0001145549-24-048697.txt : 20240822 0001145549-24-048697.hdr.sgml : 20240822 20240822095911 ACCESSION NUMBER: 0001145549-24-048697 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240630 FILED AS OF DATE: 20240822 DATE AS OF CHANGE: 20240822 PERIOD START: 20240930 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: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-10401 FILM NUMBER: 241230428 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 S000060190 CrossingBridge 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254900YAUJV2EUEVBR11 Qorvo Inc 74739DAB0 2633000.000000000000 PA USD 2581718.190000000000 0.2810596360 Long DBT CORP US N 2 2024-12-15 Fixed 1.750000000000 N N N N N N REX - REAL ESTATE EXCH N/A REX - Real Estate Exchange Inc 76161RAA3 562499.250000000000 PA USD 556705.510000000000 0.0606059362 Long DBT CORP US N 2 2025-03-15 Fixed 6.000000000000 N N N N N N SHERWIN-WILLIAMS CO Z15BMIOX8DDH0X2OBP21 Sherwin-Williams Co/The 824348BF2 8847000.000000000000 PA USD 8664617.330000000000 0.9432765366 Long DBT CORP US N 2 2026-01-15 Fixed 3.950000000000 N N N N N N TAPESTRY INC 549300LJNVY5SW3VTN33 Tapestry Inc 876030AB3 10273000.000000000000 PA USD 10447759.760000000000 1.1373989486 Long DBT CORP US N 2 2025-11-27 Fixed 7.050000000000 N N N N N N TURNING POINT BRANDS INC 549300IYG00QF0VVP302 Turning Point Brands Inc 90041LAE5 15937000.000000000000 PA USD 16046985.540000000000 1.7469605831 Long DBT CORP US N 2 2024-07-15 Fixed 2.500000000000 N N N N Y Turning Point Brands Inc Turning Point Brands Inc USD XXXX N N N MANGROVE LUXCO III 549300GLJSZN1PU7T586 Mangrove Luxco III Sarl ZQ1470090 1043750.000000000000 PA 1115778.530000000000 0.1214696123 Long DBT CORP LU N 2 2025-10-09 Fixed 7.775000000000 N N Y N N N SECOP GROUP HLDG GMBH 3912009IWWPURB35WO49 Secop Group Holding GmbH ZK8432245 2561000.000000000000 PA 2804414.990000000000 0.3053035995 Long DBT CORP DE N 2 2026-12-29 Floating 12.122000000000 N N N N N N NOVEDO HOLDINGS AB 984500F0A56FIF3C6091 Novedo Holding AB BS3076053 55000000.000000000000 PA 5124304.180000000000 0.5578591316 Long DBT CORP SE N 2 2024-11-26 Floating 10.271000000000 N N N N N N GAMING INNOVATION GRP 213800UCC6GA967UCS06 Gaming Innovation Group PLC ZG3808570 4600000.000000000000 PA 5148058.900000000000 0.5604451973 Long DBT CORP MT N 2 2026-12-18 Floating 10.965000000000 N N N N N N FORUM ENERGY TECHNOLOGIE 2ND LIEN 11% 12/8/26 N/A FORUM ENERGY TECHNOLOGIE 2ND LIEN 11% 12/8/26 N/A 23208204.110000000000 PA USD 22279875.950000000000 2.4255063347 Long LON CORP US N 3 2026-12-08 Fixed 11.000000000000 N N N N N N LEGATO MERGER CORP III N/A Legato Merger Corp III N/A 89300.000000000000 NS USD 11617.930000000000 0.0012647899 N/A DE CORP US N 1 NYSEAmerican N/A Call Purchased Legato Merger Corp III Legato Merger Corp III 1.000000000000 11.500000000000 USD 2029-03-28 XXXX -2468.520000000000 N N N KNHOLDCO N/A KNHOLDCO N/A 152899.000000000000 NS USD 344022.750000000000 0.0374521546 Long EC CORP US N 2 N N N ABE INVESTMENT HOLDINGS N/A Abe Investment Holdings Inc 37427UAJ9 3141825.910000000000 PA USD 3144810.640000000000 0.3423608886 Long LON CORP US N 2 2026-02-19 Floating 9.909420000000 N N N N N N FIRST BRANDS GROUP LLC N/A First Brands Group LLC 31935HAG2 9442490.580000000000 PA USD 9401179.680000000000 1.0234626494 Long LON CORP US N 2 2027-03-30 Floating 10.574270000000 N N N N N N IMPALA GROUP PLC 549300H2NW5AUSWVQK84 Impala BondCo PLC BR8492349 11981006.000000000000 PA 796925.110000000000 0.0867575254 Long DBT CORP GB N 2 2027-10-30 Fixed 12.000000000000 N N Y N N N GO NORTH GROUP AB 636700UB68QRCB53V204 Go North Group AB ZM6862225 12499999.888898000000 PA 678130.010000000000 0.0738248561 Long DBT CORP SE N 2 2027-02-09 Fixed 15.000000000000 N N Y N N N GO NORTH GROUP AB FRN GTD 02/2026 USD1 'REGS' N/A GO NORTH GROUP AB FRN GTD 02/2026 USD1 'REGS' N/A 2553554.000000000000 PA USD 1404454.700000000000 0.1528964425 Long DBT CORP SE N 2 2026-02-09 Floating 14.820000000000 N N N N N N GO NORTH GROUP AB 636700UB68QRCB53V204 Go North Group AB ZD4139261 5142042.000000000000 PA .000000000000 0.0000000000 Long DBT CORP SE N 3 2028-02-02 Fixed 15.000000000000 N N N N N N ADDVISE GROUP AB 549300C17TZXE1IEOA66 ADDvise Group AB ZD8239661 2000000.000000000000 PA USD 2012867.820000000000 0.2191315454 Long DBT CORP SE N 2 2027-04-04 Floating 9.583400000000 N N N N N N PROSOMNUS HOLDINGS INC. DIP Prime+ 9% 11/7/24 N/A PROSOMNUS HOLDINGS INC. DIP Prime+ 9% 11/7/24 N/A 878769.540000000000 PA USD 878769.540000000000 0.0956675473 Long LON CORP US N 3 2024-11-07 Fixed 17.500000000000 N N N N N N CABONLINE GROUP HOLD 