Natixis Sustainable Future 2045 Fund Investments as of July 31, 2021 (Unaudited) Shares Security Description Market Value ($) % of Fund Common Stocks 56 Abbott Laboratories 6,775 0.08% 58 AbbVie, Inc. 6,745 0.08% 62 Accenture PLC, Class A 19,696 0.24% 40 Activision Blizzard, Inc. 3,345 0.04% 18 Acuity Brands, Inc. 3,157 0.04% 36 Adobe, Inc. 22,379 0.27% 49 Advanced Micro Devices, Inc. 5,203 0.06% 184 AECOM 11,585 0.14% 91 AES Corp. (The) 2,157 0.03% 32 Aflac, Inc. 1,760 0.02% 69 AGCO Corp. 9,116 0.11% 24 Agilent Technologies, Inc. 3,678 0.04% 10 Air Products & Chemicals, Inc. 2,910 0.04% 115 Akamai Technologies, Inc. 13,791 0.17% 20 Alaska Air Group, Inc. 1,161 0.01% 221 Alibaba Group Holding Ltd., Sponsored ADR 43,137 0.52% 341 Allscripts Healthcare Solutions, Inc. 5,824 0.07% 43 Allstate Corp. (The) 5,592 0.07% 897 Ally Financial, Inc. 46,070 0.56% 166 Alnylam Pharmaceuticals, Inc. 29,704 0.36% 27 Alphabet, Inc., Class A 72,752 0.88% 31 Alphabet, Inc., Class C 83,837 1.01% 23 Amazon.com, Inc. 76,535 0.92% 19 Amedisys, Inc. 4,952 0.06% 134 American Campus Communities, Inc. 6,742 0.08% 136 American Eagle Outfitters, Inc. 4,688 0.06% 140 American Electric Power Co., Inc. 12,337 0.15% 196 American Express Co. 33,424 0.40% 508 American International Group, Inc. 24,054 0.29% 48 American Tower Corp. 13,574 0.16% 45 American Water Works Co., Inc. 7,655 0.09% 14 Ameriprise Financial, Inc. 3,606 0.04% 214 Ameris Bancorp 10,403 0.13% 54 Amgen, Inc. 13,043 0.16% 20 Amphenol Corp., Class A 1,450 0.02% 25 Analog Devices, Inc. 4,185 0.05% 35 ANSYS, Inc. 12,896 0.16% 27 Anthem, Inc. 10,368 0.13% 1,002 APA Corp. 18,787 0.23% 40 Applied Materials, Inc. 5,597 0.07% 12 Aptiv PLC 2,002 0.02% 782 Archrock, Inc. 6,733 0.08% 42 Arista Networks, Inc. 15,976 0.19% 50 Asbury Automotive Group, Inc. 10,273 0.12% 214 AT&T, Inc. 6,003 0.07% 172 Autodesk, Inc. 55,234 0.67% 159 Automatic Data Processing, Inc. 33,331 0.40% 4 AutoZone, Inc. 6,494 0.08% 104 Avnet, Inc. 4,297 0.05% 30 Axon Enterprise, Inc. 5,581 0.07% 128 Baker Hughes Co. 2,719 0.03% 67 Ball Corp. 5,419 0.07% 195 Bancorp, Inc. (The) 4,557 0.05% 206 BancorpSouth Bank 5,315 0.06% 866 Bank of America Corp. 33,220 0.40% 779 Bank of New York Mellon Corp. (The) 39,986 0.48% 12 Baxter International, Inc. 928 0.01% 9 Becton Dickinson & Co. 2,302 0.03% 33 Best Buy Co., Inc. 3,708 0.04% 20 Bio-Techne Corp. 9,645 0.12% 16 Biogen, Inc. 5,228 0.06% 130 BioMarin Pharmaceutical, Inc. 9,975 0.12% 81 BJ's Wholesale Club Holdings, Inc. 4,102 0.05% 39 Blackbaud, Inc. 2,782 