OPERATING ENGINEERS LOCAL NO 37 SEVERANCE & ANNUITY FUND
Investment Model Portfolios

Investment options of OPERATING ENGINEERS LOCAL NO 37 SEVERANCE & ANNUITY FUND

Total Available Funds: 329
Investment Description
OPERATING ENGINEERS LOCAL
F H L M C MULTICLASS MTG PARTN Bonds 07/25/2048 6.000% 61,306 6 1,306
F H L M C PARTN CERT Bonds 09/01/2053 6.000% 87,432 8 6,640
F N M A Bonds 08/28/2025 4.130% 100,000 1 00,000
F N M A PARTN CERT Bonds 07/01/2041 4.500% 6,203 6 ,604
F N M A PARTN CERT UMBS Bonds 07/01/2038 4.000% 121,183 1
FEDERAL FARM CREDIT BKS Bonds 07/20/2032 4.980% 100,000 1 00,000
FEDERAL FARM CREDIT BKS Bonds 03/23/2032 3.300% 105,000 1 05,000
FEDERAL FARM CREDIT BKS Bonds 05/17/2032 4.300% 80,000 8 0,000
FEDERAL HOME LOAN BKS Bonds 02/26/2031 1.150% 115,000 1 15,000
FEDERAL HOME LOAN BKS Bonds 03/23/2026 1.000% 112,125 1
FEDERAL HOME LOAN BKS Bonds 03/17/2031 VAR 165,000 1
FEDERAL HOME LOAN BKS Bonds 07/07/2031 1.250% 100,000 1 00,000
FEDERAL HOME LOAN BKS Bonds 10/25/2026 1.150% 110,000 1
FEDERAL HOME LOAN BKS Bonds 11/23/2026 1.500% 135,000 1
FEDERAL HOME LOAN BKS Bonds 01/27/2032 2.000% 165,000 1
FEDERAL HOME MORTGAGE CORP POOL Bonds 11/01/2044 4.500% 203,273 1
FEDERAL NATL MTGE ASSN POOL #CB5384 Bonds 12/01/2052 4.500% 159,368 1
SMALL BUSINESS ADMINSTRATION Bonds 01/01/2038 2.920% 53,230 5
U S TREASURY Notes 01/15/2028 1.750% 165,739 1
U S TREASURY Notes 04/15/2027 0.130% 162,104 1
U S TREASURY Notes 01/15/2033 1.130% 323,202 3
U S TREASURY NOTE Notes 03/31/2025 2.630% 775,000 7
U S TREASURY NOTE Notes 05/15/2027 2.380% 295,000 2
U S TREASURY NOTE Notes 09/30/2026 1.630% 725,000 7
U S TREASURY NOTE Notes 05/15/2030 0.630% 160,000 1
U S TREASURY NOTE Notes 11/30/2025 0.380% 115,000 1
U S TREASURY NOTE Notes 02/15/2031 1.130% 420,000 3
U S TREASURY NOTE Notes 08/31/2028 1.130% 410,000 3
U S TREASURY NOTE Notes 11/15/2031 1.380% 625,000 5
U S TREASURY NOTE Notes 06/30/2029 3.250% 400,000 3
U S TREASURY NOTE Notes 08/15/2032 2.750% 415,000 3
U S TREASURY NOTE Notes 11/15/2033 4.500% 525,000 5
U S TREASURY NOTE Notes 05/15/2034 4.380% 55,000
ACCENTURE CAPITAL INC SR NT Bonds 10/04/2027 3.900% 45,000 4 4,942
AMGEN INC Bonds 03/02/2033 5.250% 145,000 1
ANHEUSER BUSCH INBEV WLDW INC SR NT Bonds 06/01/2030 3.500% 50,000 5 1,118
ANTHEM INC Bonds 12/01/2027 3.650% 140,000 1
ARES CAPITAL CORPORATION Bonds 01/15/2026 3.880% 130,000 1
