| Fund |
Ticker |
| U.S. Strategic Equity Fund |
RIFAX |
| U.S. Small Cap Equity Fund |
RIFBX |
| Global Real Estate Securities Fund |
RIFSX |
| International Developed Markets Fund |
RIFCX |
| Strategic Bond Fund |
RIFDX |
| Structure And Governance |
|
| ORGANIZATION AND BUSINESS HISTORY. |
|
| SHAREHOLDER MEETINGS. |
|
| CONTROLLING SHAREHOLDERS. |
|
| TRUSTEES AND OFFICERS. |
|
| Operation Of RIF |
|
| SERVICE PROVIDERS. |
|
| ADVISER. |
|
| ADMINISTRATOR. |
|
| PORTFOLIO MANAGERS. |
|
| MONEY MANAGERS. |
|
| CUSTODIAN AND PORTFOLIO ACCOUNTANT. |
|
| DISTRIBUTOR. |
|
| TRANSFER AND DIVIDEND DISBURSING AGENT. |
|
| INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM. |
|
| CODES OF ETHICS. |
|
| SECURITIES LENDING. |
|
| FUND EXPENSES. |
|
| VALUATION OF FUND SHARES. |
|
| VALUATION OF PORTFOLIO SECURITIES. |
|
| PORTFOLIO TURNOVER RATES OF THE FUNDS. |
|
| DISCLOSURE OF PORTFOLIO HOLDINGS. |
|
| PROXY VOTING POLICIES AND PROCEDURES. |
|
| FORUM FOR ADJUDICATION OF DISPUTES. |
|
| BROKERAGE ALLOCATIONS. |
|
| BROKERAGE COMMISSIONS. |
|
| FOREIGN CURRENCY COMMISSIONS. |
|
| Investment Restrictions, Policies And CERTAIN INVESTMENTS |
|
| INVESTMENT RESTRICTIONS. |
|
| INVESTMENT POLICIES. |
|
| INVESTMENT STRATEGIES AND PORTFOLIO INSTRUMENTS. |
|
| Taxes |
|
| Money Manager Information |
|
| credit Rating definitions |
|
| Financial Statements |
|
| Appendix |
72 |
| Name, Age, Address |
Position(s) Held
With Fund and
Length of
Time Served |
Term of Office* |
Principal Occupation(s)
During the Past 5 Years |
No. of
Portfolios
in Russell
Investments Fund
Complex Overseen
by Trustee |
Other Directorships Held by Trustee During the Past 5 Years |
| INTERESTED TRUSTEE |
|
|
|
| |
| Vernon Barback# Born August 24, 1956 1301 Second Avenue,
18th Floor,
Seattle, WA 98101 |
•President and
Chief Executive
Officer since
2022
•Trustee since 2021 |
•Until successor is
chosen and
qualified by
Trustees
•Until successor is duly elected and qualified |
•President and CEO, RIC
and RIF
•Chief Operating Officer, Russell Investments •From 2021 to 2022,
Chief Administrative
Officer, Russell
Investments
•From 2019 to 2021, Vice Chairman, Russell Investments •Until 2020, Director,
NorthStar Topco, LLC
(technology and services
outsourcing company)
•From 2016 to 2019, President, Russell Investments |
40 |
•Until 2020,
Director of
NorthStar Topco,
LLC (technology
and services
outsourcing
company) |
| Name, Age, Address |
Position(s) Held
With Fund and
Length of
Time Served |
Term of Office* |
Principal Occupation(s)
During the Past 5 Years |
No. of Portfolios
in Russell Investments Fund Complex Overseen by Trustee |
Other Directorships Held by Trustee During the Past 5 Years |
| INDEPENDENT TRUSTEES |
|
|
|
| |
| Michelle L. Cahoon Born July 5, 1966 1301 Second Avenue, 18th Floor Seattle, WA 98101 |
•Trustee since
2021
•Chairman of the Audit Committee since 2023 |
•Until successor is
duly elected and
qualified
•Until successor is duly elected and qualified |
•Retired
•From January to March 2019, Consulting Chief Financial Officer, Driehaus Capital Management LLC (investment adviser) •Until December 2018,
Chief Financial Officer
and Treasurer, Driehaus
Capital Management
LLC and Driehaus
Securities LLC
(broker-dealer)
•Until December 2018, Vice President and Treasurer, Driehaus Mutual Funds (investment company) •Trustee and Audit
Committee Chair
Fairway Private Equity
& Venture Capital
Opportunities Fund
(investment company) |
40 |
•Trustee and Audit
Committee Chair
Fairway Private
Equity & Venture
Capital Opportunities Fund (investment company) |
| Name, Age, Address |
Position(s) Held
With Fund and
Length of
Time Served |
Term of Office* |
Principal Occupation(s)
During the Past 5 Years |
No. of Portfolios
in Russell Investments
Fund Complex
Overseen
by Trustee |
Other Directorships Held by Trustee During the Past 5 Years |
| INDEPENDENT TRUSTEES |
|
|
|
| |
| Michael Day
Born October 23, 1957
1301 Second Avenue,
18th Floor
Seattle, WA 98101 |
•Trustee since 2021 |
•Until successor is duly elected and qualified |
•President and Chief Executive Officer, Topa Insurance Group (insurance company) |
40 |
•Director, Topa Insurance Group (insurance company) •Director, Puppet,
Inc. (information
technology
company) •Director, Somos,
Inc. (information
technology
company) •Until 2019,
Director,
Recology (waste
management
company) |
| Julie Dien Ledoux
Born August 17, 1969
1301 Second Avenue,
18th Floor
Seattle, WA 98101 |
•Trustee since 2019 •Vice Chairman
since 2023 |
•Until successor is duly elected and qualified •Approved
Annually |
•Retired |
40 |
•Until 2018, Trustee of Avenue Credit Strategies Fund (investment company) |
| Jeremy May
Born March 30, 1970
1301 Second Avenue,
18th Floor
Seattle, WA 98101 |
•Trustee since 2021 |
•Until successor is duly elected and qualified |
•Founder and Chief Executive Officer, Paralel Technologies LLC (information technology company) •Until March 2021, Chief
Operating Officer of
Magnifi LLC
(information technology
company)
•Until 2019, President ALPS Portfolio Solutions and Executive Vice President of ALPS Advisors and ALPS Holdings (investment company) |
40 |
•Trustee and Chairman of Bow River Capital Evergreen Fund (investment company) •Until November
2022, Trustee and
Chairman of New
Age Alpha ETF
Trust (investment
company) •Until March
2021, Interested
Director of
Reaves Utility
Income Trust
(investment
company) •Until February