0.03% 11 BlackRock, Inc. 9,539 0.12% 197 Boeing Co. (The) 44,617 0.54% 14 Booking Holdings, Inc. 30,496 0.37% 61 Boot Barn Holdings, Inc. 5,272 0.06% 17 BorgWarner, Inc. 833 0.01% 6 Boston Properties, Inc. 704 0.01% 44 Boston Scientific Corp. 2,006 0.02% 64 Bottomline Technologies, Inc. 2,583 0.03% 74 Bristol-Myers Squibb Co. 5,022 0.06% 542 Brixmor Property Group, Inc. 12,477 0.15% Natixis Sustainable Future 2045 Fund Investments as of July 31, 2021 (Unaudited) Shares Security Description Market Value ($) % of Fund 5 Cable One, Inc. 9,440 0.11% 127 Callaway Golf Co. 4,023 0.05% 89 Camden Property Trust 13,296 0.16% 79 Campbell Soup Co. 3,454 0.04% 292 Capital One Financial Corp. 47,216 0.57% 29 Carlisle Cos., Inc. 5,865 0.07% 42 Carrier Global Corp. 2,321 0.03% 77 Caterpillar, Inc. 15,920 0.19% 140 CBRE Group, Inc., Class A 13,504 0.16% 151 Centene Corp. 10,360 0.12% 157 Cerner Corp. 12,621 0.15% 233 ChampionX Corp. 5,415 0.07% 488 Charles Schwab Corp. (The) 33,160 0.40% 39 Chart Industries, Inc. 6,063 0.07% 47 Charter Communications, Inc., Class A 34,970 0.42% 13 Chemed Corp. 6,188 0.07% 3 Chipotle Mexican Grill, Inc. 5,590 0.07% 76 Chubb Ltd. 12,824 0.15% 98 Ciena Corp. 5,698 0.07% 33 Cigna Corp. 7,573 0.09% 68 Cinemark Holdings, Inc. 1,056 0.01% 77 Cirrus Logic, Inc. 6,359 0.08% 531 Cisco Systems, Inc. 29,401 0.35% 485 Citigroup, Inc. 32,796 0.40% 161 Citizens Financial Group, Inc. 6,788 0.08% 11 Citrix Systems, Inc. 1,108 0.01% 295 Cleveland-Cliffs, Inc. 7,375 0.09% 8 Clorox Co. (The) 1,447 0.02% 20 CME Group, Inc. 4,243 0.05% 227 Coca-Cola Co. (The) 12,946 0.16% 105 Cognex Corp. 9,493 0.11% 57 Cognizant Technology Solutions Corp., Class A 4,191 0.05% 23 Coherent, Inc. 5,657 0.07% 252 Colgate-Palmolive Co. 20,034 0.24% 819 Comcast Corp., Class A 48,182 0.58% 12 Comerica, Inc. 824 0.01% 167 Commercial Metals Co. 5,478 0.07% 89 CommVault Systems, Inc. 6,728 0.08% 21 Conagra Brands, Inc. 703 0.01% 333 ConocoPhillips 18,668 0.23% 82 Consolidated Edison, Inc. 6,049 0.07% 104 Constellation Brands, Inc., Class A 23,331 0.28% 8 Cooper Cos., Inc. (The) 3,374 0.04% 36 Corning, Inc. 1,507 0.02% 202 Corporate Office Properties Trust 5,947 0.07% 4 Costco Wholesale Corp. 1,719 0.02% 138 Cree, Inc. 12,801 0.15% 149 CRISPR Therapeutics AG 18,032 0.22% 8 Crown Castle International Corp. 1,545 0.02% 102 CSX Corp. 3,297 0.04% 100 Cullen/Frost Bankers, Inc. 10,732 0.13% 68 Cummins, Inc. 15,783 0.19% 216 CVS Health Corp. 17,790 0.21% 65 CyrusOne, Inc. 4,633 0.06% 298 Dana, Inc. 7,200 0.09% 25 Danaher