0001398344-23-011766.txt : 20230608 0001398344-23-011766.hdr.sgml : 20230608 20230608130449 ACCESSION NUMBER: 0001398344-23-011766 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 16 CONFORMED PERIOD OF REPORT: 20230331 FILED AS OF DATE: 20230608 DATE AS OF CHANGE: 20230608 EFFECTIVENESS DATE: 20230608 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CITY NATIONAL ROCHDALE FUNDS CENTRAL INDEX KEY: 0001026977 IRS NUMBER: 911766001 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-07923 FILM NUMBER: 231001365 BUSINESS ADDRESS: STREET 1: 400 NORTH ROXBURY DRIVE CITY: BEVERLY HILLS STATE: CA ZIP: 90210 BUSINESS PHONE: (800) 708-8881 MAIL ADDRESS: STREET 1: 400 NORTH ROXBURY DRIVE CITY: BEVERLY HILLS STATE: CA ZIP: 90210 FORMER COMPANY: FORMER CONFORMED NAME: City National Rochdale Funds DATE OF NAME CHANGE: 20130910 FORMER COMPANY: FORMER CONFORMED NAME: CNI CHARTER FUNDS DATE OF NAME CHANGE: 19990503 FORMER COMPANY: FORMER CONFORMED NAME: BERKELEY FUNDS TRUST DATE OF NAME CHANGE: 19980319 0001026977 S000005833 CITY NATIONAL ROCHDALE GOVERNMENT MONEY MARKET FUND C000015999 CITY NATIONAL ROCHDALE GOVERNMENT MONEY MARKET FUND - CLASS N CNGXX C000016000 CITY NATIONAL ROCHDALE GOVERNMENT MONEY MARKET FUND - SERVICING CNIXX C000016001 CITY NATIONAL ROCHDALE GOVERNMENT MONEY MARKET FUND - CLASS S CNFXX 0001026977 S000005835 CITY NATIONAL ROCHDALE CALIFORNIA TAX - EXEMPT BOND FUND C000016005 CITY NATIONAL ROCHDALE CALIFORNIA TAX - EXEMPT BOND FUND - CLASS N CCTEX C000016006 CITY NATIONAL ROCHDALE CALIFORNIA TAX - EXEMPT BOND FUND - SERVICING CNTIX 0001026977 S000005836 CITY NATIONAL ROCHDALE CORPORATE BOND FUND C000016007 CITY NATIONAL ROCHDALE CORPORATE BOND FUND - CLASS N CCBAX C000016008 CITY NATIONAL ROCHDALE CORPORATE BOND FUND - SERVICING CNCIX 0001026977 S000005837 CITY NATIONAL ROCHDALE GOVERNMENT BOND FUND C000016009 CITY NATIONAL ROCHDALE GOVERNMENT BOND FUND - CLASS N CGBAX C000016010 CITY NATIONAL ROCHDALE GOVERNMENT BOND FUND - SERVICING CNBIX 0001026977 S000039066 CITY NATIONAL ROCHDALE U.S. CORE EQUITY FUND C000120109 CITY NATIONAL ROCHDALE U.S. CORE EQUITY FUND - CLASS N CNRWX C000120110 CITY NATIONAL ROCHDALE U.S. CORE EQUITY FUND - INSTITUTIONAL CNRUX C000120111 CITY NATIONAL ROCHDALE U.S. CORE EQUITY FUND - SERVICING CNRVX 0001026977 S000039721 City National Rochdale Equity Income Fund C000123067 Class N RIMHX 0001026977 S000039723 City National Rochdale Fixed Income Opportunities Fund C000123069 Class N RIMOX 0001026977 S000039724 City National Rochdale Intermediate Fixed Income Fund C000123070 Class N RIMCX C000133171 Institutional Class CNRIX 0001026977 S000043469 City National Rochdale Municipal High Income Fund C000134824 Class N CNRNX C000134825 Servicing Class CNRMX N-CSRS 1 fp0083096-1_ncsrs.htm

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

 

FORM N-CSRS

 

 

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT

INVESTMENT COMPANIES

 

Investment Company Act file number 811-07923

 

City National Rochdale Funds

(Exact name of registrant as specified in charter)

 

 

 

400 North Roxbury Drive

Beverly Hills, California 90210

(Address of principal executive offices) (Zip code)

 

Rochelle Levy

400 North Roxbury Drive

Beverly Hills, CA 90210

(Name and address of agent for service)

 

Registrant’s telephone number, including area code: 1-888-889-0799

 

Date of fiscal year end: September 30, 2023

 

Date of reporting period: March 31, 2023

 

 

 

Item 1. Reports to Stockholders.

 

A copy of the report transmitted to stockholders pursuant to Rule 30e-1 under the Investment Company Act of 1940 (the “Act”), as amended (17 CFR § 270.30e-1) is attached hereto.

 

 

 

 

 

 

 

TABLE OF CONTENTS

 

City National Rochdale Funds Semi-Annual Report

 

   

2

Schedule of Investments/Consolidated Schedule of Investments

101

Statements of Assets and Liabilities/Consolidated Statement of Assets and Liabilities

104

Statements of Operations/Consolidated Statement of Operations

108

Statements of Changes in Net Assets/Consolidated Statements of Changes in Net Assets

112

Consolidated Statement of Cash Flows

114

Financial Highlights/Consolidated Financial Highlights

117

Notes to Financial Statements/Consolidated Notes to Financial Statements

131

Disclosure of Fund Expenses

133

Liquidity Risk Management Program

 

 

The Funds file their complete schedules of portfolio holdings with the Securities and Exchange Commission (the “Commission”) for the first and third quarters of each fiscal year as an exhibit to their reports on Form N-PORT, and for reporting periods ended prior to March 31, 2019, on Form N-Q. The Funds’ Form N-PORT and Form N-Q filings are available on the Commission’s website at http://www.sec.gov. The most current Form N-PORT filing is also available on the Funds’ website at www.citynationalrochdalefunds.com and without charge, upon request, by calling 1-888-889-0799.

 

A description of the policies and procedures that the Funds use to determine how to vote proxies relating to the Funds’ portfolio securities, and information on how the Funds voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 is available (1) without charge, upon request, by calling 1-888-889-0799, (2) on the Funds’ website at www.citynationalrochdalefunds.com, and (3) on the Commission’s website at www.sec.gov.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 1

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Government Money Market Fund

 

 

 

 

Description

 

Face Amount (000)

   

Value (000)

 

U.S. Government Agency Obligations [58.0%]

FFCB

               

4.870%, U.S. SOFR + 0.040%, 08/17/23(A)

  $ 50,000     $ 50,000  

4.930%, U.S. SOFR + 0.100%, 08/08/24(A)

    25,000       25,000  

4.920%, U.S. SOFR + 0.090%, 08/26/24(A)

    120,000       120,000  

4.970%, US Federal Funds Effective Rate + 0.140%, 11/14/24(A)

    100,000       100,000  

5.000%, US Federal Funds Effective Rate + 0.170%, 01/06/25(A)

    50,000       50,000  

FHLB

               

4.885%, U.S. SOFR + 0.055%, 08/01/23(A)

    50,000       50,000  

4.900%, U.S. SOFR + 0.070%, 10/03/23(A)

    50,000       50,000  

4.920%, U.S. SOFR + 0.090%, 02/02/24(A)

    50,000       50,000  

FHLB DN

               

4.778%, 04/12/23(B)(C)

    200,000       199,709  

4.677%, 04/19/23(B)(C)

    286,000       285,337  

4.690%, 04/26/23(B)(C)

    200,000       199,352  

4.641%, 04/28/23(B)(C)

    100,000       99,654  

4.867%, 05/10/23(B)(C)

    100,000       99,477  

4.816%, 05/12/23(B)(C)

    150,000       149,184  

4.709%, 05/16/23(B)(C)

    410,600       408,198  

4.708%, 05/17/23(B)(C)

    300,000       298,208  

4.729%, 05/19/23(B)(C)

    300,000       298,122  

4.831%, 05/24/23(B)(C)

    325,000       322,716  

4.842%, 05/26/23(B)(C)

    100,000       99,269  

4.931%, 06/07/23(B)(C)

    250,000       247,734  

5.002%, 06/09/23(B)(C)

    85,000       84,195  
                         

Total U.S. Government Agency Obligations

(Cost $3,286,155)

    3,286,155  
                         

U.S. Treasury Obligations [4.4%]

U.S. Treasury Bills

               

4.588%, 04/04/23(B)(C)

  $ 200,000     $ 199,924  

U.S. Treasury Notes

               

4.765%, US Treasury 3 Month Bill Money Market Yield + 0.034%, 04/30/23(A)

    50,000       50,000  
                         

Total U.S. Treasury Obligations

(Cost $249,924)

    249,924  
                         

Short-Term Investment [19.5%]

Morgan Stanley Institutional Liquidity Funds - Government Portfolio, 4.680%**

    1,104,402,167       1,104,402  
                         

Total Short-Term Investment

(Cost $1,104,402)

    1,104,402  
                         

Repurchase Agreements [20.2%]

Barclays (D)

               

4.700%, dated 03/31/23, repurchased on 04/03/23, repurchase price $100,039,403 (collateralized by various U.S. Treasury obligations, par values ranging from $7,778,700-$20,245,900, 0.000%-4.000%, 05/04/2023-11/15/2046; with a total market value of $102,000,072)

    100,000       100,000  

Barclays MBS (D)

               

4.800%, dated 03/31/23, repurchased on 04/03/23, repurchase price $100,040,241 (collateralized by various U.S. Treasury obligations, par values ranging from $9,012,100-$495,610,000, 2.000%-3.500%, 08/20/2042-02/15/2052; with a total market value of $102,000,029)

    100,000       100,000  

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 2

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Government Money Market Fund (concluded)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Daiwa (D)

               

4.750%, dated 03/31/23, repurchased on 04/03/23, repurchase price $42,016,725 (collateralized by various U.S. Treasury obligations, par values ranging from $10,437,700-$35,643,000, 0.000%-3.500%, 08/15/2025-09/15/2025; with a total market value of $42,840,016)

  $ 42,000     $ 42,000  

Daiwa MBS (D)

               

4.780%, dated 03/31/23, repurchased on 04/03/23, repurchase price $200,080,932 (collateralized by various U.S. Treasury obligations, par values ranging from $1,000-$57,682,939, 0.000%-7.000%, 07/11/2023-03/01/2053; with a total market value of $205,998,824)

    200,000       200,000  

Goldman Sachs (D)

               

4.730%, dated 03/31/23, repurchased on 04/03/23, repurchase price $700,277,580 (collateralized by various U.S. Treasury obligations, par values ranging from $7,436,000-$447,431,200, 0.000%-2.250%, 05/15/2023-08/15/2041; with a total market value of $714,000,048)

    700,000       700,000  
                         

Total Repurchase Agreements

(Cost $1,142,000)

    1,142,000  
                         

Total Investments [102.1%]

(Cost $5,782,481)

  $ 5,782,481  
                         

 

Percentages are based on net assets of $5,661,090 (000).

 

**

The rate reported is the 7-day effective yield as of March 31, 2023.

 

(A)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

 

(B)

Zero coupon security.

 

(C)

Interest rate represents the security’s effective yield at the time of purchase.

 

(D)

Tri-party Repurchase Agreement.

 

DN — Discount Note

 

FFCB — Federal Farm Credit Bank

 

FHLB — Federal Home Loan Bank

 

SOFR — Secured Overnight Financing Rate

 

The following is a summary of the inputs used as of March 31, 2023, in valuing the Fund’s investments carried at value (000):

 

Investments in Securities

 

Level 1

   

Level 2

   

Level 3

   

Total

 

U.S. Government Agency Obligations

  $     $ 3,286,155     $     $ 3,286,155  

U.S. Treasury Obligations

          249,924             249,924  

Short-Term Investment

    1,104,402                   1,104,402  

Repurchase Agreements

          1,142,000             1,142,000  

Total Investments in Securities

  $ 1,104,402     $ 4,678,079     $     $ 5,782,481  

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

For more information on valuation inputs, see Note 2 — Significant Accounting Policies in the Notes to Financial Statements.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 3

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Government Bond Fund

 

 

 

 

Description

 

Face Amount (000)

   

Value (000)

 

U.S. Treasury Obligations [49.7%]

U.S. Treasury Notes

               

3.500%, 01/31/28

  $ 800     $ 795  

3.125%, 08/15/25

    500       490  

2.875%, 09/30/23

    350       347  

2.750%, 08/31/25

    600       583  

2.625%, 12/31/25

    1,000       967  

2.625%, 05/31/27

    1,250       1,197  

2.375%, 04/30/26

    330       316  

1.875%, 08/31/24

    805       778  

1.750%, 07/31/24

    800       773  

1.125%, 10/31/26

    1,000       911  

0.625%, 10/15/24

    1,000       946  

0.625%, 07/31/26

    1,000       901  
                         

Total U.S. Treasury Obligations

(Cost $9,466)

    9,004  
                         

U.S. Government Agency Obligations [39.3%]

FFCB

               

0.200%, 10/02/23

    1,250       1,222  

FNMA

               

2.625%, 09/06/24

    1,400       1,366  

2.500%, 02/05/24

    1,445       1,417  

2.125%, 04/24/26

    955       906  

1.625%, 01/07/25

    1,280       1,223  

Tennessee Valley Authority

               

2.875%, 09/15/24

    1,000       973  
                         

Total U.S. Government Agency Obligations

(Cost $7,418)

    7,107  
                         

U.S. Government Mortgage-Backed Obligations [7.1%]

FHLMC, Ser 2016-4635, Cl EG, Pool FHR 4635 EG

               

2.500%, 12/15/46

    836       779  

FNMA, Pool AS4877

               

3.000%, 04/01/30

    469       449  

FNMA ARM, Pool 766620

               

3.527%, ICE LIBOR USD 12 Month + 1.677%, 03/01/34(A)

    24       24  

GNMA, Pool 497411

               

6.000%, 01/15/29

  $ 1     $ 2  

GNMA ARM, Pool G2 81318

               

2.875%, US Treas Yield Curve Rate T Note Const Mat 1 Yr + 1.500%, 04/20/35(A)

    30       30  

GNMA ARM, Pool G2 81447

               

2.625%, US Treas Yield Curve Rate T Note Const Mat 1 Yr + 1.500%, 08/20/35(A)

    9       9  
                         

Total U.S. Government Mortgage-Backed Obligations

(Cost $1,385)

    1,293  
                         

Short-Term Investment [3.8%]

SEI Daily Income Trust Government Fund, Cl Institutional, 4.485%**

    680,534       681  
                         

Total Short-Term Investment

(Cost $681)

    681  
                         

Total Investments [99.9%]

(Cost $18,950)

  $ 18,085  
                         

 

Percentages are based on net assets of $18,101 (000).

 

**

The rate reported is the 7-day effective yield as of March 31, 2023.

 

(A)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

 

ARM — Adjustable Rate Mortgage

 

Cl — Class

 

FFCB — Federal Farm Credit Bank

 

FHLMC — Federal Home Loan Mortgage Corporation

 

FNMA — Federal National Mortgage Association

 

GNMA — Government National Mortgage Association

 

ICE — Intercontinental Exchange

 

LIBOR — London Interbank Offered Rates

 

Ser — Series

 

USD — U.S. Dollar

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 4

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Government Bond Fund (concluded)

 

 

The following is a list of the inputs used as of March 31, 2023 in valuing the Fund’s investments carried at value (000):

 

Investments in Securities

 

Level 1

   

Level 2

   

Level 3

   

Total

 

U.S. Treasury Obligations

  $     $ 9,004     $     $ 9,004  

U.S. Government Agency Obligations

          7,107             7,107  

U.S. Government Mortgage-Backed Obligations

          1,293             1,293  

Short-Term Investment

    681                   681  

Total Investments in Securities

  $ 681     $ 17,404     $     $ 18,085  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

For more information on valuation inputs, see Note 2 -- Significant Accounting

 

Policies in the Notes to Financial Statements.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 5

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Corporate Bond Fund

 

 

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Corporate Bonds [85.5%]

Applications Software [2.9%]

Microsoft

               

3.300%, 02/06/27

  $ 3,000     $ 2,944  
                         

Automotive [2.5%]

General Motors Financial

               

5.250%, 03/01/26

    2,600       2,599  
                         

Banks [5.5%]

BPCE

               

4.000%, 04/15/24

    1,800       1,760  

Cooperatieve Rabobank UA

               

4.375%, 08/04/25

    1,500       1,450  

Wells Fargo, MTN

               

3.300%, 09/09/24

    2,500       2,436  
                         

Total Banks

    5,646  
                         

Broadcasting & Cable [2.4%]

Comcast

               

3.700%, 04/15/24

    2,500       2,470  
                         

Chemicals [0.1%]

Dow Chemical

               

4.550%, 11/30/25

    148       146  
                         

Computer System Design & Services [3.3%]

Apple

               

3.450%, 05/06/24

    3,450       3,409  
                         

Drugs [2.3%]

AbbVie

               

2.600%, 11/21/24

  $ 2,500     $ 2,412  
                         

Electric Utilities [5.3%]

Duke Energy

               

3.150%, 08/15/27

    1,575       1,481  

Exelon

               

2.750%, 03/15/27

    2,000       1,875  

Georgia Power

               

3.250%, 04/01/26

    2,200       2,098  
                         

Total Electric Utilities

    5,454  
                         

Enterprise Software/Serv [2.1%]

Oracle

               

2.500%, 04/01/25

    2,250       2,153  
                         

Financial Services [2.4%]

American Express

               

4.200%, 11/06/25

    2,500       2,473  
                         

Food, Beverage & Tobacco [9.3%]

Anheuser-Busch

               

3.650%, 02/01/26

    2,250       2,207  

Coca-Cola

               

1.750%, 09/06/24

    2,500       2,428  

General Mills

               

3.200%, 02/10/27

    2,500       2,401  

PepsiCo

               

2.250%, 03/19/25

    2,600       2,498  
                         

Total Food, Beverage & Tobacco

    9,534  
                         

Industrials [1.4%]

Penske Truck Leasing LP

               

3.450%, 07/01/24(A)

    1,500       1,460  
                         

Investment Bank/Broker-Dealer [1.9%]

Jefferies Financial Group

               

4.850%, 01/15/27

    2,000       1,951  
                         

Medical Products & Services [4.7%]

Abbott Laboratories

               

3.875%, 09/15/25

    2,355       2,324  

Gilead Sciences

               

3.700%, 04/01/24

    2,500       2,471  
                         

Total Medical Products & Services

    4,795  
                         

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 6

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Corporate Bond Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Medical-HMO [2.8%]

UnitedHealth Group

               

3.850%, 06/15/28

  $ 3,000     $ 2,925  
                         

Petroleum & Fuel Products [6.5%]

Energy Transfer

               

4.050%, 03/15/25

    2,000       1,961  

Exxon Mobil

               

2.275%, 08/16/26

    2,500       2,344  

Shell International Finance BV

               

2.875%, 05/10/26

    2,500       2,390  
                         

Total Petroleum & Fuel Products

    6,695  
                         

Pharmacy Services [1.9%]

CVS Health

               

2.875%, 06/01/26

    2,000       1,899  
                         

Real Estate Investment Trusts [2.3%]

Prologis

               

3.250%, 10/01/26

    2,500       2,413  
                         

Retail [2.1%]

AutoZone

               

3.125%, 04/21/26

    2,250       2,150  
                         

Security Brokers & Dealers [19.0%]

Banco Santander

               

2.746%, 05/28/25

    2,600       2,451  

Bank of America, MTN

               

4.250%, 10/22/26

    2,500       2,420  

Barclays, MTN

               

4.338%, ICE LIBOR USD 3 Month + 1.356%, 05/16/24(B)

    2,250       2,244  

Goldman Sachs Group, MTN

               

3.850%, 07/08/24

    2,500       2,449  

JPMorgan Chase

               

3.300%, 04/01/26

    3,000       2,891  

Morgan Stanley, MTN

               

3.125%, 07/27/26

    3,000       2,839  

NatWest Group

               

4.519%, ICE LIBOR USD 3 Month + 1.550%, 06/25/24(B)

    2,300       2,289  

Sumitomo Mitsui Financial Group

               

1.402%, 09/17/26

    2,250       1,970  
                         

Total Security Brokers & Dealers

    19,553  

 

Description  Face Amount (000)/Shares   Value (000) 
Semi-Conductors [2.5%]          
Applied Materials          
3.900%, 10/01/25  $2,600   $2,564 
           
Telephones & Telecommunications [2.3%]          
Verizon Communications          
2.625%, 08/15/26   2,500    2,361 
           
Total Corporate Bonds          
(Cost $93,749)        88,006 
           
Commercial Paper [4.8%]          
American Honda Finance (C)          
0.000%, 05/08/23(C)(D)   2,500    2,486 
ANZ New Zealand Int’l (A)(C)          
0.000%, 04/19/23(A)(C)(D)   2,500    2,494 
           
Total Commercial Paper          
(Cost $4,981)        4,980 
           
Affiliated Registered Investment Company [2.9%]          
City National Rochdale Fixed Income Opportunities Fund, Cl N‡   157,077    2,951 
           
Total Affiliated Registered Investment Company          
(Cost $4,000)        2,951 
           
U.S. Treasury Obligation [1.9%]          
U.S. Treasury Note          
3.000%, 07/31/24   2,000    1,963 
           
Total U.S. Treasury Obligation          
(Cost $1,991)        1,963 
           
Short-Term Investment [4.3%]          
SEI Daily Income Trust Government Fund, Cl Institutional, 4.485%**   4,388,334    4,388 
           
Total Short-Term Investment          
(Cost $4,388)        4,388 
           
Total Investments [99.4%]          
(Cost $109,109)       $102,288 
           

 

Percentages are based on net assets of $102,944 (000).

 

**

The rate reported is the 7-day effective yield as of March 31, 2023.

 

Investment in Affiliate.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 7

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Corporate Bond Fund (concluded)

 

 

(A)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On March 31, 2023, the value of these securities amounted to $3,954 (000), representing 3.8% of the net assets of the Fund.

 

(B)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

 

(C)

Zero coupon security.

 

(D)

Interest rate represents the security’s effective yield at the time of purchase.

 

Cl — Class

 

ICE — Intercontinental Exchange

 

LIBOR — London Interbank Offered Rate

 

LP — Limited Partnership

 

MTN — Medium Term Note

 

Ser — Series

 

USD — U.S. Dollar

 

The following is a list of the inputs used as of March 31, 2023 in valuing the Fund’s investments carried at value (000):

 

Investments in Securities

 

Level 1

   

Level 2

   

Level 3

   

Total

 

Corporate Bonds

  $     $ 88,006     $     $ 88,006  

Commercial Paper

          4,980             4,980  

Affiliated Registered Investment Company

    2,951                   2,951  

U.S. Treasury Obligation

            1,963             1,963  

Short-Term Investment

    4,388                   4,388  

Total Investments in Securities

  $ 7,339     $ 94,949     $     $ 102,288  

 

 

The following is a summary of the transactions with affiliates for the period ended March 31, 2023 (000):

 

   

City National
Rochdale
Fixed Income
Opportunities
Fund,
Class N

 

Beginning balance as of October 1, 2022

  $ 2,922  

Purchases at Cost

     

Proceeds from Sales

     

Realized Gain (Loss)

     

Unrealized Gain (Loss)

  $ 29  

Ending balance as of March 31, 2023

  $ 2,951  

Dividend Income

     

 

   

City National
Rochdale
Fixed Income
Opportunities
Fund,
Class N (Shares)

 

Beginning balance as of October 1, 2022

    157,077  

Purchases

     

Sales

     

Ending balance as of March 31, 2023

    157,077  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

For more information on valuation inputs, see Note 2 -- Significant Accounting

 

Policies in the Notes to Financial Statements.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 8

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale California Tax Exempt Bond Fund

 

 

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Municipal Bonds [97.4%]

Alabama [1.2%]

Black Belt Energy Gas District, Ser C-1, RB

               

Callable 03/01/29 @ 100

               

5.250%, 02/01/53(A)

  $ 500     $ 527  
                         

California [94.6%]

Anaheim Housing & Public Improvements Authority, RB

               

Callable 10/01/27 @ 100

               

5.000%, 10/01/29

    305       341  

Bay Area Toll Authority, Sub-Ser, RB

               

Pre-Refunded @ 100

               

5.000%, 10/01/24(B)

    140       145  

Brea, Redevelopment Agency Successor, Redevelopment Project, TA

               

Callable 08/01/23 @ 100

               

5.000%, 08/01/25

    550       554  

California State University, Ser A, RB

               

Callable 11/01/25 @ 100

               

5.000%, 11/01/26

    180       192  

California State University, Ser A, RB

               

5.000%, 11/01/31

    170       206  

California State, Community Choice Financing Authority, Ser A-1, RB

               

Callable 05/01/28 @ 100

               

4.000%, 05/01/53(A)

    500       499  

California State, Community Choice Financing Authority, Ser S, RB

               

Callable 09/01/27 @ 101

               

4.000%, 10/01/52(A)

  $ 500     $ 499  

California State, Department of Water Resources, Ser AX, RB

               

Callable 12/01/27 @ 100

               

5.000%, 12/01/29

    520       588  

California State, GO

               

5.000%, 08/01/26

    1,000       1,089  

California State, GO

               

Callable 12/01/23 @ 100

               

5.000%, 12/01/26

    1,000       1,016  

California State, GO

               

Callable 11/01/23 @ 100

               

5.000%, 11/01/27

    500       507  

California State, GO

               

5.000%, 09/01/31

    500       604  

California State, GO

               

Callable 04/01/32 @ 100

               

5.000%, 04/01/33

    575       700  

California State, GO

               

Callable 09/01/32 @ 100

               

5.000%, 09/01/33

    215       262  

California State, GO

               

Callable 04/01/31 @ 100

               

4.000%, 10/01/33

    500       543  

California State, Health Facilities Financing Authority, RB

               

5.000%, 10/01/39(A)

    575       600  

California State, Health Facilities Financing Authority, RB

               

4.000%, 03/01/25

    100       102  

California State, Health Facilities Financing Authority, Ser A, RB

               

Callable 05/08/23 @ 100

               

5.000%, 11/15/25

    665       669  

California State, Health Facilities Financing Authority, Sub-Ser PERMANENTE-SUBSER, RB

               

5.000%, 11/01/27

    650       730  

California State, Infrastructure & Economic Development Bank, RB

               

4.000%, 05/01/28

    175       186  

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 9

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale California Tax Exempt Bond Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

California State, Infrastructure & Economic Development Bank, Ser B, RB

               

5.000%, 07/01/23

  $ 1,150     $ 1,157  

California State, Municipal Finance Authority, RB

               

5.000%, 06/01/23

    200       201  

California State, Municipal Finance Authority, RB, BAM

               

5.000%, 05/15/29

    300       331  

California State, Public Works Board, RB

               

5.000%, 09/01/25

    1,510       1,603  

California State, Public Works Board, Ser B, RB

               

5.000%, 10/01/25

    245       261  

California State, Public Works Board, Ser C, RB

               

Callable 03/01/27 @ 100

               

5.000%, 03/01/28

    500       552  

California State, Public Works Board, Ser S, RB

               

Callable 04/01/27 @ 100

               

5.000%, 04/01/28

    800       884  

California State, Statewide Communities Development Authority, Cottage Health System, RB

               

Pre-Refunded @ 100

               

5.000%, 11/01/24(B)

    350       363  

California State, Statewide Communities Development Authority, RB, CA MTG INS

               

Pre-Refunded @ 100

               

5.000%, 02/15/26(B)

    550       591  

California State, University Systemwide Revenue, Ser A, RB

               

5.000%, 11/01/24

    990       1,030  

California State, University Systemwide Revenue, Ser A, RB

               

Callable 05/01/26 @ 100

               

5.000%, 11/01/27

    350       379  

California State, University Systemwide Revenue, Ser B-1, RB

               

Callable 05/01/26 @ 100

               

1.600%, 11/01/47(A)

    1,000       948  

Chino Basin Regional Financing Authority, Sub-Ser, RB

               

Callable 06/01/30 @ 100

               

5.000%, 06/01/31

    250       296  

East Bay, Municipal Utility District, Water System Revenue, Ser A, RB

               

Callable 06/01/25 @ 100

               

5.000%, 06/01/29

  $ 850     $ 900  

El Dorado Irrigation District, Ser A, RB

               

Callable 03/01/30 @ 100

               

5.000%, 03/01/32

    235       273  

Fairfield-Suisun Unified School District, GO

               

Callable 08/01/28 @ 100

               

4.000%, 08/01/31

    145       156  

Golden State Tobacco Securitization, Ser A-1, RB

               

Pre-Refunded @ 100

               

5.000%, 06/01/27(B)

    500       556  

Long Beach, Unified School District, GO

               

5.000%, 08/01/26

    1,000       1,090  

Los Angeles County, Metropolitan Transportation Authority Sales Tax Revenue, RB

               

5.000%, 06/01/31

    270       326  

Los Angeles County, Metropolitan Transportation Authority, RB

               

5.000%, 06/01/26

    260       283  

Los Angeles, Department of Airports, RB

               

Callable 11/15/29 @ 100

               

5.000%, 05/15/32

    105       124  

Los Angeles, Department of Airports, Ser C, RB

               

5.000%, 05/15/25

    660       696  

Los Angeles, Department of Airports, Sub-Ser, RB

               

Callable 05/15/32 @ 100

               

5.000%, 05/15/33

    125       154  

Los Angeles, Department of Airports, Sub-Ser, RB, AMT

               

Callable 05/15/26 @ 100

               

5.000%, 05/15/29

    400       422  

Los Angeles, Department of Water & Power, Power System Project, Ser C, RB

               

5.000%, 07/01/23

    580       584  

Los Angeles, Department of Water & Power, Power System Project, Sub-Ser A-7-REM, RB

               

Callable 05/01/23 @ 100

               

2.310%, 07/01/35(A)

    905       905  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 10

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale California Tax Exempt Bond Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Los Angeles, Department of Water & Power, Ser A, RB

               

5.000%, 07/01/27

  $ 510     $ 570  

Los Angeles, Department of Water & Power, Ser B, RB

               

Callable 01/01/27 @ 100

               

5.000%, 07/01/30

    175       192  

Los Angeles, Department of Water & Power, Sub-Ser A-6-REM, RB

               

Callable 05/01/23 @ 100

               

2.290%, 07/01/35(A)

    1,000       1,000  

Los Angeles, Sanitation Districts Financing Authority, Ser A, RB

               

Callable 10/01/25 @ 100

               

5.000%, 10/01/28

    525       560  

Los Angeles, Unified School District, Ser B-1, GO

               

Callable 01/01/28 @ 100

               

5.000%, 07/01/30

    165       186  

Los Angeles, Wastewater System Revenue, Sub-Ser A, RB

               

Callable 06/01/27 @ 100

               

5.000%, 06/01/30

    150       167  

Marin Municipal Water District, Sub-Ser, RB

               

5.000%, 06/15/32

    430       528  

Metropolitan Water District of Southern California, Ser A, RB

               

5.000%, 10/01/31

    260       318  

Modesto Irrigation District, RB

               

5.000%, 07/01/31

    105       126  

Orange County, Redevelopment Agency Successor Agency, TA, AGM

               

5.000%, 09/01/23

    335       338  

Redding, Electric System Revenue, RB

               

5.000%, 06/01/24

    655       674  

Redding, Electric System Revenue, RB

               

5.000%, 06/01/25

    595       626  

Riverside Community College District, GO

               

Callable 08/01/29 @ 100

               

4.000%, 08/01/32

    370       403  

Riverside County, Infrastructure Financing Authority, Ser A, RB

               

Callable 11/01/26 @ 100

               

4.000%, 11/01/29

    520       546  

Riverside County, Transportation Commission Sales Tax Revenue, Ser B, RB

               

Callable 12/01/27 @ 100

               

5.000%, 06/01/32

  $ 325     $ 363  

Riverside Redevelopment Agency Successor Agency, Ser A, RB

               

5.000%, 09/01/27

    100       110  

Riverside Unified School District, Ser C, GO

               

Callable 08/01/32 @ 100

               

5.000%, 08/01/34

    275       335  

San Diego, Association of Governments South Bay Expressway Revenue, Ser A, RB

               

Callable 07/01/27 @ 100

               

5.000%, 07/01/28

    365       403  

San Dieguito Unified High School District, Ser E-2, GO

               

4.000%, 08/01/30

    100       112  

San Francisco Bay Area Rapid Transit District, GO

               

Callable 08/01/29 @ 100

               

5.000%, 08/01/33

    130       151  

San Francisco City & County, Airport Comm-San Francisco International Airport, RB

               

Callable 05/01/26 @ 100

               

5.000%, 05/01/29

    395       429  

San Francisco City & County, Earthquake Saftey, GO

               

Callable 06/15/29 @ 100

               

4.000%, 06/15/31

    100       110  

San Francisco City & County, Public Utilities Commission, Water Revenue, Ser A, RB

               

Callable 10/01/25 @ 100

               

5.000%, 10/01/27

    500       533  

San Francisco City & County, Public Utilities Commission, Water Revenue, Ser A, RB

               

Callable 11/01/24 @ 100

               

5.000%, 11/01/28

    500       519  

San Francisco City & County, Public Utilities Commission, Water Revenue, Sub-Ser, RB

               

Callable 11/01/26 @ 100

               

4.000%, 11/01/30

    1,040       1,103  

San Jose, Redevelopment Agency Successor Agency, Sub-Ser B, RB

               

5.000%, 08/01/27

    125       139  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 11

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale California Tax Exempt Bond Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

San Mateo County, Joint Powers Financing Authority, Maple Street Correctional Center, RB

               

Callable 06/15/24 @ 100

               

5.000%, 06/15/26

  $ 1,045     $ 1,075  

San Mateo County, Transit District Sales Tax Revenue, Sub-Ser B, RB, BANK OF AMERICA N.A.

               

Callable 04/05/23 @ 100

               

2.400%, 06/01/49(A)

    1,500       1,500  

Santa Clara Valley, Transportation Authority, Ser B, RB

               

5.000%, 06/01/26

    200       217  

Santa Monica-Malibu Unified School District, Ser B, GO

               

Callable 08/01/29 @ 100

               

4.000%, 08/01/32

    100       110  

Tahoe-Truckee, Unified School District, Ser B, GO

               

Callable 08/01/26 @ 100

               

5.000%, 08/01/27

    200       218  

Tahoe-Truckee, Unified School District, Ser B, GO

               

Callable 08/01/26 @ 100

               

5.000%, 08/01/28

    200       218  

Tustin, Unified School District, SPL Tax, BAM

               

5.000%, 09/01/24

    525       542  

University of California, Regents of the University of California Medical Center Pooled Revenue, Ser J, RB

               

Pre-Refunded @ 100

               

5.000%, 05/15/23(B)

    110       110  

University of California, Ser AL-4-REMK, RB

               

Callable 05/01/23 @ 100

               

2.250%, 05/15/48(A)

    1,400       1,400  

University of California, Ser BN, RB

               

5.000%, 05/15/32

    500       618  

Western Placer Waste Management Authority, RB

               

5.000%, 06/01/32

    100       123  

Westlands, Water District, Ser A, RB, AGM

               

Callable 09/01/26 @ 100

               

5.000%, 09/01/27

  $ 1,035     $ 1,126  
                         

Total California

    42,895  
                         

New York [1.6%]

New York City Transitional Finance Authority Future Tax Secured Revenue, Sub-Ser E-1, RB

               

5.000%, 11/01/29

    600       701  
                         

Total Municipal Bonds

(Cost $44,125)

    44,123  
                         

Short-Term Investment [0.2%]

SEI Daily Income Trust Government Fund, Cl Institutional, 4.485%**

    101,983       102  
                         

Total Short-Term Investment

(Cost $102)

    102  
                         

Total Investments [97.6%]

(Cost $44,227)

  $ 44,225  
                         

 

Percentages are based on net assets of $45,296 (000).

 

**

The rate reported is the 7-day effective yield as of March 31, 2023.

 

(A)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

 

(B)

Pre-Refunded Security — The maturity date shown is the pre-refunded date.

 

AGM — Assured Guarantee Municipal

 

AMT — Alternative Minimum Tax (subject to)

 

BAM — Build America Mutual

 

Cl — Class

 

GO — General Obligation

 

RB — Revenue Bond

 

Ser — Series

 

SPL Tax — Special Tax

 

TA — Tax Allocation

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 12

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale California Tax Exempt Bond Fund (concluded)

 

 

The following is a list of the inputs used as of March 31, 2023 in valuing the Fund’s investments carried at value (000):

 

Investments in Securities

 

Level 1

   

Level 2

   

Level 3

   

Total

 

Municipal Bonds

  $     $ 44,123     $     $ 44,123  

Short-Term Investment

    102                   102  

Total Investments in Securities

  $ 102     $ 44,123     $     $ 44,225  

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

For more information on valuation inputs, see Note 2 -- Significant Accounting

 

Policies in the Notes to Financial Statements.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 13

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund

 

 

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Municipal Bonds [95.7%]

Alabama [1.8%]

Black Belt Energy Gas District, Ser B-1, RB

               

Callable 07/01/27 @ 100

               

4.000%, 04/01/53(A)

  $ 1,000     $ 984  

Jefferson County, Sewer Revenue, Ser D, RB

               

Callable 10/01/23 @ 105

               

6.000%, 10/01/42

    9,000       9,542  

Jefferson County, Sewer Revenue, Sub-Ser, RB

               

Callable 10/01/23 @ 105

               

0.853%, 10/01/46

    2,500       2,577  

Southeast Energy Authority A Cooperative District, Ser A-1, RB

               

Callable 09/01/29 @ 100

               

5.500%, 01/01/53(A)

    1,500       1,604  

Southeast Energy Authority A Cooperative District, Ser B, RB

               

Callable 09/01/31 @ 101

               

4.000%, 12/01/51(A)

    5,000       4,859  

Tuscaloosa County, Industrial Development Authority, Ser A, RB

               

Callable 05/01/29 @ 100

               

5.250%, 05/01/44(B)

    3,000       2,457  
                         

Total Alabama

    22,023  
                         

Alaska [0.3%]

Northern Tobacco Securitization, Ser A-CLASS, RB

               

Callable 06/01/31 @ 100

               

4.000%, 06/01/50

  $ 3,500     $ 3,087  
                         

Arizona [0.9%]

Arizona Industrial Development Authority

               

Callable 07/01/28 @ 100

               

5.000%, 07/01/43(B)

    310       293  

Arizona State, Industrial Development Authority, RB

               

Callable 07/01/29 @ 100

               

5.000%, 01/01/54

    375       227  

Arizona State, Industrial Development Authority, RB

               

Callable 07/15/29 @ 100

               

4.000%, 07/15/51(B)

    500       374  

Arizona State, Industrial Development Authority, RB

               

Callable 07/15/29 @ 100

               

4.000%, 07/15/56(B)

    225       164  

Glendale, Industrial Development Authority, Glencroft Retirement Community, RB

               

Callable 11/15/26 @ 100

               

5.250%, 11/15/46

    1,000       718  

Glendale, Industrial Development Authority, Glencroft Retirement Community, RB

               

Callable 11/15/26 @ 100

               

5.250%, 11/15/51

    1,850       1,286  

Glendale, Industrial Development Authority, Glencroft Retirement Community, RB

               

Callable 11/15/26 @ 100

               

5.000%, 11/15/36

    600       466  

Phoenix, Civic Improvement, Ser A, RB

               

Callable 07/01/25 @ 100

               

5.000%, 07/01/45

    250       254  

Phoenix, Industrial Development Authority, Legacy Traditional School Projects, RB

               

Callable 07/01/25 @ 100

               

5.000%, 07/01/45(B)

    3,300       2,972  

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 14

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Pima County, Industrial Development Authority, Noah Webster School Project, RB

               

Callable 12/15/23 @ 100

               

7.000%, 12/15/43

  $ 1,500     $ 1,523  

Tempe, Industrial Development Authority, Mirrabella at ASU Project, Ser A, RB

               

Callable 10/01/27 @ 100

               

6.125%, 10/01/52(B)

    1,200       737  

Yavapai County, Industrial Development Authority, Ser A, RB

               

Callable 03/01/25 @ 100

               

5.000%, 09/01/34(B)

    2,015       1,962  
                         

Total Arizona

    10,976  
                         

Arkansas [0.4%]

Arkansas State, Development Finance Authority, RB, AMT

               

Callable 09/01/26 @ 103

               

4.500%, 09/01/49(B)

    4,750       4,250  
                         

California [6.7%]

California Community Choice Financing Authority

               

Callable 10/01/30 @ 101

               

5.250%, 01/01/54(A)

    4,875       4,989  

California County Tobacco Securitization Agency, RB

               

Callable 12/01/30 @ 100

               

4.000%, 06/01/49

    1,000       928  

California County, Tobacco Securitization Agency, Sub-Ser A, RB

               

Callable 04/21/23 @ 23

               

8.449%, 06/01/46(C)

    10,000       2,274  

California Infrastructure & Economic Development Bank, AMT

               

Callable 05/08/23 @ 100

               

3.650%, 01/01/50(A)(B)

    2,500       2,501  

California Pollution Control Financing Authority, AMT

               

Callable 07/01/33 @ 100

               

5.000%, 07/01/34(B)

    1,000       1,082  

California State, Community Choice Financing Authority, RB

               

Callable 08/01/32 @ 100

               

3.000%, 02/01/57(B)

    8,500       5,449  

California State, Community Choice Financing Authority, Ser B-1-GREEN, RB

               

Callable 05/01/31 @ 101

               

4.000%, 02/01/52(A)

  $ 3,750     $ 3,701  

California State, Municipal Finance Authority, California Baptist University, Ser A, RB

               

Callable 11/01/25 @ 100

               

5.500%, 11/01/45(B)

    4,000       4,035  

California State, Municipal Finance Authority, RB

               

Callable 09/01/29 @ 103

               

5.000%, 09/01/52

    875       882  

California State, Municipal Finance Authority, RB

               

Callable 11/01/31 @ 100

               

4.000%, 11/01/36(B)

    2,370       2,189  

California State, Municipal Finance Authority, Ser A, RB

               

Callable 12/01/30 @ 100

               

5.000%, 12/01/46(B)

    625       619  

California State, Municipal Finance Authority, Ser A, RB

               

Callable 11/01/26 @ 100

               

5.000%, 11/01/47

    1,005       996  

California State, Municipal Finance Authority, Ser A, RB

               

Callable 12/01/30 @ 100

               

5.000%, 12/01/54(B)

    875       852  

California State, Municipal Finance Authority, Ser A, RB, AGM

               

Callable 11/01/32 @ 100

               

5.250%, 11/01/52

    1,000       1,067  

California State, Municipal Finance Authority, Ser D, RB

               

Callable 09/01/29 @ 103

               

6.000%, 09/01/42

    2,000       2,103  

California State, Pollution Control Financing Authority, Calplant I Project, RB, AMT

               

Callable 07/01/27 @ 100

               

8.000%, 07/01/39(B)(D)

    5,000       250  

California State, Pollution Control Financing Authority, RB, AMT

               

7.500%, 07/01/32(B)(D)

    1,275       166  

California State, School Finance Authority, KIPP LA Project, Ser A, RB

               

Callable 07/01/27 @ 100

               

5.000%, 07/01/47(B)

    500       506  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 15

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

California State, School Finance Authority, RB

               

Callable 08/01/32 @ 100

               

5.375%, 08/01/42(B)

  $ 500     $ 524  

California State, School Finance Authority, View Park Elementary & Middle School Project, Ser A, RB

               

Callable 10/01/24 @ 100

               

6.000%, 10/01/49

    1,120       1,123  

California State, School Finance Authority, View Park Elementary & Middle School Project, Ser A, RB

               

Callable 10/01/24 @ 100

               

5.875%, 10/01/44

    1,000       1,003  

California State, School Finance Authority, View Park Elementary & Middle School Project, Ser A, RB

               

Callable 10/01/24 @ 100

               

5.625%, 10/01/34

    575       579  

California State, Statewide Communities Development Authority, RB

               

Callable 06/01/28 @ 100

               

5.500%, 12/01/58(B)

    1,500       1,499  

California State, Statewide Communities Development Authority, RB

               

Callable 06/01/28 @ 100

               

5.250%, 12/01/43(B)

    500       501  

California State, Statewide Communities Development Authority, RB

               

Callable 12/01/24 @ 100

               

5.250%, 12/01/44

    7,380       7,394  

City & County of San Francisco California Community Facilities District No. 2016-1, Ser 2021, SPL Tax

               

Callable 09/01/27 @ 103

               

4.000%, 09/01/46

    915       815  

City & County of San Francisco California Community Facilities District No. 2016-1, SPL Tax

               

Callable 09/01/28 @ 103

               

4.000%, 09/01/42(B)

    2,250       2,070  

City & County of San Francisco California Infrastructure & Revitalization Fing Dist No. 1, SPL Tax

               

Callable 09/01/32 @ 100

               

5.000%, 09/01/52(B)

  $ 1,320     $ 1,287  

City & County of San Francisco California Special Tax District No. 2020-1, Ser B, SPL Tax

               

Callable 09/01/31 @ 100

               

5.250%, 09/01/49(B)

    5,000       3,618  

CMFA Special Finance Agency VII, RB

               

Callable 08/01/31 @ 100

               

3.000%, 08/01/56(B)

    11,295       7,393  

CSCDA Community Improvement Authority, RB

               

Callable 07/01/32 @ 100

               

3.250%, 07/01/56(B)

    500       337  

CSCDA Community Improvement Authority, RB

               

Callable 06/01/31 @ 100

               

3.000%, 06/01/47(B)

    3,840       2,809  

Golden State, Tobacco Securitization, Sub-Ser B-2, RB

               

Callable 12/01/31 @ 28

               

7.682%, 06/01/66(C)

    20,000       2,023  

Golden State, Tobacco Securitization, Sub-Ser, RB

               

Callable 12/01/31 @ 100

               

3.850%, 06/01/50

    4,500       4,063  

Inland Empire, Tobacco Securitization Authority, RB

               

Callable 04/21/23 @ 43

               

10.730%, 06/01/36(C)

    12,500       5,303  

Orange County, Community Facilities District, Ser A, SPL Tax

               

Callable 08/15/29 @ 103

               

5.000%, 08/15/47

    3,300       3,385  
                         

Total California

    80,315  
                         

Colorado [9.7%]

9th Avenue Metropolitan District No. 2, GO

               

Callable 12/01/23 @ 103

               

5.000%, 12/01/48

    1,000       893  

Amber Creek, Metropolitan District, Ser A, GO

               

Callable 05/08/23 @ 103

               

5.125%, 12/01/47

    1,041       934  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 16

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Amber Creek, Metropolitan District, Ser A, GO

               

Callable 05/08/23 @ 103

               

5.000%, 12/01/37

  $ 715     $ 678  

Banning Lewis Ranch Metropolitan District No. 8, GO

               

Callable 06/01/26 @ 103

               

4.875%, 12/01/51(B)

    3,500       2,714  

Base Village Metropolitan District No. 2, Ser A, GO

               

Callable 05/08/23 @ 102

               

5.750%, 12/01/46

    3,055       3,061  

Broadway Park North Metropolitan District No. 2, GO

               

Callable 12/01/25 @ 103

               

5.000%, 12/01/40(B)

    1,100       1,048  

Broadway Park North Metropolitan District No. 2, GO

               

Callable 12/01/25 @ 103

               

5.000%, 12/01/49(B)

    1,265       1,161  

Broadway Station Metropolitan District No. 2, Ser A, GO

               

Callable 06/01/24 @ 103

               

5.125%, 12/01/48

    1,500       1,106  

Broadway Station Metropolitan District No. 2, Ser A, GO

               

Callable 06/01/24 @ 103

               

5.000%, 12/01/35

    730       539  

Buffalo Highlands Metropolitan District, Ser A, GO

               

Callable 12/01/23 @ 103

               

5.375%, 12/01/48

    1,775       1,674  

Canyons Metropolitan District No. 5, Ser A, GO

               

Callable 05/08/23 @ 103

               

6.125%, 12/01/47

    1,000       975  

Canyons Metropolitan District No. 5, Ser A, GO

               

Callable 05/08/23 @ 103

               

6.000%, 12/01/37

    2,000       1,952  

Chambers Highpoint Metropolitan District No. 2, GO

               

Callable 09/01/26 @ 103

               

5.000%, 12/01/41

    515       469  

Chambers Highpoint Metropolitan District No. 2, GO

               

Callable 09/01/26 @ 103

               

5.000%, 12/01/51

    1,505       1,296  

City & County of Denver Colorado, RB, AMT

               

Callable 10/01/23 @ 100

               

5.000%, 10/01/32

  $ 2,000     $ 1,966  

Clear Creek Station, Metropolitan District No. 2, Ser A, GO

               

Callable 05/08/23 @ 103

               

5.000%, 12/01/47

    1,000       931  

Colorado State, Educational & Cultural Facilities Authority, Aspen Ridge School Project, RB

               

Callable 07/01/25 @ 100

               

5.250%, 07/01/46(B)

    1,930       1,847  

Colorado State, Educational & Cultural Facilities Authority, Aspen Ridge School Project, RB

               

Callable 07/01/25 @ 100

               

5.000%, 07/01/36(B)

    915       895  

Colorado State, Educational & Cultural Facilities Authority, Charter School Preparatory School Project, RB

               

Pre-Refunded @ 100

               

5.250%, 04/01/25(B)(E)

    2,655       2,785  

Colorado State, Educational & Cultural Facilities Authority, Charter School Preparatory School Project, RB

               

Pre-Refunded @ 100

               

5.125%, 04/01/25(B)(E)

    1,515       1,586  

Colorado State, Educational & Cultural Facilities Authority, RB

               

Callable 01/01/32 @ 100

               

4.000%, 01/01/52

    1,350       1,098  

Colorado State, Educational & Cultural Facilities Authority, RB

               

Callable 05/01/28 @ 103

               

4.000%, 05/01/61

    500       389  

Colorado State, Educational & Cultural Facilities Authority, RB

               

Callable 01/01/32 @ 100

               

4.000%, 01/01/62

    1,590       1,238  

Colorado State, Health Facilities Authority, RB

               

Callable 05/15/28 @ 100

               

5.000%, 11/15/48

    2,800       2,929  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 17

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Colorado State, Health Facilities Authority, Ser A, RB

               

Callable 05/15/28 @ 103

               

5.000%, 05/15/44

  $ 1,170     $ 946  

Colorado State, Health Facilities Authority, Ser A, RB

               

Callable 05/15/28 @ 103

               

5.000%, 05/15/49

    6,735       5,229  

Colorado State, Health Facilities Authority, Ser A, RB

               

Callable 05/15/28 @ 103

               

5.000%, 05/15/58

    395       293  

Colorado State, Health Facilities Authority, Ser A-, RB

               

Callable 08/01/29 @ 100

               

4.000%, 08/01/44

    4,155       3,800  

Colorado State, High Performance Transportation Enterprise, U.S. 36 & I-25 Managed Lanes Project, RB, AMT

               

Callable 05/08/23 @ 100

               

5.750%, 01/01/44

    2,000       2,001  

Constitution Heights Metropolitan District, GO

               

Callable 06/01/25 @ 103

               

5.000%, 12/01/49

    1,260       1,148  

Cottonwood Highlands Metropolitan District No. 1, Ser A, GO

               

Callable 06/01/24 @ 103

               

5.000%, 12/01/49

    1,400       1,261  

Denver International Business Center Metropolitan District No. 1, Ser A, RB

               

Callable 06/01/24 @ 100

               

4.000%, 12/01/48

    350       316  

Denver, International Business Center Metropolitan District No. 1, Sub-Ser B, GO

               

Callable 06/01/24 @ 103

               

6.000%, 12/01/48

    2,290       2,270  

Erie Highlands, Metropolitan District No. 1, GO, BAM

               

Callable 12/01/30 @ 100

               

3.000%, 12/01/45

    500       396  

Erie Highlands, Metropolitan District No. 1, GO, BAM

               

Callable 12/01/30 @ 100

               

2.250%, 12/01/40

    900       663  

Erie Highlands, Metropolitan District No. 2, Ser A, GO

               

Callable 12/01/23 @ 103

               

5.250%, 12/01/48

  $ 5,725     $ 5,328  

First Creek Village Metropolitan District, Ser A, GO

               

Callable 09/01/24 @ 103

               

5.000%, 12/01/39

    595       584  

First Creek Village Metropolitan District, Ser A, GO

               

Callable 09/01/24 @ 103

               

5.000%, 08/01/49

    1,085       1,007  

First Creek Village Metropolitan District, Ser A, GO

               

Callable 09/01/24 @ 103

               

3.000%, 12/01/29

    500       438  

Four Corners Business Improvement District, GO

               

Callable 09/01/27 @ 103

               

6.000%, 12/01/52

    1,130       1,032  

Green Valley Ranch East Metropolitan District No. 6, Ser A, GO

               

Callable 09/01/25 @ 103

               

5.875%, 12/01/50

    1,195       1,143  

Greenways Metropolitan District No. 1, Ser A, GO

               

Callable 09/01/26 @ 103

               

4.625%, 12/01/51

    3,685       2,585  

Jefferson Center, Metropolitan District No. 1, Ser A-2, RB

               

Callable 12/01/23 @ 103

               

4.375%, 12/01/47

    750       608  

Jefferson Center, Metropolitan District No. 1, Ser A-2, RB

               

Callable 12/01/23 @ 103

               

4.125%, 12/01/40

    575       482  

Karl’s Farm Metropolitan District No. 2, Ser A, GO

               

Callable 09/01/25 @ 103

               

5.625%, 12/01/50(B)

    1,900       1,751  

Karl’s Farm Metropolitan District No. 2, Ser A, GO

               

Callable 09/01/25 @ 103

               

5.375%, 12/01/40(B)

    645       606  

Legato Community Authority, Ser A-1, RB

               

Callable 06/01/26 @ 103

               

5.000%, 12/01/51

    1,025       854  

Legato Community Authority, Ser A-2, RB

               

Callable 06/01/26 @ 101

               

0.000%, 12/01/51

    7,335       4,666  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 18

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Meadowlark Metropolitan District, Ser A-SENIOR-LIMITED, GO

               

Callable 09/01/25 @ 103

               

5.125%, 12/01/50

  $ 750     $ 652  

Mirabelle Metropolitan District No. 2, Ser A, GO

               

Callable 03/01/25 @ 103

               

5.000%, 12/01/49

    1,950       1,737  

North Holly, Metropolitan District, Ser A, GO

               

Callable 12/01/23 @ 103

               

5.500%, 12/01/48

    1,755       1,684  

North Range Metropolitan District No. 3, Ser A, GO

               

Callable 12/01/25 @ 103

               

5.250%, 12/01/50

    3,000       2,694  

Rampart Range Metropolitan District No. 5, RB

               

Callable 10/01/26 @ 102

               

4.000%, 12/01/51

    3,725       2,598  

Regional Transportation District, RB

               

4.000%, 07/15/40

    500       478  

Senac South Metropolitan District No. 1, Ser A, GO

               

Callable 12/01/26 @ 103

               

5.250%, 12/01/51

    5,000       4,276  

Serenity Ridge, Metropolitan District No. 2, Ser A, GO

               

Pre-Refunded @ 100

               

5.125%, 12/01/23(E)

    550       574  

Serenity Ridge, Metropolitan District No. 2, Ser A, GO

               

Pre-Refunded @ 100

               

5.125%, 12/01/23(E)

