Mairs and Power Balanced Fund
|
||||||||
SCHEDULE OF INVESTMENTS (unaudited)
|
September 30, 2022 | |||||||
Par Value
|
Security Description
|
Fair Value
|
||||||
FIXED INCOME SECURITIES 34.0%
|
||||||||
CORPORATE BONDS 28.8%
|
||||||||
COMMUNICATION SERVICES 0.9%
|
||||||||
$
|
1,688,000 |
Netflix Inc
|
5.875%
|
11/15/28
|
$
|
1,647,522 | ||
2,000,000
|
Comcast Corp
|
4.250%
|
01/15/33
|
1,814,529
|
||||
1,000,000
|
Verizon Communications Inc
|
4.400%
|
11/01/34
|
881,865
|
||||
3,000,000
|
AT&T Inc
|
4.500%
|
05/15/35
|
2,599,406
|
||||
6,943,322
|
||||||||
CONSUMER DISCRETIONARY 3.0%
|
||||||||
1,000,000
|
General Motors Financial Co Inc
|
3.950%
|
04/13/24
|
976,238
|
||||
250,000
|
General Motors Co
|
4.000%
|
04/01/25
|
241,628
|
||||
1,000,000
|
General Motors Financial Co Inc
|
4.300%
|
07/13/25
|
960,093
|
||||
1,064,000
|
Block Financial LLC
|
5.250%
|
10/01/25
|
1,050,256
|
||||
1,500,000
|
Ford Motor Co
|
4.346%
|
12/08/26
|
1,378,500
|
||||
1,000,000
|
Darden Restaurants Inc
|
3.850%
|
05/01/27
|
938,059
|
||||
2,245,000
|
Lear Corp
|
3.800%
|
09/15/27
|
2,053,062
|
||||
1,000,000
|
General Motors Co
|
4.200%
|
10/01/27
|
917,557
|
||||
1,000,000
|
AutoNation Inc
|
3.800%
|
11/15/27
|
886,953
|
||||
2,000,000
|
Hasbro Inc
|
3.900%
|
11/19/29
|
1,751,458
|
||||
2,000,000
|
Advance Auto Parts Inc
|
3.900%
|
04/15/30
|
1,719,627
|
||||
1,000,000
|
Mohawk Industries Inc
|
3.625%
|
05/15/30
|
833,089
|
||||
2,000,000
|
Block Financial LLC
|
3.875%
|
08/15/30
|
1,710,057
|
||||
1,000,000
|
Kohl's Corp (a)
|
3.375%
|
05/01/31
|
619,275
|
||||
1,750,000
|
Ford Motor Credit Co LLC
|
3.625%
|
06/17/31
|
1,302,665
|
||||
1,000,000
|
Starbucks Corp
|
3.000%
|
02/14/32
|
828,372
|
||||
500,000
|
Tapestry Inc
|
3.050%
|
03/15/32
|
373,609
|
||||
500,000
|
Ford Motor Co.
|
6.100%
|
08/19/32
|
441,650
|
||||
500,000
|
Kohl's Corp
|
6.875%
|
12/15/37
|
367,420
|
||||
1,000,000
|
General Motors Co
|
5.150%
|
04/01/38
|
806,900
|
||||
1,000,000
|
Ford Motor Co
|
4.750%
|
01/15/43
|
664,849
|
||||
1,100,000
|
Whirlpool Corp
|
5.150%
|
03/01/43
|
954,780
|
||||
750,000
|
Hasbro Inc
|
5.100%
|
05/15/44
|
613,742
|
||||
1,073,000
|
Kohl's Corp
|
5.550%
|
07/17/45
|
644,002
|
||||
23,033,841
|
||||||||
CONSUMER STAPLES 1.3%
|
||||||||
2,500,000
|
Land O' Lakes Inc (b)(c)
|
7.250%
|
07/14/27
|
2,340,425
|
||||
1,949,000
|
Land O' Lakes Capital Trust I (b)
|
7.450%
|
03/15/28
|
1,970,809
|
||||
2,500,000
|
Land O' Lakes Inc (b)(c)
|
7.000%
|
12/18/28
|
2,324,700
|
||||
250,000
|
Smithfield Foods Inc (b)
|
3.000%
|
10/15/30
|
193,276
|
||||
1,000,000
|
Walgreens Boots Alliance Inc
|
4.500%
|
11/18/34
|
861,265
|
||||
1,000,000
|
Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc
|
4.700%
|
02/01/36
|
903,703
|
||||
1,000,000
|
Walgreens Boots Alliance Inc
|
4.800%
|
11/18/44
|
802,510
|
||||
1,000,000
|
Molson Coors Brewing Co
