Federated Mid-Cap Index Fund

PORTFOLIO AS OF DECEMBER 31, 2018 CURRENT NET ASSETS - $536,061,593 Principal Amount or Shares Value COMMON STOCKS - 98.5%1 Communication Services - 2.5% 16,226 2 AMC Networks, Inc. $890,483 2,085 Cable One, Inc. 1,709,908 24,908 2 Cars.com, Inc. 535,522 36,486 Cinemark Holdings, Inc. 1,306,199 48,271 2 Live Nation Entertainment, Inc. 2,377,347 8,922 Meredith Corp. 463,409 38,763 New York Times Co., Class A 864,027 81,456 Tegna, Inc. 885,427 33,682 Telephone and Data System, Inc. 1,096,012 17,214 Wiley (John) & Sons, Inc., Class A 808,541 19,026 World Wrestling Entertainment, Inc. 1,421,623 28,824 2 Yelp, Inc. 1,008,552 TOTAL 13,367,050 Consumer Discretionary - 11.6% 23,215 Aaron's, Inc. 976,191 34,007 Adient PLC 512,145 26,419 2 Adtalem Global Education, Inc. 1,250,147 57,182 American Eagle Outfitters, Inc. 1,105,328 12,914 2 AutoNation, Inc. 461,030 53,797 Bed Bath & Beyond, Inc. 608,982 4,758 Big Lots, Inc. 137,601 41,605 Corp. 864,552 12,629 Brinker International, Inc. 555,423 29,791 Brunswick Corp. 1,383,792 16,809 Carter's, Inc. 1,371,951 16,086 Cheesecake Factory, Inc. 699,902 4,046 Churchill Downs, Inc. 986,981 6,969 Cracker Barrel Old Country Store, Inc. 1,114,064 55,389 Dana, Inc. 754,952 12,497 2 Deckers Outdoor Corp. 1,598,991 35,286 Delphi Technologies PLC 505,296 24,639 Dick's Sporting Goods, Inc. 768,737 7,478 Dillards, Inc., Class A 450,998 14,610 Domino's Pizza, Inc. 3,623,134 25,410 Dunkin' Brands Group Inc. 1,629,289 21,670 2 Eldorado Resorts, Inc. 784,671 19,337 2 Five Below, Inc. 1,978,562 90,852 Gentex Corp. 1,836,119 1,629 Graham Holdings Co. 1,043,505 11,384 2 Helen of Troy Ltd. 1,493,353 2,570 International Speedway Corp., Class A 112,720 5,805 Jack in the Box, Inc. 450,642 33,331 KB HOME 636,622 15,393 Marriott Vacations Worldwide Corp. 1,085,360 35,967 2 Michaels COS, Inc. 486,993 10,432 2 Murphy USA, Inc. 799,508