    1,000       1,045  

Southglenn, Metropolitan District, GO

               

Callable 05/08/23 @ 102

               

5.000%, 12/01/46

    1,575       1,465  

Spring Hill, Metropolitan District No. 3, Ser A, GO

               

Callable 12/01/27 @ 103

               

6.750%, 12/01/52(B)

    5,000       5,056  

Stone Creek, Metropolitan District, Ser A, GO

               

Callable 12/01/23 @ 103

               

5.625%, 12/01/47

    2,000       1,949  

Trails at Crowfoot Metropolitan District No. 3, Ser ES, GO

               

Callable 09/01/24 @ 103

               

5.000%, 12/01/49

    3,620       3,265  

Verve Metropolitan District No. 1, GO

               

Callable 03/01/26 @ 103

               

5.000%, 12/01/51

  $ 5,000     $ 4,363  

Village at Dry Creek Metropolitan District No. 2, GO

               

Callable 09/01/24 @ 103

               

4.375%, 12/01/44

    1,536       1,281  

Villas Metropolitan District, Ser A, GO

               

Callable 12/01/23 @ 103

               

5.125%, 12/01/48

    1,246       1,151  

Water Valley, Metropolitan District No. 01, GO

               

Callable 12/01/26 @ 100

               

5.250%, 12/01/40

    545       534  

Water Valley, Metropolitan District No. 01, GO

               

Callable 12/01/26 @ 100

               

5.000%, 12/01/35

    100       98  

Water Valley, Metropolitan District No. 01, GO

               

Callable 12/01/26 @ 100

               

4.000%, 12/01/33

    375       336  

Water Valley, Metropolitan District No. 02, GO

               

Callable 12/01/26 @ 100

               

5.250%, 12/01/40

    1,045       1,027  

Water Valley, Metropolitan District No. 02, GO

               

Callable 12/01/26 @ 100

               

4.000%, 12/01/33

    250       225  

Waterview II Metropolitan District, Ser A, GO

               

Callable 03/01/27 @ 103

               

5.000%, 12/01/41

    980       892  

Waterview II Metropolitan District, Ser A, GO

               

Callable 03/01/27 @ 103

               

5.000%, 12/01/51

    2,500       2,154  

Westcreek Metropolitan District No. 2, Ser A, GO

               

Callable 06/01/24 @ 103

               

5.375%, 12/01/48

    1,300       1,226  

Wild Plum Metropolitan District, Ser A, GO

               

Pre-Refunded @ 100

               

5.000%, 12/01/24(E)

    595       631  

Willow Bend Metropolitan District, Ser A, GO

               

Callable 09/01/24 @ 103

               

5.000%, 12/01/39

    600       570  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 19

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Willow Bend Metropolitan District, Ser A, GO

               

Callable 09/01/24 @ 103

               

5.000%, 12/01/49

  $ 1,000     $ 893  

Wyndham Hill Metropolitan District No. 2, Ser A, GO, BAM

               

Callable 12/01/28 @ 100

               

4.000%, 12/01/49

    1,500       1,396  
                         

Total Colorado

    117,821  
                         

Connecticut [0.1%]

Steel Point Infrastructure Improvement District, TA

               

Callable 04/01/30 @ 100

               

4.000%, 04/01/51(B)

    1,280       961  
                         

Delaware [0.1%]

Delaware State, Economic Development Authority, Ser V, RB

               

Callable 10/01/25 @ 100

               

1.250%, 10/01/45(A)

    2,000       1,832  
                         

District of Columbia [0.4%]

Metropolitan Washington, Airports Authority, Dulles Toll Road Revenue, Sub-Ser, RB

               

Callable 10/01/29 @ 100

               

4.000%, 10/01/49

    4,965       4,576  
                         

Florida [6.7%]

Alachua County, Health Facilities Authority, RB

               

Callable 11/15/24 @ 100

               

6.375%, 11/15/49

    5,190       3,662  

Capital Trust Agency, RB

               

Callable 01/01/29 @ 100

               

5.375%, 07/01/54(B)

    1,500       1,396  

Capital Trust Agency, RB

               

Callable 01/01/29 @ 100

               

5.125%, 07/01/39(B)

    1,500       1,434  

Capital Trust Agency, RB

               

Callable 06/15/26 @ 100

               

5.000%, 06/15/39(B)

    3,610       3,359  

Capital Trust Agency, RB

               

Callable 06/15/26 @ 100

               

4.000%, 06/15/41(B)

    2,250       1,803  

Charlotte County, Industrial Development Authority, RB

               

Callable 10/01/31 @ 100

               

5.000%, 10/01/36(B)

  $ 2,265     $ 1,968  

Charlotte County, Industrial Development Authority, RB, AMT

               

Callable 10/01/31 @ 100

               

4.000%, 10/01/41(B)

    500       418  

Charlotte County, Industrial Development Authority, RB, AMT

               

Callable 10/01/31 @ 100

               

4.000%, 10/01/51(B)

    905       698  

County of Monroe Florida Airport Revenue, Ser 202, RB, AMT

               

Callable 10/01/32 @ 100

               

5.000%, 10/01/52

    750       758  

County of Osceola Florida Transportation Revenue, Ser A-2, RB

               

Callable 10/01/29 @ 49

               

3.445%, 10/01/49(C)

    1,325       292  

Florida Development Finance, Ser A

               

Callable 06/15/27 @ 100

               

5.000%, 06/15/40

    1,500       1,482  

Florida State, Capital Trust Agency, Silver Creek St. Augustine, Ser A, RB

               

Callable 03/18/21 @ 103

               

8.250%, 01/01/44

    3,390       28  

Florida State, Capital Trust Agency, Silver Creek St. Augustine, Ser A, RB

               

Callable 03/18/21 @ 103

               

8.250%, 01/01/49

    1,000       8  

Florida State, Development Finance, RB

               

Callable 06/15/32 @ 100

               

5.750%, 06/15/47

    2,750       2,848  

Florida State, Development Finance, RB

               

Callable 06/01/27 @ 103

               

5.250%, 06/01/50(B)

    750       664  

Florida State, Development Finance, RB

               

Callable 06/01/28 @ 103

               

5.000%, 06/01/35

    200       186  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 20

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Florida State, Development Finance, RB

               

Callable 09/15/27 @ 100

               

5.000%, 09/15/40(B)

  $ 1,045     $ 906  

Florida State, Development Finance, RB

               

Callable 09/15/27 @ 100

               

5.000%, 09/15/50(B)

    1,950       1,557  

Florida State, Development Finance, RB

               

Callable 06/01/28 @ 103

               

5.000%, 06/01/51

    1,750       1,398  

Florida State, Development Finance, RB

               

Callable 07/01/32 @ 100

               

5.000%, 07/01/51

    780       774  

Florida State, Development Finance, RB

               

Callable 06/01/28 @ 103

               

4.000%, 06/01/55(B)

    2,500       1,656  

Florida State, Development Finance, RB, AMT

               

Callable 01/01/24 @ 107

               

7.375%, 01/01/49(B)

    5,000       4,605  

Florida State, Development Finance, RB, AMT

               

Callable 05/08/23 @ 103

               

7.250%, 07/01/57(A)(B)

    3,000       3,023  

Florida State, Development Finance, RB, AMT

               

Callable 05/08/23 @ 104

               

5.000%, 05/01/29(B)

    3,500       3,250  

Florida State, Development Finance, RB, AMT

               

Callable 06/01/24 @ 103

               

3.000%, 06/01/32

    4,345       3,277  

Florida State, Development Finance, Renaissance Charter School Project, RB

               

Callable 06/15/25 @ 100

               

6.125%, 06/15/46(B)

    4,930       4,942  

Florida State, Development Finance, Renaissance Charter School Project, Ser A, RB

               

Callable 06/15/24 @ 100

               

6.125%, 06/15/44(B)

    3,000       3,037  

Florida State, Development Finance, Renaissance Charter School Project, Ser A, RB

               

Callable 06/15/24 @ 100

               

6.000%, 06/15/34(B)

    2,110       2,141  

Lakewood Ranch, Stewardship District, SAB

               

Callable 05/01/27 @ 100

               

5.250%, 05/01/37

  $ 1,810     $ 1,826  

Miami-Dade County, Industrial Development Authority, Pinecrest Academy Project, RB

               

Callable 09/15/24 @ 100

               

5.250%, 09/15/44

    4,550       4,613  

Miami-Dade County, Industrial Development Authority, Youth CO-OP Charter Schools Project, Ser A, RB

               

Callable 09/15/25 @ 100

               

5.750%, 09/15/35(B)

    1,605       1,610  

Mid-Bay, Bridge Authority, Ser A, RB

               

Callable 10/01/25 @ 100

               

5.000%, 10/01/35

    5,000       5,111  

Osceola County, Finance Authority, Poinciana Parkway Project, Ser A, RB

               

Pre-Refunded @ 100

               

5.375%, 10/01/24(E)

    5,000       5,194  

Osceola County, Transportation Revenue, Ser A-1, RB

               

Callable 10/01/29 @ 100

               

5.000%, 10/01/49

    1,045       1,051  

Osceola County, Transportation Revenue, Ser A-1, RB

               

Callable 10/01/29 @ 100

               

4.000%, 10/01/54

    800       678  

Palm Beach County, Health Facilities Authority, RB

               

Callable 11/15/26 @ 100

               

5.000%, 11/15/32

    1,500       1,521  

Palm Beach County, Health Facilities Authority, RB

               

Callable 06/01/25 @ 103

               

5.000%, 06/01/55

    2,395       2,095  

Village Community Development District No. 10, SAB

               

Callable 05/08/23 @ 100

               

6.000%, 05/01/44

    635       636  

Village Community Development District No. 12, SAB

               

Callable 05/01/28 @ 100

               

4.250%, 05/01/43

    2,305       2,077  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 21

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Village Community Development District No. 14, SAB

               

Callable 05/01/30 @ 100

               

5.375%, 05/01/42

  $ 2,540     $ 2,520  

Village Community Development District No. 8, SAB, AGM

               

Callable 05/01/30 @ 100

               

4.500%, 05/01/39

    2,130       2,225  
                         

Total Florida

    82,727  
                         

Georgia [1.5%]

Atlanta, Airport Passenger Facility Charge, Sub-Ser, RB, AMT

               

Callable 07/01/29 @ 100

               

4.000%, 07/01/38

    4,000       3,992  

Atlanta, Department of Aviation, Ser A, RB

               

Callable 01/01/24 @ 100

               

5.000%, 01/01/31

    2,500       2,539  

Cobb County Kennestone Hospital Authority, RB

               

Callable 04/01/32 @ 100

               

4.000%, 04/01/52

    3,365       3,085  

Gainesville & Hall County, Development Authority, Riverside Military Academy, RB

               

Callable 03/01/27 @ 100

               

5.000%, 03/01/47

    4,000       2,949  

Main Street Natural Gas, Ser A, RB

               

Callable 05/15/29 @ 100

               

5.000%, 05/15/43

    600       603  

Main Street Natural Gas, Ser C, RB

               

Callable 05/01/27 @ 101

               

4.000%, 08/01/52(A)(B)

    4,500       4,292  

Savannah, Economic Development Authority, Marshes Skidaway Island Project, RB

               

Pre-Refunded @ 100

               

7.250%, 01/01/24(E)

    810       836  
                         

Total Georgia

    18,296  
                         

Illinois [11.6%]

Aurora, Tax Increase Revenue, Ser A, RB

               

5.000%, 12/30/27

  $ 600     $ 586  

Bridgeview Village, Ser A, GO

               

Callable 12/01/25 @ 100

               

5.750%, 12/01/35

    2,000       2,023  

Bridgeview Village, Ser A, GO

               

Callable 06/01/24 @ 100

               

5.500%, 12/01/43

    4,880       4,710  

Chicago, Board of Education, Ser A, GO

               

Callable 12/01/28 @ 100

               

5.000%, 12/01/34

    1,000       1,028  

Chicago, Board of Education, Ser A, GO

               

Callable 12/01/30 @ 100

               

5.000%, 12/01/35

    2,300       2,375  

Chicago, Board of Education, Ser A, GO

               

Callable 12/01/28 @ 100

               

5.000%, 12/01/35

    1,250       1,276  

Chicago, Board of Education, Ser B, GO

               

Callable 12/01/27 @ 100

               

7.000%, 12/01/42(B)

    5,250       5,727  

Chicago, Board of Education, Ser B, GO

               

Callable 12/01/31 @ 100

               

4.000%, 12/01/40

    2,500       2,252  

Chicago, Board of Education, Ser D, GO

               

Callable 12/01/28 @ 100

               

5.000%, 12/01/46

    2,300       2,272  

Chicago, Board of Education, Ser G, GO

               

Callable 12/01/27 @ 100

               

5.000%, 12/01/34

    2,000       2,058  

Chicago, Midway International Airport, Ser A, RB, AMT

               

Callable 01/01/24 @ 100

               

5.000%, 01/01/41

    485       486  

Chicago, Midway International Airport, Ser B, RB

               

Callable 05/08/23 @ 100

               

5.000%, 01/01/35

    2,000       2,002  

Chicago, O’Hare International Airport, RB, AMT

               

Callable 01/01/32 @ 100

               

5.000%, 01/01/48

    4,750       4,933  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 22

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Chicago, Ser A, GO

               

Callable 01/01/27 @ 100

               

6.000%, 01/01/38

  $ 9,000     $ 9,616  

Chicago, Ser A, GO

               

Callable 01/01/29 @ 100

               

5.500%, 01/01/35

    5,000       5,372  

Chicago, Ser A, GO

               

5.000%, 01/01/27

    1,750       1,831  

Chicago, Ser A, GO

               

Callable 01/01/24 @ 100

               

5.000%, 01/01/30

    1,000       1,006  

Chicago, Ser A, GO

               

Callable 01/01/29 @ 100

               

5.000%, 01/01/40

    1,500       1,534  

Chicago, Ser C, GO

               

5.000%, 01/01/26

    2,000       2,070  

County of Cook Illinois, Ser A, GO

               

Callable 11/15/26 @ 100

               

5.000%, 11/15/31

    2,400       2,576  

Illinois State, Finance Authority, Columbia College Chicago, Ser S, RB

               

Callable 12/01/25 @ 100

               

4.125%, 12/01/30

    1,505       1,512  

Illinois State, Finance Authority, Presence Health Network, Ser C, RB

               

Callable 02/15/27 @ 100

               

5.000%, 02/15/36

    1,935       2,064  

Illinois State, Finance Authority, Presence Health Network, Ser C, RB

               

Callable 02/15/27 @ 100

               

5.000%, 02/15/41

    1,000       1,042  

Illinois State, Finance Authority, RB

               

Callable 11/15/29 @ 103

               

6.500%, 05/15/42

    1,000       1,029  

Illinois State, Finance Authority, RB

               

Callable 11/15/29 @ 103

               

6.500%, 05/15/47

    1,000       1,018  

Illinois State, Finance Authority, RB

               

Callable 01/01/30 @ 102

               

6.375%, 01/01/48(B)

    4,330       4,303  

Illinois State, Finance Authority, RB

               

Callable 09/01/29 @ 100

               

5.000%, 09/01/40

    250       229  

Illinois State, Finance Authority, RB

               

Callable 12/01/29 @ 100

               

5.000%, 12/01/49

  $ 5,595     $ 5,645  

Illinois State, Finance Authority, RB

               

Callable 09/01/32 @ 100

               

5.000%, 03/01/52

    830       790  

Illinois State, Finance Authority, RB

               

Callable 04/01/31 @ 100

               

4.000%, 10/01/32

    400       382  

Illinois State, Finance Authority, RB

               

Callable 04/01/31 @ 100

               

4.000%, 10/01/33

    350       332  

Illinois State, Finance Authority, RB

               

Callable 09/01/29 @ 100

               

4.000%, 09/01/37

    350       293  

Illinois State, Finance Authority, RB

               

Callable 04/01/31 @ 100

               

4.000%, 10/01/38

    230       201  

Illinois State, Finance Authority, RB

               

Callable 10/01/30 @ 100

               

4.000%, 10/01/40

    4,250       3,864  

Illinois State, Finance Authority, RB

               

Callable 09/01/29 @ 100

               

4.000%, 09/01/41

    500       393  

Illinois State, Finance Authority, Ser A, RB

               

Callable 10/01/28 @ 101

               

6.125%, 04/01/49(B)

    4,995       4,858  

Illinois State, Finance Authority, Ser A, RB

               

Callable 10/01/28 @ 101

               

6.000%, 04/01/38(B)

    2,195       2,157  

Illinois State, Finance Authority, Ser A, RB

               

Callable 05/15/25 @ 100

               

5.000%, 11/15/38

    1,010       1,027  

Illinois State, Finance Authority, Ser A, RB

               

Callable 11/01/26 @ 103

               

5.000%, 11/01/49

    2,000       1,599  

Illinois State, Finance Authority, Ser B-1, RB

               

Callable 05/15/24 @ 100

               

5.000%, 05/15/50(A)

    1,500       1,527  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 23

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Illinois State, Finance Authority, Wesleyan University, RB

               

Callable 09/01/26 @ 100

               

4.000%, 09/01/41

  $ 6,640     $ 6,378  

Illinois State, GO

               

Callable 05/01/24 @ 100

               

5.000%, 05/01/27

    5,000       5,084  

Illinois State, GO

               

Callable 05/01/24 @ 100

               

5.000%, 05/01/31

    5,000       5,072  

Illinois State, GO

               

Callable 05/01/24 @ 100

               

5.000%, 05/01/35

    5,000       5,058  

Illinois State, Housing Development Authority, Stonebridge Gurnee Project, Ser A, RB

               

Callable 01/01/26 @ 100

               

5.600%, 01/01/56(B)

    5,200       3,609  

Morton Grove, Tax Increment Revenue, RB

               

Callable 01/01/26 @ 100

               

5.000%, 01/01/39

    2,000       1,825  

Morton Grove, Tax Increment Revenue, RB

               

Callable 01/01/26 @ 100

               

4.250%, 01/01/29

    785       747  

Romeoville Village, Lewis University, Ser B, RB

               

Callable 04/01/25 @ 100

               

4.125%, 10/01/41

    1,250       1,097  

Romeoville Village, Lewis University, Ser B, RB

               

Callable 04/01/25 @ 100

               

4.125%, 10/01/46

    1,500       1,252  

Southwestern Illinois, Development Authority, Collinsville Project, RB

               

Callable 05/08/23 @ 100

               

5.350%, 03/01/31

    75       50  

State of Illinois, GO

               

5.000%, 02/01/26

    1,000       1,055  

Upper Illinois River Valley Development Authority

               

Callable 12/01/28 @ 100

               

5.000%, 12/01/48

    2,000       2,022  

Village of Bolingbrook, Special Service Area No. 1, SPL Tax

               

Callable 03/01/28 @ 100

               

5.250%, 03/01/41

    3,500       3,226  

Village of Gilberts, RB

               

Callable 04/21/23 @ 100

               

5.000%, 11/15/34

    2,419       2,253  

Village of Hodgkins, Redevelopment Project Area #4, TA

               

Callable 01/01/27 @ 100

               

5.625%, 01/01/37

  $ 4,705     $ 4,601  

Village of Lincolnwood Il, Ser A, RB

               

Callable 11/10/26 @ 100

               

4.820%, 01/01/41(B)

    2,415       2,198  

Village of Matteson Illinois, GO

               

Callable 12/01/26 @ 100

               

6.500%, 12/01/35

    965       993  

Village of Villa Park Illinois, TA

               

Callable 12/31/28 @ 100

               

0.000%, 12/31/38

    1,680       1,247  
                         

Total Illinois

    137,765  
                         

Indiana [1.4%]

Anderson Indiana, RB

               

Callable 01/01/27 @ 102

               

5.375%, 01/01/40(B)

    2,745       2,228  

Anderson Indiana, RB

               

5.000%, 01/01/25

    250       242  

Indiana State, Finance Authority, RB, AMT

               

Callable 11/01/30 @ 100

               

6.750%, 05/01/39

    1,750       1,960  

Indiana State, Finance Authority, Ser A-, RB

               

4.250%, 11/01/30

    2,500       2,520  

Indiana State, Housing & Community Development Authority, Ser A, RB

               

Callable 04/01/29 @ 102

               

5.250%, 04/01/41(B)

    5,750       4,575  

Lafayette City, Finance Authority, Glasswater Creek Project, RB

               

Callable 07/01/26 @ 101

               

5.800%, 01/01/37

    3,310       2,881  

Terre Haute, Westminster Village Project, RB

               

Callable 05/08/23 @ 100

               

6.000%, 08/01/39

    2,355       2,105  
                         

Total Indiana

    16,511  
                         

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 24

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Iowa [0.5%]

Iowa State, Finance Authority, Child Serve Project, Ser B, RB

               

Callable 06/01/25 @ 100

               

5.000%, 06/01/36

  $ 2,000     $ 1,847  

Iowa State, Tobacco Settlement Authority, Sub-Ser B, RB

               

Callable 06/01/31 @ 26

               

7.598%, 06/01/65(C)

    14,000       1,493  

PEFA, RB

               

Callable 06/01/26 @ 101

               

5.000%, 09/01/49(A)

    2,000       2,040  
                         

Total Iowa

    5,380  
                         

Kansas [0.5%]

University of Kansas Hospital Authority, RB

               

Pre-Refunded @ 100

               

4.000%, 03/01/27(E)

    1,330       1,408  

University of Kansas Hospital Authority, RB

               

Callable 03/01/27 @ 100

               

4.000%, 03/01/42

    1,170       1,138  

Wichita City, Masonic Home, Ser II-A, RB

               

Callable 12/01/26 @ 100

               

5.375%, 12/01/46

    1,500       345  

Wichita City, Masonic Home, Ser II-A, RB

               

Callable 12/01/26 @ 100

               

5.250%, 12/01/36

    500       115  

Wyandotte County, Kansas City Unified Government, RB

               

Callable 09/01/25 @ 100

               

5.750%, 09/01/32

    4,080       3,764  
                         

Total Kansas

    6,770  
                         

Kentucky [0.7%]

County of Trimble Kentucky, RB, AMT

               

1.300%, 09/01/44(A)

    1,000       844  

Henderson Kentucky, RB, AMT

               

Callable 01/01/32 @ 100

               

4.700%, 01/01/52(B)

    500       458  

Kentucky State, Economic Development Finance Authority, Masonic Home Independent Living, RB

               

Callable 05/15/26 @ 100

               

5.000%, 05/15/46

    4,500       3,381  

Kentucky State, Economic Development Finance Authority, Ser A-, RB

               

Callable 08/01/29 @ 100

               

5.000%, 08/01/44

  $ 1,000     $ 1,029  

Kentucky State, Public Energy Authority, Ser B, RB

               

Callable 10/01/24 @ 100

               

4.000%, 01/01/49(A)

    2,500       2,499  
                         

Total Kentucky

    8,211  
                         

Louisiana [0.7%]

Juban Crossing, Economic Development District, General Infrastructure Project, Ser C, RB

               

Callable 03/15/25 @ 100

               

7.000%, 09/15/44(B)

    5,450       4,978  

Louisiana State, Public Facilities Authority, Pellets Project, RB, AMT

               

Callable 07/01/23 @ 100

               

10.500%, 07/01/39(D)

    1,435        

Louisiana State, Public Facilities Authority, Pellets Project, RB, AMT

               

7.000%, 07/01/24(B)(D)

    1,319        

Louisiana State, Public Facilities Authority, Pellets Project, Ser A, RB, AMT

               

Callable 07/01/24 @ 100

               

8.375%, 07/01/39(D)

    3,474        

Parish of State John the Baptist Louisiana, RB

               

2.200%, 06/01/37(A)

    4,000       3,755  
                         

Total Louisiana

    8,733  
                         

Maine [0.1%]

Maine State, Financing Authority, Casella Waste Systems Project, RB, AMT

               

4.375%, 08/01/35(A)(B)

    1,000       979  
                         

Maryland [2.1%]

Baltimore Maryland, Sub-Ser, RB

               

Callable 06/01/31 @ 100

               

5.000%, 06/01/51

    800       761  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 25

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Baltimore Maryland, Sub-Ser, RB

               

Callable 06/01/31 @ 100

               

4.875%, 06/01/42

  $ 740     $ 708  

Baltimore, Harbor Point Project, RB

               

Callable 06/01/26 @ 100

               

5.000%, 06/01/36

    1,000       1,005  

Baltimore, RB

               

Callable 06/01/29 @ 100

               

3.625%, 06/01/46(B)

    1,370       1,066  

Baltimore, RB

               

Callable 06/01/29 @ 100

               

3.500%, 06/01/39(B)

    650       526  

Baltimore, Sub-Ser B, RB

               

Callable 06/01/23 @ 100

               

3.875%, 06/01/46(B)

    350       279  

Baltimore, Sub-Ser B, RB

               

Callable 06/01/23 @ 100

               

3.700%, 06/01/39(B)

    200       165  

Brunswick, RB

               

Callable 01/01/29 @ 100

               

5.000%, 07/01/36

    1,550       1,566  

Brunswick, RB

               

Callable 01/01/29 @ 100

               

4.000%, 07/01/29

    945       922  

Frederick County, RB

               

Callable 07/01/29 @ 100

               

3.750%, 07/01/39

    1,410       1,230  

Howard County, Annapolis Junction Town Center Project, TA

               

Callable 02/15/24 @ 100

               

6.100%, 02/15/44

    1,425       1,370  

Howard County, Annapolis Junction Town Center Project, TA

               

Callable 02/15/24 @ 100

               

5.800%, 02/15/34

    725       705  

Howard County, Downtown Columbia Project, Ser A, TA

               

Callable 02/15/26 @ 100

               

4.500%, 02/15/47(B)

    1,250       1,144  

Howard County, Downtown Columbia Project, Ser A, TA

               

Callable 02/15/26 @ 100

               

4.375%, 02/15/39(B)

    1,000       942  

Maryland State, Economic Development, GO

               

Callable 09/01/30 @ 100

               

4.000%, 09/01/40

    875       767  

Maryland State, Economic Development, GO

               

Callable 09/01/30 @ 100

               

4.000%, 09/01/50

  $ 875     $ 713  

Maryland State, Health & Higher Educational Facilities Authority, Ser A, RB

               

Callable 05/15/27 @ 100

               

5.000%, 05/15/45

    5,000       5,139  

Prince George’s County, RB

               

Callable 07/01/28 @ 100

               

5.250%, 07/01/48(B)

    2,000       1,957  

Prince George’s County, RB

               

Callable 07/01/28 @ 100

               

5.125%, 07/01/39(B)

    1,000       984  

Westminster, Luther Village Millers Grant Project, RB

               

Callable 07/01/24 @ 100

               

6.250%, 07/01/44

    3,780       3,813  

Westminster, Luther Village Millers Grant Project, RB

               

Callable 07/01/24 @ 100

               

6.125%, 07/01/39

    750       757  

Westminster, Luther Village Millers Grant Project, RB

               

Callable 07/01/24 @ 100

               

6.000%, 07/01/34

    1,205       1,219  
                         

Total Maryland

    27,738  
                         

Massachusetts [0.9%]

Massachusetts State, Development Finance Agency, Emmanuel College, Ser A, RB

               

Callable 10/01/26 @ 100

               

5.000%, 10/01/36

    2,305       2,355  

Massachusetts State, Development Finance Agency, RB

               

Callable 07/01/28 @ 103

               

5.000%, 07/01/51(B)

    2,500       1,996  

Massachusetts State, Development Finance Agency, RB

               

Callable 07/01/28 @ 103

               

5.000%, 07/01/56(B)

    1,910       1,488  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 26

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Massachusetts State, Development Finance Agency, Ser A, RB

               

Callable 10/01/26 @ 100

               

5.000%, 10/01/43

  $ 4,905     $ 4,940  
                         

Total Massachusetts

    10,779  
                         

Michigan [1.5%]

Detroit City, GO

               

Callable 04/01/28 @ 100

               

5.000%, 04/01/38

    625       632  

Kalamazoo Economic Development, RB

               

Callable 08/15/28 @ 103

               

5.000%, 08/15/51(B)

    1,505       1,186  

Kalamazoo Economic Development, RB

               

Callable 05/15/27 @ 103

               

5.000%, 05/15/55

    3,750       3,004  

Michigan State, Finance Authority, Hospital Presbyterian Village, RB

               

Callable 11/15/25 @ 100

               

5.250%, 11/15/35

    2,340       2,166  

Michigan State, Finance Authority, Old Redford School Project, Ser A, RB

               

Callable 05/08/23 @ 100

               

6.500%, 12/01/40

    3,745       3,608  

Michigan State, Hospital Finance Authority, Ser Senior CR, RB

               

Callable 05/15/30 @ 100

               

5.000%, 11/15/47

    4,000       4,166  

Michigan State, Public Educational Facilities Authority, Old Redford Project, Ser A, RB

               

Callable 05/08/23 @ 100

               

5.875%, 12/01/30

    2,000       1,956  

Michigan State, Strategic Fund, RB

               

Callable 08/15/28 @ 103

               

5.000%, 08/15/51(B)

    1,000       788  

Michigan State, Tobacco Settlement Finance Authority, Ser C, RB

               

Callable 06/01/33 @ 11

               

9.053%, 06/01/58(C)

    28,000       1,138  
                         

Total Michigan

    18,644  
                         

Minnesota [0.7%]

Anoka, Housing Revenue Authority, Homestead Project, RB

               

Callable 11/01/24 @ 103

               

4.750%, 11/01/35

  $ 3,000     $ 2,629  

Bethel, Senior Housing Revenue, Lodge at Lakes at Stillwater Project, RB

               

Callable 06/01/23 @ 102

               

5.250%, 06/01/58

    2,840       2,351  

Duluth Economic Development Authority, RB

               

Callable 07/01/26 @ 103

               

4.000%, 07/01/41

    1,860       1,474  

Minneapolis State, Riverton Community Housing Project, RB

               

Callable 08/01/24 @ 102

               

5.000%, 08/01/53(B)

    500       477  

Minneapolis State, Riverton Community Housing Project, RB

               

Callable 08/01/24 @ 102

               

4.750%, 08/01/43(B)

    1,600       1,481  
                         

Total Minnesota

    8,412  
                         

Missouri [2.8%]

Hanley, Transportation Development, Eager Road Transportation Development District, Ser A, SAB

               

Callable 05/08/23 @ 100

               

4.000%, 03/01/42

    1,000       817  

Hanley, Transportation Development, Eager Road Transportation Development District, Ser A, SAB

               

Callable 05/08/23 @ 100

               

3.625%, 03/01/33

    500       434  

Hanley, Transportation Development, Eager Road Transportation Development District, Ser A, SAB

               

Callable 05/08/23 @ 100

               

3.000%, 03/01/26

    285       270  

Kansas City, Industrial Development Authority, Ser A, RB

               

Callable 04/01/26 @ 100

               

5.000%, 04/01/36(B)

    2,000       1,854  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 27

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Kirkwood Industrial Development Authority, RB

               

Callable 05/15/27 @ 100

               

5.250%, 05/15/30

  $ 2,515     $ 2,394  

Lees Summit, Industrial Development Authority, John Knox Village, Ser A, RB

               

Callable 08/15/24 @ 102

               

5.000%, 08/15/46

    2,000       1,684  

Lees Summit, Industrial Development Authority, John Knox Village, Ser A, RB

               

Callable 08/15/24 @ 102

               

5.000%, 08/15/51

    500       412  

Lees Summit, Industrial Development Authority, RB

               

Callable 08/15/25 @ 103

               

5.000%, 08/15/42

    2,400       2,082  

Maryland Heights Missouri, GO

               

Callable 11/01/29 @ 100

               

4.125%, 11/01/38

    1,950       1,641  

Missouri State, Health & Educational Facilities Authority, RB

               

Callable 08/01/31 @ 100

               

4.000%, 08/01/36

    440       379  

Missouri State, Health & Educational Facilities Authority, RB

               

Callable 08/01/31 @ 100

               

4.000%, 08/01/41

    410       330  

Poplar Bluff, Ser A, TA

               

Callable 11/01/23 @ 100

               

5.125%, 11/01/35(B)

    4,885       4,554  

St. Louis County, Industrial Development Authority, Manchester Ballas Community, RB

               

Callable 09/01/24 @ 100

               

5.250%, 09/01/45(B)

    3,000       2,691  

St. Louis County, Industrial Development Authority, Manchester Ballas Community, RB

               

Callable 09/01/24 @ 100

               

5.000%, 09/01/38(B)

    2,000       1,836  

St. Louis County, Industrial Development Authority, RB

               

Callable 09/01/25 @ 103

               

5.250%, 09/01/53

    2,000       1,759  

St. Louis, Industrial Development Authority, Ballpark Village Development Project, RB

               

Callable 11/15/26 @ 100

               

4.375%, 11/15/35

  $ 2,250     $ 1,804  

St. Louis, Industrial Development Authority, Ballpark Village Development Project, RB

               

Callable 11/15/26 @ 100

               

3.875%, 11/15/29

    1,315       1,139  

St. Louis, Industrial Development Authority, Innovation District Project, TA

               

Callable 05/15/24 @ 100

               

4.375%, 05/15/36

    2,500       2,344  

St. Louis, Industrial Development Authority, RB

               

Callable 05/15/29 @ 100

               

5.000%, 05/15/41

    3,250       3,212  

University City Industrial Development Authority, Ser A

               

Callable 06/15/33 @ 100

               

4.875%, 06/15/36

    1,900       1,893  
                         

Total Missouri

    33,529  
                         

Nebraska [0.1%]

Central Plains Energy Project, Ser 1

               

Callable 07/01/29 @ 100

               

5.000%, 05/01/53(A)

    1,750       1,812  
                         

Nevada [1.3%]

Henderson Local Improvement Districts, SAB

               

Callable 09/01/31 @ 100

               

4.000%, 09/01/51

    250       195  

Henderson Local Improvement Districts, SAB

               

Callable 09/01/31 @ 100

               

3.500%, 09/01/45

    700       500  

Las Vegas, Finance Authority, RB

               

Callable 04/26/23 @ 100

               

4.375%, 06/15/35(B)

    2,500       2,275  

Las Vegas, Special Improvement District No. 611, RB

               

Callable 06/01/30 @ 100

               

4.125%, 06/01/50

    875       728  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 28

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Las Vegas, Special Improvement District No. 612 Skye Hills, GO

               

Callable 06/01/30 @ 100

               

3.750%, 06/01/42

  $ 750     $ 593  

Las Vegas, Special Improvement District No. 612 Skye Hills, GO

               

Callable 06/01/30 @ 100

               

3.500%, 06/01/35

    200       165  

Las Vegas, Special Improvement District No. 812, SAB

               

Callable 12/01/25 @ 100

               

5.000%, 12/01/35

    910       915  

Las Vegas, Special Improvement District No. 814, GO

               

Callable 06/01/29 @ 100

               

4.000%, 06/01/44

    715       615  

Las Vegas, Special Improvement District No. 815, GO

               

Callable 12/01/30 @ 100

               

4.750%, 12/01/40

    750       718  

Las Vegas, Special Improvement District No. 816, SPA

               

Callable 06/01/31 @ 100

               

3.125%, 06/01/46

    2,290       1,552  

Las Vegas, Special Improvement District No. 816, SPA

               

Callable 06/01/31 @ 100

               

3.125%, 06/01/51

    1,060       677  

Las Vegas, Special Improvement District No. 816, SPA

               

Callable 06/01/31 @ 100

               

3.000%, 06/01/41

    950       685  

Nevada State, Department of Business & Industry, Green-Fulcrum Sierra Biofuels, RB, AMT

               

Callable 12/15/27 @ 100

               

6.250%, 12/15/37(B)

    100       90  

Nevada State, Department of Business & Industry, Sumerset Academy, Ser A, RB

               

Callable 12/15/25 @ 100

               

5.000%, 12/15/35(B)

    1,595       1,561  

Nevada State, Department of Business & Industry, Sumerset Academy, Ser A, RB

               

Callable 12/15/25 @ 100

               

5.000%, 12/15/48(B)

    1,000       886  

Reno Nevada, Sub-Ser, RB

               

Callable 07/01/38 @ 31

               

6.230%, 07/01/58(B)(C)

    17,000       2,150  

Sparks Nevada, Ser A, RB

               

2.500%, 06/15/24(B)

  $ 325     $ 317  
                         

Total Nevada

    14,622  
                         

New Hampshire [0.7%]

New Hampshire, Business Finance Authority, RB

               

Callable 01/01/26 @ 103

               

4.000%, 01/01/41

    1,000       830  

New Hampshire, Business Finance Authority, RB

               

Callable 01/01/26 @ 103

               

4.000%, 01/01/51

    1,000       769  

New Hampshire, Business Finance Authority, Ser A, RB

               

Callable 07/01/25 @ 103

               

5.750%, 07/01/54(B)

    1,250       1,135  

New Hampshire, Business Finance Authority, Ser A, RB

               

Callable 07/01/25 @ 103

               

5.625%, 07/01/46(B)

    500       456  

New Hampshire, Business Finance Authority, Ser A, RB

               

Callable 07/01/25 @ 100

               

3.625%, 07/01/43(A)(B)

    2,000       1,497  

New Hampshire, Business Finance Authority, Ser B, RB, AMT

               

Callable 07/01/25 @ 100

               

3.750%, 07/01/45(A)(B)

    4,770       3,593  
                         

Total New Hampshire

    8,280  
                         

New Jersey [2.5%]

New Jersey Economic Development Authority

               

Pre-Refunded @ 100

               

5.000%, 12/15/28(E)

    370       424  

New Jersey Economic Development Authority

               

Callable 12/15/28 @ 100

               

5.000%, 06/15/43

    630       659  

New Jersey State, Economic Development Authority, Continental Airlines Project, RB, AMT

               

Callable 05/08/23 @ 101

               

5.250%, 09/15/29

    750       751  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 29

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

New Jersey State, Economic Development Authority, Port Newark Container, RB, AMT

               

Callable 10/01/27 @ 100

               

5.000%, 10/01/47

  $ 2,170     $ 2,090  

New Jersey State, Economic Development Authority, RB

               

Callable 11/01/29 @ 100

               

4.000%, 11/01/37

    1,100       1,107  

New Jersey State, Economic Development Authority, RB, AMT

               

Callable 03/05/24 @ 101

               

5.625%, 11/15/30

    1,000       1,008  

New Jersey State, Economic Development Authority, RB, AMT

               

Callable 10/01/27 @ 100

               

5.000%, 10/01/37

    3,830       3,838  

New Jersey State, Economic Development Authority, Ser A, RB

               

5.000%, 11/01/27

    780       847  

New Jersey State, Economic Development Authority, Ser A, RB

               

Callable 12/15/27 @ 100

               

5.000%, 06/15/42

    1,155       1,201  

New Jersey State, Economic Development Authority, Ser A, RB

               

Callable 12/15/27 @ 100

               

5.000%, 06/15/47

    1,230       1,269  

New Jersey State, Economic Development Authority, Ser S, RB

               

Callable 12/15/30 @ 100

               

4.000%, 06/15/46

    500       475  

New Jersey State, Transportation Trust Fund Authority, Ser AA, RB

               

Callable 06/15/25 @ 100

               

5.250%, 06/15/41

    5,245       5,382  

New Jersey State, Transportation Trust Fund Authority, Ser BB, RB

               

Callable 12/15/28 @ 100

               

4.000%, 06/15/37

    3,500       3,525  

New Jersey State, Transportation Trust Fund Authority, Ser S, RB

               

Callable 12/15/28 @ 100

               

5.000%, 06/15/46

    1,000       1,039  

New Jersey State, Transportation Trust Fund Authority, Ser S, RB

               

Callable 12/15/28 @ 100

               

4.500%, 06/15/49

  $ 4,015     $ 4,027  

Tobacco Settlement Financing, Sub-Ser B, RB

               

Callable 06/01/28 @ 100

               

5.000%, 06/01/46

    2,500       2,509  
                         

Total New Jersey

    30,151  
                         

New Mexico [0.7%]

Farmington New Mexico, RB

               

1.150%, 06/01/40(A)

    3,500       3,386  

Farmington New Mexico, RB

               

1.100%, 06/01/40(A)

    3,000       2,986  

Lower Petroglyphs, Public Improvement District, RB

               

Callable 10/01/27 @ 100

               

5.000%, 10/01/33

    500       485  

Lower Petroglyphs, Public Improvement District, RB

               

Callable 10/01/27 @ 100

               

5.000%, 10/01/38

    500       471  

Lower Petroglyphs, Public Improvement District, RB

               

Callable 10/01/27 @ 100

               

5.000%, 10/01/48

    1,750       1,592  
                         

Total New Mexico

    8,920  
                         

New York [5.1%]

Build NYC Resource, RB

               

Callable 07/01/32 @ 100

               

5.000%, 07/01/42

    750       775  

Dutchess County, Local Development, Ser A, RB

               

Callable 07/01/30 @ 100

               

5.000%, 07/01/45(B)

    875       881  

Dutchess County, Local Development, Ser A, RB

               

Callable 07/01/30 @ 100

               

5.000%, 07/01/51(B)

    875       869  

Jefferson County, Civic Facility Development, RB

               

Callable 11/01/27 @ 100

               

4.000%, 11/01/42

    4,500       3,393  

Jefferson County, Civic Facility Development, RB

               

Callable 11/01/27 @ 100

               

4.000%, 11/01/47

    375       266  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 30

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Metropolitan Transportation Authority, Ser A-1, RB

               

Callable 05/15/31 @ 100

               

4.000%, 11/15/49

  $ 3,000     $ 2,734  

Metropolitan Transportation Authority, Ser C-1, RB

               

Callable 05/15/30 @ 100

               

5.000%, 11/15/50

    1,750       1,803  

Metropolitan Transportation Authority, Ser C-1, RB

               

Callable 11/15/26 @ 100

               

5.000%, 11/15/56

    3,640       3,657  

Metropolitan Transportation Authority, Ser C-1, RB

               

Callable 05/15/30 @ 100

               

4.750%, 11/15/45

    2,000       2,028  

Metropolitan Transportation Authority, Ser D1, RB

               

Callable 11/15/30 @ 100

               

5.000%, 11/15/44

    2,450       2,549  

Metropolitan Transportation Authority, Sub-Ser A-SUB, RB

               

Callable 11/15/28 @ 100

               

5.000%, 11/15/45

    1,690       1,741  

Monroe County, Industrial Development, RB

               

Callable 06/01/28 @ 100

               

5.000%, 06/01/50(B)

    1,100       1,103  

Nassau County, Industrial Development Agency, RB

               

Callable 10/01/26 @ 107

               

5.000%, 01/01/58(A)

    4,358       1,961  

New York State, Environmental Facilities, RB, AMT

               

Callable 06/02/25 @ 100

               

2.750%, 09/01/50(A)

    750       706  

New York State, Liberty Development, Bank of America Tower, RB

               

Callable 03/15/29 @ 100

               

2.800%, 09/15/69

    1,000       916  

New York State, Transportation Development, American Airlines, RB, AMT

               

Callable 04/26/23 @ 100

               

5.000%, 08/01/26

    2,000       2,002  

New York State, Transportation Development, RB, AMT

               

Callable 08/01/30 @ 100

               

5.250%, 08/01/31

    1,730       1,783  

New York State, Transportation Development, RB, AMT

               

Callable 01/01/28 @ 100

               

5.000%, 01/01/36

  $ 5,000     $ 5,054  

New York State, Transportation Development, RB, AMT

               

Callable 10/01/30 @ 100

               

5.000%, 10/01/40

    2,800       2,812  

Niagara, Tobacco Asset Securitization, RB

               

Callable 05/15/24 @ 100

               

5.250%, 05/15/34

    1,000       1,007  

Niagara, Tobacco Asset Securitization, RB

               

Callable 05/15/24 @ 100

               

5.250%, 05/15/40

    1,000       1,004  

Port Authority of New York & New Jersey, Ser 221, RB, AMT

               

Callable 07/15/30 @ 100

               

4.000%, 07/15/50

    2,000       1,883  

TSASC, Ser A, RB

               

Callable 06/01/27 @ 100

               

5.000%, 06/01/41

    2,000       2,040  

TSASC, Ser B, RB

               

Callable 06/01/27 @ 100

               

5.000%, 06/01/48

    3,000       2,754  

TSASC, Sub-Ser, RB

               

Callable 06/01/27 @ 100

               

5.000%, 06/01/45

    4,000       3,726  

Westchester, Tobacco Asset Securitization, Ser B, RB

               

Callable 06/01/27 @ 100

               

5.000%, 06/01/41

    2,485       2,547  

Westchester, Tobacco Asset Securitization, Sub-Ser C, RB

               

Callable 06/01/27 @ 100

               

5.125%, 06/01/51

    7,000       7,100  
                         

Total New York

    59,094  
                         

North Carolina [0.2%]

North Carolina State, Department of Transportation, I-77 Hot Lanes Project, RB, AMT

               

Callable 06/30/25 @ 100

               

5.000%, 12/31/37

    1,405       1,412  

North Carolina State, Medical Care Commission, Ser A, RB

               

Callable 09/01/27 @ 100

               

4.000%, 09/01/50

    250       187  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 31

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

North Carolina State, Turnpike Authority, RB, ETM

               

5.000%, 02/01/24

  $ 1,000     $ 1,018  
                         

Total North Carolina

    2,617  
                         

North Dakota [0.6%]

Burleigh County, Educational Facilities Revenue, Education Facilities, University of Mary Project, RB

               

Callable 04/15/26 @ 100

               

5.200%, 04/15/46

    1,100       1,001  

County of Grand Forks North Dakota, RB, AMT

               

Callable 06/15/26 @ 103

               

7.000%, 12/15/43(B)(D)

    5,000       2,750  

County of Ward North Dakota, Ser C

               

Callable 06/01/28 @ 100

               

5.000%, 06/01/38

    4,000       3,685  
                         

Total North Dakota

    7,436  
                         

Ohio [4.1%]

Buckeye Tobacco Settlement, Financing Authority, Ser A-2-Class, RB

               

Callable 06/01/30 @ 100

               

4.000%, 06/01/48

    8,500       7,501  

Buckeye Tobacco Settlement, Financing Authority, Ser B-2, RB

               

Callable 06/01/30 @ 100

               

5.000%, 06/01/55

    13,045       11,811  

Buckeye Tobacco Settlement, Financing Authority, Ser B-3, RB

               

Callable 06/01/30 @ 22

               

7.222%, 06/01/57(C)

    20,000       2,388  

Cleveland-Cuyahoga County Port Authority, TA

               

Callable 12/01/29 @ 100

               

4.000%, 12/01/55(B)

    250       210  

Cuyahoga County, Hospital Revenue, Metrohealth System, RB

               

Callable 02/15/27 @ 100

               

5.250%, 02/15/47

    3,800       3,857  

Cuyahoga County, RB

               

Callable 02/15/27 @ 100

               

5.000%, 02/15/57

    5,000       4,934  

Muskingum County, Hospital Facilities Authority, Genesis Healthcare Systems Project, RB

               

Callable 05/08/23 @ 100

               

5.000%, 02/15/44

  $ 5,000     $ 4,624  

Muskingum County, Hospital Facilities Authority, Genesis Healthcare Systems Project, RB

               

Callable 05/08/23 @ 100

               

5.000%, 02/15/48

    250       217  

Ohio State, Air Quality Development Authority, Pratt Paper Project, RB, AMT

               

Callable 01/15/28 @ 100

               

4.500%, 01/15/48(B)

    970       886  

Ohio State, Air Quality Development Authority, Pratt Paper Project, RB, AMT

               

Callable 01/15/28 @ 100

               

4.250%, 01/15/38(B)

    3,555       3,342  

Ohio State, Air Quality Development Authority, RB, AMT

               

Callable 07/01/29 @ 100

               

5.000%, 07/01/49(B)

    8,250       7,427  

Ohio State, Housing Finance Agency, Sanctuary at Springboro Project, RB

               

Callable 10/01/25 @ 101

               

5.450%, 01/01/38(B)

    2,500       1,928  
                         

Total Ohio

    49,125  
                         

Oklahoma [0.6%]

Oklahoma County, Finance Authority, Epworth Village Project, Ser A, RB

               

Callable 05/08/23 @ 100

               

5.125%, 04/01/42

    4,000       2,000  

Oklahoma State, Development Finance Authority, RB

               

Callable 08/01/27 @ 100

               

5.250%, 08/01/57(D)

    1,622       2  

Oklahoma State, Development Finance Authority, Ser B, RB

               

Callable 08/15/28 @ 100

               

5.250%, 08/15/48

    1,000       947  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 32

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Payne County, Economic Development Authority, Epworth Living at the Ranch, RB

               

Callable 11/01/26 @ 100

               

6.875%, 11/01/46(D)

  $ 3,843     $ 10  

Payne County, Economic Development Authority, Epworth Living at the Ranch, RB

               

Callable 11/01/26 @ 100

               

6.625%, 11/01/36(D)

    1,664       4  

Tulsa Airports Improvement Trust, RB, AMT

               

Callable 06/01/25 @ 100

               

5.000%, 06/01/35(A)

    4,000       4,022  
                         

Total Oklahoma

    6,985  
                         

Oregon [0.5%]

Clackamas County, Hospital Facility Authority, Ser A, RB

               

Callable 11/15/25 @ 102

               

5.375%, 11/15/55

    875       783  

Clackamas County, Hospital Facility Authority, Ser A, RB

               

Callable 11/15/25 @ 102

               

5.250%, 11/15/50

    1,000       892  

Hospital Facilities Authority of Multnomah County Oregon

               

Callable 12/01/28 @ 103

               

4.000%, 12/01/36

    1,180       982  

Hospital Facilities Authority of Multnomah County Oregon, RB

               

Callable 12/01/28 @ 103

               

4.000%, 12/01/56

    5,000       3,360  
                         

Total Oregon

    6,017  
                         

Pennsylvania [2.4%]

Allentown, Neighborhood Improvement Zone Development Authority, City Center Project, RB

               

Callable 05/01/27 @ 100

               

5.000%, 05/01/42(B)

    1,750       1,704  

Allentown, Neighborhood Improvement Zone Development Authority, Sub-Ser, RB

               

Callable 05/01/28 @ 100

               

5.375%, 05/01/42(B)

    3,000       2,998  

Allentown, Neighborhood Improvement Zone Development Authority, Sub-Ser, RB

               

Callable 05/01/28 @ 100

               

5.125%, 05/01/32(B)

  $ 1,500     $ 1,518  

Berks County Industrial Development Authority

               

Callable 11/01/27 @ 100

               

4.000%, 11/01/50

    3,500       1,709  

Chester County, Health and Education Facilities Authority, RB

               

Callable 12/01/28 @ 103

               

4.000%, 12/01/51

    1,150       776  

Chester County, Industrial Development Authority, Woodlands at Graystone Project, RB

               

Callable 03/01/28 @ 100

               

5.125%, 03/01/48(B)

    700       650  

Chester County, Industrial Development Authority, Woodlands at Graystone Project, RB

               

Callable 03/01/28 @ 100

               

5.000%, 03/01/38(B)

    425       413  

Dauphin County, General Authority, Harrisburg University of Science and Technology Project, RB

               

Callable 10/15/27 @ 100

               

5.125%, 10/15/41(B)

    1,135       1,036  

Dauphin County, General Authority, RB

               

Callable 10/15/28 @ 100

               

6.250%, 10/15/53(B)

    750       754  

Dauphin County, General Authority, RB

               

Callable 10/15/27 @ 100

               

5.000%, 10/15/34(B)

    3,470       3,286  

DuBois, Hospital Authority, RB

               

Callable 01/15/28 @ 100

               

4.000%, 07/15/43

    2,370       2,210  

Franklin County, Industrial Development Authority, RB

               

Callable 12/01/25 @ 103

               

5.000%, 12/01/49

    780       624  

Franklin County, Industrial Development Authority, RB

               

Callable 12/01/25 @ 103

               

5.000%, 12/01/54

    1,000       780  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 33

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Pennsylvania State, Economic Development Financing Authority, RB, AMT

               

Callable 12/31/32 @ 100

               

5.750%, 06/30/48

  $ 625     $ 675  

Pennsylvania State, Economic Development Financing Authority, RB, AMT

               

Callable 12/31/32 @ 100

               

5.250%, 06/30/53

    1,500       1,519  

Pennsylvania State, Turnpike Commission, Convertible Capital Appreciation Project, Sub-Ser E, RB

               

Callable 12/01/27 @ 100

               

6.375%, 12/01/38

    2,000       2,274  

Pennsylvania State, Turnpike Commission, Ser A, RB

               

Callable 12/01/24 @ 100

               

5.000%, 12/01/33

    1,500       1,551  

Pottsville, Hospital Authority, Schuykill Health System Project, RB

               

Pre-Refunded @ 100

               

6.500%, 07/01/24(B)(E)

    3,000       3,132  

Washington County, Redevelopment Authority, TA

               

Callable 01/01/28 @ 100

               

5.000%, 07/01/35

    1,235       1,209  
                         

Total Pennsylvania

    28,818  
                         

Rhode Island [0.4%]

Rhode Island State, Health & Educational Building, RB

               

Callable 05/15/26 @ 100

               

5.000%, 05/15/39

    1,000       1,009  

Rhode Island State, Tobacco Settlement Financing, Ser B, RB

               

Callable 04/21/23 @ 17

               

12.073%, 06/01/52(C)

    21,270       3,082  
                         

Total Rhode Island

    4,091  
                         

South Carolina [0.2%]

Berkeley County, RB

               

Callable 11/01/29 @ 100

               

4.375%, 11/01/49

    2,500       2,043  
                         

Tennessee [0.5%]

Chattanooga, Health Educational & Housing Facility Board, RB

               

Callable 10/01/25 @ 100

               

5.000%, 10/01/35

  $ 1,000     $ 1,003  

Metropolitan Government Nashville & Davidson County Health & Educational Facs Bd, Ser S, RB

               

Callable 11/01/25 @ 102

               

4.000%, 11/01/45

    5,000       3,939  

Nashville, Metropolitan Development & Housing Agency, RB

               

Callable 06/01/28 @ 100

               

5.125%, 06/01/36(B)

    900       912  

Nashville, Metropolitan Development & Housing Agency, RB

               

4.500%, 06/01/28(B)

    645       648  
                         

Total Tennessee

    6,502  
                         

Texas [7.6%]

Alvin Independent School District, Ser B-REMK, GO, PSF-GTD

               

0.450%, 02/15/36(A)

    2,000       1,977  

Arlington, Higher Education Finance, Universal Academy Project, Ser A, RB

               

Callable 03/01/24 @ 100

               

7.125%, 03/01/44

    2,300       2,330  

Arlington, Higher Education Finance, Universal Academy Project, Ser A, RB

               

Callable 03/01/24 @ 100

               

7.000%, 03/01/34

    400       407  

Celina, Cambridge Crossing Public Improvement Project, SAB

               

Callable 09/01/28 @ 100

               

5.250%, 09/01/47(B)

    500       495  

Celina, Cambridge Crossing Public Improvement Project, SAB

               

Callable 09/01/28 @ 100

               

5.125%, 09/01/38(B)

    1,500       1,494  

Celina, Sutton Fields II Public Improvement Project, SAB

               

Callable 09/01/23 @ 103

               

7.250%, 09/01/45

    475       490  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 34

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Clifton, Higher Education Finance, International Leadership Project, Ser D, RB

               

Callable 08/15/25 @ 100

               

6.125%, 08/15/48

  $ 4,245     $ 4,270  

Grand Parkway, Transportation, Toll Revenue, Sub-Ser B, RB

               

