0001752724-23-222738.txt : 20230929 0001752724-23-222738.hdr.sgml : 20230929 20230929101937 ACCESSION NUMBER: 0001752724-23-222738 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230731 FILED AS OF DATE: 20230929 DATE AS OF CHANGE: 20230929 PERIOD START: 20231031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: OAK ASSOCIATES FUNDS CENTRAL INDEX KEY: 0001050918 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-08549 FILM NUMBER: 231292621 BUSINESS ADDRESS: STREET 1: C/O ULTIMUS FUND SOLUTIONS, LLC STREET 2: 225 PICTORIA DRIVE, SUITE 450 CITY: CINCINNATI STATE: OH ZIP: 45246 BUSINESS PHONE: 513-587-3405 MAIL ADDRESS: STREET 1: C/O ULTIMUS FUND SOLUTIONS, LLC STREET 2: 225 PICTORIA DRIVE, SUITE 450 CITY: CINCINNATI STATE: OH ZIP: 45246 0001050918 S000006542 LIVE OAK HEALTH SCIENCES FUND C000017877 LIVE OAK HEALTH SCIENCES FUND LOGSX NPORT-P 1 primary_doc.xml NPORT-P false 0001050918 XXXXXXXX S000006542 C000017877 Oak Associates Funds 811-08549 0001050918 54930064H3XUADDZTB14 3875 Embassy Parkway Suite 250 Akron 44333 888-462-5386 LIVE OAK HEALTH SCIENCES FUND S000006542 5493006TJLEUT3TZCA70 2023-10-31 2023-07-31 N 52901880.70 60385.02 52841495.68 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00 N Regeneron Pharmaceuticals, Inc. 549300RCBFWIRX3HYQ56 Regeneron Pharmaceuticals, Inc. 75886F107 3190.00000000 NS USD 2366692.90000000 4.478852972543 Long EC CORP US N 1 N N N Humana Inc. 529900YLDW34GJAO4J06 Humana, Inc. 444859102 3614.00000000 NS USD 1650983.62000000 3.124407435395 Long EC CORP US N 1 N N Novartis AG 5493007HIVTX6SY6XD66 Novartis AG 66987V109 11600.00000000 NS USD 1216840.00000000 2.302811425643 Long EC CORP CH N 1 N N N Cardinal Health, Inc. CCU46N3GJMF4OK4N7U60 Cardinal Health, Inc. 14149Y108 22235.00000000 NS USD 2033835.45000000 3.848936188931 Long EC CORP US N 1 N N N Elevance Health Inc. 8MYN82XMYQH89CTMTH67 Elevance Health, Inc. 036752103 3418.00000000 NS USD 1612031.34000000 3.050692110916 Long EC CORP US N 1 N N N Molina Healthcare, Inc. 549300NQQCEQ46YHZ591 Molina Healthcare, Inc. 60855R100 5191.00000000 NS USD 1580607.59000000 2.991224168921 Long EC CORP US N 1 N N N AmerisourceBergen Corporation AI8GXW8LG5WK7E9UD086 AmerisourceBergen Corp. 03073E105 13739.00000000 NS USD 2567819.10000000 4.859474674127 Long EC CORP US N 1 N N N Exelixis, Inc. 254900PJQB59O2O95R37 Exelixis, Inc. 30161Q104 86379.00000000 NS USD 1702530.09000000 3.221956661314 Long EC CORP US N 1 N N N Laboratory Corp of America Holdings OZ7UA8IXAIFILY2VZH07 Laboratory Corp of America Holdings 50540R409 7425.00000000 NS USD 1588430.25000000 3.006028178345 Long EC CORP US N 1 N N N Jazz Pharmaceuticals PLC 635400GAUMJCLEZRRV50 Jazz Pharmaceuticals PLC G50871105 12693.00000000 NS USD 1655421.06000000 3.132805078086 Long EC CORP IE N 1 N N N Amgen Inc. 62QBXGPJ34PQ72Z12S66 Amgen, Inc. 031162100 10240.00000000 NS USD 2397696.00000000 4.537524854557 Long EC CORP US N 1 N N N Thermo Fisher Scientific Inc HCHV7422L5HDJZCRFL38 Thermo Fisher Scientific, Inc. 883556102 3023.00000000 NS USD 1658599.18000000 3.138819517986 Long EC CORP US N 1 N N N United Therapeutics Corporation 5299005C4HZL4UWROC14 United Therapeutics Corp. 91307C102 7465.00000000 NS USD 1811904.80000000 3.428943062044 Long EC CORP US N 1 N N N Incyte Corporation. 