BANK OF AMERICA CORP Bonds 02/05/2026 VAR 120,000 1
BK OF AMERICA CORP Bonds 11/10/2028 6.200% 85,000 8
BLACKROCK FUNDING Bonds 03/14/2029 4.700% 90,000 8
BLACKROCK FUNDING INC Bonds 07/26/2027 4.600% 25,000 2
COMCAST CORP Bonds 10/15/2028 4.150% 215,000 2
COMCAST CORP Bonds 10/15/2030 4.250% 145,000 1
CVS HEALTH CORP Bonds 08/15/2029 3.250% 160,000 1
DUKE ENERGY CAROLINAS LLC Bonds 01/15/2034 4.850% 195,000 1
EXTRA SPACE STORAGE LP Bonds 10/15/2030 2.200% 115,000 1
FMC CORP Bonds 10/01/2029 3.450% 75,000 7
FMC CORP Bonds 05/18/2026 5.150% 75,000 7
FYBR Bonds 08/20/2053 6.600% 95,000 9
GENERAL MOTORS FINL CO Bonds 01/17/2029 5.650% 70,000 7
GEORGIA PWR CO SR Bonds 02/23/2027 5.000% 85,000 8
GOLDMAN SACHS GROUP INC Bonds 06/05/2028 3.690% 230,000 2
GS MORTGAGE BACKED SECURITIES Bonds 10/27/2053 VAR 99,069 9
GS MTG BCD SECS Bonds 01/25/2054 VAR 111,359 1
HEALTHPEAK PROPERTIES INC Bonds 01/15/2031 2.880% 75,000 7
HEWLETT PACKARD ENTERPRISE CO SR NT Bonds 10/15/2034 5.000% 95,000 9
INTERCONTINENTAL EXCHANGE INC Bonds 03/15/2033 4.600% 65,000 6
JBS USA LUX S A JBS USA FOOD Bonds 02/01/2028 5.130% 150,000 1
JEFFERIES FIN GROUP INC Bonds 04/14/2034 6.200% 80,000 7
JEFFERIES FINANCIAL GROUP INC Bonds 07/21/2028 5.880% 60,000 5
JP MORGAN MORTGAGE TRUST Bonds 04/25/2054 VAR 19,333 1
JPMORGAN CHASE CO Bonds 12/05/2029 4.450% 135,000 1
JPMORGAN CHASE CO Bonds 02/24/2026 VAR 170,000 1
LINCOLN NATIONAL CORP Bonds 01/15/2031 3.400% 65,000 6
MERRILL LYNCH & CO Bonds 09/15/2026 VAR 95,000 8
MORGAN STANLEY Bonds 04/20/2028 4.210% 100,000 9
MORGAN STANLEY FR Bonds 04/28/2026 2.190% 150,000 1
MORGAN STANLEY SR Bonds 04/18/2030 5.660% 95,000 9
OBX TRUST Bonds 11/25/2053 6.000% 96,664 9 5,067
ORACLE CORP Bonds 11/09/2032 6.250% 85,000 8 5,405
OWL ROCK CAPITAL CORPORATION SR NT Bonds 07/15/2026 3.400% 135,000 1
PHILIP MORRIS INTL INC Bonds 09/07/2033 5.630% 80,000 7 8,226
PHILIP MORRIS INTL INC SR NT Bonds 02/13/2034 5.250% 150,000 1
PNC FINL SVCS GROUP INC Bonds 01/21/2028 5.300% 105,000 1
PRECISION CASTPARTS CORP Bonds 06/15/2025 3.250% 60,000 6 3,870
ROCKWELL AUTOMATION Bonds 03/01/2029 3.500% 120,000 1
SAFEHOLD OPER PARTNERSHIP L P Bonds 06/15/2031 2.800% 160,000 1
SAFEHOLD OPER PARTNERSHIP L P Bonds 01/15/2032 2.850% 115,000 1 12,730
SIMON PROPERTY GROUP LP Bonds 09/01/2025 3.500% 55,000 5 9,244
