0000898531-24-000180.txt : 20240503 0000898531-24-000180.hdr.sgml : 20240503 20240503110019 ACCESSION NUMBER: 0000898531-24-000180 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 17 CONFORMED PERIOD OF REPORT: 20240229 FILED AS OF DATE: 20240503 DATE AS OF CHANGE: 20240503 EFFECTIVENESS DATE: 20240503 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TRUST FOR PROFESSIONAL MANAGERS CENTRAL INDEX KEY: 0001141819 ORGANIZATION NAME: IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-10401 FILM NUMBER: 24911472 BUSINESS ADDRESS: STREET 1: U.S. BANCORP FUND SERVICES LLC STREET 2: 615 EAST MICHIGAN ST 2ND FLOOR CITY: MILWAUKEE STATE: WI ZIP: 53202 BUSINESS PHONE: 4147655067 MAIL ADDRESS: STREET 1: U.S. BANCORP FUND SERVICES LLC STREET 2: 615 EAST MICHIGAN ST 2ND FLOOR CITY: MILWAUKEE STATE: WI ZIP: 53202 FORMER COMPANY: FORMER CONFORMED NAME: ZODIAC TRUST DATE OF NAME CHANGE: 20010601 0001141819 S000029835 Performance Trust Total Return Bond Fund C000091754 Performance Trust Total Return Bond Fund - Institutional Class PTIAX C000207405 Performance Trust Total Return Bond Fund - Class A PTAOX C000207406 Performance Trust Total Return Bond Fund - Class C PTCOX 0001141819 S000033197 Performance Trust Municipal Bond Fund C000102162 Performance Trust Municipal Bond Fund - Institutional Class PTIMX C000102163 Performance Trust Municipal Bond Fund - Class A PTRMX 0001141819 S000070558 Performance Trust Multisector Bond Fund C000224122 Performance Trust Multisector Bond Fund - Institutional Class PTCRX N-CSRS 1 ptf-ncsrs.htm PERFORMANCE TRUST FUNDS - SEMIANNUAL REPORT 2-29-24
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549


FORM N-CSR

CERTIFIED SHAREHOLDER REPORT OF REGISTERED
MANAGEMENT INVESTMENT COMPANIES




Investment Company Act file number 811-10401



Trust for Professional Managers
(Exact name of registrant as specified in charter)



615 East Michigan Street
Milwaukee, WI  53202
(Address of principal executive offices) (Zip code)



Jay S. Fitton
U.S. Bancorp Fund Services, LLC
 615 East Michigan Street
Milwaukee, WI  53202
(Name and address of agent for service)



(513) 520-5925
Registrant's telephone number, including area code



Date of fiscal year end: August 31, 2024



Date of reporting period:  February 29, 2024



Item 1. Reports to Stockholders.

(a)







Semi-Annual Report  |  February 29, 2024
 
Performance Trust Total Return Bond Fund
(Symbols: PTIAX, PTAOX, PTCOX),
 
Performance Trust Municipal Bond Fund
(Symbols: PTIMX, PTRMX) and
 
Performance Trust Multisector Bond Fund
(Symbol: PTCRX)
 
© 2024 PT Asset Management, LLC. All Rights Reserved.
 
                                                                                                                                        




LETTER FROM THE INVESTMENT ADVISER



Dear Fellow Shareholders:
Performance Trust Total Return Bond Fund (PTIAX) Semi-Annual
 Management’s Discussion of Fund Performance: 9/1/2023 – 2/29/2024 (Unaudited)

 
For the six-month period ended February 29, 2024, the Performance Trust Total Return Bond Fund – Institutional Class (“PTIAX” or the “Fund”) posted a return of 4.21% compared to 2.35% for the Bloomberg U.S. Aggregate Bond Index (“Index”). The Morningstar Intermediate Core-Plus Bond Fund category returned 2.45% for the period.
 
Interest rates fell at the short end of the U.S. Treasury yield curve during the semi-annual period as the Federal Reserve (Fed) hinted they may be done with their aggressive interest rate hiking cycle. The Fed kept their benchmark rate at a target range of 5.25%-5.50% throughout the semi-annual period as they sought to restore inflation to its long-term target of 2.00%. Interest rates were up slightly at the long end of the yield curve. The chart below shows the yield curve at the beginning of the semi-annual period and the end.
 
U.S. Treasury Yield Curve

 
 

 

 
The yield curve steepened during the semi-annual period. At the end of the period, the 1-year U.S. Treasury, which is quite sensitive to changes in the Fed Funds rate, yielded in excess of 5.00% while the benchmark 10-year U.S. Treasury yield offered just over 4.20%.
 
While interest rate volatility has ebbed and flowed since the Fed began its hiking cycle, the result has been a more favorable risk-taking environment. For example, high yield corporate (HY) spreads tightened 0.60% and ended the period at 3.12%, very close to the tightest level seen since Q3 2021. Investment grade corporate (IG) spreads tightened 0.22% to end the period at 0.96% (Source: Bloomberg). While inflation still exceeds the Fed’s target, it has fallen from the beginning of the semi-annual period and is now 6% lower than its peak in June 2022. The market is now anticipating that the Fed will begin cutting rates in the second half of 2024.
 

 
PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 3


 
LETTER FROM THE INVESTMENT ADVISER


 
Spread tightening across most sectors more than offset the increase in interest rates experienced at the long-end and helped to deliver strong total returns during the semi-annual period. U.S. Treasuries, Agency Mortgage-Backed Securities (MBS), and IG Corporates all provided positive total returns and assisted the Index’s performance over the semi-annual period. (Source: Bloomberg).
 
The Fund’s outperformance relative to the Index during the semi-annual period was driven by nearly all sectors in PTIAX and was led by select Non-Agency Commercial Mortgage-Backed Securities (CMBS), Collateralized Loan Obligations (CLOs), High-Yield (HY) Corporates, and Taxable Municipals, which delivered meaningfully positive total returns. All four sectors benefited from spread tightening experienced during the semi-annual period.
 
However, outperformance from the above sectors was partially offset by lower returns in long-dated U.S. Treasuries. The 20-year part of the curve has been the Fund’s recent focus and while 20-year U.S. Treasuries provided a positive total return during the semi-annual period, they are still quite sensitive to interest rate moves and cannot benefit from spread tightening like other sectors.
 
The table below shows a general breakdown of the Fund’s portfolio at the beginning and end of the fiscal period.
 
PTIAX Allocations
 
 
Sector Allocation PTIAX
8/31/2023
2/29/2024
 
 
Cash
  1.13%
  0.17%
 
 
Asset Backed Securities
10.16%
12.36%
 
 
Non-Agency RMBS
  7.58%
  5.70%
 
 
CLOs
  6.06%
  6.49%
 
 
Agency CMBS
  7.89%
  6.03%
 
 
Non-Agency CMBS
16.73%
14.89%
 
 
HY Corporates
  4.13%
  4.41%
 
 
U.S. Treasuries
  9.77%
16.26%
 
 
IG Corporates
14.46%
13.66%
 
 
Taxable Municipals
18.63%
15.47%
 
 
Tax-Exempt Municipals
  3.46%
  4.56%
 
 
Other
  0.00%
  0.00%
 

The Fund increased its exposure to Asset-Backed Securities (ABS) as the inverted yield curve coupled with attractive spreads resulted in some of the highest all-in yields we have witnessed. As ABS remained our preferred method of adding Interest Rate Defense, we largely reduced or maintained other defensive sectors such as CMBS and HY Corporates. RMBS holdings also decreased as a result of ongoing amortization.
 
Similarly, as spreads tightened, the allocations to Municipals and IG Corporates were trimmed largely by exiting securities pricing off of the relatively unattractive belly of the yield curve. These reductions were made in favor of long-dated U.S. Treasuries. When combining long-dated U.S. Treasuries with ABS pricing off the short end of the yield curve, the resulting “barbell” (combination of short-term and long-term bonds) produces attractive total return potential in our opinion.
 
Looking Forward
While yields are still elevated from a historical standpoint, credit spreads have retraced much of the widening experienced during the prior fiscal year. Investors are being compensated more to take interest rate risk than nearly any other time since the Great Financial Crisis, but credit spreads are somewhat below average from a historical perspective. As a result, the Fund has increased its interest rate risk during the semi-annual period, but at the same time we have attempted to reduce credit risk.
 
We do not attempt to predict interest rates or credit spreads. We have positioned the Fund’s portfolio so that it has what we believe to be a balance of high-quality Interest Rate Offense (bonds with more interest rate sensitivity) and higher yielding Interest Rate Defense (bonds with less interest rate sensitivity). Within our Interest Rate Defense, we are attempting to prudently add higher yielding structured credit and corporate securities that are not exposed, in our opinion, to excessive credit risk or structural leverage.
 
As a total return bond fund, we seek to position ourselves in the most undervalued fixed-income securities we can find, consistent with the need for proper diversification and liquidity. To identify such opportunities, we find scenario analysis (over roughly a three-year investment horizon) to be more valuable than rate or market forecasting. We call this methodology Shape Management®, and we attribute the Fund’s historical performance largely to our allocation decisions.
 

 
PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 4


 
LETTER FROM THE INVESTMENT ADVISER


 

Performance Trust Municipal Bond Fund (PTIMX) Semi-Annual
Management’s Discussion of Fund Performance: 9/1/2023 – 2/29/2024 (Unaudited)

 
For the six-month period ended February 29, 2024, the Performance Trust Municipal Bond Fund – Institutional Class (“PTIMX” or the “Fund”) posted a return of 6.55% compared to 4.33% for the Bloomberg Municipal Bond Index (“Index”) and 4.01% for the Morningstar Municipal National Intermediate Bond Category (Morningstar category average). PTIMX’s outperformance can generally be attributed to the Fund’s higher allocation to bonds that carry more call protection and price off a longer part of the Municipal Market Data (MMD) AAA municipal benchmark yield curve (yield curve) making the Fund a little more responsive to movements in interest rates.
 
The table below shows the yield curve at the beginning and end of the period, as well as at the high in yields during the period on October 30, 2023. The yield for the 15-year spot on the yield curve decreased 51 basis points, one hundredth of one percent (bps) (0.51%), while the 10-year point on the yield curve decreased 47 bps. The 25-year maturity decreased 31 bps. The yield difference between the 10-year and 15-year points on the yield curve decreased slightly from 49 bps as of August 31, 2023, to 45 bps as of February 29, 2024, while the yield difference between the 10-year and 20-year points on the yield curve increased from 72 bps to 81 bps from the beginning to the end of the period. The 81 bps difference between these two points on the yield curve is the highest in nearly a decade. Thus, the 15 to 20-year part of the yield curve continues to provide a long-term investor with additional income as well as the potential to roll-down a portion of the yield curve that is steeper than has been observed over the last several years. In contrast, the 5-year to 10-year part of the yield curve provides less income potential and is very flat.
 
MMD AAA Scale

Maturity
August 31, 2023
February 29, 2024
Change (bp)
October 30, 2023
1
3.25%
2.98%
-27
3.76%
5
2.88%
2.44%
-44
3.51%
7
2.88%
2.44%
-44
3.56%
10
2.93%
2.46%
-47
3.61%
15
3.42%
2.91%
-51
4.09%
20
3.65%
3.27%
-38
4.33%
25
3.82%
3.51%
-31
4.53%
30
3.88%
3.59%
-29
4.57%

Source: MMD AAA Scale as of August 31, 2023, February 29, 2024 and October 30, 2023
 
The configuration of the yield curve discussed above has persisted for several months. We do not predict the direction or magnitude of changes in interest rates. Our Shape Management® process evaluates total return outcomes across various interest rate scenarios, providing a consistent, systematic framework to guide our investment decisions. As a result, the Fund’s yield curve positioning is differentiated from that of the Morningstar category average with much more exposure to the 13 to 20-year part of the curve (43% of the Fund), while largely avoiding the less attractive 5 to 10-year maturities (2% of the Fund).
 
At the beginning of the period, tax-exempt yields increased relatively swiftly and by the end of October 2023, reached or exceeded levels last seen in the second half of 2013, surpassing the more recent high in yields during the fourth quarter of 2022. While these highs in tax-exempt yields were only available for a brief period prior to a meaningful decent that began in November 2023, the Fund attempted to use the opportunity to shore up call protection, or the amount of time until bonds become callable by the issuer, and lock in the higher yields provided by the interest rate environment that transpired.
 
In addition, as yields rose early in the period the Fund was provided with another opportunity to mitigate exposure to extension risk by moving “up in coupon” (or the interest rate paid on a bond by its issuer), primarily in the market for new issues. During the first half of the period, through the end of November 2023, approximately 64% of our new purchases were of bonds with coupons greater than 5%. The Fund’s total allocation to bonds with coupons greater than 5% was approximately 39 percent as of February 29, 2024. This is differentiated and higher than the Morningstar category average allocation to coupons greater than 5%.
 
After yields descended rapidly over the second half of the period, we began to target our new purchases at the very front end of the yield curve and complement the more call-protected bonds the Fund holds out on the curve. Approximately 47% of our new purchases since the beginning of December 2023 were bonds that mature in 2024.
 
Looking Forward
Looking forward over a longer-term investment horizon (3-years), with Shape Management® guiding our investment decisions, we remain very selective on the bond structures (coupon and call protection), and yield curve positioning that provide the most uniquely attractive total return outcomes across various interest rate scenarios. To the extent the current structure of the yield curve persists, with meaningful yield curve slope beyond 10-years, our additions are likely to remain relatively consistent with our activities during the last six months.


 
PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 5


 
LETTER FROM THE INVESTMENT ADVISER


 

 
Performance Trust Multisector Bond Fund (PTCRX) Semi-Annual
Management’s Discussion of Fund Performance: 9/1/2023 – 2/29/2024 (Unaudited)

 
For the six-month period ended February 29, 2024, the Institutional Class of the Performance Trust Multisector Bond Fund (“PTCRX” or the “Fund”) posted a return of 6.85%, assuming all dividends were reinvested into the Fund. The Bloomberg U.S. Aggregate Bond Index (“Index”) returned 2.35% over the same time, and the Morningstar Multisector US Bond Category (“Category”) returned 4.45%.
 
The Federal Reserve (Fed) held the Federal Funds Target Rate steady at a range of 5.25% to 5.50% for the six-month period ended February 29, 2024 after raising its target by 525 basis points (5.25%) since the first quarter of 2022 as part of their strategy to bring inflation back down to two percent. Looking forward, the Fed anticipates 75 basis points (0.75%) of rate cuts in 2024, and an additional 100 basis points (1.00%) in 2025. Yields across the U.S. Treasury yield curve (yield curve) were mostly unchanged, especially in the 5-year part of the curve. Rates on the longer end were slightly higher with the 10-year up 14 basis points (0.14%) and the 20-year 11 basis points (0.11%) higher. Rates on the front end of the yield curve modestly rallied especially the 1 year which saw a 39 basis point (0.39%) decline. While rates overall appeared to be less volatile, there were meaningful swings during the six-month period. For example, the 10-year started the semi-annual period at 4.11%, then sold off to just under 5.00% in October before rallying just below 3.79% by year end. The volatility we saw in rates was likely a reflection of the change in inflation expectations and perceived monetary response that persisted throughout the period.
 
The graph below shows the yield curve at the beginning and end of the period:
 
U.S. Treasury Yield Curve
 
 
 
Most credit markets continued to tighten during the period with the expectation that the Fed may be at the end of their tightening campaign and the prospects of a soft landing remained in play. Investment grade Bloomberg US Agg Corporate Avg OAS and high yield Bloomberg US Corporate High Yield Average OAS corporate credit spreads tightened 22 basis points (0.22%) and 60 basis points (0.60%), respectively. However, credit markets were somewhat volatile during this time with high yield corporate spreads (LF98OAS Index) widening 66 basis points (0.66%) from the beginning of the period until early November before rallying over 125 basis points (1.25%) through year-end. This spread volatility in high yield generally followed the moves in the U.S. Treasury market.
 
The Fund was able to outperform the Index during the semi-annual period due to its higher exposure, relative to the Index, to credit sensitive sectors which for the most part rallied. Notably, Non-Agency CMBS (NA CMBS), High Yield (HY) Corporates and Collateralized Loan Obligations (CLOs) were most responsible for the Fund’s outperformance. The biggest contributor to our outperformance was NA CMBS which rallied meaningfully as the rate outlook appeared to have stabilized allowing for NA CMBS spreads, which have been lagging other credit sectors, to tighten meaningfully during the semi-annual period. HY Corporates also contributed to our out performance as spreads in the sector tightened in the period. While NA CMBS and HY Corporates benefited from spread tightening, CLOs contributed to the Fund’s outperformance due to both spread tightening and their high coupons which are reset quarterly based on 3-Month SOFR (Secured Overnight Financing Rate). These three sectors make up a significant portion of the Fund relative to the Index.


 
PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 6

 
LETTER FROM THE INVESTMENT ADVISER


 
The table below shows a general breakdown of the Fund’s portfolio at the beginning and end of the semi-annual period:
 
 
Sector Allocations PTCRX
8/31/2023
2/29/2024
 
 
Cash
  2.43%
  1.72%
 
 
Asset Backed Securities
  8.42%
  6.45%
 
 
Non-Agency RMBS
  3.56%
  4.02%
 
 
CLOs
12.02%
14.81%
 
 
Agency CMBS
  3.65%
  0.00%
 
 
Non-Agency CMBS
16.68%
19.25%
 
 
HY Corporates
16.96%
23.59%
 
 
U.S. Treasuries
  5.07%
  6.15%
 
 
IG Corporates
26.39%
18.39%
 
 
Taxable Municipals
  2.33%
  3.26%
 
 
Tax-Exempt Municipals
  2.49%
  2.36%
 

The Fund increased its allocation to CLOs, NA CMBS and HY Corporates during the period while lowering our allocation to Investment Grade (IG) corporates. Generally, we added seasoned CLOs and shorter HY Corporates, while selling longer IG Corporates that priced off the less attractive belly of the yield curve. The NA CMBS positions we added were at compelling spreads relative to the other credit sectors we surveil.
 
Looking Forward
We are excited about the opportunities in the markets today. Even though credit spreads have tightened, all in-yields still look attractive on a historical basis. The fears surrounding regional banks and commercial real estate have not gone away and continue to create unique investment opportunities.
 
We will continue to use a balanced approach when making allocation decisions. The goal is to create a well-diversified bond portfolio that we believe can generate strong returns in multiple market environments.
 
Shape Management® continues to be a crucial tool for us and paired with our consistent bottom-up credit approach, will help guide us to make the right decisions as we navigate this volatile market. We will continue to selectively add credit risk. However, given this historically tight credit spread environment, we will likely focus on positions pricing off the front end of the curve, especially within HY Corporates and CLOs. We will also continue pursuing sectors such as NA CMBS that remain wide relative to other credit alternatives. We remain focused on finding the most attractive risk/reward opportunities across various sectors and look to stay nimble in this continuously changing environment.
 
Mutual fund investing involves risk. Principal loss is possible. Investments in debt securities typically decrease in value when interest rates rise. This risk is usually greater for longer-term debt securities. Investments in lower rated and non-rated securities present a greater risk of loss to principal and interest than higher-rated securities. Investments in asset-backed and mortgage-backed securities include additional risks that investors should be aware of such as credit risk, prepayment risk, possible illiquidity and default, as well as increased susceptibility to adverse economic developments. Investments in real estate investment trusts (REITs) involve additional risks such as declines in the value of real estate and increased susceptibility to adverse economic or regulatory developments. Derivatives involve investment exposure that may exceed the original cost and a small investment in derivatives could have a large potential impact on the performance of a Fund. Options and swap positions held in a Fund may be illiquid and the Fund’s investment adviser may have difficulty closing out a position. Diversification does not assure a profit or protect against a loss in a declining market. Income from tax-exempt bonds may be subject to state and local taxes and a portion of income may be subject to the federal alternative minimum tax for certain investors. Federal income tax rules will apply to any capital gains distributions.
 

PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 7
 


GROWTH OF PERFORMANCE TRUST TOTAL RETURN BOND FUND (PTIAX)



 
Performance Trust Total Return Bond Fund – Institutional Class (Unaudited)
Total Return vs. Bloomberg U.S. Aggregate Bond Index



 
Average Annual Returns—For the Periods Ended February 29, 2024 (Unaudited)
 
 
SIX
       
ANNUALIZED
 
MONTHS
ONE
THREE
FIVE
TEN
SINCE INCEPTION
 
NOT (ANNUALIZED)
YEAR
YEAR
YEAR
YEAR
(AUGUST 31, 2010)(1)
Performance Trust Total Return
           
  Bond Fund – Institutional Class
4.21%
5.38%
-1.45%
1.30%
3.00%
4.36%
Bloomberg U.S. Aggregate Bond Index
2.35%
3.33%
-3.16%
0.56%
1.43%
1.84%

(1)
The Performance Trust Total Return Bond Fund (the “Fund”) commenced investment operations on September 1, 2010.

The Bloomberg U.S. Aggregate Bond Index is a broad-based benchmark that measures the investment grade, Bloomberg Capital dollar denominated, fixed-rate taxable bond market, including Treasuries, government-related and corporate securities, Mortgage-Backed Securities (agency fixed-rate and hybrid Adjustable-Rate Mortgage Passthroughs), Asset-Backed Securities, and Commercial Mortgage-Backed Securities. The Bloomberg U.S. Aggregate Bond Index was created in 1986, with index history backfilled to January 1, 1976. The chart at the top of the page assumes an initial gross investment of $10,000 made on February 28, 2014 for Institutional Class shares of the Fund.
 
Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Returns shown include the reinvestment of all Fund distributions.
 
For a period of time following the Fund’s inception when the Fund’s asset levels were lower than current asset levels, the Fund’s investments in certain fixed-income instruments purchased in odd lot-sized transactions contributed positively to the Fund’s performance. As Fund asset levels increased, similar odd lot-sized transactions, if any, did not have the same relative impact on the Fund’s performance and are not anticipated to have the same relative impact on the Fund’s future performance.
 
Performance data shown represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance of the Fund may be lower or higher than the performance shown. Performance data current to the most recent month end may be obtained by calling 1 (877) 738-9095 or by visiting www.PTAM.com.
 
The expense ratio for Institutional Class shares is 0.76% per the prospectus dated December 29, 2023. Please see the Financial Highlights in this report for the most recent expense ratio.
 



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 8



GROWTH OF PERFORMANCE TRUST TOTAL RETURN BOND FUND (PTAOX)


 
Performance Trust Total Return Bond Fund – Class A (Unaudited)
Total Return vs. Bloomberg U.S. Aggregate Bond Index


(1)
Reflects 2.25% initial sales load.

Average Annual Returns—For the Periods Ended February 29, 2024 (Unaudited)
 
 
SIX
     
ANNUALIZED
 
MONTHS
ONE
THREE
FIVE
SINCE INCEPTION
 
(NOT ANNUALIZED)
YEAR
YEAR
YEAR
(JANUARY 2, 2019)
Performance Trust Total Return Bond Fund –
         
  Class A (with sales charge)
1.74%
2.78%
-2.44%
0.61%
0.77%
Performance Trust Total Return Bond Fund –
         
  Class A (without sales charge)
4.08%
5.12%
-1.69%
1.06%
1.22%
Bloomberg U.S. Aggregate Bond Index
2.35%
3.33%
-3.16%
0.56%
0.71%

The Bloomberg U.S. Aggregate Bond Index is a broad-based benchmark that measures the investment grade, Bloomberg Capital dollar denominated, fixed-rate taxable bond market, including Treasuries, government-related and corporate securities, Mortgage-Backed Securities (agency fixed-rate and hybrid Adjustable-Rate Mortgage Passthroughs), Asset-Backed Securities, and Commercial Mortgage-Backed Securities. The Bloomberg U.S. Aggregate Bond Index was created in 1986, with index history backfilled to January 1, 1976. The chart at the top of the page assumes an initial gross investment of $10,000 made on January 2, 2019, the inception date for Class A shares of the Performance Trust Total Return Bond Fund (the “Fund”).
 
Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Returns shown include the reinvestment of all Fund distributions.
 
Performance data shown represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance of the Fund may be lower or higher than the performance shown. Performance data current to the most recent month end may be obtained by calling 1 (877) 738-9095 or by visiting www.PTAM.com.
 
The expense ratio for Class A shares is 1.01% per the prospectus dated December 29, 2023. Please see the Financial Highlights in this report for the most recent expense ratio.
 




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 9



GROWTH OF PERFORMANCE TRUST TOTAL RETURN BOND FUND (PTCOX)


 
Performance Trust Total Return Bond Fund – Class C (Unaudited)
Total Return vs. Bloomberg U.S. Aggregate Bond Index




 
Average Annual Returns—For the Periods Ended February 29, 2024 (Unaudited)
 
 
SIX
     
ANNUALIZED
 
MONTHS
ONE
THREE
FIVE
SINCE INCEPTION
 
(NOT ANNUALIZED)
YEAR
YEAR
YEAR
(JANUARY 2, 2019)
Performance Trust Total Return Bond Fund –
         
  Class C
3.66%
4.37%
-2.43%
0.30%
0.46%
Bloomberg U.S. Aggregate Bond Index
2.35%
3.33%
-3.16%
0.56%
0.71%

The Bloomberg U.S. Aggregate Bond Index is a broad-based benchmark that measures the investment grade, Bloomberg Capital dollar denominated, fixed-rate taxable bond market, including Treasuries, government-related and corporate securities, Mortgage-Backed Securities (agency fixed-rate and hybrid Adjustable-Rate Mortgage Passthroughs), Asset-Backed Securities, and Commercial Mortgage-Backed Securities. The Bloomberg U.S. Aggregate Bond Index was created in 1986, with index history backfilled to January 1, 1976. The chart at the top of the page assumes an initial gross investment of $10,000 made on January 2, 2019, the inception date for Class C shares of the Performance Trust Total Return Bond Fund (the “Fund”).
 
Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Returns shown include the reinvestment of all Fund distributions.
 
Performance data shown represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance of the Fund may be lower or higher than the performance shown. Performance data current to the most recent month end may be obtained by calling 1 (877) 738-9095 or by visiting www.PTAM.com.
 
The expense ratio for Class C shares is 1.76% per the prospectus dated December 29, 2023. Please see the Financial Highlights in this report for the most recent expense ratio.
 


PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 10



PERFORMANCE TRUST TOTAL RETURN BOND FUND (PTIAX, PTAOX, PTCOX)


 
Allocation of Portfolio Holdings (% of Investments) (Unaudited)
As of February 29, 2024
 










PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 11



GROWTH OF PERFORMANCE TRUST MUNICIPAL BOND FUND (PTIMX)


 
Performance Trust Municipal Bond Fund Institutional Class (Unaudited)
Total Return vs. Bloomberg Municipal Bond Index



Average Annual Returns—For the Periods Ended February 29, 2024 (Unaudited)
 
 
SIX
       
ANNUALIZED
 
MONTHS
ONE
THREE
FIVE
TEN
SINCE INCEPTION
 
(NOT ANNUALIZED)
YEAR
YEAR
YEAR
YEAR
(JUNE 30, 2011)
Performance Trust Municipal
           
  Bond Fund – Institutional Class
6.55%
7.48%
-0.34%
2.05%
3.21%
4.17%
Bloomberg Municipal Bond Index
4.33%
5.42%
-0.21%
1.91%
2.68%
3.15%

The Bloomberg Municipal Bond Index is a rules based, market-value-weighted index engineered for the long-term tax-exempt bond market. The index tracks general obligation bonds, revenue bonds, insured bonds, and pre-refunded bonds rated Baa3/ BBB or higher by at least two of the ratings agencies: Moody’s, S&P and Fitch. The Bloomberg Municipal Bond Index was created in 1986, with index history backfilled to January 1, 1976. The chart at the top of the page assumes an initial gross investment of $10,000 made on February 28, 2014 for the Institutional Class shares of the Performance Trust Municipal Bond Fund (the “Fund”).
 
Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Returns shown include the reinvestment of all Fund distributions.
 
For a period of time following the Fund’s inception when the Fund’s asset levels were lower than current asset levels, the Fund’s investments in certain fixed-income instruments purchased in odd lot-sized transactions contributed positively to the Fund’s performance. As Fund asset levels increased, similar odd lot-sized transactions, if any, did not have the same relative impact on the Fund’s performance and are not anticipated to have the same relative impact on the Fund’s future performance.
 
Performance data shown represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance of the Fund may be lower or higher than the performance shown. Performance data current to the most recent month end may be obtained by calling 1 (877) 738-9095 or by visiting www.PTAM.com.
 
The expense ratio for Institutional Class shares is 0.50% per the prospectus dated December 29, 2023. Please see the Financial Highlights in this report for the most recent expense ratio.
 



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 12


GROWTH OF PERFORMANCE TRUST MUNICIPAL BOND FUND (PTRMX)


 
Performance Trust Municipal Bond Fund Class A (Unaudited)
Total Return vs. Bloomberg Municipal Bond Index


(1)
Reflects 2.25% initial sales load.

Average Annual Returns—For the Periods Ended February 29, 2024 (Unaudited)

 
SIX
       
ANNUALIZED
 
MONTHS
ONE
THREE
FIVE
TEN
SINCE INCEPTION
 
(NOT ANNUALIZED)
YEAR
YEAR
YEAR
YEAR
(SEPTEMBER 28, 2012)
Performance Trust Municipal Bond
           
  Fund – Class A (with sales charge)
4.00%
4.80%
-1.33%
1.34%
2.74%
2.57%
Performance Trust Municipal Bond
           
  Fund – Class A (without sales charge)
6.41%
7.20%
-0.58%
1.80%
2.97%
2.77%
Bloomberg Municipal Bond Index
4.33%
5.42%
-0.21%
1.91%
2.68%
2.45%

The Bloomberg Municipal Bond Index is a rules based, market-value-weighted index engineered for the long-term tax-exempt bond market. The index tracks general obligation bonds, revenue bonds, insured bonds, and pre-refunded bonds rated Baa3/ BBB or higher by at least two of the ratings agencies: Moody’s, S&P and Fitch. The Bloomberg Municipal Bond Index was created in 1986, with index history backfilled to January 1, 1976. The chart at the top of the page assumes an initial gross investment of $10,000 made on February 28, 2014, the inception date for the Class A shares of the Performance Trust Municipal Bond Fund (the “Fund”).
 
Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Returns shown include the reinvestment of all Fund distributions.
 
Performance data shown represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance of the Fund may be lower or higher than the performance shown. Performance data current to the most recent month end may be obtained by calling 1 (877) 738-9095 or by visiting www.PTAM.com.
 
The expense ratio for Class A shares is 0.75% per the prospectus dated December 29, 2023. Please see the Financial Highlights in this report for the most recent expense ratio.
 




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 13



PERFORMANCE TRUST MUNICIPAL BOND FUND (PTIMX, PTRMX)


 
Allocation of Portfolio Holdings (% of Investments) (Unaudited)
As of February 29, 2024
 





* For additional details on allocation of portfolio assets by state, please see the Schedules of Investments.
 



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 14



GROWTH OF PERFORMANCE TRUST MULTISECTOR BOND FUND (PTCRX)


 
Performance Trust Multisector Bond Fund – Institutional Class (Unaudited)
Total Return vs. Bloomberg U.S. Aggregate Bond Index



Returns—For the Periods Ended February 29, 2024 (Unaudited)
 
 
SIX
   
ANNUALIZED
 
MONTHS
ONE
THREE
SINCE INCEPTION
 
(NOT ANNUALIZED)
YEAR
YEAR
(DECEMBER 31, 2020)(1)
Performance Trust Multisector Bond Fund –
       
  Institutional Class
6.85%
9.45%
1.26%
1.12%
Bloomberg U.S. Aggregate Bond Index
2.35%
3.33%
-3.16%
-3.67%

(1)
The Performance Trust Multisector Bond Fund (the “Fund”) commenced investment operations on January 4, 2021.

The Bloomberg U.S. Aggregate Bond Index is a broad-based benchmark that measures the investment grade, Capital dollar denominated, fixed-rate taxable bond market, including Treasuries, government-related and corporate securities, Mortgage-Backed Securities (agency fixed-rate and hybrid Adjustable-Rate Mortgage Passthroughs), Asset-Backed Securities, and Commercial Mortgage-Backed Securities. The Bloomberg U.S. Aggregate Bond Index was created in 1986, with index history backfilled to January 1, 1976. The chart at the top of the page assumes an initial gross investment of $10,000 made on December 31, 2020, the inception date for Institutional Class shares of the Fund.
 
Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Returns shown include the reinvestment of all Fund distributions. Investment performance reflects fee waivers in effect. In the absence of such waivers, total returns would be reduced.
 
Performance data shown represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance of the Fund may be lower or higher than the performance shown. Performance data current to the most recent month end may be obtained by calling 1 (877) 738-9095 or by visiting www.PTAM.com.
 
The Fund’s investment adviser, PT Asset Management, LLC, has contractually agreed to waive its fees and/or pay for operating expenses of the Fund to ensure that total annual fund operating expenses (excluding any front-end or contingent deferred loads, Rule 12b-1 plan fees, shareholder servicing plan fees, taxes, leverage, interest, brokerage commissions and other transactional expenses, expenses incurred in connection with any merger or reorganization, dividends or interest on short positions, acquired fund fees and expenses or extraordinary expenses such as litigation expenses) do not exceed 0.99% of the average daily net assets of the Fund. This agreement is effective at least through December 29, 2024.
 
The gross and net expense ratios for Institutional Class shares per the prospectus dated December 29, 2023 were 1.07% and 1.00%, respectively. Please see the Financial Highlights in this report for the most recent expense ratios.
 





PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 15



PERFORMANCE TRUST MULTISECTOR BOND FUND (PTCRX)


 
Allocation of Portfolio Holdings (% of Investments) (Unaudited)
As of February 29, 2024
 








PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 16






(This Page Intentionally Left Blank.)
 






PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 17


STATEMENTS OF ASSETS AND LIABILITIES
February 29, 2024 (Unaudited)



   
Performance Trust
   
Performance Trust
   
Performance Trust
 
   
Total Return
   
Municipal
   
Multisector
 
   
Bond Fund
   
Bond Fund
   
Bond Fund
 
Assets
                 
Investments, at value (cost $7,165,174,800,
                 
  $691,515,355 and $102,352,795, respectively)
 
$
6,673,469,858
   
$
708,041,937
   
$
101,938,980
 
Dividend and interest receivable
   
59,845,012
     
6,723,573
     
1,006,615
 
Receivable for investments sold
   
     
4,726,760
     
 
Receivable for fund shares sold
   
29,791,598
     
824,631
     
153,252
 
Other assets
   
155,371
     
53,311
     
18,100
 
Total Assets
   
6,763,261,839
     
720,370,212
     
103,116,947
 
                         
Liabilities
                       
Payable for investments purchased
   
40,885,341
     
20,844,893
     
1,920,472
 
Payable for fund shares redeemed
   
4,104,238
     
399,169
     
56,949
 
Payable to adviser
   
2,220,855
     
159,980
     
34,565
 
Payable to affiliates
   
620,609
     
75,953
     
19,146
 
Payable for distribution fees
   
33,448
     
6,996
     
 
Payable for shareholder servicing fees
   
17,813
     
     
 
Accrued expenses and other liabilities
   
597,672
     
20,255
     
18,047
 
Total Liabilities
   
48,479,976
     
21,507,246
     
2,049,179
 
                         
Net Assets
   
6,714,781,863
     
698,862,966
     
101,067,768
 
                         
Net Assets Consist Of:
                       
Paid-in capital
 
$
7,696,265,816
   
$
775,870,775
   
$
105,339,122
 
Total accumulated loss
   
(981,483,953
)
   
(77,007,809
)
   
(4,271,354
)
Net Assets
 
$
6,714,781,863
   
$
698,862,966
   
$
101,067,768
 


The accompanying notes are an integral part of these financial statements.





PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 18


STATEMENTS OF ASSETS AND LIABILITIES (CONT.)
February 29, 2024 (Unaudited)



   
Performance Trust
   
Performance Trust
   
Performance Trust
 
   
Total Return
   
Municipal
   
Multisector
 
   
Bond Fund
   
Bond Fund
   
Bond Fund
 
Total Return Bond Fund, Municipal Bond Fund
                 
  and Multisector Bond Fund Shares –
                 
  Institutional Class
                 
Net assets
 
$
6,637,622,872
   
$
662,508,302
   
$
101,067,768
 
Shares of beneficial interest outstanding (unlimited
                       
  number of shares authorized, $0.001 par value)
   
339,856,506
     
28,771,142
     
11,520,138
 
Net asset value, redemption
                       
  and offering price per share
 
$
19.53
   
$
23.03
   
$
8.77
 
                         
Total Return Bond Fund and Municipal
                       
  Bond Fund Shares – Class A
                       
Net assets
 
$
30,702,911
   
$
36,354,664
         
Shares of beneficial interest outstanding (unlimited
                       
  number of shares authorized, $0.001 par value)
   
1,571,941
     
1,577,432
         
Net asset value, redemption
                       
  and offering price per share
 
$
19.53
   
$
23.05
         
Maximum offering price per share
                       
  (Net asset value per share divided by 0.9775)(1)
 
$
19.98
   
$
23.58
         
                         
Total Return Bond Fund Shares – Class C
                       
Net assets
 
$
46,456,080
                 
Shares of beneficial interest outstanding (unlimited
                       
  number of shares authorized, $0.001 par value)
   
2,388,744
                 
Net asset value, redemption
                       
  and offering price per share
 
$
19.45
                 


(1)
Reflects a maximum sales charge of 2.25%.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 19


PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
MUNICIPAL BONDS – 19.7%
           
Alabama – 0.3%
           
Baldwin County Public Building
           
  Authority, 2.00%, 03/01/2046
 
$
1,210,000
   
$
760,273
 
Water Works Board of
               
the City of Birmingham
               
  2.51%, 01/01/2036
   
13,945,000
     
11,054,913
 
  2.71%, 01/01/2038
   
6,835,000
     
5,322,421
 
  3.57%, 01/01/2045
   
385,000
     
311,478
 
     

      17,449,085  
California – 3.4%
               
Alvord Unified School District,
               
  0.00%, 08/01/2046 (a)
   
2,105,000
     
2,432,851
 
Bakersfield City School District,
               
  0.00%, 05/01/2047 (a)
   
9,765,000
     
7,531,200
 
Chaffey Community College
               
  District, 3.00%, 06/01/2038
   
3,705,000
     
3,433,242
 
Chaffey Joint Union High School
               
  District, 3.14%, 08/01/2043
   
3,790,000
     
2,847,910
 
City of Los Angeles
               
Department of Airports
               
  1.88%, 05/15/2030
   
230,000
     
188,063
 
  7.05%, 05/15/2040
   
2,660,000
     
3,120,177
 
City of Ontario, CA,
               
  3.78%, 06/01/2038
   
3,000,000
     
2,574,328
 
City of Sacramento, CA Transient
               
  Occupancy Tax Revenue,
               
  3.86%, 06/01/2025
   
3,320,000
     
3,256,431
 
City of San Francisco, CA
               
  Public Utilities Commission Water
               
  Revenue, 2.85%, 11/01/2041
   
2,000,000
     
1,484,260
 
City of Union City, CA,
               
  0.00%, 07/01/2025 (b)
   
2,105,000
     
1,961,610
 
Clovis Unified School District,
               
  3.07%, 08/01/2039
   
14,455,000
     
11,481,320
 
Coast Community College District,
               
  2.96%, 08/01/2038
   
15,000,000
     
11,994,322
 
Cucamonga Valley Water District
               
  Financing Authority,
               
  3.01%, 09/01/2042
   
5,000,000
     
3,784,286
 
East Side Union High School
               
  District, 5.32%, 04/01/2036
   
6,505,000
     
6,521,622
 
Fullerton Public Financing Authority,
               
  7.75%, 05/01/2031
   
1,145,000
     
1,257,512
 
Gateway Unified School District, CA
               
  0.00%, 08/01/2035 (b)
   
2,315,000
     
1,551,467
 
  0.00%, 08/01/2036 (b)
   
2,315,000
     
1,470,903
 
Golden State Tobacco
               
Securitization Corp.
               
  2.79%, 06/01/2031
   
15,930,000
     
13,435,701
 
  3.00%, 06/01/2046
   
10,835,000
     
9,992,920
 
Inland Empire Tobacco
               
  Securitization Corp.,
               
  3.68%, 06/01/2038
 

19,965,000
   

18,829,634
 
Los Angeles Community College
               
  District, CA, 6.60%, 08/01/2042
   
7,545,000
     
8,712,392
 
Marin Community College District,
               
  2.70%, 08/01/2041
   
1,025,000
     
737,345
 
Norwalk-La Mirada Unified School
               
  District, 0.00%, 08/01/2038 (b)
   
4,450,000
     
2,444,868
 
Paramount Unified School District,
               
  3.27%, 08/01/2051
   
13,425,000
     
9,764,437
 
Peralta Community College District,
               
  0.00%, 08/05/2031 (a)
   
12,350,000
     
11,537,363
 
Perris Union High School District,
               
  2.70%, 09/01/2042
   
3,000,000
     
2,125,347
 
Riverside County Infrastructure
               
  Financing Authority,
               
  3.19%, 11/01/2041
   
4,755,000
     
3,652,950
 
San Diego County Regional
               
  Transportation Commission,
               
  3.25%, 04/01/2048
   
3,155,000
     
2,387,655
 
San Diego Unified School District,
               
  0.00%, 07/01/2036 (b)
   
7,915,000
     
5,199,806
 
San Francisco City & County
               
  Redevelopment Financing
               
  Authority, 0.00%, 08/01/2036 (b)
   
5,240,000
     
2,742,467
 
San Mateo Foster City School
               
  District, 3.06%, 08/01/2044
   
2,245,000
     
1,629,627
 
Santa Ana Unified School District,
               
  0.00%, 08/01/2037 (b)
   
3,955,000
     
2,422,725
 
Santa Monica Community College
               
  District, 2.80%, 08/01/2044
   
2,300,000
     
1,625,361
 
State of California,
               
  7.55%, 04/01/2039
   
28,000,000
     
34,141,150
 
University of California
               
  4.86%, 05/15/2112
   
4,746,000
     
4,361,180
 
  4.77%, 05/15/2115
   
7,397,000
     
6,670,226
 
Ventura County Public Financing
               
  Authority, 2.91%, 11/01/2038
   
10,545,000
     
8,178,308
 
West Contra Costa Unified School
               
  District, 0.00%, 08/01/2036 (b)
   
5,000,000
     
3,227,631
 
West Sonoma County Union
               
  High School District,
               
  0.00%, 08/01/2037 (b)
   
1,840,000
     
1,108,013
 
William S. Hart Union High School
               
  District, 0.00%, 08/01/2036 (b)
   
1,150,000
     
742,355
 
Yosemite Community College
               
  District, 0.00%, 08/01/2038 (b)
   
6,110,000
     
3,537,474
 
Yuba Community College District,
               
  0.00%, 08/01/2038 (b)
   
5,055,000
     
2,968,347
 
     

      229,066,786
 
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.
 




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 20


PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
Colorado – 0.3%
           
City of Aurora, CO Water Revenue,
           
  2.72%, 08/01/2046
 
$
880,000
   
$
595,018
 
City of Fountain, CO Electric Water
               
  & Wastewater Utility Enterprise
               
  Revenue, 3.20%, 12/01/2043
   
2,655,000
     
1,986,873
 
City of Fruita, CO Healthcare
               
  Revenue, 5.00%, 01/01/2028
   
1,825,000
     
1,758,255
 
Colorado Health Facilities Authority
               
  3.70%, 11/01/2039
   
2,825,000
     
2,391,344
 
  3.80%, 11/01/2044
   
11,815,000
     
9,483,068
 
  3.85%, 11/01/2049
   
2,030,000
     
1,580,898
 
     

      17,795,456
 
Connecticut – 0.5%
               
State of Connecticut
               
  3.00%, 01/15/2036
   
5,000,000
     
4,752,217
 
  3.00%, 01/15/2037
   
7,090,000
     
6,589,487
 
  3.00%, 06/01/2037
   
8,620,000
     
7,946,919
 
State of Connecticut Special Tax
               
  Revenue, 3.13%, 05/01/2040
   
6,975,000
     
6,221,185
 
Town of West Hartford, CT,
               
  2.76%, 07/01/2041
   
7,025,000
     
5,323,027
 
     

      30,832,835
 
District of Columbia – 0.4%
               
District of Columbia Water & Sewer
               
  Authority, 4.81%, 10/01/2114
   
10,372,000
     
9,536,516
 
Metropolitan Washington Airports
               
Authority Dulles Toll Road Revenue
               
  3.56%, 10/01/2041
   
2,995,000
     
2,413,287
 
  8.00%, 10/01/2047
   
10,645,000
     
13,990,896
 
     

      25,940,699
 
Florida – 1.0%
               
Central Florida Tourism Oversight
               
  District, 2.73%, 06/01/2038
   
18,500,000
     
14,317,951
 
City of Gainesville, FL
               
  0.00%, 10/01/2027 (b)
   
4,610,000
     
3,824,644
 
  0.00%, 10/01/2028 (b)
   
1,400,000
     
1,103,829
 
  3.05%, 10/01/2040
   
10,840,000
     
8,127,209
 
City of Gainesville, FL Utilities
               
  System Revenue,
               
  6.02%, 10/01/2040
   
6,015,000
     
6,446,805
 
County of Miami-Dade, FL Transit
               
  System, 5.62%, 07/01/2040
   
17,020,000
     
17,511,720
 
JEA Water & Sewer System
               
  Revenue, 3.00%, 10/01/2041
   
5,045,000
     
4,355,426
 
Orlando Utilities Commission,
               
  5.66%, 10/01/2040
   
8,000,000
     
8,437,675
 
     

      61,125,259
 
Georgia – 0.2%
               
City of Atlanta, GA Water &
               
  Wastewater Revenue,
               
  2.91%, 11/01/2043
 

1,625,000
   

1,189,337
 
Municipal Electric Authority of
               
  Georgia, 2.50%, 01/01/2031
   
10,355,000
     
8,924,694
 
State of Georgia,
               
  2.25%, 07/01/2039
   
5,000,000
     
3,620,704
 
Tift County Hospital Authority,
               
  2.98%, 12/01/2042
   
2,950,000
     
2,144,765
 
     

     
15,879,500
 
Hawaii – 0.3%
               
City & County Honolulu, HI
               
  Wastewater System Revenue,
               
  2.57%, 07/01/2041
   
5,000,000
     
3,578,917
 
State of Hawaii
               
  2.25%, 08/01/2038
   
3,875,000
     
2,802,892
 
  2.80%, 10/01/2038
   
10,000,000
     
7,776,071
 
  2.83%, 10/01/2039
   
3,730,000
     
2,858,719
 
  2.87%, 10/01/2041
   
2,270,000
     
1,683,896
 
     

     
18,700,495
 
Illinois – 0.2%
               
Illinois Finance Authority,
               
  3.51%, 05/15/2041
   
7,000,000
     
5,306,591
 
Metropolitan Pier &
               
Exposition Authority
               
  0.00%, 06/15/2036 (b)
   
4,025,000
     
2,408,607
 
  0.00%, 12/15/2036 (b)
   
5,000,000
     
3,010,505
 
  0.00%, 06/15/2038 (b)
   
2,750,000
     
1,461,865
 
State of Illinois, 5.75%, 01/01/2037
   
3,000,000
     
3,032,677
 
     

     
15,220,245
 
Indiana – 0.1%
               
Indiana Finance Authority,
               
  4.81%, 07/15/2035
   
3,000,000
     
2,922,832
 
Indianapolis Local Public
               
  Improvement Bond Bank,
               
  2.47%, 01/01/2040
   
9,500,000
     
7,071,317
 
     

     
9,994,149
 
Kansas – 0.0% (c)
               
Kansas Development Finance
               
  Authority, 4.93%, 04/15/2045
   
2,050,000
     
1,971,114
 
                 
Kentucky – 0.1%
               
County of Warren, KY,
               
  4.40%, 12/01/2038
   
1,540,000
     
1,425,239
 
Louisville and Jefferson County
               
  Metropolitan Sewer District,
               
  2.25%, 05/15/2044
   
5,215,000
     
3,636,088
 
     

     
5,061,327
 


Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.
 



