0000930413-15-000102.txt : 20150108 0000930413-15-000102.hdr.sgml : 20150108 20150108154345 ACCESSION NUMBER: 0000930413-15-000102 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 32 CONFORMED PERIOD OF REPORT: 20141031 FILED AS OF DATE: 20150108 DATE AS OF CHANGE: 20150108 EFFECTIVENESS DATE: 20150108 FILER: COMPANY DATA: COMPANY CONFORMED NAME: ALPINE INCOME TRUST CENTRAL INDEX KEY: 0001194319 IRS NUMBER: 550795771 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-21210 FILM NUMBER: 15516370 BUSINESS ADDRESS: STREET 1: 2500 WESTCHESTER AVENUE STREET 2: SUITE 215 CITY: PURCHASE STATE: NY ZIP: 10577-2540 BUSINESS PHONE: 9142510880 MAIL ADDRESS: STREET 1: 2500 WESTCHESTER AVENUE CITY: PURCHASE STATE: NY ZIP: 10577 0001194319 S000005211 Alpine Municipal Money Market Fund C000014203 Investor Class AMUXX 0001194319 S000005212 Alpine Ultra Short Municipal Income Fund C000014205 Institutional Class ATOIX C000014206 Class A ATOAX 0001194319 S000040093 Alpine High Yield Managed Duration Municipal Fund C000124455 Class A AAHMX C000124456 Institutional Class AHYMX N-CSR 1 c79286_ncsr.htm

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: 811-21210

 

 

 

Alpine Income Trust

 

(Exact name of registrant as specified in charter)

 

2500 Westchester Avenue, Suite 215

Purchase, New York 10577

 

(Address of principal executive offices)(Zip code)

 

(Name and Address of Agent for Service) Copy to:
   
Samuel A. Lieber
Alpine Woods Capital Investors, LLC
2500 Westchester Avenue, Suite 215
Purchase, New York 10577
Rose DiMartino
Attorney at Law
Willkie Farr & Gallagher
787 7th Avenue, 40th Floor
New York, New York 10019

 

Registrant’s telephone number, including area code: (914) 251-0880

 

Date of fiscal year end:  October 31, 2014

 

Date of reporting period:  November 1, 2013 – October 31, 2014

 

Item 1: Shareholder Report.

 

 

Table of Contents

 

Alpine’s Investment Outlook   1  
       
Equity Manager Reports      
Alpine Dynamic Dividend Fund   7  
Alpine Accelerating Dividend Fund   13  
Alpine Financial Services Fund   19  
Alpine Small Cap Fund   25  
Alpine Transformations Fund   31  
Alpine Equity Income Fund   37  
       
Fixed Income Manager Reports      
Alpine Ultra Short Municipal Income Fund   43  
Alpine Municipal Money Market Fund   46  
Alpine High Yield Managed Duration Municipal Fund   48  
Schedules of Portfolio Investments   60  
Statements of Assets and Liabilities   90  
Statements of Operations   93  
Statements of Changes in Net Assets   96  
Financial Highlights   105  
Notes to Financial Statements   122  
Report of Independent Registered Public Accounting Firm   141  
Information about your Funds’ Expenses   142  
Additional Information   146  

 

Additional Alpine Funds are offered in the Alpine Equity Trust. These Funds include:

 

Alpine International Real Estate Equity Fund   Alpine Global Infrastructure Fund
Alpine Realty Income & Growth Fund   Alpine Global Consumer Growth Fund
Alpine Cyclical Advantage Property Fund    
Alpine Emerging Markets Real Estate Fund    

 

Alpine’s Real Estate Funds’ investment objectives, risks, charges and expenses must be considered carefully before investing in funds of the Alpine Equity Trust. The statutory and summary prospectuses contain this and other important information about the investment company, and it may be obtained by calling 1-888-785-5578, or visiting www.alpinefunds.com. Read it carefully before investing.

 

Mutual fund investing involves risk. Principal loss is possible.

 

Alpine’s Investment Outlook

 

President’s Letter

 

Dear Shareholder:

 

“INTEREST RATES: HOW LOW, FOR HOW LONG?”

 

Alpine believes that over the next year, investors will be rewarded if they focus on long-term trends. This strategy has worked well for the extended period since the Great Financial Collapse of 2008. Despite news of distressing events, traumas, coups and even wars which have had short lived impacts, the positive long-term trend of capital markets around the world has been sustained by low interest rates and modest economic growth. Another factor has been the U.S. dollar, which reversed a nine and one-half year decline in mid-2011, with notable appreciation from August of 2014. The principle factor underpinning these trends has been Central Bank monetary policy, led by the U.S. Federal Reserve. In October of 2014, the Fed concluded its quantitative easing program while other countries have adopted similar supportive policies. On top of these measures, the price of oil and most raw material commodities have seen notable declines, lowering many production costs and enhancing potential profitability.

 

One can argue that Central Bank policy has been the primary force for economic recovery and growth in the absence of fiscal stimulus from most governments. Indeed, many believe that fiscal austerity around the world, most notably in Europe, has limited opportunities for job creation and reduced economic growth. Increasingly, the world’s central banks are adopting tools to increase money supply, but instead of boosting bank lending, much of the liquidity has flowed into capital markets. The Federal Reserve has completed its tapering of quantitative easing by phasing out the purchase of financial securities, making the U.S. the leader in normalizing this cycle. It should be noted that the Fed has accumulated a $4 trillion balance sheet which will not dramatically decline over the near term, so stimulus will not yet be reduced. Add to this expanded Japanese quantitative easing and the prospect of some form of European quantitative easing next year should more than make up for our Fed’s reduced level of monetary support.

After the close of the fiscal year in October, the financial markets received an early Thanksgiving gift from China via a reduction in China’s mortgage loan rates and a likely follow up of decreased reserve requirements for some of its banks, which should push increased liquidity into the capital markets. However, since China is not as open an economy (unlike other major nations), the flow of funds into the global liquidity pool will be more gradual. Nonetheless, the trend is clear, “do not fear, your friendly central banker will be here”.

 

Europe faces a prospect of continued GDP growth of less than 1% with inflation at similar low levels. This suggests that the possibility of a long-term (i.e., secular) period of minimal growth or possibly even stagnation could occur. Thus, the current Eurozone unemployment rate of 11.5% (Spain and Greece are more than two times that number) may not improve materially for some time. The International Monetary Fund (IMF) has suggested that countries should adopt more stimulative fiscal policies, such as significant infrastructure spending, but we think that is not enough. Indeed, outgoing European Council President Von Rompuy stated that “without jobs and growth, the European idea itself is in danger”. Clearly the political consequences of stagnant or even deflationary economies can create social upheavals, as Europe itself has witnessed over the past several hundred years. Just two years ago, the so called “Jasmine Revolution” spread political upheaval throughout the Arab world. This was largely the product of high unemployment rates and disenfranchised populations.

 

Japan is currently the only major country utilizing both monetary and fiscal stimulus. Indeed, their so called ‘three arrows’ approach of aggressive monetary policy, expansionary fiscal stimulus combined with structural reforms to the economy are key products of the political situation in Japan, brought on by over 20 years of substandard economic performance. In addition to Japan, there are a few emerging market economies, most notably India, which are in a position to reduce interest rates and expand domestic demand as well as utilize appropriate fiscal spending and structural reforms to spur growth. However, most countries are taking the


 

1

 

 

 

politically more expedient path of devaluing their currency in order to make exports cheaper and, hence, more competitive. Such currency devaluation can create inflation over time and cause long term problems if growth in output and wages does not increase materially.

 

The one country that is not in this position, of course, is the U.S.A. Indeed, the U.S. currency has been ascending over the past year, the U.S. banking sector is in a better position than those of most other countries, and larger companies are generally well capitalized by both the equity and debt markets. However, small companies in this country are not fully enjoying the benefits of the modest economic recovery we have enjoyed over the past few years. This is holding back the U.S. recovery, sustaining only moderate job growth over time. Thus, median real wages are in fact lower today than they were in 2007. Nonetheless, the prospects for small U.S. businesses are improving. However, Alpine believes productivity enhancements created by investments in new technology, production capabilities, and communication and physical infrastructure are still required for economic growth to accelerate.

 

In addition to the push for greater global liquidity, the other major driver of economic prospects and, hence, the markets, has been the continued expansion of U.S. oil and gas reserves. This has helped to bring about lower oil and gas prices at a time when global economic activity and demand for energy is slowing. Fundamentally, cheaper energy means the cost of economic activity has not only declined, but the transfer of economic wealth from goods producers and transporters to energy producers has also shifted. Countries whose economies are dependent on high oil prices, notably Russia and Iran, and to a lesser degree, Brazil, Canada, Mexico and Norway, may be hurt by an extended decline. On the other hand, Japan and much of Europe could be big beneficiaries. The resultant increase in many industries’ profitability due to lower fuel prices provides the possibility that some of the enhanced margins might be distributed to workers and some of the savings may also be distributed to consumers in the form of price stability. In other words, a major inflationary input has been limited, and this may stimulate economic activity. Alpine believes there will be minimal inflationary impulses globally over the next year or two until global aggregate demand starts to rise.

 

For 2015, Alpine believes that the prospects for modest economic growth supported by abundant cheap global liquidity, combined with lower energy costs, will continue to favor capital markets and global equities more broadly. We still expect significant regional differences in terms of growth, and individual companies may see their

prospects and share prices rise or decline based on management’s ability to utilize the capital markets during this period. This suggests continued expansion of mergers and acquisitions activities on a global basis. It could also lead to an increased number of IPOs in different industries, seeking both to capitalize on high historic valuations as well as position themselves to utilize capital markets for future growth.

 

Just as the U.S. stock market outperformed much of the world during 2014 as a result of the combination of cheap money and improving economic fundamentals, we believe that 2015 will see a global broadening of market performance to include small cap stocks in the U.S. as well as increased international opportunities. Finally, we should note that the extended period of low volatility, including 2013 and much of 2014, may not be fully over, but political and economic risks remain, as few of this year’s conflicts have resolved and more may surface. The market appears to be increasingly open to more risk if returns are commensurate. Fundamentally, the Fed is still our friend, even though many market participants have been waiting over a year for the proverbial ‘punch bowl’ to be removed and the party to end. Markets may well continue to climb a “wall of worry” as we enter 2015.

 

We appreciate your interest and support as we enter what appears to be a seventh year of economic and equity market recoveries.

 

Sincerely,

 

Samuel A. Lieber
President

 

Past performance is not a guarantee of future results. The specific market, sector or investment conditions that contribute to a Fund’s performance may not be replicated in future periods.

 

Mutual fund investing involves risk. Principal loss is possible. Please refer to individual fund letters for risks specific to that fund.

 

This letter and the letters that follow represent the opinions of the Funds’ management and are subject to change, are not guaranteed and should not be considered recommendations to buy or sell any security. The information provided is not intended to be, and is not, a forecast of future events, a guarantee of future results, or investment advice.


 

2

 
Disclosures and Definitions

 

Equity Income Disclosures –

 

Please refer to the Schedule of Portfolio Investments for each Fund’s holding information. Fund holdings and sector allocations are subject to change and should not be considered a recommendation to buy or sell any security.

 

Favorable tax treatment of Fund distributions may be adversely affected, changed or repealed by future changes in tax laws. Alpine may not be able to anticipate the level of dividends that companies will pay in any given timeframe.

 

The Funds’ monthly distributions may consist of net investment income, net realized capital gains and/or a return of capital. If a distribution includes anything other than net investment income, the Funds will provide a notice of the best estimate of its distribution sources when distributed, which will be posted on the Funds’ website: www.alpinefunds.com, or can be obtained by calling 1-800-617-7616. We estimate that the Alpine Series and Income Trusts did not pay any distributions during the fiscal annual period ending October 31, 2014 through a return of capital. A return of capital distribution does not necessarily reflect the Funds’ performance and should not be confused with “yield” or “income.” Final determination of the Federal income tax characteristics of distributions paid during the calendar year will be provided on U.S. Form 1099-DIV, which will be mailed to shareholders. Please consult your tax advisor for further information.

 

All investments involve risk. Principal loss is possible. A small portion of the S&P 500 yield may include return of capital; the 10-year Treasury yield does not include return of capital; Corporate bonds and High Yield Bonds generally do not have return of capital; a portion of the dividend paid by REITs and REIT preferred stock may be deemed a return of capital for tax purposes in the event the company pays a dividend greater than its taxable income. A stock may trade with more or less liquidity than a bond depending on the number of shares and bonds outstanding, the size of the company, and the demand for the securities. The REIT and REIT preferred stock market are smaller than the broader equity and bond markets and often trade with less liquidity than these markets depending upon the size of the individual issue and the demand of the securities. Treasury notes are guaranteed by the U.S. Government and thus they are considered to be safer than other asset classes. Tax features of a Treasury Note, Corporate bond, Stock, High Yield bond, REITs and REIT preferred stock may vary based on an individual’s circumstances. Consult a tax professional for additional information. Neither the Fund nor any of its representatives may give tax advice. Investors should consult their tax advisor for information concerning their particular situation.

Standard & Poor’s Financial Services LLC (S&P) is a financial services company, a division of McGraw Hill Financial that publishes financial research and analysis on stocks and bonds. S&P is considered one of the Big Three credit-rating agencies, which also include Moody’s Investor Service and Fitch Ratings.

 

S&P assigns ratings on a scale of ‘D’ to ‘AAA’, with ‘D’ the lowest/weakest rating, indicating a default, and ‘AAA’ the highest/strongest rating, indicating the strongest credit quality in S&P’s spectrum of credit ratings.

 

S&P incorporates a broad number of credit areas of each entity/municipality when assigning a bond rating to an entity’s debt instrument, including: (a) financial position, which encompasses liquidity metrics, cash reserves, non-liquid assets, liabilities, and other financial metrics; (b) debt position, which includes long and short-term bonded debt and other privately-placed notes/bonds, leases and other off-balance sheet liabilities; (c) pension and Other Post-Employment Benefits (OPEB); (d) socioeconomic indices; (e) the aptitude and sophistication of management.

 

Earnings Growth and EPS Growth are not measures of the Funds’ future performance.

 

Diversification does not assure a profit or protect against loss in a declining market.

 

Must be preceded or accompanied by a prospectus.

 

Quasar Distributors, LLC, distributor.

 

Equity Income Funds – Definitions

 

Barclays Capital High Yield Municipal Bond Index is the Muni High Yield component of the Municipal Bond Index. The Barclays Municipal Bond Index is a rules-based, market-value-weighted index engineered for the long-term tax-exempt bond market.

 

Barclays Municipal One Year Bond Index is a total return benchmark of BAA3 ratings or better designed to measure returns for tax exempt assets.

 

Basis Point is a value equaling one one-hundredth of a percent (1/100 of 1%).

 

Beta measures the sensitivity of the investment to the movements of its benchmark. A beta higher than 1.0 indicates the investment has been more volatile than the benchmark and a beta of less than 1.0 indicates that the investment has been less volatile than the benchmark.

 

Bloomberg 10-Year U.S. Muni General Obligation AAA Index is populated with U.S. municipal general obligations (G.O.) with an average rating of AAA from Moody’s and S&P, with an average maturity of ten years. The option-free yield curve is built using an option-


 

3

 
Disclosures and Definitions (Continued)

 

adjusted spread (OAS) model. Furthermore, the index is derived from contributed pricing from the Municipal Securities Rulemaking Board (MSRB), new issues calendars and other proprietary contributed prices.

 

Custom Balanced Benchmark reflects an unmanaged portfolio (rebalanced monthly) of 60% of the S&P 500 Index, which is a market capitalization-weighted index of 500 large capitalization stocks commonly used to represent the U.S. equity market, and 40% of the Barclays Capital U.S. Aggregate Bond Index (BCAG), which is a widely recognized, unmanaged index of U.S. dollar-denominated investment-grade fixed income securities. The Fund may, however, invest up to 75% of its total assets in equity securities.

 

Effective Duration – Effective duration is a duration calculation for bonds with embedded options. Effective duration takes into account that expected cash flows will fluctuate as interest rates change. Please note, duration measures the sensitivity of the price (the value of principal) of a fixed-income investment to a change in interest rates.

 

Earnings Per Share is the portion of a company’s profit allocated to each outstanding share of common stock. Earnings per share serves as an indicator of a company’s profitability.

 

First Tier Security is any eligible security that: (i) is a rated security that has received a short-term rating from the requisite Nationally Recognized Statistical Rating Organizations in the highest short-term rating category for debt obligations (within which there may be sub-categories or gradations indicating relative standing); or (ii) is an unrated security that is of comparable quality to a security meeting the requirements for a rated security as determined by the Fund’s Board of Trustees; or (iii) is a security issued by a registered investment company that is a money market fund; or (iv) is a government security.

 

Free cash flow is a measure of financial performance calculated as operating cash flow minus capital expenditures. Free cash flow (FCF) represents the cash that a company is able to generate after laying out the money required to maintain or expand its asset base. Free cash flow is important because it allows a company to pursue opportunities that enhance shareholder value.

 

Hedge involves making an investment to reduce the risk of adverse price movements in an asset. Normally, a hedge consists of taking an offsetting position in a related security, such as a futures contract.

 

KBW Bank Index is a modified cap-weighted index consisting of 24 exchange-listed and National Market System stocks, representing national money center banks and leading regional institutions

Lipper Tax-Exempt Money Market Funds Average is an average of funds that invest in high quality municipal obligations with dollar-weighted average maturities of less than 90 days.

 

MSCI All Country World Daily TR (Net Div) Index is a free float-adjusted market capitalization-weighted index that is designed to measure the equity market performance of developed and emerging markets. Source: MSCI. MSCI makes no express or implied warranties or representations and shall have no liability whatsoever with respect to any MSCI data contained herein. The MSCI data may not be further redistributed or used as a basis for other indices or any securities or financial products. This report is not approved, reviewed or produced by MSCI.

 

MSCI Emerging Markets Index USD is a free float-adjusted market cap weighted index that is designed to measure equity market performance in the global emerging markets. Source: MSCI. MSCI makes no express or implied warranties or representations and shall have no liability whatsoever with respect to any MSCI data contained herein. The MSCI data may not be further redistributed or used as a basis for other indices or any securities or financial products. This report is not approved, reviewed or produced by MSCI.

 

MSCI Europe Index is a free float-adjusted market capitalization weighted index that is designed to measure the equity market performance of the developed markets in Europe. Source: MSCI. MSCI makes no express or implied warranties or representations and shall have no liability whatsoever with respect to any MSCI data contained herein. The MSCI data may not be further redistributed or used as a basis for other indices or any securities or financial products. This report is not approved, reviewed or produced by MSCI.

 

NASDAQ Financial-100 Index includes 100 of the largest domestic and international financial securities listed on the NASDAQ Stock Market based on market capitalization. They include companies classified according to the Industry Classification Benchmark as Financials, which are included within the NASDAQ Bank, NASDAQ Insurance, and NASDAQ Other Finance Indexes.

 

Return on Equity is the amount of net income returned as a percentage of shareholders equity. Return on equity measures a corporation’s profitability by revealing how much profit a company generates with the money shareholders have invested.

 

Russell 2000® Index is a small-cap stock market index of the bottom 2,000 stocks in the Russell 3000® Index. The Russell 2000 is by far the most common benchmark for mutual funds that identify themselves as “small-cap”,


 

4

 
 

 

while the S&P 500® index is used primarily for large capitalization stocks. Source: Russell Investment Group. Russell is the owner of the trademarks and copyrights related to the Russell Indexes.

 

Russell 3000® Index measures the performance of the largest 3000 U.S. companies representing approximately 98% of the investable U.S. equity market. Source: Russell Investment Group. Russell is the owner of the trademarks and copyrights related to the Russell Indexes.

 

S&P 500® Index is a float-adjusted, market capitalization-weighted index of 500 common stocks chosen for market size, liquidity, and industry group representation to represent U.S. equity performance.

 

Securities Industry and Financial Markets Association (SIFMA) is a United States industry trade group representing securities firms, banks, and asset management companies. SIFMA was formed on November 1, 2006, from the merger of the Bond Market Association and the Securities Industry Association.

 

S&P Municipal Bond Short Intermediate Index consists of bonds in the S&P Municipal Bond Index with a minimum maturity of one year and a maximum maturity of up to, but not including, eight years as measured from the Rebalancing Date.

 

Weighted Average Maturity is the average time it takes for securities in a portfolio to mature, weighted in proportion to the dollar amount that is invested in the portfolio. Weighted average maturity (WAM) measures the sensitivity of fixed-income portfolios to interest rate changes. Portfolios with longer WAMs are more sensitive to changes in interest rates because the longer a bond is held, the greater the opportunity for interest rates to move up or down and affect the performance of the bonds in the portfolio.

 

The S&P 500® Index, and the S&P Municipal Bond Short Intermediate Index (the “Indices”) are products of S&P Dow Jones Indices LLC and have been licensed for use by Alpine Woods Capital Investors, LLC. Copyright (c) 2014 by S&P Dow Jones Indices LLC. All rights reserved. Redistribution or reproduction in whole or in part are prohibited without written the permission of S&P Dow Jones Indices LLC. S&P Dow Jones Indices LLC, its affiliates, and third party licensors make no representation or warranty, express or implied, with respect to the Index and none of such parties shall have any liability for any errors, omissions, or interruptions in the Index or the data included therein.

 

An investor cannot invest directly in an index.


 

5

 

Equity Manager Reports

 

 

 

  Alpine Dynamic Dividend Fund
   
  Alpine Accelerating Dividend Fund
   
  Alpine Financial Services Fund
   
  Alpine Small Cap Fund
   
  Alpine Transformations Fund
   
  Alpine Equity Income Fund

 

6

 
Alpine Dynamic Dividend Fund 

 

Comparative Annualized Returns as of 10/31/14 (Unaudited)     
   1 Year  3 Years  5 Years  10 Years  Since Inception(1)  
Alpine Dynamic Dividend Fund — Institutional Class   8.09%    9.73%    7.53%    2.35%    4.80%     
Alpine Dynamic Dividend Fund — Class A (Without Load)   7.83%    N/A    N/A    N/A    11.56%     
Alpine Dynamic Dividend Fund — Class A (With Load)   1.89%    N/A    N/A    N/A    9.36%     
MSCI All Country World Daily Total Return Index (Net Div)   7.77%    12.98%    10.57%    7.09%    7.82%     
Lipper Global Equity Income Funds Average(2)   5.97%    12.07%    10.39%    5.35%    6.75%     
Lipper Global Equity Income Funds Ranking(2)   31/139    74/80    68/69    19/19    15/15     
Gross Expense Ratio (Institutional Class): 1.43%(3)                             
Net Expense Ratio (Institutional Class): 1.38%(3)                             
Gross Expense Ratio (Class A): 1.68%(3)                             
Net Expense Ratio (Class A): 1.63%(3)                             

 

 
  (1)Institutional Class shares commenced on September 22, 2003 and Class A shares commenced on December 30, 2011. Returns for indices are since September 22, 2003.
  (2)The since inception return represents the period beginning September 25, 2003 (Institutional Class only).
  (3)As disclosed in the prospectus dated February 28, 2014.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that the shares, when redeemed, may be worth more or less than their original cost. Performance current to the most recent month end may be lower or higher than performance quoted and may be obtained by calling 1-888-785-5578. Performance data shown does not reflect the 1.00% redemption fee imposed on shares held for fewer than 60 days. If it did, total returns would be reduced. Returns for the Class A shares with sales charge reflect a maximum sales charge of 5.50%. Performance for the Class A shares without sales charges does not reflect this load.

 

The MSCI All Country World Daily Total Return Index (net dividend) USD is a free float-adjusted market capitalization-weighted index that is designed to measure the equity market performance of developed and emerging markets. Source: MSCI. MSCI data may not be reproduced or used for any other purpose. The Lipper Global Equity Income Funds Average is an average of funds that by prospectus language and portfolio practice seek relatively high current income and growth of income by investing at least 65% of their portfolio in dividend-paying securities of domestic and foreign companies. Lipper rankings for the periods shown are based on fund total returns with dividends and distributions reinvested and do not reflect sales charges. The Lipper Global Equity Income Funds Average are unmanaged and do not reflect the deduction of direct fees associated with a mutual fund, such as investment adviser fees; however, the Lipper Global Equity Income Funds Average reflects fees charged by the underlying funds. The performance for the Alpine Dynamic Dividend Fund reflects the deduction of fees for these value-added services. Investors cannot directly invest in an index.

 

Expense Ratios reflect the ratios reported in the Fund’s most recent prospectus. The Alpine Dynamic Dividend Fund has a contractual expense waiver that continues through February 28, 2015. Where a Fund’s gross and net expense ratios are the same for the period reported, the contractual expense reimbursement level was not reached as of the end of that period. To the extent the Fund’s expenses were reduced by waivers, the Fund’s total returns were increased. In these cases, in the absence of the expense waivers, the Fund’s total returns would have been lower.

 

To the extent that the Fund’s historical performance resulted from gains derived from participation in Initial Public Offerings (“IPOs”) and/or Secondary Offerings, there is no guarantee that these results can be replicated in future periods or that the Fund will be able to participate to the same degree in IPO/Secondary Offerings in the future.

 

7

 
Alpine Dynamic Dividend Fund (Continued)

 

 

Portfolio Distributions* (Unaudited)

 

 

Top 10 Holdings* (Unaudited)   
1.  Apple, Inc. 2.06%
2.  Avago Technologies, Ltd. 1.67%
3.  Canadian Pacific Railway, Ltd. 1.59%
4.  Novartis AG-ADR 1.51%
5.  Covidien PLC 1.47%
6.  McKesson Corp. 1.45%
7.  Roche Holding AG 1.40%
8.  HCA Holdings, Inc. 1.34%
9.  Vodafone Group PLC-ADR 1.31%
10.  QUALCOMM, Inc. 1.26%

 

 

 

*Portfolio Distributions percentages are based on total net investments. Top 10 Holdings do not include short-term investments and percentages are based on total net assets. Portfolio holdings sector distributions are as of 10/31/14 and are subject to change. Portfolio holdings are not recommendations to buy or sell any securities.
  
(1)Amount is less than 0.05%.


 

 

 

Value of a $10,000 Investment (Unaudited)

 

 

 

This chart represents a comparison of a hypothetical $10,000 investment in the Fund versus a similar investment in the Fund’s benchmarks. The graph and the table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Investment performance reflects the waiver and recovery of certain fees, if applicable. Without the waiver and recovery of fees, the Fund’s total return would have differed.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that shares, when redeemed, may be worth more or less than their original cost.

 

8

 
Alpine Dynamic Dividend Fund (Continued)

 

Commentary

 

Dear Investor:

 

For the fiscal year ended October 31, 2014, the Alpine Dynamic Dividend Fund generated a total return of 8.09% versus its benchmark, the MSCI All Country World Total Return Index (Net Div), which had a total return of 7.77%. All returns include the reinvestment of all distributions. The Fund distributed $0.24 per share during the fiscal year. All references in this letter to the Fund’s performance relate to the Fund’s Institutional Class.

 

PERFORMANCE DRIVERS

 

Global equities continued their impressive ascent during the 12-month period ended October 31, 2014, but the dispersion of returns among different geographic regions was striking. The total return of the S&P 500® Index, at 17.26% contrasted sharply with that of the MSCI Europe Index (down 0.52% in U.S. Dollar terms) and the MSCI Emerging Markets Index (up 0.64%). With economic prospects in the U.S. remaining relatively sanguine as compared to most other countries, particularly in Europe, the U.S. trade-weighted Dollar Index rose by about 8% during the period, driven largely by the 8% depreciation in the Euro and the 14% depreciation in the Japanese Yen against the Dollar.

 

On a sector basis, information technology, industrials, and health care had the greatest positive effect on the absolute total return of the Fund. The energy, consumer discretionary and materials sectors had the greatest negative effect on the absolute performance of the Fund. On a relative basis, the industrials sector generated the largest outperformance versus the MSCI All Country World Index, followed by information technology and utilities. The energy, consumer discretionary and financials sectors were the worst relative performers during the period.

 

PORTFOLIO ANALYSIS

 

The top five stock contributors to the Fund’s performance for the fiscal year ended October 31, 2014 based on contribution to total return were Avago Technologies, Adani Ports & Special Economic Zone, Apple, Inc., Canadian Pacific Railway, and The Williams Companies.

 

Several positive events led to the strong performance of semiconductor manufacturer Avago Technologies. The company’s purchase of LSI Corp. in Q4 2013 has been well received and was earnings accretive in the second half of 2014. Also in the merger & acquisitions (M&A) realm, two of Avago’s competitors in the wireless space agreed to merge, which we believe bodes well for future pricing

 

trends. Meanwhile, Avago’s core wireless business has benefited from the roll out of next generation (4G LTE) wireless networks.

 

Adani Ports & Special Economic Zone is the largest private port operator in India. The election of new Prime Minister Narendra Modi improved business sentiment in India and raised expectations for policy reform. Adani’s Port business experienced strong volume growth, with its largest port growing 15% year-over-year. The acquisition of Dhamra port was also positive, given its strategic value.

 

Apple has enjoyed an impressive turnaround in 2014. The shares began to improve midway through the year as the earnings outlook improved and investors began to anticipate the introduction of the iPhone 6 and 6 Plus. Further gains were fueled by speculation of a new product, in this case the Apple Watch. Earnings estimates and unit projections continue to climb for the company, leading to the continued outperformance of the shares.

 

Canadian Pacific Railway is a Class 1 transcontinental railway serving Canada and the United States. Canadian Pacific Railway is in the midst of an impressive turnaround, achieving a mid-60s (percent) operating ratio goal. At its analyst day in October 2014, the company positioned itself as a structural growth story, targeting 10% revenue growth, a low 60s operating ratio, and approximately doubling its earnings per share (EPS) growth by 2018. We believe Canadian Pacific should benefit from a number of powerful themes such as the energy renaissance, industrial resurgence, and tight trucking capacity in the U.S.

 

The Williams Companies is a diversified natural gas company in the United States. In June, WMB announced a transaction that had the effect of merging Access Midstream L.P. and Williams Partners L.P. The result of the transaction restored financial flexibility at Williams Partners L.P. and also created a higher and more visible distribution growth.

 

The bottom five stock contributors to the Fund’s performance for the fiscal year ended October 31, 2014 based on contribution to total return were Precision Drilling Corp, Pier 1 Imports, Energy XXI Bermuda, Trilogy Energy, and Sberbank of Russia.

 

Precision Drilling Corp is the largest contract driller in Canada and a top five onshore driller in the U.S. With declining day rates and utilization rates amidst a declining commodity price environment, the stock underperformed the market as well as its peer group, as investors questioned its earnings growth trajectory. As of


 

9

 
Alpine Dynamic Dividend Fund (Continued)

 

the writing of this shareholder letter, the Fund has exited the position.

 

Pier 1 Imports is a nationwide specialty retailer of a wide variety of furniture, decorative accessories, dining and kitchen products, and bed and bath products. The company was hit by weather-related issues that impacted much of the retail landscape in the first half of the year. As the year progressed, the company’s store traffic lagged expectations, eclipsing the strong growth in its nascent online business. The Fund has since exited the position.

 

Energy XXI Bermuda, an exploration and production company offering “pure-play” exposure to the Gulf of Mexico, announced a dilutive acquisition in the spring of EPL Oil and Gas, and issued disappointing fiscal year 2015 production guidance in early August, 2014. The Fund exited the position as we felt the investment thesis was significantly impaired following these events.

 

Trilogy Energy, an exploration and production company with significant exposure to the emerging Duvernay region in Canada, was another casualty of the declining commodity price environment. Beyond pricing headwinds, the company also faced production-related disappointments and material cost inflation. The Fund has exited the position.

 

Sberbank of Russia is Russia’s largest bank with a market share of roughly 30% in terms of loans and deposits. The stock underperformed as the escalation of political turmoil in Ukraine led to concerns about a slowdown in Russia and its impacts on loan growth and nonperforming loans. The downward pressure on oil prices put even further pressure on Sberbank due to Russia’s significant exposure to the oil market. The Fund has exited the position.

 

In order to achieve its dividend, the Fund participated in a number of dividend capture strategies including (1) purchasing shares in the stock of a regular dividend payer before an upcoming ex-date and selling after the ex-date, (2) purchasing shares before an anticipated special dividend and selling opportunistically after the ex-date of the dividend, and (3) purchasing additional shares in stocks that the Fund already owns before the ex-date and selling the original shares after the ex-date, thus receiving a dividend on a larger position while still maintaining qualified dividend income eligibility (“QDI”) on its position. Although these strategies have resulted in higher turnover and associated transaction costs for the Fund overall the Fund’s turnover rate has decreased as we have relied less upon these strategies this year. While there is the potential for market loss on the shares that are held for a short period, we seek to use these strategies to generate additional income with limited impact on the construction of the core portfolio.

We have hedged a portion of our currency exposures to the Euro, the Swiss Franc, the Japanese Yen and the British Pound. The currency hedging mitigated the overall negative impact of currency on the portfolio. We have also used leverage at times both in the execution of the strategy of the Fund and to help manage net outflows during the fiscal year.

 

SUMMARY & OUTLOOK

 

As we look toward 2015, we see a market environment that remains fairly uncertain. While the U.S. economy appears to be in a sustained growth trajectory, it is challenged by a partisan environment in Washington, D.C. and numerous external headwinds including soft export markets and geopolitical uncertainties relating to key trading partners. The U.S. stock market nonetheless continues to grind higher, supported by a benign macro environment and solid corporate earnings growth, while, at the same time, wrestling with the prospect of the first Federal Funds rate hike in many years.

 

In Europe, growth continues to be quite sluggish and the specter of recession and/or deflation cannot be overlooked, as ongoing conflicts in Russia/Ukraine add to the numerous risk factors. Indeed, the European Central Bank (ECB) continues to strike a dovish tone with its commitment to accommodative short rates, and is now embarking on a path towards its own version of quantitative easing to combat the deflationary threat.

 

In Japan, the central bank recently increased the size and scope of its asset purchase program in an effort to steer the economy towards its 2% inflation target. As a result, the Yen has depreciated significantly versus the Dollar and many other currencies, a development that we believe will have global ramifications.

 

In emerging markets, government elections in Brazil, India, South Africa and Turkey have reached, or are near, resolutions. We believe this may improve the visibility in each country’s respective economic growth outlook and we continue to believe that urbanization will drive growth in emerging markets.

 

Beyond the macroeconomic environment, the Fund continues to emphasize its focus on what we view as high quality companies with strong balance sheets and a willingness to reward shareholders with dividends. We will continue to adapt our investment approach as economic conditions change and look forward to discussing the portfolio and the prospects for the Fund in future communications.

 

Sincerely,

 

Brian Hennessey

Joshua Duitz

Portfolio Managers

 


 

10

 
Alpine Dynamic Dividend Fund (Continued)

 

This letter represents the opinions of the Fund’s management and is subject to change, is not guaranteed and should not be considered a recommendation to buy or sell any security. The information provided is not intended to be, and is not, a forecast of future events, a guarantee of future results, or investment advice. Views expressed may vary from those of the firm as a whole. Past performance is no guarantee of future results.

 

 

 

Mutual fund investing involves risk. Principal loss is possible. The fund is subject to risks, including the following:

 

Credit Risk – Credit risk refers to the possibility that the issuer of a security will not be able to make payments of interest and principal when due. Changes in an issuer’s credit rating or the market’s perception of an issuer’s creditworthiness may also affect the value of the Fund’s investment in that issuer. The degree of credit risk depends on both the financial condition of the issuer and the terms of the obligation.