2021, Interested
Director of ALPS
Series Trust
(investment
company) •Until 2019,
Interested
Director of
RiverNorth
Opportunities
Fund (investment
company) |
| Jeannie Shanahan
Born February 15, 1964
1301 Second Avenue,
18th Floor
Seattle, WA 98101 |
•Trustee since 2021 •Chairman of the
Regulatory and
Investment
Compliance
Committee since
2023 |
•Until successor is duly elected and qualified •Until successor is
duly elected and
qualified |
•Until 2021, President of Twin Star Consulting, LLC (consulting company) •Until November 2018,
Senior Vice President
and Chief Governance
Officer–CCAR of
Northern Trust Company
(financial services
company) |
40 |
None |
| Raymond P. Tennison, Jr. Born December 21, 1955 1301 Second Avenue, 18th Floor Seattle, WA 98101 |
•Trustee since
2000
•Chairman since 2021 |
•Until successor is
duly elected and
qualified
•Approved Annually |
•Retired |
40 |
None |
| Name, Age, Address |
Position(s) Held
With Fund and
Length of
Time Served |
Term of Office* |
Principal Occupation(s)
During the Past 5 Years |
No. of Portfolios
in Russell Investments
Fund Complex
Overseen
by Trustee |
Other Directorships Held by Trustee During the Past 5 Years |
| INDEPENDENT TRUSTEES |
|
|
|
| |
| Jack R. Thompson Born March 21, 1949 1301 Second Avenue, 18th Floor Seattle, WA 98101 |
•Trustee since
2005
•Chairman of the Nominating and Governance Committee since 2021 |
•Until successor is
duly elected and
qualified
•Until successor is duly elected and qualified |
•Retired |
40 |
None |
| Name, Age, Address |
Position(s) Held
With Fund
and Length
of Time Served |
Term of Office |
Principal Occupation(s)
During the Past 5 Years |
| OFFICERS |
|
| |
| Vernon Barback
Born August 24, 1956
1301 Second Avenue, 18th Floor, Seattle, WA 98101 |
•President and Chief Executive Officer since 2022 |
•Until successor is chosen and qualified by Trustees |
•President and CEO, RIC and RIF •Chief Operating Officer, Russell Investments
•From 2021 to 2022, Chief Administrative Officer, Russell Investments •From 2019 to 2021, Vice Chairman, Russell
Investments •Until 2020, Director, NorthStar Topco, LLC (technology and services outsourcing company) •From 2016 to 2019, President, Russell
Investments |
| Cheryl Wichers
Born December 16, 1966 1301 Second Avenue, 18th Floor Seattle, WA 98101 |
•Chief Compliance Officer since 2005 |
•Until removed by Independent Trustees |
•Chief Compliance Officer, RIC and RIF •Chief Compliance Officer, Russell Investments Fund
Services, LLC (“RIFUS”) |
| Kari Seabrands
Born September 9, 1969
1301 Second Avenue,
18th Floor
Seattle, WA 98101 |
•Treasurer, Chief Accounting Officer and Chief Financial Officer since 2023 |
•Until successor is chosen and qualified by Trustees |
•Senior Director, Head of Global Fund Services, Russell Investments •Treasurer, Chief Accounting Officer and Chief Financial
Officer, RIC and RIF
•Director, Russell Investments Financial Services, LLC (“RIFIS”) and RIFUS |
| Kate El-Hillow
Born August 17, 1974
1301 Second Avenue,
18th Floor
Seattle, WA 98101 |
•Chief Investment Officer since 2021 |
•Until removed by Trustees |
•Chief Investment Officer and President, Russell Investments •Chief Investment Officer, RIC and RIF
•President, RIM •Until 2021, Deputy Chief Investment Officer, Senior
Portfolio Manager, Head of Strategy Selection and Head of
Portfolio Management & Risk, Goldman Sachs |
| Mary Beth Albaneze Born April 25, 1969 1301 Second Avenue, 18th Floor Seattle, WA 98101 |
•Secretary and Chief
Legal Officer since
2010 |
•Until successor is
chosen and qualified
by Trustees |
•Associate General Counsel, Russell
Investments •Secretary, RIM, RIFUS and RIFIS •Secretary and Chief Legal Officer, RIC and
RIF •Secretary, U.S. One, LLC |
| |
AGGREGATE COMPENSATION
FROM RIF |
PENSION OR RETIREMENT
BENEFITS ACCRUED AS PART OF RIF
EXPENSES |
ESTIMATED ANNUAL BENEFITS UPON
RETIREMENT |
TOTAL
COMPENSATION FROM RIF AND RUSSELL
INVESTMENTS FUND COMPLEX PAID TO TRUSTEES |
| INTERESTED TRUSTEE |
|
|
|
|
| Vernon Barback |
N/A |
N/A |
N/A |
N/A |
| INDEPENDENT TRUSTEES |
|
|
|
|
| Kristianne Blake*
|
$22,214 |
$0 |
$0 |
$254,000 |
| Michelle L. Cahoon |
$19,982 |
$0 |
$0 |
$228,500 |
| Michael Day |
$19,982 |
$0 |
$0 |
$228,500 |
| Katherine W. Krysty#
|
$20,632 |
$0 |
$0 |
$236,000 |
| Julie Dien Ledoux |
$21,290 |
$0 |
$0 |
$243,500 |
| Jeremy May |
$19,982 |
$0 |
$0 |
$228,500 |
| Jeannie Shanahan |
$19,982 |
$0 |
$0 |
$228,500 |
| Raymond P. Tennison, Jr. |
$29,624 |
$0 |
$0 |
$339,000 |
| Jack R. Thompson |
$25,445 |
$0 |
$0 |
$291,000 |
| |
DOLLAR RANGE OF EQUITY
SECURITIES IN EACH FUND |
AGGREGATE DOLLAR RANGE OF
EQUITY SECURITIES IN ALL
REGISTERED INVESTMENT
COMPANIES OVERSEEN BY
TRUSTEES IN RUSSELL INVESTMENTS
FUND COMPLEX |
| INTERESTED TRUSTEE |
|
|
| Vernon Barback |
None |
Over $100,000 |
| INDEPENDENT TRUSTEES |
|
|
| Michelle L. Cahoon |
None |
$50,001-$100,000 |
| Michael Day |
None |
None |
| Julie Dien Ledoux |
None |
Over $100,000 |
| Jeremy May |
None |
None |
| Jeannie Shanahan |
None |
None |
| Raymond P. Tennison, Jr. |
None |
Over $100,000 |
| Jack R. Thompson |
None |
Over $100,000 |
| Adviser |
Russell Investment Management, LLC (“RIM”) |
| Administrator and Transfer and Dividend Disbursing Agent |
Russell Investments Fund Services, LLC (“RIFUS”) |
| Money Managers |
Multiple professional discretionary and/or non-discretionary investment management organizations |
| Custodian and Portfolio Accountant