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 21

 

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
Louisiana – 0.4%
           
City of New Orleans, LA
           
Water System Revenue
           
  1.69%, 12/01/2029
 
$
1,800,000
   
$
1,517,332
 
  1.84%, 12/01/2030
   
3,120,000
     
2,573,231
 
  1.94%, 12/01/2031
   
1,635,000
     
1,317,480
 
  2.89%, 12/01/2041
   
3,050,000
     
2,227,951
 
East Baton Rouge Sewerage
               
  Commission, 2.44%, 02/01/2039
   
2,500,000
     
1,828,770
 
State of Louisiana Gasoline &
               
Fuels Tax Revenue
               
  2.53%, 05/01/2041
   
12,055,000
     
8,614,423
 
  2.83%, 05/01/2043
   
9,570,000
     
6,757,627
 
     

     
24,836,814
 
Maine – 0.2%
               
City of Portland, ME
               
  2.50%, 04/01/2039
   
1,760,000
     
1,410,653
 
  2.50%, 04/01/2040
   
1,760,000
     
1,378,759
 
  2.50%, 04/01/2041
   
1,760,000
     
1,351,024
 
Maine Health & Higher Educational
           

 
  Facilities Authority,
               
  3.12%, 07/01/2043
   
14,250,000
     
10,439,288
 
     

     
14,579,724
 
Maryland – 0.2%
               
Maryland Health & Higher
               
  Educational Facilities Authority,
               
  3.05%, 07/01/2040
   
10,000,000
     
7,495,067
 
Maryland Stadium Authority,
               
  2.81%, 05/01/2040
   
7,000,000
     
5,271,112
 
     

     
12,766,179
 
Massachusetts – 0.1%
               
Commonwealth of Massachusetts,
               
  2.38%, 09/01/2043
   
3,250,000
     
2,387,785
 
Massachusetts Educational
               
  Financing Authority,
               
  3.83%, 07/01/2024
   
450,000
     
447,652
 
Massachusetts School Building
               
  Authority, 2.95%, 05/15/2043
   
1,540,000
     
1,166,413
 
Massachusetts State College
               
  Building Authority,
               
  5.93%, 05/01/2040
   
550,000
     
566,683
 
     

     
4,568,533
 
Michigan – 0.9%
               
City of Detroit, MI,
               
  4.00%, 04/01/2044 (d)
   
8,700,000
     
6,463,275
 
Detroit City School District,
               
  7.75%, 05/01/2039
   
11,950,000
     
13,958,524
 
Michigan Finance Authority
               
  3.08%, 12/01/2034
   
5,095,000
     
4,399,732
 
  3.27%, 06/01/2039
   
19,000,000
     
17,279,979
 
Plymouth-Canton Community
               
  School District,
               
  3.00%, 05/01/2040
 

1,675,000
   

1,451,025
 
University of Michigan,
               
  4.45%, 04/01/2122
   
19,211,000
     
16,406,292
 
     

     
59,958,827
 
Minnesota – 0.5%
               
State of Minnesota,
               
  2.88%, 06/01/2041
   
16,435,000
     
12,334,620
 
Western Minnesota Municipal
               
  Power Agency,
               
  3.16%, 01/01/2039
   
17,700,000
     
14,637,001
 
White Bear Lake Independent
               
  School District No. 624,
               
  3.00%, 02/01/2044
   
8,330,000
     
7,011,265
 
     

     
33,982,886
 
                 
Mississippi – 0.1%
               
Mississippi Development Bank,
               
  5.46%, 10/01/2036
   
5,005,000
     
5,024,906
 
                 
Missouri – 0.1%
               
Kansas City Land Clearance
               
  Redevelopment Authority,
               
  6.40%, 10/15/2040 (e)
   
7,915,000
     
7,270,656
 
                 
Nebraska – 0.1%
               
Lancaster County School
               
  District 001, 3.00%, 01/15/2043
   
6,075,000
     
5,153,189
 
                 
Nevada – 0.3%
               
City of North Las Vegas, NV,
               
  6.57%, 06/01/2040
   
14,155,000
     
15,736,029
 
County of Clark, NV
               
  3.00%, 07/01/2038
   
4,000,000
     
3,600,775
 
  3.23%, 07/01/2044
   
2,000,000
     
1,496,240
 
     

     
20,833,044
 
New Hampshire – 0.0% (c)
               
New Hampshire Business Finance
               
  Authority, 3.28%, 10/01/2037
   
4,815,000
     
3,353,461
 
                 
New Jersey – 0.9%
               
City of Bayonne, NJ,
               
  2.81%, 07/01/2039
   
5,725,000
     
4,247,291
 
Clifton Board Of Education,
               
  2.13%, 08/15/2044
   
4,560,000
     
3,076,400
 
County of Essex, NJ,
               
  2.00%, 09/01/2044
   
3,560,000
     
2,375,542
 
Mercer County Improvement
               
  Authority, 8.27%, 12/01/2034
   
13,390,000
     
15,963,111
 
New Jersey Economic Development
               
  Authority, 0.00%, 02/15/2025 (b)
   
20,188,000
     
19,232,284
 

 
Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.





PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 22


 
PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
New Jersey – 0.9% (Cont.)
           
New Jersey Institute of Technology
           
  3.32%, 07/01/2024
 
$
770,000
   
$
764,772
 
  3.42%, 07/01/2042
   
6,455,000
     
5,101,309
 
New Jersey Transportation
               
Trust Fund Authority
               
  0.00%, 12/15/2039 (b)
   
5,000,000
     
2,687,624
 
  0.00%, 12/15/2040 (b)
   
10,045,000
     
5,093,020
 
New Jersey Turnpike Authority,
               
  2.78%, 01/01/2040
   
5,220,000
     
3,892,865
 
     

     
62,434,218
 
New York – 0.6%
               
New York City Industrial
               
  Development Agency,
               
  2.44%, 01/01/2036
   
5,850,000
     
4,338,517
 
New York City Transitional Finance
               
  Authority Building Aid Revenue,
               
  3.00%, 07/15/2038
   
1,400,000
     
1,264,648
 
New York Liberty
               
Development Corp.
               
  2.25%, 02/15/2041
   
13,595,000
     
10,072,350
 
  3.00%, 02/15/2042
   
5,500,000
     
4,731,709
 
  3.00%, 09/15/2043
   
12,500,000
     
10,450,945
 
New York State Dormitory Authority,
               
  5.10%, 08/01/2034
   
3,125,000
     
2,806,215
 
Triborough Bridge & Tunnel
               
  Authority, 2.92%, 05/15/2040
   
3,890,000
     
2,940,168
 
Western Nassau County Water
               
  Authority, 2.96%, 04/01/2041
   
1,500,000
     
1,126,052
 
     

     
37,730,604
 
North Carolina – 0.1%
               
North Carolina State University at
               
  Raleigh, 3.02%, 10/01/2042
   
4,000,000
     
2,975,808
 
University of North Carolina at
               
  Charlotte, 2.76%, 04/01/2043
   
2,000,000
     
1,446,828
 
     

     
4,422,636
 
Ohio – 1.1%
               
American Municipal Power, Inc.
               
  7.83%, 02/15/2041
   
10,760,000
     
13,174,616
 
  6.45%, 02/15/2044
   
5,000,000
     
5,432,803
 
  7.50%, 02/15/2050
   
4,430,000
     
5,425,828
 
County of Hamilton, OH,
               
  3.76%, 06/01/2042
   
11,955,000
     
9,810,695
 
Franklin County Convention
               
  Facilities Authority,
               
  2.47%, 12/01/2034
   
15,000,000
     
11,656,883
 
JobsOhio Beverage System,
               
  2.83%, 01/01/2038
   
7,590,000
     
6,139,057
 
Ohio Higher Educational Facility
               
  Commission, 4.50%, 12/01/2026
   
4,025,000
     
3,875,758
 
Ohio State University,
               
  4.80%, 06/01/2111
 

14,678,000
   

13,430,069
 
South-Western City School District,
               
  0.00%, 12/01/2028 (b)
   
2,735,000
     
2,180,396
 
     

     
71,126,105
 
Oklahoma – 0.5%
               
Oklahoma Development
               
Finance Authority
               
  5.45%, 08/15/2028
   
4,520,000
     
4,070,984
 
  5.27%, 10/01/2042
   
9,854,945
     
9,996,201
 
  4.62%, 06/01/2044
   
5,000,000
     
4,774,027
 
Oklahoma Municipal
               
Power Authority
               
  2.50%, 01/01/2035
   
3,475,000
     
2,715,385
 
  2.55%, 01/01/2036
   
2,390,000
     
1,833,235
 
  2.80%, 01/01/2041
   
15,500,000
     
11,438,876
 
     

     
34,828,708
 
Oregon – 0.1%
               
Clackamas & Washington Counties
               
  School District No. 3,
               
  0.00%, 06/15/2038 (b)
   
1,900,000
     
1,053,271
 
Salem-Keizer
               
School District No. 24J
               
  0.00%, 06/15/2039 (b)
   
3,000,000
     
1,498,925
 
  0.00%, 06/15/2040 (b)
   
12,395,000
     
5,865,600
 
State of Oregon,
               
  2.37%, 08/01/2041
   
1,205,000
     
843,063
 
Tri-County Metropolitan
               
  Transportation District of Oregon,
               
  2.86%, 09/01/2041
   
750,000
     
565,968
 
     

     
9,826,827
 
Pennsylvania – 0.7%
               
Berks County Industrial
               
Development Authority
               
  3.95%, 05/15/2024
   
250,000
     
248,947
 
  4.45%, 05/15/2027
   
800,000
     
782,685
 
Commonwealth Financing Authority
               
  3.66%, 06/01/2038
   
7,020,000
     
6,069,754
 
  3.81%, 06/01/2041
   
5,060,000
     
4,345,322
 
  2.99%, 06/01/2042
   
10,335,000
     
7,826,978
 
  3.53%, 06/01/2042
   
3,160,000
     
2,540,859
 
Commonwealth of Pennsylvania,
               
  3.00%, 05/15/2036
   
1,255,000
     
1,194,041
 
Montgomery County Industrial
               
  Development Authority,
               
  3.15%, 11/15/2028
   
10,000,000
     
8,934,427
 
Pennsylvania Economic
               
  Development Financing Authority,
               
  3.14%, 06/15/2042
   
7,600,000
     
5,958,097
 
                 

 
Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.
 


PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 23

 

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
Pennsylvania – 0.7% (Cont.)
           
Pennsylvania Turnpike
           
  Commission, 3.00%, 12/01/2042
 
$
9,830,000
   
$
8,307,913
 
Union County Hospital Authority,
               
  4.40%, 08/01/2028
   
1,060,000
     
1,040,495
 
     

     
47,249,518
 
Puerto Rico – 0.2%
               
Commonwealth of Puerto Rico
               
  0.00%, 07/01/2024 (b)
   
74,866
     
73,877
 
  0.00%, 07/01/2033 (b)
   
592,257
     
381,735
 
  4.00%, 07/01/2037
   
355,042
     
339,094
 
  4.00%, 07/01/2041
   
482,722
     
448,369
 
  0.00%, 11/01/2043 (d)
   
2,034,695
     
1,192,840
 
  4.00%, 07/01/2046
   
502,024
     
453,731
 
GDB Debt Recovery Authority of
               
  Puerto Rico, 7.50%, 08/20/2040
   
7,991,178
     
7,631,575
 
Puerto Rico Highway &
               
  Transportation Authority,
               
  0.00%, 07/01/2026 (b)
   
7,000,000
     
5,827,980
 
     

     
16,349,201
 
Rhode Island – 0.0% (c)
               
State of Rhode Island,
               
  2.25%, 08/01/2041
   
1,550,000
     
1,128,397
 
                 
South Carolina – 0.1%
               
South Carolina Jobs-Economic
               
  Development Authority,
               
  2.73%, 07/01/2030
   
5,725,000
     
5,006,591
 
                 
Tennessee – 1.0%
               
County of Putnam, TN
               
  2.00%, 04/01/2038
   
4,115,000
     
3,100,131
 
  2.00%, 04/01/2039
   
4,195,000
     
3,085,101
 
  2.13%, 04/01/2041
   
4,360,000
     
3,114,437
 
Metropolitan Government
               
  Nashville & Davidson County
               
  Sports Authority,
               
  5.60%, 07/01/2056
   
13,200,000
     
13,452,669
 
Metropolitan Government of
               
  Nashville & Davidson County,
               
  1.75%, 01/01/2037
   
34,350,000
     
25,328,921
 
New Memphis Arena Public
               
Building Authority
               
  0.00%, 04/01/2044 (b)
   
6,020,000
     
2,243,922
 
  0.00%, 04/01/2045 (b)
   
6,000,000
     
2,107,944
 
  0.00%, 04/01/2046 (b)
   
4,900,000
     
1,626,099
 
Tennessee State School
               
Bond Authority
               
  2.56%, 11/01/2041
   
8,000,000
     
5,667,206
 
  2.66%, 11/01/2045
   
11,605,000
     
7,679,292
 
     

     
67,405,722
 
Texas – 3.4%
               
Austin Independent School District,
               
  1.88%, 08/01/2038
 
12,265,000
   

8,958,988
 
Board of Regents of the
               
  University of Texas System,
               
  5.13%, 08/15/2042
   
3,410,000
     
3,457,940
 
Central Texas Regional Mobility
               
  Authority, 3.27%, 01/01/2045
   
3,900,000
     
2,838,661
 
City of Dallas, TX,
               
  0.00%, 02/15/2032 (b)
   
15,000,000
     
9,950,837
 
City of Dallas, TX Waterworks &
               
  Sewer System Revenue,
               
  2.77%, 10/01/2040
   
7,690,000
     
5,657,767
 
City of Frisco, TX
               
  2.00%, 02/15/2039
   
4,835,000
     
3,547,732
 
  2.00%, 02/15/2040
   
4,925,000
     
3,514,470
 
City of Houston, TX
               
  6.29%, 03/01/2032
   
795,000
     
835,545
 
  5.54%, 03/01/2037
   
7,100,000
     
7,483,854
 
  3.96%, 03/01/2047
   
8,300,000
     
7,245,152
 
City of Irving, TX,
               
  7.38%, 08/15/2044
   
3,500,000
     
3,500,144
 
City of San Antonio, TX
               
Electric & Gas Systems Revenue
               
  5.99%, 02/01/2039
   
13,425,000
     
14,391,464
 
  5.72%, 02/01/2041
   
22,150,000
     
22,917,779
 
Colony Economic Development
               
  Corp., 7.25%, 10/01/2042
   
5,000,000
     
4,807,954
 
County of Bexar, TX
               
  3.03%, 08/15/2041
   
1,490,000
     
1,101,462
 
  2.86%, 06/15/2043
   
7,100,000
     
5,154,189
 
Dallas Convention Center Hotel
               
  Development Corp.,
               
  7.09%, 01/01/2042
   
11,075,000
     
12,476,627
 
Dallas Fort Worth
               
International Airport
               
  3.09%, 11/01/2040
   
19,070,000
     
15,150,331
 
  5.00%, 11/01/2042
   
1,225,000
     
1,192,813
 
  2.84%, 11/01/2046
   
6,345,000
     
4,636,412
 
  5.05%, 11/01/2047
   
2,500,000
     
2,409,089
 
Downtown Dallas Development
               
  Authority, 0.00%, 08/15/2036 (b)
   
6,730,000
     
3,449,276
 
Forney Independent School District
               
  3.00%, 02/15/2039
   
1,000,000
     
904,091
 
  2.50%, 08/15/2039
   
7,330,000
     
5,867,300
 
  2.50%, 08/15/2040
   
7,300,000
     
5,715,791
 
  2.50%, 08/15/2041
   
4,385,000
     
3,368,498
 
Fort Bend Grand Parkway Toll Road
               
   Authority, 3.00%, 03/01/2039
   
2,150,000
     
1,891,602
 
Metropolitan Transit Authority of
               
  Harris County Sales & Use Tax
               
  Revenue, 2.60%, 11/01/2037
   
17,015,000
     
13,062,880
 


Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 24


PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
Texas – 3.4% (Cont.)
           
New Hope Cultural Education
           
  Facilities Corp.,
           
  4.00%, 08/01/2020 (f)
 
$
169,148
   
$
0
 
North Texas Tollway Authority
               
  8.41%, 02/01/2030
   
4,375,000
     
4,842,272
 
  3.00%, 01/01/2038
   
21,695,000
     
19,422,156
 
  3.01%, 01/01/2043
   
2,135,000
     
1,598,890
 
Port of Beaumont Industrial
               
  Development Authority,
               
  4.10%, 01/01/2028 (e)
   
7,000,000
     
5,796,172
 
Port of Houston Authority,
               
  3.00%, 10/01/2039
   
5,000,000
     
4,513,500
 
Stafford Municipal School District,
               
  3.08%, 08/15/2041
   
1,525,000
     
1,192,437
 
State of Texas, 2.13%, 08/01/2037
   
3,430,000
     
2,676,454
 
Texas A&M University
               
  3.00%, 05/15/2039
   
2,050,000
     
1,835,304
 
  2.81%, 05/15/2041
   
6,750,000
     
5,110,020
 
Texas Transportation Commission
               
  2.01%, 10/01/2037
   
6,295,000
     
4,508,806
 
  2.56%, 04/01/2042
   
3,000,000
     
2,248,893
 
Texas Water Development Board,
               
  3.00%, 08/01/2039
   
3,000,000
     
2,683,170
 
     

     
231,916,722
 
Utah – 0.2%
               
County of Salt Lake, UT
               
  Convention Hotel Revenue,
               
  5.75%, 10/01/2047 (e)
   
5,000,000
     
4,343,929
 
Utah Transit Authority,
               
  2.77%, 12/15/2038
   
10,785,000
     
8,391,381
 
     

     
12,735,310
 
Virginia – 0.2%
               
University of Virginia,
               
  4.18%, 09/01/2117
   
16,895,000
     
13,473,075
 
Virginia Housing
               
Development Authority
               
  3.90%, 04/01/2042
   
3,155,000
     
2,621,549
 
  2.96%, 09/01/2045
   
1,205,000
     
852,045
 
     

     
16,946,669
 
Washington – 0.7%
               
County of King, WA,
               
  2.73%, 12/01/2041
   
5,000,000
     
3,677,756
 
County of King, WA Sewer
               
  Revenue, 2.84%, 07/01/2047
   
2,000,000
     
1,348,231
 
King County Housing Authority
               
  3.00%, 11/01/2039
   
3,500,000
     
2,877,982
 
  3.00%, 06/01/2040
   
18,995,000
     
15,180,149
 
  3.00%, 08/01/2040
   
3,195,000
     
2,543,948
 
NJB Properties, 5.51%, 12/01/2036
   
6,960,000
     
7,180,132
 
Pierce County School
               
  District No. 10 Tacoma,
               
  2.36%, 12/01/2039
 

16,810,000
   

12,085,171
 
     

     
44,893,369
 
Wisconsin – 0.2%
               
County of Marathon, WI
               
  2.00%, 02/01/2037
   
1,495,000
     
1,158,056
 
  2.00%, 02/01/2037
   
885,000
     
685,538
 
  2.00%, 02/01/2038
   
1,525,000
     
1,145,022
 
  2.00%, 02/01/2038
   
1,110,000
     
833,426
 
  2.00%, 02/01/2039
   
1,460,000
     
1,066,291
 
  2.00%, 02/01/2039
   
1,105,000
     
806,328
 
Milwaukee Redevelopment
               
  Authority, 0.00%, 04/01/2039 (b)
   
1,000,000
     
434,042
 
Public Finance Authority
               
  7.50%, 06/01/2029 (e)
   
5,750,000
     
5,623,813
 
  4.15%, 05/15/2031
   
3,635,000
     
3,521,933
 
     

     
15,274,449
 
TOTAL MUNICIPAL BONDS
               
(Cost $1,429,547,942)
           
1,323,640,215
 
                 
CORPORATE BONDS – 18.0%
               
Aerospace & Defense – 0.3%
               
Howmet Aerospace, Inc.,
               
  3.00%, 01/15/2029
   
11,337,000
     
10,143,781
 
Moog, Inc., 4.25%, 12/15/2027 (e)
   
3,610,000
     
3,382,041
 
TransDigm, Inc.,
               
  6.63%, 03/01/2032 (e)
   
5,000,000
     
5,041,715
 
     

     
18,567,537
 
Automobile Components – 0.1%
               
Dana, Inc.
               
  4.25%, 09/01/2030
   
1,500,000
     
1,295,409
 
  4.50%, 02/15/2032
   
4,208,000
     
3,538,928
 
     

     
4,834,337
 
Banks – 5.3%
               
Atlantic Union Bankshares Corp.,
               
  2.88% to 12/15/2026 then 3 mo.
               
  Term SOFR + 1.86%, 12/15/2031
   
5,000,000
     
4,363,338
 
Australia & New Zealand Banking
               
  Group Ltd., 6.74%, 12/08/2032 (e)
   
7,000,000
     
7,436,583
 
Bank of America Corp., 2.65% to
               
  03/11/2031 then SOFR + 1.22%,
               
  03/11/2032
   
10,000,000
     
8,379,185
 
Bank of Montreal, 3.09% to
               
  01/10/2032 then 5 yr. CMT Rate +
               
  1.40%, 01/10/2037
   
15,000,000
     
12,181,587
 
Bank of NT Butterfield & Son Ltd.,
               
  5.25% to 06/15/2025 then 3 mo.
               
  Term SOFR + 5.06%, 06/15/2030
   
5,000,000
     
4,795,090
 



Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.


PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 25


PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
Banks – 5.3% (Cont.)
           
Bank OZK, 2.75% to 10/01/2026
           
  then 3 mo. Term SOFR + 2.09%,
           
  10/01/2031
 
$
13,175,000
   
$
11,024,270
 
Banner Corp., 5.00% to
               
  06/30/2025 then 3 mo.
               
  Term SOFR + 4.89%, 06/30/2030
   
8,000,000
     
7,370,350
 
Barclays PLC, 6.13% to 06/15/2026
               
  then 5 yr. CMT Rate +
               
  5.87%, Perpetual
   
15,050,000
     
14,348,173
 
Central Pacific Financial Corp.,
               
  4.75% to 11/01/2025 then 3 mo.
               
  Term SOFR + 4.56%, 11/01/2030
   
5,000,000
     
4,518,596
 
CNB Financial Corp., 3.25% to
               
  06/15/2026 then 3 mo. Term
               
  SOFR + 2.58%, 06/15/2031 (e)
   
2,000,000
     
1,650,997
 
Deutsche Bank AG, 7.08% to
               
  02/10/2033 then SOFR + 3.65%,
               
  02/10/2034
   
3,000,000
     
2,990,081
 
Fifth Third Bancorp,
               
  8.25%, 03/01/2038
   
10,000,000
     
11,859,934
 
First Busey Corp.
               
  5.25% to 06/01/2025 then 3 mo.
               
    Term SOFR + 5.11%, 06/01/2030
   
4,500,000
     
4,290,190
 
  5.00% to 06/15/2027 then 3 mo.
               
    Term SOFR + 2.52%, 06/15/2032
   
2,000,000
     
1,650,164
 
First Financial Bancorp.,
               
  5.25% to 05/15/2025 then 3 mo.
               
  Term SOFR + 5.09%, 05/15/2030
   
10,500,000
     
10,096,629
 
First Foundation, Inc., 3.50% to
               
  02/01/2027 then SOFR + 2.04%,
               
  02/01/2032
   
8,370,000
     
5,816,404
 
First Interstate BancSystem, Inc.,
               
  5.25% to 05/15/2025 then 3 mo.
               
  Term SOFR + 5.18%, 05/15/2030
   
5,000,000
     
4,393,823
 
First Mid Bancshares, Inc., 3.95%
               
  to 10/15/2025 then 3 mo. Term
               
  SOFR + 3.83%, 10/15/2030
   
5,300,000
     
4,988,882
 
First Midwest Bancorp, Inc.,
               
  5.88%, 09/29/2026
   
7,515,000
     
7,452,980
 
Firstbank, 4.50% to 09/01/2025
               
  then SOFR + 4.39%, 09/01/2030
   
9,000,000
     
8,237,093
 
First-Citizens Bank & Trust Co.,
               
  6.13%, 03/09/2028
   
3,792,000
     
3,850,837
 
Great Southern Bank, 5.50% to
               
  06/15/2025 then 3 mo. Term
               
  SOFR + 5.33%, 06/15/2030
   
4,750,000
     
4,502,065
 
Heartland Financial USA, Inc.,
               
  2.75% to 09/15/2026 then 3 mo.
               
  Term SOFR + 2.10%, 09/15/2031
   
6,000,000
     
4,671,975
 
Hilltop Holdings, Inc., 6.13% to
               
  05/15/2030 then 3 mo. Term
               
 SOFR + 5.80%, 05/15/2035
   
11,750,000
     
9,426,373
 
Home BancShares, Inc., 3.13% to
               
  01/30/2027 then 3 mo. Term
               
 SOFR + 1.82%, 01/30/2032
 

16,436,000
   

12,621,082
 
Huntington National Bank,
               
  5.50% to 05/06/2025 then 3 mo.
               
  Term SOFR + 5.35%, 05/06/2030
   
10,750,000
     
10,468,612
 
JPMorgan Chase & Co.
               
  6.25% to 10/23/2033 then
               
    SOFR + 1.81%, 10/23/2034
   
10,000,000
     
10,593,232
 
  5.34% to 01/23/2034 then
               
    SOFR + 1.62%, 01/23/2035
   
3,000,000
     
2,981,999
 
Mercantile Bank Corp., 3.25% to
               
  01/30/2027 then SOFR + 2.12%,
               
  01/30/2032
   
7,000,000
     
5,819,107
 
National Australia Bank Ltd.,
               
  3.35% to 01/12/2032 then
               
  5 yr. CMT Rate + 1.70%,
               
  01/12/2037 (e)
   
9,500,000
     
7,928,942
 
NatWest Group PLC, 6.48% to
               
  06/01/2029 then 5 yr. CMT Rate +
               
  2.20%, 06/01/2034
   
1,000,000
     
1,000,661
 
NBT Bancorp, Inc., 5.00% to
               
  07/01/2025 then 3 mo. Term
               
  SOFR + 4.85%, 07/01/2030
   
7,500,000
     
6,956,907
 
Pacific Premier Bancorp, Inc.
               
  4.88% to 05/15/2024 then 3 mo.
               
    Term SOFR + 2.76%, 05/15/2029
   
3,500,000
     
3,321,127
 
  5.38% to 06/15/2025 then 3 mo.
               
    Term SOFR + 5.17%, 06/15/2030
   
6,410,000
     
6,164,022
 
Park National Corp., 4.50% to
               
  09/01/2025 then 3 mo. Term
               
  SOFR + 4.39%, 09/01/2030
   
15,600,000
     
14,692,030
 
Peapack-Gladstone Financial Corp.,
               
  3.50% to 12/30/2025 then 3 mo.
               
  Term SOFR + 3.26%, 12/30/2030
   
6,000,000
     
5,186,162
 
PNC Financial Services Group, Inc.,
               
  5.68% to 01/22/2034 then
               
  SOFR + 1.90%, 01/22/2035
   
5,000,000
     
5,013,596
 
RBB Bancorp, 4.00% to 04/01/2026
               
  then 3 mo. Term SOFR + 3.29%,
               
  04/01/2031
   
5,450,000
     
4,707,763
 
Regions Bank, 6.45%, 06/26/2037
   
15,601,000
     
15,841,219
 
Renasant Corp.
               
  3.00% to 12/01/2026 then 3 mo.
               
    Term SOFR + 1.91%, 12/01/2031
   
7,000,000
     
5,683,082
 
  4.50% to 09/15/2030 then 3 mo.
               
    Term SOFR + 4.03%, 09/15/2035
   
9,000,000
     
6,230,992
 
Santander Holdings USA, Inc.,
               
  6.17% to 01/09/2029 then
               
  SOFR + 2.50%, 01/09/2030
   
7,000,000
     
6,979,355
 
Southside Bancshares, Inc.,
               
  3.88% to 11/15/2025 then 3 mo.
               
  Term SOFR + 3.66%, 11/15/2030
   
8,000,000
     
7,068,025
 
                 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 26


PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Banks – 5.3% (Cont.)
           
Synovus Financial Corp., 7.54% to
           
  02/07/2029 then 5 Yr. Mid Swap
           
  Rate USD + 3.38%, 02/07/2029
 
$
4,000,000
   
$
3,784,015
 
Texas Capital Bancshares, Inc.,
               
  4.00% to 05/06/2026 then 5 yr.
               
  CMT Rate + 3.15%, 05/06/2031
   
10,942,000
     
9,353,881
 
Texas Capital Bank, NA,
               
  5.25%, 01/31/2026
   
5,000,000
     
4,645,963
 
Towne Bank, 3.13% to 02/15/2027
               
  then 3 mo. Term SOFR + 1.68%,
               
  02/15/2032
   
4,000,000
     
3,490,996
 
Trustmark Corp., 3.63% to
               
  12/01/2025 then 3 mo. Term
               
  SOFR + 3.39%, 12/01/2030
   
6,500,000
     
5,493,708
 
Webster Financial Corp.,
               
  4.10%, 03/25/2029
   
10,470,000
     
9,532,719
 
Western Alliance Bancorp,
               
  3.00% to 06/15/2026 then 3 mo.
               
  Term SOFR + 2.25%, 06/15/2031
   
2,850,000
     
2,506,575
 
Western Alliance Bank, 5.25% to
               
  06/01/2025 then 3 mo. Term
               
  SOFR + 5.12%, 06/01/2030
   
7,500,000
     
7,240,425
 
WSFS Financial Corp.
               
  7.70% (3 mo. Term SOFR +
               
    2.31%), 12/15/2027
   
3,500,000
     
3,374,793
 
  2.75% to 12/15/2025 then 3 mo.
               
    Term SOFR + 2.49%, 12/15/2030
   
5,470,000
     
4,369,499
 
     

     
353,346,088
 
Biotechnology – 0.2%
               
AbbVie, Inc.
               
  4.40%, 11/06/2042
   
11,398,000
     
10,222,645
 
  5.50%, 03/15/2064
   
5,000,000
     
5,061,556
 
     

     
15,284,201
 
Building Products – 0.1%
               
Builders FirstSource, Inc.,
               
  4.25%, 02/01/2032 (e)
   
7,800,000
     
6,860,201
 
Masonite International Corp.,
               
  3.50%, 02/15/2030 (e)
   
2,493,000
     
2,202,932
 
     

     
9,063,133
 
Capital Markets – 0.5%
               
Ares Capital Corp.
               
  7.00%, 01/15/2027
   
3,000,000
     
3,058,561
 
  5.88%, 03/01/2029
   
4,000,000
     
3,909,234
 
  3.20%, 11/15/2031
   
15,473,000
     
12,624,719
 
Brookfield Corp.,
               
  7.38%, 03/01/2033
   
3,000,000
     
3,234,993
 
MSCI, Inc., 3.63%, 11/01/2031 (e)
   
15,200,000
     
13,175,477
 
     

     
36,002,984
 
Chemicals – 0.1%
               
Eastman Chemical Co.,
               
  5.75%, 03/08/2033
   
3,000,000
     
3,022,678
 
                 
Commercial Services &
               
Supplies – 0.1%
               
Central Storage Safety Project
               
  Trust, 4.82%, 02/01/2038 (e)
 

5,763,520
   

4,977,302
 
                 
Consumer Finance – 0.6%
               
Ally Financial, Inc.,
               
  6.70%, 02/14/2033
   
10,000,000
     
9,855,668
 
Ford Motor Credit Co., LLC
               
  7.35%, 03/06/2030
   
8,750,000
     
9,275,585
 
  7.20%, 06/10/2030
   
3,000,000
     
3,166,441
 
OneMain Finance Corp.
               
  3.50%, 01/15/2027
   
7,311,000
     
6,738,611
 
  3.88%, 09/15/2028
   
2,000,000
     
1,749,818
 
  5.38%, 11/15/2029
   
12,603,000
     
11,709,130
 
     

     
42,495,253
 
Containers & Packaging – 0.4%
               
AptarGroup, Inc.,
               
  3.60%, 03/15/2032
   
10,000,000
     
8,779,125
 
Berry Global, Inc.,
               
  5.65%, 01/15/2034 (e)
   
4,400,000
     
4,342,023
 
Graphic Packaging
               
International, LLC
               
  3.50%, 03/01/2029 (e)
   
3,000,000
     
2,678,659
 
  3.75%, 02/01/2030 (e)
   
13,523,000
     
12,048,520
 
     

     
27,848,327
 
Distributors – 0.2%
               
Genuine Parts Co.,
               
  6.88%, 11/01/2033
   
5,000,000
     
5,462,842
 
LKQ Corp., 6.25%, 06/15/2033
   
6,000,000
     
6,166,638
 
     

     
11,629,480
 
Diversified Consumer
               
Services – 1.3%
               
California Institute of Technology,
               
  3.65%, 09/01/2119
   
1,994,000
     
1,382,824
 
Case Western Reserve University,
               
  5.41%, 06/01/2122
   
8,322,000
     
7,953,423
 
Massachusetts Institute
               
of Technology
               
  7.25%, 11/02/2096
   
2,750,000
     
3,561,011
 
  5.60%, 07/01/2111
   
10,680,000
     
11,507,229
 
  4.68%, 07/01/2114
   
1,935,000
     
1,769,373
 
  3.89%, 07/01/2116
   
3,233,000
     
2,445,381
 
Nature Conservancy
               
  1.71%, 07/01/2031
   
1,250,000
     
963,193
 
  1.81%, 07/01/2032
   
1,150,000
     
860,772
 
  1.86%, 07/01/2033
   
532,000
     
385,287
 
Service Corp. International
               
  3.38%, 08/15/2030
   
8,692,000
     
7,468,688
 
  4.00%, 05/15/2031
   
9,144,000
     
8,043,131
 
 
Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 27

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
Diversified Consumer
           
Services – 1.3% (Cont.)
           
Trustees of the University
           
of Pennsylvania
           
  4.67%, 09/01/2112
 
$
1,220,000
   
$
1,079,502
 
  3.61%, 02/15/2119
   
22,869,000
     
15,905,241
 
University of Southern California,
               
  3.23%, 10/01/2120
   
4,740,000
     
2,890,497
 
Washington University,
               
  4.35%, 04/15/2122
   
17,852,000
     
14,981,063
 
YMCA of Greater New York,
               
  2.30%, 08/01/2026
   
5,730,000
     
5,252,475
 
     

     
86,449,090
 
Electric Utilities – 0.4%
               
Brazos Securitization LLC,
               
  5.41%, 09/01/2050 (e)
   
9,500,000
     
9,790,158
 
Denton County Electric
               
  Cooperative, Inc., Series 2022,
               
  5.32%, 02/15/2048 (e)
   
17,000,000
     
16,689,657
 
     

     
26,479,815
 
Electrical Equipment – 0.3%
               
Regal Rexnord Corp.
               
  6.30%, 02/15/2030 (e)
   
4,676,000
     
4,760,890
 
  6.40%, 04/15/2033 (e)
   
2,000,000
     
2,056,038
 
Sensata Technologies BV,
               
  4.00%, 04/15/2029 (e)
   
2,000,000
     
1,815,638
 
Sensata Technologies, Inc.
               
  4.38%, 02/15/2030 (e)
   
9,838,000
     
8,969,221
 
  3.75%, 02/15/2031 (e)
   
5,955,000
     
5,097,388
 
     

     
22,699,175
 
Electronic Equipment,
               
Instruments & Components – 0.5%
               
CDW Finance Corp.
               
  3.28%, 12/01/2028
   
4,954,000
     
4,441,038
 
  3.25%, 02/15/2029
   
17,218,000
     
15,367,582
 
Corning, Inc., 5.75%, 08/15/2040
   
16,707,000
     
16,721,583
 
     

     
36,530,203
 
Financial Services – 0.2%
               
American AGcredit FLCA,
               
  3.38% to 06/15/2031 then
               
  SOFR + 2.12%, 06/15/2036 (e)
   
10,000,000
     
7,573,726
 
Compeer Financial FLCA
               
  2.75% to 06/01/2026 then
               
    SOFR + 2.03%, 06/01/2031 (e)
   
5,000,000
     
4,232,245
 
  3.38% to 06/01/2031 then
               
    SOFR + 1.97%, 06/01/2036 (e)
   
4,750,000
     
3,359,534
 
     

     
15,165,505
 
Food Products – 0.1%
               
Mars, Inc., 2.38%, 07/16/2040 (e)
 

2,100,000
   

1,446,375
 
Tyson Foods, Inc.,
               
  5.70%, 03/15/2034
   
5,000,000
     
5,001,569
 
     

     
6,447,944
 
Ground Transportation – 0.3%
               
ERAC USA Finance, LLC,
               
  7.00%, 10/15/2037 (e)
   
18,952,000
     
21,537,732
 
                 
Healthcare Providers &
               
Services – 1.5%
               
Baptist Health South Florida, Inc.,
               
  4.34%, 11/15/2041
   
14,760,000
     
12,930,166
 
Centene Corp.
               
  2.45%, 07/15/2028
   
10,361,000
     
9,146,743
 
  3.00%, 10/15/2030
   
11,090,000
     
9,483,669
 
Cleveland Clinic Foundation,
               
  4.86%, 01/01/2114
   
13,025,000
     
11,838,117
 
CommonSpirit Health,
               
  3.82%, 10/01/2049
   
1,800,000
     
1,367,605
 
Hackensack Meridian Health, Inc.,
               
  2.68%, 09/01/2041
   
14,920,000
     
10,457,575
 
HCA, Inc., 6.00%, 04/01/2054
   
5,000,000
     
4,958,787
 
HumanGood California Obligated
               
  Group, 3.00%, 10/01/2028
   
2,335,000
     
2,226,866
 
New York and Presbyterian Hospital,
               
  4.76%, 08/01/2116
   
10,000,000
     
8,656,264
 
Orlando Health Obligated Group,
               
  2.89%, 10/01/2035
   
1,000,000
     
814,094
 
Penn State Health,
               
  3.81%, 11/01/2049
   
5,920,000
     
4,406,655
 
Piedmont Healthcare, Inc.,
               
  2.72%, 01/01/2042
   
12,924,000
     
9,139,191
 
Sutter Health, 3.16%, 08/15/2040
   
2,766,000
     
2,129,814
 
Toledo Hospital, 6.02%, 11/15/2048
   
6,980,000
     
7,243,805
 
United Jewish Appeal-Federation
               
  of Jewish Philanthropies of New
               
  York, Inc., 2.15%, 02/01/2031
   
4,565,000
     
3,734,653
 
     

     
98,534,004
 
Hotels, Restaurants & Leisure – 0.2%
               
Hilton Grand Vacations Borrower
               
  Escrow LLC / Hilton Grand
               
  Vacations Borrower Esc,
               
  6.63%, 01/15/2032 (e)
   
4,500,000
     
4,503,073
 
Papa John’s International, Inc.,
               
  3.88%, 09/15/2029 (e)
   
4,374,000
     
3,880,394
 
Station Casinos, LLC
               
  4.50%, 02/15/2028 (e)
   
1,000,000
     
932,871
 
  4.63%, 12/01/2031 (e)
   
4,119,000
     
3,665,766
 
     

     
12,982,104
 
 
Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.
 



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 28

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
Household Durables – 0.5%
           
Ashton Woods USA, LLC
           
  6.63%, 01/15/2028 (e)
 
$
2,570,000
   
$
2,556,879
 
  4.63%, 04/01/2030 (e)
   
4,100,000
     
3,691,031
 
KB Home, 4.80%, 11/15/2029
   
1,882,000
     
1,768,534
 
M/I Homes, Inc.,
               
  3.95%, 02/15/2030
   
7,916,000
     
7,072,211
 
Meritage Homes Corp.,
               
  3.88%, 04/15/2029 (e)
   
12,874,000
     
11,728,922
 
Tempur Sealy International, Inc.,
               
  3.88%, 10/15/2031 (e)
   
9,241,000
     
7,695,240
 
     

     
34,512,817
 
IT Services – 0.1%
               
Gartner, Inc.
               
  3.63%, 06/15/2029 (e)
   
1,125,000
     
1,008,889
 
  3.75%, 10/01/2030 (e)
   
3,250,000
     
2,879,534
 
     

     
3,888,423
 
Machinery – 0.2%
               
Allison Transmission, Inc.,
               
  3.75%, 01/30/2031 (e)
   
13,782,000
     
11,927,984
 
Nordson Corp., 5.80%, 09/15/2033
   
2,000,000
     
2,064,046
 
     

     
13,992,030
 
Media – 0.5%
               
CCO Holdings Capital Corp.
               
  4.75%, 02/01/2032 (e)
   
9,912,000
     
8,015,091
 
  4.25%, 01/15/2034 (e)
   
10,500,000
     
7,860,887
 
Charter Communications
               
  Operating, LLC,
               
  3.50%, 03/01/2042
   
2,716,000
     
1,777,007
 
Sirius XM Radio, Inc.,
               
  3.88%, 09/01/2031 (e)
   
15,124,000
     
12,516,509
 
     

     
30,169,494
 
Mortgage Real Estate Investment
               
Trusts (REITs) – 0.1%
               
Arbor Realty SR, Inc.,
               
  5.00%, 12/30/2028 (e)
   
5,000,000
     
4,163,719
 
Arbor Realty Trust, Inc.,
               
  4.50%, 03/15/2027 (e)
   
5,000,000
     
4,419,600
 
     

     
8,583,319
 
Pharmaceuticals – 0.6%
               
Bristol-Myers Squibb Co.
               
  4.13%, 06/15/2039
   
10,481,000
     
9,137,718
 
  5.65%, 02/22/2064
   
10,500,000
     
10,615,808
 
Pfizer Investment Enterprises
               
  Pte Ltd., 5.11%, 05/19/2043
   
5,000,000
     
4,803,283
 
Wyeth, LLC, 5.95%, 04/01/2037
   
13,738,000
     
14,673,839
 
     

     
39,230,648
 
Professional Services – 0.5%
               
Booz Allen Hamilton, Inc.
               
  3.88%, 09/01/2028 (e)
 

2,220,000
   

2,062,603
 
  4.00%, 07/01/2029 (e)
   
12,530,000
     
11,579,161
 
  5.95%, 08/04/2033
   
2,000,000
     
2,055,609
 
Leidos, Inc.
               
  4.38%, 05/15/2030
   
6,310,000
     
5,937,911
 
  2.30%, 02/15/2031
   
2,840,000
     
2,328,552
 
Science Applications International
               
  Corp., 4.88%, 04/01/2028 (e)
   
8,290,000
     
7,857,921
 
     

     
31,821,757
 
Real Estate Management &
               
Development – 0.4%
               
CBRE Services, Inc.,
               
  5.95%, 08/15/2034
   
5,000,000
     
5,056,288
 
Cushman & Wakefield US
               
  Borrower LLC,
               
  6.75%, 05/15/2028 (e)
   
2,300,000
     
2,267,673
 
Jones Lang LaSalle, Inc.,
               
  6.88%, 12/01/2028
   
5,000,000
     
5,258,531
 
MMH Master LLC,
               
  6.75%, 02/01/2044 (e)
   
8,250,000
     
8,250,000
 
Wildflower Improvement
               
  Association, 6.63%, 03/01/2031 (e)
   
3,112,207
     
2,982,372
 
     

     
23,814,864
 
Retail REITs – 0.3%
               
American Finance Trust, Inc.,
               
  4.50%, 09/30/2028 (e)
   
10,000,000
     
8,369,235
 
Simon Property Group LP,
               
  6.75%, 02/01/2040
   
12,702,000
     
13,960,372
 
     

     
22,329,607
 
Software – 0.4%
               
Open Text Corp.
               
  3.88%, 02/15/2028 (e)
   
1,800,000
     
1,655,913
 
  3.88%, 12/01/2029 (e)
   
6,680,000
     
5,909,729
 
Oracle Corp.
               
  3.85%, 07/15/2036
   
10,200,000
     
8,573,458
 
  6.50%, 04/15/2038
   
10,000,000
     
10,678,842
 
     

     
26,817,942
 
Specialty Retail – 1.1%
               
Asbury Automotive Group, Inc.,
               
  5.00%, 02/15/2032 (e)
   
11,700,000
     
10,400,062
 
AutoNation, Inc.,
               
  3.85%, 03/01/2032
   
16,775,000
     
14,647,967
 
Group 1 Automotive, Inc.,
               
  4.00%, 08/15/2028 (e)
   
13,014,000
     
11,893,747
 
Home Depot, Inc.
               
  5.40%, 09/15/2040
   
9,497,000
     
9,563,499
 
  4.88%, 02/15/2044
   
2,113,000
     
1,989,607
 
Ken Garff Automotive, LLC,
               
  4.88%, 09/15/2028 (e)
   
4,500,000
     
4,145,298
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 29


PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
Specialty Retail – 1.1% (Cont.)
           
Lithia Motors, Inc.
           
  3.88%, 06/01/2029 (e)
 
$
1,120,000
   
$
1,000,630
 
  4.38%, 01/15/2031 (e)
   
7,000,000
     
6,216,864
 
Penske Automotive Group, Inc.,
               
  3.75%, 06/15/2029
   
11,950,000
     
10,597,739
 
Valvoline, Inc.,
               
  3.63%, 06/15/2031 (e)
   
1,000,000
     
846,088
 
     

     
71,301,501
 
Technology Hardware, Storage &
               
Peripherals – 0.3%
               
Dell International, LLC,
               
  8.10%, 07/15/2036
   
18,910,000
     
22,685,698
 
Trading Companies &
               
Distributors – 0.3%
               
Ashtead Capital, Inc.
               