549300Z4WN6JVZ3T4680 Incyte Corp. 45337C102 25041.00000000 NS USD 1595612.52000000 3.019620280362 Long EC CORP US N 1 N N N Stryker Corporation 5493002F0SC4JTBU5137 Stryker Corp. 863667101 4479.00000000 NS USD 1269393.39000000 2.402266199441 Long EC CORP US N 1 N N N Gilead Sciences, Inc. 549300WTZWR07K8MNV44 Gilead Sciences, Inc. 375558103 13718.00000000 NS USD 1044488.52000000 1.976644503640 Long EC CORP US N 1 N N N Biogen Inc W8J5WZB5IY3K0NDQT671 Biogen, Inc. 09062X103 5006.00000000 NS USD 1352571.14000000 2.559676107941 Long EC CORP US N 1 N N N Mount Vernon Liquid Assets Portfolio, LLC N/A Mount Vernon Liquid Assets Portfolio, LLC 000000000 2787252.50000000 PA USD 2787252.50000000 5.274741874982 Long STIV CORP US N N/A N N Bio-Rad Laboratories, Inc. 549300ZC1GPV35XYDK53 Bio-Rad Laboratories, Inc. 090572207 4333.00000000 NS USD 1756424.88000000 3.323949970372 Long EC CORP US N 1 N N N Centene Corporation 549300Z7JJ4TQSQGT333 Centene Corp. 15135B101 15000.00000000 NS USD 1021350.00000000 1.932855962641 Long EC CORP US N 1 N N N Moderna Inc 549300EI6OKH5K5Q2G38 Moderna, Inc. 60770K107 12813.00000000 NS USD 1507577.58000000 2.853018372397 Long EC CORP US N 1 N N N CVS Health Corp 549300EJG376EN5NQE29 CVS Health Corp. 126650100 15000.00000000 NS USD 1120350.00000000 2.120208721540 Long EC CORP US N 1 N N McKesson Corporation 549300WZWOM80UCFSF54 McKesson Corp. 58155Q103 5448.00000000 NS USD 2192275.20000000 4.148775828140 Long EC CORP US N 1 N N N UnitedHealth Group Inc. 549300GHBMY8T5GXDE41 UnitedHealth Group, Inc. 91324P102 3369.00000000 NS USD 1705960.53000000 3.228448604731 Long EC CORP US N 1 N N N Medtronic PLC 549300GX3ZBSQWUXY261 Medtronic PLC G5960L103 21490.00000000 NS USD 1885962.40000000 3.569093523432 Long EC CORP IE N 1 N N N The Cigna Group 549300VIWYMSIGT1U456 Cigna Group/The 125523100 5499.00000000 NS USD 1622754.90000000 3.070985934666 Long EC CORP US N 1 N N N Ensign Group Inc 5493003K4HEEA8Q0BC72 Ensign Group, Inc./The 29358P101 11558.00000000 NS USD 1119623.46000000 2.118833779384 Long EC CORP US N 1 N N Johnson & Johnson 549300G0CFPGEF6X2043 Johnson & Johnson 478160104 7019.00000000 NS USD 1175893.07000000 2.225321321563 Long EC CORP US N 1 N N N N/A N/A Prime Solutions 5.01% 8/1/23 N/A 2750116.96000000 PA USD 2750116.96000000 5.204464643950 Long RA CORP US N N/A Repurchase N 5.01000000 2023-08-01 2820985.07000000 USD 2805131.06000000 USD UST N N N Vertex Pharmaceuticals Incorporated 54930015RAQRRZ5ZGJ91 Vertex Pharmaceuticals, Inc. 92532F100 5515.00000000 NS USD 1943155.10000000 3.677327969229 Long EC CORP US N 1 N N N Intuitive Surgical Inc. 54930052SRG011710797 Intuitive Surgical, Inc. 46120E602 6458.00000000 NS USD 2094975.20000000 3.964640237829 Long EC CORP US N 1 N N N Merck & Co., Inc 4YV9Y5M8S0BRK1RP0397 Merck & Co., Inc. 58933Y105 11852.00000000 NS USD 1264015.80000000 2.392089367898 Long EC CORP US N 1 N N N Quest Diagnostics Incorporated 8MCWUBXQ0WE04KMXBX50 Quest Diagnostics, Inc. 74834L100 4453.00000000 NS USD 602090.13000000 1.139426736983 Long EC CORP US N 1 N N N 2023-07-31 Oak Associates Funds Gregory Knoth Gregory Knoth SVP, Mutual Fund Controller XXXX NPORT-EX 2 ultimus_5710.htm NPORT-EX FILE JULY 2023
White
Oak
Select
Growth
Fund
Schedule
of
Investments
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
98.97%
Shares
Fair
Value
COMMUNICATIONS
-
19.31%
Internet
Media
&
Services
-
19.31%
Alphabet,
Inc.
-
Class
A
(a)
152,000‌
$
20,173,440‌
Alphabet,
Inc.
-
Class
C
(a)
248,000‌
33,011,280‌
Meta
Platforms,
Inc.
-
Class
A
(a)
56,975‌
18,152,235‌
71,336,955‌
CONSUMER
DISCRETIONARY
-
17.08%
E-Commerce
Discretionary
-
11.37%
Amazon.com,
Inc.
(a)
314,100‌
41,988,888‌
Retail
-
Discretionary
-
5.71%
Lowe's
Companies,
Inc.
90,000‌
21,084,300‌
FINANCIALS
-
15.52%
Asset
Management
-
5.62%
Charles
Schwab
Corp.
(The)
314,100‌
20,762,010‌
Banking
-
5.95%
JPMorgan
Chase
&
Co.
139,065‌
21,966,708‌
Institutional
Financial
Services
-
0.69%
State
Street
Corp.
35,000‌
2,535,400‌
Insurance
-
3.26%
Chubb
Ltd.
58,937‌
12,047,312‌
HEALTH
CARE
-
23.04%
Biotech
&
Pharma
-
11.16%
Amgen,
Inc.
82,460‌
19,308,009‌
Novartis
AG
-
ADR
114,060‌
11,964,894‌
Pfizer,
Inc.
275,700‌
9,941,742‌
41,214,645‌
Health
Care
Facilities
&
Services
-
5.81%
Cigna
Corp.