Pre-Refunded @ 100

               

5.000%, 10/01/23(E)

    2,000       2,023  

Gulf Coast Authority, Ser B, RB, AMT

               

1.500%, 05/01/28

    1,000       871  

Houston, Airport System Revenue, RB, AMT

               

4.750%, 07/01/24

    1,700       1,699  

Houston, Airport System Revenue, RB, AMT

               

Callable 07/01/29 @ 100

               

4.000%, 07/01/41

    2,500       2,120  

Houston, Airport System Revenue, RB, AMT

               

Callable 07/15/29 @ 100

               

4.000%, 07/15/41

    3,530       2,993  

Houston, Airport System Revenue, Ser B-1, RB, AMT

               

Callable 07/15/25 @ 100

               

5.000%, 07/15/35

    3,000       2,963  

Houston, Airport System Revenue, Ser C, RB, AMT

               

5.000%, 07/15/27

    1,000       1,005  

Houston, Airport System Revenue, United Airlines Project, RB, AMT

               

Callable 07/01/24 @ 100

               

5.000%, 07/01/29

    7,000       7,004  

Lago Vista Texas, RB

               

Callable 09/01/30 @ 100

               

4.875%, 09/01/50(B)

    275       252  

Matagorda County Navigation District No. 1, AMBAC, AMT

               

5.125%, 11/01/28

    1,500       1,612  

Matagorda County Navigation District No. 1, RB, AMT

               

0.900%, 05/01/30(A)

    1,750       1,725  

Mission, Economic Development, RB, AMT

               

Callable 04/26/23 @ 104

               

4.625%, 10/01/31(B)

    3,250       3,171  

New Hope Cultural Education Facilities Finance, Ser A

               

Callable 08/15/25 @ 100

               

5.000%, 08/15/40(B)

    4,750       4,501  

New Hope, Cultural Education Facilities Finance, Carillon LifeCare Community Project, RB

               

Callable 07/01/24 @ 102

               

5.000%, 07/01/36

  $ 3,410     $ 2,776  

New Hope, Cultural Education Facilities Finance, Carillon LifeCare Community Project, RB

               

Callable 07/01/24 @ 102

               

5.000%, 07/01/46

    1,250       908  

New Hope, Cultural Education Facilities Finance, RB

               

7.500%, 11/15/36

    3,385       2,815  

New Hope, Cultural Education Facilities Finance, RB

               

7.500%, 11/15/37

    545       428  

New Hope, Cultural Education Facilities Finance, RB

               

Callable 08/15/31 @ 100

               

4.000%, 08/15/46(B)

    4,385       3,242  

New Hope, Cultural Education Facilities Finance, RB

               

Callable 11/15/26 @ 105

               

2.000%, 11/15/61(A)

    13,887       5,960  

Newark, Higher Education Finance, Ser A, RB

               

Callable 08/15/25 @ 100

               

5.750%, 08/15/45(B)

    1,700       1,747  

Newark, Higher Education Finance, Ser A, RB

               

Callable 08/15/25 @ 100

               

5.500%, 08/15/35(B)

    900       932  

North Texas, Tollway Authority, Convertible Capital Appreciation Project, Ser C, RB

               

Pre-Refunded @ 100

               

0.000%, 09/01/31(E)

    5,000       6,386  

Port Beaumont Navigation District, RB

               

Callable 05/08/23 @ 102

               

6.000%, 01/01/25(B)

    1,525       1,435  

Port Beaumont Navigation District, RB, AMT

               

Callable 05/08/23 @ 102

               

3.625%, 01/01/35(B)

    1,000       805  

Port Beaumont Navigation District, RB, AMT

               

Callable 07/01/23 @ 103

               

2.875%, 01/01/41(B)

    750       496  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 35

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Port Beaumont Navigation District, RB, AMT

               

Callable 07/01/23 @ 103

               

2.750%, 01/01/36(B)

  $ 1,000     $ 716  

Port of Beaumont, Industrial Development Authority, RB

               

Callable 07/01/23 @ 102

               

4.100%, 01/01/28(B)

    6,330       5,105  

Sanger, Industrial Development Authority, Texas Pellets Project, Ser B, RB, AMT

               

Callable 05/08/23 @ 100

               

8.000%, 07/01/38(D)

    4,950       1,237  

Tarrant County, Cultural Education Facilities Finance, Northwest Senior Housing Edgemere Project, RB

               

Callable 05/15/27 @ 100

               

5.250%, 11/15/47(D)

    3,720       1,488  

Tarrant County, Cultural Education Facilities Finance, RB

               

Callable 02/15/27 @ 100

               

6.375%, 02/15/52(D)

    9,000       4,950  

Temple, Ser A-REV, RB

               

Callable 08/01/25 @ 100

               

5.000%, 08/01/38

    2,000       2,026  

Texas State, Private Activity Bond Surface Transportation, RB, AMT

               

Callable 06/30/29 @ 100

               

5.000%, 06/30/58

    2,000       1,974  

Texas State, Private Activity Bond Surface Transportation, SH 288 Toll Lanes Project, RB, AMT

               

Callable 12/31/25 @ 100

               

5.000%, 12/31/45

    1,635       1,641  

Texas State, Transportation Commission, RB

               

Callable 02/01/29 @ 73

               

5.312%, 08/01/36(C)

    1,000       524  
                         

Total Texas

    90,993  
                         

Utah [0.3%]

Downtown East Streetcar Sewer Public Infrastructure District, Ser A, GO

               

Callable 09/01/27 @ 103

               

6.000%, 03/01/53(B)

    2,000       2,011  

Downtown East Streetcar Sewer Public Infrastructure District, Ser A, GO

               

Callable 09/01/27 @ 103

               

5.750%, 03/01/42(B)

  $ 500     $ 504  

Utah Charter School Finance Authority, RB

               

Callable 06/15/28 @ 102

               

5.000%, 06/15/55(B)

    1,750       1,594  
                         

Total Utah

    4,109  
                         

Vermont [0.1%]

Vermont State, Economic Development Authority, Casella Waste Systems Project, RB, AMT

               

4.625%, 04/01/36(A)(B)

    1,000       962  
                         

Virginia [0.8%]

Cherry Hill, Community Development Authority, Potomac Shores Project, SAB

               

Callable 03/01/25 @ 100

               

5.400%, 03/01/45(B)

    2,000       1,990  

Cherry Hill, Community Development Authority, Potomac Shores Project, SAB

               

Callable 03/01/25 @ 100

               

5.150%, 03/01/35(B)

    1,000       1,000  

Lower Magnolia Green, Community Development Authority, SAB

               

Callable 03/01/25 @ 100

               

5.000%, 03/01/45(B)

    3,800       3,578  

West Falls Community Development Authority, Ser A, RB

               

Callable 09/01/32 @ 100

               

5.375%, 09/01/52(B)

    2,125       2,123  

Wise County, Industrial Development Authority, Ser A-RE, RB

               

0.750%, 10/01/40(A)

    1,500       1,383  
                         

Total Virginia

    10,074  
                         

Washington [1.1%]

Kalispel Tribe of Indians, Ser A, RB

               

Callable 01/01/28 @ 100

               

5.250%, 01/01/38(B)

    400       413  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 36

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Washington State Housing Finance Commission, Ser A-TRANSFORMING

               

Callable 07/01/26 @ 103

               

5.000%, 01/01/55(B)

  $ 4,000     $ 2,899  

Washington State, Health Care Facilities Authority, RB

               

Callable 01/01/28 @ 100

               

4.000%, 07/01/42

    3,500       3,238  

Washington State, Health Care Facilities Authority, Ser A-, RB

               

Callable 08/01/29 @ 100

               

4.000%, 08/01/44

    2,715       2,483  

Washington State, Housing Finance Commission, Judson Park Project, RB

               

Callable 07/01/25 @ 102

               

5.000%, 07/01/38(B)

    325       284  

Washington State, Housing Finance Commission, Judson Park Project, RB

               

Callable 07/01/25 @ 102

               

5.000%, 07/01/48(B)

    2,400       1,954  

Washington State, Housing Finance Commission, Rockwood Retirement Community Project, RB

               

Pre-Refunded @ 100

               

7.500%, 01/01/24(B)(E)

    2,000       2,067  
                         

Total Washington

    13,338  
                         

West Virginia [0.9%]

South Charleston West Virginia, RB

               

Callable 06/01/31 @ 100

               

4.500%, 06/01/50(B)

    3,240       2,489  

West Virginia, Economic Development Authority, RB, AMT

               

Callable 01/01/25 @ 100

               

5.000%, 07/01/45(A)

    1,190       1,189  

West Virginia, Economic Development Authority, Ser S, RB

               

0.625%, 12/01/38(A)

    2,500       2,288  

West Virginia, Tobacco Settlement Finance Authority, RB

               

Callable 12/01/30 @ 100

               

4.875%, 06/01/49

  $ 5,070     $ 4,582  
                         

Total West Virginia

    10,548  
                         

Wisconsin [6.6%]

Hartford, Public Finance Authority, RB

               

Callable 09/01/24 @ 100

               

5.000%, 09/01/38(B)

    1,580       1,428  

Piedmont, Public Finance Authority, RB

               

Callable 06/15/29 @ 100

               

5.000%, 06/15/49

    500       499  

Pine Lake, Public Finance Authority, RB

               

Callable 03/01/25 @ 100

               

5.500%, 03/01/45(B)

    3,460       3,494  

Pine Lake, Public Finance Authority, RB

               

Callable 03/01/25 @ 100

               

5.250%, 03/01/35(B)

    1,250       1,271  

Public Finance Authority, RB

               

Callable 02/01/32 @ 100

               

5.000%, 02/01/52

    2,500       2,500  

Public Finance Authority, RB

               

Callable 07/01/30 @ 100

               

5.000%, 01/01/55(B)

    3,000       2,270  

Public Finance Authority, RB

               

Callable 04/01/32 @ 100

               

4.000%, 04/01/42(B)

    850       691  

Public Finance Authority, RB

               

Callable 06/01/27 @ 100

               

4.000%, 06/01/51(B)

    715       510  

Public Finance Authority, RB

               

Callable 07/01/29 @ 100

               

4.000%, 07/01/51

    2,750       2,252  

Public Finance Authority, RB

               

Callable 04/01/32 @ 100

               

4.000%, 04/01/52(B)

    1,250       935  

Public Finance Authority, RB

               

Callable 06/01/27 @ 103

               

4.000%, 06/01/56(B)

    4,000       2,603  

Public Finance Authority, RB, AMT

               

Callable 09/30/31 @ 100

               

4.000%, 09/30/51

    600       494  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 37

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Public Finance Authority, RB, AMT

               

Callable 09/30/31 @ 100

               

4.000%, 03/31/56

  $ 3,290     $ 2,643  

University of Wisconsin Hospitals & Clinics, RB

               

Callable 10/01/31 @ 100

               

4.000%, 04/01/51

    4,995       4,695  

Wisconsin State, Health & Educational Facilities Authority, Dickson Hollow Project, RB

               

Callable 05/08/23 @ 102

               

5.500%, 10/01/49

    2,500       2,197  

Wisconsin State, Health & Educational Facilities Authority, RB

               

Callable 08/15/26 @ 100

               

5.000%, 02/15/51(A)

    1,000       1,048  

Wisconsin State, Health & Educational Facilities Authority, RB

               

Callable 08/15/24 @ 100

               

5.000%, 02/15/52(A)

    1,500       1,530  

Wisconsin State, Health & Educational Facilities Authority, RB

               

Callable 04/01/27 @ 100

               

4.000%, 04/01/39

    2,500       2,452  

Wisconsin State, Health & Educational Facilities Authority, RB

               

Callable 01/01/27 @ 103

               

4.000%, 01/01/47

    1,680       1,227  

Wisconsin State, Health & Educational Facilities Authority, RB

               

Callable 01/01/27 @ 103

               

4.000%, 01/01/57

    1,920       1,311  

Wisconsin State, Health & Educational Facilities Authority, RB

               

Callable 08/15/31 @ 100

               

3.000%, 08/15/51

    1,610       1,135  

Wisconsin State, Health & Educational Facilities Authority, Woodland Hill Senior Housing Project, RB

               

Callable 05/08/23 @ 102

               

5.250%, 12/01/49

    4,000       3,429  

Wisconsin State, Public Finance Authority, Bancroft Neurohealth Project, RB

               

Callable 06/01/26 @ 100

               

5.000%, 06/01/36(B)

  $ 6,125     $ 5,742  

Wisconsin State, Public Finance Authority, Bancroft Neurohealth Project, RB

               

Callable 06/01/26 @ 100

               

4.625%, 06/01/36(B)

    3,300       2,966  

Wisconsin State, Public Finance Authority, Coral Academy Project, RB

               

Callable 07/01/24 @ 100

               

5.625%, 07/01/44

    3,500       3,540  

Wisconsin State, Public Finance Authority, Coral Academy Project, RB

               

Callable 07/01/24 @ 100

               

5.375%, 07/01/34

    2,000       2,034  

Wisconsin State, Public Finance Authority, Cornerstone Christian Project, RB

               

Callable 02/01/26 @ 100

               

5.000%, 02/01/36(B)

    3,000       2,863  

Wisconsin State, Public Finance Authority, National Gypsum, RB, AMT

               

Callable 08/01/26 @ 100

               

4.000%, 08/01/35

    3,000       2,613  

Wisconsin State, Public Finance Authority, RB

               

Callable 03/01/30 @ 100

               

5.250%, 03/01/45(B)

    1,500       1,326  

Wisconsin State, Public Finance Authority, RB

               

Callable 03/01/30 @ 100

               

5.250%, 03/01/55(B)

    2,500       2,132  

Wisconsin State, Public Finance Authority, RB

               

Callable 04/01/30 @ 100

               

5.000%, 04/01/40(B)

    1,175       1,128  

Wisconsin State, Public Finance Authority, RB

               

Callable 04/01/30 @ 100

               

5.000%, 04/01/50(B)

    1,675       1,523  

Wisconsin State, Public Finance Authority, Roseman University Health Sciences, RB

               

Callable 04/01/25 @ 100

               

5.875%, 04/01/45

    5,000       5,044  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 38

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Wisconsin State, Public Finance Authority, Senior Trips Obligation Group Project, Ser B, RB, AMT

               

Callable 05/08/23 @ 100

               

5.000%, 07/01/42

  $ 1,000     $ 995  

Wisconsin State, Public Finance Authority, Ser A, RB

               

Callable 06/15/25 @ 100

               

5.500%, 06/15/35(B)

    3,000       3,065  

Wisconsin State, Public Finance Authority, Ser A, RB

               

Callable 06/15/25 @ 100

               

5.500%, 06/15/45(B)

    4,280       4,307  

Wisconsin State, Public Finance Authority, Ser E, RB, AMT

               

Callable 05/08/23 @ 100

               

5.000%, 07/01/23

    820       821  
                         

Total Wisconsin

    80,713  
                         

American Samoa [0.3%]

American Samoa, Economic Development Authority, Ser A, RB

               

Callable 09/01/25 @ 100

               

6.625%, 09/01/35

    3,000       3,148  
                         

Puerto Rico [6.0%]

Children’s Trust Fund, RB

               

Callable 05/08/23 @ 100

               

5.625%, 05/15/43

    2,000       2,019  

Commonwealth of Puerto Rico, Ser A, GO

               

2.575%, 07/01/24(C)

    414       390  

Commonwealth of Puerto Rico, Ser A1, GO

               

5.625%, 07/01/27

    2,951       3,049  

Commonwealth of Puerto Rico, Ser A1, GO

               

Callable 07/01/31 @ 103

               

4.000%, 07/01/33

    6,113       5,495  

Commonwealth of Puerto Rico, Ser A1, GO

               

Callable 07/01/31 @ 103

               

4.000%, 07/01/37

    2,957       2,501  

Commonwealth of Puerto Rico, Sub-Ser CW, GO

               

0.000%, 11/01/43(A)

    6,456       2,809  

Puerto Rico Commonwealth Aqueduct & Sewer Authority, Ser A

               

Callable 07/01/32 @ 100

               

5.000%, 07/01/33(B)

  $ 2,000     $ 1,992  

Puerto Rico, Electric Power Authority, Ser A, RB

               

Callable 07/01/23 @ 100

               

6.750%, 07/01/36(D)

    2,605       1,886  

Puerto Rico, Electric Power Authority, Ser AAA, RB

               

Callable 05/08/23 @ 100

               

5.250%, 07/01/30(D)

    1,625       1,166  

Puerto Rico, Electric Power Authority, Ser CCC, RB

               

Callable 05/08/23 @ 100

               

5.250%, 07/01/28(D)

    2,145       1,528  

Puerto Rico, Electric Power Authority, Ser E-1, RB

               

10.000%, 01/01/21(D)

    3,957       2,898  

Puerto Rico, Electric Power Authority, Ser E-2, RB

               

10.000%, 07/01/21(D)

    1,500       1,099  

Puerto Rico, Electric Power Authority, Ser E-3, RB

               

10.000%, 01/01/22(D)

    500       366  

Puerto Rico, Electric Power Authority, Ser XX, RB

               

Callable 05/08/23 @ 100

               

5.250%, 07/01/40(D)

    4,000       2,870  

Puerto Rico, Sales Tax Financing, Sales Tax Revenue, Ser A-1, RB

               

Callable 07/01/28 @ 100

               

5.000%, 07/01/58

    10,167       9,574  

Puerto Rico, Sales Tax Financing, Sales Tax Revenue, Ser A-1, RB

               

Callable 07/01/28 @ 100

               

4.750%, 07/01/53

    1,276       1,167  

Puerto Rico, Sales Tax Financing, Sales Tax Revenue, Ser A-1, RB

               

Callable 07/01/25 @ 100

               

4.500%, 07/01/34

    19,005       18,758  

Puerto Rico, Sales Tax Financing, Sales Tax Revenue, Ser A-1, RB

               

4.316%, 07/01/24(C)

    1,383       1,308  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 39

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Municipal High Income Fund (concluded)

 

 

Description

 

Face Amount (000)/Shares

   

Value (000)

 

Puerto Rico, Sales Tax Financing, Sales Tax Revenue, Ser A-2, RB

               

Callable 07/01/28 @ 100

               

4.784%, 07/01/58

  $ 10,771     $ 9,776  

Puerto Rico, Sales Tax Financing, Sales Tax Revenue, Ser A-2, RB

               

Callable 07/01/28 @ 100

               

4.536%, 07/01/53

    31       27  
                         

Total Puerto Rico

    70,678  
                         

Total Municipal Bonds

(Cost $1,248,525)

    1,151,391  
                         

Corporate Bond [0.2%]

Medical Products & Services [0.2%]

Tower Health

               

4.451%, 02/01/50

    4,000       1,740  
                         

Total Corporate Bond

(Cost $3,270)

    1,740  
                         

Short-Term Investment [2.1%]

SEI Daily Income Trust Government Fund, Cl Institutional, 4.570%**

    25,458,931       25,459  
                         

Total Short-Term Investment

(Cost $25,459)

    25,459  
                         

Total Investments [98.0%]

(Cost $1,277,254)

  $ 1,178,590  
                         

 

Percentages are based on net assets of $1,202,813 (000).

 

**

The rate reported is the 7-day effective yield as of March 31, 2023.

 

(A)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

 

(B)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On March 31, 2023, the value of these securities amounted to $314,461 (000), representing 26.1% of the net assets of the Fund.

 

(C)

Zero coupon security.

 

(D)

In default on interest payments. Rate shown represents the last coupon rate prior to default.

 

(E)

Pre-Refunded Security — The maturity date shown is the pre-refunded date.

 

AGM — Assured Guarantee Municipal

 

AMBAC — American Municipal Bond Assurance Company

 

AMT — Alternative Minimum Tax (subject to)

 

BAM — Build America Mutual

 

CDA — Community Development Administration

 

Cl — Class

 

ETM — Escrowed to Maturity

 

GO — General Obligation

 

RB — Revenue Bond

 

SAB — Special Assessment Board

 

Ser — Series

 

SPL Tax — Special Tax

 

TA — Tax Allocation

 

The following is a list of the inputs used as of March 31, 2023 is valuing the Fund’s investments and other financial instruments carried at value (000):

 

Investments in Securities

 

Level 1

   

Level 2

   

Level 3

   

Total

 

Municipal Bonds

  $     $ 1,151,391     $     $ 1,151,391  

Corporate Bond

          1,740             1,740  

Short-Term Investment

    25,459                   25,459  

Total Investments in Securities

  $ 25,459     $ 1,153,131     $     $ 1,178,590  

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

For information on valuation inputs, see Note 2 — Significant Accounting Policies in the Notes to Financial Statements.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 40

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Intermediate Fixed Income Fund

 

 

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Corporate Bonds [47.6%]

Communication Services [7.2%]

America Movil

               

3.625%, 04/22/29

  $ 2,000     $ 1,866  

Verizon Communications

               

2.355%, 03/15/32

    2,536       2,079  
                         

Total Communication Services

    3,945  
                         

Consumer Discretionary [4.4%]

General Motors Financial

               

4.350%, 01/17/27

    2,500       2,421  
                         

Consumer Staples [3.0%]

Coca-Cola

               

1.375%, 03/15/31

    2,000       1,630  
                         

Energy [3.3%]

Energy Transfer

               

5.950%, 12/01/25

    1,800       1,828  
                         

Financials [13.8%]

Banco Santander

               

2.746%, 05/28/25

    2,000       1,885  

Barclays

               

4.375%, 01/12/26

    2,000       1,929  

Capital One Financial

               

4.200%, 10/29/25

    1,800       1,677  

Jefferies Financial Group

               

4.850%, 01/15/27

    2,210       2,156  

Lehman Brothers Holdings, MTN

               

7.000%, 09/28/37(A)

  $ 400     $ 1  
                         

Total Financials

    7,648  
                         

Health Care [1.5%]

CVS Health

               

4.300%, 03/25/28

    854       838  
                         

Industrials [6.9%]

John Deere Capital, MTN

               

2.800%, 09/08/27

    2,500       2,350  

Penske Truck Leasing LP

               

3.450%, 07/01/24(B)

    1,500       1,460  
                         

Total Industrials

    3,810  
                         

Real Estate [4.0%]

Prologis

               

2.125%, 04/15/27

    2,425       2,207  
                         

Utilities [3.5%]

Duke Energy

               

3.400%, 06/15/29

    2,020       1,863  

Korea Electric Power

               

6.750%, 08/01/27

    75       81  
                         

Total Utilities

    1,944  
                         

Total Corporate Bonds

(Cost $29,459)

    26,271  
                         

U.S. Treasury Obligations [45.0%]

U.S. Treasury Notes

               

4.250%, 10/15/25

    1,750       1,762  

2.625%, 01/31/26

    5,350       5,171  

2.375%, 03/31/29

    2,000       1,865  

1.875%, 07/31/26

    4,500       4,230  

1.750%, 03/15/25

    1,500       1,434  

1.625%, 08/15/29

    3,800       3,386  

1.000%, 07/31/28

    2,150       1,877  

0.875%, 11/15/30

    3,950       3,267  

0.125%, 01/15/24

    1,900       1,833  
                         

Total U.S. Treasury Obligations

(Cost $27,241)

    24,825  
                         

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 41

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Intermediate Fixed Income Fund (continued)

 

 

Description

 

Face Amount (000)

   

Value (000)

 

Affiliated Registered Investment Company [4.4%]

City National Rochdale Fixed Income Opportunities Fund, Cl N‡

  $ 127,551     $ 2,397  
                         

Total Affiliated Registered Investment Company

(Cost $2,500)

    2,397  
                         

Mortgage-Backed Obligations [0.1%]

Cityscape Home Equity Loan Trust, Ser 1997-C, Cl A4

               

7.500%, 07/25/28

    5       2  

JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2013-LC11, Cl A5

               

2.960%, 04/15/46

    44       44  

Residential Accredit Loans, Ser 2004-QS6, Cl A1

               

5.000%, 05/25/19

           
                         

Total Mortgage-Backed Obligations

(Cost $50)

    46  
                         

U.S. Government Mortgage-Backed Obligations [0.0%]

FHLMC, Pool 1B2677

               

4.150%, ICE LIBOR USD 12 Month + 1.900%, 01/01/35(C)

    1       1  

FHLMC, Pool 1B2683

               

4.150%, ICE LIBOR USD 12 Month + 1.900%, 01/01/35(C)

    1       1  

FHLMC, Pool 1B2692

               

4.000%, ICE LIBOR USD 12 Month + 1.780%, 12/01/34(C)

    2       2  

FNMA, Pool 253183

               

7.500%, 04/01/30

           

FNMA, Pool 253398

               

8.000%, 08/01/30

          1  

FNMA, Pool 255814

               

5.500%, 08/01/35

    4       4  

FNMA, Pool 303168

               

9.500%, 02/01/25

           

FNMA, Pool 745275

               

5.000%, 02/01/36

    1       1  

FNMA, Pool 827223

               

2.840%, ICE LIBOR USD 12 Month + 1.465%, 04/01/35(C)

  $ 5     $ 5  

FNMA, Pool 844809

               

5.000%, 11/01/35

    1       1  
                         

Total U.S. Government Mortgage-Backed Obligations

(Cost $15)

    16  
                         

Short-Term Investment [1.8%]

SEI Daily Income Trust Government Fund, Cl Institutional, 4.570%**

    1,009,080       1,009  
                         

Total Short-Term Investment

(Cost $1,009)

    1,009  
                         

Total Investments [98.9%]

(Cost $60,274)

  $ 54,564  
                         

 

Percentages are based on net assets of $55,150 (000).

 

**

The rate reported is the 7-day effective yield as of March 31, 2023.

 

Investment in Affiliate.

 

(A)

In default on interest payments. Rate shown represents the last coupon rate prior to default.

 

(B)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On March 31, 2023, the value of these securities amounted to $1,460 (000), representing 2.6% of the net assets of the Fund.

 

(C)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

 

Cl — Class

 

FHLMC — Federal Home Loan Mortgage Corporation

 

FNMA — Federal National Mortgage Association

 

ICE — Intercontinental Exchange

 

LIBOR — London Interbank Offered Rates

 

LP — Limited Partnership

 

MTN — Medium Term Note

 

Ser — Series

 

USD — U.S. Dollar

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 42

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Intermediate Fixed Income Fund (concluded)

 

 

The following is a summary of the inputs used as of March 31, 2023 in valuing the Fund’s investments carried at value (000):

 

Investments in Securities

 

Level 1

   

Level 2

   

Level 3

   

Total

 

Corporate Bonds

  $     $ 26,271     $     $ 26,271  

U.S. Treasury Obligations

          24,825             24,825  

Affiliated Registered Investment Company

    2,397                   2,397  

Mortgage-Backed Obligations

          46             46  

U.S. Government Mortgage-Backed Obligations

          16             16  

Short-Term Investment

    1,009                   1,009  

Total Investments in Securities

  $ 3,406     $ 51,158     $     $ 54,564  

 

The following is a summary of the transactions with the affiliates for the period ended March 31, 2023.

 

   

City National
Rochdale
Fixed Income
Opportunities
Fund,
Class N (000)

 

Beginning balance as of October 1, 2022

  $ 2,372  

Purchases at Cost

     

Proceeds from Sales

     

Realized Gain (Loss)

     

Unrealized Gain (Loss)

    25  

Ending balance as of March 31, 2023

  $ 2,397  

Dividend Income

  $ 131  

 

   

City National
Rochdale
Fixed Income
Opportunities
Fund,
Class N (Shares)

 

Beginning balance as of October 1, 2022

    127,551  

Purchases

     

Sales

     

Ending balance as of March 31, 2023

    127,551  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

For information on valuation inputs, see Note 2 — Significant Accounting Policies in the Notes to Financial Statements.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 43

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund

 

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Corporate Bonds [51.6%]

Aerospace & Defense [0.1%]

Spirit AeroSystems

               

7.500%, 04/15/25(A)

  $ 610     $ 610  

Spirit AeroSystems

               

9.375%, 11/30/29(A)

    98       107  

Triumph Group

               

9.000%, 03/15/28(A)

    590       590  
                         

Total Aerospace & Defense

    1,307  
                         

Aerospace / Defense [0.8%]

Embraer Netherlands Finance BV

               

6.950%, 01/17/28

    6,550       6,627  

TransDigm

               

6.250%, 03/15/26(A)

    5,325       5,337  

TransDigm

               

6.375%, 06/15/26

    800       782  

TransDigm

               

5.500%, 11/15/27

    1,825       1,721  

TransDigm

               

6.750%, 08/15/28(A)

    1,225       1,239  

TransDigm UK Holdings

               

6.875%, 05/15/26

    1,950       1,921  
                         

Total Aerospace / Defense

    17,627  
                         

Airlines [0.3%]

Allegiant Travel

               

7.250%, 08/15/27(A)

    1,935       1,926  

American Airlines

               

11.750%, 07/15/25(A)

    1,020       1,116  

American Airlines

               

5.500%, 04/20/26(A)

    3,610       3,553  

American Airlines

               

7.250%, 02/15/28(A)

  $ 96     $ 93  

Avianca Holdings

               

8.375%, 07/10/20(B)

    39       2  

Mileage Plus Holdings

               

6.500%, 06/20/27(A)

    1,160       1,157  
                         

Total Airlines

    7,847  
                         

Airport Develop/Maint [0.3%]

GMR Hyderabad International Airport

               

4.750%, 02/02/26

    3,800       3,517  

Mexico City Airport Trust

               

5.500%, 07/31/47

    5,100       3,928  
                         

Total Airport Develop/Maint

    7,445  
                         

Appliances [0.1%]

Nobel Bidco BV

               

3.125%, 06/15/28

  EUR 1,700       1,290  
                         

Auto Rent & Lease [0.1%]

Hertz

               

4.625%, 12/01/26(A)

    1,030       933  

Kapla Holding SAS

               

7.982%, Euribor 3 Month + 5.500%, 07/15/27(C)

  EUR 350       380  

Upbound Group

               

6.375%, 02/15/29(A)

    1,510       1,268  
                         

Total Auto Rent & Lease

    2,581  
                         

Auto-Med and Heavy Duty Trks [0.1%]

Allison Transmission

               

4.750%, 10/01/27(A)

    2,060       1,946  
                         

Automotive [1.3%]

Adient Global Holdings

               

4.875%, 08/15/26(A)

    2,350       2,265  

Adient Global Holdings

               

7.000%, 04/15/28(A)

    225       231  

Clarios Global

               

6.750%, 05/15/25(A)

    159       161  

Dana

               

5.375%, 11/15/27

    175       163  

Dana

               

5.625%, 06/15/28

    475       446  

Dana

               

4.250%, 09/01/30

    250       201  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 44

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Dana Financing Luxembourg Sarl

               

5.750%, 04/15/25(A)

  $ 450     $ 444  

Dornoch Debt Merger Sub

               

6.625%, 10/15/29(A)

    2,475       1,667  

Ford Motor Credit

               

4.063%, 11/01/24

    2,200       2,124  

Ford Motor Credit

               

5.125%, 06/16/25

    1,850       1,811  

Ford Motor Credit

               

3.375%, 11/13/25

    2,400       2,250  

Ford Motor Credit

               

6.950%, 03/06/26

    2,505       2,546  

Ford Motor Credit

               

5.113%, 05/03/29

    1,500       1,408  

Ford Motor Credit

               

4.000%, 11/13/30

    1,975       1,677  

Ford Motor Credit, MTN

               

4.389%, 01/08/26

    2,100       1,992  

IHO Verwaltungs GmbH

               

4.750%, 09/15/26(A)

    1,325       1,180  

IHO Verwaltungs GmbH

               

6.000%cash/6.750% PIK, 05/15/27(A)

    1,350       1,232  

IHO Verwaltungs GmbH

               

6.375%cash/7.125% PIK, 05/15/29(A)

    875       771  

Panther BF Aggregator 2

               

8.500%, 05/15/27(A)

    4,550       4,567  

Real Hero Merger Sub 2

               

6.250%, 02/01/29(A)

    2,350       1,737  

Standard Profil Automotive GmbH

               

6.250%, 04/30/26

  EUR 968       637  
                         

Total Automotive

    29,510  
                         

Autoparts [0.3%]

Metalsa S A P I De Cv

               

3.750%, 05/04/31

    1,195       903  

3.750%, 05/04/31(A)

    7,800       5,896  
                         

Total Autoparts

    6,799  
                         

Banks [2.1%]

Akbank

               

6.800%, 02/06/26

    7,600       7,337  

Akbank T.A.S.

               

6.797%, USD Swap Semi 30/360 5 Yr Curr + 4.029%, 04/27/28(C)

    747       744  

Banco Davivienda

               

6.650%, US Treas Yield Curve Rate T Note Const Mat 10 Yr + 5.097%, 10/22/71(A)(C)

  $ 6,000     $ 4,137  

Banco de Bogota

               

6.250%, 05/12/26

    2,350       2,285  

Banco General

               

5.250%, US Treas Yield Curve Rate T Note Const Mat 10 Yr + 3.665%, 11/07/71(C)

    5,300       4,624  

Banco Mercantil del Norte

               

7.625%, US Treas Yield Curve Rate T Note Const Mat 10 Yr + 5.353%, 10/06/67(C)

    5,100       4,513  

Banco Mercantil del Norte

               

6.625%, US Treas Yield Curve Rate T Note Const Mat 10 Yr + 5.034%, 01/24/72(C)

    1,085       875  

Bancolombia

               

4.625%, US Treas Yield Curve Rate T Note Const Mat 5 Yr + 2.944%, 12/18/29(C)

    6,115       5,137  

Bank Nadra Via NDR Finance

               

8.250%, 06/22/17(B)

    631       3  

Bank Negara Indonesia Persero

               

4.300%, US Treas Yield Curve Rate T Note Const Mat 5 Yr + 3.466%, 03/24/72(C)

    5,200       4,215  

Bank Negara Indonesia Persero, MTN

               

3.750%, 03/30/26

    2,000       1,821  

BBVA Bancomer

               

5.125%, US Treas Yield Curve Rate T Note Const Mat 5 Yr + 2.650%, 01/18/33(C)

    8,055       6,891  

Freedom Mortgage

               

7.625%, 05/01/26(A)

    1,830       1,467  

ING Bank, MTN

               

2.571%, 01/01/28

  JPY 301,241       1,804  

Ipoteka-Bank ATIB

               

5.500%, 11/19/25

    4,100       3,741  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 45

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Sovcombank Via SovCom Capital DAC

               

7.600%, US Treas Yield Curve Rate T Note Const Mat 5 Yr + 6.362%, 02/17/72

  $ 3,615     $  
                         

Total Banks

    49,594  
                         

BBH_233 [0.0%]

Rand Parent

               

8.500%, 02/15/30(A)

    660       620  
                         

Broadcasting & Cable [0.6%]

Altice Financing

               

5.000%, 01/15/28(A)

    1,520       1,253  

Cable One

               

4.000%, 11/15/30(A)

    2,110       1,716  

CCO Holdings

               

7.375%, 03/01/31(A)

    243       239  

Charter Communications Operating

               

5.750%, 04/01/48

    730       628  

CSC Holdings

               

6.500%, 02/01/29(A)

    2,995       2,465  

LCPR Senior Secured Financing DAC

               

6.750%, 10/15/27

    6,250       5,824  

6.750%, 10/15/27(A)

    1,925       1,794  
                         

Total Broadcasting & Cable

    13,919  
                         

Building & Construction [1.3%]

Allegheny Ludlum

               

6.950%, 12/15/25

    470       472  

Ashton Woods USA

               

4.625%, 04/01/30(A)

    810       667  

Brundage-Bone Concrete Pumping Holdings

               

6.000%, 02/01/26(A)

    1,320       1,237  

Cemex

               

5.450%, 11/19/29

    3,200       3,012  

Cemex

               

3.875%, 07/11/31

    2,100       1,734  

Cemex

               

9.125%, US Treas Yield Curve Rate T Note Const Mat 5 Yr + 4.907%, 06/14/71(A)(C)

    1,080       1,086  

Cemex

               

5.125%, US Treas Yield Curve Rate T Note Const Mat 5 Yr + 4.534%, 09/08/71(C)

  $ 1,000     $ 895  

Forestar Group

               

3.850%, 05/15/26(A)

    2,144       1,929  

HTA Group

               

7.000%, 12/18/25

    5,725       5,422  

Installed Building Products

               

5.750%, 02/01/28(A)

    2,588       2,383  

LGI Homes

               

4.000%, 07/15/29(A)

    805       654  

New Home

               

7.250%, 10/15/25(A)

    2,665       2,456  

Patrick Industries

               

7.500%, 10/15/27(A)

    1,245       1,233  

Shea Homes

               

4.750%, 02/15/28

    1,450       1,296  

Summit Materials

               

6.500%, 03/15/27(A)

    1,450       1,436  

Thor Industries

               

4.000%, 10/15/29(A)

    815       674  

TRI Pointe Group

               

5.875%, 06/15/24

    1,725       1,716  

Victors Merger

               

6.375%, 05/15/29(A)

    915       549  

West China Cement

               

4.950%, 07/08/26

    2,820       2,249  

Yuksel Insaat

               

9.500%, 11/10/15(B)

    12,655       127  
                         

Total Building & Construction

    31,227  
                         

Building Materials [0.9%]

American Builders & Contractors Supply

               

4.000%, 01/15/28(A)

    350       319  

American Builders & Contractors Supply

               

3.875%, 11/15/29(A)

    400       341  

Camelot Return Merger Sub

               

8.750%, 08/01/28(A)

    975       903  

Cornerstone Building Brands

               

6.125%, 01/15/29(A)

    675       482  

CP Atlas Buyer

               

7.000%, 12/01/28(A)

    2,175       1,599  

Foundation Building Materials

               

6.000%, 03/01/29(A)

    3,282       2,601  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 46

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

GYP Holdings III

               

4.625%, 05/01/29(A)

  $ 1,975     $ 1,689  

Interface

               

5.500%, 12/01/28(A)

    825       668  

SRS Distribution

               

6.125%, 07/01/29(A)

    2,125       1,793  

SRS Distribution

               

6.000%, 12/01/29(A)

    2,125       1,754  

Standard Industries

               

5.000%, 02/15/27(A)

    3,450       3,286  

Standard Industries

               

4.750%, 01/15/28(A)

    1,500       1,401  

Standard Industries

               

4.375%, 07/15/30(A)

    1,525       1,327  

Standard Industries

               

3.375%, 01/15/31(A)

    375       302  

White Capital Buyer

               

6.875%, 10/15/28(A)

    1,625       1,410  

White Capital Parent

               

8.250%cash/9.000% PIK, 03/15/26(A)

    925       841  
                         

Total Building Materials

    20,716  
                         

Building-Heavy Construct [0.9%]

Andrade Gutierrez International

               

9.000%cash/10.500% PIK, 12/28/29

    44,387       16,423  

9.000%cash/10.500% PIK, 12/28/29(A)

    831       308  

Odebrecht Holdco Finance

               

0.000%, 09/10/58(D)

    15,874       23  

Sitios Latinoamerica

               

5.375%, 04/04/32(A)

    4,570       4,117  
                         

Total Building-Heavy Construct

    20,871  
                         

Cable Satellite [1.9%]

CCO Holdings

               

5.125%, 05/01/27(A)

    5,613       5,304  

CCO Holdings

               

5.000%, 02/01/28(A)

    1,200       1,107  

CCO Holdings

               

4.750%, 03/01/30(A)

    825       715  

CCO Holdings

               

4.500%, 08/15/30(A)

    1,975       1,669  

4.500%, 05/01/32

    720       589  

4.500%, 06/01/33(A)

    1,175       946  

CCO Holdings

               

4.250%, 02/01/31(A)

    1,425       1,182  

4.250%, 01/15/34(A)

    900       704  

CSC Holdings

               

5.500%, 04/15/27(A)

  $ 1,550     $ 1,308  

CSC Holdings

               

7.500%, 04/01/28(A)

    900       574  

CSC Holdings

               

5.750%, 01/15/30(A)

    2,150       1,132  

CSC Holdings

               

4.125%, 12/01/30(A)

    2,400       1,723  

CSC Holdings

               

4.625%, 12/01/30(A)

    2,825       1,393  

CSC Holdings

               

3.375%, 02/15/31(A)

    400       277  

CSC Holdings

               

4.500%, 11/15/31(A)

    975       703  

DIRECTV Holdings

               

5.875%, 08/15/27(A)

    1,366       1,230  

DISH DBS

               

7.750%, 07/01/26

    1,000       658  

DISH DBS

               

7.375%, 07/01/28

    1,825       1,041  

DISH DBS

               

5.750%, 12/01/28(A)

    375       280  

DISH DBS

               

5.125%, 06/01/29

    1,775       947  

DISH Network

               

11.750%, 11/15/27(A)

    1,730       1,665  

Dolya Holdco 18 DAC

               

5.000%, 07/15/28(A)

    1,175       1,044  

Intelsat Jackson Holdings

               

8.500%, 10/15/24(A)(B)

    875        

Intelsat Jackson Holdings

               

9.750%, 07/15/25(A)(B)

    525        

Intelsat Jackson Holdings

               

0.000%, 12/31/49(D)

    725        

Sirius XM Radio

               

3.125%, 09/01/26(A)

    425       382  

Sirius XM Radio

               

4.000%, 07/15/28(A)

    2,040       1,752  

Sirius XM Radio

               

5.500%, 07/01/29(A)

    2,000       1,820  

Sirius XM Radio

               

3.875%, 09/01/31(A)

    1,425       1,110  

Telenet Finance Luxembourg Notes Sarl

               

5.500%, 03/01/28(A)

    3,600       3,312  

UPC Broadband Finco BV

               

4.875%, 07/15/31(A)

    3,300       2,854  

Virgin Media Finance

               

5.000%, 07/15/30(A)

    250       207  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 47

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Virgin Media Secured Finance

               

5.500%, 05/15/29(A)

  $ 900     $ 838  

Virgin Media Secured Finance

               

4.500%, 08/15/30(A)

    825       709  

Vmed O2 UK Financing I

               

4.750%, 07/15/31(A)

    2,280       1,954  

VZ Secured Financing BV

               

5.000%, 01/15/32(A)

    450       365  

Ziggo Bond BV

               

6.000%, 01/15/27(A)

    2,500       2,307  
                         

Total Cable Satellite

    43,801  
                         

Chemicals [1.2%]

Axalta Coating Systems

               

4.750%, 06/15/27(A)

    700       665  

Axalta Coating Systems

               

3.375%, 02/15/29(A)

    775       664  

Braskem Idesa SAPI

               

7.450%, 11/15/29

    2,100       1,687  

Braskem Idesa SAPI

               

6.990%, 02/20/32

    1,200       905  

Braskem Netherlands Finance BV

               

7.250%, 02/13/33(A)

    3,675       3,530  

Diamond BC BV

               

4.625%, 10/01/29(A)

    2,650       2,582  

Element Solutions

               

3.875%, 09/01/28(A)

    1,975       1,733  

HB Fuller

               

4.250%, 10/15/28

    775       687  

Herens Holdco Sarl

               

4.750%, 05/15/28(A)

    2,475       1,992  

Indorama Ventures Global Services

               

4.375%, 09/12/24

    5,000       4,827  

Italmatch Chemicals

               

8.515%, Euribor 3 Month + 5.500%, 02/06/28(C)

  EUR 937       976  

Koppers

               

6.000%, 02/15/25(A)

    2,000       2,000  

LSF11 A5 HoldCo

               

6.625%, 10/15/29(A)

    950       799  

Olympus Water US Holding

               

7.125%, 10/01/27(A)

    375       352  

Olympus Water US Holding

               

4.250%, 10/01/28(A)

    1,200       993  

Olympus Water US Holding

               

6.250%, 10/01/29(A)

  $ 1,525     $ 1,143  

Polar US Borrower

               

6.750%, 05/15/26(A)

    1,425       733  

WR Grace Holdings

               

4.875%, 06/15/27(A)

    425       409  

WR Grace Holdings

               

5.625%, 08/15/29(A)

    625       530  

WR Grace Holdings

               

7.375%, 03/01/31(A)

    200       201  
                         

Total Chemicals

    27,408  
                         

Coal Mining [0.1%]

Mongolian Mining

               

0.000%, 10/01/71(C)

    1,360       999  

New World Resources

               

8.000%, 04/07/20(B)

  EUR 1,101       2  

Warrior Met Coal

               

7.875%, 12/01/28(A)

    631       634  
                         

Total Coal Mining

    1,635  
                         

Commercial Serv-Finance [0.0%]

Sabre GLBL

               

9.250%, 04/15/25(A)

    615       574  

Sabre GLBL

               

7.375%, 09/01/25(A)

    640       572  
                         

Total Commercial Serv-Finance

    1,146  
                         

Commercial Services [0.3%]

Bidvest Group UK

               

3.625%, 09/23/26

    5,000       4,523  

Live Nation Entertainment

               

5.625%, 03/15/26(A)

    1,830       1,771  

SD International Sukuk, MTN

               

6.300%, 05/09/22(B)

    13,384       401  
                         

Total Commercial Services

    6,695  
                         

Communication & Media [0.3%]

Globo Comunicacao e Participacoes

               

5.500%, 01/14/32

    1,505       1,207  

5.500%, 01/14/32(A)

    8,525       6,839  
                         

Total Communication & Media

    8,046  
                         

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 48

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Computer System Design & Services [0.2%]

Magnum Holdings

               

5.375%, 10/31/26(A)

  $ 4,900     $ 4,291  

Virtusa

               

7.125%, 12/15/28(A)

    350       275  
                         

Total Computer System Design & Services

    4,566  
                         

Construction Machinery [0.2%]

H&E Equipment Services

               

3.875%, 12/15/28(A)

    1,850       1,621  

Ritchie Bros Holdings

               

6.750%, 03/15/28(A)

    275       283  

Ritchie Bros Holdings

               

7.750%, 03/15/31(A)

    275       289  

Terex

               

5.000%, 05/15/29(A)

    680       633  

United Rentals North America

               

5.500%, 05/15/27

    424       420  

United Rentals North America

               

4.875%, 01/15/28

    600       573  

United Rentals North America

               

5.250%, 01/15/30

    325       313  

United Rentals North America

               

4.000%, 07/15/30

    700       629  

United Rentals North America

               

3.875%, 02/15/31

    350       309  
                         

Total Construction Machinery

    5,070  
                         

Consumer Cyclical Services [0.7%]

Allied Universal Holdco

               

6.625%, 07/15/26(A)

    700       673  

Allied Universal Holdco

               

9.750%, 07/15/27(A)

    2,825       2,518  

Allied Universal Holdco

               

6.000%, 06/01/29(A)

    1,900       1,418  

Garda World Security

               

4.625%, 02/15/27(A)

    650       584  

Garda World Security

               

7.750%, 02/15/28(A)

    250       246  

Garda World Security

               

6.000%, 06/01/29(A)

    2,250       1,789  

Go Daddy Operating

               

5.250%, 12/01/27(A)

    1,225       1,192  

GW B-CR Security

               

9.500%, 11/01/27(A)

    2,368       2,247  

Match Group

               

5.000%, 12/15/27(A)

  $ 1,920     $ 1,818  

Match Group

               

4.625%, 06/01/28(A)

    1,883       1,740  

Match Group Holdings II

               

3.625%, 10/01/31(A)

    800       646  

Signal Parent

               

6.125%, 04/01/29(A)

    1,542       617  
                         

Total Consumer Cyclical Services

    15,488  
                         

Consumer Products [0.3%]

BCPE Empire Holdings

               

7.625%, 05/01/27(A)

    3,625       3,312  

Edgewell Personal Care

               

5.500%, 06/01/28(A)

    875       838  

Edgewell Personal Care

               

4.125%, 04/01/29(A)

    400       351  

Energizer Holdings

               

6.500%, 12/31/27(A)

    1,000       971  

Energizer Holdings

               

4.750%, 06/15/28(A)

    500       450  

Energizer Holdings

               

4.375%, 03/31/29(A)

    2,200       1,933  
                         

Total Consumer Products

    7,855  
                         

Consumer Products & Services [0.2%]

Turkiye Sise ve Cam Fabrikalari

               

6.950%, 03/14/26

    4,650       4,556  
                         

Containers & Packaging [0.4%]

Fiber Bidco Spa

               

9.015%, Euribor 3 Month + 6.000%, 10/25/27(C)

  EUR 300       327  

Graham Packaging

               

7.125%, 08/15/28(A)

    1,195       1,033  

Klabin Austria GmbH

               

3.200%, 01/12/31

    9,700       8,003  

Klabin Austria GmbH

               

7.000%, 04/03/49

    655       651  
                         

Total Containers & Packaging

    10,014  
                         

Diversified Manufacturing [0.2%]

Gates Global

               

6.250%, 01/15/26(A)

    3,800       3,733  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 49

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

WESCO Distribution

               

7.250%, 06/15/28(A)

  $ 1,000     $ 1,027  
                         

Total Diversified Manufacturing

    4,760  
                         

Drugs [0.5%]

Teva Pharmaceutical Finance Netherlands III BV

               

4.750%, 05/09/27

    725       677  

Teva Pharmaceutical Finance Netherlands III BV

               

6.750%, 03/01/28

    10,950       10,987  
                         

Total Drugs

    11,664  
                         

E-Commerce/Products [0.0%]

ANGI Group

               

3.875%, 08/15/28(A)

    1,025       779  
                         

E-Commerce/Services [0.2%]

MercadoLibre

               

3.125%, 01/14/31

    3,200       2,470  

Uber Technologies

               

7.500%, 09/15/27(A)

    2,253       2,323  
                         

Total E-Commerce/Services

    4,793  
                         

Electric Utilities [1.6%]

Adani Renewable Energy RJ, MTN

               

4.625%, 10/15/39

    5,242       3,654  

AES Gener

               

7.125%, USD Swap Semi 30/360 5 Yr Curr + 4.644%, 03/26/79(C)

    1,480       1,414  

Cikarang Listrindo

               

4.950%, 09/14/26

    5,800       5,525  

Greenko Power II

               

4.300%, 12/13/28

    693       597  

Mercury Chile Holdco

               

6.500%, 01/24/27(A)

    8,100       7,614  

Minejesa Capital BV

               

4.625%, 08/10/30

    3,500       3,075  

Minejesa Capital BV

               

5.625%, 08/10/37(A)

    5,300       4,140  

Mong Duong Finance Holdings BV

               

5.125%, 05/07/29

    8,560       7,231  

Pacific Gas and Electric

               

4.950%, 07/01/50

    1,240       1,018  

Vistra Operations

               

5.125%, 05/13/25(A)

  $ 1,835     $ 1,788  
                         

Total Electric Utilities

    36,056  
                         

Electric-Transmission [0.3%]

Oryx Funding

               

5.800%, 02/03/31

    7,250       6,947  
                         

Energy & Power [0.2%]

Greenko Solar Mauritius

               

5.950%, 07/29/26

    3,800       3,558  

India Green Power Holdings

               

4.000%, 02/22/27

    2,600       2,197  
                         

Total Energy & Power

    5,755  
                         

Entertainment & Gaming [0.8%]

CDI Escrow Issuer

               

5.750%, 04/01/30(A)

    1,350       1,304  

Melco Resorts Finance

               

4.875%, 06/06/25

    3,600       3,386  

Melco Resorts Finance

               

5.250%, 04/26/26

    3,500       3,154  

MGM China Holdings

               

5.250%, 06/18/25

    2,700       2,558  

Sands China

               

4.300%, 01/08/26

    2,400       2,250  

Sands China

               

3.350%, 03/08/29

    6,100       5,066  
                         

Total Entertainment & Gaming

    17,718  
                         

Finance [0.1%]

Garfunkelux Holdco 3

               

6.750%, 11/01/25

  EUR 450       372  

Garfunkelux Holdco 3

               

7.750%, 11/01/25

  GBP 900       835  
                         

Total Finance

    1,207  
                         

Finance Companies [0.8%]

Navient

               

6.750%, 06/25/25

    950       923  

6.750%, 06/15/26

    450       439  

Navient

               

5.000%, 03/15/27

    750       660  

Navient

               

5.500%, 03/15/29

    1,025       866  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 50

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Rocket Mortgage

               

2.875%, 10/15/26(A)

  $ 3,225     $ 2,897  

Rocket Mortgage

               

3.625%, 03/01/29(A)

    675       580  

Rocket Mortgage

               

3.875%, 03/01/31(A)

    3,130       2,595  

Rocket Mortgage

               

4.000%, 10/15/33(A)

    1,763       1,400  

United Wholesale Mortgage

               

5.500%, 11/15/25(A)

    5,030       4,760  

5.500%, 04/15/29(A)

    3,971       3,316  
                         

Total Finance Companies

    18,436  
                         

Financial Services [0.6%]

Castlelake Aviation Finance DAC

               

5.000%, 04/15/27(A)

    800       708  

CSN Inova Ventures

               

6.750%, 01/28/28(A)

    2,680       2,513  

Encore Capital Group

               

4.250%, 06/01/28

  GBP 1,000       959  

Genworth Mortgage Holdings

               

6.500%, 08/15/25(A)

    1,521       1,483  

Iqera Group SAS

               

9.045%, Euribor 3 Month + 6.500%, 02/15/27(C)

  EUR 900       887  

Jefferies Finance

               

5.000%, 08/15/28(A)

    595       504  

MGIC Investment

               

5.250%, 08/15/28

    690       656  

Midcap Financial Issuer Trust

               

6.500%, 05/01/28(A)

    1,205       1,025  

Midcap Financial Issuer Trust

               

5.625%, 01/15/30(A)

    790       624  

Nationstar Mortgage Holdings

               

6.000%, 01/15/27(A)

    2,035       1,847  

Nationstar Mortgage Holdings

               

5.500%, 08/15/28(A)

    1,488       1,276  

OEC Finance

               

7.500%, 03/14/72

    34       1  

PennyMac Financial Services

               

5.750%, 09/15/31(A)

    1,250       989  

Radian Group

               

4.500%, 10/01/24

  $ 575     $ 555  

Radian Group

               

6.625%, 03/15/25

    749       746  

Russian Standard

               

13.000%, 10/27/22(B)

           
                         

Total Financial Services

    14,773  
                         

Food & Beverage [0.3%]

Aramark Services

               

6.375%, 05/01/25(A)

    775       781  

BellRing Brands

               

7.000%, 03/15/30(A)

    1,475       1,494  

Performance Food Group

               

4.250%, 08/01/29(A)

    1,125       1,018  

Post Holdings

               

5.750%, 03/01/27(A)

    632       616  

Post Holdings

               

5.625%, 01/15/28(A)

    1,775       1,739  

US Foods

               

6.250%, 04/15/25(A)

    225       227  

US Foods

               

4.750%, 02/15/29(A)

    1,925       1,778  

US Foods

               

4.625%, 06/01/30(A)

    300       271  
                         

Total Food & Beverage

    7,924  
                         

Food, Beverage & Tobacco [0.8%]

Agrosuper

               

4.600%, 01/20/32(A)

    5,125       4,355  

BRF

               

4.875%, 01/24/30

    3,955       3,260  

Health & Happiness H&H International Holdings

               

5.625%, 10/24/24

    2,500       2,198  

Indofood CBP Sukses Makmur

               

3.398%, 06/09/31

    2,700       2,228  

Pilgrim’s Pride

               

5.875%, 09/30/27(A)

    665       661  

Simmons Foods

               

4.625%, 03/01/29(A)

    1,245       1,012  

Triton Water Holdings

               

6.250%, 04/01/29(A)

    690       548  

Turning Point Brands

               

5.625%, 02/15/26(A)