  4.25%, 11/01/2029 (e)
   
5,000,000
     
4,613,468
 
  5.50%, 08/11/2032 (e)
   
8,553,000
     
8,363,620
 
  5.95%, 10/15/2033 (e)
   
2,492,000
     
2,506,735
 
United Rentals North America, Inc.,
               
  3.75%, 01/15/2032
   
5,100,000
     
4,418,783
 
WESCO Distribution, Inc.,
               
  6.63%, 03/15/2032 (e)
   
2,000,000
     
2,003,038
 
     

     
21,905,644
 
Wireless Telecommunication
               
Services – 0.0%(c)
               
T-Mobile USA, Inc.,
               
  5.75%, 01/15/2034
   
1,000,000
     
1,030,211
 
TOTAL CORPORATE BONDS
               
(Cost $1,275,142,846)
           
1,205,980,847
 
                 
NON-AGENCY COMMERCIAL MORTGAGE BACKED SECURITIES – 14.7%
               
Arbor Multifamily Mortgage Securities Trust
               
  Series 2022-MF4, Class B,
               
    3.29%, 02/15/2055 (d)(e)
   
7,852,000
     
6,682,124
 
  Series 2022-MF4, Class XD,
               
    1.29%, 02/15/2055 (d)(e)(g)
   
19,700,000
     
1,571,648
 
BANK
               
  Series 2017-BN5, Class A4,
               
    3.13%, 06/15/2060
   
12,685,000
     
11,902,010
 
  Series 2017-BN8, Class A3,
               
    3.23%, 11/15/2050
   
4,782,704
     
4,465,349
 
  Series 2017-BNK4, Class A3,
               
    3.36%, 05/15/2050
   
9,946,550
     
9,424,724
 
  Series 2018-BN10, Class D,
               
    2.60%, 02/15/2061 (e)
   
2,000,000
     
1,534,689
 
  Series 2019-BN16, Class XA,
               
    0.94%, 02/15/2052 (d)(g)
   
77,096,409
     
2,685,299
 
  Series 2019-BN17, Class XB,
               
    0.56%, 04/15/2052 (d)(g)
   
123,653,000
     
3,205,444
 
  Series 2019-BN17, Class XD,
               
    1.59%, 04/15/2052 (d)(e)(g)
 

11,541,000
   

783,362
 
  Series 2019-BN19, Class A2,
               
    2.93%, 08/15/2061
   
2,000,000
     
1,802,728
 
  Series 2019-BN21, Class ASB,
               
    2.81%, 10/17/2052
   
6,582,000
     
6,164,204
 
  Series 2019-BN21, Class XD,
               
    1.11%, 10/17/2052 (d)(e)(g)
   
18,699,333
     
949,094
 
  Series 2019-BN23, Class C,
               
    3.51%, 12/15/2052 (d)
   
8,713,000
     
6,961,979
 
  Series 2019-BN23, Class XB,
               
    0.17%, 12/15/2052 (d)(g)
   
238,421,000
     
2,398,015
 
  Series 2019-BN24, Class XB,
               
    0.19%, 11/15/2062 (d)(g)
   
174,693,000
     
1,993,038
 
  Series 2019-BN24, Class ASB,
               
    2.93%, 11/15/2062
   
3,250,000
     
3,065,899
 
  Series 2020-BN25, Class B,
               
    3.04%, 01/15/2063 (d)
   
2,574,500
     
2,135,766
 
  Series 2020-BN25, Class XA,
               
    0.88%, 01/15/2063 (d)(g)
   
157,848,485
     
6,200,336
 
  Series 2020-BN26, Class A2,
               
    2.04%, 03/15/2063
   
5,200,000
     
4,568,641
 
  Series 2020-BN26, Class XB,
               
    0.60%, 03/15/2063 (d)(g)
   
226,593,000
     
7,052,707
 
  Series 2020-BN28, Class B,
               
    2.34%, 03/15/2063
   
1,570,000
     
1,261,407
 
  Series 2020-BN28, Class XB,
               
    0.97%, 03/15/2063 (d)(g)
   
29,969,467
     
1,575,959
 
  Series 2020-BN29, Class D,
               
    2.50%, 11/15/2053 (e)
   
1,250,000
     
826,010
 
  Series 2020-BN29, Class C,
               
    3.03%, 11/15/2053 (d)
   
1,170,000
     
879,966
 
  Series 2020-BN29, Class B,
               
    2.42%, 11/15/2053
   
2,625,000
     
2,020,002
 
  Series 2020-BN29, Class XB,
               
    0.65%, 11/15/2053 (d)(g)
   
132,417,000
     
4,694,368
 
  Series 2020-BN30, Class B,
               
    2.45%, 12/15/2053 (d)
   
1,090,000
     
845,910
 
  Series 2020-BN30, Class C,
               
    2.76%, 12/15/2053 (d)
   
5,450,000
     
4,031,614
 
  Series 2020-BN30, Class D,
               
    2.50%, 12/15/2053 (d)(e)
   
9,150,000
     
5,989,021
 
  Series 2021-BN31, Class ASB,
               
    1.74%, 02/15/2054
   
7,250,000
     
6,430,758
 
  Series 2021-BN32, Class C,
               
    3.26%, 04/15/2054 (d)
   
800,000
     
613,918
 
  Series 2021-BN32, Class D,
               
    2.50%, 04/15/2054 (e)
   
5,000,000
     
3,280,029
 
  Series 2021-BN32, Class ASB,
               
    2.33%, 04/15/2054
   
10,727,500
     
9,646,728
 
  Series 2021-BN33, Class ASB,
               
    2.22%, 05/15/2064
   
12,599,000
     
11,181,471
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 30


PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
BANK (Cont.)
           
  Series 2021-BN34, Class B,
           
    2.75%, 06/15/2063 (d)
 
$
8,000,000
   
$
6,149,310
 
  Series 2021-BN34, Class XA,
               
    0.97%, 06/15/2063 (d)(g)
   
95,541,345
     
4,634,739
 
  Series 2021-BN35, Class XA,
               
    1.04%, 06/15/2064 (d)(g)
   
86,369,800
     
4,547,603
 
  Series 2021-BN35, Class C,
               
    2.90%, 06/15/2064 (d)
   
8,000,000
     
5,940,549
 
  Series 2021-BN35, Class B,
               
    2.53%, 06/15/2064
   
2,365,000
     
1,879,957
 
  Series 2021-BN36, Class ASB,
               
    2.28%, 09/15/2064
   
12,250,000
     
10,934,510
 
  Series 2021-BN37, Class ASB,
               
    2.49%, 11/15/2064
   
14,400,000
     
12,838,074
 
  Series 2021-BN38, Class XA,
               
    0.81%, 12/15/2064 (d)(g)
   
40,193,523
     
1,900,691
 
  Series 2022-BN40, Class D,
               
    2.50%, 03/15/2064 (e)
   
3,955,000
     
2,439,273
 
  Series 2023-BN45, Class XD,
               
    2.28%, 02/15/2056 (d)(e)(g)
   
22,611,000
     
3,445,674
 
BANK5
               
  Series 2023-5YR3, Class A2,
               
    6.26%, 09/15/2056
   
9,998,285
     
10,341,408
 
  Series 2023-5YR4, Class AS,
               
    7.27%, 12/15/2056 (d)
   
7,500,000
     
7,980,426
 
Barclays Commercial Mortgage
               
  Trust, Series 2019-C3, Class ASB,
               
  3.46%, 05/15/2052
   
2,180,248
     
2,102,264
 
BBCMS Trust
               
  Series 2020-C6, Class XA,
               
    1.04%, 02/15/2053 (d)(g)
   
92,316,917
     
4,086,408
 
  Series 2020-C6, Class XB,
               
    0.67%, 02/15/2053 (d)(g)
   
59,000,000
     
2,091,355
 
  Series 2020-C7, Class XA,
               
    1.61%, 04/15/2053 (d)(g)
   
21,800,965
     
1,310,260
 
  Series 2020-C7, Class XB,
               
    0.99%, 04/15/2053 (d)(g)
   
17,140,000
     
900,387
 
  Series 2021-C10, Class XB,
               
    1.02%, 07/15/2054 (d)(g)
   
74,931,500
     
4,541,418
 
  Series 2021-C10, Class XA,
               
    1.28%, 07/15/2054 (d)(g)
   
64,668,016
     
4,157,766
 
  Series 2021-C11, Class XB,
               
    0.96%, 09/15/2054 (d)(g)
   
29,540,000
     
1,791,787
 
  Series 2021-C12, Class XB,
               
    0.59%, 11/15/2054 (d)(g)
   
59,992,000
     
2,368,364
 
  Series 2021-C12, Class XA,
               
    0.95%, 11/15/2054 (d)(g)
   
101,301,996
     
5,059,994
 
  Series 2021-C12, Class B,
               
    2.76%, 11/15/2054
   
9,000,000
     
6,897,799
 
  Series 2021-C9, Class AS,
               
    2.53%, 02/15/2054
   
8,500,000
     
7,003,017
 
  Series 2021-C9, Class ASB,
               
    1.96%, 02/15/2054
 

10,000,000
   

8,967,077
 
  Series 2021-C9, Class XB,
               
    0.99%, 02/15/2054 (d)(g)
   
68,467,000
     
3,799,720
 
  Series 2022-C14, Class XA,
               
    0.71%, 02/15/2055 (d)(g)
   
98,624,398
     
3,788,992
 
  Series 2022-C14, Class XB,
               
    0.25%, 02/15/2055 (d)(g)
   
166,823,000
     
3,617,790
 
  Series 2022-C15, Class XD,
               
    1.33%, 04/15/2055 (d)(e)(g)
   
25,000,000
     
2,195,820
 
  Series 2022-C17, Class XA,
               
    1.15%, 09/15/2055 (d)(g)
   
65,112,791
     
4,898,312
 
  Series 2022-C17, Class XB,
               
    0.49%, 09/15/2055 (d)(g)
   
52,655,000
     
2,165,432
 
  Series 2023-C19, Class A2B,
               
    5.75%, 04/15/2056
   
10,000,000
     
10,060,208
 
  Series 2023-C21, Class A2,
               
    6.30%, 09/15/2056 (d)
   
10,130,000
     
10,462,498
 
  Series 2024-C24, Class XA,
               
    1.63%, 02/15/2057 (d)(g)
   
63,558,000
     
6,965,251
 
  Series 2024-C24, Class XB,
               
    1.33%, 02/15/2057 (d)(g)
   
32,630,000
     
3,276,930
 
Benchmark Mortgage Trust
               
  Series 2019-B12, Class XB,
               
    0.39%, 08/15/2052 (d)(e)(g)
   
93,260,000
     
1,734,048
 
  Series 2019-B13, Class XB,
               
    0.40%, 08/15/2057 (d)(e)(g)
   
82,774,000
     
1,520,393
 
  Series 2019-B13, Class XD,
               
    1.50%, 08/15/2057 (d)(e)(g)
   
12,071,000
     
802,789
 
  Series 2019-B9, Class XA,
               
    1.02%, 03/15/2052 (d)(g)
   
28,483,467
     
1,067,358
 
  Series 2019-B9, Class XD,
               
    1.99%, 03/15/2052 (d)(e)(g)
   
11,513,000
     
887,603
 
  Series 2020-B16, Class XB,
               
    0.24%, 02/15/2053 (d)(e)(g)
   
70,467,000
     
872,226
 
  Series 2020-B16, Class XA,
               
    0.92%, 02/15/2053 (d)(g)
   
118,675,300
     
4,854,781
 
  Series 2020-B20, Class XB,
               
    0.58%, 10/15/2053 (d)(g)
   
79,394,000
     
2,328,563
 
  Series 2020-B21, Class AAB,
               
    1.80%, 12/17/2053
   
5,966,000
     
5,334,157
 
  Series 2021-B23, Class XB,
               
    0.91%, 02/15/2054 (d)(e)(g)
   
105,441,000
     
5,491,473
 
  Series 2021-B23, Class AAB,
               
    1.77%, 02/15/2054
   
5,000,000
     
4,353,220
 
  Series 2021-B23, Class XA,
               
    1.27%, 02/15/2054 (d)(g)
   
66,242,688
     
3,878,847
 
  Series 2021-B24, Class XA,
               
    1.15%, 03/15/2054 (d)(g)
   
66,435,392
     
3,424,738
 
  Series 2021-B24, Class ASB,
               
    2.26%, 03/15/2054
   
6,400,000
     
5,683,927
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 31


PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
Benchmark Mortgage Trust (Cont.)
           
  Series 2021-B24, Class XB,
           
    0.59%, 03/15/2054 (d)(g)
 
$
99,123,000
   
$
3,508,468
 
  Series 2021-B25, Class XA,
               
    1.09%, 04/15/2054 (d)(g)
   
78,775,710
     
4,275,741
 
  Series 2021-B25, Class XB,
               
    0.66%, 04/15/2054 (d)(g)
   
93,350,000
     
3,679,381
 
  Series 2021-B26, Class B,
               
    2.58%, 06/15/2054 (d)
   
6,000,000
     
4,583,639
 
  Series 2021-B26, Class D,
               
    2.00%, 06/15/2054 (e)
   
2,250,000
     
1,329,128
 
  Series 2021-B26, Class XD,
               
    1.37%, 06/15/2054 (d)(e)(g)
   
10,836,000
     
850,058
 
  Series 2021-B27, Class XD,
               
    1.49%, 07/15/2054 (d)(e)(g)
   
28,014,000
     
2,414,815
 
  Series 2021-B27, Class C,
               
    2.70%, 07/15/2054
   
2,000,000
     
1,406,040
 
  Series 2021-B27, Class XA,
               
    1.26%, 07/15/2054 (d)(g)
   
51,779,272
     
3,103,562
 
  Series 2021-B27, Class D,
               
    2.00%, 07/15/2054 (e)
   
5,000,000
     
2,964,986
 
  Series 2021-B27, Class B,
               
    2.36%, 07/15/2054
   
6,000,000
     
4,303,736
 
  Series 2021-B28, Class XA,
               
    1.27%, 08/15/2054 (d)(g)
   
99,161,033
     
6,321,684
 
  Series 2021-B28, Class XB,
               
    0.95%, 08/15/2054 (d)(g)
   
32,491,000
     
1,903,618
 
  Series 2021-B28, Class ASB,
               
    1.98%, 08/15/2054
   
10,000,000
     
8,733,745
 
  Series 2021-B29, Class E,
               
    2.00%, 09/15/2054 (e)
   
8,953,000
     
4,969,057
 
  Series 2021-B29, Class C,
               
    2.75%, 09/15/2054 (d)
   
3,550,000
     
2,574,282
 
  Series 2021-B29, Class XD,
               
    1.30%, 09/15/2054 (d)(e)(g)
   
27,615,000
     
2,062,506
 
  Series 2021-B29, Class D,
               
    2.00%, 09/15/2054 (e)
   
1,000,000
     
598,478
 
  Series 2021-B30, Class E,
               
    2.00%, 11/15/2054 (e)
   
2,250,000
     
1,122,953
 
  Series 2021-B30, Class XB,
               
    0.59%, 11/15/2054 (d)(e)(g)
   
83,683,000
     
2,927,926
 
  Series 2021-B30, Class C,
               
    2.88%, 11/15/2054 (d)
   
8,181,000
     
5,697,339
 
  Series 2021-B30, Class XD,
               
    1.30%, 11/15/2054 (d)(e)(g)
   
18,582,000
     
1,405,531
 
  Series 2021-B31, Class AAB,
               
    2.62%, 12/15/2054
   
10,000,000
     
8,958,227
 
  Series 2021-B31, Class XB,
               
    0.43%, 12/15/2054 (d)(e)(g)
   
124,409,000
     
3,665,077
 
  Series 2021-B31, Class XD,
               
    1.14%, 12/15/2054 (d)(e)(g)
   
31,991,000
     
2,204,957
 
  Series 2021-B31, Class XA,
               
    0.77%, 12/15/2054 (d)(g)
   
143,043,745
     
6,125,863
 
  Series 2022-B32, Class AS,
               
    3.41%, 01/15/2055 (d)
 

10,000,000
   

8,112,598
 
  Series 2022-B32, Class XD,
               
    1.52%, 01/15/2055 (d)(e)(g)
   
39,202,000
     
3,381,063
 
  Series 2022-B33, Class XD,
               
    1.61%, 03/15/2055 (d)(e)(g)
   
21,919,000
     
1,975,684
 
  Series 2023-B38, Class A2,
               
    5.63%, 04/15/2056
   
12,000,000
     
12,246,564
 
  Series 2024-V5, Class AM,
               
    6.42%, 01/10/2057 (d)
   
5,900,000
     
6,110,614
 
BMO Mortgage Trust
               
  Series 2022-C1, Class XD,
               
    1.76%, 02/17/2055 (d)(e)(g)
   
30,550,000
     
3,331,264
 
  Series 2023-C5, Class A2,
               
    6.52%, 06/15/2056
   
10,000,000
     
10,365,596
 
  Series 2023-C7, Class XA,
               
    0.81%, 12/15/2056 (d)(e)(g)
   
100,366,331
     
5,696,893
 
  Series 2024-5C3, Class AS,
               
    6.29%, 02/15/2057 (d)
   
5,750,000
     
5,921,190
 
  Series 2024-5C3, Class XA,
               
    1.12%, 02/15/2057 (d)(g)
   
101,189,000
     
4,743,538
 
California Housing Finance Agency
               
  Series 2021-1, Class X,
               
    0.80%, 11/20/2035 (a)(g)
   
27,730,454
     
1,355,742
 
  Series 2021-3, Class X,
               
    0.79%, 08/20/2036 (d)(g)
   
25,386,210
     
1,311,452
 
Cantor Commercial
               
  Real Estate Lending LP,
               
  Series 2019-CF2, Class XB,
               
  0.66%, 11/15/2052 (d)(g)
   
134,736,000
     
3,849,879
 
CCUBS Commercial Mortgage
               
  Trust, Series 2017-C1, Class XB,
               
  0.32%, 11/15/2050 (d)(g)
   
40,062,667
     
421,972
 
Citigroup Commercial
               
Mortgage Trust
               
  Series 2014-GC19, Class C,
               
    5.02%, 03/11/2047 (d)
   
2,771,434
     
2,744,586
 
  Series 2016-C1, Class C,
               
    4.94%, 05/10/2049 (d)
   
8,348,000
     
7,895,533
 
  Series 2016-C1, Class B,
               
    4.12%, 05/10/2049
   
3,000,000
     
2,836,411
 
  Series 2016-P6, Class B,
               
    4.16%, 12/10/2049 (d)
   
6,835,000
     
6,163,353
 
  Series 2017-B1, Class XB,
               
    0.15%, 08/15/2050 (d)(g)
   
38,016,000
     
239,626
 
  Series 2017-C4, Class XA,
               
    0.98%, 10/12/2050 (d)(g)
   
30,882,861
     
874,427
 
  Series 2017-C4, Class XB,
               
    0.27%, 10/12/2050 (d)(g)
   
42,746,500
     
389,455
 
  Series 2017-P7, Class XB,
               
    0.57%, 04/14/2050 (d)(g)
   
45,124,000
     
722,796
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 32

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Citigroup Commercial
           
Mortgage Trust (Cont.)
           
  Series 2017-P8, Class B,
           
    4.19%, 09/15/2050
 
$
4,160,000
   
$
3,756,844
 
  Series 2018-B2, Class XB,
               
    0.37%, 03/10/2051 (d)(g)
   
49,202,000
     
714,625
 
  Series 2018-C5, Class XB,
               
    0.33%, 06/10/2051 (d)(e)(g)
   
28,400,000
     
400,414
 
  Series 2018-C6, Class AAB,
               
    4.34%, 11/10/2051
   
4,673,456
     
4,569,825
 
  Series 2019-C7, Class B,
               
    3.67%, 12/15/2072 (d)
   
10,000,000
     
8,567,766
 
  Series 2019-C7, Class XA,
               
    0.86%, 12/15/2072 (d)(g)
   
75,202,239
     
2,799,892
 
  Series 2019-C7, Class XD,
               
    1.20%, 12/15/2072 (d)(e)(g)
   
39,933,000
     
2,256,318
 
  Series 2019-C7, Class XB,
               
    0.28%, 12/15/2072 (d)(e)(g)
   
50,711,000
     
748,302
 
  Series 2019-GC41, Class AS,
               
    3.02%, 08/10/2056
   
10,339,000
     
8,927,546
 
  Series 2019-GC41, Class XA,
               
    1.04%, 08/10/2056 (d)(g)
   
52,561,961
     
1,912,399
 
  Series 2020-GC46, Class XA,
               
    0.97%, 02/15/2053 (d)(g)
   
88,719,952
     
3,677,779
 
  Series 2020-GC46, Class XB,
               
    0.32%, 02/15/2053 (d)(e)(g)
   
92,457,000
     
1,677,817
 
Citigroup/Deutsche Bank
               
Commercial Mortgage Trust
               
  Series 2017-CD3, Class XB,
               
    0.55%, 02/10/2050 (d)(g)
   
61,857,000
     
932,890
 
  Series 2018-CD7, Class ASB,
               
    4.21%, 08/15/2051
   
2,886,745
     
2,812,350
 
Commercial Mortgage Pass
               
Through Certificates
               
  Series 2014-CR18, Class B,
               
    4.46%, 07/15/2047 (d)
   
4,550,700
     
4,466,891
 
  Series 2019-GC44, Class XD,
               
    1.02%, 08/15/2057 (d)(e)(g)
   
19,460,000
     
964,393
 
CSAIL Commercial Mortgage Trust
               
  Series 2015-C1, Class XD,
               
    0.50%, 04/15/2050 (d)(e)(g)
   
62,192,000
     
245,111
 
  Series 2016-C5, Class XD,
               
    1.00%, 11/15/2048 (d)(e)(g)
   
46,821,000
     
625,880
 
  Series 2017-C8, Class XB,
               
    0.35%, 06/15/2050 (d)(g)
   
74,773,000
     
753,286
 
  Series 2019-C17, Class XA,
               
    1.32%, 09/15/2052 (d)(g)
   
82,035,467
     
4,199,289
 
  Series 2019-C18, Class XA,
               
    1.00%, 12/15/2052 (d)(g)
   
94,843,834
     
3,830,648
 
  Series 2019-C18, Class C,
               
    3.92%, 12/15/2052 (d)
   
3,901,000
     
3,266,448
 
GS Mortgage Securities Corp. II
               
  Series 2012-BWTR, Class B,
               
    3.26%, 11/05/2034 (e)
 

6,608,000
   

3,357,043
 
  Series 2012-BWTR, Class A,
               
    2.95%, 11/05/2034 (e)
   
445,000
     
333,006
 
  Series 2015-GC32, Class B,
               
    4.39%, 07/10/2048 (d)
   
6,453,000
     
6,143,677
 
  Series 2015-GC34, Class A3,
               
    3.24%, 10/10/2048
   
8,905,503
     
8,606,595
 
  Series 2016-GS3, Class B,
               
    3.40%, 10/10/2049 (d)
   
10,417,000
     
9,386,469
 
  Series 2017-GS8, Class XB,
               
    0.37%, 11/10/2050 (d)(g)
   
44,642,000
     
577,502
 
  Series 2018-GS10, Class XD,
               
    1.40%, 07/10/2051 (d)(e)(g)
   
24,049,000
     
1,350,034
 
  Series 2019-GC38, Class XD,
               
    1.89%, 02/10/2052 (d)(e)(g)
   
20,916,000
     
1,625,681
 
  Series 2019-GC39, Class XB,
               
    0.66%, 05/10/2052 (d)(g)
   
69,588,000
     
1,976,515
 
  Series 2019-GC39, Class XD,
               
    1.64%, 05/10/2052 (d)(e)(g)
   
24,645,000
     
1,695,413
 
  Series 2019-GSA1, Class XA,
               
    0.81%, 11/10/2052 (d)(g)
   
70,165,566
     
2,502,785
 
  Series 2020-GC45, Class AAB,
               
    2.84%, 02/13/2053
   
12,881,000
     
12,017,892
 
  Series 2020-GSA2, Class XB,
               
    0.94%, 12/12/2053 (d)(e)(g)
   
73,324,000
     
3,818,384
 
JP Morgan Chase Commercial
               
Mortgage Securities Trust
               
  Series 2007-CB20, Class X1,
               
    0.00%, 02/12/2051 (d)(e)(g)
   
145,246
     
0
 
  Series 2017-JP6, Class XB,
               
    0.63%, 07/15/2050 (d)(g)
   
68,830,000
     
1,292,304
 
JPMBB Commercial Mortgage
               
Securities Trust
               
  Series 2015-C30, Class B,
               
    4.23%, 07/15/2048 (d)
   
3,585,000
     
3,274,079
 
  Series 2015-C32, Class XD,
               
    0.50%, 11/15/2048 (d)(e)(g)
   
23,066,000
     
144,822
 
JPMDB Commercial Mortgage
               
  Securities Trust, Series 2016-C4,
               
  Class B, 3.64%, 12/15/2049 (d)
   
5,500,000
     
4,761,692
 
Mcp Holding Co. LLC,
               
  Series 2015-GC30, Class B,
               
  4.02%, 05/10/2050 (d)
   
2,960,000
     
2,750,304
 
Morgan Stanley ABS Capital I, Inc.,
               
  Series 2021-L7, Class XB, 0.41%,
               
  10/15/2054 (d)(g)
   
143,080,000
     
3,905,397
 
Morgan Stanley Bank of America
               
Merrill Lynch Trust
               
  Series 2015-C23, Class B,
               
    4.14%, 07/15/2050 (d)
   
3,845,000
     
3,597,557
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 33

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
Morgan Stanley Bank of America
           
Merrill Lynch Trust (Cont.)
           
  Series 2015-C27, Class B,
           
    4.49%, 12/15/2047 (d)
 
$
3,000,000
   
$
2,861,648
 
  Series 2016-C31, Class XD,
               
    1.26%, 11/15/2049 (d)(e)(g)
   
21,212,500
     
603,207
 
  Series 2017-C34, Class B,
               
    4.11%, 11/15/2052 (d)
   
5,054,000
     
4,478,318
 
  Series 2017-C34, Class D,
               
    2.70%, 11/15/2052 (e)
   
4,953,000
     
3,389,400
 
Morgan Stanley Capital I Trust,
               
  Series 2014-MP, Class XB,
               
  0.52%, 11/15/2049 (d)(g)
   
58,680,000
     
734,768
 
Morgan Stanley Capital I, Inc.
               
  Series 2017-H1, Class C,
               
    4.28%, 06/15/2050 (d)
   
7,959,000
     
7,063,348
 
  Series 2017-H1, Class XD,
               
    2.15%, 06/15/2050 (d)(e)(g)
   
8,725,000
     
498,916
 
  Series 2017-HR2, Class A3,
               
    3.33%, 12/15/2050
   
11,641,970
     
10,895,340
 
  Series 2017-HR2, Class C,
               
    4.32%, 12/15/2050 (d)
   
10,576,000
     
9,576,422
 
  Series 2018-H3, Class ASB,
               
    4.12%, 07/15/2051
   
4,277,225
     
4,180,578
 
  Series 2018-H3, Class XB,
               
    0.36%, 07/15/2051 (d)(g)
   
135,712,000
     
1,959,030
 
  Series 2018-H3, Class XD,
               
    1.85%, 07/15/2051 (d)(e)(g)
   
15,363,500
     
997,471
 
  Series 2019-H7, Class C,
               
    4.13%, 07/15/2052
   
9,593,000
     
8,295,028
 
  Series 2019-H7, Class XB,
               
    0.66%, 07/15/2052 (d)(g)
   
130,723,000
     
3,919,520
 
  Series 2019-H7, Class D,
               
    3.00%, 07/15/2052 (e)
   
2,402,000
     
1,745,072
 
  Series 2019-L2, Class XB,
               
    0.62%, 03/15/2052 (d)(g)
   
127,093,000
     
3,444,945
 
  Series 2021-L5, Class B,
               
    3.10%, 05/15/2054
   
6,627,000
     
5,360,389
 
  Series 2021-L5, Class XB,
               
    0.71%, 05/15/2054 (d)(g)
   
70,387,500
     
3,015,985
 
  Series 2021-L5, Class D,
               
    2.50%, 05/15/2054 (e)
   
3,500,000
     
2,205,947
 
  Series 2021-L6, Class ASB,
               
    2.25%, 06/15/2054 (d)
   
11,900,000
     
10,472,388
 
  Series 2021-L6, Class B,
               
    2.95%, 06/15/2054 (d)
   
7,500,000
     
5,860,300
 
MSWF Commercial Mortgage Trust,
               
  Series 2023-2, Class XA, 0.91%,
               
  12/15/2056 (d)(g)
   
16,853,941
     
1,093,475
 
New Hampshire Business Finance
               
  Authority, Series 2023-2, Class X,
               
  0.81%, 01/20/2038 (d)(g)
   
33,000,000
     
1,886,280
 
UBS Commercial Mortgage Trust
               
  Series 2017-C1, Class XB,
               
    0.95%, 06/15/2050 (d)(g)
 

13,000,000
   

341,416
 
  Series 2017-C6, Class XB,
               
    0.50%, 12/15/2050 (d)(g)
   
63,420,500
     
1,198,774
 
  Series 2017-C7, Class XB,
               
    0.36%, 12/15/2050 (d)(g)
   
170,396,000
     
2,305,117
 
  Series 2018-C12, Class XB,
               
    0.29%, 08/15/2051 (d)(g)
   
139,858,000
     
1,950,488
 
  Series 2018-C12, Class XA,
               
    0.88%, 08/15/2051 (d)(g)
   
40,443,004
     
1,248,217
 
  Series 2018-C13, Class ASB,
               
    4.24%, 10/15/2051
   
3,095,457
     
3,006,141
 
  Series 2018-C13, Class XB,
               
    0.27%, 10/15/2051 (d)(g)
   
128,678,000
     
1,902,118
 
  Series 2018-C13, Class XD,
               
    2.00%, 10/15/2051 (d)(e)(g)
   
16,442,000
     
1,297,951
 
  Series 2018-C14, Class XB,
               
    0.25%, 12/15/2051 (d)(g)
   
114,392,000
     
1,601,076
 
  Series 2018-C8, Class A3,
               
    3.72%, 02/15/2051
   
2,000,458
     
1,885,587
 
  Series 2019-C17, Class XB,
               
    0.85%, 10/15/2052 (d)(g)
   
128,213,000
     
5,120,173
 
  Series 2019-C18, Class AS,
               
    3.38%, 12/15/2052 (d)
   
9,000,000
     
7,575,986
 
  Series 2019-C18, Class ASB,
               
    2.99%, 12/15/2052
   
4,500,000
     
4,243,824
 
UBS-Barclays Commercial
               
Mortgage Trust
               
  Series 2019-C3, Class XB,
               
    0.76%, 05/15/2052 (d)(g)
   
56,340,000
     
1,976,002
 
  Series 2019-C4, Class XB,
               
    1.13%, 08/15/2052 (d)(g)
   
43,170,000
     
2,175,444
 
  Series 2019-C5, Class XB,
               
    0.38%, 11/15/2052 (d)(g)
   
174,774,000
     
2,730,739
 
  Series 2019-C5, Class XD,
               
    1.36%, 11/15/2052 (d)(e)(g)
   
12,996,000
     
770,009
 
Washington State Housing Finance
               
  Commission, Series 2021-1,
               
  Class X, 0.73%, 12/20/2035 (d)(g)
   
20,385,141
     
916,516
 
Wells Fargo Commercial
               
Mortgage Trust
               
  Series 2015-C28, Class C,
               
    4.08%, 05/15/2048 (d)
   
11,105,000
     
10,117,182
 
  Series 2015-C28, Class D,
               
    4.08%, 05/15/2048 (d)
   
4,376,000
     
3,669,019
 
  Series 2015-C30, Class B,
               
    4.40%, 09/15/2058 (d)
   
5,800,000
     
5,567,799
 
  Series 2015-NXS1, Class B,
               
    3.66%, 05/15/2048 (d)
   
1,320,000
     
1,245,967
 
  Series 2016-C37, Class C,
               
    4.47%, 12/15/2049 (d)
   
11,213,000
     
10,267,226
 
                 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 34


PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
Wells Fargo Commercial
           
Mortgage Trust (Cont.)
           
  Series 2016-C37, Class D,
           
    3.17%, 12/15/2049 (d)(e)
 
$
7,375,000
   
$
6,088,313
 
  Series 2016-LC24, Class XB,
               
    0.98%, 10/15/2049 (d)(g)
   
66,264,075
     
1,401,870
 
  Series 2017-C42, Class XB,
               
    0.32%, 12/15/2050 (d)(g)
   
116,750,000
     
1,431,238
 
  Series 2017-RB1, Class XB,
               
    0.72%, 03/15/2050 (d)(g)
   
69,254,209
     
1,324,480
 
  Series 2018-C43, Class C,
               
    4.51%, 03/15/2051 (d)
   
4,033,000
     
3,592,065
 
  Series 2018-C45, Class C,
               
    4.73%, 06/15/2051
   
4,004,000
     
3,731,895
 
  Series 2018-C45, Class B,
               
    4.56%, 06/16/2051
   
2,837,000
     
2,667,539
 
  Series 2018-C47, Class AS,
               
    4.67%, 09/15/2061 (d)
   
8,000,000
     
7,694,141
 
  Series 2018-C47, Class XB,
               
    0.15%, 09/15/2061 (d)(g)
   
164,144,000
     
1,268,636
 
  Series 2018-C48, Class ASB,
               
    4.25%, 01/15/2052
   
6,635,715
     
6,497,527
 
  Series 2018-C48, Class XB,
               
    0.25%, 01/15/2052 (d)(g)
   
138,642,000
     
1,745,905
 
  Series 2019-C49, Class ASB,
               
    3.93%, 03/15/2052
   
4,999,975
     
4,892,419
 
  Series 2019-C49, Class XB,
               
    0.60%, 03/15/2052 (d)(g)
   
125,812,000
     
3,423,131
 
  Series 2019-C49, Class B,
               
    4.55%, 03/15/2052
   
8,947,000
     
8,360,748
 
  Series 2019-C50, Class XB,
               
    0.87%, 05/15/2052 (d)(g)
   
36,427,311
     
1,403,617
 
  Series 2019-C51, Class XB,
               
    0.67%, 06/15/2052 (d)(g)
   
130,394,000
     
3,817,323
 
  Series 2019-C52, Class XB,
               
    1.11%, 08/15/2052 (d)(g)
   
113,763,146
     
5,574,315
 
  Series 2019-C52, Class C,
               
    3.56%, 08/15/2052
   
6,206,000
     
4,895,728
 
  Series 2019-C52, Class XA,
               
    1.60%, 08/15/2052 (d)(g)
   
55,516,384
     
3,304,402
 
  Series 2019-C53, Class XB,
               
    0.45%, 10/15/2052 (d)(g)
   
105,325,000
     
2,540,850
 
  Series 2019-C53, Class B,
               
    3.51%, 10/15/2052 (d)
   
5,200,000
     
4,611,923
 
  Series 2020-C55, Class XB,
               
    0.82%, 02/15/2053 (d)(g)
   
58,030,370
     
2,288,050
 
  Series 2020-C56, Class XB,
               
    0.31%, 06/15/2053 (d)(g)
   
127,035,000
     
1,929,192
 
  Series 2020-C56, Class ASB,
               
    2.42%, 06/15/2053
   
2,250,000
     
2,074,979
 
  Series 2020-C57, Class D,
               
    2.50%, 08/15/2053 (e)
   
2,738,000
     
1,946,305
 
  Series 2020-C57, Class XB,
               
    0.73%, 08/15/2053 (d)(g)
 

74,972,000
   

2,955,269
 
  Series 2020-C57, Class C,
               
    4.02%, 08/15/2053 (d)
   
5,500,000
     
4,739,061
 
  Series 2020-C57, Class ASB,
               
    1.91%, 08/15/2053
   
7,250,000
     
6,539,413
 
  Series 2020-C57, Class XA,
               
    2.07%, 08/15/2053 (d)(g)
   
22,183,311
     
2,111,547
 
  Series 2020-C58, Class XB,
               
    1.11%, 07/15/2053 (d)(g)
   
109,974,000
     
6,636,480
 
  Series 2021-C59, Class C,
               
    3.28%, 04/15/2054
   
7,648,000
     
5,603,709
 
  Series 2021-C59, Class XB,
               
    0.90%, 04/15/2054 (d)(g)
   
65,782,000
     
3,388,345
 
  Series 2021-C59, Class XD,
               
    1.45%, 04/15/2054 (d)(e)(g)
   
40,274,000
     
3,223,942
 
  Series 2021-C60, Class B,
               
    2.73%, 08/15/2054
   
7,114,678
     
5,644,753
 
  Series 2021-C60, Class XA,
               
    1.52%, 08/15/2054 (d)(g)
   
40,626,708
     
2,879,942
 
  Series 2021-C60, Class XB,
               
    1.10%, 08/15/2054 (d)(g)
   
40,551,000
     
2,540,820
 
  Series 2021-C60, Class C,
               
    2.74%, 08/15/2054
   
3,000,000
     
2,206,796
 
  Series 2021-C61, Class ASB,
               
    2.53%, 11/15/2054
   
5,000,000
     
4,479,628
 
  Series 2021-C61, Class B,
               
    3.11%, 11/15/2054
   
4,221,000
     
3,314,251
 
  Series 2021-C61, Class XD,
               
    1.39%, 11/15/2054 (d)(e)(g)
   
9,132,000
     
760,476
 
TOTAL NON-AGENCY
               
COMMERCIAL MORTGAGE
               
BACKED SECURITIES
               
(Cost $1,149,407,534)
           
987,385,869
 
                 
U.S. TREASURY OBLIGATIONS – 14.0%
               
United States Treasury Notes/Bonds
               
  1.13%, 08/15/2040
   
40,000,000
     
24,455,469
 
  4.25%, 11/15/2040
   
55,000,000
     
53,762,500
 
  3.38%, 08/15/2042
   
40,000,000
     
34,197,656
 
  4.00%, 11/15/2042
   
45,000,000
     
41,991,504
 
  3.88%, 05/15/2043
   
230,000,000
     
210,247,851
 
  4.38%, 08/15/2043
   
250,000,000
     
244,687,500
 
  4.75%, 11/15/2043
   
250,000,000
     
257,167,970
 
  4.50%, 02/15/2044
   
25,000,000
     
24,982,422
 
  3.13%, 08/15/2044
   
60,000,000
     
48,658,593
 
TOTAL U.S. TREASURY
               
OBLIGATIONS
               
(Cost $934,759,199)
           
940,151,465
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.






PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 35

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
ASSET-BACKED SECURITIES – 12.2%
           
American Credit Acceptance
           
Receivables Trust
           
  Series 2021-2, Class E,
           
    2.54%, 07/13/2027 (e)
 
$
10,000,000
   
$
9,694,942
 
  Series 2021-4, Class C,
               
    1.32%, 02/14/2028 (e)
   
246,445
     
245,111
 
  Series 2022-2, Class C,
               
    4.41%, 06/13/2028 (e)
   
8,706,517
     
8,669,783
 
  Series 2022-3, Class B,
               
    4.55%, 10/13/2026 (e)
   
296,687
     
296,565
 
  Series 2022-3, Class C,
               
    4.86%, 10/13/2028 (e)
   
5,000,000
     
4,979,922
 
  Series 2022-4, Class B,
               
    6.75%, 10/13/2026 (e)
   
951,269
     
951,900
 
  Series 2022-4, Class C,
               
    7.86%, 02/15/2029 (e)
   
5,485,000
     
5,547,369
 
  Series 2023-1, Class A,
               
    5.45%, 09/14/2026 (e)
   
2,165,493
     
2,164,594
 
  Series 2023-1, Class C,
               
    5.59%, 04/12/2029 (e)
   
5,600,000
     
5,575,790
 
  Series 2023-2, Class B,
               
    5.61%, 06/14/2027 (e)
   
4,000,000
     
3,989,462
 
  Series 2023-2, Class C,
               
    5.96%, 08/13/2029 (e)
   
8,000,000
     
8,006,550
 
  Series 2023-3, Class C,
               
    6.44%, 10/12/2029 (e)
   
6,500,000
     
6,554,367
 
  Series 2023-4, Class C,
               
    6.99%, 09/12/2030 (e)
   
7,500,000
     
7,654,193
 
  Series 2024-1, Class B,
               
    5.60%, 11/12/2027 (e)
   
5,000,000
     
5,001,800
 
  Series 2024-1, Class C,
               
    5.63%, 01/14/2030 (e)
   
5,000,000
     
4,971,610
 
AmeriCredit Automobile
               
Receivables Trust
               
  Series 2021-1, Class D,
               
    1.21%, 12/18/2026
   
2,095,000
     
1,974,159
 
  Series 2023-1, Class A2A,
               
    5.84%, 10/19/2026
   
5,926,616
     
5,933,730
 
  Series 2023-2, Class A3,
               
    5.81%, 05/18/2028
   
15,000,000
     
15,084,594
 
CarMax Auto Owner Trust
               
  Series 2023-1, Class A2A,
               
    5.23%, 01/15/2026
   
1,591,733
     
1,589,913
 
  Series 2023-2, Class A2A,
               
    5.50%, 06/15/2026
   
12,025,418
     
12,020,542
 
  Series 2023-3, Class A2A,
               
    5.72%, 11/16/2026
   
7,750,000
     
7,760,946
 
  Series 2024-1, Class A2A,
               
    5.30%, 03/15/2027
   
8,500,000
     
8,496,264
 
  Series 2024-1, Class B,
               
    5.17%, 08/15/2029
   
4,400,000
     
4,386,275
 
CNH Equipment Trust
               
  Series 2023-A, Class A2,
               
    5.34%, 09/15/2026
 

7,357,952
   

7,348,356
 
  Series 2023-B, Class A3,
               
    5.60%, 02/15/2029
   
5,000,000
     
5,066,147
 
  Series 2024-A, Class A2,
               
    5.19%, 07/15/2027
   
8,025,000
     
8,015,128
 
DT Auto Owner Trust,
               
  Series 2020-2A, Class D,
               
  4.73%, 03/16/2026 (e)
   
4,243,453
     
4,226,916
 
Enterprise Fleet Financing,
               
  Series 2024-1, Class A2,
               
  5.23%, 03/20/2030 (e)
   
7,000,000
     
6,987,634
 
Exeter Automobile
               
Receivables Trust
               
  Series 2020-2A, Class E,
               
    7.19%, 09/15/2027 (e)
   
10,000,000
     
10,083,532
 
  Series 2021-2A, Class E,
               
    2.90%, 07/17/2028 (e)
   
1,500,000
     
1,410,282
 
  Series 2021-3A, Class E,
               
    3.04%, 12/15/2028 (e)
   
5,000,000
     
4,637,710
 
  Series 2022-2A, Class B,
               
    3.65%, 10/15/2026
   
11,871,638
     
11,830,822
 
  Series 2022-2A, Class D,
               
    4.56%, 07/17/2028
   
2,860,000
     
2,786,123
 
  Series 2022-4A, Class B,
               
    4.57%, 01/15/2027
   
3,824,000
     
3,810,590
 
  Series 2022-4A, Class C,
               
    4.92%, 12/15/2028
   
4,000,000
     
3,961,544
 
  Series 2022-5A, Class A3,
               
    5.43%, 04/15/2026
   
1,515,045
     
1,514,969
 
  Series 2022-5A, Class B,
               
    5.97%, 03/15/2027
   
5,000,000
     
4,997,561
 
  Series 2022-5A, Class C,
               
    6.51%, 12/15/2027
   
5,060,000
     
5,091,183
 
  Series 2022-6A, Class B,
               
    6.03%, 08/16/2027
   
10,000,000
     
10,011,919
 
  Series 2022-6A, Class C,
               
    6.32%, 05/15/2028
   
5,202,000
     
5,234,257
 
  Series 2023-1A, Class A2,
               
    5.61%, 06/16/2025
   
153,417
     
153,435
 
  Series 2023-1A, Class A3,
               
    5.58%, 04/15/2026
   
7,110,000
     
7,110,631
 
  Series 2023-2A, Class A3,
               
    5.60%, 08/17/2026
   
10,488,000
     
10,477,452
 
  Series 2023-2A, Class B,
               
    5.61%, 09/15/2027
   
5,623,000
     
5,607,939
 
  Series 2023-3A, Class A3,
               
    6.04%, 07/15/2026
   
6,000,000
     
6,004,690
 
  Series 2023-4A, Class B,
               
    6.31%, 10/15/2027
   
5,000,000
     
5,030,997
 
  Series 2023-4A, Class C,
               
    6.51%, 08/15/2028
   
5,000,000
     
5,069,852
 


Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 36

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Exeter Automobile
           
Receivables Trust (Cont.)
           
  Series 2023-5A, Class B,
           
    6.58%, 04/17/2028
 
$
5,000,000
   
$
5,071,782
 
  Series 2024-1A, Class A3,
               
    5.31%, 08/16/2027
   
8,612,000
     
8,600,053
 
  Series 2024-1A, Class B,
               
    5.29%, 08/15/2028
   
7,000,000
     
6,978,120
 
First Investors Auto Owner Trust
               
  Series 2021-1A, Class C,
               
    1.17%, 03/15/2027 (e)
   
1,795,000
     
1,758,265
 
  Series 2022-1A, Class C,
               
    3.13%, 05/15/2028 (e)
   
5,000,000
     
4,789,317
 
Flagship Credit Auto Trust
               
  Series 2020-2, Class D,
               
    5.75%, 04/15/2026 (e)
   
4,359,790
     
4,342,091
 
  Series 2022-3, Class A3,
               
    4.55%, 04/15/2027 (e)
   
9,663,033
     
9,596,102
 
  Series 2023-1, Class A2,
               
    5.38%, 12/15/2026 (e)
   
2,814,027
     
2,807,252
 
  Series 2023-2, Class A2,
               
    5.76%, 04/15/2027 (e)
   
8,171,792
     
8,158,985
 
Ford Credit Auto Owner Trust,
               
  Series 2023-B, Class A2A,
               
  5.57%, 06/15/2026
   
11,587,519
     
11,592,918
 
GLS Auto Receivables Trust
               
  Series 2019-4A, Class D,
               
    4.09%, 08/17/2026 (e)
   
8,295,000
     
8,243,354
 
  Series 2020-3A, Class E,
               
    4.31%, 07/15/2027 (e)
   
4,765,000
     
4,700,490
 
  Series 2020-4A, Class E,
               
    3.51%, 10/15/2027 (e)
   
7,500,000
     
7,294,315
 
  Series 2021-2A, Class E,
               
    2.87%, 05/15/2028 (e)
   
5,410,000
     
5,116,743
 
  Series 2021-3A, Class E,
               
    3.20%, 10/16/2028 (e)
   
5,700,000
     
5,301,585
 
  Series 2021-4A, Class C,
               
    1.94%, 10/15/2027 (e)
   
8,650,000
     
8,426,287
 
  Series 2021-4A, Class E,
               
    4.43%, 10/16/2028 (e)
   
5,000,000
     
4,641,241
 
  Series 2022-2A, Class B,
               
    4.70%, 09/15/2026 (e)
   
5,000,000
     
4,967,560
 
  Series 2022-3A, Class B,
               
    4.92%, 01/15/2027 (e)
   
3,000,000
     
2,978,252
 
  Series 2023-1A, Class C,
               
    6.38%, 12/15/2028 (e)
   
7,172,000
     
7,219,287
 
  Series 2023-2A, Class A2,
               
    5.70%, 01/15/2027 (e)
   
3,986,480
     
3,979,906
 
  Series 2023-2A, Class B,
               
    5.52%, 11/15/2027 (e)
   
7,500,000
     
7,472,920
 
  Series 2023-2A, Class C,
               
    5.69%, 03/15/2029 (e)
   
5,000,000
     
4,983,198
 
  Series 2023-3A, Class C,
               
    6.01%, 05/15/2029 (e)
 

5,000,000
   

5,019,901
 
  Series 2023-4A, Class A3,
               
    6.42%, 06/15/2027 (e)
   
2,075,000
     
2,101,079
 
  Series 2023-4A, Class B,
               
    6.57%, 03/15/2028 (e)
   
10,000,000
     
10,143,708
 
  Series 2024-1A, Class A3,
               
    5.40%, 09/15/2027 (e)
   
8,500,000
     
8,487,295
 
  Series 2024-1A, Class B,
               
    5.49%, 07/17/2028 (e)
   
10,000,000
     
9,979,014
 
  Series 2024-1A, Class C,
               
    5.64%, 12/17/2029 (e)
   
3,500,000
     
3,491,720
 
GM Financial Consumer
               
Automobile Receivables Trust
               
  Series 2023-2, Class A2A,
               
    5.10%, 05/18/2026
   
5,481,744
     
5,470,721
 
  Series 2023-3, Class A2A,
               
    5.74%, 09/16/2026
   
7,865,860
     
7,875,345
 
Honda Auto Receivables
               
Owner Trust
               
  Series 2022-2, Class A2,
               
    3.81%, 03/18/2025
   
719,473
     
718,266
 
  Series 2023-2, Class A2,
               
    5.41%, 04/15/2026
   
9,118,897
     
9,114,290
 
  Series 2023-2, Class A3,
               
    4.93%, 11/15/2027
   
2,662,000
     
2,653,863
 
  Series 2024-1, Class A2,
               
    5.36%, 09/15/2026
   
15,000,000
     
15,011,106
 
  Series 2024-1, Class A3,
               
    5.21%, 08/15/2028
   
8,500,000
     
8,499,199
 
John Deere Owner Trust
               
  Series 2023-B, Class A2,
               
    5.59%, 06/15/2026
   
9,500,000
     
9,499,825
 
  Series 2023-C, Class A3,
               
    5.48%, 05/15/2028
   
5,000,000
     
5,036,712
 
Santander Consumer
               
USA Holdings, Inc.
               