32,952‌
9,724,136‌
Fortrea
Holdings,
Inc.
(a)(b)
47,770‌
1,526,729‌
Laboratory
Corporation
of
America
Holdings
(b)
47,770‌
10,219,436‌
21,470,301‌
Medical
Equipment
&
Devices
-
6.07%
Alcon,
Inc.
(b)
138,000‌
11,718,960‌
Zimmer
Biomet
Holdings,
Inc.
77,390‌
10,691,428‌
22,410,388‌
TECHNOLOGY
-
24.02%
Semiconductors
-
15.33%
KLA
Corp.
49,835‌
25,612,698‌
NXP
Semiconductors
NV
66,513‌
14,831,069‌
QUALCOMM,
Inc.
122,300‌
16,164,391‌
56,608,158‌
Technology
Hardware
-
6.90%
Cisco
Systems,
Inc.
490,000‌
25,499,600‌
White
Oak
Select
Growth
Fund
Schedule
of
Investments
(continued)
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
98.97%
(Continued)
Shares
Fair
Value
TECHNOLOGY
-
24.02%
(Continued)
Technology
Services
-
1.79%
Cognizant
Technology
Solutions
Corp.
-
Class
A
100,000‌
$
6,603,000‌
TOTAL
COMMON
STOCKS 
(Cost $161,268,953)
365,527,665‌
SHORT-TERM
INVESTMENTS
-
2.16%
Shares
Fair
Value
REPURCHASE
AGREEMENTS
-
0.98%
Tri-Party
Repurchase
Agreement
with
South
Street
Securities
LLC
and
Bank
of
New
York
Mellon,
5.01%,
dated
7/31/2023
and
maturing
8/1/2023,
collateralized
by
U
.
S
.
Treasury
Securities
with
rates
ranging
from
4
.00
%
to
4
.25
%
and
maturity
dates
ranging
from
12/31/2024
to
7/31/2030
with
a
par
value
of
$3,729,007
and
a
collateral
value
of
$3,708,050
3,635,328‌
3,635,328‌
COLLATERAL
FOR
SECURITIES
LOANED
-
1.18%
Mount
Vernon
Liquid
Ass
ets
Portfolio,
LLC,
5.47%
(c)
4,343,790‌
4,343,790‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost $7,979,118)
7,979,118‌
TOTAL
INVESTMENTS
-
101.13%
(Cost
$169,248,071)
373,506,783‌
Liabilities
in
Excess
of
Other
Assets - (1.13)%
(4,180,025‌)
NET
ASSETS
-
100.00%
$
369,326,758‌
(a)
Non-income
producing
security.  
(b)
Security,
or
a
portion
of
the
security
position,
is
currently
on
loan.
The
total
market
value
of
securities
on
loan
is
$4,258,986.
(c)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
July
31,
2023.
ADR
-
American
Depositary
Receipt
Pin
Oak
Equity
Fund
Schedule
of
Investments
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
96.76%
Shares
Fair
Value
COMMUNICATIONS
-
18.89%
Entertainment
Content
-
1.13%
Activision
Blizzard,
Inc.
(a)
15,632‌
$
1,450,025‌
Internet
Media
&
Services
-
17.76%
Alphabet,
Inc.
-
Class
A
(a)
27,500‌
3,649,800‌
Alphabet,
Inc.
-
Class
C
(a)
99,180‌
13,201,850‌
Meta
Platforms,
Inc.
-
Class
A
(a)
18,569‌
5,916,083‌
22,767,733‌
CONSUMER
DISCRETIONARY
-
13.08%
E-Commerce
Discretionary
-
13.08%
Amazon.com,
Inc.
(a)
92,150‌
12,318,612‌
eBay,
Inc.
(b)
100,000‌
4,451,000‌
16,769,612‌
ENERGY
-
1.08%
Oil
&
Gas
Producers
-
1.08%
Coterra
Energy,
Inc.
(b)
50,000‌
1,377,000‌
FINANCIALS
-
12.42%
Asset
Management
-
4.77%
Charles
Schwab
Corp.
(The)
92,500‌
6,114,250‌
Institutional
Financial
Services
-
3.57%
Bank
of
New
York
Mellon
Corp.
(The)
100,745‌
4,569,793‌
Insurance
-
4.08%
Assurant,
Inc.
(b)
38,900‌
5,232,439‌
HEALTH
CARE
-
17.94%
Biotech
&
Pharma
-
9.64%
Amgen,
Inc.
18,500‌
4,331,775‌
Gilead
Sciences,
Inc.
48,145‌
3,665,760‌
Regeneron
Pharmaceuticals,
Inc.
(a)
5,881‌
4,363,173‌
12,360,708‌
Health
Care
Facilities
&
Services
-
8.30%
McKesson
Corp.
21,400‌
8,611,360‌
Quest
Diagnostics,
Inc.
15,000‌
2,028,150‌
10,639,510‌
INDUSTRIALS
-
2.26%
Electrical
Equipment
-
2.26%
Amphenol
Corp.
-
Class
A
32,860‌
2,901,867‌
TECHNOLOGY
-
31.09%
Semiconductors
-
10.76%
Diodes,
Inc.
(a)
17,411‌
1,645,165‌
KLA
Corp.
(b)
18,498‌
9,507,047‌
Microchip
Technology,
Inc.
28,089‌
2,638,681‌
13,790,893‌
Software
-
2.24%
Akamai
Technologies,
Inc.
