15/2053

    350,000   354,641
Public Storage Operating Co.:          
1.50%, 11/9/2026

    50,000   47,445
1.85%, 5/1/2028

    250,000   231,465
2.25%, 11/9/2031

    65,000   56,504
5.10%, 8/1/2033

    400,000   414,884
Realty Income Corp.:          
0.75%, 3/15/2026

    250,000   237,152
1.80%, 3/15/2033

    300,000   238,947
2.10%, 3/15/2028

    50,000   46,516
2.70%, 2/15/2032

    60,000   52,761
2.85%, 12/15/2032

    250,000   218,612
3.10%, 12/15/2029

    150,000   141,472
3.40%, 1/15/2030

    100,000   95,137
3.65%, 1/15/2028

    100,000   98,170
3.95%, 8/15/2027

    40,000   39,769
4.13%, 10/15/2026

    50,000   49,941
4.63%, 11/1/2025

    50,000   50,139
4.70%, 12/15/2028

    140,000   142,177
4.75%, 2/15/2029

    250,000   254,657
4.88%, 6/1/2026

    10,000   10,084
5.05%, 1/13/2026

    45,000   45,022
5.38%, 9/1/2054

    290,000   295,101
Regency Centers LP:          
4.13%, 3/15/2028

    50,000   49,607
4.40%, 2/1/2047

    150,000   131,709
5.10%, 1/15/2035

    375,000   381,577
Sabra Health Care LP:          
3.20%, 12/1/2031

    150,000   131,989
5.13%, 8/15/2026

    25,000   25,163
Simon Property Group LP:          
1.38%, 1/15/2027

    200,000   188,176
1.75%, 2/1/2028

    250,000   231,527
2.20%, 2/1/2031

    250,000   219,242
2.65%, 7/15/2030

    350,000   320,778
2.65%, 2/1/2032

    500,000   441,205
4.25%, 11/30/2046 (b)

    50,000   43,555
4.75%, 9/26/2034

    40,000   39,663
5.50%, 3/8/2033

    200,000   211,244
6.65%, 1/15/2054

    250,000   297,802
Store Capital LLC:          
2.70%, 12/1/2031

    100,000   84,932
4.50%, 3/15/2028

    50,000   49,055
Sun Communities Operating LP:          
2.30%, 11/1/2028

    65,000   59,333
2.70%, 7/15/2031

    40,000   34,936
4.20%, 4/15/2032

    50,000   47,213
5.50%, 1/15/2029

    375,000   385,871
Tanger Properties LP

3.88%, 7/15/2027

    50,000   48,948
 
See accompanying notes to Schedule of Investments.
52

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
UDR, Inc.:          
Series MTN, 1.90%, 3/15/2033

    $250,000   $197,967
Series MTN, 2.95%, 9/1/2026

    25,000   24,267
Series GMTN, 3.50%, 1/15/2028 (b)

    150,000   145,647
Series MTN, 3.50%, 7/1/2027

    50,000   48,799
Ventas Realty LP:          
3.00%, 1/15/2030

    50,000   46,349
3.85%, 4/1/2027

    100,000   98,728
4.00%, 3/1/2028

    100,000   98,662
4.38%, 2/1/2045 (b)

    75,000   65,613
5.00%, 1/15/2035

    190,000   190,264
5.63%, 7/1/2034

    205,000   215,603
VICI Properties LP

5.13%, 5/15/2032

    750,000   753,750
Welltower OP LLC:          
2.05%, 1/15/2029

    560,000   510,658
2.70%, 2/15/2027

    50,000   48,548
2.80%, 6/1/2031

    200,000   180,448
3.10%, 1/15/2030

    55,000   51,642
4.13%, 3/15/2029

    100,000   99,280
Weyerhaeuser Co.:          
3.38%, 3/9/2033

    60,000   54,746
4.00%, 11/15/2029

    200,000   196,046
4.75%, 5/15/2026

    200,000   201,348
WP Carey, Inc.:          
2.25%, 4/1/2033

    50,000   41,293
3.85%, 7/15/2029 (b)

    100,000   97,192
          30,289,538
RETAIL — 0.7%   
AutoNation, Inc.:          
3.85%, 3/1/2032 (b)

    200,000   184,450
4.75%, 6/1/2030

    50,000   49,820
AutoZone, Inc.:          
1.65%, 1/15/2031

    40,000   33,770
3.75%, 6/1/2027

    100,000   98,872
4.50%, 2/1/2028

    105,000   105,905
4.75%, 2/1/2033

    95,000   95,082
5.20%, 8/1/2033

    250,000   256,710
5.40%, 7/15/2034

    180,000   186,570
6.55%, 11/1/2033

    140,000   156,594
Best Buy Co., Inc.

4.45%, 10/1/2028

    50,000   50,216
Costco Wholesale Corp.:          
1.38%, 6/20/2027

    100,000   93,764
1.60%, 4/20/2030

    65,000   57,394
1.75%, 4/20/2032 (b)

    530,000   451,343
Darden Restaurants, Inc.:          
3.85%, 5/1/2027 (b)

    15,000   14,833
4.55%, 10/15/2029 (e)

    70,000   69,868
4.55%, 2/15/2048

    15,000   12,924
6.30%, 10/10/2033

    115,000   125,342
Security Description     Principal
Amount
  Value
Dollar General Corp.:          
4.13%, 5/1/2028

    $70,000   $69,026
4.15%, 11/1/2025

    25,000   24,846
4.63%, 11/1/2027

    100,000   100,372
5.00%, 11/1/2032

    60,000   59,665
5.45%, 7/5/2033 (b)

    750,000   764,070
5.50%, 11/1/2052

    100,000   95,717
Dollar Tree, Inc.:          
2.65%, 12/1/2031 (b)

    200,000   171,936
4.20%, 5/15/2028

    45,000   44,417
Genuine Parts Co.

4.95%, 8/15/2029

    125,000   127,079
Home Depot, Inc.:          
1.50%, 9/15/2028

    100,000   91,214
1.88%, 9/15/2031

    40,000   34,445
2.13%, 9/15/2026

    150,000   145,071
2.38%, 3/15/2051

    500,000   313,765
2.50%, 4/15/2027

    350,000   338,250
2.70%, 4/15/2030

    250,000   232,558
2.75%, 9/15/2051

    100,000   67,641
2.80%, 9/14/2027

    250,000   242,875
2.88%, 4/15/2027

    100,000   97,617
3.00%, 4/1/2026

    350,000   345,065
3.13%, 12/15/2049

    100,000   73,801
3.25%, 4/15/2032

    130,000   121,624
3.30%, 4/15/2040

    750,000   626,670
3.35%, 4/15/2050

    150,000   115,097
3.63%, 4/15/2052

    500,000   401,475
4.25%, 4/1/2046

    35,000   31,836
4.75%, 6/25/2029

    90,000   92,804
4.85%, 6/25/2031

    95,000   98,452
4.88%, 6/25/2027 (b)

    50,000   51,281
4.90%, 4/15/2029

    500,000   517,920
4.95%, 6/25/2034

    130,000   135,083
4.95%, 9/15/2052 (b)

    250,000   249,420
5.10%, 12/24/2025 (b)

    500,000   506,580
5.15%, 6/25/2026

    70,000   71,430
5.30%, 6/25/2054

    550,000   578,110
5.40%, 6/25/2064 (b)

    105,000   111,148
5.95%, 4/1/2041

    50,000   56,181
Lowe's Cos., Inc.:          
1.30%, 4/15/2028 (b)

    20,000   18,155
1.70%, 9/15/2028

    25,000   22,782
1.70%, 10/15/2030

    520,000   447,210
2.50%, 4/15/2026

    50,000   48,850
2.63%, 4/1/2031

    100,000   89,864
3.00%, 10/15/2050

    265,000   180,160
3.10%, 5/3/2027

    200,000   195,024
3.35%, 4/1/2027

    90,000   88,344
3.50%, 4/1/2051

    50,000   37,003
3.70%, 4/15/2046

    50,000   39,714
3.75%, 4/1/2032

    250,000   238,532
4.05%, 5/3/2047

    300,000   251,133
4.80%, 4/1/2026

    765,000   771,265
5.00%, 4/15/2033

    210,000   216,388
 
See accompanying notes to Schedule of Investments.
53

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
5.15%, 7/1/2033 (b)

    $350,000   $364,717
5.80%, 9/15/2062

    250,000   261,592
McDonald's Corp.:          
Series MTN, 2.13%, 3/1/2030

    15,000   13,508
Series MTN, 2.63%, 9/1/2029 (b)

    75,000   70,275
Series MTN, 3.50%, 3/1/2027 (b)

    50,000   49,389
Series MTN, 3.60%, 7/1/2030

    250,000   242,655
Series MTN, 3.63%, 9/1/2049

    160,000   126,018
Series MTN, 3.70%, 1/30/2026

    75,000   74,553
Series MTN, 3.80%, 4/1/2028 (b)

    100,000   99,043
Series MTN, 4.20%, 4/1/2050

    750,000   648,292
Series MTN, 4.45%, 3/1/2047

    125,000   114,088
Series MTN, 4.45%, 9/1/2048

    20,000   18,166
Series MTN, 4.70%, 12/9/2035

    150,000   151,605
4.80%, 8/14/2028

    500,000   513,090
Series MTN, 4.88%, 12/9/2045

    100,000   97,098
4.95%, 8/14/2033 (b)

    200,000   207,840
Series GMTN, 5.00%, 5/17/2029

    125,000   129,609
5.45%, 8/14/2053

    200,000   208,486
O'Reilly Automotive, Inc.:          
1.75%, 3/15/2031

    45,000   38,110
3.60%, 9/1/2027

    50,000   49,234
4.35%, 6/1/2028

    100,000   100,247
5.00%, 8/19/2034

    200,000   202,352
5.75%, 11/20/2026

    175,000   180,478
Starbucks Corp.:          
2.00%, 3/12/2027

    100,000   95,326
2.25%, 3/12/2030

    100,000   90,325
2.55%, 11/15/2030

    100,000   90,475
3.00%, 2/14/2032 (b)

    220,000   200,343
3.35%, 3/12/2050

    25,000   18,356
3.50%, 11/15/2050

    150,000   114,158
4.00%, 11/15/2028

    50,000   49,809
4.45%, 8/15/2049

    100,000   88,806
4.50%, 11/15/2048

    30,000   27,006
4.75%, 2/15/2026

    425,000   428,132
4.80%, 2/15/2033

    145,000   148,400
5.00%, 2/15/2034 (b)

    200,000   205,734
Target Corp.:          
1.95%, 1/15/2027

    200,000   192,094
2.50%, 4/15/2026

    50,000   49,174
3.38%, 4/15/2029 (b)

    100,000   97,706
4.40%, 1/15/2033 (b)

    65,000   65,531
Security Description     Principal
Amount
  Value
4.50%, 9/15/2034

    $265,000   $264,939
4.80%, 1/15/2053 (b)

    565,000   555,593
TJX Cos., Inc.:          
1.60%, 5/15/2031

    250,000   211,835
2.25%, 9/15/2026

    50,000   48,444
Walmart, Inc.:          
1.05%, 9/17/2026

    165,000   156,773
1.50%, 9/22/2028

    500,000   459,390
1.80%, 9/22/2031 (b)

    570,000   495,398
2.50%, 9/22/2041

    750,000   561,495
2.65%, 9/22/2051

    400,000   274,872
3.25%, 7/8/2029

    80,000   78,626
3.90%, 4/15/2028

    125,000   125,576
4.10%, 4/15/2033

    135,000   135,404
4.50%, 9/9/2052

    250,000   242,447
4.50%, 4/15/2053

    1,000,000   964,980
          22,390,014
SEMICONDUCTORS — 0.6%   
Analog Devices, Inc.:          
2.10%, 10/1/2031

    500,000   435,320
5.05%, 4/1/2034 (b)

    65,000   68,041
5.30%, 4/1/2054

    100,000   104,658
Applied Materials, Inc.:          
1.75%, 6/1/2030

    30,000   26,347
3.90%, 10/1/2025

    25,000   24,924
4.35%, 4/1/2047

    100,000   93,276
4.80%, 6/15/2029

    635,000   654,348
5.10%, 10/1/2035

    50,000   53,018
Broadcom Corp./Broadcom Cayman Finance Ltd.

3.88%, 1/15/2027

    350,000   347,627
Broadcom, Inc.:          
1.95%, 2/15/2028 (c)

    80,000   74,243
2.45%, 2/15/2031 (c)

    700,000   620,067
2.60%, 2/15/2033 (c)

    200,000   171,256
3.14%, 11/15/2035 (c)

    750,000   641,220
3.15%, 11/15/2025

    80,000   78,898
3.42%, 4/15/2033 (c)

    315,000   286,162
3.47%, 4/15/2034 (c)

    250,000   225,290
3.50%, 2/15/2041 (c)

    315,000   259,100
3.75%, 2/15/2051 (b) (c)

    40,000   31,755
4.11%, 9/15/2028

    159,000   158,525
4.15%, 2/15/2028 (e)

    110,000   109,888
4.15%, 11/15/2030

    100,000   98,381
4.30%, 11/15/2032

    55,000   54,060
4.35%, 2/15/2030 (e)

    125,000   124,774
4.55%, 2/15/2032 (e)

    145,000   144,810
4.75%, 4/15/2029

    150,000   152,330
4.80%, 10/15/2034 (e)

    200,000   199,828
4.93%, 5/15/2037 (c)

    500,000   499,120
5.00%, 4/15/2030

    200,000   207,070
5.05%, 7/12/2027

    75,000   76,631
5.05%, 7/12/2029

    590,000   607,411
5.15%, 11/15/2031

    75,000   77,747
 
See accompanying notes to Schedule of Investments.
54

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Intel Corp.:          
1.60%, 8/12/2028

    $55,000   $49,177
2.00%, 8/12/2031

    100,000   83,594
2.45%, 11/15/2029

    150,000   134,877
3.05%, 8/12/2051

    350,000   224,182
3.10%, 2/15/2060

    150,000   91,218
3.15%, 5/11/2027

    200,000   193,354
3.25%, 11/15/2049

    150,000   100,974
3.75%, 3/25/2027

    300,000   294,714
3.75%, 8/5/2027

    250,000   244,978
4.10%, 5/19/2046

    370,000   294,087
4.10%, 5/11/2047

    50,000   39,359
4.75%, 3/25/2050

    150,000   129,360
4.88%, 2/10/2026

    750,000   753,675
4.88%, 2/10/2028

    150,000   151,496
4.90%, 8/5/2052

    500,000   438,105
5.20%, 2/10/2033 (b)

    635,000   643,045
5.63%, 2/10/2043

    100,000   99,411
5.70%, 2/10/2053

    570,000   559,882
5.90%, 2/10/2063

    500,000   500,655
KLA Corp.:          
3.30%, 3/1/2050

    50,000   37,782
4.10%, 3/15/2029

    65,000   65,324
4.95%, 7/15/2052 (b)

    750,000   745,140
Lam Research Corp.:          
3.75%, 3/15/2026

    50,000   49,747
4.00%, 3/15/2029

    280,000   279,754
4.88%, 3/15/2049

    25,000   24,470
Marvell Technology, Inc.:          
1.65%, 4/15/2026

    65,000   62,316
2.45%, 4/15/2028

    65,000   60,650
2.95%, 4/15/2031

    60,000   54,186
5.75%, 2/15/2029

    250,000   262,397
5.95%, 9/15/2033

    125,000   134,178
Microchip Technology, Inc.

5.05%, 3/15/2029

    90,000   92,424
Micron Technology, Inc.:          
2.70%, 4/15/2032

    110,000   96,097
4.66%, 2/15/2030

    200,000   201,148
5.30%, 1/15/2031

    70,000   72,750
5.38%, 4/15/2028

    500,000   515,145
NVIDIA Corp.:          
1.55%, 6/15/2028

    100,000   92,395
2.00%, 6/15/2031 (b)

    100,000   88,429
2.85%, 4/1/2030

    500,000   473,005
3.20%, 9/16/2026

    50,000   49,483
3.50%, 4/1/2040

    300,000   264,903
3.50%, 4/1/2050

    150,000   123,098
NXP BV/NXP Funding LLC/NXP USA, Inc.:          
3.15%, 5/1/2027

    15,000   14,575
3.25%, 5/11/2041

    350,000   272,919
3.40%, 5/1/2030

    570,000   538,496
4.30%, 6/18/2029

    500,000   497,595
4.40%, 6/1/2027

    75,000   75,173
Security Description     Principal
Amount
  Value
5.00%, 1/15/2033

    $100,000   $101,183
QUALCOMM, Inc.:          
1.30%, 5/20/2028

    250,000   227,495
2.15%, 5/20/2030

    100,000   90,415
3.25%, 5/20/2027

    50,000   49,199
3.25%, 5/20/2050

    45,000   33,868
4.25%, 5/20/2032

    90,000   89,884
4.30%, 5/20/2047

    50,000   45,294
4.80%, 5/20/2045

    25,000   24,495
5.40%, 5/20/2033 (b)

    250,000   269,472
6.00%, 5/20/2053

    500,000   566,335
Texas Instruments, Inc.:          
2.90%, 11/3/2027

    70,000   67,934
3.88%, 3/15/2039

    250,000   231,860
4.15%, 5/15/2048

    150,000   133,598
4.60%, 2/15/2028

    115,000   117,433
4.85%, 2/8/2034

    105,000   109,181
5.05%, 5/18/2063

    500,000   500,860
5.15%, 2/8/2054

    350,000   359,425
TSMC Arizona Corp.:          
1.75%, 10/25/2026

    750,000   712,972
3.13%, 10/25/2041

    750,000   614,985
3.88%, 4/22/2027

    200,000   198,282
          21,520,017
SHIPBUILDING — 0.0% (a)  
Huntington Ingalls Industries, Inc.

2.04%, 8/16/2028

    100,000   91,832
SOFTWARE — 0.6%   
Adobe, Inc.:          
2.30%, 2/1/2030

    30,000   27,564
4.80%, 4/4/2029 (b)

    100,000   103,290
4.85%, 4/4/2027

    45,000   46,106
4.95%, 4/4/2034

    450,000   468,918
Autodesk, Inc.:          
2.40%, 12/15/2031

    160,000   140,069
3.50%, 6/15/2027

    50,000   49,160
Broadridge Financial Solutions, Inc.:          
2.60%, 5/1/2031

    150,000   132,398
2.90%, 12/1/2029

    50,000   46,364
Concentrix Corp.

6.65%, 8/2/2026

    200,000   205,476
Electronic Arts, Inc.:          
1.85%, 2/15/2031 (b)

    90,000   77,267
2.95%, 2/15/2051

    65,000   44,826
Fidelity National Information Services, Inc.:          
1.15%, 3/1/2026

    305,000   291,644
1.65%, 3/1/2028

    35,000   32,012
3.10%, 3/1/2041

    15,000   11,578
Fiserv, Inc.:          
2.25%, 6/1/2027

    50,000   47,577
2.65%, 6/1/2030

    50,000   45,567
3.20%, 7/1/2026

    275,000   270,229
 
See accompanying notes to Schedule of Investments.
55

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
3.50%, 7/1/2029

    $65,000   $62,789
4.20%, 10/1/2028

    65,000   64,748
4.40%, 7/1/2049

    60,000   53,042
4.75%, 3/15/2030

    250,000   254,607
5.45%, 3/2/2028

    750,000   778,125
5.60%, 3/2/2033

    500,000   529,450
Intuit, Inc.:          
1.65%, 7/15/2030

    15,000   13,068
5.20%, 9/15/2033

    150,000   158,232
5.25%, 9/15/2026

    250,000   256,257
5.50%, 9/15/2053

    310,000   333,151
Microsoft Corp.:          
2.40%, 8/8/2026

    200,000   195,068
2.53%, 6/1/2050

    1,668,000   1,144,665
2.68%, 6/1/2060

    288,000   189,985
2.92%, 3/17/2052

    860,000   631,283
3.04%, 3/17/2062

    312,000   223,932
3.13%, 11/3/2025

    50,000   49,533
3.30%, 2/6/2027

    1,280,000   1,268,262
3.45%, 8/8/2036

    1,062,000   990,166
4.50%, 6/15/2047

    150,000   147,970
Oracle Corp.:          
1.65%, 3/25/2026

    590,000   567,161
2.30%, 3/25/2028 (b)

    105,000   98,551
2.65%, 7/15/2026

    45,000   43,763
2.80%, 4/1/2027

    250,000   242,005
2.88%, 3/25/2031

    370,000   336,556
2.95%, 4/1/2030

    300,000   279,093
3.60%, 4/1/2040

    750,000   623,775
3.60%, 4/1/2050

    525,000   399,499
3.65%, 3/25/2041

    910,000   751,496
3.80%, 11/15/2037

    180,000   159,239
3.85%, 7/15/2036

    150,000   135,560
3.85%, 4/1/2060

    250,000   188,242
3.90%, 5/15/2035

    5,000   4,621
3.95%, 3/25/2051

    370,000   297,880
4.00%, 7/15/2046

    180,000   149,299
4.10%, 3/25/2061

    145,000   113,957
4.30%, 7/8/2034

    200,000   193,580
4.38%, 5/15/2055

    10,000   8,526
4.50%, 5/6/2028

    90,000   91,094
4.70%, 9/27/2034 (b)

    250,000   249,415
4.90%, 2/6/2033

    590,000   600,319
5.38%, 9/27/2054 (b)

    250,000   250,267
5.50%, 9/27/2064

    200,000   199,206
5.55%, 2/6/2053

    500,000   511,520
5.80%, 11/10/2025

    550,000   558,602
6.15%, 11/9/2029

    295,000   319,096
6.25%, 11/9/2032

    350,000   387,177
6.90%, 11/9/2052

    500,000   601,870
Roper Technologies, Inc.:          
1.75%, 2/15/2031

    250,000   211,552
2.00%, 6/30/2030

    30,000   26,357
2.95%, 9/15/2029

    40,000   37,560
3.80%, 12/15/2026

    30,000   29,816
Security Description     Principal
Amount
  Value
4.20%, 9/15/2028

    $65,000   $64,979
4.50%, 10/15/2029

    200,000   201,208
4.75%, 2/15/2032

    165,000   166,856
4.90%, 10/15/2034

    200,000   201,334
Salesforce, Inc.:          
1.50%, 7/15/2028 (b)

    65,000   59,583
1.95%, 7/15/2031

    120,000   104,155
2.70%, 7/15/2041

    60,000   45,383
2.90%, 7/15/2051

    500,000   349,035
3.05%, 7/15/2061

    50,000   33,537
3.70%, 4/11/2028

    775,000   770,652
ServiceNow, Inc.

1.40%, 9/1/2030

    65,000   55,770
Take-Two Interactive Software, Inc.:          
4.95%, 3/28/2028

    500,000   510,035
5.00%, 3/28/2026

    250,000   252,422
VMware LLC:          
1.40%, 8/15/2026

    500,000   474,055
3.90%, 8/21/2027

    150,000   148,450
Workday, Inc.

3.50%, 4/1/2027

    550,000   541,365
          22,029,851
TELECOMMUNICATIONS — 1.1%   
America Movil SAB de CV:          
2.88%, 5/7/2030

    200,000   184,500
4.38%, 7/16/2042

    50,000   45,258
4.38%, 4/22/2049 (b)

    200,000   178,648
4.70%, 7/21/2032

    200,000   200,090
6.13%, 3/30/2040

    100,000   108,671
AT&T, Inc.:          
1.65%, 2/1/2028

    530,000   488,538
1.70%, 3/25/2026

    850,000   818,992
2.25%, 2/1/2032

    125,000   107,261
2.30%, 6/1/2027

    550,000   525,288
2.55%, 12/1/2033

    350,000   295,050
2.75%, 6/1/2031

    350,000   316,379
3.10%, 2/1/2043

    150,000   114,911
3.50%, 6/1/2041

    600,000   491,532
3.50%, 9/15/2053

    900,000   660,960
3.55%, 9/15/2055

    1,579,000   1,153,681
3.65%, 6/1/2051

    100,000   76,705
3.65%, 9/15/2059

    1,294,000   937,865
3.80%, 2/15/2027

    150,000   148,773
3.80%, 12/1/2057

    471,000   356,566
3.85%, 6/1/2060

    45,000   34,069
4.10%, 2/15/2028

    184,000   183,641
4.35%, 3/1/2029

    500,000   502,860
4.50%, 5/15/2035

    300,000   292,185
4.55%, 3/9/2049

    208,000   186,805
4.65%, 6/1/2044

    25,000   22,755
4.75%, 5/15/2046

    30,000   28,080
4.85%, 3/1/2039

    570,000   558,469
5.40%, 2/15/2034

    1,130,000   1,185,539
 
See accompanying notes to Schedule of Investments.
56

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Bell Telephone Co. of Canada or Bell Canada:          
Series US-4, 3.65%, 3/17/2051

    $450,000   $346,338
4.30%, 7/29/2049

    55,000   47,580
4.46%, 4/1/2048

    30,000   26,647
5.20%, 2/15/2034 (b)

    250,000   256,910
British Telecommunications PLC

5.13%, 12/4/2028 (b)

    200,000   205,400
Cisco Systems, Inc.:          
2.50%, 9/20/2026

    500,000   488,385
4.80%, 2/26/2027

    155,000   158,421
4.85%, 2/26/2029

    125,000   129,235
4.95%, 2/26/2031

    500,000   522,605
5.05%, 2/26/2034

    250,000   262,365
5.30%, 2/26/2054

    200,000   212,102
5.35%, 2/26/2064

    200,000   212,212
5.50%, 1/15/2040

    300,000   324,822
Corning, Inc.:          
4.38%, 11/15/2057

    25,000   21,312
5.35%, 11/15/2048

    100,000   100,678
5.75%, 8/15/2040

    25,000   26,275
Deutsche Telekom International Finance BV

8.75%, 6/15/2030

    550,000   664,169
Juniper Networks, Inc.:          
1.20%, 12/10/2025

    250,000   239,458
2.00%, 12/10/2030

    250,000   214,378
3.75%, 8/15/2029

    100,000   96,445
Motorola Solutions, Inc.:          
2.75%, 5/24/2031

    100,000   89,409
4.60%, 2/23/2028 (b)

    125,000   126,241
4.60%, 5/23/2029

    50,000   50,438
5.00%, 4/15/2029

    125,000   128,299
Orange SA

5.50%, 2/6/2044

    50,000   51,787
Rogers Communications, Inc.:          
3.20%, 3/15/2027

    135,000   131,462
3.70%, 11/15/2049

    50,000   37,628
3.80%, 3/15/2032

    125,000   116,006
4.30%, 2/15/2048

    40,000   33,505
4.35%, 5/1/2049

    155,000   130,724
4.55%, 3/15/2052

    500,000   433,035
5.00%, 2/15/2029

    525,000   535,867
5.00%, 3/15/2044

    50,000   47,461
5.30%, 2/15/2034

    300,000   305,172
Sprint Capital Corp.

6.88%, 11/15/2028

    750,000   818,550
Telefonica Emisiones SA:          
4.10%, 3/8/2027

    500,000   498,070
5.21%, 3/8/2047

    300,000   284,337
5.52%, 3/1/2049

    150,000   148,431
7.05%, 6/20/2036

    775,000   893,707
Telefonica Europe BV

8.25%, 9/15/2030

    25,000   29,445
Security Description     Principal
Amount
  Value
TELUS Corp.

4.60%, 11/16/2048

    $150,000   $132,057
T-Mobile USA, Inc.:          
2.05%, 2/15/2028

    45,000   41,899
2.25%, 11/15/2031

    50,000   43,131
2.55%, 2/15/2031

    165,000   147,018
2.70%, 3/15/2032

    500,000   440,780
3.00%, 2/15/2041

    555,000   426,051
3.30%, 2/15/2051

    350,000   253,466
3.40%, 10/15/2052

    500,000   365,905
3.60%, 11/15/2060

    20,000   14,508
3.75%, 4/15/2027

    150,000   148,179
3.88%, 4/15/2030

    380,000   369,542
4.20%, 10/1/2029 (b)

    105,000   104,518
4.38%, 4/15/2040

    350,000   322,756
4.50%, 4/15/2050

    545,000   484,243
4.70%, 1/15/2035

    800,000   797,432
4.80%, 7/15/2028

    250,000   254,687
4.85%, 1/15/2029

    750,000   765,855
5.05%, 7/15/2033

    500,000   512,505
5.15%, 4/15/2034

    85,000   87,535
5.20%, 1/15/2033

    250,000   258,860
5.25%, 6/15/2055

    200,000   198,922
5.65%, 1/15/2053

    250,000   262,667
5.75%, 1/15/2034

    250,000   268,467
5.75%, 1/15/2054

    500,000   531,380
6.00%, 6/15/2054

    250,000   275,232
Verizon Communications, Inc.:          
0.85%, 11/20/2025

    200,000   192,244
1.45%, 3/20/2026

    580,000   556,411
1.50%, 9/18/2030

    60,000   51,484
1.68%, 10/30/2030

    55,000   47,031
1.75%, 1/20/2031

    200,000   170,566
2.10%, 3/22/2028

    500,000   466,460
2.55%, 3/21/2031

    500,000   446,630
2.63%, 8/15/2026

    50,000   48,619
2.65%, 11/20/2040

    200,000   147,120
2.88%, 11/20/2050

    200,000   135,450
2.99%, 10/30/2056

    337,000   221,099
3.00%, 11/20/2060

    175,000   112,637
3.15%, 3/22/2030

    500,000   471,265
3.40%, 3/22/2041

    1,500,000   1,225,890
3.55%, 3/22/2051

    1,500,000   1,162,530
3.70%, 3/22/2061

    500,000   378,265
3.88%, 2/8/2029

    10,000   9,863
4.00%, 3/22/2050

    500,000   416,365
4.02%, 12/3/2029

    350,000   344,774
4.27%, 1/15/2036

    28,000   26,745
4.33%, 9/21/2028

    285,000   286,291
4.40%, 11/1/2034

    250,000   244,123
4.50%, 8/10/2033

    250,000   246,803
5.05%, 5/9/2033

    990,000   1,021,680
5.50%, 2/23/2054

    350,000   366,404
Vodafone Group PLC:          
4.25%, 9/17/2050

    750,000   625,380
 
See accompanying notes to Schedule of Investments.
57

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
4.38%, 2/19/2043

    $75,000   $69,244
5.63%, 2/10/2053 (b)

    640,000   650,394
5.75%, 6/28/2054

    250,000   258,630
5.88%, 6/28/2064

    250,000   257,792
          37,815,166
TOYS/GAMES/HOBBIES — 0.0% (a)  
Hasbro, Inc.:          
3.50%, 9/15/2027

    30,000   29,210
3.90%, 11/19/2029 (b)

    100,000   96,392
6.05%, 5/14/2034

    250,000   263,060
          388,662
TRANSPORTATION — 0.4%   
Burlington Northern Santa Fe LLC:          
3.05%, 2/15/2051

    15,000   10,802
3.30%, 9/15/2051

    350,000   264,586
3.55%, 2/15/2050

    250,000   199,665
3.90%, 8/1/2046

    100,000   85,216
4.05%, 6/15/2048

    155,000   134,853
4.13%, 6/15/2047

    150,000   132,136
4.15%, 12/15/2048

    30,000   26,345
4.45%, 3/15/2043

    50,000   46,942
4.45%, 1/15/2053

    500,000   463,130
4.55%, 9/1/2044

    50,000   47,226
4.90%, 4/1/2044

    125,000   123,951
5.20%, 4/15/2054

    895,000   924,875
Canadian National Railway Co.:          
2.45%, 5/1/2050

    15,000   9,660
2.75%, 3/1/2026

    100,000   98,236
3.20%, 8/2/2046

    25,000   19,221
3.65%, 2/3/2048

    50,000   41,227
4.38%, 9/18/2034

    540,000   535,961
5.85%, 11/1/2033

    250,000   275,537
Canadian Pacific Railway Co.:          
1.75%, 12/2/2026

    80,000   76,119
2.05%, 3/5/2030 (b)

    35,000   31,292
2.45%, 12/2/2031

    565,000   497,742
2.88%, 11/15/2029

    65,000   61,085
3.00%, 12/2/2041

    350,000   271,141
3.50%, 5/1/2050

    25,000   19,405
4.00%, 6/1/2028

    100,000   99,433
4.70%, 5/1/2048

    50,000   46,880
4.80%, 9/15/2035

    30,000   30,005
CSX Corp.:          
2.40%, 2/15/2030

    50,000   45,783
2.50%, 5/15/2051

    610,000   390,132
3.25%, 6/1/2027 (b)

    50,000   49,094
3.35%, 9/15/2049

    65,000   49,497
3.80%, 3/1/2028

    50,000   49,636
3.80%, 11/1/2046

    100,000   83,717
4.10%, 3/15/2044

    75,000   66,748
4.25%, 3/15/2029

    95,000   95,730
4.30%, 3/1/2048

    50,000   44,820
Security Description     Principal
Amount
  Value
4.50%, 3/15/2049

    $125,000   $115,774
4.65%, 3/1/2068

    50,000   45,938
4.90%, 3/15/2055

    105,000   103,197
5.20%, 11/15/2033 (b)

    650,000   685,444
FedEx Corp.:          
2.40%, 5/15/2031 (b)

    65,000   57,487
3.25%, 5/15/2041 (b)

    415,000   323,356
3.40%, 2/15/2028

    50,000   48,802
3.90%, 2/1/2035

    200,000   186,534
4.05%, 2/15/2048

    50,000   41,335
4.55%, 4/1/2046

    100,000   89,139
4.75%, 11/15/2045

    25,000   22,967
4.95%, 10/17/2048

    100,000   94,023
5.25%, 5/15/2050 (b)

    650,000   641,400
Norfolk Southern Corp.:          
2.90%, 6/15/2026

    150,000   146,943
2.90%, 8/25/2051

    150,000   101,097
3.00%, 3/15/2032

    150,000   136,744
3.05%, 5/15/2050

    350,000   246,221
3.15%, 6/1/2027

    50,000   48,748
3.16%, 5/15/2055

    68,000   47,278
3.40%, 11/1/2049

    100,000   75,233
3.94%, 11/1/2047

    100,000   83,340
4.45%, 3/1/2033

    200,000   199,474
4.45%, 6/15/2045

    19,000   17,379
5.05%, 8/1/2030

    145,000   150,922
5.35%, 8/1/2054

    500,000   514,290
5.55%, 3/15/2034

    95,000   101,860
Ryder System, Inc.:          
Series MTN, 1.75%, 9/1/2026

    125,000   118,989
Series MTN, 2.85%, 3/1/2027

    145,000   140,183
Series MTN, 5.38%, 3/15/2029

    100,000   103,771
Series MTN, 5.65%, 3/1/2028

    250,000   260,527
Union Pacific Corp.:          
2.15%, 2/5/2027

    250,000   239,717
2.38%, 5/20/2031

    40,000   35,877
2.40%, 2/5/2030

    500,000   458,940
2.75%, 3/1/2026

    50,000   49,078
2.80%, 2/14/2032

    570,000   518,523
2.97%, 9/16/2062

    110,000   71,043
3.20%, 5/20/2041

    70,000   56,685
3.25%, 2/5/2050

    700,000   528,143
3.38%, 2/14/2042

    40,000   32,816
3.50%, 2/14/2053

    75,000   58,415
3.55%, 5/20/2061

    100,000   73,987
3.80%, 10/1/2051

    52,000   42,833
3.80%, 4/6/2071

    175,000   134,442
3.84%, 3/20/2060

    130,000   104,270
4.10%, 9/15/2067

    15,000   12,284
4.50%, 1/20/2033

    250,000   252,752
4.95%, 9/9/2052 (b)

    250,000   249,895
 
See accompanying notes to Schedule of Investments.
58

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
United Parcel Service, Inc.:          
2.40%, 11/15/2026

    $30,000   $29,045
3.05%, 11/15/2027

    50,000   48,638
3.75%, 11/15/2047

    175,000   143,785
4.88%, 3/3/2033 (b)

    175,000   181,027
5.05%, 3/3/2053 (b)

    600,000   599,490
5.15%, 5/22/2034 (b)

    210,000   220,666
5.30%, 4/1/2050

    200,000   207,890
5.50%, 5/22/2054

    235,000   251,018
          14,997,482
TRUCKING & LEASING — 0.0% (a)  
GATX Corp.:          
1.90%, 6/1/2031

    200,000   167,124
3.10%, 6/1/2051 (b)

    250,000   170,343
3.85%, 3/30/2027 (b)

    50,000   49,289
4.55%, 11/7/2028

    50,000   50,275
4.70%, 4/1/2029

    25,000   25,214
5.40%, 3/15/2027

    30,000   30,771
6.05%, 3/15/2034

    155,000   166,933
6.05%, 6/5/2054 (b)

    250,000   269,985
          929,934
VENTURE CAPITAL — 0.0% (a)  
Hercules Capital, Inc.

3.38%, 1/20/2027

    65,000   61,881
WATER — 0.1%   
American Water Capital Corp.:          
2.30%, 6/1/2031

    100,000   87,871
2.95%, 9/1/2027

    121,000   117,491
3.25%, 6/1/2051

    100,000   73,405
3.45%, 5/1/2050

    50,000   38,819
3.75%, 9/1/2028

    100,000   98,508
3.75%, 9/1/2047

    100,000   81,625
4.30%, 12/1/2042

    25,000   22,848
5.15%, 3/1/2034

    250,000   260,975
5.45%, 3/1/2054 (b)

    250,000   262,882
Essential Utilities, Inc.:          
2.40%, 5/1/2031

    105,000   92,100
2.70%, 4/15/2030

    60,000   55,031
4.80%, 8/15/2027

    250,000   253,378
5.38%, 1/15/2034

    250,000   258,637
          1,703,570
TOTAL CORPORATE BONDS & NOTES

(Cost $897,578,527)

        859,325,732
ASSET-BACKED SECURITIES — 0.4%          
AUTOMOBILE — 0.2%          
Ally Auto Receivables Trust

Series 2023-1, Class A3, 5.46%, 5/15/2028

    105,000   106,316
Security Description     Principal
Amount
  Value
AmeriCredit Automobile Receivables Trust

Series 2023-2, Class A3, 5.81%, 5/18/2028

    $250,000   $255,325
BMW Vehicle Lease Trust

Series 2024-1, Class A3, 4.98%, 3/25/2027

    150,000   151,269
Bridgecrest Lending Auto Securitization Trust

Series 2024-3, Class A3, COR, 5.34%, 4/17/2028

    211,000   212,884
Capital One Prime Auto Receivables Trust

Series 2023-1, Class A3, 4.87%, 2/15/2028

    450,000   452,234
CarMax Auto Owner Trust:          
Series 2023-2, Class A3, 5.05%, 1/18/2028

    250,000   251,828
Series 2023-1, Class A4, COR, 4.65%, 1/16/2029

    1,000,000   1,008,460
Ford Credit Auto Owner Trust:          
Series 2022-B, Class A4, 3.93%, 8/15/2027

    200,000   198,896
Series 2023-A, Class A3, 4.65%, 2/15/2028

    94,000   94,268
Series 2024-A, Class A3, 5.09%, 12/15/2028

    207,000   210,762
GM Financial Consumer Automobile Receivables Trust:          
Series 2023-2, Class A3, 4.47%, 2/16/2028

    500,000   500,641
Series 2023-1, Class A3, 4.66%, 2/16/2028

    55,000   55,155
Honda Auto Receivables Owner Trust:          
Series 2024-3, Class A3, 4.57%, 3/21/2029

    304,000   306,991
Series 2023-2, Class A3, 4.93%, 11/15/2027

    125,000   125,975
Series 2023-3, Class A3, 5.41%, 2/18/2028

    183,000   185,593
Hyundai Auto Receivables Trust:          
Series 2024-A, Class A3, 4.99%, 2/15/2029

    300,000   305,010
Series 2023-B, Class A3, 5.48%, 4/17/2028

    367,000   372,587
Mercedes-Benz Auto Lease Trust

Series 2024-B, Class A3, 4.23%, 2/15/2028

    210,000   209,809
Nissan Auto Receivables Owner Trust

Series 2023-A, Class A4, 4.85%, 6/17/2030

    400,000   405,605
 
See accompanying notes to Schedule of Investments.
59

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Santander Drive Auto Receivables Trust:          
Series 2022-4, Class C, 5.00%, 11/15/2029

    $250,000   $251,452
Series 2024-2, Class A3, 5.63%, 11/15/2028

    100,000   101,592
Series 2024-3, Class A3, 5.63%, 1/16/2029

    242,000   246,089
Toyota Auto Receivables Owner Trust:          
Series 2023-B, Class A3, 4.71%, 2/15/2028

    350,000   351,745
Series 2023-C, Class A3, 5.16%, 4/17/2028

    69,000   69,813
Series 2024-B, Class A3, 5.33%, 1/16/2029

    180,000   183,978
Series 2024-C, Class A3, COR, 4.88%, 3/15/2029

    350,000   356,067
Volkswagen Auto Loan Enhanced Trust

Series 2023-2, Class A3, 5.48%, 12/20/2028

    300,000   307,470
World Omni Auto Receivables Trust:          
Series 2024-C, Class A3, 4.43%, 12/17/2029

    188,000   188,820
Series 2024-A, Class A3, 4.86%, 3/15/2029

    400,000   404,723
          7,871,357
CREDIT CARD — 0.1%          
American Express Credit Account Master Trust:          
Series 2024-3, Class A, 4.65%, 7/15/2029

    250,000   254,604
Series 2023-1, Class A, 4.87%, 5/15/2028

    887,000   897,024
BA Credit Card Trust

Series 2022-A2, Class A2, 5.00%, 4/15/2028

    650,000   654,922
Barclays Dryrock Issuance Trust

Series 2023-1, Class A, 4.72%, 2/15/2029

    250,000   251,790
Capital One Multi-Asset Execution Trust:          
Series 2023-A1, Class A, 4.42%, 5/15/2028

    286,000   287,110
Series 2021-A2, Class A2, 1.39%, 7/15/2030

    350,000   317,125
Chase Issuance Trust

Series 2024-A1, Class A, 4.60%, 1/16/2029

    175,000   177,247
Citibank Credit Card Issuance Trust

Series 2018-A7, Class A7, 3.96%, 10/13/2030

    200,000   199,316
Security Description     Principal
Amount
  Value
Discover Card Execution Note Trust:          
Series 2021-A2, Class A2, 1.03%, 9/15/2028

    $271,000   $255,371
Series 2023-A2, Class A, 4.93%, 6/15/2028

    453,000   458,546
Synchrony Card Funding LLC

Series 2024-A2, Class A, COR, 4.93%, 7/15/2030

    375,000   382,379
          4,135,434
OTHER ABS — 0.1%          
CNH Equipment Trust

Series 2023-A, Class A3, 4.81%, 8/15/2028

    250,000   251,526
John Deere Owner Trust

Series 2023-A, Class A3, 5.01%, 11/15/2027

    400,000   402,595
Verizon Master Trust:          
Series 2022-4, Class A, 3.40%, 11/20/2028

    350,000   347,185
Series 2023-1, Class A, 4.49%, 1/22/2029

    400,000   400,926
Series 2023-4, Class A1A, 5.16%, 6/20/2029

    205,000   208,053
          1,610,285
TOTAL ASSET-BACKED SECURITIES

(Cost $13,565,705)

        13,617,076
FOREIGN GOVERNMENT OBLIGATIONS — 2.6%          
AUSTRIA — 0.0% (a)          
Oesterreichische Kontrollbank AG:          
3.75%, 09/05/2029

    145,000   145,552
4.25%, 03/01/2028

    750,000   763,763
Series GMTN, 0.50%, 02/02/2026

    500,000   477,390
          1,386,705
CANADA — 0.5%          
Canada Government International Bonds:          
0.75%, 05/19/2026

    500,000   476,081
3.75%, 04/26/2028

    760,000   763,969
4.63%, 04/30/2029

    735,000   765,419
Export Development Canada:          
3.75%, 09/07/2027

    250,000   250,751
3.88%, 02/14/2028

    500,000   503,441
4.13%, 02/13/2029

    445,000   453,144
4.75%, 06/05/2034

    265,000   283,116
Province of Alberta:          
1.30%, 07/22/2030

    400,000   346,645
3.30%, 03/15/2028

    650,000   640,578
4.50%, 01/24/2034

    200,000   205,014
 
See accompanying notes to Schedule of Investments.
60

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Province of British Columbia:          
0.90%, 07/20/2026

    $500,000   $474,418
1.30%, 01/29/2031

    200,000   170,867
2.25%, 06/02/2026

    150,000   145,971
4.20%, 07/06/2033

    550,000   552,041
4.75%, 06/12/2034

    500,000   522,642
4.90%, 04/24/2029

    250,000   261,323
Province of Manitoba:          
2.13%, 06/22/2026

    250,000   242,581
4.90%, 05/31/2034

    120,000   126,812
Province of New Brunswick

3.63%, 2/24/2028

    50,000   49,495
Province of Ontario:          
0.63%, 01/21/2026

    440,000   420,954
1.05%, 04/14/2026

    500,000   478,784
1.13%, 10/07/2030

    500,000   426,751
1.60%, 02/25/2031

    250,000   217,139
1.80%, 10/14/2031

    500,000   433,796
2.00%, 10/02/2029

    350,000   321,238
2.50%, 04/27/2026

    350,000   342,467
3.10%, 05/19/2027

    750,000   737,600
3.70%, 09/17/2029

    200,000   199,046
4.20%, 01/18/2029

    300,000   304,610
5.05%, 04/24/2034

    200,000   213,764
Series MTN, 2.13%, 01/21/2032 (b)

    1,250,000   1,105,319
Province of Quebec:          
1.35%, 05/28/2030

    300,000   261,865
1.90%, 04/21/2031

    250,000   220,399
2.50%, 04/20/2026

    250,000   244,643
2.75%, 04/12/2027

    200,000   195,195
3.63%, 04/13/2028

    1,750,000   1,742,836
4.50%, 04/03/2029

    400,000   411,437
          15,512,151
CHILE — 0.1%          
Chile Government International Bonds:          
2.45%, 01/31/2031

    200,000   178,584
2.55%, 07/27/2033

    250,000   214,439
3.10%, 01/22/2061 (b)

    250,000   166,535
3.13%, 01/21/2026

    50,000   49,023
3.24%, 02/06/2028

    200,000   193,641
3.25%, 09/21/2071

    250,000   167,134
3.86%, 06/21/2047

    300,000   247,870
4.34%, 03/07/2042

    250,000   228,803
4.85%, 01/22/2029

    200,000   204,367
4.95%, 01/05/2036

    335,000   339,554
5.33%, 01/05/2054

    500,000   506,763
          2,496,713
GERMANY — 0.1%          
Kreditanstalt fuer Wiederaufbau:          
Zero Coupon, 06/29/2037

    100,000   59,782
0.63%, 01/22/2026

    225,000   215,613
Security Description     Principal
Amount
  Value
0.75%, 09/30/2030

    $500,000   $422,550
1.75%, 09/14/2029

    250,000   228,820
2.88%, 04/03/2028 (b)

    290,000   282,939
3.50%, 08/27/2027 (e)

    220,000   219,298
5.00%, 03/16/2026

    750,000   761,977
Landwirtschaftliche Rentenbank:          
0.88%, 03/30/2026

    240,000   229,450
0.88%, 09/03/2030

    200,000   170,036
Series 37, 2.50%, 11/15/2027

    50,000   48,310
          2,638,775
INDONESIA — 0.1%          
Indonesia Government International Bonds:          
1.85%, 03/12/2031

    500,000   430,182
2.15%, 07/28/2031 (b)

    500,000   433,394
3.05%, 03/12/2051

    250,000   182,265
3.55%, 03/31/2032 (b)

    350,000   329,277
4.45%, 04/15/2070

    200,000   177,996
4.55%, 01/11/2028

    200,000   202,603
4.70%, 02/10/2034

    200,000   201,662
4.75%, 02/11/2029 (b)

    150,000   153,636
4.75%, 09/10/2034

    350,000   353,455
4.85%, 01/11/2033

    200,000   204,142
5.10%, 02/10/2054

    500,000   506,375
5.35%, 02/11/2049 (b)

    100,000   105,773
5.65%, 01/11/2053

    300,000   325,565
          3,606,325
ISRAEL — 0.1%          
Israel Government International Bonds:          
2.75%, 07/03/2030

    200,000   175,089
2.88%, 03/16/2026 (b)

    100,000   96,756
3.25%, 01/17/2028

    100,000   94,400
3.88%, 07/03/2050

    200,000   146,159
4.13%, 01/17/2048 (b)

    100,000   77,439
4.50%, 01/17/2033

    400,000   375,355
5.50%, 03/12/2034

    500,000   498,690
5.75%, 03/12/2054

    500,000   475,550
State of Israel

3.38%, 1/15/2050

    300,000   203,509
          2,142,947
ITALY — 0.0% (a)          
Republic of Italy Government International Bonds:          
1.25%, 02/17/2026

    250,000   239,766
2.88%, 10/17/2029

    500,000   463,642
3.88%, 05/06/2051

    200,000   146,995
4.00%, 10/17/2049 (b)

    200,000   153,725
5.38%, 06/15/2033

    50,000   51,491
          1,055,619
 
See accompanying notes to Schedule of Investments.
61

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
JAPAN — 0.1%          
Japan Bank for International Cooperation:          
1.25%, 01/21/2031

    $250,000   $212,748
1.88%, 04/15/2031

    200,000   176,224
2.13%, 02/16/2029

    250,000   232,645
2.38%, 04/20/2026

    200,000   194,946
2.75%, 11/16/2027

    200,000   193,545
2.88%, 07/21/2027

    100,000   97,375
3.25%, 07/20/2028

    250,000   245,073
4.25%, 01/26/2026

    500,000   500,730
4.25%, 04/27/2026

    450,000   451,311
4.38%, 01/24/2031

    200,000   204,871
4.63%, 07/22/2027

    200,000   204,203
4.63%, 04/17/2034

    500,000   522,948
Japan International Cooperation Agency:          
1.75%, 04/28/2031

    200,000   174,186
4.75%, 05/21/2029

    200,000   207,234
          3,618,039
MEXICO — 0.2%          
Mexico Government International Bonds:          
2.66%, 05/24/2031

    450,000   386,847
3.25%, 04/16/2030

    350,000   321,237
3.50%, 02/12/2034

    250,000   212,990
3.75%, 01/11/2028

    100,000   97,463
3.77%, 05/24/2061

    200,000   130,695
4.13%, 01/21/2026

    125,000   124,385
4.15%, 03/28/2027 (b)

    200,000   198,716
4.28%, 08/14/2041

    1,025,000   839,947
4.40%, 02/12/2052 (b)

    400,000   307,781
4.50%, 04/22/2029 (b)

    250,000   247,164
4.50%, 01/31/2050 (b)

    250,000   199,030
4.60%, 02/10/2048

    200,000   161,133
4.75%, 04/27/2032 (b)

    200,000   192,608
5.00%, 04/27/2051 (b)

    200,000   168,953
5.40%, 02/09/2028

    850,000   868,644
5.55%, 01/21/2045 (b)

    450,000   429,531
6.00%, 05/07/2036

    500,000   509,941
6.05%, 01/11/2040

    30,000   30,414
6.34%, 05/04/2053

    500,000   497,194
6.35%, 02/09/2035

    500,000   524,816
6.40%, 05/07/2054

    1,250,000   1,253,264
Series MTN, 4.75%, 03/08/2044

    100,000   84,676
          7,787,429
PANAMA — 0.1%          
Panama Government International Bonds:          
2.25%, 09/29/2032

    200,000   155,006
3.16%, 01/23/2030

    200,000   178,990
3.30%, 01/19/2033 (b)

    500,000   417,245
3.87%, 07/23/2060

    200,000   125,860
Security Description     Principal
Amount
  Value
3.88%, 03/17/2028

    $200,000   $192,875
4.50%, 05/15/2047

    50,000   38,052
4.50%, 04/16/2050

    700,000   514,968
6.40%, 02/14/2035

    200,000   204,688
6.70%, 01/26/2036

    50,000   52,207
6.85%, 03/28/2054

    850,000   862,010
8.00%, 03/01/2038

    700,000   790,403
          3,532,304
PERU — 0.1%          
Peru Government International Bonds:          
2.78%, 01/23/2031

    320,000   285,650
2.78%, 12/01/2060 (b)

    150,000   90,545
3.00%, 01/15/2034

    250,000   214,540
3.23%, 07/28/2121 (b)

    150,000   89,510
3.30%, 03/11/2041

    815,000   644,026
3.55%, 03/10/2051

    70,000   53,095
3.60%, 01/15/2072 (b)

    250,000   171,578
5.38%, 02/08/2035

    100,000   102,575
5.63%, 11/18/2050

    150,000   154,482
5.88%, 08/08/2054

    50,000   52,557
6.55%, 03/14/2037

    25,000   28,012
          1,886,570
PHILIPPINES — 0.1%          
Philippines Government International Bonds:          
1.65%, 06/10/2031 (b)

    250,000   211,079
1.95%, 01/06/2032

    200,000   169,397
2.46%, 05/05/2030

    200,000   181,617
2.65%, 12/10/2045

    600,000   422,478
2.95%, 05/05/2045

    250,000   184,768
3.20%, 07/06/2046

    200,000   152,225
3.70%, 03/01/2041 (b)

    200,000   173,739
3.70%, 02/02/2042

    100,000   86,329
3.95%, 01/20/2040 (b)

    200,000   180,941
4.63%, 07/17/2028 (b)

    500,000   507,043
4.75%, 03/05/2035

    350,000   353,136
5.00%, 07/17/2033

    200,000   206,008
5.00%, 01/13/2037

    150,000   154,774
5.50%, 01/17/2048

    500,000   532,906
5.60%, 05/14/2049

    250,000   269,676
5.61%, 04/13/2033

    500,000   535,065
7.75%, 01/14/2031

    100,000   118,190
          4,439,371
POLAND — 0.1%          
Republic of Poland Government International Bonds:          
3.25%, 04/06/2026

    175,000   172,825
4.63%, 03/18/2029

    250,000   255,612
4.88%, 10/04/2033

    500,000   508,409
5.13%, 09/18/2034

    250,000   257,094
5.50%, 11/16/2027

    350,000   365,362
5.50%, 03/18/2054

    145,000   148,173
 
See accompanying notes to Schedule of Investments.
62

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
5.75%, 11/16/2032

    $250,000   $268,369
          1,975,844
SOUTH KOREA — 0.1%          
Export-Import Bank of Korea:          
0.63%, 02/09/2026

    200,000   190,734
1.13%, 12/29/2026

    200,000   187,573
2.38%, 04/21/2027

    25,000   24,040
2.50%, 06/29/2041

    250,000   185,259
3.25%, 11/10/2025

    150,000   148,232
4.25%, 09/15/2027

    250,000   251,917
4.50%, 01/11/2029

    200,000   203,418
5.00%, 01/11/2028 (b)

    250,000   256,955
5.13%, 09/18/2028

    200,000   207,466
5.13%, 01/11/2033 (b)

    200,000   209,284
Korea Development Bank:          
0.80%, 07/19/2026

    250,000   235,776
1.63%, 01/19/2031 (b)

    250,000   211,636
3.00%, 01/13/2026

    100,000   98,575
4.38%, 02/15/2028

    200,000   201,848
4.38%, 02/15/2033

    750,000   745,153
4.50%, 02/15/2029

    200,000   203,607
4.63%, 02/15/2027

    200,000   203,020
Korea International Bonds:          
1.00%, 09/16/2030

    200,000   170,435
3.50%, 09/20/2028

    200,000   197,747
4.50%, 07/03/2029

    350,000   361,612
          4,494,287
SUPRANATIONAL — 0.8%          
African Development Bank:          
0.88%, 03/23/2026

    150,000   143,609
3.50%, 09/18/2029

    400,000   397,044
4.38%, 03/14/2028

    400,000   409,368
Asian Development Bank:          
3.13%, 04/27/2032

    250,000   239,670
4.25%, 01/09/2026

    650,000   652,567
Series GMTN, 0.50%, 02/04/2026

    250,000   239,000
Series GMTN, 0.75%, 10/08/2030

    200,000   168,636
Series GMTN, 1.00%, 04/14/2026

    100,000   95,816
Series GMTN, 1.25%, 06/09/2028

    100,000   91,897
Series GMTN, 1.50%, 01/20/2027

    500,000   476,275
Series GMTN, 1.50%, 03/04/2031

    250,000   218,375
Series GMTN, 1.88%, 03/15/2029

    250,000   231,998
Series GMTN, 1.88%, 01/24/2030

    500,000   457,205
Series GMTN, 2.00%, 04/24/2026

    100,000   97,231
Series GMTN, 2.38%, 08/10/2027

    50,000   48,308
Security Description     Principal
Amount
  Value
Series GMTN, 2.50%, 11/02/2027

    $100,000   $96,685
Series GMTN, 2.63%, 01/12/2027

    50,000   48,853
Series GMTN, 3.13%, 08/20/2027 (b)

    1,000,000   986,350
Series GMTN, 3.13%, 09/26/2028

    50,000   49,136
Series GMTN, 3.63%, 08/28/2029

    750,000   749,685
Series GMTN, 3.88%, 09/28/2032

    200,000   201,566
Series GMTN, 4.00%, 01/12/2033

    170,000   171,676
Series GMTN, 4.88%, 05/21/2026

    789,000   802,516
Asian Infrastructure Investment Bank:          
0.50%, 01/27/2026

    500,000   477,905
3.75%, 09/14/2027 (b)

    200,000   200,430
4.00%, 01/18/2028 (b)

    500,000   505,475
Council of Europe Development Bank:          
0.88%, 09/22/2026 (b)

    100,000   94,598
3.63%, 01/26/2028

    150,000   149,816
4.63%, 06/11/2027

    80,000   81,972
European Bank for Reconstruction & Development:          
Series GMTN, 0.50%, 11/25/2025

    250,000   240,207
Series GMTN, 0.50%, 01/28/2026

    200,000   191,168
Series GMTN, 4.38%, 03/09/2028

    660,000   675,616
European Investment Bank:          
0.38%, 12/15/2025

    200,000   191,642
0.38%, 03/26/2026

    750,000   712,485
0.75%, 10/26/2026

    250,000   235,413
0.75%, 09/23/2030

    200,000   169,088
1.25%, 02/14/2031

    390,000   336,164
1.63%, 05/13/2031

    100,000   87,912
1.75%, 03/15/2029

    133,000   122,786
2.13%, 04/13/2026

    100,000   97,480
2.38%, 05/24/2027

    100,000   96,841
3.75%, 02/14/2033 (b)

    990,000   983,169
3.88%, 03/15/2028

    300,000   302,439
4.38%, 10/10/2031

    175,000   181,806
4.75%, 06/15/2029

    417,000   436,878
COR, 3.75%, 11/15/2029

    750,000   753,787
Series GMTN, 1.38%, 03/15/2027

    350,000   331,502
Inter-American Development Bank:          
0.63%, 09/16/2027

    500,000   458,120
1.13%, 07/20/2028

    200,000   182,354
1.50%, 01/13/2027

    350,000   333,480
 
See accompanying notes to Schedule of Investments.
63

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
2.00%, 07/23/2026

    $100,000   $96,903
2.38%, 07/07/2027

    100,000   96,646
3.50%, 09/14/2029

    200,000   198,618
4.00%, 01/12/2028

    200,000   202,214
4.38%, 07/17/2034

    250,000   259,122
4.38%, 01/24/2044

    75,000   74,853
Series GMTN, 0.88%, 04/20/2026

    250,000   238,907
Series GMTN, 1.13%, 01/13/2031

    750,000   641,347
Series GMTN, 3.63%, 09/17/2031

    1,000,000   991,090
Inter-American Investment Corp.

4.13%, 2/15/2028

    200,000   202,500
International Bank for Reconstruction & Development:          
0.50%, 10/28/2025

    250,000   240,687
0.75%, 11/24/2027

    390,000   357,158
0.75%, 08/26/2030

    170,000   143,727
0.88%, 07/15/2026

    1,000,000   951,090
0.88%, 05/14/2030

    250,000   214,708
1.13%, 09/13/2028

    500,000   454,355
1.25%, 02/10/2031 (b)

    500,000   430,095
1.38%, 04/20/2028

    250,000   231,473
1.63%, 11/03/2031

    1,000,000   868,150
1.75%, 10/23/2029

    250,000   228,228
2.50%, 11/22/2027

    250,000   241,680
3.13%, 06/15/2027

    700,000   690,963
3.88%, 02/14/2030

    825,000   833,060
3.88%, 08/28/2034

    435,000   433,377
4.00%, 08/27/2026

    1,081,000   1,086,827
4.50%, 04/10/2031

    455,000   474,815
4.75%, 04/10/2026

    1,000,000   1,013,670
Series GMTN, 4.75%, 02/15/2035

    25,000   26,619
International Finance Corp.:          
Series GMTN, 0.75%, 10/08/2026

    500,000   471,405
Series GMTN, 2.13%, 04/07/2026

    100,000   97,464
Series GMTN, 4.25%, 07/02/2029

    280,000   287,221
Nordic Investment Bank:          
4.38%, 03/14/2028

    200,000   204,580
Series GMTN, 0.50%, 01/21/2026

    200,000   191,244
          28,878,795
SWEDEN — 0.0% (a)          
Svensk Exportkredit AB:          
4.13%, 06/14/2028

    200,000   202,754
Series GMTN, 2.25%, 03/22/2027

    250,000   240,855
Series GMTN, 3.75%, 09/13/2027

    200,000   200,402
Security Description     Principal
Amount
  Value
Series GMTN, 4.63%, 11/28/2025

    $500,000   $502,662
          1,146,673
UNITED STATES — 0.0% (a)          
Inter-American Development Bank

2.25%, 6/18/2029

    250,000   234,930
URUGUAY — 0.1%          
Oriental Republic of Uruguay

5.25%, 9/10/2060

    585,000   585,134
Uruguay Government International Bonds:          
4.38%, 10/27/2027

    225,000   226,573
4.38%, 01/23/2031

    280,000   281,175
4.98%, 04/20/2055

    400,000   388,409
5.10%, 06/18/2050

    175,000   174,594
5.75%, 10/28/2034

    350,000   380,233
          2,036,118
TOTAL FOREIGN GOVERNMENT OBLIGATIONS

(Cost $93,130,374)

        88,869,595
U.S. GOVERNMENT AGENCY OBLIGATIONS — 26.6%          
Federal Farm Credit Banks Funding Corp.:          
0.68%, 1/13/2027

    250,000   232,469
0.70%, 1/27/2027

    100,000   92,758
0.79%, 6/21/2027 (b)

    125,000   114,885
0.90%, 8/19/2027

    100,000   91,810
1.00%, 8/3/2027

    100,000   92,190
1.04%, 1/25/2029

    150,000   133,173
1.10%, 8/10/2029

    150,000   131,190
1.14%, 8/20/2029

    150,000   131,214
1.15%, 8/12/2030

    100,000   85,215
1.32%, 9/9/2030

    100,000   85,566
1.38%, 1/14/2031

    250,000   212,207
1.65%, 7/23/2035

    100,000   75,362
1.69%, 8/20/2035

    100,000   75,651
1.95%, 8/13/2040

    100,000   68,057
1.99%, 3/17/2031

    500,000   439,807
4.38%, 6/23/2026

    2,000,000   2,021,070
Federal Home Loan Banks:          
0.55%, 1/20/2026

    150,000   143,193
0.65%, 1/28/2026

    150,000   143,280
0.65%, 2/26/2026

    100,000   95,310
0.70%, 1/28/2026

    150,000   143,379
0.75%, 2/24/2026

    100,000   95,472
0.83%, 2/10/2027

    100,000   92,941
0.90%, 2/26/2027

    150,000   139,801
1.00%, 8/16/2028

    250,000   223,834
1.25%, 12/21/2026 (b)

    1,000,000   948,001
3.25%, 6/9/2028

    500,000   493,297
3.25%, 11/16/2028

    280,000   276,339
 
See accompanying notes to Schedule of Investments.
64

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
3.63%, 9/4/2026

    $2,500,000   $2,497,016
4.00%, 6/30/2028 (b)

    500,000   507,173
4.13%, 1/15/2027

    500,000   504,995
4.63%, 11/17/2026

    1,000,000   1,019,387
4.75%, 4/9/2027

    2,160,000   2,219,443
5.50%, 7/15/2036

    135,000   152,797
Federal Home Loan Mortgage Corp.:          
0.38%, 7/21/2025 (b)

    1,000,000   970,831
0.60%, 10/15/2025

    110,000   105,851
0.60%, 10/20/2025

    150,000   144,313
0.63%, 11/25/2025

    175,000   167,902
0.64%, 11/24/2025

    175,000   167,946
0.75%, 6/23/2026

    150,000   141,810
1.50%, 4/1/2037

    4,330,999   3,864,869
1.50%, 12/1/2040

    2,103,859   1,779,826
1.50%, 2/1/2051

    1,969,470   1,556,394
1.50%, 10/1/2051

    1,714,470   1,352,777
1.50%, 11/1/2051

    4,991,564   3,938,132
2.00%, 2/1/2036

    1,919,635   1,759,196
2.00%, 6/1/2036

    1,612,946   1,481,911
2.00%, 1/1/2037

    2,266,217   2,076,524
2.00%, 4/1/2037

    1,341,671   1,227,262
2.00%, 9/1/2050

    5,539,310   4,633,658
2.00%, 10/1/2050

    1,147,973   955,599
2.00%, 12/1/2050

    872,593   725,893
2.00%, 1/1/2051

    6,006,311   4,994,905
2.00%, 2/1/2051

    2,741,428   2,279,054
2.00%, 6/1/2051

    982,885   821,926
2.00%, 9/1/2051

    6,588,844   5,459,522
2.00%, 11/1/2051

    6,610,701   5,473,533
2.00%, 12/1/2051

    1,774,976   1,488,816
2.00%, 2/1/2052

    7,755,248   6,432,474
2.00%, 3/1/2052

    4,745,667   3,924,224
2.22%, 7/13/2040

    150,000   106,530
2.50%, 10/1/2029

    8,906   8,648
2.50%, 1/1/2031

    21,676   20,922
2.50%, 5/1/2031

    34,409   33,111
2.50%, 6/1/2031

    64,205   61,761
2.50%, 10/1/2031

    62,244   59,807
2.50%, 12/1/2031

    84,021   80,787
2.50%, 12/1/2032

    294,781   281,977
2.50%, 2/1/2033

    306,937   293,479
2.50%, 9/1/2035

    412,449   388,754
2.50%, 1/1/2037

    1,475,315   1,384,095
2.50%, 1/1/2042

    934,766   841,731
2.50%, 7/1/2042

    2,786,923   2,504,539
2.50%, 9/1/2046

    567,317   503,214
2.50%, 7/1/2050

    2,489,487   2,167,906
2.50%, 10/1/2050

    1,620,387   1,409,567
2.50%, 1/1/2051

    661,550   575,650
2.50%, 2/1/2051

    2,109,016   1,832,010
2.50%, 6/1/2051

    5,069,447   4,373,140
2.50%, 9/1/2051

    4,473,951   3,884,361
2.50%, 10/1/2051

    3,729,652   3,231,156
Security Description     Principal
Amount
  Value
2.50%, 11/1/2051

    $4,583,863   $3,969,776
2.50%, 12/1/2051

    3,910,758   3,385,634
2.50%, 3/1/2052

    3,359,743   2,903,607
2.50%, 4/1/2052

    13,509,716   11,776,194
3.00%, 10/1/2030

    142,199   139,086
3.00%, 12/1/2030

    26,449   25,827
3.00%, 5/1/2031

    19,562   19,063
3.00%, 12/1/2031

    115,333   112,218
3.00%, 2/1/2032

    151,791   147,642
3.00%, 5/1/2032

    152,307   148,124
3.00%, 7/1/2032

    43,171   41,967
3.00%, 1/1/2033

    185,524   180,079
3.00%, 3/1/2035

    794,726   769,151
3.00%, 5/1/2035

    373,157   360,913
3.00%, 4/1/2036

    111,777   107,054
3.00%, 6/1/2036

    71,678   68,580
3.00%, 2/1/2038

    207,934   196,498
3.00%, 5/1/2042

    434,970   402,651
3.00%, 1/1/2043

    1,091,867   1,008,992
3.00%, 7/1/2043

    1,138,615   1,052,764
3.00%, 6/1/2045

    26,140   23,996
3.00%, 8/1/2045

    170,110   156,861
3.00%, 4/1/2046

    98,584   90,339
3.00%, 6/1/2046

    1,274,388   1,176,715
3.00%, 7/1/2046

    1,658,327   1,520,500
3.00%, 8/1/2046

    188,718   172,935
3.00%, 9/1/2046

    61,336   56,206
3.00%, 10/1/2046

    105,035   96,250
3.00%, 11/1/2046

    383,699   351,608
3.00%, 12/1/2046

    344,676   315,849
3.00%, 1/1/2047

    251,182   230,174
3.00%, 2/1/2047

    690,660   627,868
3.00%, 4/1/2047

    1,638,439   1,502,266
3.00%, 9/1/2049

    165,000   149,893
3.00%, 12/1/2049

    160,602   145,898
3.00%, 2/1/2050

    597,170   542,494
3.00%, 5/1/2050

    1,449,295   1,317,046
3.00%, 8/1/2050

    3,035,013   2,776,167
3.00%, 6/1/2051

    1,343,123   1,214,534
3.00%, 12/1/2051

    2,199,060   1,976,946
3.00%, 3/1/2052

    4,231,084   3,806,209
3.00%, 4/1/2052

    896,593   806,559
3.00%, 8/1/2052

    1,416,597   1,272,700
3.50%, 4/1/2032

    79,536   78,413
3.50%, 6/1/2033

    147,460   145,470
3.50%, 9/1/2033

    99,542   98,170
3.50%, 11/1/2034

    72,622   71,087
3.50%, 3/1/2037

    89,507   87,188
3.50%, 10/1/2037

    1,246,048   1,220,784
3.50%, 7/1/2038

    1,098,179   1,075,913
3.50%, 4/1/2042

    104,975   100,999
3.50%, 12/1/2042

    72,264   68,964
3.50%, 8/1/2043

    184,175   175,685
3.50%, 5/1/2044

    800,461   765,504
3.50%, 11/1/2044

    11,158   10,617
 
See accompanying notes to Schedule of Investments.
65

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
3.50%, 1/1/2045

    $15,229   $14,491
3.50%, 7/1/2045

    93,523   88,914
3.50%, 10/1/2045

    14,449   13,731
3.50%, 12/1/2045

    177,999   169,189
3.50%, 1/1/2046

    21,452   20,385
3.50%, 3/1/2046

    43,465   41,185
3.50%, 4/1/2046

    61,996   58,744
3.50%, 6/1/2046

    73,837   69,963
3.50%, 8/1/2046

    839,615   797,865
3.50%, 12/1/2046

    247,792   234,793
3.50%, 2/1/2047

    162,089   153,585
3.50%, 3/1/2047

    154,278   146,184
3.50%, 4/1/2047

    87,430   82,654
3.50%, 6/1/2047

    82,994   78,460
3.50%, 10/1/2047

    151,956   143,655
3.50%, 11/1/2047

    54,384   51,413
3.50%, 12/1/2047

    119,250   112,736
3.50%, 4/1/2049

    122,959   115,798
3.50%, 7/1/2049

    326,055   306,745
3.50%, 9/1/2049

    1,617,763   1,532,418
3.50%, 10/1/2049

    35,288   33,198
3.50%, 3/1/2050

    833,287   783,937
3.50%, 9/1/2052

    3,169,734   2,953,096
3.50%, 11/1/2052

    1,285,784   1,197,707
4.00%, 11/1/2033

    107,706   107,794
4.00%, 4/1/2042

    9,930   9,791
4.00%, 6/1/2042

    29,029   28,610
4.00%, 7/1/2042

    494,773   487,862
4.00%, 12/1/2044

    11,363   11,138
4.00%, 4/1/2045

    8,074   7,910
4.00%, 10/1/2045

    19,528   19,131
4.00%, 12/1/2045

    37,008   36,255
4.00%, 1/1/2046

    134,569   131,833
4.00%, 2/1/2046

    53,559   52,470
4.00%, 1/1/2047

    167,670   163,785
4.00%, 2/1/2047

    66,410   64,871
4.00%, 6/1/2047

    118,004   115,011
4.00%, 9/1/2047

    144,431   140,767
4.00%, 11/1/2047

    107,425   104,700
4.00%, 1/1/2048

    282,470   275,304
4.00%, 10/1/2048

    536,307   522,031
4.00%, 4/1/2049

    42,627   41,467
4.00%, 2/1/2051

    2,098,946   2,039,532
4.00%, 8/1/2052

    2,352,835   2,260,857
4.00%, 10/1/2052

    335,183   322,572
4.00%, 11/1/2052

    732,000   703,044
4.00%, 1/1/2053

    4,948,919   4,752,390
4.50%, 5/1/2042

    262,238   264,478
4.50%, 5/1/2044

    100,134   100,533
4.50%, 12/1/2045

    160,410   161,049
4.50%, 9/1/2046

    116,903   117,243
4.50%, 4/1/2047

    58,962   59,032
4.50%, 10/1/2047

    91,376   91,485
4.50%, 11/1/2047

    74,588   74,677
4.50%, 12/1/2047

    40,507   40,556
Security Description     Principal
Amount
  Value
4.50%, 7/1/2048

    $212,329   $211,929
4.50%, 9/1/2048

    338,266   337,262
4.50%, 11/1/2048

    115,915   115,696
4.50%, 6/1/2049

    158,924   158,257
4.50%, 11/1/2049

    326,728   325,356
4.50%, 6/1/2052

    936,713   922,484
4.50%, 10/1/2052

    969,020   953,842
4.50%, 11/1/2052

    964,060   948,810
4.50%, 12/1/2052

    2,077,826   2,062,804
4.50%, 5/1/2053

    206,770   203,270
5.00%, 7/1/2041

    53,105   54,719
5.00%, 11/1/2048

    116,561   118,174
5.00%, 9/1/2052

    2,787,090   2,790,756
5.00%, 10/1/2052

    673,329   678,090
5.00%, 12/1/2052

    1,199,183   1,210,302
5.00%, 2/1/2053

    5,236,054   5,234,841
5.00%, 7/1/2053

    6,002,789   5,998,801
5.00%, 12/1/2053

    601,761   601,361
5.50%, 8/1/2038

    152,006   159,302
5.50%, 12/1/2052

    389,147   399,609
5.50%, 2/1/2053

    1,941,053   1,966,465
5.50%, 7/1/2053

    5,953,713   6,027,386
5.50%, 3/1/2054

    6,578,334   6,655,740
6.00%, 7/1/2040

    59,809   63,912
6.00%, 9/1/2053

    1,257,292   1,304,036
6.00%, 11/1/2053

    4,708,064   4,811,797
6.00%, 12/1/2053

    1,260,480   1,288,252
6.00%, 6/1/2054

    3,291,261   3,363,674
6.00%, 8/1/2054

    4,321,347   4,416,424
6.25%, 7/15/2032 (b)

    460,000   536,392
6.50%, 6/1/2053

    1,215,389   1,252,819
6.50%, 10/1/2053

    1,940,625   2,000,389
6.50%, 12/1/2053

    2,852,609   2,985,945
6.75%, 3/15/2031

    1,000,000   1,169,386
7.00%, 1/1/2054

    3,316,233   3,442,632
COR, 3.50%, 8/1/2049

    973,968   921,290
Series 1, 0.60%, 11/12/2025

    150,000   144,054
Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates:          
Series K054, Class A2, 2.75%, 1/25/2026

    500,000   490,696
Series K062, Class A2, 3.41%, 12/25/2026

    400,000   394,932
Series K080, Class A2, 3.93%, 7/25/2028 (d)

    1,000,000   998,520
Series K085, Class A2, 4.06%, 10/25/2028 (d)

    250,000   250,490
Series K086, Class A2, 3.86%, 11/25/2028 (d)

    160,001   159,370
Series K087, Class A2, 3.77%, 12/25/2028

    1,607,000   1,595,364
Series K090, Class A2, 3.42%, 2/25/2029

    163,934   160,465
Series K092, Class A2, 3.30%, 4/25/2029

    350,000   340,471
 
See accompanying notes to Schedule of Investments.
66

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Series K093, Class A2, 2.98%, 5/25/2029

    $100,000   $96,019
Series K094, Class A2, 2.90%, 6/25/2029

    352,767   337,045
Series K098, Class A2, 2.43%, 8/25/2029

    100,000   93,321
Series K099, Class A2, 2.60%, 9/25/2029

    100,000   93,921
Series K101, Class A2, 2.52%, 10/25/2029

    200,000   186,944
Series K109, Class A2, 1.56%, 4/25/2030

    100,000   88,133
Series K114, Class A2, 1.37%, 6/25/2030

    85,000   73,640
Series K115, Class A2, 1.38%, 6/25/2030

    400,000   346,924
Series K118, Class A2, 1.49%, 9/25/2030

    750,000   650,927
Series K121, Class A2, 1.55%, 10/25/2030

    320,000   277,666
Series K123, Class A2, 1.62%, 12/25/2030

    233,333   202,965
Series K124, Class A2, 1.66%, 12/25/2030

    500,000   435,232
Series K126, Class A2, 2.07%, 1/25/2031

    500,000   446,152
Series K127, Class A2, 2.11%, 1/25/2031

    450,000   401,931
Series K131, Class A2, 1.85%, 7/25/2031

    500,000   436,083
Series K-1515, Class A2, 1.94%, 2/25/2035

    293,000   235,959
Series K-1519, Class A2, 2.01%, 12/25/2035

    250,000   198,993
Series K-1520, Class A2, 2.44%, 2/25/2036

    520,000   430,874
Series K1522, Class A2, 2.36%, 10/25/2036

    250,000   202,863
Series K157, Class A2, 3.99%, 5/25/2033 (d)

    500,000   497,432
Series K515, Class A2, 5.40%, 1/25/2029

    1,500,000   1,574,814
Series K528, Class A2, 4.51%, 7/25/2029

    750,000   764,922
Series K734, Class A2, 3.21%, 2/25/2026

    745,433   735,654
Series K735, Class A2, 2.86%, 5/25/2026

    193,628   189,837
Series K736, Class A2, 2.28%, 7/25/2026

    300,000   291,369
Series K743, Class A2, 1.77%, 5/25/2028

    300,000   278,062
Series K748, Class A2, 2.26%, 1/25/2029 (d)

    500,000   466,720
Series K137, Class A2, VRN, 2.35%, 11/25/2031 (d)

    440,000   392,641
Security Description     Principal
Amount
  Value
Series K747, Class A2, VRN, 2.05%, 11/25/2028 (d)

    $166,667   $154,667
Federal National Mortgage Association:          
0.50%, 11/7/2025

    1,785,000   1,720,114
0.56%, 11/17/2025

    350,000   335,835
0.65%, 12/10/2025

    100,000   95,875
0.65%, 12/17/2025

    125,000   119,876
0.75%, 10/8/2027

    1,700,000   1,562,532
0.88%, 12/18/2026

    125,000   116,787
0.88%, 8/5/2030

    1,900,000   1,618,931
1.50%, 7/1/2036

    3,123,649   2,793,625
1.50%, 10/1/2036

    3,113,660   2,782,529
1.50%, 3/1/2037

    4,208,139   3,755,232
1.50%, 4/1/2037

    1,237,031   1,103,893
1.50%, 1/1/2042

    740,364   625,195
1.50%, 12/1/2050

    2,406,410   1,902,064
1.50%, 3/1/2051

    2,515,143   1,985,901
1.50%, 11/1/2051

    7,186,059   5,669,495
2.00%, 11/1/2031

    42,497   40,229
2.00%, 8/1/2035

    629,488   580,542
2.00%, 11/1/2035

    1,582,186   1,457,700
2.00%, 12/1/2035

    867,789   798,977
2.00%, 2/1/2036

    1,866,371   1,717,801
2.00%, 6/1/2036

    2,932,228   2,690,089
2.00%, 10/1/2036

    874,954   802,121
2.00%, 12/1/2036

    5,983,762   5,483,815
2.00%, 5/1/2037

    4,078,900   3,731,078
2.00%, 6/1/2041

    6,730,461   5,857,082
2.00%, 11/1/2041

    1,980,569   1,723,561
2.00%, 1/1/2042

    4,040,001   3,515,750
2.00%, 7/1/2050

    689,621   574,618
2.00%, 8/1/2050

    1,215,235   1,012,249
2.00%, 9/1/2050

    1,883,183   1,585,462
2.00%, 10/1/2050

    15,912,367   13,245,821
2.00%, 11/1/2050

    3,465,238   2,883,604
2.00%, 1/1/2051

    4,445,824   3,692,547
2.00%, 2/1/2051

    2,588,402   2,151,837
2.00%, 3/1/2051

    13,093,320   10,855,118
2.00%, 4/1/2051

    4,254,330   3,531,737
2.00%, 5/1/2051

    8,157,486   6,777,801
2.00%, 7/1/2051

    10,995,622   9,129,983
2.00%, 9/1/2051

    5,619,549   4,664,606
2.00%, 11/1/2051

    15,919,318   13,180,889
2.00%, 1/1/2052

    4,286,559   3,546,530
2.00%, 2/1/2052

    7,509,582   6,237,233
2.00%, 3/1/2052

    2,755,097   2,278,208
2.00%, 4/1/2052

    3,776,542   3,122,848
2.13%, 4/24/2026

    200,000   195,152
2.50%, 3/1/2029

    43,931   42,951
2.50%, 7/1/2030

    235,085   229,588
2.50%, 2/1/2031

    33,532   32,337
2.50%, 10/1/2031

    62,381   59,834
2.50%, 12/1/2031

    112,010   107,460
 
See accompanying notes to Schedule of Investments.
67

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
2.50%, 1/1/2032

    $41,630   $39,927
2.50%, 4/1/2032

    398,666   382,340
2.50%, 6/1/2032

    1,005,606   967,410
2.50%, 10/1/2032

    134,544   128,643
2.50%, 12/1/2032

    266,649   254,705
2.50%, 1/1/2033

    152,384   145,587
2.50%, 2/1/2035

    1,658,687   1,591,979
2.50%, 8/1/2035

    1,045,382   985,780
2.50%, 9/1/2035

    2,495,514   2,352,152
2.50%, 2/1/2036

    702,380   662,163
2.50%, 3/1/2037

    865,496   812,947
2.50%, 6/1/2040

    235,734   212,772
2.50%, 8/1/2040

    136,949   123,609
2.50%, 11/1/2049

    1,337,001   1,166,610
2.50%, 12/1/2049

    598,067   521,848
2.50%, 7/1/2050

    1,075,660   936,711
2.50%, 8/1/2050

    2,618,401   2,279,356
2.50%, 10/1/2050

    1,668,789   1,451,671
2.50%, 11/1/2050

    2,041,071   1,774,886
2.50%, 12/1/2050

    1,158,931   1,007,431
2.50%, 4/1/2051

    6,874,965   5,974,562
2.50%, 7/1/2051

    6,513,798   5,649,234
2.50%, 8/1/2051

    11,222,901   9,749,982
2.50%, 9/1/2051

    3,921,275   3,405,423
2.50%, 10/1/2051

    9,679,487   8,395,792
2.50%, 12/1/2051

    3,486,588   3,054,008
2.50%, 1/1/2052

    6,497,538   5,622,158
2.50%, 2/1/2052

    1,097,363   949,333
2.50%, 3/1/2052

    5,530,850   4,774,931
2.50%, 4/1/2052

    5,216,138   4,503,231
3.00%, 10/1/2028

    15,841   15,554
3.00%, 8/1/2029

    9,281   9,096
3.00%, 5/1/2030

    35,735   35,204
3.00%, 6/1/2030

    9,342   9,133
3.00%, 8/1/2030

    189,673   185,499
3.00%, 9/1/2030

    10,513   10,263
3.00%, 11/1/2030

    23,039   22,490
3.00%, 12/1/2030

    140,400   137,082
3.00%, 4/1/2031

    71,102   69,247
3.00%, 12/1/2031

    121,471   118,115
3.00%, 2/1/2032

    370,623   360,373
3.00%, 5/1/2032

    135,671   131,824
3.00%, 8/1/2032

    43,659   42,384
3.00%, 10/1/2032

    76,401   74,154
3.00%, 2/1/2034

    349,280   339,183
3.00%, 7/1/2034

    96,928   93,809
3.00%, 6/1/2035

    1,231,552   1,191,919
3.00%, 6/1/2036

    20,856   19,939
3.00%, 8/1/2036

    104,655   100,016
3.00%, 9/1/2036

    187,651   179,204
3.00%, 10/1/2036

    57,828   55,215
3.00%, 12/1/2036

    110,947   105,718
3.00%, 4/1/2037

    534,273   510,905
3.00%, 6/1/2037

    1,235,911   1,184,980
3.00%, 11/1/2037

    229,172   211,550
Security Description     Principal
Amount
  Value
3.00%, 2/1/2038

    $1,656,590   $1,588,324
3.00%, 5/1/2042

    1,777,502   1,645,430
3.00%, 6/1/2042

    439,874   406,051
3.00%, 6/1/2043

    131,972   122,616
3.00%, 7/1/2043

    28,491   26,313
3.00%, 2/1/2044

    237,197   219,065
3.00%, 1/1/2045

    423,474   391,103
3.00%, 5/1/2045

    392,892   362,859
3.00%, 9/1/2045

    22,463   20,596
3.00%, 11/1/2045

    149,586   137,154
3.00%, 12/1/2045

    29,565   27,108
3.00%, 5/1/2046

    205,854   188,426
3.00%, 7/1/2046

    229,231   209,824
3.00%, 10/1/2046

    151,616   138,780
3.00%, 11/1/2046

    317,372   290,503
3.00%, 12/1/2046

    286,268   262,032
3.00%, 1/1/2047

    803,068   735,077
3.00%, 2/1/2047

    256,946   235,192
3.00%, 5/1/2047

    293,480   268,484
3.00%, 11/1/2047

    157,530   144,112
3.00%, 9/1/2049

    1,413,971   1,284,561
3.00%, 11/1/2049

    476,166   432,569
3.00%, 12/1/2049

    3,854,877   3,509,020
3.00%, 1/1/2050

    1,381,522   1,255,032
3.00%, 2/1/2050

    3,366,501   3,081,485
3.00%, 3/1/2050

    884,524   803,195
3.00%, 5/1/2050

    998,841   903,741
3.00%, 7/1/2050

    874,023   792,578
3.00%, 8/1/2050

    360,421   326,723
3.00%, 9/1/2050

    2,323,284   2,108,405
3.00%, 10/1/2050

    167,060   151,337
3.00%, 1/1/2051

    3,270,055   2,983,074
3.00%, 4/1/2051

    698,107   637,647
3.00%, 1/1/2052

    2,407,111   2,171,442
3.00%, 2/1/2052

    3,922,726   3,536,609
3.00%, 5/1/2052

    5,976,545   5,364,371
3.00%, 6/1/2052

    5,737,893   5,195,564
3.50%, 11/1/2025

    2,267   2,248
3.50%, 1/1/2027

    2,678   2,653
3.50%, 5/1/2029

    9,831   9,721
3.50%, 10/1/2029

    9,685   9,579
3.50%, 2/1/2031

    32,023   31,717
3.50%, 3/1/2032

    61,120   60,206
3.50%, 4/1/2032

    93,769   92,366
3.50%, 2/1/2033

    192,069   189,049
3.50%, 4/1/2033

    57,798   56,963
3.50%, 11/1/2034

    405,412   398,456
3.50%, 12/1/2035

    13,142   12,821
3.50%, 1/1/2037

    103,315   100,615
3.50%, 2/1/2037

    142,112   138,382
3.50%, 7/1/2037

    59,097   57,482
3.50%, 4/1/2038

    131,931   127,431
3.50%, 2/1/2041

    46,400   44,578
3.50%, 10/1/2044

    10,133   9,631
3.50%, 1/1/2045

    27,819   26,441
 
See accompanying notes to Schedule of Investments.
68

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
3.50%, 2/1/2045

    $1,261,731   $1,202,837
3.50%, 5/1/2045

    11,197   10,629
3.50%, 8/1/2045

    37,013   35,145
3.50%, 11/1/2045

    13,093   12,428
3.50%, 12/1/2045

    202,643   192,348
3.50%, 1/1/2046

    135,116   128,252
3.50%, 2/1/2046

    172,751   163,975
3.50%, 4/1/2046

    94,495   89,437
3.50%, 5/1/2046

    142,439   134,815
3.50%, 6/1/2046

    35,797   33,881
3.50%, 7/1/2046

    104,808   99,197
3.50%, 8/1/2046

    1,115,179   1,062,600
3.50%, 1/1/2047

    167,628   158,655
3.50%, 2/1/2047

    766,720   723,774
3.50%, 3/1/2047

    160,943   152,328
3.50%, 4/1/2047

    320,696   302,829
3.50%, 5/1/2047

    1,225,146   1,160,164
3.50%, 6/1/2047

    125,659   118,658
3.50%, 7/1/2047

    1,661,787   1,584,220
3.50%, 9/1/2047

    117,200   110,670
3.50%, 10/1/2047

    1,051,536   992,951
3.50%, 11/1/2047

    30,912   29,190
3.50%, 12/1/2047

    2,789,587   2,650,072
3.50%, 1/1/2048

    65,187   61,555
3.50%, 2/1/2048

    105,658   99,943
3.50%, 6/1/2048

    176,212   166,265
3.50%, 10/1/2048

    555,039   524,116
3.50%, 11/1/2048

    1,069,648   1,011,291
3.50%, 3/1/2049

    1,236,048   1,167,183
3.50%, 5/1/2049

    1,098,450   1,033,396
3.50%, 6/1/2049

    2,922,612   2,759,782
3.50%, 7/1/2049

    163,442   153,763
3.50%, 8/1/2049

    457,196   430,119
3.50%, 2/1/2050

    3,218,020   3,048,422
3.50%, 6/1/2050

    265,415   249,713
3.50%, 7/1/2051

    696,948   655,672
3.50%, 12/1/2051

    301,513   282,361
3.50%, 5/1/2052

    2,996,193   2,806,676
3.50%, 6/1/2052

    4,456,971   4,153,046
3.50%, 7/1/2052

    2,152,706   2,014,785
3.50%, 2/1/2053

    2,208,641   2,075,563
4.00%, 3/1/2031

    103,799   103,143
4.00%, 10/1/2033

    41,246   41,101
4.00%, 10/1/2037

    364,688   361,697
4.00%, 1/1/2038

    1,172,591   1,165,708
4.00%, 1/1/2039

    41,116   40,507
4.00%, 2/1/2039

    34,934   34,416
4.00%, 12/1/2040

    19,413   19,109
4.00%, 2/1/2043

    105,571   103,923
4.00%, 10/1/2043

    231,429   227,912
4.00%, 11/1/2043

    74,537   73,134
4.00%, 12/1/2043

    80,219   78,710
4.00%, 10/1/2044

    12,839   12,571
4.00%, 1/1/2045

    232,070   228,467
4.00%, 3/1/2045

    12,990   12,712
Security Description     Principal
Amount
  Value
4.00%, 5/1/2045

    $649,832   $636,280
4.00%, 7/1/2045

    12,265   12,002
4.00%, 9/1/2045

    47,913   46,887
4.00%, 12/1/2045

    20,585   20,144
4.00%, 2/1/2046

    1,194,438   1,174,597
4.00%, 4/1/2046

    41,886   40,870
4.00%, 7/1/2046

    69,552   67,865
4.00%, 10/1/2046

    1,215,008   1,196,747
4.00%, 11/1/2046

    635,757   622,720
4.00%, 12/1/2046

    154,488   150,741
4.00%, 4/1/2047

    245,150   238,672
4.00%, 7/1/2047

    1,292,737   1,258,573
4.00%, 8/1/2047

    112,551   109,576
4.00%, 9/1/2047

    114,845   111,810
4.00%, 12/1/2047

    159,346   155,134
4.00%, 2/1/2048

    348,762   339,545
4.00%, 6/1/2048

    270,305   262,824
4.00%, 7/1/2048

    107,007   104,045
4.00%, 9/1/2048

    613,044   596,078
4.00%, 11/1/2048

    1,119,162   1,088,198
4.00%, 1/1/2049

    684,827   667,984
4.00%, 6/1/2049

    520,504   506,748
4.00%, 7/1/2049

    383,521   372,665
4.00%, 8/1/2049

    664,149   645,769
4.00%, 9/1/2049

    140,100   136,134
4.00%, 2/1/2050

    431,990   419,762
4.00%, 7/1/2050

    1,199,619   1,166,419
4.00%, 3/1/2051

    1,939,335   1,884,439
4.00%, 7/1/2052

    1,031,367   999,031
4.00%, 8/1/2052

    2,265,318   2,192,209
4.00%, 10/1/2052

    4,727,641   4,548,243
4.00%, 5/1/2053

    2,059,922   1,977,931
4.50%, 5/1/2038

    885,292   888,636
4.50%, 9/1/2039

    135,984   136,998
4.50%, 12/1/2040

    18,046   18,177
4.50%, 1/1/2042

    24,643   24,798
4.50%, 9/1/2043

    42,792   43,082
4.50%, 11/1/2043

    9,729   9,779
4.50%, 5/1/2044

    67,593   67,790
4.50%, 6/1/2044

    15,597   15,643
4.50%, 2/1/2046

    80,037   80,618
4.50%, 3/1/2046

    261,078   262,446
4.50%, 5/1/2046

    202,396   203,907
4.50%, 7/1/2046

    65,653   65,738
4.50%, 11/1/2047

    224,511   224,534
4.50%, 4/1/2048

    93,285   93,008
4.50%, 7/1/2048

    441,887   440,576
4.50%, 8/1/2048

    281,831   280,996
4.50%, 12/1/2048

    109,024   108,700
4.50%, 1/1/2049

    36,799   36,690
4.50%, 4/1/2049

    53,793   53,567
4.50%, 3/1/2050

    375,324   373,748
4.50%, 7/1/2052

    1,168,722   1,151,727
4.50%, 8/1/2052

    11,797,802   11,602,492
4.50%, 2/1/2053

    760,852   748,581
 
See accompanying notes to Schedule of Investments.
69

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
4.50%, 3/1/2053

    $1,822,033   $1,797,049
5.00%, 1/1/2039

    208,147   213,882
5.00%, 6/1/2040

    79,811   82,059
5.00%, 7/1/2041

    14,096   14,492
5.00%, 5/1/2042

    17,997   18,501
5.00%, 11/1/2044

    210,943   216,724
5.00%, 1/1/2045

    11,947   12,190
5.00%, 6/1/2048

    138,267   140,132
5.00%, 9/1/2048

    147,261   149,298
5.00%, 3/1/2050

    185,621   188,535
5.00%, 9/1/2052

    1,464,942   1,466,869
5.00%, 10/1/2052

    535,650   537,946
5.00%, 6/1/2053

    4,157,503   4,154,741
5.00%, 10/1/2053

    1,466,251   1,465,277
5.50%, 2/1/2037

    10,309   10,791
5.50%, 4/1/2038

    49,190   51,514
5.50%, 9/1/2040

    15,523   16,269
5.50%, 9/1/2041

    24,348   25,498
5.50%, 5/1/2044

    281,903   293,712
5.50%, 12/1/2052

    500,224   511,168
5.50%, 2/1/2053

    2,247,670   2,283,048
5.50%, 5/1/2053

    3,118,698   3,157,676
5.50%, 9/1/2053

    4,622,232   4,678,856
5.50%, 10/1/2053

    3,424,749   3,466,492
5.50%, 8/1/2054

    2,001,975   2,025,532
5.63%, 7/15/2037

    80,000   91,958
6.00%, 2/1/2053

    3,372,683   3,447,120
6.00%, 5/1/2053

    1,313,780   1,342,727
6.00%, 7/1/2053

    993,169   1,024,800
6.00%, 8/1/2053

    1,577,400   1,612,154
6.00%, 5/1/2054

    4,451,325   4,549,261
6.50%, 7/1/2053

    1,027,632   1,059,279
6.50%, 10/1/2053

    1,937,328   1,996,990
6.50%, 12/1/2053

    2,616,890   2,697,481
6.50%, 6/1/2054

    2,853,888   2,942,354
6.50%, 8/1/2054

    2,834,243   2,922,117
6.63%, 11/15/2030

    365,000   422,259
7.25%, 5/15/2030 (b)

    75,000   88,447
2.00%, 10/1/2051

    10,586,236   8,768,482
Federal National Mortgage Association-ACES:          
Series 2017-M12, Class A2, 3.16%, 6/25/2027 (d)

    241,109   235,926
Series 2017-M13, Class A2, 3.03%, 9/25/2027 (d)

    222,692   216,940
Series 2018-M2, Class A2, 3.00%, 1/25/2028 (d)

    221,945   215,749
Series 2019-M1, Class A2, 3.66%, 9/25/2028 (d)

    837,653   827,179
Series 2020-M14, Class A2, 1.78%, 5/25/2030

    484,443   432,344
Series 2020-M42, Class A2, 1.27%, 7/25/2030

    200,000   171,960
Series 2020-M8, Class A2, 1.82%, 2/25/2030

    139,184   125,103
Security Description     Principal
Amount
  Value
Series 2021-M11, Class A2, 1.51%, 3/25/2031 (d)

    $725,000   $618,848
Series 2021-M19, Class A2, 1.80%, 10/25/2031 (d)

    300,000   257,720
Series 2024-M4, Class A2, 4.87%, 12/25/2033 (d)

    1,000,000   1,044,629
Series 2020-M29, Class A2, VRN, 1.49%, 5/25/2030 (d)

    272,000   237,720
Series 2020-M52, Class A2, VRN, 1.36%, 10/25/2030 (d)

    350,000   301,095
Series 2020-M53, Class A2, VRN, 1.75%, 11/25/2032 (d)

    550,000   461,625
Series 2021-M1, Class A2, VRN, 1.44%, 11/25/2030 (d)

    61,250   52,580
Series 2021-M4, Class A2, VRN, 1.51%, 2/25/2031 (d)

    280,000   240,310
Government National Mortgage Association:          
2.00%, 9/20/2050

    601,556   510,529
2.00%, 12/20/2050

    903,473   766,342
2.00%, 1/20/2051

    1,641,769   1,392,323
2.00%, 4/20/2051

    3,484,028   2,955,405
2.00%, 5/20/2051

    1,854,830   1,573,258
2.00%, 6/20/2051

    5,293,230   4,489,283
2.00%, 9/20/2051

    6,066,077   5,143,342
2.00%, 12/20/2051

    3,362,888   2,850,566
2.00%, 1/20/2052

    3,696,185   3,132,800
2.00%, 3/20/2052

    4,757,914   4,030,407
2.00%, 4/20/2052

    2,611,936   2,212,559
2.00%, 5/20/2052

    3,348,409   2,836,422
2.50%, 12/20/2046

    2,947,386   2,630,477
2.50%, 8/20/2050

    2,951,867   2,603,454
2.50%, 9/20/2050

    2,085,970   1,839,115
2.50%, 10/20/2050

    1,742,410   1,535,673
2.50%, 12/20/2050

    1,355,535   1,193,863
2.50%, 1/20/2051

    3,306,510   2,911,128
2.50%, 4/20/2051

    3,272,904   2,883,229
2.50%, 7/20/2051

    2,193,899   1,931,674
2.50%, 8/20/2051

    3,026,559   2,664,343
2.50%, 9/20/2051

    3,930,675   3,459,647
2.50%, 10/20/2051

    2,404,886   2,116,328
2.50%, 1/20/2052

    2,848,448   2,505,787
2.50%, 3/20/2052

    864,221   759,841
2.50%, 4/20/2052

    919,873   809,463
2.50%, 5/20/2052

    4,635,391   4,075,531
3.00%, 1/20/2043

    198,799   185,146
3.00%, 5/20/2043

    97,775   90,615
3.00%, 12/20/2044

    14,800   13,697
3.00%, 3/20/2045

    7,495   6,932
3.00%, 4/20/2045

    23,060   21,327
3.00%, 6/20/2045

    353,703   327,126
 
See accompanying notes to Schedule of Investments.
70

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
3.00%, 7/20/2045

    $23,473   $21,709
3.00%, 8/20/2045

    23,409   21,650
3.00%, 2/20/2046

    673,917   624,569
3.00%, 3/20/2046

    208,293   191,540
3.00%, 4/20/2046

    1,161,990   1,068,530
3.00%, 5/20/2046

    34,212   31,460
3.00%, 7/20/2046

    21,930   20,166
3.00%, 8/20/2046

    71,239   65,509
3.00%, 9/20/2046

    50,588   46,519
3.00%, 10/20/2046

    1,386,108   1,274,622
3.00%, 11/20/2046

    93,869   86,319
3.00%, 12/20/2046

    376,726   346,426
3.00%, 2/20/2047

    195,874   180,119
3.00%, 4/20/2047

    280,192   257,533
3.00%, 6/20/2047

    84,118   77,316
3.00%, 7/20/2047

    158,460   145,645
3.00%, 8/20/2047

    78,810   72,437
3.00%, 10/20/2047

    114,746   105,467
3.00%, 1/20/2048

    432,800   398,438
3.00%, 2/20/2048

    256,625   236,138
3.00%, 3/20/2048

    435,163   399,972
3.00%, 11/20/2049

    698,367   639,025
3.00%, 12/20/2049

    424,227   388,179
3.00%, 2/20/2050

    1,441,728   1,318,417
3.00%, 6/20/2050

    1,191,511   1,088,480
3.00%, 7/20/2050

    1,470,282   1,342,783
3.00%, 12/20/2050

    1,768,944   1,614,234
3.00%, 8/20/2051

    3,616,324   3,293,801
3.00%, 9/20/2051

    3,047,103   2,774,876
3.00%, 12/20/2051

    2,476,867   2,254,436
3.00%, 3/20/2052

    2,202,923   2,004,388
3.00%, 5/20/2052

    1,567,318   1,426,066
3.00%, 6/20/2052

    1,183,591   1,076,922
3.50%, 10/20/2042

    153,513   147,272
3.50%, 1/20/2043

    670,939   643,663
3.50%, 5/20/2043

    23,816   22,778
3.50%, 9/20/2043

    15,484   14,809
3.50%, 11/20/2043

    130,045   124,374
3.50%, 6/20/2044

    581,114   554,590
3.50%, 10/20/2044

    13,139   12,540
3.50%, 12/20/2044

    8,612   8,219
3.50%, 3/20/2045

    7,557   7,192
3.50%, 4/20/2045

    25,521   24,287
3.50%, 6/20/2045

    334,891   318,707
3.50%, 10/20/2045

    658,650   626,819
3.50%, 1/20/2046

    2,292,963   2,182,150
3.50%, 3/20/2046

    52,601   50,059
3.50%, 4/20/2046

    28,150   26,824
3.50%, 5/20/2046

    28,328   26,890
3.50%, 6/20/2046

    432,345   411,269
3.50%, 7/20/2046

    68,439   65,082
3.50%, 10/20/2046

    138,873   131,828
3.50%, 11/20/2046

    481,891   457,444
3.50%, 12/20/2046

    313,762   298,128
3.50%, 5/20/2047

    208,053   197,528
Security Description     Principal
Amount
  Value
3.50%, 6/20/2047

    $140,080   $132,929
3.50%, 7/20/2047

    109,077   103,509
3.50%, 8/20/2047

    175,008   165,723
3.50%, 9/20/2047

    70,151   66,429
3.50%, 10/20/2047

    68,346   64,720
3.50%, 11/20/2047

    872,117   825,849
3.50%, 12/20/2047

    323,703   306,530
3.50%, 6/20/2048

    103,121   97,650
3.50%, 8/20/2048

    74,236   70,281
3.50%, 8/20/2049

    257,532   243,125
3.50%, 9/20/2049

    755,792   713,511
3.50%, 12/20/2049

    155,976   147,250
3.50%, 2/20/2050

    259,913   245,373
3.50%, 7/20/2050

    369,661   348,981
3.50%, 10/20/2050

    1,436,421   1,356,065
3.50%, 6/20/2052

    3,166,438   2,971,835
3.50%, 7/20/2052

    654,570   614,240
3.50%, 10/20/2052

    2,284,781   2,143,480
3.50%, 12/20/2052

    2,407,554   2,259,219
3.50%, 6/20/2053

    986,576   930,422
4.00%, 4/15/2040

    17,057   16,944
4.00%, 2/20/2042

    7,218   7,174
4.00%, 7/20/2042

    5,237   5,199
4.00%, 7/15/2044

    15,293   15,072
4.00%, 8/20/2044

    9,345   9,217
4.00%, 10/20/2044

    83,524   82,375
4.00%, 5/15/2045

    8,328   8,150
4.00%, 6/15/2045

    22,333   21,854
4.00%, 8/20/2045

    8,132   8,003
4.00%, 11/20/2045

    102,601   100,974
4.00%, 2/20/2046

    78,662   77,414
4.00%, 5/20/2046

    80,929   79,645
4.00%, 6/20/2046

    55,348   54,131
4.00%, 1/20/2047

    163,714   160,115
4.00%, 3/20/2047

    66,567   65,104
4.00%, 4/20/2047

    124,358   121,513
4.00%, 5/20/2047

    85,733   83,772
4.00%, 7/20/2047

    84,920   82,977
4.00%, 8/20/2047

    37,617   36,771
4.00%, 1/20/2048

    59,378   58,020
4.00%, 5/20/2048

    1,042,514   1,016,916
4.00%, 6/20/2048

    1,541,060   1,503,221
4.00%, 8/20/2048

    316,316   308,967
4.00%, 10/20/2048

    133,850   130,563
4.00%, 11/20/2048

    107,306   104,671
4.00%, 4/20/2049

    91,651   89,306
4.00%, 6/20/2049

    202,321   197,144
4.00%, 7/20/2049

    111,666   108,809
4.00%, 1/20/2050

    169,714   165,372
4.00%, 3/20/2050

    310,321   302,381
4.00%, 9/20/2052

    3,105,698   3,003,458
4.00%, 10/20/2052

    3,430,788   3,317,846
4.00%, 11/20/2052

    899,679   870,062
4.00%, 4/20/2053

    940,655   909,688
4.50%, 1/20/2044

    46,074   46,454
 
See accompanying notes to Schedule of Investments.
71

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
4.50%, 11/20/2044

    $12,749   $12,814
4.50%, 12/20/2044

    10,821   10,876
4.50%, 4/20/2046

    54,714   54,995
4.50%, 6/20/2046

    38,266   38,582
4.50%, 7/20/2046

    47,367   47,610
4.50%, 4/20/2047

    135,941   136,056
4.50%, 8/20/2047

    40,142   40,176
4.50%, 11/20/2047

    360,832   360,703
4.50%, 12/20/2047

    22,004   21,997
4.50%, 11/20/2048

    122,521   122,354
4.50%, 7/20/2049

    129,488   129,312
4.50%, 10/20/2052

    1,413,754   1,396,483
4.50%, 12/20/2052

    2,716,998   2,683,806
4.50%, 1/20/2053

    2,184,607   2,157,919
4.50%, 3/20/2053

    3,170,312   3,131,582
4.50%, 6/20/2053

    952,142   939,796
4.50%, 2/20/2054

    989,744   976,911
5.00%, 6/15/2040

    11,074   11,402
5.00%, 10/15/2041

    44,857   46,194
5.00%, 3/20/2044

    19,753   20,339
5.00%, 12/20/2045

    79,307   81,660
5.00%, 1/20/2048

    88,804   90,757
5.00%, 5/20/2048

    65,147   65,915
5.00%, 9/20/2048

    111,911   113,237
5.00%, 3/20/2050

    133,984   136,931
5.00%, 11/20/2052

    1,409,524   1,413,597
5.00%, 1/20/2053

    938,901   941,614
5.00%, 5/20/2053

    2,342,290   2,347,363
5.00%, 7/20/2053

    4,459,817   4,469,477
5.00%, 5/20/2054

    1,494,076   1,496,825
5.00%, 7/20/2054

    1,593,833   1,596,766
5.50%, 10/20/2043

    16,395   17,126
5.50%, 5/20/2045

    209,476   219,359
5.50%, 5/20/2053

    3,083,983   3,118,069
5.50%, 7/20/2053

    1,110,113   1,121,337
5.50%, 8/20/2053

    2,355,160   2,378,973
5.50%, 5/20/2054

    2,988,369   3,017,454
5.50%, 8/20/2054

    1,997,897   2,017,342
5.50%, 9/20/2054

    1,650,000   1,666,059
6.00%, 12/20/2052

    863,619   878,114
6.00%, 8/20/2053

    871,731   887,250
6.00%, 9/20/2053

    1,111,113   1,130,894
6.00%, 2/20/2054

    5,006,352   5,090,874
6.00%, 6/20/2054

    995,464   1,012,663
6.50%, 1/20/2054

    2,296,128   2,346,441
6.50%, 6/20/2054

    4,361,306   4,464,491
Government National Mortgage Association, TBA:          
TBA, 2.00%, 10/20/2054

    2,150,000   1,821,615
TBA, 2.50%, 10/20/2054

    2,175,000   1,912,704
TBA, 3.00%, 10/20/2054

    2,400,000   2,184,058
TBA, 3.50%, 10/20/2054

    1,750,000   1,642,077
TBA, 4.00%, 10/20/2054

    2,000,000   1,933,170
TBA, 4.50%, 10/20/2054

    1,500,000   1,480,192
TBA, 5.00%, 10/20/2054

    2,575,000   2,579,249
Security Description     Principal
Amount
  Value
TBA, 5.50%, 10/20/2054

    $3,150,000   $3,180,082
TBA, 6.00%, 10/20/2054

    4,575,000   4,651,311
TBA, 6.50%, 10/20/2054

    2,050,000   2,096,699
Tennessee Valley Authority:          
1.50%, 9/15/2031

    75,000   64,130
3.50%, 12/15/2042

    525,000   457,086
3.88%, 3/15/2028

    412,000   415,596
4.25%, 9/15/2065

    350,000   319,403
5.25%, 9/15/2039

    150,000   163,420
COR, 4.38%, 8/1/2034

    180,000   183,511
Series A, 2.88%, 2/1/2027

    150,000   147,208
Uniform Mortgage-Backed Security, TBA:          
TBA, 1.50%, 10/1/2039

    4,500,000   4,017,316
TBA, 2.00%, 10/1/2039

    1,125,000   1,029,417
TBA, 2.00%, 10/1/2054

    6,250,000   5,162,500
TBA, 2.50%, 10/1/2054

    7,200,000   6,211,555
TBA, 3.00%, 10/1/2054

    3,250,000   2,916,105
TBA, 3.50%, 10/1/2054

    2,675,000   2,491,142
TBA, 4.00%, 10/1/2054

    3,000,000   2,881,191
TBA, 4.50%, 10/1/2054

    2,925,000   2,876,009
TBA, 5.00%, 10/1/2039

    1,500,000   1,520,355
TBA, 5.00%, 10/1/2054

    3,700,000   3,697,747
TBA, 5.50%, 10/1/2039

    1,750,000   1,789,445
TBA, 5.50%, 10/1/2054

    5,675,000   5,741,851
TBA, 6.00%, 10/1/2054

    9,150,000   9,351,391
TBA, 6.50%, 10/1/2054

    6,150,000   6,340,219
TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS

(Cost $971,404,927)

        915,060,846
U.S. TREASURY OBLIGATIONS — 43.3%          
U.S. Treasury Bonds:          
1.13%, 5/15/2040

    2,850,000   1,882,781
1.13%, 8/15/2040

    1,000,000   654,844
1.25%, 5/15/2050

    5,750,000   3,077,148
1.38%, 11/15/2040

    3,750,000   2,544,727
1.38%, 8/15/2050

    3,350,000   1,845,641
1.63%, 11/15/2050

    4,000,000   2,351,875
1.75%, 8/15/2041

    5,000,000   3,544,531
1.88%, 2/15/2041

    4,350,000   3,189,773
1.88%, 2/15/2051

    4,500,000   2,820,234
1.88%, 11/15/2051

    5,250,000   3,270,586
2.00%, 11/15/2041

    4,250,000   3,125,742
2.00%, 2/15/2050

    2,050,000   1,336,023
2.00%, 8/15/2051

    4,750,000   3,059,297
2.25%, 5/15/2041

    5,000,000   3,875,781
2.25%, 8/15/2046

    3,425,000   2,451,551
2.25%, 8/15/2049

    2,000,000   1,385,938
2.25%, 2/15/2052

    8,650,000   5,899,570
2.38%, 2/15/2042

    8,250,000   6,425,977
2.38%, 11/15/2049

    2,500,000   1,776,953
2.38%, 5/15/2051

    5,900,000   4,163,188
2.50%, 2/15/2045

    3,340,000   2,553,013
2.50%, 2/15/2046

    3,400,000   2,570,188
 
See accompanying notes to Schedule of Investments.
72

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
2.50%, 5/15/2046

    $1,850,000   $1,394,727
2.75%, 8/15/2042

    900,000   741,375
2.75%, 11/15/2042

    1,500,000   1,230,000
2.75%, 8/15/2047

    1,700,000   1,326,531
2.75%, 11/15/2047

    3,400,000   2,647,750
2.88%, 5/15/2043

    1,850,000   1,536,078
2.88%, 8/15/2045

    4,480,000   3,642,100
2.88%, 11/15/2046

    2,500,000   2,009,766
2.88%, 5/15/2049

    2,450,000   1,933,969
2.88%, 5/15/2052

    5,750,000   4,503,867
3.00%, 5/15/2042

    325,000   279,348
3.00%, 11/15/2044

    3,075,000   2,565,703
3.00%, 5/15/2045

    1,875,000   1,559,180
3.00%, 11/15/2045

    1,900,000   1,576,109
3.00%, 2/15/2047

    2,200,000   1,802,969
3.00%, 5/15/2047

    3,300,000   2,699,813
3.00%, 2/15/2048

    3,200,000   2,602,500
3.00%, 8/15/2048

    2,950,000   2,392,266
3.00%, 2/15/2049

    2,650,000   2,145,258
3.00%, 8/15/2052

    5,600,000   4,501,000
3.13%, 11/15/2041

    350,000   309,148
3.13%, 2/15/2042

    725,000   638,340
3.13%, 2/15/2043

    1,075,000   930,379
3.13%, 8/15/2044

    2,500,000   2,131,641
3.13%, 5/15/2048

    2,375,000   1,972,734
3.25%, 5/15/2042

    3,500,000   3,112,266
3.38%, 8/15/2042 (b)

    8,000,000   7,221,250
3.38%, 5/15/2044

    1,900,000   1,688,625
3.38%, 11/15/2048

    3,100,000   2,686,344
3.50%, 2/15/2039

    1,000,000   954,219
3.63%, 8/15/2043

    1,600,000   1,481,000
3.63%, 2/15/2044

    2,725,000   2,514,238
3.63%, 2/15/2053

    7,500,000   6,820,312
3.63%, 5/15/2053

    9,250,000   8,420,391
3.75%, 8/15/2041

    2,000,000   1,927,500
3.75%, 11/15/2043

    1,425,000   1,340,836
3.88%, 8/15/2040

    750,000   738,750
3.88%, 2/15/2043

    12,500,000   12,062,500
3.88%, 5/15/2043

    13,500,000   13,000,078
4.00%, 11/15/2042

    19,500,000   19,192,266
4.00%, 11/15/2052

    9,250,000   9,002,852
4.13%, 8/15/2044 (b)

    6,000,000   5,954,062
4.13%, 8/15/2053

    13,250,000   13,198,242
4.25%, 5/15/2039

    1,500,000   1,550,156
4.25%, 11/15/2040

    1,500,000   1,543,594
4.25%, 2/15/2054

    11,000,000   11,213,125
4.25%, 8/15/2054

    11,000,000   11,235,469
4.38%, 2/15/2038

    650,000   684,531
4.38%, 11/15/2039

    1,250,000   1,307,422
4.38%, 5/15/2040

    575,000   600,875
4.38%, 5/15/2041

    300,000   312,891
4.38%, 8/15/2043

    4,750,000   4,885,078
4.50%, 2/15/2036 (b)

    1,500,000   1,606,172
4.50%, 5/15/2038

    200,000   212,969
4.50%, 8/15/2039

    650,000   689,406
Security Description     Principal
Amount
  Value
4.50%, 2/15/2044

    $11,500,000   $11,999,531
4.63%, 2/15/2040

    400,000   429,688
4.63%, 5/15/2044

    10,500,000   11,131,641
4.63%, 5/15/2054

    10,250,000   11,119,648
4.75%, 2/15/2037 (b)

    350,000   382,102
4.75%, 2/15/2041

    650,000   707,891
4.75%, 11/15/2043

    7,000,000   7,553,437
4.75%, 11/15/2053

    8,125,000   8,976,855
5.00%, 5/15/2037

    300,000   334,969
5.25%, 11/15/2028

    450,000   478,406
6.00%, 2/15/2026

    2,500,000   2,570,996
6.25%, 5/15/2030

    5,000,000   5,662,109
6.50%, 11/15/2026 (b)

    1,500,000   1,592,461
U.S. Treasury Notes:          
0.25%, 10/31/2025

    7,750,000   7,449,385
0.38%, 11/30/2025

    3,000,000   2,881,406
0.38%, 12/31/2025

    6,000,000   5,747,344
0.38%, 1/31/2026

    7,000,000   6,688,555
0.38%, 7/31/2027

    2,000,000   1,829,063
0.38%, 9/30/2027

    6,000,000   5,460,000
0.50%, 2/28/2026

    6,000,000   5,730,234
0.50%, 4/30/2027

    3,000,000   2,773,359
0.50%, 6/30/2027

    4,500,000   4,140,000
0.50%, 8/31/2027

    4,000,000   3,662,188
0.50%, 10/31/2027

    2,250,000   2,049,434
0.63%, 7/31/2026 (b)

    1,500,000   1,419,492
0.63%, 11/30/2027

    4,550,000   4,151,164
0.63%, 12/31/2027

    6,000,000   5,461,875
0.63%, 5/15/2030 (b)

    900,000   764,227
0.63%, 8/15/2030

    3,750,000   3,160,254
0.75%, 3/31/2026

    5,000,000   4,781,836
0.75%, 4/30/2026

    3,500,000   3,340,039
0.75%, 8/31/2026

    5,000,000   4,732,617
0.75%, 1/31/2028

    6,500,000   5,927,187
0.88%, 6/30/2026

    3,000,000   2,858,203
0.88%, 9/30/2026

    4,000,000   3,788,750
0.88%, 11/15/2030

    8,000,000   6,809,375
1.00%, 7/31/2028

    7,000,000   6,356,875
1.13%, 10/31/2026

    4,500,000   4,274,297
1.13%, 2/28/2027

    1,250,000   1,178,906
1.13%, 2/29/2028

    4,500,000   4,148,086
1.13%, 8/31/2028

    5,000,000   4,554,297
1.13%, 2/15/2031

    5,500,000   4,730,430
1.25%, 11/30/2026

    21,500,000   20,445,156
1.25%, 12/31/2026

    7,500,000   7,121,484
1.25%, 3/31/2028

    6,000,000   5,544,375
1.25%, 4/30/2028

    4,000,000   3,689,063
1.25%, 5/31/2028

    5,500,000   5,062,148
1.25%, 6/30/2028

    6,000,000   5,512,500
1.25%, 9/30/2028

    4,000,000   3,655,313
1.25%, 8/15/2031

    8,500,000   7,259,531
1.38%, 8/31/2026

    3,000,000   2,874,023
1.38%, 10/31/2028

    5,500,000   5,042,383
1.38%, 12/31/2028

    3,500,000   3,198,945
1.38%, 11/15/2031 (b)

    6,000,000   5,139,375
 
See accompanying notes to Schedule of Investments.
73

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
1.50%, 8/15/2026

    $1,650,000   $1,585,418
1.50%, 1/31/2027

    6,050,000   5,766,406
1.50%, 11/30/2028

    5,000,000   4,600,391
1.50%, 2/15/2030

    2,850,000   2,558,543
1.63%, 2/15/2026

    1,925,000   1,869,130
1.63%, 5/15/2026

    2,750,000   2,659,121
1.63%, 9/30/2026

    1,250,000   1,201,904
1.63%, 10/31/2026

    1,250,000   1,199,707
1.63%, 8/15/2029

    2,250,000   2,058,047
1.63%, 5/15/2031

    8,750,000   7,715,039
1.75%, 1/31/2029

    5,000,000   4,635,547
1.75%, 11/15/2029

    3,000,000   2,748,516
1.88%, 6/30/2026 (b)

    1,250,000   1,211,621
1.88%, 7/31/2026

    1,000,000   968,125
1.88%, 2/28/2027

    4,000,000   3,841,563
1.88%, 2/28/2029

    3,250,000   3,025,801
1.88%, 2/15/2032

    8,500,000   7,506,562
2.00%, 11/15/2026

    2,250,000   2,175,117
2.13%, 5/31/2026

    2,500,000   2,436,035
2.25%, 11/15/2025 (b)

    5,475,000   5,375,552
2.25%, 3/31/2026

    3,000,000   2,933,906
2.25%, 2/15/2027

    3,000,000   2,907,656
2.25%, 8/15/2027

    2,000,000   1,927,656
2.25%, 11/15/2027

    4,750,000   4,564,453
2.38%, 5/15/2027

    2,900,000   2,811,867
2.38%, 3/31/2029

    3,750,000   3,562,500
2.38%, 5/15/2029

    4,350,000   4,128,082
2.50%, 2/28/2026

    2,500,000   2,455,469
2.50%, 3/31/2027

    2,500,000   2,435,938
2.63%, 12/31/2025

    3,250,000   3,200,996
2.63%, 1/31/2026

    2,250,000   2,215,459
2.63%, 5/31/2027

    6,000,000   5,854,219
2.63%, 2/15/2029

    4,450,000   4,278,605
2.63%, 7/31/2029

    4,000,000   3,830,938
2.75%, 4/30/2027

    5,000,000   4,897,266
2.75%, 7/31/2027

    5,500,000   5,377,539
2.75%, 2/15/2028

    2,750,000   2,677,383
2.75%, 5/31/2029

    4,000,000   3,857,188
2.75%, 8/15/2032

    8,000,000   7,477,500
2.88%, 11/30/2025

    3,000,000   2,964,961
2.88%, 5/15/2028

    4,000,000   3,904,375
2.88%, 8/15/2028

    7,750,000   7,552,012
2.88%, 4/30/2029

    5,250,000   5,093,730
2.88%, 5/15/2032

    9,000,000   8,510,625
3.00%, 10/31/2025

    2,750,000   2,722,715
3.13%, 8/31/2027

    2,500,000   2,469,336
3.13%, 11/15/2028

    5,500,000   5,404,180
3.13%, 8/31/2029

    8,000,000   7,834,375
3.25%, 6/30/2027

    1,000,000   991,563
3.25%, 6/30/2029

    3,000,000   2,956,641
3.38%, 9/15/2027

    17,000,000   16,913,672
3.38%, 5/15/2033

    11,500,000   11,183,750
3.50%, 9/30/2026

    14,500,000   14,459,219
3.50%, 1/31/2028

    5,000,000   4,989,062
3.50%, 4/30/2028

    5,250,000   5,237,285
Security Description     Principal
Amount
  Value
3.50%, 9/30/2029

    $15,000,000   $14,956,641
3.50%, 1/31/2030

    8,500,000   8,458,828
3.50%, 4/30/2030

    4,000,000   3,978,438
3.50%, 2/15/2033

    11,500,000   11,302,344
3.63%, 5/15/2026

    8,000,000   7,988,125
3.63%, 3/31/2028

    7,500,000   7,515,820
3.63%, 5/31/2028

    5,000,000   5,007,812
3.63%, 8/31/2029 (b)

    9,000,000   9,028,125
3.63%, 3/31/2030

    9,000,000   9,007,031
3.63%, 9/30/2031

    7,000,000   6,986,875
3.75%, 4/15/2026

    6,000,000   5,999,531
3.75%, 8/31/2026 (b)

    9,500,000   9,513,730
3.75%, 8/15/2027

    10,000,000   10,048,437
3.75%, 12/31/2028

    10,000,000   10,067,969
3.75%, 5/31/2030

    3,500,000   3,523,516
3.75%, 6/30/2030

    10,000,000   10,065,625
3.75%, 12/31/2030

    2,500,000   2,515,039
3.75%, 8/31/2031 (b)

    5,000,000   5,027,344
3.88%, 1/15/2026

    7,500,000   7,503,809
3.88%, 11/30/2027

    3,500,000   3,530,625
3.88%, 12/31/2027

    14,000,000   14,134,531
3.88%, 9/30/2029

    6,500,000   6,583,281
3.88%, 11/30/2029

    3,500,000   3,546,211
3.88%, 12/31/2029

    6,500,000   6,585,312
3.88%, 8/15/2033

    13,250,000   13,359,727
3.88%, 8/15/2034

    10,000,000   10,071,875
4.00%, 12/15/2025

    13,500,000   13,520,566
4.00%, 2/15/2026

    8,000,000   8,020,938
4.00%, 1/15/2027

    8,000,000   8,066,875
4.00%, 2/29/2028

    5,000,000   5,068,750
4.00%, 6/30/2028

    7,000,000   7,105,000
4.00%, 1/31/2029 (b)

    9,500,000   9,661,797
4.00%, 7/31/2029

    9,000,000   9,171,562
4.00%, 10/31/2029

    5,000,000   5,093,359
4.00%, 2/28/2030

    5,000,000   5,096,094
4.00%, 7/31/2030

    8,000,000   8,156,875
4.00%, 1/31/2031

    5,000,000   5,098,828
4.00%, 2/15/2034 (b)

    15,000,000   15,260,156
4.13%, 6/15/2026

    7,500,000   7,550,684
4.13%, 2/15/2027

    7,000,000   7,080,937
4.13%, 9/30/2027

    3,000,000   3,048,281
4.13%, 10/31/2027

    4,350,000   4,419,328
4.13%, 7/31/2028

    7,850,000   8,003,934
4.13%, 3/31/2029

    12,500,000   12,786,133
4.13%, 8/31/2030

    3,600,000   3,694,500
4.13%, 3/31/2031 (b)