549300PB67LZ38PTO750 Cabonline Group Holding AB ZH5209213 77770274.000000000000 PA 7428514.800000000000 0.8087078108 Long DBT CORP SE N 2 2026-03-19 Fixed 14.000000000000 N N N N N N FIVEN ASA 549300Z4VK4GSH1X0129 Fiven ASA ZG2628763 11215000.000000000000 PA 12395052.210000000000 1.3493916089 Long DBT CORP NO N 2 2026-12-11 Floating 10.459000000000 N N N N N N OREXO AB 549300LJ5CCWDPTK9Z08 Orexo AB ZD5840446 71250000.000000000000 PA 6893993.300000000000 0.7505169444 Long DBT CORP SE N 2 2028-03-28 Floating 10.523000000000 N N N N N N NEO BIDCO AB 6367006K4VQQGJD8Q028 Goldcup 100865 AB YX9531501 15000000.000000000000 PA 1415227.850000000000 0.1540692651 Long DBT CORP SE N 2 2028-07-11 Floating 9.215000000000 N N N N N N N/A N/A SEK/USD FWD 20240715 N/A 1.000000000000 NC USD -5964.470000000000 -0.0006493241 N/A DFE US N 2 U.S. BANCORP INVESTMENTS INC. H85Z6XZP8B10ES0M2G89 -491330.030000000000 USD 5140000.000000000000 SEK 2024-07-15 -5964.470000000000 N N N OPNET SPA 8156008F52B23E338F42 Opnet SpA BA0032827 12701000.000000000000 PA 13612279.170000000000 1.4819054393 Long DBT CORP IT N 2 2026-02-09 Floating 10.892000000000 N N N N N N BX Trust N/A BX Commercial Mortgage Trust 2021-SOAR 05608WAG9 6080176.710000000000 PA USD 6005078.620000000000 0.6537449430 Long ABS-MBS CORP US N 2 2038-06-15 Floating 6.313480000000 N N N N N N BX Trust N/A BX Commercial Mortgage Trust 2021-VOLT 05609VAG0 1800000.000000000000 PA USD 1775260.980000000000 0.1932643953 Long ABS-MBS CORP US N 2 2036-09-15 Floating 6.393320000000 N N N N N N Coinstar Funding, LLC N/A Coinstar Funding LLC Series 2017-1 19260MAA4 21353730.000000000000 PA USD 18698496.170000000000 2.0356181970 Long ABS-O CORP US N 2 2047-04-25 Fixed 5.216000000000 N N N N N N CROWN CASTLE INC. 54930012H97VSM0I2R19 Crown Castle Inc 22823PH14 8501000.000000000000 PA USD 8454211.260000000000 0.9203706076 Long STIV CORP US N 2 2024-08-01 Fixed .000000000000 N N N N N N CROWNROCK LP/CROWNROCK F N/A CrownRock LP / CrownRock Finance Inc 228701AF5 11471000.000000000000 PA USD 11451507.330000000000 1.2466722720 Long DBT CORP US N 2 2025-10-15 Fixed 5.625000000000 N N N N N N DENTSPLY Sirona Inc 0% CP 03/07/2024 N/A DENTSPLY Sirona Inc 0% CP 03/07/2024 N/A 16848000.000000000000 PA USD 16834217.330000000000 1.8326628418 Long STIV CORP US N 2 2024-07-03 Fixed .000000000000 N N N N N N SIZZLING PLATT/FIN CO N/A Sizzling Platter LLC / Sizzling Platter Finance Corp 830146AB2 21053000.000000000000 PA USD 21242055.940000000000 2.3125237035 Long DBT CORP US N 2 2025-11-28 Fixed 8.500000000000 N N N N N N TRIPADVISOR INC 549300XVG45PT5BART17 TripAdvisor Inc 896945AA0 6369000.000000000000 PA USD 6394393.200000000000 0.6961278083 Long DBT CORP US N 2 2025-07-15 Fixed 7.000000000000 N N N N N N CHOBANI LLC 549300ISVDMZ91KNTR38 Chobani LLC 17026YAH2 2468030.700000000000 PA USD 2479593.420000000000 0.2699417879 Long LON CORP US N 2 2027-10-25 Floating 8.693680000000 N N N N N N CHOBANI LLC 549300ISVDMZ91KNTR38 Chobani LLC 17026YAJ8 5970000.000000000000 PA USD 6004506.600000000000 0.6536826699 Long LON CORP US N 2 2027-10-25 Floating 9.066770000000 N N N N N N TWMA FINANCE AS N/A Twma Finance AS ZF3988861 1419000.000000000000 PA USD 1435362.400000000000 0.1562612198 Long DBT CORP NO N 2 2027-02-08 Fixed 13.000000000000 N N N N N N Cold Storage Trust N/A Cold Storage Trust 2020-ICE5 193051AN9 1341782.060000000000 PA USD 1337814.540000000000 0.1456416386 Long ABS-MBS CORP US N 2 2037-11-15 Floating 7.541480000000 N N N N N N First American Government Obli 549300R5MYM6VZF1RM44 First American Government Obligations Fund 31846V336 22686891.810000000000 NS USD 22686891.810000000000 2.4698162559 Long STIV RF US N 1 N N N FISERV INC GI7UBEJLXYLGR2C7GV83 Fiserv Inc 337738AS7 11340000.000000000000 PA USD 11340000.000000000000 1.2345329883 Long DBT CORP US N 2 2024-07-01 Fixed 2.750000000000 N N N N N N ICAHN ENTERPRISES/FIN N/A Icahn Enterprises LP / Icahn Enterprises Finance Corp 451102BT3 3676000.000000000000 PA USD 3650294.100000000000 0.3973905188 Long DBT CORP US N 2 2026-05-15 Fixed 6.250000000000 N N N N N N DELIVERY HERO AG 529900C3EX1FZGE48X78 Delivery Hero SE BR2982592 7800000.000000000000 PA 7582838.560000000000 0.8255083199 Long DBT CORP DE N 2 2026-04-30 Fixed 1.000000000000 N N N N N Delivery Hero SE Delivery Hero SE EUR XXXX N N N FIRST BRANDS GROUP LLC N/A First Brands Group LLC 31935HAD9 1815528.050000000000 PA USD 1806740.890000000000 0.1966914665 Long LON CORP US N 2 2027-03-30 Floating 10.574270000000 N N N N N N 2024-07-22 Trust for Professional Managers /s/ John Buckel John Buckel President XXXX NPORT-EX 2 ldhy.htm