SIMON PROPERTY GROUP LP Bonds 09/13/2029 2.450% 215,000 2
TRACTOR SUPPLY CO Bonds 05/15/2033 5.250% 65,000 6 4,779
VERIZON COMMUNICATIONS INC Bonds 03/21/2031 2.550% 145,000 1
VIRGINIA ELEC POWER CO Bonds 03/15/2027 3.500% 90,000 9 2,716
VIRGINIA ELEC POWER CO Bonds 08/15/2034 5.050% 35,000 3 4,915
WALT DISNEY COMPANY THE Bonds 11/15/2026 3.380% 110,000 1
WARNERMEDIA HLDGS INC Bonds 03/15/2027 3.760% 170,000
3M CO Equity N/A N/A 122 1 3,746
A A R CORP Equity N/A N/A 1,044 7 5,201
ABBVIE INC Equity N/A N/A 219 2 7,897
ABERCROMBIE FITCH CO CL A Equity N/A N/A 455 5 2,213
ACUITY INC Equity N/A N/A 51 6 ,834
AECOM Equity N/A N/A 1,014 4
AERCAP HOLDINGS NV Equity N/A N/A 524 5 0,443
AGCO CORP Equity N/A N/A 175 1 5,681
AGREE REALTY CORP Equity N/A N/A 971 6 5,622
AIR LEASE CORP Equity N/A N/A 1,767 8 5,508
ALIGHT INC Equity N/A N/A 5,676 5 5,166
ALLISON TRANSMISSION HOLDINGS Equity N/A N/A 151 6 ,162
ALLY FINANCIAL INC Equity N/A N/A 1,483 62,067
ALPHABET INC CL A Equity N/A N/A 508 8 9,061
AMCOR PLC ORD Equity N/A N/A 853 9 ,385
AMDOCS LTD Equity N/A N/A 1,034 8 7,282
AMERIPRISE FINL INC Equity N/A N/A 94 2 1,803
AMPHENOL CORP CL A Equity N/A N/A 1,207 7 6,531
ANTERO RESOURCES CORP Equity N/A N/A 1,329 4 2,022
API GROUP CORP Equity N/A N/A 3,430 7
APPLE INC COM Equity N/A N/A 367 4 7,120
ARCOSA INC Equity N/A N/A 1,327 3
ARISTA NETWORKS INC Equity N/A N/A 916 2
ATKORE INC COM Equity N/A N/A 181 2 0,812
AUTOLIV INC Equity N/A N/A 162 1 3,639
AVANTOR INC Equity N/A N/A 3,755 7 9,914
BAKER HUGHES COMPANY Equity N/A N/A 656 1 7,772
BATH BODY WORKS INC COM Equity N/A N/A 2,483 1 06,987
BEACON ROOFING SUPPLY INC Equity N/A N/A 1,324
BERRY GLOBAL GROUP INC Equity N/A N/A 131 6 ,662
BIO RAD LABS INC CL A Equity N/A N/A 120 3 9,203
BIOGEN INC Equity N/A N/A 249
BLOCK H R INC Equity N/A N/A 1,156 7 4,375
BOISE CASCADE CO Equity N/A N/A 115 1
BOOT BARN HOLDINGS INC Equity N/A N/A 570 7 4,463
BOOZ ALLEN HAMILTON HOLDING Equity N/A N/A 700 8 1,745
BORGWARNER INC COM Equity N/A N/A 463 1 5,985
BP PLC SPON A D R Equity N/A N/A 869 2 9,239
BRISTOL MYERS SQUIBB CO Equity N/A N/A 692 3 2,410
BUILDERS FIRSTSOURCE INC Equity N/A N/A 56 5 ,956
CADENCE DESIGN SYS INC Equity N/A N/A 293 3 6,205
CARDINAL HEALTH INC Equity N/A N/A 325 3 6,431
CARLISLE COS INC Equity N/A N/A 35 5 ,492
CARNIVAL CORP Equity N/A N/A 2,702 6 7,206
CASEYS GEN STORES INC Equity N/A N/A 152 3 6,790