 

Currency Risk – The value of investments in securities denominated in foreign currencies increases or decreases as the rates of exchange between those currencies and the U.S. dollar change. Currency conversion costs and currency fluctuations could erase investment gains or add to investment losses. Currency exchange rates can be volatile, and are affected by factors such as general economic conditions, the actions of the U.S. and foreign governments or central banks, the imposition of currency controls and speculation.

 

Dividend Strategy Risk – The Fund’s strategy of investing in dividend-paying stocks involves the risk that such stocks may fall out of favor with investors and underperform the market. Companies that issue dividend paying-stocks are not required to continue to pay dividends on such stocks. Therefore, there is the possibility that such companies could reduce or eliminate the payment of dividends in the future. The Fund may hold securities for short periods of time related to the dividend payment periods and may experience loss during these periods.

 

Emerging Market Securities Risk – The risks of foreign investments are heightened when investing in issuers in emerging market countries. Emerging market countries tend to have economic, political and legal systems that are less fully developed and are less stable than those of more developed countries. They are often particularly sensitive to market movements because their market prices tend to reflect speculative expectations. Low trading volumes may result in a lack of liquidity and in extreme price volatility.

 

Equity Securities Risk – The stock or other security of a company may not perform as well as expected, and may decrease in value, because of factors related to the company (such as poorer than expected earnings or certain management decisions) or to the industry in which the company is engaged (such as a reduction in the demand for products or services in a particular industry).

 

Foreign Currency Transactions Risk – Foreign securities are often denominated in foreign currencies. As a result, the value of the Fund’s shares is affected by changes in exchange rates. The Fund may enter into foreign currency transactions to try to manage this risk. The Fund’s ability to use foreign currency transactions successfully depends on a number of factors, including the foreign currency transactions being available at prices that are not too costly, the availability of liquid markets and the ability of the Adviser to accurately predict the direction of changes in currency exchange rates. The Fund may enter into forward foreign currency exchange contracts in order to protect against possible losses on foreign investments resulting from adverse changes in the relationship between the U.S. dollar and foreign currencies. Although this method attempts to protect the value of the Fund’s portfolio securities against a decline in the value of a currency, it does not eliminate fluctuations in the underlying prices of the securities and while such contracts tend to minimize the risk of loss due to a decline in the value of the hedged currency, they tend to limit any potential gain which might result should the value of such currency increase.

 

Foreign Securities Risk – The Fund’s investments in securities of foreign issuers or issuers with significant exposure to foreign markets involve additional risk. Foreign countries in which the Fund may invest may have markets that are less liquid, less regulated and more volatile than U.S. markets. The value of the Fund’s investments may decline because of factors affecting the particular issuer as well as foreign markets and issuers generally, such as unfavorable government actions, and political or financial instability. Lack of information may also affect the value of these securities. The risks of foreign investment are heightened when investing in issuers of emerging market countries.

 

Growth Stock Risk – Growth stocks are stocks of companies believed to have above-average potential for growth in revenue and earnings. Growth stocks typically are very sensitive to market movements because their market prices tend to reflect future expectations. When it appears those expectations will not be met, the prices of growth stocks typically

 

11

 
Alpine Dynamic Dividend Fund (Continued)

 

fall. Growth stocks as a group may be out of favor and underperform the overall equity market while the market concentrates on undervalued stocks.

 

Initial Public Offerings and Secondary Offerings Risk – The Fund may invest a portion of its assets in shares of IPOs or secondary offerings of an issuer. IPOs and secondary offerings may have a magnified impact on the performance of a Fund with a small asset base. The impact of IPOs and secondary offerings on a Fund’s performance likely will decrease as the Fund’s asset size increases, which could reduce a Fund’s returns. IPOs and secondary offerings may not be consistently available to the Fund for investing. IPO and secondary offering shares frequently are volatile in price due to the absence of a prior public market, the small number of shares available for trading and limited information about the issuer. Therefore, the Fund may hold IPO and secondary offering shares for a very short period of time. This may increase the turnover of the Fund and may lead to increased expenses for the Fund, such as commissions and transaction costs. In addition, IPO and secondary offering shares can experience an immediate drop in value if the demand for the securities does not continue to support the offering price.

 

Leverage Risk – The Fund may use leverage to purchase securities. Increases and decreases in the value of the Fund’s portfolio will be magnified when the Fund uses leverage.

 

Management Risk – The Adviser’s judgment about the quality, relative yield or value of, or market trends affecting, a particular security or sector, or about interest rates generally, may be incorrect. The Adviser’s security selections and other investment decisions might produce losses or cause the Fund to underperform when compared to other funds with similar investment objectives and strategies.

 

Market Risk – The price of a security held by the Fund may fall due to changing market, economic or political conditions.

 

Portfolio Turnover Risk – High portfolio turnover necessarily results in greater transaction costs which may reduce Fund performance.

 

Qualified Dividend Tax Risk – Favorable U.S. federal tax treatment of Fund distributions may be adversely affected, changed or repealed by future changes in tax laws.

 

Small and Medium Capitalization Company Risk – Securities of small or medium capitalization companies are more likely to experience sharper swings in market values, less liquid markets, in which it may be more difficult for the Adviser to sell at times and at prices that the Adviser believes appropriate and generally are more volatile than those of larger companies.

 

Swaps Risk – Swap agreements are derivative instruments that can be individually negotiated and structured to address exposure to a variety of different types of investments or market factors. Depending on their structure, swap agreements may increase or decrease the Fund’s exposure to long- or short-term interest rates, foreign currency values, mortgage securities, corporate borrowing rates, or other factors such as security prices or inflation rates. The Fund also may enter into swaptions, which are options to enter into a swap agreement. Since these transactions generally do not involve the delivery of securities or other underlying assets or principal, the risk of loss with respect to swap agreements and swaptions generally is limited to the net amount of payments that the Fund is contractually obligated to make. There is also a risk of a default by the other party to a swap agreement or swaption, in which case the Fund may not receive the net amount of payments that the Fund contractually is entitled to receive.

 

Undervalued Stock Risk – The Fund may pursue strategies that may include investing in securities, which, in the opinion of the Adviser, are undervalued. The identification of investment opportunities in undervalued securities is a difficult task and there is no assurance that such opportunities will be successfully recognized or acquired. While investments in undervalued securities offer opportunities for above-average capital appreciation, these investments involve a high degree of financial risk and can result in substantial losses.

 

Please refer to pages 3-5 for other important disclosures and definitions.

 

12

 
Alpine Accelerating Dividend Fund

 

Comparative Annualized Returns as of 10/31/14 (Unaudited)       
   1 Year  3 Years  5 Years  Since Inception(1)  
Alpine Accelerating Dividend Fund — Institutional Class   12.25%   16.30%   14.21%   14.33%  
Alpine Accelerating Dividend Fund — Class A (Without Load)   12.04%   N/A    N/A    16.74%  
Alpine Accelerating Dividend Fund — Class A (With Load)   5.90%   N/A    N/A    14.43%  
S&P 500® Index   17.26%   19.77%   16.69%   14.82%  
Dow Jones Industrial Average   14.48%   16.22%   15.30%   13.43%  
Lipper Equity Income Funds Average(2)   12.58%   16.35%   14.57%   14.76%  
Lipper Equity Income Funds Ranking(2)   305/472    211/330    172/271    164/266  
Gross Expense Ratio (Institutional Class): 3.43%(3)                      
Net Expense Ratio (Institutional Class): 1.35%(3)                      
Gross Expense Ratio (Class A): 3.68%(3)                      
Net Expense Ratio (Class A): 1.60%(3)                      

 

 
  (1) Institutional Class shares commenced on November 5, 2008 and Class A shares commenced on December 30, 2011. Returns for indices are since November 5, 2008.
  (2) The since inception data represents the period beginning November 6, 2008 (Institutional Class only).
  (3) As disclosed in the prospectus dated February 28, 2014.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that the shares, when redeemed, may be worth more or less than their original cost. Performance current to the most recent month end may be lower or higher than performance quoted and may be obtained by calling 1-888-785-5578. Performance data shown does not reflect the 1.00% redemption fee imposed on shares held for fewer than 60 days. If it did, total returns would be reduced. Returns for the Class A shares with sales charge reflect a maximum sales charge of 5.50%. Performance for the Class A shares without sales charges does not reflect this load.

 

The S&P 500® Index is a float-adjusted market capitalization-weighted index of 500 common stocks chosen for market size, liquidity, and industry group representation to represent U.S. equity performance. The Dow Jones Industrial Average is a price-weighted average of 30 blue chip stocks that are generally the leaders in their industry. The Lipper Equity Income Funds Average is an average of funds that seek relatively high current income and income growth through investing 60% or more of their respective portfolios in equities. Lipper rankings for the periods shown are based on fund total returns with dividends and distributions reinvested and do not reflect sales charges. The S&P 500® Index, the Dow Jones Industrial Average, and the Lipper Equity Income Funds Average are unmanaged and do not reflect direct fees associated with a mutual fund, such as investment adviser fees; however, the Lipper Equity Income Funds Average reflects fees charged by the underlying funds. The performance for the Alpine Accelerating Dividend Fund reflects the deduction of fees for these value-added services. Investors cannot directly invest in an index.

 

Expense Ratios reflect the ratios reported in the Fund’s most recent prospectus. The Alpine Accelerating Dividend Fund has a contractual expense waiver that continues through February 28, 2015. Where a Fund’s gross and net expense ratios are the same for the period reported, the contractual expense reimbursement level was not reached as of the end of that period. To the extent the Fund’s expenses were reduced by waivers, the Fund’s total returns were increased. In these cases, in the absence of the expense waivers, the Fund’s total returns would have been lower.

 

To the extent that the Fund’s historical performance resulted from gains derived from participation in Initial Public Offerings (“IPOs”) and/or Secondary Offerings, there is no guarantee that these results can be replicated in future periods or that the Fund will be able to participate to the same degree in IPO/Secondary Offerings in the future.

 

13

 

Alpine Accelerating Dividend Fund (Continued)

 

 

Portfolio Distributions* (Unaudited)

 

Top 10 Holdings* (Unaudited)   
1.  Apple, Inc. 2.52%
2.  Becton, Dickinson & Co. 1.80%
3.  AbbVie, Inc. 1.72%
4.  Visa, Inc.-Class A 1.71%
5.  Avago Technologies, Ltd. 1.69%
6.  Amgen, Inc. 1.67%
7.  Bristow Group, Inc. 1.66%
8.  Marten Transport, Ltd. 1.65%
9.  Yum! Brands, Inc. 1.61%
10.  Territorial Bancorp, Inc. 1.61%

 

 

 

* Portfolio Distributions percentages are based on total net investments. Top 10 Holdings do not include short-term investments and percentages are based on total net assets. Portfolio holdings sector distributions are as of 10/31/14 and are subject to change. Portfolio holdings are not recommendations to buy or sell any securities.


 


 

 

Value of a $10,000 Investment (Unaudited)

 

 

 

This chart represents a comparison of a hypothetical $10,000 investment in the Fund versus a similar investment in the Fund’s benchmark. The graph and the table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Investment performance reflects the waiver and recovery of certain fees, if applicable. Without the waiver and recovery of fees, the Fund’s total return would have differed.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that shares, when redeemed, may be worth more or less than their original cost.

 

14

 

Alpine Accelerating Dividend Fund (Continued)

 

Commentary

 

For the twelve months ended October 31, 2014, the Alpine Accelerating Dividend Fund generated a total return of 12.25%. This compares with a total return of 17.26% for the S&P 500® Index for the same period. During the last twelve months, the Fund steadily increased its monthly per share distribution from $0.0409 in October, 2013 to $0.0421 in October, 2014. All references in this letter to the Fund’s performance relate to the performance of the Fund’s Institutional Class.

 

PERFORMANCE DRIVERS

 

The Fund generally prefers to take a conservative investment stance with regard to portfolio construction and security selection during times of economic and geopolitical uncertainty. We believe the twelve months ended October 31, 2014 was such a time. For this reason, the Fund had an average cash holding of 3.9% during the fiscal year and a portfolio beta of less than 1.0 during the same span.

 

On a sector basis, information technology, health care, and financials had the largest positive impact on the absolute performance of the Fund. The consumer discretionary, energy, and telecommunication services sectors had the largest negative impact. On a relative basis, the consumer staples sector generated the largest outperformance versus the S&P500®, followed by financials and health care. The consumer discretionary, energy, and industrials sectors were the worst relative performers.

 

PORTFOLIO ANALYSIS

 

The top five stock contributors to the Fund’s performance during the twelve months ended October 31, 2014, based on contribution to total return were Avago Technologies, Apple Inc., NorthStar Realty Finance, Amgen, and Teva Pharmaceutical Industries.

 

Several positive events led to the strong performance of semiconductor manufacturer Avago Technologies. Late in 2013, the company announced the acquisition of LSI Corporation. The purchase has been well received and has begun to add to earnings in the second half of 2014. Also in the mergers and acquisition (M&A) realm, two of Avago’s competitors in the wireless space agreed to merge, which bodes well for future pricing trends. Meanwhile, Avago’s core wireless business has benefited from the roll out of next generation (4G LTE) wireless networks. The company is gaining share in the marketplace as a technology leader.
Apple Inc. stock has enjoyed a resurgence in 2014. The shares began to improve midway through the year as the earnings outlook improved and investors began to anticipate the introduction of the iPhone 6 and 6 Plus as well as speculation of a new product, which ended up being the Apple Watch. Earnings estimates and unit projections continue to rise for the company, which has led to the continued outperformance of the shares.
   
Shares of NorthStar Realty Finance, a commercial mortgage REIT, enjoyed a strong rally beginning in December 2013 when the company announced that it would be spinning off its asset management business into a separate publicly traded C-corp. Investors cheered the news as the new asset management company could trade at meaningfully higher multiples than the legacy REIT. Additionally, NRF unveiled several strategic initiatives including an investment into RXR Realty, a private real estate company focused on New York City and the tri-state area.
   
Amgen shares actually underperformed for much of the fiscal year before second quarter results reported at the end of July indicated that the company would initiate a $700 million cost restructuring and an August SEC filing revealed that activist hedge fund Third Point had taken a small stake in the company. From August onwards, the stock began to outperform the market as investors cheered the restructuring news and speculated about Third Point’s intentions. Towards the end of October, Third Point revealed that it had become one of Amgen’s largest shareholders and had suggesting breaking up the company in meetings with management, sending the shares to a new all-time high.
   
There were several events over the first half of the fiscal year that contributed to the strong performance in Teva Pharmaceuticals shares – activist shareholders have taken an interest in the company, Teva has been the subject of M&A speculation in the sector, and the CEO was replaced in early February by a well-regarded turnaround specialist. In addition, the underlying business has held up a bit better than expected.
   

Dawson Geophysical, Pier 1 Imports, GNC Holdings, Adidas AG and Altisource Portfolio Solutions had the largest adverse impact on the performance of the Fund over the fiscal year.


 

15

 

Alpine Accelerating Dividend Fund (Continued)

 

A stretch of bad weather this past winter as well as some operational hiccups has caused Dawson Geophysical to report a string of weaker than expected quarterly results. Additionally, the company is contending with a still challenging environment for its onshore seismic data acquisition service offering and a significant sell-off in crude oil prices that is pressuring stock prices across the energy complex.
   
The past twelve months have been difficult for retailer Pier 1. The company was hit by the weather-related issues that had an impact on much of the retail landscape to begin the year. This resulted in management reducing its outlook several times prior to spring. As the year progressed, the company’s web traffic grew strongly while the store traffic lagged expectations. Given the success of the web business, management stepped up investment in the segment, which had an adverse impact on margins.
   
Another retail casualty, GNC Holdings shares experienced a similar traffic slowdown to begin the year. The company then began to lap difficult comparisons driven by the launch of its loyalty program, which resulted in further sales disappointments. The shares were also hit by headlines about the safety of some of the products sold in their stores.
   
Several negative issues led to the underperformance of Adidas AG shares. Entering 2014, Adidas had reduced its outlook primarily due to adverse currency movements, which continued to have an impact in 2014. On top of these issues, the events in the Ukraine had a material impact on the firm’s Russian business and the collapse of the global golf market led to sharp declines in its Taylormade segment.
   
Altisource Portfolio Solutions has been hard hit by its close association with Ocwen Financial Corporation. Ocwen has been the subject of regulatory scrutiny by the New York Department of Financial Services for a variety of alleged misdeeds, several of which involve its business relationships with Altisource. As a result of its relationship with Ocwen, the stock has been unable to rally despite solid earnings and an attractive valuation.

SUMMARY & OUTLOOK

 

As we look towards 2015, we see a market environment that remains fairly uncertain. In October, the Fed announced an end to the tapering of QE3 and will no longer be increasing the size of its balance sheet by purchasing agency mortgage backed securities and US Treasuries. While this decision was expected, it is still unclear if the lack of monetary stimulus from the Fed will have an impact on asset prices or the economy. In Europe, growth continues to be sluggish and the specter of deflation cannot be overlooked. Indeed, the ECB continues to strike a dovish tone with its commitment to accommodative short rates for as long as needed to stimulate the economy and combat too low inflation. In Japan, the central bank recently increased the size and scope of its QQE asset purchase program in an effort to steer the economy towards the 2% inflation target. As a result, the Yen has depreciated significantly versus the dollar and many other currencies, a development that is sure to have global ramifications. This macro backdrop together with our view that equity market valuations are fairly robust, lead us to continue to take a conservative investment stance.

 

As it relates to the Fund, we have decided to enhance the core strategy of focusing on quality companies with strong balance sheets that are increasing and/or accelerating dividends. We plan to emphasize stocks with a longer and consistent track record of dividend increases, as we believe these companies have the potential to outperform through the cycle. We aim to invest in stocks with multiple years of continuous dividend increases and make these stocks the foundation of the Fund. Many of the Fund’s holdings already fit into this category, but we are on the lookout for more such ideas. On top of this foundation, we will continue to invest in stocks with shorter, but what we believe are still meaningful track records of dividend increases. In conclusion, similar to the stocks in which we seek to invest, the Fund aims to provide a steadily rising distribution to its investors.

 

We thank our shareholders for their support.

 

Sincerely,

 

Bryan Keane
Andrew Kohl
Portfolio Managers


 

16

 

Alpine Accelerating Dividend Fund (Continued)

 

This letter represents the opinions of the Fund’s management and is subject to change, is not guaranteed and should not be considered a recommendation to buy or sell any security. The information provided is not intended to be, and is not, a forecast of future events, a guarantee of future results, or investment advice. Views expressed may vary from those of the firm as a whole. Past performance is no guarantee of future results.

 

 

 

Mutual fund investing involves risk. Principal loss is possible. The Fund is subject to risks, including the following:

 

Currency Risk – The value of investments in securities denominated in foreign currencies increases or decreases as the rates of exchange between those currencies and the U.S. dollar change. Currency conversion costs and currency fluctuations could erase investment gains or add to investment losses. Currency exchange rates can be volatile, and are affected by factors such as general economic conditions, the actions of the U.S. and foreign governments or central banks, the imposition of currency controls and speculation.

 

Dividend Strategy Risk – The Fund’s strategy of investing in dividend-paying stocks involves the risk that such stocks may fall out of favor with investors and underperform the market. Companies that issue dividend paying-stocks are not required to continue to pay dividends on such stocks. Therefore, there is the possibility that such companies could reduce or eliminate the payment of dividends in the future or the anticipated acceleration of dividends could not occur.

 

Equity Securities Risk – The stock or other security of a company may not perform as well as expected, and may decrease in value, because of factors related to the company (such as poorer than expected earnings or certain management decisions) or to the industry in which the company is engaged (such as a reduction in the demand for products or services in a particular industry).

 

Foreign Currency Transactions Risk – Foreign securities are often denominated in foreign currencies. As a result, the value of the Fund’s shares is affected by changes in exchange rates. The Fund may enter into foreign currency transactions to try to manage this risk. The Fund’s ability to use foreign currency transactions successfully depends on a number of factors, including the foreign currency transactions being available at prices that are not too costly, the availability of liquid markets and the ability of the Adviser to accurately predict the direction of changes in currency exchange rates.

 

Foreign Securities Risk – The Fund’s investments in securities of foreign issuers or issuers with significant exposure to foreign markets involve additional risk. Foreign countries in which the Fund may invest may have markets that are less liquid, less regulated and more volatile than U.S. markets. The value of the Fund’s investments may decline because of factors affecting the particular issuer as well as foreign markets and issuers generally, such as unfavorable government actions, and political or financial instability. Lack of information may also affect the value of these securities. The risks of foreign investments are heightened when investing in issuers in emerging market countries.

 

Growth Stock Risk – Growth stocks typically are very sensitive to market movements because their market prices tend to reflect future expectations. When it appears those expectations will not be met, the prices of growth stocks typically fall. Growth stocks as a group may be out of favor and underperform the overall equity market while the market concentrates on undervalued stocks. Although the Fund will not concentrate its investments in any one industry or industry group, it may, like many growth funds, weight its investments toward certain industries, thus increasing its exposure to factors adversely affecting issuers within those industries.

 

Initial Public Offerings and Secondary Offerings Risk – The Fund may invest a portion of its assets in shares of IPOs or secondary offerings of an issuer. IPOs and secondary offerings may have a magnified impact on the performance of a Fund with a small asset base. The impact of IPOs and secondary offerings on a Fund’s performance likely will decrease as the Fund’s asset size increases, which could reduce a Fund’s returns. IPOs and secondary offerings may not be consistently available to the Fund for investing. IPO and secondary offering shares frequently are volatile in price due to the absence of a prior public market, the small number of shares available for trading and limited information about the issuer. Therefore, the Fund may hold IPO and secondary offering shares for a very short period of time. This may increase the turnover of the Fund and may lead to increased expenses for the Fund, such as commissions and transaction costs. In addition, IPO and secondary offering shares can experience an immediate drop in value if the demand for the securities does not continue to support the offering price.

 

Management Risk – The Adviser’s judgment about the quality, relative yield or value of, or market trends affecting, a particular security or sector, or about interest rates generally, may be incorrect. The Adviser’s security selections and other investment decisions might produce losses or cause the Fund to underperform when compared to other funds with similar investment objectives and strategies.

 

17

 

Alpine Accelerating Dividend Fund (Continued)

 

Market Risk – The price of a security held by the Fund may fall due to changing market, economic or political conditions.

 

Micro Capitalization Company Risk – Stock prices of micro capitalization companies are significantly more volatile, and more vulnerable to adverse business and economic developments than those of larger companies. Micro capitalization companies often have narrower markets for their goods and/or services and more limited managerial and financial resources than larger, more established companies, including small or medium capitalization companies.

 

Portfolio Turnover Risk – High portfolio turnover necessarily results in greater transaction costs which may reduce Fund performance.

 

Small and Medium Capitalization Company Risk – Securities of small or medium capitalization companies are more likely to experience sharper swings in market values, less liquid markets, in which it may be more difficult for the Adviser to sell at times and at prices that the Adviser believes appropriate and generally are more volatile than those of larger companies.

 

Undervalued Stock Risk – The Fund may pursue strategies that may include investing in securities, which, in the opinion of the Adviser, are undervalued. The identification of investment opportunities in undervalued securities is a difficult task and there is no assurance that such opportunities will be successfully recognized or acquired. While investments in undervalued securities offer opportunities for above-average capital appreciation, these investments involve a high degree of financial risk and can result in substantial losses.

 

Please refer to pages 3-5 for other important disclosures and definitions.

 

18

 
Alpine Financial Services Fund

 

Comparative Annualized Returns as of 10/31/14 (Unaudited)
   1 Year  3 Years  5 Years  Since Inception(1)
Alpine Financial Services Fund — Institutional Class   11.16%   23.65%   14.62%   8.57%  
Alpine Financial Services Fund — Class A (Without Load)   10.84%   N/A   N/A   26.31%  
Alpine Financial Services Fund — Class A (With Load)   4.77%   N/A   N/A   23.83%  
KBW Bank Index   14.54%   24.13%   13.24%   -1.05%  
NASDAQ Financial-100 Total Return Index   8.82%   19.46%   13.17%   3.27%  
S&P 500® Index   17.26%   19.77%   16.69%   8.15%  
Lipper Financial Services Funds Average(2)   11.96%   20.43%   12.29%   1.81%  
Lipper Financial Services Funds Ranking(2)   53/83   6/75   14/68   1/52  
Gross Expense Ratio (Institutional Class): 1.85%(3)                      
Net Expense Ratio (Institutional Class): 1.48%(3)                      
Gross Expense Ratio (Class A): 2.10%(3)                      
Net Expense Ratio (Class A): 1.73%(3)                      

 

 
  (1) Institutional Class shares commenced on November 1, 2005 and Class A shares commenced on December 30, 2011. Returns for indices are since November 1, 2005.
  (2) The since inception data represents the period beginning November 3, 2005 (Institutional Class only).
  (3) As disclosed in the prospectus dated February 28, 2014.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that the shares, when redeemed, may be worth more or less than their original cost. Performance current to the most recent month end may be lower or higher than performance quoted and may be obtained by calling 1-888-785-5578. Performance data shown does not reflect the 1.00% redemption fee imposed on shares held for fewer than 60 days. If it did, total returns would be reduced. Returns for the Class A shares with sales charge reflect a maximum sales charge of 5.50%. Performance for the Class A shares without sales charges does not reflect this load.

 

KBW Bank Index is a modified cap-weighted index consisting of 24 exchange-listed and National Market System stocks, representing national money center banks and leading regional institutions. The NASDAQ Financial-100 Index includes 100 of the largest domestic and international financial securities listed on the NASDAQ Stock Market based on market capitalization. They include companies classified according to the Industry Classification Benchmark as Financials, which are included within the NASDAQ Bank, NASDAQ Insurance, and NASDAQ Other Finance Indexes. The S&P 500® Index is a float-adjusted market capitalization-weighted index of 500 common stocks chosen for market size, liquidity, and industry group representation to represent U.S. equity performance. The Lipper Financial Services Funds Average is an average of funds whose primary objective is to invest primarily in equity securities of companies engaged in providing financial services. Lipper rankings for the periods shown are based on fund total returns with dividends and distributions reinvested and do not reflect sales charges. The KBW Bank Index, the NASDAQ Financial-100 Index, the S&P 500® Index and the Lipper Financial Services Funds Average are unmanaged and do not reflect the deduction of direct fees associated with a mutual fund, such as investment adviser fees; however, the Lipper Financial Services Fund Average reflects fees charged by the underlying funds. The performance for the Alpine Financial Services Fund reflects the deduction of fees for these value-added services. Investors cannot directly invest in an index.

 

Expense Ratios reflect the ratios reported in the Fund’s most recent prospectus. The Alpine Financial Services Fund has a contractual expense waiver that continues through February 28, 2015. Where a Fund’s gross and net expense ratios are the same for the period reported, the contractual expense reimbursement level was not reached as of the end of that period. To the extent the Fund’s expenses were reduced by waivers, the Fund’s total returns were increased. In these cases, in the absence of the expense waivers, the Fund’s total returns would have been lower.

 

The Fund’s past performance benefitted significantly from Initial Public Offerings (“IPOs”) and Secondary Offerings of certain issuers, and there is no assurance that the Fund can replicate this performance in the future or that the Fund will be able to participate to the same degree in IPO/Secondary Offerings in the future.

 

19

 
Alpine Financial Services Fund (Continued)

 

Portfolio Distributions* (Unaudited)

 

Top 10 Holdings* (Unaudited)

1.   PennyMac Financial Services, Inc.-Class A 3.68 %
2.   Investar Holding Corp. 3.59 %
3.   Lloyds Banking Group PLC 3.40 %
4.   Banco de Chile-ADR 3.29 %
5.   Fifth Street Asset Management, Inc. 3.22 %
6.   National Bank of Greece SA 2.65 %
7.   TBC Bank JSC-GDR 2.24 %
8.   FCB Financial Holdings, Inc.-Class A 2.22 %
9.   United Insurance Holdings Corp. 2.05 %
10.   Pacific Premier Bancorp, Inc. 1.95 %
 
* Portfolio Distributions percentages are based on total net investments. Top 10 Holdings do not include short-term investments and percentages are based on total net assets. Portfolio holdings sector distributions are as of 10/31/14 and are subject to change. Portfolio holdings are not recommendations to buy or sell any securities.


 


 

 

Value of a $10,000 Investment (Unaudited)

 

 

This chart represents a comparison of a hypothetical $10,000 investment in the Fund versus a similar investment in the Fund’s benchmarks. The graph and the table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Investment performance reflects the waiver and recovery of certain fees, if applicable. Without the waiver and recovery of fees, the Fund’s total return would have differed.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that shares, when redeemed, may be worth more or less than their original cost.

 

20

 
Alpine Financial Services Fund (Continued)

 

Commentary

 

 

The Alpine Financial Services Fund generated an 11.16% total return for the fiscal year ended October 31, 2014. This compares to the Fund’s benchmarks, which showed total returns of 8.82% for the NASDAQ Financial 100 Total Return Index and 14.54% for the KBW Bank Index during the same period. All references in this letter to the Fund’s performance relate to the performance for the Fund’s Institutional Class.

 

YEAR IN REVIEW

 

At the start of the fiscal year, investors were speculating that the Federal Reserve would start tapering its security purchases. This contributed to a rise in interest rates and a rally in U.S. bank stocks. The rally proved short-lived as a harsh winter had a negative effect on the economy causing interest rates to reverse direction. U.S. bank stocks retreated on news of weaker Gross Domestic Product (GDP) estimates while emerging market financials, which were hurt by the tapering speculation, responded positively to the weaker economic data. The European financials also performed well during this period on word that the European Central Bank was committed to maintaining an accommodative policy. But as we moved into the later part of the fiscal year, concerns that the Eurozone would fall back into a recession drove European financial stocks down. Also, investor concerns over the economic slowdown in China and other emerging markets weighed heavy on stocks in those regions. The one bright spot during this time was the United States. Although the pace of the economic recovery was slow, corporate earnings were strong and the labor market showed signs of improvement. These conditions aided the Federal Reserve in sticking with its plan of tapering. The thought of higher rates and stronger economic growth helped the US financials stage a fiscal year-end rally. Japanese stocks also staged a late rally [at fiscal year-end]. Against the backdrop of further economic weakness in Japan, investors believe the Bank of Japan will be more aggressive in its accommodative monetary policy.

 

CONTRIBUTING STOCKS

 

The top five stocks contributing to the Fund’s performance during fiscal 2014 were NorthStar Realty Finance Corp., United Insurance Holdings Corp., Pacific Premier Bancorp, Inc., Phoenix Companies, Inc., and First Business Financial Services, Inc.

 

NorthStar Realty Finance Corp. is a diversified commercial real estate and asset management company. The stock price reacted well to the
  announced spin-off of the Company’s asset management business into a separate public entity.
   
United Insurance Holdings Corp. is a property and casualty insurance company headquartered in Saint Petersburg, Florida. Better than expected earnings and a well-received capital raise aided the stock advance this year.
   
Pacific Premier Bancorp, Inc. is a community bank headquartered in Orange County, California. The Company announced two mergers during the year, which were viewed favorably by investors.
   
Phoenix Companies, Inc. is a life insurance company. After a multi-year process of restating financial results to address previous accounting issues, the Company recently returned to current SEC filer status. This act helped remove an uncertainty which we believe had hindered the stock valuation.
   
First Business Financial Services, Inc. is a bank with $1.4 billion in assets headquartered in Madison, Wisconsin. The Company’s lean branch distribution strategy has contributed to a return on equity higher than the return of its peer group. During the year, the Bank increased its cash dividend by 50% and announced its first bank acquisition.

 

The five largest detractors from the Fund’s performance during the fiscal year were National Bank of Greece S.A., Ares Management, L.P., Fifth Street Asset Management, Inc., Medallion Financial Corp., and Ocwen Financial Corporation.

 

National Bank of Greece S.A. is one of the major banks in Greece. We believe its recent equity raise combined with the plan to decrease its stake in the Turkish bank Finansbank may allow the Bank to meet the new capital requirements.
   
Ares Management, L.P. is an asset management firm. After going public in May, the Company disappointed investors by missing its first quarterly earnings estimate as a public company.
   
Fifth Street Asset Management, Inc. is an asset management firm. We acquired our position in the Company’s IPO. The offering was apparently poorly placed as the stock declined immediately on the first day. We believe the Company’s growth trends in AUM and earnings are good and based on those trends the stock valuation appears attractive.


 

21

 
Alpine Financial Services Fund (Continued)

 

Medallion Financial Corp. is a specialty finance company. The stock declined on disappointing earnings and a dilutive equity offering.
   
Ocwen Financial Corporation is a mortgage servicer. The Company is operating under a cloud of investigations with respect to such issues as business practices and operational controls. Given the uncertain outcome of these investigations we have sold the position.

 

A significant portion of the Fund’s holdings were held outside the U.S. and denominated in foreign currencies. As a result of a strengthening dollar, these currencies had a negative impact on the Fund’s performance.

 

The Fund has participated in Initial Public Offerings (“IPO’s”) both within and outside of the financial sector. The Fund’s trading in IPO’s had a positive impact on the Fund’s return for the reporting period. We cannot predict whether there will be more IPO’s that meet our investment standards, or that we will be able to participate and benefit from them, but we will continue to search.

 

We also continued to find value in the Secondary Offerings in the financial sector. As a result, the Fund has been an active participant in these offerings and they have contributed to the Fund’s return for the period. Similar to the IPO’s, we cannot predict whether these offerings will continue to exist, but provided the market offers what we believe to be attractively-priced Secondary Offerings, the Fund will continue to participate in them.

 

The Fund’s performance was negatively impacted as we managed significant inflows and outflows during the period which resulted in larger than normal cash positions or borrowings.

SUMMARY & OUTLOOK

 

We believe the US will lead the next global economic expansion. As a result, we positioned the majority of the Fund’s assets in US companies. We also believe there are attractive investment opportunities abroad either in company specific situations or in regions we feel are oversold by investors. One region we believe is becoming attractive from a valuation prospective is Europe. We feel the recent sell off may provide some investment opportunities.

 

We believe industry consolidation in the financial services area will continue. Given the moderate revenue growth many financial companies are experiencing, we believe there will be more banks wanting to either augment their organic growth with acquisitions or sell to a better performing company. During the fiscal year, the Fund had 13 companies that signed merger agreements. These include nine banks: Community National Bank of the Lakeway Area, 1st United Bancorp, Intervest Bancshares, Jefferson Bancshares, LSB Financial Corp., North Valley Bancorp, OmniAmerican Bancorp., Peoples Federal Bancshares, and TF Financial Corp. There were also two in the capital markets area, GFI Group Inc. and SWS Group, one consumer finance company, DFC Global Corp., and a real estate services company, ZipRealty Inc.

 

We appreciate the trust you have placed in us and look forward to updating you on future results.

 

Sincerely,

 

Peter J. Kovalski
Stephen A. Lieber
Portfolio Managers


 

22

 
Alpine Financial Services Fund (Continued)

 

This letter represents the opinions of the Fund’s management and is subject to change, is not guaranteed and should not be considered a recommendation to buy or sell any security. The information provided is not intended to be, and is not, a forecast of future events, a guarantee of future results, or investment advice. Views expressed may vary from those of the firm as a whole. Past performance is no guarantee of future results.

 

 

Mutual fund investing involves risk. Principal loss is possible. The Fund is subject to risks, including the following:

 

Concentration Risk – The Fund’s strategy of concentrating in companies in a specific industry means that its performance will be closely tied to the performance of a particular market segment. The Fund’s concentration in these companies may present more risks than if it were broadly diversified over numerous industries and sectors of the economy. A downturn in these companies would have a larger impact on the Fund than on a mutual fund that does not concentrate in such companies. At times, the performance of these companies will lag the performance of other industries or the broader market as a whole.