  Series 2022-2, Class B,
               
    3.44%, 09/15/2027
   
10,000,000
     
9,839,516
 
  Series 2022-2, Class C,
               
    3.76%, 07/16/2029
   
5,075,000
     
4,919,771
 
  Series 2022-4, Class A3,
               
    4.14%, 02/16/2027
   
4,431,957
     
4,408,862
 
  Series 2023-3, Class A3,
               
    5.61%, 10/15/2027
   
6,003,000
     
6,019,373
 
  Series 2023-4, Class A3,
               
    5.73%, 04/17/2028
   
14,300,000
     
14,362,870
 
  Series 2023-5, Class B,
               
    6.16%, 12/17/2029
   
4,500,000
     
4,589,131
 
  Series 2023-6, Class A3,
               
    5.93%, 07/17/2028
   
4,250,000
     
4,313,110
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 37

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Santander Consumer
           
USA Holdings, Inc. (Cont.)
           
  Series 2023-6, Class C,
           
    6.40%, 03/17/2031
 
$
5,000,000
   
$
5,135,622
 
  Series 2024-1, Class A3,
               
    5.25%, 04/17/2028
   
5,000,000
     
4,999,458
 
  Series 2024-1, Class C,
               
    5.45%, 03/15/2030
   
1,000,000
     
998,964
 
Santander Consumer USA, Inc.
               
  Series 2022-5, Class C,
               
    4.74%, 10/16/2028
   
7,500,000
     
7,407,782
 
  Series 2022-6, Class A3,
               
    4.49%, 11/16/2026
   
4,027,277
     
4,012,205
 
  Series 2022-6, Class B,
               
    4.72%, 06/15/2027
   
14,955,000
     
14,826,872
 
  Series 2022-7, Class A3,
               
    5.75%, 04/15/2027
   
6,350,000
     
6,353,087
 
  Series 2022-7, Class B,
               
    5.95%, 01/17/2028
   
10,000,000
     
10,055,240
 
  Series 2022-7, Class C,
               
    6.69%, 03/17/2031
   
9,695,000
     
9,883,782
 
  Series 2023-1, Class A2,
               
    5.36%, 05/15/2026
   
1,834,192
     
1,834,161
 
  Series 2023-1, Class B,
               
    4.98%, 02/15/2028
   
19,386,000
     
19,260,047
 
  Series 2023-2, Class A3,
               
    5.21%, 07/15/2027
   
10,020,000
     
9,990,275
 
  Series 2024-1, Class A3,
               
    5.35%, 02/15/2028
   
7,250,000
     
7,246,218
 
  Series 2024-1, Class B,
               
    5.31%, 01/16/2029
   
7,250,000
     
7,242,879
 
Santander Drive Auto
               
  Receivables, LLC, Series 2020-1,
               
  Class D, 5.35%, 03/15/2028
   
937,187
     
936,296
 
Toyota Auto Receivables
               
Owner Trust
               
  Series 2022-C, Class A2A,
               
    5.60%, 08/17/2026
   
8,849,418
     
8,851,572
 
  Series 2022-C, Class A3,
               
    3.76%, 04/15/2027
   
8,035,000
     
7,900,002
 
  Series 2023-A, Class A2,
               
    5.05%, 01/15/2026
   
2,820,309
     
2,816,494
 
  Series 2023-C, Class A3,
               
    5.16%, 04/17/2028
   
5,124,000
     
5,131,626
 
Westlake Automobile
               
Receivables Trust
               
  Series 2021-1A, Class E,
               
    2.33%, 08/17/2026 (e)
   
7,020,000
     
6,780,961
 
  Series 2021-2A, Class D,
               
    1.23%, 12/15/2026 (e)
   
8,385,000
     
8,039,320
 
  Series 2021-3A, Class E,
               
    3.42%, 04/15/2027 (e)
   
5,830,000
     
5,586,543
 
  Series 2022-1A, Class C,
               
    3.11%, 03/15/2027 (e)
 

5,000,000
   

4,896,613
 
  Series 2022-1A, Class B,
               
    2.75%, 03/15/2027 (e)
   
2,645,000
     
2,627,981
 
  Series 2022-2A, Class A3,
               
    3.75%, 04/15/2026 (e)
   
4,536,143
     
4,514,854
 
  Series 2022-2A, Class B,
               
    4.31%, 09/15/2027 (e)
   
8,825,000
     
8,735,686
 
  Series 2022-2A, Class D,
               
    5.48%, 09/15/2027 (e)
   
5,135,000
     
5,089,714
 
  Series 2022-3A, Class B,
               
    5.99%, 12/15/2027 (e)
   
10,000,000
     
10,029,852
 
  Series 2022-3A, Class C,
               
    6.44%, 12/15/2027 (e)
   
5,000,000
     
5,044,352
 
  Series 2023-1A, Class A3,
               
    5.21%, 01/18/2028 (e)
   
11,000,000
     
10,966,925
 
  Series 2023-1A, Class B,
               
    5.41%, 01/18/2028 (e)
   
3,750,000
     
3,740,812
 
  Series 2023-1A, Class C,
               
    5.74%, 08/15/2028 (e)
   
3,495,000
     
3,491,871
 
  Series 2023-2A, Class A3,
               
    5.80%, 02/16/2027 (e)
   
10,000,000
     
10,030,988
 
  Series 2023-2A, Class B,
               
    6.14%, 03/15/2028 (e)
   
2,050,000
     
2,063,431
 
  Series 2023-2A, Class C,
               
    6.29%, 03/15/2028 (e)
   
8,760,000
     
8,840,611
 
  Series 2023-3A, Class C,
               
    6.02%, 09/15/2028 (e)
   
6,000,000
     
6,032,826
 
  Series 2023-4A, Class C,
               
    6.64%, 11/15/2028 (e)
   
8,000,000
     
8,142,954
 
World Omni Auto Receivables Trust
               
  Series 2023-A, Class A2A,
               
    5.18%, 07/15/2026
   
4,463,375
     
4,458,044
 
  Series 2023-B, Class A2A,
               
    5.25%, 11/16/2026
   
7,243,705
     
7,234,744
 
TOTAL ASSET-BACKED
               
SECURITIES
               
(Cost $818,555,071)
           
819,826,414
 
                 
COLLATERALIZED LOAN OBLIGATIONS – 6.4%
               
Allegany Park CLO Ltd.,
               
  Series 2019-1A, Class DR, 8.42%
               
  (3 mo. Term SOFR + 3.10%),
               
  01/20/2035 (e)
   
4,000,000
     
3,955,004
 
Apidos CLO
               
  Series 2013-12A, Class ER,
               
    10.98% (3 mo. Term SOFR +
               
    5.66%), 04/15/2031 (e)
   
6,150,000
     
5,702,397
 
  Series 2013-12A, Class DR,
               
    8.18% (3 mo. Term SOFR +
               
    2.86%), 04/15/2031 (e)
   
3,195,000
     
3,138,966
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.





PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 38

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Apidos CLO (Cont.)
           
  Series 2013-15A, Class CRR,
           
    7.43% (3 mo. Term SOFR +
           
    2.11%), 04/20/2031 (e)
 
$
5,000,000
   
$
4,980,435
 
  Series 2013-15A, Class DRR,
               
    0.00% (3 mo. Term SOFR +
               
    2.96%), 04/20/2031 (e)
   
5,000,000
     
4,950,000
 
  Series 2015-22A, Class CR,
               
    8.53% (3 mo. Term SOFR +
               
    3.21%), 04/20/2031 (e)
   
2,000,000
     
1,992,562
 
  Series 2016-24A, Class DR,
               
    11.38% (3 mo. Term SOFR +
               
    6.06%), 10/20/2030 (e)
   
2,550,000
     
2,434,666
 
  Series 2017-28A, Class A1B,
               
    6.73% (3 mo. Term SOFR +
               
    1.41%), 01/20/2031 (e)
   
12,000,000
     
11,993,004
 
  Series 2018-29A, Class B,
               
    7.49% (3 mo. Term SOFR +
               
    2.16%), 07/25/2030 (e)
   
7,600,000
     
7,572,503
 
  Series 2018-29A, Class C,
               
    8.34% (3 mo. Term SOFR +
               
    3.01%), 07/25/2030 (e)
   
6,250,000
     
6,157,931
 
  Series 2019-31A, Class ER,
               
    12.18% (3 mo. Term SOFR +
               
    6.86%), 04/15/2031 (e)
   
4,400,000
     
4,331,488
 
  Series XXXA, Class B, 7.56%
               
    (3 mo. Term SOFR + 2.26%),
               
    10/18/2031 (e)
   
7,680,000
     
7,671,199
 
ARES CLO
               
  Series 2014-31RA, Class B,
               
    7.19% (3 mo. Term SOFR +
               
    1.86%), 05/24/2030 (e)
   
5,750,000
     
5,748,338
 
  Series 2015-38A, Class DR,
               
    8.08% (3 mo. Term SOFR +
               
    2.76%), 04/20/2030 (e)
   
7,450,000
     
7,267,885
 
  Series 2016-39A, Class DR2,
               
    8.91% (3 mo. Term SOFR +
               
    3.61%), 04/18/2031 (e)
   
7,335,000
     
7,145,757
 
  Series 2016-39A, Class A1R2,
               
    6.61% (3 mo. Term SOFR +
               
    1.31%), 04/18/2031 (e)
   
1,750,000
     
1,750,744
 
  Series 2017-42A, Class D,
               
    9.03% (3 mo. Term SOFR +
               
    3.71%), 01/22/2028 (e)
   
5,000,000
     
5,000,000
 
  Series 2017-46A, Class B2,
               
    3.57%, 01/15/2030 (e)
   
3,600,000
     
3,344,331
 
  Series 2017-46A, Class C2,
               
    7.28% (3 mo. Term SOFR +
               
    1.96%), 01/15/2030 (e)
   
1,436,843
     
1,422,755
 
  Series 2018-47A, Class D,
               
    8.28% (3 mo. Term SOFR +
               
    2.96%), 04/15/2030 (e)
   
1,915,000
     
1,867,577
 
BCRED MML CLO,
               
  Series 2022-1A, Class C, 8.07%
               
  (3 mo. Term SOFR + 2.75%),
               
  04/20/2035 (e)
 

2,000,000
   

1,967,844
 
BlueMountain CLO Ltd.
               
  Series 2014-2A, Class BR2,
               
    7.33% (3 mo. Term SOFR +
               
    2.01%), 10/20/2030 (e)
   
7,330,000
     
7,319,650
 
  Series 2018-1A, Class B,
               
    7.28% (3 mo. Term SOFR +
               
    1.96%), 07/30/2030 (e)
   
9,496,770
     
9,493,465
 
Bristol Park CLO, Series 2016-1A,
               
  Class AR, 6.57% (3 mo. Term
               
  SOFR + 1.25%), 04/15/2029 (e)
   
4,137,693
     
4,138,429
 
Burnham Park CLO
               
  Series 2016-1A, Class CR, 7.73%
               
    (3 mo. Term SOFR + 2.41%),
               
    10/20/2029 (e)
   
5,750,000
     
5,750,724
 
  Series 2016-1A, Class DR, 8.43%
               
    (3 mo. Term SOFR + 3.11%),
               
    10/20/2029 (e)
   
1,500,000
     
1,491,840
 
Buttermilk Park CLO,
               
  Series 2018-1A, Class D,
               
  8.68% (3 mo. Term SOFR +
               
  3.36%), 10/15/2031 (e)
   
1,000,000
     
992,668
 
Carlyle Group, Inc., Series 2014-1A,
               
  Class BR2, 0.00% (3 mo. Term
               
  SOFR + 1.66%), 04/17/2031 (e)
   
2,500,000
     
2,495,875
 
Catskill Park CLO
               
  Series 2017-1A, Class C,
               
    9.28% (3 mo. Term SOFR +
               
    3.96%), 04/20/2029 (e)
   
3,850,000
     
3,851,267
 
  Series 2017-1A, Class D,
               
    11.58% (3 mo. Term SOFR +
               
    6.26%), 04/20/2029 (e)
   
1,250,000
     
1,238,900
 
Chenango Park CLO,
               
  Series 2018-1A, Class C, 8.58%
               
  (3 mo. Term SOFR + 3.26%),
               
  04/15/2030 (e)
   
1,000,000
     
989,027
 
CIFC Funding Ltd.
               
  Series 2017-3A, Class A2,
               
    7.38% (3 mo. Term SOFR +
               
    2.06%), 07/20/2030 (e)
   
2,100,000
     
2,105,248
 
  Series 2017-4A, Class A1R,
               
    6.53% (3 mo. Term SOFR +
               
    1.21%), 10/24/2030 (e)
   
1,942,446
     
1,944,544
 
  Series 2018-1A, Class C,
               
    7.31% (3 mo. Term SOFR +
               
    2.01%), 04/18/2031 (e)
   
3,750,000
     
3,719,160
 
Cook Park CLO, Series 2018-1A,
               
  Class B, 6.98% (3 mo. Term
               
  SOFR + 1.66%), 04/17/2030 (e)
   
3,750,000
     
3,726,405
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.






PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 39

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Fillmore Park CLO, Series 2018-1A,
           
  Class E, 10.98% (3 mo. Term
           
  SOFR + 5.66%), 07/15/2030 (e)
 
$
1,000,000
   
$
985,000
 
Gilbert Park CLO
               
  Series 2017-1A, Class D,
               
    8.53% (3 mo. Term SOFR +
               
    3.21%), 10/15/2030 (e)
   
10,275,000
     
10,270,726
 
  Series 2017-1A, Class A,
               
    6.77% (3 mo. Term SOFR +
               
    1.45%), 10/15/2030 (e)
   
3,739,992
     
3,748,497
 
  Series 2017-1A, Class E,
               
    11.98% (3 mo. Term SOFR +
               
    6.66%), 10/15/2030 (e)
   
1,250,000
     
1,247,992
 
GoldenTree Loan Management
               
  US CLO, Series 2021-9A, Class E,
               
  10.33% (3 mo. Term SOFR +
               
  5.01%), 01/20/2033 (e)
   
6,500,000
     
6,241,443
 
Goldentree Loan Opportunities Ltd.
               
  Series 2015-11A, Class ER2,
               
    10.96% (3 mo. Term SOFR +
               
    5.66%), 01/18/2031 (e)
   
5,850,000
     
5,810,840
 
  Series 2015-11A, Class DR2,
               
    7.96% (3 mo. Term SOFR +
               
    2.66%), 01/18/2031 (e)
   
4,250,000
     
4,253,927
 
  Series 2017-2A, Class AR,
               
    6.49% (3 mo. Term SOFR +
               
    1.17%), 11/20/2030 (e)
   
4,697,875
     
4,700,458
 
  Series 2017-2A, Class E,
               
    10.28% (3 mo. Term SOFR +
               
    4.96%), 11/28/2030 (e)
   
8,811,000
     
8,816,040
 
  Series 2017-2A, Class D,
               
    8.23% (3 mo. Term SOFR +
               
    2.91%), 11/28/2030 (e)
   
5,000,000
     
5,006,250
 
  Series 2019-4A, Class E,
               
    10.33% (3 mo. Term SOFR +
               
    5.01%), 04/24/2031 (e)
   
8,000,000
     
7,676,240
 
  Series 2019-5A, Class E,
               
    10.43% (3 mo. Term SOFR +
               
    5.11%), 10/20/2032 (e)
   
7,500,000
     
7,117,755
 
  Series 2019-5A, Class DR,
               
    8.73% (3 mo. Term SOFR +
               
    3.41%), 10/20/2032 (e)
   
2,500,000
     
2,468,495
 
  Series 2022-16A, Class DR,
               
    10.11% (3 mo. Term SOFR +
               
    4.75%), 01/20/2034 (e)
   
3,500,000
     
3,533,324
 
Golub Capital BDC, Inc.,
               
  Series 2021-1A, Class C1, 8.38%
               
  (3 mo. Term SOFR + 3.06%),
               
  04/15/2033 (e)
   
7,000,000
     
6,925,492
 
Grippen Park CLO
               
  Series 2017-1A, Class D,
               
    8.88% (3 mo. Term SOFR +
               
    3.56%), 01/20/2030 (e)
   
7,550,000
     
7,552,265
 
  Series 2017-1A, Class E,
               
    11.28% (3 mo. Term SOFR +
               
    5.96%), 01/20/2030 (e)
 

1,150,000
   

1,142,292
 
Hartwick Park CLO Ltd.,
               
  Series 2023-1A, Class D, 9.84%
               
  (3 mo. Term SOFR + 4.50%),
               
  01/21/2036 (e)
   
5,000,000
     
5,001,250
 
LCM LP
               
  Series 15A, Class DR,
               
    9.28% (3 mo. Term SOFR +
               
    3.96%), 07/20/2030 (e)
   
9,000,000
     
8,955,531
 
  Series 16A, Class CR2,
               
    7.73% (3 mo. Term SOFR +
               
    2.41%), 10/15/2031 (e)
   
5,100,000
     
5,026,019
 
  Series 16A, Class BR2,
               
    7.33% (3 mo. Term SOFR +
               
    2.01%), 10/15/2031 (e)
   
4,000,000
     
4,012,964
 
  Series 16A, Class ER2,
               
    11.96% (3 mo. Term SOFR +
               
    6.64%), 10/15/2031 (e)
   
1,600,000
     
1,334,851
 
  Series 17A, Class ER,
               
    11.58% (3 mo. Term SOFR +
               
    6.26%), 10/15/2031 (e)
   
1,000,000
     
787,965
 
  Series 18A, Class ER,
               
    11.53% (3 mo. Term SOFR +
               
    6.21%), 04/20/2031 (e)
   
5,300,000
     
4,244,023
 
  Series 22A, Class CR,
               
    8.38% (3 mo. Term SOFR +
               
    3.06%), 10/20/2028 (e)
   
1,895,000
     
1,881,904
 
  Series 25A, Class D,
               
    9.03% (3 mo. Term SOFR +
               
    3.71%), 07/20/2030 (e)
   
4,000,000
     
3,852,716
 
  Series 26A, Class D,
               
    8.08% (3 mo. Term SOFR +
               
    2.76%), 01/20/2031 (e)
   
1,000,000
     
951,329
 
  Series 27A, Class D,
               
    8.53% (3 mo. Term SOFR +
               
    3.21%), 07/16/2031 (e)
   
4,000,000
     
3,793,060
 
  Series 27A, Class C,
               
    7.53% (3 mo. Term SOFR +
               
    2.21%), 07/16/2031 (e)
   
2,700,000
     
2,664,252
 
  Series 29A, Class BR,
               
    7.18% (3 mo. Term SOFR +
               
    1.86%), 04/15/2031 (e)
   
4,750,000
     
4,744,808
 
  Series 34A, Class E,
               
    12.12% (3 mo. Term SOFR +
               
    6.80%), 10/20/2034 (e)
   
3,250,000
     
2,865,779
 
  Series 35A, Class E,
               
    12.19% (3 mo. Term SOFR +
               
    6.87%), 10/15/2034 (e)
   
4,750,000
     
4,176,461
 
  Series 36A, Class E,
               
    12.29% (3 mo. Term SOFR +
               
    6.97%), 01/15/2034 (e)
   
6,000,000
     
5,292,936
 

 Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.







PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 40

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
LCM XIII LP
           
  Series 14A, Class CR,
           
    7.43% (3 mo. Term SOFR +
           
    2.11%), 07/20/2031 (e)
 
$
6,000,000
   
$
5,925,342
 
  Series 14A, Class ER,
               
    11.08% (3 mo. Term SOFR +
               
    5.76%), 07/20/2031 (e)
   
1,000,000
     
702,345
 
LCM XIV LP, Series 14A, Class BR,
               
  7.16% (3 mo. Term SOFR +
               
  1.84%), 07/20/2031 (e)
   
10,800,000
     
10,782,374
 
Long Point Park CLO
               
  Series 2017-1A, Class C,
               
    7.98% (3 mo. Term SOFR +
               
    2.66%), 01/17/2030 (e)
   
4,000,000
     
3,906,356
 
  Series 2017-1A, Class D2,
               
    11.18% (3 mo. Term SOFR +
               
    5.86%), 01/17/2030 (e)
   
2,000,000
     
1,924,962
 
Magnetite CLO Ltd.
               
  Series 2014-8A, Class DR2,
               
    8.48% (3 mo. Term SOFR +
               
    3.16%), 04/15/2031 (e)
   
10,150,000
     
10,169,539
 
  Series 2014-8A, Class AR2,
               
    6.56% (3 mo. Term SOFR +
               
    1.24%), 04/15/2031 (e)
   
1,996,319
     
1,997,139
 
  Series 2015-12A, Class ER,
               
    11.26% (3 mo. Term SOFR +
               
    5.94%), 10/15/2031 (e)
   
8,923,000
     
8,805,725
 
  Series 2015-14RA, Class D,
               
    8.41% (3 mo. Term SOFR +
               
    3.11%), 10/18/2031 (e)
   
5,900,000
     
5,906,519
 
  Series 2015-14RA, Class A1,
               
    6.68% (3 mo. Term SOFR +
               
    1.38%), 10/18/2031 (e)
   
5,264,673
     
5,274,949
 
  Series 2015-15A, Class ER,
               
    10.79% (3 mo. Term SOFR +
               
    5.46%), 07/25/2031 (e)
   
4,000,000
     
3,881,300
 
  Series 2015-15A, Class DR,
               
    8.34% (3 mo. Term SOFR +
               
    3.01%), 07/25/2031 (e)
   
2,000,000
     
1,989,422
 
  Series 2016-18A, Class DR,
               
    8.27% (3 mo. Term SOFR +
               
    2.96%), 11/15/2028 (e)
   
10,315,000
     
10,318,621
 
  Series 2016-18A, Class ER,
               
    10.82% (3 mo. Term SOFR +
               
    5.51%), 11/15/2028 (e)
   
1,000,000
     
1,000,583
 
  Series 2019-23A, Class ER,
               
    11.89% (3 mo. Term SOFR +
               
    6.56%), 01/25/2035 (e)
   
2,750,000
     
2,736,800
 
  Series 2020-27A, Class ER,
               
    11.58% (3 mo. Term SOFR +
               
    6.26%), 10/20/2034 (e)
   
5,250,000
     
5,243,984
 
  Series 2020-28A, Class ER,
               
    11.73% (3 mo. Term SOFR +
               
    6.41%), 01/20/2035 (e)
   
2,250,000
     
2,250,653
 
  Series 2021-30A, Class E,
               
    11.79% (3 mo. Term SOFR +
               
    6.46%), 10/25/2034 (e)
 

4,100,000
   

4,101,554
 
  Series 2023-34A, Class D,
               
    10.52% (3 mo. Term SOFR +
               
    5.20%), 04/20/2036 (e)
   
2,950,000
     
2,987,733
 
  Series 2023-39A, Class D,
               
    9.53% (3 mo. Term SOFR +
               
    4.15%), 10/25/2033 (e)
   
2,000,000
     
2,003,688
 
Mountain View CLO Ltd.,
               
  Series 2019-2A, Class A2,
               
  7.48% (3 mo. Term SOFR +
               
  2.16%), 01/15/2033 (e)
   
3,000,000
     
3,008,664
 
Myers Park CLO, Series 2018-1A,
               
  Class C, 7.63% (3 mo. Term
               
  SOFR + 2.31%), 10/20/2030 (e)
   
1,240,000
     
1,239,962
 
Neuberger Berman CLO Ltd.
               
  Series 2018-27A, Class D,
               
    8.18% (3 mo. Term SOFR +
               
    2.86%), 01/15/2030 (e)
   
7,500,000
     
7,451,062
 
  Series 2019-33A, Class DR,
               
    8.48% (3 mo. Term SOFR +
               
    3.16%), 10/16/2033 (e)
   
2,000,000
     
1,975,602
 
Niagara Park CLO, Series 2019-1A,
               
  Class ER, 11.53% (3 mo. Term
               
  SOFR + 6.21%), 07/17/2032 (e)
   
2,000,000
     
1,938,628
 
Octagon Investment Partners Ltd.
               
  Series 2016-1A, Class CR,
               
    7.38% (3 mo. Term SOFR +
               
    2.06%), 07/15/2030 (e)
   
6,220,000
     
6,090,842
 
  Series 2017-1A, Class A1R,
               
    6.58% (3 mo. Term SOFR +
               
    1.26%), 03/17/2030 (e)
   
3,245,422
     
3,250,741
 
Octagon Investment
               
  Partners XXII LLC, Series 2014-1A,
               
  Class CRR, 3.00% (3 mo. Term
               
  SOFR + 2.16%), 01/22/2030 (e)
   
3,970,000
     
3,967,023
 
Webster Park CLO
               
  Series 2015-1A, Class BR,
               
    7.38% (3 mo. Term SOFR +
               
    2.06%), 07/20/2030 (e)
   
10,300,000
     
10,246,697
 
  Series 2015-1A, Class CR,
               
    8.58% (3 mo. Term SOFR +
               
    3.16%), 07/20/2030 (e)
   
1,800,000
     
1,768,500
 
Whetstone Park CLO Ltd.,
               
  Series 2021-1A, Class B2,
               
  2.79%, 01/20/2035 (e)
   
1,400,000
     
1,194,154
 
TOTAL COLLATERALIZED
               
LOAN OBLIGATIONS
               
(Cost $431,177,850)
           
430,776,935
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.





PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 41

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
AGENCY COMMERCIAL
           
MORTGAGE BACKED SECURITIES – 6.0%
           
California Housing Finance Agency,
           
  Series 2021-2, Class X,
           
  0.82%, 03/25/2035 (a)(g)
 
$
31,494,287
   
$
1,524,953
 
Fannie Mae Pool, Pool AN8088,
               
  3.33%, 01/01/2038
   
10,731,000
     
9,020,973
 
Federal National Mortgage
               
  Association, Pool BS1824,
               
  2.59%, 04/01/2041
   
7,890,000
     
5,780,324
 
Freddie Mac Multiclass
               
Certificates Series
               
  Series 2020-RR09, Class CX,
               
    2.68%, 08/27/2029 (d)(g)
   
42,360,000
     
4,012,356
 
  Series 2021-RR17, Class X,
               
    2.04%, 08/27/2027 (d)(g)
   
70,015,000
     
3,428,614
 
Freddie Mac Multifamily
               
ML Certificates
               
  Series 2019-ML06, Class XUS,
               
    1.13%, 06/25/2037 (d)(g)
   
10,557,986
     
844,745
 
  Series 2020-ML07, Class XUS,
               
    2.02%, 10/25/2036 (d)(e)(g)
   
24,545,097
     
3,550,448
 
  Series 2021-ML08, Class XUS,
               
    1.85%, 07/25/2037 (g)
   
32,475,754
     
4,346,230
 
  Series 2021-ML09, Class XUS,
               
    1.49%, 02/25/2040 (d)(e)(g)
   
43,419,659
     
5,173,018
 
  Series 2021-ML10, Class XUS,
               
    2.06%, 01/25/2038 (d)(g)
   
14,058,370
     
2,200,135
 
  Series 2021-ML10, Class XUS,
               
    1.52%, 06/25/2038 (d)(e)(g)
   
39,102,554
     
4,534,723
 
  Series 2021-ML11, Class XUS,
               
    0.77%, 03/25/2038 (e)(g)
   
33,711,908
     
1,780,326
 
  Series 2021-ML12, Class XUS,
               
    1.30%, 07/25/2041 (d)(e)(g)
   
17,880,864
     
1,754,113
 
Freddie Mac Multifamily Structured
               
Pass Through Certificates
               
  Series K042, Class X1,
               
    1.01%, 12/25/2024 (d)(g)
   
109,818,407
     
528,106
 
  Series K046, Class X1,
               
    0.33%, 03/25/2025 (d)(g)
   
421,844,706
     
1,118,268
 
  Series K049, Class X1,
               
    0.54%, 07/25/2025 (d)(g)
   
86,333,811
     
518,599
 
  Series K061, Class XAM,
               
    0.06%, 11/25/2026 (d)(g)
   
72,512,000
     
181,077
 
  Series K062, Class XAM,
               
    0.18%, 12/25/2026 (d)(g)
   
79,423,000
     
444,904
 
  Series K063, Class X1,
               
    0.27%, 01/25/2027 (d)(g)
   
358,111,727
     
2,449,019
 
  Series K064, Class X1,
               
    0.60%, 03/25/2027 (d)(g)
   
120,623,156
     
1,830,963
 
  Series K065, Class XAM,
               
    0.55%, 05/25/2027 (d)(g)
   
57,193,000
     
975,901
 
  Series K066, Class X1,
               
    0.74%, 06/25/2027 (d)(g)
 

30,683,270
   

610,005
 
  Series K067, Class X1,
               
    0.57%, 07/25/2027 (d)(g)
   
39,245,596
     
633,232
 
  Series K068, Class X1,
               
    0.42%, 08/25/2027 (d)(g)
   
99,993,007
     
1,262,612
 
  Series K069, Class X1,
               
    0.34%, 09/25/2027 (d)(g)
   
28,125,934
     
308,859
 
  Series K073, Class X1,
               
    0.30%, 01/25/2028 (d)(g)
   
152,227,836
     
1,679,514
 
  Series K073, Class XAM,
               
    0.20%, 01/25/2028 (d)(g)
   
54,203,000
     
456,958
 
  Series K080, Class X1,
               
    0.12%, 07/25/2028 (d)(g)
   
422,703,240
     
2,609,939
 
  Series K081, Class X1,
               
    0.07%, 08/25/2028 (d)(g)
   
152,137,719
     
693,565
 
  Series K084, Class X1,
               
    0.21%, 10/25/2028 (d)(g)
   
333,673,173
     
3,225,585
 
  Series K089, Class XAM,
               
    0.46%, 01/25/2029 (d)(g)
   
53,965,000
     
1,131,738
 
  Series K090, Class XAM,
               
    0.63%, 03/25/2029 (d)(g)
   
50,517,000
     
1,466,226
 
  Series K091, Class XAM,
               
    0.49%, 03/25/2029 (d)(g)
   
53,659,000
     
1,242,394
 
  Series K093, Class X1,
               
    0.94%, 05/25/2029 (d)(g)
   
58,370,127
     
2,295,802
 
  Series K094, Class X1,
               
    0.88%, 06/25/2029 (d)(g)
   
194,205,337
     
7,353,119
 
  Series K097, Class X1,
               
    1.09%, 07/25/2029 (d)(g)
   
72,452,144
     
3,448,954
 
  Series K097, Class XAM,
               
    1.35%, 09/25/2051 (d)(g)
   
66,115,000
     
4,089,100
 
  Series K098, Class X1,
               
    1.14%, 08/25/2029 (d)(g)
   
78,282,321
     
3,934,462
 
  Series K098, Class XAM,
               
    1.39%, 08/25/2029 (d)(g)
   
24,691,000
     
1,589,636
 
  Series K099, Class X1,
               
    0.88%, 09/25/2029 (d)(g)
   
209,013,642
     
8,206,942
 
  Series K100, Class XAM,
               
    0.91%, 09/25/2029 (d)(g)
   
62,086,000
     
2,722,930
 
  Series K101, Class XAM,
               
    1.09%, 10/25/2029 (d)(g)
   
65,686,000
     
3,453,455
 
  Series K102, Class X1,
               
    0.82%, 10/25/2029 (d)(g)
   
172,355,187
     
6,435,432
 
  Series K103, Class X1,
               
    0.64%, 11/25/2029 (d)(g)
   
124,768,194
     
3,743,033
 
  Series K105, Class XAM,
               
    1.77%, 01/25/2030 (d)(g)
   
64,122,000
     
5,621,858
 
  Series K107, Class XAM,
               
    1.55%, 02/25/2030 (d)(g)
   
118,898,000
     
9,299,892
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 42

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Freddie Mac Multifamily Structured
           
Pass Through Certificates (Cont.)
           
  Series K108, Class X1,
           
    1.69%, 03/25/2030 (d)(g)
 
$
56,712,109
   
$
4,618,753
 
  Series K108, Class XAM,
               
    1.66%, 03/25/2030 (d)(g)
   
70,601,000
     
5,975,767
 
  Series K110, Class X1,
               
    1.70%, 04/25/2030 (d)(g)
   
29,779,712
     
2,353,193
 
  Series K111, Class X1,
               
    1.57%, 05/25/2030 (d)(g)
   
108,402,827
     
8,314,735
 
  Series K112, Class XAM,
               
    1.67%, 05/25/2030 (d)(g)
   
44,272,000
     
3,816,804
 
  Series K112, Class X1,
               
    1.43%, 05/25/2030 (d)(g)
   
122,723,096
     
8,670,203
 
  Series K113, Class X1,
               
    1.38%, 06/25/2030 (d)(g)
   
113,139,389
     
7,670,817
 
  Series K114, Class XAM,
               
    1.34%, 06/25/2030 (d)(g)
   
54,977,000
     
3,875,791
 
  Series K114, Class X1,
               
    1.12%, 06/25/2030 (d)(g)
   
135,862,179
     
7,641,568
 
  Series K115, Class X1,
               
    1.32%, 06/25/2030 (d)(g)
   
53,870,212
     
3,553,021
 
  Series K115, Class XAM,
               
    1.55%, 07/25/2030 (d)(g)
   
40,865,759
     
3,334,393
 
  Series K116, Class X1,
               
    1.42%, 07/25/2030 (d)(g)
   
98,538,413
     
6,848,784
 
  Series K116, Class XAM,
               
    1.60%, 08/25/2030 (d)(g)
   
23,000,000
     
1,969,338
 
  Series K118, Class X1,
               
    0.96%, 09/25/2030 (d)(g)
   
120,122,996
     
5,873,294
 
  Series K118, Class XAM,
               
    1.17%, 09/25/2030 (d)(g)
   
35,916,184
     
2,281,123
 
  Series K119, Class XAM,
               
    1.13%, 10/25/2030 (d)(g)
   
51,000,000
     
3,131,176
 
  Series K121, Class X1,
               
    1.02%, 10/25/2030 (d)(g)
   
48,550,271
     
2,506,602
 
  Series K121, Class XAM,
               
    1.19%, 11/25/2030 (d)(g)
   
70,786,000
     
4,706,420
 
  Series K122, Class XAM,
               
    1.08%, 11/25/2030 (d)(g)
   
35,211,000
     
2,125,304
 
  Series K122, Class X1,
               
    0.88%, 11/25/2030 (d)(g)
   
111,152,984
     
5,081,448
 
  Series K123, Class XAM,
               
    0.98%, 12/25/2030 (d)(g)
   
108,000,000
     
5,907,416
 
  Series K124, Class XAM,
               
    0.94%, 01/25/2031 (d)(g)
   
89,626,000
     
4,739,772
 
  Series K125, Class XAM,
               
    0.78%, 01/25/2031 (d)(g)
   
103,992,000
     
4,686,233
 
  Series K125, Class X1,
               
    0.58%, 01/25/2031 (d)(g)
   
282,886,384
     
8,847,837
 
  Series K127, Class XAM,
               
    0.50%, 02/25/2031 (d)(g)
   
186,332,000
     
5,425,131
 
  Series K128, Class X1,
               
    0.51%, 03/25/2031 (d)(g)
 

153,581,725
   

4,325,414
 
  Series K128, Class XAM,
               
    0.73%, 03/25/2031 (d)(g)
   
37,700,000
     
1,628,802
 
  Series K129, Class XAM,
               
    1.22%, 05/25/2031 (d)(g)
   
31,700,000
     
2,250,047
 
  Series K130, Class X1,
               
    1.04%, 06/25/2031 (d)(g)
   
122,593,956
     
7,187,561
 
  Series K130, Class XAM,
               
    1.21%, 07/25/2031 (d)(g)
   
43,372,188
     
3,173,729
 
  Series K131, Class X1,
               
    0.73%, 07/25/2031 (d)(g)
   
135,429,026
     
5,870,009
 
  Series K138, Class XAM,
               
    0.69%, 01/25/2032 (d)(g)
   
195,000,000
     
8,779,329
 
  Series K141, Class X1,
               
    0.30%, 02/25/2032 (d)(g)
   
184,926,831
     
3,886,885
 
  Series K141, Class XAM,
               
    0.32%, 02/25/2032 (d)(g)
   
195,000,000
     
4,378,432
 
  Series K149, Class X1,
               
    0.26%, 08/25/2032 (d)(g)
   
83,153,845
     
1,751,985
 
  Series K1511, Class X1,
               
    0.78%, 03/25/2034 (d)(g)
   
131,200,450
     
6,816,309
 
  Series K1512, Class X1,
               
    0.91%, 04/25/2034 (d)(g)
   
47,343,295
     
2,804,977
 
  Series K1513, Class X1,
               
    0.86%, 08/25/2034 (d)(g)
   
75,636,121
     
4,379,899
 
  Series K1514, Class X1,
               
    0.58%, 10/25/2034 (d)(g)
   
80,233,921
     
3,468,256
 
  Series K1515, Class X1,
               
    1.51%, 02/25/2035 (d)(g)
   
78,376,136
     
8,637,693
 
  Series K1516, Class X1,
               
    1.51%, 05/25/2035 (d)(g)
   
41,595,760
     
4,891,154
 
  Series K1517, Class X1,
               
    1.32%, 07/25/2035 (d)(g)
   
88,273,405
     
9,053,259
 
  Series K152, Class X1,
               
    0.95%, 01/25/2031 (d)(g)
   
28,908,266
     
1,369,601
 
  Series K1521, Class X1,
               
    0.98%, 08/25/2036 (d)(g)
   
95,467,207
     
7,781,064
 
  Series K155, Class X1,
               
    0.12%, 04/25/2033 (d)(g)
   
243,072,249
     
2,581,865
 
  Series K160, Class X1,
               
    0.21%, 08/25/2033 (d)(g)
   
254,095,600
     
5,090,500
 
  Series K728, Class X1,
               
    0.46%, 08/25/2024 (d)(g)
   
49,529,366
     
88,925
 
  Series K729, Class X1,
               
    0.34%, 10/25/2024 (d)(g)
   
39,109,542
     
55,023
 
  Series K734, Class X1,
               
    0.65%, 02/25/2026 (d)(g)
   
62,685,650
     
568,540
 
  Series K735, Class XAM,
               
    1.36%, 05/25/2026 (d)(g)
   
70,547,000
     
1,804,113
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.





PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 43

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Freddie Mac Multifamily Structured
           
Pass Through Certificates (Cont.)
           
  Series K735, Class X1,
           
    0.96%, 05/25/2026 (d)(g)
 
$
57,609,203
   
$
944,762
 
  Series K737, Class XAM,
               
    1.01%, 10/25/2026 (d)(g)
   
20,050,000
     
487,462
 
  Series K738, Class XAM,
               
    1.37%, 03/25/2027 (d)(g)
   
24,099,000
     
901,317
 
  Series K739, Class XAM,
               
    1.57%, 09/25/2027 (d)(g)
   
32,621,072
     
1,547,325
 
  Series K742, Class XAM,
               
    0.93%, 04/25/2028 (d)(g)
   
89,849,000
     
3,030,903
 
  Series K743, Class XAM,
               
    1.29%, 05/25/2028 (d)(g)
   
99,488,000
     
4,716,378
 
  Series K744, Class X1,
               
    0.85%, 07/25/2028 (d)(g)
   
106,469,246
     
3,310,118
 
  Series K744, Class XAM,
               
    1.23%, 07/25/2028 (d)(g)
   
122,906,000
     
5,715,031
 
  Series K747, Class XAM,
               
    0.40%, 12/25/2028 (d)(g)
   
160,000,000
     
2,679,136
 
  Series K748, Class XAM,
               
    0.55%, 01/25/2029 (d)(g)
   
175,000,000
     
4,206,475
 
  Series KG02, Class X1,
               
    1.02%, 08/25/2029 (d)(g)
   
31,848,456
     
1,315,335
 
  Series KG03, Class X1,
               
    1.38%, 06/25/2030 (d)(g)
   
15,448,670
     
1,021,257
 
  Series KG04, Class X1,
               
    0.85%, 11/25/2030 (d)(g)
   
110,855,384
     
4,864,013
 
  Series KW03, Class X1,
               
    0.81%, 06/25/2027 (d)(g)
   
13,839,082
     
262,509
 
  Series KW06, Class X1,
               
    0.12%, 06/25/2028 (d)(g)
   
530,651,022
     
2,836,224
 
  Series KW09, Class X1,
               
    0.80%, 05/25/2029 (d)(g)
   
62,389,284
     
1,913,242
 
TOTAL AGENCY COMMERCIAL
               
MORTGAGE BACKED SECURITIES
               
(Cost $441,000,777)
           
399,842,818
 
                 
NON-AGENCY RESIDENTIAL MORTGAGE BACKED SECURITIES – 5.6%
               
Adjustable Rate Mortgage Trust
               
  Series 2005-10, Class 4A1,
               
    5.58%, 01/25/2036 (d)
   
4,744,661
     
3,385,734
 
  Series 2005-3, Class 2A1,
               
    4.64%, 07/25/2035 (d)
   
270,070
     
246,949
 
  Series 2006-2, Class 1A1,
               
    4.18%, 05/25/2036 (d)
   
740,309
     
623,409
 
American Home Mortgage
               
  Investment Trust, Series 2006-2,
               
  Class 3A5, 6.75%, 06/25/2036 (a)
   
2,747,648
     
411,660
 
Banc of America
               
Alternative Loan Trust
               
  Series 2005-11, Class 4A5,
               
    5.75%, 12/25/2035
 

655,056
   

555,261
 
  Series 2005-11, Class 4A6,
               
    5.75%, 12/25/2035
   
106,791
     
90,522
 
  Series 2006-2, Class 4CB1,
               
    6.50%, 03/25/2036
   
2,344,298
     
1,886,939
 
  Series 2006-4, Class 5CB1,
               
    6.50%, 05/25/2046
   
2,146,064
     
1,827,486
 
  Series 2006-4, Class 3CB4,
               
    6.00%, 05/25/2046
   
818,827
     
698,309
 
  Series 2006-4, Class 4CB1,
               
    6.50%, 05/25/2046
   
455,623
     
396,463
 
  Series 2006-5, Class CB17,
               
    6.00%, 06/25/2046
   
239,022
     
204,532
 
  Series 2006-6, Class CB5,
               
    6.00%, 07/25/2046
   
946,401
     
785,643
 
  Series 2006-9, Class A2,
               
    5.84% (1 mo. Term SOFR +
               
    0.51%), 01/25/2037
   
793,393
     
590,518
 
  Series 2006-9, Class 1CB1,
               
    6.00%, 01/25/2037
   
161,879
     
137,900
 
Banc of America Funding Corp.
               
  Series 2003-3, Class 1A7,
               
    5.50%, 10/25/2033
   
142,945
     
135,796
 
  Series 2004-1, Class 2A1,
               
    6.00%, 02/25/2034
   
449,860
     
447,665
 
  Series 2004-1, Class 4A1,
               
    6.00%, 03/25/2034
   
2,754,543
     
2,767,374
 
  Series 2004-B, Class 4A2,
               
    5.40%, 11/20/2034 (d)
   
1,463,191
     
1,348,128
 
  Series 2005-3, Class 1A20,
               
    5.50%, 06/25/2035
   
55,981
     
48,251
 
  Series 2005-4, Class 2A1,
               
    5.50%, 08/25/2035
   
31,750
     
29,109
 
  Series 2005-5, Class 2A1,
               
    5.50%, 09/25/2035
   
1,389,138
     
1,321,123
 
  Series 2005-5, Class 1A11,
               
    5.50%, 09/25/2035
   
147,502
     
142,019
 
  Series 2005-7, Class 3A15,
               
    5.75%, 11/25/2035
   
2,924
     
2,852
 
  Series 2005-7, Class 3A9,
               
    6.00%, 11/25/2035
   
14,546
     
14,057
 
  Series 2005-7, Class 2A3,
               
    5.50%, 11/25/2035
   
2,563,156
     
2,319,055
 
  Series 2005-8, Class 4A28,
               
    5.75%, 01/25/2036
   
1,818,457
     
1,588,568
 
  Series 2006-5, Class 3A2,
               
    5.75%, 09/25/2036
   
247,467
     
215,042
 
  Series 2006-7, Class 1A9,
               
    6.00%, 09/25/2036
   
398,570
     
326,224
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.





PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 44

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Banc of America Funding Corp. (Cont.)
           
  Series 2006-F, Class 2A1,
           
    5.12%, 07/20/2036 (d)
 
$
5,153,875
   
$
4,415,327
 
  Series 2006-I, Class 2A2,
               
    5.42%, 12/20/2036 (d)
   
357,914
     
327,635
 
  Series 2006-I, Class 1A1,
               
    5.42%, 12/20/2036 (d)
   
502,475
     
477,655
 
  Series 2006-I, Class 2A1,
               
    5.42%, 12/20/2036 (d)
   
2,057,622
     
1,925,774
 
  Series 2006-J, Class 4A1,
               
    5.21%, 01/20/2047 (d)
   
111,164
     
93,825
 
  Series 2007-1, Class TA7,
               
    6.69%, 01/25/2037 (a)
   
660,152
     
582,316
 
  Series 2007-2, Class TA1A,
               
    5.50% (1 mo. Term SOFR +
               
    0.17%), 03/25/2037
   
308,597
     
275,081
 
  Series 2007-3, Class TA4,
               
    6.30% (1 mo. Term SOFR +
               
    0.97%), 04/25/2037
   
816,550
     
687,410
 
  Series 2007-4, Class 5A3,
               
    5.50%, 11/25/2034
   
176,591
     
149,271
 
  Series 2007-5, Class 1A1,
               
    5.50%, 07/25/2037
   
1,266,573
     
980,697
 
  Series 2007-6, Class A2,
               
    6.00% (1 mo. Term SOFR +
               
    0.67%), 07/25/2037
   
3,704,283
     
3,443,493
 
  Series 2007-6, Class A1,
               
    6.02% (1 mo. Term SOFR +
               
    0.69%), 07/25/2037
   
897,495
     
835,068
 
  Series 2010-R3, Class 3A6,
               
    6.00%, 09/26/2037 (d)(e)
   
6,128,956
     
5,792,979
 
  Series 2014-R3, Class 1A2,
               
    5.82%, 06/26/2035 (d)(e)
   
1,400,801
     
1,366,684
 
  Series 2014-R3, Class 2A2,
               
    5.17%, 06/26/2035 (d)(e)
   
2,576,171
     
2,414,093
 
Banc of America Mortgage Securities, Inc.
               