    6,000,000   6,164,062
4.13%, 7/31/2031

    5,500,000   5,654,687
4.13%, 11/15/2032

    12,500,000   12,859,375
4.25%, 12/31/2025

    7,000,000   7,031,992
4.25%, 3/15/2027

    11,000,000   11,171,016
4.25%, 2/28/2029 (b)

    10,500,000   10,792,852
4.25%, 6/30/2029 (b)

    15,000,000   15,440,625
4.25%, 2/28/2031 (b)

    5,500,000   5,688,633
4.25%, 6/30/2031

    12,500,000   12,943,359
4.38%, 7/31/2026 (b)

    10,000,000   10,121,094
 
See accompanying notes to Schedule of Investments.
74

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
4.38%, 8/15/2026

    $5,000,000   $5,063,086
4.38%, 12/15/2026

    10,000,000   10,159,375
4.38%, 7/15/2027

    8,000,000   8,168,125
4.38%, 8/31/2028

    6,000,000   6,173,437
4.38%, 11/30/2028 (b)

    8,000,000   8,245,625
4.38%, 11/30/2030

    4,750,000   4,941,855
4.38%, 5/15/2034

    18,000,000   18,855,000
4.50%, 11/15/2025

    5,750,000   5,786,836
4.50%, 3/31/2026

    10,500,000   10,610,332
4.50%, 7/15/2026

    5,000,000   5,069,336
4.50%, 4/15/2027

    9,500,000   9,707,070
4.50%, 5/15/2027 (b)

    10,500,000   10,737,070
4.50%, 5/31/2029

    9,500,000   9,880,742
4.50%, 11/15/2033 (b)

    13,500,000   14,259,375
4.63%, 2/28/2026

    10,000,000   10,111,719
4.63%, 3/15/2026

    7,500,000   7,590,234
4.63%, 6/30/2026 (b)

    8,000,000   8,123,125
4.63%, 9/15/2026

    7,700,000   7,838,359
4.63%, 10/15/2026

    7,000,000   7,132,891
4.63%, 11/15/2026

    15,000,000   15,298,828
4.63%, 6/15/2027 (b)

    7,500,000   7,702,734
4.63%, 9/30/2028

    8,500,000   8,830,039
4.63%, 4/30/2029

    10,500,000   10,965,937
4.63%, 9/30/2030

    5,750,000   6,056,367
4.63%, 4/30/2031

    7,500,000   7,924,219
4.63%, 5/31/2031

    5,000,000   5,283,594
4.88%, 11/30/2025

    7,000,000   7,076,836
4.88%, 4/30/2026 (b)

    10,000,000   10,171,094
4.88%, 5/31/2026 (b)

    8,500,000   8,656,719
4.88%, 10/31/2028

    8,000,000   8,391,875
4.88%, 10/31/2030

    5,500,000   5,870,391
5.00%, 10/31/2025

    9,250,000   9,351,895
TOTAL U.S. TREASURY OBLIGATIONS

(Cost $1,544,296,720)

        1,488,201,518
MUNICIPAL BONDS & NOTES — 0.3%      
CALIFORNIA — 0.1%        
Bay Area Toll Authority Revenue, CA:        
Series F-3, 3.13%, 4/1/2055

  500,000   361,238
Series S3, 6.91%, 10/1/2050

  25,000   30,678
California State University Revenue, CA

Series B, 3.90%, 11/1/2047

  100,000   89,351
Regents of the University of California Medical Center Pooled Revenue, CA:        
Series Q, 4.13%, 5/15/2032

  500,000   492,954
Series H, 6.55%, 5/15/2048

  50,000   57,433
San Jose Redevelopment Successor Agency, Special Obligation, CA

Series A-T, 3.38%, 8/1/2034

  275,000   257,994
Security Description     Principal
Amount
  Value
State of California, General Obligation, CA:        
3.50%, 4/1/2028

  $250,000   $247,978
5.20%, 3/1/2043

  1,250,000   1,275,189
7.30%, 10/1/2039

  125,000   150,491
7.50%, 4/1/2034

  100,000   119,879
7.55%, 4/1/2039

  100,000   125,689
7.60%, 11/1/2040

  250,000   318,425
          3,527,299
FLORIDA — 0.0% (a)        
County of Miami-Dade Aviation Revenue, FL

Series C, 4.28%, 10/1/2041

  125,000   117,308
State Board of Administration Finance Corp. Revenue, FL:        
Series A, 1.71%, 7/1/2027

  50,000   46,766
Series A, 2.15%, 7/1/2030

  50,000   44,412
          208,486
GEORGIA — 0.0% (a)        
Municipal Electric Authority of Georgia Revenue, GA

6.66%, 4/1/2057

  154,000   176,194
ILLINOIS — 0.0% (a)        
Chicago O'Hare International Airport Revenue, IL:        
Series C, 4.47%, 1/1/2049

  50,000   47,298
Series C, 4.57%, 1/1/2054

  50,000   47,831
Sales Tax Securitization Corp. Revenue, IL

Series B, 3.59%, 1/1/2043

  275,000   240,314
State of Illinois, General Obligation, IL:        
5.10%, 6/1/2033

  611,765   621,367
Series 1, 6.63%, 2/1/2035

  169,231   181,217
7.35%, 7/1/2035

  78,571   86,321
          1,224,348
MARYLAND — 0.0% (a)        
Maryland Economic Development Corp. Revenue, MD

5.43%, 5/31/2056

  300,000   311,998
MASSACHUSETTS — 0.0% (a)        
Massachusetts School Building Authority Revenue, MA:        
Series C, 2.95%, 5/15/2043

  100,000   79,603
Series B, 3.40%, 10/15/2040

  20,000   17,236
          96,839
MICHIGAN — 0.0% (a)        
Michigan Strategic Fund Revenue, MI

Series A, 3.23%, 9/1/2047

  750,000   603,951
 
See accompanying notes to Schedule of Investments.
75

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
University of Michigan Revenue, MI

Series A, 4.45%, 4/1/2122

  $650,000   $572,137
          1,176,088
MISSOURI — 0.0% (a)        
Health & Educational Facilities Authority of the State of Missouri Revenue, MO:        
Series A, 3.23%, 5/15/2050

  300,000   232,593
Series A, 3.65%, 8/15/2057

  100,000   81,015
          313,608
NEW JERSEY — 0.0% (a)        
New Jersey Turnpike Authority Revenue, NJ

Series A, 7.10%, 1/1/2041

  100,000   118,762
Rutgers The State University of New Jersey Revenue, NJ

Series P, 3.92%, 5/1/2119

  35,000   26,491
          145,253
NEW YORK — 0.1%        
City of New York, General Obligation, NY

Series B-1, 5.83%, 10/1/2053

  300,000   344,937
Empire State Development Corp. Revenue, NY

Series B, 3.90%, 3/15/2033

  100,000   97,645
New York City Municipal Water Finance Authority Revenue, NY

Series AA, 5.44%, 6/15/2043

  25,000   25,529
Port Authority of New York & New Jersey Revenue, NY:        
3.14%, 2/15/2051

  500,000   389,489
3.18%, 7/15/2060

  1,000,000   714,029
Series 210, 4.03%, 9/1/2048

  125,000   110,351
4.46%, 10/1/2062

  190,000   175,501
Series 192, 4.81%, 10/15/2065

  25,000   24,550
5.65%, 11/1/2040

  100,000   108,054
          1,990,085
OHIO — 0.0% (a)        
American Municipal Power, Inc. Revenue, OH

Series B, 7.83%, 2/15/2041

  150,000   189,180
OREGON — 0.0% (a)        
Port of Morrow Revenue, OR

Series 1, 2.54%, 9/1/2040

  750,000   580,729
PENNSYLVANIA — 0.0% (a)        
Commonwealth Financing Authority Revenue, PA:        
Series A, 2.99%, 6/1/2042

  750,000   590,498
Series A, 4.14%, 6/1/2038

  125,000   119,872
Security Description     Principal
Amount
  Value
University of Pittsburgh-of the Commonwealth System of Higher Education Revenue, PA

Series A, 3.56%, 9/15/2119

  $100,000   $70,159
          780,529
TEXAS — 0.1%        
Dallas Area Rapid Transit Revenue, TX:        
Series A, 2.61%, 12/1/2048

  500,000   360,372
5.02%, 12/1/2048

  100,000   98,800
Dallas Fort Worth International Airport Revenue, TX

Series A, 2.99%, 11/1/2038

  250,000   217,176
Grand Parkway Transportation Corp. Revenue, TX

Series B, 3.24%, 10/1/2052

  65,000   50,035
Permanent University Fund - University of Texas System Revenue, TX

Series A, 3.38%, 7/1/2047

  150,000   124,164
Texas Natural Gas Securitization Finance Corp. Revenue, TX

5.17%, 4/1/2041

  400,000   421,335
Texas Transportation Commission, General Obligation, TX

2.47%, 10/1/2044

  150,000   110,109
          1,381,991
VIRGINIA — 0.0% (a)        
University of Virginia Revenue, VA:        
2.26%, 9/1/2050

  150,000   93,688
Series C, 4.18%, 9/1/2117

  50,000   42,414
          136,102
TOTAL MUNICIPAL BONDS & NOTES

(Cost $14,063,872)

  12,238,729  
MORTGAGE-BACKED SECURITIES — 0.7%          
Bank:          
Series 2017-BNK8, Class A4, 3.49%, 11/15/2050

    90,000   85,241
Series 2017-BNK8, Class B, 4.09%, 11/15/2050 (d)

    50,000   45,019
Series 2018-BN14, Class A4, 4.23%, 9/15/2060 (d)

    143,329   142,247
Series 2018-BN15, Class A4, 4.41%, 11/15/2061 (d)

    100,000   99,552
Series 2019-BN18, Class A4, 3.58%, 5/15/2062

    100,000   93,774
 
See accompanying notes to Schedule of Investments.
76

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Series 2019-BN19, Class A3, 3.18%, 8/15/2061

    $100,000   $91,948
Series 2019-BN20, Class A3, 3.01%, 9/15/2062

    50,000   46,345
Series 2019-BN24, Class A3, 2.96%, 11/15/2062

    200,000   185,780
Series 2020-BN28, Class A4, 1.84%, 3/15/2063

    93,750   80,835
Series 2020-BN29, Class A4, 2.00%, 11/15/2053

    500,000   423,584
Series 2021-BN31, Class A4, 2.04%, 2/15/2054

    234,783   202,386
Series 2021-BN32, Class A5, 2.64%, 4/15/2054

    300,000   268,448
Series 2021-BN37, Class A4, 2.37%, 11/15/2064

    500,000   432,380
Bank5 Series 2023-5YR3, Class A2, 6.26%, 9/15/2056

    1,149,494   1,211,263
BBCMS Mortgage Trust:          
Series 2019-C3, Class A4, 3.58%, 5/15/2052

    150,000   144,651
Series 2020-C8, Class A5, 2.04%, 10/15/2053

    250,000   218,051
Series 2021-C9, Class A5, 2.30%, 2/15/2054

    250,000   219,782
Series 2022-C14, Class A5, 2.95%, 2/15/2055 (d)

    450,000   404,362
Series 2023-C19, Class A5, 5.45%, 4/15/2056

    200,000   211,373
Series 2023-C20, Class A5, 5.58%, 7/15/2056

    100,000   107,097
Series 2024-5C29, Class A3, 5.21%, 9/15/2057

    115,000   118,151
Series 2024-C24, Class A5, 5.42%, 2/15/2057

    400,000   423,275
Benchmark Mortgage Trust:          
Series 2018-B2, Class A5, 3.88%, 2/15/2051 (d)

    130,000   126,213
Series 2018-B3, Class A5, 4.03%, 4/10/2051

    100,000   98,246
Series 2018-B5, Class A4, 4.21%, 7/15/2051

    100,000   98,807
Series 2019-B10, Class A4, 3.72%, 3/15/2062

    115,000   111,360
Series 2019-B12, Class A5, 3.12%, 8/15/2052

    200,000   187,299
Series 2020-B16, Class A5, 2.73%, 2/15/2053

    750,000   688,669
Series 2020-B18, Class A5, 1.93%, 7/15/2053

    79,167   67,946
Security Description     Principal
Amount
  Value
Series 2021-B24, Class A5, 2.58%, 3/15/2054

    $425,000   $369,975
Series 2021-B25, Class A5, 2.58%, 4/15/2054

    500,000   429,133
Series 2023-B38, Class A4, 5.52%, 4/15/2056

    250,000   265,656
Series 2023-B39, Class A5, 5.75%, 7/15/2056

    229,000   247,423
Series 2024-V9, Class A3, 5.60%, 8/15/2057

    300,000   311,946
Series 2021-B28, Class A5, VRN, 2.22%, 8/15/2054

    300,000   258,230
CD Mortgage Trust:          
Series 2017-CD3, Class A4, 3.63%, 2/10/2050

    300,000   284,557
Series 2019-CD8, Class A4, 2.91%, 8/15/2057

    200,000   182,913
CFCRE Commercial Mortgage Trust Series 2016-C7, Class A3, 3.84%, 12/10/2054

    300,000   294,629
Citigroup Commercial Mortgage Trust:          
Series 2017-C4, Class A4, 3.47%, 10/12/2050

    250,000   242,311
Series 2019-GC41, Class A5, 2.87%, 8/10/2056

    100,000   91,848
Series 2019-GC43, Class A4, 3.04%, 11/10/2052

    150,000   136,916
Series 2020-GC46, Class A5, 2.72%, 2/15/2053

    750,000   682,715
COMM Mortgage Trust:          
Series 2014-CR16, Class B, 4.58%, 4/10/2047

    294,228   281,444
Series 2018-COR3, Class A3, 4.23%, 5/10/2051

    100,000   96,191
CSAIL Commercial Mortgage Trust:          
Series 2017-CX10, Class A5, 3.46%, 11/15/2050 (d)

    250,000   241,122
Series 2018-C14, Class A4, 4.42%, 11/15/2051 (d)

    50,000   49,367
Series 2018-CX11, Class A4, 3.77%, 4/15/2051

    500,000   491,575
Series 2019-C17, Class A5, 3.02%, 9/15/2052

    200,000   184,029
Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates:          
Series K068, Class A2, 3.24%, 8/25/2027

    995,000   975,808
Series K-154, Class A2, 4.35%, 1/25/2033 (d)

    250,000   253,120
 
See accompanying notes to Schedule of Investments.
77

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
Series K-155, Class A2, 4.25%, 4/25/2033

    $1,500,000   $1,507,739
Series K-157, Class A2, 4.20%, 5/25/2033

    255,091   255,448
Series K-159, Class A2, 4.50%, 7/25/2033 (d)

    195,000   199,179
Series K-161, Class A2, 4.90%, 10/25/2033

    150,000   157,326
Series K505, Class A2, 4.82%, 6/25/2028

    1,350,000   1,384,984
Series K512, Class A2, 5.00%, 11/25/2028

    174,962   181,013
Series K751, Class A2, 4.41%, 3/25/2030

    500,000   508,191
Federal National Mortgage Association-ACES Series 2023-M6, Class A2, 4.19%, 7/25/2028 (d)

    477,778   479,484
GS Mortgage Securities Trust:          
Series 2016-GS3, Class A4, 2.85%, 10/10/2049

    200,000   193,092
Series 2017-GS8, Class A4, 3.47%, 11/10/2050

    250,000   242,283
Series 2019-GC42, Class A4, 3.00%, 9/10/2052

    150,000   139,094
Series 2020-GSA2, Class A5, 2.01%, 12/12/2053

    500,000   430,156
JPMBB Commercial Mortgage Securities Trust:          
Series 2015-C30, Class A5, 3.82%, 7/15/2048

    200,000   195,928
Series 2015-C33, Class A4, 3.77%, 12/15/2048

    100,000   98,866
Series 2016-C1, Class B, 4.86%, 3/17/2049 (d)

    300,000   294,782
JPMCC Commercial Mortgage Securities Trust Series 2017-JP6, Class A5, 3.49%, 7/15/2050

    500,000   478,030
JPMDB Commercial Mortgage Securities Trust Series 2020-COR7, Class A5, 2.18%, 5/13/2053

    1,000,000   831,963
Morgan Stanley Bank of America Merrill Lynch Trust Series 2017-C33, Class A5, 3.60%, 5/15/2050

    420,000   408,278
Morgan Stanley Capital I Trust:          
Series 2018-L1, Class A3, 4.14%, 10/15/2051

    150,000   148,842
Series 2019-H7, Class A4, 3.26%, 7/15/2052

    200,000   188,535
Series 2021-L5, Class A4, 2.73%, 5/15/2054

    350,000   314,122
Security Description     Principal
Amount
  Value
UBS Commercial Mortgage Trust:          
Series 2018-C8, Class A4, 3.98%, 2/15/2051

    $400,000   $391,620
Series 2019-C16, Class A4, 3.60%, 4/15/2052

    100,000   96,042
Series 2018-C9, Class A4, VRN, 4.12%, 3/15/2051 (d)

    750,000   734,137
Wells Fargo Commercial Mortgage Trust:          
Series 2017-C39, Class A4, 3.16%, 9/15/2050

    300,000   289,285
Series 2017-C42, Class A4, 3.59%, 12/15/2050

    250,000   242,821
Series 2018-C47, Class A4, 4.44%, 9/15/2061

    150,000   149,898
Series 2019-C52, Class A5, 2.89%, 8/15/2052

    200,000   185,372
Series 2019-C53, Class A4, 3.04%, 10/15/2052

    100,000   93,596
Series 2021-C59, Class A5, 2.63%, 4/15/2054

    350,000   308,919
Series 2024-5C1, Class A3, 5.93%, 7/15/2057

    1,000,000   1,055,168
TOTAL MORTGAGE-BACKED SECURITIES

(Cost $26,890,947)

        25,189,185
COMMERCIAL MORTGAGE BACKED SECURITIES — 0.2%          
Bank:          
Series 2019-BN21, Class A5, 2.85%, 10/17/2052

    1,450,000   1,338,149
Series 2024-BNK47, Class A5, 5.72%, 6/15/2057

    300,000   324,211
Bank5 Series 2023-5YR4, Class A3, 6.50%, 12/15/2056

    432,807   462,747
BBCMS Mortgage Trust Series 2023-C22, Class A5, 6.80%, 11/15/2056 (d)

    175,000   202,976
Benchmark Mortgage Trust Series 2018-B8, Class A4, 3.96%, 1/15/2052

    750,000   730,636
BMO Mortgage Trust:          
Series 2023-5C1, Class A3, 6.53%, 8/15/2056 (d)

    500,000   531,637
Series 2023-C5, Class A5, 5.77%, 6/15/2056

    500,000   538,006
DBJPM Mortgage Trust Series 2016-C3, Class A5, 2.89%, 8/10/2049

    400,000   386,252
 
See accompanying notes to Schedule of Investments.
78

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Principal
Amount
  Value
GS Mortgage Securities Trust Series 2020-GC47, Class A5, 2.38%, 5/12/2053

    $300,000   $267,346
Morgan Stanley Capital I Trust Series 2022-L8, Class A5, 3.92%, 4/15/2055 (d)

    675,000   637,027
Wells Fargo Commercial Mortgage Trust Series 2015-NXS2, Class A5, 3.77%, 7/15/2058 (d)

    500,000   495,124
TOTAL COMMERCIAL MORTGAGE BACKED SECURITIES

(Cost $5,599,467)

        5,914,111
    Shares  
SHORT-TERM INVESTMENTS — 4.7%  
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (f) (g)

87,721,107 87,721,107
State Street Navigator Securities Lending Portfolio II (h) (i)

72,051,008 72,051,008
TOTAL SHORT-TERM INVESTMENTS

(Cost $159,772,115)

159,772,115
TOTAL INVESTMENTS — 103.8%

(Cost $3,726,302,654)

3,568,188,907
LIABILITIES IN EXCESS OF OTHER ASSETS — (3.8)%

(130,277,923)
NET ASSETS — 100.0%

$3,437,910,984
    
(a) Amount is less than 0.05% of net assets.
(b) All or a portion of the shares of the security are on loan at September 30, 2024.
(c) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.3% of net assets as of September 30, 2024, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(d) Variable Rate Security - Interest rate shown is rate in effect at September 30, 2024. For securities based on a published reference rate and spread, the reference rate and spread are indicated in the description above.
(e) When-issued security.
(f) The Portfolio invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(g) The rate shown is the annualized seven-day yield at September 30, 2024.
(h) The Portfolio invested in an affiliated entity. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(i) Investment of cash collateral for securities loaned.
ABS Asset-Backed Security
CMT Constant Maturity Treasury
DMTN Domestic Medium - Term Note
GMTN Global Medium Term Note
MTN Medium Term Note
REIT Real Estate Investment Trust
SOFR Secured Overnight Financing Rate
TBA To Be Announced
VRN Variable Rate Note
 
The following table summarizes the value of the Portfolio’s investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                 
INVESTMENTS:                
Corporate Bonds & Notes

  $  $859,325,732   $—   $859,325,732
Asset-Backed Securities

    13,617,076     13,617,076
Foreign Government Obligations

    88,869,595     88,869,595
U.S. Government Agency Obligations

    915,060,846     915,060,846
U.S. Treasury Obligations

    1,488,201,518     1,488,201,518
Municipal Bonds & Notes

    12,238,729     12,238,729
Mortgage-Backed Securities

    25,189,185     25,189,185
Commercial Mortgage Backed Securities

    5,914,111     5,914,111
Short-Term Investments

  159,772,115       159,772,115
TOTAL INVESTMENTS

  $159,772,115   $3,408,416,792   $—   $3,568,188,907
See accompanying notes to Schedule of Investments.
79

Table of Contents
STATE STREET AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
State Street Institutional Liquid Reserves Fund, Premier Class

51,102,221   $51,122,662   $404,015,250   $455,131,703   $(4,288)   $(1,921)     $  $2,147,591
State Street Institutional U.S. Government Money Market Fund, Class G Shares

    122,492,590   34,771,483       87,721,107   87,721,107   211,355
State Street Navigator Securities Lending Portfolio II

111,292,245   111,292,245   770,772,140   810,013,377       72,051,008   72,051,008   193,528
Total

    $162,414,907   $1,297,279,980   $1,299,916,563   $(4,288)   $(1,921)       $159,772,115   $2,552,474
See accompanying notes to Schedule of Investments.
80

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments
September 30, 2024 (Unaudited)

State Street Global All Cap Equity ex-U.S. Index Fund is a feeder fund that invests substantially all of its investable assets in a master fund, the State Street Global All Cap Equity ex-U.S. Index Portfolio. The Schedule of Investments for the State Street Global All Cap Equity ex-U.S. Index Portfolio follows.
Security Description     Shares   Value
COMMON STOCKS — 98.1%        
AUSTRALIA — 5.0%  
Abacus Group REIT

    78,325   $67,107
Abacus Storage King REIT

    92,312   84,855
Accent Group Ltd. (a)

    80,316   132,612
AGL Energy Ltd.

    142,907   1,172,847
Alpha HPA Ltd. (b)

    216,023   165,602
ALS Ltd.

    112,024   1,120,674
Amotiv Ltd.

    43,623   316,253
AMP Ltd.

    623,206   575,025
Ampol Ltd.

    56,582   1,198,418
Ansell Ltd.

    32,826   724,411
ANZ Group Holdings Ltd.

    742,417   15,698,783
APA Group Stapled Security

    326,857   1,759,635
ARB Corp. Ltd. (a)

    17,834   587,686
Arena REIT (a)

    291,448   841,119
Aristocrat Leisure Ltd.

    135,754   5,518,911
ASX Ltd.

    46,145   2,046,598
Atlas Arteria Ltd. Stapled Security

    286,236   971,038
AUB Group Ltd.

    27,891   595,574
Audinate Group Ltd. (a) (b)

    16,156   109,616
Aurizon Holdings Ltd.

    437,050   1,070,308
Aussie Broadband Ltd.

    39,567   105,681
Austal Ltd. (b)

    60,258   121,650
AVZ Minerals Ltd. (a) (b) (c)

    378,780   20,497
Bank of Queensland Ltd. (a)

    147,409   631,998
Bapcor Ltd. (a)

    67,346   248,090
Beach Energy Ltd. (a)

    349,938   294,965
Bega Cheese Ltd.

    66,288   241,893
Bellevue Gold Ltd. (b)

    251,703   230,497
Bendigo & Adelaide Bank Ltd.

    134,936   1,090,578
BHP Group Ltd.

    1,228,187   39,160,447
BlueScope Steel Ltd.

    105,475   1,624,447
Boss Energy Ltd. (b)

    90,668   206,944
Brambles Ltd.

    330,655   4,365,329
Breville Group Ltd. (a)

    28,855   683,420
Brickworks Ltd.

    17,916   362,809
BWP Trust REIT

    131,715   342,665
Capricorn Metals Ltd. (b)

    69,661   277,882
CAR Group Ltd.

    85,273   2,216,065
Centuria Capital Group REIT

    122,999   178,341
Centuria Industrial REIT

    375,089   832,698
Centuria Office REIT (a)

    90,435   79,679
Challenger Ltd.

    107,298   483,847
Champion Iron Ltd. (a)

    90,243   460,155
Charter Hall Group REIT

    108,526   1,202,380
Charter Hall Long Wale REIT (a)

    147,960   410,589
Security Description     Shares   Value
Charter Hall Retail REIT

    124,404   $311,562
Charter Hall Social Infrastructure REIT (a)

    90,496   178,928
Clarity Pharmaceuticals Ltd. (a) (b)

    51,881   301,617
Cleanaway Waste Management Ltd.

    503,089   1,026,113
Clinuvel Pharmaceuticals Ltd. (a)

    6,455   62,784
Cochlear Ltd.

    15,551   3,043,331
Codan Ltd.

    19,951   223,117
Coles Group Ltd.

    318,027   3,984,601
Collins Foods Ltd. (a)

    27,699   167,949
Commonwealth Bank of Australia

    405,077   38,047,603
Computershare Ltd.

    127,389   2,233,265
Coronado Global Resources, Inc. CDI (d)

    190,613   159,347
Corporate Travel Management Ltd. (a)

    32,318   289,226
Credit Corp. Group Ltd. (a)

    15,386   165,768
Cromwell Property Group REIT

    314,615   98,219
Data#3 Ltd.

    30,074   158,148
De Grey Mining Ltd. (b)

    407,245   392,712
Deep Yellow Ltd. (b)

    198,773   189,611
Deterra Royalties Ltd.

    98,307   275,530
Dexus REIT (a)

    250,225   1,315,840
Dexus Industria REIT (a)

    135,105   271,814
Dicker Data Ltd.

    20,356   132,747
Domain Holdings Australia Ltd. (a)

    51,929   115,282
Domino's Pizza Enterprises Ltd.

    15,836   389,462
Downer EDI Ltd.

    152,716   580,588
DroneShield Ltd. (b)

    126,582   119,869
Eagers Automotive Ltd. (a)

    30,682   232,439
EBOS Group Ltd.

    36,433   837,743
Elders Ltd.

    36,575   214,410
Emerald Resources NL (b)

    118,672   317,789
Endeavour Group Ltd.

    352,006   1,225,905
Evolution Mining Ltd.

    462,694   1,489,412
EVT Ltd. (a)

    18,245   136,448
Firefinch Ltd. (a) (b) (c)

    180,320   7,506
FleetPartners Group Ltd. (b)

    45,962   98,528
Flight Centre Travel Group Ltd. (a)

    43,452   673,737
Fortescue Ltd.

    427,816   6,137,771
G8 Education Ltd.

    123,292   121,030
Genesis Minerals Ltd. (b)

    252,836   361,334
See accompanying notes to Schedule of Investments.
81

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Glencore PLC (b)

    2,552,551   $14,643,859
Gold Road Resources Ltd.

    234,798   278,544
Goodman Group REIT

    422,725   10,847,893
GPT Group REIT

    443,216   1,531,256
GrainCorp Ltd. Class A

    50,653   323,293
Growthpoint Properties Australia Ltd. REIT (a)

    38,972   72,188
Hansen Technologies Ltd.

    29,249   96,588
Harvey Norman Holdings Ltd. (a)

    138,827   476,741
Healius Ltd. (a) (b)

    128,559   153,849
HealthCo REIT (a)

    98,187   79,357
Helia Group Ltd.

    67,284   189,514
HMC Capital Ltd. REIT

    79,560   452,597
HomeCo Daily Needs REIT

    371,426   320,808
HUB24 Ltd.

    17,852   722,902
IDP Education Ltd. (a)

    61,180   674,854
IGO Ltd. (a)

    157,267   639,350
Iluka Resources Ltd.

    95,630   462,413
Imdex Ltd. (a)

    101,204   165,696
Incitec Pivot Ltd.

    462,247   997,327
Ingenia Communities Group REIT (a)

    82,745   288,744
Inghams Group Ltd. (a)

    168,523   344,893
Insignia Financial Ltd. (a)

    115,870   211,412
Insurance Australia Group Ltd.

    568,321   2,901,848
IPH Ltd.

    47,437   200,089
IRESS Ltd. (b)

    44,456   305,946
JB Hi-Fi Ltd.

    25,173   1,396,054
Johns Lyng Group Ltd.

    59,264   153,357
Judo Capital Holdings Ltd. (b)

    161,120   184,432
Jumbo Interactive Ltd.

    11,565   110,079
Kelsian Group Ltd. (a)

    34,940   100,110
Lendlease Corp. Ltd. Stapled Security

    147,946   728,727
Leo Lithium Ltd. (b)

    203,060   71,141
Lifestyle Communities Ltd. (a)

    28,492   166,630
Liontown Resources Ltd. (a) (b)

    319,135   178,227
Lottery Corp. Ltd.

    642,157   2,280,942
Lovisa Holdings Ltd. (a)

    18,279   456,518
Lynas Rare Earths Ltd. (a) (b)

    219,604   1,221,850
MA Financial Group Ltd. (a)

    13,806   50,667
Maas Group Holdings Ltd.

    26,100   86,551
Macquarie Group Ltd.

    88,402   14,250,998
Mader Group Ltd. (a)

    34,029   117,094
Magellan Financial Group Ltd.

    41,167   286,167
McMillan Shakespeare Ltd.

    10,424   110,861
Medibank Pvt Ltd.

    653,900   1,655,798
Megaport Ltd. (a) (b)

    34,556   175,484
Mesoblast Ltd. (b)

    157,995   128,243
Metcash Ltd.

    245,642   610,083
Mineral Resources Ltd. (a)

    40,651   1,467,613
Mirvac Group REIT

    939,110   1,400,742
Monadelphous Group Ltd.

    31,670   283,647
Nanosonics Ltd. (a) (b)

    64,592   165,352
Security Description     Shares   Value
National Australia Bank Ltd.

    755,715   $19,581,762
National Storage REIT

    318,138   562,806
Netwealth Group Ltd.

    30,520   526,367
Neuren Pharmaceuticals Ltd. (b)

    24,487   257,196
New Hope Corp. Ltd. (a)

    140,723   508,635
NEXTDC Ltd. (b)

    143,047   1,736,681
nib holdings Ltd.

    127,242   524,349
Nick Scali Ltd.

    16,577   190,905
Nine Entertainment Co. Holdings Ltd. (a)

    290,057   252,540
Northern Star Resources Ltd.

    272,930   3,023,844
NRW Holdings Ltd.

    104,835   260,371
Nufarm Ltd.

    72,045   198,426
Nuix Ltd. (b)

    50,018   227,632
Objective Corp. Ltd. (a)

    2,964   30,042
OceanaGold Corp.

    220,500   625,127
oOh!media Ltd.

    161,946   147,740
Orica Ltd.

    112,473   1,447,423
Origin Energy Ltd.

    406,473   2,822,727
Orora Ltd.

    319,509   605,130
Paladin Energy Ltd. (b)

    68,558   549,343
Pepper Money Ltd.

    84,260   79,499
Perenti Ltd.

    177,128   133,942
Perpetual Ltd.

    29,508   381,173
Perseus Mining Ltd.

    312,291   565,462
PEXA Group Ltd. (a) (b)

    33,424   343,181
Pilbara Minerals Ltd. (a) (b)

    678,886   1,540,096
Pinnacle Investment Management Group Ltd.

    33,843   423,789
PolyNovo Ltd. (b)

    146,523   265,307
Premier Investments Ltd.

    22,778   486,709
Pro Medicus Ltd. (a)

    13,360   1,652,111
PWR Holdings Ltd. (a)

    18,280   114,770
Qantas Airways Ltd. (b)

    189,348   974,693
QBE Insurance Group Ltd.

    383,532   4,400,887
Qube Holdings Ltd.

    398,507   1,092,034
Ramelius Resources Ltd.

    245,911   375,322
Ramsay Health Care Ltd.

    48,108   1,389,065
REA Group Ltd. (a)

    12,548   1,749,741
Redox Ltd. (a)

    39,694   90,874
Reece Ltd. (a)

    53,769   1,063,114
Region RE Ltd. REIT

    259,615   412,447
Regis Resources Ltd. (b)

    163,146   230,892
Resolute Mining Ltd. (b)

    419,081   215,146
Rio Tinto Ltd. (a)

    92,767   8,310,436
Rio Tinto PLC

    277,643   19,734,336
Rural Funds Group REIT

    195,733   269,543
Sandfire Resources Ltd. (a) (b)

    102,117   767,946
Santos Ltd.

    833,530   4,059,397
Scentre Group REIT

    1,225,747   3,103,822
SEEK Ltd. (a)

    82,637   1,424,636
Seven Group Holdings Ltd.

    48,396   1,439,685
SG Fleet Group Ltd.

    31,651   54,895
Sigma Healthcare Ltd. (a)

    273,531   273,258
Silex Systems Ltd. (b)

    87,668   261,525
 
See accompanying notes to Schedule of Investments.
82

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
SiteMinder Ltd. (a) (b)

    47,530   $208,395
SmartGroup Corp. Ltd.

    25,202   146,515
Sonic Healthcare Ltd.

    108,362   2,047,047
South32 Ltd. (a) (e)

    10,757   27,429
South32 Ltd. (e)

    1,064,653   2,784,534
Spartan Resources Ltd. (a) (b)

    132,740   132,607
Stanmore Resources Ltd.

    75,085   166,689
Star Entertainment Group Ltd. (a) (b)

    486,383   99,541
Steadfast Group Ltd.

    249,540   981,581
Stockland REIT

    567,713   2,063,779
Suncorp Group Ltd.

    326,385   4,096,113
Super Retail Group Ltd.

    47,823   602,830
Tabcorp Holdings Ltd.

    559,156   195,897
Technology One Ltd.

    69,595   1,151,998
Telix Pharmaceuticals Ltd. (a) (b)

    56,406   811,200
Telstra Group Ltd.

    960,204   2,584,630
Temple & Webster Group Ltd. (a) (b)

    17,447   160,618
Transurban Group Stapled Security

    771,782   7,030,116
Treasury Wine Estates Ltd.

    191,452   1,593,838
Vault Minerals Ltd. (b)

    1,281,947   289,039
Ventia Services Group Pty. Ltd.

    184,895   583,633
Vicinity Ltd. REIT

    920,920   1,411,943
Viva Energy Group Ltd. (d)

    284,672   578,649
Vulcan Steel Ltd.

    8,527   45,491
WA1 Resources Ltd. (b)

    9,274   97,022
Washington H Soul Pattinson & Co. Ltd. (a)

    54,253   1,307,922
Waypoint REIT Ltd.

    137,853   252,478
Webjet Group Ltd. (b)

    83,369   57,837
Webjet Ltd. (a) (b)

    83,369   425,104
Wesfarmers Ltd.

    279,125   13,638,278
West African Resources Ltd. (b)

    221,720   266,875
Westgold Resources Ltd. (e)

    97,183   180,013
Westgold Resources Ltd. (b) (e)

    118,628   211,624
Westpac Banking Corp.

    847,512   18,650,143
Whitehaven Coal Ltd.

    188,707   945,210
WiseTech Global Ltd. (a)

    39,586   3,767,621
Woodside Energy Group Ltd.

    455,097   7,956,236
Woolworths Group Ltd.

    305,030   7,046,767
Worley Ltd.

    109,620   1,127,805
Yancoal Australia Ltd. (a)

    85,872   365,187
Zip Co. Ltd. (b)

    286,187   545,991
          400,334,035
AUSTRIA — 0.2%  
ams-OSRAM AG (b)

    21,919   306,872
ANDRITZ AG

    15,822   1,123,941
AT&S Austria Technologie & Systemtechnik AG (b)

    5,053   113,916
BAWAG Group AG (d)

    17,816   1,382,901
Security Description     Shares   Value
CA Immobilien Anlagen AG

    10,087   $302,379
DO & Co. AG (b)

    1,591   240,776
Erste Group Bank AG

    79,023   4,343,537
EVN AG

    8,519   269,541
Immofinanz AG (b)

    8,587   172,120
Kontron AG

    8,066   144,573
Lenzing AG (b)

    3,638   144,543
Mondi PLC (e)

    87,162   1,661,358
Mondi PLC (e)

    17,360   329,248
Oesterreichische Post AG

    7,998   267,785
OMV AG

    34,873   1,492,972
Palfinger AG

    2,748   69,619
Porr AG

    3,398   51,500
Raiffeisen Bank International AG

    33,934   676,395
Schoeller-Bleckmann Oilfield Equipment AG

    1,927   62,046
UNIQA Insurance Group AG

    29,267   241,710
Verbund AG

    16,124   1,340,642
Vienna Insurance Group AG Wiener Versicherung Gruppe

    7,801   259,883
voestalpine AG

    26,522   692,045
Wienerberger AG

    26,457   876,962
          16,567,264
BELGIUM — 0.6%  
Ackermans & van Haaren NV

    5,389   1,146,945
Aedifica SA REIT

    11,302   793,395
Ageas SA

    37,937   2,028,914
Anheuser-Busch InBev SA

    215,012   14,249,074
Barco NV (a)

    14,654   195,110
Bekaert SA

    8,197   337,754
bpost SA (a)

    27,427   78,514
Cofinimmo SA REIT

    8,551   629,861
Colruyt Group NV

    12,716   593,497
Deme Group NV

    1,771   288,573
D'ieteren Group

    5,101   1,081,096
Elia Group SA

    6,587   754,991
Fagron

    14,662   304,362
Galapagos NV (b)

    10,952   316,331
Groupe Bruxelles Lambert NV

    20,899   1,631,537
KBC Ancora

    7,640   413,541
KBC Group NV

    59,450   4,738,659
Kinepolis Group NV (a)

    2,953   131,828
Lotus Bakeries NV

    97   1,303,413
Melexis NV (a)

    4,796   396,894
Montea NV REIT (a)

    3,606   300,628
Ontex Group NV (a) (b)

    20,660   206,135
Proximus SADP

    32,097   250,753
Recticel SA (a)

    8,030   118,476
Retail Estates NV REIT

    2,749   200,955
Shurgard Self Storage Ltd. REIT

    7,712   362,354
Sofina SA

    3,659   1,035,608
Solvay SA (a)

    17,137   673,227
Syensqo SA

    17,597   1,563,472
 
See accompanying notes to Schedule of Investments.
83

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Tessenderlo Group SA (a)

    5,115   $145,855
UCB SA

    30,019   5,427,439
Umicore SA

    47,555   618,840
VGP NV

    2,928   300,637
Warehouses De Pauw CVA REIT

    41,623   1,112,093
X-Fab Silicon Foundries SE (b) (d)

    38,071   215,420
Xior Student Housing NV REIT

    7,513   283,828
          44,230,009
BERMUDA — 0.0% (f)  
Cool Co. Ltd.

    4,767   53,768
BRAZIL — 1.4%  
AES Brasil Energia SA

    76,713   164,391
Allos SA

    94,822   380,451
Alpargatas SA Preference Shares (b)

    41,207   52,589
Alupar Investimento SA

    46,483   260,762
Ambev SA

    1,209,667   2,905,440
Armac Locacao Logistica E Servicos SA

    35,900   52,342
Atacadao SA (b)

    149,400   253,764
Auren Energia SA

    63,230   121,449
Azul SA Preference Shares (b)

    51,900   59,469
Azzas 2154 SA

    33,090   256,235
B3 SA - Brasil Bolsa Balcao

    1,435,203   2,822,547
Banco ABC Brasil SA Preference Shares

    17,795   71,202
Banco Bradesco SA

    375,940   903,642
Banco Bradesco SA Preference Shares

    1,338,782   3,613,812
Banco BTG Pactual SA 

    312,808   1,911,036
Banco do Brasil SA

    446,400   2,227,983
Banco do Estado do Rio Grande do Sul SA Class B, Preference Shares

    55,500   117,914
Banco Pan SA Preference Shares

    88,800   163,877
BB Seguridade Participacoes SA

    162,200   1,057,347
Bradespar SA Preference Shares

    58,036   215,485
BrasilAgro - Co. Brasileira de Propriedades Agricolas

    8,000   37,034
Brava Energia

    158,370   512,700
BRF SA (b)

    213,686   927,995
Caixa Seguridade Participacoes SA

    135,300   361,492
Camil Alimentos SA

    18,200   28,808
CCR SA

    234,500   521,035
Centrais Eletricas Brasileiras SA

    278,019   2,008,896
Centrais Eletricas Brasileiras SA Class B, Preference Shares

    57,300   459,911
Cia Brasileira de Aluminio (b)

    30,268   30,458
Security Description     Shares   Value
Cia de Ferro Ligas da Bahia FERBASA Preference Shares

    42,400   $59,795
Cia de Saneamento Basico do Estado de Sao Paulo SABESP

    106,300   1,764,575
Cia de Saneamento de Minas Gerais Copasa MG

    49,600   209,847
Cia De Sanena Do Parana

    38,500   208,414
Cia De Sanena Do Parana Preference Shares

    132,600   145,120
Cia Energetica de Minas Gerais Preference Shares

    405,474   848,801
Cia Paranaense de Energia - Copel Class B, Preference Shares

    246,200   460,681
Cia Siderurgica Nacional SA

    149,200   353,151
Cogna Educacao SA (b)

    415,363   97,628
Cosan SA

    268,780   645,569
CPFL Energia SA

    48,800   304,048
Cury Construtora e Incorporadora SA

    24,600   101,006
Cyrela Brazil Realty SA Empreendimentos e Participacoes

    67,500   254,343
Dexco SA

    93,038   146,071
Direcional Engenharia SA

    35,629   197,910
EcoRodovias Infraestrutura e Logistica SA

    81,929   104,108
Embraer SA (b)

    158,700   1,397,928
Energisa SA

    56,711   466,430
Engie Brasil Energia SA

    43,266   337,258
Equatorial Energia SA (e)

    288,054   1,719,078
Equatorial Energia SA (b) (e)

    19,675   117,563
ERO Copper Corp. (b)

    22,300   497,023
Ez Tec Empreendimentos e Participacoes SA

    31,200   77,516
Fleury SA

    57,402   162,641
Fras-Le SA

    14,100   52,508
Gerdau SA Preference Shares

    311,802   1,093,580
GPS Participacoes e Empreendimentos SA (d)

    99,500   340,571
Grendene SA

    87,800   90,770
Grupo Mateus SA

    120,500   163,962
Grupo SBF SA

    28,867   87,463
Hapvida Participacoes e Investimentos SA (b) (d)

    1,136,902   835,067
Hidrovias do Brasil SA (b)

    120,200   75,707
Hypera SA

    80,800   389,178
Iguatemi SA

    42,713   165,337
Intelbras SA Industria de Telecomunicacao Eletronica Brasileira

    15,300   56,471
Inter & Co., Inc. Class A

    36,100   240,426
IRB-Brasil Resseguros SA (b)

    14,017   115,208
Itau Unibanco Holding SA Preference Shares

    1,176,703   7,802,480
Itausa SA Preference Shares

    1,392,023   2,829,648
 
See accompanying notes to Schedule of Investments.
84

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Jalles Machado SA

    50,036   $59,538
JHSF Participacoes SA

    59,024   44,546
JSL SA

    16,300   26,369
Karoon Energy Ltd. (a)

    208,007   225,837
Klabin SA

    187,580   719,554
Localiza Rent a Car SA

    243,510   1,833,323
LOG Commercial Properties e Participacoes SA

    7,400   30,710
Lojas Renner SA

    219,049   726,436
LWSA SA (b) (d)

    101,765   78,111
M Dias Branco SA

    20,700   96,852
Magazine Luiza SA (b)

    76,023   135,411
Mahle Metal Leve SA

    37,700   209,275
Marcopolo SA

    46,200   52,598
Marcopolo SA Preference Shares

    154,920   226,158
Marfrig Global Foods SA (b)

    86,192   215,884
Metalurgica Gerdau SA Preference Shares

    208,100   417,285
Mills Locacao Servicos e Logistica SA

    21,200   43,056
Minerva SA (b)

    66,635   77,576
Movida Participacoes SA (b)

    42,600   48,265
MRV Engenharia e Participacoes SA (b)

    105,116   139,748
Multiplan Empreendimentos Imobiliarios SA

    56,314   265,242
Natura & Co. Holding SA

    196,437   506,802
NU Holdings Ltd. Class A (b)

    692,000   9,445,800
Odontoprev SA

    78,060   161,257
Oncoclinicas do Brasil Servicos Medicos SA (b)

    49,600   41,077
Orizon Valorizacao de Residuos SA (b)

    6,923   60,715
Pagseguro Digital Ltd. Class A (b)

    39,500   340,095
Petroleo Brasileiro SA

    884,700   6,379,626
Petroleo Brasileiro SA Preference Shares

    1,150,700   7,608,929
Petroreconcavo SA

    43,700   142,195
PRIO SA

    182,610   1,452,953
Raia Drogasil SA

    348,376   1,630,634
Randon SA Implementos e Participacoes Preference Shares

    41,100   81,358
Rede D'Or Sao Luiz SA (d)

    191,753   1,089,082
Rumo SA

    295,271   1,084,399
Santos Brasil Participacoes SA

    104,381   282,909
Sao Martinho SA

    33,600   161,713
Schulz SA Preference Shares

    30,300   34,218
Sendas Distribuidora SA (b)

    324,200   444,705
Serena Energia SA (b)

    53,037   79,471
Sigma Lithium Corp. (a) (b)

    14,500   179,220
Simpar SA (b)

    66,400   68,158
SLC Agricola SA

    49,764   166,313
Security Description     Shares   Value
Smartfit Escola de Ginastica e Danca SA

    55,100   $216,928
StoneCo Ltd. Class A (a) (b)

    52,700   593,402
Suzano SA

    179,209   1,791,498
Telefonica Brasil SA

    98,385   1,008,456
TIM SA

    195,300   671,705
TOTVS SA

    128,101   671,814
Transmissora Alianca de Energia Eletrica SA

    43,800   275,389
Tres Tentos Agroindustrial SA

    17,015   35,368
Tupy SA

    20,800   98,198
Ultrapar Participacoes SA

    163,500   636,791
Unipar Carbocloro SA Class B, Preference Shares

    9,317   79,777
Usinas Siderurgicas de Minas Gerais SA Usiminas Class A, Preference Shares

    105,900   121,344
Vale SA

    810,818   9,455,920
Vamos Locacao de Caminhoes Maquinas e Equipamentos SA

    93,141   113,053
Vibra Energia SA

    264,900   1,138,246
Vivara Participacoes SA

    27,900   137,968
VTEX Class A (b)

    12,100   90,024
Vulcabras SA

    18,434   57,003
WEG SA

    425,240   4,247,090
Wheaton Precious Metals Corp.

    110,756   6,771,861
Wilson Sons SA

    45,000   142,128
XP, Inc. Class A

    80,200   1,438,788
Yara International ASA

    36,690   1,163,822
YDUQS Participacoes SA

    68,100   114,921
          115,699,843
BURKINA FASO — 0.0% (f)  
Endeavour Mining PLC

    42,612   1,012,261
IAMGOLD Corp. (a) (b)

    157,800   828,159
          1,840,420
CANADA — 7.2%  
ADENTRA, Inc.

    5,200   163,242
Advantage Energy Ltd. (a) (b)

    35,100   245,527
Aecon Group, Inc. (a)

    12,400   192,019
Africa Oil Corp.

    73,600   95,340
Ag Growth International, Inc. (a)

    4,900   196,334
Agnico Eagle Mines Ltd.

    122,081   9,845,461
Air Canada (a) (b)

    47,200   572,640
Alamos Gold, Inc. Class A

    100,493   2,004,727
Algoma Steel Group, Inc.

    22,600   231,863
Algonquin Power & Utilities Corp. (a)

    161,030   880,870
Alimentation Couche-Tard, Inc.

    184,800   10,227,985
Allied Properties Real Estate Investment Trust

    13,900   208,045
AltaGas Ltd. (a)

    80,600   1,997,474
Altius Minerals Corp. (a)

    8,500   163,840
Altus Group Ltd. (a)

    9,500   385,991
 
See accompanying notes to Schedule of Investments.
85

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Andlauer Healthcare Group, Inc. (a)

    3,660   $105,659
ARC Resources Ltd. (a)

    141,485   2,394,128
Aritzia, Inc. (a) (b)

    18,600   699,832
Artis Real Estate Investment Trust

    14,000   82,905
Atco Ltd. Class I

    25,000   886,413
Athabasca Oil Corp. (a) (b)

    126,600   449,817
AtkinsRealis Group, Inc.

    41,600   1,692,083
ATS Corp. (a) (b)

    18,700   543,164
AutoCanada, Inc. (a) (b)

    3,300   39,303
Aya Gold & Silver, Inc. (b)

    23,000   299,641
B2Gold Corp. (a)

    308,259   953,790
Badger Infrastructure Solution (a)

    7,200   195,969
Ballard Power Systems, Inc. (a) (b)

    46,200   83,102
Bank of Montreal (a)

    178,890   16,160,284
Bank of Nova Scotia (a)

    301,592   16,450,879
Barrick Gold Corp. (e)

    385,617   7,678,372
Barrick Gold Corp. (e)

    40,752   810,921
Baytex Energy Corp. (a)

    175,300   524,233
BCE, Inc. (a)

    16,579   577,034
Birchcliff Energy Ltd. (a)

    54,600   230,371
Bird Construction, Inc. (a)

    12,000   214,516
Bitfarms Ltd. (a) (b)

    72,000   151,893
BlackBerry Ltd. (a) (b)

    148,500   391,325
Boardwalk Real Estate Investment Trust

    5,500   348,740
Bombardier, Inc. Class B (a) (b)

    19,872   1,513,770
Boralex, Inc. Class A

    24,900   663,164
Boyd Group Services, Inc. (a)

    5,100   773,749
Brookfield Asset Management Ltd. Class A (a)

    90,908   4,302,644
Brookfield Business Corp. Class A

    5,000   129,242
Brookfield Corp.

    333,625   17,738,838
Brookfield Infrastructure Corp. Class A (a)

    26,750   1,162,906
Brookfield Wealth Solutions Ltd.

    1,907   101,565
BSR Real Estate Investment Trust

    5,000   70,099
CAE, Inc. (a) (b)

    75,400   1,417,081
Calian Group Ltd.

    2,800   95,175
Calibre Mining Corp. (b)

    137,000   264,680
Cameco Corp. (a)

    102,800   4,916,472
Canaccord Genuity Group, Inc. (a)

    20,300   135,088
Canada Goose Holdings, Inc. (a) (b)

    10,500   131,663
Canadian Apartment Properties REIT

    18,500   753,037
Canadian Imperial Bank of Commerce (a)

    231,616   14,223,223
Security Description     Shares   Value
Canadian National Railway Co.

    129,900   $15,227,997
Canadian Natural Resources Ltd.

    521,500   17,336,367
Canadian Pacific Kansas City Ltd. (a)

    228,100   19,530,202
Canadian Tire Corp. Ltd. Class A (a)

    12,000   1,439,787
Canadian Utilities Ltd. Class A (a)

    39,900   1,060,594
Canadian Western Bank

    26,200   1,043,966
Canfor Corp. (b)

    11,300   142,447
Capital Power Corp. (a)

    29,900   1,088,259
Capstone Copper Corp. (a) (b)

    131,000   1,024,960
Cardinal Energy Ltd. (a)

    26,000   123,173
Cargojet, Inc. (a)

    1,600   163,618
Cascades, Inc. (a)

    17,800   137,425
CCL Industries, Inc. Class B

    35,400   2,160,502
Celestica, Inc. (b)

    30,100   1,540,482
Cenovus Energy, Inc.

    350,584   5,870,099
Centerra Gold, Inc.

    49,500   355,783
CES Energy Solutions Corp.

    48,000   265,769
CGI, Inc. (b)

    48,900   5,632,938
Choice Properties Real Estate Investment Trust

    34,200   383,024
CI Financial Corp. (a)

    39,363   536,417
Cogeco Communications, Inc. (a)

    2,900   153,485
Colliers International Group, Inc. (a)

    10,200   1,549,687
Computer Modelling Group Ltd. (a)

    17,200   144,760
Constellation Software, Inc.

    4,900   15,959,140
Converge Technology Solutions Corp. (a)

    46,800   160,047
Coveo Solutions, Inc. (b)

    5,600   25,452
Crew Energy, Inc. (b)

    23,200   123,303
Crombie Real Estate Investment Trust

    10,260   120,299
Cronos Group, Inc. (a) (b)

    33,600   74,365
CT Real Estate Investment Trust

    10,200   119,973
Definity Financial Corp. (a)

    18,900   762,603
Denison Mines Corp. (a) (b)

    202,000   367,830
dentalcorp Holdings Ltd. (a) (b)

    16,600   104,814
Descartes Systems Group, Inc. (b)

    20,200   2,080,931
Docebo, Inc. (a) (b)

    3,100   136,947
Dollarama, Inc.

    67,900   6,963,149
Dream Industrial Real Estate Investment Trust

    40,600   433,964
DREAM Unlimited Corp. Class A (a)

    4,365   108,984
Dundee Precious Metals, Inc.

    41,600   421,866
Dye & Durham Ltd. (a)

    16,098   189,346
 
See accompanying notes to Schedule of Investments.
86

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Element Fleet Management Corp. (a)

    96,700   $2,058,619
Emera, Inc.

    69,100   2,725,740
Empire Co. Ltd. Class A (a)

    31,800   972,866
Enbridge, Inc. (a)

    536,800   21,830,410
Endeavour Silver Corp. (b)

    60,000   237,166
Enerflex Ltd. (a)

    28,400   169,439
Enghouse Systems Ltd.

    8,600   214,212
EQB, Inc. (a)

    6,800   524,742
Equinox Gold Corp. (a) (b)

    84,818   517,968
Evertz Technologies Ltd.

    3,400   29,698
Exchange Income Corp. (a)

    4,200   159,861
Extendicare, Inc. (a)

    19,700   138,241
Fairfax Financial Holdings Ltd.

    5,000   6,320,256
Fiera Capital Corp.

    16,100   98,439
Filo Corp. (b)

    22,100   527,246
Finning International, Inc.

    32,800   1,077,754
First Capital Real Estate Investment Trust

    33,700   467,726
First Majestic Silver Corp. (a)

    62,000   372,656
First National Financial Corp. (a)

    3,500   101,947
FirstService Corp. (a)

    9,600   1,755,991
Fission Uranium Corp. (b)

    151,600   115,584
Foran Mining Corp. (b)

    41,000   127,162
Fortis, Inc. (a)

    124,188   5,648,879
Fortuna Mining Corp. (b)

    66,163   308,054
Franco-Nevada Corp.

    47,248   5,874,917
Freehold Royalties Ltd. (a)

    29,100   302,643
GDI Integrated Facility Services, Inc. (a) (b)

    3,100   83,641
George Weston Ltd.

    14,227   2,390,561
Gibson Energy, Inc. (a)

    37,300   613,223
Gildan Activewear, Inc. (a)

    40,400   1,903,745
goeasy Ltd.

    3,900   522,348
Granite Real Estate Investment Trust

    6,800   410,884
Great-West Lifeco, Inc.

    66,200   2,259,998
H&R Real Estate Investment Trust

    29,600   250,656
Hammond Power Solutions, Inc.

    1,800   188,321
Headwater Exploration, Inc. (a)

    49,000   229,594
Hudbay Minerals, Inc.

    116,500   1,072,771
Hydro One Ltd. (d)

    78,000   2,706,717
iA Financial Corp., Inc.

    22,800   1,891,913
IGM Financial, Inc. (a)

    20,700   621,789
Imperial Oil Ltd.

    44,400   3,127,177
Innergex Renewable Energy, Inc. (a)

    38,000   294,504
Intact Financial Corp.

    43,300   8,323,780
Interfor Corp. (a) (b)

    9,800   147,259
International Petroleum Corp. (b)

    20,800   245,883
InterRent Real Estate Investment Trust

    14,568   136,951
Security Description     Shares   Value
Ivanhoe Mines Ltd. Class A (b)

    169,200   $2,519,933
Jamieson Wellness, Inc. (a) (d)

    9,300   241,699
K92 Mining, Inc. (b)

    53,700   312,831
Kelt Exploration Ltd. (a) (b)

    39,900   184,888
Keyera Corp. (a)

    54,300   1,694,978
Killam Apartment Real Estate Investment Trust

    11,000   170,909
Kinaxis, Inc. (b)

    7,200   856,304
Kinross Gold Corp.

    291,000   2,729,168
Knight Therapeutics, Inc. (b)

    26,600   116,761
Labrador Iron Ore Royalty Corp. (a)

    17,300   411,835
Lassonde Industries, Inc. Class A (a)

    400   52,482
Laurentian Bank of Canada (a)

    10,000   201,784
Leon's Furniture Ltd.

    3,900   86,490
Lightspeed Commerce, Inc. (a) (b)

    34,200   564,536
Linamar Corp. (a)

    9,300   434,383
Lithium Americas Argentina Corp. (a) (b)

    20,000   65,583
Lithium Americas Corp. (a) (b)

    44,500   120,230
Loblaw Cos. Ltd.

    36,700   4,892,066
Lundin Gold, Inc.

    24,500   530,460
MAG Silver Corp. (b)

    20,500   288,771
Magna International, Inc. (a)

    64,600   2,652,954
Major Drilling Group International, Inc. (b)

    12,200   75,587
Manulife Financial Corp.

    432,400   12,793,240
Maple Leaf Foods, Inc. (a)

    18,200   298,405
Martinrea International, Inc.

    17,800   150,864
Mattr Corp. (a) (b)

    13,200   138,551
MEG Energy Corp. (a)

    62,600   1,177,443
Methanex Corp. (a)

    15,000   620,452
Metro, Inc.

    52,857   3,344,865
Minto Apartment Real Estate Investment Trust (d)

    6,300   78,765
Morguard Corp.

    1,200   109,709
Morguard North American Residential Real Estate Investment Trust

    5,100   72,747
MTY Food Group, Inc. (a)

    4,300   147,307
Mullen Group Ltd.

    18,900   199,080
National Bank of Canada (a)

    84,400   7,980,500
New Gold, Inc. (b)

    182,800   530,424
NexGen Energy Ltd. (a) (b)

    119,200   778,226
NFI Group, Inc. (b)

    18,500   247,589
NGEx Minerals Ltd. (a) (b)

    41,900   346,130
North American Construction Group Ltd.

    4,900   91,729
North West Co., Inc. (a)

    14,600   554,734
Northland Power, Inc. (a)

    60,569   1,045,986
NorthWest Healthcare Properties Real Estate Investment Trust

    20,400   85,771
 
See accompanying notes to Schedule of Investments.
87

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Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Novagold Resources, Inc. (a) (b)

    45,200   $186,361
Nutrien Ltd. (a)

    120,218   5,783,314
Nuvei Corp. (d)

    13,600   454,021
NuVista Energy Ltd. (a) (b)

    38,100   313,610
Obsidian Energy Ltd. (b)

    16,300   90,613
Onex Corp. (a)

    15,200   1,065,840
Open Text Corp. (a)

    64,400   2,146,111
Orla Mining Ltd. (b)

    72,000   289,929
Osisko Gold Royalties Ltd.

    37,546   696,197
Osisko Mining, Inc. (b)

    84,500   304,612
Pan American Silver Corp.

    86,304   1,804,082
Paramount Resources Ltd. Class A

    23,500   458,363
Parex Resources, Inc. (a)

    29,800   264,703
Parkland Corp. (a)

    31,973   825,033
Pason Systems, Inc.

    15,300   150,967
Patriot Battery Metals, Inc. (a) (b)

    37,500   115,752
Pembina Pipeline Corp.

    145,548   6,006,367
Pet Valu Holdings Ltd. (a)

    7,700   147,337
Peyto Exploration & Development Corp. (a)

    41,500   473,074
Pollard Banknote Ltd. (a)

    1,300   26,290
Power Corp. of Canada (a)

    133,953   4,229,938
PrairieSky Royalty Ltd. (a)

    49,894   1,015,275
Precision Drilling Corp. (a) (b)

    3,300   203,455
Premium Brands Holdings Corp. (a)

    11,400   808,156
Primaris Real Estate Investment Trust

    13,425   162,477
Quebecor, Inc. Class B (a)

    35,300   922,642
RB Global, Inc. (a)

    47,100   3,794,985
Restaurant Brands International, Inc. (a)

    75,946   5,486,191
Richelieu Hardware Ltd.

    15,300   454,147
RioCan Real Estate Investment Trust

    38,600   582,307
Rogers Communications, Inc. Class B (a)

    85,397   3,437,499
Rogers Sugar, Inc.

    17,400   73,286
Royal Bank of Canada

    344,100   42,994,989
Russel Metals, Inc.

    17,100   519,474
Sandstorm Gold Ltd.

    58,000   348,614
Saputo, Inc. (a)

    57,800   1,248,886
Savaria Corp. (a)

    13,700   220,567
Seabridge Gold, Inc. (b)

    25,500   429,231
Secure Energy Services, Inc.

    62,000   561,279
Shopify, Inc. Class A (b)

    295,500   23,699,933
Sienna Senior Living, Inc. (a)

    14,400   179,074
Silvercorp Metals, Inc.

    34,200   149,108
SilverCrest Metals, Inc. (a) (b)

    51,500   478,423
Skeena Resources Ltd. (b)

    29,400   250,051
Slate Grocery REIT Class U,

    5,300   55,160
Sleep Country Canada Holdings, Inc. (d)

    7,500   194,252
Security Description     Shares   Value
SmartCentres Real Estate Investment Trust

    16,600   $326,974
Softchoice Corp.

    5,700   79,069
Spartan Delta Corp. (a) (b)

    54,500   148,862
Spin Master Corp. (a) (d)

    11,700   264,580
Sprott, Inc.

    4,870   211,281
SSR Mining, Inc.

    50,304   285,973
Stantec, Inc.

    27,000   2,173,670
Stelco Holdings, Inc. (a)

    13,400   661,693
Stella-Jones, Inc.

    12,100   795,262
StorageVault Canada, Inc. (a)

    51,900   198,618
Sun Life Financial, Inc.

    143,900   8,356,309
Suncor Energy, Inc.

    308,764   11,409,378
SunOpta, Inc. (b)

    20,000   128,354
Superior Plus Corp. (a)

    46,100   253,884
Surge Energy, Inc. (a)

    29,300   130,781
Tamarack Valley Energy Ltd. (a)

    150,400   435,297
Taseko Mines Ltd. (b)

    72,200   183,312
TC Energy Corp. (a)

    249,810   11,888,142
Teck Resources Ltd. Class B

    116,100   6,070,768
TELUS Corp.

    117,431   1,972,323
TFI International, Inc.

    19,000   2,605,389
Thomson Reuters Corp. (a)

    38,504   6,574,994
Timbercreek Financial Corp. (a)

    17,500   105,444
TMX Group Ltd.

    65,600   2,058,391
Topaz Energy Corp. (a)

    19,800   378,867
Torex Gold Resources, Inc. (b)

    19,700   376,370
Toromont Industries Ltd.

    18,900   1,846,980
Toronto-Dominion Bank (a)

    425,998   26,967,207
Tourmaline Oil Corp. (a)

    83,100   3,863,586
TransAlta Corp.

    61,900   642,391
Transcontinental, Inc. Class A (a)

    13,900   184,894
Trican Well Service Ltd. (a)

    40,500   142,999
Triple Flag Precious Metals Corp.

    20,667   335,029
Trisura Group Ltd. (b)

    10,700   342,080
Veren, Inc. (a)

    139,800   862,011
Vermilion Energy, Inc. (a)

    45,900   448,484
Well Health Technologies Corp. (b)

    42,100   138,053
Wesdome Gold Mines Ltd. (a) (b)

    31,900   299,649
West Fraser Timber Co. Ltd.

    12,900   1,258,250
Westshore Terminals Investment Corp. (a)

    8,200   147,193
Whitecap Resources, Inc. (a)

    139,700   1,044,428
Winpak Ltd.

    6,400   225,074
WSP Global, Inc. (a)

    31,500   5,602,591
          579,456,821
CHILE — 0.2%  
Aguas Andinas SA Class A

    787,060   243,683
Antofagasta PLC

    93,377   2,521,306
Banco de Chile

    10,442,656   1,333,971
 
See accompanying notes to Schedule of Investments.
88

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Banco de Credito e Inversiones SA

    19,569   $610,019
Banco Itau Chile SA

    8,665   100,826
Banco Santander Chile

    15,151,615   788,883
CAP SA (b)

    31,134   209,086
Cencosud SA

    345,997   699,393
Cia Cervecerias Unidas SA

    52,608   310,527
Colbun SA

    2,338,950   317,278
Embotelladora Andina SA Class B, Preference Shares

    111,561   376,467
Empresa Nacional de Telecomunicaciones SA

    36,914   129,460
Empresas CMPC SA

    281,711   490,696
Empresas Copec SA

    85,667   574,357
Enel Americas SA

    5,048,946   516,141
Enel Chile SA

    5,627,525   310,238
Engie Energia Chile SA (b)

    71,134   68,964
Falabella SA (b)

    191,821   711,398
Inversiones Aguas Metropolitanas SA

    105,572   82,656
Latam Airlines Group SA

    41,655,906   536,762
Lundin Mining Corp.

    155,900   1,635,222
Parque Arauco SA

    130,868   230,866
Plaza SA

    94,837   162,868
SMU SA

    1,137,230   184,916
Sociedad Quimica y Minera de Chile SA Class B, Preference Shares

    33,055   1,373,334
Vina Concha y Toro SA

    73,303   90,357
          14,609,674
CHINA — 7.5%  
360 Security Technology, Inc. Class A

    223,600   281,471
361 Degrees International Ltd.

    183,000   100,129
37 Interactive Entertainment Network Technology Group Co. Ltd. Class A

    11,500   29,413
3SBio, Inc. (d)

    367,000   324,595
AAC Technologies Holdings, Inc.

    152,500   626,295
Accelink Technologies Co. Ltd. Class A

    13,200   63,391
ACM Research Shanghai, Inc. Class A

    3,220   48,535
Advanced Micro-Fabrication Equipment, Inc. China Class A

    6,506   152,456
AECC Aero-Engine Control Co. Ltd. Class A

    99,703   312,700
AECC Aviation Power Co. Ltd. Class A

    35,700   210,620
Agricultural Bank of China Ltd. Class A

    1,161,700   796,748
Agricultural Bank of China Ltd. Class H

    6,527,000   3,075,484
Aier Eye Hospital Group Co. Ltd. Class A

    114,544   260,392
Security Description     Shares   Value
AIM Vaccine Co. Ltd. (b)

    49,000   $56,333
Air China Ltd. Class A (b)

    120,700   135,900
Airtac International Group

    30,743   886,934
AK Medical Holdings Ltd. (a) (d)

    142,000   95,977
Akeso, Inc. (a) (b) (d)

    141,000   1,245,266
Alibaba Group Holding Ltd.

    3,796,200   53,760,154
Alibaba Health Information Technology Ltd. (a) (b)

    1,201,500   827,554
A-Living Smart City Services Co. Ltd. (a) (d)

    135,250   60,421
Aluminum Corp. of China Ltd. Class A

    193,400   245,942
Aluminum Corp. of China Ltd. Class H

    862,000   685,827
Amlogic Shanghai Co. Ltd. Class A

    5,435   54,632
ANE Cayman, Inc. (b)

    171,000   182,723
Angel Yeast Co. Ltd. Class A

    28,900   150,392
Angelalign Technology, Inc. (a) (d)

    8,400   81,648
Anhui Conch Cement Co. Ltd. Class A

    41,600   155,376
Anhui Conch Cement Co. Ltd. Class H (a)

    286,500   842,810
Anhui Expressway Co. Ltd. Class H

    114,000   138,547
Anhui Gujing Distillery Co. Ltd. Class A

    6,000   174,051
Anhui Gujing Distillery Co. Ltd. Class B

    20,900   336,875
Anhui Jianghuai Automobile Group Corp. Ltd. Class A

    32,100   115,032
Anhui Kouzi Distillery Co. Ltd. Class A

    23,600   161,691
Anhui Yingjia Distillery Co. Ltd. Class A

    13,900   144,826
Anjoy Foods Group Co. Ltd. Class A

    10,600   150,458
Anker Innovations Technology Co. Ltd. Class A

    10,140   121,501
ANTA Sports Products Ltd.

    350,200   4,258,306
Ascentage Pharma Group International (a) (b) (d)

    52,200   277,213
AsiaInfo Technologies Ltd. (d)

    76,000   56,260
Asymchem Laboratories Tianjin Co. Ltd. Class A

    7,840   93,796
Atour Lifestyle Holdings Ltd. ADR

    15,900   412,446
Autobio Diagnostics Co. Ltd. Class A

    11,000   75,695
Autohome, Inc. ADR

    15,400   502,348
Avary Holding Shenzhen Co. Ltd. Class A

    11,300   57,754
AviChina Industry & Technology Co. Ltd. Class H

    509,000   249,012
Avicopter PLC Class A

    35,500   211,621
 
See accompanying notes to Schedule of Investments.
89

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
BAIC BluePark New Energy Technology Co. Ltd. Class A (b)

    197,500   $227,733
Baidu, Inc. Class A (b)

    575,700   7,826,704
Bairong, Inc. (b) (d)

    139,500   184,982
Bank of Beijing Co. Ltd. Class A

    342,600   285,881
Bank of Chengdu Co. Ltd. Class A

    77,900   175,309
Bank of China Ltd. Class A

    418,700   299,129
Bank of China Ltd. Class H

    18,744,000   8,856,193
Bank of Communications Co. Ltd. Class A

    557,200   589,154
Bank of Communications Co. Ltd. Class H

    2,079,000   1,595,216
Bank of Hangzhou Co. Ltd. Class A

    58,900   118,664
Bank of Jiangsu Co. Ltd. Class A

    156,780   188,172
Bank of Nanjing Co. Ltd. Class A

    176,700   276,463
Bank of Ningbo Co. Ltd. Class A

    72,840   267,478
Bank of Shanghai Co. Ltd. Class A

    271,500   306,078
Baoshan Iron & Steel Co. Ltd. Class A

    340,800   337,944
BeiGene Ltd. (b)

    184,500   3,437,033
Beijing Capital International Airport Co. Ltd. Class H (b)

    326,000   121,712
Beijing Enterprises Holdings Ltd.

    103,000   369,965
Beijing Enterprises Water Group Ltd.

    820,000   255,475
Beijing Jingneng Clean Energy Co. Ltd. Class H

    138,000   36,243
Beijing Kingsoft Office Software, Inc. Class A

    5,556   211,486
Beijing New Building Materials PLC Class A

    10,400   49,008
Beijing Roborock Technology Co. Ltd. Class A

    2,665   105,829
Beijing Tiantan Biological Products Corp. Ltd. Class A

    84,000   301,738
Beijing Tong Ren Tang Chinese Medicine Co. Ltd. (a)

    30,000   35,571
Beijing Tong Ren Tang Co. Ltd. Class A

    22,600   135,820
Beijing Wantai Biological Pharmacy Enterprise Co. Ltd. Class A

    12,292   143,791
Beijing Yanjing Brewery Co. Ltd. Class A

    100,700   161,871
Beijing-Shanghai High Speed Railway Co. Ltd. Class A

    642,500   554,493
Bilibili, Inc. Class Z (b)

    52,280   1,304,392
Bloomage Biotechnology Corp. Ltd. Class A

    18,009   181,411
Security Description     Shares   Value
BOC Aviation Ltd. (d)

    44,500   $368,375
BOC Hong Kong Holdings Ltd.

    873,000   2,798,545
BOE Technology Group Co. Ltd. Class A

    738,800   471,868
BOE Varitronix Ltd.

    80,000   59,015
Bosideng International Holdings Ltd.

    850,000   488,059
Brilliance China Automotive Holdings Ltd.

    660,000   255,758
BYD Co. Ltd. Class A

    22,300   979,191
BYD Co. Ltd. Class H

    261,000   9,536,118
BYD Electronic International Co. Ltd.

    172,500   722,868
By-health Co. Ltd. Class A

    75,700   161,164
C&D International Investment Group Ltd. (a)

    218,044   472,721
Caitong Securities Co. Ltd. Class A

    30,160   37,578
Cambricon Technologies Corp. Ltd. Class A (b)

    7,449   307,767
Canggang Railway Ltd. (a)

    448,000   56,523
CGN Mining Co. Ltd.

    1,135,000   239,640
CGN New Energy Holdings Co. Ltd.

    158,000   52,480
CGN Power Co. Ltd. Class H (d)

    2,791,600   1,078,185
Changchun High-Tech Industry Group Co. Ltd. Class A, NVDR

    6,200   97,350
Changjiang Securities Co. Ltd. Class A

    35,800   36,932
Changzhou Xingyu Automotive Lighting Systems Co. Ltd. Class A

    4,600   97,059
Chaozhou Three-Circle Group Co. Ltd. Class A

    24,900   131,995
Chervon Holdings Ltd. (a)

    18,200   53,657
China BlueChemical Ltd. Class H

    204,000   55,416
China CITIC Bank Corp. Ltd. Class H

    2,107,000   1,345,442
China Coal Energy Co. Ltd. Class H

    427,000   533,235
China Communications Services Corp. Ltd. Class H

    458,000   248,237
China Conch Venture Holdings Ltd.

    351,500   347,088
China Construction Bank Corp. Class A

    243,900   276,357
China Construction Bank Corp. Class H

    22,851,000   17,298,214
China CSSC Holdings Ltd. Class A

    54,200   323,482
China Datang Corp. Renewable Power Co. Ltd. Class H (a)

    556,000   153,182
China East Education Holdings Ltd. (a) (d)

    63,000   24,575
 
See accompanying notes to Schedule of Investments.
90

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
China Eastern Airlines Corp. Ltd. Class A (b)

    269,200   $159,243
China Education Group Holdings Ltd.

    284,495   199,980
China Energy Engineering Corp. Ltd. Class A

    587,300   202,238
China Everbright Bank Co. Ltd. Class A

    708,700   364,545
China Everbright Bank Co. Ltd. Class H

    1,095,300   372,268
China Everbright Environment Group Ltd.

    731,518   353,163
China Everbright Ltd.

    208,000   136,569
China Feihe Ltd. (d)

    849,000   642,693
China Foods Ltd.

    362,000   129,094
China Galaxy Securities Co. Ltd. Class A

    389,900   857,388
China Galaxy Securities Co. Ltd. Class H

    808,800   755,956
China Gas Holdings Ltd.

    618,000   575,235
China Greatwall Technology Group Co. Ltd. Class A (b)

    33,600   49,834
China Hongqiao Group Ltd.

    794,000   1,324,781
China International Capital Corp. Ltd. Class A

    23,600   130,196
China International Capital Corp. Ltd. Class H (a) (d)

    340,000   608,433
China Jinmao Holdings Group Ltd. (a)

    843,394   127,038
China Jushi Co. Ltd. Class A

    25,717   43,213
China Lesso Group Holdings Ltd.

    209,000   106,283
China Life Insurance Co. Ltd. Class A

    28,900   181,692
China Life Insurance Co. Ltd. Class H

    1,756,000   3,531,216
China Lilang Ltd.

    100,000   54,200
China Literature Ltd. (b) (d)

    86,400   360,394
China Longyuan Power Group Corp. Ltd. Class H

    756,000   686,167
China Medical System Holdings Ltd.

    358,000   412,501
China Meidong Auto Holdings Ltd. (a)

    194,000   72,180
China Mengniu Dairy Co. Ltd.

    711,000   1,711,709
China Merchants Bank Co. Ltd. Class A

    281,600   1,513,288
China Merchants Bank Co. Ltd. Class H

    1,005,000   4,987,802
China Merchants Energy Shipping Co. Ltd. Class A

    83,300   95,694
China Merchants Expressway Network & Technology Holdings Co. Ltd. Class A

    279,600   502,978
China Merchants Port Holdings Co. Ltd.

    391,740   624,363
China Merchants Securities Co. Ltd. Class A

    119,000   330,544
Security Description     Shares   Value
China Merchants Shekou Industrial Zone Holdings Co. Ltd. Class A

    82,900   $145,103
China Minsheng Banking Corp. Ltd. Class A

    325,200   186,794
China Minsheng Banking Corp. Ltd. Class H

    1,745,600   712,398
China Modern Dairy Holdings Ltd. (a)

    574,000   72,420
China National Building Material Co. Ltd. Class H (a)

    902,000   397,147
China National Chemical Engineering Co. Ltd. Class A

    71,900   84,653
China National Nuclear Power Co. Ltd. Class A

    302,600   482,092
China National Software & Service Co. Ltd. Class A (b)

    26,370   157,911
China Nonferrous Mining Corp. Ltd.

    285,000   235,191
China Northern Rare Earth Group High-Tech Co. Ltd. Class A

    37,800   111,423
China Oilfield Services Ltd. Class H

    424,000   390,293
China Oriental Group Co. Ltd.

    192,000   33,123
China Overseas Grand Oceans Group Ltd. (a)

    216,135   58,712
China Overseas Land & Investment Ltd.

    867,000   1,776,973
China Overseas Property Holdings Ltd.

    280,000   223,135
China Pacific Insurance Group Co. Ltd. Class A

    90,000   502,811
China Pacific Insurance Group Co. Ltd. Class H

    599,400   2,160,695
China Petroleum & Chemical Corp. Class A

    378,200   376,111
China Petroleum & Chemical Corp. Class H

    5,752,000   3,584,124
China Power International Development Ltd. (a)

    1,100,000   525,394
China Railway Group Ltd. Class A

    272,800   256,092
China Railway Group Ltd. Class H

    1,020,000   535,771
China Railway Signal & Communication Corp. Ltd. Class A

    171,778   154,385
China Rare Earth Resources & Technology Co. Ltd. Class A

    14,100   57,035
China Resources Beer Holdings Co. Ltd. (a)

    470,221   2,058,257
China Resources Building Materials Technology Holdings Ltd.

    430,000   121,790
China Resources Gas Group Ltd.

    233,900   944,032
 
See accompanying notes to Schedule of Investments.
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Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
China Resources Land Ltd.

    867,333   $3,199,110
China Resources Medical Holdings Co. Ltd. (a)

    322,000   179,914
China Resources Microelectronics Ltd. Class A

    31,302   210,882
China Resources Mixc Lifestyle Services Ltd. (d)

    178,800   804,514
China Resources Pharmaceutical Group Ltd. (d)

    326,000   252,238
China Resources Power Holdings Co. Ltd.

    442,055   1,200,819
China Resources Sanjiu Medical & Pharmaceutical Co. Ltd. Class A

    22,490   152,994
China Risun Group Ltd. (a)

    122,000   49,632
China Ruyi Holdings Ltd. (a) (b)

    1,643,200   478,099
China Shenhua Energy Co. Ltd. Class A

    83,500   520,186
China Shenhua Energy Co. Ltd. Class H

    797,000   3,596,376
China Southern Airlines Co. Ltd. Class A (b)

    172,600   161,289
China State Construction Engineering Corp. Ltd. Class A

    539,600   476,482
China State Construction International Holdings Ltd.

    510,750   795,632
China Taiping Insurance Holdings Co. Ltd.

    318,600   512,713
China Three Gorges Renewables Group Co. Ltd. Class A

    396,500   274,771
China Tobacco International HK Co. Ltd.

    93,000   239,459
China Tourism Group Duty Free Corp. Ltd. Class A

    24,300   268,046
China Tower Corp. Ltd. Class H (d)

    9,780,000   1,296,865
China Traditional Chinese Medicine Holdings Co. Ltd. (b)

    1,126,000   634,938
China Travel International Investment Hong Kong Ltd.

    266,000   40,067
China United Network Communications Ltd. Class A

    421,500   322,209
China Vanke Co. Ltd. Class A (b)

    111,100   154,300
China Vanke Co. Ltd. Class H (a) (b)

    500,600   480,138
China Water Affairs Group Ltd.

    126,000   84,838
China XLX Fertiliser Ltd.

    86,000   45,062
China Yangtze Power Co. Ltd. Class A

    363,000   1,558,608
China Zheshang Bank Co. Ltd. Class A

    206,180   86,612
Security Description     Shares   Value
Chinasoft International Ltd. (a)

    636,000   $427,412
Chlitina Holding Ltd.

    15,452   74,705
Chongqing Brewery Co. Ltd. Class A

    7,200   72,148
Chongqing Changan Automobile Co. Ltd. Class A

    119,280   253,604
Chongqing Hongjiu Fruit Co. Ltd. Class H (b)

    71,700   16,062
Chongqing Rural Commercial Bank Co. Ltd. Class A

    188,800   146,753
Chongqing Zhifei Biological Products Co. Ltd. Class A

    30,900   147,377
Chow Tai Fook Jewellery Group Ltd.

    461,000   519,311
CIMC Enric Holdings Ltd.

    78,000   68,987
CITIC Ltd.

    1,320,000   1,560,039
CITIC Securities Co. Ltd. Class A

    150,285   584,077
CITIC Securities Co. Ltd. Class H

    443,275   1,172,746
CITIC Telecom International Holdings Ltd.

    395,000   122,047
Cloud Music, Inc. (b) (d)

    12,700   217,457
CMOC Group Ltd. Class A

    183,600   228,233
CMOC Group Ltd. Class H

    915,000   898,803
CNGR Advanced Material Co. Ltd. Class A

    4,480   25,707
CNOOC Energy Technology & Services Ltd. Class A

    301,000   195,258
CNPC Capital Co. Ltd. Class A

    102,900   108,360
COFCO Joycome Foods Ltd. (a) (b)

    478,000   102,154
Contemporary Amperex Technology Co. Ltd. Class A

    57,920   2,084,612
COSCO SHIPPING Energy Transportation Co. Ltd. Class A

    36,400   82,436
COSCO SHIPPING Energy Transportation Co. Ltd. Class H (a)

    258,000   314,549
COSCO SHIPPING Holdings Co. Ltd. Class A

    120,000   269,366
COSCO SHIPPING Holdings Co. Ltd. Class H

    691,900   1,161,555
COSCO SHIPPING Ports Ltd.

    336,674   205,450
Country Garden Services Holdings Co. Ltd.

    469,000   393,072
CRRC Corp. Ltd. Class A

    331,200   386,632
CRRC Corp. Ltd. Class H

    923,000   603,649
CSC Financial Co. Ltd. Class A

    53,200   204,175
CSG Holding Co. Ltd. Class B

    137,900   46,159
CSPC Innovation Pharmaceutical Co. Ltd. Class A

    11,640   51,392
CSPC Pharmaceutical Group Ltd.

    1,991,280   1,550,981
 
See accompanying notes to Schedule of Investments.
92

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Daqin Railway Co. Ltd. Class A

    189,500   $185,746
Daqo New Energy Corp. ADR (a) (b)

    12,000   244,440
Dong-E-E-Jiao Co. Ltd. Class A

    26,900   237,150
Dongfang Electric Corp. Ltd. Class A

    54,100   122,135
Dongyue Group Ltd.

    444,000   444,143
East Buy Holding Ltd. (a) (b) (d)

    116,000   295,096
East Money Information Co. Ltd. Class A

    205,840   597,051
Eastroc Beverage Group Co. Ltd. Class A

    2,900   112,285
E-Commodities Holdings Ltd.

    236,000   47,094
Ecovacs Robotics Co. Ltd. Class A

    3,400   24,878
Empyrean Technology Co. Ltd. Class A

    4,200   55,817
ENN Energy Holdings Ltd.

    174,700   1,350,593
ENN Natural Gas Co. Ltd. Class A

    24,700   72,632
Eoptolink Technology, Inc. Ltd. Class A

    8,400   155,994
ESR Group Ltd. (d)

    495,000   790,216
Eve Energy Co. Ltd. Class A

    21,906   152,683
Everbright Securities Co. Ltd. Class A

    35,500   97,644
Everdisplay Optronics Shanghai Co. Ltd. Class A (b)

    264,099   95,094
Everest Medicines Ltd. (a) (b) (d)

    30,000   104,860
Far East Horizon Ltd.

    401,000   293,748
FAW Jiefang Group Co. Ltd. Class A

    253,201   335,375
FIH Mobile Ltd. (b)

    297,000   34,413
FinVolution Group ADR

    34,800   215,064
First Tractor Co. Ltd. Class H

    108,000   116,794
Flat Glass Group Co. Ltd. Class A

    16,900   48,826
Focus Media Information Technology Co. Ltd. Class A

    239,900   242,346
Foshan Haitian Flavouring & Food Co. Ltd. Class A

    50,109   344,888
Fosun International Ltd.

    1,139,000   730,250
Founder Securities Co. Ltd. Class A

    100,200   133,721
Foxconn Industrial Internet Co. Ltd. Class A

    192,600   693,219
Fu Shou Yuan International Group Ltd. (a)

    276,000   161,318
Fufeng Group Ltd.

    357,000   221,531
Fuyao Glass Industry Group Co. Ltd. Class A

    35,300   293,551
Fuyao Glass Industry Group Co. Ltd. Class H (d)

    124,000   834,117
Security Description     Shares   Value
GalaxyCore, Inc. Class A

    18,062   $38,015
Ganfeng Lithium Group Co. Ltd. Class A

    22,280   109,734
Gaotu Techedu, Inc. ADR (a) (b)

    49,800   195,216
GCL Technology Holdings Ltd. (a) (b)

    4,685,000   844,416
GD Power Development Co. Ltd. Class A

    239,700   187,345
GDS Holdings Ltd. Class A (b)

    230,800   649,241
Geely Automobile Holdings Ltd.

    1,425,000   2,234,503
GEM Co. Ltd. Class A

    32,900   33,517
Gemdale Properties & Investment Corp. Ltd.

    808,000   34,328
Genertec Universal Medical Group Co. Ltd. (d)

    93,000   60,583
Genscript Biotech Corp. (a) (b)

    256,000   459,432
GF Securities Co. Ltd. Class A

    104,500   249,355
Giant Biogene Holding Co. Ltd. (d)

    67,400   442,102
GigaDevice Semiconductor, Inc. Class A (b)

    6,928   87,478
Ginlong Technologies Co. Ltd. Class A

    3,000   35,664
GoerTek, Inc. Class A

    48,100   155,805
Goldwind Science & Technology Co. Ltd. Class A

    22,900   32,786
Goneo Group Co. Ltd. Class A

    8,120   96,600
Gotion High-tech Co. Ltd. Class A

    8,500   28,055
Great Wall Motor Co. Ltd. Class A

    14,400   62,364
Great Wall Motor Co. Ltd. Class H

    572,500   1,068,716
Gree Electric Appliances, Inc. of Zhuhai Class A

    47,700   326,740
Greentown China Holdings Ltd.

    261,000   307,790
Greentown Management Holdings Co. Ltd. (d)

    153,000   73,078
Greentown Service Group Co. Ltd.

    280,000   168,342
Guangdong Haid Group Co. Ltd. Class A

    22,500   154,380
Guangdong Investment Ltd.

    604,000   406,684
Guanghui Energy Co. Ltd. Class A

    204,300   209,886
Guangzhou Automobile Group Co. Ltd. Class A

    198,200   250,063
Guangzhou Automobile Group Co. Ltd. Class H (a)

    684,800   268,895
Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. Class A

    10,100   44,247
Guangzhou Haige Communications Group, Inc. Co. Class A

    51,100   77,541
 
See accompanying notes to Schedule of Investments.
93

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Guangzhou Tinci Materials Technology Co. Ltd. Class A

    26,860   $71,078
Guosen Securities Co. Ltd. Class A

    90,800   153,482
Guotai Junan Securities Co. Ltd. Class A

    92,200   193,657
H World Group Ltd. ADR

    54,800   2,038,560
Haichang Ocean Park Holdings Ltd. (b) (d)

    486,000   56,312
Haidilao International Holding Ltd. (d)

    359,000   880,919
Haier Smart Home Co. Ltd. Class A

    74,500   342,234
Haier Smart Home Co. Ltd. Class H

    592,400   2,379,515
Hainan Airlines Holding Co. Ltd. Class A (b)

    509,600   93,930
Hainan Airport Infrastructure Co. Ltd. Class A (b)

    139,100   76,122
Hainan Meilan International Airport Co. Ltd. Class H (a) (b)

    25,000   28,420
Haitian International Holdings Ltd.

    158,000   508,529
Haitong Securities Co. Ltd. Class A

    118,500   148,492
Haitong Securities Co. Ltd. Class H (a)

    714,000   333,414
Hangzhou First Applied Material Co. Ltd. Class A

    30,951   78,100
Hangzhou Great Star Industrial Co. Ltd. Class A

    35,000   156,780
Hangzhou Silan Microelectronics Co. Ltd. Class A (b)

    35,900   116,031
Hangzhou Steam Turbine Power Group Co. Ltd. Class B

    176,592   173,693
Hangzhou Tigermed Consulting Co. Ltd. Class A

    7,900   77,875
Hansoh Pharmaceutical Group Co. Ltd. (a) (d)

    306,000   825,323
Harbin Electric Co. Ltd. Class H

    36,000   12,467
Health & Happiness H&H International Holdings Ltd.

    69,000   101,446
Hebei Yangyuan Zhihui Beverage Co. Ltd. Class A

    21,400   70,756
Heilongjiang Agriculture Co. Ltd. Class A

    119,200   253,093
Hello Group, Inc. ADR

    33,300   253,413
Henan Shenhuo Coal Industry & Electricity Power Co. Ltd. Class A

    24,800   71,154
Henan Shuanghui Investment & Development Co. Ltd. Class A

    102,100   395,203
Hengan International Group Co. Ltd.

    154,000   531,342
Security Description     Shares   Value
Hengli Petrochemical Co. Ltd. Class A

    99,100   $221,744
Hengtong Optic-electric Co. Ltd. Class A

    52,500   126,849
Hengyi Petrochemical Co. Ltd. Class A

    291,090   291,562
Hisense Home Appliances Group Co. Ltd. Class H (a)

    112,000   418,153
Hisense Visual Technology Co. Ltd. Class A

    29,100   93,055
Hithink RoyalFlush Information Network Co. Ltd. Class A

    7,100   196,109
Hopson Development Holdings Ltd. (b)

    253,204   157,448
Hoshine Silicon Industry Co. Ltd. Class A

    3,500   30,021
Hua Hong Semiconductor Ltd. (d)

    150,000   403,605
Huadian Power International Corp. Ltd. Class A

    84,700   72,493
Huadong Medicine Co. Ltd. Class A

    20,060   100,291
Huafon Chemical Co. Ltd. Class A

    33,800   40,568
Huaibei Mining Holdings Co. Ltd. Class A

    25,800   66,393
Hualan Biological Engineering, Inc. Class A

    77,160   197,457
Huaneng Lancang River Hydropower, Inc. Class A

    326,400   538,664
Huaneng Power International, Inc. Class A

    155,200   170,975
Huaneng Power International, Inc. Class H

    864,000   530,580
Huangshan Tourism Development Co. Ltd. Class B

    20,400   16,034
Huatai Securities Co. Ltd. Class A

    90,300   227,084
Huatai Securities Co. Ltd. Class H (d)

    360,000   580,264
Huaxia Bank Co. Ltd. Class A

    152,200   161,581
Huayu Automotive Systems Co. Ltd. Class A

    62,800   160,889
Huazhong In-Vehicle Holdings Co. Ltd. (a)

    162,000   8,238
Hubei Jumpcan Pharmaceutical Co. Ltd. Class A

    11,400   51,017
Huizhou Desay Sv Automotive Co. Ltd. Class A

    6,800   116,390
Humanwell Healthcare Group Co. Ltd. Class A

    11,800   35,559
Hunan Valin Steel Co. Ltd. Class A

    44,000   29,549
Hundsun Technologies, Inc. Class A

    19,510   63,754
HUTCHMED China Ltd. (a) (b)

    20,000   82,910
 
See accompanying notes to Schedule of Investments.
94

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
HUTCHMED China Ltd. ADR (a) (b)

    21,100   $412,083
HUYA, Inc. ADR

    25,100   128,010
Hwatsing Technology Co. Ltd. Class A

    3,121   72,185
Hygeia Healthcare Holdings Co. Ltd. (a) (b) (d)

    73,600   224,566
Hygon Information Technology Co. Ltd. Class A

    26,199   386,622
iDreamSky Technology Holdings Ltd. (a) (b) (d)

    134,400   46,718
IEIT Systems Co. Ltd. Class A

    7,900   46,845
Iflytek Co. Ltd. Class A

    35,600   226,053
Imeik Technology Development Co. Ltd. Class A

    2,660   89,545
Industrial & Commercial Bank of China Ltd. Class A

    1,392,400   1,229,527
Industrial & Commercial Bank of China Ltd. Class H

    16,206,000   9,680,829
Industrial Bank Co. Ltd. Class A

    260,900   718,359
Industrial Securities Co. Ltd. Class A

    42,900   41,805
Ingenic Semiconductor Co. Ltd. Class A

    8,200   76,064
Inner Mongolia BaoTou Steel Union Co. Ltd. Class A (b)

    892,200   220,543
Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd. Class A

    219,500   143,957
Inner Mongolia Yili Industrial Group Co. Ltd. Class A

    90,600   376,321
Inner Mongolia Yitai Coal Co. Ltd. Class B

    211,600   453,670
Inner Mongolia Yuan Xing Energy Co. Ltd. Class A

    14,900   14,349
InnoCare Pharma Ltd. (b) (d)

    56,000   48,592
Innovent Biologics, Inc. (b) (d)

    274,000   1,661,461
iQIYI, Inc. ADR (b)

    104,500   298,870
Isoftstone Information Technology Group Co. Ltd. Class A

    8,500   62,572
JA Solar Technology Co. Ltd. Class A

    34,160   66,137
JCET Group Co. Ltd. Class A

    57,900   292,286
JD Health International, Inc. (a) (b) (d)

    240,450   1,083,457
JD Logistics, Inc. (b) (d)

    392,700   707,795
JD.com, Inc. Class A

    600,954   12,928,151
Jiangsu Eastern Shenghong Co. Ltd. Class A

    75,300   99,846
Jiangsu Expressway Co. Ltd. Class H

    224,000   226,956
Jiangsu Hengli Hydraulic Co. Ltd. Class A

    13,468   121,235
Jiangsu Hengrui Pharmaceuticals Co. Ltd. Class A

    78,324   585,305
Security Description     Shares   Value
Jiangsu King's Luck Brewery JSC Ltd. Class A

    19,600   $144,340
Jiangsu Phoenix Publishing & Media Corp. Ltd. Class A

    34,700   59,547
Jiangsu Yanghe Distillery Co. Ltd. Class A

    18,200   257,944
Jiangsu Yangnong Chemical Co. Ltd. Class A

    2,730   24,185
Jiangsu Yuyue Medical Equipment & Supply Co. Ltd. Class A

    72,900   398,736
Jiangsu Zhongtian Technology Co. Ltd. Class A

    24,900   55,111
Jiangxi Copper Co. Ltd. Class A

    32,700   114,052
Jiangxi Copper Co. Ltd. Class H

    230,000   468,439
Jinan Acetate Chemical Co. Ltd.

    15,081   422,696
Jinchuan Group International Resources Co. Ltd.

    832,000   71,766
Jinko Solar Co. Ltd. Class A

    79,291   99,813
JinkoSolar Holding Co. Ltd. ADR (a)

    9,100   244,062
Jinxin Fertility Group Ltd. (d)

    455,500   214,629
Jiumaojiu International Holdings Ltd. (d)

    188,000   119,807
JNBY Design Ltd.

    41,500   86,339
Jointown Pharmaceutical Group Co. Ltd. Class A

    93,913   77,024
JOYY, Inc. ADR (b)

    11,700   424,008
Kangji Medical Holdings Ltd.

    92,000   71,539
Kanzhun Ltd. ADR

    60,900   1,057,224
KE Holdings, Inc. ADR

    167,500   3,334,925
Kerry Logistics Network Ltd.

    101,500   113,163
Keymed Biosciences, Inc. (a) (b) (d)

    36,000   193,267
Kingboard Holdings Ltd.

    162,000   410,866
Kingdee International Software Group Co. Ltd. (b)

    624,000   723,013
Kingsoft Cloud Holdings Ltd. ADR (a) (b)

    32,200   94,668
Kingsoft Corp. Ltd.

    215,400   819,449
Kuaishou Technology (b) (d)

    550,100   3,884,517
Kuang-Chi Technologies Co. Ltd. Class A (b)

    107,500   383,695
Kunlun Energy Co. Ltd.

    1,042,000   1,075,873
Kunlun Tech Co. Ltd. Class A

    14,200   76,188
Kweichow Moutai Co. Ltd. Class A

    18,900   4,720,510
LB Group Co. Ltd. Class A

    11,000   32,645
Lee & Man Paper Manufacturing Ltd.

    156,000   56,033
Legend Holdings Corp. Class H (b) (d)

    129,200   119,262
Lenovo Group Ltd.

    1,902,000   2,595,584
Lens Technology Co. Ltd. Class A

    26,800   78,309
 
See accompanying notes to Schedule of Investments.
95

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Lepu Biopharma Co. Ltd. Class H (a) (b) (d)

    112,000   $57,099
Lepu Medical Technology Beijing Co. Ltd. Class A

    9,700   18,253
Li Auto, Inc. Class A (b)

    313,900   4,368,534
Li Ning Co. Ltd.

    525,000   1,331,509
Lifetech Scientific Corp. (a) (b)

    1,054,000   236,107
Lingyi iTech Guangdong Co. Class A

    50,400   54,082
Linklogis, Inc. Class B (d)

    122,000   29,528
Longfor Group Holdings Ltd. (a) (d)

    450,275   871,855
LONGi Green Energy Technology Co. Ltd. Class A

    86,492   217,013
Lonking Holdings Ltd.

    174,000   37,186
Lufax Holding Ltd. ADR

    45,250   157,923
Luxshare Precision Industry Co. Ltd. Class A

    87,668   544,398
Luye Pharma Group Ltd. (b) (d)

    416,000   179,414
Luzhou Laojiao Co. Ltd. Class A

    18,500   395,712
Mango Excellent Media Co. Ltd. Class A

    9,700   36,479
Maoyan Entertainment (a) (b) (d)

    41,600   46,326
Maxscend Microelectronics Co. Ltd. Class A

    4,000   53,090
Meihua Holdings Group Co. Ltd. Class A

    81,900   127,555
Meitu, Inc. (a) (d)

    814,000   321,723
Meituan Class B (b) (d)

    1,196,310   26,490,547
Metallurgical Corp. of China Ltd. Class A

    364,100   173,761
Microport Scientific Corp. (a) (b)

    220,108   223,296
Midea Group Co. Ltd. Class A

    47,200   512,961
Midea Real Estate Holding Ltd. (d)

    42,400   19,378
Ming Yuan Cloud Group Holdings Ltd.

    94,000   38,120
MINISO Group Holding Ltd. (a)

    81,800   391,229
MINISO Group Holding Ltd. ADR (a)

    21,700   380,618
Minth Group Ltd. (b)

    152,000   313,099
MMG Ltd. (b)

    806,400   287,574
Mobvista, Inc. (b) (d)

    53,000   14,465
Montage Technology Co. Ltd. Class A

    9,953   95,112
Muyuan Foods Co. Ltd. Class A (b)

    66,023   436,874
NARI Technology Co. Ltd. Class A

    92,928   367,402
National Silicon Industry Group Co. Ltd. Class A

    75,121   203,725
NAURA Technology Group Co. Ltd. Class A

    9,800   512,471
Security Description     Shares   Value
Nayuki Holdings Ltd. (a) (b)

    70,000   $17,123
NetDragon Websoft Holdings Ltd.

    53,500   80,310
NetEase, Inc.

    478,700   9,275,101
New China Life Insurance Co. Ltd. Class A

    25,600   169,797
New China Life Insurance Co. Ltd. Class H

    207,600   648,124
New Hope Liuhe Co. Ltd. Class A (b)

    192,400   286,181
New Horizon Health Ltd. (a) (b) (c) (d)

    46,000   41,869
New Oriental Education & Technology Group, Inc.

    360,400   2,876,704
Nexteer Automotive Group Ltd.

    160,000   68,594
Ninestar Corp. Class A (b)

    16,800   72,806
Ningbo Deye Technology Co. Ltd. Class A

    7,560   109,836
Ningbo Joyson Electronic Corp. Class A

    16,900   41,654
Ningbo Orient Wires & Cables Co. Ltd. Class A

    10,600   83,559
Ningbo Tuopu Group Co. Ltd. Class A

    23,925   158,141
Ningxia Baofeng Energy Group Co. Ltd. Class A

    107,000   265,258
NIO, Inc. Class A (b)

    360,700   2,616,729
Noah Holdings Ltd. ADR

    9,000   110,970
Nongfu Spring Co. Ltd. Class H (d)

    461,000   2,029,765
Ocumension Therapeutics (b) (d)

    19,000   15,410
Offshore Oil Engineering Co. Ltd. Class A

    92,400   76,839
OFILM Group Co. Ltd. Class A (b)

    35,200   50,044
Oppein Home Group, Inc. Class A

    6,300   56,261
Orient Securities Co. Ltd. Class A

    104,928   166,568
OSL Group Ltd. (a) (b)

    82,000   68,091
Pangang Group Vanadium Titanium & Resources Co. Ltd. Class A (b)

    780,600   329,031
PDD Holdings, Inc. ADR (b)

    166,200   22,405,422
People's Insurance Co. Group of China Ltd. Class A

    77,000   81,856
People's Insurance Co. Group of China Ltd. Class H

    2,128,000   1,016,399
PetroChina Co. Ltd. Class A

    298,300   384,455
PetroChina Co. Ltd. Class H

    5,112,000   4,172,524
Pharmaron Beijing Co. Ltd. Class A

    10,800   46,835
PICC Property & Casualty Co. Ltd. Class H

    1,627,700   2,414,046
Ping An Bank Co. Ltd. Class A

    278,300   485,528
 
See accompanying notes to Schedule of Investments.
96

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Ping An Healthcare & Technology Co. Ltd. (a) (b) (d)

    129,500   $241,744
Ping An Insurance Group Co. of China Ltd. Class A

    174,590   1,424,181
Ping An Insurance Group Co. of China Ltd. Class H

    1,606,000   10,368,960
Piotech, Inc. Class A

    4,559   93,803
Poly Developments & Holdings Group Co. Ltd. Class A

    136,000   214,338
Poly Property Group Co. Ltd.

    196,120   44,943
Poly Property Services Co. Ltd. Class H (a)

    13,800   61,205
Pop Mart International Group Ltd. (d)

    154,800   1,061,229
Postal Savings Bank of China Co. Ltd. Class A

    334,800   251,627
Postal Savings Bank of China Co. Ltd. Class H (d)

    1,818,000   1,088,342
Power Construction Corp. of China Ltd. Class A

    262,500   211,541
Prosus NV

    339,721   14,885,260
Q Technology Group Co. Ltd. (b)

    47,000   31,827
Qifu Technology, Inc. ADR

    27,500   819,775
Qinghai Salt Lake Industry Co. Ltd. Class A (b)

    92,800   246,100
Radiance Holdings Group Co. Ltd. (a) (b)

    99,000   50,089
Redco Properties Group Ltd. (a) (b) (c) (d)

    108,000   9,246
RLX Technology, Inc. ADR

    263,000   476,030
Rockchip Electronics Co. Ltd. Class A

    5,500   51,066
Rongsheng Petrochemical Co. Ltd. Class A

    157,550   232,994
SAIC Motor Corp. Ltd. Class A

    168,400   352,024
Sailun Group Co. Ltd. Class A

    11,700   26,815
Sanan Optoelectronics Co. Ltd. Class A

    59,300   105,574
Sany Heavy Equipment International Holdings Co. Ltd. (a)

    249,000   186,570
Sany Heavy Industry Co. Ltd. Class A

    99,800   269,227
Sasseur Real Estate Investment Trust

    189,800   106,596
Satellite Chemical Co. Ltd. Class A

    24,680   65,838
SDIC Capital Co. Ltd. Class A

    78,900   91,993
SDIC Power Holdings Co. Ltd. Class A

    88,700   214,822
Seazen Group Ltd. (b)

    491,333   160,668
Seres Group Co. Ltd. Class A (b)

    18,000   232,553
SF Holding Co. Ltd. Class A

    68,300   438,961
SG Micro Corp. Class A

    6,305   85,584
Security Description     Shares   Value
Shaanxi Coal Industry Co. Ltd. Class A

    123,100   $485,108
Shan Xi Hua Yang Group New Energy Co. Ltd. Class A

    39,150   47,381
Shandong Gold Mining Co. Ltd. Class A

    37,600   157,359
Shandong Gold Mining Co. Ltd. Class H (d)

    162,750   366,672
Shandong Hualu Hengsheng Chemical Co. Ltd. Class A

    13,650   51,080
Shandong Linglong Tyre Co. Ltd. Class A

    25,208   72,541
Shandong Nanshan Aluminum Co. Ltd. Class A

    82,200   51,444
Shandong Sun Paper Industry JSC Ltd. Class A

    117,800   253,824
Shandong Weigao Group Medical Polymer Co. Ltd. Class H

    546,000   395,046
Shandong Xinhua Pharmaceutical Co. Ltd. Class H

    66,000   51,322
Shanghai Baosight Software Co. Ltd. Class A

    52,080   245,493
Shanghai Baosight Software Co. Ltd. Class B

    164,756   282,557
Shanghai BOCHU Electronic Technology Corp. Ltd. Class A

    2,709   81,561
Shanghai Chicmax Cosmetic Co. Ltd.

    10,200   60,143
Shanghai Chlor-Alkali Chemical Co. Ltd. Class B

    100,625   57,859
Shanghai Electric Group Co. Ltd. Class A (b)

    55,900   36,102
Shanghai Fosun Pharmaceutical Group Co. Ltd. Class A

    22,400   88,561
Shanghai Industrial Holdings Ltd.

    53,000   82,698
Shanghai International Airport Co. Ltd. Class A

    18,700   102,656
Shanghai International Port Group Co. Ltd. Class A

    192,900   179,156
Shanghai Jinqiao Export Processing Zone Development Co. Ltd. Class B

    85,900   76,451
Shanghai Lingang Holdings Corp. Ltd. Class A

    148,900   243,179
Shanghai M&G Stationery, Inc. Class A

    6,100   30,863
Shanghai Mechanical & Electrical Industry Co. Ltd. Class B

    62,000   63,116
Shanghai MicroPort MedBot Group Co. Ltd. (a) (b)

    53,500   80,861
Shanghai Pharmaceuticals Holding Co. Ltd. Class A

    25,600   77,363
 
See accompanying notes to Schedule of Investments.
97

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Shanghai Pharmaceuticals Holding Co. Ltd. Class H

    142,300   $232,297
Shanghai Pudong Development Bank Co. Ltd. Class A

    432,700   626,299
Shanghai Putailai New Energy Technology Co. Ltd. Class A

    29,232   62,443
Shanghai RAAS Blood Products Co. Ltd. Class A

    455,400   514,051
Shanghai Rural Commercial Bank Co. Ltd. Class A

    234,900   249,378
Shanghai United Imaging Healthcare Co. Ltd. Class A

    10,313   188,617
Shangri-La Asia Ltd.

    388,000   281,728
Shanjin International Gold Co. Ltd. Class C

    35,000   93,068
Shanxi Coal International Energy Group Co. Ltd. Class A

    69,900   139,427
Shanxi Coking Coal Energy Group Co. Ltd. Class A

    129,480   176,867
Shanxi Lu'an Environmental Energy Development Co. Ltd. Class A

    68,800   173,508
Shanxi Xinghuacun Fen Wine Factory Co. Ltd. Class A

    16,860   527,314
Shengyi Technology Co. Ltd. Class A

    55,900   166,454
Shennan Circuits Co. Ltd. Class A

    9,560   151,583
Shenwan Hongyuan Group Co. Ltd. Class A

    224,600   183,566
Shenzhen Capchem Technology Co. Ltd. Class A

    9,000   52,274
Shenzhen Energy Group Co. Ltd. Class A

    52,200   52,135
Shenzhen Inovance Technology Co. Ltd. Class A

    30,750   274,387
Shenzhen International Holdings Ltd.

    269,246   239,522
Shenzhen Investment Ltd.

    724,301   94,180
Shenzhen Mindray Bio-Medical Electronics Co. Ltd. Class A

    15,900   665,657
Shenzhen New Industries Biomedical Engineering Co. Ltd. Class A

    8,600   100,713
Shenzhen Salubris Pharmaceuticals Co. Ltd. Class A

    7,200   35,657
Shenzhen Transsion Holdings Co. Ltd. Class A

    13,645   210,427
Shenzhen YUTO Packaging Technology Co. Ltd. Class A

    28,600   105,105
Shenzhou International Group Holdings Ltd.

    191,300   1,737,524
Shijiazhuang Yiling Pharmaceutical Co. Ltd. Class A

    17,400   44,801
Shoucheng Holdings Ltd.

    712,000   126,496
Security Description     Shares   Value
Shougang Fushan Resources Group Ltd.

    244,000   $92,668
Shui On Land Ltd.

    328,000   34,626
Sichuan Chuantou Energy Co. Ltd. Class A

    76,700   206,582
Sichuan Expressway Co. Ltd. Class H (a)

    20,000   8,394
Sichuan Road & Bridge Group Co. Ltd. Class A

    55,160   55,407
Sieyuan Electric Co. Ltd. Class A

    11,100   117,207
Sihuan Pharmaceutical Holdings Group Ltd.

    463,000   38,745
Silergy Corp.

    77,000   1,138,704
Simcere Pharmaceutical Group Ltd. (a) (d)

    178,000   156,745
Sinopec Engineering Group Co. Ltd. Class H

    563,000   389,950
Sinopec Kantons Holdings Ltd.

    120,000   70,602
Sinopharm Group Co. Ltd. Class H

    307,200   822,628
Sinotruk Hong Kong Ltd.

    174,000   523,064
SITC International Holdings Co. Ltd.

    318,000   859,736
Smoore International Holdings Ltd. (a) (d)

    343,000   569,643
SOHO China Ltd. (b)

    353,000   36,811
Spring Airlines Co. Ltd. Class A

    11,800   104,214
Sun Art Retail Group Ltd.

    1,572,000   362,263
Sunac China Holdings Ltd. (a) (b)

    1,632,000   550,478
Sunac Services Holdings Ltd. (d)

    325,000   94,979
Sungrow Power Supply Co. Ltd. Class A

    23,380   332,661
Sunny Optical Technology Group Co. Ltd.

    157,500   1,165,916
Sunwoda Electronic Co. Ltd. Class A

    18,900   59,303
SUPCON Technology Co. Ltd. Class A

    22,030   158,363
Suzhou Dongshan Precision Manufacturing Co. Ltd. Class A

    11,100   37,335
Suzhou Maxwell Technologies Co. Ltd. Class A

    2,048   30,995
Suzhou TFC Optical Communication Co. Ltd. Class A

    7,980   114,592
SY Holdings Group Ltd.

    92,500   73,476
TAL Education Group ADR (b)

    123,400   1,461,056
TBEA Co. Ltd. Class A

    146,900   307,290
TCL Electronics Holdings Ltd.

    73,000   53,851
TCL Technology Group Corp. Class A

    153,890   100,707
 
See accompanying notes to Schedule of Investments.
98

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
TCL Zhonghuan Renewable Energy Technology Co. Ltd. Class A

    81,375   $120,458
Tencent Holdings Ltd.

    1,577,700   90,305,172
Tencent Music Entertainment Group ADR

    192,200   2,316,010
Theme International Holdings Ltd.

    750,000   47,313
TI Fluid Systems PLC (d)

    90,548   199,917
Tiangong International Co. Ltd.

    104,000   28,117
Tianli International Holdings Ltd.

    430,000   286,759
Tianneng Power International Ltd. (a)

    78,000   79,531
Tianqi Lithium Corp. Class A

    15,200   76,449
Tianshui Huatian Technology Co. Ltd. Class A

    237,400   316,821
Tingyi Cayman Islands Holding Corp.

    480,000   693,350
Tong Ren Tang Technologies Co. Ltd. Class H

    51,000   37,950
Tongcheng Travel Holdings Ltd.

    306,400   787,350
TongFu Microelectronics Co. Ltd. Class A

    89,900   294,030
Tongkun Group Co. Ltd. Class A

    12,700   24,570
Tongling Nonferrous Metals Group Co. Ltd. Class A

    346,900   191,327
Tongwei Co. Ltd. Class A

    46,800   152,664
Topsports International Holdings Ltd. (d)

    463,000   205,645
Towngas Smart Energy Co. Ltd.

    104,722   44,086
TravelSky Technology Ltd. Class H

    209,000   311,045
Trina Solar Co. Ltd. Class A

    19,751   63,272
Trip.com Group Ltd. (b)

    138,200   8,735,912
Triumph New Energy Co. Ltd. Class H (a) (b)

    34,000   19,873
Tsingtao Brewery Co. Ltd. Class A

    9,200   102,994
Tsingtao Brewery Co. Ltd. Class H

    140,000   1,095,848
Tuya, Inc. ADR

    50,200   82,830
Unigroup Guoxin Microelectronics Co. Ltd. Class A

    11,519   102,654
Unisplendour Corp. Ltd. Class A

    53,180   183,430
Up Fintech Holding Ltd. ADR (a) (b)

    21,800   116,412
Vipshop Holdings Ltd. ADR

    86,000   1,352,780
Vnet Group, Inc. ADR (a) (b)

    24,100   98,328
VSTECS Holdings Ltd.

    136,000   81,941
Wanhua Chemical Group Co. Ltd. Class A

    41,400   540,197
Security Description     Shares   Value
Want Want China Holdings Ltd.

    1,098,000   $754,853
Weibo Corp. ADR

    20,110   202,709
Weichai Power Co. Ltd. Class A

    79,100   179,366
Weichai Power Co. Ltd. Class H

    433,000   800,500
Weihai Guangwei Composites Co. Ltd. Class A

    16,320   76,765
Weilong Delicious Global Holdings Ltd.

    220,600   227,203
Weimob, Inc. (a) (b) (d)

    593,000   142,763
Wens Foodstuff Group Co. Ltd. Class A

    85,960   247,367
West China Cement Ltd.

    262,000   38,790
Western Securities Co. Ltd. Class A

    30,800   38,243
Western Superconducting Technologies Co. Ltd. Class A

    6,753   44,791
Wharf Holdings Ltd. (a)

    254,000   725,948
Will Semiconductor Co. Ltd. Shanghai Class A

    10,935   167,494
Wilmar International Ltd.

    438,000   1,144,540
Wingtech Technology Co. Ltd. Class A

    15,500   72,488
Wuhan Guide Infrared Co. Ltd. Class A

    60,642   63,600
Wuliangye Yibin Co. Ltd. Class A

    50,600   1,174,942
WUS Printed Circuit Kunshan Co. Ltd. Class A

    13,640   78,270
WuXi AppTec Co. Ltd. Class A

    28,200   210,977
WuXi AppTec Co. Ltd. Class H (d)

    80,403   565,176
Wuxi Biologics Cayman, Inc. (b) (d)

    844,500   1,902,639
XCMG Construction Machinery Co. Ltd. Class A

    112,400   124,788
XD, Inc. (a) (b)

    57,400   188,439
Xiamen C & D, Inc. Class A

    72,000   105,037
Xiamen Tungsten Co. Ltd. Class A

    14,700   43,940
Xiaomi Corp. Class B (b) (d)

    3,692,600   10,696,299
Xinhua Winshare Publishing & Media Co. Ltd. Class H

    66,000   85,819
Xinjiang Daqo New Energy Co. Ltd. Class A

    21,185   79,308
Xinte Energy Co. Ltd. Class H (a) (b)

    84,800   92,251
Xinyi Energy Holdings Ltd. (a)

    130,000   16,067
Xinyi Glass Holdings Ltd. (a)

    355,849   424,224
Xinyi Solar Holdings Ltd.

    1,067,811   580,130
XPeng, Inc. Class A (a) (b)

    318,900   2,173,898
Xtep International Holdings Ltd.

    289,077   224,786
Yadea Group Holdings Ltd. (a) (d)

    263,870   469,480
 
See accompanying notes to Schedule of Investments.
99

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Yangzijiang Shipbuilding Holdings Ltd.

    614,800   $1,174,930
Yankuang Energy Group Co. Ltd. Class A

    126,815   302,603
Yankuang Energy Group Co. Ltd. Class H (a)

    657,800   929,854
Yanlord Land Group Ltd. (b)

    128,800   60,281
Yantai Jereh Oilfield Services Group Co. Ltd. Class A

    11,700   55,001
Yeahka Ltd. (b)

    28,000   49,746
Yealink Network Technology Corp. Ltd. Class A

    11,760   71,044
YiChang HEC ChangJiang Pharmaceutical Co. Ltd. Class H (b) (d)

    38,800   47,654
Yifeng Pharmacy Chain Co. Ltd. Class A

    11,618   42,364
Yihai International Holding Ltd.

    111,000   230,074
Yihai Kerry Arawana Holdings Co. Ltd. Class A

    10,000   50,710
Yixin Group Ltd. (d)

    141,000   16,156
Yonyou Network Technology Co. Ltd. Class A (b)

    51,830   85,166
Youngor Fashion Co. Ltd. Class A

    208,500   240,715
YTO Express Group Co. Ltd. Class A

    44,600   113,752
Yuexiu Property Co. Ltd.

    397,540   325,504
Yuexiu Transport Infrastructure Ltd.

    208,000   101,490
Yum China Holdings, Inc.

    93,200   4,195,864
Yunnan Aluminium Co. Ltd. Class A

    41,400   87,489
Yunnan Baiyao Group Co. Ltd. Class A

    12,880   112,262
Yunnan Energy New Material Co. Ltd. Class A

    8,000   39,105
Yunnan Yuntianhua Co. Ltd. Class A

    19,100   61,759
Yutong Bus Co. Ltd. Class A

    34,500   129,893
Zai Lab Ltd. (a) (b)

    54,600   133,697
Zai Lab Ltd. ADR (a) (b)

    17,795   429,571
Zangge Mining Co. Ltd. Class A

    16,400   67,370
Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. Class A

    7,300   269,620
Zhaojin Mining Industry Co. Ltd. Class H (a)

    450,500   799,213
Zhejiang Century Huatong Group Co. Ltd. Class A (b)

    140,100   83,476
Zhejiang China Commodities City Group Co. Ltd. Class A

    66,500   91,693
Zhejiang Chint Electrics Co. Ltd. Class A

    34,700   112,747
Zhejiang Dahua Technology Co. Ltd. Class A

    49,600   122,040
Security Description     Shares   Value
Zhejiang Dingli Machinery Co. Ltd. Class A

    8,260   $69,940
Zhejiang Expressway Co. Ltd. Class H

    452,640   317,008
Zhejiang Huahai Pharmaceutical Co. Ltd. Class A

    65,200   182,502
Zhejiang Huayou Cobalt Co. Ltd. Class A

    18,890   79,650
Zhejiang Jingsheng Mechanical & Electrical Co. Ltd. Class A

    20,600   95,338
Zhejiang Juhua Co. Ltd. Class A

    28,100   89,415
Zhejiang Leapmotor Technology Co. Ltd. (a) (b) (d)

    118,400   510,640
Zhejiang NHU Co. Ltd. Class A

    74,948   241,700
Zhejiang Sanhua Intelligent Controls Co. Ltd. Class A

    21,800   74,228
Zhejiang Supor Co. Ltd. Class A

    3,800   31,774
Zhejiang Weiming Environment Protection Co. Ltd. Class A

    23,400   72,721
Zhejiang Zheneng Electric Power Co. Ltd. Class A

    134,200   129,049
Zheshang Securities Co. Ltd. Class A

    21,700   44,680
ZhongAn Online P&C Insurance Co. Ltd. Class H (a) (b) (d)

    166,300   339,558
Zhongji Innolight Co. Ltd. Class A

    13,300   294,291
Zhongjin Gold Corp. Ltd. Class A

    58,800   127,705
Zhongsheng Group Holdings Ltd.

    193,000   358,295
Zhongtai Securities Co. Ltd. Class A

    72,500   75,829
Zhongyu Energy Holdings Ltd. (a) (b)

    146,000   84,959
Zhou Hei Ya International Holdings Co. Ltd. (a) (d)

    202,000   48,891
Zhuzhou CRRC Times Electric Co. Ltd. Class A

    2,088   15,833
Zhuzhou CRRC Times Electric Co. Ltd. Class H

    121,800   481,398
Zijin Mining Group Co. Ltd. Class A

    589,700   1,528,460
Zijin Mining Group Co. Ltd. Class H

    1,252,000   2,846,517
Zoomlion Heavy Industry Science & Technology Co. Ltd. Class A

    87,400   94,660
ZTE Corp. Class A

    55,000   244,797
ZTE Corp. Class H

    150,800   390,226
ZTO Express Cayman, Inc.

    109,200   2,754,075
          604,376,044
 
See accompanying notes to Schedule of Investments.
100

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
COLOMBIA — 0.0% (f)  
Aris Mining Corp. (b)

    58,400   $270,613
Bancolombia SA

    71,291   618,966
Bancolombia SA ADR

    5,003   156,994
Bancolombia SA Preference Shares

    65,472   520,446
Cementos Argos SA

    83,670   150,340
Frontera Energy Corp.

    10,400   60,585
Interconexion Electrica SA ESP

    116,011   474,713
          2,252,657
CYPRUS — 0.0% (f)  
Atalaya Mining PLC

    22,612   122,232
CZECH REPUBLIC — 0.0% (f)  
CEZ AS

    37,093   1,445,534
Colt CZ Group SE

    2,481   70,826
Komercni Banka AS

    17,471   617,060
Moneta Money Bank AS (d)

    76,336   375,700
Philip Morris CR AS

    128   86,678
          2,595,798
DENMARK — 2.0%  
ALK-Abello AS (b)

    31,176   801,862
Alm Brand AS

    216,378   434,408
Ambu AS Class B (b)

    43,148   847,198
AP Moller - Maersk AS Class A

    703   1,141,934
AP Moller - Maersk AS Class B

    1,060   1,786,900
Bavarian Nordic AS (b)

    17,542   607,976
Better Collective AS (a) (b)

    8,665   192,763
Cadeler AS (b)

    77,402   543,809
Carlsberg AS Class B

    22,603   2,699,027
cBrain AS

    6,793   207,466
Cementir Holding NV

    10,780   117,784
Chemometec AS

    4,698   286,825
Coloplast AS Class B

    29,757   3,898,102
D/S Norden AS

    5,060   210,900
Danske Bank AS

    162,742   4,909,426
Demant AS (b)

    23,529   921,504
Dfds AS

    10,740   276,077
DSV AS

    41,090   8,504,667
FLSmidth & Co. AS

    11,386   646,732
Genmab AS (b)

    15,601   3,783,759
GN Store Nord AS (b)

    31,176   698,946
H Lundbeck AS

    75,388   488,704
H Lundbeck AS Class A

    11,647   64,342
ISS AS

    37,175   745,225
Jyske Bank AS

    10,976   856,948
Matas AS

    12,409   231,479
Netcompany Group AS (b) (d)

    10,664   491,411
Nilfisk Holding AS (b)

    3,415   74,747
NKT AS (b)

    12,601   1,193,223
Novo Nordisk AS Class B

    774,992   91,288,825
Novonesis (Novozymes) B Class B

    88,031   6,355,049
Security Description     Shares   Value
NTG Nordic Transport Group AS Class A (b)

    2,507   $108,094
Orsted AS (b) (d)

    44,634   2,974,932
Pandora AS

    19,407   3,203,266
Per Aarsleff Holding AS

    4,610   278,829
Ringkjoebing Landbobank AS

    6,310   997,584
Rockwool AS Class B

    2,209   1,039,763
Royal Unibrew AS (b)

    11,896   1,001,797
Scandinavian Tobacco Group AS Class A (d)

    19,269   296,557
Schouw & Co. AS

    3,570   311,062
Spar Nord Bank AS

    22,983   439,738
Svitzer Group AS (b)

    3,408   142,861
Sydbank AS

    12,969   640,732
Tryg AS

    82,673   1,965,487
Vestas Wind Systems AS (b)

    238,273   5,274,147
Zealand Pharma AS (b)

    15,737   1,915,440
          155,898,307
EGYPT — 0.0% (f)  
Centamin PLC

    246,860   486,754
Commercial International Bank - Egypt (CIB)

    494,266   864,710
Eastern Co. SAE

    280,787   151,148
EFG Holding SAE (b)

    146,048   73,931
E-Finance for Digital & Financial Investments

    84,459   39,834
Talaat Moustafa Group

    131,579   173,532
Telecom Egypt Co.