|
4.200%
|
07/15/46
|
744,112
|
||||
10,140,800
|
||||||||
CONSUMER, NON-CYCLICAL 0.1%
|
||||||||
1,000,000
|
Wildlife Conservation Society
|
3.414%
|
08/01/50
|
715,474
|
||||
715,474
|
||||||||
ENERGY 0.5%
|
||||||||
1,500,000
|
Sunoco Logistics Partners Operations LP
|
3.450%
|
01/15/23
|
1,492,366
|
||||
1,000,000
|
Boardwalk Pipelines LP
|
4.950%
|
12/15/24
|
990,814
|
||||
1,200,000
|
Kinder Morgan Inc
|
5.300%
|
12/01/34
|
1,085,554
|
||||
500,000
|
Murphy Oil Corp (a)
|
6.375%
|
12/01/42
|
398,753
|
||||
3,967,487
|
||||||||
FINANCIALS 11.1%
|
||||||||
2,000,000
|
OneBeacon US Holdings Inc
|
4.600%
|
11/09/22
|
2,000,312
|
||||
1,000,000
|
Standard Chartered PLC (b)(d)
|
3.950%
|
01/11/23
|
995,988
|
||||
500,000
|
First American Financial Corp
|
4.300%
|
02/01/23
|
498,280
|
||||
374,000
|
Assurant Inc
|
4.200%
|
09/27/23
|
372,126
|
||||
500,000
|
CNA Financial Corp
|
7.250%
|
11/15/23
|
512,514
|
||||
500,000
|
Pacific Life Insurance Co (b)
|
7.900%
|
12/30/23
|
515,702
|
||||
1,000,000
|
HSBC Holdings PLC (d)
|
4.250%
|
03/14/24
|
979,760
|
||||
540,000
|
Wintrust Financial Corp
|
5.000%
|
06/13/24
|
527,547
|
||||
824,000
|
Assured Guaranty US Holdings Inc
|
5.000%
|
07/01/24
|
825,433
|
||||
3,088,000
|
Legg Mason Inc
|
3.950%
|
07/15/24
|
3,035,138
|
||||
1,500,000
|
Symetra Financial Corp
|
4.250%
|
07/15/24
|
1,467,995
|
||||
1,000,000
|
Citigroup Inc
|
4.000%
|
08/05/24
|
979,020
|
||||
3,000,000
|
Synchrony Financial
|
4.250%
|
08/15/24
|
2,928,470
|
||||
2,000,000
|
Old Republic International Corp
|
4.875%
|
10/01/24
|
1,998,790
|
||||
1,627,000
|
Associated Banc-Corp
|
4.250%
|
01/15/25
|
1,583,796
|
||||
4,000,000
|
Kemper Corp
|
4.350%
|
02/15/25
|
3,901,424
|
||||
1,050,000
|
TCF National Bank
|
4.600%
|
02/27/25
|
1,024,250
|
||||
1,000,000
|
BBVA USA
|
3.875%
|
04/10/25
|
969,526
|
||||
250,000
|
Liberty Mutual Insurance Co (b)
|
8.500%
|
05/15/25
|
261,409
|
||||
1,000,000
|
Prudential Insurance Co of America/The (b)
|
8.300%
|
07/01/25
|
1,069,073
|
||||
1,000,000
|
Synchrony Financial
|
4.500%
|
07/23/25
|
954,854
|
||||
2,000,000
|
Janus Capital Group Inc
|
4.875%
|
08/01/25
|
1,956,760
|
||||
2,000,000
|
HSBC Holdings PLC (d)
|
4.250%
|
08/18/25
|
1,900,847
|
||||
20,000
|
Wells Fargo & Co (c)
|
4.700%
|
12/15/25
|
370,600
|
||||
1,520,000
|
Legg Mason Inc
|
4.750%
|
03/15/26
|
1,497,541
|
||||
2,000,000
|
Hanover Insurance Group Inc/The
|
4.500%
|
04/15/26
|
1,930,157
|
||||
3,000,000
|
JPMorgan Chase & Co (c)
|
3.650% (5 Year CMT Rate + 2.850%)
|
06/01/26
|
2,436,780
|
||||
1,000,000
|
Wells Fargo & Co
|
4.100%
|
06/03/26
|
952,831
|
||||
3,290,000
|
Old Republic International Corp
|
3.875%
|
08/26/26
|
3,114,318
|
||||
500,000
|
Morgan Stanley
|
4.350%
|
09/08/26
|
477,057
|
||||
4,000,000
|
PNC Financial Services Group Inc/The (c)
|
3.400% (5 Year CMT Rate + 2.595%)