|
State Street Bank and Trust Company
|
| Distributor and Principal Underwriter |
Russell Investments Financial Services, LLC (“RIFIS”) |
| Independent Registered Public Accounting Firm |
PricewaterhouseCoopers LLP |
| Fund |
Asset Level |
Fee |
| U.S. Strategic Equity Fund |
All assets |
0.73% |
| U.S. Small Cap Equity Fund |
All assets |
0.90% |
| Global Real Estate Securities Fund |
All assets |
0.80% |
| International Developed Markets Fund |
All assets |
0.90% |
| Strategic Bond Fund |
All assets |
0.55% |
| |
$ Amount Paid |
Annual Rate (as a % of average daily net assets) | ||||
| Fund |
2022 |
2021 |
2020 |
2022 |
2021 |
2020 |
| U.S. Strategic Equity Fund |
$3,780,650 |
$4,394,541 |
$3,568,673 |
0.73% |
0.73% |
0.73% |
| U.S. Small Cap Equity Fund |
1,978,904 |
2,298,702 |
1,746,702 |
0.90 |
0.90 |
0.90 |
| Global Real Estate Securities Fund |
7,557,465 |
8,420,570 |
6,758,410 |
0.80 |
0.80 |
0.80 |
| International Developed Markets Fund |
2,937,197 |
3,506,993 |
3,115,784 |
0.90 |
0.90 |
0.90 |
| Strategic Bond Fund |
4,994,482 |
5,461,044 |
4,917,812 |
0.55 |
0.55 |
0.55 |
| |
$
Amount Retained |
Annual rate
(as a % of average daily net assets) | ||||
| Fund |
2022 |
2021 |
2020 |
2022 |
2021 |
2020
|
| U.S. Strategic Equity Fund |
$3,421,975 |
$4,020,699 |
$3,188,474 |
0.66% |
0.67% |
0.65% |
| U.S. Small Cap Equity Fund |
1,425,966 |
1,653,669 |
1,151,070 |
0.65 |
0.65 |
0.59 |
| Global Real Estate Securities Fund |
6,155,983 |
6,895,388 |
5,283,409 |
0.65 |
0.66 |
0.63 |
| International Developed Markets Fund |
2,515,865 |
2,977,222 |
2,520,825 |
0.77 |
0.76 |
0.73 |
| Strategic Bond Fund |
4,614,312 |
5,069,013 |
4,483,501 |
0.51 |
0.51 |
0.50 |
| |
$
Amount Paid |
Annual
Rate (as a % of average daily net assets) | ||||
| Fund |
2022 |
2021 |
2020 |
2022 |
2021 |
2020 |
| U.S. Strategic Equity Fund |
$258,949 |
$300,996 |
$244,429 |
0.05% |
0.05% |
0.05% |
| U.S. Small Cap Equity Fund |
109,939 |
127,706 |
97,039 |
0.05 |
0.05 |
0.05 |
| Global Real Estate Securities Fund |
472,341 |
526,286 |
422,401 |
0.05 |
0.05 |
0.05 |
| International Developed Markets Fund |
163,178 |
194,833 |
173,099 |
0.05 |
0.05 |
0.05 |
| Strategic Bond Fund |
454,044 |
496,458 |
447,074 |
0.05 |
0.05 |
0.05 |
| U.S. Strategic Equity Fund |
Russell 1000® Index Morningstar Insurance Fund Large Blend |
| U.S. Small Cap Equity Fund |
Russell 2000® Index Morningstar Insurance Fund Small Blend |
| Global Real Estate Securities Fund |
FTSE EPRA/NAREIT Developed Real Estate Index (net) |
| International Developed Markets Fund |
MSCI World ex USA Index (net) Morningstar Insurance Fund Foreign Large Blend |
| Strategic Bond Fund |
Bloomberg U.S. Aggregate Bond Index Morningstar Insurance Fund Intermediate Term Bond |
| RIM Managers Of The Funds |
Dollar Range Of Equity Securities
In The Funds Managed By The RIM Manager | |
| Jon Eggins |
None |
International Developed Markets Fund |
| Bruce A. Eidelson |
$10,001-$50,000 |
Global Real Estate Securities Fund |
| Nick Haupt |
None |
U.S. Strategic Equity Fund |
| Albert Jalso |
None |
Strategic Bond Fund |
| Jordan McCall |
None |
International Developed Markets Fund |
| Patrick Nikodem |
None |
Global Real Estate Securities Fund |
| Gregory Nott |
None |
Strategic Bond Fund |
| Megan Roach |
None |
U.S. Strategic Equity Fund |
| None |
U.S. Small Cap Equity Fund | |
| RIM Manager |
Number of Registered
Investment Companies |
Assets Under Management (in
millions) |
Number of Pooled
Investment Vehicles |
Assets Under Management (in
millions) |
Other Types of Accounts |
Assets Under Management (in
millions) |
Asset
Total (in millions) |
| Jon Eggins |
3 |
$3,061.1 |
5 |
$3,159.9 |
2 |
$2,993.6 |
$9,214.6 |
| Bruce A. Eidelson |
1 |
$460.9 |
6 |
$2,935.1 |
-- |
-- |
$3,396.0 |
| Nick Haupt |
7 |
$12,033.1 |
3 |
$583.2 |
-- |
-- |
$12,616.3 |
| Albert Jalso |
6 |
$7,964.9 |
8 |
$7,482.4 |
3 |
$1,508.1 |
$16,955.4 |
| Jordan McCall |
4 |
$5,989.5 |
6 |
$1,684.1 |
-- |
-- |
$7,673.6 |
| Patrick Nikodem |
3 |
$1,477.2 |
10 |
$3,426.9 |
-- |
-- |
$4,904.1 |
| Gregory Nott |
5 |
$4,556.2 |
26 |
$3,635.2 |
-- |
-- |
$8,191.4 |
| Megan Roach |
6 |
$11,484.3 |
9 |
$1,788.3 |
4 |
$1,147.1 |
$14,419.7 |
| |
$
Amount Paid |
Annual rate (as a % of average daily net assets) | ||||
| Fund |
2022 |
2021 |
2020 |
2022 |
2021 |
2020
|
| U.S. Strategic Equity Fund |
$358,675 |
$373,842 |
$380,199 |
0.07% |
0.06% |
0.08% |
| U.S. Small Cap Equity Fund |
552,938 |
645,033 |
595,632 |
0.25 |
0.25 |
0.31 |
| Global Real Estate Securities Fund |
1,401,482 |
1,525,182 |
1,475,001 |
0.15 |
0.14 |
0.17 |
| International Developed Markets Fund |
421,332 |
529,771 |
594,959 |
0.13 |
0.14 |
0.17 |
| Strategic Bond Fund |
380,170 |
392,031 |
434,311 |
0.04 |
0.04 |
0.05 |
| Fund |
Gross
Income1 |
Revenue
Split2 |
Cash Collateral
Management
Fees3 |
Rebates to
Borrowers |
Total Costs
of Securities
Lending Activities |
Net Income
from Securities
Lending Activities |
| U.S. Strategic Equity Fund |
$20,107 |
$610 |
$1,305 |
$12,698 |
$14,613 |
$5,495 |
| U.S. Small Cap Equity Fund |
130,830 |
7,582 |
5,260 |
49,682 |
62,524 |
68,306 |
| International Developed Markets Fund |
46,499 |
3,269 |
2,080 |
11,719 |
17,068 |
29,431 |
| Global Real Estate Securities Fund |
50,725 |
2,499 |
4,865 |
20,867 |
28,230 |
22,495 |
| Fund |
Fiscal
Year Ended December 31, 2022 |
Fiscal Year Ended December 31, 2021 |
| U.S. Strategic Equity Fund |
100% |
33% |