    1,915       1,734  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 51

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Vector Group

               

5.750%, 02/01/29(A)

  $ 2,165     $ 1,926  
                         

Total Food, Beverage & Tobacco

    17,922  
                         

Gaming [1.2%]

Affinity Interactive

               

6.875%, 12/15/27(A)

    1,825       1,624  

Allwyn Entertainment Financing UK

               

6.779%, Euribor 3 Month + 4.125%, 02/15/28(C)

  EUR 1,500       1,606  

Boyd Gaming

               

4.750%, 12/01/27

    1,375       1,322  

Caesars Entertainment

               

4.625%, 10/15/29(A)

    625       547  

Caesars Entertainment

               

7.000%, 02/15/30(A)

    75       76  

CCM Merger

               

6.375%, 05/01/26(A)

    225       220  

Colt Merger Sub

               

5.750%, 07/01/25(A)

    1,000       1,000  

Colt Merger Sub

               

6.250%, 07/01/25(A)

    2,530       2,530  

Colt Merger Sub

               

8.125%, 07/01/27(A)

    2,830       2,887  

MGM Resorts International

               

5.500%, 04/15/27

    1,310       1,271  

Midwest Gaming Borrower

               

4.875%, 05/01/29(A)

    1,200       1,043  

Mohegan Tribal Gaming Authority

               

8.000%, 02/01/26(A)

    2,600       2,366  

Penn Entertainment

               

5.625%, 01/15/27(A)

    250       235  

Penn Entertainment

               

4.125%, 07/01/29(A)

    1,710       1,426  

Raptor Acquisition

               

4.875%, 11/01/26(A)

    425       395  

Scientific Games Holdings

               

6.625%, 03/01/30(A)

    1,400       1,235  

Scientific Games International

               

8.625%, 07/01/25(A)

    1,525       1,561  

Scientific Games International

               

7.250%, 11/15/29(A)

    675       676  

Station Casinos

               

4.500%, 02/15/28(A)

    5,035       4,544  

VICI Properties

               

5.625%, 05/01/24(A)

  $ 425     $ 421  

VICI Properties

               

3.500%, 02/15/25(A)

    75       71  

VICI Properties

               

4.625%, 06/15/25(A)

    400       387  

VICI Properties

               

4.250%, 12/01/26(A)

    500       467  
                         

Total Gaming

    27,910  
                         

Gold Mining [0.5%]

Aris Mining

               

6.875%, 08/09/26

    5,406       4,399  

Cia de Minas Buenaventura SAA

               

5.500%, 07/23/26

    9,450       8,055  
                         

Total Gold Mining

    12,454  
                         

Healthcare [1.4%]

AdaptHealth

               

4.625%, 08/01/29(A)

    1,325       1,103  

AdaptHealth

               

5.125%, 03/01/30(A)

    1,000       849  

AHP Health Partners

               

5.750%, 07/15/29(A)

    825       693  

Avantor Funding

               

4.625%, 07/15/28(A)

    1,975       1,875  

Avantor Funding

               

3.875%, 11/01/29(A)

    1,750       1,571  

CHS

               

8.000%, 03/15/26(A)

    750       720  

8.000%, 12/15/27(A)

    300       287  

CHS

               

5.625%, 03/15/27(A)

    750       658  

CHS

               

6.000%, 01/15/29(A)

    250       212  

CHS

               

6.875%, 04/15/29(A)

    2,100       1,300  

CHS

               

6.125%, 04/01/30(A)

    825       504  

DaVita

               

4.625%, 06/01/30(A)

    3,155       2,693  

Embecta

               

5.000%, 02/15/30(A)

    475       409  

Embecta

               

6.750%, 02/15/30(A)

    1,000       910  

Garden Spinco

               

8.625%, 07/20/30(A)

    400       427  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 52

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Global Medical Response

               

6.500%, 10/01/25(A)

  $ 1,000     $ 730  

IQVIA

               

5.000%, 10/15/26(A)

    1,075       1,051  

LifePoint Health

               

6.750%, 04/15/25(A)

    1,524       1,446  

LifePoint Health

               

5.375%, 01/15/29(A)

    850       520  

Medline Borrower

               

3.875%, 04/01/29(A)

    800       693  

Medline Borrower

               

5.250%, 10/01/29(A)

    5,375       4,664  

MPH Acquisition Holdings

               

5.500%, 09/01/28(A)

    1,105       886  

MPH Acquisition Holdings

               

5.750%, 11/01/28(A)

    725       522  

Pediatrix Medical Group

               

5.375%, 02/15/30(A)

    500       452  

RegionalCare Hospital Partners Holdings

               

9.750%, 12/01/26(A)

    500       404  

Team Health Holdings

               

6.375%, 02/01/25(A)

    275       165  

Tenet Healthcare

               

4.625%, 07/15/24

    257       253  

Tenet Healthcare

               

4.875%, 01/01/26

    550       539  

Tenet Healthcare

               

5.125%, 11/01/27

    2,075       1,992  

Tenet Healthcare

               

6.125%, 10/01/28

    3,595       3,436  

Tenet Healthcare

               

4.250%, 06/01/29

    525       475  
                         

Total Healthcare

    32,439  
                         

Homebuilders/Materials/Construction [0.1%]

Ren10 Holding

               

6.857%, Euribor 3 Month + 4.375%, 02/01/27(C)

  EUR 600       630  

Victoria

               

3.625%, 08/24/26

  EUR 500       436  

Victoria

               

3.750%, 03/15/28

  EUR 300       253  
                         

Total Homebuilders/Materials/Construction

    1,319  
                         

Hotels and Motels [0.2%]

Hilton Grand Vacations Borrower Escrow

               

5.000%, 06/01/29(A)

  $ 1,000     $ 887  

Marriott Ownership Resorts

               

4.750%, 01/15/28

    1,970       1,760  

Travel + Leisure

               

6.625%, 07/31/26(A)

    1,220       1,225  
                         

Total Hotels and Motels

    3,872  
                         

Human Resources [0.0%]

Villa Dutch Bidco BV

               

9.000%, 11/03/29

  EUR 200       205  
                         

Independent Energy [1.3%]

Antero Resources

               

7.625%, 02/01/29(A)

    159       163  

Antero Resources

               

5.375%, 03/01/30(A)

    975       907  

Ascent Resources Utica Holdings

               

7.000%, 11/01/26(A)

    2,030       1,962  

Ascent Resources Utica Holdings

               

9.000%, 11/01/27(A)

    276       335  

Ascent Resources Utica Holdings

               

8.250%, 12/31/28(A)

    2,185       2,114  

Berry Petroleum

               

7.000%, 02/15/26(A)

    550       516  

Callon Petroleum

               

6.375%, 07/01/26

    1,020       969  

Callon Petroleum

               

8.000%, 08/01/28(A)

    570       565  

Callon Petroleum

               

7.500%, 06/15/30(A)

    550       517  

Carrizo Oil & Gas

               

8.250%, 07/15/25

    325       323  

Chesapeake Energy

               

5.500%, 02/01/26(A)

    1,940       1,909  

Chesapeake Energy

               

7.000%, 12/31/49(E)

    575       9  

Chord Energy

               

6.375%, 06/01/26(A)

    500       495  

Comstock Resources

               

6.750%, 03/01/29(A)

    2,180       1,987  

Comstock Resources

               

5.875%, 01/15/30(A)

    1,425       1,224  

CrownRock

               

5.625%, 10/15/25(A)

    1,400       1,368  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 53

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Occidental Petroleum

               

5.875%, 09/01/25

  $ 900     $ 908  

Occidental Petroleum

               

8.875%, 07/15/30

    1,050       1,210  

Occidental Petroleum

               

6.625%, 09/01/30

    1,050       1,106  

Occidental Petroleum

               

6.450%, 09/15/36

    825       865  

PDC Energy

               

6.125%, 09/15/24

    387       385  

PDC Energy

               

5.750%, 05/15/26

    1,820       1,772  

Permian Resources Operating

               

5.375%, 01/15/26(A)

    250       237  

Permian Resources Operating

               

6.875%, 04/01/27(A)

    1,475       1,443  

Range Resources

               

4.875%, 05/15/25

    397       389  

Range Resources

               

8.250%, 01/15/29

    650       676  

SM Energy

               

5.625%, 06/01/25

    500       485  

SM Energy

               

6.750%, 09/15/26

    1,075       1,054  

SM Energy

               

6.625%, 01/15/27

    645       619  

SM Energy

               

6.500%, 07/15/28

    940       896  

Southwestern Energy

               

8.375%, 09/15/28

    375       394  

Southwestern Energy

               

5.375%, 03/15/30

    300       278  

Southwestern Energy

               

4.750%, 02/01/32

    475       419  

Tap Rock Resources

               

7.000%, 10/01/26(A)

    1,175       1,023  

Ultra Resources

               

7.125%, 04/15/25

           
                         

Total Independent Energy

    29,522  
                         

Industrial - Other [0.3%]

Madison IAQ

               

5.875%, 06/30/29(A)

    3,275       2,530  

SPX FLOW

               

8.750%, 04/01/30(A)

    2,225       1,919  

TK Elevator Holdco GmbH

               

7.625%, 07/15/28(A)

    1,000       879  

Vertical US Newco

               

5.250%, 07/15/27(A)

  $ 975     $ 920  
                         

Total Industrial - Other

    6,248  
                         

Industrial Services [0.0%]

Prime Security Services Borrower

               

5.250%, 04/15/24(A)

    915       904  
                         

Insurance - P&C [1.4%]

AmWINS Group

               

4.875%, 06/30/29(A)

    2,500       2,212  

Ardonagh Midco 2

               

11.500%, 01/15/27(A)

    2,294       2,088  

AssuredPartners

               

7.000%, 08/15/25(A)

    2,090       2,034  

AssuredPartners

               

5.625%, 01/15/29(A)

    2,265       1,957  

BroadStreet Partners

               

5.875%, 04/15/29(A)

    4,725       4,001  

GTCR AP Finance

               

8.000%, 05/15/27(A)

    1,900       1,812  

HUB International

               

7.000%, 05/01/26(A)

    5,875       5,771  

HUB International

               

5.625%, 12/01/29(A)

    2,100       1,830  

Jones Deslauriers Insurance Management

               

8.500%, 03/15/30(A)

    875       907  

Jones Deslauriers Insurance Management

               

10.500%, 12/15/30(A)

    1,250       1,259  

NFP

               

6.875%, 08/15/28(A)

    4,625       4,003  

NFP

               

7.500%, 10/01/30(A)

    500       483  

Ryan Specialty Group

               

4.375%, 02/01/30(A)

    400       349  

USI

               

6.875%, 05/01/25(A)

    4,025       3,944  
                         

Total Insurance - P&C

    32,650  
                         

Internet Connectiv Svcs [0.1%]

United Group BV

               

6.779%, Euribor 3 Month + 4.125%, 05/15/25(C)

  EUR 1,500       1,541  
                         

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 54

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Investment Companies [0.1%]

Hightower Holding

               

6.750%, 04/15/29(A)

  $ 2,237     $ 1,894  

Icahn Enterprises

               

5.250%, 05/15/27

    1,320       1,239  
                         

Total Investment Companies

    3,133  
                         

Leisure [0.2%]

SeaWorld Parks & Entertainment

               

5.250%, 08/15/29(A)

    1,900       1,715  

Viking Cruises

               

6.250%, 05/15/25(A)

    1,835       1,740  

VOC Escrow

               

5.000%, 02/15/28(A)

    1,750       1,553  
                         

Total Leisure

    5,008  
                         

Lodging [0.1%]

Hilton Domestic Operating

               

5.750%, 05/01/28(A)

    525       525  

Hilton Domestic Operating

               

3.750%, 05/01/29(A)

    925       826  

Hilton Domestic Operating

               

4.875%, 01/15/30

    375       359  

Hilton Domestic Operating

               

3.625%, 02/15/32(A)

    725       612  
                         

Total Lodging

    2,322  
                         

Machinery [0.0%]

Manitowoc

               

9.000%, 04/01/26(A)

    830       831  
                         

Machinery-General Indust [0.0%]

Chart Industries

               

7.500%, 01/01/30(A)

    1,110       1,147  
                         

Marine Services [0.4%]

DP World Salaam

               

6.000%, US Treas Yield Curve Rate T Note Const Mat 5 Yr + 5.750%, 01/01/72(C)

    2,250       2,233  

Mersin Uluslararasi Liman Isletmeciligi

               

5.375%, 11/15/24

    7,450       7,236  
                         

Total Marine Services

    9,469  
                         

Media Entertainment [1.3%]

Audacy Capital

               

6.500%, 05/01/27(A)

  $ 2,050     $ 135  

Audacy Capital

               

6.750%, 03/31/29(A)

    1,350       100  

CMG Media

               

8.875%, 12/15/27(A)

    5,015       3,791  

Cumulus Media New Holdings

               

6.750%, 07/01/26(A)

    1,000       760  

Diamond Sports Group

               

5.375%, 08/15/26(A)(B)

    250       14  

Gray Escrow II

               

5.375%, 11/15/31(A)

    1,375       913  

Gray Television

               

5.875%, 07/15/26(A)

    900       778  

Gray Television

               

7.000%, 05/15/27(A)

    2,000       1,675  

iHeartCommunications

               

6.375%, 05/01/26

    444       391  

iHeartCommunications

               

8.375%, 05/01/27

    3,449       2,515  

iHeartCommunications

               

5.250%, 08/15/27(A)

    600       491  

Lamar Media

               

4.875%, 01/15/29

    1,525       1,435  

Nexstar Broadcasting

               

5.625%, 07/15/27(A)

    2,650       2,459  

Nexstar Broadcasting

               

4.750%, 11/01/28(A)

    275       245  

Outfront Media Capital

               

4.250%, 01/15/29(A)

    975       809  

Outfront Media Capital

               

4.625%, 03/15/30(A)

    925       771  

ROBLOX

               

3.875%, 05/01/30(A)

    1,325       1,136  

Scripps Escrow

               

5.875%, 07/15/27(A)

    900       663  

Scripps Escrow II

               

5.375%, 01/15/31(A)

    825       567  

Sinclair Television Group

               

5.125%, 02/15/27(A)

    1,375       1,203  

Sinclair Television Group

               

5.500%, 03/01/30(A)

    1,200       960  

Sinclair Television Group

               

4.125%, 12/01/30(A)

    175       141  

Stagwell Global

               

5.625%, 08/15/29(A)

    4,000       3,508  

TEGNA

               

4.625%, 03/15/28

    425       373  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 55

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

TEGNA

               

5.000%, 09/15/29

  $ 2,775     $ 2,418  

Univision Communications

               

4.500%, 05/01/29(A)

    775       651  

Univision Communications

               

7.375%, 06/30/30(A)

    1,025       969  

Urban One

               

7.375%, 02/01/28(A)

    1,500       1,363  
                         

Total Media Entertainment

    31,234  
                         

Medical Labs and Testing Srv [0.0%]

US Acute Care Solutions

               

6.375%, 03/01/26(A)

    1,155       1,028  
                         

Medical Products & Services [0.1%]

Bio City Development

               

8.000%, 07/06/19

    1,000       50  

Tenet Healthcare

               

4.375%, 01/15/30

    1,495       1,342  
                         

Total Medical Products & Services

    1,392  
                         

Medical-HMO [0.0%]

Molina Healthcare

               

4.375%, 06/15/28(A)

    1,245       1,158  
                         

Metal-Copper [0.1%]

Freeport Indonesia, MTN

               

5.315%, 04/14/32

    2,425       2,258  
                         

Metal-Iron [0.1%]

TMS International

               

6.250%, 04/15/29(A)

    1,950       1,503  
                         

Metals & Mining [0.3%]

Cleveland-Cliffs

               

4.625%, 03/01/29(A)

    975       895  

Coeur Mining

               

5.125%, 02/15/29(A)

    1,550       1,314  

Vedanta Resources

               

6.125%, 08/09/24

    3,095       1,834  

Vedanta Resources Finance II

               

8.000%, 04/23/23

    3,635       3,462  
                         

Total Metals & Mining

    7,505  
                         

Midstream [1.3%]

AmeriGas Partners

               

5.500%, 05/20/25

    775       743  

AmeriGas Partners

               

5.875%, 08/20/26

  $ 1,300     $ 1,244  

AmeriGas Partners

               

5.750%, 05/20/27

    425       400  

Antero Midstream Partners

               

7.875%, 05/15/26(A)

    250       255  

Antero Midstream Partners

               

5.750%, 03/01/27(A)

    2,850       2,784  

5.750%, 01/15/28(A)

    1,800       1,728  

Cheniere Energy

               

4.625%, 10/15/28

    800       759  

Cheniere Energy Partners

               

4.500%, 10/01/29

    1,175       1,098  

CNX Midstream Partners

               

4.750%, 04/15/30(A)

    1,200       1,032  

Crestwood Midstream Partners

               

8.000%, 04/01/29(A)

    1,375       1,403  

Crestwood Midstream Partners

               

7.375%, 02/01/31(A)

    700       700  

DT Midstream

               

4.375%, 06/15/31(A)

    1,500       1,307  

EQM Midstream Partners

               

7.500%, 06/01/27(A)

    775       778  

EQM Midstream Partners

               

4.500%, 01/15/29(A)

    300       255  

EQT Midstream Partners

               

6.000%, 07/01/25(A)

    248       245  

EQT Midstream Partners

               

6.500%, 07/01/27(A)

    2,820       2,733  

6.500%, 07/15/48

    925       713  

EQT Midstream Partners

               

5.500%, 07/15/28

    2,425       2,203  

Hess Midstream Operations

               

5.125%, 06/15/28(A)

    825       783  

Hess Midstream Operations

               

4.250%, 02/15/30(A)

    525       469  

Holly Energy Partners

               

5.000%, 02/01/28(A)

    800       746  

Solaris Midstream Holdings

               

7.625%, 04/01/26(A)

    725       697  

Suburban Propane Partners

               

5.875%, 03/01/27

    1,000       970  

Suburban Propane Partners

               

5.000%, 06/01/31(A)

    1,175       1,027  

Summit Midstream Holdings

               

5.750%, 04/15/25

    1,000       832  

Targa Resources Partners

               

6.500%, 07/15/27

    1,050       1,076  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 56

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Targa Resources Partners

               

5.000%, 01/15/28

  $ 1,000     $ 967  

Western Midstream Operating

               

4.650%, 07/01/26

    150       145  

Western Midstream Operating

               

4.500%, 03/01/28

    1,050       991  

Western Midstream Operating

               

4.750%, 08/15/28

    200       190  

Western Midstream Operating

               

5.300%, 03/01/48

    1,400       1,186  
                         

Total Midstream

    30,459  
                         

Miscellaneous Manufacturing [0.1%]

Anolis Capital Markets PCC

               

4.150%, 01/01/28

  EUR 919       867  

Bombardier

               

7.500%, 03/15/25(A)

    317       317  
                         

Total Miscellaneous Manufacturing

    1,184  
                         

Non-Ferrous Metals [0.1%]

Minsur

               

4.500%, 10/28/31

    3,200       2,728  
                         

Oil Field Services [0.6%]

Archrock Partners

               

6.875%, 04/01/27(A)

    2,350       2,306  

Archrock Partners

               

6.250%, 04/01/28(A)

    1,000       964  

Nabors Industries

               

7.250%, 01/15/26(A)

    1,275       1,205  

Nabors Industries

               

7.375%, 05/15/27(A)

    1,555       1,520  

Precision Drilling

               

7.125%, 01/15/26(A)

    750       733  

Precision Drilling

               

6.875%, 01/15/29(A)

    1,455       1,320  

Transocean Titan Financing

               

8.375%, 02/01/28(A)

    687       707  

USA Compression Partners

               

6.875%, 04/01/26

    2,025       1,968  

6.875%, 09/01/27

    725       692  

Weatherford International

               

8.625%, 04/30/30(A)

    1,895       1,939  
                         

Total Oil Field Services

    13,354  
                         

Oil-Field Services [0.0%]

ORO SG Pte

               

12.000%, 12/20/25

  $ 7,637     $ 18  
                         

Packaging [1.0%]

ARD Finance

               

6.500%cash/0% PIK, 06/30/27(A)

    2,332       1,784  

Ardagh Metal Packaging Finance USA

               

4.000%, 09/01/29(A)

    600       469  

Ardagh Packaging Finance

               

5.250%, 08/15/27(A)

    4,450       3,509  

Ball

               

6.875%, 03/15/28

    475       488  

Ball

               

2.875%, 08/15/30

    500       417  

Berry Global Escrow

               

4.875%, 07/15/26(A)

    525       512  

Clydesdale Acquisition Holdings

               

8.750%, 04/15/30(A)

    4,900       4,453  

Mauser Packaging Solutions Holding

               

7.875%, 08/15/26(A)

    1,175       1,175  

Mauser Packaging Solutions Holding

               

9.250%, 04/15/27(A)

    750       693  

OI European Group BV

               

4.750%, 02/15/30(A)

    925       840  

Owens-Brockway Glass Container

               

5.375%, 01/15/25(A)

    975       958  

Owens-Brockway Glass Container

               

6.375%, 08/15/25(A)

    1,875       1,872  

Sealed Air

               

6.125%, 02/01/28(A)

    325       327  

Trident TPI Holdings

               

9.250%, 08/01/24(A)

    1,200       1,188  

Trident TPI Holdings

               

6.625%, 11/01/25(A)

    1,525       1,407  

Trivium Packaging Finance BV

               

8.500%, 08/15/27(A)

    3,350       3,048  
                         

Total Packaging

    23,140  
                         

Packaging / Paper / Forest Products [0.0%]

Kleopatra Finco Sarl

               

4.250%, 03/01/26

  EUR 1,000       902  
                         

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 57

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Paper [0.1%]

Clearwater Paper

               

4.750%, 08/15/28(A)

  $ 500     $ 449  

Graphic Packaging International

               

4.750%, 07/15/27(A)

    300       285  

Graphic Packaging International

               

3.500%, 03/15/28(A)

    300       275  

3.500%, 03/01/29(A)

    525       454  

Graphic Packaging International

               

3.750%, 02/01/30(A)

    175       152  
                         

Total Paper

    1,615  
                         

Paper & Related Products [0.2%]

Domtar

               

6.750%, 10/01/28(A)

    764       680  

Mativ Holdings

               

6.875%, 10/01/26(A)

    2,615       2,393  

Suzano Austria GmbH

               

5.000%, 01/15/30

    2,450       2,337  
                         

Total Paper & Related Products

    5,410  
                         

Petroleum & Fuel Products [5.6%]

California Resources

               

7.125%, 02/01/26(A)

    1,900       1,923  

Canacol Energy

               

5.750%, 11/24/28

    980       791  

5.750%, 11/24/28(A)

    8,828       7,129  

Civitas Resources

               

5.000%, 10/15/26(A)

    1,416       1,331  

Cosan Overseas

               

8.250%, 02/05/72

    3,275       3,259  

Crestwood Midstream Partners

               

6.000%, 02/01/29(A)

    280       267  

Ecopetrol

               

6.875%, 04/29/30

    6,297       5,793  

Ecopetrol

               

8.875%, 01/13/33

    630       637  

Ecopetrol

               

5.875%, 05/28/45

    4,500       3,101  

Energy Transfer

               

6.625%, ICE LIBOR USD 3 Month + 4.155%, 02/15/72(C)

    805       600  

Ensign Drilling

               

9.250%, 04/15/24(A)

    1,700       1,634  

Geopark

               

5.500%, 01/17/27

  $ 10,155     $ 8,402  

Hilcorp Energy I

               

6.250%, 11/01/28(A)

    2,616       2,483  

KazMunayGas National JSC, MTN

               

5.375%, 04/24/30

    2,550       2,274  

Kinetik Holdings

               

5.875%, 06/15/30(A)

    1,300       1,251  

Kosmos Energy

               

7.125%, 04/04/26

    8,600       7,375  

Kosmos Energy

               

7.500%, 03/01/28

    500       407  

Latina Offshore

               

8.875%, 01/31/23(A)

    25,765       15,459  

Leviathan Bond

               

6.500%, 06/30/27(A)

    8,466       8,106  

Magnolia Oil & Gas Operating

               

6.000%, 08/01/26(A)

    3,585       3,486  

Medco Bell Pte

               

6.375%, 01/30/27

    1,610       1,450  

Medco Platinum Road Pte

               

6.750%, 01/30/25

    721       696  

Nabors Industries

               

5.750%, 02/01/25

    375       363  

New Fortress Energy

               

6.750%, 09/15/25(A)

    3,285       3,175  

Nostrum Oil & Gas Finance BV

               

7.000%, 02/16/25(B)

    23,009       5,766  

Offshore Drilling Holding

               

8.375%, 10/19/20

    38,575       1,034  

Oro Negro Drilling Pte

               

0.000%, (D)(E)

    3,683        

Oro Negro Drilling Pte

               

7.500%, 01/24/24(A)(B)

    23,137       93  

Patterson-UTI Energy

               

5.150%, 11/15/29

    2,080       1,887  

Petrobras Global Finance BV

               

5.500%, 06/10/51

    2,600       2,018  

Petroleos de Venezuela

               

8.500%, 10/27/20(B)

    10,470       2,722  

Petroleos de Venezuela

               

9.750%, 05/17/35(B)

    8,689       391  

Petroleos del Peru

               

4.750%, 06/19/32

    2,900       2,156  

Petroleos Mexicanos

               

10.000%, 02/07/33(A)

    3,135       3,000  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 58

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

ROCC Holdings

               

9.250%, 08/15/26(A)

  $ 940     $ 991  

Rockies Express Pipeline

               

4.950%, 07/15/29(A)

    1,450       1,292  

Rockies Express Pipeline

               

7.500%, 07/15/38(A)

    1,113       1,012  

ShaMaran Petroleum

               

12.000%, 07/30/25(A)

    13,648       12,864  

Summit Midstream Holdings

               

8.500%, 10/15/26(A)

    800       768  

Tallgrass Energy Partners

               

7.500%, 10/01/25(A)

    1,500       1,499  

Talos Production

               

12.000%, 01/15/26

    1,764       1,885  

Tengizchevroil Finance International

               

3.250%, 08/15/30

    6,200       4,650  

Transocean

               

8.750%, 02/15/30(A)

    625       637  

Tullow Oil

               

7.000%, 03/01/25

    6,000       3,556  

Vital Energy

               

7.750%, 07/31/29(A)

    705       588  
                         

Total Petroleum & Fuel Products

    130,201  
                         

Pharmaceuticals [0.5%]

Bausch Health

               

5.000%, 01/30/28(A)

    625       238  

5.000%, 02/15/29(A)

    600       235  

Bausch Health

               

6.250%, 02/15/29(A)

    3,150       1,257  

Bausch Health

               

7.250%, 05/30/29(A)

    1,950       735  

Bausch Health Americas

               

8.500%, 01/31/27(A)

    1,775       811  

Catalent Pharma Solutions

               

3.500%, 04/01/30(A)

    475       418  

Cidron Aida Finco Sarl

               

6.250%, 04/01/28

  GBP 1,300       1,361  

Emergent BioSolutions

               

3.875%, 08/15/28(A)

    1,270       620  

Grifols Escrow Issuer

               

4.750%, 10/15/28(A)

    1,650       1,351  

Jazz Securities DAC

               

4.375%, 01/15/29(A)

    500       459  

Mallinckrodt International Finance

               

10.000%, 06/15/29(A)

    251       137  

Organon

               

5.125%, 04/30/31(A)

  $ 1,750     $ 1,553  

Syneos Health

               

3.625%, 01/15/29(A)

    1,595       1,313  
                         

Total Pharmaceuticals

    10,488  
                         

Printing & Publishing [0.0%]

Cimpress

               

7.000%, 06/15/26

    1,322       1,080  
                         

Real Estate [0.2%]

PCPD Capital

               

5.125%, 06/18/26

    5,000       4,125  
                         

Real Estate Investment Trusts [0.3%]

Brookfield Property REIT

               

5.750%, 05/15/26(A)

    2,430       2,173  

Brookfield Property REIT

               

4.500%, 04/01/27(A)

    2,765       2,221  

MPT Operating Partnership

               

5.250%, 08/01/26

    1,400       1,260  

Necessity Retail REIT

               

4.500%, 09/30/28(A)

    1,020       763  
                         

Total Real Estate Investment Trusts

    6,417  
                         

Real Estate Oper/Develop [1.0%]

Country Garden Holdings

               

5.125%, 01/17/25

    2,600       1,675  

Dar Al-Arkan Sukuk

               

6.875%, 02/26/27

    4,675       4,591  

Howard Hughes

               

5.375%, 08/01/28(A)

    1,350       1,230  

Howard Hughes

               

4.375%, 02/01/31(A)

    600       483  

Kaisa Group Holdings

               

11.700%, 11/11/25(B)

    2,021       243  

MAF Global Securities

               

6.375%, US Treas Yield Curve Rate T Note Const Mat 5 Yr + 3.539%, 09/20/71(C)

    7,100       6,890  

Pakuwon Jati

               

4.875%, 04/29/28

    7,800       6,868  

Theta Capital Pte

               

6.750%, 10/31/26

    2,000       1,401  
                         

Total Real Estate Oper/Develop

    23,381  
                         

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 59

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Regional Banks-Non US [0.2%]

Emirates NBD Bank PJSC

               

6.125%, CMTUSD6Y + 3.656%, 09/20/71(C)

  $ 4,500     $ 4,374  
                         

Restaurants [0.3%]

1011778 BC ULC

               

3.500%, 02/15/29(A)

    625       559  

1011778 BC ULC

               

4.000%, 10/15/30(A)

    4,850       4,159  

KFC Holding

               

4.750%, 06/01/27(A)

    975       947  

Yum! Brands

               

4.750%, 01/15/30(A)

    925       884  

Yum! Brands

               

3.625%, 03/15/31

    825       724  
                         

Total Restaurants

    7,273  
                         

Retail [1.1%]

Arcos Dorados BV

               

6.125%, 05/27/29

    2,400       2,294  

Bath & Body Works

               

6.950%, 03/01/33

    843       755  

Bath & Body Works

               

6.750%, 07/01/36

    810       717  

Bloomin’ Brands

               

5.125%, 04/15/29(A)

    1,110       989  

BlueLinx Holdings

               

6.000%, 11/15/29(A)

    900       747  

Fertitta Entertainment

               

6.750%, 01/15/30(A)

    1,835       1,510  

FirstCash

               

4.625%, 09/01/28(A)

    815       724  

FirstCash

               

5.625%, 01/01/30(A)

    1,659       1,530  

Foot Locker

               

4.000%, 10/01/29(A)

    2,140       1,785  

Future Retail

               

5.600%, 01/22/25

    16,200       305  

InRetail Consumer

               

3.250%, 03/22/28

    2,600       2,249  

Macy’s Retail Holdings

               

6.125%, 03/15/32(A)

    856       754  

Macy’s Retail Holdings

               

5.125%, 01/15/42

    700       465  

Michaels

               

5.250%, 05/01/28(A)

    2,085       1,738  

QVC

               

4.450%, 02/15/25

    292       172  

QVC

               

5.450%, 08/15/34

  $ 3,460     $ 1,293  

Vivo Energy Investments BV

               

5.125%, 09/24/27

    7,850       7,159  
                         

Total Retail

    25,186  
                         

Retail (non-food/drug) [0.1%]

eG Global Finance

               

6.250%, 10/30/25

  EUR 1,500       1,501  
                         

Retailers [0.1%]

Academy

               

6.000%, 11/15/27(A)

    1,050       1,024  

Asbury Automotive Group

               

4.625%, 11/15/29(A)

    1,100       984  

Asbury Automotive Group

               

5.000%, 02/15/32(A)

    350       307  

Gap

               

3.625%, 10/01/29(A)

    300       214  

Gap

               

3.875%, 10/01/31(A)

    450       313  
                         

Total Retailers

    2,842  
                         

Semi-Conductors [0.1%]

Tunghsu Venus Holdings

               

7.000%, 06/12/20(B)

    4,275       1,182  
                         

Services [0.2%]

Bach Bidco

               

6.538%, Euribor 3 Month + 4.250%, 10/15/28(C)

  EUR 1,300       1,385  

Castor

               

8.207%, Euribor 3 Month + 5.250%, 02/15/29(C)

  EUR 2,275       2,352  

Promontoria Holding 264 BV

               

8.841%, Euribor 3 Month + 6.125%, 03/01/27(C)

  EUR 420       453  

Summer BC Holdco B SARL

               

5.750%, 10/31/26

  EUR 500       472  
                         

Total Services

    4,662  
                         

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 60

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Steel & Steel Works [0.3%]

CAP

               

3.900%, 04/27/31

  $ 5,875     $ 4,526  

CSN Islands XI

               

6.750%, 01/28/28

    800       750  

CSN Resources

               

5.875%, 04/08/32(A)

    1,075       877  
                         

Total Steel & Steel Works

    6,153  
                         

Supermarkets [0.2%]

Albertsons

               

3.250%, 03/15/26(A)

    625       588  

Albertsons

               

7.500%, 03/15/26(A)

    1,075       1,113  

Albertsons

               

5.875%, 02/15/28(A)

    450       447  

Albertsons

               

6.500%, 02/15/28(A)

    450       451  

Albertsons

               

3.500%, 03/15/29(A)

    1,025       892  
                         

Total Supermarkets

    3,491  
                         

Technology [2.2%]

Ams

               

7.000%, 07/31/25(A)

    475       446  

AthenaHealth Group

               

6.500%, 02/15/30(A)

    4,625       3,743  

Black Knight InfoServ

               

3.625%, 09/01/28(A)

    1,475       1,336  

Boxer Parent

               

9.125%, 03/01/26(A)

    1,300       1,261  

Cars.com

               

6.375%, 11/01/28(A)

    1,500       1,417  

Central Parent

               

7.250%, 06/15/29(A)

    1,800       1,769  

Clarivate Science Holdings

               

3.875%, 07/01/28(A)

    350       312  

Clarivate Science Holdings

               

4.875%, 07/01/29(A)

    1,575       1,425  

Cloud Software Group Holdings

               

6.500%, 03/31/29(A)

    1,775       1,566  

Coherent

               

5.000%, 12/15/29(A)

    1,950       1,770  

Consensus Cloud Solutions

               

6.000%, 10/15/26(A)

    825       717  

Consensus Cloud Solutions

               

6.500%, 10/15/28(A)

    1,400       1,161  

Dun & Bradstreet

               

5.000%, 12/15/29(A)

  $ 1,075     $ 931  

Elastic

               

4.125%, 07/15/29(A)

    1,825       1,558  

Entegris Escrow

               

5.950%, 06/15/30(A)

    950       921  

Gartner

               

4.500%, 07/01/28(A)

    625       593  

GoTo Group

               

5.500%, 09/01/27(A)

    2,650       1,360  

HealthEquity

               

4.500%, 10/01/29(A)

    1,525       1,355  

Helios Software Holdings

               

4.625%, 05/01/28(A)

    1,750       1,422  

McAfee

               

7.375%, 02/15/30(A)

    4,400       3,690  

Millennium Escrow

               

6.625%, 08/01/26(A)

    1,200       780  

NCR

               

5.000%, 10/01/28(A)

    575       505  

NCR

               

5.125%, 04/15/29(A)

    2,540       2,198  

NCR

               

5.250%, 10/01/30(A)

    1,800       1,470  

Open Text

               

3.875%, 02/15/28(A)

    1,500       1,339  

Open Text Holdings

               

4.125%, 12/01/31(A)

    350       289  

Rackspace Technology Global

               

3.500%, 02/15/28(A)

    1,800       936  

Rackspace Technology Global

               

5.375%, 12/01/28(A)

    2,250       850  

Rocket Software

               

6.500%, 02/15/29(A)

    2,850       2,248  

Science Applications International

               

4.875%, 04/01/28(A)

    400       373  

Seagate HDD Cayman

               

9.625%, 12/01/32(A)

    1,651       1,849  

Seagate HDD Cayman

               

5.750%, 12/01/34

    1,505       1,374  

Sensata Technologies

               

3.750%, 02/15/31(A)

    425       372  

Sensata Technologies BV

               

4.000%, 04/15/29(A)

    600       542  

Sensata Technologies BV

               

5.875%, 09/01/30(A)

    475       471  

SS&C Technologies

               

5.500%, 09/30/27(A)

    1,325       1,282  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 61

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Synaptics

               

4.000%, 06/15/29(A)

  $ 800     $ 689  

TTM Technologies

               

4.000%, 03/01/29(A)

    775       668  

Veritas US

               

7.500%, 09/01/25(A)

    1,000       753  

Viavi Solutions

               

3.750%, 10/01/29(A)

    325       278  

ZipRecruiter

               

5.000%, 01/15/30(A)

    1,840       1,573  
                         

Total Technology

    49,592  
                         

Technology, Electronics, Software & IT [0.1%]

Cedacri Mergeco SPA

               

7.279%, Euribor 3 Month + 4.625%, 05/15/28(C)

  EUR 1,400       1,488  
                         

Telecommunications [0.2%]

Altice Financing

               

4.250%, 08/15/29

  EUR 900       783  

Altice France

               

3.375%, 01/15/28

  EUR 650       550  

Altice France

               

4.000%, 07/15/29

  EUR 700       568  

Altice France Holding

               

4.000%, 02/15/28

  EUR 975       693  

Eolo

               

4.875%, 10/21/28

  EUR 400       340  

United Group BV

               

5.904%, Euribor 3 Month + 3.250%, 02/15/26(C)

  EUR 450       424  

United Group BV

               

7.357%, Euribor 3 Month + 4.875%, 02/01/29(A)(C)

  EUR 1,100       994  
                         

Total Telecommunications

    4,352  
                         

Telephones & Telecommunications [2.7%]

Altice France

               

8.125%, 02/01/27(A)

    1,325       1,227  

Altice France Holding

               

10.500%, 05/15/27(A)

    720       551  

Altice France Holding

               

6.000%, 02/15/28(A)

    325       207  

Axian Telecom

               

7.375%, 02/16/27(A)

    7,920       7,168  

Axtel

               

6.375%, 11/14/24(A)

    5,200       4,636  

C&W Senior Financing DAC

               

6.875%, 09/15/27

  $ 7,150     $ 6,390  

CT Trust

               

5.125%, 02/03/32

    800       669  

5.125%, 02/03/32(A)

    7,280       6,091  

Digicel

               

6.750%, 03/01/23(A)

    4,800       984  

Iliad Holding SASU

               

6.500%, 10/15/26(A)

    1,100       1,048  

Iliad Holding SASU

               

7.000%, 10/15/28(A)

    760       721  

Internap Holdings LLC

               

0.000%,

    61       9  

Liberty Costa Rica Senior Secured Finance

               

10.875%, 01/15/31(A)

    2,400       2,255  

Oztel Holdings SPC

               

6.625%, 04/24/28

    6,550       6,783  

Sixsigma Networks Mexico

               

7.500%, 05/02/25

    3,720       3,262  

Telefonica Celular del Paraguay

               

5.875%, 04/15/27(A)

    2,700       2,480  

Turk Telekomunikasyon

               

6.875%, 02/28/25

    8,270       7,916  

Turkcell Iletisim Hizmetleri

               

5.750%, 10/15/25

    2,500       2,375  

Viasat

               

5.625%, 04/15/27(A)

    1,600       1,503  

VTR Comunicaciones

               

5.125%, 01/15/28

    3,770       2,328  

VTR Comunicaciones

               

4.375%, 04/15/29

    5,000       3,036  
                         

Total Telephones & Telecommunications

    61,639  
                         

Textile-Products [0.1%]

Golden Legacy Pte. Ltd.

               

6.875%, 03/27/24

    15,640       313  

Prime Bloom Holdings

               

6.950%, 07/05/22

    16,500       990  

Sri Rejeki Isman

               

7.250%, 01/16/25

    16,589       497  
                         

Total Textile-Products

    1,800  
                         

Transportation Services [1.3%]

Adani International Container Terminal Pvt

               

3.000%, 02/16/31

    2,719       2,047  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 62

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Carnival

               

10.500%, 02/01/26(A)

  $ 270     $ 281  

Carnival

               

4.000%, 08/01/28(A)

    3,770       3,244  

Georgian Railway JSC

               

4.000%, 06/17/28

    5,600       4,771  

JSW Infrastructure

               

4.950%, 01/21/29(A)

    4,500       3,792  

NCL

               

5.875%, 02/15/27(A)

    1,580       1,485  

Royal Caribbean Cruises

               

5.500%, 08/31/26(A)

    1,830       1,712  

Royal Caribbean Cruises

               

5.375%, 07/15/27(A)

    1,179       1,056  

Royal Caribbean Cruises

               

3.700%, 03/15/28

    740       606  

Rumo Luxembourg Sarl

               

4.200%, 01/18/32

    5,800       4,640  

Stena International

               

6.125%, 02/01/25(A)

    1,200       1,153  

Transnet SOC

               

8.250%, 02/06/28(A)

    3,680       3,661  

Watco

               

6.500%, 06/15/27(A)

    1,325       1,242  
                         

Total Transportation Services

    29,690  
                         

Utility - Electric [0.6%]

Calpine

               

5.250%, 06/01/26(A)

    289       282  

Calpine

               

4.500%, 02/15/28(A)

    925       859  

Calpine

               

5.125%, 03/15/28(A)

    1,375       1,259  

Calpine

               

5.000%, 02/01/31(A)

    475       402  

Enviva Partners

               

6.500%, 01/15/26(A)

    2,725       2,480  

NRG Energy

               

5.750%, 01/15/28

    1,950       1,912  

NRG Energy

               

3.375%, 02/15/29(A)

    550       456  

NRG Energy

               

5.250%, 06/15/29(A)

    770       715  

NRG Energy

               

3.625%, 02/15/31(A)

    200       160  

NRG Energy

               

3.875%, 02/15/32(A)

    900       720  

TerraForm Power Operating

               

5.000%, 01/31/28(A)

    1,125       1,069  

TransAlta

               

7.750%, 11/15/29

  $ 100     $ 105  

Vistra Operations

               

5.500%, 09/01/26(A)

    1,000       971  

Vistra Operations

               

5.625%, 02/15/27(A)

    3,225       3,130  
                         

Total Utility - Electric

    14,520  
                         

Water [0.1%]

Aegea Finance Sarl

               

6.750%, 05/20/29(A)

    3,650       3,363  
                         

Wireless Communications [0.1%]

Sprint

               

7.625%, 02/15/25

    1,000       1,037  

7.625%, 03/01/26

    800       847  
                         

Total Wireless Communications

    1,884  
                         

Total Corporate Bonds

       

Cost ($1,489,710)

    1,194,859  
                         

Loan Participations [16.2%]

Aerospace and Defense [0.2%]

MB Aerospace Holdings II Corp., Initial Term Loan, 1st Lien

               

8.230%, LIBOR + 3.500%, 01/22/25(C)

    664       585  

Peraton Corp., Term B Loan, 1st Lien

               

8.385%, LIBOR + 3.750%, 02/01/28(C)

    1,490       1,468  

Peraton Corp., Term B-1 Loan, 2nd Lien

               

12.651%, LIBOR + 7.750%, 02/01/29(C)

    510       495  

Rand Parent/Atlas Air, Term Loan B, 1st Lien

               

9.127%, 02/08/28

    855       802  

Transdigm Inc, Term Loan, 1st Lien

               

7.825%, 08/24/28

    630       628  
                         

Total Aerospace and Defense

    3,978  
                         

Automobile [0.1%]

CWGS Group, LLC, Initial Term Loan, 1st Lien

               

7.088%, LIBOR + 2.500%, 06/03/28(C)

    1,000       919  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 63

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

RVR Dealership Holdings, LLC, Term Loan, 1st Lien

               

8.553%, CME Term SOFR + 3.750%, 02/08/28(C)

  $ 1,094     $ 928  
                         

Total Automobile

            1,847  
                         

Automotive [0.0%]

Autokiniton US Holdings (L&W), Term Loan, 1st Lien

               

9.280%, 04/06/28(C)

    1,000       970  
                         

Banking [0.0%]

Nexus Buyer LLC, Term Loan, 1st Lien

               

8.385%, LIBOR + 3.750%, 11/09/26(C)

    500       451  
                         

Beverage, Food and Tobacco [0.1%]

Biscuit Holding SAS, Facility B, 1st Lien

               

5.858%, Euribor + 4.000%, 02/15/27(C)

    1,000       793  

Naked Juice LLC, Initial Loan, 2nd Lien

               

10.680%, CME Term SOFR + 6.000%, 01/24/30(C)

    670       500  

Naked Juice LLC, Initial Term Loan, 1st Lien

               

7.930%, CME Term SOFR + 3.250%, 01/24/29(C)

    560       491  

Whole Earth Brands, Inc., Term Loan, 1st Lien

               

9.230%, CME Term SOFR + 4.500%, 02/02/28(C)

    1,503       1,263  
                         

Total Beverage, Food and Tobacco

    3,047  
                         

Broadcasting and Entertainment [0.7%]

Allen Media, LLC, Initial Term Loan (2021), 1st Lien

               

10.230%, CME Term SOFR + 5.500%, 02/10/27(C)

    647       559  

Altice Financing S.A., 2022 Refinancing Dollar Commitments, 1st Lien

               

9.566%, CME Term SOFR + 5.000%, 10/31/27(C)

  $ 2,000     $ 1,975  

Altice France S.A., EUR TLB-[14] Loan, 1st Lien

               

8.024%, Euribor + 5.500%, 08/15/28(C)

    1,497       1,526  

Altice France S.A., USD TLB-[14] Loan, 1st Lien

               

10.170%, CME Term SOFR + 5.500%, 08/15/28(C)

    1,927       1,831  

Charter Communications Operating, LLC, Term B-2 Loan, 1st Lien

               

6.368%, CME Term SOFR + 1.750%, 02/01/27(C)

    923       913  

CMG Media Corporation, 2021 Term B Loan, 1st Lien

               

8.230%, LIBOR + 3.500%, 12/17/26(C)

    790       696  

CSC Holdings, LLC, March 2017 Refinancing Term Loan, 1st Lien

               

6.838%, LIBOR + 2.250%, 07/17/25(C)

    2,078       1,977  

DIRECTV Financing, LLC, Closing Date Term Loan, 1st Lien

               

9.635%, LIBOR + 5.000%, 08/02/27(C)

    1,000       960  

E.W. Scripps Company, The, Tranche B-2 Term Loan, 1st Lien

               

7.484%, LIBOR + 2.563%, 05/01/26(C)

    1,000       974  

Univision Communications Inc., 2021 Replacement Converted First-Lien Term Loan, 1st Lien

               

7.885%, LIBOR + 3.250%, 03/15/26(C)

    1,812       1,800  

Virgin Media Bristol LLC, Facility Q, 1st Lien

               

7.838%, LIBOR + 3.250%, 01/31/29(C)

    1,825       1,803  

Virgin Media Ireland Limited, Facility B1, 1st Lien

               

5.865%, Euribor + 3.463%, 07/15/29(C)

    1,000       1,041  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 64

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Ziggo Financing Partnership, Term Loan I Facility, 1st Lien

               

7.184%, LIBOR + 2.500%, 04/30/28(C)

  $ 1,000     $ 986  
                         

Total Broadcasting and Entertainment

    17,041  
                         

Buildings and Real Estate [0.4%]

Apollo Commercial Real Estate Finance, Inc., Initial Term Loan, 1st Lien

               

7.385%, LIBOR + 2.750%, 05/15/26(C)

    665       575  

Crown Subsea Communications Holding, Inc. , Initial Term Loan, 1st Lien

               

9.316%, LIBOR + 4.750%, 04/27/27(C)

    721       709  

Emeria, Additional Facility B2, 1st Lien

               

7.391%, Euribor + 5.250%, 03/27/28(C)

    1,000       1,046  

Forest City Enterprises, L.P., Replacement Term Loan, 1st Lien

               

8.135%, LIBOR + 3.500%, 12/08/25(C)

    700       595  

Griffon Corporation, Term B Loan, 1st Lien

               

7.548%, CME Term SOFR + 2.500%, 01/19/29(C)

    1,088       1,080  

Mannington Mills, Inc., Tranche B-1 Loan, 1st Lien

               

8.480%, LIBOR + 3.750%, 08/06/26(C)

    1,000       813  

Oscar AcquisitionCo, LLC, Term B Loan, 1st Lien

               

9.180%, CME Term SOFR + 4.500%, 04/29/29(C)

    1,302       1,252  

Smyrna Ready Mix Concrete, LLC, Initial Term Loan, 1st Lien

               

8.968%, CME Term SOFR + 4.250%, 04/02/29(C)

    802       796  

Standard Industries Inc., Initial Term Loan, 1st Lien

               

7.116%, LIBOR + 2.250%, 08/06/28(C)

  $ 1,954     $ 1,941  
                         

Total Buildings and Real Estate

    8,807  
                         

Cable [0.1%]

VMED 02 UK 4 Holdco Limited, Term Loan, 1st Lien

               

5.896%, 01/31/29

    2,000       2,119  
                         

Cargo Transport [0.2%]

Daseke Companies, Inc., Initial Term Loan (2021), 1st Lien

               

8.640%, LIBOR + 4.000%, 03/09/28(C)

    1,000       991  

Dynasty Acquisition Co., Inc., 2020 Term B-1 Loan, 1st Lien

               

8.218%, CME Term SOFR + 3.500%, 04/06/26(C)

    903       881  

Dynasty Acquisition Co., Inc., 2020 Term B-2 Loan, 1st Lien

               

8.218%, CME Term SOFR + 3.500%, 04/06/26(C)

    486       473  

ENC Parent Corporation, Delayed Draw Term Loan, 1st Lien

               

4.250%, UNFND + 4.250%, 08/19/28(C)

    63       59  

ENC Parent Corporation, Initial Term Loan, 1st Lien

               

8.980%, LIBOR + 4.250%, 08/19/28(C)

    703       654  

LaserShip, Inc., Initial Loan, 2nd Lien

               

12.230%, LIBOR + 7.500%, 05/07/29(C)

    645       410  

LaserShip, Inc., Initial Term Loan, 1st Lien

               

9.230%, LIBOR + 4.500%, 05/07/28(C)

    834       707  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 65

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Silk Bidco AS, Facility B, 1st Lien

               

7.197%, Euribor + 4.000%, 02/24/25(C)

  EUR 1,500     $ 1,497  
                         

Total Cargo Transport

            5,672  
                         

Chemicals [0.2%]

Consolidated Energy Limited Term Loan B

               

7.135%, LIBOR + 2.500%, 05/07/25(C)

    1,811       1,790  

Ineos, Term Loan, 1st Lien

               

8.218%, 02/18/30

    1,465       1,455  

Ravago, Term Loan B, 1st Lien

               

7.230%, 02/18/28

    1,000       978  

Vantage Specialty, Term Loan B, 1st Lien

               

9.597%, 10/26/26

    960       920  
                         

Total Chemicals

            5,143  
                         

Chemicals, Plastics and Rubber [0.9%]

ARC Falcon I Inc., Initial Term Loan, 1st Lien

               

8.385%, LIBOR + 3.750%, 09/22/28(C)

    1,983       1,785  

Aruba Investments, Term Loan, 1st Lien

               

6.429%, 10/28/27

    983       1,027  

Ascend Performance Materials Operations LLC, 2021 Refinancing Term Loan, 1st Lien

               

8.831%, CME Term SOFR + 4.750%, 08/27/26(C)

    1,000       982  

Colouroz Investment 1 GMBH, Initial Term C Loan, 1st Lien

               

8.943%, PIK Interest + 0.750%, 09/21/23(C)

    274       185  

Colouroz Investment 2, LLC, Initial Term B-2 Loan, 1st Lien

               

4.250%, PIK Interest + 0.750%, 09/21/23(C)

    970       656  

H.B. Fuller, Term Loan B, 1st Lien

               

7.118%, 02/06/30

    470       472  

Herens Holdco S.a r.l., Facility B (EUR), 1st Lien

               

6.202%, Euribor + 4.000%, 07/03/28(C)

  $ 500     $ 497  

Herens Holdco S.a r.l., Facility B (USD), 1st Lien

               

8.730%, LIBOR + 4.000%, 07/03/28(C)

    961       889  

ILPEA Parent Inc., Term Loan, 1st Lien

               

9.140%, LIBOR + 4.500%, 06/22/28(C)

    617       602  

INEOS Enterprises Holdings Limited, Refinancing Tranche B Euro Term Loan, 1st Lien

               

5.948%, Euribor + 3.250%, 08/28/26(C)

    1,000       1,060  

Ineos Group Holdings Ltd, Term Loan, 1st Lien

               

4.880%, 10/23/27

    980       1,024  

INEOS Styrolution Group GmbH, 2026 Tranche B Euro Term Loan, 1st Lien

               

4.880%, Euribor + 2.750%, 01/21/26(C)

    1,500       1,562  

Nouryon Finance B.V., Initial Dollar Term Loan, 1st Lien

               

7.526%, CME Term SOFR + 2.750%, 10/01/25(C)

    1,589       1,575  

PMHC II, Inc., Initial Term Loan, 1st Lien

               

9.076%, CME Term SOFR + 4.250%, 04/23/29(C)

    1,272       1,117  

Rain Carbon GmbH, Term Loan, 1st Lien

               

5.628%, 01/16/25

    1,000       1,060  

Root Bidco Sarl, Term Loan, 1st Lien

               

8.172%, 09/29/27

    1,000       1,069  

Sirona Bidco, Term Loan, 1st Lien

               

7.003%, 10/20/28

    2,500       2,584  

Timber Servicios Empresariales, S.A., Facility B, 1st Lien

               

6.608%, Euribor + 4.750%, 03/30/29(C)

    1,000       950  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 66

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Trinseo Materials Operating S.C.A., 2021 Incremental Term Loan, 1st Lien

               

7.135%, LIBOR + 2.500%, 03/17/28(C)

  $ 754     $ 675  
                         

Total Chemicals, Plastics and Rubber

    19,771  
                         

Consumer Discretionary [0.1%]

Authentic Brands, Delayed Term Loan, 1st Lien

               

0.000%, 12/21/28(F)

    247       244  

Authentic Brands, Term Loan B2, 1st Lien

               

9.407%, 12/21/28

    753       743  

Camping World, Term Loan, 1st Lien

               

9.480%, 06/03/28

    709       700  

Patagonia, Cov-Lite Term Loan B, 1st Lien

               

10.473%, 08/01/29

    638       525  

Restoration Hardware, Term Loan B, 1st Lien

               

7.135%, 10/20/28

    923       862  
                         

Total Consumer Discretionary

    3,074  
                         

Consumer Durables [0.0%]

Justrite (Safety Products) Delay Draw

               

9.135%, 06/28/26

    46       42  

Justrite (Safety Products) Term Loan B

               

9.135%, 06/28/26

    860       776  
                         

Total Consumer Durables

            818  
                         

Consumer Products [0.2%]

Philips DA, Term Loan, 1st Lien

               

5.942%, 06/09/28

    1,500       1,348  

Stiga SPA, Term Loan B-1, 1st Lien

               

7.186%, 03/02/26

    2,584       2,662  

Zara UK Midco, Term Loan, 1st Lien

               

8.509%, 02/03/25

    1,000       946  
                         

Total Consumer Products

            4,956  
                         

Consumer Staples [0.0%]

Tate & Lyle/Primary Products, Term Loan, 1st Lien

               

8.743%, 10/25/28

  $ 662     $ 650  
                         

Containers, Packaging and Glass [0.1%]

Kleopatra Finco S.a r.l., Facility B (USD), 1st Lien

               