(a)
30,324‌
2,865,618‌
Technology
Services
-
18.09%
Amdocs
Ltd.
81,587‌
7,639,807‌
Pin
Oak
Equity
Fund
Schedule
of
Investments
(continued)
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
96.76%
(Continued)
Shares
Fair
Value
TECHNOLOGY
-
31.09%
(Continued)
Technology
Services
-
18.09%
(Continued)
Paychex,
Inc.
43,649‌
$
5,476,640‌
PayPal
Holdings,
Inc.
(a)
34,996‌
2,653,397‌
Visa,
Inc.
-
Class
A
(b)
31,220‌
7,421,930‌
23,191,774‌
TOTAL
COMMON
STOCKS 
(Cost $60,439,939)
124,031,222‌
SHORT-TERM
INVESTMENTS
-
11.53%
Shares
Fair
Value
REPURCHASE
AGREEMENTS
-
3.27%
Tri-Party
Repurchase
Agreement
with
South
Street
Securities
LLC
and
Bank
of
New
York
Mellon,
5.01%,
dated
7/31/2023
and
maturing
8/1/2023,
collateralized
by
U
.
S
.
Treasury
Securities
with
rates
ranging
from
4.00%
to
4.25%
and
maturity
dates
ranging
from
12/31/2024
to
7/31/2030
with
a
par
value
of
$4,302,623
and
a
collateral
value
of
$4,278,442
4,194,533‌
4,194,533‌
COLLATERAL
FOR
SECURITIES
LOANED
-
8.26%
Mount
Vernon
Liquid
Assets
Portfolio,
LLC,
5.47%
(c)
10,586,538‌
10,586,538‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost $14,781,071)
14,781,071‌
TOTAL
INVESTMENTS
-
108.29%
(Cost
$75,221,010)
138,812,293‌
Liabilities
in
Excess
of
Other
Assets - (8.29)%
(10,631,540‌)
NET
ASSETS
-
100.00%
$
128,180,753‌
(a)
Non-income
producing
security.  
(b)
Security,
or
a
portion
of
the
security
position,
is
currently
on
loan.
The
total
market
value
of
securities
on
loan
is
$10,450,726.
(c)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
July
31,
2023.
Rock
Oak
Core
Growth
Fund
Schedule
of
Investments
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
88.52%
Shares
Fair
Value
CONSUMER
DISCRETIONARY
-
7.66%
Leisure
Products
-
3.86%
Thor
Industries,
Inc.
(a)
3,490‌
$
403,060‌
Wholesale
-
Discretionary
-
3.80%
Pool
Corp.
(a)
1,030‌
396,283‌
ENERGY
-
8.17%
Oil
&
Gas
Producers
-
5.58%
Coterra
Energy,
Inc.
(a)
11,541‌
317,839‌
Murphy
USA,
Inc.
864‌
265,274‌
583,113‌
Renewable
Energy
-
2.59%
SolarEdge
Technologies,
Inc.
(b)
1,120‌
270,435‌
FINANCIALS
-
8.60%
Insurance
-
8.60%
Assurant,
Inc.
(a)
1,830‌
246,154‌
Hartford
Financial
Services
Group,
Inc.
(The)
9,065‌
651,592‌
897,746‌
HEALTH
CARE
-
19.14%
Biotech
&
Pharma
-
8.78%
Exelixis,
Inc.
(b)
18,149‌
357,717‌
Jazz
Pharmaceuticals
PLC
(b)
2,825‌
368,436‌
Viatris,
Inc.
18,120‌
190,804‌
916,957‌
Health
Care
Facilities
&
Services
-
8.96%
Cardinal
Health,
Inc.
5,770‌
527,782‌
Quest
Diagnostics,
Inc.
3,015‌
407,658‌
935,440‌
Medical
Equipment
&
Devices
-
1.40%
Illumina,
Inc.
(a)
(b)
760‌
146,034‌
INDUSTRIALS
-
18.92%
Aerospace
&
Defense
-
4.61%
TransDigm
Group,
Inc.
(a)
535‌
481,350‌
Commercial
Support
Services
-
4.53%
Republic
Services,
Inc.
3,130‌
472,974‌
Machinery
-
9.78%
Curtiss-Wright
Corp.
1,620‌
310,003‌
ESAB
Corp.
(a)
3,618‌
248,557‌
Nordson
Corp.
(a)
1,839‌
462,711‌
1,021,271‌
MATERIALS
-
7.05%
Chemicals
-
2.23%
CF
Industries
Holdings,
Inc.
(a)
2,840‌
233,107‌
Construction
Materials
-
4.82%
Carlisle
Companies,
Inc.
1,815‌
503,118‌
Rock
Oak
Core
Growth
Fund
Schedule
of
Investments
(continued)
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
88.52%
(Continued)
Shares
Fair
Value
TECHNOLOGY
-
18.98%
Technology
Hardware
-
12.27%
F5,
Inc.
(a)
(b)
2,820‌
$
446,237‌
NetApp,
Inc.
5,805‌
452,848‌
Seagate
Technology
PLC
(a)
6,007‌
381,444‌
1,280,529‌
Technology
Services
-
6.71%
Amdocs
Ltd.
3,602‌
337,292‌
Cognizant
Technology
Solutions
Corp.