| U.S. Small Cap Equity Fund |
101 |
114 |
| Global Real Estate Securities Fund |
68 |
68 |
| International Developed Markets Fund |
33 |
32 |
| Strategic Bond Fund |
63 |
93 |
| Entity Receiving Portfolio Holdings |
Disclosure Purpose |
| Bloomberg AIM |
Fund positioning/holdings services |
| Bloomberg Portfolio |
Holdings analysis |
| Axioma |
Holdings/portfolio analysis, model optimization |
| Advent Software, Inc. |
Recon, accounting services |
| Acuity Knowledge Partners |
Fund reporting services |
| Broadridge |
Fund marketing report production |
| Confluence Technologies, Inc. (CTI) |
Fund performance calculator, financial reporting software
provider |
| Dynamo Software |
Fair value data analysis for Wellington Management
Company LLP |
| Electra Information Systems |
Sub-advisor middle office services |
| Financial Recovery Technologies, Inc. |
Securities litigation monitoring and class action claims
recovery |
| Glass Lewis & Co., LLC |
Proxy voting services |
| Goldman Sachs |
Securities lending agent |
| Hexaware |
Data operations support services |
| IHS Markit |
Enterprise data management |
| Lipper Analytical Services |
Fund rating services |
| Morningstar Inc. |
Fund rating services |
| Planetrics |
Valuations under different climate risk scenarios |
| PricewaterhouseCoopers LLP |
Audit services |
| Risk Metrics |
Risk management services |
| SS&C |
Middle office provider; benchmark performance, holdings,
performance, reconciliation |
| State Street (Boston) |
Custody, fund accounting, pricing/valuation, fund
compliance testing, liquidity risk management |
| State Street (Sacramento) |
Pricing services |
| |
2022 |
2021 |
2020 |
| U.S. Strategic Equity Fund |
$167,757 |
$80,956 |
$115,825 |
| U.S. Small Cap Equity Fund |
242,289 |
310,788 |
339,401 |
| Global Real Estate Securities Fund |
494,913 |
561,289 |
726,634 |
| International Developed Markets Fund |
147,192 |
199,426 |
253,403 |
| Strategic Bond Fund |
108,030 |
105,892 |
113,590 |
| Fund Name |
RIM/Money Manager |
Affiliated Broker |
2022
Total
(USD) |
Percent
of Fund's
Commission |
Percent of Fund's Principal |
| U.S. Strategic Equity Fund |
|
|
| ||
| |
RIM |
|
|
| |
| |
|
Russell Investments Implementation Services, LLC |
27,751 |
16.542% |
11.129% |
| Total: |
27,751 |
16.542% |
11.129% | ||
| U.S. Small Cap Equity Fund |
|
|
| ||
| |
RIM |
|
|
| |
| |
|
Russell Investments Implementation Services, LLC |
39,787 |
16.421% |
7.434% |
| Total: |
39,787 |
16.421% |
7.434% | ||
| Global Real Estate Securities Fund |
|
|
| ||
| |
RIM |
|
|
| |
| |
|
Russell Investments Implementation Services, LLC |
78,670 |
15.896% |
8.645% |
| Total: |
78,670 |
15.896% |
8.645% | ||
| International Developed Markets Fund |
|
|
| ||
| |
RIM |
|
|
| |
| |
|
Russell Investments Implementation Services, LLC |
17,485 |
11.879% |
3.305% |
| Total: |
17,485 |
11.879% |
3.305% | ||
| Fund Name |
RIM/Money Manager |
Affiliated Broker |
2021
Total
(USD) |
Percent
of Fund's
Commission |
Percent of Fund's Principal |
| U.S. Strategic Equity Fund |
|
|
| ||
| |
RIM |
|
|
| |
| |
|
Russell Investments Implementation Services, LLC |
14,055 |
17.361% |
9.175% |
| Total: |
14,055 |
17.361% |
9.175% | ||
| U.S. Small Cap Equity Fund |
|
|
| ||
| |
RIM |
|
|
| |
| |
|
Russell Investments Implementation Services, LLC |
51,516 |
16.576% |
8.921% |
| Total: |
51,516 |
16.576% |
8.921% | ||
| Global Real Estate Securities Fund |
|
|
| ||
| |
RIM |
|
|
| |
| |
|
Russell Investments Implementation Services, LLC |
83,060 |
14.798% |
7.962% |
| Total: |
83,060 |
14.798% |
7.962% | ||
| International Developed Markets Fund |
|
|
| ||
| |
RIM |
|
|
| |
| |
|
Russell Investments Implementation Services, LLC |
27,648 |
13.864% |
3.745% |
| Total: |
27,648 |
13.864% |
3.745% | ||
| Fund Name |
RIM/Money Manager |
Affiliated Broker |
2020
Total
(USD) |
Percent
of Fund's
Commission |
Percent of Fund's Principal |
| U.S. Strategic Equity Fund |
|
|
| ||
| |
RIM |
|
|
| |
| |
|
Russell Investments Implementation Services, LLC |
20,275 |
17.505% |
7.516% |
| Total: |
20,275 |
17.505% |
7.516% | ||
| U.S. Small Cap Equity Fund |
|
|
| ||
| |
RIM |
|
|
| |
| |
|
Russell Investments Implementation Services, LLC |
56,746 |
16.719% |
10.308% |
| Total: |
56,746 |
16.719% |
10.308% | ||
| Fund Name |
RIM/Money Manager |
Affiliated Broker |
2020
Total
(USD) |
Percent
of Fund's
Commission |
Percent of Fund's Principal |
| Global Real Estate Securities Fund |
|
|
| ||
| |
RIM |
|
|
| |
| |
|
Russell Investments Implementation Services, LLC |
111,508 |
15.346% |
7.739% |
| Total: |
111,508 |
15.346% |
7.739% | ||
| International Developed Markets Fund |
|
|
| ||
| |
RIM |
|
|
| |
| |
|
Russell Investments Implementation Services, LLC |
33,054 |
13.044% |
3.842% |
| Total: |
33,054 |
13.044% |
3.842% | ||
| Broker |
U.S. Strategic
Equity Fund |
U.S. Small Cap
Equity Fund |
Global
Real Estate
Securities Fund |
International
Developed
Markets Fund |
Strategic Bond Fund |
| Citigroup Inc. |
3,303,147 |
|
|
|
3,804,747 |
| Credit Suisse First Boston Corp. |
|
|
|
208,969 |
8,610,614 |
| Goldman, Sachs & Co. |
1,289,049 |
|
|
|
2,452,265 |
| HSBC Securities, Inc. |
|
|
|
1,488,801 |
2,082,370 |
| J.P. Morgan Securities, Inc. |
4,133,901 |
|
|
|
19,813,499 |
| Jefferies Group, Inc. |
|
|
|
|
731,091 |
| Merrill Lynch, Pierce, Fenner &
Smith, Inc. |
2,313,796 |
|
|
|
4,003,926 |
| Mizuho Securities USA Inc. |
|
|
|
110,243 |
|
| Morgan Stanley & Co.