 

Currency Risk – The value of investments in securities denominated in foreign currencies increases or decreases as the rates of exchange between those currencies and the U.S. dollar change. Currency conversion costs and currency fluctuations could erase investment gains or add to investment losses. Currency exchange rates can be volatile, and are affected by factors such as general economic conditions, the actions of the U.S. and foreign governments or central banks, the imposition of currency controls and speculation.

 

Equity Securities Risk – The stock or other security of a company may not perform as well as expected, and may decrease in value, because of factors related to the company (such as poorer than expected earnings or certain management decisions) or to the industry in which the company is engaged (such as a reduction in the demand for products or services in a particular industry).

 

Financial Services Industry Concentration Risk – The Fund is subject to the risk of concentrating investments in financial services companies, which makes it more susceptible to factors adversely affecting issuers within that industry than would a fund investing in a more diversified portfolio of securities. Economic downturns, credit losses and severe price competition can negatively affect this industry. The profitability of financial services companies is dependent on the availability and cost of capital and can fluctuate significantly when interest rates change. Financial services companies are also subject to extensive government regulation. The impact of recent legislation on any individual company or on the industry as a whole cannot be predicted.

 

Foreign Currency Transactions Risk – Foreign securities are often denominated in foreign currencies. As a result, the value of the Fund’s shares is affected by changes in exchange rates. The Fund may enter into foreign currency transactions to try to manage this risk. The Fund’s ability to use foreign currency transactions successfully depends on a number of factors, including the foreign currency transactions being available at prices that are not too costly, the availability of liquid markets and the ability of the Adviser to accurately predict the direction of changes in currency exchange rates.

 

Foreign Securities Risk – The Fund’s investments in securities of foreign issuers or issuers with significant exposure to foreign markets involve additional risk. Foreign countries in which the Fund may invest may have markets that are less liquid, less regulated and more volatile than U.S. markets. The value of the Fund’s investments may decline because of factors affecting the particular issuer as well as foreign markets and issuers generally, such as unfavorable government actions, and political or financial instability. Lack of information may also affect the value of these securities. The risks of foreign investments are heightened when investing in issuers in emerging market countries.

 

Growth Stock Risk – Growth stocks are stocks of companies believed to have above-average potential for growth in revenue and earnings. Growth stocks typically are very sensitive to market movements because their market prices tend to reflect future expectations. When it appears those expectations will not be met, the prices of growth stocks typically fall. Growth stocks as a group may be out of favor and underperform the overall equity market while the market concentrates on undervalued stocks.

 

Initial Public Offerings and Secondary Offerings Risk – The Fund may invest a portion of its assets in shares of IPOs or secondary offerings of an issuer. IPOs and secondary offerings may have a magnified impact on the performance of a Fund with a small asset base. The impact of IPOs and secondary offerings on a Fund’s performance likely will decrease as the Fund’s asset size increases, which could reduce a Fund’s returns. IPOs and secondary offerings may not be consistently available to the Fund for investing. IPO and secondary offering shares frequently are volatile in price due to the absence

 

23

 
Alpine Financial Services Fund (Continued)

 

of a prior public market, the small number of shares available for trading and limited information about the issuer. Therefore, the Fund may hold IPO and secondary offering shares for a very short period of time. This may increase the turnover of the Fund and may lead to increased expenses for the Fund, such as commissions and transaction costs. In addition, IPO and secondary offering shares can experience an immediate drop in value if the demand for the securities does not continue to support the offering price.

 

Leverage Risk – The Fund may use leverage to purchase securities. Increases and decreases in the value of the Fund’s portfolio will be magnified when the Fund uses leverage.

 

Liquidity Risk – Some securities held by the Fund may be difficult to sell, or illiquid, particularly during times of market turmoil. Illiquid securities may also be difficult to value. If the Fund is forced to sell an illiquid asset to meet redemption requests or other cash needs, the Fund may be forced to sell at a loss.

 

Management Risk – The Adviser’s judgment about the quality, relative yield or value of, or market trends affecting, a particular security or sector, or about interest rates generally, may be incorrect. The Adviser’s security selections and other investment decisions might produce losses or cause the Fund to underperform when compared to other funds with similar investment objectives and strategies.

 

Market Risk – The price of a security held by the Fund may fall due to changing market, economic or political conditions.

 

Micro Capitalization Company Risk – Stock prices of micro capitalization companies are significantly more volatile, and more vulnerable to adverse business and economic developments than those of larger companies. Micro capitalization companies often have narrower markets for their goods and/or services and more limited managerial and financial resources than larger, more established companies, including small or medium capitalization companies.

 

Portfolio Turnover Risk – High portfolio turnover necessarily results in greater transaction costs which may reduce Fund performance.

 

Small and Medium Capitalization Company Risk – Securities of small or medium capitalization companies are more likely to experience sharper swings in market values, less liquid markets, in which it may be more difficult for the Adviser to sell at times and at prices that the Adviser believes appropriate and generally are more volatile than those of larger companies.

 

Undervalued Stock Risk – The Fund may pursue strategies that may include investing in securities, which, in the opinion of the Adviser, are undervalued. The identification of investment opportunities in undervalued securities is a difficult task and there is no assurance that such opportunities will be successfully recognized or acquired. While investments in undervalued securities offer opportunities for above-average capital appreciation, these investments involve a high degree of financial risk and can result in substantial losses.

 

Please refer to pages 3-5 for other important disclosures and definitions.

 

24

 
Alpine Small Cap Fund(1)  

 

Comparative Annualized Returns as of 10/31/14 (Unaudited)
   1 Year  3 Years  5 Years  Since Inception(2)
Alpine Small Cap Fund — Institutional Class   -1.19%   10.34%   11.61%   4.86%
Alpine Small Cap Fund — Class A (Without Load)   -1.41%   N/A   N/A   11.86%
Alpine Small Cap Fund — Class A (With Load)   -6.86%   N/A   N/A   9.66%
Russell 2000® Index   8.06%   18.18%   17.39%   7.71%
Russell 3000® Index   16.07%   19.77%   17.01%   8.19%
Russell 2000® Growth Index   8.26%   18.42%   18.61%   9.00%
S&P 500® Index   17.26%   19.77%   16.69%   8.04%
Lipper Small-Cap Growth Funds Average(3)   5.72%   16.78%   17.77%   8.57%
Lipper Small-Cap Growth Funds Ranking(3)   481/520   456/460   402/408   313/323  
Gross Expense Ratio (Institutional Class): 1.80%(4)                    
Net Expense Ratio (Institutional Class): 1.35%(4)                    
Gross Expense Ratio (Class A): 2.05%(4)                    
Net Expense Ratio (Class A): 1.60%(4)                    

 

 
  (1) Effective March 31, 2014 the Fund’s name, strategy and portfolio managers were changed. The investment objective remains the same. The Fund was formerly known as Alpine Innovators Fund.
  (2) Institutional Class shares commenced on July 11, 2006 and Class A shares commenced on December 30, 2011. Returns for indices are since July 11, 2006.
  (3) The since inception data represents the period beginning July 13, 2006 (Institutional Class only).
  (4) As disclosed in the prospectus dated February 28, 2014.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that the shares, when redeemed, may be worth more or less than their original cost. Performance current to the most recent month end may be lower or higher than performance quoted and may be obtained by calling 1-888-785-5578. Performance data shown does not reflect the 1.00% redemption fee imposed on shares held for fewer than 60 days. If it did, total returns would be reduced. Returns for the Class A shares with sales charge reflect a maximum sales charge of 5.50%. Performance for the Class A shares without sales charges does not reflect this load.

 

The Russell 2000® Index measures the performance of the small-cap segment of the U.S. equity universe. The Russell 2000® Index is a subset of the Russell 3000® Index representing approximately 10% of the total market capitalization of that index. It includes approximately 2000 of the smallest securities based on a combination of their market cap and current index membership. The Russell 2000 is constructed to provide a comprehensive and unbiased small-cap barometer and is completely reconstituted annually to ensure larger stocks do not distort the performance and characteristics of the true small-cap opportunity set. The Russell 3000® Index measures the performance of the largest 3000 U.S. companies representing approximately 98% of the investable U.S. equity market. The Russell 2000® Growth Index measures the performance of the small-cap growth segment of the U.S. equity universe. It includes those Russell 2000 Index companies with higher price-to-value ratios and higher forecasted growth values. The S&P 500® Index is a float-adjusted market capitalization-weighted index of 500 common stocks chosen for market size, liquidity, and industry group representation to represent U.S. equity performance. The Lipper Small-Cap Growth Funds Average is an average of funds that, by portfolio practice, invest at least 75% of their equity assets in companies with market capitalizations (on a three-year weighted basis) below Lipper’s USDE small-cap ceiling. Small-cap growth funds have more latitude in the companies in which they invest. These funds typically have average characteristics compared to the S&P SmallCap 600 Index. Lipper rankings for the periods shown are based on fund total returns with dividends and distributions reinvested and do not reflect sales charges. The Russell 2000® Index, Russell 3000® Index, the Russell 2000® Growth Index, the S&P 500® Index and the Lipper Small-Cap Growth Funds Average are unmanaged and do not reflect the deduction of direct fees associated with a mutual fund, such as investment adviser fees; however, the Lipper Small-Cap Core Funds Average reflects fees charged by the underlying funds. The performance for the Alpine Small Cap Fund reflects the deduction of fees for these value-added services. Investors cannot directly invest in an index.

 

Expense Ratios reflect the ratios reported in the Fund’s most recent prospectus. The Alpine Small Cap Fund has a contractual expense waiver that continues through February 28, 2015. Where a Fund’s gross and net expense ratios are the same for the period, the contractual expense reimbursement level was not reached as of the end of that period. To the extent the Fund’s expenses were reduced by waivers, the Fund’s total returns were increased. In these cases, in the absence of the expense waivers, the Fund’s total returns would have been lower.

 

The Fund’s past performance benefitted significantly from Initial Public Offerings (“IPOs”) of certain issuers, and there is no assurance that the Fund can replicate this performance in the future. To the extent that the Fund’s historical performance resulted from gains derived from participation in Secondary Offerings, there is no guarantee that these results can be replicated or that the Fund will be able to participate to the same degree in IPO/Secondary Offerings in the future.

 

25

 
Alpine Small Cap Fund (Continued)

 

 

Portfolio Distributions* (Unaudited)

 

Top 10 Holdings* (Unaudited)
1.   Liberty Tax, Inc. 4.43%
2.   Natus Medical, Inc. 3.97%
3.   Applied Optoelectronics, Inc. 3.95%
4.   Dycom Industries, Inc. 3.90%
5.   Kennedy-Wilson Holdings, Inc. 3.88%
6.   PRA Group, Inc. 3.69%
7.   Patrick Industries, Inc. 3.69%
8.   Aegean Marine Petroleum Network, Inc. 3.36%
9.   Scorpio Tankers, Inc. 3.22%
10.   Integrated Device Technology, Inc. 3.16%
 
* Portfolio Distributions percentages are based on total net investments. Top 10 Holdings do not include short-term investments and percentages are based on total net assets. Portfolio holdings sector distributions are as of 10/31/14 and are subject to change. Portfolio holdings are not recommendations to buy or sell any securities.


 

 

 

Value of a $10,000 Investment (Unaudited)

 

 

 

 

This chart represents a comparison of a hypothetical $10,000 investment in the Fund versus a similar investment in the Fund’s benchmarks. The graph and the table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Investment performance reflects the waiver and recovery of certain fees, if applicable. Without the waiver and recovery of fees, the Fund’s total return would have differed.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that shares, when redeemed, may be worth more or less than their original cost.

 

26

 
Alpine Small Cap Fund (Continued)

 

Commentary

 

On March 31, 2014, the Alpine Innovators Fund changed its name to the Alpine Small Cap Fund. The Fund’s investment strategy was also modified to be consistent with this change. The new small cap strategy calls for 80% of the Fund’s net assets to be invested in small capitalization companies. Additionally, the Russell 2000® Index became the primary benchmark for the Fund. Prior to this change, the primary benchmark was the Russell 3000® Index.

 

The Fund’s current strategy is to find and invest in small cap companies with sustainable competitive business models and managements that focus on creating shareholder value and who are strong capital allocators. Further, we continue to purchase companies with secular growth drivers that we believe will allow them to grow faster than GDP. We also look to purchase companies with strong free cash flow yields. We believe this strategy will allow for strong relative performance versus the Russell 2000 over a market cycle.

 

The investment results for the first half of fiscal 2014 were under the prior strategy. All references to the Fund’s performance relate to the performance of the Fund’s Institutional Class.

 

The data presented below is a blend of the stocks held by the two portfolios, as some of the stocks were transitioned out of the new portfolio because their market cap size was inconsistent with a small cap investment strategy. This transition also resulted in an increased turnover rate and associated transaction costs for the Fund.

 

The portfolio return for the Fund for the fiscal year ended October 31, 2014 was down 1.19% compared with the Russell 2000® Index which was up 8.06% and the Russell 3000® Index which was up 16.07%.

 

The top five stocks contributing to the Fund’s total return during the fiscal year ended October 31, 2014 were Akorn, Priceline Group, Liberty Tax, Natus Medical, and Nexstar Broadcasting Group.

 

Akorn is a generic drug company that had several large price increases this year and made some accretive acquisitions.

 

Priceline continued to gain market share in the hotel reservation field, opened new geographies and attracted new consumers.

 

Liberty Tax Service is a tax preparation company that uses a franchise model. Liberty Tax also continued to see strong growth in revenues.

 

Natus Medical, a medical device company, reported strong revenue and earnings growth.

 

Nexstar Broadcasting, a television broadcasting company, continued to have a high free cash flow yield.

 

Gigamon, Applied Optoelectronics, Ocwen Financial, Scorpio Bulkers, and ANSYS had the largest adverse impact on the performance of the Fund over the fiscal year.

 

Gigamon, a designer of networking products and solutions, had a negative earnings pre-announcement.

 

Applied Optoelectronics, a manufacturer of advanced optical semiconductor devices, was down over concern about the growth potential of one of its growth drivers, Google Fiber. The other growth initiatives remain in place.

 

Ocwen Financial Corporation is a mortgage servicer. The Company is operating under a cloud of investigations with respect to such issues as business practices and operational controls.

 

Scorpio Bulkers owns and operates a fleet of mid to large sized dry bulk carriers. It was down over concern about world economic growth and the amount of iron ore that would be shipped to China.

 

ANSYS, a maker of software solutions for design analysis, missed revenue expectations.

 

While calendar 2013 ended on a good note for U.S. equities, with the S&P 500® Index at record highs and the Russell 2000® up 38.82% for the calendar year, 2014 has been considerably more volatile. There have been three corrections of over 9% in the Russell 2000 so far in calendar 2014. Moreover, for only the sixth time since 1978, the Russell 2000 has underperformed the S&P 500. In four of the five prior occurrences, the Russell 2000 outperformed the S&P 500 in the following year.

 

The volatility was fueled by concerns about the end of the Federal Reserve’s massive bond buying program, called quantitative easing or QE. Further, even with unprecedented easy money policies by the central banks around the world, economic growth remains slow or slowing in most of the world’s developed economies. We expect the interest rate environment to remain benign. This backdrop in combination with the economic growth we are experiencing may be a positive environment for small cap stocks going forward. We continue to find what we believe are attractive businesses at attractive valuations relative to their growth or free cash flow yield.

 

The Fund’s small cap strategy has been considerably more volatile because it invests in far fewer stocks than the 2000 in the index. We strongly believe that this strategy


 

27

 
Alpine Small Cap Fund (Continued)

 

will allow us to outperform the market over a cycle. It will also cause increased volatility over shorter periods, as we saw in the second calendar quarter of 2014. Further, the Fund was hurt in the second quarter when stocks with smaller market capitalizations got disproportionately hurt as a class versus larger market cap companies in the Russell 2000. The portfolio has a disproportionate number of names with market capitalizations under $700mm because we have found what we think are very attractive businesses with attractive valuations. These

names also tend to have less investment coverage, which creates additional inefficiencies. We believe that our performance versus the Russell 2000 will be rewarded by identifying and purchasing these stocks for the portfolio over a longer period.

 

Sincerely,

 

Michael T. Smith
Portfolio Manager


 

On March 31, 2014, Michael T. Smith and Peter Belton became the Fund’s portfolio managers. As of the date of this letter, Michael T. Smith is the sole portfolio manager.

 

28

 
Alpine Small Cap Fund (Continued)

 

This letter represents the opinions of the Fund’s management and is subject to change, is not guaranteed and should not be considered a recommendation to buy or sell any security. The information provided is not intended to be, and is not, a forecast of future events, a guarantee of future results, or investment advice. Views expressed may vary from those of the firm as a whole. Past performance is no guarantee of future results.

 

 

Mutual fund investing involves risk. Principal loss is possible. The Fund is subject to risks, which currently including the following:

 

Currency Risk – The value of investments in securities denominated in foreign currencies increases or decreases as the rates of exchange between those currencies and the U.S. dollar change. Currency conversion costs and currency fluctuations could erase investment gains or add to investment losses. Currency exchange rates can be volatile, and are affected by factors such as general economic conditions, the actions of the U.S. and foreign governments or central banks, the imposition of currency controls and speculation.

 

Equity Securities Risk – The stock or other security of a company may not perform as well as expected, and may decrease in value, because of factors related to the company (such as poorer than expected earnings or certain management decisions) or to the industry in which the company is engaged (such as a reduction in the demand for products or services in a particular industry).

 

Foreign Currency Transactions Risk – Foreign securities are often denominated in foreign currencies. As a result, the value of the Fund’s shares is affected by changes in exchange rates. The Fund may enter into foreign currency transactions to try to manage this risk. The Fund’s ability to use foreign currency transactions successfully depends on a number of factors, including the foreign currency transactions being available at prices that are not too costly, the availability of liquid markets and the ability of the Adviser to accurately predict the direction of changes in currency exchange rates.

 

Foreign Securities Risk – The Fund’s investments in securities of foreign issuers or issuers with significant exposure to foreign markets involve additional risk. Foreign countries in which the Fund may invest may have markets that are less liquid, less regulated and more volatile than U.S. markets. The value of the Fund’s investments may decline because of factors affecting the particular issuer as well as foreign markets and issuers generally, such as unfavorable government actions, and political or financial instability. Lack of information may also affect the value of these securities. The risks of foreign investments are heightened when investing in issuers in emerging market countries.

 

Growth Stock Risk – Growth stocks are stocks of companies believed to have above-average potential for growth in revenue and earnings. Growth stocks typically are very sensitive to market movements because their market prices tend to reflect future expectations. When it appears those expectations will not be met, the prices of growth stocks typically fall. Growth stocks as a group may be out of favor and underperform the overall equity market while the market concentrates on undervalued stocks.

 

Initial Public Offerings and Secondary Offerings Risk – The Fund may invest a portion of its assets in shares of IPOs or secondary offerings of an issuer. IPOs and secondary offerings may have a magnified impact on the performance of a Fund with a small asset base. The impact of IPOs and secondary offerings on a Fund’s performance likely will decrease as the Fund’s asset size increases, which could reduce a Fund’s returns. IPOs and secondary offerings may not be consistently available to the Fund for investing. IPO and secondary offering shares frequently are volatile in price due to the absence of a prior public market, the small number of shares available for trading and limited information about the issuer. Therefore, the Fund may hold IPO and secondary offering shares for a very short period of time. This may increase the turnover of the Fund and may lead to increased expenses for the Fund, such as commissions and transaction costs. In addition, IPO and secondary offering shares can experience an immediate drop in value if the demand for the securities does not continue to support the offering price.

 

Leverage Risk – The Fund may use leverage to purchase securities. Increases and decreases in the value of the Fund’s portfolio will be magnified when the Fund uses leverage.

 

Liquidity Risk – Some securities held by the Fund may be difficult to sell, or illiquid, particularly during times of market turmoil. Illiquid securities may also be difficult to value. If the Fund is forced to sell an illiquid asset to meet redemption requests or other cash needs, the Fund may be forced to sell at a loss.

 

Management Risk – The Adviser’s judgment about the quality, relative yield or value of, or market trends affecting, a particular security or sector, or about interest rates generally, may be incorrect. The Adviser’s security selections and other

 

29

 
Alpine Small Cap Fund (Continued)

 

investment decisions might produce losses or cause the Fund to underperform when compared to other funds with similar investment objectives and strategies.

 

Market Risk – The price of a security held by the Fund may fall due to changing market, economic or political conditions.

 

Real Estate Investment Trusts (“REITs”) Risk – REITs’ share prices may decline because of adverse developments affecting the real estate industry including changes in interest rates. The returns from REITs may trail returns from the overall market. Additionally, there is always a risk that a given REIT will fail to qualify for favorable tax treatment.

 

Small Capitalization Company Risk – Securities of small capitalization companies are more likely to experience sharper swings in market values, less liquid markets, in which it may be more difficult for the Adviser to sell at times and at prices that the Adviser believes appropriate and generally are more volatile than those of larger companies.

 

Undervalued Stock Risk – The Fund may pursue strategies that may include investing in securities, which, in the opinion of the Adviser, are undervalued. The identification of investment opportunities in undervalued securities is a difficult task and there is no assurance that such opportunities will be successfully recognized or acquired. While investments in undervalued securities offer opportunities for above-average capital appreciation, these investments involve a high degree of financial risk and can result in substantial losses. By combining both growth and value styles, the Adviser seeks to diversify these risks and lower the volatility, but there is no assurance that this strategy will achieve that result.

 

Please refer to pages 3-5 for other important disclosures and definitions.

 

30

 
Alpine Transformations Fund 

 

Comparative Annualized Returns as of 10/31/14 (Unaudited)
   1 Year  3 Years  5 Years  Since Inception(1)  
Alpine Transformations Fund — Institutional Class   12.57%   13.46%   17.47%   8.35%    
Alpine Transformations Fund — Class A (Without Load)   12.27%   N/A   N/A   15.89%    
Alpine Transformations Fund — Class A (With Load)   6.09%   N/A   N/A   13.62%    
Russell 3000® Index   16.07%   19.77%   17.01%   7.25%    
Russell 2000® Value Index   7.89%   17.94%   16.15%   7.34%    
S&P 500® Index   17.26%   19.77%   16.69%   6.97%    
Lipper Multi-Cap Growth Funds Average(2)   13.51%   17.70%   16.37%   6.69%    
Lipper Multi-Cap Growth Funds Ranking(2)   327/546   436/469   118/409   89/346    
Gross Expense Ratio (Institutional Class): 2.24%(3)                        
Net Expense Ratio (Institutional Class): 1.35%(3)                        
Gross Expense Ratio (Class A): 2.49%(3)                        
Net Expense Ratio (Class A): 1.60%(3)                        

 

 
  (1) Institutional Class shares commenced on December 31, 2007 and Class A shares commenced on December 30, 2011. Returns for indices are since December 31, 2007.
  (2) Institutional Class only.
  (3) As disclosed in the prospectus dated February 28, 2014.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that the shares, when redeemed, may be worth more or less than their original cost. Performance current to the most recent month end may be lower or higher than performance quoted and may be obtained by calling 1-888-785-5578. Performance data shown does not reflect the 1.00% redemption fee imposed on shares held for fewer than 60 days. If it did, total returns would be reduced. Returns for the Class A shares with sales charge reflect a maximum sales charge of 5.50%. Performance for the Class A shares without sales charges does not reflect this load.

 

The Russell 3000® Index measures the performance of the largest 3000 U.S. companies representing approximately 98% of the investable U.S. equity market. The Russell 2000® Value Index measures the performance of the small-cap value segment of the U.S. equity universe. It includes those Russell 2000 Index companies with lower price-to-book ratios and lower forecasted growth values. The S&P 500® Index is a float-adjusted market capitalization-weighted index of 500 common stocks chosen for market size, liquidity, and industry group representation to represent U.S. equity performance. The Lipper Multi-Cap Growth Funds Average is an average of Funds that, by portfolio practice, invest in a variety of market-capitalization ranges without concentrating 75% of their equity assets in any one market-capitalization range over an extended period of time. Multi-cap growth funds typically have an above-average price-to-earnings ratio, price-to-book ratio, and three-year sales per-share growth value, compared to the S&P SuperComposite 1500 Index. Lipper rankings for the periods shown are based on fund total returns with dividends and distributions reinvested and do not reflect sales charges. The Russell 3000® Index, the Russell 2000® Value Index, the S&P 500® Index and the Lipper Multi-Cap Growth Funds Average are unmanaged and do not reflect the deduction of direct fees associated with a mutual fund, such as investment adviser fees; however, the Lipper Multi-Cap Growth Funds Average reflects fees charged by the underlying funds. The performance for the Alpine Transformations Fund reflects the deduction of fees for these value-added services. Investors cannot directly invest in an index.

 

Expense Ratios reflect the ratios reported in the Fund’s most recent prospectus. The Alpine Transformations Fund has a contractual expense waiver that continues through February 28, 2015. Where a Fund’s gross and net expense ratios are the same for the period reported, the contractual expense reimbursement level was not reached as of the end of that period. To the extent the Fund’s expenses were reduced by waivers, the Fund’s total returns were increased. In these cases, in the absence of the expense waivers, the Fund’s total returns would have been lower.

 

To the extent that the Fund’s historical performance resulted from gains derived from participation in Initial Public Offerings (“IPOs”) and/or Secondary Offerings, there is no guarantee that these results can be replicated in future periods or that the Fund will be able to participate to the same degree in IPO/Secondary Offerings in the future.

 

31

 
Alpine Transformations Fund (Continued)

 

 

Portfolio Distributions* (Unaudited)

 

Top 10 Holdings* (Unaudited) 
1.  The Priceline Group, Inc. 5.91%
2.  Snap-on, Inc. 4.85%
3.  Deluxe Corp. 3.72%
4.  Garmin, Ltd. 3.40%
5.  Cray, Inc. 3.29%
6.  Edwards Lifesciences Corp. 2.96%
7.  Callidus Software, Inc. 2.59%
8.  Eastman Chemical Co. 2.47%
9.  Jarden Corp. 2.39%
10.  AMERCO 2.32%
 
* Portfolio Distributions percentages are based on total net investments. Top 10 Holdings do not include short-term investments and percentages are based on total net assets. Portfolio holdings sector distributions are as of 10/31/14 and are subject to change. Portfolio holdings are not recommendations to buy or sell any securities.


 

 

 

Value of a $10,000 Investment (Unaudited)

 

 

This chart represents a comparison of a hypothetical $10,000 investment in the Fund versus a similar investment in the Fund’s benchmarks. The graph and the table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Investment performance reflects the waiver and recovery of certain fees, if applicable. Without the waiver and recovery of fees, the Fund’s total return would have differed.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that shares, when redeemed, may be worth more or less than their original cost.

 

32

 
Alpine Transformations Fund (Continued)

 

Commentary

 

The portfolio’s total return for the fiscal year ended October 31, 2014 was 12.57% compared with the Russell 3000® Index at 16.07% and the S&P 500® Index at 17.26%. Investment results for 2014 reflect a strong equity market as well as favorable returns for the industrials, information technology and health care sectors, which were well represented in the Fund. All references to the Fund’s performance relate to the performance of the Fund’s Institutional Class.

 

We continue to see opportunity and what we believe is value in companies that are undergoing a transformation. Companies often experience a sharp rise or decline in their investment outlook, their reputation or their position with their customer base. In this challenged economy, a company may find itself in need of transformation due to market or technology changes. Consumer preference changes can also occur and dramatically alter the prospects a company faces. Changing economic conditions often cause unanticipated reactions, and we look for companies effectively managing such changes. Investment rewards for investors in such companies can be favorable if management can execute through a change, or new management is brought in and can expand the opportunity set of the company in question.

 

Among our holdings in 2014, investors will find companies like Garmin, which we continue to hold as the company moves into new fitness and aerospace markets as older GPS products lose momentum; companies addressing new markets with new applications (Cray, Inc., Snap-On, Inc.); companies that are shifting their business portfolios (Jarden Corp., Clariant AG) and companies where management changes have brought better execution (Eastman Chemical Co.). We also have investments in health care companies opening new markets with drugs (Receptos Inc.) and devices (Edwards Lifesciences Corp.). We acknowledge that transformations can take some time to come to fruition, especially in challenging global economic conditions. We often hold stocks for long time frames as transformation does not always occur in a smooth or short-term time frame. We continue to maintain cash balances as we seek investment opportunities. This had a negative impact on relative performance.

 

The top five holdings in the fund by contribution to total return during the fiscal year ended October 31, 2014 were as follows: Receptos, Edwards Lifesciences, Cray, Inc., Snap-On, and Apple, Inc.

Receptos is a biopharma company specializing in small molecule drug therapies with a focus on immune disorders.

 

Edwards Lifesciences has begun to commercialize their trans-catheter aortic valve replacement product, and 2014 saw better than expected adoption rates of this therapy, which is less invasive than traditional therapies.

 

Cray, historically a producer of super computers traditionally sold to governments and universities, continues its business unit expansion into commercial markets, where computers that can handle “big data” are in demand and the applications for big data continue to expand.

 

Snap-On, known primarily for its tool vans that visit auto repair shops, continues to add to their product lines, moving further into diagnostic tools for the auto repair industry and also adding new verticals in tools for aerospace as well as oil and gas field maintenance. International operations in Asia continue to do well and Europe has begun to recover.

 

Apple has managed a successful launch of the iPhone 6, and investors are awaiting a watch and other potential wearable devices from this iconic brand that went through a transition after the founder and CEO Steve Jobs passed away.

 

The five holdings ranked lowest for contribution during the fiscal year ended October 31, 2014 were as follows: Emerald Oil, Mitek Systems, Applied Optoelectronics, Precision Drilling Corp. and Stone Energy.

 

Emerald Oil is suffering mostly because of the drop in oil prices. Emerald Oil is a small exploration and production company and made property acquisitions in 2014 that doubled its asset base.

 

Mitek Systems, a mobile bill pay systems company, has been involved in litigation and, while that finally settled in September removing an overhang, uncertainty remains about revenue growth.

 

Applied Optoelectronics has been hurt by a decision by Google to use an existing technology for Google fiber to the home, but we believe it has prospects for data centers using their faster and more scalable fiber products.

 

Precision Drilling has also seen a negative effect from dropping oil prices, but the company continues to transform its fleet to state of the art horizontal drilling rigs, assets that we believe will still be in demand even in


 

33

 
Alpine Transformations Fund (Continued)

 

a lower oil price environment as they are more efficient in both cost and speed.

 

Stone Energy picked up assets from BP in the Gulf of Mexico with valuable infrastructure that was under-utilized. Unfortunately a rapid drop in oil prices re-rated the energy sector and even with strong prospects Stone’s equity performance has suffered.

 

There was some volatility in equity markets early in the year as the Federal Reserve began to taper purchases of Treasury bonds. Concern that tapering was the beginning of tightening had analysts pouring over Fed minutes looking for clues as to when interest rates might rise. While Gross Domestic Product (GDP) numbers were weak in the early part of 2014, many were quick to dismiss that as a weather related issue, and optimism into the spring and early summer was accompanied by a rise in U.S. equity indices. Trouble started in Europe over the summer, as weaker economic numbers coupled with Russia going into Crimea sparked concern over the state of the European economy.

 

The U.S. and world equity indices experienced a sharp drop in October as deflation once again became a topic for economists, especially pertaining to Europe. Central Bank omnipotence was questioned and equity markets took a two week trip lower, only to rebound and come back stronger, based on a not bad earnings season and a comment by Fed Member Bill Dudley that the end of Quantitative Easing, or QE, could be postponed. Equity markets took that to heart, decided the Central Bank put was still in place and rebounded sharply.

Through July and into October oil prices fell from $105 (WTI) to $90 at the end of October, and have continued to fall since then. The positive aspect of lower oil prices is consumers with more money in their pockets. The concern for the U.S. is how much lower oil prices impact one of the U.S. economies’ growth sectors, the oil patch. It is too soon to see which impact will be the strongest, but the bulls would point out the consumer is key to an economic recovery.

 

Low interest rates around the world, economic growth, although not as strong as hoped for and a slightly better employment picture may keep investors looking favorably at equities. The picture is mixed, however, as not all segments of the equity markets have recovered, and small cap stocks have been increasingly under pressure. In this environment we believe it is even more important to look for differentiating management strategies, disruptive technologies and other hallmarks of a corporate transformation in our investments in this fund.

 

We continue to see opportunity and value in companies that are undergoing a transformation, whether in product portfolios, geographical reach, management changes or other major changes in the marketplace or the competitive outlook.

 

Sincerely,

 

Stephen A. Lieber
Sarah Hunt
Portfolio Managers


 

34

 
Alpine Transformations Fund (Continued)

 

This letter represents the opinions of the Fund’s management and is subject to change, is not guaranteed and should not be considered a recommendation to buy or sell any security. The information provided is not intended to be, and is not, a forecast of future events, a guarantee of future results, or investment advice. Views expressed may vary from those of the firm as a whole. Past performance is no guarantee of future results.

 

 

Mutual fund investing involves risk. Principal loss is possible. The fund is subject to risks, including the following:

 

Currency Risk – The value of investments in securities denominated in foreign currencies increases or decreases as the rates of exchange between those currencies and the U.S. dollar change. Currency conversion costs and currency fluctuations could erase investment gains or add to investment losses. Currency exchange rates can be volatile, and are affected by factors such as general economic conditions, the actions of the U.S. and foreign governments or central banks, the imposition of currency controls and speculation.

 

Equity Securities Risk – The stock or other security of a company may not perform as well as expected, and may decrease in value, because of factors related to the company (such as poorer than expected earnings or certain management decisions) or to the industry in which the company is engaged (such as a reduction in the demand for products or services in a particular industry).

 

Foreign Securities Risk – The Fund’s investments in securities of foreign issuers or issuers with significant exposure to foreign markets involve additional risk. Foreign countries in which the Fund may invest may have markets that are less liquid, less regulated and more volatile than U.S. markets. The value of the Fund’s investments may decline because of factors affecting the particular issuer as well as foreign markets and issuers generally, such as unfavorable government actions, and political or financial instability. Lack of information may also affect the value of these securities. The risks of foreign investments are heightened when investing in issuers in emerging market countries.

 

Growth Stock Risk – Growth stocks are stocks of companies believed to have above-average potential for growth in revenue and earnings. Growth stocks typically are very sensitive to market movements because their market prices tend to reflect future expectations. When it appears those expectations will not be met, the prices of growth stocks typically fall. Growth stocks as a group may be out of favor and underperform the overall equity market while the market concentrates on undervalued stocks.

 

Initial Public Offerings and Secondary Offerings Risk – The Fund may invest a portion of its assets in shares of IPOs or secondary offerings of an issuer. IPOs and secondary offerings may have a magnified impact on the performance of a Fund with a small asset base. The impact of IPOs and secondary offerings on a Fund’s performance likely will decrease as the Fund’s asset size increases, which could reduce a Fund’s returns. IPOs and secondary offerings may not be consistently available to the Fund for investing. IPO and secondary offering shares frequently are volatile in price due to the absence of a prior public market, the small number of shares available for trading and limited information about the issuer. Therefore, the Fund may hold IPO and secondary offering shares for a very short period of time. This may increase the turnover of the Fund and may lead to increased expenses for the Fund, such as commissions and transaction costs. In addition, IPO and secondary offering shares can experience an immediate drop in value if the demand for the securities does not continue to support the offering price.

 

Management Risk – The Adviser’s judgment about the quality, relative yield or value of, or market trends affecting, a particular security or sector, or about interest rates generally, may be incorrect. The Adviser’s security selections and other investment decisions might produce losses or cause the Fund to underperform when compared to other funds with similar investment objectives and strategies.

 

Market Risk – The price of a security held by the Fund may fall due to changing market, economic or political conditions.