CrossingBridge Low Duration High Yield Fund
 
Schedule of Investments
 
June 30, 2024 (Unaudited)
 
   
CORPORATE BONDS – 50.2%
 
Par
   
Value
 
Accommodation and Food Services - 3.0%
 
Nathan's Famous, Inc., 6.63%, 11/01/2025 (a)
   
$
6,504,000
   
$
6,531,154
 
Sizzling Platter LLC / Sizzling Platter Finance Corp., 8.50%, 11/28/2025 (a)
     
21,053,000
     
21,242,056
 
       
27,773,210
 
                   
Administrative and Support and Waste Management and Remediation Services – 0.8%
 
TripAdvisor, Inc., 7.00%, 07/15/2025 (a)
     
6,369,000
     
6,394,393
 
TWMA Group Ltd., 13.00%, 02/08/2027
     
1,419,000
     
1,435,363
 
       
7,829,756
 
                   
Construction - 0.5%
 
Five Point Operating Co. LP / Five Point Capital Corp., 10.50%, 01/15/2028 (a)(b)
     
4,397,361
     
4,512,088
 
                   
Consumer Discretionary - 0.7%
 
Gaming Innovation Group PLC, 10.97% (3 mo. EURIBOR + 7.25%), 12/18/2026
EUR
   
4,600,000
     
5,148,059
 
Rivian Holdings LLC/Rivian LLC/Rivian Automotive LLC, 11.36% (6 mo. LIBOR US + 5.63%), 10/15/2026 (c)
     
1,000,000
     
1,013,744
 
       
6,161,803
 
                   
Consumer Staples - 0.1%
 
Heart Bidco AB, 9.10% (3 Month Stockholm Interbank Offered Rates + 5.25%), 05/08/2029
SEK
   
15,000,000
     
1,427,981
 
                   
Finance and Insurance - 2.1%
 
Icahn Enterprises LP / Icahn Enterprises Finance Corp.
 
6.25%, 05/15/2026
     
3,676,000
     
3,650,294
 
5.25%, 05/15/2027
     
3,109,000
     
2,921,373
 
Novedo Holding AB, 10.27% (3 Month Stockholm Interbank Offered Rates + 6.50%), 11/26/2024
SEK
   
55,000,000
     
5,124,304
 
Puffin Finance SARL, 15.00%, 09/11/2025
     
1,454,000
     
1,489,311
 
Stockwik Forvaltning AB, 11.72% (3 Month Stockholm Interbank Offered Rates + 8.00%), 03/20/2026
SEK
   
65,000,000
     
6,224,644
 
       
19,409,926
 
                   
Financials - 0.1%
 
Goldcup 100865 AB, 9.22% (3 Month Stockholm Interbank Offered Rates + 5.50%), 07/11/2028
SEK
   
15,000,000
     
1,415,228
 
                   
Health Care and Social Assistance - 1.0%
 
ADDvise Group AB, 9.61% (SOFR + 4.25%), 04/04/2027
     
2,000,000
     
2,012,868
 
Orexo AB, 10.22% (3 Month Stockholm Interbank Offered Rates + 6.50%), 03/28/2028
SEK
   
71,250,000
     
6,893,993
 
       
8,906,861
 
                   
Information - 11.5%
 
Azerion Group NV, 10.66% (3 mo. EURIBOR + 6.75%), 10/02/2026
EUR
   
15,209,000
     
16,654,567
 
Cabonline Group Holding AB
 
14.00%, 03/19/2026
SEK
   
77,770,274
     
7,428,515
 
14.00%, 03/19/2026
SEK
   
21,879,529
     
2,154,917
 
Connect Finco SARL / Connect US Finco LLC, 6.75%, 10/01/2026 (a)
     
8,848,000
     
8,547,498
 
Fiserv, Inc., 2.75%, 07/01/2024
     
11,340,000
     
11,340,000
 
Gaming Innovation Group PLC, 10.99% (3 Month Stockholm Interbank Offered Rates + 7.25%), 12/18/2026
SEK
   
30,625,000
     
3,015,723
 
Go North Group AB
 
0.00%, 02/09/2026
     
470,994
     
259,047
 
0.00%, 02/09/2026
SEK
   
482,169
     
26,158
 
11.12% (SOFR + 5.76%), 02/09/2026
     
7,400,691
     
6,290,587
 
15.12%, 02/09/2026
     
2,553,554
     
1,404,455
 
15.00% (3 Month STIBOR + 10.00%), 02/09/2027
SEK
   
12,500,000
     
678,130
 
15.00%, 02/02/2028  (d)
SEK
   
5,142,042
     
0
 
Impala BondCo PLC, 12.00% (12.00% PIK) (3 Month STIBOR + 9.00%), 10/30/2027
SEK
   
11,981,006
     
796,925
 
INNOVATE Corp., 8.50%, 02/01/2026 (a)
     
7,957,000
     
6,007,535
 
Lithium Midco II Ltd., 10.47% (3 mo. EURIBOR + 6.75%), 07/09/2025
EUR
   
10,459,000
     
11,201,071
 
OpNet S.p.A., 10.89% (3 mo. EURIBOR + 7.00%), 02/09/2026 (a)
EUR
   
12,701,000
     
13,612,279
 
PayPal Holdings, Inc., 1.65%, 06/01/2025
     
3,113,000
     
3,004,712
 
TD SYNNEX Corp., 1.25%, 08/09/2024
     
3,595,000
     
3,575,931
 
Warnermedia Holdings, Inc., 6.41%, 03/15/2026
     
9,750,000
     
9,750,405
 
       
105,748,455
 
                   
Manufacturing – 17.3%
 
Booster Precision Components GmbH, 12.81% (3 mo. EURIBOR + 9.00%), 11/28/2026
EUR
   