Incorporated |
2,365,937 |
|
|
|
2,357,445 |
| Nomura Bank |
|
|
3,997,708 |
189,082 |
812,109 |
| Pershing LLC |
507,821 |
|
|
|
82,927 |
| Royal Bank of Canada |
|
|
|
1,664,960 |
|
| UBS Securities LLC |
|
|
|
5,077,534 |
561,541 |
| |
2022 |
2021 |
2020 |
| U.S. Small Cap Equity Fund |
$99 |
$261 |
$0 |
| Global Real Estate Securities Fund |
36,101 |
54,492 |
55,220 |
| International Developed Markets Fund |
14,940 |
22,738 |
25,634 |
| |
No Expiration |
No Expiration |
|
| Funds |
Short Term |
Long Term |
TOTALS |
| U.S. Small Cap Equity
Fund |
$2,161,233 |
$0 |
$2,161,233 |
| Global Real Estate
Securities Fund |
34,563,839 |
0 |
34,563,839 |
| Strategic Bond Fund |
34,525,994 |
43,104,999 |
77,630,993 |
| GLOBAL REAL ESTATE SECURITIES FUND - NORTHWESTERN
MUTUAL LIFE INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE
MILWAUKEE WI 53202-4703, 69.52% |
|
| GLOBAL REAL ESTATE SECURITIES FUND - NORTHWESTERN
MUTUAL LIFE INSURANCE COMPANY VARIABLE LIFE ACCOUNT ATTN MUTUAL FUND ACCOUNTING N13NW 720 E
WISCONSIN AVE MILWAUKEE WI 53202-4703, 17.91% |
|
| GLOBAL REAL ESTATE SECURITIES FUND - NORTHWESTERN
MUTUAL LIFE INSURANCE COMPANY VARIABLE LIFE ACCOUNT II 720 E WISCONSIN AVE MILWAUKEE WI
53202-4703, 5.35% |
|
| GLOBAL REAL ESTATE SECURITIES FUND - NORTHWESTERN
MUTUAL LIFE INSURANCE COMPANY ACCOUNT A ATTN MUTUAL FUND ACCOUNTING N13 NW 720 E WISCONSIN AVE
MILWAUKEE WI 53202-4703, 5.27% |
|
| INTERNATIONAL DEVELOPED MARKETS FUND - NORTHWESTERN
MUTUAL LIFE INSURANCE COMPANY VARIABLE LIFE ACCOUNT ATTN MUTUAL FUND ACCOUNTING N13NW 720 E
WISCONSIN AVE MILWAUKEE WI 53202-4703, 40.79% |
|
| INTERNATIONAL DEVELOPED MARKETS FUND - NORTHWESTERN
MUTUAL LIFE INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE
MILWAUKEE WI 53202-4703, 40.43% |
|
| INTERNATIONAL DEVELOPED MARKETS FUND - NORTHWESTERN
MUTUAL LIFE INSURANCE COMPANY ACCOUNT A ATTN MUTUAL FUND ACCOUNTING N13 NW 720 E WISCONSIN AVE
MILWAUKEE WI 53202-4703, 5.50% |
|
| INTERNATIONAL DEVELOPED MARKETS FUND - NORTHWESTERN
MUTUAL LIFE INSURANCE COMPANY VARIABLE LIFE ACCOUNT II 720 E WISCONSIN AVE MILWAUKEE WI
53202-4703, 5.07% |
|
| STRATEGIC BOND FUND - NORTHWESTERN MUTUAL LIFE
INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE WI
53202-4703, 67.85% |
|
| STRATEGIC BOND FUND - NORTHWESTERN MUTUAL LIFE
INSURANCE COMPANY VARIABLE LIFE ACCOUNT ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE
MILWAUKEE WI 53202-4703, 9.29% |
|
| STRATEGIC BOND FUND - NORTHWESTERN MUTUAL LIFE
INSURANCE COMPANY ACCOUNT A ATTN MUTUAL FUND ACCOUNTING N13 NW 720 E WISCONSIN AVE MILWAUKEE WI
53202-4703, 7.78% |
|
| STRATEGIC BOND FUND - RIF BALANCED STRATEGY FUND
RUSSELL INVESTMENTS - INV DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA
98101-3814, 6.98% |
|
| U.S. SMALL CAP EQUITY FUND - NORTHWESTERN MUTUAL
LIFE INSURANCE COMPANY VARIABLE LIFE ACCOUNT ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN
AVE MILWAUKEE WI 53202-4703, 54.82% |
|
| U.S. SMALL CAP EQUITY FUND - NORTHWESTERN MUTUAL
LIFE INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE
WI 53202-4703, 28.47% |
|
| U.S. STRATEGIC EQUITY FUND - NORTHWESTERN MUTUAL
LIFE INSURANCE COMPANY VARIABLE LIFE ACCOUNT ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN
AVE MILWAUKEE WI 53202-4703, 53.11% |
|
| U.S. STRATEGIC EQUITY FUND - NORTHWESTERN MUTUAL
LIFE INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE
WI 53202-4703, 26.03% |
|
| U.S. STRATEGIC EQUITY FUND - RIF BALANCED STRATEGY
FUND RUSSELL INVESTMENTS - INV DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18
SEATTLE WA 98101-3814, 6.05% |
|
| U.S. STRATEGIC EQUITY FUND - RIF GROWTH STRATEGY
FUND RUSSELL INVESTMENTS - INV DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18
SEATTLE WA 98101-3814, 5.74% |
|
| GLOBAL REAL ESTATE SECURITIES FUND - NORTHWESTERN
MUTUAL LIFE INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE
MILWAUKEE WI 53202-4703, 69.52% |
|
| INTERNATIONAL DEVELOPED MARKETS FUND - NORTHWESTERN
MUTUAL LIFE INSURANCE COMPANY VARIABLE LIFE ACCOUNT ATTN MUTUAL FUND ACCOUNTING N13NW 720 E
WISCONSIN AVE MILWAUKEE WI 53202-4703, 40.79% |
|
| INTERNATIONAL DEVELOPED MARKETS FUND - NORTHWESTERN
MUTUAL LIFE INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE
MILWAUKEE WI 53202-4703, 40.43% |
|
| STRATEGIC BOND FUND - NORTHWESTERN MUTUAL LIFE
INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE WI
53202-4703, 67.85% |
|
| U.S. SMALL CAP EQUITY FUND - NORTHWESTERN MUTUAL
LIFE INSURANCE COMPANY VARIABLE LIFE ACCOUNT ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN
AVE MILWAUKEE WI 53202-4703, 54.82% |
|
| U.S. SMALL CAP EQUITY FUND - NORTHWESTERN MUTUAL
LIFE INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE
WI 53202-4703, 28.47% |
|
| U.S. STRATEGIC EQUITY FUND - NORTHWESTERN MUTUAL
LIFE INSURANCE COMPANY VARIABLE LIFE ACCOUNT ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN
AVE MILWAUKEE WI 53202-4703, 53.11% |
|
| U.S. STRATEGIC EQUITY FUND - NORTHWESTERN MUTUAL
LIFE INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE
WI 53202-4703, 26.03% |
|
| FUND |
TICKER |
| Moderate Strategy |
RIFGX |
| Balanced Strategy |
RIFHX |
| Growth Strategy |
RIFIX |
| Equity Growth Strategy |
RIFJX |
| |
|
| Fund |
Fund |
| RIF U.S. Strategic Equity Fund |
RIC Opportunistic Credit Fund2
|
| RIF U.S. Small Cap Equity Fund |
RIC Investment Grade Bond Fund |
| RIF Global Real Estate Securities Fund |
RIC Short Duration Bond Fund |
| RIF International Developed Markets Fund |
RIC Global Infrastructure Fund |
| RIF Strategic Bond Fund |
RIC Multi-Strategy Income Fund |
| RIC Sustainable Equity Fund1
|
RIC Multi-Asset Growth Strategy Fund |
| RIC Global Equity Fund |
RIC Long Duration Bond Fund3
|
| RIC Emerging Markets Fund |
|
| Structure And Governance |
|
| ORGANIZATION AND BUSINESS HISTORY. |
|