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Principal Amount or Shares Value 1,233 2 NVR, Inc. 3,004,809 17,558 2 Ollie's Bargain Outlet Holding, Inc. 1,167,783 9,220 Papa Johns International, Inc. 367,048 52,360 2 , Inc. 985,939 20,923 Polaris Industries, Inc., Class A 1,604,376 13,996 Pool Corp. 2,080,505 40,795 2 Sally Beauty Holdings, Inc. 695,555 22,970 2 Scientific Games Corp. 410,704 63,226 Service Corp. International 2,545,479 26,959 Signet Jewelers Ltd. 856,487 26,551 Six Flags Entertainment Corp. 1,477,032 50,069 2 Skechers USA, Inc., Class A 1,146,079 13,844 2 Sothebys Holdings, Inc., Class A 550,161 27,983 2 TRI Pointe Group, Inc. 305,854 10,342 2 Tempur Sealy International, Inc. 428,159 22,856 Texas Roadhouse, Inc. 1,364,503 67,842 The Wendy's Co. 1,059,014 18,887 Thor Industries, Inc. 982,124 49,950 , Inc. 1,644,854 18,910 Tupperware Brands Corp. 596,989 34,827 2 , Inc. 1,156,256 11,166 2 Visteon Corp. 673,086 20,194 2 Weight Watchers International, Inc. 778,479 27,528 Williams-Sonoma, Inc. 1,388,788 36,217 Wyndham Destinations, Inc. 1,298,017 35,444 Wyndham Hotels & Resorts, Inc. 1,608,094 TOTAL 62,243,715 Consumer Staples - 2.9% 13,237 Casey's General Stores, Inc. 1,696,189 20,644 2 Edgewell Personal Care Co. 771,053 21,434 Energizer Holdings, Inc. 967,745 66,794 Flowers Foods, Inc. 1,233,685 35,180 2 Hain Celestial Group, Inc. 557,955 25,792 Ingredion, Inc. 2,357,389 8,352 Lancaster Colony Corp. 1,477,135 20,561 Nu Skin Enterprises, Inc., Class A 1,261,006 23,194 2 Post Holdings, Inc. 2,067,281 4,633 Sanderson Farms, Inc. 460,011 46,139 2 Sprouts Farmers Market, Inc. 1,084,728 2,860 2 The Boston Beer Co., Inc., Class A 688,802 18,941 2 TreeHouse Foods, Inc. 960,498 TOTAL 15,583,477 Energy - 3.8% 25,790 2 Apergy Corp. 698,393 50,130 2 CNX Resources Corp. 572,485 40,263 2 Callon Petroleum Corp. 261,307 354,148 2 Chesapeake Energy Corp. 743,711 15,482 Core Laboratories NV 923,656 27,566 2 Diamond Offshore Drilling, Inc. 260,223 12,528 2 Dril-Quip, Inc. 376,216 76,658 EQT Corp. 1,448,070 160,891 Ensco PLC 572,772 69,912 2 Equitrans Midstream Corp. 1,399,638 20,240 2 Matador Resources Co. 314,327 72,258 2 McDermott International, Inc. 472,567 68,625 Murphy Oil Corp. 1,605,139 146,322 2 Oasis Petroleum, Inc. 809,161 34,632 2 Oceaneering International, Inc. 419,047 51,017 PBF Energy, Inc. 1,666,725

MDCF-2

Principal Amount or Shares Value 82,593 Patterson-UTI Energy, Inc. 854,838 92,480 2 QEP Resources, Inc. 520,662 78,925 Range Resources Corp. 755,312 49,071 2 Rowan Companies PLC 411,706 37,202 SM Energy Co. 575,887 222,341 2 Southwestern Energy Co. 758,183 181,544 2 Transocean Ltd. 1,259,915 165,067 2 WPX Energy, Inc. 1,873,511 23,330 World Fuel Services Corp. 499,495 TOTAL 20,052,946 Financials - 16.2% 5,205 Alleghany Corp. 3,244,381 24,558 American Financial Group, Inc. 2,223,236 15,034 Aspen Insurance Holdings Ltd. 631,278 61,803 Associated Banc-Corp. 1,223,081 31,432 BancorpSouth Bank 821,633 14,106 Bank of Hawaii Corp. 949,616 45,514 Bank OZK 1,039,085 33,673 Berkley, W. R. Corp. 2,488,771 81,700 Brown & Brown 2,251,652 62,204 CNO Financial Group, Inc. 925,596 27,945 Cathay Bancorp, Inc. 936,996 26,869 Chemical Financial Corp. 983,674 34,451 Commerce Bancshares, Inc. 1,942,003 22,201 Cullen Frost Bankers, Inc. 1,952,356 57,874 East West Bancorp, Inc. 2,519,255 43,097 Eaton Vance Corp. 1,516,152 10,620 Evercore, Inc., Class A 759,967 120,924 FNB Corp. (PA) 1,189,892 13,303 FactSet Research Systems 2,662,329 34,044 Federated Investors, Inc. 903,868 41,054 First American Financial Corp. 1,832,651 95,380 First Horizon National Corp. 1,255,201 80,133 Fulton Financial Corp. 1,240,459 240,365 2 Genworth Financial, Inc., Class A 1,120,096 37,998 Hancock Whitney Corp. 1,316,631 17,489 Hanover Insurance Group, Inc. 2,042,191 59,903 Home Bancshares, Inc. 978,815 25,806 Interactive Brokers Group, Inc., Class A 1,410,298 19,806 International Bancshares Corp. 681,326 62,142 Janus Henderson Group PLC 1,287,582 17,716 Kemper Corp. 1,175,988 32,651 Legg Mason, Inc. 832,927 1,426 2 LendingTree, Inc. 313,107 28,679 MB Financial, Inc. 1,136,549 13,155 Marketaxess Holdings, Inc. 2,779,783 9,621 Mercury General Corp. 497,502 111,847 Navient Corp. 985,372 145,662 New York Community Bancorp, Inc. 1,370,679 103,974 Old Republic International Corp. 2,138,745 45,030 PacWest Bancorp 1,498,598 27,247 Pinnacle Financial Partners, Inc. 1,256,087 14,774 Primerica, Inc. 1,443,568 22,777 Prosperity Bancshares, Inc. 1,419,007 22,769 Reinsurance Group of America 3,192,897 14,472 RenaissanceRe Holdings Ltd. 1,934,906 52,423 SEI Investments Co. 2,421,943 161,743 2 SLM Corp. 1,344,084 19,543 Signature Bank 2,009,216