2,084,000
     
2,298,817
 
Cannabist Co. Holdings, Inc., 9.50%, 02/03/2026
     
17,087,000
     
14,438,515
 
Dell International LLC / EMC Corp., 4.00%, 07/15/2024
     
2,751,000
     
2,749,127
 
Fiven ASA, 10.46% (3 mo. EURIBOR + 6.70%), 12/11/2026
EUR
   
11,215,000
     
12,395,052
 
G-III Apparel Group Ltd., 7.88%, 08/15/2025 (a)
     
4,735,000
     
4,754,485
 
Gilead Sciences, Inc., 3.65%, 03/01/2026
     
8,847,000
     
8,602,770
 
HMH Holding BV, 9.88%, 11/16/2026
     
14,906,000
     
15,488,203
 
Infrabuild Australia Pty Ltd., 14.50%, 11/15/2028 (a)
     
10,114,000
     
10,469,001
 
Jabil, Inc., 1.70%, 04/15/2026
     
3,353,000
     
3,134,223
 
Mangrove Luxco III Sarl
 
7.78% (9.00% PIK), 10/09/2025
EUR
   
28,338,856
     
30,294,503
 
7.78% (9.00% PIK), 10/09/2025  (a)
EUR
   
1,043,750
     
1,115,779
 
Mauser Packaging Solutions Holding Co., 7.88%, 04/15/2027 (a)
     
1,083,000
     
1,106,555
 
Neptune Bidco AS, 11.48% (Norway Interbank Offered Rate Fixing 3 Month + 6.75%), 06/28/2028
NOK
   
55,000,000
     
5,151,260
 
ProSomnus, Inc., 9.00%, 12/06/2025 (d)
     
6,516,093
     
5,186,810
 
Qorvo, Inc., 1.75%, 12/15/2024
     
2,633,000
     
2,581,718
 
SC Johnson & Son, Inc., 3.35%, 09/30/2024 (a)
     
2,729,000
     
2,710,995
 
Secop Group Holding GmbH, 12.12% (3 mo. EURIBOR + 8.40%), 12/29/2026
EUR
   
2,561,000
     
2,804,415
 
Sherwin-Williams Co., 3.95%, 01/15/2026
     
8,847,000
     
8,664,617
 
Sonoco Products Co., 1.80%, 02/01/2025
     
10,421,000
     
10,173,291
 
Stanley Black & Decker, Inc., 3.40%, 03/01/2026
     
3,460,000
     
3,353,785
 
Tapestry, Inc.
 
7.05%, 11/27/2025
     
10,273,000
     
10,447,760
 
4.13%, 07/15/2027
     
111,000
     
106,459
 
       
158,028,140
 
                   
Mining, Quarrying, and Oil and Gas Extraction - 1.8%
 
CrownRock LP / CrownRock Finance, Inc., 5.63%, 10/15/2025 (a)
     
11,471,000
     
11,451,507
 
Mime Petroleum AS, 9.75%, 09/17/2026
     
3,412,651
     
3,301,740
 
Tacora Resources, Inc., 13.00%, 09/30/2024 (a)(d)
     
3,892,693
     
1,946,347
 
       
16,699,594
 
                   
Professional, Scientific, and Technical Services - 3.3%
 
Getty Images, Inc., 9.75%, 03/01/2027 (a)
     
6,505,000
     
6,524,269
 
Infor, Inc., 1.75%, 07/15/2025 (a)
     
3,158,000
     
3,028,884
 
Oracle Corp., 2.65%, 07/15/2026
     
13,647,000
     
12,936,018
 
VMware LLC, 1.00%, 08/15/2024
     
7,518,000
     
7,472,454
 
       
29,961,625
 
                   
Real Estate and Rental and Leasing - 1.3%
 
Crown Castle, Inc., 3.20%, 09/01/2024
     
11,369,000
     
11,312,452
 
REX - Real Estate Exchange, Inc., 6.00%, 03/15/2025 (a)
     
562,499
     
556,706
 
       
11,869,158
 
                   
Retail Trade - 0.3%
 
Advance Auto Parts, Inc., 5.90%, 03/09/2026
     
3,000,000
     
3,001,589
 
                   
Transportation and Warehousing - 3.5%
 
Summit Midstream Holdings LLC / Summit Midstream Finance Corp., 10.00%, 10/15/2026 (a)(b)
     
21,997,000
     
22,633,139
 
Uber Technologies, Inc.
                 
   8.00%, 11/01/2026 (a)
     
8,067,000
     
8,144,540
 
   7.50%, 09/15/2027 (a)
     
750,000
     
765,317
 
               
31,542,996
 
Utilities - 0.8%
 
NextEra Energy Capital Holdings, Inc., 4.26%, 09/01/2024
     
7,050,000
     
7,027,853
 
                   
Wholesale Trade - 2.1%
 
Arrow Electronics, Inc., 3.25%, 09/08/2024
     
1,162,000
     
1,155,400
 
TD SYNNEX Corp., 1.75%, 08/09/2026
     
5,186,000
     
4,787,912
 
TPC Group, Inc., 13.00%, 12/16/2027 (a)
     
13,434,726
     
13,647,062
 
       
19,590,374
 
TOTAL CORPORATE BONDS (Cost $468,936,388)
     
460,906,637
 
                   
BANK LOANS - 12.7%
 
Par
   
Value
 
Arts, Entertainment, and Recreation - 1.8%
 
NAI Entertainment Holdings LLC, 10.96% (1 mo. Term SOFR + 5.00%), 05/08/2025
     
16,391,470
     
16,395,568
 
                   
Construction - 0.1%
 
Lealand Finance (McDermott) First Lien, 8.46% (1 Month Base Rate + 3.00%), 06/30/2027
     