  Series 2005-A, Class 2A1,
               
    5.00%, 02/25/2035 (d)
   
1,117,514
     
1,053,760
 
  Series 2005-F, Class 2A1,
               
    5.18%, 07/25/2035 (d)
   
593,237
     
541,282
 
  Series 2006-B, Class 3A1,
               
    3.94%, 10/20/2046 (d)
   
361,831
     
299,608
 
  Series 2007-1, Class 1A26,
               
    6.00%, 03/25/2037
   
1,488,307
     
1,187,729
 
BCAP LLC Trust, Series 2007-AA2,
               
  Class 2A3, 7.50%, 04/25/2037 (d)
   
454,900
     
250,866
 
Bear Stearns Alt-A Trust,
               
  Series 2006-6, Class 2A1,
               
  4.20%, 11/25/2036 (d)
   
752,918
     
340,541
 
Bear Stearns Asset Backed
               
Securities Trust
               
  Series 2005-AC5, Class 1A1,
               
    5.50% (1 mo. Term SOFR +
               
    1.11%), 08/25/2035
   
412,703
     
254,628
 
  Series 2006-AC4, Class A1,
               
    5.69% (1 mo. Term SOFR +
               
    0.36%), 07/25/2036
 

2,778,696
   

2,056,853
 
  Series 2006-AC4, Class A2,
               
    12.70% (-4 x 1 mo. Term
               
    SOFR + 35.75%), 07/25/2036 (h)
   
642,385
     
732,838
 
Chase Mortgage Finance Corp.
               
  Series 2005-A1, Class 2A2,
               
    4.91%, 12/25/2035 (d)
   
712,873
     
653,106
 
  Series 2005-A1, Class 2A1,
               
    4.91%, 12/25/2035 (d)
   
683,784
     
626,456
 
  Series 2005-S2, Class A1,
               
    5.50%, 10/25/2035
   
590,851
     
561,512
 
  Series 2005-S3, Class A9,
               
    5.50%, 11/25/2035
   
4,927,346
     
3,524,909
 
  Series 2006-S3, Class 1A1,
               
    6.00%, 11/25/2036
   
6,682,874
     
2,706,077
 
  Series 2006-S4, Class A6,
               
    6.00%, 12/25/2036
   
3,958,334
     
1,697,827
 
  Series 2006-S4, Class A3,
               
    6.00%, 12/25/2036
   
1,226,693
     
526,159
 
  Series 2007-A2, Class 6A2,
               
    5.31%, 07/25/2037 (d)
   
787,857
     
686,877
 
  Series 2007-S1, Class A7,
               
    6.00%, 02/25/2037
   
4,005,467
     
1,564,491
 
  Series 2007-S3, Class 1A15,
               
    6.00%, 05/25/2037
   
2,048,892
     
909,183
 
  Series 2007-S3, Class 1A10,
               
    5.75%, 05/25/2037
   
672,430
     
287,545
 
Chaseflex Trust
               
  Series 2005-1, Class 1A3,
               
    5.50%, 02/25/2035
   
246,217
     
195,372
 
  Series 2006-2, Class A3,
               
    4.38%, 09/25/2036 (d)
   
2,019,437
     
1,751,789
 
Citicorp Mortgage Securities, Inc.
               
  Series 2006-1, Class 1A4,
               
    6.00%, 02/25/2036
   
73,755
     
63,518
 
  Series 2006-3, Class 2A1,
               
    5.50%, 06/25/2021
   
35,840
     
29,944
 
  Series 2006-3, Class 1A10,
               
    6.25%, 06/25/2036
   
1,374,837
     
1,215,143
 
  Series 2006-3, Class 1A4,
               
    6.00%, 06/25/2036
   
1,141,885
     
993,570
 
  Series 2006-3, Class 1A9,
               
    5.75%, 06/25/2036
   
325,561
     
278,805
 
  Series 2006-7, Class 1A1,
               
    6.00%, 12/25/2036
   
2,613,652
     
2,146,486
 
  Series 2007-3, Class 1A4,
               
    6.00%, 04/25/2037
   
421,601
     
384,740
 
  Series 2007-3, Class 3A1,
               
    5.50%, 04/25/2037
   
34,113
     
31,871
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.






PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 45

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Citigroup Financial Products, Inc.
           
  Series 2004-2, Class 1A2,
           
    9.25%, 08/25/2033 (e)
 
$
10,612
   
$
8,267
 
  Series 2004-HYB3, Class 2A,
               
    5.31%, 09/25/2034 (d)
   
417,951
     
382,235
 
  Series 2005-1, Class 2A2A,
               
    5.03%, 04/25/2035 (d)
   
282,592
     
264,861
 
  Series 2005-10, Class 1A1A,
               
    4.90%, 12/25/2035 (d)
   
939,955
     
604,859
 
  Series 2005-2, Class 1A4,
               
    3.90%, 05/25/2035 (d)
   
310,605
     
296,213
 
  Series 2005-5, Class 22A6,
               
    6.00%, 08/25/2035
   
1,632,932
     
1,466,409
 
  Series 2005-WF1, Class M1,
               
    5.83%, 11/25/2034 (a)
   
2,742,380
     
2,684,485
 
Citigroup Mortgage Loan Trust, Inc.
               
  Series 2005-7, Class 1A2,
               
    4.15%, 09/25/2035 (d)
   
368,528
     
316,765
 
  Series 2006-AR7, Class 2A2A,
               
    4.88%, 11/25/2036 (d)
   
1,131,699
     
950,627
 
  Series 2007-AR4, Class 1A1A,
               
    4.65%, 03/25/2037 (d)
   
917,267
     
754,609
 
Citimortgage Alternative Loan Trust
               
  Series 2006-A2, Class A5,
               
    6.00% (1 mo. Term SOFR +
               
    0.71%), 05/25/2036
   
349,515
     
289,098
 
  Series 2006-A4, Class 1A1,
               
    6.00%, 09/25/2036
   
912,845
     
803,263
 
  Series 2007-A1, Class 1A7
               
   , 6.00%, 01/25/2037
   
2,136,891
     
1,857,246
 
  Series 2007-A1, Class 1A5,
               
    6.00%, 01/25/2037
   
1,329,669
     
1,155,661
 
Countrywide Alternative Loan Trust
               
  Series 2004-13CB, Class A3,
               
    6.00%, 07/25/2034
   
6,129,219
     
6,069,694
 
  Series 2004-24CB, Class 1A1,
               
    6.00%, 11/25/2034
   
1,281,469
     
1,260,518
 
  Series 2004-27CB, Class A1,
               
    6.00%, 12/25/2034
   
887,311
     
783,631
 
  Series 2004-28CB, Class 4A1,
               
    5.00%, 01/25/2020
   
127,195
     
91,112
 
  Series 2004-28CB, Class 6A1,
               
    6.00%, 01/25/2035
   
266,713
     
242,352
 
  Series 2005-13CB, Class A1,
               
    5.50% (1 mo. Term SOFR +
               
    0.61%), 05/25/2035
   
837,302
     
685,056
 
  Series 2005-21CB, Class A3,
               
    5.25%, 06/25/2035
   
2,451,262
     
1,839,350
 
  Series 2005-21CB, Class A17,
               
    6.00%, 06/25/2035
   
1,458,842
     
1,133,277
 
  Series 2005-43, Class 5A1,
               
    5.06%, 09/25/2035 (d)
   
105,484
     
87,296
 
  Series 2005-54CB, Class 3A7,
               
    5.50%, 11/25/2035
 

523,492
   

292,976
 
  Series 2005-63, Class 3A1,
               
    4.71%, 11/25/2035 (d)
   
714,032
     
622,988
 
  Series 2005-65CB, Class 2A7,
               
    0.00%, 12/25/2035 (b)(i)
   
680,847
     
273,105
 
  Series 2005-65CB, Class 1A8,
               
    5.50%, 01/25/2036
   
96,074
     
63,795
 
  Series 2005-6CB, Class 1A5,
               
    5.75%, 04/25/2035
   
1,696,980
     
1,434,438
 
  Series 2005-6CB, Class 1A1,
               
    7.50%, 04/25/2035
   
198,988
     
182,013
 
  Series 2005-73CB, Class 2A2,
               
    5.75%, 01/25/2036
   
330,514
     
174,087
 
  Series 2005-75CB, Class A3,
               
    5.50%, 01/25/2036
   
1,450,224
     
999,880
 
  Series 2005-75CB, Class A6,
               
    5.50%, 01/25/2036
   
1,225,012
     
844,604
 
  Series 2005-80CB, Class 2A1,
               
    6.00%, 02/25/2036
   
4,007,504
     
3,730,965
 
  Series 2005-86CB, Class A8,
               
    5.50%, 02/25/2036
   
890,986
     
513,746
 
  Series 2005-86CB, Class A10,
               
    5.50%, 02/25/2036
   
123,469
     
71,192
 
  Series 2005-9CB, Class 3A1,
               
    6.00%, 05/25/2035
   
8,234,395
     
4,000,917
 
  Series 2005-9CB, Class 1A1,
               
    5.50% (1 mo. Term SOFR +
               
    0.61%), 05/25/2035
   
1,728,912
     
1,447,346
 
  Series 2005-J13, Class 2A7,
               
    5.50%, 11/25/2035
   
570,209
     
390,149
 
  Series 2005-J6, Class 1A6,
               
    5.50% (1 mo. Term SOFR +
               
    0.61%), 07/25/2035
   
2,540,879
     
1,990,187
 
  Series 2006-12CB, Class A3,
               
    5.75% (1 mo. Term SOFR +
               
    5.75%), 05/25/2036
   
537,754
     
268,902
 
  Series 2006-14CB, Class A4,
               
    6.00%, 06/25/2036
   
2,286,155
     
1,254,927
 
  Series 2006-16CB, Class A4,
               
    6.00%, 06/25/2036
   
955,795
     
520,671
 
  Series 2006-16CB, Class A6,
               
    6.00%, 06/25/2036
   
829,497
     
451,846
 
  Series 2006-16CB, Class A2,
               
    6.00%, 06/25/2036
   
364,653
     
198,645
 
  Series 2006-23CB, Class 2A1,
               
    6.50%, 08/25/2036
   
5,672,181
     
1,778,574
 
  Series 2006-23CB, Class 1A6,
               
    6.00%, 08/25/2036
   
1,314,683
     
1,176,428
 
  Series 2006-24CB, Class A12,
               
    5.75%, 08/25/2036
   
2,378,052
     
1,293,321
 

 Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.





PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 46

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Countrywide Alternative Loan Trust (Cont.)
           
  Series 2006-24CB, Class A11,
           
    5.75%, 08/25/2036
 
$
3,833,476
   
$
2,084,864
 
  Series 2006-26CB, Class A17,
               
    6.25%, 09/25/2036
   
5,447,613
     
2,779,389
 
  Series 2006-30T1, Class 2A6,
               
    6.50%, 11/25/2036
   
8,388,155
     
2,700,522
 
  Series 2006-31CB, Class A8,
               
    5.75%, 11/25/2036
   
1,839,945
     
1,025,317
 
  Series 2006-31CB, Class A7,
               
    6.00%, 11/25/2036
   
203,957
     
117,469
 
  Series 2006-39CB, Class 1A20,
               
    6.00%, 01/25/2037
   
2,260,821
     
1,784,298
 
  Series 2006-41CB, Class 1A7,
               
    6.00%, 01/25/2037
   
505,048
     
260,918
 
  Series 2006-6CB, Class 1A8,
               
    5.50%, 05/25/2036
   
88,054
     
71,197
 
  Series 2006-J3, Class 4A2,
               
    5.75%, 05/25/2026
   
274,726
     
258,339
 
  Series 2006-J6, Class A5,
               
    6.00%, 09/25/2036
   
2,671,469
     
1,353,290
 
  Series 2006-J6, Class A4,
               
    6.00%, 09/25/2036
   
1,983,230
     
1,004,648
 
  Series 2007-13, Class A1,
               
    6.00%, 06/25/2047
   
2,400,451
     
1,237,317
 
  Series 2007-23CB, Class A1,
               
    6.00%, 09/25/2037
   
4,218,608
     
2,108,527
 
  Series 2007-2CB, Class 2A14,
               
    5.75%, 03/25/2037
   
5,506,984
     
2,826,648
 
  Series 2007-4CB, Class 1A6,
               
    5.75%, 04/25/2037
   
1,382,840
     
1,126,549
 
  Series 2007-4CB, Class 1A7,
               
    5.75%, 04/25/2037
   
1,040,175
     
847,392
 
  Series 2007-8CB, Class A1,
               
    5.50%, 05/25/2037
   
5,597,033
     
2,974,510
 
  Series 2007-8CB, Class A9,
               
    6.00%, 05/25/2037
   
756,261
     
424,082
 
  Series 2007-J2, Class 2A2,
               
    6.00%, 07/25/2037
   
2,713,374
     
2,479,903
 
  Series 2008-2R, Class 3A1,
               
    6.00%, 08/25/2037 (d)
   
6,975,204
     
3,401,042
 
Countrywide Home Loan
               
Mortgage Pass Through Trust
               
  Series 2003-42, Class 2A4,
               
    5.15%, 10/25/2033 (d)
   
681,787
     
619,996
 
  Series 2003-44, Class A3,
               
    5.00%, 10/25/2033
   
215,000
     
194,219
 
  Series 2004-14, Class 3A1,
               
    5.73%, 08/25/2034 (d)
   
1,899,608
     
1,744,160
 
  Series 2004-21, Class A1,
               
    4.00%, 11/25/2034
   
468,218
     
403,899
 
  Series 2004-24, Class A4,
               
    5.50%, 12/25/2034
   
2,301,271
     
2,110,486
 
  Series 2004-4, Class A10,
               
    5.50%, 05/25/2034
 

424,005
   
397,709
 
  Series 2004-HYB5, Class 3A1,
               
    5.36%, 04/20/2035 (d)
   
673,336
     
616,523
 
  Series 2004-J9, Class 2A5,
               
    5.50%, 01/25/2035
   
427,752
     
410,385
 
  Series 2005-13, Class A6,
               
    5.50%, 06/25/2035
   
1,441,409
     
802,605
 
  Series 2005-20, Class A7,
               
    5.25%, 12/25/2027
   
17,991
     
10,907
 
  Series 2005-27, Class 1A4,
               
    5.50%, 12/25/2035
   
721,225
     
525,198
 
  Series 2005-27, Class 2A1,
               
    5.50%, 12/25/2035
   
508,211
     
213,859
 
  Series 2005-31, Class 4A2,
               
    4.73%, 01/25/2036 (d)
   
655,720
     
595,245
 
  Series 2005-HY10, Class 4A1,
               
    4.06%, 02/20/2036 (d)
   
1,316,747
     
1,156,041
 
  Series 2005-HY10, Class 1A1,
               
    4.95%, 02/20/2036 (d)
   
47,570
     
39,051
 
  Series 2005-HYB2, Class 2A,
               
    4.60%, 05/20/2035 (d)
   
639,562
     
599,712
 
  Series 2005-J3, Class 2A5,
               
    5.50%, 09/25/2035
   
45,524
     
41,226
 
  Series 2006-16, Class 2A1,
               
    6.50%, 11/25/2036
   
495,514
     
166,709
 
  Series 2006-17, Class A8,
               
    6.00% (1 mo. Term SOFR +
               
    0.66%), 12/25/2036
   
2,826,704
     
1,157,261
 
  Series 2006-17, Class A6,
               
    6.00%, 12/25/2036
   
2,090,025
     
847,493
 
  Series 2006-21, Class A11,
               
    5.75%, 02/25/2037
   
1,139,558
     
508,252
 
  Series 2006-21, Class A13,
               
    6.00%, 02/25/2037
   
2,631,394
     
1,224,583
 
  Series 2006-21, Class A5,
               
    6.00%, 02/25/2037
   
600,806
     
279,600
 
  Series 2006-6, Class A1,
               
    6.00%, 04/25/2036
   
575,333
     
285,246
 
  Series 2006-9, Class A8,
               
    6.00%, 05/25/2036
   
1,105,124
     
495,598
 
  Series 2007-1, Class A4,
               
    6.00%, 03/25/2037
   
1,954,459
     
919,965
 
  Series 2007-10, Class A22,
               
    6.00%, 07/25/2037
   
1,769,506
     
810,031
 
  Series 2007-5, Class A51,
               
    5.75%, 05/25/2037
   
5,290,722
     
2,599,461
 
  Series 2007-5, Class A29,
               
    5.50%, 05/25/2037
   
2,714,416
     
1,281,453
 
  Series 2007-5, Class A2,
               
    5.75%, 05/25/2037
   
1,558,885
     
765,918
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.





PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 47

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Countrywide Home Loan
           
Mortgage Pass Through Trust (Cont.)
           
  Series 2007-5, Class A4,
           
    5.75%, 05/25/2037
 
$
807,862
   
$
396,922
 
  Series 2007-HY5, Class 1A1,
               
    4.75%, 09/25/2047 (d)
   
5,204,625
     
3,885,533
 
  Series 2007-J2, Class 2A6,
               
    6.00%, 07/25/2037
   
188,415
     
67,318
 
  Series 2007-J2, Class 2A3,
               
    6.00%, 07/25/2037
   
2,917,364
     
1,042,334
 
Credit Suisse First Boston
               
Mortgage Securities Corp.
               
  Series 2004-8, Class 3A4,
               
    5.50%, 12/25/2034
   
131,997
     
127,824
 
  Series 2005-10, Class 5A4,
               
    5.50%, 11/25/2035
   
1,475,497
     
1,071,625
 
  Series 2005-10, Class 5A3,
               
    5.50%, 11/25/2035
   
374,352
     
271,952
 
  Series 2005-10, Class 10A3,
               
    6.00%, 11/25/2035
   
811,139
     
204,218
 
  Series 2005-3, Class 3A17,
               
    5.50%, 07/25/2035
   
232,245
     
229,407
 
  Series 2005-9, Class 2A1,
               
    5.50%, 10/25/2035
   
547,101
     
245,737
 
Credit Suisse Management LLC,
               
  Series 2005-8, Class 7A1,
               
  7.00%, 09/25/2035
   
2,686,459
     
1,237,930
 
Credit Suisse Mortgage Capital Certificates
               
  Series 2006-1, Class 1A3,
               
    5.50%, 02/25/2036
   
266,904
     
228,529
 
  Series 2006-1, Class 4A14,
               
    5.50%, 02/25/2036
   
31,259
     
27,360
 
  Series 2006-2, Class 5A6,
               
    6.00%, 03/25/2036
   
4,133,863
     
1,745,188
 
  Series 2006-2, Class 4A2,
               
    5.75%, 03/25/2036
   
517,237
     
329,713
 
  Series 2006-4, Class 8A1,
               
    7.00%, 05/25/2036
   
505,758
     
72,910
 
  Series 2006-7, Class 7A5,
               
    6.00%, 08/25/2036
   
688,244
     
519,564
 
  Series 2006-CF1, Class B3,
               
    5.50%, 11/25/2035 (a)(e)
   
2,565,000
     
2,429,221
 
  Series 2007-2, Class 3A8,
               
    5.50%, 03/25/2037
   
1,293,906
     
641,549
 
  Series 2007-3, Class 4A15,
               
    5.50%, 04/25/2037
   
373,697
     
296,630
 
  Series 2007-3, Class 4A13,
               
    5.50%, 04/25/2037
   
267,115
     
212,028
 
  Series 2011-12R, Class 3A5,
               
    4.61%, 07/27/2036 (d)(e)
   
937,659
     
924,486
 
  Series 2013-2R, Class 5A2,
               
    3.62%, 05/27/2037 (d)(e)
   
1,842,552
     
1,232,831
 
Deutsche ALT-A Securities, Inc.
               
  Series 2005-3, Class 3A1,
               
    5.94% (1 mo. Term SOFR +
               
    0.61%), 05/25/2035
 

788,108
   

675,593
 
  Series 2005-6, Class 1A4,
               
    5.50%, 12/25/2035
   
1,349,592
     
1,073,341
 
  Series 2006-AB4, Class A1B1,
               
    5.54% (1 mo. Term SOFR +
               
    0.21%), 10/25/2036
   
397,747
     
316,358
 
DFC HEL Trust, Series 2001-1,
               
  Class M1, 7.08% (1 mo. Term
               
  SOFR + 1.76%), 08/15/2031
   
1,274,946
     
1,232,906
 
Federal National Mortgage
               
  Association, Series 2016-C01,
               
  Class 2M2, 12.39% (30 day avg
               
  SOFR US + 7.06%), 08/25/2028
   
1,041,873
     
1,086,692
 
First Horizon Alternative
               
Mortgage Securities
               
  Series 2004-AA6, Class A1,
               
    6.67%, 01/25/2035 (d)
   
229,632
     
221,561
 
  Series 2004-AA7, Class 2A1,
               
    6.87%, 02/25/2035 (d)
   
657,045
     
609,933
 
  Series 2005-AA5, Class 2A1,
               
    6.45%, 07/25/2035 (d)
   
1,054,929
     
951,332
 
  Series 2005-AA7, Class 2A1,
               
    6.09%, 09/25/2035 (d)
   
1,140,017
     
976,536
 
  Series 2005-FA11, Class 2A1,
               
    5.25%, 02/25/2021
   
698
     
1
 
  Series 2005-FA8, Class 1A14,
               
    5.50%, 11/25/2035
   
1,146,249
     
574,502
 
  Series 2006-FA1, Class 1A3,
               
    5.75%, 04/25/2036
   
1,857,139
     
825,857
 
  Series 2006-FA2, Class 1A3,
               
    6.00%, 05/25/2036
   
2,154,877
     
901,574
 
  Series 2006-FA2, Class 1A5,
               
    6.00%, 05/25/2036
   
1,367,812
     
572,276
 
  Series 2006-FA6, Class 3A1,
               
    5.75%, 11/25/2021
   
619
     
337
 
  Series 2006-FA6, Class 1A5,
               
    6.25%, 11/25/2036
   
6,688,142
     
3,064,972
 
  Series 2006-FA6, Class 2A5,
               
    6.25%, 11/25/2036
   
1,159,825
     
352,536
 
  Series 2006-FA6, Class 2A8,
               
    6.00%, 11/25/2036
   
915,005
     
267,011
 
  Series 2007-AA1, Class 1A2,
               
    5.15%, 05/25/2037 (d)
   
2,033,577
     
1,335,546
 
  Series 2007-FA4, Class 1A6,
               
    6.25%, 08/25/2037 (d)
   
1,784,028
     
727,160
 
First Horizon Asset Securities, Inc.
               
  Series 2005-AR3, Class 4A1,
               
    5.86%, 08/25/2035 (d)
   
1,058,267
     
1,003,355
 
  Series 2006-4, Class 1A6,
               
    5.75%, 02/25/2037
   
871,463
     
216,560
 

 Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 48

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
First Horizon Asset Securities, Inc. (Cont.)
           
  Series 2006-4, Class 1A15,
           
    6.00%, 02/25/2037
 
$
527,702
   
$
136,731
 
  Series 2006-AR4, Class 1A2,
               
    5.15%, 01/25/2037 (d)
   
2,016,165
     
1,085,030
 
  Series 2007-AR1, Class 1A1,
               
    4.73%, 05/25/2037 (d)
   
600,413
     
259,326
 
  Series 2007-AR2, Class 1A2,
               
    5.81%, 08/25/2037 (d)
   
4,125,742
     
1,409,313
 
GSAA Trust
               
  Series 2005-1, Class M2,
               
    6.26%, 11/25/2034 (a)
   
2,050,000
     
1,957,322
 
  Series 2006-15, Class AF5,
               
    6.69%, 09/25/2036 (a)
   
2,021,774
     
515,872
 
  Series 2006-18, Class AF6,
               
    6.18%, 11/25/2036 (a)
   
1,652,460
     
378,570
 
  Series 2007-7, Class 1A2,
               
    5.80% (1 mo. Term SOFR +
               
    0.47%), 07/25/2037
   
588,095
     
533,556
 
GSR Mortgage Loan Trust
               
  Series 2003-5F, Class 1A1,
               
    3.00%, 08/25/2032
   
767,537
     
693,644
 
  Series 2004-15F, Class 2A1,
               
    6.00%, 12/25/2034
   
815,651
     
669,548
 
  Series 2005-1F, Class 3A3,
               
    6.00%, 01/25/2035
   
10,621
     
9,310
 
  Series 2005-4F, Class 3A1,
               
    6.50%, 04/25/2020
   
46,548
     
46,377
 
  Series 2005-7F, Class 3A9,
               
    6.00%, 09/25/2035
   
16,103
     
15,373
 
  Series 2005-AR4, Class 5A1,
               
    4.88%, 07/25/2035 (d)
   
155,337
     
143,776
 
  Series 2005-AR5, Class 4A1,
               
    4.69%, 10/25/2035 (d)
   
521,046
     
465,182
 
  Series 2005-AR7, Class 6A1,
               
    4.44%, 11/25/2035 (d)
   
345,757
     
298,058
 
  Series 2006-2F, Class 2A1,
               
    5.75%, 02/25/2036
   
411,101
     
360,689
 
Harborview Mortgage Loan Trust,
               
  Series 2006-6, Class 3A1A,
               
  4.72%, 08/19/2036 (d)
   
1,767,666
     
1,364,227
 
Impac CMB Trust, Series 2005-5,
               
  Class A3W, 5.94% (1 mo. Term
               
  SOFR + 0.36%), 08/25/2035
   
354,954
     
324,945
 
Impac Funding Corp.
               
  Series 2002-2, Class A3,
               
    6.50%, 04/25/2033
   
785,406
     
756,586
 
  Series 2004-2, Class A5,
               
    4.81%, 08/25/2034 (a)
   
81,793
     
79,901
 
Indymac IMSC Mortgage Loan Trust
               
  Series 2004-AR11, Class 1A,
               
    3.75%, 12/25/2034 (d)
   
869,827
     
765,258
 
Indymac IMSC Mortgage Loan Trust (Cont.)
               
  Series 2004-AR4, Class 3A,
               
    5.00%, 08/25/2034 (d)
 

1,931,147
   

1,772,008
 
  Series 2005-AR23, Class 6A1,
               
    3.79%, 11/25/2035 (d)
   
949,985
     
872,971
 
  Series 2005-AR23, Class 3A1,
               
    4.01%, 11/25/2035 (d)
   
565,091
     
505,479
 
  Series 2005-AR25, Class 1A21,
               
    3.86%, 12/25/2035 (d)
   
1,771,806
     
997,032
 
  Series 2005-AR3, Class 4A1,
               
    3.71%, 04/25/2035 (d)
   
774,773
     
703,390
 
  Series 2005-AR35, Class 1A1,
               
    3.78%, 02/25/2036 (d)
   
1,122,820
     
865,419
 
  Series 2005-AR9, Class 1A1,
               
    4.38%, 07/25/2035 (d)
   
2,823,238
     
1,566,882
 
  Series 2006-AR25, Class 4A1,
               
    3.41%, 09/25/2036 (d)
   
3,979,617
     
3,529,768
 
  Series 2006-AR25, Class 3A1,
               
    3.97%, 09/25/2036 (d)
   
2,038,868
     
1,346,589
 
  Series 2006-AR3, Class 2A1C,
               
    3.80%, 03/25/2036 (d)
   
4,811,913
     
3,430,148
 
  Series 2006-AR31, Class A5,
               
    3.83%, 11/25/2036 (d)
   
3,693,318
     
3,320,331
 
  Series 2006-AR9, Class 3A1,
               
    3.39%, 06/25/2036 (d)
   
1,504,716
     
1,232,875
 
  Series 2007-AR1, Class 2A1,
               
    4.00%, 06/25/2037 (d)
   
352,021
     
206,106
 
Jefferies, LLC, Series 2009-R1,
               
  Class 1A2, 4.44%, 11/26/2035 (d)(e)
   
475,728
     
412,288
 
JP Morgan Mortgage Trust
               
  Series 2005-S3, Class 1A5,
               
    5.75%, 01/25/2036
   
46,817
     
21,390
 
  Series 2007-A3, Class 2A3,
               
    4.53%, 05/25/2037 (d)
   
2,256,895
     
1,844,001
 
Lehman Mortgage Trust
               
  Series 2005-2, Class 3A7,
               
    5.50%, 12/25/2035
   
1,328,335
     
690,424
 
  Series 2005-2, Class 1A3,
               
    5.75%, 12/25/2035
   
512,453
     
259,953
 
  Series 2005-3, Class 1A6,
               
    5.50% (1 mo. Term SOFR +
               
    0.61%), 01/25/2036
   
805,871
     
321,434
 
  Series 2005-3, Class 1A2,
               
    0.00% (-1 x 1 mo. Term SOFR +
               
    4.64%), 01/25/2036 (g)(h)
   
805,871
     
35,933
 
  Series 2006-1, Class 1A4,
               
    5.50%, 02/25/2036
   
360,399
     
176,883
 
  Series 2006-3, Class 1A4,
               
    6.00%, 07/25/2036
   
6,925,442
     
3,497,069
 
  Series 2006-3, Class 1A1,
               
    6.00%, 07/25/2036
   
3,132,512
     
1,577,454
 
  Series 2007-4, Class 1A3,
               
    5.75%, 05/25/2037
   
2,146,297
     
986,168
 

 Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 49

PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Lehman Mortgage Trust (Cont.)
           
  Series 2007-4, Class 1A2,
           
    5.75%, 05/25/2037
 
$
982,287
   
$
451,335
 
  Series 2007-5, Class 9A2,
               
    6.00%, 06/25/2037
   
6,237,215
     
1,526,247
 
  Series 2007-5, Class 1A3,
               
    5.75%, 06/25/2037
   
1,285,398
     
1,145,187
 
  Series 2007-5, Class 9A1,
               
    6.00%, 06/25/2037
   
2,283,607
     
558,799
 
MASTR Adjustable Rate
               
Mortgages Trust
               
  Series 2004-4, Class 2A2,
               
    5.58%, 05/25/2034 (d)
   
76,485
     
70,687
 
  Series 2005-1, Class 7A1,
               
    4.04%, 02/25/2035 (d)
   
87,363
     
79,122
 
MASTR Alternative Loans Trust
               
  Series 2003-5, Class 30B1,
               
    5.87%, 08/25/2033 (d)
   
519,519
     
300,934
 
  Series 2003-7, Class 5A1,
               
    6.25%, 11/25/2033
   
32,423
     
32,614
 
  Series 2004-11, Class 7A1,
               
    6.50%, 10/25/2034
   
253,917
     
247,858
 
  Series 2004-6, Class 8A1,
               
    5.50%, 07/25/2034
   
155,047
     
147,254
 
  Series 2004-6, Class 10A1,
               
    6.00%, 07/25/2034
   
91,473
     
87,988
 
  Series 2005-2, Class 4A5,
               
    5.50%, 03/25/2035
   
2,000,000
     
1,918,741
 
MASTR Asset Backed Securities
               
  Trust, Series 2002-NC1, Class M3,
               
  8.59% (1 mo. Term SOFR +
               
  3.26%), 10/25/2032
   
209,012
     
193,559
 
MASTR Asset Securitization Trust,
               
  Series 2006-1, Class 2A1,
               
  5.89% (1 mo. Term SOFR +
               
  0.56%), 05/25/2036
   
555,600
     
111,863
 
Merrill Lynch Mortgage Investors, Inc.
               
  Series 2005-A5, Class A8,
               
    4.40%, 06/25/2035 (d)
   
233,477
     
217,248
 
  Series 2005-A7, Class 2A1,
               
    4.84%, 09/25/2035 (d)
   
3,513,119
     
2,762,051
 
  Series 2006-F1, Class 1A1,
               
    6.00%, 04/25/2036
   
1,792,854
     
784,713
 
MLCC Mortgage Investors, Inc.,
               
  Series 2004-D, Class A2,
               
  6.40% (6 mo. Term SOFR +
               
  1.15%), 09/25/2029
   
474,529
     
447,868
 
Morgan Stanley Mortgage Loan Trust
               
  Series 2005-7, Class 6A3,
               
    5.50%, 11/25/2035
   
674,603
     
630,681
 
  Series 2005-7, Class 7A3,
               
    5.50%, 11/25/2035
   
290,729
     
244,435
 
  Series 2006-11, Class 2A1,
               
    6.00%, 08/25/2036
 

1,909,938
   

804,337
 
  Series 2006-2, Class 7A1,
               
   5.47%, 02/25/2036 (d)
   
1,243,438
     
700,208
 
Morgan Stanley Reremic Trust,
               
  Series 2012-R3, Class 1B,
               
  4.02%, 11/26/2036 (d)(e)
   
1,804,781
     
1,516,621
 
Nomura Asset Acceptance Corp.
               
  Series 2005-AR3, Class 3A1,
               
    5.69%, 07/25/2035 (d)
   
419,261
     
407,776
 
  Series 2005-WF1, Class 2A5,
               
    5.66%, 03/25/2035 (a)
   
15,244
     
14,931
 
Nomura Resecuritization Trust
               
  Series 2011-4RA, Class 1A10,
               
    2.77%, 12/26/2036 (d)(e)
   
5,236,886
     
4,610,062
 
  Series 2014-5R, Class 1A9,
               
    5.50%, 06/26/2035 (d)(e)
   
3,143,398
     
2,449,199
 
Popular ABS, Inc.
               
  Series 2003-1, Class M1,
               
    4.86%, 08/25/2033 (d)
   
436,516
     
429,333
 
  Series 2003-3, Class M1,
               
    4.87%, 12/25/2033 (d)
   
1,057,109
     
1,036,723
 
RAAC Series, Series 2005-SP1,
               
  Class 3A7, 6.00%, 09/25/2034
   
2,629
     
1,933
 
RALI Trust
               
  Series 2006-QS1, Class A3,
               
    5.75%, 01/25/2036
   
165,793
     
131,865
 
  Series 2006-QS13, Class 1A6,
               
    6.00%, 09/25/2036
   
1,820,481
     
1,354,286
 
  Series 2006-QS17, Class A7,
               
    6.00%, 12/25/2036
   
286,785
     
230,021
 
  Series 2006-QS9, Class 1A5,
               
    6.00% (1 mo. Term SOFR +
               
    0.81%), 07/25/2036
   
1,200,628
     
855,282
 
  Series 2007-QS10, Class A1,
               
    6.50%, 09/25/2037
   
257,109
     
202,298
 
  Series 2007-QS6, Class A29,
               
    6.00%, 04/25/2037
   
2,379,027
     
1,867,484
 
RBSSP Resecuritization Trust,
               
  Series 2009-7, Class 3A2,
               
  6.00%, 03/26/2036 (d)(e)
   
3,719,526
     
2,004,992
 
Renaissance Home Equity Loan
               
  Trust, Series 2005-1, Class AF4,
               
  5.52%, 05/25/2035 (a)
   
5,699
     
5,681
 
Resecuritization Pass-Through
               
  Trust, Series 2005-8R, Class A3,
               
  6.00%, 10/25/2034
   
1,482,391
     
1,406,901
 
Residential Asset Securitization Trust
               
  Series 2003-A9, Class A2,
               
    4.00%, 08/25/2033
   
820,518
     
698,795
 
  Series 2004-R2, Class A3,
               
    5.50%, 08/25/2034
   
1,488,726
     
1,418,965
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 50


PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Residential Asset Securitization Trust (Cont.)
           
  Series 2005-A11, Class 2A1,
           
    4.85%, 10/25/2035
 
$
3,388,452
   
$
1,244,552
 
  Series 2005-A11, Class 2A5,
               
    6.00%, 10/25/2035
   
385,721
     
172,022
 
  Series 2005-A11, Class 1A4,
               
    5.50%, 10/25/2035
   
231,242
     
153,345
 
  Series 2005-A15, Class 5A1,
               
    5.75%, 02/25/2036
   
3,447,694
     
1,249,778
 
  Series 2005-A5, Class A7,
               
    5.50%, 05/25/2035
   
1,011,889
     
707,709
 
  Series 2006-A15, Class A10,
               
    6.04% (1 mo. Term SOFR +
               
    0.71%), 01/25/2037
   
16,419,567
     
4,355,996
 
  Series 2006-A15, Class A11,
               
    0.21% (-1 x 1 mo. Term SOFR +
               
    5.54%), 01/25/2037 (g)(h)
   
16,419,567
     
1,235,686
 
  Series 2006-A5CB, Class A6,
               
    6.00%, 06/25/2036
   
2,283,438
     
939,139
 
RFMSI Trust
               
  Series 2005-SA4, Class 1A21,
               
    5.12%, 09/25/2035 (d)
   
1,622,182
     
1,048,788
 
  Series 2005-SA4, Class 2A1,
               
    5.17%, 09/25/2035 (d)
   
1,196,874
     
741,982
 
  Series 2006-S3, Class A1,
               
    5.50%, 03/25/2036
   
1,706,074
     
1,361,951
 
  Series 2006-S4, Class A1,
               
    6.00%, 04/25/2036
   
1,725,868
     
1,339,615
 
  Series 2006-S5, Class A15,
               
    6.00%, 06/25/2036
   
1,340,810
     
1,093,790
 
  Series 2006-S5, Class A14,
               
    6.00%, 06/25/2036
   
319,944
     
261,000
 
  Series 2006-S5, Class A18,
               
    6.00%, 06/25/2036
   
166,639
     
134,194
 
  Series 2006-S5, Class A12,
               
    6.00%, 06/25/2036
   
155,422
     
126,788
 
  Series 2006-S6, Class A15,
               
    6.00%, 07/25/2036
   
476,986
     
394,371
 
  Series 2006-S6, Class A10,
               
    6.00%, 07/25/2036
   
92,651
     
76,603
 
  Series 2006-S7, Class A6,
               
    6.25%, 08/25/2036
   
1,010,446
     
803,400
 
  Series 2006-S7, Class A9,
               
    6.50%, 08/25/2036
   
604,106
     
487,856
 
  Series 2006-S9, Class A3,
               
    5.75%, 09/25/2036
   
1,332,843
     
987,865
 
  Series 2007-S1, Class A10,
               
    6.00%, 01/25/2037
   
422,153
     
314,444
 
  Series 2007-S7, Class A7,
               
    6.00%, 07/25/2037
   
1,391,516
     
1,055,677
 
Specialty Underwriting & Residential
               
  Finance, Series 2006-BC2,
               
  Class A2D, 3.72%, 02/25/2037 (a)
   
755,872
     
266,920
 
Structured Adjustable Rate
               
Mortgage Loan Trust
               
  Series 2004-18, Class 3A2,
               
    5.92%, 12/25/2034 (d)
 

422,591
   

382,207
 
  Series 2005-12, Class 2A1,
               
    5.41%, 06/25/2035 (d)
   
552,668
     
407,308
 
  Series 2005-21, Class 7A1,
               
    5.16%, 11/25/2035 (d)
   
3,090,751
     
1,968,326
 
  Series 2006-1, Class 6A1,
               
    4.90%, 02/25/2036 (d)
   
996,781
     
789,653
 
  Series 2006-1, Class 7A4,
               
    3.96%, 02/25/2036 (d)
   
91,649
     
79,491
 
  Series 2006-12, Class 2A1,
               
    4.56%, 01/25/2037 (d)
   
531,359
     
372,585
 
  Series 2006-4, Class 6A,
               
    4.14%, 05/25/2036 (d)
   
550,519
     
306,345
 
  Series 2007-5, Class 1A1,
               
    5.88% (1 mo. Term SOFR +
               
    0.55%), 06/25/2037
   
1,255,870
     
1,001,316
 
  Series 2007-6, Class 2A1,
               
    5.82% (1 mo. Term SOFR +
               
    0.49%), 07/25/2037
   
4,117,393
     
3,543,132
 
  Series 2007-9, Class 1A1,
               
    7.07% (6 mo. Term SOFR +
               
    1.93%), 10/25/2037
   
838,252
     
729,066
 
Suntrust Adjustable Rate
               
Mortgage Loan Trust
               
  Series 2007-1, Class 2A1,
               
    5.61%, 02/25/2037 (d)
   
3,118,253
     
2,590,876
 
  Series 2007-2, Class 1A1,
               
    4.50%, 04/25/2037 (d)
   
409,530
     
161,899
 
Suntrust Alternative Loan Trust
               
  Series 2005-1F, Class 2A8,
               
    6.00%, 12/25/2035
   
1,629,051
     
1,470,094
 
  Series 2005-1F, Class 4A1,
               
    6.50%, 12/25/2035
   
1,447,234
     
1,286,240
 
  Series 2005-1F, Class 2A3,
               
    5.75%, 12/25/2035
   
705,456
     
631,894
 
TBW Mortgage Backed Pass
               
  Through Certificates,
               
  Series 2006-2, Class 3A1,
               
  5.50%, 07/25/2036
   
80,750
     
7,053
 
Vericrest Opportunity Loan
               
  Transferee, Series 2021-NPL4,
               
  Class A2, 4.95%, 03/27/2051 (a)(e)
   
1,656,804
     
1,444,982
 
WaMu Mortgage Pass – Through
               
  Certificates, Series 2005-AR14,
               
  Class 1A2, 4.89%, 12/25/2035 (d)
   
3,968,657
     
3,472,990
 
WaMu Mortgage Pass
               
Through Certificates
               
  Series 2003-AR10, Class A6,
               
    5.86%, 10/25/2033 (d)
   
5,757,795
     
5,374,125
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 51


PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
WaMu Mortgage Pass
           
Through Certificates (Cont.)
           
  Series 2003-S4, Class CB1,
           
    5.63%, 06/25/2033 (d)
 
$
2,153,457
   
$
2,048,990
 
  Series 2004-S2, Class 3A2,
               
    6.00%, 06/25/2034
   
42,519
     
41,056
 
  Series 2006-AR10, Class 2A1,
               
    4.18%, 09/25/2036 (d)
   
860,988
     
723,625
 
  Series 2006-AR16, Class 1A1,
               
    4.28%, 12/25/2036 (d)
   
1,014,691
     
872,595
 
  Series 2006-AR8, Class 1A1,
               
    4.40%, 08/25/2046 (d)
   
1,408,568
     
1,221,780
 
  Series 2007-HY2, Class 1A1,
               
    3.96%, 12/25/2036 (d)
   
12,525,204
     
10,878,049
 
  Series 2007-HY3, Class 4A1,
               
    4.47%, 03/25/2037 (d)
   
2,204,055
     
1,956,515
 
  Series 2007-HY5, Class 3A1,
               
    3.85%, 05/25/2037 (d)
   
968,048
     
815,608
 
  Series 2007-HY7, Class 1A1,
               
    3.88%, 07/25/2037 (d)
   
199,216
     
146,390
 
Washington Mutual Alternative
               
Mortgage Pass-Through Certificates
               
  Series 2005-1, Class 5A1,
               
    6.00%, 03/25/2035
   
851,216
     
762,482
 
  Series 2005-4, Class 5A7,
               
    5.50%, 06/25/2035
   
2,547,203
     
2,072,327
 
  Series 2005-5, Class CB4,
               
    5.50%, 07/25/2035
   
911,732
     
812,139
 
  Series 2005-6, Class 2A1,
               
    5.50%, 08/25/2035
   
2,475,275
     
2,072,291
 
  Series 2005-6, Class 3CB,
               
    5.50%, 08/25/2035
   
1,025,478
     
878,598
 
  Series 2005-6, Class 2A8,
               
    5.50%, 08/25/2035
   
541,128
     
453,030
 
  Series 2005-6, Class 1CB,
               
    6.50%, 08/25/2035
   
230,995
     
203,247
 
  Series 2005-9, Class 4A4,
               
    5.50%, 11/25/2035
   
359,431
     
294,522
 
  Series 2006-8, Class A6,
               
    4.15%, 10/25/2036 (a)
   
2,413,681
     
830,232
 
  Series 2007-HY1, Class A2A,
               
    5.76% (1 mo. Term SOFR +
               
    0.43%), 02/25/2037
   
1,634,471
     
1,217,421
 
  Series 2007-HY2, Class 1A1,
               
    3.95%, 04/25/2037 (d)
   
1,135,803
     
590,763
 
  Series 2007-OC1, Class A1,
               
    5.92% (1 mo. Term SOFR +
               
    0.59%), 01/25/2047
   
3,345,142
     
3,035,709
 
  Series 2007-OC2, Class A3,
               
    6.06% (1 mo. Term SOFR +
               
    0.73%), 06/25/2037
   
3,654,779
     
3,395,339
 
Wells Fargo Alternative Loan Trust,
               
  Series 2007-PA1, Class A4,
               
  6.00%, 03/25/2037
 

749,105
   

643,798
 
Wells Fargo Mortgage Backed
               
Securities Trust
               
  Series 2004-J, Class A1,
               
    5.37%, 07/25/2034 (d)
   
2,910,258
     
2,630,075
 
  Series 2005-AR14, Class A1,
               
    5.95%, 08/25/2035 (d)
   
480,032
     
458,023
 
  Series 2006-AR1, Class 1A1,
               
    6.19%, 03/25/2036 (d)
   
1,355,652
     
1,253,906
 
  Series 2006-AR19, Class A1,
               
    6.36%, 12/25/2036 (d)
   
1,311,940
     
1,253,367
 
  Series 2006-AR5, Class 1A1,
               
    5.11%, 04/25/2036 (d)
   
2,994,391
     
2,801,507
 
  Series 2006-AR5, Class 2A1,
               
    5.10%, 04/25/2036 (d)
   
1,163,134
     
1,074,535
 
  Series 2007-AR3, Class A1,
               
    5.11%, 04/25/2037 (d)
   
563,170
     
479,823
 
TOTAL NON-AGENCY
               
RESIDENTIAL MORTGAGE
               
BACKED SECURITIES
               
(Cost $497,736,035)
           
378,023,988
 
                 

   
SHARES
         
                 
SHORT-TERM INVESTMENTS – 2.8%
               
Money Market Funds – 0.7%
               
First American Government
               
  Obligations Fund –
               
  Class X, 5.25% (j)
   
49,598,566
     
49,598,566
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 52


PERFORMANCE TRUST TOTAL RETURN BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
U.S. Treasury Bills – 2.1%
           
  5.30%, 03/28/2024 (k)
 
$
30,000,000
   
$
29,881,329
 
  5.29%, 04/30/2024 (k)
   
30,000,000
     
29,737,675
 
  5.28%, 05/23/2024 (k)
   
30,000,000
     
29,637,913
 
  5.31%, 06/18/2024 (k)
   
25,000,000
     
24,603,323
 
  5.25%, 08/22/2024 (k)
   
25,000,000
     
24,382,501
 
     

     
138,242,741
 
TOTAL SHORT-TERM INVESTMENTS
               
(Cost $187,847,546)
           
187,841,307
 
                 
TOTAL INVESTMENTS – 99.4%
               
(Cost $7,165,174,800)
           
6,673,469,858
 
                 
Other Assets in Excess
               
of Liabilities – 0.6%
           
41,312,005
 
                 
TOTAL NET ASSETS – 100.0%
         
$
6,714,781,863
 





 
Percentages are stated as a percent of net assets.
 
The Global Industry Classification Standard (GICS®) was developed by and/or is the exclusive property of MSCI, Inc. and Standard & Poor’s Financial Services LLC (“S&P”). GICS is a service mark of MSCI, Inc. and S&P and has been licensed for use by U.S. Bank Global Fund Services.
 