|
09/15/26
|
2,989,813
|
||||
2,500,000
|
M&T Bank Corp (c)
|
5.125% (3 Month LIBOR USD + 3.520%)
|
11/01/26
|
2,211,015
|
||||
1,000,000
|
Citigroup Inc
|
4.300%
|
11/20/26
|
948,071
|
||||
1,000,000
|
JPMorgan Chase & Co
|
4.125%
|
12/15/26
|
940,446
|
||||
2,000,000
|
Bank of New York Mellon Corp/The (c)
|
3.750% (5 Year CMT Rate + 2.630%)
|
12/20/26
|
1,550,000
|
||||
4,000,000
|
Mercury General Corp
|
4.400%
|
03/15/27
|
3,736,892
|
||||
450,000
|
Athene Holding Ltd (d)
|
4.125%
|
01/12/28
|
405,420
|
||||
500,000
|
Citigroup Inc
|
3.070% (SOFR + 1.280%)
|
02/24/28
|
445,858
|
||||
250,000
|
Provident Cos Inc
|
7.250%
|
03/15/28
|
255,401
|
||||
2,000,000
|
E*TRADE Financial Corp
|
4.500%
|
06/20/28
|
1,906,171
|
||||
500,000
|
Farmers Exchange Capital (b)
|
7.050%
|
07/15/28
|
515,440
|
||||
1,000,000
|
Lazard Group LLC
|
4.375%
|
03/11/29
|
918,899
|
||||
2,500,000
|
Wintrust Financial Corp
|
4.850%
|
06/06/29
|
2,309,502
|
||||
2,300,000
|
Assurant Inc
|
3.700%
|
02/22/30
|
1,931,770
|
||||
4,000,000
|
Capital One Financial Corp.
|
5.247% (SOFR + 2.600%)
|
07/26/30
|
3,730,708
|
||||
500,000
|
Park National Corp
|
4.500% (TSFR3M + 4.390%)
|
09/01/30
|
473,659
|
||||
500,000
|
Goldman Sachs Group Inc/The
|
4.250%
|
11/15/30
|
448,753
|
||||
500,000
|
Goldman Sachs Group Inc/The
|
4.000%
|
02/15/31
|
441,904
|
||||
1,000,000
|
SVB Financial Group (c)
|
4.100% (10 Year CMT Rate + 3.064%)
|
02/15/31
|
686,229
|
||||
2,000,000
|
Synchrony Financial
|
2.875%
|
10/28/31
|
1,423,335
|
||||
1,000,000
|
Blackstone Holdings Finance Co LLC (b)
|
2.550%
|
03/30/32
|
777,215
|
||||
2,000,000
|
Goldman Sachs Group Inc/The
|
2.650% (SOFR + 1.264%)
|
10/21/32
|
1,533,969
|
||||
500,000
|
Goldman Sachs Group Inc/The
|
4.300%
|
12/15/32
|
441,285
|
||||
1,700,000
|
Morgan Stanley
|
2.943% (SOFR + 1.290%)
|
01/21/33
|
1,343,946
|
||||
500,000
|
American Express Co
|
4.989% (SOFR + 2.255%)
|
05/26/33
|
465,002
|
||||
1,000,000
|
Bank of America Corp.
|
5.015% (SOFR + 2.160%)
|
07/22/33
|
930,451
|
||||
538,000
|
Bank of America Corp
|
4.000%
|
08/15/34
|
461,481
|
||||
3,000,000
|
Fulton Financial Corp
|
3.750% (TSFR3M + 2.700%)
|
03/15/35
|
2,440,120
|
||||
2,150,000
|
Bank of Montreal (d)
|
3.088% (5 Year CMT Rate + 1.400%)
|
01/10/37
|
1,605,871
|
||||
500,000
|
Swiss Re Treasury US Corp (b)
|
4.250%
|
12/06/42
|
425,214
|
||||
500,000
|
Principal Financial Group Inc
|
4.350%
|
05/15/43
|
417,275
|
||||
6,000,000
|
Charles Schwab Corp
|
4.000% (10 Year CMT Rate + 3.079%)
|
03/01/31
|
4,414,844
|
||||
85,564,257
|
||||||||
HEALTH CARE 0.8%
|
||||||||
500,000
|
Wyeth LLC
|
6.450%
|
02/01/24
|
511,009
|
||||
2,000,000
|
AbbVie Inc
|
3.800%
|
03/15/25
|
1,939,074
|
||||
43,000
|
Bristol-Myers Squibb Co
|
3.875%
|
08/15/25
|
41,760
|
||||
1,000,000
|
Cigna Corp
|
4.500%
|
02/25/26
|
977,500
|
||||
700,000
|