1,750,984
     
919,266
 
Lealand Finance Co. BV First Lien, 6.46% (1 Month Base Rate + 1.00%), 12/31/2027
     
37,890
     
17,998
 
               
937,264
 
Information - 2.5%
 
Cengage Learning, Inc. First Lien, 9.54% (6 mo. Term SOFR + 4.75%), 07/14/2026
     
6,238,000
     
6,263,357
 
Clear Channel International First Lien, 7.50%, 08/15/2027
     
11,888,000
     
11,620,520
 
Lions Gate Capital Holdings LLC First Lien, 7.69% (1 mo. Term SOFR + 2.25%), 03/24/2025
     
4,718,072
     
4,719,252
 
       
22,603,129
 
                   
Manufacturing - 6.6%
 
Chobani LLC, 8.71% (1 mo. Term LIBOR + 3.50%), 10/23/2027
     
2,468,031
     
2,479,593
 
Chobani LLC First Lien, 9.08% (1 mo. Term SOFR + 3.75%), 10/25/2027
     
5,970,000
     
6,004,507
 
Elevate Textiles, Inc., 13.95% (13 mo. Term SOFR + 8.65%), 09/30/2027
     
8,717,189
     
8,579,196
 
First Brands Group LLC First Lien
 
10.59% (3 mo. Term SOFR + 5.00%), 03/30/2027
     
9,442,491
     
9,401,180
 
10.59% (3 mo. Term SOFR + 5.00%), 03/30/2027
     
1,815,528
     
1,806,741
 
Forum Energy Technologies, Inc., 11.00%, 12/08/2026 (d)
     
23,208,204
     
22,279,876
 
K&N Parent, Inc.
 
13.46% (3 Month LIBOR + 8.00%), 02/14/2027 (c)
     
7,993,024
     
7,953,058
 
8.71% (3 Month LIBOR + 5.25%), 08/14/2027 (c)
     
1,837,670
     
1,470,136
 
ProSomnus Holdings, Inc., 17.50% (Prime + 9.00%), 11/07/2024 (d)
     
878,770
     
878,770
 
       
60,853,057
 
                   
Professional, Scientific, and Technical Services - 0.3%
 
Getty Images, Inc. First Lien, 9.93% (3 mo. Term SOFR + 4.50%), 02/19/2026
     
3,141,826
     
3,144,811
 
                   
Real Estate and Rental and Leasing - 1.0%
 
Micromont, 8.00%, 11/15/2026 (d)
     
9,332,477
     
9,332,477
 
                   
Retail Trade - 0.4%
 
The Container Store, Inc., 10.60% (3 mo. Term LIBOR + 4.75%), 01/31/2026
     
4,885,172
     
3,236,426
 
TOTAL BANK LOANS (Cost $120,748,117)
     
116,502,732
 
                   
CONVERTIBLE BONDS - 6.4%
 
Par
   
Value
 
Information - 2.3%
 
BuzzFeed, Inc., 8.50%, 12/03/2026 (a)
     
6,255,000
     
5,785,875
 
Chegg, Inc., 0.13%, 03/15/2025
     
9,693,000
     
9,014,490
 
Leafly Holdings, Inc., 8.00%, 01/31/2025 (d)
     
7,245,000
     
6,158,250
 
       
20,958,615
 
                   
Manufacturing - 1.9%
 
Forum Energy Technologies, Inc., 9.00% (9.00% PIK), 08/04/2025
     
1,500,003
     
1,499,253
 
Turning Point Brands, Inc., 2.50%, 07/15/2024
     
15,937,000
     
16,046,986
 
       
17,546,239
 
                   
Professional, Scientific, and Technical Services - 0.6%
 
BlackLine, Inc., 0.13%, 08/01/2024
     
5,593,000
     
5,576,221
 
                   
Transportation and Warehousing - 1.6%
 
Delivery Hero SE
 
1.00%, 04/30/2026
EUR
   
7,800,000
     
7,582,838
 
1.00%, 01/23/2027
EUR
   
8,400,000
     
7,474,959
 
       
15,057,797
 
TOTAL CONVERTIBLE BONDS (Cost $60,672,308)
     
59,138,872
 
                   
MORTGAGE-BACKED SECURITIES - 5.6%
 
Par
   
Value
 
Finance and Insurance - 5.6%
 
BX Trust
 
Series 2021-SOAR, Class B, 6.31% (1 mo. Term SOFR + 0.98%), 06/15/2038 (a)
     
6,080,177
     
6,005,079
 
Series 2021-VINO, Class A, 6.10% (1 mo. Term SOFR + 0.77%), 05/15/2038 (a)
     
3,617,731
     
3,575,412
 
Series 2021-VOLT, Class B, 6.39% (1 mo. Term SOFR + 1.06%), 09/15/2036 (a)
     
1,800,000
     
1,775,261
 
Series 2021-VOLT, Class C, 6.54% (1 mo. Term SOFR + 1.21%), 09/15/2036 (a)
     
6,150,000
     
6,029,983
 
Series 2024-BIO, Class A, 6.97% (1 mo. Term SOFR + 1.64%), 02/15/2041 (a)
     
7,500,000
     
7,484,836
 
Series 2024-KING, Class A, 6.87% (1 mo. Term SOFR + 1.54%), 05/15/2034 (a)
     
4,075,000
     
4,084,044
 
Series 2024-KING, Class B, 7.07% (1 mo. Term SOFR + 1.74%), 05/15/2034 (a)
     
5,419,000
     
5,380,952
 
CAMB Commercial Mortgage Trust, Series 2019-LIFE, Class D, 7.38% (1 mo. Term SOFR + 2.05%), 12/15/2037 (a)
     
7,943,000
     
7,950,892
 
Cold Storage Trust
 
Series 2020-ICE5, Class A, 6.34% (1 mo. Term SOFR + 1.01%), 11/15/2037 (a)
     
5,237,374
     
5,219,943
 
Series 2020-ICE5, Class D, 7.54% (1 mo. Term SOFR + 2.21%), 11/15/2037 (a)
     
1,341,782
     
1,337,814
 
Life Mortgage Trust US, Series 2021-BMR, Class A, 6.14% (1 mo. Term SOFR + 0.81%), 03/15/2038 (a)
     