CENCORA INC Equity N/A N/A 180 2 3,729
CENTENE CORP Equity N/A N/A 660 4 9,926
CF INDS HLDGS INC COM Equity N/A N/A 101 8 ,203
CHART INDS INC Equity N/A N/A 511 4 3,206
CHECK POINT SOFTWARE TECH LTD Equity N/A N/A 428 6 7,676
CHEMED CORP Equity N/A N/A 233 1
CHURCHILL DOWNS INC Equity N/A N/A 918 4
CISCO SYSTEMS INC Equity N/A N/A 1,516 8 6,075
CITIGROUP INC Equity N/A N/A 803 4 0,560
CLEAN HBRS INC Equity N/A N/A 497 8
COLLIERS INTERNATIONAL GROUP Equity N/A N/A 827
COMMERCIAL METALS CO COM Equity N/A N/A 151 6 ,394
CONCENTRIX CORP Equity N/A N/A 1,193 8 0,196
CORE MAIN INC CL A Equity N/A N/A 1,378 5 2,883
CORE MAIN INC CL A Equity N/A N/A 290 1 1,268
CRANE NXT CO Equity N/A N/A 1,218 5 3,727
CSX CORP Equity N/A N/A 477 1 6,276
CUMMINS INC COM Equity N/A N/A 43 6 ,862
DANA INCORPORATED Equity N/A N/A 5,781 7 0,966
DAVITA INC Equity N/A N/A 244 2 3,608
DECKERS OUTDOOR CORP Equity N/A N/A 314 2 8,617
DICKS SPORTING GOODS INC Equity N/A N/A 331 5 4,684
DOMINION ENERGY INC Equity N/A N/A 325 1 7,109
DOVER CORP Equity N/A N/A 85 8 ,212
EAGLE MATERIALS INC Equity N/A N/A 531 5
EASTMAN CHEM CO Equity N/A N/A 98 8 ,074
EMCOR GROUP INC Equity N/A N/A 34 2 ,711
EMERSON ELECTRIC CO Equity N/A N/A 121 8 ,208
EQUITABLE HLDGS INC Equity N/A N/A 1,095 5 0,243
EVERGY INC Equity N/A N/A 272 1 6,709
EXPAND ENERGY CORPORATION Equity N/A N/A 270 2 2,152
EXPEDIA INC Equity N/A N/A 501 7 3,751
F5 INC Equity N/A N/A 363 7 8,419
FABRINET Equity N/A N/A 393 9 5,150
FEDERAL AGRIC MTG CORP CL C Equity N/A N/A 398 6 6,184
FIDELITY NATIONAL FINANCIAL INC Equity N/A N/A 859 37,250
FIRST ENERGY CORP Equity N/A N/A 416 1 7,246
FIVE9 INC Equity N/A N/A 2,061 8 8,158
FLUOR CORP NEW COM Equity N/A N/A 1,099 6 1,133
FORTINET INC Equity N/A N/A 942 5 3,273
FOX CORP CLASS B Equity N/A N/A 1,445 6 3,260
GARMIN LTD SHS Equity N/A N/A 316 5 5,614
GARTNER INC Equity N/A N/A 182 5 7,674
GENTEX CORP COM Equity N/A N/A 527 1 3,147
GENUINE PARTS COMPANY Equity N/A N/A 114 14,367
GFL ENVIRONMENTAL INC SUB VT Equity N/A N/A 2,063 7 2,681
GILEAD SCIENCES INC Equity N/A N/A 413 3 0,791
GOLDMAN SACHS GROUP INC Equity N/A N/A 96 3 4,160
HALLIBURTON CO Equity N/A N/A 967 3 6,630
HCA HEALTHCARE INC COM Equity N/A N/A 109 3 0,251
HEALTHEQUITY INC Equity N/A N/A 1,079 8
HERC HOLDINGS INC Equity N/A N/A 485 3 9,544
HOLOGIC INC Equity N/A N/A 537 3 9,631