Corp. 7,437 0.09% 99 Darling Ingredients, Inc. 6,838 0.08% 30 Deckers Outdoor Corp. 12,325 0.15% 119 Deere & Co. 43,029 0.52% 95 Delta Air Lines, Inc. 3,791 0.05% 18 DENTSPLY SIRONA, Inc. 1,189 0.01% 98 Devon Energy Corp. 2,532 0.03% 183 Diamondback Energy, Inc. 14,115 0.17% 127 Discovery, Inc., Series A 3,684 0.04% 24 Discovery, Inc., Series C 651 0.01% 228 Douglas Emmett, Inc. 7,615 0.09% 31 DTE Energy Co. 3,637 0.04% 15 DTE Midstream LLC 636 0.01% 29 DuPont de Nemours, Inc. 2,176 0.03% 667 DXC Technology Co. 26,667 0.32% 304 Easterly Government Properties, Inc. 6,901 0.08% 50 Eaton Corp. PLC 7,902 0.10% 641 eBay, Inc. 43,723 0.53% 12 Ecolab, Inc. 2,650 0.03% 217 Edison International 11,826 0.14% 58 Edwards Lifesciences Corp. 6,512 0.08% Natixis Sustainable Future 2045 Fund Investments as of July 31, 2021 (Unaudited) Shares Security Description Market Value ($) % of Fund 73 Electronic Arts, Inc. 10,509 0.13% 37 Eli Lilly & Co. 9,009 0.11% 53 Encompass Health Corp. 4,412 0.05% 45 Enphase Energy, Inc. 8,532 0.10% 428 EOG Resources, Inc. 31,184 0.38% 171 EQT Corp. 3,145 0.04% 36 Equity Residential 3,029 0.04% 301 Essential Utilities, Inc. 14,785 0.18% 4 Estee Lauder Cos., Inc. (The), Class A 1,335 0.02% 7 Etsy, Inc. 1,285 0.02% 36 Eversource Energy 3,106 0.04% 11 Expedia Group, Inc. 1,770 0.02% 174 Expeditors International of Washington, Inc. 22,315 0.27% 74 Exponent, Inc. 7,925 0.10% 7 F5 Networks, Inc. 1,446 0.02% 303 Facebook, Inc., Class A 107,959 1.30% 68 FactSet Research Systems, Inc. 24,295 0.29% 20 Fair Isaac Corp. 10,478 0.13% 68 Fifth Third Bancorp 2,468 0.03% 95 First American Financial Corp. 6,394 0.08% 172 First Solar, Inc. 14,799 0.18% 221 Fiserv, Inc. 25,439 0.31% 25 Five Below, Inc. 4,860 0.06% 80 Fox Corp., Class A 2,853 0.03% 71 Franklin Resources, Inc. 2,098 0.03% 360 Fulton Financial Corp. 5,515 0.07% 17 GameStop Corp., Class A 2,739 0.03% 69 Gap, Inc. (The) 2,013 0.02% 117 Gartner, Inc. 30,973 0.37% 38 GATX Corp. 3,506 0.04% 76 General Dynamics Corp. 14,898 0.18% 1,685 General Electric Co. 21,821 0.26% 59 General Mills, Inc. 3,473 0.04% 481 General Motors Co. 27,340 0.33% 44 Genuine Parts Co. 5,584 0.07% 39 Gilead Sciences, Inc. 2,663 0.03% 58 Globus Medical, Inc., Class A 4,824 0.06% 78 Goldman Sachs Group, Inc. (The) 29,241 0.35% 52 Green Dot Corp., Class A 2,396 0.03% 25 Haemonetics Corp. 1,520 0.02% 108 Hain Celestial Group, Inc. (The) 4,310 0.05% 193 Hannon Armstrong Sustainable Infrastructure Capital, Inc.
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