AG
Aktiengesellschaft
CMT
Constant Maturity Treasury Rate
NV
Naamloze Vennootschap
PLC
Public Limited Company
PO
Principal Only
SOFR
Secured Overnight Financing Rate
TSFR3M
3 Month Term Secured Overnight Financing Rate
(a)
Step coupon bond. The rate disclosed is as of February 29, 2024.
(b)
Zero coupon bonds make no periodic interest payments but are issued at a discount from par value.
(c)
Represents less than 0.05% of net assets.
(d)
Coupon rate is variable or floats based on components including but not limited to reference rate and spread. These securities may not indicate a reference rate and/or spread in their description. The rate disclosed is as of February 29, 2024.
(e)
Security is exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may only be resold in transactions exempt from registration to qualified institutional investors. As of February 29, 2024, the value of these securities total $1,337,616,851 or 19.9% of the Fund’s net assets.
(f)
Issuer is currently in default.
(g)
Interest only security.
(h)
Inverse floating rate security whose interest rate moves in the opposite direction of reference interest rates. Reference interest rates are typically based on a negative multiplier or slope. Interest rate may also be subject to a cap or floor.
(i)
Principal only security.
(j)
The rate shown represents the 7-day effective yield as of February 29, 2024.
(k)
The rate shown is the effective yield.
The accompanying notes are an integral part of these financial statements.




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 53

PERFORMANCE TRUST MUNICIPAL BOND FUND — SCHEDULE OF INVESTMENTS
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
MUNICIPAL BONDS – 89.7%
           
Alabama – 3.1%
           
Black Belt Energy Gas District
           
  5.50%, 06/01/2049 (a)
 
$
3,000,000
   
$
3,195,788
 
  5.50%, 11/01/2053 (a)
   
2,625,000
     
2,790,128
 
  5.50%, 10/01/2054 (a)
   
3,000,000
     
3,287,443
 
County of Jefferson AL Sewer
               
  Revenue, 5.25%, 10/01/2040
   
1,000,000
     
1,123,232
 
Energy Southeast A
               
Cooperative District
               
  5.50%, 11/01/2053 (a)
   
4,000,000
     
4,352,055
 
  5.75%, 04/01/2054 (a)
   
1,000,000
     
1,112,128
 
Southeast Energy Authority A
               
  Cooperative District,
               
  5.50%, 01/01/2053 (a)
   
5,635,000
     
6,033,936
 
     

     
21,894,710
 
Alaska – 0.6%
               
Alaska Industrial Development &
               
  Export Authority, 5.25%, 06/01/2045
   
2,735,000
     
2,746,962
 
CIVICVentures, 5.00%, 09/01/2033
   
1,750,000
     
1,760,685
 
     

     
4,507,647
 
Arizona – 1.6%
               
Arizona Department of Transportation
               
  State Highway Fund Revenue,
               
  5.00%, 07/01/2027
   
2,000,000
     
2,010,118
 
Arizona Industrial Development
               
  Authority, 1.80%, 07/01/2024
   
175,000
     
172,349
 
City of Phoenix, AZ,
               
  4.00%, 07/01/2024
   
790,000
     
792,113
 
City of Phoenix, AZ Park Central
               
  Community Facilities District,
               
  4.38%, 07/01/2024
   
415,000
     
412,778
 
Industrial Development Authority of
               
  the City of Phoenix Arizona,
               
  4.00%, 07/01/2026 (b)
   
1,900,000
     
1,882,043
 
Maricopa County Unified School
               
  District No 48 Scottsdale,
               
  5.00%, 07/01/2024
   
1,285,000
     
1,292,423
 
State of Arizona Distribution Revenue
               
  5.50%, 07/01/2038 (c)
   
2,060,000
     
2,532,065
 
  5.50%, 07/01/2042 (c)
   
1,545,000
     
1,926,408
 
     

     
11,020,297
 
Arkansas – 0.2%
               
County of Pulaski, AR,
               
  5.00%, 03/01/2039
   
1,025,000
     
1,140,815
 
                 
California – 12.9%
               
Alhambra Unified School District,
               
  0.00%, 08/01/2037 (d)
   
11,000,000
     
6,747,177
 
Baldwin Park Unified School District,
               
  0.00%, 08/01/2037 (d)
   
1,000,000
     
599,020
 
California Educational
               
Facilities Authority
               
  5.00%, 03/15/2039
 

1,015,000
   

1,254,585
 
  5.00%, 05/01/2049
   
5,000,000
     
6,105,878
 
California Health Facilities Financing
               
  Authority, 5.00%, 11/01/2047
   
4,250,000
     
5,048,534
 
California Infrastructure & Economic
               
  Development Bank,
               
  3.95%, 01/01/2050 (a)(b)(e)
   
2,000,000
     
1,999,899
 
California Municipal Finance
               
  Authority, 4.00%, 12/01/2026 (b)
   
1,235,000
     
1,180,167
 
California Pollution Control
               
Financing Authority
               
  5.00%, 07/01/2037 (b)(e)
   
1,750,000
     
1,876,547
 
  5.00%, 07/01/2038 (b)(e)
   
2,000,000
     
2,131,826
 
City of San Diego, CA Tobacco
               
  Settlement Revenue Funding Corp.,
               
  4.00%, 06/01/2032
   
950,000
     
957,334
 
Coachella Valley Unified School District
               
  0.00%, 08/01/2035 (d)
   
795,000
     
535,188
 
  0.00%, 08/01/2043 (d)
   
1,015,000
     
441,154
 
El Rancho Unified School District,
               
  0.00%, 08/01/2035 (d)
   
350,000
     
235,089
 
Fowler Unified School District,
               
  5.50%, 08/01/2053
   
4,945,000
     
5,610,823
 
Gateway Unified School District,
               
  0.00%, 08/01/2037 (d)
   
1,745,000
     
1,063,325
 
Inland Empire Tobacco Securitization
               
  Corp., 3.68%, 06/01/2038
   
3,000,000
     
2,829,397
 
Mount San Antonio
               
  Community College District,
               
  0.00%, 08/01/2043 (c)
   
1,395,000
     
1,379,448
 
M-S-R Energy Authority
               
  6.50%, 11/01/2039
   
3,810,000
     
4,898,405
 
  6.50%, 11/01/2039
   
2,645,000
     
3,400,598
 
Newport Mesa Unified School District
               
  0.00%, 08/01/2037 (d)
   
100,000
     
63,895
 
  0.00%, 08/01/2038 (d)
   
1,000,000
     
609,222
 
Norwalk-La Mirada Unified School
               
  District, 0.00%, 08/01/2038 (d)
   
680,000
     
373,598
 
Oceanside Unified School District
               
  0.00%, 08/01/2035 (d)
   
135,000
     
90,576
 
  0.00%, 08/01/2036 (d)
   
350,000
     
223,469
 
  0.00%, 08/01/2037 (d)
   
810,000
     
490,986
 
  0.00%, 08/01/2039 (d)
   
400,000
     
218,530
 
Paramount Unified School District,
               
  0.00%, 08/01/2037 (d)
   
630,000
     
382,381
 
Placentia-Yorba Linda Unified School
               
  District, 0.00%, 08/01/2041 (d)
   
5,325,000
     
2,689,930
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.
 

 


PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 54


PERFORMANCE TRUST MUNICIPAL BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
California – 12.9% (Cont.)
           
Poway Unified School District
           
  0.00%, 08/01/2037 (d)
 
$
6,320,000
   
$
3,874,062
 
  0.00%, 08/01/2038 (d)
   
6,445,000
     
3,755,121
 
  0.00%, 08/01/2040 (d)
   
905,000
     
474,134
 
  0.00%, 08/01/2046 (d)
   
12,150,000
     
4,465,016
 
San Bernardino City Unified School
               
  District, 0.00%, 08/01/2035 (d)
   
250,000
     
169,055
 
San Bernardino
               
Community College District
               
  0.00%, 08/01/2038 (d)
   
210,000
     
117,150
 
  0.00%, 08/01/2044 (d)
   
12,485,000
     
5,137,177
 
San Diego Unified School District
               
  0.00%, 07/01/2037 (d)
   
595,000
     
371,825
 
  0.00%, 07/01/2038 (d)
   
1,655,000
     
984,103
 
  0.00%, 07/01/2040 (d)
   
7,760,000
     
4,160,067
 
  0.00%, 07/01/2041 (c)
   
3,000,000
     
2,978,488
 
Santa Barbara Secondary
               
High School District
               
  0.00%, 08/01/2036 (d)
   
340,000
     
203,645
 
  0.00%, 08/01/2040 (d)
   
5,825,000
     
2,902,219
 
St Helena Unified School District,
               
  0.00%, 06/01/2036 (c)
   
2,805,000
     
3,471,279
 
West Contra Costa Unified School
               
  District, 0.00%, 08/01/2036 (d)
   
5,945,000
     
3,837,654
 
     

     
90,337,976
 
Colorado – 3.0%
               
City & County of Denver, CO
               
Airport System Revenue
               
  5.75%, 11/15/2036 (e)
   
6,325,000
     
7,825,838
 
  5.75%, 11/15/2041 (e)
   
5,760,000
     
6,618,865
 
City of Fruita, CO Healthcare Revenue,
               
  5.00%, 01/01/2028
   
575,000
     
553,971
 
Public Authority for Colorado Energy,
               
  6.50%, 11/15/2038
   
4,975,000
     
6,152,588
 
     

     
21,151,262
 
Connecticut – 0.4%
               
State of Connecticut Special Tax
               
  Revenue, 5.25%, 07/01/2040
   
2,500,000
     
2,897,710
 
                 
District of Columbia – 1.8%
               
District of Columbia
               
  5.00%, 06/01/2024
   
1,370,000
     
1,375,748
 
  5.50%, 07/01/2047
   
9,795,000
     
11,159,606
 
     

     
12,535,354
 
Florida – 6.2%
               
Bay County School Board
               
  5.50%, 07/01/2041
   
1,315,000
     
1,492,472
 
  5.50%, 07/01/2042
   
1,300,000
     
1,469,266
 
City of Fort Lauderdale, FL Water &
               
  Sewer Revenue, 5.50%, 09/01/2048
   
1,500,000
     
1,724,214
 
City of Fort Myers, FL Utility System
               
  Revenue, 5.50%, 10/01/2049
 

5,000,000
   

5,720,500
 
City of Lakeland, FL Department
               
of Electric Utilities
               
  5.00%, 10/01/2037
   
1,925,000
     
2,289,393
 
  5.00%, 10/01/2038
   
1,565,000
     
1,857,176
 
County of Miami-Dade, FL
               
  0.00%, 10/01/2040 (d)
   
5,000,000
     
2,494,775
 
  0.00%, 10/01/2041 (d)
   
1,445,000
     
683,409
 
  0.00%, 10/01/2042 (d)
   
1,380,000
     
619,178
 
  0.00%, 10/01/2045 (d)
   
4,500,000
     
1,768,676
 
County of Miami-Dade, FL
               
Seaport Department
               
  5.00%, 10/01/2036 (e)
   
1,450,000
     
1,590,234
 
  5.00%, 10/01/2038 (e)
   
4,370,000
     
4,745,842
 
County of Sarasota, FL Utility System
               
 Revenue, 5.25%, 10/01/2047
   
2,500,000
     
2,789,029
 
County of Seminole, FL,
               
 5.25%, 10/01/2039
   
3,520,000
     
4,106,385
 
Florida Development Finance Corp.
               
  5.50%, 09/15/2025 (b)
   
750,000
     
739,082
 
  5.00%, 09/15/2040 (b)
   
2,050,000
     
1,916,346
 
JEA Water & Sewer System Revenue,
               
  5.00%, 10/01/2024
   
3,055,000
     
3,087,530
 
Palm Beach County School District,
               
  5.25%, 08/01/2040
   
3,645,000
     
4,171,323
 
     

     
43,264,830
 
Georgia – 2.9%
               
City of Conyers, GA,
               
  4.30%, 03/01/2031
   
1,185,000
     
1,048,354
 
Georgia Ports Authority,
               
  5.00%, 07/01/2041
   
4,145,000
     
4,652,138
 
Main Street Natural Gas, Inc.,
               
  5.00%, 05/01/2054 (a)
   
5,000,000
     
5,350,711
 
State of Georgia
               
  5.00%, 07/01/2024
   
8,000,000
     
8,046,735
 
  5.00%, 07/01/2024
   
975,000
     
980,696
 
     

     
20,078,634
 
Hawaii – 0.6%
               
Honolulu City & County Board of
               
  Water Supply, 4.00%, 07/01/2032
   
4,035,000
     
4,044,484
 
                 
Illinois – 1.7%
               
Chicago O’Hare International Airport,
               
  5.25%, 01/01/2039
   
1,190,000
     
1,329,369
 
City of Joliet, IL, 5.50%, 12/15/2042
   
2,260,000
     
2,557,286
 
Metropolitan Pier & Exposition
               
  Authority, 0.00%, 12/15/2036 (d)
   
6,500,000
     
3,913,656
 
Will County School District No. 114
               
  Manhattan, 5.50%, 01/01/2045
   
3,765,000
     
4,224,591
 
     

     
12,024,902
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 55


PERFORMANCE TRUST MUNICIPAL BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Indiana – 7.7%
           
Avon Community School
           
Building Corp.
           
  5.50%, 07/15/2040
 
$
1,000,000
   
$
1,167,268
 
  5.50%, 07/15/2041
   
1,250,000
     
1,451,754
 
  5.50%, 01/15/2043
   
2,750,000
     
3,165,371
 
City of Valparaiso, IN,
               
  6.75%, 01/01/2034 (e)
   
500,000
     
501,197
 
Clark-Pleasant Community School
               
  Building Corp., 5.25%, 01/15/2042
   
2,500,000
     
2,825,729
 
Fishers Town Hall Building Corp.
               
  5.50%, 07/15/2038
   
1,000,000
     
1,170,950
 
  5.50%, 07/15/2039
   
700,000
     
818,269
 
  5.50%, 07/15/2040
   
1,500,000
     
1,741,723
 
  5.50%, 07/15/2043
   
2,000,000
     
2,295,854
 
Fort Wayne Redevelopment Authority,
               
  5.00%, 12/15/2041
   
2,040,000
     
2,261,721
 
Greater Clark Building Corp.
               
  6.00%, 07/15/2038
   
5,955,000
     
7,188,807
 
  6.00%, 01/15/2042
   
5,655,000
     
6,689,477
 
  6.00%, 01/15/2043
   
1,125,000
     
1,347,248
 
Indianapolis Local Public Improvement
               
  Bond Bank, 6.00%, 02/01/2048
   
8,750,000
     
10,319,977
 
IPS Multi-School Building Corp.,
               
  5.50%, 07/15/2042
   
1,250,000
     
1,434,418
 
Lake Ridge Multi-School
               
  Building Corp., 5.50%, 07/15/2040
   
1,500,000
     
1,717,234
 
Noblesville High School
               
Building Corp.
               
  6.00%, 07/15/2038
   
350,000
     
428,075
 
  6.00%, 07/15/2040
   
500,000
     
604,431
 
  6.00%, 01/15/2043
   
1,000,000
     
1,194,907
 
Tippecanoe County School Building
               
  Corp., 6.00%, 01/15/2042
   
695,000
     
823,246
 
Tri-Creek 2002 High School Building
               
  Corp., 5.50%, 07/15/2040
   
4,260,000
     
4,924,467
 
     

     
54,072,123
 
Iowa – 0.7%
               
Iowa Tobacco Settlement Authority,
               
  4.00%, 06/01/2049
   
4,680,000
     
4,726,783
 
                 
Kansas – 0.1%
               
Kansas Development Finance Authority,
               
  5.00%, 05/01/2024
   
1,085,000
     
1,087,652
 
                 
Kentucky – 1.2%
               
County of Trimble, KY,
               
  1.30%, 09/01/2044 (a)(e)
   
3,500,000
     
3,087,171
 
Kentucky Economic Development
               
  Finance Authority, 5.00%, 05/15/2026
   
625,000
     
611,255
 
Kentucky Public Energy Authority,
               
  5.00%, 05/01/2055 (a)
   
1,000,000
     
1,050,124
 
Kentucky State Property &
               
Building Commission
               
  5.50%, 11/01/2041
 

1,205,000
   

1,390,351
 
  5.50%, 11/01/2042
   
2,050,000
     
2,357,215
 
     

     
8,496,116
 
Louisiana – 0.6%
               
Ernest N Morial New Orleans
               
  Exhibition Hall Authority,
               
  5.00%, 07/15/2039
   
2,210,000
     
2,489,043
 
Louisiana Stadium & Exposition
               
  District, 5.00%, 07/01/2039
   
1,675,000
     
1,882,565
 
     

     
4,371,608
 
Maryland – 2.7%
               
County of Anne Arundel MD,
               
  5.00%, 10/01/2024
   
500,000
     
505,610
 
Maryland Stadium Authority,
               
  5.00%, 05/01/2050
   
5,775,000
     
6,617,241
 
State of Maryland
               
  5.00%, 08/01/2024
   
3,020,000
     
3,042,542
 
  5.00%, 08/01/2024
   
1,065,000
     
1,072,950
 
Washington Suburban Sanitary
               
  Commission, 4.00%, 06/01/2040
   
7,500,000
     
7,512,537
 
     

     
18,750,880
 
Massachusetts – 1.9%
               
Commonwealth of Massachusetts,
               
  5.00%, 01/01/2040
   
7,000,000
     
8,061,892
 
Massachusetts Clean Water Trust,
               
  5.00%, 08/01/2024
   
500,000
     
503,773
 
Massachusetts Development Finance
               
  Agency, 5.00%, 07/15/2040
   
3,710,000
     
4,503,029
 
     

     
13,068,694
 
Michigan – 1.3%
               
Lansing Board of Water & Light,
               
  5.00%, 07/01/2043
   
1,795,000
     
2,013,954
 
Michigan Finance Authority,
               
  3.27%, 06/01/2039
   
6,000,000
     
5,456,835
 
University of Michigan,
               
  5.00%, 04/01/2024
   
1,535,000
     
1,536,916
 
     

     
9,007,705
 
Minnesota – 0.1%
               
City of Minneapolis, MN,
               
  5.75%, 07/01/2055
   
1,000,000
     
884,368
 
                 
Missouri – 0.1%
               
City of Kansas City, MO Sanitary
               
  Sewer System Revenue,
               
  5.00%, 01/01/2041
   
500,000
     
566,494
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.
 
 


PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 56


PERFORMANCE TRUST MUNICIPAL BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Nevada – 0.7%
           
Las Vegas Convention & Visitors
           
  Authority, 5.00%, 07/01/2038
 
$
3,000,000
   
$
3,368,233
 
State of Nevada Department of
               
  Business & Industry,
               
  8.13%, 01/01/2050 (a)(b)(e)
   
1,500,000
     
1,526,569
 
     

     
4,894,802
 
New Jersey – 1.7%
               
New Jersey Economic
               
Development Authority
               
  5.50%, 01/01/2027 (e)
   
300,000
     
300,292
 
  5.25%, 06/15/2037
   
1,560,000
     
1,836,556
 
  5.25%, 06/15/2038
   
1,935,000
     
2,258,891
 
New Jersey Transportation
               
Trust Fund Authority
               
  0.00%, 12/15/2037 (d)
   
3,395,000
     
2,049,475
 
  0.00%, 12/15/2038 (d)
   
1,125,000
     
643,495
 
  0.00%, 12/15/2038 (d)
   
1,000,000
     
562,945
 
  0.00%, 12/15/2039 (d)
   
7,565,000
     
4,066,376
 
     

     
11,718,030
 
New York – 4.5%
               
Build NYC Resource Corp.
               
  4.00%, 06/15/2031 (b)
   
600,000
     
566,175
 
  4.00%, 06/15/2041 (b)
   
1,350,000
     
1,103,596
 
City of New York NY,
               
  5.00%, 08/01/2024
   
1,870,000
     
1,884,493
 
New York City Transitional Finance
               
  Authority, 5.50%, 05/01/2044
   
3,575,000
     
4,183,108
 
New York City Transitional Finance
               
  Authority Future Tax Secured
               
  Revenue, 5.50%, 11/01/2045
   
4,825,000
     
5,538,056
 
New York State Dormitory Authority
               
  5.00%, 10/01/2047
   
4,235,000
     
5,095,963
 
  5.00%, 10/01/2048
   
4,000,000
     
4,809,251
 
Port Authority of New York &
               
  New Jersey, 5.00%, 07/15/2037 (e)
   
3,000,000
     
3,329,037
 
Triborough Bridge & Tunnel Authority,
               
  5.00%, 05/15/2052
   
4,065,000
     
4,748,226
 
     

     
31,257,905
 
North Carolina – 2.8%
               
City of Charlotte, NC,
               
  5.00%, 07/01/2024
   
2,000,000
     
2,012,141
 
City of Winston-Salem NC Water &
               
  Sewer System Revenue,
               
  5.00%, 06/01/2030
   
1,000,000
     
1,004,268
 
County of Wake, NC,
               
  5.00%, 03/01/2024
   
600,000
     
600,000
 
North Carolina Medical
               
Care Commission
               
  3.75%, 10/01/2028
   
550,000
     
551,072
 
  4.25%, 10/01/2028
   
250,000
     
250,483
 
University of North Carolina
               
at Chapel Hill
               
  5.00%, 02/01/2045
 

5,250,000
   

6,181,949
 
  5.00%, 02/01/2049
   
6,300,000
     
7,388,033
 
Watauga Public Facilities Corp.,
               
  5.25%, 06/01/2042
   
1,250,000
     
1,412,869
 
     

     
19,400,815
 
Ohio – 2.0%
               
City of Columbus, OH,
               
  5.00%, 08/15/2024
   
6,915,000
     
6,971,346
 
County of Hamilton, OH,
               
  5.00%, 11/15/2049
   
6,000,000
     
7,055,302
 
     

     
14,026,648
 
Oklahoma – 0.3%
               
City of Oklahoma City, OK,
               
  5.00%, 03/01/2024
   
440,000
     
440,000
 
City of Tulsa, OK, 5.00%, 03/01/2024
   
2,000,000
     
2,000,000
 
     

     
2,440,000
 
Oregon – 0.9%
               
Hospital Facilities Authority of
               
  Multnomah County Oregon,
               
  0.95%, 06/01/2027
   
250,000
     
226,035
 
Oregon State Lottery,
               
  5.00%, 04/01/2024
   
1,000,000
     
1,001,248
 
Port of Portland, OR Airport
               
  Revenue, 5.00%, 07/01/2037 (e)
   
2,000,000
     
2,219,348
 
State of Oregon
               
  5.00%, 05/01/2024
   
1,305,000
     
1,308,588
 
  5.00%, 05/01/2024
   
675,000
     
676,856
 
  5.00%, 08/01/2024
   
570,000
     
574,254
 
     

     
6,006,329
 
Pennsylvania – 4.1%
               
Allegheny County Sanitary Authority,
               
  5.75%, 06/01/2047
   
6,835,000
     
7,873,927
 
City of Philadelphia, PA Water &
               
  Wastewater Revenue,
               
  5.50%, 06/01/2047
   
2,365,000
     
2,657,991
 
Commonwealth of Pennsylvania,
               
  5.00%, 07/15/2024
   
7,000,000
     
7,044,118
 
Delaware Valley Regional Finance
               
  Authority, 4.53% (1 mo. LIBOR US +
               
  0.88%), 09/01/2048 (f)
   
1,000,000
     
999,802
 
Pennsylvania Turnpike Commission
               
  5.00%, 12/01/2041
   
3,000,000
     
3,449,797
 
  5.25%, 12/01/2041
   
1,000,000
     
1,158,901
 
  5.25%, 12/01/2042
   
1,000,000
     
1,145,736
 
Southeastern Pennsylvania
               
Transportation Authority
               
  5.00%, 06/01/2024
   
1,305,000
     
1,310,220
 
  5.25%, 06/01/2041
   
2,585,000
     
2,949,512
 
     

     
28,590,004
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.
 



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 57


PERFORMANCE TRUST MUNICIPAL BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Puerto Rico – 1.0%
           
Commonwealth of Puerto Rico
           
  0.00%, 07/01/2024 (d)
 
$
99,093
   
$
97,783
 
  0.00%, 07/01/2033 (d)
   
189,697
     
122,268
 
  4.00%, 07/01/2037
   
113,718
     
108,610
 
  4.00%, 07/01/2041
   
154,613
     
143,610
 
  0.00%, 11/01/2043 (a)
   
651,922
     
382,189
 
  4.00%, 07/01/2046
   
160,797
     
145,329
 
GDB Debt Recovery Authority of
               
  Puerto Rico, 7.50%, 08/20/2040
   
2,354,799
     
2,248,833
 
Puerto Rico Highway & Transportation
               
  Authority, 5.85%, 03/01/2027
   
1,395,000
     
1,381,050
 
Puerto Rico Sales Tax
               
Financing Corp. Sales Tax Revenue
               
  0.00%, 07/01/2024 (d)
   
872,000
     
862,439
 
  0.00%, 07/01/2029 (d)
   
1,589,000
     
1,308,558
 
     

     
6,800,669
 
Rhode Island – 1.2%
               
Rhode Island Health and Educational
               
Building Corp.
               
  5.50%, 05/15/2042
   
3,335,000
     
3,799,125
 
  5.50%, 05/15/2047
   
4,000,000
     
4,481,081
 
     

     
8,280,206
 
South Carolina – 1.8%
               
County of Horry, SC,
               
  5.25%, 09/01/2047
   
4,000,000
     
4,457,541
 
Patriots Energy Group Financing
               
  Agency, 5.25%, 02/01/2054 (a)
   
4,315,000
     
4,663,831
 
South Island Public Service District,
               
  5.25%, 04/01/2042
   
3,325,000
     
3,683,898
 
     

     
12,805,270
 
Tennessee – 1.0%
               
Metropolitan Government of
               
Nashville & Davidson County
               
  5.00%, 07/01/2024
   
1,620,000
     
1,629,094
 
  5.00%, 05/15/2042
   
1,500,000
     
1,718,995
 
Metropolitan Nashville Airport Authority
               
  5.25%, 07/01/2035 (e)
   
1,500,000
     
1,708,998
 
  5.50%, 07/01/2037 (e)
   
1,650,000
     
1,893,633
 
     

     
6,950,720
 
Texas – 8.3%
               
Board of Regents of the University of
               
  Texas System, 5.00%, 08/15/2049
   
600,000
     
718,003
 
City of Austin, TX Water &
               
Wastewater System Revenue
               
  5.00%, 11/15/2040
   
1,225,000
     
1,390,147
 
  5.00%, 11/15/2041
   
1,700,000
     
1,916,618
 
City of Houston, TX Airport System
               
  Revenue, 5.25%, 07/01/2039 (e)
   
2,745,000
     
3,077,188
 
City of San Antonio, TX Electric &
               
Gas Systems Revenue
               
  5.00%, 02/01/2039
 

3,265,000
   

3,724,083
 
  5.25%, 02/01/2040
   
6,000,000
     
6,903,457
 
Colony Economic Development
               
  Corp., 7.25%, 10/01/2042
   
1,500,000
     
1,442,386
 
Colony Local Development Corp.,
               
  7.25%, 10/01/2033
   
700,000
     
694,170
 
Denton Independent School District
               
  5.00%, 08/15/2024
   
1,655,000
     
1,667,969
 
  4.00%, 08/15/2032
   
3,000,000
     
3,019,303
 
Lower Colorado River Authority
               
  5.50%, 05/15/2047
   
5,000,000
     
5,594,677
 
  5.50%, 05/15/2048
   
3,000,000
     
3,371,481
 
North Texas Tollway Authority
               
  0.00%, 01/01/2036 (d)
   
1,085,000
     
705,512
 
  0.00%, 01/01/2038 (d)
   
1,055,000
     
617,569
 
Port of Beaumont Industrial
               
  Development Authority,
               
  4.10%, 01/01/2028 (b)
   
3,000,000
     
2,484,074
 
Pottsboro Higher Education
               
  Finance Corp., 2.00%, 08/15/2040
   
775,000
     
564,792
 
Prosper Independent School District,
               
  5.00%, 02/15/2042
   
5,000,000
     
5,683,182
 
Tarrant Regional Water District
               
Water Supply System Revenue
               
  5.00%, 03/01/2033
   
2,420,000
     
2,420,000
 
  5.00%, 03/01/2044
   
2,000,000
     
2,000,000
 
Texas Transportation Commission
               
  State Highway Fund,
               
  5.00%, 04/01/2033
   
5,000,000
     
5,005,284
 
West Harris County Regional Water
               
  Authority, 5.50%, 12/15/2042
   
4,500,000
     
5,157,241
 
     

     
58,157,136
 
Utah – 1.9%
               
City of Salt Lake City, UT
               
Airport Revenue
               
  5.25%, 07/01/2037 (e)
   
500,000
     
567,204
 
  5.25%, 07/01/2038 (e)
   
1,255,000
     
1,412,693
 
  5.25%, 07/01/2039 (e)
   
1,000,000
     
1,121,016
 
Wasatch County School District
               
  Local Building Authority,
               
  5.50%, 06/01/2047
   
7,570,000
     
8,432,498
 
Wildflower Improvement Association,
               
  6.63%, 03/01/2031 (b)
   
1,630,204
     
1,562,195
 
     

     
13,095,606
 
Virginia – 1.0%
               
City of Alexandria, VA,
               
  5.00%, 07/01/2024
   
1,000,000
     
1,005,874
 
Virginia Beach Development Authority,
               
  5.38%, 09/01/2029
   
2,000,000
     
2,065,075
 

 Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 58


PERFORMANCE TRUST MUNICIPAL BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
Virginia – 1.0% (Cont.)
           
Virginia Public Building Authority,
           
  5.00%, 08/01/2024
 
$
1,000,000
   
$
1,007,424
 
Virginia Public School Authority,
               
  5.00%, 03/01/2024
   
2,660,000
     
2,660,000
 
     

     
6,738,373
 
Washington – 4.6%
               
Central Puget Sound
               
  Regional Transit Authority,
               
  5.00%, 11/01/2046
   
10,000,000
     
11,862,769
 
City of Seattle, WA Drainage &
               
Wastewater Revenue
               
  4.00%, 05/01/2030
   
3,600,000
     
3,603,482
 
  4.00%, 05/01/2031
   
1,000,000
     
1,000,888
 
County of King WA Sewer Revenue,
               
  5.00%, 01/01/2047
   
5,000,000
     
5,025,295
 
State of Washington
               
  5.00%, 06/01/2024
   
2,865,000
     
2,877,509
 
  5.00%, 07/01/2024
   
755,000
     
759,509
 
  5.00%, 08/01/2024
   
1,435,000
     
1,445,946
 
  5.00%, 08/01/2024
   
815,000
     
821,217
 
  5.00%, 06/01/2045
   
4,000,000
     
4,503,113
 
Washington State Housing Finance
               
  Commission, 5.00%, 01/01/2055 (b)
   
500,000
     
330,779
 
     

     
32,230,507
 
Wisconsin – 0.5%
               
Public Finance Authority,
               
  7.50%, 06/01/2029 (b)
   
2,000,000
     
1,956,109
 
State of Wisconsin,
               
  5.00%, 05/01/2024
   
1,460,000
     
1,464,037
 
     

     
3,420,146
 
TOTAL MUNICIPAL BONDS
               
(Cost $606,162,159)
           
626,744,210
 
                 
AGENCY COMMERCIAL MORTGAGE
               
BACKED SECURITIES – 5.3%
               
California Housing Finance Agency,
               
  Series 2021-2, Class X,
               
  0.82%, 03/25/2035 (c)(g)
   
31,494,287
     
1,524,953
 
Freddie Mac Multifamily
               
ML Certificates
               
  Series 2019-ML05, Class XCA,
               
    0.25%, 11/25/2033 (a)(g)
   
45,549,543
     
799,394
 
  Series 2019-ML06, Class XUS,
               
    1.13%, 06/25/2037 (a)(g)
   
10,557,039
     
844,669
 
  Series 2020-ML07, Class XUS,
               
    2.02%, 10/25/2036 (a)(b)(g)
   
15,073,128
     
2,180,328
 
  Series 2021-ML08, Class XUS,
               
    1.85%, 07/25/2037 (g)
   
34,617,140
     
4,632,812
 
  Series 2021-ML09, Class XUS,
               
    1.49%, 02/25/2040 (a)(b)(g)
   
38,586,545
     
4,597,201
 
Freddie Mac Multifamily
               
ML Certificates (Cont.)
               
  Series 2021-ML10, Class XUS,
               
    2.06%, 01/25/2038 (a)(g)
 

14,058,370
   

2,200,135
 
  Series 2021-ML10, Class XUS,
               
    1.52%, 06/25/2038 (a)(b)(g)
   
50,304,860
     
5,833,855
 
  Series 2021-ML11, Class XUS,
               
    0.77%, 03/25/2038 (b)(g)
   
91,256,518
     
4,819,257
 
  Series 2021-ML12, Class XUS,
               
    1.30%, 07/25/2041 (a)(b)(g)
   
19,053,941
     
1,869,192
 
  Series 2022-ML13, Class XUS,
               
    0.96%, 07/25/2036 (a)(g)
   
83,709,339
     
4,457,522
 
  Series 2022-ML13, Class XUS,
               
    0.98%, 09/25/2036 (a)(g)
   
53,412,007
     
3,533,204
 
TOTAL AGENCY COMMERCIAL
               
MORTGAGE BACKED SECURITIES
               
(Cost $40,667,460)
           
37,292,522
 
                 
NON-AGENCY COMMERCIAL MORTGAGE
               
BACKED SECURITIES – 1.8%
               
California Housing Finance Agency
               
  Series 2021-1, Class X,
               
    0.80%, 11/20/2035 (c)(g)
   
41,686,000
     
2,038,028
 
  Series 2021-3, Class X,
               
    0.79%, 08/20/2036 (a)(g)
   
25,386,210
     
1,311,452
 
New Hampshire Business
               
Finance Authority
               
  Series 2022-2, Class X,
               
    0.67%, 10/20/2036 (c)(g)
   
67,432,737
     
3,240,143
 
  Series 2023-2, Class X,
               
    0.81%, 01/20/2038 (a)(g)
   
60,000,000
     
3,429,600
 
Washington State Housing Finance
               
  Commission, Series 2021-1,
               
  Class X, 0.73%, 12/20/2035 (a)(g)
   
61,155,422
     
2,749,548
 
TOTAL NON-AGENCY
               
COMMERCIAL MORTGAGE
               
BACKED SECURITIES
               
(Cost $13,441,802)
           
12,768,771
 
                 
CORPORATE BONDS – 0.4%
               
Real Estate Management & Development – 0.4%
               
MMH Master LLC,
               
  6.38%, 02/01/2034 (b)
   
3,000,000
     
3,000,000
 
TOTAL CORPORATE BONDS
               
(Cost $3,007,500)
           
3,000,000
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 59


PERFORMANCE TRUST MUNICIPAL BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
SHARES
   
VALUE
 
             
SHORT-TERM INVESTMENTS – 4.0%
           
Money Market Funds – 4.0%
           
First American Government
           
  Obligations Fund –
           
  Class X, 5.25%(h)
   
28,236,434
   
$
28,236,434
 
TOTAL SHORT-TERM
               
INVESTMENTS
               
(Cost $28,236,434)
           
28,236,434
 
                 
TOTAL INVESTMENTS – 101.2%
               
(Cost $691,515,355)
           
708,041,937
 
                 
Liabilities in Excess
               
of Other Assets – (1.2)%
           
(9,178,971
)
                 
TOTAL NET ASSETS – 100.0%
         
$
698,862,966
 





 
Percentages are stated as a percent of net assets.
 
The Global Industry Classification Standard (GICS®) was developed by and/or is the exclusive property of MSCI, Inc. and Standard & Poor’s Financial Services LLC (“S&P”). GICS is a service mark of MSCI, Inc. and S&P and has been licensed for use by U.S. Bank Global Fund Services.
 
LIBOR
London Interbank Offered Rate
(a)
Coupon rate is variable or floats based on components including but not limited to reference rate and spread. These securities may not indicate a reference rate and/or spread in their description. The rate disclosed is as of February 29, 2024.
(b)
Security is exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may only be resold in transactions exempt from registration to qualified institutional investors. As of February 29, 2024, the value of these securities total $43,555,240 or 6.2% of the Fund’s net assets.
(c)
Step coupon bond. The rate disclosed is as of February 29, 2024.
(d)
Zero coupon bonds make no periodic interest payments but are issued at a discount from par value.
(e)
Security subject to the Alternative Minimum Tax (“AMT”). As of February 29, 2024, the total value of securities subject to the AMT was $47,533,397 or 6.7% of net assets.
(f)
Securities referencing LIBOR are expected to transition to an alternative reference rate by the security’s next scheduled coupon reset date.
(g)
Interest only security.
(h)
The rate shown represents the 7-day effective yield as of February 29, 2024.
The accompanying notes are an integral part of these financial statements.


PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 60


PERFORMANCE TRUST MULTISECTOR BOND FUND — SCHEDULE OF INVESTMENTS
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
CORPORATE BONDS – 41.5%
           
Aerospace & Defense – 1.0%
           
TransDigm, Inc.,
           
  6.63%, 03/01/2032 (a)
 
$
1,000,000
   
$
1,008,343
 
                 
Banks – 12.6%
               
Banner Corp.,
               
  5.00% to 06/30/2025 then 3 mo.
               
  Term SOFR + 4.89%, 06/30/2030
   
1,000,000
     
921,294
 
Barclays PLC,
               
  6.13% to 06/15/2026 then
               
  5 yr. CMT Rate + 5.87%, Perpetual
   
1,000,000
     
953,367
 
Deutsche Bank AG,
               
  7.08% to 02/10/2033 then
               
  SOFR + 3.65%, 02/10/2034
   
1,000,000
     
996,694
 
First Busey Corp.,
               
  5.25% to 06/01/2025 then 3 mo.
               
  Term SOFR + 5.11%, 06/01/2030
   
1,000,000
     
953,376
 
First Financial Bancorp.,
               
  5.25% to 05/15/2025 then 3 mo.
               
  Term SOFR + 5.09%, 05/15/2030
   
1,000,000
     
961,584
 
Home BancShares, Inc.,
               
  3.13% to 01/30/2027 then 3 mo.
               
  Term SOFR + 1.82%, 01/30/2032
   
1,500,000
     
1,151,839
 
National Australia Bank Ltd.,
               
  3.35% to 01/12/2032 then 5 yr.
               
  CMT Rate + 1.70%, 01/12/2037 (a)
   
1,000,000
     
834,625
 
Park National Corp.,
               
  4.50% to 09/01/2025 then 3 mo.
               
  Term SOFR + 4.39%, 09/01/2030
   
1,250,000
     
1,177,246
 
Renasant Corp.,
               
  4.50% to 09/15/2030 then 3 mo.
               
  Term SOFR + 4.03%, 09/15/2035
   
1,000,000
     
692,332
 
Synovus Financial Corp.,
               
  7.54% to 02/07/2029 then 5 Yr.
               
  Mid Swap Rate USD +
               
  3.38%, 02/07/2029
   
1,000,000
     
946,004
 
Texas Capital Bancshares, Inc.,
               
  4.00% to 05/06/2026 then 5 yr.
               
  CMT Rate + 3.15%, 05/06/2031
   
1,000,000
     
854,860
 
Western Alliance Bank,
               
  5.25% to 06/01/2025 then 3 mo.
               
  Term SOFR + 5.12%, 06/01/2030
   
1,500,000
     
1,448,085
 
WSFS Financial Corp.,
               
  2.75% to 12/15/2025 then
               
  TSFR3M + 2.49%, 12/15/2030
   
1,000,000
     
798,811
 
     

     
12,690,117
 
Building Products – 0.9%
               
JELD-WEN, Inc.,
               
  4.88%, 12/15/2027 (a)
   
1,000,000
     
943,715
 
                 
Capital Markets – 2.1%
               
Ares Capital Corp.,
               
  3.20%, 11/15/2031
 

1,300,000
   

1,060,695
 
MSCI, Inc., 3.63%, 11/01/2031 (a)
   
1,250,000
     
1,083,510
 
     

     
2,144,205
 
Consumer Finance – 3.7%
               
Ally Financial, Inc.,
               
  6.70%, 02/14/2033
   
1,250,000
     
1,231,958
 
Ford Motor Credit Co., LLC,
               
  7.35%, 03/06/2030
   
1,250,000
     
1,325,083
 
OneMain Finance Corp.,
               
  5.38%, 11/15/2029
   
1,250,000
     
1,161,344
 
     

     
3,718,385
 
Containers & Packaging – 1.1%
               
Graphic Packaging International, LLC,
               
  3.50%, 03/01/2029 (a)
   
1,255,000
     
1,120,572
 
                 
Distributors – 1.0%
               
LKQ Corp., 6.25%, 06/15/2033
   
1,000,000
     
1,027,773
 
                 
Diversified Consumer Services – 1.9%
               
Service Corp. International,
               
  4.00%, 05/15/2031
   
1,000,000
     
879,608
 
Washington University,
               
  4.35%, 04/15/2122
   
1,200,000
     
1,007,017
 
     

     
1,886,625
 
Electrical Equipment – 2.1%
               
Regal Rexnord Corp.,
               
  6.30%, 02/15/2030 (a)
   
1,000,000
     
1,018,154
 
Sensata Technologies, Inc.,
               
  4.38%, 02/15/2030 (a)
   
1,250,000
     
1,139,615
 
     

     
2,157,769
 
Financial Services – 0.2%
               
Compeer Financial FLCA,
               
  3.38% to 06/01/2031 then
               
  SOFR + 1.97%, 06/01/2036 (a)
   
250,000
     
176,818
 
                 
Household Durables – 2.9%
               
M/I Homes, Inc., 3.95%, 02/15/2030
   
1,300,000
     
1,161,429
 
Meritage Homes Corp.,
               
  3.88%, 04/15/2029 (a)
   
1,000,000
     
911,055
 
Tempur Sealy International, Inc.,
               
  3.88%, 10/15/2031 (a)
   
1,000,000
     
832,728
 
     

     
2,905,212
 
Media – 2.2%
               
CCO Holdings Capital Corp.,
               
  4.75%, 02/01/2032 (a)
   
1,500,000
     
1,212,937
 
Sirius XM Radio, Inc.,
               
  3.88%, 09/01/2031 (a)
   
1,250,000
     
1,034,491
 
     

     
2,247,428
 
                 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.
 
 


PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 61


PERFORMANCE TRUST MULTISECTOR BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)



   
PAR
   
VALUE
 
             
Professional Services – 0.9%
           
Science Applications International
           
  Corp., 4.88%, 04/01/2028 (a)
 
$
1,000,000
   
$
947,880
 
                 
Real Estate Management &
               
Development – 1.0%
               
Cushman & Wakefield US Borrower,
               
  LLC, 8.88%, 09/01/2031 (a)
   
1,000,000
     
1,042,365
 
                 
Retail REITs – 0.8%
               
American Finance Trust, Inc.,
               
  4.50%, 09/30/2028 (a)
   
1,000,000
     
836,923
 
                 
Software – 0.9%
               
Open Text Corp.,
               
  3.88%, 02/15/2028 (a)
   
1,000,000
     
919,952
 
                 
Specialty Retail – 4.0%
               
Asbury Automotive Group, Inc.,
               
  5.00%, 02/15/2032 (a)
   
1,250,000
     
1,111,118
 
AutoNation, Inc., 3.85%, 03/01/2032
   
1,250,000
     
1,091,503
 
Ken Garff Automotive, LLC,
               
  4.88%, 09/15/2028 (a)
   
1,000,000
     
921,177
 
Lithia Motors, Inc.,
               
  4.38%, 01/15/2031 (a)
   
1,000,000
     
888,123
 
     

     
4,011,921
 
Technology Hardware,
               
Storage & Peripherals – 1.2%
               
Dell International, LLC,
               
  8.10%, 07/15/2036
   
1,000,000
     
1,199,667
 
                 
Trading Companies &
               
Distributors – 1.0%
               
WESCO Distribution, Inc.,
               
  6.63%, 03/15/2032 (a)
   
1,000,000
     
1,001,519
 
                 
TOTAL CORPORATE BONDS
               
(Cost $41,788,627)
           
41,987,189
 
                 
NON-AGENCY COMMERCIAL
               
MORTGAGE BACKED SECURITIES – 19.0%
               
BANK
               
  Series 2018-BN10, Class D,
               
    2.60%, 02/15/2061 (a)
   
1,000,000
     
767,345
 
  Series 2019-BN23, Class C,
               
    3.51%, 12/15/2052 (b)
   
1,000,000
     
799,034
 
  Series 2020-BN29, Class D,
               
    2.50%, 11/15/2053 (a)
   
850,000
     
561,687
 
  Series 2021-BN35, Class C,
               
    2.90%, 06/15/2064 (b)
   
1,255,000
     
931,924
 
  Series 2022-BN40, Class D,
               
    2.50%, 03/15/2064 (a)
   
1,000,000
     
616,757
 
BBCMS Trust, Series 2022-C17,
               
  Class XA, 1.15%, 09/15/2055 (b)(c)
   
14,954,706
     
1,125,014
 
Benchmark Mortgage Trust
               
  Series 2021-B27, Class XD,
               
    1.49%, 07/15/2054 (a)(b)(c)
 

15,000,000
   

1,293,005
 
  Series 2021-B29, Class C,
               
    2.75%, 09/15/2054 (b)
   
1,000,000
     
725,150
 
BMO Mortgage Trust,
               
  Series 2023-C7, Class XA,
               
  0.81%, 12/15/2056 (a)(b)(c)
   
24,998,588
     
1,418,944
 
Citigroup Commercial Mortgage
               
  Trust, Series 2016-C1, Class C,
               
  4.94%, 05/10/2049 (b)
   
1,000,000
     
945,799
 
GS Mortgage Securities Corp. II
               
  Series 2012-BWTR, Class A,
               
    2.95%, 11/05/2034 (a)
   
1,000,000
     
748,327
 
  Series 2012-BWTR, Class B,
               
    3.26%, 11/05/2034 (a)
   
478,000
     
242,837
 
Morgan Stanley Bank of America
               
  Merrill Lynch Trust, Series 2017-C34,
               
  Class D, 2.70%, 11/15/2052 (a)
   
1,000,000
     
684,313
 
Morgan Stanley Capital I, Inc.
               
  Series 2017-H1, Class C,
               
    4.28%, 06/15/2050 (b)
   
1,500,000
     
1,331,199
 
  Series 2017-HR2, Class C,
               
    4.32%, 12/15/2050 (b)
   
1,400,000
     
1,267,681
 
  Series 2019-H7, Class D,
               
    3.00%, 07/15/2052 (a)
   
1,000,000
     
726,508
 
Wells Fargo Commercial
               
Mortgage Trust
               
  Series 2015-C28, Class D,
               
    4.08%, 05/15/2048 (b)
   
1,000,000
     
838,441
 
  Series 2016-C37, Class D,
               
    3.17%, 12/15/2049 (a)(b)
   
1,250,000
     
1,031,918
 
  Series 2018-C43, Class C,
               
    4.51%, 03/15/2051 (b)
   
1,250,000
     
1,113,335
 
  Series 2019-C52, Class C,
               
    3.56%, 08/15/2052
   
1,000,000
     
788,870
 
  Series 2020-C57, Class C,
               
    4.02%, 08/15/2053 (b)
   
1,500,000
     
1,292,471
 
TOTAL NON-AGENCY
               
COMMERCIAL MORTGAGE
               
BACKED SECURITIES
               
(Cost $19,787,085)
           
19,250,559
 
                 
COLLATERALIZED LOAN
               
OBLIGATIONS – 14.7%
               
Apidos CLO
               
  Series 2013-12A, Class ER,
               
    10.98% (3 mo. Term SOFR +
               
    5.66%), 04/15/2031 (a)
   
1,000,000
     
927,219
 
  Series 2019-31A, Class ER,
               
    12.18% (3 mo. Term SOFR +
               
    6.86%), 04/15/2031 (a)
   
1,000,000
     
984,429
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 62


PERFORMANCE TRUST MULTISECTOR BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
PAR
   
VALUE
 
             
ARES CLO
           
  Series 2015-4A, Class CR,
           
    8.23% (3 mo. Term SOFR +
           
    2.91%), 10/15/2030 (a)
 
$
1,000,000
   
$
982,631
 
  Series 2016-39A, Class DR2,
               
    8.91% (3 mo. Term SOFR +
               
    3.61%), 04/18/2031 (a)
   
1,000,000
     
974,200
 
Burnham Park CLO, Series 2016-1A,
               
  Class DR, 8.43% (3 mo. Term
               
  SOFR + 3.11%), 10/20/2029 (a)
   
1,000,000
     
994,560
 
Buttermilk Park CLO, Series 2018-1A,
               
  Class D, 8.68% (3 mo. Term SOFR +
               
  3.36%), 10/15/2031 (a)
   
1,000,000
     
992,668
 
Gilbert Park CLO, Series 2017-1A,
               
  Class D, 8.53% (TSFR3M +
               
  3.21%), 10/15/2030 (a)
   
1,000,000
     
999,584
 
Goldentree Loan Opportunities Ltd.
               