HOME BANCSHARES INC Equity N/A N/A 3,584 7
HUNT J B TRANS SVCS INC Equity N/A N/A 488 37,103
ICON PLC Equity N/A N/A 453 3 3,514
INGERSOLL RAND INC COM Equity N/A N/A 694 2 1,593
INGREDION INC Equity N/A N/A 62 5 ,965
INTAPP INC COM Equity N/A N/A 1,438 5 2,857
INTERNATIONAL SEAWAYS INC COM Equity N/A N/A 1,293 21,357
INTUIT COM Equity N/A N/A 132 6 3,234
ITT CORP NEW Equity N/A N/A 1,047 9
JACKSON FINANCIAL INC COM CL A Equity N/A N/A 575 48,379
JACOBS SOLUTIONS INC Equity N/A N/A 114
JAZZ PHARMACEUTICALS PLC Equity N/A N/A 1,123
JAZZ PHARMACEUTICALS PLC Equity N/A N/A 329 36,976
K B HOME Equity N/A N/A 924 6 0,960
KADANT INC Equity N/A N/A 339 1
KBR INC Equity N/A N/A 1,161 7 2,917
KLA CORP COM NEW Equity N/A N/A 131 6 0,961
KNIGHT SWIFT TRANSN HLDGS INC CL A Equity N/A N/A 297 16,932
KORN FERRY INTL Equity N/A N/A 1,410 6 9,258
LABCORP HOLDINGS INC COM SHS Equity N/A N/A 165 3 3,033
LANTHEUS HLDGS INC Equity N/A N/A 1,066 8 5,210
LEAR CORP Equity N/A N/A 146 1 8,177
LEIDOS HOLDINGS INC COM Equity N/A N/A 616 9 1,438
LITHIA MOTORS INC CL A Equity N/A N/A 230 7 1,964
LITHIA MOTORS INC CL A Equity N/A N/A 177 6 4,533
LITTELFUSE INC Equity N/A N/A 324 6 4,535
LIVE OAK BANCSHARES INC Equity N/A N/A 1,393 5 4,459
LOCKHEED MARTIN CORP COM Equity N/A N/A 187 $ 9
LOUISIANA PAC CORP Equity N/A N/A 81
LYONDELLBASELL INDUSTRIES N V SHS A Equity N/A N/A 108 9 ,153
MASCO CORP COM Equity N/A N/A 204 8 ,803
MATSON INC Equity N/A N/A 99 1 6,074
MCKESSON CORP COM Equity N/A N/A 72 1 9,341
MERITAGE HOMES CORPORATION Equity N/A N/A 355 6 7,207
META PLATFORMS INC Equity N/A N/A 151 7 4,264
METLIFE INC Equity N/A N/A 599 3 5,628
MICROSOFT CORP COM Equity N/A N/A 198 8 0,034
MOLINA HEALTHCARE INC Equity N/A N/A 127 4 0,466
MOLSON COORS BEVERAGE COMPANY Equity N/A N/A 635 3 8,166
MOOG INC CLASS A Equity N/A N/A 580 6
MUELLER INDS INC Equity N/A N/A 183 7 ,145
MURPHY OIL CORP Equity N/A N/A 792 2 9,690
MURPHY USA INC W I Equity N/A N/A 118 35,889
NETAPP INC COM Equity N/A N/A 687 6 1,264
NEXSTAR MEDIA GROUP INC Equity N/A N/A 471 5 4,955
NOMAD FOODS LTD Equity N/A N/A 5,926 1 10,008
NORTHERN OIL AND GAS INC MN Equity N/A N/A 1,512 49,131
NORTHROP GRUMMAN CORPORATION Equity N/A N/A 199 101,868
NORWEGIAN CRUISE LINE HLDG LTD SHS Equity N/A N/A 2,324 6 4,164
NRG ENERGY INC COM NEW Equity N/A N/A 186 9 ,271
NUCOR CORP Equity N/A N/A 65 7 ,337