MDCF-3

Principal Amount or Shares Value 63,741 Sterling Bancorp 1,052,364 19,116 Stifel Financial Corp. 791,785 57,481 Synovus Financial Corp. 1,838,817 73,084 TCF Financial Corp. 1,424,407 23,116 2 Texas Capital Bancshares, Inc. 1,180,996 22,069 Trustmark Corp. 627,422 16,879 UMB Financial Corp. 1,029,113 81,797 Umpqua Holdings Corp. 1,300,572 28,174 United Bankshares, Inc. 876,493 88,956 Valley National Bancorp 789,929 31,116 Washington Federal, Inc. 831,108 31,797 Webster Financial Corp. Waterbury 1,567,274 24,068 Wintrust Financial Corp. 1,600,281 TOTAL 86,991,590 Health Care - 9.8% 21,729 2 Acadia Healthcare Co., Inc. 558,653 67,720 2 Allscripts Healthcare Solutions, Inc. 652,821 10,982 2 Avanos Medical, Inc. 491,884 7,406 2 Bio-Rad Laboratories, Inc., Class A 1,719,821 13,097 Bio-Techne Corp. 1,895,398 9,371 Cantel Medical Corp. 697,671 50,158 2 Catalent, Inc. 1,563,926 19,438 2 Charles River Laboratories International, Inc. 2,199,993 5,515 Chemed Corp. 1,562,289 39,419 Encompass Health Corp. 2,432,152 109,340 2 Exelixis, Inc. 2,150,718 25,889 2 , Inc. 1,120,476 21,142 2 Haemonetics Corp. 2,115,257 23,792 2 HealthEquity, Inc. 1,419,193 23,389 Hill-Rom Holdings, Inc. 2,071,096 5,826 2 ICU Medical, Inc. 1,337,824 6,744 2 Inogen, Inc. 837,402 25,100 2 Integra Lifesciences Corp. 1,132,010 7,193 2 Ligand Pharmaceuticals, Inc., Class B 976,090 17,076 2 Livanova PLC 1,561,942 33,446 2 MEDNAX, Inc. 1,103,718 44,552 2 Mallinckrodt PLC 703,922 19,981 2 Masimo Corp. 2,145,360 21,226 2 Medidata Solutions, Inc. 1,431,057 21,791 2 Molina Healthcare, Inc. 2,532,550 19,152 2 NuVasive, Inc. 949,173 20,293 2 PRA Health Sciences, Inc. 1,866,144 16,562 Patterson Cos., Inc. 325,609 9,884 2 Prestige Consumer Healthcare, Inc. 305,218 29,633 Steris PLC 3,166,286 20,400 2 Syneos Health, Inc. 802,740 16,194 , Inc. 4,185,825 26,766 2 Tenet Healthcare Corp. 458,769 13,009 2 United Therapeutics Corp. 1,416,680 26,328 West Pharmaceutical Services, Inc. 2,580,934 TOTAL 52,470,601 Industrials - 15.1% 57,759 2 AECOM 1,530,614 24,403 AGCO Corp. 1,358,515 17,766 2 ASGN, Inc. 968,247 14,772 Acuity Brands, Inc. 1,698,041 25,318 2 Avis Budget Group, Inc. 569,149 18,550 Brinks Co. (The) 1,199,258 21,781 Carlisle Cos., Inc. 2,189,426