10.129%, CME Term SOFR + 4.750%, 02/12/26(C)

    916       840  

Pregis TopCo LLC, Initial Term Loan, 1st Lien

               

8.482%, CME Term SOFR + 3.750%, 07/31/26(C)

    1,000       973  
                         

Total Containers, Packaging and Glass

    1,813  
                         

Diversified Media [0.1%]

Banijay Entertainment S.A.S. , Facility B (USD), 1st Lien

               

8.119%, LIBOR + 3.750%, 03/01/25(C)

    1,500       1,484  
                         

Diversified Natural Resources, Precious Metals and Minerals [0.1%]

Domtar Corporation, Initial Term Loan, 1st Lien

               

10.209%, LIBOR + 5.500%, 11/30/28(C)

    1,000       976  

Mativ Holdings, Inc., Term B Loan, 1st Lien

               

8.438%, LIBOR + 3.750%, 04/20/28(C)

    1,000       962  
                         

Total Diversified Natural Resources, Precious Metals and Minerals

    1,938  
                         

Diversified/Conglomerate Service [0.7%]

Amentum Government Services Holdings LLC, Tranche 3 Term Loan, 1st Lien

               

7.558%, CME Term SOFR + 4.000%, 02/15/29(C)

    1,741       1,698  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 67

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Employbridge Holding Company, Term B Loan, 1st Lien

               

9.494%, LIBOR + 4.750%, 07/19/28(C)

  $ 1,185     $ 986  

Energize Holdco LLC, Initial Term Loan, 1st Lien

               

8.385%, LIBOR + 3.750%, 12/08/28(C)

    700       675  

Holding Socotec, Facility B USD Tranche, 1st Lien

               

8.730%, LIBOR + 4.000%, 06/30/28(C)

    688       658  

Medline Borrower, LP, Initial Dollar Term Loan, 1st Lien

               

7.885%, LIBOR + 3.250%, 10/23/28(C)

    2,000       1,948  

Mermaid Bidco Inc., Additional Term Facility (USD), 1st Lien

               

8.296%, LIBOR + 3.500%, 12/22/27(C)

    500       485  

MPH Acquisition Holdings LLC, Initial Term Loan, 1st Lien

               

9.203%, LIBOR + 4.250%, 09/01/28(C)

    1,269       1,084  

Physician Partners, LLC, Initial Term Loan, 1st Lien

               

8.718%, CME Term SOFR + 4.000%, 12/23/28(C)

    921       864  

Signal Parent, Inc., Initial Term Loan, 1st Lien

               

8.135%, LIBOR + 3.500%, 04/03/28(C)

    946       623  

Trans Union LLC, 2021 Incremental Term B-6 Loan, 1st Lien

               

6.885%, LIBOR + 2.250%, 12/01/28(C)

    1,416       1,403  

United Talent Agency, LLC, Term B Loan, 1st Lien

               

8.907%, CME Term SOFR + 4.000%, 07/07/28(C)(E)

    663       657  

Venga Finance S.a r.l., Initial Dollar Term Loan, 1st Lien

               

9.703%, LIBOR + 4.750%, 06/28/29(C)

    1,132       1,078  

Verisure Holding AB (publ), Facility B (EUR), 1st Lien

               

5.378%, Euribor + 3.250%, 03/27/28(C)

  $ 3,000     $ 3,113  

William Morris Endeavor Entertainment, LLC (IMG Worldwide Holdings, LLC), Term B-1 Loan, 1st Lien

               

7.390%, LIBOR + 2.750%, 05/18/25(C)

    1,725       1,709  
                         

Total Diversified/Conglomerate Service

    16,981  
                         

Electronics [0.8%]

athenahealth Group Inc., Initial DDTL, 1st Lien

               

3.500%, UNFND + 3.500%, 02/15/29(C)

    154       144  

athenahealth Group Inc., Initial Term Loan, 1st Lien

               

8.061%, CME Term SOFR + 3.500%, 02/15/29(C)

    1,256       1,174  

Digi International Inc., Initial Term Loan, 1st Lien

               

9.635%, LIBOR + 5.000%, 11/01/28(C)

    788       782  

Evercommerce Solutions Inc., Term Loan, 1st Lien

               

7.885%, LIBOR + 3.250%, 07/06/28(C)

    923       913  

Instructure Holdings, Inc., Initial Term Loan, 1st Lien

               

7.852%, LIBOR + 2.750%, 10/20/28(C)

    720       714  

ION Trading Finance Limited, Initial Euro Term Loan (2021), 1st Lien

               

6.452%, Euribor + 4.250%, 04/01/28(C)

    2,440       2,457  

LSF9 Atlantis Holdings, LLC, Term Loan, 1st Lien

               

11.830%, CME Term SOFR + 7.250%, 03/31/29(C)

    663       644  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 68

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Magenta Buyer LLC, Initial Term Loan, 1st Lien

               

9.580%, LIBOR + 4.750%, 07/27/28(C)

  $ 1,417     $ 1,164  

McAfee Corp., Tranche B-1 Term Loan, 1st Lien

               

8.418%, CME Term SOFR + 3.750%, 03/01/29(C)

    1,386       1,299  

MH Sub I, LLC (Micro Holding Corp.), 2020 June New Term Loan, 1st Lien

               

8.385%, LIBOR + 3.750%, 09/13/24(C)

    1,381       1,356  

Open Text Corporation, Term B Loan, 1st Lien

               

8.218%, CME Term SOFR + 3.500%, 08/27/29(C)

    1,610       1,604  

Orchid Merger Sub II, LLC, Initial Term Loan, 1st Lien

               

9.580%, CME Term SOFR + 4.750%, 07/27/27(C)

    804       651  

Priority Holdings, LLC, Initial Term Loan, 1st Lien

               

10.385%, LIBOR + 5.750%, 04/27/27(C)

    1,123       1,114  

Rackspace Technology Global, Inc., 2021 Term B Loan, 1st Lien

               

7.595%, LIBOR + 2.750%, 02/15/28(C)

    1,916       1,022  

Sabre GLBL Inc., 2022 Term B-2 Loan, 1st Lien

               

9.718%, CME Term SOFR + 5.000%, 06/30/28(C)

    648       555  

Snap One Holdings Corp., Initial Term Loan, 1st Lien

               

9.135%, LIBOR + 4.500%, 12/08/28(C)

    1,141       1,039  

Xperi Holding Corporation, Initial Term B Loan, 1st Lien

               

8.135%, LIBOR + 3.500%, 06/08/28(C)

    1,985       1,957  
                         

Total Electronics

            18,589  
                         

Energy [0.0%]

Arclight, Term Loan B, 1st Lien

               

8.376%, 04/13/28

  $ 812     $ 802  
                         

Finance (including structured products) [0.8%]

AI Sirona (Luxembourg) Acquisition S.a r.l., Additional Facility B1 (EUR), 1st Lien

               

5.679%, Euribor + 3.250%, 09/29/25(C)

  EUR 1,000       1,046  

ASP Navigate Acquisition Corp., Initial Term Loan, 1st Lien

               

9.359%, LIBOR + 4.500%, 10/06/27(C)

    1,142       1,116  

Castlelake Aviation One Designated Activity Company, 2023 Incremental Term Loan, 1st Lien

               

7.368%, CME Term SOFR + 2.750%, 10/22/27(C)

    653       643  

Citadel Securities LP, 2021 Term Loan, 1st Lien

               

7.232%, CME Term SOFR + 2.500%, 02/02/28(C)

    1,000       989  

CTC Holdings, L.P., Term Loan, 1st Lien

               

9.954%, CME Term SOFR + 5.000%, 02/20/29(C)

    739       717  

DRW Holdings, LLC, Initial Term Loan, 1st Lien

               

8.385%, LIBOR + 3.750%, 03/01/28(C)

    1,000       975  

FINThrive Software Intermediate Holdings, Inc., Initial Loan, 2nd Lien

               

11.385%, LIBOR + 6.750%, 12/17/29(C)

    385       234  

FINThrive Software Intermediate Holdings, Inc., Initial Term Loan, 1st Lien

               

8.635%, LIBOR + 4.000%, 12/18/28(C)

    571       530  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 69

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Geon Performance Solutions, LLC, Initial Term Loan, 1st Lien

               

9.230%, LIBOR + 4.500%, 08/18/28(C)

  $ 1,395     $ 1,373  

Guardian US Holdco LLC, Initial Term Loan, 1st Lien

               

8.676%, CME Term SOFR + 4.000%, 01/31/30(C)

    780       769  

Hexion Holdings Corporation, Initial Term Loan, 1st Lien

               

9.454%, CME Term SOFR + 4.500%, 03/15/29(C)

    950       847  

Hexion Holdings Corporation, Initial Term Loan, 2nd Lien

               

12.098%, CME Term SOFR + 7.438%, 03/15/30(C)

    695       573  

HighTower Holding, LLC, Initial Term Loan, 1st Lien

               

8.815%, LIBOR + 4.000%, 04/21/28(C)

    849       801  

Hudson River Trading LLC, Term Loan, 1st Lien

               

7.732%, CME Term SOFR + 3.000%, 03/20/28(C)

    1,034       964  

Jane Street Group, LLC, Dollar Term Loan, 1st Lien

               

7.385%, LIBOR + 2.750%, 01/26/28(C)

    1,000       982  

LendingTree, Inc., Initial Term B Loan, 1st Lien

               

8.390%, LIBOR + 3.750%, 09/15/28(C)

    716       611  

LSF11 A5 Holdco LLC, Term Loan, 1st Lien

               

8.422%, CME Term SOFR + 3.500%, 10/15/28(C)

    1,000       968  

Mariner Wealth Advisors, LLC, Incremental Term Loan, 1st Lien

               

9.010%, 08/18/28

    250       248  

Mariner Wealth Advisors, LLC, Initial Term Loan, 1st Lien

               

8.092%, CME Term SOFR + 3.250%, 08/18/28(C)

  $ 578     $ 564  

Quirch Foods Holdings, LLC, 2022-1 Incremental Term Loan, 1st Lien

               

9.490%, CME Term SOFR + 4.500%, 10/27/27(C)

    982       903  

Starwood Property Mortgage, L.L.C., Term B-3 Loan, 1st Lien

               

7.885%, LIBOR + 3.250%, 07/26/26(C)

    499       472  

VFH Parent LLC, Initial Term Loan, 1st Lien

               

7.661%, CME Term SOFR + 3.000%, 01/13/29(C)

    990       952  

Villa Dutch Bidco, Term Loan, 1st Lien

               

7.880%, 03/01/30

    1,000       1,027  
                         

Total Finance (including structured products)

    18,304  
                         

Financial Services [0.1%]

Aretec Group Inc, Term Loan, 1st Lien

               

0.000%, 03/08/30(F)

    1,500       1,473  
                         

Financials [0.2%]

Altisource Term Loan B (2018)

               

8.730%, 03/29/24(C)

    632       500  

EIG Management, Term Loan B, 1st Lien

               

8.368%, 01/31/25

    875       869  

Granite FR Bidco, Term Loan, 1st Lien

               

0.000%, 10/17/28(F)

    1,000       1,039  

Indy US, Term Loan, 1st Lien

               

0.000%, 03/06/28(F)

    1,000       984  

Superannuation and Investments, Term Loan, 1st Lien

               

8.385%, 12/01/28

    772       767  
                         

Total Financials

            4,159  
                         

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 70

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Food, Beverage and Tobacco [0.3%]

Artisan Newco BV, Term Loan, 1st Lien

               

7.602%, 02/02/29

  $ 990     $ 1,015  

Pegasus BidCo B.V., Initial Euro Term Loan, 1st Lien

               

6.012%, Euribor + 4.250%, 07/12/29(C)

    1,000       1,053  

Signature Foods, Term Loan, 1st Lien

               

5.929%, 01/29/28

    1,000       1,010  

ZF Invest, Senior Facility B, 1st Lien

               

6.209%, Euribor + 3.925%, 06/30/28(C)

    3,000       2,918  
                         

Total Food, Beverage and Tobacco

    5,996  
                         

Gaming [0.2%]

Flutter Entertainment plc, Euro Term Loan, 1st Lien

               

4.702%, Euribor + 2.500%, 07/10/25(C)

  EUR 1,193       1,277  

Premier Lotteries, Cov-Lite Term Loan B

               

5.202%, 06/26/24(C)

  EUR 2,413       2,447  
                         

Total Gaming

            3,724  
                         

Government [0.1%]

Japan Paris Club, Term Loan, 1st Lien

               

0.000%, 01/10/28(F)

  JPY 216,667       1,289  
                         

Healthcare [1.3%]

Alloheim Term Loan B

               

5.679%, 02/26/25

  EUR 1,500       1,488  

Auris Luxembourg III S.a r.l., Facility B1A, 1st Lien

               

6.436%, Euribor + 4.000%, 07/24/25(C)

  EUR 3,000       2,954  

Chrome Bidco, Facility B, 1st Lien

               

5.679%, Euribor + 3.250%, 05/12/28(C)

    3,500       3,435  

Cidron Ollopa Holding B.V., Facility B, 1st Lien

               

3.432%, Euribor + 3.250%, 04/16/25(C)

  EUR 1,437       1,494  

CTEC III GmbH, Facility B, 1st Lien

               

6.448%, Euribor + 3.750%, 01/19/29(C)

  $ 1,000     $ 1,028  

Diaverum Holding S.a.r.l. (fka Velox Bidco S.a.r.l.), Second Lien Facility

               

10.178%, Euribor + 8.000%, 05/24/24(C)

  EUR 1,500       1,429  

Domus VI

               

5.742%, 10/31/26

    2,000       1,881  

Gesundheits GmbH Term Loan

               

6.558%, 07/30/26

  EUR 2,000       1,468  

Indivior, Term Loan B, 1st Lien

               

10.092%, 06/26/26

    778       763  

Inovie Group, Term Loan, 1st Lien

               

6.202%, 03/03/28

    2,000       1,984  

7.202%, 03/03/28

    1,000       1,031  

Insulet Corporation, Term Loan B, 1st Lien

               

7.982%, 05/04/28

    563       561  

Mediq BV, Term Loan, 1st Lien

               

5.835%, 03/03/28

    2,000       2,066  

OneDigital Borrower LLC, 2021 Term Loan, 1st Lien

               

8.968%, CME Term SOFR + 4.250%, 11/16/27(C)

    908       871  

Onex TSG Intermediate Corp, Term Loan, 1st Lien

               

9.575%, 02/28/28(C)

    710       626  

PetIQ, Term Loan, 1st Lien

               

8.959%, 04/07/28

    1,029       937  

Sam Bidco, Term Loan, 1st Lien

               

0.000%, 12/13/27(F)

    1,000       1,077  

Sotera Health, Term Loan, 1st Lien

               

8.816%, 12/11/26

    735       722  

Sunrise Bidco, Term Loan, 1st Lien

               

5.108%, 07/27/28

    1,000       1,036  

TakeCare Bidco SAS, Term Loan, 1st Lien

               

6.915%, 05/26/28

    1,000       1,047  

TTF/Soliant Health, Cov-Lite Term Loan, 1st Lien

               

8.688%, 03/31/28

    733       730  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 71

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Vivalto Sante, Term Loan, 1st Lien

               

6.390%, 07/21/28

  $ 1,500     $ 1,559  
                         

Total Healthcare

            30,187  
                         

Healthcare, Education and Childcare [0.8%]

AHP Health Partners, Inc., Initial Term Loan, 1st Lien

               

8.135%, LIBOR + 3.500%, 08/24/28(C)

    1,000       980  

CAB, Facility B, 1st Lien

               

5.602%, Euribor + 3.000%, 02/09/28(C)

    1,500       1,474  

Elsan SAS , Facility B5, 1st Lien

               

5.431%, Euribor + 3.350%, 06/16/28(C)

    2,000       2,059  

Envision Healthcare Corporation, Second Out Term Loan, 1st Lien

               

8.830%, CME Term SOFR + 4.250%, 03/31/27(C)

    364       87  

Envision Healthcare Corporation, Third Out Term Loan, 1st Lien

               

8.330%, CME Term SOFR + 3.750%, 03/31/27(C)

    892       134  

Icon Public Limited Company, Lux Term Loan, 1st Lien

               

7.000%, LIBOR + 2.250%, 07/03/28(C)

    2,940       2,930  

Icon Public Limited Company, U.S. Term Loan, 1st Lien

               

7.000%, LIBOR + 2.250%, 07/03/28(C)

    732       730  

Mamba Purchaser, Inc., Initial Term Loan, 1st Lien

               

8.135%, LIBOR + 3.500%, 10/16/28(C)

    883       869  

Medical Solutions Holdings, Inc., Initial Term Loan, 1st Lien

               

8.241%, LIBOR + 3.500%, 10/06/28(C)

    1,000       970  

MJH Healthcare Holdings, LLC, Initial Term B Loan, 1st Lien

               

8.218%, CME Term SOFR + 3.500%, 01/28/29(C)

  $ 1,087     $ 1,058  

National Mentor Holdings, Inc., Initial Term C Loan, 1st Lien

               

8.480%, LIBOR + 3.750%, 03/02/28(C)

    13       10  

National Mentor Holdings, Inc., Initial Term Loan, 1st Lien

               

8.480%, LIBOR + 3.750%, 03/02/28(C)

    647       491  

Option Care Health, Inc., 2021 Refinancing Term Loan, 1st Lien

               

7.385%, LIBOR + 2.750%, 10/27/28(C)

    1,322       1,316  

Organon & Co., Dollar Term Loan, 1st Lien

               

7.750%, LIBOR + 3.000%, 06/02/28(C)

    1,808       1,805  

Perrigo Company PLC, Initial Term B Loan, 1st Lien

               

7.218%, CME Term SOFR + 2.500%, 04/20/29(C)

    587       582  

Petco Health and Wellness Company, Inc., Initial Term Loan, 1st Lien

               

8.092%, CME Term SOFR + 3.250%, 03/03/28(C)

    1,000       981  

Surgery Center Holdings, Inc., 2021 New Term Loan, 1st Lien

               

8.360%, LIBOR + 3.750%, 08/31/26(C)

    1,134       1,125  

Team Health Holdings, Inc., Extended Term Loan, 1st Lien

               

9.868%, CME Term SOFR + 5.250%, 03/02/27(C)

    1,591       1,086  
                         

Total Healthcare, Education and Childcare

    18,687  
                         

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 72

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Home and Office Furnishings, Housewares and Durable Consumer Products [0.2%]

ACProducts Holdings, Inc., Initial Term Loan, 1st Lien

               

8.980%, LIBOR + 4.250%, 05/17/28(C)

  $ 1,351     $ 1,068  

Hunter Douglas Holding B.V., Tranche B-1 Term Loan, 1st Lien

               

8.373%, CME Term SOFR + 3.500%, 02/26/29(C)

    930       833  

Hunter Douglas, Term Loan, 1st Lien

               

0.000%, 02/26/29(F)

    1,000       994  

Weber-Stephen Products LLC, Initial Term B Loan, 1st Lien

               

7.885%, LIBOR + 3.250%, 10/30/27(C)

    887       760  
                         

Total Home and Office Furnishings, Housewares and Durable Consumer Products

    3,655  
                         

Homebuilders/Materials/Construction [0.2%]

Erpe Bidco Limited, Term Loan, 1st Lien

               

6.849%, 10/04/24

    1,000       656  

LSF10 XL Bidco S.C.A., Facility B4, 1st Lien

               

6.127%, Euribor + 3.925%, 04/12/28(C)

    2,465       2,293  

Tencate Grass, Term Loan, 1st Lien

               

7.678%, 10/21/28

    1,000       1,049  

Winterfell Financing S.a r.l., Facility B, 1st Lien

               

5.465%, 02/18/28

  EUR 1,000       1,005  
                         

Total Homebuilders/Materials/Construction

    5,003  
                         

Hotels, Leisure & Entertainment [0.0%]

Pax Midco Spain, S.L.U., Facility B, 1st Lien

               

7.186%, Euribor + 4.750%, 06/07/26(C)

  EUR 1,000       978  
                         

Hotels, Motels, Inns and Gaming [0.3%]

Caesars Entertainment, Inc., 2023 Incremental Term B Loan, 1st Lien

               

7.968%, CME Term SOFR + 3.250%, 02/06/30(C)

  $ 1,000     $ 994  

Light and Wonder International, Inc., Initial Term B Loan, 1st Lien

               

7.662%, CME Term SOFR + 3.000%, 04/14/29(C)

    1,298       1,286  

Penn National Gaming, Inc., Term B Facility Loan, 1st Lien

               

7.468%, CME Term SOFR + 2.750%, 05/03/29(C)

    1,000       996  

Pilot Travel Centers LLC, Initial Tranche B Term Loan , 1st Lien

               

6.718%, CME Term SOFR + 2.000%, 08/04/28(C)

    996       992  

Playa Resorts Holding B.V., 2022 Term Loan, 1st Lien

               

8.814%, CME Term SOFR + 4.250%, 01/05/29(C)

    1,025       1,018  

Scientific Games Holdings LP , Initial Dollar Term Loan, 1st Lien

               

8.103%, CME Term SOFR + 3.500%, 04/04/29(C)

    1,246       1,226  

Travel + Leisure Co., 2022 Incremental Term Loan, 1st Lien

               

8.608%, CME Term SOFR + 4.000%, 12/14/29(C)

    560       558  
                         

Total Hotels, Motels, Inns and Gaming

    7,070  
                         

Industrials [0.2%]

American Gaming, Term Loan, 1st Lien

               

8.730%, 02/09/29

    496       488  

Chart Industries, Term Loan B, 1st Lien

               

8.593%, 12/07/29

    560       558  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 73

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

GFL Environmental, Term Loan

               

7.718%, 05/28/27

  $ 1,241     $ 1,241  

Rubix Group, Term Loan, 1st Lien

               

0.000%, 09/12/26(F)

    1,000       1,053  

Vaco Holdings, LLC, Term Loan, 1st Lien

               

9.730%, 01/21/29

    556       544  
                         

Total Industrials

            3,884  
                         

Information Technology [0.3%]

Aspect Software, Term Loan, 2nd Lien

               

14.202%, 05/03/29

    175       122  

E2open, Term Loan B, 1st Lien

               

8.201%, 02/04/28

    750       742  

Magenta Buyer, Term Loan, 1st Lien

               

13.080%, 07/27/29

    110       81  

Sitel Worldwide, Cov-Lite Term Loan, 1st Lien

               

8.390%, 07/28/28

    1,000       987  

Ultra Clean Holdings, Term Loan, 1st Lien

               

8.385%, 08/27/25

    1,895       1,893  

Zacapa S.a r.l., Initial Term Loan (2022), 1st Lien

               

8.830%, CME Term SOFR + 4.250%, 03/22/29(C)

    1,981       1,934  
                         

Total Information Technology

    5,759  
                         

Insurance [0.1%]

Asurion, LLC, New B-11 Term Loan, 1st Lien

               

8.912%, CME Term SOFR + 4.250%, 08/19/28(C)

    1,000       925  

Asurion, LLC, New B-4 Term Loan, 2nd Lien

               

9.885%, LIBOR + 5.250%, 01/20/29(C)

    1,000       822  
                         

Total Insurance

            1,747  
                         

Leisure Products [0.1%]

Topgolf Callaway, Term Loan, 1st Lien

               

8.260%, 03/15/30

  $ 1,200     $ 1,191  
                         

Leisure, Amusement, Motion Pictures, Entertainment [0.1%]

Herschend Entertainment Company, LLC, Initial Term Loan (2021), 1st Lien

               

8.438%, LIBOR + 3.750%, 08/27/28(C)

    729       723  

International Park Holdings B.V., Facility B2, 1st Lien

               

7.479%, Euribor + 5.000%, 12/14/26(C)

    1,000       1,073  

Lakeshore Learning Materials, LLC, Initial Term Loan, 1st Lien

               

8.230%, LIBOR + 3.500%, 09/29/28(C)

    673       659  
                         

Total Leisure, Amusement, Motion Pictures, Entertainment

    2,455  
                         

Machinery (Non-Agriculture, Non-Construction and Non-Electronic) [0.3%]

ChampionX Corporation, Term B-1 Loan, 1st Lien

               

8.058%, CME Term SOFR + 3.250%, 05/13/29(C)

    928       922  

Coherent Corp., Initial Term B Loan, 1st Lien

               

7.385%, LIBOR + 2.750%, 07/02/29(C)

    819       810  

Gates Global LLC, Initial B-3 Dollar Term Loan, 1st Lien

               

7.135%, LIBOR + 2.500%, 03/31/27(C)

    667       663  

MHI Holdings, LLC, Initial Term Loan, 1st Lien

               

9.635%, LIBOR + 5.000%, 09/21/26(C)

    1,831       1,828  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 74

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

MKS Instruments, Inc., Initial Dollar Term B Loan, 1st Lien

               

7.411%, CME Term SOFR + 2.750%, 08/17/29(C)

  $ 1,556     $ 1,546  
                         

Total Machinery (Non-Agriculture, Non-Construction and Non-Electronic)

    5,769  
                         

Manufacturing [0.1%]

Safic-Alcan, Term Loan, 1st Lien

               

7.327%, 06/22/29

    1,000       1,059  
                         

Manufacturing/Machinery/Industrial [0.4%]

Aggreko, Term loan, 1st Lien

               

7.643%, 07/31/26

    1,500       1,585  

Alpha Bidco, Term Loan, 1st Lien

               

5.952%, 07/30/25

    1,500       1,549  

BCP V Modular Services, Term Loan, 1st Lien

               

6.702%, 10/07/28

    3,000       3,068  

Delachaux, Term Loan, 1st Lien

               

6.242%, 04/16/26

    1,000       1,048  

Dexko Global Inc., Term Loan, 1st Lien

               

11.080%, 10/04/28

    405       385  

Distributed Power Term Loan B

               

4.731%, Euribor + 3.500%, 10/03/25(C)

  EUR 1,000       1,037  
                         

Total Manufacturing/Machinery/Industrial

    8,672  
                         

Materials [0.0%]

Caldic, Term Loan, 1st Lien

               

8.426%, 02/26/29

    561       548  
                         

Media [0.0%]

Houghton Mifflin, Term Loan, 1st Lien

               

9.968%, 04/04/29

    713       636  
                         

Metals & Mining [0.0%]

TMS International Corp, Term Loan, 1st Lien

               

9.411%, 03/07/30

    525       511  
                         

Metals/Minerals [0.1%]

Consol Energy Inc. Term Loan B

               

9.218%, 09/27/24(C)

  $ 267     $ 266  

Oxbow Carbon LLC, Tranche B Term Loan, 1st Lien

               

8.980%, LIBOR + 4.250%, 10/13/25(C)

    939       937  
                         

Total Metals/Minerals

            1,203  
                         

Mining, Steel, Iron and Nonprecious Metals [0.0%]

NWR Holdings B.V., Super Senior Term Facility, 1st Lien

               

14.500%, 12/31/49

  EUR 1,011        
                         

Nonferrous metals/minerals [0.0%]

Infinity Bidco 1 Limited, Facility B (EUR), 1st Lien

               

3.150%, Euribor + 3.150%, 07/06/28(C)

    1,000       1,018  
                         

Oil and Gas [0.2%]

BlackBrush Oil & Gas, L.P., Closing Date Commitment (Term Loan), 1st Lien

               

10.176%, LIBOR + 5.000%, 09/03/25(C)

    442       420  

Keane Group Holdings, LLC, Initial Term Loan, 1st Lien

               

8.135%, LIBOR + 3.500%, 05/19/25(C)

    1,624       1,587  

M6 ETX Holdings II Midco LLC, Initial Term Loan, 1st Lien

               

9.158%, CME Term SOFR + 4.500%, 09/19/29(C)

    1,412       1,393  

Medallion Midland Acquisition, LLC, Initial Term Loan, 1st Lien

               

8.592%, CME Term SOFR + 3.750%, 10/18/28(C)

    639       630  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 75

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Oryx Midstream Services Permian Basin LLC, 2023 Incremental Term Loan, 1st Lien

               

7.932%, CME Term SOFR + 3.250%, 10/05/28(C)

  $ 1,410     $ 1,384  
                         

Total Oil and Gas

            5,414  
                         

Packaging / Paper / Forest Products [0.2%]

Kleopatra Finco S.a r.l., Facility B (EUR), 1st Lien

               

7.983%, Euribor + 4.750%, 02/04/26(C)

    1,000       971  

Multi-Color Coporation, Term Loan, 1st Lien

               

7.130%, 10/20/28

    1,982       2,090  

Weener Plastics Group Term Loan B

               

6.078%, Euribor + 3.750%, 06/20/25(C)

  EUR 1,500       1,577  
                         

Total Packaging / Paper / Forest Products

    4,638  
                         

Personal and Non-Durable Consumer Products (Manufacturing Only) [0.0%]

ABG Intermediate Holdings 2 LLC, Initial Term Loan, 2nd Lien

               

10.718%, CME Term SOFR + 6.000%, 12/20/29(C)

    310       285  

Canada Goose Inc., 2021 Refinancing Term Loan, 1st Lien

               

8.230%, LIBOR + 3.500%, 10/07/27(C)

    681       663  
                         

Total Personal and Non-Durable Consumer Products (Manufacturing Only)

    948  
                         

Personal Transportation [0.2%]

AAdvantage Loyality IP Ltd. (American Airlines, Inc.), Initial Term Loan, 1st Lien

               

9.558%, LIBOR + 4.750%, 04/20/28(C)

    2,000       2,028  

Mileage Plus Holdings LLC (Mileage Plus Intellectual Property Assets, Ltd.), Initial Term Loan, 1st Lien

               

9.996%, LIBOR + 5.250%, 06/21/27(C)

  $ 2,000     $ 2,073  

SkyMiles IP Ltd. (Delta Air Lines, Inc.), Initial Term Loan, 1st Lien

               

8.558%, LIBOR + 3.750%, 10/20/27(C)

    1,007       1,042  
                         

Total Personal Transportation

    5,143  
                         

Pharmaceuticals [0.7%]

Aenova, Term Loan

               

7.332%, 03/06/26

    2,500       2,526  

Cheplapharm, Term Loan, 1st Lien

               

6.298%, 02/09/29

    2,000       2,101  

Cidron Aida Finco Sarl, Term Loan

               

6.929%, 05/29/28

    1,000       1,052  

Financiere Verdi I SAS, 1st Lien

               

7.930%, 03/31/28

    2,000       2,135  

Nextpharma Holdings Ltd, Term Loan, 1st Lien

               

5.702%, 03/31/28

    1,000       986  

Nidda Healthcare Holding GmbH, Facility F (EUR), 1st Lien

               

5.537%, Euribor + 3.500%, 08/21/26(C)

    2,000       2,048  

Nidda Healthcare Holding GmbH, Facility F (GBP), 1st Lien

               

7.470%, LIBOR + 4.500%, 08/21/26(C)

    1,000       1,161  

Organon & Co, Term Loan, 1st Lien

               

5.801%, 06/02/28

    992       1,052  

Stamina BidCo B.V., Facility B, 1st Lien

               

6.334%, Euribor + 4.000%, 11/02/28(C)

    1,000       1,042  

Theramex, Cov-Lite Term Loan, 1st Lien

               

7.452%, 08/09/29

    1,000       1,061  
                         

Total Pharmaceuticals

            15,164  
                         

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 76

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Printing, Publishing and Broadcasting [0.2%]

AppLovin Corporation, Initial Term Loan, 1st Lien

               

7.943%, CME Term SOFR + 3.350%, 08/15/25(C)

  $ 1,587     $ 1,580  

Digital Media Solutions, LLC, Initial Term Loan, 1st Lien

               

9.730%, LIBOR + 5.000%, 05/25/26(C)

    681       536  

Dun & Bradstreet Corporation, The, 2022 Incremental Term B-2 Loan, 1st Lien

               

8.042%, CME Term SOFR + 3.250%, 01/18/29(C)

    1,000       992  

Magnite, Inc., Initial Term Loan, 1st Lien

               

9.635%, LIBOR + 5.000%, 04/28/28(C)

    943       901  

Neptune BidCo US Inc., Euro Term B Loan, 1st Lien

               

7.270%, Euribor + 5.000%, 04/11/29(C)

    1,000       920  

Summer (BC) Bidco B LLC, Additional Facility B2 (USD), 1st Lien

               

9.230%, LIBOR + 4.500%, 12/04/26(C)

    790       744  
                         

Total Printing, Publishing and Broadcasting

    5,673  
                         

Publishing and Media-other [0.1%]

Infinitas Learn Cov-Lite Lien1

               

7.769%, 07/21/28

    1,000       1,054  

S4 Capital Lux, Term Loan, 1st Lien

               

6.572%, 07/31/28

    1,000       1,058  
                         

Total Publishing and Media-other

    2,112  
                         

Retail [0.1%]

Ascena Retail Group, Inc. (Anntaylor Retail, Inc.), Tranche B Term Loan, 1st Lien

               

5.250%, LIBOR + 4.500%, 08/28/23(C)

    248       1  

Belk,Inc., First-Out Loan, 1st Lien

               

12.458%, LIBOR + 7.500%, 07/31/25(C)

  $ 1,635     $ 1,372  

Belk,Inc., Second-Out Loan, 1st Lien

               

5.000%, FIXED + 0.000%, 07/31/25(C)

    662       89  

J.C. Penney Corporation, Inc. , Loan (2016), 1st Lien

               

5.250%, LIBOR + 4.250%, 06/23/23(B)(C)(E)

    794       1  

Sally Beauty, Term Loan B, 1st Lien

               

7.306%, 02/15/30

    1,000       996  
                         

Total Retail

            2,459  
                         

Retail (non-food/drug) [0.3%]

AL AS Adventure, Term Loan, 1st Lien

               

7.132%, 04/24/26

    2,228       2,220  

Euro Garage Limited (EG Group) (GBP) Term Loan B

               

8.321%, LIBOR + 4.750%, 02/07/25(C)

  GBP 910       1,047  

Peer Holding Iii B.V

               

5.452%, 11/27/26

  EUR 3,000       3,187  

THG Operations Holdings Limited, Facility B, 1st Lien

               

6.966%, 12/10/26

  EUR 1,000       897  
                         

Total Retail (non-food/drug)

    7,351  
                         

Retail Stores [0.3%]

Belfor Holdings Inc., Initial Term Loan, 1st Lien

               

8.635%, LIBOR + 4.000%, 04/06/26(C)

    1,250       1,247  

CD&R Firefly Bidco Limited, Facility B1, 1st Lien

               

7.784%, SONIA + 4.250%, 06/23/25(C)

  GBP 1,000       1,186  

Evergreen Acqco 1 LP, Initial Term Loan, 1st Lien

               

10.342%, CME Term SOFR + 5.500%, 04/21/28(C)

    585       559  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 77

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Great Outdoors Group, LLC, Term B-2 Loan, 1st Lien

               

8.385%, LIBOR + 3.750%, 03/06/28(C)

  $ 902     $ 890  

Jo-Ann Stores, LLC, Term B-1 Loan, 1st Lien

               

9.572%, LIBOR + 4.750%, 07/07/28(C)

    793       432  

LBM Acquisition, LLC, Initial Term Loan, 1st Lien

               

8.385%, LIBOR + 3.750%, 12/17/27(C)

    1,184       1,112  

Prime Security Services Borrower, LLC, 2021 Refinancing Term B-1 Loan, 1st Lien

               

7.517%, LIBOR + 2.750%, 09/23/26(C)

    838       835  

Rising Tide Holdings, Inc., Initial Term Loan, 1st Lien

               

9.703%, LIBOR + 4.750%, 06/01/28(C)

    141       83  

Rising Tide Holdings, Inc., Initial Term Loan, 2nd Lien

               

13.204%, LIBOR + 8.250%, 06/01/29(C)

    455       115  

Toys ‘R’ Us Property Company I, LLC, Term Loan

               

0.000%, 03/20/22(F)

    9       43  
                         

Total Retail Stores

            6,502  
                         

Services [1.2%]

Adtalem Global, Term Loan B, 1st Lien

               

8.635%, 08/12/28

    1,444       1,442  

American Public Education, Term Loan B, 1st Lien

               

10.135%, 03/29/27

    759       706  

Assystem Technologies, Term Loan, 1st Lien

               

6.108%, 09/27/24

    1,000       952  

AVS Holding, Term Loan, 1st Lien

               

6.365%, 09/10/26

    1,000       1,029  

Boels, Term Loan

               

5.012%, 02/06/27

    1,000       1,060  

Eagle Bidco Limited, Term Loan, 1st Lien

               

8.098%, 03/10/28

  $ 1,182     $ 1,352  

Foncia, Term Loan, 1st Lien

               

5.641%, 03/17/28

    1,000       986  

Franklin UK Midco Limited, New Facility B1, 1st Lien

               

7.643%, Euribor + 5.250%, 12/18/26(C)

    598       627  

Franklin UK Midco Limited, New Facility B2, 1st Lien

               

7.643%, Euribor + 5.250%, 12/18/26(C)

    20       21  

Franklin UK Midco Limited, New Facility B3, 1st Lien

               

6.712%, Euribor + 5.250%, 12/18/26(C)

    231       242  

Franklin UK Midco Limited, New Facility B4, 1st Lien

               

7.643%, Euribor + 5.250%, 12/18/26(C)

    151       158  

Freshworld Holding III, Term Loan, 1st Lien

               

5.686%, 10/02/26

    1,000       1,036  

Gfk SE, Term Loan B-1, 1st Lien

               

5.452%, 04/21/28

    1,500       1,622  

Grandir, Term Loan, 1st Lien

               

6.698%, 09/30/28

    857       891  

6.698%, 09/30/28

    143       149  

Kronosnet, Term Loan, 1st Lien

               

8.167%, 07/28/29

    1,500       1,490  

MGroup Term Loan B

               

8.047%, 07/25/25

  GBP 2,700       3,123  

Oravel Stays, Term Loan B, 1st Lien

               

13.270%, 06/05/26

    853       731  

Proxiserve (aka Persea) Term Loan

               

5.857%, 02/27/26

  EUR 1,000       1,010  

QA Term Loan

               

7.812%, LIBOR + 4.750%, 07/26/24(C)

  GBP 1,500       1,768  

Sapphire Bidco B.V., Facility B, 1st Lien

               

5.172%, 05/05/25

  EUR 1,500       1,582  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 78

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Sitel Group, Term Loan, 1st Lien

               

6.180%, 07/28/28

  $ 1,500     $ 1,566  

St. George’s University Scholastic Services LLC, Term Loan B, 1st Lien

               

7.968%, 02/10/29

    773       760  

Unique BidCo AB, Facility B Loan, 1st Lien

               

8.228%, Euribor + 5.250%, 03/11/29(C)

    1,000       1,020  

Vistra, Term Loan

               

5.880%, 10/27/25

    953       1,025  

WSH Term Loan

               

9.013%, 02/27/26

  GBP 1,000       1,091  
                         

Total Services

            27,439  
                         

Shipping [0.0%]

Worldwide Express/GlobalTranz, Term Loan, 2nd Lien

               

11.730%, 07/26/29

    350       290  
                         

Software & Service [0.0%]

Roper Technologies, Term Loan, 1st Lien

               

0.000%, 11/30/29(F)

    1,000       1,030  
                         

Technology [0.1%]

Lumileds, Exit Takeback Term Loan, 1st Lien

               

13.676%, 10/31/27

    142       119  

UST Holdings Ltd, Term Loan, 1st Lien

               

8.482%, 11/20/28

    768       760  

Virtusa, Term Loan, 1st Lien

               

8.385%, 02/11/28

    1,252       1,235  
                         

Total Technology

            2,114  
                         

Technology Hardware [0.0%]

SubCom, Incremental Term Loan, 1st Lien

               

10.030%, 04/27/27

    185       182  
                         

Technology, Electronics, Software & IT [0.4%]

Civica, Term Loan, 1st Lien

               

8.198%, 10/10/24(C)

  GBP 1,000       1,153  

Colour Bidco (NGA UK) Term Loan B

               

9.201%, LIBOR + 5.250%, 11/22/24(C)

  GBP 1,606     $ 1,897  

Concorde Lux, Term Loan, 1st Lien

               

6.132%, 03/01/28

    995       1,036  

Dedalus, Term Loan, 1st Lien

               

5.782%, 05/04/27

    1,000       949  

Oberthur Technologies SA, Term Loan, 1st Lien

               

6.452%, 01/09/26

    1,500       1,596  

Paysafe Holdings, Term Loan, 1st Lien

               

5.429%, 06/09/28

    975       975  

Polaris Newco LLC, Term Loan, 1st Lien

               

6.492%, 06/02/28

    1,975       1,878  
                         

Total Technology, Electronics, Software & IT

    9,484  
                         

Telecommunications [0.9%]

AP Core Holdings II, LLC, Term B-2 Loan, 1st Lien

               

10.135%, LIBOR + 5.500%, 09/01/27(C)

    500       486  

Circet Europe, Senior Facility B, 1st Lien

               

5.452%, Euribor + 3.250%, 10/13/28(C)

    2,500       2,594  

Connect Finco Sarl, Amendment No. 1 Refinancing Term Loan, 1st Lien

               

8.140%, LIBOR + 3.500%, 12/11/26(C)

    2,013       1,998  

Coral-US Co-Borrower LLC, Term B-5 Loan, 1st Lien

               

6.838%, LIBOR + 2.250%, 01/31/28(C)

    1,000       967  

Creation Technologies Inc., Initial Term Loan, 1st Lien

               

10.282%, LIBOR + 5.500%, 10/05/28(C)

    765       653  

Intelsat Jackson Holdings S.A., Term B Loan, 1st Lien

               

9.082%, CME Term SOFR + 4.250%, 02/01/29(C)

    1,229       1,214  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 79

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Lorca Holdco Limited, Facility B, 1st Lien

               

6.819%, Euribor + 4.250%, 09/17/27(C)

  $ 2,500     $ 2,656  

Radiate Holdco, LLC, Amendment No. 6 Term Loan, 1st Lien

               

7.885%, LIBOR + 3.250%, 09/25/26(C)

    1,797       1,464  

UPC Broadband Holding B.V., Facility AY, 1st Lien

               

5.571%, Euribor + 3.000%, 01/31/29(C)

    1,000       1,055  

Voyage Digital (NZ) Limited, Initial U.S. Term Loan, 1st Lien

               

9.304%, CME Term SOFR + 4.500%, 05/11/29(C)

    1,137       1,120  

WP/AP Telecom Holdings IV B.V., Facility B Loan, 1st Lien

               

6.202%, Euribor + 4.000%, 11/19/28(C)

    2,000       2,117  

Zayo Group Holdings, Term Loan, 1st Lien

               

0.000%, 03/09/27(F)

    1,000       893  

Ziggo B.V., Term Loan H Facility, 1st Lien

               

6.102%, Euribor + 3.000%, 01/31/29(C)

  EUR 3,000       3,058  
                         

Total Telecommunications

            20,275  
                         

Transportation, Airlines & Distribution [0.0%]

Financiere Storage, Term Loan, 1st Lien

               

10.452%, 09/25/26

    1,000       965  
                         

Utilities [0.1%]

Eastern Power, LLC (Eastern Covert Midco, LLC), Term Loan, 1st Lien

               

8.480%, LIBOR + 3.750%, 10/02/25(C)

    963       881  

Generation Bridge, LLC, Term B Loan, 1st Lien

               

9.730%, LIBOR + 5.000%, 12/01/28(C)

    515       513  

Generation Bridge, LLC, Term C Loan, 1st Lien

               

9.730%, LIBOR + 5.000%, 12/01/28(C)

    11       11  

Traverse Midstream Partners LLC, Advance, 1st Lien

               

8.726%, CME Term SOFR + 4.250%, 02/16/28(C)

  $ 803     $ 788  

WaterBridge Midstream Operating LLC, Initial Term Loan, 1st Lien

               

10.568%, LIBOR + 5.750%, 06/22/26(C)

    1,000       981  
                         

Total Utilities

            3,174  
                         

Total Loan Participations

       

(Cost $402,540)

            375,285  
                         

Mortgage-Backed Securities [15.1%]

522 Funding CLO, Ser 2021-7A, Cl E

               

11.035%, ICE LIBOR USD 3 Month + 6.220%, 04/23/34(A)(C)

    1,700       1,418  

Adagio IX EUR CLO DAC, Ser 2021-X, Cl E

               

8.977%, Euribor 3 Month + 6.020%, 09/15/34(C)

  EUR 1,000       895  

Anchorage Capital Europe CLO DAC, Ser 2021-4X, Cl E

               

8.159%, Euribor 3 Month + 5.710%, 04/25/34(C)

  EUR 1,000       914  

Arbour CLO III DAC, Ser 2021-3X, Cl ERR

               

8.178%, Euribor 3 Month + 5.890%, 07/15/34(C)

  EUR 1,250       1,133  

Arbour CLO VII DAC, Ser 2020-7X, Cl E

               

9.357%, Euribor 3 Month + 6.400%, 03/15/33(C)

  EUR 3,500       3,237  

Ares European CLO VIII DAC, Ser 2019-8X, Cl ER

               

8.608%, Euribor 3 Month + 6.320%, 04/17/32(C)

  EUR 1,500       1,371  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 80

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Ares European CLO XIII BV, Ser 2020-13X, Cl E

               

8.692%, Euribor 3 Month + 6.350%, 07/20/32(C)

  EUR 5,650     $ 5,239  

Armada Euro CLO I DAC, Ser 2021-1X, Cl ER

               

8.507%, Euribor 3 Month + 6.090%, 10/24/33(C)

  EUR 850       782  

Armada Euro CLO II DAC, Ser 2018-2X, Cl F

               

9.104%, Euribor 3 Month + 6.450%, 11/15/31(C)

  EUR 1,000       796  

Armada Euro CLO V DAC, Ser 2021-5X, Cl D

               

5.598%, Euribor 3 Month + 3.130%, 07/28/34(C)

  EUR 900       836  

Aurium CLO II DAC, Ser 2021-2X, Cl ERR

               

8.972%, Euribor 3 Month + 6.080%, 06/22/34(C)

  EUR 2,155       1,953  

Aurium CLO VII DAC, Ser 2021-7X, Cl E

               

8.514%, Euribor 3 Month + 5.860%, 05/15/34(C)

  EUR 2,125       1,936  

Bain Capital Euro CLO DAC, Ser 2018-1X, Cl E

               

7.312%, Euribor 3 Month + 4.970%, 04/20/32(C)

  EUR 1,690       1,432  

Barings CLO 2019-III, Ser 2021-3A, Cl ER

               

11.508%, ICE LIBOR USD 3 Month + 6.700%, 04/20/31(A)(C)

    1,500       1,304  

Barings Euro CLO 2015-1 DAC, Ser 2022-1X, Cl ERR

               

9.309%, Euribor 3 Month + 6.860%, 07/25/35(C)

  EUR 1,220       1,077  

Barings Euro CLO BV, Ser 2018-1X, Cl E

               

6.408%, Euribor 3 Month + 4.120%, 04/15/31(C)

  EUR 4,275       3,629  

Barings Euro CLO BV, Ser 2018-2X, Cl E

               

7.338%, Euribor 3 Month + 5.050%, 10/15/31(C)

  EUR 3,000     $ 2,515  

Barings Euro CLO BV, Ser 2018-3X, Cl E

               

8.248%, Euribor 3 Month + 5.790%, 07/27/31(C)

  EUR 2,900       2,519  

Barings Euro CLO DAC, Ser 2020-2X, Cl E

               

8.917%, Euribor 3 Month + 6.500%, 07/24/32(C)

  EUR 2,475       2,241  

Battalion CLO 18, Ser 2021-18A, Cl ER

               

11.502%, ICE LIBOR USD 3 Month + 6.710%, 10/15/36(A)(C)

    2,000       1,599  

Battalion CLO X, Ser 2021-10A, Cl DR2

               

11.426%, ICE LIBOR USD 3 Month + 6.610%, 01/25/35(A)(C)

    2,750       2,204  

Battalion CLO XIV, Ser 2021-14A, Cl DR

               

8.248%, ICE LIBOR USD 3 Month + 3.440%, 01/20/35(A)(C)

    2,000       1,713  

Battalion CLO XIV, Ser 2021-14A, Cl ER

               

11.668%, ICE LIBOR USD 3 Month + 6.860%, 01/20/35(A)(C)

    3,500       2,874  

Birch Grove CLO 2, Ser 2021-2A, Cl E

               

11.748%, ICE LIBOR USD 3 Month + 6.950%, 10/19/34(A)(C)

    3,875       3,241  

Birch Grove CLO 3, Ser 2021-3A, Cl E

               

11.778%, ICE LIBOR USD 3 Month + 6.980%, 01/19/35(A)(C)

    4,000       3,395  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 81

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Black Diamond CLO, Ser 2021-1A, Cl D

               

12.295%, ICE LIBOR USD 3 Month + 7.480%, 11/22/34(A)(C)

  $ 1,000     $ 884  

Blackrock European CLO DAC, Ser 2018-1X, Cl FR

               

9.557%, Euribor 3 Month + 6.600%, 03/15/31(C)

  EUR 1,750       1,396  

Blackrock European CLO III DAC, Ser 2021-3X, Cl ER

               

8.465%, Euribor 3 Month + 6.130%, 07/19/35(C)

  EUR 3,000       2,689  

Blackrock European CLO IX DAC, Ser 2019-9X, Cl F

               

11.877%, Euribor 3 Month + 8.920%, 12/15/32(C)

  EUR 1,250       1,079  

Bluemountain Euro 2021-2 CLO DAC, Ser 2021-2X, Cl E

               

8.498%, Euribor 3 Month + 6.210%, 10/15/35(C)

  EUR 1,500       1,354  

Bluemountain Euro CLO DAC, Ser 2021-2X, Cl D

               

5.388%, Euribor 3 Month + 3.100%, 10/15/35(C)

  EUR 1,150       1,054  

Bosphorus CLO IV DAC, Ser 2018-4X, Cl E

               

7.587%, Euribor 3 Month + 4.630%, 12/15/30(C)

  EUR 2,000       1,774  

Bosphorus CLO VI DAC, Ser 2021-6X, Cl E

               

8.493%, Euribor 3 Month + 5.800%, 05/25/34(C)

  EUR 2,500       2,234  

BSL CLO 3, Ser 2021-3A, Cl E

               

11.758%, ICE LIBOR USD 3 Month + 6.950%, 10/20/34(A)(C)

    2,000       1,720  

Cairn CLO XI DAC, Ser 2019-11X, Cl E

               

9.058%, Euribor 3 Month + 6.770%, 07/15/32(C)

  EUR 5,850     $ 5,450  

Cairn CLO XIII DAC, Ser 2021-13X, Cl E

               

8.462%, Euribor 3 Month + 6.120%, 10/20/33(C)

  EUR 1,000       887  

Cairn CLO XIV DAC, Ser 2021-14X, Cl E

               

8.578%, Euribor 3 Month + 6.110%, 10/29/34(C)

  EUR 1,000       880  

Capital Four CLO I DAC, Ser 2019-1X, Cl E

               

8.758%, Euribor 3 Month + 6.470%, 01/15/33(C)

  EUR 1,500       1,372  

Capital Four CLO II DAC, Ser 2021-2X, Cl E

               

8.198%, Euribor 3 Month + 5.910%, 01/15/34(C)

  EUR 2,700       2,429  

Carlyle Euro CLO 2017-1 DAC, Ser 2021-1X, Cl DR

               

8.758%, Euribor 3 Month + 6.470%, 07/15/34(C)

  EUR 1,650       1,537  

Carlyle Euro CLO DAC, Ser 2017-3X, Cl D

               

6.868%, Euribor 3 Month + 4.580%, 01/15/31(C)

  EUR 2,000       1,668  

Carlyle Euro CLO DAC, Ser 2022-3X, Cl C

               

6.154%, Euribor 3 Month + 3.500%, 02/15/36(C)

  EUR 1,350       1,235  

Carlyle Euro CLO DAC, Ser 2022-3X, Cl D

               

9.114%, Euribor 3 Month + 6.460%, 02/15/36(C)

  EUR 2,700       2,355  

Carlyle Global Market Strategies CLO, Ser 2018-4RA, Cl C

               

7.692%, ICE LIBOR USD 3 Month + 2.900%, 07/15/30(A)(C)

    1,800       1,520  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 82

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Carlyle Global Market Strategies Euro CLO, Ser 2020-1X, Cl DR

               

7.788%, Euribor 3 Month + 5.500%, 01/16/33(C)

  EUR 2,000     $ 1,743  

Carlyle Global Market Strategies Euro CLO DAC, Ser 2018-1X, Cl ER

               

7.218%, Euribor 3 Month + 4.930%, 07/15/31(C)

  EUR 3,300       2,933  

Carlyle Global Market Strategies Euro CLO DAC, Ser 2018-3X, Cl DR

               

7.029%, Euribor 3 Month + 4.580%, 01/25/32(C)

  EUR 2,400       2,087  

Carlyle Global Market Strategies Euro CLO DAC, Ser 2022-2X, Cl CRR

               

6.308%, Euribor 3 Month + 3.700%, 11/10/35(C)

  EUR 2,500       2,300  

Carlyle Global Market Strategies Euro CLO DAC, Ser 2022-2X, Cl DRR

               

9.258%, Euribor 3 Month + 6.650%, 11/10/35(C)

  EUR 1,450       1,279  

Catamaran CLO, Ser 2018-1A, Cl E

               

11.188%, ICE LIBOR USD 3 Month + 6.370%, 10/25/31(A)(C)

    3,500       2,849  

Cathedral Lake VI, Ser 2021-6A, Cl E

               

12.028%, ICE LIBOR USD 3 Month + 7.210%, 04/25/34(A)(C)

    4,000       3,272  

Cathedral Lake VIII, Ser 2021-8A, Cl E

               

12.298%, ICE LIBOR USD 3 Month + 7.490%, 01/20/35(A)(C)

    2,000       1,647  

CIFC European Funding CLO IV DAC, Ser 2021-4X, Cl D

               

5.428%, Euribor 3 Month + 3.100%, 08/18/35(C)

  EUR 1,300     $ 1,232  

CIFC European Funding CLO V DAC, Ser 2021-5X, Cl D

               

5.438%, Euribor 3 Month + 3.150%, 11/23/34(C)

  EUR 1,430       1,339  

Columbia Cent CLO 30, Ser 2021-30A, Cl E

               

11.748%, ICE LIBOR USD 3 Month + 6.940%, 01/20/34(A)(C)

    1,000       799  

CQS US CLO, Ser 2021-1A, Cl D1

               

8.358%, ICE LIBOR USD 3 Month + 3.550%, 01/20/35(A)(C)

    1,000       897  

CQS US CLO, Ser 2021-1A, Cl DJ

               

9.788%, ICE LIBOR USD 3 Month + 4.980%, 01/20/35(A)(C)

    300       261  

CQS US CLO 2022-2, Ser 2022-2A, Cl E1

               

11.489%, TSFR3M + 6.850%, 07/20/31(A)(C)

    2,000       1,637  

Crestline Denali CLO XIV, Ser 2018-1A, Cl DR

               

8.165%, ICE LIBOR USD 3 Month + 3.350%, 10/23/31(A)(C)

    2,000       1,670  

Crestline Denali CLO XVII, Ser 2018-1A, Cl D

               

8.042%, ICE LIBOR USD 3 Month + 3.250%, 10/15/31(A)(C)

    2,250       1,858  

CRNPT, Ser 2018-4A, Cl D

               

7.558%, ICE LIBOR USD 3 Month + 2.750%, 04/20/31(A)(C)