 

Micro Capitalization Company Risk – Stock prices of micro capitalization companies are significantly more volatile, and more vulnerable to adverse business and economic developments than those of larger companies. Micro capitalization companies often have narrower markets for their goods and/or services and more limited managerial and financial resources than larger, more established companies, including small or medium capitalization companies.

 

Small and Medium Capitalization Company Risk – Securities of small or medium capitalization companies are more likely to experience sharper swings in market values, less liquid markets, in which it may be more difficult for the Adviser to sell at times and at prices that the Adviser believes appropriate and generally are more volatile than those of larger companies.

 

35

 
Alpine Transformations Fund (Continued)

 

“Special Situations” Companies Risk – “Special situations” include a change in management or management policies, the acquisition of a significant equity position in the company by others, a merger or reorganization, or the sale or spin-off of a division or subsidiary which, if resolved favorably, would improve the value of the company’s stock. If the actual or prospective situation does not materialize as anticipated, the market price of the securities of a special situation company may decline significantly. There can be no assurance that a special situation that exists at the time of its investment will be consummated under the terms and within the time period contemplated. Investments in “special situations” companies can present greater risks than investments in companies not experiencing special situations.

 

Transformation Risk – The Adviser seeks to invest in the securities of companies that the Adviser believes are entering or on the verge of entering a corporate transformation. No assurance can be made that these transformations will result in the vigorous growth anticipated by the Adviser or such growth may be significantly delayed.

 

Undervalued Stock Risk – The Fund may pursue strategies that may include investing in securities, which, in the opinion of the Adviser, are undervalued. The identification of investment opportunities in undervalued securities is a difficult task and there is no assurance that such opportunities will be successfully recognized or acquired. While investments in undervalued securities offer opportunities for above-average capital appreciation, these investments involve a high degree of financial risk and can result in substantial losses.

 

Please refer to pages 3-5 for other important disclosures and definitions.

 

36

 
Alpine Equity Income Fund(1)  

 

Comparative Annualized Returns as of 10/31/14 (Unaudited) 
   1 Year  3 Years  5 Years  10 Years  Since Inception(2)
Alpine Equity Income Fund — Institutional Class   12.77%   11.09%   11.00%   4.59%   5.66%
Alpine Equity Income Fund — Class A (Without Load)   12.52%   N/A   N/A   N/A   11.31%
Alpine Equity Income Fund — Class A (With Load)   6.30%   N/A   N/A   N/A   9.11%
S&P 500® Index   17.26%   19.77%   16.69%   8.20%   5.58%
Custom Balanced Benchmark   11.93%   12.79%   11.81%   7.05%   5.73%
Lipper Equity Income Funds Average(3)   12.58%   16.35%   14.57%   7.89%   6.19%
Lipper Equity Income Funds Ranking(3)   266/472   316/330   266/271   159/160   66/100 
Gross Expense Ratio (Institutional Class): 1.33%(4)                         
Net Expense Ratio (Institutional Class): 1.33%(4)                         
Gross Expense Ratio (Class A): 1.58%(4)                         
Net Expense Ratio (Class A): 1.58%(4)                         

 

 
  (1) Effective July 31, 2014 the Fund’s name, strategy and investment objectives were changed. The Fund was formerly known as Alpine Foundation Fund.
  (2) Institutional Class shares commenced on June 7, 2001 and Class A shares commenced on December 30, 2011. Returns for indices are since June 7, 2001.
  (3) Institutional Class only.
  (4) As disclosed in the prospectus dated February 28, 2014.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that the shares, when redeemed, may be worth more or less than their original cost. Performance current to the most recent month end may be lower or higher than performance quoted and may be obtained by calling 1-888-785-5578. Performance data shown does not reflect the 1.00% redemption fee imposed on shares held for fewer than 60 days. If it did, total returns would be reduced. Returns for the Class A shares with sales charge reflect a maximum sales charge of 5.50%. Performance for the Class A shares without sales charges does not reflect this load.

 

The S&P 500® Index is a float-adjusted market capitalization-weighted index of 500 common stocks chosen for market size, liquidity, and industry group representation to represent U.S. equity performance. The Custom Balanced Benchmark reflects an unmanaged portfolio (rebalanced monthly) of 60% of the S&P 500® Index and 40% of the Barclays U.S. Aggregate Bond Index, which is a widely recognized, unmanaged index of U.S. dollar-denominated investment-grade fixed income securities. The Fund may, however, invest up to 75% of its total assets in equity securities. The Lipper Equity Income Funds Average is an average of funds that, by prospectus language and portfolio practice, seek relatively high current income and growth of income by investing at least 65% of their portfolio in dividend-paying equity securities. Lipper rankings for the periods shown are based on fund total returns with dividends and distributions reinvested and do not reflect sales charges. The S&P 500® Index and the Lipper Equity Income Funds Average are unmanaged and do not reflect the deduction of direct fees associated with a mutual fund, such as investment adviser fees; however, the Lipper Equity Income Funds Average reflects fees charged by the underlying funds. The performance for the Alpine Foundation Fund reflects the deduction of fees for these value-added services. Investors cannot directly invest in an index.

 

Expense Ratios reflect the ratios reported in the Fund’s most recent prospectus. The Alpine Foundation Fund has a contractual expense waiver that continues through February 28, 2015. Where a Fund’s gross and net expense ratios are the same for the period reported, the contractual expense reimbursement level was not reached as of the end of that period. To the extent the Fund’s expenses were reduced by waivers, the Fund’s total returns were increased. In these cases, in the absence of the expense waivers, the Fund’s total returns would have been lower.

 

To the extent that the Fund’s historical performance resulted from gains derived from participation in Initial Public Offerings (“IPOs”) and/or Secondary Offerings, there is no guarantee that these results can be replicated in future periods or that the Fund will be able to participate to the same degree in IPO/Secondary Offerings in the future.

 

37

 
Alpine Equity Income Fund (Continued)

 

 

Portfolio Distributions* (Unaudited)

 

 

Top 10 Holdings* (Unaudited)
1.  U.S. Treasury Bonds, 5.25, 11/15/2028 6.43%
2.  Johnson & Johnson 3.18%
3.  JPMorgan Chase & Co. 3.01%
4.  Simon Property Group, Inc. 2.64%
5.  United Technologies Corp. 2.10%
6.  International Business Machines Corp. 2.02%
7.  Apple, Inc. 1.86%
8.  Prudential Financial, Inc. 1.85%
9.  CBS Corp.-Class B 1.73%
10.  E.I. du Pont de Nemours & Co. 1.70%
 
* Portfolio Distributions percentages are based on total net investments. Top 10 Holdings do not include short-term investments and percentages are based on total net assets. Portfolio holdings sector distributions are as of 10/31/14 and are subject to change. Portfolio holdings are not recommendations to buy or sell any securities.


 

 

 

Value of a $10,000 Investment (Unaudited)

 

This chart represents a comparison of a hypothetical $10,000 investment in the Fund versus a similar investment in the Fund’s benchmarks. The graph and the table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Investment performance reflects the waiver and recovery of certain fees, if applicable. Without the waiver and recovery of fees, the Fund’s total return would have differed.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that shares, when redeemed, may be worth more or less than their original cost.

 

38

 
Alpine Equity Income Fund (Continued)

 

Commentary

 

On July 31, 2014, the Fund’s adviser changed the name of the Fund from the Alpine Foundation Fund to the Alpine Equity Income Fund. Consistent with this change, the Fund’s investment strategy was modified to reflect a greater emphasis on dividend-paying stocks. In conjunction with the changes to the Fund’s investment objective, the allocation to fixed income was lowered substantially beginning in late July. The proceeds from these sales were used to purchase equities, substantially raising the allocation to that asset class in the Fund. Additionally, the Fund held a larger than normal cash balance as a result of the transition. The Alpine Equity Income Fund shares were up 12.77% in fiscal year 2014 ended October 31, 2014 compared to the S&P 500® Index of 17.26% and the Custom Balanced Benchmark’s increase of 11.93%. All references in this letter to the Fund’s performance relate to the performance of the Fund’s Institutional Class.

 

The last two months of calendar year 2013 continued the impressive gains for the overall stock market capping a 2013 year where the S&P 500® Index rose more than 32%. However, stocks did not start the calendar year 2014 off strongly and dropped nearly 6% through the beginning of February. In addition to profit taking after a multi-year bull market for stocks, some of the downdraft could also be attributable to earnings reports of a number of “high-expectation” companies coming in lower than expected, perceived slower growth in the Chinese economy, and weakness in emerging market equities. The Federal Reserve, while still historically accommodative from a monetary policy standpoint, continued to decrease the amount of its monthly quantitative easing (QE) purchases, putting further monetary tightening fears into markets both in the U.S. and abroad as the new Federal Reserve Governor attempted to back away from its massive QE purchasing program in an orderly fashion and minimize a negative market impact. By early February 2014, investors became increasingly optimistic based on newly released economic data and corporate profit reports that indicated the difficult winter weather had less of a negative impact on corporate earnings and the overall economy than many had feared. The Federal Reserve also strenuously reiterated its commitment to low short-term interest rates for the foreseeable future in order to support further economic growth and job creation. Gains for stocks were generally steady through late September 2014 when fears that slowing global growth outside the U.S. would eventually impact U.S. corporate earnings and, subsequently, stock prices. Stock prices fell 9.9% from their peak in late September through mid-October with energy-related

shares especially hard hit due to sinking crude oil prices. The downdraft in share prices was relatively short-lived as solid U.S. corporate earnings reports for 3Q14 and encouraging domestic economic reports once again buoyed investor confidence and share prices. The S&P 500 ended the fiscal year near all-time highs, completely retracing the September-October swoon.

 

Two of the top five contributors to performance for the fiscal year ended October 31, 2014 were Real Estate Investment Trusts (REITs) Simon Property Group and Digital Realty Trust, both of which benefitted from a solid commercial real estate market and the continuing presence of low interest rates. Global financial services company JPMorgan Chase & Co., healthcare company Johnson & Johnson, and Apple Inc. rounded out the top five contributors. The top five detractors from performance for the fiscal year were oil services company Ensco plc, financial services company Medallion Financial Corp., natural resources company Teck Resources, investment manager Oaktree Capital Group, LLC and computer and software firm IBM.

 

Although economic data from many aspects of the economy suggest the U.S. recovery is on track to grow gross domestic product and reduce unemployment, and stock indices flirt with all-time highs, the latest global geopolitical factor regarding Ukraine and Russia has been added to the list of external events including those in the Middle East that could impact share prices and increase market volatility going forward. Slowing economic growth in countries all over the globe is also a concern for sustainable growth in the U.S. and hence U.S. share prices. We have also become increasingly concerned that the valuation levels of some stocks have grown extended. We worry the market has entered a period of “buyer capitulation” where investors in a rush to own stocks may be giving short attention to valuation levels in relationship to underlying fundamentals. While we are a bit more cautious on equity prices, we believe many opportunities continue to present themselves to purchase quality stocks with historically high dividend yields, relatively low payout ratios, solid balance sheets and cash flow generation, and a history of raising their dividends.

 

Sincerely,

 

Mark T. Spellman
Stephen A. Lieber
Portfolio Managers


 

39

 
Alpine Equity Income Fund (Continued)

 

This letter represents the opinions of the Fund’s management and is subject to change, is not guaranteed and should not be considered a recommendation to buy or sell any security. The information provided is not intended to be, and is not, a forecast of future events, a guarantee of future results, or investment advice. Views expressed may vary from those of the firm as a whole. Past performance is no guarantee of future results.

 

 

Mutual fund investing involves risk. Principal loss is possible. The Fund is subject to risks, including the following:

 

Credit Risk – Credit risk refers to the possibility that the issuer of a security will not be able to make payments of interest and principal when due. Changes in an issuer’s credit rating or the market’s perception of an issuer’s creditworthiness may also affect the value of the Fund’s investment in that issuer.

 

Dividend Strategy Risk – The Fund’s strategy of investing in dividend-paying stocks involves the risk that such stocks may fall out of favor with investors and underperform the market. Companies that issue dividend paying-stocks are not required to continue to pay dividends on such stocks. Therefore, there is the possibility that such companies could reduce or eliminate the payment of dividends in the future.

 

Equity Securities Risk – The stock or other security of a company may not perform as well as expected, and may decrease in value, because of factors related to the company (such as poorer than expected earnings or certain management decisions) or to the industry in which the company is engaged (such as a reduction in the demand for products or services in a particular industry).

 

Fixed Income Securities Risk – Fixed income securities are subject to issuer risk, interest rate risk and market risk.

 

Growth Stock Risk – Growth stocks typically are very sensitive to market movements because their market prices tend to reflect future expectations. When it appears those expectations will not be met, the prices of growth stocks typically fall. Growth stocks as a group may be out of favor and underperform the overall equity market while the market concentrates on undervalued stocks. Although the Fund will not concentrate its investments in any one industry or industry group, it may, like many growth funds, weight its investments toward certain industries, thus increasing its exposure to factors adversely affecting issuers within those industries.

 

Initial Public Offerings and Secondary Offerings Risk – The Fund may invest a portion of its assets in shares of IPOs or secondary offerings of an issuer. IPOs and secondary offerings may have a magnified impact on the performance of a Fund with a small asset base. The impact of IPOs and secondary offerings on a Fund’s performance likely will decrease as the Fund’s asset size increases, which could reduce a Fund’s returns. IPOs and secondary offerings may not be consistently available to the Fund for investing. IPO and secondary offering shares frequently are volatile in price due to the absence of a prior public market, the small number of shares available for trading and limited information about the issuer. Therefore, the Fund may hold IPO and secondary offering shares for a very short period of time. This may increase the turnover of the Fund and may lead to increased expenses for the Fund, such as commissions and transaction costs. In addition, IPO and secondary offering shares can experience an immediate drop in value if the demand for the securities does not continue to support the offering price.

 

Interest Rate Risk – Interest rates may rise resulting in a decrease in the value of securities held by the Fund, or may fall resulting in an increase in the value of such securities. Securities having longer maturities generally involve a greater risk of fluctuations in the value resulting from changes in interest rates.

 

Issuer Risk – Changes in the financial condition of the issuer of an obligation, changes in general economic conditions, or changes in economic conditions that affect the issuer may impact its actual or perceived willingness or ability to make timely payments of interest or principal.

 

Management Risk – The Adviser’s judgment about the quality, relative yield or value of, or market trends affecting, a particular security or sector, or about interest rates generally, may be incorrect. The Adviser’s security selections and other investment decisions might produce losses or cause the Fund to underperform when compared to other funds with similar investment objectives and strategies.

 

Market Risk – The price of a security held by the Fund may fall due to changing market, economic or political conditions.

 

Micro Capitalization Company Risk – Stock prices of micro capitalization companies are significantly more volatile, and more vulnerable to adverse business and economic developments than those of larger companies. Micro capitalization

 

40

 
Alpine Equity Income Fund (Continued)

 

companies often have narrower markets for their goods and/or services and more limited managerial and financial resources than larger, more established companies, including small or medium capitalization companies.

 

Small and Medium Capitalization Company Risk – Securities of small or medium capitalization companies are more likely to experience sharper swings in market values, less liquid markets, in which it may be more difficult for the Adviser to sell at times and at prices that the Adviser believes appropriate and generally are more volatile than those of larger companies.

 

“Special Situations” Companies Risk – “Special situations” include a change in management or management policies, the acquisition of a significant equity position in the company by others, a merger or reorganization, or the sale or spin-off of a division or subsidiary which, if resolved favorably, would improve the value of the company’s stock. If the actual or prospective situation does not materialize as anticipated, the market price of the securities of a special situation company may decline significantly. There can be no assurance that a special situation that exists at the time of its investment will be consummated under the terms and within the time period contemplated. Investments in “special situations” companies can present greater risks than investments in companies not experiencing special situations.

 

Undervalued Stock Risk – The Fund may pursue strategies that may include investing in securities, which, in the opinion of the Adviser, are undervalued. The identification of investment opportunities in undervalued securities is a difficult task and there is no assurance that such opportunities will be successfully recognized or acquired. While investments in undervalued securities offer opportunities for above-average capital appreciation, these investments involve a high degree of financial risk and can result in substantial losses.

 

U.S. Government Securities Risk – U.S. government securities are obligations of, or guaranteed by, the U.S. government, its agencies or government-sponsored entities. U.S. government securities include issues by non-governmental entities (like financial institutions) that carry direct guarantees from U.S. government agencies as part of government initiatives in response to the market crisis or otherwise. Although the U.S. government guarantees principal and interest payments on securities issued by the U.S. government and some of its agencies, such as securities issued by the Government National Mortgage Association (Ginnie Mae), this guarantee does not apply to losses resulting from declines in the market value of these securities. Some of the U.S. government securities that the Fund may hold are not guaranteed or backed by the full faith and credit of the U.S. government, such as those issued by the Federal National Mortgage Association (Fannie Mae) and the Federal Home Loan Mortgage Corporation (Freddie Mac). Although the U.S. government has recently provided financial support to Fannie Mae and Freddie Mac, there can be no assurance that it will support these or other government-sponsored enterprises in the future.

 

Please refer to pages 3-5 for other important disclosures and definitions.

 

41

 

Fixed Income Manager Reports

 

 

  Alpine Ultra Short Municipal Income Fund
   
  Alpine Municipal Money Market Fund
   
  Alpine High Yield Managed Duration Municipal Fund

 

42

 
Alpine Ultra Short Municipal Income Fund(1) 

 

Comparative Annualized Returns as of 10/31/14 (Unaudited)    
   1 Year  3 Years  5 Years  10 Years  Since Inception(2)  
Alpine Ultra Short Municipal Income Fund — Institutional Class   0.63%   0.65%   1.02%   2.21%   2.41%    
Alpine Ultra Short Municipal Income Fund — Class A   0.38%   0.43%   0.79%   2.01%   1.95%    
Barclays 1 Year Municipal Bond Index   0.72%   0.82%   1.09%   2.20%   2.12%    
Lipper Short Municipal Debt Funds Average(3)   1.09%   1.15%   1.44%   2.00%   1.94%    
Lipper Short Municipal Debt Funds Ranking — Institutional Class(3)   71/97   66/85   50/72   19/48   10/38    
Gross Expense Ratio (Institutional Class): 0.89%(4)                             
Net Expense Ratio (Institutional Class): 0.70%(4)                             
Gross Expense Ratio (Class A): 1.14%(4)                             
Net Expense Ratio (Class A): 0.95%(4)                             

 

 
  (1) Effective October 1, 2014 the Fund’s name was changed. The Fund was formerly the Alpine Ultra Short Tax Optimized Income Fund.
  (2) Institutional Class shares commenced on December 5, 2002 and Class A shares commenced on March 30, 2004. Returns for indices are since December 5, 2002.
  (3) The since inception data represents the period beginning December 31, 2002.
  (4) As disclosed in the prospectus dated February 28, 2014.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that the shares, when redeemed, may be worth more or less than their original cost. Performance current to the most recent month end may be lower or higher than performance quoted and may be obtained by calling 1-888-785-5578. Performance data shown does not reflect the 0.25% redemption fee imposed on shares held for fewer than 30 days. If it did, total returns would be reduced. Effective 10/12/07, Alpine Ultra Short Municipal Income Fund - Class A began imposing a maximum sales charge of 0.50% on purchases. Performance data shown for time period beginning with dates after October 12, 2007 reflect the sales charge.

 

The Barclays 1 Year Municipal Bond Index is the 1-year component of the Municipal Bond Index. The Barclays 1 Year Municipal Bond Index is a rules-based, market value-weighted index engineered for the long-term, tax-exempt bond market. The Lipper Short Municipal Debt Funds Average is an unmanaged index that tracks funds that invest in municipal debt issues with dollar-weighted average maturities of less than three years. Lipper rankings for the periods shown are based on fund total returns with dividends and distributions reinvested and do not reflect sales charges. The Barclays 1 Year Municipal Bond Index and the Lipper Short Municipal Debt Funds Average are unmanaged and do not reflect the deduction of direct fees associated with a mutual fund, such as investment adviser fees; however, the Lipper Short Municipal Debt Funds Average reflects fees charged by the underlying funds. The performance for the Alpine Ultra Short Municipal Income Fund reflects the deduction of fees for these value-added services. Investors cannot directly invest in an index.

 

Expense Ratios reflect the ratios reported in the Fund’s most recent prospectus. The Alpine Ultra Short Municipal Income Fund has a contractual expense waiver that continues through February 28, 2015. Where a Fund’s gross and net expense ratios are the same for the period reported, the contractual expense reimbursement level was not reached as of the end of that period. To the extent the Fund’s expenses were reduced by waivers, the Fund’s total returns were increased. In these cases, in the absence of the expense waivers, the Fund’s total returns would have been lower. The Adviser has also voluntarily waived a portion of the expenses for the Alpine Ultra Short Municipal Income Fund. To the extent the Fund’s expenses were reduced by waivers, the Fund’s total returns were increased. In these cases, in the absence of the expense waivers, the Fund’s total returns would have been lower.

 

43

 
Alpine Ultra Short Municipal Income Fund (Continued)

 

 

Alpine Ultra Short Municipal Income Fund vs. Peer Performance (Unaudited)

 

 

* The Class A Return for 2004 is from 3/30/2004 (inception) — 12/31/2004

 

 

Portfolio Distributions* (Unaudited)

 

Top 10 Holdings* (Unaudited)
1.  Mississippi Business Finance Corp. Revenue, PSL-North America LLC Project, 2.58%, 11/01/2032 (Putable on 11/06/2014) 6.30%
2.  Chicago Board of Education, 0.582%, 12/01/2034 (Putable on 11/03/2014) 5.88%
3.  Indiana Finance Authority, Multifamily HSG Revenue, 1.00%, 10/26/2017 (Putable on 11/06/2014) 5.52%
4.  California Pollution Control Financing Authority, Solid Waste Disposal Revenue, Republic Services, Inc. Project, 0.45%, 08/01/2023 (Putable on 11/03/2014) 3.71%
5.  New Jersey Economic Development Authority Revenue, Port Newark Container Terminal LLC Project, 0.74%, 07/01/2030 (Putable on 11/05/2014) 3.36%
6.  Utica School District, Bond Anticipation Notes, 1.00%, 11/27/2014 3.24%
7.  Miami-Dade County Expressway Authority Toll System Revenue, 0.502%, 05/20/2029 (Putable on 11/03/2014) 3.16%
8.  Chicago IL Sales Tax Revenue, 0.25%, 01/01/2034 (Putable on 11/03/2014) 2.85%
9.  Florida Development Finance Corp., Healthcare Facilities Revenue, UF Health-Jacksonville Project, 1.00%, 02/01/2029 (Putable on 11/06/2014) 2.78%
10.  Mission Economic Development Corp. Solid Waste Disposal Revenue, Republic Services, Inc. Project, 0.45%, 01/01/2026 (Putable on 11/03/2014) 2.78%
 
  
*Portfolio holdings and sector distributions are as of 10/31/14 and are subject to change. Portfolio holdings are not recommendations to buy or sell any securities. Portfolio Distributions percentages are based on total investments and Top 10 Holdings percentages are based on total net assets.


 

 

44

 
Alpine Ultra Short Municipal Income Fund (Continued)

 

 

Value of a $10,000 Investment (Unaudited)

 

 

 

This chart represents a comparison of a hypothetical $10,000 investment in the Fund versus a similar investment in the Fund’s benchmark. The graph and the table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Investment performance reflects the waiver and recovery of certain fees, if applicable. Without the waiver and recovery of fees, the Fund’s total return would have differed.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that shares, when redeemed, may be worth more or less than their original cost.

 

Credit Quality Allocation (As of 10/31/2014) 
     
AAA  2.71%
AA  17.55%
A  29.53%
BBB  26.49%
B  0.43%
Not Rated  23.29%

 

Bond Credit Quality-Reflects the higher of the ratings of Standards & Poor’s Corporation; Moody’s Investors Service, Inc. or Fitch, Inc. Ratings are relative, subjective and not absolute standards of quality, represent the opinions of the independent Nationally Recognized Statistical Rating Organizations (NRSRO), and are adjusted to the Standards and Poors scale shown. Ratings are measured using a scale that typically ranges from AAA (highest) to D (lowest). The security’s credit rating does not eliminate risk. The table excludes equity securities, cash and cash equivalents. For more information about securities ratings, please see the Fund’s Statement of Additional Information. Additional information on ratings methodologies are available by visiting the NRSRO websites; www.standardandpoors.com, www.moodys.com, and www.fitchratings.com.

 

45

 

Alpine Municipal Money Market Fund

 

Comparative Annualized Returns as of 10/31/14 (Unaudited)
   1 Year  3 Years  5 Years   10 Years   Since Inception(1) 
Alpine Municipal Money Market Fund — Investor Class   0.02%   0.06%   0.11%   1.37%   1.33%  
Lipper Tax-Exempt Money Market Funds Average(2)   0.01%   0.01%   0.02%   0.99%   0.94%  
Lipper Tax-Exempt Money Market Funds Ranking(2)   12/84   4/82   1/78   1/58   1/49  
Alpine Municipal Money Market Fund — Investor Class, 7-day effective yield
(as of 10/31/14): 0.02%
                           
Net Expense Ratio: 0.57%(3)                           

 

 

  (1) The since inception data represents the period beginning 12/5/2002.
  (2) The since inception data represents the period beginning 12/31/2002.
  (3) As disclosed in the prospectus dated February 28, 2014.

 

Note, the yield more closely reflects the current earnings of the Alpine Municipal Money Market Fund than the total return.

 

Performance data quoted represents past performance and is not predictive of 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. Performance data current to the most recent month end may be obtained by calling 1-888-785-5578 or visiting www.AlpineFunds.com.

 

Income from tax-exempt funds 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.

 

The Lipper Tax-Exempt Money Market Funds Average is an average of funds that invest in high quality municipal obligations with dollar-weighted average maturities of less than 90 days. The Lipper Tax-Exempt Money Market Funds Average is unmanaged and does not reflect the deduction of direct fees associated with a mutual fund, such as investment adviser fees; however, the Lipper Tax-Exempt Money Market Funds Average reflects fees charged by the underlying funds. Lipper Rankings for the periods shown are based on fund total returns with dividends and distributions reinvested and do not reflect sales charges. The performance for the Alpine Municipal Money Market Fund reflects the deduction of fees for these value-added services. Investors cannot directly invest in an index.

 

Expense Ratios reflect the ratios reported in the Fund’s most recent prospectus. The Adviser has voluntarily waived a portion of the expenses for the Alpine Municipal Money Market Fund. To the extent the Fund’s expenses were reduced by waivers, the Fund’s total returns were increased. In these cases, in the absence of the expense waivers, the Fund’s total returns would have been lower.

 

Alpine Municipal Money Market Fund vs. Peer Performance (Unaudited)

 

 

 

The graph and the table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Investment performance reflects the waiver of certain fees. Without the waiver of fees, the Fund’s total return would have been lower.

 

46

 
Alpine Municipal Money Market Fund (Continued)

 

 

Portfolio Distributions* (Unaudited)

 

 

Top 10 Holdings* (Unaudited)
1.  North Carolina Davidson County Industrial Facilities & Pollution Control Financing Authority Revenue, Dieboid, Inc., 0.25%, 06/01/2017 (Putable on 11/07/2014) 6.08%
2.  Texas Port of Corpus Christi Authority of Nueces County, Solid Waste Disposal Revenue, Flint Hills Resources LP, West Plant Project, 0.08%, 07/01/2029 (Putable on 11/07/2014) 5.31%
3.  Tennessee Hendersonville Industrial Development Board, 0.17%, 05/01/2036 (Putable on 11/07/2014) 5.14%
4.  Texas Dallas-Fort Worth International Airport Facilities Improvement Corp. Revenue, Airport Facility, FlightSafety Texas, Inc. Project, 0.06%, 07/01/2032 (Putable on 11/07/2014) 4.80%
5.  Louisiana Plaquemines Port Harbor & Terminal District Revenue, International Marine Terminal Project, 0.50%, 03/15/2025 (Putable on 03/15/2015) 4.28%
6.  Indiana Posey County Economic Development Revenue, Midwest Fertilizer Corp. Project, 0.30%, 07/01/2046 (Putable on 11/18/2014) 4.28%
7.  Pennsylvania Washington County Hospital Authority Revenue, Washington Hospital, 0.35%, 07/01/2037 (Putable on 07/01/2015) 3.34%
8.  Texas Port of Port Arthur Navigation District Revenue, BASF Corp., 0.14%, 04/01/2033 (Putable on 11/07/2014) 3.00%
9.  Florida Manatee County Industrial Development Revenue, Gaemmerler U.S. Corp., 0.26%, 10/01/2035 (Putable on 11/07/2014) 2.88%
10.  Wisconsin Village of Menomonee Falls Industrial Development Revenue, AJ Die-Namics Project, 0.41%, 11/01/2036 (Putable on 11/07/2014) 2.42%
 
* Portfolio Distributions percentages are based on total net investments. Top 10 Holdings do not include short-term investments and percentages are based on total net assets. Portfolio holdings sector distributions are as of 10/31/14 and are subject to change. Portfolio holdings are not recommendations to buy or sell any securities.
(1) Amount is less than 0.05%.


 

 

Equivalent Taxable Yields as of 10/31/14 (Unaudited)
Joint Return  Single Return  Marginal
Tax Rate
  Your Tax-Exempt Current
7 Day Yield of 0.02% is
Equivalent to a Taxable Yield of:
$73,801 - 148,850  $36,901 - 89,350  25%  0.02%
$148,851 - 226,850  $89,351 - 186,350  28%  0.03%
$226,851 - 405,100  $186,351 - 405,100  33%  0.03%
$405,101 - 457,600  $405,101 - 406,750  35%  0.03%
Over $457,600  Over $406,750  39.6%  0.03%

 

 

 

The chart reflects 2014 marginal Federal tax rates before limitations and phaseouts. Individuals should consult a tax professional to determine their actual 2014 marginal Federal tax rate.

 

47

 
Alpine High Yield Managed Duration Municipal Fund

 

Comparative Annualized Returns as of 10/31/14 (Unaudited)  
   1 Year  Since Inception(1)  
Alpine High Yield Managed Duration Municipal Fund — Institutional Class   7.32%   5.18%  
Alpine High Yield Managed Duration Municipal Fund — Class A (Without Load)   7.08%   4.93%  
Alpine High Yield Managed Duration Municipal Fund — Class A (With Load)   4.35%   3.06%  
S&P Municipal Bond Short Intermediate Index   2.90%   2.24%  
Barclays Capital High Yield Municipal Bond Index   10.90%   1.93%  
Lipper High Yield Municipal Debt Funds Average   12.01%   3.19%  
Lipper High Yield Municipal Debt Funds Ranking   131/133   10/128  
Gross Expense Ratio (Institutional Class): 1.71%(2)            
Net Expense Ratio (Institutional Class): 0.85%(2)            
Gross Expense Ratio (Class A): 1.96%(2)            
Net Expense Ratio (Class A): 1.10%(2)            

 

 

 

  (1) The since inception data represents the period beginning 5/31/2013.
  (2) As disclosed in the prospectus dated February 28, 2014.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that shares, when redeemed, may be worth more or less than their original cost. Performance current to the most recent month end may be lower or higher than the performance quoted and may be obtained by calling 1-888-785-5578. Performance data shown does not reflect the 0.75% redemption fee imposed on shares held for fewer than 60 days. If it did, total returns would be reduced. Returns for the Class A shares with sales charge reflect a maximum sales charge of 2.50%. Performance for the Class A shares without sales charges does not reflect this load.

 

The S&P Municipal Bond Short Intermediate Index consists of bonds in the S&P Municipal Bond Index with a minimum maturity of one year and a maximum maturity of up to, but not including, eight years as measured from the Rebalancing Date. The Barclays Capital High Yield Municipal Bond Index is the Muni High Yield component of the Barclays Municipal Bond Index. The Barclays Municipal Bond Index is a rules-based, market-value-weighted index engineered for the long-term tax-exempt bond market. The Lipper High Yield Municipal Debt Funds Average is an unmanaged index that tracks funds that invest in funds that typically invest 50% or more of their assets in municipal debt issues rated BBB or less. Lipper rankings for the period shown are based on fund total returns with dividends and distributions reinvested and do not reflect sales charges.

 

Expense ratios reflect the ratios reported in the Fund’s most recent prospectus. The Alpine High Yield Managed Duration Municipal Fund has a contractual expense waiver that continues through February 28, 2015. Where a Fund’s gross and net expense ratios are the same for the period reported, the contractual expense reimbursement level was not reached as of the end of that period. To the extent the Fund’s expenses were reduced by waivers, the Fund’s total returns were increased. In these cases, in the absence of the expense waivers, the Fund’s total returns would have been lower. The Adviser has also voluntarily waived a portion of the expenses for the Alpine High Yield Managed Duration Municipal Fund. To the extent the Fund’s expenses were reduced by waivers, the Fund’s total returns were increased. In these cases, in the absence of the expense waivers, the Fund’s total returns would have been lower.

 

48

 

Alpine High Yield Managed Duration Municipal Fund (Continued)

 

 

Portfolio Distributions* (Unaudited)

 

Top 10 Holdings* (Unaudited)
1.  State of Illinois, General Obligation Refunding Bond, 5.25%, 10/01/2015 4.26%
2.  Alabama Health Care Authority for Baptist Health Revenue, 5.00%, 11/15/2021 3.43%
3.  Wisconsin Health & Educational Facilities Authority Revenue, Fort Healthcare, Inc., Project, 5.38%, 05/01/2018 2.54%
4.  Michigan Finance Authority Revenue, Detroit School District, 2.85%, 08/20/2015 2.25%
5.  Maryland City of Westminster, Lutheran Village at Miller’s Grant, Inc., 3.88%, 07/01/2019 2.00%
6.  Maryland City of Westminster, Lutheran Village at Miller’s Grant, Inc., 4.38%, 07/01/2021 2.00%
7.  New Jersey Economic Development Authority Revenue, Lions Gate Project, 4.38%, 01/01/2024 1.97%
8.  Massachusetts Port Authority Facilities Revenue, Delta Air Lines, Inc. Project, 5.00%, 01/01/2021 1.75%
9.  New Jersey Tobacco Settlement Financing Corp. Revenue, 4.50%, 06/01/2023 1.74%
10.  Commonwealth of Puerto Rico, Public Improvement, 5.50%, 07/01/2016 1.72%
 
* Portfolio Distributions percentages are based on total net investments. Top 10 Holdings do not include short-term investments and percentages are based on total net assets. Portfolio holdings sector distributions are as of 10/31/14 and are subject to change. Portfolio holdings are not recommendations to buy or sell any securities.
(1)  Amount is less than 0.05%.


 

 

 

Value of a $10,000 Investment (Unaudited)

 

 

This chart represents a comparison of a hypothetical $10,000 investment in the Fund versus a similar investment in the Fund’s benchmark. The graph and the table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Investment performance reflects the waiver and recovery of certain fees, if applicable. Without the waiver and recovery of fees, the Fund’s total return would have differed.

 

Performance data quoted represents past performance and is not predictive of future results. Investment return and principal value of the Fund fluctuate, so that shares, when redeemed, may be worth more or less than their original cost.

 

49

 

Alpine High Yield Managed Duration Municipal Fund (Continued)

 

 

Credit Quality Allocation (As of 10/31/2014)
      
AA   15.03%
A   11.96%
BBB   12.43%
BB   19.35%
B   8.91%
Not Rated   32.32%

 

Bond Credit Quality-Reflects the higher of the ratings of Standards & Poor’s Corporation; Moody’s Investors Service, Inc. or Fitch, Inc. Ratings are relative, subjective and not absolute standards of quality, represent the opinions of the independent Nationally Recognized Statistical Rating Organizations (NRSRO), and are adjusted to the Standards and Poors scale shown. Ratings are measured using a scale that typically ranges from AAA (highest) to D (lowest). The security’s credit rating does not eliminate risk. The table excludes equity securities, cash and cash equivalents. For more information about securities ratings, please see the Fund’s Statement of Additional Information. Additional information on ratings methodologies are available by visiting the NRSRO websites; www.standardandpoors.com, www.moodys.com, and www.fitchratings.com.

