Schedule of Investments
Transcription
Schedule of Investments
Schedules of Investments (unaudited) July 31, 2016 TIAA-CREF Funds Equity & Emerging Markets Debt Funds Enhanced Large-Cap Growth Index Fund Enhanced Large-Cap Value Index Fund Growth & Income Fund Large-Cap Growth Fund Large-Cap Value Fund Mid-Cap Growth Fund Mid-Cap Value Fund Small-Cap Equity Fund Social Choice Equity Fund Social Choice Low Carbon Equity Fund Emerging Markets Equity Fund Enhanced International Equity Index Fund Global Natural Resources Fund International Equity Fund International Opportunities Fund Social Choice International Equity Fund Equity Index Fund Large-Cap Growth Index Fund Large-Cap Value Index Fund S&P 500 Index Fund Small-Cap Blend Index Fund Emerging Markets Equity Index Fund International Equity Index Fund Emerging Markets Debt Fund Notes to schedules of investments To contact TIAA, please call 800-842-2252, or visit TIAA.org. 1 8 20 27 31 37 42 49 57 75 87 95 104 109 113 119 129 188 202 218 230 271 291 313 323 TIAA-CREF FUNDS - Enhanced Large-Cap Growth Index Fund TIAA-CREF FUNDS ENHANCED LARGE-CAP GROWTH INDEX FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 COMPANY SHARES VALUE COMMON STOCKS - 99.5% AUTOMOBILES & COMPONENTS - 0.8% 72,570 Lear Corp 2,583 *,e Tesla Motors, Inc 108,581 Thor Industries, Inc TOTAL AUTOMOBILES & COMPONENTS CAPITAL GOODS - 9.0% 108,103 172,790 66,131 96,893 138,688 302,058 230,773 138,063 49,698 124,585 82,112 262,108 28,011 65,901 119,538 88,468 74,561 5,661 143,895 69,060 14,577 3,167 e * * * * e $ 8,233,066 606,463 8,310,790 17,150,319 19,281,251 23,095,111 2,434,282 7,529,555 7,752,659 9,406,086 8,351,675 16,060,869 8,576,881 14,377,109 20,752,166 9,561,700 2,012,030 14,276,134 7,049,156 2,264,781 10,403,496 647,619 6,242,165 5,502,010 1,908,858 693,098 198,178,691 3M Co Boeing Co BWX Technologies, Inc Deere & Co Emerson Electric Co General Electric Co HD Supply Holdings, Inc Honeywell International, Inc Huntington Ingalls Illinois Tool Works, Inc Lockheed Martin Corp Masco Corp MSC Industrial Direct Co (Class A) Northrop Grumman Corp Paccar, Inc Quanta Services, Inc Raytheon Co Rockwell Automation, Inc Spirit Aerosystems Holdings, Inc (Class A) United Rentals, Inc Valmont Industries, Inc W.W. Grainger, Inc TOTAL CAPITAL GOODS COMMERCIAL & PROFESSIONAL SERVICES - 1.1% 348,297 Pitney Bowes, Inc 301,028 R.R. Donnelley & Sons Co 185,154 Waste Management, Inc TOTAL COMMERCIAL & PROFESSIONAL SERVICES CONSUMER DURABLES & APPAREL - 2.2% 57,837 Brunswick Corp 70,401 Carter's, Inc 201,299 DR Horton, Inc 2,005 Hasbro, Inc 151,330 Leggett & Platt, Inc 243,314 Mattel, Inc 6,725,615 5,394,422 12,242,382 24,362,419 2,869,872 7,128,101 6,618,711 162,866 7,955,418 8,121,821 1 TIAA-CREF FUNDS - Enhanced Large-Cap Growth Index Fund SHARES 744 149,358 4,071 6,544 37,334 VALUE COMPANY * Mohawk Industries, Inc Nike, Inc (Class B) * Under Armour, Inc *,e Under Armour, Inc (Class A) Whirlpool Corp TOTAL CONSUMER DURABLES & APPAREL $ 155,452 8,289,369 145,335 258,226 7,181,568 48,886,739 CONSUMER SERVICES - 3.0% 116,430 ARAMARK Holdings Corp 150,748 Brinker International, Inc 6,673 Marriott International, Inc (Class A) 162,581 McDonald's Corp 70,245 Six Flags Entertainment Corp 172,034 Starbucks Corp 40,962 Vail Resorts, Inc 526,520 Wendy's 121,956 Wyndham Worldwide Corp 14,444 Yum! Brands, Inc TOTAL CONSUMER SERVICES 4,174,016 7,106,261 478,454 19,127,654 3,961,116 9,986,574 5,860,433 5,086,183 8,661,315 1,291,582 65,733,588 DIVERSIFIED FINANCIALS - 3.3% 19,882 Ameriprise Financial, Inc 145,152 Charles Schwab Corp 158,354 Discover Financial Services 50,001 Eaton Vance Corp 4,314 IntercontinentalExchange Group, Inc 456,000 e iShares Russell 1000 Growth Index Fund 43,438 e LPL Financial Holdings, Inc 12,503 Moody's Corp 51,275 T Rowe Price Group, Inc TOTAL DIVERSIFIED FINANCIALS 1,905,491 4,125,220 9,000,841 1,890,538 1,139,759 47,752,320 1,170,654 1,325,443 3,624,629 71,934,895 ENERGY - 0.3% 50,441 156,795 2,648,152 3,868,133 6,516,285 Apache Corp Cabot Oil & Gas Corp TOTAL ENERGY FOOD & STAPLES RETAILING - 1.8% 46,940 Costco Wholesale Corp 184,521 CVS Health Corp 140,232 Kroger Co 285,988 *,e Sprouts Farmers Market, Inc 70,059 Sysco Corp TOTAL FOOD & STAPLES RETAILING 7,849,307 17,108,787 4,794,532 6,614,902 3,628,356 39,995,884 FOOD, BEVERAGE & TOBACCO - 7.8% 500,392 Altria Group, Inc 2,552 Brown-Forman Corp (Class B) 148,935 Campbell Soup Co 468,614 Coca-Cola Co 217,255 ConAgra Foods, Inc 112,836 Dr Pepper Snapple Group, Inc 33,876,538 250,581 9,274,183 20,445,629 10,158,844 11,115,474 2 TIAA-CREF FUNDS - Enhanced Large-Cap Growth Index Fund SHARES 225,690 9,845 65,639 136,822 5,549 320,907 15,943 34,530 140,937 COMPANY VALUE General Mills, Inc Hershey Co Ingredion, Inc Kellogg Co McCormick & Co, Inc PepsiCo, Inc Philip Morris International, Inc e Pilgrim's Pride Corp Tyson Foods, Inc (Class A) TOTAL FOOD, BEVERAGE & TOBACCO $ HEALTH CARE EQUIPMENT & SERVICES - 7.4% 38,887 Aetna Inc 126,868 AmerisourceBergen Corp 31,528 Becton Dickinson & Co 152,021 Cardinal Health, Inc 124,658 * Centene Corp 3,215 Cigna Corp 95,602 * DaVita, Inc 206,843 * Express Scripts Holding Co 130,709 * HCA Holdings, Inc 4,161 * Hologic, Inc 228 Humana, Inc 58,034 * Laboratory Corp of America Holdings 84,130 McKesson Corp 143,070 Resmed, Inc 12,769 Stryker Corp 114,987 * Tenet Healthcare Corp 239,434 UnitedHealth Group, Inc 106,638 * VCA Antech, Inc 50,441 * WellCare Health Plans, Inc TOTAL HEALTH CARE EQUIPMENT & SERVICES HOUSEHOLD & PERSONAL PRODUCTS - 1.3% 7,919 Church & Dwight Co, Inc 74,715 Clorox Co 3,847 Energizer Holdings, Inc 24,523 Estee Lauder Cos (Class A) 95,112 *,e Herbalife Ltd 48,257 Kimberly-Clark Corp 37,287 Nu Skin Enterprises, Inc (Class A) TOTAL HOUSEHOLD & PERSONAL PRODUCTS INSURANCE - 1.1% 36,392 210,035 207,494 MATERIALS - 5.0% 21,982 106,345 55,671 16,224,854 1,090,432 8,745,740 11,316,548 567,385 34,953,190 1,598,445 802,823 10,372,963 170,793,629 4,480,171 10,807,885 5,548,928 12,708,955 8,794,622 414,607 7,412,979 15,734,547 10,081,585 160,157 39,341 8,099,225 16,368,333 9,854,662 1,484,779 3,519,752 34,286,949 7,607,555 5,387,099 162,792,131 777,962 9,792,895 198,236 2,278,187 6,468,567 6,251,694 1,991,126 27,758,667 Aon plc Marsh & McLennan Cos, Inc Progressive Corp TOTAL INSURANCE 3,896,492 13,809,801 6,745,630 24,451,923 Air Products & Chemicals, Inc Avery Dennison Corp Bemis Co, Inc 3,284,550 8,283,212 2,841,448 3 TIAA-CREF FUNDS - Enhanced Large-Cap Growth Index Fund SHARES 91,821 68,229 204,776 494,337 118,538 108,317 221,787 119,592 117,667 185,686 10,060 153,792 MEDIA - 5.0% 212,311 11,479 363,748 12,668 375,045 132,878 252,713 172,517 73,679 123,725 30,196 100,575 262,672 COMPANY VALUE Celanese Corp (Series A) Eagle Materials, Inc EI du Pont de Nemours & Co Graphic Packaging Holding Co LyondellBasell Industries AF S.C.A Monsanto Co * Owens-Illinois, Inc Packaging Corp of America PPG Industries, Inc Sealed Air Corp Sherwin-Williams Co Steel Dynamics, Inc TOTAL MATERIALS $ CBS Corp (Class B) * Charter Communications, Inc Comcast Corp (Class A) * Discovery Communications, Inc (Class A) Interpublic Group of Cos, Inc Omnicom Group, Inc e Regal Entertainment Group (Class A) * Starz-Liberty Capital Time Warner, Inc Twenty-First Century Fox, Inc Twenty-First Century Fox, Inc (Class B) Viacom, Inc (Class B) Walt Disney Co TOTAL MEDIA 5,823,288 5,727,825 14,164,356 6,742,757 8,921,170 11,565,006 4,167,378 8,932,326 12,320,912 8,760,665 3,015,284 4,124,701 108,674,878 11,086,880 2,696,073 24,462,053 317,840 8,648,538 10,934,531 5,943,810 5,215,189 5,647,495 3,296,034 816,198 4,573,145 25,203,378 108,841,164 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 8.3% 272,735 AbbVie, Inc 88,263 * Akorn, Inc 17,951 * Alexion Pharmaceuticals, Inc 20,033 * Allergan plc 174,759 Amgen, Inc 40,311 * Biogen Idec, Inc 5,200 * BioMarin Pharmaceutical, Inc 246,337 Bristol-Myers Squibb Co 122,548 * Celgene Corp 85,382 * Charles River Laboratories International, Inc 109,305 Eli Lilly & Co 309,413 Gilead Sciences, Inc 3,349 * Incyte Corp 126,113 Johnson & Johnson 17,096 * Medivation, Inc 5,635 * Mettler-Toledo International, Inc 6,567 * Regeneron Pharmaceuticals, Inc 23,988 Thermo Electron Corp 16,817 * Vertex Pharmaceuticals, Inc 106,903 * VWR Corp 41,377 * Waters Corp TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES 4 18,063,239 3,021,243 2,308,499 5,067,347 30,063,791 11,687,368 516,984 18,428,471 13,748,660 7,507,639 9,060,292 24,589,051 302,113 15,793,131 1,093,973 2,317,168 2,791,763 3,810,254 1,631,249 3,348,202 6,576,047 181,726,484 TIAA-CREF FUNDS - Enhanced Large-Cap Growth Index Fund COMPANY SHARES REAL ESTATE - 2.0% 45,229 6,066 108,218 2,541 29,147 2,544 80,948 143,395 12,035 50,411 RETAILING - 7.3% 76,655 235 28,550 25,364 10,230 2,278 56,594 39,822 286,900 7,359 25,206 205,314 19,378 49,146 14,462 7,306 103,425 86,528 55,513 VALUE American Tower Corp * CBRE Group, Inc Crown Castle International Corp Equinix, Inc Equity Lifestyle Properties, Inc Essex Property Trust, Inc Gaming and Leisure Properties, Inc Iron Mountain, Inc Public Storage, Inc Simon Property Group, Inc TOTAL REAL ESTATE * * * * e * * * * * * * $ Amazon.com, Inc AutoZone, Inc Bed Bath & Beyond, Inc Burlington Stores, Inc Dollar General Corp Foot Locker, Inc Gap, Inc Genuine Parts Co Home Depot, Inc Liberty Interactive Corp LKQ Corp Lowe's Companies, Inc Murphy USA, Inc NetFlix, Inc O'Reilly Automotive, Inc Priceline.com, Inc Ross Stores, Inc TJX Companies, Inc Urban Outfitters, Inc TOTAL RETAILING 5,236,161 172,578 10,500,393 947,463 2,397,049 594,991 2,900,367 5,909,308 2,875,402 11,445,313 42,979,025 58,166,581 191,283 1,283,322 1,940,600 969,190 135,814 1,459,559 4,071,401 39,661,056 197,295 866,834 16,893,236 1,485,130 4,484,573 4,203,091 9,869,018 6,394,768 7,071,068 1,659,839 161,003,658 SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 2.9% 81,542 Applied Materials, Inc 35,236 Broadcom Ltd 30,595 Intel Corp 31,336 Kla-Tencor Corp 4,591 Lam Research Corp 156,600 Linear Technology Corp 8,081 Microchip Technology, Inc 65,088 Nvidia Corp 481,841 * ON Semiconductor Corp 191,286 Qualcomm, Inc 315,174 Texas Instruments, Inc TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT 2,143,739 5,707,527 1,066,542 2,372,449 412,134 9,394,434 449,627 3,716,525 4,832,865 11,970,678 21,983,386 64,049,906 SOFTWARE & SERVICES - 20.9% 110,663 Accenture plc 33,073 * Adobe Systems, Inc 12,483,893 3,236,524 5 TIAA-CREF FUNDS - Enhanced Large-Cap Growth Index Fund COMPANY SHARES 46,122 58,488 57,834 32,040 102,615 112,578 34,795 193,942 498,907 34,939 433,987 79,603 438,686 110,772 6,189 90,243 71,184 167,337 32,499 53,080 14,329 175,244 1,665,682 32,748 83,560 168,319 103,831 163,605 99,561 360,782 5,629 53,750 VALUE * Alliance Data Systems Corp * Alphabet, Inc (Class A) * Alphabet, Inc (Class C) Automatic Data Processing, Inc Booz Allen Hamilton Holding Co * Citrix Systems, Inc * Cognizant Technology Solutions Corp (Class A) CSRA, Inc * eBay, Inc * Electronic Arts, Inc * Facebook, Inc * First American Corp * First Data Corp * Fiserv, Inc * FleetCor Technologies, Inc Global Payments, Inc *,e GoDaddy, Inc International Business Machines Corp Intuit, Inc Jack Henry & Associates, Inc * LinkedIn Corp MasterCard, Inc (Class A) Microsoft Corp Paychex, Inc * PayPal Holdings, Inc * Rackspace Hosting, Inc * Salesforce.com, Inc Total System Services, Inc *,e VeriSign, Inc Visa, Inc (Class A) Western Union Co * WEX, Inc TOTAL SOFTWARE & SERVICES $ TECHNOLOGY HARDWARE & EQUIPMENT - 5.9% 29,870 Amphenol Corp (Class A) 1,062,325 Apple, Inc 59,321 * F5 Networks, Inc 95,245 Motorola, Inc 108,253 * NCR Corp TOTAL TECHNOLOGY HARDWARE & EQUIPMENT TELECOMMUNICATION SERVICES - 1.4% 200,668 * T-Mobile US, Inc 377,899 Verizon Communications, Inc TOTAL TELECOMMUNICATION SERVICES TRANSPORTATION - 1.7% 36,792 123,844 89,829 39,441 66,897 * 10,682,778 46,283,894 44,462,201 2,849,958 3,168,751 10,034,077 2,000,365 5,220,919 15,545,942 2,666,545 53,788,349 3,206,409 5,439,706 12,224,798 938,748 6,737,542 2,129,825 26,877,669 3,607,064 4,737,390 2,761,628 16,690,238 94,410,856 1,941,301 3,111,774 3,943,714 8,493,376 8,330,767 8,622,978 28,159,035 112,580 5,035,300 459,936,894 1,777,862 110,704,888 7,321,398 6,608,098 3,569,102 129,981,348 9,298,955 20,939,384 30,238,339 Alaska Air Group, Inc CH Robinson Worldwide, Inc Delta Air Lines, Inc FedEx Corp JetBlue Airways Corp 2,473,158 8,622,019 3,480,874 6,385,498 1,226,222 6 TIAA-CREF FUNDS - Enhanced Large-Cap Growth Index Fund SHARES 153,826 6,553 89,122 VALUE COMPANY Southwest Airlines Co Union Pacific Corp United Parcel Service, Inc (Class B) TOTAL TRANSPORTATION $ TOTAL COMMON STOCKS (Cost $1,751,218,387) 5,693,100 609,757 9,634,088 38,124,716 2,184,111,582 RATE PRINCIPAL ISSUER SHORT-TERM INVESTMENTS - 3.2% GOVERNMENT AGENCY DEBT - 0.9% $ 18,650,000 Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT 0.150% MATURITY DATE 08/01/16 18,650,000 18,650,000 SHARES COMPANY INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 2.3% 51,150,064 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $69,800,064) TOTAL INVESTMENTS - 102.7% (Cost $1,821,018,451) OTHER ASSETS & LIABILITIES, NET - (2.7)% NET ASSETS - 100.0% 51,150,064 51,150,064 69,800,064 2,253,911,646 $ * Non-income producing c Investments made with cash collateral received from securities on loan. e All or a portion of these securities are out on loan. The aggregate value of securities on loan is $50,447,087. 7 (58,314,453) 2,195,597,193 TIAA-CREF FUNDS - Enhanced Large-Cap Value Index Fund TIAA-CREF FUNDS ENHANCED LARGE-CAP VALUE INDEX FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 COMPANY SHARES VALUE COMMON STOCKS - 99.3% AUTOMOBILES & COMPONENTS - 0.5% 314,224 Ford Motor Co 74,224 General Motors Co 22,424 Gentex Corp 44,224 Johnson Controls, Inc 21,424 Lear Corp TOTAL AUTOMOBILES & COMPONENTS BANKS - 9.4% 1,653,224 39,000 124,224 15,000 471,224 105,000 54,000 41,890 90,000 151,000 50,000 20,000 741,389 10,424 75,400 65,724 68,000 198,000 173,800 23,800 83,000 197,224 1,018,889 118,000 $ 3,978,076 2,341,025 396,232 2,030,766 2,430,553 11,176,652 Bank of America Corp Bank of Hawaii Corp BB&T Corp BOK Financial Corp Citigroup, Inc Comerica, Inc Commerce Bancshares, Inc Cullen/Frost Bankers, Inc East West Bancorp, Inc Fifth Third Bancorp First Horizon National Corp Huntington Bancshares, Inc JPMorgan Chase & Co M&T Bank Corp PacWest Bancorp PNC Financial Services Group, Inc Popular, Inc Regions Financial Corp SunTrust Banks, Inc SVB Financial Group Synovus Financial Corp US Bancorp Wells Fargo & Co Zions Bancorporation TOTAL BANKS 23,955,216 2,687,880 4,580,139 978,450 20,644,324 4,750,200 2,553,660 2,843,912 3,079,800 2,865,980 728,000 190,000 47,426,654 1,194,173 3,117,790 5,432,089 2,290,920 1,815,660 7,350,002 2,389,996 2,526,520 8,316,936 48,876,105 3,289,840 203,884,246 CAPITAL GOODS - 7.7% 91,000 * Aecom Technology Corp 5,000 AGCO Corp 29,900 n Allegion plc 15,000 Allison Transmission Holdings, Inc 103,000 * Babcock & Wilcox Enterprises, Inc 60,800 BWX Technologies, Inc 20,000 Carlisle Cos, Inc 87,750 Caterpillar, Inc 36,000 Crane Co 3,229,590 240,800 2,164,461 432,300 1,582,080 2,238,048 2,065,800 7,262,190 2,242,800 e e,n n * 8 TIAA-CREF FUNDS - Enhanced Large-Cap Value Index Fund COMPANY SHARES 31,800 37,124 3,000 60,300 5,949 123,999 68,024 10,000 18,562 30,800 28,600 1,192,424 18,300 2,000 1,500 15,000 25,700 45,000 14,224 800 11,500 105,000 54,000 23,500 5,700 23,150 38,000 50,000 63,839 77,724 41,500 55,000 108,000 60,000 5,500 16,390 24,224 33,100 61,800 23,800 5,700 45,324 73,800 16,999 25,090 26,300 * * n * * * n * * * * *,n *,e VALUE Cummins, Inc Danaher Corp Donaldson Co, Inc Dover Corp Dycom Industries, Inc Eaton Corp Emerson Electric Co Fluor Corp Fortive Corp Fortune Brands Home & Security, Inc General Dynamics Corp General Electric Co Honeywell International, Inc Hubbell, Inc Huntington Ingalls IDEX Corp Ingersoll-Rand plc Jacobs Engineering Group, Inc L-3 Communications Holdings, Inc Lennox International, Inc Lockheed Martin Corp Manitowoc Co, Inc Manitowoc Foodservice, Inc Masco Corp MSC Industrial Direct Co (Class A) Northrop Grumman Corp NOW, Inc Oshkosh Truck Corp Owens Corning, Inc Paccar, Inc Parker Hannifin Corp Pentair plc Quanta Services, Inc Raytheon Co Rockwell Automation, Inc Snap-On, Inc Spirit Aerosystems Holdings, Inc (Class A) SPX Corp Stanley Works Triumph Group, Inc United Rentals, Inc United Technologies Corp USG Corp Valmont Industries, Inc WESCO International, Inc Xylem, Inc TOTAL CAPITAL GOODS $ COMMERCIAL & PROFESSIONAL SERVICES - 0.8% 50,000 * Clean Harbors, Inc 8,000 Dun & Bradstreet Corp 21,900 Equifax, Inc 50,000 Nielsen NV 3,904,086 3,023,379 108,390 4,307,229 559,503 7,862,777 3,802,542 535,200 894,874 1,948,716 4,201,054 37,132,084 2,128,839 215,660 258,870 1,346,850 1,702,882 2,408,400 2,156,785 125,440 2,906,395 584,850 990,360 857,280 409,431 5,014,984 695,780 2,754,500 3,377,721 4,583,384 4,738,885 3,510,100 2,764,800 8,371,800 629,200 2,576,016 1,050,837 501,134 7,521,060 733,754 454,119 4,879,129 2,078,208 2,226,019 1,398,517 1,257,403 166,947,295 2,571,000 1,034,000 2,900,874 2,693,000 9 TIAA-CREF FUNDS - Enhanced Large-Cap Value Index Fund SHARES 142,424 69,900 39,000 21,424 COMPANY VALUE R.R. Donnelley & Sons Co Republic Services, Inc * TransUnion Waste Management, Inc TOTAL COMMERCIAL & PROFESSIONAL SERVICES $ 2,552,238 3,583,074 1,276,080 1,416,555 18,026,821 CONSUMER DURABLES & APPAREL - 1.4% 18,000 CalAtlantic Group, Inc 94,400 Coach, Inc 85,750 DR Horton, Inc 27,224 *,e Garmin Ltd 157,000 *,e GoPro, Inc 161,890 Hanesbrands, Inc 26,300 Hasbro, Inc 12,424 Lennar Corp (Class A) 63,750 Mattel, Inc 2,575 * Mohawk Industries, Inc 80,800 Newell Brands, Inc 36,800 Phillips-Van Heusen Corp 83,000 Pulte Homes, Inc 16,000 n Tupperware Brands Corp TOTAL CONSUMER DURABLES & APPAREL 651,780 4,069,584 2,819,460 1,479,080 1,984,480 4,315,987 2,136,349 581,443 2,127,975 538,021 4,238,768 3,719,008 1,757,940 1,002,880 31,422,755 CONSUMER SERVICES - 0.7% 44,224 Carnival Corp 8,800 Darden Restaurants, Inc 40,400 H&R Block, Inc 45,000 Hilton Worldwide Holdings, Inc 46,189 * Hyatt Hotels Corp 100,000 International Game Technology plc 88,000 * MGM Resorts International 54,000 *,n Norwegian Cruise Line Holdings Ltd 4,224 n Royal Caribbean Cruises Ltd 193,000 Sands China Ltd TOTAL CONSUMER SERVICES 2,066,145 541,728 961,116 1,043,550 2,329,773 2,090,000 2,110,240 2,300,400 305,986 738,454 14,487,392 DIVERSIFIED FINANCIALS - 5.4% 109,124 American Express Co 9,724 Ameriprise Financial, Inc 127,724 Bank of New York Mellon Corp 25,000 BlackRock, Inc 133,813 Capital One Financial Corp 35,724 CME Group, Inc 20,000 e Consumer Discretionary Select Sector SPDR Fund 27,224 Discover Financial Services 14,500 * E*TRADE Financial Corp 50,000 e Financial Select Sector SPDR Fund 12,424 Franklin Resources, Inc 77,500 Goldman Sachs Group, Inc 360,000 Morgan Stanley 6,380 NASDAQ OMX Group, Inc 112,500 Navient Corp 72,800 Northern Trust Corp 7,034,133 931,948 5,032,326 9,156,250 8,976,176 3,652,422 1,632,600 1,547,412 363,660 1,182,000 449,624 12,307,775 10,342,800 451,449 1,597,500 4,920,552 10 TIAA-CREF FUNDS - Enhanced Large-Cap Value Index Fund COMPANY SHARES 183,900 4,224 64,224 55,000 112,424 ENERGY - 13.1% 139,900 66,600 154,000 28,000 317,224 26,300 69,000 149,974 128,900 199,000 106,300 23,800 66,300 136,900 63,800 667,724 7,500 25,000 195,400 19,724 158,500 335,724 100,000 114,224 64,224 168,000 22,424 80,000 113,800 124,224 28,000 123,800 69,600 12,424 103,000 86,300 118,000 68,000 91,000 212,224 13,800 113,000 154,000 154,000 16,000 VALUE e PowerShares QQQ Trust Series Raymond James Financial, Inc e SPDR Dow Jones Industrial Average ETF Trust SPDR Trust Series 1 * Synchrony Financial TOTAL DIVERSIFIED FINANCIALS n *,n *,e,n *,n e * n n * * e n *,e,n n *,n * n *,n *,e e *,e n $ Anadarko Petroleum Corp Apache Corp Baker Hughes, Inc Cabot Oil & Gas Corp Chevron Corp Cimarex Energy Co Concho Resources, Inc ConocoPhillips Continental Resources, Inc Devon Energy Corp Diamond Offshore Drilling, Inc Diamondback Energy, Inc Energen Corp EOG Resources, Inc EQT Corp Exxon Mobil Corp FMC Technologies, Inc Gulfport Energy Corp Halliburton Co Helmerich & Payne, Inc Hess Corp Kinder Morgan, Inc Laredo Petroleum, Inc Marathon Oil Corp Marathon Petroleum Corp Nabors Industries Ltd National Oilwell Varco, Inc Newfield Exploration Co Noble Energy, Inc Occidental Petroleum Corp Parsley Energy, Inc Patterson-UTI Energy, Inc Phillips 66 Pioneer Natural Resources Co Questar Market Resources, Inc Range Resources Corp Rice Energy, Inc Rowan Cos plc RPC, Inc Schlumberger Ltd SM Energy Co Southwestern Energy Co Spectra Energy Corp Superior Energy Services, Inc Targa Resources Investments, Inc 21,190,797 231,898 11,825,565 11,943,250 3,134,381 117,904,518 7,628,747 3,496,500 7,365,820 690,760 32,509,115 3,156,526 8,569,800 6,121,939 5,678,045 7,617,720 2,415,136 2,089,402 3,141,294 11,184,730 4,648,468 59,394,050 190,350 727,250 8,531,164 1,222,296 8,503,525 6,825,269 1,002,000 1,558,015 2,529,783 1,512,000 725,417 3,464,000 4,064,936 9,283,260 798,280 2,400,482 5,293,776 2,019,770 1,874,600 3,478,753 2,751,760 1,036,320 1,318,590 17,088,276 374,394 1,647,540 5,539,380 2,459,380 596,160 11 TIAA-CREF FUNDS - Enhanced Large-Cap Value Index Fund SHARES 82,100 154,000 72,224 18,000 168,000 COMPANY VALUE Tesoro Corp Valero Energy Corp Williams Cos, Inc World Fuel Services Corp *,n WPX Energy, Inc TOTAL ENERGY $ FOOD & STAPLES RETAILING - 1.3% 57,575 CVS Health Corp 61,242 Walgreens Boots Alliance, Inc 191,224 Wal-Mart Stores, Inc 119,900 Whole Foods Market, Inc TOTAL FOOD & STAPLES RETAILING 6,251,915 8,051,120 1,731,209 856,800 1,678,320 283,094,142 5,338,354 4,853,429 13,953,615 3,654,552 27,799,950 FOOD, BEVERAGE & TOBACCO - 5.1% 75,750 Altria Group, Inc 91,424 Archer Daniels Midland Co 72,224 Coca-Cola Co 46,800 ConAgra Foods, Inc 18,890 Constellation Brands, Inc (Class A) 18,000 * Hain Celestial Group, Inc 36,000 Ingredion, Inc 18,574 J.M. Smucker Co 29,750 Kellogg Co 103,800 Kraft Heinz Co 29,000 Mead Johnson Nutrition Co 24,224 Molson Coors Brewing Co (Class B) 338,000 Mondelez International, Inc 16,300 * Monster Beverage Corp 37,500 PepsiCo, Inc 276,800 Philip Morris International, Inc 138,900 e Pilgrim's Pride Corp 8,000 * Post Holdings, Inc 125,400 Reynolds American, Inc 15,000 * TreeHouse Foods, Inc 75,000 Tyson Foods, Inc (Class A) TOTAL FOOD, BEVERAGE & TOBACCO 5,128,275 4,121,394 3,151,133 2,188,368 3,109,861 950,220 4,796,640 2,863,368 2,460,622 8,967,282 2,586,800 2,474,724 14,865,240 2,618,269 4,084,500 27,751,968 3,229,425 693,360 6,277,524 1,547,850 5,520,000 109,386,823 HEALTH CARE EQUIPMENT & SERVICES - 4.7% 338,900 Abbott Laboratories 27,724 Aetna Inc 30,500 Anthem, Inc 89,000 Baxter International, Inc 32,500 Cardinal Health, Inc 40,200 * Centene Corp 57,750 n Cigna Corp 6,300 Cooper Cos, Inc 27,224 * DaVita, Inc 35,750 DENTSPLY SIRONA, Inc 60,250 * HCA Holdings, Inc 25,750 Humana, Inc 7,724 * Laboratory Corp of America Holdings 45,000 * LifePoint Hospitals, Inc 15,165,775 3,194,082 4,005,870 4,273,780 2,717,000 2,836,110 7,447,440 1,149,561 2,110,949 2,289,430 4,647,082 4,443,163 1,077,961 2,663,100 12 TIAA-CREF FUNDS - Enhanced Large-Cap Value Index Fund SHARES 296,800 28,300 16,800 36,900 31,424 24,500 17,500 COMPANY VALUE Medtronic plc Quest Diagnostics, Inc Teleflex, Inc n Universal Health Services, Inc (Class B) * VCA Antech, Inc * WellCare Health Plans, Inc Zimmer Holdings, Inc TOTAL HEALTH CARE EQUIPMENT & SERVICES HOUSEHOLD & PERSONAL PRODUCTS - 2.5% 19,750 Clorox Co 116,800 Colgate-Palmolive Co 9,724 Edgewell Personal Care Co 9,000 Energizer Holdings, Inc 25,600 n Kimberly-Clark Corp 21,000 Nu Skin Enterprises, Inc (Class A) 424,424 Procter & Gamble Co TOTAL HOUSEHOLD & PERSONAL PRODUCTS INSURANCE - 4.6% 7,724 44,424 13,500 142,424 7,424 12,424 257,224 22,000 52,324 50,000 10,724 19,390 12,424 12,424 9,800 81,500 111,000 4,224 750 37,724 151,500 6,724 4,224 62,224 113,800 28,000 5,724 7,224 21,724 26,100 $ 26,008,584 2,443,988 3,029,208 4,779,657 2,241,788 2,616,600 2,294,950 101,436,078 2,588,632 8,693,424 822,748 463,770 3,316,480 1,121,400 36,326,450 53,332,904 Aflac, Inc Allstate Corp American Financial Group, Inc American International Group, Inc Arthur J. Gallagher & Co Assurant, Inc * Berkshire Hathaway, Inc (Class B) Brown & Brown, Inc Chubb Ltd Cincinnati Financial Corp Endurance Specialty Holdings Ltd Everest Re Group Ltd First American Financial Corp FNF Group Hanover Insurance Group, Inc Hartford Financial Services Group, Inc n Lincoln National Corp Loews Corp * Markel Corp Metlife, Inc Old Republic International Corp Principal Financial Group ProAssurance Corp Progressive Corp Prudential Financial, Inc Reinsurance Group of America, Inc (Class A) Torchmark Corp Travelers Cos, Inc UnumProvident Corp Validus Holdings Ltd TOTAL INSURANCE 558,291 3,035,492 986,850 7,753,563 365,187 1,031,316 37,109,707 806,520 6,554,104 3,735,000 725,264 3,664,904 519,447 468,012 806,932 3,247,775 4,847,370 174,578 711,562 1,612,324 2,936,070 313,540 218,212 2,022,902 8,568,002 2,779,000 354,144 839,573 725,799 1,290,123 98,761,563 13 TIAA-CREF FUNDS - Enhanced Large-Cap Value Index Fund COMPANY SHARES MATERIALS - 4.3% 48,390 37,224 12,500 30,000 66,600 80,000 225,400 3,000 39,900 45,000 303,000 63,000 39,000 24,224 82,724 180,000 115,000 71,750 1,300 30,224 31,424 183,000 98,000 42,424 41,890 18,800 26,800 11,800 157,750 199,000 19,190 MEDIA - 0.8% 98,800 46,800 12,424 14,224 6,800 85,000 8,100 31,800 n *,e e * n n *,n n e n * * * * e VALUE Albemarle Corp Alcoa, Inc Ashland, Inc Avery Dennison Corp Celanese Corp (Series A) CF Industries Holdings, Inc Cliffs Natural Resources, Inc Compass Minerals International, Inc Crown Holdings, Inc Domtar Corp Dow Chemical Co Eastman Chemical Co FMC Corp Freeport-McMoRan Copper & Gold, Inc (Class B) Graphic Packaging Holding Co Huntsman Corp International Paper Co LyondellBasell Industries AF S.C.A Martin Marietta Materials, Inc Monsanto Co Mosaic Co Newmont Mining Corp Nucor Corp Owens-Illinois, Inc Reliance Steel & Aluminum Co Royal Gold, Inc Sonoco Products Co Southern Copper Corp (NY) Steel Dynamics, Inc Tahoe Resources, Inc Vulcan Materials Co TOTAL MATERIALS $ Comcast Corp (Class A) DISH Network Corp (Class A) Liberty SiriusXM Group (Class A) Liberty SiriusXM Group (Class C) Madison Square Garden Co Regal Entertainment Group (Class A) Viacom, Inc (Class B) Walt Disney Co TOTAL MEDIA 4,072,986 395,319 1,415,500 2,336,700 4,223,772 1,974,400 1,782,914 208,770 2,113,503 1,771,650 16,262,010 4,109,490 1,854,060 313,943 1,128,355 2,782,800 5,268,150 5,399,905 263,445 3,227,017 848,448 8,052,000 5,256,720 797,147 3,285,852 1,589,352 1,364,924 306,682 4,230,855 3,096,440 2,379,176 92,112,285 6,644,300 2,500,056 444,158 501,396 1,242,972 1,999,200 368,307 3,051,210 16,751,599 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 7.5% 26,994 Agilent Technologies, Inc 50,000 * Allergan plc 19,300 Amgen, Inc 46,800 * Celgene Corp 4 * Endo International plc 55,500 n Gilead Sciences, Inc 379,224 Johnson & Johnson 484,224 Merck & Co, Inc 1,298,681 12,647,500 3,320,179 5,250,492 70 4,410,585 47,490,221 28,404,580 14 TIAA-CREF FUNDS - Enhanced Large-Cap Value Index Fund COMPANY SHARES 17,750 11,424 63,000 1,101,000 17,000 54,000 6,424 30,000 REAL ESTATE - 4.8% 29,000 41,500 10,000 33,000 77,224 32,500 15,200 100,000 40,890 36,800 36,000 33,000 45,000 26,600 5,000 23,000 12,424 28,890 63,000 145,000 21,000 11,424 38,389 39,000 17,224 36,800 17,224 84,200 33,000 14,224 63,000 28,000 14,224 61,424 7,224 41,424 20,000 18,000 34,890 66,300 41,424 87,724 VALUE * Mylan NV PerkinElmer, Inc Perrigo Co plc Pfizer, Inc * Quintiles Transnational Holdings, Inc Thermo Electron Corp * United Therapeutics Corp * VWR Corp TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES n * n n Alexandria Real Estate Equities, Inc American Campus Communities, Inc American Capital Agency Corp American Homes 4 Rent Annaly Capital Management, Inc Apartment Investment & Management Co (Class A) Boston Properties, Inc Brandywine Realty Trust Camden Property Trust Chimera Investment Corp Communications Sales & Leasing, Inc Corporate Office Properties Trust Corrections Corp of America Crown Castle International Corp CyrusOne, Inc DCT Industrial Trust, Inc DDR Corp Digital Realty Trust, Inc Douglas Emmett, Inc Duke Realty Corp Entertainment Properties Trust Equity Commonwealth Equity Lifestyle Properties, Inc Equity One, Inc Equity Residential Extra Space Storage, Inc Forest City Realty Trust, Inc Four Corners Property Trust, Inc Gaming and Leisure Properties, Inc General Growth Properties, Inc Healthcare Trust of America, Inc Highwoods Properties, Inc Hospitality Properties Trust Host Marriott Corp Kilroy Realty Corp Kimco Realty Corp Liberty Property Trust Mack-Cali Realty Corp Mid-America Apartment Communities, Inc National Retail Properties, Inc Piedmont Office Realty Trust, Inc Prologis, Inc $ 830,523 650,254 5,757,570 40,615,890 1,319,880 8,577,360 777,368 939,600 162,290,753 3,256,700 2,243,905 195,900 716,100 847,919 1,494,025 2,160,376 1,687,000 3,663,335 617,504 1,118,880 988,680 1,442,250 2,580,998 274,100 1,155,060 245,250 3,017,849 2,396,520 4,174,550 1,764,420 342,948 3,157,111 1,297,530 1,171,060 3,165,536 407,348 1,827,982 1,182,390 454,457 2,145,150 1,560,160 453,888 1,089,662 528,869 1,329,710 827,600 507,600 3,699,038 3,524,508 908,843 4,780,081 15 TIAA-CREF FUNDS - Enhanced Large-Cap Value Index Fund SHARES 13,139 25,000 44,224 16,890 128,800 254,000 12,224 7,224 4,224 61,800 182,000 23,300 71,224 44,224 21,000 118,000 RETAILING - 2.0% 123,890 27,224 121,000 6,000 25,400 15,000 38,000 23,000 108,000 22,424 3,900 288,830 22,424 17,224 90,200 4,500 3,600 130,000 161,890 VALUE COMPANY Public Storage, Inc Rayonier, Inc Realty Income Corp Regency Centers Corp Senior Housing Properties Trust Spirit Realty Capital, Inc STORE Capital Corp Sun Communities, Inc UDR, Inc Ventas, Inc VEREIT, Inc Weingarten Realty Investors Welltower, Inc Weyerhaeuser Co WP Carey, Inc WP GLIMCHER, Inc TOTAL REAL ESTATE $ e American Eagle Outfitters, Inc * Bed Bath & Beyond, Inc Best Buy Co, Inc * Burlington Stores, Inc Children's Place Retail Stores, Inc CST Brands, Inc e,n Dillard's, Inc (Class A) Expedia, Inc e GameStop Corp (Class A) Gap, Inc Genuine Parts Co *,e JC Penney Co, Inc Kohl's Corp L Brands, Inc Macy's, Inc * Michaels Cos, Inc * Murphy USA, Inc Staples, Inc Target Corp TOTAL RETAILING 3,139,170 680,500 3,160,689 1,434,468 2,860,648 3,472,180 381,267 571,780 157,259 4,706,688 2,012,920 1,006,327 5,650,200 1,447,009 1,525,650 1,496,240 104,105,787 2,220,109 1,223,719 4,065,600 459,060 2,122,932 670,800 2,571,840 2,682,950 3,342,600 578,315 398,736 2,790,098 932,614 1,272,853 3,231,866 118,620 275,904 1,207,700 12,195,174 42,361,490 SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.3% 42,500 Analog Devices, Inc 128,000 Applied Materials, Inc 38,900 n Broadcom Ltd 250,000 e,n Cypress Semiconductor Corp 653,224 Intel Corp 113,800 *,e JinkoSolar Holding Co Ltd (ADR) 8,000 Kla-Tencor Corp 18,000 Lam Research Corp 25,750 Linear Technology Corp 428,890 * Micron Technology, Inc 60,000 Nvidia Corp 285,000 * ON Semiconductor Corp 2,712,775 3,365,120 6,301,022 2,910,000 22,771,389 2,080,264 605,680 1,615,860 1,544,742 5,892,949 3,426,000 2,858,550 16 TIAA-CREF FUNDS - Enhanced Large-Cap Value Index Fund SHARES 27,224 182,424 34,900 COMPANY VALUE * Qorvo, Inc Qualcomm, Inc Xilinx, Inc TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT $ 1,721,373 11,416,094 1,782,692 71,004,510 SOFTWARE & SERVICES - 2.4% 68,000 * Akamai Technologies, Inc 7,000 Booz Allen Hamilton Holding Co 81,300 CA, Inc 37,224 Computer Sciences Corp 1,900 Fair Isaac Corp 17,224 Fidelity National Information Services, Inc 11,424 * First American Corp 11,000 IAC/InterActiveCorp 11,424 International Business Machines Corp 118,900 *,e Mobileye NV 457,224 Oracle Corp 42,424 Symantec Corp 55,000 *,e VMware, Inc (Class A) 61,800 * Workday, Inc 142,424 * Yahoo!, Inc TOTAL SOFTWARE & SERVICES 3,436,040 216,160 2,817,045 1,780,424 240,616 1,369,825 460,159 637,560 1,834,923 5,696,499 18,764,473 866,722 4,013,900 5,150,412 5,439,172 52,723,930 TECHNOLOGY HARDWARE & EQUIPMENT - 4.1% 49,124 Apple, Inc 66,300 * Arrow Electronics, Inc 5,000 Avnet, Inc 50,000 * Ciena Corp 764,224 Cisco Systems, Inc 32,996 * CommScope Holding Co, Inc 215,000 Corning, Inc 54,000 Dolby Laboratories, Inc (Class A) 235,724 EMC Corp 66,000 * Fitbit, Inc 500,000 Hewlett Packard Enterprise Co 500,000 HP, Inc 139,000 Ingram Micro, Inc (Class A) 139,900 Jabil Circuit, Inc 7,500 Juniper Networks, Inc 10,000 * Keysight Technologies, Inc 63,800 Lexmark International, Inc (Class A) 80,900 * Lumentum Holdings, Inc 12,424 Motorola, Inc 180,000 Vishay Intertechnology, Inc 123,891 Western Digital Corp TOTAL TECHNOLOGY HARDWARE & EQUIPMENT 5,119,212 4,408,287 205,500 959,500 23,331,759 988,230 4,777,300 2,716,740 6,666,275 901,560 10,510,000 7,005,000 4,759,360 2,846,965 170,175 292,400 2,339,546 2,447,225 861,977 2,399,400 5,886,061 89,592,472 TELECOMMUNICATION SERVICES - 4.0% 1,037,224 AT&T, Inc 180,000 CenturyTel, Inc 119,991 *,n Level 3 Communications, Inc 30,000 Telephone & Data Systems, Inc 44,224 * T-Mobile US, Inc 44,901,427 5,659,200 6,071,545 944,700 2,049,340 17 TIAA-CREF FUNDS - Enhanced Large-Cap Value Index Fund SHARES 475,750 Verizon Communications, Inc TOTAL TELECOMMUNICATION SERVICES TRANSPORTATION - 2.1% 36,000 105,000 191,000 75,000 57,750 * 41,890 11,000 * 4,424 35,724 11,000 188,000 47,724 * UTILITIES - 6.8% 135,000 88,000 45,000 95,750 73,800 23,800 60,000 29,000 53,224 88,000 88,000 21,424 57,500 53,224 83,800 30,000 155,724 136,136 10,000 7,224 5,000 7,724 93,000 25,400 108,300 146,800 20,000 24,224 99,124 46,800 150,000 57,224 68,000 47,224 VALUE COMPANY $ 26,361,307 85,987,519 Alaska Air Group, Inc American Airlines Group, Inc CSX Corp Delta Air Lines, Inc Hawaiian Holdings, Inc Kansas City Southern Industries, Inc Kirby Corp Macquarie Infrastructure Co LLC Norfolk Southern Corp Ryder System, Inc Union Pacific Corp United Continental Holdings, Inc TOTAL TRANSPORTATION 2,419,920 3,727,500 5,411,030 2,906,250 2,629,357 4,026,048 599,390 339,100 3,207,301 724,900 17,493,400 2,237,778 45,721,974 AES Corp Alliant Energy Corp Ameren Corp American Electric Power Co, Inc American Water Works Co, Inc Aqua America, Inc Atmos Energy Corp Avangrid, Inc Centerpoint Energy, Inc CMS Energy Corp Consolidated Edison, Inc Dominion Resources, Inc DTE Energy Co Duke Energy Corp Edison International Eversource Energy Exelon Corp FirstEnergy Corp Great Plains Energy, Inc * Hawaiian Electric Industries, Inc e Health Care Select Sector SPDR Fund ITC Holdings Corp MDU Resources Group, Inc National Fuel Gas Co NextEra Energy, Inc NiSource, Inc NRG Energy, Inc OGE Energy Corp PG&E Corp Pinnacle West Capital Corp PPL Corp Public Service Enterprise Group, Inc SCANA Corp Sempra Energy 1,667,250 3,542,000 2,359,800 6,635,475 6,094,404 824,432 4,787,400 1,309,060 1,273,118 3,975,840 7,047,040 1,671,501 5,607,400 4,555,442 6,484,444 1,754,700 5,805,391 4,753,869 297,800 224,305 376,250 357,235 2,236,650 1,435,354 13,893,807 3,766,888 276,800 779,286 6,337,989 3,691,116 5,656,500 2,632,876 5,095,920 5,283,421 18 TIAA-CREF FUNDS - Enhanced Large-Cap Value Index Fund COMPANY SHARES 91,424 69,900 32,800 96,300 28,800 173,800 VALUE Southern Co UGI Corp Vectren Corp WEC Energy Group, Inc Westar Energy, Inc Xcel Energy, Inc TOTAL UTILITIES $ 4,891,184 3,163,674 1,696,744 6,250,833 1,600,416 7,643,724 147,737,338 2,148,050,796 TOTAL COMMON STOCKS (Cost $1,789,783,720) ISSUER PRINCIPAL SHORT-TERM INVESTMENTS - 2.7% GOVERNMENT AGENCY DEBT - 0.3% $ 6,950,000 Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT RATE 0.150% MATURITY DATE 6,950,000 6,950,000 08/01/16 SHARES COMPANY INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 2.4% 51,803,514 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES 51,803,514 51,803,514 58,753,514 TOTAL SHORT-TERM INVESTMENTS (Cost $58,753,514) TOTAL INVESTMENTS - 102.0% (Cost $1,848,537,234) OTHER ASSETS & LIABILITIES, NET - (2.0)% NET ASSETS - 100.0% 2,206,804,310 $ (42,784,405) 2,164,019,905 Abbreviation(s): ADR American Depositary Receipt ETF Exchange Traded Fund REIT Real Estate Investment Trust SPDR Standard & Poor's Depository Receipts * c e n Non-income producing Investments made with cash collateral received from securities on loan. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $50,661,403. All or a portion of these securities have been segregated by the custodian to cover requirements on open written options contracts. 19 TIAA-CREF FUNDS - Growth & Income Fund TIAA-CREF FUNDS GROWTH & INCOME FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.6% BANKS - 6.2% 4,266,767 557,109 630,899 266,376 1,625,066 1,052,534 584,055 239,598 1,118,225 873,617 CAPITAL GOODS - 6.9% 227,938 53,678 n 361,843 1,982,877 n 533,105 336,454 183,613 178,645 n 256,634 61,212 163,724 *,n Bank of America Corp Citigroup, Inc Citizens Financial Group, Inc Comerica, Inc ING Groep NV JPMorgan Chase & Co SunTrust Banks, Inc US Bancorp Wells Fargo & Co Zions Bancorporation TOTAL BANKS $ 61,825,454 24,406,945 14,087,975 12,050,850 18,168,246 67,330,600 24,699,686 10,103,848 53,641,253 24,356,442 310,671,299 3M Co Acuity Brands, Inc Caesarstone Sdot-Yam Ltd General Electric Co Honeywell International, Inc Illinois Tool Works, Inc Northrop Grumman Corp Paccar, Inc Raytheon Co Snap-On, Inc WABCO Holdings, Inc TOTAL CAPITAL GOODS 40,655,022 14,086,718 13,565,494 61,746,790 62,016,105 38,826,791 39,776,084 10,534,696 35,808,142 9,620,690 16,416,605 343,053,137 COMMERCIAL & PROFESSIONAL SERVICES - 0.9% 224,586 Equifax, Inc 213,828 Waste Management, Inc TOTAL COMMERCIAL & PROFESSIONAL SERVICES 29,748,662 14,138,307 43,886,969 CONSUMER DURABLES & APPAREL - 3.0% 509,444 DR Horton, Inc 115,540 Hasbro, Inc 860,576 * Kate Spade & Co 749,296 Mattel, Inc 121,681 * Mohawk Industries, Inc 563,486 n Newell Brands, Inc 378,001 Sony Corp 576,460 *,g Spin Master Corp TOTAL CONSUMER DURABLES & APPAREL 16,750,519 9,385,314 18,665,893 25,011,500 25,424,028 29,560,476 12,408,595 11,832,519 149,038,844 20 TIAA-CREF FUNDS - Growth & Income Fund COMPANY SHARES VALUE CONSUMER SERVICES - 1.4% 29,959 * Chipotle Mexican Grill, Inc (Class A) 1,081,315 * MGM Resorts International 594,534 * Norwegian Cruise Line Holdings Ltd 303,794 * Red Rock Resorts, Inc TOTAL CONSUMER SERVICES $ DIVERSIFIED FINANCIALS - 1.0% 476,201 Lazard Ltd (Class A) 960,610 Morgan Stanley 160,317 Oaktree Capital Group LLC TOTAL DIVERSIFIED FINANCIALS ENERGY - 7.1% 428,962 262,220 338,758 938,077 241,913 605,950 622,916 616,950 499,985 715,943 777,146 397,573 293,643 * *,e * * * * *,e,n * n 12,702,316 25,929,934 25,327,148 6,990,300 70,949,698 17,019,424 27,598,325 7,441,915 52,059,664 Anadarko Petroleum Corp Chevron Corp Concho Resources, Inc Continental Resources, Inc Diamondback Energy, Inc EOG Resources, Inc Newfield Exploration Co Occidental Petroleum Corp Parsley Energy, Inc Rice Energy, Inc RPC, Inc RSP Permian, Inc Schlumberger Ltd TOTAL ENERGY 23,391,298 26,872,306 42,073,744 41,322,292 21,237,542 49,506,115 26,972,263 46,104,673 14,254,572 16,695,791 11,260,846 14,292,749 23,644,134 357,628,325 FOOD & STAPLES RETAILING - 0.4% 264,340 Kroger Co 475,697 * US Foods Holding Corp TOTAL FOOD & STAPLES RETAILING 9,037,785 11,492,839 20,530,624 FOOD, BEVERAGE & TOBACCO - 8.1% 800,148 Coca-Cola Co 664,775 ConAgra Foods, Inc 165,915 Constellation Brands, Inc (Class A) 987,046 Cott Corp 138,424 Fresh Del Monte Produce, Inc 157,740 General Mills, Inc 206,135 Groupe Danone 134,407 n Mead Johnson Nutrition Co 269,055 Molson Coors Brewing Co (Class B) 710,018 Mondelez International, Inc 218,499 * Monster Beverage Corp 513,096 PepsiCo, Inc 671,871 Philip Morris International, Inc 171,059 Pinnacle Foods, Inc 375,757 Reynolds American, Inc 70,312 * TreeHouse Foods, Inc TOTAL FOOD, BEVERAGE & TOBACCO 34,910,457 31,084,879 27,314,587 14,736,597 7,869,404 11,339,929 15,809,252 11,989,104 27,486,659 31,226,592 35,097,494 55,886,416 67,361,787 8,588,872 18,810,395 7,255,495 406,767,919 21 TIAA-CREF FUNDS - Growth & Income Fund SHARES VALUE COMPANY HEALTH CARE EQUIPMENT & SERVICES - 5.5% 523,615 Baxter International, Inc 1,270,015 * Boston Scientific Corp 108,131 * Centene Corp 319,348 *,n Edwards Lifesciences Corp 354,597 * HCA Holdings, Inc 37,866 * Intuitive Surgical, Inc 663,359 Medtronic plc 179,837 STERIS plc 243,313 n Universal Health Services, Inc (Class B) 179,371 * VCA Antech, Inc 62,512 * WellCare Health Plans, Inc TOTAL HEALTH CARE EQUIPMENT & SERVICES HOUSEHOLD & PERSONAL PRODUCTS - 1.5% 155,774 Beiersdorf AG. 206,764 * Central Garden & Pet Co 74,264 Church & Dwight Co, Inc 563,709 Procter & Gamble Co TOTAL HOUSEHOLD & PERSONAL PRODUCTS INSURANCE - 3.0% 783,204 303,330 408,180 136,067 155,135 MATERIALS - 2.8% 516,561 671,880 942,379 118,480 82,131 121,749 361,249 29,415 346,083 167,817 MEDIA - 3.4% 162,323 927,938 333,460 150,003 1,172,999 324,431 425,591 $ 25,143,992 30,835,964 7,628,642 36,571,733 27,350,067 26,345,648 58,130,149 12,759,435 31,516,333 12,796,327 6,676,282 275,754,572 14,634,948 5,016,095 7,295,695 48,247,853 75,194,591 American International Group, Inc * Berkshire Hathaway, Inc (Class B) Chubb Ltd Metlife, Inc Principal Financial Group TOTAL INSURANCE 42,637,626 43,761,419 51,128,627 5,815,503 7,233,945 150,577,120 Barrick Gold Corp *,e Cliffs Natural Resources, Inc Dow Chemical Co n Eagle Materials, Inc Ecolab, Inc Monsanto Co Olin Corp Syngenta AG. e,n United States Steel Corp WR Grace & Co TOTAL MATERIALS 11,292,023 5,314,571 50,577,481 9,946,396 9,722,668 12,999,141 7,550,104 11,568,484 9,513,822 12,564,459 141,049,149 * AMC Networks, Inc Comcast Corp (Class A) * Imax Corp Scripps Networks Interactive (Class A) Sky plc Time Warner, Inc Walt Disney Co TOTAL MEDIA 8,986,201 62,403,831 10,534,002 9,909,198 14,285,232 24,867,636 40,835,456 171,821,556 22 TIAA-CREF FUNDS - Growth & Income Fund SHARES COMPANY VALUE PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 10.9% 840,901 AbbVie, Inc 189,860 *,n Allergan plc 336,242 Amgen, Inc 507,830 e AstraZeneca plc (ADR) 207,830 *,n BioMarin Pharmaceutical, Inc 825,883 n Bristol-Myers Squibb Co 564,006 Eli Lilly & Co 638,855 * H Lundbeck AS 122,328 *,n Incyte Corp 317,427 Ipsen 133,402 *,n Jazz Pharmaceuticals plc 301,861 Johnson & Johnson 93,763 *,e Ligand Pharmaceuticals, Inc (Class B) 2,510,989 Pfizer, Inc 230,561 Shire Ltd TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES REAL ESTATE - 0.3% 248,217 70,638 RETAILING - 6.9% 134,398 34,724 320,915 618,884 393,263 2,158,133 199,272 87,778 63,657 67,239 $ 55,692,873 48,025,087 57,843,711 17,337,316 20,662,459 61,784,307 46,750,458 25,969,188 11,035,209 20,710,809 20,139,700 37,802,053 12,646,753 92,630,384 14,894,799 543,925,106 Communications Sales & Leasing, Inc n Crown Castle International Corp TOTAL REAL ESTATE 7,714,585 6,854,005 14,568,590 * Amazon.com, Inc * AutoZone, Inc *,n Dollar Tree, Inc Home Depot, Inc Industria De Diseno Textil S.A. * JC Penney Co, Inc * NetFlix, Inc *,n O’Reilly Automotive, Inc TJX Companies, Inc *,n Ulta Salon Cosmetics & Fragrance, Inc TOTAL RETAILING 101,982,546 28,264,294 30,900,906 85,554,524 13,600,505 20,847,565 18,183,570 25,510,920 5,202,050 17,563,499 347,610,379 SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 4.0% 1,107,660 Applied Materials, Inc 229,864 Broadcom Ltd 1,677,963 Intel Corp 334,634 e Microchip Technology, Inc 568,578 * Microsemi Corp 360,504 Nvidia Corp 154,974 * NXP Semiconductors NV TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT 29,120,381 37,233,371 58,493,790 18,619,036 22,174,542 20,584,778 13,031,764 199,257,662 SOFTWARE & SERVICES - 14.4% 283,814 * Adobe Systems, Inc 175,504 * Alphabet, Inc (Class C) 299,611 * CyberArk Software Ltd 646,024 * eBay, Inc 403,525 *,n Electronic Arts, Inc 756,955 * Facebook, Inc 27,774,038 134,925,720 16,895,064 20,130,108 30,797,028 93,817,003 23 TIAA-CREF FUNDS - Growth & Income Fund SHARES 230,034 193,648 2,090,893 77,385 1,096,124 412,436 75,827 574,775 78,290 1,284,965 461,073 715,099 848,328 COMPANY VALUE n IAC/InterActiveCorp *,n Manhattan Associates, Inc Microsoft Corp *,n MicroStrategy, Inc (Class A) Oracle Corp *,e Pandora Media, Inc *,e,n Proofpoint, Inc * Salesforce.com, Inc * ServiceNow, Inc Symantec Corp * Take-Two Interactive Software, Inc Tencent Holdings Ltd Visa, Inc (Class A) TOTAL SOFTWARE & SERVICES $ 13,332,771 11,241,266 118,511,815 13,533,863 44,984,929 5,609,130 5,752,994 47,016,595 5,865,487 26,251,835 18,525,913 17,271,875 66,212,001 718,449,435 TECHNOLOGY HARDWARE & EQUIPMENT - 5.4% 1,515,013 Apple, Inc 1,504,972 Cisco Systems, Inc 390,415 * Cray, Inc 173,893 * Electronics for Imaging, Inc 526,529 EMC Corp 1,147,681 * Flextronics International Ltd 832,248 Hewlett Packard Enterprise Co TOTAL TECHNOLOGY HARDWARE & EQUIPMENT 157,879,505 45,946,795 12,321,498 7,701,721 14,890,240 14,541,118 17,493,853 270,774,730 TELECOMMUNICATION SERVICES - 2.4% 455,989 *,n Level 3 Communications, Inc 651,032 * T-Mobile US, Inc 1,198,105 Verizon Communications, Inc TOTAL TELECOMMUNICATION SERVICES 23,073,043 30,168,823 66,386,998 119,628,864 TRANSPORTATION - 1.4% 227,004 Kansas City Southern Industries, Inc 442,232 United Parcel Service, Inc (Class B) TOTAL TRANSPORTATION UTILITIES - 2.7% 300,499 252,091 222,224 339,870 595,449 162,415 197,650 21,817,355 47,805,279 69,622,634 n American Water Works Co, Inc *,g DONG Energy A.S. NextEra Energy Partners LP NextEra Energy, Inc NiSource, Inc PG&E Corp n Sempra Energy TOTAL UTILITIES 24,815,207 10,267,701 6,940,056 43,601,923 15,279,221 10,384,815 22,113,082 133,402,005 TOTAL COMMON STOCKS (Cost $3,873,503,134) 4,986,222,872 24 TIAA-CREF FUNDS - Growth & Income Fund SHARES COMPANY VALUE PURCHASED OPTIONS - 0.0% CONSUMER DURABLES & APPAREL - 0.0% 60,000 Hanesbrands, Inc TOTAL CONSUMER DURABLES & APPAREL $ FOOD & STAPLES RETAILING - 0.0% 20,000 n Herbalife Ltd TOTAL FOOD & STAPLES RETAILING 32,000 32,000 HEALTH CARE EQUIPMENT & SERVICES - 0.0% 100,000 n Humana, Inc TOTAL HEALTH CARE EQUIPMENT & SERVICES MEDIA - 0.0% 60,000 15,000 15,000 750,000 750,000 6,000 6,000 n IMAX Corp TOTAL MEDIA SOFTWARE & SERVICES - 0.0% 30,000 Pandora Media, Inc TOTAL SOFTWARE & SERVICES 63,000 63,000 TECHNOLOGY HARDWARE & EQUIPMENT - 0.0% 30,000 Ciena Corp 45,000 Flextronics International Ltd 45,000 Lumentum Holdings, Inc TOTAL TECHNOLOGY HARDWARE & EQUIPMENT 27,900 5,400 9,000 42,300 908,300 TOTAL PURCHASED OPTIONS (Cost $1,674,382) RATE PRINCIPAL ISSUER SHORT-TERM INVESTMENTS - 1.9% GOVERNMENT AGENCY DEBT - 0.1% 6,550,000 $ Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT 0.090% MATURITY DATE 6,550,000 6,550,000 08/01/16 SHARES COMPANY INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 1.8% 89,535,541 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES 89,535,541 89,535,541 96,085,541 TOTAL SHORT-TERM INVESTMENTS (Cost $96,085,541) TOTAL INVESTMENTS - 101.5% (Cost $3,971,263,057) OTHER ASSETS & LIABILITIES, NET - (1.5)% NET ASSETS - 100.0% 5,083,216,713 $ 25 (76,977,899) 5,006,238,814 TIAA-CREF FUNDS - Growth & Income Fund Abbreviation(s): ADR American Depositary Receipt * c e g Non-income producing Investments made with cash collateral received from securities on loan. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $88,277,918. Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 7/31/16, the aggregate value of these securities was $22,100,220 or 0.4% of net assets. n All or a portion of these securities have been segregated by the custodian to cover requirements on open written options contracts. 26 TIAA-CREF FUNDS - Large-Cap Growth Fund TIAA-CREF FUNDS LARGE-CAP GROWTH FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.3% AUTOMOBILES & COMPONENTS - 0.7% 384,439 Delphi Automotive plc TOTAL AUTOMOBILES & COMPONENTS CAPITAL GOODS - 4.8% 247,179 317,614 252,479 382,604 $ 26,072,653 26,072,653 Honeywell International, Inc Northrop Grumman Corp Parker Hannifin Corp Raytheon Co TOTAL CAPITAL GOODS 28,754,333 68,804,721 28,830,577 53,384,736 179,774,367 COMMERCIAL & PROFESSIONAL SERVICES - 3.1% 1,665,248 Nielsen NV 318,132 * Verisk Analytics, Inc TOTAL COMMERCIAL & PROFESSIONAL SERVICES 89,690,257 27,130,297 116,820,554 CONSUMER DURABLES & APPAREL - 1.8% 523,205 Mattel, Inc 872,681 Nike, Inc (Class B) TOTAL CONSUMER DURABLES & APPAREL 17,464,583 48,433,795 65,898,378 CONSUMER SERVICES - 5.0% 318,560 ARAMARK Holdings Corp 78,999 * Chipotle Mexican Grill, Inc (Class A) 202,923 Las Vegas Sands Corp 918,594 * MGM Resorts International 691,743 * Norwegian Cruise Line Holdings Ltd 1,356,257 Starbucks Corp TOTAL CONSUMER SERVICES 11,420,376 33,494,786 10,278,050 22,027,884 29,468,252 78,730,719 185,420,067 DIVERSIFIED FINANCIALS - 0.5% 203,113 Charles Schwab Corp 93,174 S&P Global, Inc TOTAL DIVERSIFIED FINANCIALS ENERGY - 1.2% 453,299 283,388 5,772,471 11,385,863 17,158,334 EOG Resources, Inc * Rice Energy, Inc TOTAL ENERGY 37,034,528 6,608,608 43,643,136 FOOD & STAPLES RETAILING - 1.0% 170,090 Costco Wholesale Corp 348,968 * US Foods Holding Corp TOTAL FOOD & STAPLES RETAILING 28,442,450 8,431,067 36,873,517 27 TIAA-CREF FUNDS - Large-Cap Growth Fund SHARES COMPANY VALUE FOOD, BEVERAGE & TOBACCO - 3.2% 400,159 Molson Coors Brewing Co (Class B) 156,506 Mondelez International, Inc 345,169 * Monster Beverage Corp 315,850 Pinnacle Foods, Inc TOTAL FOOD, BEVERAGE & TOBACCO $ HEALTH CARE EQUIPMENT & SERVICES - 5.8% 1,270,484 Abbott Laboratories 1,236,729 * Cerner Corp 116,721 * Intuitive Surgical, Inc TOTAL HEALTH CARE EQUIPMENT & SERVICES HOUSEHOLD & PERSONAL PRODUCTS - 1.7% 665,359 Estee Lauder Cos (Class A) TOTAL HOUSEHOLD & PERSONAL PRODUCTS MATERIALS - 4.1% 286,460 871,884 84,084 MEDIA - 3.6% 1,230,285 885,817 231,044 117,208 56,854,159 77,159,522 81,209,803 215,223,484 61,811,851 61,811,851 Ecolab, Inc Monsanto Co Sherwin-Williams Co TOTAL MATERIALS 33,911,135 93,091,055 25,202,497 152,204,687 Comcast Corp (Class A) Interpublic Group of Cos, Inc Time Warner, Inc Walt Disney Co TOTAL MEDIA 82,736,667 20,426,940 17,709,523 11,246,107 132,119,237 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 13.5% 451,278 * Alexion Pharmaceuticals, Inc 322,343 * Allergan plc 128,452 * Biogen Idec, Inc 1,094,392 Bristol-Myers Squibb Co 685,091 * Celgene Corp 142,911 * Illumina, Inc 216,318 Johnson & Johnson 330,863 Thermo Electron Corp 98,740 * Vertex Pharmaceuticals, Inc 1,092,314 Zoetis Inc TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES RETAILING - 9.8% 226,757 76,999 435,718 396,080 533,482 638,570 6,924 40,880,243 6,883,134 55,444,497 15,858,828 119,066,702 * Amazon.com, Inc Expedia, Inc Home Depot, Inc * Liberty Interactive Corp Lowe’s Companies, Inc * NetFlix, Inc * Priceline.com, Inc TOTAL RETAILING 58,034,351 81,536,662 37,242,088 81,871,465 76,860,359 23,773,245 27,089,503 52,554,279 9,577,780 55,129,088 503,668,820 172,065,479 8,981,933 60,233,656 10,618,905 43,894,899 58,269,513 9,353,009 363,417,394 28 TIAA-CREF FUNDS - Large-Cap Growth Fund SHARES COMPANY VALUE SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 2.4% 202,117 Broadcom Ltd 406,047 Lam Research Corp 278,481 * Micron Technology, Inc 68,162 * NXP Semiconductors NV 205,287 Xilinx, Inc TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT SOFTWARE & SERVICES - 31.2% 1,056,648 Activision Blizzard, Inc 1,253,332 * Adobe Systems, Inc 111,090 * Alphabet, Inc (Class A) 182,838 * Alphabet, Inc (Class C) 85,613 Automatic Data Processing, Inc 316,006 * Check Point Software Technologies 1,039,883 * Facebook, Inc 153,065 IAC/InterActiveCorp 1,139,799 Intuit, Inc 807,604 MasterCard, Inc (Class A) 2,449,626 Microsoft Corp 74,251 *,e Mobileye NV 511,701 * Red Hat, Inc 891,278 * Salesforce.com, Inc 75,742 *,g Scout24 AG. 60,821 * ServiceNow, Inc 467,529 Symantec Corp 1,584,324 Visa, Inc (Class A) TOTAL SOFTWARE & SERVICES $ 32,738,912 36,450,839 3,826,329 5,731,742 10,486,060 89,233,882 42,434,984 122,651,070 87,909,961 140,564,026 7,615,276 24,294,541 128,883,099 8,871,647 126,506,291 76,916,205 138,844,802 3,557,366 38,525,968 72,906,540 3,121,089 4,556,709 9,551,618 123,656,488 1,161,367,680 TECHNOLOGY HARDWARE & EQUIPMENT - 4.0% 1,310,658 Apple, Inc 97,576 * Palo Alto Networks, Inc TOTAL TECHNOLOGY HARDWARE & EQUIPMENT 136,583,670 12,771,723 149,355,393 TELECOMMUNICATION SERVICES - 0.9% 692,653 * Level 3 Communications, Inc TOTAL TELECOMMUNICATION SERVICES 35,048,242 35,048,242 TRANSPORTATION - 1.0% 415,316 Union Pacific Corp TOTAL TRANSPORTATION 38,645,154 38,645,154 TOTAL COMMON STOCKS (Cost $2,774,198,994) 3,692,823,532 29 TIAA-CREF FUNDS - Large-Cap Growth Fund ISSUER PRINCIPAL SHORT-TERM INVESTMENTS - 1.4% GOVERNMENT AGENCY DEBT - 1.1% 40,000,000 $ Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT TREASURY DEBT - 0.2% 8,800,000 RATE United States Treasury Bill TOTAL TREASURY DEBT MATURITY DATE 0.090% 08/01/16 0.260 08/18/16 VALUE $ 8,799,234 8,799,234 COMPANY SHARES INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 0.1% 2,572,919 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES 2,572,919 2,572,919 51,372,153 TOTAL SHORT-TERM INVESTMENTS (Cost $51,371,839) TOTAL INVESTMENTS - 100.7% (Cost $2,825,570,833) OTHER ASSETS & LIABILITIES, NET - (0.7)% NET ASSETS - 100.0% * c e g 40,000,000 40,000,000 3,744,195,685 $ (26,405,188) 3,717,790,497 Non-income producing Investments made with cash collateral received from securities on loan. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $2,502,914. Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 7/31/16, the aggregate value of these securities was $3,121,089 or 0.1% of net assets. 30 TIAA-CREF FUNDS - Large-Cap Value Fund TIAA-CREF FUNDS LARGE-CAP VALUE FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 98.6% AUTOMOBILES & COMPONENTS - 0.4% 372,880 * American Axle & Manufacturing Holdings, Inc 1,152,879 Ford Motor Co TOTAL AUTOMOBILES & COMPONENTS BANKS - 9.9% 8,792,151 382,255 1,841,592 670,672 254,877 652,031 315,081 1,229,841 967,792 2,950,423 3,236,860 1,117,435 2,953,177 1,310,967 CAPITAL GOODS - 6.4% 373,273 146,792 1,131,907 99,109 1,718,683 195,105 377,030 611,482 104,185 837,792 713,275 1,432,300 1,483,091 274,646 334,634 $ 6,491,841 14,595,448 21,087,289 Bank of America Corp CIT Group, Inc Citigroup, Inc Citizens Financial Group, Inc Comerica, Inc * Hilltop Holdings, Inc Huntington Bancshares, Inc JPMorgan Chase & Co New York Community Bancorp, Inc Regions Financial Corp * Royal Bank of Scotland Group plc TCF Financial Corp Wells Fargo & Co Zions Bancorporation TOTAL BANKS 127,398,268 13,210,733 80,680,145 14,976,106 11,530,635 14,201,235 2,993,269 78,672,929 13,984,594 27,055,379 8,238,552 15,185,942 141,663,901 36,549,760 586,341,448 * AerCap Holdings NV Caterpillar, Inc * Colfax Corp General Dynamics Corp General Electric Co * Herc Holdings, Inc L-3 Communications Holdings, Inc Masco Corp Raytheon Co * SPX Corp * SPX FLOW, Inc Terex Corp Triumph Group, Inc United Technologies Corp * USG Corp TOTAL CAPITAL GOODS 13,628,197 12,148,506 33,232,790 14,558,121 53,519,789 6,896,962 57,169,059 22,306,863 14,536,933 12,684,171 19,458,142 34,575,722 45,723,695 29,565,642 9,423,293 379,427,885 CONSUMER DURABLES & APPAREL - 2.0% 1,586,801 Mattel, Inc 1,574,151 Pulte Homes, Inc 316,604 Sony Corp 52,967,417 33,340,518 10,393,123 31 TIAA-CREF FUNDS - Large-Cap Value Fund COMPANY SHARES 663,831 VALUE e Sony Corp (ADR) TOTAL CONSUMER DURABLES & APPAREL $ 22,178,594 118,879,652 CONSUMER SERVICES - 3.0% 1,099,723 ARAMARK Holdings Corp 299,456 Carnival Corp 1,355,115 Extended Stay America, Inc 1,111,556 * MGM Resorts International 795,107 * Red Rock Resorts, Inc 933,993 Restaurant Brands International, Inc 5,056,800 Sands China Ltd TOTAL CONSUMER SERVICES 39,425,070 13,990,584 19,188,428 26,655,113 18,295,412 41,777,507 19,348,250 178,680,364 DIVERSIFIED FINANCIALS - 5.2% 225,751 American Express Co 363,798 Bank of New York Mellon Corp 121,109 Capital One Financial Corp 678,132 Goldman Sachs Group, Inc 227,834 e iShares Dow Jones US Real Estate Index Fund 423,488 Legg Mason, Inc 1,094,503 Morgan Stanley 420,437 State Street Corp 2,433,253 * Synchrony Financial TOTAL DIVERSIFIED FINANCIALS 14,551,909 14,333,641 8,123,992 107,694,143 19,450,189 14,457,880 31,445,071 27,656,346 67,839,094 305,552,265 ENERGY - 13.4% 254,083 584,982 916,859 2,995 2,373,225 1,012,901 247,745 330,633 9,548 1,083,278 961,475 3,150,776 749,329 1,590,376 2,379,054 400,307 319,226 1,061,050 586,841 1,591,907 1,035,570 736,850 555,579 232,027 6,013,401 835,778 *,e *,e * * * * * *,e * * * Anadarko Petroleum Corp Apache Corp Baker Hughes, Inc California Resources Corp Cenovus Energy, Inc Chevron Corp Continental Resources, Inc Devon Energy Corp Diamondback Energy, Inc EOG Resources, Inc Exxon Mobil Corp Kinder Morgan, Inc Marathon Oil Corp Matador Resources Co Nabors Industries Ltd Newfield Exploration Co Occidental Petroleum Corp Parsley Energy, Inc Plains All American Pipeline LP Plains GP Holdings LP RPC, Inc RSP Permian, Inc Schlumberger Ltd Targa Resources Investments, Inc Weatherford International Ltd WPX Energy, Inc TOTAL ENERGY 13,855,146 30,711,555 43,853,366 30,729 33,937,117 103,802,094 10,913,167 12,656,631 838,219 88,503,813 85,523,201 64,055,276 10,220,848 33,541,030 21,411,486 17,333,293 23,855,759 30,250,536 16,349,390 16,906,052 15,005,409 26,489,758 44,735,221 8,645,326 34,156,118 8,349,422 795,929,962 32 TIAA-CREF FUNDS - Large-Cap Value Fund SHARES COMPANY VALUE FOOD & STAPLES RETAILING - 1.1% 539,842 * US Foods Holding Corp 156,175 Walgreens Boots Alliance, Inc 587,099 Wal-Mart Stores, Inc TOTAL FOOD & STAPLES RETAILING $ 13,042,583 12,376,869 42,840,614 68,260,066 FOOD, BEVERAGE & TOBACCO - 6.2% 1,067,379 ConAgra Foods, Inc 461,181 Kellogg Co 237,922 Kraft Heinz Co 66,928 Molson Coors Brewing Co (Class B) 1,278,745 Mondelez International, Inc 1,218,387 Philip Morris International, Inc 1,481,458 Pinnacle Foods, Inc 5,919 Snyder’s-Lance, Inc TOTAL FOOD, BEVERAGE & TOBACCO 49,910,642 38,144,281 20,554,082 6,837,364 56,239,205 122,155,481 74,384,006 202,785 368,427,846 HEALTH CARE EQUIPMENT & SERVICES - 5.0% 2,140,182 Abbott Laboratories 52,529 Anthem, Inc 102,134 Baxter International, Inc 1,413,394 * Boston Scientific Corp 300,500 Cigna Corp 319,763 * Express Scripts Holding Co 289,080 Medtronic plc 308,800 * WellCare Health Plans, Inc 274,493 Zimmer Holdings, Inc TOTAL HEALTH CARE EQUIPMENT & SERVICES 95,773,144 6,899,159 4,904,475 34,317,206 38,752,480 24,324,372 25,332,080 32,979,840 35,997,012 299,279,768 HOUSEHOLD & PERSONAL PRODUCTS - 2.1% 1,436,910 Procter & Gamble Co TOTAL HOUSEHOLD & PERSONAL PRODUCTS 122,985,127 122,985,127 INSURANCE - 5.9% 337,915 801,182 402,084 334,332 465,114 940,712 889,521 205,060 197,420 1,352,630 MATERIALS - 4.6% 29,865 197,354 2,571,078 219,018 Allstate Corp American International Group, Inc * Berkshire Hathaway, Inc (Class B) Chubb Ltd Hartford Financial Services Group, Inc Metlife, Inc Principal Financial Group Travelers Cos, Inc W.R. Berkley Corp XL Group Ltd TOTAL INSURANCE 23,089,732 43,616,348 58,008,659 41,878,426 18,534,793 40,206,031 41,478,364 23,832,073 11,487,870 46,814,524 348,946,820 e Acerinox S.A. Albemarle Corp Alcoa, Inc * Berry Plastics Group, Inc 399,345 16,611,286 27,304,848 8,979,738 33 TIAA-CREF FUNDS - Large-Cap Value Fund SHARES 376,589 375,248 1,289,166 568,459 4,309,289 2,023,498 1,189,044 MEDIA - 0.7% 142,971 71,576 147,380 270,324 VALUE COMPANY Dow Chemical Co EI du Pont de Nemours & Co Freeport-McMoRan Copper & Gold, Inc (Class B) * GCP Applied Technologies, Inc * Louisiana-Pacific Corp * Multi Packaging Solutions International Ltd Olin Corp TOTAL MATERIALS $ * AMC Networks, Inc Naspers Ltd (N Shares) Time Warner, Inc Tribune Co TOTAL MEDIA 7,914,875 11,231,940 11,296,677 10,015,504 40,458,996 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 6.5% 1,116,279 Agilent Technologies, Inc 234,858 * Allergan plc 594,015 * Endo International plc 749,820 Johnson & Johnson 1,068,087 Merck & Co, Inc 2,737,824 Pfizer, Inc 15,196 e Shire plc (ADR) TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES REAL ESTATE - 2.1% 54,102 381,165 62,000 920,543 363,672 3,902,068 RETAILING - 1.3% 3,404,554 11,456,000 12,959,320 4,318,385 2,265,550 20,211,532 25,955,904 16,707,591 15,649,676 87,047,638 29,381,191 24,851,020 273,099,769 AvalonBay Communities, Inc HCP, Inc * Lifestyle Properties Development Ltd MGM Growth Properties LLC Post Properties, Inc WP GLIMCHER, Inc TOTAL REAL ESTATE 53,704,183 59,407,331 10,312,100 93,899,959 62,653,983 100,998,327 2,949,848 383,925,731 10,044,036 14,953,103 14,225 24,955,921 23,125,902 49,478,222 122,571,409 *,e Groupon, Inc Hengdeli Holdings Ltd * Intime Retail Group Co Ltd * JC Penney Co, Inc * Office Depot, Inc TOTAL RETAILING 16,409,950 1,199,006 10,228,891 41,715,599 7,838,803 77,392,249 SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 4.7% 5,236,111 *,e Advanced Micro Devices, Inc 3,941,370 Advanced Semiconductor Engineering, Inc (ADR) 1,553,028 e Cypress Semiconductor Corp 2,746,287 Intel Corp 2,515,241 Marvell Technology Group Ltd 585,068 * Mellanox Technologies Ltd 1,834,952 * ON Semiconductor Corp 315,968 Qualcomm, Inc 35,919,721 22,662,878 18,077,246 95,735,565 29,554,082 25,848,304 18,404,569 19,773,277 34 TIAA-CREF FUNDS - Large-Cap Value Fund COMPANY SHARES 193,649 VALUE Xilinx, Inc TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT $ 9,891,591 275,867,233 SOFTWARE & SERVICES - 3.3% 104,988 * Cimpress NV 631,183 * eBay, Inc 207,011 IAC/InterActiveCorp 105,339 * MicroStrategy, Inc (Class A) 2,162,489 Oracle Corp 1,609,005 Symantec Corp 467,215 * Teradata Corp TOTAL SOFTWARE & SERVICES 9,952,862 19,667,662 11,998,358 18,422,738 88,748,548 32,871,972 13,259,562 194,921,702 TECHNOLOGY HARDWARE & EQUIPMENT - 3.5% 1,104,062 * Ciena Corp 2,230,234 Cisco Systems, Inc 396,745 Corning, Inc 1,572,437 Hewlett Packard Enterprise Co 323,804 Hitachi High-Technologies Corp 1,226,104 HP, Inc 961,369 * Lumentum Holdings, Inc 371,970 Western Digital Corp TOTAL TECHNOLOGY HARDWARE & EQUIPMENT 21,186,950 68,089,044 8,815,674 33,052,626 11,016,524 17,177,717 29,081,412 17,672,294 206,092,241 TELECOMMUNICATION SERVICES - 4.5% 2,205,997 AT&T, Inc 825,457 * Level 3 Communications, Inc 1,360,594 Telephone & Data Systems, Inc 1,554,085 Verizon Communications, Inc TOTAL TELECOMMUNICATION SERVICES 95,497,610 41,768,124 42,845,105 86,111,850 266,222,689 TRANSPORTATION - 2.3% 534,476 726,667 *,b,m 585,297 * 441,594 503,356 UTILITIES - 4.5% 285,373 271,135 1,855,215 205,146 245,449 466,448 580,258 403,666 110,239 926,209 American Airlines Group, Inc AMR Corp (Escrow) Hertz Global Holdings, Inc Kansas City Southern Industries, Inc Union Pacific Corp TOTAL TRANSPORTATION 18,973,898 7,267 28,492,258 42,441,599 46,837,276 136,752,298 American Electric Power Co, Inc Duke Energy Corp * Dynegy, Inc Edison International Exelon Corp FirstEnergy Corp NextEra Energy, Inc PG&E Corp Sempra Energy Xcel Energy, Inc TOTAL UTILITIES 19,776,349 23,206,445 28,069,403 15,874,197 9,150,339 16,288,364 74,441,299 25,810,404 12,333,539 40,734,672 265,685,011 TOTAL COMMON STOCKS (Cost $4,994,129,863) 5,836,787,820 35 TIAA-CREF FUNDS - Large-Cap Value Fund PRINCIPAL RATE ISSUER SHORT-TERM INVESTMENTS - 1.3% GOVERNMENT AGENCY DEBT - 0.2% $ 11,800,000 Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT 0.090% MATURITY DATE 08/01/16 VALUE $ SHARES COMPANY INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 1.1% 67,726,270 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $79,526,270) TOTAL INVESTMENTS - 99.9% (Cost $5,073,656,133) OTHER ASSETS & LIABILITIES, NET - 0.1% NET ASSETS - 100.0% 67,726,270 67,726,270 79,526,270 5,916,314,090 $ Abbreviation(s): ADR American Depositary Receipt * b c e m 11,800,000 11,800,000 Non-income producing In bankruptcy Investments made with cash collateral received from securities on loan. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $67,254,713. Indicates a security that has been deemed illiquid. 36 6,897,139 5,923,211,229 TIAA-CREF FUNDS - Mid-Cap Growth Fund TIAA-CREF FUNDS MID-CAP GROWTH FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 COMPANY SHARES VALUE COMMON STOCKS - 99.4% AUTOMOBILES & COMPONENTS - 1.2% 276,078 Delphi Automotive plc TOTAL AUTOMOBILES & COMPONENTS BANKS - 2.4% 494,427 1,102,212 81,043 51,004 $ Citizens Financial Group, Inc Investors Bancorp, Inc * Signature Bank * SVB Financial Group TOTAL BANKS CAPITAL GOODS - 11.2% 62,749 81,546 174,746 261,035 242,685 110,700 * 89,168 547,304 127,027 * 238,921 99,823 73,428 65,532 * 439,800 * 18,723,610 18,723,610 11,040,555 12,521,128 9,744,610 5,121,822 38,428,115 Acuity Brands, Inc Allegion plc Ametek, Inc Fastenal Co Fortune Brands Home & Security, Inc GMS, Inc Lennox International, Inc Masco Corp Middleby Corp Owens Corning, Inc Roper Industries, Inc Snap-On, Inc TransDigm Group, Inc USG Corp TOTAL CAPITAL GOODS 16,467,220 5,903,115 8,218,305 11,159,246 15,354,680 2,795,175 13,981,542 19,965,650 15,291,510 12,641,310 17,005,846 11,540,679 18,317,505 12,384,768 181,026,551 COMMERCIAL & PROFESSIONAL SERVICES - 3.3% 81,302 Equifax, Inc 329,467 Nielsen NV 96,603 * Stericycle, Inc 200,166 * Verisk Analytics, Inc TOTAL COMMERCIAL & PROFESSIONAL SERVICES 10,769,263 17,745,093 8,720,353 17,070,156 54,304,865 CONSUMER DURABLES & APPAREL - 6.1% 236,140 DR Horton, Inc 417,741 Hanesbrands, Inc 177,922 Harman International Industries, Inc 292,777 * Kate Spade & Co 544,132 Mattel, Inc 71,846 * Mohawk Industries, Inc 337,813 Newell Brands, Inc 5,136 * NVR, Inc TOTAL CONSUMER DURABLES & APPAREL 7,764,284 11,136,975 14,703,474 6,350,333 18,163,126 15,011,503 17,721,670 8,756,880 99,608,245 37 TIAA-CREF FUNDS - Mid-Cap Growth Fund SHARES COMPANY VALUE CONSUMER SERVICES - 4.3% 459,000 ARAMARK Holdings Corp 34,688 * Chipotle Mexican Grill, Inc (Class A) 640,732 Melco Crown Entertainment Ltd (ADR) 106,024 * Norwegian Cruise Line Holdings Ltd 138,675 * Red Rock Resorts, Inc 223,932 Restaurant Brands International, Inc 116,173 * ServiceMaster Global Holdings, Inc 189,994 *,e Zoe’s Kitchen, Inc TOTAL CONSUMER SERVICES $ DIVERSIFIED FINANCIALS - 5.4% 55,000 * Affiliated Managers Group, Inc 626,010 e,n iShares Russell Midcap Growth Index Fund 283,859 Lazard Ltd (Class A) 173,000 Oaktree Capital Group LLC TOTAL DIVERSIFIED FINANCIALS ENERGY - 0.9% 75,719 218,478 16,455,150 14,707,365 8,944,619 4,516,622 3,190,912 10,016,478 4,394,825 6,752,387 68,978,358 8,072,900 61,286,379 10,145,121 8,030,660 87,535,060 * Diamondback Energy, Inc * RSP Permian, Inc TOTAL ENERGY 6,647,371 7,854,284 14,501,655 FOOD & STAPLES RETAILING - 0.2% 152,766 * US Foods Holding Corp TOTAL FOOD & STAPLES RETAILING 3,690,827 3,690,827 FOOD, BEVERAGE & TOBACCO - 6.3% 204,240 ConAgra Foods, Inc 26,548 Constellation Brands, Inc (Class A) 128,248 Dr Pepper Snapple Group, Inc 79,879 Hershey Co 136,964 Kellogg Co 85,597 Mead Johnson Nutrition Co 175,701 * Post Holdings, Inc 153,376 Tyson Foods, Inc (Class A) 395,569 * WhiteWave Foods Co (Class A) TOTAL FOOD, BEVERAGE & TOBACCO 9,550,262 4,370,597 12,633,711 8,847,398 11,328,292 7,635,252 15,228,006 11,288,474 21,950,124 102,832,116 HEALTH CARE EQUIPMENT & SERVICES - 11.7% 278,645 *,e Acadia Healthcare Co, Inc 32,197 Bard (C.R.), Inc 519,488 * Brookdale Senior Living, Inc 226,405 * Centene Corp 312,337 * Cerner Corp 101,381 * DexCom, Inc 208,534 * Edwards Lifesciences Corp 513,162 * Envision Healthcare Holdings, Inc 93,167 * Henry Schein, Inc 253,463 * Insulet Corp 15,743,442 7,203,435 9,594,943 15,972,873 19,486,705 9,350,370 23,881,314 12,618,654 16,861,364 8,970,055 38 TIAA-CREF FUNDS - Mid-Cap Growth Fund SHARES 31,664 216,017 96,239 COMPANY VALUE * Intuitive Surgical, Inc * MEDNAX, Inc Zimmer Holdings, Inc TOTAL HEALTH CARE EQUIPMENT & SERVICES HOUSEHOLD & PERSONAL PRODUCTS - 0.4% 68,235 Church & Dwight Co, Inc TOTAL HOUSEHOLD & PERSONAL PRODUCTS MATERIALS - 5.1% 114,205 162,869 377,086 155,727 631,980 160,968 25,769 155,727 MEDIA - 1.4% 97,353 719,463 RETAILING - 11.5% 29,024 27,220 236,882 258,322 67,690 88,528 374,095 375,041 171,563 230,329 30,348 22,030,545 14,885,731 12,620,782 189,220,213 6,703,406 6,703,406 Albemarle Corp Avery Dennison Corp * Berry Plastics Group, Inc * GCP Applied Technologies, Inc Olin Corp Sealed Air Corp Sherwin-Williams Co WR Grace & Co TOTAL MATERIALS 9,612,635 12,685,867 15,460,526 4,287,164 13,208,382 7,594,470 7,723,742 11,659,281 82,232,067 * AMC Networks, Inc Interpublic Group of Cos, Inc TOTAL MEDIA 5,389,462 16,590,817 21,980,279 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 4.4% 128,882 * BioMarin Pharmaceutical, Inc 99,119 * Coherus Biosciences, Inc 77,700 * Illumina, Inc 159,598 * Incyte Corp 966,100 * Merrimack Pharmaceuticals, Inc 469,369 Zoetis Inc TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES REAL ESTATE - 2.0% 65,376 242,531 $ n Equinix, Inc Gaming and Leisure Properties, Inc TOTAL REAL ESTATE 12,813,449 2,516,631 12,925,395 14,397,336 5,603,380 23,689,053 71,945,244 24,376,749 8,689,886 33,066,635 Advance Auto Parts, Inc * AutoZone, Inc Dollar General Corp * Dollar Tree, Inc Expedia, Inc * O’Reilly Automotive, Inc Ross Stores, Inc * Sally Beauty Holdings, Inc Signet Jewelers Ltd Tractor Supply Co * Ulta Salon Cosmetics & Fragrance, Inc TOTAL RETAILING 4,930,017 22,156,263 22,442,201 24,873,825 7,896,038 25,728,893 23,130,294 10,999,953 15,082,103 21,109,653 7,927,201 186,276,441 39 TIAA-CREF FUNDS - Mid-Cap Growth Fund SHARES COMPANY VALUE SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 4.6% 751 Analog Devices, Inc 210,474 ChipMOS TECHNOLOGIES Bermuda Ltd 195,346 e Lam Research Corp 91,050 Maxim Integrated Products, Inc 206,682 * Mellanox Technologies Ltd 265,039 Microchip Technology, Inc 324,129 Nvidia Corp 118,142 Skyworks Solutions, Inc TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT SOFTWARE & SERVICES - 15.5% 33,080 * Alliance Data Systems Corp 258,763 CDK Global, Inc 76,390 * Citrix Systems, Inc 261,308 * comScore, Inc 302,388 CSRA, Inc 247,485 * Electronic Arts, Inc 143,180 Fidelity National Information Services, Inc 130,483 * Fiserv, Inc 131,008 * FleetCor Technologies, Inc 241,102 * Fortinet, Inc 246,400 *,e GrubHub, Inc 166,722 * Guidewire Software, Inc 131,542 IAC/InterActiveCorp 56,978 * LinkedIn Corp 56,735 * MicroStrategy, Inc (Class A) 251,806 *,e Mobileye NV 230,925 *,e,n Proofpoint, Inc 263,366 * QLIK Technologies, Inc 649,075 * RingCentral, Inc 161,194 * ServiceNow, Inc 103,865 * Splunk, Inc 263,363 * Vantiv, Inc TOTAL SOFTWARE & SERVICES $ 47,936 3,653,829 17,536,210 3,713,019 9,131,211 14,746,770 18,507,766 7,799,735 75,136,476 7,661,990 14,953,914 6,808,641 6,780,943 8,140,285 18,888,055 11,387,105 14,400,104 19,871,293 8,363,828 9,343,488 10,248,401 7,624,174 10,981,370 9,922,384 12,064,026 17,520,280 7,953,653 14,948,197 12,076,655 6,495,717 14,424,391 250,858,894 TECHNOLOGY HARDWARE & EQUIPMENT - 1.5% 343,064 * Lumentum Holdings, Inc 48,163 * Palo Alto Networks, Inc 16,340 * Talend S.A. (ADR) 283,287 * Trimble Navigation Ltd TOTAL TECHNOLOGY HARDWARE & EQUIPMENT TOTAL COMMON STOCKS (Cost $1,360,441,099) 10,377,686 6,304,055 416,670 7,490,108 24,588,519 1,611,637,576 40 TIAA-CREF FUNDS - Mid-Cap Growth Fund SHARES VALUE COMPANY PURCHASED OPTIONS - 0.0% SOFTWARE & SERVICES - 0.0% 150,000 Proofpoint, Inc TOTAL SOFTWARE & SERVICES $ 52,500 52,500 52,500 TOTAL PURCHASED OPTIONS (Cost $542,625) PRINCIPAL ISSUER SHORT-TERM INVESTMENTS - 5.5% GOVERNMENT AGENCY DEBT - 1.0% $ 16,350,000 Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT RATE 0.090% MATURITY DATE 08/01/16 16,350,000 16,350,000 SHARES COMPANY INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 4.5% 73,456,602 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $89,806,602) TOTAL INVESTMENTS - 104.9% (Cost $1,450,790,326) OTHER ASSETS & LIABILITIES, NET - (4.9)% NET ASSETS - 100.0% 73,456,602 73,456,602 89,806,602 1,701,496,678 $ (79,504,602) 1,621,992,076 Abbreviation(s): ADR American Depositary Receipt * c e n Non-income producing Investments made with cash collateral received from securities on loan. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $71,283,650. All or a portion of these securities have been segregated by the custodian to cover requirements on open written options contracts. 41 TIAA-CREF FUNDS - Mid-Cap Value Fund TIAA-CREF FUNDS MID-CAP VALUE FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.0% AUTOMOBILES & COMPONENTS - 0.9% 177,748 Delphi Automotive plc 183,655 Lear Corp 244,253 Magna International, Inc (Class A) 91,834 Visteon Corp TOTAL AUTOMOBILES & COMPONENTS BANKS - 6.6% 605,689 555,936 730,000 748,294 370,000 1,150,102 1,830,000 1,214,578 1,553,233 208,539 800,000 1,000,000 785,709 618,541 724,909 670,000 187,089 1,015,000 CAPITAL GOODS - 6.5% 500,000 1,050,000 243,566 225,000 570,000 168,377 382,911 482,819 700,000 246,326 140,000 355,448 205,794 138,257 456,339 1,530,000 $ 12,054,869 20,835,660 9,420,838 6,436,645 48,748,012 BankUnited CIT Group, Inc Comerica, Inc East West Bancorp, Inc First Republic Bank * Hilltop Holdings, Inc Huntington Bancshares, Inc Investors Bancorp, Inc Keycorp M&T Bank Corp New York Community Bancorp, Inc Regions Financial Corp SunTrust Banks, Inc Synovus Financial Corp Talmer Bancorp Inc TCF Financial Corp Wintrust Financial Corp Zions Bancorporation TOTAL BANKS 18,182,784 19,213,148 33,025,200 25,606,621 26,517,900 25,049,222 17,385,000 13,797,606 18,172,826 23,890,228 11,560,000 9,170,000 33,227,633 18,828,388 15,237,587 9,105,300 9,878,299 28,298,200 356,145,942 * AerCap Holdings NV * Babcock & Wilcox Enterprises, Inc Crane Co Fluor Corp Hexcel Corp Hubbell, Inc Ingersoll-Rand plc ITT, Inc KBR, Inc L-3 Communications Holdings, Inc Lennox International, Inc Masco Corp * Masonite International Corp Rockwell Collins, Inc * SPX FLOW, Inc Textron, Inc 18,255,000 16,128,000 15,174,162 12,042,000 24,606,900 18,156,092 25,371,683 15,310,190 9,814,000 37,350,411 21,952,000 12,966,743 14,370,595 11,699,307 12,448,928 59,670,000 42 TIAA-CREF FUNDS - Mid-Cap Value Fund COMPANY SHARES 150,000 111,865 VALUE * WABCO Holdings, Inc Westinghouse Air Brake Technologies Corp TOTAL CAPITAL GOODS $ COMMERCIAL & PROFESSIONAL SERVICES - 0.9% 807,374 Republic Services, Inc 209,555 Tyco International plc TOTAL COMMERCIAL & PROFESSIONAL SERVICES CONSUMER DURABLES & APPAREL - 2.7% 1,040,000 Mattel, Inc 104,325 * Mohawk Industries, Inc 764,569 Newell Brands, Inc 5,994 * NVR, Inc 314,503 Sony Corp 217,480 * Steven Madden Ltd 265,000 *,e Tempur Sealy International, Inc TOTAL CONSUMER DURABLES & APPAREL 18,443,104 13,244,080 4,204,731 12,970,403 48,862,318 DIVERSIFIED FINANCIALS - 3.0% 490,000 Ameriprise Financial, Inc 1,210,699 * E*TRADE Financial Corp 258,410 Lazard Ltd (Class A) 408,646 Raymond James Financial, Inc 1,838,491 * Synchrony Financial TOTAL DIVERSIFIED FINANCIALS * * *,e * * * * 41,385,991 9,549,422 50,935,413 34,715,200 21,797,665 40,109,290 10,219,770 10,324,153 7,616,150 20,041,950 144,824,178 CONSUMER SERVICES - 0.9% 514,452 ARAMARK Holdings Corp 215,141 Darden Restaurants, Inc 233,856 Interval Leisure Group, Inc 289,971 Restaurant Brands International, Inc TOTAL CONSUMER SERVICES ENERGY - 10.3% 285,000 330,000 435,000 1,150,000 1,550,000 320,000 284,457 615,000 260,075 182,471 625,000 306,458 1,000,000 253,484 1,030,000 640,000 167,849 15,040,500 7,662,753 348,019,264 46,961,600 30,364,331 9,235,574 22,434,665 51,257,129 160,253,299 Anadarko Petroleum Corp Apache Corp Baker Hughes, Inc Callon Petroleum Co Capital Product Partners LP Cimarex Energy Co Concho Resources, Inc Continental Resources, Inc Diamondback Energy, Inc Dril-Quip, Inc Energen Corp EQT Corp Hess Corp HollyFrontier Corp Matador Resources Co Newfield Exploration Co Noble Energy, Inc 15,541,050 17,325,000 20,806,050 13,098,500 5,843,500 38,406,400 35,329,559 27,090,750 22,831,984 9,931,897 29,612,500 22,328,530 53,650,000 6,443,563 21,722,700 27,712,000 5,995,566 43 TIAA-CREF FUNDS - Mid-Cap Value Fund SHARES 272,275 1,005,662 867,469 205,000 525,000 677,860 450,000 622,313 886,306 150,000 485,635 235,732 COMPANY VALUE Oceaneering International, Inc * Parsley Energy, Inc Patterson-UTI Energy, Inc Pioneer Natural Resources Co Plains All American Pipeline LP Rowan Cos plc *,e RPC, Inc * RSP Permian, Inc Superior Energy Services Targa Resources Investments, Inc Tesco Corp Tesoro Corp TOTAL ENERGY $ 7,591,027 28,671,424 16,820,224 33,326,850 14,626,500 10,330,587 6,520,500 22,372,152 14,154,307 5,589,000 3,210,047 17,950,992 554,833,159 FOOD, BEVERAGE & TOBACCO - 6.1% 1,060,000 Bunge Ltd 1,170,000 ConAgra Foods, Inc 1,350,000 e Cott Corp 440,000 Dean Foods Co 436,668 Molson Coors Brewing Co (Class B) 542,579 Pinnacle Foods, Inc 310,000 * Post Holdings, Inc 460,176 Reynolds American, Inc 730,000 Tyson Foods, Inc (Class A) TOTAL FOOD, BEVERAGE & TOBACCO 69,790,400 54,709,200 20,155,500 8,122,400 44,610,003 27,242,892 26,867,700 23,036,410 53,728,000 328,262,505 HEALTH CARE EQUIPMENT & SERVICES - 2.6% 2,180,000 * Boston Scientific Corp 121,084 * HCA Holdings, Inc 165,289 Healthsouth Corp 104,325 Humana, Inc 234,537 Universal Health Services, Inc (Class B) 182,979 Zimmer Holdings, Inc TOTAL HEALTH CARE EQUIPMENT & SERVICES 52,930,400 9,339,209 7,115,691 18,001,279 30,379,578 23,995,866 141,762,023 INSURANCE - 7.3% 450,000 303,015 257,127 278,443 293,179 575,000 112,047 1,217,755 202,977 568,284 550,000 340,000 142,347 351,986 654,900 1,000,000 Allied World Assurance Co Holdings Ltd Aon plc * Arch Capital Group Ltd Argo Group International Holdings Ltd Chubb Ltd Conseco, Inc Everest Re Group Ltd Hartford Financial Services Group, Inc Intact Financial Corp Marsh & McLennan Cos, Inc Principal Financial Group ProAssurance Corp RenaissanceRe Holdings Ltd UnumProvident Corp Validus Holdings Ltd XL Group Ltd TOTAL INSURANCE 18,445,500 32,443,816 18,675,134 14,448,407 36,723,601 9,987,750 21,178,004 48,527,537 14,549,548 37,364,673 25,646,500 17,564,400 16,728,620 11,759,852 32,371,707 34,610,000 391,025,049 44 TIAA-CREF FUNDS - Mid-Cap Value Fund COMPANY SHARES MATERIALS - 7.4% 770,000 198,468 550,000 701,475 279,414 385,656 721,632 1,600,000 570,820 19,192 2,510,000 1,458,097 440,000 908,023 142,863 550,000 115,152 570,820 MEDIA - 1.5% 95,000 390,247 1,336,262 45,929 1,550,000 137,753 142,347 * * * * * * * * VALUE Albemarle Corp Ashland, Inc Axiall Corp Berry Plastics Group, Inc Clearwater Paper Corp Crown Holdings, Inc Ferro Corp Freeport-McMoRan Copper & Gold, Inc (Class B) GCP Applied Technologies, Inc Ingevity Corp Louisiana-Pacific Corp Multi Packaging Solutions International Ltd Newmont Mining Corp Olin Corp Schweitzer-Mauduit International, Inc Steel Dynamics, Inc WestRock Co WR Grace & Co TOTAL MATERIALS $ * DISH Network Corp (Class A) EW Scripps Co (Class A) Interpublic Group of Cos, Inc * Madison Square Garden Co e MDC Partners, Inc * MSG Networks, Inc Tribune Co TOTAL MEDIA 5,074,900 6,618,589 30,814,202 8,395,362 19,778,000 2,210,936 5,273,956 78,165,945 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 2.6% 1,040,000 Agilent Technologies, Inc 558,000 * H Lundbeck AS 102,000 Lonza Group AG. 1,024,436 * Merrimack Pharmaceuticals, Inc 660,000 * Mylan NV 210,000 PerkinElmer, Inc TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES REAL ESTATE - 11.5% 467,694 475,000 295,000 471,906 224,500 760,000 745,044 351,383 860,000 1,170,000 1,800,000 64,810,900 22,474,516 17,957,500 28,760,475 17,577,935 20,428,198 9,352,351 20,736,000 15,714,675 734,478 50,702,000 21,171,568 19,360,000 18,977,681 5,401,650 14,751,000 4,941,172 42,737,293 396,589,392 American Assets Trust,Inc American Campus Communities, Inc AvalonBay Communities, Inc Blackstone Mortgage Trust, Inc Boston Properties, Inc DDR Corp * Equity Commonwealth Gaming and Leisure Properties, Inc General Growth Properties, Inc HCP, Inc Host Marriott Corp 50,034,400 22,682,466 19,208,671 5,941,729 30,881,400 11,953,200 140,701,866 21,457,801 25,683,250 54,766,750 13,689,993 31,908,185 15,002,400 22,366,221 12,590,053 27,477,000 45,899,100 31,932,000 45 TIAA-CREF FUNDS - Mid-Cap Value Fund COMPANY SHARES 782,297 628,987 1,257,494 300,000 460,051 336,731 690,000 657,440 525,000 449,932 590,000 2,875,000 RETAILING - 3.0% 96,439 4,650,000 1,055,966 133,175 3,700,000 849,362 545,000 VALUE Kennedy-Wilson Holdings, Inc Kimco Realty Corp MFA Mortgage Investments, Inc Mid-America Apartment Communities, Inc Pennsylvania REIT Post Properties, Inc Prologis, Inc STORE Capital Corp Ventas, Inc Weingarten Realty Investors Welltower, Inc WP GLIMCHER, Inc TOTAL REAL ESTATE *,e * * * $ Advance Auto Parts, Inc JC Penney Co, Inc Liberty Interactive Corp Liberty Ventures Office Depot, Inc Staples, Inc TJX Companies, Inc TOTAL RETAILING 16,467,352 20,190,483 9,456,355 31,806,000 11,703,697 21,412,724 37,598,100 20,505,553 39,984,000 19,432,563 46,804,700 36,455,000 614,589,280 16,381,129 44,919,000 28,310,448 5,022,029 12,802,000 7,890,573 44,537,400 159,862,579 SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.1% 1,253,384 Applied Materials, Inc 562,821 e Cypress Semiconductor Corp 462,982 e Lam Research Corp 1,625,000 * Micron Technology, Inc 150,000 * NXP Semiconductors NV 1,370,348 * ON Semiconductor Corp 740,000 Xilinx, Inc TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT 32,951,465 6,551,237 41,561,894 22,327,500 12,613,500 13,744,590 37,799,200 167,549,386 SOFTWARE & SERVICES - 2.9% 998,134 CA, Inc 195,732 * Citrix Systems, Inc 26,635 *,e CommerceHub, Inc 13,318 *,e CommerceHub, Inc (Series A) 250,000 IAC/InterActiveCorp 855,000 Mentor Graphics Corp 2,315,522 Symantec Corp 2,000,000 Xerox Corp TOTAL SOFTWARE & SERVICES 34,585,343 17,445,593 372,890 187,777 14,490,000 18,262,800 47,306,115 20,600,000 153,250,518 TECHNOLOGY HARDWARE & EQUIPMENT - 3.9% 1,350,000 Brocade Communications Systems, Inc 2,575,496 * Ciena Corp 870,000 Juniper Networks, Inc 783,056 * Lumentum Holdings, Inc 1,705,000 e Nokia Corp 1,800,000 Nokia Oyj (Turquoise) 747,075 TE Connectivity Ltd 12,555,000 49,423,768 19,740,300 23,687,444 9,837,850 10,385,094 45,033,681 46 TIAA-CREF FUNDS - Mid-Cap Value Fund COMPANY SHARES 770,000 VALUE Western Digital Corp TOTAL TECHNOLOGY HARDWARE & EQUIPMENT TELECOMMUNICATION SERVICES - 1.6% 1,110,000 * Level 3 Communications, Inc 442,347 Telephone & Data Systems, Inc 316,488 * T-Mobile US, Inc TOTAL TELECOMMUNICATION SERVICES TRANSPORTATION - 1.4% 125,000 260,000 * 216,192 930,000 60,000 250,000 UTILITIES - 12.3% 250,000 335,000 417,453 540,000 1,245,126 710,000 445,000 900,000 718,342 620,000 400,000 136,736 190,000 850,000 316,070 565,094 510,000 325,000 1,082,301 833,276 287,342 616,290 327,000 239,387 540,000 $ 36,582,700 207,245,837 56,166,000 13,929,507 14,666,054 84,761,561 Alaska Air Group, Inc Avis Budget Group, Inc Costamare, Inc CSX Corp Delta Air Lines, Inc Kansas City Southern Industries, Inc TOTAL TRANSPORTATION 8,402,500 9,549,800 2,116,520 26,346,900 2,325,000 24,027,500 72,768,220 Ameren Corp American Electric Power Co, Inc American Water Works Co, Inc * Calpine Corp Centerpoint Energy, Inc CMS Energy Corp DTE Energy Co * Dynegy, Inc Edison International FirstEnergy Corp ITC Holdings Corp National Fuel Gas Co NextEra Energy, Inc NiSource, Inc NorthWestern Corp OGE Energy Corp PG&E Corp Pinnacle West Capital Corp PPL Corp Public Service Enterprise Group, Inc Questar Corp Sempra Energy Southwest Gas Corp Westar Energy, Inc Xcel Energy, Inc TOTAL UTILITIES 13,110,000 23,215,500 34,473,269 7,419,600 29,783,414 32,077,800 43,396,400 13,617,000 55,585,304 21,650,400 18,500,000 7,726,951 24,375,100 21,811,000 19,198,092 18,179,074 32,609,400 25,632,750 40,813,570 38,339,029 7,232,398 68,950,525 25,342,500 13,302,736 23,749,200 660,091,012 TOTAL COMMON STOCKS (Cost $4,161,664,455) 5,309,246,758 47 TIAA-CREF FUNDS - Mid-Cap Value Fund ISSUER PRINCIPAL SHORT-TERM INVESTMENTS - 4.3% GOVERNMENT AGENCY DEBT - 0.2% $ 12,650,000 Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT TREASURY DEBT - 1.2% 27,900,000 34,000,000 RATE 0.090% United States Treasury Bill United States Treasury Bill TOTAL TREASURY DEBT 0.265-0.266 0.271 MATURITY DATE 08/01/16 VALUE $ 08/04/16 08/18/16 27,899,693 33,997,042 61,896,735 SHARES COMPANY INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 2.9% 157,090,788 a,c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $231,635,820) TOTAL INVESTMENTS - 103.3% (Cost $4,393,300,275) OTHER ASSETS & LIABILITIES, NET - (3.3)% NET ASSETS - 100.0% 157,090,788 157,090,788 231,637,523 5,540,884,281 $ Abbreviation(s): REIT Real Estate Investment Trust * a c e 12,650,000 12,650,000 Non-income producing Affiliated holding Investments made with cash collateral received from securities on loan. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $149,181,828. 48 (177,933,898) 5,362,950,383 TIAA-CREF FUNDS - Small-Cap Equity Fund TIAA-CREF FUNDS SMALL-CAP EQUITY FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.0% AUTOMOBILES & COMPONENTS - 0.7% 511,900 * American Axle & Manufacturing Holdings, Inc 207,844 * Tenneco, Inc TOTAL AUTOMOBILES & COMPONENTS BANKS - 9.8% 140,896 202,260 831,233 351,432 130,120 204,530 595,900 779,800 655,340 1,284,248 464,270 545,650 289,140 1,383,300 390,500 493,191 204,420 187,716 346,147 788,630 1,361,280 801,668 662,290 576,512 484,600 246,770 282,900 CAPITAL GOODS - 8.3% 182,857 185,570 312,336 386,780 250,900 368,500 150,240 200,990 371,900 $ BankUnited Banner Corp Brookline Bancorp, Inc Capitol Federal Financial Cathay General Bancorp Columbia Banking System, Inc * Essent Group Ltd First Commonwealth Financial Corp First Midwest Bancorp, Inc Fulton Financial Corp Great Western Bancorp, Inc * Hilltop Holdings, Inc IBERIABANK Corp Investors Bancorp, Inc LegacyTexas Financial Group, Inc Oritani Financial Corp Pinnacle Financial Partners, Inc Popular, Inc PrivateBancorp, Inc Provident Financial Services, Inc Radian Group, Inc Sterling Bancorp/DE Umpqua Holdings Corp United Community Banks, Inc Washington Federal, Inc * Western Alliance Bancorp Wintrust Financial Corp TOTAL BANKS 8,912,179 11,747,343 20,659,522 4,229,698 8,442,332 9,467,744 4,979,791 3,900,998 6,201,350 14,277,764 7,525,070 12,235,198 17,529,985 15,399,836 11,884,257 18,062,576 15,714,288 11,137,060 7,999,558 10,856,746 6,324,152 15,299,697 15,890,895 17,560,512 13,540,172 10,086,677 11,092,091 12,115,000 8,397,583 14,937,120 305,088,150 * American Woodmark Corp Apogee Enterprises, Inc Barnes Group, Inc * Beacon Roofing Supply, Inc * Colfax Corp Comfort Systems USA, Inc Crane Co Cubic Corp * DigitalGlobe, Inc 13,573,475 8,675,398 11,846,904 18,186,396 7,366,424 11,195,030 9,359,952 8,208,432 10,026,424 49 TIAA-CREF FUNDS - Small-Cap Equity Fund COMPANY SHARES 381,166 211,552 203,455 165,340 116,900 338,440 114,131 151,390 578,100 399,106 67,560 147,900 317,740 115,600 121,506 584,800 e * * * * * VALUE EMCOR Group, Inc Encore Wire Corp EnerSys EnPro Industries, Inc HEICO Corp ITT, Inc John Bean Technologies Corp Moog, Inc (Class A) MRC Global, Inc Mueller Industries, Inc Orbital ATK, Inc Patrick Industries, Inc SPX FLOW, Inc Toro Co Universal Forest Products, Inc Wabash National Corp TOTAL CAPITAL GOODS $ COMMERCIAL & PROFESSIONAL SERVICES - 2.7% 429,390 Herman Miller, Inc 71,472 HNI Corp 289,676 Kforce, Inc 459,754 * Navigant Consulting, Inc 247,000 * On Assignment, Inc 399,311 Rollins, Inc 330,540 * TransUnion 242,495 Viad Corp 179,775 * WageWorks, Inc TOTAL COMMERCIAL & PROFESSIONAL SERVICES CONSUMER DURABLES & APPAREL - 3.5% 276,540 Brunswick Corp 156,640 Columbia Sportswear Co 89,980 * Helen of Troy Ltd 443,600 * Kate Spade & Co 338,388 La-Z-Boy, Inc 451,246 * Nautilus, Inc 142,971 Oxford Industries, Inc 131,650 Pool Corp 1,256,370 * TRI Pointe Homes, Inc 208,500 * Vista Outdoor, Inc TOTAL CONSUMER DURABLES & APPAREL 21,230,946 7,939,547 12,685,419 7,564,305 8,125,719 10,731,932 7,637,647 8,337,047 7,648,263 13,585,568 5,885,827 9,548,424 8,667,947 10,629,420 13,137,229 8,467,904 260,261,579 14,071,110 3,725,835 5,173,614 9,061,751 9,126,650 11,252,584 10,815,269 8,443,676 11,111,893 82,782,382 13,721,915 8,967,640 8,962,908 9,621,684 10,226,085 8,501,474 8,175,082 13,465,162 16,898,177 10,435,425 108,975,552 CONSUMER SERVICES - 4.2% 417,000 * Apollo Group, Inc (Class A) 1,082,297 * Belmond Ltd. 461,900 Bloomin’ Brands, Inc 240,440 Cheesecake Factory 69,370 Churchill Downs, Inc 216,690 * Dave & Buster’s Entertainment, Inc 598,600 * Denny’s Corp 359,901 * Grand Canyon Education, Inc 472,300 International Game Technology plc 3,748,830 12,435,593 8,304,962 12,437,961 9,096,488 9,642,705 6,680,376 15,137,436 9,871,070 50 TIAA-CREF FUNDS - Small-Cap Equity Fund SHARES 523,100 445,137 135,560 130,680 COMPANY VALUE Interval Leisure Group, Inc * K12, Inc Marriott Vacations Worldwide Corp l Vail Resorts, Inc TOTAL CONSUMER SERVICES $ DIVERSIFIED FINANCIALS - 1.4% 268,438 Evercore Partners, Inc (Class A) 648,000 NorthStar Asset Management Group, Inc 1,536,960 * SLM Corp 313,900 * Stifel Financial Corp TOTAL DIVERSIFIED FINANCIALS ENERGY - 3.8% 1,246,750 284,700 311,012 359,248 473,200 345,262 3,386,220 889,100 481,875 493,400 1,002,451 341,100 905,000 9,405,338 5,510,796 10,343,228 18,696,387 131,311,170 13,601,754 7,685,280 11,050,742 11,096,365 43,434,141 * Callon Petroleum Co * Carrizo Oil & Gas, Inc Delek US Holdings, Inc * Exterran Corp Green Plains Renewable Energy, Inc * Matrix Service Co *,e McDermott International, Inc * Oasis Petroleum, Inc * Parsley Energy, Inc Questar Market Resources, Inc *,e Renewable Energy Group, Inc * Rice Energy, Inc * Synergy Resources Corp TOTAL ENERGY 14,200,483 9,338,160 3,893,870 4,569,635 10,732,176 5,720,991 17,540,620 6,757,160 13,738,256 8,979,880 9,773,897 7,954,452 5,891,550 119,091,130 FOOD & STAPLES RETAILING - 0.5% 304,200 * United Natural Foods, Inc TOTAL FOOD & STAPLES RETAILING 15,203,916 15,203,916 FOOD, BEVERAGE & TOBACCO - 2.1% 989,070 * Darling International, Inc 706,910 e Dean Foods Co 168,700 Fresh Del Monte Produce, Inc 113,616 Lancaster Colony Corp 566,564 e Vector Group Ltd TOTAL FOOD, BEVERAGE & TOBACCO 15,607,525 13,049,558 9,590,595 14,765,535 12,515,399 65,528,612 HEALTH CARE EQUIPMENT & SERVICES - 5.7% 139,847 * Anika Therapeutics, Inc 371,130 * HealthStream, Inc 282,320 Hill-Rom Holdings, Inc 175,173 * ICU Medical, Inc 69,620 * Integra LifeSciences Holdings Corp 793,380 Kindred Healthcare, Inc 451,480 * Merit Medical Systems, Inc 232,039 * Natus Medical, Inc 277,820 * NuVasive, Inc 6,981,162 8,992,480 15,084,358 20,453,199 5,866,877 9,726,839 10,582,691 9,126,094 17,280,404 51 TIAA-CREF FUNDS - Small-Cap Equity Fund COMPANY SHARES 321,801 624,831 260,743 392,340 201,000 187,472 90,093 449,600 * * * * * * * * VALUE Omnicell, Inc OraSure Technologies, Inc PharMerica Corp Premier, Inc Team Health Holdings, Inc Vascular Solutions, Inc WellCare Health Plans, Inc Wright Medical Group NV TOTAL HEALTH CARE EQUIPMENT & SERVICES HOUSEHOLD & PERSONAL PRODUCTS - 0.3% 65,680 * USANA Health Sciences, Inc TOTAL HOUSEHOLD & PERSONAL PRODUCTS INSURANCE - 2.1% 908,915 244,117 328,044 282,089 348,260 404,500 MATERIALS - 5.5% 252,340 221,420 1,143,910 496,710 1,110,370 294,185 601,670 340,648 827,400 242,440 362,500 340,815 149,939 172,660 340,400 MEDIA - 1.3% 983,994 613,090 273,700 432,290 $ 12,447,263 4,261,348 6,925,334 12,829,518 8,208,840 8,599,341 9,621,932 9,859,728 176,847,408 9,019,178 9,019,178 American Equity Investment Life Holding Co Aspen Insurance Holdings Ltd Employers Holdings, Inc e HCI Group, Inc Selective Insurance Group, Inc e Universal Insurance Holdings, Inc TOTAL INSURANCE 14,479,016 11,219,617 9,355,815 8,507,804 13,637,862 8,793,830 65,993,944 * Boise Cascade Co Cabot Corp *,e Century Aluminum Co * Chemtura *,e Coeur Mining, Inc Greif, Inc (Class A) * Headwaters, Inc * Kraton Polymers LLC * Louisiana-Pacific Corp Minerals Technologies, Inc PolyOne Corp Schnitzer Steel Industries, Inc (Class A) Sensient Technologies Corp Trinseo S.A. e United States Steel Corp TOTAL MATERIALS 6,856,078 10,780,940 8,682,277 13,952,584 17,010,868 11,805,644 11,967,216 10,188,782 16,713,480 15,821,634 12,712,875 6,642,484 11,069,996 8,596,742 9,357,596 172,159,196 * Gray Television, Inc * Live Nation, Inc * Starz-Liberty Capital Time, Inc TOTAL MEDIA 9,741,540 16,810,928 8,273,951 7,059,296 41,885,715 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 7.5% 152,300 * Acorda Therapeutics, Inc 460,500 * Amphastar Pharmaceuticals, Inc 1,724,839 *,e Array Biopharma, Inc 3,850,144 7,450,890 6,450,898 52 TIAA-CREF FUNDS - Small-Cap Equity Fund COMPANY SHARES 63,900 260,826 412,410 140,700 252,482 352,426 191,660 539,000 422,323 227,863 209,600 44,200 190,348 229,170 477,289 268,842 160,200 250,000 681,700 255,790 252,750 188,067 221,821 80,400 171,430 338,154 898,830 388,410 529,906 112,424 390,000 167,300 REAL ESTATE - 9.5% 225,800 276,170 148,310 1,457,512 485,274 276,960 460,110 382,400 168,480 605,250 456,080 1,175,300 142,028 167,400 556,257 656,620 123,888 132,344 *,e * * * * * * *,e * * * *,e * *,e *,e * * *,e *,e * * * *,e *,e * * * * *,e * * VALUE Atara Biotherapeutics, Inc Cambrex Corp Cepheid, Inc Dermira, Inc Emergent Biosolutions, Inc FibroGen, Inc Five Prime Therapeutics, Inc Halozyme Therapeutics, Inc Impax Laboratories, Inc INC Research Holdings, Inc Insmed, Inc Kite Pharma, Inc MacroGenics, Inc Medicines Co Merrimack Pharmaceuticals, Inc Momenta Pharmaceuticals, Inc NewLink Genetics Corp Novavax, Inc Pacific Biosciences of California, Inc Parexel International Corp Phibro Animal Health Corp PRA Health Sciences, Inc Prestige Brands Holdings, Inc Puma Biotechnology, Inc Retrophin, Inc Sagent Pharmaceuticals Spectrum Pharmaceuticals, Inc Sucampo Pharmaceuticals, Inc (Class A) Supernus Pharmaceuticals, Inc Ultragenyx Pharmaceutical, Inc Vanda Pharmaceuticals, Inc Xencor Inc TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES *,e Altisource Portfolio Solutions S.A. American Assets Trust,Inc Coresite Realty Cousins Properties, Inc CubeSmart DCT Industrial Trust, Inc DuPont Fabros Technology, Inc Education Realty Trust, Inc Entertainment Properties Trust First Industrial Realty Trust, Inc Hersha Hospitality Trust Medical Properties Trust, Inc PS Business Parks, Inc QTS Realty Trust, Inc Retail Opportunities Investment Corp RLJ Lodging Trust Saul Centers, Inc Sovran Self Storage, Inc $ 1,533,600 13,669,891 14,570,445 4,721,892 8,430,374 6,741,909 9,715,245 5,357,660 13,269,389 10,142,182 2,399,920 2,503,046 5,822,745 8,962,839 2,768,276 3,027,161 1,694,916 1,830,000 5,828,535 17,099,562 5,214,232 8,722,547 11,867,424 4,011,156 3,073,740 7,334,560 6,174,962 4,563,818 11,774,511 7,114,191 4,446,000 3,168,662 235,307,322 5,252,108 12,670,680 12,240,024 15,507,928 14,417,490 13,908,931 22,007,061 18,408,736 14,155,690 17,836,717 8,619,912 18,452,210 15,749,485 9,583,650 12,699,347 15,588,159 8,321,557 13,548,055 53 TIAA-CREF FUNDS - Small-Cap Equity Fund COMPANY SHARES 333,100 956,623 547,689 346,790 RETAILING - 4.3% 288,800 142,200 632,840 144,540 655,100 464,700 449,300 177,690 494,740 353,820 255,100 122,700 329,200 162,300 878,500 589,500 VALUE STORE Capital Corp Summit Hotel Properties, Inc Urban Edge Properties Xenia Hotels & Resorts, Inc TOTAL REAL ESTATE * * * * *,e * * e $ Caleres, Inc Cato Corp (Class A) Chico’s FAS, Inc Children’s Place Retail Stores, Inc Etsy, Inc Finish Line, Inc (Class A) Francesca’s Holdings Corp Group 1 Automotive, Inc Liberty TripAdvisor Holdings, Inc Michaels Cos, Inc Nutri/System, Inc Restoration Hardware Holdings, Inc Sally Beauty Holdings, Inc Shutterfly, Inc Staples, Inc Tailored Brands, Inc TOTAL RETAILING 10,389,389 13,564,914 16,381,378 6,228,349 295,531,770 7,601,216 5,086,494 7,600,408 12,080,653 6,590,306 10,097,931 5,710,603 11,073,641 11,710,496 9,326,695 7,545,858 3,780,387 9,655,436 8,632,737 8,161,265 8,636,175 133,290,301 SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 4.4% 152,141 * Advanced Energy Industries, Inc 1,846,900 *,e Advanced Micro Devices, Inc 162,689 Cabot Microelectronics Corp 224,900 *,e Cavium, Inc 702,498 * Entegris, Inc 420,300 * Inphi Corp 528,978 * Integrated Device Technology, Inc 676,021 Intersil Corp (Class A) 399,600 * MaxLinear, Inc 237,933 MKS Instruments, Inc 456,107 * Rudolph Technologies, Inc 218,857 * Silicon Laboratories, Inc 387,240 Tessera Technologies, Inc TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT SOFTWARE & SERVICES - 8.8% 195,580 * BroadSoft, Inc 139,450 * CACI International, Inc (Class A) 251,800 * Commvault Systems, Inc 262,800 * comScore, Inc 314,390 CSRA, Inc 150,214 * EPAM Systems, Inc 104,800 * Euronet Worldwide, Inc 754,988 * Everyday Health, Inc 218,071 * ExlService Holdings, Inc 268,380 * Gigamon, Inc 309,014 * Infoblox, Inc 6,195,182 12,669,734 8,560,695 10,496,083 12,005,691 14,786,154 11,632,226 10,329,601 8,715,276 10,868,779 8,036,605 11,660,701 12,445,894 138,402,621 8,767,851 13,293,769 13,028,132 6,819,660 8,463,379 10,551,031 7,992,048 6,160,702 10,796,695 12,538,714 5,784,742 54 TIAA-CREF FUNDS - Small-Cap Equity Fund COMPANY SHARES 788,042 159,500 220,311 55,460 690,150 550,779 140,300 356,011 495,186 284,720 178,414 110,800 231,800 111,200 720,850 267,700 369,900 VALUE * Intralinks Holdings, Inc * LogMeIn, Inc MAXIMUS, Inc * MicroStrategy, Inc (Class A) * Nuance Communications, Inc * Progress Software Corp *,e Proofpoint, Inc * RealPage, Inc * Rubicon Project, Inc Science Applications International Corp * SPS Commerce, Inc *,e Stamps.com, Inc * Synchronoss Technologies, Inc * Tableau Software, Inc Travelport Worldwide Ltd * Verint Systems, Inc * Xactly Corp TOTAL SOFTWARE & SERVICES $ TECHNOLOGY HARDWARE & EQUIPMENT - 5.9% 182,200 * Anixter International, Inc 465,110 * ARRIS International plc 246,880 Belden CDT, Inc 242,590 * Cray, Inc 646,680 * Finisar Corp 576,449 * II-VI, Inc 500,334 *,e Immersion Corp 788,768 * Ixia 358,500 * Lumentum Holdings, Inc 292,020 * NCR Corp 223,010 * Netgear, Inc 430,890 * Netscout Systems, Inc 170,000 Plantronics, Inc 678,544 * Sanmina Corp 94,810 * Synaptics, Inc 984,684 * TTM Technologies, Inc 180,050 e Ubiquiti Networks, Inc 342,280 * VeriFone Systems, Inc TOTAL TECHNOLOGY HARDWARE & EQUIPMENT TELECOMMUNICATION SERVICES - 1.6% 980,412 * 8x8, Inc 595,958 Inteliquent, Inc 385,490 Telephone & Data Systems, Inc 2,115,590 * Vonage Holdings Corp TOTAL TELECOMMUNICATION SERVICES TRANSPORTATION - 1.8% 959,834 * 330,953 * 322,060 * 311,011 469,414 *,e 5,484,772 13,702,645 12,980,724 9,699,399 11,090,711 16,005,638 10,644,561 8,953,677 6,992,026 17,299,587 11,297,174 8,399,194 8,655,412 6,283,912 9,724,267 9,441,779 4,594,158 275,446,359 11,165,216 12,669,597 18,074,085 7,656,140 12,131,717 11,586,625 3,757,508 9,070,832 10,844,625 9,627,899 11,469,404 12,056,302 8,200,800 17,194,305 4,925,380 9,797,606 8,051,836 6,558,085 184,837,962 13,480,665 12,246,937 12,139,080 12,545,449 50,412,131 Air Transport Services Group, Inc Atlas Air Worldwide Holdings, Inc Hub Group, Inc (Class A) Skywest, Inc YRC Worldwide, Inc TOTAL TRANSPORTATION 13,898,396 14,307,098 13,185,137 8,947,787 5,571,944 55,910,362 55 TIAA-CREF FUNDS - Small-Cap Equity Fund COMPANY SHARES UTILITIES - 3.3% 275,090 472,623 61,155 119,318 556,200 540,091 224,700 325,400 226,990 VALUE Allete, Inc Avista Corp Black Hills Corp Chesapeake Utilities Corp * Dynegy, Inc NRG Yield, Inc (Class A) Otter Tail Corp South Jersey Industries, Inc Southwest Gas Corp TOTAL UTILITIES $ TOTAL COMMON STOCKS (Cost $2,714,789,587) 3,090,494,888 ISSUER PRINCIPAL SHORT-TERM INVESTMENTS - 6.2% GOVERNMENT AGENCY DEBT - 0.6% $ 18,600,000 d Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT RATE TREASURY DEBT - 0.6% 17,000,000 d United States Treasury Bill TOTAL TREASURY DEBT MATURITY DATE 0.090% 08/01/16 18,600,000 18,600,000 0.238 10/06/16 16,992,333 16,992,333 SHARES COMPANY INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 5.0% 157,678,811 a,c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $193,271,393) TOTAL INVESTMENTS - 105.2% (Cost $2,908,060,980) OTHER ASSETS & LIABILITIES, NET - (5.2)% NET ASSETS - 100.0% * a c d e l 17,564,496 20,559,101 3,855,823 7,644,704 8,415,306 9,278,763 7,830,795 10,373,752 17,591,725 103,114,465 157,678,811 157,678,811 193,271,144 3,283,766,032 $ Non-income producing Affiliated holding Investments made with cash collateral received from securities on loan. All or a portion of these securities have been segregated to cover margin requirements on open futures contracts. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $153,539,198. All or a portion of these securities have been segregated by the custodian to cover collateral requirements on swaps agreements. 56 (161,116,694) 3,122,649,338 TIAA-CREF FUNDS - Social Choice Equity Fund TIAA-CREF FUNDS SOCIAL CHOICE EQUITY FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.7% AUTOMOBILES & COMPONENTS - 1.7% 13,314 BorgWarner, Inc 16,566 Delphi Automotive plc 1,288,424 Ford Motor Co 92,177 e Harley-Davidson, Inc 303,890 Johnson Controls, Inc 22,556 * Modine Manufacturing Co 38,837 *,e Tesla Motors, Inc TOTAL AUTOMOBILES & COMPONENTS BANKS - 3.8% 1,736 22,700 66,983 2,640 20,257 4,424 15,244 6,214 15,284 3,518 430,779 12,593 14,376 20,496 8,111 2,657 16,555 1,470 17,066 690 39,308 46,146 3,672 11,338 440 65,875 279 797 1,572 3,270 32,274 3,717 20,125 18,820 $ 1st Source Corp Ameris Bancorp Apollo Residential Mortgage Arrow Financial Corp Associated Banc-Corp Astoria Financial Corp Bank Mutual Corp Bank of Hawaii Corp Bank of the Ozarks, Inc Banner Corp BB&T Corp Berkshire Hills Bancorp, Inc Boston Private Financial Holdings, Inc Brookline Bancorp, Inc Bryn Mawr Bank Corp Camden National Corp Capital Bank Financial Corp Capitol Federal Financial Cardinal Financial Corp Cathay General Bancorp Centerstate Banks of Florida, Inc CIT Group, Inc City Holding Co CoBiz, Inc Columbia Banking System, Inc Comerica, Inc Commerce Bancshares, Inc Community Bank System, Inc Community Trust Bancorp, Inc e Cullen/Frost Bankers, Inc * Customers Bancorp, Inc East West Bancorp, Inc * FCB Financial Holdings, Inc Federal Agricultural Mortgage Corp (Class C) 441,758 1,123,506 16,311,448 4,878,007 13,954,629 216,538 9,118,539 46,044,425 58,347 752,732 908,959 83,398 376,780 64,900 116,464 428,269 550,071 146,841 15,882,822 332,077 174,237 233,449 237,896 115,526 494,829 20,830 439,620 20,686 654,871 1,594,806 171,482 140,024 13,341 2,980,185 13,194 35,172 54,674 222,000 830,733 127,196 703,771 723,253 57 TIAA-CREF FUNDS - Social Choice Equity Fund COMPANY SHARES 5,157 16,895 6,744 2,352 11,312 16,967 574 6,216 1,130 540 6,474 1,279 7,158 13,498 21,749 9,186 13,122 2,381 2,618 5,708 653,676 14,401 9,021 111,679 17,553 6,254 310 60,219 22,664 11,696 7,838 13,091 8,836 4,761 982 7,580 6,391 211,050 48,562 12,870 21,071 187,368 2,803 3,278 4,235 6,312 12,826 11,029 429 870 17,614 8,474 4,025 * * * * * * * * e VALUE First Bancorp (NC) First Commonwealth Financial Corp First Community Bancshares, Inc First Financial Corp First Interstate Bancsystem, Inc First Merchants Corp First Niagara Financial Group, Inc Flushing Financial Corp FNB Corp Glacier Bancorp, Inc Great Southern Bancorp, Inc Hancock Holding Co Hanmi Financial Corp Heartland Financial USA, Inc Heritage Financial Corp HomeStreet, Inc HomeTrust Bancshares, Inc Hope Bancorp, Inc IBERIABANK Corp Investors Bancorp, Inc Keycorp Lakeland Bancorp, Inc Lakeland Financial Corp M&T Bank Corp MGIC Investment Corp National Bank Holdings Corp NBT Bancorp, Inc New York Community Bancorp, Inc Northfield Bancorp, Inc OFG Bancorp Old National Bancorp Opus Bank PacWest Bancorp Peoples Bancorp, Inc People’s United Financial, Inc PHH Corp Pinnacle Financial Partners, Inc PNC Financial Services Group, Inc Popular, Inc PrivateBancorp, Inc Provident Financial Services, Inc Radian Group, Inc Republic Bancorp, Inc (Class A) S&T Bancorp, Inc Southside Bancshares, Inc State Bank & Trust Co Stock Yards Bancorp, Inc SVB Financial Group TCF Financial Corp Texas Capital Bancshares, Inc The Bancorp, Inc TowneBank Trico Bancshares $ 58 96,539 163,037 154,640 90,082 328,500 444,535 5,843 138,679 13,504 14,893 253,781 37,078 175,514 495,647 379,738 204,848 241,182 36,596 163,546 64,843 7,648,009 171,516 463,228 12,793,946 126,206 125,268 9,244 870,165 338,374 124,095 103,148 422,577 365,369 106,884 14,887 110,744 339,426 17,443,283 1,636,054 568,854 424,581 2,417,047 83,557 83,556 129,549 138,107 378,880 1,107,532 5,830 42,230 93,354 194,478 104,731 TIAA-CREF FUNDS - Social Choice Equity Fund COMPANY SHARES 9,581 350 2,167 650 6,031 1,980 11,606 6,092 513,979 36,406 6,764 4,365 3,230 1,553 13,557 12,624 230 3,911 14,360 VALUE * Tristate Capital Holdings, Inc Trustmark Corp UMB Financial Corp Umpqua Holdings Corp Union Bankshares Corp e United Bankshares, Inc United Financial Bancorp, Inc (New) Univest Corp of Pennsylvania US Bancorp * Walker & Dunlop, Inc *,e Walter Investment Management Corp Washington Trust Bancorp, Inc Webster Financial Corp Westamerica Bancorporation * Western Alliance Bancorp Wilshire Bancorp, Inc Wintrust Financial Corp WSFS Financial Corp Zions Bancorporation TOTAL BANKS CAPITAL GOODS - 6.2% 148,282 5,778 954 8,341 e 180,779 286 11,569 46,198 419 * 9,760 46,759 * 121,895 84,493 202,777 132,425 27,134 137,592 1,365 6,232 * 59,517 300 e 7,479 245 1,410 17,572 154,384 53,624 18,062 *,e 7,720 185,696 21,542 * $ 3M Co A.O. Smith Corp Acuity Brands, Inc Advanced Drainage Systems, Inc Ametek, Inc Applied Industrial Technologies, Inc Argan, Inc Barnes Group, Inc Beacon Roofing Supply, Inc Briggs & Stratton Corp Builders FirstSource, Inc Caterpillar, Inc Cummins, Inc Danaher Corp Deere & Co Dover Corp Eaton Corp EMCOR Group, Inc Esterline Technologies Corp Fastenal Co GATX Corp Graco, Inc Granite Construction, Inc H&E Equipment Services, Inc Hexcel Corp Illinois Tool Works, Inc Ingersoll-Rand plc KEYW Holding Corp Lincoln Electric Holdings, Inc Masco Corp Meritor, Inc 136,721 9,135 120,073 9,900 161,872 75,834 152,619 128,480 21,674,494 861,730 19,413 165,695 116,151 73,053 461,345 135,582 12,144 137,628 400,357 107,043,395 26,447,577 536,718 250,358 222,788 8,502,036 13,428 533,678 1,752,290 19,701 221,845 602,724 10,088,030 10,373,206 16,514,159 10,290,747 1,938,182 8,724,709 76,031 379,093 2,544,352 13,419 553,521 12,196 26,254 758,583 17,815,914 3,553,126 184,955 479,103 6,774,190 180,522 59 TIAA-CREF FUNDS - Social Choice Equity Fund SHARES 447 2,279 3,829 66,007 115,342 13,733 41,937 95,785 44,063 37,955 27,985 14,759 2,611 1,401 3,116 45,772 2,702 15,096 5,047 1,480 10,000 1,355 6,028 4,656 COMPANY VALUE * Middleby Corp MSC Industrial Direct Co (Class A) * MYR Group, Inc Owens Corning, Inc Paccar, Inc Parker Hannifin Corp Pentair plc *,e Plug Power, Inc * Quanta Services, Inc Rockwell Automation, Inc Rockwell Collins, Inc Roper Industries, Inc * Rush Enterprises, Inc (Class A) Timken Co *,e Titan Machinery, Inc * TransDigm Group, Inc Triton International Ltd * United Rentals, Inc * Veritiv Corp e W.W. Grainger, Inc * Wabash National Corp *,e WESCO International, Inc Woodward Governor Co Xylem, Inc TOTAL CAPITAL GOODS $ COMMERCIAL & PROFESSIONAL SERVICES - 1.0% 540 ABM Industries, Inc 206,029 * ACCO Brands Corp 3,343 CEB, Inc 112,944 * Copart, Inc 650 Covanta Holding Corp 7,924 Deluxe Corp 32,884 Dun & Bradstreet Corp 38,728 Equifax, Inc 290 Essendant, Inc 18,325 Exponent, Inc 4,282 Heidrick & Struggles International, Inc 5,092 HNI Corp 6,346 Insperity, Inc 5,010 Interface, Inc 1,760 Kelly Services, Inc (Class A) 5,758 Kimball International, Inc (Class B) 590 Knoll, Inc 10,228 Manpower, Inc 3,562 * Mistras Group, Inc 430 Mobile Mini, Inc 8,831 * Navigant Consulting, Inc 970 * On Assignment, Inc 45,468 R.R. Donnelley & Sons Co 6,963 Resources Connection, Inc 61,470 Robert Half International, Inc 4,160 * RPX Corp 53,810 163,701 94,461 3,492,430 6,801,718 1,568,171 2,676,419 171,455 1,128,013 4,342,052 2,368,091 2,514,343 60,001 46,864 34,930 12,794,189 45,367 1,202,698 213,084 323,898 144,800 75,528 352,879 222,603 171,274,940 20,093 2,315,766 200,714 5,696,895 10,413 535,583 4,250,257 5,129,911 5,812 931,093 83,328 265,446 498,098 89,479 36,027 65,584 14,897 709,823 89,264 13,979 174,059 35,841 814,787 103,749 2,246,114 41,891 60 TIAA-CREF FUNDS - Social Choice Equity Fund SHARES 1,210 5,080 10,180 2,825 11,278 40,482 COMPANY VALUE Steelcase, Inc (Class A) *,e Team, Inc Tetra Tech, Inc * TriNet Group, Inc Viad Corp Waste Management, Inc TOTAL COMMERCIAL & PROFESSIONAL SERVICES $ 17,545 140,259 335,227 61,274 392,700 2,676,670 28,002,578 CONSUMER DURABLES & APPAREL - 1.3% 5,202 CalAtlantic Group, Inc 13,930 Callaway Golf Co 396 Columbia Sportswear Co 1,530 CSS Industries, Inc 490 Ethan Allen Interiors, Inc 53,158 Hanesbrands, Inc 258 Hasbro, Inc 2,202 * Helen of Troy Ltd 22,739 * Kate Spade & Co 202,478 Mattel, Inc 7,028 * Meritage Homes Corp 595 * Michael Kors Holdings Ltd 3,220 * Mohawk Industries, Inc 6,980 Movado Group, Inc 5,166 Newell Brands, Inc 350,244 Nike, Inc (Class B) 1,614 Phillips-Van Heusen Corp 397 Pool Corp 399 *,e Tempur Sealy International, Inc 42,583 *,e Under Armour, Inc (Class A) 4,706 * Unifi, Inc 54,516 VF Corp 587 Weyco Group, Inc 3,389 Whirlpool Corp TOTAL CONSUMER DURABLES & APPAREL 188,365 149,051 22,671 40,254 17,018 1,417,192 20,957 219,341 493,209 6,758,716 255,749 30,774 672,787 157,678 271,008 19,438,542 163,111 40,605 30,176 1,680,325 127,203 3,403,434 16,401 651,908 36,266,475 CONSUMER SERVICES - 2.6% 1,289 Bob Evans Farms, Inc 4,297 * Bright Horizons Family Solutions 7,805 Brinker International, Inc 8,508 Carriage Services, Inc 31,413 Choice Hotels International, Inc 33,819 Darden Restaurants, Inc 320 DineEquity, Inc 1,850 Dunkin Brands Group, Inc 23,836 Interval Leisure Group, Inc 359 Jack in the Box, Inc 149,371 Marriott International, Inc (Class A) 215,087 McDonald’s Corp 16,650 * Popeyes Louisiana Kitchen, Inc 15,819 Royal Caribbean Cruises Ltd 38,369 Service Corp International 25,999 * ServiceMaster Global Holdings, Inc 9,766 Sonic Corp 47,409 288,200 367,928 206,829 1,516,934 2,081,898 26,038 83,824 428,571 31,732 10,709,901 25,304,986 953,712 1,145,928 1,063,589 983,542 262,803 61 TIAA-CREF FUNDS - Social Choice Equity Fund COMPANY SHARES 403,343 55,313 190 VALUE Starbucks Corp Starwood Hotels & Resorts Worldwide, Inc Vail Resorts, Inc TOTAL CONSUMER SERVICES $ DIVERSIFIED FINANCIALS - 6.0% 52,376 Ally Financial, Inc 270,048 American Express Co 1,075 Ameriprise Financial, Inc 437,091 Bank of New York Mellon Corp 49,451 BlackRock, Inc 430 CBOE Holdings, Inc 518,083 Charles Schwab Corp 124,077 CME Group, Inc 280 Cohen & Steers, Inc 5,881 *,e Credit Acceptance Corp 241,166 Discover Financial Services 2,390 Factset Research Systems, Inc 191,250 Franklin Resources, Inc 9,333 * Green Dot Corp 53,137 IntercontinentalExchange Group, Inc 203,789 Invesco Ltd 23,497 Janus Capital Group, Inc 24,238 Legg Mason, Inc 29,667 NASDAQ OMX Group, Inc 12,294 Nelnet, Inc (Class A) 199,140 Northern Trust Corp 4,106 * Pico Holdings, Inc 31,538 S&P Global, Inc 3,216 * Safeguard Scientifics, Inc 185,701 State Street Corp 113,676 T Rowe Price Group, Inc 3,000 TD Ameritrade Holding Corp 25,591 Voya Financial, Inc 19,340 e WisdomTree Investments, Inc TOTAL DIVERSIFIED FINANCIALS ENERGY - 6.5% 130,417 1,665 21,951 89,631 93,320 2,638 78,257 37,587 97,571 10,655 185,845 106,343 2,470 142,795 1,150 e * e * * * *,e * 23,414,061 4,317,733 27,183 73,262,801 944,863 17,407,294 103,028 17,221,385 18,111,429 29,584 14,723,919 12,685,632 12,068 1,062,520 13,707,875 410,984 6,921,338 225,859 14,038,795 5,946,563 354,805 827,485 2,099,237 496,801 13,459,873 41,388 3,853,944 41,551 12,215,412 8,035,756 91,080 655,897 192,240 165,918,605 Apache Corp Archrock, Inc Atwood Oceanics, Inc Baker Hughes, Inc Callon Petroleum Co CARBO Ceramics, Inc Cheniere Energy, Inc Cimarex Energy Co Clean Energy Fuels Corp Concho Resources, Inc ConocoPhillips Continental Resources, Inc Delek US Holdings, Inc Devon Energy Corp Energen Corp 6,846,892 14,835 234,437 4,287,051 1,062,915 37,196 3,273,490 4,511,192 291,737 1,323,351 7,586,193 4,684,409 30,924 5,466,193 54,487 62 TIAA-CREF FUNDS - Social Choice Equity Fund COMPANY SHARES 194,192 35,229 16,785 3,777 6,722 140,849 300,398 234,465 198,607 14,654 184,819 10,506 58,596 125,112 3,520 208,138 458 422 45,345 54,820 8,658 173,433 57,667 1,928 31,821 2,148 92,093 176,470 79 26,088 15,048 336,489 31,883 6,235 16,701 14,184 13,893 2,713 90,816 394,624 66,832 183,839 * * * * * * * * * * * * e *,e * * * VALUE EOG Resources, Inc EQT Corp Exterran Corp FMC Technologies, Inc Green Plains Renewable Energy, Inc Hess Corp Kinder Morgan, Inc Marathon Oil Corp Marathon Petroleum Corp Matrix Service Co National Oilwell Varco, Inc Natural Gas Services Group, Inc Newpark Resources, Inc Noble Energy, Inc Oasis Petroleum, Inc Occidental Petroleum Corp Oceaneering International, Inc Oil States International, Inc Oneok, Inc Parker Drilling Co PDC Energy, Inc Phillips 66 Pioneer Natural Resources Co Range Resources Corp Renewable Energy Group, Inc RigNet, Inc Rowan Cos plc Schlumberger Ltd SEACOR Holdings, Inc SM Energy Co Southwestern Energy Co Spectra Energy Corp Superior Energy Services Tesco Corp Tesoro Corp Tetra Technologies, Inc Unit Corp US Silica Holdings Inc Valero Energy Corp Weatherford International Ltd Western Refining, Inc Williams Cos, Inc TOTAL ENERGY $ FOOD & STAPLES RETAILING - 0.2% 23,088 Casey’s General Stores, Inc 5,390 *,e Natural Grocers by Vitamin C 970 Pricesmart, Inc 4,686 Spartan Stores, Inc 580 Weis Markets, Inc 71,214 Whole Foods Market, Inc TOTAL FOOD & STAPLES RETAILING 15,865,486 2,566,785 213,505 95,860 152,455 7,556,549 6,107,091 3,198,103 7,823,130 242,817 5,978,895 263,806 370,327 4,469,001 26,752 15,554,153 12,769 13,048 2,031,003 113,477 474,199 13,191,314 9,374,924 77,718 310,255 25,669 1,403,497 14,209,364 4,465 707,767 219,400 12,103,509 509,172 41,213 1,271,781 85,246 173,662 93,517 4,747,860 2,241,464 1,393,447 4,406,621 179,426,378 3,083,171 73,789 75,544 147,609 29,969 2,170,603 5,580,685 63 TIAA-CREF FUNDS - Social Choice Equity Fund SHARES COMPANY VALUE FOOD, BEVERAGE & TOBACCO - 5.3% 8,587 Bunge Ltd 95,721 Campbell Soup Co 523,116 Coca-Cola Co 5,840 * Darling International, Inc 27,105 Dr Pepper Snapple Group, Inc 4,635 Flowers Foods, Inc 260,480 General Mills, Inc 3,800 * Hain Celestial Group, Inc 70,402 Hormel Foods Corp 189,600 Kellogg Co 225,742 Kraft Heinz Co 4,569 * Landec Corp 6,572 McCormick & Co, Inc 27,407 Mead Johnson Nutrition Co 472,835 Mondelez International, Inc 48,820 * Omega Protein Corp 302,329 PepsiCo, Inc 3,091 * Seneca Foods Corp 674 * TreeHouse Foods, Inc TOTAL FOOD, BEVERAGE & TOBACCO $ HEALTH CARE EQUIPMENT & SERVICES - 4.2% 4,035 Abaxis, Inc 4,025 * Abiomed, Inc 14,457 *,e Acadia Healthcare Co, Inc 589 Aceto Corp 7,035 *,e Air Methods Corp 22,387 * Alere, Inc 8,979 * Align Technology, Inc 35,952 * Amedisys, Inc 87,979 AmerisourceBergen Corp 21,087 * AMN Healthcare Services, Inc 9,057 * Amsurg Corp 5,424 Analogic Corp 4,439 * Angiodynamics, Inc 82,164 Anthem, Inc 43,806 *,e athenahealth, Inc 18,911 * AtriCure, Inc 102,047 Becton Dickinson & Co 30,852 * Brookdale Senior Living, Inc 20,471 * Capital Senior Living Corp 142,328 Cardinal Health, Inc 42,468 * Centene Corp 54,341 *,e Cerus Corp 3,151 Chemed Corp 109,013 Cigna Corp 8,003 e Computer Programs & Systems, Inc 4,329 * Corvel Corp 1,063 DENTSPLY SIRONA, Inc 1,590 *,e Diplomat Pharmacy, Inc 67,794 * Edwards Lifesciences Corp 14,577 * Envision Healthcare Holdings, Inc 565,368 5,960,547 22,823,551 92,155 2,670,114 85,238 18,725,907 200,602 2,629,515 15,681,816 19,501,851 52,544 671,987 2,444,704 20,795,283 1,099,426 32,929,675 121,074 69,550 147,120,907 199,571 474,829 816,821 15,143 234,195 839,513 800,478 1,925,230 7,494,931 891,980 679,366 455,725 73,643 10,791,420 5,597,969 287,258 17,960,272 569,836 398,775 11,898,621 2,996,117 401,580 463,638 14,058,317 317,239 195,671 68,075 57,129 7,763,769 358,448 64 TIAA-CREF FUNDS - Social Choice Equity Fund COMPANY SHARES 26,220 300 3,802 20,417 3,584 2,640 43,174 51,511 1,539 18,008 5,385 15,190 21,680 4,952 9,720 26,417 20,380 11,035 25,565 37,310 10,906 21,433 1,887 14,487 1,816 5,122 25,215 14,148 7,472 9,466 8,077 29,905 17,940 8,920 500 12,420 14,899 18,508 6,388 *,e * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * VALUE GenMark Diagnostics, Inc Haemonetics Corp HealthStream, Inc Healthways, Inc Henry Schein, Inc HMS Holdings Corp Hologic, Inc Humana, Inc Integer Holding Corp Laboratory Corp of America Holdings Landauer, Inc LHC Group, Inc LifePoint Hospitals, Inc Magellan Health Services, Inc Medidata Solutions, Inc Merit Medical Systems, Inc Molina Healthcare, Inc NxStage Medical, Inc Omnicell, Inc OraSure Technologies, Inc Patterson Cos, Inc PharMerica Corp Premier, Inc Providence Service Corp Quality Systems, Inc Quidel Corp Resmed, Inc Select Medical Holdings Corp Spectranetics Corp Staar Surgical Co Surgical Care Affiliates, Inc Triple-S Management Corp (Class B) Universal American Corp US Physical Therapy, Inc Varian Medical Systems, Inc Vascular Solutions, Inc VCA Antech, Inc Vocera Communications, Inc Wright Medical Group NV TOTAL HEALTH CARE EQUIPMENT & SERVICES HOUSEHOLD & PERSONAL PRODUCTS - 2.6% 2,378 Clorox Co 263,164 Colgate-Palmolive Co 51,678 Estee Lauder Cos (Class A) 40,204 Kimberly-Clark Corp 11,539 Medifast, Inc 14,945 e Natural Health Trends Corp 475,958 Procter & Gamble Co TOTAL HOUSEHOLD & PERSONAL PRODUCTS $ 279,243 9,096 92,122 343,822 648,632 52,483 1,661,767 8,888,223 34,181 2,513,197 224,662 687,499 1,283,022 339,063 516,618 619,215 1,157,788 243,984 988,854 254,454 538,320 569,261 61,705 700,736 22,301 116,782 1,736,809 162,702 173,201 64,747 420,085 743,139 137,420 531,810 47,370 569,705 1,062,895 273,733 140,089 117,996,294 311,684 19,587,297 4,800,886 5,208,428 406,404 502,003 40,737,245 71,553,947 65 TIAA-CREF FUNDS - Social Choice Equity Fund COMPANY SHARES INSURANCE - 3.6% 234,797 5,145 32,636 8,868 157,312 476 290 3,280 111,278 400 26,627 98,755 117,053 273,774 192,025 200 10,711 13,769 146,087 MATERIALS - 3.9% 113,747 3,402 7,701 66,813 23,667 791 2,310 17,130 31,721 1,826 46,693 4,705 14,217 134,228 2,950 12,034 26,314 1,039 7,648 3,111 99,782 510 63,130 141,588 14,012 45,313 420 214,304 3,500 7,823 126,084 274 VALUE Aflac, Inc Arthur J. Gallagher & Co Aspen Insurance Holdings Ltd Axis Capital Holdings Ltd Chubb Ltd Employers Holdings, Inc * Enstar Group Ltd First American Financial Corp Hartford Financial Services Group, Inc Kemper Corp Loews Corp Marsh & McLennan Cos, Inc Principal Financial Group Progressive Corp Prudential Financial, Inc Reinsurance Group of America, Inc (Class A) RenaissanceRe Holdings Ltd Stewart Information Services Corp Travelers Cos, Inc TOTAL INSURANCE * * e * *,e * * $ Air Products & Chemicals, Inc Albemarle Corp Aptargroup, Inc Avery Dennison Corp Ball Corp Bemis Co, Inc Carpenter Technology Corp Celanese Corp (Series A) Century Aluminum Co Clearwater Paper Corp Commercial Metals Co Compass Minerals International, Inc Eastman Chemical Co Ecolab, Inc Ferro Corp Flotek Industries, Inc H.B. Fuller Co Hawkins, Inc Innophos Holdings, Inc International Flavors & Fragrances, Inc International Paper Co Kraton Polymers LLC Louisiana-Pacific Corp LyondellBasell Industries AF S.C.A Minerals Technologies, Inc Mosaic Co Neenah Paper, Inc Nucor Corp PolyOne Corp PPG Industries, Inc Praxair, Inc Quaker Chemical Corp 16,971,127 253,083 1,499,951 492,883 19,704,901 13,576 48,311 137,137 4,434,428 13,708 1,100,494 6,493,141 5,458,181 8,900,393 14,457,562 19,850 1,258,757 589,451 16,978,231 98,825,165 16,996,077 286,346 602,064 5,204,064 1,672,547 40,373 90,667 1,086,385 240,762 114,874 772,302 327,421 927,375 15,889,911 38,232 170,883 1,225,180 44,407 329,323 414,541 4,571,013 15,254 1,275,226 10,655,913 914,423 1,223,451 31,681 11,495,266 122,745 819,146 14,693,829 26,211 66 TIAA-CREF FUNDS - Social Choice Equity Fund SHARES 2,337 55,648 4,126 6,530 15,560 840 28,446 20,918 17,594 67,182 45,328 MEDIA - 3.0% 80,713 8,053 54,300 146,657 197,556 19,509 17,913 77,937 3,930 2,205 15,223 21,053 85,700 320 5,846 23,476 249,678 333,894 COMPANY VALUE Reliance Steel & Aluminum Co Royal Gold, Inc Schnitzer Steel Industries, Inc (Class A) Sealed Air Corp Sherwin-Williams Co Stepan Co * Stillwater Mining Co Trinseo S.A. * US Concrete, Inc WestRock Co * Worthington Industries, Inc TOTAL MATERIALS $ * Charter Communications, Inc Cinemark Holdings, Inc Clear Channel Outdoor Holdings, Inc (Class A) * Discovery Communications, Inc (Class A) * Discovery Communications, Inc (Class C) * DreamWorks Animation SKG, Inc (Class A) Entercom Communications Corp (Class A) Entravision Communications Corp (Class A) * Gray Television, Inc John Wiley & Sons, Inc (Class A) * Liberty Broadband Corp (Class A) * Media General, Inc New York Times Co (Class A) Scholastic Corp Scripps Networks Interactive (Class A) Sinclair Broadcast Group, Inc (Class A) Time Warner, Inc Walt Disney Co TOTAL MEDIA 183,314 4,704,482 80,416 308,085 4,663,799 54,020 435,224 1,041,507 1,134,813 2,882,780 2,008,484 109,814,816 18,957,062 302,793 379,557 3,679,624 4,848,024 799,284 261,709 565,823 38,907 127,228 956,157 370,322 1,112,386 13,152 386,187 653,102 19,137,819 32,037,129 84,626,265 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 10.4% 29,858 *,e Acadia Pharmaceuticals, Inc 150,551 Agilent Technologies, Inc 82,270 * Akorn, Inc 55,485 * Alexion Pharmaceuticals, Inc 166,755 Amgen, Inc 52,762 *,e Ariad Pharmaceuticals, Inc 57,235 * Biogen Idec, Inc 38,322 * BioMarin Pharmaceutical, Inc 16,269 *,e Bluebird Bio, Inc 388,039 Bristol-Myers Squibb Co 39,257 * Cambrex Corp 179,391 * Celgene Corp 22,795 *,e Cempra, Inc 21,898 * Cepheid, Inc 69,018 *,e Depomed, Inc 5,043 *,e Fluidigm Corp 292,643 Gilead Sciences, Inc 17,165 *,e Immunomedics, Inc 1,105,940 7,243,009 2,816,102 7,135,371 28,686,863 501,767 16,594,144 3,809,973 930,261 29,029,198 2,057,459 20,125,876 409,626 773,656 1,309,271 53,204 23,256,339 45,487 67 TIAA-CREF FUNDS - Social Choice Equity Fund COMPANY SHARES 42,863 18,561 18,809 21,127 13,244 446,807 14,627 575,446 870 42,183 91,708 89,462 4,875 57,915 22,411 9,644 19,457 47,907 46,751 43,938 3,836 131,438 69,864 23,584 167,218 REAL ESTATE - 5.0% 27,911 8,135 168,470 616,689 50,428 1,000 48,024 78,489 17,160 138,457 2,518 8,358 58,576 19,736 4,378 22,025 515 73,501 3,961 33,420 1,693 540 219,210 4,940 290,281 *,e * *,e *,e * *,e * *,e * *,e * *,e * * *,e *,e * *,e * * VALUE Inovio Pharmaceuticals, Inc Intersect ENT, Inc Intra-Cellular Therapies, Inc Ionis Pharmaceuticals, Inc Ironwood Pharmaceuticals, Inc Johnson & Johnson Kite Pharma, Inc Merck & Co, Inc Mettler-Toledo International, Inc MiMedx Group, Inc Nektar Therapeutics Opko Health, Inc PerkinElmer, Inc Prestige Brands Holdings, Inc Prothena Corp plc Quintiles Transnational Holdings, Inc Relypsa, Inc Sangamo Biosciences, Inc Sarepta Therapeutics, Inc Sucampo Pharmaceuticals, Inc (Class A) TESARO, Inc Thermo Electron Corp Vertex Pharmaceuticals, Inc Waters Corp Zoetis Inc TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES *,e Altisource Portfolio Solutions S.A. American Campus Communities, Inc American Tower Corp Annaly Capital Management, Inc Apollo Commercial Real Estate Finance, Inc AvalonBay Communities, Inc Boston Properties, Inc * CBRE Group, Inc Coresite Realty Crown Castle International Corp e Digital Realty Trust, Inc Douglas Emmett, Inc Duke Realty Corp Dynex Capital, Inc Easterly Government Properties, Inc Equinix, Inc Equity One, Inc Equity Residential Federal Realty Investment Trust First Industrial Realty Trust, Inc Forest City Realty Trust, Inc Franklin Street Properties Corp HCP, Inc Healthcare Realty Trust, Inc Host Marriott Corp $ 423,486 294,006 767,407 616,697 187,138 55,953,641 828,327 33,755,662 357,753 315,951 1,585,631 890,147 277,485 3,098,453 1,233,726 748,760 621,457 303,251 1,181,865 516,272 357,669 20,877,612 6,776,808 3,748,205 8,439,492 290,040,447 649,210 439,859 19,503,772 6,771,245 819,455 185,650 6,825,651 2,233,012 1,416,215 13,434,483 263,030 317,938 1,686,403 138,547 89,705 8,212,462 17,134 4,997,333 672,182 984,887 40,039 6,923 8,599,608 178,630 5,149,585 68 TIAA-CREF FUNDS - Social Choice Equity Fund SHARES 4,700 50,982 19,343 8 266 15,135 20,078 540 3,580 211,234 140 17,758 2,009 34,457 99,178 500 39,642 55,605 297 75,037 14,848 RETAILING - 3.8% 43,282 2,432 50,729 15,901 79,998 53,182 13,087 12,445 250 2,688 37,531 9 31,608 13,497 1,820 7,586 19,597 204,445 8,830 306,034 18,815 11,044 15,620 93,965 15,394 7,610 273,974 4,455 168,389 COMPANY VALUE Invesco Mortgage Capital, Inc Iron Mountain, Inc * iStar Financial, Inc Jones Lang LaSalle, Inc Kilroy Realty Corp Liberty Property Trust Macerich Co Piedmont Office Realty Trust, Inc Post Properties, Inc Prologis, Inc PS Business Parks, Inc Resource Capital Corp RMR Group, Inc Ryman Hospitality Properties Simon Property Group, Inc UDR, Inc Ventas, Inc Vornado Realty Trust Washington REIT Welltower, Inc Weyerhaeuser Co TOTAL REAL ESTATE $ * 1-800-FLOWERS.COM, Inc (Class A) Aaron’s, Inc e American Eagle Outfitters, Inc * AutoZone, Inc * Bed Bath & Beyond, Inc Best Buy Co, Inc Big 5 Sporting Goods Corp Blue Nile, Inc e Buckle, Inc * Cabela’s, Inc *,e Carmax, Inc Chico’s FAS, Inc Dollar General Corp DSW, Inc (Class A) Finish Line, Inc (Class A) * Francesca’s Holdings Corp * FTD Cos, Inc e Gap, Inc GNC Holdings, Inc * Groupon, Inc Haverty Furniture Cos, Inc HSN, Inc Kirkland’s, Inc Kohl’s Corp *,e Lands’ End, Inc * LKQ Corp Lowe’s Companies, Inc * MarineMax, Inc * NetFlix, Inc 67,680 2,100,968 200,394 876 19,474 626,286 1,791,761 11,848 227,652 11,510,141 15,525 241,686 68,396 1,937,862 22,517,373 18,615 3,019,135 5,971,977 10,184 5,952,685 485,827 140,429,303 395,165 58,246 909,064 12,942,937 3,595,910 1,786,915 138,199 361,652 6,847 138,781 2,186,556 108 2,994,542 327,437 39,549 96,418 496,000 5,272,637 180,220 1,475,084 346,760 565,011 238,049 3,908,004 218,749 261,708 22,542,581 89,991 15,365,496 69 TIAA-CREF FUNDS - Social Choice Equity Fund SHARES 26,766 17,354 96,086 2,957 11,877 22,310 12,005 141,284 5,448 12,547 38,323 51,473 226,633 23,591 6,435 15,754 17,401 17,585 84,326 5 860 COMPANY VALUE e Nordstrom, Inc Nutri/System, Inc * Office Depot, Inc Outerwall, Inc * Overstock.com, Inc e PetMed Express, Inc e Pier 1 Imports, Inc Ross Stores, Inc * Sally Beauty Holdings, Inc Shoe Carnival, Inc * Shutterfly, Inc e Stage Stores, Inc Staples, Inc Stein Mart, Inc e Tiffany & Co Tractor Supply Co * Ulta Salon Cosmetics & Fragrance, Inc * Vitamin Shoppe, Inc *,e Wayfair, Inc Williams-Sonoma, Inc Winmark Corp TOTAL RETAILING $ 1,183,860 513,331 332,458 155,716 193,595 462,486 61,466 8,735,590 159,790 330,112 2,038,400 305,235 2,105,421 202,883 415,186 1,443,854 4,545,315 514,537 3,668,181 270 86,490 104,392,792 SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.2% 25,961 *,e Advanced Micro Devices, Inc 43,692 Analog Devices, Inc 644,987 Applied Materials, Inc 11,151 * Cirrus Logic, Inc 24,001 * Integrated Device Technology, Inc 913,426 Intel Corp 8,578 Lam Research Corp 116,799 Nvidia Corp 217,373 * ON Semiconductor Corp 43,222 Skyworks Solutions, Inc 35,399 *,e SunPower Corp 314,952 Texas Instruments, Inc TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT 178,093 2,788,860 16,956,708 541,827 527,782 31,842,031 770,047 6,669,223 2,180,251 2,853,517 516,117 21,967,902 87,792,358 SOFTWARE & SERVICES - 13.9% 189,040 Accenture plc 25,826 * Actua Corp 44,460 * Alphabet, Inc (Class A) 45,787 * Alphabet, Inc (Class C) 53,423 *,e Angie’s List, Inc 687 * Aspen Technology, Inc 78,354 * Autodesk, Inc 114,577 Automatic Data Processing, Inc 39,970 Blackbaud, Inc 194,356 CA, Inc 2,010 * Cimpress NV 16,964 * Citrix Systems, Inc 265,272 * Cognizant Technology Solutions Corp (Class A) 34,741 * comScore, Inc 21,325,603 257,744 35,182,976 35,200,588 432,192 28,778 4,658,145 10,191,624 2,671,995 6,734,435 190,548 1,512,001 15,250,487 901,529 70 TIAA-CREF FUNDS - Social Choice Equity Fund COMPANY SHARES 5,337 18,210 6,960 21,148 6,786 5,777 128,323 10,911 10,181 192,115 146,445 56,238 14,246 23,371 35,770 44,849 258,322 1,022,212 233,110 10,078 20,573 692,438 29,033 16,107 27,258 80,699 5,925 44,082 24,564 2,916 242,063 96,222 19,678 24,141 391,408 3,876 6,951 8,168 21,915 9,913 4,890 5,290 51,056 85,455 1,051,874 459,974 * * * *,e * * * * * * *,e * * * * *,e * * * * * * * * * * * * * *,e *,e * * * VALUE Convergys Corp CSG Systems International, Inc DHI Group, Inc Ellie Mae, Inc ExlService Holdings, Inc Fair Isaac Corp Glu Mobile, Inc inContact, Inc Infoblox, Inc International Business Machines Corp Intuit, Inc j2 Global, Inc Jack Henry & Associates, Inc LogMeIn, Inc Manhattan Associates, Inc Marketo, Inc MasterCard, Inc (Class A) Microsoft Corp Monster Worldwide, Inc NeuStar, Inc (Class A) New Relic, Inc Oracle Corp Perficient, Inc QLIK Technologies, Inc Qualys, Inc Quotient Technology, Inc Rackspace Hosting, Inc RetailMeNot, Inc RingCentral, Inc Rovi Corp Salesforce.com, Inc ServiceSource International LLC SPS Commerce, Inc Sykes Enterprises, Inc Symantec Corp Syntel, Inc Tangoe, Inc Teradata Corp Tyler Technologies, Inc Ultimate Software Group, Inc Unisys Corp Vasco Data Security International Website Pros, Inc Workday, Inc Xerox Corp Yahoo!, Inc TOTAL SOFTWARE & SERVICES $ TECHNOLOGY HARDWARE & EQUIPMENT - 3.4% 1,610 Adtran, Inc 11,247 *,e Arista Networks, Inc 1,070 Belden CDT, Inc 1,524 * Benchmark Electronics, Inc 142,231 733,135 50,738 1,947,942 335,975 731,599 300,276 151,663 190,588 30,857,511 16,253,931 3,758,948 1,271,456 2,007,803 2,076,449 1,577,788 24,602,587 57,938,976 589,768 253,865 708,534 28,417,656 645,113 486,431 855,629 1,021,649 138,823 368,085 565,709 54,850 19,800,753 434,923 1,246,011 740,887 7,996,465 175,622 56,234 231,808 3,572,583 2,072,808 48,460 88,396 962,916 7,121,820 10,834,302 17,566,407 386,524,748 29,302 801,574 78,335 35,723 71 TIAA-CREF FUNDS - Social Choice Equity Fund SHARES 7,451 1,064,563 3,629 180 141,705 49,456 6,785 2,946 662,685 3,097 1,110 40,091 513,508 645,011 107,460 2,970 5,777 11,694 350 16,051 20,384 212 6,814 78,575 417 18,944 3,309 500 281 55,004 610 12,991 27,291 22,364 502 11,298 3,218 12,928 COMPANY VALUE * Calix, Inc Cisco Systems, Inc Cognex Corp * Coherent, Inc Corning, Inc * Cray, Inc Daktronics, Inc Electro Rent Corp EMC Corp * FARO Technologies, Inc FEI Co * Finisar Corp Hewlett Packard Enterprise Co HP, Inc Ingram Micro, Inc (Class A) * Insight Enterprises, Inc InterDigital, Inc * IPG Photonics Corp * Itron, Inc Jabil Circuit, Inc Lexmark International, Inc (Class A) Littelfuse, Inc Methode Electronics, Inc Motorola, Inc National Instruments Corp * Netgear, Inc * Novanta, Inc * OSI Systems, Inc * Plexus Corp * QLogic Corp * Rofin-Sinar Technologies, Inc * Scansource, Inc * Sonus Networks, Inc * Super Micro Computer, Inc SYNNEX Corp * Tech Data Corp * TTM Technologies, Inc * Universal Display Corp TOTAL TECHNOLOGY HARDWARE & EQUIPMENT TELECOMMUNICATION SERVICES - 2.2% 35,353 * Boingo Wireless, Inc 373,371 CenturyTel, Inc 58,198 * Cincinnati Bell, Inc 2,650 Consolidated Communications Holdings, Inc 3,579 * Fairpoint Communications, Inc 16,965 * General Communication, Inc (Class A) 3,026 IDT Corp (Class B) 67,259 *,e Iridium Communications, Inc 34,387 * Level 3 Communications, Inc 3,379 * Lumos Networks Corp 835,162 * Sprint Corp 751,340 Verizon Communications, Inc $ 57,522 32,501,108 163,922 19,089 3,148,685 1,560,831 43,899 45,575 18,740,732 108,023 118,126 752,107 10,793,938 9,036,604 3,679,430 79,002 341,132 985,687 14,942 326,638 747,481 26,504 238,694 5,451,534 11,960 974,290 51,984 29,735 12,909 853,662 19,276 533,021 235,248 481,944 50,466 880,453 32,019 915,820 95,008,926 323,834 11,738,784 290,990 74,068 57,944 261,091 46,177 603,986 1,739,982 39,534 5,127,895 41,631,749 72 TIAA-CREF FUNDS - Social Choice Equity Fund COMPANY SHARES 100,781 * Vonage Holdings Corp TOTAL TELECOMMUNICATION SERVICES TRANSPORTATION - 2.7% 158 310 42,330 * 490 263,863 152,360 4,220 * 8 200 * 180 103,126 9 357,983 176,809 205,552 UTILITIES - 3.2% 12,632 91,114 180,018 134,463 13,823 136,459 10,413 13,718 2,044 290 69,649 8,480 43,640 103,815 37,448 362,606 1,260 143,732 14,518 38,029 VALUE $ 597,631 62,533,665 Allegiant Travel Co Arkansas Best Corp Avis Budget Group, Inc CH Robinson Worldwide, Inc CSX Corp Delta Air Lines, Inc Echo Global Logistics, Inc Expeditors International of Washington, Inc Hertz Global Holdings, Inc Landstar System, Inc Norfolk Southern Corp Ryder System, Inc Southwest Airlines Co Union Pacific Corp United Parcel Service, Inc (Class B) TOTAL TRANSPORTATION 20,504 5,800 1,554,781 34,114 7,475,239 5,903,950 104,487 395 9,736 12,688 9,258,652 593 13,248,951 16,452,078 22,220,171 76,302,139 American Water Works Co, Inc Centerpoint Energy, Inc Consolidated Edison, Inc Dominion Resources, Inc Edison International Eversource Energy ITC Holdings Corp New Jersey Resources Corp Northwest Natural Gas Co Ormat Technologies, Inc Piedmont Natural Gas Co, Inc Pinnacle West Capital Corp Public Service Enterprise Group, Inc Sempra Energy South Jersey Industries, Inc Southern Co Vectren Corp WEC Energy Group, Inc WGL Holdings, Inc Xcel Energy, Inc TOTAL UTILITIES 1,043,151 2,179,447 14,415,842 10,490,803 1,069,624 7,981,487 481,601 510,858 132,737 13,236 4,165,010 668,818 2,007,876 11,614,822 1,193,842 19,399,421 65,180 9,329,644 1,027,729 1,672,516 89,463,644 TOTAL COMMON STOCKS (Cost $2,118,541,595) 2,775,245,698 73 TIAA-CREF FUNDS - Social Choice Equity Fund ISSUER PRINCIPAL SHORT-TERM INVESTMENTS - 2.2% GOVERNMENT AGENCY DEBT - 0.2% $ 4,650,000 Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT TREASURY DEBT - 0.1% 800,000 3,100,000 RATE United States Treasury Bill United States Treasury Bill TOTAL TREASURY DEBT INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 1.9% GOVERNMENT AGENCY DEBT - 0.1% 3,000,000 Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT TREASURY DEBT - 1.8% 20,000,000 17,000,000 13,000,000 United States Treasury Bill United States Treasury Bill United States Treasury Bill TOTAL TREASURY DEBT MATURITY DATE VALUE 0.150% 08/01/16 0.196 0.252 08/04/16 09/15/16 799,992 3,099,157 3,899,149 0.290 8/29/16 2,999,323 2,999,323 0.245 0.315 0.186 8/11/16 8/18/16 8/25/16 19,998,639 16,997,471 12,998,227 49,994,337 $ 4,650,000 4,650,000 TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED 52,993,660 TOTAL SHORT-TERM INVESTMENTS (Cost $61,542,671) TOTAL INVESTMENTS - 101.9% (Cost $2,180,084,266) OTHER ASSETS & LIABILITIES, NET - (1.9)% NET ASSETS - 100.0% 61,542,809 2,836,788,507 $ Abbreviation(s): REIT Real Estate Investment Trust * Non-income producing e All or a portion of these securities are out on loan. The aggregate value of securities on loan is $60,605,987. 74 (53,926,789) 2,782,861,718 TIAA-CREF FUNDS - Social Choice Low Carbon Equity Fund TIAA-CREF FUNDS SOCIAL CHOICE LOW CARBON EQUITY FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 COMPANY SHARES VALUE COMMON STOCKS - 99.9% AUTOMOBILES & COMPONENTS - 1.5% 29,505 Ford Motor Co 499 Harley-Davidson, Inc 3,549 Johnson Controls, Inc 1,043 * Tesla Motors, Inc TOTAL AUTOMOBILES & COMPONENTS BANKS - 3.8% 144 189 8,892 756 13 550 7,481 470 1,733 129 227 379 4,963 420 236 4,079 611 262 2,047 940 596 230 1,674 215 742 4,278 894 288 301 283 344 9,944 337 963 2,841 * * * * * $ Arrow Financial Corp Banner Corp BB&T Corp Boston Private Financial Holdings, Inc Bryn Mawr Bank Corp Centerstate Banks of Florida, Inc Citizens Financial Group, Inc CoBiz, Inc Comerica, Inc Federal Agricultural Mortgage Corp (Class C) First Bancorp (NC) First Commonwealth Financial Corp First Niagara Financial Group, Inc Hanmi Financial Corp HomeTrust Bancshares, Inc Keycorp LegacyTexas Financial Group, Inc Live Oak Bancshares, Inc M&T Bank Corp MGIC Investment Corp OFG Bancorp Opus Bank PacWest Bancorp Peoples Bancorp, Inc PHH Corp PNC Financial Services Group, Inc Popular, Inc Southside Bancshares, Inc The Bancorp, Inc Trico Bancshares Union Bankshares Corp US Bancorp Walter Investment Management Corp Wilshire Bancorp, Inc Zions Bancorporation TOTAL BANKS 373,533 26,407 162,970 244,886 807,796 4,549 7,889 327,848 9,163 381 9,163 167,051 5,804 78,401 4,957 4,249 3,657 50,523 10,298 4,338 47,724 17,426 3,435 234,504 6,759 6,324 7,424 69,220 4,827 10,841 353,577 30,119 8,810 1,595 7,364 9,233 419,338 967 10,343 79,207 2,017,308 75 TIAA-CREF FUNDS - Social Choice Low Carbon Equity Fund SHARES CAPITAL GOODS - 7.9% 2,844 589 143 174 185 1,484 1,123 * 4,576 402 * 1,453 2,230 4,613 162 846 * 2,242 179 * 5,121 409 * 1,362 517 407 1,347 2,929 1,078 1,216 616 406 * 218 4,873 227 * 668 * 1,431 * 930 2,318 1,497 * 1,697 1,849 95 * 245 * 745 * 546 1,251 * 107 * 745 COMPANY VALUE 3M Co Acuity Brands, Inc Advanced Drainage Systems, Inc Allegion plc Argan, Inc BE Aerospace, Inc Builders FirstSource, Inc Caterpillar, Inc Chart Industries, Inc Chicago Bridge & Iron Co NV Cummins, Inc Danaher Corp Deere & Co DigitalGlobe, Inc Dover Corp DXP Enterprises, Inc Eaton Corp Esterline Technologies Corp Fastenal Co Granite Construction, Inc H&E Equipment Services, Inc Hexcel Corp Illinois Tool Works, Inc Ingersoll-Rand plc ITT, Inc Kennametal, Inc KEYW Holding Corp Lincoln Electric Holdings, Inc Masco Corp MYR Group, Inc Navistar International Corp NOW, Inc Parker Hannifin Corp Pentair plc Plug Power, Inc Rockwell Automation, Inc Rockwell Collins, Inc Rush Enterprises, Inc (Class A) Titan Machinery, Inc TransDigm Group, Inc Triton International Ltd United Rentals, Inc Veritiv Corp Woodward Governor Co TOTAL CAPITAL GOODS $ COMMERCIAL & PROFESSIONAL SERVICES - 1.1% 1,327 * ACCO Brands Corp 668 Brady Corp (Class A) 1,566 * Copart, Inc 212 Deluxe Corp 1,188 Equifax, Inc 507,256 154,571 3,820 12,596 8,534 70,987 14,476 378,710 12,068 49,126 273,777 375,682 12,589 22,808 160,146 2,979 324,723 24,879 58,226 25,736 7,578 58,150 338,007 71,428 38,559 15,314 4,157 13,529 177,767 5,600 8,564 26,202 106,197 147,935 2,680 194,137 156,462 2,183 2,746 208,242 9,167 99,667 4,518 43,612 4,236,090 14,915 21,470 78,989 14,329 157,362 76 TIAA-CREF FUNDS - Social Choice Low Carbon Equity Fund COMPANY SHARES 165 154 277 270 237 636 2,630 2,903 500 259 367 2,540 * * * * * VALUE Heidrick & Struggles International, Inc KAR Auction Services, Inc Kforce, Inc Manpower, Inc Mistras Group, Inc Navigant Consulting, Inc Pitney Bowes, Inc R.R. Donnelley & Sons Co RPX Corp Team, Inc TrueBlue, Inc Tyco International plc TOTAL COMMERCIAL & PROFESSIONAL SERVICES CONSUMER DURABLES & APPAREL - 1.0% 433 CalAtlantic Group, Inc 818 Coach, Inc 5 Hasbro, Inc 1,089 * Kate Spade & Co 4,256 Mattel, Inc 132 * Michael Kors Holdings Ltd 156 Movado Group, Inc 5,468 Nike, Inc (Class B) 36 * Under Armour, Inc (Class A) TOTAL CONSUMER DURABLES & APPAREL $ 3,211 6,587 4,947 18,738 5,939 12,536 50,785 52,022 5,035 7,151 8,195 115,748 577,959 15,679 35,264 406 23,620 142,065 6,827 3,524 303,474 1,421 532,280 CONSUMER SERVICES - 2.1% 214 * American Public Education, Inc 608 * Caesars Acquisition Co 195 Carriage Services, Inc 7,399 Hilton Worldwide Holdings, Inc 203 * Intrawest Resorts Holdings Inc 1,230 * LifeLock, Inc 4,179 McDonald’s Corp 120 Royal Caribbean Cruises Ltd 26 Six Flags Entertainment Corp 7,289 Starbucks Corp TOTAL CONSUMER SERVICES 6,129 6,542 4,740 171,583 2,952 20,578 491,659 8,693 1,466 423,127 1,137,469 DIVERSIFIED FINANCIALS - 5.4% 5,875 American Express Co 9,040 Bank of New York Mellon Corp 1,005 BlackRock, Inc 11,827 Charles Schwab Corp 3,226 CME Group, Inc 4,739 Discover Financial Services 237 * Encore Capital Group, Inc 1,863 Franklin Resources, Inc 619 IntercontinentalExchange Group, Inc 33 Invesco Ltd 339 * NewStar Financial, Inc 643 * On Deck Capital, Inc 278 * Pico Holdings, Inc 378,703 356,176 368,081 336,123 329,826 269,365 5,785 67,422 163,540 963 3,465 3,344 2,802 77 TIAA-CREF FUNDS - Social Choice Low Carbon Equity Fund COMPANY SHARES 2,812 250 3,655 84 550 ENERGY - 3.4% 316 844 786 6,219 422 238 635 859 507 421 778 3,228 719 419 461 1,284 368 3,345 5,422 114 1,020 1,364 721 2,966 1,483 1,362 148 444 108 1,751 697 6,563 226 348 1,759 981 570 887 12,505 863 1,009 VALUE S&P Global, Inc * Safeguard Scientifics, Inc State Street Corp Virtus Investment Partners, Inc WisdomTree Investments, Inc TOTAL DIVERSIFIED FINANCIALS * * * * * * * * * * * * * * * * * * * * $ Alon USA Energy, Inc Archrock, Inc Atwood Oceanics, Inc Baker Hughes, Inc Bristow Group, Inc CARBO Ceramics, Inc Clean Energy Fuels Corp Delek US Holdings, Inc Dril-Quip, Inc Exterran Corp Fairmount Santrol Holdings, Inc FMC Technologies, Inc Forum Energy Technologies, Inc Frank’s International NV Green Plains Renewable Energy, Inc Helix Energy Solutions Group, Inc Matrix Service Co McDermott International, Inc National Oilwell Varco, Inc Natural Gas Services Group, Inc Newpark Resources, Inc Oceaneering International, Inc Oil States International, Inc Oneok, Inc Parker Drilling Co PBF Energy, Inc PHI, Inc Renewable Energy Group, Inc RigNet, Inc Rowan Cos plc RPC, Inc Schlumberger Ltd SEACOR Holdings, Inc Tesco Corp Tesoro Corp Tetra Technologies, Inc Tidewater, Inc US Silica Holdings Inc Weatherford International Ltd Western Refining, Inc World Fuel Services Corp TOTAL ENERGY 343,626 3,230 240,426 7,080 5,467 2,885,424 2,234 7,520 8,394 297,455 4,562 3,356 1,899 10,755 27,596 5,355 5,329 81,927 11,741 5,162 10,455 10,195 6,098 17,327 175,402 2,863 6,446 38,028 22,293 132,847 3,070 30,427 2,859 4,329 1,291 26,685 10,100 528,453 12,774 2,300 133,948 5,896 2,434 30,575 71,028 17,994 48,028 1,827,430 FOOD & STAPLES RETAILING - 0.3% 251 Casey’s General Stores, Inc 33,519 78 TIAA-CREF FUNDS - Social Choice Low Carbon Equity Fund SHARES 281 3,463 COMPANY VALUE Pricesmart, Inc Whole Foods Market, Inc TOTAL FOOD & STAPLES RETAILING $ FOOD, BEVERAGE & TOBACCO - 5.2% 402 * Amplify Snack Brands, Inc 871 Bunge Ltd 15,145 Coca-Cola Co 144 * Darling International, Inc 309 * Freshpet, Inc 4,981 General Mills, Inc 3,187 Kellogg Co 4,415 Kraft Heinz Co 351 * Landec Corp 219 Mead Johnson Nutrition Co 9,382 Mondelez International, Inc 5,810 PepsiCo, Inc 81 * Seneca Foods Corp TOTAL FOOD, BEVERAGE & TOBACCO 21,884 105,552 160,955 5,732 57,347 660,776 2,272 2,701 358,084 263,597 381,412 4,036 19,535 412,621 632,825 3,173 2,804,111 HEALTH CARE EQUIPMENT & SERVICES - 5.0% 1,028 * Acadia Healthcare Co, Inc 407 Aceto Corp 374 * Amedisys, Inc 1,015 AmerisourceBergen Corp 428 * AMN Healthcare Services, Inc 332 * Angiodynamics, Inc 2,566 Anthem, Inc 539 * athenahealth, Inc 435 * AtriCure, Inc 1,978 Becton Dickinson & Co 2,526 * Brookdale Senior Living, Inc 388 * Capital Senior Living Corp 3,898 Cardinal Health, Inc 441 * Cardiovascular Systems, Inc 758 * Centene Corp 549 * Cerus Corp 2,452 Cigna Corp 423 * Cross Country Healthcare, Inc 272 DENTSPLY SIRONA, Inc 641 * Diplomat Pharmacy, Inc 2,459 * Edwards Lifesciences Corp 1,172 * Envision Healthcare Holdings, Inc 376 * GenMark Diagnostics, Inc 295 Healthsouth Corp 420 * Healthways, Inc 63 * Henry Schein, Inc 3,700 * Hologic, Inc 1,775 Humana, Inc 1,097 Kindred Healthcare, Inc 126 Landauer, Inc 198 * LHC Group, Inc 20 * Merit Medical Systems, Inc 58,082 10,464 20,028 86,468 18,104 5,508 337,018 68,879 6,608 348,128 46,655 7,558 325,873 8,648 53,477 4,057 316,210 6,184 17,419 23,031 281,605 28,820 4,004 12,700 7,073 11,402 142,413 306,276 13,449 5,257 8,962 469 79 TIAA-CREF FUNDS - Social Choice Low Carbon Equity Fund COMPANY SHARES 479 487 373 171 351 557 347 278 655 222 335 1,379 VALUE * * * * * * * * Omnicell, Inc OraSure Technologies, Inc PharMerica Corp Providence Service Corp Quidel Corp Spectranetics Corp Staar Surgical Co Teladoc, Inc Universal American Corp * Vascular Solutions, Inc * Vocera Communications, Inc * Wright Medical Group NV TOTAL HEALTH CARE EQUIPMENT & SERVICES $ HOUSEHOLD & PERSONAL PRODUCTS - 2.7% 14 Clorox Co 5,580 Colgate-Palmolive Co 1,530 Kimberly-Clark Corp 65 Medifast, Inc 96 Natural Health Trends Corp 9,358 Procter & Gamble Co TOTAL HOUSEHOLD & PERSONAL PRODUCTS INSURANCE - 4.8% 4,451 3,634 3,136 6,953 3,960 3,972 5,103 276 7,220 4,439 2,873 MATERIALS - 4.1% 398 1,568 2,295 441 2,413 2,119 469 2,078 2,784 1,152 697 138 256 708 757 18,528 3,321 9,907 8,271 8,003 12,911 2,373 4,848 5,017 10,183 4,955 30,241 2,709,387 1,835 415,319 198,212 2,289 3,225 800,951 1,421,831 Aflac, Inc Allstate Corp Chubb Ltd * Genworth Financial, Inc (Class A) Hartford Financial Services Group, Inc Loews Corp Marsh & McLennan Cos, Inc Principal Financial Group Progressive Corp Prudential Financial, Inc Travelers Cos, Inc TOTAL INSURANCE 321,718 248,311 392,815 19,886 157,806 164,163 335,522 12,870 234,722 334,213 333,900 2,555,926 A. Schulman, Inc Albemarle Corp * Axalta Coating Systems Ltd Balchem Corp Ball Corp Celanese Corp (Series A) Compass Minerals International, Inc Eastman Chemical Co Ecolab, Inc * Ferro Corp * Flotek Industries, Inc Hawkins, Inc Innophos Holdings, Inc International Paper Co Kapstone Paper and Packaging Corp 11,665 131,979 65,522 28,167 170,527 134,387 32,638 135,548 329,570 14,930 9,897 5,898 11,023 32,433 10,810 80 TIAA-CREF FUNDS - Social Choice Low Carbon Equity Fund SHARES 416 275 488 4,942 211 1,176 3,075 906 361 1,815 1,059 385 981 MEDIA - 3.3% 1,560 479 2,724 328 331 900 1,647 857 448 358 1,464 1,461 916 1,143 572 5,188 6,536 COMPANY VALUE * Kraton Polymers LLC Materion Corp Minerals Technologies, Inc Mosaic Co Myers Industries, Inc PolyOne Corp PPG Industries, Inc Royal Gold, Inc Schnitzer Steel Industries, Inc (Class A) Sealed Air Corp Sherwin-Williams Co Trinseo S.A. WestRock Co TOTAL MATERIALS $ * Charter Communications, Inc Clear Channel Outdoor Holdings, Inc (Class A) * Discovery Communications, Inc (Class C) * DreamWorks Animation SKG, Inc (Class A) Entercom Communications Corp (Class A) Entravision Communications Corp (Class A) Gannett Co, Inc * Gray Television, Inc John Wiley & Sons, Inc (Class A) * Liberty Broadband Corp (Class A) * Liberty Broadband Corp (Class C) * Media General, Inc New York Times Co (Class A) Scripps Networks Interactive (Class A) Sinclair Broadcast Group, Inc (Class A) Time Warner, Inc Walt Disney Co TOTAL MEDIA 12,443 7,263 31,847 133,434 3,154 41,242 321,983 76,593 7,036 85,632 317,414 19,169 42,095 2,224,299 366,398 3,348 66,847 13,438 4,836 6,534 21,016 8,484 25,850 22,486 92,686 25,699 11,890 75,506 15,913 397,660 627,129 1,785,720 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 9.7% 1,260 * Acadia Pharmaceuticals, Inc 2,571 Agilent Technologies, Inc 1,169 * Akorn, Inc 650 * Alexion Pharmaceuticals, Inc 3,081 Amgen, Inc 2,478 * Ariad Pharmaceuticals, Inc 438 * Biogen Idec, Inc 7,414 Bristol-Myers Squibb Co 282 * Cambrex Corp 3,045 * Celgene Corp 1,207 * Celldex Therapeutics, Inc 573 * Cempra, Inc 606 * Chimerix, Inc 845 * Depomed, Inc 356 * Fluidigm Corp 6,316 Gilead Sciences, Inc 868 * Immunomedics, Inc 46,670 123,691 40,015 83,590 530,025 23,566 126,989 554,641 14,780 341,619 5,576 10,297 2,418 16,030 3,756 501,933 2,300 81 TIAA-CREF FUNDS - Social Choice Low Carbon Equity Fund COMPANY SHARES 879 351 460 1,812 8,586 71 10,983 869 1,839 711 920 486 522 241 366 907 543 117 224 101 475 2,560 482 274 278 6,207 REAL ESTATE - 5.6% 114 3,211 11,079 130 542 1,702 3,468 2,026 641 314 845 1,774 822 364 1,297 2,544 1,014 6,072 386 96 1,881 725 181 619 * * * * * * * * * * * * * * * * * * * * * * VALUE Inovio Pharmaceuticals, Inc Intersect ENT, Inc Intra-Cellular Therapies, Inc Ironwood Pharmaceuticals, Inc Johnson & Johnson Kite Pharma, Inc Merck & Co, Inc Momenta Pharmaceuticals, Inc Nektar Therapeutics Prestige Brands Holdings, Inc Progenics Pharmaceuticals, Inc Prothena Corp plc Relypsa, Inc Revance Therapeutics, Inc Sage Therapeutics, Inc Sangamo Biosciences, Inc Sarepta Therapeutics, Inc Spark Therapeutics, Inc Sucampo Pharmaceuticals, Inc (Class A) TESARO, Inc Theravance Biopharma, Inc Thermo Electron Corp Ultragenyx Pharmaceutical, Inc Versartis, Inc Vertex Pharmaceuticals, Inc Zoetis Inc TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES * Altisource Portfolio Solutions S.A. American Tower Corp Annaly Capital Management, Inc AvalonBay Communities, Inc Chimera Investment Corp Communications Sales & Leasing, Inc Crown Castle International Corp CYS Investments, Inc Dynex Capital, Inc Easterly Government Properties, Inc Equinix, Inc Equity Residential Host Marriott Corp * iStar Financial, Inc Kennedy-Wilson Holdings, Inc NorthStar Realty Finance Corp Parkway Properties, Inc Prologis, Inc Resource Capital Corp RMR Group, Inc Simon Property Group, Inc * St. Joe Co * Tejon Ranch Co Tier REIT, Inc $ 8,684 5,560 18,768 25,604 1,075,225 4,021 644,263 9,785 31,796 38,038 5,382 26,754 16,673 3,251 16,419 5,741 13,727 6,779 2,632 9,417 12,117 406,630 30,501 3,151 26,966 313,267 5,189,047 2,652 371,737 121,647 24,135 9,095 52,898 336,500 18,133 4,500 6,434 315,075 120,614 14,582 3,771 27,302 34,090 17,613 330,863 5,254 3,268 427,062 13,362 4,755 10,789 82 TIAA-CREF FUNDS - Social Choice Low Carbon Equity Fund SHARES 1,871 4,100 8,524 RETAILING - 3.2% 304 105 495 246 139 694 1,257 1,406 241 1,527 5,452 275 424 207 515 142 5,278 3,789 389 7,619 210 146 1,100 3,775 493 328 8,956 417 463 305 422 COMPANY VALUE Ventas, Inc Welltower, Inc Weyerhaeuser Co TOTAL REAL ESTATE $ * 1-800-FLOWERS.COM, Inc (Class A) * AutoZone, Inc Best Buy Co, Inc Big 5 Sporting Goods Corp Blue Nile, Inc * Cabela’s, Inc Dollar General Corp * Etsy, Inc * FTD Cos, Inc Gap, Inc * Groupon, Inc Haverty Furniture Cos, Inc HSN, Inc Kirkland’s, Inc Kohl’s Corp * Lands’ End, Inc Lowe’s Companies, Inc * NetFlix, Inc Nutri/System, Inc * Office Depot, Inc Outerwall, Inc * Overstock.com, Inc Pier 1 Imports, Inc Ross Stores, Inc * Shutterfly, Inc Stage Stores, Inc Staples, Inc Stein Mart, Inc * Ulta Salon Cosmetics & Fragrance, Inc * Vitamin Shoppe, Inc * Wayfair, Inc TOTAL RETAILING 142,495 325,253 278,905 3,022,784 2,775 85,467 16,632 2,598 4,039 35,831 119,088 14,144 6,100 39,381 26,279 5,068 21,692 3,155 21,419 2,018 434,274 345,746 11,507 26,362 11,059 2,380 5,632 233,408 26,223 1,945 83,201 3,586 120,940 8,924 18,357 1,739,230 SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.2% 9,072 * Advanced Micro Devices, Inc 12,276 Applied Materials, Inc 952 Brooks Automation, Inc 18,623 Intel Corp 4,174 Nvidia Corp 756 * SunPower Corp 6,245 Texas Instruments, Inc TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT SOFTWARE & SERVICES - 13.2% 3,780 Accenture plc 492 * Actua Corp 869 * Alphabet, Inc (Class A) 62,234 322,736 11,929 649,198 238,335 11,022 435,589 1,731,043 426,422 4,910 687,674 83 TIAA-CREF FUNDS - Social Choice Low Carbon Equity Fund SHARES 881 378 1,479 3,893 312 653 428 4,878 665 634 429 1,463 210 3,683 1,795 640 348 575 5,033 22,542 812 294 13,275 431 376 898 1,527 332 811 80 4,631 526 507 217 1,699 351 1,481 611 125 533 1,652 14,275 8,740 COMPANY VALUE * Alphabet, Inc (Class C) * Angie’s List, Inc * Autodesk, Inc Automatic Data Processing, Inc * Black Knight Financial Services, Inc Blackbaud, Inc * Cimpress NV * Cognizant Technology Solutions Corp (Class A) * comScore, Inc * DHI Group, Inc * Euronet Worldwide, Inc * Glu Mobile, Inc * Interactive Intelligence, Inc International Business Machines Corp Intuit, Inc j2 Global, Inc * LogMeIn, Inc * Marketo, Inc MasterCard, Inc (Class A) Microsoft Corp * Monster Worldwide, Inc * New Relic, Inc Oracle Corp * Perficient, Inc * Qualys, Inc * Quotient Technology, Inc * Rackspace Hosting, Inc * RetailMeNot, Inc * RingCentral, Inc * Rovi Corp * Salesforce.com, Inc * ServiceSource International LLC * Silver Spring Networks, Inc * SPS Commerce, Inc Symantec Corp * Tangoe, Inc * Teradata Corp * Unisys Corp * Vasco Data Security International * Website Pros, Inc * Workday, Inc Xerox Corp * Yahoo!, Inc TOTAL SOFTWARE & SERVICES $ TECHNOLOGY HARDWARE & EQUIPMENT - 4.1% 526 * Arista Networks, Inc 400 * Calix, Inc 20,385 Cisco Systems, Inc 198 Comtech Telecommunications Corp 7,289 Corning, Inc 564 * Cray, Inc 346 Daktronics, Inc 677,304 3,058 87,927 346,282 12,121 43,653 40,574 280,436 17,257 4,622 32,716 3,423 11,329 591,563 199,227 42,778 29,897 20,228 479,343 1,277,681 2,054 10,125 544,806 9,577 11,803 11,369 35,778 2,772 18,677 1,505 378,816 2,377 6,373 13,740 34,711 2,840 42,031 6,055 2,089 10,052 137,678 147,032 333,781 7,086,466 37,488 3,088 622,354 2,588 161,962 17,800 2,239 84 TIAA-CREF FUNDS - Social Choice Low Carbon Equity Fund COMPANY SHARES 233 13,731 16,768 22,612 2,074 862 1,390 427 1,095 248 603 485 478 * * * * * * VALUE Electro Rent Corp EMC Corp Hewlett Packard Enterprise Co HP, Inc Ingram Micro, Inc (Class A) Lexmark International, Inc (Class A) Motorola, Inc Netgear, Inc QLogic Corp Scansource, Inc Sonus Networks, Inc Super Micro Computer, Inc Tech Data Corp TOTAL TECHNOLOGY HARDWARE & EQUIPMENT $ 3,604 388,313 352,463 316,794 71,014 31,609 96,438 21,961 16,994 10,175 5,198 10,452 37,251 2,209,785 TELECOMMUNICATION SERVICES - 2.6% 327 * Boingo Wireless, Inc 5,222 CenturyTel, Inc 2,783 * Cincinnati Bell, Inc 16,332 Frontier Communications Corp 401 * General Communication, Inc (Class A) 5,791 * Globalstar, Inc 232 IDT Corp (Class B) 1,007 * Iridium Communications, Inc 4,128 * Level 3 Communications, Inc 676 Shenandoah Telecom Co 10,558 * Sprint Corp 14,376 Verizon Communications, Inc 2,644 * Vonage Holdings Corp 1,217 Windstream Holdings, Inc TOTAL TELECOMMUNICATION SERVICES 2,995 164,180 13,915 84,927 6,172 6,891 3,540 9,043 208,877 27,770 64,826 796,574 15,679 11,330 1,416,719 TRANSPORTATION - 3.1% 11,295 CSX Corp 1,017 * Hertz Global Holdings, Inc 995 Kansas City Southern Industries, Inc 3,566 Norfolk Southern Corp 4,770 Union Pacific Corp 4,012 United Parcel Service, Inc (Class B) 750 * Wesco Aircraft Holdings, Inc 431 * YRC Worldwide, Inc TOTAL TRANSPORTATION 319,987 49,508 95,629 320,155 443,849 433,697 9,638 5,116 1,677,579 UTILITIES - 3.6% 2,516 2,475 6,121 3,953 4,125 4,485 1,197 538 798 American Water Works Co, Inc Aqua America, Inc Centerpoint Energy, Inc Consolidated Edison, Inc Edison International Eversource Energy New Jersey Resources Corp Ormat Technologies, Inc Pattern Energy Group, Inc 207,771 85,734 146,414 316,556 319,193 262,328 44,576 24,554 19,447 85 TIAA-CREF FUNDS - Social Choice Low Carbon Equity Fund SHARES 1,138 2,909 655 699 COMPANY VALUE Piedmont Natural Gas Co, Inc Sempra Energy Southwest Gas Corp WGL Holdings, Inc TOTAL UTILITIES $ 68,053 325,459 50,763 49,482 1,920,330 TOTAL COMMON STOCKS (Cost $50,175,892) 53,676,968 TOTAL INVESTMENTS - 99.9% (Cost $50,175,892) OTHER ASSETS & LIABILITIES, NET - 0.1% NET ASSETS - 100.0% 53,676,968 $ Abbreviation(s): REIT Real Estate Investment Trust * Non-income producing 86 61,244 53,738,212 TIAA-CREF FUNDS - Emerging Markets Equity Fund TIAA-CREF FUNDS EMERGING MARKETS EQUITY FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 PRINCIPAL ISSUER RATE MATURITY DATE VALUE CORPORATE BONDS - 0.1% HONG KONG - 0.1% $ 534,000 m Asia Pacific Investment Partners TOTAL HONG KONG 8.000% TOTAL CORPORATE BONDS (Cost $534,000) SHARES 10/29/16 $ 501,735 501,735 501,735 COMPANY COMMON STOCKS - 100.0% ARGENTINA - 1.0% 234,034 165,680 193,296 AUSTRALIA - 0.5% 929,067 BRAZIL - 9.3% 1,173,400 1,294,069 613,700 1,357,200 1,177,700 732,472 606,700 185,817 592,500 1,159,400 285,000 283,300 2,854,400 2,231,200 230,400 739,000 CHILE - 1.2% 1,595,582 12,218,191 * Grupo Supervielle S.A. (ADR) * Pampa Energia S.A. (ADR) YPF S.A. (ADR) (Class D) TOTAL ARGENTINA 3,171,161 4,516,437 3,570,177 11,257,775 Oil Search Ltd TOTAL AUSTRALIA 5,091,115 5,091,115 Banco Bradesco S.A. (Preference) Banco Itau Holding Financeira S.A. BB Seguridade Participacoes S.A. BM&F Bovespa S.A. BR Malls Participacoes S.A. Cielo S.A. Cosan SA Industria e Comercio Energisa S.A. Hypermarcas S.A. Kroton Educacional S.A. Localiza Rent A Car Ouro Fino Saude Animal Participacoes S.A. * Petroleo Brasileiro S.A. * Rumo Logistica Operadora Multimodal S.A. Telefonica Brasil S.A. Vale S.A. TOTAL BRAZIL 10,263,269 13,485,872 5,704,700 7,990,670 5,106,854 8,301,982 6,371,248 1,192,016 5,016,076 5,163,378 3,542,283 3,538,629 12,333,501 4,211,369 3,498,209 4,216,475 99,936,531 Centros Comerciales Sudamericanos S.A. Enersis S.A. 4,540,700 2,132,141 87 TIAA-CREF FUNDS - Emerging Markets Equity Fund COMPANY SHARES 2,945,158 CHINA - 18.4% 332,341 48,794 6,456,000 4,186,000 8,978,000 22,091,000 2,921,000 1,322,000 2,970,200 2,652,000 4,826,000 169,867 13,164,000 1,475,000 20,611,834 1,927,000 1,362,000 2,036,800 97,616 12,224,000 VALUE Parque Arauco S.A. TOTAL CHILE $ * Alibaba Group Holding Ltd (ADR) * Baidu, Inc (ADR) e Beijing Enterprises Water Group Ltd Brilliance China Automotive Holdings Ltd *,e,m China Animal Healthcare Ltd China Construction Bank China Galaxy Securities Co Ltd China Mobile Hong Kong Ltd China Overseas Land & Investment Ltd China Resources Land Ltd CNOOC Ltd *,e Ctrip.com International Ltd (ADR) Huaneng Renewables Corp Ltd g Huatai Securities Co Ltd Industrial & Commercial Bank of China Ping An Insurance Group Co of China Ltd e Sunny Optical Technology Group Co Ltd Tencent Holdings Ltd * YY, Inc (ADR) Zijin Mining Group Co Ltd TOTAL CHINA 27,411,486 7,787,522 3,929,332 4,660,536 11,572 14,857,086 2,534,786 16,371,015 9,797,401 6,614,957 5,816,452 7,418,092 4,225,991 3,022,119 11,758,857 9,043,565 5,437,321 49,195,085 3,825,571 4,468,953 198,187,699 CZECH REPUBLIC - 0.3% 1,107,217 *,g Moneta Money Bank AS. TOTAL CZECH REPUBLIC GREECE - 0.4% 485,513 HONG KONG - 3.6% 1,361,200 22,290 *,m 2,874,000 621,536 *,e,m 717,000 *,e,g 321,326 22,290 *,m 1,418,700 1,556,000 26,720,000 INDIA - 12.6% 223,644 227,520 677,468 2,275,799 6,484,611 13,157,452 3,414,417 3,414,417 OPAP S.A. TOTAL GREECE 3,896,815 3,896,815 AIA Group Ltd Asia Pacific Investment Partners Limited China Gas Holdings Ltd China Metal Recycling Holdings Ltd IMAX China Holding, Inc Melco Crown Entertainment Ltd (ADR) Mongolian Metals Corporation Sands China Ltd Techtronic Industries Co Tongda Group Holdings Ltd TOTAL HONG KONG 8,479,173 148,925 4,549,603 801 3,708,003 4,485,711 0 5,428,208 6,589,247 5,388,476 38,778,147 Apollo Hospitals Enterprise Ltd Bharat Electronics Ltd Bharat Petroleum Corp Ltd DLF Ltd 4,553,088 4,208,615 5,994,775 5,491,346 88 TIAA-CREF FUNDS - Emerging Markets Equity Fund SHARES 14,272 398,879 32,766 429,510 494,479 3,874,948 1,136,722 2,088,141 547,815 1,229,862 1,907,731 1,057,475 1,555,708 178,777 644,549 345,888 725,218 219,991 530,472 1,103,186 354,215 INDONESIA - 3.3% 6,651,900 5,740,500 719,001 2,770,300 55,320,700 19,256,200 27,535,300 17,341,400 JAPAN - 0.4% 195,800 JORDAN - 0.5% 158,736 COMPANY VALUE Eicher Motors Ltd HDFC Bank Ltd HDFC Bank Ltd (ADR) Housing Development Finance Corp IndusInd Bank Ltd Infrastructure Development Finance Co Ltd IRB Infrastructure Developers Ltd ITC Ltd LIC Housing Finance Ltd Mundra Port and Special Economic Zone Ltd Nagarjuna Construction Co Phoenix Mills Ltd Power Grid Corp of India Ltd PVR Ltd Reliance Industries Ltd Shriram Transport Finance Co Ltd Sobha Developers Ltd Strides Arcolab Ltd Sun Pharmaceutical Industries Ltd Tata Motors Ltd Yes Bank Ltd TOTAL INDIA $ Bank Rakyat Indonesia PT Astra International Tbk PT Gudang Garam Tbk PT Matahari Department Store Tbk PT Pakuwon Jati Tbk PT Summarecon Agung Tbk PT Telekomunikasi Indonesia Persero Tbk PT Waskita Karya Persero Tbk TOTAL INDONESIA 4,796,675 7,424,269 2,269,701 8,857,027 8,704,991 3,173,256 3,675,359 7,899,430 4,259,753 4,271,733 2,331,360 5,705,329 4,092,849 3,049,501 9,776,881 6,619,155 3,624,281 3,829,557 6,593,449 8,327,055 6,461,701 135,991,136 5,875,487 3,399,008 3,712,755 4,227,998 2,758,510 2,503,337 8,963,041 3,676,100 35,116,236 e W-Scope Corp TOTAL JAPAN 4,441,763 4,441,763 Hikma Pharmaceuticals plc TOTAL JORDAN 5,527,292 5,527,292 KOREA, REPUBLIC OF - 13.8% 82,446 CJ E&M Corp 52,194 e Cosmax, Inc 51,551 Daelim Industrial Co 212,174 Hana Financial Group, Inc 364,418 Hynix Semiconductor, Inc 53,104 Hyundai Motor Co 48,431 Innocean Worldwide, Inc 120,230 i-SENS Inc 169,943 Korea Electric Power Corp 5,234,697 6,762,138 3,873,009 5,224,065 11,221,915 6,265,864 3,464,198 4,126,343 9,304,172 89 TIAA-CREF FUNDS - Emerging Markets Equity Fund SHARES 10,629 228,484 66,640 94,857 14,619 10,910 55,439 133,624 38,672 MALAYSIA - 0.4% 6,987,025 MEXICO - 5.2% 3,032,500 804,500 9,362,600 854,200 2,290,800 364,155 772,455 1,350,480 1,243,622 2,073,046 1,449,500 NETHERLANDS - 0.8% 1,292,886 PAKISTAN - 1.1% 1,019,200 1,330,000 3,504,000 2,129,600 PERU - 1.0% 309,229 39,258 PHILIPPINES - 3.1% 12,450,550 1,420,850 10,714,900 165,860 11,145,300 31,094,100 COMPANY VALUE LG Household & Health Care Ltd LG.Philips LCD Co Ltd * Loen Entertainment, Inc Maeil Dairy Industry Co Ltd Mando Corp Medy-Tox, Inc * Osstem Implant Co Ltd Samsung Card Co Samsung Electronics Co Ltd TOTAL KOREA, REPUBLIC OF $ Karex BHD TOTAL MALAYSIA 9,573,800 6,334,798 4,824,399 3,283,786 3,399,248 4,226,532 3,774,898 5,160,514 53,211,788 149,266,164 4,104,328 4,104,328 Alpek SAB de C.V. Banregio Grupo Financiero SAB de C.V. * Cemex S.A. de C.V. Fomento Economico Mexicano S.A. de C.V. e Gentera SAB de C.V. Gruma SAB de C.V. Grupo Aeroportuario del Centro Norte Sab de C.V. Grupo Financiero Banorte S.A. de C.V. Servicios Corporativos Javer SAPI de C.V. e Unifin Financiera SAPI de C.V. SOFOM ENR Wal-Mart de Mexico SAB de C.V. TOTAL MEXICO 5,376,016 4,609,034 7,135,549 7,642,243 4,256,612 5,237,423 4,804,052 7,396,309 1,177,295 5,438,567 3,312,591 56,385,691 Steinhoff International Holdings NV TOTAL NETHERLANDS 8,177,681 8,177,681 Engro Chemical Pakistan Ltd Kohinoor Textile Mills Ltd Maple Leaf Cement Factory Ltd United Bank Ltd TOTAL PAKISTAN 3,255,250 1,089,757 3,773,458 3,766,419 11,884,884 * Cia de Minas Buenaventura S.A. (ADR) (Series B) Credicorp Ltd (NY) TOTAL PERU 4,530,205 6,294,235 10,824,440 Century Pacific Food, Inc Concepcion Industrial Corp D&L Industries Inc GT Capital Holdings, Inc Integrated Micro-Electronics, Inc Metro Pacific Investments Corp 4,434,732 1,749,295 2,259,477 5,424,279 1,358,046 4,955,303 90 TIAA-CREF FUNDS - Emerging Markets Equity Fund SHARES 138,252 1,865,750 8,743,275 951,607 POLAND - 0.4% 2,198,047 RUSSIA - 4.4% 172,623 93,103 311,176 692,528 1,514,418 402,620 182,284 167,229 SINGAPORE - 0.2% 1,402,000 COMPANY VALUE Philippine Stock Exchange, Inc Robinsons Retail Holdings, Inc SM Prime Holdings Universal Robina TOTAL PHILIPPINES $ * Globe Trade Centre S.A. TOTAL POLAND 3,976,554 3,976,554 LUKOIL PJSC (ADR) NovaTek OAO (GDR) PhosAgro OAO (ADR) Rosneft Oil Co (GDR) Sberbank of Russian Federation (ADR) TCS Group Holding plc (ADR) * X 5 Retail Group NV (GDR) * Yandex NV TOTAL RUSSIA 7,430,088 9,358,468 4,294,229 3,367,357 13,195,451 2,414,664 3,976,406 3,620,508 47,657,171 Petra Foods Ltd TOTAL SINGAPORE 2,582,934 2,582,934 SOUTH AFRICA - 3.5% 466,335 * AngloGold Ashanti Ltd 174,968 Naspers Ltd (N Shares) TOTAL SOUTH AFRICA TAIWAN - 8.8% 7,235,000 1,593,000 720,000 423,000 2,620,700 1,902,636 97,000 8,006,000 516,700 THAILAND - 3.6% 25,677,000 23,494,630 3,514,800 1,033,800 5,697,831 1,774,900 604,500 827,575 3,414,061 5,426,213 4,051,384 33,900,365 10,183,377 27,456,552 37,639,929 Advanced Semiconductor Engineering, Inc Basso Industry Corp * Bizlink Holdings Inc Eclat Textile Co Ltd Hon Hai Precision Industry Co, Ltd Hota Industrial Manufacturing Co Ltd Largan Precision Co Ltd Taiwan Semiconductor Manufacturing Co Ltd * VHQ Media Holdings Ltd TOTAL TAIWAN 8,540,847 4,977,207 4,433,298 4,741,474 7,232,097 8,667,341 10,428,283 43,245,911 2,223,866 94,490,324 Asia Aviation PCL (ADR) Beauty Community PCL (ADR) CP Seven Eleven PCL (ADR) Kasikornbank PCL - (NVDR) Minor International PCL (ADR) PTT Exploration & Production PCL (ADR) PTT PCL (ADR) TOTAL THAILAND 4,933,632 6,620,613 5,232,108 5,877,229 6,674,942 4,254,613 5,781,250 39,374,387 91 TIAA-CREF FUNDS - Emerging Markets Equity Fund COMPANY SHARES TURKEY - 0.5% 235,988 141,055 VALUE Coca-Cola Icecek AS Tupras Turkiye Petrol Rafine TOTAL TURKEY $ 2,929,878 3,018,709 5,948,587 UNITED ARAB EMIRATES - 0.5% 357,550 NMC Health plc TOTAL UNITED ARAB EMIRATES 5,228,854 5,228,854 UNITED KINGDOM - 0.4% 400,542 Anglo American plc TOTAL UNITED KINGDOM 4,438,064 4,438,064 UNITED STATES - 0.4% 49,608 VIETNAM - 0.4% 688,490 Yum! Brands, Inc TOTAL UNITED STATES 4,435,947 4,435,947 Mobile World Investment Corp TOTAL VIETNAM 4,140,151 4,140,151 TOTAL COMMON STOCKS (Cost $958,230,546) 1,079,252,833 PREFERRED STOCKS - 0.0% PHILIPPINES - 0.0% 1,721,900 *,m Ayala Land, Inc (Preferred B) TOTAL PHILIPPINES 3,655 3,655 TOTAL PREFERRED STOCKS (Cost $4,057) 3,655 RIGHTS / WARRANTS - 0.0% THAILAND - 0.0% 214,931 Minor International PCL TOTAL THAILAND 41,344 41,344 TOTAL RIGHTS / WARRANTS (Cost $0) 41,344 SHORT-TERM INVESTMENTS - 2.7% INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 2.7% 29,219,827 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $29,219,827) TOTAL INVESTMENTS - 102.8% (Cost $987,988,430) OTHER ASSETS & LIABILITIES, NET - (2.8)% NET ASSETS - 100.0% 92 29,219,827 29,219,827 29,219,827 1,109,019,394 $ (29,979,282) 1,079,040,112 TIAA-CREF FUNDS - Emerging Markets Equity Fund Abbreviation(s): ADR American Depositary Receipt GDR Global Depositary Receipt NVDR Non-Voting Depository Receipt * c e g Non-income producing Investments made with cash collateral received from securities on loan. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $24,440,006. Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 7/31/16, the aggregate value of these securities was $10,144,539 or 0.9% of net assets. m Indicates a security that has been deemed illiquid. 93 TIAA-CREF FUNDS - Emerging Markets Equity Fund TIAA-CREF FUNDS EMERGING MARKETS EQUITY FUND SUMMARY OF MARKET VALUES BY SECTOR (unaudited) July 31, 2016 SECTOR FINANCIALS INFORMATION TECHNOLOGY CONSUMER DISCRETIONARY CONSUMER STAPLES ENERGY MATERIALS INDUSTRIALS HEALTH CARE UTILITIES TELECOMMUNICATION SERVICES SHORT - TERM INVESTMENTS OTHER ASSETS & LIABILITIES, NET $ NET ASSETS $ 94 VALUE 280,354,979 252,541,636 163,966,128 87,706,773 82,164,634 58,373,617 50,506,780 41,410,214 33,942,541 28,832,265 29,219,827 (29,979,282) 1,079,040,112 % OF NET ASSETS 26.0% 23.4 15.2 8.1 7.6 5.4 4.7 3.8 3.2 2.7 2.7 (2.8) 100.0% TIAA-CREF FUNDS - Enhanced International Equity Index Fund TIAA-CREF FUNDS ENHANCED INTERNATIONAL EQUITY INDEX FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.7% AUSTRALIA - 7.6% 823,443 89,458 846,329 282,098 32,433 77,345 140,862 188,402 238,998 144,801 55,977 82,955 4,937 234,330 364,771 364,679 1,094,503 145,164 93,747 2,665,576 3,122,861 185,685 743,944 1,298,338 301,084 AUSTRIA - 0.0% 77,055 BELGIUM - 1.0% 46,367 19,548 39,972 65,499 DENMARK - 2.1% 130,342 72,085 173,732 Amcor Ltd Aristocrat Leisure Ltd Australia & New Zealand Banking Group Ltd BHP Billiton Ltd BHP Billiton plc Brambles Ltd Caltex Australia Ltd Challenger Financial Services Group Ltd Coca-Cola Amatil Ltd Commonwealth Bank of Australia Computershare Ltd CSL Ltd e Flight Centre Travel Group Ltd Fortescue Metals Group Ltd Harvey Norman Holdings Ltd Lend Lease Corp Ltd Macquarie Goodman Group Oil Search Ltd Origin Energy Ltd Qantas Airways Ltd Scentre Group Seek Ltd Tabcorp Holdings Ltd Telstra Corp Ltd Westpac Banking Corp TOTAL AUSTRALIA $ *,e,m Immoeast AG. TOTAL AUSTRIA 9,410,437 1,085,745 16,651,064 4,181,307 408,932 791,217 3,562,266 1,362,315 1,671,915 8,523,943 377,955 7,438,960 120,990 799,213 1,341,934 3,722,104 6,277,403 795,472 395,302 6,399,875 12,586,596 2,362,733 2,768,128 5,694,640 7,124,350 105,854,796 0 0 Anheuser-Busch InBev NV Colruyt S.A. UCB S.A. Umicore TOTAL BELGIUM 5,990,252 1,090,422 3,127,567 3,789,748 13,997,989 Novo Nordisk AS Pandora AS Vestas Wind Systems AS TOTAL DENMARK 7,412,065 9,389,150 12,145,746 28,946,961 95 TIAA-CREF FUNDS - Enhanced International Equity Index Fund SHARES FINLAND - 1.3% 95,212 5,843 68,205 300,515 427,253 FRANCE - 10.0% 60,637 86,302 702,049 152,003 128,751 8,637 126,361 25,941 35,074 35,673 250,440 113,991 236,610 243,203 232,455 199,266 429,421 GERMANY - 9.1% 123,733 69,974 35,392 36,730 45,645 149,966 237,276 750,193 510,354 187,290 46,180 42,396 73,173 147,048 73,320 54,025 31,627 17,768 98,618 52,810 1,223 COMPANY VALUE Elisa Oyj (Series A) Kone Oyj (Class B) Neste Oil Oyj Stora Enso Oyj (R Shares) UPM-Kymmene Oyj TOTAL FINLAND $ 3,454,341 296,059 2,588,345 2,730,023 8,811,020 17,879,788 Arkema Atos Origin S.A. AXA S.A. BNP Paribas Cap Gemini S.A. Christian Dior S.A. CNP Assurances Eurazeo Michelin (C.G.D.E.) (Class B) Publicis Groupe S.A. Sanofi-Aventis SCOR SE Societe Generale Total S.A. Valeo S.A. Vinci S.A. Vivendi Universal S.A. TOTAL FRANCE 5,179,257 8,459,804 14,288,347 7,540,000 12,376,005 1,562,120 1,930,585 1,658,511 3,584,836 2,656,404 21,330,797 3,330,094 8,066,915 11,696,562 11,925,205 15,145,250 8,431,981 139,162,673 Allianz AG. BASF SE Bayer AG. Bayerische Motoren Werke AG. Continental AG. g Covestro AG. Daimler AG. (Registered) Deutsche Telekom AG. E.ON AG. Evonik Industries AG. Fresenius SE Hannover Rueckversicherung AG. HeidelbergCement AG. Metro AG. Osram Licht AG. ProSiebenSat. Media AG. SAP AG. Schaeffler AG. Siemens AG. TUI AG. (DI) Volkswagen AG. TOTAL GERMANY 17,729,044 5,496,568 3,804,564 3,164,806 9,572,547 7,009,880 16,130,989 12,762,711 5,473,479 5,842,256 3,449,543 4,336,450 6,198,544 4,731,027 3,814,641 2,474,709 2,768,102 259,308 10,704,633 687,526 180,849 126,592,176 96 TIAA-CREF FUNDS - Enhanced International Equity Index Fund SHARES HONG KONG - 3.3% 295,000 657,340 926,000 405,900 20,300 1,336,864 349,000 5,384,000 1,259,000 378,000 378,500 IRELAND - 0.5% 18,227 122,187 3,219 4,821 46,655 ISRAEL - 0.7% 67,951 245,914 584,030 14,041 25,187 100,236 ITALY - 2.2% 2,411,192 2,391,831 457,016 13,350 1,047,442 JAPAN - 23.3% 189,200 134,100 292,000 1,386,000 1,476,000 198,000 702,600 111,700 268,300 7,900 213,200 127,900 53,600 COMPANY VALUE AIA Group Ltd CK Hutchison Holdings Ltd CLP Holdings Ltd Henderson Land Development Co Ltd Melco Crown Entertainment Ltd (ADR) Sino Land Co Sun Hung Kai Properties Ltd g WH Group Ltd Wharf Holdings Ltd Wheelock & Co Ltd Yue Yuen Industrial Holdings TOTAL HONG KONG $ 1,837,611 7,704,635 9,650,672 2,422,900 283,388 2,391,991 5,007,609 4,251,766 8,700,934 2,026,987 1,538,032 45,816,525 * AerCap Holdings NV Experian Group Ltd Kerry Group plc (Class A) Paddy Power plc Ryanair Holdings plc (ADR) TOTAL IRELAND 665,468 2,390,042 275,433 565,434 3,301,774 7,198,151 Bank Hapoalim Ltd * Bank Leumi Le-Israel Bezeq Israeli Telecommunication Corp Ltd * Check Point Software Technologies Mizrahi Tefahot Bank Ltd Teva Pharmaceutical Industries Ltd TOTAL ISRAEL 346,389 886,113 1,159,093 1,079,472 305,956 5,486,171 9,263,194 Banca Intesa S.p.A. RSP Enel S.p.A. ENI S.p.A. Ferrari NV g Poste Italiane S.p.A TOTAL ITALY 5,036,753 11,008,564 7,010,635 604,359 7,298,395 30,958,706 Aeon Co Ltd Alfresa Holdings Corp All Nippon Airways Co Ltd Aozora Bank Ltd Asahi Glass Co Ltd Asahi Kasei Corp Astellas Pharma, Inc Bridgestone Corp Brother Industries Ltd Central Japan Railway Co Chubu Electric Power Co, Inc * Concordia Financial Group Ltd Daicel Chemical Industries Ltd 2,718,648 2,939,873 833,525 5,085,794 8,479,252 1,496,586 11,706,530 3,868,276 3,048,974 1,468,399 3,132,258 543,657 601,091 97 TIAA-CREF FUNDS - Enhanced International Equity Index Fund SHARES 8,900 250,200 236,000 166,200 60,400 32,200 976,700 323,700 230,100 371,100 438,500 632,000 154,500 642,000 191,000 11,300 307,500 240,000 29,300 964,200 27,800 73,100 7,100 44,000 86,000 516,000 451,000 1,090,500 160,600 237,000 446,800 548,000 124,500 34,700 114,000 798,000 258,300 1,339,900 225,200 374 87,500 70,700 91,400 205,500 220,300 183,700 2,400 292,800 233,500 16,900 149,000 67,000 466,000 COMPANY VALUE Daiichi Sankyo Co Ltd Daiwa House Industry Co Ltd Fuji Electric Holdings Co Ltd Fuji Heavy Industries Ltd Hankyu Hanshin Holdings, Inc Hitachi Chemical Co Ltd Itochu Corp Japan Airlines Co Ltd * Japan Post Bank Co Ltd Japan Tobacco, Inc JX Holdings, Inc Kajima Corp Kao Corp Kawasaki Heavy Industries Ltd KDDI Corp Keyence Corp Kuraray Co Ltd Kyushu Financial Group, Inc M3, Inc Matsushita Electric Industrial Co Ltd Mazda Motor Corp Mediceo Paltac Holdings Co Ltd MEIJI Holdings Co Ltd Minebea Co Ltd Mitsubishi Electric Corp Mitsubishi Gas Chemical Co, Inc Mitsubishi Materials Corp Mitsubishi Motors Corp Mitsubishi UFJ Financial Group, Inc Mitsui Chemicals, Inc Mitsui Sumitomo Insurance Group Holdings, Inc Mitsui Trust Holdings, Inc Mixi Inc Murata Manufacturing Co Ltd NEC Corp Nippon Electric Glass Co Ltd Nippon Telegraph & Telephone Corp Nissan Motor Co Ltd Nomura Real Estate Holdings, Inc Nomura Real Estate Master Fund, Inc * Nomura Research Institute Ltd NSK Ltd NTT DoCoMo, Inc Obayashi Corp Osaka Securities Exchange Co Ltd Otsuka Holdings KK Pola Orbis Holdings, Inc SBI Holdings, Inc e Sekisui House Ltd Shoei Co Ltd Sony Corp Sumitomo Chemical Co Ltd Sumitomo Heavy Industries Ltd $ 98 212,233 7,015,820 1,041,617 6,349,633 2,247,080 671,648 11,073,679 9,979,278 2,807,769 14,472,796 1,661,420 4,671,631 8,320,318 1,888,685 5,861,237 7,970,719 3,878,202 1,325,943 937,571 9,272,405 406,575 1,196,218 740,219 348,935 1,002,627 2,939,771 1,185,201 5,083,381 811,917 1,002,467 12,873,081 1,821,122 4,459,972 4,236,927 311,319 3,622,664 12,274,352 12,981,582 3,883,833 619,801 3,086,180 594,692 2,482,820 2,247,501 3,104,725 8,733,086 236,252 3,170,788 3,890,408 175,300 4,891,206 296,540 2,210,910 TIAA-CREF FUNDS - Enhanced International Equity Index Fund SHARES 3,900 52,200 7,900 1,029,000 223,300 45,000 1,064,000 340,100 316,500 75,700 45,000 51,400 314,200 3,900 116,500 JORDAN - 0.1% 35,803 LUXEMBOURG - 0.2% 36,392 4,098 NETHERLANDS - 4.2% 238,101 11,825 788,631 717,315 33,021 472,659 443,988 216,022 NEW ZEALAND - 0.1% 48,401 23,011 490,173 NORWAY - 0.9% 390,053 9,437 359,837 SINGAPORE - 1.3% 639,400 1,047,100 COMPANY VALUE Sundrug Co Ltd Suzuken Co Ltd Suzuki Motor Corp Taisei Corp Taiyo Nippon Sanso Corp Tanabe Seiyaku Co Ltd Teijin Ltd Tohoku Electric Power Co, Inc Tokio Marine Holdings, Inc Tokyo Electron Ltd TonenGeneral Sekiyu KK Toyota Industries Corp Toyota Motor Corp Tsuruha Holdings, Inc West Japan Railway Co TOTAL JAPAN $ 338,312 1,664,869 241,932 9,254,060 2,149,354 840,028 4,001,841 4,369,309 12,250,837 6,503,719 406,539 2,307,110 17,606,132 443,481 7,206,352 324,088,794 Hikma Pharmaceuticals plc TOTAL JORDAN 1,246,684 1,246,684 Millicom International Cellular S.A. RTL Group TOTAL LUXEMBOURG 1,943,109 349,380 2,292,489 g ABN AMRO Group NV (ADR) * Altice NV (Class B) ING Groep NV Koninklijke Ahold Delhaize NV * NXP Semiconductors NV Royal Dutch Shell plc (A Shares) Royal Dutch Shell plc (B Shares) Royal KPN NV TOTAL NETHERLANDS 4,427,800 174,973 8,816,898 17,125,311 2,776,736 12,204,151 11,809,511 710,517 58,045,897 Fletcher Building Ltd Ryman Healthcare Ltd Telecom Corp of New Zealand Ltd TOTAL NEW ZEALAND 338,803 158,560 1,398,582 1,895,945 PAN Fish ASA Schibsted ASA (B Shares) Telenor ASA TOTAL NORWAY 6,652,391 278,413 6,024,229 12,955,033 CapitaLand Ltd DBS Group Holdings Ltd 1,518,150 12,105,360 99 TIAA-CREF FUNDS - Enhanced International Equity Index Fund COMPANY SHARES 48,300 104,200 1,226,400 Jardine Cycle & Carriage Ltd StarHub Ltd Wilmar International Ltd TOTAL SINGAPORE SOUTH AFRICA - 0.5% 370,403 243,911 SPAIN - 2.7% 672,248 146,301 81,038 991,977 29,192 20,361 916,231 12,609 SWEDEN - 2.5% 1,174,739 90,744 307,990 224,796 129,552 29,694 175,800 76,948 VALUE $ Investec plc Mondi plc TOTAL SOUTH AFRICA 1,419,042 305,188 2,845,336 18,193,076 2,204,733 4,936,076 7,140,809 Abertis Infraestructuras S.A. (Continuous) ACS Actividades Construccion y Servicios S.A. g Aena S.A. CaixaBank S.A. Enagas *,m Iberdrola S.A. Iberdrola S.A. Industria De Diseno Textil S.A. TOTAL SPAIN 10,575,303 4,195,243 11,689,045 2,490,838 889,973 139,897 6,295,359 436,066 36,711,724 Ericsson (LM) (B Shares) e ICA Gruppen AB Investor AB (B Shares) * Lundin Petroleum AB Nordea Bank AB Skanska AB (B Shares) Swedish Match AB TeliaSonera AB TOTAL SWEDEN 8,760,478 3,036,136 10,607,757 3,726,580 1,154,265 631,248 6,413,151 351,126 34,680,741 ABB Ltd Actelion Ltd Lonza Group AG. Nestle S.A. Novartis AG. Roche Holding AG. Swiss Life Holding Swiss Re Ltd Wolseley plc TOTAL SWITZERLAND 15,171,286 2,169,332 2,426,884 35,606,909 21,333,639 29,370,620 1,130,055 13,313,577 180,099 120,702,401 SWITZERLAND - 8.7% 714,209 12,247 12,887 444,350 257,208 115,058 4,954 158,823 3,230 UNITED KINGDOM - 17.1% 594,698 1,096,566 165,012 e 1,687,697 148,178 116,022 92,489 3i Group plc Anglo American plc (London) AstraZeneca plc (ADR) Aviva plc BAE Systems plc Barratt Developments plc Berkeley Group Holdings plc 4,857,393 12,009,760 5,633,510 8,690,857 1,046,222 671,825 3,280,656 100 TIAA-CREF FUNDS - Enhanced International Equity Index Fund SHARES 343,155 374,920 1,724,206 23,639 79,336 36,055 80,474 1,033,699 406,989 95,262 1,016,651 1,206,198 297,960 86,075 168,252 875,358 2,668,834 290,711 730,728 76,077 41,526 686,037 597,356 395,366 17,464 717,610 83,364 102,748 97,503 189,923 216,804 COMPANY VALUE e BP plc (ADR) British American Tobacco plc BT Group plc * Coca-Cola European Partners plc Compass Group plc Croda International plc Diageo plc Direct Line Insurance Group plc easyJet plc e Fiat DaimlerChrysler Automobiles NV GlaxoSmithKline plc HSBC Holdings plc Imperial Tobacco Group plc International Consolidated Airlines Group S.A. Legal & General Group plc National Grid plc Old Mutual plc Persimmon plc Prudential plc Reckitt Benckiser Group plc Rio Tinto plc Royal Mail plc Sage Group plc Segro plc Shire Ltd Sky plc Smiths Group plc Unilever NV Unilever plc e Vodafone Group plc (ADR) WPP plc TOTAL UNITED KINGDOM $ UNITED STATES - 0.3% 35,000 iShares MSCI EAFE Index Fund 18,772 *,e Mobileye NV 23,419 * Qiagen NV 1,642 *,e Taro Pharmaceutical Industries Ltd TOTAL UNITED STATES 11,804,532 23,929,196 9,420,085 891,827 1,507,210 1,585,482 2,306,116 4,783,010 5,598,100 614,544 22,704,886 7,906,257 15,701,584 464,196 457,707 12,551,604 7,426,752 6,490,867 12,881,609 7,376,431 1,347,610 4,626,051 5,632,709 2,316,596 1,128,217 8,739,330 1,393,456 4,759,734 4,561,487 5,868,621 4,864,545 237,830,574 2,030,700 899,367 614,769 229,814 3,774,650 TOTAL COMMON STOCKS (Cost $1,313,660,619) 1,385,229,776 RATE ISSUER PRINCIPAL SHORT-TERM INVESTMENTS - 2.7% GOVERNMENT AGENCY DEBT - 0.7% $ 9,500,000 Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT 0.150% 101 MATURITY DATE 08/01/08 9,500,000 9,500,000 TIAA-CREF FUNDS - Enhanced International Equity Index Fund COMPANY SHARES VALUE INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 2.0% 28,244,224 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $37,744,224) TOTAL INVESTMENTS - 102.4% (Cost $1,351,404,843) OTHER ASSETS & LIABILITIES, NET - (2.4)% NET ASSETS - 100.0% $ 28,244,224 28,244,224 37,744,224 1,422,974,000 $ (33,737,681) 1,389,236,319 Abbreviation(s): ADR American Depositary Receipt * c e g Non-income producing Investments made with cash collateral received from securities on loan. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $27,674,791. Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 7/31/16, the aggregate value of these securities was $34,676,886 or 2.5% of net assets. m Indicates a security that has been deemed illiquid. 102 TIAA-CREF FUNDS - Enhanced International Equity Index Fund TIAA-CREF FUNDS ENHANCED INTERNATIONAL EQUITY INDEX FUND SUMMARY OF MARKET VALUES BY SECTOR (unaudited) July 31, 2016 SECTOR FINANCIALS INDUSTRIALS CONSUMER STAPLES CONSUMER DISCRETIONARY HEALTH CARE MATERIALS INFORMATION TECHNOLOGY TELECOMMUNICATION SERVICES ENERGY UTILITIES SHORT - TERM INVESTMENTS OTHER ASSETS & LIABILITIES, NET $ NET ASSETS $ 103 VALUE 316,000,060 185,840,545 176,486,450 174,053,931 167,296,990 98,297,617 76,371,102 69,710,651 67,661,315 53,511,115 37,744,224 (33,737,681) 1,389,236,319 % OF NET ASSETS 22.7% 13.4 12.7 12.5 12.0 7.1 5.5 5.0 4.9 3.9 2.7 (2.4) 100.0% TIAA-CREF FUNDS - Global Natural Resources Fund TIAA-CREF FUNDS GLOBAL NATURAL RESOURCES FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.1% AUSTRALIA - 7.9% 387,490 170,000 2,179,608 1,236,380 190,000 3,204,998 BRAZIL - 1.7% 1,231,000 CANADA - 13.3% 361,000 104,233 223,170 51,660 219,791 336,772 83,200 181,793 116,148 178,500 27,500 1,060,100 67,700 CHILE - 1.6% 200,880 FAROE ISLANDS - 1.0% 81,637 FINLAND - 1.8% 266,939 GERMANY - 0.5% 70,000 BHP Billiton plc BlueScope Steel Ltd Fortescue Metals Group Ltd Northern Star Resources Ltd Oil Search Ltd * South32 Ltd TOTAL AUSTRALIA $ * Petroleo Brasileiro S.A. TOTAL BRAZIL 4,885,678 1,096,719 7,433,836 5,053,305 1,041,165 4,519,315 24,030,018 5,318,995 5,318,995 * Advantage Oil & Gas Ltd Agnico-Eagle Mines Ltd Barrick Gold Corp (Canada) Canadian Natural Resources Ltd (Canada) Cenovus Energy, Inc (Toronto) First Quantum Minerals Ltd e Peyto Exploration & Development Corp * Seven Generations Energy Ltd Silver Wheaton Corp Teck Cominco Ltd TransCanada Corp * Turquoise Hill Resources Ltd West Fraser Timber Co Ltd TOTAL CANADA 2,283,813 6,065,656 4,873,111 1,564,460 3,146,244 2,912,079 2,364,125 3,815,056 3,242,519 2,845,008 1,275,112 3,775,487 2,326,061 40,488,731 Sociedad Quimica y Minera de Chile S.A. (ADR) TOTAL CHILE 4,977,806 4,977,806 Bakkafrost P TOTAL FAROE ISLANDS 3,180,622 3,180,622 UPM-Kymmene Oyj TOTAL FINLAND 5,504,947 5,504,947 ThyssenKrupp AG. TOTAL GERMANY 1,605,277 1,605,277 104 TIAA-CREF FUNDS - Global Natural Resources Fund SHARES HONG KONG - 0.4% 1,330,000 INDIA - 0.6% 205,700 INDONESIA - 0.7% 2,770,000 ITALY - 0.8% 156,712 JAPAN - 0.8% 65,909 JERSEY, C.I. - 0.7% 19,064 LUXEMBOURG - 1.5% 721,600 MEXICO - 0.6% 68,800 NETHERLANDS - 1.4% 160,830 NORWAY - 2.9% 360,806 131,247 PORTUGAL - 1.7% 375,481 RUSSIA - 1.7% 28,320 139,300 19,356 COMPANY VALUE Nine Dragons Paper Holdings Ltd TOTAL HONG KONG $ 1,060,319 1,060,319 United Phosphorus Ltd TOTAL INDIA 1,925,110 1,925,110 PT Tambang Batubara Bukit Asam Tbk TOTAL INDONESIA 2,093,519 2,093,519 ENI S.p.A. TOTAL ITALY 2,403,966 2,403,966 Maruichi Steel Tube Ltd TOTAL JAPAN 2,434,978 2,434,978 Randgold Resources Ltd TOTAL JERSEY, C.I. 2,243,414 2,243,414 * ArcelorMittal TOTAL LUXEMBOURG 4,674,437 4,674,437 Fresnillo plc TOTAL MEXICO 1,760,584 1,760,584 Royal Dutch Shell plc (A Shares) TOTAL NETHERLANDS 4,152,663 4,152,663 * Det Norske Oljeselskap ASA Salmar ASA TOTAL NORWAY 4,611,300 4,092,924 8,704,224 Galp Energia SGPS S.A. TOTAL PORTUGAL 5,143,335 5,143,335 LUKOIL PJSC (ADR) MMC Norilsk Nickel PJSC (ADR) NovaTek OAO (GDR) TOTAL RUSSIA 1,218,957 2,039,344 1,945,614 5,203,915 105 TIAA-CREF FUNDS - Global Natural Resources Fund COMPANY SHARES SOUTH AFRICA - 3.8% 53,000 185,013 217,458 280,000 VALUE * Anglo American Platinum Ltd * AngloGold Ashanti Ltd Mondi plc * Sappi Ltd TOTAL SOUTH AFRICA SWEDEN - 1.8% 74,000 196,197 SWITZERLAND - 6.2% 2,113,797 34,417 THAILAND - 1.1% 340,800 TURKEY - 0.5% 925,000 UNITED KINGDOM - 3.4% 677,753 94,059 UNITED STATES - 40.7% 34,710 218,046 410,394 * 82,276 28,986 44,364 * 104,045 *,e 34,400 33,494 48,928 122,312 90,377 61,000 * 28,400 201,502 98,216 * 5,029 218,245 37,899 199,023 * 9,669 $ Billerud AB Boliden AB TOTAL SWEDEN 1,685,089 4,040,137 4,400,741 1,424,483 11,550,450 1,286,241 4,318,315 5,604,556 Glencore Xstrata plc Syngenta AG. TOTAL SWITZERLAND 5,217,102 13,535,697 18,752,799 PTT PCL (Foreign) TOTAL THAILAND 3,260,765 3,260,765 Eregli Demir ve Celik Fabrikalari TAS TOTAL TURKEY 1,407,897 1,407,897 Anglo American plc (London) Rio Tinto plc TOTAL UNITED KINGDOM 7,422,856 3,052,422 10,475,278 Apache Corp Archer Daniels Midland Co Callon Petroleum Co CF Industries Holdings, Inc Cimarex Energy Co Concho Resources, Inc Continental Resources, Inc Energen Corp EOG Resources, Inc EQT Corp Exxon Mobil Corp FMC Corp Gulfport Energy Corp Ingredion, Inc Monsanto Co Newfield Exploration Co NewMarket Corp Newmont Mining Corp Occidental Petroleum Corp Parsley Energy, Inc Pioneer Natural Resources Co 1,822,275 9,829,514 4,674,388 2,030,572 3,478,900 5,510,009 4,583,182 1,629,872 2,736,460 3,564,894 10,879,652 4,296,523 1,774,490 3,784,016 21,514,368 4,252,753 2,152,110 9,602,780 2,832,192 5,674,146 1,571,889 106 TIAA-CREF FUNDS - Global Natural Resources Fund SHARES 173,219 15,957 33,751 399,915 COMPANY VALUE * RSP Permian, Inc e Texas Pacific Land Trust Toro Co * WPX Energy, Inc TOTAL UNITED STATES $ TOTAL COMMON STOCKS (Cost $254,809,101) 6,227,223 2,553,120 3,103,404 3,995,151 124,073,883 302,032,488 SHORT-TERM INVESTMENTS - 1.5% INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 1.5% 4,680,957 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $4,680,957) TOTAL INVESTMENTS - 100.6% (Cost $259,490,058) OTHER ASSETS & LIABILITIES, NET - (0.6)% NET ASSETS - 100.0% 4,680,957 4,680,957 4,680,957 306,713,445 $ Abbreviation(s): ADR American Depositary Receipt GDR Global Depositary Receipt * Non-income producing c Investments made with cash collateral received from securities on loan. e All or a portion of these securities are out on loan. The aggregate value of securities on loan is $4,665,097. 107 (1,927,184) 304,786,261 TIAA-CREF FUNDS - Global Natural Resources Fund TIAA-CREF FUNDS GLOBAL NATURAL RESOURCES FUND SUMMARY OF MARKET VALUES BY SECTOR (unaudited) July 31, 2016 SECTOR MATERIALS ENERGY CONSUMER STAPLES INDUSTRIALS FINANCIALS SHORT - TERM INVESTMENTS OTHER ASSETS & LIABILITIES, NET $ NET ASSETS $ 108 VALUE 164,642,323 110,846,565 20,887,076 3,103,404 2,553,120 4,680,957 (1,927,184) 304,786,261 % OF NET ASSETS 54.0% 36.4 6.9 1.0 0.8 1.5 (0.6) 100.0% TIAA-CREF FUNDS - International Equity Fund TIAA-CREF FUNDS INTERNATIONAL EQUITY FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.2% AUSTRALIA - 1.2% 3,577,266 DENMARK - 1.4% 473,490 831,784 119,774 FRANCE - 27.0% 5,236,524 223,985 2,892,743 1,291,243 1,600,793 546,567 4,265,671 2,146,205 1,882,644 GERMANY - 12.8% 1,777,731 179,727 547,817 553,404 1,247,470 4,068,185 HONG KONG - 0.5% 1,485,671 INDIA - 11.2% 6,861,998 259,335 590,290 6,525,920 6,147,362 3,594,486 BHP Billiton Ltd TOTAL AUSTRALIA $ DSV AS * H Lundbeck AS Novo Nordisk AS TOTAL DENMARK 53,022,875 53,022,875 21,083,797 33,811,672 6,811,102 61,706,571 Accor S.A. BNP Paribas Compagnie de Saint-Gobain Essilor International S.A. Groupe Danone Renault S.A. Schneider Electric S.A. Societe Generale Vinci S.A. TOTAL FRANCE 219,222,782 11,110,616 122,803,353 165,392,017 122,770,706 47,788,598 278,305,930 73,172,112 143,090,712 1,183,656,826 Adidas-Salomon AG. Continental AG. * Deutsche Boerse AG. Henkel KGaA (Preference) Lanxess AG. Schaeffler AG. TOTAL GERMANY 292,031,102 37,691,866 45,811,983 68,957,338 58,942,336 59,371,471 562,806,096 Melco Crown Entertainment Ltd (ADR) TOTAL HONG KONG 20,739,967 20,739,967 Asian Paints Ltd Eicher Motors Ltd Emami Ltd HDFC Bank Ltd IndusInd Bank Ltd * SKS Microfinance Pvt Ltd TOTAL INDIA 114,320,245 87,159,873 10,067,002 121,465,870 108,220,431 48,812,922 490,046,343 109 TIAA-CREF FUNDS - International Equity Fund COMPANY SHARES ITALY - 4.9% 29,573,643 8,548,863 3,944,546 49,069,898 Banca Intesa S.p.A. Mediobanca S.p.A. Moncler S.p.A * Saipem S.p.A. TOTAL ITALY JAPAN - 16.2% 3,184,215 29,872,758 2,006,500 993,200 724,190 818,876 4,000 3,047,074 1,089,224 5,069,252 NETHERLANDS - 3.6% 50,606 1,620,215 2,292 VALUE $ Ajinomoto Co, Inc Ishikawajima-Harima Heavy Industries Co Ltd J Front Retailing Co Ltd Kao Corp Konami Corp Murata Manufacturing Co Ltd Nintendo Co Ltd Olympus Corp Oriental Land Co Ltd Sony Corp TOTAL JAPAN 81,283,228 83,120,613 23,153,555 53,486,987 28,078,040 99,986,104 830,270 105,147,874 68,887,450 166,407,744 710,381,865 ASML Holding NV e Heineken NV Royal Dutch Shell plc (A Shares) TOTAL NETHERLANDS NORWAY - 1.6% 4,479,565 SWEDEN - 2.5% 4,014,613 SWITZERLAND - 3.6% 105,768 90,421 459,948 291,868 TAIWAN - 1.1% 40,278,137 UNITED KINGDOM - 11.6% 4,161,782 102,565 13,358,789 70,867,946 * 5,807,715 65,258,913 59,935,027 69,225,761 21,499,920 215,919,621 5,556,570 152,908,520 59,180 158,524,270 Statoil ASA TOTAL NORWAY 71,213,674 71,213,674 Electrolux AB (Series B) TOTAL SWEDEN 108,764,850 108,764,850 Burckhardt Compression Holding AG. Geberit AG. Swatch Group AG. (Registered) Zurich Financial Services AG. TOTAL SWITZERLAND 31,679,717 34,871,580 23,479,812 70,075,446 160,106,555 Advanced Semiconductor Engineering, Inc TOTAL TAIWAN 47,547,948 47,547,948 BAE Systems plc Rio Tinto plc Sky plc Tesco plc Weir Group plc 29,384,588 3,328,461 162,688,460 146,117,018 112,528,564 110 TIAA-CREF FUNDS - International Equity Fund SHARES 2,396,928 COMPANY VALUE $ WPP plc TOTAL UNITED KINGDOM TOTAL COMMON STOCKS (Cost $4,195,792,569) 53,781,131 507,828,222 4,352,265,683 ISSUER PRINCIPAL SHORT-TERM INVESTMENTS - 2.6% GOVERNMENT AGENCY DEBT - 0.2% Federal Home Loan Bank (FHLB) $ 10,500,000 TOTAL GOVERNMENT AGENCY DEBT RATE 0.090% MATURITY DATE 08/01/16 10,500,000 10,500,000 COMPANY SHARES INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 2.4% 104,211,217 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $114,711,217) TOTAL INVESTMENTS - 101.8% (Cost $4,310,503,786) OTHER ASSETS & LIABILITIES, NET - (1.8)% NET ASSETS - 100.0% 104,211,217 104,211,217 114,711,217 4,466,976,900 $ Abbreviation(s): ADR American Depositary Receipt * Non-income producing c Investments made with cash collateral received from securities on loan. e All or a portion of these securities are out on loan. The aggregate value of securities on loan is $100,690,966. 111 (79,233,017) 4,387,743,883 TIAA-CREF FUNDS - International Equity Fund TIAA-CREF FUNDS INTERNATIONAL EQUITY FUND SUMMARY OF MARKET VALUES BY SECTOR (unaudited) July 31, 2016 SECTOR CONSUMER DISCRETIONARY INDUSTRIALS CONSUMER STAPLES FINANCIALS HEALTH CARE MATERIALS INFORMATION TECHNOLOGY ENERGY SHORT - TERM INVESTMENTS OTHER ASSETS & LIABILITIES, NET $ NET ASSETS $ 112 VALUE 1,353,234,549 944,028,727 635,590,799 603,863,320 311,162,665 229,613,917 181,998,932 92,772,774 114,711,217 (79,233,017) 4,387,743,883 % OF NET ASSETS 30.8% 21.5 14.5 13.8 7.1 5.2 4.2 2.1 2.6 (1.8) 100.0% TIAA-CREF FUNDS - International Opportunities Fund TIAA-CREF FUNDS INTERNATIONAL OPPORTUNITIES FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 98.0% AUSTRALIA - 2.2% 712,597 1,023,504 BRAZIL - 1.9% 1,463,398 605,900 CANADA - 8.1% 376,859 954,800 314,615 399,003 418,483 551,044 405,653 CHINA - 1.1% 14,247,400 8,024,600 3,585,200 DENMARK - 2.1% 494,822 FINLAND - 3.2% 353,413 2,647,800 265,368 FRANCE - 5.0% 79,519 186,395 407,842 266,348 Australia & New Zealand Banking Group Ltd BHP Billiton Ltd TOTAL AUSTRALIA $ Banco Itau Holding Financeira S.A. Cia Brasileira de Distribuicao Grupo Pao de Acucar TOTAL BRAZIL 14,019,960 15,170,559 29,190,519 15,250,499 9,169,601 24,420,100 Alimentation Couche Tard, Inc Cenovus Energy, Inc (Toronto) Dollarama, Inc Gildan Activewear, Inc *,g Spin Master Corp Suncor Energy, Inc Toronto-Dominion Bank TOTAL CANADA 17,038,247 13,667,684 23,262,691 11,707,429 8,589,855 14,830,687 17,675,180 106,771,773 *,e,m China Animal Healthcare Ltd China Everbright International Ltd Haitong Securities Co Ltd TOTAL CHINA 18,364 8,690,505 5,852,935 14,561,804 Novo Nordisk AS TOTAL DENMARK 28,138,687 28,138,687 Huhtamaki Oyj * Outokumpu Oyj Sampo Oyj (A Shares) TOTAL FINLAND 15,528,714 15,242,489 10,992,508 41,763,711 L’Oreal S.A. Teleperformance Total S.A. Valeo S.A. TOTAL FRANCE 15,108,959 17,342,821 19,614,682 13,663,955 65,730,417 113 TIAA-CREF FUNDS - International Opportunities Fund SHARES GERMANY - 2.0% 133,631 156,883 HONG KONG - 1.3% 2,826,400 INDIA - 1.0% 594,984 INDONESIA - 1.7% 11,946,800 132,785,100 IRELAND - 2.1% 583,368 433,372 ISLE OF MAN - 0.7% 1,768,500 ITALY - 3.4% 1,710,401 680,786 1,319,730 464,339 JAPAN - 15.7% 435,200 1,037,100 897,800 689,300 1,097,500 519,400 183,400 2,551,200 852,900 190,300 372,900 174,400 1,514,700 579,400 343,700 254,300 1,170,000 465,600 COMPANY VALUE Beiersdorf AG. Fresenius Medical Care AG. TOTAL GERMANY $ 12,554,616 14,329,289 26,883,905 AIA Group Ltd TOTAL HONG KONG 17,606,182 17,606,182 Container Corp Of India Ltd TOTAL INDIA 13,331,092 13,331,092 Bank Rakyat Indonesia PT Lippo Karawaci Tbk TOTAL INDONESIA 10,552,363 11,518,223 22,070,586 CRH plc Smurfit Kappa Group plc TOTAL IRELAND 17,801,585 10,176,910 27,978,495 * Optimal Payments plc TOTAL ISLE OF MAN 9,024,490 9,024,490 Mediobanca S.p.A. Moncler S.p.A g OVS S.p.A * Yoox S.p.A TOTAL ITALY 11,991,411 11,947,618 7,762,938 13,015,125 44,717,092 e COOKPAD, Inc e Infomart Corp e Istyle, Inc Kubota Corp Matsui Securities Co Ltd e MonotaRO Co Ltd Nitto Denko Corp Nomura Holdings, Inc ORIX Corp Outsourcing, Inc Park24 Co Ltd e Seria Co Ltd Shimizu Corp SMS Co Ltd Sumitomo Mitsui Financial Group, Inc Sysmex Corp Takara Leben Co Ltd e W-Scope Corp TOTAL JAPAN 6,100,008 11,203,875 8,031,937 9,985,985 9,615,135 15,100,061 12,291,618 11,483,350 11,969,229 7,140,330 12,629,466 14,212,009 15,438,575 13,682,862 10,895,056 17,615,805 9,146,050 10,562,230 207,103,581 114 TIAA-CREF FUNDS - International Opportunities Fund COMPANY SHARES VALUE KOREA, REPUBLIC OF - 3.6% 82,123 Cosmax, Inc 82,122 Hanssem Co Ltd 511,900 Hynix Semiconductor, Inc 124,101 * Loen Entertainment, Inc TOTAL KOREA, REPUBLIC OF MALAYSIA - 1.9% 8,560,900 18,138,000 $ IHH Healthcare BHD Karex BHD TOTAL MALAYSIA 13,754,646 10,654,650 24,409,296 NETHERLANDS - 3.0% 146,473 ASML Holding NV 1,267,835 ING Groep NV 1,071,586 *,e TomTom NV TOTAL NETHERLANDS NORWAY - 3.2% 1,188,895 1,015,441 980,000 PORTUGAL - 1.0% 772,464 SPAIN - 1.5% 288,698 142,139 202,481 16,082,826 14,174,401 9,151,111 39,408,338 * Det Norske Oljeselskap ASA DNB NOR Holding ASA Statoil ASA TOTAL NORWAY PHILIPPINES - 3.1% 5,221,380 121,249,800 8,299,480 15,194,735 11,213,694 15,579,504 41,987,933 Banco de Oro Universal Bank Megaworld Corp Robinsons Retail Holdings, Inc TOTAL PHILIPPINES 12,556,096 12,960,922 15,186,885 40,703,903 Jeronimo Martins SGPS S.A. TOTAL PORTUGAL 12,937,938 12,937,938 e Amadeus IT Holding S.A. *,e,m Let’s GOWEX S.A. e Tecnicas Reunidas S.A. TOTAL SPAIN SWEDEN - 3.6% 608,212 368,686 378,184 303,771 SWITZERLAND - 4.5% 81,224 244,167 10,639,672 12,621,253 15,763,486 8,984,284 48,008,695 13,554,576 1,589 6,279,232 19,835,397 Boliden AB Hexagon AB (B Shares) Intrum Justitia AB Investment AB Kinnevik (B Shares) TOTAL SWEDEN 13,386,805 14,543,103 12,141,682 7,747,206 47,818,796 Lonza Group AG. Novartis AG. 15,296,129 20,251,977 115 TIAA-CREF FUNDS - International Opportunities Fund COMPANY SHARES 876,082 568,343 VALUE UBS AG. *,g Wizz Air Holdings plc TOTAL SWITZERLAND TAIWAN - 5.0% 626,861 1,596,000 3,728,607 2,952,000 2,558,200 3,529,000 1,113,700 $ Eclat Textile Co Ltd * Global PMX Co Ltd Hota Industrial Manufacturing Co Ltd Hu Lane Associate, Inc Powertech Technology, Inc Taiwan Paiho Ltd * VHQ Media Holdings Ltd TOTAL TAIWAN UNITED KINGDOM - 13.7% 1,728,584 270,047 * 243,254 2,156,605 g 2,293,970 12,442,613 * 1,253,074 244,128 1,190,397 1,894,966 * 3,246,029 *,e 228,603 4,793,634 393,665 1,759,451 421,842 7,026,584 5,852,492 16,985,439 13,220,831 6,510,806 10,849,437 4,793,342 65,238,931 Ashtead Group plc ASOS plc Associated British Foods plc Auto Trader Group plc Beazley plc boohoo.com plc Cineworld Group plc Consort Medical plc Fevertree Drinks plc Just Eat plc Purplebricks Group plc Rightmove plc Taylor Wimpey plc Travis Perkins plc Vesuvius plc WPP plc TOTAL UNITED KINGDOM 27,358,823 16,122,448 8,659,132 10,584,056 12,016,182 10,991,838 9,735,931 3,340,659 14,302,856 13,451,502 5,928,420 12,255,555 9,809,173 8,122,911 8,554,777 9,465,090 180,699,353 UNITED STATES - 2.4% 344,910 * Imax Corp 271,165 *,e Lululemon Athletica, Inc TOTAL UNITED STATES 10,895,707 21,055,962 31,951,669 TOTAL COMMON STOCKS (Cost $1,219,131,849) 1,291,535,750 ISSUER PRINCIPAL SHORT-TERM INVESTMENTS - 7.9% GOVERNMENT AGENCY DEBT - 1.4% $ 6,500,000 Federal Home Loan Bank (FHLB) 11,750,000 Federal Home Loan Mortgage Corp (FHLMC) TOTAL GOVERNMENT AGENCY DEBT TREASURY DEBT - 1.0% 12,375,000 12,043,597 11,651,364 59,243,067 RATE United States Treasury Bill TOTAL TREASURY DEBT 116 MATURITY DATE 0.150% 0.148 08/01/16 08/02/16 6,500,000 11,749,917 18,249,917 0.265 08/04/16 12,374,864 12,374,864 TIAA-CREF FUNDS - International Opportunities Fund COMPANY SHARES VALUE INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 5.5% 72,918,041 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $103,542,719) TOTAL INVESTMENTS - 105.9% (Cost $1,322,674,568) OTHER ASSETS & LIABILITIES, NET - (5.9)% NET ASSETS - 100.0% $ 72,918,041 72,918,041 103,542,822 1,395,078,572 $ * c e g (77,256,367) 1,317,822,205 Non-income producing Investments made with cash collateral received from securities on loan. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $70,100,716. Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 7/31/16, the aggregate value of these securities was $38,588,213 or 2.9% of net assets. m Indicates a security that has been deemed illiquid. 117 TIAA-CREF FUNDS - International Opportunities Fund TIAA-CREF FUNDS INTERNATIONAL OPPORTUNITIES FUND SUMMARY OF MARKET VALUES BY SECTOR (unaudited) July 31, 2016 SECTOR CONSUMER DISCRETIONARY FINANCIALS INDUSTRIALS INFORMATION TECHNOLOGY CONSUMER STAPLES HEALTH CARE MATERIALS ENERGY TELECOMMUNICATION SERVICES SHORT - TERM INVESTMENTS OTHER ASSETS & LIABILITIES, NET $ NET ASSETS $ 118 VALUE 281,722,542 257,208,599 167,488,392 150,789,082 126,252,556 112,745,556 110,160,910 85,166,524 1,589 103,542,822 (77,256,367) 1,317,822,205 % OF NET ASSETS 21.4% 19.5 12.7 11.4 9.6 8.5 8.4 6.5 0.0 7.9 (5.9) 100.0% TIAA-CREF FUNDS - Social Choice International Equity Fund TIAA-CREF FUNDS SOCIAL CHOICE INTERNATIONAL EQUITY FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.4% AUSTRALIA - 7.6% 314 1,228 5,913 3,469 691 8,624 8,897 2,337 4,830 4,189 1,343 10,833 1,935 1,393 1,408 625 22,620 7,832 4,635 1,248 58,501 16,646 980 3,298 3,456 8,538 3,934 AUSTRIA - 0.2% 1,545 BELGIUM - 0.5% 1,658 437 DENMARK - 2.0% 972 162 4,657 460 AGL Energy Ltd Amcor Ltd AMP Ltd APA Group m Asciano Group Australia & New Zealand Banking Group Ltd Brambles Ltd Caltex Australia Ltd Coca-Cola Amatil Ltd Commonwealth Bank of Australia GPT Group (ASE) Healthscope Ltd Insurance Australia Group Ltd Lend Lease Corp Ltd Macquarie Goodman Group Macquarie Group Ltd Mirvac Group National Australia Bank Ltd * Newcrest Mining Ltd Ramsay Health Care Ltd * South32 Ltd Stockland Trust Group Sydney Airport Transurban Group (ASE) Wesfarmers Ltd Westpac Banking Corp Woodside Petroleum Ltd TOTAL AUSTRALIA $ 4,916 14,034 26,161 25,654 4,805 169,672 91,014 59,100 33,788 246,592 5,728 24,398 8,900 14,218 8,075 35,386 37,841 158,333 90,274 74,762 82,491 63,882 5,644 31,511 113,033 202,029 80,361 1,712,602 OMV AG. TOTAL AUSTRIA 41,268 41,268 * KBC Groep NV Umicore TOTAL BELGIUM 86,185 25,285 111,470 Coloplast AS * Genmab AS Novo Nordisk AS Novozymes AS 76,171 29,372 264,826 22,576 119 TIAA-CREF FUNDS - Social Choice International Equity Fund COMPANY SHARES 166 499 FINLAND - 0.7% 676 1,409 710 1,487 FRANCE - 9.4% 1,833 1,364 532 6,395 1,841 1,171 550 2,649 573 522 1,801 2,422 503 948 295 70 2,128 234 154 530 241 1,080 790 9,846 342 2,585 2,131 3,578 904 470 2,852 302 GERMANY - 8.7% 809 1,394 58 2,660 1,555 572 VALUE Pandora AS Vestas Wind Systems AS TOTAL DENMARK $ Metso Oyj Neste Oil Oyj Orion Oyj (Class B) Wartsila Oyj (B Shares) TOTAL FINLAND 21,622 34,886 449,453 18,758 53,471 29,087 64,552 165,868 Accor S.A. Air Liquide Atos Origin S.A. AXA S.A. Bouygues S.A. Bureau Veritas S.A. Cap Gemini S.A. Carrefour S.A. Casino Guichard Perrachon S.A. Christian Dior S.A. CNP Assurances Compagnie de Saint-Gobain Eiffage S.A. Essilor International S.A. Eurazeo Gecina S.A. Groupe Danone Icade JC Decaux S.A. Kering Lagardere S.C.A. Legrand S.A. L’Oreal S.A. Natixis Renault S.A. Rexel S.A. Schneider Electric S.A. Suez Environnement S.A. Technip S.A. Unibail-Rodamco Vivendi Universal S.A. Wendel TOTAL FRANCE 76,737 145,418 52,150 130,153 54,536 25,449 52,868 66,365 31,056 94,411 27,516 102,819 38,673 121,427 18,861 10,609 163,204 18,053 5,264 100,726 6,157 59,592 150,104 40,600 29,902 38,444 139,033 58,069 50,685 129,496 56,001 32,256 2,126,634 Adidas-Salomon AG. Allianz AG. Axel Springer AG. BASF SE Bayerische Motoren Werke AG. Bayerische Motoren Werke AG. (Preference) 132,896 199,739 3,179 208,947 133,985 41,458 120 TIAA-CREF FUNDS - Social Choice International Equity Fund SHARES 78 1,109 1,086 4,466 370 661 1,029 550 570 958 1,508 781 152 1,115 2,733 6,715 4,719 HONG KONG - 3.2% 16,000 10,000 5,200 54,900 4,961 6,000 50,000 12,857 5,500 9,800 6,500 IRELAND - 0.5% 1,064 961 ISRAEL - 0.3% 11,698 ITALY - 1.5% 6,787 51,282 9,784 1,163 9,488 3,357 COMPANY VALUE Beiersdorf AG. Brenntag AG. * Deutsche Boerse AG. Deutsche Post AG. Fraport AG. Frankfurt Airport Services Worldwide GEA Group AG. HeidelbergCement AG. Henkel KGaA Henkel KGaA (Preference) Merck KGaA Metro AG. Muenchener Rueckver AG. Osram Licht AG. ProSiebenSat. Media AG. SAP AG. Telefonica Deutschland Holding AG. TUI AG. (DI) TOTAL GERMANY $ 7,328 55,091 90,818 133,284 20,236 35,293 87,167 59,704 71,025 105,798 48,517 130,248 7,908 51,075 239,201 27,418 61,436 1,951,751 BOC Hong Kong Holdings Ltd CLP Holdings Ltd Hang Seng Bank Ltd Hong Kong & China Gas Ltd Hong Kong Exchanges and Clearing Ltd Hysan Development Co Ltd Li & Fung Ltd MTR Corp Swire Pacific Ltd (Class A) Swire Properties Ltd Yue Yuen Industrial Holdings TOTAL HONG KONG 52,680 104,219 93,089 102,082 122,825 27,669 25,051 72,816 65,911 27,346 26,413 720,101 CRH plc Kerry Group plc (Class A) TOTAL IRELAND 32,468 82,228 114,696 Bank Hapoalim Ltd TOTAL ISRAEL 59,632 59,632 Assicurazioni Generali S.p.A. Banca Intesa S.p.A. Banca Intesa S.p.A. RSP Exor S.p.A. Snam Rete Gas S.p.A. Terna Rete Elettrica Nazionale S.p.A. TOTAL ITALY 89,408 113,162 20,438 45,381 54,922 18,287 341,598 121 TIAA-CREF FUNDS - Social Choice International Equity Fund SHARES JAPAN - 23.2% 1,200 700 800 900 3,000 1,200 400 1,000 3,000 400 8,500 700 1,200 600 1,600 2,900 500 1,400 600 100 3,000 100 8,000 1,800 200 400 2,300 5,800 6,700 200 800 12,000 5,400 200 1,000 32,000 4,400 1,600 4,600 200 1,800 2,000 11,900 4,800 6,700 9,000 12,000 3,500 2,000 4,000 5,000 21,000 92,700 COMPANY VALUE Aeon Co Ltd AEON Financial Service Co Ltd Aeon Mall Co Ltd Aisin Seiki Co Ltd Ajinomoto Co, Inc Alfresa Holdings Corp Amada Co Ltd Asahi Glass Co Ltd Asahi Kasei Corp Asics Corp Astellas Pharma, Inc Central Japan Railway Co Chugai Pharmaceutical Co Ltd Daikin Industries Ltd Daiwa House Industry Co Ltd Denso Corp Dentsu, Inc East Japan Railway Co Eisai Co Ltd Fast Retailing Co Ltd Fuji Heavy Industries Ltd Fujifilm Holdings Corp Fujitsu Ltd Hino Motors Ltd Hitachi Chemical Co Ltd Hitachi Construction Machinery Co Ltd Hitachi Metals Ltd Honda Motor Co Ltd Inpex Holdings, Inc Kansai Paint Co Ltd Kao Corp Kawasaki Heavy Industries Ltd KDDI Corp Keyence Corp Kikkoman Corp Kobe Steel Ltd Komatsu Ltd Konica Minolta Holdings, Inc Kubota Corp Kuraray Co Ltd Kyocera Corp Kyowa Hakko Kogyo Co Ltd Matsushita Electric Industrial Co Ltd Mazda Motor Corp Mitsubishi Corp Mitsubishi Electric Corp Mitsubishi Materials Corp Mitsubishi UFJ Lease & Finance Co Ltd Mitsui Chemicals, Inc Mitsui Fudosan Co Ltd Mitsui OSK Lines Ltd Mitsui Trust Holdings, Inc Mizuho Financial Group, Inc $ 122 17,243 16,119 10,748 41,127 76,581 26,308 4,359 5,745 22,676 7,340 141,625 130,111 44,846 52,034 44,865 112,287 23,887 128,421 35,083 32,271 114,614 3,588 33,212 18,798 4,172 6,505 25,571 157,109 53,264 4,188 43,083 35,303 165,710 141,075 35,507 27,692 85,500 12,859 66,641 2,522 85,276 34,943 114,438 70,200 115,271 104,926 31,535 14,083 8,460 86,583 10,649 69,788 148,721 TIAA-CREF FUNDS - Social Choice International Equity Fund SHARES 700 10,000 200 400 2,500 8,000 12,600 500 500 700 400 2,500 4,100 1,300 500 1,000 8,000 1,900 200 200 1,400 1,600 1,900 300 2,100 1,600 4,600 300 14,000 9,200 1,100 2,900 2,000 5,000 4,700 1,200 1,200 500 900 1,000 3,100 200 700 13,000 1,000 3,000 100 600 1,700 1,500 800 100 1,700 COMPANY VALUE Murata Manufacturing Co Ltd NEC Corp NGK Spark Plug Co Ltd Nikon Corp Nippon Telegraph & Telephone Corp Nippon Yusen Kabushiki Kaisha Nissan Motor Co Ltd Nissin Food Products Co Ltd Nitto Denko Corp NKSJ Holdings, Inc Nomura Real Estate Holdings, Inc NSK Ltd NTT DoCoMo, Inc Omron Corp Oriental Land Co Ltd Osaka Gas Co Ltd Resona Holdings, Inc Santen Pharmaceutical Co Ltd Secom Co Ltd Sekisui Chemical Co Ltd Sekisui House Ltd Seven & I Holdings Co Ltd Shin-Etsu Chemical Co Ltd Shionogi & Co Ltd Shoei Co Ltd Showa Shell Sekiyu KK Sony Corp Stanley Electric Co Ltd Sumitomo Chemical Co Ltd Sumitomo Corp e Sumitomo Dainippon Pharma Co Ltd Sumitomo Electric Industries Ltd Sumitomo Heavy Industries Ltd Sumitomo Metal Mining Co Ltd Sumitomo Mitsui Financial Group, Inc Sumitomo Rubber Industries, Inc Suntory Beverage & Food Ltd Suzuken Co Ltd Sysmex Corp T&D Holdings, Inc Takeda Pharmaceutical Co Ltd TDK Corp Tokyo Electron Ltd Tokyo Gas Co Ltd Tokyu Corp Toray Industries, Inc * Toto Ltd Toyo Suisan Kaisha Ltd Toyota Industries Corp Toyota Tsusho Corp Yakult Honsha Co Ltd Yamaha Corp Yamaha Motor Co Ltd $ 123 85,471 27,309 3,264 5,652 118,799 14,158 122,075 28,385 33,510 22,610 6,899 21,029 111,374 43,111 31,623 4,036 31,910 31,595 15,066 2,909 23,326 66,437 129,654 15,560 21,783 14,350 151,004 7,273 61,964 96,500 20,561 39,953 9,489 60,099 148,987 16,938 52,174 15,947 62,345 10,198 138,130 12,271 60,140 55,340 8,218 27,330 4,285 26,648 76,305 33,117 38,206 2,759 28,622 TIAA-CREF FUNDS - Social Choice International Equity Fund SHARES 1,400 200 LUXEMBOURG - 0.3% 697 3,323 NETHERLANDS - 3.0% 11,159 1,446 1,075 490 180 12,691 2,994 3,851 635 6,358 400 NEW ZEALAND - 0.3% 4,092 3,166 6,643 2,639 NORWAY - 1.2% 2,275 14,778 4,583 6,375 2,321 PORTUGAL - 0.4% 12,022 4,059 29 SINGAPORE - 1.8% 5,260 22,200 4,100 3,300 9,180 800 13,100 COMPANY VALUE Yaskawa Electric Corp Yokogawa Electric Corp TOTAL JAPAN $ SES Global S.A. Tenaris S.A. TOTAL LUXEMBOURG 19,080 2,586 5,223,826 15,273 44,554 59,827 Aegon NV Akzo Nobel NV ASML Holding NV DSM NV Gemalto NV ING Groep NV Koninklijke Ahold Delhaize NV Koninklijke Philips Electronics NV Koninklijke Vopak NV Royal KPN NV Wolters Kluwer NV TOTAL NETHERLANDS 45,182 93,474 118,036 31,362 11,862 141,885 71,485 102,424 32,647 20,912 16,829 686,098 Auckland International Airport Ltd Fletcher Building Ltd * Meridian Energy Ltd Ryman Healthcare Ltd TOTAL NEW ZEALAND 21,821 22,162 13,435 18,184 75,602 DNB NOR Holding ASA Norsk Hydro ASA Orkla ASA Statoil ASA Telenor ASA TOTAL NORWAY 25,123 63,365 42,634 101,346 38,857 271,325 Energias de Portugal S.A. Galp Energia SGPS S.A. Jeronimo Martins SGPS S.A. TOTAL PORTUGAL 41,238 55,600 486 97,324 Ascendas REIT CapitaLand Ltd CapitaMall Trust City Developments Ltd DBS Group Holdings Ltd Jardine Cycle & Carriage Ltd Keppel Corp Ltd 9,639 52,710 6,570 21,001 106,129 23,504 51,837 124 TIAA-CREF FUNDS - Social Choice International Equity Fund SHARES 900 37,800 SOUTH AFRICA - 0.5% 3,645 6,478 1,008 SPAIN - 3.0% 1,436 22,761 14,427 22,348 821 21,548 102 3,860 8,068 SWEDEN - 3.6% 221 2,497 2,722 2,746 2,967 519 8,366 1,936 1,155 12,442 2,665 5,042 1,070 758 2,102 14,416 4,886 SWITZERLAND - 9.4% 6,768 632 119 915 1,897 51 2,472 332 11 460 COMPANY VALUE Singapore Airlines Ltd Singapore Telecommunications Ltd TOTAL SINGAPORE $ Al Noor Hospitals Group plc Investec plc Mondi plc TOTAL SOUTH AFRICA 7,377 118,536 397,303 51,750 38,559 20,399 110,708 Amadeus IT Holding S.A. Banco Bilbao Vizcaya Argentaria S.A. Banco de Sabadell S.A. CaixaBank S.A. Ferrovial S.A. Iberdrola S.A. *,m Iberdrola S.A. Industria De Diseno Textil S.A. Repsol YPF S.A. TOTAL SPAIN 67,421 132,878 19,729 56,115 16,993 148,055 703 133,493 102,194 677,581 Alfa Laval AB Assa Abloy AB Atlas Copco AB (A Shares) Atlas Copco AB (B Shares) Boliden AB Electrolux AB (Series B) Ericsson (LM) (B Shares) Hennes & Mauritz AB (B Shares) Industrivarden AB Nordea Bank AB Sandvik AB Skandinaviska Enskilda Banken AB (Class A) SKF AB (B Shares) Svenska Cellulosa AB (B Shares) Swedbank AB (A Shares) TeliaSonera AB Volvo AB (B Shares) TOTAL SWEDEN 3,483 54,779 76,411 70,217 65,304 14,061 62,388 58,463 19,433 110,854 28,555 44,209 16,952 22,534 44,131 65,783 52,064 809,621 ABB Ltd Actelion Ltd Adecco S.A. Aryzta AG. Coca-Cola HBC AG. Givaudan S.A. Holcim Ltd Kuehne & Nagel International AG. Lindt & Spruengli AG. Lonza Group AG. 143,767 111,947 6,532 34,376 39,219 104,741 117,546 46,568 64,680 86,627 125 TIAA-CREF FUNDS - Social Choice International Equity Fund SHARES 5,093 1,592 39 1,378 187 1,688 570 UNITED KINGDOM - 17.9% 8,360 9,679 2,817 22,779 5,091 199 8,809 30,654 951 3,074 4,635 8,524 107 * 354 129 1,361 12,461 5,537 1,937 620 10,343 9,647 3,792 e 1,996 9,245 5,380 30,998 2,198 5,774 5,618 12,013 555 34,054 5,871 2,343 9,030 1,847 899 4,446 2,751 1,423 5,466 e 1,696 COMPANY VALUE Novartis AG. Roche Holding AG. SGS S.A. Swiss Re Ltd Swisscom AG. Wolseley plc Zurich Financial Services AG. TOTAL SWITZERLAND $ 3i Group plc Aberdeen Asset Management plc Associated British Foods plc Aviva plc Barratt Developments plc Berkeley Group Holdings plc British Land Co plc BT Group plc Bunzl plc Burberry Group plc Capita Group plc CNH Industrial NV Coca-Cola European Partners plc Croda International plc DCC plc easyJet plc GlaxoSmithKline plc Hammerson plc InterContinental Hotels Group plc Intertek Group plc Intu Properties plc ITV plc J Sainsbury plc Johnson Matthey plc Kingfisher plc Land Securities Group plc Legal & General Group plc London Stock Exchange Group plc Marks & Spencer Group plc Meggitt plc National Grid plc Next plc Old Mutual plc Pearson plc Petrofac Ltd Prudential plc Reckitt Benckiser Group plc Reed Elsevier NV Reed Elsevier plc RSA Insurance Group plc Schroders plc Scottish & Southern Energy plc Segro plc 422,429 406,387 86,278 115,513 91,995 94,120 136,853 2,109,578 68,283 40,767 100,277 117,301 29,479 7,059 78,179 167,476 29,755 53,636 58,853 60,873 4,037 15,567 11,512 18,721 278,292 40,873 77,442 29,745 41,013 25,014 11,253 86,501 41,054 77,883 84,326 80,881 24,412 32,539 172,252 36,899 94,765 68,593 23,167 159,185 179,085 16,199 84,424 18,090 49,319 109,719 9,938 126 TIAA-CREF FUNDS - Social Choice International Equity Fund SHARES 15,374 12,757 5,125 8,914 43,098 872 3,303 4,013 6,816 7,213 1,813 6,886 5,362 UNITED STATES - 0.2% 1,997 COMPANY VALUE Standard Chartered plc Standard Life plc Tate & Lyle plc Taylor Wimpey plc * Tesco plc Travis Perkins plc Unilever NV Unilever plc United Utilities Group plc e Vodafone Group plc (ADR) Whitbread plc WM Morrison Supermarkets plc WPP plc TOTAL UNITED KINGDOM $ * Qiagen NV TOTAL UNITED STATES 122,932 51,073 49,045 18,241 88,860 17,993 153,091 187,740 91,696 222,882 92,580 16,922 120,310 4,048,003 52,423 52,423 TOTAL COMMON STOCKS (Cost $23,760,076) 22,414,292 TOTAL INVESTMENTS - 99.4% (Cost $23,760,076) OTHER ASSETS & LIABILITIES, NET - 0.6% NET ASSETS - 100.0% 22,414,292 $ Abbreviation(s): ADR American Depositary Receipt REIT Real Estate Investment Trust * Non-income producing e All or a portion of these securities are out on loan. The aggregate value of securities on loan is $354,413. m Indicates a security that has been deemed illiquid. 127 143,751 22,558,043 TIAA-CREF FUNDS - Social Choice International Equity Fund TIAA-CREF FUNDS SOCIAL CHOICE INTERNATIONAL EQUITY FUND SUMMARY OF MARKET VALUES BY SECTOR (unaudited) July 31, 2016 SECTOR FINANCIALS INDUSTRIALS CONSUMER DISCRETIONARY HEALTH CARE CONSUMER STAPLES MATERIALS TELECOMMUNICATION SERVICES INFORMATION TECHNOLOGY UTILITIES ENERGY OTHER ASSETS & LIABILITIES, NET $ NET ASSETS $ 128 VALUE 5,503,507 3,140,638 3,008,254 2,720,823 2,276,340 1,768,454 1,149,742 1,129,904 1,004,623 712,007 143,751 % OF NET ASSETS 24.4% 13.9 13.3 12.1 10.1 7.8 5.1 5.0 4.5 3.2 0.6 22,558,043 100.0% TIAA-CREF FUNDS - Equity Index Fund TIAA-CREF FUNDS EQUITY INDEX FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.9% AUTOMOBILES & COMPONENTS - 1.0% 37,554 * American Axle & Manufacturing Holdings, Inc 105,930 BorgWarner, Inc 26,375 Cooper Tire & Rubber Co 7,253 * Cooper-Standard Holding, Inc 72,245 Dana Holding Corp 133,622 Delphi Automotive plc 13,305 * Dorman Products, Inc 11,529 Drew Industries, Inc 12,398 * Federal Mogul Corp (Class A) 1,939,101 Ford Motor Co 12,970 * Fox Factory Holding Corp 700,202 General Motors Co 138,866 Gentex Corp 17,656 * Gentherm, Inc 127,545 Goodyear Tire & Rubber Co 88,859 e Harley-Davidson, Inc 7,334 * Horizon Global Corp 315,073 Johnson Controls, Inc 35,272 Lear Corp 7,570 Metaldyne Performance Group, Inc 21,146 * Modine Manufacturing Co 8,720 * Motorcar Parts of America, Inc 16,273 Spartan Motors, Inc 11,059 Standard Motor Products, Inc 12,077 * Stoneridge, Inc 1,415 Strattec Security Corp 12,118 Superior Industries International, Inc 26,573 * Tenneco, Inc 57,250 *,e Tesla Motors, Inc 22,553 Thor Industries, Inc 9,993 Tower International, Inc 3,070 Unique Fabricating, Inc 22,231 Visteon Corp 12,900 Winnebago Industries, Inc * Workhorse Group, Inc 6,207 TOTAL AUTOMOBILES & COMPONENTS BANKS - 5.5% 6,433 2,590 3,009 5,241 3,144 16,401 3,475 $ 1st Source Corp Access National Corp ACNB Corp *,e Allegiance Bancshares, Inc American National Bankshares, Inc Ameris Bancorp e Ames National Corp 653,815 3,514,757 870,111 638,627 985,422 9,062,244 847,529 1,056,172 109,598 24,549,019 248,894 22,084,371 2,453,762 592,535 3,656,715 4,702,418 95,709 14,468,152 4,001,608 120,287 203,002 244,422 138,158 463,814 201,444 63,109 370,326 1,501,906 13,441,728 1,726,207 230,638 41,261 1,558,171 306,504 40,780 115,243,215 216,213 57,576 77,783 132,388 82,561 543,857 94,346 129 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 15,815 4,559 63,588 43,500 8,335 16,132 3,811 14,602 38,151 19,189 5,090,217 23,779 2,316 42,277 7,344 48,616 2,566 19,110 2,779 398,324 6,029 34,168 15,102 11,500 18,329 29,411 12,602 33,474 8,056 33,112 8,081 3,755 1,549 5,021 9,174 4,271 84,860 12,761 4,967 11,872 36,003 22,222 8,558 4,092 1,649 8,748 23,857 1,442 97,257 1,454,528 5,032 259,226 6,773 * e e *,e e * e * e e VALUE Apollo Residential Mortgage Arrow Financial Corp Associated Banc-Corp Astoria Financial Corp Atlantic Capital Bancshares, Inc Banc of California, Inc Bancfirst Corp Banco Latinoamericano de Exportaciones S.A. (Class E) Bancorpsouth, Inc Bank Mutual Corp Bank of America Corp Bank of Hawaii Corp Bank of Marin Bancorp Bank of the Ozarks, Inc BankFinancial Corp BankUnited Bankwell Financial Group, Inc Banner Corp Bar Harbor Bankshares BB&T Corp Bear State Financial, Inc Beneficial Bancorp, Inc Berkshire Hills Bancorp, Inc Blue Hills Bancorp, Inc BNC Bancorp BofI Holding, Inc BOK Financial Corp Boston Private Financial Holdings, Inc Bridge Bancorp, Inc Brookline Bancorp, Inc Bryn Mawr Bank Corp BSB Bancorp, Inc C&F Financial Corp Camden National Corp Capital Bank Financial Corp Capital City Bank Group, Inc Capitol Federal Financial Cardinal Financial Corp Carolina Financial Corp Cascade Bancorp Cathay General Bancorp Centerstate Banks of Florida, Inc Central Pacific Financial Corp Central Valley Community Bancorp Century Bancorp, Inc Charter Financial Corp Chemical Financial Corp Chemung Financial Corp CIT Group, Inc Citigroup, Inc Citizens & Northern Corp Citizens Financial Group, Inc City Holding Co 130 $ 214,610 144,019 1,182,737 638,145 123,608 357,808 249,887 398,927 908,757 146,604 73,757,244 1,638,849 114,827 1,521,555 89,597 1,459,452 56,478 797,651 101,934 14,686,206 57,517 463,318 398,240 163,875 444,662 494,693 822,028 405,705 234,510 377,146 237,016 86,365 70,774 218,313 274,211 61,118 1,202,466 328,723 95,019 66,958 1,079,370 370,219 209,928 61,175 71,995 114,074 987,203 45,625 3,361,202 63,722,872 107,232 5,788,517 316,299 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 10,322 5,791 17,885 3,672 32,896 85,334 47,079 28,994 6,977 4,655 11,785 2,437 6,901 28,081 11,525 65,768 15,318 16,871 70,051 3,160 11,187 2,384 4,031 36,435 38,938 2,904 11,953 14,519 6,393 10,179 358,173 5,686 9,604 56,710 3,643 15,209 3,244 4,890 43,405 6,839 6,078 6,547 3,699 29,861 37,366 4,551 4,121 6,474 95,427 2,693 9,611 19,713 2,943 * e * e * * * * * * *,e e * e VALUE Clifton Bancorp, Inc CNB Financial Corp CoBiz, Inc Codorus Valley Bancorp, Inc Columbia Banking System, Inc Comerica, Inc Commerce Bancshares, Inc Community Bank System, Inc Community Trust Bancorp, Inc CommunityOne Bancorp ConnectOne Bancorp, Inc County Bancorp, Inc CU Bancorp Cullen/Frost Bankers, Inc Customers Bancorp, Inc CVB Financial Corp Dime Community Bancshares Eagle Bancorp, Inc East West Bancorp, Inc Enterprise Bancorp, Inc Enterprise Financial Services Corp Equity Bancshares, Inc ESSA Bancorp, Inc Essent Group Ltd EverBank Financial Corp Farmers Capital Bank Corp Farmers National Banc Corp FCB Financial Holdings, Inc Federal Agricultural Mortgage Corp (Class C) Fidelity Southern Corp Fifth Third Bancorp Financial Institutions, Inc First Bancorp (NC) First Bancorp (Puerto Rico) First Bancorp, Inc First Busey Corp First Business Financial Services, Inc First Citizens Bancshares, Inc (Class A) First Commonwealth Financial Corp First Community Bancshares, Inc First Community Financial Partners, Inc First Connecticut Bancorp First Defiance Financial Corp First Financial Bancorp First Financial Bankshares, Inc First Financial Corp First Financial Northwest, Inc First Foundation, Inc First Horizon National Corp First Internet Bancorp First Interstate Bancsystem, Inc First Merchants Corp First Mid-Illinois Bancshares, Inc $ 131 154,624 106,844 220,880 77,883 997,407 3,860,510 2,226,366 1,279,505 242,660 60,608 199,284 50,738 163,968 1,906,419 296,653 1,081,884 265,001 869,700 2,397,145 74,797 321,738 53,855 57,079 872,983 699,326 85,784 114,151 507,729 245,683 175,181 6,798,124 152,953 179,787 260,299 80,328 342,659 76,915 1,270,324 418,858 156,818 54,763 105,407 154,211 636,338 1,276,796 174,303 57,612 154,146 1,389,417 63,689 279,103 516,481 74,134 TIAA-CREF FUNDS - Equity Index Fund SHARES 38,814 9,317 182,398 5,007 6,789 68,933 80,533 8,294 11,966 102,037 4,591 83,509 6,871 37,114 5,092 29,976 4,011 5,658 15,264 37,485 12,696 10,567 12,384 14,020 9,193 36,210 689 2,808 58,908 8,704 8,420 37,573 5,273 368,462 14,980 3,645 12,342 9,223 4,046 26,696 144,820 1,792,903 34,024 463,196 3,676 18,503 7,688 4,465 18,393 2,719 9,830 73,137 12,652 COMPANY VALUE First Midwest Bancorp, Inc * First NBC Bank Holding Co First Niagara Financial Group, Inc *,e First Northwest Bancorp First of Long Island Corp First Republic Bank FirstMerit Corp * Flagstar Bancorp, Inc Flushing Financial Corp FNB Corp * Franklin Financial Network, Inc Fulton Financial Corp German American Bancorp, Inc Glacier Bancorp, Inc Great Southern Bancorp, Inc Great Western Bancorp, Inc * Green Bancorp, Inc Guaranty Bancorp *,e Hampton Roads Bankshares, Inc Hancock Holding Co Hanmi Financial Corp Heartland Financial USA, Inc Heritage Commerce Corp Heritage Financial Corp Heritage Oaks Bancorp * Hilltop Holdings, Inc Hingham Institution for Savings e Home Bancorp, Inc Home Bancshares, Inc * HomeStreet, Inc * HomeTrust Bancshares, Inc * Hope Bancorp, Inc Horizon Bancorp Huntington Bancshares, Inc IBERIABANK Corp *,e Impac Mortgage Holdings, Inc Independent Bank Corp (MA) Independent Bank Corp (MI) Independent Bank Group, Inc International Bancshares Corp Investors Bancorp, Inc JPMorgan Chase & Co Kearny Financial Corp Keycorp e Lake Sunapee Bank Group Lakeland Bancorp, Inc Lakeland Financial Corp e LCNB Corp LegacyTexas Financial Group, Inc *,e LendingTree, Inc Live Oak Bancshares, Inc M&T Bank Corp e Macatawa Bank Corp $ 132 724,657 177,303 1,856,812 65,492 206,046 4,940,428 1,709,716 219,045 266,961 1,219,342 155,543 1,139,898 233,614 1,023,604 199,606 994,304 39,228 95,450 31,291 1,086,690 311,306 388,020 129,784 244,789 74,831 788,654 90,259 81,264 1,229,410 194,099 154,760 577,497 145,113 3,500,389 935,801 63,241 619,692 141,850 170,984 732,004 1,645,155 114,692,005 442,992 5,419,393 67,785 220,371 394,779 79,209 524,568 274,565 128,871 8,378,575 98,053 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 11,159 30,171 8,948 6,978 1,972 33,771 2,375 170,971 2,446 1,950 3,997 2,513 16,489 2,810 4,061 16,262 20,562 239,989 3,552 20,415 23,793 3,306 62,331 9,848 4,255 64,572 11,628 4,709 27,054 3,502 9,324 13,151 58,995 8,742 25,387 7,363 1,915 5,122 7,855 3,001 137,110 6,152 26,058 24,287 246,221 49,963 5,949 4,051 39,077 32,606 2,962 22,929 5,576 * * e * *,e e * * e * e e * * e VALUE MainSource Financial Group, Inc MB Financial, Inc MBT Financial Corp Mercantile Bank Corp Merchants Bancshares, Inc Meridian Bancorp, Inc Meta Financial Group, Inc MGIC Investment Corp Middleburg Financial Corp Midland States Bancorp, Inc MidWestOne Financial Group, Inc MutualFirst Financial, Inc National Bank Holdings Corp National Bankshares, Inc National Commerce Corp Nationstar Mortgage Holdings, Inc NBT Bancorp, Inc New York Community Bancorp, Inc Nicolet Bankshares, Inc NMI Holdings, Inc Northfield Bancorp, Inc Northrim BanCorp, Inc Northwest Bancshares, Inc OceanFirst Financial Corp Old Line Bancshares, Inc Old National Bancorp Old Second Bancorp, Inc Opus Bank Oritani Financial Corp Orrstown Financial Services, Inc Pacific Continental Corp Pacific Premier Bancorp, Inc PacWest Bancorp Park National Corp Park Sterling Bank Peapack Gladstone Financial Corp Penns Woods Bancorp, Inc PennyMac Financial Services, Inc Peoples Bancorp, Inc Peoples Financial Services Corp People’s United Financial, Inc People’s Utah Bancorp PHH Corp Pinnacle Financial Partners, Inc PNC Financial Services Group, Inc Popular, Inc Preferred Bank Premier Financial Bancorp, Inc PrivateBancorp, Inc Prosperity Bancshares, Inc Provident Financial Holdings, Inc Provident Financial Services, Inc QCR Holdings, Inc $ 133 248,511 1,158,265 80,443 175,706 62,670 496,434 129,889 1,229,281 68,782 44,382 115,713 72,198 330,275 97,816 98,723 205,389 613,159 3,467,841 129,151 128,206 355,229 93,890 929,355 185,733 81,441 849,768 87,791 152,007 438,816 67,729 135,012 317,597 2,439,443 782,584 195,988 147,775 81,100 64,588 176,345 118,449 2,078,588 109,936 380,707 1,289,883 20,350,166 1,683,253 194,354 72,270 1,727,203 1,665,841 57,729 462,019 165,273 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 104,710 576,763 19,695 4,212 15,691 16,780 11,418 14,091 11,104 5,605 5,108 25,709 14,281 15,850 2,686 2,726 5,361 11,996 7,722 17,135 52,783 10,273 5,678 4,609 4,018 5,433 233,893 25,315 67,263 22,554 67,434 3,666 22,310 36,889 13,492 7,418 27,394 9,011 8,498 7,756 43,902 36,220 21,800 106,950 20,968 1,900 39,004 37,399 19,365 19,970 11,444 796,202 150,278 *,e * * * e e e * * * * e * * e e e VALUE Radian Group, Inc Regions Financial Corp Renasant Corp Republic Bancorp, Inc (Class A) Republic First Bancorp, Inc S&T Bancorp, Inc Sandy Spring Bancorp, Inc Seacoast Banking Corp of Florida ServisFirst Bancshares, Inc SI Financial Group, Inc Sierra Bancorp Signature Bank Simmons First National Corp (Class A) South State Corp Southern First Bancshares, Inc Southern Missouri Bancorp, Inc Southern National Bancorp of Virginia, Inc Southside Bancshares, Inc Southwest Bancorp, Inc State Bank & Trust Co Sterling Bancorp/DE Stock Yards Bancorp, Inc Stonegate Bank Suffolk Bancorp Summit Financial Group, Inc Sun Bancorp, Inc SunTrust Banks, Inc SVB Financial Group Synovus Financial Corp Talmer Bancorp Inc TCF Financial Corp Territorial Bancorp, Inc Texas Capital Bancshares, Inc TFS Financial Corp The Bancorp, Inc Tompkins Trustco, Inc TowneBank Trico Bancshares Tristate Capital Holdings, Inc Triumph Bancorp, Inc Trustco Bank Corp NY Trustmark Corp UMB Financial Corp Umpqua Holdings Corp Union Bankshares Corp Union Bankshares, Inc United Bankshares, Inc United Community Banks, Inc United Community Financial Corp United Financial Bancorp, Inc (New) Univest Corp of Pennsylvania US Bancorp Valley National Bancorp $ 134 1,350,759 5,288,917 634,573 125,560 68,883 427,722 340,713 225,033 562,196 74,939 91,331 3,091,250 656,212 1,155,623 72,683 66,542 71,462 366,958 149,961 374,914 891,505 303,464 179,936 151,682 78,954 115,940 9,891,335 2,542,132 2,047,486 474,085 916,428 98,615 1,082,927 671,380 71,508 539,585 628,692 234,466 121,266 135,497 291,070 945,342 1,207,938 1,628,849 562,781 66,234 1,493,853 719,557 128,584 262,606 241,354 33,575,838 1,363,021 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 4,072 13,347 16,698 51,702 7,198 3,753 13,586 36,708 2,245,593 19,889 6,091 21,336 45,525 7,045 34,813 23,570 100,521 12,825 24,350 2,290 90,422 CAPITAL GOODS - 7.5% 288,501 34,657 25,084 14,774 27,308 21,298 19,055 64,827 17,231 28,687 9,931 32,826 43,036 22,998 4,528 13,760 44,943 2,945 69,052 12,193 8,663 3,814 3,837 6,024 8,421 109,862 13,179 16,844 6,376 VALUE * Veritex Holdings, Inc * Walker & Dunlop, Inc *,e Walter Investment Management Corp Washington Federal, Inc Washington Trust Bancorp, Inc WashingtonFirst Bankshares, Inc Waterstone Financial, Inc Webster Financial Corp Wells Fargo & Co WesBanco, Inc West Bancorporation, Inc e Westamerica Bancorporation * Western Alliance Bancorp Westfield Financial, Inc Wilshire Bancorp, Inc Wintrust Financial Corp * WMIH Corp WSFS Financial Corp Yadkin Financial Corp Your Community Bankshares, Inc Zions Bancorporation TOTAL BANKS e * * * * * e * * $ 3M Co A.O. Smith Corp Aaon, Inc AAR Corp Actuant Corp (Class A) Acuity Brands, Inc Advanced Drainage Systems, Inc Aecom Technology Corp Aegion Corp Aerojet Rocketdyne Holdings, Inc Aerovironment, Inc AGCO Corp Air Lease Corp Aircastle Ltd Alamo Group, Inc Albany International Corp (Class A) Allegion plc Allied Motion Technologies, Inc Allison Transmission Holdings, Inc Altra Holdings, Inc Ameresco, Inc American Railcar Industries, Inc American Science & Engineering, Inc American Superconductor Corp American Woodmark Corp Ametek, Inc Apogee Enterprises, Inc Applied Industrial Technologies, Inc Argan, Inc 70,731 315,923 47,923 1,292,550 273,236 90,072 213,028 1,320,020 107,721,096 614,968 115,729 1,003,645 1,549,216 55,444 373,892 1,244,496 243,261 451,312 613,377 85,211 2,520,965 622,163,867 51,457,038 3,219,289 664,224 356,940 648,565 5,589,234 508,959 2,300,710 353,580 541,037 281,544 1,580,900 1,239,867 511,016 303,965 582,461 3,253,424 66,616 1,990,079 346,281 42,882 160,226 141,624 55,300 625,091 5,166,810 616,118 790,826 294,125 135 TIAA-CREF FUNDS - Equity Index Fund SHARES 11,629 20,205 9,399 9,721 10,688 21,982 24,354 49,825 28,927 26,687 294,339 17,803 40,730 45,709 11,658 8,206 29,385 273,349 14,772 51,676 7,518 21,011 47,890 7,576 19,570 16,862 19,872 7,120 12,289 77,238 20,863 296,668 151,930 29,960 61,940 11,557 70,296 4,457 5,115 15,401 6,313 220,813 29,434 310,214 9,755 7,645 16,133 21,108 8,686 12,925 12,221 14,101 138,956 COMPANY VALUE * Armstrong Flooring, Inc * Armstrong World Industries, Inc Astec Industries, Inc * Astronics Corp AZZ, Inc * Babcock & Wilcox Enterprises, Inc Barnes Group, Inc BE Aerospace, Inc * Beacon Roofing Supply, Inc * BMC Stock Holdings, Inc Boeing Co Briggs & Stratton Corp * Builders FirstSource, Inc BWX Technologies, Inc Caesarstone Sdot-Yam Ltd * CAI International, Inc Carlisle Cos, Inc Caterpillar, Inc * Chart Industries, Inc Chicago Bridge & Iron Co NV CIRCOR International, Inc Clarcor, Inc * Colfax Corp Columbus McKinnon Corp Comfort Systems USA, Inc * Continental Building Products Inc Crane Co * CSW Industrials, Inc Cubic Corp Cummins, Inc Curtiss-Wright Corp Danaher Corp e Deere & Co * DigitalGlobe, Inc Donaldson Co, Inc Douglas Dynamics, Inc Dover Corp * Ducommun, Inc *,e DXP Enterprises, Inc * Dycom Industries, Inc Dynamic Materials Corp Eaton Corp EMCOR Group, Inc Emerson Electric Co Encore Wire Corp *,e Energous Corp *,e Energy Recovery, Inc EnerSys Engility Holdings, Inc EnPro Industries, Inc ESCO Technologies, Inc * Esterline Technologies Corp Fastenal Co $ 136 231,766 858,106 566,572 372,023 663,511 337,644 923,747 2,383,379 1,360,148 543,080 39,341,351 404,662 525,010 1,682,548 437,058 70,407 3,035,177 22,622,363 443,455 1,747,166 428,075 1,308,145 1,406,050 125,686 594,537 395,414 1,238,026 241,582 501,883 9,482,509 1,856,598 24,160,642 11,806,480 807,722 2,237,892 309,728 5,021,243 86,198 85,114 1,448,464 64,645 14,001,752 1,639,474 17,340,963 366,105 94,951 172,623 1,316,084 252,241 591,319 517,559 857,764 5,940,369 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 24,641 63,554 68,098 148,334 73,398 21,653 5,538 8,768 19,799 2,187 30,017 21,698 119,598 4,540,233 16,324 11,068 9,996 27,029 4,428 20,718 30,484 13,035 17,223 13,024 5,911 36,249 17,374 98,194 8,701 18,295 11,744 43,804 28,500 371,909 26,856 22,734 2,730 4,045 37,151 3,513 142,102 125,913 8,446 44,089 52,136 15,232 47,731 5,112 12,142 69,895 44,793 14,738 24,712 * *,e e * * * * e *,e * e * * * e *,e * VALUE Federal Signal Corp Flowserve Corp Fluor Corp Fortive Corp Fortune Brands Home & Security, Inc Franklin Electric Co, Inc Freightcar America, Inc FuelCell Energy, Inc GATX Corp Gencor Industries, Inc Generac Holdings, Inc General Cable Corp General Dynamics Corp General Electric Co Gibraltar Industries, Inc Global Brass & Copper Holdings, Inc Gorman-Rupp Co Graco, Inc Graham Corp Granite Construction, Inc Great Lakes Dredge & Dock Corp Greenbrier Cos, Inc Griffon Corp H&E Equipment Services, Inc Hardinge, Inc Harsco Corp HC2 Holdings, Inc HD Supply Holdings, Inc HEICO Corp HEICO Corp (Class A) Herc Holdings, Inc Hexcel Corp Hillenbrand, Inc Honeywell International, Inc Hubbell, Inc Huntington Ingalls Hurco Cos, Inc Hyster-Yale Materials Handling, Inc IDEX Corp IES Holdings, Inc Illinois Tool Works, Inc Ingersoll-Rand plc Insteel Industries, Inc ITT, Inc Jacobs Engineering Group, Inc John Bean Technologies Corp Joy Global, Inc Kadant, Inc Kaman Corp KBR, Inc Kennametal, Inc KEYW Holding Corp KLX, Inc $ 137 324,029 3,041,059 3,644,605 7,151,182 4,643,891 838,404 82,516 47,260 885,609 38,491 1,134,342 319,612 17,567,750 141,382,856 575,911 313,446 270,792 2,000,416 79,793 1,031,342 135,349 427,939 295,202 242,507 59,701 354,878 79,920 3,553,641 604,806 1,055,073 415,150 1,891,019 921,975 43,264,174 2,895,882 3,923,434 72,700 258,031 3,335,788 54,627 16,398,571 8,342,995 293,836 1,398,062 2,790,319 1,019,325 1,318,808 280,853 524,049 979,928 1,113,554 150,917 798,198 TIAA-CREF FUNDS - Equity Index Fund SHARES 18,068 37,524 1,979 9,010 23,407 29,834 9,617 129,164 11,159 7,959 62,639 61,537 162,407 19,091 32,149 18,997 43,101 27,640 7,157 5,071 15,534 44,127 21,958 27,346 75,294 8,496 2,393 21,878 14,901 4,363 12,614 31,250 4,831 81,546 51,845 4,023 1,327 27,401 16,581 34,402 56,057 166,769 63,138 7,953 81,258 29,257 79,073 10,543 4,787 2,412 1,112 22,842 14,748 COMPANY VALUE *,e Kratos Defense & Security Solutions, Inc L-3 Communications Holdings, Inc * Lawson Products, Inc *,e Layne Christensen Co Lennox International, Inc Lincoln Electric Holdings, Inc e Lindsay Corp Lockheed Martin Corp LSI Industries, Inc * Lydall, Inc Manitowoc Co, Inc * Manitowoc Foodservice, Inc Masco Corp * Masonite International Corp * Mastec, Inc * Mercury Systems, Inc * Meritor, Inc * Middleby Corp * Milacron Holdings Corp Miller Industries, Inc * Moog, Inc (Class A) * MRC Global, Inc MSC Industrial Direct Co (Class A) Mueller Industries, Inc Mueller Water Products, Inc (Class A) * MYR Group, Inc e National Presto Industries, Inc *,e Navistar International Corp * NCI Building Systems, Inc * Neff Corp NN, Inc Nordson Corp * Nortek, Inc Northrop Grumman Corp * NOW, Inc * NV5 Holdings, Inc Omega Flex, Inc Orbital ATK, Inc * Orion Marine Group, Inc Oshkosh Truck Corp Owens Corning, Inc Paccar, Inc Parker Hannifin Corp * Patrick Industries, Inc Pentair plc * Pgt, Inc *,e Plug Power, Inc * Ply Gem Holdings, Inc Powell Industries, Inc * Power Solutions International, Inc Preformed Line Products Co Primoris Services Corp *,e Proto Labs, Inc $ 138 79,680 5,689,764 32,456 72,080 3,670,218 1,851,498 674,729 32,643,618 122,303 355,608 348,899 1,128,589 5,924,607 1,333,125 786,043 492,402 361,186 3,327,303 123,244 108,824 855,457 583,800 1,577,243 930,858 892,987 209,596 214,269 280,476 241,694 42,626 212,798 2,759,062 419,717 17,665,310 949,282 129,420 45,264 2,387,175 93,683 1,895,206 2,965,976 9,834,368 7,209,728 513,446 5,185,886 351,084 141,541 161,940 176,353 42,427 54,343 412,298 811,730 TIAA-CREF FUNDS - Equity Index Fund SHARES 13,625 78,775 17,426 145,550 17,285 20,168 41,807 62,113 65,999 48,367 3,027 15,653 20,164 5,253 27,454 31,077 5,336 64,517 35,117 17,452 7,474 71,131 10,632 30,979 5,976 32,587 15,081 8,477 50,183 8,797 143,977 5,099 20,692 38,654 25,845 6,762 25,836 25,217 14,357 21,857 68,775 15,968 23,858 21,354 42,341 380,564 17,627 9,656 42,430 10,648 4,334 3,422 6,360 COMPANY VALUE Quanex Building Products Corp * Quanta Services, Inc Raven Industries, Inc Raytheon Co * RBC Bearings, Inc Regal-Beloit Corp * Rexnord Corp Rockwell Automation, Inc Rockwell Collins, Inc Roper Industries, Inc *,e Rush Enterprises, Inc * Rush Enterprises, Inc (Class A) Simpson Manufacturing Co, Inc * SiteOne Landscape Supply, Inc Snap-On, Inc *,e SolarCity Corp * Sparton Corp * Spirit Aerosystems Holdings, Inc (Class A) * SPX Corp * SPX FLOW, Inc Standex International Corp Stanley Works Sun Hydraulics Corp *,e Sunrun, Inc Supreme Industries, Inc *,e Taser International, Inc * Teledyne Technologies, Inc Tennant Co Terex Corp e Textainer Group Holdings Ltd Textron, Inc *,e The ExOne Company * Thermon Group Holdings Timken Co e Titan International, Inc *,e Titan Machinery, Inc Toro Co * TransDigm Group, Inc * Trex Co, Inc * Trimas Corp Trinity Industries, Inc Triton International Ltd Triumph Group, Inc * Tutor Perini Corp * United Rentals, Inc United Technologies Corp * Univar, Inc Universal Forest Products, Inc * USG Corp Valmont Industries, Inc * Vectrus, Inc * Veritiv Corp * Vicor Corp $ 139 272,364 2,016,640 361,764 20,308,591 1,314,179 1,230,450 890,071 7,105,727 5,584,835 8,239,802 70,620 359,706 822,691 204,027 4,314,945 829,756 111,042 2,798,747 531,671 476,091 663,691 8,656,643 321,086 160,471 100,397 943,720 1,583,505 543,206 1,211,418 104,508 5,615,103 51,908 417,565 1,292,976 170,835 75,802 2,375,620 7,048,656 696,314 390,585 1,596,268 268,103 735,542 536,412 3,373,307 40,967,714 322,750 1,044,007 1,194,829 1,394,356 135,004 144,477 67,416 TIAA-CREF FUNDS - Equity Index Fund SHARES 30,544 32,243 25,876 12,701 13,450 20,492 42,542 2,234 25,682 80,712 COMPANY VALUE e W.W. Grainger, Inc * Wabash National Corp * WABCO Holdings, Inc Watsco, Inc Watts Water Technologies, Inc (Class A) *,e WESCO International, Inc Westinghouse Air Brake Technologies Corp *,e Willis Lease Finance Corp Woodward Governor Co Xylem, Inc TOTAL CAPITAL GOODS $ COMMERCIAL & PROFESSIONAL SERVICES - 1.0% 23,642 ABM Industries, Inc 40,054 Acacia Research (Acacia Technologies) 51,156 * ACCO Brands Corp 23,077 * Advisory Board Co 4,800 *,e Aqua Metals, Inc 17,200 * ARC Document Solutions, Inc 2,966 Barrett Business Services, Inc 22,044 Brady Corp (Class A) 31,405 Brink’s Co 15,707 * Casella Waste Systems, Inc (Class A) 24,005 * CBIZ, Inc 17,057 CEB, Inc 13,715 Ceco Environmental Corp 46,537 Cintas Corp 25,423 * Clean Harbors, Inc 48,813 * Copart, Inc 56,807 Covanta Holding Corp 4,164 * CRA International, Inc 22,263 Deluxe Corp 18,658 Dun & Bradstreet Corp 64,481 *,m Dyax Corp 12,402 Ennis, Inc 54,250 Equifax, Inc 17,629 Essendant, Inc 14,650 Exponent, Inc 4,553 * Franklin Covey Co 20,255 * FTI Consulting, Inc 9,541 G & K Services, Inc (Class A) 5,783 * GP Strategies Corp 30,137 Healthcare Services Group 7,483 Heidrick & Struggles International, Inc 5,084 * Heritage-Crystal Clean, Inc 25,719 Herman Miller, Inc 15,433 * Hill International, Inc 21,929 HNI Corp 10,579 * Huron Consulting Group, Inc 8,658 * ICF International, Inc 6,918 *,e IDI, Inc 15,602 * Innerworkings, Inc 8,969 Insperity, Inc 6,684,554 466,879 2,594,587 1,829,452 831,882 1,142,224 2,914,127 60,318 1,503,424 3,858,841 836,867,678 879,719 216,692 574,993 963,695 44,688 67,768 127,479 708,494 1,030,712 147,018 259,494 1,024,102 126,864 4,992,024 1,307,251 2,462,128 910,048 115,010 1,504,756 2,411,546 71,574 214,803 7,185,955 353,285 744,366 74,760 867,724 765,284 121,212 1,169,617 145,619 64,109 842,812 64,356 1,143,159 650,291 358,268 35,835 132,773 703,977 140 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 29,536 60,535 14,073 10,767 18,271 19,323 24,613 34,839 13,491 10,372 8,188 19,252 17,466 6,262 23,237 176,268 22,397 92,177 13,081 96,487 114,204 15,702 60,455 60,351 22,513 8,308 36,944 40,697 13,196 28,151 19,809 6,571 20,620 20,186 201,284 7,369 10,179 76,567 9,678 2,132 17,664 219,176 22,949 * * * * * * *,e * * * * * * VALUE Interface, Inc KAR Auction Services, Inc Kelly Services, Inc (Class A) Kforce, Inc Kimball International, Inc (Class B) Knoll, Inc Korn/Ferry International Manpower, Inc Matthews International Corp (Class A) McGrath RentCorp Mistras Group, Inc Mobile Mini, Inc MSA Safety, Inc Multi-Color Corp Navigant Consulting, Inc Nielsen NV On Assignment, Inc Pitney Bowes, Inc Quad R.R. Donnelley & Sons Co Republic Services, Inc Resources Connection, Inc Robert Half International, Inc Rollins, Inc RPX Corp SP Plus Corp Steelcase, Inc (Class A) Stericycle, Inc Team, Inc Tetra Tech, Inc TransUnion TRC Cos, Inc TriNet Group, Inc TrueBlue, Inc Tyco International plc Unifirst Corp US Ecology, Inc Verisk Analytics, Inc Viad Corp VSE Corp WageWorks, Inc Waste Management, Inc West Corp TOTAL COMMERCIAL & PROFESSIONAL SERVICES CONSUMER DURABLES & APPAREL - 1.6% 5,230 e Arctic Cat, Inc 6,685 Bassett Furniture Industries, Inc 24,298 *,e Beazer Homes