-
Class
A
5,507‌
363,627‌
700,919‌
TOTAL
COMMON
STOCKS 
(Cost $6,742,228)
9,242,336‌
SHORT-TERM
INVESTMENTS
-
36.97%
Shares
Fair
Value
REPURCHASE
AGREEMENTS
-
11.55%
Tri-Party
Repurchase
Agreement
with
South
Street
Securities
LLC
and
Bank
of
New
York
Mellon,
5.01%,
dated
7/31/2023
and
maturing
8/1/2023,
collateralized
by
U.S.
Treasury
Securities
with
rates
ranging
from
4.00%
to
4.25%
and
maturity
dates
ranging
from
12/31/2024
to
7/31/2030
with
a
par
value
of
$1,236,727
and
a
collateral
value
of
$1,229,777
1,205,658‌
1,205,658‌
COLLATERAL
FOR
SECURITIES
LOANED
-
25.42%
Mount
Vernon
Liquid
Assets
Portfolio,
LLC,
5.47%
(c)
2,654,315‌
2,654,315‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost $3,859,973)
3,859,973‌
TOTAL
INVESTMENTS
-
125.49%
(Cost
$10,602,201)
13,102,309‌
Liabilities
in
Excess
of
Other
Assets - (25.49)%
(2,661,074‌)
NET
ASSETS
-
100.00%
$
10,441,235‌
(a)
Security,
or
a
portion
of
the
security
position,
is
currently
on
loan.
The
total
market
value
of
securities
on
loan
is
$2,621,299.
(b)
Non-income
producing
security.  
(c)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
July
31,
2023.
River
Oak
Discovery
Fund
Schedule
of
Investments
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
95.82%
Shares
Fair
Value
CONSUMER
DISCRETIONARY
-
6.26%
Consumer
Services
-
3.10%
Adtalem
Global
Education,
Inc.
(a)(b)
17,305‌
$
748,268‌
Retail
-
Discretionary
-
3.16%
Asbury
Automotive
Group,
Inc.
(a)
3,380‌
762,528‌
CONSUMER
STAPLES
-
5.04%
Household
Products
-
5.04%
Edgewell
Personal
Care
Co.
(b)
17,322‌
682,660‌
Energizer
Holdings,
Inc.
(b)
15,000‌
535,500‌
1,218,160‌
FINANCIALS
-
10.36%
Asset
Management
-
4.83%
AllianceBernstein
Holding
LP
21,518‌
692,665‌
Artisan
Partners
Asset
Management,
Inc.
-
Class
A
(b)
11,425‌
474,023‌
1,166,688‌
Insurance
-
5.53%
CNO
Financial
Group,
Inc.
19,434‌
499,842‌
Selective
Insurance
Group,
Inc.
(b)
8,090‌
834,807‌
1,334,649‌
HEALTH
CARE
-
11.95%
Biotech
&
Pharma
-
6.32%
Ironwood
Pharmaceuticals,
Inc.
(a)
57,917‌
642,300‌
Prestige
Consumer
Healthcare,
Inc.
(a)
13,557‌
884,052‌
1,526,352‌
Health
Care
Facilities
&
Services
-
5.63%
Ensign
Group,
Inc.
(The)
(b)
7,572‌
733,500‌
Progyny,
Inc.
(a)
15,006‌
626,650‌
1,360,150‌
INDUSTRIALS
-
26.30%
Commercial
Support
Services
-
13.24%
Barrett
Business
Services,
Inc.
9,477‌
859,848‌
Kforce,
Inc.
(b)
14,641‌
928,825‌
Korn
Ferry
11,359‌
598,392‌
Vectrus,
Inc.
(a)
15,768‌
811,422‌
3,198,487‌
Electrical
Equipment
-
5.22%
Advanced
Energy
Industries,
Inc.
10,072‌
1,260,813‌
Industrial
Support
Services
-
3.82%
Applied
Industrial
Technologies,
Inc.
6,369‌
923,441‌
Machinery
-
4.02%
Kadant,
Inc.
(b)
4,352‌
969,843‌
TECHNOLOGY
-
35.91%
Semiconductors
-
26.35%
Ambarella,
Inc.
(a)
8,849‌
738,183‌
Cirrus
Logic,
Inc.
(a)(b)
11,637‌
940,270‌
Cohu,
Inc.
(a)(b)
23,005‌
1,004,168‌
River
Oak
Discovery
Fund
Schedule
of
Investments
(continued)
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
95.82%
(Continued)
Shares
Fair
Value
TECHNOLOGY
-
35.91%
(Continued)
Semiconductors
-
26.35%
(Continued)
Diodes,
Inc.
(a)
10,822‌
$
1,022,571‌
Kulicke
&
Soffa
Industries,
Inc.
(b)
22,922‌
1,372,569‌
Silicon
Motion
Technology
Corp.
-
ADR
9,000‌
570,600‌
Tower
Semiconductor
Ltd.
(a)
18,941‌
715,023‌
6,363,384‌
Software
-
5.78%
Calix,
Inc.
(a)(b)
3,095‌
139,616‌
NextGen
Healthcare,
Inc.
(a)
49,292‌
819,726‌
Verint
Systems,
Inc.
(a)
11,703‌
437,341‌
1,396,683‌
Technology
Services
-
3.78%
Perficient,
Inc.
(a)
14,311‌
912,899‌
TOTAL
COMMON
STOCKS 
(Cost $16,821,064)
23,142,345‌
SHORT-TERM
INVESTMENTS
-
30.03%
Shares
Fair
Value
REPURCHASE
AGREEMENTS
-
4.29%
Tri-Party
Repurchase
Agreement
with
South
Street
Securities
LLC
and
Bank
of
New
York
Mellon,
5.01%,
dated
7/31/2023
and
maturing
8/1/2023,
collateralized
by
U.S.