Zimmer Biomet Holdings Inc
|
4.250%
|
08/15/35
|
595,859
|
||||
1,400,000
|
CVS Health Corp
|
4.780%
|
03/25/38
|
1,230,258
|
||||
1,000,000
|
UnitedHealth Group Inc
|
3.500%
|
08/15/39
|
788,971
|
||||
6,084,431
|
||||||||
INDUSTRIALS 2.8%
|
||||||||
1,000,000
|
GATX Corp
|
3.900%
|
03/30/23
|
989,821
|
||||
1,500,000
|
Hillenbrand Inc
|
5.000%
|
09/15/26
|
1,400,792
|
||||
500,000
|
Toro Co/The
|
7.800%
|
06/15/27
|
529,100
|
||||
2,000,000
|
Kennametal Inc
|
4.625%
|
06/15/28
|
1,862,206
|
||||
3,000,000
|
Steelcase Inc
|
5.125%
|
01/18/29
|
2,575,380
|
||||
1,000,000
|
Oshkosh Corp
|
3.100%
|
03/01/30
|
808,816
|
||||
2,000,000
|
GATX Corp
|
4.000%
|
06/30/30
|
1,736,688
|
||||
1,000,000
|
Flowserve Corp
|
3.500%
|
10/01/30
|
825,658
|
||||
3,000,000
|
Hillenbrand Inc
|
3.750%
|
03/01/31
|
2,323,635
|
||||
4,000,000
|
United Rentals North America Inc
|
3.750%
|
01/15/32
|
3,141,420
|
||||
2,000,000
|
Eaton Corp
|
4.000%
|
11/02/32
|
1,787,605
|
||||
1,000,000
|
GATX Corp.
|
4.900%
|
03/15/33
|
900,350
|
||||
1,000,000
|
Alcoa Inc
|
5.950%
|
02/01/37
|
908,480
|
||||
1,400,000
|
Leidos Holdings Inc
|
5.950%
|
12/01/40
|
1,248,030
|
||||
1,000,000
|
FedEx Corp
|
4.100%
|
04/15/43
|
754,085
|
||||
21,792,066
|
||||||||
INFORMATION TECHNOLOGY 4.8%
|
||||||||
696,000
|
Dell International LLC / EMC Corp.
|
5.450%
|
06/15/23
|
697,832
|
||||
1,031,000
|
Arrow Electronics Inc
|
4.000%
|
04/01/25
|
992,936
|
||||
2,000,000
|
Hewlett Packard Enterprise Co
|
4.900%
|
10/15/25
|
1,984,816
|
||||
1,500,000
|
Dell International LLC / EMC Corp.
|
6.020%
|
06/15/26
|
1,508,062
|
||||
2,500,000
|
Motorola Solutions Inc
|
4.600%
|
02/23/28
|
2,359,637
|
||||
1,500,000
|
Trimble Inc
|
4.900%
|
06/15/28
|
1,430,016
|
||||
1,000,000
|
Fiserv Inc
|
4.200%
|
10/01/28
|
926,755
|
||||
3,000,000
|
Entegris Escrow Corp (b)
|
4.750%
|
04/15/29
|
2,649,210
|
||||
1,000,000
|
Juniper Networks Inc
|
3.750%
|
08/15/29
|
871,128
|
||||
1,000,000
|
Dell International LLC / EMC Corp.
|
5.300%
|
10/01/29
|
932,578
|
||||
2,000,000
|
Avnet Inc
|
3.000%
|
05/15/31
|
1,509,833
|
||||
1,000,000
|
HP Inc
|
2.650%
|
06/17/31
|
734,952
|
||||
1,000,000
|
Autodesk Inc
|
2.400%
|
12/15/31
|
779,126
|
||||
1,000,000
|
Magallanes Inc (b)
|
4.279%
|
03/15/32
|
823,811
|
||||
1,000,000
|
Avnet Inc
|
5.500%
|
06/01/32
|
909,176
|
||||
2,000,000
|
Broadcom Inc
|
4.300%
|
11/15/32
|
1,682,424
|
||||
3,000,000
|
Intel Corp
|
4.000%
|
12/15/32
|
2,688,336
|
||||
2,000,000
|
HP Inc
|
5.500%
|
01/15/33
|
1,776,673
|
||||
2,850,000
|
Leidos Inc
|
5.500%
|
07/01/33
|
2,552,674
|
||||
1,000,000
|
Broadcom Inc (b)
|
3.469%
|
04/15/34
|
751,674
|
||||
1,500,000
|
Western Union Co/The
|
6.200%
|
11/17/36
|
1,430,909
|
||||
1,500,000
|
Broadcom Inc (b)
|
4.926%
|
05/15/37
|
1,238,947
|
||||
3,000,000
|
Oracle Corp
|
3.600%
|
04/01/40
|
2,041,833
|
||||
1,000,000
|
Dell, Inc.