O G E ENERGY CORP Equity N/A N/A 403 1 4,482
OPTION CARE HEALTH INC Equity N/A N/A 3,576
OSHKOSH CORPORATION Equity N/A N/A 158 1 6,127
OVINTIV INC Equity N/A N/A 668 3 1,313
OWENS CORNING INC Equity N/A N/A 47 4 ,483
PACKAGING CORP AMERICA Equity N/A N/A 409 48,292
PACKAGING CORP AMERICA Equity N/A N/A 39
PAGERDUTY INC Equity N/A N/A 1,833 3 8,940
PARKER HANNIFIN CORP Equity N/A N/A 25
PARSONS CORP Equity N/A N/A 949 8 7,734
PAYCHEX INC Equity N/A N/A 596 6 9,292
PFIZER INC Equity N/A N/A 1,511 4 2,715
PG E CORP Equity N/A N/A 824 1 7,357
PHILIP MORRIS INTL Equity N/A N/A 334 3 0,488
PINNACLE WEST CAP CORP Equity N/A N/A 189 14,033
PINTEREST INC CL A Equity N/A N/A 2,476 7 4,817
POST HOLDINGS INC Equity N/A N/A 1,165 9
POST HOLDINGS INC Equity N/A N/A 321 2 8,751
PPL CORPORATION Equity N/A N/A 510 1 4,732
PROSPERITY BANCSHARES INC Equity N/A N/A 1,199 7 2,657
PRUDENTIAL FINANCIAL INC Equity N/A N/A 400 43,387
PULTE GROUP INC COM Equity N/A N/A 793 3 5,139
QUEST DIAGNOSTICS INC Equity N/A N/A 245 $ 3
REGIONS FINL CORP Equity N/A N/A 2,124 3 7,763
RELIANCE INC Equity N/A N/A 299 2 0,582
RELIANCE INC Equity N/A N/A 32 4 ,286
ROIVANT SCIENCES LTD SHS Equity N/A N/A 8,158 8 7,610
ROYAL CARIBBEAN GROUP COM Equity N/A N/A 286 2 4,975
RYDER SYSTEM INC Equity N/A N/A 95 8 ,660
SENSATA TECHNOLOGIES HOLDING Equity N/A N/A 1,995
SHELL PLC SPON A D R Equity N/A N/A 408 2 3,262
SKECHERS U S A INC Equity N/A N/A 1,543 5
SM ENERGY CO Equity N/A N/A 653 2 5,967
SNAP ON INC Equity N/A N/A 47 9 ,920
SOMNIGROUP INTERNATIONAL INC Equity N/A N/A 1,155 57,068
SONOCO PRODS CO Equity N/A N/A 178 9 ,870
SS C TECHNOLOGIES HLDGS INC COM Equity N/A N/A 1,649 1
STATE STR CORP Equity N/A N/A 544 3 9,502
STEEL DYNAMICS INC Equity N/A N/A 66 4 ,426
SYNCHRONY FINANCIAL Equity N/A N/A 842 28,208
SYNNEX CORP Equity N/A N/A 1,143 8
SYNOVUS FINANCIAL CORP Equity N/A N/A 960 34,788
T MOBILE US INC Equity N/A N/A 73 7 ,566
TALEN ENERGY CORP COM Equity N/A N/A 636 4
TAYLOR MORRISON HOME CORP A Equity N/A N/A 1,018 6 0,338
TECHNIPFMC PLC Equity N/A N/A 2,841 8 7,506
TELEPHONE AND DATA SYSTEMS INC Equity N/A N/A 3,565
TENET HEALTHCARE CORP Equity N/A N/A 628 3 8,025
TENET HEALTHCARE CORP Equity N/A N/A 275 2 5,144
THE CIGNA GROUP Equity N/A N/A 117 2 9,613
TIDEWATER INC NEW COM Equity N/A N/A 987 4 7,053
TIMKEN CO Equity N/A N/A 202 1 6,237