| SHAREHOLDER MEETINGS. |
|
| CONTROLLING SHAREHOLDERS. |
|
| TRUSTEES AND OFFICERS. |
|
| Operation Of RIF |
|
| SERVICE PROVIDERS. |
|
| ADVISER. |
|
| ADMINISTRATOR. |
|
| PORTFOLIO MANAGERS. |
|
| MONEY MANAGERS. |
|
| CUSTODIAN AND PORTFOLIO ACCOUNTANT. |
|
| DISTRIBUTOR. |
|
| TRANSFER AND DIVIDEND DISBURSING AGENT. |
|
| INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM. |
|
| CODES OF ETHICS. |
|
| SECURITIES LENDING. |
|
| UNDERLYING FUND EXPENSES. |
|
| FUND OPERATING EXPENSES. |
|
| VALUATION OF FUND SHARES. |
|
| VALUATION OF PORTFOLIO SECURITIES. |
|
| PORTFOLIO TURNOVER RATES OF THE FUNDS. |
|
| DISCLOSURE OF PORTFOLIO HOLDINGS. |
|
| PROXY VOTING POLICIES AND PROCEDURES. |
|
| FORUM FOR ADJUDICATION OF DISPUTES. |
|
| BROKERAGE ALLOCATIONS. |
|
| BROKERAGE COMMISSIONS. |
|
| Investment Restrictions, Policies And CERTAIN INVESTMENTS |
|
| INVESTMENT RESTRICTIONS. |
|
| INVESTMENT POLICIES. |
|
| INVESTMENT STRATEGIES AND PORTFOLIO INSTRUMENTS. |
|
| Taxes |
|
| credit Rating definitions |
|
| Financial Statements |
|
| Appendix |
75 |
| Name, Age, Address |
Position(s) Held
With Fund and
Length of
Time Served |
Term of Office* |
Principal Occupation(s)
During the Past 5 Years |
No. of
Portfolios
in Russell
Investments Fund
Complex Overseen
by Trustee |
Other Directorships Held by Trustee During the Past 5 Years |
| INTERESTED TRUSTEE |
|
|
|
| |
| Vernon Barback# Born August 24, 1956 1301 Second Avenue,
18th Floor,
Seattle, WA 98101 |
•President and
Chief Executive
Officer since
2022
•Trustee since 2021 |
•Until successor is
chosen and
qualified by
Trustees
•Until successor is duly elected and qualified |
•President and CEO, RIC
and RIF
•Chief Operating Officer, Russell Investments •From 2021 to 2022,
Chief Administrative
Officer, Russell
Investments
•From 2019 to 2021, Vice Chairman, Russell Investments •Until 2020, Director,
NorthStar Topco, LLC
(technology and services
outsourcing company)
•From 2016 to 2019, President, Russell Investments |
40 |
•Until 2020,
Director of
NorthStar Topco,
LLC (technology
and services
outsourcing
company) |
| Name, Age, Address |
Position(s) Held
With Fund and
Length of
Time Served |
Term of Office* |
Principal Occupation(s)
During the Past 5 Years |
No. of Portfolios
in Russell Investments Fund Complex Overseen by Trustee |
Other Directorships Held by Trustee During the Past 5 Years |
| INDEPENDENT TRUSTEES |
|
|
|
| |
| Michelle L. Cahoon
Born July 5, 1966
1301 Second Avenue,
18th Floor
Seattle, WA 98101 |
•Trustee since 2021 •Chairman of the
Audit
Committee since
2023 |
•Until successor is duly elected and qualified •Until successor is
duly elected and
qualified |
•Retired •From January to March
2019, Consulting Chief
Financial Officer,
Driehaus Capital
Management LLC
(investment adviser)
•Until December 2018, Chief Financial Officer and Treasurer, Driehaus Capital Management LLC and Driehaus Securities LLC (broker-dealer) •Until December 2018,
Vice President and
Treasurer, Driehaus
Mutual Funds
(investment company)
•Trustee and Audit Committee Chair Fairway Private Equity & Venture Capital Opportunities Fund (investment company) |
40 |
•Trustee and Audit Committee Chair Fairway Private Equity & Venture Capital Opportunities Fund (investment company) |
| Michael Day
Born October 23, 1957
1301 Second Avenue,
18th Floor
Seattle, WA 98101 |
•Trustee since 2021 |
•Until successor is duly elected and qualified |
•President and Chief Executive Officer, Topa Insurance Group (insurance company) |
40 |
•Director, Topa Insurance Group (insurance company) •Director, Puppet,
Inc. (information
technology
company) •Director, Somos,
Inc. (information
technology
company) •Until 2019,
Director,
Recology (waste
management
company) |
| Julie Dien Ledoux Born August 17, 1969 1301 Second Avenue, 18th Floor Seattle, WA 98101 |
•Trustee since
2019
•Vice Chairman since 2023 |
•Until successor is
duly elected and
qualified
•Approved Annually |
•Retired
|
40 |
•Until 2018,
Trustee of
Avenue Credit
Strategies Fund
(investment
company) |
| Name, Age, Address |
Position(s) Held
With Fund and
Length of
Time Served |
Term of Office* |
Principal Occupation(s)
During the Past 5 Years |
No. of Portfolios
in Russell Investments
Fund Complex
Overseen
by Trustee |
Other Directorships Held by Trustee During the Past 5 Years |
| INDEPENDENT TRUSTEES |
|
|
|
| |
| Jeremy May
Born March 30, 1970
1301 Second Avenue,
18th Floor
Seattle, WA 98101 |
•Trustee since 2021 |
•Until successor is duly elected and qualified |
•Founder and Chief Executive Officer, Paralel Technologies LLC (information technology company) •Until March 2021, Chief
Operating Officer of
Magnifi LLC
(information technology
company)
•Until 2019, President ALPS Portfolio Solutions and Executive Vice President of ALPS Advisors and ALPS Holdings (investment company) |
40 |
•Trustee and Chairman of Bow River Capital Evergreen Fund (investment company) •Until November
2022, Trustee and
Chairman of New
Age Alpha ETF
Trust (investment
company) •Until March
2021, Interested
Director of
Reaves Utility
Income Trust
(investment
company) •Until February
2021, Interested
Director of ALPS
Series Trust
(investment
company) •Until 2019,
Interested
Director of
RiverNorth
Opportunities
Fund (investment
company) |
| Jeannie Shanahan
Born February 15, 1964
1301 Second Avenue,
18th Floor
Seattle, WA 98101 |
•Trustee since 2021 •Chairman of the
Regulatory and
Investment
Compliance
Committee since
2023 |
•Until successor is duly elected and qualified •Until successor is
duly elected and
qualified |
•Until 2021, President of Twin Star Consulting, LLC (consulting company) •Until November 2018,
Senior Vice President
and Chief Governance
Officer–CCAR of
Northern Trust Company
(financial services
company) |
40 |
None |
| Raymond P. Tennison, Jr.