  Series 2015-11A, Class ER2,
               
    10.96% (TSFR3M + 5.66%),
               
    01/18/2031 (a)
   
1,000,000
     
993,306
 
  Series 2017-2A, Class E,
               
    10.28% (3 mo. Term SOFR +
               
    4.96%), 11/28/2030 (a)
   
1,000,000
     
1,000,572
 
  Series 2022-16A, Class DR,
               
    10.11% (3 mo. Term SOFR +
               
    4.75%), 01/20/2034 (a)
   
1,000,000
     
1,009,521
 
LCM LP, Series 22A, Class CR,
               
  8.38% (TSFR3M + 3.06%),
               
  10/20/2028 (a)
   
1,000,000
     
993,089
 
Magnetite CLO Ltd., Series 2016-18A,
               
  Class ER, 10.82% (3 mo. Term
               
  SOFR + 5.51%), 11/15/2028 (a)
   
1,000,000
     
1,000,583
 
Neuberger Berman CLO Ltd.
               
  Series 2018-27A, Class D,
               
    8.18% (TSFR3M + 2.86%),
               
    01/15/2030 (a)
   
1,000,000
     
993,475
 
  Series 2019-33A, Class DR,
               
    8.48% (3 mo. Term SOFR + 3.16%),
               
    10/16/2033 (a)
   
1,000,000
     
987,801
 
  Series 2019-35A, Class E,
               
    12.57% (3 mo. Term SOFR +
               
    7.26%), 01/19/2033 (a)
   
1,000,000
     
980,988
 
TOTAL COLLATERALIZED
               
LOAN OBLIGATIONS
               
(Cost $14,418,626)
           
14,814,626
 
                 
                 
ASSET-BACKED SECURITIES – 6.4%
               
American Credit Acceptance
               
  Receivables Trust, Series 2021-2,
               
  Class E, 2.54%, 07/13/2027 (a)
 

1,000,000
   

969,494
 
Exeter Automobile Receivables Trust,
               
  Series 2021-2A, Class E,
               
  2.90%, 07/17/2028 (a)
   
1,500,000
     
1,410,281
 
GLS Auto Receivables Trust
               
  Series 2020-2A, Class D,
               
    7.48%, 04/15/2027 (a)
   
1,225,000
     
1,235,685
 
  Series 2021-2A, Class E,
               
    2.87%, 05/15/2028 (a)
   
1,000,000
     
945,794
 
  Series 2021-3A, Class E,
               
    3.20%, 10/16/2028 (a)
   
1,000,000
     
930,103
 
Westlake Automobile Receivables
               
  Trust, Series 2021-3A, Class E,
               
  3.42%, 04/15/2027 (a)
   
1,000,000
     
958,241
 
TOTAL ASSET-BACKED
               
SECURITIES
               
(Cost $6,418,479)
           
6,449,598
 
                 
U.S. TREASURY OBLIGATIONS – 6.1%
               
United States Treasury Notes/Bonds
               
  4.25%, 11/15/2040
   
1,000,000
     
977,500
 
  3.88%, 05/15/2043
   
2,000,000
     
1,828,242
 
  4.38%, 08/15/2043
   
1,000,000
     
978,750
 
  4.75%, 11/15/2043
   
2,300,000
     
2,365,946
 
TOTAL U.S. TREASURY
               
OBLIGATIONS
               
(Cost $6,290,213)
           
6,150,438
 
                 
MUNICIPAL BONDS – 5.6%
               
Illinois – 0.7%
               
Metropolitan Pier & Exposition
               
  Authority, 0.00%, 06/15/2038 (d)
   
1,250,000
     
664,484
 
                 
Michigan – 1.0%
               
University of Michigan,
               
  4.45%, 04/01/2122
   
1,221,000
     
1,042,740
 
                 
Ohio – 1.2%
               
Ohio State University,
               
  4.80%, 06/01/2111
   
1,250,000
     
1,143,723
 
                 
Pennsylvania – 1.1%
               
Pennsylvania Turnpike Commission,
               
  3.00%, 12/01/2042
   
1,250,000
     
1,056,449
 
                 
Tennessee – 0.6%
               
New Memphis Arena Public Building
               
  Authority, 0.00%, 04/01/2043 (d)
   
1,625,000
     
641,067
 

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.
 

 

PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 63


PERFORMANCE TRUST MULTISECTOR BOND FUND — SCHEDULE OF INVESTMENTS (CONT.)
February 29, 2024 (Unaudited)


   
SHARES
   
VALUE
 
             
Texas – 0.8%
           
Port of Beaumont Industrial
           
  Development Authority,
           
  4.10%, 01/01/2028 (a)
 
$
1,000,000
   
$
828,025
 
                 
Wisconsin – 0.2%
               
Public Finance Authority,
               
  7.50%, 06/01/2029 (a)
   
250,000
     
244,514
 
TOTAL MUNICIPAL BONDS
               
(Cost $5,530,384)
           
5,621,002
 
                 
NON-AGENCY RESIDENTIAL
               
MORTGAGE BACKED SECURITIES – 4.0%
               
Banc of America Alternative Loan
               
  Trust, Series 2006-2, Class 4CB1,
               
  6.50%, 03/25/2036
   
1,226,161
     
986,944
 
Countrywide Home Loan Mortgage
               
  Pass Through Trust, Series 2006-17,
               
  Class A8, 6.00% (1 mo. Term SOFR +
               
  0.66%), 12/25/2036
   
344,029
     
140,847
 
Credit Suisse Management, LLC,
               
  Series 2005-11, Class 3A3,
               
  5.50%, 12/25/2035
   
355,704
     
149,426
 
Vericrest Opportunity Loan Transferee,
               
  Series 2021-NPL4, Class A2,
               
  4.95%, 03/27/2051 (a)(e)
   
351,443
     
306,511
 
WaMu Mortgage
               
Pass – Through Certificates
               
  Series 2005-AR14, Class 1A2,
               
    4.89%, 12/25/2035 (b)
   
1,284,436
     
1,124,016
 
  Series 2006-AR12, Class 1A1,
               
    4.48%, 10/25/2036 (b)
   
1,490,350
     
1,314,747
 
TOTAL NON-AGENCY
               
RESIDENTIAL MORTGAGE
               
BACKED SECURITIES
               
(Cost $4,476,304)
           
4,022,491
 
                 
SHORT-TERM INVESTMENTS – 3.6%
               
Money Market Funds – 3.6%
               
First American Government
               
  Obligations Fund –
               
  Class X, 5.23%(f)
   
3,643,077
   
$
3,643,077
 
TOTAL SHORT-TERM
               
INVESTMENTS
               
(Cost $3,643,077)
           
3,643,077
 
                 
TOTAL INVESTMENTS – 100.9%
               
(Cost $102,352,795)
           
101,938,980
 
                 
Liabilities in Excess
               
of Other Assets – (0.9)%
           
(871,212
)
                 
TOTAL NET ASSETS – 100.0%
         
$
101,067,768
 



 
Percentages are stated as a percent of net assets.
 
The Global Industry Classification Standard (GICS®) was developed by and/or is the exclusive property of MSCI, Inc. and Standard & Poor’s Financial Services LLC (“S&P”). GICS is a service mark of MSCI, Inc. and S&P and has been licensed for use by U.S. Bank Global Fund Services.
 
AG
Aktiengesellschaft
CMT
Constant Maturity Treasury Rate
PLC
Public Limited Company
SOFR
Secured Overnight Financing Rate
TSFR3M
3 Month Term Secured Overnight Financing Rate
(a)
Security is exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may only be resold in transactions exempt from registration to qualified institutional investors. As of February 29, 2024, the value of these securities total $49,720,535 or 49.2% of the Fund’s net assets.
(b)
Coupon rate is variable or floats based on components including but not limited to reference rate and spread. These securities may not indicate a reference rate and/or spread in their description. The rate disclosed is as of February 29, 2024.
(c)
Interest only security.
(d)
Zero coupon bonds make no periodic interest payments but are issued at a discount from par value.
(e)
Step coupon bond. The rate disclosed is as of February 29, 2024.
(f)
The rate shown represents the 7-day effective yield as of February 29, 2024.
The accompanying notes are an integral part of these financial statements.



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 64


STATEMENTS OF OPERATIONS
For the Six Months Ended February 29, 2024 (Unaudited)


   
Performance Trust
   
Performance Trust
   
Performance Trust
 
   
Total Return
   
Municipal
   
Multisector
 
   
Bond Fund
   
Bond Fund
   
Bond Fund
 
Investment Income
                 
Interest income
 
$
155,170,211
   
$
13,785,732
   
$
3,353,490
 
Total Investment Income
   
155,170,211
     
13,785,732
     
3,353,490
 
                         
Expenses
                       
Advisory fees
   
17,829,907
     
1,241,012
     
369,781
 
Sub-transfer agent fees
   
2,791,420
     
     
 
Administration and accounting fees
   
1,187,518
     
137,653
     
35,158
 
Transfer agent fees and expenses
   
467,008
     
53,180
     
11,017
 
Distribution fees – Class C
   
161,732
     
     
 
Custody fees
   
140,143
     
14,353
     
2,844
 
Federal and state registration fees
   
136,576
     
36,782
     
12,757
 
Reports to shareholders
   
136,240
     
12,099
     
2,367
 
Shareholder servicing fees – Class C
   
53,911
     
     
 
Distribution fees – Class A
   
37,026
     
40,407
     
 
Audit and tax fees
   
21,016
     
10,829
     
10,829
 
Legal fees
   
16,447
     
7,737
     
7,990
 
Insurance expense
   
16,086
     
3,358
     
2,077
 
Trustees’ fees
   
12,371
     
12,371
     
12,371
 
Chief Compliance Officer fees
   
5,824
     
5,824
     
5,824
 
Other expenses
   
19,285
     
5,095
     
3,184
 
Total Expenses
   
23,032,510
     
1,580,700
     
476,199
 
Expense Reimbursement by Adviser (Note 4)
   
     
     
(18,595
)
Net Expenses
   
23,032,510
     
1,580,700
     
457,604
 
                         
Net Investment Income
   
132,137,701
     
12,205,032
     
2,895,886
 
                         
Realized and Unrealized Loss on Investments
                       
Net realized loss from:
                       
Investments
   
(126,050,108
)
   
(8,586,374
)
   
(185,179
)
Change in net unrealized
                       
  appreciation/depreciation from investments
   
235,085,052
     
32,753,149
     
3,539,311
 
Net Realized and Unrealized Gain on Investments
   
109,034,944
     
24,166,775
     
3,354,132
 
                         
Net Increase in
                       
  Net Assets from Operations
 
$
241,172,645
   
$
36,371,807
   
$
6,250,018
 



 
The accompanying notes are an integral part of these financial statements.






PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 65


STATEMENTS OF CHANGES IN NET ASSETS
Performance Trust Total Return Bond Fund


   
Six Months Ended
       
   
February 29, 2024
   
Year Ended
 
   
(Unaudited)
   
August 31, 2023
 
From Operations
           
Net investment income
 
$
132,137,701
   
$
204,968,824
 
Net realized loss from investments
   
(126,050,108
)
   
(231,808,333
)
Change in net unrealized appreciation from investments
   
235,085,052
     
22,979,067
 
Net Increase (Decrease) in net assets from operations
   
241,172,645
     
(3,860,442
)
                 
From Distributions
               
Net Distributions
               
    Institutional Class
   
(136,314,761
)
   
(204,912,825
)
    Class A
   
(647,444
)
   
(1,118,873
)
    Class C
   
(797,293
)
   
(1,234,132
)
Net decrease in net assets resulting from distributions paid
   
(137,759,498
)
   
(207,265,830
)
                 
From Capital Share Transactions
               
Proceeds from shares sold
               
    Institutional Class
   
1,755,451,991
     
2,537,736,439
 
    Class A
   
6,577,577
     
14,637,086
 
    Class C
   
8,804,426
     
6,801,990
 
Shares issued in reinvestment of distributions declared
               
    Institutional Class
   
118,784,459
     
179,815,401
 
    Class A
   
627,815
     
1,066,967
 
    Class C
   
794,798
     
1,232,346
 
Cost for shares redeemed
               
    Institutional Class
   
(1,050,977,827
)
   
(2,263,701,105
)
    Class A
   
(6,218,368
)
   
(17,867,623
)
    Class C
   
(5,981,202
)
   
(11,396,206
)
Net increase in net assets from capital share transactions
   
827,863,669
     
448,325,295
 
                 
Total Increase in Net Assets
   
931,276,816
     
237,199,023
 
                 
Net Assets
               
Beginning of period
   
5,783,505,047
     
5,546,306,024
 
End of period
 
$
6,714,781,863
   
$
5,783,505,047
 




The accompanying notes are an integral part of these financial statements.





PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 66


STATEMENTS OF CHANGES IN NET ASSETS
Performance Trust Municipal Bond Fund


   
Six Months Ended
       
   
February 29, 2024
   
Year Ended
 
   
(Unaudited)
   
August 31, 2023
 
From Operations
           
Net investment income
 
$
12,205,032
   
$
22,808,967
 
Net realized loss from investments
   
(8,586,374
)
   
(35,660,856
)
Change in net unrealized appreciation from investments
   
32,753,149
     
14,938,824
 
Net increase in net assets from operations
   
36,371,807
     
2,086,935
 
                 
From Distributions
               
Net Distributions
               
    Institutional Class
   
(11,741,086
)
   
(21,059,221
)
    Class A
   
(571,941
)
   
(1,245,577
)
Net decrease in net assets resulting from distributions paid
   
(12,313,027
)
   
(22,304,798
)
                 
From Capital Share Transactions
               
Proceeds from shares sold
               
    Institutional Class
   
217,675,263
     
323,241,552
 
    Class A
   
13,820,018
     
15,146,083
 
Shares issued in reinvestment of distributions declared
               
    Institutional Class
   
10,324,868
     
18,735,579
 
    Class A
   
548,019
     
1,177,425
 
Cost for shares redeemed
               
    Institutional Class
   
(176,749,387
)
   
(404,806,981
)
    Class A
   
(13,659,854
)
   
(26,368,296
)
Net increase (decrease) in net assets from capital share transactions
   
51,958,927
     
(72,874,638
)
                 
Total Increase (Decrease) in Net Assets
   
76,017,707
     
(93,092,501
)
                 
Net Assets
               
Beginning of period
   
622,845,259
     
715,937,760
 
End of period
 
$
698,862,966
   
$
622,845,259
 


 
The accompanying notes are an integral part of these financial statements.







PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 67


STATEMENTS OF CHANGES IN NET ASSETS
Performance Trust Multisector Bond Fund


   
Six Months Ended
       
   
February 29, 2024
   
Year Ended
 
   
(Unaudited)
   
August 31, 2023
 
From Operations
           
Net investment income
 
$
2,895,886
   
$
5,046,932
 
Net realized loss from investments
   
(185,179
)
   
(3,458,486
)
Change in net unrealized appreciation from investments
   
3,539,311
     
1,093,792
 
Net increase in net assets from operations
   
6,250,018
     
2,682,238
 
                 
From Distributions
               
Net distributions – Institutional Class
   
(2,916,445
)
   
(5,020,968
)
Net decrease in net assets resulting from distributions paid
   
(2,916,445
)
   
(5,020,968
)
                 
From Capital Share Transactions
               
Proceeds from shares sold – Institutional Class
   
14,326,360
     
41,110,523
 
Shares issued in reinvestment of distributions declared –
               
  Institutional Class
   
2,865,556
     
4,935,606
 
Cost for shares redeemed – Institutional Class
   
(8,927,623
)
   
(36,252,578
)
Net increase in net assets from capital share transactions
   
8,264,293
     
9,793,551
 
                 
Total Increase in Net Assets
   
11,597,866
     
7,454,821
 
                 
Net Assets
               
Beginning of period
   
89,469,902
     
82,015,081
 
End of period
 
$
101,067,768
   
$
89,469,902
 





 
The accompanying notes are an integral part of these financial statements.





PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 68


PERFORMANCE TRUST TOTAL RETURN BOND FUND — FINANCIAL HIGHLIGHTS
Per Share Data for a Share Outstanding Throughout Each Period


   
Six Months
   
Year
   
Year
   
Year
   
Year
   
Year
 
   
Ended
   
Ended
   
Ended
   
Ended
   
Ended
   
Ended
 
   
February 29, 2024
   
August 31,
   
August 31,
   
August 31,
   
August 31,
   
August 31,
 
   
(Unaudited)
   
2023
   
2022
   
2021
   
2020
   
2019
 
Institutional Class Shares
                                   
                                     
Net Asset Value,
                                   
  Beginning of Period
 
$
19.18
   
$
19.89
   
$
23.17
   
$
22.99
   
$
23.22
   
$
22.21
 
                                                 
Income (loss) from
                                               
  investment operations:
                                               
Net investment income(1)
   
0.42
     
0.75
     
0.72
     
0.78
     
0.82
     
0.83
 
Net realized and unrealized
                                               
  gain (loss) on investments(2)
   
0.37
     
(0.70
)
   
(3.22
)
   
0.23
     
(0.18
)
   
1.07
 
Total from investment operations
   
0.79
     
0.05
     
(2.50
)
   
1.01
     
0.64
     
1.90
 
                                                 
Less distributions paid:
                                               
From net investment income
   
(0.44
)
   
(0.76
)
   
(0.70
)
   
(0.83
)
   
(0.87
)
   
(0.89
)
From net realized gain on investments
   
     
     
(0.08
)
   
     
     
 
Total distributions paid
   
(0.44
)
   
(0.76
)
   
(0.78
)
   
(0.83
)
   
(0.87
)
   
(0.89
)
                                                 
Paid-in capital from
                                               
  redemption fees (Note 2)
   
     
     
     
     
0.00
(3) 
   
0.00
(3) 
                                                 
Net Asset Value, End of Period
 
$
19.53
   
$
19.18
   
$
19.89
   
$
23.17
   
$
22.99
   
$
23.22
 
                                                 
Total Return(4)
   
4.21
%
   
0.30
%
   
-11.00
%
   
4.49
%
   
2.87
%
   
8.79
%
                                                 
Supplemental Data and Ratios:
                                               
Net assets at end of Period (000’s)
 
$
6,637,623
   
$
5,712,347
   
$
5,466,750
   
$
6,327,797
   
$
4,264,846
   
$
2,836,855
 
                                                 
Ratio of expenses to
                                               
  average net assets(5)
   
0.77
%
   
0.76
%
   
0.75
%
   
0.76
%
   
0.78
%
   
0.80
%
                                                 
Ratio of net investment income
                                               
  to average net assets(5)
   
4.46
%
   
3.90
%
   
3.34
%
   
3.39
%
   
3.64
%
   
3.68
%
                                                 
Portfolio turnover rate(4)
   
16.73
%
   
35.55
%
   
53.11
%
   
30.80
%
   
41.75
%
   
40.59
%




(1)
Per share net investment income was calculated using the average shares outstanding method.
(2)
Realized gains and losses per share in the caption are balancing amounts necessary to reconcile the change in net asset value per share for the period, and may not reconcile with the aggregate gains and losses in the Statements of Operations due to share transactions for the period.
(3)
Rounds to less than $0.005 per share.
(4)
Not annualized for periods less than one year.
(5)
Annualized for periods less than one year.
The accompanying notes are an integral part of these financial statements.




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 69


PERFORMANCE TRUST TOTAL RETURN BOND FUND — FINANCIAL HIGHLIGHTS
Per Share Data for a Share Outstanding Throughout Each Period


   
Six Months
   
Year
   
Year
   
Year
   
Year
   
Year
 
   
Ended
   
Ended
   
Ended
   
Ended
   
Ended
   
Ended
 
   
February 29, 2024
   
August 31,
   
August 31,
   
August 31,
   
August 31,
   
August 31,
 
   
(Unaudited)
   
2023
   
2022
   
2021
   
2020
   
2019(1)
 
Class A Shares
                                   
                                     
Net Asset Value,
                                   
  Beginning of Period
 
$
19.18
   
$
19.89
   
$
23.18
   
$
22.99
   
$
23.23
   
$
22.13
 
                                                 
Income (loss) from
                                               
  investment operations:
                                               
Net investment income(2)
   
0.40
     
0.70
     
0.67
     
0.72
     
0.76
     
0.58
 
Net realized and unrealized
                                               
  gain (loss) on investments(3)
   
0.37
     
(0.70
)
   
(3.23
)
   
0.24
     
(0.18
)
   
1.08
 
Total from investment operations
   
0.77
     
0.00
     
(2.56
)
   
0.96
     
0.58
     
1.66
 
                                                 
Less distributions paid:
                                               
From net investment income
   
(0.42
)
   
(0.71
)
   
(0.65
)
   
(0.77
)
   
(0.82
)
   
(0.57
)
From net realized gain on investments
   
     
     
(0.08
)
   
     
     
 
Total distributions paid
   
(0.42
)
   
(0.71
)
   
(0.73
)
   
(0.77
)
   
(0.82
)
   
(0.57
)
                                                 
Paid-in capital from
                                               
  redemption fees (Note 2)
   
     
     
     
     
0.00
(4) 
   
0.01
 
                                                 
Net Asset Value, End of Period
 
$
19.53
   
$
19.18
   
$
19.89
   
$
23.18
   
$
22.99
   
$
23.23
 
                                                 
Total Return(5)(6)
   
4.08
%
   
0.05
%
   
-11.26
%
   
4.28
%
   
2.60
%
   
7.67
%
                                                 
Supplemental Data and Ratios:
                                               
Net assets at end of Period (000’s)
 
$
30,703
   
$
29,145
   
$
32,476
   
$
32,802
   
$
19,297
   
$
7,549
 
                                                 
Ratio of expenses
                                               
  to average net assets(7)
   
1.02
%
   
1.01
%
   
1.00
%
   
1.01
%
   
1.03
%
   
1.05
%
                                                 
Ratio of net investment income
                                               
  to average net assets(7)
   
4.21
%
   
3.63
%
   
3.12
%
   
3.12
%
   
3.40
%
   
3.80
%
                                                 
Portfolio turnover rate(6)(8)
   
16.73
%
   
35.55
%
   
53.11
%
   
30.80
%
   
41.75
%
   
40.59
%



(1)
The Class A shares commenced operations on January 2, 2019.
(2)
Per share net investment income was calculated using the average shares outstanding method.
(3)
Realized gains and losses per share in the caption are balancing amounts necessary to reconcile the change in net asset value per share for the period, and may not reconcile with the aggregate gains and losses in the Statements of Operations due to share transactions for the period.
(4)
Rounds to less than $0.005 per share.
(5)
Based on net asset value, which does not reflect sales charge.
(6)
Not annualized for periods less than one year.
(7)
Annualized for periods less than one year.
(8)
Portfolio turnover rates are calculated at the Fund level (not by individual share class).
The accompanying notes are an integral part of these financial statements.




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 70


PERFORMANCE TRUST TOTAL RETURN BOND FUND — FINANCIAL HIGHLIGHTS
Per Share Data for a Share Outstanding Throughout Each Period


   
Six Months
   
Year
   
Year
   
Year
   
Year
   
Year
 
   
Ended
   
Ended
   
Ended
   
Ended
   
Ended
   
Ended
 
   
February 29, 2024
   
August 31,
   
August 31,
   
August 31,
   
August 31,
   
August 31,
 
   
(Unaudited)
   
2023
   
2022
   
2021
   
2020
   
2019(1)
 
Class C Shares
                                   
                                     
Net Asset Value,
                                   
  Beginning of Period
 
$
19.11
   
$
19.81
   
$
23.10
   
$
22.92
   
$
23.18
   
$
22.13
 
                                                 
Income (loss) from
                                               
  investment operations:
                                               
Net investment income(2)
   
0.33
     
0.56
     
0.52
     
0.55
     
0.59
     
0.46
 
Net realized and unrealized
                                               
  gain (loss) on investments(3)
   
0.36
     
(0.69
)
   
(3.23
)
   
0.24
     
(0.18
)
   
1.09
 
Total from investment operations
   
0.69
     
(0.13
)
   
(2.71
)
   
0.79
     
0.41
     
1.55
 
                                                 
Less distributions paid:
                                               
From net investment income
   
(0.35
)
   
(0.57
)
   
(0.50
)
   
(0.61
)
   
(0.67
)
   
(0.50
)
From net realized gain on investments
   
     
     
(0.08
)
   
     
     
 
Total distributions paid
   
(0.35
)
   
(0.57
)
   
(0.58
)
   
(0.61
)
   
(0.67
)
   
(0.50
)
                                                 
Paid-in capital from
                                               
  redemption fees (Note 2)
   
     
     
     
     
0.00
(4) 
   
0.00
(4) 
                                                 
Net Asset Value, End of Period
 
$
19.45
   
$
19.11
   
$
19.81
   
$
23.10
   
$
22.92
   
$
23.18
 
                                                 
Total Return(5)
   
3.66
%
   
-0.65
%
   
-11.92
%
   
3.49
%
   
1.83
%
   
7.10
%
                                                 
Supplemental Data and Ratios:
                                               
Net assets at end of Period (000’s)
 
$
46,456
   
$
42,012
   
$
47,081
   
$
56,625
   
$
31,184
   
$
7,418
 
                                                 
Ratio of expenses
                                               
  to average net assets(6)
   
1.77
%
   
1.76
%
   
1.75
%
   
1.76
%
   
1.78
%
   
1.80
%
                                                 
Ratio of net investment income
                                               
  to average net assets(6)
   
3.46
%
   
2.88
%
   
2.33
%
   
2.37
%
   
2.66
%
   
3.04
%
                                                 
Portfolio turnover rate(5)(7)
   
16.73
%
   
35.55
%
   
53.11
%
   
30.80
%
   
41.75
%
   
40.59
%


 

(1)
The Class C shares commenced operations on January 2, 2019.
(2)
Per share net investment income was calculated using the average shares outstanding method.
(3)
Realized gains and losses per share in the caption are balancing amounts necessary to reconcile the change in net asset value per share for the period, and may not reconcile with the aggregate gains and losses in the Statements of Operations due to share transactions for the period.
(4)
Rounds to less than $0.005 per share.
(5)
Not annualized for periods less than one year.
(6)
Annualized for periods less than one year.
(7)
Portfolio turnover rates are calculated at the Fund level (not by individual share class).
The accompanying notes are an integral part of these financial statements.






PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 71


PERFORMANCE TRUST MUNICIPAL BOND FUND — FINANCIAL HIGHLIGHTS
Per Share Data for a Share Outstanding Throughout Each Period


   
Six Months
   
Year
   
Year
   
Year
   
Year
   
Year
 
   
Ended
   
Ended
   
Ended
   
Ended
   
Ended
   
Ended
 
   
February 29, 2024
   
August 31,
   
August 31,
   
August 31,
   
August 31,
   
August 31,
 
   
(Unaudited)
   
2023
   
2022
   
2021
   
2020
   
2019
 
Institutional Class Shares
                                   
                                     
Net Asset Value,
                                   
  Beginning of Period
 
$
22.05
   
$
22.65
   
$
25.94
   
$
25.52
   
$
25.49
   
$
23.79
 
                                                 
Income (loss) from
                                               
  investment operations:
                                               
Net investment income(1)
   
0.44
     
0.82
     
0.50
     
0.49
     
0.54
     
0.72
 
Net realized and unrealized
                                               
  gain (loss) on investments
   
0.99
     
(0.62
)
   
(3.31
)
   
0.61
     
0.22
     
1.69
 
Total from investment operations
   
1.43
     
0.20
     
(2.81
)
   
1.10
     
0.76
     
2.41
 
                                                 
Less distributions paid:
                                               
From net investment income
   
(0.45
)
   
(0.80
)
   
(0.48
)
   
(0.58
)
   
(0.66
)
   
(0.71
)
From return of capital
   
     
     
     
(0.06
)
   
     
 
From net realized gain on investments
   
     
     
     
(0.04
)
   
(0.07
)
   
 
Total distributions paid
   
(0.45
)
   
(0.80
)
   
(0.48
)
   
(0.68
)
   
(0.73
)
   
(0.71
)
                                                 
Paid-in capital from
                                               
  redemption fees (Note 2)
   
     
     
     
     
0.00
(2) 
   
0.00
(2) 
                                                 
Net Asset Value, End of Period
 
$
23.03
   
$
22.05
   
$
22.65
   
$
25.94
   
$
25.52
   
$
25.49
 
                                                 
Total Return(3)
   
6.55
%
   
0.88
%
   
-10.96
%
   
4.35
%
   
3.07
%
   
10.31
%
                                                 
Supplemental Data and Ratios:
                                               
Net assets at end of Period (000’s)
 
$
662,508
   
$
588,234
   
$
670,095
   
$
818,825
   
$
500,176
   
$
307,384
 
                                                 
Ratio of expenses to
                                               
  average net assets:
                                               
Before waiver, expense
                                               
  reimbursements and recoupments(4)
   
0.50
%
   
0.49
%
   
0.48
%
   
0.49
%
   
0.53
%
   
0.57
%
After waiver, expense
                                               
  reimbursements and recoupments(4)
   
0.50
%
   
0.49
%
   
0.48
%
   
0.50
%
   
0.55
%
   
0.55
%
                                                 
Ratio of net investment income
                                               
  to average net assets:
                                               
Before waiver, expense
                                               
  reimbursements and recoupments(4)
   
3.95
%
   
3.65
%
   
2.02
%
   
1.92
%
   
2.19
%
   
2.94
%
After waiver, expense
                                               
  reimbursements and recoupments(4)
   
3.95
%
   
3.65
%
   
2.02
%
   
1.91
%
   
2.17
%
   
2.96
%
                                                 
Portfolio turnover rate(3)
   
38.46
%
   
68.24
%
   
81.53
%
   
15.91
%
   
27.12
%
   
35.29
%


 

(1)
Per share net investment income was calculated using the average shares outstanding method.
(2)
Rounds to less than $0.005 per share.
(3)
Not annualized for periods less than one year.
(4)
Annualized for periods less than one year.
The accompanying notes are an integral part of these financial statements.




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 72


PERFORMANCE TRUST MUNICIPAL BOND FUND — FINANCIAL HIGHLIGHTS
Per Share Data for a Share Outstanding Throughout Each Period


   
Six Months
   
Year
   
Year
   
Year
   
Year
   
Year
 
   
Ended
   
Ended
   
Ended
   
Ended
   
Ended
   
Ended
 
   
February 29, 2024
   
August 31,
   
August 31,
   
August 31,
   
August 31,
   
August 31,
 
   
(Unaudited)
   
2023
   
2022
   
2021
   
2020
   
2019
 
Class A Shares
                                   
                                     
Net Asset Value,
                                   
  Beginning of Period
 
$
22.07
   
$
22.67
   
$
25.96
   
$
25.54
   
$
25.51
   
$
23.81
 
                                                 
Income (loss) from
                                               
  investment operations:
                                               
Net investment income(1)
   
0.41
     
0.76
     
0.44
     
0.42
     
0.48
     
0.66
 
Net realized and unrealized
                                               
  gain (loss) on investments
   
0.99
     
(0.62
)
   
(3.31
)
   
0.61
     
0.22
     
1.69
 
Total from investment operations
   
1.40
     
0.14
     
(2.87
)
   
1.03
     
0.70
     
2.35
 
                                                 
Less distributions paid:
                                               
From net investment income
   
(0.42
)
   
(0.74
)
   
(0.42
)
   
(0.50
)
   
(0.60
)
   
(0.65
)
From return of capital
   
     
     
     
(0.07
)
   
     
 
From net realized gain on investments
   
     
     
     
(0.04
)
   
(0.07
)
   
 
Total distributions paid
   
(0.42
)
   
(0.74
)
   
(0.42
)
   
(0.61
)
   
(0.67
)
   
(0.65
)
                                                 
Paid-in capital from
                                               
  redemption fees (Note 2)
   
     
     
     
     
0.00
(2) 
   
0.00
(2) 
                                                 
Net Asset Value, End of Period
 
$
23.05
   
$
22.07
   
$
22.67
   
$
25.96
   
$
25.54
   
$
25.51
 
                                                 
Total Return(3)(4)
   
6.41
%
   
0.62
%
   
-11.17
%
   
4.09
%
   
2.83
%
   
10.02
%
                                                 
Supplemental Data and Ratios:
                                               
Net assets at end of Period (000’s)
 
$
36,355
   
$
34,611
   
$
45,843
   
$
55,918
   
$
42,552
   
$
22,141
 
                                                 
Ratio of expenses to
                                               
  average net assets:
                                               
Before waiver, expense
                                               
  reimbursements and recoupments(5)
   
0.75
%
   
0.74
%
   
0.73
%
   
0.74
%
   
0.78
%
   
0.82
%
After waiver, expense
                                               
  reimbursements and recoupments(5)
   
0.75
%
   
0.74
%
   
0.73
%
   
0.77
%
   
0.80
%
   
0.80
%
                                                 
Ratio of net investment income
                                               
  to average net assets:
                                               
Before waiver, expense
                                               
  reimbursements and recoupments(5)
   
3.69
%
   
3.39
%
   
1.78
%
   
1.67
%
   
1.93
%
   
2.69
%
After waiver, expense
                                               
  reimbursements and recoupments(5)
   
3.69
%
   
3.39
%
   
1.78
%
   
1.64
%
   
1.91
%
   
2.71
%
                                                 
Portfolio turnover rate(4)
   
38.46
%
   
68.24
%
   
81.53
%
   
15.91
%
   
27.12
%
   
35.29
%


 

(1)
Per share net investment income was calculated using the average shares outstanding method.
(2)
Rounds to less than $0.005 per share.
(3)
Based on net asset value, which does not reflect sales charge.
(4)
Not annualized for periods less than one year.
(5)
Annualized for periods less than one year.
The accompanying notes are an integral part of these financial statements.




PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 73


PERFORMANCE TRUST MULTISECTOR BOND FUND — FINANCIAL HIGHLIGHTS
Per Share Data for a Share Outstanding Throughout Each Period


   
Six Months
   
Year
   
Year
   
Period
 
   
Ended
   
Ended
   
Ended
   
Ended
 
   
February 29, 2024
   
August 31,
   
August 31,
   
August 31,
 
   
(Unaudited)
   
2023
   
2022
   
2021(1)
 
Institutional Class Shares
                       
                         
Net Asset Value, Beginning of Period
 
$
8.47
   
$
8.72
   
$
10.07
   
$
10.00
 
                                 
Income (loss) from investment operations:
                               
Net investment income(2)
   
0.27
     
0.51
     
0.38
     
0.39
 
Net realized and unrealized gain (loss) on investments(3)
   
0.30
     
(0.25
)
   
(1.33
)
   
0.01
 
Total from investment operations
   
0.57
     
0.26
     
(0.95
)
   
0.40
 
                                 
Less distributions paid:
                               
From net investment income
   
(0.27
)
   
(0.51
)
   
(0.39
)
   
(0.33
)
From net realized gain on investments
   
     
     
(0.01
)
   
 
Total distributions paid
   
(0.27
)
   
(0.51
)
   
(0.40
)
   
(0.33
)
                                 
Paid-in capital from redemption fees (Note 2)
   
     
     
     
 
                                 
Net Asset Value, End of Period
 
$
8.77
   
$
8.47
   
$
8.72
   
$
10.07
 
                                 
Total Return(4)
   
6.85
%
   
3.12
%
   
-9.66
%
   
4.06
%
                                 
Supplemental Data and Ratios:
                               
Net assets at end of Period (000’s)
 
$
101,068
   
$
89,470
   
$
82,015
   
$
13,025
 
                                 
Ratio of expenses to average net assets:
                               
Before waiver and expense reimbursement(5)
   
1.03
%
   
1.06
%
   
1.19
%
   
2.47
%
After waiver and expense reimbursement(5)
   
0.99
%
   
0.99
%
   
0.99
%
   
0.99
%
                                 
Ratio of net investment income to average net assets:
                               
Before waiver and expense reimbursement(5)
   
6.23
%
   
5.91
%
   
3.98
%
   
4.34
%
After waiver and expense reimbursement(5)
   
6.27
%
   
5.98
%
   
4.18
%
   
5.82
%
                                 
Portfolio turnover rate(4)
   
24.32
%
   
74.40
%
   
59.74
%
   
109.25
%




 
(1)
The inception date for the Fund was December 31, 2020 and investment operations commenced January 4, 2021.
(2)
Per share net investment income was calculated using the average shares outstanding method.
(3)
Realized gains and losses per share in the caption are balancing amounts necessary to reconcile the change in net asset value per share for the period, and may not reconcile with the aggregate gains and losses in the Statements of Operations due to share transactions for the period.
(4)
Not annualized for periods less than one year.
(5)
Annualized for periods less than one year.
The accompanying notes are an integral part of these financial statements.






PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 74


PERFORMANCE TRUST MUTUAL FUNDS NOTES TO FINANCIAL STATEMENTS
February 29, 2024 (Unaudited)



1.
Organization
 
Trust for Professional Managers (the “Trust”) was organized as a Delaware statutory trust under a Declaration of Trust dated May 29, 2001. The Trust is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. The Performance Trust Mutual Funds (the “Funds”) are comprised of the Performance Trust Total Return Bond Fund (the “Total Return Bond Fund”) (f/k/a/Performance Trust Strategic Bond Fund), the Performance Trust Municipal Bond Fund (the “Municipal Bond Fund”), and the Performance Trust Multisector Bond Fund (the “Multisector Bond Fund”) (f/k/a/Performance Trust Credit Fund), each representing a distinct diversified series with its own investment objective and policies within the Trust. The investment objective of the Total Return Bond Fund is to purchase undervalued fixed-income assets and achieve investment returns through interest income and potential capital appreciation. The investment objective of the Municipal Bond Fund is to provide a high level of current interest income that is substantially exempt from regular federal income taxes and is consistent with preservation of capital. The investment objective of the Multisector Bond Fund is to achieve long-term investment returns primarily by investing in a portfolio of income producing securities that may have the potential for capital appreciation. The Trust may issue an unlimited number of shares of beneficial interest at $0.001 par value. The assets of the Funds are segregated, and a shareholder’s interest is limited to the Fund in which shares are held. The Institutional Class shares of the Total Return Bond Fund commenced investment operations on September 1, 2010. The Class A and Class C shares of the Total Return Bond Fund commenced investment operations on January 2, 2019. The Municipal Bond Fund commenced investment operations on June 30, 2011 and September 28, 2012 for the Institutional Class and Class A shares, respectively. The Institutional Class shares of the Multisector Bond Fund commenced investment operations on January 4, 2021. Effective January 2, 2019, the Retail Class shares of the Municipal Bond Fund were redesignated as Class A shares. Class A shares are subject to an initial maximum sales charge of 2.25% imposed at the time of purchase. The sales charge declines as the amount purchased increases in accordance with the Funds’ current prospectus. Class A shares are subject to a 0.25% Rule 12b-1 distribution and service fee. Class C shares are subject to a 1.00% Rule 12b-1 distribution and service fee. Each class of shares has identical rights and privileges except with respect to distribution fees, and voting rights on matters affecting a single class of shares. Costs incurred by the Funds in connection with the organization and the initial public offering of shares were paid by PT Asset Management, LLC (DBA: PTAM) (the “Adviser”), the Funds’ investment adviser. The Funds are investment companies and accordingly follow the investment company accounting and reporting guidance of the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification Topic 946 Financial Services—Investment Companies.
   
2.
Significant Accounting Policies
 
The following is a summary of significant accounting policies consistently followed by the Funds in the preparation of the financial statements. These policies are in conformity with generally accepted accounting principles in the United States of America (“GAAP”).
   
a.
Investment Valuation
 
Each equity security owned by a Fund that is listed on a securities exchange, except securities listed on the NASDAQ Stock Market, LLC (“NASDAQ”), is valued at its last sale price at the close of that exchange on the date as of which assets are valued. If the security is listed on more than one exchange, a Fund will use the price of the exchange that the Fund generally considers to be the principal exchange on which the security is traded. Portfolio securities listed on NASDAQ will be valued at the NASDAQ Official Closing Price, which may not necessarily represent the last sale price. If there has been no sale on such exchange or on NASDAQ on such day, the security is valued at the mean between the most recent quoted bid and asked prices on such day or the security shall be valued at the latest sales price on the “composite market” for the day such security is being valued. The composite market is defined as a consolidation of the trade information provided by national securities and foreign exchanges and over-the-counter markets as published by an approved independent pricing service (a “Pricing Service”).
   
 
Debt securities, such as U.S. government securities, corporate securities, municipal securities, collateralized loan obligations and asset-backed and mortgage-backed securities, including short-term debt instruments having a maturity of 60 days or less, are valued at the mean in accordance with prices supplied by a Pricing Service. Pricing Services may use various valuation methodologies such as the mean between the bid and the asked prices, matrix pricing and other analytical pricing models as well as market transactions and dealer quotations. If a price is not available from a Pricing Service, the most recent quotation obtained from one or more broker-dealers known to follow the issue will be obtained. Quotations will be valued at the mean between the bid and the offer. In the absence of available quotations, the securities will be priced at fair value. Pricing Services generally value debt securities assuming orderly transactions of an institutional round lot size, but such securities may be held or transactions may be conducted in such securities in smaller, odd lot sizes. Odd lots often trade at lower prices than institutional round lots.
   
 
Redeemable securities issued by open-end, registered investment companies, including money market funds, are valued at the net asset value (“NAV”) of such companies for purchase and/or redemption orders placed on that day. If, on a particular day, a share of an investment company is not listed on NASDAQ, such security’s fair value will be determined. All exchange-traded funds are valued at the last reported sale price on the exchange on which the security is principally traded. In the event market quotations are not readily available, such security will be valued at its fair value, discussed below.
   
 
If market quotations are not readily available, a security or other asset will be valued at its fair value in accordance with Rule 2a-5 of the 1940 Act as determined under the Adviser’s fair value pricing procedures, subject to oversight by the Board of Trustees. These fair value pricing procedures will also be used to price a security when corporate events, events in the securities market and/or world events cause the Adviser to believe that a security’s last sale price may not reflect its actual market value. The intended effect of using fair value pricing procedures is to ensure that the Funds are accurately priced. The Adviser will regularly evaluate whether the Funds’ fair value pricing procedures continue to be appropriate in light of the specific circumstances of the Funds and the quality of prices obtained through the application of such procedures.
   
 
FASB Accounting Standards Codification, Fair Value Measurements and Disclosures Topic 820 (“ASC 820”), establishes an authoritative definition of fair value and sets out

 

 

 


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a hierarchy for measuring fair value. ASC 820 requires an entity to evaluate certain factors to determine whether there has been a significant decrease in volume and level of activity for the security such that recent transactions and quoted prices may not be determinative of fair value and further analysis and adjustment may be necessary to estimate fair value. ASC 820 also requires enhanced disclosure regarding the inputs and valuation techniques used to measure fair value as well as expanded disclosure of valuation levels for each class of investments. These inputs are summarized in the three broad levels listed below:
   
 
»  Level 1: Quoted prices in active markets for identical securities.
   
 
»  Level 2: Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
   
 
»  Level 3: Significant unobservable inputs (including a Fund’s own assumptions in determining the fair value of investments).
   
 
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. The following is a summary of the inputs used to value the Funds’ investments carried at fair value as of February 29, 2024:


 
Performance Trust Total Return Bond Fund
                       
     
Level 1
   
Level 2
   
Level 3
   
Total
 
 
Assets:
                       
 
Municipal
                       
 
Bonds
 
$
   
$
1,323,640,215
   
$
   
$
1,323,640,215
 
 
Corporate
                               
 
Bonds
   
     
1,205,980,847
     
     
1,205,980,847
 
 
Non-Agency
                               
 
Commercial
                               
 
Mortgage
                               
 
Backed
                               
 
Securities
   
     
987,385,869
     
     
987,385,869
 
 
U.S. Treasury
                               
 
Obligations
   
     
940,151,465
     
     
940,151,465
 
 
Asset-Backed
                               
 
Securities
   
     
819,826,414
     
     
819,826,414
 
 
Collateralized
                               
 
Loan
                               
 
Obligations
   
     
430,776,935
     
     
430,776,935
 
 
Agency
                               
 
Commercial
                               
 
Mortgage
                               
 
Backed
                               
 
Securities
   
     
399,842,818
     
     
399,842,818
 
 
Non-Agency
                               
 
Residential
                               
 
Mortgage
                               
 
Backed
                               
 
Securities
   
     
378,023,988
     
     
378,023,988
 
 
Money
                               
 
Market Funds
   
49,598,566
     
     
     
49,598,566
 
 
U.S. Treasury
                               
 
Bills
   
     
138,242,741
     
     
138,242,741
 
 
Total Assets
 
$
49,598,566
   
$
6,623,871,292
   
$
   
$
6,673,469,858
 
                                   
 
Performance Trust Municipal Bond Fund
                               
     
Level 1
   
Level 2
   
Level 3
   
Total
 
 
Assets:
                               
 
Municipal
                               
 
Bonds
 
$
   
$
626,744,210
   
$
   
$
626,744,210
 
 
Agency
                               
 
Commercial
                               
 
Mortgage
                               
 
Backed
                               
 
Securities
   
     
37,292,522
     
     
37,292,522
 
 
Non-Agency
                               
 
Commercial
                               
 
Mortgage
                               
 
Backed
                               
 
Securities
   
     
12,768,771
     
     
12,768,771
 
 
Corporate
                               
 
Bonds
   
     
3,000,000
     
     
3,000,000
 
 
Money
                               
 
Market Funds
   
28,236,434
     
     
     
28,236,434
 
 
Total Assets
 
$
28,236,434
   
$
679,805,503
   
$
   
$
708,041,937
 
                                   
 
Performance Trust Multisector Bond Fund
                               
     
Level 1
   
Level 2
   
Level 3
   
Total
 
 
Assets:
                               
 
Corporate
                               
 
Bonds
 
$
   
$
41,987,189
   
$
   
$
41,987,189
 
 
Non-Agency
                               
 
Commercial
                               
 
Mortgage
                               
 
Backed
                               
 
Securities
   
     
19,250,559
     
     
19,250,559
 
 
Collateralized
                               
 
Loan
                               
 
Obligations
   
     
14,814,626
     
     
14,814,626
 
 
Asset-Backed
                               
 
Securities
   
     
6,449,598
     
     
6,449,598
 
 
U.S. Treasury
                               
 
Obligations
   
     
6,150,438
     
     
6,150,438
 
 
Municipal
                               
 
Bonds
   
     
5,621,002
     
     
5,621,002
 
 
Non-Agency
                               
 
Residential
                               
 
Mortgage
                               
 
Backed
                               
 
Securities
   
     
4,022,491
     
     
4,022,491
 
 
Money
                               
 
Market Funds
   
3,643,077
     
     
     
3,643,077
 
 
Total Assets
 
$
3,643,077
   
$
98,295,903
   
$
   
$
101,938,980
 

 
The Funds did not hold any Level 3 securities during the six months ended February 29, 2024.
   