    60,241   42,119
          1,832,028
FAEROE ISLANDS — 0.0% (f)  
Bakkafrost P

    11,724   676,214
FINLAND — 0.7%  
Cargotec OYJ Class B

    10,055   588,925
Citycon OYJ (a)

    19,217   89,263
Elisa OYJ

    33,680   1,789,968
Finnair OYJ (a) (b)

    20,643   58,806
Fortum OYJ (a)

    106,232   1,754,099
Harvia OYJ

    3,684   193,447
Huhtamaki OYJ

    23,082   898,532
Kalmar OYJ Class B (b)

    10,055   326,950
Kemira OYJ

    29,134   728,986
Kempower OYJ (a) (b)

    5,722   73,567
Kesko OYJ Class B

    64,675   1,383,340
Kojamo OYJ (b)

    32,187   369,641
Kone OYJ Class B

    80,483   4,823,499
Konecranes OYJ

    15,083   1,134,570
Mandatum OYJ

    96,465   478,548
Marimekko OYJ

    8,480   123,601
Metsa Board OYJ Class B (a)

    32,480   228,008
Metso OYJ (a)

    150,807   1,615,759
Neste OYJ (a)

    100,178   1,948,738
Nokia OYJ (e)

    1,297,700   5,683,123
Nokia OYJ (e)

    12,368   53,943
Nokian Renkaat OYJ (a)

    27,502   271,945
Nordea Bank Abp (e)

    681,663   8,042,825
 
See accompanying notes to Schedule of Investments.
101

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Nordea Bank Abp (e)

    78,806   $931,406
Orion OYJ Class B

    25,007   1,373,684
Outokumpu OYJ (a)

    95,888   388,682
Puuilo OYJ

    13,810   148,809
QT Group OYJ (a) (b)

    4,390   456,630
Revenio Group OYJ

    3,977   154,994
Sampo OYJ Class A (e)

    106,896   4,998,725
Sampo OYJ Class A (b) (e)

    12,911   602,312
Stora Enso OYJ Class R (a)

    137,790   1,768,477
TietoEVRY OYJ (a)

    26,003   538,333
Tokmanni Group Corp. (a)

    9,924   122,608
UPM-Kymmene OYJ

    126,384   4,241,400
Valmet OYJ (a)

    35,420   1,136,897
Wartsila OYJ Abp

    119,097   2,671,657
YIT OYJ (a)

    22,823   69,792
          52,264,489
FRANCE — 5.3%  
Abivax SA (b)

    7,813   88,592
Accor SA

    50,598   2,202,327
Aeroports de Paris SA

    7,822   1,006,540
Air France-KLM (b)

    23,525   236,768
Air Liquide SA

    140,247   27,119,123
Airbus SE

    145,202   21,264,559
Alstom SA (b)

    79,754   1,658,692
Altarea SCA REIT

    716   85,982
Alten SA

    6,742   753,194
Amundi SA (d)

    13,976   1,045,840
Antin Infrastructure Partners SA

    8,410   112,256
Arkema SA

    13,481   1,286,388
Aubay

    1,140   56,045
AXA SA

    444,931   17,146,402
Beneteau SACA

    8,515   92,371
BioMerieux

    9,355   1,123,414
BNP Paribas SA

    246,085   16,904,291
Bollore SE

    180,061   1,202,728
Bouygues SA

    44,223   1,483,614
Bureau Veritas SA

    75,415   2,506,491
Capgemini SE

    37,618   8,142,715
Carmila SA REIT

    16,368   326,258
Carrefour SA

    134,634   2,300,455
Casino Guichard Perrachon SA (b)

    26,031   87,156
Cie de Saint-Gobain SA

    108,225   9,870,512
Cie des Alpes

    3,159   50,064
Cie Generale des Etablissements Michelin SCA

    165,238   6,723,731
Coface SA

    21,848   358,193
Covivio SA REIT

    12,379   753,640
Credit Agricole SA

    256,618   3,930,821
Danone SA

    154,899   11,295,657
Dassault Aviation SA

    4,929   1,017,687
Dassault Systemes SE

    162,877   6,476,783
Derichebourg SA

    21,744   128,011
Edenred SE

    59,261   2,250,023
Security Description     Shares   Value
Eiffage SA

    16,892   $1,633,365
Elior Group SA (b) (d)

    27,606   111,962
Elis SA

    52,344   1,094,763
Emeis SA (b)

    17,828   111,920
Engie SA

    454,412   7,868,380
Equasens

    1,458   83,313
Eramet SA

    1,844   145,706
Esker SA

    1,312   387,443
EssilorLuxottica SA

    72,834   17,281,490
Esso SA Francaise

    598   78,486
Etablissements Maurel et Prom SA

    19,383   102,062
Eurazeo SE

    10,839   892,144
Eutelsat Communications SACA (b)

    35,649   158,826
Exclusive Networks SA (b)

    2,970   78,392
Fnac Darty SA

    3,252   112,511
Forvia SE (e)

    28,475   293,262
Forvia SE (a) (e)

    5,581   56,967
Gaztransport Et Technigaz SA

    7,954   1,124,724
Gecina SA REIT

    10,771   1,242,969
Getlink SE

    88,598   1,584,055
Hermes International SCA

    7,618   18,755,568
ICADE REIT

    6,427   190,368
ID Logistics Group SACA (b)

    626   264,787
Imerys SA

    7,600   252,593
Interparfums SA

    4,745   240,158
Ipsen SA

    8,577   1,057,746
IPSOS SA

    8,842   557,055
JCDecaux SE (b)

    14,542   326,215
Kaufman & Broad SA

    1,893   65,810
Kering SA

    18,139   5,199,681
Klepierre SA REIT

    48,584   1,596,301
La Francaise des Jeux SAEM (d)

    26,282   1,083,525
Legrand SA

    64,186   7,399,875
LISI SA

    3,302   97,658
L'Oreal SA

    58,723   26,349,480
LVMH Moet Hennessy Louis Vuitton SE

    66,828   51,350,675
Manitou BF SA

    1,060   22,028
Mercialys SA REIT

    19,512   263,930
Mersen SA

    4,122   130,650
Metropole Television SA

    3,965   53,898
Neoen SA (d)

    16,263   707,863
Nexans SA

    7,272   1,068,055
Nexity SA (b)

    9,699   127,513
Opmobility

    11,639   116,518
Orange SA

    442,116   5,074,862
OVH Groupe SAS (b)

    7,750   58,816
Pernod Ricard SA

    48,557   7,348,442
Peugeot Invest SA

    1,682   143,606
Pierre Et Vacances SA (b)

    161,476   254,104
Planisware SA (b)

    4,180   129,806
Publicis Groupe SA

    55,805   6,116,012
Quadient SA

    11,950   224,325
 
See accompanying notes to Schedule of Investments.
102

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Remy Cointreau SA

    5,208   $405,995
Renault SA

    45,640   1,986,015
Rexel SA

    52,574   1,523,796
Rubis SCA

    22,138   605,819
Safran SA

    83,629   19,702,843
Sartorius Stedim Biotech

    8,088   1,694,747
SCOR SE

    34,669   776,168
SEB SA

    5,623   643,244
Seche Environnement SACA

    2,725   272,191
Societe BIC SA

    5,024   338,665
Societe Generale SA

    171,591   4,280,118
Sodexo SA

    21,007   1,726,715
SOITEC (b)

    6,126   612,588
Sopra Steria Group

    3,480   731,718
SPIE SA

    31,953   1,223,178
Technip Energies NV

    34,572   834,188
Teleperformance SE

    13,450   1,396,011
Television Francaise 1 SA

    9,694   86,281
Thales SA

    22,438   3,569,728
TotalEnergies SE

    522,840   34,135,669
Trigano SA

    1,834   236,205
Ubisoft Entertainment SA (b)

    20,638   232,634
Unibail-Rodamco-Westfield CDI

    34,100   151,404
Unibail-Rodamco-Westfield REIT (b)

    25,457   2,233,128
Valeo SE

    52,276   631,267
Vallourec SACA (b)

    43,266   655,979
Valneva SE (b)

    27,004   80,227
Veolia Environnement SA

    168,681   5,557,331
Verallia SA (d)

    16,702   489,866
Vicat SACA

    3,900   153,647
Vinci SA

    122,789   14,382,211
Virbac SACA

    919   392,824
Vivendi SE

    167,159   1,936,470
Voltalia SA (b)

    7,058   67,743
VusionGroup

    1,723   296,135
Wavestone

    2,248   139,243
Wendel SE

    5,925   607,036
Worldline SA (b) (d)

    55,280   403,364
          427,350,377
GEORGIA — 0.0% (f)  
Bank of Georgia Group PLC

    7,796   384,301
TBC Bank Group PLC

    12,008   426,833
          811,134
GERMANY — 5.1%  
1&1 AG

    6,659   101,518
About You Holding SE (b)

    5,000   18,108
Adesso SE

    472   35,873
adidas AG

    38,989   10,351,905
Adtran Networks SE

    3,390   73,398
AIXTRON SE

    27,546   490,500
Allianz SE

    95,401   31,409,331
Amadeus Fire AG

    2,182   225,258
Aroundtown SA (b)

    196,392   618,755
Security Description     Shares   Value
Atoss Software SE

    1,586   $229,753
Aurubis AG (a)

    7,155   525,835
Auto1 Group SE (b) (d)

    25,067   283,957
BASF SE

    214,294   11,373,390
Bayer AG

    238,261   8,063,759
Bayerische Motoren Werke AG

    77,221   6,823,932
Bayerische Motoren Werke AG Preference Shares

    14,010   1,161,745
BayWa AG (a) (b)

    2,500   35,602
Bechtle AG

    18,495   828,131
Beiersdorf AG

    23,934   3,610,066
Bilfinger SE

    5,632   304,223
Borussia Dortmund GmbH & Co. KGaA (b)

    15,463   63,076
Brenntag SE

    32,252   2,410,935
CANCOM SE

    8,623   270,811
Carl Zeiss Meditec AG

    8,994   714,186
Ceconomy AG (b)

    43,948   159,995
Cewe Stiftung & Co. KGaA

    1,205   142,553
Commerzbank AG

    250,303   4,616,271
CompuGroup Medical SE & Co. KGaA

    5,359   85,049
Continental AG

    26,119   1,694,788
Covestro AG (b) (d)

    44,875   2,801,629
CTS Eventim AG & Co. KGaA

    14,816   1,543,580
CureVac NV (b)

    19,663   60,656
Daimler Truck Holding AG

    131,019   4,917,506
Datagroup SE

    430   20,468
Dermapharm Holding SE

    3,546   138,315
Deutsche Bank AG

    460,357   7,962,586
Deutsche Boerse AG

    45,793   10,768,306
Deutsche Lufthansa AG

    136,030   998,951
Deutsche Pfandbriefbank AG (b) (d)

    26,908   179,283
Deutsche Post AG

    251,701   11,244,866
Deutsche Telekom AG

    851,364   25,074,855
Deutz AG

    27,770   139,405
Douglas AG (b)

    5,310   122,080
Dr. Ing hc F Porsche AG Preference Shares (d)

    27,038   2,157,567
Draegerwerk AG & Co. KGaA Preference Shares

    2,641   138,090
Duerr AG

    11,815   290,886
E.ON SE

    544,290   8,112,561
Eckert & Ziegler SE

    2,965   148,380
Einhell Germany AG Preference Shares

    1,161   75,671
Elmos Semiconductor SE

    2,710   199,919
Encavis AG (b)

    26,086   506,571
Energiekontor AG

    1,621   103,120
Evonik Industries AG

    59,426   1,392,770
Evotec SE (b)

    36,261   260,014
Fielmann Group AG

    5,027   260,322
flatexDEGIRO AG

    25,766   369,660
Formycon AG (b)

    1,736   105,592
Fraport AG Frankfurt Airport Services Worldwide (b)

    7,846   438,264
 
See accompanying notes to Schedule of Investments.
103

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Freenet AG

    27,493   $819,865
Fresenius Medical Care AG

    55,252   2,354,948
Fresenius SE & Co. KGaA (b)

    100,300   3,831,701
FUCHS SE Preference Shares

    17,927   871,924
GEA Group AG

    38,363   1,882,149
Gerresheimer AG

    7,938   708,737
GFT Technologies SE

    2,760   72,079
Grand City Properties SA (b)

    19,669   277,468
Grenke AG

    5,049   134,957
Hamborner REIT AG

    13,775   101,773
Hamburger Hafen und Logistik AG

    4,874   91,168
Hannover Rueck SE

    14,317   4,092,092
Heidelberg Materials AG

    32,422   3,531,615
HelloFresh SE (b)

    32,633   334,919
Henkel AG & Co. KGaA

    27,936   2,380,439
Henkel AG & Co. KGaA Preference Shares

    40,187   3,785,400
Hensoldt AG

    18,541   609,607
Hornbach Holding AG & Co. KGaA

    5,022   494,344
HUGO BOSS AG

    14,058   644,679
Hypoport SE (b)

    1,033   340,561
Infineon Technologies AG

    322,536   11,324,542
IONOS Group SE (b)

    4,158   103,948
Jenoptik AG

    11,318   348,628
JOST Werke SE (d)

    3,047   156,428
Jungheinrich AG Preference Shares

    10,101   305,053
K&S AG

    49,623   637,444
KION Group AG

    16,487   649,715
Kloeckner & Co. SE

    12,637   72,774
Knaus Tabbert AG

    831   28,472
Knorr-Bremse AG

    16,672   1,485,752
Krones AG

    3,013   433,783
Lanxess AG

    21,798   690,419
LEG Immobilien SE

    17,533   1,835,060
MBB SE

    463   51,983
Mercedes-Benz Group AG

    191,914   12,431,336
Merck KGaA

    31,615   5,574,861
METRO AG

    29,607   160,754
Montana Aerospace AG (b) (d)

    12,479   299,567
MTU Aero Engines AG

    12,780   3,993,674
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    32,566   17,965,478
Mutares SE & Co. KGaA

    2,857   66,960
Nagarro SE (b)

    1,607   159,172
Nemetschek SE

    13,712   1,423,205
Nordex SE (b)

    32,951   511,908
Norma Group SE

    5,838   97,472
Northern Data AG (b)

    2,383   67,951
Patrizia SE

    12,942   128,840
Pfeiffer Vacuum Technology AG

    891   153,933
PNE AG (a)

    8,549   113,158
Security Description     Shares   Value
Porsche Automobil Holding SE Preference Shares

    36,357   $1,666,872
ProSiebenSat.1 Media SE

    32,636   211,984
Puma SE

    24,004   1,004,613
Rational AG

    1,163   1,187,639
RENK Group AG (a)

    6,942   171,997
Rheinmetall AG

    10,637   5,774,262
RWE AG

    154,407   5,631,613
SAF-Holland SE

    8,936   166,550
Salzgitter AG

    5,203   95,290
SAP SE

    253,430   57,812,622
Sartorius AG Preference Shares

    7,167   2,017,280
Schaeffler AG Preference Shares

    26,533   137,223
Schott Pharma AG & Co. KGaA

    8,414   287,911
Scout24 SE (d)

    20,917   1,803,357
Secunet Security Networks AG

    245   25,156
SGL Carbon SE (b)

    9,210   55,300
Siemens AG

    183,990   37,236,734
Siemens Energy AG (b)

    155,807   5,750,491
Siemens Healthineers AG (d)

    66,957   4,024,817
Siltronic AG

    4,127   314,816
Sirius Real Estate Ltd. REIT

    359,467   470,599
Sixt SE

    2,955   216,344
Sixt SE Preference Shares

    3,317   193,611
SMA Solar Technology AG

    3,081   62,066
Softwareone Holding AG

    27,577   488,413
Stabilus SE

    5,052   206,925
Steico SE (b)

    1,042   28,666
STO SE & Co. KGaA Preference Shares

    608   82,784
STRATEC SE

    1,583   77,823
Stroeer SE & Co. KGaA

    7,291   467,478
Suedzucker AG

    16,363   205,995
SUSS MicroTec SE

    4,539   348,017
Symrise AG

    31,528   4,366,686
TAG Immobilien AG (b)

    46,868   868,820
Takkt AG

    5,349   57,966
Talanx AG

    14,678   1,238,433
TeamViewer SE (b) (d)

    31,648   403,363
thyssenkrupp AG

    113,230   439,137
Thyssenkrupp Nucera AG & Co. KGaA (b) (d)

    5,380   56,171
TUI AG (b)

    103,851   792,776
United Internet AG

    31,049   640,027
Verbio SE

    4,111   85,659
Volkswagen AG Preference Shares

    50,278   5,339,692
Vonovia SE

    179,333   6,550,734
Vossloh AG

    1,786   97,670
Wacker Chemie AG

    4,947   489,169
Wacker Neuson SE

    5,915   98,097
Wuestenrot & Wuerttembergische AG

    3,780   51,805
 
See accompanying notes to Schedule of Investments.
104

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Zalando SE (b) (d)

    53,237   $1,759,877
          407,448,601
GHANA — 0.0% (f)  
Tullow Oil PLC (a) (b)

    267,762   76,789
GREECE — 0.1%  
Aegean Airlines SA

    8,153   99,454
Alpha Services & Holdings SA

    652,497   1,134,566
Athens International Airport SA

    38,237   326,203
Athens Water Supply & Sewage Co. SA

    4,435   28,411
Autohellas Tourist & Trading SA

    3,851   47,105
Ellaktor SA

    19,657   42,911
Eurobank Ergasias Services & Holdings SA Class A

    597,898   1,373,271
FF Group (b) (c)

    122  
GEK TERNA SA

    12,845   253,168
Hellenic Telecommunications Organization SA

    41,430   716,226
HELLENiQ ENERGY Holdings SA

    20,706   161,416
Holding Co. ADMIE IPTO SA

    31,100   82,087
Intrakat Technical & Energy Projects SA (b)

    10,875   59,472
Intralot SA-Integrated Information Systems & Gaming Services (b)

    61,387   76,869
Jumbo SA

    26,579   762,352
LAMDA Development SA (b)

    12,062   100,829
Metlen Energy & Metals SA

    22,587   891,867
Motor Oil Hellas Corinth Refineries SA

    15,114   358,613
National Bank of Greece SA

    175,576   1,504,125
OPAP SA

    41,301   735,660
Optima bank SA

    13,669   198,014
Piraeus Financial Holdings SA

    240,004   1,024,819
Public Power Corp. SA

    47,658   640,392
Sarantis SA

    9,794   118,925
Terna Energy SA

    12,002   261,333
          10,998,088
GUATEMALA — 0.0% (f)  
Millicom International Cellular SA SDR (b)

    20,103   546,969
GUERNSEY — 0.0% (f)  
Balanced Commercial Property Trust Ltd. REIT

    140,782   179,774
HONG KONG — 1.2%  
AIA Group Ltd.

    2,668,400   23,927,140
Alibaba Pictures Group Ltd. (b)

    1,680,000   110,306
ASMPT Ltd.

    71,900   879,369
Bank of East Asia Ltd.

    227,525   292,919
Cafe de Coral Holdings Ltd.

    166,000   185,929
Canvest Environmental Protection Group Co. Ltd.

    88,000   50,642
Security Description     Shares   Value
China Common Rich Renewable Energy Investments Ltd. (b) (c)

    68,000   $
China Huishan Dairy Holdings Co. Ltd. (b) (c)

    66,000  
China Zhongwang Holdings Ltd. (a) (b) (c)

    231,200  
Citychamp Watch & Jewellery Group Ltd. (b)

    286,000   38,293
CK Asset Holdings Ltd.

    451,181   1,986,532
CK Infrastructure Holdings Ltd.

    216,500   1,482,819
CLP Holdings Ltd.

    390,000   3,456,904
Concord New Energy Group Ltd.

    2,790,000   204,738
Cowell e Holdings, Inc. (a) (b)

    46,000   134,136
Dah Sing Banking Group Ltd.

    110,000   98,706
Dah Sing Financial Holdings Ltd.

    43,600   138,925
Digital China Holdings Ltd.

    68,000   25,913
Fenbi Ltd. (b)

    86,000   36,869
Fortune Real Estate Investment Trust

    345,000   196,318
Futu Holdings Ltd. ADR (b)

    16,100   1,539,965
Grand Pharmaceutical Group Ltd.

    130,000   87,029
Guotai Junan International Holdings Ltd.

    757,000   128,644
Gushengtang Holdings Ltd.

    28,800   167,220
Hang Lung Properties Ltd.

    389,288   380,392
Hang Seng Bank Ltd.

    181,600   2,285,343
Henderson Land Development Co. Ltd.

    350,466   1,118,964
HKBN Ltd.

    114,000   45,497
HKT Trust & HKT Ltd. Stapled Security

    856,000   1,096,518
Hong Kong & China Gas Co. Ltd.

    2,642,101   2,176,948
Hong Kong Exchanges & Clearing Ltd.

    285,961   12,009,073
Hongkong Land Holdings Ltd.

    254,700   934,749
Huabao International Holdings Ltd.

    211,000   71,714
Hutchison Port Holdings Trust Stapled Security

    883,800   133,454
Hutchison Telecommunications Hong Kong Holdings Ltd.

    346,000   43,654
Hysan Development Co. Ltd.

    566,000   979,342
Jardine Matheson Holdings Ltd.

    37,500   1,464,750
Johnson Electric Holdings Ltd.

    88,968   131,949
Kerry Properties Ltd.

    131,500   280,353
Kingboard Laminates Holdings Ltd.

    158,500   152,633
Link REIT

    606,407   3,064,239
LK Technology Holdings Ltd. (a)

    107,500   50,100
Luk Fook Holdings International Ltd. (a)

    83,000   178,876
 
See accompanying notes to Schedule of Investments.
105

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Man Wah Holdings Ltd. (a)

    322,000   $267,798
Melco International Development Ltd. (a) (b)

    139,000   92,518
Melco Resorts & Entertainment Ltd. ADR (b)

    52,930   412,325
MTR Corp. Ltd.

    559,692   2,114,832
New World Development Co. Ltd. (a)

    356,581   443,001
Nine Dragons Paper Holdings Ltd. (b)

    242,000   128,672
NWS Holdings Ltd.

    284,968   294,231
Orient Overseas International Ltd.

    33,000   469,031
Pacific Basin Shipping Ltd.

    1,197,000   380,636
PAX Global Technology Ltd.

    158,000   105,774
PCCW Ltd.

    917,471   504,358
Power Assets Holdings Ltd.

    329,000   2,109,327
Prudential PLC

    712,443   6,637,840
Realord Group Holdings Ltd. (a) (b)

    46,000   31,387
Sanergy Group Ltd. (b)

    38,000   2,373
Sino Biopharmaceutical Ltd.

    2,258,000   1,084,305
Sino Land Co. Ltd.

    923,974   1,014,676
Skyworth Group Ltd.

    136,807   61,997
SmarTone Telecommunications Holdings Ltd.

    38,500   20,520
SSY Group Ltd.

    204,000   112,932
Stella International Holdings Ltd.

    126,500   239,076
Sun Hung Kai Properties Ltd.

    342,000   3,766,733
SUNeVision Holdings Ltd. (a)

    101,000   49,411
Super Hi International Holding Ltd. (a) (b)

    31,000   56,433
Swire Pacific Ltd. Class A

    100,500   859,118
Techtronic Industries Co. Ltd.

    324,500   4,933,820
United Energy Group Ltd. (a)

    1,826,000   90,507
United Laboratories International Holdings Ltd.

    228,000   296,466
Vitasoy International Holdings Ltd.

    190,000   135,269
Viva Goods Company Ltd.

    528,000   39,426
VTech Holdings Ltd.

    59,300   414,546
Wasion Holdings Ltd.

    300,000   248,342
WH Group Ltd. (d)

    1,925,702   1,527,174
Wharf Real Estate Investment Co. Ltd.

    397,000   1,405,536
Yue Yuen Industrial Holdings Ltd.

    191,500   365,865
Yuexiu Real Estate Investment Trust (a)

    571,646   86,842
          92,570,961
HUNGARY — 0.1%  
Magyar Telekom Telecommunications PLC

    65,543   193,395
MOL Hungarian Oil & Gas PLC

    109,480   820,823
OTP Bank Nyrt

    54,239   2,844,149
Security Description     Shares   Value
Richter Gedeon Nyrt

    33,758   $1,042,566
          4,900,933
INDIA — 6.1%  
360 ONE WAM Ltd.

    24,904   308,948
3M India Ltd.

    571   230,536
Aarti Drugs Ltd.

    780   4,777
Aarti Industries Ltd.

    40,656   282,817
Aarti Pharmalabs Ltd.

    7,697   58,480
Aavas Financiers Ltd. (b)

    9,773   211,837
ABB India Ltd.

    12,843   1,234,473
Action Construction Equipment Ltd.

    7,575   125,533
Adani Enterprises Ltd.

    50,947   1,906,441
Adani Green Energy Ltd. (b)

    78,218   1,775,933
Adani Ports & Special Economic Zone Ltd.

    122,187   2,111,558
Adani Power Ltd. (b)

    178,480   1,397,469
Aditya Birla Fashion & Retail Ltd. (b)

    76,383   318,288
Aditya Birla Real Estate Ltd.

    10,983   373,528
Aditya Vision Ltd. (d)

    16,722   99,273
Advanced Enzyme Technologies Ltd.

    14,465   86,806
Aegis Logistics Ltd.

    34,324   312,905
Aether Industries Ltd. (b)

    6,195   68,831
Affle India Ltd. (b)

    11,294   214,071
AGI Greenpac Ltd.

    4,288   49,145
Ahluwalia Contracts India Ltd.

    19,094   261,069
AIA Engineering Ltd.

    9,606   497,074
Ajanta Pharma Ltd.

    10,636   406,345
Akzo Nobel India Ltd.

    1,862   83,845
Alembic Pharmaceuticals Ltd.

    7,522   108,206
Alkyl Amines Chemicals

    4,612   126,209
Allcargo Logistics Ltd.

    42,480   32,975
Alok Industries Ltd. (b)

    359,427   113,788
Amara Raja Energy & Mobility Ltd.

    23,540   400,553
Amber Enterprises India Ltd. (b)

    3,821   219,276
Ambuja Cements Ltd.

    201,569   1,521,486
Anand Rathi Wealth Ltd.

    3,535   165,584
Anant Raj Ltd.

    33,707   283,328
Angel One Ltd.

    10,400   317,915
Anupam Rasayan India Ltd.

    4,390   38,606
Apar Industries Ltd.

    4,746   539,643
APL Apollo Tubes Ltd.

    49,903   943,349
Apollo Hospitals Enterprise Ltd.

    22,702   1,950,270
Apollo Tyres Ltd.

    67,212   439,398
Aptus Value Housing Finance India Ltd.

    27,028   115,335
Archean Chemical Industries Ltd.

    11,740   101,119
Arvind Fashions Ltd.

    8,117   57,404
Arvind Ltd.

    14,620   64,699
Asahi India Glass Ltd.

    8,757   82,495
 
See accompanying notes to Schedule of Investments.
106

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Ashok Leyland Ltd.

    337,408   $947,788
Ashoka Buildcon Ltd. (b)

    35,842   97,781
Asian Paints Ltd.

    101,805   4,044,319
Aster DM Healthcare Ltd. (d)

    58,145   288,015
Astra Microwave Products Ltd.

    18,767   188,227
Astral Ltd.

    31,348   744,242
AstraZeneca Pharma India Ltd.

    1,288   122,497
Atul Ltd.

    3,871   355,226
AU Small Finance Bank Ltd. (d)

    84,209   743,802
AurionPro Solutions Ltd.

    5,145   100,516
Aurobindo Pharma Ltd.

    60,612   1,056,499
Avanti Feeds Ltd.

    15,964   119,728
Avenue Supermarts Ltd. (b) (d)

    37,617   2,287,645
Axis Bank Ltd.

    538,925   7,924,266
Azad Engineering Ltd. (b)

    6,010   104,653
Bajaj Auto Ltd.

    18,767   2,764,833
Bajaj Electricals Ltd.

    14,427   167,380
Bajaj Finance Ltd.

    69,868   6,422,257
Bajaj Finserv Ltd.

    88,597   2,086,333
Bajaj Holdings & Investment Ltd.

    5,484   686,779
Balaji Amines Ltd.

    1,401   38,235
Balkrishna Industries Ltd.

    16,997   618,647
Balrampur Chini Mills Ltd.

    48,159   372,911
Bandhan Bank Ltd. (d)

    178,088   422,347
Bank of Baroda

    273,926   809,998
BASF India Ltd.

    5,048   444,871
Bata India Ltd.

    15,134   260,001
Bayer CropScience Ltd.

    2,859   218,748
BEML Ltd.

    2,700   118,832
Bharat Bijlee Ltd.

    1,572   88,356
Bharat Dynamics Ltd.

    23,134   320,227
Bharat Electronics Ltd.

    862,351   2,933,802
Bharat Forge Ltd.

    57,290   1,036,810
Bharat Heavy Electricals Ltd.

    235,895   787,337
Bharat Petroleum Corp. Ltd.

    357,188   1,576,846
Bharti Airtel Ltd.

    626,188   12,774,269
Bikaji Foods International Ltd.

    20,835   229,157
Biocon Ltd.

    155,067   671,885
Birla Corp. Ltd.

    3,296   49,860
Birlasoft Ltd.

    30,216   217,026
BLS International Services Ltd.

    24,283   106,418
Blue Dart Express Ltd.

    2,241   219,409
Blue Star Ltd.

    27,610   679,927
Bombay Burmah Trading Co.

    6,225   213,010
Borosil Renewables Ltd. (b)

    17,601   103,273
Bosch Ltd.

    2,000   899,244
Brigade Enterprises Ltd.

    24,466   413,712
Britannia Industries Ltd.

    32,006   2,420,714
Brookfield India Real Estate Trust REIT (d)

    45,270   154,045
BSE Ltd.

    14,073   618,775
Campus Activewear Ltd. (b)

    34,776   141,052
Security Description     Shares   Value
Can Fin Homes Ltd.

    16,939   $180,353
Canara Bank

    594,342   789,584
Caplin Point Laboratories Ltd.

    3,390   76,778
Carborundum Universal Ltd.

    26,411   472,239
Castrol India Ltd.

    124,256   364,459
CCL Products India Ltd.

    16,929   142,228
CE Info Systems Ltd.

    4,160   107,724
Ceat Ltd.

    4,931   185,633
Cello World Ltd.

    30,000   327,060
Central Depository Services India Ltd.

    18,610   319,141
Century Plyboards India Ltd.

    8,003   84,904
Cera Sanitaryware Ltd.

    1,151   111,119
CESC Ltd.

    147,320   354,090
CG Power & Industrial Solutions Ltd.

    136,853   1,239,579
Chalet Hotels Ltd. (b)

    20,715   217,492
Chambal Fertilisers & Chemicals Ltd.

    42,504   268,537
Chemplast Sanmar Ltd. (b)

    18,532   113,722
Chennai Petroleum Corp. Ltd.

    14,824   165,299
Cholamandalam Financial Holdings Ltd.

    22,915   558,839
Cholamandalam Investment & Finance Co. Ltd.

    123,156   2,363,149
CIE Automotive India Ltd.

    24,860   165,355
Cipla Ltd.

    121,329   2,394,837
City Union Bank Ltd.

    109,083   213,386
Clean Science & Technology Ltd.

    5,682   106,892
CMS Info Systems Ltd.

    16,368   116,840
Coal India Ltd.

    418,676   2,548,740
Coforge Ltd.

    17,744   1,485,657
Colgate-Palmolive India Ltd.

    40,980   1,860,454
Computer Age Management Services Ltd.

    9,859   518,719
Concord Biotech Ltd.

    8,583   208,176
Container Corp. of India Ltd.

    73,454   804,914
Coromandel International Ltd.

    24,937   498,331
Craftsman Automation Ltd.

    1,513   116,896
CreditAccess Grameen Ltd.

    11,804   168,690
CRISIL Ltd.

    3,874   215,540
Crompton Greaves Consumer Electricals Ltd.

    158,563   787,600
Cummins India Ltd.

    32,069   1,456,496
Cyient Ltd.

    29,605   664,424
Dabur India Ltd.

    155,395   1,159,326
Data Patterns India Ltd.

    3,976   109,870
DCB Bank Ltd.

    61,502   90,065
Deepak Fertilisers & Petrochemicals Corp. Ltd.

    15,052   191,605
Deepak Nitrite Ltd.

    11,783   408,757
Delhivery Ltd. (b)

    141,340   716,809
Devyani International Ltd. (b)

    73,359   171,367
Divi's Laboratories Ltd.

    28,271   1,836,356
Dixon Technologies India Ltd.

    7,085   1,166,974
DLF Ltd.

    164,043   1,752,278
 
See accompanying notes to Schedule of Investments.
107

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Doms Industries Ltd.

    4,257   $137,182
Dr. Lal PathLabs Ltd. (d)

    7,802   307,485
Dr. Reddy's Laboratories Ltd.

    27,551   2,219,696
Easy Trip Planners Ltd.

    119,335   48,445
eClerx Services Ltd.

    5,092   182,778
Edelweiss Financial Services Ltd.

    131,214   222,419
Eicher Motors Ltd.

    32,462   1,947,013
EID Parry India Ltd.

    22,968   235,090
EIH Ltd.

    39,305   177,480
Elecon Engineering Co. Ltd.

    16,652   139,106
Electrosteel Castings Ltd.

    67,672   170,760
Elgi Equipments Ltd.

    42,308   343,154
Emami Ltd.

    51,808   473,684
Embassy Office Parks REIT

    192,648   896,352
eMudhra Ltd.

    10,643   111,763
Endurance Technologies Ltd. (d)

    7,581   217,182
Engineers India Ltd.

    51,740   130,713
Epigral Ltd.

    4,488   122,441
EPL Ltd.

    55,375   171,448
Equinox India Developments Ltd. (b)

    79,569   120,823
Equitas Small Finance Bank Ltd. (d)

    93,926   86,538
Eris Lifesciences Ltd. (b) (d)

    13,798   219,431
ESAB India Ltd.

    1,292   95,307
Exide Industries Ltd.

    109,934   659,266
FDC Ltd. (b)

    14,730   94,838
Federal Bank Ltd.

    416,011   976,618
Fine Organic Industries Ltd.

    2,063   129,103
Fineotex Chemical Ltd.

    22,371   108,209
Finolex Cables Ltd.

    12,388   208,804
Finolex Industries Ltd.

    49,960   166,123
Firstsource Solutions Ltd.

    73,940   274,536
Five-Star Business Finance Ltd. (b)

    21,524   200,404
Force Motors Ltd.

    785   70,084
Fortis Healthcare Ltd.

    107,886   791,882
Fusion Finance Ltd. (b)

    40,000   117,683
G R Infraprojects Ltd. (b)

    4,337   87,619
Gabriel India Ltd.

    10,163   62,529
GAIL India Ltd.

    507,264   1,454,518
GAIL India Ltd. GDR

    2,133   35,834
Galaxy Surfactants Ltd.

    4,286   152,468
Garden Reach Shipbuilders & Engineers Ltd.

    7,578   155,749
Garware Hi-Tech Films Ltd.

    2,686   123,777
Garware Technical Fibres Ltd.

    2,402   116,392
Gateway Distriparks Ltd.

    193,785   211,195
GE T&D India Ltd.

    14,811   297,099
Genus Power Infrastructures Ltd.

    13,587   64,586
GHCL Ltd.

    17,282   140,626
Gillette India Ltd.

    1,538   155,605
Gland Pharma Ltd. (d)

    9,193   197,010
Security Description     Shares   Value
GlaxoSmithKline Pharmaceuticals Ltd.

    13,934   $457,346
Glenmark Pharmaceuticals Ltd.

    29,912   597,339
Global Health Ltd. (b)

    18,187   221,919
GMM Pfaudler Ltd.

    9,623   164,243
GMR Airports Infrastructure Ltd. (b)

    532,807   598,032
GMR Power & Urban Infra Ltd. (b)

    63,291   120,614
Go Digit General Insurance Ltd. (b)

    91,903   413,119
Go Fashion India Ltd. (b)

    5,755   95,142
Godawari Power & Ispat Ltd.

    10,088   133,622
Godfrey Phillips India Ltd.

    2,050   170,691
Godrej Consumer Products Ltd.

    92,887   1,544,473
Godrej Industries Ltd. (b)

    10,074   148,523
Godrej Properties Ltd. (b)

    26,526   1,000,550
Gokaldas Exports Ltd. (b)

    9,033   104,584
Granules India Ltd.

    35,288   235,222
Graphite India Ltd.

    21,792   153,556
Grasim Industries Ltd.

    58,247   1,943,078
Gravita India Ltd.

    7,983   233,680
Great Eastern Shipping Co. Ltd.

    21,188   303,530
Greenpanel Industries Ltd.

    9,124   42,266
Grindwell Norton Ltd.

    8,986   257,942
Gujarat Alkalies & Chemicals Ltd.

    5,525   54,906
Gujarat Ambuja Exports Ltd.

    32,996   50,241
Gujarat Fluorochemicals Ltd.

    6,008   306,350
Gujarat Gas Ltd.

    56,712   418,499
Gujarat Mineral Development Corp. Ltd.

    16,654   71,474
Gujarat Narmada Valley Fertilizers & Chemicals Ltd.

    17,288   139,395
Gujarat Pipavav Port Ltd.

    38,312   100,606
Gujarat State Fertilizers & Chemicals Ltd.

    54,769   142,626
Gujarat State Petronet Ltd.

    68,783   348,876
Gulf Oil Lubricants India Ltd.

    6,360   105,037
Happiest Minds Technologies Ltd.

    62,461   602,538
Happy Forgings Ltd.

    10,380   146,922
Havells India Ltd.

    55,782   1,339,880
HBL Power Systems Ltd.

    36,431   262,556
HCL Technologies Ltd.

    224,096   4,803,017
HDFC Asset Management Co. Ltd. (d)

    21,694   1,112,979
HDFC Bank Ltd.

    1,037,265   21,438,759
HDFC Life Insurance Co. Ltd. (d)

    215,121   1,843,133
HealthCare Global Enterprises Ltd. (b)

    45,794   229,076
HEG Ltd.

    3,776   111,726
HeidelbergCement India Ltd.

    37,912   100,474
 
See accompanying notes to Schedule of Investments.
108

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Hemisphere Properties India Ltd. (b)

    27,192   $64,754
Heritage Foods Ltd.

    15,060   113,443
Hero MotoCorp Ltd.

    28,665   1,953,980
HFCL Ltd.

    142,338   252,043
Hikal Ltd.

    25,641   113,899
Himadri Speciality Chemical Ltd.

    53,420   421,776
Hindalco Industries Ltd.

    307,535   2,775,113
Hinduja Global Solutions Ltd.

    7,000   67,890
Hindustan Aeronautics Ltd.

    46,392   2,447,252
Hindustan Construction Co. Ltd. (b)

    341,621   171,338
Hindustan Copper Ltd.

    78,195   320,893
Hindustan Petroleum Corp. Ltd.

    219,571   1,154,303
Hindustan Unilever Ltd.

    198,498   7,007,254
Hitachi Energy India Ltd.

    2,802   486,340
Home First Finance Co. India Ltd. (d)

    7,472   105,783
Honasa Consumer Ltd. (b)

    41,484   227,119
ICICI Bank Ltd.

    1,144,730   17,389,255
ICICI Bank Ltd. ADR

    61,022   1,821,507
ICICI Lombard General Insurance Co. Ltd. (d)

    55,904   1,450,547
ICICI Prudential Life Insurance Co. Ltd. (d)

    84,256   784,384
ICICI Securities Ltd. (d)

    17,119   178,317
ICRA Ltd.

    1,500   129,551
IDFC First Bank Ltd. (b)

    848,930   753,186
IDFC Ltd.

    302,285   408,656
IFCI Ltd. (b)

    143,583   113,254
IIFL Finance Ltd.

    77,886   430,133
IIFL Securities Ltd.

    29,851   122,911
India Cements Ltd. (b)

    20,093   87,684
IndiaMart InterMesh Ltd. (d)

    6,304   222,051
Indian Energy Exchange Ltd. (d)

    81,444   198,534
Indian Hotels Co. Ltd.

    197,608   1,614,561
Indian Oil Corp. Ltd.

    667,401   1,434,731
Indian Railway Catering & Tourism Corp. Ltd.

    63,341   701,843
Indigo Paints Ltd.

    8,191   142,627
Indraprastha Gas Ltd.

    69,621   464,036
Indus Towers Ltd. (b)

    280,520   1,314,039
IndusInd Bank Ltd.

    61,811   1,067,736
Infibeam Avenues Ltd.

    178,156   59,037
Info Edge India Ltd.

    15,794   1,526,737
Infosys Ltd.

    720,682   16,129,964
Infosys Ltd. ADR (a)

    70,069   1,560,437
Ingersoll Rand India Ltd.

    1,826   90,395
Inox Green Energy Services Ltd. (b)

    40,650   100,910
Inox Wind Energy Ltd. (b)

    704   106,961
Inox Wind Ltd. (b)

    182,254   516,480
Intellect Design Arena Ltd.

    15,544   178,457
InterGlobe Aviation Ltd. (b) (d)

    40,159   2,294,228
Security Description     Shares   Value
ION Exchange India Ltd.

    14,879   $113,357
Ipca Laboratories Ltd.

    33,404   597,157
IRB Infrastructure Developers Ltd.

    304,187   221,639
IRCON International Ltd. (d)

    48,823   132,805
ITC Ltd.

    706,969   4,371,247
J Kumar Infraprojects Ltd.

    9,945   94,126
Jai Balaji Industries Ltd. (b)

    11,726   146,895
Jai Corp. Ltd.

    12,329   54,339
Jaiprakash Associates Ltd. (b)

    283,462   21,648
Jaiprakash Power Ventures Ltd. (b)

    619,202   134,774
Jammu & Kashmir Bank Ltd.

    101,914   130,407
Jamna Auto Industries Ltd.

    45,141   63,428
JB Chemicals & Pharmaceuticals Ltd.

    14,130   316,150
JBM Auto Ltd.

    4,369   93,776
Jindal Saw Ltd.

    22,560   200,103
Jindal Stainless Ltd.

    87,428   824,711
Jindal Steel & Power Ltd.

    83,402   1,034,697
Jio Financial Services Ltd. (b)

    696,992   2,916,011
JK Cement Ltd.

    6,371   353,007
JK Lakshmi Cement Ltd.

    11,934   109,882
JK Paper Ltd.

    22,191   118,898
JK Tyre & Industries Ltd.

    18,272   93,899
JM Financial Ltd.

    51,311   92,230
JSW Energy Ltd.

    92,195   806,474
JSW Steel Ltd.

    145,575   1,789,347
Jubilant Foodworks Ltd.

    91,436   744,025
Jubilant Ingrevia Ltd.

    24,429   226,096
Jubilant Pharmova Ltd.

    16,358   224,636
Jupiter Life Line Hospitals Ltd.

    10,000   168,649
Jupiter Wagons Ltd.

    21,175   129,651
Just Dial Ltd. (b)

    11,761   162,041
Jyothy Labs Ltd.

    61,772   411,316
Kajaria Ceramics Ltd.

    23,178   405,443
Kalpataru Projects International Ltd.

    20,665   337,158
Kalyan Jewellers India Ltd.

    72,353   630,489
Kansai Nerolac Paints Ltd.

    41,371   152,794
Karnataka Bank Ltd.

    32,458   91,714
Karur Vysya Bank Ltd.

    105,611   270,400
Kaveri Seed Co. Ltd.

    10,556   122,627
Kaynes Technology India Ltd. (b)

    5,402   349,755
KEC International Ltd.

    26,603   329,691
KEI Industries Ltd.

    14,064   721,197
Keystone Realtors Ltd. (b)

    10,000   86,520
Kfin Technologies Ltd.

    15,275   186,141
Kirloskar Brothers Ltd.

    9,215   203,849
Kirloskar Ferrous Industries Ltd.

    9,006   71,956
Kirloskar Oil Engines Ltd.

    17,620   258,472
Kirloskar Pneumatic Co. Ltd.

    6,775   107,218
KNR Constructions Ltd.

    18,235   74,799
Kotak Mahindra Bank Ltd.

    276,481   6,116,638
KPI Green Energy Ltd. (d)

    8,918   91,930
 
See accompanying notes to Schedule of Investments.
109

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
KPIT Technologies Ltd.

    36,183   $702,924
KPR Mill Ltd.

    16,718   190,319
KRBL Ltd.

    19,504   70,544
Krishna Institute of Medical Sciences Ltd. (b) (d)

    73,955   491,158
KSB Ltd.

    20,405   218,973
L&T Finance Ltd.

    129,907   288,054
Lakshmi Machine Works Ltd.

    1,452   319,181
Larsen & Toubro Ltd.

    154,808   6,789,929
Larsen & Toubro Ltd. GDR

    4,121   182,972
Latent View Analytics Ltd. (b)

    15,177   85,709
Laurus Labs Ltd. (d)

    85,418   472,544
Laxmi Organic Industries Ltd.

    11,013   37,349
Lemon Tree Hotels Ltd. (b) (d)

    83,296   121,135
LIC Housing Finance Ltd.

    66,219   523,462
Lloyds Engineering Works Ltd.

    266,835   258,266
LT Foods Ltd.

    25,939   123,363
LTIMindtree Ltd. (d)

    25,366   1,890,117
Lupin Ltd.

    52,718   1,378,385
Macrotech Developers Ltd. (d)

    69,034   1,016,877
Magellanic Cloud Ltd.

    50,000   61,037
Mahanagar Gas Ltd.

    7,097   164,330
Maharashtra Seamless Ltd.

    4,344   33,295
Mahindra & Mahindra Financial Services Ltd.

    99,854   403,163
Mahindra & Mahindra Ltd.

    213,678   7,891,434
Mahindra & Mahindra Ltd. GDR

    6,375   233,325
Mahindra Holidays & Resorts India Ltd. (b)

    10,616   49,412
Mahindra Lifespace Developers Ltd.

    26,697   170,709
Mahindra Logistics Ltd. (d)

    18,959   108,786
Manappuram Finance Ltd.

    96,454   231,751
Mankind Pharma Ltd. (b)

    31,924   960,258
Marico Ltd.

    140,640   1,167,060
Marksans Pharma Ltd.

    38,479   136,787
Maruti Suzuki India Ltd.

    32,735   5,171,115
MAS Financial Services Ltd. (d)

    45,000   156,800
Mastek Ltd.

    1,831   56,793
Max Estates Ltd. (b)

    12,723   93,789
Max Financial Services Ltd. (b)

    53,021   753,545
Max Healthcare Institute Ltd.

    179,901   2,116,167
Medplus Health Services Ltd. (b)

    17,531   140,319
Metropolis Healthcare Ltd. (d)

    6,336   165,735
Mindspace Business Parks REIT (d)

    62,000   263,111
Mishra Dhatu Nigam Ltd. (d)

    17,132   82,899
MOIL Ltd.

    18,522   90,144
Moschip Technologies Ltd. (b)

    34,722   99,068
Motherson Sumi Wiring India Ltd.

    307,234   261,108
Motilal Oswal Financial Services Ltd.

    45,896   417,384
Mphasis Ltd.

    34,318   1,232,809
Security Description     Shares   Value
MRF Ltd.

    497   $821,483
Mrs Bectors Food Specialities Ltd.

    6,235   141,833
MTAR Technologies Ltd. (b)

    3,432   71,504
Multi Commodity Exchange of India Ltd.

    5,986   404,320
Muthoot Finance Ltd.

    25,785   625,185
Narayana Hrudayalaya Ltd.

    15,069   224,962
Natco Pharma Ltd.

    23,303   394,866
National Aluminium Co. Ltd.

    208,978   524,407
Nava Ltd.

    15,382   210,976
Navin Fluorine International Ltd.

    7,281   298,999
Nazara Technologies Ltd. (b)

    7,862   92,387
NBCC India Ltd.

    145,338   310,963
NCC Ltd.

    72,749   261,953
Neogen Chemicals Ltd.

    8,049   198,494
NESCO Ltd.

    5,149   57,695
Nestle India Ltd.

    76,204   2,446,085
Netweb Technologies India Ltd.

    3,206   96,399
Neuland Laboratories Ltd.

    2,452   362,422
Newgen Software Technologies Ltd.

    11,820   189,195
NHPC Ltd.

    832,846   943,646
NIIT Learning Systems Ltd.

    10,587   64,052
Nippon Life India Asset Management Ltd. (d)

    29,174   226,826
NLC India Ltd.

    80,208   270,387
NMDC Ltd.

    231,626   676,929
NMDC Steel Ltd. (b)

    233,438   150,284
NOCIL Ltd.

    25,046   86,778
NTPC Ltd.

    1,093,696   5,784,234
Nuvama Wealth Management Ltd.

    1,464   118,083
Nuvoco Vistas Corp. Ltd. (b)

    27,030   115,940
Odigma Consultancy Solutions (b)

    2,002   3,040
Oil & Natural Gas Corp. Ltd.

    727,690   2,584,216
Oil India Ltd.

    114,375   792,492
Olectra Greentech Ltd.

    8,306   164,081
One 97 Communications Ltd. (b)

    84,163   691,271
Oracle Financial Services Software Ltd.

    4,446   607,931
Orchid Pharma Ltd. (b)

    6,192   101,058
Orient Cement Ltd.

    15,432   53,477
Orient Electric Ltd.

    60,256   172,856
Orissa Minerals Development Co. Ltd. (b)

    1,198   132,011
Page Industries Ltd.

    1,452   743,389
Paisalo Digital Ltd.

    80,392   58,336
Paradeep Phosphates Ltd. (d)

    95,134   94,054
Patel Engineering Ltd. (b)

    93,182   63,381
PB Fintech Ltd. (b)

    67,865   1,311,889
PCBL Ltd.

    36,013   248,220
PDS Ltd.

    7,418   45,963
 
See accompanying notes to Schedule of Investments.
110

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Persistent Systems Ltd.

    23,472   $1,526,610
Petronet LNG Ltd.

    222,695   907,641
PG Electroplast Ltd.

    61,890   474,951
Phoenix Mills Ltd.

    44,860   988,003
PI Industries Ltd.

    17,687   982,637
Piccadily Agro Industries Ltd. (b)

    11,123   98,944
Pidilite Industries Ltd.

    35,304   1,415,256
Piramal Enterprises Ltd.

    19,534   257,272
Piramal Pharma Ltd.

    119,525   326,635
PNB Housing Finance Ltd. (b) (d)

    24,718   289,931
PNC Infratech Ltd.

    33,089   176,222
Poly Medicure Ltd.

    5,840   161,312
Polycab India Ltd.

    11,533   957,197
Poonawalla Fincorp Ltd.

    45,161   212,571
Power Finance Corp. Ltd.

    345,438   2,011,796
Power Grid Corp. of India Ltd.

    1,075,962   4,530,400
Power Mech Projects Ltd.

    795   63,656
Praj Industries Ltd.

    25,237   241,510
Prestige Estates Projects Ltd.

    32,450   714,528
Prince Pipes & Fittings Ltd.

    6,821   45,577
Prism Johnson Ltd. (b)

    80,004   195,587
Procter & Gamble Health Ltd.

    2,760   178,694
Protean eGov Technologies Ltd.

    5,427   122,141
Prudent Corporate Advisory Services Ltd.

    3,900   121,124
PTC India Ltd.

    38,684   96,833
PTC Industries Ltd. (b)

    968   163,974
Punjab National Bank

    497,300   636,214
PVR Inox Ltd. (b)

    18,230   361,908
Quess Corp. Ltd. (d)

    16,116   148,975
Radico Khaitan Ltd.

    16,248   396,587
Rail Vikas Nigam Ltd.

    118,327   750,405
Railtel Corp. of India Ltd.

    24,807   136,599
Rain Industries Ltd.

    24,232   52,058
Rainbow Children's Medicare Ltd.

    10,076   168,314
Rajesh Exports Ltd. (b)

    22,883   79,270
Rallis India Ltd.

    37,687   148,632
Ramco Cements Ltd.

    86,307   892,924
Ramkrishna Forgings Ltd.

    19,766   237,979
Rashtriya Chemicals & Fertilizers Ltd.

    31,905   69,048
Rategain Travel Technologies Ltd. (b)

    8,592   75,164
Ratnamani Metals & Tubes Ltd.

    8,015   350,785
RattanIndia Enterprises Ltd. (b)

    74,954   68,236
RattanIndia Power Ltd. (b)

    818,293   149,400
Raymond Lifestyle Ltd. (b)

    7,495   211,690
Raymond Ltd.

    9,369   196,685
RBL Bank Ltd. (d)

    140,013   341,306
REC Ltd.

    304,438   2,014,419
Redington Ltd.

    131,552   289,897
Security Description     Shares   Value
Redtape Ltd. (b)

    12,180   $113,594
Relaxo Footwears Ltd.

    21,337   206,530
Reliance Industries Ltd.

    711,924   25,088,150
Reliance Industries Ltd. GDR (d)

    13,202   918,859
Reliance Infrastructure Ltd. (b)

    43,180   173,197
Reliance Power Ltd. (b)

    554,969   322,248
Religare Enterprises Ltd. (b)

    19,084   66,474
Restaurant Brands Asia Ltd. (b)

    91,563   121,084
Rhi Magnesita India Ltd.

    12,401   89,721
RITES Ltd.

    17,762   73,198
Rolex Rings Ltd. (b)

    3,943   119,916
Rossari Biotech Ltd.

    5,092   55,170
Route Mobile Ltd.

    14,597   272,636
RR Kabel Ltd.

    6,655   137,652
Safari Industries India Ltd.

    6,074   170,407
Sammaan Capital Ltd.

    83,213   161,747
Samvardhana Motherson International Ltd.

    627,217   1,582,165
Sandur Manganese & Iron Ores Ltd.

    16,778   98,764
Sanofi Consumer Healthcare India Ltd. (b)

    1,905   114,696
Sanofi India Ltd.

    1,905   160,237
Sansera Engineering Ltd. (d)

    5,139   102,447
Sapphire Foods India Ltd. (b)

    26,320   112,172
Sarda Energy & Minerals Ltd.

    27,858   147,266
Saregama India Ltd.

    20,856   157,227
SBI Cards & Payment Services Ltd.

    63,641   587,569
SBI Life Insurance Co. Ltd. (d)

    119,392   2,627,155
Schneider Electric Infrastructure Ltd. (b)

    11,065   107,750
Senco Gold Ltd.

    7,782   132,896
Shakti Pumps India Ltd.

    2,092   106,612
Sheela Foam Ltd. (b)

    4,012   44,024
Shilpa Medicare Ltd. (b)

    14,606   141,788
Shipping Corp. of India Ltd.

    34,905   108,775
Shivalik Bimetal Controls Ltd.

    14,472   111,630
Shoppers Stop Ltd. (b)

    5,875   55,342
Shree Cement Ltd.

    2,013   631,969
Shree Renuka Sugars Ltd. (b)

    278,535   181,045
Shriram Finance Ltd.

    74,103   3,162,993
Shyam Metalics & Energy Ltd.

    10,105   109,477
Siemens Ltd.

    20,643   1,785,913
SIS Ltd. (b)

    23,573   117,469
SJVN Ltd.

    167,486   264,836
SKF India Ltd.

    5,041   327,010
Sobha Ltd.

    12,486   289,111
Solar Industries India Ltd.

    7,309   1,005,614
Sona Blw Precision Forgings Ltd. (d)

    96,510   856,139
Sonata Software Ltd.

    34,016   256,151
South Indian Bank Ltd.

    321,753   94,374
Spandana Sphoorty Financial Ltd. (b)

    3,390   23,673
 
See accompanying notes to Schedule of Investments.
111

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
SRF Ltd.

    32,038   $954,951
Star Cement Ltd. (b)

    37,879   90,673
Star Health & Allied Insurance Co. Ltd. (b)

    39,916   289,172
State Bank of India

    402,524   3,784,534
State Bank of India GDR (a)

    1,020   94,962
Sterling & Wilson Renewable (b)

    22,078   162,395
Sterlite Technologies Ltd. (b)

    54,517   81,969
Strides Pharma Science Ltd.

    26,243   438,108
Sula Vineyards Ltd.

    7,633   43,620
Sumitomo Chemical India Ltd.

    23,333   155,031
Sun Pharma Advanced Research Co. Ltd. (b)

    24,610   63,415
Sun Pharmaceutical Industries Ltd.

    222,058   5,105,403
Sun TV Network Ltd.

    29,907   297,317
Sundaram Finance Ltd.

    18,427   1,159,070
Sundram Fasteners Ltd.

    23,040   377,268
Sunteck Realty Ltd.

    14,806   102,580
Suprajit Engineering Ltd.

    9,636   59,632
Supreme Industries Ltd.

    14,164   899,460
Supreme Petrochem Ltd.

    18,536   191,705
Surya Roshni Ltd.

    6,039   51,839
Suven Pharmaceuticals Ltd. (b)

    27,543   385,531
Suzlon Energy Ltd. (b)

    2,207,948   2,109,112
Swan Energy Ltd.

    24,775   170,673
Symphony Ltd.

    3,877   72,646
Syngene International Ltd. (d)

    46,693   500,577
Syrma SGS Technology Ltd.

    11,041   55,968
Tamilnad Mercantile Bank Ltd.

    32,342   181,661
Tanla Platforms Ltd.

    13,455   144,061
TARC Ltd. (b)

    36,546   109,366
Tata Chemicals Ltd.

    31,013   403,792
Tata Communications Ltd.

    25,743   655,776
Tata Consultancy Services Ltd.

    216,533   11,029,324
Tata Consumer Products Ltd.

    138,446   1,977,452
Tata Elxsi Ltd.

    8,660   798,243
Tata Investment Corp. Ltd.

    2,223   180,600
Tata Motors Ltd.

    552,608   6,427,104
Tata Power Co. Ltd.

    339,265   1,953,781
Tata Steel Ltd.

    1,723,820   3,467,130
Tata Steel Ltd. GDR

    1,300   25,805
Tata Teleservices Maharashtra Ltd. (b)

    113,291   114,236
TCI Express Ltd.

    4,120   53,869
TD Power Systems Ltd.

    66,868   334,455
TeamLease Services Ltd. (b)

    3,329   124,311
Tech Mahindra Ltd.

    122,216   2,300,193
Techno Electric & Engineering Co. Ltd.

    10,157   193,980
Tejas Networks Ltd. (b) (d)

    19,541   279,085
Texmaco Rail & Engineering Ltd.

    25,872   64,920
Thermax Ltd.

    12,093   735,988
Security Description     Shares   Value
Tilaknagar Industries Ltd.

    21,753   $77,951
Time Technoplast Ltd.

    63,531   296,650
Timken India Ltd.

    6,375   286,121
Tips Music Ltd.

    33,251   275,586
Titagarh Rail System Ltd.

    18,197   265,318
Titan Co. Ltd.

    83,787   3,823,300
Torrent Pharmaceuticals Ltd.

    24,208   981,175
Torrent Power Ltd.

    42,867   960,657
Transformers & Rectifiers India Ltd.

    20,357   153,586
Transport Corp. of India Ltd.

    11,771   150,380
Trent Ltd.

    42,776   3,866,449
Trident Ltd.

    256,336   112,138
Triveni Engineering & Industries Ltd.

    15,109   85,740
Triveni Turbine Ltd.

    38,900   317,926
TTK Prestige Ltd.

    4,874   50,912
Tube Investments of India Ltd.

    22,658   1,172,372
TV18 Broadcast Ltd. (b)

    322,994   171,708
TVS Holdings Ltd.

    542   92,528
TVS Motor Co. Ltd.

    56,088   1,900,706
Ujjivan Small Finance Bank Ltd. (d)

    112,982   54,508
UltraTech Cement Ltd.

    27,247   3,837,283
Union Bank of India Ltd.

    334,775   490,450
United Spirits Ltd.

    74,892   1,420,871
UNO Minda Ltd.

    42,727   561,689
UPL Ltd.

    99,079   724,933
Usha Martin Ltd.

    27,827   118,711
UTI Asset Management Co. Ltd.

    5,427   80,261
VA Tech Wabag Ltd. (b)

    9,538   171,920
Vaibhav Global Ltd.

    16,144   59,961
Valor Estate Ltd. (b)

    41,667   94,530
Vardhman Textiles Ltd.

    26,270   148,401
Varun Beverages Ltd.

    263,067   1,903,283
Vedant Fashions Ltd.

    35,000   563,959
Vedanta Ltd.

    303,399   1,856,028
Vesuvius India Ltd.

    3,000   197,741
V-Guard Industries Ltd.

    45,228   241,383
Vijaya Diagnostic Centre Pvt Ltd.

    18,972   217,190
Vinati Organics Ltd.

    4,690   116,764
VIP Industries Ltd.

    18,899   121,342
V-Mart Retail Ltd. (b)

    2,562   123,181
Vodafone Idea Ltd. (b)

    6,768,336   836,741
Voltamp Transformers Ltd.

    1,394   219,231
Voltas Ltd.

    54,022   1,189,433
VRL Logistics Ltd. (b)

    5,741   38,638
Waaree Renewable Technologies Ltd.

    6,143   139,579
Welspun Corp. Ltd.

    29,482   269,591
Welspun Enterprises Ltd.

    15,300   101,831
Welspun Living Ltd.

    34,681   67,735
Westlife Foodworld Ltd. (b)

    16,453   185,408
Whirlpool of India Ltd.

    14,536   397,150
Wipro Ltd.

    274,784   1,775,413
 
See accompanying notes to Schedule of Investments.
112

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Wipro Ltd. ADR (a)

    19,054   $123,470
Wockhardt Ltd. (b)

    21,369   249,476
Yes Bank Ltd. (b)

    3,234,637   867,704
Zee Entertainment Enterprises Ltd. (b)

    193,655   318,209
Zen Technologies Ltd.

    9,505   194,668
Zensar Technologies Ltd.

    26,335   212,232
ZF Commercial Vehicle Control Systems India Ltd.

    1,191   225,802
Zomato Ltd. (b)

    1,616,754   5,272,700
Zydus Lifesciences Ltd.

    53,491   682,064
Zydus Wellnes Ltd.

    7,851   188,407
          490,309,894
INDONESIA — 0.5%  
Adaro Energy Indonesia Tbk. PT

    3,539,500   890,720
AKR Corporindo Tbk. PT

    3,026,000   309,795
Amman Mineral Internasional PT (b)

    1,497,700   917,514
Aneka Tambang Tbk. PT

    2,322,500   227,034
Aspirasi Hidup Indonesia Tbk. PT

    1,445,300   87,825
Astra Agro Lestari Tbk. PT

    154,200   67,221
Astra International Tbk. PT

    4,600,200   1,534,413
Bank Aladin Syariah Tbk. PT (b)

    1,000,000   55,812
Bank BTPN Syariah Tbk. PT

    170,800   13,707
Bank Central Asia Tbk. PT

    13,532,200   9,228,531
Bank Jago Tbk. PT (b)

    937,500   188,862
Bank Mandiri Persero Tbk. PT

    9,340,500   4,272,322
Bank Negara Indonesia Persero Tbk. PT

    3,475,300   1,228,062
Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk. PT

    555,000   35,375
Bank Rakyat Indonesia Persero Tbk. PT

    15,529,117   5,077,221
Bank Tabungan Negara Persero Tbk. PT

    1,613,762   154,554
Barito Pacific Tbk. PT

    7,068,357   490,210
BFI Finance Indonesia Tbk. PT

    2,268,000   155,794
Bukit Asam Tbk. PT

    1,497,600   304,664
Bumi Resources Minerals Tbk. PT (b)

    2,386,000   36,247
Bumi Serpong Damai Tbk. PT (b)

    1,332,000   104,695
Chandra Asri Pacific Tbk. PT

    1,807,700   1,011,906
Charoen Pokphand Indonesia Tbk. PT

    1,758,500   545,902
Ciputra Development Tbk. PT

    3,929,100   345,159
Elang Mahkota Teknologi Tbk. PT

    6,595,300   180,347
Erajaya Swasembada Tbk. PT

    1,523,700   45,691
ESSA Industries Indonesia Tbk. PT

    487,400   28,491
First Pacific Co. Ltd.

    530,000   293,402
Security Description     Shares   Value
First Resources Ltd.

    108,800   $124,755
Golden Agri-Resources Ltd.

    1,396,500   305,008
GoTo Gojek Tokopedia Tbk. PT (b)

    170,202,400   741,966
Gudang Garam Tbk. PT (b)

    100,000   105,020
Indah Kiat Pulp & Paper Tbk. PT

    501,700   286,638
Indo Tambangraya Megah Tbk. PT

    115,300   201,623
Indocement Tunggal Prakarsa Tbk. PT

    240,300   107,929
Indofood CBP Sukses Makmur Tbk. PT

    604,300   491,942
Indofood Sukses Makmur Tbk. PT

    1,210,900   563,860
Industri Jamu Dan Farmasi Sido Muncul Tbk. PT

    2,079,505   91,339
Japfa Comfeed Indonesia Tbk. PT (b)

    2,105,200   200,230
Jasa Marga Persero Tbk. PT

    371,675   121,028
Kalbe Farma Tbk. PT

    4,475,800   509,957
Map Aktif Adiperkasa PT

    2,008,200   124,683
MD Entertainment Tbk. PT

    329,600   67,705
Medco Energi Internasional Tbk. PT

    3,023,500   252,624
Medikaloka Hermina Tbk. PT

    1,020,600   102,802
Merdeka Copper Gold Tbk. PT (b)

    2,373,952   426,496
Mitra Adiperkasa Tbk. PT

    2,793,900   324,786
Mitra Keluarga Karyasehat Tbk. PT

    1,000,000   209,379
Nickel Industries Ltd.

    357,995   229,732
Pabrik Kertas Tjiwi Kimia Tbk. PT

    133,200   66,424
Pacific Strategic Financial Tbk. PT (b)

    2,687,400   183,716
Pakuwon Jati Tbk. PT

    1,357,000   46,159
Perusahaan Gas Negara Tbk. PT

    2,224,000   210,795
Sarana Menara Nusantara Tbk. PT

    5,005,800   282,692
Semen Indonesia Persero Tbk. PT

    750,265   187,814
Sumber Alfaria Trijaya Tbk. PT

    3,689,700   770,109
Summarecon Agung Tbk. PT

    988,789   45,390
Surya Citra Media Tbk. PT

    2,556,000   20,597
Telkom Indonesia Persero Tbk. PT

    11,339,300   2,239,399
Transcoal Pacific Tbk. PT

    285,500   131,530
Unilever Indonesia Tbk. PT

    2,067,100   301,737
United Tractors Tbk. PT

    384,200   688,972
Vale Indonesia Tbk. PT (b)

    926,800   249,759
Waskita Karya Persero Tbk. PT (b) (c)

    3,149,800   21,013
XL Axiata Tbk. PT

    848,800   128,385
          38,995,469
 
See accompanying notes to Schedule of Investments.
113

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Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
IRELAND — 0.3%  
AerCap Holdings NV

    50,523   $4,785,538
AIB Group PLC

    435,056   2,498,126
Bank of Ireland Group PLC

    243,821   2,729,328
C&C Group PLC

    84,628   184,804
Cairn Homes PLC

    135,857   298,091
COSMO Pharmaceuticals NV

    2,102   187,138
Dalata Hotel Group PLC

    57,861   264,761
Glanbia PLC

    45,690   806,189
Glenveagh Properties PLC (b) (d)

    124,876   216,299
Greencore Group PLC (b)

    207,029   510,965
Irish Residential Properties REIT PLC (a)

    89,200   89,497
Kerry Group PLC Class A

    36,286   3,772,295
Keywords Studios PLC

    17,386   568,092
Kingspan Group PLC

    45,977   4,328,221
Uniphar PLC (a)

    37,380   108,467
          21,347,811
ISRAEL — 0.6%  
AFI Properties Ltd. (b)

      19
Africa Israel Residences Ltd.

    2,183   142,317
Airport City Ltd. (b)

    13,375   201,145
Alony Hetz Properties & Investments Ltd.

    31,251   239,862
Amot Investments Ltd.

    73,272   316,947
Ashtrom Group Ltd. (b)

    18,095   251,794
Aura Investments Ltd.

    43,512   203,540
Azorim-Investment Development & Construction Co. Ltd. (b)

    27,782   130,705
Azrieli Group Ltd.

    8,990   626,934
Bank Hapoalim BM

    357,936   3,588,309
Bank Leumi Le-Israel BM

    361,939   3,545,731
Bezeq The Israeli Telecommunication Corp. Ltd.

    419,919   483,849
Big Shopping Centers Ltd. (b)

    3,970   442,819
Blue Square Real Estate Ltd.

    992   77,686
Camtek Ltd.

    5,820   469,080
Cellcom Israel Ltd. (b)

    30,780   138,190
Check Point Software Technologies Ltd. (b)

    21,310   4,108,781
Clal Insurance Enterprises Holdings Ltd. (b)

    14,033   238,769
Danel Adir Yeoshua Ltd.

    1,347   123,485
Danya Cebus Ltd.

    1,393   32,169
Delek Automotive Systems Ltd.

    3,157   18,195
Delek Group Ltd.

    2,681   314,250
Delta Galil Ltd.

    2,065   93,543
Elbit Systems Ltd.

    5,385   1,072,454
Elco Ltd.

    2,531   75,392
Electra Consumer Products 1970 Ltd. (b)

    2,139   41,863
Electra Ltd.

    418   166,876
Security Description     Shares   Value
Electra Real Estate Ltd.

    7,672   $88,586
Energean PLC

    35,843   433,663
Energix-Renewable Energies Ltd.

    56,033   203,061
Enlight Renewable Energy Ltd. (b)

    25,800   433,772
Equital Ltd. (b)

    3,782   127,602
Fattal Holdings 1998 Ltd. (b)

    1,483   169,961
FIBI Holdings Ltd.

    4,162   183,165
First International Bank of Israel Ltd.

    11,168   462,669
Formula Systems 1985 Ltd.

    1,777   142,506
Fox Wizel Ltd.

    1,835   138,869
G City Ltd.

    12,106   44,588
Global-e Online Ltd. (b)

    22,800   876,432
Harel Insurance Investments & Financial Services Ltd.

    26,038   253,331
Hilan Ltd.

    2,662   139,981
ICL Group Ltd.

    178,472   761,926
Isracard Ltd.

    49,413   182,392
Israel Canada TR Ltd.

    83,548   308,389
Israel Corp. Ltd.

    754   164,393
Israel Discount Bank Ltd. Class A

    268,556   1,505,334
Isras Holdings Ltd. (b)

    1,074   98,516
Isras Investment Co. Ltd.

    573   113,993
Ituran Location & Control Ltd.

    6,200   164,548
Kornit Digital Ltd. (b)

    10,500   271,268
Kvutzat Acro Ltd.

    16,671   201,682
M Yochananof & Sons Ltd.

    756   45,547
Magic Software Enterprises Ltd.

    4,827   57,565
Matrix IT Ltd.

    6,184   118,453
Maytronics Ltd.

    9,751   21,942
Mega Or Holdings Ltd. REIT

    5,861   150,476
Melisron Ltd.

    4,921   373,206
Menora Mivtachim Holdings Ltd.

    4,497   131,536
Migdal Insurance & Financial Holdings Ltd.

    75,361   102,961
Mivne Real Estate KD Ltd.

    129,858   333,050
Mizrahi Tefahot Bank Ltd.

    39,044   1,527,247
Nano Dimension Ltd. ADR (a) (b)

    63,800   156,310
Nayax Ltd. (b)

    1,322   34,468
Next Vision Stabilized Systems Ltd.

    5,481   58,204
Nice Ltd. (b)

    14,201   2,476,976
Nova Ltd. (b)

    6,178   1,293,665
Oddity Tech Ltd. Class A (b)

    8,400   339,192
Oil Refineries Ltd.

    524,773   135,577
One Software Technologies Ltd.

    18,972   256,500
OPC Energy Ltd. (b)

    20,175   163,583
OY Nofar Energy Ltd. (b)

    2,491   58,409
Partner Communications Co. Ltd. (b)

    24,825   107,183
 
See accompanying notes to Schedule of Investments.
114

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Paz Oil Co. Ltd.

    1,806   $190,276
Perion Network Ltd. (b)

    9,416   74,878
Phoenix Financial Ltd.

    40,232   454,269
Plus500 Ltd.

    17,814   598,326
Prashkovsky Investments & Construction Ltd.

    1,044   25,434
Radware Ltd. (b)

    9,900   220,572
Rami Levy Chain Stores Hashikma Marketing 2006 Ltd.

    1,480   82,759
Reit 1 Ltd.

    33,086   134,578
Retailors Ltd.

    3,964   70,345
Sapiens International Corp. NV

    5,908   219,503
Sella Capital Real Estate Ltd. REIT

    33,394   65,617
Shapir Engineering & Industry Ltd. (b)

    29,728   171,030
Shikun & Binui Ltd. (b)

    65,885   159,076
Shufersal Ltd.

    79,708   709,287
SimilarWeb Ltd. (b)

    5,700   50,388
Strauss Group Ltd.

    10,127   161,446
Summit Real Estate Holdings Ltd. REIT

    17,675   264,671
Tadiran Group Ltd.

    1,085   58,309
Tel Aviv Stock Exchange Ltd.

    19,698   186,405
Teva Pharmaceutical Industries Ltd. (b)

    25,290   450,701
Teva Pharmaceutical Industries Ltd. ADR (b)

    239,053   4,307,735
Tower Semiconductor Ltd. (b)

    37,207   1,647,443
Wix.com Ltd. (b)

    13,800   2,306,946
YH Dimri Construction & Development Ltd.

    2,050   182,972
ZIM Integrated Shipping Services Ltd. (a)

    32,800   841,648
          46,191,995
ITALY — 1.6%  
A2A SpA

    360,010   833,311
ACEA SpA (a)

    9,789   192,062
AMCO - Asset Management Co. SpA Class B (a) (b) (c)

    403  
Amplifon SpA

    28,118   809,946
Anima Holding SpA (d)

    38,797   235,982
Ariston Holding NV

    18,227   89,058
Arnoldo Mondadori Editore SpA

    41,346   112,361
Ascopiave SpA

    16,517   53,182
Azimut Holding SpA

    24,613   636,739
Banca Generali SpA

    12,619   566,718
Banca IFIS SpA

    5,425   132,595
Banca Monte dei Paschi di Siena SpA

    210,864   1,219,505
Banca Popolare di Sondrio SpA

    95,663   734,007
Banco BPM SpA

    293,314   1,983,105
BFF Bank SpA (d)

    40,374   443,610
Security Description     Shares   Value
BPER Banca SpA

    219,007   $1,234,335
Brembo NV (a)

    31,950   350,623
Brunello Cucinelli SpA

    7,678   829,054
Buzzi SpA

    20,803   831,175
Carel Industries SpA (a) (d)

    11,432   250,325
CIR SpA-Compagnie Industriali (b)

    81,273   51,974
Coca-Cola HBC AG

    51,934   1,855,786
Credito Emiliano SpA

    19,269   218,493
Cromwell European Real Estate Investment Trust

    89,560   159,926
d'Amico International Shipping SA

    9,382   59,893
Danieli & C Officine Meccaniche SpA (e)

    8,295   199,502
Danieli & C Officine Meccaniche SpA (a) (e)

    1,537   47,945
Davide Campari-Milano NV (a)

    151,908   1,288,481
De' Longhi SpA

    16,314   502,884
DiaSorin SpA

    5,143   602,110
Digital Value SpA (a)

    503   29,304
El.En. SpA

    10,888   133,789
Enav SpA (d)

    61,168   271,974
Enel SpA

    1,944,112   15,567,789
Eni SpA

    546,779   8,349,206
ERG SpA (a)

    12,673   348,218
Ferrari NV

    30,198   14,144,933
Ferretti SpA (a)

    32,899   102,624
Fila SpA

    4,681   49,056
Fincantieri SpA (b)

    11,383   59,074
FinecoBank Banca Fineco SpA

    145,307   2,493,362
Generali

    242,563   7,024,989
GVS SpA (b) (d)

    12,903   103,971
Hera SpA

    185,002   739,581
Industrie De Nora SpA (a)

    9,354   98,079
Infrastrutture Wireless Italiane SpA (d)

    80,532   993,149
Intercos SpA

    10,868   192,127
Interpump Group SpA

    17,211   804,445
Intesa Sanpaolo SpA

    3,478,390   14,897,398
Iren SpA

    140,495   318,930
Italgas SpA

    109,849   665,702
Iveco Group NV

    54,778   551,315
Juventus Football Club SpA (a) (b)

    13,996   40,058
Leonardo SpA

    93,011   2,078,175
Lottomatica Group SpA

    19,888   249,705
Maire SpA

    31,169   258,113
MARR SpA (a)

    7,511   100,592
Mediobanca Banca di Credito Finanziario SpA

    116,345   1,989,903
MFE-MediaForEurope NV Class A

    50,314   174,074
MFE-MediaForEurope NV Class B (a)

    8,026   39,019
Moncler SpA

    50,974   3,243,842
 
See accompanying notes to Schedule of Investments.
115

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Nexi SpA (a) (b) (d)

    140,573   $955,753
OVS SpA (d)

    50,146   162,076
Pharmanutra SpA (a)

    582   37,868
Piaggio & C SpA (a)

    24,484   71,920
Pirelli & C SpA (d)

    95,706   582,129
Poste Italiane SpA (d)

    110,112   1,547,192
Prysmian SpA

    64,281   4,677,502
RAI Way SpA (d)

    21,648   128,774
Recordati Industria Chimica e Farmaceutica SpA

    24,629   1,396,350
Reply SpA

    4,814   726,384
Safilo Group SpA (a) (b)

    36,831   45,134
Saipem SpA (b)

    270,382   597,032
Salcef Group SpA

    3,946   113,401
Salvatore Ferragamo SpA (a)

    11,696   90,460
Sanlorenzo SpA

    2,587   105,384
Sesa SpA (a)

    1,926   197,863
Snam SpA

    479,564   2,446,479
SOL SpA

    7,183   286,192
Spaxs SpA (a) (b)

    8,543   44,716
Tamburi Investment Partners SpA (a)

    17,060   174,785
Technogym SpA (d)

    31,825   332,984
Technoprobe SpA (b)

    31,667   223,008
Telecom Italia SpA (a) (b)

    2,100,079   584,777
Terna - Rete Elettrica Nazionale

    324,667   2,930,644
Tinexta SpA (a)

    5,449   72,186
UniCredit SpA

    388,593   17,072,180
Unipol Gruppo SpA

    89,111   1,061,157
Webuild SpA

    87,632   248,221
Wiit SpA (a)

    1,415   35,295
Zignago Vetro SpA (a)

    8,068   98,687
          129,683,716
JAPAN — 15.0%  
77 Bank Ltd.

    13,700   374,969
ABC-Mart, Inc.

    22,900   488,290
Acom Co. Ltd. (a)

    105,300   280,623
Activia Properties, Inc. REIT

    155   354,341
Adastria Co. Ltd. (a)

    7,500   174,864
ADEKA Corp.

    16,800   342,542
Advance Logistics Investment Corp. REIT

    131   110,815
Advance Residence Investment Corp. REIT

    323   759,854
Advantest Corp.

    184,600   8,699,585
Aeon Co. Ltd.

    160,500   4,374,927
Aeon Delight Co. Ltd. (a)

    3,300   93,551
AEON Financial Service Co. Ltd.

    30,600   269,119
Aeon Hokkaido Corp.

    11,100   71,393
Aeon Mall Co. Ltd. (a)

    21,600   315,755
AEON REIT Investment Corp.

    419   384,611
AGC, Inc.

    49,700   1,614,625
Ai Holdings Corp.

    7,300   121,565
Aica Kogyo Co. Ltd.

    11,900   282,608
Security Description     Shares   Value
Aichi Corp.

    11,000   $90,282
Aichi Financial Group, Inc.

    8,900   146,591
Aida Engineering Ltd.

    8,700   46,651
Aiful Corp.

    60,800   136,868
Ain Holdings, Inc.

    5,700   216,539
Air Water, Inc.

    42,000   590,625
Aisan Industry Co. Ltd.

    7,500   73,196
Aisin Corp.

    175,800   1,938,175
Ajinomoto Co., Inc.

    114,400   4,435,559
Alfresa Holdings Corp.

    41,200   649,799
Alpen Co. Ltd. (a)

    6,500   96,927
Alps Alpine Co. Ltd. (a)

    43,200   466,309
Alps Logistics Co. Ltd. (a)

    3,700   149,252
Amada Co. Ltd. (a)

    81,600   831,460
Amano Corp.

    12,100   364,252
Amvis Holdings, Inc.

    10,600   142,727
ANA Holdings, Inc.

    38,400   823,893
Anritsu Corp.

    27,500   208,980
Anycolor, Inc. (b)

    3,600   63,045
AOKI Holdings, Inc.

    8,500   70,952
Aoyama Trading Co. Ltd.

    9,700   91,344
Aozora Bank Ltd. (a)

    24,300   452,567
Appier Group, Inc. (b)

    16,500   205,558
Arata Corp.

    6,200   157,341
ARCLANDS Corp.

    16,667   204,259
Arcs Co. Ltd.

    8,800   157,556
ARE Holdings, Inc.

    15,500   196,676
Argo Graphics, Inc.

    2,900   106,844
Ariake Japan Co. Ltd.

    4,100   151,629
Artience Co. Ltd.

    7,600   205,621
As One Corp.

    12,000   242,953
Asahi Group Holdings Ltd.

    351,900   4,621,394
Asahi Intecc Co. Ltd.

    52,000   916,471
Asahi Kasei Corp.

    298,100   2,254,923
Asahi Yukizai Corp.

    4,800   136,577
Asics Corp.

    162,000   3,398,784
ASKUL Corp.

    8,400   127,022
Astellas Pharma, Inc.

    440,300   5,069,729
Atom Corp. (a) (b)

    44,800   222,998
Autobacs Seven Co. Ltd. (a)

    12,200   126,230
Avex, Inc.

    6,600   68,150
Awa Bank Ltd.

    4,900   83,859
Axial Retailing, Inc.

    14,900   97,917
Azbil Corp.

    109,600   889,197
AZ-COM MARUWA Holdings, Inc.

    12,500   100,234
Bandai Namco Holdings, Inc.

    153,600   3,517,852
Bank of Nagoya Ltd.

    2,200   95,358
BayCurrent, Inc.

    29,900   1,108,708
Belc Co. Ltd.

    2,400   107,886
Bell System24 Holdings, Inc.

    7,200   75,755
Belluna Co. Ltd. (a)

    61,600   311,359
Bengo4.com, Inc. (a) (b)

    2,500   52,433
Bic Camera, Inc. (a)

    20,300   224,657
BIPROGY, Inc.

    16,600   564,010
BML, Inc.

    3,000   55,621
 
See accompanying notes to Schedule of Investments.
116

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Bridgestone Corp.

    137,800   $5,298,518
Brother Industries Ltd.

    55,200   1,072,819
Bunka Shutter Co. Ltd.

    10,500   132,498
C Uyemura & Co. Ltd.

    2,600   207,942
Calbee, Inc.

    17,400   424,904
Canon Electronics, Inc.

    2,900   46,448
Canon Marketing Japan, Inc.

    11,700   380,021
Canon, Inc. (a)

    240,400   7,904,091
Capcom Co. Ltd.

    93,700   2,180,045
Casio Computer Co. Ltd. (a)

    44,900   373,068
Cawachi Ltd.

    5,300   99,968
Cellebrite DI Ltd. (b)

    35,177   592,381
Central Automotive Products Ltd.

    2,600   85,794
Central Glass Co. Ltd.

    4,900   116,471
Central Japan Railway Co.

    183,400   4,252,921
Change Holdings, Inc. (a)

    6,500   63,391
Chiba Bank Ltd.

    120,500   970,891
Chiyoda Corp. (a) (b)

    30,000   62,081
Chofu Seisakusho Co. Ltd.

    3,100   42,629
Chubu Electric Power Co., Inc.

    153,300   1,801,575
Chudenko Corp.

    5,700   133,693
Chugai Pharmaceutical Co. Ltd.

    162,800   7,889,608
Chugin Financial Group, Inc.

    33,900   338,668
Chugoku Electric Power Co., Inc. (a)

    62,700   428,257
Chugoku Marine Paints Ltd.

    8,400   119,681
Citizen Watch Co. Ltd. (a)

    50,000   318,442
CKD Corp.

    11,000   226,475
Coca-Cola Bottlers Japan Holdings, Inc.

    36,300   506,028
COLOPL, Inc.

    4,900   18,190
Colowide Co. Ltd. (a)

    16,000   193,345
Comforia Residential REIT, Inc.

    173   391,862
COMSYS Holdings Corp.

    25,500   557,099
Comture Corp.

    6,200   75,419
Concordia Financial Group Ltd.

    244,100   1,351,560
Cosmo Energy Holdings Co. Ltd.

    15,400   841,272
Cosmos Pharmaceutical Corp.

    9,200   481,546
Cover Corp. (a) (b)

    5,200   65,436
CRE Logistics REIT, Inc.

    137   142,900
Create Restaurants Holdings, Inc. (a)

    31,600   249,195
Create SD Holdings Co. Ltd.

    6,100   136,679
Credit Saison Co. Ltd.

    34,400   861,202
Curves Holdings Co. Ltd.

    4,300   22,696
CyberAgent, Inc.

    99,200   707,036
Cybozu, Inc. (a)

    7,400   101,243
Dai Nippon Printing Co. Ltd.

    106,800   1,905,436
Daicel Corp.

    53,800   501,178
Dai-Dan Co. Ltd.

    8,000   164,430
Daido Steel Co. Ltd.

    28,000   274,930
Daiei Kankyo Co. Ltd.

    8,000   173,937
Security Description     Shares   Value
Daifuku Co. Ltd.

    90,100   $1,739,452
Daihen Corp. (a)

    4,100   186,885
Dai-ichi Life Holdings, Inc.

    217,000   5,585,808
Daiichi Sankyo Co. Ltd.

    450,200   14,820,972
Daiichikosho Co. Ltd.

    52,800   643,020
Daikin Industries Ltd.

    63,100   8,855,792
Daikokutenbussan Co. Ltd.

    2,200   180,257
Daio Paper Corp. (a)

    35,500   224,903
Daiseki Co. Ltd.

    10,660   279,095
Daishi Hokuetsu Financial Group, Inc.

    15,600   256,401
Daito Trust Construction Co. Ltd. (a)

    14,000   1,703,999
Daiwa House Industry Co. Ltd.

    136,000   4,283,277
Daiwa House REIT Investment Corp.

    564   928,565
Daiwa Industries Ltd.

    6,600   67,735
Daiwa Office Investment Corp. REIT

    150   317,219
Daiwa Securities Group, Inc. (a)

    317,000   2,227,244
Daiwa Securities Living Investments Corp. REIT

    502   340,773
Daiwabo Holdings Co. Ltd.

    17,700   336,268
DCM Holdings Co. Ltd.

    25,500   281,491
DeNA Co. Ltd.

    16,900   210,659
Denka Co. Ltd. (a)

    17,200   270,854
Denso Corp.

    454,100   6,747,690
Dentsu Group, Inc.

    50,800   1,565,126
Dentsu Soken, Inc.

    6,300   244,002
Descente Ltd.

    7,200   218,708
Dexerials Corp.

    38,100   539,510
DIC Corp.

    16,400   371,820
Digital Arts, Inc.

    1,700   58,592
Digital Garage, Inc. (a)

    9,600   205,369
Dip Corp.

    7,800   154,866
Disco Corp.

    22,100   5,792,289
DMG Mori Co. Ltd.

    32,100   676,829
Doshisha Co. Ltd.

    4,900   73,754
Doutor Nichires Holdings Co. Ltd.

    6,400   102,640
Dowa Holdings Co. Ltd.

    11,400   418,813
DTS Corp.

    8,600   243,498
Duskin Co. Ltd. (a)

    11,700   315,730
DyDo Group Holdings, Inc. (a)

    2,000   42,366
Eagle Industry Co. Ltd.

    4,800   68,691
Earth Corp.

    6,200   231,026
East Japan Railway Co.

    221,800   4,416,927
Ebara Corp.

    106,000   1,724,797
EDION Corp. (a)

    11,900   152,826
eGuarantee, Inc.

    9,200   91,267
Eiken Chemical Co. Ltd. (a)

    8,200   133,227
Eisai Co. Ltd.

    59,900   2,238,293
Eizo Corp.

    6,200   94,361
Elecom Co. Ltd.

    10,000   101,440
Electric Power Development Co. Ltd. (a)

    33,900   567,607
 
See accompanying notes to Schedule of Investments.
117

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
en Japan, Inc.

    9,200   $156,421
ENEOS Holdings, Inc.

    684,100   3,724,194
Enplas Corp.

    1,300   59,074
ES-Con Japan Ltd.

    18,200   131,309
euglena Co. Ltd. (a) (b)

    34,800   108,993
Exedy Corp.

    9,800   218,897
EXEO Group, Inc.

    39,800   432,808
Ezaki Glico Co. Ltd.

    11,100   340,589
FANUC Corp.

    229,400   6,719,701
Fast Retailing Co. Ltd.

    47,000   15,581,236
FCC Co. Ltd.

    8,000   133,110
Ferrotec Holdings Corp. (a)

    10,200   165,008
Financial Partners Group Co. Ltd.

    14,500   225,042
Food & Life Cos. Ltd. (a)

    30,900   621,608
FP Corp.

    10,000   200,189
FP Partner, Inc. (a)

    1,700   31,911
Freee KK (b)

    11,800   201,616
Frontier Real Estate Investment Corp. REIT

    120   356,963
Fuji Co. Ltd.

    12,300   181,869
Fuji Corp.

    19,800   315,742
Fuji Electric Co. Ltd.

    32,000   1,928,412
Fuji Kyuko Co. Ltd.

    4,100   79,197
Fuji Media Holdings, Inc.

    10,100   121,272
Fuji Oil Holdings, Inc.

    9,500   210,602
Fuji Seal International, Inc.

    6,200   109,488
Fuji Soft, Inc.

    12,000   756,711
FUJIFILM Holdings Corp.

    279,000   7,193,456
Fujikura Ltd.

    68,500   2,307,278
Fujimi, Inc.

    11,200   185,570
Fujimori Kogyo Co. Ltd.

    2,700   83,148
Fujio Food Group, Inc. (b)

    4,800   44,899
Fujita Kanko, Inc. (b)

    1,700   115,401
Fujitec Co. Ltd.

    16,100   558,953
Fujitsu General Ltd.

    15,600   230,117
Fujitsu Ltd.

    424,000   8,701,426
Fujiya Co. Ltd.

    3,600   69,715
Fukuda Denshi Co. Ltd.

    3,400   183,026
Fukuoka Financial Group, Inc.

    40,200   1,031,699
Fukuoka REIT Corp. (a)

    190   194,729
Fukushima Galilei Co. Ltd.

    2,400   91,779
Fukuyama Transporting Co. Ltd. (a)

    4,200   111,577
Funai Soken Holdings, Inc.

    9,400   158,507
Furukawa Co. Ltd.

    5,200   58,675
Furukawa Electric Co. Ltd. (a)

    16,900   426,281
Furuya Metal Co. Ltd.

    3,900   109,469
Fuso Chemical Co. Ltd.

    3,100   86,256
Future Corp.

    8,700   110,696
Fuyo General Lease Co. Ltd.

    3,600   276,846
G-7 Holdings, Inc.

    8,400   98,012
GENDA, Inc. (b)

    10,800   191,250
Genky DrugStores Co. Ltd.

    6,600   172,798
Geo Holdings Corp.

    5,700   61,328
Security Description     Shares   Value
Global One Real Estate Investment Corp. REIT (a)

    218   $151,338
Glory Ltd.

    9,800   175,254
GLP J-Reit

    1,080   1,001,930
GMO Financial Gate, Inc. (a)

    800   39,989
GMO Financial Holdings, Inc.

    5,300   23,380
GMO internet group, Inc.

    14,300   250,930
GMO Payment Gateway, Inc.

    9,000   553,691
GNI Group Ltd. (a) (b)

    10,100   203,850
Godo Steel Ltd. (a)

    1,900   54,792
Goldcrest Co. Ltd. (a)

    3,600   81,669
Goldwin, Inc. (a)

    4,400   254,636
Gree, Inc. (a)

    15,200   49,732
GS Yuasa Corp.

    17,400   346,382
G-Tekt Corp.

    3,300   36,221
GungHo Online Entertainment, Inc.

    10,100   217,548
Gunma Bank Ltd.

    76,900   471,916
Gunze Ltd.

    3,200   125,951
H.U. Group Holdings, Inc. (a)

    13,300   246,539
H2O Retailing Corp.

    28,600   411,485
Hachijuni Bank Ltd.

    91,100   535,302
Hakuhodo DY Holdings, Inc. (a)

    49,800   406,992
Hakuto Co. Ltd. (a)

    1,900   62,098
Halows Co. Ltd.

    1,500   43,939
Hamakyorex Co. Ltd.

    8,800   76,779
Hamamatsu Photonics KK (a)

    64,400   844,395
Hankyu Hanshin Holdings, Inc.

    54,500   1,684,836
Hankyu Hanshin REIT, Inc.

    144   124,631
Hanwa Co. Ltd.

    7,600   264,066
Harmonic Drive Systems, Inc.

    11,300   279,261
Haseko Corp. (a)

    58,200   761,881
Hazama Ando Corp. (a)

    38,400   300,403
Heiwa Corp.

    14,200   210,657
Heiwa Real Estate Co. Ltd.

    6,700   191,107
Heiwa Real Estate REIT, Inc.

    267   241,726
Heiwado Co. Ltd.

    6,200   103,593
Hiday Hidaka Corp. (a)

    6,100   114,972
Hikari Tsushin, Inc.

    4,600   1,024,902
Hino Motors Ltd. (b)

    62,100   201,052
Hioki EE Corp. (a)

    2,100   120,680
Hirata Corp. (a)

    2,600   88,521
Hirogin Holdings, Inc.

    60,900   470,885
Hirose Electric Co. Ltd.

    7,000   891,149
HIS Co. Ltd. (a) (b)

    9,300   109,423
Hisamitsu Pharmaceutical Co., Inc. (a)

    12,200   329,478
Hitachi Construction Machinery Co. Ltd. (a)

    24,100   584,809
Hitachi Ltd.

    1,126,500   29,776,961
Hitachi Zosen Corp.

    36,800   254,955
Hogy Medical Co. Ltd.

    6,600   215,247
Hokkaido Electric Power Co., Inc. (a)

    39,100   263,865
Hokkoku Financial Holdings, Inc. (a)

    3,200   95,190
 
See accompanying notes to Schedule of Investments.
118

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Hokuetsu Corp. (a)

    24,400   $267,472
Hokuhoku Financial Group, Inc. (a)

    54,100   590,962
Hokuriku Electric Power Co. (a)

    36,300   234,691
Hokuto Corp.

    6,300   80,203
Honda Motor Co. Ltd.

    1,106,500   11,661,415
Horiba Ltd.

    8,200   535,660
Hoshino Resorts REIT, Inc. (a)

    66   226,321
Hoshizaki Corp.

    24,900   867,601
Hosiden Corp.

    7,100   103,740
House Foods Group, Inc.

    13,400   285,350
Hoya Corp.

    86,500   11,964,503
Hulic Co. Ltd.

    89,200   907,029
Hulic Reit, Inc.

    309   300,273
Hyakugo Bank Ltd.

    58,100   221,368
Ibiden Co. Ltd. (a)

    36,300   1,122,955
Ichibanya Co. Ltd. (a)

    20,500   149,193
Ichigo Office REIT Investment Corp.

    183   106,571
Ichigo, Inc.

    57,100   146,502
Idec Corp.

    6,100   108,788
Idemitsu Kosan Co. Ltd.

    227,885   1,637,764
IDOM, Inc.

    21,200   159,326
IHI Corp.

    33,200   1,727,542
Iida Group Holdings Co. Ltd. (a)

    35,800   553,368
Iino Kaiun Kaisha Ltd. (a)

    16,300   143,012
I'll, Inc.

    1,900   39,477
Inaba Denki Sangyo Co. Ltd.

    12,200   326,664
Inabata & Co. Ltd.

    10,200   237,458
Industrial & Infrastructure Fund Investment Corp. REIT

    541   452,346
Infomart Corp. (a)

    36,200   82,756
INFRONEER Holdings, Inc.

    48,680   399,030
Inpex Corp.

    222,500   3,014,576
Insource Co. Ltd.

    6,400   45,727
Internet Initiative Japan, Inc.

    29,200   616,499
Invincible Investment Corp. REIT

    1,815   787,972
Iriso Electronics Co. Ltd.

    4,100   73,120
Isetan Mitsukoshi Holdings Ltd. (a)

    77,900   1,212,286
Ispace, Inc. (b)

    7,200   35,285
Isuzu Motors Ltd.

    161,300   2,177,505
Ito En Ltd.

    11,400   272,009
ITOCHU Corp. (a)

    291,700   15,657,666
Itochu Enex Co. Ltd.

    11,400   124,169
Itochu-Shokuhin Co. Ltd.

    800   40,213
Itoham Yonekyu Holdings, Inc.

    4,500   121,592
Itoki Corp.

    8,700   90,625
Iwatani Corp.

    38,000   548,322
Iyogin Holdings, Inc.

    53,100   504,495
Izumi Co. Ltd.

    7,000   173,581
J Front Retailing Co. Ltd.

    58,000   627,076
JAC Recruitment Co. Ltd.

    33,200   177,327
Jaccs Co. Ltd. (a)

    4,500   120,963
Security Description     Shares   Value
JAFCO Group Co. Ltd.

    10,800   $152,668
Japan Airlines Co. Ltd.

    32,800   577,279
Japan Airport Terminal Co. Ltd. (a)

    14,700   529,566
Japan Aviation Electronics Industry Ltd. (a)

    11,800   209,783
Japan Elevator Service Holdings Co. Ltd.

    14,200   308,739
Japan Excellent, Inc. REIT

    252   214,757
Japan Exchange Group, Inc.

    258,600   3,354,532
Japan Hotel REIT Investment Corp.

    1,139   569,341
Japan Lifeline Co. Ltd.

    15,700   134,455
Japan Logistics Fund, Inc. REIT (a)

    230   440,737
Japan Material Co. Ltd.

    14,200   183,953
Japan Metropolitan Fund Invest REIT

    1,655   1,117,680
Japan Petroleum Exploration Co. Ltd.

    33,500   244,037
Japan Post Bank Co. Ltd.

    355,100   3,321,615
Japan Post Holdings Co. Ltd.

    505,600   4,828,367
Japan Post Insurance Co. Ltd.

    45,600   830,134
Japan Prime Realty Investment Corp. REIT

    210   511,640
Japan Pulp & Paper Co. Ltd.

    20,000   94,239
Japan Real Estate Investment Corp. REIT (a)

    304   1,213,535
Japan Securities Finance Co. Ltd.

    22,000   294,533
Japan Steel Works Ltd.

    16,400   576,018
Japan Tobacco, Inc.

    287,500   8,399,486
Japan Wool Textile Co. Ltd.

    10,200   94,199
JCR Pharmaceuticals Co. Ltd.

    15,400   70,734
JCU Corp.

    3,500   85,273
Jeol Ltd.

    9,500   369,201
JFE Holdings, Inc. (a)

    136,600   1,832,125
JGC Holdings Corp.

    50,900   445,695
JINS Holdings, Inc.

    4,500   165,478
JMDC, Inc.

    6,900   225,031
J-Oil Mills, Inc. (a)

    3,600   52,878
Joshin Denki Co. Ltd.

    3,500   66,212
Joyful Honda Co. Ltd.

    11,600   168,923
JTEKT Corp.

    43,700   312,077
Juroku Financial Group, Inc.

    8,300   229,202
Justsystems Corp.

    7,200   180,201
JVCKenwood Corp.

    33,700   316,880
K&O Energy Group, Inc.

    3,000   67,009
Kadokawa Corp.

    21,100   471,151
Kaga Electronics Co. Ltd.

    7,000   137,025
Kagome Co. Ltd.

    16,300   365,565
Kajima Corp.

    97,800   1,829,306
Kakaku.com, Inc.

    27,000   470,292
Kaken Pharmaceutical Co. Ltd. (a)

    5,700   152,343
Kameda Seika Co. Ltd. (a)

    1,600   50,056
Kamigumi Co. Ltd.

    20,200   460,233
 
See accompanying notes to Schedule of Investments.
119

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Kanamoto Co. Ltd.

    4,700   $97,752
Kandenko Co. Ltd.

    27,300   424,845
Kaneka Corp.

    10,500   286,430
Kanematsu Corp.

    18,500   312,860
Kansai Electric Power Co., Inc.

    167,300   2,771,959
Kansai Paint Co. Ltd.

    41,500   740,408
Kao Corp.

    112,900   5,611,061
Kappa Create Co. Ltd. (a)

    7,600   89,049
Kasumigaseki Capital Co. Ltd. (a)

    1,400   146,616
Katakura Industries Co. Ltd.

    5,600   80,688
Katitas Co. Ltd. (a)

    9,300   129,448
Kato Sangyo Co. Ltd.

    4,900   145,246
Kawasaki Heavy Industries Ltd.

    34,900   1,416,349
Kawasaki Kisen Kaisha Ltd. (a)

    119,100   1,843,452
KDDI Corp.

    375,900   12,072,739
KDX Realty Investment Corp. REIT

    936   989,396
KeePer Technical Laboratory Co. Ltd. (a)

    4,900   146,788
Keihan Holdings Co. Ltd.

    22,600   478,575
Keihanshin Building Co. Ltd.

    6,200   69,611
Keikyu Corp. (a)

    53,300   435,783
Keio Corp. (a)

    22,900   548,166
Keisei Electric Railway Co. Ltd. (a)

    30,800   919,220
Keiyo Bank Ltd.

    20,200   98,853
Kewpie Corp.

    21,400   535,598
Keyence Corp.

    47,700   22,796,225
KH Neochem Co. Ltd.

    5,100   74,874
Kikkoman Corp.

    161,500   1,838,101
Kinden Corp.

    27,800   612,206
Kintetsu Group Holdings Co. Ltd. (a)

    40,900   1,019,641
Kirin Holdings Co. Ltd.

    184,600   2,821,138
Kisoji Co. Ltd. (a)

    6,300   105,969
Kissei Pharmaceutical Co. Ltd.

    5,900   146,221
Kitz Corp.

    13,700   99,704
Kiyo Bank Ltd.

    12,500   146,375
Koa Corp.

    4,200   33,268
Kobayashi Pharmaceutical Co. Ltd.

    10,400   414,648
Kobe Bussan Co. Ltd. (a)

    34,900   1,103,800
Kobe Steel Ltd. (a)

    90,400   1,081,653
Koei Tecmo Holdings Co. Ltd.

    25,320   292,869
Kohnan Shoji Co. Ltd.

    5,100   135,665
Koito Manufacturing Co. Ltd. (a)

    58,000   800,825
Kokusai Electric Corp. (a)

    33,600   746,980
Kokuyo Co. Ltd.

    18,800   332,654
Komatsu Ltd.

    222,700   6,174,694
KOMEDA Holdings Co. Ltd.

    10,000   193,372
Komeri Co. Ltd. (a)

    7,500   194,002
Konami Group Corp.

    23,900   2,430,268
Security Description     Shares   Value
Konica Minolta, Inc.

    110,200   $318,335
Konishi Co. Ltd. (a)

    10,400   87,830
Konoike Transport Co. Ltd.

    4,700   81,849
Kosaido Holdings Co. Ltd. (a)

    16,500   58,830
Kose Corp.

    7,100   460,825
Koshidaka Holdings Co. Ltd. (a)

    10,700   75,926
Kotobuki Spirits Co. Ltd. (a)

    22,000   279,999
Krosaki Harima Corp.

    4,000   62,276
K's Holdings Corp.

    30,200   325,668
Kubota Corp.

    245,700   3,488,651
Kumagai Gumi Co. Ltd.

    7,000   176,174
Kumiai Chemical Industry Co. Ltd.

    12,100   71,226
Kura Sushi, Inc. (a)

    4,700   123,546
Kuraray Co. Ltd.

    69,800   1,034,264
Kureha Corp.

    7,200   143,104
Kurita Water Industries Ltd.

    24,100   1,038,874
Kusuri No. Aoki Holdings Co. Ltd.

    9,000   209,711
KYB Corp. (a)

    4,100   138,014
Kyocera Corp.

    314,400   3,648,658
Kyoei Steel Ltd.

    3,100   37,493
Kyokuto Kaihatsu Kogyo Co. Ltd.

    5,800   102,343
Kyorin Pharmaceutical Co. Ltd.

    6,100   64,821
Kyoritsu Maintenance Co. Ltd. (a)

    12,600   211,586
Kyoto Financial Group, Inc.

    55,200   850,730
Kyowa Kirin Co. Ltd.

    64,300   1,135,949
Kyudenko Corp.

    9,800   463,349
Kyushu Electric Power Co., Inc.

    96,700   1,056,304
Kyushu Financial Group, Inc. (a)

    69,300   337,731
Kyushu Railway Co.

    33,800   977,090
LaSalle Logiport REIT

    496   496,902
Lasertec Corp.

    19,500   3,217,964
Leopalace21 Corp.

    38,400   160,537
Life Corp.

    4,600   116,737
Lifenet Insurance Co. (a) (b)

    23,500   274,528
Lintec Corp.

    8,700   201,017
Lion Corp.

    57,100   644,690
LITALICO, Inc. (a)

    3,800   33,101
Lixil Corp. (a)

    64,100   767,865
LY Corp.

    635,100   1,861,699
M&A Capital Partners Co. Ltd. (a)

    3,100   49,998
M&A Research Institute Holdings, Inc. (a) (b)

    15,300   319,285
M3, Inc.

    103,300   1,038,489
Mabuchi Motor Co. Ltd.

    20,200   314,072
Macnica Holdings, Inc.

    31,200   433,188
Maeda Kosen Co. Ltd.

    11,400   149,434
Makino Milling Machine Co. Ltd.

    4,600   188,772
 
See accompanying notes to Schedule of Investments.
120

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Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Makita Corp.

    56,600   $1,915,552
Mandom Corp.

    3,500   30,317
Mani, Inc.

    16,200   206,237
Marubeni Corp.

    342,900   5,609,522
Maruha Nichiro Corp.

    9,200   203,951
Marui Group Co. Ltd. (a)

    39,800   665,142
Maruichi Steel Tube Ltd. (a)

    12,700   298,589
Maruwa Co. Ltd. (a)

    2,500   733,187
Maruzen Showa Unyu Co. Ltd.

    2,600   99,245
Matsuda Sangyo Co. Ltd.

    1,700   38,091
Matsui Securities Co. Ltd.

    30,700   167,837
MatsukiyoCocokara & Co.

    81,120   1,334,419
Matsuyafoods Holdings Co. Ltd.

    2,200   96,742
Max Co. Ltd.

    6,000   151,007
Maxell Ltd.

    6,800   87,425
Maxvalu Tokai Co. Ltd.

    1,400   31,222
Mazda Motor Corp. (a)

    128,400   960,487
McDonald's Holdings Co. Japan Ltd.

    19,900   951,594
MCJ Co. Ltd.

    15,000   159,606
Mebuki Financial Group, Inc.

    213,600   857,894
Medipal Holdings Corp.

    41,400   720,824
Medley, Inc. (a) (b)

    4,300   114,985
Megachips Corp.

    1,800   65,436
Megmilk Snow Brand Co. Ltd.

    9,900   187,286
Meidensha Corp.

    7,900   184,742
MEIJI Holdings Co. Ltd.

    55,900   1,402,971
Meiko Electronics Co. Ltd.

    4,700   202,733
MEITEC Group Holdings, Inc.

    15,900   352,481
Menicon Co. Ltd.

    11,500   117,299
Mercari, Inc. (b)

    23,100   404,864
METAWATER Co. Ltd. (a)

    4,200   52,265
Micronics Japan Co. Ltd.

    8,600   236,584
Mie Kotsu Group Holdings, Inc. (a)

    19,400   67,678
Milbon Co. Ltd.

    6,100   135,101
Minebea Mitsumi, Inc.

    86,200   1,698,207
Mirai Corp. REIT

    431   131,524
Mirai Industry Co. Ltd. (a)

    2,000   49,147
Mirait One Corp.

    19,000   282,131
MISUMI Group, Inc.

    65,600   1,187,808
Mitani Sekisan Co. Ltd.

    4,200   166,779
Mitsubishi Chemical Group Corp.

    363,500   2,335,152
Mitsubishi Corp. (a)

    819,400   16,913,300
Mitsubishi Electric Corp.

    463,200   7,459,320
Mitsubishi Estate Co. Ltd.

    273,500   4,318,371
Mitsubishi Estate Logistics REIT Investment Corp.

    116   299,245
Mitsubishi Gas Chemical Co., Inc.

    35,100   679,596
Mitsubishi HC Capital, Inc. (a)

    192,030   1,356,588
Mitsubishi Heavy Industries Ltd.

    770,400   11,404,656
Mitsubishi Logisnext Co. Ltd.

    7,200   65,386
Mitsubishi Logistics Corp.

    12,100   441,738
Security Description     Shares   Value
Mitsubishi Materials Corp. (a)

    27,000   $486,053
Mitsubishi Motors Corp. (a)

    152,500   409,929
Mitsubishi Pencil Co. Ltd.

    5,800   97,680
Mitsubishi Research Institute, Inc.

    1,100   31,991
Mitsubishi Shokuhin Co. Ltd.

    3,700   136,060
Mitsubishi UFJ Financial Group, Inc.

    2,691,600   27,350,675
Mitsuboshi Belting Ltd.

    4,200   116,716
Mitsui & Co. Ltd.

    647,200   14,379,206
Mitsui Chemicals, Inc. (a)

    38,800   1,032,117
Mitsui DM Sugar Holdings Co. Ltd.

    2,500   58,812
Mitsui E&S Co. Ltd.

    21,500   169,998
Mitsui Fudosan Co. Ltd.

    643,800   6,022,122
Mitsui Fudosan Logistics Park, Inc. REIT

    135   400,640
Mitsui High-Tec, Inc.

    21,500   135,367
Mitsui Mining & Smelting Co. Ltd.

    11,600   395,749
Mitsui OSK Lines Ltd. (a)

    81,700   2,813,578
Mitsui-Soko Holdings Co. Ltd.

    7,100   308,242
Mitsuuroko Group Holdings Co. Ltd.

    3,800   45,986
Miura Co. Ltd.

    18,800   461,588
MIXI, Inc.

    7,200   138,926
Mizuho Financial Group, Inc.

    593,320   12,178,324
Mizuho Leasing Co. Ltd.

    29,500   203,555
Mizuno Corp.

    3,400   216,303
Mochida Pharmaceutical Co. Ltd.

    3,500   82,092
Modec, Inc.

    18,800   444,897
Monex Group, Inc.

    37,700   158,665
Money Forward, Inc. (b)

    10,300   421,750
Monogatari Corp.

    8,200   223,001
MonotaRO Co. Ltd. (a)

    60,300   1,010,691
Mori Hills REIT Investment Corp.

    383   340,855
Mori Trust Reit, Inc.

    646   294,457
Morinaga & Co. Ltd.

    14,600   292,888
Morinaga Milk Industry Co. Ltd. (a)

    16,600   407,689
Morita Holdings Corp.

    4,400   67,766
MOS Food Services, Inc. (a)

    5,200   130,145
MS&AD Insurance Group Holdings, Inc.

    309,800   7,212,206
Murata Manufacturing Co. Ltd.

    413,200   8,107,143
Musashi Seimitsu Industry Co. Ltd.

    10,800   147,534
Musashino Bank Ltd.

    4,100   76,388
Nabtesco Corp.

    23,100   398,727
Nachi-Fujikoshi Corp.

    2,300   50,087
Nafco Co. Ltd.

    2,000   34,564
Nagaileben Co. Ltd.

    6,300   111,695
Nagase & Co. Ltd.

    20,100   449,805
Nagawa Co. Ltd. (a)

    1,600   82,103
Nagoya Railroad Co. Ltd.

    42,500   517,285
 
See accompanying notes to Schedule of Investments.
121

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Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Nakanishi, Inc.

    13,100   $243,885
Namura Shipbuilding Co. Ltd.

    10,000   97,525
Nankai Electric Railway Co. Ltd.

    23,200   382,693
Nanto Bank Ltd.

    5,600   117,841
NEC Corp.

    59,700   5,738,779
NEC Networks & System Integration Corp.

    14,100   272,951
NET One Systems Co. Ltd.

    19,200   480,403
Nexon Co. Ltd.

    93,800   1,855,475
Nextage Co. Ltd. (a)

    8,200   105,309
NGK Insulators Ltd.

    57,400   750,807
NH Foods Ltd.

    20,800   775,492
NHK Spring Co. Ltd.

    42,200   536,351
Nichias Corp.

    12,200   485,305
Nichicon Corp. (a)

    9,900   65,889
Nichiden Corp. (a)

    3,800   88,996
Nichiha Corp.

    5,200   126,328
Nichirei Corp.

    24,600   768,234
NIDEC Corp. (a)

    202,400   4,253,456
Nifco, Inc.

    19,100   485,512
Nihon Kohden Corp.

    34,400   511,527
Nihon M&A Center Holdings, Inc. (a)

    67,400   308,493
Nihon Parkerizing Co. Ltd.

    18,600   161,372
Nikkiso Co. Ltd.

    9,900   70,042
Nikkon Holdings Co. Ltd.

    22,800   301,816
Nikon Corp. (a)

    68,900   715,541
Nintendo Co. Ltd.

    253,300   13,522,083
Nippn Corp.

    8,800   136,516
Nippon Accommodations Fund, Inc. REIT

    122   544,155
Nippon Building Fund, Inc. REIT

    1,765   1,626,307
Nippon Carbon Co. Ltd.

    1,200   37,878
Nippon Ceramic Co. Ltd.

    2,800   49,505
Nippon Densetsu Kogyo Co. Ltd.

    7,600   101,960
Nippon Electric Glass Co. Ltd.

    19,600   460,677
NIPPON EXPRESS HOLDINGS, Inc.

    16,600   875,144
Nippon Gas Co. Ltd.

    22,400   359,709
Nippon Kanzai Holdings Co. Ltd.

    4,000   74,944
Nippon Kayaku Co. Ltd.

    26,800   234,013
Nippon Light Metal Holdings Co. Ltd.

    14,500   165,031
Nippon Paint Holdings Co. Ltd.

    217,900   1,671,877
Nippon Paper Industries Co. Ltd. (a)

    23,100   158,263
Nippon Parking Development Co. Ltd.

    44,800   72,662
Nippon Prologis REIT, Inc.

    528   908,792
NIPPON REIT Investment Corp.

    97   219,715
Nippon Road Co. Ltd.

    6,000   72,190
Nippon Sanso Holdings Corp.

    41,200   1,501,507
Security Description     Shares   Value
Nippon Seiki Co. Ltd.

    9,900   $80,424
Nippon Shinyaku Co. Ltd.

    12,100   315,189
Nippon Shokubai Co. Ltd.

    25,600   310,336
Nippon Signal Co. Ltd.

    6,300   42,106
Nippon Soda Co. Ltd.

    9,400   163,895
Nippon Steel Corp. (a)

    207,900   4,648,100
Nippon Telegraph & Telephone Corp.

    7,437,700   7,633,210
Nippon Television Holdings, Inc.

    11,400   178,882
Nippon Yusen KK (a)

    112,500   4,105,495
Nipro Corp.

    33,100   329,403
Nishimatsu Construction Co. Ltd.

    7,700   273,839
Nishimatsuya Chain Co. Ltd.

    9,000   155,034
Nishi-Nippon Financial Holdings, Inc.

    26,800   305,772
Nishi-Nippon Railroad Co. Ltd.

    15,700   251,130
Nishio Holdings Co. Ltd.

    2,900   81,400
Nissan Chemical Corp.

    31,500   1,128,838
Nissan Motor Co. Ltd. (a)

    552,200   1,553,835
Nissan Shatai Co. Ltd. (a)

    13,600   98,786
Nissha Co. Ltd.

    8,200   111,328
Nisshin Oillio Group Ltd.

    5,500   202,636
Nisshin Seifun Group, Inc.

    50,700   644,561
Nisshinbo Holdings, Inc.

    27,200   182,322
Nissin Foods Holdings Co. Ltd.

    47,700   1,336,227
Nissui Corp.

    64,900   416,287
Niterra Co. Ltd. (a)

    36,800   1,027,796
Nitori Holdings Co. Ltd.

    19,000   2,895,029
Nitta Corp. (a)

    3,000   77,391
Nittetsu Mining Co. Ltd.

    1,600   47,763
Nitto Boseki Co. Ltd. (a)

    6,800   280,006
Nitto Denko Corp.

    170,500   2,847,031
Nitto Kogyo Corp.

    5,500   115,737
Noevir Holdings Co. Ltd.

    3,500   126,503
NOF Corp.

    49,100   844,421
Nohmi Bosai Ltd.

    4,800   97,852
Nojima Corp.

    14,200   201,127
NOK Corp.

    19,500   305,914
Nomura Co. Ltd.

    11,200   64,049
Nomura Holdings, Inc.

    730,400   3,793,954
Nomura Micro Science Co. Ltd. (a)

    5,600   94,978
Nomura Real Estate Holdings, Inc. (a)

    25,400   680,281
Nomura Real Estate Master Fund, Inc. REIT

    997   996,024
Nomura Research Institute Ltd.

    89,000   3,297,679
Noritake Co. Ltd.

    6,600   180,180
Noritsu Koki Co. Ltd.

    4,200   128,314
Noritz Corp.

    6,800   86,616
North Pacific Bank Ltd.

    161,100   434,736
NS Solutions Corp. (a)

    13,600   355,117
NS United Kaiun Kaisha Ltd. (a)

    1,400   44,142
 
See accompanying notes to Schedule of Investments.
122

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
NSD Co. Ltd.

    16,000   $354,027
NSK Ltd. (a)

    129,700   653,668
NTN Corp. (a)

    90,000   161,263
NTT Data Group Corp.

    149,900   2,697,969
NTT UD REIT Investment Corp.

    365   292,684
Nxera Pharma Co. Ltd. (a) (b)

    13,900   119,720
Obara Group, Inc.

    1,300   36,717
Obayashi Corp.

    154,200   1,954,450
OBIC Business Consultants Co. Ltd.

    6,800   352,883
Obic Co. Ltd.

    80,500   2,839,786
Odakyu Electric Railway Co. Ltd. (a)

    71,900   803,748
Ogaki Kyoritsu Bank Ltd.

    8,200   104,449
Ohsho Food Service Corp.

    5,700   113,530
Oiles Corp.

    4,900   69,746
Oji Holdings Corp. (a)

    250,300   1,004,420
Okamoto Industries, Inc.

    1,900   69,470
Okamura Corp.

    11,300   156,181
Okasan Securities Group, Inc.

    44,000   190,716
Oki Electric Industry Co. Ltd.

    29,500   200,874
Okinawa Cellular Telephone Co.

    4,800   132,718
Okinawa Electric Power Co., Inc. (a)

    19,635   142,623
Okinawa Financial Group, Inc.

    2,300   36,629
OKUMA Corp.

    11,000   235,549
Okumura Corp.

    6,300   191,149
Olympus Corp.

    281,500   5,349,956
Omron Corp.

    41,700   1,908,626
One REIT, Inc. (a)

    58   100,600
Ono Pharmaceutical Co. Ltd. (a)

    85,900   1,147,916
Onward Holdings Co. Ltd.

    36,300   133,740
Open House Group Co. Ltd.

    18,700   706,610
Open Up Group, Inc.

    10,803   154,372
Optex Group Co. Ltd.

    4,700   50,963
Optorun Co. Ltd. (a)

    5,700   70,852
Oracle Corp. Japan

    9,200   948,364
Organo Corp.

    6,000   293,624
Orient Corp. (a)

    17,800   116,725
Oriental Land Co. Ltd.

    261,900   6,770,877
ORIX Corp.

    288,400   6,689,815
Orix JREIT, Inc.

    620   665,772
Osaka Gas Co. Ltd.

    86,100   1,940,621
Osaka Organic Chemical Industry Ltd. (a)

    2,800   61,172
Osaka Soda Co. Ltd. (a)

    17,000   228,069
Osaka Steel Co. Ltd.

    3,400   81,411
OSAKA Titanium Technologies Co. Ltd. (a)

    5,100   88,565
OSG Corp.

    18,600   263,253
Otsuka Corp.

    52,300   1,295,800
Otsuka Holdings Co. Ltd.

    102,000   5,763,884
Pacific Industrial Co. Ltd.

    8,700   83,387
PAL GROUP Holdings Co. Ltd.

    8,800   156,141
Security Description     Shares   Value
PALTAC Corp.

    6,400   $197,315
Pan Pacific International Holdings Corp.

    90,700   2,342,957
Panasonic Holdings Corp.

    565,100   4,910,649
Paramount Bed Holdings Co. Ltd.

    10,400   188,311
Park24 Co. Ltd. (b)

    29,600   370,931
Pasona Group, Inc.

    4,800   73,792
Penta-Ocean Construction Co. Ltd.

    65,800   294,039
PeptiDream, Inc. (a) (b)

    25,000   465,080
Persol Holdings Co. Ltd.

    422,000   757,617
PHC Holdings Corp. (a)

    12,900   95,055
Pigeon Corp.

    24,000   282,215
PILLAR Corp.

    9,400   272,721
Pilot Corp.

    5,300   164,328
Piolax, Inc. (a)

    4,300   70,254
PKSHA Technology, Inc. (a) (b)

    3,100   73,361
Plus Alpha Consulting Co. Ltd.

    8,100   123,618
Pola Orbis Holdings, Inc.

    19,800   204,727
Pressance Corp.

    4,800   64,497
Prestige International, Inc.

    14,500   71,263
Prima Meat Packers Ltd. (a)

    3,400   56,429
Raito Kogyo Co. Ltd. (a)

    9,300   140,761
Raiznext Corp.

    6,900   79,738
Rakus Co. Ltd.

    21,500   336,163
Rakuten Bank Ltd. (b)

    21,700   489,251
Rakuten Group, Inc. (b)

    356,200   2,304,941
Raysum Co. Ltd.

    2,300   94,869
Recruit Holdings Co. Ltd.

    361,600   22,005,928
Relo Group, Inc.

    20,900   274,400
Renesas Electronics Corp.

    422,100   6,134,969
Rengo Co. Ltd.

    42,800   298,888
RENOVA, Inc. (a) (b)

    6,200   43,778
Resona Holdings, Inc. (a)

    500,702   3,492,032
Resonac Holdings Corp. (a)

    41,800   1,075,391
Resorttrust, Inc.

    18,900   380,008
Restar Corp.

    4,300   81,467
Retail Partners Co. Ltd.

    8,600   82,188
Ricoh Co. Ltd.

    126,400   1,363,059
Ricoh Leasing Co. Ltd.

    2,100   72,599
Riken Keiki Co. Ltd.

    7,400   198,658
Riken Vitamin Co. Ltd.

    4,400   79,424
Rinnai Corp.

    23,700   585,044
Riso Kagaku Corp.

    2,900   69,236
Rohm Co. Ltd. (a)

    75,600   848,809
Rohto Pharmaceutical Co. Ltd.

    45,700   1,141,222
Roland Corp.

    4,400   115,199
Rorze Corp.

    23,000   316,765
Round One Corp.

    42,200   323,049
Royal Holdings Co. Ltd. (a)

    19,200   332,081
RS Technologies Co. Ltd.

    1,600   40,268
Ryobi Ltd.

    4,600   62,613
Ryohin Keikaku Co. Ltd.

    57,100   1,051,464
 
See accompanying notes to Schedule of Investments.
123

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Ryoyo Ryosan Holdings, Inc. (a)

    8,596   $152,642
S Foods, Inc.

    2,700   52,154
Saibu Gas Holdings Co. Ltd.

    13,400   170,966
Saizeriya Co. Ltd.

    7,500   299,392
Sakai Moving Service Co. Ltd.

    4,900   86,017
Sakata INX Corp.

    6,900   77,712
Sakata Seed Corp.

    6,100   150,538
Sakura Internet, Inc. (a)

    3,900   116,967
SAMTY HOLDINGS Co. Ltd. (a)

    4,100   80,028
Samty Residential Investment Corp. REIT

    129   90,635
San-A Co. Ltd.

    9,000   162,018
San-Ai Obbli Co. Ltd.

    10,800   146,854
Sangetsu Corp.

    11,700   230,090
San-In Godo Bank Ltd.

    28,800   245,638
Sanken Electric Co. Ltd. (b)

    8,100   379,744
Sanki Engineering Co. Ltd.

    7,100   119,078
Sankyo Co. Ltd.

    44,000   647,819
Sankyu, Inc.

    11,300   380,301
Sanrio Co. Ltd.

    38,100   1,100,063
Sansan, Inc. (b)

    13,800   207,328
Santen Pharmaceutical Co. Ltd.

    76,100   922,787
Sanwa Holdings Corp.

    47,600   1,256,222
Sanyo Chemical Industries Ltd.

    1,300   37,671
Sanyo Denki Co. Ltd.

    2,000   134,648
Sanyo Special Steel Co. Ltd.

    8,000   107,047
Sapporo Holdings Ltd.

    15,400   851,500
Sato Holdings Corp.

    5,600   82,019
Sawai Group Holdings Co. Ltd.

    27,300   388,868
SBI Holdings, Inc.

    62,900   1,448,934
SBI Sumishin Net Bank Ltd.

    16,400   307,615
SBS Holdings, Inc.

    3,300   62,821
SCREEN Holdings Co. Ltd. (a)

    18,700   1,303,797
SCSK Corp.

    35,700   738,634
Secom Co. Ltd.

    99,800   3,693,661
Sega Sammy Holdings, Inc.

    39,400   787,780
Seibu Holdings, Inc. (a)

    55,800   1,244,811
Seiko Epson Corp.

    65,600   1,210,509
Seiko Group Corp. (a)

    6,900   187,647
Seino Holdings Co. Ltd. (a)

    26,300   442,562
Seiren Co. Ltd.

    9,100   171,897
Sekisui Chemical Co. Ltd.

    86,800   1,354,126
Sekisui House Ltd.

    141,600   3,933,993
Sekisui House Reit, Inc.

    937   497,847
Sekisui Jushi Corp. (a)

    6,100   98,468
Senko Group Holdings Co. Ltd. (a)

    36,600   319,073
Senshu Electric Co. Ltd.

    2,700   94,945
Senshu Ikeda Holdings, Inc. (a)

    48,600   110,424
Septeni Holdings Co. Ltd.

    11,000   35,913
Seria Co. Ltd.

    9,800   240,478
Security Description     Shares   Value
Seven & i Holdings Co. Ltd.

    531,400   $7,976,201
Seven Bank Ltd. (a)

    148,600   297,429
SG Holdings Co. Ltd. (a)

    82,900   893,099
Sharp Corp. (a) (b)

    71,800   476,759
Shibaura Machine Co. Ltd.

    3,800   104,936
Shibaura Mechatronics Corp.

    2,100   115,101
Shibuya Corp.

    3,500   92,981
SHIFT, Inc. (b)

    3,100   296,043
Shiga Bank Ltd.