|
5.400%
|
09/10/40
|
856,480
|
||||
1,000,000
|
Analog Devices Inc
|
2.800%
|
10/01/41
|
709,500
|
||||
570,000
|
Discovery Communications LLC
|
4.950%
|
05/15/42
|
417,011
|
||||
2,000,000
|
Motorola Solutions Inc
|
5.500%
|
09/01/44
|
1,705,603
|
||||
36,961,932
|
||||||||
MATERIALS 2.5%
|
||||||||
750,000
|
RPM International Inc
|
3.450%
|
11/15/22
|
749,073
|
||||
756,000
|
Eastman Chemical Co
|
3.800%
|
03/15/25
|
728,313
|
||||
865,000
|
Union Carbide Corp
|
7.500%
|
06/01/25
|
910,510
|
||||
2,000,000
|
DowDuPont Inc
|
4.493%
|
11/15/25
|
1,966,602
|
||||
200,000
|
Worthington Industries Inc
|
4.550%
|
04/15/26
|
194,501
|
||||
1,500,000
|
Cabot Corp
|
3.400%
|
09/15/26
|
1,385,334
|
||||
782,000
|
HB Fuller Co
|
4.000%
|
02/15/27
|
724,144
|
||||
3,200,000
|
HB Fuller Co
|
4.250%
|
10/15/28
|
2,699,024
|
||||
4,000,000
|
Cabot Corp
|
4.000%
|
07/01/29
|
3,490,671
|
||||
1,175,000
|
Albemarle Wodgina Pty Ltd (d)
|
3.450%
|
11/15/29
|
1,003,571
|
||||
3,000,000
|
Freeport McMoRan Inc
|
4.250%
|
03/01/30
|
2,579,593
|
||||
1,250,000
|
Dow Chemical Co/The
|
4.250%
|
10/01/34
|
1,060,432
|
||||
1,000,000
|
Newmont Mining Corp
|
4.875%
|
03/15/42
|
865,103
|
||||
325,000
|
Albemarle Corp
|
5.450%
|
12/01/44
|
283,494
|
||||
250,000
|
Steel Dynamics Inc
|
3.250%
|
10/15/50
|
153,178
|
||||
18,793,543
|
||||||||
REAL ESTATE 0.1%
|
||||||||
350,000
|
CBRE Services Inc
|
4.875%
|
03/01/26
|
345,816
|
||||
345,816
|
||||||||
UTILITIES 0.9%
|
||||||||
75,000
|
National Fuel Gas Co
|
3.750%
|
03/01/23
|
74,612
|
||||
250,000
|
Jersey Central Power & Light Co (b)
|
4.300%
|
01/15/26
|
240,298
|
||||
2,000,000
|
National Fuel Gas Co
|
3.950%
|
09/15/27
|
1,777,587
|
||||
416,000
|
Toledo Edison Co (b)
|
2.650%
|
05/01/28
|
360,697
|
||||
1,000,000
|
National Fuel Gas Co
|
4.750%
|
09/01/28
|
923,693
|
||||
2,000,000
|
Alliant Energy Finance LLC (b)
|
3.600%
|
03/01/32
|
1,710,343
|
||||
1,165,000
|
Duke Energy Progress LLC
|
5.700%
|
04/01/35
|
1,153,832
|
||||
1,021,000
|
Northern Natural Gas Co (b)
|
4.100%
|
09/15/42
|
754,860
|
||||
6,995,922
|
||||||||
TOTAL CORPORATE BONDS
|
221,338,891
|
|||||||
US GOVERNMENT NOTES/BONDS 2.2%
|
||||||||
1,000,000
|
United States Treasury Note/Bond
|
0.875%
|
01/31/24
|
955,683
|
||||
1,000,000
|
United States Treasury Note/Bond
|
0.250%
|
03/15/24
|
943,359
|
||||
3,000,000
|
United States Treasury Note/Bond
|
0.750%
|
03/31/26
|
2,664,961
|
||||
1,000,000
|
United States Treasury Note/Bond
|
0.750%
|
04/30/26
|
886,133
|
||||
1,000,000
|
United States Treasury Note/Bond
|
1.125%
|
10/31/26
|
887,305
|
||||
1,000,000
|
United States Treasury Note/Bond
|
1.250%
|
06/30/28
|
857,695
|
||||
1,000,000
|
United States Treasury Note/Bond
|
1.000%
|
07/31/28
|
843,008
|
||||
7,000,000
|
United States Treasury Note/Bond
|
2.625%
|
02/15/29
|
6,454,492
|
||||
1,000,000
|
United States Treasury Note/Bond
|
3.250%
|
05/15/42
|
887,969
|
||||
2,000,000
|
United States Treasury Note/Bond
|
3.000%
|
02/15/49
|
1,709,297
|
||||
17,089,902
|
||||||||
ASSET BACKED SECURITIES 1.7%
|
||||||||
237,106
|
American Airlines 2014-1 Class B Pass Through Trust
|
4.375%
|
04/01/24
|
239,478
|
||||
1,000,000
|