MDCF-4

Principal Amount or Shares Value 17,134 2 Clean Harbors, Inc. 845,563 17,283 Crane Co. 1,247,487 18,222 Curtiss Wright Corp. 1,860,831 17,892 Deluxe Corp. 687,768 44,392 Donaldson Co., Inc. 1,926,169 15,070 Dun & Bradstreet Corp. 2,151,092 6,155 2 Dycom Industries, Inc. 332,616 21,389 Emcor Group, Inc. 1,276,709 18,663 EnerSys, Inc. 1,448,435 11,618 2 Esterline Technologies Corp. 1,411,006 9,663 GATX Corp. 684,237 21,554 2 Genesee & Wyoming, Inc., Class A 1,595,427 58,044 Graco, Inc. 2,429,141 10,131 Granite Construction, Inc. 408,077 14,121 HNI Corp. 500,307 19,979 Healthcare Services Group, Inc. 802,756 20,044 Hubbell, Inc. 1,991,171 26,934 IDEX Corp. 3,400,687 36,694 ITT Corp. 1,771,219 16,465 Insperity, Inc. 1,537,172 111,909 2 Jet Blue Airways Corp. 1,797,259 32,656 KBR, Inc. 495,718 30,871 Kennametal, Inc. 1,027,387 18,396 2 Kirby Corp. 1,239,155 34,483 Knight-Swift Transportation Holdings, Inc. 864,489 14,098 Landstar System, Inc. 1,348,756 12,679 Lennox International, Inc. 2,774,926 22,295 Lincoln Electric Holdings 1,757,961 11,953 MSA Safety, Inc. 1,126,809 16,065 MSC Industrial Direct Co. 1,235,720 22,844 Manpower, Inc. 1,480,291 15,870 2 Mastec, Inc. 643,687 22,873 Miller Herman, Inc. 691,908 18,206 Nordson Corp. 2,172,886 33,775 2 Now, Inc. 393,141 56,287 nVent Electric PLC 1,264,206 25,479 Old Dominion Freight Lines, Inc. 3,146,402 26,495 OshKosh Truck Corp. 1,624,408 75,115 Pitney Bowes, Inc. 443,930 19,201 Regal Beloit Corp. 1,345,030 46,273 2 Resideo Technologies, Inc. 950,910 13,329 Ryder System, Inc. 641,791 23,475 2 Stericycle, Inc. 861,298 14,194 2 Teledyne Technologies, Inc. 2,939,152 13,337 Terex Corp. 367,701 26,109 Timken Co. 974,388 36,565 Toro Co. 2,043,252 39,290 Trinity Industries, Inc. 808,981 8,353 Valmont Industries, Inc. 926,765 29,910 Wabtec Corp. 2,101,178 11,082 Watsco, Inc. 1,541,949 17,474 Werner Enterprises, Inc. 516,182 23,423 Woodward, Inc. 1,740,095 TOTAL 81,108,831 Information Technology - 15.0% 39,389 2 ACI Worldwide, Inc. 1,089,894 56,531 2 Arris International PLC 1,728,153 31,855 2 Arrow Electronics, Inc. 2,196,402 38,193 Avnet, Inc. 1,378,767