    3,000       2,467  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 83

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Crown Point CLO 8, Ser 2021-8A, Cl ER

               

11.938%, ICE LIBOR USD 3 Month + 7.130%, 10/20/34(A)(C)

  $ 3,500     $ 3,031  

Crown Point CLO 9, Ser 2021-9A, Cl DR

               

8.542%, ICE LIBOR USD 3 Month + 3.750%, 07/14/34(A)(C)

    2,000       1,800  

Crown Point CLO 9, Ser 2021-9A, Cl ER

               

11.552%, ICE LIBOR USD 3 Month + 6.760%, 07/14/34(A)(C)

    2,375       2,007  

CVC Cordatus Loan Fund IV, Ser 2021-4X, Cl ERRR

               

8.527%, Euribor 3 Month + 5.860%, 02/22/34(C)

  EUR 1,200       1,069  

CVC Cordatus Loan Fund IV, Ser 2021-4X, Cl FRRR

               

10.727%, Euribor 3 Month + 8.060%, 02/22/34(C)

  EUR 615       495  

CVC Cordatus Loan Fund XVI DAC, Ser 2019-16X, Cl E

               

9.515%, Euribor 3 Month + 6.700%, 06/17/32(C)

  EUR 1,000       947  

CVC Cordatus Loan Fund XX DAC, Ser 2021-20X, Cl E

               

8.502%, Euribor 3 Month + 5.610%, 06/22/34(C)

  EUR 1,000       902  

CVC Cordatus Loan Fund XXII DAC, Ser 2021-22X, Cl F

               

11.737%, Euribor 3 Month + 8.780%, 12/15/34(C)

  EUR 1,700       1,414  

CVC Cordatus Loan Fund XXIV DAC, Ser 2022-24X, Cl E

               

9.405%, Euribor 3 Month + 7.470%, 10/23/34(C)

  EUR 1,500       1,481  

Diameter Capital CLO 3, Ser 2022-3A, Cl D

               

11.458%, TSFR3M + 6.800%, 04/15/37(A)(C)

  $ 2,600     $ 2,249  

Dryden 29 Euro CLO 2013 BV, Ser 2018-29X, Cl ERR

               

7.038%, Euribor 3 Month + 4.750%, 07/15/32(C)

  EUR 911       818  

Dryden 32 Euro CLO 2014 BV, Ser 2018-32X, Cl FR

               

9.924%, Euribor 3 Month + 7.270%, 08/15/31(C)

  EUR 1,250       916  

Dryden 35 EURO CLO 2014 BV, Ser 2020-35X, Cl ER

               

8.658%, Euribor 3 Month + 6.330%, 01/17/33(C)

  EUR 4,200       3,734  

Dryden 69 Euro CLO 2018 DAC, Ser 2021-69X, Cl ER

               

8.704%, Euribor 3 Month + 6.370%, 10/18/34(C)

  EUR 4,700       4,033  

Dryden 73 Euro CLO 2019 BV, Ser 2019-73X, Cl E

               

9.108%, Euribor 3 Month + 6.820%, 01/15/34(C)

  EUR 2,000       1,738  

Dryden 88 Euro CLO 2020 DAC, Ser 2021-88X, Cl E

               

8.352%, Euribor 3 Month + 6.010%, 07/20/34(C)

  EUR 1,500       1,272  

Dryden 91 Euro CLO 2021 DAC, Ser 2022-91X, Cl E

               

9.394%, Euribor 3 Month + 7.060%, 04/18/35(C)

  EUR 1,000       927  

Elevation CLO, Ser 2019-1A, Cl D1R2

               

12.514%, ICE LIBOR USD 3 Month + 7.650%, 08/15/32(A)(C)

    2,210       1,839  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 84

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Euro-Galaxy III CLO DAC, Ser 2021-3X, Cl FRRR

               

10.397%, Euribor 3 Month + 7.980%, 04/24/34(C)

  EUR 500     $ 406  

Euro-Galaxy IV CLO DAC, Ser 2021-4X, Cl DRR

               

5.518%, Euribor 3 Month + 3.050%, 07/30/34(C)

  EUR 1,120       1,033  

Euro-Galaxy IV CLO DAC, Ser 2021-4X, Cl ERR

               

8.538%, Euribor 3 Month + 6.070%, 07/30/34(C)

  EUR 2,250       1,965  

Euro-Galaxy V CLO DAC, Ser 2021-5X, Cl ERR

               

8.474%, Euribor 3 Month + 5.820%, 02/15/34(C)

  EUR 1,350       1,211  

Euro-Galaxy VII CLO DAC, Ser 2021-7X, Cl ER

               

8.649%, Euribor 3 Month + 6.200%, 07/25/35(C)

  EUR 3,000       2,771  

Fidelity Grand Harbour CLO 2019-1 DAC, Ser 2019-1X, Cl E

               

8.967%, Euribor 3 Month + 6.010%, 03/15/32(C)

  EUR 1,000       891  

Fidelity Grand Harbour CLO DAC, Ser 2021-1X, Cl E

               

8.508%, Euribor 3 Month + 6.220%, 10/15/34(C)

  EUR 2,800       2,470  

Franklin Park Place CLO I, Ser 2022-1A, Cl E

               

12.158%, TSFR3M + 7.500%, 04/14/35(A)(C)

    3,160       2,733  

Generate CLO 5, Ser 2018-5A, Cl E

               

10.825%, ICE LIBOR USD 3 Month + 6.010%, 10/22/31(A)(C)

    2,500       2,126  

GoldenTree Loan Management EUR CLO 3 DAC, Ser 2019-3X, Cl E

               

8.252%, Euribor 3 Month + 5.910%, 01/20/32(C)

  EUR 3,550     $ 3,320  

Greywolf CLO II, Ser 2021-1A, Cl DRR

               

11.842%, ICE LIBOR USD 3 Month + 7.050%, 04/15/34(A)(C)

    3,000       2,534  

Greywolf CLO III, Ser 2020-3RA, Cl DR

               

11.834%, TSFR3M + 7.180%, 04/15/33(A)(C)

    5,000       4,350  

Harvest CLO IX DAC, Ser 2017-9X, Cl ER

               

7.774%, Euribor 3 Month + 5.120%, 02/15/30(C)

  EUR 1,000       884  

Harvest CLO XIV DAC, Ser 2015-14X, Cl F

               

9.003%, Euribor 3 Month + 6.300%, 11/18/29(C)

  EUR 3,250       3,013  

Harvest CLO XVI DAC, Ser 2018-16X, Cl ER

               

7.858%, Euribor 3 Month + 5.570%, 10/15/31(C)

  EUR 3,000       2,712  

Harvest CLO XXII DAC, Ser 2019-22X, Cl E

               

8.398%, Euribor 3 Month + 6.110%, 01/15/32(C)

  EUR 1,500       1,338  

Harvest CLO XXIII DAC, Ser 2020-23X, Cl F

               

10.652%, Euribor 3 Month + 8.310%, 10/20/32(C)

  EUR 1,500       1,235  

Hayfin Emerald CLO IV DAC, Ser 2021-4X, Cl DR

               

5.738%, Euribor 3 Month + 3.450%, 10/15/34(C)

  EUR 2,255       2,027  

Hayfin Emerald CLO VIII DAC, Ser 2021-8X, Cl D

               

5.788%, Euribor 3 Month + 3.500%, 01/17/35(C)

  EUR 1,400       1,262  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 85

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Henley CLO III DAC, Ser 2021-3X, Cl DR

               

5.749%, Euribor 3 Month + 3.300%, 12/25/35(C)

  EUR 1,450     $ 1,339  

Henley CLO III DAC, Ser 2021-3X, Cl ER

               

8.739%, Euribor 3 Month + 6.290%, 12/25/35(C)

  EUR 1,050       964  

Henley CLO VI DAC, Ser 2021-6X, Cl E

               

8.559%, Euribor 3 Month + 6.110%, 06/10/34(C)

  EUR 1,000       902  

Holland Park CLO DAC, Ser 2019-1X, Cl DRR

               

9.651%, Euribor 3 Month + 7.030%, 11/14/32(C)

  EUR 2,300       2,094  

ICG Euro CLO DAC, Ser 2021-1X, Cl E

               

8.748%, Euribor 3 Month + 6.460%, 10/15/34(C)

  EUR 2,000       1,760  

ICG Euro CLO DAC, Ser 2021-1X, Cl F

               

11.108%, Euribor 3 Month + 8.820%, 10/15/34(C)

  EUR 1,000       802  

Jamestown CLO XVI, Ser 2021-16A, Cl E

               

11.978%, ICE LIBOR USD 3 Month + 7.160%, 07/25/34(A)(C)

    2,000       1,710  

Jamestown CLO XVII, Ser 2021-17A, Cl E

               

11.908%, ICE LIBOR USD 3 Month + 7.090%, 01/25/35(A)(C)

    4,000       3,599  

KKR CLO 14, Ser 2018-14, Cl ER

               

10.942%, ICE LIBOR USD 3 Month + 6.150%, 07/15/31(A)(C)

    2,000       1,622  

LCM 33, Ser 2021-33A, Cl D

               

8.008%, ICE LIBOR USD 3 Month + 3.200%, 07/20/34(A)(C)

    1,625       1,394  

Madison Park Euro Funding VII BV, Ser 2018-7X, Cl ER

               

7.393%, Euribor 3 Month + 4.700%, 05/25/31(C)

  EUR 1,150     $ 1,023  

Madison Park Euro Funding VIII DAC, Ser 2019-8X, Cl ER

               

9.438%, Euribor 3 Month + 7.150%, 04/15/32(C)

  EUR 2,500       2,304  

Madison Park Euro Funding XI DAC, Ser 2018-11X, Cl E

               

7.514%, Euribor 3 Month + 4.860%, 02/15/31(C)

  EUR 3,650       3,299  

Madison Park Euro Funding XII DAC, Ser 2018-12X, Cl EN

               

7.488%, Euribor 3 Month + 5.200%, 10/15/31(C)

  EUR 151       136  

Madison Park Funding XXXII, Ser 2021-32A, Cl ER

               

11.015%, ICE LIBOR USD 3 Month + 6.200%, 01/22/31(A)(C)

    3,000       2,679  

Man GLG Euro CLO I DAC, Ser 2018-1X, Cl ERR

               

7.138%, Euribor 3 Month + 4.850%, 10/15/30(C)

  EUR 1,500       1,298  

Man GLG Euro CLO II DAC, Ser 2016-2X, Cl F

               

11.038%, Euribor 3 Month + 8.750%, 01/15/30(C)

  EUR 2,000       1,696  

Man GLG Euro CLO V DAC, Ser 2018-5X, Cl E

               

8.817%, Euribor 3 Month + 5.860%, 12/15/31(C)

  EUR 900       820  

Man GLG Euro CLO VI DAC, Ser 2020-6X, Cl E

               

7.678%, Euribor 3 Month + 5.390%, 10/15/32(C)

  EUR 1,300       1,141  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 86

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Marble Point CLO XX, Ser 2021-1A, Cl E

               

11.925%, ICE LIBOR USD 3 Month + 7.110%, 04/23/34(A)(C)

  $ 1,000     $ 869  

Midocean Credit CLO IX, Ser 2018-9A, Cl E

               

10.858%, ICE LIBOR USD 3 Month + 6.050%, 07/20/31(A)(C)

    1,000       789  

MidOcean Credit CLO X, Ser 2021-10A, Cl ER

               

11.975%, ICE LIBOR USD 3 Month + 7.160%, 10/23/34(A)(C)

    3,000       2,440  

Northwoods Capital 20, Ser 2021-20A, Cl ER

               

12.668%, ICE LIBOR USD 3 Month + 7.850%, 01/25/32(A)(C)

    2,438       2,107  

Northwoods Capital 21 Euro DAC, Ser 2021-21X, Cl DR

               

5.643%, Euribor 3 Month + 3.250%, 07/22/34(C)

  EUR 1,375       1,252  

Northwoods Capital 21 Euro DAC, Ser 2021-21X, Cl ER

               

8.453%, Euribor 3 Month + 6.060%, 07/22/34(C)

  EUR 2,300       2,014  

Northwoods Capital 21 Euro DAC, Ser 2021-21X, Cl FR

               

11.023%, Euribor 3 Month + 8.630%, 07/22/34(C)

  EUR 3,230       2,583  

Northwoods Capital 22, Ser 2022-22A, Cl D2R

               

10.556%, TSFR3M + 5.650%, 09/01/31(A)(C)

    1,000       936  

Northwoods Capital 22, Ser 2022-22A, Cl ER

               

13.096%, TSFR3M + 8.190%, 09/01/31(A)(C)

    3,000       2,491  

Northwoods Capital 25, Ser 2021-25A, Cl D

               

8.558%, ICE LIBOR USD 3 Month + 3.750%, 07/20/34(A)(C)

    2,000       1,793  

Northwoods Capital 25, Ser 2021-25A, Cl E

               

11.948%, ICE LIBOR USD 3 Month + 7.140%, 07/20/34(A)(C)

  $ 2,000     $ 1,620  

Northwoods Capital 26 Euro DAC, Ser 2022-26X, Cl E

               

9.858%, Euribor 3 Month + 7.570%, 07/15/35(C)

  EUR 500       483  

Northwoods Capital 27, Ser 2021-27A, Cl E

               

11.870%, ICE LIBOR USD 3 Month + 7.040%, 10/17/34(A)(C)

    1,150       934  

Northwoods Capital XV, Ser 2021-15A, Cl ER

               

12.603%, ICE LIBOR USD 3 Month + 7.640%, 06/20/34(A)(C)

    2,000       1,657  

OAK Hill European Credit Partners V DAC, Ser 2021-5X, Cl DR

               

5.993%, Euribor 3 Month + 3.600%, 01/21/35(C)

  EUR 1,350       1,307  

OAK Hill European Credit Partners V Designated Activity, Ser 2021-5X, Cl ER

               

8.763%, Euribor 3 Month + 6.370%, 01/21/35(C)

  EUR 1,000       885  

OAK Hill European Credit Partners VIII DAC, Ser 2021-8X, Cl E

               

7.998%, Euribor 3 Month + 5.670%, 04/18/35(C)

  EUR 4,455       4,009  

Oaktree CLO 2022-3, Ser 2022-3A, Cl E

               

13.038%, TSFR3M + 8.380%, 07/15/35(A)(C)

    2,000       1,922  

Ocean Trails CLO 8, Ser 2021-8A, Cl DR

               

8.542%, ICE LIBOR USD 3 Month + 3.750%, 07/15/34(A)(C)

    2,000       1,756  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 87

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Ocean Trails CLO 8, Ser 2021-8A, Cl ER

               

12.242%, ICE LIBOR USD 3 Month + 7.450%, 07/15/34(A)(C)

  $ 1,000     $ 840  

Ocean Trails CLO VII, Ser 2019-7A, Cl E

               

11.672%, ICE LIBOR USD 3 Month + 6.880%, 04/17/30(A)(C)

    3,000       2,113  

Ocean Trails CLO XII, Ser 2022-12A, Cl E

               

12.749%, TSFR3M + 8.110%, 07/20/35(A)(C)

    1,500       1,337  

OCP Euro CLO DAC, Ser 2022-5X, Cl D

               

5.692%, Euribor 3 Month + 3.350%, 04/20/35(C)

  EUR 1,300       1,188  

Otranto Park CLO DAC, Ser 2022-1X, Cl E

               

9.704%, Euribor 3 Month + 7.050%, 05/15/35(C)

  EUR 1,785       1,687  

OZLM IX, Ser 2018-9A, Cl DRR

               

10.928%, ICE LIBOR USD 3 Month + 6.120%, 10/20/31(A)(C)

    2,000       1,599  

OZLM VI, Ser 2018-6A, Cl DS

               

10.842%, ICE LIBOR USD 3 Month + 6.050%, 04/17/31(A)(C)

    3,550       2,758  

OZLM XI, Ser 2017-11A, Cl DR

               

11.802%, ICE LIBOR USD 3 Month + 7.000%, 10/30/30(A)(C)

    3,000       2,423  

OZLM XXII, Ser 2018-22A, Cl D

               

10.092%, ICE LIBOR USD 3 Month + 5.300%, 01/17/31(A)(C)

    1,800       1,348  

OZLM XXIV, Ser 2019-24A, Cl D

               

11.858%, ICE LIBOR USD 3 Month + 7.050%, 07/20/32(A)(C)

    4,000       3,106  

Parallel, Ser 2018-1A, Cl C

               

7.608%, ICE LIBOR USD 3 Month + 2.800%, 04/20/31(A)(C)

    2,000       1,593  

Purple Finance CLO 2 DAC, Ser 2019-2X, Cl E

               

8.742%, Euribor 3 Month + 6.400%, 04/20/32(C)

  EUR 2,000     $ 1,807  

Regatta XIV Funding, Ser 2018-3A, Cl E

               

10.768%, ICE LIBOR USD 3 Month + 5.950%, 10/25/31(A)(C)

    3,600       2,886  

Regatta XV Funding, Ser 2018-4A, Cl D

               

11.318%, ICE LIBOR USD 3 Month + 6.500%, 10/25/31(A)(C)

    1,750       1,447  

Rockford Tower Europe CLO 2021-2 DAC, Ser 2021-2X, Cl F

               

11.317%, Euribor 3 Month + 8.900%, 01/24/35(C)

  EUR 1,000       803  

Rockford Tower Europe CLO DAC, Ser 2019-1X, Cl E

               

8.372%, Euribor 3 Month + 6.030%, 01/20/33(C)

  EUR 2,000       1,805  

Rockford Tower Europe CLO DAC, Ser 2021-2X, Cl D

               

5.867%, Euribor 3 Month + 3.450%, 01/24/35(C)

  EUR 1,200       1,094  

Rockford Tower Europe CLO DAC, Ser 2021-2X, Cl E

               

8.637%, Euribor 3 Month + 6.220%, 01/24/35(C)

  EUR 1,500       1,322  

Sculptor CLO XXIX, Ser 2021-29A, Cl D2

               

9.685%, ICE LIBOR USD 3 Month + 4.870%, 10/22/34(A)(C)

    1,010       851  

Sculptor CLO XXVI, Ser 2021-26A, Cl E

               

12.058%, ICE LIBOR USD 3 Month + 7.250%, 07/20/34(A)(C)

    1,000       870  

Sculptor European CLO II DAC, Ser 2021-2X, Cl DR

               

5.888%, Euribor 3 Month + 3.600%, 04/15/34(C)

  EUR 1,000       963  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 88

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Sculptor European CLO II DAC, Ser 2021-2X, Cl ER

               

8.178%, Euribor 3 Month + 5.890%, 04/15/34(C)

  EUR 1,100     $ 1,023  

Sculptor European CLO IX DAC, Ser 2022-9X, Cl D

               

5.604%, Euribor 3 Month + 3.350%, 04/10/34(C)

  EUR 1,400       1,299  

Sculptor European CLO V DAC, Ser 2018-5X, Cl E

               

7.658%, Euribor 3 Month + 5.370%, 01/14/32(C)

  EUR 1,200       1,089  

Sculptor European CLO VI DAC, Ser 2021-6X, Cl DR

               

5.688%, Euribor 3 Month + 3.400%, 10/15/34(C)

  EUR 1,350       1,239  

Sculptor European CLO VII DAC, Ser 2020-7X, Cl F

               

10.668%, Euribor 3 Month + 8.380%, 01/15/34(C)

  EUR 255       215  

Sculptor European CLO VIII DAC, Ser 2021-8X, Cl E

               

8.458%, Euribor 3 Month + 6.170%, 07/17/34(C)

  EUR 2,500       2,242  

Sound Point CLO V-R, Ser 2018-1RA, Cl D

               

7.895%, ICE LIBOR USD 3 Month + 3.100%, 07/18/31(A)(C)

    1,000       864  

Sound Point CLO XXIII, Ser 2021-2A, Cl ER

               

11.262%, ICE LIBOR USD 3 Month + 6.470%, 07/15/34(A)(C)

    4,000       3,146  

St. Paul’s CLO III-R DAC, Ser 2018-3RX, Cl ER

               

6.718%, Euribor 3 Month + 4.430%, 01/15/32(C)

  EUR 5,366       4,364  

St. Paul’s CLO V, Ser 2017-5X, Cl ER

               

7.853%, Euribor 3 Month + 5.150%, 02/20/30(C)

  EUR 1,500       1,349  

St. Paul’s CLO VI DAC, Ser 2021-6X, Cl ERR

               

9.003%, Euribor 3 Month + 6.300%, 05/20/34(C)

  EUR 1,000     $ 904  

St. Paul’s CLO VII DAC, Ser 2021-7X, Cl ERR

               

8.448%, Euribor 3 Month + 6.120%, 07/18/34(C)

  EUR 4,000       3,445  

St. Paul’s CLO VIII DAC, Ser 2017-8X, Cl E

               

6.888%, Euribor 3 Month + 4.600%, 07/17/30(C)

  EUR 2,800       2,469  

St. Paul’s CLO X DAC, Ser 2021-10X, Cl DR

               

6.143%, Euribor 3 Month + 3.750%, 04/22/35(C)

  EUR 250       246  

St. Paul’s CLO X DAC, Ser 2021-10X, Cl ER

               

8.753%, Euribor 3 Month + 6.360%, 04/22/35(C)

  EUR 2,360       2,167  

St. Paul’s CLO XII DAC, Ser 2020-12X, Cl E

               

7.608%, Euribor 3 Month + 5.320%, 04/15/33(C)

  EUR 1,710       1,510  

Tikehau CLO II BV, Ser 2021-2X, Cl ER

               

9.169%, Euribor 3 Month + 6.320%, 09/07/35(C)

  EUR 1,000       901  

Tikehau CLO IV DAC, Ser 2018-4X, Cl E

               

7.618%, Euribor 3 Month + 5.330%, 10/15/31(C)

  EUR 1,000       913  

Tikehau CLO VI DAC, Ser 2021-6X, Cl E

               

8.608%, Euribor 3 Month + 6.320%, 01/15/35(C)

  EUR 1,100       1,024  

Toro European CLO 2 DAC, Ser 2021-2X, Cl DRR

               

5.999%, Euribor 3 Month + 3.550%, 07/25/34(C)

  EUR 2,000       1,895  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 89

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Toro European CLO 2 DAC, Ser 2021-2X, Cl ERR

               

8.919%, Euribor 3 Month + 6.470%, 07/25/34(C)

  EUR 2,000     $ 1,782  

Toro European CLO 3 DAC, Ser 2021-3X, Cl ERR

               

8.588%, Euribor 3 Month + 6.300%, 07/15/34(C)

  EUR 2,000       1,750  

Toro European CLO 5 DAC, Ser 2018-5X, Cl E

               

6.488%, Euribor 3 Month + 4.200%, 10/15/30(C)

  EUR 1,800       1,585  

Toro European CLO 6 DAC, Ser 2019-6X, Cl E

               

8.774%, Euribor 3 Month + 6.490%, 01/12/32(C)

  EUR 1,207       1,075  

Trimaran Cavu, Ser 2019-1A, Cl E

               

11.848%, ICE LIBOR USD 3 Month + 7.040%, 07/20/32(A)(C)

    1,800       1,608  

Trimaran Cavu, Ser 2019-2A, Cl D

               

11.745%, ICE LIBOR USD 3 Month + 6.950%, 11/26/32(A)(C)

    1,750       1,525  

Trimaran Cavu, Ser 2021-2A, Cl E

               

12.018%, ICE LIBOR USD 3 Month + 7.200%, 10/25/34(A)(C)

    2,000       1,761  

Trimaran Cavu, Ser 2021-3A, Cl E

               

12.165%, ICE LIBOR USD 3 Month + 7.370%, 01/18/35(A)(C)

    2,000       1,783  

Trinitas CLO XI, Ser 2021-11A, Cl ER

               

12.062%, ICE LIBOR USD 3 Month + 7.270%, 07/15/34(A)(C)

    1,000       803  

Trinitas CLO XVIII, Ser 2021-18A, Cl E

               

11.858%, ICE LIBOR USD 3 Month + 7.050%, 01/20/35(A)(C)

    4,000       3,500  

Venture 45 CLO, Ser 2022-45A, Cl D1

               

8.639%, TSFR3M + 4.000%, 07/20/35(A)(C)

  $ 3,500     $ 2,918  

Vesey Park CLO DAC, Ser 2020-1X, Cl D

               

9.820%, Euribor 3 Month + 7.160%, 11/16/32(C)

  EUR 2,000       1,934  

VIBR, Ser 2018-8A, Cl D

               

10.558%, ICE LIBOR USD 3 Month + 5.750%, 01/20/31(A)(C)

    2,000       1,434  

Vibrant CLO XIII, Ser 2021-13A, Cl D

               

11.852%, ICE LIBOR USD 3 Month + 7.060%, 07/15/34(A)(C)

    4,000       3,436  

Voya CLO, Ser 2018-3A, Cl DR

               

10.793%, TSFR3M + 6.161%, 10/18/31(A)(C)

    2,500       2,066  

Voya CLO, Ser 2021-1A, Cl D

               

7.942%, ICE LIBOR USD 3 Month + 3.150%, 07/15/34(A)(C)

    1,150       1,042  

Voya Euro CLO II DAC, Ser 2021-2X, Cl DR

               

5.488%, Euribor 3 Month + 3.200%, 07/15/35(C)

  EUR 1,350       1,299  

Voya Euro CLO V DAC, Ser 2021-5X, Cl D

               

5.388%, Euribor 3 Month + 3.100%, 04/15/35(C)

  EUR 1,100       1,033  

Wellfleet CLO, Ser 2021-2A, Cl D

               

8.392%, ICE LIBOR USD 3 Month + 3.600%, 07/15/34(A)(C)

    2,000       1,656  

Wellfleet CLO, Ser 2021-2A, Cl E

               

11.752%, ICE LIBOR USD 3 Month + 6.960%, 07/15/34(A)(C)

    1,000       814  

Wellfleet CLO, Ser 2021-3A, Cl E

               

11.892%, ICE LIBOR USD 3 Month + 7.100%, 01/15/35(A)(C)

    1,500       1,245  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 90

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Wind River CLO, Ser 2021-1KRA, Cl ER2

               

12.142%, ICE LIBOR USD 3 Month + 7.350%, 10/15/34(A)(C)

  $ 2,000     $ 1,652  

Wind River CLO, Ser 2021-1KRA, Cl FR2

               

12.692%, ICE LIBOR USD 3 Month + 7.900%, 10/15/34(A)(C)

    1,000       757  
                         

Total Mortgage-Backed Securities

       

Cost ($411,612)

    350,024  
                         

Non-Listed Business Development Companies [4.4%]

Financials [4.4%]

Golub Capital BDC 3 (I)

    4,982,204       73,537  

Golub Capital BDC 4 (I)

    1,118,455       16,777  

TCW Direct Lending LLC (I)

    10,922,571       10,902  
                         

Total Financials

            101,216  
                         

Total Non-Listed Business Development Companies

       

(Cost $102,407)

            101,216  
                         

Life Settlement Contracts [2.8%](E)(G)

American General Life #508L, Acquired 05/30/2014

    2,595       1,972  

American General Life #542L, Acquired 07/30/2015

    83       504  

American General Life #906L, Acquired 07/30/2015

    479       3,472  

AXA Equitable Life #0474, Acquired 11/04/2013

    7,290       5,548  

AXA Equitable Life #1616, Acquired 05/30/2014

    3,254       1,686  

AXA Equitable Life #1898, Acquired 11/04/2013

    441       1,251  

AXA Equitable Life #7233, Acquired 11/04/2013

    395       1,610  

AXA Equitable Life #7578, Acquired 11/04/2013

    2,104       2,672  

AXA Equitable Life #7857, Acquired 11/04/2013

    2,297       79  

AXA Equitable Life #8538, Acquired 11/04/2013

    1,333       852  

Guardian Insurance #0346, Acquired 11/04/2013

  $ 646     $ 1,661  

Hartford Life #4700, Acquired 11/24/2015

    81       274  

ING Reliastar #4842, Acquired 11/20/2013

    921       1,833  

ING Reliastar #776H, Acquired 05/30/2014

    1,518       936  

John Hancock #0430, Acquired 05/30/2014

    2,418       1,795  

John Hancock #1929, Acquired 05/30/2014

    3,812       1,288  

John Hancock #5072, Acquired 05/30/2014

    1,409       3,734  

John Hancock #5080, Acquired 11/19/2013

    313       3,734  

John Hancock #5885, Acquired 05/30/2014

    894       1,808  

John Hancock #6686, Acquired 05/30/2014

    3,035       1,519  

Lincoln National #4754, Acquired 09/17/2015

    610       3,988  

Lincoln National #5658, Acquired 09/17/2015

    329       1,456  

Lincoln National #7099, Acquired 09/17/2015

    1,254       4,024  

Lincoln National #8558, Acquired 09/17/2015

    1,659       1,916  

Mass Mutual #5681, Acquired 11/05/2013

    288       1,949  

Met Life #8MLU, Acquired 05/20/2014

    1,413       390  

Penn Life #8183, Acquired 10/18/2016

    46       131  

Penn Mutual #3106, Acquired 05/30/2014

    1,294       1,774  

Phoenix Life #5715, Acquired 10/18/2016

    570       2,718  

Phoenix Life #6157, Acquired 10/18/2016

    569       2,764  

Phoenix Life #8499, Acquired 05/30/2014

    756       1,718  

Phoenix Life #8509, Acquired 05/30/2014

    761       1,718  

Principal Financial #6653, Acquired 10/30/2013

    306       843  

Security Mutual Life #5380, Acquired 10/28/2013

    410        

Transamerica #1708, Acquired 10/28/2013

    957       294  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 91

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)

   

Value (000)

 

Transamerica #8205, Acquired 10/28/2013

  $ 714     $  
                         

Total Life Settlement Contracts

       

(Cost $47,254)

            63,911  
                         

Limited Partnerships [2.7%]

Cartesian LP*

    10,000       13,090  

Oberland Capital Healthcare Solutions Co-Invest Offshore LP (I)

    3,319       4,338  

Oberland Capital Healthcare Solutions LP (I)

    3,949       4,054  

Primary Wave Music IP Fund LP (I)

    40,381       40,158  
                         

Total Limited Partnerships

       

(Cost $57,649)

            61,640  
                         

Sovereign Debt [0.5%]

Argentina Paris Club

               

2.910%, 05/30/21

  CHF 2,244       1,595  

Argentine Republic Government International Bond

               

0.500%, 07/09/29

  EUR        

Costa Rica Government International Bond

               

5.625%, 04/30/43

    368       321  

Dominican Republic International Bond

               

4.875%, 09/23/32

    2,700       2,289  

Ghana Government International Bond

               

8.625%, 04/07/34

    578       198  

Ivory Coast Government International Bond

               

6.125%, 06/15/33

    2,600       2,246  

Mexico Government International Bond, MTN

               

6.050%, 01/11/40

    214       217  

Senegal Government International Bond

               

6.250%, 05/23/33

    5,400       4,302  

Sri Lanka Government International Bond

               

7.850%, 03/14/29

    560       196  

7.550%, 03/28/30

    424       148  
                         

Total Sovereign Debt

       

Cost ($13,594)

    11,512  

 

Description

 

Face Amount (000)(1)/Shares

   

Value (000)

 

Common Stock [0.2%]

Cable Satellite [0.0%]

Intelsat Jackson (E)

  $ 2,116     $ 13  
                         

Consumer Cyclical [0.0%]

TruKid *

    232       579  
                         

Diversified Minerals [0.0%]

New World Resources, Cl A *

    44,276,198        
                         

Energy [0.0%]

BlackBrush Oil & Gas, L.P.

    39,375       49  
                         

Financial Services [0.0%]

A’ayan Leasing & Investment KSCP

    976,932       294  
                         

Financials [0.0%]

BCD Acquisition

    1,000,000        

Propco Certificates * (E)

    3,788       40  
                         

Total Financials

            40  
                         

Health Care [0.0%]

Novartex

    180,000       22  
                         

Manufacturing [0.0%]

Vivarte

    6,000       1  
                         

Media Entertainment [0.0%]

iHeartMedia *

    12,136       47  
                         

Oil Field Services [0.1%]

Superior Energy

    20,620       1,361  
                         

Oil, Gas & Consumable Fuels [0.0%]

Summit Midstream Partners *

    11,456       176  
                         

Other [0.0%]

ESC GCBREGS Corp

    4,750,000        
                         

Pharmaceuticals [0.0%]

Mallinckrodt *

    27,018       197  
                         

Retailers [0.0%]

Belk, Inc.

    81       1  

Penney Borrower LLC * (E)

    505       3  
                         

Total Retailers

            4  
                         

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 92

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

Description

 

Face Amount (000)(1)/Shares

   

Value (000)

 

Services [0.0%]

Wayne Services Legacy *

  $ 257     $  
                         

Technology [0.0%]

AS ADV Shares

    127,800       623  

Lumileds *

    4,241       51  
                         

Total Technology

            674  
                         

Utilities [0.1%]

Longview Power LLC

    64,904       779  
                         

Total Common Stock

       

(Cost $5,554)

            4,236  
                         

Convertible Bonds [0.2%]

Cable Satellite [0.0%]

DISH Network

               

3.375%, 08/15/26

    855       441  
                         

Coal Mining [0.0%]

New World Resources

               

4.000%cash/8.000% PIK, 10/07/20(B)

  EUR 380        
                         

E-Commerce/Products [0.0%]

Sea

               

0.250%, 09/15/26

    920       721  
                         

E-Commerce/Services [0.1%]

MercadoLibre

               

2.000%, 08/15/28

    570       1,719  
                         

Hotels and Motels [0.1%]

H World Group

               

3.000%, 05/01/26

    680       912  
                         

Total Convertible Bonds

       

Cost ($4,012)

    3,793  
                         

 

Description

 

Face Amount (000)(1)/
Shares/Number of Warrants

   

Value (000)

 

Preferred Stock [0.0%]

[0.0%]

Blackbrush Oil & Gas, LP

  $ 1,296     $ 826  
                         

Total Preferred Stock

       

(Cost $366)

            826  
                         

Warrants [0.0%]

Altisource,

               

Expires 06/21/23* (H)

    7,176       33  

Toys ‘R’ Us/Hill Street

               

Expires 06/21/23* (H)

    14,795       7  
                         

Total Warrants

       

(Cost $0)

            40  
                         

Short-Term Investment [2.8%]

SEI Daily Income Trust Government Fund, Cl Institutional, 4.570%**

    64,134,413       64,134  
                         

Total Short-Term Investment

       

(Cost $64,134)

            64,134  
                         

Total Investments [96.5%]

(Cost $2,598,832)

          $ 2,231,476  

 

 

 

Percentages are based on net assets of $2,313,585 (000).

 

*

Non-income producing security.

 

**

The rate reported is the 7-day effective yield as of March 31, 2023.

 

(1)

U.S. Dollars unless otherwise indicated.

 

(A)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On March 31, 2023, the value of these securities amounted to $832,943 (000), representing 36.0% of the net assets of the Fund.

 

(B)

In default on interest payments. Rate shown represents the last coupon rate prior to default.

 

(C)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

 

(D)

Zero coupon security.

 

(E)

Level 3 security in accordance with fair value hierarchy.

 

(F)

Unsettled bank loan, Interest rate not available.

 

(G)

Security is considered restricted. The total market value of such securities as of March 31, 2023 was $63,911 (000) and represented 2.76% of the net assets of the Fund.

 

(H)

Strike Price is unavailable.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 93

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

(I)

Unfunded Commitments as of March 31, 2023:

 

Security

 

Value

   

Unfunded
Commitments

   

Redemption
Frequency

   

Redemption
Notice
(Days)

 

Golub Capital BDC 3

  $ 73,537,329     $ 7,125,000       None       None  

Golub Capital BDC 4

    16,776,821       61,973,179       None       None  

Oberland Capital Healthcare Solutions Co-Invest Offshore LP

    4,338,207       16,681,250       None       None  

Oberland Capital Healthcare Solutions LP

    4,054,229       15,715,097       None       None  

Primary Wave Music IP Fund LP

    40,157,799       14,367,315       None       None  

TCW Direct Lending LLC

    10,902,157       18,238,338       None       None  

Total

  $ 149,766,542     $ 134,100,179                  

 

 

CHF — Swiss Franc

 

Cl — Class

 

CLO — Collateralized Loan Obligation

 

CME — Chicago Mercantile Exchange

 

DAC — Designated Activity Company

 

EUR — Euro

 

Euribor — Euro Interbank Offered Rate

 

GBP — British Pound Sterling

 

ICE — Intercontinental Exchange

 

JPY — Japanese Yen

 

JSC — Joint Stock Company

 

LIBOR — London Interbank Offered Rates

 

LLC — Limited Liability Company

 

LP — Limited Partnership

 

LTD — Limited

 

MTN — Medium Term Note

 

PIK — Paid-in Kind

 

PLC — Public Limited Company

 

REIT — Real Estate Investment Trust

 

Ser — Series

 

SOFR — Secured Overnight Financing Rate

 

TSFR3M — Term Secured Overnight Financing Rate 3 Months

 

ULC — Unlimited Liability Company

 

USD — U.S. Dollar

 

At March 31, 2023, the following life settlement contracts are considered restricted securities. The acquisition dates of these investments, the enforceable right to acquire these securities, along with their cost and values at March 31, 2023, were as follows:

 

 

Number
of
Shares

Acquisition
Date

 

Right to
Acquire
Date

 

Cost
(000)

 

Market
Value
(000)

   

% of Net
Assets

 

American General Life #508L

1

5/30/2014

    5/30/2014  

$2,595

  $ 1,972       0.1 %

American General Life #542L

1

7/30/2015

    7/30/2015  

83

    504       0.0 %

American General Life #906L

1

7/30/2015

    7/30/2015  

479

    3,472       0.1 %

AXA Equitable Life #0474

1

11/4/2013

    11/4/2013  

7,290

    5,548       0.2 %

AXA Equitable Life #1616

1

5/30/2014

    5/30/2014  

3,254

    1,686       0.1 %

AXA Equitable Life #1898

1

11/4/2013

    11/4/2013  

441

    1,251       0.0 %

AXA Equitable Life #7233

1

11/4/2013

    11/4/2013  

395

    1,610       0.1 %

AXA Equitable Life #7578

1

11/4/2013

    11/4/2013  

2,104

    2,672       0.1 %

AXA Equitable Life #7857

1

11/4/2013

    11/4/2013  

2,297

    79       0.0 %

AXA Equitable Life #8538

1

11/4/2013

    11/4/2013  

1,333

    852       0.0 %

Guardian Insurance #0346

1

11/4/2013

    11/4/2013  

646

    1,661       0.1 %

Hartford Life #4700

1

11/24/2015

    11/24/2015  

81

    274       0.0 %

ING Reliastar #4842

1

11/20/2013

    11/20/2013  

921

    1,833       0.1 %

ING Reliastar #776H

1

5/30/2014

    5/30/2014  

1,518

    936       0.0 %

John Hancock #0430

1

5/30/2014

    5/30/2014  

2,418

    1,795       0.1 %

John Hancock #1929

1

5/30/2014

    5/30/2014  

3,812

    1,288       0.1 %

John Hancock #5072

1

5/30/2014

    5/30/2014  

1,409

    3,734       0.1 %

John Hancock #5080

1

11/19/2013

    11/19/2013  

313

    3,734       0.2 %

John Hancock #5885

1

5/30/2014

    5/30/2014  

894

    1,808       0.1 %

John Hancock #6686

1

5/30/2014

    5/30/2014  

3,035

    1,519       0.1 %

Lincoln National #4754

1

9/17/2015

    9/17/2015  

610

    3,988       0.2 %

Lincoln National #5658

1

9/17/2015

    9/17/2015  

329

    1,456       0.1 %

Lincoln National #7099

1

9/17/2015

    9/17/2015  

1,254

    4,024       0.2 %

Lincoln National #8558

1

9/17/2015

    9/17/2015  

1,659

    1,916       0.1 %

Mass Mutual #5681

1

11/5/2013

    11/5/2013  

288

    1,949       0.1 %

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 94

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (continued)

 

 

 

Number
of
Shares

Acquisition
Date

 

Right to
Acquire
Date

 

Cost
(000)

 

Market
Value
(000)

   

% of Net
Assets

 

Met Life #8MLU

1

5/20/2014

    5/20/2014  

$ 1,413

  $ 390       0.0 %

Penn Life #8183

1

10/18/2016

    10/18/2016  

46

    131       0.0 %

Penn Mutual #3106

1

5/30/2014

    5/30/2014  

1,294

    1,774       0.1 %

Phoenix Life #5715

1

10/18/2016

    10/18/2016  

570

    2,718       0.1 %

Phoenix Life #6157

1

10/18/2016

    10/18/2016  

569

    2,764       0.1 %

Phoenix Life #8499

1

5/30/2014

    5/30/2014  

756

    1,718       0.1 %

Phoenix Life #8509

1

5/30/2014

    5/30/2014  

761

    1,718       0.1 %

Principal Financial #6653

1

10/30/2013

    10/30/2013  

306

    843       0.0 %

Security Mutual Life #5380

1

10/28/2013

    10/28/2013  

410

          0.0 %

Transamerica #1708

1

10/28/2013

    10/28/2013  

957

    294       0.0 %

Transamerica #8205

1

10/28/2013

    10/28/2013  

714

          0.0 %
             

$ 47,254

  $ 63,911       2.8 %

 

 

 

A list of the open forward foreign currency contracts held by the Fund at March 31, 2023, is as follows:

 

Counterparty

Settlement
Date

Currency to
Deliver
(000)

Currency to
Receive
(000)

 

Unrealized
Appreciation
(Depreciation)
(000)

 

BNP Paribas

05/19/23

EUR

    2,278  

USD

    2,446     $ (31 )

State Street

05/19/23

USD

    2,426  

EUR

    2,278       51  

U.S. Bank

04/12/23 - 04/17/23

USD

    223,389  

EUR

    207,975       2,264  

U.S. Bank

04/12/23

EUR

    6,740  

USD

    7,358       45  

U.S. Bank

04/12/23 - 05/12/23

EUR

    555,315  

USD

    593,382       (9,545 )

U.S. Bank

04/17/23

USD

    184  

GBP

    150       1  

U.S. Bank

04/17/23

GBP

    15,970  

USD

    19,301       (404 )
                          $ (7,619 )

 

A list of the open futures contracts held by the Fund at March 31, 2023, is as follows:

 

Type of
Contract

 

Number of
Contracts

   

Expiration
Date

   

Notional
Amount
(000)

   

Value
(000)

   

Unrealized
Depreciation
(000)

 

Short Contracts

                                       

U.S. 10-Year Treasury Note

    (410 )     Jun-2023     $ (45,804 )   $ (47,118 )   $ (1,314 )

 

 

The following is a summary of the inputs used as of March 31, 2023 in valuing the Fund’s investments and other financial instruments carried at value (000):

 

Investments in Securities

 

Level 1

   

Level 2

   

Level 3

   

Total

 

Corporate Bonds

  $     $ 1,194,850     $ 9     $ 1,194,859  

Loan Participations

          374,627       658       375,285  

Mortgage-Backed Securities

          350,024             350,024  

Non-Listed Business Development Companies

    101,216                   101,216  

Life Settlement Contracts

                63,911       63,911  

Limited Partnerships

    48,550       13,090             61,640  

Sovereign Debt

          11,512             11,512  

Common Stock

    3,301       879       56       4,236  

Convertible Bonds

          3,793             3,793  

Preferred Stock

          826             826  

Warrants

          40             40  

Short-Term Investment

    64,134                   64,134  

Total Investments in Securities

  $ 217,201     $ 1,949,641     $ 64,634     $ 2,231,476  

 

Other Financial Instruments

 

Level 1

   

Level 2

   

Level 3

   

Total

 

Forwards Contracts*

                               

Unrealized Appreciation

  $     $ 2,361     $     $ 2,361  

Unrealized Depreciation

          (9,980 )           (9,980 )

Futures Contracts*

                               

Unrealized Depreciation

    (1,314 )                 (1,314 )

Total Other Financial Instruments

  $ (1,314 )   $ (7,619 )   $     $ (8,933 )

 

* Forward contracts and futures contracts are valued at the unrealized appreciation (depreciation) on the instrument.

 

(1) Of the $64,634 (000) in Level 3 securities as of March 31, 2023, $63,911 (000) or 98.88% are not valued via third party pricing vendors and broker quotes. If significant, the disclosure of the unobservable inputs and the interrelationships and sensitivity between these inputs is required for those Level 3 securities that are not valued by third party vendors or broker quotes.

 

The following is a reconciliation of investments in which significant unobservable inputs (Level 3) were used in determining value as of March 31, 2023:

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 95

 

 

 

consolidated schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Fixed Income Opportunities Fund (concluded)

 

 

   

Investments in
Corporate Bonds

   

Investments
in Loan
Participations

   

Investments in
Life Settlement
Contracts

 

Beginning balance as of October 1, 2022

  $ 14     $ 3,131     $ 72,359  

Accrued discounts/ premiums

                 

Realized gain/(loss)

                 

Change in unrealized appreciation/(depreciation)

    (5 )     (2,473 )     (8,448 )

Purchases

                 

Sales/paydowns

                 

Transfers into Level 3

                 

Transfers out of Level 3

                 

Ending balance as of March 31, 2023

  $ 9     $ 658     $ 63,911  

Changes in unrealized gains/(losses) included in earnings related to securities still held at reporting date

  $ (4 )   $ 1,815     $ (55,463 )

 

   

Investments in
Common Stock

   

Total

 

Beginning balance as of October 1, 2022

  $ 66     $ 75,570  

Accrued discounts/ premiums

           

Realized gain/(loss)

           

Change in unrealized appreciation/(depreciation)

    (10 )     (10,936 )

Purchases

           

Sales/paydowns

           

Transfers into Level 3

           

Transfers out of Level 3

           

Ending balance as of March 31, 2023

  $ 56     $ 64,634  

Changes in unrealized gains/(losses) included in earnings related to securities still held at reporting date

  $ (46 )   $ (53,698 )

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

The following table summarizes the quantitative inputs and assumptions used for items categorized as material Level 3 investments as of March 31, 2023. The disclosures below also include qualitative information on the sensitivity of the fair value measurements to changes in the significant unobservable inputs.

 

 

Fair Value at
March 31, 2023
(000)

Valuation Techniques

 

Life Settlement Contracts

$63,911

Discounted Cash Flow Model

 
       
   

Observable Inputs

 
   

Maturity Value

 
       
   

Unobservable Inputs

Range

   

Discount Rate

13.63%

   

Expected Maturity (months)

16-102 months

 

The unobservable inputs used to determine fair value of recurring Level 3 assets may have similar or diverging impacts on valuation. Significant increases and decreases in these inputs in isolation and interrelationships between those inputs could result in significantly higher or lower fair value measurement. Increases in projected collection rates in isolation would result in a higher fair value measurement, while increases in expected discount rates, projected default rates, and maturities of life settlement contracts, in isolation, would result in a lower fair value measurement.

 

For the period ended March 31, 2023, there have been no transfers between any of the fair value hierarchy levels. Transfers between Levels are recognized at period end.

 

For the period ended March 31, 2023, the Fund had the following investments in life settlement contracts:

 

Projected Year of
Maturity

 

Number of
Contracts

   

Fair Value (000)

   

Face Value (Death
Benefits) (000)

 

2024

    1     $ 1,774     $ 2,250  

2025

    3       8,923       16,500  

2026

    5       5,555       21,500  

2027

    15       29,978       117,500  

Thereafter

    12       17,681       71,842  
      36     $ 63,911     $ 229,592  

 

For the period ended March 31, 2023, the net change to fair value on life settlement contracts, net of premiums paid and continuing costs disclosed in the Fund’s Consolidated Statement of Operations, as part of the unrealized appreciation/(depreciation) on investments, consisted of a net positive change to fair value on life settlement contracts of $21,304,921, offset by $10,141,755 in premiums paid and continuing costs associated with its investment in the policies. For the period ended March 31, 2023, the Fund realized losses of $20,839,393 on matured life settlement contracts, which are disclosed in the Consolidated Statement of Operations, as part of the realized gain/(loss) on investments.

 

For more information on valuation inputs, see Note 2 -- Significant Accounting Policies in the Notes to Financial Statements.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 96

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Equity Income Fund

 

 

 

 

Description

 

Shares

   

Value (000)

 

Common Stock [98.3%]

Communication Services [8.1%]

AT&T

    275,100     $ 5,296  

BCE

    82,600       3,699  

Interpublic Group

    98,100       3,653  

Verizon Communications

    96,700       3,761  
                         

Total Communication Services

    16,409  
                         

Consumer Discretionary [4.6%]

Ford Motor

    169,900       2,141  

Genuine Parts

    25,400       4,250  

Newell Brands

    66,100       822  

Wendy’s

    93,200       2,030  
                         

Total Consumer Discretionary

    9,243  
                         

Consumer Staples [11.0%]

Altria Group

    103,150       4,603  

Coca-Cola

    73,800       4,578  

General Mills

    55,000       4,700  

Philip Morris International

    43,300       4,211  

Procter & Gamble

    27,100       4,030  
                         

Total Consumer Staples

    22,122  
                         

Energy [7.3%]

Chevron

    34,900       5,695  

Marathon Petroleum

    31,100       4,193  

Williams

    164,300     $ 4,906  
                         

Total Energy

    14,794  
                         

Financials [23.0%]

Ares Capital

    267,000       4,879  

Cincinnati Financial

    42,600       4,775  

Citizens Financial Group

    123,300       3,745  

Eversource Energy

    52,300       4,093  

Fifth Third Bancorp

    114,300       3,045  

First Horizon

    265,400       4,719  

Franklin Resources

    63,200       1,703  

Hartford Financial Services Group

    60,900       4,244  

KeyCorp

    301,600       3,776  

MetLife

    71,900       4,166  

Principal Financial Group

    62,800       4,667  

US Bancorp

    79,100       2,851  
                         

Total Financials

    46,663  
                         

Health Care [5.1%]

AbbVie

    20,200       3,219  

Merck

    47,200       5,022  

Pfizer

    52,800       2,154  
                         

Total Health Care

    10,395  
                         

Industrials [4.1%]

Emerson Electric

    51,600       4,496  

Lockheed Martin

    8,100       3,829  
                         

Total Industrials

    8,325  
                         

Information Technology [4.1%]

Cisco Systems

    74,000       3,868  

IBM

    34,500       4,523  
                         

Total Information Technology

    8,391  
                         

Materials [6.3%]

International Paper

    141,000       5,085  

LyondellBasell Industries, Cl A

    44,000       4,131  

Sonoco Products

    60,450       3,687  
                         

Total Materials

    12,903  
                         

REITs [6.1%]

Crown Castle

    17,200       2,302  

Mid-America Apartment Communities

    9,700       1,465  

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 97

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale Equity Income Fund (concluded)

 

 

Description

 

Shares

   

Value (000)

 

National Retail Properties

    109,300     $ 4,826  

Prologis

    21,500       2,682  

Simon Property Group

    10,500       1,176  
                         

Total REITs

    12,451  
                         

Utilities [18.6%]

American Electric Power

    73,200       6,661  

Avangrid

    71,700       2,859  

Dominion Energy

    79,400       4,439  

Duke Energy

    63,200       6,097  

Entergy

    48,100       5,182  

FirstEnergy

    96,700       3,874  

NextEra Energy Partners

    43,100       2,618  

NiSource

    80,800       2,259  

Sempra Energy

    24,000       3,628  
                         

Total Utilities

    37,617  
                         

Total Common Stock

(Cost $177,043)

    199,313  
                         

Short-Term Investment [1.4%]

SEI Daily Income Trust Government Fund, Cl Institutional, 4.485%**

    2,844,363       2,844  
                         

Total Short-Term Investment

(Cost $2,844)

    2,844  
                         

Total Investments [99.7%]

(Cost $179,887)

  $ 202,157  
                         

 

Percentages are based on Net Assets of $202,799 (000).

 

**

The rate reported is the 7-day effective yield as of March 31, 2023.

 

Cl — Class

 

REIT — Real Estate Investment Trust

 

As of March 31, 2023, all of the Fund’s investments are Level 1, in accordance with the authoritative guidance on fair value measurements and disclosure under U.S.

 

GAAP.

 

For more information on valuation inputs, see Note 2 -- Significant Accounting

 

Policies in the Notes to Financial Statements.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 98

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale U.S. Core Equity Fund

 

 

 

 

Description

 

Shares

   

Value (000)

 

Common Stock [98.7%]

Aerospace & Defense [1.5%]

Northrop Grumman

    12,000     $ 5,541  
                         

Banks [3.2%]

Bank of America

    106,559       3,048  

JPMorgan Chase

    68,000       8,861  
                         

Total Banks

    11,909  
                         

Beverages [4.1%]

Anheuser-Busch InBev ADR

    122,590       8,180  

PepsiCo

    38,600       7,037  
                         

Total Beverages

    15,217  
                         

Biotechnology [2.8%]

Gilead Sciences

    89,000       7,384  

Vertex Pharmaceuticals *

    9,500       2,993  
                         

Total Biotechnology

    10,377  
                         

Broadline Retail [2.6%]

Amazon.Com *

    93,500       9,658  
                         

Capital Markets [1.9%]

CME Group, Cl A

    19,500       3,735  

S&P Global

    9,430       3,251  
                         

Total Capital Markets

    6,986  
                         

Chemicals [0.5%]

Linde

    5,450       1,937  
                         

Commercial Services & Supplies [2.6%]

Cintas

    20,850     $ 9,647  
                         

Construction & Engineering [1.5%]

Quanta Services

    33,800       5,632  
                         

Consumer Finance [0.5%]

American Express

    12,259       2,022  
                         

Consumer Staples Distribution & Retail [4.7%]

Costco Wholesale

    21,000       10,434  

Walmart

    46,000       6,783  
                         

Total Consumer Staples Distribution & Retail

    17,217  
                         

Electric Utilities [1.7%]

NextEra Energy

    80,000       6,166  
                         

Entertainment [1.8%]

Walt Disney *

    66,010       6,610  
                         

Financial Services [6.9%]

Berkshire Hathaway, Cl B *

    21,400       6,608  

Mastercard, Cl A

    25,850       9,394  

Visa, Cl A

    42,100       9,492  
                         

Total Financial Services

    25,494  
                         

Ground Transportation [0.7%]

Old Dominion Freight Line

    7,900       2,693  
                         

Health Care Equipment & Supplies [2.9%]

Becton Dickinson

    24,000       5,941  

Edwards Lifesciences *

    57,000       4,716  
                         

Total Health Care Equipment & Supplies

    10,657  
                         

Health Care Providers & Services [5.1%]

HCA Healthcare

    18,000       4,746  

UnitedHealth Group

    30,000       14,178  
                         

Total Health Care Providers & Services

    18,924  
                         

Hotels, Restaurants & Leisure [4.2%]

McDonald’s

    33,000       9,227  

Starbucks

    59,000       6,144  
                         

Total Hotels, Restaurants & Leisure

    15,371  
                         

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 99

 

 

 

schedule of investments

March 31, 2023 (Unaudited)

City National Rochdale U.S. Core Equity Fund (concluded)

 

 

Description

 

Shares

   

Value (000)

 

Insurance [1.3%]

Aon, Cl A

    6,500     $ 2,049  

Chubb

    13,500       2,622  
                         

Total Insurance

    4,671  
                         

Interactive Media & Services [3.0%]

Alphabet, Cl A *

    108,150       11,218  
                         

IT Services [1.6%]

Accenture, Cl A

    21,200       6,059  
                         

Life Sciences Tools & Services [4.8%]

Danaher

    31,000       7,813  

Thermo Fisher Scientific

    17,000       9,798  
                         

Total Life Sciences Tools & Services

    17,611  
                         

Machinery [2.7%]

Parker-Hannifin

    5,150       1,731  

Trane Technologies

    44,000       8,095  
                         

Total Machinery

    9,826  
                         

Media [1.7%]

Comcast, Cl A

    165,000       6,255  
                         

Oil, Gas & Consumable Fuels [2.9%]

EOG Resources

    49,000       5,617  

ExxonMobil

    17,000       1,864  

Occidental Petroleum

    28,600       1,786  

Pioneer Natural Resources

    6,601       1,348  
                         

Total Oil, Gas & Consumable Fuels

    10,615  
                         

Pharmaceuticals [0.8%]

Zoetis, Cl A

    19,000       3,162  
                         

Semiconductors & Semiconductor Equipment [5.6%]

ASML Holding, Cl G

    18,100       12,321  

NXP Semiconductors

    44,800       8,354  
                         

Total Semiconductors & Semiconductor Equipment

    20,675  
                         

Software [9.7%]

Adobe *

    20,000       7,707  

Microsoft

    87,000       25,082  

Roper Technologies

    7,000     $ 3,085  
                         

Total Software

    35,874  
                         

Specialized REITs [1.1%]

Equinix

    5,600       4,038  
                         

Specialty Retail [4.3%]

Home Depot

    40,000       11,805  

TJX

    50,922       3,990  
                         

Total Specialty Retail

    15,795  
                         

Technology Hardware, Storage & Peripherals [6.6%]

Apple

    148,000       24,405  
                         

Water Utilities [1.3%]

American Water Works

    32,000       4,688  
                         

Wireless Telecommunication Services [2.1%]

T-Mobile US *

    55,000       7,966  
                         

Total Common Stock

(Cost $187,028)

    364,916  
                         

Short-Term Investment [1.2%]

SEI Daily Income Trust Government Fund, Cl Institutional, 4.485%**

    4,330,250       4,330  
                         

Total Short-Term Investment

(Cost $4,330)

    4,330  
                         

Total Investments [99.9%]

(Cost $191,358)

  $ 369,246  
                         

 

 

 

Percentages are based on Net Assets of $369,793 (000).