United Airlines 2015-1 Class A Pass Through Trust
|
3.700%
|
06/01/24
|
993,719
|
||||
295,646
|
US Airways 2010-1 Class A Pass Through Trust
|
6.250%
|
10/22/24
|
294,236
|
||||
797,638
|
Delta Air Lines 2015-1 Class B Pass Through Trust
|
4.250%
|
01/30/25
|
782,730
|
||||
496,198
|
American Airlines 2015-2 Class B Pass Through Trust
|
4.400%
|
03/22/25
|
473,938
|
||||
173,542
|
US Airways 2011-1 Class A Pass Through Trust
|
7.125%
|
04/22/25
|
174,408
|
||||
1,916,598
|
American Airlines 2016-1 Class B Pass Through Trust
|
5.250%
|
07/15/25
|
1,796,838
|
||||
626,327
|
Spirit Airlines Pass Through Trust 2015-1B
|
4.450%
|
10/01/25
|
594,869
|
||||
1,474,280
|
Hawaiian Airlines 2013-1 Class A Pass Through Certificates
|
3.900%
|
01/15/26
|
1,227,316
|
||||
1,071,871
|
Continental Airlines 2012-2 Class A Pass Through Trust
|
4.000%
|
04/29/26
|
1,022,634
|
||||
623,755
|
American Airlines 2017-1 Class B Pass Through Trust
|
4.950%
|
08/15/26
|
563,754
|
||||
633,263
|
United Airlines 2013-1 Class A Pass Through Trust
|
4.300%
|
02/15/27
|
595,456
|
||||
602,274
|
American Airlines 2016-3 Class B Pass Through Trust
|
3.750%
|
04/15/27
|
529,523
|
||||
476,255
|
US Airways 2013-1 Class A Pass Through Trust
|
3.950%
|
05/15/27
|
421,892
|
||||
526,903
|
United Airlines 2014-1 Class A Pass Through Trust
|
4.000%
|
10/11/27
|
483,116
|
||||
422,515
|
United Airlines 2014-2 Class A Pass Through Trust
|
3.750%
|
03/03/28
|
384,519
|
||||
1,167,568
|
American Airlines 2014-1 Class A Pass Through Trust
|
3.700%
|
04/01/28
|
999,857
|
||||
302,746
|
American Airlines 2015-1 Class A Pass Through Trust
|
3.375%
|
11/01/28
|
253,784
|
||||
433,253
|
American Airlines 2015-2 Class A Pass Through Trust
|
4.000%
|
03/22/29
|
342,760
|
||||
132,882
|
American Airlines 2015-2 Class AA Pass Through Trust
|
3.600%
|
03/22/29
|
117,624
|
||||
85,814
|
Spirit Airlines Pass Through Trust 2015-1A
|
4.100%
|
10/01/29
|
74,367
|
||||
742,468
|
British Airways 2018-1 Class A Pass Through Trust (b)(d)
|
4.125%
|
03/20/33
|
629,328
|
||||
12,996,146
|
||||||||
MUNICIPAL BONDS 1.3%
|
||||||||
500,000
|
BAC Capital Trust XIV (c)
|
4.000% (3 Month LIBOR USD + 0.400%)
|
12/01/22
|
366,856
|
||||
650,000
|
Glendale Community College District/CA
|
2.113%
|
08/01/31
|
521,103
|
||||
500,000
|
Socorro Independent School District
|
2.125%
|
08/15/31
|
408,309
|
||||
920,000
|
Pierre School District No 32-2
|
2.040%
|
08/01/33
|
712,592
|
||||
500,000
|
Redondo Beach Unified School District
|
2.040%
|
08/01/34
|
370,525
|
||||
500,000
|
DeKalb Kane & LaSalle Counties Etc Community College District No 523 Kishwaukee
|
3.017%
|
02/01/36
|
394,338
|
||||
1,000,000
|
Crowley Independent School District
|
3.010%
|
08/01/38
|
793,913
|
||||
500,000
|
Idaho Bond Bank Authority
|
2.354%
|
09/15/38
|
362,566
|
||||
850,000
|
Worthington Independent School District No 518
|
3.300%
|
02/01/39
|
687,288
|
||||
610,000
|
Rockwall Independent School District
|
3.091%
|
02/15/39
|
463,876
|
||||
945,000
|
City of Minnetonka MN
|
3.050%
|
02/01/40
|
724,071
|
||||
885,000
|
Massachusetts Development Finance Agency
|
2.550%
|
05/01/40
|
611,681
|
||||
750,000
|
Woodbury County Law Enforcement Center Authority
|