 

50

 
Alpine Ultra Short Municipal Income Fund /
Alpine Municipal Money Market Fund /
Alpine High Yield Managed Duration Municipal Fund

 

We are pleased to provide you with the annual report for the Alpine Income Trust for the period ending October 31, 2014. The series of the Trust include the Alpine Municipal Money Market Fund, the Alpine Ultra Short Municipal Income Fund and the Alpine High Yield Managed Duration Municipal Fund. All references in this letter to performance relate to the performance of the Alpine Municipal Money Market Fund’s Investor Class and the Alpine Ultra Short Municipal Income Fund’s and the Alpine High Yield Managed Duration Municipal Fund’s Institutional Class.

 

MARKET OVERVIEW

 

Over the last calendar year, economic growth in the United States has been uneven and volatile as measured by gross domestic product (GDP). Fourth-quarter (Q4) 2013 GDP growth was an adequate 2.6%, but still fell short of market expectations, which anticipated a rate above 3%. In Q1 2014, GDP surprised the market’s expectations, contracting by 2.1%, a stark contrast to the market consensus of 1.1% expansion. The poor result reflected a deceleration primarily as a result of reduced exports, lower non-residential fixed investment, and weather related reduced spending. In Q2 2014, GDP rebounded a significant 4.6%, somewhat mitigating the negative impact of the prior quarter’s poor performance. Economic growth continued in Q3 2014 with a solid 3.9% GDP increase, according to the second estimate released by the Bureau of Economic Analysis. Q3 growth was driven largely by increased personal consumption, exports and non-residential fixed investment.

 

During the 12-month period ended October 31, 2014, fixed income markets experienced notable interest rate volatility and surprised market participants with a significant rally in the Treasury and Municipal markets during the first ten months of calendar 2014. At November 1, 2013, the 10-year Treasury bond yield stood at 2.62% with moderate to significant volatility during fiscal 2014, ending the period down 28 basis points to 2.34% at October 31, 2014. Over the period, the 10-year Treasury bond yield peaked at 3.02% on December 31, 2013, driven in part by investor concerns of a quicker than expected tapering of QE3 by the Federal Reserve which did not occur. The 10-year Treasury bond yield fell to a low of 2.14% on October 15, 2014 after a strong month-long Treasury bond rally forced yields down 48 basis points, reflecting a flight to safety due to European economic weakness and renewed expectations that the Fed was not going to raise short-term rates for a considerable period.

The Municipal market experienced similar yield patterns during the last fiscal year. On November 1, 2013, the Bloomberg 10 Year U.S. Muni General Obligation AAA Index stood at 2.77% and similarly peaked at 2.99% on January 7, 2014. On that date, the Muni-Treasury Ratio was 101.7% indicating Municipal bonds were relatively more attractive investments relative to Treasuries, as the ratio has historically averaged 80%. The 10-Year Muni yield hit a low during the fiscal year of 1.87% on October 16, 2014. In the months preceding this low, demand had been strong amid a lack of Muni supply and increased volatility in the stock market. However, Muni demand became much more intense when U.S. Treasury yields followed a stock market drop on October 15th.

 

Long-term municipal bond issuance during the first ten months of calendar year 2014 declined by 6.3% to $265.6 billion, compared with volume of $283.4 billion during the same period during 2013, aiding the Muni rally. Favorably, supply increased during the last three months (August – September), outstripping year over year volume by 14.9% and we believe it will remain at these levels heading into 2015.

 

ALPINE MUNICIPAL MONEY MARKET FUND

 

The Alpine Municipal Money Market Fund had a total return of 0.02% for the one-year period ended October 31, 2014, as compared to the Lipper Tax-Exempt Money Market Funds average of 0.01%. The Adviser continued to support the Fund by voluntarily reimbursing the Fund’s expenses to maintain a positive yield.

 

The past year in the municipal money market space was one where rates dropped slightly to new historic lows and issuance of short-term securities was anemic. For the year, assets dropped overall in tax exempt money market funds, a trend that we have experienced for several years now. Despite this drop in assets, rates continued to drift lower as the limited supply more than offset the lower demand.

 

Variable rate demand notes (VRDNs) issuance remained sluggish and outstanding VRDNs continued to decline throughout 2014. The low issuance combined with falling fund assets resulted in Securities Industry and Financial Markets Association (SIFMA) (the Association which determines the base rate at which most VRDNs are reset determining the base rate to be at new lows of 0.03% this past January. From that point on, rates did not fluctuate much until the middle of April when funds started experiencing larger than normal redemptions


 

51

 
Alpine Ultra Short Municipal Income Fund /
Alpine Municipal Money Market Fund /
Alpine High Yield Managed Duration Municipal Fund

 

during tax time. As the year progressed the SIFMA base rate fell again and has averaged in the low single digits.

 

Similar to the VRDN market, tax-exempt commercial paper yields also dropped throughout the last year. The 30/60/90-day scale dropped by about five basis points across the board with slight adjustments to reflect demand in the marketplace. The Fund did not own any commercial paper during the last year, nor does it own any currently.

 

Like the rest of the market, general market notes saw a drop in yield as supply was lower and demand remained solid. In our view, the warm reception was more a reflection of funds having to reinvest large pools of money as the result of maturing notes than Funds taking advantage of a great buying opportunity. Yields of one-year notes dropped from 19 basis points to 14 basis points at the end of October. We had a small amount of the Fund invested in general market notes at fiscal year end and do not anticipate increasing that amount until rates start to rise.

 

In dealing this with this stagnant market during the last year, we focused most of our investing in the VRDN marketplace. Our purchases for the most part produced a similar yield as compared to longer dated securities and provided the Fund with an extra layer of liquidity due to their daily and/or weekly put features. Furthermore, most of the VRDN holdings carry third-party letters of credit (LOC) which provide additional protection to our bonds. Our largest LOC exposures continue to be JP Morgan Chase, Wells Fargo, Bank of America and Fifth Third Bank. While 87% of the Fund was invested in VRDNs at the end of the reporting period, the remainder was invested in three-month to one-year maturities of First Tier securities. At the end of October the average weighted maturity was 28 days which was shorter than the industry average of 43 days.

 

While the Fed has discontinued its bond purchase program, we do not anticipate rates rising until at least mid-2015. We believe money market rates will remain at their current levels until there is some movement from the Federal Reserve. We expect to keep the composition of the portfolio relatively unchanged and will make adjustments as opportunities present themselves. Money Market reform passed during the fiscal period. These changes are expected to take effect during the next two years. We are assessing the implications and requirements for the Fund to operate under the new regulations.

ALPINE ULTRA SHORT MUNICIPAL INCOME FUND

 

On October 1, 2014 the Alpine Ultra Short Tax Optimized Income Fund was renamed the Alpine Ultra Short Municipal Income Fund. The Fund’s total return was 0.63% versus the Barclays Capital 1-Year Municipal Bond Index return of 0.72% for the one-year period ended October 31, 2014. The Fund ended the reporting period with an average weighted maturity of 87 days and an effective duration of 0.19 years, both of which are substantially shorter than the benchmark.

 

During the past year, we continued to see yields drop as demand remained robust and supply decreased. This scenario was especially pronounced in the short-end of the market as strong demand and limited supply for all types of municipal securities maturing three years and less forced yields lower and credit spreads to narrow despite no meaningful change in overall credit quality. As a result, we believe that this market was being driven more from technical factors than economic or fundamental factors. For this reason, the average weighted maturity and duration remained little changed from the previous year and caused the Fund’s overall total return to lag slightly as compared to the its benchmark.

 

We continue to hold a large portion of the fund in Variable Rate Demand Notes (VRDNs) as they provide the Fund with price stability and liquidity. We believe these are important attributes and that is why we remain committed to these holdings although they had a limited effect on our overall total return. Despite the demand from both the tax-exempt and taxable funds for these bonds it appears as if yields have finally stabilized and should rise should the Fed increase rates in 2015.

 

We continued to invest in three to twelve month put bonds and like the rest of the short-term market saw rates drop over the course of the year. The largest holdings in these types of securities are from the issuers Waste Management and Republic Services. Both issuers are very active in the short-term market and their offerings have been extremely well received as illustrated by the fact that they are currently issuing bonds at the lowest level in years. Fortunately, most of our exposure to these two companies is only three months and thus we are not locked into these low yields for an extended period of time.

 

The other longer maturing bond purchases included General Market Notes. These bonds typically mature


 

52

 
Alpine Ultra Short Municipal Income Fund /
Alpine Municipal Money Market Fund /
Alpine High Yield Managed Duration Municipal Fund

 

within 12 months and offer the potential to capture a higher yield without dramatically increasing the maturity of the Fund. Some of the issuers purchased included Utica, NY and Michigan State Finance Authority for the Detroit School District.

 

As of July 1, 2014, our holdings in Puerto Rico decreased significantly to less than 2% of the portfolio as most of our bonds matured in early June and July. Of the remaining amount, a significant portion is insured by either Assured Guaranty or Nat Re.

 

As we look toward 2015, we believe with the economy on much firmer ground, the chances for a Fed rate hike is possible for mid-2015. We also believe supply may pick up next year. An increase in supply should ease the supply/demand tension that has been a driving force this year and create more buying opportunities in the future. Maintaining an adequate amount of liquidity, having limited maturity exposure and the ability to take advantage of changing market conditions as they occur should be beneficial going forward. It is for these reasons that we believe the Fund is well positioned for the New Year.

 

ALPINE HIGH YIELD MANAGED DURATION MUNICIPAL FUND

 

The Alpine High Yield Managed Duration Municipal Fund’s total return was 7.32% versus the S&P Municipal Bond Short-Intermediate Index return of 2.90% and Barclays Capital High Yield Municipal Bond Index return of 10.90% for the one-year period ended October 31, 2014. The Fund ended the reporting period with an average weighted maturity of 5.37 years and an effective duration of 3.56 years. The Barclays Capital Index had a much longer average weighted maturity and duration while the S&P Index had a slightly shorter maturity and duration than the Fund and no high yield.

 

During the past year, the high yield market experienced increased prices fueled by robust demand and limited supply. As a result, yields dropped throughout the year across the yield curve and credit spreads narrowed. We believe that, especially in the high yield space, it was these technical factors that drove the market and not the improvement in credit quality or changes in Fed policy. For this reason we were cautious as to how we positioned the portfolio and were mindful of the fact that markets can change quickly and liquidity plays a big role in the high yield space. We continued to take a barbell approach in structuring the portfolio with most of our

holdings maturing in one to two years and seven to ten years. By positioning the portfolio this way, we were able to capture higher yields from our longer maturing bonds while attempting to provide some level of NAV stability with our shorter maturing securities. We believe this strategy is the most prudent in this environment as we are anticipating higher issuance and potentially higher rates in 2015.

 

Our two largest positions include bonds issued in the healthcare/continuing care facilities (CCRC’s) sector and from issuers in Puerto Rico. Most of our purchases in the CCRC industry focused on issuers who structured their bonds to have certain call features that can pay principal prior to maturity as the facilities reach certain occupancy benchmarks. While we are mindful that we will most likely have to reinvest the called bond proceeds earlier than we anticipated, we believe this is mitigated by the fact that we should receive our principal before the project is fully occupied.

 

Our other large position is in bonds from issuers in Puerto Rico. Our holdings in Puerto Rico are down significantly from July of this year and stand at approximately 10.4% of the Fund. Importantly, 85% of our bonds from this territory are insured by either Assured Guaranty or Nat Re.

 

We have utilized leverage to increase the amount of income available to the Fund. We are cautious as to how we utilize leverage because it can be either a positive contributor or have an adverse effect on the Fund and can have a magnified impact on the Fund. We have invested our leverage in a combination of strategies. First, bonds with short call features that increase in yield significantly should they not be called. Second, a portion has been invested bonds maturing in one to two years.

 

The biggest factor that negatively impacted the Fund’s performance during the year ended October 31, 2014 was our shorter average weighted maturity, which handcuffed the Fund from appreciating in value as the overall high yield market rallied throughout the year. As we previously mentioned, in light of our view that the market is being technically driven, we felt it was more appropriate based on the mandate of the fund to keep our portfolio on the shorter-end of the curve while being mindful of seeking to generate a healthy tax-free yield.

 

Looking ahead, we will maintain the course that we have set out on and adjust the portfolio as market conditions change.


 

53

 
Alpine Ultra Short Municipal Income Fund /
Alpine Municipal Money Market Fund /
Alpine High Yield Managed Duration Municipal Fund

 

CONCLUSION

 

The past year has been very good overall for the muni market which has performed well over the past year from a total return perspective. Unfortunately, when prices go up, yields go down and this drop has, in our opinion, been as a big a story as the higher prices. We feel this way because we believe this momentum was not related to a Fed policy change or a dramatically improved credit environment, but more due to a supply and demand imbalance. We also realize that lower coupon bonds can

be more problematic when the markets back off and for this reason we were cautious not to overextend the portfolios. As always, we will continue to monitor the markets for credit changes and buying opportunities and make any adjustments that will be consistent with the objectives of each fund.

 

Sincerely,

 

Steven C. Shachat
Portfolio Manager


 

Effective November 1, 2014, the Alpine Ultra Short Municipal Income Fund and the Alpine High Yield Managed Duration Municipal Fund will declare and accrue dividends daily and pay monthly.

 

This letter represents the opinions of the Fund’s management and is subject to change, is not guaranteed and should not be considered a recommendation to buy or sell any security. The information provided is not intended to be, and is not, a forecast of future events, a guarantee of future results, or investment advice. Views expressed may vary from those of the firm as a whole. Past performance is no guarantee of future results.

 

An investment in the Municipal Money Market Fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. Although the Municipal Money Market seeks to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in the Municipal Money Market Fund.

 

Diversification does not assure a profit nor protect against loss in a declining market.

 

Mutual fund investing involves risk. Principal loss is possible.

 

The Alpine Municipal Money Market Fund is subject to risks, including the following:

 

Credit Risk – The credit quality and liquidity of the Fund’s investments in municipal obligations and other debt securities may be dependent in part on the credit quality of third parties, such as banks and other financial institutions, which provide credit and liquidity enhancements to the Fund’s investments. Adverse changes in the credit quality of these third parties could cause losses to the Fund and affect its share price.

 

Fixed Income Securities Risk – Fixed income securities are subject to issuer risk, interest rate risk and market risk.

 

Interest Rate Risk – Interest rates may rise resulting in a decrease in the value of the securities held by the Fund, or may fall resulting in an increase in the value of such securities. Securities having longer maturities generally involve a greater risk of fluctuations in the value resulting from federal tax consistent changes in interest rates. Securities having shorter maturities generally involve less risk of fluctuation in value resulting from changes in interest rates, but generally have yields lower than securities having longer maturities. Securities having shorter maturities are also subject to reinvestment risk, which is the risk that if interest rates fall the Fund may need to invest the proceeds of redeemed securities in securities with lower interest rates.

 

Issuer Risk – Changes in the financial condition of the issuer of an obligation, changes in general economic conditions, or changes in economic conditions that affect the issuer may impact its actual or perceived willingness or ability to make timely payments of interest or principal.

 

Liquidity Risk – Some securities held by the Fund may be difficult to sell, or illiquid, particularly during times of market turmoil. Illiquid securities may also be difficult to value. Markets may become illiquid when, for instance, there are few, if any, interested buyers or sellers or when dealers are unwilling or unable to make a market for certain securities. If the Fund is forced to sell an illiquid asset to meet redemption requests or other cash needs, the Fund may be forced to sell at a loss.

 

Management Risk – The Adviser’s judgment about the quality, relative yield or value of, or market trends affecting, a particular security or sector, or about interest rates generally, may be incorrect. The Adviser’s security selections and other

 

54

 
Alpine Ultra Short Municipal Income Fund /
Alpine Municipal Money Market Fund /
Alpine High Yield Managed Duration Municipal Fund

 

investment decisions might produce losses or cause the Fund to underperform when compared to other funds with similar investment objectives and strategies.

 

Market Risk – General market conditions, such as real or perceived adverse economic or political conditions, inflation, changes in interest rates, lack of liquidity in the bond markets or adverse investor sentiment could cause the value of your investment in the fund, or its yield, to decline.

 

Municipal Securities Concentration Risk – From time to time the Fund may invest a substantial amount of its assets in municipal securities whose interest is paid solely from revenues of similar projects. If the Fund concentrates its investments in this manner, it assumes the economic risks relating to such projects and this may have a significant impact on the Fund’s investment performance.

 

Municipal Securities Risk – Municipal securities risks include the ability of the issuer to repay the obligation, the relative lack of information about certain issuers of municipal securities, and the possibility of future legislative changes which could affect the market for and value of municipal securities. Certain municipal securities, including private activity bonds, are not backed by the full faith, credit and taxing power of the issuer. Additionally, if events occur after the security is acquired that impact the security’s tax-exempt status, the Fund and its shareholders could be subject to substantial tax liabilities.

 

Redemption Risk – The Fund may experience heavy redemptions, particularly during periods of declining or illiquid markets, that could cause the Fund to liquidate its assets at inopportune times or at a loss or depressed value and that could affect the Fund’s ability to maintain a $1.00 share price. In addition, the Fund may suspend redemptions when permitted by applicable regulations.

 

Regulatory Risk – The SEC continues to review the regulation of money market funds. Any changes by the SEC or legislative developments may affect the Fund’s operations, investment strategies, performance and yield.

 

Tax Risk – To be tax-exempt, municipal obligations generally must meet certain regulatory requirements. If any such municipal obligation fails to meet these regulatory requirements, the interest received by the Fund from its investment in such obligations and distributed to Fund shareholders will be taxable. There is no guarantee that all of the Fund’s income will remain exempt from federal or state income taxes. Income from municipal bonds held by a Fund could be declared taxable because of unfavorable changes in tax laws, adverse interpretations by the Internal Revenue Service or state tax authorities, or noncompliant conduct of a bond issuer.

 

Variable Rate Demand Obligations Risk – Variable rate demand obligations are floating rate securities that combine an interest in a long term municipal bond with a right to demand payment before maturity from a bank or other financial institution. If the bank or financial institution is unable to pay, the Fund may lose money.

 

Yield Risk – The amount of income received by the Fund will go up or down depending on day-to-day variations in short-term interest rates, and when interest rates are very low the Fund’s expenses could absorb all or a significant portion of the fund’s income. If interest rates increase, the Fund’s yield may not increase proportionately. For example, the Adviser may discontinue any temporary voluntary fee limitation or recoup amounts previously waived and/or reimbursed. In addition, the recent adoption of more stringent regulations governing the management of money market funds could have a negative effect on the Fund’s yield.

 

The Alpine Ultra Short Municipal Income Fund is subject to risks, including the following:

 

Credit Risk – The credit quality and liquidity of the Fund’s investments in municipal obligations and other debt securities may be dependent in part on the credit quality of third parties, such as banks and other financial institutions, which provide credit and liquidity enhancements to the Fund’s investments. Adverse changes in the credit quality of these third parties could cause losses to the Fund and affect its share price.

 

Fixed Income Securities Risk – Fixed income securities are subject to issuer risk, interest rate risk and market risk.

 

Interest Rate Risk – Interest rates may rise resulting in a decrease in the value of the securities held by the Fund, or may fall resulting in an increase in the value of such securities. Securities having longer maturities generally involve a greater risk of fluctuations in the value resulting from changes in interest rates. Securities having shorter maturities generally

 

55

 
Alpine Ultra Short Municipal Income Fund /
Alpine Municipal Money Market Fund /
Alpine High Yield Managed Duration Municipal Fund

 

involve less risk of fluctuation in value resulting from changes in interest rates, but generally have yields lower than securities having longer maturities. Securities having shorter maturities are also subject to reinvestment risk, which is the risk that if interest rates fall the Fund may need to invest the proceeds of redeemed securities in securities with lower interest rates.

 

Issuer Risk – Changes in the financial condition of the issuer of an obligation, changes in general economic conditions, or changes in economic conditions that affect the issuer may impact its actual or perceived willingness or ability to make timely payments of interest or principal.

 

Liquidity Risk – Some securities held by the Fund may be difficult to sell, or illiquid, particularly during times of market turmoil. Illiquid securities may also be difficult to value. Markets may become illiquid when, for instance, there are few, if any, interested buyers or sellers or when dealers are unwilling or unable to make a market for certain securities. If the Fund is forced to sell an illiquid asset to meet redemption requests or other cash needs, it may be forced to sell at a loss.

 

Management Risk – The Adviser’s judgment about the quality, relative yield or value of, or market trends affecting, a particular security or sector, or about interest rates generally, may be incorrect. The Adviser’s security selections and other investment decisions might produce losses or cause the Fund to underperform when compared to other funds with similar investment objectives and strategies.

 

Market Risk – General market conditions, such as real or perceived adverse economic or political conditions, inflation, changes in interest rates, lack of liquidity in the bond markets or adverse investor sentiment could cause the value of your investment in the fund, or its yield, to decline.

 

Municipal Securities Concentration Risk – From time to time the Fund may invest a substantial amount of its assets in municipal securities whose interest is paid solely from revenues of similar projects. If the Fund concentrates its investments in this manner, it assumes the economic risks relating to such projects and this may have a significant impact on the Fund’s investment performance.

 

Municipal Securities Risk – Municipal securities risks include the ability of the issuer to repay the obligation, the relative lack of information about certain issuers of municipal securities, and the possibility of future legislative changes which could affect the market for and value of municipal securities. Certain municipal securities, including private activity bonds, are not backed by the full faith, credit and taxing power of the issuer. Additionally, if events occur after the security is acquired that impact the security’s tax-exempt status, the Fund and its shareholders could be subject to substantial tax liabilities.

 

Portfolio Turnover Risk – High portfolio turnover necessarily results in greater transaction costs which may reduce Fund performance.

 

Puerto Rico and U.S. Territories Risk – Because the Fund invests in the municipal securities of U.S. territories, and currently invests in Puerto Rican municipal securities, events in Puerto Rico are likely to affect the Fund’s investments and its performance. These events may include economic or political policy changes, tax base erosion, territory constitutional limits on tax increases, budget deficits and other financial difficulties, and changes in the credit ratings assigned to Puerto Rico’s municipal issuers. As with Puerto Rican municipal securities, events in any of the other territories where the Fund is invested may affect the Fund’s investments and its performance.

 

Tax Risk – Changes in tax laws or adverse determinations by the Internal Revenue Service may make the income from some municipal obligations taxable. Additionally, maximizing after-tax income may require trade-offs that reduce pre-tax income. The Fund’s tax-efficient strategies may reduce the taxable income of the Fund’s shareholders, but will not eliminate it. There can be no assurance that taxable distributions can always be avoided or that the Fund will achieve its investment objective.

 

Variable Rate Demand Obligations Risk – Variable rate demand obligations are floating rate securities that combine an interest in a long term municipal bond with a right to demand payment before maturity from a bank or other financial institution. If the bank or financial institution is unable to pay, the Fund may lose money.

 

56

 
Alpine Ultra Short Municipal Income Fund /
Alpine Municipal Money Market Fund /
Alpine High Yield Managed Duration Municipal Fund

 

Yield Risk – The amount of income received by the Fund will go up or down depending on day-to-day variations in short-term interest rates, and when interest rates are very low the Fund’s expenses could absorb all or a significant portion of the fund’s income. If interest rates increase, the Fund’s yield may not increase proportionately. For example, the Adviser may discontinue any temporary voluntary fee limitation or recoup amounts previously waived and/or reimbursed.

 

The Alpine High Yield Managed Duration Municipal Fund is subject to risks, including the following:

 

Borrowing and Leverage Risk – When the Fund borrows for leverage, changes in the value of the Fund’s investments will have a larger effect on its share price than if it did not borrow. Borrowing results in interest payments to the lenders and related expenses. The costs of borrowing for investment purposes might reduce the Fund’s return if the yield on the securities purchased is less than the borrowing costs.

 

Credit Risk – The credit quality and liquidity of the Fund’s investments in municipal obligations and other debt securities may be dependent in part on the credit quality of third parties, such as banks and other financial institutions, which provide credit and liquidity enhancements to the Fund’s investments. Adverse changes in the credit quality of these third parties could cause losses to the Fund and affect its share price.

 

Debt Securities Risk – Debt securities, such as bonds, involve credit risk and interest rate risk. In general, the market price of debt securities with longer maturities will go up or down more in response to changes in interest rates than the market price of shorter term securities.

 

Fixed Income Securities Risk – Fixed income securities are subject to issuer risk, interest rate risk and market risk.

 

Interest Rate Risk – Interest rates may rise resulting in a decrease in the value of the securities held by the Fund, or may fall resulting in an increase in the value of such securities. Securities having longer maturities generally involve a greater risk of fluctuations in the value resulting from changes in interest rates. Securities having shorter maturities generally involve less risk of fluctuations in the value resulting from changes in interest rates, but generally have lower yields than securities having longer maturities. Securities having shorter maturities are also subject to reinvestment risk, which is the risk that if interest rates fall the Fund may need to invest the proceeds of redeemed securities in securities with lower interest rates.

 

Issuer Risk – Changes in the financial condition of the issuer of an obligation, changes in general economic conditions, or changes in economic conditions that affect the issuer may impact its actual or perceived willingness or ability to make timely payments of interest or principal.

 

Junk Bond Risk – Junk bonds involve a greater risk of default or price changes due to changes in the credit quality of the issuer. The values of junk bonds fluctuate more than those of high-quality bonds in response to company, political, regulatory or economic developments. Values of junk bonds can decline significantly over short periods of time.

 

Land-Secured or “Dirt” Bonds Risk – These special assessment or special tax bonds are issued to promote residential, commercial or industrial growth and redevelopment. They are exposed to real estate development-related risks. The bonds could default if the developments failed to progress as anticipated or if taxpayers failed to pay the assessments, fees and taxes specified in the financing plans for a project.

 

Liquidity Risk – Some securities held by the Fund may be difficult to sell, or illiquid, particularly during times of market turmoil. Illiquid securities may also be difficult to value. Markets may become illiquid when, for instance, there are few, if any, interested buyers or sellers or when dealers are unwilling or unable to make a market for certain securities. If the Fund is forced to sell an illiquid asset to meet redemption requests or other cash needs, the Fund may be forced to sell at a loss.

 

Management Risk – The Adviser’s judgment about the quality, relative yield or value of, or market trends affecting, a particular security or sector, or about interest rates generally, may be incorrect. The Adviser’s security selections and other investment decisions might produce losses or cause the Fund to underperform when compared to other funds with similar investment goals.

 

57

 
Alpine Ultra Short Municipal Income Fund /
Alpine Municipal Money Market Fund /
Alpine High Yield Managed Duration Municipal Fund

 

Market Risk – General market conditions, such as real or perceived adverse economic or political conditions, inflation, changes in interest rates, lack of liquidity in the bond markets or adverse investor sentiment could cause the value of your investment in the fund, or its yield, to decline.

 

Medium- and Lower-Grade Municipal Securities Risk – Securities which are in the medium- and lower-grade categories generally offer higher yields than are offered by higher-grade securities of similar maturity, but they also generally involve more volatility and greater risks, such as greater credit risk, market risk, liquidity risk, management risk, and regulatory risk. Furthermore, many medium- and lower-grade securities are not listed for trading on any national securities exchange and many issuers of medium- and lower-grade securities choose not to have a rating assigned to their obligations by any nationally recognized statistical rating organization.

 

Municipal Market Volatility and Illiquidity Risk – The municipal bond market can be susceptible to unusual volatility, particularly for lower-rated and unrated securities. Liquidity can be reduced unpredictably in response to overall economic conditions or credit tightening. During times of reduced market liquidity, the Fund may not be able to readily sell bonds at the prices at which they are carried on the Fund’s books. If the Fund needed to sell large blocks of bonds to meet shareholder redemption requests or to raise cash, those sales could further reduce the bonds’ prices.

 

Municipal Sector Concentration Risk – From time to time the Fund may invest a substantial amount of its assets in municipal securities whose interest is paid solely from revenues of similar projects. If the Fund concentrates its investments in this manner, it assumes the economic risks relating to such projects and this may have a significant impact on the Fund’s investment performance.

 

Municipal Securities Risk – Municipal securities risks include the ability of the issuer to repay the obligation, the relative lack of information about certain issuers of municipal securities, and the possibility of future legislative changes which could affect the market for and value of municipal securities. Certain municipal securities, including private activity bonds, are not backed by the full faith, credit and taxing power of the issuer. Additionally, if events occur after the security is acquired that impact the security’s tax-exempt status, the Fund and its shareholders could be subject to substantial tax liabilities.

 

Puerto Rico and U.S. Territories Risk – Because the Fund invests in the municipal securities of U.S. territories, and currently invests in Puerto Rican municipal securities, events in Puerto Rico are likely to affect the Fund’s investments and its performance. These events may include economic or political policy changes, tax base erosion, territory constitutional limits on tax increases, budget deficits and other financial difficulties, and changes in the credit ratings assigned to Puerto Rico’s municipal issuers. As with Puerto Rican municipal securities, events in any of the other territories where the Fund is invested may affect the Fund’s investments and its performance.

 

Tax Risk – To be tax-exempt, municipal obligations generally must meet certain regulatory requirements. If any such municipal obligation fails to meet these regulatory requirements, the interest received by the Fund from its investment in such obligations and distributed to Fund shareholders will be taxable. There is no guarantee that all of the Fund’s income will remain exempt from federal or state income taxes. Income from municipal bonds held by a Fund could be declared taxable because of unfavorable changes in tax laws, adverse interpretations by the Internal Revenue Service or state tax authorities, or noncompliant conduct of a bond issuer.

 

Tender Option Bonds Risk – Tender option bonds are synthetic floating-rate or variable-rate securities issued when long-term bonds are purchased in the primary or secondary market and then deposited into a trust. Tender option bonds may be considered derivatives, and may expose the Fund to the same risks as investments in derivatives, as well as risks associated with leverage, especially the risk of increased volatility.

 

Tobacco Related Bonds Risk – In 1998, the largest U.S. tobacco manufacturers reached an out of court agreement, known as the Master Settlement Agreement (the “MSA”), to settle claims against them by 46 states and six other U.S. jurisdictions. The tobacco manufacturers agreed to make annual payments to the government entities in exchange for the release of all litigation claims. A number of the states have sold bonds that are backed by those future payments. The Fund may invest in two types of those bonds: (i) bonds that make payments only from a state’s interest in the MSA

 

58

 
Alpine Ultra Short Municipal Income Fund /
Alpine Municipal Money Market Fund /
Alpine High Yield Managed Duration Municipal Fund

 

and (ii) bonds that make payments from both the MSA revenue and from an “appropriation pledge” by the state. An “appropriation pledge” requires the state to pass a specific periodic appropriation to make the payments and is generally not an unconditional guarantee of payment by a state. The settlement payments are based on factors, including, but not limited to, annual domestic cigarette shipments, cigarette consumption, inflation and the financial capability of participating tobacco companies. Payments could be reduced if consumption decreases, if market share is lost to non-MSA manufacturers, or if there is a negative outcome in litigation regarding the MSA.

 

Please refer to pages 3-5 for other important disclosures and definitions.