Treasury
Securities
with
rates
ranging
from
4.00%
to
4.25%
and
maturity
dates
ranging
from
12/31/2024
to
7/31/2030
with
a
par
value
of
$1,063,105
and
a
collateral
value
of
$1,057,130
1,036,398‌
1,036,398‌
COLLATERAL
FOR
SECURITIES
LOANED
-
25.74%
Mount
Vernon
Liquid
Assets
Portfolio,
LLC,
5.47%
(c)
6,217,606‌
6,217,606‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost $7,254,004)
7,254,004‌
TOTAL
INVESTMENTS
-
125.85%
(Cost
$24,075,068)
30,396,349‌
Liabilities
in
Excess
of
Other
Assets - (25.85)%
(6,242,629‌)
NET
ASSETS
-
100.00%
$
24,153,720‌
(a)
Non-income
producing
security.  
(b)
Security,
or
a
portion
of
the
security
position,
is
currently
on
loan.
The
total
market
value
of
securities
on
loan
is
$6,110,675.
(c)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
July
31,
2023.
ADR
-
American
Depositary
Receipt
Red
Oak
Technology
Select
Fund
Schedule
of
Investments
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
99.13%
Shares
Fair
Value
COMMUNICATIONS
-
14.06%
Internet
Media
&
Services
-
14.06%
Alphabet,
Inc.
-
Class
A
(a)
75,000‌
$
9,954,000‌
Alphabet,
Inc.
-
Class
C
(a)
304,720‌
40,561,279‌
Meta
Platforms,
Inc.
-
Class
A
(a)
83,225‌
26,515,485‌
77,030,764‌
CONSUMER
DISCRETIONARY
-
9.05%
E-Commerce
Discretionary
-
9.05%
Amazon.com,
Inc.
(a)
263,000‌
35,157,840‌
eBay,
Inc.
324,030‌
14,422,576‌
49,580,416‌
INDUSTRIALS
-
2.38%
Aerospace
&
Defense
-
1.42%
Lockheed
Martin
Corp.
17,399‌
7,766,392‌
Electrical
Equipment
-
0.96%
Amphenol
Corp.
-
Class
A
60,000‌
5,298,600‌
TECHNOLOGY
-
73.64%
Semiconductors
-
23.79%
Advanced
Micro
Devices,
Inc.
(a)
90,000‌
10,296,000‌
Intel
Corp.
147,615‌
5,280,188‌
KLA
Corp.
68,609‌
35,261,596‌
Microchip
Technology,
Inc.
95,000‌
8,924,300‌
NVIDIA
Corp.
30,000‌
14,018,700‌
NXP
Semiconductors
NV
113,550‌
25,319,379‌
Qorvo,
Inc.
(a)
100,000‌
11,002,000‌
QUALCOMM,
Inc.
153,200‌
20,248,444‌
130,350,607‌
Software
-
24.47%
Akamai
Technologies,
Inc.
(a)
116,780‌
11,035,710‌
Check
Point
Software
Technologies
Ltd.
(a)
58,700‌
7,760,727‌
Microsoft
Corp.
99,403‌
33,391,456‌
Oracle
Corp.
262,554‌
30,779,205‌
Synopsys,
Inc.
(a)
65,970‌
29,805,246‌
VMware,
Inc.
-
Class
A
(a)
135,470‌
21,354,136‌
134,126,480‌
Technology
Hardware
-
15.01%
Apple,
Inc.
190,000‌
37,325,500‌
Cisco
Systems,
Inc.
576,180‌
29,984,407‌
NetApp,
Inc.
191,334‌
14,925,966‌
82,235,873‌
Technology
Services
-
10.37%
Accenture
PLC
-
Class
A
50,118‌
15,854,829‌
Global
Payments,
Inc.
93,157‌
10,270,559‌
MasterCard,
Inc.
-
Class
A
29,642‌
11,687,248‌
Red
Oak
Technology
Select
Fund
Schedule
of
Investments
(continued)
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
99.13%
(Continued)
Shares
Fair
Value
TECHNOLOGY
-
73.64%
(Continued)
Technology
Services
-
10.37%
(Continued)
Visa,
Inc.
-
Class
A
(b)
80,000‌
$
19,018,400‌
56,831,036‌
TOTAL
COMMON
STOCKS 
(Cost $195,455,993)
543,220,168‌
SHORT-TERM
INVESTMENTS
-
4.44%
Shares
Fair
Value
REPURCHASE
AGREEMENTS
-
0.96%
Tri-Party
Repurchase
Agreement
with
South
Street
Securities
LLC
and
Bank
of
New
York
Mellon,
5.01%,
dated
7/31/2023
and
maturing
8/1/2023,
collateralized
by
U.S.
Treasury
Securities
with
rates
ranging
from
4.00%
to
4.25%
and
maturity
dates
ranging
from
12/31/2024
to
7/31/2030
with
a
par
value
of
$5,424,373
and
a
collateral
value
of
$5,393,888
5,288,103‌
5,288,103‌
COLLATERAL
FOR
SECURITIES
LOANED
-
3.48%
Mount
Vernon
Liquid
Assets
Portfolio,
LLC,
5.47%
(c)
19,047,600‌
19,047,600‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost $24,335,703)
24,335,703‌
TOTAL
INVESTMENTS
-
103.57%
(Cost
$219,791,696)
567,555,871‌
Liabilities
in
Excess
of
Other
Assets - (3.57)%
(19,540,296‌)
NET
ASSETS
-
100.00%
$
548,015,575‌
(a)
Non-income
producing
security.  