MDCF-5

Principal Amount or Shares Value 8,135 Belden, Inc. 339,799 13,089 Blackbaud, Inc. 823,298 10,627 2 CACI International, Inc., Class A 1,530,607 47,044 CDK Global, Inc. 2,252,467 58,773 2 Ciena Corp. 1,992,992 28,890 2 Cirrus Logic, Inc. 958,570 62,828 Cognex Corp. 2,429,559 6,119 2 Coherent, Inc. 646,839 18,362 2 Commvault Systems, Inc. 1,085,011 30,226 2 CoreLogic, Inc. 1,010,153 35,318 2 Cree, Inc. 1,510,727 129,196 Cypress Semiconductor Corp. 1,643,373 10,038 2 Fair Isaac & Co., Inc. 1,877,106 20,753 2 First Solar, Inc. 881,069 51,472 2 Integrated Device Technology, Inc. 2,492,789 15,866 InterDigital, Inc. 1,053,978 16,837 j2 Global, Inc. 1,168,151 50,081 Jabil, Inc. 1,241,508 53,217 Leidos Holdings, Inc. 2,805,600 8,652 Littelfuse, Inc. 1,483,645 26,456 2 LiveRamp Holdings, Inc. 1,021,995 18,892 LogMeIn, Inc. 1,541,020 27,537 2 Lumentum Holdings, Inc. 1,156,829 15,021 MKS Instruments, Inc. 970,507 22,097 2 Manhattan Associates, Inc. 936,250 22,057 Maximus, Inc. 1,435,690 13,450 Monolithic Power Systems 1,563,563 42,862 2 NCR Corp. 989,255 38,961 National Instruments Corp. 1,768,050 27,070 2 NetScout Systems, Inc. 639,664 37,445 2 PTC, Inc. 3,104,191 35,926 Perspecta, Inc. 618,646 19,427 Plantronics, Inc. 643,034 95,785 Sabre Corp. 2,072,787 11,046 Science Applications International Corp. 703,630 14,699 2 Silicon Laboratories, Inc. 1,158,428 10,897 2 Synaptics, Inc. 405,477 15,427 Synnex Corp. 1,247,119 13,947 2 Tech Data Corp. 1,141,004 35,017 2 Teradata Corp. 1,343,252 64,021 Teradyne, Inc. 2,008,979 89,859 2 Trimble, Inc. 2,957,260 15,291 2 Tyler Technologies, Inc. 2,841,374 12,266 2 Ultimate Software Group, Inc. 3,003,575 15,690 Universal Display Corp. 1,468,113 40,891 Versum Materials, Inc. 1,133,499 15,746 2 ViaSat, Inc. 928,227 32,657 , Inc. 588,153 14,981 2 WEX, Inc. 2,098,239 20,913 2 Zebra Technologies Corp., Class A 3,329,977 TOTAL 80,438,244 Materials - 6.6% 42,890 2 Allegheny Technologies, Inc. 933,715 21,849 Aptargroup, Inc. 2,055,335 21,522 Holdings, Inc. 1,527,201 38,255 Bemis Co., Inc. 1,755,905 22,667 Cabot Corp. 973,321 18,396 Carpenter Technology Corp. 655,082 62,966 Co./The 1,776,901

MDCF-6

Principal Amount or Shares Value 45,122 Commercial Metals Corp. 722,854 5,542 Compass Minerals International, Inc. 231,046 29,719 Domtar, Corp. 1,044,028 12,328 Eagle Materials, Inc. 752,378 1,684 Greif, Inc., Class A 62,493 52,882 Louisiana-Pacific Corp. 1,175,038 13,623 Minerals Technologies, Inc. 699,405 3,038 Newmarket Corp. 1,251,929 45,795 Olin Corp. 920,937 59,786 2 Owens-Illinois, Inc. 1,030,711 30,356 Polyone Corp. 868,182 46,442 RPM International, Inc. 2,729,861 25,845 Reliance Steel & Aluminum Co. 1,839,389 26,540 Royal Gold, Inc. 2,273,151 14,874 Scotts Miracle-Gro Co. 914,156 10,417 Sensient Technologies Corp. 581,789 29,830 Silgan Holdings, Inc. 704,585 40,513 Sonoco Products Co. 2,152,456 90,519 Steel Dynamics, Inc. 2,719,191 49,093 United States Steel Corp. 895,456 69,894 Valvoline, Inc. 1,352,449 15,218 Worthington Industries, Inc. 530,195 TOTAL 35,129,139 Real Estate - 9.5% 9,470 2 Alexander and Baldwin, Inc. 174,059 47,629 American Campus Communities, Inc. 1,971,364 32,629 Camden Property Trust 2,872,984 44,951 CoreCivic, Inc. 801,476 13,685 Coresite Realty Corp. 1,193,743 41,236 Corporate Office Properties Trust 867,193 144,421 Cousins Properties, Inc. 1,140,926 32,981 Cyrusone, Inc. 1,744,035 56,021 Douglas Emmett, Inc. 1,911,997 30,341 EPR PPTYS 1,942,734 43,406 First Industrial Realty Trust 1,252,697 56,090 Geo Group, Inc. 1,104,973 42,902 Healthcare Realty Trust, Inc. 1,220,133 43,522 Highwoods Properties, Inc. 1,683,866 60,838 Hospitality Properties Trust 1,452,811 46,085 JBG Smith Properties 1,604,219 16,629 Jones Lang LaSalle, Inc. 2,105,231 40,088 Kilroy Realty Corp. 2,520,734 29,560 Lamar Advertising Co. 2,044,961 51,491 2,156,443 16,075 Life Storage, Inc. 1,494,814 34,892 Mack-Cali Realty Corp. 683,534 133,285 Medical PPTYS Trust, Inc. 2,143,223 55,679 National Retail Properties, Inc. 2,700,988 70,096 Omega Healthcare Investors 2,463,874 47,451 Pebblebrook Hotel Trust 1,343,338 15,534 PotlatchDeltic Corp. 491,496 44,280 Rayonier, Inc. 1,226,113 45,513 Realogy Hldgs. Corp. 668,131 48,690 Sabra Health Care REIT, Inc. 802,411 63,351 Senior Housing Properties Trust 742,474 36,032 Tanger Factory Outlet Centers, Inc. 728,567 22,441 Taubman Centers, Inc. 1,020,841 80,349 Uniti Group, Inc. 1,251,034 43,822 Urban Edge Properties 728,322