 

59

 

Alpine Dynamic Dividend Fund

 

Schedule of Portfolio Investments
October 31, 2014

 

Shares   Security
Description
  Value 
         
Common Stocks—98.1%     
Aerospace & Defense—1.9%     
 32,400   Airbus Group NV  $1,932,658 
 10,900   Raytheon Co.   1,132,292 
 10,300   United Technologies Corp.   1,102,100 
         4,167,050 
Air Freight & Logistics—1.1%     
 13,500   FedEx Corp.   2,259,900 
Airlines—0.5%     
 40,000   Japan Airlines Co., Ltd.   1,064,055 
Auto Components—1.5%     
 17,000   Delphi Automotive PLC   1,172,660 
 418,000   GKN PLC   2,126,386 
         3,299,046 
Banks—5.1%     
 137,500   Banco Bilbao Vizcaya Argentaria SA   1,534,921 
 99,000   Bangkok Bank PCL—NVDR   601,842 
 218,505   Finecobank SpA   1,135,803 
 38,500   Hana Financial Group, Inc.   1,334,692 
 101,900   Mitsubishi UFJ Financial Group, Inc.   573,525 
 206,800   Regions Financial Corp.   2,053,524 
 70,700   Standard Chartered PLC   1,062,677 
 12,300   Sumitomo Mitsui Financial Group, Inc.   481,761 
 39,300   Wells Fargo & Co. (a)   2,086,437 
         10,865,182 
Beverages—2.1%     
 19,700   Anheuser-Busch InBev NV—ADR    2,186,306 
 82,500   Diageo PLC   2,425,706 
         4,612,012 
Capital Markets—2.1%     
 65,400   Daiwa Securities Group, Inc.   501,308 
 185,000   Fortress Investment Group LLC—Class A   1,391,200 
 91,756   Och-Ziff Capital Management Group, LLC—Class A (a)   1,011,151 
 42,000   Schroders PLC   1,619,889 
         4,523,548 
Chemicals—1.9%     
 134,000   Clariant AG (b)   2,332,797 
 2,900   Linde AG   534,763 
 21,000   Symrise AG   1,180,937 
         4,048,497 
Commercial Services & Supplies—1.4%     
 36,900   ISS A/S   1,028,814 
 68,000   KAR Auction Services, Inc.   2,064,480 
         3,093,294 
Communications Equipment—2.2%     
 86,800   Cisco Systems, Inc. (a)   2,123,996 
 34,500   QUALCOMM, Inc. (a)   2,708,595 
         4,832,591 
Construction & Engineering—2.8%     
 409,513   Abengoa SA—B Shares   1,725,829 
 2,223,500   China Railway Construction Corp., Ltd.—Class H   2,348,177 
 32,600   Vinci SA   1,857,776 
         5,931,782 
Containers & Packaging—1.1%     
 557,700   DS Smith PLC   2,361,529 
Shares   Security
Description
  Value 
         
Common Stocks—continued     
Diversified Financial Services—2.0%     
 80,300   Bank of America Corp. (a)  $1,377,948 
 164,200   Cerved Information Solutions SpA (b)   905,376 
 39,400   Citigroup, Inc. (a)   2,109,082 
         4,392,406 
Electric Utilities—1.1%     
 48,500   Northeast Utilities   2,393,475 
Electronic Equipment, Instruments & Components—1.3%     
 44,000   TE Connectivity, Ltd.   2,689,720 
Energy Equipment & Services—2.8%     
 157,000   Canadian Energy Services & Technology Corp.   1,211,925 
 18,000   Halliburton Co.   992,520 
 22,000   Oceaneering International, Inc.   1,545,940 
 131,000   Precision Drilling Corp.   1,089,920 
 11,000   Schlumberger, Ltd.   1,085,260 
         5,925,565 
Food & Staples Retailing—1.2%     
 39,500   Walgreen Co. (a)   2,536,690 
Food Products—3.1%     
 70,000   Dean Foods Co.   1,029,700 
 58,600   Mondelez International, Inc.—Class A (a)   2,066,236 
 34,300   Nestle SA   2,509,713 
 32,500   Pinnacle Foods, Inc.   1,098,500 
         6,704,149 
Health Care Equipment & Supplies—1.5%     
 34,200   Covidien PLC (a)   3,161,448 
Health Care Providers & Services—4.3%     
 41,000   HCA Holdings, Inc. (a)   2,872,050 
 14,000   Humana, Inc.   1,943,900 
 15,300   McKesson Corp. (a)   3,112,173 
 14,000   UnitedHealth Group, Inc.   1,330,140 
         9,258,263 
Hotels, Restaurants & Leisure—0.9%     
 15,500   Las Vegas Sands Corp. (a)   965,030 
 35,000   Melco Crown Entertainment, Ltd.—ADR   949,900 
         1,914,930 
Household Durables—1.4%     
 35,000   Lennar Corp.—Class A   1,507,800 
 40,000   Ryland Group, Inc.   1,432,400 
         2,940,200 
Household Products—2.1%     
 33,000   Colgate-Palmolive Co. (a)   2,207,040 
 18,100   Energizer Holdings, Inc. (a)   2,219,965 
         4,427,005 
Independent Power Producers & Energy Traders—0.8%     
 33,700   Abengoa Yield PLC (b)   1,095,250 
 20,163   Pattern Energy Group, Inc.   580,291 
         1,675,541 
Industrial Conglomerates—0.2%     
 4,500   Siemens AG   507,018 

 

 

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

 

60

 

Alpine Dynamic Dividend Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Shares   Security
Description
  Value 
           
Common Stocks—continued     
Insurance—2.2%     
 6,500   Allianz SE  $1,032,032 
 80,000   BB Seguridade Participacoes SA   1,067,355 
 17,000   Prudential Financial, Inc.   1,505,180 
 3,600   Zurich Insurance Group AG   1,088,063 
         4,692,630 
Internet Software & Services—0.5%     
 4,900   Equinix, Inc.   1,023,610 
IT Services—2.1%     
 31,600   Accenture PLC—Class A (a)   2,563,392 
 11,600   International Business Machines Corp. (a)   1,907,040 
         4,470,432 
Life Sciences Tools & Services—1.3%     
 23,000   Thermo Fisher Scientific, Inc.   2,704,110 
Machinery—3.1%     
 2,344,500   China CNR Corp., Ltd.—Class H (b)(c)(d)   2,385,267 
 79,500   IMI PLC   1,554,093 
 20,300   Snap-on, Inc. (a)   2,682,442 
         6,621,802 
Media—3.9%     
 20,000   CBS Corp.—Class B   1,084,400 
 40,000   Comcast Corp.—Class A (a)   2,214,000 
 300,000   ITV PLC   974,218 
 29,000   The Walt Disney Co. (a)   2,650,020 
 77,900   WPP PLC   1,517,831 
         8,440,469 
Metals & Mining—0.4%     
 32,000   Freeport-McMoRan, Inc.   912,000 
Multi-Utilities—1.1%     
 71,000   CMS Energy Corp. (a)   2,319,570 
Multiline Retail—0.9%     
 10,000   Kering   1,929,225 
Office Electronics—0.5%     
 80,000   Xerox Corp.   1,062,400 
Oil, Gas & Consumable Fuels—6.7%     
 18,000   Chevron Corp.   2,159,100 
 46,500   Enbridge, Inc. (a)   2,202,240 
 13,000   Marathon Petroleum Corp.   1,181,700 
 17,000   Occidental Petroleum Corp.   1,511,810 
 7,500   Phillips 66   588,750 
 165,000   Scorpio Tankers, Inc.   1,440,450 
 41,500   The Williams Cos., Inc. (a)   2,303,665 
 37,200   Total SA   2,210,587 
 56,600   Trilogy Energy Corp.   881,856 
         14,480,158 
Paper & Forest Products—0.5%     
 23,000   International Paper Co.   1,164,260 
Pharmaceuticals—5.7%     
 22,300   Merck & Co., Inc.   1,292,062 
 35,000   Novartis AG—ADR (a)   3,244,150 
 10,200   Roche Holding AG   3,007,577 
 50,500   Sanofi—ADR (a)   2,335,120 
 40,000   Teva Pharmaceutical Industries, Ltd.—ADR   2,258,800 
         12,137,709 
Shares   Security
Description
  Value 
         
Common Stocks—continued     
Real Estate Investment Trusts—4.8%     
 22,600   American Tower Corp. (a)  $2,203,500 
 33,000   Corrections Corp. of America (a)    1,213,740 
 156   Nippon Building Fund, Inc.   863,850 
 733,333   Prologis Property Mexico SA de CV (b)   1,518,809 
 185,654   Scentre Group   578,349 
 34,000   The Geo Group, Inc.   1,357,960 
 155,700   Two Harbors Investment Corp. (a)   1,577,241 
 134,500   Westfield Corp.   937,411 
         10,250,860 
Real Estate Management & Development—2.0%     
 113,000   BR Malls Participacoes SA   907,502 
 67,000   Cheung Kong Holdings, Ltd.   1,191,376 
 70,600   Mitsui Fudosan Co., Ltd.   2,204,581 
         4,303,459 
Road & Rail—3.1%     
 483,000   All America Latina Logistica SA   1,323,528 
 16,400   Canadian Pacific Railway, Ltd. (a)   3,405,952 
 22,500   Ryder System, Inc.   1,990,575 
         6,720,055 
Semiconductors & Semiconductor Equipment—2.5%     
 78,500   Applied Materials, Inc.   1,734,065 
 41,500   Avago Technologies, Ltd. (a)   3,579,375 
         5,313,440 
Specialty Retail—2.2%     
 34,700   Penske Automotive Group, Inc.   1,569,828 
 665,000   Pets at Home Group PLC (b)   2,055,263 
 18,800   TJX Cos., Inc.   1,190,416 
         4,815,507 
Technology, Hardware, Storage & Peripherals—3.2%     
 41,000   Apple, Inc. (a)   4,428,000 
 88,000   EMC Corp.   2,528,240 
         6,956,240 
Textiles, Apparel & Luxury Goods—1.0%     
 26,200   Carter’s, Inc.   2,047,006 
Trading Companies & Distributors—1.2%     
 155,000   Ashtead Group PLC   2,588,635 
Transportation Infrastructure—1.0%     
 476,300   Adani Ports & Special Economic Zone, Ltd.   2,226,741 
Water Utilities—0.5%     
 20,900   American Water Works Co., Inc. (a)   1,115,433 
Wireless Telecommunication Services—1.3%     
 84,600   Vodafone Group PLC—ADR   2,810,412 
     Total Common Stocks
(Cost $188,968,903)
   210,691,059 
Equity-Linked Structured Notes—0.9%     
Multi-Utilities—0.9%     
 112,000   Veolia Environnement SA—Morgan Stanley BV   1,871,605 
     Total Equity-Linked Structured Notes
(Cost $2,196,419)
   1,871,605 

 

 

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

 

61

 

Alpine Dynamic Dividend Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
           
Convertible Bonds—0.0% (e)     
Household Durables—0.0% (e)     
$791,393   PDG Realty SA Empreendimentos e Participacoes—Series 8, 0.000%, 9/19/16 (Brazilian Real) (f)  $3,194 
     Total Convertible Bonds
(Cost $283,909)
   3,194 
Total Investments
(Cost $191,449,231)—99.0%
   212,565,858 
Other Assets in Excess of Liabilities—1.0%   2,088,564 
TOTAL NET ASSETS 100.0%  $214,654,422 

 

 

Percentages are stated as a percent of net assets.

(a) All or a portion of the security has been designated as collateral for the line of credit.
(b) Non-income producing security.
(c) Restricted 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 Board of Trustees. Liquid securities restricted under Rule 144A comprised 1.1% of the Fund’s net assets.
(d) Security fair valued in accordance with procedures approved by the Board of Trustees. This security comprised 1.1% of the Fund’s net assets.
(e) Amount is less than 0.05%.
(f) Represents a zero-coupon bond.

ADR—American Depositary Receipt

AG—Aktiengesellschaft is a German term that refers to a corporation that is limited by shares, i.e., owned by shareholders.

A/S—Aktieselskab is the Danish term for a stock-based corporation.

BV—Besloten Vennootschap is the Dutch equivalent of a private limited liability company.

NV—Naamloze Vennootschap is the Dutch term for a public limited liability corporation.

NVDR—Non-Voting Depositary Receipts

PCL—Public Company Limited

PLC—Public Limited Company

SA—Generally designates corporations in various countries, mostly those employing the civil law.

SA de CV—Sociedad Anonima de Capital Variable is the Spanish equivalent to Variable Capital Company.

SE—SE Regulation. A European Company which can operate on a Europe-wide basis and be governed by Community law directly applicable in all Member States.

SpA—Societa’ Per Azioni is an Italian shared company.

 

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

 

62

 

Alpine Accelerating Dividend Fund

 

Schedule of Portfolio Investments
October 31, 2014

 

Shares   Security
Description
  Value 
           
Common Stocks—96.2%     
Aerospace & Defense—1.4%     
 700   United Technologies Corp.  $74,900 
Banks—3.0%     
 3,010   MidWestOne Financial Group, Inc.   80,307 
 8,000   Regions Financial Corp.   79,440 
         159,747 
Beverages—2.7%     
 700   Anheuser-Busch InBev NV—ADR    77,686 
 700   PepsiCo, Inc.   67,319 
         145,005 
Biotechnology—1.7%     
 550   Amgen, Inc.   89,199 
Capital Markets—5.0%     
 9,000   Fortress Investment Group LLC—Class A   67,680 
 10,500   JMP Group, Inc.   76,650 
 3,500   NorthStar Asset Management Group, Inc.   63,420 
 5,500   Och-Ziff Capital Management Group, LLC—Class A   60,610 
         268,360 
Chemicals—2.6%     
 500   Air Products & Chemicals, Inc.   67,330 
 350   PPG Industries, Inc.   71,292 
         138,622 
Communications Equipment—2.8%     
 3,000   Cisco Systems, Inc.   73,410 
 1,000   QUALCOMM, Inc.   78,510 
         151,920 
Construction & Engineering—1.3%     
 5,500   Aecon Group, Inc.   71,492 
Diversified Financial Services—1.3%     
 1,300   Citigroup, Inc.   69,589 
Diversified Telecommunication Services—1.5%     
 1,600   Verizon Communications, Inc.   80,400 
Electric Utilities—2.1%     
 1,200   Northeast Utilities   59,220 
 900   Pinnacle West Capital Corp.   55,323 
         114,543 
Electronic Equipment, Instruments & Components—1.6%     
 1,400   TE Connectivity, Ltd.   85,582 
Energy Equipment & Services—3.2%     
 1,200   Bristow Group, Inc.   88,680 
 850   Schlumberger, Ltd.   83,861 
         172,541 
Food & Staples Retailing—3.0%     
 900   CVS Health Corp.   77,229 
 1,300   Walgreen Co.   83,486 
         160,715 
Food Products—1.5%     
 2,300   Pinnacle Foods, Inc.   77,740 
Gas Utilities—1.1%     
 1,100   Atmos Energy Corp.   58,300 
Health Care Equipment & Supplies—1.8%     
 750   Becton, Dickinson & Co.   96,525 
Shares   Security
Description
  Value 
           
Common Stocks—continued     
Health Care Providers & Services—4.3%     
 1,000   Aetna, Inc.  $82,510 
 1,000   AmerisourceBergen Corp.   85,410 
 1,400   Patterson Cos., Inc.   60,354 
         228,274 
Hotels, Restaurants & Leisure—1.6%     
 1,200   Yum! Brands, Inc.   86,196 
Household Products—3.1%     
 700   Energizer Holdings, Inc.   85,855 
 900   The Procter & Gamble Co.   78,543 
         164,398 
Industrial Conglomerates—1.4%     
 500   3M Co.   76,885 
Insurance—1.3%     
 800   Prudential Financial, Inc.   70,832 
Internet & Catalog Retail—1.5%     
 1,200   HSN, Inc.   79,284 
IT Services—2.9%     
 400   International Business Machines Corp.   65,760 
 380   Visa, Inc.—Class A   91,743 
         157,503 
Life Sciences Tools & Services—1.5%     
 1,400   Agilent Technologies, Inc.   77,392 
Machinery—3.6%     
 800   Dover Corp.   63,552 
 500   Snap-on, Inc.   66,070 
 450   Valmont Industries, Inc.   61,276 
         190,898 
Media—3.1%     
 1,500   CBS Corp.—Class B   81,330 
 1,500   Comcast Corp.—Class A   83,025 
         164,355 
Metals & Mining—1.3%     
 1,000   Kaiser Aluminum Corp.   69,550 
Multi-Utilities—1.0%     
 1,700   CMS Energy Corp.   55,539 
Oil, Gas & Consumable Fuels—5.7%     
 700   Chevron Corp.   83,965 
 1,250   Devon Energy Corp.   75,000 
 750   Occidental Petroleum Corp.   66,697 
 2,200   Suncor Energy, Inc.   78,188 
         303,850 
Pharmaceuticals—4.2%     
 1,450   AbbVie, Inc.   92,017 
 1,300   Mylan, Inc. (a)   69,615 
 1,100   Teva Pharmaceutical Industries, Ltd.—ADR   62,117 
         223,749 
Real Estate Investment Trusts—2.7%     
 650   American Tower Corp.   63,375 
 3,000   Starwood Waypoint Residential Trust   78,540 
         141,915 
Real Estate Management & Development—1.1%     
 450   Jones Lang LaSalle, Inc.   60,845 
Road & Rail—1.7%     
 4,500   Marten Transport, Ltd.   88,290 

 

 

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

 

63

 

Alpine Accelerating Dividend Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Shares   Security
Description
  Value 
           
Common Stocks—continued     
Semiconductors & Semiconductor Equipment—2.9%     
 1,050   Avago Technologies, Ltd.  $90,563 
 1,450   Linear Technology Corp.   62,118 
         152,681 
Software—3.6%     
 3,000   Activision Blizzard, Inc.   59,850 
 1,300   Microsoft Corp.   61,035 
 1,900   Oracle Corp.   74,195 
         195,080 
Specialty Retail—1.5%     
 1,900   GameStop Corp.—Class A   81,244 
Technology, Hardware, Storage & Peripherals—4.0%     
 1,250   Apple, Inc.   135,000 
 2,800   EMC Corp.   80,444 
         215,444 
Textiles, Apparel & Luxury Goods—1.5%     
 1,200   VF Corp.   81,216 
Shares   Security
Description
  Value 
           
Common Stocks—continued     
Thrifts & Mortgage Finance—1.6%     
 4,000   Territorial Bancorp, Inc.  $85,920 
Wireless Telecommunication Services—1.5%     
 2,400   Vodafone Group PLC—ADR   79,728 
     Total Common Stocks
(Cost $4,340,837)
   5,146,248 
           
Principal         
Amount         
Short-Term Investments—3.6%     
$195,000   State Street Eurodollar Time Deposit, 0.01%   195,000 
     Total Short-Term Investments
(Cost $195,000)
   195,000 
Total Investments
(Cost $4,535,837)—99.8%
   5,341,248 
Other Assets in Excess of Liabilities—0.2%   9,269 
TOTAL NET ASSETS 100.0%  $5,350,517 

 

 

 

Percentages are stated as a percent of net assets.

 

(a) Non-income producing security.

 

ADR—American Depositary Receipt

 

NV—Naamloze Vennootschap is the Dutch term for a public limited liability corporation.

 

PLC—Public Limited Company

 

 

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

 

64

 

Alpine Financial Services Fund

 

Schedule of Portfolio Investments
October 31, 2014

 

Shares   Security
Description
  Value 
     
Common Stocks—89.9%    
Banks—49.6%    
 4,150   1st Constitution Bancorp (a)(b)  $46,086 
 51,965   1st United Bancorp, Inc. (b)   459,890 
 8,316   American River Bankshares (a)(b)   79,002 
 15,895   Banc of California, Inc. (b)   187,084 
 16,139   Banco de Chile—ADR (b)   1,194,286 
 13,000   Banco Industrial e Comercial SA (a)   32,947 
 46,381   Bank of Commerce Holdings (b)   280,605 
 5,000   Bank of Georgia Holdings PLC (b)   204,762 
 30,000   Bankwell Financial Group, Inc. (a)(b)   570,000 
 8,244   BNC Bancorp (b)   140,230 
 106,783   Carolina Trust Bank (a)(b)   528,576 
 5,000   Carter Bank & Trust (b)   60,050 
 12,493   Centerstate Banks, Inc. (b)   145,419 
 6,000   Chemical Financial Corp. (b)   178,680 
 26,734   Citizens First Corp. (a)(b)   307,441 
 6,095   Comerica, Inc. (b)   290,975 
 10,000   Community Southern Holdings, Inc.   82,500 
 5,000   County Commerce Bank (a)(b)   93,500 
 15,000   CU Bancorp (a)(b)   296,250 
 10,000   DNB ASA (b)   183,693 
 325,000   Eurobank Ergasias SA (a)   112,815 
 35,000   FCB Financial Holdings, Inc.—Class A (a)(b)   803,250 
 40,000   First BanCorp (a)(b)   208,400 
 5,949   First Business Financial Services, Inc. (b)   279,187 
 6,400   First Internet Bancorp (b)   116,416 
 15,000   Great Western Bancorp, Inc. (a)   291,300 
 25,000   Grupo Aval Acciones y Valores—ADR   337,000 
 93,000   Investar Holding Corp. (b)   1,302,000 
 1,000,000   Lloyds Banking Group PLC (a)(b)    1,233,849 
 6,500   Manhattan Bancorp (a)(b)   22,750 
 5,000   Metro Bancorp, Inc. (a)(b)   125,200 
 60,000   Mitsubishi UFJ Financial Group, Inc. (b)   337,699 
 150,000   Mizuho Financial Group, Inc. (b)    267,082 
 1,000   National Bank Holdings Corp.—Class A (b)   19,590 
 400,000   National Bank of Greece SA (a)   962,419 
 6,000   New Resource Bank (a)(b)   26,400 
 20,000   OFG Bancorp (b)   311,400 
 8,000   OmniAmerican Bancorp, Inc. (b)    216,320 
 12,602   Pacific Mercantile Bancorp (a)(b)    88,718 
 43,776   Pacific Premier Bancorp, Inc. (a)(b)   708,733 
 2,500   Plaza Bank (a)   7,800 
 7,000   Popular, Inc. (a)(b)   223,160 
 2,000   QCR Holdings, Inc. (b)   35,500 
 10,000   Regions Financial Corp. (b)   99,300 
 73,000   Republic First Bancorp, Inc. (a)(b)   289,810 
 5,000   SB Financial Group, Inc. (b)   45,700 
 5,000   Seacoast Commerce Bank (a)(b)   50,000 
 2,000   Security California Bancorp (a)(b)   22,500 
 39,000   Shore Bancshares, Inc. (a)(b)   358,020 
 6,500   SouthCrest Financial Group, Inc. (a)(b)   32,825 
 1,543   Southeastern Bank Financial Corp. (b)   39,346 
 25,000   Southern National Bancorp of Virginia, Inc. (b)   289,500 
Shares   Security
Description
  Value 
         
Common Stocks—continued    
Banks—continued    
 13,158   Square 1 Financial, Inc.—Class A (a)(b)  $261,713 
 2,000   State Bank Financial Corp. (b)   35,840 
 5,000   Sterling Bancorp (b)   70,300 
 2,000   Stonegate Bank (b)   54,380 
 8,000   Sumitomo Mitsui Financial Group, Inc. (b)   313,341 
 8,000   Summit State Bank (b)   103,120 
 3,571   SVB Financial Group (a)(b)   399,916 
 25,335   Synovus Financial Corp. (b)   642,496 
 55,000   TBC Bank JSC—GDR (a)(b)(c)   814,000 
 10,000   Texas Capital Bancshares, Inc. (a)(b)   611,500 
 2,678   Valley Commerce Bancorp (b)   39,621 
 500   Zions BanCorp. (b)   14,485 
         17,986,677 
Capital Markets—17.9%    
 30,000   Aberdeen Asset Management PLC (b)   208,281 
 36,842   Anima Holding SpA (a)(b)   172,024 
 12,500   Apollo Global Management LLC—Class A (b)   284,375 
 43,515   Ares Management LP (b)   691,018 
 25,000   BGC Partners, Inc.—Class A (b)   212,000 
 3,300   CI Financial Corp. (b)   95,950 
 23,823   Cowen Group, Inc.—Class A (a)(b)   96,245 
 80,000   Fifth Street Asset Management, Inc. (a)   1,168,000 
 67,500   Fortress Investment Group LLC—Class A (b)   507,600 
 24,000   FXCM, Inc.—Class A (b)   395,040 
 3,000   Greenhill & Co., Inc. (b)   135,000 
 5,000   JMP Group, Inc. (b)   36,500 
 17,900   KKR & Co. LP (b)   385,924 
 4,869   LPL Financial Holdings, Inc. (b)   201,528 
 11,500   Noah Holdings, Ltd.—ADR (a)(b)    188,600 
 500   Oaktree Capital Group LLC (b)   23,740 
 8,200   Och-Ziff Capital Management Group, LLC—Class A (b)   90,364 
 2,749   OM Asset Management PLC (a)   41,153 
 20,000   The Blackstone Group LP (b)   602,400 
 20,000   The Carlyle Group LP (b)   555,200 
 26,340   WisdomTree Investments, Inc. (a)(b)   388,515 
         6,479,457 
Consumer Finance—1.4%    
 66,113   Imperial Holdings, Inc. (a)(b)   414,529 
 5,000   Santander Consumer USA Holdings, Inc. (b)   92,500 
         507,029 
Diversified Financial Services—4.2%     
 7,124   BM&FBovespa SA   31,338 
 42,689   Cerved Information Solutions SpA (a)(b)   235,381 
 25,000   Gain Capital Holdings, Inc. (b)   214,000 
 2,757   Intercontinental Exchange, Inc. (b)   574,255 
 5,500   The NASDAQ OMX Group, Inc. (b)   237,930 
 16,700   Warsaw Stock Exchange   218,087 
         1,510,991 
Health Care Providers & Services—0.8%     
 8,571   Brookdale Senior Living, Inc. (a)    288,928 


 

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

 

65

 

Alpine Financial Services Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Shares   Security
Description
  Value 
         
Common Stocks—continued     
Insurance—6.8%     
 20,000   Assured Guaranty, Ltd. (b)  $461,600 
 12,000   Atlas Financial Holdings, Inc. (a)(b)   177,960 
 30,000   Brasil Insurance Participacoes e Administracao SA   90,197 
 35,000   esure Group PLC (b)   136,279 
 31,229   Health Insurance Innovations, Inc.—Class A (a)(b)   316,038 
 14,000   The Dai-ichi Life Insurance Co., Ltd. (b)   205,653 
 5,700   The Phoenix Co., Inc. (a)(b)   338,352 
 38,000   United Insurance Holdings Corp. (b)   744,800 
         2,470,879 
IT Services—0.1%     
 2,748   Worldline SA (a)(b)   55,099 
Thrifts & Mortgage Finance—8.8%     
 15,105   Alliance Bancorp, Inc. of Pennsylvania (b)   249,081 
 2,000   Astoria Financial Corp. (b)   26,300 
 82,636   Atlantic Coast Financial Corp. (a)(b)   340,460 
 10,000   Bank Mutual Corp. (b)   65,900 
 3,000   Cape Bancorp, Inc. (b)   26,730 
 100,234   Central Federal Corp. (a)(b)   127,297 
 2,500   Dime Community Bancshares, Inc. (b)   39,375 
 500   First Defiance Financial Corp. (b)   15,315 
 2,000   First Savings Financial Group, Inc. (b)   50,200 
 2,000   Flagstar Bancorp, Inc. (a)(b)   31,440 
Shares   Security
Description
  Value 
         
Common Stocks—continued     
Thrifts & Mortgage Finance—continued     
 8,823   HopFed Bancorp, Inc. (b)  $100,935 
 2,000   LaPorte Bancorp, Inc. (b)   23,100 
 4,466   Meta Financial Group, Inc. (b)   167,520 
 1,000   Northwest Indiana Bancorp (b)   25,475 
 6,000   Ocean Shore Holding Co. (b)   86,400 
 80,001   PennyMac Financial Services, Inc.—Class A (a)(b)   1,332,817 
 23,751   Provident Financial Holdings, Inc. (b)   346,290 
 11,000   Riverview Bancorp, Inc. (a)(b)   44,770 
 19,752   United Community Financial Corp. (b)   101,130 
         3,200,535 
Trading Companies & Distributors—0.3%     
 2,769   Textainer Group Holdings, Ltd. (b)   95,364 
     Total Common Stocks
(Cost $28,659,660)
   32,594,959 
Preferred Stocks—0.9%     
Banks—0.9%     
 62,100   Banco ABC Brasil SA   345,097 
     Total Preferred Stocks
(Cost $322,642)
   345,097 
Total Investments
(Cost $28,882,052)—90.8%
   32,940,056 
Other Assets in Excess of Liabilities—9.2%    3,322,648 
TOTAL NET ASSETS 100.0%   $36,262,704 


 

 

 

Percentages are stated as a percent of net assets.

 

(a) Non-income producing security.
   
(b) All or a portion of the security has been designated as collateral for the line of credit.
   
(c) Restricted 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 Board of Trustees. Liquid securities restricted under Rule 144A comprised 2.2% of the Fund’s net assets.

 

ADR—American Depositary Receipt

 

ASA—Allmennaksjeselskap is the Norwegian term for a public limited company.

 

GDR—Global Depositary Receipt

 

JSC—Joint Stock Company

 

PLC—Public Limited Company

 

SA—Generally designates corporations in various countries, mostly those employing the civil law.

 

SpA—Societa’ Per Azioni is an Italian shared company.

 

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

 

66

 

Alpine Small Cap Fund

 

Schedule of Portfolio Investments
October 31, 2014

 

Shares   Security
Description
  Value 
         
Common Stocks—99.8%     
Banks—4.7%     
 43,491   Park Sterling Corp.  $333,141 
 31,859   Southern National Bancorp of Virginia, Inc.   368,927 
         702,068 
Biotechnology—3.1%    
 8,248   Ligand Pharmaceuticals, Inc. (a)   455,867 
Building Products—3.7%     
 12,801   Patrick Industries, Inc. (a)   546,859 
Capital Markets—2.7%     
 26,761   Silvercrest Asset Management Group, Inc.—Class A   399,542 
Communications Equipment—5.6%     
 36,287   Applied Optoelectronics, Inc. (a)   585,672 
 18,385   Ruckus Wireless, Inc. (a)   238,637 
         824,309 
Construction & Engineering—3.9%     
 18,421   Dycom Industries, Inc. (a)   578,235 
Consumer Finance—3.7%
 8,650   PRA Group, Inc. (a)   547,113 
Diversified Consumer Services—4.4%     
 17,302   Liberty Tax, Inc. (a)   655,573 
Energy Equipment & Services—2.0%     
 38,416   Canadian Energy Services & Technology Corp.   296,543 
Food Products—1.2%     
 1,672   J&J Snack Foods Corp.   172,266 
Health Care Equipment & Supplies—6.7%     
 17,277   Natus Medical, Inc. (a)   587,418 
 20,357   OraSure Technologies, Inc. (a)   182,195 
 13,139   Trinity Biotech PLC—ADR   228,619 
         998,232 
Health Care Providers & Services—2.8%     
 12,835   National Research Corp.—Class B (a)   419,961 
Hotels, Restaurants & Leisure—2.8%     
 8,875   Popeyes Louisiana Kitchen, Inc. (a)   411,356 
Insurance—2.1%     
 15,582   Employers Holdings, Inc.   317,717 
Internet Software & Services—1.9%     
 15,615   NIC, Inc.   287,784 
Machinery—4.9%     
 34,996   Hexagon Composites ASA   145,796 
 6,765   Hillenbrand, Inc.   225,207 
 14,468   NN, Inc.   361,700 
         732,703 
Marine—1.3%     
 38,348   Scorpio Bulkers, Inc.   187,522 
Shares   Security
Description
  Value 
         
Common Stocks—continued     
Media—7.3%     
 68,768   Cumulus Media, Inc.—Class A (a)  $265,445 
 16,681   Live Nation Entertainment, Inc. (a)   433,706 
 8,350   Nexstar Broadcasting Group, Inc.—Class A   376,752 
         1,075,903 
Oil, Gas & Consumable Fuels—6.6%     
 94,705   Delphi Energy Corp. (a)   177,302 
 7,550   Paramount Resources, Ltd.—Class A (a)   316,188 
 54,692   Scorpio Tankers, Inc.   477,461 
         970,951 
Personal Products—0.5%     
 8,016   IGI Laboratories, Inc. (a)   78,637 
Real Estate Investment Trusts—2.7%     
 16,902   Altisource Residential Corp.   392,464 
Real Estate Management & Development—3.9%     
 21,186   Kennedy-Wilson Holdings, Inc.   573,929 
Road & Rail—1.2%     
 9,432   Celadon Group, Inc.   183,547 
Semiconductors & Semiconductor Equipment—7.1%     
 67,984   Applied Micro Circuits Corp. (a)   439,856 
 28,516   Integrated Device Technology, Inc. (a)   467,948 
 11,057   PDF Solutions, Inc. (a)   143,409 
         1,051,213 
Software—5.2%     
 20,066   ACI Worldwide, Inc. (a)   386,070 
 9,022   Gigamon, Inc. (a)   134,789 
 132,156   Imageware Systems, Inc. (a)   253,739 
         774,598 
Thrifts & Mortgage Finance—4.4%     
 8,327   Meta Financial Group, Inc.   312,346 
 14,236   Ocwen Financial Corp. (a)   335,400 
         647,746 
Transportation Infrastructure—3.4%     
 58,897   Aegean Marine Petroleum Network, Inc.   497,680 
        Total Common Stocks
(Cost $15,751,796)
   14,780,318 
          
Principal
Amount
         
Short-Term Investments—0.9%     
$140,000   State Street Eurodollar Time Deposit, 0.01%   140,000 
     Total Short-Term Investments
(Cost $140,000)
   140,000 
Total Investments
(Cost $15,891,796)—100.7%
   14,920,318 
Liabilities in Excess of Other Assets—(0.7)%    (109,529)
TOTAL NET ASSETS 100.0%  $14,810,789 


 

 

 

Percentages are stated as a percent of net assets.

 

(a) Non-income producing security.

 

ADR—American Depositary Receipt

 

ASA—Allmennaksjeselskap is the Norwegian term for a public limited company.

 

PLC—Public Limited Company

 

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

 

67

 

Alpine Transformations Fund

 

Schedule of Portfolio Investments
October 31, 2014

 

Shares   Security
Description
  Value 
         
Common Stocks—98.1%     
Aerospace & Defense—4.5%     
 1,000   Northrop Grumman Corp.  $137,960 
 1,000   Raytheon Co.   103,880 
 1,200   United Technologies Corp.   128,400 
         370,240 
Auto Components—0.9%     
 14,000   GKN PLC   71,219 
Biotechnology—3.2%     
 5,000   Merrimack Pharmaceuticals, Inc. (a)   45,850 
 1,500   Receptos, Inc. (a)   155,475 
 6,000   Verastem, Inc. (a)   56,940 
         258,265 
Chemicals—4.6%     
 10,000   Clariant AG (a)   174,089 
 2,500   Eastman Chemical Co.   201,950 
         376,039 
Commercial Services & Supplies—3.7%     
 5,000   Deluxe Corp.   304,000 
Communications Equipment—1.3%     
 6,400   Applied Optoelectronics, Inc. (a)    103,296 
Containers & Packaging—0.8%     
 15,000   DS Smith PLC   63,516 
Diversified Financial Services—2.1%     
 10,000   Bank of America Corp.   171,600 
Electrical Equipment—4.6%     
 2,500   Eaton Corp. PLC   170,975 
 2,500   Generac Holdings, Inc. (a)   113,350 
 5,000   Hydrogenics Corp. (a)   88,500 
         372,825 
Electronic Equipment, Instruments & Components—2.2%     
 3,500   Oxford Instruments PLC   60,469 
 3,700   Universal Display Corp. (a)   115,736 
         176,205 
Energy Equipment & Services—3.0%     
 15,000   Canadian Energy Services & Technology Corp.   115,789 
 1,000   Oceaneering International, Inc.   70,270 
 7,000   Precision Drilling Corp.   58,240 
         244,299 
Health Care Equipment & Supplies—7.9%     
 2,000   Edwards Lifesciences Corp. (a)   241,840 
 100   Intuitive Surgical, Inc. (a)   49,580 
 2,000   Natus Medical, Inc. (a)   68,000 
 10,000   OraSure Technologies, Inc. (a)   89,500 
 11,000   Synergetics U.S.A., Inc. (a)   39,050 
 6,000   Zeltiq Aesthetics, Inc. (a)   153,840 
         641,810 
Health Care Providers & Services—1.2%     
 6,923   Select Medical Holdings Corp.   99,830 
Household Durables—5.8%     
 5,000   Garmin, Ltd.   277,400 
 3,000   Jarden Corp. (a)   195,270 
         472,670 
Internet & Catalog Retail—5.9%     
 400   The Priceline Group, Inc. (a)   482,484 
Shares   Security
Description
  Value 
         
Common Stocks—continued     
Internet Software & Services—2.8%     
 200   Google, Inc.—Class A (a)  $113,574 
 200   Google, Inc.—Class C (a)   111,816 
         225,390 
Life Sciences Tools & Services—1.4%     
 1,000   Thermo Fisher Scientific, Inc.   117,570 
Machinery—10.3%     
 34,000   Hexagon Composites ASA   141,647 
 4,000   IMI PLC   78,193 
 7,000   Manitex International, Inc. (a)   80,010 
 1,500   Navistar International Corp. (a)   53,055 
 3,000   Snap-on, Inc.   396,420 
 1,000   The Middleby Corp. (a)   88,500 
         837,825 
Office Electronics—1.9%     
 12,000   Xerox Corp.   159,360 
Oil, Gas & Consumable Fuels—2.7%     
 372   Apache Corp.   28,719 
 1,000   HollyFrontier Corp.   45,380 
 14,000   Scorpio Tankers, Inc.   122,220 
 1,000   Stone Energy Corp. (a)   24,500 
         220,819 
Paper & Forest Products—1.9%     
 3,000   International Paper Co.   151,860 
Pharmaceuticals—6.4%  
 5,000   Aratana Therapeutics, Inc. (a)   56,000 
 500   Jazz Pharmaceuticals PLC (a)   84,420 
 2,000   Mallinckrodt PLC (a)   184,360 
 3,000   Mylan, Inc. (a)   160,650 
 8,000   TherapeuticsMD, Inc. (a)   35,520 
         520,950 
Road & Rail—3.9%     
 700   AMERCO   189,784 
 1,500   Ryder System, Inc.   132,705 
         322,489 
Semiconductors & Semiconductor Equipment—0.8%     
 20,000   Vitesse Semiconductor Corp. (a)   69,600 
Software—2.9%  
 15,000   Callidus Software, Inc. (a)   211,350 
 10,000   Mitek Systems, Inc. (a)   27,700 
         239,050 
Technology, Hardware, Storage & Peripherals—7.2%     
 1,400   Apple, Inc.   151,200 
 7,758   Cray, Inc. (a)   268,892 
 2,500   Synaptics, Inc. (a)   171,075 
         591,167 
Trading Companies & Distributors—3.0%     
 5,000   Ashtead Group PLC   83,504 
 1,500   United Rentals, Inc. (a)   165,090 
         248,594 
Transportation Infrastructure—1.2%     
 12,000   Aegean Marine Petroleum Network, Inc.   101,400 
     Total Common Stocks
(Cost $5,842,074)
   8,014,372 


 

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

 

68

 

Alpine Transformations Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal Amount   Security
Description
  Value 
         
Short-Term Investments—10.5%   
$859,000   State Street Eurodollar Time Deposit, 0.01%  $859,000 
     Total Short-Term Investments
(Cost $859,000)
   859,000 
Total Investments
(Cost $6,701,074)—108.6%
   8,873,372 
Liabilities in Excess of Other Assets—(8.6)%    (705,083)
TOTAL NET ASSETS 100.0%   $8,168,289 


 

 

 

Percentages are stated as a percent of net assets.