(b)
Security,
or
a
portion
of
the
security
position,
is
currently
on
loan.
The
total
market
value
of
securities
on
loan
is
$18,828,216.
(c)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
July
31,
2023.
Black
Oak
Emerging
Technology
Fund
Schedule
of
Investments
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
96.12%
Shares
Fair
Value
CONSUMER
DISCRETIONARY
-
2.55%
Automotive
-
2.55%
Tesla,
Inc.
(a)
5,817‌
$
1,555,640‌
ENERGY
-
3.00%
Renewable
Energy
-
3.00%
SolarEdge
Technologies,
Inc.
(a)(b)
7,584‌
1,831,233‌
HEALTH
CARE
-
4.40%
Medical
Equipment
&
Devices
-
4.40%
Illumina,
Inc.
(a)(b)
6,757‌
1,298,357‌
Intuitive
Surgical,
Inc.
(a)
4,259‌
1,381,620‌
2,679,977‌
INDUSTRIALS
-
10.24%
Electrical
Equipment
-
3.61%
Advanced
Energy
Industries,
Inc.
(b)
17,560‌
2,198,161‌
Industrial
Support
Services
-
3.33%
Applied
Industrial
Technologies,
Inc.
14,000‌
2,029,860‌
Machinery
-
3.30%
Nordson
Corp.
8,000‌
2,012,880‌
TECHNOLOGY
-
75.93%
Information
Technology
-
2.69%
Paylocity
Holdings
Corp.
(a)
7,220‌
1,637,857‌
Semiconductors
-
39.61%
Advanced
Micro
Devices,
Inc.
(a)
17,247‌
1,973,057‌
Ambarella,
Inc.
(a)
25,956‌
2,165,250‌
Cirrus
Logic,
Inc.
(a)(b)
20,830‌
1,683,064‌
Cohu,
Inc.
(a)
59,077‌
2,578,711‌
Diodes,
Inc.
(a)
25,770‌
2,435,007‌
KLA
Corp.
(b)
6,750‌
3,469,162‌
Kulicke
&
Soffa
Industries,
Inc.
(b)
49,645‌
2,972,743‌
Lam
Research
Corp.
3,500‌
2,514,715‌
NVIDIA
Corp.
3,416‌
1,596,263‌
QUALCOMM,
Inc.
10,844‌
1,433,251‌
Silicon
Motion
Technology
Corp.
-
ADR
20,940‌
1,327,596‌
24,148,819‌
Software
-
11.17%
Calix,
Inc.
(a)
11,424‌
515,337‌
Concentrix
Corp.
(b)
6,000‌
499,440‌
Fortinet,
Inc.
(a)
20,800‌
1,616,576‌
NextGen
Healthcare,
Inc.
(a)
88,315‌
1,468,678‌
Salesforce.com,
Inc.
(a)
9,659‌
2,173,372‌
Verint
Systems,
Inc.
(a)(b)
14,335‌
535,699‌
6,809,102‌
Technology
Hardware
-
8.48%
Apple,
Inc.
20,120‌
3,952,574‌
F5,
Inc.
(a)
7,705‌
1,219,239‌
5,171,813‌
Black
Oak
Emerging
Technology
Fund
Schedule
of
Investments
(continued)
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
96.12%
(Continued)
Shares
Fair
Value
TECHNOLOGY
-
75.93%
(Continued)
Technology
Services
-
13.98%
Amdocs
Ltd.
15,234‌
$
1,426,512‌
Cognizant
Technology
Solutions
Corp.
-
Class
A
9,600‌
633,888‌
CSG
Systems
International,
Inc.
10,000‌
515,900‌
Jack
Henry
&
Associates,
Inc.
(b)
5,070‌
849,580‌
PayPal
Holdings,
Inc.
(a)
27,523‌
2,086,794‌
Perficient,
Inc.
(a)
19,395‌
1,237,207‌
Science
Applications
International
Corp.
14,607‌
1,772,413‌
8,522,294‌
TOTAL
COMMON
STOCKS 
(Cost $27,894,541)
58,597,636‌
SHORT-TERM
INVESTMENTS
-
17.59%
Shares
Fair
Value
REPURCHASE
AGREEMENTS
-
4.00%
Tri-Party
Repurchase
Agreement
with
South
Street
Securities
LLC
and
Bank
of
New
York
Mellon,
5.01%,
dated
7/31/2023
and
maturing
8/1/2023,
collateralized
by
U.S.
Treasury
Securities
with
rates
ranging
from
4.00%
to
4.25%
and
maturity
dates
ranging
from
12/31/2024
to
7/31/2030
with
a
par
value
of
$2,498,480
and
a
collateral
value
of
$2,484,438
2,435,713‌
2,435,713‌
COLLATERAL
FOR
SECURITIES
LOANED
-
13.59%
Mount
Vernon
Liquid
Assets
Portfolio,
LLC,
5.47%
(c)
8,283,876‌
8,283,876‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost $10,719,589)
10,719,589‌
TOTAL
INVESTMENTS
-
113.71%
(Cost
$38,614,130)
69,317,225‌
Liabilities
in
Excess
of
Other
Assets - (13.71)%
(8,356,899‌)
NET
ASSETS
-
100.00%
$
60,960,326‌
(a)
Non-income
producing
security.  