TRANSUNION Equity N/A N/A 1,047 7 1,262
TRAVEL PLUS LEISURE CO COM Equity N/A N/A 1,935 6
TRINET GROUP INC Equity N/A N/A 164 1 7,606
TTM TECHNOLOGIES Equity N/A N/A 3,030 5 4,740
UFP INDUSTRIES INC COM Equity N/A N/A 841 4 9,469
UFP INDUSTRIES INC COM Equity N/A N/A 68 6 ,065
UFP TECHNOLOGIES INC Equity N/A N/A 237 3 8,004
UGI CORP Equity N/A N/A 1,478 4 0,229
UGI CORP Equity N/A N/A 604 1 6,101
UNITED PARCEL SERVICE INC CL B Equity N/A N/A 123 1 5,880
UNITED RENTALS INC COM Equity N/A N/A 19
UNITED THERAPEUTICS CORP Equity N/A N/A 302 7
UNITED THERAPEUTICS CORP Equity N/A N/A 105 2 5,477
UNUM GROUP Equity N/A N/A 747 3 1,652
US CELLULAR CORP Equity N/A N/A 1,660 $ 4
VISTRA ENERGY CORP Equity N/A N/A 1,114 2
VISTRA ENERGY CORP Equity N/A N/A 118 5 ,298
VONTIER CORPORATION COM Equity N/A N/A 2,956 9
VONTIER CORPORATION COM Equity N/A N/A 416 1 3,082
WEATHERFORD INTL PLC Equity N/A N/A 1,520
WELLS FARGO CO NEW COM Equity N/A N/A 742 2 8,067
WESTERN ALLIANCE BANCORPORATION Equity N/A N/A 1,434
WESTERN DIGITAL CORP COM Equity N/A N/A 1,824
WESTERN UN CO COM Equity N/A N/A 3,522 4 3,187
WESTLAKE CORPORATION Equity N/A N/A 70 6 ,777
WEX INC COM Equity N/A N/A 575 4
WR BERKLEY CORP Equity N/A N/A 1,353 5 5,678
XCEL ENERGY INC COM Equity N/A N/A 248 1 5,744
ZIONS BANCORPORATION N A COM Equity N/A N/A 979
RBC GAM INTERNATIONAL FUND 103-12 N/A N/A 46,188
RUSSELL 1000 GROWTH INDEX LENDING CCT N/A N/A 2,818
GROSVENOR INSTITUTIONAL PARTNERS LP N/A N/A 5,725
CORBIN ERISA OPPORTUNITY FUND LP N/A N/A –
HAMILTON LANE SEC FEEDER FD, IV-A LP N/A N/A –
HAMILTON LANE SEC FEEDER FD, V-A LP N/A N/A –
HAMILTON LANE SEC FEEDER FD, VI-B LP N/A N/A –
LANDMARK EQUITY PARTNERS XVI OFFSHO LP N/A N/A –
BOYD WATTERSON STATE GOVT FUND, LP LP N/A N/A 4,780
SIERRA FRANKLIN EAFE PLUS EQUITY TRUST LP N/A N/A 155,824
LOOMIS SAYLES HY CONSERVATIVE TRUST LP N/A N/A 261,820

Investment model portfolios

We provide two types of investment model portfolios for OPERATING ENGINEERS LOCAL NO 37 SEVERANCE & ANNUITY FUND participants. You can customize and follow a model portfolio in your plan account.

Types of portfolio strategies

These portfolios are proactively monitored and rebalanced on a monthly basis when needed, ensuring it remains in line with its target allocation.

Let us know (Email us) if you need help to create a custom model portfolio for your plan.