 

(a) Non-income producing security.

 

AG—Aktiengesellschaft is a German term that refers to a corporation that is limited by shares, i.e., owned by shareholders.

 

ASA—Allmennaksjeselskap is the Norwegian term for a public limited company.

 

PLC—Public Limited Company

 

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

 

69

 

Alpine Equity Income Fund

 

Schedule of Portfolio Investments
October 31, 2014

 

Shares   Security
Description
  Value 
         
Common Stocks—85.8%     
Aerospace & Defense—4.3%     
 2,000   Precision Castparts Corp.  $441,400 
 13,000   Raytheon Co.   1,350,440 
 16,000   United Technologies Corp.   1,712,000 
         3,503,840 
Banks—1.7%     
 5,000   PNC Financial Services Group, Inc.   431,950 
 5,000   Signature Bank (a)   605,650 
 8,000   Washington Trust Bancorp, Inc.   306,960 
         1,344,560 
Biotechnology—1.4%     
 7,000   Amgen, Inc.   1,135,260 
Capital Markets—1.7%     
 5,000   Ameriprise Financial, Inc.   630,850 
 34,000   Apollo Global Management LLC—Class A   773,500 
         1,404,350 
Chemicals—3.7%     
 20,000   E.I. du Pont de Nemours & Co.   1,383,000 
 13,000   Eastman Chemical Co.   1,050,140 
 6,000   International Flavors & Fragrances, Inc.   594,900 
         3,028,040 
Commercial Services & Supplies—1.5%     
 20,000   Deluxe Corp.   1,216,000 
Communications Equipment—1.6%     
 16,000   QUALCOMM, Inc.   1,256,160 
Consumer Finance—1.1%     
 11,000   Capital One Financial Corp.   910,470 
Diversified Financial Services—5.8%     
 16,367   Citigroup, Inc.   876,126 
 10,000   CME Group, Inc.   838,100 
 40,500   JPMorgan Chase & Co.   2,449,440 
 49,739   Medallion Financial Corp.   574,485 
         4,738,151 
Diversified Telecommunication Services—3.0%     
 34,000   AT&T, Inc.   1,184,560 
 25,000   Verizon Communications, Inc.   1,256,250 
         2,440,810 
Electric Utilities—1.4%     
 11,000   American Electric Power Co., Inc.   641,740 
 6,000   Duke Energy Corp.   492,900 
         1,134,640 
Food & Staples Retailing—4.7%     
 15,000   CVS Health Corp.   1,287,150 
 25,000   Safeway, Inc.   871,500 
 20,000   Walgreen Co.   1,284,400 
 9,000   Weis Markets, Inc.   401,760 
         3,844,810 
Health Care Equipment & Supplies—3.0%     
 8,600   Becton, Dickinson & Co.   1,106,820 
 12,000   Zimmer Holdings, Inc.   1,334,880 
         2,441,700 
Health Care Providers & Services—1.6%     
 6,000   Cardinal Health, Inc.   470,880 
 4,000   McKesson Corp.   813,640 
         1,284,520 
Shares   Security
Description
  Value 
         
Common Stocks—continued     
Hotels, Restaurants & Leisure—1.6%     
 43,000   International Game Technology  $704,770 
 10,000   Las Vegas Sands Corp.   622,600 
         1,327,370 
Household Products—1.6%     
 6,000   Colgate-Palmolive Co.   401,280 
 10,000   The Procter & Gamble Co.   872,700 
         1,273,980 
Industrial Conglomerates—0.6%     
 20,000   General Electric Co.   516,200 
Insurance—5.7%     
 16,000   MetLife, Inc.   867,840 
 17,000   Prudential Financial, Inc.   1,505,180 
 9,105   The Chubb Corp.   904,673 
 34,000   The Hartford Financial Services Group, Inc.   1,345,720 
         4,623,413 
IT Services—3.0%     
 10,000   Accenture PLC—Class A   811,200 
 10,000   International Business Machines Corp.   1,644,000 
         2,455,200 
Media—5.1%     
 26,000   CBS Corp.—Class B   1,409,720 
 26,763   CBS Outdoor Americas, Inc.   814,398 
 27,000   Cinemark Holdings, Inc.   953,640 
 17,000   Comcast Corp.—Class A   940,950 
         4,118,708 
Multi-Utilities—1.7%     
 14,000   Wisconsin Energy Corp.   695,240 
 20,200   Xcel Energy, Inc.   676,094 
         1,371,334 
Office Electronics—0.9%     
 55,000   Xerox Corp.   730,400 
Oil, Gas & Consumable Fuels—3.3%     
 9,000   Chevron Corp.   1,079,550 
 21,000   Kinder Morgan, Inc.   812,700 
 20,889   Teekay LNG Partners LP   820,938 
         2,713,188 
Pharmaceuticals—7.5%     
 9,200   Abbott Laboratories   401,028 
 15,000   AbbVie, Inc.   951,900 
 10,000   GlaxoSmithKline PLC—ADR   454,900 
 24,000   Johnson & Johnson   2,586,720 
 41,000   Pfizer, Inc.   1,227,950 
 8,000   Teva Pharmaceutical Industries, Ltd.—ADR   451,760 
         6,074,258 
Real Estate Investment Trusts—8.2%     
 9,000   Boston Properties, Inc.   1,140,750 
 63,000   CBL & Associates Properties, Inc.    1,205,190 
 17,000   Digital Realty Trust, Inc.   1,172,830 
 26,000   Rayonier, Inc.   870,220 
 12,000   Simon Property Group, Inc.   2,150,520 
 8,761   Washington Prime Group, Inc.   154,456 
         6,693,966 


 

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

 

70

 

Alpine Equity Income Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Shares   Security
Description
  Value 
         
Common Stocks—continued     
Road & Rail—0.8%     
 2,500   AMERCO  $677,800 
Specialty Retail—1.6%     
 20,000   TJX Cos., Inc.   1,266,400 
Technology, Hardware, Storage & Peripherals—2.6%     
 14,000   Apple, Inc.   1,512,000 
 20,000   EMC Corp.   574,600 
         2,086,600 
Textiles, Apparel & Luxury Goods—1.8%     
 5,000   PVH Corp.   571,750 
 13,000   VF Corp.   879,840 
         1,451,590 
Trading Companies & Distributors—3.3%     
 16,000   GATX Corp.   1,014,400 
 4,500   Watsco, Inc.   457,290 
 5,000   WW Grainger, Inc.   1,234,000 
         2,705,690 
     Total Common Stocks
(Cost $52,583,481)
   69,769,408 
           
Contract
Amount
         
Call Options Purchased—0.1%     
Pharmaceuticals—0.1%     
 10,000   Bristol-Myers Squibb Co., Expiration Date 1/17/2015, Strike Price $55.0   45,250 
     Total Call Options Purchased
(Cost $7,629)
   45,250 
Contract
Amount
   Security
Description
  Value 
         
Put Options Purchased—0.0%     
Computers & Peripherals—0.0%     
 20,000   EMC Corp., Expiration Date 11/22/2014, Strike Price $27.0  $2,200 
     Total Put Options Purchased
(Cost $15,607)
   2,200 
           
Principal
Amount
         
Bonds—6.4%     
U.S. Treasury Bonds—6.4%     
$4,000,000   5.250%, 11/15/2028   5,232,500 
     Total Bonds (Cost $4,438,661)   5,232,500 
Short-Term Investments—7.7%     
 6,297,000   State Street Eurodollar Time Deposit, 0.01%   6,297,000 
     Total Short-Term Investments
(Cost $6,297,000)
   6,297,000 
Total Investments
(Cost $63,342,378)—100.0%
   81,346,358 
Other Assets in Excess of Liabilities—0.0% (b)   12,151 
TOTAL NET ASSETS 100.0%  $81,358,509 


 

 

 

Percentages are stated as a percent of net assets.

 

(a) Non-income producing security.

 

(b) Amount is less than 0.05%.

 

ADR—American Depositary Receipt

 

PLC—Public Limited Company

 

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

 

71

 

Alpine Ultra Short Municipal Income Fund

 

Schedule of Portfolio Investments
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—103.8%     
Alabama—4.1%     
$3,895,000   Alabama Housing Finance Authority Revenue, Multi- Family Housing Revenue, Phoenix Apartments Project—Series A (LOC: Regions Bank) 0.590%, 01/01/2036 (Putable on 11/06/2014) (a)  $3,895,000 
 8,295,000   Alabama Port Authority Docks Facilities Revenue (CS: NATL—RE; LIQ FAC: Dexia Credit Local) 0.380%, 10/01/2024 (Putable on 11/06/2014) (a)   8,295,000 
 1,245,000   Birmingham-Baptist Medical Centers, Special Care Facilities Financing Authority, Baptist Health System, Inc.—Series A 5.000%, 11/15/2014   1,246,917 
 7,820,000   Chatom Industrial Development Board Gulf Opportunity Zone Revenue, PowerSouth Energy Cooperative—Series A 0.500%, 11/15/2038 (Putable on 11/15/2014) (a)   7,820,078 
 2,000,000   Chatom Industrial Development Board Pollution Control Revenue, PowerSouth Energy Cooperative—Series C 0.450%, 12/01/2024 (Putable on 12/01/2014) (a)   2,000,000 
 1,650,000   Health Care Authority for Baptist Health Revenue—Series B (CS: Assured Guaranty) 0.500%, 11/15/2037 (Putable on 11/07/2014) (a)   1,650,000 
 12,000,000   Health Care Authority for Baptist Health Revenue—Series B (CS: Assured Guaranty) 0.550%, 11/01/2042 (Putable on 11/06/2014) (a)   12,000,000 
 5,395,000   Mobile Downtown Redevelopment Authority Revenue, Lafayette Plaza Hotel Project—Series A (LOC: Regions Bank) 0.420%, 05/01/2032 (Putable on 11/06/2014) (a)   5,395,000 
 1,705,000   The Medical Clinic Board of the City of Gulf Shores Revenue, Colonial Pinnacle MOB Project (LOC: Regions Bank) 0.420%, 07/01/2034 (Putable on 11/06/2014) (a)   1,705,000 
         44,006,995 
Arizona—4.4%     
 850,000   Arizona Health Facilities Authority Hospital System Revenue, Phoenix Children’s Hospital—Series A 2.000%, 02/01/2015   853,238 
Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
Arizona—continued     
$16,700,000   Cochise County Pollution Control Corp. Revenue, Arizona Electric Power Cooperative, Inc. Project 0.520%, 09/01/2024 (Putable on 03/01/2015) (a)  $16,699,499 
 30,000,000   Phoenix Industrial Development Authority Solid Waste Revenue, Republic Services, Inc. Project 0.430%, 12/01/2035 (Putable on 11/03/2014) (a)   30,000,000 
         47,552,737 
California—8.8%     
 820,000   ABAG Finance Authority for Nonprofit Corp., Episcopal Senior Communities—Series B 3.000%, 07/01/2015   831,603 
 500,000   California County Tobacco Securitization Agency, Refunding Bonds 4.000%, 06/01/2015   509,925 
 370,000   California Health Facilities Financing Authority Revenue, Children’s Hospital of Los Angeles—Series A 5.000%, 11/15/2015   381,389 
 40,000,000   California Pollution Control Financing Authority, Solid Waste Disposal Revenue, Republic Services, Inc. Project—Series A 0.450%, 08/01/2023 (Putable on 11/03/2014) (a)   40,011,600 
 3,500,000   California Pollution Control Financing Authority, Solid Waste Disposal Revenue, Waste Management Inc. Project—Series A 1.650%, 07/01/2031 (Putable on 05/01/2017) (a)   3,532,095 
 3,800,000   California School Cash Reserve Program Authority Revenue—Series O 2.000%, 12/31/2014   3,809,272 
 5,000,000   California School Cash Reserve Program Authority Revenue, Tax and Revenue Anticipation Notes—Series G 2.000%, 02/27/2015   5,027,200 
 750,000   California State Public Works Board Lease Revenue, Department of Corrections—Series A 5.250%, 09/01/2016   752,707 
 765,000   California Statewide Communities Development Authority Industrial Development Revenue—Spratling-Cranor Properties LLC—Series A (LOC: City National Bank) 1.650%, 06/01/2020 (Putable on 11/05/2014) (a)   765,000 


 

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

 

72

 

Alpine Ultra Short Municipal Income Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued    
California—continued     
$545,000   California Statewide Communities Development Authority Revenue, Episcopal Communities & Services 3.000%, 05/15/2015  $550,695 
 560,000   City of La Verne, Brethren Hillcrest Homes 3.000%, 05/15/2016   576,940 
 5,270,000   City of Los Angeles Multifamily Housing Revenue, Masselin Manor Project—Series J (LOC: Bank of America N.A.) 0.950%, 07/01/2015 (Putable on 11/06/2014) (a)   5,270,000 
 4,000,000   JPMorgan Chase Putters/Drivers Trust Revenue—Series 4478Z (LIQ FAC: JPMorgan Chase Bank N.A.) 0.250%, 05/01/2022 (Putable on 11/06/2014) (a)   4,000,000 
 11,150,000   Palomar Pomerado Health Care—Series A, ARN (CS: Assured Guaranty Municipal) 0.800%, 11/01/2036 (Putable on 11/04/2014) (a)   11,150,000 
 6,100,000   Palomar Pomerado Health Care—Series B, ARN (CS: Assured Guaranty Municipal) 0.950%, 11/01/2036 (Putable on 11/05/2014) (a)   6,100,000 
 11,675,000   Palomar Pomerado Health Care—Series C, ARN (CS: Assured Guaranty Municipal) 0.950%, 11/01/2036 (Putable on 11/06/2014) (a)   11,675,000 
         94,943,426 
Colorado—0.9%     
 9,405,000   Arkansas River Power Authority Power Revenue (CS: Dexia Credit) 0.340%, 10/01/2026 (Putable on 11/06/2014) (a)   9,405,000 
 500,000   E-470 Public Highway Authority—Series D1 (CS: NATL-RE) 5.250%, 09/01/2016   537,515 
         9,942,515 
Connecticut—1.1%     
 750,000   City of Bridgeport, General Obligation Bond—Series A (CS: Assured Guaranty Municipal) 4.125%, 10/01/2017   773,003 
 11,000,000   City of New Britain, General `Obligation Bond Anticipation Notes—Series B 2.000%, 03/26/2015   11,054,450 
         11,827,453 
Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
Florida—6.5%     
$30,000,000   Florida Development Finance Corp., Healthcare Facilities Revenue, UF Health-Jacksonville Project—Series B 1.000%, 02/01/2029 (Putable on 11/06/2014) (a)  $30,000,000 
 2,200,000   Liberty County Industrial Development Revenue, Georgia Pacific Corp. Project 0.310%, 10/01/2028 (Putable on 11/06/2014) (a)   2,200,000 
 34,075,000   Miami-Dade County Expressway Authority Toll System Revenue—Series DCL-2012-005 (CS: AMBAC; LOC: Dexia Credit Local) 0.502%, 05/20/2029 (Putable on 11/03/2014) (a)   34,075,000 
 1,000,000   Southeast Overtown Park West Community Redevelopment Agency—Series A-1 3.000%, 03/01/2015   1,007,870 
 285,000   Southeast Overtown Park West Community Redevelopment Agency—Series A-2 3.000%, 03/01/2015   287,263 
 1,315,000   Southeast Overtown Park West Community Redevelopment Agency—Series A-2 4.000%, 03/01/2016   1,367,034 
 1,000,000   State Correctional Privatization Commission Cops—Series A (CS: AMBAC) 5.000%, 08/01/2015   1,007,600 
         69,944,767 
Georgia—0.1%       
 1,000,000   Douglas County Development Authority Revenue, Electrical Fiber Systems Project (LOC: Regions Bank) 0.560%, 12/01/2021 (Putable on 11/06/2014) (a)   1,000,000 
Hawaii—0.5%     
 5,000,000   Hawaii Health System Corp. Maui Regional System Revenue, Bond Anticipation Notes—Series 2013 2.250%, 02/01/2015   5,000,500 
Illinois—9.8%     
 63,470,000   Chicago Board of Education—Series-DCL-2012-001 (LOC: Dexia Credit Local) 0.582%, 12/01/2034 (Putable on 11/03/2014) (a)   63,470,000 
 30,800,000   Chicago IL Sales Tax Revenue (SPA: JPMorgan Chase Bank N.A.) 0.250%, 01/01/2034 (Putable on 11/03/2014) (a)   30,800,000 


 

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

 

73

 

Alpine Ultra Short Municipal Income Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
Illinois—continued     
$150,000   Plano Special Service Areas No 1 & 2, Special Tax Refunding (CS: Assured Guaranty Municipal) 1.000%, 03/01/2015  $150,154 
 150,000   Plano Special Service Areas No 1 & 2, Special Tax Refunding (CS: Assured Guaranty Municipal) 2.000%, 03/01/2016   151,806 
 4,400,000   Springfield Airport Authority, Allied-Signal, Inc. Project 5.000%, 09/01/2018 (Putable on 11/05/2014) (a)   4,400,000 
 5,000,000   State of Illinois, General Obligation Bond—Series 2014 (CS: Assured Guaranty) 5.000%, 04/01/2015   5,090,200 
 1,000,000   State of Illinois, General Obligation Refunding Bond 5.000%, 08/01/2015   1,032,610 
 200,000   Village of Gilberts, Special Service Area # 15 Tax Refunding (CS: Assured Guaranty Municipal) 0.850%, 03/01/2015   200,018 
         105,294,788 
Indiana—7.3%     
 1,000,000   City of Indianapolis Industrial Development Revenue, Joint Clutch Service (LOC: PNC Bank N.A.) 0.590%, 12/01/2014   1,000,000 
 12,000,000   Indiana Finance Authority Economic Development Revenue, Republic Services, Inc. Project—Series A 0.400%, 05/01/2034 (Putable on 12/01/2014) (a)   12,000,600 
 6,435,000   Indiana Finance Authority Environmental Improvement Revenue, Mittal Steel U.S.A., Inc. Project (LOC: Banco Bilbao Vizcaya Argentaria) 0.520%, 08/01/2030 (Putable on 11/05/2014) (a)   6,435,000 
 59,595,000   Indiana Finance Authority, Multifamily HSG Revenue (LIQ FAC: CitiGroup) 1.000%, 10/26/2017 (Putable on 11/06/2014) (a)   59,595,000 
         79,030,600 
Iowa—0.1%     
 1,000,000   State Higher Education Loan Authority, University Dubuque—Series A 2.000%, 05/14/2015   1,007,160 
Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
Kansas—0.2%     
$1,000,000   City of Dodge City Industrial Development Revenue, Farmland National Beef Packing Co., L.P. Project (LOC: Rabobank Int.) 1.250%, 03/01/2027 (Putable on 11/06/2014) (a)  $1,000,000 
 1,000,000   City of Liberal KS Industrial Development Revenue, Farmland National Beef Packing Co., L.P. Project (LOC: Rabobank Int.) 1.250%, 02/01/2029 (Putable on 11/06/2014) (a)   1,000,000 
         2,000,000 
Kentucky—1.0%     
 3,000,000   City of Somerset, General Obligation Note 1.250%, 10/01/2016   3,000,000 
 2,000,000   Lexington-Fayette Urban County Government Revenue, Richmond Place Associates, L.P. Project (LOC: Bank of America N.A.) 0.400%, 04/01/2015   2,000,000 
 5,500,000   Pulaski County Solid Waste Disposal Revenue, National Rural Utilities—East Kentucky Power—Series B 0.500%, 08/15/2023 (Putable on 02/17/2015) (a)   5,500,000 
         10,500,000 
Louisiana—3.5%     
 10,900,000   East Baton Rouge Parish Industrial Development Board Solid Waste Disposal, Georgia Pacific Corp. Project (LOC: Georgia-Pacific LLC) 0.310%, 06/01/2029 (Putable on 11/05/2014) (a)   10,900,000 
 4,100,000   Jefferson Parish Industrial Development Board Revenue, Variable Rate Demand Revenue Bonds Sara Lee Corp. Project 0.400%, 06/01/2024 (Putable on 11/03/2014) (a)   4,100,000 
 2,050,000   Louisiana Housing Finance Agency Revenue, Multifamily Housing Restoration—Series A (LOC: Regions Bank) 0.470%, 12/01/2032 (a)   2,050,000 
 2,505,000   Louisiana Public Facilities Authority Revenue, Equipment & Capital Facilities Pooled—Loan B (LOC: Capital One Bank NA) 0.620%, 07/01/2033 (Putable on 11/06/2014) (a)   2,505,000 


 

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

 

74

 

Alpine Ultra Short Municipal Income Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
Louisiana—continued     
$530,000   Louisiana Public Facilities Authority Revenue, Equipment & Capital Facilities Pooled—Series B (LOC: Capital One Bank NA) 0.620%, 07/01/2033 (Putable on 11/06/2014) (a)  $530,000 
 1,465,000   North Webster Parish Industrial Development Revenue, CSP Project (LOC: Regions Bank) 2.050%, 09/01/2021 (Putable on 11/06/2014) (a)   1,465,000 
 1,110,000   Ouachita Parish Industrial Development Board, Garrett Manufacturing LLC (LOC: Regions Bank) 0.560%, 12/01/2016 (Putable on 11/06/2014) (a)   1,110,000 
 15,000,000   Plaquemines Port Harbor & Terminal District Revenue, International Marine Terminal Project—Series A (LOC: Wells Fargo Bank N.A.) 0.500%, 03/15/2025 (Putable on 03/15/2015) (a)   15,000,000 
         37,660,000 
Massachusetts—1.0%     
 9,105,000   Massachusetts Development Finance Agency, Jewish Rehabilitation Center—Series A (LOC: RBS Citizens N.A.) 0.240%, 04/01/2041 (Putable on 11/06/2014) (a)   9,105,000 
 1,000,000   Massachusetts Development Finance Agency, Waste Management, Inc.—Series B 2.125%, 12/01/2029 (Putable on 12/01/2015) (a)   1,018,870 
 622,422   Massachusetts Housing Finance Agency Revenue—Series 2970 (CS: Assured Gty LIQ FAC: Morgan Stanley Bank) 0.700%, 07/01/2025 (Putable on 11/06/2014) (a)   622,422 
         10,746,292 
Michigan—1.2%     
 7,900,000   City of Detroit Sewage Disposal System Revenue, Senior Lien—Series 1182 (CS: Assured Guaranty; LOC: Rabobank, Int.) 0.950%, 07/01/2029 (Putable on 11/07/2014) (a)   7,900,000 
 5,000,000   Michigan Finance Authority Revenue, Detroit School District—Series E 2.850%, 08/20/2015   5,032,150 
         12,932,150 
Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
Mississippi—7.3%     
$68,000,000   Mississippi Business Finance Corp. Revenue, PSL—North America LLC Project—Series A (LOC: ICICI Bank) 2.580%, 11/01/2032 (Putable on 11/06/2014) (a)  $68,000,000 
 6,495,000   Mississippi Business Finance Corp., Hattiesburg Clinic Professional Association Project (LOC: Regions Bank) 0.420%, 11/01/2026 (Putable on 11/06/2014) (a)   6,495,000 
 4,440,000   Mississippi Business Finance Corp., Tri-State Truck Center, Inc. Project (LOC: Regions Bank) 0.430%, 03/01/2033 (Putable on 11/06/2014) (a)   4,440,000 
         78,935,000 
Missouri—0.2%    
 1,125,000   City of Riverside Industrial Development Authority, Tax Increment Refunding Revenue Bonds 2.000%, 05/01/2015   1,133,505 
 1,245,000   Missouri Health & Educational Facilities Authority Health Facilities Revenue, Freeman Health System 5.000%, 02/15/2015   1,259,143 
         2,392,648 
Montana—0.7%     
 8,000,000   City of Livingston, Revenue Anticipation Notes, Livingston Healthcare Project—Series 2013 2.000%, 12/01/2015   8,007,200 
New Jersey—11.4%     
 500,000   Casino Reinvestment Development Authority 4.000%, 11/01/2016   527,230 
 3,830,000   Casino Reinvestment Development Authority—Series A (CS: NATL-RE) 5.000%, 06/01/2016   3,936,244 
 3,500,000   Cedar Grove Township School District, Prommisory Notes 1.000%, 07/30/2015   3,507,420 
 6,400,000   City of Atlantic City, Bond Anticipation Notes—Series 2014 1.750%, 02/03/2015   6,411,136 
 7,000,000   City of Newark, Bond Anticipation Notes, General Improvement—Series B (SPA: Dexia Credit Local) 1.750%, 06/24/2015   7,031,360 
 5,119,000   City of Newark, General Obligation Notes—Series E 1.500%, 12/10/2014   5,122,225 
 1,120,000   City of Newark, School Promissory Notes—Series C 1.750%, 06/24/2015   1,125,018 


 

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

 

75

 

Alpine Ultra Short Municipal Income Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
New Jersey—continued     
$21,000,000   City of Newark, Tax Anticipation Notes—Series A 1.750%, 02/20/2015  $21,025,410 
 5,836,000   City of Paterson, General Obligation Notes 1.500%, 06/03/2015   5,860,920 
 36,300,000   New Jersey Economic Development Authority Revenue, Port Newark Container Terminal LLC Project—Series-B (LOC: Sovereign Bank N.A.) 0.740%, 07/01/2030 (Putable on 11/05/2014) (a)   36,300,000 
 1,800,000   New Jersey Economic Development Authority Solid Waste Facilities Revenue, Waste Management—Series A 0.550%, 06/01/2015   1,800,828 
 2,000,000   New Jersey Economic Development Authority, First Mortgage Revenue Refunding Bonds, Winchester Gardens Project—Series A 5.800%, 11/01/2031   2,005,920 
 480,000   New Jersey Health Care Facilities Financing Authority Revenue, Barnabas Health—Series A 4.000%, 07/01/2015   490,594 
 20,835,000   New Jersey Higher Education Student Assistance Authority (CS: Assured Guaranty; SPA: Citibank N.A.) 0.320%, 06/01/2016 (Putable on 11/06/2014) (a)   20,835,000 
 500,000   New Jersey Higher Education Student Assistance Authority Senior Student Loan Revenue—Series-1A 4.000%, 12/01/2014   501,475 
 5,932,578   Township of Irvington, Notes 2.125%, 06/19/2015   5,949,960 
         122,430,740 
New York—13.2%     
 100,000   Build NYC Resource Corp., Revenue Refunding Bonds, Methodist Hospital Project 5.000%, 07/01/2015   102,941 
 3,000,000   City of Elmira, Revenue Anticipation Notes 1.250%, 05/28/2015   3,007,650 
 3,686,002   City of Glen Cove, Bond Anticipation Notes—Series F 1.250%, 01/09/2015   3,688,435 
 410,000   City of Long Beach—Series A 2.000%, 11/15/2015   415,363 
 850,000   City of Long Beach—Series B 2.000%, 12/15/2014   851,402 
 2,075,000   City of Long Beach, Revenue Anticipation Notes—Series A 1.500%, 09/18/2015   2,082,387 
Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
New York—continued     
$1,745,000   City of Long Beach, Revenue Anticipation Notes—Series B 1.500%, 09/18/2015  $1,753,446 
 545,000   City of Poughkeepsie, Public Improvement—Series A 3.125%, 04/15/2015   550,265 
 4,100,000   City of Utica, Bond Anticipation Notes—Series A 1.500%, 02/25/2015   4,108,036 
 1,530,000   City of Yonkers General Obligation Bond—Series A 4.000%, 07/01/2015   1,567,653 
 1,000,000   City of Yonkers General Obligation Bond—Series C 4.000%, 08/15/2015   1,029,280 
 3,860,000   Franklin County Solid Waste Management Authority, Bond Anticipation Notes 1.000%, 03/31/2015   3,860,116 
 3,500,000   Nassau County, Bond Anticipation Notes—Series A 2.000%, 02/02/2015   3,514,140 
 4,300,000   New York City Municipal Water Finance Authority, Water and Sewer System Revenue (SPA: Dexia Credit Local) 0.200%, 06/15/2032 (Putable on 11/03/2014) (a)   4,300,000 
 20,000,000   New York State Housing Finance Agency Revenue—Series A (LOC: Bank Of China) 0.300%, 05/01/2048 (Putable on 11/03/2014) (a)   20,000,000 
 1,000,000   New York Environmental Facilities Corp. Solid Waste Disposal Revenue, Waste Management, Inc. Project—Series 2012 0.370%, 05/01/2030 (a)   1,000,000 
 10,000,000   Port Authority of New York & New Jersey Special Obligation, Special Project—JFK International Air Terminal-4 (CS: NATL-RE) 6.250%, 12/01/2014   10,042,800 
 500,000   Rockland County, General Obligation Bond—Series B 3.000%, 12/15/2014   501,310 
 6,000,000   Rockland County, Tax Anticipation Notes 2.000%, 03/17/2015   6,031,680 
 10,000,000   Saint Lawrence County, Revenue Anticipation Notes 1.500%, 08/28/2015   10,047,900 
 8,000,000   Suffolk County, Revenue Anticipation Notes 1.500%, 03/26/2015   8,034,480 
 10,000,000   Town of Oyster Bay, Revenue Anticipation Notes 1.000%, 03/27/2015   10,017,500 


 

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

 

76

 

Alpine Ultra Short Municipal Income Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
New York—continued     
$10,500,000   Town of Ramapo, Bond Anticipation Notes—Series B 4.000%, 05/27/2015 (b)  $10,582,425 
 35,000,000   Utica School District, Bond Anticipation Notes 1.000%, 11/27/2014   35,007,350 
 500,000   Westchester Tobacco Asset Securitization Corp. 5.000%, 06/01/2026   500,845 
         142,597,404 
North Carolina—1.3%     
 7,200,000   Hertford County Industrial Facilities & Pollution Control Financing Authority Revenue, Variable Rate Demand Bonds—Nucor Corp. Project—Series B 0.210%, 11/01/2033 (Putable on 11/05/2014) (a)   7,200,000 
 7,000,000   North Carolina Capital Facilities Finance Agency, Solid Waste Disposal Revenue, Republic Services, Inc. Project—Series B 0.400%, 12/01/2020 (Putable on 12/01/2014) (a)   7,000,070 
         14,200,070 
Ohio—1.5%     
 7,230,000   Columbus Regional Airport Authority Revenue, West Bay Apartments Project (LOC: Sovereign Bank N.A.) 0.840%, 12/01/2034 (Putable on 11/06/2014) (a)   7,230,000 
 9,000,000   Ohio Water Development Authority, Solid Waste Revenue, Waste Management Project 2.250%, 11/01/2022 (Putable on 11/02/2015) (a)   9,168,210 
         16,398,210 
Oregon—1.1%     
 3,150,000   Gilliam County, Solid Waste Disposal Revenue, Waste Management, Inc. Project—Series A 0.750%, 08/01/2025 (Putable on 05/01/2015) (a)   3,153,686 
 150,000   Multnomah County Hospital Facilities Authority Revenue, Terwilliger Plaza, Inc. 2.000%, 12/01/2014   150,174 
 9,000,000   State of Oregon Revenue, Adjustable Refunding, Georgia-Pacific Corp. Project 0.310%, 12/01/2025 (Putable on 11/05/2014) (a)   9,000,000 
         12,303,860 
Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
Pennsylvania—3.4%     
$5,205,000   Allegheny County Airport Authority Revenue (CS: NATL-RE; LOC: Dexia Credit Local) 0.330%, 01/01/2021 (Putable on 11/06/2014) (a)  $5,205,000 
 5,075,000   Allegheny County Airport Authority Revenue (CS: NATL-RE; LOC: Dexia Credit Local) 0.330%, 01/01/2022 (Putable on 11/06/2014) (a)   5,075,000 
 5,000,000   Beaver County Industrial Development Authority, Refunding Pollution Control, FirstEnergy Generation Project—Series B 2.500%, 12/01/2041 (Putable on 06/01/2017) (a)   5,100,450 
 200,000   Dallas Area Municipal Authority, University Revenue Bonds, Misericordia University Project—Series 2014 4.000%, 05/01/2016   209,028 
 2,000,000   Pennsylvania Economic Development Financing Authority Sold Waste Disposal Revenue, Republic Services, Inc. Project 0.400%, 06/01/2044 (Putable on 01/02/2015) (a)   2,000,000 
 3,670,000   Pennsylvania Economic Development Financing Authority, First Energy Generation LLC—Series A 3.375%, 12/01/2040 (Putable on 07/01/2015) (a)   3,731,399 
 13,500,000   Pennsylvania Economic Development Financing Authority, Solid Waste Disposal Revenue, Waste Management, Inc. 0.400%, 08/01/2045 (Putable on 11/03/2014) (a)   13,500,000 
 2,000,000   Pennsylvania Economic Development Financing Authority, Solid Waste Disposal Revenue, Waste Management, Inc. 1.750%, 12/01/2033 (Putable on 12/01/2015) (a)   2,026,900 
         36,847,777 
Puerto Rico—1.8%     
 500,000   Commonwealth of Puerto Rico, Public Improvement—Series A (CS: Assured Guaranty Municipal) 5.000%, 07/01/2017   523,235 
 820,000   Commonwealth of Puerto Rico, Public Improvement—Series A (CS: NATL-RE) 5.500%, 07/01/2016   852,701 


 

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

 

77

 

Alpine Ultra Short Municipal Income Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
Puerto Rico—continued     
$2,590,000   Commonwealth of Puerto Rico, Public Improvement Bonds (CS: Assured Guaranty Municipal) 5.500%, 07/01/2017  $2,743,095 
 670,000   Commonwealth of Puerto Rico, Public Improvement Bonds—Series A (CS: NATL-RE) 5.500%, 07/01/2017   705,229 
 8,000,000   Government Development Bank for Puerto Rico Revenue (CS: NATL-RE) 4.750%, 12/01/2015   8,172,560 
 250,000   Puerto Rico Electric Power Authority—Series SS (CS: NATL-RE) 5.000%, 07/01/2017   251,735 
 140,000   Puerto Rico Electric Power Authority Revenue Bonds—Series LL (CS: NATL-RE) 5.500%, 07/01/2017   145,555 
 1,100,000   Puerto Rico Highways & Transportation Authority Revenue—Series E (CS: Assured Guaranty Municipal) 5.500%, 07/01/2017   1,154,989 
 250,000   Puerto Rico Industrial Tourist Educational Medical & Environmental Control Facilities Financing Authority Revenue, Universidad Sacred Heart Project 4.000%, 10/01/2015   251,410 
 550,000   Puerto Rico Municipal Finance Agency—Series A (CS: Assured Guaranty Municipal) 5.000%, 08/01/2016   560,351 
 4,835,000   University of Puerto Rico Revenue—Series Q 5.000%, 06/01/2015   4,251,464 
         19,612,324 
Rhode Island—0.1%     
 900,000   Rhode Island Health & Educational Building Corp. Revenue, Hospital Financing Revenue, Lifespan Obligated Group Issue—Series A (CS: Assured Guaranty Municipal) 5.000%, 05/15/2015   920,979 
South Carolina—0.0% (c)     
 115,000   Allendale County School District, Energy Savings Special Obligation, Refunding & Improvement Bonds 2.000%, 12/01/2014   115,138 
 245,000   South Carolina Jobs-Economic Development Authority, Refunding Revenue Bonds, FMU Student Housing LLC-Francis Marion—Series A 3.000%, 08/01/2015   249,035 
         364,173 
Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
Tennessee—0.9%     
$9,800,000   Lewisburg Industrial Development Board Solid Waste Disposal Revenue, Waste Management, Inc. of Tennessee Project 0.400%, 07/02/2035 (Putable on 11/03/2014) (a)  $9,800,000 
Texas—6.1%     
 3,000,000   Central Texas Regional Mobility Authority, Revenue Refunding Bonds—Series B 3.000%, 01/01/2045 (Putable on 01/04/2016) (a)   3,043,650 
 2,920,000   Fort Bend County Industrial Development Corp., Aaron Rents, Inc. Project (LOC: Wells Fargo Bank N.A.) 0.260%, 01/01/2026 (Putable on 11/06/2014) (a)   2,920,000 
 570,000   Hidalgo County Health Services Corp., Hospital Revenue Bonds, Mission Hospital, Inc.—Series 2008 5.000%, 08/15/2016   603,818 
 30,000,000   Mission Economic Development Corp. Solid Waste Disposal Revenue, Republic Services, Inc. Project 0.450%, 01/01/2026 (Putable on 11/03/2014) (a)   30,000,000 
 1,500,000   Texas Municipal Gas Acquisition & Supply Corp. III Gas Supply Revenue—Series 2012 (CS: Macquarie Group Ltd) 5.000%, 12/15/2014   1,507,365 
 2,000,000   Texas Municipal Gas Acquisition & Supply Corp. III Gas Supply Revenue—Series 2012 (CS: Macquarie Group Ltd) 5.000%, 12/15/2015   2,092,480 
 9,000,000   Texas Transportation Commission Turnpike System Revenue—Series B 1.250%, 08/15/2042 (Putable on 02/15/2015) (a)   9,020,430 
 12,700,000   Weslaco Health Facilities Development Corp., Knapp Medical Center—Series A (LOC: Compass Bank) 0.370%, 06/01/2038 (Putable on 11/06/2014) (a)   12,700,000 
 3,990,000   Weslaco Health Facilities Development Corp., Knapp Medical Center—Series B (LOC: Compass Bank) 0.370%, 06/01/2031 (Putable on 11/06/2014) (a)   3,990,000 
         65,877,743 


 

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

 

78

 

Alpine Ultra Short Municipal Income Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
Virgin Islands—0.2%     
$300,000   Virgin Islands Port Authority Revenue, Refunding Bonds—Series A 4.000%, 09/01/2015  $307,950 
 1,280,000   Virgin Islands Public Finance Authority, Revenue Bonds—Series A 5.000%, 10/01/2015   1,330,061 
         1,638,011 
Virginia—2.4%     
 1,750,000   Amelia County Industrial Development Authority, Solid Waste Disposal Revenue, Waste Management, Inc. Project 0.625%, 04/01/2027 (Putable on 04/01/2015) (a)   1,751,488 
 19,500,000   Campbell County Industrial Development Authority Solid Waste Disposal Facility Revenue, Georgia Pacific Corp. Project (CS: Georgia-Pacific LLC) 0.310%, 12/01/2019 (Putable on 11/05/2014) (a)   19,500,000 
 5,000,000   King George County Industrial Development Authority, Solid Waste Disposal Revenue, Waste Management, Inc. Project 0.700%, 06/01/2023 (Putable on 05/01/2015) (a)   5,000,950 
         26,252,438 
West Virginia—1.0%    
 11,100,000   Fayette County Commission Solid Waste Disposal Facility, Georgia Pacific Corp. (LOC: Georgia-Pacific LLC) 0.310%, 05/01/2018 (Putable on 11/05/2014) (a)   11,100,000 
Principal
Amount
   Security
Description
  Value 
         
Municipal Bonds—continued     
Wisconsin—0.4%     
$2,500,000   Cameron School District, Bond Anticipation Notes 2.000%, 08/17/2015  $2,514,625 
 1,500,000   City of Racine, Note Anticipation Notes 2.000%, 08/12/2015   1,503,300 
         4,017,925 
Wyoming—0.3%     
 2,855,000   Gillette Environmental Improvement Revenue, Black Hills Power and Light Co.—Series A 0.750%, 06/01/2024 (Putable on 11/05/2014) (a)   2,855,000 
     Total Municipal Bonds
(Cost $1,119,828,226)
   1,119,940,885 
         
Shares        
Money Market Funds—0.0% (c)     
 174,528   BlackRock Liquidity Funds:
MuniCash Portfolio, 0.01%
   174,528 
     Total Money Market Funds
(Cost $174,528)
   174,528 
          
Principal
Amount
         
Short-Term Investments—1.7%    
$17,995,000   County of Carroll, Kentucky Utilities Project, 0.25%   17,995,000 
     Total Short-Term Investments
(Cost $17,995,000)
   17,995,000 
Total Investments
(Cost $1,137,997,754)—105.5%
   1,138,110,413 
Liabilities in Excess of Other Assets—(5.5)%   (59,006,427)
TOTAL NET ASSETS 100.0%  $1,079,103,986 


 

 

 

Percentages are stated as a percent of net assets.