3,174,994
     
3,119,920
 
       
51,964,136
 
TOTAL MORTGAGE-BACKED SECURITIES (Cost $51,807,461)
     
51,964,136
 
                   
ASSET-BACKED SECURITIES - 4.8%
 
Par
   
Value
 
Finance and Insurance - 3.1%
 
Alterna Funding LLC, Series 2024-1A, Class A, 6.26%, 05/16/2039 (a)
     
2,385,000
     
2,390,355
 
Coinstar Funding LLC, Series 2017-1A, Class A2, 5.22%, 04/25/2047 (a)
     
21,353,730
     
18,698,496
 
HTS Fund LLC, Series 2021-1, Class A, 1.41%, 08/25/2036 (a)
     
4,872,044
     
3,874,110
 
RAM 2024-1 LLC, Series 2024-1, Class A, 6.67%, 02/15/2039 (a)
     
3,896,956
     
3,884,534
 
       
28,847,495
 
                   
Transportation and Warehousing - 1.7%
 
Alaska Airlines, Inc., Series A, 4.80%, 08/15/2027 (a)
     
1,337,356
     
1,313,271
 
Hawaiian Airlines 2013-1 Class A Pass Through Certificates, Series 2013-1, 3.90%, 01/15/2026
     
14,833,284
     
13,998,912
 
               
15,312,183
 
TOTAL ASSET-BACKED SECURITIES (Cost $44,665,076)
     
44,159,678
 
                   
PREFERRED STOCKS - 1.1%
   
Shares
   
Value
 
Administrative and Support and Waste Management and Remediation Services - 1.1%
         
SWK Holdings Corp. 9.00%, 01/31/2027
     
412,897
     
10,301,780
 
TOTAL PREFERRED STOCKS (Cost $10,322,970)
     
10,301,780
 
                   
REAL ESTATE INVESTMENT TRUSTS - 0.3%
   
Shares
   
Value
 
Real Estate and Rental and Leasing - 0.3%
         
Gladstone Land Corp. Series D, 5.00%, 01/31/2026
     
119,309
     
2,884,892
 
TOTAL REAL ESTATE INVESTMENT TRUSTS (Cost $2,831,172)
     
2,884,892
 
                   
SPECIAL PURPOSE ACQUISITION COMPANIES (SPACS) - 0.2%
   
Shares
   
Value
 
Alpha Partners Technology Merger Corp. Founder Shares (f)
     
9,341
     
609
 
Berenson Acquisition Corp. Founder Shares (d)(f)
     
19,099
     
0
 
Legato Merger Corp. III (f)
     
178,600
     
1,806,235
 
TOTAL SPECIAL PURPOSE ACQUISITION COMPANIES (SPACS) (Cost $1,771,990)
     
1,806,844
 
                   
COMMON STOCKS - 0.0%(e)
   
Shares
   
Value
 
Manufacturing - 0.0%(e)
         
Diebold Nixdorf, Inc. (f)
     
0
     
0
 
K&N Parent, Inc. (f)
     
152,899
     
344,023
 
TOTAL COMMON STOCKS (Cost $152,899)
     
344,023
 
                   
WARRANTS - 0.0%(e)
   
Contracts
   
Value
 
Finance and Insurance - 0.0%(e)
         
Legato Merger Corp. III, Expires 03/28/2029, Exercise Price $11.50 (f)
     
89,300
     
11,618
 
                   
Information - 0.0%(e)
         
Leafly Holdings, Inc., Expires 11/07/2026, Exercise Price $11.50 (f)
     
36,943
     
572
 
                   
Mining, Quarrying, and Oil and Gas Extraction - 0.0%(e)
         
Tacora Resources, Inc., Expires 05/11/2025, Exercise Price $0.01 (d)(f)
     
37,828,768
     
0
 
TOTAL WARRANTS (Cost $14,087)
     
12,190
 
                   
SHORT-TERM INVESTMENTS - 19.4%
               
Commercial Paper - 14.2%
   
Par
         
Consumer Staples — 3.0%
                 
Conagra Brands, Inc., 5.60%, 07/02/2024 (g)
     
9,683,000
     
9,676,923
 
Dollarama, Inc., 5.71%, 07/11/2024 (g)
     
18,424,000
     
18,386,934
 
               
28,063,857
 
                   
Energy — 1.2%
                 
Targa Resources Corp., 6.11%, 07/23/2024 (g)
     
10,777,000
     
10,732,620
 
                   
Industrials — 2.1%
                 
ITT, Inc., 5.46%, 07/08/2024 (g)
     
19,366,000
     
19,336,726
 
                   
Manufacturing — 5.3%
                 
DENTSPLY Sirona, Inc., 5.11%, 07/03/2024 (g)
     
16,848,000
     
16,834,218
 
Jabil, Inc., 5.87%, 07/18/2024 (g)
     
6,739,000
     
6,716,262
 
VF Corp., 6.63%, 07/24/2024 (g)
     
7,025,000
     
6,997,392
 
Whirlpool Corp., 5.70%, 07/12/2024 (g)
     
18,190,000
     
18,148,348
 
               
48,696,220
 
                   
Materials — 1.7%
                 
FMC Corp., 6.16%, 07/19/2024 (g)
     
15,353,000
     
15,298,396
 
                   
Real Estate and Rental and Leasing — 0.9%
                 
Crown Castle, Inc., 5.75%, 08/01/2024 (g)
     
8,501,000
     
8,454,211
 
Total Commercial Paper (Cost $130,641,459)
             
130,582,030
 
                   
Money Market Funds - 5.2%
   
Shares
         
First American Treasury Obligations Fund - Class X, 5.20% (h)
     
47,921,455
     
47,921,455
 
Total Money Market Funds (Cost $47,921,455)
             
47,921,455
 
TOTAL SHORT-TERM INVESTMENTS (Cost $178,562,914)
     
178,503,485
 
                   
TOTAL INVESTMENTS - 100.7% (Cost $940,485,382)
     
926,525,269
 
Liabilities in Excess of Other Assets - (0.7)%
     
(6,719,312
)
TOTAL NET ASSETS - 100.0%
           
$
919,805,957
 
           
Percentages are stated as a percent of net assets.
         