    9,000   204,174
Shikoku Electric Power Co., Inc.

    37,700   335,383
Shikoku Kasei Holdings Corp.

    6,600   94,912
Shimadzu Corp.

    56,300   1,879,028
Shimamura Co. Ltd.

    9,600   525,101
Shimano, Inc.

    18,200   3,457,033
Shimizu Corp.

    123,300   847,774
Shin Nippon Air Technologies Co. Ltd.

    2,600   62,982
Shinagawa Refractories Co. Ltd.

    5,900   70,079
Shin-Etsu Chemical Co. Ltd.

    442,800   18,502,626
Shin-Etsu Polymer Co. Ltd.

    10,100   109,445
Shinko Electric Industries Co. Ltd. (b)

    15,600   598,633
Shinmaywa Industries Ltd.

    11,300   104,595
Shinnihon Corp.

    5,800   64,512
Shionogi & Co. Ltd.

    187,500   2,691,773
Ship Healthcare Holdings, Inc.

    16,000   261,577
Shiseido Co. Ltd.

    95,000   2,573,581
Shizuoka Financial Group, Inc.

    103,800   903,098
Shizuoka Gas Co. Ltd.

    8,100   60,195
SHO-BOND Holdings Co. Ltd.

    8,600   341,018
Shochiku Co. Ltd. (a)

    2,800   207,005
Shoei Co. Ltd. (a)

    11,000   171,721
Shoei Foods Corp. (a)

    2,300   74,448
Showa Sangyo Co. Ltd.

    4,300   87,780
Siix Corp.

    3,200   24,720
Simplex Holdings, Inc.

    6,800   115,045
Sinfonia Technology Co. Ltd.

    4,500   158,872
Sinko Industries Ltd.

    4,100   134,431
SKY Perfect JSAT Holdings, Inc.

    29,400   183,339
Skylark Holdings Co. Ltd.

    51,200   827,025
SMC Corp.

    13,800   6,140,730
SMS Co. Ltd.

    15,100   227,651
Socionext, Inc. (a)

    40,500   802,978
SoftBank Corp.

    7,069,000   9,251,376
SoftBank Group Corp.

    252,100   14,852,116
Sohgo Security Services Co. Ltd.

    87,800   635,298
Sojitz Corp. (a)

    53,520   1,259,052
Sompo Holdings, Inc.

    237,300   5,310,384
Sony Group Corp.

    1,525,500   29,621,618
SOSiLA Logistics REIT, Inc.

    112   90,671
Sotetsu Holdings, Inc. (a)

    18,600   310,130
Sparx Group Co. Ltd.

    4,300   39,531
Square Enix Holdings Co. Ltd.

    20,700   824,151
 
See accompanying notes to Schedule of Investments.
124

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
SRE Holdings Corp. (b)

    4,100   $126,405
Stanley Electric Co. Ltd.

    27,700   515,792
Star Asia Investment Corp. REIT

    480   178,523
Star Micronics Co. Ltd.

    8,200   110,239
Starts Corp., Inc.

    6,800   165,199
Strike Co. Ltd.

    1,300   39,534
Subaru Corp.

    148,400   2,575,006
Sugi Holdings Co. Ltd.

    23,600   439,778
SUMCO Corp. (a)

    83,300   897,991
Sumiseki Holdings, Inc. (a)

    3,500   22,536
Sumitomo Bakelite Co. Ltd.

    15,000   421,246
Sumitomo Chemical Co. Ltd.

    336,700   959,209
Sumitomo Corp.

    250,300   5,589,053
Sumitomo Densetsu Co. Ltd.

    3,700   113,814
Sumitomo Electric Industries Ltd. (a)

    169,800   2,724,943
Sumitomo Forestry Co. Ltd.

    36,800   1,825,336
Sumitomo Heavy Industries Ltd.

    25,200   606,040
Sumitomo Metal Mining Co. Ltd.

    58,800   1,763,918
Sumitomo Mitsui Construction Co. Ltd.

    22,100   61,801
Sumitomo Mitsui Financial Group, Inc.

    912,600   19,427,202
Sumitomo Mitsui Trust Holdings, Inc.

    155,600   3,688,756
Sumitomo Osaka Cement Co. Ltd.

    7,800   222,810
Sumitomo Pharma Co. Ltd. (a) (b)

    33,700   140,417
Sumitomo Realty & Development Co. Ltd.

    68,000   2,284,732
Sumitomo Riko Co. Ltd.

    7,900   80,469
Sumitomo Rubber Industries Ltd.

    36,400   398,888
Sumitomo Warehouse Co. Ltd. (a)

    10,700   201,448
Sun Corp.

    2,100   107,173
Sun Frontier Fudousan Co. Ltd.

    5,800   71,284
Sundrug Co. Ltd.

    16,200   479,522
Suntory Beverage & Food Ltd.

    31,600   1,191,628
SUNWELS Co. Ltd. (a)

    3,100   35,044
Suruga Bank Ltd. (a)

    34,300   267,369
Suzuken Co. Ltd.

    13,200   461,686
Suzuki Motor Corp. (a)

    382,200   4,255,128
SWCC Corp.

    6,600   264,388
Sysmex Corp.

    119,500   2,361,762
Systena Corp.

    63,300   164,180
T Hasegawa Co. Ltd.

    6,800   155,691
T&D Holdings, Inc.

    131,700   2,297,200
Tadano Ltd.

    23,700   158,298
Taihei Dengyo Kaisha Ltd.

    3,100   112,262
Taiheiyo Cement Corp.

    25,000   588,821
Taikisha Ltd.

    5,100   174,528
Security Description     Shares   Value
Taisei Corp.

    39,000   $1,706,795
Taiyo Holdings Co. Ltd.

    8,600   222,455
Taiyo Yuden Co. Ltd. (a)

    27,900   568,669
Takamatsu Construction Group Co. Ltd.

    1,300   26,693
Takara Bio, Inc.

    7,300   51,341
Takara Holdings, Inc.

    35,500   302,038
Takara Leben Real Estate Investment Corp. REIT

    129   79,543
Takara Standard Co. Ltd.

    13,200   147,282
Takasago International Corp.

    2,900   111,710
Takasago Thermal Engineering Co. Ltd.

    11,600   416,834
Takashimaya Co. Ltd. (a)

    61,400   490,633
Takeda Pharmaceutical Co. Ltd.

    393,838   11,296,961
Takeuchi Manufacturing Co. Ltd.

    7,700   237,933
Takuma Co. Ltd.

    13,400   150,169
Tama Home Co. Ltd.

    4,400   123,350
Tamron Co. Ltd.

    7,600   237,500
TBS Holdings, Inc.

    7,400   201,607
TDK Corp.

    471,000   6,002,747
TechMatrix Corp.

    9,100   152,812
TechnoPro Holdings, Inc.

    24,600   477,932
Teijin Ltd.

    41,100   406,862
Terumo Corp.

    324,500   6,125,210
T-Gaia Corp. (a)

    5,400   138,549
THK Co. Ltd.

    33,400   587,022
TIS, Inc.

    49,700   1,268,559
TKC Corp.

    10,100   270,082
TKP Corp. (b)

    4,400   46,941
Toa Corp. (a)

    8,000   54,810
Toagosei Co. Ltd.

    18,700   211,199
Tobu Railway Co. Ltd.

    42,900   750,690
Tocalo Co. Ltd.

    12,500   167,436
Toda Corp. (a)

    54,600   359,534
Toei Animation Co. Ltd.

    14,600   308,760
Toei Co. Ltd. (a)

    6,500   206,760
Toenec Corp. (a)

    6,000   39,010
Toho Bank Ltd. (a)

    30,200   55,316
Toho Co. Ltd.

    25,800   1,048,486
Toho Gas Co. Ltd.

    16,800   466,158
Toho Holdings Co. Ltd. (a)

    11,800   374,442
Toho Titanium Co. Ltd. (a)

    6,300   49,857
Tohoku Electric Power Co., Inc.

    111,400   1,067,739
Tokai Carbon Co. Ltd. (a)

    41,400   266,565
Tokai Corp.

    2,300   34,490
TOKAI Holdings Corp.

    21,100   143,233
Tokai Rika Co. Ltd.

    11,200   153,468
Tokai Tokyo Financial Holdings, Inc.

    41,500   140,132
Token Corp.

    1,100   86,899
Tokio Marine Holdings, Inc.

    456,400   16,690,635
Tokuyama Corp.

    13,200   266,095
Tokyo Century Corp.

    32,000   359,284
 
See accompanying notes to Schedule of Investments.
125

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Tokyo Electric Power Co. Holdings, Inc. (b)

    352,300   $1,568,651
Tokyo Electron Device Ltd. (a)

    16,200   407,718
Tokyo Electron Ltd.

    112,200   19,837,374
Tokyo Gas Co. Ltd.

    85,500   1,994,641
Tokyo Kiraboshi Financial Group, Inc.

    11,700   338,224
Tokyo Ohka Kogyo Co. Ltd.

    20,700   504,910
Tokyo Seimitsu Co. Ltd.

    9,000   475,042
Tokyo Steel Manufacturing Co. Ltd.

    15,900   220,537
Tokyo Tatemono Co. Ltd.

    50,600   812,380
Tokyotokeiba Co. Ltd.

    3,400   104,230
Tokyu Construction Co. Ltd.

    17,300   85,387
Tokyu Corp.

    119,000   1,541,576
Tokyu Fudosan Holdings Corp.

    138,200   952,637
Tokyu REIT, Inc.

    280   303,607
TOMONY Holdings, Inc.

    28,300   73,599
Tomy Co. Ltd.

    20,100   549,715
Topcon Corp.

    24,500   264,714
TOPPAN Holdings, Inc.

    65,300   1,937,452
Topre Corp.

    7,000   87,549
Toray Industries, Inc.

    329,500   1,942,355
Toridoll Holdings Corp. (a)

    11,200   291,275
Torii Pharmaceutical Co. Ltd.

    3,800   102,943
Tosei Corp.

    5,700   91,653
Toshiba TEC Corp.

    9,200   223,182
Tosoh Corp.

    67,500   902,737
Totech Corp.

    5,300   98,412
Totetsu Kogyo Co. Ltd.

    19,600   467,254
TOTO Ltd. (a)

    32,200   1,201,422
Towa Corp. (a)

    12,900   198,135
Towa Pharmaceutical Co. Ltd.

    5,600   117,841
Toyo Construction Co. Ltd.

    16,800   156,678
Toyo Gosei Co. Ltd.

    1,400   78,985
Toyo Seikan Group Holdings Ltd.

    44,400   698,716
Toyo Suisan Kaisha Ltd.

    21,100   1,379,082
Toyo Tanso Co. Ltd.

    3,700   147,183
Toyo Tire Corp.

    28,200   411,447
Toyobo Co. Ltd.

    20,100   139,255
Toyoda Gosei Co. Ltd.

    14,700   251,269
Toyota Boshoku Corp.

    23,400   305,587
Toyota Industries Corp.

    34,800   2,682,257
Toyota Motor Corp.

    2,523,940   44,862,398
Toyota Tsusho Corp.

    151,400   2,736,081
Trancom Co. Ltd.

    1,300   96,882
Transcosmos, Inc.

    3,700   91,698
TRE Holdings Corp.

    5,800   66,945
Trend Micro, Inc.

    31,900   1,892,501
Tri Chemical Laboratories, Inc. (a)

    5,600   136,437
Trial Holdings, Inc.

    8,700   211,357
Trusco Nakayama Corp.

    8,700   150,352
TS Tech Co. Ltd.

    24,500   298,628
Tsubakimoto Chain Co.

    17,400   228,570
Security Description     Shares   Value
Tsuburaya Fields Holdings, Inc. (a)

    23,600   $411,482
Tsugami Corp.

    12,500   129,509
Tsumura & Co.

    13,000   410,067
Tsuruha Holdings, Inc.

    8,600   545,316
Tsurumi Manufacturing Co. Ltd. (a)

    3,300   93,205
TV Asahi Holdings Corp.

    5,000   69,421
UACJ Corp.

    7,300   261,298
UBE Corp.

    22,200   414,310
Ulvac, Inc.

    10,600   564,607
U-Next Holdings Co. Ltd. (a)

    5,600   214,541
Unicharm Corp.

    95,800   3,471,277
Union Tool Co.

    2,400   103,188
United Super Markets Holdings, Inc. (a)

    5,500   32,606
United Urban Investment Corp. REIT

    663   640,103
Universal Entertainment Corp. (a)

    3,600   35,235
Ushio, Inc.

    17,800   252,615
USS Co. Ltd.

    94,800   899,023
UT Group Co. Ltd.

    6,400   123,132
Valor Holdings Co. Ltd.

    7,600   117,050
Visional, Inc. (b)

    5,500   304,915
VT Holdings Co. Ltd.

    20,000   65,716
Wacoal Holdings Corp.

    7,800   244,350
Wacom Co. Ltd.

    24,300   116,030
Wakita & Co. Ltd.

    7,000   84,808
WealthNavi, Inc. (a) (b)

    8,600   68,420
Welcia Holdings Co. Ltd.

    21,800   310,601
West Holdings Corp.

    5,510   106,818
West Japan Railway Co.

    104,400   1,988,154
WingArc1st, Inc.

    3,500   78,422
Workman Co. Ltd.

    3,800   118,484
Yakult Honsha Co. Ltd. (a)

    58,800   1,364,354
YAMABIKO Corp.

    6,300   111,915
Yamada Holdings Co. Ltd.

    125,200   392,738
Yamaguchi Financial Group, Inc.

    42,400   459,304
Yamaha Corp. (a)

    90,300   778,699
Yamaha Motor Co. Ltd.

    206,100   1,844,295
Yamato Holdings Co. Ltd. (a)

    60,500   691,114
Yamato Kogyo Co. Ltd.

    9,500   475,332
Yamazaki Baking Co. Ltd.

    27,400   545,069
Yamazen Corp.

    14,000   133,012
Yaoko Co. Ltd.

    5,200   353,428
Yaskawa Electric Corp.

    65,200   2,278,171
Yellow Hat Ltd.

    23,200   421,700
Yodogawa Steel Works Ltd.

    4,400   171,952
Yokogawa Bridge Holdings Corp.

    6,900   128,266
Yokogawa Electric Corp.

    55,000   1,405,376
Yokohama Rubber Co. Ltd.

    26,800   601,801
Yokorei Co. Ltd. (a)

    11,000   72,980
Yonex Co. Ltd.

    14,000   207,397
 
See accompanying notes to Schedule of Investments.
126

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Yoshinoya Holdings Co. Ltd. (a)

    14,000   $307,424
Yuasa Trading Co. Ltd.

    3,200   111,409
Yurtec Corp.

    5,500   58,907
Zenkoku Hosho Co. Ltd.

    11,000   434,032
Zensho Holdings Co. Ltd.

    22,300   1,237,226
Zeon Corp.

    34,200   325,048
ZERIA Pharmaceutical Co. Ltd.

    2,600   41,261
ZIGExN Co. Ltd.

    13,900   58,791
Zojirushi Corp.

    9,400   108,628
ZOZO, Inc. (a)

    32,400   1,181,023
Zuken, Inc.

    3,500   87,843
          1,199,950,271
JERSEY — 0.0% (f)  
JTC PLC (d)

    33,964   481,999
JORDAN — 0.0% (f)  
Hikma Pharmaceuticals PLC

    37,705   966,499
KUWAIT — 0.2%  
Agility Global PLC

    805,380   267,510
Agility Public Warehousing Co. KSC

    402,690   288,908
Al Ahli Bank of Kuwait KSCP

    280,906   250,308
Arabi Group Holding KSC (b)

    198,460   238,607
Boubyan Bank KSCP

    367,407   686,067
Boubyan Petrochemicals Co. KSCP

    96,096   201,479
Boursa Kuwait Securities Co. KPSC

    53,839   358,927
Burgan Bank SAK

    257,736   160,425
Commercial Real Estate Co. KSC

    276,563   136,809
Gulf Bank KSCP

    496,522   492,862
Gulf Cables & Electrical Industries Group Co. KSCP

    18,764   95,895
Humansoft Holding Co. KSC

    24,729   220,678
Jazeera Airways Co. KSCP (b)

    15,731   51,483
Kuwait Finance House KSCP

    2,498,046   5,859,463
Kuwait International Bank KSCP

    241,705   141,737
Kuwait Projects Co. Holding KSCP (b)

    591,156   188,047
Kuwait Real Estate Co. KSC

    121,374   95,827
Kuwait Telecommunications Co.

    187,081   332,793
Mabanee Co. KPSC

    179,145   491,218
Mezzan Holding Co. KSCC

    29,758   88,031
Mobile Telecommunications Co. KSCP

    473,369   736,610
National Bank of Kuwait SAKP

    1,775,055   5,134,721
National Industries Group Holding SAK

    469,406   342,924
National Investments Co. KSCP

    53,192   40,776
National Real Estate Co. KPSC (b)

    185,947   44,469
Security Description     Shares   Value
Salhia Real Estate Co. KSCP

    311,207   $434,313
Shamal Az-Zour Al-Oula for the First Phase of Az-Zour Power Plant KSC (b)

    364,189   176,576
Warba Bank KSCP (b)

    162,931   100,881
          17,658,344
LUXEMBOURG — 0.1%  
Aperam SA

    15,447   485,123
ArcelorMittal SA

    116,357   3,056,910
Eurofins Scientific SE

    31,172   1,979,524
Reinet Investments SCA

    31,803   883,711
SES SA

    83,968   421,519
          6,826,787
MACAU — 0.1%  
Galaxy Entertainment Group Ltd.

    519,000   2,609,198
Sands China Ltd. (b)

    566,400   1,452,551
SJM Holdings Ltd. (a) (b)

    521,249   207,359
Wynn Macau Ltd.

    355,200   309,128
          4,578,236
MALAYSIA — 0.5%  
Alliance Bank Malaysia Bhd.

    209,800   226,412
AMMB Holdings Bhd.

    937,800   1,137,141
Axiata Group Bhd.

    730,611   446,499
Axis Real Estate Investment Trust

    601,686   267,027
Bank Islam Malaysia Bhd.

    65,900   43,150
Bermaz Auto Bhd.

    173,300   94,141
British American Tobacco Malaysia Bhd.

    23,500   44,738
Bumi Armada Bhd. (b)

    2,298,900   262,031
Bursa Malaysia Bhd.

    132,900   306,829
Carlsberg Brewery Malaysia Bhd. Class B

    27,200   129,816
CELCOMDIGI Bhd.

    778,500   702,321
Chin Hin Group Bhd. (b)

    248,000   127,503
CIMB Group Holdings Bhd.

    1,589,760   3,103,569
CTOS Digital Bhd.

    342,900   101,452
D&O Green Technologies Bhd.

    50,200   25,931
Dayang Enterprise Holdings Bhd.

    211,800   117,110
Dialog Group Bhd.

    889,900   463,995
DRB-Hicom Bhd.

    194,800   52,910
Fraser & Neave Holdings Bhd.

    40,800   308,907
Frontken Corp. Bhd.

    224,450   199,765
Gamuda Bhd.

    431,664   845,846
Genting Bhd.

    683,000   700,640
Genting Malaysia Bhd.

    968,600   568,452
Greatech Technology Bhd. (b)

    76,600   39,382
Hartalega Holdings Bhd.

    334,300   226,191
Heineken Malaysia Bhd.

    28,800   163,155
Hibiscus Petroleum Bhd.

    300,000   145,507
Hong Leong Bank Bhd.

    183,932   961,701
IHH Healthcare Bhd.

    518,100   899,623
IJM Corp. Bhd.

    331,300   235,409
 
See accompanying notes to Schedule of Investments.
127

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Inari Amertron Bhd.

    564,000   $396,653
IOI Corp. Bhd.

    520,700   474,799
IOI Properties Group Bhd. (b)

    371,500   190,998
ITMAX SYSTEM Bhd.

    183,300   160,474
Kossan Rubber Industries Bhd.

    156,300   70,882
KPJ Healthcare Bhd.

    431,700   221,948
Kuala Lumpur Kepong Bhd.

    116,585   580,734
Mah Sing Group Bhd.

    274,800   114,625
Malakoff Corp. Bhd.

    123,000   28,039
Malayan Banking Bhd.

    1,314,265   3,340,244
Malaysia Airports Holdings Bhd.

    224,741   570,096
Malaysian Pacific Industries Bhd.

    23,900   154,175
Maxis Bhd.

    577,200   552,914
MBSB Bhd.

    371,600   68,940
Mega First Corp. Bhd.

    55,600   59,328
MISC Bhd.

    271,700   513,947
Mr. DIY Group M Bhd. (d)

    821,400   422,303
My EG Services Bhd.

    1,094,700   236,276
Nestle Malaysia Bhd.

    19,800   499,382
Pavilion Real Estate Investment Trust

    1,009,000   352,361
Pentamaster Corp. Bhd.

    106,500   90,397
Petronas Chemicals Group Bhd.

    877,000   1,199,534
Petronas Dagangan Bhd.

    120,900   523,651
Petronas Gas Bhd.

    233,200   1,017,970
PPB Group Bhd.

    148,480   520,679
Press Metal Aluminium Holdings Bhd.

    860,400   1,055,808
Public Bank Bhd.

    3,787,300   4,188,211
QL Resources Bhd.

    418,125   474,554
RHB Bank Bhd.

    512,995   768,839
Scientex Bhd.

    136,600   143,110
SD Guthrie Bhd.

    420,943   488,982
Sime Darby Bhd.

    671,935   400,863
Sime Darby Property Bhd.

    527,135   187,920
SP Setia Bhd. Group

    891,014   270,102
Sports Toto Bhd.

    118,836   46,399
Sunway Bhd.

    848,000   863,732
Sunway Real Estate Investment Trust

    449,800   185,440
Supermax Corp. Bhd. (b)

    400,272   80,569
Syarikat Takaful Malaysia Keluarga Bhd.

    36,789   34,795
Telekom Malaysia Bhd.

    303,486   494,586
Tenaga Nasional Bhd.

    609,100   2,132,995
TIME dotCom Bhd.

    205,200   235,879
Top Glove Corp. Bhd. (b)

    1,121,000   271,856
UEM Sunrise Bhd.

    250,000   60,628
Unisem M Bhd.

    150,000   113,496
United Plantations Bhd.

    33,700   213,961
UWC Bhd. (b)

    40,400   19,889
ViTrox Corp. Bhd.

    141,200   110,604
VS Industry Bhd.

    444,000   106,060
Security Description     Shares   Value
Yinson Holdings Bhd.

    199,636   $129,750
YTL Corp. Bhd.

    746,100   454,156
YTL Power International Bhd.

    528,700   469,272
          39,310,958
MALTA — 0.0% (f)  
Kindred Group PLC SDR

    46,815   596,237
MEXICO — 0.6%  
Alfa SAB de CV Class A

    739,800   608,008
Alpek SAB de CV (a)

    365,000   234,619
Alsea SAB de CV

    110,500   305,197
America Movil SAB de CV

    4,620,600   3,806,892
Arca Continental SAB de CV

    119,900   1,126,089
Banco del Bajio SA (a) (d)

    178,400   418,833
Bolsa Mexicana de Valores SAB de CV

    119,400   193,518
Borr Drilling Ltd. (b)

    73,270   403,475
Cemex SAB de CV (a)

    3,442,264   2,117,830
Coca-Cola Femsa SAB de CV

    122,095   1,085,663
Concentradora Fibra Danhos SA de CV REIT

    88,800   95,405
Controladora Vuela Cia de Aviacion SAB de CV Class A (a) (b)

    245,200   155,486
Corp. Inmobiliaria Vesta SAB de CV (a)

    203,400   551,511
FIBRA Macquarie Mexico REIT (d)

    198,886   319,403
Fibra Uno Administracion SA de CV REIT

    847,700   991,189
Fomento Economico Mexicano SAB de CV

    474,400   4,703,825
Genomma Lab Internacional SAB de CV Class B

    403,000   464,842
Gentera SAB de CV

    278,600   312,682
Gruma SAB de CV Class B

    54,635   1,019,090
Grupo Aeroportuario del Centro Norte SAB de CV

    65,054   552,139
Grupo Aeroportuario del Pacifico SAB de CV Class B (a)

    104,325   1,819,647
Grupo Aeroportuario del Sureste SAB de CV Class B

    44,240   1,257,935
Grupo Bimbo SAB de CV (a)

    367,300   1,269,679
Grupo Carso SAB de CV (a)

    130,910   814,097
Grupo Financiero Banorte SAB de CV Class O

    636,700   4,531,152
Grupo Financiero Inbursa SAB de CV Class O (a) (b)

    422,100   960,395
Grupo Mexico SAB de CV

    773,400   4,330,993
Grupo Rotoplas SAB de CV (a)

    109,841   131,964
Grupo Televisa SAB (a)

    583,400   296,730
Grupo Traxion SAB de CV (a) (b) (d)

    138,500   142,231
Industrias Penoles SAB de CV (a) (b)

    45,920   612,220
 
See accompanying notes to Schedule of Investments.
128

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Kimberly-Clark de Mexico SAB de CV Class A

    468,000   $760,184
La Comer SAB de CV (a)

    127,600   255,955
Megacable Holdings SAB de CV

    186,600   388,583
Nemak SAB de CV (a) (b) (d)

    685,761   70,318
Operadora De Sites Mexicanos SAB de CV (a)

    281,200   221,924
Orbia Advance Corp. SAB de CV (a)

    234,557   238,242
Prologis Property Mexico SA de CV REIT

    302,957   995,483
Promotora y Operadora de Infraestructura SAB de CV

    43,590   412,106
Qualitas Controladora SAB de CV (a)

    45,500   357,394
Regional SAB de CV

    59,300   345,811
Southern Copper Corp.

    22,326   2,582,448
Wal-Mart de Mexico SAB de CV

    1,294,500   3,907,538
          46,168,725
NETHERLANDS — 2.4%  
Aalberts NV

    22,994   935,140
ABN AMRO Bank NV GDR (d)

    106,633   1,928,521
Adyen NV (b) (d)

    5,283   8,269,861
Aegon Ltd.

    355,705   2,289,807
Akzo Nobel NV

    40,603   2,868,439
Alfen NV (a) (b) (d)

    4,401   64,589
AMG Critical Materials NV (a)

    8,447   161,301
Arcadis NV

    17,220   1,195,384
Argenx SE (b)

    14,557   7,889,224
ASM International NV

    11,360   7,472,608
ASML Holding NV

    96,431   80,242,845
ASR Nederland NV

    37,722   1,852,384
Basic-Fit NV (a) (b) (d)

    10,532   275,519
BE Semiconductor Industries NV

    18,347   2,325,070
Brunel International NV (a)

    7,083   69,327
Corbion NV

    12,908   369,081
Eurocommercial Properties NV REIT

    8,350   232,044
Euronext NV (d)

    19,349   2,104,380
EXOR NV

    23,667   2,539,664
Flow Traders Ltd. (a)

    8,122   171,592
Fugro NV

    25,425   579,997
Heineken Holding NV

    30,848   2,334,213
Heineken NV (a)

    69,971   6,219,179
IMCD NV

    13,563   2,359,857
ING Groep NV

    801,276   14,553,257
JDE Peet's NV

    26,490   554,624
Koninklijke Ahold Delhaize NV

    224,695   7,781,421
Koninklijke BAM Groep NV

    74,064   347,499
Koninklijke Heijmans NV

    3,232   93,423
Koninklijke KPN NV

    939,480   3,846,972
Koninklijke Philips NV (b)

    201,586   6,618,915
Koninklijke Vopak NV

    16,459   765,623
Security Description     Shares   Value
NN Group NV

    65,301   $3,263,530
OCI NV

    26,058   743,919
Pharming Group NV (a) (b)

    152,999   128,066
Pluxee NV (b)

    19,291   407,730
PostNL NV (a)

    112,149   157,206
Randstad NV (a)

    24,941   1,241,459
Redcare Pharmacy NV (b) (d)

    4,128   597,074
SBM Offshore NV

    32,868   601,224
Sligro Food Group NV

    3,660   51,468
TKH Group NV

    8,595   362,787
TomTom NV (a) (b)

    14,221   81,817
Universal Music Group NV (a)

    200,674   5,263,113
Van Lanschot Kempen NV

    7,795   371,038
Vastned Retail NV REIT

    2,401   64,713
Wereldhave NV REIT

    8,129   134,997
Wolters Kluwer NV

    59,147   9,987,468
          192,769,369
NEW ZEALAND — 0.2%  
Air New Zealand Ltd.

    315,047   106,238
Auckland International Airport Ltd.

    308,240   1,464,999
Contact Energy Ltd.

    209,503   1,089,031
Fisher & Paykel Healthcare Corp. Ltd.

    136,407   3,015,917
Fletcher Building Ltd. (b)

    234,710   440,536
Goodman Property Trust REIT

    225,549   294,904
Infratil Ltd.

    195,252   1,521,807
Kiwi Property Group Ltd. REIT

    275,172   161,947
Mercury NZ Ltd.

    211,252   866,939
Meridian Energy Ltd.

    308,004   1,164,047
Ryman Healthcare Ltd. (b)

    134,966   369,250
Spark New Zealand Ltd.

    419,750   809,210
Xero Ltd. (b)

    37,436   3,881,141
          15,185,966
NIGERIA — 0.0% (f)  
Airtel Africa PLC (d)

    222,056   339,554
NORWAY — 0.4%  
Aker ASA Class A

    4,585   238,552
Aker BP ASA

    73,271   1,573,574
Aker Carbon Capture ASA (b)

    106,133   63,885
Aker Solutions ASA

    65,906   253,921
Austevoll Seafood ASA

    20,148   184,978
Avance Gas Holding Ltd. (d)

    4,125   41,357
Belships ASA

    52,467   99,129
Bluenord ASA (b)

    4,642   203,835
Borregaard ASA

    18,743   353,056
BW Offshore Ltd.

    28,194   76,022
Crayon Group Holding ASA (b) (d)

    24,500   290,065
DNB Bank ASA

    210,378   4,322,350
DNO ASA

    65,996   71,493
DOF Group ASA (b)

    31,997   266,119
Elkem ASA (b) (d)

    56,997   110,935
Entra ASA (b) (d)

    21,977   286,276
Equinor ASA

    208,891   5,289,384
 
See accompanying notes to Schedule of Investments.
129

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Europris ASA (d)

    43,267   $276,461
FLEX LNG Ltd.

    7,577   195,528
Frontline PLC

    39,003   884,660
Gjensidige Forsikring ASA

    45,151   846,208
Golden Ocean Group Ltd.

    34,702   463,895
Grieg Seafood ASA

    7,676   42,524
Hoegh Autoliners ASA

    48,293   624,029
Kitron ASA

    33,077   89,816
Kongsberg Gruppen ASA

    19,795   1,939,535
Leroy Seafood Group ASA

    69,854   320,863
Mowi ASA

    107,908   1,944,007
MPC Container Ships ASA

    56,147   129,804
NEL ASA (b)

    329,737   156,218
Nordic Semiconductor ASA (b)

    37,476   379,469
Norsk Hydro ASA

    425,375   2,764,848
Norwegian Air Shuttle ASA

    131,941   162,348
Nykode Therapeutics ASA (b)

    57,689   25,129
Odfjell Drilling Ltd.

    17,545   84,788
Orkla ASA

    162,997   1,539,029
Protector Forsikring ASA

    15,594   358,290
Salmar ASA

    16,387   861,151
Schibsted ASA Class A

    15,794   510,739
Schibsted ASA Class B

    21,027   635,243
SpareBank 1 Nord Norge

    20,807   213,865
Sparebank 1 Oestlandet

    5,849   80,633
SpareBank 1 SMN

    29,179   425,136
SpareBank 1 SR-Bank ASA

    42,521   549,848
Stolt-Nielsen Ltd.

    6,169   228,424
Storebrand ASA

    95,518   1,051,068
Telenor ASA

    154,206   1,976,503
TGS ASA

    60,635   571,368
TOMRA Systems ASA

    51,154   755,218
Wallenius Wilhelmsen ASA

    19,594   231,051
          35,042,627
PERU — 0.1%  
Cia de Minas Buenaventura SAA ADR

    47,800   661,552
Credicorp Ltd.

    17,300   3,130,781
Hochschild Mining PLC (b)

    71,260   175,493
Intercorp Financial Services, Inc.

    7,800   203,814
PetroTal Corp.

    137,000   64,903
          4,236,543
PHILIPPINES — 0.2%  
Alliance Global Group, Inc.

    450,900   75,475
AREIT, Inc.

    100,200   65,444
Ayala Corp.

    59,470   712,632
Ayala Land, Inc.

    1,649,200   1,077,149
Bank of the Philippine Islands

    490,500   1,182,539
BDO Unibank, Inc.

    534,751   1,507,752
Bloomberry Resorts Corp. (b)

    741,800   107,092
Century Pacific Food, Inc.

    145,200   98,592
Converge Information & Communications Technology Solutions, Inc.

    208,200   60,784
Security Description     Shares   Value
D&L Industries, Inc.

    337,900   $39,013
DigiPlus Interactive Corp.

    238,100   85,829
DMCI Holdings, Inc.

    571,200   117,222
GT Capital Holdings, Inc.

    21,337   277,957
International Container Terminal Services, Inc.

    227,780   1,642,170
JG Summit Holdings, Inc.

    515,090   255,534
Jollibee Foods Corp.

    105,840   507,314
LT Group, Inc.

    314,800   56,289
Manila Electric Co.

    63,940   499,996
Manila Water Co., Inc.

    223,300   105,797
Megaworld Corp.

    1,365,000   52,371
Metropolitan Bank & Trust Co.

    429,496   602,425
PLDT, Inc.

    13,395   356,164
Puregold Price Club, Inc.

    338,780   190,436
Robinsons Land Corp.

    375,144   105,238
Robinsons Retail Holdings, Inc.

    77,600   55,668
Semirara Mining & Power Corp.

    150,000   86,995
SM Investments Corp.

    58,325   995,025
SM Prime Holdings, Inc.

    2,798,600   1,613,112
Synergy Grid & Development Phils, Inc.

    202,800   33,693
TELUS International CDA, Inc. (a) (b)

    22,100   86,375
Universal Robina Corp.

    280,030   518,209
Wilcon Depot, Inc.

    99,300   32,428
          13,202,719
POLAND — 0.3%  
Alior Bank SA

    22,775   550,214
Allegro.eu SA (b) (d)

    159,088   1,443,540
Asseco Poland SA

    16,630   376,703
Auto Partner SA

    20,329   121,880
Bank Millennium SA (b)

    139,551   309,927
Bank Polska Kasa Opieki SA

    48,765   1,867,314
Budimex SA

    4,169   649,318
CCC SA (b)

    10,767   475,720
CD Projekt SA

    14,245   646,656
Cyfrowy Polsat SA (b)

    52,228   173,853
Dino Polska SA (b) (d)

    13,715   1,253,773
Enea SA (b)

    55,046   164,436
Eurocash SA

    12,734   31,401
Grupa Azoty SA (a) (b)

    49,998   265,871
Grupa Kety SA

    3,269   702,576
InPost SA (b)

    49,382   933,611
Jastrzebska Spolka Weglowa SA (a) (b)

    14,458   97,535
KGHM Polska Miedz SA

    33,721   1,400,683
KRUK SA

    3,866   447,236
LPP SA

    312   1,284,175
mBank SA (b)

    4,896   787,944
Orange Polska SA

    136,372   300,450
ORLEN SA

    136,818   1,992,551
PGE Polska Grupa Energetyczna SA (b)

    203,171   381,313
 
See accompanying notes to Schedule of Investments.
130

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Powszechna Kasa Oszczednosci Bank Polski SA

    221,150   $3,227,062
Powszechny Zaklad Ubezpieczen SA

    159,785   1,752,666
Santander Bank Polska SA

    10,158   1,202,925
Tauron Polska Energia SA (b)

    218,537   190,664
Text SA

    3,746   71,770
Warsaw Stock Exchange

    6,425   73,356
XTB SA (d)

    27,082   433,165
          23,610,288
PORTUGAL — 0.1%  
Altri SGPS SA

    11,642   65,225
Banco Comercial Portugues SA Class R

    1,861,941   842,429
Corticeira Amorim SGPS SA (a)

    7,984   78,858
CTT-Correios de Portugal SA

    16,915   82,874
EDP SA

    752,022   3,442,786
Galp Energia SGPS SA

    105,685   1,981,556
Greenvolt-Energias Renovaveis SA (b)

    10,498   97,245
Jeronimo Martins SGPS SA

    63,429   1,248,735
Mota-Engil SGPS SA (a)

    18,415   52,737
Navigator Co. SA

    56,434   232,282
NOS SGPS SA

    43,721   178,345
REN - Redes Energeticas Nacionais SGPS SA

    101,023   272,283
Semapa-Sociedade de Investimento e Gestao

    5,579   89,910
Sonae SGPS SA

    160,077   169,543
          8,834,808
QATAR — 0.2%  
Al Meera Consumer Goods Co. QSC

    26,382   108,687
Baladna

    275,933   103,068
Barwa Real Estate Co.

    488,520   382,793
Commercial Bank PSQC

    702,354   848,766
Doha Bank QPSC

    414,912   194,864
Dukhan Bank

    467,458   495,575
Estithmar Holding QPSC (b)

    90,909   46,291
Gulf International Services QSC

    149,047   132,632
Gulf Warehousing Co.

    42,346   40,392
Industries Qatar QSC

    352,881   1,263,820
Masraf Al Rayan QSC

    1,391,191   943,763
Mesaieed Petrochemical Holding Co.

    1,679,516   751,884
Ooredoo QPSC

    169,195   544,621
Qatar Aluminum Manufacturing Co.

    766,785   274,830
Qatar Electricity & Water Co. QSC

    102,139   442,948
Qatar Fuel QSC

    121,132   507,350
Qatar Gas Transport Co. Ltd.

    579,399   692,224
Security Description     Shares   Value
Qatar International Islamic Bank QSC

    189,272   $571,299
Qatar Islamic Bank QPSC

    431,833   2,532,171
Qatar National Bank QPSC

    1,140,219   5,308,078
Qatar Navigation QSC

    201,095   623,002
United Development Co. QSC

    1,537,116   491,826
Vodafone Qatar QSC

    302,258   156,068
          17,456,952
ROMANIA — 0.0% (f)  
NEPI Rockcastle NV (a)

    133,286   1,128,397
RUSSIA — 0.0%  
Alrosa PJSC (c)

    330,200  
Credit Bank of Moscow PJSC (b) (c)

    2,707,900  
Gazprom PJSC (c)

    1,561,848  
GMK Norilskiy Nickel PAO (c)

    950,300  
Inter RAO UES PJSC (c)

    5,356,000  
LUKOIL PJSC (c)

    54,554  
Mobile TeleSystems PJSC (c)

    31,200  
Mobile TeleSystems PJSC ADR (b) (c)

    53,100  
Moscow Exchange MICEX-RTS PJSC (c)

    191,435  
Novatek PJSC GDR (b) (c)

    286  
Novolipetsk Steel PJSC (c)

    224,930  
PhosAgro PJSC (b) (c)

    135  
PhosAgro PJSC GDR (b) (c)

    20,976  
Polyus PJSC (b) (c)

    4,492  
Polyus PJSC GDR (b) (c)

    1,062  
Rosneft Oil Co. PJSC (c)

    169,478  
Rostelecom PJSC (c)

    100,000  
Sberbank of Russia PJSC (c)

    1,586,024  
Severstal PAO (c)

    31,441  
Sistema PJSFC GDR (b) (c)

    40,100  
Surgutneftegas PJSC (c)

    888,900  
Surgutneftegas PJSC Preference Shares (c)

    802,100  
Tatneft PJSC (c)

    187,335  
TCS Group Holding PLC GDR (b) (c)

    1,787  
VK IPJSC GDR (b) (c)

    17,475  
VTB Bank PJSC (b) (c)

    87,478  
         
SAUDI ARABIA — 1.1%  
Abdullah Al Othaim Markets Co.

    90,217   286,663
ACWA Power Co.

    35,950   4,739,796
Ades Holding Co.

    83,356   447,066
Advanced Petrochemical Co. (b)

    32,252   333,576
Al Hammadi Holding

    27,000   307,325
Al Jouf Agricultural Development Co.

    6,797   115,959
Al Masane Al Kobra Mining Co.

    10,480   208,125
 
See accompanying notes to Schedule of Investments.
131

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Al Moammar Information Systems Co. (b)

    3,626   $188,868
Al Rajhi Bank

    483,780   11,245,299
Al Rajhi Co. for Co-operative Insurance (b)

    10,522   537,964
Al Rajhi REIT

    104,183   242,448
Alamar Foods

    3,456   72,134
Alaseel Co.

    41,322   51,440
Al-Dawaa Medical Services Co.

    6,646   169,365
Aldrees Petroleum & Transport Services Co.

    9,113   324,545
Alinma Bank

    273,565   2,078,318
AlKhorayef Water & Power Technologies Co. (b)

    5,225   225,636
Almarai Co. JSC

    52,392   770,922
Almunajem Foods Co.

    3,218   102,938
AlSaif Stores For Development & Investment Co.

    22,275   48,690
Alujain Corp. (b)

    7,396   82,804
Arab National Bank

    197,882   1,007,503
Arabian Cement Co.

    9,227   63,335
Arabian Centres Co. (d)

    99,383   578,591
Arabian Contracting Services Co. (b)

    2,606   139,074
Arabian Internet & Communications Services Co.

    5,390   405,177
Arriyadh Development Co.

    18,294   136,544
Astra Industrial Group

    8,946   400,631
Ataa Educational Co.

    3,559   77,510
Bank AlBilad

    137,990   1,449,274
Bank Al-Jazira (b)

    109,091   499,014
Banque Saudi Fransi

    124,786   1,071,096
Bawan Co.

    4,389   48,963
BinDawood Holding Co.

    145,480   302,486
Bupa Arabia for Cooperative Insurance Co.

    20,088   1,109,515
Catrion Catering Holding Co.

    7,183   212,537
City Cement Co.

    6,348   29,951
Co. for Cooperative Insurance

    17,625   693,461
Dallah Healthcare Co.

    9,649   414,109
Dar Al Arkan Real Estate Development Co. (b)

    121,911   506,961
Dr. Sulaiman Al Habib Medical Services Group Co.

    22,915   1,811,747
East Pipes Integrated Co. for Industry

    3,815   147,255
Eastern Province Cement Co.

    9,470   81,412
Electrical Industries Co.

    137,268   261,993
Elm Co.

    6,141   1,904,473
Emaar Economic City (b)

    74,864   175,017
Etihad Atheeb Telecommunication Co.

    4,723   117,464
Etihad Etisalat Co.

    84,453   1,157,137
First Milling Co.

    5,996   113,162
Herfy Food Services Co. (b)

    2,033   14,984
Security Description     Shares   Value
Jadwa REIT Saudi Fund

    30,786   $94,868
Jahez International Co. (b)

    26,656   173,093
Jamjoom Pharmaceuticals Factory Co.

    6,072   308,504
Jarir Marketing Co.

    132,392   463,728
Leejam Sports Co. JSC

    5,409   298,177
Maharah Human Resources Co.

    79,610   149,187
Mediterranean & Gulf Cooperative Insurance & Reinsurance Co. (b)

    13,889   88,042
Middle East Healthcare Co. (b)

    11,802   227,772
Middle East Paper Co. (b)

    18,521   216,738
Middle East Pharmaceutical Co.

    2,755   102,815
Mobile Telecommunications Co. Saudi Arabia

    86,172   251,758
Mouwasat Medical Services Co.

    23,271   619,708
Nahdi Medical Co.

    8,502   298,252
Najran Cement Co. (b)

    15,550   39,379
National Agriculture Development Co. (b)

    61,702   456,424
National Co. for Learning & Education

    2,895   163,140
National Gas & Industrialization Co.

    6,570   185,643
National Industrialization Co. (b)

    89,787   270,457
National Medical Care Co.

    5,781   318,376
Northern Region Cement Co.

    17,439   43,279
Perfect Presentation For Commercial Services Co. (b)

    16,920   68,106
Power & Water Utility Co. for Jubail & Yanbu

    15,068   241,801
Qassim Cement Co.

    8,869   125,538
Retal Urban Development Co.

    89,148   365,014
Riyad Bank

    327,698   2,176,850
SABIC Agri-Nutrients Co.

    51,220   1,622,044
Sahara International Petrochemical Co.

    91,006   712,008
SAL Saudi Logistics Services

    6,348   495,467
Saudi Arabian Mining Co. (b)

    297,067   3,864,389
Saudi Arabian Oil Co. (d)

    1,032,971   7,462,151
Saudi Aramco Base Oil Co.

    10,246   362,163
Saudi Automotive Services Co.

    6,941   158,566
Saudi Awwal Bank

    256,850   2,372,408
Saudi Basic Industries Corp.

    233,035   4,652,749
Saudi Cement Co.

    14,485   160,241
Saudi Ceramic Co. (b)

    8,760   76,125
Saudi Chemical Co. Holding

    167,160   510,650
Saudi Electricity Co.

    190,707   846,931
Saudi Ground Services Co.

    13,747   189,455
Saudi Industrial Investment Group

    87,437   456,367
 
See accompanying notes to Schedule of Investments.
132

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Saudi Investment Bank

    114,828   $399,146
Saudi Kayan Petrochemical Co. (b)

    167,662   375,423
Saudi National Bank

    745,685   6,817,987
Saudi Paper Manufacturing Co.

    7,734   134,006
Saudi Pharmaceutical Industries & Medical Appliances Corp. (b)

    10,157   94,493
Saudi Public Transport Co. (b)

    16,546   95,269
Saudi Real Estate Co. (b)

    41,287   297,155
Saudi Reinsurance Co. (b)

    9,582   92,081
Saudi Research & Media Group (b)

    7,750   593,738
Saudi Steel Pipe Co.

    6,939   132,254
Saudi Tadawul Group Holding Co.

    11,748   710,254
Saudi Telecom Co.

    499,659   5,820,520
Saudia Dairy & Foodstuff Co.

    3,420   343,878
Savola Group (b)

    121,735   876,165
Seera Group Holding (b)

    26,096   166,952
Sinad Holding Co. (b)

    26,480   111,527
Southern Province Cement Co.

    12,949   119,777
Sumou Real Estate Co.

    11,179   123,221
Sustained Infrastructure Holding Co.

    8,180   66,724
Tanmiah Food Co.

    2,556   98,114
Theeb Rent A Car Co.

    7,227   151,036
United Electronics Co.

    7,266   183,616
United International Transportation Co.

    5,610   130,403
Yamama Cement Co.

    20,429   171,540
Yanbu Cement Co.

    15,788   102,268
Yanbu National Petrochemical Co.

    60,223   685,483
          88,091,650
SINGAPORE — 1.0%  
AEM Holdings Ltd. (a)

    75,648   83,201
AIMS APAC REIT

    112,100   115,423
BW LPG Ltd. (d)

    19,392   277,090
CapitaLand Ascendas REIT

    868,674   1,937,915
CapitaLand Ascott Trust REIT

    614,885   467,639
CapitaLand China Trust REIT

    303,800   202,612
Capitaland India Trust

    200,300   181,239
CapitaLand Integrated Commercial Trust REIT

    1,415,281   2,340,402
CapitaLand Investment Ltd.

    605,200   1,472,874
CDL Hospitality Trusts REIT

    187,168   148,917
City Developments Ltd.

    116,600   491,139
ComfortDelGro Corp. Ltd.

    504,200   593,871
DBS Group Holdings Ltd.

    474,254   14,075,947
Digital Core REIT Management Pte. Ltd.

    214,600   131,979
ESR-LOGOS REIT

    1,527,420   345,516
Far East Hospitality Trust REIT

    140,900   70,340
Security Description     Shares   Value
Frasers Centrepoint Trust REIT

    280,192   $502,685
Frasers Hospitality Trust REIT

    135,000   49,493
Frasers Logistics & Commercial Trust REIT

    666,439   597,820
Genting Singapore Ltd.

    1,406,600   960,043
Grab Holdings Ltd. Class A (b)

    487,500   1,852,500
Hafnia Ltd.

    62,027   442,265
Hong Fok Corp. Ltd.

    61,000   39,969
iFAST Corp. Ltd.

    23,300   132,676
Kenon Holdings Ltd.

    5,301   149,637
Keppel DC REIT

    326,100   551,979
Keppel Infrastructure Trust

    981,675   356,068
Keppel Ltd.

    336,800   1,741,797
Keppel REIT

    575,360   428,603
Lendlease Global Commercial REIT

    315,527   148,903
Mapletree Industrial Trust REIT

    505,150   957,500
Mapletree Logistics Trust REIT

    805,047   916,824
Mapletree Pan Asia Commercial Trust REIT

    560,268   646,799
Netlink NBN Trust

    679,900   485,264
Olam Group Ltd.

    198,325   173,264
Oversea-Chinese Banking Corp. Ltd.

    805,911   9,492,399
Paragon REIT

    269,900   193,688
Parkway Life Real Estate Investment Trust

    87,600   286,989
Raffles Medical Group Ltd.

    139,876   100,379
Riverstone Holdings Ltd.

    100,800   69,585
SATS Ltd.

    208,536   587,219
Sea Ltd. ADR (b)

    89,300   8,419,204
Seatrium Ltd. (a) (b)

    515,825   716,200
Sembcorp Industries Ltd.

    212,700   919,156
Sheng Siong Group Ltd.

    144,600   172,573
SIA Engineering Co. Ltd.

    80,800   152,524
Singapore Airlines Ltd. (a)

    354,300   1,879,282
Singapore Exchange Ltd.

    302,600   2,695,548
Singapore Post Ltd.

    224,900   81,574
Singapore Technologies Engineering Ltd.

    481,700   1,750,953
Singapore Telecommunications Ltd.

    1,992,000   5,034,384
Starhill Global REIT

    385,208   163,758
StarHub Ltd.

    126,800   121,657
STMicroelectronics NV

    160,763   4,781,532
Suntec Real Estate Investment Trust

    452,600   469,546
UMS Integration Ltd.

    309,000   257,902
United Overseas Bank Ltd.

    300,893   7,550,490
UOL Group Ltd.

    107,433   465,934
Venture Corp. Ltd.

    69,100   756,758
Yangzijiang Financial Holding Ltd.

    370,300   115,538
          81,304,965
 
See accompanying notes to Schedule of Investments.
133

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
SOUTH AFRICA — 1.0%  
Absa Group Ltd.

    200,472   $2,040,958
AECI Ltd.

    27,750   166,653
African Rainbow Minerals Ltd. (a)

    57,599   632,929
Afrimat Ltd.

    38,727   153,447
Anglo American Platinum Ltd.

    14,406   518,616
Anglo American PLC

    306,152   9,974,853
Aspen Pharmacare Holdings Ltd. (a)

    85,908   972,120
AVI Ltd.

    85,323   544,641
Barloworld Ltd.

    32,805   164,820
Bid Corp. Ltd. (a)

    79,137   2,033,246
Bidvest Group Ltd. (a)

    80,286   1,364,105
Capitec Bank Holdings Ltd. (a)

    20,545   3,629,738
Clicks Group Ltd.

    54,168   1,247,821
Coronation Fund Managers Ltd. (a)

    44,887   101,821
DataTec Ltd.

    65,767   144,911
Dis-Chem Pharmacies Ltd. (d)

    111,613   245,798
Discovery Ltd.

    127,669   1,272,800
DRDGOLD Ltd.

    44,155   42,022
Equites Property Fund Ltd. REIT (a)

    159,974   133,679
Exxaro Resources Ltd. (a)

    57,692   576,033
FirstRand Ltd.

    1,191,176   5,741,423
Fortress Real Estate Investments Ltd. Class B (a)

    251,245   300,342
Foschini Group Ltd.

    71,707   650,013
Gold Fields Ltd.

    211,176   3,294,382
Grindrod Ltd.

    139,992   122,668
Growthpoint Properties Ltd. REIT

    731,511   595,566
Harmony Gold Mining Co. Ltd.

    129,858   1,342,400
Hosken Consolidated Investments Ltd.

    23,694   250,243
Hyprop Investments Ltd. REIT

    107,036   285,843
Impala Platinum Holdings Ltd. (b)

    213,381   1,198,128
Investec Ltd.

    59,188   450,595
JSE Ltd.

    20,858   155,256
Kumba Iron Ore Ltd.

    14,222   330,946
Life Healthcare Group Holdings Ltd.

    346,213   321,451
Momentum Group Ltd.

    280,914   480,402
Motus Holdings Ltd. (a)

    47,936   337,951
Mr. Price Group Ltd.

    60,589   950,086
MTN Group Ltd.

    398,061   2,121,221
MultiChoice Group (b)

    79,925   505,546
Naspers Ltd. Class N

    43,759   10,652,234
Nedbank Group Ltd. (a)

    109,408   1,898,141
Netcare Ltd.

    364,842   326,257
Ninety One Ltd.

    225,109   534,148
Northam Platinum Holdings Ltd. (a)

    78,103   494,203
Oceana Group Ltd.

    11,307   45,274
Old Mutual Ltd. (a)

    851,334   676,819
Security Description     Shares   Value
Old Mutual Ltd.

    315,585   $249,753
Omnia Holdings Ltd.

    27,807   104,935
OUTsurance Group Ltd.

    238,793   804,268
Pan African Resources PLC

    328,869   139,838
Pepkor Holdings Ltd. (d)

    534,616   747,361
Pick n Pay Stores Ltd. (b)

    90,211   135,218
Redefine Properties Ltd. REIT

    1,546,663   447,866
Remgro Ltd.

    116,452   1,063,188
Resilient REIT Ltd.

    55,944   190,695
Reunert Ltd.

    47,667   224,055
Sanlam Ltd.

    415,813   2,123,403
Santam Ltd.

    7,575   161,764
Sappi Ltd.

    130,549   367,045
Sasol Ltd.

    135,850   914,864
Scatec ASA (b) (d)

    35,708   281,897
Shoprite Holdings Ltd. (a)

    118,595   2,035,574
Sibanye Stillwater Ltd. (b)

    627,797   650,293
SPAR Group Ltd. (b)

    38,271   301,016
Standard Bank Group Ltd.

    316,323   4,448,622
Super Group Ltd.

    99,955   140,137
Telkom SA SOC Ltd. (b)

    39,144   59,855
Thungela Resources Ltd.

    37,800   240,740
Tiger Brands Ltd.

    36,103   488,147
Truworths International Ltd. (a)

    86,745   548,684
Vodacom Group Ltd.

    141,169   896,781
Vukile Property Fund Ltd. REIT

    247,620   262,385
Wilson Bayly Holmes-Ovcon Ltd.

    22,889   307,276
Woolworths Holdings Ltd. (a)

    213,480   843,762
          79,201,971
SOUTH KOREA — 3.1%  
ABLBio, Inc. (b)

    7,302   173,099
Advanced Nano Products Co. Ltd.

    2,134   153,559
Aekyung Chemical Co. Ltd.

    2,911   25,622
Ahnlab, Inc.

    2,297   94,676
Alteogen, Inc. (b)

    9,371   2,343,287
Amorepacific Corp.

    6,749   762,275
AMOREPACIFIC Group

    4,655   99,137
Ananti, Inc. (b)

    6,092   23,712
APR Corp. (b)

    891   181,579
Asiana Airlines, Inc. (b)

    10,835   78,381
BGF retail Co. Ltd.

    1,557   136,566
BH Co. Ltd.

    3,403   47,544
Bioneer Corp. (b)

    5,103   106,727
BNK Financial Group, Inc.

    60,750   419,959
Boryung

    3,324   27,503
C&C International Corp. (b)

    983   70,660
Caregen Co. Ltd.

    6,390   94,553
Cellivery Therapeutics, Inc. (b) (c)

    6,215   23,811
Celltrion Pharm, Inc. (b)

    4,043   212,399
Celltrion, Inc.

    36,013   5,381,158
Chabiotech Co. Ltd. (b)

    19,105   249,094
Cheil Worldwide, Inc.

    15,138   212,884
 
See accompanying notes to Schedule of Investments.
134

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Cheryong Electric Co. Ltd.

    2,905   $132,177
Chong Kun Dang Pharmaceutical Corp.

    2,276   195,628
Chunbo Co. Ltd. (b)

    931   43,001
CJ CGV Co. Ltd. (b)

    23,500   103,869
CJ CheilJedang Corp.

    1,788   415,655
CJ Corp.

    3,512   319,322
CJ ENM Co. Ltd. (b)

    1,582   84,804
CJ Logistics Corp.

    1,971   140,323
Classys, Inc.

    7,582   313,670
Cosmax, Inc.

    3,323   371,001
Cosmecca Korea Co. Ltd. (b)

    1,715   120,392
CosmoAM&T Co. Ltd. (b)

    5,225   501,044
Cosmochemical Co. Ltd. (b)

    4,945   89,053
Coway Co. Ltd.

    14,121   720,250
Creative & Innovative System (b)

    9,226   69,493
CS Wind Corp.

    5,047   266,302
Daeduck Electronics Co. Ltd.

    8,563   123,170
Daejoo Electronic Materials Co. Ltd. (b)

    2,655   227,392
Daesang Corp.

    4,987   81,420
Daewoo Engineering & Construction Co. Ltd. (b)

    52,482   153,710
Daewoong Co. Ltd.

    2,154   38,708
Daewoong Pharmaceutical Co. Ltd.

    1,213   128,285
Daishin Securities Co. Ltd.

    3,580   44,623
Daou Technology, Inc.

    6,450   91,199
DB HiTek Co. Ltd.

    7,593   233,997
DB Insurance Co. Ltd.

    11,291   969,626
Dear U Co. Ltd. (b)

    7,301   111,550
Delivery Hero SE (b) (d)

    44,406   1,795,039
Dentium Co. Ltd.

    2,224   138,777
Devsisters Co. Ltd. (b)

    551   16,433
DGB Financial Group, Inc.

    26,545   164,219
DI Dong Il Corp.

    3,206   89,730
DL E&C Co. Ltd.

    6,686   152,106
DL Holdings Co. Ltd.

    2,132   71,654
DN Automotive Corp.

    454   34,752
Dong-A Socio Holdings Co. Ltd.

    363   32,561
Dong-A ST Co. Ltd.

    563   30,654
Dongjin Semichem Co. Ltd.

    7,712   171,024
DongKook Pharmaceutical Co. Ltd.

    4,240   54,958
Dongsuh Cos., Inc.

    7,745   113,359
Doosan Bobcat, Inc.

    12,723   395,009
Doosan Co. Ltd.

    2,242   290,601
Doosan Enerbility Co. Ltd. (b)

    103,468   1,417,077
Doosan Fuel Cell Co. Ltd. (b)

    10,534   152,891
Doosan Tesna, Inc.

    3,718   88,564
DoubleUGames Co. Ltd.

    1,011   38,656
Douzone Bizon Co. Ltd.

    3,770   151,065
Dreamtech Co. Ltd.

    11,158   73,039
Duk San Neolux Co. Ltd. (b)

    1,243   29,846
Duksan Techopia Co. Ltd. (b)

    3,142   108,121
Security Description     Shares   Value
Ecopro BM Co. Ltd. (b)

    11,284   $1,592,030
Ecopro Co. Ltd. (b)

    23,041   1,561,086
Ecopro HN Co. Ltd.

    2,376   100,476
Ecopro Materials Co. Ltd. (b)

    3,042   313,807
E-MART, Inc.

    5,504   249,168
EMRO, Inc. (b)

    2,432   97,637
Enchem Co. Ltd. (b)

    3,370   468,507
Eo Technics Co. Ltd.

    1,871   219,192
ESR Kendall Square REIT Co. Ltd.

    16,720   63,801
Eugene Technology Co. Ltd.

    3,217   93,359
F&F Co. Ltd.

    2,987   156,465
Fadu, Inc. (b)

    2,653   30,330
Fila Holdings Corp.

    9,123   294,752
Foosung Co. Ltd. (b)

    15,417   77,338
Gaonchips Co. Ltd. (b)

    996   32,789
GC Cell Corp.

    1,225   29,789
GigaVis Co. Ltd.

    983   29,843
GOLFZON Co. Ltd.

    868   45,733
Grand Korea Leisure Co. Ltd.

    3,328   31,710
Green Cross Corp.

    1,262   146,206
Green Cross Holdings Corp.

    5,248   62,164
GS Engineering & Construction Corp. (b)

    18,346   257,296
GS Holdings Corp.

    11,346   369,177
GS Retail Co. Ltd.

    6,723   109,762
HAESUNG DS Co. Ltd.

    2,588   58,184
Han Kuk Carbon Co. Ltd.

    18,930   156,483
Hana Financial Group, Inc.

    68,980   3,101,647
Hana Materials, Inc.

    2,047   50,248
Hana Micron, Inc.

    7,322   65,734
Hana Tour Service, Inc.

    2,425   93,647
Hanall Biopharma Co. Ltd. (b)

    12,699   376,299
Hancom, Inc.

    3,393   48,546
Hanil Cement Co. Ltd.

    5,238   55,156
Hanjin Kal Corp.

    7,055   445,085
Hankook & Co. Co. Ltd.

    2,676   34,972
Hankook Tire & Technology Co. Ltd.

    18,375   582,430
Hanmi Pharm Co. Ltd.

    1,543   379,349
Hanmi Science Co. Ltd.

    6,614   161,342
Hanmi Semiconductor Co. Ltd.

    9,833   814,341
Hanon Systems

    41,312   134,421
Hansae Co. Ltd.

    2,164   26,477
Hansol Chemical Co. Ltd.

    1,959   201,338
Hanssem Co. Ltd.

    2,499   107,589
Hanwha Aerospace Co. Ltd.

    9,613   2,183,269
Hanwha Corp.

    8,951   197,816
Hanwha Engine (b)

    10,044   103,382
Hanwha General Insurance Co. Ltd.

    24,869   95,467
Hanwha Industrial Solutions Co. Ltd. (b)

    10,647   271,121
Hanwha Investment & Securities Co. Ltd. (b)

    13,008   33,075
Hanwha Life Insurance Co. Ltd.

    83,342   182,910
 
See accompanying notes to Schedule of Investments.
135

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Hanwha Ocean Co. Ltd. (b)

    21,685   $506,597
Hanwha Solutions Corp.

    24,133   477,050
Hanwha Systems Co. Ltd.

    37,056   506,662
Harim Holdings Co. Ltd.

    12,382   52,834
HD Hyundai Co. Ltd.

    10,025   586,459
HD Hyundai Construction Equipment Co. Ltd.

    2,085   83,706
HD Hyundai Electric Co. Ltd.

    5,523   1,391,625
HD Hyundai Heavy Industries Co. Ltd. (b)

    5,121   722,900
HD Hyundai Infracore Co. Ltd.

    37,177   213,220
HD HYUNDAI MIPO

    5,058   385,626
HD Korea Shipbuilding & Offshore Engineering Co. Ltd.

    9,908   1,422,139
HDC Hyundai Development Co-Engineering & Construction

    6,351   108,303
Hite Jinro Co. Ltd.

    4,760   74,074
HK inno N Corp.

    3,166   118,268
HL Mando Co. Ltd.

    6,581   185,196
HLB Life Science Co. Ltd. (b)

    22,874   190,485
Hlb Pharma Ceutical Co. Ltd. (b)

    6,367   127,077
HLB Therapeutics Co. Ltd. (b)

    24,247   176,703
HLB, Inc. (b)

    27,071   1,774,095
HMM Co. Ltd.

    55,649   788,542
Hotel Shilla Co. Ltd.

    7,245   264,824
HPSP Co. Ltd.

    9,413   223,862
Hugel, Inc. (b)

    1,296   237,357
HYBE Co. Ltd.

    7,031   907,573
Hyosung Advanced Materials Corp.

    620   137,256
Hyosung Corp.

    1,488   58,942
Hyosung Heavy Industries Corp.

    1,007   268,364
Hyosung TNC Corp.

    406   98,574
Hyundai Bioscience Co. Ltd. (b)

    8,944   130,976
Hyundai Department Store Co. Ltd.

    2,120   79,275
Hyundai Elevator Co. Ltd.

    4,885   169,968
Hyundai Engineering & Construction Co. Ltd.

    17,107   398,993
Hyundai Feed, Inc. (b)

    12,561   9,548
Hyundai Glovis Co. Ltd.

    8,272   772,357
Hyundai Home Shopping Network Corp.

    292   10,405
Hyundai Marine & Fire Insurance Co. Ltd.

    11,464   289,296
Hyundai Mobis Co. Ltd.

    14,047   2,336,333
Hyundai Motor Co.

    33,486   6,248,057
Hyundai Motor Co. Preference Shares (e)

    8,335   1,117,962
Hyundai Motor Co. Preference Shares (e)

    4,833   627,917
Hyundai Rotem Co. Ltd.

    17,629   722,577
Security Description     Shares   Value
Hyundai Steel Co.

    18,969   $404,707
Hyundai Wia Corp.

    3,319   130,709
Iljin Electric Co. Ltd.

    7,848   133,231
Iljin Hysolus Co. Ltd. (b)

    3,038   50,064
Industrial Bank of Korea

    66,386   709,194
Innocean Worldwide, Inc.

    11,628   170,192
Innox Advanced Materials Co. Ltd.

    3,006   62,639
Intellian Technologies, Inc.

    1,883   79,196
IS Dongseo Co. Ltd.

    3,285   56,270
ISC Co. Ltd.

    5,870   259,901
ISU Specialty Chemical (b)

    7,025   276,122
IsuPetasys Co. Ltd.

    12,315   344,202
Jahwa Electronics Co. Ltd. (b)

    2,798   37,593
JB Financial Group Co. Ltd.

    28,335   331,734
Jeio Co. Ltd. (b)

    1,882   26,222
Jeju Air Co. Ltd. (b)

    3,342   23,026
Jeju Semiconductor Corp. (b)

    5,854   59,314
Jin Air Co. Ltd. (b)

    2,445   19,015
JNTC Co. Ltd. (b)

    7,289   116,495
Joongang Advanced Materials Co. Ltd. (b)

    16,178   124,208
JR Global Reit

    95,011   257,199
Jusung Engineering Co. Ltd.

    10,171   208,444
JW Pharmaceutical Corp.

    1,608   33,877
JYP Entertainment Corp.

    7,133   274,913
K Car Co. Ltd.

    2,518   24,897
Kakao Corp.

    71,855   1,986,356
Kakao Games Corp. (b)

    8,347   111,702
KakaoBank Corp.

    36,042   582,923
Kangwon Land, Inc.

    21,244   275,683
KB Financial Group, Inc.

    90,446   5,595,382
KCC Corp.

    1,069   246,466
KCC Glass Corp.

    1,162   35,588
KEPCO Engineering & Construction Co., Inc.

    3,524   180,283
KEPCO Plant Service & Engineering Co. Ltd.

    3,509   112,968
KG Dongbusteel

    4,738   24,239
KG Mobility Co. (b)

    10,095   40,914
Kia Corp.

    61,659   4,710,357
KIWOOM Securities Co. Ltd.

    4,384   435,819
Koh Young Technology, Inc.

    11,662   94,352
Kolmar Korea Co. Ltd.

    2,978   169,430
Kolon Industries, Inc.

    2,530   69,359
KoMiCo Ltd.

    1,382   60,767
Korea Aerospace Industries Ltd.

    20,387   812,237
Korea Electric Power Corp.

    59,254   931,154
Korea Electric Terminal Co. Ltd.

    599   32,018
Korea Gas Corp. (b)

    8,763   312,270
Korea Investment Holdings Co. Ltd.

    9,412   528,287
Korea Line Corp. (b)

    17,625   27,832
Korea Petrochemical Ind Co. Ltd.

    507   45,090
 
See accompanying notes to Schedule of Investments.
136

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Korea Zinc Co. Ltd.

    2,671   $1,405,252
Korean Air Lines Co. Ltd.

    46,136   795,570
Korean Reinsurance Co.

    34,233   215,707
Krafton, Inc. (b)

    6,696   1,753,751
KT Corp.

    12,940   397,788
KT&G Corp.

    24,599   2,048,506
Kum Yang Co. Ltd. (b)

    8,903   356,066
Kumho Petrochemical Co. Ltd.

    3,498   422,371
Kumho Tire Co., Inc. (b)

    24,818   85,972
Kyung Dong Navien Co. Ltd.

    1,463   79,544
L&F Co. Ltd. (b)

    5,988   519,720
Lake Materials Co. Ltd. (b)

    7,818   102,112
LEENO Industrial, Inc.

    3,095   447,316
LG Chem Ltd.

    11,854   3,231,591
LG Chem Ltd. Preference Shares

    1,534   284,465
LG Corp.

    21,779   1,317,366
LG Display Co. Ltd. (b)

    71,602   599,010
LG Electronics, Inc.

    24,545   1,957,669
LG Energy Solution Ltd. (b)

    11,042   3,499,969
LG H&H Co. Ltd.

    2,348   680,502
LG Innotek Co. Ltd.

    3,277   546,292
LG Uplus Corp.

    46,209   346,647
LIG Nex1 Co. Ltd.

    4,497   725,600
LigaChem Biosciences, Inc. (b)

    6,542   493,764
Lotte Chemical Corp.

    4,266   331,115
Lotte Chilsung Beverage Co. Ltd.

    412   40,957
Lotte Corp.

    5,009   94,419
Lotte Energy Materials Corp.

    5,252   165,468
LOTTE Fine Chemical Co. Ltd.

    2,494   91,544
LOTTE REIT Co. Ltd.

    60,799   165,050
Lotte Rental Co. Ltd.

    2,023   46,951
Lotte Shopping Co. Ltd.

    2,741   128,907
Lotte Tour Development Co. Ltd. (b)

    20,178   157,079
Lotte Wellfood Co. Ltd.

    1,011   109,086
LS Corp.

    4,087   385,041
LS Eco Energy Ltd.

    4,815   97,574
LS Electric Co. Ltd.

    3,457   431,695
LS Materials Ltd.

    6,861   96,800
Lunit, Inc. (b)

    7,175   235,929
LX Holdings Corp.

    5,008   27,344
LX International Corp.

    14,247   326,841
LX Semicon Co. Ltd.

    2,737   134,579
Medytox, Inc.

    1,333   196,122
MegaStudyEdu Co. Ltd.

    1,164   39,476
Meritz Financial Group, Inc.

    35,084   2,605,075
Mezzion Pharma Co. Ltd. (b)

    6,067   125,729
Mirae Asset Securities Co. Ltd.

    56,403   363,167
Myoung Shin Industrial Co. Ltd.

    3,805   37,884
Naturecell Co. Ltd. (b)

    12,479   93,996
NAVER Corp.

    30,656   3,971,191
NCSoft Corp.

    3,175   463,734
Security Description     Shares   Value
Netmarble Corp. (b) (d)

    5,495   $250,021
Nexen Tire Corp.

    7,888   43,249
Nexon Games Co. Ltd. (b)

    6,243   74,666
NEXTIN, Inc.

    1,384   55,563
NH Investment & Securities Co. Ltd.

    36,806   377,714
NHN Corp.

    3,708   48,374
NICE Information Service Co. Ltd.

    10,100   81,946
NKMax Co. Ltd. (b)

    18,462   28,518
NongShim Co. Ltd.

    723   212,858
OCI Co. Ltd.

    993   61,963
OCI Holdings Co. Ltd.

    2,996   162,435
Orion Corp.

    4,950   369,064
Orion Holdings Corp.

    5,222   63,493
Oscotec, Inc. (b)

    5,686   150,879
Ottogi Corp.

    406   132,415
Pan Ocean Co. Ltd.

    57,731   176,367
Paradise Co. Ltd.

    12,649   116,750
Park Systems Corp.

    970   143,160
Pearl Abyss Corp. (b)

    6,377   188,233
People & Technology, Inc. (b)

    3,700   158,446
Peptron, Inc. (b)

    4,623   181,710
PharmaResearch Co. Ltd.

    1,311   193,186
PI Advanced Materials Co. Ltd. (b)

    1,584   26,043
Poongsan Corp.

    3,880   181,880
Posco DX Co. Ltd.

    11,689   272,627
POSCO Future M Co. Ltd.

    7,311   1,397,683
POSCO Holdings, Inc.

    16,961   4,993,489
Posco International Corp.

    12,452   543,710
Posco M-Tech Co. Ltd.

    4,127   57,280
PSK Holdings, Inc.

    1,526   51,754
PSK, Inc.

    2,330   40,713
Rainbow Robotics (b)

    3,635   388,879
S&S Tech Corp.

    2,995   59,318
S-1 Corp.

    3,092   139,739
Sam Chun Dang Pharm Co. Ltd.

    2,749   293,462
Sam-A Aluminum Co. Ltd.

    1,022   39,858
Samsung Biologics Co. Ltd. (b) (d)

    4,351   3,250,690
Samsung C&T Corp.

    23,658   2,492,982
Samsung E&A Co. Ltd. (b)

    33,867   569,759
Samsung Electro-Mechanics Co. Ltd.

    12,818   1,298,757
Samsung Electronics Co. Ltd.

    1,147,148   53,949,378
Samsung Electronics Co. Ltd. Preference Shares

    197,748   7,697,005
Samsung Fire & Marine Insurance Co. Ltd.

    7,106   1,872,002
Samsung Heavy Industries Co. Ltd. (b)

    155,723   1,194,388
Samsung Life Insurance Co. Ltd.

    18,430   1,313,509
Samsung SDI Co. Ltd.

    13,957   4,039,707
Samsung SDS Co. Ltd.

    10,041   1,187,843
 
See accompanying notes to Schedule of Investments.
137

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Samsung Securities Co. Ltd.

    14,135   $470,734
Samyang Foods Co. Ltd.

    895   371,633
Samyang Holdings Corp.

    808   48,133
SD Biosensor, Inc. (b)

    6,738   47,300
SeAH Besteel Holdings Corp.

    1,754   27,563
SeAH Steel Holdings Corp.

    1,440   191,824
Sebang Global Battery Co. Ltd.

    1,623   105,122
Seegene, Inc.

    5,723   108,316
Seojin System Co. Ltd. (b)

    5,942   121,775
Seoul Semiconductor Co. Ltd.

    9,084   60,365
SFA Engineering Corp.

    4,891   98,553
SFA Semicon Co. Ltd. (b)

    9,437   26,881
Shin Poong Pharmaceutical Co. Ltd. (b)

    5,405   51,458
Shinhan Financial Group Co. Ltd.

    105,815   4,490,887
Shinsegae International, Inc.

    1,130   11,847
Shinsegae, Inc.

    1,389   168,991
Shinsung Delta Tech Co. Ltd.

    3,443   123,745
Silicon2 Co. Ltd. (b)

    7,124   251,685
SIMMTECH Co. Ltd.

    6,354   93,291
SK Biopharmaceuticals Co. Ltd. (b)

    6,766   538,093
SK Bioscience Co. Ltd. (b)

    6,365   269,650
SK Chemicals Co. Ltd.

    1,680   65,520
SK Discovery Co. Ltd.

    2,244   59,202
SK Gas Ltd.

    498   64,778
SK Hynix, Inc.

    132,344   17,670,156
SK IE Technology Co. Ltd. (b) (d)

    6,160   170,522
SK Innovation Co. Ltd. (b)

    13,936   1,247,920
SK Networks Co. Ltd.

    38,191   141,789
SK oceanplant Co. Ltd. (b)

    5,577   63,800
SK REITs Co. Ltd.

    61,379   241,724
SK Square Co. Ltd. (b)

    23,076   1,425,817
SK Telecom Co. Ltd.

    11,658   498,342
SK, Inc.

    8,511   997,083
SKC Co. Ltd. (b)

    4,369   478,428
SL Corp.

    1,756   47,603
SM Entertainment Co. Ltd.

    2,962   151,532
SNT Motiv Co. Ltd.

    938   33,569
S-Oil Corp.

    10,391   486,296
SOLUM Co. Ltd. (b)

    10,424   161,816
Solus Advanced Materials Co. Ltd.

    5,776   55,211
Soop Co. Ltd.

    1,389   106,536
Soulbrain Co. Ltd.

    779   132,246
Soulbrain Holdings Co. Ltd.

    1,062   45,478
SPG Co. Ltd.

    2,642   48,589
ST Pharm Co. Ltd.

    2,098   161,557
Studio Dragon Corp. (b)

    2,238   63,921
Sungeel Hitech Co. Ltd. (b)

    859   38,493
Sungwoo Hitech Co. Ltd.

    9,530   48,754
Synopex, Inc. (b)

    13,749   78,223
Taekwang Industrial Co. Ltd.

    74   37,065
Security Description     Shares   Value
Taihan Electric Wire Co. Ltd. (b)

    30,467   $280,277
TCC Steel

    3,940   115,395
TechWing, Inc.

    9,109   259,471
TKG Huchems Co. Ltd.

    1,984   29,190
Tokai Carbon Korea Co. Ltd.

    1,212   85,638
Unid Co. Ltd.

    888   52,830
Voronoi, Inc. (b)

    3,210   238,105
VT Co. Ltd. (b)

    4,639   119,904
Webzen, Inc.

    4,173   54,664
Wemade Co. Ltd. (b)

    4,152   107,951
Won Tech Co. Ltd.

    14,625   78,286
WONIK IPS Co. Ltd. (b)

    5,486   130,259
Wonik QnC Corp.

    1,915   37,415
Woori Financial Group, Inc.

    159,783   1,893,887
W-Scope Chungju Plant Co. Ltd. (b)

    4,231   65,194
YC Corp. (b)

    6,775   68,439
YG Entertainment, Inc.

    2,609   74,318
Youlchon Chemical Co. Ltd.

    2,226   38,640
Youngone Corp.

    4,506   139,208
Youngone Holdings Co. Ltd.

    1,025   72,033
Yuanta Securities Korea Co. Ltd.

    18,956   42,182
Yuhan Corp.

    14,955   1,630,789
          247,660,205
SPAIN — 1.6%  
Acciona SA

    5,526   786,330
Acerinox SA

    44,014   474,763
ACS Actividades de Construccion y Servicios SA

    49,932   2,311,540
Aena SME SA (d)

    17,974   3,963,834
Almirall SA (a)

    17,777   173,402
Amadeus IT Group SA

    109,045   7,900,745
AmRest Holdings SE (b)

    15,970   96,370
Atresmedia Corp. de Medios de Comunicacion SA

    20,752   110,011
Audax Renovables SA (b)

    30,037   62,352
Banco Bilbao Vizcaya Argentaria SA

    1,395,283   15,117,355
Banco de Sabadell SA (a)

    1,250,300   2,663,814
Banco Santander SA

    3,734,526   19,174,510
Bankinter SA

    149,492   1,322,712
Befesa SA (d)

    8,540   247,808
CaixaBank SA

    904,492   5,414,736
Cellnex Telecom SA (b) (d)

    135,360   5,503,428
CIE Automotive SA

    9,535   275,084
Construcciones y Auxiliar de Ferrocarriles SA

    3,468   138,176
Distribuidora Internacional de Alimentacion SA (b)

    3,493,966   49,913
EDP Renovaveis SA

    68,852   1,207,192
eDreams ODIGEO SA (b)

    18,564   141,092
Enagas SA (a)

    56,204   864,371
Ence Energia y Celulosa SA (a)

    35,434   118,797
 
See accompanying notes to Schedule of Investments.
138

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Endesa SA

    83,318   $1,825,336
Faes Farma SA

    63,508   263,312
Fluidra SA

    20,810   545,788
Gestamp Automocion SA (a) (d)

    33,976   104,846
Global Dominion Access SA (a) (d)

    10,388   34,027
Grenergy Renovables SA (a) (b)

    1,485   63,144
Grifols SA (a) (b)

    64,428   735,227
Iberdrola SA

    1,467,813   22,753,946
Indra Sistemas SA (a)

    38,675   711,762
Industria de Diseno Textil SA

    261,304   15,497,133
Inmobiliaria Colonial Socimi SA REIT (a)

    60,223   418,730
Laboratorios Farmaceuticos Rovi SA

    4,490   358,792
Lar Espana Real Estate Socimi SA REIT

    11,653   104,693
Linea Directa Aseguradora SA Cia de Seguros y Reaseguros (a)

    102,412   123,441
Logista Integral SA

    14,361   433,707
Mapfre SA

    217,548   580,764
Melia Hotels International SA

    25,327   183,872
Merlin Properties Socimi SA REIT

    94,567   1,200,007
Neinor Homes SA (d)

    7,187   120,476
Pharma Mar SA

    2,303   127,742
Prosegur Cash SA (a) (d)

    40,918   26,715
Redeia Corp. SA

    92,191   1,797,485
Repsol SA

    291,747   3,856,783
Sacyr SA (e)

    121,711   441,194
Sacyr SA (b) (e)

    2,202   7,985
Solaria Energia y Medio Ambiente SA (a) (b)

    16,480   210,962
Talgo SA (b) (d)

    13,385   51,985
Tecnicas Reunidas SA (b)

    12,804   169,335
Telefonica SA (a)

    1,123,360   5,511,380
Unicaja Banco SA (d)

    398,000   508,595
Vidrala SA

    4,530   513,660
Viscofan SA (a)

    10,060   715,190
          128,116,349
SWEDEN — 2.2%  
AAK AB

    44,512   1,462,275
AcadeMedia AB (d)

    15,147   100,864
AddLife AB Class B

    25,014   400,753
Addnode Group AB

    27,720   303,272
AddTech AB Class B

    63,101   1,893,665
AFRY AB

    18,947   345,796
Alfa Laval AB

    68,265   3,283,745
Alimak Group AB (d)

    12,150   135,924
Alleima AB

    36,821   259,359
Alligo AB Class B

    5,062   72,610
Ambea AB (d)

    28,819   255,876
AQ Group AB

    19,140   226,811
Security Description     Shares   Value
Arjo AB Class B

    74,541   $328,855
Assa Abloy AB Class B

    238,546   8,038,920
Atea ASA

    21,003   271,993
Atlas Copco AB Class A

    643,711   12,475,290
Atlas Copco AB Class B

    371,487   6,369,438
Atrium Ljungberg AB Class B (a)

    12,994   315,345
Attendo AB (d)

    18,258   86,097
Avanza Bank Holding AB (a)

    28,108   697,390
Axfood AB

    24,227   684,033
Beijer Ref AB (a)

    87,527   1,441,571
Betsson AB Class B

    26,995   331,825
Bilia AB Class A

    14,418   170,827
Billerud Aktiebolag

    53,005   609,187
BioArctic AB (b) (d)

    7,654   119,681
BioGaia AB Class B

    31,050   343,993
Biotage AB

    25,774   474,716
Boliden AB

    64,533   2,193,203
BoneSupport Holding AB (b) (d)

    40,703   1,225,515
Boozt AB (b) (d)

    10,974   121,036
Bravida Holding AB (d)

    41,659   314,191
Bufab AB

    6,983   251,031
Bure Equity AB

    11,557   469,732
Camurus AB (b)

    7,543   480,711
Castellum AB (b)

    93,791   1,377,266
Catena AB (a)

    9,063   518,570
Cibus Nordic Real Estate AB publ (a)

    9,643   167,525
Clas Ohlson AB Class B

    7,371   122,600
Cloetta AB Class B

    28,896   69,727
Coor Service Management Holding AB (d)

    14,679   65,281
Corem Property Group AB Class B (a)

    130,068   133,063
Creades AB Class A

    14,930   122,470
Dios Fastigheter AB

    40,777   352,192
Dometic Group AB (d)

    69,010   411,203
Electrolux AB Class B (b)

    50,007   486,128
Electrolux Professional AB Class B

    48,576   321,073
Elekta AB Class B

    82,362   588,265
Embracer Group AB (b)

    181,747   473,167
Engcon AB (a)

    40,688   470,437
Epiroc AB Class A

    156,844   3,396,332
Epiroc AB Class B

    93,456   1,772,941
EQT AB (a)

    88,129   3,021,213
Essity AB Class B

    146,019   4,564,984
Evolution AB (d)

    43,399   4,272,853
Fabege AB (a)

    53,473   530,689
Fastighets AB Balder Class B (b)

    158,833   1,398,011
Fortnox AB (a)

    109,565   680,958
Getinge AB Class B

    54,439   1,175,074
Granges AB

    22,094   265,479
H & M Hennes & Mauritz AB Class B (a)

    148,300   2,528,090
 
See accompanying notes to Schedule of Investments.
139

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Hemnet Group AB

    31,894   $1,176,132
Hexagon AB Class B

    497,554   5,360,071
Hexatronic Group AB (b)

    27,906   142,110
Hexpol AB

    58,933   610,458
HMS Networks AB (a)

    6,563   261,572
Holmen AB Class B

    19,373   839,778
Hufvudstaden AB Class A

    25,389   347,400
Husqvarna AB Class B (a)

    84,931   594,884
Industrivarden AB Class A

    28,073   1,039,105
Industrivarden AB Class C (a)

    36,498   1,344,110
Indutrade AB

    64,470   2,007,254
Instalco AB

    47,213   194,691
Investment AB Latour Class B

    35,482   1,108,572
Investment AB Oresund

    3,443   43,341
Investor AB Class B

    414,793   12,789,649
INVISIO AB

    9,060   206,466
Inwido AB

    14,516   269,080
JM AB (a)

    12,817   256,679
Kinnevik AB Class B

    54,348   442,758
L E Lundbergforetagen AB Class B (a)

    18,666   1,069,880
Lifco AB Class B

    55,001   1,813,363
Lindab International AB

    17,669   494,340
Loomis AB

    15,205   500,703
Medicover AB Class B

    15,499   291,124
MEKO AB

    8,779   122,116
MIPS AB

    6,305   336,504
Modern Times Group MTG AB Class B (b)

    15,662   122,062
Munters Group AB (d)

    29,675   678,597
Mycronic AB

    17,504   682,091
NCAB Group AB

    38,365   255,285
NCC AB Class B

    21,013   351,785
New Wave Group AB Class B (a)

    35,695   402,144
Nibe Industrier AB Class B (a)

    351,385   1,929,453
Nolato AB Class B

    43,985   242,563
Nordnet AB publ (a)

    31,795   764,089
Norion Bank AB (b)

    28,130   115,028
NP3 Fastigheter AB

    5,090   133,569
Nyfosa AB

    39,890   473,803
Pandox AB

    24,135   483,338
Paradox Interactive AB

    7,501   133,051
Peab AB Class B

    38,686   310,660
Platzer Fastigheter Holding AB Class B

    9,670   105,318
Ratos AB Class B

    39,105   133,711
Rusta AB

    11,872   92,349
Rvrc Holding AB

    20,248   94,522
Saab AB Class B (a)

    74,267   1,581,817
Sagax AB Class B

    50,934   1,453,161
Samhallsbyggnadsbolaget i Norden AB (a)

    170,381   123,122
Sandvik AB

    252,609   5,654,458
Scandic Hotels Group AB (b) (d)

    24,676   171,621
Sdiptech AB Class B (b)

    6,902   202,908
Security Description     Shares   Value
Sectra AB Class B (a)

    30,873   $864,369
Securitas AB Class B

    117,861   1,498,755
Skandinaviska Enskilda Banken AB Class A

    380,292   5,824,471
Skanska AB Class B

    81,542   1,703,786
SKF AB Class B

    79,240   1,579,078
SkiStar AB

    6,323   102,861
SSAB AB Class A

    51,377   269,541
SSAB AB Class B

    158,764   814,447
Stillfront Group AB (b)

    109,706   70,510
Storskogen Group AB Class B

    326,603   313,631
Surgical Science Sweden AB (a) (b)

    8,795   110,105
Svenska Cellulosa AB SCA Class B

    144,230   2,105,127
Svenska Handelsbanken AB Class A

    347,141   3,570,176
Svolder AB Class B

    24,332   149,666
Sweco AB Class B

    49,097   833,573
Swedbank AB Class A

    200,318   4,254,727
SwedenCare AB

    13,025   56,898
Swedish Orphan Biovitrum AB (b)

    49,333   1,591,450
Synsam AB

    17,055   84,294
Tele2 AB Class B

    128,524   1,456,840
Telefonaktiebolaget LM Ericsson Class B (a)

    665,890   5,039,864
Telia Co. AB

    547,023   1,772,215
Thule Group AB (d)

    24,043   734,340
Trelleborg AB Class B

    52,084   2,004,930
Troax Group AB

    8,337   175,185
Truecaller AB Class B (a)

    83,057   315,624
VBG Group AB Class B

    4,204   161,124
Vimian Group AB (a) (b)

    58,507   269,546
Vitec Software Group AB Class B

    11,478   595,607
Vitrolife AB (a)

    17,730   446,722
Volvo AB Class A

    45,536   1,216,498
Volvo AB Class B

    412,718   10,919,931
Volvo Car AB Class B (a) (b)

    164,326   452,615
Wallenstam AB Class B (a)

    80,636   468,943
Wihlborgs Fastigheter AB

    62,918   727,462
Xvivo Perfusion AB (b)

    5,791   291,932
Yubico AB (a) (b)

    10,248   252,747
          179,293,356
SWITZERLAND — 3.9%  
ABB Ltd.

    380,502   22,098,030
Accelleron Industries AG

    21,661   1,125,740
Adecco Group AG

    39,052   1,332,365
Alcon, Inc.

    120,038   11,998,819
Allreal Holding AG

    3,432   646,081
ALSO Holding AG

    1,574   505,665
Arbonia AG (b)

    9,785   150,101
Aryzta AG (b)

    225,832   433,968
Autoneum Holding AG (a)

    1,620   230,071
Avolta AG

    22,401   950,691
 
See accompanying notes to Schedule of Investments.
140

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Bachem Holding AG

    7,819   $659,964
Baloise Holding AG

    10,725   2,193,187
Banque Cantonale Vaudoise

    6,923   716,880
Barry Callebaut AG (a)

    807   1,498,147
Basilea Pharmaceutica AG (b)

    2,131   117,091
Belimo Holding AG

    2,334   1,669,811
BKW AG

    4,709   856,334
Bossard Holding AG Class A (a)

    1,440   406,283
Bucher Industries AG

    1,557   707,853
Burckhardt Compression Holding AG

    655   470,547
Burkhalter Holding AG

    1,578   166,863
Bystronic AG (a)

    386   158,784
Cembra Money Bank AG

    7,119   666,285
Chocoladefabriken Lindt & Spruengli AG (e)

    225   2,910,023
Chocoladefabriken Lindt & Spruengli AG (e)

    26   3,322,625
Cie Financiere Richemont SA Class A

    130,063   20,629,992
Clariant AG

    54,858   832,414
Comet Holding AG

    2,088   825,497
Daetwyler Holding AG Bearer Shares (a)

    1,737   355,410
DKSH Holding AG

    8,338   664,233
DocMorris AG (a) (b)

    3,347   147,997
dormakaba Holding AG (a)

    655   486,077
Dottikon Es Holding AG (a) (b)

    702   215,539
DSM-Firmenich AG

    44,261   6,108,001
EFG International AG

    21,977   295,962
Emmi AG

    492   504,511
EMS-Chemie Holding AG

    1,992   1,676,629
Flughafen Zurich AG

    4,830   1,164,628
Forbo Holding AG

    341   356,139
Galderma Group AG (b)

    15,770   1,469,411
Galenica AG (d)

    11,370   1,003,493
Geberit AG

    8,219   5,372,481
Georg Fischer AG

    19,071   1,443,522
Givaudan SA

    2,219   12,205,750
Helvetia Holding AG

    8,531   1,476,529
Huber & Suhner AG

    3,513   364,814
Implenia AG

    6,673   250,371
Inficon Holding AG

    396   572,722
International Workplace Group PLC

    185,466   442,321
Interroll Holding AG (a)

    157   477,393
Intershop Holding AG

    1,200   169,854
Julius Baer Group Ltd.

    54,658   3,298,076
Kardex Holding AG

    1,421   466,620
Komax Holding AG (a)

    788   112,098
Kuehne & Nagel International AG

    12,539   3,430,741
Landis & Gyr Group AG

    5,697   530,833
LEM Holding SA (a)

    117   190,573
Leonteq AG (a)

    1,998   63,951
Logitech International SA

    37,795   3,385,443
Security Description     Shares   Value
Lonza Group AG

    17,921   $11,357,438
Medacta Group SA (d)

    1,306   193,527
Medmix AG (d)

    7,663   93,931
Meier Tobler Group AG

    948   29,613
Metall Zug AG Class B (a)

    59   86,029
Mobilezone Holding AG

    8,564   139,493
Mobimo Holding AG

    1,701   549,490
Novartis AG

    473,563   54,539,322
OC Oerlikon Corp. AG

    40,233   218,347
Orior AG (a)

    1,109   67,180
Partners Group Holding AG

    5,503   8,284,998
PSP Swiss Property AG

    10,584   1,554,570
Rieter Holding AG

    687   80,057
Sandoz Group AG

    101,122   4,228,052
Schindler Holding AG (e)

    9,346   2,747,683
Schindler Holding AG (e)

    5,999   1,710,343
Schweiter Technologies AG

    187   94,547
Sensirion Holding AG (a) (b) (d)

    2,062   178,443
SFS Group AG

    3,812   596,508
SGS SA

    38,692   4,327,193
Siegfried Holding AG

    914   1,233,041
SIG Group AG

    71,621   1,601,295
Sika AG

    36,603   12,153,992
SKAN Group AG

    3,808   359,786
Sonova Holding AG

    12,693   4,571,316
Stadler Rail AG

    11,837   371,858
Straumann Holding AG

    27,934   4,578,123
Sulzer AG

    4,059   665,954
Swatch Group AG (a)

    11,964   514,131
Swatch Group AG Bearer Shares (a)

    6,877   1,477,632
Swiss Life Holding AG

    7,255   6,071,993
Swiss Prime Site AG

    22,994   2,585,479
Swisscom AG

    6,479   4,243,551
Swissquote Group Holding SA

    2,569   927,039
Tecan Group AG

    2,853   941,586
Temenos AG

    14,530   1,019,710
TX Group AG

    797   133,786
u-blox Holding AG (a)

    1,683   155,222
UBS Group AG

    790,217   24,412,370
Valiant Holding AG

    3,826   450,838
VAT Group AG (d)

    6,761   3,452,835
Vetropack Holding AG (a)

    2,150   81,050
Vontobel Holding AG

    5,962   390,847
Ypsomed Holding AG

    928   453,246
Zehnder Group AG

    1,784   117,164
Zurich Insurance Group AG

    35,114   21,221,169
          312,244,010
TAIWAN — 5.2%  
Ability Opto-Electronics Technology Co. Ltd.

    39,000   284,676
AcBel Polytech, Inc.

    176,775   189,922
Accton Technology Corp.

    119,000   2,000,474
Acer, Inc.

    637,000   821,247
Acter Group Corp. Ltd.

    33,000   320,130
 
See accompanying notes to Schedule of Investments.
141

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Actron Technology Corp.

    15,148   $83,766
ADATA Technology Co. Ltd.

    67,672   189,674
Adimmune Corp. (b)

    103,000   88,528
Advanced Ceramic X Corp.

    15,000   84,133
Advanced Energy Solution Holding Co. Ltd.

    7,000   110,486
Advanced Wireless Semiconductor Co.

    33,000   111,055
Advancetek Enterprise Co. Ltd.

    52,000   111,077
Advantech Co. Ltd.

    113,855   1,156,665
AIC, Inc.

    4,374   47,546
Airoha Technology Corp.

    9,000   179,736
Alar Pharmaceuticals, Inc.

    16,000   91,764
Alchip Technologies Ltd.

    18,000   1,123,347
Alexander Marine Co. Ltd.

    4,218   38,919
Allied Supreme Corp.

    6,000   63,040
Allis Electric Co. Ltd.

    41,810   161,181
Ambassador Hotel

    38,000   74,808
Andes Technology Corp. (b)

    11,000   129,651
AP Memory Technology Corp.

    19,000   182,216
Arcadyan Technology Corp.

    36,487   163,720
Ardentec Corp.

    109,000   207,347
ASE Technology Holding Co. Ltd.

    765,325   3,651,717
Asia Cement Corp.

    570,000   860,048
Asia Optical Co., Inc.

    27,000   97,262
Asia Polymer Corp.

    43,860   26,333
Asia Vital Components Co. Ltd.

    74,502   1,388,974
ASMedia Technology, Inc.

    8,000   408,260
ASPEED Technology, Inc.

    7,400   1,006,652
ASROCK, Inc.

    12,000   78,303
Asustek Computer, Inc.

    177,000   3,092,949
AUO Corp.

    1,439,800   775,713
AURAS Technology Co. Ltd.

    20,000   424,692
BES Engineering Corp.

    298,000   114,882
Bizlink Holding, Inc.

    34,780   506,646
Bora Pharmaceuticals Co. Ltd.

    13,092   310,271
Brighton-Best International Taiwan, Inc.

    68,000   73,809
C Sun Manufacturing Ltd.

    41,000   274,659
Capital Securities Corp.

    343,000   234,653
Career Technology MFG. Co. Ltd. (b)

    203,733   134,871
Catcher Technology Co. Ltd.

    141,000   1,053,718
Cathay Financial Holding Co. Ltd.

    2,386,606   5,015,066
Cathay Real Estate Development Co. Ltd.

    120,000   96,504
Center Laboratories, Inc.

    95,592   145,141
Central Reinsurance Co. Ltd.

    73,000   59,975
Century Iron & Steel Industrial Co. Ltd.

    51,000   357,765
Chailease Holding Co. Ltd.

    363,652   1,878,789
Chang Hwa Commercial Bank Ltd.

    2,129,048   1,204,239
Security Description     Shares   Value
Chang Wah Electromaterials, Inc.

    39,000   $75,297
Chang Wah Technology Co. Ltd.

    155,000   191,506
Channel Well Technology Co. Ltd.

    59,000   123,793
Charoen Pokphand Enterprise

    38,500   118,858
Chenbro Micom Co. Ltd.

    21,000   176,181
Cheng Loong Corp.

    555,000   432,299
Cheng Shin Rubber Industry Co. Ltd.

    439,000   718,569
Cheng Uei Precision Industry Co. Ltd.

    59,000   119,877
Chenming Electronic Technology Corp.

    26,000   110,913
Chia Hsin Cement Corp.

    128,520   73,912
Chicony Electronics Co. Ltd.

    144,491   748,788
Chicony Power Technology Co. Ltd.

    27,000   115,605
Chief Telecom, Inc.

    11,000   165,800
China Airlines Ltd.

    604,000   410,346
China Bills Finance Corp.

    288,000   136,508
China Man-Made Fiber Corp. (b)

    277,680   74,846
China Metal Products

    76,000   94,020
China Motor Corp.

    83,000   193,557
China Petrochemical Development Corp. (b)

    734,221   219,711
China Steel Chemical Corp.

    35,000   112,256
China Steel Corp.

    2,784,000   2,036,548
Chin-Poon Industrial Co. Ltd.

    91,000   118,184
Chipbond Technology Corp.

    142,000   298,390
ChipMOS Technologies, Inc.

    103,000   122,051
Chong Hong Construction Co. Ltd.

    40,000   125,132
Chroma ATE, Inc.

    92,000   1,085,807
Chun Yuan Steel Industry Co. Ltd.

    61,000   35,467
Chung Hung Steel Corp.

    220,000   156,763
Chung Hwa Pulp Corp. (b)

    235,000   161,139
Chung-Hsin Electric & Machinery Manufacturing Corp.

    85,000   463,321
Chunghwa Precision Test Tech Co. Ltd.

    3,000   49,579
Chunghwa Telecom Co. Ltd.

    884,000   3,505,664
Cleanaway Co. Ltd.

    14,000   81,842
Clevo Co.

    89,000   170,989
Compal Electronics, Inc.

    988,000   1,039,622
Compeq Manufacturing Co. Ltd.

    215,000   464,017
Continental Holdings Corp.

    110,000   107,058
Coretronic Corp.

    42,000   101,793
Co-Tech Development Corp.

    25,000   48,268
Crowell Development Corp.

    88,000   111,229
CSBC Corp. Taiwan (b)

    161,954   90,326
 
See accompanying notes to Schedule of Investments.
142

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
CTBC Financial Holding Co. Ltd.

    4,288,009   $4,661,100
CTCI Corp.

    119,000   177,862
Cub Elecparts, Inc.

    6,929   21,786
CyberPower Systems, Inc.

    8,000   80,641
Da-Li Development Co. Ltd.

    55,650   86,869
Darfon Electronics Corp.

    24,000   37,653
Delpha Construction Co. Ltd.

    76,000   94,620
Delta Electronics, Inc.

    472,630   5,682,642
Depo Auto Parts Ind Co. Ltd.

    33,000   275,813
Dynamic Holding Co. Ltd.

    41,000   99,629
Dynapack International Technology Corp.

    16,000   52,581
E Ink Holdings, Inc.

    196,000   1,814,671
E.Sun Financial Holding Co. Ltd.

    3,345,026   2,964,877
Eclat Textile Co. Ltd.

    44,182   760,880
ECOVE Environment Corp.

    6,000   54,129
Egis Technology, Inc. (b)

    24,000   159,259
EirGenix, Inc. (b)

    73,000   204,838
Elan Microelectronics Corp.

    62,000   279,178
Elite Advanced Laser Corp. (b)

    32,000   187,572
Elite Material Co. Ltd.

    67,000   946,361
Elite Semiconductor Microelectronics Technology, Inc.

    103,000   236,617
Elitegroup Computer Systems Co. Ltd.

    47,000   37,203
eMemory Technology, Inc.

    14,000   1,163,478
Ennoconn Corp.

    19,233   175,638
Ennostar, Inc.

    141,000   202,278
Episil Technologies, Inc. (b)

    51,579   91,435
Episil-Precision, Inc.

    13,113   25,027
Eternal Materials Co. Ltd.

    186,000   200,714
Etron Technology, Inc. (b)

    45,267   53,425
Eva Airways Corp.

    596,121   706,383
Ever Supreme Bio Technology Co. Ltd.

    30,790   180,966
Evergreen Aviation Technologies Corp.

    39,000   120,402
Evergreen International Storage & Transport Corp.

    59,000   57,888
Evergreen Marine Corp. Taiwan Ltd.

    232,673   1,477,802
EVERGREEN Steel Corp.

    38,000   142,291
Everlight Electronics Co. Ltd.

    90,000   216,138
Far Eastern Department Stores Ltd.

    162,000   138,982
Far Eastern International Bank

    538,921   236,709
Far Eastern New Century Corp.

    749,620   909,592
Far EasTone Telecommunications Co. Ltd.

    405,000   1,160,744
Faraday Technology Corp.

    53,738   451,687
Farglory Land Development Co. Ltd.

    76,000   172,430
Security Description     Shares   Value
Feng Hsin Steel Co. Ltd.

    99,000   $265,906
Feng TAY Enterprise Co. Ltd.

    130,067   641,159
First Copper Technology Co. Ltd. (b)

    82,000   120,746
First Financial Holding Co. Ltd.

    2,647,695   2,292,413
Fitipower Integrated Technology, Inc.

    17,544   147,741
FLEXium Interconnect, Inc.

    66,000   163,923
FocalTech Systems Co. Ltd.

    43,000   115,766
Formosa Advanced Technologies Co. Ltd.

    74,000   85,115
Formosa Chemicals & Fibre Corp.

    831,000   1,140,946
Formosa International Hotels Corp.

    16,000   102,634
Formosa Plastics Corp.

    884,000   1,494,446
Formosa Sumco Technology Corp.

    21,000   91,242
Formosa Taffeta Co. Ltd.

    154,000   101,948
Fortune Electric Co. Ltd.

    33,600   667,827
Fositek Corp.

    12,000   312,831
Foxconn Technology Co. Ltd.

    237,180   497,646
Foxsemicon Integrated Technology, Inc.

    19,000   214,036
Fubon Financial Holding Co. Ltd.

    1,997,612   5,706,291
Fulgent Sun International Holding Co. Ltd.

    33,000   129,303
Fusheng Precision Co. Ltd.

    24,000   219,930
General Interface Solution Holding Ltd. (b)

    52,000   95,960
Genius Electronic Optical Co. Ltd.

    19,396   297,867
Getac Holdings Corp.

    81,000   285,387
Giant Manufacturing Co. Ltd.

    69,994   495,431
Gigabyte Technology Co. Ltd.

    117,000   955,698
Global Brands Manufacture Ltd.

    72,000   137,418
Global Mixed Mode Technology, Inc.

    16,000   113,504
Global PMX Co. Ltd.

    12,000   49,674
Global Unichip Corp.

    21,000   729,939
Globalwafers Co. Ltd.

    61,000   877,032
Gloria Material Technology Corp.

    174,000   265,565
Gold Circuit Electronics Ltd.

    75,100   469,872
Goldsun Building Materials Co. Ltd.

    181,715   300,308
Gourmet Master Co. Ltd.

    30,000   85,886
Grand Pacific Petrochemical (b)

    207,562   88,543
Grand Process Technology Corp.

    4,000   219,930
Grape King Bio Ltd.

    29,000   131,500
Great Tree Pharmacy Co. Ltd.

    16,684   99,113
Great Wall Enterprise Co. Ltd.

    124,688   202,911
Greatek Electronics, Inc.

    75,000   138,641
 
See accompanying notes to Schedule of Investments.
143

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Gudeng Precision Industrial Co. Ltd.

    11,934   $213,063
Hannstar Board Corp.

    33,000   55,058
HannStar Display Corp. (b)

    471,000   139,902
HD Renewable Energy Co. Ltd.

    17,000   141,279
Highwealth Construction Corp.

    311,801   444,353
Hiwin Technologies Corp.

    72,034   487,108
Hiyes International Co. Ltd.

    16,000   88,730
Holtek Semiconductor, Inc.

    33,000   56,205
Holy Stone Enterprise Co. Ltd.

    18,900   54,526
Hon Hai Precision Industry Co. Ltd.

    3,032,320   17,965,968
Hota Industrial Manufacturing Co. Ltd.

    33,841   61,380
Hotai Finance Co. Ltd.

    58,080   181,325
Hotai Motor Co. Ltd.

    69,260   1,551,683
Hsin Kuang Steel Co. Ltd.

    44,000   83,978
HTC Corp. (b)

    166,000   248,372
Hu Lane Associate, Inc.

    13,325   76,843
HUA ENG Wire & Cable Co. Ltd.

    175,000   183,591
Hua Nan Financial Holdings Co. Ltd.

    2,113,453   1,716,327
Huaku Development Co. Ltd.

    57,200   240,393
Hwang Chang General Contractor Co. Ltd.

    42,000   109,491
Ibase Technology, Inc.

    42,000   99,006
IBF Financial Holdings Co. Ltd.

    474,125   226,976
Innodisk Corp.

    26,223   233,672
Innolux Corp.

    1,657,168   845,694
International CSRC Investment Holdings Co. (b)

    192,000   100,106
International Games System Co. Ltd.

    56,000   1,744,774
Inventec Corp.

    602,000   819,876
ITE Technology, Inc.

    33,000   147,031
ITEQ Corp.

    36,188   86,335
J&V Energy Technology Co. Ltd.

    22,000   166,843
Jentech Precision Industrial Co. Ltd.

    18,999   777,454
Johnson Health Tech Co. Ltd.

    38,000   189,120
JPC connectivity, Inc.

    17,000   87,024
JSL Construction & Development Co. Ltd.

    28,500   97,262
Kaori Heat Treatment Co. Ltd.

    35,000   455,106
Kenda Rubber Industrial Co. Ltd.

    123,901   121,761
Kenmec Mechanical Engineering Co. Ltd.

    39,220   112,778
Kerry TJ Logistics Co. Ltd.

    23,000   28,889
KGI Financial Holding Co. Ltd.

    3,727,908   1,943,674
Kindom Development Co. Ltd.

    76,300   117,175
King Slide Works Co. Ltd.

    12,000   417,108
King Yuan Electronics Co. Ltd.

    245,000   870,949
Security Description     Shares   Value
King's Town Bank Co. Ltd.

    220,000   $389,301
Kinik Co.

    21,000   205,710
Kinpo Electronics

    293,000   200,910
Kinsus Interconnect Technology Corp.

    61,000   212,030
KMC Kuei Meng International, Inc.

    6,000   28,629
Kung Long Batteries Industrial Co. Ltd.

    19,000   90,057
Kuo Toong International Co. Ltd.

    44,000   88,566
L&K Engineering Co. Ltd.

    54,315   357,849
LandMark Optoelectronics Corp.

    11,000   102,713
Largan Precision Co. Ltd.

    23,000   1,846,018
Lian HWA Food Corp.

    24,200   82,587
Lien Hwa Industrial Holdings Corp.

    215,485   420,123
Lite-On Technology Corp.

    575,419   1,809,179
Longchen Paper & Packaging Co. Ltd. (b)

    190,800   88,326
Lotes Co. Ltd.

    18,337   802,514
Lotus Pharmaceutical Co. Ltd.

    26,000   216,074
Lumosa Therapeutics Co. Ltd. (b)

    24,000   251,023
LuxNet Corp.

    31,541   144,018
M31 Technology Corp.

    4,800   124,829
Machvision, Inc.

    24,000   263,915
Macronix International Co. Ltd.

    372,000   315,030
Makalot Industrial Co. Ltd.

    53,118   585,789
Marketech International Corp.

    35,000   166,448
Materials Analysis Technology, Inc.

    40,000   340,638
MediaTek, Inc.

    370,000   13,737,696
Medigen Vaccine Biologics Corp. (b)

    61,041   87,184
Mega Financial Holding Co. Ltd.

    3,035,019   3,769,019
Mercuries Life Insurance Co. Ltd. (b)

    692,129   165,561
Merida Industry Co. Ltd.

    53,000   385,193
Merry Electronics Co. Ltd.

    39,071   160,499
Microbio Co. Ltd. (b)

    70,790   91,825
Micro-Star International Co. Ltd.

    172,000   945,697
Mitac Holdings Corp.

    193,160   274,665
MPI Corp.

    18,000   424,881
Namchow Holdings Co. Ltd.

    43,000   75,683
Nan Kang Rubber Tire Co. Ltd. (b)

    67,000   104,163
Nan Pao Resins Chemical Co. Ltd.

    27,000   258,939
Nan Ya Plastics Corp.

    1,674,000   2,433,255
Nan Ya Printed Circuit Board Corp.

    50,000   225,143
Nantex Industry Co. Ltd.

    69,000   81,981
Nanya Technology Corp. (b)

    294,000   439,888
 
See accompanying notes to Schedule of Investments.
144

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Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Nien Made Enterprise Co. Ltd.

    44,000   $709,083
North-Star International Co. Ltd.

    33,895   70,796
Novatek Microelectronics Corp.

    144,000   2,357,038
Nuvoton Technology Corp.

    44,000   119,154
O-Bank Co. Ltd.

    312,000   99,082
OBI Pharma, Inc. (b)

    49,467   118,796
Oneness Biotech Co. Ltd. (b)

    75,334   340,409
Orient Semiconductor Electronics Ltd.

    121,000   153,895
Oriental Union Chemical Corp.

    62,000   36,832
Pan Jit International, Inc.

    62,000   113,826
Pan-International Industrial Corp.

    108,000   120,298
Pegatron Corp.

    458,000   1,490,655
Pegavision Corp.

    13,257   188,090
PharmaEngine, Inc.

    32,000   90,500
PharmaEssentia Corp. (b)

    59,000   1,185,724
Phihong Technology Co. Ltd. (b)

    62,268   80,377
Phison Electronics Corp.

    37,000   577,568
Phoenix Silicon International Corp.

    34,000   134,833
Pixart Imaging, Inc.

    30,000   255,005
Polaris Group (b)

    106,000   184,893
Pou Chen Corp.

    543,000   620,272
Powerchip Semiconductor Manufacturing Corp. (b)

    680,000   464,127
Powertech Technology, Inc.

    155,000   671,006
Poya International Co. Ltd.

    12,456   207,426
President Chain Store Corp.

    128,000   1,193,181
President Securities Corp.

    167,320   142,753
Primax Electronics Ltd.

    87,000   249,070
Prince Housing & Development Corp.

    113,000   38,742
Promate Electronic Co. Ltd.

    114,000   290,705
Qisda Corp.

    341,000   404,073
Quanta Computer, Inc.

    654,000   5,455,769
Quanta Storage, Inc.

    61,000   201,428
Radiant Opto-Electronics Corp.

    115,000   706,792
Raydium Semiconductor Corp.

    14,000   149,748
Realtek Semiconductor Corp.

    115,000   1,711,564
RichWave Technology Corp. (b)

    23,781   145,407
Ruentex Development Co. Ltd.

    368,416   569,857
Ruentex Engineering & Construction Co.

    15,400   71,291
Ruentex Industries Ltd.

    136,295   335,930
Run Long Construction Co. Ltd.

    115,236   194,084
Sakura Development Co. Ltd.

    102,193   160,814
San Fu Chemical Co. Ltd.

    6,000   25,974
Sanyang Motor Co. Ltd.

    154,000   355,237
Scientech Corp.

    18,000   241,449
SDI Corp.

    35,000   162,024
Security Description     Shares   Value
Sensortek Technology Corp.

    5,000   $45,582
Sercomm Corp.

    63,000   221,968
Shanghai Commercial & Savings Bank Ltd.

    882,492   1,076,397
Shihlin Electric & Engineering Corp.

    54,000   377,103
Shihlin Paper Corp. (b)

    42,000   75,648
Shin Kong Financial Holding Co. Ltd. (b)

    3,384,719   1,288,795
Shin Zu Shing Co. Ltd.

    34,820   217,855
Shinfox Energy Co. Ltd.

    17,000   73,057
Shinkong Insurance Co. Ltd.

    53,000   157,259
Shinkong Synthetic Fibers Corp.

    294,000   150,965
Shiny Chemical Industrial Co. Ltd.

    27,750   156,084
ShunSin Technology Holding Ltd.

    10,000   65,410
Sigurd Microelectronics Corp.

    99,078   237,000
Silicon Integrated Systems Corp.

    74,750   167,704
Simplo Technology Co. Ltd.

    36,000   402,130
Sinbon Electronics Co. Ltd.

    48,000   455,785
Sincere Navigation Corp.

    89,000   84,088
Sino-American Silicon Products, Inc.

    109,000   609,641
Sinon Corp.

    67,000   90,931
SinoPac Financial Holdings Co. Ltd.

    2,471,917   1,894,174
Sinyi Realty, Inc.

    36,000   34,866
Sitronix Technology Corp.

    24,000   173,289
Soft-World International Corp.

    32,000   133,475
Solar Applied Materials Technology Corp.

    100,205   206,448
Solomon Technology Corp.

    29,000   137,456
Sporton International, Inc.

    20,527   141,727
Standard Foods Corp.

    51,417   64,096
Sunny Friend Environmental Technology Co. Ltd.

    8,995   26,235
Sunonwealth Electric Machine Industry Co. Ltd.

    54,000   157,667
Sunplus Technology Co. Ltd. (b)

    105,000   105,012
Supreme Electronics Co. Ltd.

    151,473   315,424
Synmosa Biopharma Corp.

    101,686   120,494
Synnex Technology International Corp.

    280,550   642,721
Systex Corp.

    72,000   288,942
T3EX Global Holdings Corp.

    13,000   36,519
TA Chen Stainless Pipe

    382,586   418,896
Ta Ya Electric Wire & Cable

    205,008   328,438
Taichung Commercial Bank Co. Ltd.

    810,580   471,290
TaiDoc Technology Corp.

    5,000   24,489
Taigen Biopharmaceuticals Holdings Ltd. (b)

    126,000   59,523
TaiMed Biologics, Inc. (b)

    49,971   125,849
 
See accompanying notes to Schedule of Investments.
145

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Tainan Spinning Co. Ltd.

    262,000   $134,119
Taishin Financial Holding Co. Ltd.

    2,637,743   1,533,644
Taiwan Business Bank

    1,552,868   782,654
Taiwan Cogeneration Corp.

    231,124   330,840
Taiwan Cooperative Financial Holding Co. Ltd.

    2,514,776   2,058,133
Taiwan Fertilizer Co. Ltd.

    146,000   267,581
Taiwan Glass Industry Corp. (b)

    164,000   96,908
Taiwan High Speed Rail Corp.

    514,000   480,761
Taiwan Hon Chuan Enterprise Co. Ltd.

    101,000   520,216
Taiwan Mask Corp.

    23,000   42,371
Taiwan Mobile Co. Ltd.

    418,000   1,518,967
Taiwan Paiho Ltd.

    32,000   73,815
Taiwan Sakura Corp.

    67,000   185,673
Taiwan Secom Co. Ltd.

    50,000   218,034
Taiwan Semiconductor Co. Ltd.

    36,000   72,918
Taiwan Semiconductor Manufacturing Co. Ltd.

    5,932,000   179,385,525
Taiwan Shin Kong Security Co. Ltd.

    33,000   43,588
Taiwan Surface Mounting Technology Corp.

    62,000   215,506
Taiwan TEA Corp. (b)

    240,000   171,393
Taiwan Union Technology Corp.

    55,000   296,320
Taiwan-Asia Semiconductor Corp.

    53,000   62,217
Tatung Co. Ltd. (b)

    383,000   594,835
TCC Group Holdings Co. Ltd.

    1,578,590   1,686,011
TCI Co. Ltd.

    24,000   103,898
Teco Electric & Machinery Co. Ltd.

    342,000   527,376
Test Research, Inc.

    44,000   196,736
Thinking Electronic Industrial Co. Ltd.

    26,000   142,954
Ton Yi Industrial Corp.

    282,000   149,258
Tong Hsing Electronic Industries Ltd.

    40,480   179,078
Tong Yang Industry Co. Ltd.

    80,000   269,224
Topco Scientific Co. Ltd.

    39,097   348,391
Topkey Corp.

    8,000   54,982
TPK Holding Co. Ltd. (b)

    77,000   107,301
Transcend Information, Inc.

    51,000   165,990
Tripod Technology Corp.

    109,000   676,805
TSEC Corp.

    121,794   94,867
TSRC Corp.

    58,000   43,619
TTY Biopharm Co. Ltd.

    79,000   183,480
Tung Ho Steel Enterprise Corp.

    102,560   256,671
TXC Corp.

    62,000   213,547
U-Ming Marine Transport Corp.

    67,000   118,136
Unimicron Technology Corp.

    324,000   1,474,286
Security Description     Shares   Value
Union Bank of Taiwan

    456,113   $223,398
Uni-President Enterprises Corp.

    1,195,880   3,295,174
Unitech Printed Circuit Board Corp. (b)

    318,000   346,673
United Integrated Services Co. Ltd.

    37,000   372,964
United Microelectronics Corp.

    2,742,000   4,661,482
United Renewable Energy Co. Ltd. (b)

    223,571   89,014
Universal Cement Corp.

    125,021   122,072
Universal Microwave Technology, Inc.

    18,000   184,570
Universal Vision Biotechnology Co. Ltd.

    11,565   94,284
UPC Technology Corp.

    80,000   31,220
UPI Semiconductor Corp.

    12,000   94,039
USI Corp.

    244,000   124,519
Vanguard International Semiconductor Corp.

    213,000   696,617
VIA Labs, Inc.

    6,000   35,549
Via Technologies, Inc.

    38,000   157,300
Visco Vision, Inc.

    20,000   157,679
VisEra Technologies Co. Ltd.

    21,000   192,438
Visual Photonics Epitaxy Co. Ltd.

    57,000   298,990
Vivotek, Inc.

    13,000   51,349
Voltronic Power Technology Corp.

    14,200   908,631
Wafer Works Corp.

    109,290   109,647
Waffer Technology Corp.

    25,000   57,747
Wah Lee Industrial Corp.

    32,360   131,397
Walsin Lihwa Corp.

    630,816   697,662
Walsin Technology Corp.

    63,000   215,000
Wan Hai Lines Ltd.

    160,570   497,239
Win Semiconductors Corp. (b)

    73,000   314,869
Winbond Electronics Corp. (b)

    747,345   504,189
WinWay Technology Co. Ltd.

    4,000   154,835
Wisdom Marine Lines Co. Ltd.

    77,000   185,648
Wistron Corp.

    706,842   2,255,891
Wistron NeWeb Corp.

    86,792   318,135
Wiwynn Corp.

    29,000   1,571,580
Wowprime Corp.

    13,194   92,139
WPG Holdings Ltd.

    352,480   835,353
WT Microelectronics Co. Ltd.

    156,711   522,428
XinTec, Inc.

    49,000   318,187
Xxentria Technology Materials Corp.

    80,368   156,437
Yageo Corp.

    92,560   1,822,157
Yang Ming Marine Transport Corp.

    400,000   872,134
Yankey Engineering Co. Ltd.

    9,387   91,507
YC INOX Co. Ltd.

    297,531   229,402
YFY, Inc.

    199,000   208,140
Yieh Phui Enterprise Co. Ltd.

    111,384   55,786
Yuanta Financial Holding Co. Ltd.

    2,436,479   2,440,598
 
See accompanying notes to Schedule of Investments.
146

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Yulon Finance Corp.

    66,168   $315,718
Yulon Motor Co. Ltd.

    122,712   232,655
Yungshin Construction & Development Co. Ltd.

    13,000   93,043
YungShin Global Holding Corp.

    87,000   168,796
Zhen Ding Technology Holding Ltd.

    158,000   566,666
ZillTek Technology Corp.

    16,000   169,877
Zyxel Group Corp.