USA, Inc 41,267 Brunswick Corp 36,066 CalAtlantic Group, Inc 71,673 Callaway Golf Co 24,197 Carter’s, Inc $ 527,513 2,589,082 288,074 192,299 208,107 487,906 566,345 2,417,827 810,944 330,556 205,191 625,883 976,000 404,400 458,001 9,493,794 827,569 1,779,938 331,734 1,729,047 5,854,097 233,960 2,209,026 1,700,691 226,706 199,641 535,688 3,673,718 364,342 927,012 648,150 46,128 447,248 450,753 9,172,512 861,289 461,109 6,529,634 336,988 135,510 1,091,812 14,491,917 507,402 111,939,803 81,640 172,674 233,018 2,047,669 1,305,950 766,901 2,449,946 141 TIAA-CREF FUNDS - Equity Index Fund SHARES 3,668 17,041 136,383 13,284 34,925 3,648 4,107 15,525 3,427 164,932 3,755 11,434 3,208 19,903 59,320 20,862 54,749 11,271 184,503 34,395 54,973 13,597 7,845 59,283 25,821 12,444 12,744 7,723 2,125 62,381 40,559 22,054 60,382 4,675 88,307 9,217 10,480 3,865 47,749 9,944 7,425 4,381 167,055 3,826 19,340 18,512 84,026 29,237 6,272 1,709 14,642 4,014 217,520 COMPANY VALUE * Cavco Industries, Inc * Century Communities, Inc Coach, Inc Columbia Sportswear Co * CROCS, Inc CSS Industries, Inc Culp, Inc * Deckers Outdoor Corp * Delta Apparel, Inc DR Horton, Inc Escalade, Inc Ethan Allen Interiors, Inc Flexsteel Industries, Inc * Fossil Group, Inc *,e Garmin Ltd * G-III Apparel Group Ltd *,e GoPro, Inc *,e Green Brick Partners, Inc Hanesbrands, Inc Harman International Industries, Inc Hasbro, Inc * Helen of Troy Ltd Hooker Furniture Corp *,e Hovnanian Enterprises, Inc (Class A) *,e Iconix Brand Group, Inc * Installed Building Products Inc *,e iRobot Corp *,e Jakks Pacific, Inc Johnson Outdoors, Inc * Kate Spade & Co e KB Home La-Z-Boy, Inc Leggett & Platt, Inc Lennar Corp (B Shares) Lennar Corp (Class A) *,e LGI Homes, Inc Libbey, Inc Lifetime Brands, Inc * Lululemon Athletica, Inc * M/I Homes, Inc * Malibu Boats Inc Marine Products Corp Mattel, Inc MCBC Holdings, Inc MDC Holdings, Inc * Meritage Homes Corp * Michael Kors Holdings Ltd * Mohawk Industries, Inc Movado Group, Inc Nacco Industries, Inc (Class A) * Nautilus, Inc * New Home Co Inc Newell Brands, Inc $ 142 364,526 301,626 5,879,471 760,509 395,700 95,979 117,173 1,024,805 81,871 5,422,964 40,291 397,103 131,849 628,935 3,222,856 835,106 692,027 79,573 4,918,850 2,842,403 4,465,457 1,354,397 181,455 109,081 185,911 445,869 483,252 71,206 64,706 1,353,044 636,776 666,472 3,174,282 175,499 4,132,768 316,420 195,871 51,752 3,707,710 224,237 101,277 39,999 5,576,296 43,922 509,029 673,652 4,345,825 6,108,779 141,684 96,165 275,855 39,538 11,411,099 TIAA-CREF FUNDS - Equity Index Fund SHARES 653,861 1,683 7,374 19,283 5,118 39,183 29,487 18,756 168,413 30,341 18,944 62,341 26,483 29,741 9,075 3,027 15,358 26,059 75,808 20,118 80,243 27,318 22,522 90,690 89,311 9,279 6,905 11,056 166,600 21,199 27,714 11,279 2,514 36,310 9,640 47,073 12,715 COMPANY VALUE Nike, Inc (Class B) * NVR, Inc Oxford Industries, Inc *,e Performance Sports Group Ltd * Perry Ellis International, Inc Phillips-Van Heusen Corp e Polaris Industries, Inc Pool Corp Pulte Homes, Inc Ralph Lauren Corp * Sequential Brands Group, Inc * Skechers U.S.A., Inc (Class A) * Smith & Wesson Holding Corp * Steven Madden Ltd e Sturm Ruger & Co, Inc Superior Uniform Group, Inc * Taylor Morrison Home Corp *,e Tempur-Pedic International, Inc * Toll Brothers, Inc * TopBuild Corp * TRI Pointe Homes, Inc * Tumi Holdings, Inc Tupperware Brands Corp * Under Armour, Inc *,e Under Armour, Inc (Class A) * Unifi, Inc * Universal Electronics, Inc * Vera Bradley, Inc VF Corp *,e Vince Holding Corp * Vista Outdoor, Inc * WCI Communities, Inc Weyco Group, Inc Whirlpool Corp * William Lyon Homes, Inc Wolverine World Wide, Inc * Zagg, Inc TOTAL CONSUMER DURABLES & APPAREL $ CONSUMER SERVICES - 2.2% 6,940 * American Public Education, Inc 44,579 * Apollo Group, Inc (Class A) 112,829 ARAMARK Holdings Corp 5,634 * Ascent Media Corp (Series A) 45,558 * Belmond Ltd. 11,284 * BJ’s Restaurants, Inc 50,801 Bloomin’ Brands, Inc 9,783 Bob Evans Farms, Inc 2,987 *,e Bojangles’, Inc 41,402 * Boyd Gaming Corp 6,509 * Bridgepoint Education, Inc 22,432 * Bright Horizons Family Solutions 26,863 Brinker International, Inc 36,289,285 2,869,515 421,645 64,212 109,628 3,959,834 2,911,841 1,918,364 3,566,987 2,976,149 154,015 1,497,431 779,924 1,041,530 617,100 48,644 249,567 1,970,842 2,123,382 759,656 1,079,268 730,756 1,411,679 3,237,633 3,524,212 250,811 534,033 160,975 10,400,838 105,995 1,387,086 189,826 70,241 6,984,592 167,254 1,152,818 80,486 182,448,754 198,762 400,765 4,044,920 95,891 523,461 438,271 913,402 359,819 51,914 811,893 46,409 1,504,514 1,266,322 143 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 9,211 21,649 26,717 6,499 4,909 28,671 198,950 6,526 29,234 11,016 19,861 38,833 14,081 15,685 6,490 9,542 29,950 2,954 9,315 58,950 16,586 11,445 10,843 36,430 30,409 17,203 8,431 25,448 41,255 9,550 15,767 1,317 38,721 12,714 4,866 1,904 19,507 113,493 4,579 256,453 70,943 13,420 47,329 12,648 54,591 10,279 12,178 6,337 15,909 6,376 15,763 3,281 41,024 * * *,e * * * * *,e * *,e e * * * * e *,e *,e * *,e * * * * *,e * * * *,e * *,e * VALUE Buffalo Wild Wings, Inc Caesars Acquisition Co Caesars Entertainment Corp Cambium Learning Group, Inc Capella Education Co Career Education Corp Carnival Corp Carriage Services, Inc Carrols Restaurant Group, Inc Century Casinos, Inc Cheesecake Factory Chegg, Inc Chipotle Mexican Grill, Inc (Class A) Choice Hotels International, Inc Churchill Downs, Inc Chuy’s Holdings, Inc ClubCorp Holdings, Inc Collectors Universe Cracker Barrel Old Country Store, Inc Darden Restaurants, Inc Dave & Buster’s Entertainment, Inc Del Frisco’s Restaurant Group, Inc Del Taco Restaurants, Inc Denny’s Corp DeVry Education Group, Inc Diamond Resorts International, Inc DineEquity, Inc Domino’s Pizza, Inc Dunkin Brands Group, Inc El Pollo Loco Holdings, Inc Eldorado Resorts, Inc Empire Resorts, Inc Extended Stay America, Inc Fiesta Restaurant Group, Inc Golden Entertainment, Inc Graham Holdings Co Grand Canyon Education, Inc H&R Block, Inc Habit Restaurants, Inc Hilton Worldwide Holdings, Inc Houghton Mifflin Harcourt Co Hyatt Hotels Corp International Game Technology plc International Speedway Corp (Class A) Interval Leisure Group, Inc Intrawest Resorts Holdings Inc Isle of Capri Casinos, Inc J Alexander’s Holdings, Inc Jack in the Box, Inc Jamba, Inc K12, Inc Kona Grill, Inc La Quinta Holdings, Inc $ 144 1,547,080 232,943 184,347 31,455 293,902 198,117 9,294,944 158,647 354,024 70,282 1,027,410 209,310 5,970,203 757,429 851,034 321,756 434,275 63,541 1,466,274 3,628,962 738,077 170,759 113,960 406,559 677,208 519,187 686,030 3,748,490 1,869,264 125,678 227,833 20,387 548,289 284,031 66,226 958,169 820,464 2,699,998 74,363 5,947,145 1,202,484 676,905 989,176 427,123 981,546 149,457 228,094 60,645 1,406,197 68,861 195,146 41,013 507,467 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 177,953 1,654 43,945 5,845 8,898 8,153 91,530 11,656 434,941 240,632 4,064 1,566 4,850 83,523 10,895 12,134 36,175 26,419 7,642 11,300 11,169 7,530 6,436 14,559 17,984 81,692 25,656 14,638 25,187 30,915 85,699 66,458 7,607 32,963 22,829 25,664 4,910 705,723 82,622 879 4,510 29,590 16,884 13,931 101,964 7,134 53,840 39,072 189,157 9,183 * * * e * * * *,e * * * * *,e * *,e * * * * * *,e e * *,e e * * *,e e *,e VALUE Las Vegas Sands Corp Liberty Tax, Inc LifeLock, Inc Lindblad Expeditions Holdings, Inc Luby’s, Inc Marcus Corp Marriott International, Inc (Class A) Marriott Vacations Worldwide Corp McDonald’s Corp MGM Resorts International Monarch Casino & Resort, Inc Nathan’s Famous, Inc Noodles & Co Norwegian Cruise Line Holdings Ltd Panera Bread Co (Class A) Papa John’s International, Inc Penn National Gaming, Inc Pinnacle Entertainment, Inc Planet Fitness, Inc Popeyes Louisiana Kitchen, Inc Potbelly Corp Red Lion Hotels Corp Red Robin Gourmet Burgers, Inc Red Rock Resorts, Inc Regis Corp Royal Caribbean Cruises Ltd Ruby Tuesday, Inc Ruth’s Chris Steak House, Inc Scientific Games Corp (Class A) SeaWorld Entertainment, Inc Service Corp International ServiceMaster Global Holdings, Inc Shake Shack, Inc Six Flags Entertainment Corp Sonic Corp Sotheby’s (Class A) Speedway Motorsports, Inc Starbucks Corp Starwood Hotels & Resorts Worldwide, Inc Steak N Shake Co Strayer Education, Inc Texas Roadhouse, Inc (Class A) Vail Resorts, Inc Weight Watchers International, Inc Wendy’s Wingstop, Inc Wyndham Worldwide Corp Wynn Resorts Ltd Yum! Brands, Inc Zoe’s Kitchen, Inc TOTAL CONSUMER SERVICES $ 145 9,013,319 22,924 735,200 58,099 41,287 180,589 6,562,701 889,353 51,170,809 5,770,355 94,813 76,061 35,842 3,558,080 2,389,491 897,309 543,349 288,495 156,661 647,264 145,532 59,788 311,245 335,003 241,705 5,917,768 103,650 233,769 268,367 476,091 2,375,576 2,514,106 304,356 1,858,784 614,328 831,257 86,760 40,967,220 6,449,473 364,882 206,197 1,397,240 2,415,594 166,197 984,972 185,484 3,823,717 3,827,102 16,914,419 326,364 243,227,456 TIAA-CREF FUNDS - Equity Index Fund SHARES COMPANY VALUE DIVERSIFIED FINANCIALS - 3.4% 28,477 * Affiliated Managers Group, Inc 216,936 Ally Financial, Inc 394,962 American Express Co 76,813 Ameriprise Financial, Inc 7,917 e Arlington Asset Investment Corp (Class A) 19,969 Artisan Partners Asset Management, Inc 2,529 Associated Capital Group, Inc 4,505 e B. Riley Financial, Inc 508,794 Bank of New York Mellon Corp 2,587 *,e BBX Capital Corp 105,406 BGC Partners, Inc (Class A) 61,253 BlackRock, Inc 6,593 Calamos Asset Management, Inc (Class A) 247,818 Capital One Financial Corp 11,259 Cash America International, Inc 41,466 CBOE Holdings, Inc 570,873 Charles Schwab Corp 165,817 CME Group, Inc 14,939 Cohen & Steers, Inc 46,375 *,e Cowen Group, Inc 4,013 *,e Credit Acceptance Corp 1,470 Diamond Hill Investment Group, Inc 201,043 Discover Financial Services 131,332 * E*TRADE Financial Corp 53,537 Eaton Vance Corp 15,191 *,e Encore Capital Group, Inc 10,301 * Enova International, Inc 19,023 Evercore Partners, Inc (Class A) 20,397 * Ezcorp, Inc (Class A) 20,437 Factset Research Systems, Inc 3,209 FBR & Co 52,116 Federated Investors, Inc (Class B) 25,954 e Financial Engines, Inc 16,138 First Cash Financial Services, Inc 36,692 * FNFV Group 182,644 Franklin Resources, Inc 18,429 Gain Capital Holdings, Inc 2,529 GAMCO Investors, Inc (Class A) 189,957 Goldman Sachs Group, Inc 19,045 * Green Dot Corp 21,555 Greenhill & Co, Inc 17,589 HFF, Inc (Class A) 5,864 Houlihan Lokey, Inc 30,972 Interactive Brokers Group, Inc (Class A) 57,636 IntercontinentalExchange Group, Inc 6,188 * INTL FCStone, Inc 191,418 Invesco Ltd 14,488 Investment Technology Group, Inc 28,213 e iShares Russell 2000 Index Fund 56,936 e iShares Russell 3000 Index Fund 70,310 Janus Capital Group, Inc 21,930 * KCG Holdings, Inc 45,221 * Ladenburg Thalmann Financial Services, Inc $ 146 4,179,854 3,913,525 25,459,250 7,361,758 110,284 558,333 75,592 40,905 20,046,484 50,033 934,951 22,433,911 45,887 16,623,631 482,448 2,852,861 16,224,211 16,953,130 643,871 144,690 725,029 280,755 11,427,284 3,293,807 2,024,234 370,812 93,636 963,895 184,797 3,514,346 48,360 1,645,302 684,926 828,041 437,736 6,609,886 123,843 86,340 30,167,071 460,889 427,436 496,186 134,461 1,079,064 15,227,431 180,318 5,585,577 241,950 3,416,312 7,299,765 1,061,681 331,801 110,339 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 57,620 51,330 159,091 160,551 41,809 7,132 19,495 3,292 9,097 85,064 710,435 10,793 44,539 52,287 161,185 9,011 10,526 101,317 100,741 13,585 23,739 25,988 3,966 9,653 10,950 8,578 22,229 4,748 57,925 4,505 6,469 129,553 8,217 53,693 62,456 3,516 238,838 2,000 62,987 188,173 28,122 397,276 118,788 131,852 13,907 12,088 2,871 100,020 38,336 3,840 55,673 3,115 *,e e * * *,e * * * *,e * * * e * e * * e e e *,e VALUE Lazard Ltd (Class A) Legg Mason, Inc LendingClub Corp Leucadia National Corp LPL Financial Holdings, Inc Manning & Napier, Inc MarketAxess Holdings, Inc Marlin Business Services Corp Moelis & Co Moody’s Corp Morgan Stanley Morningstar, Inc MSCI, Inc (Class A) NASDAQ OMX Group, Inc Navient Corp Nelnet, Inc (Class A) NewStar Financial, Inc Northern Trust Corp NorthStar Asset Management Group, Inc OM Asset Management plc On Deck Capital, Inc OneMain Holdings, Inc Oppenheimer Holdings, Inc Pico Holdings, Inc Piper Jaffray Cos PJT Partners, Inc PRA Group, Inc Pzena Investment Management, Inc (Class A) Raymond James Financial, Inc Regional Management Corp Resource America, Inc (Class A) S&P Global, Inc Safeguard Scientifics, Inc Santander Consumer USA Holdings, Inc SEI Investments Co Silvercrest Asset Management Group, Inc SLM Corp SPDR S&P MidCap 400 ETF Trust SPDR Trust Series 1 State Street Corp Stifel Financial Corp Synchrony Financial T Rowe Price Group, Inc TD Ameritrade Holding Corp Tiptree Financial, Inc Virtu Financial, Inc Virtus Investment Partners, Inc Voya Financial, Inc Waddell & Reed Financial, Inc (Class A) Westwood Holdings Group, Inc WisdomTree Investments, Inc World Acceptance Corp TOTAL DIVERSIFIED FINANCIALS $ 147 2,059,339 1,752,406 735,000 2,931,661 1,126,753 55,558 3,151,562 60,441 226,424 9,017,635 20,410,798 912,872 3,832,136 3,699,828 2,288,827 364,134 107,576 6,848,016 1,194,788 190,190 123,443 749,494 62,425 97,302 452,673 218,996 619,300 37,319 3,180,082 84,694 63,008 15,831,377 106,164 590,086 2,810,520 42,719 1,717,245 567,560 13,677,627 12,378,020 994,113 11,076,055 8,397,124 4,003,027 72,595 207,914 241,997 2,563,513 700,015 205,901 553,390 135,378 382,225,939 TIAA-CREF FUNDS - Equity Index Fund SHARES ENERGY - 6.4% 45,655 1,000 22,186 250,142 78,768 187,738 34,311 9,798 31,018 214,446 24,502 15,099 223,572 18,363 58,552 8,536 26,976 99,227 312,478 923,723 45,697 3,003 41,240 63,796 612,064 111,730 11,630 41,077 7,838 10,061 29,573 172,907 255,774 41,496 27,486 35,026 18,745 18,423 47,471 147,972 269,478 24,487 84,188 14,655 15,554 8,771 70,956 19,733 2,040,801 31,336 110,371 COMPANY VALUE * Abraxas Petroleum Corp Adams Resources & Energy, Inc Alon USA Energy, Inc Anadarko Petroleum Corp * Antero Resources Corp Apache Corp Archrock, Inc e Ardmore Shipping Corp e Atwood Oceanics, Inc Baker Hughes, Inc *,e Bill Barrett Corp e Bristow Group, Inc Cabot Oil & Gas Corp *,e California Resources Corp * Callon Petroleum Co e CARBO Ceramics, Inc * Carrizo Oil & Gas, Inc * Cheniere Energy, Inc *,e Chesapeake Energy Corp Chevron Corp Cimarex Energy Co *,e Clayton Williams Energy, Inc * Clean Energy Fuels Corp * Concho Resources, Inc ConocoPhillips e Consol Energy, Inc * Contango Oil & Gas Co *,e Continental Resources, Inc e CVR Energy, Inc * Dawson Geophysical Co Delek US Holdings, Inc e Denbury Resources, Inc * Devon Energy Corp DHT Holdings, Inc e Diamond Offshore Drilling, Inc * Diamondback Energy, Inc *,e Dorian LPG Ltd * Dril-Quip, Inc Energen Corp Ensco plc EOG Resources, Inc *,e EP Energy Corp EQT Corp * Era Group, Inc *,e Erin Energy Corp Evolution Petroleum Corp *,e EXCO Resources, Inc * Exterran Corp Exxon Mobil Corp * Fairmount Santrol Holdings, Inc * FMC Technologies, Inc $ 148 52,960 30,270 156,855 13,640,243 2,062,934 9,856,245 305,711 68,880 331,272 10,256,952 146,277 163,220 5,515,521 188,404 666,907 120,358 884,813 4,150,665 1,693,631 94,663,133 5,484,554 113,243 123,308 7,923,463 24,984,452 2,165,327 107,345 1,809,442 116,002 74,954 370,254 501,430 9,791,029 193,371 624,482 3,074,933 115,657 1,002,764 2,249,176 1,356,903 22,016,353 102,111 6,133,938 128,671 39,818 47,802 97,919 251,004 181,529,249 214,652 2,801,216 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 29,393 27,792 48,359 21,007 19,674 5,250 44,429 19,228 60,692 420,048 55,572 47,544 137,910 79,885 27,560 9,110 341 18,481 942,694 76,225 69,878 414,965 258,797 40,167 12,980 128,249 47,008 82,691 134,789 186,540 5,354 62,110 97,070 38,370 137,988 206,518 43,662 42,056 86,615 373,807 44,342 24,829 103,988 17,279 17,539 12,659 21,418 56,086 73,794 70,635 47,755 22,397 5,035 * e e e * *,e e * * e *,e * *,e * * *,e * * * * e * e * * e e *,e * * *,e * * * * * VALUE Forum Energy Technologies, Inc Frank’s International NV Frontline Ltd GasLog Ltd Gener8 Maritime, Inc Geospace Technologies Corp Golar LNG Ltd Green Plains Renewable Energy, Inc Gulfport Energy Corp Halliburton Co Helix Energy Solutions Group, Inc Helmerich & Payne, Inc Hess Corp HollyFrontier Corp Hornbeck Offshore Services, Inc Independence Contract Drilling, Inc Isramco, Inc Jones Energy, Inc (Class A) Kinder Morgan, Inc Kosmos Energy LLC Laredo Petroleum Holdings, Inc Marathon Oil Corp Marathon Petroleum Corp Matador Resources Co Matrix Service Co McDermott International, Inc Memorial Resource Development Corp Murphy Oil Corp Nabors Industries Ltd National Oilwell Varco, Inc Natural Gas Services Group, Inc Navios Maritime Acq Corp Newfield Exploration Co Newpark Resources, Inc Noble Corp plc Noble Energy, Inc Nordic American Tanker Shipping Northern Oil And Gas, Inc Oasis Petroleum, Inc Occidental Petroleum Corp Oceaneering International, Inc Oil States International, Inc Oneok, Inc Overseas Shipholding Group, Inc Pacific Ethanol, Inc Panhandle Oil and Gas, Inc (Class A) Par Petroleum Corp Parker Drilling Co Parsley Energy, Inc Patterson-UTI Energy, Inc PBF Energy, Inc PDC Energy, Inc PHI, Inc $ 149 479,988 342,397 383,970 280,864 104,666 86,625 753,516 436,091 1,765,530 18,339,296 441,242 2,946,302 7,398,871 2,030,677 219,929 45,823 26,973 68,380 19,164,969 423,049 700,178 5,660,123 10,194,014 847,122 215,079 664,330 704,180 2,268,214 1,213,101 6,034,569 134,439 95,028 4,203,131 242,498 1,018,351 7,376,823 537,043 166,542 658,274 27,934,597 1,236,255 767,713 4,657,623 220,998 119,791 207,101 321,270 116,098 2,103,867 1,369,613 1,066,847 1,226,684 97,276 TIAA-CREF FUNDS - Equity Index Fund SHARES 222,118 40,631 80,780 105,447 81,189 26,863 3,235 58,289 14,006 17,417 65,300 37,937 38,250 28,765 680,628 82,818 7,758 209,981 21,549 29,038 34,423 191,225 342,655 73,622 101,034 76,243 21,246 79,821 16,145 59,059 35,635 23,034 168,506 25,671 31,833 230,099 18,049 436,513 32,983 9,243 98,790 18,561 346,747 33,297 134,438 COMPANY VALUE Phillips 66 * Pioneer Energy Services Corp Pioneer Natural Resources Co Questar Market Resources, Inc Range Resources Corp *,e Renewable Energy Group, Inc * Rex American Resources Corp * Rice Energy, Inc * RigNet, Inc * Ring Energy, Inc Rowan Cos plc *,e RPC, Inc * RSP Permian, Inc *,e Sanchez Energy Corp Schlumberger Ltd Scorpio Tankers, Inc *,e SEACOR Holdings, Inc *,e Seadrill Ltd SemGroup Corp e Ship Finance International Ltd e SM Energy Co *,e Southwestern Energy Co Spectra Energy Corp Superior Energy Services * Synergy Resources Corp Targa Resources Investments, Inc e Teekay Corp e Teekay Tankers Ltd (Class A) Tesco Corp Tesoro Corp * Tetra Technologies, Inc e Tidewater, Inc e Transocean Ltd (NYSE) * Unit Corp US Silica Holdings Inc Valero Energy Corp * W&T Offshore, Inc * Weatherford International Ltd Western Refining, Inc * Westmoreland Coal Co *,e Whiting Petroleum Corp * Willbros Group, Inc Williams Cos, Inc World Fuel Services Corp * WPX Energy, Inc TOTAL ENERGY $ FOOD & STAPLES RETAILING - 2.0% 13,072 Andersons, Inc 17,822 Casey’s General Stores, Inc 9,311 * Chefs’ Warehouse Holdings, Inc 215,274 Costco Wholesale Corp 528,018 CVS Health Corp 16,894,295 127,988 13,132,405 1,919,135 3,272,729 261,914 212,863 1,359,299 167,372 138,291 995,172 549,707 1,375,087 182,370 54,804,167 394,214 438,482 623,644 624,059 438,474 933,896 2,788,060 12,325,300 1,175,743 657,731 2,840,814 131,725 235,472 106,718 4,497,343 214,166 98,355 1,851,881 320,887 1,097,283 12,029,576 35,917 2,479,394 687,696 88,271 728,082 38,050 8,311,526 1,584,937 1,343,036 715,131,529 483,403 2,379,950 150,373 35,998,118 48,957,829 150 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 5,784 465,970 5,067 13,206 9,131 518,611 9,346 17,874 68,237 122,309 256,975 23,986 16,907 2,593 425,754 749,398 4,144 156,050 *,e * * * *,e * * * VALUE Ingles Markets, Inc (Class A) Kroger Co Natural Grocers by Vitamin C Performance Food Group Co Pricesmart, Inc Rite Aid Corp Smart & Final Stores, Inc Spartan Stores, Inc Sprouts Farmers Market, Inc Supervalu, Inc Sysco Corp United Natural Foods, Inc US Foods Holding Corp Village Super Market (Class A) Walgreens Boots Alliance, Inc Wal-Mart Stores, Inc Weis Markets, Inc Whole Foods Market, Inc TOTAL FOOD & STAPLES RETAILING $ FOOD, BEVERAGE & TOBACCO - 5.2% 1,581 Alico, Inc 2,499 * Alliance One International, Inc 959,469 Altria Group, Inc 14,217 *,e Amplify Snack Brands, Inc 281,735 Archer Daniels Midland Co 30,187 B&G Foods, Inc (Class A) 29,317 * Blue Buffalo Pet Products, Inc 4,107 *,e Boston Beer Co, Inc (Class A) 13,324 e Brown-Forman Corp 48,678 Brown-Forman Corp (Class B) 67,929 Bunge Ltd 7,234 Calavo Growers, Inc 14,903 e Cal-Maine Foods, Inc 86,966 Campbell Soup Co 2,067 e Coca-Cola Bottling Co Consolidated 1,910,672 Coca-Cola Co 206,920 ConAgra Foods, Inc 81,459 Constellation Brands, Inc (Class A) 3,993 * Craft Brewers Alliance, Inc 79,478 * Darling International, Inc 51,471 e Dean Foods Co 90,429 Dr Pepper Snapple Group, Inc 3,496 * Farmer Bros Co 84,587 Flowers Foods, Inc 19,090 Fresh Del Monte Produce, Inc 8,938 *,e Freshpet, Inc 291,268 General Mills, Inc 46,993 * Hain Celestial Group, Inc 70,214 Hershey Co 132,340 Hormel Foods Corp 32,359 Ingredion, Inc 5,854 *,e Inventure Foods, Inc 224,593 15,931,514 69,367 362,373 711,122 3,630,277 128,881 563,031 1,578,322 596,868 13,308,735 1,198,820 408,473 82,043 33,741,005 54,683,572 214,120 4,756,404 220,159,193 46,766 43,233 64,956,051 202,734 12,700,614 1,557,347 752,861 751,088 1,407,814 4,779,693 4,472,445 475,853 624,436 5,415,373 294,361 83,362,619 9,675,579 13,410,595 46,878 1,254,163 950,155 8,908,161 107,222 1,555,555 1,085,266 78,118 20,939,257 2,480,760 7,776,903 4,942,899 4,311,513 50,461 151 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 7,308 56,696 6,282 121,601 294,734 11,079 10,815 1,889 4,909 60,727 91,491 4,975 82,334 732,577 73,282 5,601 13,153 715,749 763,552 28,735 56,368 31,413 9,974 409,813 9,702 127 3,366 39,152 9,335 8,246 26,731 142,101 9,195 42,850 84,913 * * e * * * e * * e * * *,e e * e * VALUE J&J Snack Foods Corp J.M. Smucker Co John B. Sanfilippo & Son, Inc Kellogg Co Kraft Heinz Co Lancaster Colony Corp Landec Corp Lifeway Foods, Inc Limoneira Co McCormick & Co, Inc Mead Johnson Nutrition Co Mgp Ingredients, Inc Molson Coors Brewing Co (Class B) Mondelez International, Inc Monster Beverage Corp National Beverage Corp Omega Protein Corp PepsiCo, Inc Philip Morris International, Inc Pilgrim’s Pride Corp Pinnacle Foods, Inc Post Holdings, Inc Primo Water Reynolds American, Inc Sanderson Farms, Inc Seaboard Corp Seneca Foods Corp Snyder’s-Lance, Inc Synutra International, Inc Tootsie Roll Industries, Inc TreeHouse Foods, Inc Tyson Foods, Inc (Class A) Universal Corp Vector Group Ltd WhiteWave Foods Co (Class A) TOTAL FOOD, BEVERAGE & TOBACCO $ HEALTH CARE EQUIPMENT & SERVICES - 5.3% 8,642 *,e AAC Holdings, Inc 10,727 Abaxis, Inc 711,902 Abbott Laboratories 20,289 * Abiomed, Inc 35,682 *,e Acadia Healthcare Co, Inc 33,412 * Accuray, Inc 14,051 Aceto Corp 3,135 * Addus HomeCare Corp 6,033 *,e Adeptus Health, Inc 168,110 Aetna Inc 16,272 *,e Air Methods Corp 42,132 * Alere, Inc 36,573 * Align Technology, Inc 90,925 * Allscripts Healthcare Solutions, Inc 3,624 * Almost Family, Inc 888,726 8,740,255 293,181 10,057,619 25,462,070 1,439,827 124,372 18,871 86,840 6,209,336 8,160,997 213,925 8,411,241 32,218,736 11,771,288 321,273 296,206 77,959,381 76,553,724 668,089 2,830,237 2,722,565 119,489 20,515,239 849,798 372,110 131,846 1,341,348 32,579 306,174 2,758,372 10,458,634 545,355 946,557 4,711,822 577,954,855 195,914 530,557 31,857,614 2,393,493 2,016,033 183,098 361,251 59,126 268,891 19,367,953 541,695 1,579,950 3,260,483 1,283,861 144,199 152 TIAA-CREF FUNDS - Equity Index Fund SHARES 15,503 4,344 87,100 22,969 26,266 6,075 10,989 6,839 129,192 19,059 15,204 618 5,668 11,914 35,941 248,104 102,480 29,228 11,531 655,405 89,907 17,379 12,254 159,809 15,265 14,031 81,763 143,981 49,706 7,648 123,921 6,476 55,890 5,561 18,046 13,375 23,821 4,880 6,175 13,339 15,190 6,000 11,463 81,923 112,466 40,117 21,692 103,186 35,369 23,345 2,354 90,833 7,148 COMPANY VALUE * Amedisys, Inc * American Renal Associates Holdings, Inc AmerisourceBergen Corp * AMN Healthcare Services, Inc * Amsurg Corp Analogic Corp * Angiodynamics, Inc * Anika Therapeutics, Inc Anthem, Inc *,e athenahealth, Inc * AtriCure, Inc Atrion Corp *,e Avinger, Inc * AxoGen, Inc Bard (C.R.), Inc Baxter International, Inc Becton Dickinson & Co *,e BioScrip, Inc * BioTelemetry, Inc * Boston Scientific Corp * Brookdale Senior Living, Inc Cantel Medical Corp * Capital Senior Living Corp Cardinal Health, Inc * Cardiovascular Systems, Inc * Castlight Health, Inc * Centene Corp * Cerner Corp *,e Cerus Corp Chemed Corp Cigna Corp * Civitas Solutions, Inc *,e Community Health Systems, Inc e Computer Programs & Systems, Inc *,e ConforMIS, Inc Conmed Corp Cooper Cos, Inc * Corvel Corp * Cotiviti Holdings, Inc * Cross Country Healthcare, Inc CryoLife, Inc * Cutera, Inc * Cynosure, Inc (Class A) * DaVita, Inc DENTSPLY SIRONA, Inc * DexCom, Inc *,e Diplomat Pharmacy, Inc * Edwards Lifesciences Corp *,e Endologix, Inc Ensign Group, Inc * Entellus Medical, Inc * Envision Healthcare Holdings, Inc * Evolent Health, Inc $ 153 830,186 103,604 7,420,049 971,589 1,970,213 510,421 182,307 341,403 16,968,077 2,435,550 230,949 294,662 28,000 80,062 8,041,080 11,913,954 18,036,480 74,824 219,320 15,913,233 1,660,582 1,163,524 238,708 13,360,032 299,347 52,336 5,768,380 8,982,975 367,327 1,125,327 15,980,852 138,781 713,715 220,438 125,781 543,560 4,346,618 220,576 149,064 195,016 221,318 64,740 630,006 6,352,309 7,202,323 3,699,991 779,394 11,816,861 499,057 501,917 42,137 2,233,583 168,264 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 5,211 312,592 19,474 8,056 34,230 24,777 26,386 151,875 20,916 44,560 12,669 15,590 8,477 40,076 32,091 40,771 132,771 72,998 8,863 44,572 7,610 65,678 7,968 28,625 28,020 14,944 16,794 18,982 13,425 11,172 1,187 3,680 12,177 40,644 51,218 4,554 4,833 7,358 19,709 14,401 20,112 109,087 26,617 44,714 688,926 20,456 20,749 20,913 5,475 3,676 15,835 20,247 11,357 * * * * * * * * * * * * * * * * * * * * *,e * * * * *,e *,e *,e * * * * * * * * * * * * *,e VALUE Exactech, Inc Express Scripts Holding Co GenMark Diagnostics, Inc Glaukos Corp Globus Medical, Inc Haemonetics Corp Halyard Health, Inc HCA Holdings, Inc HealthEquity, Inc Healthsouth Corp HealthStream, Inc Healthways, Inc HeartWare International, Inc Henry Schein, Inc Hill-Rom Holdings, Inc HMS Holdings Corp Hologic, Inc Humana, Inc ICU Medical, Inc Idexx Laboratories, Inc Imprivata, Inc IMS Health Holdings, Inc Inogen Inc Inovalon Holdings, Inc Insulet Corp Integer Holding Corp Integra LifeSciences Holdings Corp Intuitive Surgical, Inc Invacare Corp InVivo Therapeutics Holdings Corp iRadimed Corp IRIDEX Corp K2M Group Holdings, Inc Kindred Healthcare, Inc Laboratory Corp of America Holdings Landauer, Inc LeMaitre Vascular, Inc LHC Group, Inc LifePoint Hospitals, Inc Magellan Health Services, Inc Masimo Corp McKesson Corp Medidata Solutions, Inc MEDNAX, Inc Medtronic plc Meridian Bioscience, Inc Merit Medical Systems, Inc Molina Healthcare, Inc National Healthcare Corp National Research Corp Natus Medical, Inc Neogen Corp Nevro Corp $ 154 140,853 23,778,873 207,398 281,638 785,578 751,239 912,692 11,714,119 617,440 1,918,308 306,970 262,536 491,157 7,252,954 1,714,622 810,527 5,110,356 12,595,805 1,034,844 4,180,408 145,503 1,971,654 428,200 532,997 991,628 331,906 1,415,230 13,206,916 154,656 72,395 22,980 59,653 204,087 498,295 7,147,984 189,993 83,128 333,023 1,166,379 986,036 1,065,333 21,223,967 1,414,694 3,081,242 60,370,585 396,028 486,357 1,188,068 353,685 55,214 622,791 1,116,622 939,224 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 25,328 24,605 23,959 30,681 17,112 23,565 7,923 33,929 8,842 40,956 12,343 15,541 26,811 10,798 5,733 23,815 69,260 11,443 13,972 14,581 63,640 21,277 22,692 5,783 51,697 13,889 20,854 136,174 14,817 161,400 7,270 13,245 5,430 7,897 37,057 9,982 22,591 40,423 39,361 10,733 461,444 28,250 41,824 5,830 1,453 50,173 8,154 38,049 46,934 10,460 21,676 35,051 55,220 *,e *,e * * * * * *,e * * * * * * * * *,e * * * *,e * *,e *,e * * * * *,e * *,e * * * * * * * * VALUE Nobilis Health Corp Novocure Ltd NuVasive, Inc NxStage Medical, Inc Omnicell, Inc OraSure Technologies, Inc Orthofix International NV Owens & Minor, Inc Oxford Immunotec Global plc Patterson Cos, Inc Penumbra, Inc PharMerica Corp Premier, Inc Press Ganey Holdings, Inc Providence Service Corp Quality Systems, Inc Quest Diagnostics, Inc Quidel Corp Quorum Health Corp RadNet, Inc Resmed, Inc Rockwell Medical, Inc RTI Biologics, Inc Second Sight Medical Products, Inc Select Medical Holdings Corp Senseonics Holdings, Inc Spectranetics Corp St. Jude Medical, Inc Staar Surgical Co Stryker Corp Surgery Partners, Inc Surgical Care Affiliates, Inc SurModics, Inc Tandem Diabetes Care, Inc Team Health Holdings, Inc Teladoc, Inc Teleflex, Inc Tenet Healthcare Corp TransEnterix, Inc Triple-S Management Corp (Class B) UnitedHealth Group, Inc Universal American Corp Universal Health Services, Inc (Class B) US Physical Therapy, Inc Utah Medical Products, Inc Varian Medical Systems, Inc Vascular Solutions, Inc VCA Antech, Inc Veeva Systems, Inc Vocera Communications, Inc WellCare Health Plans, Inc West Pharmaceutical Services, Inc Wright Medical Group NV $ 155 72,185 185,030 1,490,250 678,357 661,892 160,713 375,550 1,211,605 71,090 2,021,588 843,150 412,769 876,720 431,056 277,305 292,448 5,981,294 260,900 152,155 87,632 4,383,523 171,280 73,749 23,363 594,515 46,111 483,396 11,307,889 101,348 18,767,592 131,805 688,872 148,945 52,357 1,513,408 174,086 4,073,383 1,237,348 53,137 266,715 66,078,781 216,395 5,417,463 347,585 94,547 4,753,390 374,024 2,714,416 1,783,023 154,703 2,314,997 2,813,894 1,210,975 TIAA-CREF FUNDS - Equity Index Fund SHARES 17,038 86,842 COMPANY VALUE *,e Zeltiq Aesthetics, Inc Zimmer Holdings, Inc TOTAL HEALTH CARE EQUIPMENT & SERVICES HOUSEHOLD & PERSONAL PRODUCTS - 1.8% 206,598 Avon Products, Inc 3,706 * Central Garden & Pet Co 23,182 * Central Garden and Pet Co (Class A) 61,738 Church & Dwight Co, Inc 61,910 Clorox Co 425,457 Colgate-Palmolive Co 21,957 e Coty, Inc 28,503 Edgewell Personal Care Co 10,401 * Elizabeth Arden, Inc 28,336 Energizer Holdings, Inc 105,544 Estee Lauder Cos (Class A) 36,554 *,e Herbalife Ltd 52,500 * HRG Group, Inc 7,838 Inter Parfums, Inc 176,099 Kimberly-Clark Corp 6,950 * Lifevantage Corp 5,231 Medifast, Inc 3,678 e Natural Health Trends Corp 3,786 Nature’s Sunshine Products, Inc 25,742 Nu Skin Enterprises, Inc (Class A) 3,287 * Nutraceutical International Corp 2,506 Oil-Dri Corp of America 4,306 e Orchids Paper Products Co 1,316,698 Procter & Gamble Co 5,661 * Revlon, Inc (Class A) 12,926 e Spectrum Brands, Inc 2,534 * USANA Health Sciences, Inc WD-40 Co 6,944 TOTAL HOUSEHOLD & PERSONAL PRODUCTS INSURANCE - 3.9% 200,353 7,540 42,829 183,146 23,053 39,077 33,354 543,789 3,548 9,124 43,231 128,807 56,029 13,975 85,118 29,450 30,221 $ 578,440 11,388,460 598,677,294 840,854 89,907 528,318 6,065,141 8,114,544 31,666,764 589,985 2,411,639 144,574 1,460,154 9,805,038 2,486,037 781,725 255,048 22,813,625 97,230 184,236 123,544 44,675 1,374,623 84,279 93,850 132,237 112,696,182 200,909 1,664,481 347,969 798,421 205,895,989 Aflac, Inc * Alleghany Corp Allied World Assurance Co Holdings Ltd Allstate Corp * AMBAC Financial Group, Inc American Equity Investment Life Holding Co American Financial Group, Inc American International Group, Inc American National Insurance Co Amerisafe, Inc Amtrust Financial Services, Inc Aon plc * Arch Capital Group Ltd Argo Group International Holdings Ltd Arthur J. Gallagher & Co Aspen Insurance Holdings Ltd Assurant, Inc 14,481,515 4,097,990 1,755,561 12,514,366 419,104 622,497 2,438,177 29,603,873 405,714 534,028 1,031,924 13,791,365 4,069,386 725,163 4,186,954 1,353,522 2,508,645 156 TIAA-CREF FUNDS - Equity Index Fund SHARES 65,960 4,444 45,995 3,677 925,380 3,128 56,977 225,708 72,745 23,451 15,393 84,431 5,375 3,405 8,929 2,877 15,444 31,320 5,538 12,036 20,486 10,756 5,754 5,606 43,516 120,490 277,651 14,101 5,627 20,699 187,094 3,640 12,674 19,686 3,159 5,178 737 6,321 19,560 114,672 137,152 28,819 6,850 254,189 63,072 15,410 452,609 23,494 3,801 1,147 7,450 117,277 9,711 COMPANY VALUE Assured Guaranty Ltd * Atlas Financial Holdings, Inc Axis Capital Holdings Ltd Baldwin & Lyons, Inc (Class B) * Berkshire Hathaway, Inc (Class B) Blue Capital Reinsurance Holdings Ltd Brown & Brown, Inc Chubb Ltd Cincinnati Financial Corp *,e Citizens, Inc (Class A) CNA Financial Corp Conseco, Inc Crawford & Co (Class B) Donegal Group, Inc (Class A) * eHealth, Inc EMC Insurance Group, Inc Employers Holdings, Inc Endurance Specialty Holdings Ltd * Enstar Group Ltd Erie Indemnity Co (Class A) Everest Re Group Ltd FBL Financial Group, Inc (Class A) Federated National Holding Co e Fidelity & Guaranty Life First American Financial Corp FNF Group * Genworth Financial, Inc (Class A) * Greenlight Capital Re Ltd (Class A) * Hallmark Financial Services Hanover Insurance Group, Inc Hartford Financial Services Group, Inc e HCI Group, Inc Heritage Insurance Holdings, Inc Horace Mann Educators Corp Independence Holding Co Infinity Property & Casualty Corp Investors Title Co James River Group Holdings Ltd Kemper Corp Lincoln National Corp Loews Corp Maiden Holdings Ltd * Markel Corp Marsh & McLennan Cos, Inc * MBIA, Inc Mercury General Corp Metlife, Inc National General Holdings Corp National Interstate Corp National Western Life Group, Inc Navigators Group, Inc Old Republic International Corp OneBeacon Insurance Group Ltd (Class A) $ 157 1,767,068 76,481 2,556,402 97,404 133,504,573 55,835 2,088,777 28,272,184 5,434,051 195,816 489,959 1,466,566 59,017 55,059 85,272 79,779 440,463 2,118,172 922,575 1,175,797 3,872,059 670,852 120,546 122,547 1,819,404 4,538,858 794,082 290,904 59,702 1,704,356 7,455,696 109,782 157,031 672,867 54,998 424,803 74,068 212,765 670,321 5,007,726 5,668,492 402,601 6,498,938 16,712,927 532,328 853,252 19,344,509 484,681 123,266 216,944 697,842 2,272,828 136,051 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 3,585 27,727 128,589 28,150 287,835 208,695 31,253 20,478 20,429 6,977 28,054 6,046 11,853 11,100 34,592 58,072 144,966 13,469 3,342 10,606 6,793 15,924 104,808 36,138 46,818 2,553 137,353 MATERIALS - 3.3% 13,815 1,694 10,787 95,875 114,622 54,044 644,860 52,901 11,715 4,313 30,367 30,353 42,007 78,971 34,524 15,361 83,814 44,396 59,088 19,062 29,975 24,508 22,398 VALUE *,e Patriot National, Inc e Primerica, Inc Principal Financial Group ProAssurance Corp Progressive Corp Prudential Financial, Inc Reinsurance Group of America, Inc (Class A) RenaissanceRe Holdings Ltd RLI Corp Safety Insurance Group, Inc Selective Insurance Group, Inc State Auto Financial Corp State National Cos, Inc Stewart Information Services Corp * Third Point Reinsurance Ltd Torchmark Corp Travelers Cos, Inc *,e Trupanion, Inc * United America Indemnity Ltd United Fire & Casualty Co United Insurance Holdings Corp e Universal Insurance Holdings, Inc UnumProvident Corp Validus Holdings Ltd W.R. Berkley Corp White Mountains Insurance Group Ltd XL Group Ltd TOTAL INSURANCE *,e *,e e * * * $ A. Schulman, Inc AEP Industries, Inc AgroFresh Solutions, Inc Air Products & Chemicals, Inc AK Steel Holding Corp Albemarle Corp Alcoa, Inc Allegheny Technologies, Inc American Vanguard Corp Ampco-Pittsburgh Corp Aptargroup, Inc Ashland, Inc Avery Dennison Corp Axalta Coating Systems Ltd Axiall Corp Balchem Corp Ball Corp Bemis Co, Inc Berry Plastics Group, Inc Boise Cascade Co Cabot Corp Calgon Carbon Corp Carpenter Technology Corp 28,286 1,428,218 5,996,105 1,454,229 9,357,516 15,712,647 3,101,860 2,406,575 1,392,645 444,435 1,098,595 136,519 129,435 475,191 435,513 3,592,915 16,847,949 203,113 100,360 445,452 107,737 346,188 3,501,635 1,786,301 2,724,339 2,096,830 4,753,787 438,363,435 404,918 136,299 69,576 14,325,642 751,920 4,548,883 6,848,413 942,167 174,319 56,975 2,374,092 3,437,174 3,271,925 2,254,622 1,127,209 981,107 5,923,135 2,265,972 2,422,608 517,915 1,459,483 338,210 879,121 158 TIAA-CREF FUNDS - Equity Index Fund SHARES 69,841 28,403 114,251 4,817 95,430 31,102 8,163 102,121 15,502 86,727 53,034 16,376 64,913 4,672 28,645 560,148 22,857 71,899 127,665 428,574 38,483 48,283 24,560 63,324 621,644 9,761 33,638 25,837 150,013 2,266 13,180 24,317 1,004 4,200 5,132 35,395 186,110 96,789 20,823 10,340 11,495 37,635 200,806 7,002 42,573 3,950 9,009 13,579 8,381 68,731 16,521 174,021 31,604 VALUE COMPANY Celanese Corp (Series A) *,e Century Aluminum Co CF Industries Holdings, Inc Chase Corp Chemours Co * Chemtura * Clearwater Paper Corp *,e Cliffs Natural Resources, Inc * Codexis, Inc *,e Coeur Mining, Inc Commercial Metals Co e Compass Minerals International, Inc * Crown Holdings, Inc Deltic Timber Corp Domtar Corp Dow Chemical Co Eagle Materials, Inc Eastman Chemical Co Ecolab, Inc EI du Pont de Nemours & Co * Ferro Corp Ferroglobe plc *,e Flotek Industries, Inc FMC Corp Freeport-McMoRan Copper & Gold, Inc (Class B) FutureFuel Corp * GCP Applied Technologies, Inc *,e Gold Resource Corp Graphic Packaging Holding Co e Greif, Inc Greif, Inc (Class A) H.B. Fuller Co * Handy & Harman Ltd Hawkins, Inc Haynes International, Inc * Headwaters, Inc Hecla Mining Co Huntsman Corp * Ingevity Corp Innophos Holdings, Inc Innospec, Inc International Flavors & Fragrances, Inc International Paper Co Kaiser Aluminum Corp Kapstone Paper and Packaging Corp KMG Chemicals, Inc * Koppers Holdings, Inc * Kraton Polymers LLC e Kronos Worldwide, Inc * Louisiana-Pacific Corp *,e LSB Industries, Inc LyondellBasell Industries AF S.C.A Martin Marietta Materials, Inc $ 159 4,429,316 215,579 2,819,715 291,862 887,499 873,655 513,534 807,777 67,434 1,328,658 877,182 1,139,606 3,438,442 321,994 1,127,754 30,063,143 1,918,845 4,689,972 15,112,983 29,644,464 498,740 449,998 348,752 3,010,423 8,056,506 111,861 926,054 145,204 2,046,177 120,030 528,913 1,132,200 27,981 179,508 194,913 704,007 1,207,854 1,496,358 796,896 445,240 577,854 5,014,864 9,198,923 580,116 607,942 108,585 284,865 406,148 47,353 1,388,366 191,313 13,096,820 6,404,551 TIAA-CREF FUNDS - Equity Index Fund 12,771 15,511 213,789 171,350 8,563 10,894 7,378 3,613 258,507 153,938 80,317 5,609 23,656 77,270 45,738 20,128 80,178 37,351 129,560 139,864 9,880 25,274 10,053 33,032 31,749 60,725 6,509 13,851 14,709 22,033 94,347 21,592 39,146 19,159 46,072 48,093 113,653 10,492 59,460 30,802 27,754 147,362 22,283 8,634 10,895 18,488 45,238 3,086 790 65,627 8,462 37,223 63,148 VALUE COMPANY SHARES * * * *,e * *,e e * * * * e *,e Materion Corp Minerals Technologies, Inc Monsanto Co Mosaic Co Multi Packaging Solutions International Ltd Myers Industries, Inc Neenah Paper, Inc NewMarket Corp Newmont Mining Corp Nucor Corp Olin Corp Olympic Steel, Inc Omnova Solutions, Inc Owens-Illinois, Inc Packaging Corp of America PH Glatfelter Co Platform Specialty Products Corp PolyOne Corp PPG Industries, Inc Praxair, Inc Quaker Chemical Corp Rayonier Advanced Materials, Inc Real Industry, Inc Reliance Steel & Aluminum Co Royal Gold, Inc RPM International, Inc Ryerson Holding Corp Schnitzer Steel Industries, Inc (Class A) Schweitzer-Mauduit International, Inc Scotts Miracle-Gro Co (Class A) Sealed Air Corp Sensient Technologies Corp Sherwin-Williams Co Silgan Holdings, Inc Sonoco Products Co Southern Copper Corp (NY) Steel Dynamics, Inc Stepan Co Stillwater Mining Co Summit Materials, Inc SunCoke Energy, Inc Tahoe Resources, Inc TimkenSteel Corp Trecora Resources Tredegar Corp Trinseo S.A. Tronox Ltd UFP Technologies, Inc United States Lime & Minerals, Inc United States Steel Corp US Concrete, Inc Valspar Corp Vulcan Materials Co $ 160 337,282 1,012,248 22,826,252 4,626,450 124,335 162,865 556,523 1,546,147 11,374,308 8,257,234 1,678,625 160,754 224,022 1,451,903 3,416,171 415,844 737,638 1,309,900 13,566,228 16,299,751 945,121 348,023 78,816 2,591,030 2,684,060 3,294,938 93,990 269,956 556,147 1,624,934 4,451,291 1,594,137 11,733,231 949,903 2,346,447 1,249,937 3,048,173 674,741 909,738 681,956 211,763 2,292,953 223,276 98,687 192,841 920,517 293,595 70,639 49,770 1,804,086 545,799 3,963,133 7,829,089 TIAA-CREF FUNDS - Equity Index Fund SHARES 17,472 136,033 20,425 34,484 MEDIA - 2.9% 10,427 29,130 2,284 11,567 197,632 31,564 98,474 48,764 16,417 1,188,811 444 73,258 123,084 103,299 36,521 12,577 44,878 12,862 28,996 52,627 19,954 31,424 4,651 28,760 196,442 20,543 6,400 17,411 12,406 50,549 15,188 22,228 50,941 97,255 45,486 63,868 6,029 9,468 24,894 52,743 14,647 30,657 30,224 27,474 59,194 176,857 VALUE COMPANY Westlake Chemical Corp WestRock Co * Worthington Industries, Inc WR Grace & Co TOTAL MATERIALS $ AMC Entertainment Holdings, Inc * AMC Networks, Inc Cable One, Inc * Carmike Cinemas, Inc CBS Corp (Class B) *,e Central European Media Enterprises Ltd (Class A) (NASDAQ) * Charter Communications, Inc Cinemark Holdings, Inc Clear Channel Outdoor Holdings, Inc (Class A) Comcast Corp (Class A) *,e Daily Journal Corp * Discovery Communications, Inc (Class A) * Discovery Communications, Inc (Class C) * DISH Network Corp (Class A) * DreamWorks Animation SKG, Inc (Class A) Entercom Communications Corp (Class A) Entravision Communications Corp (Class A) *,e Eros International plc EW Scripps Co (Class A) Gannett Co, Inc *,e Global Eagle Entertainment, Inc * Gray Television, Inc * Hemisphere Media Group, Inc * Imax Corp Interpublic Group of Cos, Inc John Wiley & Sons, Inc (Class A) *,e Liberty Braves Group (Class A) *,e Liberty Braves Group (Class C) * Liberty Broadband Corp (Class A) * Liberty Broadband Corp (Class C) * Liberty Media Group (Class A) * Liberty Media Group (Class C) * Liberty SiriusXM Group (Class A) * Liberty SiriusXM Group (Class C) e Lions Gate Entertainment Corp * Live Nation, Inc * Loral Space & Communications, Inc * Madison Square Garden Co e MDC Partners, Inc * Media General, Inc Meredith Corp * MSG Networks, Inc National CineMedia, Inc New Media Investment Group, Inc New York Times Co (Class A) News Corp 161 799,169 5,837,176 905,032 2,581,817 375,246,805 306,762 1,612,637 1,196,542 356,495 10,320,343 72,913 23,128,588 1,833,526 114,755 79,947,540 101,410 1,838,043 3,020,481 5,518,233 1,496,265 183,750 325,814 223,927 491,772 671,520 163,623 311,098 59,021 908,528 4,529,953 1,185,331 105,536 278,228 779,221 3,200,257 344,768 498,352 1,821,141 3,428,239 909,265 1,751,261 211,799 1,730,656 317,647 927,749 797,969 492,045 470,890 485,191 768,338 2,293,835 TIAA-CREF FUNDS - Equity Index Fund SHARES 59,669 14,374 119,498 4,994 7,081 39,382 1,443 12,520 39,425 32,109 901,211 41,255 106,218 147,883 385,530 49,629 3,579 33,656 12,142 532,391 239,273 7,627 168,729 795,762 17,813 VALUE COMPANY News Corp (Class B) e Nexstar Broadcasting Group, Inc (Class A) Omnicom Group, Inc *,e Radio One, Inc * Reading International, Inc e Regal Entertainment Group (Class A) Saga Communications, Inc Scholastic Corp Scripps Networks Interactive (Class A) Sinclair Broadcast Group, Inc (Class A) *,e Sirius XM Holdings, Inc * Starz-Liberty Capital TEGNA, Inc Thomson Corp Time Warner, Inc Time, Inc * Townsquare Media, Inc Tribune Co * tronc, Inc Twenty-First Century Fox, Inc Twenty-First Century Fox, Inc (Class B) Viacom, Inc Viacom, Inc (Class B) Walt Disney Co World Wrestling Entertainment, Inc (Class A) TOTAL MEDIA $ PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 9.0% 797,283 AbbVie, Inc 44,127 *,e Acadia Pharmaceuticals, Inc 11,534 *,e Accelerate Diagnostics, Inc 13,351 * Acceleron Pharma, Inc 18,680 *,e AcelRx Pharmaceuticals, Inc 57,304 * Achillion Pharmaceuticals, Inc 4,210 *,e Aclaris Therapeutics, Inc 20,949 * Acorda Therapeutics, Inc 8,387 *,e Adamas Pharmaceuticals, Inc 17,546 *,e Aduro Biotech, Inc 21,624 *,e Advaxis, Inc 12,037 * Adverum Biotechnologies, Inc 11,588 *,e Aerie Pharmaceuticals, Inc 32,182 *,e Agenus, Inc 4,678 * Agile Therapeutics, Inc 151,984 Agilent Technologies, Inc 13,819 *,e Agios Pharmaceuticals, Inc 12,929 *,e Aimmune Therapeutics, Inc 22,014 * Akebia Therapeutics, Inc 40,640 * Akorn, Inc 12,928 *,e Albany Molecular Research, Inc 22,587 *,e Alder Biopharmaceuticals, Inc 106,325 * Alexion Pharmaceuticals, Inc 77,776 * Alkermes plc 194,983 * Allergan plc 801,951 726,606 9,833,490 15,981 97,364 926,265 59,192 514,572 2,604,415 893,272 3,956,316 1,247,139 2,326,174 6,227,353 29,550,874 810,442 29,276 1,246,955 182,009 14,182,896 6,467,549 378,604 7,672,108 76,353,364 351,807 328,987,231 52,804,053 1,634,464 226,643 452,866 67,808 474,477 82,937 529,591 126,644 257,575 180,344 43,574 201,052 178,610 32,746 7,311,950 625,033 155,019 197,025 1,391,107 186,680 725,043 13,673,395 3,881,022 49,320,950 162 TIAA-CREF FUNDS - Equity Index Fund SHARES 36,523 16,789 370,121 61,430 16,975 22,539 15,209 3,304 21,009 5,978 12,806 7,258 101,870 86,016 70,415 26,110 4,375 11,438 34,748 2,238 12,006 4,815 10,302 30,549 108,221 79,341 39,348 11,446 1,907 19,171 21,816 17,515 9,768 818,806 54,276 15,433 9,334 48,477 380,000 54,616 4,292 18,786 35,424 22,808 11,750 19,935 13,925 2,186 15,457 14,351 6,498 6,440 35,675 VALUE COMPANY *,e Alnylam Pharmaceuticals, Inc * AMAG Pharmaceuticals, Inc Amgen, Inc * Amicus Therapeutics, Inc * Amphastar Pharmaceuticals, Inc * Ampio Pharmaceuticals, Inc *,e Anavex Life Sciences Corp *,e ANI Pharmaceuticals, Inc *,e Anthera Pharmaceuticals, Inc * Applied Genetic Technologies Corp *,e Aratana Therapeutics, Inc * Ardelyx, Inc *,e Arena Pharmaceuticals, Inc *,e Ariad Pharmaceuticals, Inc *,e Array Biopharma, Inc *,e Arrowhead Research Corp *,e Asterias Biotherapeutics, Inc *,e Atara Biotherapeutics, Inc *,e Athersys, Inc *,e Avexis, Inc * Axovant Sciences Ltd *,e Axsome Therapeutics, Inc *,e Bellicum Pharmaceuticals, Inc * BioCryst Pharmaceuticals, Inc * Biogen Idec, Inc * BioMarin Pharmaceutical, Inc *,e Bio-Path Holdings, Inc * Bio-Rad Laboratories, Inc (Class A) * Biospecifics Technologies Corp Bio-Techne Corp * BioTime, Inc *,e Bluebird Bio, Inc *,e Blueprint Medicines Corp Bristol-Myers Squibb Co Bruker BioSciences Corp * Cambrex Corp *,e Cara Therapeutics Inc * Catalent, Inc * Celgene Corp *,e Celldex Therapeutics, Inc *,e Cellular Biomedicine Group, Inc *,e Cempra, Inc * Cepheid, Inc * Charles River Laboratories International, Inc *,e ChemoCentryx, Inc * Chimerix, Inc *,e ChromaDex Corp * Cidara Therapeutics, Inc *,e Clovis Oncology, Inc *,e Coherus Biosciences, Inc *,e Collegium Pharmaceutical, Inc * Concert Pharmaceuticals Inc *,e Corcept Therapeutics, Inc $ 163 2,486,486 445,412 63,671,916 412,810 274,655 22,314 58,403 200,222 64,708 89,849 97,198 77,515 170,123 818,012 263,352 155,616 13,081 274,512 77,141 84,216 177,689 37,653 163,596 110,587 31,376,515 7,888,082 66,892 1,660,700 77,234 2,155,204 68,066 1,001,508 215,970 61,254,877 1,352,558 808,844 55,351 1,238,103 42,632,200 252,326 63,908 337,584 1,251,530 2,005,507 55,225 79,541 55,700 25,992 220,726 364,372 78,821 73,996 206,915 TIAA-CREF FUNDS - Equity Index Fund 47,198 14,477 10,021 28,094 29,384 10,045 5,621 47,996 18,760 5,157 8,036 3,266 11,529 1,596 478,075 15,816 6,742 101,040 16,078 18,877 22,129 5,562 47,225 113,584 25,301 12,554 2,340 9,344 12,333 16,433 5,638 77,129 9,048 94,140 652,535 6,626 52,365 20,561 2,379 78,143 35,999 19,695 71,099 4,828 37,297 52,141 35,602 20,194 79,588 20,634 39,312 9,048 30,381 VALUE COMPANY SHARES * *,e *,e *,e *,e * *,e * *,e *,e *,e *,e *,e *,e * *,e * *,e * * *,e *,e *,e * * *,e *,e *,e *,e *,e *,e * *,e *,e *,e *,e * * *,e * * *,e *,e *,e * * * *,e e * *,e Curis, Inc Cytokinetics, Inc CytomX Therapeutics, Inc CytRx Corp Depomed, Inc Dermira, Inc Dimension Therapeutics, Inc Durect Corp Dynavax Technologies Corp Eagle Pharmaceuticals, Inc Edge Therapeutics, Inc Editas Medicine, Inc Egalet Corp Eiger BioPharmaceuticals, Inc Eli Lilly & Co Emergent Biosolutions, Inc Enanta Pharmaceuticals, Inc Endo International plc Endocyte, Inc Enzo Biochem, Inc Epizyme, Inc Esperion Thereapeutics, Inc Exact Sciences Corp Exelixis, Inc FibroGen, Inc Five Prime Therapeutics, Inc Flex Pharma, Inc Flexion Therapeutics Inc Fluidigm Corp Fortress Biotech, Inc Foundation Medicine, Inc Galena Biopharma, Inc Genomic Health, Inc Geron Corp Gilead Sciences, Inc Global Blood Therapeutics, Inc Halozyme Therapeutics, Inc Heron Therapeutics, Inc Heska Corp Horizon Pharma plc Idera Pharmaceuticals, Inc Ignyta, Inc Illumina, Inc Immune Design Corp Immunogen, Inc Immunomedics, Inc Impax Laboratories, Inc INC Research Holdings, Inc Incyte Corp Infinity Pharmaceuticals, Inc Innoviva, Inc Inotek Pharmaceuticals Corp Inovio Pharmaceuticals, Inc $ 164 79,293 160,984 100,811 18,261 557,414 337,110 40,022 93,112 289,467 222,473 77,949 84,002 85,199 31,042 39,627,637 528,096 151,628 1,754,054 51,128 131,573 229,256 60,403 820,771 1,042,701 484,008 636,362 27,729 154,737 130,113 49,792 131,760 34,292 262,663 252,295 51,856,956 118,473 520,508 341,724 101,226 1,507,378 61,918 108,519 11,827,319 37,031 103,686 138,174 1,118,615 898,835 7,179,633 34,665 505,945 85,775 300,164 TIAA-CREF FUNDS - Equity Index Fund COMPANY SHARES 29,754 9,791 3,255 8,362 12,277 16,694 27,260 10,486 58,851 62,575 1,351,329 30,664 9,896 45,406 18,955 8,243 13,584 20,804 9,568 19,238 7,703 6,426 19,030 14,847 54,008 160,333 7,447 35,777 14,511 78,231 1,360,847 59,663 13,506 47,130 8,077 4,258 31,181 213,679 5,669 35,176 5,740 8,338 13,099 62,988 33,050 6,653 43,595 8,803 132,353 5,561 15,786 7,049 14,755 * *,e *,e *,e * *,e *,e *,e *,e * *,e * *,e *,e *,e *,e *,e *,e * *,e * * * * *,e * *,e *,e * *,e * *,e *,e * * * *,e *,e * *,e *,e * * * * * *,e *,e *,e *,e * VALUE Insmed, Inc Insys Therapeutics, Inc Intellia Therapeutics, Inc Intercept Pharmaceuticals, Inc Intersect ENT, Inc Intra-Cellular Therapies, Inc Intrexon Corp Invitae Corp Ionis Pharmaceuticals, Inc Ironwood Pharmaceuticals, Inc Johnson & Johnson Juno Therapeutics, Inc Karyopharm Therapeutics, Inc Keryx Biopharmaceuticals, Inc Kite Pharma, Inc La Jolla Pharmaceutical Co Lannett Co, Inc Lexicon Pharmaceuticals, Inc Ligand Pharmaceuticals, Inc (Class B) Lion Biotechnologies, Inc Lipocine, Inc Loxo Oncology, Inc Luminex Corp MacroGenics, Inc Mallinckrodt plc MannKind Corp Medgenics, Inc Medicines Co MediciNova, Inc Medivation, Inc Merck & Co, Inc Merrimack Pharmaceuticals, Inc Mettler-Toledo International, Inc MiMedx Group, Inc Minerva Neurosciences, Inc Mirati Therapeutics, Inc Momenta Pharmaceuticals, Inc Mylan NV MyoKardia, Inc Myriad Genetics, Inc NanoString Technologies, Inc NantKwest, Inc Natera, Inc Nektar Therapeutics NeoGenomics, Inc Neos Therapeutics, Inc Neurocrine Biosciences, Inc NewLink Genetics Corp Novavax, Inc Ocular Therapeutix, Inc Omeros Corp OncoMed Pharmaceuticals, Inc Ophthotech Corp $ 165 340,683 153,229 61,585 1,446,877 194,468 681,115 690,496 91,962 1,717,861 884,185 169,226,931 948,438 73,032 334,188 1,073,422 140,131 424,092 339,521 1,290,532 170,064 28,424 165,277 407,813 454,170 3,636,899 158,730 42,969 1,399,238 89,968 5,006,002 79,827,285 346,045 5,553,802 353,004 89,655 19,757 351,098 9,998,040 100,171 1,089,752 78,007 56,949 171,597 1,089,063 288,196 58,746 2,189,777 93,136 968,824 24,302 185,643 85,504 947,861 TIAA-CREF FUNDS - Equity Index Fund 148,620 49,140 7,783 12,099 9,996 40,299 17,819 5,045 25,460 72,802 48,893 68,191 6,895 2,961,730 28,593 7,545 22,596 12,394 25,905 30,473 3,334 16,124 14,333 12,051 111,784 41,569 15,192 42,131 2,682 37,640 10,255 19,674 18,735 13,740 19,915 9,301 37,550 12,985 12,341 29,213 20,796 22,166 46,464 8,789 12,170 8,141 27,773 6,776 10,521 22,801 88,402 36,143 3,929 VALUE COMPANY SHARES *,e *,e e *,e *,e *,e *,e * * * * * * *,e * *,e *,e *,e * * *,e * *,e * * *,e * * *,e *,e * *,e * *,e *,e * *,e *,e *,e *,e * * * * *,e *,e *,e Opko Health, Inc Organovo Holdings, Inc Osiris Therapeutics, Inc Otonomy, Inc OvaScience, Inc Pacific Biosciences of California, Inc Pacira Pharmaceuticals, Inc Paratek Pharmaceuticals, Inc Parexel International Corp PDL BioPharma, Inc PerkinElmer, Inc Perrigo Co plc Pfenex, Inc Pfizer, Inc PharmAthene, Inc Phibro Animal Health Corp Portola Pharmaceuticals, Inc PRA Health Sciences, Inc Prestige Brands Holdings, Inc Progenics Pharmaceuticals, Inc Proteostasis Therapeutics, Inc Prothena Corp plc PTC Therapeutics, Inc Puma Biotechnology, Inc Qiagen NV (NASDAQ) Quintiles Transnational Holdings, Inc Radius Health, Inc Raptor Pharmaceutical Corp Reata Pharmaceuticals, Inc Regeneron Pharmaceuticals, Inc REGENXBIO, Inc Regulus Therapeutics, Inc Relypsa, Inc Repligen Corp Retrophin, Inc Revance Therapeutics, Inc Rigel Pharmaceuticals, Inc Sage Therapeutics, Inc Sagent Pharmaceuticals Sangamo Biosciences, Inc Sarepta Therapeutics, Inc Sciclone Pharmaceuticals, Inc Seattle Genetics, Inc Seres Therapeutics, Inc Sorrento Therapeutics, Inc Spark Therapeutics, Inc Spectrum Pharmaceuticals, Inc Stemline Therapeutics, Inc Sucampo Pharmaceuticals, Inc (Class A) Supernus Pharmaceuticals, Inc Synergy Pharmaceuticals, Inc Synthetic Biologics, Inc T2 Biosystems, Inc $ 166 1,478,769 210,319 38,915 173,742 50,380 344,556 645,939 64,929 1,702,001 256,263 2,782,990 6,231,975 55,643 109,258,220 73,198 155,653 586,592 574,834 1,385,918 178,267 37,007 887,626 85,568 601,224 2,995,811 3,227,417 715,847 248,152 42,992 16,001,517 83,783 70,236 598,396 392,964 357,076 125,470 85,990 582,507 267,676 184,918 525,723 234,073 2,233,060 96,152 76,549 471,690 190,801 50,142 123,622 506,638 360,680 63,250 22,238 TIAA-CREF FUNDS - Equity Index Fund 17,729 11,786 15,324 15,204 71,280 17,600 192,326 9,087 4,598 4,104 23,387 17,370 18,015 22,473 17,036 13,261 120,575 12,420 16,833 5,712 38,015 39,260 3,701 6,539 15,653 6,984 59,769 226,426 10,650 REAL ESTATE - 4.7% 27,624 23,760 11,379 22,757 1,877 35,697 5,825 25,816 31,307 63,779 161,567 26,768 94,784 208,128 503,449 50,785 76,294 28,601 80,129 23,395 25,296 VALUE COMPANY SHARES *,e *,e * *,e *,e * *,e *,e *,e * *,e *,e * * * * * * * * * * *,e * *,e *,e * Teligent, Inc TESARO, Inc Tetraphase Pharmaceuticals, Inc TG Therapeutics, Inc TherapeuticsMD, Inc Theravance Biopharma, Inc Thermo Electron Corp Titan Pharmaceuticals, Inc Tobira Therapeutics, Inc Tokai Pharmaceuticals, Inc Trevena, Inc Trovagene, Inc Ultragenyx Pharmaceutical, Inc United Therapeutics Corp Vanda Pharmaceuticals, Inc Versartis, Inc Vertex Pharmaceuticals, Inc Vitae Pharmaceuticals, Inc Vital Therapies, Inc Voyager Therapeutics, Inc VWR Corp Waters Corp WaVe Life Sciences Pte Ltd XBiotech, Inc Xencor Inc Zafgen, Inc ZIOPHARM Oncology, Inc Zoetis Inc Zogenix, Inc TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES Acadia Realty Trust AG Mortgage Investment Trust Agree Realty Corp Alexander & Baldwin, Inc Alexander’s, Inc Alexandria Real Estate Equities, Inc *,e Altisource Portfolio Solutions S.A. Altisource Residential Corp American Assets Trust,Inc American Campus Communities, Inc American Capital Agency Corp American Capital Mortgage, Inc American Homes 4 Rent American Tower Corp Annaly Capital Management, Inc Anworth Mortgage Asset Corp Apartment Investment & Management Co (Class A) Apollo Commercial Real Estate Finance, Inc Apple Hospitality REIT, Inc Ares Commercial Real Estate Corp Armada Hoffler Properties, Inc $ 143,959 1,098,927 61,602 89,856 553,846 448,976 30,549,062 45,072 19,817 5,171 146,636 97,793 1,139,989 2,719,458 194,210 152,502 11,695,775 132,273 104,701 84,195 1,190,630 6,239,592 71,466 93,312 296,468 21,231 290,477 11,427,720 97,235 1,011,162,967 1,040,320 355,925 577,143 896,626 805,740 4,008,773 135,489 247,834 1,436,365 3,448,531 3,165,098 437,924 2,056,813 24,094,979 5,527,870 249,862 3,507,235 464,766 1,632,228 297,116 378,681 167 TIAA-CREF FUNDS - Equity Index Fund 17,917 11,429 41,202 5,479 63,447 8,243 74,877 86,690 70,304 35,146 53,268 40,937 28,069 18,578 82,226 155,576 40,660 16,749 28,782 86,265 8,774 54,758 31,610 73,861 57,773 6,313 1,845 6,682 18,742 44,313 63,738 100,457 164,595 75,310 29,793 74,038 49,318 150,563 97,976 77,397 68,494 145,171 41,733 21,154 11,376 20,218 32,216 59,196 30,888 32,248 52,692 43,341 44,676 VALUE COMPANY SHARES *,e * e * ARMOUR Residential REIT, Inc Ashford Hospitality Prime, Inc Ashford Hospitality Trust, Inc AV Homes, Inc AvalonBay Communities, Inc Bluerock Residential Growth REIT, Inc Boston Properties, Inc Brandywine Realty Trust Brixmor Property Group, Inc Camden Property Trust Capstead Mortgage Corp Care Capital Properties, Inc CareTrust REIT, Inc CatchMark Timber Trust Inc CBL & Associates Properties, Inc CBRE Group, Inc Cedar Realty Trust, Inc Chatham Lodging Trust Chesapeake Lodging Trust Chimera Investment Corp City Office REIT, Inc Colony Financial, Inc Colony Starwood Homes Columbia Property Trust, Inc Communications Sales & Leasing, Inc Community Healthcare Trust, Inc Consolidated-Tomoka Land Co CorEnergy Infrastructure Trust, Inc Coresite Realty Corporate Office Properties Trust Corrections Corp of America Cousins Properties, Inc Crown Castle International Corp CubeSmart CyrusOne, Inc CYS Investments, Inc DCT Industrial Trust, Inc DDR Corp DiamondRock Hospitality Co Digital Realty Trust, Inc Douglas Emmett, Inc Duke Realty Corp DuPont Fabros Technology, Inc Dynex Capital, Inc Easterly Government Properties, Inc EastGroup Properties, Inc Education Realty Trust, Inc Empire State Realty Trust, Inc Entertainment Properties Trust Equinix, Inc Equity Commonwealth Equity Lifestyle Properties, Inc Equity One, Inc $ 168 381,274 171,892 245,564 78,459 11,778,936 109,797 10,642,268 1,462,460 1,996,634 3,148,730 530,017 1,210,916 405,597 224,980 1,010,558 4,426,137 326,906 401,641 727,321 1,447,527 118,975 973,597 1,035,544 1,794,822 1,795,585 145,136 90,276 196,584 1,546,777 1,327,617 2,042,803 1,068,862 15,970,653 2,237,460 1,633,252 662,640 2,476,750 2,972,114 962,124 8,084,891 2,605,512 4,179,473 1,996,089 148,501 233,094 1,488,449 1,550,878 1,242,524 2,595,210 12,024,312 1,581,814 3,564,364 1,486,371 TIAA-CREF FUNDS - Equity Index Fund 174,481 32,118 58,941 5,780 35,708 64,539 56,244 28,700 111,881 16,040 24,662 47,755 2,632 91,483 271,213 36,009 12,704 17,812 82,479 39,025 180,996 17,723 228,779 50,664 66,120 20,220 46,902 73,062 387,992 18,411 38,228 18,150 53,272 59,474 127,332 42,332 24,128 43,925 44,163 180,313 40,035 18,000 36,569 51,918 112,121 60,813 26,215 68,863 45,234 7,054 114,933 176,434 34,144 VALUE COMPANY SHARES *,e * * * * * Equity Residential Essex Property Trust, Inc Extra Space Storage, Inc Farmland Partners, Inc Federal Realty Investment Trust FelCor Lodging Trust, Inc First Industrial Realty Trust, Inc First Potomac Realty Trust Forest City Realty Trust, Inc Forestar Group, Inc Four Corners Property Trust, Inc Franklin Street Properties Corp FRP Holdings, Inc Gaming and Leisure Properties, Inc General Growth Properties, Inc Geo Group, Inc Getty Realty Corp Gladstone Commercial Corp Global Net Lease, Inc Government Properties Income Trust Gramercy Property Trust Hannon Armstrong Sustainable Infrastructure Capital, Inc HCP, Inc Healthcare Realty Trust, Inc Healthcare Trust of America, Inc Hersha Hospitality Trust Highwoods Properties, Inc Hospitality Properties Trust Host Marriott Corp Howard Hughes Corp Hudson Pacific Properties Independence Realty Trust, Inc Invesco Mortgage Capital, Inc Investors Real Estate Trust Iron Mountain, Inc iStar Financial, Inc Jones Lang LaSalle, Inc Kennedy-Wilson Holdings, Inc Kilroy Realty Corp Kimco Realty Corp Kite Realty Group Trust Ladder Capital Corp Lamar Advertising Co LaSalle Hotel Properties Lexington Realty Trust Liberty Property Trust LTC Properties, Inc Macerich Co Mack-Cali Realty Corp Marcus & Millichap, Inc Medical Properties Trust, Inc MFA Mortgage Investments, Inc Mid-America Apartment Communities, Inc 169 $ 11,862,963 7,511,758 5,070,105 68,088 6,059,648 409,823 1,657,511 290,157 2,645,986 196,971 535,412 612,219 95,752 3,277,836 8,665,255 1,246,271 288,635 324,178 720,042 931,137 1,808,150 398,590 8,975,000 1,832,010 2,251,386 382,158 2,613,379 2,331,408 6,882,978 2,199,378 1,292,489 164,076 767,117 393,718 5,247,352 438,560 2,641,292 924,621 3,233,173 5,788,047 1,217,464 235,080 2,481,572 1,430,341 1,218,755 2,516,442 1,403,289 6,145,334 1,275,599 188,977 1,804,448 1,326,784 3,619,947 TIAA-CREF FUNDS - Equity Index Fund SHARES 30,377 69,668 18,057 69,938 16,679 108,823 36,692 53,530 54,953 8,034 25,065 86,627 90,126 6,278 6,980 67,384 4,588 88,247 34,833 34,872 34,599 35,055 65,496 99,426 29,069 26,414 22,337 242,301 14,583 73,859 22,756 49,089 38,022 73,638 8,639 70,617 126,174 37,295 47,019 24,063 67,247 96,240 31,686 59,376 3,209 21,180 31,460 7,154 30,659 115,034 12,184 14,813 151,879 VALUE COMPANY Monmouth Real Estate Investment Corp (Class A) Monogram Residential Trust, Inc National Health Investors, Inc National Retail Properties, Inc National Storage Affiliates Trust New Residential Investment Corp New Senior Investment Group, Inc New York Mortgage Trust, Inc New York REIT, Inc NexPoint Residential Trust, Inc NorthStar Realty Europe Corp NorthStar Realty Finance Corp Omega Healthcare Investors, Inc One Liberty Properties, Inc Orchid Island Capital, Inc Outfront Media, Inc Owens Realty Mortgage, Inc Paramount Group, Inc Parkway Properties, Inc Pebblebrook Hotel Trust Pennsylvania REIT Pennymac Mortgage Investment Trust Physicians Realty Trust Piedmont Office Realty Trust, Inc Post Properties, Inc Potlatch Corp Preferred Apartment Communities, Inc Prologis, Inc PS Business Parks, Inc Public Storage, Inc QTS Realty Trust, Inc RAIT Investment Trust Ramco-Gershenson Properties Rayonier, Inc Re/Max Holdings, Inc * Realogy Holdings Corp Realty Income Corp Redwood Trust, Inc Regency Centers Corp Resource Capital Corp Retail Opportunities Investment Corp Retail Properties of America, Inc Rexford Industrial Realty, Inc RLJ Lodging Trust RMR Group, Inc Ryman Hospitality Properties Sabra Healthcare REIT, Inc Saul Centers, Inc Select Income REIT Senior Housing Properties Trust Seritage Growth Properties Silver Bay Realty Trust Corp Simon Property Group, Inc $ 170 419,810 746,144 1,418,738 3,717,904 356,430 1,487,610 439,937 350,086 524,252 156,583 231,851 1,160,802 3,109,347 157,076 77,897 1,568,026 76,711 1,555,795 605,049 1,033,955 880,199 568,943 1,422,573 2,181,406 1,848,498 1,010,336 332,151 13,202,981 1,617,109 17,646,392 1,302,781 155,612 754,356 2,004,426 374,241 2,188,421 9,017,656 532,200 3,993,324 327,497 1,535,249 1,696,711 724,342 1,409,586 109,250 1,191,163 752,209 480,534 851,094 2,554,905 609,931 266,930 34,482,608 TIAA-CREF FUNDS - Equity Index Fund 47,741 22,290 234,717 24,744 33,464 113,439 73,824 2,960 42,107 30,537 88,977 46,688 28,242 5,639 18,932 22,829 8,985 169,562 129,946 9,682 13,251 6,033 58,761 11,670 165,407 459,531 84,019 35,634 56,962 168,171 21,861 363,162 12,824 50,550 103,376 50,281 RETAILING - 5.2% 10,432 29,298 31,298 34,210 191,386 82,186 3,476 12,502 83,522 31,793 14,406 19,109 28,348 72,752 VALUE COMPANY SHARES *,e * * * * m SL Green Realty Corp Sovran Self Storage, Inc Spirit Realty Capital, Inc St. Joe Co STAG Industrial, Inc Starwood Property Trust, Inc STORE Capital Corp Stratus Properties, Inc Summit Hotel Properties, Inc Sun Communities, Inc Sunstone Hotel Investors, Inc Tanger Factory Outlet Centers, Inc Taubman Centers, Inc Tejon Ranch Co Terreno Realty Corp Tier REIT, Inc Trinity Place Holdings, Inc Two Harbors Investment Corp UDR, Inc UMH Properties, Inc United Development Funding IV Universal Health Realty Income Trust Urban Edge Properties Urstadt Biddle Properties, Inc (Class A) Ventas, Inc VEREIT, Inc Vornado Realty Trust Washington REIT Weingarten Realty Investors Welltower, Inc Western Asset Mortgage Capital Corp Weyerhaeuser Co Whitestone REIT WP Carey, Inc WP GLIMCHER, Inc Xenia Hotels & Resorts, Inc TOTAL REAL ESTATE $ * 1-800-FLOWERS.COM, Inc (Class A) Aaron’s, Inc Abercrombie & Fitch Co (Class A) Advance Auto Parts, Inc * Amazon.com, Inc e American Eagle Outfitters, Inc *,e America’s Car-Mart, Inc * Asbury Automotive Group, Inc * Ascena Retail Group, Inc * Autonation, Inc * AutoZone, Inc * Barnes & Noble Education, Inc Barnes & Noble, Inc * Bed Bath & Beyond, Inc 5,624,845 2,281,827 3,208,581 456,032 849,316 2,472,970 2,302,571 52,066 597,077 2,417,004 1,183,394 1,948,757 2,285,343 148,137 527,256 397,909 73,048 1,483,668 4,837,890 119,670 42,403 359,989 1,757,542 288,249 12,597,397 5,082,413 9,023,641 1,221,890 2,460,189 13,341,005 215,112 11,882,661 207,364 3,672,458 1,310,808 903,047 530,077,792 95,244 701,687 648,182 5,810,911 145,225,611 1,472,773 121,938 760,122 679,034 1,696,157 11,726,052 220,900 370,792 3,270,202 171 TIAA-CREF FUNDS - Equity Index Fund 135,545 10,534 23,343 5,139 10,237 13,316 11,795 34,281 24,507 20,175 93,111 11,624 60,996 8,856 6,249 8,181 22,058 35,406 14,776 41,533 9,197 138,760 111,678 32,017 5,857 50,587 58,420 37,171 20,843 25,644 65,971 22,283 15,555 7,507 49,794 109,193 9,647 69,643 38,288 9,596 188,200 28,966 7,966 10,580 612,338 15,133 149,962 7,029 89,061 117,616 10,858 217,983 35,091 VALUE COMPANY SHARES e *,e e * * * *,e * * e * * * * * * * e e * *,e *,e *,e *,e * * Best Buy Co, Inc Big 5 Sporting Goods Corp Big Lots, Inc Blue Nile, Inc Boot Barn Holdings, Inc Buckle, Inc Build-A-Bear Workshop, Inc Burlington Stores, Inc Cabela’s, Inc Caleres, Inc Carmax, Inc Cato Corp (Class A) Chico’s FAS, Inc Children’s Place Retail Stores, Inc Citi Trends, Inc Container Store Group, Inc Core-Mark Holding Co, Inc CST Brands, Inc Destination XL Group, Inc Dick’s Sporting Goods, Inc Dillard’s, Inc (Class A) Dollar General Corp Dollar Tree, Inc DSW, Inc (Class A) Duluth Holdings, Inc Etsy, Inc Expedia, Inc Express Parent LLC Finish Line, Inc (Class A) Five Below, Inc Foot Locker, Inc Francesca’s Holdings Corp Fred’s, Inc (Class A) FTD Cos, Inc GameStop Corp (Class A) Gap, Inc Genesco, Inc Genuine Parts Co GNC Holdings, Inc Group 1 Automotive, Inc Groupon, Inc Guess?, Inc Haverty Furniture Cos, Inc Hibbett Sports, Inc Home Depot, Inc HSN, Inc JC Penney Co, Inc Kirkland’s, Inc Kohl’s Corp L Brands, Inc Lands’ End, Inc Liberty Interactive Corp Liberty TripAdvisor Holdings, Inc $ 172 4,554,312 111,239 1,241,381 149,339 110,150 364,725 160,766 2,622,839 1,265,296 531,006 5,424,647 415,791 732,562 740,185 104,233 45,241 1,079,960 1,583,356 76,244 2,130,228 622,453 13,146,122 10,753,475 776,732 145,254 508,905 6,814,693 556,078 452,918 1,308,100 3,933,191 283,217 247,169 190,002 1,541,124 2,816,088 669,695 7,120,300 781,458 598,023 907,124 426,380 146,813 369,454 84,649,605 774,204 1,448,633 107,122 3,704,047 8,691,822 154,292 5,844,124 830,604 TIAA-CREF FUNDS - Equity Index Fund SHARES 64,984 10,948 149,094 438,004 10,988 149,615 11,282 8,140 41,681 15,180 18,048 201,275 60,215 14,284 300,272 9,621 46,258 8,166 4,892 11,012 18,385 8,830 37,408 24,254 25,363 18,416 194,064 70,703 7,344 5,334 23,405 8,648 18,928 38,362 13,651 14,779 18,281 314,649 15,745 23,788 290,193 52,902 15,285 16,763 326,561 64,661 55,681 18,379 28,626 42,910 16,337 15,332 6,804 VALUE COMPANY * Liberty Ventures Lithia Motors, Inc (Class A) * LKQ Corp Lowe’s Companies, Inc *,e Lumber Liquidators, Inc Macy’s, Inc * MarineMax, Inc *,e Mattress Firm Holding Corp * Michaels Cos, Inc Monro Muffler, Inc * Murphy USA, Inc * NetFlix, Inc e Nordstrom, Inc Nutri/System, Inc * Office Depot, Inc *,e Ollie’s Bargain Outlet Holdings, Inc * O’Reilly Automotive, Inc e Outerwall, Inc * Overstock.com, Inc *,e Party City Holdco, Inc Penske Auto Group, Inc e PetMed Express, Inc e Pier 1 Imports, Inc * Priceline.com, Inc Rent-A-Center, Inc *,e Restoration Hardware Holdings, Inc Ross Stores, Inc * Sally Beauty Holdings, Inc *,e Sears Holdings Corp * Sears Hometown and Outlet Stores, Inc * Select Comfort Corp Shoe Carnival, Inc * Shutterfly, Inc Signet Jewelers Ltd Sonic Automotive, Inc (Class A) *,e Sportsman’s Warehouse Holdings, Inc e Stage Stores, Inc Staples, Inc Stein Mart, Inc e Tailored Brands, Inc Target Corp e Tiffany & Co * Tile Shop Holdings, Inc * Tilly’s, Inc TJX Companies, Inc Tractor Supply Co * TripAdvisor, Inc * Tuesday Morning Corp * Ulta Salon Cosmetics & Fragrance, Inc * Urban Outfitters, Inc * Vitamin Shoppe, Inc *,e Wayfair, Inc * West Marine, Inc $ 173 2,450,547 944,703 5,127,343 36,038,969 165,150 5,360,705 227,896 242,898 1,098,711 950,572 1,383,199 18,366,344 2,663,309 422,521 1,038,941 251,493 13,443,963 430,022 79,740 176,412 728,414 183,046 191,529 32,762,546 273,920 567,397 11,998,977 2,073,719 113,171 36,698 558,443 227,529 1,006,780 3,372,403 248,175 150,450 108,406 2,923,089 135,407 348,494 21,860,239 3,413,237 260,609 95,381 26,686,565 5,926,181 3,896,000 145,010 7,477,397 1,283,009 478,021 666,942 59,603 TIAA-CREF FUNDS - Equity Index Fund SHARES 42,417 892 10,806 VALUE COMPANY Williams-Sonoma, Inc Winmark Corp *,e Zumiez, Inc TOTAL RETAILING $ SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 2.9% 2,398 *,e Acacia Communications, Inc 19,213 * Advanced Energy Industries, Inc 312,992 *,e Advanced Micro Devices, Inc 8,895 * Alpha & Omega Semiconductor Ltd 15,019 *,e Ambarella, Inc 48,137 * Amkor Technology, Inc 150,182 Analog Devices, Inc 532,360 Applied Materials, Inc 33,773 * Applied Micro Circuits Corp 12,175 * Axcelis Technologies, Inc 187,128 Broadcom Ltd 32,935 Brooks Automation, Inc 11,394 Cabot Microelectronics Corp 27,432 *,e Cavium, Inc 8,650 * Ceva, Inc 35,639 * Cirrus Logic, Inc 10,237 Cohu, Inc 56,755 *,e Cree, Inc 151,801 e Cypress Semiconductor Corp 18,477 * Diodes, Inc 9,301 * DSP Group, Inc 64,946 * Entegris, Inc 20,079 * Exar Corp 55,581 * Fairchild Semiconductor International, Inc 37,049 *,e First Solar, Inc 34,075 * Formfactor, Inc 20,327 * GigOptix, Inc 19,347 * Inphi Corp 64,415 * Integrated Device Technology, Inc 2,330,321 Intel Corp 65,306 Intersil Corp (Class A) 9,988 IXYS Corp 74,098 Kla-Tencor Corp 28,048 * Kopin Corp 77,660 e Lam Research Corp 58,110 * Lattice Semiconductor Corp 116,537 Linear Technology Corp 10,869 *,e MA-COM Technology Solutions 195,419 Marvell Technology Group Ltd 138,324 Maxim Integrated Products, Inc 26,254 * MaxLinear, Inc 102,865 e Microchip Technology, Inc 505,478 * Micron Technology, Inc 54,345 * Microsemi Corp 25,831 MKS Instruments, Inc 18,858 Monolithic Power Systems, Inc 11,512 * Nanometrics, Inc 2,293,911 89,708 183,486 581,249,656 155,942 782,353 2,147,125 127,110 870,802 302,782 9,586,117 13,995,744 222,226 130,273 30,310,993 412,676 599,552 1,280,251 260,019 1,731,699 108,103 1,623,193 1,766,964 342,009 100,730 1,109,927 168,262 1,097,169 1,729,447 318,601 38,418 680,627 1,416,486 81,234,990 997,876 109,269 5,609,960 65,352 6,971,538 349,241 6,991,055 429,434 2,296,173 5,640,853 572,600 5,723,409 6,945,268 2,119,455 1,179,960 1,371,354 230,700 174 TIAA-CREF FUNDS - Equity Index Fund SHARES 12,097 1,929 252,948 199,919 12,269 31,365 13,255 66,515 720,192 51,257 13,099 31,562 14,732 20,097 92,874 28,046 94,615 32,987 493,173 12,988 11,718 18,349 22,930 124,342 VALUE COMPANY * NeoPhotonics Corp Ltd NVE Corp Nvidia Corp * ON Semiconductor Corp * PDF Solutions, Inc * Photronics, Inc Power Integrations, Inc * Qorvo, Inc Qualcomm, Inc * Rambus, Inc * Rudolph Technologies, Inc * Semtech Corp * Sigma Designs, Inc * Silicon Laboratories, Inc Skyworks Solutions, Inc *,e SunPower Corp Teradyne, Inc Tessera Technologies, Inc Texas Instruments, Inc * Ultra Clean Holdings * Ultratech, Inc * Veeco Instruments, Inc * Xcerra Corp Xilinx, Inc TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT SOFTWARE & SERVICES - 12.0% 16,839 *,e 2U, Inc 21,216 * A10 Networks, Inc 308,172 Accenture plc 56,191 * ACI Worldwide, Inc 270,936 Activision Blizzard, Inc 17,102 * Actua Corp 37,648 * Acxiom Corp 238,924 * Adobe Systems, Inc 85,892 * Akamai Technologies, Inc 5,051 *,e Alarm.com Holdings, Inc 9,204 *,e ALJ Regional Holdings, Inc 28,862 * Alliance Data Systems Corp 144,479 * Alphabet, Inc (Class A) 145,998 * Alphabet, Inc (Class C) 7,645 *,e Amber Road, Inc 71,062 Amdocs Ltd 9,809 * American Software, Inc (Class A) 21,348 *,e Angie’s List, Inc 45,744 * Ansys, Inc 7,446 * Apigee Corp 3,667 * Appfolio, Inc 40,111 * Aspen Technology, Inc 12,789 * Atlassian Corp plc 4,592 * Autobytel, Inc 103,585 * Autodesk, Inc 226,843 Automatic Data Processing, Inc $ 151,817 110,030 14,443,331 2,005,188 202,439 302,986 756,463 4,205,743 45,069,615 692,995 230,804 802,306 98,704 1,070,768 6,131,541 408,911 1,868,646 1,060,202 34,398,817 82,993 286,388 307,713 139,873 6,351,389 323,433,749 589,028 165,909 34,764,883 1,113,144 10,880,790 170,678 864,022 23,381,103 4,340,123 145,115 44,455 6,685,016 114,332,012 112,241,802 67,429 4,147,178 108,193 172,705 4,087,684 92,628 58,965 1,680,250 383,286 68,237 6,158,128 20,177,685 175 TIAA-CREF FUNDS - Equity Index Fund 19,585 23,015 10,602 39,296 6,155 8,337 22,905 26,619 17,474 55,691 19,571 23,269 13,975 54,625 13,865 142,532 11,810 141,816 25,742 7,703 21,904 8,834 5,256 73,762 9,269 14,238 74,817 300,042 12,997 6,498 26,831 68,714 23,256 43,205 24,511 15,636 15,547 80,078 15,169 8,444 24,972 3,147 16,012 50,362 523,091 11,888 142,424 14,717 28,979 11,448 20,231 23,398 13,005 VALUE COMPANY SHARES * * * * *,e *,e * * * *,e * * * * * * * * * * * * *,e *,e * * * * * * * *,e * e * * * *,e * * AVG Technologies NV Bankrate, Inc Barracuda Networks, Inc Bazaarvoice, Inc Benefitfocus, Inc Black Knight Financial Services, Inc Blackbaud, Inc Blackhawk Network Holdings, Inc Blucora, Inc Booz Allen Hamilton Holding Co Bottomline Technologies, Inc Box, Inc Brightcove, Inc Broadridge Financial Solutions, Inc BroadSoft, Inc CA, Inc CACI International, Inc (Class A) Cadence Design Systems, Inc Callidus Software, Inc Carbonite, Inc Cardtronics plc Care.com, Inc Cass Information Systems, Inc CDK Global, Inc ChannelAdvisor Corp Cimpress NV Citrix Systems, Inc Cognizant Technology Solutions Corp (Class A) CommerceHub, Inc CommerceHub, Inc (Series A) Commvault Systems, Inc Computer Sciences Corp comScore, Inc Convergys Corp Cornerstone OnDemand, Inc CoStar Group, Inc CSG Systems International, Inc CSRA, Inc Cvent, Inc Datalink Corp DHI Group, Inc Digimarc Corp DST Systems, Inc EarthLink Holdings Corp eBay, Inc Ebix, Inc Electronic Arts, Inc Ellie Mae, Inc Endurance International Group Holdings, Inc EnerNOC, Inc Envestnet, Inc EPAM Systems, Inc EPIQ Systems, Inc $ 176 484,337 183,430 234,092 163,078 264,665 323,892 1,531,199 926,075 178,410 1,719,738 413,144 271,084 146,318 3,697,020 621,568 4,938,734 1,125,847 3,410,675 528,483 84,810 963,557 97,086 273,154 4,262,706 146,079 1,349,762 6,668,439 17,249,415 181,955 91,627 1,388,236 3,286,591 603,493 1,151,413 1,058,630 3,250,724 625,922 2,155,700 494,813 72,450 182,046 114,582 1,974,760 341,454 16,299,516 633,868 10,869,800 1,355,583 260,231 85,631 772,217 1,643,476 212,502 TIAA-CREF FUNDS - Equity Index Fund SHARES 23,513 30,923 13,747 6,421 18,891 1,104,189 14,034 153,663 77,037 43,183 153,300 108,606 15,809 44,777 19,147 5,122 69,822 39,040 73,674 15,636 75,033 3,719 11,161 50,659 22,813 23,773 39,245 12,622 8,100 34,162 10,211 11,663 19,344 14,036 33,532 13,777 35,668 28,278 16,246 5,250 8,696 431,896 16,908 119,346 22,838 42,543 24,819 32,428 31,019 57,492 25,980 10,535 23,943 VALUE COMPANY * Euronet Worldwide, Inc EVERTEC, Inc * Everyday Health, Inc *,e EXA Corp * ExlService Holdings, Inc * Facebook, Inc Fair Isaac Corp Fidelity National Information Services, Inc *,e FireEye, Inc * First American Corp * First Data Corp * Fiserv, Inc * Five9, Inc * FleetCor Technologies, Inc * FleetMatics Group plc Forrester Research, Inc * Fortinet, Inc * Gartner, Inc * Genpact Ltd * Gigamon, Inc Global Payments, Inc * Global Sources Ltd *,e Globant S.A. *,e Glu Mobile, Inc *,e GoDaddy, Inc *,e Gogo, Inc *,e GrubHub, Inc * GTT Communications, Inc * Guidance Software, Inc * Guidewire Software, Inc Hackett Group, Inc * Higher One Holdings, Inc *,e Hortonworks, Inc * HubSpot, Inc IAC/InterActiveCorp * Imperva, Inc * inContact, Inc * Infoblox, Inc *,e Information Services Group, Inc *,e Instructure, Inc *,e Interactive Intelligence, Inc International Business Machines Corp * Intralinks Holdings, Inc Intuit, Inc j2 Global, Inc Jack Henry & Associates, Inc * Jive Software, Inc e Leidos Holdings, Inc * Limelight Networks, Inc * LinkedIn Corp * Lionbridge Technologies * Liquidity Services, Inc * Liveperson, Inc $ 177 1,793,101 531,876 112,176 93,747 935,293 136,853,185 1,777,266 12,220,818 1,341,985 1,739,411 1,900,920 11,985,758 199,352 6,791,775 822,555 209,643 2,422,125 3,913,760 1,972,253 730,514 5,601,964 33,397 470,883 118,542 682,565 199,931 1,488,170 259,130 47,628 2,099,938 136,725 59,831 226,518 766,225 1,943,515 649,172 495,785 529,364 61,572 114,135 469,149 69,371,136 117,680 13,246,213 1,526,492 3,796,963 94,312 1,621,724 52,422 11,080,433 117,170 85,123 159,820 TIAA-CREF FUNDS - Equity Index Fund SHARES 12,179 35,106 10,652 13,195 20,231 475,061 15,784 31,087 20,576 52,064 3,729,546 4,380 7,240 14,789 16,990 8,810 14,404 19,584 38,282 2,553 19,026 26,302 10,729 36,032 109,208 7,073 1,458,800 107,496 3,781 164,468 21,394 10,380 562,791 17,337 14,896 4,957 20,183 33,926 19,884 11,998 54,371 12,503 3,997 44,836 13,258 15,203 30,975 51,869 9,552 9,129 25,225 88,660 3,209 VALUE COMPANY * LogMeIn, Inc * Manhattan Associates, Inc Mantech International Corp (Class A) Marchex, Inc (Class B) * Marketo, Inc MasterCard, Inc (Class A) *,e Match Group, Inc MAXIMUS, Inc * MeetMe, Inc Mentor Graphics Corp Microsoft Corp * MicroStrategy, Inc (Class A) *,e MINDBODY, Inc *,e Mitek Systems, Inc * MobileIron, Inc * Model N, Inc * MoneyGram International, Inc Monotype Imaging Holdings, Inc * Monster Worldwide, Inc NCI, Inc (Class A) *,e NetSuite, Inc *,e NeuStar, Inc (Class A) * New Relic, Inc NIC, Inc * Nuance Communications, Inc *,e Numerex Corp Oracle Corp *,e Pandora Media, Inc *,e Park City Group, Inc Paychex, Inc *,e Paycom Software, Inc *,e Paylocity Holding Corp * PayPal Holdings, Inc Pegasystems, Inc * Perficient, Inc * PFSweb, Inc * Planet Payment, Inc * Progress Software Corp *,e Proofpoint, Inc * PROS Holdings, Inc * PTC, Inc * Q2 Holdings, Inc QAD, Inc (Class A) * QLIK Technologies, Inc * Qualys, Inc * QuinStreet, Inc *,e Quotient Technology, Inc * Rackspace Hosting, Inc * Rapid7, Inc *,e RealNetworks, Inc * RealPage, Inc * Red Hat, Inc Reis, Inc $ 178 1,046,298 2,037,903 420,861 41,828 711,727 45,244,810 248,598 1,831,646 132,304 1,112,087 211,390,667 766,018 127,207 111,657 57,936 113,737 100,252 387,567 96,853 32,398 2,070,980 662,547 369,507 840,266 1,754,973 53,967 59,869,152 1,461,946 36,978 9,749,663 1,010,011 463,363 20,958,337 483,702 330,989 49,124 94,658 985,890 1,508,599 222,923 2,160,160 371,089 75,623 1,354,047 416,169 55,187 392,144 1,215,291 133,537 39,529 634,409 6,675,211 81,124 TIAA-CREF FUNDS - Equity Index Fund 15,888 5,924 33,267 8,849 37,512 18,434 101,214 316,942 9,731 20,630 3,029 77,104 26,981 10,089 16,631 63,437 8,103 23,669 82,394 7,800 18,644 300,347 18,954 79,387 19,344 26,933 38,535 16,127 8,465 11,456 7,285 67,531 44,696 76,459 56,389 30,043 10,696 310,105 16,117 13,643 40,630 75,670 5,014 14,849 29,350 47,103 21,463 13,306 940,248 43,415 18,161 19,433 251,430 VALUE COMPANY SHARES * * * * * * * * * * *,e * * * * *,e * * * * * * * * * * * *,e *,e *,e * * *,e * * *,e * *,e *,e * *,e *,e * RetailMeNot, Inc Rightside Group Ltd RingCentral, Inc Rosetta Stone, Inc Rovi Corp Rubicon Project, Inc Sabre Corp Salesforce.com, Inc Sapiens International Corp NV Science Applications International Corp SecureWorks Corp ServiceNow, Inc ServiceSource International LLC Shutterstock, Inc Silver Spring Networks, Inc Splunk, Inc SPS Commerce, Inc Square, Inc SS&C Technologies Holdings, Inc Stamps.com, Inc Sykes Enterprises, Inc Symantec Corp Synchronoss Technologies, Inc Synopsys, Inc Syntel, Inc Tableau Software, Inc Take-Two Interactive Software, Inc Tangoe, Inc TechTarget, Inc TeleNav, Inc TeleTech Holdings, Inc Teradata Corp TiVo, Inc Total System Services, Inc Travelport Worldwide Ltd TrueCar, Inc TubeMogul, Inc Twitter, Inc Tyler Technologies, Inc Ultimate Software Group, Inc Unisys Corp Vantiv, Inc Varonis Systems, Inc Vasco Data Security International Verint Systems, Inc VeriSign, Inc VirnetX Holding Corp Virtusa Corp Visa, Inc (Class A) VMware, Inc (Class A) WebMD Health Corp (Class A) Website Pros, Inc Western Union Co $ 179 132,665 71,088 766,139 68,137 705,601 260,288 2,950,388 25,925,856 124,362 1,253,479 44,860 5,776,632 121,954 555,803 209,052 3,967,350 513,082 238,347 2,654,735 591,279 572,184 6,136,089 707,742 4,299,600 876,477 1,521,984 1,548,336 130,467 77,201 57,051 207,914 1,916,530 471,096 3,893,292 760,688 281,503 119,902 5,160,147 2,627,393 2,852,751 402,643 4,144,446 128,810 248,127 1,035,175 4,079,591 92,935 361,923 73,386,356 3,168,427 1,108,003 366,506 5,028,600 TIAA-CREF FUNDS - Equity Index Fund 18,877 56,980 10,768 10,967 491,938 11,023 11,778 427,168 33,413 37,654 23,222 50,116 23,238 346,384 VALUE COMPANY SHARES * * *,e * * * * * *,e *,e *,e * * WEX, Inc Workday, Inc Workiva, Inc Xactly Corp Xerox Corp XO Group, Inc Xura, Inc Yahoo!, Inc Yelp, Inc Zendesk, Inc Zillow Group, Inc Zillow Group, Inc (Class C) Zix Corp Zynga, Inc TOTAL SOFTWARE & SERVICES $ TECHNOLOGY HARDWARE & EQUIPMENT - 5.0% 55,125 *,e 3D Systems Corp 24,640 Adtran, Inc 10,358 * Aerohive Networks, Inc 5,601 * Agilysys, Inc 146,815 Amphenol Corp (Class A) 12,849 * Anixter International, Inc 2,694,733 Apple, Inc 9,184 *,e Applied Optoelectronics, Inc 18,774 *,e Arista Networks, Inc 88,155 * ARRIS International plc 41,766 * Arrow Electronics, Inc 12,829 * Avid Technology, Inc 60,192 Avnet, Inc 21,648 AVX Corp 6,832 Badger Meter, Inc 4,329 Bel Fuse, Inc (Class B) 19,225 Belden CDT, Inc 24,123 * Benchmark Electronics, Inc 6,118 Black Box Corp 222,680 Brocade Communications Systems, Inc 15,298 * CalAmp Corp 18,584 * Calix, Inc 77,403 CDW Corp 66,552 * Ciena Corp 2,479,016 Cisco Systems, Inc 4,709 *,e Clearfield, Inc 39,694 Cognex Corp 11,697 * Coherent, Inc 62,700 * CommScope Holding Co, Inc 6,617 Comtech Telecommunications Corp 8,807 *,e Control4 Corp 526,903 Corning, Inc 11,071 e CPI Card Group, Inc 18,817 * Cray, Inc 13,984 CTS Corp 15,342 Daktronics, Inc 1,768,397 4,748,713 150,106 136,210 5,066,961 200,949 292,683 16,313,546 1,074,896 1,138,657 915,179 1,967,053 94,346 994,122 1,346,511,858 738,124 448,448 75,717 63,963 8,738,429 787,387 280,818,126 108,739 1,338,023 2,401,342 2,777,021 83,517 2,473,891 295,712 476,464 88,701 1,407,462 565,443 83,511 2,070,924 217,232 143,468 3,322,911 1,277,133 75,684,358 94,227 1,792,978 1,240,467 1,877,865 86,484 76,709 11,707,785 52,255 593,864 267,234 99,263 180 TIAA-CREF FUNDS - Equity Index Fund SHARES 29,002 10,399 28,174 7,396 7,109 22,218 7,109 14,155 21,714 956,011 10,385 3,055 42,439 35,648 17,362 7,269 18,333 49,222 61,951 66,971 39,552 62,711 858,392 839,514 33,751 11,513 68,360 77,714 17,922 16,890 53,968 17,224 20,565 31,126 98,916 182,861 83,824 12,299 48,953 5,979 33,481 10,750 24,565 16,124 1,202 17,713 85,386 7,214 50,602 60,412 141,863 15,505 46,446 VALUE COMPANY Diebold, Inc * Digi International, Inc Dolby Laboratories, Inc (Class A) * DTS, Inc * Eastman Kodak Co * EchoStar Corp (Class A) Electro Rent Corp Electro Scientific Industries, Inc * Electronics for Imaging, Inc EMC Corp * EMCORE Corp * ePlus, Inc * Extreme Networks, Inc * F5 Networks, Inc * Fabrinet * FARO Technologies, Inc FEI Co * Finisar Corp *,e Fitbit, Inc Flir Systems, Inc * Harmonic, Inc Harris Corp Hewlett Packard Enterprise Co HP, Inc * II-VI, Inc *,e Immersion Corp * Infinera Corp Ingram Micro, Inc (Class A) * Insight Enterprises, Inc InterDigital, Inc * InvenSense, Inc * IPG Photonics Corp * Itron, Inc * Ixia Jabil Circuit, Inc Juniper Networks, Inc * Keysight Technologies, Inc * Kimball Electronics, Inc * Knowles Corp * KVH Industries, Inc Lexmark International, Inc (Class A) Littelfuse, Inc * Lumentum Holdings, Inc * Maxwell Technologies, Inc e Mesa Laboratories, Inc Methode Electronics, Inc Motorola, Inc MTS Systems Corp National Instruments Corp * NCR Corp NetApp, Inc * Netgear, Inc * Netscout Systems, Inc $ 181 819,016 115,533 1,417,434 205,535 120,426 865,391 109,976 95,829 961,713 27,035,991 67,295 256,956 165,088 4,399,676 655,589 253,543 1,950,998 923,405 846,251 2,181,915 130,126 5,432,027 18,043,400 11,761,591 678,395 86,463 598,834 2,660,927 476,725 997,354 365,903 1,451,811 877,920 357,949 2,012,941 4,149,116 2,451,014 155,213 657,928 54,230 1,227,748 1,343,965 743,091 88,682 138,987 620,486 5,924,081 342,160 1,451,265 1,991,784 3,738,090 797,422 1,299,559 TIAA-CREF FUNDS - Equity Index Fund 41,984 14,868 42,356 8,081 44,126 8,151 5,271 20,079 16,122 57,926 29,307 40,380 17,506 12,287 8,752 40,168 11,491 28,040 2,553 13,572 20,395 23,473 18,658 18,109 11,840 4,288 17,022 123,258 35,155 12,629 18,824 18,717 53,363 23,473 114,291 59,297 5,516 140,987 25,055 VALUE COMPANY SHARES * * *,e * * * * *,e * * * * * * * e * * *,e * * * * * * e * *,e * *,e * * * Nimble Storage, Inc Novanta, Inc Oclaro, Inc OSI Systems, Inc Palo Alto Networks, Inc Park Electrochemical Corp PC Connection, Inc Plantronics, Inc Plexus Corp Polycom, Inc Pure Storage, Inc QLogic Corp Radisys Corp Rofin-Sinar Technologies, Inc Rogers Corp Sanmina Corp Scansource, Inc ShoreTel, Inc Silicom Ltd Silicon Graphics International Corp Sonus Networks, Inc Stratasys Ltd Super Micro Computer, Inc Synaptics, Inc SYNNEX Corp Systemax, Inc Tech Data Corp Trimble Navigation Ltd TTM Technologies, Inc Ubiquiti Networks, Inc Universal Display Corp USA Technologies, Inc VeriFone Systems, Inc Viasat, Inc Viavi Solutions, Inc Vishay Intertechnology, Inc Vishay Precision Group, Inc Western Digital Corp Zebra Technologies Corp (Class A) TOTAL TECHNOLOGY HARDWARE & EQUIPMENT TELECOMMUNICATION SERVICES - 2.6% 40,593 * 8x8, Inc 3,022,095 AT&T, Inc 5,163 ATN International, Inc 15,710 * Boingo Wireless, Inc 265,550 CenturyTel, Inc 87,920 * Cincinnati Bell, Inc 24,658 Cogent Communications Group, Inc 24,285 e Consolidated Communications Holdings, Inc 8,375 * Fairpoint Communications, Inc 572,667 e Frontier Communications Corp 14,505 * General Communication, Inc (Class A) $ 312,361 233,576 242,700 480,577 5,775,652 132,046 136,044 968,611 740,645 717,703 369,268 626,698 84,379 388,269 598,987 1,017,857 471,476 205,814 92,572 73,289 175,805 491,525 402,080 940,763 1,190,275 38,378 1,326,524 3,258,942 349,792 564,769 1,333,492 88,344 1,022,435 1,733,012 814,895 790,429 72,535 6,698,292 1,328,166 557,218,901 558,154 130,826,493 379,584 143,904 8,348,892 439,600 1,053,636 678,766 135,591 2,977,868 223,232 182 TIAA-CREF FUNDS - Equity Index Fund 184,564 3,994 16,929 24,947 40,177 140,970 8,919 27,031 31,665 5,431 62,235 22,538 11,251 368,672 4,184 42,025 142,646 5,233 2,005,975 92,637 53,416 79,872 VALUE COMPANY SHARES *,e Globalstar, Inc * Hawaiian Telcom Holdco, Inc IDT Corp (Class B) Inteliquent, Inc *,e Iridium Communications, Inc * Level 3 Communications, Inc * Lumos Networks Corp * NII Holdings, Inc * Orbcomm, Inc * pdvWireless, Inc * SBA Communications Corp (Class A) Shenandoah Telecom Co Spok Holdings, Inc * Sprint Corp *,e Straight Path Communications, Inc Telephone & Data Systems, Inc * T-Mobile US, Inc * US Cellular Corp Verizon Communications, Inc * Vonage Holdings Corp e Windstream Holdings, Inc * Zayo Group Holdings, Inc TOTAL TELECOMMUNICATION SERVICES TRANSPORTATION - 2.0% 22,768 * 59,041 5,886 2,978 282,523 21,971 11,244 * 40,969 * 10,955 69,608 14,754 e 6,252 4,833 * 474,842 377,928 14,127 * 88,745 122,297 14,493 27,627 * 25,627 * 21,551 e 35,234 * 16,757 * 42,690 153,925 * 52,727 24,855 * $ Air Transport Services Group, Inc Alaska Air Group, Inc Allegiant Travel Co Amerco, Inc American Airlines Group, Inc Arkansas Best Corp Atlas Air Worldwide Holdings, Inc Avis Budget Group, Inc Celadon Group, Inc CH Robinson Worldwide, Inc Copa Holdings S.A. (Class A) Costamare, Inc Covenant Transportation Group, Inc CSX Corp Delta Air Lines, Inc Echo Global Logistics, Inc Expeditors International of Washington, Inc FedEx Corp Forward Air Corp Genesee & Wyoming, Inc (Class A) Hawaiian Holdings, Inc Heartland Express, Inc Hertz Global Holdings, Inc Hub Group, Inc (Class A) J.B. Hunt Transport Services, Inc JetBlue Airways Corp Kansas City Southern Industries, Inc Kirby Corp 219,631 88,667 258,337 512,661 360,789 7,133,082 104,352 82,174 335,332 116,767 7,157,025 925,861 207,918 2,263,646 76,316 1,323,367 6,610,216 211,675 111,151,075 549,337 497,303 2,260,378 288,211,629 329,681 3,968,736 763,826 1,177,829 10,029,567 411,077 486,078 1,504,791 90,488 4,846,109 988,518 61,207 108,888 13,452,274 14,644,710 349,785 4,386,665 19,799,884 670,736 1,788,848 1,166,797 399,125 1,715,191 686,032 3,548,820 2,821,445 5,067,592 1,354,349 183 TIAA-CREF FUNDS - Equity Index Fund 32,577 20,564 35,759 11,338 21,046 146,116 32,393 1,308 3,699 11,295 14,300 23,958 12,165 24,589 312,894 34,099 38,046 415,552 169,647 339,048 2,557 4,109 9,360 21,103 27,854 52,276 14,424 UTILITIES - 3.5% 322,293 24,148 111,204 118,765 241,199 18,348 90,747 86,937 3,086 58,875 34,381 48,215 37,967 28,160 25,055 23,317 174,779 211,252 7,592 135,184 4,663 150,431 6,110 VALUE COMPANY SHARES * * * * * * *,e * * *,e * *,e *,e e e e * Knight Transportation, Inc Landstar System, Inc Macquarie Infrastructure Co LLC Marten Transport Ltd Matson, Inc Norfolk Southern Corp Old Dominion Freight Line PAM Transportation Services, Inc Park-Ohio Holdings Corp Radiant Logistics, Inc Roadrunner Transportation Services Holdings, Inc Ryder System, Inc Saia, Inc Skywest, Inc Southwest Airlines Co Spirit Airlines, Inc Swift Transportation Co, Inc Union Pacific Corp United Continental Holdings, Inc United Parcel Service, Inc (Class B) Universal Truckload Services, Inc USA Truck, Inc Virgin America, Inc Werner Enterprises, Inc Wesco Aircraft Holdings, Inc XPO Logistics, Inc YRC Worldwide, Inc TOTAL TRANSPORTATION $ AES Corp Allete, Inc Alliant Energy Corp Ameren Corp American Electric Power Co, Inc American States Water Co American Water Works Co, Inc Aqua America, Inc Artesian Resources Corp Atlantic Power Corp Atlantica Yield plc Atmos Energy Corp Avangrid, Inc Avista Corp Black Hills Corp California Water Service Group Calpine Corp Centerpoint Energy, Inc Chesapeake Utilities Corp CMS Energy Corp Connecticut Water Service, Inc Consolidated Edison, Inc Consolidated Water Co, Inc 971,772 1,449,556 2,740,927 245,468 786,489 13,118,294 2,256,496 26,199 110,156 35,692 108,251 1,578,832 351,447 707,426 11,580,207 1,457,732 732,386 38,667,114 7,954,748 36,651,089 38,227 79,222 523,411 530,107 357,924 1,548,415 171,213 221,397,848 3,980,319 1,541,850 4,475,961 6,228,037 16,715,091 792,634 7,493,887 3,011,498 105,202 148,365 692,777 3,847,075 1,713,830 1,224,960 1,579,718 786,482 2,401,463 5,053,148 486,419 6,107,613 238,046 12,046,514 82,057 184 TIAA-CREF FUNDS - Equity Index Fund 3,244 303,716 81,221 338,649 56,535 150,642 19,551 27,444 89,705 150,976 445,571 208,116 5,556 87,929 58,319 24,505 79,560 88,204 29,738 7,604 34,836 38,468 224,961 141,725 13,264 23,579 154,138 21,926 33,550 97,413 25,269 18,855 18,362 33,623 243,276 39,567 58,352 37,981 43,373 332,183 247,773 85,675 63,716 124,753 8,058 32,956 460,700 18,799 2,378 17,761 43,911 43,322 43,606 VALUE COMPANY SHARES * * e e e * e e Delta Natural Gas Co, Inc Dominion Resources, Inc DTE Energy Co Duke Energy Corp Dynegy, Inc Edison International El Paso Electric Co Empire District Electric Co Entergy Corp Eversource Energy Exelon Corp FirstEnergy Corp Genie Energy Ltd Great Plains Energy, Inc Hawaiian Electric Industries, Inc Idacorp, Inc ITC Holdings Corp MDU Resources Group, Inc MGE Energy, Inc Middlesex Water Co National Fuel Gas Co New Jersey Resources Corp NextEra Energy, Inc NiSource, Inc Northwest Natural Gas Co NorthWestern Corp NRG Energy, Inc NRG Yield, Inc (Class A) NRG Yield, Inc (Class C) OGE Energy Corp ONE Gas, Inc Ormat Technologies, Inc Otter Tail Corp Pattern Energy Group, Inc PG&E Corp Piedmont Natural Gas Co, Inc Pinnacle West Capital Corp PNM Resources, Inc Portland General Electric Co PPL Corp Public Service Enterprise Group, Inc Questar Corp SCANA Corp Sempra Energy SJW Corp South Jersey Industries, Inc Southern Co Southwest Gas Corp Spark Energy, Inc Spire, Inc Talen Energy Corp TerraForm Global, Inc TerraForm Power, Inc $ 185 85,609 23,695,922 7,920,672 28,984,968 855,375 11,656,678 932,192 925,686 7,301,090 8,830,586 16,610,887 7,267,411 35,670 2,618,526 1,810,805 1,981,229 3,679,650 2,121,306 1,669,789 314,121 1,968,582 1,432,548 28,860,247 3,636,663 861,364 1,432,188 2,133,270 376,689 601,887 3,133,776 1,641,474 860,542 639,916 819,393 15,555,067 2,366,107 4,602,222 1,305,027 1,894,099 12,526,621 11,400,036 2,156,440 4,774,877 13,957,366 341,337 1,050,637 24,647,450 1,456,922 58,951 1,232,613 597,190 150,761 512,807 TIAA-CREF FUNDS - Equity Index Fund SHARES 95,075 8,987 33,919 10,796 150,022 69,201 22,771 237,049 5,212 VALUE COMPANY UGI Corp Unitil Corp Vectren Corp *,e Vivint Solar, Inc WEC Energy Group, Inc Westar Energy, Inc WGL Holdings, Inc Xcel Energy, Inc York Water Co TOTAL UTILITIES $ TOTAL COMMON STOCKS (Cost $7,537,811,950) 4,303,094 393,091 1,754,630 32,604 9,737,928 3,845,500 1,611,959 10,425,415 163,865 391,304,273 11,205,101,716 RIGHTS / WARRANTS - 0.0% DIVERSIFIED FINANCIALS - 0.0% m Emergent Capital, Inc 267 TOTAL DIVERSIFIED FINANCIALS 0 0 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.0% 874 e Asterias Biotherapeutics, Inc 1,296 m Forest Laboratories, Inc CVR 1,988 m Omthera Pharmaceuticals, Inc e,m Trius Therapeutics, Inc 12,340 TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES 201 1,231 1,193 1,604 4,229 SOFTWARE & SERVICES - 0.0% m Gerber Scientific, Inc 3,514 TOTAL SOFTWARE & SERVICES 0 0 TELECOMMUNICATION SERVICES - 0.0% m Leap Wireless International, Inc 19,784 TOTAL TELECOMMUNICATION SERVICES 49,856 49,856 TOTAL RIGHTS / WARRANTS (Cost $50,442) 54,085 ISSUER PRINCIPAL SHORT-TERM INVESTMENTS - 2.9% GOVERNMENT AGENCY DEBT - 0.2% Federal Home Loan Bank (FHLB) $ 21,900,000 TOTAL GOVERNMENT AGENCY DEBT RATE 0.090% COMPANY SHARES INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 2.7% 301,860,805 a,c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $323,760,805) MATURITY DATE 08/01/16 21,900,000 21,900,000 301,860,805 301,860,805 323,760,805 186 TIAA-CREF FUNDS - Equity Index Fund COMPANY VALUE TOTAL INVESTMENTS - 102.8% (Cost $7,861,623,197) OTHER ASSETS & LIABILITIES, NET - (2.8)% NET ASSETS - 100.0% Abbreviation(s): ETF Exchange Traded Fund REIT Real Estate Investment Trust SPDR Standard & Poor’s Depository Receipts * a c e m Non-income producing Affiliated holding Investments made with cash collateral received from securities on loan. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $296,077,687. Indicates a security that has been deemed illiquid. 187 $ 11,528,916,606 $ (317,986,674) 11,210,929,932 TIAA-CREF FUNDS - Large-Cap Growth Index Fund TIAA-CREF FUNDS LARGE-CAP GROWTH INDEX FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 COMPANY SHARES VALUE COMMON STOCKS - 99.7% AUTOMOBILES & COMPONENTS - 0.8% 8,618 BorgWarner, Inc 76,850 Delphi Automotive plc 50,938 Gentex Corp 50,495 e Harley-Davidson, Inc 53,972 Johnson Controls, Inc 17,041 Lear Corp 33,342 *,e Tesla Motors, Inc 13,421 Thor Industries, Inc 9,498 Visteon Corp TOTAL AUTOMOBILES & COMPONENTS BANKS - 0.2% 60,889 32,625 9,107 10,866 14,662 CAPITAL GOODS - 7.3% 168,357 21,111 12,298 14,051 26,739 12,822 31,615 169,908 25,946 5,221 47,080 21,344 32,603 28,988 80,275 21,999 22,311 43,550 27,738 500,949 15,383 56,005 5,409 10,633 1,377 $ Citizens Financial Group, Inc First Republic Bank * Signature Bank * SVB Financial Group * Western Alliance Bancorp TOTAL BANKS e * * * 285,945 5,211,967 900,075 2,672,195 2,478,394 1,933,302 7,828,368 1,027,243 665,715 23,003,204 1,359,651 2,338,234 1,095,025 1,091,164 498,948 6,383,022 3M Co A.O. Smith Corp Acuity Brands, Inc Air Lease Corp Allegion plc Ametek, Inc BE Aerospace, Inc Boeing Co BWX Technologies, Inc Carlisle Cos, Inc Danaher Corp Deere & Co Donaldson Co, Inc Emerson Electric Co Fastenal Co Flowserve Corp Fortive Corp Fortune Brands Home & Security, Inc General Dynamics Corp General Electric Co Graco, Inc HD Supply Holdings, Inc HEICO Corp HEICO Corp (Class A) Herc Holdings, Inc 30,028,154 1,961,001 3,227,364 404,809 1,935,636 603,019 1,512,304 22,709,903 955,072 539,277 3,834,195 1,658,642 1,177,946 1,620,429 3,431,756 1,052,652 1,075,613 2,755,409 4,074,435 15,599,552 1,138,496 2,026,821 375,980 613,205 48,677 188 TIAA-CREF FUNDS - Large-Cap Growth Index Fund COMPANY SHARES 26,048 215,584 10,542 11,788 19,720 82,879 35,903 10,534 11,185 74,330 17,105 60,559 16,338 5,500 15,902 48,035 8,989 10,927 31,680 29,164 36,687 13,943 12,032 19,382 4,264 23,363 14,865 14,602 21,611 4,943 16,182 14,993 7,229 23,977 25,954 * * * * * * e * VALUE Hexcel Corp Honeywell International, Inc Hubbell, Inc Huntington Ingalls IDEX Corp Illinois Tool Works, Inc Ingersoll-Rand plc Lennox International, Inc Lincoln Electric Holdings, Inc Lockheed Martin Corp Manitowoc Foodservice, Inc Masco Corp Middleby Corp MSC Industrial Direct Co (Class A) Nordson Corp Northrop Grumman Corp Paccar, Inc Quanta Services, Inc Raytheon Co Rockwell Automation, Inc Rockwell Collins, Inc Roper Industries, Inc Snap-On, Inc Spirit Aerosystems Holdings, Inc (Class A) Stanley Works Textron, Inc Toro Co TransDigm Group, Inc United Rentals, Inc Valmont Industries, Inc W.W. Grainger, Inc WABCO Holdings, Inc Watsco, Inc Westinghouse Air Brake Technologies Corp Xylem, Inc TOTAL CAPITAL GOODS $ COMMERCIAL & PROFESSIONAL SERVICES - 1.1% 24,048 Cintas Corp 1,602 * Clean Harbors, Inc 28,573 * Copart, Inc 32,114 Covanta Holding Corp 3,677 Dun & Bradstreet Corp 33,038 Equifax, Inc 38,351 KAR Auction Services, Inc 82,840 Nielsen NV 55,651 Pitney Bowes, Inc 39,053 R.R. Donnelley & Sons Co 35,489 Robert Half International, Inc 30,305 Rollins, Inc 23,363 * Stericycle, Inc 14,718 * TransUnion 11,866 Tyco International plc 1,124,492 25,078,887 1,136,744 2,034,373 1,770,659 9,564,237 2,378,933 1,651,731 694,141 18,785,421 313,706 2,209,192 1,966,768 395,065 1,403,988 10,405,822 530,081 279,731 4,420,310 3,336,362 3,104,454 2,375,330 1,891,069 840,791 518,929 911,157 1,366,837 4,081,551 1,721,748 647,286 3,541,431 1,503,348 1,041,265 1,642,425 1,240,861 220,269,472 2,579,629 82,375 1,441,222 514,466 475,252 4,376,214 1,640,272 4,461,762 1,074,621 699,830 1,296,768 853,995 2,108,978 481,573 540,734 189 TIAA-CREF FUNDS - Large-Cap Growth Index Fund SHARES 42,816 103,419 COMPANY VALUE * Verisk Analytics, Inc Waste Management, Inc TOTAL COMMERCIAL & PROFESSIONAL SERVICES $ 3,651,349 6,838,064 33,117,104 CONSUMER DURABLES & APPAREL - 2.4% 20,529 Brunswick Corp 3,681 CalAtlantic Group, Inc 14,881 Carter’s, Inc 14,575 Coach, Inc 51,596 DR Horton, Inc 106,985 Hanesbrands, Inc 9,089 Harman International Industries, Inc 31,303 Hasbro, Inc 37,114 * Kate Spade & Co 37,249 Leggett & Platt, Inc 1,384 Lennar Corp (B Shares) 26,298 Lennar Corp (Class A) 27,213 * Lululemon Athletica, Inc 97,563 Mattel, Inc 48,714 * Michael Kors Holdings Ltd 13,843 * Mohawk Industries, Inc 124,860 Newell Brands, Inc 379,759 Nike, Inc (Class B) 984 * NVR, Inc 18,057 e Polaris Industries, Inc 11,233 Pool Corp 28,514 Pulte Homes, Inc 1,104 Ralph Lauren Corp 37,118 * Skechers U.S.A., Inc (Class A) 15,542 *,e Tempur-Pedic International, Inc 21,647 * Toll Brothers, Inc 13,998 Tupperware Brands Corp 51,637 * Under Armour, Inc 51,967 *,e Under Armour, Inc (Class A) 94,962 VF Corp 2,939 * Vista Outdoor, Inc 2,023 Whirlpool Corp TOTAL CONSUMER DURABLES & APPAREL 1,018,649 133,289 1,506,701 628,328 1,696,477 2,852,220 751,115 2,542,743 805,003 1,958,180 51,955 1,230,746 2,113,089 3,256,653 2,519,488 2,892,356 6,550,156 21,076,625 1,677,720 1,783,129 1,148,911 603,927 108,291 891,574 1,175,441 606,333 877,395 1,843,441 2,050,618 5,928,478 147,097 389,144 72,815,272 CONSUMER SERVICES - 3.3% 29,146 ARAMARK Holdings Corp 18,583 Brinker International, Inc 8,321 * Chipotle Mexican Grill, Inc (Class A) 6,323 Choice Hotels International, Inc 34,158 Darden Restaurants, Inc 13,845 Domino’s Pizza, Inc 25,627 Dunkin Brands Group, Inc 3,881 Extended Stay America, Inc 129,182 Hilton Worldwide Holdings, Inc 393 *,e Hyatt Hotels Corp 102,792 Las Vegas Sands Corp 46,913 Marriott International, Inc (Class A) 248,869 McDonald’s Corp 1,044,884 876,003 3,528,021 305,338 2,102,766 2,039,368 1,161,159 54,955 2,995,730 19,823 5,206,415 3,363,662 29,279,438 190 TIAA-CREF FUNDS - Large-Cap Growth Index Fund COMPANY SHARES 11,849 4,126 6,930 52,965 37,752 19,906 404,360 29,587 10,037 33,331 30,467 21,181 109,780 VALUE * MGM Resorts International * Norwegian Cruise Line Holdings Ltd * Panera Bread Co (Class A) Service Corp International * ServiceMaster Global Holdings, Inc Six Flags Entertainment Corp Starbucks Corp Starwood Hotels & Resorts Worldwide, Inc Vail Resorts, Inc Wendy’s Wyndham Worldwide Corp e Wynn Resorts Ltd Yum! Brands, Inc TOTAL CONSUMER SERVICES $ DIVERSIFIED FINANCIALS - 2.0% 13,570 * Affiliated Managers Group, Inc 14,174 Ameriprise Financial, Inc 9,235 Artisan Partners Asset Management, Inc 24,715 CBOE Holdings, Inc 261,570 Charles Schwab Corp 2,259 *,e Credit Acceptance Corp 37,560 Discover Financial Services 30,593 Eaton Vance Corp 11,847 Factset Research Systems, Inc 28,315 Federated Investors, Inc (Class B) 2,018 Interactive Brokers Group, Inc (Class A) 15,601 IntercontinentalExchange Group, Inc 22,390 Invesco Ltd 86,532 e iShares Russell 1000 Growth Index Fund 4,842 Lazard Ltd (Class A) 4,587 e LPL Financial Holdings, Inc 10,211 MarketAxess Holdings, Inc 42,269 Moody’s Corp 6,753 Morningstar, Inc 25,763 MSCI, Inc (Class A) 54,902 NorthStar Asset Management Group, Inc 74,976 S&P Global, Inc 36,283 SEI Investments Co 51,724 T Rowe Price Group, Inc 61,728 TD Ameritrade Holding Corp TOTAL DIVERSIFIED FINANCIALS ENERGY - 0.6% 74,596 91,599 23,645 4,131 11,703 14,092 4,835 17,182 5,891 *,e *,e * * * 284,139 175,768 1,519,888 1,468,190 1,428,158 1,122,499 23,473,098 2,309,561 1,435,994 321,977 2,163,766 2,074,679 9,816,528 99,571,807 1,991,805 1,358,436 258,211 1,700,392 7,433,819 408,134 2,134,910 1,156,721 2,037,210 893,905 70,307 4,121,784 653,340 9,061,631 173,053 123,620 1,650,710 4,480,937 571,169 2,216,648 651,138 9,162,067 1,632,735 3,656,370 1,874,062 59,473,114 Apache Corp Cabot Oil & Gas Corp Chesapeake Energy Corp Cimarex Energy Co Continental Resources, Inc Devon Energy Corp Diamondback Energy, Inc EOG Resources, Inc Memorial Resource Development Corp 3,916,290 2,259,747 128,156 495,803 515,517 539,442 424,465 1,403,769 88,247 191 TIAA-CREF FUNDS - Large-Cap Growth Index Fund SHARES 14,085 60,074 4,325 133,008 30,060 33,137 COMPANY VALUE * Newfield Exploration Co Oneok, Inc * Parsley Energy, Inc *,e Southwestern Energy Co Spectra Energy Corp Williams Cos, Inc TOTAL ENERGY $ FOOD & STAPLES RETAILING - 2.4% 10,833 Casey’s General Stores, Inc 124,421 Costco Wholesale Corp 289,422 CVS Health Corp 269,095 Kroger Co 291,860 * Rite Aid Corp 38,874 *,e Sprouts Farmers Market, Inc 147,594 Sysco Corp 12,384 * US Foods Holding Corp 50,432 Walgreens Boots Alliance, Inc 15,068 Whole Foods Market, Inc TOTAL FOOD & STAPLES RETAILING 609,880 2,690,714 123,306 1,939,257 1,081,258 794,294 17,010,145 1,446,639 20,805,679 26,835,208 9,200,358 2,043,020 899,156 7,643,893 299,197 3,996,736 459,273 73,629,159 FOOD, BEVERAGE & TOBACCO - 6.5% 555,964 Altria Group, Inc 16,566 * Blue Buffalo Pet Products, Inc 7,147 e Brown-Forman Corp 26,223 Brown-Forman Corp (Class B) 52,152 Campbell Soup Co 833,130 Coca-Cola Co 96,285 ConAgra Foods, Inc 47,107 Constellation Brands, Inc (Class A) 51,690 Dr Pepper Snapple Group, Inc 43,104 Flowers Foods, Inc 169,050 General Mills, Inc 21,903 * Hain Celestial Group, Inc 39,836 Hershey Co 66,754 Hormel Foods Corp 14,113 Ingredion, Inc 63,962 Kellogg Co 22,026 Kraft Heinz Co 32,914 McCormick & Co, Inc 18,768 Mead Johnson Nutrition Co 42,238 * Monster Beverage Corp 359,183 PepsiCo, Inc 46,925 Philip Morris International, Inc 6,195 e Pilgrim’s Pride Corp 11,193 * Post Holdings, Inc 145,287 Reynolds American, Inc 4,797 * TreeHouse Foods, Inc 39,075 Tyson Foods, Inc (Class A) 49,143 * WhiteWave Foods Co (Class A) TOTAL FOOD, BEVERAGE & TOBACCO 37,638,763 425,415 755,152 2,574,836 3,247,505 36,349,462 4,502,287 7,755,225 5,091,982 792,683 12,153,005 1,156,259 4,412,235 2,493,262 1,880,416 5,290,297 1,902,826 3,365,457 1,674,106 6,784,690 39,122,212 4,704,701 144,034 970,097 7,273,067 495,002 2,875,920 2,726,945 198,557,841 192 TIAA-CREF FUNDS - Large-Cap Growth Index Fund SHARES COMPANY VALUE HEALTH CARE EQUIPMENT & SERVICES - 6.7% 11,509 * Abiomed, Inc 7,006 *,e Acadia Healthcare Co, Inc 32,868 Aetna Inc 5,043 * Alere, Inc 20,442 * Align Technology, Inc 50,312 AmerisourceBergen Corp 8,401 * Amsurg Corp 20,701 Anthem, Inc 10,857 *,e athenahealth, Inc 21,255 Bard (C.R.), Inc 15,942 Baxter International, Inc 58,389 Becton Dickinson & Co 385,599 * Boston Scientific Corp 83,990 Cardinal Health, Inc 34,258 * Centene Corp 84,996 * Cerner Corp 24,748 Cigna Corp 11,059 Cooper Cos, Inc 18,352 * DaVita, Inc 22,900 * DexCom, Inc 59,719 * Edwards Lifesciences Corp 43,242 * Envision Healthcare Holdings, Inc 158,317 * Express Scripts Holding Co 60,288 * HCA Holdings, Inc 23,821 * Henry Schein, Inc 17,057 Hill-Rom Holdings, Inc 76,813 * Hologic, Inc 39,864 Humana, Inc 24,738 * Idexx Laboratories, Inc 42,083 * IMS Health Holdings, Inc 16,479 *,e Inovalon Holdings, Inc 10,839 * Intuitive Surgical, Inc 13,719 * Laboratory Corp of America Holdings 63,887 McKesson Corp 17,951 * MEDNAX, Inc 23,324 Patterson Cos, Inc 3,899 * Premier, Inc 38,825 Resmed, Inc 54,629 St. Jude Medical, Inc 95,324 Stryker Corp 2,242 Teleflex, Inc 23,858 * Tenet Healthcare Corp 266,385 UnitedHealth Group, Inc 5,892 Universal Health Services, Inc (Class B) 28,528 * Varian Medical Systems, Inc 21,661 * VCA Antech, Inc 26,776 * Veeva Systems, Inc 11,357 * WellCare Health Plans, Inc 20,000 West Pharmaceutical Services, Inc 27,341 Zimmer Holdings, Inc TOTAL HEALTH CARE EQUIPMENT & SERVICES 193 $ 1,357,717 395,839 3,786,722 189,112 1,822,404 4,286,079 630,159 2,718,869 1,387,416 4,755,381 765,535 10,276,464 9,362,344 7,021,564 2,416,902 5,302,900 3,191,502 2,017,936 1,423,014 2,112,067 6,839,020 1,063,321 12,043,174 4,650,013 4,311,125 911,356 2,956,532 6,878,533 2,320,177 1,263,332 306,839 7,541,343 1,914,624 12,429,855 1,237,003 1,151,273 127,497 2,674,266 4,536,392 11,084,275 404,255 730,293 38,146,332 763,191 2,702,743 1,545,296 1,017,220 1,212,928 1,605,600 3,585,499 203,173,233 TIAA-CREF FUNDS - Large-Cap Growth Index Fund COMPANY SHARES VALUE HOUSEHOLD & PERSONAL PRODUCTS - 1.0% 35,758 Church & Dwight Co, Inc 30,763 Clorox Co 43,533 Colgate-Palmolive Co 7,593 e Coty, Inc 5,324 Energizer Holdings, Inc 61,321 Estee Lauder Cos (Class A) 21,145 *,e Herbalife Ltd 87,824 Kimberly-Clark Corp 4,381 Nu Skin Enterprises, Inc (Class A) 7,323 e Spectrum Brands, Inc TOTAL HOUSEHOLD & PERSONAL PRODUCTS INSURANCE - 0.7% 1,064 75,259 33,460 5,867 6,345 15,110 145,575 17,326 25,638 MATERIALS - 3.5% 47,586 4,396 24,138 45,841 47,482 3,833 35,470 3,747 37,518 13,114 73,785 249,281 30,015 80,025 59,976 22,237 43,657 16,340 80,228 1,947 47,074 26,032 75,128 72,322 1,687 36,294 11,597 54,760 * * * * $ 3,512,866 4,032,106 3,240,161 204,024 274,346 5,696,721 1,438,072 11,377,599 233,945 942,983 30,952,823 Amtrust Financial Services, Inc Aon plc Arthur J. Gallagher & Co Brown & Brown, Inc Erie Indemnity Co (Class A) Lincoln National Corp Marsh & McLennan Cos, Inc Progressive Corp XL Group Ltd TOTAL INSURANCE 25,398 8,057,981 1,645,898 215,084 619,843 659,854 9,571,556 563,268 887,331 22,246,213 Air Products & Chemicals, Inc Aptargroup, Inc Avery Dennison Corp Axalta Coating Systems Ltd Ball Corp Bemis Co, Inc Berry Plastics Group, Inc Celanese Corp (Series A) Crown Holdings, Inc Eagle Materials, Inc Ecolab, Inc EI du Pont de Nemours & Co FMC Corp Freeport-McMoRan Copper & Gold, Inc (Class B) Graphic Packaging Holding Co International Flavors & Fragrances, Inc LyondellBasell Industries AF S.C.A Martin Marietta Materials, Inc Monsanto Co NewMarket Corp Owens-Illinois, Inc Packaging Corp of America PPG Industries, Inc Praxair, Inc Royal Gold, Inc RPM International, Inc Scotts Miracle-Gro Co (Class A) Sealed Air Corp 7,110,300 343,679 1,880,109 1,308,761 3,355,553 195,636 1,454,270 237,635 1,987,328 1,100,920 8,734,668 17,242,767 1,426,913 1,037,124 818,073 2,963,080 3,285,626 3,311,301 8,565,944 833,199 884,520 1,944,330 7,866,653 8,428,406 142,619 1,969,312 855,279 2,583,577 194 TIAA-CREF FUNDS - Large-Cap Growth Index Fund SHARES 23,122 11,356 10,359 9,723 21,855 35,017 11,028 MEDIA - 5.0% 16,168 1,304 114,348 56,986 29,542 6,212 632,743 38,779 62,053 47,199 111,917 16,879 21,019 545 68,517 6,357 23,037 510,805 26,628 147,801 1,669 239,308 107,445 2,460 85,972 463,592 COMPANY VALUE Sherwin-Williams Co Silgan Holdings, Inc e Southern Copper Corp (NY) Steel Dynamics, Inc Valspar Corp Vulcan Materials Co WR Grace & Co TOTAL MATERIALS $ * AMC Networks, Inc Cable One, Inc CBS Corp (Class B) * Charter Communications, Inc Cinemark Holdings, Inc Clear Channel Outdoor Holdings, Inc (Class A) Comcast Corp (Class A) * Discovery Communications, Inc (Class A) * Discovery Communications, Inc (Class C) * DISH Network Corp (Class A) Interpublic Group of Cos, Inc e Lions Gate Entertainment Corp * Live Nation, Inc * Madison Square Garden Co Omnicom Group, Inc e Regal Entertainment Group (Class A) Scripps Networks Interactive (Class A) *,e Sirius XM Holdings, Inc * Starz-Liberty Capital Time Warner, Inc Tribune Co Twenty-First Century Fox, Inc Twenty-First Century Fox, Inc (Class B) Viacom, Inc Viacom, Inc (Class B) Walt Disney Co TOTAL MEDIA 6,930,357 563,031 269,230 260,771 2,326,902 4,341,408 825,666 107,384,947 895,060 683,140 5,971,253 13,384,302 1,110,779 43,422 42,551,967 972,965 1,522,781 2,521,371 2,580,806 337,411 576,341 99,621 5,638,264 149,517 1,521,824 2,242,434 804,964 11,328,947 61,836 6,375,165 2,904,238 122,114 3,909,147 44,481,652 152,791,321 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 10.6% 460,295 AbbVie, Inc 26,418 *,e Acadia Pharmaceuticals, Inc 22,752 Agilent Technologies, Inc 8,699 *,e Agios Pharmaceuticals, Inc 23,360 * Akorn, Inc 61,349 * Alexion Pharmaceuticals, Inc 42,706 * Alkermes plc 66,486 * Allergan plc 18,111 *,e Alnylam Pharmaceuticals, Inc 214,579 Amgen, Inc 62,451 * Biogen Idec, Inc 45,872 * BioMarin Pharmaceutical, Inc 11,028 Bio-Techne Corp 477,448 Bristol-Myers Squibb Co 30,485,338 978,523 1,094,599 393,456 799,613 7,889,481 2,131,029 16,817,634 1,232,997 36,914,025 18,106,418 4,560,594 1,239,768 35,717,885 195 TIAA-CREF FUNDS - Large-Cap Growth Index Fund SHARES 29,554 219,488 12,994 276,891 377,097 41,347 46,089 4,783 15,373 34,060 136,570 15,743 45,022 7,766 34,694 23,917 81,841 6,344 120,975 16,359 22,060 27,067 50,566 3,410 69,470 2,278 22,605 129,501 REAL ESTATE - 3.0% 1,159 120,827 8,660 2,285 86,038 84,336 33,591 17,276 30,260 15,533 19,310 22,201 7,138 33,577 19,688 51,983 27,716 72,558 22,830 19,227 6,231 42,520 COMPANY VALUE Bruker BioSciences Corp * Celgene Corp * Charles River Laboratories International, Inc Eli Lilly & Co Gilead Sciences, Inc * Illumina, Inc * Incyte Corp *,e Intercept Pharmaceuticals, Inc *,e Intrexon Corp *,e Ionis Pharmaceuticals, Inc Johnson & Johnson *,e Juno Therapeutics, Inc * Medivation, Inc * Mettler-Toledo International, Inc * Mylan NV * Neurocrine Biosciences, Inc *,e Opko Health, Inc PerkinElmer, Inc Pfizer, Inc * Quintiles Transnational Holdings, Inc * Regeneron Pharmaceuticals, Inc *,e Seattle Genetics, Inc Thermo Electron Corp * United Therapeutics Corp * Vertex Pharmaceuticals, Inc * VWR Corp * Waters Corp Zoetis Inc TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES Alexandria Real Estate Equities, Inc American Tower Corp Boston Properties, Inc Care Capital Properties, Inc * CBRE Group, Inc Crown Castle International Corp CubeSmart CyrusOne, Inc Digital Realty Trust, Inc Empire State Realty Trust, Inc Equinix, Inc Equity Lifestyle Properties, Inc Essex Property Trust, Inc Extra Space Storage, Inc Federal Realty Investment Trust Gaming and Leisure Properties, Inc Healthcare Trust of America, Inc Iron Mountain, Inc Lamar Advertising Co Omega Healthcare Investors, Inc Outfront Media, Inc Public Storage, Inc $ 736,486 24,624,359 1,142,562 22,951,495 29,967,899 6,878,073 4,157,689 827,603 389,398 994,211 17,102,661 486,931 2,880,958 3,193,457 1,623,332 1,201,351 814,318 361,100 4,462,768 1,270,113 9,378,147 1,300,840 8,031,903 412,644 6,738,590 71,347 3,592,613 6,535,915 320,490,123 130,156 13,988,142 1,230,846 67,590 2,447,781 8,183,122 997,989 947,070 3,160,960 326,038 7,200,120 1,825,810 1,669,435 2,888,293 3,341,054 1,862,551 943,730 2,990,115 1,549,244 663,331 144,995 10,158,878 196 TIAA-CREF FUNDS - Large-Cap Growth Index Fund COMPANY SHARES 6,466 14,356 79,369 8,340 24,961 7,204 29,600 RETAILING - 9.2% 19,733 110,695 7,300 8,239 4,363 11,746 1,769 54,279 19,056 80,534 64,134 34,537 33,449 4,555 38,614 102,286 355,432 12,810 68,077 7,029 87,042 254,393 19,872 6,268 116,152 34,311 27,283 14,078 113,114 45,528 20,119 17,690 187,188 37,190 31,757 16,494 19,328 26,559 VALUE Regency Centers Corp Senior Housing Properties Trust Simon Property Group, Inc Sovran Self Storage, Inc Tanger Factory Outlet Centers, Inc Taubman Centers, Inc Ventas, Inc TOTAL REAL ESTATE * * * * * * *,e * e * * * * * * * e * * * * * * $ Advance Auto Parts, Inc Amazon.com, Inc Autonation, Inc AutoZone, Inc Bed Bath & Beyond, Inc Burlington Stores, Inc Cabela’s, Inc Carmax, Inc Dick’s Sporting Goods, Inc Dollar General Corp Dollar Tree, Inc Expedia, Inc Foot Locker, Inc Gap, Inc Genuine Parts Co Groupon, Inc Home Depot, Inc L Brands, Inc Liberty Interactive Corp Liberty Ventures LKQ Corp Lowe’s Companies, Inc Michaels Cos, Inc Murphy USA, Inc NetFlix, Inc Nordstrom, Inc O’Reilly Automotive, Inc Priceline.com, Inc Ross Stores, Inc Sally Beauty Holdings, Inc Signet Jewelers Ltd Target Corp TJX Companies, Inc Tractor Supply Co TripAdvisor, Inc Ulta Salon Cosmetics & Fragrance, Inc Urban Outfitters, Inc Williams-Sonoma, Inc TOTAL RETAILING 549,157 318,847 18,019,938 853,766 1,041,872 582,948 2,254,336 90,338,114 3,351,847 83,996,473 389,455 6,706,299 196,117 898,686 91,334 3,162,295 977,382 7,629,791 6,175,463 4,028,741 1,994,229 117,473 3,947,895 493,019 49,134,920 946,659 1,825,144 265,064 2,993,374 20,931,456 523,826 480,380 10,598,870 1,517,576 7,929,258 19,016,703 6,993,839 1,335,336 1,768,661 1,332,588 15,297,003 3,408,464 2,222,037 4,308,398 577,907 1,436,311 279,000,273 SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 2.7% 220,515 Applied Materials, Inc 107,271 Broadcom Ltd 5,797,339 17,375,757 197 TIAA-CREF FUNDS - Large-Cap Growth Index Fund SHARES 10,102 124,279 44,205 35,809 32,792 78,837 58,693 145,636 11,541 3,757 87,207 49,272 286,034 22,427 COMPANY VALUE *,e Cree, Inc Intel Corp Kla-Tencor Corp Lam Research Corp Linear Technology Corp Maxim Integrated Products, Inc e Microchip Technology, Inc Nvidia Corp * ON Semiconductor Corp * Qorvo, Inc Qualcomm, Inc Skyworks Solutions, Inc Texas Instruments, Inc Xilinx, Inc TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT SOFTWARE & SERVICES - 21.6% 178,646 Accenture plc 157,788 Activision Blizzard, Inc 140,200 * Adobe Systems, Inc 42,715 * Akamai Technologies, Inc 16,315 * Alliance Data Systems Corp 83,688 * Alphabet, Inc (Class A) 84,584 * Alphabet, Inc (Class C) 7,937 * Ansys, Inc 7,275 * Atlassian Corp plc 48,303 * Autodesk, Inc 131,265 Automatic Data Processing, Inc 6,265 *,e Black Knight Financial Services, Inc 29,801 Booz Allen Hamilton Holding Co 32,798 Broadridge Financial Solutions, Inc 83,363 * Cadence Design Systems, Inc 43,300 CDK Global, Inc 43,268 * Citrix Systems, Inc 170,997 * Cognizant Technology Solutions Corp (Class A) 1,406 *,e CommerceHub, Inc 703 *,e CommerceHub, Inc (Series A) 8,902 * CoStar Group, Inc 45,602 CSRA, Inc 9,138 DST Systems, Inc 305,608 * eBay, Inc 82,288 * Electronic Arts, Inc 13,810 * Euronet Worldwide, Inc 638,816 * Facebook, Inc 51,517 Fidelity National Information Services, Inc 10,394 *,e FireEye, Inc 14,484 * First American Corp 94,649 * First Data Corp 64,421 * Fiserv, Inc 25,539 * FleetCor Technologies, Inc 43,381 * Fortinet, Inc 22,266 * Gartner, Inc 41,751 * Genpact Ltd $ 288,917 4,332,366 3,346,761 3,214,574 1,967,192 3,214,973 3,265,679 8,315,816 115,756 237,555 5,457,414 3,252,937 19,950,871 1,145,571 81,279,478 20,153,055 6,336,766 13,719,972 2,158,389 3,778,880 66,225,662 65,027,333 709,250 218,032 2,871,613 11,676,022 243,395 920,255 2,219,769 2,004,880 2,502,307 3,856,477 9,830,618 19,681 9,911 1,850,726 1,227,606 1,126,990 9,522,745 6,280,220 1,053,151 79,174,855 4,097,147 181,063 583,415 1,173,648 7,109,502 3,873,755 1,504,887 2,232,166 1,117,674 198 TIAA-CREF FUNDS - Large-Cap Growth Index Fund SHARES 43,376 15,292 20,136 15,365 172,376 69,869 23,927 33,432 19,960 274,165 8,101 2,155,591 11,071 45,467 84,719 53,431 93,342 321,868 14,741 29,754 52,271 57,732 181,294 44,575 36,481 14,487 43,078 22,640 3,986 16,011 35,522 46,299 158,489 9,156 7,674 43,157 27,385 543,751 7,485 145,982 10,866 33,361 16,126 10,808 19,611 VALUE COMPANY Global Payments, Inc *,e GoDaddy, Inc * Guidewire Software, Inc IAC/InterActiveCorp International Business Machines Corp Intuit, Inc Jack Henry & Associates, Inc * LinkedIn Corp * Manhattan Associates, Inc MasterCard, Inc (Class A) *,e Match Group, Inc Microsoft Corp *,e NetSuite, Inc * Nuance Communications, Inc Oracle Corp *,e Pandora Media, Inc Paychex, Inc * PayPal Holdings, Inc * PTC, Inc * Rackspace Hosting, Inc * Red Hat, Inc Sabre Corp * Salesforce.com, Inc * ServiceNow, Inc * Splunk, Inc * Square, Inc SS&C Technologies Holdings, Inc Symantec Corp * Synopsys, Inc * Tableau Software, Inc * Teradata Corp Total System Services, Inc *,e Twitter, Inc * Tyler Technologies, Inc * Ultimate Software Group, Inc * Vantiv, Inc *,e VeriSign, Inc Visa, Inc (Class A) *,e VMware, Inc (Class A) Western Union Co * WEX, Inc * Workday, Inc * Yelp, Inc * Zillow Group, Inc *,e Zillow Group, Inc (Class C) TOTAL SOFTWARE & SERVICES $ TECHNOLOGY HARDWARE & EQUIPMENT - 5.7% 85,217 Amphenol Corp (Class A) 1,429,874 d Apple, Inc 11,179 *,e Arista Networks, Inc 13,349 * ARRIS International plc 47,777 CDW Corp 3,238,452 457,537 1,237,760 890,555 27,687,033 7,754,760 2,135,485 6,443,349 1,158,678 26,111,475 127,591 122,178,898 1,205,078 730,655 3,476,868 726,662 5,533,314 11,986,364 585,660 697,136 3,935,484 1,682,888 14,829,849 3,339,559 2,281,522 145,884 1,387,973 462,535 215,882 904,782 1,008,114 2,357,545 2,637,257 1,492,611 1,604,633 2,363,709 2,371,815 42,439,766 546,255 2,919,640 1,017,927 2,780,306 518,773 425,943 769,732 655,395,511 5,072,116 149,007,169 796,727 363,627 2,051,067 199 TIAA-CREF FUNDS - Large-Cap Growth Index Fund SHARES 23,248 35,635 56,826 18,688 11,404 31,497 8,260 7,657 26,793 33,612 24,997 55,429 32,825 11,871 VALUE COMPANY Cognex Corp * CommScope Holding Co, Inc EMC Corp * F5 Networks, Inc FEI Co *,e Fitbit, Inc * IPG Photonics Corp Motorola, Inc National Instruments Corp * NCR Corp * Palo Alto Networks, Inc * Trimble Navigation Ltd * VeriFone Systems, Inc * Zebra Technologies Corp (Class A) TOTAL TECHNOLOGY HARDWARE & EQUIPMENT TELECOMMUNICATION SERVICES - 1.3% 22,100 * SBA Communications Corp (Class A) 50,007 * T-Mobile US, Inc 581,971 Verizon Communications, Inc 45,527 * Zayo Group Holdings, Inc TOTAL TELECOMMUNICATION SERVICES TRANSPORTATION - 2.0% 28,046 1,058 24,651 * 40,819 170,584 36,391 70,692 4,131 * 25,292 6,735 * 14,002 11,967 * 180,939 38,246 196,802 UTILITIES - 0.1% 10,125 20,738 1,693 $ 1,050,112 1,067,268 1,607,039 2,306,473 1,213,614 430,249 696,235 531,243 768,423 1,108,188 3,271,857 1,465,543 628,927 629,282 174,065,159 2,541,500 2,317,325 32,247,013 1,288,414 38,394,252 Alaska Air Group, Inc Amerco, Inc Avis Budget Group, Inc CH Robinson Worldwide, Inc Delta Air Lines, Inc Expeditors International of Washington, Inc FedEx Corp Hertz Global Holdings, Inc J.B. Hunt Transport Services, Inc JetBlue Airways Corp Landstar System, Inc Old Dominion Freight Line Southwest Airlines Co Union Pacific Corp United Parcel Service, Inc (Class B) TOTAL TRANSPORTATION 1,885,252 418,450 905,431 2,841,819 6,610,130 1,798,807 11,445,035 201,097 2,102,524 123,453 987,001 833,621 6,696,552 3,558,790 21,274,296 61,682,258 Dominion Resources, Inc ITC Holdings Corp Piedmont Natural Gas Co, Inc TOTAL UTILITIES 789,952 959,133 101,240 1,850,325 3,022,874,170 TOTAL COMMON STOCKS (Cost $2,226,004,671) 200 TIAA-CREF FUNDS - Large-Cap Growth Index Fund ISSUER PRINCIPAL RATE SHORT-TERM INVESTMENTS - 2.5% GOVERNMENT AGENCY DEBT - 0.6% $ 16,600,000 d Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT 0.090% MATURITY DATE 08/01/16 VALUE $ SHARES COMPANY INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 1.9% 58,773,674 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES 58,773,674 58,773,674 75,373,674 TOTAL SHORT-TERM INVESTMENTS (Cost $75,373,674) TOTAL INVESTMENTS - 102.2% (Cost $2,301,378,345) OTHER ASSETS & LIABILITIES, NET - (2.2)% NET ASSETS - 100.0% * c d e 16,600,000 16,600,000 3,098,247,844 $ Non-income producing Investments made with cash collateral received from securities on loan. All or a portion of these securities have been segregated to cover margin requirements on open futures contracts. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $58,091,655. 201 (67,948,297) 3,030,299,547 TIAA-CREF FUNDS - Large-Cap Value Index Fund TIAA-CREF FUNDS LARGE-CAP VALUE INDEX FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 COMPANY SHARES VALUE COMMON STOCKS - 99.6% AUTOMOBILES & COMPONENTS - 1.2% 82,375 BorgWarner, Inc 1,663,426 Ford Motor Co 600,827 General Motors Co 41,694 Gentex Corp 115,423 Goodyear Tire & Rubber Co 193,528 Johnson Controls, Inc 5,258 Lear Corp TOTAL AUTOMOBILES & COMPONENTS BANKS - 9.9% 61,502 4,409,788 18,252 41,218 349,865 10,630 85,538 1,258,421 134,806 74,305 35,579 22,413 60,425 325,510 96,236 146,741 13,042 338,069 1,560,391 358,800 64,298 200,532 50,088 130,376 214,632 43,380 541,009 8,824 214,534 5,636 52,286 66,843 28,459 697,397 1,961,236 e e * * $ Associated Banc-Corp Bank of America Corp Bank of Hawaii Corp BankUnited BB&T Corp BOK Financial Corp CIT Group, Inc Citigroup, Inc Citizens Financial Group, Inc Comerica, Inc Commerce Bancshares, Inc Cullen/Frost Bankers, Inc East West Bancorp, Inc Fifth Third Bancorp First Horizon National Corp First Niagara Financial Group, Inc First Republic Bank Huntington Bancshares, Inc JPMorgan Chase & Co Keycorp M&T Bank Corp New York Community Bancorp, Inc PacWest Bancorp People's United Financial, Inc PNC Financial Services Group, Inc Popular, Inc Regions Financial Corp Signature Bank SunTrust Banks, Inc SVB Financial Group Synovus Financial Corp TCF Financial Corp TFS Financial Corp US Bancorp Wells Fargo & Co 2,733,203 21,058,973 18,950,084 736,733 3,309,177 8,886,806 596,520 56,271,496 1,143,937 63,897,828 1,257,928 1,237,364 12,899,523 693,395 2,956,193 55,131,424 3,010,218 3,361,558 1,682,531 1,521,619 2,067,743 6,178,180 1,401,196 1,493,823 934,720 3,211,655 99,818,212 4,197,960 7,365,979 2,897,687 2,071,139 1,976,500 17,739,335 1,461,472 4,961,053 1,060,998 9,072,643 565,967 1,591,586 908,396 517,954 29,409,232 94,080,491 202 TIAA-CREF FUNDS - Large-Cap Value Index Fund SHARES 19,129 84,911 CAPITAL GOODS - 7.4% 65,417 30,556 20,198 61,889 80,374 19,256 18,463 238,960 44,640 42,648 20,854 67,668 191,528 101,487 4,028 65,457 195,217 230,608 21,137 58,963 95,946 61,425 3,183,534 8,210 8,218 3,641 2,176 54,810 39,334 50,701 63,275 32,701 1,128 9,866 30,360 48,759 11,716 24,812 32,247 48,600 132,914 56,860 70,249 43,507 78,643 18,772 11,245 20,636 COMPANY VALUE * Western Alliance Bancorp Zions Bancorporation TOTAL BANKS $ * Aecom Technology Corp AGCO Corp Air Lease Corp Allison Transmission Holdings, Inc Ametek, Inc * Armstrong World Industries, Inc Carlisle Cos, Inc Caterpillar, Inc Chicago Bridge & Iron Co NV * Colfax Corp Crane Co Cummins, Inc Danaher Corp e Deere & Co Donaldson Co, Inc Dover Corp Eaton Corp Emerson Electric Co Flowserve Corp Fluor Corp * Fortive Corp General Dynamics Corp General Electric Co * Herc Holdings, Inc Hubbell, Inc Huntington Ingalls IDEX Corp Ingersoll-Rand plc ITT, Inc * Jacobs Engineering Group, Inc KBR, Inc L-3 Communications Holdings, Inc Lennox International, Inc Lincoln Electric Holdings, Inc * Manitowoc Foodservice, Inc Masco Corp MSC Industrial Direct Co (Class A) Orbital ATK, Inc Oshkosh Truck Corp Owens Corning, Inc Paccar, Inc Parker Hannifin Corp Pentair plc * Quanta Services, Inc Raytheon Co Regal-Beloit Corp Rockwell Automation, Inc Roper Industries, Inc 650,960 2,367,319 446,795,718 2,321,649 1,471,577 581,904 1,783,641 3,779,989 817,802 1,907,043 19,776,329 1,509,279 1,252,145 1,299,204 8,307,600 15,598,040 7,886,555 145,532 4,675,594 12,378,710 12,890,987 1,011,406 3,155,700 4,625,557 9,022,718 99,135,249 290,224 886,147 628,364 195,383 3,631,711 1,247,281 2,713,518 887,116 4,958,453 176,870 612,284 556,802 1,778,728 841,560 2,161,622 1,776,487 2,571,426 7,837,939 6,492,843 4,483,291 1,113,779 10,973,058 1,145,280 1,286,428 3,515,549 203 TIAA-CREF FUNDS - Large-Cap Value Index Fund SHARES 6,425 29,327 27,571 56,406 46,308 78,315 30,428 63,667 6,002 332,618 39,769 2,272 17,780 35,552 COMPANY VALUE Snap-On, Inc *,e SolarCity Corp * Spirit Aerosystems Holdings, Inc (Class A) Stanley Works Terex Corp Textron, Inc Timken Co Trinity Industries, Inc * United Rentals, Inc United Technologies Corp * USG Corp Valmont Industries, Inc *,e WESCO International, Inc Xylem, Inc TOTAL CAPITAL GOODS $ 1,009,817 783,031 1,196,030 6,864,610 1,117,875 3,054,285 1,017,817 1,477,711 478,179 35,806,328 1,119,895 297,518 991,057 1,699,741 335,010,247 COMMERCIAL & PROFESSIONAL SERVICES - 0.5% 21,540 * Clean Harbors, Inc 8,997 Dun & Bradstreet Corp 30,793 Manpower, Inc 32,675 Nielsen NV 27,802 R.R. Donnelley & Sons Co 101,038 Republic Services, Inc 1,834 * Stericycle, Inc 154,674 Tyco International plc 33,904 Waste Management, Inc TOTAL COMMERCIAL & PROFESSIONAL SERVICES 1,107,587 1,162,862 2,137,034 1,759,876 498,212 5,179,208 165,555 7,048,494 2,241,732 21,300,560 CONSUMER DURABLES & APPAREL - 0.7% 7,025 Brunswick Corp 28,708 CalAtlantic Group, Inc 96,239 Coach, Inc 64,435 DR Horton, Inc 48,064 *,e Garmin Ltd 16,657 Harman International Industries, Inc 2,443 Lennar Corp (B Shares) 36,737 Lennar Corp (Class A) 5,361 * Mohawk Industries, Inc 34,833 Phillips-Van Heusen Corp 103,211 Pulte Homes, Inc 22,600 Ralph Lauren Corp 35,899 * Toll Brothers, Inc 22,484 * Vista Outdoor, Inc 28,697 Whirlpool Corp TOTAL CONSUMER DURABLES & APPAREL 348,581 1,039,517 4,148,863 2,118,623 2,611,317 1,376,534 91,710 1,719,292 1,120,127 3,520,223 2,186,009 2,216,834 1,005,531 1,125,324 5,520,155 30,148,640 CONSUMER SERVICES - 0.7% 60,188 ARAMARK Holdings Corp 174,076 Carnival Corp 3,705 Choice Hotels International, Inc 24,941 Extended Stay America, Inc 1,916 Graham Holdings Co 95,463 H&R Block, Inc 2,157,740 8,132,831 178,914 353,165 964,208 2,271,065 204 TIAA-CREF FUNDS - Large-Cap Value Index Fund SHARES 26,047 11,815 39,278 9,859 185,686 61,084 72,533 28,719 37,960 3,196 COMPANY VALUE Hilton Worldwide Holdings, Inc * Hyatt Hotels Corp International Game Technology plc Marriott International, Inc (Class A) * MGM Resorts International * Norwegian Cruise Line Holdings Ltd Royal Caribbean Cruises Ltd Starwood Hotels & Resorts Worldwide, Inc Wendy's Wynn Resorts Ltd TOTAL CONSUMER SERVICES $ DIVERSIFIED FINANCIALS - 5.1% 2,895 * Affiliated Managers Group, Inc 186,794 Ally Financial, Inc 342,122 American Express Co 46,672 Ameriprise Financial, Inc 447,929 Bank of New York Mellon Corp 53,453 BlackRock, Inc 218,529 Capital One Financial Corp 100,895 Charles Schwab Corp 144,562 CME Group, Inc 117,779 Discover Financial Services 121,242 * E*TRADE Financial Corp 153,862 Franklin Resources, Inc 165,328 Goldman Sachs Group, Inc 23,245 Interactive Brokers Group, Inc (Class A) 26,248 IntercontinentalExchange Group, Inc 145,591 Invesco Ltd 78,742 e iShares Russell 1000 Value Index Fund 46,412 Lazard Ltd (Class A) 45,469 Legg Mason, Inc 142,459 Leucadia National Corp 31,860 e LPL Financial Holdings, Inc 7,254 Moody's Corp 612,374 Morgan Stanley 48,526 NASDAQ OMX Group, Inc 142,254 Navient Corp 88,205 Northern Trust Corp 23,641 * OneMain Holdings, Inc 53,038 Raymond James Financial, Inc 47,671 * Santander Consumer USA Holdings, Inc 177,015 * SLM Corp 168,869 State Street Corp 357,620 * Synchrony Financial 25,157 T Rowe Price Group, Inc 11,916 TD Ameritrade Holding Corp 89,645 Voya Financial, Inc TOTAL DIVERSIFIED FINANCIALS ENERGY - 12.8% 219,550 68,796 604,030 595,949 820,910 706,890 4,452,750 2,602,178 5,254,290 2,241,805 366,694 313,048 32,016,467 424,928 3,369,764 22,053,184 4,473,044 17,648,403 19,577,161 14,658,925 2,867,436 14,780,019 6,694,558 3,040,749 5,568,266 26,255,740 809,856 6,934,722 4,248,345 8,312,793 1,658,765 1,552,312 2,601,301 858,627 768,997 17,593,505 3,433,700 2,020,007 5,961,776 681,806 2,911,786 523,904 1,272,738 11,108,203 9,970,446 1,778,348 361,770 2,297,601 229,073,485 Anadarko Petroleum Corp * Antero Resources Corp 11,972,061 1,801,767 205 TIAA-CREF FUNDS - Large-Cap Value Index Fund COMPANY SHARES 49,985 187,775 56,398 84,592 244,317 806,915 33,244 55,791 532,692 94,549 19,958 203,693 26,480 22,997 16,120 41,245 135,660 209,826 73,329 1,779,104 96,599 13,017 54,628 366,773 41,020 119,885 70,690 824,143 59,620 59,497 363,618 225,339 33,542 70,397 115,740 160,983 63,204 107,119 180,019 327,547 40,704 58,278 59,609 41,266 192,452 69,807 91,374 71,988 51,668 52,048 22,135 597,560 31,427 * *,e * e *,e * e * * d * e * e * *,e * e * e * * *,e e VALUE Apache Corp Baker Hughes, Inc Cabot Oil & Gas Corp Cheniere Energy, Inc Chesapeake Energy Corp Chevron Corp Cimarex Energy Co Concho Resources, Inc ConocoPhillips Consol Energy, Inc Continental Resources, Inc Devon Energy Corp Diamond Offshore Drilling, Inc Diamondback Energy, Inc Dril-Quip, Inc Energen Corp Ensco plc EOG Resources, Inc EQT Corp Exxon Mobil Corp FMC Technologies, Inc Frank's International NV Gulfport Energy Corp Halliburton Co Helmerich & Payne, Inc Hess Corp HollyFrontier Corp Kinder Morgan, Inc Kosmos Energy LLC Laredo Petroleum Holdings, Inc Marathon Oil Corp Marathon Petroleum Corp Memorial Resource Development Corp Murphy Oil Corp Nabors Industries Ltd National Oilwell Varco, Inc Newfield Exploration Co Noble Corp plc Noble Energy, Inc Occidental Petroleum Corp Oceaneering International, Inc Parsley Energy, Inc Patterson-UTI Energy, Inc PBF Energy, Inc Phillips 66 Pioneer Natural Resources Co Questar Market Resources, Inc Range Resources Corp Rice Energy, Inc Rowan Cos plc RPC, Inc Schlumberger Ltd SM Energy Co $ 206 2,624,212 8,981,278 1,391,339 3,538,483 1,324,198 82,692,649 3,989,945 6,929,242 21,744,488 1,832,360 879,150 7,797,368 601,626 2,018,907 877,412 1,954,188 1,244,002 17,142,784 5,342,751 158,251,301 2,451,683 160,369 1,589,129 16,013,309 2,542,009 6,431,830 1,796,940 16,754,827 330,891 596,160 4,959,750 8,876,103 502,459 1,930,990 1,041,660 5,207,800 2,736,733 790,538 6,430,279 24,477,587 1,134,828 1,661,506 1,155,818 921,882 14,637,899 11,348,524 1,663,007 2,901,836 1,204,898 793,212 320,736 48,115,531 852,615 TIAA-CREF FUNDS - Large-Cap Value Index Fund COMPANY SHARES 252,480 62,814 65,963 50,943 147,894 201,090 390,346 94,137 246,584 28,733 142,745 e * *,e * VALUE Spectra Energy Corp Superior Energy Services Targa Resources Investments, Inc Tesoro Corp Transocean Ltd (NYSE) Valero Energy Corp Weatherford International Ltd Whiting Petroleum Corp Williams Cos, Inc World Fuel Services Corp WPX Energy, Inc TOTAL ENERGY $ FOOD & STAPLES RETAILING - 1.7% 27,038 CVS Health Corp 292,494 Walgreens Boots Alliance, Inc 649,416 Wal-Mart Stores, Inc 113,601 Whole Foods Market, Inc TOTAL FOOD & STAPLES RETAILING 9,081,706 1,003,140 2,457,781 3,879,309 1,625,355 10,512,985 2,217,165 693,790 5,910,618 1,367,691 1,426,023 577,440,412 2,506,963 23,180,149 47,387,886 3,462,559 76,537,557 FOOD, BEVERAGE & TOBACCO - 4.2% 245,310 Archer Daniels Midland Co 893 Brown-Forman Corp 3,231 Brown-Forman Corp (Class B) 59,488 Bunge Ltd 420,225 Coca-Cola Co 38,189 ConAgra Foods, Inc 6,828 Flowers Foods, Inc 10,759 * Hain Celestial Group, Inc 14,155 Hormel Foods Corp 9,462 Ingredion, Inc 49,492 J.M. Smucker Co 8,574 Kellogg Co 223,409 Kraft Heinz Co 50,505 Mead Johnson Nutrition Co 73,449 Molson Coors Brewing Co (Class B) 641,677 Mondelez International, Inc 81,095 PepsiCo, Inc 593,317 Philip Morris International, Inc 20,964 e Pilgrim's Pride Corp 49,273 Pinnacle Foods, Inc 11,362 * Post Holdings, Inc 136,482 Reynolds American, Inc 15,683 * TreeHouse Foods, Inc 66,870 Tyson Foods, Inc (Class A) TOTAL FOOD, BEVERAGE & TOBACCO 11,058,575 94,354 317,252 3,916,690 18,334,417 1,785,718 125,567 567,968 528,689 1,260,717 7,629,687 709,155 19,300,304 4,505,046 7,503,550 28,220,955 8,832,867 59,485,962 487,413 2,473,997 984,744 6,832,289 1,618,329 4,921,632 191,495,877 HEALTH CARE EQUIPMENT & SERVICES - 3.8% 630,556 Abbott Laboratories 20,562 *,e Acadia Healthcare Co, Inc 96,512 Aetna Inc 30,457 * Alere, Inc 77,399 * Allscripts Healthcare Solutions, Inc 28,217,381 1,161,753 11,119,147 1,142,137 1,092,874 207 TIAA-CREF FUNDS - Large-Cap Value Index Fund SHARES 10,372 82,135 190,260 79,378 10,452 19,563 72,541 4,389 43,356 97,872 12,725 31,459 41,926 1,944 3,920 24,203 17,253 11,651 600,823 15,680 60,322 36,044 15,233 27,562 1,456 36,585 COMPANY VALUE * Amsurg Corp Anthem, Inc Baxter International, Inc * Brookdale Senior Living, Inc Cardinal Health, Inc * Centene Corp Cigna Corp Cooper Cos, Inc * DaVita, Inc DENTSPLY SIRONA, Inc * Envision Healthcare Holdings, Inc * Express Scripts Holding Co * HCA Holdings, Inc Hill-Rom Holdings, Inc Humana, Inc * Laboratory Corp of America Holdings * LifePoint Hospitals, Inc * MEDNAX, Inc Medtronic plc * Premier, Inc Quest Diagnostics, Inc St. Jude Medical, Inc Teleflex, Inc Universal Health Services, Inc (Class B) * WellCare Health Plans, Inc Zimmer Holdings, Inc TOTAL HEALTH CARE EQUIPMENT & SERVICES HOUSEHOLD & PERSONAL PRODUCTS - 2.9% 8,332 Clorox Co 306,147 Colgate-Palmolive Co 8,419 e Coty, Inc 24,727 Edgewell Personal Care Co 17,692 Energizer Holdings, Inc 23,136 Kimberly-Clark Corp 16,630 Nu Skin Enterprises, Inc (Class A) 1,143,445 Procter & Gamble Co TOTAL HOUSEHOLD & PERSONAL PRODUCTS INSURANCE - 7.4% 171,859 6,300 36,366 160,904 29,365 474,308 3,033 34,584 49,801 22,844 25,843 26,205 58,220 $ 778,004 10,787,611 9,136,285 1,466,112 873,787 1,380,170 9,354,887 800,861 3,361,824 6,267,723 312,908 2,393,086 3,233,752 103,868 676,396 3,377,771 1,021,033 802,870 52,650,119 512,736 5,209,408 2,993,094 2,746,662 3,570,106 155,501 4,797,757 171,497,623 1,092,075 22,786,521 226,219 2,092,151 911,669 2,997,269 888,042 97,867,458 128,861,404 Aflac, Inc * Alleghany Corp Allied World Assurance Co Holdings Ltd Allstate Corp American Financial Group, Inc American International Group, Inc American National Insurance Co Amtrust Financial Services, Inc * Arch Capital Group Ltd Arthur J. Gallagher & Co Aspen Insurance Holdings Ltd Assurant, Inc Assured Guaranty Ltd 12,421,969 3,424,050 1,490,642 10,994,570 2,146,581 25,821,328 346,824 825,520 3,617,047 1,123,696 1,187,744 2,175,277 1,559,714 208 TIAA-CREF FUNDS - Large-Cap Value Index Fund SHARES 39,448 811,578 47,746 198,539 63,942 11,002 27,274 3,521 18,130 46,131 110,828 18,631 166,529 78,541 119,468 5,854 11,853 398,371 100,379 113,911 23,380 226,150 189,180 27,739 17,964 50,532 124,902 101,343 32,837 40,463 2,011 80,206 MATERIALS - 2.9% 11,137 47,780 563,954 19,820 26,445 2,589 35,149 26,087 56,651 102,069 13,914 26,299 480,633 62,867 12,089 422,489 43,572 85,910 COMPANY VALUE Axis Capital Holdings Ltd * Berkshire Hathaway, Inc (Class B) Brown & Brown, Inc Chubb Ltd Cincinnati Financial Corp CNA Financial Corp Endurance Specialty Holdings Ltd Erie Indemnity Co (Class A) Everest Re Group Ltd First American Financial Corp FNF Group Hanover Insurance Group, Inc Hartford Financial Services Group, Inc Lincoln National Corp Loews Corp * Markel Corp Mercury General Corp Metlife, Inc Old Republic International Corp Principal Financial Group ProAssurance Corp Progressive Corp Prudential Financial, Inc Reinsurance Group of America, Inc (Class A) RenaissanceRe Holdings Ltd Torchmark Corp Travelers Cos, Inc UnumProvident Corp Validus Holdings Ltd W.R. Berkley Corp White Mountains Insurance Group Ltd XL Group Ltd TOTAL INSURANCE $ Air Products & Chemicals, Inc Albemarle Corp Alcoa, Inc Aptargroup, Inc Ashland, Inc Avery Dennison Corp Bemis Co, Inc Cabot Corp Celanese Corp (Series A) CF Industries Holdings, Inc e Compass Minerals International, Inc Domtar Corp Dow Chemical Co Eastman Chemical Co FMC Corp Freeport-McMoRan Copper & Gold, Inc (Class B) Graphic Packaging Holding Co Huntsman Corp 2,192,520 117,086,358 1,750,368 24,868,995 4,776,467 350,194 1,844,541 343,966 3,426,751 1,928,737 4,174,891 1,534,077 6,636,181 3,429,885 4,937,612 5,553,982 656,301 17,026,377 1,945,345 5,311,670 1,207,811 7,352,136 14,243,362 2,753,096 2,111,129 3,126,415 14,516,110 3,385,870 1,623,133 2,354,542 1,651,675 2,775,930 334,011,389 1,664,091 4,021,643 5,989,192 1,549,528 2,994,632 201,657 1,794,005 1,270,176 3,592,806 2,519,063 968,275 1,035,392 25,795,573 4,100,814 574,711 5,475,457 594,322 1,328,169 209 TIAA-CREF FUNDS - Large-Cap Value Index Fund COMPANY SHARES 175,435 82,932 2,509 65,479 147,715 207 227,388 136,147 73,606 14,786 29,834 25,935 2,002 42,028 19,387 84,237 127,936 59,875 3,782 15,908 106,003 13,035 MEDIA - 1.0% 6,781 77,345 5,855 8,720 20,929 19,794 10,589 44,179 40,176 79,247 13,859 23,371 7,264 157,378 48,903 24,000 90,722 128,903 115,468 29,650 106,163 45,958 1,631 16,888 VALUE International Paper Co LyondellBasell Industries AF S.C.A Martin Marietta Materials, Inc Monsanto Co Mosaic Co NewMarket Corp Newmont Mining Corp Nucor Corp *,e Platform Specialty Products Corp Praxair, Inc Reliance Steel & Aluminum Co Royal Gold, Inc Scotts Miracle-Gro Co (Class A) Sonoco Products Co e Southern Copper Corp (NY) Steel Dynamics, Inc Tahoe Resources, Inc e United States Steel Corp Vulcan Materials Co Westlake Chemical Corp WestRock Co WR Grace & Co TOTAL MATERIALS * * * * * * * e * * e $ Clear Channel Outdoor Holdings, Inc (Class A) Comcast Corp (Class A) Discovery Communications, Inc (Class A) Discovery Communications, Inc (Class C) DISH Network Corp (Class A) John Wiley & Sons, Inc (Class A) Liberty Broadband Corp (Class A) Liberty Broadband Corp (Class C) Liberty SiriusXM Group (Class A) Liberty SiriusXM Group (Class C) Lions Gate Entertainment Corp Live Nation, Inc Madison Square Garden Co News Corp News Corp (Class B) Regal Entertainment Group (Class A) TEGNA, Inc Thomson Corp Time Warner, Inc Tribune Co Twenty-First Century Fox, Inc Twenty-First Century Fox, Inc (Class B) Viacom, Inc Viacom, Inc (Class B) TOTAL MEDIA 8,036,677 6,241,462 508,449 6,991,193 3,988,305 88,584 10,005,072 7,302,925 677,175 1,723,160 2,340,179 2,192,545 147,648 2,140,486 503,868 2,259,236 1,990,684 1,645,964 468,892 727,632 4,548,589 975,930 130,974,161 47,399 5,201,451 146,902 213,989 1,118,027 1,142,114 665,095 2,796,972 1,436,292 2,793,457 277,041 640,833 1,327,787 2,041,193 657,256 564,480 1,986,812 5,428,105 8,850,622 1,098,533 2,828,182 1,242,245 80,963 767,897 43,353,647 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 7.6% 102,645 Agilent Technologies, Inc 4,938,251 210 TIAA-CREF FUNDS - Large-Cap Value Index Fund COMPANY SHARES 69,094 4,490 8,668 87,832 975,220 3,804 47,443 1,189,234 133,880 11,324 37,116 58,621 2,398,567 95,650 12,519 91,407 13,498 30,412 REAL ESTATE - 5.7% 28,129 54,978 142,156 72,762 436,083 67,317 68,143 58,683 54,471 75,365 83,429 36,666 31,446 81,032 53,695 52,080 40,100 51,046 16,186 25,208 4,511 38,573 133,887 18,999 61,202 147,872 20,251 26,955 55,184 38,001 151,384 16,149 * *,e * * *,e * * *,e * * * * VALUE Allergan plc Alnylam Pharmaceuticals, Inc Bio-Rad Laboratories, Inc (Class A) Endo International plc Johnson & Johnson Juno Therapeutics, Inc Mallinckrodt plc Merck & Co, Inc Mylan NV Opko Health, Inc PerkinElmer, Inc Perrigo Co plc Pfizer, Inc Qiagen NV (NASDAQ) Quintiles Transnational Holdings, Inc Thermo Electron Corp United Therapeutics Corp VWR Corp TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES Alexandria Real Estate Equities, Inc American Campus Communities, Inc American Capital Agency Corp American Homes 4 Rent Annaly Capital Management, Inc Apartment Investment & Management Co (Class A) Apple Hospitality REIT, Inc AvalonBay Communities, Inc Boston Properties, Inc Brandywine Realty Trust Brixmor Property Group, Inc Camden Property Trust Care Capital Properties, Inc Chimera Investment Corp Columbia Property Trust, Inc Communications Sales & Leasing, Inc Corporate Office Properties Trust Corrections Corp of America Crown Castle International Corp CubeSmart CyrusOne, Inc DCT Industrial Trust, Inc DDR Corp Digital Realty Trust, Inc Douglas Emmett, Inc Duke Realty Corp Empire State Realty Trust, Inc Entertainment Properties Trust * Equity Commonwealth Equity One, Inc Equity Residential Essex Property Trust, Inc $ 17,477,327 305,679 1,257,640 1,524,763 122,126,801 117,658 3,194,812 69,760,466 6,264,245 112,674 2,112,643 5,357,373 88,483,137 2,563,420 971,975 14,519,088 1,633,393 952,504 343,673,849 3,158,887 2,972,660 2,784,836 1,578,935 4,788,191 3,094,563 1,388,073 10,894,499 7,741,963 1,271,408 2,369,384 3,284,907 930,173 1,359,717 1,304,789 1,618,646 1,201,396 1,636,024 1,570,528 748,930 247,293 1,937,136 2,642,929 1,984,636 2,328,124 4,257,235 425,069 2,264,759 1,656,624 1,264,293 10,292,598 3,776,928 211 TIAA-CREF FUNDS - Large-Cap Value Index Fund SHARES 99,131 244,969 200,467 14,906 40,734 65,420 309,761 15,676 19,439 39,171 170,447 62,029 61,893 162,036 32,521 60,821 81,814 48,651 48,079 74,729 60,783 23,146 221,743 51,429 60,051 109,972 35,364 100,203 86,226 12,548 41,943 7,016 200,760 100,048 64,705 26,598 3,714 12,245 148,256 114,117 98,502 387,775 73,592 50,800 152,111 316,090 42,991 RETAILING - 1.3% 17,143 57,659 118,828 COMPANY VALUE Forest City Realty Trust, Inc General Growth Properties, Inc HCP, Inc Healthcare Trust of America, Inc Highwoods Properties, Inc Hospitality Properties Trust Host Marriott Corp * Howard Hughes Corp Jones Lang LaSalle, Inc Kilroy Realty Corp Kimco Realty Corp Liberty Property Trust Macerich Co MFA Mortgage Investments, Inc Mid-America Apartment Communities, Inc National Retail Properties, Inc NorthStar Realty Finance Corp Omega Healthcare Investors, Inc Outfront Media, Inc Paramount Group, Inc Piedmont Office Realty Trust, Inc Post Properties, Inc Prologis, Inc Rayonier, Inc * Realogy Holdings Corp Realty Income Corp Regency Centers Corp Retail Properties of America, Inc Senior Housing Properties Trust Simon Property Group, Inc SL Green Realty Corp Sovran Self Storage, Inc Spirit Realty Capital, Inc Starwood Property Trust, Inc STORE Capital Corp Sun Communities, Inc Tanger Factory Outlet Centers, Inc Taubman Centers, Inc Two Harbors Investment Corp UDR, Inc Ventas, Inc VEREIT, Inc Vornado Realty Trust Weingarten Realty Investors Welltower, Inc Weyerhaeuser Co WP Carey, Inc TOTAL REAL ESTATE $ 2,344,448 7,826,760 7,864,320 507,549 2,269,698 2,087,552 5,495,160 1,872,655 2,127,987 2,867,709 5,471,349 2,566,760 5,523,331 1,218,511 3,447,876 3,233,244 1,096,308 1,678,460 1,118,798 1,317,472 1,333,579 1,471,854 12,082,776 1,399,897 1,860,981 7,859,699 3,003,465 1,766,579 1,915,079 2,848,898 4,941,724 718,228 2,744,389 2,181,046 2,018,149 2,105,232 155,022 990,865 1,297,240 4,248,576 7,501,912 4,288,792 7,903,781 2,194,052 12,066,966 10,342,465 3,123,296 255,076,622 914,579 2,591,772 3,992,621 * Autonation, Inc * Bed Bath & Beyond, Inc Best Buy Co, Inc 212 TIAA-CREF FUNDS - Large-Cap Value Index Fund SHARES 13,273 19,510 32,000 8,555 8,960 6,227 45,203 91,309 3,706 131,875 78,040 83,866 83,642 46,907 130,833 9,768 6,358 17,043 2,825 278,300 225,300 46,258 8,199 COMPANY VALUE * Burlington Stores, Inc * Cabela's, Inc CST Brands, Inc Dick's Sporting Goods, Inc e Dillard's, Inc (Class A) Foot Locker, Inc e GameStop Corp (Class A) e Gap, Inc Genuine Parts Co *,e JC Penney Co, Inc Kohl's Corp L Brands, Inc * Liberty Interactive Corp * Liberty Ventures Macy's, Inc * Michaels Cos, Inc * Murphy USA, Inc Penske Auto Group, Inc Signet Jewelers Ltd Staples, Inc Target Corp e Tiffany & Co * Urban Outfitters, Inc TOTAL RETAILING $ SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.0% 131,817 Analog Devices, Inc 131,610 Applied Materials, Inc 26,624 *,e Cree, Inc 132,641 e Cypress Semiconductor Corp 33,181 *,e First Solar, Inc 1,846,235 Intel Corp 13,324 Lam Research Corp 53,599 Linear Technology Corp 167,068 Marvell Technology Group Ltd 444,413 * Micron Technology, Inc 157,307 * ON Semiconductor Corp 48,777 * Qorvo, Inc 500,036 Qualcomm, Inc 6,454 Skyworks Solutions, Inc 26,446 *,e SunPower Corp 88,155 Teradyne, Inc 74,840 Xilinx, Inc TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT SOFTWARE & SERVICES - 2.7% 7,955 * Akamai Technologies, Inc 63,863 Amdocs Ltd 27,958 * Ansys, Inc 16,388 * Autodesk, Inc 2,534 Booz Allen Hamilton Holding Co 124,568 CA, Inc 9,381 *,e CommerceHub, Inc 1,015,517 1,007,301 1,431,040 438,786 606,413 371,254 1,399,033 2,354,859 378,901 1,273,913 3,245,684 6,197,697 2,242,442 1,768,863 4,687,746 257,484 487,277 675,244 248,346 2,585,407 16,971,849 2,984,566 245,150 60,373,744 8,413,879 3,460,027 761,446 1,543,941 1,548,889 64,359,752 1,196,096 3,215,404 1,963,049 6,106,235 1,577,789 3,084,170 31,292,253 426,093 385,583 1,741,061 3,822,827 134,898,494 401,966 3,727,045 2,498,327 974,267 78,250 4,316,281 131,340 213 TIAA-CREF FUNDS - Large-Cap Value Index Fund SHARES 4,691 59,680 60,139 51,139 15,499 6,315 118,324 27,166 22,428 1,145,221 12,922 25,879 5,970 224,682 57,769 33,155 24,241 425,016 370,970 9,226 7,273 13,572 309,282 COMPANY VALUE *,e CommerceHub, Inc (Series A) Computer Sciences Corp Fidelity National Information Services, Inc *,e FireEye, Inc * First American Corp IAC/InterActiveCorp International Business Machines Corp e Leidos Holdings, Inc * Nuance Communications, Inc Oracle Corp *,e Pandora Media, Inc * PTC, Inc SS&C Technologies Holdings, Inc Symantec Corp * Synopsys, Inc *,e Twitter, Inc *,e VMware, Inc (Class A) Xerox Corp * Yahoo!, Inc * Yelp, Inc * Zillow Group, Inc *,e Zillow Group, Inc (Class C) * Zynga, Inc TOTAL SOFTWARE & SERVICES $ TECHNOLOGY HARDWARE & EQUIPMENT - 4.1% 197,299 Apple, Inc 61,467 * ARRIS International plc 38,556 * Arrow Electronics, Inc 55,153 Avnet, Inc 199,160 Brocade Communications Systems, Inc 2,160,589 Cisco Systems, Inc 458,931 Corning, Inc 21,778 Dolby Laboratories, Inc (Class A) 18,607 * EchoStar Corp (Class A) 746,383 EMC Corp 12,854 *,e Fitbit, Inc 57,786 Flir Systems, Inc 53,348 Harris Corp 739,814 Hewlett Packard Enterprise Co 739,431 HP, Inc 62,038 Ingram Micro, Inc (Class A) 2,192 * IPG Photonics Corp 79,905 Jabil Circuit, Inc 160,825 Juniper Networks, Inc 72,163 * Keysight Technologies, Inc 25,911 Lexmark International, Inc (Class A) 66,746 Motorola, Inc 9,063 National Instruments Corp 122,563 NetApp, Inc 21,847 * Trimble Navigation Ltd 120,416 Western Digital Corp 4,548 * Zebra Technologies Corp (Class A) TOTAL TECHNOLOGY HARDWARE & EQUIPMENT 214 66,139 2,854,494 4,782,855 890,841 624,300 366,017 19,005,201 1,358,572 360,418 46,999,870 175,739 1,028,173 192,353 4,590,253 3,128,769 551,699 1,769,108 4,377,665 14,167,344 296,801 286,629 532,701 887,639 121,421,056 20,560,529 1,674,361 2,563,588 2,266,788 1,852,188 65,962,782 10,197,447 1,095,651 724,743 21,107,711 175,586 1,882,668 4,621,004 15,550,890 10,359,428 2,124,181 184,764 1,626,067 3,649,119 2,110,046 950,156 4,630,838 259,927 3,229,535 577,635 5,720,964 241,090 185,899,686 TIAA-CREF FUNDS - Large-Cap Value Index Fund COMPANY SHARES VALUE TELECOMMUNICATION SERVICES - 4.1% 2,642,785 AT&T, Inc 230,586 CenturyTel, Inc 493,435 e Frontier Communications Corp 124,849 * Level 3 Communications, Inc 19,478 * SBA Communications Corp (Class A) 328,576 * Sprint Corp 40,559 Telephone & Data Systems, Inc 46,682 * T-Mobile US, Inc 6,024 * US Cellular Corp 875,885 Verizon Communications, Inc TOTAL TELECOMMUNICATION SERVICES TRANSPORTATION - 2.0% 8,703 957 247,912 14,138 e 408,780 72,202 23,941 23,479 * 26,152 * 126,892 * 46,395 22,670 * 31,199 126,380 11,763 * 22,785 30,661 * 305,427 143,271 * UTILITIES - 6.9% 282,290 97,955 103,394 211,370 76,422 76,040 43,316 23,663 151,913 183,035 119,154 131,187 247,982 77,019 295,434 $ Alaska Air Group, Inc Amerco, Inc American Airlines Group, Inc Copa Holdings S.A. (Class A) CSX Corp Delta Air Lines, Inc Expeditors International of Washington, Inc Genesee & Wyoming, Inc (Class A) Hertz Global Holdings, Inc JetBlue Airways Corp Kansas City Southern Industries, Inc Kirby Corp Macquarie Infrastructure Co LLC Norfolk Southern Corp Old Dominion Freight Line Ryder System, Inc Spirit Airlines, Inc Union Pacific Corp United Continental Holdings, Inc TOTAL TRANSPORTATION 114,406,163 7,249,624 2,565,862 6,317,359 2,239,970 2,017,456 1,277,203 2,163,244 243,671 48,532,788 187,013,340 585,016 378,503 8,800,876 947,246 11,580,737 2,797,828 1,183,404 1,520,265 1,273,079 2,325,930 4,459,024 1,235,288 2,391,403 11,346,396 819,411 1,501,532 1,310,758 28,419,982 6,717,977 89,594,655 AES Corp Alliant Energy Corp Ameren Corp American Electric Power Co, Inc American Water Works Co, Inc Aqua America, Inc Atmos Energy Corp Avangrid, Inc * Calpine Corp Centerpoint Energy, Inc CMS Energy Corp Consolidated Edison, Inc Dominion Resources, Inc DTE Energy Co Duke Energy Corp 3,486,281 3,942,689 5,421,981 14,647,941 6,310,929 2,634,026 3,456,184 1,068,148 2,087,285 4,378,197 5,383,378 10,505,455 19,347,556 7,510,893 25,286,196 215 TIAA-CREF FUNDS - Large-Cap Value Index Fund SHARES 135,464 76,212 136,124 378,460 181,179 66,011 47,216 32,675 81,843 32,243 197,315 135,777 133,506 84,847 212,026 31,744 47,838 288,545 217,634 74,870 56,076 107,158 403,750 73,452 36,189 135,257 61,740 218,691 VALUE COMPANY Edison International Entergy Corp Eversource Energy Exelon Corp FirstEnergy Corp Great Plains Energy, Inc * Hawaiian Electric Industries, Inc ITC Holdings Corp MDU Resources Group, Inc National Fuel Gas Co NextEra Energy, Inc NiSource, Inc NRG Energy, Inc OGE Energy Corp PG&E Corp Piedmont Natural Gas Co, Inc Pinnacle West Capital Corp PPL Corp Public Service Enterprise Group, Inc Questar Corp SCANA Corp Sempra Energy Southern Co UGI Corp Vectren Corp WEC Energy Group, Inc Westar Energy, Inc Xcel Energy, Inc TOTAL UTILITIES $ 10,482,204 6,202,895 7,961,893 14,108,989 6,326,771 1,965,807 1,466,057 1,511,219 1,968,324 1,822,052 25,313,541 3,484,038 1,847,723 2,729,528 13,556,942 1,898,291 3,772,983 10,881,032 10,013,340 1,884,478 4,202,335 11,988,837 21,600,625 3,324,437 1,872,057 8,779,532 3,430,892 9,618,029 309,481,990 4,492,222,119 TOTAL COMMON STOCKS (Cost $4,028,069,585) RATE PRINCIPAL ISSUER SHORT-TERM INVESTMENTS - 2.0% GOVERNMENT AGENCY DEBT - 0.6% $ 28,950,000 d Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT 0.090% 216 MATURITY DATE 08/01/16 28,950,000 28,950,000 TIAA-CREF FUNDS - Large-Cap Value Index Fund SHARES COMPANY INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 1.4% 60,585,742 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $89,535,742) TOTAL INVESTMENTS - 101.6% (Cost $4,117,605,327) OTHER ASSETS & LIABILITIES, NET - (1.6)% NET ASSETS - 100.0% $ 60,585,742 60,585,742 89,535,742 4,581,757,861 $ Abbreviation(s): REIT Real Estate Investment Trust * c d e VALUE Non-income producing Investments made with cash collateral received from securities on loan. All or a portion of these securities have been segregated to cover margin requirements on open futures contracts. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $59,728,887. 