Born December 21, 1955
1301 Second Avenue,
18th Floor
Seattle, WA 98101 |
•Trustee since 2000 •Chairman
since 2021 |
•Until successor is duly elected and qualified •Approved
Annually |
•Retired |
40 |
None |
| Jack R. Thompson Born March 21, 1949 1301 Second Avenue, 18th Floor Seattle, WA 98101 |
•Trustee since
2005
•Chairman of the Nominating and Governance Committee since 2021 |
•Until successor is
duly elected and
qualified
•Until successor is duly elected and qualified |
•Retired |
40 |
None |
| Name, Age, Address |
Position(s) Held
With Fund
and Length
of Time Served |
Term of Office |
Principal Occupation(s)
During the Past 5 Years |
| OFFICERS |
|
| |
| Vernon Barback
Born August 24, 1956
1301 Second Avenue, 18th Floor, Seattle, WA 98101 |
•President and Chief Executive Officer since 2022 |
•Until successor is chosen and qualified by Trustees |
•President and CEO, RIC and RIF •Chief Operating Officer, Russell Investments
•From 2021 to 2022, Chief Administrative Officer, Russell Investments •From 2019 to 2021, Vice Chairman, Russell
Investments •Until 2020, Director, NorthStar Topco, LLC (technology and services outsourcing company) •From 2016 to 2019, President, Russell
Investments |
| Cheryl Wichers
Born December 16, 1966 1301 Second Avenue, 18th Floor Seattle, WA 98101 |
•Chief Compliance Officer since 2005 |
•Until removed by Independent Trustees |
•Chief Compliance Officer, RIC and RIF •Chief Compliance Officer, Russell Investments Fund
Services, LLC (“RIFUS”) |
| Kari Seabrands
Born September 9, 1969
1301 Second Avenue,
18th Floor
Seattle, WA 98101 |
•Treasurer, Chief Accounting Officer and Chief Financial Officer since 2023 |
•Until successor is chosen and qualified by Trustees |
•Senior Director, Head of Global Fund Services, Russell Investments •Treasurer, Chief Accounting Officer and Chief Financial
Officer, RIC and RIF
•Director, Russell Investments Financial Services, LLC (“RIFIS”) and RIFUS |
| Kate El-Hillow
Born August 17, 1974
1301 Second Avenue,
18th Floor
Seattle, WA 98101 |
•Chief Investment Officer since 2021 |
•Until removed by Trustees |
•Chief Investment Officer and President, Russell Investments •Chief Investment Officer, RIC and RIF
•President, RIM •Until 2021, Deputy Chief Investment Officer, Senior
Portfolio Manager, Head of Strategy Selection and Head of
Portfolio Management & Risk, Goldman Sachs |
| Mary Beth Albaneze Born April 25, 1969 1301 Second Avenue, 18th Floor Seattle, WA 98101 |
•Secretary and Chief
Legal Officer since
2010 |
•Until successor is
chosen and qualified
by Trustees |
•Associate General Counsel, Russell
Investments •Secretary, RIM, RIFUS and RIFIS •Secretary and Chief Legal Officer, RIC and
RIF •Secretary, U.S. One, LLC |
| |
AGGREGATE COMPENSATION
FROM RIF |
PENSION OR RETIREMENT
BENEFITS ACCRUED AS PART OF RIF
EXPENSES |
ESTIMATED ANNUAL BENEFITS UPON
RETIREMENT |
TOTAL
COMPENSATION FROM RIF AND RUSSELL
INVESTMENTS FUND COMPLEX PAID TO TRUSTEES |
| INTERESTED TRUSTEE |
|
|
|
|
| Vernon Barback |
N/A |
N/A |
N/A |
N/A |
| INDEPENDENT TRUSTEES |
|
|
|
|
| Kristianne Blake*
|
$22,214 |
$0 |
$0 |
$254,000 |
| Michelle L. Cahoon |
$19,982 |
$0 |
$0 |
$228,500 |
| Michael Day |
$19,982 |
$0 |
$0 |
$228,500 |
| Katherine W. Krysty#
|
$20,632 |
$0 |
$0 |
$236,000 |
| Julie Dien Ledoux |
$21,290 |
$0 |
$0 |
$243,500 |
| Jeremy May |
$19,982 |
$0 |
$0 |
$228,500 |
| Jeannie Shanahan |
$19,982 |
$0 |
$0 |
$228,500 |
| Raymond P. Tennison, Jr. |
$29,624 |
$0 |
$0 |
$339,000 |
| Jack R. Thompson |
$25,445 |
$0 |
$0 |
$291,000 |
| |
DOLLAR RANGE OF EQUITY
SECURITIES IN EACH FUND |
AGGREGATE DOLLAR RANGE OF
EQUITY SECURITIES IN ALL
REGISTERED INVESTMENT
COMPANIES OVERSEEN BY
TRUSTEES IN RUSSELL INVESTMENTS
FUND COMPLEX |
| INTERESTED TRUSTEE |
|
|
| Vernon Barback |
None |
Over $100,000 |
| INDEPENDENT TRUSTEES |
|
|
| Michelle L. Cahoon |
None |
$50,001-$100,000 |
| Michael Day |
None |
None |
| Julie Dien Ledoux |
None |
Over $100,000 |
| Jeremy May |
None |
None |
| Jeannie Shanahan |
None |
None |
| Raymond P. Tennison, Jr. |
None |
Over $100,000 |
| Jack R. Thompson |
None |
Over $100,000 |
| Adviser |
Russell Investment Management, LLC (“RIM”) |
| Administrator and Transfer and Dividend Disbursing Agent |
Russell Investments Fund Services, LLC (“RIFUS”) |
| Money Managers for the Underlying Funds |
Multiple professional discretionary and/or non-discretionary investment management organizations |
| Custodian and Portfolio Accountant
|
State Street Bank and Trust Company
|
| Distributor and Principal Underwriter |
Russell Investments Financial Services, LLC (“RIFIS”) |
| Independent Registered Public Accounting Firm |
PricewaterhouseCoopers LLP |
| Fund |
Asset Level |
Fee |
| Moderate Strategy |
All assets |
0.20% |
| Balanced Strategy |
All assets |
0.20% |
| Growth Strategy |
All assets |
0.20% |
| Equity Growth Strategy |
All assets |
0.20% |
| Funds |
2022 |
2021 |
2020 |
| Moderate Strategy Fund |
$159,575 |
$192,114 |
$180,988 |
| Balanced Strategy Fund |
441,889 |
517,690 |
464,745 |
| Growth Strategy Fund |
351,069 |
415,741 |
364,062 |
| Equity Growth Strategy Fund |
89,058 |
98,733 |
83,649 |
| Funds |
2022 |
2021 |
2020 |
| Moderate Strategy Fund |
$33,910 |
$40,824 |
$38,460 |
| Balanced Strategy Fund |
93,901 |
110,009 |
98,758 |
| Growth Strategy Fund |
74,602 |
88,345 |
77,363 |
| Equity Growth Strategy Fund |
18,925 |
20,981 |
17,775 |
| Moderate Strategy Fund |
RIF Moderate Strategy Composite Index - Russell 3000 Index 28%, MSCI ACWI ex US Index 12%, FTSE EPRA NAREIT Developed Index 3%, Bloomberg U.S. Universal Bond Index 55%, Bloomberg U.S. Treasury Bill 1 – 3 Month Index 2%. |