The Funds did not hold any financial derivative instruments during the six months ended February 29, 2024.

b.
Short Positions
 
The Funds may sell a security they do not own in anticipation of a decline in the fair value of that security. When a Fund sells a security short, it must borrow the security sold short and deliver it to the broker-dealer through which it made the short sale. A gain, limited to the price at which a Fund sold the security short, or a loss, unlimited in size, will be recognized upon the termination of a short sale. The Funds are liable for any dividends or interest payable on securities while those

 

 


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February 29, 2024 (Unaudited)

 
 
securities are in a short position. Such amounts are recorded on the ex-dividend date as a dividend expense. As collateral for its short positions, the Funds are required under the 1940 Act to maintain segregated assets consisting of cash, cash equivalents or liquid securities. The segregated assets are valued consistent with Note 2a above. The amount of segregated assets are required to be adjusted daily to reflect changes in the fair value of the securities sold short.  As of February 29, 2024, the Funds did not have any open short positions and accordingly did not have securities or cash held as collateral.
   
c.
Federal Income Taxes
 
Each Fund intends to comply with the requirements of Subchapter M of the Internal Revenue Code of 1986, as amended (the “Code”) necessary to qualify as a regulated investment company and to make the requisite distributions of income and capital gains to their shareholders sufficient to relieve them from all or substantially all federal income taxes. Therefore, no federal income tax provision has been provided.
   
 
As of and during the six months ended February 29, 2024, the Funds did not have a liability for any unrecognized tax benefits. The Funds recognize interest and penalties, if any, related to uncertain tax benefits as income tax expense in the Statements of Operations. During the six months ended February 29, 2024, the Funds did not incur any interest or penalties. The Funds are not subject to examination by U.S. taxing authorities for the tax periods prior to the year ended August 31, 2020.
   
d.
Distributions to Shareholders
 
The Funds will distribute any net investment income monthly. The Funds will distribute any net realized long- or short-term capital gains at least annually. Distributions from net realized gains for book purposes may include short-term capital gains. All short-term capital gains are included in ordinary income for tax purposes. Distributions to shareholders are recorded on the ex-dividend date. The Funds may also pay a special distribution at the end of the calendar year to comply with federal tax requirements.  Income and capital gain distributions may differ from GAAP, primarily due to timing differences in the recognition of income, gains and losses by the Funds.  To the extent that these differences are attributable to permanent book and tax accounting differences, the components of net assets have been adjusted.
   
e.
Use of Estimates
 
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 revenues and expenses during the reporting period. Actual results could differ from those estimates.
   
f.
Share Valuation
 
The NAV per share of a Fund is calculated by dividing the sum of the value of the securities held by the Fund, plus cash or other assets, minus all liabilities (including estimated accrued expenses) by the total number of shares outstanding for the Fund, rounded to the nearest cent. The Funds’ shares will not be priced on the days on which the New York Stock Exchange (“NYSE”) is closed for trading. The Total Return Bond Fund and the Municipal Bond Fund charged a 2.00% redemption fee on shares redeemed within sixty days of purchase through December 28, 2019. These fees were deducted from the redemption proceeds otherwise payable to the shareholder. Effective December 29, 2019, the Total Return Bond Fund and the Municipal Bond Fund eliminated the redemption fees.
   
g.
Allocation of Income, Expenses and Gains/Losses
 
Income, expenses (other than those deemed attributable to a specific share class), and gains and losses of each Fund are allocated daily to each class of shares based upon the ratio of net assets represented by each class as a percentage of the net assets of the Fund. Expenses deemed directly attributable to a class of shares are recorded by the specific class. Most expenses are allocated by class based on relative net assets. Distribution and service (Rule 12b-1) fees are expensed at 0.25% of average daily net assets of the Class A shares of the Total Return Bond Fund and the Municipal Bond Fund and 0.75% of average daily net assets of the Class C shares of the Total Return Bond Fund. Shareholder servicing fees are expensed at 0.25% of average daily net assets of Class C shares of the Total Return Bond Fund. Expenses associated with a specific fund in the Trust are charged to that fund. Common expenses of the Trust are typically allocated evenly between the funds of the Trust, or by other equitable means.
   
h.
Other
 
Investment transactions are recorded on the trade date. The Funds determine the gain or loss from investment transactions on an identified cost basis by comparing the original cost of the security lot sold with the net sale proceeds. Dividend income, less foreign withholding tax, is recognized on the ex-dividend date and interest income is recognized on an accrual basis. Discounts, premiums and interest-only strips are accreted or amortized over the expected life of the respective securities using the constant yield method. Gains and losses on principal payments and short-falls of mortgage backed securities (paydown gains and losses) are included as an adjustment to interest income in the Statements of Operations.
   
3.
Federal Tax Matters
 
The tax character of distributions paid during the years ended August 31, 2023 and August 31, 2022 was as follows:
 
 
PERFORMANCE TRUST TOTAL RETURN BOND FUND
           
     
YEAR ENDED
   
YEAR ENDED
 
     
AUGUST 31, 2023
   
AUGUST 31, 2022
 
 
Ordinary Income
 
$
207,265,830
   
$
208,508,008
 
 
Tax-Exempt Income
   
     
 
 
Long-Term Capital Gain
   
     
16,560,917
 
 
Return of Capital
   
     
 
                   
 
PERFORMANCE TRUST MUNICIPAL BOND FUND
               
     
YEAR ENDED
   
YEAR ENDED
 
     
AUGUST 31, 2023
   
AUGUST 31, 2022
 
 
Ordinary Income
 
$
2,634,721
   
$
3,026,501
 
 
Tax-Exempt Income
   
19,670,077
     
13,354,202
 
 
Long-Term Capital Gain
   
     
 
 
Return of Capital
   
     
 

 




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February 29, 2024 (Unaudited)

 
 
PERFORMANCE TRUST MULTISECTOR BOND FUND
           
     
YEAR ENDED
   
YEAR ENDED
 
     
AUGUST 31, 2023
   
AUGUST 31, 2022
 
 
Ordinary Income
 
$
5,020,968
   
$
1,579,174
 
 
Tax-Exempt Income
   
     
 
 
Long-Term Capital Gain
   
     
 
 
Return of Capital
   
     
 

 
As of August 31, 2023, the components of distributable earnings (accumulated losses) on a tax basis were as follows:

 
PERFORMANCE TRUST TOTAL RETURN BOND FUND
     
 
Cost basis of investments for federal
     
 
  income tax purposes
 
$
6,446,656,675
 
 
Gross tax unrealized appreciation
 
$
20,841,771
 
 
Gross tax unrealized depreciation
   
(743,089,761
)
 
Net tax unrealized appreciation
   
(722,247,990
)
 
Undistributed ordinary income
   
13,775,373
 
 
Undistributed long-term capital gain
   
 
 
Total distributable earnings
   
13,775,373
 
 
Other accumulated losses
   
(376,424,383
)
 
Total accumulated gains
 
$
(1,084,897,100
)
           
 
PERFORMANCE TRUST MUNICIPAL BOND FUND
       
 
Cost basis of investments for federal
       
 
  income tax purposes
 
$
641,674,834
 
 
Gross tax unrealized appreciation
 
$
5,372,597
 
 
Gross tax unrealized depreciation
   
(20,861,853
)
 
Net tax unrealized appreciation
   
(15,489,256
)
 
Undistributed ordinary income
   
1,246,329
 
 
Undistributed long-term capital gain
   
 
 
Total distributable earnings
   
1,246,329
 
 
Other accumulated losses
   
(86,823,662
)
 
Total accumulated gains
 
$
(101,066,589
)
           
 
PERFORMANCE TRUST MULTISECTOR BOND FUND
       
 
Cost basis of investments for federal
       
 
  income tax purposes
 
$
92,030,216
 
 
Gross tax unrealized appreciation
 
$
979,409
 
 
Gross tax unrealized depreciation
   
(4,932,535
)
 
Net tax unrealized appreciation
   
(3,953,126
)
 
Undistributed ordinary income
   
266,107
 
 
Undistributed long-term capital gain
   
 
 
Total distributable earnings
   
266,107
 
 
Other accumulated losses
   
(3,917,908
)
 
Total accumulated gains
 
$
(7,604,927
)

 
The difference between book-basis and tax-basis unrealized appreciation (depreciation) is attributable primarily to the tax deferral of losses on wash sale and amortization adjustments.
   
 
At August 31, 2023, the Funds had capital loss carryovers as follows:

   
SHORT-TERM
LONG-TERM
 
Total Return Bond Fund
$168,578,494
$207,845,889
 
Municipal Bond Fund
44,295,652
42,528,011
 
Multisector Bond Fund
1,419,609
2,498,299

 
GAAP requires that certain components of net assets relating to permanent differences be reclassified between financial and tax reporting. These reclassifications are due to equalization and book versus tax treatment of callable bonds and have no effect on net assets or NAV per share. For the year ended August 31, 2023, the following reclassifications were made for permanent tax differences on the Statements of Assets and Liabilities:

   
TOTAL
   
   
RETURN
MUNICIPAL
MULTISECTOR
   
BOND FUND
BOND FUND
BOND FUND
 
Total
     
 
distributable
     
 
earnings
$—
$—
$—
 
Paid-in capital
$—
$—
$—
 
4.
Investment Adviser
 
The Trust has an Investment Advisory Agreement (the “Agreement”) with the Adviser to furnish investment advisory services to the Funds. Under the terms of the Agreement, the Funds compensate the Adviser for its management services at the annual rate of 0.60% for the Total Return Bond Fund, 0.40% for the Municipal Bond Fund, and 0.80% for the Multisector Bond Fund of the respective Fund’s average daily net assets.
   
 
The Adviser has contractually agreed to waive its management fee and/or reimburse Fund expenses at the discretion of the Adviser and the Board of Trustees, to the extent necessary to ensure that the total annual Fund operating expenses (exclusive of front-end or contingent deferred sales loads, Rule 12b-1 plan fees, shareholder servicing plan fees, taxes, leverage (i.e., any expenses incurred in connection with borrowings made by a Fund), interest (including interest incurred in connection with bank and custody overdrafts), brokerage commissions and other transactional expenses, expenses incurred in connection with any merger or reorganization, dividends or interest expense on short positions, acquired fund fees and expenses and extraordinary expenses such as litigation) do not exceed 0.95%, 0.55%, and 0.99% (the “Expense Limitation Cap”) of the average daily net assets of the Total Return Bond Fund, Municipal Bond Fund, and Multisector Bond Fund, respectively.  The operating expense limitation agreement is in place at least through December 29, 2024 for each Fund. Any such waiver or reimbursement is subject to later adjustment to allow the Adviser to recover amounts waived or reimbursed to the extent actual fees and expenses for a fiscal period do not exceed the lesser of: (1) the Expense Limitation Cap in place at the time of the waiver and/or reimbursement; or (2) the Expense Limitation Cap in place at the time of recovery; provided, however, that the Adviser shall only be entitled to recover such amounts for a period of up to three years from the date such amount was waived or reimbursed.
   
 
The following table shows the remaining waived or reimbursed expenses subject to potential recovery expiring by:

     
TOTAL
             
     
RETURN
   
MUNICIPAL
   
MULTISECTOR
 
     
BOND FUND
   
BOND FUND
   
BOND FUND
 
 
August 31, 2024
 
$
   
$
   
$
102,789
 
 
August 31, 2025
 
$
   
$
   
$
81,663
 
 
August 31, 2026
 
$
   
$
   
$
57,546
 
 
February 29, 2027
 
$
   
$
   
$
18,595
 
 
5.
Distribution and Shareholder Servicing Plan
 
The Trust has adopted a plan pursuant to Rule 12b-1 under the 1940 Act (the “12b-1 Plan”) on behalf of the Total Return Bond Fund and the Municipal Bond Fund, which authorizes

 

 

 


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February 29, 2024 (Unaudited)

 
 
the Funds to pay Foreside Fund Services, LLC (the “Distributor”) a distribution fee of 0.25% of each Fund’s average daily net assets of Class A shares and 0.75% of the Total Return Bond Fund’s average daily net assets for Class C shares, for services to prospective Fund shareholders and distribution of Fund shares, and 0.25% of the Total Return Bond Fund’s average daily net assets of Class C shares for shareholder servicing, as applicable. During the six months ended February 29, 2024, the Funds accrued expenses pursuant to the 12b-1 Plan as follows:

       
Shareholder
   
12b-1 Fees
 
Servicing Fees
 
Total Return Bond Fund
     
 
Class A
$   37,026
 
          N/A
 
Class C
$ 161,732
 
          $53,911
 
Municipal Bond Fund
     
 
Class A
$   40,407
 
          N/A

 
6.
Related Party Transactions
 
U.S. Bancorp Fund Services, LLC (doing business as U.S. Bank Global Fund Services (“Fund Services”)) acts as the Funds’ administrator and fund accountant under an Administration Agreement. Fund Services performs various administrative and accounting services including: preparing various federal and state regulatory filings, reports and returns for the Funds; preparing reports and materials to be supplied to the Trustees; monitoring the activities of the Funds’ custodian, transfer agent and accountants; coordinating the preparation and payment of the Funds’ expenses; and reviewing the Funds’ expense accruals.  Fund Services also serves as the transfer agent to the Funds. U.S. Bank, N.A. (“US Bank”), an affiliate of Fund Services, serves as each Fund’s custodian.  Fees incurred for the six months ended February 29, 2024, and owed as of February 29, 2024 are as follows:

 
Administration
           
 
and Accounting
 
Incurred
   
Owed
 
 
Total Return Bond Fund
 
$
1,187,518
   
$
405,766
 
 
Municipal Bond Fund
   
137,653
     
48,661
 
 
Multisector Bond Fund
   
35,158
     
12,408
 
               
 
Transfer Agency
 
Incurred
   
Owed
 
 
Total Return Bond Fund
 
$
467,008
(1) 
 
$
167,605
(1) 
 
Municipal Bond Fund
   
53,180
     
20,529
 
 
Multisector Bond Fund
   
11,017
     
3,259
 
 
(1)  This amount does not include sub-transfer agency fees.
               
               
 
Custody
 
Incurred
   
Owed
 
 
Total Return Bond Fund
 
$
140,143
   
$
45,302
 
 
Municipal Bond Fund
   
14,353
     
4,827
 
 
Multisector Bond Fund
   
2,844
     
1,543
 

 
The Funds each have a line of credit with US Bank (see Note 10).
   
 
Certain officers of the Funds are also employees of Fund Services. A Trustee of the Trust is affiliated with Fund Services and US Bank.
   
 
The Trust’s Chief Compliance Officer is also an employee of Fund Services. Each Fund’s allocation of the Trust’s Chief Compliance Officer fee incurred for the six months ended February 29, 2024, and owed as of February 29, 2024, are as follows:
 
     
Incurred
   
Owed
 
 
Total Return Bond Fund
 
$
5,824
   
$
1,936
 
 
Municipal Bond Fund
   
5,824
     
1,936
 
 
Multisector Bond Fund
   
5,824
     
1,936
 

7.
Capital Share Transactions
 
Transactions in shares of the Funds were as follows:

 
TOTAL RETURN BOND FUND – INSTITUTIONAL CLASS
           
     
SIX MONTHS ENDED
   
YEAR ENDED
 
     
FEBRUARY 29, 2024
   
AUGUST 31, 2023
 
 
Shares sold
   
91,238,030
     
131,375,592
 
 
Shares issued
               
 
to holders in
               
 
reinvestment
               
 
of distributions
   
6,203,375
     
9,309,147
 
 
Shares redeemed
   
(55,358,429
)
   
(117,749,091
)
 
Net increase
   
42,082,976
     
22,935,648
 
                   
 
TOTAL RETURN BOND FUND – CLASS A
               
     
SIX MONTHS ENDED
   
YEAR ENDED
 
     
FEBRUARY 29, 2024
   
AUGUST 31, 2023
 
 
Shares sold
   
343,559
     
755,662
 
 
Shares issued
               
 
to holders in
               
 
reinvestment of
               
 
distributions
   
32,783
     
55,229
 
 
Shares redeemed
   
(323,588
)
   
(924,350
)
 
Net increase (decrease)
   
52,754
     
(113,459
)
                   
 
TOTAL RETURN BOND FUND – CLASS C
               
     
SIX MONTHS ENDED
   
YEAR ENDED
 
     
FEBRUARY 29, 2024
   
AUGUST 31, 2023
 
 
Shares sold
   
460,252
     
353,323
 
 
Shares issued
               
 
to holders in
               
 
reinvestment of
               
 
distributions
   
41,634
     
64,024
 
 
Shares redeemed
   
(312,136
)
   
(594,892
)
 
Net increase (decrease)
   
189,750
     
(177,545
)
                   
 
MUNICIPAL BOND FUND – INSTITUTIONAL CLASS
               
     
SIX MONTHS ENDED
   
YEAR ENDED
 
     
FEBRUARY 29, 2024
   
AUGUST 31, 2023
 
 
Shares sold
   
9,696,979
     
14,508,691
 
 
Shares issued
               
 
to holders in
               
 
reinvestment of
               
 
distributions
   
463,792
     
835,569
 
 
Shares redeemed
   
(8,063,605
)
   
(18,249,919
)
 
Net increase (decrease)
   
2,097,166
     
(2,905,659
)
                   
 
MUNICIPAL BOND FUND – CLASS A
               
     
SIX MONTHS ENDED
   
YEAR ENDED
 
     
FEBRUARY 29, 2024
   
AUGUST 31, 2023
 
 
Shares sold
   
609,103
     
676,462
 
 
Shares issued
               
 
to holders in
               
 
reinvestment of
               
 
distributions
   
24,625
     
52,486
 
 
Shares redeemed
   
(624,538
)
   
(1,182,877
)
 
Net increase (decrease)
   
9,190
     
(453,929
)

 

 


PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 79

 
 

PERFORMANCE TRUST MUTUAL FUNDS NOTES TO FINANCIAL STATEMENTS (CONT.)
February 29, 2024 (Unaudited)

 
 
MULTISECTOR BOND FUND – INSTITUTIONAL CLASS
           
     
SIX MONTHS ENDED
   
PERIOD ENDED
 
     
FEBRUARY 29, 2024
   
AUGUST 31, 2023(1)
 
 
Shares sold
   
1,664,982
     
4,853,465
 
 
Shares issued
               
 
to holders in
               
 
reinvestment of
               
 
distributions
   
336,704
     
583,958
 
 
Shares redeemed
   
(1,044,816
)
   
(4,275,220
)
 
Net increase
   
956,870
     
1,162,203
 

8.
Investment Transactions
 
The aggregate purchases and sales of securities, excluding short-term investments, for the Funds for the six months ended February 29, 2024, are summarized below.

           
TOTAL
       
 

 
MULTISECTOR
   
RETURN
   
MUNICIPAL
 
 
 
BOND FUND
   
BOND FUND
   
BOND FUND
 
 
Purchases
                 
 
U.S.
                 
 
  Government
 
$
698,412,297
   
$
   
$
4,353,039
 
 
Other
   
1,056,851,560
     
223,254,400
     
26,142,714
 
 
Sales
                       
 
U.S.
                       
 
  Government
 
$
362,061,945
   
$
   
$
5,634,901
 
 
Other
   
617,054,234
     
235,574,317
     
16,253,630
 
 

                       
 
9.
Beneficial Ownership
 
The beneficial ownership, either directly or indirectly, of more than 25% of the voting securities of a fund creates a presumption of control of a fund, under Section 2(a)(9) of the 1940 Act. At February 29, 2024, Morgan Stanley Smith Barney, LLC and Raymond James, for the benefit of its customers, held 40.21% and 35.76%, respectively, of the Total Return Bond Fund’s outstanding Class A shares. At February 29, 2024, Morgan Stanley Smith Barney, LLC and Raymond James, for the benefit of its customers, held 51.52% and 28.38%, respectively, of the Total Return Bond Fund’s outstanding Class C shares. At February 29, 2024, Charles Schwab & Company, Inc., for the benefit of its customers, held 31.02% of the Total Return Bond Fund’s outstanding Institutional Class shares. At February 29, 2024, Charles Schwab & Company, Inc. for the benefit of its customers, held 61.86% of the Municipal Bond Fund’s outstanding Class A shares. At February 29, 2024, Charles Schwab & Company, Inc., for the benefit of its customers, held 28.66% of the Municipal Bond Fund’s outstanding Institutional Class shares. At February 29, 2024, Charles Schwab & Company, Inc., for the benefit of its customers, held 76.59% of the Multisector Bond Fund’s outstanding Institutional Class shares.
   
10.
Line of Credit
 
At February 29, 2024, the Total Return Bond Fund, Municipal Bond Fund and Multisector Bond Fund each had an unsecured line of credit which matures on August 3, 2024 with a maximum borrowing equal to the lesser of $250,000,000, $35,000,000 and $7,500,000, respectively, or 20%, 33.33% and 20% respectively, of gross market value of unencumbered assets of each Fund. These lines of credit are intended to provide short-term financing, if necessary, subject to certain restrictions, in connection with shareholder redemptions. The credit facility is with the Funds’ custodian, US Bank. Interest was scheduled to be incurred at the bank’s prime rate (8.50% as of February 29, 2024). The Funds did not utilize their lines of credit during the six months ended February 29, 2024. The Funds did not have any outstanding balances on the lines of credit at February 29, 2024.
   
11.
Recent Market Events
 
U.S. and international markets have experienced and may continue to experience significant periods of volatility in recent years and months due to a number of economic, political and global macro factors including uncertainty regarding inflation and central banks’ interest rate increases, the possibility of a national or global recession, trade tensions, political events, the war between Russia and Ukraine, significant conflict between Israel and Hamas in the Middle East, and the impact of the coronavirus (COVID-19) global pandemic. The impact of COVID-19 may last for an extended period of time. As a result of continuing political tensions and armed conflicts, including the war between Ukraine and Russia, the U.S. and the European Union imposed sanctions on certain Russian individuals and companies, including certain financial institutions, and have limited certain exports and imports to and from Russia. The war has contributed to recent market volatility and may continue to do so. Continuing market volatility as a result of recent market conditions or other events may have an adverse effect on the performance of the Funds.
   
12.
Subsequent Events
 
On March 15, 2024, the Funds declared and paid distributions from ordinary income to shareholders of record as of March 14, 2024, as follows:

     
Ordinary
 
     
Income
 
 
Total Return Bond Fund
     
 
  Institutional Class
 
$
20,741,687
 
 
  Class A
 
$
91,186
 
 
  Class C
 
$
107,041
 
 
Municipal Bond Fund
       
 
  Institutional Class
 
$
2,041,139
 
 
  Class A
 
$
100,939
 
 
Multisector Bond Fund
       
 
  Institutional Class
 
$
486,901
 
 
 
The Funds have evaluated events and transactions that have occurred subsequent to February 29, 2024 through the date the financial statements were issued and determined there were no other subsequent events that would require disclosure in the financial statements.






PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 80

 



NOTICE OF PRIVACY POLICY & PRACTICES
(Unaudited)



We collect non-public personal information about you from the following sources:
 
»  information we receive about you on applications or other forms;
 
»  information you give us orally; and
 
»  information about your transactions with us or others.
 
The types of non-public personal information we collect and share can include:
 
»  social security numbers;
 
»  account balances;
 
»  account transactions;
 
»  transaction history;
 
»  wire transfer instructions; and
 
»  checking account information.
 
What Information We Disclose
We do not disclose any non-public personal information about our shareholders or former shareholders without the shareholder’s authorization, except as permitted by law or in response to inquiries from governmental authorities. We may share information with affiliated parties and unaffiliated third parties with whom we have contracts for servicing the Funds. We will provide unaffiliated third parties with only the information necessary to carry out their assigned responsibility.
 
How We Protect Your Information
All shareholder records will be disposed of in accordance with applicable law. We maintain physical, electronic and procedural safeguards to protect your non-public personal information and require third parties to treat your non-public personal information with the same high degree of confidentiality.
 
In the event that you hold shares of a Fund through a financial intermediary, including, but not limited to, a broker-dealer, bank or trust company, the privacy policy of your financial intermediary would govern how your non-public personal information would be shared with unaffiliated third parties.
 








PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 81

 


EXPENSE EXAMPLES
Period Ended February 29, 2024 (Unaudited)



As a shareholder of the Funds, you incur two types of costs: (1) transaction costs, including sales charge (loads) on purchase payments (Class A shares only) and (2) ongoing costs, including management fees, distribution 12b-1 and service fees (Class A and Class C shares only) and other Fund expenses. These examples are intended to help you understand your ongoing costs (in dollars) of investing in the Funds and to compare these costs with the ongoing costs of investing in other mutual funds.
 
The Examples are based on an investment of $1,000 invested at the beginning of the period and held for the entire period (9/1/23 – 2/29/24).
 
Actual Expenses
The first line of the following tables provides information about actual account values and actual expenses for each Fund.  If you purchase Class A shares of a Fund you will pay an initial sales charge of 2.25% when you invest. The tables do not include shareholder specific fees, such as the $15.00 fee charged to IRA accounts, or the $15.00 fee charged for wire redemptions. The tables also do not include portfolio trading commissions and related trading costs. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line under the heading entitled “Expenses Paid During Period” to estimate the expenses you paid on your account during this period.
 
Hypothetical Example for Comparison Purposes
The second line of the following tables provides information about hypothetical account values and hypothetical expenses based on the actual expense ratios for each Fund and an assumed rate of return of 5% per year before expenses, which is not the Funds’ actual returns. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in the Funds and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.
 
Please note that the expenses shown in the tables are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as sales charges (loads), redemption fees, or exchange fees. Therefore, the second line of each of the tables is useful in comparing ongoing costs only, and will not help you determine the relative total cost of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.
 
   

EXPENSES PAID
PERFORMANCE TRUST
 

DURING PERIOD
TOTAL RETURN BOND FUND –
BEGINNING ACCOUNT VALUE
ENDING ACCOUNT VALUE
SEPTEMBER 1, 2023 –
INSTITUTIONAL CLASS
SEPTEMBER 1, 2023
FEBRUARY 29, 2024
FEBRUARY 29, 2024*
Actual
$1,000.00
$1,042.10
$3.86
Hypothetical
     
(5% annual return before expenses)
$1,000.00
$1,021.08
$3.82

* Expenses are equal to the Fund’s annualized expense ratio of 0.76%, multiplied by the average account value over the period, multiplied by 182/366 to reflect the one-half year period.
 
   

EXPENSES PAID
PERFORMANCE TRUST
   
DURING PERIOD
TOTAL RETURN BOND FUND –
BEGINNING ACCOUNT VALUE
ENDING ACCOUNT VALUE
SEPTEMBER 1, 2023 –
CLASS A
SEPTEMBER 1, 2023
FEBRUARY 29, 2024
FEBRUARY 29, 2024*
Actual
$1,000.00
$1,040.80
$5.12
Hypothetical
     
(5% annual return before expenses)
$1,000.00
$1,019.84
$5.07

* Expenses are equal to the Fund’s annualized expense ratio of 1.01%, multiplied by the average account value over the period, multiplied by 182/366 to reflect the one-half year period.
 
   

EXPENSES PAID
PERFORMANCE TRUST
   
DURING PERIOD
TOTAL RETURN BOND FUND –
BEGINNING ACCOUNT VALUE
ENDING ACCOUNT VALUE
SEPTEMBER 1, 2023 –
CLASS C
SEPTEMBER 1, 2023
FEBRUARY 29, 2024
FEBRUARY 29, 2024*
Actual
$1,000.00
$1,036.60
$8.91
Hypothetical
     
(5% annual return before expenses)
$1,000.00
$1,016.11
$8.82

* Expenses are equal to the Fund’s annualized expense ratio of 1.76%, multiplied by the average account value over the period, multiplied by 182/366 to reflect the one-half year period.
 

 


 



PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 82

 
 

EXPENSE EXAMPLES (CONT.)
Period Ended February 29, 2024 (Unaudited)


 
   

EXPENSES PAID
PERFORMANCE TRUST
   
DURING PERIOD
MUNICIPAL BOND FUND –
BEGINNING ACCOUNT VALUE
ENDING ACCOUNT VALUE
SEPTEMBER 1, 2023 –
INSTITUTIONAL CLASS
SEPTEMBER 1, 2023
FEBRUARY 29, 2024
FEBRUARY 29, 2024*
Actual
$1,000.00
$1,065.50
$2.57
Hypothetical
     
(5% annual return before expenses)
$1,000.00
$1,022.38
$2.51

* Expenses are equal to the Fund’s annualized expense ratio of 0.50%, multiplied by the average account value over the period, multiplied by 182/366 to reflect the one-half year period.
 
   

EXPENSES PAID
PERFORMANCE TRUST
   
DURING PERIOD
MUNICIPAL BOND FUND –
BEGINNING ACCOUNT VALUE
ENDING ACCOUNT VALUE
SEPTEMBER 1, 2023 –
CLASS A
SEPTEMBER 1, 2023
FEBRUARY 29, 2024
FEBRUARY 29, 2024*
Actual
$1,000.00
$1,064.10
$3.80
Hypothetical
     
(5% annual return before expenses)
$1,000.00
$1,021.18
$3.72

* Expenses are equal to the Fund’s annualized expense ratio of 0.74%, multiplied by the average account value over the period, multiplied by 182/366 to reflect the one-half year period.
 
   

EXPENSES PAID
PERFORMANCE TRUST
   
DURING PERIOD
MULTISECTOR BOND FUND –
BEGINNING ACCOUNT VALUE
ENDING ACCOUNT VALUE
SEPTEMBER 1, 2023 –
INSTITUTIONAL CLASS
SEPTEMBER 1, 2023
FEBRUARY 29, 2024
FEBRUARY 29, 2024*
Actual
$1,000.00
$1,068.50
$5.08
Hypothetical
     
(5% annual return before expenses)
$1,000.00
$1,019.95
$4.96

* Expenses are equal to the Fund’s annualized net expense ratio of 0.99%, multiplied by the average account value over the period, multiplied by 182/366 to reflect the one-half year period.
 






PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 83

 


ADDITIONAL INFORMATION
(Unaudited)


 
Tax Information
For the year ended August 31, 2023, taxable ordinary income distributions are designed as short-term capital gain distributions under Section 871(k)(2)(c) of the Code for the Funds as follows:
 
Total Return Bond Fund
0.00%
Municipal Bond Fund
0.00%
Multisector Bond Fund
0.00%
 
Availability of Proxy Voting Information
The Funds have adopted proxy voting policies and procedures that delegate to the Adviser the authority to vote proxies. A description of the Funds’ proxy voting policies and procedures is available without charge, upon request, by calling the Funds toll free at 1 (877) 738-9095. A description of these policies and procedures is also included in the Funds’ Statement of Additional Information, which is available on the SEC’s website at http://www.sec.gov.
 
The Funds’ proxy voting record for the most recent 12-month period ended June 30 is available without charge, upon request, by calling toll free, 1 (877) 738-9095, or by accessing the SEC’s website at http://www.sec.gov.
 
Portfolio Holdings
The Funds file a complete schedule of portfolio holdings with the U.S. Securities and Exchange Commission (the “SEC”) for the first and third quarters of each fiscal year on Part F of Form N-PORT. The Funds’ Form N-PORT filings are available on the SEC’s website at www.sec.gov.
 
Householding
In an effort to decrease costs, the Funds intend to reduce the number of duplicate prospectuses and certain other shareholder documents you receive by sending only one copy of each to those addresses shared by two or more accounts and to shareholders the Funds reasonably believe are from the same family or household. Once implemented, if you would like to discontinue householding for your accounts, please call toll-free at 1 (877) 738-9095 to request individual copies of these documents. Once the Funds receive notice to stop householding, the Funds will begin sending individual copies 30 days after receiving your request. This policy does not apply to account statements.
 
Forward Looking Statements
Except for historical information contained in this report for the Funds, the matters discussed in this report may constitute forward-looking statements made pursuant to the safe-harbor provisions of the Private Securities Litigation Reform Act of 1995. These include any Adviser or portfolio manager predictions, assessments, analyses or outlooks for individual securities, industries, market sectors and/or markets. These statements involve risks and uncertainties. In addition to the general risks described for the Funds in the most recent prospectus, other factors bearing on this report include the accuracy of the Adviser’s or portfolio manager’s data, forecasts and predictions, and the appropriateness of the investment programs designed by the Adviser or portfolio manager to implement their strategies efficiently and effectively. Any one or more of these factors, as well as other risks affecting the securities markets and investment instruments generally, could cause the actual results of the Funds to differ materially as compared to benchmarks associated with the Funds.

Indemnification
Under the Trust’s organizational documents, its officers and Trustees are indemnified against certain liabilities arising out of the performance of their duties to the Funds. In addition, in the normal course of business, the Funds enter into contracts that provide general indemnification to other parties. The Funds’ maximum exposure under these arrangements is unknown as this would involve future claims that may be made against the Funds that have not yet occurred. However, the Funds have not had prior claims or losses pursuant to these contracts and expect the risk of loss to be remote.

Information About Trustees
The business and affairs of the Trust are managed under the direction of the Trust’s Board of Trustees. Information pertaining to the Trustees of the Trust is set forth below. The Funds’ Statement of Additional Information includes additional information about the Trustees and is available, without charge, upon request by calling 1 (877) 738-9095.

 





PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 84

 


INDEPENDENT TRUSTEES
(Unaudited)



   

NUMBER OF

OTHER
   

PORTFOLIOS
PRINCIPAL
DIRECTORSHIPS
NAME,
POSITION(S)
TERM OF OFFICE
IN THE TRUST
OCCUPATION(S)
HELD BY TRUSTEE
ADDRESS, AND
HELD WITH
AND LENGTH OF
OVERSEEN BY
DURING THE
DURING THE PAST
YEAR OF BIRTH
THE TRUST
TIME SERVED
THE TRUSTEE
PAST FIVE YEARS
FIVE YEARS
Independent Trustees
         
           
Michael D. Akers, Ph.D.
Trustee
Indefinite Term;
31
Professor Emeritus,
Independent
615 E. Michigan St.
 
Since August 22,
 
Department of Accounting
Trustee, USA
Milwaukee, WI 53202
 
2001
 
(June 2019-present),
MUTUALS
Year of Birth: 1955
     
Professor, Department of
(an open-end
     

Accounting (2004-2019),
investment
     

Marquette University.
company)
       

(2001-2021).
           
Gary A. Drska
Trustee
Indefinite Term;
31
Retired; Former Pilot,
Independent
615 E. Michigan St.
 
Since August 22,
 
Frontier/Midwest Airlines,
Trustee, USA
Milwaukee, WI 53202
 
2001
 
Inc. (airline company)
MUTUALS
Year of Birth: 1956
     
(1986-2021).
(an open-end
       

investment
       

company)
       

(2001-2021).
           
Vincent P. Lyles
Trustee
Indefinite Term;
31
Executive Director,
Independent
615 E. Michigan St.
 
Since April 6,
 
Milwaukee Succeeds
Director, BMO
Milwaukee, WI 53202
 
2022
 
(education advocacy
Funds, Inc.
Year of Birth: 1961
     
organization) (2023-present);
(an open-end
     

System Vice President
investment
     

of Community Relations,
company)
     

Advocate Aurora Health
(2017-2022).
     

Care (health care provider)
 
     

(2019-2022).
 
           
Erik K. Olstein
Trustee
Indefinite Term;
31
Retired; President and
Trustee, The Olstein
615 E. Michigan St.
 
Since April 6,
 
Chief Operation Officer
Funds (an open-end
Milwaukee, WI 53202
 
2022
 
(2000-2020), Vice
investment
Year of Birth: 1967
     
President of Sales and
company)
     

Chief Operating Officer
(1995-2018).
     

(1995-2000), Olstein Capital
 
     

Management, L.P. (asset
 
     

management firm).
 
           
Lisa Zúñiga Ramírez
Trustee
Indefinite Term;
31
Retired; Principal and
Director, Peoples
615 E. Michigan St.
 
Since April 6,
 
Senior Portfolio Manager,
Financial Services
Milwaukee, WI 53202
 
2022
 
Segall, Bryant & Hamill, LLC
Corp. (a publicly-
Year of Birth: 1969
     
(asset management firm)
traded bank
     

(2018-2020).
holding company)
       

(2022-present);
       

Independent
       

Director, Century
       

Communities, Inc.
       

(a publicly-traded
       

homebuilding
       

company)
       

(2023-present).
           
Gregory M. Wesley
Trustee
Indefinite Term;
31
Senior Vice President of
N/A
615 E. Michigan St.
 
Since April 6,
 
Strategic Alliances and
 
Milwaukee, WI 53202
 
2022
 
Business Development,
 
Year of Birth: 1969
     
Medical College of Wisconsin
 
     

(2016-present).
 









PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 85

 


INTERESTED TRUSTEE AND OFFICERS
(Unaudited)



   

NUMBER OF

OTHER
   
PORTFOLIOS
PRINCIPAL
DIRECTORSHIPS
NAME,
POSITION(S)
TERM OF OFFICE
IN THE TRUST
OCCUPATION(S)
HELD BY TRUSTEE
ADDRESS, AND
HELD WITH
AND LENGTH OF
OVERSEEN BY
DURING THE
DURING THE PAST
YEAR OF BIRTH
THE TRUST
TIME SERVED
THE TRUSTEE
PAST FIVE YEARS
FIVE YEARS
Interested Trustee and Officers
         
           
John P. Buckel*
Chairperson,
Indefinite Term;
31
Vice President, U.S. Bancorp
N/A
615 E. Michigan St.
Trustee,
Chairperson and
 
Fund Services, LLC
 
Milwaukee, WI 53202
President
Trustee (Since
 
(2004-present).
 
Year of Birth: 1957
and Principal
January 19, 2023);
     

Executive
President and
     

Officer
Principal Executive
     
 

Officer (Since
     
 

January 24, 2013)
     
           
Jennifer A. Lima
Vice
Indefinite Term;
N/A
Vice President, U.S. Bancorp
N/A
615 E. Michigan St.
President,
Since January 24,
 
Fund Services, LLC
 
Milwaukee, WI 53202
Treasurer
2013
 
(2002-present).
 
Year of Birth: 1974
and Principal
       

Financial and
       

Accounting
       

Officer
       
           
Deanna B. Marotz
Chief
Indefinite Term;
N/A
Senior Vice President,
N/A
615 E. Michigan St.
Compliance
Since October 21,
 
U.S. Bancorp Fund Services,
 
Milwaukee, WI 53202
Officer, Vice
2021
 
LLC (2021-present); Chief
 
Year of Birth: 1965
President
   
Compliance Officer of
 

and Anti-
 

Keeley-Teton Advisors, LLC
 

Money
 

and Teton Advisors, Inc.
 

Laundering
 

(2017-2021).
 

Officer
       
           
Jay S. Fitton
Secretary
Indefinite Term;
N/A
Assistant Vice President,
N/A
615 E. Michigan St.
 
Since July 22,
 
U.S. Bancorp Fund
 
Milwaukee, WI 53202
 
2019
 
Services, LLC
 
Year of Birth: 1970
     
(2019-present); Partner,
 
     

Practus, LLP (2018-2019).
 

* Mr. Buckel is an “interested person” of the Trust as defined by the 1940 Act due to his position and material business relationship with the Trust.
 

 

 

 

 


PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 86

 
 


 
INTERESTED TRUSTEE AND OFFICERS
(Unaudited)



   

NUMBER OF

OTHER
   

PORTFOLIOS
PRINCIPAL
DIRECTORSHIPS
NAME,
POSITION(S)
TERM OF OFFICE
IN THE TRUST
OCCUPATION(S)
HELD BY TRUSTEE
ADDRESS, AND
HELD WITH
AND LENGTH OF
OVERSEEN BY
DURING THE
DURING THE PAST
YEAR OF BIRTH
THE TRUST
TIME SERVED
THE TRUSTEE
PAST FIVE YEARS
FIVE YEARS
Officers
         
           
Kelly A. Strauss
Assistant
Indefinite Term;
N/A
Assistant Vice President,
N/A
615 E. Michigan St.
Treasurer
Since April 23,
 
U.S. Bancorp Fund
 
Milwaukee, WI 53202
 
2015
 
Services, LLC
 
Year of Birth: 1987
     
(2011-present).
 
           
Shannon Coyle
Assistant
Indefinite Term;
N/A
Officer, U.S. Bancorp
N/A
615 E. Michigan St.
Treasurer
Since August 26,
 
Fund Services, LLC
 
Milwaukee, WI 53202
 
2022
 
(2015-present).
 
Year of Birth: 1990
         
           
Laura A. Carroll
Assistant
Indefinite Term;
N/A
Assistant Vice President,
N/A
615 E. Michigan St.
Treasurer
Since August 20,
 
U.S. Bancorp Fund
 
Milwaukee, WI 53202
 
2018
 
Services, LLC
 
Year of Birth: 1985
     
(2007-present).
 
           
Marissa Pawlinksi
Assistant
Indefinite Term;
N/A
Assistant Vice President,
N/A
615 E. Michigan St.
Secretary
Since January
 
U.S. Bancorp Fund
 
Milwaukee, WI 53202
 
2024
 
Services, LLC (since 2023);
 
Year of Birth: 1996
     
Regulatory Administration
 
     

Attorney, U.S. Bancorp Fund
 
     

Services, LLC (since 2022);
 
     

Judicial Law Clerk, Milwaukee
 
     

County Circuit Court
 
     

(2021-2022); Legal Intern,
 
     

City of Brookfield (2020-2021);
 
     

Student, Marquette University
 
     

Law School (2019-2021).
 













PERFORMANCE TRUST MUTUAL FUNDS (PTIAX, PTAOX, PTCOX, PTIMX, PTRMX, PTCRX)
PAGE 87

 



Investment Adviser
PT Asset Management, LLC
500 West Madison, Suite 470
Chicago, IL  60661
888.282.3220
www.PTAM.com

Fund Administrator, Transfer Agent,
and Fund Accountant
U.S. Bancorp Fund Services, LLC
615 East Michigan Street
Milwaukee, WI  53202

Custodian
U.S. Bank, N.A.
Custody Operations
1555 North RiverCenter Drive, Suite 302
Milwaukee, WI  53212

Legal Counsel
Godfrey & Kahn, S.C.
833 East Michigan Street, Suite 1800
Milwaukee, WI  53202

Independent Registered
Public Accounting Firm
Cohen & Company, Ltd.
342 North Water Street, Suite 830
Milwaukee, WI  53202

Distributor
Foreside Fund Services, LLC
3 Canal Plaza, Suite 100
Portland, ME  04101

This report has been prepared for shareholders
and may be distributed to others only if preceded
or accompanied by a current prospectus.

The Performance Trust Mutual Funds are distributed
by Foreside Fund Services, LLC













(b)
Not applicable for this Registrant.

Item 2. Code of Ethics.

Not applicable for semi-annual reports.

Item 3. Audit Committee Financial Expert.

Not applicable for semi-annual reports.

Item 4. Principal Accountant Fees and Services.

 Not applicable for semi-annual reports.

Item 5. Audit Committee of Listed Registrants.

Not applicable to registrants who are not listed issuers (as defined in Rule 10A-3 under the Securities Exchange Act of 1934).

Item 6. Investments.

(a)
Schedule of Investments is included as part of the report to shareholders filed under Item 1 of this Form.

(b)
Not Applicable.
 
Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

Not applicable to open-end investment companies.

Item 8. Portfolio Managers of Closed-End Management Investment Companies.

Not applicable to open-end investment companies.

Item 9. Purchases of Equity Securities by Closed‑End Management Investment Company and Affiliated Purchasers.

Not applicable to open-end investment companies.

Item 10. Submission of Matters to a Vote of Security Holders.

There have been no material changes to the procedures by which shareholders may recommend nominees to the registrant’s board of trustees.

Item 11. Controls and Procedures.

(a)
The Registrant’s President and Treasurer have reviewed the Registrant's disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940 (the “Act”)) as of a date within 90 days of the filing of this report, as required by Rule 30a-3(b) under the Act and Rules 13a-15(b) or 15d‑15(b) under the Securities Exchange Act of 1934.  Based on their review, such officers have concluded that the disclosure controls and procedures are effective in ensuring that information required to be disclosed in this report is appropriately recorded, processed, summarized and reported and made known to them by others within the Registrant and by the Registrant’s service provider.

(b)
There were no changes in the Registrant's internal control over financial reporting (as defined in Rule 30a-3(d) under the Act) that occurred during the last fiscal half-year of 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.

Item 12. Disclosure of Securities Lending Activities for Closed-End Management Investment Companies

Not applicable to open-end investment companies.

Item 13. Exhibits.

(a)
(1) Any code of ethics or amendment thereto, that is the subject of the disclosure required by Item 2, to the extent that the registrant intends to satisfy Item 2 requirements through filing an exhibit. Not Applicable.


(3) Any written solicitation to purchase securities under Rule 23c‑1 under the Act sent or given during the period covered by the report by or on behalf of the registrant to 10 or more persons.  Not applicable to open-end investment companies.

(4) Change in the registrant’s independent public accountant. There was no change in the registrant’s independent public accountant for the period covered by this report.


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)  Trust for Professional Managers 

By (Signature and Title)*    /s/ John Buckel
John Buckel, Principal Executive

Date:   4/29/24



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/ John Buckel
John Buckel, Principal Executive

Date:   4/29/24

By (Signature and Title)*    /s/ Jennifer Lima
Jennifer Lima, Principal Financial Officer

Date:   4/29/2024

* Print the name and title of each signing officer under his or her signature.















EX-99.CERT 2 ptf-ex99cert302.htm CERTIFICATION 302
CERTIFICATIONS

I, John Buckel, certify that:

 
1.
 
I have reviewed this report on Form N-CSR of Trust for Professional Managers;
 
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) 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 last fiscal half-year of 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:   4/29/24
 
/s/ John Buckel
John Buckel
Principal Executive

CERTIFICATIONS

I, Jennifer Lima, certify that:

 
1.
 
I have reviewed this report on Form N-CSR of Trust for Professional Managers;
 
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) 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 last fiscal half-year of 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:   4/29/24
 
/s/ Jennifer Lima
Jennifer Lima, Principal Financial Officer



EX-99.906 CERT 3 ptf-ex99cert906.htm CERTIFICATION 906
Certification Pursuant to Section 906 of the Sarbanes-Oxley Act

Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, each of the undersigned officers of the Trust for Professional Managers (the “Trust”), does hereby certify, to such officer’s knowledge, that the report on Form N-CSR of the Trust for the period ended February 29, 2024 fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as applicable, and that the information contained in the Form N-CSR fairly presents, in all material respects, the financial condition and results of operations of the Trust for the stated period.


/s/ John Buckel
John Buckel
Principal Executive, Trust for Professional Managers
 
/s/ Jennifer Lima
Jennifer Lima
Principal Financial Officer, Trust for Professional Managers
Dated:   4/29/24
 


This statement accompanies this report on Form N-CSR pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 and shall not be deemed as filed by the Trust for purposes of Section 18 of the Securities Exchange Act of 1934.



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