MDCF-7

Principal Amount or Shares Value 32,086 Weingarten Realty Investors 796,054 TOTAL 51,051,793 Utilities - 5.5% 17,669 Allete, Inc. 1,346,731 55,891 Aqua America, Inc. 1,910,913 41,119 Atmos Energy Corp. 3,812,554 18,434 Black Hills Corp. 1,157,287 31,880 Hawaiian Electric Industries, Inc. 1,167,446 18,315 Idacorp, Inc. 1,704,394 69,070 MDU Resources Group, Inc. 1,646,629 31,623 National Fuel Gas Co. 1,618,465 30,479 New Jersey Resources Corp. 1,391,976 17,578 Northwestern Corp. 1,044,836 77,734 OGE Energy Corp. 3,046,395 18,099 ONE Gas, Inc. 1,440,680 29,607 PNM Resources, Inc. 1,216,552 19,551 Southwest Gas Holdings, Inc. 1,495,652 66,667 UGI Corp. 3,556,684 28,897 Vectren Corp. 2,080,006 TOTAL 29,637,200 TOTAL COMMON STOCKS 528,074,586 INVESTMENT COMPANY - 2.4% 12,911,935 Federated Institutional Prime Value Obligations Fund, Institutional Shares, 2.54%3 12,911,935 TOTAL INVESTMENT IN SECURITIES $540,986,521

At December 31, 2018, the Fund had the following outstanding futures contracts: Value and Number of Unrealized Description Contracts Notional Value Expiration Date Appreciation 2S&P MidCap 400 E-Mini Index Long Futures 83 $13,796,260 March 2019 $393,881

1 The Fund purchases index futures contracts to efficiently manage cash flows resulting from shareholder purchases and redemptions, dividend and capital gain payments to shareholders and corporate actions while maintaining exposure to the S&P MidCap 400 Index and minimizing trading costs. The underlying face amount, at value, of open index futures contracts is $13,796,260 at December 31, 2018, which represents 2.6% of total net assets. Taking into consideration these open index futures contracts, the Fund's effective total exposure to the S&P MidCap 400 Index is 101.1%. 2 Non-income-producing security. 3 7-day net yield.

Note: The categories of investments are shown as a percentage of net assets $536,061,593 at the close of business on December 31, 2018, and may not necessarily reflect adjustments that are routinely made when presenting net assets for formal financial statement purposes. The following acronym is used throughout this portfolio: REIT --Real Estate Investment Trust

Portfolio holdings are shown as of the date indicated and are unaudited. Since market conditions fluctuate suddenly and frequently, the portfolio holdings may change and this list is not indicative of future portfolio composition. These portfolio holdings are not intended to be and do not constitute recommendations that others buy, sell, or hold any of the securities listed. For more complete information on the fund, visit www.FederatedInvestors.com for a prospectus or a summary prospectus. You should consider the fund's investment objectives, risks, charges, and expenses carefully before you invest. Information about these and other important subjects is in the fund's prospectus or summary prospectus, which you should read carefully before investing.

NOT FDIC INSURED NO BANK GUARANTEE MAY LOSE VALUE

MDCF-8

Federated Securities Corp., Distributor (32209) 12/31/2018

MDCF-9