217 (70,517,200) 4,511,240,661 TIAA-CREF FUNDS - S&P 500 Index Fund TIAA-CREF FUNDS S&P 500 INDEX FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.2% AUTOMOBILES & COMPONENTS - 0.9% 38,748 BorgWarner, Inc 46,932 Delphi Automotive plc 683,941 Ford Motor Co 247,005 General Motors Co 46,617 Goodyear Tire & Rubber Co 30,605 e Harley-Davidson, Inc 110,838 Johnson Controls, Inc TOTAL AUTOMOBILES & COMPONENTS BANKS - 5.2% 1,797,182 139,765 511,582 88,002 29,301 129,084 136,761 640,981 184,116 27,471 64,732 88,318 213,654 84,991 284,653 805,031 41,850 CAPITAL GOODS - 7.3% 105,835 7,558 16,391 39,447 104,481 101,610 27,484 102,386 51,144 26,877 79,870 112,272 49,218 23,098 24,567 $ Bank of America Corp BB&T Corp Citigroup, Inc Citizens Financial Group, Inc Comerica, Inc Fifth Third Bancorp Huntington Bancshares, Inc JPMorgan Chase & Co Keycorp M&T Bank Corp People’s United Financial, Inc PNC Financial Services Group, Inc Regions Financial Corp SunTrust Banks, Inc US Bancorp Wells Fargo & Co Zions Bancorporation TOTAL BANKS 1,285,659 3,182,928 8,658,693 7,790,538 1,336,509 1,619,617 5,089,681 28,963,625 26,041,167 5,153,136 22,412,407 1,965,085 1,325,577 2,450,014 1,299,230 41,003,555 2,154,157 3,147,078 981,337 7,299,483 1,959,207 3,594,269 12,003,817 38,617,337 1,166,778 172,573,634 3M Co Acuity Brands, Inc Allegion plc Ametek, Inc Boeing Co Caterpillar, Inc Cummins, Inc Danaher Corp Deere & Co Dover Corp Eaton Corp Emerson Electric Co Fastenal Co Flowserve Corp Fluor Corp 18,876,731 1,983,446 1,186,544 1,855,192 13,964,930 8,409,244 3,374,211 8,338,316 3,974,400 1,919,824 5,064,557 6,276,005 2,104,070 1,105,239 1,314,826 218 TIAA-CREF FUNDS - S&P 500 Index Fund SHARES 55,171 26,242 49,442 1,610,590 132,389 55,591 43,718 21,262 13,359 45,687 56,716 31,922 61,134 22,729 32,666 31,924 52,495 22,115 22,487 17,679 9,624 25,592 46,274 9,530 15,313 134,652 10,455 34,463 COMPANY VALUE * Fortive Corp Fortune Brands Home & Security, Inc General Dynamics Corp General Electric Co Honeywell International, Inc Illinois Tool Works, Inc Ingersoll-Rand plc * Jacobs Engineering Group, Inc L-3 Communications Holdings, Inc Lockheed Martin Corp Masco Corp Northrop Grumman Corp Paccar, Inc Parker Hannifin Corp Pentair plc * Quanta Services, Inc Raytheon Co Rockwell Automation, Inc Rockwell Collins, Inc Roper Industries, Inc Snap-On, Inc Stanley Works Textron, Inc * TransDigm Group, Inc * United Rentals, Inc United Technologies Corp e W.W. Grainger, Inc Xylem, Inc TOTAL CAPITAL GOODS $ COMMERCIAL & PROFESSIONAL SERVICES - 0.7% 16,637 Cintas Corp 7,393 Dun & Bradstreet Corp 20,110 Equifax, Inc 61,781 Nielsen NV 41,616 Pitney Bowes, Inc 40,791 Republic Services, Inc 26,938 Robert Half International, Inc 16,170 * Stericycle, Inc 76,139 Tyco International plc 28,185 * Verisk Analytics, Inc 71,313 Waste Management, Inc TOTAL COMMERCIAL & PROFESSIONAL SERVICES CONSUMER DURABLES & APPAREL - 1.4% 47,614 Coach, Inc 56,290 DR Horton, Inc 20,491 *,e Garmin Ltd 65,742 Hanesbrands, Inc 12,428 Harman International Industries, Inc 19,164 Hasbro, Inc 22,714 Leggett & Platt, Inc 32,517 Lennar Corp (Class A) 2,659,794 1,660,331 7,262,535 50,153,773 15,400,812 6,415,201 2,896,755 1,137,942 2,025,625 11,546,476 2,069,000 6,915,263 3,605,072 2,595,425 2,084,744 817,254 7,324,627 2,529,956 1,902,850 3,011,794 1,512,604 3,114,546 1,804,686 2,663,826 1,219,987 14,495,288 2,288,077 1,647,676 242,509,454 1,784,651 955,545 2,663,771 3,327,525 803,605 2,090,947 984,314 1,459,666 3,469,654 2,403,617 4,715,215 24,658,510 2,052,639 1,850,815 1,113,276 1,752,682 1,027,050 1,556,692 1,194,075 1,521,796 219 TIAA-CREF FUNDS - S&P 500 Index Fund SHARES 58,094 31,734 10,789 79,661 233,262 14,172 54,469 10,903 31,975 31,624 57,178 13,241 COMPANY VALUE Mattel, Inc * Michael Kors Holdings Ltd * Mohawk Industries, Inc Newell Brands, Inc Nike, Inc (Class B) Phillips-Van Heusen Corp Pulte Homes, Inc Ralph Lauren Corp * Under Armour, Inc *,e Under Armour, Inc (Class A) VF Corp Whirlpool Corp TOTAL CONSUMER DURABLES & APPAREL $ 1,939,178 1,641,282 2,254,254 4,179,016 12,946,041 1,432,222 1,153,653 1,069,475 1,141,507 1,247,883 3,569,623 2,547,039 47,190,198 CONSUMER SERVICES - 1.7% 75,462 Carnival Corp 5,339 * Chipotle Mexican Grill, Inc (Class A) 19,880 Darden Restaurants, Inc 38,399 H&R Block, Inc 33,522 e Marriott International, Inc (Class A) 152,726 McDonald’s Corp 29,367 Royal Caribbean Cruises Ltd 256,512 Starbucks Corp 28,639 Starwood Hotels & Resorts Worldwide, Inc 18,778 Wyndham Worldwide Corp 14,597 e Wynn Resorts Ltd 69,839 Yum! Brands, Inc TOTAL CONSUMER SERVICES 3,525,585 2,263,683 1,223,813 913,512 2,403,527 17,968,214 2,127,345 14,890,522 2,235,560 1,333,614 1,429,776 6,245,003 56,560,154 DIVERSIFIED FINANCIALS - 3.4% 9,124 * Affiliated Managers Group, Inc 142,465 American Express Co 27,743 Ameriprise Financial, Inc 183,640 Bank of New York Mellon Corp 21,553 BlackRock, Inc 88,357 Capital One Financial Corp 209,959 Charles Schwab Corp 60,204 CME Group, Inc 70,532 Discover Financial Services 48,190 * E*TRADE Financial Corp 67,071 Franklin Resources, Inc 68,099 Goldman Sachs Group, Inc 20,555 IntercontinentalExchange Group, Inc 71,104 Invesco Ltd 23,685 Legg Mason, Inc 67,259 Leucadia National Corp 28,708 Moody’s Corp 260,876 Morgan Stanley 22,310 NASDAQ OMX Group, Inc 56,406 Navient Corp 36,156 Northern Trust Corp 46,184 S&P Global, Inc 27,558 SPDR Trust Series 1 1,339,221 9,183,294 2,658,889 7,235,416 7,893,786 5,926,988 5,967,035 6,155,257 4,009,039 1,208,605 2,427,299 10,814,802 5,430,631 2,074,815 808,606 1,228,149 3,043,335 7,494,967 1,578,656 800,965 2,443,784 5,643,685 5,984,220 220 TIAA-CREF FUNDS - S&P 500 Index Fund COMPANY SHARES 67,523 145,663 43,026 ENERGY - 6.9% 88,984 65,443 75,096 81,368 103,462 329,016 16,227 22,313 214,208 91,811 11,255 96,141 29,579 724,918 40,285 149,072 18,816 45,936 318,363 150,273 92,685 30,140 64,669 34,128 73,163 134,192 37,744 81,149 28,526 29,799 243,140 86,251 119,385 20,471 64,685 82,130 120,020 VALUE State Street Corp * Synchrony Financial T Rowe Price Group, Inc TOTAL DIVERSIFIED FINANCIALS *,e * * e d * e e * *,e e $ Anadarko Petroleum Corp Apache Corp Baker Hughes, Inc Cabot Oil & Gas Corp Chesapeake Energy Corp Chevron Corp Cimarex Energy Co Concho Resources, Inc ConocoPhillips Devon Energy Corp Diamond Offshore Drilling, Inc EOG Resources, Inc EQT Corp Exxon Mobil Corp FMC Technologies, Inc Halliburton Co Helmerich & Payne, Inc Hess Corp Kinder Morgan, Inc Marathon Oil Corp Marathon Petroleum Corp Murphy Oil Corp National Oilwell Varco, Inc Newfield Exploration Co Noble Energy, Inc Occidental Petroleum Corp Oneok, Inc Phillips 66 Pioneer Natural Resources Co Range Resources Corp Schlumberger Ltd Southwestern Energy Co Spectra Energy Corp Tesoro Corp Transocean Ltd (NYSE) Valero Energy Corp Williams Cos, Inc TOTAL ENERGY 4,441,663 4,061,084 3,041,508 112,895,699 4,852,297 3,435,757 3,591,842 2,007,349 560,764 33,717,559 1,947,565 2,771,275 8,743,971 3,514,525 255,714 7,854,720 2,155,126 64,481,456 1,022,433 6,508,483 1,166,028 2,464,466 6,472,320 2,049,724 3,650,862 826,740 2,092,042 1,477,742 2,613,382 10,028,168 1,690,554 6,172,193 4,637,472 1,201,198 19,577,633 1,257,540 4,294,278 1,558,867 710,888 4,293,756 2,876,879 228,533,568 FOOD & STAPLES RETAILING - 2.2% 76,498 Costco Wholesale Corp 186,741 CVS Health Corp 166,308 Kroger Co 91,437 Sysco Corp 151,016 Walgreens Boots Alliance, Inc 268,046 Wal-Mart Stores, Inc 55,720 Whole Foods Market, Inc TOTAL FOOD & STAPLES RETAILING 12,791,996 17,314,625 5,686,070 4,735,522 11,968,018 19,559,317 1,698,346 73,753,894 221 TIAA-CREF FUNDS - S&P 500 Index Fund SHARES COMPANY VALUE FOOD, BEVERAGE & TOBACCO - 5.7% 340,704 Altria Group, Inc 101,593 Archer Daniels Midland Co 17,708 Brown-Forman Corp (Class B) 30,687 Campbell Soup Co 680,998 Coca-Cola Co 74,139 ConAgra Foods, Inc 30,699 Constellation Brands, Inc (Class A) 32,411 Dr Pepper Snapple Group, Inc 103,440 General Mills, Inc 23,915 Hershey Co 46,468 Hormel Foods Corp 20,871 J.M. Smucker Co 43,998 Kellogg Co 104,243 Kraft Heinz Co 20,221 McCormick & Co, Inc 32,547 Mead Johnson Nutrition Co 32,140 Molson Coors Brewing Co (Class B) 271,858 Mondelez International, Inc 24,937 * Monster Beverage Corp 252,128 PepsiCo, Inc 270,015 Philip Morris International, Inc 145,464 Reynolds American, Inc 52,475 Tyson Foods, Inc (Class A) TOTAL FOOD, BEVERAGE & TOBACCO $ HEALTH CARE EQUIPMENT & SERVICES - 5.3% 254,869 Abbott Laboratories 61,958 Aetna Inc 31,581 AmerisourceBergen Corp 46,828 Anthem, Inc 12,820 Bard (C.R.), Inc 94,412 Baxter International, Inc 36,239 Becton Dickinson & Co 242,193 * Boston Scientific Corp 56,078 Cardinal Health, Inc 29,443 * Centene Corp 54,894 * Cerner Corp 44,774 Cigna Corp 28,270 * DaVita, Inc 41,203 DENTSPLY SIRONA, Inc 36,587 * Edwards Lifesciences Corp 110,562 * Express Scripts Holding Co 52,375 * HCA Holdings, Inc 15,093 * Henry Schein, Inc 46,035 * Hologic, Inc 25,995 Humana, Inc 6,641 * Intuitive Surgical, Inc 18,637 * Laboratory Corp of America Holdings 39,268 McKesson Corp 246,443 Medtronic plc 23,065,661 4,579,812 1,738,749 1,910,879 29,711,943 3,466,740 5,053,976 3,192,808 7,436,302 2,648,825 1,735,580 3,217,473 3,639,075 9,005,553 2,067,597 2,903,192 3,283,422 11,956,315 4,005,630 27,461,782 27,071,704 7,281,928 3,862,160 190,297,106 11,405,388 7,138,181 2,690,385 6,150,389 2,868,219 4,533,664 6,378,064 5,880,446 4,688,121 2,077,204 3,424,837 5,774,055 2,192,056 2,638,640 4,189,943 8,410,451 4,039,684 2,731,531 1,771,887 4,485,437 4,620,542 2,600,980 7,639,982 21,595,800 222 TIAA-CREF FUNDS - S&P 500 Index Fund SHARES 17,705 24,358 50,280 53,527 165,909 15,418 18,435 34,758 COMPANY VALUE Patterson Cos, Inc Quest Diagnostics, Inc St. Jude Medical, Inc Stryker Corp UnitedHealth Group, Inc Universal Health Services, Inc (Class B) * Varian Medical Systems, Inc Zimmer Holdings, Inc TOTAL HEALTH CARE EQUIPMENT & SERVICES HOUSEHOLD & PERSONAL PRODUCTS - 2.1% 22,986 Church & Dwight Co, Inc 22,196 Clorox Co 154,424 Colgate-Palmolive Co 38,849 Estee Lauder Cos (Class A) 62,390 Kimberly-Clark Corp 466,649 Procter & Gamble Co TOTAL HOUSEHOLD & PERSONAL PRODUCTS INSURANCE - 4.0% 71,734 66,412 192,720 47,013 29,917 12,545 327,242 81,594 26,097 66,328 40,303 46,929 89,039 191,674 45,366 105,341 76,174 21,101 50,070 45,196 23,633 47,822 MATERIALS - 2.9% 33,165 19,665 231,454 15,387 29,911 42,843 196,442 25,241 $ 873,919 2,103,557 4,175,251 6,224,120 23,758,169 1,997,094 1,746,532 4,558,164 175,362,692 2,258,145 2,909,230 11,493,778 3,609,072 8,082,624 39,940,488 68,293,337 Aflac, Inc Allstate Corp American International Group, Inc Aon plc Arthur J. Gallagher & Co Assurant, Inc * Berkshire Hathaway, Inc (Class B) Chubb Ltd Cincinnati Financial Corp Hartford Financial Services Group, Inc Lincoln National Corp Loews Corp Marsh & McLennan Cos, Inc Metlife, Inc Principal Financial Group Progressive Corp Prudential Financial, Inc Torchmark Corp Travelers Cos, Inc UnumProvident Corp Willis Towers Watson plc XL Group Ltd TOTAL INSURANCE 5,184,934 4,537,932 10,491,677 5,033,682 1,471,617 1,041,360 47,211,203 10,220,464 1,949,446 2,643,171 1,760,032 1,939,576 5,854,314 8,192,147 2,115,417 3,424,636 5,735,140 1,305,519 5,819,135 1,509,998 2,921,512 1,655,119 132,018,031 Air Products & Chemicals, Inc Albemarle Corp Alcoa, Inc Avery Dennison Corp Ball Corp CF Industries Holdings, Inc Dow Chemical Co Eastman Chemical Co 4,955,514 1,655,203 2,458,042 1,198,494 2,113,810 1,057,365 10,543,042 1,646,470 223 TIAA-CREF FUNDS - S&P 500 Index Fund SHARES 45,360 152,575 22,610 222,023 13,632 72,469 60,888 10,828 76,226 62,329 93,276 53,897 28,333 46,496 49,079 34,386 13,726 22,741 43,099 MEDIA - 2.6% 71,327 422,785 31,504 39,790 68,134 65,064 16,576 40,539 16,189 36,141 136,549 188,602 75,059 59,918 261,352 COMPANY VALUE Ecolab, Inc EI du Pont de Nemours & Co FMC Corp Freeport-McMoRan Copper & Gold, Inc (Class B) International Flavors & Fragrances, Inc International Paper Co LyondellBasell Industries AF S.C.A Martin Marietta Materials, Inc Monsanto Co Mosaic Co Newmont Mining Corp Nucor Corp * Owens-Illinois, Inc PPG Industries, Inc Praxair, Inc Sealed Air Corp Sherwin-Williams Co Vulcan Materials Co WestRock Co TOTAL MATERIALS $ CBS Corp (Class B) Comcast Corp (Class A) * Discovery Communications, Inc (Class A) * Discovery Communications, Inc (Class C) Interpublic Group of Cos, Inc News Corp News Corp (Class B) Omnicom Group, Inc Scripps Networks Interactive (Class A) TEGNA, Inc Time Warner, Inc Twenty-First Century Fox, Inc Twenty-First Century Fox, Inc (Class B) Viacom, Inc (Class B) Walt Disney Co TOTAL MEDIA 5,369,717 10,553,613 1,074,879 2,877,418 1,816,464 3,319,805 4,582,431 2,194,294 8,138,650 1,682,883 4,104,144 2,891,035 532,377 4,868,596 5,719,667 1,622,332 4,114,094 2,819,429 1,849,378 95,759,146 3,724,696 28,432,291 790,435 976,447 1,571,170 843,880 222,781 3,335,954 1,069,445 791,488 10,466,481 5,024,357 2,028,845 2,724,472 25,076,725 87,079,467 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 9.5% 280,756 AbbVie, Inc 55,874 Agilent Technologies, Inc 39,053 * Alexion Pharmaceuticals, Inc 69,055 * Allergan plc 131,374 Amgen, Inc 38,362 * Biogen Idec, Inc 291,702 Bristol-Myers Squibb Co 135,977 * Celgene Corp 168,797 Eli Lilly & Co 35,926 * Endo International plc 232,250 Gilead Sciences, Inc 26,140 * Illumina, Inc 481,547 Johnson & Johnson 18,594,470 2,688,098 5,022,216 17,467,462 22,600,269 11,122,295 21,822,227 15,255,260 13,991,583 623,675 18,456,908 4,348,389 60,304,131 224 TIAA-CREF FUNDS - S&P 500 Index Fund COMPANY SHARES 18,861 483,825 73,332 18,134 24,711 1,060,541 13,598 68,137 43,510 14,811 79,155 REAL ESTATE - 3.2% 74,834 30,726 23,145 27,710 49,496 59,633 26,926 11,843 64,534 11,950 21,364 12,464 105,167 82,096 127,446 40,633 71,052 21,158 90,016 26,098 44,311 53,960 17,068 44,842 59,219 30,868 61,342 129,048 RETAILING - 5.6% 12,591 67,648 12,307 5,362 29,326 48,651 33,970 49,543 VALUE * Mallinckrodt plc Merck & Co, Inc * Mylan NV PerkinElmer, Inc Perrigo Co plc Pfizer, Inc * Regeneron Pharmaceuticals, Inc Thermo Electron Corp * Vertex Pharmaceuticals, Inc * Waters Corp Zoetis Inc TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES American Tower Corp Apartment Investment & Management Co (Class A) AvalonBay Communities, Inc Boston Properties, Inc * CBRE Group, Inc Crown Castle International Corp Digital Realty Trust, Inc Equinix, Inc Equity Residential Essex Property Trust, Inc Extra Space Storage, Inc Federal Realty Investment Trust General Growth Properties, Inc HCP, Inc Host Marriott Corp Iron Mountain, Inc Kimco Realty Corp Macerich Co Prologis, Inc Public Storage, Inc Realty Income Corp Simon Property Group, Inc SL Green Realty Corp UDR, Inc Ventas, Inc Vornado Realty Trust Welltower, Inc Weyerhaeuser Co TOTAL REAL ESTATE $ 1,270,100 28,381,175 3,431,204 1,032,187 2,258,338 39,123,357 5,780,782 10,822,881 4,220,470 2,353,912 3,994,953 314,966,342 8,663,532 1,412,474 4,296,869 3,938,422 1,408,161 5,786,190 2,812,690 4,415,900 4,387,667 2,794,866 1,837,731 2,115,141 3,360,086 3,220,626 2,260,892 1,674,486 2,280,769 1,888,140 4,904,972 6,235,334 3,166,907 12,251,078 2,010,952 1,669,468 4,510,119 3,315,223 4,866,261 4,222,451 105,707,407 Advance Auto Parts, Inc Amazon.com, Inc Autonation, Inc AutoZone, Inc Bed Bath & Beyond, Inc Best Buy Co, Inc *,e Carmax, Inc Dollar General Corp 2,138,707 51,331,979 656,578 4,364,507 1,318,204 1,634,674 1,979,092 4,693,704 * * * * 225 TIAA-CREF FUNDS - S&P 500 Index Fund SHARES 40,630 20,225 22,984 40,729 25,337 217,117 32,336 44,384 52,061 154,390 54,855 74,980 23,058 17,192 8,676 70,117 13,536 111,577 102,737 18,852 114,696 22,822 19,706 10,973 14,993 COMPANY VALUE * Dollar Tree, Inc Expedia, Inc Foot Locker, Inc e Gap, Inc Genuine Parts Co Home Depot, Inc Kohl’s Corp L Brands, Inc * LKQ Corp Lowe’s Companies, Inc Macy’s, Inc * NetFlix, Inc e Nordstrom, Inc * O’Reilly Automotive, Inc * Priceline.com, Inc Ross Stores, Inc Signet Jewelers Ltd Staples, Inc Target Corp e Tiffany & Co TJX Companies, Inc Tractor Supply Co * TripAdvisor, Inc * Ulta Salon Cosmetics & Fragrance, Inc * Urban Outfitters, Inc TOTAL RETAILING $ 3,912,263 2,359,246 1,370,306 1,050,401 2,590,455 30,014,254 1,344,854 3,279,978 1,790,378 12,703,209 1,965,455 6,841,925 1,019,855 4,996,511 11,719,628 4,335,334 1,189,950 1,036,550 7,739,178 1,216,331 9,372,957 2,091,636 1,378,829 2,866,257 448,291 186,751,476 SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.0% 55,375 Analog Devices, Inc 188,042 Applied Materials, Inc 64,828 Broadcom Ltd 13,293 * First Solar, Inc 821,022 Intel Corp 26,474 Kla-Tencor Corp 27,126 Lam Research Corp 43,125 Linear Technology Corp 40,284 Microchip Technology, Inc 184,442 * Micron Technology, Inc 88,654 Nvidia Corp 21,815 * Qorvo, Inc 257,081 Qualcomm, Inc 32,404 Skyworks Solutions, Inc 175,199 Texas Instruments, Inc 44,798 Xilinx, Inc TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT 3,534,586 4,943,624 10,500,839 620,517 28,620,827 2,004,347 2,435,101 2,587,069 2,241,402 2,534,233 5,062,143 1,379,363 16,088,129 2,139,312 12,220,130 2,288,282 99,199,904 SOFTWARE & SERVICES - 12.3% 109,299 Accenture plc 89,662 Activision Blizzard, Inc 85,815 * Adobe Systems, Inc 30,259 * Akamai Technologies, Inc 10,127 * Alliance Data Systems Corp 51,354 * Alphabet, Inc (Class A) 12,330,020 3,600,826 8,397,856 1,528,987 2,345,616 40,638,474 226 TIAA-CREF FUNDS - S&P 500 Index Fund SHARES 51,476 38,555 80,566 50,803 26,290 105,712 24,143 184,527 51,895 404,134 47,481 39,986 26,058 153,848 45,811 170,230 1,374,054 543,924 58,274 194,028 33,679 111,037 105,658 23,236 28,512 16,557 333,712 84,711 161,370 152,393 COMPANY VALUE * Alphabet, Inc (Class C) * Autodesk, Inc Automatic Data Processing, Inc CA, Inc * Citrix Systems, Inc * Cognizant Technology Solutions Corp (Class A) CSRA, Inc * eBay, Inc * Electronic Arts, Inc * Facebook, Inc Fidelity National Information Services, Inc * Fiserv, Inc Global Payments, Inc International Business Machines Corp Intuit, Inc MasterCard, Inc (Class A) Microsoft Corp Oracle Corp Paychex, Inc * PayPal Holdings, Inc * Red Hat, Inc * Salesforce.com, Inc Symantec Corp * Teradata Corp Total System Services, Inc *,e VeriSign, Inc Visa, Inc (Class A) Western Union Co Xerox Corp * Yahoo!, Inc TOTAL SOFTWARE & SERVICES $ TECHNOLOGY HARDWARE & EQUIPMENT - 5.1% 53,345 Amphenol Corp (Class A) 956,866 Apple, Inc 883,488 Cisco Systems, Inc 185,308 Corning, Inc 340,678 EMC Corp 11,371 * F5 Networks, Inc 28,974 Flir Systems, Inc 21,199 Harris Corp 289,636 Hewlett Packard Enterprise Co 298,349 HP, Inc 60,727 Juniper Networks, Inc 27,497 Motorola, Inc 50,024 NetApp, Inc 52,492 e Seagate Technology, Inc 61,778 TE Connectivity Ltd 49,348 Western Digital Corp TOTAL TECHNOLOGY HARDWARE & EQUIPMENT TELECOMMUNICATION SERVICES - 2.8% 1,074,616 AT&T, Inc 39,574,234 2,292,095 7,166,346 1,760,324 2,343,228 6,077,383 649,929 5,749,861 3,960,626 50,088,368 3,776,164 4,412,855 1,945,490 24,711,066 5,084,563 16,212,705 77,881,381 22,322,641 3,454,483 7,225,603 2,535,692 9,082,826 2,158,593 659,438 1,451,831 1,434,002 26,046,222 1,694,220 1,662,111 5,819,888 408,075,947 3,175,094 99,715,006 26,972,889 4,117,544 9,634,374 1,403,409 943,973 1,836,257 6,088,149 4,179,869 1,377,896 1,907,742 1,318,132 1,681,319 3,723,978 2,344,523 170,420,154 46,520,127 227 TIAA-CREF FUNDS - S&P 500 Index Fund COMPANY SHARES 98,249 235,428 49,424 710,118 CenturyTel, Inc e Frontier Communications Corp * Level 3 Communications, Inc Verizon Communications, Inc TOTAL TELECOMMUNICATION SERVICES TRANSPORTATION - 2.0% 21,786 100,940 24,908 163,905 134,507 31,740 43,569 15,206 20,503 51,624 9,386 110,735 146,362 59,580 * 121,545 UTILITIES - 3.4% 114,909 37,670 44,847 85,706 32,583 73,642 48,004 55,130 106,390 30,645 122,177 56,861 31,956 53,660 159,228 74,859 80,740 52,637 62,965 84,648 20,505 118,028 86,431 24,410 40,245 162,825 54,773 88,668 VALUE $ 3,088,949 1,224,226 2,500,854 39,347,638 92,681,794 Alaska Air Group, Inc American Airlines Group, Inc CH Robinson Worldwide, Inc CSX Corp Delta Air Lines, Inc Expeditors International of Washington, Inc FedEx Corp J.B. Hunt Transport Services, Inc Kansas City Southern Industries, Inc Norfolk Southern Corp Ryder System, Inc Southwest Airlines Co Union Pacific Corp United Continental Holdings, Inc United Parcel Service, Inc (Class B) TOTAL TRANSPORTATION 1,464,455 3,583,370 1,734,095 4,643,429 5,212,146 1,568,908 7,053,821 1,264,075 1,970,543 4,634,803 618,537 4,098,302 13,618,984 2,793,706 13,139,015 67,398,189 AES Corp Alliant Energy Corp Ameren Corp American Electric Power Co, Inc American Water Works Co, Inc Centerpoint Energy, Inc CMS Energy Corp Consolidated Edison, Inc Dominion Resources, Inc DTE Energy Co Duke Energy Corp Edison International Entergy Corp Eversource Energy Exelon Corp FirstEnergy Corp NextEra Energy, Inc NiSource, Inc NRG Energy, Inc PG&E Corp Pinnacle West Capital Corp PPL Corp Public Service Enterprise Group, Inc SCANA Corp Sempra Energy Southern Co WEC Energy Group, Inc Xcel Energy, Inc 1,419,126 1,516,218 2,351,777 5,939,426 2,690,704 1,761,517 2,168,821 4,414,810 8,300,548 2,988,500 10,457,129 4,399,904 2,600,899 3,138,573 5,936,020 2,614,076 10,358,135 1,350,665 871,436 5,412,393 1,617,229 4,450,836 3,976,690 1,829,285 4,502,611 8,711,138 3,555,315 3,899,619 228 TIAA-CREF FUNDS - S&P 500 Index Fund COMPANY SHARES VALUE TOTAL UTILITIES $ TOTAL COMMON STOCKS (Cost $2,328,747,945) 3,294,883,128 PRINCIPAL ISSUER SHORT-TERM INVESTMENTS - 1.2% GOVERNMENT AGENCY DEBT - 0.6% $ 20,200,000 d Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT RATE 0.090% MATURITY DATE 08/01/16 20,200,000 20,200,000 SHARES COMPANY INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 0.6% 20,111,846 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $40,311,846) TOTAL INVESTMENTS - 100.4% (Cost $2,369,059,791) OTHER ASSETS & LIABILITIES, NET - (0.4)% NET ASSETS - 100.0% 20,111,846 20,111,846 40,311,846 3,335,194,974 $ Abbreviation(s): SPDR Standard & Poor’s Depository Receipts * c d e 113,233,400 Non-income producing Investments made with cash collateral received from securities on loan. All or a portion of these securities have been segregated to cover margin requirements on open futures contracts. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $19,845,291. 229 (14,686,710) 3,320,508,264 TIAA-CREF FUNDS - Small-Cap Blend Index Fund TIAA-CREF FUNDS SMALL-CAP BLEND INDEX FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.0% AUTOMOBILES & COMPONENTS - 1.2% 80,824 * American Axle & Manufacturing Holdings, Inc 58,464 Cooper Tire & Rubber Co 15,552 * Cooper-Standard Holding, Inc 157,902 Dana Holding Corp 28,048 * Dorman Products, Inc 25,059 Drew Industries, Inc 31,308 * Federal Mogul Corp (Class A) 23,660 * Fox Factory Holding Corp 38,495 * Gentherm, Inc 20,258 * Horizon Global Corp 15,712 Metaldyne Performance Group, Inc 49,523 * Modine Manufacturing Co 19,311 * Motorcar Parts of America, Inc 35,022 Spartan Motors, Inc 22,677 Standard Motor Products, Inc 27,332 * Stoneridge, Inc 3,609 Strattec Security Corp 26,499 Superior Industries International, Inc 59,325 * Tenneco, Inc 21,621 Tower International, Inc 6,937 Unique Fabricating, Inc 28,270 Winnebago Industries, Inc 12,022 * Workhorse Group, Inc TOTAL AUTOMOBILES & COMPONENTS BANKS - 11.5% 16,568 8,611 6,315 11,561 9,239 35,942 9,067 32,924 12,130 96,530 18,224 52,033 8,277 31,271 91,403 45,418 6,597 93,747 18,313 $ 1st Source Corp Access National Corp ACNB Corp *,e Allegiance Bancshares, Inc American National Bankshares, Inc Ameris Bancorp e Ames National Corp Apollo Residential Mortgage Arrow Financial Corp Astoria Financial Corp * Atlantic Capital Bancshares, Inc Banc of California, Inc Bancfirst Corp Banco Latinoamericano de Exportaciones S.A. (Class E) Bancorpsouth, Inc Bank Mutual Corp Bank of Marin Bancorp Bank of the Ozarks, Inc BankFinancial Corp 230 1,407,146 1,928,727 1,369,354 2,153,783 1,786,658 2,295,655 276,763 454,035 1,291,892 264,367 249,664 475,421 541,287 297,337 951,073 455,898 160,961 809,809 3,353,049 499,013 93,233 671,695 78,985 21,865,805 556,850 191,423 163,243 292,031 242,616 1,191,837 246,169 446,779 383,187 1,416,095 270,262 1,154,092 542,723 854,324 2,177,219 346,993 327,079 3,373,952 223,419 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 6,048 31,661 6,279 19,014 74,119 32,242 26,774 39,938 63,261 86,390 17,673 72,980 17,744 7,742 3,418 2,510 10,738 20,968 10,709 134,592 33,212 10,823 31,440 78,731 48,983 31,740 9,248 3,258 15,283 40,347 3,316 12,392 15,519 24,639 13,729 39,261 8,128 61,296 45,256 16,054 13,313 30,890 5,113 17,572 25,687 107,686 32,145 32,322 8,887 20,551 5,310 8,588 78,831 COMPANY VALUE e Bankwell Financial Group, Inc Banner Corp Bar Harbor Bankshares e Bear State Financial, Inc Beneficial Bancorp, Inc Berkshire Hills Bancorp, Inc Blue Hills Bancorp, Inc BNC Bancorp *,e BofI Holding, Inc Boston Private Financial Holdings, Inc Bridge Bancorp, Inc Brookline Bancorp, Inc Bryn Mawr Bank Corp * BSB Bancorp, Inc e C&F Financial Corp e California First National Bancorp Camden National Corp Capital Bank Financial Corp Capital City Bank Group, Inc Capitol Federal Financial Cardinal Financial Corp Carolina Financial Corp * Cascade Bancorp Cathay General Bancorp Centerstate Banks of Florida, Inc Central Pacific Financial Corp Central Valley Community Bancorp Century Bancorp, Inc Charter Financial Corp e Chemical Financial Corp e Chemung Financial Corp Citizens & Northern Corp City Holding Co Clifton Bancorp, Inc CNB Financial Corp CoBiz, Inc Codorus Valley Bancorp, Inc Columbia Banking System, Inc Community Bank System, Inc Community Trust Bancorp, Inc * CommunityOne Bancorp ConnectOne Bancorp, Inc e County Bancorp, Inc * CU Bancorp * Customers Bancorp, Inc CVB Financial Corp Dime Community Bancshares * Eagle Bancorp, Inc Enterprise Bancorp, Inc Enterprise Financial Services Corp * Equity Bancshares, Inc ESSA Bancorp, Inc * Essent Group Ltd $ 231 133,116 1,321,530 230,314 181,394 1,005,054 850,222 381,529 968,896 1,064,050 1,047,047 514,461 831,242 520,431 178,066 156,168 36,495 466,888 626,733 153,246 1,907,169 855,541 207,044 177,322 2,360,355 816,057 778,582 138,258 142,244 199,290 1,669,559 104,918 264,073 724,737 369,092 253,300 484,873 172,395 1,858,495 1,997,147 558,358 173,335 522,350 106,453 417,511 661,183 1,771,435 556,108 1,666,199 210,355 591,047 119,953 121,606 1,888,791 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 106,973 7,391 26,239 31,378 9,054 21,907 14,626 20,790 127,382 10,483 31,904 8,781 7,995 93,506 15,815 14,324 15,404 9,327 64,587 67,366 10,889 9,578 13,906 5,506 20,216 43,024 6,040 84,966 16,492 11,717 15,052 174,064 21,814 29,148 220,806 9,897 181,009 15,273 80,443 11,574 61,907 21,828 3,193 15,860 29,360 81,426 33,100 23,176 27,484 31,567 25,348 78,906 1,287 * * *,e e * e * *,e * * * *,e * VALUE EverBank Financial Corp Farmers Capital Bank Corp Farmers National Banc Corp FCB Financial Holdings, Inc Federal Agricultural Mortgage Corp (Class C) Fidelity Southern Corp Financial Institutions, Inc First Bancorp (NC) First Bancorp (Puerto Rico) First Bancorp, Inc First Busey Corp First Business Financial Services, Inc First Citizens Bancshares, Inc (Class A) First Commonwealth Financial Corp First Community Bancshares, Inc First Community Financial Partners, Inc First Connecticut Bancorp First Defiance Financial Corp First Financial Bancorp First Financial Bankshares, Inc First Financial Corp First Financial Northwest, Inc First Foundation, Inc First Internet Bancorp First Interstate Bancsystem, Inc First Merchants Corp First Mid-Illinois Bancshares, Inc First Midwest Bancorp, Inc First NBC Bank Holding Co First Northwest Bancorp First of Long Island Corp FirstMerit Corp Flagstar Bancorp, Inc Flushing Financial Corp FNB Corp Franklin Financial Network, Inc Fulton Financial Corp German American Bancorp, Inc Glacier Bancorp, Inc Great Southern Bancorp, Inc Great Western Bancorp, Inc Green Bancorp, Inc Greene County Bancorp, Inc Guaranty Bancorp Hampton Roads Bankshares, Inc Hancock Holding Co Hanmi Financial Corp Heartland Financial USA, Inc Heritage Commerce Corp Heritage Financial Corp Heritage Oaks Bancorp Hilltop Holdings, Inc Hingham Institution for Savings $ 232 1,921,235 218,330 250,582 1,097,289 347,945 377,019 393,439 389,189 584,683 231,150 718,797 208,197 2,076,941 902,333 362,638 129,059 248,004 388,843 1,376,349 2,301,896 417,049 133,900 331,102 130,217 587,073 1,127,229 152,148 1,586,315 313,843 153,258 456,828 3,695,379 576,108 650,292 2,638,632 335,310 2,470,773 519,282 2,218,618 453,701 2,053,455 213,478 53,195 267,558 60,188 2,360,540 811,612 851,023 288,032 551,160 206,333 1,718,573 168,597 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 6,086 127,714 21,697 17,710 82,096 11,432 43,026 8,512 27,334 21,819 11,731 57,778 314,064 97,449 8,307 41,033 17,146 9,266 46,855 6,707 20,626 27,823 24,354 73,892 18,775 17,088 6,064 51,587 8,659 360,239 4,935 3,855 8,766 5,746 27,862 7,556 8,959 36,124 44,845 8,027 52,135 45,004 7,136 101,464 21,698 51,712 46,066 8,830 139,391 30,397 17,811 40,721 7,819 COMPANY VALUE e Home Bancorp, Inc Home Bancshares, Inc * HomeStreet, Inc * HomeTrust Bancshares, Inc * Hope Bancorp, Inc Horizon Bancorp IBERIABANK Corp *,e Impac Mortgage Holdings, Inc Independent Bank Corp (MA) Independent Bank Corp (MI) Independent Bank Group, Inc International Bancshares Corp Investors Bancorp, Inc Kearny Financial Corp e Lake Sunapee Bank Group Lakeland Bancorp, Inc Lakeland Financial Corp e LCNB Corp LegacyTexas Financial Group, Inc *,e LendingTree, Inc e Live Oak Bancshares, Inc e Macatawa Bank Corp MainSource Financial Group, Inc MB Financial, Inc MBT Financial Corp Mercantile Bank Corp Merchants Bancshares, Inc Meridian Bancorp, Inc Meta Financial Group, Inc * MGIC Investment Corp Middleburg Financial Corp * Midland States Bancorp, Inc MidWestOne Financial Group, Inc MutualFirst Financial, Inc National Bank Holdings Corp e National Bankshares, Inc * National Commerce Corp *,e Nationstar Mortgage Holdings, Inc NBT Bancorp, Inc * Nicolet Bankshares, Inc * NMI Holdings, Inc Northfield Bancorp, Inc Northrim BanCorp, Inc Northwest Bancshares, Inc OceanFirst Financial Corp *,e Ocwen Financial Corp OFG Bancorp Old Line Bancshares, Inc Old National Bancorp Old Second Bancorp, Inc Opus Bank Oritani Financial Corp e Orrstown Financial Services, Inc $ 233 176,129 2,665,391 483,843 325,510 1,261,816 314,609 2,687,834 147,683 1,372,440 335,576 495,752 1,584,273 3,567,767 1,268,786 153,181 488,703 880,447 164,379 1,336,305 677,273 270,407 215,628 542,364 2,836,714 168,787 430,276 192,714 758,329 473,561 2,590,118 138,772 87,740 253,776 165,083 558,076 263,024 217,793 456,246 1,337,278 291,862 327,408 671,910 202,662 1,512,828 409,224 103,424 488,760 169,006 1,834,386 229,497 574,939 660,495 151,219 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 19,565 16,248 28,496 14,044 54,474 16,757 4,955 14,370 17,274 7,171 13,702 55,915 45,499 12,959 8,937 82,931 70,679 4,621 6,980 64,252 12,933 227,317 43,016 10,205 35,457 36,174 24,851 31,299 24,418 13,264 11,762 12,483 30,689 24,951 6,070 6,160 11,826 25,854 19,457 37,528 133,484 22,952 12,323 11,789 8,756 11,696 61,554 8,752 48,714 37,085 15,462 59,001 21,675 COMPANY VALUE Pacific Continental Corp * Pacific Mercantile Bancorp * Pacific Premier Bancorp, Inc e Park National Corp Park Sterling Bank Peapack Gladstone Financial Corp e Penns Woods Bancorp, Inc * PennyMac Financial Services, Inc Peoples Bancorp, Inc Peoples Financial Services Corp People’s Utah Bancorp * PHH Corp Pinnacle Financial Partners, Inc Preferred Bank e Premier Financial Bancorp, Inc PrivateBancorp, Inc Prosperity Bancshares, Inc * Provident Bancorp, Inc Provident Financial Holdings, Inc Provident Financial Services, Inc QCR Holdings, Inc Radian Group, Inc Renasant Corp Republic Bancorp, Inc (Class A) *,e Republic First Bancorp, Inc S&T Bancorp, Inc Sandy Spring Bancorp, Inc * Seacoast Banking Corp of Florida e ServisFirst Bancshares, Inc Shore Bancshares, Inc SI Financial Group, Inc Sierra Bancorp Simmons First National Corp (Class A) South State Corp * Southern First Bancshares, Inc Southern Missouri Bancorp, Inc e Southern National Bancorp of Virginia, Inc Southside Bancshares, Inc Southwest Bancorp, Inc State Bank & Trust Co Sterling Bancorp/DE Stock Yards Bancorp, Inc Stonegate Bank Suffolk Bancorp e Summit Financial Group, Inc * Sun Bancorp, Inc Talmer Bancorp Inc Territorial Bancorp, Inc * Texas Capital Bancshares, Inc * The Bancorp, Inc Tompkins Trustco, Inc e TowneBank Trico Bancshares $ 234 283,301 110,974 688,178 1,257,219 420,539 336,313 209,844 181,206 387,801 283,039 244,855 816,918 2,416,452 423,371 159,436 3,665,550 3,610,990 73,613 136,040 1,294,678 383,334 2,932,389 1,385,976 304,211 155,656 922,075 741,554 499,845 1,236,283 155,985 157,258 223,196 1,410,160 1,819,177 164,254 150,366 157,641 790,874 377,855 821,113 2,254,545 678,002 390,516 387,976 172,055 249,593 1,293,865 235,429 2,364,578 196,550 1,124,706 1,354,073 563,983 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 23,143 15,773 97,628 71,187 47,381 231,881 45,788 4,089 69,365 74,067 48,476 51,535 31,685 259,430 8,763 28,959 20,194 96,014 15,729 8,567 26,917 96,520 37,361 16,754 26,153 16,829 75,937 54,166 214,013 30,325 52,651 5,174 CAPITAL GOODS - 8.6% 43,045 35,120 62,631 36,663 36,336 63,247 22,155 50,402 9,961 30,223 6,660 26,884 19,600 8,199 7,186 12,445 14,596 30,234 VALUE * Tristate Capital Holdings, Inc * Triumph Bancorp, Inc Trustco Bank Corp NY Trustmark Corp UMB Financial Corp Umpqua Holdings Corp Union Bankshares Corp e Union Bankshares, Inc e United Bankshares, Inc United Community Banks, Inc United Community Financial Corp United Financial Bancorp, Inc (New) Univest Corp of Pennsylvania Valley National Bancorp * Veritex Holdings, Inc * Walker & Dunlop, Inc *,e Walter Investment Management Corp Washington Federal, Inc Washington Trust Bancorp, Inc WashingtonFirst Bankshares, Inc Waterstone Financial, Inc Webster Financial Corp WesBanco, Inc West Bancorporation, Inc e Westamerica Bancorporation Westfield Financial, Inc Wilshire Bancorp, Inc Wintrust Financial Corp * WMIH Corp WSFS Financial Corp Yadkin Financial Corp Your Community Bankshares, Inc TOTAL BANKS e * * * * * * $ Aaon, Inc AAR Corp Actuant Corp (Class A) Advanced Drainage Systems, Inc Aegion Corp Aerojet Rocketdyne Holdings, Inc Aerovironment, Inc Aircastle Ltd Alamo Group, Inc Albany International Corp (Class A) Allied Motion Technologies, Inc Altra Holdings, Inc Ameresco, Inc American Railcar Industries, Inc American Science & Engineering, Inc American Superconductor Corp American Woodmark Corp Apogee Enterprises, Inc 330,251 275,554 647,274 1,857,981 2,625,381 3,531,548 1,228,950 142,543 2,656,679 1,425,049 321,881 677,685 668,237 2,353,030 152,213 685,460 57,957 2,400,350 597,073 205,608 422,059 3,470,859 1,155,202 318,326 1,230,237 132,444 815,563 2,859,965 517,911 1,067,137 1,326,279 192,525 212,363,633 1,139,832 848,499 1,487,486 979,269 745,615 1,192,838 628,094 1,119,932 668,682 1,279,340 150,649 763,506 97,020 344,440 265,235 114,245 1,083,461 1,413,439 235 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 38,378 14,120 24,683 20,433 20,538 27,396 48,303 53,178 63,129 5,094 58,199 44,892 88,520 25,137 17,366 32,255 17,514 50,344 19,970 39,142 37,223 15,201 26,613 46,772 66,227 23,343 10,767 14,530 32,357 14,776 64,183 21,324 15,579 36,255 45,817 19,004 23,074 27,038 31,217 64,298 48,808 11,886 25,042 42,989 5,412 68,989 51,255 33,309 22,186 7,514 18,978 9,437 41,717 * * * * *,e * * * * * * * * *,e * *,e *,e * *,e e * *,e * * VALUE Applied Industrial Technologies, Inc Argan, Inc Armstrong Flooring, Inc Astec Industries, Inc Astronics Corp AZZ, Inc Babcock & Wilcox Enterprises, Inc Barnes Group, Inc Beacon Roofing Supply, Inc Blue Bird Corp BMC Stock Holdings, Inc Briggs & Stratton Corp Builders FirstSource, Inc Caesarstone Sdot-Yam Ltd CAI International, Inc Chart Industries, Inc CIRCOR International, Inc Clarcor, Inc Columbus McKinnon Corp Comfort Systems USA, Inc Continental Building Products Inc CSW Industrials, Inc Cubic Corp Curtiss-Wright Corp DigitalGlobe, Inc Douglas Dynamics, Inc Ducommun, Inc DXP Enterprises, Inc Dycom Industries, Inc Dynamic Materials Corp EMCOR Group, Inc Encore Wire Corp Energous Corp Energy Recovery, Inc EnerSys Engility Holdings, Inc EnPro Industries, Inc ESCO Technologies, Inc Esterline Technologies Corp Federal Signal Corp Franklin Electric Co, Inc Freightcar America, Inc FuelCell Energy, Inc GATX Corp Gencor Industries, Inc Generac Holdings, Inc General Cable Corp Gibraltar Industries, Inc Global Brass & Copper Holdings, Inc GMS, Inc Gorman-Rupp Co Graham Corp Granite Construction, Inc $ 236 1,801,847 651,356 491,932 1,231,701 785,989 1,700,744 741,934 2,017,042 2,968,326 71,774 1,184,350 1,020,395 1,141,023 942,386 149,000 968,295 997,247 3,134,417 331,302 1,189,134 872,879 515,770 1,086,875 4,162,240 1,785,480 625,592 208,234 241,779 3,043,176 151,306 3,574,993 800,290 193,491 387,929 2,856,690 551,876 1,055,636 1,145,059 1,898,930 845,519 1,889,846 177,101 134,976 1,922,898 95,251 2,607,094 754,986 1,175,142 628,308 189,729 514,114 170,055 2,076,672 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 58,993 28,619 32,494 33,239 12,403 86,773 35,254 62,376 6,745 9,948 8,221 18,487 30,649 104,125 11,311 28,335 83,398 37,897 55,774 50,479 6,694 19,149 11,250 25,067 17,697 134,110 32,057 69,869 41,651 91,807 14,836 11,012 33,782 99,156 59,830 164,604 18,502 5,194 52,489 28,736 10,118 27,729 10,374 113,016 7,755 2,779 29,546 15,315 50,365 190,665 22,422 8,999 5,278 COMPANY VALUE * Great Lakes Dredge & Dock Corp e Greenbrier Cos, Inc Griffon Corp H&E Equipment Services, Inc Hardinge, Inc Harsco Corp *,e HC2 Holdings, Inc Hillenbrand, Inc Hurco Cos, Inc Hyster-Yale Materials Handling, Inc * IES Holdings, Inc Insteel Industries, Inc John Bean Technologies Corp e Joy Global, Inc Kadant, Inc Kaman Corp Kennametal, Inc *,e KEYW Holding Corp * KLX, Inc *,e Kratos Defense & Security Solutions, Inc * Lawson Products, Inc *,e Layne Christensen Co e Lindsay Corp LSI Industries, Inc * Lydall, Inc Manitowoc Co, Inc * Masonite International Corp * Mastec, Inc * Mercury Systems, Inc * Meritor, Inc * Milacron Holdings Corp Miller Industries, Inc * Moog, Inc (Class A) * MRC Global, Inc Mueller Industries, Inc Mueller Water Products, Inc (Class A) * MYR Group, Inc e National Presto Industries, Inc *,e Navistar International Corp * NCI Building Systems, Inc * Neff Corp NN, Inc * Nortek, Inc * NOW, Inc * NV5 Holdings, Inc Omega Flex, Inc * Orion Marine Group, Inc * Patrick Industries, Inc * Pgt, Inc *,e Plug Power, Inc * Ply Gem Holdings, Inc Powell Industries, Inc * Power Solutions International, Inc $ 237 261,929 939,562 556,947 618,910 125,270 849,508 162,168 2,017,864 179,619 634,583 127,837 643,163 2,051,031 2,876,974 621,426 1,222,939 2,073,274 388,065 1,801,500 222,612 109,782 153,192 789,300 274,734 790,702 746,993 2,238,540 1,708,297 1,079,594 769,343 255,476 236,318 1,860,375 1,311,834 2,036,613 1,952,203 456,444 465,071 672,909 466,098 98,853 467,788 901,293 2,069,323 249,478 94,792 166,935 988,736 604,380 341,290 344,402 331,523 92,840 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 2,540 42,506 26,050 36,145 38,784 24,053 87,594 6,923 31,214 44,065 12,290 9,657 43,873 37,187 13,617 24,050 66,670 13,641 55,449 36,143 18,559 24,308 11,638 33,761 47,340 18,640 31,222 46,742 35,497 52,052 39,831 45,374 20,739 11,275 8,698 16,534 68,103 29,471 4,471 55,902 *,e * * *,e * * * * * *,e *,e * e *,e * e *,e * * * * * * * * *,e VALUE Preformed Line Products Co Primoris Services Corp Proto Labs, Inc Quanex Building Products Corp Raven Industries, Inc RBC Bearings, Inc Rexnord Corp Rush Enterprises, Inc Rush Enterprises, Inc (Class A) Simpson Manufacturing Co, Inc SiteOne Landscape Supply, Inc Sparton Corp SPX Corp SPX FLOW, Inc Standex International Corp Sun Hydraulics Corp Sunrun, Inc Supreme Industries, Inc Taser International, Inc Teledyne Technologies, Inc Tennant Co Textainer Group Holdings Ltd The ExOne Company Thermon Group Holdings Titan International, Inc Titan Machinery, Inc Trex Co, Inc Trimas Corp Triton International Ltd Triumph Group, Inc Tutor Perini Corp Univar, Inc Universal Forest Products, Inc Vectrus, Inc Veritiv Corp Vicor Corp Wabash National Corp Watts Water Technologies, Inc (Class A) Willis Lease Finance Corp Woodward Governor Co TOTAL CAPITAL GOODS $ COMMERCIAL & PROFESSIONAL SERVICES - 3.6% 58,809 ABM Industries, Inc 49,848 Acacia Research (Acacia Technologies) 113,310 * ACCO Brands Corp 43,505 * Advisory Board Co 11,310 *,e Aqua Metals, Inc 47,625 * ARC Document Solutions, Inc 7,766 Barrett Business Services, Inc 48,389 Brady Corp (Class A) 47,581 Brink’s Co 42,860 * Casella Waste Systems, Inc (Class A) 124,130 767,233 1,433,792 722,539 805,156 1,828,750 1,864,876 161,514 717,298 1,797,852 477,344 200,962 664,237 1,014,461 1,209,190 726,310 345,351 229,169 1,605,803 3,795,015 1,189,261 288,779 118,475 681,297 312,917 208,954 1,514,267 835,280 595,995 1,604,763 1,000,555 830,798 2,242,301 351,216 367,230 175,260 986,131 1,822,781 120,717 3,272,503 158,692,786 2,188,283 269,678 1,273,604 1,816,769 105,296 187,643 333,783 1,555,222 1,561,608 401,170 238 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 52,145 33,956 30,991 1,670 9,022 51,538 144,544 27,024 39,538 27,169 11,828 43,782 20,719 13,749 74,631 19,359 13,051 62,934 35,918 47,856 22,584 19,187 16,004 40,624 16,576 68,347 31,014 25,861 38,959 50,277 60,407 33,864 24,870 18,086 47,241 32,801 14,324 50,151 5,347 53,574 30,868 38,137 53,520 18,253 90,842 30,485 61,269 18,838 44,431 44,428 15,925 23,058 21,257 COMPANY VALUE * CBIZ, Inc CEB, Inc Ceco Environmental Corp e Compx International, Inc * CRA International, Inc Deluxe Corp *,m Dyax Corp Ennis, Inc Essendant, Inc Exponent, Inc * Franklin Covey Co * FTI Consulting, Inc G & K Services, Inc (Class A) * GP Strategies Corp Healthcare Services Group Heidrick & Struggles International, Inc * Heritage-Crystal Clean, Inc Herman Miller, Inc * Hill International, Inc HNI Corp * Huron Consulting Group, Inc * ICF International, Inc *,e IDI, Inc * Innerworkings, Inc Insperity, Inc Interface, Inc Kelly Services, Inc (Class A) Kforce, Inc Kimball International, Inc (Class B) Knoll, Inc Korn/Ferry International Matthews International Corp (Class A) McGrath RentCorp * Mistras Group, Inc Mobile Mini, Inc MSA Safety, Inc Multi-Color Corp * Navigant Consulting, Inc * NL Industries, Inc * On Assignment, Inc Quad Resources Connection, Inc * RPX Corp * SP Plus Corp Steelcase, Inc (Class A) *,e Team, Inc Tetra Tech, Inc * TRC Cos, Inc * TriNet Group, Inc * TrueBlue, Inc Unifirst Corp US Ecology, Inc Viad Corp $ 239 563,687 2,038,718 286,667 19,873 249,188 3,483,453 160,444 468,056 792,342 1,380,457 194,216 1,875,621 1,661,871 288,179 2,896,429 376,726 164,573 2,062,347 149,778 2,494,733 1,388,239 793,958 82,901 345,710 1,301,050 1,220,677 634,857 461,877 443,743 1,269,494 1,389,965 2,035,565 792,607 453,235 1,535,805 1,832,920 925,044 988,476 15,881 1,979,559 782,813 568,241 538,946 438,620 1,317,209 841,691 2,017,588 132,243 963,708 992,077 1,861,314 1,044,527 740,169 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 4,547 38,534 45,592 COMPANY VALUE VSE Corp * WageWorks, Inc West Corp TOTAL COMMERCIAL & PROFESSIONAL SERVICES CONSUMER DURABLES & APPAREL - 2.6% 13,874 e Arctic Cat, Inc 11,265 Bassett Furniture Industries, Inc 33,332 * Beazer Homes USA, Inc 99,483 Callaway Golf Co 8,892 * Cavco Industries, Inc 16,957 * Century Communities, Inc 28,547 Columbia Sportswear Co 76,715 * CROCS, Inc 9,477 CSS Industries, Inc 11,367 Culp, Inc 34,237 * Deckers Outdoor Corp 7,507 * Delta Apparel, Inc 9,865 Escalade, Inc 26,231 Ethan Allen Interiors, Inc 6,840 Flexsteel Industries, Inc 44,303 * Fossil Group, Inc 45,393 * G-III Apparel Group Ltd 106,620 * GoPro, Inc 22,516 *,e Green Brick Partners, Inc 29,513 * Helen of Troy Ltd 11,242 Hooker Furniture Corp 126,782 *,e Hovnanian Enterprises, Inc (Class A) 45,578 *,e Iconix Brand Group, Inc 21,233 * Installed Building Products Inc 28,607 *,e iRobot Corp 18,424 *,e Jakks Pacific, Inc 5,339 Johnson Outdoors, Inc 87,974 e KB Home 52,058 La-Z-Boy, Inc 16,275 *,e LGI Homes, Inc 23,142 Libbey, Inc 11,087 Lifetime Brands, Inc 25,910 * M/I Homes, Inc 19,557 * Malibu Boats Inc 11,342 Marine Products Corp 6,594 MCBC Holdings, Inc 41,732 MDC Holdings, Inc 40,222 * Meritage Homes Corp 15,730 Movado Group, Inc 4,040 Nacco Industries, Inc (Class A) 32,465 * Nautilus, Inc 12,045 *,e New Home Co Inc 16,039 Oxford Industries, Inc 40,930 *,e Performance Sports Group Ltd 13,223 * Perry Ellis International, Inc 40,448 * Sequential Brands Group, Inc 57,875 * Smith & Wesson Holding Corp $ 289,007 2,381,787 1,008,039 67,109,956 216,573 290,975 319,654 1,064,468 883,687 300,139 1,634,316 869,181 249,340 324,300 2,259,984 179,342 105,851 911,003 281,124 1,399,975 1,817,082 1,347,677 158,963 2,939,790 260,027 233,279 328,162 760,778 1,084,777 169,869 162,573 1,381,192 1,573,193 558,721 432,524 148,455 584,270 266,757 103,552 75,699 1,098,386 1,463,679 355,341 227,331 611,641 118,643 917,110 136,297 283,237 328,842 1,704,419 240 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 65,006 19,302 8,520 32,151 40,672 157,187 59,655 8,533 16,504 14,946 21,621 26,016 22,901 6,440 25,204 102,508 30,015 COMPANY VALUE * Steven Madden Ltd Sturm Ruger & Co, Inc Superior Uniform Group, Inc * Taylor Morrison Home Corp * TopBuild Corp * TRI Pointe Homes, Inc * Tumi Holdings, Inc * UCP, Inc (Class A) * Unifi, Inc * Universal Electronics, Inc * Vera Bradley, Inc * Vince Holding Corp * WCI Communities, Inc Weyco Group, Inc *,e William Lyon Homes, Inc Wolverine World Wide, Inc * Zagg, Inc TOTAL CONSUMER DURABLES & APPAREL $ CONSUMER SERVICES - 4.1% 16,699 * American Public Education, Inc 90,319 * Apollo Group, Inc (Class A) 11,096 * Ascent Media Corp (Series A) 89,278 * Belmond Ltd. 24,626 * BJ’s Restaurants, Inc 120,468 Bloomin’ Brands, Inc 20,955 Bob Evans Farms, Inc 10,354 * Bojangles’, Inc 87,164 * Boyd Gaming Corp 18,796 * Bridgepoint Education, Inc 46,355 * Bright Horizons Family Solutions 19,988 * Buffalo Wild Wings, Inc 50,112 * Caesars Acquisition Co 58,150 *,e Caesars Entertainment Corp 12,574 * Cambium Learning Group, Inc 11,979 Capella Education Co 71,403 * Career Education Corp 15,987 Carriage Services, Inc 35,305 * Carrols Restaurant Group, Inc 22,522 * Century Casinos, Inc 48,097 Cheesecake Factory 83,666 *,e Chegg, Inc 14,254 Churchill Downs, Inc 17,248 *,e Chuy’s Holdings, Inc 67,980 ClubCorp Holdings, Inc 7,858 Collectors Universe 20,267 e Cracker Barrel Old Country Store, Inc 40,023 * Dave & Buster’s Entertainment, Inc 24,938 * Del Frisco’s Restaurant Group, Inc 24,501 * Del Taco Restaurants, Inc 80,940 * Denny’s Corp 65,387 e DeVry Education Group, Inc 39,222 *,e Diamond Resorts International, Inc 2,276,510 1,312,536 136,916 522,454 1,535,775 2,114,165 1,595,771 71,677 446,103 1,155,924 314,802 130,080 385,424 179,934 437,289 2,510,421 189,995 48,237,954 478,259 811,968 188,854 1,025,804 956,474 2,166,015 770,725 179,953 1,709,286 134,015 3,109,030 3,357,184 539,205 401,235 60,858 717,183 493,395 388,644 427,544 143,690 2,488,058 450,960 1,869,127 581,603 985,710 169,026 3,190,228 1,781,023 372,075 257,506 903,290 1,456,168 1,183,720 241 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 18,401 21,440 29,751 2,870 27,529 4,520 10,815 47,456 14,217 130,930 28,136 119,519 17,664 26,395 13,518 34,471 14,065 35,635 8,254 89,965 5,829 89,281 15,628 20,466 19,633 23,677 11,598 3,203 11,386 28,618 79,056 61,177 15,628 23,018 25,100 15,070 14,530 31,763 39,666 60,611 34,331 54,905 71,068 16,575 49,803 55,787 12,021 1,103 11,331 70,191 29,298 16,593 19,833 *,e * *,e * * * * * * * * *,e * *,e * * * * * * *,e * * * * *,e * * * * * *,e e *,e e * * *,e *,e VALUE DineEquity, Inc El Pollo Loco Holdings, Inc Eldorado Resorts, Inc Empire Resorts, Inc Fiesta Restaurant Group, Inc Fogo De Chao, Inc Golden Entertainment, Inc Grand Canyon Education, Inc Habit Restaurants, Inc Houghton Mifflin Harcourt Co International Speedway Corp (Class A) Interval Leisure Group, Inc Intrawest Resorts Holdings Inc Isle of Capri Casinos, Inc J Alexander’s Holdings, Inc Jack in the Box, Inc Jamba, Inc K12, Inc Kona Grill, Inc La Quinta Holdings, Inc Liberty Tax, Inc LifeLock, Inc Lindblad Expeditions Holdings, Inc Luby’s, Inc Marcus Corp Marriott Vacations Worldwide Corp Monarch Casino & Resort, Inc Nathan’s Famous, Inc Noodles & Co Papa John’s International, Inc Penn National Gaming, Inc Pinnacle Entertainment, Inc Planet Fitness, Inc Popeyes Louisiana Kitchen, Inc Potbelly Corp Red Lion Hotels Corp Red Robin Gourmet Burgers, Inc Red Rock Resorts, Inc Regis Corp Ruby Tuesday, Inc Ruth’s Chris Steak House, Inc Scientific Games Corp (Class A) SeaWorld Entertainment, Inc Shake Shack, Inc Sonic Corp Sotheby’s (Class A) Speedway Motorsports, Inc Steak N Shake Co Strayer Education, Inc Texas Roadhouse, Inc (Class A) Weight Watchers International, Inc Wingstop, Inc Zoe’s Kitchen, Inc TOTAL CONSUMER SERVICES $ 242 1,497,289 282,150 429,902 44,428 614,998 61,608 147,192 1,995,999 230,884 2,219,263 950,153 2,148,952 256,835 494,378 129,367 3,046,892 151,902 441,161 103,175 1,112,867 80,790 1,493,671 155,342 94,962 434,871 1,806,555 270,581 155,570 84,143 2,116,301 1,187,421 668,053 320,374 1,318,471 327,053 119,656 702,671 730,867 533,111 244,868 548,266 585,013 1,094,447 663,166 1,340,199 1,806,941 212,411 457,866 518,053 3,314,419 349,525 431,418 704,865 74,979,130 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES VALUE COMPANY DIVERSIFIED FINANCIALS - 2.3% 23,512 e Arlington Asset Investment Corp (Class A) 4,952 Associated Capital Group, Inc 9,817 e B. Riley Financial, Inc 3,900 *,e BBX Capital Corp 229,410 BGC Partners, Inc (Class A) 17,377 Calamos Asset Management, Inc (Class A) 25,297 Cash America International, Inc 22,213 Cohen & Steers, Inc 112,577 *,e Cowen Group, Inc 3,255 Diamond Hill Investment Group, Inc 25,143 *,e Encore Capital Group, Inc 30,263 * Enova International, Inc 41,208 Evercore Partners, Inc (Class A) 51,255 * Ezcorp, Inc (Class A) 6,569 FBR Capital Markets Corp 56,488 e Financial Engines, Inc 29,304 First Cash Financial Services, Inc 70,315 * FNFV Group 39,480 Gain Capital Holdings, Inc 4,783 GAMCO Investors, Inc (Class A) 45,072 * Green Dot Corp 29,456 Greenhill & Co, Inc 3,051 Hennessy Advisors, Inc 37,999 HFF, Inc (Class A) 12,676 Houlihan Lokey, Inc 15,921 * INTL FCStone, Inc 35,402 Investment Technology Group, Inc 50,789 e iShares Russell 2000 Index Fund 151,500 Janus Capital Group, Inc 55,228 * KCG Holdings, Inc 108,919 * Ladenburg Thalmann Financial Services, Inc 347,185 *,e LendingClub Corp 15,733 * Manning & Napier, Inc 8,576 Marlin Business Services Corp 6,103 e Medley Management, Inc 19,622 Moelis & Co 21,331 Nelnet, Inc (Class A) 25,784 * NewStar Financial, Inc 42,369 OM Asset Management plc 50,770 *,e On Deck Capital, Inc 10,059 Oppenheimer Holdings, Inc 22,714 * Pico Holdings, Inc 16,171 * Piper Jaffray Cos 18,691 PJT Partners, Inc 49,290 *,e PRA Group, Inc 15,374 Pzena Investment Management, Inc (Class A) 10,556 * Regional Management Corp 12,890 Resource America, Inc (Class A) 21,041 * Safeguard Scientifics, Inc 7,377 e Silvercrest Asset Management Group, Inc $ 243 327,522 148,015 89,138 75,426 2,034,867 120,944 1,083,976 957,380 351,240 621,672 613,741 275,091 2,088,009 464,370 98,995 1,490,718 1,503,588 838,858 265,306 163,292 1,090,742 584,112 105,870 1,071,952 290,661 463,938 591,213 6,150,040 2,287,650 835,600 265,762 1,603,995 122,560 157,455 45,834 488,392 861,986 263,512 593,166 264,004 158,329 228,957 668,509 477,181 1,373,219 120,840 198,453 125,549 271,850 89,631 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 67,753 29,168 1,276 26,633 6,706 83,798 8,429 1,462 121,312 6,374 ENERGY - 2.8% 119,777 2,024 31,843 72,728 22,797 64,233 51,663 35,540 33,434 128,027 20,847 59,004 6,392 92,677 430,878 19,256 16,677 21,343 65,053 371,240 95,894 26,002 2,787 40,877 20,076 18,688 26,714 150,503 34,541 69,767 63,355 68,067 43,443 40,493 13,377 93,866 37,962 106,902 36,029 31,552 COMPANY VALUE * Stifel Financial Corp Tiptree Financial, Inc e Value Line, Inc e Virtu Financial, Inc e Virtus Investment Partners, Inc Waddell & Reed Financial, Inc (Class A) Westwood Holdings Group, Inc *,e Wins Finance Holdings, Inc e WisdomTree Investments, Inc *,e World Acceptance Corp TOTAL DIVERSIFIED FINANCIALS $ * Abraxas Petroleum Corp Adams Resources & Energy, Inc Alon USA Energy, Inc Archrock, Inc e Ardmore Shipping Corp e Atwood Oceanics, Inc *,e Bill Barrett Corp e Bristow Group, Inc *,e California Resources Corp * Callon Petroleum Co e CARBO Ceramics, Inc * Carrizo Oil & Gas, Inc *,e Clayton Williams Energy, Inc * Clean Energy Fuels Corp *,e Cobalt International Energy, Inc * Contango Oil & Gas Co e CVR Energy, Inc * Dawson Geophysical Co Delek US Holdings, Inc e Denbury Resources, Inc DHT Holdings, Inc *,e Dorian LPG Ltd * Earthstone Energy, Inc *,e EP Energy Corp * Era Group, Inc *,e Erin Energy Corp Evolution Petroleum Corp *,e EXCO Resources, Inc * Exterran Corp * Fairmount Santrol Holdings, Inc * Forum Energy Technologies, Inc e Frontline Ltd e GasLog Ltd * Gener8 Maritime, Inc *,e Geospace Technologies Corp e Golar LNG Ltd Green Plains Renewable Energy, Inc * Helix Energy Solutions Group, Inc *,e Hornbeck Offshore Services, Inc * Independence Contract Drilling, Inc 2,395,069 152,257 23,057 458,088 565,249 1,530,151 451,963 29,825 1,205,841 277,014 42,551,624 138,941 61,267 225,130 648,007 160,263 686,009 308,428 384,187 343,033 1,458,228 293,943 1,935,331 241,042 277,104 642,008 177,733 246,820 159,005 814,464 1,076,596 446,866 160,432 28,009 170,457 176,267 47,841 145,591 207,694 439,362 477,904 1,034,587 540,452 580,833 215,423 220,721 1,591,967 860,978 848,802 287,511 158,707 244 TIAA-CREF FUNDS - Small-Cap Blend Index Fund 815 35,574 87,638 26,978 255,155 12,792 85,514 85,866 91,547 49,964 187,849 54,050 38,165 30,665 16,567 29,467 126,716 48,666 12,236 66,714 45,997 5,976 12,000 37,776 82,961 59,117 172,695 16,889 398,608 55,856 62,259 196,281 46,108 122,166 42,038 81,516 50,086 53,024 67,560 41,216 71,766 17,749 45,355 VALUE COMPANY SHARES *,e * * * * * e * e *,e * * *,e * * * * * * * * * * *,e *,e *,e e * e e * e * *,e * * Isramco, Inc Jones Energy, Inc (Class A) Matador Resources Co Matrix Service Co McDermott International, Inc Natural Gas Services Group, Inc Navios Maritime Acq Corp Newpark Resources, Inc Nordic American Tanker Shipping Northern Oil And Gas, Inc Oasis Petroleum, Inc Oil States International, Inc Overseas Shipholding Group, Inc Pacific Ethanol, Inc Panhandle Oil and Gas, Inc (Class A) Par Petroleum Corp Parker Drilling Co PDC Energy, Inc PHI, Inc Pioneer Energy Services Corp Renewable Energy Group, Inc Rex American Resources Corp RigNet, Inc Ring Energy, Inc RSP Permian, Inc Sanchez Energy Corp Scorpio Tankers, Inc SEACOR Holdings, Inc Seadrill Ltd SemGroup Corp Ship Finance International Ltd Synergy Resources Corp Teekay Corp Teekay Tankers Ltd (Class A) Tesco Corp Tetra Technologies, Inc Tidewater, Inc Unit Corp US Silica Holdings Inc W&T Offshore, Inc Western Refining, Inc Westmoreland Coal Co Willbros Group, Inc TOTAL ENERGY $ FOOD & STAPLES RETAILING - 0.6% 28,458 Andersons, Inc 20,472 * Chefs’ Warehouse Holdings, Inc 14,780 Ingles Markets, Inc (Class A) 9,375 * Natural Grocers by Vitamin C 39,454 * Performance Food Group Co 21,132 Pricesmart, Inc 23,742 * Smart & Final Stores, Inc 64,467 131,624 1,848,285 447,026 1,321,703 321,207 130,836 542,673 1,126,028 197,857 1,427,652 1,671,226 488,130 209,442 271,036 442,005 262,302 2,665,437 236,400 210,149 448,471 393,221 143,400 299,941 2,982,448 374,802 822,028 954,566 1,183,866 1,617,590 940,111 1,277,789 285,870 360,390 277,871 489,911 213,867 662,800 2,328,793 82,020 1,496,321 169,503 92,978 50,831,985 1,052,377 330,623 573,907 128,344 1,082,618 1,645,760 327,402 245 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 38,832 280,615 52,360 7,291 10,322 VALUE COMPANY Spartan Stores, Inc * Supervalu, Inc * United Natural Foods, Inc Village Super Market (Class A) Weis Markets, Inc TOTAL FOOD & STAPLES RETAILING $ FOOD, BEVERAGE & TOBACCO - 1.8% 3,815 Alico, Inc 8,811 * Alliance One International, Inc 30,917 *,e Amplify Snack Brands, Inc 65,314 B&G Foods, Inc (Class A) 9,364 *,e Boston Beer Co, Inc (Class A) 16,326 Calavo Growers, Inc 32,522 e Cal-Maine Foods, Inc 4,980 e Coca-Cola Bottling Co Consolidated 14,481 * Craft Brewers Alliance, Inc 173,140 * Darling International, Inc 97,504 Dean Foods Co 8,217 * Farmer Bros Co 34,408 Fresh Del Monte Produce, Inc 23,625 *,e Freshpet, Inc 19,110 *,e Inventure Foods, Inc 15,837 J&J Snack Foods Corp 8,986 John B. Sanfilippo & Son, Inc 19,805 Lancaster Colony Corp 28,166 * Landec Corp 4,622 *,e Lifeway Foods, Inc 12,397 e Limoneira Co 13,223 Mgp Ingredients, Inc 12,162 * National Beverage Corp 23,100 * Omega Protein Corp 22,217 * Primo Water 21,109 e Sanderson Farms, Inc 280 * Seaboard Corp 7,003 * Seneca Foods Corp 84,955 Snyder’s-Lance, Inc 22,657 *,e Synutra International, Inc 18,471 e Tootsie Roll Industries, Inc 6,241 *,e Turning Point Brands, Inc 23,302 Universal Corp 92,649 e Vector Group Ltd TOTAL FOOD, BEVERAGE & TOBACCO 1,223,208 1,369,401 2,616,953 230,687 533,338 11,114,618 112,848 152,430 440,876 3,369,549 1,712,488 1,073,924 1,362,672 709,202 170,007 2,732,149 1,799,924 252,015 1,956,095 206,483 164,728 1,925,938 419,377 2,573,858 323,909 46,174 219,303 568,589 697,612 520,212 266,160 1,848,937 820,400 274,308 2,910,558 79,073 685,828 69,587 1,382,042 2,046,616 33,893,871 HEALTH CARE EQUIPMENT & SERVICES - 6.1% 10,486 *,e AAC Holdings, Inc 23,198 Abaxis, Inc 84,148 * Accuray, Inc 30,734 Aceto Corp 7,795 * Addus HomeCare Corp 13,042 *,e Adeptus Health, Inc 37,632 *,e Air Methods Corp 8,566 * Almost Family, Inc 237,718 1,147,373 461,131 790,171 147,014 581,282 1,252,769 340,841 246 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 29,689 9,243 49,913 13,027 28,529 15,060 33,187 1,466 11,588 25,548 67,050 27,871 37,808 29,246 33,033 42,055 106,876 17,110 15,932 116,201 11,962 37,623 28,826 58,576 10,428 13,320 33,769 33,315 13,259 25,013 48,270 85,625 50,742 7,883 15,974 10,999 42,351 42,505 17,614 73,989 54,018 49,393 45,547 93,659 26,980 33,690 17,876 88,829 15,521 16,950 17,212 60,904 32,289 COMPANY VALUE * Amedisys, Inc * American Renal Associates Holdings, Inc * AMN Healthcare Services, Inc Analogic Corp * Angiodynamics, Inc * Anika Therapeutics, Inc * AtriCure, Inc Atrion Corp *,e Avinger, Inc * AxoGen, Inc *,e BioScrip, Inc * BioTelemetry, Inc Cantel Medical Corp * Capital Senior Living Corp * Cardiovascular Systems, Inc * Castlight Health, Inc *,e Cerus Corp Chemed Corp * Civitas Solutions, Inc *,e Community Health Systems, Inc e Computer Programs & Systems, Inc *,e ConforMIS, Inc Conmed Corp *,e Corindus Vascular Robotics, Inc * Corvel Corp * Cotiviti Holdings, Inc * Cross Country Healthcare, Inc CryoLife, Inc * Cutera, Inc * Cynosure, Inc (Class A) *,e Diplomat Pharmacy, Inc *,e Endologix, Inc Ensign Group, Inc * Entellus Medical, Inc * Evolent Health, Inc * Exactech, Inc * Genesis Health Care, Inc *,e GenMark Diagnostics, Inc * Glaukos Corp * Globus Medical, Inc * Haemonetics Corp * Halyard Health, Inc * HealthEquity, Inc Healthsouth Corp * HealthStream, Inc * Healthways, Inc * HeartWare International, Inc * HMS Holdings Corp * ICU Medical, Inc * Imprivata, Inc * Inogen Inc * Insulet Corp * Integer Holding Corp $ 247 1,589,846 220,446 2,111,320 1,094,529 473,296 751,795 504,111 698,989 57,245 171,683 171,648 530,106 2,531,246 569,712 647,777 156,865 789,814 2,517,565 341,423 1,483,887 474,174 262,232 1,171,489 83,764 471,346 321,545 493,703 485,400 143,065 1,374,714 1,734,341 1,208,169 1,090,953 141,106 376,028 297,303 87,243 452,678 615,785 1,698,048 1,637,826 1,708,504 1,344,547 4,032,020 653,725 567,340 1,035,735 1,765,920 1,812,232 324,084 924,973 2,155,393 717,139 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 31,897 34,175 31,956 4,270 7,958 27,188 88,875 9,954 14,283 15,808 26,385 43,304 58,056 44,324 45,223 45,671 11,809 8,654 34,308 38,682 25,352 58,597 53,462 52,312 67,245 37,573 54,867 18,682 65,932 23,335 26,866 30,753 23,364 13,332 53,965 28,516 31,348 39,259 51,054 56,330 17,040 112,647 29,143 45,066 42,227 19,654 28,325 13,101 19,609 71,636 21,885 64,711 24,585 COMPANY VALUE * Integra LifeSciences Holdings Corp Invacare Corp *,e InVivo Therapeutics Holdings Corp *,e iRadimed Corp *,e IRIDEX Corp * K2M Group Holdings, Inc Kindred Healthcare, Inc Landauer, Inc LeMaitre Vascular, Inc * LHC Group, Inc * Magellan Health Services, Inc * Masimo Corp * Medidata Solutions, Inc Meridian Bioscience, Inc * Merit Medical Systems, Inc * Molina Healthcare, Inc National Healthcare Corp National Research Corp * Natus Medical, Inc * Neogen Corp *,e Nevro Corp *,e Nobilis Health Corp *,e Novocure Ltd * NuVasive, Inc * NxStage Medical, Inc * Omnicell, Inc * OraSure Technologies, Inc * Orthofix International NV Owens & Minor, Inc *,e Oxford Immunotec Global plc * Penumbra, Inc * PharMerica Corp * Press Ganey Holdings, Inc * Providence Service Corp Quality Systems, Inc * Quidel Corp * Quorum Health Corp * RadNet, Inc *,e Rockwell Medical, Inc * RTI Biologics, Inc *,e Second Sight Medical Products, Inc * Select Medical Holdings Corp *,e Senseonics Holdings, Inc * Spectranetics Corp * Staar Surgical Co *,e Surgery Partners, Inc * Surgical Care Affiliates, Inc * SurModics, Inc * Tandem Diabetes Care, Inc * Team Health Holdings, Inc *,e Teladoc, Inc *,e TransEnterix, Inc * Triple-S Management Corp (Class B) $ 248 2,687,960 393,696 207,075 82,667 128,999 455,671 1,089,607 415,281 245,668 715,470 1,806,581 2,293,813 3,085,676 858,113 1,060,027 2,594,569 762,861 129,983 1,349,334 2,133,312 2,096,610 167,001 402,034 3,253,806 1,486,787 1,453,324 374,193 885,527 2,354,432 187,613 1,835,216 816,800 932,691 644,869 662,690 650,165 341,380 235,947 410,985 183,072 68,842 1,295,440 96,755 1,044,630 288,833 356,327 1,473,183 359,360 130,008 2,925,614 381,674 87,360 610,937 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 61,143 12,604 2,500 3,848 18,016 16,977 6,996 26,125 108,952 37,414 VALUE COMPANY * * *,e *,e * * *,e Universal American Corp US Physical Therapy, Inc USMD Holdings, Inc Utah Medical Products, Inc Vascular Solutions, Inc Veracyte, Inc ViewRay, Inc Vocera Communications, Inc Wright Medical Group NV Zeltiq Aesthetics, Inc TOTAL HEALTH CARE EQUIPMENT & SERVICES HOUSEHOLD & PERSONAL PRODUCTS - 0.6% 465,242 Avon Products, Inc 10,673 * Central Garden & Pet Co 35,501 * Central Garden and Pet Co (Class A) 26,107 * Elizabeth Arden, Inc 125,201 * HRG Group, Inc 18,467 Inter Parfums, Inc 14,527 * Lifevantage Corp 11,162 Medifast, Inc 8,193 e Natural Health Trends Corp 9,628 Nature’s Sunshine Products, Inc 8,709 * Nutraceutical International Corp 5,258 Oil-Dri Corp of America 9,315 e Orchids Paper Products Co 12,362 * Revlon, Inc (Class A) 5,595 * USANA Health Sciences, Inc 14,901 WD-40 Co TOTAL HOUSEHOLD & PERSONAL PRODUCTS INSURANCE - 2.2% 47,827 84,970 20,158 30,455 10,991 9,661 6,260 47,780 189,158 13,364 8,330 18,842 8,843 33,889 11,952 10,696 13,489 12,373 529,998 30,437 13,466 $ 468,355 751,450 51,475 250,389 826,394 84,036 26,305 386,389 2,389,317 1,270,205 111,528,909 1,893,535 258,927 809,068 362,887 1,864,243 600,916 203,233 393,126 275,203 113,610 223,299 196,912 286,064 438,727 768,305 1,713,317 10,401,372 * AMBAC Financial Group, Inc American Equity Investment Life Holding Co Amerisafe, Inc Argo Group International Holdings Ltd * Atlas Financial Holdings, Inc Baldwin & Lyons, Inc (Class B) Blue Capital Reinsurance Holdings Ltd *,e Citizens, Inc (Class A) Conseco, Inc Crawford & Co (Class B) Donegal Group, Inc (Class A) * eHealth, Inc EMC Insurance Group, Inc Employers Holdings, Inc * Enstar Group Ltd FBL Financial Group, Inc (Class A) Federated National Holding Co e Fidelity & Guaranty Life * Genworth Financial, Inc (Class A) * Greenlight Capital Re Ltd (Class A) * Hallmark Financial Services 869,495 1,353,572 1,179,848 1,580,310 189,155 255,920 111,741 398,963 3,285,675 146,737 134,696 179,941 245,216 966,514 1,991,084 667,110 282,595 270,474 1,515,794 627,915 142,874 249 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 8,715 27,915 42,790 7,520 11,513 1,506 15,077 42,058 62,385 138,701 50,842 7,920 2,386 11,844 21,461 12,590 49,628 40,300 15,383 60,014 15,535 30,579 24,145 69,863 15,904 8,881 22,797 18,074 34,492 MATERIALS - 4.7% 30,062 4,264 23,331 250,414 114,569 30,407 9,050 74,936 33,224 41,228 53,418 48,817 52,533 7,449 193,525 67,268 17,914 186,502 35,447 161,341 120,999 * *,e e * *,e * e *,e *,e e * * * * *,e * * VALUE HCI Group, Inc Heritage Insurance Holdings, Inc Horace Mann Educators Corp Independence Holding Co Infinity Property & Casualty Corp Investors Title Co James River Group Holdings Ltd Kemper Corp Maiden Holdings Ltd MBIA, Inc National General Holdings Corp National Interstate Corp National Western Life Group, Inc Navigators Group, Inc OneBeacon Insurance Group Ltd (Class A) Patriot National, Inc Primerica, Inc RLI Corp Safety Insurance Group, Inc Selective Insurance Group, Inc State Auto Financial Corp State National Cos, Inc Stewart Information Services Corp Third Point Reinsurance Ltd Trupanion, Inc United America Indemnity Ltd United Fire & Casualty Co United Insurance Holdings Corp Universal Insurance Holdings, Inc TOTAL INSURANCE $ A. Schulman, Inc AEP Industries, Inc AgroFresh Solutions, Inc AK Steel Holding Corp Allegheny Technologies, Inc American Vanguard Corp Ampco-Pittsburgh Corp Axiall Corp Balchem Corp Boise Cascade Co Calgon Carbon Corp Carpenter Technology Corp Century Aluminum Co Chase Corp Chemours Co Chemtura Clearwater Paper Corp Cliffs Natural Resources, Inc Codexis, Inc Coeur Mining, Inc Commercial Metals Co 262,844 345,867 1,462,562 130,923 944,527 151,353 507,492 1,441,328 871,518 1,170,636 1,048,871 256,846 451,288 1,109,428 300,669 99,335 2,556,338 2,747,251 979,897 2,350,148 350,780 333,923 1,033,647 879,575 239,832 266,696 957,474 286,654 749,856 40,683,187 881,117 343,081 150,485 1,642,716 2,040,474 452,456 119,550 2,446,660 2,122,017 1,120,165 737,168 1,916,067 398,725 451,335 1,799,783 1,889,558 1,126,970 1,475,231 154,194 2,471,744 2,001,323 250 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 11,399 87,802 69,112 54,187 25,584 74,881 52,649 6,033 27,044 52,932 2,530 10,359 12,649 76,830 402,827 44,947 20,371 24,921 18,647 91,107 9,445 21,056 31,237 20,428 152,229 20,608 20,344 36,591 22,335 23,462 17,485 174,821 9,702 45,790 45,858 88,587 13,716 45,459 27,750 11,590 27,571 31,859 46,999 20,714 129,012 80,069 70,729 36,202 42,921 20,093 26,796 30,243 70,322 COMPANY VALUE Deltic Timber Corp * Ferro Corp Ferroglobe plc *,e Flotek Industries, Inc FutureFuel Corp * GCP Applied Technologies, Inc * Gold Resource Corp e Greif, Inc Greif, Inc (Class A) H.B. Fuller Co * Handy & Harman Ltd Hawkins, Inc Haynes International, Inc * Headwaters, Inc e Hecla Mining Co * Ingevity Corp Innophos Holdings, Inc Innospec, Inc Kaiser Aluminum Corp Kapstone Paper and Packaging Corp KMG Chemicals, Inc * Koppers Holdings, Inc * Kraton Polymers LLC e Kronos Worldwide, Inc * Louisiana-Pacific Corp *,e LSB Industries, Inc Materion Corp Minerals Technologies, Inc * Multi Packaging Solutions International Ltd Myers Industries, Inc Neenah Paper, Inc Olin Corp Olympic Steel, Inc * Omnova Solutions, Inc PH Glatfelter Co PolyOne Corp Quaker Chemical Corp Rayonier Advanced Materials, Inc * Real Industry, Inc *,e Ryerson Holding Corp Schnitzer Steel Industries, Inc (Class A) Schweitzer-Mauduit International, Inc Sensient Technologies Corp Stepan Co * Stillwater Mining Co * Summit Materials, Inc SunCoke Energy, Inc *,e TerraVia Holdings, Inc TimkenSteel Corp * Trecora Resources Tredegar Corp Trinseo S.A. Tronox Ltd $ 251 785,619 1,137,914 644,124 769,455 293,193 2,061,474 295,887 319,568 1,085,276 2,464,514 70,511 442,744 480,409 1,528,149 2,614,347 1,720,122 877,175 1,252,779 1,544,904 1,301,008 259,643 665,791 934,299 115,418 3,075,026 238,641 537,285 2,387,929 324,304 350,757 1,318,894 3,653,759 278,059 433,631 947,426 3,106,746 1,312,073 625,970 217,560 167,360 537,359 1,204,589 3,469,936 1,332,117 1,973,884 1,772,728 539,662 91,591 430,068 229,663 474,289 1,505,799 456,390 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 6,723 1,928 15,187 19,013 47,550 MEDIA - 1.8% 22,808 24,895 84,159 1,175 81,822 27,026 68,748 31,185 62,877 123,628 49,313 67,628 7,572 61,932 9,652 33,242 24,063 48,719 13,752 54,053 115,176 39,428 62,766 64,928 41,002 131,690 31,503 25,932 17,700 3,855 11,718 28,570 69,657 108,487 10,404 28,330 38,119 VALUE * UFP Technologies, Inc United States Lime & Minerals, Inc *,e US Concrete, Inc e Valhi, Inc * Worthington Industries, Inc TOTAL MATERIALS * *,e *,e * *,e *,e * *,e * * * * *,e * * * e *,e * * * $ AMC Entertainment Holdings, Inc Carmike Cinemas, Inc Central European Media Enterprises Ltd (Class A) (NASDAQ) Daily Journal Corp DreamWorks Animation SKG, Inc (Class A) Entercom Communications Corp (Class A) Entravision Communications Corp (Class A) Eros International plc EW Scripps Co (Class A) Gannett Co, Inc Global Eagle Entertainment, Inc Gray Television, Inc Hemisphere Media Group, Inc Imax Corp Liberty Braves Group (Class A) Liberty Braves Group (Class C) Liberty Media Group (Class A) Liberty Media Group (Class C) Loral Space & Communications, Inc MDC Partners, Inc Media General, Inc Meredith Corp MSG Networks, Inc National CineMedia, Inc New Media Investment Group, Inc New York Times Co (Class A) Nexstar Broadcasting Group, Inc (Class A) Radio One, Inc Reading International, Inc Saga Communications, Inc Salem Communications Scholastic Corp Sinclair Broadcast Group, Inc (Class A) Time, Inc Townsquare Media, Inc tronc, Inc World Wrestling Entertainment, Inc (Class A) TOTAL MEDIA PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 7.6% 25,192 *,e Accelerate Diagnostics, Inc 28,938 * Acceleron Pharma, Inc 37,387 *,e AcelRx Pharmaceuticals, Inc 123,735 * Achillion Pharmaceuticals, Inc 9,512 *,e Aclaris Therapeutics, Inc 153,889 121,464 979,562 35,364 2,106,941 85,795,857 671,011 767,264 194,407 268,370 3,352,247 394,850 499,111 542,931 1,066,394 1,577,493 404,367 669,517 96,089 1,956,432 159,162 531,207 546,230 1,092,280 483,108 689,716 2,025,946 2,148,037 1,007,394 1,011,578 724,095 1,709,336 1,592,477 82,982 243,375 158,132 88,705 1,174,227 1,937,858 1,771,593 85,105 424,667 752,850 32,900,543 495,023 981,577 135,715 1,024,526 187,386 252 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 45,405 17,598 37,445 34,621 23,588 25,399 81,131 14,046 27,685 37,836 27,371 49,457 36,802 134,306 37,558 46,255 34,368 8,046 40,458 13,387 36,138 24,055 251,184 11,126 186,709 147,456 60,850 20,225 24,483 80,123 5,009 25,788 11,659 22,170 82,617 87,326 5,693 67,784 39,102 21,146 33,645 20,459 105,156 104,711 11,627 43,710 76,747 24,005 46,432 30,343 11,265 33,484 31,105 * *,e *,e *,e * *,e *,e * *,e *,e *,e *,e * * * * *,e *,e *,e * *,e * *,e *,e *,e * *,e *,e *,e *,e *,e *,e *,e *,e * * * *,e *,e *,e * *,e * *,e *,e *,e * *,e * *,e * *,e * VALUE Acorda Therapeutics, Inc Adamas Pharmaceuticals, Inc Aduro Biotech, Inc Advaxis, Inc Adverum Biotechnologies, Inc Aerie Pharmaceuticals, Inc Agenus, Inc Agile Therapeutics, Inc Aimmune Therapeutics, Inc Akebia Therapeutics, Inc Albany Molecular Research, Inc Alder Biopharmaceuticals, Inc AMAG Pharmaceuticals, Inc Amicus Therapeutics, Inc Amphastar Pharmaceuticals, Inc Ampio Pharmaceuticals, Inc Anavex Life Sciences Corp ANI Pharmaceuticals, Inc Anthera Pharmaceuticals, Inc Applied Genetic Technologies Corp Aratana Therapeutics, Inc Ardelyx, Inc Arena Pharmaceuticals, Inc Argos Therapeutics, Inc Ariad Pharmaceuticals, Inc Array Biopharma, Inc Arrowhead Research Corp Asterias Biotherapeutics, Inc Atara Biotherapeutics, Inc Athersys, Inc Avexis, Inc Axovant Sciences Ltd Axsome Therapeutics, Inc Bellicum Pharmaceuticals, Inc BioCryst Pharmaceuticals, Inc Bio-Path Holdings, Inc Biospecifics Technologies Corp BioTime, Inc Bluebird Bio, Inc Blueprint Medicines Corp Cambrex Corp Cara Therapeutics Inc Catalent, Inc Celldex Therapeutics, Inc Cellular Biomedicine Group, Inc Cempra, Inc Cepheid, Inc ChemoCentryx, Inc Chimerix, Inc ChromaDex Corp Cidara Therapeutics, Inc Clovis Oncology, Inc Coherus Biosciences, Inc $ 253 1,147,838 265,730 549,693 288,739 85,389 440,673 450,277 98,322 331,943 338,632 395,237 1,587,570 976,357 902,536 607,688 45,792 131,973 487,588 124,611 201,207 274,287 256,907 419,477 58,523 1,775,603 551,485 362,666 60,473 587,592 177,873 188,489 381,662 91,173 352,060 299,074 148,454 230,566 211,486 2,235,852 467,538 1,763,334 121,322 2,685,684 483,765 173,126 785,469 2,711,471 112,823 185,264 121,372 133,941 478,151 789,756 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 14,291 17,323 78,695 3,551 127,105 35,133 21,566 76,356 64,430 22,159 12,929 130,930 40,995 9,336 17,232 7,276 23,448 3,693 34,287 16,083 37,543 41,743 43,416 15,081 102,211 240,080 55,297 28,479 11,270 19,481 30,763 35,807 14,215 194,934 19,716 160,088 14,876 10,680 115,108 33,580 6,434 170,274 100,475 27,890 13,745 85,876 94,523 77,271 43,713 52,474 86,329 18,499 70,446 *,e * *,e * * *,e *,e *,e *,e * *,e * *,e *,e *,e *,e *,e *,e * *,e *,e * * *,e *,e *,e * * *,e *,e *,e *,e *,e *,e * *,e *,e * *,e *,e * * *,e * * *,e *,e * * *,e e * *,e VALUE Collegium Pharmaceutical, Inc Concert Pharmaceuticals Inc Corcept Therapeutics, Inc Corvus Pharmaceuticals, Inc Curis, Inc Cytokinetics, Inc CytomX Therapeutics, Inc CytRx Corp Depomed, Inc Dermira, Inc Dimension Therapeutics, Inc Durect Corp Dynavax Technologies Corp Eagle Pharmaceuticals, Inc Edge Therapeutics, Inc Editas Medicine, Inc Egalet Corp Eiger BioPharmaceuticals, Inc Emergent Biosolutions, Inc Enanta Pharmaceuticals, Inc Endocyte, Inc Enzo Biochem, Inc Epizyme, Inc Esperion Thereapeutics, Inc Exact Sciences Corp Exelixis, Inc FibroGen, Inc Five Prime Therapeutics, Inc Flex Pharma, Inc Flexion Therapeutics Inc Fluidigm Corp Fortress Biotech, Inc Foundation Medicine, Inc Galena Biopharma, Inc Genomic Health, Inc Geron Corp Global Blood Therapeutics, Inc GlycoMimetics Inc Halozyme Therapeutics, Inc Heron Therapeutics, Inc Heska Corp Horizon Pharma plc Idera Pharmaceuticals, Inc Ignyta, Inc Immune Design Corp Immunogen, Inc Immunomedics, Inc Impax Laboratories, Inc INC Research Holdings, Inc Infinity Pharmaceuticals, Inc Innoviva, Inc Inotek Pharmaceuticals Corp Inovio Pharmaceuticals, Inc $ 254 173,350 199,041 456,431 46,696 213,536 390,679 216,954 49,631 1,222,237 743,656 92,054 254,004 632,553 402,755 167,150 187,139 173,281 71,829 1,144,843 361,707 119,387 290,949 449,790 163,780 1,776,427 2,203,934 1,057,832 1,443,600 133,549 322,605 324,550 108,495 332,205 86,668 572,355 429,036 265,983 89,178 1,144,173 558,100 273,767 3,284,585 172,817 153,674 105,424 238,735 250,486 2,427,855 1,945,666 88,156 1,111,054 175,370 696,006 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 63,662 24,772 7,356 26,951 36,211 24,119 136,623 24,634 84,416 41,371 14,091 29,210 44,558 20,102 47,610 17,406 14,050 42,578 33,630 342,895 25,735 71,052 31,230 128,767 108,965 16,948 11,737 68,512 11,895 71,484 15,652 17,495 27,485 136,673 56,847 14,497 23,540 285,094 18,979 40,157 19,631 32,200 92,733 18,769 25,390 33,072 80,345 38,484 15,247 55,529 173,568 17,617 65,380 VALUE * *,e *,e * *,e *,e * * *,e *,e *,e * *,e *,e * *,e * * * *,e * *,e *,e * *,e *,e * * *,e *,e * *,e *,e * * * * *,e *,e *,e *,e * *,e e *,e *,e *,e *,e Insmed, Inc Insys Therapeutics, Inc Intellia Therapeutics, Inc Intersect ENT, Inc Intra-Cellular Therapies, Inc Invitae Corp Ironwood Pharmaceuticals, Inc Karyopharm Therapeutics, Inc Keryx Biopharmaceuticals, Inc Kite Pharma, Inc La Jolla Pharmaceutical Co Lannett Co, Inc Lexicon Pharmaceuticals, Inc Ligand Pharmaceuticals, Inc (Class B) Lion Biotechnologies, Inc Lipocine, Inc Loxo Oncology, Inc Luminex Corp MacroGenics, Inc MannKind Corp Medgenics, Inc Medicines Co MediciNova, Inc Merrimack Pharmaceuticals, Inc MiMedx Group, Inc Minerva Neurosciences, Inc Mirati Therapeutics, Inc Momenta Pharmaceuticals, Inc MyoKardia, Inc Myriad Genetics, Inc NanoString Technologies, Inc NantKwest, Inc Natera, Inc Nektar Therapeutics NeoGenomics, Inc Neos Therapeutics, Inc NewLink Genetics Corp Novavax, Inc Ocular Therapeutix, Inc Omeros Corp OncoMed Pharmaceuticals, Inc Ophthotech Corp Organovo Holdings, Inc Osiris Therapeutics, Inc Otonomy, Inc OvaScience, Inc Pacific Biosciences of California, Inc Pacira Pharmaceuticals, Inc Paratek Pharmaceuticals, Inc * Parexel International Corp PDL BioPharma, Inc * Pfenex, Inc * PharmAthene, Inc $ 255 728,930 387,682 139,176 426,904 1,477,409 211,524 1,930,483 181,799 621,302 2,342,840 239,547 911,936 727,187 2,711,358 420,872 64,228 361,366 912,447 1,028,742 339,466 148,491 2,778,844 193,626 746,849 816,148 188,123 54,460 771,445 210,185 2,214,574 212,711 119,491 360,053 2,363,076 495,706 128,008 249,053 2,086,888 82,938 472,246 238,124 2,068,528 396,897 93,845 364,600 166,683 686,950 1,395,045 196,229 3,712,114 610,959 142,169 167,373 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 19,759 51,688 25,544 56,186 74,413 6,673 36,644 36,081 26,065 33,483 90,103 5,974 21,334 40,964 39,805 35,658 38,268 21,538 97,947 27,966 27,184 73,761 45,317 52,885 18,796 30,624 18,102 70,565 15,450 25,678 49,541 4,911 191,476 79,727 15,511 45,000 28,165 41,531 39,309 158,409 38,276 19,946 9,351 9,184 47,174 29,211 38,157 39,430 28,895 27,730 23,699 12,381 5,470 * * * *,e *,e *,e *,e * *,e * *,e * *,e * * *,e *,e * *,e * *,e *,e * * *,e *,e * *,e * * *,e *,e *,e *,e *,e * * *,e *,e *,e *,e *,e *,e * *,e *,e * * * *,e * * VALUE Phibro Animal Health Corp Portola Pharmaceuticals, Inc PRA Health Sciences, Inc Prestige Brands Holdings, Inc Progenics Pharmaceuticals, Inc Proteostasis Therapeutics, Inc Prothena Corp plc PTC Therapeutics, Inc Puma Biotechnology, Inc Radius Health, Inc Raptor Pharmaceutical Corp Reata Pharmaceuticals, Inc REGENXBIO, Inc Regulus Therapeutics, Inc Relypsa, Inc Repligen Corp Retrophin, Inc Revance Therapeutics, Inc Rigel Pharmaceuticals, Inc Sage Therapeutics, Inc Sagent Pharmaceuticals Sangamo Biosciences, Inc Sarepta Therapeutics, Inc Sciclone Pharmaceuticals, Inc Seres Therapeutics, Inc Sorrento Therapeutics, Inc Spark Therapeutics, Inc Spectrum Pharmaceuticals, Inc Stemline Therapeutics, Inc Sucampo Pharmaceuticals, Inc (Class A) Supernus Pharmaceuticals, Inc Syndax Pharmaceuticals, Inc Synergy Pharmaceuticals, Inc Synthetic Biologics, Inc T2 Biosystems, Inc Teligent, Inc TESARO, Inc Tetraphase Pharmaceuticals, Inc TG Therapeutics, Inc TherapeuticsMD, Inc Theravance Biopharma, Inc Titan Pharmaceuticals, Inc Tobira Therapeutics, Inc Tokai Pharmaceuticals, Inc Trevena, Inc Trovagene, Inc Ultragenyx Pharmaceutical, Inc Vanda Pharmaceuticals, Inc Versartis, Inc Vitae Pharmaceuticals, Inc Vital Therapies, Inc Voyager Therapeutics, Inc vTv Therapeutics, Inc $ 256 407,628 1,341,820 1,184,731 3,005,951 435,316 74,070 2,017,252 215,404 1,300,383 1,577,719 530,707 95,763 174,299 146,241 1,271,372 1,019,819 686,145 290,548 224,299 1,254,555 589,621 466,907 1,145,614 558,466 205,628 192,625 1,048,830 484,782 114,330 301,716 1,100,801 60,995 781,222 139,522 87,792 365,400 2,626,105 166,955 232,316 1,230,838 976,421 98,932 40,303 11,572 295,781 164,458 2,414,575 449,502 332,292 295,324 147,408 182,496 30,960 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 7,766 18,425 33,981 24,149 128,337 24,312 REAL ESTATE - 9.6% 74,777 29,796 23,806 49,418 2,258 12,163 56,056 41,278 48,585 104,621 60,900 28,930 33,876 38,162 27,326 82,127 11,871 19,791 98,527 60,720 42,821 177,984 87,019 39,461 62,752 19,827 118,089 68,646 13,332 4,072 12,935 35,394 218,970 160,048 211,880 78,754 47,315 33,778 33,426 70,095 12,284 145,696 122,652 62,472 * *,e * *,e *,e * VALUE WaVe Life Sciences Pte Ltd XBiotech, Inc Xencor Inc Zafgen, Inc ZIOPHARM Oncology, Inc Zogenix, Inc TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES Acadia Realty Trust AG Mortgage Investment Trust Agree Realty Corp Alexander & Baldwin, Inc Alexander’s, Inc *,e Altisource Portfolio Solutions S.A. Altisource Residential Corp American Assets Trust,Inc American Capital Mortgage, Inc Anworth Mortgage Asset Corp Apollo Commercial Real Estate Finance, Inc Ares Commercial Real Estate Corp Armada Hoffler Properties, Inc ARMOUR Residential REIT, Inc Ashford Hospitality Prime, Inc Ashford Hospitality Trust, Inc *,e AV Homes, Inc Bluerock Residential Growth REIT, Inc Capstead Mortgage Corp CareTrust REIT, Inc CatchMark Timber Trust Inc CBL & Associates Properties, Inc Cedar Realty Trust, Inc Chatham Lodging Trust Chesapeake Lodging Trust City Office REIT, Inc Colony Financial, Inc Colony Starwood Homes Community Healthcare Trust, Inc e Consolidated-Tomoka Land Co CorEnergy Infrastructure Trust, Inc Coresite Realty Cousins Properties, Inc CYS Investments, Inc DiamondRock Hospitality Co DuPont Fabros Technology, Inc Dynex Capital, Inc Easterly Government Properties, Inc EastGroup Properties, Inc Education Realty Trust, Inc Farmland Partners, Inc FelCor Lodging Trust, Inc First Industrial Realty Trust, Inc First Potomac Realty Trust $ 149,961 262,925 643,600 73,413 623,718 221,969 139,622,183 2,816,102 446,344 1,207,440 1,947,069 969,292 282,911 538,138 1,893,835 794,851 514,735 989,625 367,411 507,124 812,087 410,983 489,477 169,993 263,616 980,344 877,404 518,562 2,187,423 699,633 946,275 1,585,743 268,854 2,099,622 2,248,843 306,503 199,243 380,548 2,921,067 2,329,841 1,432,430 2,080,662 3,766,804 332,151 692,111 2,460,822 3,374,373 144,705 925,170 3,614,554 631,592 257 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 35,244 63,765 102,966 6,621 78,221 27,641 25,128 180,151 74,589 445,968 12,888 765 38,189 120,221 43,771 98,534 41,640 118,584 126,109 76,790 87,492 87,268 40,377 112,656 242,697 39,797 94,272 15,337 248,814 66,523 177,849 39,224 36,683 236,092 81,054 113,943 174,562 18,945 62,994 14,556 22,189 10,274 84,630 75,482 72,416 72,859 142,575 42,819 23,978 20,977 49,429 97,005 83,181 COMPANY VALUE *,e Forestar Group, Inc Four Corners Property Trust, Inc Franklin Street Properties Corp * FRP Holdings, Inc Geo Group, Inc Getty Realty Corp Gladstone Commercial Corp * Global Net Lease, Inc Government Properties Income Trust Gramercy Property Trust Great Ajax Corp Griffin Land & Nurseries, Inc (Class A) Hannon Armstrong Sustainable Infrastructure Capital, Inc Healthcare Realty Trust, Inc Hersha Hospitality Trust Hudson Pacific Properties Independence Realty Trust, Inc Invesco Mortgage Capital, Inc Investors Real Estate Trust * iStar Financial, Inc Kennedy-Wilson Holdings, Inc Kite Realty Group Trust Ladder Capital Corp LaSalle Hotel Properties Lexington Realty Trust LTC Properties, Inc Mack-Cali Realty Corp * Marcus & Millichap, Inc Medical Properties Trust, Inc Monmouth Real Estate Investment Corp (Class A) Monogram Residential Trust, Inc National Health Investors, Inc National Storage Affiliates Trust New Residential Investment Corp New Senior Investment Group, Inc New York Mortgage Trust, Inc New York REIT, Inc NexPoint Residential Trust, Inc NorthStar Realty Europe Corp One Liberty Properties, Inc Orchid Island Capital, Inc Owens Realty Mortgage, Inc Parkway Properties, Inc Pebblebrook Hotel Trust Pennsylvania REIT Pennymac Mortgage Investment Trust Physicians Realty Trust Potlatch Corp Preferred Apartment Communities, Inc PS Business Parks, Inc QTS Realty Trust, Inc RAIT Investment Trust Ramco-Gershenson Properties 258 $ 432,796 1,384,338 1,320,024 240,872 2,707,229 628,003 457,330 1,572,718 1,779,694 4,455,220 178,499 24,625 858,871 4,347,191 827,272 3,331,435 376,426 1,707,610 834,842 795,544 1,841,707 2,653,820 527,324 3,103,673 2,638,116 2,130,333 2,658,470 410,878 3,906,380 919,348 1,904,763 3,081,830 783,916 3,227,378 971,837 745,187 1,665,321 369,238 582,694 364,191 247,629 171,781 1,470,023 2,238,041 1,842,263 1,182,502 3,096,729 1,637,827 356,553 2,326,140 2,829,810 307,506 1,650,311 TIAA-CREF FUNDS - Small-Cap Blend Index Fund 18,742 80,513 32,662 113,507 69,292 128,740 6,966 45,821 67,926 10,321 65,625 26,346 35,697 53,689 72,542 6,594 91,366 229,386 14,674 45,037 50,434 20,545 25,715 30,228 13,357 94,794 28,362 77,484 42,291 26,674 195,936 109,193 RETAILING - 3.7% 27,914 69,273 71,637 175,854 8,046 21,089 182,587 42,324 66,729 17,760 46,782 11,975 12,382 30,182 13,582 45,222 27,129 137,726 VALUE COMPANY SHARES *,e * * * * m Re/Max Holdings, Inc Redwood Trust, Inc Resource Capital Corp Retail Opportunities Investment Corp Rexford Industrial Realty, Inc RLJ Lodging Trust RMR Group, Inc Ryman Hospitality Properties Sabra Healthcare REIT, Inc Saul Centers, Inc Select Income REIT Seritage Growth Properties Silver Bay Realty Trust Corp St. Joe Co STAG Industrial, Inc Stratus Properties, Inc Summit Hotel Properties, Inc Sunstone Hotel Investors, Inc Tejon Ranch Co Terreno Realty Corp Tier REIT, Inc Trinity Place Holdings, Inc UMH Properties, Inc United Development Funding IV Universal Health Realty Income Trust Urban Edge Properties Urstadt Biddle Properties, Inc (Class A) Washington REIT Western Asset Mortgage Capital Corp Whitestone REIT WP GLIMCHER, Inc Xenia Hotels & Resorts, Inc TOTAL REAL ESTATE $ * 1-800-FLOWERS.COM, Inc (Class A) Aaron’s, Inc Abercrombie & Fitch Co (Class A) e American Eagle Outfitters, Inc *,e America’s Car-Mart, Inc * Asbury Automotive Group, Inc * Ascena Retail Group, Inc * Barnes & Noble