           
Par amount is in U.S. Dollar unless otherwise indicated.
         

ASA - Advanced Subscription Agreement
LIBOR - London Interbank Offered Rate
NV - Naamloze Vennootschap
PIK - Payment in Kind
PLC - Public Limited Company
SOFR - Secured Overnight Financing Rate
 
EUR - Euro
NOK - Norwegian Krone
SEK - Swedish Krona

(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 June 30, 2024, the value of these securities total $243,612,366 or 26.5% of the Fund’s net assets.
(b)
Step coupon bond. The rate disclosed is as of June 30, 2024.
(c)
Securities referencing LIBOR are expected to transition to an alternative reference rate by the security’s next scheduled coupon reset date.
(d)
Fair value determined using significant unobservable inputs in accordance with procedures established by and under the supervision of the Adviser, acting as Valuation Designee. These securities represented $45,782,530 or 5.0% of net assets as of June 30, 2024.
(e)
Represents less than 0.05% of net assets.
(f)
Non-income producing security.
(g)
The rate shown is the effective yield as of June 30, 2024.
(h)
The rate shown represents the 7-day effective yield as of June 30, 2024.

CrossingBridge Low Duration High Yield Fund
Schedule of Forward Currency Contracts
June 30, 2024 (Unaudited)

Settlement Date
 
Currency Purchased
 
Currency Sold
 
Counterparty
 
Unrealized
Appreciation
(Depreciation)
 
                           
07/15/2024
 
SEK
   
5,140,000
 
USD
   
491,330
 
U.S. Bancorp Investments, Inc.
 
$
(5,965
)
07/15/2024
 
USD
   
100,763,228
 
EUR
   
93,115,000
 
U.S. Bancorp Investments, Inc.
   
960,350
 
07/15/2024
 
USD
   
5,183,300
 
NOK
   
55,000,000
 
U.S. Bancorp Investments, Inc.
   
29,702
 
07/15/2024
 
USD
   
35,540,499
 
SEK
   
366,650,000
 
U.S. Bancorp Investments, Inc.
   
918,070
 
Total Unrealized Appreciation (Depreciation)
 

$
 1,902,157
                   
EUR - Euro
           
NOK - Norwegian Krone
           
SEK - Swedish Krona
           
USD - United States Dollar
           

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 CrossingBridge Funds (the
 
“Funds”) are comprised of the CrossingBridge Low Duration High Yield Fund, the CrossingBridge Responsible Credit Fund, the CrossingBridge Ultra-Short Duration
 
Fund and the RiverPark Strategic Income Fund (collectively, the “Mutual Funds”) and the CrossingBridge Pre-Merger SPAC ETF (the “ETF”), each representing a
 
distinct diversified series with its own investment objective and policies within the Trust.  The investment objective of the CrossingBridge Low Duration High Yield
 
Fund is to seek high current income and capital appreciation consistent with the preservation of capital. The investment objective of the CrossingBridge Responsible
 
Credit Fund is to seek high current income and capital appreciation consistent with the preservation of capital. The investment objective of the CrossingBridge
 
Ultra-Short Duration Fund is to offer a higher yield than cash instruments while maintaining a low duration. The investment objective of the RiverPark Strategic
 
Income Fund is seek high current income and capital appreciation with the preservation of capital.  The CrossingBridge Low Duration High Yield Fund commenced
 
investment operations on February 1, 2018. The Fund has registered both an Investor Class and Institutional Class of shares. During the fiscal quarter ended
 
December 31, 2023, only the Institutional Class was operational. Both the CrossingBridge Responsible Credit Fund and CrossingBridge Ultra-Short Duration Fund
 
commenced investment operations on June 30, 2021. Both Funds registered only an Institutional Class of shares.  The RiverPark Strategic Income Fund commenced
 
investment operations on September 30, 2013.  From commencement date through May 12, 2023, the RiverPark Strategic Income was a series of the RiverPark Funds
 
Trust.  On May 13, 2023, the Fund reorganized into the Trust.  The Fund has registered and currently offers both an Institutional Class and Retail Class of shares. The
 
investment objective of the CrossingBridge Pre-Merger SPAC ETF is to provide total returns consistent with the preservation of capital. The ETF commenced
 
investment operations on September 20, 2021. Costs incurred by the Funds in connection with the organization, registration and the initial public offering of shares
 
were paid by CrossingBridge Advisors, LLC (“the Adviser”), the Funds’ investment adviser. The Trust may issue an unlimited number of shares of beneficial interest
 
at $0.001 par value. 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.”
   
           
Significant Accounting Policies
         
The following is a summary of significant accounting policies consistently followed by the Fund in the preparation of the financial statements. These policies are in
 
conformity with generally accepted accounting principles in the United States of America (“GAAP”).
     
           
Investment Valuation
         
Each security owned by the Fund that is listed on a securities exchange, including Special Purpose Acquisition Companies ("SPACs"), is valued at its last sale price on that
 
exchange on the date as of which assets are valued. Bank loans are valued at prices supplied by an approved independent pricing service (“Pricing Service”), if available,
 
and otherwise will be valued at the most recent bid quotations or evaluated prices, as applicable, based on quotations or prices obtained from one or more broker-dealers
 
known to follow the issue.
         
           
If the security is listed on more than one exchange, the 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 the NASDAQ Stock Market, LLC (“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 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 a Pricing Service.
         
           
Foreign securities will be priced in their local currencies as of the close of their primary exchange or market or as of the time the Fund calculates its NAV, whichever
 
is earlier. Foreign securities, currencies and other assets denominated in foreign currencies are then translated into U.S. dollars at the exchange rate of such
 
currencies against the U.S. dollar, as provided by an approved Pricing Service or reporting agency. All assets denominated in foreign currencies will be converted
 
into U.S. dollars using the applicable currency exchange rates as of the close of the New York Stock Exchange (“NYSE”), generally 4:00 p.m. Eastern Time.
 