3.090%
|
06/01/40
|
561,285
|
||||
505,000
|
Village of Ashwaubenon WI
|
2.970%
|
06/01/40
|
375,222
|
||||
300,000
|
Desert Community College District
|
2.457%
|
08/01/40
|
207,228
|
||||
800,000
|
Utah Transit Authority
|
3.443%
|
12/15/42
|
611,620
|
||||
1,000,000
|
Borough of Naugatuck CT
|
3.090%
|
09/15/46
|
669,185
|
||||
1,000,000
|
Michigan State University
|
4.496%
|
08/15/48
|
917,331
|
||||
9,758,989
|
||||||||
TOTAL FIXED INCOME SECURITIES
|
$ 261,183,928
|
|||||||
(cost $301,004,255)
|
||||||||
Shares
|
COMMON STOCKS 64.2%
|
|||||||
COMMUNICATION SERVICES 4.6%
|
||||||||
313,000
|
Alphabet Inc(e)
|
30,094,950
|
||||||
53,000
|
Walt Disney Co/The(e)
|
4,999,490
|
||||||
35,094,440
|
||||||||
CONSUMER DISCRETIONARY 2.3%
|
||||||||
42,000
|
Home Depot Inc/The
|
11,589,480
|
||||||
43,000
|
Target Corp
|
6,380,770
|
||||||
17,970,250
|
||||||||
CONSUMER STAPLES 4.3%
|
||||||||
45,000
|
Hershey Co/The
|
9,921,150
|
||||||
362,000
|
Hormel Foods Corp
|
16,449,280
|
||||||
94,000
|
Sysco Corp
|
6,646,740
|
||||||
33,017,170
|
||||||||
FINANCIALS 7.8%
|
||||||||
44,000
|
American Express Co
|
5,936,040
|
||||||
125,000
|
JPMorgan Chase & Co
|
13,062,500
|
||||||
86,000
|
Northern Trust Corp
|
7,358,160
|
||||||
78,000
|
Principal Financial Group Inc
|
5,627,700
|
||||||
436,000
|
US Bancorp/MN
|
17,579,520
|
||||||
263,000
|
Wells Fargo & Co
|
10,577,860
|
||||||
60,141,780
|
||||||||
HEALTH CARE 15.1%
|
||||||||
179,000
|
Abbott Laboratories
|
17,320,040
|
||||||
62,000
|
Baxter International Inc
|
3,339,320
|
||||||
19,000
|
Bio-Techne Corp
|
5,396,000
|
||||||
125,000
|
Elanco Animal Health Inc(e)
|
1,551,250
|
||||||
61,000
|
Eli Lilly & Co
|
19,724,350
|
||||||
86,000
|
Johnson & Johnson
|
14,048,960
|
||||||
170,000
|
Medtronic PLC (f)
|
13,727,500
|
||||||
4,895
|
Neogen Corp.(e)
|
68,383
|
||||||
103,000
|
Pfizer Inc
|
4,507,280
|
||||||
352,000
|
Roche Holding AG (g)
|
14,298,240
|
||||||
44,000
|
UnitedHealth Group Inc
|
22,221,760
|
||||||
116,203,083
|
||||||||
INDUSTRIALS 10.7%
|
||||||||
30,277
|
3M Co
|
3,345,609
|
||||||
65,000
|
CH Robinson Worldwide Inc
|
6,260,150
|
||||||
157,000
|
Donaldson Co Inc
|
7,694,570
|
||||||
140,000
|
Fastenal Co
|
6,445,600
|
||||||
247,000
|
Graco Inc
|
14,807,650
|
||||||
19,000
|
Honeywell International Inc
|
3,172,430
|
||||||
140,000
|
nVent Electric PLC (f)
|
4,425,400
|
||||||
19,000
|
Rockwell Automation Inc
|
4,087,090
|
||||||
101,000
|
Tennant Co
|
5,712,560
|
||||||
227,000
|
Toro Co/The
|
19,630,960
|
||||||
40,000
|
United Parcel Service Inc, Class B
|
6,461,600
|
||||||
82,043,619
|
||||||||
INFORMATION TECHNOLOGY 14.2%
|
||||||||
22,000
|
Automatic Data Processing Inc
|
4,976,180
|
||||||
27,000
|
Entegris Inc
|
2,241,540
|
||||||
145,000
|
Fiserv Inc(e)
|
13,567,650
|
||||||
40,000
|
Littelfuse Inc
|
7,947,600
|
||||||
125,000
|
Microsoft Corp
|
29,112,500
|
||||||
54,000
|
Motorola Solutions Inc
|
12,094,380
|
||||||
118,000
|
QUALCOMM Inc
|
13,331,640
|
||||||
50,000
|
salesforce.com Inc(e)
|
7,192,000
|
||||||
54,000
|
Texas Instruments Inc
|
8,358,120
|
||||||
58,000
|
Visa Inc
|
10,303,700
|
||||||
109,125,310
|
||||||||
MATERIALS 4.3%
|
||||||||
90,000
|
Ecolab Inc