    48,000   56,499
          419,541,344
TANZANIA, UNITED REPUBLIC OF — 0.0% (f)  
Helios Towers PLC (b)

    168,896   259,625
THAILAND — 0.5%  
Advanced Info Service PCL

    303,800   2,454,759
AEON Thana Sinsap Thailand PCL

    10,400   45,572
Airports of Thailand PCL

    945,400   1,880,370
Amata Corp. PCL

    98,300   76,373
AP Thailand PCL

    621,274   193,077
Asia Aviation PCL NVDR (b)

    2,785,646   238,937
Aurora Design PCL

    361,400   176,334
B Grimm Power PCL

    246,100   183,557
Bangchak Corp. PCL

    206,300   238,821
Bangchak Sriracha PCL

    450,000   124,466
Bangkok Airways PCL

    214,800   164,884
Bangkok Chain Hospital PCL

    467,800   261,686
Bangkok Commercial Asset Management PCL

    256,500   76,924
Bangkok Dusit Medical Services PCL Class F

    2,587,600   2,412,493
Bangkok Expressway & Metro PCL

    1,659,300   420,272
Bangkok Life Assurance PCL

    55,700   42,410
Bangkok Life Assurance PCL NVDR

    300,000   228,420
Banpu PCL

    1,840,732   403,299
Banpu Power PCL

    91,700   37,618
BCPG PCL

    256,000   57,282
Berli Jucker PCL

    342,400   262,832
Betagro PCL

    135,600   93,132
BTS Group Holdings PCL (b)

    1,612,000   225,437
Bumrungrad Hospital PCL

    131,200   1,096,816
Carabao Group PCL

    69,500   170,632
Central Pattana PCL

    518,900   1,080,454
Central Plaza Hotel PCL

    96,000   121,576
Central Retail Corp. PCL

    362,225   348,970
CH Karnchang PCL

    146,300   92,297
Charoen Pokphand Foods PCL

    1,330,600   992,445
Chularat Hospital PCL

    887,900   75,055
CK Power PCL

    64,900   7,503
Com7 PCL Class F

    285,000   211,685
CP ALL PCL

    1,363,800   2,776,129
CP Axtra PCL

    423,700   427,947
Security Description     Shares   Value
Delta Electronics Thailand PCL

    837,400   $2,784,610
Dhipaya Group Holdings PCL

    51,400   45,526
Dohome PCL

    112,768   39,602
Dynasty Ceramic PCL

    1,066,900   65,982
Electricity Generating PCL

    49,100   188,450
Energy Absolute PCL (a)

    377,813   105,087
Erawan Group PCL

    336,600   46,864
GFPT PCL

    131,000   46,818
Gulf Energy Development PCL

    751,220   1,330,729
Gunkul Engineering PCL

    705,600   63,592
Hana Microelectronics PCL

    82,100   103,973
Home Product Center PCL

    1,184,900   382,968
Ichitan Group PCL

    565,100   286,260
Intouch Holdings PCL

    191,900   551,651
IRPC PCL

    1,621,600   88,192
I-TAIL Corp. PCL

    86,200   57,328
Jasmine International PCL

    345,549   32,002
Jasmine Technology Solution PCL (b)

    89,500   203,046
Jasmine Technology Solution PCL NVDR (b)

    51,500   116,836
Jaymart Group Holdings PCL

    49,300   24,208
JMT Network Services PCL

    142,100   79,932
Kasikornbank PCL

    110,200   513,713
KCE Electronics PCL

    142,900   172,088
Kiatnakin Phatra Bank PCL

    25,400   40,258
Krung Thai Bank PCL

    699,600   447,883
Krungthai Card PCL

    206,500   312,855
Land & Houses PCL

    1,692,400   336,613
MBK PCL

    123,927   68,939
Mega Lifesciences PCL

    50,300   61,356
Minor International PCL

    761,417   668,480
MK Restaurants Group PCL

    80,900   76,054
Muangthai Capital PCL

    156,000   239,981
Ngern Tid Lor PCL (a)

    262,474   150,090
Osotspa PCL

    292,600   210,055
Plan B Media PCL

    288,360   73,037
Prima Marine PCL

    400,500   107,041
Pruksa Holding PCL

    44,000   12,375
PTT Exploration & Production PCL

    293,900   1,196,516
PTT Global Chemical PCL

    451,400   420,853
PTT Oil & Retail Business PCL

    1,143,500   625,456
PTT PCL

    2,343,700   2,476,445
Quality Houses PCL

    981,000   58,840
Ratch Group PCL

    219,100   219,594
Regional Container Lines PCL

    47,800   40,109
RS PCL

    57,882   10,793
Sansiri PCL

    1,966,900   116,752
SCB X PCL

    486,900   1,649,354
SCG Packaging PCL

    260,600   234,866
Siam Cement PCL

    179,465   1,344,140
Siam City Cement PCL

    8,800   43,621
Siam Global House PCL

    960,800   474,764
 
See accompanying notes to Schedule of Investments.
147

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Sino-Thai Engineering & Construction PCL

    104,500   $31,339
Sri Trang Agro-Industry PCL

    199,100   154,689
Sri Trang Gloves Thailand PCL

    169,000   64,601
Srisawad Corp. PCL

    156,420   210,245
Star Petroleum Refining PCL

    208,500   45,682
Supalai PCL

    253,900   162,547
Thai Life Insurance PCL

    1,240,100   416,225
Thai Oil PCL

    295,557   470,742
Thai Union Group PCL

    372,800   169,152
Thai Vegetable Oil PCL

    91,960   68,875
Thanachart Capital PCL

    32,400   50,849
Thonburi Healthcare Group PCL

    111,000   68,647
Tipco Asphalt PCL

    85,400   49,630
Tisco Financial Group PCL (a)

    261,100   783,036
TMBThanachart Bank PCL

    2,553,000   156,302
TOA Paint Thailand PCL

    51,700   31,170
TPI Polene PCL

    1,118,800   41,376
TPI Polene Power PCL

    409,400   39,187
TQM Alpha PCL

    37,200   31,503
True Corp. PCL (a) (b)

    2,322,870   808,520
TTW PCL

    540,600   157,085
VGI PCL (b)

    967,590   78,784
WHA Corp. PCL

    1,565,200   265,103
          41,102,330
TURKEY — 0.2%  
Agrotech Yueksek Teknoloji VE Yatirim AS (b)

    60,552   24,708
Ahlatci Dogal Gaz Dagitim Enerji VE Yatirim AS

    116,279   50,644
Akbank TAS

    736,651   1,327,328
Akfen Yenilenebilir Enerji AS Class A (b)

    92,883   51,295
Aksa Akrilik Kimya Sanayii AS

    280,824   75,736
Aksa Enerji Uretim AS

    69,891   78,381
Alarko Holding AS

    37,401   103,274
Alfa Solar Enerji Sanayi VE Ticaret AS

    15,106   23,242
Anadolu Anonim Turk Sigorta Sirketi (b)

    44,330   103,799
Anadolu Efes Biracilik Ve Malt Sanayii AS

    86,118   494,481
Aselsan Elektronik Sanayi Ve Ticaret AS

    276,860   479,827
Aygaz AS

    35,787   158,066
Baticim Bati Anadolu Cimento Sanayii AS (b)

    13,407   68,315
BIM Birlesik Magazalar AS

    103,155   1,497,361
Borusan Birlesik Boru Fabrikalari Sanayi ve Ticaret AS (b)

    12,885   178,554
Can2 Termik AS (b)

    1,160,728   54,323
Cimsa Cimento Sanayi VE Ticaret AS

    63,005   64,650
Coca-Cola Icecek AS

    214,896   358,294
Security Description     Shares   Value
CW Enerji Muhendislik Ticaret VE Sanayi AS

    5,987   $30,577
Dogan Sirketler Grubu Holding AS

    36,502   16,144
Dogus Otomotiv Servis ve Ticaret AS

    17,178   109,990
Eczacibasi Yatirim Holding Ortakligi AS

    4,470   26,948
EGE Endustri VE Ticaret AS

    276   87,190
EIS Eczacibasi Ilac ve Sinai ve Finansal Yatirimlar Sanayi ve Ticaret AS

    39,802   55,697
Eldorado Gold Corp. (a) (b)

    47,800   831,843
Emlak Konut Gayrimenkul Yatirim Ortakligi AS REIT (b)

    987,386   347,158
Enerjisa Enerji AS (d)

    1,575   2,730
Eregli Demir ve Celik Fabrikalari TAS

    257,348   402,727
Europower Enerji VE Otomasyon Teknolojileri Sanayi Ticaret AS (b)

    20,864   51,630
Ford Otomotiv Sanayi AS

    17,284   464,112
GEN Ilac VE Saglik Urunleri Sanayi VE Ticaret AS

    25,510   67,343
Girisim Elektrik Taahhut Ticaret Ve Sanayi AS (b)

    23,865   28,830
Gubre Fabrikalari TAS (b)

    14,397   86,119
Haci Omer Sabanci Holding AS

    243,399   693,091
Hektas Ticaret TAS (b)

    253,300   33,119
Is Gayrimenkul Yatirim Ortakligi AS REIT (b)

    50,870   26,188
Is Yatirim Menkul Degerler AS Class A

    75,462   77,477
Kaleseramik Canakkale Kalebodur Seramik Sanayi AS

    22,577   25,887
Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS Class D

    198,426   156,130
Kiler Holding AS (b)

    49,731   43,494
KOC Holding AS

    161,546   889,307
Kontrolmatik Enerji Ve Muhendislik AS

    84,171   108,577
Konya Cimento Sanayii AS (b)

    240   49,001
Kordsa Teknik Tekstil AS (b)

    22,708   51,245
Koza Altin Isletmeleri AS (b)

    302,505   205,462
Koza Anadolu Metal Madencilik Isletmeleri AS (b)

    31,169   62,589
Mavi Giyim Sanayi Ve Ticaret AS Class B (d)

    47,848   126,243
MIA Teknoloji AS (b)

    59,900   75,516
Migros Ticaret AS

    21,576   284,001
MLP Saglik Hizmetleri AS (b) (d)

    8,993   86,018
Nuh Cimento Sanayi AS

    16,787   128,282
Otokar Otomotiv Ve Savunma Sanayi AS

    9,030   116,351
 
See accompanying notes to Schedule of Investments.
148

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Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Oyak Cimento Fabrikalari AS (b)

    66,260   $128,887
Oyak Yatirim Menkul Degerler AS (b)

    23,810   27,009
Pegasus Hava Tasimaciligi AS (b)

    45,537   318,745
Petkim Petrokimya Holding AS (b)

    532,531   352,972
Politeknik Metal Sanayi ve Ticaret AS (b)

    178   34,767
Reeder Teknoloji Sanayi VE Ticaret AS (b)

    46,916   35,159
Reysas Tasimacilik ve Lojistik Ticaret AS (b)

    400,000   144,849
Sarkuysan Elektrolitik Bakir Sanayi ve Ticaret AS

    142,552   100,241
Sasa Polyester Sanayi AS (b)

    2,329,872   293,046
Selcuk Ecza Deposu Ticaret ve Sanayi AS

    27,174   54,408
Smart Gunes Enerjisi Teknolojileri ArGE Uretim Sanayi ve Ticaret AS (b)

    65,378   73,434
Sok Marketler Ticaret AS

    87,998   124,170
TAV Havalimanlari Holding AS (b)

    24,973   182,400
Tekfen Holding AS (b)

    45,605   69,367
Tofas Turk Otomobil Fabrikasi AS

    31,315   197,395
Turk Hava Yollari AO (b)

    146,824   1,223,990
Turkcell Iletisim Hizmetleri AS

    258,950   721,089
Turkiye Is Bankasi AS Class C

    2,285,862   940,094
Turkiye Petrol Rafinerileri AS

    213,067   967,261
Turkiye Sigorta AS

    244,454   88,737
Turkiye Sinai Kalkinma Bankasi AS (b)

    312,500   107,313
Turkiye Sise ve Cam Fabrikalari AS

    278,975   351,705
Ulker Biskuvi Sanayi AS (b)

    157,977   646,931
Vestel Beyaz Esya Sanayi ve Ticaret AS

    478,736   242,538
Vestel Elektronik Sanayi ve Ticaret AS (b)

    39,052   73,621
Yapi ve Kredi Bankasi AS

    697,188   630,558
YEO Teknoloji Enerji VE Endustri AS (b)

    7,057   33,337
Zorlu Enerji Elektrik Uretim AS (b)

    517,064   63,976
          19,267,293
UNITED ARAB EMIRATES — 0.3%  
Abu Dhabi Commercial Bank PJSC

    637,418   1,461,220
Abu Dhabi Islamic Bank PJSC

    330,510   1,144,592
Abu Dhabi National Oil Co. for Distribution PJSC

    824,973   810,823
ADNOC Drilling Co. PJSC

    900,000   1,158,998
Agthia Group PJSC

    208,635   443,058
Air Arabia PJSC

    525,287   391,856
Security Description     Shares   Value
Ajman Bank PJSC (b)

    378,572   $182,432
Al Waha Capital PJSC

    424,774   175,784
AL Yah Satellite Communications Co-PJSC-Yah Sat

    474,632   268,781
Aldar Properties PJSC

    962,198   1,969,978
Amanat Holdings PJSC

    457,454   148,209
Americana Restaurants International PLC - Foreign Co.

    883,239   637,240
Aramex PJSC (b)

    156,938   96,137
Dana Gas PJSC (b)

    2,449,126   426,747
Dubai Financial Market PJSC

    700,652   249,892
Dubai Investments PJSC

    1,035,581   589,263
Dubai Islamic Bank PJSC

    637,109   1,092,781
Emaar Properties PJSC

    1,620,082   3,846,206
Emirates Central Cooling Systems Corp.

    617,533   290,861
Emirates NBD Bank PJSC

    461,780   2,552,174
Emirates Telecommunications Group Co. PJSC

    854,222   4,302,507
First Abu Dhabi Bank PJSC

    995,288   3,723,185
Gulf Navigation Holding PJSC (b)

    69,029   114,641
Multiply Group PJSC (b)

    955,020   613,626
National Central Cooling Co. PJSC

    153,945   126,576
Parkin Co. PJSC (b)

    103,775   107,363
Phoenix Group PLC (b)

    399,930   163,326
RAK Properties PJSC

    185,714   60,169
Ras Al Khaimah Ceramics

    70,256   45,906
Sharjah Islamic Bank

    238,606   150,063
          27,344,394
UNITED KINGDOM — 7.1%  
3i Group PLC

    234,872   10,412,250
4imprint Group PLC

    6,524   435,798
AB Dynamics PLC

    3,400   89,160
abrdn PLC

    552,598   1,210,794
Admiral Group PLC

    61,965   2,313,969
Advanced Medical Solutions Group PLC

    39,361   114,569
AG Barr PLC

    22,928   191,908
AJ Bell PLC

    73,348   442,242
Alfa Financial Software Holdings PLC (d)

    26,667   71,468
Allfunds Group PLC

    75,545   465,402
Alpha Group International PLC (a)

    6,913   204,928
Alphawave IP Group PLC (a) (b)

    148,398   207,414
Anglogold Ashanti PLC

    99,946   2,662,075
AO World PLC (b)

    62,970   94,938
Ascential PLC

    58,710   446,122
Ashmore Group PLC

    105,285   289,509
Ashtead Group PLC

    106,036   8,229,503
 
See accompanying notes to Schedule of Investments.
149

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Ashtead Technology Holdings PLC

    17,907   $136,431
ASOS PLC (a) (b)

    11,344   65,217
Associated British Foods PLC

    80,133   2,507,656
Assura PLC REIT

    621,575   354,343
Aston Martin Lagonda Global Holdings PLC (a) (b) (d)

    126,124   203,688
AstraZeneca PLC

    376,176   58,471,123
Auction Technology Group PLC (a) (b)

    18,907   106,516
Auto Trader Group PLC (d)

    213,386   2,483,862
Aviva PLC

    641,125   4,158,827
B&M European Value Retail SA

    231,101   1,287,067
Babcock International Group PLC

    54,603   346,140
BAE Systems PLC

    745,370   12,372,543
Balfour Beatty PLC

    127,332   735,792
Barclays PLC

    3,616,240   10,892,114
Barratt Developments PLC

    321,002   2,061,166
Beazley PLC

    156,413   1,596,612
Bellway PLC

    26,973   1,126,652
Berkeley Group Holdings PLC

    24,213   1,532,966
Big Yellow Group PLC REIT

    44,134   750,645
Bodycote PLC

    44,593   360,085
boohoo Group PLC (a) (b)

    194,856   77,993
Breedon Group PLC

    61,028   350,360
Bridgepoint Group PLC (d)

    45,753   211,484
British American Tobacco PLC

    488,581   17,851,945
British Land Co. PLC REIT

    262,255   1,531,631
Britvic PLC

    53,345   912,317
BT Group PLC (a)

    1,531,724   3,038,719
Bunzl PLC

    80,043   3,794,301
Burberry Group PLC

    84,909   798,387
Bytes Technology Group PLC

    51,912   358,605
Central Asia Metals PLC

    51,544   135,235
Centrica PLC

    1,263,972   1,977,717
Cerillion PLC

    4,240   102,372
Chemring Group PLC

    89,914   443,227
CK Hutchison Holdings Ltd.

    636,524   3,663,035
Clarkson PLC

    6,343   313,101
Close Brothers Group PLC

    31,245   172,503
CLS Holdings PLC REIT

    22,420   27,968
CMC Markets PLC (d)

    26,503   111,093
Coats Group PLC

    417,653   562,459
Coca-Cola Europacific Partners PLC (e)

    10,000   787,500
Coca-Cola Europacific Partners PLC (e)

    41,538   3,272,910
Compass Group PLC

    408,645   13,122,368
Computacenter PLC

    19,513   647,539
ConvaTec Group PLC (d)

    390,278   1,188,343
Craneware PLC

    6,020   161,498
Cranswick PLC

    12,422   836,444
Crest Nicholson Holdings PLC

    47,279   122,396
Croda International PLC

    32,506   1,838,692
Currys PLC (b)

    208,183   249,786
Security Description     Shares   Value
Custodian Property Income REIT PLC

    205,712   $235,646
CVS Group PLC

    15,156   230,130
Darktrace PLC (b)

    104,558   808,955
DCC PLC

    23,137   1,581,223
Deliveroo PLC (b) (d)

    250,366   518,855
Derwent London PLC REIT

    22,196   715,138
Diageo PLC

    540,511   18,872,115
Diploma PLC

    31,752   1,888,464
Direct Line Insurance Group PLC

    300,295   754,445
DiscoverIE Group PLC

    21,999   179,411
Domino's Pizza Group PLC

    90,996   367,149
Dowlais Group PLC

    300,934   235,534
Dr. Martens PLC (a)

    130,166   98,299
Drax Group PLC

    88,406   764,270
DS Smith PLC

    326,168   2,020,399
Dunelm Group PLC

    27,955   432,720
easyJet PLC

    75,712   528,092
Elementis PLC

    133,671   291,900
Empiric Student Property PLC REIT

    122,709   160,316
Entain PLC

    146,812   1,502,941
Essentra PLC

    65,451   134,147
Evoke PLC (a) (b)

    82,789   72,126
FDM Group Holdings PLC

    19,351   99,932
Fevertree Drinks PLC

    22,682   251,002
Firstgroup PLC

    134,723   264,018
Forterra PLC (d)

    29,434   68,697
Frasers Group PLC (b)

    35,574   397,723
Fund Technologies PLC (a) (b)

    4,773   105,253
Future PLC

    23,069   312,840
Games Workshop Group PLC

    7,646   1,102,515
Gamma Communications PLC

    21,055   471,078
GB Group PLC

    86,955   362,741
Genuit Group PLC

    53,097   341,508
Genus PLC

    15,401   414,195
Grafton Group PLC CDI

    46,361   647,235
Grainger PLC

    175,844   579,057
Great Portland Estates PLC REIT

    76,945   367,428
Greatland Gold PLC (a) (b)

    854,395   79,077
Greggs PLC

    23,501   984,780
Halfords Group PLC

    57,823   116,652
Halma PLC

    89,896   3,144,777
Hammerson PLC REIT

    105,809   451,257
Harbour Energy PLC

    143,548   512,563
Hargreaves Lansdown PLC

    81,789   1,222,691
Hays PLC

    343,573   427,670
Hill & Smith PLC

    18,328   503,977
Hilton Food Group PLC

    16,760   201,880
Hiscox Ltd.

    80,599   1,238,957
Hollywood Bowl Group PLC

    38,461   159,928
Home REIT PLC (b) (c)

    160,701   8,191
Howden Joinery Group PLC

    130,119   1,583,033
HSBC Holdings PLC

    4,493,686   40,336,715
 
See accompanying notes to Schedule of Investments.
150

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Hunting PLC

    40,060   $201,504
Ibstock PLC (d)

    111,679   278,629
IG Group Holdings PLC

    91,148   1,125,415
IMI PLC

    61,913   1,504,811
Impact Healthcare REIT PLC

    79,956   98,991
Impax Asset Management Group PLC

    39,957   202,594
Imperial Brands PLC

    194,354   5,664,937
Inchcape PLC

    87,840   938,469
Indivior PLC (b)

    25,590   252,805
Informa PLC

    322,241   3,545,214
IntegraFin Holdings PLC

    64,407   319,651
InterContinental Hotels Group PLC

    38,631   4,215,885
Intermediate Capital Group PLC

    68,814   2,056,524
International Distribution Services PLC

    183,438   842,490
Intertek Group PLC

    38,216   2,645,068
Investec PLC

    152,768   1,165,968
IP Group PLC (b)

    238,094   158,726
ITM Power PLC (a) (b)

    81,487   55,307
ITV PLC

    823,602   884,343
J D Wetherspoon PLC (b)

    16,884   167,930
J Sainsbury PLC

    393,913   1,560,819
JD Sports Fashion PLC

    588,840   1,216,749
JET2 PLC

    40,306   756,902
John Wood Group PLC (b)

    207,041   351,864
Johnson Matthey PLC

    42,162   860,186
Johnson Service Group PLC

    166,993   348,986
Judges Scientific PLC

    1,508   199,444
Jupiter Fund Management PLC

    87,814   102,123
Just Eat Takeaway.com NV (a) (b) (d) (e)

    35,232   530,239
Just Eat Takeaway.com NV (a) (b) (d) (e)

    5,995   90,064
Just Group PLC

    234,559   437,959
Kainos Group PLC

    19,985   236,705
Keller Group PLC

    26,188   567,656
Kier Group PLC

    95,769   177,017
Kingfisher PLC

    443,367   1,914,966
Lancashire Holdings Ltd.

    55,102   507,769
Land Securities Group PLC REIT

    167,563   1,463,191
Learning Technologies Group PLC (a)

    142,197   181,199
Legal & General Group PLC

    1,415,940   4,298,048
Liontrust Asset Management PLC

    10,791   84,531
Lloyds Banking Group PLC

    15,212,255   11,998,109
London Stock Exchange Group PLC

    114,994   15,764,055
LondonMetric Property PLC REIT

    489,541   1,344,810
M&G PLC

    535,334   1,489,277
Man Group PLC

    272,590   774,422
Security Description     Shares   Value
Marks & Spencer Group PLC

    534,359   $2,670,655
Marshalls PLC

    52,469   234,363
Me Group International PLC

    39,304   102,488
Melrose Industries PLC

    312,081   1,907,604
Mitchells & Butlers PLC (b)

    53,624   212,549
Mitie Group PLC

    312,065   494,771
Mobico Group PLC (b)

    80,953   79,865
Molten Ventures PLC (b)

    37,066   200,863
MONY Group PLC

    105,401   298,594
Moonpig Group PLC (b)

    77,622   212,922
Morgan Advanced Materials PLC

    64,893   240,677
Morgan Sindall Group PLC

    9,417   389,050
National Grid PLC

    1,176,418   16,253,270
NatWest Group PLC

    1,592,901   7,347,893
NCC Group PLC

    91,183   217,953
Next 15 Group PLC

    18,298   111,430
Next PLC

    28,597   3,752,235
Ninety One PLC

    69,121   161,881
Ocado Group PLC (b)

    133,670   689,043
OSB Group PLC

    85,659   446,956
Oxford Instruments PLC

    11,869   338,310
Oxford Nanopore Technologies PLC (a) (b)

    125,370   267,550
Pagegroup PLC

    75,733   392,928
Paragon Banking Group PLC

    50,256   524,119
Pearson PLC

    142,834   1,941,767
Pennon Group PLC

    64,587   512,872
Pepco Group NV (b)

    35,850   191,758
Persimmon PLC

    75,699   1,668,790
Pets at Home Group PLC

    96,686   396,072
Phoenix Group Holdings PLC

    170,673   1,280,875
Picton Property Income Ltd. REIT

    95,313   95,375
Playtech PLC (b)

    57,024   575,198
Polar Capital Holdings PLC

    18,095   130,096
Premier Foods PLC

    147,142   361,974
Primary Health Properties PLC REIT

    303,919   415,815
PRS REIT PLC

    120,251   165,492
PZ Cussons PLC

    62,053   80,238
QinetiQ Group PLC

    115,721   697,569
Quilter PLC (d)

    319,032   568,723
Rank Group PLC

    31,507   38,036
Rathbones Group PLC

    14,419   346,202
Reckitt Benckiser Group PLC

    172,479   10,589,099
RELX PLC (e)

    441,771   20,793,253
RELX PLC (e)

    11,746   552,943
Renew Holdings PLC

    16,446   232,069
Renewi PLC

    15,601   133,510
Renishaw PLC

    8,997   451,951
Rentokil Initial PLC

    597,787   2,921,909
Rightmove PLC

    189,465   1,569,053
Rolls-Royce Holdings PLC (b)

    2,090,261   14,781,475
Rotork PLC

    203,550   910,288
RS Group PLC

    114,043   1,239,069
 
See accompanying notes to Schedule of Investments.
151

Table of Contents
STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
RWS Holdings PLC

    68,873   $149,660
Safestore Holdings PLC REIT

    49,400   594,376
Sage Group PLC

    239,090   3,285,604
Savills PLC

    36,289   577,300
Schroders PLC

    192,643   902,338
Segro PLC REIT

    329,534   3,863,256
Serco Group PLC

    242,613   579,263
Serica Energy PLC

    48,012   85,975
Severn Trent PLC

    63,741   2,258,882
Shaftesbury Capital PLC REIT

    369,994   730,541
SIG PLC (a) (b)

    86,698   22,793
Smith & Nephew PLC

    207,034   3,215,823
Smiths Group PLC

    81,382   1,830,641
Softcat PLC

    29,742   619,161
Spectris PLC

    24,005   878,391
Spirax Group PLC

    17,431   1,757,087
Spire Healthcare Group PLC (d)

    64,329   203,207
Spirent Communications PLC (b)

    125,923   288,155
SSE PLC

    272,579   6,884,693
SSP Group PLC

    180,804   386,336
St. James's Place PLC

    133,373   1,313,124
Standard Chartered PLC

    525,383   5,588,446
SThree PLC

    42,774   215,730
Subsea 7 SA

    65,127   1,054,260
Supermarket Income REIT PLC

    385,678   387,997
Target Healthcare REIT PLC

    132,171   159,559
Tate & Lyle PLC

    95,117   870,768
Taylor Wimpey PLC

    838,042   1,846,908
Team17 Group PLC (b)

    19,803   71,719
Telecom Plus PLC

    16,096   398,990
Tesco PLC

    1,666,752   8,019,443
THG PLC (a) (b)

    181,987   134,260
TORM PLC Class A

    11,362   387,153
TP ICAP Group PLC

    177,855   564,208
Trainline PLC (b) (d)

    98,595   435,633
Travis Perkins PLC

    49,344   612,897
Tritax Big Box REIT PLC

    511,273   1,091,101
Trustpilot Group PLC (b) (d)

    68,222   206,812
Unilever PLC

    606,549   39,369,816
UNITE Group PLC REIT

    111,891   1,410,798
United Utilities Group PLC

    161,465   2,264,354
Urban Logistics REIT PLC

    173,538   293,762
Vesuvius PLC

    49,794   260,819
Victrex PLC

    20,054   261,462
Virgin Money U.K. PLC

    267,378   781,851
Vistry Group PLC (b)

    76,659   1,342,914
Vodafone Group PLC

    5,637,991   5,674,911
Volex PLC

    21,261   94,966
Volution Group PLC

    44,978   369,830
Warehouse REIT PLC

    89,420   105,430
Watches of Switzerland Group PLC (b) (d)

    51,052   326,643
Weir Group PLC

    60,161   1,747,895
Security Description     Shares   Value
WH Smith PLC

    30,286   $592,299
Whitbread PLC

    42,970   1,806,368
Wickes Group PLC

    69,428   163,159
Wise PLC Class A (b)

    159,631   1,437,822
Workspace Group PLC REIT

    31,087   271,040
WPP PLC

    255,391   2,614,483
XPS Pensions Group PLC

    84,462   327,417
Yellow Cake PLC (b) (d)

    46,839   351,206
YouGov PLC (a)

    29,430   172,510
Young & Co.'s Brewery PLC Class A

    7,261   88,630
Zigup PLC

    49,668   256,495
          566,874,228
UNITED STATES — 4.8%  
Bausch Health Cos., Inc. (a) (b)

    62,100   507,483
BP PLC

    4,004,037   21,037,470
Brookfield Renewable Corp. Class A (a)

    31,900   1,042,751
BRP, Inc. (a)

    9,067   540,215
Burford Capital Ltd.

    46,710   619,966
Carnival PLC (b)

    32,068   523,915
CSL Ltd.

    116,815   23,200,255
CyberArk Software Ltd. (b)

    10,883   3,173,592
Diversified Energy Co. PLC

    9,878   111,829
Eagle Hospitality Trust REIT (b) (c)

    112,600  
Energy Fuels, Inc. (a) (b)

    36,700   201,844
Experian PLC

    220,787   11,641,754
Ferrovial SE

    127,478   5,488,848
Fiverr International Ltd. (a) (b)

    6,700   173,329
GCC SAB de CV (a)

    46,700   351,096
GFL Environmental, Inc. (a)

    58,600   2,340,183
GSK PLC

    1,001,634   20,374,799
Haleon PLC

    1,789,153   9,429,125
Holcim AG

    125,155   12,249,181
Inmode Ltd. (a) (b)

    17,500   296,625
James Hardie Industries PLC CDI (b)

    103,693   4,131,344
JBS SA

    175,100   1,017,006
JS Global Lifestyle Co. Ltd. (b) (d)

    278,500   61,311
Legend Biotech Corp. ADR (a) (b)

    17,200   838,156
MDA Space Ltd. (b)

    18,800   241,862
Monday.com Ltd. (b)

    8,855   2,459,653
Nestle SA

    630,536   63,505,825
Parade Technologies Ltd.

    18,000   432,844
PolyPeptide Group AG (b) (d)

    3,447   124,632
Primo Water Corp. (a)

    37,800   954,688
Qiagen NV (b)

    52,558   2,373,864
Reliance Worldwide Corp. Ltd.

    193,546   788,180
Resolute Forest Products, Inc. (b)

    7,600   10,792
RHI Magnesita NV

    6,947   319,620
Riskified Ltd. Class A (b)

    40,700   192,511
 
See accompanying notes to Schedule of Investments.
152

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Roche Holding AG

    168,374   $54,012,216
Roche Holding AG Bearer Shares (a)

    8,106   2,780,957
Sanofi SA

    274,406   31,513,216
Schneider Electric SE

    133,165   35,103,768
Shell PLC

    1,523,986   49,571,788
Signify NV (d)

    28,794   679,988
Sims Ltd. (a)

    32,754   287,674
Sinch AB (b) (d)

    160,520   483,622
Stellantis NV (e)

    119,689   1,656,646
Stellantis NV (e)

    411,840   5,703,140
Swiss Re AG

    72,725   10,061,060
Tenaris SA

    106,949   1,687,160
Titan Cement International SA

    7,754   308,943
          384,606,726
ZAMBIA — 0.0% (f)  
First Quantum Minerals Ltd. (b)

    167,800   2,290,412
TOTAL COMMON STOCKS

(Cost $6,379,888,918)

        7,869,766,251
       
RIGHTS — 0.0% (f)    
BELGIUM — 0.0% (f)      
Montea NV (expiring 10/03/24) (a) (b)

  3,606 3,260
NEW ZEALAND — 0.0% (f)      
Fletcher Building Ltd. (expiring 10/08/24) (b)

  52,273 18,292
SOUTH KOREA — 0.0%      
LOTTE REIT Co. Ltd. (expiring 11/05/24) REIT (b)

  11,510
THAILAND — 0.0%      
BTS Group Holdings PCL (expiring 10/24/24) (b)

  358,222
TURKEY — 0.0% (f)      
Hektas Ticaret TAS (expiring 10/02/24) (b)

  253,300 59,956
TOTAL RIGHTS

(Cost $95,587)

    81,508
WARRANTS — 0.0% (f)    
AUSTRALIA — 0.0% (f)      
Magellan Financial Group Ltd. (expiring 04/16/27) 35.00% (b)

  2,771 279
CANADA — 0.0%      
Constellation Software, Inc. (expiring 03/31/40) (b) (c)

  4,200
ITALY — 0.0% (f)      
Fincantieri SpA (expiring 09/30/26) (b)

  5,391 885
Security Description     Shares   Value
Webuild SpA (expiring 08/02/30) (a) (b) (c)

    2,371   $
          885
MALAYSIA — 0.0% (f)          
Frontken Corp. Bhd. (expiring 05/03/26) (b)

    30,950   2,102
Scientex Bhd. (expiring 01/14/26) (b)

    4,960   541
VS Industry Bhd. (expiring 09/05/26) (b)

    44,400   1,992
          4,635
THAILAND — 0.0% (f)          
Kiatnakin Phatra Bank PCL (expiring 03/17/26) (b)

    2,116   89
MBK PCL (expiring 05/15/25) (b)

    4,747   2,272
MBK PCL (expiring 11/15/24) (b)

    4,746   2,419
Plan B Media PCL (expiring 01/13/25) (b)

    10,680   126
Srisawad Corp. PCL (expiring 08/29/25) (b)

    3,396   65
VGI PCL (expiring 05/23/27) (b)

    223,290   625
VGI PCL (expiring 08/15/25) (b)

    96,759   3,368
Vibhavadi Medical Center PCL (expiring 07/18/25) (b)

    54,625   102
          9,066
TOTAL WARRANTS

(Cost $0)

        14,865
SHORT-TERM INVESTMENTS — 5.0%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (g) (h)

  213,414,180   213,414,180
State Street Navigator Securities Lending Portfolio II (i) (j)

  189,856,990   189,856,990
TOTAL SHORT-TERM INVESTMENTS

(Cost $403,271,170)

  403,271,170  
TOTAL INVESTMENTS — 103.1%

(Cost $6,783,255,675)

  8,273,133,794  
LIABILITIES IN EXCESS OF OTHER

ASSETS — (3.1)%

  (251,228,528)  
NET ASSETS — 100.0%

  $8,021,905,266  
    
 
See accompanying notes to Schedule of Investments.
153

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

(a) All or a portion of the shares of the security are on loan at September 30, 2024.
(b) Non-income producing security.
(c) Fair valued as determined in good faith by the Trust's Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of September 30, 2024, total aggregate fair value of the securities is $132,133, representing less than 0.05% of the Fund's net assets.
(d) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 2.5% of net assets as of September 30, 2024, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(e) Reflects separate holdings of the issuer's common stock traded on different securities exchanges.
(f) Amount is less than 0.05% of net assets.
(g) The Portfolio invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(h) The rate shown is the annualized seven-day yield at September 30, 2024.
(i) The Portfolio invested in an affiliated entity. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(j) Investment of cash collateral for securities loaned.
ADR American Depositary Receipt
CDI CREST Depository Interest
GDR Global Depositary Receipt
NVDR Non-Voting Depositary Receipt
REIT Real Estate Investment Trust
SDR Swedish Depositary Receipt
 
At September 30, 2024, open futures contracts were as follows:
Description   Number of
Contracts
  Expiration
Date
  Notional
Amount
  Value   Unrealized
Appreciation
(Depreciation)
MSCI EAFE Index (long)   936   12/20/2024   $114,144,915   $116,429,040   $2,284,125
E-mini MSCI Emerging Markets Index (long)   1,153   12/20/2024   63,312,035   67,606,155   4,294,120
S&P/TSX 60 Index (long)   56   12/19/2024   11,789,615   11,974,744   185,129
                    $6,763,374
 
The following table summarizes the value of the Portfolio’s investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                 
INVESTMENTS:                
Common Stocks

  $7,827,122,451   $42,511,668   $132,132   $7,869,766,251
Rights

  3,260   78,248     81,508
Warrants

  11,497   3,368   0(a)   14,865
Short-Term Investments

  403,271,170       403,271,170
TOTAL INVESTMENTS

  $8,230,408,378   $42,593,284   $132,132   $866,133,794
OTHER FINANCIAL INSTRUMENTS:                
Futures Contracts - Unrealized Appreciation

  $6,763,374   $  $  $6,763,374
TOTAL OTHER FINANCIAL INSTRUMENTS:

  $6,763,374   $  $  $6,763,374
(a) The Portfolio held Level 3 securities that were valued at $0 at September 30, 2024.
See accompanying notes to Schedule of Investments.
154

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STATE STREET GLOBAL ALL CAP EQUITY EX-U.S. INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Top Five Industries as of September 30, 2024

   
  Description % of Net Assets
  Banks 14.1%
  Pharmaceuticals 6.0
  Semiconductors 5.9
  Insurance 4.7
  Internet 4.6
  TOTAL 35.3%
(The top five industries are expressed as a percentage of net assets and may change over time.)
Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
State Street Institutional U.S. Government Money Market Fund, Class G Shares

178,964,611   $178,964,611   $861,577,555   $827,127,986   $—   $—   213,414,180   $213,414,180   $6,564,367
State Street Navigator Securities Lending Portfolio II

152,581,117   152,581,117   689,066,484   651,790,611       189,856,990   189,856,990   963,375
Total

    $331,545,728   $1,550,644,039   $1,478,918,597   $—   $—       $403,271,170   $7,527,742
See accompanying notes to Schedule of Investments.
155

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments
September 30, 2024 (Unaudited)

State Street Small/Mid Cap Equity Index Fund is a feeder fund that invests substantially all of its investable assets in a master fund, the State Street Small/Mid Cap Equity Index Portfolio. The Schedule of Investments for the State Street Small/Mid Cap Equity Index Portfolio follows.
Security Description     Shares   Value
COMMON STOCKS — 99.3%   
AEROSPACE & DEFENSE — 1.4%  
AAR Corp. (a) (b)

  13,141   $858,896
AeroVironment, Inc. (a) (b)

  9,845   1,973,922
AerSale Corp. (a) (b)

  11,900   60,095
Archer Aviation, Inc. Class A (a) (b)

  84,200   255,126
Astronics Corp. (a)

  11,568   225,345
BWX Technologies, Inc.

  34,626   3,763,846
Byrna Technologies, Inc. (a) (b)

  6,400   108,608
Cadre Holdings, Inc. (b)

  9,700   368,115
Curtiss-Wright Corp.

  14,415   4,738,066
Ducommun, Inc. (a)

  5,000   329,150
Eve Holding, Inc. (a) (b)

  6,719   21,770
HEICO Corp. (b)

  17,146   4,483,336
HEICO Corp. Class A

  30,664   6,248,097
Hexcel Corp.

  31,017   1,917,781
Intuitive Machines, Inc. (a) (b)

  10,500   84,525
Kratos Defense & Security Solutions, Inc. (a) (b)

  56,100   1,307,130
Leonardo DRS, Inc. (a)

  27,400   773,228
Loar Holdings, Inc. (a) (b)

  4,100   305,819
Mercury Systems, Inc. (a)

  20,600   762,200
Moog, Inc. Class A

  10,721   2,165,856
National Presto Industries, Inc.

  2,090   157,043
Park Aerospace Corp.

  7,400   96,422
Redwire Corp. (a) (b)

  7,800   53,586
Rocket Lab USA, Inc. (a) (b)

  131,300   1,277,549
Spirit AeroSystems Holdings, Inc. Class A (a) (b)

  44,442   1,444,809
Terran Orbital Corp. (a) (b)

  61,800   15,524
Triumph Group, Inc. (a) (b)

  27,745   357,633
V2X, Inc. (a)

  4,500   251,370
Virgin Galactic Holdings, Inc. (a)

  6,069   37,021
VirTra, Inc. (a) (b)

  3,900   24,258
Woodward, Inc.

  22,874   3,923,120
          38,389,246
AIR FREIGHT & LOGISTICS — 0.2%  
Air Transport Services Group, Inc. (a) (b)

  19,000   307,610
Forward Air Corp. (b)

  9,551   338,106
GXO Logistics, Inc. (a)

  44,690   2,327,008
Hub Group, Inc. Class A

  22,734   1,033,260
Radiant Logistics, Inc. (a)

  12,353   79,430
          4,085,414
AIRLINES — 0.3%  
Alaska Air Group, Inc. (a)

  48,300   2,183,643
Allegiant Travel Co. (b)

  5,850   322,101
Security Description     Shares   Value
American Airlines Group, Inc. (a)

  248,900   $2,797,636
Blade Air Mobility, Inc. (a) (b)

  20,200   59,388
Frontier Group Holdings, Inc. (a) (b)

  15,600   83,460
JetBlue Airways Corp. (a) (b)

  118,136   774,972
Joby Aviation, Inc. (a) (b)

  149,100   749,973
SkyWest, Inc. (a)

  14,903   1,267,053
Spirit Airlines, Inc. (b)

  38,669   92,806
Sun Country Airlines Holdings, Inc. (a)

  15,700   175,997
Wheels Up Experience, Inc. (a) (b)

  33,000   79,860
          8,586,889
AUTO COMPONENTS — 0.7%  
Adient PLC (a)

  34,000   767,380
American Axle & Manufacturing Holdings, Inc. (a)

  42,350   261,723
Cooper-Standard Holdings, Inc. (a) (b)

  5,700   79,059
Dana, Inc.

  50,342   531,611
Dorman Products, Inc. (a)

  9,827   1,111,630
Fox Factory Holding Corp. (a) (b)

  15,997   663,875
Gentex Corp.

  87,623   2,601,527
Gentherm, Inc. (a)

  11,885   553,247
Goodyear Tire & Rubber Co. (a)

  106,216   940,012
Holley, Inc. (a)

  17,000   50,150
LCI Industries (b)

  9,413   1,134,643
Lear Corp.

  21,351   2,330,462
Luminar Technologies, Inc. (a) (b)

  118,600   106,704
Modine Manufacturing Co. (a)

  19,483   2,587,147
Patrick Industries, Inc. (b)

  8,128   1,157,183
Phinia, Inc.

  16,400   754,892
QuantumScape Corp. (a) (b)

  136,601   785,456
Solid Power, Inc. (a) (b)

  58,000   78,300
Standard Motor Products, Inc.

  7,843   260,388
Stoneridge, Inc. (a)

  9,682   108,342
Visteon Corp. (a)

  10,258   976,972
XPEL, Inc. (a) (b)

  9,400   407,678
          18,248,381
AUTOMOBILES — 0.3%  
Canoo, Inc. (a) (b)

  21,900   21,539
Harley-Davidson, Inc.

  46,001   1,772,418
Livewire Group, Inc. (a) (b)

  7,648   46,653
Lucid Group, Inc. (a) (b)

  341,200   1,204,436
Rivian Automotive, Inc. Class A (a) (b)

  315,400   3,538,788
Thor Industries, Inc. (b)

  19,301   2,120,987
See accompanying notes to Schedule of Investments.
156

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Winnebago Industries, Inc. (b)

  10,700   $621,777
          9,326,598
BANKS — 6.2%  
1st Source Corp.

  7,120   426,346
ACNB Corp.

  3,500   152,845
Amalgamated Financial Corp.

  6,400   200,768
Amerant Bancorp, Inc.

  10,900   232,933
Ameris Bancorp

  24,759   1,544,714
Ames National Corp. (b)

  3,022   55,091
Arrow Financial Corp. (b)

  5,965   170,957
Associated Banc-Corp.

  56,030   1,206,886
Atlantic Union Bankshares Corp. (b)

  33,537   1,263,339
Axos Financial, Inc. (a)

  20,632   1,297,340
Banc of California, Inc.

  52,751   777,022
BancFirst Corp.

  7,552   794,848
Bancorp, Inc. (a)

  18,900   1,011,150
Bank First Corp.

  3,900   353,730
Bank of Hawaii Corp. (b)

  14,726   924,351
Bank of Marin Bancorp

  5,644   113,388
Bank of NT Butterfield & Son Ltd.

  17,696   652,628
Bank OZK (b)

  40,328   1,733,701
Bank7 Corp.

  1,700   63,699
BankUnited, Inc.

  28,327   1,032,236
Bankwell Financial Group, Inc.

  2,842   85,118
Banner Corp. (b)

  13,200   786,192
Bar Harbor Bankshares

  5,380   165,919
BayCom Corp.

  3,600   85,392
BCB Bancorp, Inc.

  5,000   61,700
Berkshire Hills Bancorp, Inc.

  16,416   442,083
Blue Foundry Bancorp (a) (b)

  7,206   73,861
BOK Financial Corp.

  8,608   900,569
Bridgewater Bancshares, Inc. (a)

  8,376   118,688
Brookline Bancorp, Inc.

  32,322   326,129
Burke & Herbert Financial Services Corp.

  5,275   321,722
Business First Bancshares, Inc.

  8,800   225,896
Byline Bancorp, Inc.

  12,300   329,271
Cadence Bank

  67,945   2,164,048
California BanCorp (a)

  8,852   130,921
Camden National Corp.

  5,802   239,739
Capital Bancorp, Inc.

  3,300   84,843
Capital City Bank Group, Inc.

  5,105   180,155
Capitol Federal Financial, Inc.

  46,200   269,808
Carter Bankshares, Inc. (a)

  8,400   146,076
Cathay General Bancorp

  26,109   1,121,382
Central Pacific Financial Corp.

  9,754   287,840
Chemung Financial Corp.

  1,437   69,005
ChoiceOne Financial Services, Inc. (b)

  3,400   105,094
Citizens & Northern Corp.

  5,551   109,299
Citizens Financial Services, Inc.

  1,513   88,889
City Holding Co.

  5,595   656,797
Civista Bancshares, Inc.

  6,500   115,830
CNB Financial Corp.

  7,400   178,044
Coastal Financial Corp. (a)

  4,513   243,657
Security Description     Shares   Value
Colony Bankcorp, Inc.

  6,146   $95,386
Columbia Banking System, Inc. (b)

  79,178   2,067,338
Columbia Financial, Inc. (a) (b)

  10,300   175,821
Comerica, Inc.

  50,700   3,037,437
Commerce Bancshares, Inc.

  44,926   2,668,604
Community Financial System, Inc.

  19,839   1,152,051
Community Trust Bancorp, Inc.

  5,603   278,245
Community West Bancshares

  6,000   115,560
ConnectOne Bancorp, Inc. (b)

  13,334   334,017
CrossFirst Bankshares, Inc. (a)

  16,923   282,445
Cullen/Frost Bankers, Inc. (b)

  22,172   2,480,160
Customers Bancorp, Inc. (a)

  11,202   520,333
CVB Financial Corp. (b)

  50,500   899,910
Dime Community Bancshares, Inc. (b)

  13,640   392,832
Eagle Bancorp, Inc.

  10,800   243,864
East West Bancorp, Inc.

  52,133   4,313,484
Eastern Bankshares, Inc.

  72,740   1,192,209
Enterprise Bancorp, Inc.

  3,578   114,353
Enterprise Financial Services Corp.

  13,814   708,106
Equity Bancshares, Inc. Class A

  5,300   216,664
Esquire Financial Holdings, Inc. (b)

  2,900   189,109
ESSA Bancorp, Inc.

  2,900   55,738
Farmers & Merchants Bancorp, Inc. (b)

  4,600   127,190
Farmers National Banc Corp.

  13,466   203,606
FB Financial Corp.

  13,483   632,757
Fidelity D&D Bancorp, Inc.

  2,000   98,680
Financial Institutions, Inc.

  5,680   144,670
First BanCorp

  60,900   1,289,253
First Bancorp, Inc.

  3,700   97,384
First Bancorp/Southern Pines NC (b)

  15,414   641,068
First Bancshares, Inc.

  11,800   379,134
First Bank

  8,400   127,680
First Busey Corp.

  19,688   512,282
First Business Financial Services, Inc.

  3,246   147,985
First Citizens BancShares, Inc. Class A

  4,628   8,519,917
First Commonwealth Financial Corp.

  38,806   665,523
First Community Bankshares, Inc.

  6,700   289,105
First Financial Bancorp

  36,091   910,576
First Financial Bankshares, Inc.

  48,802   1,806,162
First Financial Corp.

  4,100   179,785
First Financial Northwest, Inc.

  3,100   69,812
First Foundation, Inc.

  24,450   152,568
First Hawaiian, Inc.

  48,700   1,127,405
First Horizon Corp.

  206,600   3,208,498
First Internet Bancorp

  3,000   102,780
 
See accompanying notes to Schedule of Investments.
157

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
First Interstate BancSystem, Inc. Class A

  29,732   $912,178
First Merchants Corp.

  22,420   834,024
First Mid Bancshares, Inc.

  8,300   322,953
First of Long Island Corp.

  7,750   99,742
First Western Financial, Inc. (a)

  3,100   62,000
Five Star Bancorp

  6,966   207,099
Flushing Financial Corp.

  10,400   151,632
FNB Corp.

  134,398   1,896,356
FS Bancorp, Inc.

  2,400   106,776
Fulton Financial Corp.

  68,592   1,243,573
FVCBankcorp, Inc. (a)

  5,524   72,088
German American Bancorp, Inc.

  10,625   411,719
Glacier Bancorp, Inc. (b)

  42,608   1,947,186
Great Southern Bancorp, Inc.

  2,968   170,096
Greene County Bancorp, Inc.

  2,400   74,160
Guaranty Bancshares, Inc.

  2,765   95,061
Hancock Whitney Corp.

  32,420   1,658,931
Hanmi Financial Corp.

  11,200   208,320
HarborOne Bancorp, Inc.

  13,963   181,240
HBT Financial, Inc.

  5,200   113,776
Heartland Financial USA, Inc.

  16,100   912,870
Heritage Commerce Corp.

  21,366   211,096
Heritage Financial Corp.

  12,700   276,479
Hilltop Holdings, Inc.

  18,000   578,880
Hingham Institution For Savings

  568   138,200
Home Bancorp, Inc.

  2,473   110,246
Home BancShares, Inc.

  70,123   1,899,632
HomeStreet, Inc.

  6,574   103,606
HomeTrust Bancshares, Inc.

  5,209   177,523
Hope Bancorp, Inc.

  45,021   565,464
Horizon Bancorp, Inc.

  16,840   261,862
Independent Bank Corp. (c)

  16,165   955,836
Independent Bank Corp. (c)

  7,118   237,385
Independent Bank Group, Inc.

  13,472   776,795
International Bancshares Corp.

  20,150   1,204,768
Investar Holding Corp.

  3,400   65,960
John Marshall Bancorp, Inc. (b)

  4,300   85,054
Kearny Financial Corp.

  24,351   167,291
Lakeland Financial Corp. (b)

  9,528   620,463
LCNB Corp.

  4,100   61,787
LINKBANCORP, Inc.

  10,400   66,664
Live Oak Bancshares, Inc.

  13,290   629,547
Mercantile Bank Corp.

  5,700   249,204
Metrocity Bankshares, Inc.

  7,100   217,402
Metropolitan Bank Holding Corp. (a)

  3,800   199,804
Mid Penn Bancorp, Inc.

  5,126   152,909
Middlefield Banc Corp.

  2,700   77,760
Midland States Bancorp, Inc.

  8,002   179,085
MidWestOne Financial Group, Inc.

  5,051   144,105
MVB Financial Corp.

  4,373   84,661
National Bank Holdings Corp. Class A (b)

  13,748   578,791
National Bankshares, Inc.

  1,900   56,810
Security Description     Shares   Value
NB Bancorp, Inc. (a)

  14,400   $267,264
NBT Bancorp, Inc. (b)

  17,600   778,448
New York Community Bancorp, Inc.

  94,674   1,063,189
Nicolet Bankshares, Inc.

  5,216   498,806
Northeast Bank

  2,400   185,112
Northeast Community Bancorp, Inc.

  4,700   124,315
Northfield Bancorp, Inc.

  14,180   164,488
Northrim BanCorp, Inc.

  2,100   149,562
Northwest Bancshares, Inc.

  47,476   635,229
Norwood Financial Corp. (b)

  2,300   63,434
NU Holdings Ltd. Class A (a)

  1,218,300   16,629,795
Oak Valley Bancorp

  2,401   63,795
OceanFirst Financial Corp.

  21,007   390,520
OFG Bancorp

  17,400   781,608
Old National Bancorp (b)

  116,818   2,179,824
Old Second Bancorp, Inc.

  16,235   253,104
Orange County Bancorp, Inc.

  1,900   114,608
Origin Bancorp, Inc.

  10,700   344,112
Orrstown Financial Services, Inc. (b)

  7,000   251,720
Pacific Premier Bancorp, Inc.

  36,901   928,429
Park National Corp. (b)

  5,417   909,948
Parke Bancorp, Inc. (b)

  3,897   81,447
Pathward Financial, Inc.

  9,543   629,933
PCB Bancorp

  3,800   71,402
Peapack-Gladstone Financial Corp.

  6,300   172,683
Peoples Bancorp of North Carolina, Inc.

  1,700   43,163
Peoples Bancorp, Inc.

  13,014   391,591
Peoples Financial Services Corp. (b)

  3,839   179,972
Pinnacle Financial Partners, Inc. (b)

  28,689   2,810,661
Pioneer Bancorp, Inc. (a)

  5,119   56,155
Plumas Bancorp

  2,400   97,872
Ponce Financial Group, Inc. (a) (b)

  8,600   100,534
Popular, Inc.

  27,210   2,728,347
Preferred Bank

  4,577   367,304
Premier Financial Corp.

  13,697   321,606
Primis Financial Corp.

  7,869   95,844
Princeton Bancorp, Inc.

  2,100   77,658
Prosperity Bancshares, Inc.

  33,809   2,436,615
Provident Bancorp, Inc. (a)

  5,800   62,582
Provident Financial Services, Inc.

  47,956   890,063
QCR Holdings, Inc.

  6,020   445,661
RBB Bancorp

  5,500   126,610
Red River Bancshares, Inc.

  1,600   83,200
Renasant Corp.

  23,332   758,290
Republic Bancorp, Inc. Class A

  3,008   196,422
S&T Bancorp, Inc.

  14,561   611,125
Sandy Spring Bancorp, Inc.

  16,780   526,389
 
See accompanying notes to Schedule of Investments.
158

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STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Seacoast Banking Corp. of Florida

  31,891   $849,895
ServisFirst Bancshares, Inc.

  19,200   1,544,640
Shore Bancshares, Inc.

  10,425   145,846
Sierra Bancorp

  5,018   144,920
Simmons First National Corp. Class A

  46,839   1,008,912
SmartFinancial, Inc.

  5,802   169,070
South Plains Financial, Inc.

  4,221   143,176
Southern First Bancshares, Inc. (a)

  2,800   95,424
Southern Missouri Bancorp, Inc.

  3,400   192,066
Southern States Bancshares, Inc.

  2,900   89,117
Southside Bancshares, Inc.

  10,655   356,197
SouthState Corp.

  28,242   2,744,558
Stellar Bancorp, Inc.

  18,098   468,557
Sterling Bancorp, Inc. (a) (b)

  8,989   40,900
Stock Yards Bancorp, Inc.

  9,900   613,701
Synovus Financial Corp. (b)

  54,448   2,421,303
Texas Capital Bancshares, Inc. (a)

  17,372   1,241,403
TFS Financial Corp.

  19,817   254,847
Third Coast Bancshares, Inc. (a)

  4,300   115,111
Timberland Bancorp, Inc.

  2,788   84,365
Tompkins Financial Corp.

  4,881   282,073
Towne Bank

  26,790   885,677
TriCo Bancshares

  12,372   527,666
Triumph Financial, Inc. (a) (b)

  8,421   669,806
TrustCo Bank Corp.

  6,619   218,890
Trustmark Corp.

  23,196   738,097
UMB Financial Corp.

  16,689   1,754,181
United Bankshares, Inc.

  49,305   1,829,215
United Community Banks, Inc.

  44,840   1,303,947
Unity Bancorp, Inc.

  2,595   88,386
Univest Financial Corp.

  10,740   302,224
USCB Financial Holdings, Inc.

  4,383   66,841
Valley National Bancorp

  161,968   1,467,430
Veritex Holdings, Inc.

  19,950   525,084
Virginia National Bankshares Corp.

  1,735   72,263
WaFd, Inc.

  25,424   886,026
Washington Trust Bancorp, Inc. (b)

  6,023   194,001
Webster Financial Corp.

  64,641   3,012,917
WesBanco, Inc.

  21,502   640,330
West BanCorp, Inc.

  7,100   134,971
Westamerica BanCorp

  9,685   478,633
Western Alliance Bancorp (b)

  40,683   3,518,673
Wintrust Financial Corp.

  24,538   2,663,109
WSFS Financial Corp. (b)

  22,424   1,143,400
Zions Bancorp NA

  54,700   2,582,934
          169,757,495
BEVERAGES — 0.3%  
Boston Beer Co., Inc. Class A (a)

  3,416   987,702
Celsius Holdings, Inc. (a)

  66,900   2,097,984
Security Description     Shares   Value
Coca-Cola Consolidated, Inc.

  2,246   $2,956,635
Duckhorn Portfolio, Inc. (a) (b)

  19,400   112,714
MGP Ingredients, Inc. (b)

  5,400   449,550
National Beverage Corp.

  8,994   422,178
Primo Water Corp.

  59,500   1,502,375
Vita Coco Co., Inc. (a) (b)

  14,700   416,157
          8,945,295
BIOTECHNOLOGY — 5.3%  
2seventy bio, Inc. (a) (b)

  20,207   95,377
4D Molecular Therapeutics, Inc. (a) (b)

  18,400   198,904
89bio, Inc. (a)

  29,500   218,300
Absci Corp. (a)

  31,500   120,330
ACADIA Pharmaceuticals, Inc. (a)

  44,589   685,779
ACELYRIN, Inc. (a) (b)

  27,900   137,547
Achieve Life Sciences, Inc. (a) (b)

  12,700   60,198
Acrivon Therapeutics, Inc. (a) (b)

  4,700   32,900
Actinium Pharmaceuticals, Inc. (a) (b)

  14,500   27,260
Acumen Pharmaceuticals, Inc. (a) (b)

  15,400   38,192
ADC Therapeutics SA (a)

  31,900   100,485
ADMA Biologics, Inc. (a)

  84,900   1,697,151
Aduro Biotech, Inc. (a) (d)

  2,090  
Adverum Biotechnologies, Inc. (a) (b)

  7,700   54,054
Aerovate Therapeutics, Inc. (a) (b)

  10,616   22,187
Agenus, Inc. (a) (b)

  8,124   44,520
Agios Pharmaceuticals, Inc. (a)

  21,404   950,980
Akebia Therapeutics, Inc. (a) (b)

  76,500   100,980
Akero Therapeutics, Inc. (a)

  25,700   737,333
Aldeyra Therapeutics, Inc. (a) (b)

  17,100   92,169
Alector, Inc. (a)

  31,835   148,351
Alkermes PLC (a)

  61,762   1,728,718
Allogene Therapeutics, Inc. (a) (b)

  49,631   138,967
Alnylam Pharmaceuticals, Inc. (a)

  48,366   13,302,101
Altimmune, Inc. (a) (b)

  26,600   163,324
ALX Oncology Holdings, Inc. (a) (b)

  11,700   21,294
Amicus Therapeutics, Inc. (a)

  111,141   1,186,986
AnaptysBio, Inc. (a)

  6,914   231,619
Anavex Life Sciences Corp. (a) (b)

  26,800   152,224
Anika Therapeutics, Inc. (a)

  4,747   117,251
Annexon, Inc. (a)

  36,500   216,080
Apellis Pharmaceuticals, Inc. (a)

  40,100   1,156,484
Apogee Therapeutics, Inc. (a) (b)

  14,400   845,856
Applied Therapeutics, Inc. (a)

  36,400   309,400
Arbutus Biopharma Corp. (a) (b)

  55,300   212,905
Arcellx, Inc. (a) (b)

  16,300   1,361,213
 
See accompanying notes to Schedule of Investments.
159

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Arcturus Therapeutics Holdings, Inc. (a) (b)

  8,635   $200,418
Arcus Biosciences, Inc. (a)

  19,495   298,079
Arcutis Biotherapeutics, Inc. (a)

  40,300   374,790
Ardelyx, Inc. (a) (b)

  86,500   595,985
ArriVent Biopharma, Inc. (a) (b)

  10,800   253,800
Arrowhead Pharmaceuticals, Inc. (a) (b)

  44,161   855,399
ARS Pharmaceuticals, Inc. (a) (b)

  18,800   272,600
Artiva Biotherapeutics, Inc. (a)

  5,300   81,885
Astria Therapeutics, Inc. (a)

  17,400   191,574
Atossa Therapeutics, Inc. (a)

  46,500   70,680
Aura Biosciences, Inc. (a) (b)

  16,500   147,015
Aurinia Pharmaceuticals, Inc. (a) (b)

  51,100   374,563
Avid Bioservices, Inc. (a) (b)

  22,968   261,376
Avidity Biosciences, Inc. (a) (b)

  40,700   1,869,351
Avita Medical, Inc. (a) (b)

  8,600   92,192
Beam Therapeutics, Inc. (a) (b)

  28,400   695,800
BioCryst Pharmaceuticals, Inc. (a)

  78,030   593,028
Biohaven Ltd. (a)

  28,400   1,419,148
BioMarin Pharmaceutical, Inc. (a)

  71,627   5,034,662
Biomea Fusion, Inc. (a) (b)

  10,100   102,010
Black Diamond Therapeutics, Inc. (a)

  16,300   70,905
Bluebird Bio, Inc. (a) (b)

  78,821   40,948
Blueprint Medicines Corp. (a)

  23,742   2,196,135
Boundless Bio, Inc. (a)

  2,300   7,981
Bridgebio Pharma, Inc. (a)

  53,094   1,351,773
C4 Therapeutics, Inc. (a) (b)

  21,600   123,120
Cabaletta Bio, Inc. (a) (b)

  14,500   68,440
Candel Therapeutics, Inc. (a)

  7,600   52,668
Capricor Therapeutics, Inc. (a)

  10,000   152,100
Cardiff Oncology, Inc. (a) (b)

  14,700   39,249
CareDx, Inc. (a)

  18,848   588,529
Cargo Therapeutics, Inc. (a)

  13,200   243,540
Caribou Biosciences, Inc. (a) (b)

  29,300   57,428
Cartesian Therapeutics, Inc. (a) (b)

  2,790   44,975
Catalyst Pharmaceuticals, Inc. (a)

  42,347   841,858
Celcuity, Inc. (a) (b)

  10,300   153,573
Celldex Therapeutics, Inc. (a)

  24,100   819,159
Century Therapeutics, Inc. (a) (b)

  19,500   33,345
CervoMed, Inc. (a) (b)

  1,900   27,740
CG oncology, Inc. (a)

  17,900   675,367
Chinook Therapeutics, Inc. (a)

  17,090   6,665
Cibus, Inc. (a)

  5,500   17,930
Cogent Biosciences, Inc. (a) (b)

  34,400   371,520
Coherus Biosciences, Inc. (a) (b)

  37,817   39,330
Compass Therapeutics, Inc. (a)

  43,200   79,488
Corbus Pharmaceuticals Holdings, Inc. (a) (b)

  3,900   80,457
Security Description     Shares   Value
Crinetics Pharmaceuticals, Inc. (a)

  29,500   $1,507,450
Cullinan Therapeutics, Inc. (a) (b)

  19,800   331,452
Cytokinetics, Inc. (a) (b)

  42,696   2,254,349
Day One Biopharmaceuticals, Inc. (a) (b)

  20,100   279,993
Denali Therapeutics, Inc. (a)

  47,232   1,375,868
Design Therapeutics, Inc. (a) (b)

  9,700   52,186
Dianthus Therapeutics, Inc. (a)

  8,900   243,682
Disc Medicine, Inc. (a) (b)

  7,500   368,550
Dynavax Technologies Corp. (a)

  48,138   536,257
Dyne Therapeutics, Inc. (a)

  30,400   1,091,968
Editas Medicine, Inc. (a) (b)

  28,839   98,341
Elevation Oncology, Inc. (a)

  23,500   14,098
Eliem Therapeutics, Inc. (a) (b)

  11,500   58,535
Enanta Pharmaceuticals, Inc. (a)

  6,600   68,376
Entrada Therapeutics, Inc. (a) (b)

  8,940   142,861
Erasca, Inc. (a)

  68,200   186,186
Exact Sciences Corp. (a) (b)

  69,929   4,763,563
Exelixis, Inc. (a)

  108,608   2,818,378
Fate Therapeutics, Inc. (a) (b)

  40,089   140,311
Fennec Pharmaceuticals, Inc. (a) (b)

  8,200   41,000
Fibrobiologics, Inc. (a) (b)

  9,400   29,046
Foghorn Therapeutics, Inc. (a)

  9,900   92,169
Galectin Therapeutics, Inc. (a) (b)

  7,500   20,625
Generation Bio Co. (a)

  20,300   50,141
Geron Corp. (a) (b)

  218,483   991,913
GRAIL, Inc. (a) (b)

  9,983   137,366
Greenwich Lifesciences, Inc. (a) (b)

  2,800   40,236
Gtx, Inc. CVR (a) (b)

  85   161
Gyre Therapeutics, Inc. (a) (b)

  2,700   33,858
Halozyme Therapeutics, Inc. (a)

  46,458   2,659,256
Heron Therapeutics, Inc. (a) (b)

  44,617   88,788
HilleVax, Inc. (a) (b)

  10,200   17,952
Humacyte, Inc. (a) (b)

  34,500   187,680
Icosavax, Inc. (a)

  9,700   3,007
Ideaya Biosciences, Inc. (a)

  31,100   985,248
IGM Biosciences, Inc. (a) (b)

  5,800   95,932
ImmunityBio, Inc. (a) (b)

  54,400   202,368
Immunome, Inc. (a) (b)

  19,500   285,090
Immunovant, Inc. (a) (b)

  21,500   612,965
Inhibrx Biosciences, Inc. (a) (b)

  3,700   57,942
Inmune Bio, Inc. (a) (b)

  6,200   33,418
Inovio Pharmaceuticals, Inc. (a)

  10,000   57,800
Inozyme Pharma, Inc. (a) (b)

  18,500   96,755
Insmed, Inc. (a)

  59,166   4,319,118
Intellia Therapeutics, Inc. (a)

  36,800   756,240
Invivyd, Inc. (a)

  33,600   34,272
Ionis Pharmaceuticals, Inc. (a) (b)

  60,012   2,404,081
Iovance Biotherapeutics, Inc. (a) (b)

  95,500   896,745
 
See accompanying notes to Schedule of Investments.
160

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Ironwood Pharmaceuticals, Inc. (a) (b)

  52,678   $217,033
iTeos Therapeutics, Inc. (a)

  8,900   90,869
Janux Therapeutics, Inc. (a)

  10,600   481,558
Jasper Therapeutics, Inc. (a) (b)

  4,200   79,002
KalVista Pharmaceuticals, Inc. (a) (b)

  14,800   171,384
Keros Therapeutics, Inc. (a)

  11,247   653,113
Kiniksa Pharmaceuticals International PLC (a) (b)

  14,325   357,982
Kodiak Sciences, Inc. (a)

  12,035   31,411
Korro Bio, Inc. (a)

  2,200   73,524
Krystal Biotech, Inc. (a) (b)

  9,367   1,705,075
Kura Oncology, Inc. (a)

  27,300   533,442
Kymera Therapeutics, Inc. (a)

  16,900   799,877
Kyverna Therapeutics, Inc. (a)

  6,200   30,318
Larimar Therapeutics, Inc. (a)

  16,800   110,040
LENZ Therapeutics, Inc. (b)

  4,628   109,869
Lexeo Therapeutics, Inc. (a) (b)

  9,200   83,168
Lexicon Pharmaceuticals, Inc. (a) (b)

  40,521   63,618
Lineage Cell Therapeutics, Inc. (a) (b)

  61,700   55,857
Lyell Immunopharma, Inc. (a) (b)

  60,700   83,766
MacroGenics, Inc. (a) (b)

  21,434   70,518
Madrigal Pharmaceuticals, Inc. (a) (b)

  6,659   1,413,173
MannKind Corp. (a)

  98,100   617,049
MeiraGTx Holdings PLC (a)

  12,300   51,291
Merrimack Pharmaceuticals, Inc. (a) (b) (d)

  3,300  
Mersana Therapeutics, Inc. (a)

  45,300   85,617
Metagenomi, Inc. (a)

  2,300   4,991
MiMedx Group, Inc. (a)

  42,000   248,220
Mineralys Therapeutics, Inc. (a)

  9,700   117,467
Mirum Pharmaceuticals, Inc. (a) (b)

  14,500   565,500
Monte Rosa Therapeutics, Inc. (a) (b)

  15,600   82,680
Myriad Genetics, Inc. (a)

  33,695   922,906
Natera, Inc. (a)

  43,349   5,503,156
Neurocrine Biosciences, Inc. (a)

  37,822   4,357,851
Neurogene, Inc. (a) (b)

  3,800   159,448
Nkarta, Inc. (a)

  21,300   96,276
Novavax, Inc. (a)

  53,193   671,828
Nurix Therapeutics, Inc. (a)

  24,300   546,021
Nuvalent, Inc. Class A (a)

  13,100   1,340,130
Ocugen, Inc. (a)

  99,100   98,327
Olema Pharmaceuticals, Inc. (a) (b)

  14,900   177,906
Organogenesis Holdings, Inc. (a)

  24,098   68,920
ORIC Pharmaceuticals, Inc. (a) (b)

  22,900   234,725
Outlook Therapeutics, Inc. (a)

  5,525   29,503
Ovid therapeutics, Inc. (a)

  18,300   21,594
PepGen, Inc. (a)

  6,109   52,232
Security Description     Shares   Value
Perspective Therapeutics, Inc. (a) (b)

  20,600   $275,010
Poseida Therapeutics, Inc. (a) (b)

  27,800   79,508
Praxis Precision Medicines, Inc. (a)

  6,500   374,010
Precigen, Inc. (a)

  43,141   40,859
Prelude Therapeutics, Inc. (a) (b)

  8,700   18,009
Prime Medicine, Inc. (a) (b)

  23,600   91,332
ProKidney Corp. (a) (b)

  40,400   77,568
Protagonist Therapeutics, Inc. (a) (b)

  22,002   990,090
Prothena Corp. PLC (a) (b)

  15,300   255,969
PTC Therapeutics, Inc. (a)

  28,800   1,068,480
Puma Biotechnology, Inc. (a)

  15,200   38,760
Pyxis Oncology, Inc. (a) (b)

  18,000   66,060
Q32 Bio, Inc. (a) (b)

  2,200   98,164
RAPT Therapeutics, Inc. (a)

  10,000   20,100
Recursion Pharmaceuticals, Inc. Class A (a) (b)

  90,900   599,031
REGENXBIO, Inc. (a)

  16,700   175,183
Regulus Therapeutics, Inc. (a) (b)

  23,200   36,424
Relay Therapeutics, Inc. (a)

  36,400   257,712
Renovaro, Inc. (a) (b)

  17,900   8,651
Replimune Group, Inc. (a)

  23,400   256,464
REVOLUTION Medicines, Inc. (a)

  57,544   2,609,620
Rhythm Pharmaceuticals, Inc. (a) (b)

  20,700   1,084,473
Rigel Pharmaceuticals, Inc. (a) (b)

  6,068   98,180
Rocket Pharmaceuticals, Inc. (a) (b)

  25,400   469,138
Roivant Sciences Ltd. (a) (b)

  161,200   1,860,248
Sage Therapeutics, Inc. (a) (b)

  18,772   135,534
Sana Biotechnology, Inc. (a) (b)

  49,900   207,584
Sarepta Therapeutics, Inc. (a)

  34,352   4,290,221
Savara, Inc. (a)

  44,600   189,104
Scholar Rock Holding Corp. (a) (b)

  24,700   197,847
Sera Prognostics, Inc. Class A (a) (b)

  10,900   85,020
Shattuck Labs, Inc. (a)

  17,000   59,330
Skye Bioscience, Inc. (a)

  6,300   24,633
Soleno Therapeutics, Inc. (a)

  8,800   444,312
Solid Biosciences, Inc. (a)

  8,500   59,245
SpringWorks Therapeutics, Inc. (a) (b)

  26,200   839,448
Spyre Therapeutics, Inc. (a) (b)

  13,000   382,330
Stoke Therapeutics, Inc. (a)

  13,600   167,144
Summit Therapeutics, Inc. (a)

  33,000   722,700
Sutro Biopharma, Inc. (a)

  31,900   110,374
Syndax Pharmaceuticals, Inc. (a)

  31,020   597,135
Tango Therapeutics, Inc. (a) (b)

  17,100   131,670
Taysha Gene Therapies, Inc. (a)

  66,700   134,067
Tenaya Therapeutics, Inc. (a)

  22,200   42,846
 
See accompanying notes to Schedule of Investments.
161

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Tevogen Bio Holdings, Inc. (a)

  13,300   $4,900
TG Therapeutics, Inc. (a) (b)

  52,645   1,231,367
Tobira Therapeutics, Inc. CVR (a)

  200   906
Tourmaline Bio, Inc.

  8,500   218,535
Travere Therapeutics, Inc. (a) (b)

  27,898   390,293
TScan Therapeutics, Inc. (a)

  16,200   80,676
Twist Bioscience Corp. (a)

  21,712   980,948
Tyra Biosciences, Inc. (a) (b)

  7,207   169,437
Ultragenyx Pharmaceutical, Inc. (a)

  34,576   1,920,697
United Therapeutics Corp. (a)

  16,521   5,920,300
UroGen Pharma Ltd. (a) (b)

  14,600   185,420
Vanda Pharmaceuticals, Inc. (a)

  22,551   105,764
Vaxcyte, Inc. (a)

  45,000   5,142,150
Vera Therapeutics, Inc. (a)

  14,600   645,320
Veracyte, Inc. (a)

  29,087   990,121
Verastem, Inc. (a) (b)

  9,300   27,807
Vericel Corp. (a)

  18,373   776,259
Verve Therapeutics, Inc. (a)

  27,600   133,584
Viking Therapeutics, Inc. (a) (b)

  40,300   2,551,393
Vir Biotechnology, Inc. (a)

  35,439   265,438
Viridian Therapeutics, Inc. (a)

  23,800   541,450
Voyager Therapeutics, Inc. (a)

  16,500   96,525
Werewolf Therapeutics, Inc. (a)

  15,500   32,860
X4 Pharmaceuticals, Inc. (a)

  72,400   48,457
XBiotech, Inc. (a) (b)

  6,800   52,564
Xencor, Inc. (a)

  21,785   438,096
XOMA Royalty Corp. (a) (b)

  2,600   68,848
Y-mAbs Therapeutics, Inc. (a)

  14,000   184,100
Zentalis Pharmaceuticals, Inc. (a) (b)

  21,000   77,280
Zura Bio Ltd. (a) (b)

  17,500   71,050
Zymeworks, Inc. (a)

  20,900   262,295
          146,892,235
BROADLINE RETAIL — 0.7%  
1stdibs.com, Inc. (a)

  9,400   41,454
Coupang, Inc. (a)

  443,600   10,890,380
Dillard's, Inc. Class A (b)

  1,152   442,011
Etsy, Inc. (a)

  44,600   2,476,638
Groupon, Inc. (a) (b)

  8,400   82,152
Kohl's Corp. (b)

  42,106   888,436
Macy's, Inc.

  104,100   1,633,329
Nordstrom, Inc.

  38,000   854,620
Ollie's Bargain Outlet Holdings, Inc. (a)

  23,169   2,252,027
Savers Value Village, Inc. (a) (b)

  9,400   98,888
          19,659,935
BUILDING PRODUCTS — 2.1%  
AAON, Inc. (b)

  25,950   2,798,448
Advanced Drainage Systems, Inc.

  26,600   4,180,456
American Woodmark Corp. (a)

  5,856   547,243
Apogee Enterprises, Inc.

  8,109   567,752
Armstrong World Industries, Inc.

  16,595   2,181,081
Security Description     Shares   Value
AZEK Co., Inc. (a)

  54,992   $2,573,626
AZZ, Inc.

  10,993   908,132
Caesarstone Ltd. (a)

  7,600   34,656
Carlisle Cos., Inc.

  17,438   7,842,740
CSW Industrials, Inc.

  6,271   2,297,632
Fortune Brands Innovations, Inc.

  46,700   4,181,051
Gibraltar Industries, Inc. (a)

  11,700   818,181
Griffon Corp.

  14,200   994,000
Hayward Holdings, Inc. (a)

  55,000   843,700
Insteel Industries, Inc.

  6,587   204,790
Janus International Group, Inc. (a) (b)

  53,700   542,907
JELD-WEN Holding, Inc. (a) (b)

  32,009   506,062
Lennox International, Inc.

  12,156   7,345,749
Masterbrand, Inc. (a)

  47,500   880,650
Owens Corning

  32,681   5,768,850
Quanex Building Products Corp.

  17,050   473,137
Resideo Technologies, Inc. (a)

  55,577   1,119,321
Simpson Manufacturing Co., Inc.

  16,054   3,070,648
Tecnoglass, Inc. (b)

  8,500   583,610
Trex Co., Inc. (a)

  41,205   2,743,429
UFP Industries, Inc.

  22,610   2,966,658
Zurn Elkay Water Solutions Corp. (b)

  54,290   1,951,183
          58,925,692
CAPITAL MARKETS — 3.8%  
Affiliated Managers Group, Inc.

  11,939   2,122,754
AlTi Global, Inc. (a) (b)

  10,000   37,400
ARES Management Corp. Class A

  70,030   10,913,475
Artisan Partners Asset Management, Inc. Class A (b)

  23,702   1,026,771
B Riley Financial, Inc. (b)

  7,434   39,028
BGC Group, Inc. Class A

  137,600   1,263,168
Blue Owl Capital, Inc. (b)

  192,100   3,719,056
Brightsphere Investment Group, Inc.

  10,873   276,174
Carlyle Group, Inc. (b)

  83,140   3,580,008
Cohen & Steers, Inc. (b)

  10,209   979,554
Coinbase Global, Inc. Class A (a)

  75,600   13,469,652
Diamond Hill Investment Group, Inc.

  968   156,438
Donnelley Financial Solutions, Inc. (a)

  9,775   643,488
Evercore, Inc. Class A

  13,641   3,455,811
Forge Global Holdings, Inc. (a) (b)

  44,800   58,688
GCM Grosvenor, Inc. Class A (b)

  15,400   174,328
Hamilton Lane, Inc. Class A (b)

  14,404   2,425,490
Houlihan Lokey, Inc.

  19,900   3,144,598
Interactive Brokers Group, Inc. Class A

  39,975   5,570,916
Janus Henderson Group PLC

  49,200   1,873,044
Jefferies Financial Group, Inc.

  66,219   4,075,779
Lazard, Inc. (b)

  42,002   2,116,061
LPL Financial Holdings, Inc.

  28,506   6,631,351
 
See accompanying notes to Schedule of Investments.
162

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
MarketWise, Inc.

  11,400   $7,619
Moelis & Co. Class A

  26,700   1,829,217
Morningstar, Inc.

  10,097   3,222,155
Open Lending Corp. (a) (b)

  36,400   222,768
P10, Inc. Class A

  16,200   173,502
Patria Investments Ltd. Class A

  20,700   231,219
Perella Weinberg Partners

  19,000   366,890
Piper Sandler Cos.

  6,571   1,864,915
PJT Partners, Inc. Class A (b)

  8,872   1,182,992
Robinhood Markets, Inc. Class A (a)

  254,400   5,958,048
SEI Investments Co.

  37,806   2,615,797
Silvercrest Asset Management Group, Inc. Class A

  3,000   51,720
StepStone Group, Inc. Class A

  23,526   1,336,983
Stifel Financial Corp.

  37,616   3,532,142
StoneX Group, Inc. (a)

  10,454   855,974
TPG, Inc.

  32,200   1,853,432
Tradeweb Markets, Inc. Class A

  44,392   5,489,959
Value Line, Inc. (b)

  200   9,300
Victory Capital Holdings, Inc. Class A

  15,300   847,620
Virtu Financial, Inc. Class A

  31,097   947,215
Virtus Investment Partners, Inc.

  2,627   550,225
WisdomTree, Inc. (b)

  52,299   522,467
XP, Inc. Class A

  156,300   2,804,022
          104,229,213
CHEMICALS — 1.5%  
AdvanSix, Inc.

  9,400   285,572
American Vanguard Corp.

  9,552   50,626
Arcadium Lithium PLC (a) (b)

  405,647   1,156,094
Arq, Inc. (a)

  9,100   53,417
Ashland, Inc.

  19,030   1,655,039
ASP Isotopes, Inc. (a) (b)

  20,100   55,878
Aspen Aerogels, Inc. (a) (b)

  21,800   603,642
Avient Corp.

  33,846   1,703,131
Axalta Coating Systems Ltd. (a)

  83,500   3,021,865
Balchem Corp.

  12,186   2,144,736
Cabot Corp.

  20,198   2,257,530
Chemours Co.

  56,743   1,153,018
Core Molding Technologies, Inc. (a)

  2,400   41,304
Ecovyst, Inc. (a) (b)

  43,850   300,373
Element Solutions, Inc.

  85,800   2,330,328
Hawkins, Inc.

  7,296   930,021
HB Fuller Co.

  20,699   1,643,087
Huntsman Corp.

  62,839   1,520,704
Ingevity Corp. (a)

  13,938   543,582
Innospec, Inc.

  9,495   1,073,790
Intrepid Potash, Inc. (a) (b)

  3,690   88,560
Koppers Holdings, Inc.

  7,630   278,724
Kronos Worldwide, Inc. (b)

  7,900   98,355
LSB Industries, Inc. (a) (b)

  20,200   162,408
Mativ Holdings, Inc.

  19,721   335,060
Minerals Technologies, Inc.

  11,992   926,142
NewMarket Corp.

  2,523   1,392,418
Security Description     Shares   Value
Northern Technologies International Corp.

  2,900   $35,641
Olin Corp.

  44,547   2,137,365
Orion SA

  21,500   382,915
Perimeter Solutions SA (a)

  50,700   681,915
PureCycle Technologies, Inc. (a) (b)

  46,300   439,850
Quaker Chemical Corp.

  5,207   877,327
Rayonier Advanced Materials, Inc. (a)

  24,600   210,576
RPM International, Inc.

  48,164   5,827,844
Scotts Miracle-Gro Co.

  16,144   1,399,685
Sensient Technologies Corp.

  16,019   1,285,044
Stepan Co.

  8,178   631,750
Tronox Holdings PLC

  44,169   646,192
Valhi, Inc. (b)

  970   32,369
Westlake Corp.

  12,696   1,908,082
          42,301,959
COMMERCIAL SERVICES & SUPPLIES — 1.4%  
ABM Industries, Inc.

  23,800   1,255,688
ACCO Brands Corp.

  33,442   182,928
ACV Auctions, Inc. Class A (a)

  56,000   1,138,480
Aris Water Solutions, Inc. Class A (b)

  10,400   175,448
Bridger Aerospace Group Holdings, Inc. (a)

  1,000   2,220
BrightView Holdings, Inc. (a)

  22,400   352,576
Brink's Co.

  16,814   1,944,371
Casella Waste Systems, Inc. Class A (a) (b)

  23,300   2,318,117
CECO Environmental Corp. (a) (b)

  10,700   301,740
Cimpress PLC (a)

  6,533   535,183
Clean Harbors, Inc. (a)

  19,353   4,677,814
CompX International, Inc.

  600   17,526
CoreCivic, Inc. (a)

  42,025   531,616
Deluxe Corp.

  17,476   340,607
Driven Brands Holdings, Inc. (a) (b)

  22,600   322,502
Ennis, Inc.

  9,897   240,695
Enviri Corp. (a)

  28,725   297,017
GEO Group, Inc. (a)

  47,080   604,978
Healthcare Services Group, Inc. (a)

  27,265   304,550
HNI Corp.

  17,511   942,792
Interface, Inc.

  21,062   399,546
LanzaTech Global, Inc. (a) (b)

  40,300   76,973
Liquidity Services, Inc. (a)

  8,624   196,627
Matthews International Corp. Class A

  10,931   253,599
MillerKnoll, Inc. (b)

  26,734   661,934
Montrose Environmental Group, Inc. (a) (b)

  12,000   315,600
MSA Safety, Inc.

  14,073   2,495,706
NL Industries, Inc.

  2,831   21,034
OPENLANE, Inc. (a)

  40,092   676,753
 
See accompanying notes to Schedule of Investments.
163

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Perma-Fix Environmental Services, Inc. (a) (b)

  5,600   $68,712
Pitney Bowes, Inc.

  60,664   432,534
Quad/Graphics, Inc.

  10,400   47,216
Quest Resource Holding Corp. (a) (b)

  6,300   50,274
RB Global, Inc.

  69,398   5,585,845
Steelcase, Inc. Class A

  34,600   466,754
Stericycle, Inc. (a)

  34,894   2,128,534
Tetra Tech, Inc.

  101,075   4,766,697
UniFirst Corp.

  5,705   1,133,298
Vestis Corp.

  50,570   753,493
Viad Corp. (a)

  7,654   274,243
Virco Mfg. Corp. (b)

  3,800   52,478
VSE Corp. (b)

  6,080   502,999
          37,847,697
COMMUNICATIONS EQUIPMENT — 0.4%  
ADTRAN Holdings, Inc. (a)

  27,837   165,074
Applied Optoelectronics, Inc. (a) (b)

  13,600   194,616
Aviat Networks, Inc. (a)

  4,000   86,520
Calix, Inc. (a)

  22,000   853,380
Ciena Corp. (a)

  54,697   3,368,788
Clearfield, Inc. (a) (b)

  4,600   179,216
CommScope Holding Co., Inc. (a)

  79,855   487,914
Digi International, Inc. (a)

  13,170   362,570
Extreme Networks, Inc. (a)

  47,200   709,416
Harmonic, Inc. (a)

  41,100   598,827
Infinera Corp. (a)

  78,100   527,175
Lumentum Holdings, Inc. (a) (b)

  25,382   1,608,711
NETGEAR, Inc. (a)

  10,489   210,409
NetScout Systems, Inc. (a)

  25,807   561,302
Ribbon Communications, Inc. (a) (b)

  32,700   106,275
Ubiquiti, Inc. (b)

  1,607   356,304
Viasat, Inc. (a) (b)

  46,611   556,536
Viavi Solutions, Inc. (a)

  84,058   758,203
          11,691,236
CONSTRUCTION & ENGINEERING — 1.7%  
AECOM

  51,404   5,308,491
Ameresco, Inc. Class A (a) (b)

  12,000   455,280
API Group Corp. (a)

  87,123   2,876,802
Arcosa, Inc.

  18,386   1,742,257
Argan, Inc.

  4,688   475,504
Bowman Consulting Group Ltd. (a) (b)

  5,100   122,808
Centuri Holdings, Inc. (a)

  5,000   80,750
Comfort Systems USA, Inc.

  13,325   5,201,414
Concrete Pumping Holdings, Inc. (a)

  8,456   48,960
Construction Partners, Inc. Class A (a)

  16,198   1,130,621
Dycom Industries, Inc. (a)

  10,652   2,099,509
EMCOR Group, Inc.

  17,653   7,600,146
Security Description     Shares   Value
Fluor Corp. (a)

  63,709   $3,039,556
Granite Construction, Inc. (b)

  16,579   1,314,383
Great Lakes Dredge & Dock Corp. (a)

  24,250   255,353
IES Holdings, Inc. (a)

  3,100   618,822
Limbach Holdings, Inc. (a) (b)

  4,000   303,040
MasTec, Inc. (a)

  23,753   2,923,994
Matrix Service Co. (a)

  9,700   111,841
MDU Resources Group, Inc.

  77,037   2,111,584
MYR Group, Inc. (a)

  6,248   638,733
Northwest Pipe Co. (a)

  3,616   163,190
Orion Group Holdings, Inc. (a) (b)

  11,300   65,201
Primoris Services Corp.

  20,254   1,176,352
Southland Holdings, Inc. (a) (b)

  3,700   13,690
Sterling Infrastructure, Inc. (a)

  11,400   1,653,228
Tutor Perini Corp. (a)

  15,900   431,844
Valmont Industries, Inc.

  7,574   2,196,081
WillScot Holdings Corp. (a)

  70,713   2,658,809
          46,818,243
CONSTRUCTION MATERIALS — 1.2%  
CRH PLC

  263,200   24,409,168
Eagle Materials, Inc. (b)

  12,644   3,637,047
Knife River Corp. (a)

  21,384   1,911,516
Smith-Midland Corp. (a) (b)

  1,700   56,763
Summit Materials, Inc. Class A (a)

  44,863   1,751,003
U.S. Lime & Minerals, Inc.

  3,905   381,362
          32,146,859
CONSUMER FINANCE — 0.8%  
Ally Financial, Inc.

  104,012   3,701,787
Atlanticus Holdings Corp. (a)

  2,300   80,684
Bread Financial Holdings, Inc.

  18,810   894,980
Consumer Portfolio Services, Inc. (a)

  2,500   23,450
Credit Acceptance Corp. (a) (b)

  2,409   1,068,199
Encore Capital Group, Inc. (a)

  8,951   423,114
Enova International, Inc. (a)

  9,700   812,763
FirstCash Holdings, Inc.

  14,415   1,654,842
Green Dot Corp. Class A (a)

  19,500   228,345
LendingClub Corp. (a)

  39,706   453,840
LendingTree, Inc. (a) (b)

  3,736   216,800
Medallion Financial Corp.

  6,900   56,166
Moneylion, Inc. (a)

  3,200   132,960
Navient Corp. (b)

  30,204   470,880
Nelnet, Inc. Class A

  5,342   605,142
NerdWallet, Inc. Class A (a) (b)

  15,600   198,276
OneMain Holdings, Inc. (b)

  43,144   2,030,788
OppFi, Inc.

  7,300   34,529
PRA Group, Inc. (a)

  14,272   319,122
PROG Holdings, Inc.

  15,774   764,881
Regional Management Corp.

  3,000   98,130
SLM Corp.

  81,812   1,871,040
SoFi Technologies, Inc. (a) (b)

  394,800   3,103,128
Upstart Holdings, Inc. (a) (b)

  29,103   1,164,411
 
See accompanying notes to Schedule of Investments.
164

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
World Acceptance Corp. (a)

  1,428   $168,475
          20,576,732
CONSUMER STAPLES DISTRIBUTION & RETAIL — 1.2%  
Albertsons Cos., Inc. Class A

  159,600   2,949,408
Andersons, Inc.

  12,285   615,970
BJ's Wholesale Club Holdings, Inc. (a) (b)

  50,000   4,124,000
Casey's General Stores, Inc.

  14,075   5,288,118
Chefs' Warehouse, Inc. (a) (b)

  13,300   558,733
Grocery Outlet Holding Corp. (a)

  37,345   655,405
HF Foods Group, Inc. (a) (b)

  14,600   52,122
Ingles Markets, Inc. Class A

  5,556   414,477
Maplebear, Inc. (a)

  66,000   2,688,840
Natural Grocers by Vitamin Cottage, Inc. (b)

  3,900   115,791
Performance Food Group Co. (a)

  57,894   4,537,153
PriceSmart, Inc.

  9,391   861,906
SpartanNash Co.

  13,309   298,255
Sprouts Farmers Market, Inc. (a)

  37,575   4,148,656
U.S. Foods Holding Corp. (a)

  86,754   5,335,371
United Natural Foods, Inc. (a)

  22,099   371,705
Village Super Market, Inc. Class A

  3,379   107,418
Weis Markets, Inc. (b)

  6,215   428,400
          33,551,728
CONTAINERS & PACKAGING — 0.8%  
AptarGroup, Inc.

  24,975   4,000,745
Ardagh Group SA (a) (b)

  3,500   32,988
Ardagh Metal Packaging SA (b)

  53,400   201,318
Berry Global Group, Inc.

  43,487   2,956,246
Crown Holdings, Inc.

  44,310   4,248,443
Graphic Packaging Holding Co. (b)

  112,767   3,336,776
Greif, Inc. Class A

  9,300   582,738
Greif, Inc. Class B

  1,842   128,627
Myers Industries, Inc.

  13,495   186,501
O-I Glass, Inc. (a)

  59,028   774,447
Pactiv Evergreen, Inc. (b)

  15,200   174,952
Ranpak Holdings Corp. (a)

  14,800   96,644
Sealed Air Corp. (b)

  55,900   2,029,170
Silgan Holdings, Inc.

  31,568   1,657,320
Sonoco Products Co.

  37,278   2,036,497
TriMas Corp.

  15,006   383,103
          22,826,515
DISTRIBUTORS — 0.0% (e)  
GigaCloud Technology, Inc. Class A (a) (b)

  8,700   199,926
Weyco Group, Inc. (b)

  2,100   71,484
          271,410
DIVERSIFIED CONSUMER SERVICES — 1.0%  
ADT, Inc. (b)

  111,249   804,330
Adtalem Global Education, Inc. (a)

  14,174   1,069,854
Security Description     Shares   Value
American Public Education, Inc. (a) (b)

  5,800   $85,550
Bright Horizons Family Solutions, Inc. (a)

  22,102   3,097,153
Carriage Services, Inc.

  4,796   157,453
Chegg, Inc. (a)

  40,557   71,786
Coursera, Inc. (a)

  52,800   419,232
Duolingo, Inc. (a)

  13,900   3,920,078
European Wax Center, Inc. Class A (a)

  12,200   82,960
Frontdoor, Inc. (a)

  29,611   1,421,032
Graham Holdings Co. Class B

  1,203   988,529
Grand Canyon Education, Inc. (a)

  11,078   1,571,414
H&R Block, Inc. (b)

  52,626   3,344,382
Laureate Education, Inc.

  50,670   841,629
Lincoln Educational Services Corp. (a)

  8,900   106,266
Mister Car Wash, Inc. (a) (b)

  34,200   222,642
Nerdy, Inc. (a) (b)

  21,100   20,743
OneSpaWorld Holdings Ltd.

  37,400   617,474
Perdoceo Education Corp.

  24,712   549,595
Service Corp. International (b)

  54,083   4,268,771
Strategic Education, Inc.

  8,446   781,677
Stride, Inc. (a) (b)

  16,105   1,373,918
Udemy, Inc. (a) (b)

  34,700   258,168
Universal Technical Institute, Inc. (a) (b)

  15,000   243,900
          26,318,536
DIVERSIFIED REITs — 0.4%  
Alexander & Baldwin, Inc. REIT

  27,838   534,490
Alpine Income Property Trust, Inc. REIT

  4,000   72,800
American Assets Trust, Inc. REIT

  17,517   468,054
Armada Hoffler Properties, Inc. REIT

  23,600   255,588
Broadstone Net Lease, Inc. REIT

  70,719   1,340,125
CTO Realty Growth, Inc. REIT (b)

  9,035   171,846
Empire State Realty Trust, Inc. Class A REIT

  49,024   543,186
Essential Properties Realty Trust, Inc. REIT (b)

  66,013   2,254,344
Gladstone Commercial Corp. REIT

  14,530   235,967
Global Net Lease, Inc. REIT

  72,974   614,441
NexPoint Diversified Real Estate Trust REIT (b)

  10,110   63,187
One Liberty Properties, Inc. REIT

  5,238   144,255
WP Carey, Inc. REIT

  82,067   5,112,774
          11,811,057
DIVERSIFIED TELECOMMUNICATION SERVICES — 0.5%  
Anterix, Inc. (a)

  4,107   154,670
AST SpaceMobile, Inc. (a) (b)

  50,500   1,320,575
ATN International, Inc.

  3,957   127,969
 
See accompanying notes to Schedule of Investments.
165

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Bandwidth, Inc. Class A (a)

  8,802   $154,123
Cogent Communications Holdings, Inc. (b)

  16,696   1,267,560
Consolidated Communications Holdings, Inc. (a)

  28,449   132,003
Frontier Communications Parent, Inc. (a)

  93,300   3,314,949
GCI Liberty, Inc. (a) (d)

  16,346  
Globalstar, Inc. (a) (b)

  277,400   343,976
IDT Corp. Class B

  5,500   209,935
Iridium Communications, Inc.

  44,475   1,354,264
Liberty Global Ltd. Class A (a)

  62,000   1,308,820
Liberty Global Ltd. Class C (a) (b)

  63,100   1,363,591
Liberty Latin America Ltd. Class A (a) (b)

  11,388   109,097
Liberty Latin America Ltd. Class C (a) (b)

  50,700   481,143
Lumen Technologies, Inc. (a) (b)

  381,300   2,707,230
Ooma, Inc. (a)

  9,100   103,649
Shenandoah Telecommunications Co. (b)

  18,150   256,097
          14,709,651
ELECTRIC UTILITIES — 0.5%  
ALLETE, Inc.

  21,562   1,384,065
Avangrid, Inc.

  26,709   955,915
Genie Energy Ltd. Class B

  5,500   89,375
Hawaiian Electric Industries, Inc. (a) (b)

  63,183   611,611
IDACORP, Inc.

  19,138   1,972,936
MGE Energy, Inc. (b)

  13,862   1,267,680
OGE Energy Corp.

  75,538   3,098,569
Otter Tail Corp. (b)

  15,676   1,225,236
Portland General Electric Co. (b)

  37,858   1,813,398
TXNM Energy, Inc.

  33,754   1,477,413
          13,896,198
ELECTRICAL EQUIPMENT — 1.5%  
Acuity Brands, Inc.

  11,682   3,217,106
Allient, Inc.

  5,343   101,464
American Superconductor Corp. (a)

  13,500   318,600
Amprius Technologies, Inc. (a) (b)

  2,500   2,775
Array Technologies, Inc. (a) (b)

  57,900   382,140
Atkore, Inc.

  13,900   1,177,886
Blink Charging Co. (a) (b)

  35,100   60,372
Bloom Energy Corp. Class A (a) (b)

  74,976   791,747
ChargePoint Holdings, Inc. (a) (b)

  145,700   199,609
Energy Vault Holdings, Inc. (a) (b)

  41,900   40,224
EnerSys

  14,941   1,524,729
Enovix Corp. (a) (b)

  57,900   540,786
Fluence Energy, Inc. (a) (b)

  22,700   515,517
Freyr Battery, Inc. (a) (b)

  41,200   39,968
Security Description     Shares   Value
FuelCell Energy, Inc. (a)

  157,577   $59,879
GrafTech International Ltd. (a) (b)

  92,250   121,770
LSI Industries, Inc.

  10,700   172,805
NANO Nuclear Energy, Inc. (a)

  1,600   23,056
Net Power, Inc. (a) (b)

  7,800   54,678
NEXTracker, Inc. Class A (a)

  53,900   2,020,172
NuScale Power Corp. (a) (b)

  29,700   343,926
nVent Electric PLC

  62,700   4,405,302
Plug Power, Inc. (a) (b)

  281,988   637,293
Powell Industries, Inc. (b)

  3,535   784,735
Preformed Line Products Co.

  1,000   128,080
Regal Rexnord Corp.

  25,245   4,187,641
Sensata Technologies Holding PLC

  56,747   2,034,947
SES AI Corp. (a)

  42,700   27,319
Shoals Technologies Group, Inc. Class A (a)

  64,100   359,601
SolarMax Technology, Inc. (a)

  2,300   1,452
Stem, Inc. (a) (b)

  48,400   16,853
Sunrun, Inc. (a) (b)

  82,489   1,489,751
Thermon Group Holdings, Inc. (a)

  12,780   381,355
TPI Composites, Inc. (a) (b)

  17,900   81,445
Ultralife Corp. (a)

  3,700   33,448
Vertiv Holdings Co. Class A

  137,100   13,640,079
Vicor Corp. (a) (b)

  8,676   365,260
          40,283,770
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS — 1.9%  
908 Devices, Inc. (a) (b)

  7,700   26,719
Advanced Energy Industries, Inc. (b)

  14,254   1,500,091
Aeva Technologies, Inc. (a) (b)

  11,800   38,822
Arlo Technologies, Inc. (a)

  35,817   433,744
Arrow Electronics, Inc. (a)

  20,094   2,669,086
Avnet, Inc.

  34,097   1,851,808
Badger Meter, Inc.

  11,076   2,419,109
Bel Fuse, Inc. Class A (b)

  600   59,658
Bel Fuse, Inc. Class B

  3,900   306,189
Belden, Inc.

  15,163   1,776,042
Benchmark Electronics, Inc. (b)

  13,731   608,558
Climb Global Solutions, Inc.

  1,600   159,264
Cognex Corp. (b)

  65,371   2,647,526
Coherent Corp. (a)

  50,114   4,455,636
Crane NXT Co. (b)

  18,648   1,046,153
CTS Corp.

  11,587   560,579
Daktronics, Inc. (a)

  13,700   176,867
ePlus, Inc. (a) (b)

  9,936   977,106
Evolv Technologies Holdings, Inc. (a) (b)

  48,600   196,830
Fabrinet (a)

  13,600   3,215,584
FARO Technologies, Inc. (a)

  7,188   137,578
Insight Enterprises, Inc. (a) (b)

  10,478   2,256,856
IPG Photonics Corp. (a)

  10,600   787,792
Iteris, Inc. (a)

  15,000   107,100
 
See accompanying notes to Schedule of Investments.
166

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Itron, Inc. (a)

  17,299   $1,847,706
Kimball Electronics, Inc. (a)

  8,744   161,851
Knowles Corp. (a) (b)

  31,868   574,580
Lightwave Logic, Inc. (a) (b)

  41,000   113,160
Littelfuse, Inc. (b)

  9,299   2,466,560
Methode Electronics, Inc.

  13,380   160,025
MicroVision, Inc. (a) (b)

  74,800   85,272
Mirion Technologies, Inc. (a) (b)

  75,600   836,892
Napco Security Technologies, Inc.

  13,156   532,292
nLight, Inc. (a)

  16,188   173,050
Novanta, Inc. (a)

  13,426   2,402,180
OSI Systems, Inc. (a) (b)

  6,039   916,901
Ouster, Inc. (a) (b)

  17,500   110,250
PAR Technology Corp. (a) (b)

  13,800   718,704
PC Connection, Inc.

  4,260   321,332
Plexus Corp. (a)

  10,300   1,408,113
Powerfleet, Inc. NJ (a) (b)

  36,100   180,500
Richardson Electronics Ltd. (b)

  3,700   45,658
Rogers Corp. (a)

  7,095   801,806
Sanmina Corp. (a)

  20,375   1,394,669
ScanSource, Inc. (a)

  9,209   442,308
SmartRent, Inc. (a) (b)

  72,900   126,117
TD SYNNEX Corp.

  28,484   3,420,359
TTM Technologies, Inc. (a)

  37,500   684,375
Vishay Intertechnology, Inc. (b)

  47,445   897,185
Vishay Precision Group, Inc. (a)

  4,500   116,550
Vontier Corp.

  58,600   1,977,164
          51,330,256
ENERGY EQUIPMENT & SERVICES — 1.1%  
Archrock, Inc.

  63,042   1,275,970
Atlas Energy Solutions, Inc. (b)

  25,200   549,360
Borr Drilling Ltd. (a) (b)

  89,800   493,002
Bristow Group, Inc. (a)

  9,233   320,293
Cactus, Inc. Class A (b)

  24,743   1,476,415
ChampionX Corp.

  71,200   2,146,680
Core Laboratories, Inc. (b)

  18,300   339,099
DMC Global, Inc. (a) (b)

  7,500   97,350
Drilling Tools International Corp. (a)

  3,500   13,055
Expro Group Holdings NV (a)

  35,683   612,677
Forum Energy Technologies, Inc. (a)

  3,300   51,018
Geospace Technologies Corp. (a)

  4,600   47,564
Helix Energy Solutions Group, Inc. (a)

  54,209   601,720
Helmerich & Payne, Inc. (b)

  36,600   1,113,372
Innovex International, Inc. (a) (b)

  11,875   174,325
Kodiak Gas Services, Inc. (b)

  7,500   217,500
Liberty Energy, Inc. (b)

  61,000   1,164,490
Mammoth Energy Services, Inc. (a)

  8,600   35,174
Nabors Industries Ltd. (a)

  3,327   214,492
Natural Gas Services Group, Inc. (a)

  3,900   74,529
Security Description     Shares   Value
Newpark Resources, Inc. (a)

  29,900   $207,207
Noble Corp. PLC

  52,122   1,883,689
NOV, Inc.

  149,400   2,385,918
Oceaneering International, Inc. (a)

  38,681   961,996
Oil States International, Inc. (a)

  27,466   126,344
Patterson-UTI Energy, Inc.

  147,450   1,127,992
ProFrac Holding Corp. Class A (a) (b)

  9,200   62,468
ProPetro Holding Corp. (a)

  34,399   263,496
Ranger Energy Services, Inc.

  6,100   72,651
RPC, Inc. (b)

  31,210   198,496
SEACOR Marine Holdings, Inc. (a)

  9,200   88,780
Seadrill Ltd. (a)

  25,900   1,029,266
Select Water Solutions, Inc.

  33,592   373,879
Solaris Energy Infrastructure, Inc.

  10,300   131,428
TechnipFMC PLC

  164,000   4,301,720
TETRA Technologies, Inc. (a)

  45,100   139,810
Tidewater, Inc. (a) (b)

  18,425   1,322,731
Transocean Ltd. (a) (b)

  274,200   1,165,350
Valaris Ltd. (a) (b)

  23,400   1,304,550
Weatherford International PLC

  27,400   2,326,808
          30,492,664
ENTERTAINMENT — 1.9%  
AMC Entertainment Holdings, Inc. Class A (a)

  127,875   581,831
Atlanta Braves Holdings, Inc. Class A (a) (b)

  5,038   212,352
Atlanta Braves Holdings, Inc. Class C (a)

  17,957   714,689
Cinemark Holdings, Inc. (a)

  41,438   1,153,634
Empire Resorts, Inc. (a) (b) (d)

  400  
Eventbrite, Inc. Class A (a)

  31,093   84,884
Golden Matrix Group, Inc. (a) (b)

  7,800   18,174
IMAX Corp. (a) (b)

  16,033   328,837
Liberty Media Corp.-Liberty Formula One Class A (a) (b)

  6,201   443,557
Liberty Media Corp.-Liberty Formula One Class C (a)

  81,286   6,293,975
Liberty Media Corp.-Liberty Live Class A (a)

  8,159   403,952
Liberty Media Corp.-Liberty Live Class C (a)

  17,233   884,570
Lions Gate Entertainment Corp. Class A (a) (b)

  23,324   182,627
Lions Gate Entertainment Corp. Class B (a)

  46,289   320,320
LiveOne, Inc. (a) (b)

  25,000   23,720
Madison Square Garden Entertainment Corp. (a)

  14,626   622,044
Madison Square Garden Sports Corp. (a)

  7,173   1,493,849
Marcus Corp. (b)

  9,037   136,187
Playstudios, Inc. (a)

  28,400   42,884
Playtika Holding Corp.

  26,481   209,729
 
See accompanying notes to Schedule of Investments.
167

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Reservoir Media, Inc. (a) (b)

  6,800   $55,148
ROBLOX Corp. Class A (a)

  195,700   8,661,682
Roku, Inc. (a)

  48,423   3,615,261
Sphere Entertainment Co. (a) (b)

  10,026   442,949
Spotify Technology SA (a)

  56,256   20,732,024
TKO Group Holdings, Inc. (a)

  29,942   3,704,125
Vivid Seats, Inc. Class A (a) (b)

  28,300   104,710
          51,467,714
FINANCIAL SERVICES — 3.5%  
Acacia Research Corp. (a) (b)

  14,000   65,240
Affirm Holdings, Inc. (a)

  88,700   3,620,734
Alerus Financial Corp.

  6,705   153,410
A-Mark Precious Metals, Inc. (b)

  6,700   295,872
Apollo Global Management, Inc.

  199,805   24,957,642
AvidXchange Holdings, Inc. (a)

  64,400   522,284
Banco Latinoamericano de Comercio Exterior SA

  10,200   331,398
Block, Inc. (a)

  212,737   14,281,035
Burford Capital Ltd.

  75,300   998,478
Cannae Holdings, Inc. (b)

  22,300   425,038
Cantaloupe, Inc. (a)

  20,700   153,180
Cass Information Systems, Inc.

  5,036   208,893
Compass Diversified Holdings (b)

  24,900   551,037
Corebridge Financial, Inc.

  97,800   2,851,848
Enact Holdings, Inc.

  11,200   406,896
Equitable Holdings, Inc.

  123,846   5,205,247
Essent Group Ltd.

  38,944   2,503,710
Euronet Worldwide, Inc. (a)

  16,412   1,628,563
EVERTEC, Inc.

  24,500   830,305
Federal Agricultural Mortgage Corp. Class C

  3,432   643,191
Flywire Corp. (a)

  46,300   758,857
I3 Verticals, Inc. Class A (a) (b)

  7,900   168,349
International Money Express, Inc. (a)

  12,100   223,729
Jackson Financial, Inc. Class A

  28,800   2,627,424
Marqeta, Inc. Class A (a)

  174,600   859,032
Merchants Bancorp

  6,850   307,976
MGIC Investment Corp.

  97,689   2,500,838
Mr. Cooper Group, Inc. (a)

  24,060   2,217,851
NCR Atleos Corp. (a)

  27,283   778,384
NMI Holdings, Inc. (a)

  29,665   1,221,901
Onity Group, Inc. (a)

  2,000   63,880
Pagseguro Digital Ltd. Class A (a)

  70,900   610,449
Payoneer Global, Inc. (a) (b)

  107,300   807,969
Paysafe Ltd. (a) (b)

  12,117   271,784
Paysign, Inc. (a)

  12,800   46,976
PennyMac Financial Services, Inc.

  10,097   1,150,755
Priority Technology Holdings, Inc. (a) (b)

  6,265   42,790
Radian Group, Inc.

  57,154   1,982,672
Remitly Global, Inc. (a)

  55,700   745,823
Repay Holdings Corp. (a) (b)

  32,700   266,832
Security Description     Shares   Value
Rocket Cos., Inc. Class A (a) (b)

  53,000   $1,017,070
Security National Financial Corp. Class A (a)

  4,394   40,425
Sezzle, Inc. (a)

  900   153,531
Shift4 Payments, Inc. Class A (a) (b)

  23,500   2,082,100
StoneCo Ltd. Class A (a) (b)

  108,060   1,216,756
SWK Holdings Corp. (a) (b)

  1,400   24,206
Toast, Inc. Class A (a) (b)

  169,900   4,809,869
UWM Holdings Corp.

  36,300   309,276
Velocity Financial, Inc. (a)

  3,434   67,341
Voya Financial, Inc.

  38,462   3,046,960
Walker & Dunlop, Inc.

  12,240   1,390,342
Waterstone Financial, Inc.

  7,200   105,840
Western Union Co.

  128,200   1,529,426
WEX, Inc. (a) (b)

  15,557   3,262,770
          97,344,184
FOOD PRODUCTS — 0.8%  
Alico, Inc. (b)

  2,600   72,722
B&G Foods, Inc. (b)

  28,600   253,968
Beyond Meat, Inc. (a) (b)

  21,862   148,224
BRC, Inc. Class A (a) (b)

  20,100   68,742
Calavo Growers, Inc.

  6,381   182,050
Cal-Maine Foods, Inc.

  15,462   1,157,176
Darling Ingredients, Inc. (a)

  60,205   2,237,218
Dole PLC

  28,000   456,120
Flowers Foods, Inc.

  70,931   1,636,378
Forafric Global PLC (a) (b)

  3,800   43,092
Fresh Del Monte Produce, Inc.

  12,647   373,592
Freshpet, Inc. (a)

  17,842   2,440,250
Hain Celestial Group, Inc. (a)

  34,601   298,607
Ingredion, Inc.

  24,757   3,402,355
J&J Snack Foods Corp. (b)

  5,791   996,747
John B Sanfilippo & Son, Inc.

  3,470   327,256
Lancaster Colony Corp.

  7,266   1,282,958
Lifecore Biomedical, Inc. (a) (b)

  7,800   38,454
Lifeway Foods, Inc. (a) (b)

  1,700   44,064
Limoneira Co. (b)

  6,200   164,300
Mama's Creations, Inc. (a) (b)

  12,100   88,330
Mission Produce, Inc. (a) (b)

  17,400   223,068
Pilgrim's Pride Corp. (a) (b)

  15,521   714,742
Post Holdings, Inc. (a)

  18,613   2,154,455
Seaboard Corp.

  101   316,837
Seneca Foods Corp. Class A (a)

  1,949   121,481
Simply Good Foods Co. (a)

  34,500   1,199,565
SunOpta, Inc. (a) (b)

  33,500   213,730
TreeHouse Foods, Inc. (a) (b)

  18,181   763,238
Utz Brands, Inc. (b)

  24,800   438,960
Vital Farms, Inc. (a) (b)

  12,100   424,347
Westrock Coffee Co. (a) (b)

  11,000   71,500
WK Kellogg Co. (b)

  24,500   419,195
          22,773,721
GAS UTILITIES — 0.5%  
Brookfield Infrastructure Corp. Class A (b)

  45,300   1,967,379
 
See accompanying notes to Schedule of Investments.
168

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Chesapeake Utilities Corp.

  8,421   $1,045,635
National Fuel Gas Co.

  34,570   2,095,288
New Jersey Resources Corp.

  36,644   1,729,597
Northwest Natural Holding Co.

  14,582   595,237
ONE Gas, Inc. (b)

  21,021   1,564,383
RGC Resources, Inc.

  2,700   60,939
Southwest Gas Holdings, Inc.

  22,739   1,677,229
Spire, Inc.

  21,239   1,429,172
UGI Corp.

  79,635   1,992,468
          14,157,327
GROUND TRANSPORTATION — 1.0%  
ArcBest Corp.

  8,967   972,471
Avis Budget Group, Inc. (b)

  6,472   566,883
Covenant Logistics Group, Inc.

  3,045   160,898
FTAI Infrastructure, Inc. (b)

  37,200   348,192
Heartland Express, Inc.

  16,755   205,751
Hertz Global Holdings, Inc. (a) (b)

  49,300   162,690
Knight-Swift Transportation Holdings, Inc.

  59,316   3,200,098
Landstar System, Inc.

  13,458   2,541,812
Lyft, Inc. Class A (a)

  138,410   1,764,728
Marten Transport Ltd.

  21,248   376,090
PAM Transportation Services, Inc. (a)

  2,200   40,700
Proficient Auto Logistics, Inc. (a)

  5,800   82,244
RXO, Inc. (a) (b)

  51,190   1,433,320
Ryder System, Inc.

  16,139   2,353,066
Saia, Inc. (a) (b)

  10,055   4,396,649
Schneider National, Inc. Class B (b)

  18,300   522,282
U-Haul Holding Co. (a) (b) (c)

  6,444   499,281
U-Haul Holding Co. (c)

  34,596   2,490,912
Universal Logistics Holdings, Inc. (b)

  2,529   109,025
Werner Enterprises, Inc. (b)

  23,400   903,006
XPO, Inc. (a)

  43,390   4,664,859
          27,794,957
HEALTH CARE EQUIPMENT & SUPPLIES — 1.8%  
Accuray, Inc. (a)

  35,900   64,620
Alphatec Holdings, Inc. (a)

  37,700   209,612
AngioDynamics, Inc. (a)

  15,897   123,679
Artivion, Inc. (a)

  14,992   399,087
AtriCure, Inc. (a)

  17,600   493,504
Avanos Medical, Inc. (a)

  16,400   394,092
Axogen, Inc. (a)

  15,500   217,310
Axonics, Inc. (a)

  18,963   1,319,825
Bioventus, Inc. Class A (a)

  13,800   164,910
Cerus Corp. (a) (b)

  68,209   118,684
CONMED Corp.

  11,700   841,464
CVRx, Inc. (a) (b)

  5,000   44,050
Dentsply Sirona, Inc.

  76,800   2,078,208
Embecta Corp.

  21,600   304,560
Enovis Corp. (a)

  20,875   898,669
Envista Holdings Corp. (a) (b)

  65,668   1,297,600
Security Description     Shares   Value
Fractyl Health, Inc. (a)

  14,300   $36,179
Glaukos Corp. (a)

  18,416   2,399,237
Globus Medical, Inc. Class A (a)

  42,442   3,036,301
Haemonetics Corp. (a) (b)

  18,693   1,502,543
ICU Medical, Inc. (a)

  8,080   1,472,338
Inari Medical, Inc. (a)

  19,939   822,284
Inmode Ltd. (a) (b)

  30,200   511,890
Inogen, Inc. (a)

  8,892   86,252
Inspire Medical Systems, Inc. (a) (b)

  11,209   2,365,659
Integer Holdings Corp. (a) (b)

  12,583   1,635,790
Integra LifeSciences Holdings Corp. (a)

  25,593   465,025
iRadimed Corp.

  2,800   140,812
iRhythm Technologies, Inc. (a) (b)

  11,826   877,962
Lantheus Holdings, Inc. (a) (b)

  25,661   2,816,295
LeMaitre Vascular, Inc.

  7,751   719,990
LivaNova PLC (a)

  20,450   1,074,443
Masimo Corp. (a) (b)

  16,209   2,161,146
Merit Medical Systems, Inc. (a) (b)

  21,500   2,124,845
Neogen Corp. (a) (b)

  81,742   1,374,083
NeuroPace, Inc. (a) (b)

  5,000   34,850
Nevro Corp. (a) (b)

  12,309   68,807
Novocure Ltd. (a)

  40,655   635,438
Omnicell, Inc. (a)

  17,166   748,438
OraSure Technologies, Inc. (a)

  28,000   119,560
Orchestra BioMed Holdings, Inc. (a) (b)

  8,600   44,204
Orthofix Medical, Inc. (a)

  12,265   191,579
OrthoPediatrics Corp. (a)

  5,968   161,792
Paragon 28, Inc. (a) (b)

  16,700   111,556
Penumbra, Inc. (a)

  14,016   2,723,449
PROCEPT BioRobotics Corp. (a) (b)

  16,000   1,281,920
Pulmonx Corp. (a)

  13,500   111,915
Pulse Biosciences, Inc. (a) (b)

  6,562   115,097
QuidelOrtho Corp. (a) (b)

  20,825   949,620
RxSight, Inc. (a)

  13,700   677,191
Sanara Medtech, Inc. (a) (b)

  1,200   36,288
Semler Scientific, Inc. (a)

  1,700   40,035
SI-BONE, Inc. (a)

  14,860   207,743
Sight Sciences, Inc. (a)

  13,800   86,940
STAAR Surgical Co. (a) (b)

  18,669   693,553
Stereotaxis, Inc. (a)

  20,200   41,208
Surmodics, Inc. (a)

  5,281   204,797
Tactile Systems Technology, Inc. (a)

  8,900   130,029
Tandem Diabetes Care, Inc. (a) (b)

  24,492   1,038,706
TransMedics Group, Inc. (a)

  12,100   1,899,700
Treace Medical Concepts, Inc. (a)

  20,000   116,000
UFP Technologies, Inc. (a)

  2,700   855,090
Utah Medical Products, Inc.

  1,236   82,701
Varex Imaging Corp. (a)

  13,908   165,783
 
See accompanying notes to Schedule of Investments.
169

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Zimvie, Inc. (a)

  9,700   $153,939
Zynex, Inc. (a) (b)

  6,570   53,611
          48,374,487
HEALTH CARE PROVIDERS & SERVICES — 1.7%  
Acadia Healthcare Co., Inc. (a) (b)

  34,582   2,192,845
Accolade, Inc. (a)

  26,700   102,795
AdaptHealth Corp. (a)

  37,800   424,494
Addus HomeCare Corp. (a)

  6,616   880,126
agilon health, Inc. (a)

  118,200   464,526
AirSculpt Technologies, Inc. (a) (b)

  4,400   22,308
Alignment Healthcare, Inc. (a) (b)

  37,200   439,704
Amedisys, Inc. (a)

  12,106   1,168,350
AMN Healthcare Services, Inc. (a) (b)

  14,348   608,212
Ardent Health Partners, Inc. (a)

  4,600   84,548
Astrana Health, Inc. (a) (b)

  15,973   925,476
Aveanna Healthcare Holdings, Inc. (a)

  19,300   100,360
BrightSpring Health Services, Inc. (a) (b)

  20,100   295,068
Brookdale Senior Living, Inc. (a)

  71,041   482,368
Castle Biosciences, Inc. (a)

  9,400   268,088
Chemed Corp.

  5,665   3,404,495
Community Health Systems, Inc. (a)

  45,867   278,413
Concentra Group Holdings Parent, Inc. (a) (b)

  8,600   192,296
CorVel Corp. (a)

  3,400   1,111,426
Cross Country Healthcare, Inc. (a) (b)

  12,058   162,059
DocGo, Inc. (a) (b)

  37,700   125,164
Encompass Health Corp.

  37,503   3,624,290
Enhabit, Inc. (a)

  18,651   147,343
Ensign Group, Inc.

  20,870   3,001,523
Fulgent Genetics, Inc. (a) (b)

  7,471   162,345
GeneDx Holdings Corp. (a)

  4,600   195,224
Guardant Health, Inc. (a)

  44,451   1,019,706
HealthEquity, Inc. (a)

  31,563   2,583,431
Hims & Hers Health, Inc. (a) (b)

  71,600   1,318,872
InfuSystem Holdings, Inc. (a)

  6,600   44,220
Innovage Holding Corp. (a)

  8,680   52,080
Joint Corp. (a)

  4,850   55,484
LifeStance Health Group, Inc. (a)

  53,500   374,500
ModivCare, Inc. (a) (b)

  4,554   65,031
Nano-X Imaging Ltd. (a) (b)

  20,600   125,248
National HealthCare Corp.

  4,741   596,275
National Research Corp.

  6,100   139,446
NeoGenomics, Inc. (a)

  47,529   701,053
OmniAb, Inc. (a) (d)

  3,212  
OPKO Health, Inc. (a) (b)

  127,118   189,406
Option Care Health, Inc. (a) (b)

  64,207   2,009,679
Owens & Minor, Inc. (a)

  27,919   438,049
PACS Group, Inc. (a)

  14,700   587,559
Patterson Cos., Inc. (b)

  30,100   657,384
Security Description     Shares   Value
Pediatrix Medical Group, Inc. (a)

  31,374   $363,625
Pennant Group, Inc. (a)

  10,717   382,597
Performant Financial Corp. (a)

  24,200   90,508
PetIQ, Inc. (a)

  10,126   311,577
Premier, Inc. Class A (b)

  40,545   810,900
Privia Health Group, Inc. (a)

  38,900   708,369
Progyny, Inc. (a) (b)

  31,400   526,264
Quipt Home Medical Corp. (a) (b)

  15,700   45,844
R1 RCM, Inc. (a)

  59,487   842,931
RadNet, Inc. (a)

  24,976   1,733,085
Select Medical Holdings Corp.

  40,834   1,423,882
Sonida Senior Living, Inc. (a)

  1,300   34,762
Surgery Partners, Inc. (a) (b)

  28,695   925,127
Talkspace, Inc. (a)

  45,200   94,468
Tenet Healthcare Corp. (a)

  36,022   5,986,856
U.S. Physical Therapy, Inc.

  5,722   484,253
Viemed Healthcare, Inc. (a)

  11,800   86,494
          46,672,811
HEALTH CARE REITs — 0.5%  
American Healthcare REIT, Inc.

  31,300   816,930
CareTrust REIT, Inc.

  53,528   1,651,874
Community Healthcare Trust, Inc. REIT

  9,847   178,723
Diversified Healthcare Trust REIT

  83,877   351,445
Global Medical REIT, Inc.

  25,100   248,741
Healthcare Realty Trust, Inc. REIT

  144,299   2,619,027
LTC Properties, Inc. REIT

  16,124   591,589
Medical Properties Trust, Inc. REIT

  227,861   1,332,987
National Health Investors, Inc. REIT (b)

  15,845   1,331,931
Omega Healthcare Investors, Inc. REIT

  93,307   3,797,595
Sabra Health Care REIT, Inc.

  86,355   1,607,066
Strawberry Fields REIT, Inc. (b)

  2,800   35,532
Universal Health Realty Income Trust REIT

  5,288   241,926
          14,805,366
HEALTH CARE TECHNOLOGY — 0.7%  
Certara, Inc. (a)

  46,300   542,173
Definitive Healthcare Corp. (a) (b)

  18,800   84,036
Doximity, Inc. Class A (a) (b)

  46,500   2,026,005
Evolent Health, Inc. Class A (a) (b)

  43,365   1,226,362
Health Catalyst, Inc. (a)

  23,400   190,476
HealthStream, Inc.

  9,099   262,415
LifeMD, Inc. (a) (b)

  14,700   77,028
OptimizeRx Corp. (a)

  6,496   50,149
Phreesia, Inc. (a) (b)

  21,300   485,427
Schrodinger, Inc. (a) (b)

  20,808   385,989
Simulations Plus, Inc. (b)

  5,697   182,418
Teladoc Health, Inc. (a)

  65,004   596,737
 
See accompanying notes to Schedule of Investments.
170

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STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Veeva Systems, Inc. Class A (a)

  56,467   $11,850,729
Waystar Holding Corp. (a)

  16,400   457,396
          18,417,340
HOTEL & RESORT REITs — 0.3%  
Apple Hospitality REIT, Inc.

  86,100   1,278,585
Braemar Hotels & Resorts, Inc. REIT (b)

  26,200   80,958
Chatham Lodging Trust REIT

  15,960   135,979
DiamondRock Hospitality Co. REIT

  80,500   702,765
Park Hotels & Resorts, Inc. REIT

  78,734   1,110,149
Pebblebrook Hotel Trust REIT

  45,757   605,365
RLJ Lodging Trust REIT

  57,955   532,027
Ryman Hospitality Properties, Inc. REIT

  22,027   2,362,176
Service Properties Trust REIT (b)

  59,374   270,746
Summit Hotel Properties, Inc. REIT

  42,000   288,120
Sunstone Hotel Investors, Inc. REIT

  77,319   797,932
Xenia Hotels & Resorts, Inc. REIT

  38,300   565,691
          8,730,493
HOTELS, RESTAURANTS & LEISURE — 3.1%  
Accel Entertainment, Inc. (a)

  20,400   237,048
Aramark

  99,240   3,843,565
Bally's Corp. (a)

  9,365   161,546
Biglari Holdings, Inc. Class B (a)

  284   48,851
BJ's Restaurants, Inc. (a) (b)

  7,306   237,883
Bloomin' Brands, Inc. (b)

  30,193   499,090
Boyd Gaming Corp.

  25,998   1,680,771
Brinker International, Inc. (a)

  16,630   1,272,694
Cava Group, Inc. (a)

  28,900   3,579,265
Cheesecake Factory, Inc. (b)

  18,255   740,240
Choice Hotels International, Inc. (b)

  10,556   1,375,447
Churchill Downs, Inc.

  26,416   3,571,707
Chuy's Holdings, Inc. (a)

  6,353   237,602
Cracker Barrel Old Country Store, Inc. (b)

  8,308   376,768
Dave & Buster's Entertainment, Inc. (a) (b)

  12,416   422,765
Denny's Corp. (a) (b)

  18,341   118,299
Despegar.com Corp. (a) (b)

  22,800   282,720
Dine Brands Global, Inc.

  5,630   175,825
DoorDash, Inc. Class A (a)

  132,889   18,967,247
DraftKings, Inc. Class A (a)

  173,423   6,798,182
Dutch Bros, Inc. Class A (a)

  41,900   1,342,057
El Pollo Loco Holdings, Inc. (a)

  10,500   143,850
Everi Holdings, Inc. (a)

  30,295   398,076
First Watch Restaurant Group, Inc. (a) (b)

  11,200   174,720
Full House Resorts, Inc. (a) (b)

  11,000   55,220
Global Business Travel Group I (a) (b)

  46,600   358,354
Golden Entertainment, Inc.

  7,425   236,041
Security Description     Shares   Value
Hilton Grand Vacations, Inc. (a) (b)

  27,571   $1,001,379
Hyatt Hotels Corp. Class A (b)

  16,559   2,520,280
Inspired Entertainment, Inc. (a) (b)

  7,500   69,525
International Game Technology PLC (b)

  43,235   920,906
Jack in the Box, Inc. (b)

  7,197   334,948
Krispy Kreme, Inc.

  32,200   345,828
Kura Sushi USA, Inc. Class A (a) (b)

  2,200   177,232
Life Time Group Holdings, Inc. (a)

  22,600   551,892
Light & Wonder, Inc. (a) (b)

  34,264   3,108,773
Lindblad Expeditions Holdings, Inc. (a)

  12,989   120,148
Marriott Vacations Worldwide Corp. (b)

  13,240   972,875
Monarch Casino & Resort, Inc.

  4,800   380,496
Mondee Holdings, Inc. (a) (b)

  15,600   21,684
Nathan's Famous, Inc.

  1,200   97,080
ONE Group Hospitality, Inc. (a)

  7,400   27,232
Papa John's International, Inc. (b)

  12,488   672,729
Penn Entertainment, Inc. (a) (b)

  57,700   1,088,222
Planet Fitness, Inc. Class A (a) (b)

  33,043   2,683,753
PlayAGS, Inc. (a)

  14,500   165,155
Portillo's, Inc. Class A (a) (b)

  19,800   266,706
Potbelly Corp. (a)

  9,600   80,064
RCI Hospitality Holdings, Inc. (b)

  3,600   160,380
Red Rock Resorts, Inc. Class A

  18,486   1,006,378
Rush Street Interactive, Inc. (a)

  28,000   303,800
Sabre Corp. (a) (b)

  143,335   526,040
Shake Shack, Inc. Class A (a)

  14,330   1,478,999
Six Flags Entertainment Corp. (b)

  35,020   1,411,656
Super Group SGHC Ltd.

  55,600   201,828
Sweetgreen, Inc. Class A (a) (b)

  37,200   1,318,740
Target Hospitality Corp. (a) (b)

  12,800   99,584
Texas Roadhouse, Inc.

  25,277   4,463,918
Travel & Leisure Co. (b)

  25,500   1,175,040
United Parks & Resorts, Inc. (a) (b)

  13,217   668,780
Vacasa, Inc. Class A (a) (b)

  3,400   9,554
Vail Resorts, Inc.

  14,390   2,508,033
Wendy's Co.

  65,458   1,146,824
Wingstop, Inc.

  11,165   4,645,533
Wyndham Hotels & Resorts, Inc.

  29,116   2,275,124
Xponential Fitness, Inc. Class A (a) (b)

  8,700   107,880
          86,450,831
HOUSEHOLD DURABLES — 1.7%  
Beazer Homes USA, Inc. (a)

  10,696   365,482
Cavco Industries, Inc. (a)

  3,176   1,360,090
Century Communities, Inc.