(b)
Security,
or
a
portion
of
the
security
position,
is
currently
on
loan.
The
total
market
value
of
securities
on
loan
is
$8,156,098.
(c)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
July
31,
2023.
ADR
-
American
Depositary
Receipt
Live
Oak
Health
Sciences
Fund
Schedule
of
Investments
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
94.85%
Shares
Fair
Value
HEALTH
CARE
-
94.85%
Biotech
-
29.76%
Amgen,
Inc.
10,240‌
$
2,397,696‌
Biogen,
Inc.
(a)
5,006‌
1,352,571‌
Exelixis,
Inc.
(a)
86,379‌
1,702,530‌
Gilead
Sciences,
Inc.
13,718‌
1,044,488‌
Incyte
Corp.
(a)
25,041‌
1,595,613‌
Moderna,
Inc.
(a)
12,813‌
1,507,578‌
Regeneron
Pharmaceuticals,
Inc.
(a)
3,190‌
2,366,693‌
United
Therapeutics
Corp.
(a)
7,465‌
1,811,905‌
Vertex
Pharmaceuticals,
Inc.
(a)
5,515‌
1,943,155‌
15,722,229‌
Health
Care
Facilities
-
2.12%
Ensign
Group,
Inc.
(The)
(b)
11,558‌
1,119,623‌
Health
Care
Services
-
4.15%
Laboratory
Corporation
of
America
Holdings
7,425‌
1,588,430‌
Quest
Diagnostics,
Inc.
4,453‌
602,090‌
2,190,520‌
Health
Care
Supply
Chain
-
18.05%
AmerisourceBergen
Corp.
13,739‌
2,567,819‌
Cardinal
Health,
Inc.
22,235‌
2,033,835‌
Cigna
Corp.
5,499‌
1,622,755‌
CVS
Health
Corp.
(b)
15,000‌
1,120,350‌
McKesson
Corp.
5,448‌
2,192,275‌
9,537,034‌
Large
Pharmaceuticals
-
6.92%
Johnson
&
Johnson
7,019‌
1,175,893‌
Merck
&
Co.,
Inc.
11,852‌
1,264,016‌
Novartis
AG
-
ADR
11,600‌
1,216,840‌
3,656,749‌
Life
Science
&
Diagnostics
-
6.46%
Bio-Rad
Laboratories,
Inc.
-
Class
A
(a)
4,333‌
1,756,425‌
Thermo
Fisher
Scientific,
Inc.
3,023‌
1,658,599‌
3,415,024‌
Managed
Care
-
14.32%
Anthem,
Inc.
3,418‌
1,612,031‌
Centene
Corp.
(a)
15,000‌
1,021,350‌
Humana,
Inc.
(b)
3,614‌
1,650,984‌
Molina
Healthcare,
Inc.
(a)
5,191‌
1,580,608‌
UnitedHealth
Group,
Inc.
3,369‌
1,705,961‌
7,570,934‌
Medical
Devices
-
5.97%
Medtronic
PLC
21,490‌
1,885,963‌
Stryker
Corp.
4,479‌
1,269,393‌
3,155,356‌
Medical
Equipment
-
3.97%
Intuitive
Surgical,
Inc.
(a)
6,458‌
2,094,975‌
Live
Oak
Health
Sciences
Fund
Schedule
of
Investments
(continued)
July
31,
2023
(Unaudited)
COMMON
STOCKS
-
94.85%
(Continued)
Shares
Fair
Value
HEALTH
CARE
-
94.85%
(Continued)
Specialty
&
Generic
Pharmaceuticals
-
3.13%
Jazz
Pharmaceuticals
PLC
(a)
12,693‌
$
1,655,421‌
TOTAL
COMMON
STOCKS 
(Cost $35,697,892)
50,117,865‌
SHORT-TERM
INVESTMENTS
-
10.49%
REPURCHASE
AGREEMENTS
-
5.21%
Tri-Party
Repurchase
Agreement
with
South
Street
Securities
LLC
and
Bank
of
New
York
Mellon,
5.01%,
dated
7/31/2023
and
maturing
8/1/2023,
collateralized
by
U.S.
Treasury
Securities
with
rates
ranging
from
4.00%
to
4.25%
and
maturity
dates
ranging
from
12/31/2024
to
7/31/2030
with
a
par
value
of
$2,820,985
and
a
collateral
value
of
$2,805,131
2,750,117‌
2,750,117‌
COLLATERAL
FOR
SECURITIES
LOANED
-
5.28%
Mount
Vernon
Liquid
Assets
Portfolio,
LLC,
5.47%
(c)
2,787,253‌
2,787,253‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost $5,537,370)
5,537,370‌
TOTAL
INVESTMENTS
-
105.34%
(Cost
$41,235,262)
55,655,235‌
Liabilities
in
Excess
of
Other
Assets - (5.34)%
(2,822,568‌)
NET
ASSETS
-
100.00%
$
52,832,667‌
(a)
Non-income
producing
security.  
(b)
Security,
or
a
portion
of
the
security
position,
is
currently
on
loan.
The
total
market
value
of
securities
on
loan
is
$2,778,520
.
(c)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
July
31,
2023.
ADR
-
American
Depositary
Receipt