| Balanced Strategy Fund |
RIF Balanced Strategy Composite Index - Russell 3000 Index 40.5%, MSCI ACWI ex US Index 18.5%, FTSE EPRA NAREIT Developed Index 4%, Bloomberg U.S. Universal Bond Index 35%, Bloomberg U.S. Treasury Bill 1 – 3 Month Index 2%. |
| Growth Strategy Fund |
RIF Growth Strategy Composite Index - Russell 3000 Index 52%, MSCI ACWI ex US Index 25%, FTSE EPRA NAREIT Developed Index 5%, Bloomberg U.S. Universal Bond Index 16%, Bloomberg U.S. Treasury Bill 1 – 3 Month Index 2%. |
| Equity Growth Strategy Fund |
RIF Equity Growth Strategy Composite Index - Russell 3000 Index 57%, ACWI ex US Index 29.5%, FTSE EPRA NAREIT Developed Index 5.5%, Bloomberg U.S. Universal Bond Index 6%, Bloomberg U.S. Treasury Bill 1 – 3 Month Index 2%. |
| RIM Managers Of The Funds |
Dollar Range Of Equity Securities
In The Funds Managed By The RIM Manager | |
| Samuel Pittman* |
None |
Moderate Strategy Fund |
| None |
Balanced Strategy Fund | |
| None |
Growth Strategy Fund | |
| None |
Equity Growth Strategy Fund | |
| Amneet Singh* |
None |
Moderate Strategy Fund |
| None |
Balanced Strategy Fund | |
| None |
Growth Strategy Fund | |
| None |
Equity Growth Strategy Fund | |
| RIM Manager |
Number of Registered
Investment Companies |
Assets Under Management (in
millions) |
Number of Pooled
Investment Vehicles |
Assets Under Management (in
millions) |
Other Types of Accounts |
Assets Under Management (in
millions) |
Asset
Total (in millions) |
| Samuel Pittman* |
None |
$0 |
None |
$0 |
None |
$0 |
$0 |
| Amneet Singh* |
None |
$0 |
None |
$0 |
None |
$0 |
$0 |
| Funds |
2022 |
2021 |
| Moderate Strategy Fund |
6% |
53% |
| Balanced Strategy Fund |
6 |
47 |
| Growth Strategy Fund |
5 |
53 |
| Equity Growth Strategy Fund |
9 |
48 |
| Entity Receiving Portfolio Holdings |
Disclosure Purpose |
| Bloomberg AIM |
Fund positioning/holdings services |
| Bloomberg Portfolio |
Holdings analysis |
| Axioma |
Holdings/portfolio analysis, model optimization |
| Advent Software, Inc. |
Recon, accounting services |
| Acuity Knowledge Partners |
Fund reporting services |
| Broadridge |
Fund marketing report production |
| Confluence Technologies, Inc. (CTI) |
Fund performance calculator, financial reporting software
provider |
| Dynamo Software |
Fair value data analysis for Wellington Management
Company LLP |
| Electra Information Systems |
Sub-advisor middle office services |
| Financial Recovery Technologies, Inc. |
Securities litigation monitoring and class action claims
recovery |
| Glass Lewis & Co., LLC |
Proxy voting services |
| Goldman Sachs |
Securities lending agent |
| Hexaware |
Data operations support services |
| IHS Markit |
Enterprise data management |
| Lipper Analytical Services |
Fund rating services |
| Morningstar Inc. |
Fund rating services |
| Planetrics |
Valuations under different climate risk scenarios |
| PricewaterhouseCoopers LLP |
Audit services |
| Risk Metrics |
Risk management services |
| SS&C |
Middle office provider; benchmark performance, holdings,
performance, reconciliation |
| State Street (Boston) |
Custody, fund accounting, pricing/valuation, fund
compliance testing, liquidity risk management |
| State Street (Sacramento) |
Pricing services |
| |
2022 |
2021 |
2020 |
| Moderate Strategy Fund |
$0 |
$2,018 |
$10,228 |
| Balanced Strategy Fund |
0 |
7,998 |
29,763 |
| Growth Strategy Fund |
0 |
6,911 |
24,408 |
| Equity Growth Strategy Fund |
0 |
1,161 |
7,934 |
| |
No Expiration |
No Expiration |
|
| Funds |
Short Term |
Long Term |
TOTALS |
| Moderate Strategy Fund |
$186,541 |
$0 |
$186,541 |
| BALANCED STRATEGY FUND - NORTHWESTERN MUTUAL LIFE
INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE WI
53202-4703, 86.33% |
|
| BALANCED STRATEGY FUND - NORTHWESTERN MUTUAL LIFE
INSURANCE COMPANY VARIABLE LIFE ACCOUNT ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE
MILWAUKEE WI 53202-4703, 10.91% |
|
| EQUITY GROWTH STRATEGY FUND - NORTHWESTERN MUTUAL
LIFE INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE
WI 53202-4703, 71.96% |
|
| EQUITY GROWTH STRATEGY FUND - NORTHWESTERN MUTUAL
LIFE INSURANCE COMPANY VARIABLE LIFE ACCOUNT ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN
AVE MILWAUKEE WI 53202-4703, 23.47% |
|
| GROWTH STRATEGY FUND - NORTHWESTERN MUTUAL LIFE
INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE WI
53202-4703, 82.92% |
|
| GROWTH STRATEGY FUND - NORTHWESTERN MUTUAL LIFE
INSURANCE COMPANY VARIABLE LIFE ACCOUNT ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE
MILWAUKEE WI 53202-4703, 13.67% |
|
| MODERATE STRATEGY FUND - NORTHWESTERN MUTUAL LIFE
INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE WI
53202-4703, 84.29% |
|
| MODERATE STRATEGY FUND - NORTHWESTERN MUTUAL LIFE
INSURANCE COMPANY VARIABLE LIFE ACCOUNT ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE
MILWAUKEE WI 53202-4703, 11.18% |
|
| BALANCED STRATEGY FUND - NORTHWESTERN MUTUAL LIFE
INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE WI
53202-4703, 86.33% |
|
| EQUITY GROWTH STRATEGY FUND - NORTHWESTERN MUTUAL
LIFE INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE
WI 53202-4703, 71.96% |
|
| GROWTH STRATEGY FUND - NORTHWESTERN MUTUAL LIFE
INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE WI
53202-4703, 82.92% |
|
| MODERATE STRATEGY FUND - NORTHWESTERN MUTUAL LIFE
INSURANCE COMPANY ACCOUNT B ATTN MUTUAL FUND ACCOUNTING N13NW 720 E WISCONSIN AVE MILWAUKEE WI
53202-4703, 84.29% |
|