  10,451   1,076,244
 
See accompanying notes to Schedule of Investments.
171

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STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Champion Homes, Inc. (a)

  20,337   $1,928,964
Cricut, Inc. Class A

  16,600   115,038
Dream Finders Homes, Inc. Class A (a)

  10,300   372,963
Ethan Allen Interiors, Inc.

  8,200   261,498
Flexsteel Industries, Inc.

  1,700   75,293
GoPro, Inc. Class A (a)

  43,122   58,646
Green Brick Partners, Inc. (a)

  11,802   985,703
Hamilton Beach Brands Holding Co. Class A

  3,100   94,333
Helen of Troy Ltd. (a)

  8,664   535,868
Hooker Furnishings Corp. (b)

  3,700   66,896
Hovnanian Enterprises, Inc. Class A (a)

  1,900   388,303
Installed Building Products, Inc.

  9,014   2,219,878
iRobot Corp. (a) (b)

  10,943   95,095
KB Home

  25,200   2,159,388
Landsea Homes Corp. (a)

  7,500   92,625
La-Z-Boy, Inc.

  15,933   684,004
Legacy Housing Corp. (a) (b)

  3,920   107,212
Leggett & Platt, Inc. (b)

  50,400   686,448
LGI Homes, Inc. (a) (b)

  7,725   915,567
Lifetime Brands, Inc.

  4,600   30,084
Lovesac Co. (a) (b)

  5,187   148,607
M/I Homes, Inc. (a)

  10,091   1,729,194
Meritage Homes Corp.

  13,567   2,782,185
Newell Brands, Inc. (b)

  159,900   1,228,032
Purple Innovation, Inc. (a) (b)

  18,696   18,485
SharkNinja, Inc.

  25,300   2,750,363
Sonos, Inc. (a)

  45,730   562,022
Taylor Morrison Home Corp. (a)

  38,258   2,688,007
Tempur Sealy International, Inc.

  63,668   3,476,273
Toll Brothers, Inc.

  38,784   5,991,740
TopBuild Corp. (a)

  12,074   4,911,824
Traeger, Inc. (a)

  10,400   38,272
Tri Pointe Homes, Inc. (a)

  34,983   1,585,080
United Homes Group, Inc. (a) (b)

  2,100   12,894
Vizio Holding Corp. Class A (a) (b)

  33,500   374,195
Whirlpool Corp. (b)

  20,100   2,150,700
Worthington Enterprises, Inc.

  11,672   483,804
          45,607,299
HOUSEHOLD PRODUCTS — 0.2%  
Central Garden & Pet Co. (a) (b)

  4,200   153,174
Central Garden & Pet Co. Class A (a)

  19,251   604,481
Energizer Holdings, Inc. (b)

  27,258   865,714
Oil-Dri Corp. of America

  1,800   124,182
Reynolds Consumer Products, Inc.

  20,500   637,550
Spectrum Brands Holdings, Inc.

  10,369   986,507
WD-40 Co. (b)

  5,153   1,328,856
          4,700,464
Security Description     Shares   Value
INDEPENDENT POWER AND RENEWABLE ELECTRICITY PRODUCERS — 0.2%  
Altus Power, Inc. (a) (b)

  24,500   $77,910
Brookfield Renewable Corp. Class A (b)

  52,079   1,700,900
Clearway Energy, Inc. Class A

  13,226   376,544
Clearway Energy, Inc. Class C

  32,000   981,760
Montauk Renewables, Inc. (a) (b)

  22,100   115,141
Ormat Technologies, Inc. (b)

  20,092   1,545,879
Sunnova Energy International, Inc. (a) (b)

  40,500   394,470
          5,192,604
INDUSTRIAL CONGLOMERATES — 0.0% (e)  
Brookfield Business Corp. Class A

  10,200   258,366
INDUSTRIAL REITs — 0.9%  
Americold Realty Trust, Inc. REIT

  108,866   3,077,642
EastGroup Properties, Inc. REIT

  18,358   3,429,642
First Industrial Realty Trust, Inc. REIT

  50,015   2,799,840
Industrial Logistics Properties Trust REIT

  24,000   114,240
Innovative Industrial Properties, Inc. REIT

  10,633   1,431,202
Lineage, Inc. REIT

  23,600   1,849,768
LXP Industrial Trust REIT

  108,900   1,094,445
Plymouth Industrial REIT, Inc.

  16,100   363,860
Rexford Industrial Realty, Inc. REIT

  81,743   4,112,490
STAG Industrial, Inc. REIT

  68,550   2,679,619
Terreno Realty Corp. REIT

  36,024   2,407,484
          23,360,232
INSURANCE — 3.0%  
Ambac Financial Group, Inc. (a)

  15,994   179,293
American Coastal Insurance Corp. Class C (a)

  8,500   95,795
American Financial Group, Inc.

  27,219   3,663,677
AMERISAFE, Inc.

  7,534   364,118
Assured Guaranty Ltd.

  19,919   1,583,959
Axis Capital Holdings Ltd.

  29,699   2,364,337
Baldwin Insurance Group, Inc. (a) (b)

  24,905   1,240,269
Bowhead Specialty Holdings, Inc. (a) (b)

  2,700   75,627
Brighthouse Financial, Inc. (a)

  23,773   1,070,498
CNA Financial Corp. (b)

  8,291   405,762
CNO Financial Group, Inc.

  39,579   1,389,223
Crawford & Co. Class A

  6,100   66,917
Donegal Group, Inc. Class A

  6,639   97,859
Employers Holdings, Inc.

  9,300   446,121
Enstar Group Ltd. (a)

  4,765   1,532,376
F&G Annuities & Life, Inc. (b)

  6,950   310,804
Fidelis Insurance Holdings Ltd.

  19,200   346,752
Fidelity National Financial, Inc.

  98,436   6,108,938
 
See accompanying notes to Schedule of Investments.
172

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STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
First American Financial Corp.

  38,014   $2,509,304
Genworth Financial, Inc. (a)

  164,382   1,126,017
GoHealth, Inc. Class A (a)

  1,200   11,256
Goosehead Insurance, Inc. Class A (a) (b)

  8,519   760,747
Greenlight Capital Re Ltd. Class A (a) (b)

  8,996   122,795
Hamilton Insurance Group Ltd. Class B (a)

  15,100   292,034
Hanover Insurance Group, Inc.

  13,535   2,004,669
HCI Group, Inc. (b)

  3,073   328,995
Heritage Insurance Holdings, Inc. (a)

  8,400   102,816
Hippo Holdings, Inc. (a) (b)

  6,935   117,063
Horace Mann Educators Corp.

  15,800   552,210
Investors Title Co.

  543   124,781
James River Group Holdings Ltd.

  13,600   85,272
Kemper Corp.

  23,107   1,415,304
Kingsway Financial Services, Inc. (a)

  4,600   38,088
Kinsale Capital Group, Inc.

  8,349   3,887,044
Lemonade, Inc. (a) (b)

  18,900   311,661
Lincoln National Corp.

  65,200   2,054,452
Maiden Holdings Ltd. (a)

  31,900   56,463
Markel Group, Inc. (a)

  4,915   7,709,571
MBIA, Inc. (a) (b)

  16,697   59,608
Mercury General Corp.

  10,137   638,428
NI Holdings, Inc. (a)

  3,500   54,880
Old Republic International Corp.

  94,162   3,335,218
Oscar Health, Inc. Class A (a)

  73,300   1,554,693
Palomar Holdings, Inc. (a)

  9,310   881,378
Primerica, Inc.

  13,164   3,490,435
ProAssurance Corp. (a)

  19,805   297,867
Reinsurance Group of America, Inc.

  24,846   5,413,198
RenaissanceRe Holdings Ltd. (b)

  19,475   5,304,990
RLI Corp.

  15,778   2,445,274
Root, Inc. Class A (a)

  3,200   120,896
Ryan Specialty Holdings, Inc.

  38,800   2,575,932
Safety Insurance Group, Inc. (b)

  5,368   438,995
Selective Insurance Group, Inc.

  22,798   2,127,053
Selectquote, Inc. (a)

  49,203   106,771
SiriusPoint Ltd. (a) (b)

  36,800   527,712
Skyward Specialty Insurance Group, Inc. (a)

  14,000   570,220
Stewart Information Services Corp.

  9,965   744,784
Tiptree, Inc.

  9,100   178,087
Trupanion, Inc. (a)

  12,600   528,948
United Fire Group, Inc.

  7,463   156,201
Universal Insurance Holdings, Inc.

  8,817   195,385
Unum Group

  70,000   4,160,800
White Mountains Insurance Group Ltd.

  951   1,613,086
          82,473,706
Security Description     Shares   Value
INTERACTIVE MEDIA & SERVICES — 0.6%  
Bumble, Inc. Class A (a) (b)

  36,000   $229,680
Cargurus, Inc. (a)

  33,700   1,012,011
Cars.com, Inc. (a)

  25,400   425,704
EverQuote, Inc. Class A (a)

  9,035   190,548
fuboTV, Inc. (a) (b)

  118,200   167,844
Getty Images Holdings, Inc. (a) (b)

  36,900   140,589
Grindr, Inc. (a)

  9,300   110,949
IAC, Inc. (a) (b)

  28,637   1,541,243
MediaAlpha, Inc. Class A (a) (b)

  11,203   202,886
Nextdoor Holdings, Inc. (a)

  60,500   150,040
Outbrain, Inc. (a)

  15,700   76,302
Pinterest, Inc. Class A (a)

  230,309   7,455,102
QuinStreet, Inc. (a)

  19,498   372,997
Shutterstock, Inc. (b)

  9,050   320,099
System1, Inc. (a)

  11,200   12,544
TripAdvisor, Inc. (a)

  41,900   607,131
TrueCar, Inc. (a)

  32,166   110,973
Trump Media & Technology Group Corp. (a) (b)

  21,900   351,933
Vimeo, Inc. (a)

  54,523   275,341
Webtoon Entertainment, Inc. (a)

  6,000   68,640
Yelp, Inc. (a)

  24,591   862,652
Ziff Davis, Inc. (a) (b)

  17,306   842,110
ZipRecruiter, Inc. Class A (a)

  27,000   256,500
ZoomInfo Technologies, Inc. (a)

  119,000   1,228,080
          17,011,898
IT SERVICES — 2.0%  
Amdocs Ltd.

  43,835   3,834,686
Applied Digital Corp. (a) (b)

  44,000   363,000
Backblaze, Inc. Class A (a)

  14,700   93,933
BigBear.ai Holdings, Inc. (a) (b)

  40,400   58,984
BigCommerce Holdings, Inc. (a)

  26,700   156,195
Cloudflare, Inc. Class A (a)

  114,895   9,293,857
Core Scientific, Inc. (a)

  67,200   796,992
Couchbase, Inc. (a)

  14,100   227,292
DigitalOcean Holdings, Inc. (a) (b)

  24,800   1,001,672
DXC Technology Co. (a) (b)

  68,700   1,425,525
Fastly, Inc. Class A (a) (b)

  48,243   365,200
Globant SA (a) (b)

  16,094   3,188,865
Grid Dynamics Holdings, Inc. (a)

  21,000   294,000
Hackett Group, Inc.

  9,090   238,794
Information Services Group, Inc.

  10,800   35,640
Kyndryl Holdings, Inc. (a)

  86,400   1,985,472
MongoDB, Inc. (a) (b)

  27,078   7,320,537
Okta, Inc. (a)

  61,175   4,547,749
Perficient, Inc. (a) (b)

  13,049   984,939
Rackspace Technology, Inc. (a) (b)

  27,200   66,640
Snowflake, Inc. Class A (a)

  121,092   13,908,627
Squarespace, Inc. Class A (a)

  22,800   1,058,604
Thoughtworks Holding, Inc. (a) (b)

  35,600   157,352
Tucows, Inc. Class A (a) (b)

  3,376   70,525
 
See accompanying notes to Schedule of Investments.
173

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Twilio, Inc. Class A (a)

  65,424   $4,266,953
Unisys Corp. (a)

  25,800   146,544
          55,888,577
LEISURE EQUIPMENT & PRODUCTS — 0.4%  
Acushnet Holdings Corp. (b)

  10,772   686,715
AMMO, Inc. (a) (b)

  30,400   43,472
Brunswick Corp.

  25,626   2,147,971
Clarus Corp.

  11,565   52,042
Escalade, Inc.

  3,100   43,617
Funko, Inc. Class A (a) (b)

  12,150   148,473
JAKKS Pacific, Inc. (a)

  3,100   79,112
Johnson Outdoors, Inc. Class A (b)

  1,780   64,436
Latham Group, Inc. (a)

  15,100   102,680
Malibu Boats, Inc. Class A (a) (b)

  7,565   293,598
Marine Products Corp.

  3,280   31,783
MasterCraft Boat Holdings, Inc. (a) (b)

  5,665   103,160
Mattel, Inc. (a)

  128,239   2,442,953
Peloton Interactive, Inc. Class A (a) (b)

  130,603   611,222
Polaris, Inc. (b)

  19,603   1,631,754
Smith & Wesson Brands, Inc.

  17,426   226,189
Solo Brands, Inc. Class A (a) (b)

  7,100   10,011
Sturm Ruger & Co., Inc.

  6,385   266,127
Topgolf Callaway Brands Corp. (a)

  53,541   587,880
Vista Outdoor, Inc. (a)

  22,121   866,701
YETI Holdings, Inc. (a)

  32,334   1,326,664
          11,766,560
LIFE SCIENCES TOOLS & SERVICES — 1.3%  
10X Genomics, Inc. Class A (a)

  39,445   890,668
Adaptive Biotechnologies Corp. (a) (b)

  44,900   229,888
Akoya Biosciences, Inc. (a) (b)

  12,000   32,640
Avantor, Inc. (a) (b)

  257,351   6,657,670
Azenta, Inc. (a) (b)

  20,341   985,318
BioLife Solutions, Inc. (a) (b)

  13,820   346,053
Bio-Rad Laboratories, Inc. Class A (a)

  7,300   2,442,434
Bruker Corp.

  41,497   2,865,783
ChromaDex Corp. (a)

  19,400   70,810
Codexis, Inc. (a)

  28,221   86,921
CryoPort, Inc. (a) (b)

  15,200   123,272
Cytek Biosciences, Inc. (a) (b)

  44,300   245,422
Fortrea Holdings, Inc. (a) (b)

  34,200   684,000
Harvard Bioscience, Inc. (a)

  14,200   38,198
Illumina, Inc. (a)

  60,500   7,889,805
Maravai LifeSciences Holdings, Inc. Class A (a)

  41,400   344,034
MaxCyte, Inc. (a) (b)

  38,600   150,154
Medpace Holdings, Inc. (a)

  9,601   3,204,814
Mesa Laboratories, Inc.

  1,898   246,474
Nautilus Biotechnology, Inc. (a)

  20,800   59,280
OmniAb, Inc. (a)

  31,756   134,328
Security Description     Shares   Value
Pacific Biosciences of California, Inc. (a) (b)

  109,021   $185,336
Qiagen NV (a)

  85,602   3,900,883
Quanterix Corp. (a)

  13,000   168,480
Quantum-Si, Inc. (a) (b)

  46,600   41,110
Repligen Corp. (a)

  21,217   3,157,514
Sotera Health Co. (a)

  57,100   953,570
Standard BioTools, Inc. (a) (b)

  111,900   215,967
          36,350,826
MACHINERY — 3.2%  
374Water, Inc. (a) (b)

  19,900   27,064
3D Systems Corp. (a) (b)

  45,465   129,121
AGCO Corp. (b)

  23,621   2,311,551
Alamo Group, Inc.

  3,889   700,526
Albany International Corp. Class A

  11,871   1,054,738
Allison Transmission Holdings, Inc.

  33,359   3,204,799
Astec Industries, Inc. (b)

  8,306   265,294
Atmus Filtration Technologies, Inc.

  31,600   1,185,948
Barnes Group, Inc. (b)

  17,714   715,823
Blue Bird Corp. (a)

  12,022   576,575
Chart Industries, Inc. (a) (b)

  16,070   1,994,930
CNH Industrial NV

  331,200   3,676,320
Columbus McKinnon Corp.

  10,248   368,928
Commercial Vehicle Group, Inc. (a) (b)

  12,200   39,650
Crane Co.

  18,548   2,935,777
Donaldson Co., Inc.

  45,486   3,352,318
Douglas Dynamics, Inc.

  8,473   233,685
Eastern Co.

  1,900   61,655
Energy Recovery, Inc. (a)

  21,100   366,929
Enerpac Tool Group Corp.

  20,591   862,557
Enpro, Inc. (b)

  7,945   1,288,520
Esab Corp.

  21,475   2,283,007
ESCO Technologies, Inc.

  9,828   1,267,615
Federal Signal Corp.

  22,700   2,121,542
Flowserve Corp.

  49,900   2,579,331
Franklin Electric Co., Inc.

  17,115   1,793,994
Gates Industrial Corp. PLC (a)

  78,600   1,379,430
Gencor Industries, Inc. (a)

  4,200   87,612
Gorman-Rupp Co.

  8,200   319,390
Graco, Inc.

  63,282   5,537,808
Graham Corp. (a)

  3,800   112,442
Greenbrier Cos., Inc.

  11,694   595,108
Helios Technologies, Inc.

  12,448   593,770
Hillenbrand, Inc.

  26,168   727,470
Hillman Solutions Corp. (a)

  73,100   771,936
Hyliion Holdings Corp. (a) (b)

  51,000   126,480
Hyster-Yale, Inc.

  4,289   273,510
ITT, Inc.

  31,288   4,677,869
John Bean Technologies Corp. (b)

  12,076   1,189,607
Kadant, Inc. (b)

  4,390   1,483,820
Kennametal, Inc. (b)

  30,417   788,713
 
See accompanying notes to Schedule of Investments.
174

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
L.B. Foster Co. Class A (a) (b)

  3,300   $67,419
Lincoln Electric Holdings, Inc.

  20,905   4,014,178
Lindsay Corp.

  4,075   507,908
Luxfer Holdings PLC

  9,931   128,606
Manitowoc Co., Inc. (a) (b)

  12,075   116,161
Mayville Engineering Co., Inc. (a)

  4,300   90,644
Middleby Corp. (a) (b)

  20,227   2,814,183
Miller Industries, Inc.

  3,965   241,865
Mueller Industries, Inc. (b)

  42,068   3,117,239
Mueller Water Products, Inc. Class A

  58,722   1,274,267
NN, Inc. (a) (b)

  16,900   65,910
Omega Flex, Inc.

  1,351   67,442
Oshkosh Corp.

  24,742   2,479,396
Park-Ohio Holdings Corp.

  3,000   92,100
Proto Labs, Inc. (a)

  9,285   272,700
RBC Bearings, Inc. (a) (b)

  10,822   3,239,890
REV Group, Inc.

  19,200   538,752
Shyft Group, Inc.

  12,429   155,984
SPX Technologies, Inc. (a)

  16,989   2,709,066
Standex International Corp. (b)

  4,419   807,705
Taylor Devices, Inc. (a) (b)

  900   44,928
Tennant Co.

  7,124   684,189
Terex Corp.

  24,892   1,317,036
Timken Co. (b)

  24,558   2,069,994
Titan International, Inc. (a) (b)

  19,100   155,283
Toro Co.

  39,674   3,440,926
Trinity Industries, Inc.

  30,869   1,075,476
Twin Disc, Inc.

  4,100   51,209
Wabash National Corp.

  16,887   324,062
Watts Water Technologies, Inc. Class A

  10,222   2,117,896
          88,145,576
MARINE — 0.2%  
Costamare, Inc.

  16,100   253,092
Genco Shipping & Trading Ltd. (b)

  16,300   317,850
Golden Ocean Group Ltd.

  45,700   611,466
Himalaya Shipping Ltd. (a)

  11,700   101,322
Kirby Corp. (a)

  21,964   2,689,052
Matson, Inc.

  12,782   1,822,969
Pangaea Logistics Solutions Ltd.

  12,500   90,375
Safe Bulkers, Inc.

  24,860   128,775
          6,014,901
MEDIA — 1.4%  
Advantage Solutions, Inc. (a) (b)

  39,300   134,799
AMC Networks, Inc. Class A (a)

  12,420   107,930
Boston Omaha Corp. Class A (a) (b)

  9,665   143,718
Cable One, Inc. (b)

  2,092   731,761
Cardlytics, Inc. (a) (b)

  14,565   46,608
Clear Channel Outdoor Holdings, Inc. (a)

  129,700   207,520
EchoStar Corp. Class A (a) (b)

  45,963   1,140,802
Emerald Holding, Inc.

  4,800   23,952
Security Description     Shares   Value
Entravision Communications Corp. Class A

  19,800   $40,986
EW Scripps Co. Class A (a)

  19,840   44,541
Gambling.com Group Ltd. (a)

  6,800   68,136
Gannett Co., Inc. (a)

  52,914   297,377
Gray Television, Inc.

  31,677   169,789
Ibotta, Inc. Class A (a)

  2,800   172,508
iHeartMedia, Inc. Class A (a)

  34,000   62,900
Innovid Corp. (a) (b)

  44,200   79,560
Integral Ad Science Holding Corp. (a)

  27,300   295,113
John Wiley & Sons, Inc. Class A (b)

  13,740   662,955
Liberty Broadband Corp. Class A (a)

  5,864   450,472
Liberty Broadband Corp. Class C (a)

  42,732   3,302,756
Magnite, Inc. (a) (b)

  47,727   661,019
National CineMedia, Inc. (a)

  28,100   198,105
New York Times Co. Class A

  60,902   3,390,414
Nexstar Media Group, Inc.

  11,798   1,950,799
PubMatic, Inc. Class A (a)

  15,100   224,537
Scholastic Corp.

  9,029   289,018
Sinclair, Inc. (b)

  12,162   186,079
Sirius XM Holdings, Inc.

  93,531   2,212,008
Stagwell, Inc. (a) (b)

  32,400   227,448
TechTarget, Inc. (a) (b)

  9,600   234,720
TEGNA, Inc. (b)

  64,283   1,014,386
Thryv Holdings, Inc. (a)

  11,800   203,314
Townsquare Media, Inc. Class A (b)

  3,600   36,576
Trade Desk, Inc. Class A (a)

  169,276   18,561,113
WideOpenWest, Inc. (a)

  17,336   91,014
          37,664,733
METALS & MINING — 1.6%  
Alcoa Corp.

  95,105   3,669,151
Alpha Metallurgical Resources, Inc.

  4,100   968,338
Arch Resources, Inc.

  6,594   911,027
ATI, Inc. (a)

  47,237   3,160,628
Caledonia Mining Corp. PLC

  6,100   91,256
Carpenter Technology Corp.

  17,955   2,865,259
Century Aluminum Co. (a) (b)

  19,500   316,485
Cleveland-Cliffs, Inc. (a)

  174,902   2,233,499
Coeur Mining, Inc. (a)

  149,242   1,026,785
Commercial Metals Co.

  43,147   2,371,359
Compass Minerals International, Inc. (b)

  12,514   150,418
Constellium SE (a)

  49,000   796,740
Contango ORE, Inc. (a) (b)

  3,900   75,114
Critical Metals Corp. (a)

  2,700   20,088
Dakota Gold Corp. (a)

  23,800   56,168
Ferroglobe PLC (a) (d)

  2,200  
Haynes International, Inc.

  4,700   279,838
Hecla Mining Co.

  222,016   1,480,847
i-80 Gold Corp. (a) (b)

  129,300   149,988
 
See accompanying notes to Schedule of Investments.
175

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Ivanhoe Electric, Inc. (a) (b)

  30,300   $256,338
Kaiser Aluminum Corp.

  6,133   444,765
Lifezone Holdings Ltd. (a)

  13,400   93,800
Materion Corp.

  7,855   878,660
Metallus, Inc. (a) (b)

  16,214   240,454
Metals Acquisition Ltd. Class A (a) (b)

  20,000   277,000
MP Materials Corp. (a) (b)

  50,400   889,560
Novagold Resources, Inc. (a) (b)

  90,500   371,050
Olympic Steel, Inc.

  4,000   156,000
Perpetua Resources Corp. (a)

  14,000   130,900
Piedmont Lithium, Inc. (a) (b)

  6,000   53,580
Radius Recycling, Inc.

  9,272   171,903
Ramaco Resources, Inc. Class A

  9,900   115,830
Ramaco Resources, Inc. Class B

  1,400   15,064
Reliance, Inc.

  21,666   6,266,024
Royal Gold, Inc.

  24,955   3,501,186
Ryerson Holding Corp.

  10,700   213,037
Southern Copper Corp.

  33,169   3,836,658
SSR Mining, Inc. (b)

  77,600   440,768
SunCoke Energy, Inc.

  31,800   276,024
Tredegar Corp. (a)

  11,107   80,970
U.S. Steel Corp. (b)

  84,576   2,988,070
Universal Stainless & Alloy Products, Inc. (a)

  3,200   123,616
Warrior Met Coal, Inc. (b)

  19,638   1,254,868
Worthington Steel, Inc.

  12,472   424,173
          44,123,286
MORTGAGE REAL ESTATE INVESTMENT TRUST (REITs) — 0.8%  
AFC Gamma, Inc. REIT (b)

  6,300   64,323
AG Mortgage Investment Trust, Inc. REIT (b)

  10,600   79,606
AGNC Investment Corp. REIT (b)

  280,679   2,935,902
Angel Oak Mortgage REIT, Inc.

  4,080   42,554
Annaly Capital Management, Inc. REIT (b)

  188,825   3,789,718
Apollo Commercial Real Estate Finance, Inc. REIT (b)

  55,749   512,333
Arbor Realty Trust, Inc. REIT (b)

  69,600   1,082,976
ARES Commercial Real Estate Corp. REIT (b)

  19,800   138,600
ARMOUR Residential REIT, Inc. (b)

  18,959   386,764
Blackstone Mortgage Trust, Inc. Class A REIT

  65,366   1,242,608
BrightSpire Capital, Inc. REIT

  51,900   290,640
Chicago Atlantic Real Estate Finance, Inc. REIT (b)

  5,900   91,509
Chimera Investment Corp. REIT

  30,415   481,470
Claros Mortgage Trust, Inc. REIT (b)

  32,500   243,425
Dynex Capital, Inc. REIT

  28,800   367,488
Ellington Financial, Inc. REIT (b)

  30,505   393,209
Security Description     Shares   Value
Franklin BSP Realty Trust, Inc. REIT (b)

  29,734   $388,326
Granite Point Mortgage Trust, Inc. REIT

  15,234   48,292
HA Sustainable Infrastructure Capital, Inc. (b)

  42,445   1,463,079
Invesco Mortgage Capital, Inc. REIT (b)

  17,501   164,334
KKR Real Estate Finance Trust, Inc. REIT

  22,600   279,110
Ladder Capital Corp. REIT

  42,539   493,452
MFA Financial, Inc. REIT

  38,934   495,241
New York Mortgage Trust, Inc. REIT (b)

  33,871   214,403
Nexpoint Real Estate Finance, Inc. REIT

  3,600   56,268
Orchid Island Capital, Inc. REIT (b)

  27,620   227,036
PennyMac Mortgage Investment Trust REIT

  33,524   478,052
Ready Capital Corp. REIT (b)

  59,075   450,742
Redwood Trust, Inc. REIT (b)

  49,600   383,408
Rithm Capital Corp. REIT

  195,311   2,216,780
Seven Hills Realty Trust REIT

  5,500   75,735
Sunrise Realty Trust, Inc. REIT (b)

  2,099   30,205
TPG RE Finance Trust, Inc. REIT

  24,252   206,870
Two Harbors Investment Corp. REIT

  39,389   546,719
Starwood Property Trust, Inc. REIT (b)

  118,704   2,419,188
          22,780,365
MULTI-UTILITIES — 0.2%  
Avista Corp.

  30,200   1,170,250
Black Hills Corp.

  25,205   1,540,530
Northwestern Energy Group, Inc.

  23,055   1,319,207
Unitil Corp.

  5,638   341,550
          4,371,537
OFFICE REITs — 0.6%  
Brandywine Realty Trust REIT

  67,400   366,656
City Office REIT, Inc.

  16,000   93,440
COPT Defense Properties REIT

  42,000   1,273,860
Cousins Properties, Inc. REIT

  57,629   1,698,903
Douglas Emmett, Inc. REIT (b)

  60,337   1,060,121
Easterly Government Properties, Inc. REIT (b)

  37,800   513,324
Equity Commonwealth REIT (a)

  39,381   783,682
Franklin Street Properties Corp. REIT

  35,900   63,543
Highwoods Properties, Inc. REIT

  40,170   1,346,097
Hudson Pacific Properties, Inc. REIT

  50,437   241,089
JBG SMITH Properties REIT

  32,122   561,493
Kilroy Realty Corp. REIT

  44,363   1,716,848
 
See accompanying notes to Schedule of Investments.
176

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
NET Lease Office Properties REIT (b)

  5,399   $165,317
Orion Office REIT, Inc.

  18,600   74,400
Paramount Group, Inc. REIT

  66,753   328,425
Peakstone Realty Trust REIT (b)

  13,400   182,642
Piedmont Office Realty Trust, Inc. Class A REIT

  48,105   485,860
Postal Realty Trust, Inc. Class A REIT

  8,100   118,584
SL Green Realty Corp. REIT

  24,733   1,721,664
Vornado Realty Trust REIT (b)

  66,600   2,624,040
          15,419,988
OIL, GAS & CONSUMABLE FUELS — 3.3%  
Aemetis, Inc. (a) (b)

  15,000   34,500
Amplify Energy Corp. (a) (b)

  13,400   87,502
Antero Midstream Corp.

  128,400   1,932,420
Antero Resources Corp. (a)

  110,174   3,156,485
Ardmore Shipping Corp.

  15,600   282,360
Berry Corp.

  26,700   137,238
California Resources Corp. (b)

  26,000   1,364,220
Centrus Energy Corp. Class A (a)

  5,400   296,190
Cheniere Energy, Inc.

  87,859   15,800,563
Chesapeake Energy Corp. (b)

  49,843   4,099,587
Chord Energy Corp.

  23,344   3,040,089
Civitas Resources, Inc.

  37,946   1,922,724
Clean Energy Fuels Corp. (a) (b)

  63,200   196,552
CNX Resources Corp. (a) (b)

  55,181   1,797,245
Comstock Resources, Inc. (b)

  34,300   381,759
CONSOL Energy, Inc. (b)

  11,025   1,153,766
Crescent Energy Co. Class A

  54,529   597,093
CVR Energy, Inc. (b)

  13,000   299,390
Delek U.S. Holdings, Inc.

  23,704   444,450
DHT Holdings, Inc.

  51,371   566,622
Diversified Energy Co. PLC

  18,300   208,254
Dorian LPG Ltd.

  13,958   480,434
DT Midstream, Inc.

  36,800   2,894,688
Empire Petroleum Corp. (a) (b)

  6,900   36,225
Encore Energy Corp. (a) (b)

  68,900   278,356
Energy Fuels, Inc. (a) (b)

  70,101   384,854
Evolution Petroleum Corp. (b)

  12,300   65,313
Excelerate Energy, Inc. Class A

  6,200   136,462
FLEX LNG Ltd.

  11,400   290,016
FutureFuel Corp.

  8,500   48,875
Golar LNG Ltd.

  37,255   1,369,494
Granite Ridge Resources, Inc. (b)

  17,800   105,732
Green Plains, Inc. (a)

  23,638   320,058
Gulfport Energy Corp. (a)

  4,900   741,615
Hallador Energy Co. (a) (b)

  9,400   88,642
HF Sinclair Corp.

  59,900   2,669,743
HighPeak Energy, Inc. (b)

  5,400   74,952
International Seaways, Inc.

  15,218   784,640
Kinetik Holdings, Inc.

  14,500   656,270
Kosmos Energy Ltd. (a)

  175,600   707,668
Security Description     Shares   Value
Magnolia Oil & Gas Corp. Class A (b)

  65,400   $1,597,068
Matador Resources Co.

  44,602   2,204,231
Murphy Oil Corp.

  54,100   1,825,334
NACCO Industries, Inc. Class A

  1,500   42,525
New Fortress Energy, Inc. (b)

  25,000   227,250
NextDecade Corp. (a) (b)

  44,400   209,124
Nordic American Tankers Ltd. (b)

  77,640   284,939
Northern Oil & Gas, Inc.

  37,300   1,320,793
Ovintiv, Inc.

  99,767   3,822,074
Par Pacific Holdings, Inc. (a)

  21,289   374,686
PBF Energy, Inc. Class A

  38,752   1,199,374
Peabody Energy Corp. (b)

  47,703   1,266,038
Permian Resources Corp. (b)

  248,196   3,377,948
PrimeEnergy Resources Corp. (a)

  312   42,994
Range Resources Corp.

  90,072   2,770,615
REX American Resources Corp. (a)

  5,605   259,455
Riley Exploration Permian, Inc. (b)

  3,850   101,986
Ring Energy, Inc. (a) (b)

  55,200   88,320
Sable Offshore Corp. (a) (b)

  19,100   451,333
SandRidge Energy, Inc.

  12,000   146,760
Scorpio Tankers, Inc.

  17,599   1,254,809
SFL Corp. Ltd.

  45,600   527,592
Sitio Royalties Corp. Class A (b)

  29,708   619,115
SM Energy Co. (b)

  43,056   1,720,948
Southwestern Energy Co. (a)

  416,949   2,964,507
Talos Energy, Inc. (a) (b)

  55,400   573,390
Teekay Corp. (a)

  22,800   209,760
Teekay Tankers Ltd. Class A

  9,000   524,250
Texas Pacific Land Corp. (b)

  7,143   6,319,698
Uranium Energy Corp. (a) (b)

  150,600   935,226
Ur-Energy, Inc. (a) (b)

  137,500   163,625
VAALCO Energy, Inc. (b)

  38,200   219,268
Verde Clean Fuels, Inc. (a)

  300   1,197
Viper Energy, Inc.

  38,400   1,732,224
Vital Energy, Inc. (a) (b)

  10,800   290,520
Vitesse Energy, Inc. (b)

  9,451   227,013
W&T Offshore, Inc. (b)

  35,000   75,250
World Kinect Corp. (b)

  22,035   681,102
          90,585,387
PERSONAL CARE PRODUCTS — 0.3%  
Beauty Health Co. (a) (b)

  28,900   41,616
BellRing Brands, Inc. (a)

  49,322   2,994,832
Coty, Inc. Class A (a)

  145,100   1,362,489
Edgewell Personal Care Co.

  18,379   667,893
elf Beauty, Inc. (a) (b)

  20,400   2,224,212
Herbalife Ltd. (a) (b)

  37,076   266,576
Honest Co., Inc. (a)

  29,500   105,315
Inter Parfums, Inc. (b)

  6,870   889,528
Medifast, Inc. (a) (b)

  4,526   86,628
Nature's Sunshine Products, Inc. (a)

  4,800   65,376
Nu Skin Enterprises, Inc. Class A

  18,058   133,087
 
See accompanying notes to Schedule of Investments.
177

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Olaplex Holdings, Inc. (a)

  51,500   $121,025
USANA Health Sciences, Inc. (a)

  4,304   163,208
Veru, Inc. (a)

  48,600   37,373
Waldencast PLC Class A (a) (b)

  9,800   35,672
          9,194,830
PAPER & FOREST PRODUCTS — 0.1%  
Clearwater Paper Corp. (a)

  6,007   171,440
Louisiana-Pacific Corp.

  24,418   2,623,958
Sylvamo Corp. (b)

  13,200   1,133,220
          3,928,618
PHARMACEUTICALS — 1.2%  
Alimera Sciences, Inc. (a) (b)

  7,900   316
Alto Neuroscience, Inc. (a)

  8,400   96,096
Alumis, Inc. (a) (b)

  5,200   55,536
Amneal Pharmaceuticals, Inc. (a)

  58,890   489,965
Amphastar Pharmaceuticals, Inc. (a) (b)

  14,627   709,848
ANI Pharmaceuticals, Inc. (a)

  7,133   425,555
Aquestive Therapeutics, Inc. (a) (b)

  27,300   135,954
Arvinas, Inc. (a)

  23,696   583,633
Atea Pharmaceuticals, Inc. (a)

  27,000   90,450
Avadel Pharmaceuticals PLC (a) (b)

  34,300   449,845
Axsome Therapeutics, Inc. (a) (b)

  13,800   1,240,206
Biote Corp. Class A (a) (b)

  11,700   65,286
Cassava Sciences, Inc. (a) (b)

  15,500   456,165
Collegium Pharmaceutical, Inc. (a)

  12,367   477,861
Contineum Therapeutics, Inc. Class A (a)

  2,600   49,764
Corcept Therapeutics, Inc. (a)

  30,484   1,410,800
CorMedix, Inc. (a) (b)

  21,300   172,104
Edgewise Therapeutics, Inc. (a)

  27,241   727,062
Elanco Animal Health, Inc. (a)

  188,756   2,772,826
Enliven Therapeutics, Inc. (a) (b)

  13,100   334,574
Esperion Therapeutics, Inc. (a) (b)

  74,100   122,265
Evolus, Inc. (a)

  21,100   341,820
EyePoint Pharmaceuticals, Inc. (a)

  18,200   145,418
Fulcrum Therapeutics, Inc. (a)

  22,800   81,396
Harmony Biosciences Holdings, Inc. (a) (b)

  11,400   456,000
Harrow, Inc. (a)

  11,400   512,544
Innoviva, Inc. (a)

  20,953   404,602
Intra-Cellular Therapies, Inc. (a)

  39,425   2,884,727
Jazz Pharmaceuticals PLC (a)

  23,306   2,596,521
Jounce Therapeutics, Inc. (a) (b)

  20,900   627
Ligand Pharmaceuticals, Inc. (a)

  6,336   634,170
Liquidia Corp. (a) (b)

  20,800   208,000
Longboard Pharmaceuticals, Inc. (a)

  12,100   403,293
MediWound Ltd. (a) (b)

  2,900   52,374
Security Description     Shares   Value
Mind Medicine MindMed, Inc. (a) (b)

  28,100   $159,889
Nektar Therapeutics (a)

  67,800   88,140
Neumora Therapeutics, Inc. (a) (b)

  31,200   412,152
Nuvation Bio, Inc. (a)

  66,200   151,598
Ocular Therapeutix, Inc. (a) (b)

  58,000   504,600
Omeros Corp. (a) (b)

  23,000   91,310
Organon & Co.

  98,600   1,886,218
Pacira BioSciences, Inc. (a)

  17,037   256,407
Perrigo Co. PLC

  51,500   1,350,845
Phathom Pharmaceuticals, Inc. (a) (b)

  12,600   227,808
Phibro Animal Health Corp. Class A

  7,800   175,656
Pliant Therapeutics, Inc. (a) (b)

  21,100   236,531
Prestige Consumer Healthcare, Inc. (a)

  18,616   1,342,214
Rapport Therapeutics, Inc. (a)

  3,700   75,776
Revance Therapeutics, Inc. (a)

  39,774   206,427
Royalty Pharma PLC Class A

  149,742   4,236,201
Scilex Holding Co. (a)

  19,080   17,641
scPharmaceuticals, Inc. (a) (b)

  12,700   57,912
SIGA Technologies, Inc. (b)

  16,400   110,700
Supernus Pharmaceuticals, Inc. (a)

  19,000   592,420
Tarsus Pharmaceuticals, Inc. (a) (b)

  13,900   457,171
Telomir Pharmaceuticals, Inc. (a)

  1,700   10,914
Terns Pharmaceuticals, Inc. (a)

  21,000   175,140
Theravance Biopharma, Inc. (a) (b)

  15,204   122,544
Third Harmonic Bio, Inc. (a)

  6,700   90,785
Trevi Therapeutics, Inc. (a)

  24,000   80,160
Ventyx Biosciences, Inc. (a) (b)

  21,300   46,434
Verrica Pharmaceuticals, Inc. (a) (b)

  9,200   13,340
WaVe Life Sciences Ltd. (a)

  29,200   239,440
Xeris Biopharma Holdings, Inc. (a)

  49,200   140,220
Zevra Therapeutics, Inc. (a) (b)

  15,900   110,346
          33,254,542
PROFESSIONAL SERVICES — 2.7%  
Alight, Inc. Class A (a)

  160,400   1,186,960
ASGN, Inc. (a) (b)

  16,935   1,578,850
Barrett Business Services, Inc.

  9,956   373,450
BlackSky Technology, Inc. (a) (b)

  4,549   21,562
Booz Allen Hamilton Holding Corp.

  48,952   7,967,428
CACI International, Inc. Class A (a)

  8,371   4,223,672
CBIZ, Inc. (a)

  18,100   1,217,949
Clarivate PLC (a) (b)

  157,200   1,116,120
Concentrix Corp. (b)

  17,974   921,167
Conduent, Inc. (a)

  60,900   245,427
CRA International, Inc.

  2,545   446,189
 
See accompanying notes to Schedule of Investments.
178

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
CSG Systems International, Inc.

  11,092   $539,626
DLH Holdings Corp. (a) (b)

  3,100   29,016
Dun & Bradstreet Holdings, Inc. (b)

  115,562   1,330,119
ExlService Holdings, Inc. (a)

  58,585   2,235,018
Exponent, Inc.

  18,909   2,179,830
First Advantage Corp. (a)

  19,700   391,045
FiscalNote Holdings, Inc. (a) (b)

  19,200   24,576
Forrester Research, Inc. (a)

  4,200   75,642
Franklin Covey Co. (a)

  4,383   180,273
FTI Consulting, Inc. (a)

  13,308   3,028,368
Genpact Ltd.

  66,653   2,613,464
Heidrick & Struggles International, Inc.

  7,300   283,678
HireQuest, Inc. (b)

  1,600   22,656
Huron Consulting Group, Inc. (a)

  6,731   731,660
IBEX Holdings Ltd. (a)

  3,900   77,922
ICF International, Inc.

  7,012   1,169,531
Innodata, Inc. (a) (b)

  9,900   166,023
Insperity, Inc.

  13,410   1,180,080
KBR, Inc.

  50,426   3,284,245
Kelly Services, Inc. Class A

  11,395   243,967
Kforce, Inc.

  7,054   433,468
Korn Ferry

  19,557   1,471,469
Legalzoom.com, Inc. (a)

  51,000   323,850
ManpowerGroup, Inc.

  18,035   1,325,933
Maximus, Inc.

  22,707   2,115,384
Mistras Group, Inc. (a)

  7,700   87,549
NV5 Global, Inc. (a)

  5,544   518,253
Parsons Corp. (a) (b)

  17,251   1,788,584
Paycor HCM, Inc. (a)

  27,600   391,644
Paylocity Holding Corp. (a)

  16,697   2,754,504
Planet Labs PBC (a) (b)

  84,300   187,989
Resources Connection, Inc.

  11,300   109,610
Robert Half, Inc.

  38,700   2,608,767
Science Applications International Corp.

  19,382   2,699,331
Spire Global, Inc. (a) (b)

  9,200   91,908
SS&C Technologies Holdings, Inc.

  82,081   6,091,231
Sterling Check Corp. (a)

  12,800   214,016
TransUnion

  74,262   7,775,231
TriNet Group, Inc.

  12,004   1,164,028
TrueBlue, Inc. (a)

  10,107   79,744
TTEC Holdings, Inc.

  7,007   41,131
Upwork, Inc. (a)

  46,524   486,176
Verra Mobility Corp. (a) (b)

  62,781   1,745,940
Willdan Group, Inc. (a)

  4,871   199,467
WNS Holdings Ltd. (a) (b)

  17,100   901,341
          74,692,061
REAL ESTATE MANAGEMENT & DEVELOPMENT — 0.7%  
American Realty Investors, Inc. (a) (b)

  300   5,262
Anywhere Real Estate, Inc. (a)

  37,395   189,967
Compass, Inc. Class A (a)

  142,900   873,119
Cushman & Wakefield PLC (a)

  86,806   1,183,166
Security Description     Shares   Value
DigitalBridge Group, Inc. (b)

  60,529   $855,275
eXp World Holdings, Inc. (b)

  31,300   441,017
Forestar Group, Inc. (a)

  6,806   220,310
FRP Holdings, Inc. (a)

  4,778   142,671
Howard Hughes Holdings, Inc. (a)

  12,038   932,102
Jones Lang LaSalle, Inc. (a)

  17,907   4,831,488
Kennedy-Wilson Holdings, Inc. (b)

  43,757   483,515
Marcus & Millichap, Inc. (b)

  9,346   370,382
Maui Land & Pineapple Co., Inc. (a) (b)

  3,031   68,046
Newmark Group, Inc. Class A

  49,612   770,474
Offerpad Solutions, Inc. (a)

  3,800   15,428
Opendoor Technologies, Inc. (a) (b)

  227,100   454,200
RE/MAX Holdings, Inc. Class A (a)

  6,500   80,925
Real Brokerage, Inc. (a) (b)

  35,000   194,250
Redfin Corp. (a)

  43,600   546,308
RMR Group, Inc. Class A

  5,607   142,306
Seaport Entertainment Group, Inc. (a) (b)

  3,048   83,576
St. Joe Co.

  13,800   804,678
Star Holdings (a)

  5,029   69,601
Stratus Properties, Inc. (a) (b)

  1,800   46,782
Tejon Ranch Co. (a) (b)

  7,400   129,870
Transcontinental Realty Investors, Inc. REIT (a) (b)

  700   20,153
Zillow Group, Inc. Class A (a) (b)

  16,712   1,034,974
Zillow Group, Inc. Class C (a) (b)

  62,014   3,959,594
          18,949,439
RESIDENTIAL REITs — 0.8%  
American Homes 4 Rent Class A REIT

  127,816   4,906,856
Apartment Investment & Management Co. Class A REIT (a)

  52,800   477,312
BRT Apartments Corp. REIT

  4,900   86,142
Centerspace REIT

  5,865   413,307
Clipper Realty, Inc. REIT

  4,693   26,750
Elme Communities REIT

  32,802   576,987
Equity LifeStyle Properties, Inc. REIT

  69,772   4,977,535
Independence Realty Trust, Inc. REIT (b)

  84,273   1,727,597
NexPoint Residential Trust, Inc. REIT

  8,848   389,400
Sun Communities, Inc. REIT

  47,221   6,381,918
UMH Properties, Inc. REIT

  25,100   493,717
Veris Residential, Inc. REIT

  30,147   538,425
          20,995,946
RETAIL REITs — 0.8%  
Acadia Realty Trust REIT

  39,147   919,172
Agree Realty Corp. REIT

  37,356   2,814,027
Alexander's, Inc. REIT

  802   194,373
 
See accompanying notes to Schedule of Investments.
179

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Brixmor Property Group, Inc. REIT

  113,148   $3,152,303
CBL & Associates Properties, Inc. REIT

  9,300   234,360
Getty Realty Corp. REIT

  18,374   584,477
InvenTrust Properties Corp. REIT

  26,100   740,457
Kite Realty Group Trust REIT

  80,752   2,144,773
Macerich Co. REIT

  81,958   1,494,914
NETSTREIT Corp. (b)

  29,900   494,247
NNN REIT, Inc.

  68,463   3,319,771
Phillips Edison & Co., Inc. REIT

  46,200   1,742,202
Retail Opportunity Investments Corp. REIT

  46,000   723,580
Saul Centers, Inc. REIT

  3,900   163,644
SITE Centers Corp. REIT

  17,850   1,079,925
Tanger, Inc. REIT

  40,187   1,333,405
Urban Edge Properties REIT

  46,400   992,496
Whitestone REIT

  18,600   251,658
          22,379,784
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT — 2.7%  
ACM Research, Inc. Class A (a) (b)

  18,900   383,670
Aehr Test Systems (a) (b)

  10,000   128,500
Allegro MicroSystems, Inc. (a) (b)

  46,600   1,085,780
Alpha & Omega Semiconductor Ltd. (a) (b)

  8,887   329,886
Ambarella, Inc. (a)

  14,329   808,227
Amkor Technology, Inc.

  42,735   1,307,691
Astera Labs, Inc. (a) (b)

  8,500   445,315
Axcelis Technologies, Inc. (a)

  12,285   1,288,082
CEVA, Inc. (a)

  8,371   202,160
Cirrus Logic, Inc. (a)

  20,340   2,526,431
Cohu, Inc. (a)

  17,691   454,659
Credo Technology Group Holding Ltd. (a)

  48,500   1,493,800
Diodes, Inc. (a)

  17,292   1,108,244
Entegris, Inc. (b)

  57,615   6,483,416
Everspin Technologies, Inc. (a) (b)

  9,000   53,100
FormFactor, Inc. (a)

  29,146   1,340,716
GCT Semiconductor Holding, Inc. (a) (b)

  2,800   9,380
GLOBALFOUNDRIES, Inc. (a) (b)

  37,500   1,509,375
Ichor Holdings Ltd. (a)

  12,799   407,136
Impinj, Inc. (a) (b)

  8,652   1,873,331
indie Semiconductor, Inc. Class A (a) (b)

  62,300   248,577
Kulicke & Soffa Industries, Inc. (b)

  20,300   916,139
Lattice Semiconductor Corp. (a) (b)

  51,725   2,745,046
MACOM Technology Solutions Holdings, Inc. (a)

  21,052   2,342,246
Security Description     Shares   Value
Marvell Technology, Inc.

  328,191   $23,669,135
MaxLinear, Inc. (a)

  30,296   438,686
MKS Instruments, Inc.

  25,375   2,758,516
Navitas Semiconductor Corp. (a) (b)

  48,200   118,090
NVE Corp.

  1,700   135,779
Onto Innovation, Inc. (a)

  18,557   3,851,691
PDF Solutions, Inc. (a) (b)

  12,029   381,079
Photronics, Inc. (a)

  23,593   584,163
Power Integrations, Inc.

  21,122   1,354,343
QuickLogic Corp. (a) (b)

  5,100   39,117
Rambus, Inc. (a)

  40,601   1,714,174
Rigetti Computing, Inc. (a) (b)

  56,200   44,010
Semtech Corp. (a)

  24,500   1,118,670
Silicon Laboratories, Inc. (a) (b)

  11,967   1,383,026
SiTime Corp. (a) (b)

  6,935   1,189,422
SkyWater Technology, Inc. (a) (b)

  11,100   100,788
SMART Global Holdings, Inc. (a) (b)

  19,380   406,011
Synaptics, Inc. (a)

  14,590   1,131,892
Ultra Clean Holdings, Inc. (a)

  16,598   662,758
Universal Display Corp.

  17,686   3,712,291
Veeco Instruments, Inc. (a)

  20,908   692,682
Wolfspeed, Inc. (a) (b)

  47,201   457,850
          75,435,080
SOFTWARE — 8.0%  
8x8, Inc. (a) (b)

  51,300   104,652
A10 Networks, Inc.

  26,400   381,216
ACI Worldwide, Inc. (a)

  39,686   2,020,017
Adeia, Inc. (b)

  41,136   489,930
Agilysys, Inc. (a)

  8,557   932,456
Airship AI Holdings, Inc. (a)

  4,700   10,810
Alarm.com Holdings, Inc. (a)

  18,200   994,994
Alkami Technology, Inc. (a)

  16,600   523,564
Altair Engineering, Inc. Class A (a) (b)

  21,353   2,039,425
American Software, Inc. Class A

  11,700   130,923
Amplitude, Inc. Class A (a) (b)

  27,600   247,572
Appfolio, Inc. Class A (a) (b)

  8,564   2,015,966
Appian Corp. Class A (a) (b)

  14,982   511,485
AppLovin Corp. Class A (a)

  100,400   13,107,220
Arteris, Inc. (a)

  10,800   83,376
Asana, Inc. Class A (a) (b)

  30,100   348,859
Aspen Technology, Inc. (a) (b)

  10,262   2,450,771
Asure Software, Inc. (a) (b)

  8,300   75,115
Atlassian Corp. Class A (a)

  60,112   9,546,387
AudioEye, Inc. (a)

  2,800   63,980
Aurora Innovation, Inc. (a) (b)

  353,000   2,089,760
AvePoint, Inc. (a)

  48,300   568,491
Bentley Systems, Inc. Class B

  53,600   2,723,416
Bill Holdings, Inc. (a)

  39,308   2,073,890
Bit Digital, Inc. (a)

  45,400   159,354
Blackbaud, Inc. (a)

  15,433   1,306,866
BlackLine, Inc. (a)

  21,762   1,199,957
Blend Labs, Inc. Class A (a)

  87,700   328,875
Box, Inc. Class A (a)

  53,027   1,735,574
 
See accompanying notes to Schedule of Investments.
180

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STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Braze, Inc. Class A (a)

  25,000   $808,500
C3.ai, Inc. Class A (a)

  31,900   772,937
CCC Intelligent Solutions Holdings, Inc. (a)

  173,100   1,912,755
Cerence, Inc. (a) (b)

  14,579   45,924
Cipher Mining, Inc. (a) (b)

  68,000   263,160
Cleanspark, Inc. (a) (b)

  86,100   804,174
Clear Secure, Inc. Class A (b)

  33,100   1,096,934
Clearwater Analytics Holdings, Inc. Class A (a)

  57,200   1,444,300
CommVault Systems, Inc. (a)

  16,220   2,495,447
Confluent, Inc. Class A (a)

  95,000   1,936,100
Consensus Cloud Solutions, Inc. (a)

  6,668   157,031
CS Disco, Inc. (a) (b)

  9,700   57,036
Daily Journal Corp. (a) (b)

  527   258,283
Datadog, Inc. Class A (a)

  114,462   13,169,998
Dave, Inc. (a) (b)

  3,000   119,880
Digimarc Corp. (a) (b)

  5,467   146,953
Digital Turbine, Inc. (a) (b)

  33,386   102,495
DocuSign, Inc. (a)

  77,749   4,827,435
Dolby Laboratories, Inc. Class A

  22,124   1,693,150
Domo, Inc. Class B (a) (b)

  11,144   83,691
DoubleVerify Holdings, Inc. (a)

  55,400   932,936
Dropbox, Inc. Class A (a)

  91,242   2,320,284
D-Wave Quantum, Inc. (a) (b)

  36,100   35,483
Dynatrace, Inc. (a)

  111,800   5,977,946
E2open Parent Holdings, Inc. (a)

  79,300   349,713
eGain Corp. (a)

  6,594   33,629
Elastic NV (a)

  31,220   2,396,447
Enfusion, Inc. Class A (a) (b)

  17,400   165,126
Envestnet, Inc. (a)

  19,099   1,195,979
EverCommerce, Inc. (a) (b)

  9,400   97,384
Five9, Inc. (a)

  28,296   812,944
Freshworks, Inc. Class A (a)

  78,200   897,736
Gitlab, Inc. Class A (a)

  45,400   2,339,916
Guidewire Software, Inc. (a)

  31,374   5,739,560
HashiCorp, Inc. Class A (a)

  53,900   1,825,054
HubSpot, Inc. (a)

  18,704   9,943,046
Hut 8 Corp. (a) (b)

  30,500   373,930
iLearningEngines Holdings, Inc. (a)

  12,400   20,708
Informatica, Inc. Class A (a)

  24,800   626,944
Instructure Holdings, Inc. (a) (b)

  8,200   193,110
Intapp, Inc. (a) (b)

  14,700   703,101
InterDigital, Inc. (b)

  9,473   1,341,661
Jamf Holding Corp. (a) (b)

  31,500   546,525
Kaltura, Inc. (a)

  41,400   56,304
Life360, Inc. (a)

  2,200   86,570
LiveRamp Holdings, Inc. (a)

  25,101   622,003
Manhattan Associates, Inc. (a)

  23,228   6,535,895
MARA Holdings, Inc. (a) (b)

  103,000   1,670,660
Matterport, Inc. (a)

  100,500   452,250
Meridianlink, Inc. (a) (b)

  10,100   207,757
MicroStrategy, Inc. Class A (a) (b)

  59,950   10,107,570
Security Description     Shares   Value
Mitek Systems, Inc. (a) (b)

  17,161   $148,786
N-able, Inc. (a)

  27,052   353,299
nCino, Inc. (a) (b)

  31,700   1,001,403
NCR Voyix Corp. (a) (b)

  54,567   740,474
NextNav, Inc. (a) (b)

  28,700   214,963
Nutanix, Inc. Class A (a)

  92,947   5,507,110
Olo, Inc. Class A (a)

  36,800   182,528
ON24, Inc. (a)

  10,000   61,200
OneSpan, Inc. (a)

  14,731   245,566
Pagaya Technologies Ltd. Class A (a)

  18,100   191,317
PagerDuty, Inc. (a)

  35,298   654,778
Pegasystems, Inc.

  17,136   1,252,470
Porch Group, Inc. (a) (b)

  26,800   41,138
Prairie Operating Co. (a)

  2,000   17,520
Procore Technologies, Inc. (a)

  40,400   2,493,488
Progress Software Corp. (b)

  16,038   1,080,480
PROS Holdings, Inc. (a) (b)

  16,900   312,988
Q2 Holdings, Inc. (a) (b)

  22,238   1,773,925
Qualys, Inc. (a)

  13,895   1,784,952
Rapid7, Inc. (a)

  23,225   926,445
Red Violet, Inc. (a)

  3,800   108,110
Rekor Systems, Inc. (a) (b)

  29,800   35,164
ReposiTrak, Inc. (b)

  4,300   79,421
Rimini Street, Inc. (a)

  16,300   30,155
RingCentral, Inc. Class A (a)

  31,578   998,812
Riot Platforms, Inc. (a) (b)

  107,714   799,238
Roadzen, Inc. (a)

  2,000   2,380
Sapiens International Corp. NV

  11,300   421,151
SEMrush Holdings, Inc. Class A (a)

  13,700   215,227
SentinelOne, Inc. Class A (a) (b)

  105,300   2,518,776
Silvaco Group, Inc. (a)

  2,600   37,180
Smartsheet, Inc. Class A (a)

  51,255   2,837,477
SolarWinds Corp. (b)

  19,851   259,056
SoundHound AI, Inc. Class A (a) (b)

  109,800   511,668
SoundThinking, Inc. (a)

  3,300   38,247
Sprinklr, Inc. Class A (a) (b)

  49,200   380,316
Sprout Social, Inc. Class A (a) (b)

  18,347   533,347
SPS Commerce, Inc. (a)

  13,997   2,717,797
Telos Corp. (a) (b)

  20,300   72,877
Tenable Holdings, Inc. (a)

  44,500   1,803,140
Teradata Corp. (a)

  36,975   1,121,822
Terawulf, Inc. (a) (b)

  87,300   408,564
UiPath, Inc. Class A (a) (b)

  170,400   2,181,120
Unity Software, Inc. (a) (b)

  114,200   2,583,204
Varonis Systems, Inc. (a)

  41,579   2,349,214
Verint Systems, Inc. (a)

  23,029   583,325
Vertex, Inc. Class A (a) (b)

  20,400   785,604
Viant Technology, Inc. Class A (a)

  4,700   52,029
Weave Communications, Inc. (a)

  14,800   189,440
WM Technology, Inc. (a)

  40,500   35,235
Workday, Inc. Class A (a)

  80,994   19,795,744
 
See accompanying notes to Schedule of Investments.
181

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Workiva, Inc. (a)

  19,100   $1,511,192
Xperi, Inc. (a)

  16,014   147,969
Yext, Inc. (a)

  39,907   276,156
Zeta Global Holdings Corp. Class A (a) (b)

  67,400   2,010,542
Zoom Video Communications, Inc. Class A (a)

  100,925   7,038,509
Zscaler, Inc. (a) (b)

  35,029   5,987,857
Zuora, Inc. Class A (a)

  54,100   466,342
          219,977,492
SPECIALIZED REITs — 0.8%  
CubeSmart REIT

  84,788   4,564,138
EPR Properties REIT

  28,349   1,390,235
Farmland Partners, Inc. REIT (b)

  15,700   164,065
Four Corners Property Trust, Inc. REIT

  34,909   1,023,183
Gaming & Leisure Properties, Inc. REIT

  98,464   5,065,973
Gladstone Land Corp. REIT

  12,800   177,920
Lamar Advertising Co. Class A REIT

  32,955   4,402,788
National Storage Affiliates Trust REIT

  26,110   1,258,502
Outfront Media, Inc. REIT

  55,967   1,028,673
PotlatchDeltic Corp. REIT

  29,856   1,345,013
Rayonier, Inc. REIT

  56,127   1,806,167
Safehold, Inc. REIT (b)

  20,036   525,544
Uniti Group, Inc. REIT

  90,070   507,995
          23,260,196
SPECIALTY RETAIL — 2.9%  
1-800-Flowers.com, Inc. Class A (a) (b)

  8,500   67,405
Aaron's Co., Inc.

  12,248   121,868
Abercrombie & Fitch Co. Class A (a)

  18,742   2,622,006
Academy Sports & Outdoors, Inc. (b)

  26,700   1,558,212
Advance Auto Parts, Inc. (b)

  22,900   892,871
American Eagle Outfitters, Inc.

  68,728   1,538,820
America's Car-Mart, Inc. (a) (b)

  2,151   90,170
Arhaus, Inc. (b)

  19,000   233,890
Arko Corp. (b)

  31,200   219,024
Asbury Automotive Group, Inc. (a) (b)

  7,702   1,837,620
AutoNation, Inc. (a)

  9,669   1,729,977
BARK, Inc. (a) (b)

  52,000   84,760
Bath & Body Works, Inc.

  86,500   2,761,080
Beyond, Inc. (a) (b)

  16,882   170,171
Boot Barn Holdings, Inc. (a) (b)

  11,100   1,856,808
Buckle, Inc. (b)

  11,887   522,671
Build-A-Bear Workshop, Inc. (b)

  4,800   164,976
Burlington Stores, Inc. (a)

  24,014   6,327,209
Caleres, Inc.

  12,490   412,795
Camping World Holdings, Inc. Class A (b)

  15,427   373,642
Carvana Co. (a)

  41,395   7,207,283
Security Description     Shares   Value
Citi Trends, Inc. (a) (b)

  3,000   $55,110
Designer Brands, Inc. Class A (b)

  15,456   114,065
Destination XL Group, Inc. (a) (b)

  18,700   54,978
Dick's Sporting Goods, Inc.

  21,182   4,420,683
EVgo, Inc. (a)

  36,900   152,766
Five Below, Inc. (a)

  20,624   1,822,130
Floor & Decor Holdings, Inc. Class A (a) (b)

  39,856   4,948,920
Foot Locker, Inc.

  31,331   809,593
GameStop Corp. Class A (a) (b)

  142,124   3,258,903
Gap, Inc. (b)

  76,100   1,678,005
Genesco, Inc. (a)

  4,305   116,967
Group 1 Automotive, Inc.

  5,008   1,918,264
GrowGeneration Corp. (a) (b)

  19,700   41,961
Haverty Furniture Cos., Inc.

  5,405   148,475
J Jill, Inc.

  1,600   39,472
Lands' End, Inc. (a) (b)

  5,500   94,985
Leslie's, Inc. (a)

  66,371   209,732
Lithia Motors, Inc. (b)

  10,329   3,280,904
MarineMax, Inc. (a) (b)

  8,276   291,895
Monro, Inc.

  11,198   323,174
Murphy USA, Inc. (b)

  7,070   3,484,591
National Vision Holdings, Inc. (a)

  29,025   316,663
ODP Corp. (a) (b)

  13,418   399,186
OneWater Marine, Inc. Class A (a) (b)

  4,400   105,204
Penske Automotive Group, Inc.

  6,989   1,135,153
Petco Health & Wellness Co., Inc. (a) (b)

  31,300   142,415
RealReal, Inc. (a) (b)

  36,000   113,040
Revolve Group, Inc. (a) (b)

  14,700   364,266
RH (a) (b)

  5,660   1,892,874
RumbleON, Inc. Class B (a) (b)

  5,900   28,261
Sally Beauty Holdings, Inc. (a)

  38,848   527,167
Shoe Carnival, Inc. (b)

  6,600   289,410
Signet Jewelers Ltd. (b)

  16,100   1,660,554
Sleep Number Corp. (a) (b)

  8,217   150,535
Sonic Automotive, Inc. Class A

  5,436   317,897
Stitch Fix, Inc. Class A (a) (b)

  31,746   89,524
ThredUp, Inc. Class A (a)

  23,500   19,787
Tile Shop Holdings, Inc. (a) (b)

  9,600   63,264
Tilly's, Inc. Class A (a) (b)

  8,237   42,009
Torrid Holdings, Inc. (a)

  3,500   13,755
Upbound Group, Inc.

  20,254   647,925
Urban Outfitters, Inc. (a)

  24,250   929,018
Valvoline, Inc. (a)

  49,041   2,052,366
Victoria's Secret & Co. (a) (b)

  29,700   763,290
Warby Parker, Inc. Class A (a)

  32,500   530,725
Wayfair, Inc. Class A (a) (b)

  35,970   2,020,795
Williams-Sonoma, Inc. (b)

  48,260   7,476,439
Winmark Corp.

  1,074   411,267
Zumiez, Inc. (a)

  5,700   121,410
          80,683,030
 
See accompanying notes to Schedule of Investments.
182

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STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS — 0.3%  
CompoSecure, Inc. Class A (b)

  9,200   $128,984
Corsair Gaming, Inc. (a) (b)

  15,900   110,664
CPI Card Group, Inc. (a)

  1,700   47,311
Diebold Nixdorf, Inc. (a)

  9,500   424,270
Eastman Kodak Co. (a) (b)

  21,400   101,008
Immersion Corp. (b)

  12,000   107,040
IonQ, Inc. (a) (b)

  75,100   656,374
Pure Storage, Inc. Class A (a)

  116,575   5,856,728
Turtle Beach Corp. (a)

  6,000   92,040
Xerox Holdings Corp. (b)

  43,700   453,606
          7,978,025
TEXTILES, APPAREL & LUXURY GOODS — 0.9%  
Amer Sports, Inc. (a) (b)

  22,500   358,875
Birkenstock Holding PLC (a) (b)

  15,000   739,350
Capri Holdings Ltd. (a)

  43,191   1,833,026
Carter's, Inc. (b)

  13,460   874,631
Columbia Sportswear Co. (b)

  12,620   1,049,858
Crocs, Inc. (a)

  22,520   3,261,121
Figs, Inc. Class A (a)

  48,800   333,792
G-III Apparel Group Ltd. (a)

  15,181   463,324
Hanesbrands, Inc. (a) (b)

  132,800   976,080
Kontoor Brands, Inc.

  20,900   1,709,202
Movado Group, Inc.

  5,661   105,295
Oxford Industries, Inc. (b)

  5,630   488,459
PVH Corp.

  21,100   2,127,513
Rocky Brands, Inc. (b)

  2,405   76,623
Skechers USA, Inc. Class A (a)

  49,934   3,341,583
Steven Madden Ltd. (b)

  27,513   1,347,862
Superior Group of Cos., Inc.

  4,800   74,352
Under Armour, Inc. Class A (a)

  61,500   547,965
Under Armour, Inc. Class C (a) (b)

  85,300   713,108
Vera Bradley, Inc. (a) (b)

  10,400   56,784
VF Corp. (b)

  134,200   2,677,290
Wolverine World Wide, Inc. (b)

  29,380   511,799
          23,667,892
TOBACCO — 0.1%  
Ispire Technology, Inc. (a) (b)

  6,200   38,471
Turning Point Brands, Inc.

  6,200   267,530
Universal Corp.

  9,041   480,168
Vector Group Ltd.

  56,196   838,444
          1,624,613
TRADING COMPANIES & DISTRIBUTORS — 2.1%  
Air Lease Corp. (b)

  39,956   1,809,607
Alta Equipment Group, Inc. (b)

  9,400   63,356
Applied Industrial Technologies, Inc.

  14,301   3,190,982
Beacon Roofing Supply, Inc. (a)

  24,003   2,074,579
BlueLinx Holdings, Inc. (a)

  3,100   326,802
Boise Cascade Co.

  15,001   2,114,841
Core & Main, Inc. Class A (a)

  72,800   3,232,320
Security Description     Shares   Value
Custom Truck One Source, Inc. (a)

  19,100   $65,895
Distribution Solutions Group, Inc. (a) (b)

  3,790   145,953
DNOW, Inc. (a)

  40,319   521,325
DXP Enterprises, Inc. (a)

  4,800   256,128
EVI Industries, Inc.

  2,400   46,392
Ferguson Enterprises, Inc.

  77,400   15,369,318
FTAI Aviation Ltd. (b)

  38,200   5,076,780
GATX Corp.

  13,331   1,765,691
Global Industrial Co.

  4,800   163,056
GMS, Inc. (a)

  15,100   1,367,607
H&E Equipment Services, Inc.

  12,500   608,500
Herc Holdings, Inc.

  10,638   1,696,016
Hudson Technologies, Inc. (a)

  17,500   145,950
Karat Packaging, Inc.

  2,300   59,547
McGrath RentCorp

  9,200   968,576
MRC Global, Inc. (a)

  30,900   393,666
MSC Industrial Direct Co., Inc. Class A

  17,399   1,497,358
Rush Enterprises, Inc. Class A

  23,275   1,229,618
Rush Enterprises, Inc. Class B

  2,850   136,658
SiteOne Landscape Supply, Inc. (a) (b)

  17,133   2,585,541
Titan Machinery, Inc. (a) (b)

  7,300   101,689
Transcat, Inc. (a)

  3,500   422,695
Watsco, Inc.

  13,103   6,445,104
WESCO International, Inc.

  16,508   2,773,014
Willis Lease Finance Corp.

  1,100   163,691
Xometry, Inc. Class A (a) (b)

  15,500   284,735
          57,102,990
TRANSPORTATION INFRASTRUCTURE — 0.0% (e)  
Sky Harbour Group Corp. (a) (b)

  4,200   46,368
WATER UTILITIES — 0.3%  
American States Water Co.

  14,201   1,182,801
Cadiz, Inc. (a) (b)

  12,500   37,875
California Water Service Group

  21,889   1,186,822
Consolidated Water Co. Ltd. (b)

  5,800   146,218
Essential Utilities, Inc.

  95,239   3,673,368
Global Water Resources, Inc.

  3,800   47,842
Middlesex Water Co. (b)

  6,723   438,608
Pure Cycle Corp. (a)

  7,800   84,006
SJW Group

  12,687   737,242
York Water Co.

  5,100   191,046
          7,725,828
WIRELESS TELECOMMUNICATION SERVICES — 0.0% (e)  
Gogo, Inc. (a) (b)

  24,910   178,854
Spok Holdings, Inc.

  7,100   106,926
Telephone & Data Systems, Inc.

  37,100   862,575
          1,148,355
TOTAL COMMON STOCKS

(Cost $2,224,319,530)

        2,734,671,529
 
See accompanying notes to Schedule of Investments.
183

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
RIGHTS — 0.0% (e)          
REAL ESTATE MANAGEMENT & DEVELOPMENT — 0.0% (e)          
Seaport Entertainment Group, Inc. (expiring 10/10/24) (a) (b)

(Cost $0)

    1,348   $3,977
WARRANTS — 0.0% (e)          
CHEMICALS — 0.0% (e)          
Danimer Scientific, Inc. (expiring 07/15/25) (a)

    9,200   736
HEALTH CARE EQUIPMENT & SUPPLIES — 0.0% (e)          
Pulse Biosciences, Inc. (expiring 06/26/29) (a) (b)

    662   2,164
Pulse Biosciences, Inc. (expiring 06/27/29) (a) (b)

    662   2,165
          4,329
TOTAL WARRANTS

(Cost $0)

        5,065
SHORT-TERM INVESTMENTS — 3.4%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (f) (g)

  17,687,972   17,687,972
State Street Navigator Securities Lending Portfolio II (h) (i)

  75,754,983   75,754,983
TOTAL SHORT-TERM INVESTMENTS

(Cost $93,442,955)

  93,442,955  
TOTAL INVESTMENTS — 102.7%

(Cost $2,317,762,485)

  2,828,123,526  
LIABILITIES IN EXCESS OF OTHER ASSETS — (2.7)%

  (74,941,279)  
NET ASSETS — 100.0%

  $2,753,182,247  
    
(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at September 30, 2024.
(c) Reflects separate holdings of the issuer's common stock traded on different securities exchanges.
(d) Fair valued as determined in good faith by the Trust's Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of September 30, 2024, total aggregate fair value of the securities is $0, representing 0.00% of the Fund's net assets.
(e) Amount is less than 0.05% of net assets.
(f) The Portfolio invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(g) The rate shown is the annualized seven-day yield at September 30, 2024.
(h) The Portfolio invested in an affiliated entity. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(i) Investment of cash collateral for securities loaned.
REIT Real Estate Investment Trust
 
At September 30, 2024, open futures contracts were as follows:
Description   Number of
Contracts
  Expiration
Date
  Notional
Amount
  Value   Unrealized
Appreciation
(Depreciation)
E-mini Russell 2000 Index (long)   85   12/20/2024   $9,226,841   $9,559,100   $332,259
E-mini S&P MidCap 400 Index (long)   32   12/20/2024   9,811,278   10,075,520   264,242
                    $596,501
See accompanying notes to Schedule of Investments.
184

Table of Contents
STATE STREET SMALL/MID CAP EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

The following table summarizes the value of the Portfolio’s investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                 
INVESTMENTS:                
Common Stocks

  $2,734,659,847   $11,682   $0(a)   $2,734,671,529
Rights

  3,977       3,977
Warrants

  736   4,329     5,065
Short-Term Investments

  93,442,955       93,442,955
TOTAL INVESTMENTS

  $2,828,107,515   $16,011   $0   $2,828,123,526
OTHER FINANCIAL INSTRUMENTS:                
Futures Contracts - Unrealized Appreciation

  $596,501   $  $—   $596,501
TOTAL OTHER FINANCIAL INSTRUMENTS:

  $596,501   $  $—   $596,501
(a) The Portfolio held Level 3 securities that were valued at $0 at September 30, 2024.
 
Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
State Street Institutional Liquid Reserves Fund, Premier Class

18,667,676   $18,675,143   $226,735,744   $245,407,906   $(1,842)   $(1,139)     $  $831,398
State Street Institutional U.S. Government Money Market Fund, Class G Shares

    45,715,216   28,027,244       17,687,972   17,687,972   48,081
State Street Navigator Securities Lending Portfolio II

137,781,840   137,781,840   363,073,817   425,100,674       75,754,983   75,754,983   1,159,955
Total

    $156,456,983   $635,524,777   $698,535,824   $(1,842)   $(1,139)       $93,442,955   $2,039,434
See accompanying notes to Schedule of Investments.
185

Table of Contents

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
COMMON STOCKS — 59.8%   
AEROSPACE & DEFENSE — 0.9%  
AAR Corp. (a)

  67   $4,379
AeroVironment, Inc. (a)

  41   8,221
Axon Enterprise, Inc. (a)

  98   39,161
Boeing Co. (a)

  796   121,024
BWX Technologies, Inc.

  127   13,805
Cadre Holdings, Inc.

  61   2,315
Curtiss-Wright Corp.

  51   16,763
Ducommun, Inc. (a)

  48   3,160
General Dynamics Corp.

  357   107,885
HEICO Corp.

  47   12,290
HEICO Corp. Class A

  115   23,432
Hexcel Corp.

  116   7,172
Howmet Aerospace, Inc.

  560   56,140
Huntington Ingalls Industries, Inc.

  57   15,070
Kratos Defense & Security Solutions, Inc. (a)

  289   6,734
L3Harris Technologies, Inc.

  258   61,370
Leonardo DRS, Inc. (a)

  109   3,076
Lockheed Martin Corp.

  289   168,938
Mercury Systems, Inc. (a)

  70   2,590
Moog, Inc. Class A

  47   9,495
Northrop Grumman Corp.

  187   98,749
Rocket Lab USA, Inc. (a) (b)

  309   3,007
RTX Corp.

  1,830   221,723
Spirit AeroSystems Holdings, Inc. Class A (a)

  185   6,014
Textron, Inc.

  240   21,259
TransDigm Group, Inc.

  77   109,889
Triumph Group, Inc. (a)

  147   1,895
Woodward, Inc.

  91   15,607
          1,161,163
AIR FREIGHT & LOGISTICS — 0.2%  
Air Transport Services Group, Inc. (a)

  97   1,570
CH Robinson Worldwide, Inc.

  162   17,880
Expeditors International of Washington, Inc.

  183   24,046
FedEx Corp.

  304   83,199
GXO Logistics, Inc. (a)

  182   9,477
Hub Group, Inc. Class A

  54   2,454
United Parcel Service, Inc. Class B

  1,047   142,748
          281,374
AIRLINES — 0.1%  
Alaska Air Group, Inc. (a)

  201   9,087
American Airlines Group, Inc. (a)

  971   10,914
Delta Air Lines, Inc.

  893   45,356
JetBlue Airways Corp. (a)

  311   2,040
Joby Aviation, Inc. (a)

  405   2,037
SkyWest, Inc. (a)

  39   3,316
Southwest Airlines Co. (b)

  858   25,423
United Airlines Holdings, Inc. (a)

  454   25,905
          124,078
Security Description     Shares   Value
AUTO COMPONENTS — 0.1%  
Adient PLC (a)

  140   $3,160
Aptiv PLC (a)

  352   25,347
Autoliv, Inc.

  90   8,403
BorgWarner, Inc.

  268   9,726
Dana, Inc.

  326   3,442
Dorman Products, Inc. (a)

  30   3,394
Fox Factory Holding Corp. (a)

  97   4,025
Garrett Motion, Inc. (a)

  234   1,914
Gentex Corp.

  258   7,660
Gentherm, Inc. (a)

  85   3,957
Goodyear Tire & Rubber Co. (a)

  661   5,850
LCI Industries

  53   6,389
Lear Corp.

  71   7,750
Mobileye Global, Inc. Class A (a) (b)

  118   1,617
Modine Manufacturing Co. (a)

  59   7,835
Patrick Industries, Inc.

  33   4,698
Phinia, Inc.

  86   3,959
QuantumScape Corp. (a)

  544   3,128
Visteon Corp. (a)

  43   4,095
XPEL, Inc. (a)

  39   1,691
          118,040
AUTOMOBILES — 0.9%  
Ford Motor Co.

  5,160   54,490
General Motors Co.

  1,492   66,901
Harley-Davidson, Inc.

  182   7,012
Lucid Group, Inc. (a)

  1,678   5,923
Rivian Automotive, Inc. Class A (a) (b)

  1,049   11,770
Tesla, Inc. (a)

  3,841   1,004,921
Thor Industries, Inc. (b)

  83   9,121
Winnebago Industries, Inc.

  70   4,068
          1,164,206
BANKS — 2.5%  
1st Source Corp.

  61   3,653
Ameris Bancorp

  99   6,177
Associated Banc-Corp.

  221   4,760
Atlantic Union Bankshares Corp.

  181   6,818
Axos Financial, Inc. (a)

  74   4,653
Banc of California, Inc.

  424   6,246
BancFirst Corp.

  46   4,841
Bancorp, Inc. (a)

  33   1,766
Bank First Corp.

  28   2,540
Bank of America Corp.

  9,131   362,318
Bank of Hawaii Corp.

  64   4,017
Bank of New York Mellon Corp.

  990   71,141
Bank OZK

  115   4,944
BankUnited, Inc.

  126   4,591
Banner Corp.

  79   4,705
Bar Harbor Bankshares

  109   3,362
Berkshire Hills Bancorp, Inc.

  153   4,120
BOK Financial Corp.

  39   4,080
Brookline Bancorp, Inc.

  731   7,376
Burke & Herbert Financial Services Corp.

  32   1,952
 
See accompanying notes to Schedule of Investments.
187

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Business First Bancshares, Inc.

  115   $2,952
Byline Bancorp, Inc.

  131   3,507
Cadence Bank

  256   8,154
Camden National Corp.

  78   3,223
Capitol Federal Financial, Inc.

  414   2,418
Cathay General Bancorp

  244   10,480
Citigroup, Inc.

  2,689   168,331
Citizens Financial Group, Inc.

  467   19,180
Columbia Banking System, Inc.

  291   7,598
Comerica, Inc.

  178   10,664
Commerce Bancshares, Inc.

  120   7,128
Community Financial System, Inc.

  111   6,446
Community Trust Bancorp, Inc.

  73   3,625
ConnectOne Bancorp, Inc.

  129   3,231
Cullen/Frost Bankers, Inc.

  85   9,508
Customers Bancorp, Inc. (a)

  47   2,183
CVB Financial Corp.

  228   4,063
Dime Community Bancshares, Inc.

  91   2,621
East West Bancorp, Inc.

  179   14,810
Eastern Bankshares, Inc.

  338   5,540
Enterprise Financial Services Corp.

  100   5,126
Farmers National Banc Corp.

  213   3,221
Fifth Third Bancorp

  835   35,771
First BanCorp

  273   5,779
First Bancorp/Southern Pines NC

  116   4,824
First Bancshares, Inc.

  82   2,635
First Citizens BancShares, Inc. Class A

  16   29,455
First Community Bankshares, Inc.

  82   3,538
First Financial Bancorp

  192   4,844
First Financial Bankshares, Inc.

  113   4,182
First Hawaiian, Inc.

  200   4,630
First Horizon Corp.

  656   10,188
First Interstate BancSystem, Inc. Class A

  165   5,062
First Merchants Corp.

  164   6,101
First Mid Bancshares, Inc.

  76   2,957
FNB Corp.

  561   7,916
Fulton Financial Corp.

  208   3,771
German American Bancorp, Inc.

  70   2,712
Glacier Bancorp, Inc.

  187   8,546
Goldman Sachs Group, Inc.

  441   218,344
Hancock Whitney Corp.

  102   5,219
Heartland Financial USA, Inc.

  102   5,783
Heritage Commerce Corp.

  341   3,369
Heritage Financial Corp.

  172   3,744
Home BancShares, Inc.

  182   4,930
Horizon Bancorp, Inc.

  209   3,250
Huntington Bancshares, Inc.

  1,749   25,710
Independent Bank Corp. (c)

  89   5,263
Independent Bank Corp. (c)

  100   3,335
Independent Bank Group, Inc.

  109   6,285
International Bancshares Corp.

  92   5,501
JPMorgan Chase & Co.

  3,885   819,191
KeyCorp

  1,098   18,391
Live Oak Bancshares, Inc.

  87   4,121
Security Description     Shares   Value
M&T Bank Corp.

  218   $38,830
Mercantile Bank Corp.

  69   3,017
Metrocity Bankshares, Inc.

  86   2,633
Morgan Stanley

  1,745   181,899
NBT Bancorp, Inc.

  127   5,617
New York Community Bancorp, Inc.

  562   6,311
Nicolet Bankshares, Inc.

  34   3,251
Northern Trust Corp.

  257   23,138
OceanFirst Financial Corp.

  184   3,421
OFG Bancorp

  84   3,773
Old National Bancorp

  389   7,259
Old Second Bancorp, Inc.

  178   2,775
Origin Bancorp, Inc.

  100   3,216
Pacific Premier Bancorp, Inc.

  202   5,082
Park National Corp.

  38   6,383
Peoples Bancorp, Inc.

  85   2,558
Pinnacle Financial Partners, Inc.

  102   9,993
PNC Financial Services Group, Inc.

  536   99,080
Popular, Inc.

  94   9,425
Preferred Bank

  38   3,049
Premier Financial Corp.

  143   3,358
Prosperity Bancshares, Inc.

  105   7,567
Provident Financial Services, Inc.

  279   5,178
QCR Holdings, Inc.

  46   3,405
Regions Financial Corp.

  1,038   24,217
Renasant Corp.

  125   4,062
Republic Bancorp, Inc. Class A

  47   3,069
Seacoast Banking Corp. of Florida

  184   4,904
ServisFirst Bancshares, Inc.

  63   5,068
Simmons First National Corp. Class A

  288   6,204
Southside Bancshares, Inc.

  81   2,708
SouthState Corp.

  97   9,426
State Street Corp. (d)

  400   35,388
Stellar Bancorp, Inc.

  138   3,573
Stock Yards Bancorp, Inc.

  85   5,269
Synovus Financial Corp.

  175   7,782
Texas Capital Bancshares, Inc. (a)

  63   4,502
TFS Financial Corp.

  103   1,325
Tompkins Financial Corp.

  65   3,756
Towne Bank

  183   6,050
Triumph Financial, Inc. (a)

  51   4,057
Truist Financial Corp.

  1,797   76,858
TrustCo Bank Corp.

  111   3,671
Trustmark Corp.

  140   4,455
U.S. Bancorp

  2,246   102,710
UMB Financial Corp.

  70   7,358
United Bankshares, Inc.

  172   6,381
United Community Banks, Inc.

  221   6,427
Univest Financial Corp.

  120   3,377
Valley National Bancorp

  459   4,159
Veritex Holdings, Inc.

  146   3,843
WaFd, Inc.

  152   5,297
Webster Financial Corp.

  186   8,669
Wells Fargo & Co.

  4,679   264,317
Western Alliance Bancorp

  144   12,455
 
See accompanying notes to Schedule of Investments.
188

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Wintrust Financial Corp.

  90   $9,768
WSFS Financial Corp.

  110   5,609
Zions Bancorp NA

  212   10,011
          3,200,359
BEVERAGES — 0.7%  
Boston Beer Co., Inc. Class A (a)

  24   6,939
Brown-Forman Corp. Class A

  159   7,645
Brown-Forman Corp. Class B

  187   9,200
Celsius Holdings, Inc. (a)

  236   7,401
Coca-Cola Co.

  5,250   377,265
Coca-Cola Consolidated, Inc.

  9   11,848
Constellation Brands, Inc. Class A

  208   53,600
Keurig Dr. Pepper, Inc.

  1,417   53,109
MGP Ingredients, Inc.

  49   4,079
Molson Coors Beverage Co. Class B

  250   14,380
Monster Beverage Corp. (a)

  964   50,292
National Beverage Corp.

  44   2,065
PepsiCo, Inc.

  1,867   317,483
Vita Coco Co., Inc. (a) (b)

  60   1,699
          917,005
BIOTECHNOLOGY — 1.4%  
AbbVie, Inc.

  2,444   482,641
ACADIA Pharmaceuticals, Inc. (a)

  204   3,137
ADMA Biologics, Inc. (a)

  388   7,756
Agios Pharmaceuticals, Inc. (a)

  48   2,133
Akero Therapeutics, Inc. (a)

  143   4,103
Alkermes PLC (a)

  262   7,333
Alnylam Pharmaceuticals, Inc. (a)

  177   48,680
Amgen, Inc.

  757   243,913
Amicus Therapeutics, Inc. (a)

  554   5,917
AnaptysBio, Inc. (a)

  65   2,177
Apellis Pharmaceuticals, Inc. (a)

  188   5,422
Apogee Therapeutics, Inc. (a)

  42   2,467
Arbutus Biopharma Corp. (a) (b)

  633   2,437
Arcellx, Inc. (a)

  55   4,593
Arcus Biosciences, Inc. (a)

  154   2,355
Ardelyx, Inc. (a)

  179   1,233
Arrowhead Pharmaceuticals, Inc. (a)

  288   5,579
Avidity Biosciences, Inc. (a)

  174   7,992
Beam Therapeutics, Inc. (a)

  163   3,993
BioCryst Pharmaceuticals, Inc. (a)

  305   2,318
Biogen, Inc. (a)

  204   39,543
Biohaven Ltd. (a)

  136   6,796
BioMarin Pharmaceutical, Inc. (a)

  272   19,119
Blueprint Medicines Corp. (a)

  98   9,065
Bridgebio Pharma, Inc. (a)

  148   3,768
CareDx, Inc. (a)

  44   1,374
Cargo Therapeutics, Inc. (a)

  69   1,273
Catalyst Pharmaceuticals, Inc. (a)

  146   2,902
Celldex Therapeutics, Inc. (a)

  46   1,563
CG oncology, Inc. (a)

  60   2,264
Cogent Biosciences, Inc. (a)

  167   1,804
Crinetics Pharmaceuticals, Inc. (a)

  150   7,665
CRISPR Therapeutics AG (a) (b)

  140   6,577
Security Description     Shares   Value
Cytokinetics, Inc. (a)

  178   $9,398
Day One Biopharmaceuticals, Inc. (a) (b)

  185   2,577
Denali Therapeutics, Inc. (a)

  220   6,409
Disc Medicine, Inc. (a)

  41   2,015
Dynavax Technologies Corp. (a)

  371   4,133
Dyne Therapeutics, Inc. (a)

  151   5,424
Exact Sciences Corp. (a)

  266   18,120
Exelixis, Inc. (a)

  418   10,847
Geron Corp. (a)

  1,199   5,443
Gilead Sciences, Inc.

  1,708   143,199
Halozyme Therapeutics, Inc. (a)

  179   10,246
Ideaya Biosciences, Inc. (a)

  195   6,178
Immunovant, Inc. (a)

  141   4,020
Incyte Corp. (a)

  208   13,749
Insmed, Inc. (a)

  250   18,250
Intellia Therapeutics, Inc. (a)

  80   1,644
Ionis Pharmaceuticals, Inc. (a)

  243   9,735
Iovance Biotherapeutics, Inc. (a)

  311   2,920
Janux Therapeutics, Inc. (a)

  34   1,545
Keros Therapeutics, Inc. (a)

  73   4,239
Krystal Biotech, Inc. (a)

  44   8,009
Kura Oncology, Inc. (a)

  218   4,260
Kymera Therapeutics, Inc. (a)

  60   2,840
Madrigal Pharmaceuticals, Inc. (a) (b)

  27   5,730
MannKind Corp. (a)

  626   3,937
MiMedx Group, Inc. (a)

  371   2,193
Mirum Pharmaceuticals, Inc. (a)

  103   4,017
Moderna, Inc. (a)

  470   31,410
Myriad Genetics, Inc. (a)

  111   3,040
Natera, Inc. (a)

  173   21,962
Neurocrine Biosciences, Inc. (a)

  127   14,633
Novavax, Inc. (a)

  113   1,427
Nurix Therapeutics, Inc. (a)

  80   1,798
Nuvalent, Inc. Class A (a)

  67   6,854
Protagonist Therapeutics, Inc. (a)

  65   2,925
Prothena Corp. PLC (a)

  119   1,991
PTC Therapeutics, Inc. (a)

  161   5,973
Recursion Pharmaceuticals, Inc. Class A (a) (b)

  345   2,273
Regeneron Pharmaceuticals, Inc. (a)

  144   151,379
REVOLUTION Medicines, Inc. (a)

  242   10,975
Rhythm Pharmaceuticals, Inc. (a)

  47   2,462
Rocket Pharmaceuticals, Inc. (a)

  175   3,232
Roivant Sciences Ltd. (a)

  714   8,240
Sarepta Therapeutics, Inc. (a)

  135   16,860
Soleno Therapeutics, Inc. (a)

  42   2,121
SpringWorks Therapeutics, Inc. (a)

  168   5,383
Spyre Therapeutics, Inc. (a) (b)

  55   1,618
Summit Therapeutics, Inc. (a)

  242   5,300
Syndax Pharmaceuticals, Inc. (a)

  246   4,735
TG Therapeutics, Inc. (a) (b)

  109   2,549
Travere Therapeutics, Inc. (a)

  123   1,721
Twist Bioscience Corp. (a)

  70   3,163
 
See accompanying notes to Schedule of Investments.
189

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Ultragenyx Pharmaceutical, Inc. (a)

  162   $8,999
United Therapeutics Corp. (a)

  62   22,218
Vaxcyte, Inc. (a)

  139   15,883
Vera Therapeutics, Inc. (a)

  25   1,105
Veracyte, Inc. (a)

  93   3,166
Vericel Corp. (a)

  67   2,831
Vertex Pharmaceuticals, Inc. (a)

  351   163,243
Viking Therapeutics, Inc. (a)

  156   9,876
Vir Biotechnology, Inc. (a)

  341   2,554
Viridian Therapeutics, Inc. (a)

  104   2,366
Xencor, Inc. (a)

  134   2,695
          1,809,929
BROADLINE RETAIL — 1.9%  
Amazon.com, Inc. (a)

  12,857   2,395,645
Dillard's, Inc. Class A (b)

  5   1,918
eBay, Inc.

  675   43,949
Etsy, Inc. (a)

  156   8,663
Kohl's Corp. (b)

  90   1,899
Macy's, Inc.

  482   7,562
Nordstrom, Inc.

  177   3,981
Ollie's Bargain Outlet Holdings, Inc. (a)

  83   8,068
          2,471,685
BUILDING PRODUCTS — 0.5%  
A.O. Smith Corp.

  173   15,541
AAON, Inc.

  102   11,000
Advanced Drainage Systems, Inc.

  92   14,459
Allegion PLC

  136   19,821
American Woodmark Corp. (a)

  44   4,112
Apogee Enterprises, Inc.

  59   4,131
Armstrong World Industries, Inc.

  66   8,674
AZEK Co., Inc. (a)

  187   8,752
AZZ, Inc.

  37   3,056
Builders FirstSource, Inc. (a)

  156   30,242
Carlisle Cos., Inc.

  60   26,985
Carrier Global Corp.

  1,138   91,598
CSW Industrials, Inc.

  25   9,160
Fortune Brands Innovations, Inc.

  180   16,115
Gibraltar Industries, Inc. (a)

  65   4,545
Griffon Corp.

  43   3,010
Hayward Holdings, Inc. (a)

  277   4,249
Janus International Group, Inc. (a)

  212   2,143
JELD-WEN Holding, Inc. (a)

  156   2,466
Johnson Controls International PLC

  895   69,461
Lennox International, Inc.

  43   25,984
Masco Corp.

  322   27,029
Masterbrand, Inc. (a)

  315   5,840
Owens Corning

  111   19,594
Quanex Building Products Corp.

  148   4,107
Resideo Technologies, Inc. (a)

  177   3,565
Simpson Manufacturing Co., Inc.

  61   11,667
Tecnoglass, Inc. (b)

  28   1,922
Trane Technologies PLC

  320   124,394
Trex Co., Inc. (a)

  121   8,056
UFP Industries, Inc.

  84   11,022
Security Description     Shares   Value
Zurn Elkay Water Solutions Corp.

  148   $5,319
          598,019
CAPITAL MARKETS — 1.4%  
Affiliated Managers Group, Inc.

  40   7,112
Ameriprise Financial, Inc.

  132   62,015
ARES Management Corp. Class A

  261   40,674
Artisan Partners Asset Management, Inc. Class A

  113   4,895
BGC Group, Inc. Class A

  455   4,177
BlackRock, Inc.

  192   182,306
Blackstone, Inc.

  981   150,221
Blue Owl Capital, Inc. (b)

  695   13,455
Carlyle Group, Inc.

  297   12,789
Cboe Global Markets, Inc.

  149   30,526
Charles Schwab Corp.

  2,084   135,064
CME Group, Inc.

  492   108,560
Cohen & Steers, Inc.

  42   4,030
Coinbase Global, Inc. Class A (a)

  278   49,531
Donnelley Financial Solutions, Inc. (a)

  70   4,608
Evercore, Inc. Class A

  50   12,667
FactSet Research Systems, Inc.

  51   23,452
Federated Hermes, Inc.

  66   2,427
Franklin Resources, Inc.

  413   8,322
Hamilton Lane, Inc. Class A

  58   9,767
Houlihan Lokey, Inc.

  79   12,484
Interactive Brokers Group, Inc. Class A

  148   20,625
Intercontinental Exchange, Inc.

  777   124,817
Invesco Ltd.

  658   11,554
Janus Henderson Group PLC

  174   6,624
Jefferies Financial Group, Inc.

  213   13,110
KKR & Co., Inc.

  922   120,395
Lazard, Inc.

  169   8,514
LPL Financial Holdings, Inc.

  102   23,728
MarketAxess Holdings, Inc.

  59   15,116
Moelis & Co. Class A

  111   7,605
Moody's Corp.

  216   102,511
Morningstar, Inc.

  40   12,765
MSCI, Inc.

  107   62,373
Nasdaq, Inc.

  560   40,886
Perella Weinberg Partners

  137   2,645
Piper Sandler Cos.

  27   7,663
PJT Partners, Inc. Class A

  23   3,067
Raymond James Financial, Inc.

  255   31,227
Robinhood Markets, Inc. Class A (a)

  985   23,069
S&P Global, Inc.

  435   224,730
SEI Investments Co.

  133   9,202
StepStone Group, Inc. Class A

  78   4,433
Stifel Financial Corp.

  143   13,428
StoneX Group, Inc. (a)

  64   5,240
T. Rowe Price Group, Inc.

  291   31,699
TPG, Inc.

  128   7,368
Tradeweb Markets, Inc. Class A

  178   22,013
Victory Capital Holdings, Inc. Class A

  93   5,152
 
See accompanying notes to Schedule of Investments.
190

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Virtu Financial, Inc. Class A

  96   $2,924
WisdomTree, Inc.

  282   2,817
          1,846,382
CHEMICALS — 0.9%  
AdvanSix, Inc.

  88   2,673
Air Products & Chemicals, Inc.

  303   90,215
Albemarle Corp. (b)

  164   15,532
Arcadium Lithium PLC (a)

  1,200   3,420
Ashland, Inc.

  88   7,653
Aspen Aerogels, Inc. (a)

  62   1,717
Avient Corp.

  103   5,183
Axalta Coating Systems Ltd. (a)

  285   10,314
Balchem Corp.

  51   8,976
Cabot Corp.

  80   8,942
Celanese Corp.

  134   18,219
CF Industries Holdings, Inc.

  250   21,450
Chemours Co.

  297   6,035
Corteva, Inc.

  955   56,144
Dow, Inc.

  935   51,079
DuPont de Nemours, Inc.

  574   51,149
Eastman Chemical Co.

  152   17,016
Ecolab, Inc.

  354   90,387
Element Solutions, Inc.

  369   10,022
FMC Corp.

  176   11,605
Hawkins, Inc.

  25   3,187
HB Fuller Co.

  95   7,541
Huntsman Corp.

  166   4,017
Ingevity Corp. (a)

  72   2,808
Innospec, Inc.

  46   5,202
International Flavors & Fragrances, Inc.

  362   37,985
Linde PLC

  653   311,390
LyondellBasell Industries NV Class A

  345   33,086
Mativ Holdings, Inc.

  96   1,631
Minerals Technologies, Inc.

  68   5,252
Mosaic Co.

  459   12,292
NewMarket Corp.

  13   7,175
Olin Corp.

  163   7,821
Orion SA

  131   2,333
Perimeter Solutions SA (a)

  307   4,129
PPG Industries, Inc.

  295   39,076
Quaker Chemical Corp.

  26   4,381
RPM International, Inc.

  171   20,691
Scotts Miracle-Gro Co.

  42   3,641
Sensient Technologies Corp.

  62   4,974
Sherwin-Williams Co.

  320   122,134
Stepan Co.

  53   4,094
Tronox Holdings PLC

  303   4,433
Westlake Corp.

  52   7,815
          1,144,819
COMMERCIAL SERVICES & SUPPLIES — 0.4%  
ABM Industries, Inc.

  50   2,638
ACV Auctions, Inc. Class A (a)

  303   6,160
Brady Corp. Class A

  40   3,065
Security Description     Shares   Value
BrightView Holdings, Inc. (a)

  125   $1,968
Brink's Co.

  66   7,632
Casella Waste Systems, Inc. Class A (a)

  72   7,163
CECO Environmental Corp. (a)

  65   1,833
Cimpress PLC (a)

  48   3,932
Cintas Corp.

  469   96,558
Clean Harbors, Inc. (a)

  69   16,678
Copart, Inc. (a)

  1,173   61,465
CoreCivic, Inc. (a)

  316   3,997
Driven Brands Holdings, Inc. (a)

  159   2,269
Ennis, Inc.

  73   1,775
Enviri Corp. (a)

  190   1,965
GEO Group, Inc. (a)

  126   1,619
Healthcare Services Group, Inc. (a)

  185   2,066
HNI Corp.

  94   5,061
Interface, Inc.

  129   2,447
MillerKnoll, Inc.

  167   4,135
Montrose Environmental Group, Inc. (a)

  53   1,394
MSA Safety, Inc.

  55   9,754
OPENLANE, Inc. (a)

  243   4,102
Pitney Bowes, Inc.

  244   1,740
RB Global, Inc.

  252   20,283
Republic Services, Inc.

  282   56,637
Rollins, Inc.

  400   20,232
Steelcase, Inc. Class A

  155   2,091
Stericycle, Inc. (a)

  109   6,649
Tetra Tech, Inc.

  367   17,308
UniFirst Corp.

  12   2,384
Veralto Corp.

  326   36,466
Vestis Corp.

  263   3,919
VSE Corp. (b)

  27   2,234
Waste Management, Inc.

  507   105,253
          524,872
COMMUNICATIONS EQUIPMENT — 0.5%  
Arista Networks, Inc. (a)

  350   134,337
Calix, Inc. (a)

  142   5,508
Ciena Corp. (a)

  220   13,550
Cisco Systems, Inc.

  5,489   292,125
CommScope Holding Co., Inc. (a)

  629   3,843
Digi International, Inc. (a)

  73   2,010
Extreme Networks, Inc. (a)

  99   1,488
F5, Inc. (a)

  70   15,414
Harmonic, Inc. (a)

  281   4,094
Infinera Corp. (a)

  264   1,782
Juniper Networks, Inc.

  437   17,034
Lumentum Holdings, Inc. (a)

  116   7,352
Motorola Solutions, Inc.

  227   102,066
NETGEAR, Inc. (a)

  84   1,685
NetScout Systems, Inc. (a)

  204   4,437
Ubiquiti, Inc.

  6   1,330
Viavi Solutions, Inc. (a)

  329   2,968
          611,023
 
See accompanying notes to Schedule of Investments.
191

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
CONSTRUCTION & ENGINEERING — 0.2%  
AECOM

  171   $17,659
Ameresco, Inc. Class A (a)

  44   1,669
API Group Corp. (a)

  302   9,972
Arcosa, Inc.

  80   7,581
Argan, Inc.

  22   2,231
Comfort Systems USA, Inc.

  50   19,518
Construction Partners, Inc. Class A (a)

  43   3,001
Dycom Industries, Inc. (a)

  35   6,899
EMCOR Group, Inc.

  64   27,554
Fluor Corp. (a)

  249   11,880
Granite Construction, Inc.

  38   3,013
IES Holdings, Inc. (a)

  12   2,395
Limbach Holdings, Inc. (a)

  23   1,742
MasTec, Inc. (a)

  87   10,710
MDU Resources Group, Inc.

  302   8,278
MYR Group, Inc. (a)

  41   4,191
Primoris Services Corp.

  44   2,556
Quanta Services, Inc.

  203   60,524
Sterling Infrastructure, Inc. (a)

  48   6,961
Tutor Perini Corp. (a)

  79   2,146
Valmont Industries, Inc.

  28   8,119
WillScot Holdings Corp. (a)

  214   8,046
          226,645
CONSTRUCTION MATERIALS — 0.2%  
CRH PLC

  930   86,248
Eagle Materials, Inc.

  46   13,232
Knife River Corp. (a)

  94   8,403
Martin Marietta Materials, Inc.

  95   51,134
Summit Materials, Inc. Class A (a)

  186   7,260
U.S. Lime & Minerals, Inc.

  19   1,855
Vulcan Materials Co.

  173   43,324
          211,456
CONSUMER FINANCE — 0.3%  
Ally Financial, Inc.

  397   14,129
American Express Co.

  784   212,621
Bread Financial Holdings, Inc.

  90   4,282
Capital One Financial Corp.

  515   77,111
Credit Acceptance Corp. (a)

  7   3,104
Discover Financial Services

  347   48,681
Encore Capital Group, Inc. (a)

  62   2,931
Enova International, Inc. (a)

  45   3,771
FirstCash Holdings, Inc.

  62   7,118
Green Dot Corp. Class A (a)

  135   1,581
LendingClub Corp. (a)

  271   3,097
Navient Corp.

  147   2,292
Nelnet, Inc. Class A

  46   5,211
OneMain Holdings, Inc.

  201   9,461
PRA Group, Inc. (a)

  81   1,811
PROG Holdings, Inc.

  64   3,103
SLM Corp.

  242   5,534
SoFi Technologies, Inc. (a) (b)

  1,173   9,220
Synchrony Financial

  532   26,536
Security Description     Shares   Value
Upstart Holdings, Inc. (a)

  83   $3,321
          444,915
CONSUMER STAPLES DISTRIBUTION & RETAIL — 1.1%  
Albertsons Cos., Inc. Class A

  496   9,166
Andersons, Inc.

  82   4,111
BJ's Wholesale Club Holdings, Inc. (a)

  160   13,197
Casey's General Stores, Inc.

  52   19,537
Chefs' Warehouse, Inc. (a)

  97   4,075
Costco Wholesale Corp.

  604   535,458
Dollar General Corp.

  309   26,132
Dollar Tree, Inc. (a)

  284   19,971
Grocery Outlet Holding Corp. (a)

  73   1,281
Ingles Markets, Inc. Class A

  43   3,208
Kroger Co.

  908   52,028
Maplebear, Inc. (a)

  247   10,063
Performance Food Group Co. (a)

  210   16,458
PriceSmart, Inc.

  60   5,507
SpartanNash Co.

  103   2,308
Sprouts Farmers Market, Inc. (a)

  139   15,347
Sysco Corp.

  660   51,520
Target Corp.

  628   97,880
U.S. Foods Holding Corp. (a)

  328   20,172
United Natural Foods, Inc. (a)

  95   1,598
Walgreens Boots Alliance, Inc.

  1,129   10,116
Walmart, Inc.

  5,931   478,928
          1,398,061
CONTAINERS & PACKAGING — 0.2%  
Amcor PLC

  1,983   22,467
AptarGroup, Inc.

  86   13,776
Avery Dennison Corp.

  99   21,855
Ball Corp.

  427   28,998
Berry Global Group, Inc.

  145   9,857
Crown Holdings, Inc.

  160   15,341
Graphic Packaging Holding Co.

  414   12,250
Greif, Inc. Class A

  56   3,509
International Paper Co.

  479   23,399
O-I Glass, Inc. (a)

  320   4,198
Packaging Corp. of America

  120   25,848
Sealed Air Corp.

  196   7,115
Silgan Holdings, Inc.

  105   5,513
Smurfit WestRock PLC

  689   34,050
Sonoco Products Co.

  142   7,758
TriMas Corp.

  100   2,553
          238,487
DISTRIBUTORS — 0.1%  
Genuine Parts Co.

  191   26,679
LKQ Corp.

  397   15,848
Pool Corp.

  54   20,347
          62,874
DIVERSIFIED CONSUMER SERVICES — 0.1%  
ADT, Inc.

  330   2,386
Adtalem Global Education, Inc. (a)

  74   5,586
 
See accompanying notes to Schedule of Investments.
192

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Bright Horizons Family Solutions, Inc. (a)

  94   $13,172
Coursera, Inc. (a)

  330   2,620
Duolingo, Inc. (a)

  54   15,229
Frontdoor, Inc. (a)

  67   3,215
Graham Holdings Co. Class B

  7   5,752
Grand Canyon Education, Inc. (a)

  24   3,404
H&R Block, Inc.

  209   13,282
Laureate Education, Inc.

  251   4,169
OneSpaWorld Holdings Ltd.

  242   3,996
Perdoceo Education Corp.

  170   3,781
Service Corp. International

  180   14,207
Strategic Education, Inc.

  44   4,072
Stride, Inc. (a)

  57   4,863
          99,734
DIVERSIFIED REITs — 0.0% (e)  
Armada Hoffler Properties, Inc. REIT

  268   2,903
Broadstone Net Lease, Inc. REIT

  256   4,851
Essential Properties Realty Trust, Inc. REIT

  242   8,264
Global Net Lease, Inc. REIT

  670   5,641
WP Carey, Inc. REIT

  307   19,126
          40,785
DIVERSIFIED TELECOMMUNICATION SERVICES — 0.4%  
AST SpaceMobile, Inc. (a)

  263   6,878
AT&T, Inc.

  9,791   215,402
Cogent Communications Holdings, Inc.

  89   6,757
Consolidated Communications Holdings, Inc. (a)

  944   4,380
Frontier Communications Parent, Inc. (a)

  254   9,025
Globalstar, Inc. (a)

  1,286   1,595
IDT Corp. Class B

  54   2,061
Iridium Communications, Inc.

  227   6,912
Liberty Global Ltd. Class A (a)

  277   5,848
Liberty Global Ltd. Class B (a)

  205   4,274
Liberty Latin America Ltd. Class A (a)

  461   4,416
Lumen Technologies, Inc. (a)

  1,420   10,082
Shenandoah Telecommunications Co.

  112   1,580
Verizon Communications, Inc.

  5,778   259,490
          538,700
ELECTRIC UTILITIES — 0.9%  
ALLETE, Inc.

  99   6,355
Alliant Energy Corp.

  325   19,724
American Electric Power Co., Inc.

  719   73,769
Avangrid, Inc.

  84   3,006
Constellation Energy Corp.

  427   111,029
Duke Energy Corp.

  1,070   123,371
Edison International

  523   45,548
Entergy Corp.

  276   36,324
Evergy, Inc.

  320   19,843
Security Description     Shares   Value
Eversource Energy

  510   $34,706
Exelon Corp.

  1,344   54,499
FirstEnergy Corp.

  729   32,331
Hawaiian Electric Industries, Inc. (a)

  155   1,500
IDACORP, Inc.

  74   7,629
MGE Energy, Inc.

  118   10,791
NextEra Energy, Inc.

  2,810   237,529
NRG Energy, Inc.

  286   26,055
OGE Energy Corp.

  219   8,983
Otter Tail Corp.

  38   2,970
PG&E Corp.

  2,846   56,266
Pinnacle West Capital Corp.

  162   14,352
Portland General Electric Co.

  159   7,616
PPL Corp.

  932   30,831
Southern Co.

  1,533   138,246
TXNM Energy, Inc.

  160   7,003
Xcel Energy, Inc.

  769   50,216
          1,160,492
ELECTRICAL EQUIPMENT — 0.5%  
Acuity Brands, Inc.

  44   12,117
AMETEK, Inc.

  312   53,574
Array Technologies, Inc. (a) (b)

  204   1,346
Atkore, Inc.

  28   2,373
Bloom Energy Corp. Class A (a) (b)

  276   2,915
Eaton Corp. PLC

  566   187,595
Emerson Electric Co.

  774   84,652
EnerSys

  46   4,694
Enovix Corp. (a) (b)

  200   1,868
Fluence Energy, Inc. (a)

  78   1,771
GE Vernova, Inc. (a)

  377   96,128
Generac Holdings, Inc. (a)

  91   14,458
NEXTracker, Inc. Class A (a)

  199   7,459
nVent Electric PLC

  247   17,354
Plug Power, Inc. (a)

  2,051   4,635
Powell Industries, Inc.

  8   1,776
Regal Rexnord Corp.

  96   15,925
Rockwell Automation, Inc.

  153   41,074
Sensata Technologies Holding PLC

  216   7,746
Shoals Technologies Group, Inc. Class A (a)

  243   1,363
Sunrun, Inc. (a)

  355   6,411
Thermon Group Holdings, Inc. (a)

  68   2,029
Vertiv Holdings Co. Class A

  519   51,635
Vicor Corp. (a)

  58   2,442
          623,340
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS — 0.5%  
Advanced Energy Industries, Inc.

  40   4,210
Amphenol Corp. Class A

  1,626   105,950
Arlo Technologies, Inc. (a)

  132   1,599
Arrow Electronics, Inc. (a)

  62   8,236
Avnet, Inc.

  139   7,549
Badger Meter, Inc.

  69   15,070
Bel Fuse, Inc. Class B

  28   2,198
Belden, Inc.

  67   7,848
 
See accompanying notes to Schedule of Investments.
193

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Benchmark Electronics, Inc.

  97   $4,299
CDW Corp.

  178   40,281
Cognex Corp.

  216   8,748
Coherent Corp. (a)

  210   18,671
Corning, Inc.

  1,064   48,040
Crane NXT Co. (b)

  178   9,986
CTS Corp.

  85   4,112
ePlus, Inc. (a)

  31   3,049
Fabrinet (a)

  50   11,822
Flex Ltd. (a)

  561   18,754
Hubbell, Inc.

  75   32,126
Insight Enterprises, Inc. (a)

  34   7,323
IPG Photonics Corp. (a)

  42   3,122
Itron, Inc. (a)

  66   7,050
Jabil, Inc.

  146   17,495
Keysight Technologies, Inc. (a)

  240   38,143
Littelfuse, Inc.

  40   10,610
Mirion Technologies, Inc. (a)

  277   3,066
Napco Security Technologies, Inc.

  50   2,023
Novanta, Inc. (a)

  57   10,199
OSI Systems, Inc. (a)

  21   3,188
PAR Technology Corp. (a)

  73   3,802
PC Connection, Inc.

  27   2,037
Plexus Corp. (a)

  55   7,519
Rogers Corp. (a)

  39   4,407
Sanmina Corp. (a)

  98   6,708
ScanSource, Inc. (a)

  47   2,257
TD SYNNEX Corp.

  90   10,807
TE Connectivity PLC

  421   63,567
Teledyne Technologies, Inc. (a)

  64   28,010
Trimble, Inc. (a)

  326   20,241
TTM Technologies, Inc. (a)

  149   2,719
Vishay Intertechnology, Inc.

  196   3,706
Vontier Corp.

  221   7,457
Zebra Technologies Corp. Class A (a)

  69   25,552
          643,556
ENERGY EQUIPMENT & SERVICES — 0.2%  
Archrock, Inc.

  307   6,214
Atlas Energy Solutions, Inc. (b)

  117   2,551
Baker Hughes Co.

  1,347   48,694
Bristow Group, Inc. (a)

  57   1,977
Cactus, Inc. Class A

  121   7,220
ChampionX Corp.

  265   7,990
Core Laboratories, Inc.

  142   2,631
Expro Group Holdings NV (a)

  235   4,035
Halliburton Co.

  1,159   33,669
Helix Energy Solutions Group, Inc. (a)

  394   4,373
Helmerich & Payne, Inc.

  91   2,768
Liberty Energy, Inc.

  345   6,586
Noble Corp. PLC

  187   6,758
NOV, Inc.

  516   8,241
Oceaneering International, Inc. (a)

  90   2,238
Patterson-UTI Energy, Inc.

  505   3,863
Schlumberger NV

  1,880   78,866
Security Description     Shares   Value
Select Water Solutions, Inc.

  255   $2,838
TechnipFMC PLC

  588   15,423
Tidewater, Inc. (a)

  83   5,959
Transocean Ltd. (a) (b)

  1,435   6,099
Valaris Ltd. (a)

  121   6,746
Weatherford International PLC

  99   8,407
          274,146
ENTERTAINMENT — 0.7%  
AMC Entertainment Holdings, Inc. Class A (a)

  913   4,154
Atlanta Braves Holdings, Inc. Class C (a)

  105   4,179
Cinemark Holdings, Inc. (a)

  125   3,480
Electronic Arts, Inc.

  318   45,614
Endeavor Group Holdings, Inc. Class A (b)

  179   5,112
Liberty Media Corp.-Liberty Formula One Class A (a)

  63   4,506
Liberty Media Corp.-Liberty Formula One Class C (a)

  288   22,300
Liberty Media Corp.-Liberty Live Class C (a)

  75   3,850
Lions Gate Entertainment Corp. Class B (a)

  289   2,000
Live Nation Entertainment, Inc. (a)

  213   23,321
Madison Square Garden Entertainment Corp. (a)

  97   4,125
Madison Square Garden Sports Corp. (a)

  30   6,248
Netflix, Inc. (a)

  592   419,888
ROBLOX Corp. Class A (a)

  730   32,310
Roku, Inc. (a)

  147   10,975
Sphere Entertainment Co. (a)

  45   1,988
Take-Two Interactive Software, Inc. (a)

  228   35,046
TKO Group Holdings, Inc. (a)

  99   12,247
Walt Disney Co.

  2,498   240,283
Warner Bros Discovery, Inc. (a)

  3,227   26,623
Warner Music Group Corp. Class A (b)

  148   4,632
          912,881
FINANCIAL SERVICES — 2.4%  
Affirm Holdings, Inc. (a)

  347   14,165
A-Mark Precious Metals, Inc.

  38   1,678
Apollo Global Management, Inc.

  613   76,570
AvidXchange Holdings, Inc. (a)

  494   4,006
Berkshire Hathaway, Inc. Class B (a)

  2,506   1,153,412
Block, Inc. (a)

  753   50,549
Cannae Holdings, Inc.

  204   3,888
Corebridge Financial, Inc.

  348   10,148
Corpay, Inc. (a)

  96   30,025
Equitable Holdings, Inc.

  411   17,274
Essent Group Ltd.

  157   10,093
Euronet Worldwide, Inc. (a)

  84   8,335
EVERTEC, Inc.

  119   4,033
 
See accompanying notes to Schedule of Investments.
194

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Federal Agricultural Mortgage Corp. Class C

  16   $2,999
Fidelity National Information Services, Inc.

  750   62,812
Fiserv, Inc. (a)

  778   139,768
Flywire Corp. (a)

  75   1,229
Global Payments, Inc.

  340   34,823
Jack Henry & Associates, Inc.

  101   17,830
Jackson Financial, Inc. Class A

  107   9,762
Marqeta, Inc. Class A (a)

  364   1,791
Mastercard, Inc. Class A

  1,122   554,044
Merchants Bancorp

  48   2,158
MGIC Investment Corp.

  392   10,035
Mr. Cooper Group, Inc. (a)

  73   6,729
NCR Atleos Corp. (a)

  98   2,796
NMI Holdings, Inc. (a)

  155   6,384
Payoneer Global, Inc. (a)

  353   2,658
PayPal Holdings, Inc. (a)

  1,385   108,072
PennyMac Financial Services, Inc.

  31   3,533
Radian Group, Inc.

  213   7,389
Remitly Global, Inc. (a)

  305   4,084
Rocket Cos., Inc. Class A (a)

  157   3,013
Shift4 Payments, Inc. Class A (a)

  91   8,063
Toast, Inc. Class A (a) (b)

  591   16,731
UWM Holdings Corp.

  216   1,840
Visa, Inc. Class A

  2,275   625,511
Voya Financial, Inc.

  139   11,012
Walker & Dunlop, Inc.

  68   7,724
Western Union Co.

  574   6,848
WEX, Inc. (a)

  48   10,067
          3,053,881
FOOD PRODUCTS — 0.4%  
Archer-Daniels-Midland Co.

  645   38,532
Bunge Global SA

  188   18,168
Cal-Maine Foods, Inc.

  32   2,395
Campbell Soup Co.

  303   14,823
Conagra Brands, Inc.

  641   20,845
Darling Ingredients, Inc. (a)

  181   6,726
Flowers Foods, Inc.

  223   5,145
Fresh Del Monte Produce, Inc.

  81   2,393
Freshpet, Inc. (a)

  68   9,300
General Mills, Inc.

  778   57,455
Hain Celestial Group, Inc. (a)

  215   1,855
Hershey Co.

  195   37,397
Hormel Foods Corp.

  453   14,360
Ingredion, Inc.

  98   13,468
J&J Snack Foods Corp.

  13   2,238
J.M. Smucker Co.

  143   17,317
John B Sanfilippo & Son, Inc.

  23   2,169
Kellanova

  373   30,105
Kraft Heinz Co.

  1,207   42,378
Lamb Weston Holdings, Inc.

  209   13,531
Lancaster Colony Corp.

  20   3,531
McCormick & Co., Inc.

  349   28,723
Mondelez International, Inc. Class A

  1,852   136,437
Pilgrim's Pride Corp. (a) (b)

  42   1,934
Security Description     Shares   Value
Post Holdings, Inc. (a)

  69   $7,987
Seneca Foods Corp. Class B (a)

  63   3,917
Simply Good Foods Co. (a)

  100   3,477
TreeHouse Foods, Inc. (a)

  113   4,744
Tyson Foods, Inc. Class A

  416   24,777
Utz Brands, Inc.

  125   2,213
Vital Farms, Inc. (a) (b)

  53   1,859
WK Kellogg Co.

  86   1,471
          571,670
GAS UTILITIES — 0.1%  
Atmos Energy Corp.

  215   29,823
Chesapeake Utilities Corp.

  42   5,215
National Fuel Gas Co.

  123   7,455
New Jersey Resources Corp.

  183   8,638
ONE Gas, Inc.

  96   7,144
Southwest Gas Holdings, Inc.

  84   6,196
Spire, Inc.

  95   6,392
UGI Corp.

  317   7,931
          78,794
GROUND TRANSPORTATION — 0.6%  
ArcBest Corp.

  27   2,928
Avis Budget Group, Inc. (b)

  19   1,664
CSX Corp.

  2,598   89,709
FTAI Infrastructure, Inc.

  191   1,788
JB Hunt Transport Services, Inc.

  102   17,578
Knight-Swift Transportation Holdings, Inc.

  199   10,736
Landstar System, Inc.

  46   8,688
Lyft, Inc. Class A (a)

  556   7,089
Marten Transport Ltd.

  131   2,319
Norfolk Southern Corp.

  309   76,786
Old Dominion Freight Line, Inc.

  261   51,845
RXO, Inc. (a)

  230   6,440
Ryder System, Inc.

  59   8,602
Saia, Inc. (a)

  37   16,179
Schneider National, Inc. Class B

  85   2,426
Uber Technologies, Inc. (a)

  2,962   222,624
U-Haul Holding Co.

  213   15,336
Union Pacific Corp.

  832   205,071
Werner Enterprises, Inc.

  54   2,084
XPO, Inc. (a)

  159   17,094
          766,986
HEALTH CARE EQUIPMENT & SUPPLIES — 1.4%  
Abbott Laboratories

  2,396   273,168
Align Technology, Inc. (a)

  95   24,160
Artivion, Inc. (a)

  92   2,449
AtriCure, Inc. (a)

  83   2,327
Avanos Medical, Inc. (a)

  125   3,004
Axonics, Inc. (a)

  34   2,366
Baxter International, Inc.

  708   26,883
Becton Dickinson & Co.

  395   95,235
Boston Scientific Corp. (a)

  2,035   170,533
CONMED Corp. (b)

  76   5,466
Cooper Cos., Inc. (a)

  273   30,123
 
See accompanying notes to Schedule of Investments.
195

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Dentsply Sirona, Inc.

  294   $7,956
Dexcom, Inc. (a)

  555   37,207
Edwards Lifesciences Corp. (a)

  816   53,848
Embecta Corp.

  96   1,354
Enovis Corp. (a)

  69   2,970
Envista Holdings Corp. (a)

  259   5,118
GE HealthCare Technologies, Inc.

  680   63,818
Glaukos Corp. (a)

  80   10,422
Globus Medical, Inc. Class A (a)

  135   9,658
Haemonetics Corp. (a)

  65   5,225
Hologic, Inc. (a)

  308   25,090
ICU Medical, Inc. (a)

  38   6,924
IDEXX Laboratories, Inc. (a)

  111   56,079
Inari Medical, Inc. (a)

  36   1,485
Inspire Medical Systems, Inc. (a)

  43   9,075
Insulet Corp. (a)

  97   22,577
Integer Holdings Corp. (a)

  55   7,150
Integra LifeSciences Holdings Corp. (a)

  56   1,018
Intuitive Surgical, Inc. (a)

  494   242,687
iRhythm Technologies, Inc. (a)

  43   3,192
Lantheus Holdings, Inc. (a)

  78   8,561
LeMaitre Vascular, Inc.

  36   3,344
LivaNova PLC (a)

  119   6,252
Masimo Corp. (a)

  64   8,533
Medtronic PLC

  1,780   160,253
Merit Medical Systems, Inc. (a)

  85   8,401
Neogen Corp. (a)

  372   6,253
Novocure Ltd. (a)

  251   3,923
Omnicell, Inc. (a)

  68   2,965
Orthofix Medical, Inc. (a)

  105   1,640
Penumbra, Inc. (a)

  56   10,881
PROCEPT BioRobotics Corp. (a)

  89   7,131
QuidelOrtho Corp. (a)

  85   3,876
ResMed, Inc.

  204   49,801
RxSight, Inc. (a)

  47   2,323
Solventum Corp. (a)

  213   14,850
STAAR Surgical Co. (a)

  129   4,792
STERIS PLC

  138   33,471
Stryker Corp.

  475   171,599
Tandem Diabetes Care, Inc. (a)

  50   2,121
Teleflex, Inc.

  63   15,581
TransMedics Group, Inc. (a)

  50   7,850
UFP Technologies, Inc. (a)

  9   2,850
Zimmer Biomet Holdings, Inc.

  275   29,686
          1,775,504
HEALTH CARE PROVIDERS & SERVICES — 1.4%  
Acadia Healthcare Co., Inc. (a)

  143   9,068
AdaptHealth Corp. (a)

  157   1,763
Addus HomeCare Corp. (a)

  26   3,459
Alignment Healthcare, Inc. (a)

  129   1,525
Amedisys, Inc. (a)

  31   2,992
AMN Healthcare Services, Inc. (a) (b)

  26   1,102
Astrana Health, Inc. (a)

  37   2,144
Security Description     Shares   Value
BrightSpring Health Services, Inc. (a)

  92   $1,351
Brookdale Senior Living, Inc. (a)

  316   2,146
Cardinal Health, Inc.

  328   36,250
Castle Biosciences, Inc. (a)

  46   1,312
Cencora, Inc.

  246   55,370
Centene Corp. (a)

  720   54,202
Chemed Corp.

  23   13,822
Cigna Group

  379   131,301
Clover Health Investments Corp. (a)

  465   1,311
CorVel Corp. (a)

  9   2,942
CVS Health Corp.

  1,716   107,902
DaVita, Inc. (a)

  74   12,131
Elevance Health, Inc.

  321   166,920
Encompass Health Corp.

  148   14,303
Ensign Group, Inc.

  73   10,499
Guardant Health, Inc. (a)

  257   5,896
HCA Healthcare, Inc.

  252   102,420
HealthEquity, Inc. (a)

  140   11,459
Henry Schein, Inc. (a)

  166   12,101
Hims & Hers Health, Inc. (a)

  165   3,039
Humana, Inc.

  166   52,579
Labcorp Holdings, Inc.

  115   25,700
LifeStance Health Group, Inc. (a)

  271   1,897
McKesson Corp.