 

*

Non-income producing security.

 

**

The rate reported is the 7-day effective yield as of March 31, 2023.

 

ADR — American Depository Receipts

 

Cl — Class

 

REIT — Real Estate Investment Trust

 

As of March 31, 2023, all of the Fund’s investments are Level 1, in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. GAAP.

 

For more information on valuation inputs, see Note 2 -- Significant Accounting

 

Policies in the Notes to Financial Statements.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 100

 

 

 

statements of assets and liabilities (000)

March 31, 2023 (Unaudited)

 

 

 

 

City National
Rochdale
Government Money
Market Fund

   

City National
Rochdale
Government
Bond Fund

   

City National
Rochdale Corporate
Bond Fund

   

City National
Rochdale California
Tax Exempt
Bond Fund

 

ASSETS:

                               

Cost of securities (including repurchase agreements)

  $ 5,782,481     $ 18,950     $ 109,109     $ 44,227  

Investments in securities, at value

  $ 5,782,481     $ 18,085     $ 99,337     $ 44,225  

Affiliated Investments, at value

                2,951        

Cash

          5              

Dividend and interest receivable

    5,749       72       887       543  

Receivable for investment securities sold

                      501  

Receivable for capital shares sold

    40,241             49       129  

Foreign tax reclaim receivable

                2        

Receivable due from investment adviser

          12             8  

Prepaid expenses

    147       4       6       5  

Total Assets

  $ 5,828,618     $ 18,178     $ 103,232     $ 45,411  
                                 

LIABILITIES:

                               

Payable for income distributions

    16,592       13       120       56  

Payable for capital shares redeemed

    149,030       43       103       12  

Payable to Custodian

                      4  

Investment advisory fees payable

    158             19        

Shareholder servicing and distribution fees payable

    1,405       4       22       9  

Administrative fees payable

    80       15       16       15  

Trustee fees payable

                2        

Accrued expenses

    263       2       7       19  

Total Liabilities

    167,528       77       289       115  

Net Assets

  $ 5,661,090     $ 18,101     $ 102,943     $ 45,296  
                                 

NET ASSETS:

                               

Paid-in Capital (unlimited authorization — $0.01 par value)

  $ 5,661,072     $ 19,491     $ 109,903     $ 47,496  

Total distributable earnings/(loss)

    18       (1,390 )     (6,960 )     (2,200 )

Net Assets

  $ 5,661,090     $ 18,101     $ 102,943     $ 45,296  
                                 

Class N Shares:

                               

Net Assets

  $ 450,652     $ 1,746     $ 7,974     $ 4,011  

Total shares outstanding at end of year

    450,639       172       813       393  

Net asset value, offering and redemption price per share (net assets ÷ shares outstanding)

  $ 1.00     $ 10.13 *   $ 9.81     $ 10.20 *
                                 

Class S Shares:

                               

Net Assets

  $ 743,594     $     $     $  

Total shares outstanding at end of year

    743,586                    

Net asset value, offering and redemption price per share (net assets ÷ shares outstanding)

  $ 1.00     $ 0.00     $ 0.00     $ 0.00  
                                 

Servicing Class Shares:

                               

Net Assets

  $ 4,466,844     $ 16,355     $ 94,970     $ 41,285  

Total shares outstanding at end of year

    4,466,850       1,617       9,697       4,063  

Net asset value, offering and redemption price per share (net assets ÷ shares outstanding)

  $ 1.00     $ 10.11     $ 9.79     $ 10.16  

 

*

NAV per share as of March 31, 2023 does not calculate to the stated NAV per share due to rounding of net assets and shares.
Amounts designated as “—” are either $0 or have been rounded to $0.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 101

 

 

 

statements of assets and liabilities (000)/
consolidated statement of assets and liabilities (000)

March 31, 2023 (Unaudited)

 

 

   

City National
Rochdale Municipal
High Income Fund

   

City National
Rochdale
Intermediate Fixed
Income Fund

   

City National
Rochdale
Fixed Income
Opportunities Fund
(Consolidated)

 

ASSETS:

                       

Cost of securities (including affiliated investments and repurchase agreements)

  $ 1,277,254     $ 60,274     $ 2,598,832  

Investments in securities, at value

  $ 1,178,590     $ 52,167     $ 2,231,476  

Affilliated investments, at value

          2,397        

Cash

    7,079       16       1,305  

Foreign currency(1)

                3,046  

Dividend and interest receivable

    17,131       346       29,934  

Foreign tax reclaim receivable

          30       459  

Receivable for capital shares sold

    3,826       240       2,271  

Receivable for investment securities sold

    4,693             115,427  

Variation margin receivable

                 

Unrealized gain on forward foreign currency contracts

                2,361  

Cash collateral for forward foreign currency contracts

                923  

Prepaid expenses

    43       5       86  

Total Assets

  $ 1,211,362     $ 55,201     $ 2,387,288  
                         

LIABILITIES:

                       

Payable for line of credit

                35,974  

Payable for investment securities purchased

    4,537             24,256  

Payable for income distributions

    2,565              

Payable for capital shares redeemed

    373       6       839  

Unrealized loss on forward foreign currency contracts

                9,980  

Investment advisory fees payable

    511       2       979  

Shareholder servicing and distribution fees payable

    399       23       996  

Variation margin payable

                141  

Administrative fees payable

    32       15       49  

Accrued expenses

    132       5       489  

Total Liabilities

    8,549       51       73,703  

Net Assets

  $ 1,202,813     $ 55,150     $ 2,313,585  
                         

NET ASSETS:

                       

Paid-in Capital (unlimited authorization — $0.01 par value)

  $ 1,490,892     $ 61,447     $ 3,479,387  

Total distributable earnings/(loss)

    (288,079 )     (6,297 )     (1,165,802 )

Net Assets

  $ 1,202,813     $ 55,150     $ 2,313,585  
                         

Institutional Class Shares:

                       

Net Assets

  $     $ 1,261     $  

Total shares outstanding at end of year

          53        

Net asset value, offering and redemption price per share (net assets ÷ shares outstanding)

  $       23.82 *   $  
                         

Class N Shares:

                       

Net Assets

  $ 679,771     $ 53,889     $ 2,313,585  

Total shares outstanding at end of year

    74,258       2,258       123,132  

Net asset value, offering and redemption price per share (net assets ÷ shares outstanding)

  $ 9.15     $ 23.86 *   $ 18.79  
                         

Servicing Class Shares:

                       

Net Assets

  $ 523,042     $     $  

Total shares outstanding at end of year

    57,107              

Net asset value, offering and redemption price per share (net assets ÷ shares outstanding)

  $ 9.16     $     $  

 

*

NAV per share as of March 31, 2023 does not calculate to the stated NAV per share due to rounding of net assets and shares.

 

(1) Cost of foreign currency $3,040 (000).

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 102

 

 

 

statements of assets and liabilities (000)

March 31, 2023 (Unaudited)

 

 

   

City National
Rochdale Equity
Income Fund

   

City National
Rochdale U.S.
Core Equity Fund

 

ASSETS:

               

Cost of securities

  $ 179,887     $ 191,358  

Investments in securities, at value

  $ 202,157     $ 369,246  

Cash

          325  

Dividend and interest receivable

    556       85  

Receivable for capital shares sold

    307       463  

Foreign tax reclaim receivable

    70       24  

Prepaid expenses

    10       14  

Total Assets

  $ 203,100     $ 370,157  
                 

LIABILITIES:

               

Shareholder servicing and distribution fees payable

  $ 86     $ 118  

Investment advisory fees payable

    75       121  

Payable for capital shares redeemed

    107       80  

Administrative fees payable

    17       20  

Accrued expenses

    16       25  

Total Liabilities

    301       364  

Net Assets

  $ 202,799     $ 369,793  
                 

NET ASSETS:

               

Paid-in Capital (unlimited authorization — $0.01 par value)

  $ 171,563     $ 173,700  

Total distributable earnings

    31,236       196,093  

Net Assets

  $ 202,799     $ 369,793  
                 

Institutional Class Shares:

               

Net Assets

  $     $ 170  

Total shares outstanding at end of year

          7  

Net asset value, offering and redemption price per share (net assets ÷ shares outstanding)

  $     $ 23.38 *
                 

Class N Shares:

               

Net Assets

  $ 202,799     $ 208,073  

Total shares outstanding at end of year

    6,034       8,990  

Net asset value, offering and redemption price per share (net assets ÷ shares outstanding)

  $ 33.61     $ 23.14  
                 

Servicing Class Shares:

               

Net Assets

  $     $ 161,550  

Total shares outstanding at end of year

          6,957  

Net asset value, offering and redemption price per share (net assets ÷ shares outstanding)

  $     $ 23.22  

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

*

NAV per share as of March 31, 2023 does not calculate to the stated NAV per share due to rounding of net assets and shares.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 103

 

 

 

Statements of Operations/Consolidated Statement of Operations

 

statements of operations (000)

For the six months ended March 31, 2023 (Unaudited)

 

 

   

City National
Rochdale
Government Money
Market Fund

   

City National
Rochdale
Government
Bond Fund

   

City National
Rochdale Corporate
Bond Fund

   

City National
Rochdale California
Tax Exempt
Bond Fund

 

INVESTMENT INCOME:

                               

Dividend Income

  $     $ 18     $ 45     $  

Dividend Income from Affiliated Investments

                162        

Interest Income

    99,369       144       1,054       532  

Total Investment Income

    99,369       162       1,261       532  
                                 

EXPENSES:

                               

Investment Advisory Fees

    6,426       42       203       60  

Shareholder Servicing Fees — Class N(1)

    1,031       5       21       12  

Shareholder Servicing Fees — Class S(1)

    2,829                    

Shareholder Servicing Fees — Servicing Class

    4,700       22       116       50  

Administration Fees

    495       91       98       93  

Transfer Agent Fees

    155       1       3       1  

Trustee Fees

    136       25       27       26  

Professional Fees

    291       6       11       8  

Custody Fees

    89             2       1  

Registration Fees

    72             2       1  

Printing Fees

    71             1       1  

Insurance and Other Expenses

    201       6       10       8  

Total Expenses

    16,496       198       494       261  

Less, Waivers of:

                               

Investment Advisory Fees

    (5,437 )     (42 )     (97 )     (60 )

Reimbursement of Expenses from Investment Advisor

          (77 )           (54 )

Net Expenses

    11,059       79       397       147  
                                 

Net Investment Income

    88,310       83       864       385  

Net Realized Gain (Loss):

                               

Investments

    8       (21 )     (169 )     (702 )

Net Change in Unrealized Appreciation (Depreciation) on:

                               

Investments

          544       2,554       2,239  

Net Increase (Decrease) in Net Assets Resulting from Operations

  $ 88,318     $ 606     $ 3,249     $ 1,922  

 

(1)

Includes class specific distribution expenses.

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 104

 

 

 

statements of operations (000)/
consolidated statement of operations (000)

For the six months ended March 31, 2023 (Unaudited)

 

 

   

City National
Rochdale Municipal
High Income Fund

   

City National
Rochdale
Intermediate Fixed
Income Fund

   

City National
Rochdale
Fixed Income
Opportunities Fund
(Consolidated)

 

INVESTMENT INCOME:

                       

Dividend Income

  $ 404     $ 24     $ 3,954  

Dividend Income from Affiliated Investments

          131        

Interest Income

    33,470       603       102,525  

Total Investment Income

    33,874       758       106,479  
                         

EXPENSES:

                       

Investment Advisory Fees

    3,299       123       6,536  

Shareholder Servicing Fees — Class N(1)

    1,876       149       6,536  

Shareholder Servicing Fees — Servicing Class

    711              

Administration Fees

    199       94       345  

Transfer Agent Fees

    41       2       79  

Trustee Fees

    55       26       77  

Professional Fees

    84       9       231  

Custody Fees

    30       1       144  

Registration Fees

    26       1       51  

Printing Fees

    18       1       35  

Insurance and Other Expenses

    97       10       322  

Total Expenses

    6,436       416       14,356  

Less, Waivers of:

                       

Investment Advisory Fees

          (109 )     (29 )

Net Expenses

    6,436       307       14,327  
                         

Net Investment Income

    27,438       451       92,152  

Net Realized Gain (Loss) from:

                       

Securities Transactions

    (44,920 )     (779 )     (315,913 )

Futures Contracts

                1,520  

Forward Foreign Currency Contracts

                (20,884 )

Foreign Currency Transactions

                (240 )

Net Change in Unrealized Appreciation (Depreciation) on:

                       

Investments

    74,399       2,334       437,924  

Affiliated Investments

          (24 )      

Forward Foreign Currency Contracts

                (18,141 )

Foreign Currency Translations

                (556 )

Futures Contracts

                (2,608 )

Net Increase (Decrease) in Net Assets Resulting from Operations

  $ 56,917     $ 1,982     $ 173,254  

 

(1) Commenced operations on May 14, 2019.

 

(1) Includes class specific distribution expenses.

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 105

 

 

 

statements of operations (000)

For the six months ended March 31, 2023 (Unaudited)

 

 

   

City National
Rochdale Equity
Income Fund

   

City National
Rochdale U.S.
Core Equity Fund

 

INVESTMENT INCOME:

               

Dividend Income

  $ 4,353     $ 2,720  

Less: Foreign Taxes Withheld

    (5 )     (12 )

Total Investment Income

    4,348       2,708  
                 

EXPENSES:

               

Investment Advisory Fees

    541       710  

Shareholder Servicing Fees — Class N(1)

    541       497  

Shareholder Servicing Fees — Servicing Class

          195  

Administration Fees

    107       119  

Trustee Fees

    29       32  

Professional Fees

    18       26  

Transfer Agent Fees

    7       11  

Custody Fees

    4       7  

Registration Fees

    3       6  

Printing Fees

    3       5  

Insurance and Other Expenses

    15       18  

Total Expenses

    1,268       1,626  

Less, Waivers of:

               

Investment Advisory Fees

    119        

Net Expenses

    1,387       1,626  
                 

Net Investment Income (Loss)

    2,961       1,082  

Net Realized Loss from:

               

Securities Transactions

    8,927       17,729  

Net Change in Unrealized Appreciation (Depreciation) on:

               

Investments

    6,041       32,123  

Net Increase (Decrease) in Net Assets Resulting from Operations

  $ 17,929     $ 50,934  

 

(1)

Includes class specific distribution expenses.

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 106

 

 

 

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CITY NATIONAL ROCHDALE FUNDS | PAGE 107

 

 

 

Statements of Changes in Net Assets/Consolidated Statements of Changes in Net Assets

 

statements of changes in net assets (000)

For the six months ended March 31, 2023 (Unaudited) and year ended September 30, 2022

 

 

   

City National
Rochdale
Government
Money
Market Fund

   

City National
Rochdale
Government
Bond Fund

 

 

 

2023

   

2022

   

2023

   

2022

 

OPERATIONS:

Net Investment Income

  $ 88,310     $ 22,018     $ 83     $ 173  

Net Realized Gain (Loss) from Security Transactions

    8       (2 )     (21 )     50  

Net Change in Unrealized Appreciation (Depreciation) on Investments and Affiliated Investments

                544       (2,036 )

Net Increase (Decrease) in Net Assets Resulting from Operations

    88,318       22,016       606       (1,813 )
                                 

DISTRIBUTIONS:

Class N

    (68,772 )     (1,516 )     (6 )     (12 )

Class S

    (6,375 )     (2,395 )            

Servicing Class

    (13,166 )     (18,106 )     (79 )     (170 )

Total Distributions

    (88,313 )     (22,017 )     (85 )     (182 )
                                 

CAPITAL SHARE TRANSACTIONS:(1)

Class N:

                               

Shares Issued

    937,049       564,965       35       105  

Shares Issued in Lieu of Dividends and Distributions

    6,936       961       5       10  

Shares Redeemed

    (840,883 )     (860,618 )     (294 )     (800 )

Increase (Decrease) in Net Assets from Class N Share Transactions

    103,102       (294,692 )     (254 )     (685 )
                                 

Class S:

                               

Shares Issued

    1,727,115       2,355,075              

Shares Redeemed

    (1,708,916 )     (2,319,186 )            

Increase (Decrease) in Net Assets from Class S Share Transactions

    18,199       35,889              
                                 

Servicing Class:

                               

Shares Issued

    11,753,246       10,595,088       1,434       2,072  

Shares Issued in Lieu of Dividends and Distributions

    47,165       8,237       8       17  

Shares Redeemed

    (10,820,830 )     (10,556,161 )     (5,192 )     (7,817 )

Increase (Decrease) in Net Assets from Servicing Class Share Transactions

    979,581       47,164       (3,750 )     (5,728 )
                                 

Net Increase (Decrease) in Net Assets from Share Transactions

    1,100,882       (211,639 )     (4,004 )     (6,413 )

Total Increase (Decrease) in Net Assets

    1,100,887       (211,640 )     (3,483 )     (8,408 )
                                 

NET ASSETS:

Beginning of Year/Period

    4,560,203       4,771,843       21,584       29,992  

End of Year/Period

  $ 5,661,090     $ 4,560,203     $ 18,101     $ 21,584  

 

(1)

See Note 9 for shares issued and redeemed.

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 108

 

 

 

 

 

City National
Rochdale
Corporate
Bond Fund

   

City National
Rochdale
California
Tax Exempt
Bond Fund

   

City National
Rochdale
Municipal
High Income
Fund

 
 

2023

   

2022

   

2023

   

2022

   

2023

   

2022

 
                                               
  $ 864     $ 1,319     $ 385     $ 688     $ 27,438     $ 57,881  
    (169 )     10       (702 )     (1,496 )     (44,920 )     (89,647 )
    2,554       (10,563 )     2,239       (4,462 )     74,399       (288,958 )
    3,249       (9,234 )     1,922       (5,270 )     56,917       (320,724 )
                                               
                                               
    (66 )     (264 )     (34 )     (57 )     (14,329 )     (33,496 )
                                   
    (832 )     (2,594 )     (349 )     (652 )     (11,595 )     (23,938 )
    (898 )     (2,858 )     (383 )     (709 )     (25,924 )     (57,434 )
                                               
                                               
                                               
    2,185       1,499       220       549       153,866       355,667  
    47       205       16       28       7,439       17,301  
    (4,389 )     (3,423 )     (2,446 )     (992 )     (335,983 )     (543,674 )
    (2,157 )     (1,719 )     (2,210 )     (415 )     (174,678 )     (170,706 )
                                               
                                               
                                   
                                   
                                   
                                               
                                               
    15,296       22,062       7,055       8,683       61,567       247,536  
    60       245       35       86       2,001       4,432  
    (17,968 )     (18,403 )     (8,676 )     (31,666 )     (145,427 )     (333,172 )
    (2,612 )     3,904       (1,586 )     (22,897 )     (81,859 )     (81,204 )
                                               
    (4,769 )     2,185       (3,796 )     (23,312 )     (256,537 )     (251,910 )
    (2,418 )     (9,907 )     (2,257 )     (29,291 )     (225,544 )     (630,068 )
                                               
                                               
    105,361       115,268       47,553       76,844       1,428,357       2,058,425  
  $ 102,943     $ 105,361     $ 45,296     $ 47,553     $ 1,202,813     $ 1,428,357  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 109

 

 

 

statements of changes in net assets (000)/
consolidated statement of changes in net assets (000)

For the six months ended March 31, 2023 (Unaudited) and year ended September 30, 2022

 

 

   

City National
Rochdale
Intermediate
Fixed Income
Fund

   

City National
Rochdale
Fixed Income
Opportunities
Fund
(Consolidated)

 

 

 

2023

   

2022

   

2023

   

2022

 

OPERATIONS:

                               

Net Investment Income (Loss)

  $ 451     $ 831     $ 92,152     $ 197,478  

Net Realized Gain (Loss) from:

                               

Security Transactions and Futures Contracts

    (779 )     (32 )     (314,393 )     (217,722 )

Foreign Currency Transactions

                (21,124 )     98,415  

Net Change in Unrealized Appreciation (Depreciation) on:

                               

Investments and Futures Contracts

    2,310       (9,800 )     435,316       (662,003 )

Foreign Currency Translations

                (18,697 )     (1,988 )

Net Increase (Decrease) in Net Assets Resulting from Operations

    1,982       (9,001 )     173,254       (585,820 )
                                 

DISTRIBUTIONS:

                               

Institutional Class

    (17 )     (128 )            

Class N

    (477 )     (3,216 )     (132,562 )     (223,593 )

Servicing Class:

                       

Total Distributions

    (494 )     (3,344 )     (132,562 )     (223,593 )
                                 

CAPITAL SHARE TRANSACTIONS:(1)

                               

Institutional Class:

                               

Shares Issued

          61              

Shares Issued in Lieu of Dividends and Distributions

    4       48              

Shares Redeemed

    (331 )     (1,402 )            

Increase (Decrease) in Net Assets from Institutional Class Share Transactions

    (327 )     (1,293 )            
                                 

Class N:

                               

Shares Issued

    9,654       9,585       220,980       1,005,541  

Shares Issued in Lieu of Dividends and Distributions

    418       2,896       88,345       153,558  

Shares Redeemed

    (21,935 )     (30,722 )     (1,107,070 )     (1,390,960 )

Increase (Decrease) in Net Assets from Class N Share Transactions

    (11,863 )     (18,241 )     (797,745 )     (231,861 )
                                 

Servicing Class:

                               

Shares Issued

                       

Shares Issued in Lieu of Dividends and Distributions

                       

Redemption Fees

                       

Shares Redeemed

                       

Increase (Decrease) in Net Assets from Servicing Class Share Transactions

                       
                                 

Net Increase (Decrease) in Net Assets from Share Transactions

    (12,190 )     (19,534 )     (797,745 )     (231,861 )

Total Increase (Decrease) in Net Assets

    (10,702 )     (31,879 )     (757,053 )     (1,041,274 )
                                 

NET ASSETS:

                               

Beginning of Year/Period

    65,852       97,731       3,070,638       4,111,912  

End of Year/Period

  $ 55,150     $ 65,852     $ 2,313,585     $ 3,070,638  

 

 

(1)

See Note 9 for shares issued and redeemed.

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 110

 

 

 

 

City National
Rochdale
Equity
Income Fund

   

City National
Rochdale
U.S. Core
Equity Fund

 
 

2023

   

2022

   

2023

   

2022

 
                               
  $ 2,961     $ 5,872     $ 1,082     $ 1,114  
                               
    8,927       25,613       17,729       7,534  
                       
                               
    6,041       (39,130 )     32,123       (82,811 )
                       
    17,929       (7,645 )     50,934       (74,163 )
                               
                               
                (3 )     (8 )
    (28,179 )     (21,587 )     (4,301 )     (10,518 )
                (3,577 )     (9,106 )
    (28,179 )     (21,587 )     (7,881 )     (19,632 )
                               
                               
                               
                28       87  
                3       8  
                (5 )     (77 )
                26       18  
                               
                               
    15,627       29,214       11,950       29,149  
    18,393       14,092       3,531       8,624  
    (23,651 )     (48,613 )     (16,072 )     (31,725 )
    10,369       (5,307 )     (591 )     6,048  
                               
                               
                8,405       19,493  
                351       897  
                (78 )      
                (9,988 )     (22,696 )
                (1,310 )     (2,306 )
                               
    10,369       (5,307 )     (1,875 )     3,760  
    119       (34,539 )     41,178       (90,035 )
                               
                               
    202,680       237,219       328,615       418,650  
  $ 202,799     $ 202,680     $ 369,793     $ 328,615  

 

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 111

 

 

 

consolidated statement of cash flows (000)

For the period ended March 31, 2023 (Unaudited)

 

 

   

City National
Rochdale
Fixed Income
Opportunities Fund

 

CASH FLOWS FROM OPERATING ACTIVITIES:

       

Net increase in net assets from operations

  $ 173,254  

Adjustments to reconcile net increase in net assets resulting from operations to net cash provided by operating activities:

       

Purchase of investment securities

    (1,618,729 )

Proceeds from disposition of investment securities

    2,519,583  

Amortization (accretion of market discount)

    3,249  

Premium payments

    (2,811 )

Net realized loss on investments

    287,226  

Net change in unrealized appreciation on investments

    (416,619 )
         

Changes in assets:

       

Dividend and interest receivable

    7,893  

Reclaim receivable

    20  

Receivable for investment securities sold

    (65,147 )

Variation Margin

    96  

Unrealized gain on forward foreign currency contracts

    8,179  

Prepaid expenses

    (49 )
         

Changes in liabilities:

       

Payable for investment securities purchased

    (14,062 )

Variation margin payable

    36,115  

Unrealized loss on forward foreign currency contracts

    9,962  

Investment advisory fees payable

    (340 )

Shareholder servicing and distribution fees payable

    (357 )

Administrative fees payable

    (10 )

Accrued expenses

    (57 )

Net Cash Provided by Operating Activities

    927,396  
         

Cash Flows USED IN Financing Activities:

       

Proceeds from shares issued

    309,093  

Cost of shares redeemed

    (1,110,820 )

Distributions

    (132,562 )

Net cash used in financing activities

    (934,289 )

Net change in cash

    (6,893 )

Cash at beginning of year

    12,167  

Cash at end of year

  $ 5,274  
         

Non-Cash Financing Activities:

       

Reinvestments of dividends and distributions

  $ 88,345  

 

The following table provides a reconciliation of cash and foreign currency reported on the statement of assets and liabilities to the total of such amounts shown in this statement of cash flows.

 

Balance at the end of the year

       

Cash

  $ 1,305  

Foreign Currency

    3,046  

Restricted Cash

    923  

Total Cash and Foreign Currency

  $ 5,274  

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 112

 

 

 

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CITY NATIONAL ROCHDALE FUNDS | PAGE 113

 

 

 

Financial Highlights/Consolidated Financial Highlights

 

financial highlights/consolidated financial highlights

For a Share Outstanding Throughout Each Period
For the six months ended March 31, 2023 (Unaudited) and the year ended September 30,

 

 

 

Net Asset
Value
Beginning
of Period

Net
Investment
Income

Net
Realized and
Unrealized
Gains
(Losses) on
Securities

Dividends
from Net
Investment
Income

Distributions
from Realized
Capital Gains

Net Asset
Value End
of Period

Total
Return

Net Assets End
of Period (000)

Ratio of
Expenses to
Average Net
Assets(1)

Ratio of Net
Investment
Income to
Average Net
Assets(1)

Ratio of Expenses
to Average Net
Assets (Excluding
Waivers &
Recovered Fees)

Portfolio
Turnover
Rate

City National Rochdale Government Money Market Fund

Class N (commenced operations on June 21, 1999)

2023

$ 1.00

$ 0.017

0.000*

$ (0.017)

$ —

$ 1.00

1.70%

$ 450,652

0.65%

3.40%

0.87%

—%

2022

1.00

0.004

0.000*

(0.004)

1.00

0.39

347,551

0.29

0.30

0.86

2021

1.00

0.000*

0.000*

(0.000)*

1.00

0.01

642,240

0.07

0.01

0.87

2020

1.00

0.003

0.001

(0.004)

1.00

0.42

523,559

0.38

0.27

0.88

2019

1.00

0.016

0.000*

(0.016)

1.00

1.58

220,083

0.76

1.55

0.87

2018

1.00

0.007

0.000*

(0.007)

1.00

0.71

994,591

0.88

0.69

0.86

Class S (commenced operations on October 6, 1999)

2023

$ 1.00

$ 0.016

0.000*

$ (0.016)

$ —

$ 1.00

1.62%

$ 743,594

0.80%

3.26%

1.02%

—%

2022

1.00

0.003

(0.003)

1.00

0.34

725,394

0.39

0.35

1.02

2021

1.00

0.000*

0.000*

(0.000)*

1.00

0.01

689,506

0.07

0.01

1.02

2020

1.00

0.003

0.000*

(0.003)

1.00

0.35

421,153

0.50

0.31

1.03

2019

1.00

0.014

0.000*

(0.014)

1.00

1.43

285,778

0.91

1.43

1.02

2018

1.00

0.006

0.000*

(0.006)

1.00

0.62

1,070,474

0.95

0.64

1.03

Servicing Class (commenced operations on April 3, 2000)^^

2023

$ 1.00

$ 0.018

0.000*

$ (0.018)

$ —

$ 1.00

1.85%

$ 4,466,844

0.35%

3.66%

0.57%

—%

2022

1.00

0.005

0.000*

(0.005)

1.00

0.51

3,487,258

0.21

0.47

0.57

2021

1.00

0.000*

0.000*

(0.000)*

1.00

0.02

3,440,097

0.07

0.01

0.57

2020

1.00

0.005

0.001

(0.006)

1.00

0.57

3,216,095

0.31

0.46

0.57

2019

1.00

0.019

0.000*

(0.019)

1.00

1.89

2,036,891

0.46

1.87

0.57

2018

1.00

0.011

0.000*

(0.011)

1.00

1.11

2,942,980

0.46

1.12

0.56

City National Rochdale Government Bond Fund

Class N (commenced operations on April 13, 2000)

2023

$ 9.86

$ 0.03

$ 0.27

$ (0.03)

$ —

$ 10.13

3.07%

$ 1,746

1.04%

0.62%

2.26%

6%

2022

10.71

0.05

(0.85)

(0.05)

9.86

(7.45)

1,950

0.99

0.48

2.09

22

2021

10.91

0.05

(0.19)

(0.06)

10.71

(1.27)

2,823

1.03

0.53

1.67

14

2020

10.59

0.08

0.33

(0.09)

10.91

3.90

2,890

1.03

0.78

1.50

25

2019

10.27

0.09

0.33

(0.10)

10.59

4.12

2,827

1.03

0.87

1.35

60

2018

10.49

0.07

(0.19)

(0.09)

(0.01)

10.27

(1.21)

1,984

1.03

0.72

1.25

14

Servicing Class (commenced operations on January 14, 2000)

2023

$ 9.84

$ 0.04

$ 0.27

$ (0.04)

$ —

$ 10.11

3.20%

$ 16,355

0.79%

0.88%

2.01%

6%

2022

10.69

0.08

(0.85)

(0.08)

9.84

3.20

19,634

0.74

0.74

1.84

22

2021

10.89

0.08

(0.19)

(0.09)

10.69

(1.02)

27,169

0.78

0.79

1.41

14

2020

10.57

0.11

0.33

(0.12)

10.89

4.17

37,146

0.78

1.04

1.24

25

2019

10.26

0.11

0.33

(0.13)

10.57

4.28

40,675

0.78

1.10

1.11

60

2018

10.48

0.10

(0.20)

(0.11)

(0.01)

10.26

(0.98)

53,746

0.78

0.97

1.00

14

City National Rochdale Corporate Bond Fund

Class N (commenced operations on April 13, 2000)

2023

$ 9.59

$ 0.07

$ 0.22

$ (0.07)

$ —

$ 9.81

3.08%

$ 7,974

1.01%

1.46%

1.20%

6%

2022

10.69

0.10

(0.96)

(0.10)

(0.14)

9.59

(8.21)

9,925

1.00

0.95

1.19

24

2021

10.79

0.12

(0.10)

(0.12)

10.69

0.16

12,837

1.01

1.11

1.14

59

2020

10.53

0.18

0.26

(0.18)

10.79

4.21

11,827

1.01

1.66

1.12

35

2019

10.20

0.21

0.33

(0.21)

10.53

5.36

8,947

1.01

2.04

1.06

21

2018

10.43

0.18

(0.24)

(0.17)

10.20

(0.55)

7,065

1.01

1.72

1.12

29

Servicing Class (commenced operations on January 14, 2000)

2023

$ 9.58

$ 0.08

$ 0.22

$ (0.09)

$ —

$ 9.79

3.11%

$ 94,970

0.76%

1.72%

0.95%

6%

2022

10.67

0.12

(0.95)

(0.12)

(0.14)

9.58

(7.90)

95,436

0.75

1.21

0.95

24

2021

10.77

0.15

(0.11)

(0.14)

10.67

0.42

102,431

0.76

1.37

0.89

59

2020

10.52

0.20

0.26

(0.21)

10.77

4.38

121,827

0.76

1.93

0.87

35

2019

10.19

0.24

0.33

(0.24)

10.52

5.63

124,710

0.76

2.30

0.81

21

2018

10.41

0.20

(0.22)

(0.20)

10.19

(0.22)

132,532

0.76

1.95

0.87

29

 

 

*

Amount represents less than $0.001.

Per share calculations are based on Average Shares outstanding throughout the period.

Returns are for the period indicated and have not been annualized. Fee waivers are in effect; if they had not been in effect, performance would have been lower. Returns shown do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of fund shares.

^^

Effective November 28, 2012, Institutional Class Shares were redesignated as Servicing Class Shares. This share class name change had no impact on the Fund’s operations or investment policy.

(1)

Ratio includes waivers and previously waived investment advisory fees recovered. The impact of the recovered fees may cause a higher net expense ratio.

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 114

 

 

 

 


 

 

 

Net Asset
Value
Beginning
of Period

Net
Investment
Income

Net
Realized and
Unrealized
Gains
(Losses) on
Securities

Dividends
from Net
Investment
Income

Distributions
from Realized
Capital Gains

Net Asset
Value End
of Period

Total
Return

Net Assets End
of Period (000)

Ratio of
Expenses
to Average
Net Assets

Ratio of Net
Investment
Income to
Average Net
Assets

Ratio of Expenses
to Average Net
Assets (Excluding
Waivers &
Recovered Fees)

Portfolio
Turnover
Rate

City National Rochdale California Tax Exempt Bond Fund

Class N (commenced operations on April 13, 2000)

2023

$ 9.85

$ 0.07

$ 0.35

$ (0.07)

$ —

$ 10.20

4.33%

$ 4,011

0.89%

1.49%

1.40%

12%

2022

10.80

0.09

(0.95)

(0.09)

9.85

(8.00)

6,045

0.87

0.84

1.25

24

2021

10.96

0.10

(0.14)

(0.10)

(0.02)

10.80

(0.43)

7,050

0.88

0.87

1.13

33

2020

10.80

0.12

0.16

(0.12)

10.96

2.65

7,417

0.88

1.14

1.10

23

2019

10.43

0.14

0.37

(0.14)

10.80

4.90

8,185

0.88

1.29

1.06

24

2018

10.64

0.13

(0.21)

(0.13)

10.43

(0.78)

7,760

0.88

1.20

1.07

26

Servicing Class (commenced operations on January 14, 2000)

2023

$ 9.82

$ 0.09

$ 0.34

$ (0.09)

$ —

$ 10.16

4.38%

$ 41,285

0.64%

1.77%

1.15%

12%

2022

10.76

0.11

(0.94)

(0.11)

9.82

(7.71)

41,508

0.62

1.06

0.99

24

2021

10.93

0.12

(0.15)

(0.12)

(0.02)

10.76

(0.27)

69,794

0.63

1.13

0.89

33

2020

10.77

0.15

0.16

(0.15)

10.93

2.91

70,935

0.63

1.40

0.86

23

2019

10.40

0.16

0.37

(0.16)

10.77

5.17

77,045

0.63

1.55

0.81

24

2018

10.61

0.15

(0.21)

(0.15)

10.40

(0.53)

78,830

0.63

1.46

0.83

26

City National Rochdale Municipal High Income Fund

Class N (commenced operations on December 30, 2013)

2023

$ 8.97

$ 0.18

$ 0.17

$ (0.17)

$ —

$ 9.15

3.97%

$ 679,771

1.08%

4.05%

1.08%

16%

2022

11.07

0.31

(2.10)

(0.31)

8.97

(16.47)

835,922

1.07

2.97

1.07

48

2021

10.61

0.33

0.46

(0.33)

11.07

7.51

1,235,195

1.07

3.03

1.07

15

2020

10.95

0.35

(0.34)

(0.35)

10.61

0.17

1,053,948

1.08

3.33

1.08

45

2019

10.57

0.38

0.39

(0.39)

10.95

7.47

894,519

1.08

3.60

1.08

33

2018

10.76

0.40

(0.22)

(0.37)

10.57

1.73

754,819

1.07

3.76

1.07

24

Servicing Class (commenced operations on December 30, 2013)

2023

$ 8.98

$ 0.20

$ 0.17

$ (0.19)

$ —

$ 9.16

4.10%

$ 523,042

0.83%

4.30%

0.83%

16%

2022

11.08

0.33

(2.10)

(0.33)

8.98

(16.24)

592,435

0.82

3.22

0.82

48

2021

10.62

0.36

0.46

(0.36)

11.08

7.77

823,230

0.82

3.27

0.82

15

2020

10.95

0.38

(0.33)

(0.38)

10.62

0.52

608,688

0.83

3.58

0.83

45

2019

10.57

0.41

0.39

(0.42)

10.95

7.74

570,401

0.83

3.85

0.83

33

2018

10.77

0.43

(0.23)

(0.40)

10.57

1.89

511,454

0.82

4.01

0.82

24

City National Rochdale Intermediate Fixed Income Fund

Institutional Class (commenced operations on December 20, 2013)

2023

$ 23.29

$ 0.23

$ 0.57

$ (0.27)

$ —

$ 23.82

3.45%

$ 1,261

0.51%

1.98%

0.86%

3%

2022

27.20

0.38

(3.13)

(0.41)

(0.75)

23.29

(10.45)

1,557

0.50

1.51

0.79

9

2021

27.57

0.46

(0.38)

(0.38)

(0.07)

27.20

0.27

3,247

0.51

1.68

0.67

74

2020

26.52

0.62

1.06

(0.63)

27.57

6.45

5,609

0.51

2.31

0.66

49

2019

25.33

0.68

1.24

(0.73)

26.52

7.66

4,359

0.51

2.61

0.58

35

2018

26.18

0.63

(0.81)

(0.67)

25.33

(0.70)

4,528

0.51

2.45

0.55

30

Class N (commenced operations on December 31, 1999)

2023

$ 23.31

$ 0.17

$ 0.58

$ (0.20)

$ —

$ 23.86

3.20%

$ 53,889

1.01%

1.47%

1.36%

3%

2022

27.21

0.26

(3.14)

(0.27)

(0.75)

23.31

(10.88)

64,295

1.00

1.02

1.29

9

2021

27.58

0.32

(0.38)

(0.24)

(0.07)

27.21

(0.24)

94,484

1.01

1.15

1.18

74

2020

26.52

0.49

1.07

(0.50)

27.58

5.95

99,695

1.01

1.83

1.15

49

2019

25.33

0.55

1.23

(0.59)

26.52

7.11

114,655

1.01

2.13

1.08

35

2018

26.17

0.50

(0.81)

(0.53)

25.33

(1.18)

179,392

1.01

1.95

1.05

30

City National Rochdale Fixed Income Opportunities Fund (Consolidated)

Class N (commenced operations on July 1, 2009)

2023

$ 18.60

$ 0.66

$ 0.56

$ (1.03)

$ —

$ 18.79

6.68%

$ 2,313,585

1.10%

7.04%

1.10%

40%

2022

23.39

1.16

(4.62)

(1.33)

18.60

(15.23)

3,070,638

1.09

5.44

1.09

94

2021

22.57

1.21

1.04

(1.43)

23.39

10.14

4,111,912

1.10

5.14

1.10

117

2020

24.22

1.53

(1.83)

(1.35)

22.57

(0.94)

3,739,101

1.10(3)

6.66

1.11(3)

143

2019

24.72

1.36

(0.45)

(1.41)

24.22

3.83

3,416,111

1.09(3)

5.53

1.10(3)

180

2018

25.81

1.19

(0.92)

(1.36)

24.72

1.09

3,002,607

1.09(2)

4.65

1.09(2)

162

 

Per share calculations are based on Average Shares outstanding throughout the period.

Returns are for the period indicated and have not been annualized. Fee waivers are in effect; if they had not been in effect, performance would have been lower. Returns shown do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of fund shares.

(1)

Ratio includes waivers and previously waived investment advisory fees recovered. The impact of the recovered fees may cause a higher net expense ratio.

(2)

The expense ratio includes acquired fund fee expenses from the investment in the Irish Company. Had this expense been excluded, the ratios would have been 1.09% and 1.09%, respectively.

(3)

The expense ratio includes acquired fund fee expenses from the investment in the Irish Company. Had this expense been excluded, the ratios would have been 1.09% and 1.09%, respectively.

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 115

 

 

 

financial highlights

For a Share Outstanding Throughout Each Period
For the six months ended March 31, 2023 (Unaudited) and the year ended September 30,

 

 

 

Net Asset
Value
Beginning
of Period

Net
Investment
Income

Net
Realized
and
Unrealized
Gains
(Losses) on
Securities

Dividends
from Net
Investment
Income

Distributions
from
Realized
Capital Gains

Distributions
from Return
of Capital

Net Asset
Value End
of Period

Total
Return

Net Assets
End of
Period (000)

Ratio of
Expenses
to
Average
Net
Assets(1)(2)

Ratio
of Net
Investment
Income to
Average
Net
Assets(1)(2)

Ratio of
Expenses
to Average
Net Assets
(Excluding
Waivers &
Recovered
Fees)(1)

Portfolio
Turnover
Rate

City National Rochdale Equity Income Fund

Class N (commenced operations on June 1, 1999)

2023

$ 35.40

$ 0.50

$ 2.66

$ (0.49)

$ (4.46)

$ —

$ 33.61

8.52%

$ 202,799

1.28%

2.74%

1.17%

7%

2022

40.58

1.02

(2.42)

(1.02)

(2.76)

35.40

(4.41)

202,680

1.12

2.47

1.17

24

2021

35.52

0.88

5.30

(1.12)

40.58

17.53

237,219

1.15

2.25

1.15

30

2020

41.01

0.73

(4.73)

(0.79)

(0.36)

(0.34)

35.52

(9.80)

222,097

1.15

1.95

1.15

20

2019

39.32

0.93

3.18

(1.12)

(1.30)

41.01

11.25

247,154

1.14

2.40

1.14

3

2018

40.40

1.10

0.12

(1.12)

(1.18)

39.32

3.10

239,439

1.14

2.79

1.14

10

City National Rochdale U.S. Core Equity Fund

Institutional Class (commenced operations on December 3, 2012)

2023

$ 20.66

$ 0.11

$ 3.15

$ (0.08)

$ (0.46)

$ —

$ 23.38

15.94%

$ 170

0.53%

1.00%

0.53%

23%

2022

26.49

0.17

(4.67)

(0.18)

(1.15)

20.66

(18.18)

126

0.52

0.70

0.52

28

2021

20.99

0.15

5.45

(0.10)

26.49

26.76

148

0.51

0.62

0.51

13

2020

19.32

0.10

2.21

(0.14)

(0.50)

—^

20.99

12.20

5,633

0.56

0.52

0.56

14

2019

18.21

0.20

1.79

(0.19)

(0.69)

19.32

12.01

443

0.52

1.07

0.52

22

2018

15.83

0.17

2.60

(0.18)

(0.21)

18.21

17.71

34

0.53

0.97

0.53

18

Class N (commenced operations on December 3, 2012)

2023

$ 20.46

$ 0.06

$ 3.11

$ (0.03)

$ (0.46)

$ —

$ 23.14

15.63%

$ 208,073

1.03%

0.50%

1.03%

23%

2022

26.25

0.04

(4.62)

(0.06)

(1.15)

20.46

(18.61)

184,503

1.02

0.17

1.02

28

2021

20.73

0.02

5.53

(0.03)

26.25

26.79

230,767

1.01

0.07

1.01

13

2020

19.10

0.05

2.14

(0.06)

(0.50)

—^

20.73

11.64

171,355

1.04

0.26

1.04

14

2019

18.01

0.10

1.78

(0.10)

(0.69)

19.10

11.49

157,700

1.02

0.57

1.02

22

2018

15.66

0.09

2.56

(0.09)

(0.21)

18.01

17.12

146,533

1.02

0.51

1.02

18

Servicing Class (commenced operations on December 3, 2012)

2023

$ 20.52

$ 0.08

$ 3.13

$ (0.05)

$ (0.46)

$ —

$ 23.22

15.81%

$ 161,550

0.78%

0.75%

0.78%

23%

2022

26.33

0.10

(4.64)

(0.12)

(1.15)

20.52

(18.42)

143,986

0.77

0.42

0.77

28

2021

20.77

0.08

5.54

(0.06)

26.33

27.13

187,735

0.76

0.32

0.76

13

2020

19.13

0.10

2.14

(0.10)

(0.50)

—^

20.77

11.91

155,403

0.78

0.52

0.78

14

2019

18.04

0.15

1.77

(0.14)

(0.69)

19.13

11.74

164,894

0.77

0.83

0.77

22

2018

15.69

0.13

2.56

(0.13)

(0.21)

18.04

17.38

154,589

0.77

0.76

0.77

18

 

Per share calculations are based on Average Shares outstanding throughout the period.

Returns are for the period indicated and have not been annualized. Fee waivers are in effect; if they had not been in effect, performance would have been lower. Returns shown do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of fund shares.

^

Amount represents less than $0.01 per share.

(1)

Annualized for periods less than one year.

(2)

Ratio includes waivers and previously waived investment advisory fees recovered. The impact of the recovered fees may cause a higher net expense ratio.

 

Amounts designated as “—” are either $0 or have been rounded to $0.

 

See accompanying notes to financial statements.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 116

 

 

 

notes to financial statements/
consolidated notes to financial statements

March 31, 2023 (Unaudited)

 

 

1.

ORGANIZATION:

 

City National Rochdale Funds, a Delaware statutory trust (the “Trust”), is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company currently offering the following 9 series (each a “Fund” and collectively, the “Funds”): City National Rochdale Government Money Market Fund (“Government Money Market Fund”); City National Rochdale Government Bond Fund (“Government Bond Fund”), City National Rochdale Corporate Bond Fund (“Corporate Bond Fund”), City National Rochdale California Tax Exempt Bond Fund (“California Tax Exempt Bond Fund”), City National Rochdale Municipal High Income Fund (“Municipal High Income Fund”), City National Rochdale Intermediate Fixed Income Fund (“Intermediate Fixed Income Fund”) and City National Rochdale Fixed Income Opportunities Fund (“Fixed Income Opportunities Fund”) (collectively, the “Fixed Income Funds”); and City National Rochdale Equity Income Fund (“Equity Income Fund”) and City National Rochdale U.S. Core Equity Fund (“U.S. Core Equity Fund”) (collectively, the “Equity Funds”).

 

The investment objective of the Government Money Market Fund is to preserve your principal and maintain a high degree of liquidity while providing current income. The investment objective of the Government Bond Fund and Corporate Bond Fund is to provide current income as a primary part of a total return intermediate duration strategy. The investment objective of the California Tax Exempt Bond Fund is to provide current income exempt from federal and California state income tax. The investment objective of the Municipal High Income Fund is to provide a high level of current income that is not subject to federal income tax. The investment objective of the Intermediate Fixed Income Fund is to provide current income and capital appreciation. The investment objective of the Fixed Income Opportunities Fund is to provide a high level of current income. The investment objective of the Equity Income Fund is to provide significant income and long-term capital appreciation. The investment objective of the U.S. Core Equity Fund is to provide long-term capital appreciation.

 

The Trust is registered to offer: Class N shares of the Funds; Servicing Class shares of the Funds except for Intermediate Fixed Income Fund, Fixed Income Opportunities Fund and Equity Income Fund; Institutional Class shares of Intermediate Fixed Income and U.S. Core Equity Fund; Class S shares of the Government Money Market Fund.

 

The assets of each Fund are segregated, and a shareholder’s interest is limited to the Fund in which shares are held. Each Fund is diversified with the exception of the California Tax Exempt Bond Fund, which is non-diversified.

 

The Government Bond Fund, the Corporate Bond Fund, and the Intermediate Fixed Income Fund were each liquidated on May 25, 2023.

 

2.

SIGNIFICANT ACCOUNTING POLICIES:

 

The following is a summary of significant accounting policies followed by the Funds.

 

Use of Estimates – The Funds are investment companies that conform with accounting principles generally accepted in the United States of America (“GAAP”). Therefore the Funds follow the accounting and reporting guidance for investment companies. The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of increases and decreases in net assets from operations during the reporting period. Actual results could differ from those estimates.

 

Security Valuation – Securities listed on a securities exchange, market or automated quotation system for which quotations are readily available (except for securities traded on NASDAQ) are valued at the last quoted sale price on the primary exchange or market (foreign or domestic) on which they are traded, or, if there is no such reported sale, at the most recent quoted bid price. For securities traded on NASDAQ, the NASDAQ Official Closing Price is used. If available, debt securities are priced based upon valuations provided by independent, third-party pricing agents. Such values generally reflect the last reported sales price if the security is actively traded. The third-party pricing agents may also value debt securities at an evaluated bid price by employing methodologies that utilize actual market transactions, broker-supplied valuations, or other methodologies designed to identify the market value for such securities. Debt obligations with remaining maturities of 60 days or less may be valued at their amortized cost, if the Fair Value Committee (the “Committee”) of City National Rochdale, LLC (“City National Rochdale” or the “Adviser”) concludes that such amortized cost approximates market value after taking into account factors such as credit, liquidity and interest rate conditions as well as issuer specific factors. Investments in underlying registered investment companies are valued at their respective daily net assets in accordance with pricing procedures approved by their respective boards. The prices for foreign securities are reported in local

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 117

 

 

 

notes to financial statements/
consolidated notes to financial statements

March 31, 2023 (Unaudited)

 

 

currency and converted to U.S. Dollars using currency exchange rates. Prices for most securities held by the Funds are provided daily by recognized independent pricing agents. If a security price cannot be obtained from an independent, third-party pricing agent, the Funds seek to obtain a bid price from one or more independent brokers.

 

Securities for which market prices are not “readily available” are valued in accordance with the Fair Value Procedures approved by the Trust’s Board of Trustees (the “Board”). The Funds’ Fair Value Procedures are implemented through the Committee designated by the Adviser. Some of the more common reasons that may necessitate that a security be valued using the Fair Value Procedures include: the security’s trading has been halted or suspended; the security has been de-listed from a national exchange; the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open; for international securities, market events that occur after the close of the foreign markets that make closing prices not representative of fair value; or the security’s primary pricing source is not able or willing to provide a price. When a security is valued in accordance with the Fair Value Procedures, the Committee will determine the value after taking into consideration relevant information reasonably available to the Committee.

 

Investments in life settlement policies (“Policies”) are valued using a probabilistic method, for an actuarially derived valuation approach, in order to determine the fair value of each Policy. The Fair Value Procedures recognize that the Policies are illiquid and that no market currently exists for the Policies. Under the probabilistic method, two life expectancies are obtained from established life expectancy providers on the insured(s) of the Policy and an actuarial table is used to determine the probability of survival in each year going forward for the insured(s) for each of the two life expectancies. The probabilities associated with each life expectancy are then utilized, along with the premiums due and the death benefit of the Policy for each year of the Policy, to determine expected cash flows. These cash flows are then discounted at a rate that accounts for the risks associated with the Policy and various other factors. The valuations from each life expectancy are then typically averaged to obtain the desired market valuation for the investor. Life settlement policies are included in Level 3 of the fair value hierarchy.

 

In accordance with GAAP, the objective of a fair value measurement is to determine the price that would be received to sell an asset or paid to transfer a liability, in an orderly transaction between market participants at the measurement date (an exit price). The fair value hierarchy gives the highest priority to quoted prices (unadjusted) in active markets for identical assets or liabilities (Level 1) and the lowest priority to unobservable inputs (Level 3). The three levels of the fair value hierarchy are described below:

 

 

Level 1 — Unadjusted quoted prices in active markets for identical, unrestricted assets or liabilities that the Funds have the ability to access at the measurement date;

 

 

Level 2 — Quoted prices in inactive markets, or inputs that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

 

 

Level 3 — Prices, inputs or exotic modeling techniques which are both significant to the fair value measurement and unobservable (supported by little or no market activity).

 

Investments are classified within the level of the lowest significant input considered in determining fair value. Investments classified within Level 3, the fair value measurement of which considers several inputs, may include Level 1 or Level 2 inputs as components of the overall fair value measurement.

 

For the period ended March 31, 2023, there have been no changes to the Funds’ fair value methodologies. For more details on the investment classifications, refer to the Schedules of Investments/Consolidated Schedule of Investments.

 

Security Transactions and Related Income – Security transactions are accounted for on the trade date of the security purchase or sale. Costs used in determining the net realized capital gains or losses on the sale of securities are those of the specific securities sold. Interest income is recognized on an accrual basis and dividend income is recognized on the ex-dividend date. Purchase discounts and premiums on securities held by the Funds are accreted and amortized to maturity using the scientific method, which approximates the effective interest method over the holding period of a security, except for the Government Money Market Fund, which uses a straight line basis which is not materially different from the scientific method.

 

Repurchase Agreements – Securities pledged as collateral for repurchase agreements are held by BNY Mellon until maturity of the repurchase agreements. Provisions of the agreements and procedures adopted by the investment adviser require that the market value of the collateral, including accrued interest thereon, is sufficient in the event of default by the counterparty. The Funds also invest in tri-party repurchase agreements. Securities held as collateral for tri-party repurchase agreements are maintained by the broker’s custodian bank in a segregated account until maturity of the repurchase agreements. Provisions

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 118

 

 

 


 

 

of the agreements require that the market value of the collateral, including accrued interest thereon, is sufficient in the event of default. If the counterparty defaults and the value of the collateral declines or if the counterparty enters into an insolvency proceeding, realization of the collateral by a Fund may be delayed or limited.