|
12,997,800
|
||||||
160,000
|
HB Fuller Co
|
9,616,000
|
||||||
49,000
|
Sherwin-Williams Co/The
|
10,032,750
|
||||||
32,646,550
|
||||||||
UTILITIES 0.9%
|
||||||||
104,000
|
Xcel Energy Inc
|
6,656,000
|
||||||
TOTAL COMMON STOCKS
|
$
|
492,898,202 | ||||||
(cost $291,103,256)
|
||||||||
SHORT-TERM INVESTMENTS 1.5%
|
||||||||
11,297,432
|
First American Government Obligations Fund, Class X, 2.770% (h)
|
$
|
11,297,432 | |||||
(cost $11,297,432)
|
||||||||
TOTAL INVESTMENTS 99.7%
|
$
|
765,379,562 | ||||||
(cost $603,404,943)
|
||||||||
OTHER ASSETS AND LIABILITIES (NET) 0.3%
|
2,634,032
|
|||||||
TOTAL NET ASSETS 100.0%
|
$
|
768,013,594 | ||||||
|
||||||||
(a)
|
Step Bonds - Securities for which the coupon rate of interest will adjust on specified future dates(s). The rate disclosed represents the coupon
rate in effect as of September 30, 2022.
|
|||||||
(b)
|
Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from
registration, normally to qualified institutional buyers. These securities have been determined to be liquid under guidelines established by the Funds's Board of Trustees. As of September 30, 2022, these securities represented $20,548,419
or 2.7% of total net assets.
|
|||||||
(c)
|
Perpetual maturity, date shown, if applicable, represents next contractual call date.
|
|||||||
(d)
|
Foreign security denominated in U.S. dollars. As of September 30, 2022, these securities represented $39,971,925 or 5.2% of total net assets.
|
|||||||
(e)
|
Non-income producing.
|
|||||||
(f)
|
Issuer headquartered overseas but considered domestic. The Adviser defines foreign issuers as those whose operational leadership or headquarters is
located in a foreign country; provided, however, if an issuer is believed by the Adviser to be headquartered in a jurisdiction primarily for tax purposes, the Adviser will consider the following additional factors: 1) the location of the
primary exchange trading its securities; 2) where it derives the majority of its revenues; and/or 3) where it earns the majority of its profits.
|
|||||||
(g)
|
American Depositary Receipt
|
|||||||
(h)
|
The rate quoted is the annualized seven-day effective yield as of September 30, 2022.
|
|||||||
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 the Adviser.
|
Growth Fund
|
Balanced Fund
|
Small Cap Fund
|
Minnesota ETF
|
|||||||||||||
Level 1 *
|
$
|
4,225,215,103
|
$
|
504,566,234
|
$
|
318,874,918
|
$
|
63,271
|
||||||||
Level 2**
|
-
|
260,813,328
|
-
|
16,334,850
|
||||||||||||
Level 3
|
-
|
-
|
-
|
-
|
||||||||||||
Total
|
$
|
4,225,215,103
|
$
|
765,379,562
|
$
|
318,874,918
|
$
|
16,398,121
|
||||||||
* All Level 1 investments are equity securities (common stocks and preferred stocks and short-term investments.
|
||||||||||||||||
** All Level 2 investments are fixed income securities.
|
||||||||||||||||
For detail of securities by major section classification for the Funds, please refer to the Schedule of Investments.
|
||||||||||||||||
The Funds did not hold any Level 3 investments during the period ended September 30, 2022.
|
||||||||||||||||
The Fund did not invest in any financial derivative instruments during the period ended September 30, 2022.
|