  176   87,018
Molina Healthcare, Inc. (a)

  81   27,909
National HealthCare Corp.

  23   2,893
NeoGenomics, Inc. (a)

  267   3,938
Option Care Health, Inc. (a)

  251   7,856
Owens & Minor, Inc. (a)

  120   1,883
PACS Group, Inc. (a)

  100   3,997
Patterson Cos., Inc.

  66   1,441
Pediatrix Medical Group, Inc. (a)

  168   1,947
Pennant Group, Inc. (a)

  75   2,677
Premier, Inc. Class A

  214   4,280
Privia Health Group, Inc. (a)

  147   2,677
Progyny, Inc. (a)

  67   1,123
Quest Diagnostics, Inc.

  152   23,598
R1 RCM, Inc. (a)

  212   3,004
RadNet, Inc. (a)

  98   6,800
Select Medical Holdings Corp.

  206   7,183
Surgery Partners, Inc. (a)

  93   2,998
Tenet Healthcare Corp. (a)

  129   21,440
U.S. Physical Therapy, Inc.

  42   3,554
UnitedHealth Group, Inc.

  1,273   744,298
Universal Health Services, Inc. Class B

  80   18,321
          1,829,741
HEALTH CARE REITs — 0.2%  
American Healthcare REIT, Inc.

  246   6,420
CareTrust REIT, Inc.

  250   7,715
Diversified Healthcare Trust REIT

  402   1,684
Healthcare Realty Trust, Inc. REIT

  468   8,494
Healthpeak Properties, Inc. REIT

  907   20,743
Medical Properties Trust, Inc. REIT

  1,056   6,178
National Health Investors, Inc. REIT

  85   7,145
 
See accompanying notes to Schedule of Investments.
196

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Omega Healthcare Investors, Inc. REIT

  354   $14,408
Sabra Health Care REIT, Inc.

  274   5,099
Sila Realty Trust, Inc. REIT

  106   2,681
Ventas, Inc. REIT

  574   36,811
Welltower, Inc. REIT

  804   102,936
          220,314
HEALTH CARE TECHNOLOGY — 0.1%  
Certara, Inc. (a)

  238   2,787
Doximity, Inc. Class A (a)

  192   8,365
Evolent Health, Inc. Class A (a)

  135   3,818
Phreesia, Inc. (a)

  105   2,393
Schrodinger, Inc. (a)

  127   2,356
Teladoc Health, Inc. (a)

  136   1,248
Veeva Systems, Inc. Class A (a)

  208   43,653
Waystar Holding Corp. (a)

  58   1,618
          66,238
HOTEL & RESORT REITs — 0.0% (e)  
Apple Hospitality REIT, Inc.

  197   2,925
DiamondRock Hospitality Co. REIT

  450   3,928
Host Hotels & Resorts, Inc. REIT

  928   16,333
Park Hotels & Resorts, Inc. REIT

  197   2,778
Pebblebrook Hotel Trust REIT

  297   3,929
Ryman Hospitality Properties, Inc. REIT

  95   10,188
Service Properties Trust REIT

  592   2,700
Sunstone Hotel Investors, Inc. REIT

  377   3,891
Xenia Hotels & Resorts, Inc. REIT

  269   3,973
          50,645
HOTELS, RESTAURANTS & LEISURE — 1.3%  
Airbnb, Inc. Class A (a)

  594   75,325
Aramark

  393   15,221
Bloomin' Brands, Inc.

  242   4,000
Booking Holdings, Inc.

  46   193,758
Boyd Gaming Corp.

  78   5,043
Brinker International, Inc. (a)

  52   3,980
Caesars Entertainment, Inc. (a)

  344   14,359
Carnival Corp. (a)

  1,379   25,484
Cava Group, Inc. (a)

  117   14,490
Cheesecake Factory, Inc.

  78   3,163
Chipotle Mexican Grill, Inc. (a)

  1,868   107,634
Choice Hotels International, Inc.

  23   2,997
Churchill Downs, Inc.

  98   13,251
Cracker Barrel Old Country Store, Inc.

  46   2,086
Darden Restaurants, Inc.

  157   25,768
Dave & Buster's Entertainment, Inc. (a)

  70   2,383
Domino's Pizza, Inc.

  46   19,786
DoorDash, Inc. Class A (a)

  453   64,657
DraftKings, Inc. Class A (a)

  665   26,068
Dutch Bros, Inc. Class A (a)

  219   7,015
Everi Holdings, Inc. (a)

  120   1,577
Expedia Group, Inc. (a)

  166   24,571
Security Description     Shares   Value
Flutter Entertainment PLC (a)

  243   $57,659
Hilton Grand Vacations, Inc. (a)

  50   1,816
Hilton Worldwide Holdings, Inc.

  334   76,987
Hyatt Hotels Corp. Class A (b)

  53   8,067
Jack in the Box, Inc. (b)

  56   2,606
Krispy Kreme, Inc.

  157   1,686
Las Vegas Sands Corp.

  477   24,012
Life Time Group Holdings, Inc. (a)

  87   2,125
Light & Wonder, Inc. (a)

  123   11,160
Marriott International, Inc. Class A

  328   81,541
Marriott Vacations Worldwide Corp.

  41   3,013
McDonald's Corp.

  983   299,333
MGM Resorts International (a)

  296   11,571
Monarch Casino & Resort, Inc.

  34   2,695
Norwegian Cruise Line Holdings Ltd. (a)

  660   13,537
Papa John's International, Inc.

  81   4,363
Penn Entertainment, Inc. (a)

  320   6,035
Planet Fitness, Inc. Class A (a)

  118   9,584
Playa Hotels & Resorts NV (a)

  350   2,712
Portillo's, Inc. Class A (a) (b)

  132   1,778
Red Rock Resorts, Inc. Class A

  56   3,049
Royal Caribbean Cruises Ltd.

  324   57,465
Sabre Corp. (a)

  550   2,019
Shake Shack, Inc. Class A (a)

  62   6,399
Six Flags Entertainment Corp.

  106   4,273
Starbucks Corp.

  1,539   150,037
Sweetgreen, Inc. Class A (a) (b)

  191   6,771
Texas Roadhouse, Inc.

  87   15,364
Travel & Leisure Co.

  67   3,087
United Parks & Resorts, Inc. (a)

  42   2,125
Vail Resorts, Inc.

  52   9,063
Wendy's Co.

  170   2,978
Wingstop, Inc.

  40   16,643
Wyndham Hotels & Resorts, Inc.

  102   7,970
Wynn Resorts Ltd.

  120   11,506
Yum! Brands, Inc.

  395   55,185
          1,628,830
HOUSEHOLD DURABLES — 0.3%  
Beazer Homes USA, Inc. (a)

  61   2,084
Cavco Industries, Inc. (a)

  11   4,711
Century Communities, Inc.

  42   4,325
Champion Homes, Inc. (a)

  92   8,726
DR Horton, Inc.

  400   76,308
Dream Finders Homes, Inc. Class A (a)

  42   1,521
Garmin Ltd.

  207   36,438
Green Brick Partners, Inc. (a)

  54   4,510
Helen of Troy Ltd. (a)

  28   1,732
Hovnanian Enterprises, Inc. Class A (a)

  7   1,431
Installed Building Products, Inc.

  29   7,142
KB Home

  76   6,512
La-Z-Boy, Inc.

  56   2,404
Leggett & Platt, Inc.

  347   4,726
Lennar Corp. Class A

  309   57,931
 
See accompanying notes to Schedule of Investments.
197

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
LGI Homes, Inc. (a)

  27   $3,200
M/I Homes, Inc. (a)

  46   7,883
Meritage Homes Corp.

  43   8,818
Mohawk Industries, Inc. (a)

  61   9,802
Newell Brands, Inc.

  841   6,459
NVR, Inc. (a)

  4   39,247
PulteGroup, Inc.

  274   39,327
Sonos, Inc. (a)

  318   3,908
Taylor Morrison Home Corp. (a)

  121   8,502
Tempur Sealy International, Inc.

  243   13,268
Toll Brothers, Inc.

  130   20,084
TopBuild Corp. (a)

  40   16,272
Tri Pointe Homes, Inc. (a)

  136   6,162
Vizio Holding Corp. Class A (a) (b)

  107   1,195
Whirlpool Corp.

  73   7,811
Worthington Enterprises, Inc.

  94   3,896
          416,335
HOUSEHOLD PRODUCTS — 0.6%  
Central Garden & Pet Co. (a)

  109   3,975
Central Garden & Pet Co. Class A (a)

  82   2,575
Church & Dwight Co., Inc.

  353   36,966
Clorox Co.

  165   26,880
Colgate-Palmolive Co.

  1,093   113,464
Energizer Holdings, Inc.

  63   2,001
Kimberly-Clark Corp.

  445   63,315
Procter & Gamble Co.

  3,208   555,626
Reynolds Consumer Products, Inc.

  42   1,306
Spectrum Brands Holdings, Inc.

  32   3,044
WD-40 Co.

  25   6,447
          815,599
INDEPENDENT POWER AND RENEWABLE ELECTRICITY PRODUCERS — 0.1%  
AES Corp.

  1,021   20,481
Clearway Energy, Inc. Class C

  150   4,602
Ormat Technologies, Inc.

  96   7,386
Sunnova Energy International, Inc. (a)

  121   1,179
Talen Energy Corp. (a)

  71   12,655
Vistra Corp.

  472   55,951
          102,254
INDUSTRIAL CONGLOMERATES — 0.5%  
3M Co.

  752   102,798
General Electric Co.

  1,524   287,396
Honeywell International, Inc.

  900   186,039
          576,233
INDUSTRIAL REITs — 0.2%  
Americold Realty Trust, Inc. REIT

  296   8,368
EastGroup Properties, Inc. REIT

  64   11,957
First Industrial Realty Trust, Inc. REIT

  197   11,028
Innovative Industrial Properties, Inc. REIT

  25   3,365
Lineage, Inc. REIT

  103   8,073
Security Description     Shares   Value
LXP Industrial Trust REIT

  522   $5,246
Plymouth Industrial REIT, Inc.

  175   3,955
Prologis, Inc. REIT

  1,323   167,069
Rexford Industrial Realty, Inc. REIT

  281   14,137
STAG Industrial, Inc. REIT

  277   10,828
Terreno Realty Corp. REIT

  133   8,888
          252,914
INSURANCE — 1.4%  
Aflac, Inc.

  673   75,241
Allstate Corp.

  366   69,412
American Financial Group, Inc.

  97   13,056
American International Group, Inc.

  856   62,685
AMERISAFE, Inc.

  66   3,190
Aon PLC Class A

  300   103,797
Arch Capital Group Ltd. (a)

  524   58,625
Arthur J Gallagher & Co.

  301   84,692
Assurant, Inc.

  63   12,528
Assured Guaranty Ltd.

  139   11,053
Axis Capital Holdings Ltd.

  121   9,633
Baldwin Insurance Group, Inc. (a)

  94   4,681
Brighthouse Financial, Inc. (a)

  58   2,612
Brown & Brown, Inc.

  324   33,566
Chubb Ltd.

  520   149,963
Cincinnati Financial Corp.

  225   30,627
CNO Financial Group, Inc.

  105   3,685
Donegal Group, Inc. Class B

  333   4,362
Employers Holdings, Inc.

  79   3,790
Enstar Group Ltd. (a)

  20   6,432
Erie Indemnity Co. Class A

  36   19,433
Everest Group Ltd.

  54   21,159
F&G Annuities & Life, Inc.

  30   1,342
Fidelity National Financial, Inc.

  341   21,162
First American Financial Corp.

  119   7,855
Genworth Financial, Inc. (a)

  512   3,507
Globe Life, Inc.

  137   14,510
Goosehead Insurance, Inc. Class A (a)

  34   3,036
Hanover Insurance Group, Inc.

  60   8,887
Hartford Financial Services Group, Inc.

  398   46,809
Kemper Corp.

  113   6,921
Kinsale Capital Group, Inc.

  33   15,364
Lemonade, Inc. (a) (b)

  91   1,501
Lincoln National Corp.

  209   6,586
Loews Corp.

  221   17,470
Markel Group, Inc. (a)

  18   28,234
Marsh & McLennan Cos., Inc.

  661   147,462
Mercury General Corp.

  63   3,968
MetLife, Inc.

  777   64,087
Old Republic International Corp.

  335   11,866
Oscar Health, Inc. Class A (a)

  336   7,127
Palomar Holdings, Inc. (a)

  33   3,124
Primerica, Inc.

  47   12,462
Principal Financial Group, Inc.

  278   23,880
Progressive Corp.

  814   206,561
Prudential Financial, Inc.

  492   59,581
 
See accompanying notes to Schedule of Investments.
198

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STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Reinsurance Group of America, Inc.

  87   $18,955
RenaissanceRe Holdings Ltd.

  69   18,796
RLI Corp.

  50   7,749
Ryan Specialty Holdings, Inc.

  159   10,556
Selective Insurance Group, Inc.

  97   9,050
SiriusPoint Ltd. (a)

  275   3,943
Skyward Specialty Insurance Group, Inc. (a)

  97   3,951
Stewart Information Services Corp.

  63   4,709
Travelers Cos., Inc.

  313   73,280
Trupanion, Inc. (a)

  95   3,988
Unum Group

  232   13,790
W.R. Berkley Corp.

  443   25,131
White Mountains Insurance Group Ltd.

  5   8,481
Willis Towers Watson PLC

  143   42,118
          1,752,021
INTERACTIVE MEDIA & SERVICES — 3.3%  
Alphabet, Inc. Class A

  8,028   1,331,444
Alphabet, Inc. Class C

  6,645   1,110,978
Cargurus, Inc. (a)

  80   2,402
Cars.com, Inc. (a)

  116   1,944
IAC, Inc. (a)

  140   7,535
Match Group, Inc. (a)

  367   13,887
Meta Platforms, Inc. Class A

  3,010   1,723,044
Pinterest, Inc. Class A (a)

  838   27,126
QuinStreet, Inc. (a)

  89   1,703
Reddit, Inc. Class A (a)

  121   7,976
Shutterstock, Inc.

  50   1,769
Snap, Inc. Class A (a)

  1,445   15,461
TripAdvisor, Inc. (a)

  277   4,014
Vimeo, Inc. (a)

  270   1,364
Yelp, Inc. (a)

  85   2,982
Ziff Davis, Inc. (a)

  34   1,654
ZipRecruiter, Inc. Class A (a)

  162   1,539
ZoomInfo Technologies, Inc. (a)

  304   3,137
          4,259,959
IT SERVICES — 0.7%  
Accenture PLC Class A

  858   303,286
Akamai Technologies, Inc. (a)

  203   20,493
Cloudflare, Inc. Class A (a)

  421   34,055
Cognizant Technology Solutions Corp. Class A

  672   51,865
Core Scientific, Inc. (a)

  448   5,313
DigitalOcean Holdings, Inc. (a)

  67   2,706
DXC Technology Co. (a)

  304   6,308
EPAM Systems, Inc. (a)

  79   15,723
Fastly, Inc. Class A (a) (b)

  225   1,703
Gartner, Inc. (a)

  105   53,210
GoDaddy, Inc. Class A (a)

  192   30,102
Grid Dynamics Holdings, Inc. (a)

  149   2,086
International Business Machines Corp.

  1,264   279,445
Kyndryl Holdings, Inc. (a)

  351   8,066
MongoDB, Inc. (a)

  103   27,846
Security Description     Shares   Value
Okta, Inc. (a)

  216   $16,057
Perficient, Inc. (a)

  26   1,963
Snowflake, Inc. Class A (a)

  458   52,606
Squarespace, Inc. Class A (a)

  55   2,554
Twilio, Inc. Class A (a)

  254   16,566
VeriSign, Inc. (a)

  120   22,795
          954,748
LEISURE EQUIPMENT & PRODUCTS — 0.0% (e)  
Acushnet Holdings Corp.

  55   3,506
Brunswick Corp.

  96   8,047
Hasbro, Inc.

  169   12,222
Malibu Boats, Inc. Class A (a)

  60   2,329
Mattel, Inc. (a)

  435   8,287
Peloton Interactive, Inc. Class A (a) (b)

  820   3,838
Polaris, Inc.

  79   6,576
Topgolf Callaway Brands Corp. (a)

  394   4,326
Vista Outdoor, Inc. (a)

  102   3,996
YETI Holdings, Inc. (a)

  150   6,154
          59,281
LIFE SCIENCES TOOLS & SERVICES — 0.7%  
10X Genomics, Inc. Class A (a)

  141   3,184
Agilent Technologies, Inc.

  396   58,798
Avantor, Inc. (a)

  930   24,059
Azenta, Inc. (a)

  42   2,035
BioLife Solutions, Inc. (a)

  92   2,304
Bio-Rad Laboratories, Inc. Class A (a)

  30   10,037
Bio-Techne Corp.

  226   18,064
Bruker Corp.

  149   10,290
Charles River Laboratories International, Inc. (a)

  73   14,379
Danaher Corp.

  903   251,052
Fortrea Holdings, Inc. (a)

  68   1,360
Illumina, Inc. (a)

  225   29,342
IQVIA Holdings, Inc. (a)

  233   55,214
Medpace Holdings, Inc. (a)

  36   12,017
Mesa Laboratories, Inc.

  16   2,078
Mettler-Toledo International, Inc. (a)

  29   43,491
Repligen Corp. (a)

  74   11,013
Revvity, Inc.

  172   21,973
Sotera Health Co. (a)

  180   3,006
Thermo Fisher Scientific, Inc.

  527   325,986
Waters Corp. (a)

  81   29,151
West Pharmaceutical Services, Inc.

  100   30,016
          958,849
MACHINERY — 1.1%  
AGCO Corp.

  85   8,318
Alamo Group, Inc.

  23   4,143
Albany International Corp. Class A

  50   4,443
Allison Transmission Holdings, Inc.

  111   10,664
Astec Industries, Inc.

  79   2,523
Atmus Filtration Technologies, Inc.

  82   3,077
Barnes Group, Inc.

  68   2,748
 
See accompanying notes to Schedule of Investments.
199

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Blue Bird Corp. (a)

  42   $2,014
Caterpillar, Inc.

  678   265,179
Chart Industries, Inc. (a) (b)

  64   7,945
CNH Industrial NV

  1,215   13,486
Columbus McKinnon Corp.

  99   3,564
Crane Co.

  58   9,180
Cummins, Inc.

  189   61,196
Deere & Co.

  362   151,073
Donaldson Co., Inc.

  135   9,950
Dover Corp.

  183   35,088
Energy Recovery, Inc. (a)

  116   2,017
Enerpac Tool Group Corp.

  125   5,236
Enpro, Inc.

  28   4,541
Esab Corp.

  90   9,568
ESCO Technologies, Inc.

  36   4,643
Federal Signal Corp.

  102   9,533
Flowserve Corp.

  178   9,201
Fortive Corp.

  473   37,334
Franklin Electric Co., Inc.

  33   3,459
Gates Industrial Corp. PLC (a)

  398   6,985
Gorman-Rupp Co.

  74   2,882
Graco, Inc.

  213   18,640
Greenbrier Cos., Inc.

  80   4,071
Helios Technologies, Inc.

  91   4,341
Hillenbrand, Inc.

  165   4,587
Hillman Solutions Corp. (a)

  490   5,174
IDEX Corp.

  96   20,592
Illinois Tool Works, Inc.

  369   96,704
Ingersoll Rand, Inc.

  560   54,970
ITT, Inc.

  113   16,895
John Bean Technologies Corp.

  29   2,857
Kadant, Inc. (b)

  21   7,098
Kennametal, Inc.

  158   4,097
Lincoln Electric Holdings, Inc.

  79   15,170
Lindsay Corp.

  21   2,617
Middleby Corp. (a)

  73   10,156
Mueller Industries, Inc.

  170   12,597
Mueller Water Products, Inc. Class A

  305   6,619
Nordson Corp.

  73   19,172
Oshkosh Corp.

  84   8,418
Otis Worldwide Corp.

  529   54,984
PACCAR, Inc.

  710   70,063
Parker-Hannifin Corp.

  173   109,305
Pentair PLC

  226   22,101
RBC Bearings, Inc. (a)

  42   12,574
REV Group, Inc.

  72   2,020
Snap-on, Inc.

  67   19,411
SPX Technologies, Inc. (a)

  69   11,003
Standex International Corp.

  32   5,849
Stanley Black & Decker, Inc.

  215   23,678
Tennant Co.

  45   4,322
Terex Corp.

  82   4,339
Timken Co.

  93   7,839
Toro Co.

  210   18,213
Trinity Industries, Inc.

  178   6,202
Security Description     Shares   Value
Watts Water Technologies, Inc. Class A

  39   $8,080
Westinghouse Air Brake Technologies Corp.

  237   43,079
Xylem, Inc.

  333   44,965
          1,472,792
MARINE — 0.0% (e)  
Kirby Corp. (a)

  92   11,264
Matson, Inc.

  55   7,844
          19,108
MEDIA — 0.4%  
Cable One, Inc. (b)

  3   1,049
Charter Communications, Inc. Class A (a)

  133   43,103
Comcast Corp. Class A

  5,329   222,592
EchoStar Corp. Class A (a)

  242   6,007
Fox Corp. Class A

  304   12,868
Fox Corp. Class B

  175   6,790
Integral Ad Science Holding Corp. (a)

  156   1,686
Interpublic Group of Cos., Inc.

  472   14,929
John Wiley & Sons, Inc. Class B

  96   4,637
Liberty Broadband Corp. Class C (a)

  186   14,376
Magnite, Inc. (a)

  308   4,266
New York Times Co. Class A

  233   12,971
News Corp. Class A

  675   17,975
Nexstar Media Group, Inc.

  35   5,787
Omnicom Group, Inc.

  267   27,605
Paramount Global Class A

  178   3,891
Paramount Global Class B

  454   4,822
Scholastic Corp.

  54   1,729
Sirius XM Holdings, Inc.

  317   7,497
TEGNA, Inc.

  142   2,241
Trade Desk, Inc. Class A (a)

  612   67,106
          483,927
METALS & MINING — 0.3%  
Alcoa Corp.

  367   14,159
Alpha Metallurgical Resources, Inc.

  10   2,362
Arch Resources, Inc.

  16   2,210
ATI, Inc. (a)

  200   13,382
Carpenter Technology Corp.

  77   12,288
Cleveland-Cliffs, Inc. (a)

  677   8,645
Coeur Mining, Inc. (a)

  439   3,020
Commercial Metals Co.

  141   7,749
Freeport-McMoRan, Inc.

  1,976   98,642
Hecla Mining Co.

  1,013   6,757
Kaiser Aluminum Corp.

  34   2,466
Materion Corp.

  84   9,396
MP Materials Corp. (a) (b)

  175   3,089
Newmont Corp.

  1,588   84,879
Nucor Corp.

  331   49,762
Reliance, Inc.

  75   21,691
Royal Gold, Inc.

  99   13,890
Steel Dynamics, Inc.

  201   25,342
 
See accompanying notes to Schedule of Investments.
200

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
U.S. Steel Corp.

  345   $12,189
Warrior Met Coal, Inc.

  54   3,451
Worthington Steel, Inc.

  54   1,836
          397,205
MORTGAGE REAL ESTATE INVESTMENT TRUST (REITs) — 0.1%  
AGNC Investment Corp. REIT (b)

  993   10,387
Annaly Capital Management, Inc. REIT

  702   14,089
Arbor Realty Trust, Inc. REIT

  411   6,395
Blackstone Mortgage Trust, Inc. Class A REIT

  551   10,474
BrightSpire Capital, Inc. REIT

  377   2,111
Chimera Investment Corp. REIT

  112   1,773
Claros Mortgage Trust, Inc. REIT

  618   4,629
Ellington Financial, Inc. REIT (b)

  166   2,140
HA Sustainable Infrastructure Capital, Inc.

  180   6,205
New York Mortgage Trust, Inc. REIT

  469   2,969
PennyMac Mortgage Investment Trust REIT

  156   2,225
Redwood Trust, Inc. REIT

  279   2,157
Rithm Capital Corp. REIT

  709   8,047
Two Harbors Investment Corp. REIT

  158   2,193
Starwood Property Trust, Inc. REIT

  554   11,290
          87,084
MULTI-UTILITIES — 0.4%  
Ameren Corp.

  382   33,410
Avista Corp.

  161   6,239
Black Hills Corp.

  115   7,029
CenterPoint Energy, Inc.

  844   24,830
CMS Energy Corp.

  355   25,074
Consolidated Edison, Inc.

  497   51,753
Dominion Energy, Inc.

  1,146   66,227
DTE Energy Co.

  286   36,725
NiSource, Inc.

  466   16,147
Northwestern Energy Group, Inc.

  105   6,008
Public Service Enterprise Group, Inc.

  669   59,681
Sempra

  857   71,671
Unitil Corp.

  64   3,877
WEC Energy Group, Inc.

  425   40,877
          449,548
OFFICE REITs — 0.1%  
Alexandria Real Estate Equities, Inc. REIT

  216   25,650
Brandywine Realty Trust REIT

  640   3,482
BXP, Inc. REIT

  201   16,172
COPT Defense Properties REIT

  137   4,155
Cousins Properties, Inc. REIT

  187   5,513
Douglas Emmett, Inc. REIT

  398   6,993
Equity Commonwealth REIT (a)

  203   4,040
Highwoods Properties, Inc. REIT

  85   2,848
Hudson Pacific Properties, Inc. REIT

  375   1,793
Security Description     Shares   Value
Kilroy Realty Corp. REIT

  114   $4,412
Paramount Group, Inc. REIT

  621   3,055
Peakstone Realty Trust REIT

  112   1,527
Piedmont Office Realty Trust, Inc. Class A REIT

  352   3,555
SL Green Realty Corp. REIT

  110   7,657
Vornado Realty Trust REIT

  221   8,707
          99,559
OIL, GAS & CONSUMABLE FUELS — 1.8%  
Antero Midstream Corp.

  544   8,187
Antero Resources Corp. (a)

  449   12,864
APA Corp.

  448   10,958
California Resources Corp.

  91   4,775
Calumet, Inc. (a)

  78   1,390
Cheniere Energy, Inc.

  303   54,492
Chesapeake Energy Corp.

  150   12,338
Chevron Corp.

  2,321   341,814
Chord Energy Corp.

  87   11,330
Civitas Resources, Inc.

  128   6,486
CNX Resources Corp. (a)

  170   5,537
Comstock Resources, Inc.

  188   2,092
ConocoPhillips

  1,598   168,237
CONSOL Energy, Inc.

  31   3,244
Coterra Energy, Inc.

  953   22,824
Crescent Energy Co. Class A

  350   3,833
Delek U.S. Holdings, Inc.

  110   2,063
Devon Energy Corp.

  807   31,570
Diamondback Energy, Inc.

  294   50,686
Dorian LPG Ltd.

  55   1,893
DT Midstream, Inc.

  152   11,956
EOG Resources, Inc.

  797   97,975
EQT Corp.

  808   29,605
Exxon Mobil Corp.

  6,078   712,463
Green Plains, Inc. (a)

  134   1,814
Gulfport Energy Corp. (a)

  27   4,086
Hess Corp.

  375   50,925
HF Sinclair Corp.

  250   11,143
International Seaways, Inc.

  79   4,073
Kinder Morgan, Inc.

  2,578   56,948
Kinetik Holdings, Inc.

  61   2,761
Kosmos Energy Ltd. (a)

  1,013   4,082
Magnolia Oil & Gas Corp. Class A

  270   6,593
Marathon Oil Corp.

  735   19,573
Marathon Petroleum Corp.

  456   74,287
Matador Resources Co.

  194   9,588
Murphy Oil Corp.

  163   5,500
Northern Oil & Gas, Inc.

  83   2,939
Occidental Petroleum Corp.

  870   44,840
ONEOK, Inc.

  793   72,266
Ovintiv, Inc.

  310   11,876
Par Pacific Holdings, Inc. (a)

  101   1,778
PBF Energy, Inc. Class A

  95   2,940
Peabody Energy Corp.

  248   6,582
Permian Resources Corp.

  869   11,827
Phillips 66 Co.

  567   74,532
Range Resources Corp.

  397   12,212
 
See accompanying notes to Schedule of Investments.
201

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Sable Offshore Corp. (a)

  68   $1,607
Sitio Royalties Corp. Class A

  264   5,502
SM Energy Co.

  176   7,035
Southwestern Energy Co. (a)

  1,734   12,329
Talos Energy, Inc. (a)

  247   2,556
Targa Resources Corp.

  299   44,255
Texas Pacific Land Corp.

  26   23,003
Uranium Energy Corp. (a)

  349   2,167
Valero Energy Corp.

  436   58,873
Viper Energy, Inc.

  267   12,044
Williams Cos., Inc.

  1,666   76,053
World Kinect Corp.

  131   4,049
          2,351,250
PERSONAL CARE PRODUCTS — 0.1%  
BellRing Brands, Inc. (a)

  192   11,658
Coty, Inc. Class A (a)

  679   6,376
Edgewell Personal Care Co.

  84   3,053
elf Beauty, Inc. (a)

  80   8,723
Estee Lauder Cos., Inc. Class A

  315   31,402
Inter Parfums, Inc.

  25   3,237
Kenvue, Inc.

  2,603   60,207
          124,656
PAPER & FOREST PRODUCTS — 0.0% (e)  
Louisiana-Pacific Corp.

  88   9,456
Sylvamo Corp.

  36   3,091
          12,547
PHARMACEUTICALS — 2.0%  
Amneal Pharmaceuticals, Inc. (a)

  250   2,080
Amphastar Pharmaceuticals, Inc. (a)

  53   2,572
ANI Pharmaceuticals, Inc. (a)

  36   2,148
Arvinas, Inc. (a)

  46   1,133
Axsome Therapeutics, Inc. (a)

  75   6,740
Bristol-Myers Squibb Co.

  2,793   144,510
Cassava Sciences, Inc. (a)

  113   3,326
Catalent, Inc. (a)

  231   13,992
Collegium Pharmaceutical, Inc. (a)

  57   2,202
Corcept Therapeutics, Inc. (a)

  167   7,729
Edgewise Therapeutics, Inc. (a)

  78   2,082
Elanco Animal Health, Inc. (a)

  664   9,754
Eli Lilly & Co.

  1,089   964,789
Evolus, Inc. (a)

  123   1,993
Harmony Biosciences Holdings, Inc. (a)

  57   2,280
Harrow, Inc. (a)

  29   1,304
Innoviva, Inc. (a)

  150   2,896
Intra-Cellular Therapies, Inc. (a)

  129   9,439
Jazz Pharmaceuticals PLC (a)

  72   8,022
Johnson & Johnson

  3,294   533,826
Ligand Pharmaceuticals, Inc. (a)

  27   2,702
Merck & Co., Inc.

  3,483   395,529
Neumora Therapeutics, Inc. (a)

  149   1,968
Organon & Co.

  396   7,575
Pacira BioSciences, Inc. (a)

  102   1,535
Perrigo Co. PLC

  272   7,135
Security Description     Shares   Value
Pfizer, Inc.

  7,753   $224,372
Pliant Therapeutics, Inc. (a)

  181   2,029
Prestige Consumer Healthcare, Inc. (a)

  154   11,103
Royalty Pharma PLC Class A

  557   15,758
Supernus Pharmaceuticals, Inc. (a)

  85   2,650
Tarsus Pharmaceuticals, Inc. (a)

  54   1,776
Viatris, Inc.

  1,725   20,027
Zoetis, Inc.

  619   120,940
          2,537,916
PROFESSIONAL SERVICES — 0.6%  
Alight, Inc. Class A (a)

  478   3,537
Amentum Holdings, Inc. (a)

  162   5,224
ASGN, Inc. (a)

  76   7,085
Automatic Data Processing, Inc.

  561   155,246
Barrett Business Services, Inc.

  75   2,813
Booz Allen Hamilton Holding Corp.

  183   29,785
Broadridge Financial Solutions, Inc.

  158   33,975
CACI International, Inc. Class A (a)

  30   15,137
CBIZ, Inc. (a)

  99   6,662
Clarivate PLC (a) (b)

  898   6,376
Concentrix Corp. (b)

  47   2,409
CRA International, Inc.

  13   2,279
CSG Systems International, Inc.

  86   4,184
Dayforce, Inc. (a) (b)

  237   14,516
Dun & Bradstreet Holdings, Inc.

  382   4,397
Equifax, Inc.

  169   49,662
ExlService Holdings, Inc. (a)

  194   7,401
Exponent, Inc.

  80   9,222
First Advantage Corp. (a)

  146   2,898
FTI Consulting, Inc. (a)

  53   12,061
Genpact Ltd.

  215   8,430
Huron Consulting Group, Inc. (a)

  37   4,022
ICF International, Inc.

  51   8,506
Insperity, Inc.

  33   2,904
Jacobs Solutions, Inc.

  162   21,206
KBR, Inc.

  189   12,310
Kforce, Inc.

  38   2,335
Korn Ferry

  108   8,126
Legalzoom.com, Inc. (a)

  252   1,600
Leidos Holdings, Inc.

  183   29,829
ManpowerGroup, Inc.

  55   4,044
Maximus, Inc.

  81   7,546
NV5 Global, Inc. (a)

  33   3,085
Parsons Corp. (a)

  52   5,391
Paychex, Inc.

  437   58,641
Paycom Software, Inc.

  67   11,160
Paycor HCM, Inc. (a)

  147   2,086
Paylocity Holding Corp. (a)

  73   12,043
Robert Half, Inc.

  121   8,157
Science Applications International Corp.

  73   10,167
SS&C Technologies Holdings, Inc.

  256   18,998
TransUnion

  259   27,117
TriNet Group, Inc.

  65   6,303
UL Solutions, Inc. Class A

  127   6,261
 
See accompanying notes to Schedule of Investments.
202

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Upwork, Inc. (a)

  204   $2,132
Verisk Analytics, Inc.

  201   53,860
Verra Mobility Corp. (a)

  215   5,979
          717,107
REAL ESTATE MANAGEMENT & DEVELOPMENT — 0.1%  
CBRE Group, Inc. Class A (a)

  395   49,170
Compass, Inc. Class A (a)

  840   5,132
CoStar Group, Inc. (a)

  560   42,246
Cushman & Wakefield PLC (a)

  464   6,324
DigitalBridge Group, Inc.

  136   1,922
eXp World Holdings, Inc. (b)

  119   1,677
Howard Hughes Holdings, Inc. (a)

  59   4,568
Jones Lang LaSalle, Inc. (a)

  61   16,458
Kennedy-Wilson Holdings, Inc.

  212   2,343
Lennar Corp. Class B

  27   4,669
Marcus & Millichap, Inc.

  80   3,170
Newmark Group, Inc. Class A

  256   3,976
Opendoor Technologies, Inc. (a)

  852   1,704
Redfin Corp. (a)

  329   4,122
Seaport Entertainment Group, Inc. (a)

  3   82
St. Joe Co.

  82   4,782
Tejon Ranch Co. (a)

  121   2,124
Zillow Group, Inc. Class A (a)

  71   4,397
Zillow Group, Inc. Class C (a)

  201   12,834
          171,700
RESIDENTIAL REITs — 0.2%  
American Homes 4 Rent Class A REIT

  426   16,354
Apartment Investment & Management Co. Class A REIT (a)

  350   3,164
AvalonBay Communities, Inc. REIT

  191   43,023
Camden Property Trust REIT

  136   16,800
Centerspace REIT

  36   2,537
Equity LifeStyle Properties, Inc. REIT

  252   17,978
Equity Residential REIT

  476   35,443
Essex Property Trust, Inc. REIT

  84   24,815
Independence Realty Trust, Inc. REIT

  352   7,216
Invitation Homes, Inc. REIT

  752   26,515
Mid-America Apartment Communities, Inc. REIT

  155   24,629
NexPoint Residential Trust, Inc. REIT

  56   2,465
Sun Communities, Inc. REIT

  157   21,219
UDR, Inc. REIT

  369   16,730
          258,888
RETAIL REITs — 0.2%  
Acadia Realty Trust REIT

  240   5,635
Agree Realty Corp. REIT

  134   10,094
Brixmor Property Group, Inc. REIT

  391   10,893
CBL & Associates Properties, Inc. REIT

  190   4,788
Security Description     Shares   Value
Federal Realty Investment Trust REIT

  104   $11,957
InvenTrust Properties Corp. REIT

  170   4,823
Kimco Realty Corp. REIT

  888   20,619
Kite Realty Group Trust REIT

  272   7,224
Macerich Co. REIT

  326   5,946
NETSTREIT Corp. (b)

  163   2,694
NNN REIT, Inc.

  234   11,347
Phillips Edison & Co., Inc. REIT

  137   5,166
Realty Income Corp. REIT

  1,223   77,563
Regency Centers Corp. REIT

  227   16,396
Retail Opportunity Investments Corp. REIT

  257   4,043
Simon Property Group, Inc. REIT

  432   73,017
SITE Centers Corp. REIT

  67   4,054
Tanger, Inc. REIT

  339   11,248
Urban Edge Properties REIT

  194   4,150
          291,657
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT — 6.0%  
Advanced Micro Devices, Inc. (a)

  2,243   368,031
Allegro MicroSystems, Inc. (a)

  134   3,122
Alpha & Omega Semiconductor Ltd. (a)

  35   1,299
Ambarella, Inc. (a)

  74   4,174
Amkor Technology, Inc.

  209   6,395
Analog Devices, Inc.

  674   155,135
Applied Materials, Inc.

  1,141   230,539
Axcelis Technologies, Inc. (a)

  29   3,041
Broadcom, Inc.

  6,413   1,106,242
Cirrus Logic, Inc. (a)

  87   10,806
Cohu, Inc. (a)

  95   2,441
Credo Technology Group Holding Ltd. (a)

  229   7,053
Diodes, Inc. (a)

  51   3,269
Enphase Energy, Inc. (a)

  185   20,909
Entegris, Inc.

  206   23,181
First Solar, Inc. (a)

  146   36,418
FormFactor, Inc. (a)

  138   6,348
Ichor Holdings Ltd. (a)

  62   1,972
Impinj, Inc. (a) (b)

  36   7,795
Intel Corp.

  5,990   140,525
KLA Corp.

  188   145,589
Kulicke & Soffa Industries, Inc.

  47   2,121
Lam Research Corp.

  184   150,159
Lattice Semiconductor Corp. (a)

  218   11,569
MACOM Technology Solutions Holdings, Inc. (a)

  77   8,567
Marvell Technology, Inc.

  1,181   85,174
MaxLinear, Inc. (a)

  95   1,376
Microchip Technology, Inc.

  716   57,488
Micron Technology, Inc.

  1,552   160,958
MKS Instruments, Inc.

  93   10,110
Monolithic Power Systems, Inc.

  66   61,017
NVIDIA Corp.

  33,844   4,110,015
NXP Semiconductors NV

  344   82,563
 
See accompanying notes to Schedule of Investments.
203

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
ON Semiconductor Corp. (a)

  587   $42,622
Onto Innovation, Inc. (a)

  76   15,775
PDF Solutions, Inc. (a)

  77   2,439
Photronics, Inc. (a)

  167   4,135
Power Integrations, Inc.

  105   6,733
Qorvo, Inc. (a)

  125   12,912
QUALCOMM, Inc.

  1,534   260,857
Rambus, Inc. (a)

  180   7,600
Semtech Corp. (a)

  145   6,621
Silicon Laboratories, Inc. (a)

  36   4,161
SiTime Corp. (a)

  19   3,259
Skyworks Solutions, Inc.

  209   20,643
SMART Global Holdings, Inc. (a)

  74   1,550
Synaptics, Inc. (a)

  31   2,405
Teradyne, Inc.

  227   30,402
Texas Instruments, Inc.

  1,249   258,006
Ultra Clean Holdings, Inc. (a)

  105   4,193
Universal Display Corp.

  59   12,384
Veeco Instruments, Inc. (a)

  91   3,015
          7,725,113
SOFTWARE — 6.0%  
A10 Networks, Inc.

  160   2,310
ACI Worldwide, Inc. (a)

  139   7,075
Adeia, Inc.

  154   1,834
Adobe, Inc. (a)

  615   318,435
Agilysys, Inc. (a)

  28   3,051
Alarm.com Holdings, Inc. (a)

  181   9,895
Alkami Technology, Inc. (a)

  131   4,132
Altair Engineering, Inc. Class A (a) (b)

  87   8,309
ANSYS, Inc. (a)

  116   36,961
Appfolio, Inc. Class A (a)

  32   7,533
Appian Corp. Class A (a)

  64   2,185
AppLovin Corp. Class A (a)

  292   38,121
Asana, Inc. Class A (a)

  194   2,248
Aspen Technology, Inc. (a)

  41   9,792
Atlassian Corp. Class A (a)

  219   34,779
Aurora Innovation, Inc. (a)

  1,421   8,412
Autodesk, Inc. (a)

  289   79,614
AvePoint, Inc. (a)

  205   2,413
Bentley Systems, Inc. Class B

  223   11,331
Bill Holdings, Inc. (a)

  150   7,914
Blackbaud, Inc. (a)

  78   6,605
BlackLine, Inc. (a)

  59   3,253
Box, Inc. Class A (a)

  213   6,972
Braze, Inc. Class A (a)

  91   2,943
C3.ai, Inc. Class A (a)

  218   5,282
Cadence Design Systems, Inc. (a)

  371   100,552
CCC Intelligent Solutions Holdings, Inc. (a)

  599   6,619
Cleanspark, Inc. (a) (b)

  173   1,616
Clear Secure, Inc. Class A

  103   3,413
Clearwater Analytics Holdings, Inc. Class A (a)

  280   7,070
CommVault Systems, Inc. (a)

  62   9,539
Confluent, Inc. Class A (a)

  388   7,907
Security Description     Shares   Value
Crowdstrike Holdings, Inc. Class A (a)

  314   $88,068
Datadog, Inc. Class A (a)

  428   49,246
DocuSign, Inc. (a)

  272   16,888
Dolby Laboratories, Inc. Class A

  93   7,117
DoubleVerify Holdings, Inc. (a)

  173   2,913
Dropbox, Inc. Class A (a)

  274   6,968
Dynatrace, Inc. (a)

  394   21,067
E2open Parent Holdings, Inc. (a)

  500   2,205
Elastic NV (a)

  121   9,288
Envestnet, Inc. (a)

  37   2,317
Fair Isaac Corp. (a)

  33   64,136
Five9, Inc. (a)

  144   4,137
Fortinet, Inc. (a)

  868   67,313
Freshworks, Inc. Class A (a)

  374   4,294
Gen Digital, Inc.

  743   20,381
Gitlab, Inc. Class A (a)

  168   8,659
Guidewire Software, Inc. (a)

  113   20,672
HashiCorp, Inc. Class A (a)

  212   7,178
HubSpot, Inc. (a)

  71   37,744
Informatica, Inc. Class A (a)

  72   1,820
Intapp, Inc. (a)

  40   1,913
InterDigital, Inc. (b)

  23   3,258
Intuit, Inc.

  394   244,674
Jamf Holding Corp. (a)

  135   2,342
Klaviyo, Inc. Class A (a)

  66   2,335
LiveRamp Holdings, Inc. (a)

  160   3,965
Manhattan Associates, Inc. (a)

  84   23,636
MARA Holdings, Inc. (a) (b)

  443   7,185
Matterport, Inc. (a)

  500   2,250
Microsoft Corp.

  10,211   4,393,793
MicroStrategy, Inc. Class A (a) (b)

  239   40,295
N-able, Inc. (a)

  157   2,050
nCino, Inc. (a)

  101   3,191
NCR Voyix Corp. (a)

  309   4,193
Nutanix, Inc. Class A (a)

  341   20,204
Oracle Corp.

  2,196   374,198
PagerDuty, Inc. (a)

  182   3,376
Palantir Technologies, Inc. Class A (a)

  2,729   101,519
Palo Alto Networks, Inc. (a)

  458   156,544
Pegasystems, Inc.

  49   3,581
Procore Technologies, Inc. (a)

  146   9,011
Progress Software Corp.

  84   5,659
PROS Holdings, Inc. (a)

  109   2,019
PTC, Inc. (a)

  159   28,725
Q2 Holdings, Inc. (a)

  92   7,339
Qualys, Inc. (a)

  60   7,708
QXO, Inc.

  427   6,734
Rapid7, Inc. (a)

  82   3,271
RingCentral, Inc. Class A (a)

  99   3,131
Riot Platforms, Inc. (a)

  538   3,992
Roper Technologies, Inc.

  149   82,910
Rubrik, Inc. Class A (a)

  72   2,315
Salesforce, Inc.

  1,350   369,509
Samsara, Inc. Class A (a)

  290   13,955
 
See accompanying notes to Schedule of Investments.
204

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
SentinelOne, Inc. Class A (a)

  405   $9,688
ServiceNow, Inc. (a)

  290   259,373
Smartsheet, Inc. Class A (a)

  189   10,463
SoundHound AI, Inc. Class A (a) (b)

  246   1,146
Sprinklr, Inc. Class A (a)

  269   2,079
Sprout Social, Inc. Class A (a)

  75   2,180
SPS Commerce, Inc. (a)

  42   8,155
Synopsys, Inc. (a)

  207   104,823
Tenable Holdings, Inc. (a)

  186   7,537
Teradata Corp. (a)

  102   3,095
Terawulf, Inc. (a)

  778   3,641
Tyler Technologies, Inc. (a)

  59   34,439
UiPath, Inc. Class A (a)

  619   7,923
Unity Software, Inc. (a) (b)

  426   9,636
Varonis Systems, Inc. (a)

  165   9,323
Verint Systems, Inc. (a)

  161   4,078
Vertex, Inc. Class A (a)

  64   2,465
Workday, Inc. Class A (a)

  287   70,146
Workiva, Inc. (a)

  90   7,121
Yext, Inc. (a)

  210   1,453
Zeta Global Holdings Corp. Class A (a)

  302   9,009
Zoom Video Communications, Inc. Class A (a)

  351   24,479
Zscaler, Inc. (a)

  129   22,051
Zuora, Inc. Class A (a)

  274   2,362
          7,757,971
SPECIALIZED REITs — 0.6%  
American Tower Corp. REIT

  638   148,373
Crown Castle, Inc. REIT

  596   70,704
CubeSmart REIT

  305   16,418
Digital Realty Trust, Inc. REIT

  419   67,807
EPR Properties REIT

  61   2,991
Equinix, Inc. REIT

  129   114,504
Extra Space Storage, Inc. REIT

  293   52,796
Four Corners Property Trust, Inc. REIT

  185   5,422
Gaming & Leisure Properties, Inc. REIT

  349   17,956
Iron Mountain, Inc. REIT

  393   46,700
Lamar Advertising Co. Class A REIT

  115   15,364
National Storage Affiliates Trust REIT

  65   3,133
Outfront Media, Inc. REIT

  225   4,136
PotlatchDeltic Corp. REIT

  139   6,262
Public Storage REIT

  216   78,596
Rayonier, Inc. REIT

  148   4,763
Safehold, Inc. REIT

  131   3,436
SBA Communications Corp. REIT

  147   35,383
Uniti Group, Inc. REIT

  305   1,720
VICI Properties, Inc. REIT

  1,475   49,132
Weyerhaeuser Co. REIT

  1,009   34,165
          779,761
SPECIALTY RETAIL — 1.2%  
Abercrombie & Fitch Co. Class A (a)

  71   9,933
Security Description     Shares   Value
Academy Sports & Outdoors, Inc.

  110   $6,420
Advance Auto Parts, Inc.

  74   2,885
American Eagle Outfitters, Inc.

  305   6,829
Asbury Automotive Group, Inc. (a)

  32   7,635
AutoNation, Inc. (a)

  34   6,083
AutoZone, Inc. (a)

  23   72,451
Bath & Body Works, Inc.

  299   9,544
Best Buy Co., Inc.

  264   27,271
Boot Barn Holdings, Inc. (a)

  43   7,193
Buckle, Inc.

  68   2,990
Burlington Stores, Inc. (a)

  84   22,132
Caleres, Inc.

  69   2,280
Camping World Holdings, Inc. Class A

  116   2,810
CarMax, Inc. (a)

  206   15,940
Carvana Co. (a)

  154   26,813
Chewy, Inc. Class A (a)

  205   6,004
Dick's Sporting Goods, Inc.

  79   16,487
Five Below, Inc. (a)

  86   7,598
Floor & Decor Holdings, Inc. Class A (a)

  146   18,129
Foot Locker, Inc.

  187   4,832
GameStop Corp. Class A (a)

  601   13,781
Gap, Inc.

  346   7,629
Group 1 Automotive, Inc.

  19   7,278
Haverty Furniture Cos., Inc. Class A

  163   4,393
Home Depot, Inc.

  1,352   547,830
Lithia Motors, Inc.

  30   9,529
Lowe's Cos., Inc.

  792   214,513
MarineMax, Inc. (a)

  48   1,693
Murphy USA, Inc.

  26   12,815
National Vision Holdings, Inc. (a)

  170   1,855
ODP Corp. (a)

  69   2,053
O'Reilly Automotive, Inc. (a)

  81   93,280
Penske Automotive Group, Inc.

  19   3,086
Revolve Group, Inc. (a) (b)

  70   1,735
RH (a)

  21   7,023
Ross Stores, Inc.

  445   66,977
Sally Beauty Holdings, Inc. (a)

  169   2,293
Signet Jewelers Ltd. (b)

  76   7,839
Sonic Automotive, Inc. Class A

  31   1,813
TJX Cos., Inc.

  1,544   181,482
Tractor Supply Co.

  146   42,476
Ulta Beauty, Inc. (a)

  62   24,125
Upbound Group, Inc.

  128   4,095
Urban Outfitters, Inc. (a)

  107   4,099
Valvoline, Inc. (a)

  187   7,826
Victoria's Secret & Co. (a)

  65   1,670
Warby Parker, Inc. Class A (a)

  134   2,188
Wayfair, Inc. Class A (a) (b)

  132   7,416
Williams-Sonoma, Inc.

  178   27,576
Winmark Corp.

  5   1,915
          1,594,542
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS — 4.0%  
Apple, Inc.

  20,891   4,867,603
 
See accompanying notes to Schedule of Investments.
205

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Dell Technologies, Inc. Class C

  395   $46,823
Diebold Nixdorf, Inc. (a)

  33   1,474
Hewlett Packard Enterprise Co.

  1,787   36,562
HP, Inc.

  1,357   48,676
IonQ, Inc. (a)

  269   2,351
NetApp, Inc.

  283   34,953
Pure Storage, Inc. Class A (a)

  432   21,704
Seagate Technology Holdings PLC

  295   32,311
Super Micro Computer, Inc. (a)

  69   28,732
Western Digital Corp. (a)

  464   31,687
Xerox Holdings Corp. (b)

  125   1,297
          5,154,173
TEXTILES, APPAREL & LUXURY GOODS — 0.3%  
Capri Holdings Ltd. (a)

  190   8,064
Carter's, Inc.

  31   2,014
Columbia Sportswear Co.

  52   4,326
Crocs, Inc. (a)

  91   13,178
Deckers Outdoor Corp. (a)

  210   33,484
G-III Apparel Group Ltd. (a)

  50   1,526
Hanesbrands, Inc. (a)

  448   3,293
Kontoor Brands, Inc.

  92   7,524
Levi Strauss & Co. Class A

  138   3,008
Lululemon Athletica, Inc. (a)

  153   41,517
NIKE, Inc. Class B

  1,672   147,805
Oxford Industries, Inc.

  32   2,776
PVH Corp.

  79   7,966
Ralph Lauren Corp.

  83   16,091
Skechers USA, Inc. Class A (a)

  185   12,380
Steven Madden Ltd.

  50   2,449
Tapestry, Inc.

  317   14,893
Under Armour, Inc. Class A (a)

  344   3,065
VF Corp. (b)

  440   8,778
Wolverine World Wide, Inc.

  120   2,090
          336,227
TOBACCO — 0.3%  
Altria Group, Inc.

  2,340   119,434
Philip Morris International, Inc.

  2,150   261,010
Vector Group Ltd.

  269   4,013
          384,457
TRADING COMPANIES & DISTRIBUTORS — 0.3%  
Air Lease Corp.

  153   6,929
Applied Industrial Technologies, Inc.

  53   11,826
Beacon Roofing Supply, Inc. (a)

  87   7,519
BlueLinx Holdings, Inc. (a)

  24   2,530
Boise Cascade Co.

  62   8,741
Core & Main, Inc. Class A (a)

  273   12,121
DNOW, Inc. (a)

  173   2,237
Fastenal Co.

  771   55,065
Ferguson Enterprises, Inc.

  272   54,011
FTAI Aviation Ltd.

  146   19,403
GATX Corp.

  56   7,417
GMS, Inc. (a)

  29   2,627
H&E Equipment Services, Inc.

  85   4,138
Herc Holdings, Inc.

  44   7,015
Security Description     Shares   Value
McGrath RentCorp

  21   $2,211
MRC Global, Inc. (a)

  159   2,026
MSC Industrial Direct Co., Inc. Class A

  35   3,012
Rush Enterprises, Inc. Class A

  72   3,804
SiteOne Landscape Supply, Inc. (a)

  66   9,960
Transcat, Inc. (a)

  14   1,691
United Rentals, Inc.

  91   73,685
Watsco, Inc.

  48   23,610
WESCO International, Inc.

  60   10,079
WW Grainger, Inc.

  62   64,406
          396,063
WATER UTILITIES — 0.1%  
American States Water Co.

  85   7,080
American Water Works Co., Inc.

  255   37,291
California Water Service Group

  66   3,579
Essential Utilities, Inc.

  337   12,998
Middlesex Water Co.

  62   4,045
SJW Group

  94   5,462
          70,455
WIRELESS TELECOMMUNICATION SERVICES — 0.1%  
Telephone & Data Systems, Inc.

  238   5,533
T-Mobile U.S., Inc.

  663   136,817
U.S. Cellular Corp. (a)

  23   1,257
          143,607
TOTAL COMMON STOCKS

(Cost $71,317,633)

        76,857,135
MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS — 39.7%   
DOMESTIC FIXED INCOME — 39.7%  
State Street Aggregate Bond Index Portfolio (f)

(Cost $50,161,388)

  557,714   50,952,716
TOTAL MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS

(Cost $50,161,388)

        50,952,716
RIGHTS — 0.0% (e)          
BIOTECHNOLOGY — 0.0% (e)          
Mirati Therapeutics, Inc. (expiring 12/31/49) (a)

    36   25
REAL ESTATE MANAGEMENT & DEVELOPMENT — 0.0% (e)          
Seaport Entertainment Group, Inc. (expiring 10/10/24) (a)

    3   9
TOTAL RIGHTS

(Cost $25)

        34
SHORT-TERM INVESTMENTS — 0.5%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (g) (h)

  465,080   465,080
 
See accompanying notes to Schedule of Investments.
206

Table of Contents
STATE STREET BALANCED INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
State Street Navigator Securities Lending Portfolio II (d) (i)

  168,116   $168,116
TOTAL SHORT-TERM INVESTMENTS

(Cost $633,196)

  633,196  
TOTAL INVESTMENTS — 100.0%

(Cost $122,112,242)

  128,443,081  
OTHER ASSETS IN EXCESS OF LIABILITIES — 0.0% (e)

  42,130  
NET ASSETS — 100.0%

  $128,485,211  
(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at September 30, 2024.
(c) Reflects separate holdings of the issuer's common stock traded on different securities exchanges.
(d) The Fund invested in an affiliated entity. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(e) Amount is less than 0.05% of net assets.
(f) Affiliated fund managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(g) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(h) The rate shown is the annualized seven-day yield at September 30, 2024.
(i) Investment of cash collateral for securities loaned.
REIT Real Estate Investment Trust
 
The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                 
INVESTMENTS:                
Common Stocks

  $76,857,135   $  $—   $76,857,135
Mutual Funds and Exchange Traded Products

  50,952,716       50,952,716
Rights

  9   25     34
Short-Term Investments

  633,196       633,196
TOTAL INVESTMENTS

  $128,443,056   $25   $—   $128,443,081
 
Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
State Street Aggregate Bond Index Portfolio

100,587   $9,006,534   $41,800,321   $76,133   $(644)   $222,638   557,714   $50,952,716   $235,812
State Street Corp.

92   7,126   26,768       1,494   400   35,388   127
State Street Institutional U.S. Government Money Market Fund, Class G Shares

49,675   49,675   44,271,905   43,856,500       465,080   465,080   11,400
State Street Navigator Securities Lending Portfolio II

    427,578   259,462       168,116   168,116   182
Total

    $9,063,335   $86,526,572   $44,192,095   $(644)   $224,132       $51,621,300   $247,521
See accompanying notes to Schedule of Investments.
207

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STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
COMMON STOCKS — 95.3%        
BRAZIL — 4.7%  
Ambev SA

    357,085   $857,665
Atacadao SA (a)

    49,800   84,588
B3 SA - Brasil Bolsa Balcao

    421,876   829,684
Banco Bradesco SA

    124,823   300,035
Banco Bradesco SA Preference Shares

    404,343   1,091,454
Banco BTG Pactual SA 

    89,356   545,866
Banco do Brasil SA

    128,896   643,320
BB Seguridade Participacoes SA

    55,337   360,730
BRF SA (a)

    47,000   204,111
Caixa Seguridade Participacoes SA

    48,200   128,780
CCR SA

    81,769   181,682
Centrais Eletricas Brasileiras SA

    92,057   665,181
Centrais Eletricas Brasileiras SA Class B, Preference Shares

    16,400   131,632
Cia de Saneamento Basico do Estado de Sao Paulo SABESP

    34,600   574,358
Cia Energetica de Minas Gerais Preference Shares

    134,458   281,469
Cia Paranaense de Energia - Copel Class B, Preference Shares

    80,700   151,003
Cia Siderurgica Nacional SA

    45,000   106,513
Cosan SA

    94,700   227,455
CPFL Energia SA

    15,300   95,327
Embraer SA (a)

    53,100   467,738
Energisa SA

    19,540   160,710
Engie Brasil Energia SA

    13,987   109,029
Equatorial Energia SA (b)

    83,695   499,484
Equatorial Energia SA (a) (b)

    5,716   34,155
Gerdau SA Preference Shares

    108,658   381,095
Hapvida Participacoes e Investimentos SA (a) (c)

    364,163   267,482
Hypera SA

    30,700   147,868
Inter & Co., Inc. Class A

    17,700   117,882
Itau Unibanco Holding SA Preference Shares

    369,961   2,453,137
Itausa SA Preference Shares

    409,490   832,395
Klabin SA

    64,307   246,681
Localiza Rent a Car SA

    70,437   530,302
Natura & Co. Holding SA

    72,590   187,280
NU Holdings Ltd. Class A (a)

    226,500   3,091,725
Pagseguro Digital Ltd. Class A (a)

    14,800   127,428
Petroleo Brasileiro SA

    284,014   2,048,043
Petroleo Brasileiro SA Preference Shares

    342,198   2,262,762
PRIO SA

    60,800   483,761
Raia Drogasil SA

    97,500   456,365
Rede D'Or Sao Luiz SA (c)

    60,300   342,480
Rumo SA

    101,800   373,866
Sendas Distribuidora SA (a)

    98,600   135,250
Security Description     Shares   Value
StoneCo Ltd. Class A (a) (d)

    18,800   $211,688
Suzano SA

    59,324   593,044
Telefonica Brasil SA

    32,555   333,692
TIM SA

    68,200   234,564
TOTVS SA

    42,893   224,948
Ultrapar Participacoes SA

    53,164   207,060
Vale SA

    259,928   3,031,332
Vibra Energia SA

    75,800   325,704
WEG SA

    127,860   1,277,003
XP, Inc. Class A

    28,100   504,114
          30,160,920
CHILE — 0.4%  
Banco de Chile

    3,497,408   446,768
Banco de Credito e Inversiones SA

    5,944   185,291
Banco Santander Chile

    4,984,678   259,532
Cencosud SA

    98,675   199,460
Empresas CMPC SA

    89,880   156,557
Empresas Copec SA

    31,310   209,919
Enel Americas SA

    1,713,283   175,144
Enel Chile SA

    2,188,209   120,633
Falabella SA (a)

    65,406   242,568
Latam Airlines Group SA

    11,076,599   142,729
Sociedad Quimica y Minera de Chile SA Class B, Preference Shares

    11,025   458,055
          2,596,656
CHINA — 24.5%  
360 Security Technology, Inc. Class A

    15,100   19,008
37 Interactive Entertainment Network Technology Group Co. Ltd. Class A

    3,500   8,952
AAC Technologies Holdings, Inc.

    56,000   229,984
Advanced Micro-Fabrication Equipment, Inc. China Class A

    1,017   23,831
AECC Aero-Engine Control Co. Ltd. Class A

    3,700   11,604
AECC Aviation Power Co. Ltd. Class A

    4,600   27,139
Agricultural Bank of China Ltd. Class A

    115,800   79,421
Agricultural Bank of China Ltd. Class H

    2,104,500   991,628
Aier Eye Hospital Group Co. Ltd. Class A

    7,536   17,132
Air China Ltd. Class A (a)

    8,800   9,908
Airtac International Group

    10,650   307,252
Akeso, Inc. (a) (c) (d)

    45,000   397,425
Alibaba Group Holding Ltd.

    1,165,656   16,507,520
Alibaba Health Information Technology Ltd. (a) (d)

    440,500   303,402
Aluminum Corp. of China Ltd. Class A

    7,000   8,902
 
See accompanying notes to Schedule of Investments.
208

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STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Aluminum Corp. of China Ltd. Class H

    316,000   $251,417
Angel Yeast Co. Ltd. Class A

    3,300   17,173
Anhui Conch Cement Co. Ltd. Class A

    2,000   7,470
Anhui Conch Cement Co. Ltd. Class H (d)

    99,000   291,233
Anhui Gujing Distillery Co. Ltd. Class A

    800   23,207
Anhui Gujing Distillery Co. Ltd. Class B

    8,900   143,454
Anhui Kouzi Distillery Co. Ltd. Class A

    1,500   10,277
Anhui Yingjia Distillery Co. Ltd. Class A

    1,100   11,461
Anjoy Foods Group Co. Ltd. Class A

    800   11,355
ANTA Sports Products Ltd.

    96,800   1,177,053
Asymchem Laboratories Tianjin Co. Ltd. Class A

    840   10,050
Autohome, Inc. ADR

    4,802   156,578
Avary Holding Shenzhen Co. Ltd. Class A

    1,800   9,200
AviChina Industry & Technology Co. Ltd. Class H (d)

    185,000   90,505
Avicopter PLC Class A

    2,300   13,711
Baidu, Inc. Class A (a)

    174,000   2,365,549
Bank of Beijing Co. Ltd. Class A

    38,340   31,993
Bank of Changsha Co. Ltd. Class A

    4,200   5,023
Bank of Chengdu Co. Ltd. Class A

    6,200   13,953
Bank of China Ltd. Class A

    53,300   38,079
Bank of China Ltd. Class H

    6,067,000   2,866,545
Bank of Communications Co. Ltd. Class A

    51,012   53,937
Bank of Communications Co. Ltd. Class H

    669,000   513,323
Bank of Hangzhou Co. Ltd. Class A

    3,100   6,245
Bank of Jiangsu Co. Ltd. Class A

    31,336   37,610
Bank of Nanjing Co. Ltd. Class A

    8,040   12,579
Bank of Ningbo Co. Ltd. Class A

    6,200   22,767
Bank of Shanghai Co. Ltd. Class A

    22,608   25,487
Baoshan Iron & Steel Co. Ltd. Class A

    33,300   33,021
BeiGene Ltd. (a)

    52,300   974,292
Beijing Enlight Media Co. Ltd. Class A

    3,000   3,815
Beijing Enterprises Holdings Ltd.

    40,500   145,472
Beijing Enterprises Water Group Ltd.

    304,000   94,713
Beijing Kingsoft Office Software, Inc. Class A

    363   13,817
Security Description     Shares   Value
Beijing New Building Materials PLC Class A

    2,800   $13,195
Beijing Oriental Yuhong Waterproof Technology Co. Ltd. Class A

    2,900   5,714
Beijing Roborock Technology Co. Ltd. Class A

    418   16,599
Beijing Tiantan Biological Products Corp. Ltd. Class A

    4,560   16,380
Beijing Tong Ren Tang Co. Ltd. Class A

    3,400   20,433
Beijing Wantai Biological Pharmacy Enterprise Co. Ltd. Class A

    1,785   20,881
Beijing-Shanghai High Speed Railway Co. Ltd. Class A

    54,900   47,380
Bethel Automotive Safety Systems Co. Ltd. Class A

    1,260   8,807
Bilibili, Inc. Class Z (a)

    17,300   431,637
Bloomage Biotechnology Corp. Ltd. Class A

    1,241   12,501
BOC Aviation Ltd. (c)

    16,700   138,244
BOC International China Co. Ltd. Class A

    5,900   10,622
BOE Technology Group Co. Ltd. Class A

    17,200   10,986
Bosideng International Holdings Ltd.

    308,000   176,850
BYD Co. Ltd. Class A

    2,400   105,384
BYD Co. Ltd. Class H

    79,500   2,904,680
BYD Electronic International Co. Ltd. (d)

    58,500   245,146
By-health Co. Ltd. Class A

    6,300   13,413
C&D International Investment Group Ltd. (d)

    47,134   102,187
Caitong Securities Co. Ltd. Class A

    16,900   21,057
Cambricon Technologies Corp. Ltd. Class A (a)

    356   14,709
CGN Power Co. Ltd. Class H (c)

    799,700   308,864
Changchun High-Tech Industry Group Co. Ltd. Class A, NVDR

    800   12,561
Changjiang Securities Co. Ltd. Class A

    19,700   20,323
Changzhou Xingyu Automotive Lighting Systems Co. Ltd. Class A

    300   6,330
Chaozhou Three-Circle Group Co. Ltd. Class A

    3,700   19,614
China CITIC Bank Corp. Ltd. Class H

    674,000   430,388
China Coal Energy Co. Ltd. Class H

    166,000   207,300
China Communications Services Corp. Ltd. Class H

    170,000   92,140
China Construction Bank Corp. Class A

    19,900   22,548
 
See accompanying notes to Schedule of Investments.
209

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Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
China Construction Bank Corp. Class H

    7,352,500   $5,565,845
China CSSC Holdings Ltd. Class A

    4,500   26,857
China Eastern Airlines Corp. Ltd. Class A (a)

    39,000   23,070
China Energy Engineering Corp. Ltd. Class A

    65,100   22,417
China Everbright Bank Co. Ltd. Class A

    48,000   24,690
China Everbright Bank Co. Ltd. Class H

    244,000   82,930
China Feihe Ltd. (c)

    295,000   223,315
China Galaxy Securities Co. Ltd. Class A

    14,200   31,226
China Galaxy Securities Co. Ltd. Class H

    268,500   250,957
China Gas Holdings Ltd.

    219,600   204,404
China Great Wall Securities Co. Ltd. Class A

    8,300   10,899
China Greatwall Technology Group Co. Ltd. Class A (a)

    3,600   5,339
China Hongqiao Group Ltd.

    213,000   355,388
China International Capital Corp. Ltd. Class A

    4,400   24,274
China International Capital Corp. Ltd. Class H (c) (d)

    117,600   210,446
China Jushi Co. Ltd. Class A

    5,629   9,459
China Life Insurance Co. Ltd. Class A

    2,300   14,460
China Life Insurance Co. Ltd. Class H

    575,000   1,156,292
China Literature Ltd. (a) (c) (d)

    32,200   134,313
China Longyuan Power Group Corp. Ltd. Class H

    252,000   228,722
China Mengniu Dairy Co. Ltd.

    237,000   570,570
China Merchants Bank Co. Ltd. Class A

    24,800   133,273
China Merchants Bank Co. Ltd. Class H

    297,500   1,476,489
China Merchants Energy Shipping Co. Ltd. Class A

    5,200   5,974
China Merchants Port Holdings Co. Ltd.

    101,455   161,701
China Merchants Securities Co. Ltd. Class A

    13,050   36,249
China Merchants Shekou Industrial Zone Holdings Co. Ltd. Class A

    19,012   33,277
China Minsheng Banking Corp. Ltd. Class A

    41,100   23,608
China Minsheng Banking Corp. Ltd. Class H (d)

    532,700   217,401
China National Building Material Co. Ltd. Class H (d)

    334,000   147,059
China National Chemical Engineering Co. Ltd. Class A

    8,900   10,479
Security Description     Shares   Value
China National Nuclear Power Co. Ltd. Class A

    20,100   $32,023
China National Software & Service Co. Ltd. Class A (a)

    2,000   11,977
China Northern Rare Earth Group High-Tech Co. Ltd. Class A

    8,900   26,235
China Oilfield Services Ltd. Class H

    138,000   127,029
China Overseas Land & Investment Ltd.

    293,000   600,523
China Pacific Insurance Group Co. Ltd. Class A

    7,100   39,666
China Pacific Insurance Group Co. Ltd. Class H

    201,400   725,999
China Petroleum & Chemical Corp. Class A

    34,900   34,707
China Petroleum & Chemical Corp. Class H

    1,854,000   1,155,244
China Power International Development Ltd. (d)

    385,000   183,888
China Railway Group Ltd. Class A

    33,400   31,354
China Railway Group Ltd. Class H

    339,000   178,065
China Railway Signal & Communication Corp. Ltd. Class A

    7,185   6,457
China Rare Earth Resources & Technology Co. Ltd. Class A

    700   2,832
China Resources Beer Holdings Co. Ltd. (d)

    123,333   539,855
China Resources Gas Group Ltd.

    69,200   279,295
China Resources Land Ltd.

    248,500   916,579
China Resources Microelectronics Ltd. Class A

    2,921   19,679
China Resources Mixc Lifestyle Services Ltd. (c)

    54,600   245,674
China Resources Pharmaceutical Group Ltd. (c)

    124,500   96,330
China Resources Power Holdings Co. Ltd.

    146,000   396,601
China Resources Sanjiu Medical & Pharmaceutical Co. Ltd. Class A

    2,470   16,803
China Ruyi Holdings Ltd. (a) (d)

    460,000   133,840
China Shenhua Energy Co. Ltd. Class A

    7,200   44,854
China Shenhua Energy Co. Ltd. Class H

    257,000   1,159,685
China Southern Airlines Co. Ltd. Class A (a)

    12,800   11,961
China State Construction Engineering Corp. Ltd. Class A

    45,300   40,001
China State Construction International Holdings Ltd.

    160,000   249,244
 
See accompanying notes to Schedule of Investments.
210

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Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
China Taiping Insurance Holdings Co. Ltd.

    111,600   $179,594
China Three Gorges Renewables Group Co. Ltd. Class A

    42,100   29,175
China Tourism Group Duty Free Corp. Ltd. Class A

    3,500   38,607
China Tower Corp. Ltd. Class H (c)

    3,362,000   445,814
China United Network Communications Ltd. Class A

    31,400   24,003
China Vanke Co. Ltd. Class A (a)

    300   417
China Vanke Co. Ltd. Class H (a) (d)

    175,300   168,135
China Yangtze Power Co. Ltd. Class A

    29,605   127,115
China Zheshang Bank Co. Ltd. Class A

    45,110   18,950
Chongqing Brewery Co. Ltd. Class A

    900   9,018
Chongqing Changan Automobile Co. Ltd. Class A

    15,594   33,155
Chongqing Rural Commercial Bank Co. Ltd. Class A

    7,300   5,674
Chongqing Zhifei Biological Products Co. Ltd. Class A

    5,250   25,040
Chow Tai Fook Jewellery Group Ltd. (d)

    160,800   181,139
CITIC Ltd.

    447,000   528,286
CITIC Securities Co. Ltd. Class A

    12,430   48,309
CITIC Securities Co. Ltd. Class H

    125,725   332,623
CMOC Group Ltd. Class A

    31,300   38,909
CMOC Group Ltd. Class H

    282,000   277,008
CNGR Advanced Material Co. Ltd. Class A

    1,120   6,427
CNPC Capital Co. Ltd. Class A

    14,400   15,164
Contemporary Amperex Technology Co. Ltd. Class A

    5,280   190,034
COSCO SHIPPING Development Co. Ltd. Class A

    10,800   4,074
COSCO SHIPPING Energy Transportation Co. Ltd. Class A

    6,300   14,268
COSCO SHIPPING Energy Transportation Co. Ltd. Class H (d)

    100,000   121,918
COSCO SHIPPING Holdings Co. Ltd. Class A

    22,100   49,608
COSCO SHIPPING Holdings Co. Ltd. Class H

    219,474   368,451
CRRC Corp. Ltd. Class A

    22,312   26,046
CRRC Corp. Ltd. Class H

    325,000   212,552
CSC Financial Co. Ltd. Class A

    7,600   29,168
CSPC Pharmaceutical Group Ltd.

    638,240   497,116
Security Description     Shares   Value
Daqin Railway Co. Ltd. Class A

    33,200   $32,542
Dong-E-E-Jiao Co. Ltd. Class A

    500   4,408
Dongfang Electric Corp. Ltd. Class A

    5,600   12,642
Dongxing Securities Co. Ltd. Class A

    11,600   18,149
East Money Information Co. Ltd. Class A

    15,879   46,058
Eastroc Beverage Group Co. Ltd. Class A

    600   23,231
Ecovacs Robotics Co. Ltd. Class A

    1,000   7,317
ENN Energy Holdings Ltd.

    60,500   467,721
ENN Natural Gas Co. Ltd. Class A

    4,000   11,762
Eoptolink Technology, Inc. Ltd. Class A

    1,600   29,713
Eve Energy Co. Ltd. Class A

    1,381   9,625
Everbright Securities Co. Ltd. Class A

    7,899   21,726
Everdisplay Optronics Shanghai Co. Ltd. Class A (a)

    26,377   9,498
Far East Horizon Ltd. (d)

    155,000   113,544
FAW Jiefang Group Co. Ltd. Class A

    2,600   3,444
Flat Glass Group Co. Ltd. Class A

    3,400   9,823
Focus Media Information Technology Co. Ltd. Class A

    23,500   23,740
Foshan Haitian Flavouring & Food Co. Ltd. Class A

    4,794   32,996
Fosun International Ltd.

    193,500   124,059
Founder Securities Co. Ltd. Class A

    18,800   25,089
Foxconn Industrial Internet Co. Ltd. Class A

    20,000   71,985
Fuyao Glass Industry Group Co. Ltd. Class A

    2,700   22,453
Fuyao Glass Industry Group Co. Ltd. Class H (c)

    45,256   304,426
Ganfeng Lithium Group Co. Ltd. Class A

    4,620   22,755
GCL Technology Holdings Ltd. (a)

    1,617,000   291,445
GD Power Development Co. Ltd. Class A

    30,500   23,838
Geely Automobile Holdings Ltd.

    456,000   715,041
GEM Co. Ltd. Class A

    16,700   17,013
Genscript Biotech Corp. (a)

    94,000   168,698
GF Securities Co. Ltd. Class A

    7,100   16,942
Giant Biogene Holding Co. Ltd. (c)

    23,800   156,113
GigaDevice Semiconductor, Inc. Class A (a)

    892   11,263
Ginlong Technologies Co. Ltd. Class A

    950   11,294
GoerTek, Inc. Class A

    4,800   15,548
 
See accompanying notes to Schedule of Investments.
211

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Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Goldwind Science & Technology Co. Ltd. Class A

    7,100   $10,165
Goneo Group Co. Ltd. Class A

    1,450   17,250
Gotion High-tech Co. Ltd. Class A

    6,100   20,134
Great Wall Motor Co. Ltd. Class A

    6,400   27,717
Great Wall Motor Co. Ltd. Class H

    173,500   323,882
Gree Electric Appliances, Inc. of Zhuhai Class A

    5,000   34,249
GRG Banking Equipment Co. Ltd. Class A

    2,300   3,845
Guangdong Haid Group Co. Ltd. Class A

    2,500   17,153
Guangdong Investment Ltd.

    224,000   150,823
Guanghui Energy Co. Ltd. Class A

    13,500   13,869
Guangzhou Automobile Group Co. Ltd. Class A

    7,200   9,084
Guangzhou Automobile Group Co. Ltd. Class H (d)

    234,800   92,197
Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. Class A

    2,300   10,076
Guangzhou Haige Communications Group, Inc. Co. Class A

    9,200   13,960
Guangzhou Tinci Materials Technology Co. Ltd. Class A

    5,420   14,343
Guolian Securities Co. Ltd. Class A

    7,800   14,020
Guosen Securities Co. Ltd. Class A

    10,100   17,072
Guotai Junan Securities Co. Ltd. Class A

    6,600   13,863
Guoyuan Securities Co. Ltd. Class A

    2,820   3,574
H World Group Ltd. ADR

    15,900   591,480
Haidilao International Holding Ltd. (c)

    124,000   304,273
Haier Smart Home Co. Ltd. Class A

    9,900   45,478
Haier Smart Home Co. Ltd. Class H

    184,000   739,080
Hainan Airlines Holding Co. Ltd. Class A (a)

    98,500   18,156
Hainan Airport Infrastructure Co. Ltd. Class A (a)

    26,000   14,228
Haitian International Holdings Ltd.

    51,000   164,145
Haitong Securities Co. Ltd. Class A

    16,400   20,551
Haitong Securities Co. Ltd. Class H (d)

    231,600   108,150
Hangzhou First Applied Material Co. Ltd. Class A

    5,229   13,195
Security Description     Shares   Value
Hangzhou Silan Microelectronics Co. Ltd. Class A (a)

    3,200   $10,343
Hangzhou Tigermed Consulting Co. Ltd. Class A

    600   5,915
Hansoh Pharmaceutical Group Co. Ltd. (c) (d)

    88,000   237,348
Hebei Yangyuan Zhihui Beverage Co. Ltd. Class A

    2,900   9,588
Heilongjiang Agriculture Co. Ltd. Class A

    7,600   16,137
Henan Shenhuo Coal Industry & Electricity Power Co. Ltd. Class A

    2,100   6,025
Henan Shuanghui Investment & Development Co. Ltd. Class A

    1,997   7,730
Hengan International Group Co. Ltd.

    44,500   153,537
Hengli Petrochemical Co. Ltd. Class A

    2,400   5,370
Hengtong Optic-electric Co. Ltd. Class A

    4,300   10,390
Hengyi Petrochemical Co. Ltd. Class A

    4,210   4,217
Hisense Home Appliances Group Co. Ltd. Class H (d)

    27,000   100,805
Hithink RoyalFlush Information Network Co. Ltd. Class A

    1,000   27,621
Hoshine Silicon Industry Co. Ltd. Class A

    900   7,720
Hua Hong Semiconductor Ltd. (c)

    44,800   120,543
Huadian Power International Corp. Ltd. Class A

    13,400   11,469
Huadong Medicine Co. Ltd. Class A

    4,060   20,298
Huafon Chemical Co. Ltd. Class A

    14,900   17,883
Huagong Tech Co. Ltd. Class A

    2,300   11,476
Huaibei Mining Holdings Co. Ltd. Class A

    3,000   7,720
Hualan Biological Engineering, Inc. Class A

    4,810   12,309
Huaneng Power International, Inc. Class A

    17,800   19,609
Huaneng Power International, Inc. Class H (d)

    338,000   207,565
Huatai Securities Co. Ltd. Class A

    5,818   14,631
Huatai Securities Co. Ltd. Class H (c)

    102,300   164,892
Huaxia Bank Co. Ltd. Class A

    21,500   22,825
Huayu Automotive Systems Co. Ltd. Class A

    7,300   18,702
Huizhou Desay Sv Automotive Co. Ltd. Class A

    1,000   17,116
Humanwell Healthcare Group Co. Ltd. Class A

    4,400   13,259
 
See accompanying notes to Schedule of Investments.
212

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Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Hunan Valin Steel Co. Ltd. Class A

    9,900   $6,648
Hundsun Technologies, Inc. Class A

    3,671   11,996
Hygon Information Technology Co. Ltd. Class A

    3,538   52,211
IEIT Systems Co. Ltd. Class A

    1,848   10,958
Iflytek Co. Ltd. Class A

    1,750   11,112
Imeik Technology Development Co. Ltd. Class A

    840   28,277
Industrial & Commercial Bank of China Ltd. Class A

    84,942   75,006
Industrial & Commercial Bank of China Ltd. Class H

    5,304,000   3,168,402
Industrial Bank Co. Ltd. Class A

    28,399   78,193
Industrial Securities Co. Ltd. Class A

    24,600   23,972
Ingenic Semiconductor Co. Ltd. Class A

    700   6,493
Inner Mongolia BaoTou Steel Union Co. Ltd. Class A (a)

    75,300   18,613
Inner Mongolia Dian Tou Energy Corp. Ltd. Class A

    5,100   14,436
Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd. Class A

    11,100   7,280
Inner Mongolia Yili Industrial Group Co. Ltd. Class A

    6,300   26,168
Inner Mongolia Yitai Coal Co. Ltd. Class B

    85,600   183,526
Inner Mongolia Yuan Xing Energy Co. Ltd. Class A

    5,400   5,200
Innovent Biologics, Inc. (a) (c)

    92,500   560,895
iQIYI, Inc. ADR (a) (d)

    32,900   94,094
JA Solar Technology Co. Ltd. Class A

    7,280   14,095
JCET Group Co. Ltd. Class A

    2,200   11,106
JD Health International, Inc. (a) (c) (d)

    87,200   392,919
JD Logistics, Inc. (a) (c)

    158,700   286,038
JD.com, Inc. Class A

    180,972   3,893,199
Jiangsu Eastern Shenghong Co. Ltd. Class A

    15,100   20,022
Jiangsu Expressway Co. Ltd. Class H

    92,000   93,214
Jiangsu Hengli Hydraulic Co. Ltd. Class A

    2,664   23,981
Jiangsu Hengrui Pharmaceuticals Co. Ltd. Class A

    8,144   60,859
Jiangsu King's Luck Brewery JSC Ltd. Class A

    2,700   19,884
Jiangsu Yanghe Distillery Co. Ltd. Class A

    2,300   32,597
Jiangsu Yangnong Chemical Co. Ltd. Class A

    520   4,607
Jiangsu Yoke Technology Co. Ltd. Class A

    1,200   10,524
Security Description     Shares   Value
Jiangsu Yuyue Medical Equipment & Supply Co. Ltd. Class A

    3,200   $17,503
Jiangsu Zhongtian Technology Co. Ltd. Class A

    8,400   18,592
Jiangxi Copper Co. Ltd. Class A

    5,100   17,788
Jiangxi Copper Co. Ltd. Class H

    88,000   179,229
Jinduicheng Molybdenum Co. Ltd. Class A

    7,400   12,582
Jinko Solar Co. Ltd. Class A

    15,328   19,295
Jointown Pharmaceutical Group Co. Ltd. Class A

    6,379   5,232
Juneyao Airlines Co. Ltd. Class A

    5,000   9,730
Kanzhun Ltd. ADR

    20,000   347,200
KE Holdings, Inc. ADR

    49,100   977,581
Kingdee International Software Group Co. Ltd. (a)

    225,000   260,702
Kingsoft Corp. Ltd.

    69,600   264,780
Kuaishou Technology (a) (c) (d)

    181,100   1,278,833
Kuang-Chi Technologies Co. Ltd. Class A (a)

    7,100   25,342
Kunlun Energy Co. Ltd.

    296,000   305,622
Kunlun Tech Co. Ltd. Class A

    2,700   14,486
Kweichow Moutai Co. Ltd. Class A

    1,699   424,346
LB Group Co. Ltd. Class A

    3,500   10,387
Lenovo Group Ltd.

    626,000   854,277
Lens Technology Co. Ltd. Class A

    9,100   26,590
Lepu Medical Technology Beijing Co. Ltd. Class A

    5,300   9,973
Li Auto, Inc. Class A (a)

    94,000   1,308,194
Li Ning Co. Ltd.

    177,000   448,909
Liaoning Port Co. Ltd. Class A

    42,900   9,133
Lingyi iTech Guangdong Co. Class A

    10,200   10,945
Longfor Group Holdings Ltd. (c) (d)

    163,378   316,344
LONGi Green Energy Technology Co. Ltd. Class A

    13,624   34,183
Luxshare Precision Industry Co. Ltd. Class A

    7,871   48,877
Luzhou Laojiao Co. Ltd. Class A

    1,800   38,502
Mango Excellent Media Co. Ltd. Class A

    3,540   13,313
Maxscend Microelectronics Co. Ltd. Class A

    1,184   15,715
Meituan Class B (a) (c)

    380,930   8,435,141
Metallurgical Corp. of China Ltd. Class A

    43,900   20,951
Midea Group Co. Ltd. Class A

    4,300   46,732
MINISO Group Holding Ltd. ADR (d)

    7,298   128,007
MMG Ltd. (a)

    336,000   119,822
Montage Technology Co. Ltd. Class A

    676   6,460
 
See accompanying notes to Schedule of Investments.
213

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Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Muyuan Foods Co. Ltd. Class A (a)

    6,876   $45,498
Nanjing Securities Co. Ltd. Class A

    8,400   11,618
NARI Technology Co. Ltd. Class A

    8,341   32,977
National Silicon Industry Group Co. Ltd. Class A

    6,226   16,885
NAURA Technology Group Co. Ltd. Class A

    500   26,146
NetEase, Inc.

    147,625   2,860,323
NetEase, Inc. ADR

    1   94
New China Life Insurance Co. Ltd. Class A

    4,400   29,184
New China Life Insurance Co. Ltd. Class H

    71,100   221,973
New Hope Liuhe Co. Ltd. Class A (a)

    10,100   15,023
New Oriental Education & Technology Group, Inc.

    113,200   903,560
Ninestar Corp. Class A (a)

    3,800   16,468
Ningbo Deye Technology Co. Ltd. Class A

    1,260   18,306
Ningbo Joyson Electronic Corp. Class A

    1,000   2,465
Ningbo Orient Wires & Cables Co. Ltd. Class A

    2,500   19,707
Ningbo Tuopu Group Co. Ltd. Class A

    3,770   24,919
Ningxia Baofeng Energy Group Co. Ltd. Class A

    6,600   16,362
NIO, Inc. Class A (a)

    100,200   726,910
Nongfu Spring Co. Ltd. Class H (c) (d)

    156,200   687,743
Offshore Oil Engineering Co. Ltd. Class A

    6,200   5,156
Oppein Home Group, Inc. Class A

    1,680   15,003
Orient Securities Co. Ltd. Class A

    15,292   24,275
Pangang Group Vanadium Titanium & Resources Co. Ltd. Class A (a)

    21,100   8,894
PDD Holdings, Inc. ADR (a)

    53,100   7,158,411
People's Insurance Co. Group of China Ltd. Class A

    19,600   20,836
People's Insurance Co. Group of China Ltd. Class H

    652,000   311,416
PetroChina Co. Ltd. Class A

    22,700   29,256
PetroChina Co. Ltd. Class H

    1,608,000   1,312,484
Pharmaron Beijing Co. Ltd. Class A

    4,275   18,539
PICC Property & Casualty Co. Ltd. Class H

    531,000   787,528
Ping An Bank Co. Ltd. Class A

    20,500   35,765
Ping An Insurance Group Co. of China Ltd. Class A

    14,500   118,281
Security Description     Shares   Value
Ping An Insurance Group Co. of China Ltd. Class H

    511,500   $3,302,443
Piotech, Inc. Class A

    630   12,963
Poly Developments & Holdings Group Co. Ltd. Class A

    20,200   31,836
Pop Mart International Group Ltd. (c)

    37,400   256,395
Postal Savings Bank of China Co. Ltd. Class A

    31,200   23,449
Postal Savings Bank of China Co. Ltd. Class H (c) (d)

    598,000   357,992
Power Construction Corp. of China Ltd. Class A

    29,600   23,854
Qifu Technology, Inc. ADR

    8,900   265,309
Qinghai Salt Lake Industry Co. Ltd. Class A (a)

    3,700   9,812
Rongsheng Petrochemical Co. Ltd. Class A

    15,955   23,595
SAIC Motor Corp. Ltd. Class A

    6,600   13,797
Sailun Group Co. Ltd. Class A

    7,600   17,418
Sanan Optoelectronics Co. Ltd. Class A

    11,500   20,474
Sany Heavy Industry Co. Ltd. Class A

    12,455   33,599
Satellite Chemical Co. Ltd. Class A

    7,186   19,170
SDIC Capital Co. Ltd. Class A

    14,600   17,023
SDIC Power Holdings Co. Ltd. Class A

    11,000   26,641
Seres Group Co. Ltd. Class A (a)

    1,800   23,255
SF Holding Co. Ltd. Class A

    5,700   36,634
SG Micro Corp. Class A

    877   11,904
Shaanxi Coal Industry Co. Ltd. Class A

    12,200   48,077
Shan Xi Hua Yang Group New Energy Co. Ltd. Class A

    5,000   6,051
Shandong Gold Mining Co. Ltd. Class A

    3,028   12,672
Shandong Gold Mining Co. Ltd. Class H (c)

    57,750   130,109
Shandong Hualu Hengsheng Chemical Co. Ltd. Class A

    4,250   15,904
Shandong Linglong Tyre Co. Ltd. Class A

    4,800   13,813
Shandong Nanshan Aluminum Co. Ltd. Class A

    28,089   17,579
Shandong Sun Paper Industry JSC Ltd. Class A

    3,900   8,403
Shandong Weigao Group Medical Polymer Co. Ltd. Class H

    198,800   143,837
Shanghai Baosight Software Co. Ltd. Class A

    3,000   14,141
Shanghai Baosight Software Co. Ltd. Class B

    54,878   94,116
 
See accompanying notes to Schedule of Investments.
214

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STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Shanghai BOCHU Electronic Technology Corp. Ltd. Class A

    259   $7,798
Shanghai Electric Group Co. Ltd. Class A (a)

    19,800   12,788
Shanghai Fosun Pharmaceutical Group Co. Ltd. Class A

    4,820   19,056
Shanghai International Airport Co. Ltd. Class A

    2,968   16,293
Shanghai International Port Group Co. Ltd. Class A

    16,300   15,139
Shanghai Lingang Holdings Corp. Ltd. Class A

    6,900   11,269
Shanghai M&G Stationery, Inc. Class A

    1,600   8,095
Shanghai Pharmaceuticals Holding Co. Ltd. Class A

    2,700   8,159
Shanghai Pharmaceuticals Holding Co. Ltd. Class H

    56,600   92,396
Shanghai Pudong Development Bank Co. Ltd. Class A

    32,600   47,186
Shanghai Putailai New Energy Technology Co. Ltd. Class A

    6,554   14,000
Shanghai RAAS Blood Products Co. Ltd. Class A

    2,800   3,161
Shanghai Rural Commercial Bank Co. Ltd. Class A

    22,000   23,356
Shanghai United Imaging Healthcare Co. Ltd. Class A

    1,465   26,794
Shanjin International Gold Co. Ltd. Class C

    3,460   9,200
Shanxi Coal International Energy Group Co. Ltd. Class A

    4,500   8,976
Shanxi Coking Coal Energy Group Co. Ltd. Class A

    13,200   18,031
Shanxi Lu'an Environmental Energy Development Co. Ltd. Class A

    4,600   11,601
Shanxi Xinghuacun Fen Wine Factory Co. Ltd. Class A

    1,580   49,416
Shenergy Co. Ltd. Class A

    11,200   13,667
Shengyi Technology Co. Ltd. Class A

    6,000   17,866
Shennan Circuits Co. Ltd. Class A

    960   15,222
Shenwan Hongyuan Group Co. Ltd. Class A

    41,500   33,918
Shenzhen Capchem Technology Co. Ltd. Class A

    1,000   5,808
Shenzhen Energy Group Co. Ltd. Class A

    12,700   12,684
Shenzhen Inovance Technology Co. Ltd. Class A

    3,350   29,893
Shenzhen Mindray Bio-Medical Electronics Co. Ltd. Class A

    1,700   71,171
Shenzhen New Industries Biomedical Engineering Co. Ltd. Class A

    1,200   14,053
Security Description     Shares   Value
Shenzhen Salubris Pharmaceuticals Co. Ltd. Class A

    3,600   $17,829
Shenzhen Transsion Holdings Co. Ltd. Class A

    2,021   31,167
Shenzhou International Group Holdings Ltd.

    62,500   567,670
Shijiazhuang Yiling Pharmaceutical Co. Ltd. Class A

    5,400   13,904
Sichuan Chuantou Energy Co. Ltd. Class A

    10,000   26,934
Sichuan Kelun Pharmaceutical Co. Ltd. Class A

    2,300   10,516
Sichuan Road & Bridge Group Co. Ltd. Class A

    13,300   13,360
Sieyuan Electric Co. Ltd. Class A

    1,200   12,671
Silergy Corp.

    26,000   384,498
Sinolink Securities Co. Ltd. Class A

    8,500   11,914
Sinopharm Group Co. Ltd. Class H

    101,600   272,067
Sinotruk Hong Kong Ltd.

    50,500   151,809
Smoore International Holdings Ltd. (c) (d)

    148,000   245,793
SooChow Securities Co. Ltd. Class A

    15,600   18,768
Southwest Securities Co. Ltd. Class A

    3,100   2,157
Spring Airlines Co. Ltd. Class A

    2,200   19,430
Sungrow Power Supply Co. Ltd. Class A

    3,500   49,800
Sunny Optical Technology Group Co. Ltd.

    56,300   416,769
Sunwoda Electronic Co. Ltd. Class A

    6,200   19,454
SUPCON Technology Co. Ltd. Class A

    1,654   11,890
Suzhou Dongshan Precision Manufacturing Co. Ltd. Class A

    2,700   9,081
Suzhou Maxwell Technologies Co. Ltd. Class A

    921   13,939
Suzhou TFC Optical Communication Co. Ltd. Class A

    1,260   18,093
TAL Education Group ADR (a)

    31,900   377,696
TBEA Co. Ltd. Class A

    12,073   25,255
TCL Technology Group Corp. Class A

    33,220   21,740
TCL Zhonghuan Renewable Energy Technology Co. Ltd. Class A

    11,250   16,653
Tencent Holdings Ltd.

    502,000   28,733,724
Tencent Music Entertainment Group ADR

    58,400   703,720
Tianqi Lithium Corp. Class A

    3,600   18,106
 
See accompanying notes to Schedule of Investments.
215

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STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Tianshan Aluminum Group Co. Ltd. Class A

    3,000   $3,669
Tianshui Huatian Technology Co. Ltd. Class A

    9,100   12,144
Tingyi Cayman Islands Holding Corp.

    158,000   228,228
Tongcheng Travel Holdings Ltd.

    100,400   257,996
TongFu Microelectronics Co. Ltd. Class A

    1,500   4,906
Tongkun Group Co. Ltd. Class A

    7,400   14,316
Tongling Nonferrous Metals Group Co. Ltd. Class A

    17,900   9,872
Tongwei Co. Ltd. Class A

    7,500   24,465
Topsports International Holdings Ltd. (c)

    148,000   65,735
TravelSky Technology Ltd. Class H

    77,000   114,595
Trina Solar Co. Ltd. Class A

    6,219   19,922
Trip.com Group Ltd. (a)

    42,217   2,668,625
Tsingtao Brewery Co. Ltd. Class A

    1,500   16,793
Tsingtao Brewery Co. Ltd. Class H

    46,000   360,064
Unigroup Guoxin Microelectronics Co. Ltd. Class A

    2,379   21,201
Unisplendour Corp. Ltd. Class A

    5,360   18,488
Vipshop Holdings Ltd. ADR

    28,288   444,970
Wanda Film Holding Co. Ltd. Class A (a)

    5,000   8,923
Wanhua Chemical Group Co. Ltd. Class A

    3,700   48,278
Want Want China Holdings Ltd.

    349,000   239,930
Weichai Power Co. Ltd. Class A

    11,000   24,943
Weichai Power Co. Ltd. Class H

    145,000   268,066
Weihai Guangwei Composites Co. Ltd. Class A

    1,280   6,021
Wens Foodstuff Group Co. Ltd. Class A

    6,640   19,108
Western Mining Co. Ltd. Class A

    5,400   14,637
Western Securities Co. Ltd. Class A

    14,600   18,128
Western Superconducting Technologies Co. Ltd. Class A

    1,083   7,183
Will Semiconductor Co. Ltd. Shanghai Class A

    2,275   34,847
Wingtech Technology Co. Ltd. Class A

    3,000   14,030
Wintime Energy Group Co. Ltd. Class A (a)

    50,600   9,688
Wuhan Guide Infrared Co. Ltd. Class A

    13,249   13,895
Wuliangye Yibin Co. Ltd. Class A

    4,600   106,813
WUS Printed Circuit Kunshan Co. Ltd. Class A

    4,180   23,986
WuXi AppTec Co. Ltd. Class A

    4,733   35,410
Security Description     Shares   Value
WuXi AppTec Co. Ltd. Class H (c)

    25,291   $177,778
Wuxi Biologics Cayman, Inc. (a) (c)

    266,500   600,418
XCMG Construction Machinery Co. Ltd. Class A

    19,700   21,871
Xiamen C & D, Inc. Class A

    11,400   16,631
Xiamen Tungsten Co. Ltd. Class A

    4,600   13,750
Xiaomi Corp. Class B (a) (c)

    1,173,700   3,399,839
Xinjiang Daqo New Energy Co. Ltd. Class A

    4,059   15,195
Xinyi Solar Holdings Ltd.

    394,089   214,104
XPeng, Inc. Class A (a) (d)

    93,900   640,104
Yadea Group Holdings Ltd. (c) (d)

    94,238   167,669
Yankuang Energy Group Co. Ltd. Class A

    3,295   7,862
Yankuang Energy Group Co. Ltd. Class H (d)

    234,000   330,778
Yantai Jereh Oilfield Services Group Co. Ltd. Class A

    600   2,821
Yealink Network Technology Corp. Ltd. Class A

    3,500   21,144
Yifeng Pharmacy Chain Co. Ltd. Class A

    2,139   7,800
Yihai Kerry Arawana Holdings Co. Ltd. Class A

    2,900   14,706
Yonyou Network Technology Co. Ltd. Class A (a)

    6,878   11,302
Youngor Fashion Co. Ltd. Class A

    5,400   6,234
YTO Express Group Co. Ltd. Class A

    1,500   3,826
Yum China Holdings, Inc.

    29,700   1,337,094
Yunnan Aluminium Co. Ltd. Class A

    5,200   10,989
Yunnan Baiyao Group Co. Ltd. Class A

    3,078   26,828
Yunnan Energy New Material Co. Ltd. Class A

    2,400   11,731
Yunnan Tin Co. Ltd. Class A

    1,400   3,261
Yunnan Yuntianhua Co. Ltd. Class A

    2,500   8,084
Yutong Bus Co. Ltd. Class A

    5,000   18,825
Zangge Mining Co. Ltd. Class A

    1,600   6,573
Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. Class A

    500   18,467
Zhaojin Mining Industry Co. Ltd. Class H (d)

    120,500   213,774
Zhejiang Century Huatong Group Co. Ltd. Class A (a)

    18,300   10,904
Zhejiang China Commodities City Group Co. Ltd. Class A

    13,400   18,476
Zhejiang Chint Electrics Co. Ltd. Class A

    5,100   16,571
 
See accompanying notes to Schedule of Investments.
216

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STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Zhejiang Dahua Technology Co. Ltd. Class A

    7,500   $18,454
Zhejiang Dingli Machinery Co. Ltd. Class A

    160   1,355
Zhejiang Expressway Co. Ltd. Class H

    104,840   73,425
Zhejiang Huahai Pharmaceutical Co. Ltd. Class A

    5,830   16,319
Zhejiang Huayou Cobalt Co. Ltd. Class A

    3,880   16,360
Zhejiang Jingsheng Mechanical & Electrical Co. Ltd. Class A

    3,100   14,347
Zhejiang Juhua Co. Ltd. Class A

    4,200   13,365
Zhejiang Leapmotor Technology Co. Ltd. (a) (c) (d)

    40,000   172,514
Zhejiang Longsheng Group Co. Ltd. Class A

    7,400   11,123
Zhejiang NHU Co. Ltd. Class A

    6,516   21,014
Zhejiang Sanhua Intelligent Controls Co. Ltd. Class A

    4,100   13,960
Zhejiang Supor Co. Ltd. Class A

    1,300   10,870
Zhejiang Weiming Environment Protection Co. Ltd. Class A

    4,330   13,457
Zhejiang Weixing New Building Materials Co. Ltd. Class A

    5,100   10,902
Zhejiang Zheneng Electric Power Co. Ltd. Class A

    7,600   7,308
Zheshang Securities Co. Ltd. Class A

    11,100   22,855
Zhongji Innolight Co. Ltd. Class A

    1,960   43,369
Zhongjin Gold Corp. Ltd. Class A

    11,000   23,890
Zhongsheng Group Holdings Ltd.

    66,500   123,454
Zhongtai Securities Co. Ltd. Class A

    14,300   14,957
Zhuzhou CRRC Times Electric Co. Ltd. Class H

    39,000   154,142
Zijin Mining Group Co. Ltd. Class A

    27,000   69,982
Zijin Mining Group Co. Ltd. Class H

    432,000   982,185
Zoomlion Heavy Industry Science & Technology Co. Ltd. Class A

    17,400   18,845
ZTE Corp. Class A

    3,400   15,133
ZTE Corp. Class H

    60,200   155,780
ZTO Express Cayman, Inc.

    32,900   829,753
          157,800,779
COLOMBIA — 0.1%  
Bancolombia SA

    20,314   176,371
Bancolombia SA Preference Shares

    35,385   281,280
Interconexion Electrica SA ESP

    34,432   140,895
          598,546
Security Description     Shares   Value
CZECH REPUBLIC — 0.1%  
CEZ AS (d)

    11,916   $464,373
Komercni Banka AS

    5,641   199,235
Moneta Money Bank AS (c)

    18,278   89,958
          753,566
EGYPT — 0.1%  
Commercial International Bank - Egypt (CIB)

    171,281   299,653
Eastern Co. SAE

    115,508   62,178
Talaat Moustafa Group

    72,933   96,187
          458,018
GREECE — 0.4%  
Alpha Services & Holdings SA

    158,175   275,036
Eurobank Ergasias Services & Holdings SA Class A

    191,322   439,434
FF Group (a) (e)

    3,869  
Hellenic Telecommunications Organization SA

    14,609   252,555
Jumbo SA

    8,067   231,382
Metlen Energy & Metals SA

    7,653   302,185
National Bank of Greece SA

    57,577   493,251
OPAP SA

    13,827   246,289
Piraeus Financial Holdings SA

    79,993   341,571
Public Power Corp. SA

    16,269   218,610
          2,800,313
HONG KONG — 0.1%  
China Huishan Dairy Holdings Co. Ltd. (a) (e)

    406,100  
Orient Overseas International Ltd.

    10,500   149,237
Sino Biopharmaceutical Ltd.

    808,000   388,007
          537,244
HUNGARY — 0.2%  
MOL Hungarian Oil & Gas PLC

    30,576   229,243
OTP Bank Nyrt

    17,027   892,850
Richter Gedeon Nyrt

    10,493   324,061
          1,446,154
INDIA — 19.1%  
ABB India Ltd.

    4,064   390,633
Adani Enterprises Ltd.

    11,183   418,469
Adani Green Energy Ltd. (a)

    23,976   544,373
Adani Ports & Special Economic Zone Ltd.

    41,034   709,124
Adani Power Ltd. (a)

    59,175   463,331
Ambuja Cements Ltd.

    46,764   352,985
APL Apollo Tubes Ltd.

    13,387   253,063
Apollo Hospitals Enterprise Ltd.

    7,629   655,388
Ashok Leyland Ltd.

    110,431   310,204
Asian Paints Ltd.

    29,202   1,160,083
Astral Ltd.

    10,341   245,509
AU Small Finance Bank Ltd. (c)

    29,123   257,238
Aurobindo Pharma Ltd.

    19,618   341,952
Avenue Supermarts Ltd. (a) (c)

    12,623   767,657
 
See accompanying notes to Schedule of Investments.
217

Table of Contents
STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Axis Bank Ltd.

    174,611   $2,567,452
Bajaj Auto Ltd.

    5,078   748,112
Bajaj Finance Ltd.

    21,244   1,952,746
Bajaj Finserv Ltd.

    29,185   687,265
Bajaj Holdings & Investment Ltd.

    1,993   249,590
Balkrishna Industries Ltd.

    6,192   225,373
Bank of Baroda

    77,119   228,041
Bharat Electronics Ltd.

    278,094   946,103
Bharat Forge Ltd.

    19,696   356,450
Bharat Heavy Electricals Ltd.

    78,276   261,259
Bharat Petroleum Corp. Ltd.

    114,724   506,462
Bharti Airtel Ltd.

    195,715   3,992,597
Bosch Ltd.

    590   265,277
Britannia Industries Ltd.

    8,265   625,108
Canara Bank

    145,065   192,719
CG Power & Industrial Solutions Ltd.

    47,028   425,967
Cholamandalam Investment & Finance Co. Ltd.

    32,207   617,996
Cipla Ltd.

    40,451   798,437
Coal India Ltd.

    140,532   855,505
Colgate-Palmolive India Ltd.

    10,542   478,597
Container Corp. of India Ltd.

    18,146   198,845
Cummins India Ltd.

    10,584   480,700
Dabur India Ltd.

    40,041   298,726
Divi's Laboratories Ltd.

    9,115   592,069
Dixon Technologies India Ltd.

    2,479   408,317
DLF Ltd.

    56,262   600,981
Dr. Reddy's Laboratories Ltd.

    9,052   729,291
Eicher Motors Ltd.

    10,383   622,754
GAIL India Ltd.

    173,996   498,913
GMR Airports Infrastructure Ltd. (a)

    195,153   219,043
Godrej Consumer Products Ltd.

    31,257   519,724
Godrej Properties Ltd. (a)

    9,549   360,185
Grasim Industries Ltd.

    19,968   666,118
Havells India Ltd.

    18,928   454,649
HCL Technologies Ltd.

    72,395   1,551,631
HDFC Asset Management Co. Ltd. (c)

    7,231   370,976
HDFC Bank Ltd.

    325,782   6,733,440
HDFC Life Insurance Co. Ltd. (c)

    73,362   628,558
Hero MotoCorp Ltd.

    9,084   619,220
Hindalco Industries Ltd.

    102,413   924,147
Hindustan Aeronautics Ltd.

    15,252   804,567
Hindustan Petroleum Corp. Ltd.

    69,073   363,122
Hindustan Unilever Ltd.

    62,759   2,215,479
ICICI Bank Ltd.

    398,166   6,048,422
ICICI Lombard General Insurance Co. Ltd. (c)

    18,255   473,664
ICICI Prudential Life Insurance Co. Ltd. (c)

    26,900   250,426
IDFC First Bank Ltd. (a)

    278,446   247,042
Indian Hotels Co. Ltd.

    65,092   531,836
Indian Oil Corp. Ltd.

    213,186   458,292
Security Description     Shares   Value
Indian Railway Catering & Tourism Corp. Ltd.

    19,421   $215,192
Indus Towers Ltd. (a)

    89,262   418,130
IndusInd Bank Ltd.

    21,688   374,643
Info Edge India Ltd.

    5,379   519,964
Infosys Ltd.

    253,957   5,683,946
InterGlobe Aviation Ltd. (a) (c)

    13,184   753,184
ITC Ltd.

    228,424   1,412,364
Jindal Stainless Ltd.

    26,374   248,787
Jindal Steel & Power Ltd.

    26,794   332,410
Jio Financial Services Ltd. (a)

    221,846   928,139
JSW Energy Ltd.

    27,956   244,545
JSW Steel Ltd.

    46,723   574,300
Jubilant Foodworks Ltd.

    28,916   235,293
Kotak Mahindra Bank Ltd.

    83,403   1,845,139
Larsen & Toubro Ltd.

    51,421   2,255,342
LTIMindtree Ltd. (c)

    5,578   415,638
Lupin Ltd.

    17,590   459,915
Macrotech Developers Ltd. (c)

    22,952   338,085
Mahindra & Mahindra Ltd.

    71,206   2,629,739
Mankind Pharma Ltd. (a)

    8,006   240,817
Marico Ltd.

    38,493   319,423
Maruti Suzuki India Ltd.

    9,585   1,514,133
Max Healthcare Institute Ltd.

    58,948   693,402
Mphasis Ltd.

    8,087   290,510
MRF Ltd.

    177   292,560
Muthoot Finance Ltd.

    8,683   210,529
Nestle India Ltd.

    25,631   822,734
NHPC Ltd.

    225,367   255,349
NMDC Ltd.

    83,056   242,732
NTPC Ltd.

    332,718   1,759,647
Oil & Natural Gas Corp. Ltd.

    239,205   849,479
Oil India Ltd.

    36,615   253,701
Oracle Financial Services Software Ltd.

    1,614   220,693
Page Industries Ltd.

    493   252,404
PB Fintech Ltd. (a)

    22,429   433,572
Persistent Systems Ltd.

    7,858   511,081
Petronet LNG Ltd.

    60,042   244,714
Phoenix Mills Ltd.

    14,964   329,569
PI Industries Ltd.

    5,655   314,175
Pidilite Industries Ltd.

    11,762   471,512
Polycab India Ltd.

    3,953   328,085
Power Finance Corp. Ltd.

    115,521   672,783
Power Grid Corp. of India Ltd.

    354,450   1,492,432
Prestige Estates Projects Ltd.

    10,465   230,433
Punjab National Bank

    164,155   210,009
Rail Vikas Nigam Ltd.

    39,025   247,488
REC Ltd.

    102,352   677,247
Reliance Industries Ltd.

    232,855   8,205,793
Samvardhana Motherson International Ltd.

    209,902   529,481
SBI Cards & Payment Services Ltd.

    20,507   189,332
SBI Life Insurance Co. Ltd. (c)

    34,202   752,596
Shree Cement Ltd.

    726   227,923
 
See accompanying notes to Schedule of Investments.
218

Table of Contents
STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Shriram Finance Ltd.

    21,861   $933,109
Siemens Ltd.

    6,842   591,930
Solar Industries India Ltd.

    2,030   279,299
Sona Blw Precision Forgings Ltd. (c)

    30,697   272,313
SRF Ltd.

    10,009   298,337
State Bank of India

    136,000   1,278,673
Sun Pharmaceutical Industries Ltd.

    73,169   1,682,251
Sundaram Finance Ltd.

    4,987   313,685
Supreme Industries Ltd.

    4,845   307,673
Suzlon Energy Ltd. (a)

    737,285   704,281
Tata Communications Ltd.

    9,113   232,144
Tata Consultancy Services Ltd.

    69,116   3,520,492
Tata Consumer Products Ltd.

    46,702   667,054
Tata Elxsi Ltd.

    2,564   236,339
Tata Motors Ltd.

    149,267   1,736,049
Tata Power Co. Ltd.

    110,233   634,817
Tata Steel Ltd.

    569,943   1,146,330
Tech Mahindra Ltd.

    41,363   778,482
Thermax Ltd.

    3,335   202,970
Titan Co. Ltd.

    27,035   1,233,639
Torrent Pharmaceuticals Ltd.

    7,661   310,508
Torrent Power Ltd.

    13,473   301,932
Trent Ltd.

    13,955   1,261,368
Tube Investments of India Ltd.

    8,018   414,868
TVS Motor Co. Ltd.

    18,160   615,405
UltraTech Cement Ltd.

    8,794   1,238,487
Union Bank of India Ltd.

    119,852   175,585
United Spirits Ltd.

    22,842   433,365
UPL Ltd.

    33,298   243,632
Varun Beverages Ltd.

    88,015   636,786
Vedanta Ltd.

    103,593   633,725
Vodafone Idea Ltd. (a)

    1,787,042   220,925
Wipro Ltd.

    99,118   640,413
Yes Bank Ltd. (a)

    1,091,843   292,891
Zomato Ltd. (a)

    504,810   1,646,331
Zydus Lifesciences Ltd.

    18,835   240,165
          123,249,548
INDONESIA — 1.6%  
Adaro Energy Indonesia Tbk. PT

    1,161,000   292,167
Amman Mineral Internasional PT (a)

    499,900   306,247
Astra International Tbk. PT

    1,530,600   510,537
Bank Central Asia Tbk. PT

    4,236,800   2,889,363
Bank Mandiri Persero Tbk. PT

    2,844,200   1,300,930
Bank Negara Indonesia Persero Tbk. PT

    1,124,300   397,292
Bank Rakyat Indonesia Persero Tbk. PT

    5,200,713   1,700,365
Barito Pacific Tbk. PT

    2,280,942   158,190
Chandra Asri Pacific Tbk. PT

    591,400   331,051
Charoen Pokphand Indonesia Tbk. PT

    589,500   183,002
Security Description     Shares   Value
GoTo Gojek Tokopedia Tbk. PT (a)

    69,138,500   $301,396
Indah Kiat Pulp & Paper Tbk. PT

    207,500   118,552
Indofood CBP Sukses Makmur Tbk. PT

    183,600   149,463
Indofood Sukses Makmur Tbk. PT

    362,300   168,706
Kalbe Farma Tbk. PT

    1,698,100   193,476
Merdeka Copper Gold Tbk. PT (a)

    815,524   146,514
Sumber Alfaria Trijaya Tbk. PT

    1,433,600   299,219
Telkom Indonesia Persero Tbk. PT

    3,845,700   759,488
Unilever Indonesia Tbk. PT

    577,400   84,284
United Tractors Tbk. PT

    115,800   207,660
          10,497,902
KUWAIT — 0.7%  
Boubyan Bank KSCP

    109,450   204,378
Gulf Bank KSCP

    152,632   151,507
Kuwait Finance House KSCP

    781,248   1,832,510
Mabanee Co. KPSC

    57,482   157,616
Mobile Telecommunications Co. KSCP

    156,802   244,000
National Bank of Kuwait SAKP

    603,369   1,745,372
          4,335,383
LUXEMBOURG — 0.0% (f)  
Reinet Investments SCA

    10,272   285,428
MALAYSIA — 1.5%  
AMMB Holdings Bhd.

    184,900   224,203
Axiata Group Bhd.

    216,093   132,061
CELCOMDIGI Bhd.

    262,400   236,723
CIMB Group Holdings Bhd.

    528,836   1,032,407
Gamuda Bhd.

    154,824   303,378
Genting Bhd.

    165,600   169,877
Genting Malaysia Bhd.

    216,900   127,294
Hong Leong Bank Bhd.

    50,500   264,043
IHH Healthcare Bhd.

    176,800   306,993
Inari Amertron Bhd.

    221,800   155,989
IOI Corp. Bhd.

    200,400   182,734
Kuala Lumpur Kepong Bhd.

    39,598   197,246
Malayan Banking Bhd.

    413,077   1,049,848
Malaysia Airports Holdings Bhd.

    72,680   184,366
Maxis Bhd.

    181,300   173,672
MISC Bhd.

    107,000   202,401
Mr. DIY Group M Bhd. (c)

    217,850   112,002
Nestle Malaysia Bhd.

    5,400   136,195
Petronas Chemicals Group Bhd.

    221,000   302,277
Petronas Dagangan Bhd.

    23,300   100,919
Petronas Gas Bhd.

    63,600   277,628
PPB Group Bhd.

    51,020   178,913
Press Metal Aluminium Holdings Bhd.

    291,200   357,335
Public Bank Bhd.

    1,108,100   1,225,400
QL Resources Bhd.

    130,050   147,601
RHB Bank Bhd.

    123,851   185,619
 
See accompanying notes to Schedule of Investments.
219

Table of Contents
STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
SD Guthrie Bhd.

    159,036   $184,742
Sime Darby Bhd.

    198,769   118,582
Sunway Bhd.

    168,000   171,117
Telekom Malaysia Bhd.

    91,961   149,867
Tenaga Nasional Bhd.

    203,800   713,683
YTL Corp. Bhd.

    265,400   161,550
YTL Power International Bhd.

    197,100   174,945
          9,641,610
MEXICO — 1.9%  
Alfa SAB de CV Class A (d)

    218,700   179,740
America Movil SAB de CV (d)

    1,408,721   1,160,639
Arca Continental SAB de CV (d)

    38,400   360,649
Banco del Bajio SA (c) (d)

    55,400   130,064
Cemex SAB de CV (d)

    1,166,217   717,507
Coca-Cola Femsa SAB de CV

    39,535   351,543
Fibra Uno Administracion SA de CV REIT

    226,458   264,790
Fomento Economico Mexicano SAB de CV

    136,980   1,358,200
Gruma SAB de CV Class B

    14,445   269,438
Grupo Aeroportuario del Centro Norte SAB de CV

    20,600   174,840
Grupo Aeroportuario del Pacifico SAB de CV Class B (d)

    29,585   516,024
Grupo Aeroportuario del Sureste SAB de CV Class B

    14,180   403,199
Grupo Bimbo SAB de CV (d)

    100,115   346,077
Grupo Carso SAB de CV (d)

    43,904   273,028
Grupo Comercial Chedraui SA de CV (d)

    21,300   160,777
Grupo Financiero Banorte SAB de CV Class O

    197,803   1,407,689
Grupo Financiero Inbursa SAB de CV Class O (a) (d)

    143,526   326,562
Grupo Mexico SAB de CV

    237,336   1,329,067
Industrias Penoles SAB de CV (a) (d)

    15,395   205,251
Kimberly-Clark de Mexico SAB de CV Class A

    110,789   179,957
Operadora De Sites Mexicanos SAB de CV (d)

    82,000   64,715
Orbia Advance Corp. SAB de CV (d)

    72,910   74,056
Prologis Property Mexico SA de CV REIT

    74,688   245,417
Promotora y Operadora de Infraestructura SAB de CV

    13,215   124,936
Southern Copper Corp.

    6,672   771,750
Wal-Mart de Mexico SAB de CV

    398,794   1,203,787
          12,599,702
PERU — 0.2%  
Cia de Minas Buenaventura SAA ADR

    12,100   167,464
Credicorp Ltd.

    5,100   922,947
          1,090,411
Security Description     Shares   Value
PHILIPPINES — 0.6%  
Ayala Corp.

    19,835   $237,684
Ayala Land, Inc.

    511,700   334,209
Bank of the Philippine Islands

    139,991   337,502
BDO Unibank, Inc.

    182,818   515,463
International Container Terminal Services, Inc.

    78,780   567,961
JG Summit Holdings, Inc.

    217,550   107,926
Jollibee Foods Corp.

    37,040   177,541
Manila Electric Co.

    22,390   175,085
Metropolitan Bank & Trust Co.

    132,847   186,335
PLDT, Inc.

    6,026   160,227
SM Investments Corp.

    16,470   280,978
SM Prime Holdings, Inc.

    773,300   445,730
Universal Robina Corp.

    63,880   118,213
          3,644,854
POLAND — 0.8%  
Alior Bank SA

    6,775   163,675
Allegro.eu SA (a) (c)

    42,465   385,321
Bank Polska Kasa Opieki SA

    13,919   532,988
Budimex SA

    995   154,970
CD Projekt SA

    4,843   219,850
Dino Polska SA (a) (c)

    3,554   324,893
KGHM Polska Miedz SA

    10,203   423,806
LPP SA

    80   329,276
mBank SA (a)

    1,102   177,352
ORLEN SA

    43,914   639,542
PGE Polska Grupa Energetyczna SA (a)

    72,259   135,616
Powszechna Kasa Oszczednosci Bank Polski SA

    66,897   976,173
Powszechny Zaklad Ubezpieczen SA

    45,787   502,233
Santander Bank Polska SA

    2,693   318,909
          5,284,604
QATAR — 0.8%  
Barwa Real Estate Co.

    149,590   117,215
Commercial Bank PSQC

    252,941   305,669
Dukhan Bank

    151,529   160,643
Industries Qatar QSC

    114,275   409,268
Masraf Al Rayan QSC

    456,954   309,991
Mesaieed Petrochemical Holding Co.

    413,905   185,297
Ooredoo QPSC

    63,993   205,987
Qatar Electricity & Water Co. QSC

    33,938   147,180
Qatar Fuel QSC

    47,823   200,302
Qatar Gas Transport Co. Ltd.

    208,491   249,090
Qatar International Islamic Bank QSC

    79,002   238,460
Qatar Islamic Bank QPSC

    137,629   807,025
Qatar National Bank QPSC

    352,097   1,639,122
          4,975,249
ROMANIA — 0.1%  
NEPI Rockcastle NV (d)

    42,238   357,586
 
See accompanying notes to Schedule of Investments.
220

Table of Contents
STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
RUSSIA — 0.0%  
Alrosa PJSC (e)

    308,085   $
Gazprom PJSC (e)

    1,420,638  
GMK Norilskiy Nickel PAO (e)

    757,200  
Inter RAO UES PJSC (e)

    4,533,728  
LUKOIL PJSC (e)

    49,922  
Mobile TeleSystems PJSC (e)

    13,301  
Mobile TeleSystems PJSC ADR (a) (e)

    48,094  
Moscow Exchange MICEX-RTS PJSC (e)

    172,751  
Novatek PJSC (e)

    91,850  
Novatek PJSC GDR (a) (e)

    930  
Novolipetsk Steel PJSC (e)

    181,543  
Ozon Holdings PLC ADR (a) (d) (e)

    6,064  
PhosAgro PJSC (a) (e)

    106  
PhosAgro PJSC GDR (a) (e)

    16,519  
Polyus PJSC (a) (e)

    4,021  
Rosneft Oil Co. PJSC (e)

    140,958  
Sberbank of Russia PJSC (e)

    1,296,064  
Severstal PAO (e)

    25,372  
Surgutneftegas PJSC (e)

    874,000  
Surgutneftegas PJSC Preference Shares (e)

    807,200  
Tatneft PJSC (e)

    170,112  
TCS Group Holding PLC GDR (a) (e)

    346  
United Co. RUSAL International PJSC (a) (e)

    365,310  
VK IPJSC GDR (a) (e)

    12,460  
VTB Bank PJSC (a) (e)

    76,130  
         
SAUDI ARABIA — 3.7%  
ACWA Power Co.

    11,158   1,471,117
Ades Holding Co.

    27,207   145,920
Advanced Petrochemical Co. (a)

    9,937   102,776
Al Rajhi Bank

    149,746   3,480,794
Al Rajhi Co. for Co-operative Insurance (a)

    2,950   150,826
Alinma Bank

    93,052   706,931
Almarai Co. JSC

    19,556   287,757
Arab National Bank

    70,740   360,168
Arabian Internet & Communications Services Co.

    1,840   138,316
Bank AlBilad

    46,306   486,340
Bank Al-Jazira (a)

    39,896   182,496
Banque Saudi Fransi

    46,500   399,131
Bupa Arabia for Cooperative Insurance Co.

    6,437   355,533
Co. for Cooperative Insurance

    5,885   231,547
Dallah Healthcare Co.

    2,883   123,731
Dar Al Arkan Real Estate Development Co. (a)

    40,413   168,055
Security Description     Shares   Value
Dr. Sulaiman Al Habib Medical Services Group Co.

    6,623   $523,640
Elm Co.

    1,814   562,565
Etihad Etisalat Co.

    28,454   389,864
Jarir Marketing Co.

    47,559   166,585
Mobile Telecommunications Co. Saudi Arabia

    34,715   101,423
Mouwasat Medical Services Co.

    7,874   209,685
Nahdi Medical Co.

    3,184   111,695
Power & Water Utility Co. for Jubail & Yanbu

    6,342   101,772
Riyad Bank

    113,641   754,901
SABIC Agri-Nutrients Co.

    17,755   562,269
Sahara International Petrochemical Co.

    28,946   226,466
SAL Saudi Logistics Services

    1,905   148,687
Saudi Arabian Mining Co. (a)

    98,355   1,279,449
Saudi Arabian Oil Co. (c)

    332,604   2,402,721
Saudi Aramco Base Oil Co.

    3,606   127,461
Saudi Awwal Bank

    78,109   721,458
Saudi Basic Industries Corp.

    68,585   1,369,360
Saudi Electricity Co.

    65,915   292,729
Saudi Industrial Investment Group

    26,303   137,286
Saudi Investment Bank

    48,717   169,342
Saudi Kayan Petrochemical Co. (a)

    59,287   132,753
Saudi National Bank

    224,379   2,051,554
Saudi Research & Media Group (a)

    2,665   204,169
Saudi Tadawul Group Holding Co.

    3,578   216,317
Saudi Telecom Co.

    152,505   1,776,528
Savola Group (a)

    43,366   312,119
Yanbu National Petrochemical Co.

    20,206   229,993
          24,074,229
SOUTH AFRICA — 2.8%  
Absa Group Ltd.

    64,359   655,224
Anglo American Platinum Ltd.

    4,916   176,976
Aspen Pharmacare Holdings Ltd.

    29,790   337,098
Bid Corp. Ltd. (d)

    25,428   653,315
Bidvest Group Ltd. (d)

    26,120   443,794
Capitec Bank Holdings Ltd.

    6,627   1,170,809
Clicks Group Ltd.

    18,784   432,710
Discovery Ltd.

    40,707   405,830
Exxaro Resources Ltd. (d)

    19,341   193,113
FirstRand Ltd.

    385,120   1,856,264
Gold Fields Ltd.

    68,140   1,062,996
Harmony Gold Mining Co. Ltd.

    42,922   443,704
Impala Platinum Holdings Ltd. (a)

    70,857   397,860
Kumba Iron Ore Ltd.

    5,444   126,682
MTN Group Ltd.

    130,440   695,100
Naspers Ltd. Class N

    13,616   3,314,537
 
See accompanying notes to Schedule of Investments.
221

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STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Nedbank Group Ltd. (d)

    36,135   $626,913
Northam Platinum Holdings Ltd. (d)

    26,435   167,269
Old Mutual Ltd. (d)

    358,068   284,667
OUTsurance Group Ltd.

    64,640   217,711
Pepkor Holdings Ltd. (c)

    178,307   249,262
Remgro Ltd.

    39,768   363,076
Sanlam Ltd.

    139,399   711,859
Sasol Ltd.

    45,017   303,161
Shoprite Holdings Ltd. (d)

    38,125   654,380
Sibanye Stillwater Ltd. (a)

    214,962   222,665
Standard Bank Group Ltd.

    101,989   1,434,327
Vodacom Group Ltd.

    46,844   297,578
Woolworths Holdings Ltd. (d)

    70,254   277,673
          18,176,553
SOUTH KOREA — 10.3%  
Alteogen, Inc. (a)

    3,070   767,676
Amorepacific Corp.