Education, Inc Barnes & Noble, Inc Big 5 Sporting Goods Corp e Big Lots, Inc Blue Nile, Inc *,e Boot Barn Holdings, Inc e Buckle, Inc * Build-A-Bear Workshop, Inc Caleres, Inc Cato Corp (Class A) Chico’s FAS, Inc 811,903 1,148,920 444,530 2,591,365 1,584,015 3,056,288 237,157 2,576,973 1,624,111 693,262 1,821,750 1,318,881 643,260 989,488 1,841,116 115,988 1,295,570 3,050,834 385,486 1,254,280 879,065 167,031 317,837 96,730 797,012 2,835,289 700,541 2,656,926 416,143 431,319 2,484,468 1,961,106 176,759,014 254,855 1,659,088 1,483,602 3,151,304 282,254 1,282,211 1,484,432 489,265 872,815 187,546 2,487,867 347,993 133,230 826,685 185,123 1,190,243 970,404 1,654,089 259 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 19,779 15,428 21,550 17,435 48,110 38,739 71,005 10,139 110,762 78,491 44,921 56,681 43,084 37,862 18,115 21,679 72,429 21,947 64,555 19,812 24,195 33,095 15,783 16,071 76,811 25,058 27,029 26,143 17,903 33,250 30,765 584,408 21,367 17,945 13,924 28,422 21,323 85,656 55,129 40,832 11,940 11,767 49,114 14,764 36,761 29,545 27,147 27,647 32,965 51,608 34,373 10,913 47,408 COMPANY *,e * * * * * * * * * *,e *,e * *,e * *,e * *,e e * *,e e e *,e *,e * * * *,e e * * * VALUE Children’s Place Retail Stores, Inc Citi Trends, Inc Conn’s, Inc Container Store Group, Inc Core-Mark Holding Co, Inc Destination XL Group, Inc DSW, Inc (Class A) Duluth Holdings, Inc Etsy, Inc Express Parent LLC Finish Line, Inc (Class A) Five Below, Inc Francesca’s Holdings Corp Fred’s, Inc (Class A) FTD Cos, Inc Genesco, Inc GNC Holdings, Inc Group 1 Automotive, Inc Guess?, Inc Haverty Furniture Cos, Inc Hibbett Sports, Inc HSN, Inc Kirkland’s, Inc Lands’ End, Inc Liberty TripAdvisor Holdings, Inc Lithia Motors, Inc (Class A) Lumber Liquidators, Inc MarineMax, Inc Mattress Firm Holding Corp Monro Muffler, Inc Nutri/System, Inc Office Depot, Inc Ollie’s Bargain Outlet Holdings, Inc Outerwall, Inc Overstock.com, Inc Party City Holdco, Inc PetMed Express, Inc Pier 1 Imports, Inc Rent-A-Center, Inc Restoration Hardware Holdings, Inc Sears Holdings Corp Sears Hometown and Outlet Stores, Inc Select Comfort Corp Shoe Carnival, Inc Shutterfly, Inc Sonic Automotive, Inc (Class A) Sportsman’s Warehouse Holdings, Inc Stage Stores, Inc Stein Mart, Inc Tailored Brands, Inc Tile Shop Holdings, Inc Tilly’s, Inc Tuesday Morning Corp $ 260 1,653,129 257,339 153,221 96,416 2,355,466 199,893 1,722,581 251,447 1,114,266 1,174,225 976,133 2,891,298 547,598 601,627 458,491 1,504,956 1,478,276 1,367,737 950,250 365,135 844,889 1,693,140 240,533 228,369 1,818,116 2,162,255 406,246 528,089 534,226 2,082,115 910,029 2,022,052 558,533 944,984 226,961 455,320 442,026 438,559 595,393 1,258,034 183,995 80,957 1,171,860 388,441 1,955,318 537,128 276,356 163,947 283,499 756,057 586,060 62,095 374,049 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 25,483 33,304 17,573 2,375 19,728 COMPANY VALUE * Vitamin Shoppe, Inc *,e Wayfair, Inc * West Marine, Inc Winmark Corp *,e Zumiez, Inc TOTAL RETAILING $ SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.3% 5,517 *,e Acacia Communications, Inc 41,837 * Advanced Energy Industries, Inc 692,260 *,e Advanced Micro Devices, Inc 19,704 * Alpha & Omega Semiconductor Ltd 33,813 *,e Ambarella, Inc 105,555 * Amkor Technology, Inc 78,351 * Applied Micro Circuits Corp 30,791 * Axcelis Technologies, Inc 71,766 Brooks Automation, Inc 24,930 Cabot Microelectronics Corp 59,408 *,e Cavium, Inc 21,346 * Ceva, Inc 16 *,m China Energy Savings Technology, Inc 66,119 * Cirrus Logic, Inc 27,774 Cohu, Inc 40,525 * Diodes, Inc 22,803 * DSP Group, Inc 149,239 * Entegris, Inc 42,996 * Exar Corp 121,754 * Fairchild Semiconductor International, Inc 72,597 * Formfactor, Inc 49,213 * GigOptix, Inc 42,403 * Inphi Corp 142,284 * Integrated Device Technology, Inc 141,810 Intersil Corp (Class A) 26,552 IXYS Corp 68,467 * Kopin Corp 126,773 * Lattice Semiconductor Corp 24,594 * MA-COM Technology Solutions 58,985 * MaxLinear, Inc 120,110 * Microsemi Corp 56,201 MKS Instruments, Inc 41,117 Monolithic Power Systems, Inc 25,001 * Nanometrics, Inc 32,544 * NeoPhotonics Corp Ltd 4,803 NVE Corp 28,541 * PDF Solutions, Inc 68,555 * Photronics, Inc 29,059 Power Integrations, Inc 114,971 * Rambus, Inc 31,230 * Rudolph Technologies, Inc 68,221 * Semtech Corp 37,866 * Sigma Designs, Inc 43,675 * Silicon Laboratories, Inc 52,308 Tessera Technologies, Inc 745,633 1,448,724 153,939 238,854 334,981 67,194,252 358,770 1,703,603 4,748,903 281,570 1,960,478 663,941 515,550 329,464 899,228 1,311,817 2,772,571 641,661 0 3,212,722 293,293 750,118 246,956 2,550,495 360,306 2,403,424 678,782 93,013 1,491,738 3,128,825 2,166,857 290,479 159,528 761,906 971,709 1,286,463 4,684,290 2,567,262 2,990,028 501,020 408,427 273,963 470,926 662,241 1,658,397 1,554,408 550,273 1,734,178 253,702 2,327,004 1,681,179 261 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 32,683 23,063 41,611 55,509 * * * * VALUE Ultra Clean Holdings Ultratech, Inc Veeco Instruments, Inc Xcerra Corp TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT SOFTWARE & SERVICES - 8.8% 38,735 *,e 2U, Inc 46,625 * A10 Networks, Inc 121,780 * ACI Worldwide, Inc 39,588 * Actua Corp 81,837 * Acxiom Corp 10,895 *,e Alarm.com Holdings, Inc 19,683 *,e ALJ Regional Holdings, Inc 16,648 *,e Amber Road, Inc 27,198 * American Software, Inc (Class A) 42,708 *,e Angie’s List, Inc 16,292 * Apigee Corp 8,050 * Appfolio, Inc 87,402 * Aspen Technology, Inc 9,141 * Autobytel, Inc 44,424 * AVG Technologies NV 50,405 * Bankrate, Inc 23,273 * Barracuda Networks, Inc 86,532 * Bazaarvoice, Inc 13,605 *,e Benefitfocus, Inc 49,846 Blackbaud, Inc 58,003 * Blackhawk Network Holdings, Inc 43,221 * Blucora, Inc 42,307 * Bottomline Technologies, Inc 51,529 *,e Box, Inc 32,594 * Brightcove, Inc 31,060 * BroadSoft, Inc 25,674 * CACI International, Inc (Class A) 58,715 * Callidus Software, Inc 17,791 * Carbonite, Inc 47,598 * Cardtronics plc 18,583 * Care.com, Inc 11,777 Cass Information Systems, Inc 23,364 * ChannelAdvisor Corp 26,498 * Cimpress NV 41,084 * Commvault Systems, Inc 50,774 * comScore, Inc 93,942 Convergys Corp 53,269 * Cornerstone OnDemand, Inc 34,240 CSG Systems International, Inc 31,827 * Cvent, Inc 20,219 * Datalink Corp 52,902 * DHI Group, Inc 8,542 *,e Digimarc Corp 110,919 EarthLink Holdings Corp 26,705 e Ebix, Inc $ 208,844 563,660 697,816 338,605 61,160,393 1,354,950 364,608 2,412,462 395,088 1,878,159 313,013 95,069 146,835 299,994 345,508 202,673 129,444 3,661,270 135,835 1,098,606 401,728 513,868 359,108 585,015 3,332,205 2,017,924 441,286 893,101 600,313 341,259 1,392,420 2,447,502 1,205,419 195,879 2,093,836 204,227 612,051 368,217 2,512,010 2,125,686 1,317,585 2,503,554 2,300,688 1,378,502 1,038,197 173,479 385,656 311,014 752,031 1,423,911 262 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 31,111 63,529 26,484 43,736 50,954 25,382 67,205 29,954 14,638 34,489 32,713 34,823 41,373 10,412 34,305 8,603 27,113 110,538 59,360 85,254 27,842 23,852 23,423 32,386 42,523 30,453 30,265 62,112 59,781 32,777 11,111 18,978 43,742 49,466 60,877 74,498 61,565 24,779 57,319 26,592 6,072 26,093 31,255 43,835 67,830 43,543 113,130 10,021 15,191 31,032 44,215 23,694 31,265 * * *,e * * * * * * * * * *,e *,e *,e *,e * * * *,e * * * * *,e *,e *,e * * * * * * * * * * * *,e *,e * * * VALUE Ellie Mae, Inc Endurance International Group Holdings, Inc EnerNOC, Inc Envestnet, Inc EPAM Systems, Inc EPIQ Systems, Inc EVERTEC, Inc Everyday Health, Inc EXA Corp ExlService Holdings, Inc Fair Isaac Corp Five9, Inc FleetMatics Group plc Forrester Research, Inc Gigamon, Inc Global Sources Ltd Globant S.A. Glu Mobile, Inc Gogo, Inc GrubHub, Inc GTT Communications, Inc Guidance Software, Inc Hackett Group, Inc Higher One Holdings, Inc Hortonworks, Inc HubSpot, Inc Imperva, Inc inContact, Inc Infoblox, Inc Information Services Group, Inc Instructure, Inc Interactive Intelligence, Inc Intralinks Holdings, Inc j2 Global, Inc Jive Software, Inc Limelight Networks, Inc Lionbridge Technologies Liquidity Services, Inc Liveperson, Inc LogMeIn, Inc Majesco Mantech International Corp (Class A) Marchex, Inc (Class B) Marketo, Inc MAXIMUS, Inc MeetMe, Inc Mentor Graphics Corp MicroStrategy, Inc (Class A) MINDBODY, Inc Mitek Systems, Inc MobileIron, Inc Model N, Inc MoneyGram International, Inc $ 263 2,865,634 570,490 198,100 1,669,403 3,579,009 414,742 1,155,926 244,425 213,715 1,707,550 4,142,774 439,118 1,777,384 426,163 1,602,730 77,255 1,143,898 258,659 499,218 3,232,832 571,596 140,250 313,634 166,140 497,944 1,662,429 1,426,087 863,357 1,119,100 124,225 241,553 1,023,863 304,444 3,306,307 231,333 125,902 277,658 200,214 382,604 2,284,519 34,550 1,030,934 99,078 1,542,115 3,996,544 279,982 2,416,457 1,752,573 266,906 234,292 150,773 305,890 217,604 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 42,817 93,261 6,318 56,843 23,183 67,450 14,612 13,643 46,476 22,762 38,080 36,430 15,484 44,793 53,031 43,083 26,602 26,969 9,874 99,117 28,698 34,576 67,688 20,943 21,714 57,022 9,196 40,681 12,239 61,869 20,473 84,547 39,299 25,634 44,670 6,355 64,377 20,327 39,927 17,489 17,081 40,852 43,568 34,095 88,060 29,931 18,841 34,344 17,545 99,821 121,895 57,377 23,162 COMPANY VALUE Monotype Imaging Holdings, Inc * Monster Worldwide, Inc NCI, Inc (Class A) *,e NeuStar, Inc (Class A) * New Relic, Inc NIC, Inc *,e Numerex Corp *,e Park City Group, Inc *,e Paycom Software, Inc *,e Paylocity Holding Corp Pegasystems, Inc * Perficient, Inc * PFSweb, Inc * Planet Payment, Inc * Progress Software Corp *,e Proofpoint, Inc * PROS Holdings, Inc * Q2 Holdings, Inc QAD, Inc (Class A) * QLIK Technologies, Inc * Qualys, Inc * QuinStreet, Inc *,e Quotient Technology, Inc * Rapid7, Inc * RealNetworks, Inc * RealPage, Inc Reis, Inc * RetailMeNot, Inc * Rightside Group Ltd * RingCentral, Inc * Rosetta Stone, Inc * Rovi Corp * Rubicon Project, Inc Sapiens International Corp NV Science Applications International Corp * SecureWorks Corp *,e ServiceSource International LLC *,e Shutterstock, Inc *,e Silver Spring Networks, Inc * SPS Commerce, Inc *,e Stamps.com, Inc * Sykes Enterprises, Inc * Synchronoss Technologies, Inc * Syntel, Inc * Take-Two Interactive Software, Inc * Tangoe, Inc * TechTarget, Inc * TeleNav, Inc TeleTech Holdings, Inc * TiVo, Inc Travelport Worldwide Ltd *,e TrueCar, Inc *,e TubeMogul, Inc $ 264 847,348 235,950 80,175 1,431,875 798,423 1,572,934 111,490 133,429 2,194,132 1,016,096 1,062,432 809,475 153,446 210,079 1,541,081 3,268,707 494,265 800,440 186,816 2,993,333 900,830 125,511 856,930 292,783 94,022 1,434,103 232,475 339,686 146,868 1,424,843 157,642 1,590,329 554,902 327,603 2,714,149 94,118 290,984 1,119,814 501,882 1,107,404 1,294,825 1,253,748 1,626,829 1,544,844 3,538,251 242,142 171,830 171,033 500,734 1,052,113 1,644,364 537,623 259,646 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 53,073 11,263 31,857 65,586 51,933 29,286 39,401 45,455 23,216 24,101 27,559 25,136 85,687 56,021 *,e * *,e * *,e * *,e * *,e * * * *,e * VALUE Unisys Corp Varonis Systems, Inc Vasco Data Security International Verint Systems, Inc VirnetX Holding Corp Virtusa Corp WebMD Health Corp (Class A) Website Pros, Inc Workiva, Inc Xactly Corp XO Group, Inc Xura, Inc Zendesk, Inc Zix Corp TOTAL SOFTWARE & SERVICES $ TECHNOLOGY HARDWARE & EQUIPMENT - 5.1% 113,256 *,e 3D Systems Corp 51,546 Adtran, Inc 22,655 * Aerohive Networks, Inc 15,013 * Agilysys, Inc 30,589 * Anixter International, Inc 17,493 *,e Applied Optoelectronics, Inc 36,618 * Avid Technology, Inc 49,470 AVX Corp 14,886 Badger Meter, Inc 9,564 Bel Fuse, Inc (Class B) 44,021 Belden CDT, Inc 52,206 * Benchmark Electronics, Inc 15,785 Black Box Corp 37,373 * CalAmp Corp 43,314 * Calix, Inc 145,016 * Ciena Corp 12,064 *,e Clearfield, Inc 25,543 * Coherent, Inc 15,632 Comtech Telecommunications Corp 20,292 *,e Control4 Corp 22,215 e CPI Card Group, Inc 42,287 * Cray, Inc 32,766 CTS Corp 36,739 Daktronics, Inc 63,060 Diebold, Inc 27,359 * Digi International, Inc 18,383 * DTS, Inc 17,155 * Eastman Kodak Co 17,917 Electro Rent Corp 29,130 Electro Scientific Industries, Inc 49,385 * Electronics for Imaging, Inc 27,578 * EMCORE Corp 6,678 * ePlus, Inc 109,021 * Extreme Networks, Inc 36,438 * Fabrinet 17,943 * FARO Technologies, Inc 525,953 289,347 532,331 2,313,218 224,870 796,579 2,403,855 857,281 323,631 299,334 502,401 624,630 2,591,175 227,445 161,469,903 1,516,498 938,137 165,608 171,448 1,874,494 207,117 238,383 675,760 1,038,150 195,966 3,222,777 1,223,709 215,465 530,697 334,384 2,782,857 241,401 2,708,835 204,310 176,743 104,855 1,334,578 626,158 237,701 1,780,814 303,958 510,864 290,606 277,176 197,210 2,187,262 178,705 561,687 424,092 1,375,899 625,852 265 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 113,484 82,621 62,861 32,037 148,277 38,714 36,578 86,395 35,453 67,736 28,451 93,269 16,067 23,412 53,352 33,182 3,161 38,613 15,749 34,170 94,206 66,548 33,593 104,123 18,563 20,087 12,008 35,356 35,188 143,727 64,430 88,569 37,439 28,436 19,109 77,583 26,546 70,907 5,945 38,239 51,488 51,954 40,815 39,170 30,769 10,728 36,944 76,603 27,430 43,785 37,979 46,923 247,582 COMPANY * *,e * * * * * * * * * * * *,e e * * *,e * *,e * * * *,e * * * * * * * e * * *,e * * * * * e * *,e *,e * VALUE Finisar Corp Harmonic, Inc II-VI, Inc Immersion Corp Infinera Corp Insight Enterprises, Inc InterDigital, Inc InvenSense, Inc Itron, Inc Ixia Kimball Electronics, Inc Knowles Corp KVH Industries, Inc Littelfuse, Inc Lumentum Holdings, Inc Maxwell Technologies, Inc Mesa Laboratories, Inc Methode Electronics, Inc MTS Systems Corp Netgear, Inc Netscout Systems, Inc Nimble Storage, Inc Novanta, Inc Oclaro, Inc OSI Systems, Inc Park Electrochemical Corp PC Connection, Inc Plantronics, Inc Plexus Corp Polycom, Inc Pure Storage, Inc QLogic Corp Radisys Corp Rofin-Sinar Technologies, Inc Rogers Corp Sanmina Corp Scansource, Inc ShoreTel, Inc Silicom Ltd Silicon Graphics International Corp Sonus Networks, Inc Stratasys Ltd Super Micro Computer, Inc Synaptics, Inc SYNNEX Corp Systemax, Inc Tech Data Corp TTM Technologies, Inc Ubiquiti Networks, Inc Universal Display Corp USA Technologies, Inc Viasat, Inc Viavi Solutions, Inc $ 266 2,128,960 271,823 1,263,506 240,598 1,298,906 1,029,792 2,159,931 585,758 1,513,489 778,964 359,052 1,253,535 145,728 2,926,968 1,613,898 182,501 365,506 1,352,613 746,975 1,757,363 2,635,884 495,117 527,746 596,625 1,103,942 325,409 309,926 1,705,573 1,616,537 1,780,778 811,818 1,374,591 180,456 898,578 1,307,820 1,965,953 1,089,182 520,457 215,566 206,491 443,827 1,087,917 879,563 2,034,881 3,093,208 96,016 2,879,046 762,200 1,226,670 3,101,729 179,261 3,464,325 1,765,260 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 143,984 12,081 VALUE Vishay Intertechnology, Inc * Vishay Precision Group, Inc TOTAL TECHNOLOGY HARDWARE & EQUIPMENT TELECOMMUNICATION SERVICES - 0.9% 92,219 * 8x8, Inc 11,126 ATN International, Inc 35,687 * Boingo Wireless, Inc 221,263 * Cincinnati Bell, Inc 43,861 Cogent Communications Group, Inc 52,418 e Consolidated Communications Holdings, Inc 22,298 * Fairpoint Communications, Inc 30,849 * General Communication, Inc (Class A) 397,297 *,e Globalstar, Inc 6,596 * Hawaiian Telcom Holdco, Inc 18,373 IDT Corp (Class B) 34,880 Inteliquent, Inc 86,713 *,e Iridium Communications, Inc 20,928 * Lumos Networks Corp 56,195 * NII Holdings, Inc 68,204 * Orbcomm, Inc 10,481 * pdvWireless, Inc 48,855 Shenandoah Telecom Co 21,384 Spok Holdings, Inc 9,738 *,e Straight Path Communications, Inc 68 *,m Touch America Holdings, Inc 201,697 * Vonage Holdings Corp 102,001 e Windstream Holdings, Inc TOTAL TELECOMMUNICATION SERVICES TRANSPORTATION - 1.5% 53,428 * 13,972 25,630 25,873 * 29,683 27,247 12,525 * 30,398 * 31,577 55,622 * 48,961 e 35,449 * 70,635 24,395 45,687 3,157 * 9,023 40,018 * 32,126 * 26,610 * 53,019 78,927 *,e $ 1,919,307 158,865 94,416,546 1,268,011 817,984 326,893 1,106,315 1,874,181 1,465,083 361,005 474,766 472,783 146,431 280,372 716,784 778,683 244,858 170,833 722,280 225,342 2,006,963 395,176 177,621 0 1,196,063 949,629 16,178,056 Air Transport Services Group, Inc Allegiant Travel Co Arkansas Best Corp Atlas Air Worldwide Holdings, Inc Celadon Group, Inc Costamare, Inc Covenant Transportation Group, Inc Echo Global Logistics, Inc Forward Air Corp Hawaiian Holdings, Inc Heartland Express, Inc Hub Group, Inc (Class A) Knight Transportation, Inc Marten Transport Ltd Matson, Inc PAM Transportation Services, Inc Park-Ohio Holdings Corp Radiant Logistics, Inc Roadrunner Transportation Services Holdings, Inc Saia, Inc Skywest, Inc Swift Transportation Co, Inc 773,637 1,813,146 479,537 1,118,490 245,182 266,748 282,188 752,654 1,461,383 2,532,470 906,758 1,451,282 2,107,042 528,152 1,707,323 63,235 268,705 126,457 243,194 768,763 1,525,357 1,519,345 267 TIAA-CREF FUNDS - Small-Cap Blend Index Fund COMPANY SHARES 8,612 9,571 20,411 47,164 59,162 103,409 35,888 UTILITIES - 4.0% 52,228 38,693 8,771 128,908 62,106 66,629 54,500 50,961 15,591 11,699 14,359 7,180 123,396 42,464 46,595 12,088 8,631 53,124 36,973 17,036 90,651 28,825 51,115 36,598 66,029 54,760 41,044 40,220 60,874 482 84,427 94,012 17,232 83,938 49,752 4,815 47,202 89,203 96,730 92,327 15,084 24,303 53,111 VALUE Universal Truckload Services, Inc * USA Truck, Inc *,e Virgin America, Inc Werner Enterprises, Inc * Wesco Aircraft Holdings, Inc *,e XPO Logistics, Inc * YRC Worldwide, Inc TOTAL TRANSPORTATION e e e * e e e e e * e e *,e $ Allete, Inc American States Water Co Artesian Resources Corp Atlantic Power Corp Atlantica Yield plc Avista Corp Black Hills Corp California Water Service Group Chesapeake Utilities Corp Connecticut Water Service, Inc Consolidated Water Co, Inc Delta Natural Gas Co, Inc Dynegy, Inc El Paso Electric Co Empire District Electric Co Genie Energy Ltd Global Water Resources, Inc Idacorp, Inc MGE Energy, Inc Middlesex Water Co New Jersey Resources Corp Northwest Natural Gas Co NorthWestern Corp NRG Yield, Inc (Class A) NRG Yield, Inc (Class C) ONE Gas, Inc Ormat Technologies, Inc Otter Tail Corp Pattern Energy Group, Inc Piedmont Natural Gas Co, Inc PNM Resources, Inc Portland General Electric Co SJW Corp South Jersey Industries, Inc Southwest Gas Corp Spark Energy, Inc Spire, Inc Talen Energy Corp TerraForm Global, Inc TerraForm Power, Inc Unitil Corp Vivint Solar, Inc WGL Holdings, Inc 128,749 184,529 1,141,383 1,184,760 760,232 3,062,975 425,990 27,829,666 3,334,758 1,671,538 299,003 324,848 1,251,436 2,898,361 3,436,225 1,718,915 998,915 597,234 192,841 189,480 1,866,981 2,024,684 1,571,649 77,605 73,018 4,295,075 2,076,034 703,757 3,375,843 1,871,896 3,104,725 628,754 1,184,560 3,557,210 1,873,248 1,401,667 1,483,499 28,824 2,900,912 4,105,504 729,948 2,675,943 3,855,780 119,364 3,275,819 1,213,161 336,620 1,085,766 659,774 73,395 3,759,728 268 TIAA-CREF FUNDS - Small-Cap Blend Index Fund SHARES 14,161 COMPANY VALUE York Water Co TOTAL UTILITIES $ TOTAL COMMON STOCKS (Cost $1,474,748,145) 445,222 73,349,519 1,820,930,762 RIGHTS / WARRANTS - 0.0% DIVERSIFIED FINANCIALS - 0.0% 1,297 m Emergent Capital, Inc TOTAL DIVERSIFIED FINANCIALS 0 0 PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.0% 2,051 e Asterias Biotherapeutics, Inc 8,325 m Forest Laboratories, Inc CVR 5,149 m Omthera Pharmaceuticals, Inc 34,794 m Trius Therapeutics, Inc TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES 471 7,909 3,089 4,523 15,992 SOFTWARE & SERVICES - 0.0% 17,421 m Gerber Scientific, Inc TOTAL SOFTWARE & SERVICES 0 0 TELECOMMUNICATION SERVICES - 0.0% 55,538 m Leap Wireless International, Inc TOTAL TELECOMMUNICATION SERVICES 139,956 139,956 TOTAL RIGHTS / WARRANTS (Cost $141,560) 155,948 ISSUER PRINCIPAL SHORT-TERM INVESTMENTS - 14.0% GOVERNMENT AGENCY DEBT - 1.0% $ 17,575,000 d Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT RATE 0.090% MATURITY DATE 08/01/16 17,575,000 17,575,000 COMPANY SHARES INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 13.0% 239,303,252 a,c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $256,878,252) TOTAL INVESTMENTS - 113.0% (Cost $1,731,767,957) OTHER ASSETS & LIABILITIES, NET - (13.0)% NET ASSETS - 100.0% 239,303,252 239,303,252 256,878,252 2,077,964,962 $ 269 (238,870,043) 1,839,094,919 TIAA-CREF FUNDS - Small-Cap Blend Index Fund Abbreviation(s): CVR Contingent Value Rights REIT Real Estate Investment Trust * a c d e m Non-income producing Affiliated holding Investments made with cash collateral received from securities on loan. All or a portion of these securities have been segregated to cover margin requirements on open futures contracts. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $233,392,240. Indicates a security that has been deemed illiquid. 270 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund TIAA-CREF FUNDS EMERGING MARKETS EQUITY INDEX FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.3% BRAZIL - 7.0% 70,900 1,747,851 308,045 1,019,335 319,186 1,062,879 152,739 254,800 638,974 197,080 51,415 237,256 73,992 83,341 59,457 310,356 123,300 282,891 65,820 33,495 238,230 376,399 58,936 80,081 94,262 246,079 58,700 72,800 93,063 354,675 128,282 260,764 111,120 508,596 54,991 69,210 208,585 236,050 12,800 28,500 65,392 82,453 1,148,072 1,467,346 * AES Tiete S.A. AMBEV S.A. * Banco Bradesco S.A. * Banco Bradesco S.A. (Preference) Banco do Brasil S.A. Banco Itau Holding Financeira S.A. Banco Santander Brasil S.A. BB Seguridade Participacoes S.A. BM&F Bovespa S.A. BR Malls Participacoes S.A. Braskem S.A. BRF S.A. Centrais Eletricas Brasileiras S.A. (Preference) CETIP S.A.-Balcao Organizado de Ativos e Derivativos Cia Brasileira de Distribuicao Grupo Pao de Acucar Cia de Concessoes Rodoviarias Cia de Saneamento Basico do Estado de Sao Paulo Cia Energetica de Minas Gerais Cia Energetica de Sao Paulo (Class B) Cia Paranaense de Energia Cia Siderurgica Nacional S.A. Cielo S.A. Cosan SA Industria e Comercio CPFL Energia S.A. EDP - Energias do Brasil S.A. Empresa Brasileira de Aeronautica S.A. Engie Brasil Energia S.A. Equatorial Energia S.A. Fibria Celulose S.A. Gerdau S.A. (Preference) Hypermarcas S.A. JBS S.A. Klabin S.A. Kroton Educacional S.A. Localiza Rent A Car Lojas Americanas S.A. Lojas Americanas S.A.(Preference) Lojas Renner S.A. M Dias Branco S.A. Multiplan Empreendimentos Imobiliarios S.A. Natura Cosmeticos S.A. Odontoprev S.A. * Petroleo Brasileiro S.A. * Petroleo Brasileiro S.A. (Preference) 271 $ 376,104 10,134,344 2,775,103 8,915,723 2,072,189 11,076,573 960,036 2,368,515 3,762,032 854,597 293,990 3,973,292 508,433 1,112,190 899,813 1,792,798 1,171,243 793,079 282,573 332,119 813,350 4,266,180 618,915 564,104 418,051 1,125,509 764,164 1,246,788 568,010 847,746 1,086,029 876,612 582,263 2,265,028 683,487 278,343 1,231,928 1,984,556 463,854 555,251 671,587 330,585 4,960,674 5,371,761 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund SHARES 36,381 86,500 84,700 287,000 81,909 52,505 127,400 164,521 318,066 42,000 37,400 149,180 471,600 713,673 203,540 CHILE - 1.1% 775,256 946,877 7,714,069 12,157 22,952,212 463,020 55,611 2,803,523 53,437,410 103,324 1,257,237 54,543 479,049 207,023 1,139,572 7,137,445 7,137,445 104,466 173,111 35,494 CHINA - 23.8% 407,000 29,187 272,500 9,489,000 688,000 366,602 1,244,000 2,014,000 526,500 389,000 852,000 100,545 COMPANY VALUE Porto Seguro S.A. Qualicorp S.A. Raia Drogasil S.A. * Rumo Logistica Operadora Multimodal S.A. Satipel Industrial S.A. Sul America SA Suzano Papel e Celulose S.A. Telefonica Brasil S.A. Tim Participacoes S.A. Totvus S.A. Transmissora Alianca de Energia Eletrica S.A. Ultrapar Participacoes S.A. Vale S.A. Vale S.A. (Preference) Weg S.A. TOTAL BRAZIL $ AES Gener S.A. Aguas Andinas S.A. Banco de Chile Banco de Credito e Inversiones Banco Santander Chile S.A. Centros Comerciales Sudamericanos S.A. Cia Cervecerias Unidas S.A. Colbun S.A. Corpbanca S.A. Embotelladora Andina S.A. Empresa Nacional de Electricidad S.A. Empresa Nacional de Telecomunicaciones S.A. Empresas CMPC S.A. Empresas COPEC S.A. Endesa Americas S.A. Enersis Chile S.A. Enersis S.A. * Lan Airlines S.A. SACI Falabella Sociedad Quimica y Minera de Chile S.A. (Class B) TOTAL CHILE 315,293 573,572 1,731,408 541,710 250,345 279,172 389,775 2,497,955 815,176 426,166 298,748 3,406,516 2,690,785 3,303,797 958,566 105,508,505 374,915 572,408 854,893 540,264 1,179,077 1,317,660 636,742 688,280 464,134 403,400 1,146,387 536,965 1,004,345 1,868,156 531,951 830,458 1,245,523 911,798 1,270,071 883,053 17,260,480 *,g 3SBio, Inc *,e 58.COM, Inc (ADR) AAC Technologies Holdings, Inc Agricultural Bank of China Air China Ltd * Alibaba Group Holding Ltd (ADR) * Alibaba Health Information Technology Ltd *,e Aluminum Corp of China Ltd Anhui Conch Cement Co Ltd Anta Sports Products Ltd AviChina Industry & Technology Co * Baidu, Inc (ADR) 408,977 1,518,016 2,547,203 3,495,331 525,297 30,237,333 866,476 651,436 1,385,264 869,383 626,569 16,046,982 272 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund COMPANY SHARES 29,656,000 3,367,500 548,000 210,000 1,702,000 2,416,000 1,192,000 244,500 4,158,000 3,497,000 3,531,600 1,136,000 1,663,000 988,400 513,000 31,283,350 1,123,000 1,527,000 953,000 372,000 1,827,000 1,315,000 1,579,000 631,024 2,775,000 1,275,000 497,000 1,062,000 1,481,000 495,780 2,316,300 2,283,500 1,028,000 922,000 1,470,000 1,003,200 1,363,000 781,000 1,463,000 462,677 348,000 1,027,555 719,372 1,469,500 1,635,000 726,000 746,000 5,348,000 2,296,000 517,500 356,400 1,050,000 1,681,000 *,e g *,e e e * e *,e *,e VALUE Bank of China Ltd Bank of Communications Co Ltd Beijing Capital International Airport Co Ltd Beijing Enterprises Holdings Ltd Beijing Enterprises Water Group Ltd Belle International Holdings Ltd Brilliance China Automotive Holdings Ltd Byd Co Ltd CGN Power Co Ltd China Cinda Asset Management Co Ltd China Citic Bank China Coal Energy Co China Communications Construction Co Ltd China Communications Services Corp Ltd China Conch Venture Holdings Ltd China Construction Bank China COSCO Holdings Co Ltd China Everbright Bank Co Ltd China Everbright International Ltd China Everbright Ltd China Evergrande Group China Galaxy Securities Co Ltd China Huishan Dairy Holdings Co Ltd China Insurance International Holdings Co Ltd China Life Insurance Co Ltd China Longyuan Power Group Corp China Medical System Holdings Ltd China Mengniu Dairy Co Ltd China Merchants Bank Co Ltd China Merchants Holdings International Co Ltd China Minsheng Banking Corp Ltd China Mobile Hong Kong Ltd China National Building Material Co Ltd China Oilfield Services Ltd China Overseas Land & Investment Ltd China Pacific Insurance Group Co Ltd China Power International Development Ltd China Railway Construction Corp China Railway Group Ltd China Resources Beer Holdings Company Ltd China Resources Gas Group Ltd China Resources Land Ltd China Resources Power Holdings Co China Shenhua Energy Co Ltd China Shipping Container Lines Co Ltd China Southern Airlines Co Ltd China State Construction International Holdings Ltd China Telecom Corp Ltd China Unicom Ltd China Vanke Co Ltd Chongqing Changan Automobile Co Ltd Chongqing Rural Commercial Bank Citic Pacific Ltd $ 273 12,243,509 2,279,418 633,369 1,187,212 1,035,893 1,601,557 1,327,128 1,557,127 1,231,630 1,139,666 2,238,559 601,186 1,822,336 537,561 983,462 21,039,311 393,134 665,494 1,032,083 712,569 1,154,247 1,141,131 621,082 1,241,559 6,294,492 1,026,384 732,139 1,779,140 3,175,791 1,458,182 2,421,735 28,277,771 474,128 729,579 4,848,892 3,565,083 556,532 941,575 1,106,766 897,160 1,022,625 2,563,059 1,149,681 2,821,415 343,219 478,726 999,775 2,643,109 2,445,950 1,173,404 591,943 552,572 2,550,849 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund COMPANY SHARES 849,000 6,835,000 648,981 2,163,675 1,636,050 1,562,000 124,404 232,900 1,070,000 286,000 850,000 969,452 1,568,000 1,965,000 558,600 4,856,668 1,179,500 1,132,000 898,000 382,000 290,000 1,248,000 281,000 738,000 1,646,000 1,424,000 587,200 27,548,000 254,232 492,000 752,000 318,000 2,698,000 578,000 476,000 29,483 314,000 49,744 2,723,000 1,755,055 1,952,000 13,700 10,803,000 684,000 1,114,000 145,000 173,000 329,999 301,300 209,000 1,339,649 1,194,471 532,000 e *,e g e g *,e e e * *,e * VALUE CITIC Securities Co Ltd CNOOC Ltd COSCO Pacific Ltd Country Garden Holdings Co Ltd CRRC Corp Ltd CSPC Pharmaceutical Group Ltd Ctrip.com International Ltd (ADR) Dalian Wanda Commercial Properties Co Ltd Dongfeng Motor Group Co Ltd ENN Energy Holdings Ltd Far East Horizon Ltd Fosun International Franshion Properties China Ltd Geely Automobile Holdings Ltd GF Securities Co Ltd GOME Electrical Appliances Holdings Ltd Great Wall Motor Co Ltd Guangdong Investments Ltd Guangzhou Automobile Group Co Ltd Guangzhou R&F Properties Co Ltd Haitian International Holdings Ltd Haitong Securities Co Ltd Hengan International Group Co Ltd Huadian Power International Co Huaneng Power International, Inc Huaneng Renewables Corp Ltd Huatai Securities Co Ltd Industrial & Commercial Bank of China JD.com, Inc (ADR) Jiangsu Express Jiangxi Copper Co Ltd Kingsoft Corp Ltd Lenovo Group Ltd Longfor Properties Co Ltd Luye Pharma Group Ltd Netease.com (ADR) New China Life insurance Co Ltd New Oriental Education & Technology Group (ADR) People’s Insurance Co Group of China Ltd PICC Property & Casualty Co Ltd Ping An Insurance Group Co of China Ltd Qunar Cayman Islands Ltd (ADR) Semiconductor Manufacturing International Shandong Weigao Group Medical Polymer Co Ltd Shanghai Electric Group Co Ltd Shanghai Fosun Pharmaceutical Group Co Ltd Shanghai Industrial Holdings Ltd Shanghai Lujiazui Finance & Trade Zone Development Co Ltd Shanghai Pharmaceuticals Holding Co Ltd Shenzhou International Group Holdings Ltd Shui On Land Ltd Sino-Ocean Land Holdings Ltd Sinopec Engineering Group Co Ltd 274 $ 1,813,816 8,237,764 670,254 882,765 1,505,331 1,352,514 5,432,723 1,479,725 1,324,947 1,365,861 670,329 1,272,025 437,944 1,296,054 1,227,293 590,331 1,229,760 1,739,592 1,155,164 579,711 486,858 2,037,394 2,365,292 349,931 1,014,019 457,141 1,203,111 15,715,874 5,504,123 696,065 864,294 542,751 1,748,439 791,638 309,209 6,022,492 1,117,084 2,191,721 1,051,993 2,734,664 9,160,892 411,959 875,803 382,448 464,215 356,537 405,745 486,716 716,490 1,103,283 361,781 506,141 465,365 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund COMPANY SHARES 1,428,000 454,800 766,000 863,500 110,728 693,000 16,400 2,090,000 804,000 357,000 158,000 151,124 2,245,000 419,400 1,220,000 12,504 600,000 205,500 2,430,000 279,864 e * e e * e e *,e COLOMBIA - 0.4% 163,372 154,074 24,869 2,475,845 107,119 1,040,383 82,814 34,962 151,305 CZECH REPUBLIC - 0.2% 62,116 25,590 19,025 EGYPT - 0.2% 379,053 944,833 316,999 GREECE - 0.3% 493,901 633,723 10,570 90,249 37,462 1,832,481 VALUE Sinopec Shanghai Petrochemical Co Ltd Sinopharm Group Co Sinotrans Ltd Soho China Ltd SouFun Holdings Ltd (ADR) Sunac China Holdings Ltd TAL Education Group (ADR) Tencent Holdings Ltd Tingyi Cayman Islands Holding Corp Travelsky Technology Ltd Tsingtao Brewery Co Ltd Vipshop Holdings Ltd (ADR) Want Want China Holdings Ltd Weichai Power Co Ltd Yanzhou Coal Mining Co Ltd YY, Inc (ADR) Zhejiang Expressway Co Ltd Zhuzhou CSR Times Electric Co Ltd Zijin Mining Group Co Ltd ZTE Corp TOTAL CHINA $ 698,905 2,209,397 351,506 399,292 566,927 436,253 987,444 50,480,031 697,491 685,177 558,169 2,150,494 1,378,578 504,345 753,198 490,032 621,388 1,136,985 888,380 377,432 358,756,961 BanColombia S.A. (Preference) Cementos Argos S.A. Corp Financiera Colombiana S.A. Ecopetrol S.A. Grupo Argos S.A. Grupo Aval Acciones y Valores Grupo de Inversiones Suramericana S.A. Grupo de Inversiones Suramericana S.A. (Preference) Interconexion Electrica S.A. TOTAL COLOMBIA 1,399,571 577,150 310,903 1,048,404 645,505 396,498 1,033,691 427,288 448,001 6,287,011 CEZ AS Komercni Banka AS Telefonica O2 Czech Republic AS TOTAL CZECH REPUBLIC 1,175,631 1,008,179 185,569 2,369,379 Commercial International Bank * Orascom Telecom Holding SAE Talaat Moustafa Group TOTAL EGYPT 2,030,026 445,819 199,553 2,675,398 * Alpha Bank AE * Eurobank Ergasias S.A. * FF Group Hellenic Telecommunications Organization S.A. JUMBO S.A. * National Bank of Greece S.A. 996,159 366,778 260,907 886,423 442,698 421,664 275 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund SHARES 83,715 2,432,366 17,832 HONG KONG - 0.4% 4,340,000 672,000 4,891,799 510,000 690,000 479,000 1,637,000 878,500 HUNGARY - 0.3% 20,137 82,847 41,186 INDIA - 8.0% 236,233 25,796 469,528 113,162 18,105 100,317 217,693 2,304 32,292 42,805 220,017 129,166 403,056 166,703 2,873 69,715 261,575 129,169 324,667 11,787 161,443 25,689 43,711 4,622 129,367 1,505 49,643 34,951 36,611 212,121 COMPANY VALUE OPAP S.A. * Piraeus Bank S.A. Titan Cement Co S.A. TOTAL GREECE $ *,e Alibaba Pictures Group Ltd China Gas Holdings Ltd GCL Poly Energy Holdings Ltd Haier Electronics Group Co Ltd Nine Dragons Paper Holdings Ltd Shimao Property Holdings Ltd Sino Biopharmaceutical Sun Art Retail Group Ltd TOTAL HONG KONG 671,912 415,794 408,725 4,871,060 931,194 1,063,790 672,829 856,726 550,091 627,223 1,096,704 610,972 6,409,529 MOL Hungarian Oil and Gas plc OTP Bank Richter Gedeon Rt TOTAL HUNGARY 1,263,400 2,020,310 870,604 4,154,314 Ambuja Cements Ltd Apollo Hospitals Enterprise Ltd Ashok Leyland Ltd Asian Paints Ltd Associated Cement Co Ltd Aurobindo Pharma Ltd Axis Bank Ltd Bajaj Auto Finance Ltd Bajaj Holdings and Investment Ltd Bharat Forge Ltd Bharat Heavy Electricals Bharat Petroleum Corp Ltd Bharti Airtel Ltd Bharti Infratel Ltd Bosch Ltd Cadila Healthcare Ltd Cairn India Ltd Cipla Ltd Coal India Ltd Container Corp Of India Ltd Dabur India Ltd Divi S Laboratories Ltd Dr Reddy’s Laboratories Ltd Eicher Motors Ltd GAIL India Ltd GlaxoSmithKline Consumer Healthcare Ltd Glenmark Pharmaceuticals Ltd Godrej Consumer Products Ltd Havells India Ltd HCL Technologies Ltd 958,703 525,172 669,178 1,885,268 457,252 1,185,923 1,783,025 357,171 1,306,040 487,289 481,257 1,142,963 2,185,326 983,745 1,073,244 382,810 757,558 1,018,556 1,594,519 264,097 732,669 460,317 1,924,589 1,553,408 739,212 142,240 639,273 830,932 212,950 2,388,475 276 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund SHARES 18,935 535,754 264,774 551,437 438,042 475,338 111,531 683,518 1,254,199 34,233 120,717 100,687 80,611 112,750 139,009 127,054 40,197 131,861 323,508 8,934 426,975 19,021 127,355 494,010 454,176 2,043 56,275 29,598 596,684 355,115 175,708 575,158 444,917 114,171 92,241 27,745 15,359 115,171 24,503 233,075 43,197 218,105 INDONESIA - 2.6% 7,349,000 4,069,400 864,400 585,800 7,399,100 4,545,300 1,026,066 COMPANY VALUE Hero Honda Motors Ltd Hindalco Industries Ltd Hindustan Lever Ltd Housing Development Finance Corp ICICI Bank Ltd Idea Cellular Ltd Indiabulls Housing Finance Ltd Infosys Technologies Ltd ITC Ltd JSW Steel Ltd Larsen & Toubro Ltd LIC Housing Finance Ltd Lupin Ltd Mahindra & Mahindra Financial Services Ltd Mahindra & Mahindra Ltd Marico Ltd Maruti Suzuki India Ltd Motherson Sumi Systems Ltd Mundra Port and Special Economic Zone Ltd Nestle India Ltd NTPC Ltd Piramal Healthcare Ltd Power Finance Corp Ltd Reliance Industries Ltd Sesa Sterlite Ltd Shree Cement Ltd Shriram Transport Finance Co Ltd Siemens India Ltd State Bank of India Sun Pharmaceutical Industries Ltd Tata Consultancy Services Ltd Tata Motors Ltd Tata Power Co Ltd Tata Steel Ltd Tech Mahindra Ltd Titan Industries Ltd Ultra Tech Cement Ltd United Phosphorus Ltd * United Spirits Ltd Wipro Ltd Yes Bank Ltd ZEE Telefilms Ltd TOTAL INDIA $ Adaro Energy Tbk Bank Rakyat Indonesia Indofood CBP Sukses Makmur Tbk PT AKR Corporindo Tbk PT Astra International Tbk PT Bank Central Asia Tbk PT Bank Danamon Indonesia Tbk 906,005 1,073,445 3,651,891 11,371,312 1,699,671 746,485 1,275,332 10,950,054 4,744,630 858,578 2,817,085 782,932 2,100,991 557,677 3,047,928 539,521 2,863,968 654,854 1,123,654 959,732 1,011,013 456,336 416,830 7,493,421 1,126,149 491,887 1,076,918 583,902 2,052,542 4,413,867 6,883,307 4,341,401 479,088 607,241 673,880 174,890 853,515 1,077,865 897,604 1,899,403 788,013 1,621,716 121,269,694 586,762 3,594,418 569,253 302,634 4,381,081 5,023,284 274,495 277 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund SHARES 3,401,471 2,604,393 2,356,000 2,657,400 1,246,875 2,020,300 176,300 3,584,400 555,900 1,604,400 584,700 7,666,300 7,024,600 860,900 1,577,800 3,961,600 1,132,300 3,316,600 2,125,900 18,794,600 574,800 633,100 1,793,000 775,300 COMPANY VALUE PT Bank Mandiri Persero Tbk PT Bank Negara Indonesia PT Bumi Serpong Damai PT Charoen Pokphand Indonesia Tbk * PT Excelcomindo Pratama PT Global MediaCom Tbk PT Gudang Garam Tbk PT Hanjaya Mandala Sampoerna Tbk PT Indocement Tunggal Prakarsa Tbk PT Indofood Sukses Makmur Tbk PT Jasa Marga Tbk PT Kalbe Farma Tbk PT Lippo Karawaci Tbk PT Matahari Department Store Tbk PT Media Nusantara Citra Tbk PT Perusahaan Gas Negara Persero Tbk PT Semen Gresik Persero Tbk PT Summarecon Agung Tbk PT Surya Citra Media Tbk PT Telekomunikasi Indonesia Persero Tbk PT Unilever Indonesia Tbk PT United Tractors Tbk PT Waskita Karya Persero Tbk Tower Bersama Infrastructure TOTAL INDONESIA $ KOREA, REPUBLIC OF - 14.2% 12,034 Amorepacific Corp 3,527 Amorepacific Corp (Preference) 3,682 BGF retail Co Ltd 92,394 BS Financial Group, Inc 27,465 *,e Celltrion, Inc 25,429 Cheil Communications, Inc 27,650 Cheil Industries, Inc 2,937 CJ CheilJedang Corp 5,015 CJ Corp 6,668 CJ E&M Corp 9,666 Daelim Industrial Co 44,028 * Daewoo Engineering & Construction Co Ltd 18,314 Daewoo International Corp 65,213 Daewoo Securities Co Ltd 52,544 DGB Financial Group Co Ltd 17,413 Dongbu Insurance Co Ltd 12,877 Dongsuh Co, Inc 18,432 Doosan Heavy Industries and Construction Co Ltd 7,209 E-Mart Co Ltd 6,949 GLOVIS Co Ltd 18,269 * GS Engineering & Construction Corp 22,128 GS Holdings Corp 9,811 GS Retail Co Ltd 106,600 Hana Financial Group, Inc 2,640,534 1,067,810 377,344 763,243 353,603 159,324 910,373 994,458 726,975 1,023,261 238,349 983,266 609,337 1,313,895 260,170 998,314 813,733 431,163 515,016 6,117,847 1,979,739 763,048 380,087 337,922 39,490,738 4,166,575 709,328 658,223 727,121 2,554,099 408,945 3,347,036 1,034,295 899,092 423,368 726,203 245,187 350,907 530,050 423,281 989,807 375,275 433,343 1,053,158 1,043,717 469,619 956,134 442,446 2,624,663 278 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund COMPANY SHARES 25,275 4,221 1,887 64,900 3,847 40,400 15,925 5,660 11,950 213,260 7,633 5,144 20,510 26,981 15,522 21,871 24,991 55,038 13,619 8,514 27,378 5,540 96,356 10,867 41,772 138,435 2,073 8,256 95,239 21,523 95,850 2,508 11,459 13,711 5,581 68,326 3,615 13,452 9,181 43,433 17,210 2,995 34,618 38,778 3,493 788 5,319 76,539 84,603 226 2,100 3,902 24,245 10,402 * e * * VALUE Hankook Tire Co Ltd Hanmi Holdings Co Ltd Hanmi Pharm Co Ltd Hanon Systems Hanssem Co Ltd Hanwha Chemical Corp Hanwha Corp Honam Petrochemical Corp Hotel Shilla Co Ltd Hynix Semiconductor, Inc Hyosung Corp Hyundai Department Store Co Ltd Hyundai Development Co Hyundai Engineering & Construction Co Ltd Hyundai Heavy Industries Hyundai Marine & Fire Insurance Co Ltd Hyundai Mobis Hyundai Motor Co Hyundai Motor Co Ltd (2nd Preference) Hyundai Motor Co Ltd (Preference) Hyundai Steel Co Hyundai Wia Corp Industrial Bank of Korea Kakao Corp Kangwon Land, Inc KB Financial Group, Inc KCC Corp KEPCO Plant Service & Engineering Co Ltd Kia Motors Corp Korea Aerospace Industries Ltd Korea Electric Power Corp Korea Express Co Ltd Korea Gas Corp Korea Investment Holdings Co Ltd Korea Kumho Petrochemical Korea Life Insurance Co Ltd Korea Zinc Co Ltd Korean Air Lines Co Ltd KT Corp KT&G Corp LG Chem Ltd LG Chem Ltd (Preference) LG Corp LG Electronics, Inc LG Household & Health Care Ltd LG Household & Health Care Ltd (Preference) LG Innotek Co Ltd LG Telecom Ltd LG.Philips LCD Co Ltd Lotte Chilsung Beverage Co Ltd Lotte Confectionery Co Ltd Lotte Shopping Co Ltd Mirae Asset Securities Co Ltd Naver Corp $ 279 1,224,203 543,159 1,031,224 665,142 591,242 924,174 507,299 1,537,930 636,824 6,567,144 948,571 570,748 813,126 890,237 1,745,598 591,315 5,698,762 6,494,061 1,222,137 740,727 1,241,913 425,645 1,020,400 882,151 1,529,004 4,395,700 730,693 505,871 3,587,683 1,550,291 5,247,671 449,240 434,220 575,542 303,339 352,474 1,648,970 342,158 260,193 4,696,866 3,750,688 475,484 1,966,381 1,854,381 3,146,231 411,341 425,252 749,194 2,345,647 333,382 355,265 672,911 577,027 6,599,901 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund SHARES 6,449 6,518 1,310 437 10,263 20,175 25,095 6,650 10,475 21,968 37,391 6,761 12,696 56,297 28,779 20,097 12,794 19,754 155,865 2,185 16,746 24,730 49,287 7,331 18,367 19,677 107,463 48,259 2,776 MALAYSIA - 2.7% 368,700 318,400 668,800 593,000 169,493 47,500 1,116,233 1,210,596 1,315,500 377,000 532,600 828,975 69,500 196,700 176,000 218,287 69,106 1,136,800 1,066,600 1,032,300 400,833 149,100 COMPANY VALUE NCsoft e OCI Co Ltd Orion Corp Ottogi Corp Pacific Corp Paradise Co Ltd POSCO S1 Corp (Korea) Samsung Card Co Samsung Electro-Mechanics Co Ltd Samsung Electronics Co Ltd Samsung Electronics Co Ltd (Preference) Samsung Fire & Marine Insurance Co Ltd Samsung Heavy Industries Co Ltd Samsung Life Insurance Co Ltd Samsung SDI Co Ltd Samsung SDS Co Ltd Samsung Securities Co Ltd Shinhan Financial Group Co Ltd Shinsegae Co Ltd SK C&C Co Ltd SK Energy Co Ltd SK Networks Co Ltd SK Telecom Co Ltd S-Oil Corp Woongjin Coway Co Ltd Woori Bank Woori Investment & Securities Co Ltd Yuhan Corp TOTAL KOREA, REPUBLIC OF $ AirAsia BHD Alliance Financial Group BHD AMMB Holdings BHD Astro Malaysia Holdings BHD Berjaya Sports Toto BHD British American Tobacco Malaysia BHD Bumiputra-Commerce Holdings BHD Dialog Group BHD Digi.Com BHD Felda Global Ventures Holdings BHD Gamuda BHD Genting BHD Genting Plantations BHD HAP Seng Consolidated BHD Hartalega Holdings BHD Hong Leong Bank BHD Hong Leong Credit BHD IHH Healthcare BHD IJM Corp BHD IOI Corp BHD IOI Properties Group Sdn BHD Kuala Lumpur Kepong BHD 1,449,320 543,503 1,078,988 305,461 1,323,949 288,598 5,084,916 603,896 404,541 1,084,588 51,449,162 7,642,134 3,025,460 502,024 2,503,733 1,899,931 1,797,352 668,361 5,569,850 355,528 3,124,442 3,258,876 273,953 1,506,479 1,264,717 1,504,213 969,690 449,226 759,586 214,071,081 265,657 311,754 707,359 425,392 136,577 575,998 1,204,834 453,180 1,603,503 171,573 630,667 1,675,284 179,961 374,506 185,923 704,486 258,688 1,826,476 888,367 1,073,391 232,396 847,433 280 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund SHARES 120,700 1,243,822 313,576 679,100 411,400 908,900 132,300 271,800 166,500 1,002,240 1,140,600 265,670 1,572,700 936,128 397,465 1,281,750 1,013,065 180,500 307,800 1,549,800 581,269 MEXICO - 3.7% 1,000,650 11,535,870 5,234,043 182,160 64,100 154,325 871,500 686,737 375,886 76,845 127,528 72,795 619,420 198,598 110,000 903,487 834,532 642,500 199,700 1,528,156 896,126 50,877 546,042 418,096 281,300 94,325 1,955,989 COMPANY VALUE Lafarge Malayan Cement BHD Malayan Banking BHD Malaysia Airports Holdings BHD Maxis BHD MISC BHD Petronas Chemicals Group BHD Petronas Dagangan BHD Petronas Gas BHD PPB Group BHD Public Bank BHD Resorts World BHD RHB Capital BHD Sapurakencana Petroleum BHD Sime Darby BHD Telekom Malaysia BHD Tenaga Nasional BHD TM International BHD UMW Holdings BHD Westports Holdings BHD YTL Corp BHD YTL Power International BHD TOTAL MALAYSIA $ Alfa S.A. de C.V. (Class A) America Movil S.A. de C.V. (Series L) *,e Cemex S.A. de C.V. Coca-Cola Femsa S.A. de C.V. El Puerto de Liverpool SAB de C.V. Embotelladoras Arca SAB de C.V. Fibra Uno Administracion S.A. de C.V. Fomento Economico Mexicano S.A. de C.V. Gentera SAB de C.V. Gruma SAB de C.V. Grupo Aeroportuario del Pacifico S.A. de C.V. (B Shares) Grupo Aeroportuario del Sureste S.A. de C.V. (Class B) Grupo Bimbo S.A. de C.V. (Series A) Grupo Carso S.A. de C.V. (Series A1) Grupo Comercial Chedraui S.a. DE C.V. Grupo Financiero Banorte S.A. de C.V. Grupo Financiero Inbursa S.A. Grupo Financiero Santander Mexico SAB de C.V. Grupo Lala SAB de C.V. Grupo Mexico S.A. de C.V. (Series B) Grupo Televisa S.A. Industrias Penoles S.A. de C.V. Kimberly-Clark de Mexico S.A. de C.V. (Class A) Mexichem SAB de C.V. * OHL Mexico SAB de CV Promotora y Operadora de Infraestructura SAB de C.V. Wal-Mart de Mexico SAB de C.V. TOTAL MEXICO 281 235,736 2,452,966 458,252 1,004,587 759,026 1,462,546 756,000 1,487,414 655,035 4,804,533 1,204,300 332,673 558,443 1,708,194 666,917 4,529,546 1,417,798 253,110 340,729 636,257 204,205 40,661,672 1,637,864 6,632,356 3,989,039 1,431,923 621,274 992,701 1,777,395 6,144,007 698,446 1,105,215 1,254,671 1,118,714 1,846,367 811,021 249,568 4,948,218 1,341,037 1,170,549 433,802 3,687,950 4,756,876 1,309,072 1,235,074 911,115 381,668 1,100,006 4,470,087 56,056,015 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund SHARES NETHERLANDS - 0.4% 1,068,361 PERU - 0.4% 68,322 23,790 45,148 PHILIPPINES - 1.5% 709,400 549,900 648,600 91,818 2,724,300 630,116 292,610 1,227,500 12,040 29,230 180,030 1,049,870 142,620 4,448,900 4,266,600 196,882 35,665 2,989,000 475,000 157,780 88,080 3,038,975 329,590 POLAND - 1.0% 23,290 8,150 216,854 49,002 10,630 4,389 9,919 45,713 71,916 89,184 26,188 54,571 62,828 470 799,354 289,718 COMPANY VALUE Steinhoff International Holdings NV TOTAL NETHERLANDS $ Cia de Minas Buenaventura S.A. (ADR) (Series B) Credicorp Ltd (NY) e Southern Copper Corp (NY) TOTAL PERU 6,757,530 6,757,530 1,000,917 3,814,251 1,173,397 5,988,565 Aboitiz Equity Ventures, Inc Aboitiz Power Corp Alliance Global Group, Inc Ayala Corp Ayala Land, Inc Banco de Oro Universal Bank Bank of the Philippine Islands DMCI Holdings, Inc Globe Telecom, Inc GT Capital Holdings, Inc International Container Term Services, Inc JG Summit Holdings (Series B) Jollibee Foods Corp Megaworld Corp Metro Pacific Investments Corp Metropolitan Bank & Trust Philippine Long Distance Telephone Co PNOC Energy Development Corp Robinsons Land Corp Security Bank Corp SM Investments Corp SM Prime Holdings Universal Robina TOTAL PHILIPPINES 1,176,282 528,435 222,801 1,697,390 2,285,386 1,515,269 596,360 339,368 579,745 955,937 244,823 1,861,891 772,395 475,562 679,946 397,061 1,592,992 372,944 322,936 733,865 1,289,469 1,886,035 1,403,201 21,930,093 * Alior Bank S.A. Bank Handlowy w Warszawie S.A. * Bank Millennium S.A. Bank Pekao S.A. Bank Zachodni WBK S.A. BRE Bank S.A. CCC S.A. * Cyfrowy Polsat S.A. Enea S.A. Energa S.A. Eurocash S.A. * Grupa Lotos S.A. KGHM Polska Miedz S.A. LPP S.A. Polish Oil & Gas Co Polska Grupa Energetyczna S.A. 301,855 143,913 254,867 1,550,829 763,817 341,786 452,579 276,305 202,057 222,856 351,880 409,624 1,268,884 592,529 1,109,188 951,950 282 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund SHARES 127,919 316,336 200,412 95,708 303,984 212,799 13,692 QATAR - 0.9% 34,886 56,557 37,408 288,674 55,567 139,808 27,725 9,966 118,665 43,631 19,449 78,891 119,125 ROMANIA - 0.1% 73,480 RUSSIA - 3.4% 65,445 2,281,392 13,659 164,196 109,691 27,913 194,250 192,749 35,610 56,233 500,926 54,099 637,556 974,451 91,516 622,044 103,631 1,073,969 COMPANY VALUE Polski Koncern Naftowy Orlen S.A. * Powszechna Kasa Oszczednosci Bank Polski S.A. Powszechny Zaklad Ubezpieczen S.A. Synthos S.A. Tauron Polska Energia S.A. Telekomunikacja Polska S.A. Zaklady Azotowe w Tarnowie-Moscicach S.A. TOTAL POLAND $ Barwa Real Estate Co Commercial Bank of Qatar QSC Doha Bank QSC Ezdan Holding Group QSC Industries Qatar QSC Masraf Al Rayan Ooredoo QSC Qatar Electricity & Water Co Qatar Gas Transport Co Ltd Qatar Insurance Co SAQ Qatar Islamic Bank SAQ Qatar National Bank Vodafone Qatar TOTAL QATAR 2,049,641 1,933,496 1,449,768 97,256 240,120 294,348 254,993 15,514,541 335,879 588,680 382,687 1,565,730 1,631,767 1,382,005 724,827 614,314 798,125 974,117 581,722 3,312,468 362,864 13,255,185 New Europe Property Investments plc TOTAL ROMANIA 878,769 878,769 AFK Sistema (GDR) Gazprom OAO (ADR) Gazpromneft OAO (ADR) LUKOIL PJSC (ADR) Magnit OAO (GDR) MegaFon OAO (GDR) MMC Norilsk Nickel PJSC (ADR) Mobile TeleSystems (ADR) NovaTek OAO (GDR) PhosAgro OAO (ADR) Rosneft Oil Co (GDR) Rostelecom (ADR) RusHydro PJSC (ADR) Sberbank of Russian Federation (ADR) Severstal (GDR) Surgutneftegaz (ADR) Tatneft PAO (ADR) VTB Bank OJSC (GDR) TOTAL RUSSIA 532,722 9,346,927 167,724 7,067,370 4,208,545 275,752 2,843,809 1,713,539 3,579,423 776,015 2,435,709 415,752 659,871 8,490,602 1,083,600 2,925,007 2,950,882 2,131,823 51,605,072 SOUTH AFRICA - 6.8% 331,683 *,m African Bank Investments Ltd 22,127 * Anglo American Platinum Ltd 239 703,509 283 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund SHARES 151,530 124,655 151,672 117,404 115,264 123,499 15,072 92,038 125,542 91,939 1,233,998 260,733 268,000 72,103 292,059 120,662 810,351 87,240 262,245 59,528 94,730 40,805 329,147 45,598 341,129 41,845 90,622 612,936 161,542 72,600 349,038 88,637 41,354 37,394 251,717 1,378,766 179,251 93,602 263,526 520,713 181,321 210,173 158,463 277,385 66,946 478,470 91,536 57,302 147,622 134,812 359,907 COMPANY VALUE * AngloGold Ashanti Ltd Aspen Pharmacare Holdings Ltd e Barclays Africa Group Ltd * Bid Corp Ltd Bidvest Group Ltd *,e Brait S.A. Capitec Bank Holdings Ltd e Coronation Fund Managers Ltd e Discovery Holdings Ltd e Exxaro Resources Ltd FirstRand Ltd Fortress Income Fund Ltd Fortress Income Fund Ltd (A Shares) Foschini Ltd Gold Fields Ltd Gold Reef Resorts Ltd Growthpoint Properties Ltd Hyprop Investments Ltd * Impala Platinum Holdings Ltd Imperial Holdings Ltd Investec Ltd e Liberty Holdings Ltd Life Healthcare Group Holdings Pte Ltd Massmart Holdings Ltd Metropolitan Holdings Ltd Mondi Ltd Mr Price Group Ltd e MTN Group Ltd Naspers Ltd (N Shares) e Nedbank Group Ltd Network Healthcare Holdings Ltd e Pick’n Pay Stores Ltd Pioneer Foods Ltd PSG Group Ltd Rand Merchant Investment Holdings Ltd Redefine Properties Ltd Remgro Ltd Resilient REIT Ltd RMB Holdings Ltd Sanlam Ltd * Sappi Ltd Sasol Ltd Shoprite Holdings Ltd Sibanye Gold Ltd Spar Group Ltd Standard Bank Group Ltd Telkom S.A. Ltd Tiger Brands Ltd Truworths International Ltd Vodacom Group Pty Ltd Woolworths Holdings Ltd TOTAL SOUTH AFRICA $ 284 3,308,967 3,366,466 1,677,664 2,190,724 1,324,856 1,110,891 668,478 489,194 1,131,197 550,713 4,318,193 685,991 324,232 773,690 1,803,372 252,104 1,537,770 848,110 1,157,427 711,436 571,218 360,098 895,594 476,338 569,041 848,024 1,494,429 6,195,558 25,349,700 1,041,616 808,736 500,252 532,727 534,224 803,804 1,190,904 3,361,974 910,218 1,180,089 2,456,921 922,459 5,592,448 2,322,284 1,292,856 998,698 4,779,100 424,806 1,609,534 950,133 1,562,427 2,319,694 101,791,127 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund SHARES TAIWAN - 11.7% 1,163,912 2,319,372 121,850 843,512 721,000 256,500 3,122,000 59,000 241,000 3,024,270 409,518 1,479,391 709,490 180,065 912,000 4,378,754 1,179,346 4,352,850 5,989,693 1,458,600 1,458,000 718,929 2,757,130 66,742 686,967 524,491 1,189,852 604,000 122,662 3,370,074 1,209,270 539,000 1,554,600 234,000 346,052 2,504,812 3,752,112 107,000 18,000 265,500 265,290 84,290 5,175,310 91,000 2,425,853 3,320,061 975,000 827,060 37,000 733,120 547,961 4,014,046 COMPANY VALUE Acer, Inc Advanced Semiconductor Engineering, Inc Advantech Co Ltd Asia Cement Corp * Asia Pacific Telecom Co Ltd Asustek Computer, Inc AU Optronics Corp Casetek Holdings Ltd Catcher Technology Co Ltd Cathay Financial Holding Co Ltd Chailease Holding Co Ltd Chang Hwa Commercial Bank Cheng Shin Rubber Industry Co Ltd Chicony Electronics Co Ltd China Airlines China Development Financial Holding Corp China Life Insurance Co Ltd (Taiwan) China Steel Corp Chinatrust Financial Holding Co Chunghwa Telecom Co Ltd Compal Electronics, Inc Delta Electronics, Inc E.Sun Financial Holding Co Ltd Eclat Textile Co Ltd * Eva Airways Corp Evergreen Marine Corp Tawain Ltd Far Eastern Textile Co Ltd Far EasTone Telecommunications Co Ltd Feng TAY Enterprise Co Ltd First Financial Holding Co Ltd Formosa Chemicals & Fibre Corp Formosa Petrochemical Corp Formosa Plastics Corp Formosa Taffeta Co Ltd Foxconn Technology Co Ltd Fubon Financial Holding Co Ltd Fuhwa Financial Holdings Co Ltd Giant Manufacturing Co Ltd Hermes Microvision, Inc High Tech Computer Corp Highwealth Construction Corp Hiwin Technologies Corp Hon Hai Precision Industry Co, Ltd Hotai Motor Co Ltd Hua Nan Financial Holdings Co Ltd InnoLux Display Corp * Inotera Memories, Inc Inventec Co Ltd Largan Precision Co Ltd Lite-On Technology Corp MediaTek, Inc Mega Financial Holding Co Ltd $ 285 554,869 2,737,996 948,189 771,584 249,958 2,231,768 1,275,813 238,291 1,680,326 3,402,046 727,128 796,066 1,481,108 445,558 268,139 1,066,140 975,599 3,011,223 3,306,884 5,212,331 916,125 3,792,104 1,539,800 748,122 327,004 203,181 929,820 1,388,653 554,284 1,870,256 3,151,291 1,533,560 3,793,474 221,957 839,775 3,117,041 1,318,538 722,466 767,135 791,792 404,870 413,728 14,281,812 914,268 1,324,113 1,229,699 796,430 642,832 3,977,799 1,099,469 4,183,690 3,147,806 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund SHARES 75,000 1,802,860 272,000 56,000 210,000 40,000 733,000 50,000 765,000 238,000 214,000 1,001,000 160,085 335,111 148,730 2,932,093 797,169 91,490 3,085,524 119,836 501,000 58,000 2,916,266 943,082 1,301,914 2,537,970 245,000 645,200 9,087,000 610,000 77,000 1,829,569 4,282,000 312,000 745,186 541,500 255,000 126,127 THAILAND - 2.2% 384,800 163,900 94,700 1,417,400 2,700,000 1,218,900 273,300 970,600 127,300 245,600 551,900 1,802,600 COMPANY VALUE Merida Industry Co Ltd Nan Ya Plastics Corp Nanya Technology Corp Nien Made Enterprise Co Ltd Novatek Microelectronics Corp Ltd * OBI Pharma, Inc Pegatron Technology Corp Phison Electronics Corp Pou Chen Corp Powertech Technology, Inc President Chain Store Corp Quanta Computer, Inc Realtek Semiconductor Corp Ruentex Development Co Ltd Ruentex Industries Ltd Shin Kong Financial Holding Co Ltd Siliconware Precision Industries Co Simplo Technology Co Ltd SinoPac Financial Holdings Co Ltd Standard Foods Corp Synnex Technology International Corp * TaiMed Biologics, Inc Taishin Financial Holdings Co Ltd * Taiwan Business Bank Taiwan Cement Corp Taiwan Cooperative Financial Holding Taiwan Fertilizer Co Ltd Taiwan Mobile Co Ltd Taiwan Semiconductor Manufacturing Co Ltd Teco Electric and Machinery Co Ltd Transcend Information, Inc Uni-President Enterprises Corp United Microelectronics Corp Vanguard International Semiconductor Corp Wistron Corp WPG Holdings Co Ltd Yulon Motor Co Ltd Zhen Ding Technology Holding Ltd TOTAL TAIWAN $ Advanced Info Service PCL (Foreign) Airports of Thailand PCL (Foreign) Bangkok Bank PCL (Foreign) Bangkok Dusit Medical Services PCL Bangkok Expressway & Metro PCL Banpu PCL (Foreign) BEC World PCL (Foreign) BTS Group Holdings PCL (Foreign) Bumrungrad Hospital PCL (Foreign) Central Pattana PCL (Foreign) Charoen Pokphand Foods PCL CP Seven Eleven PCL (Foreign) 347,458 3,415,442 321,739 584,642 737,946 618,092 1,804,379 414,867 1,044,233 605,727 1,738,678 2,038,599 580,561 402,026 237,907 596,365 1,199,935 323,348 996,894 298,028 591,923 395,533 1,171,396 248,727 1,383,941 1,189,550 341,648 2,224,467 49,085,135 540,698 231,292 3,739,175 1,594,640 565,826 592,809 689,722 226,767 259,382 175,703,407 1,969,084 1,861,027 466,347 917,245 651,163 551,425 194,309 262,148 673,807 405,765 444,835 2,683,384 286 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund SHARES 59,000 52,000 372,900 211,800 578,926 528,278 6,194,600 646,300 1,447,950 340,870 536,384 780,741 401,900 203,000 157,750 576,800 484,900 666,000 3,120,700 5,286,748 TURKEY - 1.2% 797,914 75,143 82,321 77,494 28,591 659,704 440,037 21,083 358,988 239,956 234,889 49,701 35,268 62,009 138,049 187,928 178,558 323,121 882,614 239,561 575,693 227,268 56,816 320,847 COMPANY VALUE Delta Electronics Thai PCL Electricity Generating PCL Energy Absolute PCL (Foreign) Glow Energy PCL (Foreign) Home Product Center PCL (Foreign) Indorama Ventures PCL (Foreign) IRPC PCL (Foreign) Kasikornbank PCL (Foreign) Krung Thai Bank PCL (Foreign) Minor International PCL (Foreign) PTT Exploration & Production PCL (Foreign) PTT Global Chemical PCL (Foreign) PTT PCL (Foreign) Robinson Department Store PCL Siam Cement PCL (Foreign) Siam Commercial Bank PCL (Foreign) Thai Oil PCL (Foreign) Thai Union Group PCL TMB Bank PCL (Foreign) True Corp PCL TOTAL THAILAND $ Akbank TAS Anadolu Efes Biracilik Ve Malt Sanayii AS Arcelik AS BIM Birlesik Magazalar AS Coca-Cola Icecek AS Emlak Konut Gayrimenkul Yatiri Eregli Demir ve Celik Fabrikalari TAS Ford Otomotiv Sanayi AS Haci Omer Sabanci Holding AS KOC Holding AS Petkim Petrokimya Holding TAV Havalimanlari Holding AS Tofas Turk Otomobil Fabrik Tupras Turkiye Petrol Rafine * Turk Hava Yollari Turk Sise ve Cam Fabrikalari AS Turk Telekomunikasyon AS Turkcell Iletisim Hizmet AS Turkiye Garanti Bankasi AS Turkiye Halk Bankasi AS Turkiye Is Bankasi (Series C) Turkiye Vakiflar Bankasi Tao Ulker Biskuvi Sanayi AS Yapi ve Kredi Bankasi TOTAL TURKEY 120,969 297,217 281,362 522,141 168,117 505,732 736,309 3,709,091 725,088 399,325 1,285,895 1,356,154 3,845,369 385,172 2,324,068 2,633,109 849,471 417,625 202,959 1,360,139 33,205,851 2,062,024 509,094 563,251 1,433,558 354,968 590,909 669,759 230,023 1,073,346 1,029,610 339,539 182,326 279,246 1,327,050 239,525 211,711 361,558 1,118,603 2,171,069 632,352 888,532 337,172 376,678 371,722 17,353,625 UNITED ARAB EMIRATES - 0.8% 648,245 Abu Dhabi Commercial Bank PJSC 1,166,017 Aldar Properties PJSC 887,243 * Arabtec Holding Co 1,201,048 915,663 356,116 287 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund COMPANY SHARES 61,183 899,608 433,447 735,021 1,290,249 648,379 331,506 237,116 VALUE DP World Ltd Dubai Financial Market Dubai Islamic Bank PJSC Emaar Malls Group PJSC Emaar Properties PJSC Emirates Telecommunications Group Co PJSC First Gulf Bank PJSC National Bank of Abu Dhabi PJSC TOTAL UNITED ARAB EMIRATES UNITED STATES - 4.0% 689,342 820,270 $ e iShares Core MSCI Emerging Markets ETF iShares MSCI Emerging Markets TOTAL UNITED STATES 1,037,477 325,617 637,004 579,184 2,421,039 3,530,611 1,089,699 628,189 12,721,647 30,310,368 29,718,383 60,028,751 TOTAL COMMON STOCKS (Cost $1,542,683,654) 1,496,576,000 PREFERRED STOCKS - 0.2% BRAZIL - 0.2% 1,435,206 PHILIPPINES - 0.0% 307,700 * ITAUSA Investimentos Itau PR TOTAL BRAZIL 3,700,445 3,700,445 *,m Ayala Land, Inc (Preferred B) TOTAL PHILIPPINES 653 653 TOTAL PREFERRED STOCKS (Cost $4,157,109) 3,701,098 RIGHTS / WARRANTS - 0.1% CHINA - 0.0% 154,225 China Resources Beer Holdings Co Ltd TOTAL CHINA INDIA - 0.1% 158,766 THAILAND - 0.0% 406,300 62,021 62,021 Tata Motors Ltd (DVR) TOTAL INDIA 769,126 769,126 Banpu PCL TOTAL THAILAND 116,069 116,069 TOTAL RIGHTS / WARRANTS (Cost $711,957) 947,216 ISSUER PRINCIPAL SHORT-TERM INVESTMENTS - 2.9% GOVERNMENT AGENCY DEBT - 0.1% $ 1,950,000 Federal Home Loan Bank (FHLB) TOTAL GOVERNMENT AGENCY DEBT RATE 0.150% INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 2.8% 288 MATURITY DATE 08/01/16 1,950,000 1,950,000 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund COMPANY SHARES 41,460,997 VALUE c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES TOTAL SHORT-TERM INVESTMENTS (Cost $43,410,997) TOTAL INVESTMENTS - 102.5% (Cost $1,590,963,717) OTHER ASSETS & LIABILITIES, NET - (2.5)% NET ASSETS - 100.0% $ 41,460,997 41,460,997 43,410,997 1,544,635,311 $ (37,475,037) 1,507,160,274 Abbreviation(s): ADR American Depositary Receipt DVR Differential Voting Rights ETF Exchange Traded Fund GDR Global Depositary Receipt REIT Real Estate Investment Trust * c e g Non-income producing Investments made with cash collateral received from securities on loan. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $39,479,602. Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 7/31/16, the aggregate value of these securities was $4,323,443 or 0.3% of net assets. m Indicates a security that has been deemed illiquid. 289 TIAA-CREF FUNDS - Emerging Markets Equity Index Fund TIAA-CREF FUNDS EMERGING MARKETS EQUITY INDEX FUND SUMMARY OF MARKET VALUES BY SECTOR (unaudited) July 31, 2016 SECTOR FINANCIALS INFORMATION TECHNOLOGY CONSUMER DISCRETIONARY CONSUMER STAPLES ENERGY MATERIALS TELECOMMUNICATION SERVICES INDUSTRIALS UTILITIES HEALTH CARE SHORT - TERM INVESTMENTS OTHER ASSETS & LIABILITIES, NET $ NET ASSETS $ 290 VALUE 406,665,931 327,631,765 151,366,565 117,997,316 100,322,700 97,356,234 96,795,465 88,610,870 76,471,252 38,006,216 43,410,997 (37,475,037) 1,507,160,274 % OF NET ASSETS 27.0% 21.7 10.0 7.8 6.7 6.5 6.4 5.9 5.1 2.5 2.9 (2.5) 100.0% TIAA-CREF FUNDS - International Equity Index Fund TIAA-CREF FUNDS INTERNATIONAL EQUITY INDEX FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 SHARES COMPANY VALUE COMMON STOCKS - 99.7% AUSTRALIA - 7.4% 387,878 1,443,724 673,765 1,712,854 646,854 314,152 335,672 1,049,117 1,694,136 111,980 216,511 261,049 1,864,412 1,226,478 433,183 916,656 156,788 325,861 64,599 323,299 33,287 991,542 264,683 214,796 268,762 559,091 35,635 1,333,977 33,147 904,478 1,032,462 328,233 1,011,687 995,567 1,410,953 314,167 1,027,652 178,040 1,601,226 2,132,954 1,531,198 446,753 793,900 213,876 AGL Energy Ltd e Alumina Ltd Amcor Ltd AMP Ltd APA Group Aristocrat Leisure Ltd m Asciano Group AusNet Services Australia & New Zealand Banking Group Ltd Australian Stock Exchange Ltd Bank of Queensland Ltd Bendigo Bank Ltd BHP Billiton Ltd BHP Billiton plc Boral Ltd Brambles Ltd Caltex Australia Ltd Challenger Financial Services Group Ltd CIMIC Group Ltd Coca-Cola Amatil Ltd Cochlear Ltd Commonwealth Bank of Australia Computershare Ltd Crown Resorts Ltd CSL Ltd Dexus Property Group Domino’s Pizza Enterprises Ltd DUET Group (ASE Exchange) e Flight Centre Travel Group Ltd Fortescue Metals Group Ltd GPT Group (ASE) Harvey Norman Holdings Ltd Healthscope Ltd Incitec Pivot Ltd Insurance Australia Group Ltd Lend Lease Corp Ltd Macquarie Goodman Group Macquarie Group Ltd Medibank Pvt Ltd Mirvac Group National Australia Bank Ltd * Newcrest Mining Ltd Oil Search Ltd e Orica Ltd $ 291 6,072,535 1,459,724 7,699,893 7,578,238 4,783,658 3,812,838 2,334,110 1,411,670 33,331,207 4,235,123 1,741,822 2,017,121 27,634,647 15,464,082 2,265,363 9,377,124 3,965,019 2,356,267 1,436,751 2,261,645 3,363,025 58,368,710 1,787,132 2,140,586 24,101,136 4,152,190 2,041,567 2,730,758 812,325 3,084,840 4,403,463 1,207,516 2,278,551 2,179,782 6,489,696 3,206,552 5,893,987 10,080,106 3,737,639 3,568,240 30,954,894 8,701,207 4,350,425 2,309,190 TIAA-CREF FUNDS - International Equity Index Fund SHARES 1,021,288 143,667 311,237 795,198 1,215,310 81,598 31,274 936,436 3,134,534 192,566 227,887 3,107,269 1,383,065 745,151 633,619 478,385 833,452 2,477,609 193,780 1,183,574 432,400 1,942,350 298,294 653,613 1,136,120 1,936,478 429,991 738,163 AUSTRIA - 0.2% 42,332 162,286 69,565 83,228 68,947 65,531 BELGIUM - 1.3% 117,243 466,790 88,861 39,552 46,020 144,643 42,752 29,985 74,172 54,830 COMPANY VALUE Origin Energy Ltd e Platinum Asset Mangement Ltd Qantas Airways Ltd QBE Insurance Group Ltd QR National Ltd Ramsay Health Care Ltd REA Group Ltd Santos Ltd Scentre Group Seek Ltd Sonic Healthcare Ltd * South32 Ltd Stockland Trust Group Suncorp-Metway Ltd Sydney Airport Tabcorp Holdings Ltd Tattersall’s Ltd Telstra Corp Ltd TPG Telecom Ltd Transurban Group (ASE) Treasury Wine Estates Ltd Vicinity Centres Vocus Communications Ltd Wesfarmers Ltd Westfield Corp Westpac Banking Corp Woodside Petroleum Ltd Woolworths Ltd TOTAL AUSTRALIA $ Andritz AG. Erste Bank der Oesterreichischen Sparkassen AG. *,e,m Immoeast AG. OMV AG. * Raiffeisen International Bank Holding AG. Voestalpine AG. TOTAL AUSTRIA 4,306,451 661,964 747,260 6,637,171 4,809,183 4,888,184 1,553,085 3,201,185 12,633,643 2,450,290 3,981,013 4,381,509 5,307,768 7,607,046 3,648,803 1,780,014 2,615,762 10,867,039 1,894,285 11,308,591 3,176,137 5,118,380 2,028,468 21,377,165 9,235,750 45,821,589 8,783,600 13,154,890 537,158,579 2,158,310 4,300,820 0 2,223,072 909,739 2,310,983 11,902,924 Ageas Anheuser-Busch InBev NV Belgacom S.A. Colruyt S.A. Groupe Bruxelles Lambert S.A. KBC Groep NV Solvay S.A. * Telenet Group Holding NV UCB S.A. Umicore TOTAL BELGIUM 3,941,557 60,305,599 2,773,872 2,206,281 3,882,250 7,518,757 4,437,893 1,422,084 5,803,509 3,172,444 95,464,246 292 TIAA-CREF FUNDS - International Equity Index Fund SHARES CHILE - 0.0% 223,436 CHINA - 0.0% 1,161,500 DENMARK - 1.9% 2,205 3,710 61,801 56,955 70,298 408,474 112,251 32,876 96,955 1,077,155 135,301 67,456 477,827 65,376 130,105 83,845 FINLAND - 1.0% 82,164 258,799 195,691 64,479 73,510 3,351,678 67,633 59,611 258,674 322,664 308,839 85,186 FRANCE - 9.4% 102,088 17,358 199,893 88,547 38,980 50,758 1,126,419 615,085 537,974 118,832 153,613 COMPANY VALUE e Antofagasta plc TOTAL CHILE $ Yangzijiang Shipbuilding TOTAL CHINA 1,478,875 1,478,875 757,845 757,845 AP Moller - Maersk AS (Class A) AP Moller - Maersk AS (Class B) Carlsberg AS (Class B) Christian Hansen Holding Coloplast AS Danske Bank AS DSV AS * Genmab AS ISS A.S. Novo Nordisk AS Novozymes AS Pandora AS TDC AS Tryg A.S. Vestas Wind Systems AS * William Demant Holding A.S. TOTAL DENMARK 2,883,004 5,040,066 6,137,649 3,581,961 5,508,897 11,108,489 4,998,368 5,960,709 3,739,689 61,253,800 6,640,479 8,786,218 2,515,730 1,218,691 9,095,747 1,712,132 140,181,629 Elisa Oyj (Series A) Fortum Oyj Kone Oyj (Class B) Metso Oyj Neste Oil Oyj Nokia Oyj (Turquoise) Nokian Renkaat Oyj Orion Oyj (Class B) Sampo Oyj (A Shares) Stora Enso Oyj (R Shares) UPM-Kymmene Oyj Wartsila Oyj (B Shares) TOTAL FINLAND 2,980,953 4,299,182 9,915,453 1,789,224 2,789,667 19,337,494 2,514,252 2,442,121 10,715,218 2,931,235 6,369,029 3,698,000 69,781,828 Accor S.A. Aeroports de Paris Air Liquide * Alstom RGPT Arkema Atos Origin S.A. AXA S.A. BNP Paribas Bollore Bouygues S.A. Bureau Veritas S.A. 4,273,830 1,846,327 21,310,874 2,180,427 3,329,443 4,975,583 22,925,274 30,510,851 1,947,829 3,520,146 3,338,455 293 TIAA-CREF FUNDS - International Equity Index Fund COMPANY SHARES 94,202 321,617 32,367 32,466 112,251 276,294 612,224 73,831 120,257 32,919 150,003 119,234 23,939 341,767 101,482 20,468 1,152,999 847,364 23,847 342,214 266,899 15,731 21,355 15,392 20,331 32,156 43,716 44,006 125,921 67,170 153,608 146,939 161,797 105,632 551,350 65,185 123,095 278,946 109,735 13,188 111,552 172,120 181,364 682,184 323,778 92,159 16,382 444,682 54,518 185,922 62,174 61,186 1,282,265 * * e * VALUE Cap Gemini S.A. Carrefour S.A. Casino Guichard Perrachon S.A. Christian Dior S.A. CNP Assurances Compagnie de Saint-Gobain Credit Agricole S.A. Dassault Systemes S.A. Edenred Eiffage S.A. Electricite de France Essilor International S.A. Eurazeo European Aeronautic Defence and Space Co Eutelsat Communications Fonciere Des Regions France Telecom S.A. Gaz de France Gecina S.A. Groupe Danone Groupe Eurotunnel S.A. Hermes International Icade Iliad S.A. Imerys S.A. Ingenico JC Decaux S.A. Kering Klepierre Lagardere S.C.A. Legrand S.A. L’Oreal S.A. LVMH Moet Hennessy Louis Vuitton S.A. Michelin (C.G.D.E.) (Class B) Natixis Numericable-SFR SAS Pernod-Ricard S.A. Peugeot S.A. Publicis Groupe S.A. Remy Cointreau S.A. Renault S.A. Rexel S.A. Safran S.A. Sanofi-Aventis Schneider Electric S.A. SCOR SE Societe BIC S.A. Societe Generale Sodexho Alliance S.A. Suez Environnement S.A. Technip S.A. Thales S.A. Total S.A. $ 294 9,055,032 8,057,441 1,754,246 5,871,921 1,715,008 11,729,293 5,423,269 6,098,294 2,728,132 2,530,986 1,963,416 15,272,378 1,530,516 20,161,879 2,018,156 1,925,992 17,695,124 13,947,239 3,614,330 26,245,651 2,773,807 6,770,091 1,647,504 2,991,390 1,443,174 3,525,341 1,494,201 8,363,269 6,038,026 1,715,941 8,475,700 27,919,055 27,706,491 10,796,412 2,273,506 1,541,215 14,064,974 4,213,176 8,171,459 1,153,472 9,753,450 2,559,739 12,328,435 58,103,850 21,124,306 2,692,301 2,421,254 15,160,864 6,385,737 3,017,393 3,485,938 5,572,798 61,669,028 TIAA-CREF FUNDS - International Equity Index Fund SHARES 57,247 137,781 261,382 290,781 675,949 16,872 119,306 GERMANY - 8.7% 109,409 265,315 25,622 533,358 480,029 192,035 31,158 58,467 89,584 621,124 63,800 43,940 558,950 270,090 800,436 2,205 110,019 132,383 563,232 1,871,394 194,246 1,161,270 81,232 23,486 126,706 237,324 39,599 105,132 35,123 81,035 61,583 102,948 11,649 39,227 656,406 111,972 52,168 107,732 23,243 75,031 101,798 96,834 51,663 COMPANY VALUE Unibail-Rodamco Valeo S.A. Veolia Environnement Vinci S.A. Vivendi Universal S.A. Wendel Zodiac S.A. TOTAL FRANCE $ Adidas-Salomon AG. Allianz AG. Axel Springer AG. BASF SE Bayer AG. Bayerische Motoren Werke AG. Bayerische Motoren Werke AG. (Preference) Beiersdorf AG. Brenntag AG. Commerzbank AG. Continental AG. g Covestro AG. Daimler AG. (Registered) Deutsche Annington Immobilien SE Deutsche Bank AG. Deutsche Boerse AG. * Deutsche Boerse AG. Deutsche Lufthansa AG. Deutsche Post AG. Deutsche Telekom AG. Deutsche Wohnen AG. E.ON AG. Evonik Industries AG. Fraport AG. Frankfurt Airport Services Worldwide Fresenius Medical Care AG. Fresenius SE Fuchs Petrolub AG. (Preference) GEA Group AG. Hannover Rueckversicherung AG. HeidelbergCement AG. Henkel KGaA Henkel KGaA (Preference) Hochtief AG. Hugo Boss AG. Infineon Technologies AG. e K&S AG. Lanxess AG. Linde AG. MAN AG. Merck KGaA Metro AG. Muenchener Rueckver AG. Osram Licht AG. 15,772,804 7,068,322 5,792,989 22,100,865 13,272,731 1,802,089 2,686,455 675,346,894 17,972,815 38,015,577 1,404,278 41,896,112 51,602,082 16,546,518 2,258,302 5,492,967 4,450,177 4,099,956 13,379,965 2,053,893 37,999,698 10,708,351 10,764,513 185,135 9,200,497 1,573,594 16,809,128 31,837,221 7,272,344 12,454,467 2,533,921 1,284,473 11,573,000 17,727,571 1,672,068 5,613,419 3,592,535 6,864,540 6,684,990 12,827,916 1,527,646 2,327,953 10,881,884 2,340,441 2,464,912 15,482,674 2,437,184 8,286,118 3,275,183 16,149,085 2,687,886 295 TIAA-CREF FUNDS - International Equity Index Fund SHARES 89,046 127,078 284,701 570,645 95,733 443,989 71,586 460,763 212,947 289,168 69,752 18,791 107,879 49,764 HONG KONG - 3.3% 6,995,400 139,700 689,319 2,129,500 673,000 391,000 1,564,836 1,565,836 953,500 1,199,750 1,371,000 1,280,000 441,400 691,142 1,555,500 1,555,640 4,378,273 803,000 666,646 676,600 2,893,900 371,792 142,600 369,623 3,336,600 1,302,991 110,300 924,428 3,222,581 6,471,798 860,341 2,305,959 1,405,600 748,192 1,773,143 1,061,000 COMPANY VALUE Porsche AG. ProSiebenSat. Media AG. RWE AG. SAP AG. Schaeffler AG. Siemens AG. Symrise AG. Telefonica Deutschland Holding AG. ThyssenKrupp AG. TUI AG. (DI) United Internet AG. Volkswagen AG. Volkswagen AG. (Preference) *,g Zalando SE TOTAL GERMANY $ AIA Group Ltd ASM Pacific Technology e Bank of East Asia Ltd BOC Hong Kong Holdings Ltd Cathay Pacific Airways Ltd Cheung Kong Infrastructure Holdings Ltd Cheung Kong Property Holdings Ltd CK Hutchison Holdings Ltd CLP Holdings Ltd First Pacific Co Galaxy Entertainment Group Ltd Hang Lung Properties Ltd Hang Seng Bank Ltd Henderson Land Development Co Ltd e,g HK Electric Investments & HK Electric Investments Ltd HKT Trust and HKT Ltd Hong Kong & China Gas Ltd Hong Kong Electric Holdings Ltd Hong Kong Exchanges and Clearing Ltd Hongkong Land Holdings Ltd Hutchison Port Holdings Trust Hysan Development Co Ltd Jardine Matheson Holdings Ltd Kerry Properties Ltd Li & Fung Ltd Link REIT Melco Crown Entertainment Ltd (ADR) MTR Corp New World Development Co Ltd e Noble Group Ltd NWS Holdings Ltd PCCW Ltd Sands China Ltd Shangri-La Asia Ltd Sino Land Co SJM Holdings Ltd 296 4,656,594 5,821,029 5,064,014 49,944,782 1,397,136 48,193,424 5,047,734 1,881,311 4,883,414 3,764,638 3,087,049 2,778,687 15,177,849 1,886,895 629,797,545 43,575,673 1,039,927 2,853,604 7,011,369 1,094,506 3,461,437 11,228,806 18,353,052 9,937,274 933,088 4,570,674 2,773,995 7,901,847 4,125,568 1,490,080 2,458,258 8,141,039 7,871,720 16,504,943 4,341,225 1,376,926 1,714,526 8,481,058 1,013,657 1,671,704 9,734,819 1,539,788 5,235,538 3,755,580 788,018 1,410,825 1,680,056 5,378,085 804,998 3,172,605 665,127 TIAA-CREF FUNDS - International Equity Index Fund COMPANY SHARES 837,186 311,000 720,800 793,000 3,349,000 785,762 467,000 424,500 IRELAND - 0.7% 99,255 15,616,186 477,578 557,223 67,097 256,356 91,807 46,061 40,148 10,577 ISRAEL - 0.7% 24,275 610,661 820,416 1,196,946 76,451 291,989 79,939 35,590 533,283 ITALY - 1.8% 677,464 237,431 7,371,183 544,472 525,038 4,431,997 1,477,451 63,771 71,531 235,512 642,841 97,747 332,134 307,668 113,336 3,368,347 1,426,726 VALUE Sun Hung Kai Properties Ltd Swire Pacific Ltd (Class A) Swire Properties Ltd Techtronic Industries Co g WH Group Ltd Wharf Holdings Ltd Wheelock & Co Ltd Yue Yuen Industrial Holdings TOTAL HONG KONG $ * AerCap Holdings NV * Bank of Ireland CRH plc Experian Group Ltd *,m Irish Bank Resolution Corp Ltd James Hardie Industries NV Kerry Group plc (Class A) Paddy Power plc Ryanair Holdings plc Ryanair Holdings plc (ADR) TOTAL IRELAND 3,623,800 3,228,797 14,573,384 10,899,576 0 4,253,499 7,855,439 5,402,296 534,091 748,534 51,119,416 Azrieli Group Bank Hapoalim Ltd * Bank Leumi Le-Israel Bezeq Israeli Telecommunication Corp Ltd * Check Point Software Technologies Israel Chemicals Ltd Mizrahi Tefahot Bank Ltd Nice Systems Ltd Teva Pharmaceutical Industries Ltd TOTAL ISRAEL e e * g * 12,012,321 3,726,981 2,011,308 3,358,144 2,644,718 5,430,391 2,504,241 1,724,953 241,504,452 1,068,235 3,112,926 2,956,242 2,375,514 5,877,553 1,175,996 971,049 2,445,427 29,187,933 49,170,875 Assicurazioni Generali S.p.A. Autostrade S.p.A. Banca Intesa S.p.A. Banca Intesa S.p.A. RSP Banche Popolari Unite Scpa Enel S.p.A. ENI S.p.A. Exor S.p.A. Ferrari NV Finmeccanica S.p.A. Fondiaria-Sai S.p.A Luxottica Group S.p.A. Mediobanca S.p.A. Poste Italiane S.p.A Prysmian S.p.A. Saipem S.p.A. Snam Rete Gas S.p.A. 8,924,515 5,939,632 16,265,679 1,137,351 1,613,008 20,398,566 22,664,131 2,488,410 3,238,234 2,690,413 1,078,513 4,751,871 2,328,551 2,143,777 2,654,019 1,475,837 8,258,709 297 TIAA-CREF FUNDS - International Equity Index Fund SHARES 3,480,873 5,875,479 874,685 2,953,811 JAPAN - 23.1% 18,800 236,800 379,400 60,600 67,500 87,000 110,000 322,100 110,000 682,000 108,000 197,800 673,000 224,300 583,000 733,000 91,700 1,225,600 180,000 40,500 377,800 135,700 45,800 619,800 130,700 83,700 408,000 372,500 131,458 98,900 158,900 684,700 85,900 60,900 316,000 167,200 110,000 625,700 349,700 136,200 41,500 328,500 956,000 282,100 124,700 69,400 COMPANY VALUE Telecom Italia RSP * Telecom Italia S.p.A. Terna Rete Elettrica Nazionale S.p.A. UniCredit S.p.A TOTAL ITALY $ ABC-Mart, Inc *,e Acom Co Ltd Aeon Co Ltd AEON Financial Service Co Ltd Aeon Mall Co Ltd Air Water, Inc Aisin Seiki Co Ltd Ajinomoto Co, Inc Alfresa Holdings Corp All Nippon Airways Co Ltd Alps Electric Co Ltd Amada Co Ltd Aozora Bank Ltd Asahi Breweries Ltd Asahi Glass Co Ltd Asahi Kasei Corp Asics Corp Astellas Pharma, Inc Bank of Kyoto Ltd Benesse Holdings Inc Bridgestone Corp Brother Industries Ltd Calbee, Inc Canon, Inc Casio Computer Co Ltd Central Japan Railway Co Chiba Bank Ltd Chubu Electric Power Co, Inc Chugai Pharmaceutical Co Ltd Chugoku Bank Ltd * Chugoku Electric Power Co, Inc * Concordia Financial Group Ltd Credit Saison Co Ltd *,e CYBERDYNE, Inc Dai Nippon Printing Co Ltd Daicel Chemical Industries Ltd m Daihatsu Motor Co Ltd Dai-ichi Mutual Life Insurance Co Daiichi Sankyo Co Ltd Daikin Industries Ltd Daito Trust Construction Co Ltd Daiwa House Industry Co Ltd Daiwa Securities Group, Inc Denso Corp Dentsu, Inc Don Quijote Co Ltd 2,426,708 5,020,531 4,764,678 7,246,522 127,509,655 1,203,101 1,120,213 5,451,665 1,395,442 906,859 1,479,293 5,026,624 8,222,224 2,411,529 1,946,795 2,405,517 2,155,665 2,469,509 7,614,371 3,349,190 5,540,393 1,682,803 20,420,613 1,211,688 978,423 13,083,568 1,542,101 1,999,694 17,589,602 1,860,488 15,557,597 1,950,213 5,472,637 4,912,773 1,114,061 1,995,456 2,910,411 1,430,427 1,173,072 3,528,008 1,875,045 1,602,597 8,084,361 8,339,098 11,811,712 6,968,667 9,211,418 5,365,436 10,922,807 5,957,498 2,723,748 298 TIAA-CREF FUNDS - International Equity Index Fund COMPANY SHARES 193,700 146,300 85,600 31,500 113,600 30,800 326,000 341,300 254,100 1,084,000 457,000 255,000 242,400 122,200 81,700 140,200 12,600 148,700 18,200 296,000 36,500 58,200 65,400 40,100 2,805,000 124,900 98,700 946,500 29,400 234,800 51,600 84,300 554,800 191,880 852,000 341,100 867,100 144,700 137,700 68,600 27,600 241,500 268,600 489 759 1,470 638,600 307,600 120,900 352,000 110,800 129,000 1,218,200 * * *,e * * * * e * * * * VALUE East Japan Railway Co Eisai Co Ltd Electric Power Development Co FamilyMart Co Ltd Fanuc Ltd Fast Retailing Co Ltd Fuji Electric Holdings Co Ltd Fuji Heavy Industries Ltd Fujifilm Holdings Corp Fujitsu Ltd Fukuoka Financial Group, Inc GungHo Online Entertainment Inc Hachijuni Bank Ltd Hakuhodo DY Holdings, Inc Hamamatsu Photonics KK Hankyu Hanshin Holdings, Inc Hikari Tsushin, Inc Hino Motors Ltd Hirose Electric Co Ltd Hiroshima Bank Ltd Hisamitsu Pharmaceutical Co, Inc Hitachi Chemical Co Ltd Hitachi Construction Machinery Co Ltd Hitachi High-Technologies Corp Hitachi Ltd Hitachi Metals Ltd Hokuriku Electric Power Co Honda Motor Co Ltd Hoshizaki Electric Co Ltd Hoya Corp Idemitsu Kosan Co Ltd Iida Group Holdings Co Ltd Inpex Holdings, Inc Isetan Mitsukoshi Holdings Ltd Ishikawajima-Harima Heavy Industries Co Ltd Isuzu Motors Ltd Itochu Corp Iyo Bank Ltd J Front Retailing Co Ltd Japan Airlines Co Ltd Japan Airport Terminal Co Ltd Japan Post Bank Co Ltd Japan Post Holdings Co Ltd Japan Prime Realty Investment Corp Japan Real Estate Investment Corp Japan Retail Fund Investment Corp Japan Tobacco, Inc JFE Holdings, Inc JGC Corp Joyo Bank Ltd JSR Corp JTEKT Corp JX Holdings, Inc $ 299 17,768,037 8,554,374 1,967,273 1,854,921 18,994,832 9,939,377 1,438,843 13,039,288 9,116,711 4,500,207 1,746,027 575,242 1,134,011 1,426,219 2,398,572 5,215,904 1,046,632 1,552,892 2,251,207 1,071,886 2,063,759 1,213,972 1,063,622 1,364,290 12,816,390 1,388,610 1,170,771 25,638,609 2,660,408 8,330,899 1,010,250 1,668,957 4,410,560 1,885,413 2,370,680 4,415,582 9,831,051 932,588 1,588,958 2,114,855 1,215,832 2,946,876 3,547,390 2,152,778 4,588,614 3,616,756 24,905,221 4,008,929 1,769,935 1,375,471 1,513,418 1,801,866 4,615,602 TIAA-CREF FUNDS - International Equity Index Fund SHARES 517,000 85,100 131,000 165,000 411,900 125,900 292,600 823,000 1,093,800 298,000 273,000 335,000 162,000 26,500 85,000 1,036,000 477,300 1,730,000 66,000 535,400 57,300 265,900 17,500 613,200 202,000 59,500 186,400 150,500 244,500 206,700 37,800 154,600 114,600 29,500 65,000 951,200 124,200 34,100 1,280,700 328,600 40,300 98,700 66,700 199,900 33,200 782,900 876,100 1,121,000 727,000 209,000 1,869,000 69,000 660,000 COMPANY VALUE Kajima Corp e Kakaku.com, Inc Kamigumi Co Ltd Kaneka Corp * Kansai Electric Power Co, Inc Kansai Paint Co Ltd Kao Corp Kawasaki Heavy Industries Ltd KDDI Corp Keihan Electric Railway Co Ltd Keihin Electric Express Railway Co Ltd Keio Corp Keisei Electric Railway Co Ltd Keyence Corp Kikkoman Corp Kintetsu Corp Kirin Brewery Co Ltd * Kobe Steel Ltd * Koito Manufacturing Co Ltd Komatsu Ltd Konami Corp Konica Minolta Holdings, Inc Kose Corp Kubota Corp Kuraray Co Ltd Kurita Water Industries Ltd Kyocera Corp Kyowa Hakko Kogyo Co Ltd * Kyushu Electric Power Co, Inc Kyushu Financial Group, Inc Lawson, Inc LIXIL Group Corp