           
Debt securities, including corporate bonds, bank loans, commercial paper, and short-term debt instruments having a maturity of 60 days or less, are valued at the
 
mean in accordance with prices supplied by an approved 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. Any discount or premium is accreted or amortized using constant yield method over the life of the security.
   
           
Money market funds are valued at cost. If cost does not represent current market value the securities will be priced at fair value.
   
           
SPAC Founders Shares, received as part of the initial public offering process, will be valued initially in line with the publicly traded warrants, which typically have no value
 
prior to the warrants being separated from the SPAC common shares. Upon a de-SPAC transaction, the valuation of the Founders Shares may be updated to reflect
 
more current circumstances and inputs, including the value of the publicly traded warrants or the value of the publicly traded common shares, and may include a
 
discount to reflect any restrictions associated with the Founders Shares.
       
           
Redeemable securities issued by open-end, registered investment companies are valued at the NAVs of such companies for purchase and/or redemption orders
 
placed on that day. All exchange-traded funds are valued at the last reported sale price on the exchange on which the security is principally traded.
 
   
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 fair market value.
 
The intended effect of using fair value pricing procedures is to ensure that the Fund is accurately priced. The Board of Trustees will regularly evaluate whether the Fund’s
 
fair value pricing procedures continue to be appropriate in light of the specific circumstances of the Fund and the quality of prices obtained through the application of such
 
procedures by the Adviser.
         
           
FASB Accounting Standards Codification, “Fair Value Measurements and Disclosures” Topic 820 (“ASC 820”), establishes an authoritative definition of fair value and
 
sets out 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 in those instances as well as expanded disclosure of valuation levels for major security types. 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 the 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 June 30, 2024:
   

CrossingBridge Low Duration High Yield Fund
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Assets(1):
                       
   Corporate Bonds
 
$
-
   
$
453,773,480
   
$
7,133,157
   
$
460,906,637
 
   Bank Loans
   
-
     
84,011,609
     
32,491,123
     
116,502,732
 
   Convertible Bonds
   
-
     
52,980,622
     
6,158,250
     
59,138,872
 
   Collateralized Mortgage Obligations
   
-
     
51,964,136
     
-
     
51,964,136
 
   Asset-Backed Securities
   
-
     
44,159,678
     
-
     
44,159,678
 
   Preferred Stocks
   
10,301,780
     
-
     
-
     
10,301,780
 
   Real Estate Investment Trusts
   
2,884,892
     
-
     
-
     
2,884,892
 
   Special Purpose Acquisition Companies
   
1,806,844
     
-
     
-
     
1,806,844
 
   Common Stocks
   
-
     
344,023
     
-
     
344,023
 
   Warrants
   
12,190
     
-
     
-
     
12,190
 
   Short-Term Investments
   
47,921,455
     
130,582,030
     
-
     
178,503,485
 
Total Assets
 
$
62,927,161
   
$
817,815,578
   
$
45,782,530
   
$
926,525,269
 
                                 
Other Financial Instruments(2):
                               
   Forward Currency Exchange Contracts
 
$
-
   
$
1,902,157
   
$
-
   
$
1,902,157
 
Total Other Financial Instruments
 
$
-
   
$
1,902,157
   
$
-
   
$
1,902,157
 

(1) See the Fund's Schedule of Investments for industry classifications.
                         
(2) Other financial instruments are forward currency exchange contracts not included in the Schedule of Investments, which are reflected at the net unrealized
       
    appreciation (depreciation) on the instrument.
                             
                               
The following is a reconciliation of Level 3 assets in the Funds for which significant unobservable inputs were used to determine fair value:
             
                               
CrossingBridge Low Duration High Yield Fund
                             
   
Bank Loans
   
Corporate Bonds
   
Convertible Bonds
   
Special Purpose Acquisition Companies
   
Warrants
 
Beginning Balance - October 1, 2023
 
$
-
   
$
9,053,892
   
$
6,158,250
   
$
1,405
   
$
-
 
Purchases
   
32,844,114
     
1,375,861
     
-
     
-
     
-
 
Sales
   
-
     
(871,147
)
   
-
     
-
     
-
 
Accretion/Amortization
   
32,588
     
116,610
     
-
     
-
     
-
 
Realized gains (losses)
   
-
     
82,192
     
-
     
(67
)
   
-
 
Change in unrealized appreciation (depreciation)
   
(385,579
)
   
(2,624,251
)
   
-
     
(729
)
   
-
 
Transfer in/(out) of Level 3
   
-
     
-
     
-
     
(609
)
   
-
 
Ending Balance - June 30, 2024
 
$
32,491,123
   
$
7,133,157
   
$
6,158,250
   
$
-
   
$
-
 
                                         
The following table represents additional information about valuation methodologies and inputs used for investments that are measured at fair value and
         
categorized within Level 3 as of December 31, 2023:
                                       

CrossingBridge Low Duration High Yield Fund
               
Description
 
Fair Value June 30, 2024
 
Valuation Methodologies
Unobservable Input
 
Range/Weighted
Average Unobservable Input
 
Bank Loans
 
$
22,279,876
 
Vendor Pricing
Broker Quotes
 
$96 - 97.875
 
Bank Loans
 
$
9,332,477
 
Vendor Pricing
Broker Quotes
 
$100.00
 
Bank Loans
 
$
878,770
 
Vendor Pricing
Broker Quotes
 
$100.00
 
Corporate Bonds
 
$
5,186,810
 
Liquidation analysis
Transaction price
 
N/A
 
Corporate Bonds
 
$
1,946,347
 
Liquidation analysis
Transaction price
 
N/A
 
Corporate Bonds
 
$
-
 
Liquidation analysis
Transaction price
 
N/A
 
Convertible Bonds
 
$
6,158,250
 
Liquidation analysis
Yield to maturity
 
21.60%

Special Purpose Acquisition Companies*
 
$
-
 
Market comparable
Market price of similar asset
 
$0- $1
 
Warrants**
 
$
-
 
Liquidation analysis
Market discount
 
$0
 
                     
* Table presents information for three securities, which have been valued between $0.00 and $0.24 throughout the period.
       
** Table presents information for two securities, which have been valued at $0.00 throughout the period.