November 30, 2023 (Unaudited)
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Shares
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Value
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COMMON STOCKS — 94.88%
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Air Freight & Logistics — 1.41%
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United Parcel Service, Inc. - Class B
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46,240
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$
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7,010,446
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Banks — 0.85%
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Glacier Bancorp, Inc.
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126,577
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4,256,784
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Biotechnology — 3.27%
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AbbVie, Inc.
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65,100
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9,269,589
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Gilead Sciences, Inc.
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92,000
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7,047,200
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16,316,789
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Building Products — 2.24%
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Carrier Global Corp.
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215,200
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11,181,792
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Capital Markets — 5.68%
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BlackRock, Inc.
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13,800
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10,366,974
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Nasdaq, Inc.
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137,490
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7,677,442
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S&P Global, Inc.
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24,688
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10,266,011
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28,310,427
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Chemicals — 3.71%
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Air Products and Chemicals, Inc.
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29,786
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8,058,602
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Sherwin-Williams Co.
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37,500
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10,455,000
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18,513,602
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Commercial Services & Supplies — 3.99%
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Cintas Corp.
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17,965
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9,939,136
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Republic Services, Inc.
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61,730
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9,990,383
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19,929,519
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Consumer Staples Distribution & Retail — 4.71%
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Casey's General Stores, Inc.
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45,500
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12,530,700
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Costco Wholesale Corp.
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18,450
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10,936,053
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23,466,753
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Distributors — 1.59%
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Pool Corp.
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22,800
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7,918,896
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Diversified Telecommunication Services — 0.90%
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Verizon Communications, Inc.
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117,100
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4,488,443
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Financial Services — 3.80%
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Jack Henry & Associates, Inc.
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50,195
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7,965,445
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Mastercard, Inc. - Class A
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26,510
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10,970,633
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18,936,078
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Food Products — 3.11%
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McCormick & Co., Inc./MD
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84,419
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5,472,884
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Mondelez International, Inc. - Class A
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141,000
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10,019,460
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15,492,344
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Gas Utilities — 2.34%
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Atmos Energy Corp.
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102,300
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11,642,763
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Health Care Equipment & Supplies — 5.99%
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Abbott Laboratories
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72,500
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7,561,025
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Becton Dickinson & Co.
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26,708
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6,307,896
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STERIS PLC
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48,327
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9,710,827
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Stryker Corp.
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21,200
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6,282,196
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29,861,944
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Health Care Providers & Services — 2.09%
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Elevance Health, Inc.
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21,785
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10,445,690
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Hotels, Restaurants & Leisure — 2.24%
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McDonald's Corp.
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39,643
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11,172,983
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Insurance — 3.72%
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Arthur J Gallagher & Co.
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74,470
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18,543,030
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IT Services — 2.03%
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Accenture PLC - Class A
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30,454
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10,145,446
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Machinery — 4.22%
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Illinois Tool Works, Inc.
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37,598
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9,106,611
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Snap-on, Inc.
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43,510
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11,951,762
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21,058,373
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Multi-Utilities — 2.02%
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WEC Energy Group, Inc.
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120,457
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10,072,614
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Oil, Gas & Consumable Fuels — 4.45%
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EOG Resources, Inc.
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77,230
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9,504,696
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Exxon Mobil Corp.
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123,356
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12,673,596
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22,178,292
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Pharmaceuticals — 1.60%
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Merck & Co., Inc.
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77,920
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7,985,242
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Professional Services — 2.24%
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Automatic Data Processing, Inc.
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48,500
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11,151,120
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Semiconductors & Semiconductor Equipment — 5.47%
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Analog Devices, Inc.
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46,249
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8,481,142
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QUALCOMM, Inc.
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79,909
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10,312,256
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Texas Instruments, Inc.
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55,380
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8,457,080
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27,250,478
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Software — 5.10%
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Intuit, Inc.
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21,500
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12,286,390
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Microsoft Corp.
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34,700
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13,148,177
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25,434,567
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Specialty Retail — 4.04%
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Home Depot, Inc.
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30,000
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9,404,700
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Tractor Supply Co.
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53,000
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10,759,530
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20,164,230
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Technology Hardware, Storage & Peripherals — 5.98%
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Apple, Inc.
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156,888
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29,800,876
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Trading Companies & Distributors — 4.20%
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Fastenal Co.
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188,270
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11,290,552
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Watsco, Inc.
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25,200
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9,632,196
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20,922,748
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Water Utilities — 1.89%
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American Water Works Co., Inc.
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71,460
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9,421,286
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TOTAL COMMON STOCKS (Cost $297,268,962)
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473,073,555
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REAL ESTATE INVESTMENT TRUSTS — 3.39%
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Specialized REITs — 3.39%
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American Tower Corp.
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36,300
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7,578,714
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Equinix, Inc.
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11,460
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9,340,015
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16,918,729
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TOTAL REAL ESTATE INVESTMENT TRUSTS (Cost $14,476,466)
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16,918,729
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MONEY MARKET FUNDS — 1.53%
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Fidelity Government Portfolio - Institutional Class, 5.230% (a)
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7,609,953
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7,609,953
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TOTAL MONEY MARKET FUNDS (Cost $7,609,953)
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7,609,953
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Total Investments (Cost $319,355,381) — 99.80%
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$
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497,602,237
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Other Assets in Excess of Liabilities — 0.20%
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992,902
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TOTAL NET ASSETS — 100.00%
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$
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498,595,139
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Percentages are stated as a percent of net assets.
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PLC
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Public Limited Company
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(a) The rate shown represents the seven-day yield as of November 30, 2023.
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Dearborn Partners Rising Dividend Fund
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Level 1
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Level 2
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Level 3
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Total
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Assets(1):
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||||||||||||||||
Equities:
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Common Stocks
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$
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473,073,555
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$
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–
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$
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–
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$
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473,073,555
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Real Estate Investment Trusts
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16,918,729
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–
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–
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16,918,729
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Total Equity Securities
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489,992,284
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–
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–
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489,992,284
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Money Market Funds
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7,609,953
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–
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–
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7,609,953
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Total Investments in Securities
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$
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497,602,237
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$
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–
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$
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–
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$
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497,602,237
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(1)
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See the Schedule of Investments for industry classifications.
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