 

TBA Transactions – The Funds may engage in “to be announced” (“TBA”) security transactions. Such transactions involve a commitment by a Fund to purchase or sell securities for a predetermined price or yield, with payment and delivery taking place beyond the customary settlement period. The Funds record TBA securities on the trade date and maintain security positions such that sufficient liquid assets will be available to make payments for the securities purchased.

 

Expense Allocation – Common expenses incurred by the Funds are allocated among the Funds (i) based upon relative average daily net assets, (ii) as incurred on a specific identification basis, (iii) equally, or (iv) based upon a combination of the above, depending on the nature of the expenditure.

 

Classes – Class-specific expenses are borne by that class. Income, non class-specific expenses, and realized and unrealized gains/losses are allocated to the respective class on the basis of relative net asset value each day.

 

Dividends and Distributions to Shareholders – Dividends from net investment income are declared daily and paid to shareholders monthly for the Government Money Market Fund and Fixed Income Funds, except for the Intermediate Fixed Income Fund and Fixed Income Opportunities Fund. Dividends from net investment income are declared and paid quarterly for the Intermediate Fixed Income Fund, Fixed Income Opportunities Fund and Equity Funds. Distributions from net realized capital gains are distributed to shareholders at least annually. Dividends and distributions are recorded on the ex-dividend date.

 

Foreign Currency – Values of investments denominated in foreign currencies are converted into U.S. Dollars using the spot market rate of exchange at the time of valuation. Purchases and sales of investments and dividend and interest income are translated into U.S. Dollars using the spot market rate of exchange prevailing on the respective dates of such transactions. The Funds do not isolate the portion of gains and losses on investments that is due to changes in the foreign exchange rates from that which is due to changes in market prices of investments. Foreign securities and currency transactions may involve certain considerations and risks not typically associated with those of domestic origin.

 

Forward Foreign Currency Contracts – A forward foreign currency contract is an agreement between two parties to buy or sell a currency at a set price on a future date. Forward contracts are marked to market daily and the change in market value is recorded as an unrealized gain/(loss) on forward foreign currency contracts in the Statements of Assets and Liabilities/Consolidated Statement of Assets and Liabilities. When a contract is closed, a Fund records a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed, which is included within the realized gain/(loss) on foreign currency transactions in the Statements of Operations/Consolidated Statement of Operations. A Fund could be at risk if the counterparties are unable to meet the terms of the contracts or if the value of the currency changes unfavorably.

 

To reduce counterparty risk with respect to over-the-counter (“OTC”) transactions, the Fixed Income Opportunities Fund has entered into master netting arrangements, established within the Fixed Income Opportunities Fund’s International Swaps and Derivatives Association, Inc. (“ISDA”) master agreements, which allow the Fixed Income Opportunities Fund to make (or to have an entitlement to receive) a single net payment in the event of default (close-out netting) for outstanding payables and receivables with respect to certain OTC positions in forward foreign currency contracts for each individual counterparty. In addition, the Fixed Income Opportunities Fund may require that certain counterparties post cash and/or securities in collateral accounts to cover their net payment obligations for those derivative contracts subject to ISDA master agreements. If the counterparty fails to perform under these agreements, the cash and/or securities will be made available to the Fixed Income Opportunities Fund.

 

For financial reporting purposes, the Fixed Income Opportunities Fund does not offset derivative assets and derivative liabilities that are subject to netting arrangements in the Statements of Assets and Liabilities/Consolidated Statement of Assets and Liabilities.

 

Bankruptcy or insolvency laws of a particular jurisdiction may impose restrictions on or prohibitions against the right of offset in bankruptcy, insolvency or other events.

 

Collateral terms are contract specific for OTC derivatives. For derivatives traded under an ISDA master agreement, the collateral requirements are typically calculated by netting the marked to market amount of each transaction under such

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 119

 

 

 

notes to financial statements/
consolidated notes to financial statements

March 31, 2023 (Unaudited)

 

 

agreement and comparing that amount to the value of any collateral currently pledged by the Fixed Income Opportunities Fund, or the counterparty.

 

For financial reporting purposes, cash collateral that has been pledged to cover obligations of the Fixed Income Opportunities Fund, if any, is reported separately on the Statements of Assets and Liabilities/Consolidated Statement of Assets and Liabilities as cash pledged as collateral. Non-cash collateral pledged by the Fixed Income Opportunities Fund, if any, is noted in the Schedules of Investments/Consolidated Schedule of Investments. Generally, the amount of collateral due from or to a party must exceed a minimum transfer amount threshold before a transfer has to be made. To the extent the amounts due to the Fixed Income Opportunities Fund from the Fund’s counterparties are not fully collateralized, contractually or otherwise, the Fixed Income Opportunities Fund bears the risk of loss from counterparty nonperformance.

 

Futures Contracts – To the extent consistent with their investment objective and strategies, certain Funds may use futures contracts for tactical hedging purposes as well as to enhance the Funds’ returns. Initial margin deposits of cash or securities are made upon entering into futures contracts. The contracts are marked to market daily and the resulting changes in value are accounted for as unrealized gains or losses. Variation margin payments are paid or received, depending upon whether unrealized gains or losses are incurred. When a contract is closed, a Fund records a realized gain or loss equal to the difference between the proceeds from (or cost of) the closing transaction and the amount invested in the contract.

 

Risks of entering into futures contracts include the possibility that there will be an imperfect price correlation between the futures contract and the underlying securities. Second, it is possible that a lack of liquidity for futures contracts could exist in the secondary market, resulting in an inability to close a position prior to its maturity date. Third, futures contracts involve the risk that a Fund could lose more than the original margin deposit required to initiate a futures transaction.

 

Finally, the risk exists that losses could exceed amounts disclosed on the Statements of Assets and Liabilities/Consolidated Statement of Assets and Liabilities. Refer to each Fund’s Schedule of Investments for details regarding open futures contracts as of March 31, 2023, if applicable.

 

Swaps – A Fund may invest in swaps as a non-principal investment strategy. A swap is a financial instrument that typically involves the exchange of cash flows between two parties on specified dates (settlement dates), where the cash flows are based on agreed-upon measures such as prices, interest rates or indices. The nominal amount on which these cash flows are calculated is called the notional amount. Swaps are individually negotiated and structured to include exposure to a variety of different types of investments or market factors, such as interest rates, foreign currency rates, mortgage securities, corporate borrowing rates, security prices, indices or inflation rates.

 

Swaps may increase or decrease the overall volatility of the investments of a Fund and its share price. The performance of swaps may be affected by a change in the specific interest rate, currency, or other factors that determine the payments due to and from a Fund. If a swap calls for payments by a Fund, the Fund must be prepared to make such payments when due. In addition, if the counterparty’s creditworthiness declines, the value of a swap would be likely to decline, potentially resulting in losses.

 

Generally, a swap has a fixed maturity date that is agreed upon by the parties. The agreement can be terminated before the maturity date only under limited circumstances, such as default by one of the parties or insolvency, among others, and can be transferred by a party only with the prior written consent of the other party. A Fund may be able to eliminate its exposure under a swap either by assignment or by other disposition, or by entering into an offsetting swap with the same party or a similarly creditworthy party. If the counterparty is unable to meet its obligations under the contract, declares bankruptcy, defaults or becomes insolvent, a Fund may not be able to recover the money it expected to receive under the contract.

 

A swap can be a form of leverage, which can magnify a Fund’s gains or losses. In order to reduce the risk associated with leveraging, a Fund will cover its current obligations under swaps according to guidelines established by the SEC. If a Fund enters into a swap on a net basis, it will segregate assets with a daily value at least equal to the excess, if any, of the Fund’s accrued obligations under the swap over the accrued amount the Fund is entitled to receive under the agreement. If a Fund enters into a swap on other than a net basis, it will segregate assets with a value equal to the full amount of the Fund’s accrued obligations under the agreement.

 

Options Contracts – A Fund may also purchase put and call options. Purchasing call options tends to increase a Fund’s exposure to the underlying instrument. Purchasing put options tends to decrease a Fund’s exposure to the underlying instrument. When purchasing an option, a Fund will pay a premium which is included on the Fund’s Statement of Assets and Liabilities/Consolidated Statement of Assets and Liabilities

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 120

 

 

 


 

 

and subsequently marked to market to reflect the current value of the option. Premiums paid for purchasing options which expire are treated as realized losses. Certain options may be purchased with premiums to be determined on a future date. The premiums for these options are based upon implied volatility parameters at specified terms. The risk associated with purchasing put and call options is limited to the premium paid. Premiums paid for purchasing options which are exercised or closed are added to the amounts paid or offset against the proceeds on the underlying investment transaction to determine the realized gain or loss.

 

The net realized gain or loss on options contracts is reflected in the Statements of Operations/Consolidated Statement of Operations and the net unrealized gains/(losses) are included as a component of the net change in unrealized appreciation/(depreciation) on options contracts in the Statements of Operations/Consolidated Statement of Operations. Realized and changes in unrealized gains or losses on options contracts during the period as disclosed in the Statements of Operations/Consolidated Statement of Operations, serve as indicators of the volume of derivative activity for a Fund. As of March 31, 2023 and for the year then ended, there were no open options contracts.

 

Restricted Securities – Restricted securities include securities that have not been registered under the Securities Act of 1933, as amended, and securities that are subject to restrictions on resale.

 

A Fund may invest in restricted securities that are consistent with the Fund’s investment objective and investment strategies. While restricted securities are generally presumed to be illiquid, it may be determined that a particular restricted security is liquid. In some cases, the issuer of restricted securities has agreed to register such securities for resale, at the issuer’s expense either upon demand by a Fund or in connection with another registered offering of the securities. Investments in restricted securities are valued at fair value as determined in good faith in accordance with procedures adopted by the Board. It is possible that the estimated value may differ significantly from the amount that might ultimately be realized in the near term, and the difference could be material.

 

Master Limited Partnerships – Entities commonly referred to as “MLPs” are generally organized under state law as limited partnerships or limited liability companies. The Equity Income Fund may, as a non-principal investment strategy, invest in MLPs receiving partnership taxation treatment under the Internal Revenue Code of 1986, interests or “units” of which are traded on securities exchanges like shares of corporate stock. To qualify as an MLP for U.S. Federal income tax purposes, an entity must receive at least 90% of its income from qualifying sources such as interest, dividends, real estate rents, gains from the sale or disposition of real property, income and gains from certain mineral or natural resources activities, income and gains from the transportation or storage of certain fuels, and, in certain circumstances, income and gains from commodities or futures, forwards and options with respect to commodities, and gains from the sale or other disposition of a capital asset held for the production of such income. Mineral or natural resources activities include exploration, development, production, mining, processing, refining, marketing and transportation (including pipelines) of oil and gas, minerals, geothermal energy, fertilizer, timber or industrial source carbon dioxide. An MLP consists of a general partner and limited partners (or in the case of MLPs organized as limited liability companies, a managing member and members). The general partner or managing member typically controls the operations and management of the MLP and has an ownership stake in the partnership. The limited partners or members, through their ownership of limited partner or member interests, provide capital to the entity, are intended to have no role in the operation and management of the entity, and receive cash distributions. The MLPs themselves generally do not pay U.S. Federal income taxes. Thus, unlike investors in corporate securities, direct MLP investors are generally not subject to double taxation (i.e., corporate level tax and tax on corporate dividends). Currently, most MLPs operate in the energy, natural resources or real estate sectors.

 

Investments in Irish Company – The Fixed Income Opportunities Fund may invest up to 15% of its net assets in life insurance policies and interests related thereto purchased through life settlement transactions. The Fund may invest in life insurance policies and related interests directly or through a company organized under the laws of Ireland (the “Irish Company”).

 

The principal purpose of investment in the Irish Company is to allow the Fixed Income Opportunities Fund to gain exposure to life insurance policies within the limitations of the federal tax law requirements applicable to regulated investment companies. The Irish Company is a company organized under the laws of Ireland and is overseen by its own board of directors. The Irish Company is not an investment company registered under the 1940 Act and is not subject to all of the investor protections of the 1940 Act.

 

Information regarding the Fixed Income Opportunities Fund and the Irish Company has been consolidated in the Consolidated Schedule of Investments, Consolidated Statement

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 121

 

 

 

notes to financial statements/
consolidated notes to financial statements

March 31, 2023 (Unaudited)

 

 

of Assets and Liabilities, Consolidated Statement of Operations, Consolidated Statements of Changes in Net Assets, Consolidated Statement of Cash Flows and Consolidated Financial Highlights.

 

The net assets of the Irish Company at March 31, 2023, were $87,358, which represented 3.8% of the net assets of the Fixed Income Opportunities Fund.

 

Investments in Affiliated Securities – The Fixed Income Funds and Equity Funds may invest excess cash in the Government Money Market Fund, the Municipal High Income Fund and / or the Fixed Income Opportunities Fund.

 

3.

DERIVATIVE TRANSACTIONS

 

The following tables include only Funds that had exposure to more than one type of risk from derivatives held throughout the year. For Funds that held derivatives throughout the year with exposure to only one type of risk, additional information can be found on the Schedule of Investments/Consolidated Schedule of Investments and the Statements of Operations/Consolidated Statement of Operations.

 

The fair value of derivative instruments as of March 31, 2023, was as follows:

 

   

Asset Derivatives

   

Liability Derivatives

 

 

 

Consolidated
Statement of
Assets and
Liabilities
Location

   

Fair Value
(000)

   

Consolidated
Statement of
Assets and
Liabilities
Location

   

Fair Value
(000)

 

Derivatives not accounted for as hedging instruments:

Fixed Income Opportunities Fund

Interest rate contracts

Net Assets — Unrealized appreciation on futures contracts

  $  

Net Assets — Unrealized depreciation on futures contracts

  $ 1,314  

Foreign exchange contracts

Unrealized gain on forward foreign currency contracts

    2,361  

Unrealized loss on forward foreign currency contracts

    9,980  

Total derivatives not accounted for as hedging instruments

          $ 2,361             $ 11,294  

 

Amount of realized gain or (loss) on derivatives recognized in income (000):

 

Derivatives not accounted for
as hedging instruments

 

Forward
Currency
Contracts

   

Futures

   

Total

 

Fixed Income Opportunities Fund

Interest rate contracts

  $     $ 1,520     $ 1,520  

Foreign exchange contracts

    (20,884 )           (20,884 )

Total

  $ (20,884 )   $ 1,520     $ (19,364 )

 

Change in unrealized appreciation or (depreciation) on derivatives recognized in income (000):

 

Derivatives not accounted for
as hedging instruments

 

Forward
Currency
Contracts

   

Futures

   

Total

 

Fixed Income Opportunities Fund

Interest rate contracts

  $     $ (2,608 )   $ (2,608 )

Foreign exchange contracts

    (18,141 )           (18,141 )

Total

  $ (18,141 )   $ (2,608 )   $ (20,749 )

 

The following table discloses the volume of the Fixed Income Opportunities Fund’s forward foreign currency contracts activity during the period ended March 31, 2023 (000):

 

Fixed Income Opportunities Fund

 

 

 

Forwards:

       

Average Notional Balance Long

  $  

Average Notional Balance Short

     

Futures:

       

Average Notional Balance Long

     

Average Notional Balance Short

     

 

The following tables present, by derivative type, the Fixed Income Opportunities Fund’s OTC derivative assets and liabilities net of the related collateral posted for the benefit of the Fixed Income Opportunities Fund at March 31, 2023 (000):

 

Derivative Type

 

Derivative
Assets
Subject to
a Netting
Agreement
or Similar
Arrangement

   

Derivative
Available
for Offset

   

Collateral
Received

   

Net Amount

 

Fixed Income Opportunities Fund

Forward Foreign Currency Contracts

                               

State Street

  $ 51     $     $     $ 51  

U.S. Bank

    2,310       (9,949 )           (7,639 )

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 122

 

 

 


 

 

Derivative Type

 

Derivative
Liabilities
Subject to
a Netting
Agreement
or Similar
Arrangement

   

Derivative
Available
for Offset

   

Collateral
Pledged

   

Net Amount

 

Fixed Income Opportunities Fund

Forward Foreign Currency Contracts

                               

BNP Paribas

  $ (31 )   $     $     $ (31 )

U.S. Bank

    (9,949 )     9,949              

 

4.

ADMINISTRATION, TRANSFER AGENT, DISTRIBUTION AND SHAREHOLDER SERVICES AGREEMENTS:

 

Pursuant to an Amended and Restated Administration Agreement dated January 1, 2013, as amended (the “Agreement”), SEI Investments Global Funds Services (the “Administrator”), a wholly owned subsidiary of SEI Investments Company, acts as the Trust’s administrator. Under the terms of the Agreement, the Administrator is entitled to receive an annual fee based on the average daily net assets of the Trust, subject to a minimum annual fee.

 

The Trust has adopted a Rule 12b-1 Distribution Plan (“the Plan”) with respect to Class N and Class S Shares that allows each Fund to pay distribution fees. Pursuant to the Plan, SEI Investments Distribution Co. (the “Distributor”) may receive a distribution fee, computed daily and paid monthly, at the annual rate of 0.50% of the average daily net assets of the Class S Shares and 0.30% of the average daily net assets of the Class N Shares of the Government Money Market Fund and 0.25% of the Class N Shares of the Fixed Income Funds and Equity Funds, which may be used by the Distributor to provide compensation for sales support and distribution-related activities. Pursuant to a Distribution Coordination Agreement, the entirety of the fees received by the Distributor pursuant to the Plan is transmitted to CNR Securities, LLC (“CNR Securities”) as Sub-Distribution Coordinator. CNR Securities then reallows those fees to broker-dealers and service providers, including the Adviser and other affiliates, for payments for distribution services of the type identified in the Plan, and retains any undistributed balance of fees received from the Distributor.

 

The Government Money Market Fund has contractually agreed to limit the distribution fee payable by Class S shares of the Fund to 0.45% through January 31, 2024. Anytime prior to January 31, 2024, the arrangement may be terminated without penalty by the Board.

 

U.S. Bank Global Fund Services (the “Transfer Agent”) serves as transfer agent for the Trust and provides services at an annual rate of $20,000 per share class for all Funds plus other transaction based fees and out-of-pocket expenses.

 

The Trust has entered into a Shareholder Services Agreement that permits payment of compensation to City National Bank (“CNB”), its affiliates (including City National Rochdale) and others, which provide certain specified shareholder services to shareholders of all classes of each Fund, except for the Institutional Class shares. As compensation for the provision of such services, each Fund will pay CNB a fee of 0.25% of the average daily net assets of the applicable classes on an annual basis, payable monthly.

 

CNB and City National Rochdale have agreed to voluntarily waive portions of their shareholder servicing fees with respect to certain Funds. For the period ended March 31, 2023, CNB and City National Rochdale received $9,972,559 in shareholder servicing fees from the Trust.

 

Certain officers of the Trust are also officers or employees of City National Rochdale, CNB or the Administrator. Such officers are paid no fees by the Trust for serving as officers of the Trust.

 

5.

INVESTMENT ADVISORY FEES AND OTHER AGREEMENTS:

 

Under the terms of the current investment management agreement, City National Rochdale receives an annual fee equal to a percentage of the average daily net assets of each Fund, as follows:

 

Fund

Fee

Government Money Market Fund

0.26%

Government Bond Fund

0.43

Corporate Bond Fund

0.40

California Tax Exempt Bond Fund

0.27

Municipal High Income Fund

0.50

Intermediate Fixed Income Fund

0.40

Fixed Income Opportunities Fund

0.50

Equity Income Fund

0.50

U.S. Core Equity Fund

0.40

 

City National Rochdale has contractually agreed to waive the management fee for the Government Money Market Fund such that the fee charged is 0.15% through January 31, 2024. Anytime prior to January 31, 2024, the arrangement may be terminated without penalty (a) by the Board, or (b) by the Adviser effective no earlier than January 31, 2024, upon at least 60 days’ prior written notice. Management fees waived by the Adviser pursuant to this arrangement will not be eligible for reimbursement by the Fund to the Adviser.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 123

 

 

 

notes to financial statements/
consolidated notes to financial statements

March 31, 2023 (Unaudited)

 

 

As of March 31, 2023, Alcentra LTD, Alcentra NY, LLC, AllFinancial Partners II LLC, Federated Investment Management Company, Seix Investment Advisors LLC, and T. Rowe Price Associates, Inc. act as the investment sub-advisers with respect to the Fixed Income Opportunities Fund.

 

Sub-adviser fees are paid by City National Rochdale.

 

City National Rochdale has voluntarily agreed to limit its fees or reimburse expenses to the extent necessary to keep operating expenses at or below certain percentages of certain of the Funds’ respective average daily net assets. The voluntary expense limitations (expressed as percentages of the average daily net assets) are as follows:

 

 

Government
Bond Fund

Corporate
Bond Fund

Institutional Class

n/a

n/a

Class N

1.03%

1.01%

Class S

n/a

n/a

Servicing Class

0.78%

0.76%

 

 

California
Tax Exempt
Bond Fund

Intermediate
Fixed Income
Fund

Fixed Income
Opportunities
Fund

Equity
Income
Fund

Institutional Class

n/a

0.51%

n/a

n/a

Class N

0.88%

1.01%

1.09%

0.50%

Servicing Class

0.63%

n/a

n/a

n/a

 

Any fee reductions or expense reimbursements may be repaid by a Fund to City National Rochdale, within three years after occurrence if such repayments can be achieved within the Fund’s expense limit in effect at the time such expenses were incurred and if certain other conditions are satisfied.

 

As of March 31, 2023, fees which were previously waived by City National Rochdale which may be subject to possible future reimbursement were as follows:

 

Fund

 

Potential Amount of
Recovery
(000)

   

Expiration

 

Government Bond Fund

  $ 196       2023  
      223       2024  
      266       2025  

Corporate Bond Fund

    144       2023  
      168       2024  
      215       2025  

California Tax Exempt Bond Fund

    181       2023  
      202       2024  
      249       2025  

Intermediate Fixed Income Fund

    160       2023  
      183       2024  
      237       2025  

 

During the period ended March 31, 2023, City National Rochdale did not recover previously waived fees for the Equity Income Fund.

 

6.

INVESTMENT TRANSACTIONS:

 

The cost of security purchases and proceeds from the sale and maturities of securities, other than temporary investments in short-term securities for the period ended March 31, 2023, were as follows for the Fixed Income Funds and Equity Funds:

 

   

Purchases

   

Sales and Maturities

 

Fund

 

U.S. Gov’t
(000)

   

Other
(000)

   

U.S. Gov’t
(000)

   

Other
(000)

 

Government Bond Fund

  $ 1,132     $     $ 3,910     $ 1,173  

Corporate Bond Fund

    2,488       2,919       2494       10,330  

California Tax Exempt Bond Fund

          4,921             10,552  

Municipal High Income Fund

          198,267             442,086  

Intermediate Fixed Income Fund

    1,984             9,822       4,679  

Fixed Income Opportunities Fund

          740,200             1,279,116  

Equity Income Fund

          14,892             29,988  

U.S. Core Equity

          82,300             92,707  

 

The Funds may purchase or sell investment securities in transactions with affiliated entities under procedures adopted by the Board, pursuant to the 1940 Act. These transactions are effected at market rates without incurring broker commissions.

 

7.

FEDERAL TAX INFORMATION:

 

Each Fund intends to qualify or continue to qualify as a regulated investment company for U.S. Federal income tax purposes and distribute all of its taxable income and net capital gains. Accordingly, no provisions for U.S. Federal income taxes are required.

 

Management has analyzed the Funds’ tax positions taken on U.S. Federal income tax returns for all open tax years and has concluded that as of September 30, 2022, no provision for income tax would be required in the Funds’ financial statements. The Funds’ U.S. Federal and state income and U.S. Federal excise tax returns for tax years for which the applicable statutes of limitations have not expired are subject to examination by the Internal Revenue Service and state departments of revenue.

 

The Funds may be subject to taxes imposed by countries in which they invest, with respect to their investments in issuers existing or operating in such countries. Such taxes are generally based on income earned. The Funds accrue such taxes when the related income is earned.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 124

 

 

 


 

 

The timing and characterization of certain income and capital gains distributions are determined annually in accordance with U.S. Federal tax regulations, which may differ from accounting principles generally accepted in the United States of America. As a result, net investment income/(loss) and net realized gain/(loss) on investment transactions for a reporting period may differ significantly from distributions during such period. These book/tax differences may be temporary or permanent. To the extent these differences are permanent in nature, they are charged or credited to distributable earnings or paid-in capital, as appropriate, in the period that the differences arise.

 

The tax character of dividends and distributions declared during the years ended September 30, 2022, and September 30, 2021, unless otherwise indicated were as follows:

 

Fund

 

Tax Exempt
Income
(000)

   

Ordinary
Income
(000)

   

Long-Term
Capital
Gain
(000)

   

Return of
Capital
(000)

   

Total
(000)

 

Government Money Market Fund

2022

  $     $ 22,017     $     $     $ 22,017  

2021

          636                   636  

Government Bond Fund

2022

  $       182     $     $     $ 182  

2021

          286                   286  

Corporate Bond Fund

2022

  $       1485       1373     $     $ 2,858  

2021

          1,679                   1,679  

California Tax Exempt Bond Fund

2022

    678       11       20     $     $ 709  

2021

    834       38       134             1,006  

Municipal High Income Fund

2022

  $ 54,772     $ 2,662     $     $     $ 57,434  

2021

    56,118       1,276                   57,394  

Intermediate Fixed Income Fund

2022

  $     $ 867     $ 2,477     $     $ 3,344  

2021

          948       266             1,214  

Fixed Income Opportunities Fund

2022

  $     $ 223,593     $     $     $ 223,593  

2021

          246,026     $             246,026  

Equity Income Fund

2022

  $     $ 5,722     $ 15,865     $     $ 21,587  

2021

          4,902       1,919     $       6,821  

U.S. Core Equity Fund

2022

  $     $ 1,134     $ 18,498     $     $ 19,632  

2021

          736     $     $       736  

 

As of September 30, 2022, the components of Distributable Earnings/(Accumulated Losses) on a tax basis were as follows:

 

Fund

 

Undistributed
Tax-Exempt
Income
(000)

   

Undistributed
Ordinary
Income
(000)

   

Undistributed
Long-Term
Capital Gain
(000)

   

Capital Loss
Carryforwards
(000)

   

Post-October
Losses
(000)

   

Unrealized
Appreciation
(Depreciation)
(000)

   

Other
Temporary
Differences
(000)*

   

Total
Distributable
Earnings
(Accumulated
Losses)
(000)

 

Government Money Market Fund

  $     $ 8,032     $     $     $ (2 )   $     $ (8,017 )   $ 13  

Government Bond Fund

          15             (504 )           (1,409 )     (13 )     (1,911 )

Corporate Bond Fund

          176       10                   (9,382 )     (115 )     (9,311 )

California Tax Exempt Bond Fund

    58                   (1 )     (1,495 )     (2,241 )     (60 )     (3,739 )

Municipal High Income Fund

    5,046                   (57,169 )     (85,986 )     (176,349 )     (4,614 )     (319,072 )

Intermediate Fixed Income Fund

          343                   (77 )     (8,048 )     (3 )     (7,785 )

Fixed Income Opportunities Fund

          86,593             (99,535 )     (229,927 )     (963,629 )     4       (1,206,494 )

Equity Income Fund

                25,253                   16,229       4       41,486  

U.S. Core Equity Fund

                7,275                   145,765             153,040  

 

*

Other temporary differences primarily consist of dividend payable.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 125

 

 

 

notes to financial statements/
consolidated notes to financial statements

March 31, 2023 (Unaudited)

 

 

Post-October losses represent losses realized on investments and foreign currency transactions from November 1, 2021, through September 30, 2022, that, in accordance with U.S. Federal income tax regulations, the Funds have elected to defer and treat as having arisen in the following fiscal year.

 

The Funds have capital losses carried forward as follows:

 

Fund

 

Short-Term Loss
(000)

   

Long-Term Loss
(000)

   

Total
(000)

 

Government Bond Fund

  $ 39     $ 465     $ 504  

California Tax Exempt Bond Fund

    1             1  

Municipal High Income Fund

    35,451       21,718       57,169  

Fixed Income Opportunities Fund

    950       98,585       99,535  

 

During the year ended September 30, 2022, the following Funds utilized capital loss carryforwards to offset capital gains amounting to:

 

Fund

 

Amount
(000)

 

Government Bond Fund

  $ 42  

 

The aggregate gross unrealized appreciation on investments, the aggregate gross unrealized depreciation on investments and the net unrealized appreciation/(depreciation) for tax purposes as of March 31, 2023, for each of the Fixed Income Funds’ and Equity Funds’ investments were as follows:

 

Fund

 

Federal
Tax Cost
(000)

   

Aggregate
Gross
Unrealized
Appreciation
(000)

   

Aggregate
Gross
Unrealized
Depreciation
(000)

   

Net
Unrealized
Appreciation
(Depreciation)
(000)

 

Government Bond Fund

  $ 18,950     $ 11     $ (876 )   $ (865 )

Corporate Bond Fund

    109,109       23       (6,844 )     (6,821 )

California Tax Exempt Bond Fund

    44,227       326       (329 )     (3 )

Municipal High Income Fund

    1,277,254       20,296       (118,960 )     (98,664 )

Intermediate Fixed Income Fund

    60,274       30       (5,740 )     (5,710 )

Fixed Income Opportunities Fund

    2,598,832       47,984       (415,340 )     (367,356 )

Equity Income Fund

    179,887       34,155       (11,885 )     22,270  

U.S. Core Equity Fund

    191,358       179,732       (1,844 )     177,888  

 

At March 31, 2023, the Government Money Market Fund’s cost of securities for U.S. Federal income tax purposes approximates the cost disclosed in the Schedule of Investments.

 

8.

CONCENTRATION OF RISK

 

In the normal course of business, the Funds enter into contracts that provide general indemnifications. The Funds’ maximum exposure under these arrangements is dependent on future claims that may be made against the Funds and, therefore, cannot be established; however, based on experience, the risk of loss from such claims is considered remote.

 

The Intermediate Fixed Income Fund, the Fixed Income Opportunities Fund and the Equity Income Fund may invest in exchange-traded notes (“ETNs”), each as a non-principal investment strategy. ETNs are unsecured debt obligations of investment banks which are traded on exchanges and the returns of which are linked to the performance of market indexes. In addition to trading ETNs on exchanges, investors may redeem ETNs directly with the issuer on a weekly basis, typically in a minimum amount of 50,000 units, or hold the ETNs until maturity. ETNs are riskier than ordinary unsecured debt securities and have no principal protection. The Funds will generally invest in ETNs which are linked to commodities indexes. A Fund’s investment in an ETN may be influenced by many unpredictable factors, including highly volatile commodities prices, changes in supply and demand relationships, weather, agriculture, trade, changes in interest rates, and monetary and other governmental policies, action and inaction. Investing in ETNs is not equivalent to investing directly in index components or the relevant index itself. Because ETNs are debt securities, they possess credit risk; if the issuer has financial difficulties or goes bankrupt, the investor may not receive the return expected and may suffer a loss.

 

The Municipal High Income Fund, Intermediate Fixed Income Fund and Fixed Income Opportunities Fund may invest in lower-rated corporate bonds, known as high yield bonds. High yield bonds involve greater risks of default, downgrade, or price declines and are more volatile than investment grade securities. Issuers of high yield bonds may be more susceptible than other issuers to economic downturns and investors are subject to a greater risk that the issuer may not be able to pay interest or dividends, or repay the principal upon maturity. Discontinuation of these payments could have a substantial adverse effect on the market value of the security.

 

The Intermediate Fixed Income Fund and Fixed Income Opportunities Fund may invest in asset-backed and mortgage-backed securities. As a general rule, prepayments of the principal of the loans underlying mortgage-backed or other pass-through securities increase during a period of falling interest rates and decrease during a period of rising interest rates. In periods of declining interest rates, as a result of prepayments a Fund may be required to reinvest its assets in securities with lower interest rates. In periods of increasing interest rates, the securities subject to prepayment risk held by a Fund may exhibit price characteristics of longer-term debt securities.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 126

 

 

 


 

 

The Intermediate Fixed Income Fund and Fixed Income Opportunities Fund may invest in bank loans. Bank loans are not traded on an exchange and purchasers and sellers of bank loans generally rely on market makers, typically the administrative agent under a bank loan, to effect private sales transactions. As a result, bank loans may have relatively less liquidity than other types of fixed income assets, and a Fund may be more likely to incur losses on the sale of bank loans than on other, more liquid, investments.

 

The Fixed Income Opportunities Fund may invest in beneficial interests in individual life insurance Policies. A Policy owner transfers his or her Policy at a discount to its face value (the amount that is payable upon the death of the insured) in return for an immediate cash settlement. The ultimate purchaser of the Policy (in this case, the Fund) is responsible for premiums payable on the Policy and is entitled to receive the full face value from the insurance company upon the death of the insured. If the Fund is unable to make premium payments on a Policy, the Policy will lapse and the Fund will lose its ownership interest in the Policy. There is currently no established secondary market for Policies, and the Policies are not considered liquid investments by the Fund. If the Fund must sell Policies to meet redemption requests or for other cash needs, the Fund may be forced to sell at a loss. The longer the insured lives, the lower the Fund’s rate of return on the Policy. The underwriter’s estimate of the insured’s life expectancy may be incorrect. An insurance company may be unable or may refuse to pay benefits on a Policy. In addition, market quotations will not be readily available for the Policies and the Policies will be priced using a fair value methodology adopted by the Board. The sales price the Fund could receive for a Policy may differ from the Trust’s valuation of the Policy. A Policy is a liability of the issuing life insurance company, and if the life insurance company goes out of business, sufficient funds may not be available to pay that liability.

 

California Tax Exempt Bond Fund – Specific Risks

 

The ability of issuers to pay interest on, and repay the principal of, California municipal securities may be affected by economic and political developments in the State of California.

 

Certain securities are backed by letters of credit from various financial institutions and financial guaranty assurance agencies. These letters of credit enhance the credit quality of the individual securities; however, if any of the financial institutions’ or financial guaranty assurance agencies’ credit quality should deteriorate, it could cause the individual security’s credit quality to change. Additionally, if the Fund concentrates its letters of credit in any one financial institution, the risk of credit quality deterioration increases.

 

A more complete description of risks is included in the Funds’ prospectus and statement of additional information.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 127

 

 

 

notes to financial statements/
consolidated notes to financial statements

March 31, 2023 (Unaudited)

 

 

9.

CAPITAL SHARES ISSUED AND REDEEMED:

 

Capital share activity for the period ended March 31, 2023, and the year ended September 30, 2021, was as follows (000):

 

   

Government Money Market Fund

     

Government Bond Fund

     

Corporate Bond Fund

 
   

2023

   

2022

     

2023

   

2022

     

2023

   

2022

 

CAPITAL SHARES ISSUED AND REDEEMED:

                                           

Institutional Class:

                                                   

Shares issued

                                       

Shares issued in lieu of dividends and distributions

                                       

Shares redeemed

                                       

Net Institutional Class transactions

                                       

Class N:

                                                   

Shares issued

    937,049       564,965         4       10         225       148  

Shares issued in lieu of dividends and distributions

    6,936       961               1         5       20  

Shares redeemed

    (840,883 )     (860,618 )       (30 )     (77 )       (452 )     (334 )

Net Class N transactions

    103,102       (294,692 )       (26 )     (66 )       (222 )     (166 )

Class S:

                                                   

Shares issued

    1,727,115       2,355,075                              

Shares issued in lieu of dividends and distributions

                                       

Shares redeemed

    (1,708,915 )     (2,319,186 )                            

Net Class S transactions

    18,200       35,889                              

Servicing Class:

                                                   

Shares issued

    11,753,246       10,595,087         145       202         1,575       2,158  

Shares issued in lieu of dividends and distributions

    47,165       8,237         1       2         6       24  

Shares redeemed

    (10,820,830 )     (10,556,161 )             (749 )       (1,851 )     (1,813 )

Net Servicing Class transactions

    979,581       47,163         146       (545 )       (270 )     369  

 

   

California Tax Exempt Bond Fund

     

Municipal High
Income Fund

 
   

2023

   

2022

     

2023

   

2022

 

CAPITAL SHARES ISSUED AND REDEEMED:

                                 

Class N:

                                 

Shares issued

    21       53         16,992       35,148  

Shares issued in lieu of dividends and distributions

    2       3         818       1,704  

Shares redeemed

    (244 )     (95 )       (36,708 )     (55,285 )

Net Class N transactions

    (221 )     (39 )       (18,898 )     (18,433 )

Servicing Class:

                                 

Shares issued

    697       838         6,769       24,505  

Shares issued in lieu of dividends and distributions

    3       8         220       433  

Shares redeemed

    (864 )     (3,104 )       (15,862 )     (33,287 )

Net Servicing Class transactions

    (164 )     (2,258 )       (8,873 )     (8,349 )

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 128

 

 

 


 

 

   

Intermediate Fixed Income Fund

     

Fixed Income Opportunities Fund

 
   

2023

   

2022

     

2023

   

2022

 

CAPITAL SHARES ISSUED AND REDEEMED:

       

Institutional Class:

                                 

Shares issued

          3                

Shares issued in lieu of dividends and distributions

          2                

Shares redeemed

    (14 )     (57 )              

Net Institutional Class transactions

    (14 )     (52 )              

Class N:

                                 

Shares issued

    410       382         11,660       47,379  

Shares issued in lieu of dividends and distributions

    17       112         4,769       7,421  

Shares redeemed

    (927 )     (1,208 )       (58,408 )     (65,498 )

Net Class N transactions

    (500 )     (714 )       (41,979 )     (10,698 )

Class Y:

                                 

Shares issued

                         

Shares issued in lieu of dividends and distributions

                         

Shares redeemed

                         

Net Class Y transactions

                         

 

   

Equity Income Fund

     

U.S. Core Equity Fund

 
   

2023

   

2022

     

2023

   

2022

 

CAPITAL SHARES ISSUED AND REDEEMED:

Institutional Class:

                                 

Shares issued

                  1       3  

Shares issued in lieu of dividends and distributions

                        (a) 

Shares redeemed

                        (3 )

Net Institutional Class transactions

                  1       (a) 

Class N:

                                 

Shares issued

    426       712         534       1,176  

Shares issued in lieu of dividends and distributions

    525       350         163       315  

Shares redeemed

    (642 )     (1,183 )       (725 )     (1,264 )

Net Class N transactions

    309       (121 )       (28 )     227  

Servicing Class:

                                 

Shares issued

                  373       771  

Shares issued in lieu of dividends and distributions

                  16       33  

Shares redeemed

                  (447 )     (918 )

Net Servicing Class transactions

                  (58 )     (114 )

 

(a)

Less than 1,000.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 129

 

 

 

notes to financial statements/
consolidated notes to financial statements

March 31, 2023 (Unaudited)

 

 

10.

LINE OF CREDIT

 

The Funds, except for the Government Money Market Fund, have an unsecured Loan Agreement (“LOC”) with U.S. Bank N.A. Under the terms of the LOC, borrowings for an individual Fund are limited to either the lesser of 10% of the Fund’s net assets or an explicit amount on the LOC. Interest is charged to a Fund based on its borrowings at prime rate minus 0.50%.

 

Borrowing activity under the LOC for the period ended March 31, 2023, was as follows:

 

Fund

 

Maximum
Amount
of Line of
Credit
(000)

   

Interest
Expense
(000)

   

Average
Rate

   

Average
Borrowings
(000)

   

Maximum
Amount
Outstanding
(000)

 

Fixed Income Opportunities Fund

  $ 400,000     $ 402       2.75 %   $ 32,240     $ 81,895  

Equity Income Fund

    400,000       3       2.75       849       5,601  

 

11. SUBSEQUENT EVENTS

 

The Trust has evaluated the need for additional disclosures and/or adjustments resulting from subsequent events. Based on this evaluation, no adjustments were required to the financial statements as of March 31, 2023, and no issues were noted to disclose.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 130

 

 

 

disclosure of fund expenses (Unaudited)

 

 

All mutual funds have operating expenses. As a shareholder of a Fund, your investment is affected by these ongoing costs, which include (among others) costs for portfolio management, administrative services, class-specific distribution fees, acquired fund fees and shareholder reports like this one. It is important for you to understand the impact of these costs on your investment returns.

 

Operating expenses such as these are deducted from a Fund’s gross income and directly reduce your final investment return. These expenses are expressed as a percentage of the Fund’s average net assets; this percentage is known as the Fund’s expense ratio.

 

The following examples use the expense ratio and are intended to help you understand the ongoing costs (in dollars) of investing in a Fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period (October 1, 2022 through March 31, 2023).

 

The table below illustrates each Fund’s costs in two ways:

 

Actual Fund Return. This section helps you to estimate the actual expenses that each Fund incurred over the period. The “Expenses Paid During Period” column shows the actual dollar expense cost incurred by a $1,000 investment in each Fund, and the “Ending Account Value” number is derived from deducting that expense cost from each Fund’s gross investment return.

 

You can use this information, together with the actual amount you invested in a Fund, to estimate the expenses you paid over that period. Simply divide your actual account value by $1,000 to arrive at a ratio (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply that ratio by the number shown for the Fund under “Expenses Paid During Period.”

 

Hypothetical 5% Return. This section helps you compare each Fund’s costs with those of other mutual funds. It assumes that each Fund had an annual 5% return before expenses during the year, but that the expense ratio (Column 3) for the period is unchanged. This example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to make this 5% calculation. You can assess each Fund’s comparative cost by comparing the hypothetical result for each Fund in the “Expenses Paid During Period” column with those that appear in the same charts in the shareholder reports for other funds.

 

NOTE: Because the return is set at 5% for comparison purposes - NOT each Fund’s actual return - the account values shown do not apply to your specific investment.

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 131

 

 

 

disclosure of fund expenses (Unaudited)

 

 

   

Beginning
Account
Value
10/1/2022

   

Ending
Account
Value
3/31/2023

   

Annualized
Expense
Ratios

   

Expense
Paid During
Period*

 

City National Rochdale Government Money Market Fund

Actual Fund Return

                               

Class N

  $ 1,000.00     $ 1,017.00       0.65 %   $ 3.27  

Class S

    1,000.00       1,016.20       0.80 %     4.02  

Servicing Class

    1,000.00       1,018.50       0.35 %     1.76  
                                 

Hypothetical 5% Return

                               

Class N

  $ 1,000.00     $ 1,021.69       0.65 %   $ 3.28  

Class S

    1,000.00       1,019.85       0.80 %     4.03  

Servicing Class

    1,000.00       1,023.19       0.35 %     1.77  
                                 

City National Rochdale Government Bond Fund

Actual Fund Return

                               

Class N

  $ 1,000.00     $ 1,030.70       1.04 %   $ 5.27  

Servicing Class

    1,000.00       1,032.00       0.79 %     4.00  
                                 

Hypothetical 5% Return

                               

Class N

  $ 1,000.00     $ 1,019.75       1.04 %   $ 5.24  

Servicing Class

    1,000.00       1,020.99       0.79 %     3.98  
                                 

City National Rochdale Corporate Bond Fund

Actual Fund Return

                               

Class N

  $ 1,000.00     $ 1,030.80       1.01 %   $ 5.11  

Servicing Class

    1,000.00       1,031.10       0.76 %     3.85  
                                 

Hypothetical 5% Return

                               

Class N

  $ 1,000.00     $ 1,019.90       1.01 %   $ 5.09  

Servicing Class

    1,000.00       1,021.14       0.76 %     3.83  
 

City National Rochdale California Tax Exempt Bond Fund

Actual Fund Return

                               

Class N

  $ 1,000.00     $ 1,043.30       0.89 %   $ 4.53  

Servicing Class

    1,000.00       1,043.80       0.64 %     3.26  
                                 

Hypothetical 5% Return

                               

Class N

  $ 1,000.00     $ 1,020.49       0.89 %   $ 4.48  

Servicing Class

    1,000.00       1,021.74       0.64 %     3.23  
                                 

City National Rochdale Municipal High Income Fund

Actual Fund Return

                               

Class N

  $ 1,000.00     $ 1,039.70       1.08 %   $ 5.49  

Servicing Class

    1,000.00       1,041.00       0.83 %     4.22  
                                 

Hypothetical 5% Return

                               

Class N

  $ 1,000.00     $ 1,019.55       1.08 %   $ 5.44  

Servicing Class

    1,000.00       1,020.79       0.83 %     4.18  
 

City National Rochdale Intermediate Fixed Income Fund

Actual Fund Return

                               

Institutional Class

  $ 1,000.00     $ 1,034.50       0.51 %   $ 2.59  

Class N

    1,000.00       1,032.00       1.01 %     5.12  
                                 

Hypothetical 5% Return

                               

Institutional Class

  $ 1,000.00     $ 1,022.39       0.51 %   $ 2.57  

Class N

    1,000.00       1,019.90       1.01 %     5.09  
                                 

City National Rochdale Fixed Income Opportunities Fund

Actual Fund Return

                               

Class N

  $ 1,000.00     $ 1,066.80       1.10 %   $ 5.62  
                                 

Hypothetical 5% Return

                               

Class N

  $ 1,000.00     $ 1,019.50       1.10 %   $ 5.49  
                                 

City National Rochdale Equity Income Fund

Actual Fund Return

                               

Class N

  $ 1,000.00     $ 1,085.20       1.28 %   $ 6.65  
                                 

Hypothetical 5% Return

                               

Class N

  $ 1,000.00     $ 1,018.55       1.28 %   $ 6.44  
                                 

City National Rochdale U.S. Core Equity Fund

Actual Fund Return

                               

Institutional Class

  $ 1,000.00     $ 1,159.40       0.53 %   $ 2.85  

Class N

    1,000.00       1,156.30       1.03 %     5.54  

Servicing Class

    1,000.00       1,158.10       0.78 %     4.20  
                                 

Hypothetical 5% Return

                               

Institutional Class

  $ 1,000.00     $ 1,022.29       0.53 %   $ 2.67  

Class N

    1,000.00       1,019.80       1.03 %     5.19  

Servicing Class

    1,000.00       1,021.04       0.78 %     3.93  

 

 

*

Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by 182/365 (to reflect the on-half year period).

 

CITY NATIONAL ROCHDALE FUNDS | PAGE 132

 

 

 

liquidity risk management program (Unaudited)

 

 

The Securities and Exchange Commission adopted Rule 22e-4 under the Investment Company Act of 1940, as amended (the “Liquidity Rule”), which requires an open-end investment company to adopt a written liquidity risk management program that is reasonably designed to assess and manage the fund’s liquidity risk. A fund’s “liquidity risk” is the risk that the fund could not meet requests to redeem shares issued by the fund without significant dilution of the remaining investors’ interests in the fund.

 

The series of City National Rochdale Funds (the “Trust”), excluding the City National Rochdale Government Money Market Fund (for purposes of this section only, the “Funds”), have adopted and implemented a liquidity risk management program pursuant to the Liquidity Rule (the “Program”). The Board of Trustees of the Trust (the “Board”) has appointed City National Rochdale, LLC, the Funds’ investment adviser (“City National Rochdale”), as the Program administrator for the Funds. City National Rochdale established a Liquidity Risk Management Committee to manage the Program for the Funds. The Committee’s responsibilities include oversight of the liquidity risk management process, reporting to the Board, and reviewing the Program’s effectiveness. As part of its responsibilities as the Program administrator, City National Rochdale has retained a third party to perform certain functions, including providing market data and liquidity classifications for the Funds’ investments.

 

At a Board meeting held on December 1, 2022, City National Rochdale provided a written report (the “Report”) to the Board addressing the operation, adequacy, and effectiveness of the Program, including any material changes to the Program, for the period from October 1, 2021, through September 30, 2022 (the “Reporting Period”). The Report concluded that the Program was adequately implemented and operated effectively during the Reporting Period. There were no material changes to the Program during the Reporting Period.

 

There can be no assurance that the Program will achieve its objectives in the future. Please refer to your Fund’s prospectus and statement of additional information for more information regarding the Fund’s exposure to liquidity risk, and the other principal risks to which an investment in the Fund may be subject.

 

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CNR-SA-004-1500

 

 

 

Item 2. Code of Ethics.

 

Not applicable for semi-annual report.

 

Item 3. Audit Committee Financial Expert.

 

Not applicable for semi-annual report.

 

Item 4. Principal Accountant Fees and Services.

 

Not applicable for semi-annual report.

 

Item 5. Audit Committee of Listed Registrants.

 

Not applicable to open-end management investment companies.

 

Item 6. Investments

 

Schedule of Investments is included as part of the Report to Shareholders filed under Item 1 of this form.

 

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

 

Not applicable to open-end management investment companies.

 

Item 8. Portfolio Managers of Closed-End Management Investment Companies

 

Not applicable to open-end management investment companies.

 

Item 9. Purchases of Equity Securities by Closed-End Management Company and Affiliated Purchasers.

 

Not applicable to open-end management investment companies.

 

Item 10. Submission of Matters to a Vote of Security Holders.

 

There have been no changes to the procedures by which shareholders may recommend nominees to the Registrant’s Board of Trustees during the period covered by this report

 

Item 11. Controls and Procedures.

 

(a) The Registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the Registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Act (17 CFR 270.30a-3(c))) as of a date within 90 days of the filing date of the report, are effective based on the evaluation of these controls and procedures required by Rule 30a-3(b) under the Act (17 CFR 270.30a-3(b)) and Rules 13a-15(b) or 15d-15(b) under the Exchange Act (17 CFR 240.13a-15(b) or 240.15d-15(b)).

 

(b) There has been no change in the Registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the Act (17 CFR 270.30a-3(d)) that occurred during the period covered by this report that has materially affected, or is reasonably likely to materially affect, the Registrant’s internal control over financial reporting.

 

 

 

 

Items 12. Disclosure of Securities Lending Activities for Closed-End Management Investment Companies.

 

Not applicable to open-end management investment companies.

 

Items 13. Exhibits.

 

(a)(1) Not applicable for semi-annual report.

 

(a)(2) A separate certification for each principal executive officer and principal financial officer of the Registrant as required by Rule 30a-2(a) under the Investment Company Act of 1940, as amended (17 CFR 270.30a-2(a)), are filed herewith.

 

(b) Officer certifications as required by Rule 30a-2(b) under the Investment Company Act of 1940, as amended (17 CFR 270.30a-2(b)) also accompany this filing as an Exhibit.

 

 

 

 

SIGNATURES

 

Pursuant to the requirements of the securities Exchange Act of 1934 and the Investment Company Act of 1940, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

(Registrant)   City National Rochdale Funds  
       
By (Signature and Title)   /s/ Garrett R. D’Alessandro  
    Garrett R. D’Alessandro,  
    President and Chief Executive Officer  
Date: June 8, 2023      

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the Registrant and in the capacities and on the dates indicated.

 

By (Signature and Title)   /s/ Garrett R. D’Alessandro  
    Garrett R. D’Alessandro,  
Date: June 8, 2023   President and Chief Executive Officer  
       
By (Signature and Title)   /s/ Andrew Metzger  
   

Andrew Metzger,

Treasurer (Principal Financial and Accounting Officer and Controller)

 
Date: June 8, 2023      

 

 

EX-99.CERT 2 fp0083096-1_ex99cert.htm

 

CERTIFICATION

Pursuant to Rule 30a-2(a) under the Investment Company Act of 1940

and Section 302 of the Sarbanes-Oxley Act of 2002

I, Garrett R. D’Alessandro, certify that: 

1.I have reviewed this report on Form N-CSRS of the City National Rochdale Funds (the “Registrant”);

 

2.Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.

 Based on my knowledge, the financial statements, and other financial information, included in this report fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the Registrant as of, and for, the periods presented in this report;

 

4.The Registrant’s other certifying officer(s), if any, and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the Registrant and have:

 

(a)Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the Registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b)Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c)Evaluated the effectiveness of the Registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report, based on such evaluation; and

 

(d)Disclosed in this report any change in the Registrant’s internal control over financial reporting that occurred during the period covered by this report that has materially affected, or is reasonably likely to materially affect, the Registrant’s internal control over financial reporting; and

 

5.The Registrant’s other certifying officer(s) and I have disclosed to the Registrant’s auditors and the audit committee of the Registrant’s board of directors (or persons performing the equivalent functions):

 

(a)All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the Registrant’s ability to record, process, summarize, and report financial information; and

 

(b)Any fraud, whether or not material, that involves management or other employees who have a significant role in the Registrant’s internal control over financial reporting.

 

Date: June 8, 2023  
   
/s/ Garrett R. D’Alessandro  
Garrett R. D’Alessandro  
President and Chief Executive Officer  

 

 

 

CERTIFICATION

Pursuant to Rule 30a-2(a) under the Investment Company Act of 1940

and Section 302 of the Sarbanes-Oxley Act of 2002

I, Andrew Metzger, certify that:

1.I have reviewed this report on Form N-CSRS of the City National Rochdale Funds (the “Registrant”);

 

2.Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.Based on my knowledge, the financial statements, and other financial information, included in this report fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the Registrant as of, and for, the periods presented in this report;

 

4.The Registrant’s other certifying officer(s), if any, and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the Registrant and have:

 

(a)Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the Registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b)Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c)Evaluated the effectiveness of the Registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report, based on such evaluation; and

 

(d)Disclosed in this report any change in the Registrant’s internal control over financial reporting that occurred during the period covered by this report that has materially affected, or is reasonably likely to materially affect, the Registrant’s internal control over financial reporting; and

 

5.The Registrant’s other certifying officer(s) and I have disclosed to the Registrant’s auditors and the audit committee of the Registrant’s board of directors (or persons performing the equivalent functions):

 

(a)All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the Registrant’s ability to record, process, summarize, and report financial information; and

 

(b)Any fraud, whether or not material, that involves management or other employees who have a significant role in the Registrant’s internal control over financial reporting.

 

Date: June 8, 2023  
 
/s/ Andrew Metzger  
Andrew Metzger  

Treasurer (Principal Financial and Accounting Officer and Controller) 

 

 

 

 

EX-99.906 CERT 3 fp0083096-1_ex99906cert.htm

 

CERTIFICATION

Pursuant to 18 U.S.C. Section 1350,

As Adopted Pursuant to Section 906

of the Sarbanes-Oxley Act of 2002

 

The undersigned, Garrett R. D’Alessandro, the President and Chief Executive Officer of the City National Rochdale Funds (the “Funds”), with respect to the Funds’ Form N-CSRS for the period ended March 31, 2023, as filed with the Securities and Exchange Commission, hereby certifies, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of my knowledge:

 

1.such Form N-CSRS fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

2.the information contained in such Form N-CSRS fairly presents, in all material respects, the financial condition and results of operations of the Funds.

 

Dated: June 8, 2023      
  /s/ Garrett R. D’Alessandro  
  Garrett R. D’Alessandro  
  President and Chief Executive Officer  

 

 

 

 

CERTIFICATION

Pursuant to 18 U.S.C. Section 1350,

As Adopted Pursuant to Section 906

of the Sarbanes-Oxley Act of 2002

 

The undersigned, Andrew Metzger, the Treasurer of the City National Rochdale Funds (the “Funds”), with respect to the Funds’ Form N-CSRS for the period ended March 31, 2023, as filed with the Securities and Exchange Commission, hereby certifies, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of my knowledge:

 

1.such Form N-CSRS fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

2.the information contained in such Form N-CSRS fairly presents, in all material respects, the financial condition and results of operations of the Funds.

 

Dated: June 8, 2023      
  /s/ Andrew Metzger  
  Andrew Metzger  
  Treasurer (Principal Financial and Accounting Officer and Controller)  

 

 

 

 

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