    2,356   266,102
Celltrion Pharm, Inc. (a)

    1,566   82,270
Celltrion, Inc.

    11,585   1,731,061
CJ CheilJedang Corp.

    673   156,452
CosmoAM&T Co. Ltd. (a)

    1,961   188,047
Coway Co. Ltd.

    4,421   225,496
DB Insurance Co. Ltd.

    3,446   295,929
Doosan Bobcat, Inc.

    4,391   136,327
Doosan Enerbility Co. Ltd. (a)

    34,244   468,999
Ecopro BM Co. Ltd. (a)

    3,699   521,882
Ecopro Co. Ltd. (a)

    7,553   511,735
Ecopro Materials Co. Ltd. (a)

    1,112   114,712
Enchem Co. Ltd. (a)

    897   124,703
GS Holdings Corp.

    3,700   120,391
Hana Financial Group, Inc.

    22,244   1,000,189
Hanjin Kal Corp.

    1,665   105,041
Hankook Tire & Technology Co. Ltd.

    6,026   191,005
Hanmi Pharm Co. Ltd.

    463   113,829
Hanmi Semiconductor Co. Ltd.

    3,403   281,827
Hanwha Aerospace Co. Ltd.

    2,511   570,262
Hanwha Industrial Solutions Co. Ltd. (a)

    2,781   70,817
Hanwha Ocean Co. Ltd. (a)

    7,324   171,101
Hanwha Solutions Corp.

    8,922   176,366
HD Hyundai Co. Ltd.

    3,223   188,544
HD Hyundai Electric Co. Ltd.

    1,766   444,977
HD Hyundai Heavy Industries Co. Ltd. (a)

    1,664   234,897
HD Korea Shipbuilding & Offshore Engineering Co. Ltd.

    3,210   460,746
HLB, Inc. (a)

    9,156   600,038
HMM Co. Ltd.

    18,969   268,789
HYBE Co. Ltd.

    1,612   208,080
Hyundai Engineering & Construction Co. Ltd.

    6,288   146,658
Hyundai Glovis Co. Ltd.

    2,904   271,147
Hyundai Mobis Co. Ltd.

    4,703   782,215
Hyundai Motor Co.

    10,387   1,938,081
Security Description     Shares   Value
Hyundai Motor Co. Preference Shares (b)

    2,683   $359,867
Hyundai Motor Co. Preference Shares (b)

    1,834   238,278
Hyundai Steel Co.

    6,705   143,052
Industrial Bank of Korea

    20,865   222,898
Kakao Corp.

    24,163   667,961
KakaoBank Corp.

    13,477   217,969
KB Financial Group, Inc.

    29,243   1,809,099
Kia Corp.

    18,286   1,396,935
Korea Aerospace Industries Ltd.

    5,455   217,332
Korea Electric Power Corp.

    19,022   298,923
Korea Investment Holdings Co. Ltd.

    3,214   180,399
Korea Zinc Co. Ltd.

    628   330,400
Korean Air Lines Co. Ltd.

    13,711   236,433
Krafton, Inc. (a)

    2,214   579,869
KT Corp.

    2,389   73,440
KT&G Corp.

    7,898   657,714
Kum Yang Co. Ltd. (a)

    2,723   108,903
Kumho Petrochemical Co. Ltd.

    1,261   152,261
L&F Co. Ltd. (a)

    2,052   178,100
LG Chem Ltd.

    3,819   1,041,121
LG Chem Ltd. Preference Shares

    622   115,344
LG Corp.

    7,429   449,364
LG Display Co. Ltd. (a)

    22,543   188,591
LG Electronics, Inc.

    8,220   655,614
LG Energy Solution Ltd. (a)

    3,629   1,150,280
LG H&H Co. Ltd.

    750   217,366
LG Innotek Co. Ltd.

    1,138   189,710
LG Uplus Corp.

    16,234   121,783
Lotte Chemical Corp.

    1,468   113,942
LS Electric Co. Ltd.

    1,103   137,738
Meritz Financial Group, Inc.

    7,208   535,212
Mirae Asset Securities Co. Ltd.

    17,221   110,882
NAVER Corp.

    9,893   1,281,543
NCSoft Corp.

    1,139   166,360
Netmarble Corp. (a) (c)

    1,975   89,862
NH Investment & Securities Co. Ltd.

    8,529   87,527
Orion Corp.

    1,821   135,771
Posco DX Co. Ltd.

    4,045   94,343
POSCO Future M Co. Ltd.

    2,444   467,233
POSCO Holdings, Inc.

    5,478   1,612,778
Posco International Corp.

    4,259   185,967
Samsung Biologics Co. Ltd. (a) (c)

    1,353   1,010,844
Samsung C&T Corp.

    6,748   711,076
Samsung E&A Co. Ltd. (a)

    11,662   196,195
Samsung Electro-Mechanics Co. Ltd.

    4,265   432,142
Samsung Electronics Co. Ltd.

    366,082   17,216,520
Samsung Electronics Co. Ltd. Preference Shares

    62,856   2,446,563
Samsung Fire & Marine Insurance Co. Ltd.

    2,333   614,605
 
See accompanying notes to Schedule of Investments.
222

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STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Samsung Heavy Industries Co. Ltd. (a)

    49,772   $381,749
Samsung Life Insurance Co. Ltd.

    6,032   429,902
Samsung SDI Co. Ltd.

    4,185   1,211,304
Samsung SDS Co. Ltd.

    3,254   384,946
Shinhan Financial Group Co. Ltd.

    32,994   1,400,296
SK Biopharmaceuticals Co. Ltd. (a)

    2,424   192,778
SK Bioscience Co. Ltd. (a)

    2,195   92,990
SK Hynix, Inc.

    41,749   5,574,195
SK Innovation Co. Ltd. (a)

    4,779   427,943
SK Square Co. Ltd. (a)

    7,128   440,424
SK Telecom Co. Ltd.

    3,739   159,830
SK, Inc.

    2,717   318,303
SKC Co. Ltd. (a)

    1,467   160,644
S-Oil Corp.

    3,600   168,479
Woori Financial Group, Inc.

    47,789   566,437
Yuhan Corp.

    4,421   482,094
          66,174,814
TAIWAN — 17.2%  
Accton Technology Corp.

    39,000   655,618
Acer, Inc.

    227,000   292,658
Advantech Co. Ltd.

    36,697   372,809
Alchip Technologies Ltd.

    6,000   374,449
ASE Technology Holding Co. Ltd.

    254,307   1,213,416
Asia Cement Corp.

    185,000   279,138
Asia Vital Components Co. Ltd.

    25,000   466,086
Asustek Computer, Inc.

    54,000   943,611
AUO Corp.

    499,200   268,951
Catcher Technology Co. Ltd.

    47,000   351,239
Cathay Financial Holding Co. Ltd.

    726,634   1,526,904
Chailease Holding Co. Ltd.

    114,355   590,809
Chang Hwa Commercial Bank Ltd.

    457,047   258,516
Cheng Shin Rubber Industry Co. Ltd.

    143,000   234,067
China Airlines Ltd.

    232,000   157,616
China Steel Corp.

    913,000   667,876
Chunghwa Telecom Co. Ltd.

    289,000   1,146,082
Compal Electronics, Inc.

    332,000   349,347
CTBC Financial Holding Co. Ltd.

    1,196,040   1,300,105
Delta Electronics, Inc.

    149,000   1,791,494
E Ink Holdings, Inc.

    67,000   620,321
E.Sun Financial Holding Co. Ltd.

    1,094,069   969,732
Eclat Textile Co. Ltd.

    14,550   250,573
eMemory Technology, Inc.

    5,000   415,528
Eva Airways Corp.

    210,000   248,843
Evergreen Marine Corp. Taiwan Ltd.

    78,300   497,316
Far Eastern New Century Corp.

    220,000   266,949
Far EasTone Telecommunications Co. Ltd.

    138,000   395,513
Security Description     Shares   Value
Feng TAY Enterprise Co. Ltd.

    39,204   $193,254
First Financial Holding Co. Ltd.

    872,138   755,110
Formosa Chemicals & Fibre Corp.

    277,000   380,315
Formosa Plastics Corp.

    292,000   493,641
Fortune Electric Co. Ltd.

    9,900   196,771
Fubon Financial Holding Co. Ltd.

    625,331   1,786,293
Gigabyte Technology Co. Ltd.

    40,000   326,734
Global Unichip Corp.

    7,000   243,313
Globalwafers Co. Ltd.

    20,000   287,552
Hon Hai Precision Industry Co. Ltd.

    953,800   5,651,099
Hotai Motor Co. Ltd.

    23,520   526,936
Hua Nan Financial Holdings Co. Ltd.

    686,043   557,133
Innolux Corp.

    581,563   296,786
Inventec Corp.

    211,000   287,365
KGI Financial Holding Co. Ltd.

    1,211,826   631,827
Largan Precision Co. Ltd.

    8,000   642,093
Lite-On Technology Corp.

    157,958   496,637
MediaTek, Inc.

    116,000   4,306,953
Mega Financial Holding Co. Ltd.

    903,640   1,122,179
Micro-Star International Co. Ltd.

    54,000   296,905
Nan Ya Plastics Corp.

    390,000   566,887
Nanya Technology Corp. (a)

    100,000   149,622
Nien Made Enterprise Co. Ltd.

    14,000   225,617
Novatek Microelectronics Corp.

    44,000   720,206
Pegatron Corp.

    153,000   497,970
PharmaEssentia Corp. (a)

    18,000   361,746
Pou Chen Corp.

    177,000   202,188
President Chain Store Corp.

    45,000   419,478
Quanta Computer, Inc.

    206,000   1,718,484
Realtek Semiconductor Corp.

    37,000   550,677
Ruentex Development Co. Ltd.

    115,636   178,863
Shanghai Commercial & Savings Bank Ltd.

    295,813   360,810
Shin Kong Financial Holding Co. Ltd. (a)

    1,112,529   423,616
SinoPac Financial Holdings Co. Ltd.

    819,118   627,672
Synnex Technology International Corp.

    100,700   230,697
Taishin Financial Holding Co. Ltd.

    891,185   518,155
Taiwan Business Bank

    514,345   259,233
Taiwan Cooperative Financial Holding Co. Ltd.

    820,051   671,143
Taiwan High Speed Rail Corp.

    151,000   141,235
Taiwan Mobile Co. Ltd.

    136,000   494,209
Taiwan Semiconductor Manufacturing Co. Ltd.

    1,888,000   57,093,707
TCC Group Holdings Co. Ltd.

    520,655   556,085
Unimicron Technology Corp.

    104,000   473,228
Uni-President Enterprises Corp.

    367,000   1,011,246
United Microelectronics Corp.

    860,000   1,462,026
 
See accompanying notes to Schedule of Investments.
223

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STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Vanguard International Semiconductor Corp.

    72,000   $235,476
Voltronic Power Technology Corp.

    5,000   319,941
Walsin Lihwa Corp.

    220,115   243,440
Wan Hai Lines Ltd.

    56,470   174,871
Winbond Electronics Corp. (a)

    267,827   180,687
Wistron Corp.

    209,000   667,025
Wiwynn Corp.

    7,000   379,347
WPG Holdings Ltd.

    125,880   298,327
Yageo Corp.

    31,106   612,360
Yang Ming Marine Transport Corp.

    131,000   285,624
Yuanta Financial Holding Co. Ltd.

    786,092   787,421
Zhen Ding Technology Holding Ltd.

    49,000   175,738
          110,659,519
THAILAND — 1.5%  
Advanced Info Service PCL

    90,900   734,488
Airports of Thailand PCL

    327,200   650,790
Bangkok Dusit Medical Services PCL Class F

    843,500   786,419
Bangkok Expressway & Metro PCL

    629,499   159,441
Bumrungrad Hospital PCL

    41,700   348,607
Central Pattana PCL

    151,000   314,412
Central Retail Corp. PCL

    154,158   148,517
Charoen Pokphand Foods PCL

    270,700   201,905
CP ALL PCL

    449,600   915,199
CP Axtra PCL

    144,400   145,847
Delta Electronics Thailand PCL

    238,500   793,085
Gulf Energy Development PCL

    220,160   389,997
Home Product Center PCL

    396,300   128,087
Intouch Holdings PCL

    71,100   204,390
Kasikornbank PCL

    41,600   193,924
Krung Thai Bank PCL

    288,500   184,697
Krungthai Card PCL

    55,900   84,690
Minor International PCL

    247,795   217,550
PTT Exploration & Production PCL

    104,900   427,066
PTT Global Chemical PCL

    157,100   146,469
PTT Oil & Retail Business PCL

    257,100   140,625
PTT PCL

    759,100   802,095
SCB X PCL

    68,100   230,686
SCG Packaging PCL

    108,800   98,056
Siam Cement PCL

    58,654   439,301
Thai Oil PCL

    84,740   134,968
TMBThanachart Bank PCL

    2,036,500   124,680
True Corp. PCL (a)

    741,274   258,015
          9,404,006
TURKEY — 0.6%  
Akbank TAS

    230,031   414,479
Anadolu Efes Biracilik Ve Malt Sanayii AS

    15,086   86,622
Security Description     Shares   Value
Aselsan Elektronik Sanayi Ve Ticaret AS

    101,250   $175,477
BIM Birlesik Magazalar AS

    34,080   494,693
Coca-Cola Icecek AS

    67,254   112,132
Eregli Demir ve Celik Fabrikalari TAS

    108,734   170,159
Ford Otomotiv Sanayi AS

    4,648   124,809
Haci Omer Sabanci Holding AS

    82,515   234,966
KOC Holding AS

    59,819   329,302
Pegasus Hava Tasimaciligi AS (a)

    17,233   120,625
Sasa Polyester Sanayi AS (a)

    847,480   106,594
Tofas Turk Otomobil Fabrikasi AS

    9,917   62,512
Turk Hava Yollari AO (a)

    40,182   334,975
Turkcell Iletisim Hizmetleri AS

    85,732   238,735
Turkiye Is Bankasi AS Class C

    627,002   257,864
Turkiye Petrol Rafinerileri AS

    69,844   317,071
Turkiye Sise ve Cam Fabrikalari AS

    111,252   140,256
Yapi ve Kredi Bankasi AS

    269,295   243,559
          3,964,830
UNITED ARAB EMIRATES — 1.1%  
Abu Dhabi Commercial Bank PJSC

    221,636   508,079
Abu Dhabi Islamic Bank PJSC

    109,507   379,235
Abu Dhabi National Oil Co. for Distribution PJSC

    251,419   247,107
ADNOC Drilling Co. PJSC

    240,182   309,301
Aldar Properties PJSC

    298,371   610,877
Americana Restaurants International PLC - Foreign Co.

    216,227   156,004
Dubai Islamic Bank PJSC

    229,000   392,785
Emaar Properties PJSC

    504,699   1,198,196
Emirates NBD Bank PJSC

    143,937   795,513
Emirates Telecommunications Group Co. PJSC

    267,797   1,348,828
First Abu Dhabi Bank PJSC

    336,595   1,259,138
Multiply Group PJSC (a)

    247,008   158,709
          7,363,772
UNITED KINGDOM — 0.1%  
Anglogold Ashanti PLC

    32,519   866,148
UNITED STATES — 0.1%  
JBS SA

    60,900   353,716
Legend Biotech Corp. ADR (a) (d)

    5,600   272,888
          626,604
TOTAL COMMON STOCKS

(Cost $389,745,853)

        614,424,948
    
 
See accompanying notes to Schedule of Investments.
224

Table of Contents
STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
WARRANTS — 2.7%        
SWITZERLAND — 2.7%          
MSCI CHINA A INCLUSION Net Return USD Index (expiring 08/31/27) (a)

    5,200   $7,275,611
UBS AG (expiring 06/04/27) (a)

    4,202   5,642,681
UBS AG (expiring 11/26/27) (a)

    3,600   4,719,751
TOTAL WARRANTS

(Cost $15,894,439)

        17,638,043
SHORT-TERM INVESTMENTS — 3.9%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (g) (h)

  17,755,083   17,755,083
State Street Navigator Securities Lending Portfolio II (i) (j)

  7,330,875   7,330,875
TOTAL SHORT-TERM INVESTMENTS

(Cost $25,085,958)

  25,085,958  
TOTAL INVESTMENTS — 101.9%

(Cost $430,726,250)

  657,148,949  
LIABILITIES IN EXCESS OF OTHER

ASSETS — (1.9)%

  (12,453,060)  
NET ASSETS — 100.0%

  $644,695,889  
(a) Non-income producing security.
(b) Reflects separate holdings of the issuer's common stock traded on different securities exchanges.
(c) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 4.9% of net assets as of September 30, 2024, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(d) All or a portion of the shares of the security are on loan at September 30, 2024.
(e) Fair valued as determined in good faith by the Trust's Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of September 30, 2024, total aggregate fair value of the securities is $0, representing 0.00% of the Fund's net assets.
(f) Amount is less than 0.05% of net assets.
(g) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(h) The rate shown is the annualized seven-day yield at September 30, 2024.
(i) The Fund invested in an affiliated entity. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(j) Investment of cash collateral for securities loaned.
ADR American Depositary Receipt
GDR Global Depositary Receipt
NVDR Non-Voting Depositary Receipt
REIT Real Estate Investment Trust
 
At September 30, 2024, open futures contracts were as follows:
Description   Number of
Contracts
  Expiration
Date
  Notional
Amount
  Value   Unrealized
Appreciation
(Depreciation)
E-mini MSCI Emerging Markets Index (long)   217   12/20/2024   $12,172,606   $12,723,795   $551,189
See accompanying notes to Schedule of Investments.
225

Table of Contents
STATE STREET EMERGING MARKETS EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                 
INVESTMENTS:                
Common Stocks

  $604,878,379   $9,546,569   $0(a)   $614,424,948
Warrants

    17,638,043     17,638,043
Short-Term Investments

  25,085,958       25,085,958
TOTAL INVESTMENTS

  $629,964,337   $27,184,612   $0   $657,148,949
OTHER FINANCIAL INSTRUMENTS:                
Futures Contracts - Unrealized Appreciation

  $551,189   $  $—   $551,189
TOTAL OTHER FINANCIAL INSTRUMENTS:

  $551,189   $  $—   $551,189
(a) The Fund held Level 3 securities that were valued at $0 at September 30, 2024.
Top Five Sectors as of September 30, 2024

   
  Description % of Net Assets
  Financials 24.5%
  Information Technology 21.5
  Consumer Discretionary 13.5
  Communication Services 9.2
  Materials 6.2
  TOTAL 74.9%
(The top five sectors are expressed as a percentage of net assets and may change over time.)
Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
State Street Institutional Liquid Reserves Fund, Premier Class

2,882,990   $2,884,143   $86,279,235   $89,161,617   $(2,149)   $388     $  $278,271
State Street Institutional U.S. Government Money Market Fund, Class G Shares

    18,853,343   1,098,260       17,755,083   17,755,083   37,815
State Street Navigator Securities Lending Portfolio II

7,460,876   7,460,876   30,203,760   30,333,761       7,330,875   7,330,875   11,943
Total

    $10,345,019   $135,336,338   $120,593,638   $(2,149)   $388       $25,085,958   $328,029
See accompanying notes to Schedule of Investments.
226

Table of Contents
STATE STREET HEDGED INTERNATIONAL DEVELOPED EQUITY INDEX FUND
Schedule of Investments
September 30, 2024 (Unaudited)

State Street Hedged International Developed Equity Index Fund is a feeder fund that invests substantially all of its investable assets in a master fund, the State Street International Developed Equity Index Portfolio, a separate series of State Street Master Funds.
The portfolio of investments for the State Street International Developed Equity Index Portfolio follows the portfolio of investments for the State Street Hedged International Developed Equity Index Fund.
Security Description     Shares   Value
MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS — 98.5%      
UNITED STATES — 98.5%          
State Street International Developed Equity Portfolio (a)

(Cost $2,345,801,784)

        $3,573,982,429
SHORT-TERM INVESTMENT — 2.5%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (b) (c)

(Cost $90,883,216)

  90,883,216   90,883,216
TOTAL INVESTMENTS — 101.0%

(Cost $2,436,685,000)

  3,664,865,645  
LIABILITIES IN EXCESS OF OTHER

ASSETS — (1.0)%

  (35,106,498)  
NET ASSETS — 100.0%

  $3,629,759,147  
    
(a) Affiliated fund managed by SSGA Funds Management, Inc.
(b) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(c) The rate shown is the annualized seven-day yield at September 30, 2024.
At September 30, 2024, open forward foreign currency exchange contracts were as follows:
Counterparty   Amount Sold   Amount Bought   Settlement
Date
  Net Unrealized
Appreciation/
(Depreciation)
Bank of America N.A.   USD276,353,960   AUD398,348,050   10/02/2024   $85
Bank of America N.A.   USD1,234,616   CHF1,036,000   10/02/2024   (6,473)
Bank of America N.A.   USD135,525,648   DKK905,243,566   10/02/2024  
Bank of America N.A.   USD4,017,402   EUR3,614,000   10/02/2024   16,004
Bank of America N.A.   USD61,313,681   HKD476,208,035   10/02/2024   (5,920)
Bank of America N.A.   USD12,816,672   ILS47,674,174   10/02/2024  
Bank of America N.A.   USD2,824,702   JPY400,086,000   10/02/2024   (27,680)
Bank of America N.A.   USD20,923,748   NOK220,382,520   10/02/2024  
Bank of America N.A.   USD6,574,741   NZD10,333,581   10/02/2024   1
Bank of America N.A.   USD396,564   SEK4,065,000   10/02/2024   4,458
Bank of America N.A.   USD119,533,525   SEK1,211,663,531   10/02/2024  
Bank of America N.A.   USD42,194,461   SGD54,093,299   10/02/2024  
Bank of America N.A.   JPY295,623,000   USD2,086,310   10/02/2024   19,594
Bank of America N.A.   GBP1,012,000   USD1,336,008   10/02/2024   (21,438)
Bank of America N.A.   AUD398,348,050   USD276,485,415   11/04/2024   (9,645)
See accompanying notes to Schedule of Investments.
227

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STATE STREET HEDGED INTERNATIONAL DEVELOPED EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Counterparty   Amount Sold   Amount Bought   Settlement
Date
  Net Unrealized
Appreciation/
(Depreciation)
Bank of America N.A.   NOK220,382,520   USD20,930,704   11/04/2024   $(294)
Bank of America N.A.   ILS47,674,174   USD12,824,602   11/04/2024   (1,522)
Bank of America N.A.   NZD10,333,581   USD6,575,257   11/04/2024   (156)
Bank of America N.A.   SGD54,093,299   USD42,264,517   11/04/2024   (660)
Bank of America N.A.   HKD476,208,035   USD61,330,264   11/04/2024   (3,950)
Bank of America N.A.   SEK1,211,663,531   USD119,719,542   11/04/2024   (3,206)
Bank of America N.A.   DKK905,243,566   USD135,755,311   11/04/2024   (5,782)
Bank of Montreal   USD2,298,826   SGD2,991,000   10/02/2024   34,247
Bank of Montreal   USD7,153,148   GBP5,333,000   11/04/2024   108
Bank of Montreal   EUR16,807,000   USD18,782,764   11/04/2024   (424)
Barclays Capital PLC   USD452,983   DKK3,040,000   10/02/2024   2,141
Barclays Capital PLC   USD49,792,740   JPY7,219,315,000   10/02/2024   677,862
Barclays Capital PLC   USD6,788,636   CHF5,705,000   11/04/2024   (40)
Barclays Capital PLC   USD7,985,256   DKK53,245,000   11/04/2024   (2)
Barclays Capital PLC   USD633,580   NOK6,671,000   11/04/2024   4
Barclays Capital PLC   SEK33,646,000   USD3,324,381   11/04/2024   (133)
Citibank N.A.   USD6,278,163   AUD9,246,000   10/02/2024   136,251
Citibank N.A.   USD3,315,260   EUR2,991,000   10/02/2024   22,846
Citibank N.A.   USD18,500,352   GBP14,073,000   10/02/2024   376,456
HSBC Bank USA   USD4,063,666   CHF3,436,000   10/02/2024   9,596
HSBC Bank USA   USD367,098,063   CHF309,665,571   10/02/2024  
HSBC Bank USA   USD501,715   NOK5,311,000   10/02/2024   2,527
HSBC Bank USA   SEK3,950,000   USD386,313   10/02/2024   (3,364)
HSBC Bank USA   EUR542,015,657   USD600,742,512   10/02/2024   (4,174,200)
HSBC Bank USA   CHF309,665,571   USD368,474,026   11/04/2024   (8,769)
JP Morgan Chase Bank, N.A.   USD549,431,107   GBP409,610,547   10/02/2024   (313)
JP Morgan Chase Bank, N.A.   GBP424,041,547   USD557,442,897   10/02/2024   (11,344,908)
JP Morgan Chase Bank, N.A.   AUD3,974,000   USD2,758,329   11/04/2024   (41)
JP Morgan Chase Bank, N.A.   HKD46,579,000   USD5,998,838   11/04/2024   (402)
JP Morgan Chase Bank, N.A.   GBP409,610,547   USD549,414,927   11/04/2024   (3,579)
JP Morgan Chase Bank, N.A.   USD4,970,112   JPY707,660,000   11/05/2024   117
Morgan Stanley Bank, N.A.   EUR2,671,000   USD2,970,610   10/02/2024   (10,360)
Royal Bank of Canada   USD1,801,803   GBP1,370,000   10/02/2024   35,845
Societe Generale   SGD3,070,000   USD2,398,606   11/04/2024   (103)
Standard Chartered Bank   USD891,440   AUD1,333,000   10/02/2024   33,329
Standard Chartered Bank   SEK1,211,778,531   USD118,508,218   10/02/2024   (1,036,652)
Standard Chartered Bank   ILS47,674,174   USD13,154,036   10/02/2024   337,365
Standard Chartered Bank   HKD476,208,035   USD61,120,485   10/02/2024   (187,276)
Standard Chartered Bank   NOK225,693,520   USD21,320,806   10/02/2024   (107,185)
Standard Chartered Bank   DKK908,283,566   USD135,010,564   10/02/2024   (970,208)
Standard Chartered Bank   AUD407,942,050   USD276,980,414   10/02/2024   (6,029,470)
Standard Chartered Bank   SGD57,084,299   USD43,870,841   10/02/2024   (656,694)
Standard Chartered Bank   NZD10,333,581   USD6,465,701   10/02/2024   (109,041)
Standard Chartered Bank   AUD985,000   USD666,454   10/02/2024   (16,890)
Standard Chartered Bank   CHF765,000   USD905,761   10/02/2024   (1,121)
See accompanying notes to Schedule of Investments.
228

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STATE STREET HEDGED INTERNATIONAL DEVELOPED EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Counterparty   Amount Sold   Amount Bought   Settlement
Date
  Net Unrealized
Appreciation/
(Depreciation)
Toronto-Dominion Bank   USD602,721,304   EUR540,048,657   10/02/2024   $137
Toronto-Dominion Bank   EUR542,015,657   USD600,743,595   10/02/2024   (4,173,116)
Toronto-Dominion Bank   EUR540,048,657   USD603,532,997   11/04/2024   (15,258)
UBS AG   USD602,732,105   EUR540,048,657   10/02/2024   (10,664)
UBS AG   CHF313,372,571   USD370,602,928   10/02/2024   (889,658)
UBS AG   EUR540,048,657   USD603,553,519   11/04/2024   5,264
Westpac Banking Corp.   USD835,723,256   JPY119,541,854,610   10/02/2024  
Westpac Banking Corp.   JPY126,865,632,610   USD874,974,620   10/02/2024   (11,949,545)
Westpac Banking Corp.   JPY119,541,854,610   USD839,589,571   11/05/2024   (9,140)
Total               $(40,081,045)
 
AUD Australian Dollar
CHF Swiss Franc
DKK Danish Krone
EUR Euro
GBP British Pound
HKD Hong Kong Dollar
ILS Israeli New Shekel
JPY Japanese Yen
NOK Norwegian Krone
NZD New Zealand Dollar
SEK Swedish Krona
SGD Singapore Dollar
 
At September 30, 2024, open futures contracts were as follows:
Description   Number of
Contracts
  Expiration
Date
  Notional
Amount
  Value   Unrealized
Appreciation
(Depreciation)
MSCI EAFE Index (long)   425   12/20/2024   $51,747,980   $52,865,750   $1,117,770
See accompanying notes to Schedule of Investments.
229

Table of Contents
STATE STREET HEDGED INTERNATIONAL DEVELOPED EQUITY INDEX FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                 
INVESTMENTS:                
Mutual Funds and Exchange Traded Products

  $3,573,982,429   $  $—   $3,573,982,429
Short-Term Investment

  90,883,216       90,883,216
TOTAL INVESTMENTS

  $3,664,865,645   $  $—   $3,664,865,645
OTHER FINANCIAL INSTRUMENTS:                
Forward Foreign Currency Exchange Contracts -

Unrealized Appreciation

  $  $1,651,131   $—   $1,651,131
Forward Foreign Currency Exchange Contracts -

Unrealized Depreciation

    (41,732,176)     (41,732,176)
Futures Contracts - Unrealized Appreciation

  1,117,770       1,117,770
TOTAL OTHER FINANCIAL INSTRUMENTS:

  $1,117,770   $(40,081,045)   $—   $(38,963,275)
 
Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
State Street Institutional Liquid Reserves Fund, Premier Class

91,384,867   $91,421,421   $372,607,773   $464,018,778   $5,348   $(15,764)     $  $4,938,056
State Street Institutional U.S. Government Money Market Fund, Class G Shares

    94,141,534   3,258,318       90,883,216   90,883,216   237,125
Total

    $91,421,421   $466,749,307   $467,277,096   $5,348   $(15,764)       $90,883,216   $5,175,181
See accompanying notes to Schedule of Investments.
230

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STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
COMMON STOCKS — 97.7%        
AUSTRALIA — 7.6%  
Ampol Ltd.

    49,395   $1,046,196
ANZ Group Holdings Ltd.

    598,670   12,659,180
APA Group Stapled Security

    257,937   1,388,604
Aristocrat Leisure Ltd.

    116,265   4,726,610
ASX Ltd.

    38,835   1,722,389
BHP Group Ltd.

    1,012,613   32,286,922
BlueScope Steel Ltd.

    91,093   1,402,946
Brambles Ltd.

    268,717   3,547,620
CAR Group Ltd.

    71,079   1,847,193
Cochlear Ltd.

    13,240   2,591,068
Coles Group Ltd.

    258,005   3,232,578
Commonwealth Bank of Australia

    333,512   31,325,729
Computershare Ltd.

    106,029   1,858,802
Dexus REIT

    210,234   1,105,542
Endeavour Group Ltd.

    319,135   1,111,428
Fortescue Ltd.

    339,965   4,877,394
Glencore PLC (a)

    2,074,824   11,903,163
Goodman Group REIT

    336,738   8,641,310
GPT Group REIT

    374,436   1,293,630
Insurance Australia Group Ltd.

    478,208   2,441,731
Lottery Corp. Ltd.

    442,593   1,572,091
Macquarie Group Ltd.

    72,869   11,746,974
Medibank Pvt Ltd.

    581,059   1,471,351
Mineral Resources Ltd. (b)

    34,833   1,257,567
Mirvac Group REIT

    797,874   1,190,079
National Australia Bank Ltd.

    614,584   15,924,837
Northern Star Resources Ltd.

    224,657   2,489,018
Orica Ltd.

    97,898   1,259,856
Origin Energy Ltd.

    337,307   2,342,408
Pilbara Minerals Ltd. (a) (b)

    527,481   1,196,624
Pro Medicus Ltd.

    12,004   1,484,426
Qantas Airways Ltd. (a)

    166,782   858,531
QBE Insurance Group Ltd.

    302,113   3,466,634
Ramsay Health Care Ltd.

    34,732   1,002,848
REA Group Ltd. (b)

    9,983   1,392,067
Reece Ltd. (b)

    48,540   959,727
Rio Tinto Ltd.

    73,320   6,568,296
Rio Tinto PLC

    225,089   15,998,898
Santos Ltd.

    663,282   3,230,267
Scentre Group REIT

    1,008,455   2,553,598
SEEK Ltd. (b)

    70,304   1,212,019
Seven Group Holdings Ltd.

    41,736   1,241,563
Sonic Healthcare Ltd.

    85,913   1,622,967
South32 Ltd.

    869,994   2,275,416
Stockland REIT

    474,699   1,725,650
Suncorp Group Ltd.

    257,889   3,236,492
Telstra Group Ltd.

    792,374   2,132,873
Transurban Group Stapled Security

    613,177   5,585,393
Treasury Wine Estates Ltd.

    157,053   1,307,467
Vicinity Ltd. REIT

    773,415   1,185,791
Washington H Soul Pattinson & Co. Ltd. (b)

    46,036   1,109,828
Security Description     Shares   Value
Wesfarmers Ltd.

    227,074   $11,095,023
Westpac Banking Corp.

    690,746   15,200,388
WiseTech Global Ltd.

    32,570   3,099,869
Woodside Energy Group Ltd.

    372,546   6,513,037
Woolworths Group Ltd.

    242,265   5,596,777
          273,116,685
AUSTRIA — 0.2%  
Erste Group Bank AG

    66,292   3,643,771
Mondi PLC

    88,803   1,692,636
OMV AG

    31,517   1,349,296
Verbund AG

    14,316   1,190,314
voestalpine AG

    22,739   593,335
          8,469,352
BELGIUM — 0.8%  
Ageas SA

    31,862   1,704,016
Anheuser-Busch InBev SA

    178,945   11,858,875
D'ieteren Group

    4,423   937,401
Elia Group SA

    5,712   654,700
Groupe Bruxelles Lambert NV

    16,553   1,292,255
KBC Group NV

    45,827   3,652,793
Lotus Bakeries NV

    87   1,169,040
Sofina SA

    3,290   931,170
Syensqo SA

    14,831   1,317,716
UCB SA

    25,460   4,603,172
Warehouses De Pauw CVA REIT

    36,020   962,391
          29,083,529
BRAZIL — 0.0% (c)  
Yara International ASA

    33,994   1,078,304
BURKINA FASO — 0.0% (c)  
Endeavour Mining PLC

    36,440   865,643
CHILE — 0.1%  
Antofagasta PLC

    77,374   2,089,203
CHINA — 0.5%  
BOC Hong Kong Holdings Ltd.

    767,000   2,458,745
Prosus NV

    283,811   12,435,501
SITC International Holdings Co. Ltd.

    243,000   656,968
Wharf Holdings Ltd.

    230,000   657,354
Wilmar International Ltd.

    385,400   1,007,090
          17,215,658
DENMARK — 3.3%  
AP Moller - Maersk AS Class A

    572   929,141
AP Moller - Maersk AS Class B

    847   1,427,834
Carlsberg AS Class B

    19,073   2,277,510
Coloplast AS Class B

    24,427   3,199,884
Danske Bank AS

    135,335   4,082,641
Demant AS (a)

    21,084   825,747
DSV AS

    33,916   7,019,817
Genmab AS (a)

    12,145   2,945,565
Novo Nordisk AS Class B

    640,666   75,466,129
 
See accompanying notes to Schedule of Investments.
231

Table of Contents
STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Novonesis (Novozymes) B Class B

    68,692   $4,958,946
Orsted AS (a) (d)

    36,095   2,405,793
Pandora AS

    16,910   2,791,118
Rockwool AS Class B

    2,037   958,804
Tryg AS

    69,763   1,658,562
Vestas Wind Systems AS (a)

    202,558   4,483,599
Zealand Pharma AS (a)

    12,758   1,552,849
          116,983,939
FINLAND — 1.0%  
Elisa OYJ

    28,435   1,511,215
Fortum OYJ (b)

    91,577   1,512,116
Kesko OYJ Class B (b)

    57,821   1,236,739
Kone OYJ Class B

    69,227   4,148,906
Metso OYJ (b)

    131,475   1,408,634
Neste OYJ (b)

    83,742   1,629,013
Nokia OYJ

    1,064,784   4,663,095
Nordea Bank Abp

    586,434   6,919,234
Nordea Bank Abp

    41,252   487,556
Orion OYJ Class B

    20,582   1,130,610
Sampo OYJ Class A

    87,911   4,110,939
Stora Enso OYJ Class R

    115,387   1,480,943
UPM-Kymmene OYJ

    104,724   3,514,499
Wartsila OYJ Abp

    99,516   2,232,404
          35,985,903
FRANCE — 9.3%  
Accor SA

    38,174   1,661,560
Aeroports de Paris SA

    6,344   816,350
Air Liquide SA

    115,432   22,320,724
Airbus SE

    118,462   17,348,537
Alstom SA (a)

    72,423   1,506,224
Amundi SA (d)

    11,496   860,259
Arkema SA

    11,768   1,122,930
AXA SA

    360,566   13,895,210
BioMerieux

    7,880   946,286
BNP Paribas SA

    201,206   13,821,422
Bollore SE

    139,783   933,689
Bouygues SA

    38,117   1,278,767
Bureau Veritas SA

    65,820   2,187,592
Capgemini SE

    30,481   6,597,855
Carrefour SA

    112,192   1,916,994
Cie de Saint-Gobain SA

    89,766   8,186,985
Cie Generale des Etablissements Michelin SCA

    134,520   5,473,779
Covivio SA REIT

    11,567   704,205
Credit Agricole SA

    204,291   3,129,287
Danone SA

    129,336   9,431,533
Dassault Aviation SA

    4,199   866,965
Dassault Systemes SE

    132,500   5,268,845
Edenred SE

    47,543   1,805,114
Eiffage SA

    14,427   1,395,013
Engie SA

    361,012   6,251,111
EssilorLuxottica SA

    59,352   14,082,585
Eurazeo SE

    9,058   745,552
Security Description     Shares   Value
Gecina SA REIT

    8,880   $1,024,749
Getlink SE

    64,204   1,147,911
Hermes International SCA

    6,275   15,449,093
Ipsen SA

    7,159   882,873
Kering SA

    14,754   4,229,345
Klepierre SA REIT

    43,119   1,416,740
La Francaise des Jeux SAEM (d)

    18,489   762,244
Legrand SA

    51,805   5,972,494
L'Oreal SA

    48,045   21,558,176
LVMH Moet Hennessy Louis Vuitton SE

    54,924   42,203,635
Orange SA

    373,341   4,285,423
Pernod Ricard SA

    40,430   6,118,531
Publicis Groupe SA

    46,337   5,078,356
Renault SA

    38,533   1,676,756
Rexel SA

    41,607   1,205,930
Safran SA

    68,248   16,079,107
Sartorius Stedim Biotech

    5,561   1,165,243
SEB SA

    4,806   549,783
Societe Generale SA

    140,243   3,498,183
Sodexo SA

    17,895   1,470,917
Teleperformance SE

    11,251   1,167,771
Thales SA

    18,514   2,945,447
TotalEnergies SE

    430,862   28,130,523
Unibail-Rodamco-Westfield REIT (a)

    23,242   2,038,824
Veolia Environnement SA

    134,302   4,424,687
Vinci SA

    99,679   11,675,349
Vivendi SE

    150,580   1,744,409
          332,457,872
GERMANY — 8.7%  
adidas AG

    32,285   8,571,937
Allianz SE

    78,213   25,750,443
BASF SE

    176,648   9,375,375
Bayer AG

    194,231   6,573,598
Bayerische Motoren Werke AG

    63,671   5,626,534
Bayerische Motoren Werke AG Preference Shares

    11,599   961,818
Bechtle AG

    15,089   675,624
Beiersdorf AG

    20,452   3,084,861
Brenntag SE

    26,021   1,945,149
Carl Zeiss Meditec AG

    8,085   642,005
Commerzbank AG

    203,650   3,755,862
Continental AG

    22,399   1,453,408
Covestro AG (a) (d)

    38,096   2,378,404
CTS Eventim AG & Co. KGaA

    12,864   1,340,214
Daimler Truck Holding AG

    95,435   3,581,940
Deutsche Bank AG

    372,577   6,444,296
Deutsche Boerse AG

    37,937   8,920,953
Deutsche Lufthansa AG

    121,904   895,216
Deutsche Post AG

    203,659   9,098,566
Deutsche Telekom AG

    696,939   20,526,642
Dr. Ing hc F Porsche AG Preference Shares (d)

    21,677   1,729,772
E.ON SE

    443,928   6,616,681
 
See accompanying notes to Schedule of Investments.
232

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STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Evonik Industries AG

    52,799   $1,237,453
Fresenius Medical Care AG

    40,959   1,745,753
Fresenius SE & Co. KGaA (a)

    83,117   3,175,269
GEA Group AG

    32,791   1,608,778
Hannover Rueck SE

    12,364   3,533,884
Heidelberg Materials AG

    26,793   2,918,468
Henkel AG & Co. KGaA

    20,708   1,764,538
Henkel AG & Co. KGaA Preference Shares

    34,150   3,216,747
Infineon Technologies AG

    261,764   9,190,780
Knorr-Bremse AG

    14,406   1,283,814
LEG Immobilien SE

    14,932   1,562,831
Mercedes-Benz Group AG

    149,527   9,685,695
Merck KGaA

    25,815   4,552,112
MTU Aero Engines AG

    10,866   3,395,561
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    26,453   14,593,158
Nemetschek SE

    11,865   1,231,500
Porsche Automobil Holding SE Preference Shares

    30,321   1,390,137
Puma SE

    19,231   804,854
Rational AG

    1,075   1,097,775
Rheinmetall AG

    8,814   4,784,652
RWE AG

    124,056   4,524,635
SAP SE

    208,497   47,562,476
Sartorius AG Preference Shares

    5,144   1,447,871
Scout24 SE (d)

    14,716   1,268,738
Siemens AG

    151,746   30,711,046
Siemens Energy AG (a)

    127,676   4,712,238
Siemens Healthineers AG (d)

    57,312   3,445,051
Symrise AG

    27,097   3,752,984
Talanx AG

    12,433   1,049,015
Volkswagen AG Preference Shares

    40,893   4,342,973
Vonovia SE

    147,866   5,401,297
Zalando SE (a) (d)

    44,998   1,487,517
          312,428,898
HONG KONG — 1.9%  
AIA Group Ltd.

    2,225,600   19,956,619
CK Asset Holdings Ltd.

    395,899   1,743,128
CK Infrastructure Holdings Ltd.

    136,000   931,471
CLP Holdings Ltd.

    318,500   2,823,138
Futu Holdings Ltd. ADR (a)

    10,900   1,042,585
Hang Seng Bank Ltd.

    144,300   1,815,941
Henderson Land Development Co. Ltd.

    259,436   828,325
HKT Trust & HKT Ltd. Stapled Security

    811,000   1,038,874
Hong Kong & China Gas Co. Ltd.

    2,331,995   1,921,438
Hong Kong Exchanges & Clearing Ltd.

    239,930   10,075,979
Hongkong Land Holdings Ltd.

    238,600   875,662
Security Description     Shares   Value
Jardine Matheson Holdings Ltd.

    33,000   $1,288,980
Link REIT

    527,591   2,665,973
MTR Corp. Ltd.

    325,012   1,228,079
Power Assets Holdings Ltd.

    274,000   1,756,704
Prudential PLC

    536,727   5,000,692
Sino Land Co. Ltd.

    824,456   905,389
Sun Hung Kai Properties Ltd.

    278,500   3,067,354
Swire Pacific Ltd. Class A

    84,500   722,343
Techtronic Industries Co. Ltd.

    279,500   4,249,624
WH Group Ltd. (d)

    1,695,266   1,344,427
Wharf Real Estate Investment Co. Ltd.

    313,000   1,108,143
          66,390,868
IRELAND — 0.4%  
AerCap Holdings NV

    37,500   3,552,000
AIB Group PLC

    342,649   1,967,517
Bank of Ireland Group PLC

    206,491   2,311,457
Kerry Group PLC Class A

    31,089   3,232,015
Kingspan Group PLC

    30,839   2,903,148
          13,966,137
ISRAEL — 0.6%  
Azrieli Group Ltd.

    7,326   510,892
Bank Hapoalim BM

    247,133   2,477,509
Bank Leumi Le-Israel BM

    301,954   2,958,089
Check Point Software Technologies Ltd. (a)

    17,910   3,453,227
Elbit Systems Ltd.

    5,427   1,080,819
Global-e Online Ltd. (a) (b)

    20,000   768,800
ICL Group Ltd.

    150,007   640,404
Israel Discount Bank Ltd. Class A

    250,161   1,402,225
Mizrahi Tefahot Bank Ltd.

    30,625   1,197,929
Nice Ltd. (a)

    12,336   2,151,678
Teva Pharmaceutical Industries Ltd. ADR (a)

    220,528   3,973,915
Wix.com Ltd. (a)

    10,000   1,671,700
          22,287,187
ITALY — 2.5%  
Amplifon SpA (b)

    25,292   728,543
Banco BPM SpA

    270,244   1,827,128
Coca-Cola HBC AG

    45,089   1,611,190
Davide Campari-Milano NV (b)

    113,571   963,307
DiaSorin SpA

    5,195   608,198
Enel SpA

    1,628,870   13,043,438
Eni SpA

    459,061   7,009,769
Ferrari NV

    25,092   11,753,251
FinecoBank Banca Fineco SpA

    120,281   2,063,934
Generali

    202,192   5,855,784
Infrastrutture Wireless Italiane SpA (d)

    65,940   813,195
Intesa Sanpaolo SpA

    2,929,989   12,548,682
Leonardo SpA

    80,480   1,798,191
 
See accompanying notes to Schedule of Investments.
233

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STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Mediobanca Banca di Credito Finanziario SpA

    101,803   $1,741,185
Moncler SpA

    43,715   2,781,900
Nexi SpA (a) (b) (d)

    105,114   714,668
Poste Italiane SpA (d)

    94,478   1,327,517
Prysmian SpA

    53,968   3,927,061
Recordati Industria Chimica e Farmaceutica SpA

    21,225   1,203,359
Snam SpA

    419,665   2,140,907
Telecom Italia SpA (a) (b)

    1,880,790   523,715
Terna - Rete Elettrica Nazionale

    274,053   2,473,771
UniCredit SpA

    290,916   12,780,905
          90,239,598
JAPAN — 21.8%  
Advantest Corp.

    152,900   7,205,669
Aeon Co. Ltd.

    126,100   3,437,248
AGC, Inc.

    39,100   1,270,258
Aisin Corp.

    113,400   1,250,222
Ajinomoto Co., Inc.

    92,400   3,582,567
ANA Holdings, Inc.

    35,300   757,380
Asahi Group Holdings Ltd.

    285,900   3,754,636
Asahi Kasei Corp.

    247,400   1,871,412
Asics Corp.

    136,500   2,863,790
Astellas Pharma, Inc.

    352,200   4,055,323
Bandai Namco Holdings, Inc.

    121,800   2,789,547
Bridgestone Corp.

    111,400   4,283,417
Brother Industries Ltd.

    49,800   967,869
Canon, Inc. (b)

    186,400   6,128,630
Capcom Co. Ltd.

    67,400   1,568,143
Central Japan Railway Co.

    152,100   3,527,095
Chiba Bank Ltd.

    99,200   799,273
Chubu Electric Power Co., Inc.

    127,700   1,500,725
Chugai Pharmaceutical Co. Ltd.

    133,800   6,484,211
Concordia Financial Group Ltd.

    218,700   1,210,923
Dai Nippon Printing Co. Ltd.

    82,600   1,473,680
Daifuku Co. Ltd.

    64,500   1,245,223
Dai-ichi Life Holdings, Inc.

    178,500   4,594,778
Daiichi Sankyo Co. Ltd.

    367,000   12,081,956
Daikin Industries Ltd.

    52,600   7,382,166
Daito Trust Construction Co. Ltd. (b)

    12,300   1,497,085
Daiwa House Industry Co. Ltd.

    113,200   3,565,199
Daiwa Securities Group, Inc. (b)

    261,700   1,838,706
Denso Corp.

    373,800   5,554,474
Dentsu Group, Inc.

    42,000   1,294,002
Disco Corp.

    18,300   4,796,330
East Japan Railway Co.

    185,400   3,692,057
Eisai Co. Ltd.

    50,300   1,879,569
ENEOS Holdings, Inc.

    582,600   3,171,635
FANUC Corp.

    188,700   5,527,496
Fast Retailing Co. Ltd.

    38,100   12,630,747
Fuji Electric Co. Ltd.

    25,000   1,506,572
Security Description     Shares   Value
FUJIFILM Holdings Corp.

    222,000   $5,723,825
Fujitsu Ltd.

    330,800   6,788,754
Hamamatsu Photonics KK (b)

    57,200   749,990
Hankyu Hanshin Holdings, Inc.

    45,100   1,394,241
Hikari Tsushin, Inc.

    4,000   891,219
Hitachi Construction Machinery Co. Ltd. (b)

    23,300   565,396
Hitachi Ltd.

    925,000   24,450,678
Honda Motor Co. Ltd.

    885,400   9,331,239
Hoshizaki Corp.

    20,300   707,321
Hoya Corp.

    69,700   9,640,761
Hulic Co. Ltd.

    74,500   757,552
Ibiden Co. Ltd. (b)

    22,100   683,672
Idemitsu Kosan Co. Ltd.

    191,200   1,374,116
Inpex Corp.

    187,400   2,539,018
Isuzu Motors Ltd.

    115,600   1,560,568
ITOCHU Corp. (b)

    237,900   12,769,828
Japan Airlines Co. Ltd.

    25,500   448,799
Japan Exchange Group, Inc.

    194,800   2,526,925
Japan Post Bank Co. Ltd.

    286,900   2,683,670
Japan Post Holdings Co. Ltd.

    372,700   3,559,202
Japan Post Insurance Co. Ltd.

    42,100   766,418
Japan Real Estate Investment Corp. REIT

    248   989,989
Japan Tobacco, Inc.

    240,100   7,014,667
JFE Holdings, Inc. (b)

    112,900   1,514,252
Kajima Corp.

    73,300   1,371,044
Kansai Electric Power Co., Inc.

    139,100   2,304,719
Kao Corp.

    94,200   4,681,682
Kawasaki Kisen Kaisha Ltd. (b)

    81,300   1,258,377
KDDI Corp.

    306,300   9,837,403
Keisei Electric Railway Co. Ltd. (b)

    24,800   740,151
Keyence Corp.

    38,800   18,542,841
Kikkoman Corp.

    134,000   1,525,112
Kirin Holdings Co. Ltd.

    151,800   2,319,874
Kobe Bussan Co. Ltd. (b)

    32,500   1,027,894
Kokusai Electric Corp.

    28,200   626,930
Komatsu Ltd.

    183,200   5,079,497
Konami Group Corp.

    20,700   2,104,876
Kubota Corp.

    195,800   2,780,130
Kyocera Corp.

    261,200   3,031,264
Kyowa Kirin Co. Ltd.

    43,900   775,554
Lasertec Corp.

    15,800   2,607,376
LY Corp.

    530,500   1,555,080
M3, Inc.

    89,400   898,750
Makita Corp.

    47,500   1,607,575
Marubeni Corp.

    286,100   4,680,327
MatsukiyoCocokara & Co.

    62,400   1,026,476
Mazda Motor Corp. (b)

    104,900   784,697
McDonald's Holdings Co. Japan Ltd.

    19,400   927,685
MEIJI Holdings Co. Ltd.

    44,200   1,109,326
Minebea Mitsumi, Inc.

    75,000   1,477,559
 
See accompanying notes to Schedule of Investments.
234

Table of Contents
STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Mitsubishi Chemical Group Corp.

    254,800   $1,636,855
Mitsubishi Corp.

    664,800   13,722,190
Mitsubishi Electric Corp.

    372,500   5,998,698
Mitsubishi Estate Co. Ltd.

    227,700   3,595,221
Mitsubishi HC Capital, Inc.

    159,200   1,124,662
Mitsubishi Heavy Industries Ltd.

    639,900   9,472,793
Mitsubishi UFJ Financial Group, Inc.

    2,217,100   22,529,047
Mitsui & Co. Ltd.

    515,600   11,455,375
Mitsui Chemicals, Inc. (b)

    35,100   933,693
Mitsui Fudosan Co. Ltd.

    529,800   4,955,763
Mitsui OSK Lines Ltd. (b)

    67,400   2,321,116
Mizuho Financial Group, Inc.

    484,140   9,937,325
MonotaRO Co. Ltd. (b)

    53,900   903,420
MS&AD Insurance Group Holdings, Inc.

    256,700   5,976,028
Murata Manufacturing Co. Ltd.

    332,000   6,513,968
NEC Corp.

    49,100   4,719,834
Nexon Co. Ltd.

    67,400   1,333,252
NIDEC Corp.

    165,200   3,471,695
Nintendo Co. Ltd.

    206,800   11,039,743
Nippon Building Fund, Inc. REIT

    1,550   1,428,202
Nippon Paint Holdings Co. Ltd.

    186,100   1,427,886
Nippon Prologis REIT, Inc.

    470   808,963
Nippon Sanso Holdings Corp.

    32,400   1,180,797
Nippon Steel Corp. (b)

    172,900   3,865,591
Nippon Telegraph & Telephone Corp.

    5,914,900   6,070,381
Nippon Yusen KK (b)

    90,100   3,288,045
Nissan Motor Co. Ltd. (b)

    443,800   1,248,808
Nissin Foods Holdings Co. Ltd.

    43,200   1,210,168
Nitori Holdings Co. Ltd.

    15,500   2,361,734
Nitto Denko Corp.

    146,500   2,446,276
Nomura Holdings, Inc.

    591,600   3,072,978
Nomura Real Estate Holdings, Inc. (b)

    21,700   581,185
Nomura Research Institute Ltd.

    74,200   2,749,301
NTT Data Group Corp.

    123,900   2,230,009
Obayashi Corp.

    129,200   1,637,581
Obic Co. Ltd.

    66,500   2,345,910
Olympus Corp.

    235,100   4,468,116
Omron Corp.

    34,900   1,597,387
Ono Pharmaceutical Co. Ltd. (b)

    80,500   1,075,753
Oracle Corp. Japan

    6,900   711,273
Oriental Land Co. Ltd.

    220,000   5,687,640
ORIX Corp.

    230,900   5,356,028
Osaka Gas Co. Ltd.

    74,000   1,667,897
Otsuka Corp.

    45,200   1,119,888
Otsuka Holdings Co. Ltd.

    84,400   4,769,332
Pan Pacific International Holdings Corp.

    74,800   1,932,229
Panasonic Holdings Corp.

    460,700   4,003,426
Security Description     Shares   Value
Rakuten Group, Inc. (a)

    293,700   $1,900,508
Recruit Holdings Co. Ltd.

    296,500   18,044,131
Renesas Electronics Corp.

    336,100   4,885,010
Resona Holdings, Inc. (b)

    416,700   2,906,180
Ricoh Co. Ltd.

    104,000   1,121,504
Rohm Co. Ltd. (b)

    64,400   723,059
SBI Holdings, Inc.

    55,400   1,276,167
SCREEN Holdings Co. Ltd. (b)

    16,900   1,178,298
SCSK Corp.

    30,900   639,322
Secom Co. Ltd.

    81,000   2,997,861
Seiko Epson Corp.

    57,900   1,068,422
Sekisui Chemical Co. Ltd.

    72,500   1,131,039
Sekisui House Ltd.

    115,500   3,208,872
Seven & i Holdings Co. Ltd.

    436,700   6,554,774
SG Holdings Co. Ltd. (b)

    62,100   669,016
Shimadzu Corp.

    46,800   1,561,963
Shimano, Inc.

    14,900   2,830,208
Shin-Etsu Chemical Co. Ltd.

    359,700   15,030,250
Shionogi & Co. Ltd.

    148,500   2,131,884
Shiseido Co. Ltd.

    79,400   2,150,972
Shizuoka Financial Group, Inc.

    96,100   836,105
SMC Corp.

    11,300   5,028,279
SoftBank Corp.

    5,646,000   7,389,060
SoftBank Group Corp.

    204,100   12,024,264
Sompo Holdings, Inc.

    187,900   4,204,893
Sony Group Corp.

    1,246,500   24,204,095
Subaru Corp.

    119,100   2,066,598
SUMCO Corp. (b)

    67,300   725,508
Sumitomo Corp.

    207,300   4,628,888
Sumitomo Electric Industries Ltd. (b)

    145,600   2,336,583
Sumitomo Metal Mining Co. Ltd.

    49,900   1,496,930
Sumitomo Mitsui Financial Group, Inc.

    745,800   15,876,405
Sumitomo Mitsui Trust Holdings, Inc.

    132,300   3,136,390
Sumitomo Realty & Development Co. Ltd.

    56,800   1,908,423
Suntory Beverage & Food Ltd.

    27,500   1,037,018
Suzuki Motor Corp. (b)

    307,000   3,417,908
Sysmex Corp.

    94,800   1,873,599
T&D Holdings, Inc.

    92,500   1,613,447
Taisei Corp.

    35,000   1,531,739
Takeda Pharmaceutical Co. Ltd.

    313,717   8,998,748
TDK Corp.

    380,000   4,842,981
Terumo Corp.

    261,800   4,941,695
TIS, Inc.

    46,800   1,194,539
Toho Co. Ltd.

    21,600   877,802
Tokio Marine Holdings, Inc.

    372,700   13,629,710
Tokyo Electric Power Co. Holdings, Inc. (a)

    308,400   1,373,182
Tokyo Electron Ltd.

    89,500   15,823,930
Tokyo Gas Co. Ltd.

    68,500   1,598,046
Tokyu Corp.

    97,600   1,264,351
TOPPAN Holdings, Inc.

    47,700   1,415,260
 
See accompanying notes to Schedule of Investments.
235

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STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Toray Industries, Inc.

    284,700   $1,678,265
TOTO Ltd. (b)

    25,200   940,243
Toyota Industries Corp.

    29,100   2,242,922
Toyota Motor Corp.

    2,049,900   36,436,457
Toyota Tsusho Corp.

    123,300   2,228,261
Trend Micro, Inc.

    23,600   1,400,095
Unicharm Corp.

    82,900   3,003,850
West Japan Railway Co.

    88,200   1,679,648
Yakult Honsha Co. Ltd. (b)

    51,400   1,192,650
Yamaha Motor Co. Ltd.

    177,900   1,591,946
Yaskawa Electric Corp.

    47,000   1,642,240
Yokogawa Electric Corp.

    47,700   1,218,844
Zensho Holdings Co. Ltd.

    17,800   987,562
ZOZO, Inc. (b)

    26,100   951,380
          779,637,953
JORDAN — 0.0% (c)  
Hikma Pharmaceuticals PLC

    35,414   907,774
LUXEMBOURG — 0.1%  
ArcelorMittal SA

    95,589   2,511,297
Eurofins Scientific SE

    28,388   1,802,731
          4,314,028
MACAU — 0.1%  
Galaxy Entertainment Group Ltd.

    416,000   2,091,381
Sands China Ltd. (a)

    452,000   1,159,168
          3,250,549
NETHERLANDS — 4.3%  
ABN AMRO Bank NV GDR (d)

    87,824   1,588,349
Adyen NV (a) (d)

    4,327   6,773,365
Aegon Ltd.

    267,823   1,724,078
Akzo Nobel NV

    33,109   2,339,018
Argenx SE (a)

    11,813   6,402,103
ASM International NV

    9,213   6,060,312
ASML Holding NV

    79,457   66,118,320
ASR Nederland NV

    31,991   1,570,957
BE Semiconductor Industries NV

    15,042   1,906,235
Euronext NV (d)

    16,963   1,844,881
EXOR NV

    19,902   2,135,648
Heineken Holding NV

    25,363   1,919,173
Heineken NV (b)

    57,005   5,066,732
IMCD NV

    11,913   2,072,769
ING Groep NV

    660,646   11,999,050
JDE Peet's NV

    20,587   431,032
Koninklijke Ahold Delhaize NV

    183,631   6,359,332
Koninklijke KPN NV

    784,471   3,212,243
Koninklijke Philips NV (a)

    160,925   5,283,843
NN Group NV

    54,847   2,741,074
OCI NV

    20,735   591,954
Randstad NV (b)

    21,293   1,059,877
Universal Music Group NV (b)

    163,234   4,281,168
Wolters Kluwer NV

    49,438   8,348,022
          151,829,535
Security Description     Shares   Value
NEW ZEALAND — 0.3%  
Auckland International Airport Ltd.

    250,906   $1,192,503
Fisher & Paykel Healthcare Corp. Ltd.

    116,259   2,570,451
Mercury NZ Ltd.

    140,603   577,008
Meridian Energy Ltd.

    261,191   987,126
Spark New Zealand Ltd.

    365,301   704,241
Xero Ltd. (a)

    29,246   3,032,051
          9,063,380
NORWAY — 0.5%  
Aker BP ASA

    62,807   1,348,848
DNB Bank ASA

    178,805   3,673,663
Equinor ASA

    167,287   4,235,918
Gjensidige Forsikring ASA

    44,580   835,506
Kongsberg Gruppen ASA

    17,362   1,701,147
Mowi ASA

    93,971   1,692,926
Norsk Hydro ASA

    276,238   1,795,489
Orkla ASA

    150,711   1,423,023
Salmar ASA

    14,543   764,247
Telenor ASA

    121,103   1,552,212
          19,022,979
POLAND — 0.0% (c)  
InPost SA (a)

    42,432   802,215
PORTUGAL — 0.2%  
EDP SA

    620,854   2,842,293
Galp Energia SGPS SA

    91,189   1,709,762
Jeronimo Martins SGPS SA

    58,707   1,155,772
          5,707,827
SINGAPORE — 1.5%  
CapitaLand Ascendas REIT

    785,815   1,753,066
CapitaLand Integrated Commercial Trust REIT

    1,117,341   1,847,709
CapitaLand Investment Ltd.

    514,482   1,252,093
DBS Group Holdings Ltd.

    397,792   11,806,541
Genting Singapore Ltd.

    1,255,700   857,050
Grab Holdings Ltd. Class A (a)

    435,500   1,654,900
Keppel Ltd.

    284,500   1,471,322
Oversea-Chinese Banking Corp. Ltd.

    676,666   7,970,091
Sea Ltd. ADR (a)

    73,900   6,967,292
Sembcorp Industries Ltd.

    198,600   858,225
Singapore Airlines Ltd. (b)

    281,049   1,490,743
Singapore Exchange Ltd.

    167,000   1,487,629
Singapore Technologies Engineering Ltd.

    302,100   1,098,117
Singapore Telecommunications Ltd.

    1,483,800   3,750,009
STMicroelectronics NV

    134,331   3,995,372
United Overseas Bank Ltd.

    250,190   6,278,169
          54,538,328
SOUTH AFRICA — 0.2%  
Anglo American PLC

    252,648   8,231,619
 
See accompanying notes to Schedule of Investments.
236

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STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
SOUTH KOREA — 0.0% (c)  
Delivery Hero SE (a) (d)

    35,875   $1,450,187
SPAIN — 2.7%  
Acciona SA

    4,395   625,393
ACS Actividades de Construccion y Servicios SA

    34,305   1,588,108
Aena SME SA (d)

    14,716   3,245,342
Amadeus IT Group SA

    89,009   6,449,057
Banco Bilbao Vizcaya Argentaria SA

    1,137,646   12,325,957
Banco de Sabadell SA (b)

    1,088,664   2,319,442
Banco Santander SA

    3,093,682   15,884,167
CaixaBank SA

    732,375   4,384,358
Cellnex Telecom SA (a) (d)

    105,794   4,301,342
EDP Renovaveis SA

    68,045   1,193,043
Endesa SA

    65,821   1,442,011
Grifols SA (a) (b)

    51,836   591,532
Iberdrola SA

    1,219,456   18,903,931
Industria de Diseno Textil SA

    218,238   12,943,022
Redeia Corp. SA

    82,554   1,609,588
Repsol SA

    238,864   3,157,690
Telefonica SA (b)

    792,497   3,888,115
          94,852,098
SWEDEN — 3.3%  
AddTech AB Class B

    51,895   1,557,372
Alfa Laval AB

    58,645   2,820,995
Assa Abloy AB Class B

    199,606   6,726,655
Atlas Copco AB Class A

    539,146   10,448,793
Atlas Copco AB Class B

    309,483   5,306,330
Beijer Ref AB (b)

    75,942   1,250,766
Boliden AB

    51,466   1,749,111
Epiroc AB Class A

    130,391   2,823,513
Epiroc AB Class B

    82,024   1,556,066
EQT AB (b)

    72,909   2,499,445
Essity AB Class B

    122,963   3,844,186
Evolution AB (d)

    35,751   3,519,869
Fastighets AB Balder Class B (a)

    128,686   1,132,664
Getinge AB Class B

    45,194   975,519
H & M Hennes & Mauritz AB Class B (b)

    113,593   1,936,435
Hexagon AB Class B

    414,543   4,465,807
Holmen AB Class B

    16,166   700,762
Husqvarna AB Class B (b)

    69,019   483,431
Industrivarden AB Class A

    26,641   986,100
Industrivarden AB Class C (b)

    33,341   1,227,847
Indutrade AB

    53,245   1,657,767
Investment AB Latour Class B

    32,040   1,001,033
Investor AB Class B

    344,871   10,633,687
L E Lundbergforetagen AB Class B (b)

    16,401   940,057
Lifco AB Class B

    48,109   1,586,136
Nibe Industrier AB Class B (b)

    309,051   1,696,997
Saab AB Class B (b)

    62,876   1,339,199
Sagax AB Class B

    40,834   1,165,005
Sandvik AB

    211,927   4,743,823
Security Description     Shares   Value
Securitas AB Class B

    104,741   $1,331,918
Skandinaviska Enskilda Banken AB Class A

    315,487   4,831,932
Skanska AB Class B

    68,771   1,436,941
SKF AB Class B

    72,826   1,451,261
Svenska Cellulosa AB SCA Class B

    119,298   1,741,229
Svenska Handelsbanken AB Class A

    294,018   3,023,832
Swedbank AB Class A

    167,530   3,558,314
Swedish Orphan Biovitrum AB (a)

    40,740   1,314,246
Tele2 AB Class B

    102,295   1,159,530
Telefonaktiebolaget LM Ericsson Class B (b)

    563,153   4,262,287
Telia Co. AB

    465,670   1,508,652
Trelleborg AB Class B

    43,518   1,675,189
Volvo AB Class A

    41,104   1,098,096
Volvo AB Class B

    318,850   8,436,317
Volvo Car AB Class B (a) (b)

    162,746   448,264
          118,053,378
SWITZERLAND — 6.5%  
ABB Ltd.

    313,146   18,186,263
Adecco Group AG

    34,448   1,175,287
Alcon, Inc.

    100,106   10,006,446
Avolta AG

    19,349   821,166
Bachem Holding AG (b)

    7,469   630,422
Baloise Holding AG

    9,114   1,863,748
Banque Cantonale Vaudoise

    6,849   709,217
Barry Callebaut AG

    659   1,223,394
BKW AG

    3,766   684,849
Chocoladefabriken Lindt & Spruengli AG (e)

    197   2,547,887
Chocoladefabriken Lindt & Spruengli AG (e)

    21   2,683,658
Cie Financiere Richemont SA Class A

    107,337   17,025,299
Clariant AG

    48,382   734,147
DSM-Firmenich AG

    37,301   5,147,524
EMS-Chemie Holding AG

    1,465   1,233,063
Galderma Group AG (a)

    9,500   885,188
Geberit AG

    6,559   4,287,396
Givaudan SA

    1,844   10,143,038
Helvetia Holding AG

    7,286   1,261,047
Julius Baer Group Ltd.

    40,892   2,467,433
Kuehne & Nagel International AG

    9,758   2,669,843
Logitech International SA

    30,338   2,717,491
Lonza Group AG

    14,421   9,139,312
Novartis AG

    391,678   45,108,787
Partners Group Holding AG

    4,573   6,884,844
Sandoz Group AG

    81,185   3,394,458
Schindler Holding AG (e)

    8,422   2,476,031
Schindler Holding AG (e)

    4,669   1,331,153
SGS SA

    29,984   3,353,317
SIG Group AG

    64,401   1,439,871
 
See accompanying notes to Schedule of Investments.
237

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STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
Sika AG

    30,440   $10,107,574
Sonova Holding AG

    10,000   3,601,446
Straumann Holding AG

    22,133   3,627,393
Swatch Group AG

    9,691   416,453
Swatch Group AG Bearer Shares

    5,970   1,282,748
Swiss Life Holding AG

    5,596   4,683,511
Swiss Prime Site AG

    15,571   1,750,826
Swisscom AG

    5,125   3,356,722
Temenos AG

    10,416   730,991
UBS Group AG

    653,041   20,174,558
VAT Group AG (d)

    5,270   2,691,383
Zurich Insurance Group AG

    29,222   17,660,335
          232,315,519
UNITED KINGDOM — 10.7%  
3i Group PLC

    194,126   8,605,915
Admiral Group PLC

    50,731   1,894,456
Ashtead Group PLC

    86,395   6,705,156
Associated British Foods PLC

    67,556   2,114,076
AstraZeneca PLC

    308,159   47,898,863
Auto Trader Group PLC (d)

    181,317   2,110,571
Aviva PLC

    524,755   3,403,962
BAE Systems PLC

    602,701   10,004,353
Barclays PLC

    2,905,465   8,751,260
Barratt Developments PLC

    275,211   1,767,141
Berkeley Group Holdings PLC

    18,951   1,199,820
British American Tobacco PLC

    395,086   14,435,792
BT Group PLC (b)

    1,299,617   2,578,252
Bunzl PLC

    68,965   3,269,167
Centrica PLC

    1,047,351   1,638,773
CK Hutchison Holdings Ltd.

    550,000   3,165,111
Coca-Cola Europacific Partners PLC

    40,900   3,220,875
Compass Group PLC

    341,400   10,963,003
Croda International PLC

    28,161   1,592,918
DCC PLC

    19,766   1,350,843
Diageo PLC

    442,434   15,447,725
Entain PLC

    135,639   1,388,560
Halma PLC

    74,025   2,589,571
Hargreaves Lansdown PLC

    69,799   1,043,449
HSBC Holdings PLC

    3,697,444   33,189,400
Imperial Brands PLC

    164,519   4,795,321
Informa PLC

    265,029   2,915,782
InterContinental Hotels Group PLC

    32,313   3,526,388
Intertek Group PLC

    33,033   2,286,334
J Sainsbury PLC

    356,443   1,412,350
JD Sports Fashion PLC

    501,204   1,035,662
Kingfisher PLC

    387,068   1,671,803
Land Securities Group PLC REIT

    143,450   1,252,632
Legal & General Group PLC

    1,210,097   3,673,217
Lloyds Banking Group PLC

    12,455,963   9,824,184
London Stock Exchange Group PLC

    95,470   13,087,590
M&G PLC

    451,336   1,255,598
Security Description     Shares   Value
Melrose Industries PLC

    259,564   $1,586,592
National Grid PLC

    954,502   13,187,301
NatWest Group PLC

    1,327,144   6,121,983
Next PLC

    24,735   3,245,499
Pearson PLC

    118,312   1,608,401
Persimmon PLC

    66,397   1,463,727
Phoenix Group Holdings PLC

    145,994   1,095,663
Reckitt Benckiser Group PLC

    137,284   8,428,353
RELX PLC

    374,298   17,617,438
Rentokil Initial PLC

    497,108   2,429,803
Rolls-Royce Holdings PLC (a)

    1,686,942   11,929,368
Sage Group PLC

    196,294   2,697,496
Schroders PLC

    159,095   745,200
Segro PLC REIT

    260,230   3,050,778
Severn Trent PLC

    53,275   1,887,983
Smith & Nephew PLC

    170,731   2,651,935
Smiths Group PLC

    69,123   1,554,882
Spirax Group PLC

    13,830   1,394,097
SSE PLC

    222,945   5,631,057
Standard Chartered PLC

    428,224   4,554,976
Taylor Wimpey PLC

    714,533   1,574,714
Tesco PLC

    1,357,996   6,533,889
Unilever PLC

    495,315   32,149,851
United Utilities Group PLC

    141,323   1,981,886
Vodafone Group PLC

    4,609,951   4,640,139
Whitbread PLC

    37,255   1,566,121
Wise PLC Class A (a)

    120,682   1,087,002
WPP PLC

    224,210   2,295,278
          381,777,285
UNITED STATES — 8.6%  
BP PLC

    3,273,316   17,198,215
CSL Ltd.

    95,958   19,057,912
CyberArk Software Ltd. (a)

    8,300   2,420,363
Experian PLC

    182,018   9,597,525
Ferrovial SE

    103,333   4,449,232
GSK PLC

    827,625   16,835,185
Haleon PLC

    1,458,729   7,687,737
Holcim AG

    102,812   10,062,425
James Hardie Industries PLC CDI (a)

    86,204   3,434,546
Monday.com Ltd. (a)

    7,400   2,055,498
Nestle SA

    520,838   52,457,349
Qiagen NV (a)

    43,797   1,978,160
Roche Holding AG

    139,614   44,786,377
Roche Holding AG Bearer Shares (b)

    6,283   2,155,533
Sanofi SA

    227,565   26,133,922
Schneider Electric SE

    109,174   28,779,475
Shell PLC

    1,258,179   40,925,693
Stellantis NV

    415,128   5,748,672
Swiss Re AG

    60,224   8,331,623
Tenaris SA

    92,921   1,465,863
          305,561,305
TOTAL COMMON STOCKS

(Cost $2,265,858,919)

        3,493,974,735
    
 
See accompanying notes to Schedule of Investments.
238

Table of Contents
STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Security Description     Shares   Value
SHORT-TERM INVESTMENTS — 3.1%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (f) (g)

  43,815,271   $43,815,271
State Street Navigator Securities Lending Portfolio II (h) (i)

  65,682,338   65,682,338
TOTAL SHORT-TERM INVESTMENTS

(Cost $109,497,609)

  109,497,609  
TOTAL INVESTMENTS — 100.8%

(Cost $2,375,356,528)

  3,603,472,344  
LIABILITIES IN EXCESS OF OTHER

ASSETS — (0.8)%

  (29,467,201)  
NET ASSETS — 100.0%

  $3,574,005,143  
(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at September 30, 2024.
(c) Amount is less than 0.05% of net assets.
(d) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 1.3% of net assets as of September 30, 2024, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(e) Reflects separate holdings of the issuer's common stock traded on different securities exchanges.
(f) The Portfolio invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(g) The rate shown is the annualized seven-day yield at September 30, 2024.
(h) The Portfolio invested in an affiliated entity. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(i) Investment of cash collateral for securities loaned.
ADR American Depositary Receipt
CDI CREST Depository Interest
GDR Global Depositary Receipt
REIT Real Estate Investment Trust
 
At September 30, 2024, open futures contracts were as follows:
Description   Number of
Contracts
  Expiration
Date
  Notional
Amount
  Value   Unrealized
Appreciation
(Depreciation)
MSCI EAFE Index (long)   580   12/20/2024   $70,531,846   $72,146,200   $1,614,354
 
The following table summarizes the value of the Portfolio’s investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                 
INVESTMENTS:                
Common Stocks

  $3,493,974,735   $—   $—   $3,493,974,735
Short-Term Investments

  109,497,609       109,497,609
TOTAL INVESTMENTS

  $3,603,472,344   $—   $—   $3,603,472,344
OTHER FINANCIAL INSTRUMENTS:                
Futures Contracts - Unrealized Appreciation

  $1,614,354   $—   $—   $1,614,354
TOTAL OTHER FINANCIAL INSTRUMENTS:

  $1,614,354   $—   $—   $1,614,354
See accompanying notes to Schedule of Investments.
239

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STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Sector Breakdown as of September 30, 2024

   
    % of Net Assets
  Financials 20.1%
  Industrials 17.0
  Health Care 13.0
  Consumer Discretionary 10.7
  Consumer Staples 8.6
  Information Technology 8.5
  Materials 6.7
  Communication Services 4.2
  Energy 3.5
  Utilities 3.3
  Real Estate 2.1
  Short-Term Investments 3.1
  Liabilities in Excess of Other Assets (0.8)
  TOTAL 100.0%
(The Portfolio's sector breakdown is expressed as a percentage of net assets and may change over time.)
Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
State Street Institutional Liquid Reserves Fund, Premier Class

49,876,087   $49,896,038   $301,920,019   $351,807,183   $(10,175)   $1,301     $  $2,766,722
State Street Institutional U.S. Government Money Market Fund, Class G Shares

    47,430,584   3,615,313       43,815,271   43,815,271   112,405
State Street Navigator Securities Lending Portfolio II

38,341,876   38,341,876   280,985,843   253,645,381       65,682,338   65,682,338   470,687
Total

    $88,237,914   $630,336,446   $609,067,877   $(10,175)   $1,301       $109,497,609   $3,349,814
See accompanying notes to Schedule of Investments.
240

Table of Contents
STATE STREET TARGET RETIREMENT FUND
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS — 99.8% (a)      
DOMESTIC EQUITY — 18.5%  
State Street Equity 500 Index II Portfolio

    201,730   $106,666,958
State Street Small/Mid Cap Equity Index Portfolio

    63,008   20,117,111
          126,784,069
DOMESTIC FIXED INCOME — 46.8%  
SPDR Bloomberg High Yield Bond ETF (b)

    490,200   47,936,658
SPDR Portfolio Short Term Corporate Bond ETF

    902,821   27,337,420
SPDR Portfolio Short Term Treasury ETF

    3,671,226   107,970,757
State Street Aggregate Bond Index Portfolio

    1,495,836   136,659,572
          319,904,407
INFLATION LINKED — 18.0%  
SPDR Bloomberg 1-10 Year TIPS ETF

    6,492,259   123,028,308
INTERNATIONAL EQUITY — 11.5%  
State Street Global All Cap Equity ex-U.S. Index Portfolio

    611,224   78,383,420
REAL ESTATE — 5.0%  
SPDR Dow Jones Global Real Estate ETF

    720,140   34,228,254
TOTAL MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS

(Cost $659,142,389)

  682,328,458  
SHORT-TERM INVESTMENTS — 0.2%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (c)(d)

    1,225,215   1,225,215
Security Description     Shares   Value
State Street Navigator Securities Lending Portfolio II (a)(e)

    20,848   $20,848
TOTAL SHORT-TERM INVESTMENTS

(Cost $1,246,063)

        $1,246,063
TOTAL INVESTMENTS — 100.0%

(Cost $660,388,452)

        683,574,521
LIABILITIES IN EXCESS OF OTHER ASSETS — (0.0)% (f)

        (177,301)
NET ASSETS — 100.0%

        $683,397,220
The Fund invests in other funds and financial statements of underlying funds can be found at www.sec.gov.
 
(a) Affiliated fund managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(b) All or a portion of the shares of the security are on loan at September 30, 2024.
(c) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(d) The rate shown is the annualized seven-day yield at September 30, 2024.
(e) Investment of cash collateral for securities loaned.
(f) Amount is less than 0.05% of net assets.
 
The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                
INVESTMENTS:                
Mutual Funds and Exchange Traded Products

  $682,328,458   $—   $—   $682,328,458
Short-Term Investments

  1,246,063       1,246,063
TOTAL INVESTMENTS

  $683,574,521   $—   $—   $683,574,521
See accompanying notes to Schedule of Investments.
241

Table of Contents
STATE STREET TARGET RETIREMENT FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
SPDR Bloomberg 1-10 Year TIPS ETF

6,565,085   $122,044,930   $14,720,500   $15,988,758   $(313,486)   $2,565,122   6,492,259   $123,028,308   $3,213,275
SPDR Bloomberg High Yield Bond ETF

498,562   47,228,778   4,795,179   5,567,651   (843,245)   2,323,597   490,200   47,936,658   2,095,560
SPDR Dow Jones Global Real Estate ETF

774,983   33,874,507   6,429,038   9,007,641   82,493   2,849,857   720,140   34,228,254   816,883
SPDR Portfolio Short Term Corporate Bond ETF

913,249   27,196,555   4,916,942   5,199,146   (157,664)   580,733   902,821   27,337,420   867,708
SPDR Portfolio Short Term Treasury ETF

3,695,524   107,354,972   13,963,906   14,558,467   (925,873)   2,136,219   3,671,226   107,970,757   2,984,741
State Street Aggregate Bond Index Portfolio

1,511,750   135,362,047   17,756,785   19,087,811   (3,138,403)   5,766,954   1,495,836   136,659,572   3,236,082
State Street Equity 500 Index II Portfolio

243,572   105,515,350   7,400,000   27,998,644   9,308,598   12,441,654   201,730   106,666,958  
State Street Global All Cap Equity ex-U.S. Index Portfolio

696,174   78,444,835   6,739,434   17,067,304   532,342   9,734,113   611,224   78,383,420  
State Street Institutional U.S. Government Money Market Fund, Class G Shares

1,510,030   1,510,030   89,132,763   89,417,578       1,225,215   1,225,215   63,024
State Street Navigator Securities Lending Portfolio II

11,750,425   11,750,425   257,693,172   269,422,749       20,848   20,848   7,914
State Street Small/Mid Cap Equity Index Portfolio

69,181   19,652,379   2,280,000   4,230,000   284,072   2,130,660   63,008   20,117,111  
Total

    $689,934,808   $425,827,719   $477,545,749   $4,828,834   $40,528,909       $683,574,521   $13,285,187
See accompanying notes to Schedule of Investments.
242

Table of Contents
STATE STREET TARGET RETIREMENT 2020 FUND
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS — 99.9% (a)      
DOMESTIC EQUITY — 19.0%  
State Street Equity 500 Index II Portfolio

    285,661   $151,046,010
State Street Small/Mid Cap Equity Index Portfolio

    89,755   28,656,936
          179,702,946
DOMESTIC FIXED INCOME — 46.2%  
SPDR Bloomberg High Yield Bond ETF (b)

    681,004   66,595,381
SPDR Portfolio Short Term Corporate Bond ETF

    1,199,636   36,324,978
SPDR Portfolio Short Term Treasury ETF

    4,874,419   143,356,663
State Street Aggregate Bond Index Portfolio

    2,103,853   192,207,987
          438,485,009
INFLATION LINKED — 18.0%  
SPDR Bloomberg 1-10 Year TIPS ETF

    9,018,682   170,904,024
INTERNATIONAL EQUITY — 11.7%  
State Street Global All Cap Equity ex-U.S. Index Portfolio

    865,928   111,046,580
REAL ESTATE — 5.0%  
SPDR Dow Jones Global Real Estate ETF

    1,000,309   47,544,687
TOTAL MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS

(Cost $918,211,137)

  947,683,246  
Security Description     Shares   Value
SHORT-TERM INVESTMENT — 0.2%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (c)(d)

(Cost $1,301,829)

    1,301,829   $1,301,829
TOTAL INVESTMENTS — 100.1%

(Cost $919,512,966)

        948,985,075
LIABILITIES IN EXCESS OF OTHER ASSETS — (0.1)%

        (501,978)
NET ASSETS — 100.0%

        $948,483,097
The Fund invests in other funds and financial statements of underlying funds can be found at www.sec.gov.
 
(a) Affiliated fund managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(b) All or a portion of the shares of the security are on loan at September 30, 2024.
(c) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(d) The rate shown is the annualized seven-day yield at September 30, 2024.
 
The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                
INVESTMENTS:                
Mutual Funds and Exchange Traded Products

  $947,683,246   $—   $—   $947,683,246
Short-Term Investment

  1,301,829       1,301,829
TOTAL INVESTMENTS

  $948,985,075   $—   $—   $948,985,075
See accompanying notes to Schedule of Investments.
243

Table of Contents
STATE STREET TARGET RETIREMENT 2020 FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
SPDR Bloomberg 1-10 Year TIPS ETF

8,951,175   $166,402,343   $18,305,869   $16,879,559   $(648,738)   $3,724,109   9,018,682   $170,904,024   $4,461,910
SPDR Bloomberg High Yield Bond ETF

679,849   64,402,096   6,328,640   6,175,045   (652,041)   2,691,731   681,004   66,595,381   2,872,418
SPDR Dow Jones Global Real Estate ETF

1,056,667   46,186,915   9,578,806   12,266,356   1,604,596   2,440,726   1,000,309   47,544,687   1,131,269
SPDR Portfolio Short Term Corporate Bond ETF

1,037,771   30,904,820   11,204,655   6,328,291   (348,388)   892,182   1,199,636   36,324,978   1,043,606
SPDR Portfolio Short Term Treasury ETF

4,182,895   121,513,100   39,132,771   18,885,867   (1,143,431)   2,740,090   4,874,419   143,356,663   3,585,398
State Street Aggregate Bond Index Portfolio

2,147,084   192,249,874   22,961,306   26,667,345   (4,363,642)   8,027,794   2,103,853   192,207,987   4,578,044
State Street Equity 500 Index II Portfolio

357,681   154,947,545   10,920,000   46,335,681   15,950,202   15,563,944   285,661   151,046,010  
State Street Global All Cap Equity ex-U.S. Index Portfolio

1,031,829   116,266,493   8,483,549   28,502,794   4,942,050   9,857,282   865,928   111,046,580  
State Street Institutional U.S. Government Money Market Fund, Class G Shares

1,975,020   1,975,020   126,039,254   126,712,445       1,301,829   1,301,829   73,829
State Street Navigator Securities Lending Portfolio II

1,654,100   1,654,100   345,500,630   347,154,730           11,124
State Street Small/Mid Cap Equity Index Portfolio

104,001   29,543,567   2,650,000   7,080,000   1,266,481   2,276,888   89,755   28,656,936  
Total

    $926,045,873   $601,105,480   $642,988,113   $16,607,089   $48,214,746       $948,985,075   $17,757,598
See accompanying notes to Schedule of Investments.
244

Table of Contents
STATE STREET TARGET RETIREMENT 2025 FUND
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS — 99.9% (a)      
DOMESTIC EQUITY — 26.5%  
State Street Equity 500 Index II Portfolio

    856,827   $453,055,626
State Street Small/Mid Cap Equity Index Portfolio

    303,798   96,996,635
          550,052,261
DOMESTIC FIXED INCOME — 34.1%  
SPDR Bloomberg High Yield Bond ETF (b)

    1,484,192   145,139,136
SPDR Portfolio Long Term Treasury ETF (b)

    180,134   5,236,495
SPDR Portfolio Short Term Corporate Bond ETF (b)

    884,046   26,768,913
SPDR Portfolio Short Term Treasury ETF (b)

    3,496,315   102,826,624
State Street Aggregate Bond Index Portfolio

    4,688,022   428,297,742
          708,268,910
INFLATION LINKED — 17.6%  
SPDR Bloomberg 1-10 Year TIPS ETF (b)

    19,293,208   365,606,291
INTERNATIONAL EQUITY — 16.8%  
State Street Global All Cap Equity ex-U.S. Index Portfolio

    2,723,877   349,309,968
REAL ESTATE — 4.9%  
SPDR Dow Jones Global Real Estate ETF (b)

    2,134,891   101,471,369
TOTAL MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS

(Cost $1,947,352,483)

  2,074,708,799  
Security Description     Shares   Value
SHORT-TERM INVESTMENTS — 4.0%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (c)(d)

    3,396,468   $3,396,468
State Street Navigator Securities Lending Portfolio II (a)(e)

    79,923,966   79,923,966
TOTAL SHORT-TERM INVESTMENTS

(Cost $83,320,434)

        $83,320,434
TOTAL INVESTMENTS — 103.9%

(Cost $2,030,672,917)

        2,158,029,233
LIABILITIES IN EXCESS OF OTHER ASSETS — (3.9)%

        (80,491,313)
NET ASSETS — 100.0%

        $2,077,537,920
The Fund invests in other funds and financial statements of underlying funds can be found at www.sec.gov.
 
(a) Affiliated fund managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(b) All or a portion of the shares of the security are on loan at September 30, 2024.
(c) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(d) The rate shown is the annualized seven-day yield at September 30, 2024.
(e) Investment of cash collateral for securities loaned.
 
The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                
INVESTMENTS:                
Mutual Funds and Exchange Traded Products

  $2,074,708,799   $—   $—   $2,074,708,799
Short-Term Investments

  83,320,434       83,320,434
TOTAL INVESTMENTS

  $2,158,029,233   $—   $—   $2,158,029,233
See accompanying notes to Schedule of Investments.
245

Table of Contents
STATE STREET TARGET RETIREMENT 2025 FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
SPDR Bloomberg 1-10 Year TIPS ETF

17,011,764   $316,248,693   $67,663,329   $24,790,575   $(1,797,190)   $8,282,034   19,293,208   $365,606,291   $9,053,276
SPDR Bloomberg High Yield Bond ETF

1,395,525   132,198,083   17,486,657   8,975,103   (978,072)   5,407,571   1,484,192   145,139,136   6,108,154
SPDR Dow Jones Global Real Estate ETF

1,982,697   86,663,686   22,909,426   16,893,457   1,860,529   6,931,185   2,134,891   101,471,369   2,274,413
SPDR Portfolio Long Term Treasury ETF

657,207   19,072,147   2,203,222   15,666,298   (4,466,263)   4,093,687   180,134   5,236,495   354,156
SPDR Portfolio Short Term Corporate Bond ETF

666,982   19,862,724   8,713,158   2,199,624   (124,610)   517,265   884,046   26,768,913   722,136
SPDR Portfolio Short Term Treasury ETF

2,605,020   75,675,831   34,059,233   8,053,588   (487,850)   1,632,998   3,496,315   102,826,624   2,392,460
State Street Aggregate Bond Index Portfolio

4,440,931   397,641,018   57,116,822   34,996,580   (5,685,287)   14,221,769   4,688,023   428,297,742   9,845,891
State Street Equity 500 Index II Portfolio

1,008,963   437,082,762   28,803,791   104,351,258   39,196,470   52,323,861   856,827   453,055,626  
State Street Global All Cap Equity ex-U.S. Index Portfolio

3,076,417   346,650,658   28,269,382   71,455,338   13,889,981   31,955,285   2,723,877   349,309,968  
State Street Institutional U.S. Government Money Market Fund, Class G Shares

6,521,768   6,521,768   246,161,609   249,286,909       3,396,468   3,396,468   167,002
State Street Navigator Securities Lending Portfolio II

    773,638,116   693,714,150       79,923,966   79,923,966   149,912
State Street Small/Mid Cap Equity Index Portfolio

331,354   94,127,640   9,600,000   (18,400,000)   3,993,808   7,675,187   303,798   96,996,635  
Total

    $1,931,745,010   $1,296,624,745   $1,211,982,880   $45,401,516   $133,040,842       $2,158,029,233   $31,067,400
See accompanying notes to Schedule of Investments.
246

Table of Contents
STATE STREET TARGET RETIREMENT 2030 FUND
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS — 99.9% (a)      
DOMESTIC EQUITY — 34.5%  
State Street Equity 500 Index II Portfolio

    1,653,653   $874,385,685
State Street Small/Mid Cap Equity Index Portfolio

    664,327   212,106,365
          1,086,492,050
DOMESTIC FIXED INCOME — 30.1%  
SPDR Bloomberg High Yield Bond ETF (b)

    1,983,844   194,000,105
SPDR Portfolio Long Term Treasury ETF (b)

    5,474,706   159,149,703
State Street Aggregate Bond Index Portfolio

    6,523,616   595,997,536
          949,147,344
INFLATION LINKED — 9.1%  
SPDR Bloomberg 1-10 Year TIPS ETF

    15,027,159   284,764,663
INTERNATIONAL EQUITY — 23.8%  
State Street Global All Cap Equity ex-U.S. Index Portfolio

    5,853,522   750,655,584
REAL ESTATE — 2.4%  
SPDR Dow Jones Global Real Estate ETF

    1,576,866   74,948,441
TOTAL MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS

(Cost $2,834,142,184)

  3,146,008,082  
SHORT-TERM INVESTMENTS — 1.5%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (c)(d)

    7,714,679   7,714,679
Security Description     Shares   Value
State Street Navigator Securities Lending Portfolio II (a)(e)

    39,974,420   $39,974,420
TOTAL SHORT-TERM INVESTMENTS

(Cost $47,689,099)

        $47,689,099
TOTAL INVESTMENTS — 101.4%

(Cost $2,881,831,283)

        3,193,697,181
LIABILITIES IN EXCESS OF OTHER ASSETS — (1.4)%

        (42,680,835)
NET ASSETS — 100.0%

        $3,151,016,346
The Fund invests in other funds and financial statements of underlying funds can be found at www.sec.gov.
 
(a) Affiliated fund managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(b) All or a portion of the shares of the security are on loan at September 30, 2024.
(c) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(d) The rate shown is the annualized seven-day yield at September 30, 2024.
(e) Investment of cash collateral for securities loaned.
 
The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                
INVESTMENTS:                
Mutual Funds and Exchange Traded Products

  $3,146,008,082   $—   $—   $3,146,008,082
Short-Term Investments

  47,689,099       47,689,099
TOTAL INVESTMENTS

  $3,193,697,181   $—   $—   $3,193,697,181
See accompanying notes to Schedule of Investments.
247

Table of Contents
STATE STREET TARGET RETIREMENT 2030 FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
SPDR Bloomberg 1-10 Year TIPS ETF

11,144,283   $207,172,221   $80,351,176   $7,704,014   $(941,085)   $5,886,365   15,027,159   $284,764,663   $6,480,418
SPDR Bloomberg High Yield Bond ETF

1,694,418   160,512,217   36,055,756   8,426,280   (1,135,559)   6,993,971   1,983,844   194,000,105   7,774,659
SPDR Dow Jones Global Real Estate ETF

1,231,580   53,832,362   21,555,412   6,994,367   (258,162)   6,813,196   1,576,866   74,948,441   1,542,702
SPDR Portfolio Long Term Treasury ETF

5,344,801   155,106,125   23,630,880   20,250,381   (9,383,266)   10,046,345   5,474,706   159,149,703   3,985,470
State Street Aggregate Bond Index Portfolio

5,383,130   482,005,414   123,282,112   21,848,439   (2,894,170)   15,452,619   6,523,616   595,997,536   12,719,565
State Street Equity 500 Index II Portfolio

1,774,225   768,594,072   71,695,527   133,260,037   54,494,294   112,861,829   1,653,653   874,385,685  
State Street Global All Cap Equity ex-U.S. Index Portfolio

6,003,004   676,418,503   63,071,578   83,717,518   25,004,256   69,878,765   5,853,522   750,655,584  
State Street Institutional U.S. Government Money Market Fund, Class G Shares

7,488,435   7,488,435   288,148,792   287,922,548       7,714,679   7,714,679   280,091
State Street Navigator Securities Lending Portfolio II

3,111,730   3,111,730   862,581,811   825,719,121       39,974,420   39,974,420   134,507
State Street Small/Mid Cap Equity Index Portfolio

661,403   187,884,848   23,388,547   23,660,462   6,184,574   18,308,858   664,327   212,106,365  
Total

    $2,702,125,927   $1,593,761,591   $1,419,503,167   $71,070,882   $246,241,948       $3,193,697,181   $32,917,412
See accompanying notes to Schedule of Investments.
248

Table of Contents
STATE STREET TARGET RETIREMENT 2035 FUND
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS — 99.9% (a)      
DOMESTIC EQUITY — 40.3%  
State Street Equity 500 Index II Portfolio

    1,860,751   $983,890,910
State Street Small/Mid Cap Equity Index Portfolio

    850,200   271,451,905
          1,255,342,815
DOMESTIC FIXED INCOME — 29.9%  
SPDR Bloomberg High Yield Bond ETF (b)

    1,459,725   142,746,508
SPDR Portfolio Long Term Treasury ETF

    10,497,033   305,148,749
State Street Aggregate Bond Index Portfolio

    5,292,058   483,482,453
          931,377,710
INTERNATIONAL EQUITY — 29.7%  
State Street Global All Cap Equity ex-U.S. Index Portfolio

    7,197,406   922,995,326
TOTAL MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS

(Cost $2,718,514,534)

  3,109,715,851  
SHORT-TERM INVESTMENTS — 0.5%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (c)(d)

    7,649,245   7,649,245
Security Description     Shares   Value
State Street Navigator Securities Lending Portfolio II (a)(e)

    9,221,688   $9,221,688
TOTAL SHORT-TERM INVESTMENTS

(Cost $16,870,933)

        $16,870,933
TOTAL INVESTMENTS — 100.4%

(Cost $2,735,385,467)

        3,126,586,784
LIABILITIES IN EXCESS OF OTHER ASSETS — (0.4)%

        (13,273,464)
NET ASSETS — 100.0%

        $3,113,313,320
The Fund invests in other funds and financial statements of underlying funds can be found at www.sec.gov.
 
(a) Affiliated fund managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(b) All or a portion of the shares of the security are on loan at September 30, 2024.
(c) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(d) The rate shown is the annualized seven-day yield at September 30, 2024.
(e) Investment of cash collateral for securities loaned.
 
The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                
INVESTMENTS:                
Mutual Funds and Exchange Traded Products

  $3,109,715,851   $—   $—   $3,109,715,851
Short-Term Investments

  16,870,933       16,870,933
TOTAL INVESTMENTS

  $3,126,586,784   $—   $—   $3,126,586,784
See accompanying notes to Schedule of Investments.
249

Table of Contents
STATE STREET TARGET RETIREMENT 2035 FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
SPDR Bloomberg High Yield Bond ETF

1,153,301   $109,252,204   $36,456,771   $7,156,212   $(679,363)   $4,873,108   1,459,725   $142,746,508   $5,470,490
SPDR Portfolio Long Term Treasury ETF

8,627,707   250,376,057   66,380,469   14,206,391   (7,863,845)   10,462,459   10,497,033   305,148,749   6,888,806
State Street Aggregate Bond Index Portfolio

4,255,612   381,047,454   107,286,037   15,096,095   (2,249,661)   12,494,718   5,292,058   483,482,453   10,188,383
State Street Equity 500 Index II Portfolio

1,900,867   823,455,798   99,284,572   120,854,699   50,396,908   131,608,331   1,860,751   983,890,910  
State Street Global All Cap Equity ex-U.S. Index Portfolio

6,967,396   785,086,223   91,322,099   66,784,072   9,713,436   103,657,640   7,197,406   922,995,326  
State Street Institutional U.S. Government Money Market Fund, Class G Shares

5,584,046   5,584,046   268,902,621   266,837,422       7,649,245   7,649,245   284,434
State Street Navigator Securities Lending Portfolio II

9,389,600   9,389,600   170,942,043   171,109,955       9,221,688   9,221,688   23,132
State Street Small/Mid Cap Equity Index Portfolio

807,964   229,518,267   35,100,000   23,589,702   6,406,118   24,017,222   850,200   271,451,905  
Total

    $2,593,709,649   $875,674,612   $685,634,548   $55,723,593   $287,113,478       $3,126,586,784   $22,855,245
See accompanying notes to Schedule of Investments.
250

Table of Contents
STATE STREET TARGET RETIREMENT 2040 FUND
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS — 99.8% (a)      
DOMESTIC EQUITY — 44.6%  
State Street Equity 500 Index II Portfolio

    1,854,039   $980,341,551
State Street Small/Mid Cap Equity Index Portfolio

    969,894   309,667,851
          1,290,009,402
DOMESTIC FIXED INCOME — 22.4%  
SPDR Bloomberg High Yield Bond ETF (b)

    470,593   46,019,289
SPDR Portfolio Long Term Treasury ETF (b)

    9,742,955   283,227,702
State Street Aggregate Bond Index Portfolio

    3,486,182   318,497,586
          647,744,577
INTERNATIONAL EQUITY — 32.8%  
State Street Global All Cap Equity ex-U.S. Index Portfolio

    7,397,167   948,612,697
TOTAL MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS

(Cost $2,471,945,880)

  2,886,366,676  
SHORT-TERM INVESTMENTS — 0.3%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (c)(d)

    7,010,782   7,010,782
State Street Navigator Securities Lending Portfolio II (e)(f)

    797,084   797,084
TOTAL SHORT-TERM INVESTMENTS

(Cost $7,807,866)

        $7,807,866
TOTAL INVESTMENTS — 100.1%

(Cost $2,479,753,746)

        2,894,174,542
LIABILITIES IN EXCESS OF OTHER ASSETS — (0.1)%

        (3,362,243)
NET ASSETS — 100.0%

        $2,890,812,299
    
The Fund invests in other funds and financial statements of underlying funds can be found at www.sec.gov.
 
(a) Affiliated fund managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(b) All or a portion of the shares of the security are on loan at September 30, 2024.
(c) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(d) The rate shown is the annualized seven-day yield at September 30, 2024.
(e) The Fund invested in an affiliated entity. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(f) Investment of cash collateral for securities loaned.
 
The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                
INVESTMENTS:                
Mutual Funds and Exchange Traded Products

  $2,886,366,676   $—   $—   $2,886,366,676
Short-Term Investments

  7,807,866       7,807,866
TOTAL INVESTMENTS

  $2,894,174,542   $—   $—   $2,894,174,542
See accompanying notes to Schedule of Investments.
251

Table of Contents
STATE STREET TARGET RETIREMENT 2040 FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
SPDR Bloomberg High Yield Bond ETF

238,476   $22,590,831   $27,021,232   $4,748,969   $101,463   $1,054,732   470,593   $46,019,289   $1,381,376
SPDR Portfolio Long Term Treasury ETF

7,969,164   231,265,139   57,780,602   8,290,350   (3,404,668)   5,876,979   9,742,955   283,227,702   6,333,364
State Street Aggregate Bond Index Portfolio

2,799,984   250,710,560   68,344,652   7,300,001   (1,254,581)   7,996,956   3,486,182   318,497,586   6,671,418
State Street Equity 500 Index II Portfolio

1,872,184   811,030,296   97,792,012   107,516,250   43,292,885   135,742,608   1,854,039   980,341,551  
State Street Global All Cap Equity ex-U.S. Index Portfolio

7,079,825   797,754,626   88,708,972   53,136,374   9,139,767   106,145,706   7,397,167   948,612,697  
State Street Institutional U.S. Government Money Market Fund, Class G Shares

6,932,662   6,932,662   253,914,606   253,836,486       7,010,782   7,010,782   257,411
State Street Navigator Securities Lending Portfolio II

16,073,500   16,073,500   95,389,200   110,665,616       797,084   797,084   19,506
State Street Small/Mid Cap Equity Index Portfolio

911,585   258,953,809   39,491,524   23,271,240   5,882,508   28,611,250   969,894   309,667,851  
Total

    $2,395,311,423   $728,442,800   $568,765,286   $53,757,374   $285,428,231       $2,894,174,542   $14,663,075
See accompanying notes to Schedule of Investments.
252

Table of Contents
STATE STREET TARGET RETIREMENT 2045 FUND
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS — 99.9% (a)      
DOMESTIC EQUITY — 48.1%  
State Street Equity 500 Index II Portfolio

    1,769,289   $935,529,207
State Street Small/Mid Cap Equity Index Portfolio

    1,065,060   340,052,474
          1,275,581,681
DOMESTIC FIXED INCOME — 16.5%  
SPDR Portfolio Long Term Treasury ETF

    8,945,503   260,045,772
State Street Aggregate Bond Index Portfolio

    1,958,840   178,959,640
          439,005,412
INTERNATIONAL EQUITY — 35.3%  
State Street Global All Cap Equity ex-U.S. Index Portfolio

    7,307,559   937,121,284
TOTAL MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS

(Cost $2,247,545,613)

  2,651,708,377  
SHORT-TERM INVESTMENT — 0.3%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (b)(c)

(Cost $8,760,388)

    8,760,388   8,760,388
TOTAL INVESTMENTS — 100.2%

(Cost $2,256,306,001)

        2,660,468,765
LIABILITIES IN EXCESS OF OTHER ASSETS — (0.2)%

        (4,884,272)
NET ASSETS — 100.0%

        $2,655,584,493
    
The Fund invests in other funds and financial statements of underlying funds can be found at www.sec.gov.
 
(a) Affiliated fund managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(b) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(c) The rate shown is the annualized seven-day yield at September 30, 2024.
 
The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                
INVESTMENTS:                
Mutual Funds and Exchange Traded Products

  $2,651,708,377   $—   $—   $2,651,708,377
Short-Term Investment

  8,760,388       8,760,388
TOTAL INVESTMENTS

  $2,660,468,765   $—   $—   $2,660,468,765
See accompanying notes to Schedule of Investments.
253

Table of Contents
STATE STREET TARGET RETIREMENT 2045 FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
SPDR Portfolio Long Term Treasury ETF

7,134,950   $207,056,249   $61,584,165   $11,141,183   $(5,437,743)   $7,984,284   8,945,503   $260,045,772   $5,754,938
State Street Aggregate Bond Index Portfolio

1,423,232   127,436,222   51,055,348   3,399,999   (750,252)   4,618,321   1,958,840   178,959,640   3,555,348
State Street Equity 500 Index II Portfolio

1,728,524   748,796,715   115,411,523   96,560,177   40,130,377   127,750,769   1,769,289   935,529,207  
State Street Global All Cap Equity ex-U.S. Index Portfolio

6,774,838   763,388,768   110,977,567   49,875,479   8,165,083   104,465,345   7,307,558   937,121,284  
State Street Institutional U.S. Government Money Market Fund, Class G Shares

7,085,225   7,085,225   231,645,824   229,970,661       8,760,388   8,760,388   254,477
State Street Navigator Securities Lending Portfolio II

189,000   189,000   121,772,127   121,961,127           1,066
State Street Small/Mid Cap Equity Index Portfolio

970,156   275,592,158   50,859,705   23,696,087   6,805,552   30,491,146   1,065,060   340,052,474  
Total

    $2,129,544,337   $743,306,259   $536,604,713   $48,913,017   $275,309,865       $2,660,468,765   $9,565,829
See accompanying notes to Schedule of Investments.
254

Table of Contents
STATE STREET TARGET RETIREMENT 2050 FUND
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS — 99.9% (a)      
DOMESTIC EQUITY — 50.9%  
State Street Equity 500 Index II Portfolio

    1,513,429   $800,240,900
State Street Small/Mid Cap Equity Index Portfolio

    1,055,757   337,081,937
          1,137,322,837
DOMESTIC FIXED INCOME — 11.6%  
SPDR Portfolio Long Term Treasury ETF

    7,522,789   218,687,476
State Street Aggregate Bond Index Portfolio

    426,698   38,983,134
          257,670,610
INTERNATIONAL EQUITY — 37.4%  
State Street Global All Cap Equity ex-U.S. Index Portfolio

    6,514,860   835,465,696
TOTAL MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS

(Cost $1,875,911,792)

  2,230,459,143  
SHORT-TERM INVESTMENT — 0.3%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (b)(c)

(Cost $7,133,106)

    7,133,106   7,133,106
TOTAL INVESTMENTS — 100.2%

(Cost $1,883,044,898)

        2,237,592,249
LIABILITIES IN EXCESS OF OTHER ASSETS — (0.2)%

        (4,189,822)
NET ASSETS — 100.0%

        $2,233,402,427
    
The Fund invests in other funds and financial statements of underlying funds can be found at www.sec.gov.
 
(a) Affiliated fund managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(b) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(c) The rate shown is the annualized seven-day yield at September 30, 2024.
 
The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                
INVESTMENTS:                
Mutual Funds and Exchange Traded Products

  $2,230,459,143   $—   $—   $2,230,459,143
Short-Term Investment

  7,133,106       7,133,106
TOTAL INVESTMENTS

  $2,237,592,249   $—   $—   $2,237,592,249
See accompanying notes to Schedule of Investments.
255

Table of Contents
STATE STREET TARGET RETIREMENT 2050 FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
SPDR Portfolio Long Term Treasury ETF

5,933,907   $172,201,981   $55,249,883   $11,015,478   $(4,927,136)   $7,178,226   7,522,789   $218,687,476   $4,818,390
State Street Aggregate Bond Index Portfolio

197,583   17,691,586   20,812,500   400,000   (4,609)   883,657   426,698   38,983,134   612,500
State Street Equity 500 Index II Portfolio

1,459,541   632,273,088   107,306,078   81,796,962   34,595,090   107,863,606   1,513,429   800,240,900  
State Street Global All Cap Equity ex-U.S. Index Portfolio

5,969,145   672,603,207   106,987,156   44,142,892   6,223,877   93,794,348   6,514,860   835,465,696  
State Street Institutional U.S. Government Money Market Fund, Class G Shares

5,978,650   5,978,650   224,656,099   223,501,643       7,133,106   7,133,106   214,357
State Street Navigator Securities Lending Portfolio II

258,000   258,000   53,622,900   53,880,900           1,380
State Street Small/Mid Cap Equity Index Portfolio

951,075   270,171,978   52,100,000   22,056,979   5,960,293   30,906,645   1,055,757   337,081,937  
Total

    $1,771,178,490   $620,734,616   $436,794,854   $41,847,515   $240,626,482       $2,237,592,249   $5,646,627
See accompanying notes to Schedule of Investments.
256

Table of Contents
STATE STREET TARGET RETIREMENT 2055 FUND
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS — 99.8% (a)      
DOMESTIC EQUITY — 51.9%  
State Street Equity 500 Index II Portfolio

    1,131,931   $598,519,583
State Street Small/Mid Cap Equity Index Portfolio

    832,809   265,899,375
          864,418,958
DOMESTIC FIXED INCOME — 9.8%  
SPDR Portfolio Long Term Treasury ETF (a)

    5,605,768   162,959,676
INTERNATIONAL EQUITY — 38.1%  
State Street Global All Cap Equity ex-U.S. Index Portfolio

    4,951,355   634,961,792
TOTAL MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS

(Cost $1,410,823,930)

  1,662,340,426  
SHORT-TERM INVESTMENT — 0.4%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (b)(c)

(Cost $5,728,843)

    5,728,843   5,728,843
TOTAL INVESTMENTS — 100.2%

(Cost $1,416,552,773)

        1,668,069,269
LIABILITIES IN EXCESS OF OTHER ASSETS — (0.2)%

        (3,079,021)
NET ASSETS — 100.0%

        $1,664,990,248
    
The Fund invests in other funds and financial statements of underlying funds can be found at www.sec.gov.
 
(a) Affiliated fund managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(b) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(c) The rate shown is the annualized seven-day yield at September 30, 2024.
 
The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                
INVESTMENTS:                
Mutual Funds and Exchange Traded Products

  $1,662,340,426   $—   $—   $1,662,340,426
Short-Term Investment

  5,728,843       5,728,843
TOTAL INVESTMENTS

  $1,668,069,269   $—   $—   $1,668,069,269
See accompanying notes to Schedule of Investments.
257

Table of Contents
STATE STREET TARGET RETIREMENT 2055 FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
SPDR Portfolio Long Term Treasury ETF

4,233,444   $122,854,545   $44,221,659   $6,111,195   $(2,607,446)   $4,602,113   5,605,768   $162,959,676   $3,517,570
State Street Equity 500 Index II Portfolio

1,043,530   452,057,096   101,341,809   59,079,370   22,206,479   81,993,569   1,131,931   598,519,583  
State Street Global All Cap Equity ex-U.S. Index Portfolio

4,305,375   485,129,629   105,771,871   30,712,340   7,069,794   67,702,838   4,951,355   634,961,792  
State Street Institutional U.S. Government Money Market Fund, Class G Shares

5,187,179   5,187,179   191,782,415   191,240,751       5,728,843   5,728,843   165,201
State Street Navigator Securities Lending Portfolio II

    35,907,345   35,907,345           536
State Street Small/Mid Cap Equity Index Portfolio

701,321   199,224,256   48,507,691   10,175,171   2,826,027   25,516,572   832,809   265,899,375  
Total

    $1,264,452,705   $527,532,790   $333,226,172   $29,494,854   $179,815,092       $1,668,069,269   $3,683,307
See accompanying notes to Schedule of Investments.
258

Table of Contents
STATE STREET TARGET RETIREMENT 2060 FUND
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS — 99.9% (a)      
DOMESTIC EQUITY — 51.9%  
State Street Equity 500 Index II Portfolio

    740,531   $391,563,275
State Street Small/Mid Cap Equity Index Portfolio

    544,543   173,861,571
          565,424,846
DOMESTIC FIXED INCOME — 9.8%  
SPDR Portfolio Long Term Treasury ETF

    3,664,221   106,518,905
INTERNATIONAL EQUITY — 38.2%  
State Street Global All Cap Equity ex-U.S. Index Portfolio

    3,237,837   415,220,234
TOTAL MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS

(Cost $922,728,777)

  1,087,163,985  
SHORT-TERM INVESTMENT — 0.3%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (b)(c)

(Cost $3,756,001)

    3,756,001   3,756,001
TOTAL INVESTMENTS — 100.2%

(Cost $926,484,778)

        1,090,919,986
LIABILITIES IN EXCESS OF OTHER ASSETS — (0.2)%

        (2,227,930)
NET ASSETS — 100.0%

        $1,088,692,056
    
The Fund invests in other funds and financial statements of underlying funds can be found at www.sec.gov.
 
(a) Affiliated fund managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(b) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(c) The rate shown is the annualized seven-day yield at September 30, 2024.
 
The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                
INVESTMENTS:                
Mutual Funds and Exchange Traded Products

  $1,087,163,985   $—   $—   $1,087,163,985
Short-Term Investment

  3,756,001       3,756,001
TOTAL INVESTMENTS

  $1,090,919,986   $—   $—   $1,090,919,986
See accompanying notes to Schedule of Investments.
259

Table of Contents
STATE STREET TARGET RETIREMENT 2060 FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
SPDR Portfolio Long Term Treasury ETF

2,638,937   $76,581,952   $34,033,148   $5,596,852   $(2,579,043)   $4,079,700   3,664,221   $106,518,905   $2,251,036
State Street Equity 500 Index II Portfolio

650,468   281,782,946   84,131,162   40,996,860   12,840,542   53,805,485   740,531   391,563,275  
State Street Global All Cap Equity ex-U.S. Index Portfolio

2,684,600   302,500,735   90,694,496   26,210,182   5,247,422   42,987,763   3,237,837   415,220,234  
State Street Institutional U.S. Government Money Market Fund, Class G Shares

2,700,171   2,700,171   153,266,077   152,210,247       3,756,001   3,756,001   120,871
State Street Small/Mid Cap Equity Index Portfolio

437,252   124,210,122   40,950,000   9,611,277   (456,664)   18,769,390   544,543   173,861,571  
Total

    $787,775,926   $403,074,883   $234,625,418   $15,052,257   $119,642,338       $1,090,919,986   $2,371,907
See accompanying notes to Schedule of Investments.
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Table of Contents
STATE STREET TARGET RETIREMENT 2065 FUND
Schedule of Investments
September 30, 2024 (Unaudited)

Security Description     Shares   Value
MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS — 99.5% (a)      
DOMESTIC EQUITY — 51.8%  
State Street Equity 500 Index II Portfolio

    225,370   $119,166,872
State Street Small/Mid Cap Equity Index Portfolio

    165,640   52,885,578
          172,052,450
DOMESTIC FIXED INCOME — 9.8%  
SPDR Portfolio Long Term Treasury ETF

    1,111,435   32,309,415
INTERNATIONAL EQUITY — 37.9%  
State Street Global All Cap Equity ex-U.S. Index Portfolio

    981,552   125,874,231
TOTAL MUTUAL FUNDS AND EXCHANGE TRADED PRODUCTS

(Cost $279,494,710)

  330,236,096  
SHORT-TERM INVESTMENT — 0.5%      
State Street Institutional U.S. Government Money Market Fund, Class G Shares 4.98% (b)(c)

(Cost $1,752,125)

    1,752,125   1,752,125
TOTAL INVESTMENTS — 100.0%

(Cost $281,246,835)

        331,988,221
LIABILITIES IN EXCESS OF OTHER ASSETS — (0.0)% (d)

        (52,311)
NET ASSETS — 100.0%

        $331,935,910
    
The Fund invests in other funds and financial statements of underlying funds can be found at www.sec.gov.
 
(a) Affiliated fund managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(b) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these investments during the period ended September 30, 2024 are shown in the Affiliate Table below.
(c) The rate shown is the annualized seven-day yield at September 30, 2024.
(d) Amount is less than 0.05% of net assets.
 
The following table summarizes the value of the Fund's investments according to the fair value hierarchy as of September 30, 2024.
Description   Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total
ASSETS:                
INVESTMENTS:                
Mutual Funds and Exchange Traded Products

  $330,236,096   $—   $—   $330,236,096
Short-Term Investment

  1,752,125       1,752,125
TOTAL INVESTMENTS

  $331,988,221   $—   $—   $331,988,221
See accompanying notes to Schedule of Investments.
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STATE STREET TARGET RETIREMENT 2065 FUND
Schedule of Investments  (continued) 
September 30, 2024 (Unaudited)

Affiliate Table
  Number of
Shares Held
at
12/31/23
  Value at

12/31/23
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
9/30/24
  Value at

9/30/24
  Dividend
Income
SPDR Portfolio Long Term Treasury ETF

686,009   $19,907,981   $12,332,652   $519,302   $(236,526)   $824,610   1,111,435   $32,309,415   $636,645
State Street Equity 500 Index II Portfolio

169,129   73,266,623   35,301,033   8,201,512   1,192,384   17,608,344   225,370   119,166,872  
State Street Global All Cap Equity ex-U.S. Index Portfolio

697,865   78,635,396   36,697,251   3,452,611   (175,942)   14,170,137   981,552   125,874,231  
State Street Institutional U.S. Government Money Market Fund, Class G Shares

722,660   722,660   42,270,414   41,240,949       1,752,125   1,752,125   41,032
State Street Small/Mid Cap Equity Index Portfolio

113,684   32,294,264   16,411,692   1,093,705   (271,973)   5,545,300   165,640   52,885,578  
Total

    $204,826,924   $143,013,042   $54,508,079   $507,943   $38,148,391       $331,988,221   $677,677
See accompanying notes to Schedule of Investments.
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STATE STREET INSTITUTIONAL INVESTMENT TRUST
NOTES TO SCHEDULES OF INVESTMENTS
September 30, 2024 (Unaudited)

Security Valuation
Each Portfolio’s or Fund’s investments are valued at fair value each day that the New York Stock Exchange (“NYSE”) is open and, for financial reporting purposes, as of the report date should the reporting period end on a day that the NYSE is not open. Fair value is generally defined as the price a fund would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants at the measurement date. By its nature, a fair value price is a good faith estimate of the valuation in a current sale and may not reflect an actual market price. The investments of each Portfolio or Fund are valued pursuant to the policy and procedures developed by the Oversight Committee (the “Committee”) and approved by the Board of Trustees of the State Street Institutional Investment Trust (the “Board”). The Committee provides oversight of the valuation of investments for the Portfolios or Funds. The Board has responsibility for overseeing the determination of the fair value of investments.
State Street Equity 500 Index Fund, State Street Aggregate Bond Index Fund, State Street Global All Cap Equity ex-U.S. Index Fund, State Street Small/Mid Cap Equity Index Fund and the State Street Hedged International Developed Equity Index Fund invest as part of a master-feeder structure and record their investments in their corresponding Portfolio, State Street Equity 500 Index II Portfolio, State Street Aggregate Bond Index Portfolio, State Street Global All Cap Equity ex-U.S. Index Portfolio, State Street Small/Mid Cap Equity Index Portfolio and the State Street International Developed Equity Index Portfolio at fair value (net asset value) each business day.
Valuation techniques used to value each Portfolio’s or Fund’s investments by major category are as follows:
•  Equity investments traded on a recognized securities exchange for which market quotations are readily available are valued at the last sale price or official closing price, as applicable, on the primary market or exchange on which they trade. Equity investments traded on a recognized exchange for which there were no sales on that day are valued at the last published sale price or at fair value.
•  Rights and warrants are valued at the last reported sale price obtained from independent pricing services or brokers on the valuation date. If no price is obtained from pricing services or brokers, valuation will be based upon the intrinsic value, pursuant to the valuation policy and procedures approved by the Board.
•  Investments in registered investment companies (including money market funds) or other unitized pooled investment vehicles that are not traded on an exchange are valued at that day’s published net asset value (“NAV”) per share or unit.
•  Government and municipal fixed income securities are generally valued using quotations from independent pricing services or brokers. Certain government inflation-indexed securities may require a calculated fair valuation as the cumulative inflation is contained within the price provided by the pricing service or broker. For these securities, the inflation component of the price is “cleaned” from the pricing service or broker price utilizing the published inflation factors in order to ensure proper accrual of income.
•  Debt obligations (including short-term investments) are valued using quotations from independent pricing services or brokers or are generally valued at the last reported evaluated prices.
•  Exchange-traded futures contracts are valued at the closing settlement price on the primary market on which they are traded most extensively. Exchange-traded futures contracts traded on a recognized exchange for which there were no sales on that day are valued at the last reported sale price obtained from independent pricing services or brokers or at fair value.
•  Forward foreign currency exchange contracts are valued based on that day’s prevailing forward exchange rate for the underlying currencies. The rates are obtained from independent pricing services in accordance with the valuation policy and procedures approved by the Board.
In the event prices or quotations are not readily available or that the application of these valuation methods results in a price for an investment that is deemed to be not representative of the fair value of such investment, fair value will be determined in good faith by the Committee, in accordance with the valuation policy and procedures approved by the Board.
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STATE STREET INSTITUTIONAL INVESTMENT TRUST
NOTES TO SCHEDULES OF INVESTMENTS  (continued) 
September 30, 2024 (Unaudited)

A “significant event” is an event that the Board believes, with a reasonably high degree of certainty, has caused the closing market prices of a Fund’s or Portfolio's securities to no longer reflect their value at the time of the Fund’s or Portfolio's NAV calculation. Fair value may be determined using an independent fair value service under valuation procedures approved by the Board. The independent fair value service takes into account multiple factors including, but not limited to, movements in the U.S. securities markets, certain depositary receipts, futures contracts and foreign currency exchange rates that have occurred subsequent to the close of foreign securities exchanges. The use of the independent fair value service or alternative fair valuation methods would result in the investments being classified within Level 2 of the fair value hierarchy.
Various inputs are used in determining the value of the Portfolio's or Fund's investments.
The Portfolios or Funds value their assets and liabilities at fair value using a fair value hierarchy consisting of three broad levels that prioritize the inputs to valuation techniques giving the highest priority to readily available unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements) when market prices are not readily available or reliable. The categorization of a value determined for an investment within the hierarchy is based upon the pricing transparency of the investment and is not necessarily an indication of the risk associated with investing in it.
The three levels of the fair value hierarchy are as follows:
•  Level 1 – Unadjusted quoted prices in active markets for an identical asset or liability;
•  Level 2 – Inputs other than quoted prices included within Level 1 that are observable for the asset or liability either directly or indirectly, including quoted prices for similar assets or liabilities in active markets, quoted prices for identical or similar assets or liabilities in markets that are not considered to be active, inputs other than quoted prices that are observable for the asset or liability (such as exchange rates, financing terms, interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market-corroborated inputs; and
•  Level 3 – Unobservable inputs for the asset or liability, including the Committee’s assumptions used in determining the fair value of investments.
The value of each Portfolio's or Fund's investments according to the fair value hierarchy as of September 30, 2024 is disclosed in each Portfolio's or Fund's respective Schedule of Investments.
Futures Contracts
Certain Portfolios or Funds may enter into futures contracts to meet the Portfolios’ or Funds’ objectives. A futures contract is a standardized, exchange-traded agreement to buy or sell a financial instrument at a set price on a future date. Upon entering into a futures contract, the Portfolio or Fund is required to deposit with the broker, cash or securities in an amount equal to the minimum initial margin requirements of the clearing house. Securities deposited, if any, are designated on the Summary Schedule of Investments and cash deposited, if any, is shown as Cash at Broker on the Statement of Assets and Liabilities. Subsequent payments are made or received by the Portfolio or Fund equal to the daily change in the contract value, accumulated, exchange rates, and or other transactional fees. The accumulation of those payments are recorded as variation margin receivable or payable with a corresponding offset to unrealized gains or losses. The Portfolios or Funds recognize a realized gain or loss when the contract is closed.
For the period ended September 30, 2024, the State Street Equity 500 Index II Portfolio, State Street Global All Cap Equity ex-U.S. Index Portfolio, State Street Small/Mid Cap Equity Index Portfolio, State Street Emerging Markets Equity Index Fund and the State Street International Developed Equity Index Portfolio each entered into futures contracts for cash equitization.
Losses may arise if the value of a futures contract decreases due to unfavorable changes in the market rates or values of the underlying instrument during the term of the contract or if the counterparty does not perform under the contract. The use of futures contracts also involves the risk that the movements in the price of the futures contracts do not correlate the movement of the assets underlying such contracts.
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STATE STREET INSTITUTIONAL INVESTMENT TRUST
NOTES TO SCHEDULES OF INVESTMENTS  (continued) 
September 30, 2024 (Unaudited)

Forward Foreign Currency Exchange Contracts
Certain Portfolios or Funds may engage in forward foreign currency exchange contracts to acquire exposure to foreign currencies or to hedge the Portfolios’ or Funds’ investments against currency fluctuations. A forward foreign currency exchange contract is a commitment to purchase or sell a foreign currency at the settlement date at a negotiated rate. Non-deliverable forward foreign currency exchange contracts are settled with the counterparty in cash without the delivery of foreign currency. The contract is marked-to-market daily and the change in market value is recorded by the Portfolio or Fund as an unrealized gain or loss. When the contract is closed, the Portfolio or Fund recognizes a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed.
Certain risks may arise upon entering into forward foreign currency exchange contracts from the potential inability of counterparties to meet the terms of their contracts and are generally limited to the amount of unrealized gains on appreciated contracts, if any. Additionally, when utilizing forward foreign currency exchange contracts to hedge, the Portfolio or Fund gives up the opportunity to profit from favorable exchange rate movements during the term of the contract.
For the period ended September 30, 2024, the State Street Hedged International Developed Equity Index Fund entered into forward foreign currency exchange contracts to offset the Fund’s exposure to the component currencies.
Other Transactions with Affiliates
The Portfolios or Funds may invest in affiliated entities, including securities issued by State Street Corporation, affiliated funds, or entities deemed to be affiliates as a result of the Portfolios or Funds owning more than five percent of the entity’s voting securities or outstanding shares. Amounts relating to these transactions during the period ended September 30, 2024, are disclosed in the Portfolios' or Funds' Schedule of Investments.
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