M3, Inc Mabuchi Motor Co Ltd * Makita Corp Marubeni Corp Marui Co Ltd Maruichi Steel Tube Ltd Matsushita Electric Industrial Co Ltd Mazda Motor Corp *,e McDonald’s Holdings Co Japan Ltd Mediceo Paltac Holdings Co Ltd MEIJI Holdings Co Ltd Minebea Co Ltd Miraca Holdings, Inc Mitsubishi Chemical Holdings Corp Mitsubishi Corp Mitsubishi Electric Corp Mitsubishi Estate Co Ltd Mitsubishi Gas Chemical Co, Inc Mitsubishi Heavy Industries Ltd Mitsubishi Logistics Corp Mitsubishi Materials Corp $ 300 3,821,572 1,765,544 1,178,910 1,242,616 3,832,524 2,636,570 15,757,443 2,421,165 33,565,557 2,142,742 2,765,783 3,117,015 2,123,759 18,692,394 3,018,128 4,475,624 8,191,541 1,497,110 3,258,885 10,403,760 2,221,615 2,136,935 1,611,555 8,883,514 2,547,632 1,318,834 8,830,842 2,629,505 2,290,742 1,141,968 2,910,538 2,875,389 3,667,088 1,335,831 4,573,113 4,422,200 1,791,171 1,259,809 12,316,085 4,805,780 1,235,535 1,615,140 6,953,893 1,585,277 1,529,186 4,228,833 15,073,016 13,069,129 13,520,437 1,190,721 7,945,124 960,732 1,734,441 TIAA-CREF FUNDS - International Equity Index Fund COMPANY SHARES 399,099 7,404,980 247,300 989,500 530,000 518,000 663,000 294,200 1,924,000 27,400 13,699,507 110,900 64,700 531,000 115,600 1,515,000 100,900 151,600 102,688 121,200 138,500 198,900 65,800 819 245,000 473,000 101,000 93,700 915 469,000 401,600 927,000 1,443,600 115,200 34,100 46,700 96,000 203,600 55,700 2,106,500 72,400 2,041 70,500 263,100 73,100 829,300 72,700 379,700 38,100 337,000 488,000 168,800 111,100 * * * * * * VALUE Mitsubishi Motors Corp Mitsubishi UFJ Financial Group, Inc Mitsubishi UFJ Lease & Finance Co Ltd Mitsui & Co Ltd Mitsui Chemicals, Inc Mitsui Fudosan Co Ltd Mitsui OSK Lines Ltd Mitsui Sumitomo Insurance Group Holdings, Inc Mitsui Trust Holdings, Inc Mixi Inc Mizuho Financial Group, Inc Murata Manufacturing Co Ltd Nabtesco Corp Nagoya Railroad Co Ltd Namco Bandai Holdings, Inc NEC Corp Nexon Co Ltd NGK Insulators Ltd NGK Spark Plug Co Ltd NHK Spring Co Ltd Nidec Corp Nikon Corp Nintendo Co Ltd Nippon Building Fund, Inc Nippon Electric Glass Co Ltd Nippon Express Co Ltd Nippon Meat Packers, Inc Nippon Paint Co Ltd Nippon ProLogis REIT, Inc Nippon Steel Corp Nippon Telegraph & Telephone Corp Nippon Yusen Kabushiki Kaisha Nissan Motor Co Ltd Nisshin Seifun Group, Inc Nissin Food Products Co Ltd Nitori Co Ltd Nitto Denko Corp NKSJ Holdings, Inc NOK Corp Nomura Holdings, Inc Nomura Real Estate Holdings, Inc Nomura Real Estate Master Fund, Inc Nomura Research Institute Ltd NSK Ltd NTT Data Corp NTT DoCoMo, Inc NTT Urban Development Corp Obayashi Corp Obic Co Ltd Odakyu Electric Railway Co Ltd OJI Paper Co Ltd Olympus Corp Omron Corp $ 301 1,860,406 37,436,055 995,039 11,592,831 2,241,803 11,212,474 1,412,055 8,476,411 6,393,866 981,552 21,978,467 13,541,072 1,740,382 2,982,942 3,064,127 4,137,260 1,495,833 3,619,303 1,675,836 1,059,219 12,567,636 2,810,610 13,657,946 5,039,475 1,112,221 2,386,018 2,456,140 2,559,793 2,288,203 8,817,002 19,083,933 1,640,552 13,986,276 1,901,659 1,935,876 5,808,198 6,433,998 6,576,140 1,059,126 9,481,686 1,248,621 3,382,387 2,486,580 2,213,062 3,627,450 22,527,385 774,804 4,152,682 2,217,901 3,989,736 2,035,128 5,824,920 3,684,361 TIAA-CREF FUNDS - International Equity Index Fund SHARES 239,700 23,300 126,800 768,400 1,088,000 302,000 29,500 226,700 60,700 13,300 540,400 164,600 1,269,500 386,700 19,800 53,100 13,900 26,500 214,800 127,640 122,100 106,700 97,600 162,700 236,700 349,700 437,600 333,300 97,800 136,000 12,700 42,800 318,000 225,800 1,056,000 173,800 220,500 303,000 172,900 109,900 33,200 557,800 41,400 733,300 101,600 86,700 34,300 912,009 689,200 93,300 437,700 323,000 287,000 COMPANY VALUE Ono Pharmaceutical Co Ltd * Oracle Corp Japan Oriental Land Co Ltd ORIX Corp * Osaka Gas Co Ltd Osaka Securities Exchange Co Ltd Otsuka Corp Otsuka Holdings KK Park24 Co Ltd Pola Orbis Holdings, Inc * Rakuten, Inc Recruit Holdings Co Ltd Resona Holdings, Inc Ricoh Co Ltd Rinnai Corp Rohm Co Ltd Ryohin Keikaku Co Ltd Sankyo Co Ltd Santen Pharmaceutical Co Ltd SBI Holdings, Inc Secom Co Ltd Sega Sammy Holdings, Inc Seibu Holdings, Inc Seiko Epson Corp Sekisui Chemical Co Ltd Sekisui House Ltd Seven & I Holdings Co Ltd Seven Bank Ltd Shikoku Electric Power Co, Inc Shimadzu Corp Shimamura Co Ltd Shimano, Inc Shimizu Corp Shin-Etsu Chemical Co Ltd Shinsei Bank Ltd Shionogi & Co Ltd Shiseido Co Ltd Shizuoka Bank Ltd Shoei Co Ltd Showa Shell Sekiyu KK SMC Corp Softbank Corp Sohgo Security Services Co Ltd Sony Corp Sony Financial Holdings, Inc Stanley Electric Co Ltd Start Today Co Ltd Sumitomo Chemical Co Ltd Sumitomo Corp e Sumitomo Dainippon Pharma Co Ltd Sumitomo Electric Industries Ltd Sumitomo Heavy Industries Ltd Sumitomo Metal Mining Co Ltd $ 302 8,621,495 1,417,482 8,019,405 10,783,393 4,390,995 4,256,137 1,511,321 10,777,303 2,055,802 1,309,231 6,115,508 6,252,465 5,063,765 3,415,364 1,938,797 2,259,461 3,085,965 964,858 3,571,861 1,382,238 9,197,860 1,168,385 1,711,523 2,862,631 3,442,510 5,826,448 18,170,498 1,138,611 1,021,434 1,968,290 1,852,835 6,693,520 3,241,214 15,408,381 1,584,173 9,014,626 6,177,699 2,248,520 1,793,449 985,638 8,681,121 30,703,775 2,044,456 24,071,954 1,272,779 2,101,860 1,634,569 4,036,522 7,229,114 1,743,922 6,030,146 1,532,455 3,449,704 TIAA-CREF FUNDS - International Equity Index Fund COMPANY SHARES 780,300 208,000 98,900 21,800 80,600 100,900 44,900 211,800 91,100 335,700 683,000 613,000 22,000 77,200 176,000 412,800 130,700 71,600 545,000 198,500 71,300 548,000 64,500 225,000 263,100 395,500 832,900 91,200 1,180,000 120,000 615,000 295,100 172,000 297,000 845,000 2,345,000 81,700 96,400 51,400 38,700 94,500 1,550,400 120,900 64,400 21,600 235,300 1,678 125,000 94,800 817,900 51,400 370,100 119,000 * * * * * * e VALUE Sumitomo Mitsui Financial Group, Inc Sumitomo Realty & Development Co Ltd Sumitomo Rubber Industries, Inc Sundrug Co Ltd Suntory Beverage & Food Ltd Suruga Bank Ltd Suzuken Co Ltd Suzuki Motor Corp Sysmex Corp T&D Holdings, Inc Taiheiyo Cement Corp Taisei Corp Taisho Pharmaceutical Holdings Co Ltd Taiyo Nippon Sanso Corp Takashimaya Co Ltd Takeda Pharmaceutical Co Ltd Tanabe Seiyaku Co Ltd TDK Corp Teijin Ltd Terumo Corp THK Co Ltd Tobu Railway Co Ltd Toho Co Ltd Toho Gas Co Ltd Tohoku Electric Power Co, Inc Tokio Marine Holdings, Inc Tokyo Electric Power Co, Inc Tokyo Electron Ltd Tokyo Gas Co Ltd Tokyo Tatemono Co Ltd Tokyu Corp Tokyu Fudosan Holdings Corp TonenGeneral Sekiyu KK Toppan Printing Co Ltd Toray Industries, Inc Toshiba Corp Toto Ltd Toyo Seikan Kaisha Ltd Toyo Suisan Kaisha Ltd Toyoda Gosei Co Ltd Toyota Industries Corp Toyota Motor Corp Toyota Tsusho Corp Trend Micro, Inc Tsuruha Holdings, Inc Uni-Charm Corp United Urban Investment Corp USS Co Ltd West Japan Railway Co Yahoo! Japan Corp Yakult Honsha Co Ltd Yamada Denki Co Ltd Yamaguchi Financial Group, Inc $ 303 24,734,979 5,381,841 1,395,943 1,891,075 3,504,359 2,300,653 1,432,042 6,486,233 6,310,656 3,423,469 1,951,974 5,512,866 2,408,880 743,082 1,333,444 18,393,648 2,439,813 4,393,109 2,049,815 8,514,613 1,408,716 2,954,803 1,876,508 1,980,077 3,380,080 15,308,708 3,266,852 7,835,392 5,023,147 1,494,174 5,054,328 1,746,130 1,553,881 2,619,540 7,697,862 6,064,202 3,501,211 1,878,094 2,282,835 840,680 4,241,671 86,876,342 2,669,234 2,338,332 2,456,200 4,838,158 3,136,977 2,120,211 5,864,053 3,605,598 2,454,715 1,951,562 1,175,206 TIAA-CREF FUNDS - International Equity Index Fund SHARES 98,300 164,000 207,800 77,000 150,600 135,000 66,100 JERSEY, C.I. - 0.1% 53,971 JORDAN - 0.0% 83,577 LUXEMBOURG - 0.3% 1,068,447 37,880 22,618 211,154 272,542 MACAU - 0.0% 561,200 905,200 MEXICO - 0.0% 128,543 NETHERLANDS - 4.0% 136,583 1,047,173 143,290 216,606 66,678 213,713 50,862 105,494 46,800 61,610 133,723 2,247,296 742,424 539,688 40,650 183,672 170,694 COMPANY VALUE Yamaha Corp Yamaha Motor Co Ltd Yamato Transport Co Ltd Yamazaki Baking Co Ltd Yaskawa Electric Corp Yokogawa Electric Corp Yokohama Rubber Co Ltd TOTAL JAPAN $ 2,712,666 2,761,144 5,113,515 2,115,396 2,052,451 1,745,269 887,735 1,666,070,086 Randgold Resources Ltd TOTAL JERSEY, C.I. 6,351,202 6,351,202 Hikma Pharmaceuticals plc TOTAL JORDAN 2,910,206 2,910,206 * ArcelorMittal Millicom International Cellular S.A. RTL Group SES Global S.A. Tenaris S.A. TOTAL LUXEMBOURG 6,921,269 2,022,559 1,928,323 4,627,060 3,654,171 19,153,382 MGM China Holdings Ltd e Wynn Macau Ltd TOTAL MACAU 815,949 1,475,774 2,291,723 Fresnillo plc TOTAL MEXICO 3,289,400 3,289,400 g ABN AMRO Group NV (ADR) Aegon NV Akzo Nobel NV * Altice NV (Class A) * Altice NV (Class B) ASML Holding NV Boskalis Westminster DSM NV Gemalto NV Heineken Holding NV e Heineken NV ING Groep NV Koninklijke Ahold Delhaize NV Koninklijke Philips Electronics NV Koninklijke Vopak NV NN Group NV * NXP Semiconductors NV 2,539,940 4,239,931 9,262,678 3,215,488 986,623 23,465,820 1,869,337 6,752,028 3,084,253 5,162,017 12,620,168 25,124,780 17,724,774 14,353,954 2,089,892 4,954,150 14,353,658 304 TIAA-CREF FUNDS - International Equity Index Fund SHARES 55,843 68,263 2,443,531 2,174,648 1,968,481 173,771 NEW ZEALAND - 0.2% 552,393 422,954 393,321 737,328 398,345 226,151 1,067,638 NORWAY - 0.6% 565,937 113,346 780,296 465,802 231,473 44,049 52,481 646,856 434,121 103,079 PORTUGAL - 0.2% 1,342,399 271,470 147,162 SINGAPORE - 1.3% 1,287,108 1,189,400 1,475,500 1,412,130 242,300 1,247,700 1,019,333 3,422,400 1,544,500 3,800,047 56,109 831,500 1,814,591 568,860 498,300 COMPANY VALUE *,e OCI NV Randstad Holdings NV Royal Dutch Shell plc (A Shares) Royal Dutch Shell plc (B Shares) Royal KPN NV Wolters Kluwer NV TOTAL NETHERLANDS $ 852,834 2,936,663 63,092,463 57,842,846 6,474,525 7,311,179 290,310,001 Auckland International Airport Ltd Contact Energy Ltd Fletcher Building Ltd * Meridian Energy Ltd Mighty River Power Ltd Ryman Healthcare Ltd Telecom Corp of New Zealand Ltd TOTAL NEW ZEALAND 2,945,742 1,651,095 2,753,214 1,491,211 901,274 1,558,326 3,046,229 14,347,091 DNB NOR Holding ASA Gjensidige Forsikring BA Norsk Hydro ASA Orkla ASA PAN Fish ASA Schibsted ASA Schibsted ASA (B Shares) * Statoil ASA Telenor ASA Yara International ASA TOTAL NORWAY 6,249,742 1,915,039 3,345,758 4,333,236 3,947,794 1,388,720 1,548,308 10,283,363 7,267,859 3,360,505 43,640,324 Energias de Portugal S.A. Galp Energia SGPS S.A. Jeronimo Martins SGPS S.A. TOTAL PORTUGAL 4,604,757 3,718,593 2,464,805 10,788,155 Ascendas REIT CapitaCommercial Trust CapitaLand Ltd CapitaMall Trust City Developments Ltd ComfortDelgro Corp Ltd DBS Group Holdings Ltd Genting Singapore plc Global Logistic Properties Golden Agri-Resources Ltd Jardine Cycle & Carriage Ltd Keppel Corp Ltd Oversea-Chinese Banking Corp SembCorp Industries Ltd e SembCorp Marine Ltd 2,358,726 1,339,057 3,503,333 2,262,688 1,541,970 2,638,116 11,784,350 2,014,866 2,214,842 1,023,657 1,648,468 3,290,262 11,704,996 1,188,954 531,707 305 TIAA-CREF FUNDS - International Equity Index Fund COMPANY SHARES 315,133 466,200 936,400 865,400 4,622,703 363,500 1,464,100 749,758 277,223 1,099,800 Singapore Airlines Ltd Singapore Exchange Ltd e Singapore Press Holdings Ltd Singapore Technologies Engineering Ltd Singapore Telecommunications Ltd StarHub Ltd Suntec Real Estate Investment Trust United Overseas Bank Ltd UOL Group Ltd Wilmar International Ltd TOTAL SINGAPORE SOUTH AFRICA - 0.1% 216,118 350,974 213,501 SPAIN - 2.9% 373,583 113,252 39,062 254,565 3,777,148 3,102,693 1,973,925 8,380,026 2,640,893 393,660 1,544,911 631,506 358,055 129,435 184,218 277,819 199,688 172,207 13,844 3,158,083 636,184 250,739 643,615 2,598,534 118,535 SWEDEN - 2.7% 170,336 580,698 389,523 225,352 157,834 138,385 VALUE $ Al Noor Hospitals Group plc Investec plc Mondi plc TOTAL SOUTH AFRICA g e e e *,m 2,583,070 2,632,241 2,650,676 2,133,191 14,496,265 1,064,642 1,832,284 10,287,671 1,196,088 2,551,615 90,473,735 3,068,343 2,089,087 4,320,662 9,478,092 Abertis Infraestructuras S.A. (Continuous) ACS Actividades Construccion y Servicios S.A. Aena S.A. Amadeus IT Holding S.A. Banco Bilbao Vizcaya Argentaria S.A. Banco de Sabadell S.A. Banco Popular Espanol S.A. Banco Santander S.A. Bankia S.A. Bankinter S.A. CaixaBank S.A. Corp Mapfre S.A. Distribuidora Internacional de Alimentacion S.A. Enagas Endesa S.A. Ferrovial S.A. Gas Natural SDG S.A. Grifols S.A. Iberdrola S.A. Iberdrola S.A. Industria De Diseno Textil S.A. Red Electrica Corp S.A. Repsol YPF S.A. Telefonica S.A. Zardoya Otis S.A. TOTAL SPAIN 5,876,930 3,247,548 5,634,363 11,952,008 22,050,794 4,242,857 2,764,802 35,575,607 2,026,680 2,745,906 3,879,246 1,545,522 2,233,138 3,946,068 3,869,902 5,750,389 4,130,488 3,775,030 95,123 21,698,968 22,001,622 5,743,122 8,152,417 25,452,135 1,163,405 209,554,070 Alfa Laval AB Assa Abloy AB Atlas Copco AB (A Shares) Atlas Copco AB (B Shares) Boliden AB Electrolux AB (Series B) 2,684,611 12,739,385 10,934,556 5,762,409 3,473,942 3,749,159 306 TIAA-CREF FUNDS - International Equity Index Fund SHARES 1,768,374 113,945 551,315 149,818 243,571 47,518 95,220 134,347 264,801 110,140 1,763,142 614,771 181,741 881,253 194,260 229,560 354,878 868,426 525,762 113,951 188,393 1,538,354 894,917 SWITZERLAND - 9.3% 1,139,013 59,531 95,331 51,402 30,518 1,282 302,477 104,682 1,106,705 26,311 5,195 2,227 21,778 5,341 7,103,213 263,733 128,970 31,333 560 59 30,502 1,850,774 1,320,522 21,818 10,070 30,445 407,743 COMPANY VALUE Ericsson (LM) (B Shares) Getinge AB (B Shares) Hennes & Mauritz AB (B Shares) Hexagon AB (B Shares) Husqvarna AB (B Shares) e ICA Gruppen AB Industrivarden AB Investment AB Kinnevik (B Shares) Investor AB (B Shares) * Lundin Petroleum AB Nordea Bank AB Sandvik AB Securitas AB (B Shares) Skandinaviska Enskilda Banken AB (Class A) Skanska AB (B Shares) SKF AB (B Shares) Svenska Cellulosa AB (B Shares) Svenska Handelsbanken AB Swedbank AB (A Shares) Swedish Match AB Tele2 AB TeliaSonera AB Volvo AB (B Shares) TOTAL SWEDEN $ ABB Ltd Actelion Ltd Adecco S.A. Aryzta AG. Baloise Holding AG. Barry Callebaut AG. Cie Financiere Richemont S.A. Coca-Cola HBC AG. Credit Suisse Group * Dufry Group EMS-Chemie Holding AG. Galenica AG. Geberit AG. Givaudan S.A. Glencore Xstrata plc Holcim Ltd Julius Baer Group Ltd Kuehne & Nagel International AG. Lindt & Spruengli AG. Lindt & Spruengli AG. (Registered) Lonza Group AG. Nestle S.A. Novartis AG. Pargesa Holding S.A. Partners Group Phonak Holding AG. Roche Holding AG. 13,187,442 2,309,556 16,648,631 5,909,687 2,090,686 1,589,869 1,602,054 3,426,311 9,120,246 1,825,858 15,709,006 6,587,114 2,990,346 7,726,889 4,129,666 3,636,977 10,550,053 10,441,109 11,038,183 4,156,911 1,591,625 7,019,761 9,535,950 192,167,992 24,195,007 10,544,825 5,232,334 1,931,122 3,434,991 1,675,563 18,388,174 2,164,235 12,726,797 3,027,648 2,842,581 2,870,273 8,398,859 10,969,032 17,531,573 12,540,741 5,288,288 4,394,957 3,292,779 4,168,412 5,744,146 148,307,285 109,528,239 1,519,358 4,605,666 4,167,931 104,083,722 307 TIAA-CREF FUNDS - International Equity Index Fund SHARES 25,217 12,050 3,161 1,240 374,102 17,741 28,453 19,325 42,257 193,068 14,819 53,921 2,123,191 146,843 87,213 UNITED KINGDOM - 17.1% 555,860 542,054 122,023 147,683 816,091 817,366 290,034 208,523 733,768 582,130 g 2,345,412 143,634 1,833,423 9,755,541 583,767 75,733 10,730,828 1,082,145 566,484 4,911,343 194,519 258,552 382,344 3,222,845 594,101 1,277,720 125,936 * 954,092 76,149 50,735 1,460,462 785,383 91,980 524,686 e 988,052 COMPANY VALUE Schindler Holding AG. Schindler Holding AG. (Registered) SGS S.A. Sika AG. STMicroelectronics NV Swatch Group AG. Swatch Group AG. (Registered) Swiss Life Holding Swiss Prime Site AG. Swiss Re Ltd Swisscom AG. Syngenta AG. UBS AG. Wolseley plc Zurich Financial Services AG. TOTAL SWITZERLAND $ 3i Group plc Aberdeen Asset Management plc Admiral Group plc Aggreko plc Anglo American plc (London) ARM Holdings plc Ashtead Group plc Associated British Foods plc AstraZeneca plc Auto Trader Group plc Aviva plc Babcock International Group BAE Systems plc Barclays plc Barratt Developments plc Berkeley Group Holdings plc BP plc British American Tobacco plc British Land Co plc BT Group plc Bunzl plc Burberry Group plc Capita Group plc Centrica plc CNH Industrial NV Cobham plc Coca-Cola European Partners plc Compass Group plc Croda International plc DCC plc Diageo plc Direct Line Insurance Group plc easyJet plc Fiat DaimlerChrysler Automobiles NV GKN plc 4,835,010 2,326,854 6,992,899 5,809,077 2,735,577 4,645,372 1,452,493 4,408,218 3,880,993 16,184,216 7,290,193 21,206,332 29,187,742 8,187,726 20,939,225 673,656,465 4,540,171 2,283,072 3,492,526 2,514,393 8,937,955 18,195,677 4,590,456 7,422,810 49,124,429 2,856,942 12,077,785 1,842,176 12,945,027 19,891,155 3,380,302 2,686,308 60,711,241 69,067,694 5,027,471 26,832,797 6,086,051 4,511,296 4,854,855 10,279,386 4,242,727 2,896,853 4,751,178 18,125,651 3,348,575 4,527,600 41,851,967 3,634,032 1,265,177 3,384,798 3,781,763 308 TIAA-CREF FUNDS - International Equity Index Fund COMPANY SHARES 2,826,985 931,466 443,310 149,493 11,427,294 313,244 164,277 556,692 265,924 108,471 472,150 93,661 536,496 2,113,780 771,551 112,262 1,323,608 457,769 3,451,853 37,294,555 181,812 948,922 454,197 407,906 2,176,568 568,582 83,023 2,868,287 479,244 179,451 149,829 85,326 1,492,183 368,421 571,973 643,733 246,405 717,965 1,066,716 2,022,144 523,473 585,678 564,679 625,103 76,623 584,037 444,528 134,789 521,085 597,349 519,847 229,071 304,283 e g * e VALUE GlaxoSmithKline plc Group 4 Securicor plc Hammerson plc Hargreaves Lansdown plc HSBC Holdings plc ICAP plc IMI plc Imperial Tobacco Group plc Inmarsat plc InterContinental Hotels Group plc International Consolidated Airlines Group S.A. Intertek Group plc Intu Properties plc ITV plc J Sainsbury plc Johnson Matthey plc Kingfisher plc Land Securities Group plc Legal & General Group plc Lloyds TSB Group plc London Stock Exchange Group plc Marks & Spencer Group plc Meggitt plc Merlin Entertainments plc National Grid plc New Carphone Warehouse plc Next plc Old Mutual plc Pearson plc Persimmon plc Petrofac Ltd Provident Financial plc Prudential plc Reckitt Benckiser Group plc Reed Elsevier NV Reed Elsevier plc Rio Tinto Ltd Rio Tinto plc Rolls-Royce Group plc Royal Bank of Scotland Group plc Royal Mail plc RSA Insurance Group plc SABMiller plc Sage Group plc Schroders plc Scottish & Southern Energy plc Segro plc Severn Trent plc Shire Ltd Sky plc Smith & Nephew plc Smiths Group plc St. James’s Place plc $ 309 63,135,108 2,295,084 3,272,450 2,569,345 74,902,395 1,839,878 2,330,793 29,335,972 2,749,549 4,336,724 2,546,269 4,493,522 2,127,386 5,480,885 2,289,614 4,865,109 5,877,714 6,626,866 9,390,307 26,231,078 6,690,219 4,011,983 2,630,676 2,551,873 31,209,423 2,629,146 5,519,789 7,981,784 5,599,172 4,006,703 1,481,452 3,059,894 26,304,888 35,722,126 10,306,604 12,223,709 9,403,115 23,299,550 11,161,689 5,146,821 3,529,858 3,851,349 32,994,251 5,894,346 2,655,645 11,723,427 2,604,654 4,367,461 33,663,353 7,274,745 8,550,989 3,828,995 3,723,942 TIAA-CREF FUNDS - International Equity Index Fund SHARES 1,902,800 1,143,560 267,576 1,900,939 4,725,964 141,169 945,519 744,541 393,906 15,417,535 125,555 105,892 510,205 1,289,811 812,754 752,219 COMPANY VALUE Standard Chartered plc Standard Life plc Tate & Lyle plc Taylor Wimpey plc * Tesco plc Travis Perkins plc Unilever NV Unilever plc United Utilities Group plc Vodafone Group plc Weir Group plc Whitbread plc William Hill plc e WM Morrison Supermarkets plc *,g Worldpay Group plc WPP plc TOTAL UNITED KINGDOM $ UNITED STATES - 1.4% 110,113 Carnival plc 1,429,993 d iShares MSCI EAFE Index Fund 101,865 *,e Mobileye NV 129,016 * Qiagen NV *,e Taro Pharmaceutical Industries Ltd 8,700 TOTAL UNITED STATES 5,296,475 82,968,194 4,880,352 3,386,781 1,217,653 97,749,455 TOTAL COMMON STOCKS (Cost $6,930,593,917) 7,194,535,831 RIGHTS / WARRANTS - 0.0% AUSTRALIA - 0.0% m BGP Holdings plc 989,098 TOTAL AUSTRALIA SPAIN - 0.0% 118,535 15,215,016 4,578,304 2,560,637 3,889,876 9,744,092 2,912,891 43,800,553 34,831,890 5,299,253 46,836,638 2,432,716 5,407,330 2,158,160 3,169,689 3,152,737 16,877,932 1,231,129,689 0 0 Zardoya Otis S.A. TOTAL SPAIN 47,708 47,708 TOTAL RIGHTS / WARRANTS (Cost $59,058) 47,708 310 TIAA-CREF FUNDS - International Equity Index Fund ISSUER PRINCIPAL SHORT-TERM INVESTMENTS - 1.2% TREASURY DEBT - 0.1% d United States Treasury Bill $ 4,300,000 TOTAL TREASURY DEBT RATE 0.245% MATURITY DATE 08/25/16 VALUE $ COMPANY SHARES INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 1.1% 81,153,581 c TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES 4,299,459 4,299,459 81,153,581 81,153,581 TOTAL SHORT-TERM INVESTMENTS (Cost $85,452,878) 85,453,040 TOTAL INVESTMENTS - 100.9% (Cost $7,016,105,853) OTHER ASSETS & LIABILITIES, NET - (0.9)% NET ASSETS - 100.0% 7,280,036,579 $ (62,914,046) 7,217,122,533 Abbreviation(s): ADR American Depositary Receipt REIT Real Estate Investment Trust * c d e g Non-income producing Investments made with cash collateral received from securities on loan. All or a portion of these securities have been segregated to cover margin requirements on open futures contracts. All or a portion of these securities are out on loan. The aggregate value of securities on loan is $78,101,557. Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 7/31/16, the aggregate value of these securities was $25,088,728 or 0.3% of net assets. m Indicates a security that has been deemed illiquid. 311 TIAA-CREF FUNDS - International Equity Index Fund TIAA-CREF FUNDS INTERNATIONAL EQUITY INDEX FUND SUMMARY OF MARKET VALUES BY SECTOR (unaudited) July 31, 2016 SECTOR FINANCIALS INDUSTRIALS CONSUMER STAPLES CONSUMER DISCRETIONARY HEALTH CARE MATERIALS INFORMATION TECHNOLOGY TELECOMMUNICATION SERVICES ENERGY UTILITIES SHORT - TERM INVESTMENTS OTHER ASSETS & LIABILITIES, NET $ NET ASSETS $ 312 VALUE 1,696,595,121 953,951,267 914,020,359 894,826,667 867,385,734 501,526,897 398,278,042 350,993,102 344,342,580 272,663,770 85,453,040 (62,914,046) 7,217,122,533 % OF NET ASSETS 23.5% 13.2 12.7 12.4 12.0 6.9 5.5 4.9 4.8 3.8 1.2 (0.9) 100.0% TIAA-CREF FUNDS - Emerging Markets Debt Fund TIAA-CREF FUNDS EMERGING MARKETS DEBT FUND SCHEDULE OF INVESTMENTS (unaudited) July 31, 2016 ISSUER PRINCIPAL RATE MATURITY DATE VALUE BONDS - 96.6% CORPORATE BONDS - 41.0% ARGENTINA - 1.7% $ 1,500,000 1,200,000 1,200,000 g Arcor SAIC g,i YPF S.A. g YPF S.A. TOTAL ARGENTINA 6.000% 31.354 8.500 07/06/23 07/07/20 03/23/21 4.750 6.950 03/13/23 03/18/30 658,936 1,764,430 2,423,366 Caixa Economica Federal GTL Trade Finance, Inc Marfrig Holdings Europe BV Odebrecht Finance Ltd Odebrecht Offshore Drilling Finance Ltd Odebrecht Offshore Drilling Finance Ltd Oi S.A. Oi S.A. Petrobras Global Finance BV Petrobras Global Finance BV Petrobras International Finance Co g Samarco Mineracao S.A. TOTAL BRAZIL 7.250 5.893 8.000 4.375 6.625 6.750 9.750 5.750 4.875 8.375 5.750 5.375 07/23/24 04/29/24 06/08/23 04/25/25 10/01/22 10/01/22 09/15/16 02/10/22 03/17/20 05/23/21 01/20/20 09/26/24 454,375 985,687 1,232,640 640,000 28,365 50,656 120,852 231,000 608,819 1,374,425 1,122,863 426,250 7,275,932 g Corp Nacional del Cobre de Chile-CODELCO g Empresa Electrica Angamos S.A. g ENTEL Chile S.A. TOTAL CHILE 4.500 4.875 4.750 09/16/25 05/25/29 08/01/26 1,180,472 1,331,111 1,021,546 3,533,129 g Golden Eagle Retail Group Ltd g Semiconductor Manufacturing International Corp TOTAL CHINA 4.625 4.125 05/21/23 10/07/19 934,500 1,139,206 2,073,706 g Banco de Bogota S.A. Ecopetrol S.A. g GrupoSura Finance S.A. g Pacific Rubiales Energy Corp 6.250 5.375 5.500 5.375 05/12/26 06/26/26 04/29/26 01/26/19 1,266,000 1,085,920 1,939,500 49,500 AZERBAIJAN - 1.0% 700,000 1,700,000 State Oil Co of the Azerbaijan Republic State Oil Co of the Azerbaijan Republic TOTAL AZERBAIJAN $ 1,567,170 1,305,000 1,287,000 4,159,170 BRAZIL - 2.9% BRL $ 500,000 1,050,000 1,200,000 2,000,000 177,280 316,601 2,305,000 1,100,000 625,000 1,300,000 1,125,000 1,100,000 g,i g g g g g g g,q CHILE - 1.4% 1,100,000 1,300,000 1,000,000 CHINA - 0.8% 1,050,000 1,100,000 COLOMBIA - 1.8% 1,200,000 1,100,000 1,800,000 300,000 313 TIAA-CREF FUNDS - Emerging Markets Debt Fund ISSUER PRINCIPAL $ 1,100,000 COSTA RICA - 0.8% 1,800,000 CROATIA - 0.4% 1,000,000 RATE MATURITY DATE VALUE g Pacific Rubiales Energy Corp TOTAL COLOMBIA 5.625% 01/19/25 g Banco Nacional de Costa Rica TOTAL COSTA RICA 5.875 04/25/21 1,878,750 1,878,750 g Hrvatska Elektroprivreda TOTAL CROATIA 5.875 10/23/22 1,070,224 1,070,224 Adani Transmission Ltd Bharti Airtel International Netherlands BV Bharti Airtel Ltd Export-Import Bank of India ICICI Bank Ltd Reliance Holdings USA TOTAL INDIA 4.000 5.125 4.375 3.375 4.000 5.400 08/03/26 03/11/23 06/10/25 08/05/26 03/18/26 02/14/22 1,293,135 1,091,648 529,691 1,605,432 1,133,503 1,129,284 6,782,693 Golden Legacy Pte Ltd Indo Energy Finance II BV Pelabuhan Indonesia II PT Pertamina Persero PT Pertamina Persero PT Perusahaan Listrik Negara PT Perusahaan Listrik Negara PT TOTAL INDONESIA 8.250 6.375 4.250 4.300 6.500 5.500 5.250 06/07/21 01/24/23 05/05/25 05/20/23 05/27/41 11/22/21 10/24/42 2,329,241 1,368,853 1,013,750 1,161,782 1,141,884 1,186,198 1,208,124 9,409,832 g Digicel Group Ltd TOTAL JAMAICA 7.125 04/01/22 1,154,580 1,154,580 g Kazakhstan Temir Zholy Finance BV g Tengizchevroil Finance Co International Ltd TOTAL KAZAKHSTAN 6.950 4.000 07/10/42 08/15/26 1,780,750 1,420,523 3,201,273 g Millicom International Cellular S.A. TOTAL LUXEMBOURG 6.000 03/15/25 1,186,311 1,186,311 4.400 03/09/23 861,461 861,461 6.450 4.375 12/05/22 10/14/25 1,303,719 1,060,000 $ 176,000 4,516,920 INDIA - 2.7% 1,300,000 1,000,000 500,000 1,600,000 1,100,000 1,000,000 g g g g,h g g INDONESIA - 3.8% 2,200,000 2,100,000 1,000,000 1,130,000 1,000,000 1,075,000 1,200,000 g g g g g g g JAMAICA - 0.5% 1,400,000 KAZAKHSTAN - 1.3% 1,700,000 1,425,000 LUXEMBOURG - 0.5% 1,150,000 MALAYSIA - 0.4% 1,000,000 MEXICO - 6.4% MXN 25,450,000 $ 1,000,000 1MDB Global Investments Ltd TOTAL MALAYSIA America Movil SAB de C.V. g Banco Nacional de Comercio Exterior SNC 314 TIAA-CREF FUNDS - Emerging Markets Debt Fund ISSUER PRINCIPAL $ 1,150,000 1,300,000 1,800,000 1,200,000 975,000 750,000 1,150,000 1,200,000 650,000 1,200,000 1,200,000 VALUE 09/30/22 11/12/29 04/16/26 01/15/24 01/31/46 06/15/35 01/30/23 08/04/26 06/17/31 11/07/21 01/30/26 g OCP S.A. g OCP S.A. TOTAL MOROCCO 4.500 6.875 10/22/25 04/25/44 1,106,182 1,331,806 2,437,988 g Aeropuerto Internacional de Tocumen S.A. TOTAL PANAMA 5.625 05/18/36 1,342,250 1,342,250 1,250,000 1,000,000 1,300,000 1,750,000 g g g g Banco de Credito del Peru Corp Lindley S.A. Kallpa Generacion S.A. Union Andina de Cementos SAA TOTAL PERU 4.250 4.625 4.875 5.875 04/01/23 04/12/23 05/24/26 10/30/21 1,347,000 1,037,500 1,365,000 1,824,375 5,573,875 RUSSIA - 2.2% 1,800,000 1,000,000 1,250,000 1,100,000 g g g g GTH Finance BV LUKOIL International Finance BV Novolipetsk Steel via Steel Funding Ltd Sberbank of Russia Via SB Capital S.A. TOTAL RUSSIA 7.250 4.563 4.500 6.125 04/26/23 04/24/23 06/15/23 02/07/22 1,890,000 1,012,500 1,235,937 1,198,890 5,337,327 SOUTH AFRICA - 2.3% 1,200,000 1,100,000 1,150,000 2,300,000 g g g g Eskom Holdings SOC Ltd Eskom Holdings SOC Ltd Gold Fields Orogen Holding BVI Ltd Transnet SOC Ltd TOTAL SOUTH AFRICA 5.750 7.125 4.875 4.000 01/26/21 02/11/25 10/07/20 07/26/22 1,191,240 1,122,176 1,161,500 2,242,776 5,717,692 5.150 09/10/19 1,801,044 1,801,044 4.950 03/01/19 1,294,768 1,294,768 PANAMA - 0.5% 1,300,000 g g g g BBVA Bancomer S.A. BBVA Bancomer S.A. Cemex SAB de C.V. Comision Federal de Electricidad Grupo Televisa SAB Pemex Project Funding Master Trust Petroleos Mexicanos Petroleos Mexicanos Poinsettia Finance Ltd Sixsigma Networks Mexico S.A. de C.V. Trust F/1401 TOTAL MEXICO MATURITY DATE 6.750% 5.350 7.750 4.875 6.125 6.625 3.500 6.875 6.625 8.250 5.250 MOROCCO - 1.0% 1,100,000 1,200,000 g g,i g g RATE $ 1,310,425 1,326,000 1,998,000 1,284,000 1,133,886 775,463 1,089,625 1,347,000 662,510 1,200,000 1,261,500 15,752,128 PERU - 2.2% SRI LANKA - 0.7% 1,800,000 SUPRANATIONAL - 0.5% IDR 18,100,000,000 g National Savings Bank TOTAL SRI LANKA European Investment Bank TOTAL SUPRANATIONAL 315 TIAA-CREF FUNDS - Emerging Markets Debt Fund ISSUER PRINCIPAL RATE TRINIDAD AND TOBAGO - 0.2% $ 600,000 g Petroleum Co of Trinidad & Tobago Ltd TOTAL TRINIDAD AND TOBAGO TURKEY - 3.6% 1,500,000 1,200,000 1,200,000 1,300,000 1,200,000 1,300,000 1,400,000 UKRAINE - 0.4% 1,100,000 UNITED STATES - 0.5% 1,200,000 VENEZUELA - 0.5% 3,175,000 g g g g g g g MATURITY DATE VALUE 6.000% 05/08/22 5.125 3.375 5.000 5.250 4.875 5.000 5.375 03/31/25 11/01/22 04/03/23 03/15/23 06/19/24 07/13/21 10/06/21 1,451,625 1,079,316 1,167,000 1,322,750 1,185,264 1,251,380 1,380,750 8,838,085 8.250 04/02/20 1,039,500 1,039,500 Plains Exploration & Production Co TOTAL UNITED STATES 6.875 02/15/23 1,161,000 1,161,000 Petroleos de Venezuela S.A. TOTAL VENEZUELA 5.375 04/12/27 1,159,700 1,159,700 Akbank TAS Anadolu Efes Biracilik Ve Malt Sanayii AS. Arcelik AS. KOC Holding AS. Turk Telekomunikasyon AS. Turkiye Halk Bankasi AS. Turkiye Is Bankasi TOTAL TURKEY g MHP S.A. TOTAL UKRAINE TOTAL CORPORATE BONDS (Cost $102,656,122) $ 585,000 585,000 101,567,704 GOVERNMENT BONDS - 55.6% ANGOLA - 1.2% 3,225,000 ARGENTINA - 3.0% 2,725,000 1,000,000 1,200,000 2,000,000 AZERBAIJAN - 0.9% 1,950,000 g Republic of Angola TOTAL ANGOLA 9.500 11/12/25 3,072,457 3,072,457 g Argentine Republic Government International Bond g Provincia de Buenos Aires Provincia de Buenos Aires g Provincia de Mendoza Argentina TOTAL ARGENTINA 6.875 5.750 9.125 8.375 04/22/21 06/15/19 03/16/24 05/19/24 2,932,100 1,025,000 1,323,000 2,070,000 7,350,100 g Southern Gas Corridor CJSC TOTAL AZERBAIJAN 6.875 03/24/26 2,137,200 2,137,200 5.477 5.333 10.000 07/24/23 02/15/28 01/01/21 716,627 1,413,750 2,069,989 BRAZIL - 3.6% BRL 768,501 1,500,000 7,150,000 g Brazil Loan Trust g Brazil Minas SPE via State of Minas Gerais Brazil Notas do Tesouro Nacional Serie F 316 TIAA-CREF FUNDS - Emerging Markets Debt Fund ISSUER PRINCIPAL $ 2,760,000 2,300,000 COLOMBIA - 1.0% 2,050,000 RATE MATURITY DATE VALUE Brazilian Government International Bond Brazilian Government International Bond TOTAL BRAZIL 4.250% 5.000 01/07/25 01/27/45 $ 2,728,260 2,102,200 9,030,826 Colombia Government International Bond TOTAL COLOMBIA 6.125 01/18/41 2,352,375 2,352,375 COSTA RICA - 1.1% 2,500,000 g Costa Rica Government International Bond TOTAL COSTA RICA 7.158 03/12/45 2,668,750 2,668,750 COTE D’IVOIRE - 0.4% 940,500 g Ivory Coast Government International Bond (Step Bond) TOTAL COTE D’IVOIRE 5.750 12/31/32 898,366 898,366 CROATIA - 1.2% 750,000 1,915,000 g g Croatia Government International Bond Croatia Government International Bond TOTAL CROATIA 6.750 6.375 11/05/19 03/24/21 821,603 2,110,330 2,931,933 10.000 16.000 6.875 7.450 02/24/17 02/10/17 01/29/26 04/30/44 327,114 1,459,600 1,403,125 1,778,400 4,968,239 10.500 03/24/20 2,203,300 2,203,300 DOMINICAN REPUBLIC - 2.0% DOP 15,000,000 g Dominican Republic Central Bank Notes 65,000,000 g Dominican Republic International Bond $ 1,250,000 g Dominican Republic International Bond 1,560,000 g Dominican Republic International Bond TOTAL DOMINICAN REPUBLIC ECUADOR - 0.9% 2,200,000 g Ecuador Government International Bond TOTAL ECUADOR EGYPT - 0.7% 1,975,000 g Egypt Government International Bond TOTAL EGYPT 5.875 06/11/25 1,837,145 1,837,145 EL SALVADOR - 0.8% 2,000,000 g El Salvador Government International Bond TOTAL EL SALVADOR 7.650 06/15/35 2,080,000 2,080,000 g,i Citigroup Global Markets Holdings, Inc g Republic of Ghana TOTAL GHANA 0.000 8.125 06/28/21 01/18/26 757,018 1,904,364 2,661,382 g 4.750 04/17/19 963,619 963,619 GHANA - 1.1% GHS 2,965,000 $ 2,200,000 GREECE - 0.4% EUR 958,000 Hellenic Republic Government International Bond TOTAL GREECE 317 TIAA-CREF FUNDS - Emerging Markets Debt Fund PRINCIPAL GUATEMALA - 1.3% $ 1,775,000 1,325,000 HUNGARY - 1.4% 3,000,000 INDONESIA - 2.2% 2,355,000 1,000,000 IDR 1,300,000,000 $ 1,600,000 JAMAICA - 1.2% 1,000,000 1,675,000 KAZAKHSTAN - 0.6% 1,250,000 KENYA - 0.6% 1,500,000 MALAYSIA - 0.5% MYR 4,450,000 MEXICO - 0.7% MXN 32,540,000 MOROCCO - 0.8% $ 1,800,000 NAMIBIA - 0.9% 2,225,000 NIGERIA - 0.3% 750,000 PAKISTAN - 0.5% 1,100,000 ISSUER RATE g Guatemala Government International Bond g Guatemala Government International Bond TOTAL GUATEMALA MATURITY DATE VALUE 4.500% 4.875 05/03/26 02/13/28 5.750 11/22/23 3,452,250 3,452,250 g Indonesia Government International Bond g Indonesia Government International Bond Indonesia Treasury Bond g Republic of Indonesia TOTAL INDONESIA 3.375 5.950 8.375 5.250 04/15/23 01/08/46 09/15/26 01/17/42 2,400,654 1,247,224 109,669 1,815,195 5,572,742 Jamaica Government International Bond Jamaica Government International Bond TOTAL JAMAICA 6.750 7.875 04/28/28 07/28/45 1,092,500 1,896,937 2,989,437 g Kazakhstan Government International Bond TOTAL KAZAKHSTAN 6.500 07/21/45 1,475,000 1,475,000 g Kenya Government International Bond TOTAL KENYA 6.875 06/24/24 1,422,750 1,422,750 Malaysia Government International Bond TOTAL MALAYSIA 3.955 09/15/25 1,117,523 1,117,523 Mexican Bonos TOTAL MEXICO 6.500 06/09/22 1,802,190 1,802,190 g Morocco Government International Bond TOTAL MOROCCO 5.500 12/11/42 2,056,500 2,056,500 g Namibia Government International Bonds TOTAL NAMIBIA 5.250 10/29/25 2,322,789 2,322,789 g Nigeria Government International Bond TOTAL NIGERIA 6.375 07/12/23 730,688 730,688 g Pakistan Government International Bond TOTAL PAKISTAN 7.250 04/15/19 1,176,417 1,176,417 Hungary Government International Bond TOTAL HUNGARY 318 $ 1,872,625 1,450,875 3,323,500 TIAA-CREF FUNDS - Emerging Markets Debt Fund PRINCIPAL PANAMA - 1.5% $ 1,800,000 1,400,000 PARAGUAY - 1.6% 725,000 2,750,000 ISSUER RATE Panama Government International Bond Panama Government International Bond TOTAL PANAMA MATURITY DATE VALUE 3.875% 6.700 03/17/28 01/26/36 $ 1,935,000 1,895,250 3,830,250 g Paraguay Government International Bond g Republic of Paraguay TOTAL PARAGUAY 5.000 6.100 04/15/26 08/11/44 775,750 3,073,125 3,848,875 Peruvian Government International Bond g Peruvian Government International Bond l Peruvian Government International Bond TOTAL PERU 4.125 6.950 5.625 08/25/27 08/12/31 11/18/50 2,414,250 1,766,947 3,168,750 7,349,947 6.250 3.700 01/14/36 03/01/41 1,781,900 1,149,547 2,931,447 7.000 4.875 5.625 08/16/23 09/16/23 04/04/42 2,004,480 2,999,744 1,756,000 6,760,224 4.875 02/25/20 3,348,879 3,348,879 8.000 5.875 4.875 6.250 12/21/18 09/16/25 04/14/26 03/08/41 1,158,489 2,155,930 1,003,200 735,282 5,052,901 6.850 6.825 11/03/25 07/18/26 1,948,102 1,302,068 3,250,170 4.500 08/04/26 1,756,060 1,756,060 PERU - 3.0% PEN $ 2,175,000 5,425,000 2,500,000 PHILIPPINES - 1.2% PHP 72,000,000 $ 1,000,000 RUSSIA - 2.7% RUB 142,500,000 $ 2,770,000 1,600,000 SERBIA - 1.4% 3,225,000 SOUTH AFRICA - 2.0% ZAR 16,000,000 $ 1,900,000 950,000 615,000 SRI LANKA - 1.3% 1,850,000 1,250,000 Philippine Government International Bond Philippine Government International Bond TOTAL PHILIPPINES Russian Federal Bond - OFZ g Russian Foreign Bond - Eurobond g Russian Foreign Bond - Eurobond TOTAL RUSSIA g,p Republic of Serbia TOTAL SERBIA South Africa Government International Bond South Africa Government International Bond South Africa Government International Bond South Africa Government International Bond TOTAL SOUTH AFRICA g Sri Lanka Government International Bond g Sri Lanka Government International Bond TOTAL SRI LANKA TRINIDAD AND TOBAGO - 0.7% 1,725,000 g Trinidad & Tobago Government International Bond TOTAL TRINIDAD AND TOBAGO 319 TIAA-CREF FUNDS - Emerging Markets Debt Fund ISSUER PRINCIPAL TUNISIA - 0.7% $ 1,725,000 g Banque Centrale de Tunisie S.A. TOTAL TUNISIA URUGUAY - 2.0% 1,325,000 3,450,000 VENEZUELA - 1.2% 4,030,000 1,400,000 900,000 VIETNAM - 0.6% 1,325,000 ZAMBIA - 1.0% 1,850,000 1,250,000 MATURITY DATE VALUE 5.750% 01/30/25 Republic of Turkey Turkey Government International Bond Turkey Government International Bond Turkey Government International Bond Turkey Government International Bond Turkey Government International Bond Turkey Government International Bond TOTAL TURKEY 6.000 8.200 7.500 5.625 5.125 8.000 6.625 01/14/41 11/16/16 11/07/19 03/30/21 03/25/22 02/14/34 02/17/45 853,352 1,044,617 586,042 1,446,020 1,249,368 922,403 2,023,875 8,125,677 Ukraine Government International Bond Ukraine Government International Bond Ukraine Government International Bond Ukraine Government International Bond TOTAL UKRAINE 7.750 7.750 7.750 0.000 09/01/19 09/01/20 09/01/27 05/31/40 2,308,028 1,059,090 1,780,995 175,604 5,323,717 Uruguay Government International Bond Uruguay Government International Bond TOTAL URUGUAY 4.375 5.100 10/27/27 06/18/50 1,406,156 3,493,125 4,899,281 7.750 11.750 9.250 10/13/19 10/21/26 05/07/28 1,929,362 677,250 398,250 3,004,862 g Vietnam Government International Bond TOTAL VIETNAM 4.800 11/19/24 1,415,186 1,415,186 g Republic of Zambia g Zambia Government International Bond TOTAL ZAMBIA 5.375 8.970 09/20/22 07/30/27 1,462,425 1,096,875 2,559,300 TURKEY - 3.3% 800,000 TRY 3,117,500 $ 525,000 1,360,000 1,200,000 710,000 1,750,000 UKRAINE - 2.1% 2,325,000 1,075,000 1,850,000 520,000 RATE g g g g,i,j Venezuela Government International Bond Venezuela Government International Bond Venezuela Government International Bond TOTAL VENEZUELA $ 1,634,438 1,634,438 TOTAL GOVERNMENT BONDS (Cost $132,895,679) 137,688,692 TOTAL BONDS (Cost $235,551,801) 239,256,396 320 TIAA-CREF FUNDS - Emerging Markets Debt Fund PRINCIPAL ISSUER RATE SHORT-TERM INVESTMENTS - 0.9% UNITED STATES - 0.9% $ 2,250,000 Federal Home Loan Bank (FHLB) TOTAL UNITED STATES 0.150% MATURITY DATE 08/01/16 VALUE $ TOTAL SHORT-TERM INVESTMENTS (Cost $2,250,000) 2,250,000 2,250,000 2,250,000 TOTAL INVESTMENTS - 97.5% (Cost $237,801,801) OTHER ASSETS & LIABILITIES, NET - 2.5% NET ASSETS - 100.0% 241,506,396 $ 6,213,936 247,720,332 Abbreviation(s): BRL Brazilian Real DOP Dominican Peso EUR Euro GHS Ghana Cedi IDR Indonesia Rupiah MXN Mexico Peso MYR Malaysia Ringgit PEN Peru Sol PHP Philippine Peso RUB Russian Ruble TRY Turkish Lira ZAR South African Rand g Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 7/31/16, the aggregate value of these securities was $168,382,590 or 68.0% of net assets. h Delayed delivery i Floating or variable rate security. Coupon rate reflects the rate at period end. j Zero coupon l All or a portion of these securities have been segregated by the custodian to cover collateral requirements swap agreements. p All or a portion of these securities have been segregated to cover requirements on open forward foreign currency contracts. q In default 321 TIAA-CREF FUNDS - Emerging Markets Debt Fund TIAA-CREF FUNDS EMERGING MARKETS DEBT FUND SUMMARY OF MARKET VALUES BY SECTOR (unaudited) July 31, 2016 SECTOR GOVERNMENT FINANCIALS UTILITIES ENERGY MATERIALS INDUSTRIALS TELECOMMUNICATION SERVICES CONSUMER STAPLES INFORMATION TECHNOLOGY CONSUMER DISCRETIONARY SHORT - TERM INVESTMENTS OTHER ASSETS & LIABILITIES, NET $ NET ASSETS $ 322 VALUE 139,563,903 26,531,424 20,689,955 17,929,118 8,852,772 7,901,065 6,638,300 4,388,956 3,525,517 3,235,386 2,250,000 6,213,936 % OF NET ASSETS 56.3% 10.7 8.4 7.2 3.6 3.2 2.7 1.8 1.4 1.3 0.9 2.5 247,720,332 100.0% TIAA-CREF FUNDS - Notes to Schedules of Investments (unaudited) Note 1—organization and significant accounting policies TIAA-CREF Funds (the “Trust”) is a Delaware statutory trust that was organized on April 15, 1999 and is registered with the Securities and Exchange Commission (“Commission”) under the Investment Company Act of 1940, as amended (“1940 Act”), as an open-end management investment company. The following TIAA-CREF Funds are included in this report: Enhanced Large-Cap Growth Index Fund, Enhanced Large-Cap Value Index Fund, Growth & Income Fund, Large-Cap Growth Fund, Large-Cap Value Fund, Mid-Cap Growth Fund, Mid-Cap Value Fund, Small-Cap Equity Fund, Social Choice Equity Fund, Social Choice Low Carbon Equity Fund, Emerging Markets Equity Fund, Enhanced International Equity Index Fund, Global Natural Resources Fund, International Equity Fund, International Opportunities Fund, Social Choice International Equity Fund, Equity Index Fund, Large-Cap Growth Index Fund, Large-Cap Value Index Fund, S&P 500 Index Fund, Small-Cap Blend Index Fund, Emerging Markets Equity Index Fund, International Equity Index Fund and the Emerging Markets Debt Fund (collectively, the “Funds” or individually, the “Fund”). The Funds offer their shares, without a sales load, through their principal underwriter, Teachers Personal Investors Services, Inc. (“TPIS”), which is a wholly owned indirect subsidiary of Teachers Insurance and Annuity Association of America (“TIAA”). Teachers Advisors, Inc. (“Advisors”), a wholly owned indirect subsidiary of TIAA, is registered with the Commission as an investment adviser and provides investment management services for the Funds. The Funds offer up to five share classes, although any one Fund may not necessarily offer all five classes. The Funds may offer Institutional, Advisor, Premier, Retirement and Retail Classes of shares. Each class differs by the allocation of class-specific expenses and voting rights in matters affecting a single class. On December 4, 2015, certain Funds made an additional share class (Advisor) available for sale pursuant to an amendment to the Trust’s registration statement filed with the Commission. The accompanying schedules of investments were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) which may require the use of estimates made by management. Actual results may differ from those estimates. The Funds are investment companies and follow the accounting guidance in the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification 946, Financial Services—Investment Companies. The following is a summary of the significant accounting policies consistently followed by the Funds. Security valuation: The Funds’ investments in securities are recorded at their estimated fair value as described in the valuation of investments note to the schedules of investments. Investment transactions: Security transactions are accounted for as of the trade date for financial reporting purposes. Foreign currency transactions and translation: Assets, including investments, and liabilities denominated in foreign currencies are translated into U.S. dollar values each day using exchange rates obtained from an independent third party. Purchases and sales of securities, income, and expenses are translated into U.S. dollars at the prevailing exchange rate on the date of the transaction. The effect of changes in foreign currency exchange rates on realized and unrealized security gains and losses is reflected as a component of security gains and losses. Transactions with affiliates: The Funds may purchase or sell investment securities in transactions with affiliated entities under procedures adopted by the Board of Trustees (“Board”) pursuant to the 1940 Act. These transactions are effected at market rates without incurring broker commissions. Note 2—valuation of investments Portfolio investments are valued at their estimated fair value utilizing various valuation methods approved by the Board. U.S. GAAP establishes a hierarchy that prioritizes market inputs to valuation methods. The three levels of inputs are: • Level 1 – quoted prices in active markets for identical securities • Level 2 – other significant observable inputs (including quoted prices for similar securities, interest rates, credit spreads, etc.) • Level 3 – significant unobservable inputs (including the Funds’ own assumptions in determining the fair value of investments) The availability of observable inputs can vary from security to security and is affected by a wide variety of factors, including, for example, the type of security, whether the security is new and not yet established in the marketplace, the liquidity of markets, and other characteristics particular to the security. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. 323 TIAA-CREF FUNDS - Notes to Schedules of Investments (unaudited) Certain portfolio investments that are measured at fair value using the net asset value per share practical expedient are not categorized within the fair value hierarchy. As of July 31, 2016, no investments were valued utilizing the practical expedient. A description of the valuation techniques applied to the Funds’ major categories of assets and liabilities measured at fair value follows: Exchange-traded equity securities, common and preferred stock: Equity securities listed or traded on a national market or exchange are valued based on their sale price on such market or exchange at the close of business on the date of valuation, or at the mean of the closing bid and asked prices if no sale is reported. To the extent these securities are actively traded and valuation adjustments are not applied, they are categorized in Level 1 of the fair value hierarchy. Foreign equity securities are valued at the last sale price or official closing price reported on the exchange where traded and converted to U.S. dollars at the prevailing rates of exchange on the date of valuation. For events affecting the value of foreign securities between the time when the exchange on which they are traded closes and the time when the Funds’ net assets are calculated, such securities will be valued at fair value in accordance with procedures adopted by the Board. Foreign securities are generally categorized in Level 2 of the fair value hierarchy. Debt securities: Debt securities, including equity-linked notes, will generally be valued using prices provided by a pricing service that may employ various indications of value including but not limited to broker-dealer quotations. Certain debt securities, other than money market instruments, are valued based on the most recent bid price or the equivalent quoted yield for such securities (or those of comparable maturity, quality and type). Debt securities are generally categorized in Level 2 of the fair value hierarchy; in instances where prices, yields or any other key inputs are unobservable, they are categorized in Level 3 of the hierarchy. Investments in registered investment companies: These investments are valued at their net asset value on the valuation date. These investments are categorized in Level 1 of the fair value hierarchy. Futures contracts: Stock and bond index futures contracts, which are traded on commodity exchanges, are valued at the last sale price as of the close of such commodity exchanges and are categorized in Level 1 of the fair value hierarchy. Options: Purchased and written options listed or traded on a national market or exchange are valued at the last sale price as of the close of such exchange or at the mean of the closing bid and asked prices if no sale is reported. To the extent these securities are actively traded and valuation adjustments are not applied, they are categorized in Level 1 of the fair value hierarchy. Forward foreign currency contracts: Forward foreign currency contracts are valued using the prevailing forward exchange rate and are categorized in Level 2 of the fair value hierarchy. Credit default swap contracts: Credit default swap contracts are marked-to-market daily based upon a price supplied by a pricing service. Credit default swaps are generally categorized as Level 2 in the fair value hierarchy. Total return swap contracts: Total return swap contracts are marked-to-market daily based upon a price supplied by a pricing service. Total return swaps are generally categorized as Level 2 in the fair value hierarchy. Any portfolio security for which market quotations are not readily available or for which the above valuation procedures are deemed not to reflect fair value are valued at fair value, as determined in good faith using procedures approved by the Board. To the extent the inputs are observable and timely, the values would be categorized in Level 2 of the fair value hierarchy; otherwise they would be categorized as Level 3. Transfers between levels are recognized at the end of the reporting period. For the period ended July 31, 2016, there were no material transfers between levels by the Funds. As of July 31, 2016, 100% of the value of investments in the Social Choice Low Carbon Equity Fund was valued based on Level 1 inputs. As of July 31, 2016, 100% of the value of investments in the Emerging Markets Debt Fund was valued based on Level 2 inputs. 324 TIAA-CREF FUNDS - Notes to Schedules of Investments (unaudited) The following table summarizes the market value of the Funds’ investments as of July 31, 2016, based on the inputs used to value them: Fund Enhanced Large-Cap Growth Index Equity investments* Short-term investments Total Enhanced Large-Cap Value Index Equity investments: Consumer discretionary All other equity investments * Short-term investments Written options** Total Growth & Income Equity investments: Consumer discretionary Consumer staples Financials Health care Information technology Materials Utilities All other equity investments* Short-term investments Purchased options** Written options** Total Large-Cap Growth Equity investments: Information technology All other Equity Investments* Short-term investments Total Large-Cap Value Equity investments: Consumer discretionary Financials Industrials Information technology Materials All other equity investments* Short-term investments Total Mid-Cap Growth Equity investments* Short-term investments Purchased options** Written options** Total Level 1 $ $ $ $ $ $ $ $ $ $ $ $ 2,184,111,582 51,150,064 2,235,261,646 115,461,434 2,031,850,908 51,803,514 (237,717) 2,198,878,139 687,293,627 472,048,935 509,708,427 758,104,883 1,171,209,951 129,480,665 123,134,304 933,819,928 89,535,541 908,300 (1,769,750) 4,873,474,811 1,396,835,866 2,292,866,577 2,572,919 3,692,275,362 384,097,340 1,355,159,167 516,172,916 665,864,652 272,700,425 2,570,716,199 67,726,270 5,832,436,969 1,611,637,576 73,456,602 52,500 (1,116,000) 1,684,030,678 325 Level 2 $ $ $ $ $ $ $ $ $ $ $ $ 18,650,000 18,650,000 738,454 6,950,000 7,688,454 52,126,850 30,444,200 18,168,246 61,574,796 17,271,875 11,568,484 10,267,701 6,550,000 207,972,152 3,121,089 48,799,234 51,920,323 52,401,210 8,252,776 11,016,524 399,344 11,800,000 83,869,854 16,350,000 16,350,000 Level 3 $ $ $ $ $ $ $ $ $ $ $ $ Total 7,267 7,267 - $ $ $ $ $ $ $ $ $ $ $ $ 2,184,111,582 69,800,064 2,253,911,646 116,199,888 2,031,850,908 58,753,514 (237,717) 2,206,566,593 739,420,477 502,493,135 527,876,673 819,679,679 1,188,481,826 141,049,149 133,402,005 933,819,928 96,085,541 908,300 (1,769,750) 5,081,446,963 1,399,956,955 2,292,866,577 51,372,153 3,744,195,685 436,498,550 1,363,411,943 516,180,183 676,881,176 273,099,769 2,570,716,199 79,526,270 5,916,314,090 1,611,637,576 89,806,602 52,500 (1,116,000) 1,700,380,678 TIAA-CREF FUNDS - Notes to Schedules of Investments (unaudited) Fund Mid-Cap Value Equity investments: Consumer discretionary Financials Health care Information technology All other equity investments* Short-term investments Total Small-Cap Equity Equity investments* Short-term investments Futures contracts** Total Social Choice Equity Equity investments* Short-term investments Total Emerging Markets Equity Equity investments: Africa/Middle East Asia Europe Latin America All other equity investments* Short-term investments Total Enhanced International Equity Index Equity investments: Asia Australasia Europe All other equity investments * Short-term investments Total Global Natural Resources Equity investments: Africa/Middle East Australasia Europe Latin America North America All other equity investments * Short-term investments Total Level 1 $ $ $ $ $ $ $ $ $ $ $ $ 470,138,879 1,507,464,022 240,572,752 517,660,646 2,496,260,526 157,090,788 5,389,187,613 3,090,494,888 157,678,811 799,534 3,248,973,233 2,775,245,698 52,993,660 2,828,239,358 53,198,083 7,914,737 26,518,161 29,219,827 116,850,808 283,388 26,083,398 8,206,595 28,244,224 62,817,605 124,073,883 4,977,806 4,680,957 133,732,646 326 Level 2 $ $ $ $ $ $ $ $ $ $ $ $ 10,324,153 14,549,548 41,891,138 10,385,094 74,546,735 151,696,668 35,592,333 35,592,333 8,549,149 8,549,149 37,639,929 671,786,421 39,742,434 156,322,223 86,010,891 991,501,898 369,621,930 105,854,796 787,548,456 87,631,213 9,500,000 1,360,156,395 11,550,450 24,030,018 49,041,804 5,318,995 40,488,730 42,550,802 172,980,799 Level 3 $ $ $ $ $ $ $ $ $ $ $ $ Total - 666,688 666,688 - $ $ $ $ $ $ $ $ $ $ $ $ 480,463,032 1,522,013,570 282,463,890 528,045,740 2,496,260,526 231,637,523 5,540,884,281 3,090,494,888 193,271,144 799,534 3,284,565,566 2,775,245,698 61,542,809 2,836,788,507 37,639,929 725,651,192 47,657,171 156,322,223 112,529,052 29,219,827 1,109,019,394 369,905,318 105,854,796 813,631,854 95,837,808 37,744,224 1,422,974,000 11,550,450 24,030,018 49,041,804 5,318,995 164,562,613 47,528,608 4,680,957 306,713,445 TIAA-CREF FUNDS - Notes to Schedules of Investments (unaudited) Fund International Equity Equity investments: Asia Europe All other equity investments * Short-term investments Total International Opportunities Equity investments: Asia Australasia Europe North America All other equity investments * Short-term investments Total Social Choice International Equity Equity investments: Asia Australasia Europe All other equity investments * Total Equity Index Equity investments: Financials Health care Industrials Telecommunication services All other equity investments* Short-term investments Total Large-Cap Growth Index Equity investments* Short-term investments Futures contracts** Total Large-Cap Value Index Equity investments* Short-term investments Futures contracts** Total S&P 500 Index Equity investments* Short-term investments Futures contracts** Total Level 1 $ $ $ $ $ $ $ $ $ $ $ $ $ $ 20,739,967 104,211,217 124,951,184 31,951,669 72,918,041 104,869,710 222,882 222,882 1,972,788,629 1,609,840,462 1,170,133,755 288,211,629 6,164,013,465 301,860,805 11,506,848,745 3,022,874,170 58,773,674 17,028 3,081,664,872 4,492,222,119 60,585,742 36,571 4,552,844,432 3,294,883,128 20,111,846 52,693 3,315,047,667 327 Level 2 $ $ $ $ $ $ $ $ $ $ $ $ $ $ 1,200,428,208 2,968,820,114 162,277,394 10,500,000 4,342,025,716 361,055,109 29,190,519 604,369,795 106,771,773 158,176,932 30,624,781 1,290,188,909 5,943,924 1,712,602 12,186,384 2,348,500 22,191,410 21,900,000 21,900,000 16,600,000 16,600,000 28,950,000 28,950,000 20,200,000 20,200,000 Level 3 $ $ $ $ $ $ $ $ $ $ $ $ $ $ Total - 19,953 19,953 42,403 4,028 71,574 49,856 167,861 - $ $ $ $ $ $ $ $ $ $ $ $ $ $ 1,200,428,208 2,968,820,114 183,017,361 114,711,217 4,466,976,900 361,055,109 29,190,519 604,369,795 138,723,442 158,196,885 103,542,822 1,395,078,572 5,943,924 1,712,602 12,409,266 2,348,500 22,414,292 1,972,831,032 1,609,844,490 1,170,205,329 288,261,485 6,164,013,465 323,760,805 11,528,916,606 3,022,874,170 75,373,674 17,028 3,098,264,872 4,492,222,119 89,535,742 36,571 4,581,794,432 3,294,883,128 40,311,846 52,693 3,335,247,667 TIAA-CREF FUNDS - Notes to Schedules of Investments (unaudited) Fund Small-Cap Blend Index Equity investments: Financials Health Care Industrials Telecommunication services All other equity investments* Short-term investments Futures contracts** Total Emerging Markets Equity Index Equity investments: Africa/Middle East Asia Europe Latin America North America All other equity investments* Short-term investments Total International Equity Index Equity investments: Asia Australasia Europe All other equity investments* Short-term investments Futures contracts** Total Level 1 $ $ $ $ $ $ 472,260,728 251,151,563 253,471,965 16,178,056 827,611,747 239,303,252 606,115 2,060,583,426 71,560,246 3,149,424 60,028,751 5,988,565 41,460,997 182,187,983 1,539,788 14,353,658 99,316,086 81,153,581 31,557 196,394,670 Level 2 $ $ $ $ $ $ 17,575,000 17,575,000 101,790,888 912,546,375 48,455,648 165,264,965 132,438,560 1,950,000 1,362,446,436 1,906,034,750 537,158,579 4,155,347,989 480,832,689 4,299,459 7,083,673,466 Level 3 $ $ $ $ $ $ Total 96,730 15,521 160,444 139,956 412,651 239 653 892 - $ $ $ $ $ $ 472,357,458 251,167,084 253,632,409 16,318,012 827,611,747 256,878,252 606,115 2,078,571,077 101,791,127 984,106,621 51,605,072 165,264,965 60,028,751 138,427,778 43,410,997 1,544,635,311 1,907,574,538 537,158,579 4,169,701,647 580,148,775 85,453,040 31,557 7,280,068,136 * For detailed categories, see the accompanying schedule of investments. ** Derivative instruments, excluding purchased options, are not reflected in the schedule of investments. Note 3—derivative instruments As defined by U.S. GAAP, a derivative is a financial instrument whose value is derived from an underlying security price, foreign exchange rate, interest rate, index of prices or rates, or other variables. Derivatives require little or no initial investment and permit or require net settlement. The Funds value derivatives at fair value. Futures contracts: The Funds are subject to equity price risk in the normal course of pursuing their investment objectives. The Funds use futures contracts to manage exposure to the equity markets and for cash management purposes to remain highly invested in these markets while minimizing transaction costs. Buying futures contracts tends to increase exposure to the underlying instrument/index, while selling futures contracts tends to decrease exposure to the underlying instrument/index or hedge other investments. Initial margin deposits are made upon entering into a futures contract, and variation margin receipts or payments are settled daily reflecting changes in the value of the futures contracts. Daily changes in the value of such contracts are reflected in net unrealized gains and losses. Gains or losses are realized upon the expiration or closing of the futures contracts or if the counterparties do not perform in accordance with contractual provisions. With futures contracts, there is minimal counterparty credit risk to the Funds since futures contracts are exchange-traded and the exchange’s clearinghouse, as counterparty to all exchange-traded funds, guarantees the futures contracts against default. 328 TIAA-CREF FUNDS - Notes to Schedules of Investments (unaudited) At July 31, 2016, the Funds held the following open futures contracts: Fund Small-Cap Equity Large-Cap Growth Index Large-Cap Value Index S&P 500 Index Small-Cap Blend Index International Equity Index Futures Contracts Russell 2000 Mini Index S&P 500 E Mini Index S&P 500 E Mini Index S&P 500 E Mini Index Russell 2000 Mini Index MSCI EAFE Mini Index Number of contracts 211 42 95 192 122 46 Settlement value $ 25,678,700 4,553,220 10,298,950 20,814,720 14,487,400 3,864,460 Unrealized gain (loss) $ 799,534 17,028 36,571 52,693 606,115 31,557 Expiration date September 2016 September 2016 September 2016 September 2016 September 2016 September 2016 Options: Certain Funds are subject to equity price risk in the normal course of pursuing their investment objectives. To manage the risk, the Funds may invest in both equity and index options. The Funds use options contracts for hedging and cash management purposes and to seek to increase total return. Call and put equity options give the holder the right, in return for a premium paid, to purchase or sell, respectively, a security at a specified exercise price at any time during the period of the option. Index options are written or purchased options in which the underlying investment is a specified index. The exercise of an index option will not result in the physical delivery of the underlier, but a cash transfer of the difference between the settlement price of the underlier and the strike price of the option. Purchased options are included in the summary portfolio of investments. Premiums on unexercised, expired options are recorded as realized gains or losses; premiums on exercised options are recorded as an adjustment to the proceeds from the sale or cost of the purchase. The difference between the premium and the amount received or paid in a closing transaction is also treated as a realized gain or loss. Purchased options outstanding as of July 31, 2016 were as follows: Number of contracts Growth & Income Fund Ciena Corp, Call, 9/16/16 at $20 Flextronics International Ltd, Call, 8/19/16 at $13 Hanesbrands, Inc, Call, 8/19/16 at $29 Herbalife Ltd, Call, 8/12/16 at $73 Humana, Inc, Call, 1/20/17 at $200 IMAX Corp, Put, 8/19/16 at $29 Lumentum Holdings, Inc, Call, 8/19/16 at $35 Pandora Media, Inc, Call, 12/16/16 at $13 Total Mid-Cap Growth Fund Proofpoint, Inc, Put, 8/19/16 at $65 Total Value 300 450 600 200 1,000 600 450 300 3,900 $ $ 27,900 5,400 15,000 32,000 750,000 6,000 9,000 63,000 908,300 1,500 1,500 $ $ 52,500 52,500 Written options outstanding as of July 31, 2016 were as follows: Number of Contracts Enhanced Large-Cap Value Index Fund Allegion plc, Put, 8/19/16 at $70 Baker Hughes, Inc, Call, 8/5/16 at $47 Broadcom Ltd, Put, 8/19/16 at $160 Celanese Corp, Put, 8/19/16 at $70 Cigna Corp, Put, 8/19/16 at $135 Concho Resources, Inc, Call, 8/19/16 at $130 Concho Resources, Inc, Put, 8/19/16 at $110 Continental Resources, Inc, Call, 8/19/16 at $46 Continental Resources, Inc, Put, 8/19/16 at $39 Continental Resources, Inc, Put, 8/19/16 at $42 Cullen/Frost Bankers, Inc, Put, 8/19/16 at $65 Cypress Semiconductor Corp, Put, 8/19/16 at $11 20 20 10 25 10 22 32 50 47 44 15 50 329 Value $ (1,200) (1,840) (1,290) (16,375) (6,660) (3,542) (2,560) (6,500) (3,055) (6,160) (975) (1,750) TIAA-CREF FUNDS - Notes to Schedules of Investments (unaudited) Number of contracts 52 20 5 12 36 20 22 25 10 30 38 9 90 120 21 20 40 5 250 25 19 20 11 25 30 90 24 6 20 18 10 12 16 185 221 20 11 70 200 170 230 2,603 Devon Energy Corp, Call, 8/5/16 at $39.50 Digital Realty Trust, Inc, Call, 8/19/16 at $110 Digital Realty Trust, Inc, Put, 8/19/16 at $105 Dillard’s, Inc, Call, 8/19/16 at $70 Energen Corp, Put, 8/19/16 at $45 EQT Corp, Put, 8/19/16 at $70 EQT Corp, Put, 8/19/16 at $75 Extra Space Storage, Inc, Put, 8/19/16 at $90 Gilead Sciences, Inc, Put, 8/5/16 at $79.50 Hess Corp, Call, 8/5/16 at $55 Huntsman Corp, Put, 8/19/16 at $15 Kimberly-Clark Corp, Put, 8/19/16 at $130 Laredo Petroleum, Inc, Put, 8/19/16 at $10 Laredo Petroleum, Inc, Put, 8/19/16 at $9 Level 3 Communications, Inc, Put, 8/19/16 at $52.50 Lincoln National Corp, Call, 8/19/16 at $45 LyondellBasell Industries AF S.C.A, Put, 8/19/16 at $72.50 Mid-America Apartment Communities, Inc, Put, 8/19/16 at $105 Nabors Industries Ltd, Put, 8/19/16 at $9 Newell Brands, Inc, Put, 8/19/16 at $48 Newfield Exploration Co, Put, 8/19/16 at $41 Newfield Exploration Co, Put, 8/19/16 at $42 Norwegian Cruise Line Holdings Ltd, Put, 8/19/16 at $40 Owens Corning, Inc, Put, 8/19/16 at $55 Owens-Illinois, Inc, Put, 8/19/16 at $17 QEP Resources, Inc, Put, 8/19/16 at $17 Range Resources Corp, Put, 8/19/16 at $40 Reliance Steel & Aluminum Co, Put, 8/19/16 at $77.50 Rice Energy, Inc, Put, 8/19/16 at $21 Royal Caribbean Cruises Ltd, Call, 8/19/16 at $75 Stanley Black & Decker, Inc, Call, 8/19/16 at $120 Stanley Black & Decker, Inc, Put, 8/19/16 at $120 SunTrust Banks, Inc, Put, 8/19/16 at $42 Superior Energy Services, Inc, Put, 8/19/16 at $17.50 Tahoe Resources, Inc, Put, 8/19/16 at $15 Tupperware Brands Corp, Put, 8/19/16 at $55 Universal Health Services, Inc, Put, 8/19/16 at $130 USG Corp, Put, 8/19/16 at $30 WPX Energy, Inc, Call, 8/19/16 at $11 WPX Energy, Inc, Put, 8/19/16 at $10 WPX Energy, Inc, Put, 8/19/16 at $9 Total Growth & Income Fund Acuity Brands, Inc, Put, 8/19/16 at $240 Acuity Brands, Inc, Put, 9/16/16 at $240 Allergan plc, Put, 8/12/16 at $237.50 American Water Works Co, Inc, Put, 8/19/16 at $80 BioMarin Pharmaceutical, Inc, Call, 8/19/16 at $115 Bristol-Myers Squibb Co, Put, 8/12/16 at $72.50 150 100 150 375 225 300 330 $ $ $ Value (3,588) (800) (1,220) (2,160) (4,410) (1,620) (6,765) (9,625) (960) (1,380) (1,634) (1,665) (5,850) (5,040) (4,935) (1,620) (4,400) (600) (12,000) (300) (1,710) (3,140) (715) (6,000) (510) (3,600) (4,104) (870) (800) (3,042) (2,930) (1,440) (1,152) (32,375) (11,050) (200) (3,300) (13,650) (5,000) (12,750) (6,900) (237,717) (9,450) (22,500) (26,250) (30,000) (28,125) (17,700) TIAA-CREF FUNDS - Notes to Schedules of Investments (unaudited) Number of contracts 600 300 300 300 300 300 200 1,000 1,000 150 600 600 300 600 300 225 450 225 225 225 300 300 450 100 100 600 100 300 600 300 1,000 450 300 150 900 900 225 150 150 150 17,025 Check Point Software Technologies Ltd, Put, 8/19/16 at $75 Crown Castle International Corp, Put, 8/19/16 at $95 Dollar Tree, Inc, Put, 8/19/16 at $87.50 Eagle Materials, Inc, Put, 8/19/16 at $70 Edwards Lifesciences Corp, Put, 9/16/16 at $110 Electronic Arts, Inc, Put, 8/5/16 at $68 Herbalife Ltd, Put, 8/12/16 at $61 Humana, Inc, Call, 1/20/17 at $220 Humana, Inc, Put, 1/20/17 at $140 IAC, Put, 8/19/16 at $55 IMAX Corp, Call, 9/16/16 at $36 IMAX Corp, Put, 8/19/16 at $27 IMAX Corp, Put, 9/16/16 at $30 IMAX Corp, Put, 9/16/16 at $31 Incyte Corp, Put, 8/19/16 at $70 Jazz Pharmaceuticals plc, Put, 8/12/16 at $128 Level 3 Communications, Inc, Call, 8/19/16 at $65 Level 3 Communications, Inc, Put, 9/16/16 at $48 Level 3 Communications, Inc, Put, 9/16/16 at $49 Manhattan Associates, Inc, Call, 8/19/16 at $70 Manhattan Associates, Inc, Put, 8/19/16 at $55 Mead Johnson Nutrition Co, Put, 8/19/16 at $80 Michaels Cos, Inc, Put, 8/19/16 at $25 MicroStrategy, Inc, Call, 8/19/16 at $210 MicroStrategy, Inc, Put, 9/16/16 at $150 Newell Brands, Inc, Put, 8/19/16 at $46 O’Reilly Automotive, Inc, Put, 8/19/16 at $260 PACCAR, Inc, Put, 8/19/16 at $50 Proofpoint, Inc, Call, 8/19/16 at $75 Proofpoint, Inc, Put, 8/19/16 at $55 RPC, Inc, Put, 8/19/16 at $13 Schlumberger Ltd, Put, 8/12/16 at $75 Sempra Energy, Put, 8/19/16 at $105 Ulta Salon Cosmetics & Fragrance, Inc, Put, 8/12/16 at $250 United States Steel Corp, Call, 8/12/16 at $29 United States Steel Corp, Put, 8/12/16 at $24 Universal Health Services, Inc, Put, 8/19/16 at $125 WABCO Holdings, Inc, Put, 8/19/16 at $80 WABCO Holdings, Inc, Put, 8/19/16 at $90 WABCO Holdings, Inc, Put, 9/16/16 at $90 Total Mid-Cap Growth Fund Equinix, Inc, Call, 8/19/16 at $380 Proofpoint, Inc, Call, 8/19/16 at $70 Proofpoint, Inc, Put, 8/19/16 at $60 Total 200 1,500 1,500 3,200 331 $ $ $ $ Value (45,000) (21,000) (6,750) (7,200) (81,000) (8,400) (22,400) (267,500) (480,000) (7,500) (15,000) (600) (21,000) (66,000) (11,250) (47,025) (4,500) (19,125) (24,188) (3,375) (18,750) (4,350) (12,375) (40,800) (27,000) (6,000) (2,600) (2,250) (180,000) (9,000) (20,000) (5,850) (11,250) (6,750) (53,100) (18,900) (26,437) (750) (16,125) (14,625) (1,769,750) (141,000) (930,000) (45,000) (1,116,000) TIAA-CREF FUNDS - Notes to Schedules of Investments (unaudited) Forward foreign currency contracts: The Funds are subject to foreign exchange risk in the normal course of pursuing their investment objectives. The Funds use forward foreign currency contracts (“forwards”), including Non-Deliverable forwards (“NDFs”), to, among other things, hedge portfolio currency risk and to facilitate transactions in securities denominated in foreign currencies. Forwards are over-the-counter (“OTC”) commitments that involve an obligation to purchase or sell a fixed amount of a specific currency on a future date at a locked exchange rate. NDFs allow hedging of currencies where government regulations restrict foreign access to local currency or the parties want to compensate for risk without a physical exchange of funds. Forwards are marked-to-market daily at the applicable foreign exchange rate, and any resulting unrealized gains or losses are recorded as appreciation or depreciation. The Funds realize gains and losses at the time the forward is closed. At July 31, 2016, the Emerging Markets Debt Fund held the following open forward contract: Contract settlement date 1/17/2017 Counterparty Bank of America Total Receive $ 1,000,000 Deliver CNH 6,853,000 Unrealized appreciation (depreciation) $ (26,001) $ (26,001) Abbreviation(s): CNH Chinese Yuan Credit default swap contracts: The Funds are subject to credit risk in the normal course of pursuing their investment objectives. Credit default swaps can be settled either directly with the counterparty (bilateral) or through a central clearinghouse (centrally cleared). A credit default swap is a contract between a buyer and a seller of protection against pre-defined credit events for the reference entity. As a seller in a credit default swap contract, the Funds are required to pay an agreed upon amount to the counterparty with the occurrence of a specified credit event, such as certain bankruptcies related to an underlying credit instrument, index, or issuer which would likely result in a loss to the Funds. The agreed upon amount approximates the notional value of the swap and is estimated to be the maximum potential future payment that the Funds could be required to make under the contract. In return, the Funds receive from the counterparty a periodic stream of payments over the term of the contract provided that no credit event has occurred. If no credit event occurs, the Funds keep the stream of payments with no payment obligations. When the Funds sell a credit default swap contract it will cover its commitment. This may be achieved by, among other methods, maintaining cash or liquid assets in a segregated account equal to the aggregate notional value of the reference entities for all outstanding credit default swap contracts sold by the Funds. The Funds may also buy credit default swap contracts, in which case the Funds function as the counterparty referenced above. This involves the risk that the contract may expire worthless. Bilateral swaps involve counterparty risk that the seller may fail to satisfy its payment obligations to the Funds with the occurrence of a credit event. Centrally cleared swaps have minimal counterparty credit risk to the Funds as they are entered into with a central clearinghouse which guarantees the swap against default. Bilateral credit default swaps are valued daily, and any change in the value of the swaps is reflected separately as a change in unrealized appreciation (depreciation). For centrally cleared swaps, initial margin deposits are made, and variation margin payments are made or received reflecting daily changes in the value of the swap contract. Under the terms of the credit default swap contracts, the Funds receive or make quarterly payments based on a payment rate on a fixed notional amount. These payments are recorded as a realized gain or loss. Payments received or made as a result of a credit event or termination of the contract are recognized as realized gains or losses. The Funds invest in credit default swaps to hedge or manage the risks associated with assets held in the Funds and/or to facilitate the implementation of portfolio strategies to seek to increase the total return. At July 31, 2016, open credit default swap contracts sold by the Emerging Markets Debt Fund were as follows: Reference entity Vale SA Counterparty Goldman Sachs International Maturity Date 6/20/21 Fixed payments paid by fund per annum 1.00% Implied credit spread at 7/31/16 (1) Notional amount (2) 6.20% $ 2,000,000 Upfront premium paid (received) $ (409,996) $ Unrealized appreciation (depreciation) 27,569 (1) Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swap agreements on corporate issues, U.S. municipal issues or sovereign issues of an emerging country as of period end, serve as an indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement. (2) The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs is defined under the terms of that particular swap agreement. This amount may be reduced by any recoverable assets, if applicable. 332 TIAA-CREF FUNDS - Notes to Schedules of Investments (unaudited) Total return swap contracts: Total return swaps are agreements that provide a Fund with a return based on the performance of an underlying asset, in exchange for fee payments to a counterparty based on a specific rate. To the extent the total return of the reference security or index underlying the total return swap exceeds or falls short of the offsetting interest rate obligation, the Fund will receive a payment or make a payment to the counterparty, respectively. Total return swaps are exposed to the market risk factor of the specific underlying financial instrument or index. Additional risks to the Fund include the possibility that there is no liquid market for these agreements or that the counterparty may default on its obligation to perform. The Fund’s maximum loss from counterparty risk is the fair value of the contract. The Small-Cap Equity Fund is currently invested in a total return swap contract to gain exposure to certain equity markets. At July 31, 2016, the Small-Cap Equity Fund held the following open total return swap contracts: Counterparty Goldman Sachs Notional amount $24,977,165 Termination date 9/1/2016 Fixed payments paid by fund per annum 0.16% Total return received by fund Difference between Russell MicroCap Index less Russell 2000 Index and Russell 2500 Index $ Unrealized appreciation/ depreciation - Note 4 —affiliated investments Companies in which a Fund holds 5% or more of the outstanding voting shares are considered “affiliated companies” of the Fund, pursuant to the 1940 Act. Information regarding transactions with affiliated companies is as follows: Issue Mid-Cap Value Fund TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust Small-Cap Equity Fund TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust Equity Index Fund TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust Small-Cap Blend Index Fund TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust International Equity Index Fund TIAA-CREF Short Term Lending Portfolio of the State Street Navigator Securities Lending Trust Value at October 31, 2015 Purchase cost Sales proceeds Realized gain(loss) Dividend income Withholding expense Shares at July 31, 2016 $ 187,935,969 $ 132,263,996 $ 163,109,177 $ - $ - $ 148,709,784 $ 139,540,473 $ 130,571,446 $ - $ $ 311,112,472 $ 77,881,192 $ 87,132,859 $ - $ 264,957,247 $ 85,698,387 $ 111,352,382 $ $ 280,957,418 $ 225,110,022 $ 424,913,859 $ $ - 157,090,788 $ 157,090,788 - $ - 157,678,811 $ 157,678,811 $ - $ - 301,860,805 $ 301,860,805 - $ - $ - 239,303,252 $ 239,303,252 - $ - $ - -* Value at July 31, 2016 -* *Not an affiliate investment as of July 31, 2016. Note 5—investments Securities lending: Certain Funds may lend their securities to qualified institutional borrowers to earn additional income. A Fund receives collateral (in the form of cash, Treasury securities or other collateral permitted by applicable law) against the loaned securities and maintains collateral in an amount not less than 100% of the market value of loaned securities during the period of the loan; any additional collateral required due to changes in security values is delivered to the Fund the next business day. Cash collateral received by the Fund will generally be invested in high-quality short-term instruments or in one or more funds maintained by the securities lending agent (“Agent”) for the purpose of investing cash collateral. The value of the loaned securities are reflected in the schedule of investments. As of July 31, 2016, securities lending transactions are for equity securities, and the resulting loans are continuous, can be recalled at any time, and have no set maturity. In lending its securities, a Fund bears the market risk with respect to the investment of collateral and the risk that the Agent may default on its contractual obligations to the Fund. The Agent bears the risk that the borrower may default on its obligation to return the loaned securities as the Agent is contractually obligated to indemnify the Fund if at the time of a default by a borrower some or all of the loan securities have not been returned. Securities purchased on a when-issued or delayed-delivery basis: The Emerging Markets Debt Fund may purchase securities on a when-issued or delayed-delivery basis. Securities purchased or sold on a when-issued or delayed-delivery basis may be settled a month or more after trade date; interest income is not accrued until settlement date. At the time the Fund enters into such transactions, it is required to have segregated assets with a current value at least equal to the amount of its when-issued or delayed-delivery purchase commitments. 333 TIAA-CREF FUNDS - Notes to Schedules of Investments (unaudited) Restricted securities: Restricted securities held by the Funds, if any, may not be sold except in exempt transactions or in a public offering registered under the Securities Act of 1933. The risk of investing in such securities is generally greater than the risk of investing in securities that are widely held and publicly traded. Net unrealized appreciation (depreciation): At July 31, 2016, net unrealized appreciation (depreciation) based on the aggregate cost of portfolio investments for federal income tax purposes, consisting of gross unrealized appreciation and gross unrealized depreciation was as follows: Fund Enhanced Large-Cap Growth Index Enhanced Large-Cap Value Index Growth & Income Large-Cap Growth Large-Cap Value Mid-Cap Growth Mid-Cap Value Small-Cap Equity Social Choice Equity Social Choice Low Carbon Equity Emerging Markets Equity Enhanced International Equity Index Global Natural Resources International Equity International Opportunities Social Choice International Equity Equity Index Large-Cap Growth Index Large-Cap Value Index S&P 500 Index Small-Cap Blend Index Emerging Markets Equity Index International Equity Index Emerging Markets Debt $ Book cost 1,821,018,451 1,848,537,234 3,971,263,057 2,825,570,833 5,073,656,133 1,450,790,326 4,393,300,275 2,908,060,980 2,180,084,266 50,175,892 987,988,430 1,351,404,843 259,490,058 4,310,503,786 1,322,674,568 23,760,076 7,861,623,197 2,301,378,345 4,117,605,327 2,369,059,791 1,731,767,957 1,590,963,717 7,016,105,853 237,801,801 334 $ Gross unrealized appreciation 443,569,665 375,055,259 1,142,774,774 944,371,400 1,003,487,725 295,882,577 1,344,179,146 507,542,378 735,053,426 4,479,135 149,972,476 124,563,801 48,223,594 491,265,764 190,377,880 995,148 3,897,020,367 821,496,702 586,486,394 1,047,105,394 488,333,025 153,388,736 1,138,101,485 11,927,185 $ Gross unrealized (depreciation) (10,676,470) (16,788,183) (30,821,118) (25,746,548) (160,829,768) (45,176,225) (196,595,140) (131,837,326) (78,349,185) (978,059) (28,941,512) (52,994,644) (1,000,207) (334,792,650) (117,973,876) (2,340,932) (229,726,958) (24,627,203) (122,333,860) (80,970,211) (142,136,020) (199,717,142) (874,170,759) (8,222,590) $ Net unrealized appreciation (depreciation) 432,893,195 358,267,076 1,111,953,656 918,624,852 842,657,957 250,706,352 1,147,584,006 375,705,052 656,704,241 3,501,076 121,030,964 71,569,157 47,223,387 156,473,114 72,404,004 (1,345,784) 3,667,293,409 796,869,499 464,152,534 966,135,183 346,197,005 (46,328,406) 263,930,726 3,704,595 ©2016 Teachers Insurance and Annuity Association of America–College Retirement Equities Fund, 730 Third Avenue, New York, NY 10017. A12448 (9/16)
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