 

(a) Variable Rate Security-The rate reported is the rate in effect as of October 31, 2014.
   
(b) Restricted 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 Board of Trustees. Liquid securities restricted under Rule 144A comprised 1.0% of the Fund’s net assets.
   
(c) Amount is less than 0.05%.

 

AMBAC—American Municipal Bond Assurance Corp.

 

ARN—Auction Rate Note

 

CS—Credit Support

 

CSP—Continental Structural Plastics

 

LIQ FAC—Liquidity Facility

 

LOC—Letter of Credit

 

NA—North America

 

NATL-RE—Reinsurance provided by National Public Finance Guarantee Corp.

 

SPA—Standby Purchase Agreement

 

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

 

79

 

Alpine Municipal Money Market Fund

 

Schedule of Portfolio Investments
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—98.8%     
Alabama—0.9%     
$1,000,000   Mobile AL Industrial Development Board Pollution Control Revenue, Alabama Power Co., Barry Plant Project 0.320%, 07/15/2034 (Putable on 10/01/2015) (a)  $1,000,000 
California—0.3%     
 350,000   Los Angeles Regional Airports Improvement Corp. Lease Revenue, Los Angeles International Airport (LOC: Societe Generale) 0.400%, 12/01/2015 (Putable on 11/07/2014) (a)   350,000 
Colorado—5.6%     
 2,540,000   Colorado Housing & Finance Authority Economic Development Revenue, Monaco LLC—Series A (LOC: UMB Bank N.A.) 0.170%, 12/01/2027 (Putable on 11/07/2014) (a)   2,540,000 
 1,865,000   Colorado Housing & Finance Authority Economic Development Revenue, Pacific Instruments Project (LOC: Wells Fargo Bank N.A.) 0.260%, 08/01/2020 (Putable on 11/07/2014) (a)   1,865,000 
 2,195,000   Colorado Housing & Finance Authority Economic Development Revenue, Popiel Properties LLC Project—Series A (LOC: UMB Bank N.A.) 0.250%, 12/01/2029 (Putable on 11/07/2014) (a)   2,195,000 
         6,600,000 
Florida—5.4%     
 750,000   Broward County Housing Finance Authority, Sailboat Bend Artist Lofts Project (LOC: Citibank N.A.) 0.150%, 04/15/2038 (Putable on 11/07/2014) (a)   750,000 
 3,360,000   Manatee County Industrial Development Revenue, Gaemmerler U.S. Corp. (LOC: Wells Fargo Bank N.A.) 0.260%, 10/01/2035 (Putable on 11/07/2014) (a)   3,360,000 
 2,220,000   Sarasota County Industrial Development Revenue, Tervis Tumbler Co. (LOC: Bank of America N.A.) 0.230%, 11/01/2024 (Putable on 11/07/2014) (a)   2,220,000 
         6,330,000 
Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
Illinois—9.8%     
$2,000,000   City of Chicago, Deutsche Bank Spears/Lifers Trust, Various States Gold—Series DBE-494 (CS: Deutsche Bank AG) 0.160%, 01/01/2029 (Putable on 11/07/2014) (a)(b)  $2,000,000 
 1,120,000   City of East Moline, Rock Island County Industrial Development Revenue, Elliott Aviation (LOC: U.S. Bank N.A.) 0.150%, 12/01/2019 (Putable on 11/07/2014) (a)   1,120,000 
 500,000   Des Plaines Industrial Development Revenue, MMP Properties LLC (LOC: JPMorgan Chase Bank) 0.300%, 10/01/2018 (Putable on 11/07/2014) (a)   500,000 
 195,000   Elk Grove Village Industrial Development Revenue, Rainbow Fish House, Inc. Project (LOC: JPMorgan Chase Bank) 0.500%, 05/01/2016 (Putable on 11/07/2014) (a)   195,000 
 1,000,000   Elmhurst Industrial Development Revenue, John Sakash Co., Inc. Project (LOC: Bank of America N.A.) 0.250%, 02/01/2025 (Putable on 11/07/2014) (a)   1,000,000 
 875,000   Illinois Finance Authority Industrial Development Revenue, 2500 DevelGroup LLC—Series A (LOC: JPMorgan Chase Bank) 0.180%, 01/01/2021 (Putable on 11/07/2014) (a)   875,000 
 245,000   Illinois Finance Authority Industrial Development Revenue, Church Road Partnership (LOC: JPMorgan Chase Bank) 0.500%, 10/01/2017 (Putable on 11/07/2014) (a)   245,000 
 1,645,000   Illinois Finance Authority Industrial Development Revenue, Industrial Steel Construction, Inc. (LOC: JPMorgan Chase Bank) 0.300%, 07/15/2023 (Putable on 11/07/2014) (a)   1,645,000 
 455,000   Illinois Finance Authority Industrial Development Revenue, Merug LLC—Series B (LOC: JPMorgan Chase Bank) 0.300%, 12/01/2018 (Putable on 11/07/2014) (a)   455,000 
 140,000   Illinois Finance Authority Revenue, Knead Dough Baking Co. Project (LOC: JPMorgan Chase Bank) 0.500%, 09/01/2025 (Putable on 11/07/2014) (a)   140,000 


 

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

 

80

 

Alpine Municipal Money Market Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
Illinois—continued     
$900,000   Illinois Finance Authority Revenue, Reliable Materials Project (LOC: Fifth Third Bank) 0.350%, 06/01/2026 (Putable on 11/07/2014) (a)  $900,000 
 335,000   Village of Hanover Park Industrial Development Revenue, Spectra-Tech, Inc. Project (LOC: BMO Harris Bank N.A.) 0.510%, 08/01/2017 (Putable on 11/07/2014) (a)   335,000 
 2,065,000   Village of Woodridge, DuPage, Will & Cook Counties Industrial Development Revenue, Home Run Inn Frozen Food (LOC: JPMorgan Chase Bank) 0.300%, 10/01/2025 (Putable on 11/07/2014) (a)   2,065,000 
         11,475,000 
Indiana—8.6%     
 2,690,000   City of Jeffersonville, Economic Development Revenue, Amatrol Project 0.130%, 04/01/2023 (Putable on 11/07/2014) (a)   2,690,000 
 520,000   City of South Bend Economic Development Revenue, Dynamic R.E.H.C., Inc. Project (LOC: KeyBank N.A.) 0.700%, 09/01/2020 (Putable on 11/07/2014) (a)   520,000 
 1,785,000   Indiana Finance Authority Development Revenue, TTP, Inc. Project (LOC: Bank of America N.A.) 0.200%, 02/01/2026 (Putable on 11/07/2014) (a)   1,785,000 
 5,000,000   Posey County Economic Development Revenue, Midwest Fertilizer Corp. Project—Series A 0.300%, 07/01/2046 (Putable on 11/18/2014) (a)   5,000,000 
         9,995,000 
Louisiana—7.5%     
 2,510,000   Caddo-Bossier Parishes Port Commission Revenue, Oakley Louisiana, Inc. (LOC: Bank of America N.A.) 0.160%, 01/01/2028 (Putable on 11/07/2014) (a)   2,510,000 
 1,200,000   Parish of Ascension, Variable Rate Demand Revenue Bonds, BASF Corp. 0.140%, 03/01/2025 (Putable on 11/07/2014) (a)   1,200,000 
Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
Louisiana—continued     
$5,000,000   Plaquemines Port Harbor & Terminal District Revenue, International Marine Terminal Project—Series A (LOC: Wells Fargo Bank N.A.) 0.500%, 03/15/2025 (Putable on 03/15/2015) (a)  $5,000,000 
         8,710,000 
Michigan—3.8%    
 775,000   Michigan Strategic Fund Limited Obligation Revenue, Dawnbreakers LLC (LOC: Fifth Third Bank) 0.190%, 05/01/2018 (Putable on 11/07/2014) (a)   775,000 
 1,400,000   Michigan Strategic Fund Limited Obligation Revenue, Envelope Printery, Inc. (LOC: Fifth Third Bank) 0.190%, 03/01/2027 (Putable on 11/07/2014) (a)   1,400,000 
 2,000,000   Michigan Strategic Fund Limited Obligation Revenue, Sacred Heart Rehabilitation Center (LOC: Fifth Third Bank) 0.170%, 03/01/2037 (Putable on 11/07/2014) (a)   2,000,000 
 200,000   Michigan Strategic Fund Limited Obligation Revenue, Warren Screw Products, Inc. (LOC: JPMorgan Chase Bank) 0.500%, 09/01/2016 (Putable on 11/07/2014) (a)   200,000 
 100,000   Sterling Heights Economic Development Corp. Revenue, Kunath Enterprises LLC (LOC: JPMorgan Chase Bank) 0.500%, 02/01/2016 (Putable on 11/07/2014) (a)   100,000 
         4,475,000 
New Jersey—1.3%     
 500,000   City of Rahway, Bond Anticipation Notes 1.250%, 09/29/2015   503,847 
 1,000,000   Hudson County Improvement Authority, Guaranteed Pooled Notes—Series S-1 1.000%, 12/10/2014   1,000,638 
         1,504,485 
New Mexico—0.3%     
 380,000   Albuquerque Industrial Development Revenue, Karsten Co.—Series A (LOC: U.S. Bank N.A.) 0.190%, 12/01/2017 (Putable on 11/07/2014) (a)   380,000 


 

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

 

81

 

Alpine Municipal Money Market Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
New York—2.7%     
$715,000   Erie County Industrial Development Agency Revenue, Heritage Centers Project (LOC: KeyBank N.A.) 0.190%, 09/01/2018 (Putable on 11/07/2014) (a)  $715,000 
 2,000,000   Nassau County, Revenue Anticipation Notes—Series A 2.000%, 03/16/2015   2,011,458 
 430,000   New York City Industrial Development Agency, Allway Tools, Inc. (LOC: Citibank N.A.) 0.250%, 08/01/2017 (Putable on 11/07/2014) (a)   430,000 
         3,156,458 
North Carolina—6.1%     
 7,100,000   Davidson County Industrial Facilities & Pollution Control Financing Authority Revenue, Dieboid, Inc. (LOC: Bank of America N.A.) 0.250%, 06/01/2017 (Putable on 11/07/2014) (a)   7,100,000 
Ohio—2.3%     
 970,000   City of Hilliard Revenue, National Sign Systems, Inc. Project 0.150%, 12/01/2019 (Putable on 11/07/2014) (a)   970,000 
 1,695,000   Stark County Industrial Development Authority, H-P Products, Inc. (LOC: KeyBank N.A.) 0.190%, 06/01/2018 (Putable on 11/07/2014) (a)   1,695,000 
         2,665,000 
Pennsylvania—3.3%     
 3,900,000   Washington County Hospital Authority Revenue, Washington Hospital—Series A (LOC: PNC Bank N.A.) 0.350%, 07/01/2037 (Putable on 07/01/2015) (a)   3,900,000 
South Carolina—2.1%     
 2,400,000   South Carolina Jobs-Economic Development Authority, Dorris Properties LLC Project (LOC: TD Bank N.A.) 0.070%, 07/01/2032 (Putable on 11/07/2014) (a)   2,400,000 
Tennessee—6.9%     
 6,000,000   Hendersonville Industrial Development Board—Series A (LOC: Fifth Third Bank) 0.170%, 05/01/2036 (Putable on 11/07/2014) (a)   6,000,000 
Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
Tennessee—continued     
$2,100,000   Union City Industrial Development Board, Industrial Development Revenue, Kohler Co. Project (LOC: Wells Fargo Bank N.A.) 0.260%, 10/01/2020 (Putable on 11/07/2014) (a)  $2,100,000 
         8,100,000 
Texas—15.3%     
 2,600,000   Dallam County Industrial Development Corp., Rick & Janice Van Ryan (LOC: Wells Fargo Bank N.A.) 0.250%, 07/01/2037 (Putable on 11/07/2014) (a)   2,600,000 
 5,600,000   Dallas-Fort Worth International Airport Facilities Improvement Corp. Revenue, Airport Facility, FlightSafety Texas, Inc. Project (CS: Obh LLC) 0.060%, 07/01/2032 (Putable on 11/07/2014) (a)   5,600,000 
 6,200,000   Port of Corpus Christi Authority of Nueces County, Solid Waste Disposal Revenue, Flint Hills Resources LP, West Plant Project—Series A 0.080%, 07/01/2029 (Putable on 11/07/2014) (a)   6,200,000 
 3,500,000   Port of Port Arthur Navigation District Revenue, BASF Corp. 0.140%, 04/01/2033 (Putable on 11/07/2014) (a)   3,500,000 
         17,900,000 
Utah—1.6%     
 1,860,000   City of West Jordan Industrial Development Revenue, PenCo Products, Inc. (LOC: KeyBank N.A.) 0.200%, 04/01/2019 (Putable on 11/07/2014) (a)   1,860,000 
Washington—6.8%     
 1,870,000   Seattle Housing Authority Revenue, Douglas Apartments (LOC: KeyBank N.A.) 0.210%, 06/01/2040 (Putable on 11/07/2014) (a)   1,870,000 
 810,000   Washington Economic Development Finance Authority, Art & Theresa Mensonides—Series I (LOC: Wells Fargo Bank N.A.) 0.250%, 10/01/2016 (Putable on 11/07/2014) (a)   810,000 
 1,400,000   Washington Economic Development Finance Authority, Belina Interiors, Inc.—Series E (LOC: KeyBank N.A.) 0.700%, 08/01/2033 (Putable on 11/07/2014) (a)   1,400,000 


 

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

 

82

 

Alpine Municipal Money Market Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal

Amount

   Security
Description
  Value 
           
Municipal Bonds—continued     
Washington—continued     
$1,110,000   Washington Economic Development Finance Authority, Belina Interiors, Inc.—Series F (LOC: KeyBank N.A.) 0.700%, 11/01/2023 (Putable on 11/07/2014) (a)  $1,110,000 
 2,745,000   Washington Economic Development Finance Authority, Wesmar Co., Inc. Project—Series F (LOC: U.S. Bank N.A.) 0.170%, 07/01/2032 (Putable on 11/07/2014) (a)   2,745,000 
         7,935,000 
Wisconsin—8.2%     
 2,510,000   City of Baraboo, Industrial Development Revenue, Series 2007, Teel Plastics, Inc. Project (LOC: BMO Harris Bank N.A.) 0.410%, 11/01/2042 (Putable on 11/07/2014) (a)   2,510,000 
 1,905,000   Mequon Industrial Development Revenue, SPI Lighting (LOC: BMO Harris Bank N.A.) 0.410%, 12/01/2023 (Putable on 11/07/2014) (a)   1,905,000 
 500,000   Milwaukee Redevelopment Authority, Kubin Nicholson Corp. Project—Series A (LOC: BMO Harris Bank N.A.) 0.410%, 08/01/2020 (Putable on 11/07/2014) (a)   500,000 
Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
Wisconsin—continued     
$825,000   Rhinelander Industrial Development Revenue, Super Diesel/SDI Properties (LOC: JPMorgan Chase Bank) 0.360%, 07/01/2021 (Putable on 11/07/2014) (a)  $825,000 
 2,825,000   Village of Menomonee Falls Industrial Development Revenue, AJ Die-Namics Project (LOC: BMO Harris Bank N.A.) 0.410%, 11/01/2036 (Putable on 11/07/2014) (a)   2,825,000 
 1,000,000   Wausau Industrial Development Revenue, Apogee Enterprises, Inc. (LOC: Comerica Bank) 0.160%, 03/01/2022 (Putable on 11/07/2014) (a)   1,000,000 
         9,565,000 
     Total Municipal Bonds
 (Cost $115,400,943)
   115,400,943 
Shares     
Money Market Funds—1.0%     
 1,202,801   BlackRock Liquidity Funds:
MuniCash Portfolio, 0.01%
   1,202,801 
     Total Money Market Funds
 (Cost $1,202,801)
   1,202,801 
Total Investments
(Cost $116,603,744)—99.8%
   116,603,744 
Other Assets in Excess of Liabilities—0.2%   178,807 
TOTAL NET ASSETS 100.0%  $116,782,551 


 

 

 

Percentages are stated as a percent of net assets.

 

(a) Variable Rate Security—The rate reported is the rate in effect as of October 31, 2014.
   
(b) Restricted 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 Board of Trustees. Liquid securities restricted under Rule 144A comprised 1.7% of the Fund’s net assets.

 

AG—Aktiengesellschaft is a German term that refers to a corporation that is limited by shares, i.e., owned by shareholders.

 

CS—Credit Support

 

LOC—Letter of Credit

 

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

 

83

 

Alpine High Yield Managed Duration Municipal Fund

 

Schedule of Portfolio Investments
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—107.6%     
Alabama—6.1%  
$250,000   Alabama Industrial Development Solid Waste Disposal Revenue (CS: OfficeMax, Inc.) 6.450%, 12/01/2023 (a)  $252,495 
 850,000   Health Care Authority for Baptist Health Revenue—Series D 5.000%, 11/15/2021 (a)   881,110 
 15,000   Jefferson County Ltd. Obligation School Warrants—Series A 5.250%, 01/01/2015   15,240 
 250,000   Jefferson County Ltd. Obligation School Warrants—Series A 5.250%, 01/01/2017   253,995 
 160,000   Jefferson County, Capital Improvement Warrants—Series A (CS: NATL-RE) 5.000%, 04/01/2023 (a)   160,035 
         1,562,875 
Arizona—0.8%  
 200,000   Phoenix Industrial Development Authority Revenue, Legacy Traditional Schools Project—Series A 4.750%, 07/01/2019 (b)   211,350 
California—2.1%     
 135,000   California School Finance Authority, School Facility Revenue Bond, Alta Public Schools Project—Series A 3.400%, 11/01/2015 (b)   135,000 
 200,000   Inland Empire Tobacco Securitization Authority, Tobacco Settlement—Series A 4.625%, 06/01/2021 (a)   194,200 
 150,000   Inland Empire Tobacco Securitization Authority, Tobacco Settlement—Series A 5.000%, 06/01/2021 (a)   148,753 
 50,000   Riverside County Public Financing Authority, Redevelopment Project—Series A (CS: XLCA) 5.000%, 10/01/2015   50,130 
         528,083 
Colorado—1.0%     
 250,000   Colorado Health Facilities Authority Revenue, Covenant Retirement Communities, Inc.—Series B 3.150%, 12/01/2018   254,290 
Florida—6.4%     
 250,000   Capital Trust Agency, Inc. Revenue, First Mortgage Revenue-Silver Creek St. Augustine Project—Series A 6.500%, 01/01/2024 (a)   257,617 
 200,000   City of Atlantic Beach, Health Care Facilities Revenue Naval CCRC—Series A 5.000%, 11/15/2021 (a)   226,664 
Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
Florida—continued     
$200,000   City Of Tampa, Solid Waste System Revenue (CS: Assured Guaranty Municipal) 5.000%, 10/01/2020  $232,292 
 300,000   Collier County Industrial Development Authority CCRC, Arlington of Naples Project—Series B-1 6.875%, 05/15/2021 (b)   301,977 
 100,000   Florida Development Finance Corp., Educational Facilities Revenue Bonds, Miami Arts Charter School Project—Series A 5.000%, 06/15/2024 (a)(b)   99,618 
 400,000   Palm Beach County Health Facilities Authority Revenue, Sinai Residences Boca Raton Project—Series C 6.000%, 06/01/2021 (a)   434,032 
 100,000   Village Community Development District #11, Special Assessment Revenue 3.250%, 05/01/2019   100,083 
         1,652,283 
Guam—1.1%     
 250,000   Guam International Airport Authority Revenue—Series C 5.000%, 10/01/2021 (a)   283,470 
Idaho—1.4%     
 360,000   Idaho Health Facilities Authority Revenue, The Terraces Boise Project—Series B-2 6.000%, 10/01/2021 (a)   363,161 
Illinois—9.1%     
 155,000   Chicago Board of Education, Dedicated Revenues (CS: Assured Guaranty Municipal) 5.000%, 12/01/2022 (a)   169,223 
 150,000   City of Chicago—Series A 4.000%, 01/01/2019   157,011 
 210,000   City of Chicago—Series A 4.000%, 01/01/2020 (a)   214,427 
 100,000   City of Chicago, General Obligation 5.000%, 12/01/2024 (a)   104,582 
 200,000   Illinois Finance Authority Educational Facility Revenue Bonds, Senior Rogers Park Montessori School Project 5.000%, 02/01/2024 (a)   202,050 
 150,000   Southwestern Development Authority Revenue, Memorial Group, Inc. 5.750%, 11/01/2019   167,948 
 50,000   State of Illinois, General Obligation Refunding Bond 5.000%, 08/01/2021 (a)   56,253 
 1,090,000   State of Illinois, General Obligation Refunding Bond—Series A (CS: NATL-RE) 5.250%, 10/01/2015 (a)   1,093,978 


 

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

 

84

 

Alpine High Yield Managed Duration Municipal Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
Illinois—continued     
$180,000   Stephenson County Revenue (CS: AMBAC) 4.500%, 12/01/2020  $183,983 
         2,349,455 
Indiana—3.9%     
 100,000   City of Anderson, Economic Development Revenue Refunding & Improvement, Anderson University Project 5.000%, 10/01/2024   101,306 
 250,000   City of Valparaiso Exempt Facilities Revenue, Pratt Paper LLC Project 5.875%, 01/01/2024 (a)   281,947 
 325,000   Indiana Finance Authority Environmental Revenue, Refunding-Improvement, United States Steel Corp. 6.000%, 12/01/2026 (a)   359,388 
 225,000   Indiana Finance Authority Revenue, King’s Daughters Hospital & Health Services 5.000%, 08/15/2020   254,174 
         996,815 
Iowa—1.8%     
 100,000   City of Coralville, Certificate of Participation—Series D 5.250%, 06/01/2022 (a)   100,370 
 350,000   Iowa Finance Authority, Midwestern Disaster Area Revenue, Iowa Fert. Co. 5.000%, 12/01/2019 (a)   374,363 
         474,733 
Kansas—3.7%     
 150,000   Kansas Independent College Finance Authority, Bethany College—Series A 5.000%, 05/01/2015   150,573 
 100,000   Kansas Independent College Finance Authority, Central Christian College—Series B 5.000%, 05/01/2015   100,406 
 200,000   Kansas Independent College Finance Authority, Ottawa University—Series C 4.600%, 05/01/2015   200,776 
 280,000   Overland Park Development Corp. Revenue, Second Tier Convention Center Hotel—Series B (CS: AMBAC) 5.125%, 01/01/2022 (a)   286,952 
 200,000   Wichita Health Care Facilities Revenue, Temps-80- Presbyterian Manors—Series IV-B-1 4.250%, 11/15/2021 (a)   200,476 
         939,183 
Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
Louisiana—1.1%    
$250,000   Parish of St. Charles, Gulf Opportunity Zone Revenue, Valero Energy Corp. 4.000%, 12/01/2040 (Putable on 06/01/2022) (a)(c)  $271,047 
Maryland—4.4%  
 110,000   Anne Arundel County, Consolidated Special Taxing District Bonds, Villages at Two Rivers Project 4.200%, 07/01/2024 (a)   112,629 
 500,000   City of Westminster, Lutheran Village at Miller’s Grant, Inc.—Series C 4.375%, 07/01/2021 (a)   512,310 
 500,000   City of Westminster, Lutheran Village at Miller’s Grant, Inc.—Series D 3.875%, 07/01/2019   512,515 
         1,137,454 
Massachusetts—2.8%     
 153,000   Massachusetts Development Finance Agency Revenue, North Hills Communities—Series B-3 4.000%, 11/15/2017   153,066 
 450,000   Massachusetts Port Authority Facilities Revenue, Delta Air Lines, Inc. Project—Series A (CS: AMBAC) 5.000%, 01/01/2021 (a)   450,139 
 25,000   Massachusetts Port Authority Facilities Revenue, Delta Air Lines, Inc. Project—Series A (CS: AMBAC) 5.500%, 01/01/2015   25,026 
 30,000   Massachusetts Port Authority Facilities Revenue, Delta Air Lines, Inc. Project—Series A (CS: AMBAC) 5.500%, 01/01/2017   30,029 
 50,000   Massachusetts Port Authority Facilities Revenue, Delta Air Lines, Inc. Project—Series A (CS: AMBAC) 5.500%, 01/01/2022 (a)   50,028 
         708,288 
Michigan—6.8%     
 280,000   City of Detroit, Sewage Disposal System Revenue—Series B (CS: NATL-RE) 5.000%, 07/01/2015   288,403 
 230,000   City of Detroit, Sewage Disposal System Revenue—Series B (CS: NATL-RE) 5.500%, 07/01/2015   237,655 
 100,000   City of Detroit, Water Supply System Revenue—Series A (CS: NATL-RE) 6.000%, 07/01/2015   103,655 


 

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

 

85

 

Alpine High Yield Managed Duration Municipal Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
Michigan—continued     
$575,000   Michigan Finance Authority Revenue, Detroit School District—Series E 2.850%, 08/20/2015  $578,697 
 200,000   Michigan Strategic Fund Revenue, United Methodist Retirement Communities, Inc. Project 5.125%, 11/15/2025 (a)   206,040 
 390,000   Michigan Tobacco Settlement Finance Authority Revenue—Series A 5.125%, 06/01/2022 (a)   339,647 
         1,754,097 
Minnesota—1.8%     
 145,000   City of Hugo, Charter School Lease Revenue Bonds, Noble Academy Project—Series A 4.000%, 07/01/2020   153,261 
 300,000   City of Oak Park Heights, Nursing Home Revenue, Boutwells Landing Care Center Project 4.000%, 02/01/2020   313,248 
         466,509 
Nevada—1.0%     
 250,000   City of North Las Vegas, Refunding Bonds, Water and Sewer System—Series B 4.000%, 08/01/2017   249,795 
New Hampshire—1.0%     
 250,000   New Hampshire Business Finance Authority Revenue, Casella Waste Systems, Inc. Project 4.000%, 04/01/2029 (Putable on 10/01/2019) (b)(c)   249,993 
New Jersey—6.7%  
 415,000   Atlantic City Municipal Utilities Authority, Refunding Water System—Series 2007 (CS: AMBAC) 4.000%, 06/01/2018   413,016 
 55,000   New Jersey Economic Development Authority Revenue, Continental Airlines, Inc. Project 5.500%, 04/01/2028   55,029 
 40,000   New Jersey Economic Development Authority Revenue, First Mortgage Refunding Bonds, Keswick Pines 5.700%, 01/01/2018   40,010 
 500,000   New Jersey Economic Development Authority Revenue, Lions Gate Project—Series 2014 4.375%, 01/01/2024 (a)   506,190 
 125,000   New Jersey Economic Development Authority Revenue, Private Activity-The Goethals Bridge Replacement Project 5.250%, 01/01/2025 (a)   146,819 
Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued    
New Jersey—continued     
$100,000   New Jersey Economic Development Authority, Charter School Revenue, Greater Brunswick Charter School Project—Series A 4.750%, 08/01/2024 (a)(b)  $101,553 
 450,000   New Jersey Tobacco Settlement Financing Corp. Revenue—Series A 4.500%, 06/01/2023 (a)   446,512 
         1,709,129 
New York—4.9%     
 215,000   Buffalo & Erie County Industrial Land Development Corp. Revenue, Madaille College Project 2.125%, 04/01/2015   215,166 
 100,000   New York City Industrial Development Agency Revenue, American Airlines, Inc. 7.500%, 08/01/2016   104,049 
 300,000   New York State Dormitory Authority Revenue, Orange Regional Medical Center 6.000%, 12/01/2016   316,086 
 100,000   Onondaga Civic Development Corp. Revenue, St Joseph’s Hospital Health Center Project—Series A 4.625%, 07/01/2022 (a)   104,440 
 100,000   Onondaga Civic Development Corp. Revenue, St Joseph’s Hospital Health Center Project—Series A 5.000%, 07/01/2019   107,455 
 225,000   Town of Ramapo, Bond Anticipation Notes—Series B 4.000%, 05/27/2015 (a)(b)   226,766 
 200,000   TSASC, Inc.—Series 1 5.000%, 06/01/2026 (a)   194,346 
         1,268,308 
Ohio—6.0%     
 250,000   Buckeye Ohio Tobacco Settlement Financing Authority Revenue—Series A 5.125%, 06/01/2024 (a)   208,288 
 400,000   City of Cleveland, Airport Special Revenue Bonds, Continental Airlines, Inc. 5.375%, 09/15/2027   401,148 
 230,000   City of Cleveland, Airport Special Revenue, Continental Airlines, Inc. 5.700%, 12/01/2019   231,247 
 200,000   Ohio Air Quality Development Authority Revenue, AK Steel Corp. Project 6.750%, 06/01/2024 (a)   204,092 
 200,000   Ohio Air Quality Development Authority Revenue, Pollution Control, FirstEnergy Nuclear Generation Project—Series C 3.950%, 11/01/2032 (Putable on 05/01/2020) (c)   209,652 


 

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

 

86

 

Alpine High Yield Managed Duration Municipal Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
Ohio—continued     
$265,000   Southeastern Ohio Port Authority Revenue, Refunding & Improvement, Memorial Health System 5.000%, 12/01/2016  $278,072 
         1,532,499 
Oklahoma—0.4%     
 95,000   Tulsa Industrial Authority Revenue—Series A (CS: NATL-RE) 6.000%, 10/01/2016   97,005 
Oregon—0.8%     
 100,000   Hospital Facilities Authority of Multnomah County Oregon Revenue, Mirabella At South Waterfront Poject—Series A 5.000%, 10/01/2019   107,170 
 100,000   Hospital Facilities Authority of Multnomah County Oregon Revenue, Mirabella At South Waterfront Project—Series A 5.000%, 10/01/2024 (a)   105,429 
         212,599 
Pennsylvania—3.8%     
 50,000   Allegheny County Industrial Development Authority Revenue, Environmental Improvement Revenue Bonds, US Steel Corp. 6.500%, 05/01/2017   54,079 
 100,000   Indiana County Hospital Authority Revenue, Regional Medical Center—Series A 5.000%, 06/01/2023 (a)   113,159 
 200,000   Pennsylvania Economic Development Financing Authority Revenue, Colver Project—Series F (CS: AMBAC) 5.000%, 12/01/2015   205,490 
 380,000   Philadelphia Hospitals & Higher Education Facilities Authority, Refunding-Temple University Health System—Series B 5.500%, 07/01/2026 (a)   400,775 
 200,000   Pottsville Hospital Facilities Authority, Schuylkill Health System Project 5.750%, 07/01/2022 (a)   208,268 
         981,771 
Puerto Rico—10.2%     
 15,000   Commonwealth of Puerto Rico, General Obligation Bonds (CS: Assured Guaranty Municipal) 5.250%, 07/01/2016   15,650 
 100,000   Commonwealth of Puerto Rico, General Obligation Bonds (CS: NATL-RE) 6.000%, 07/01/2015   102,251 
Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
Puerto Rico—continued     
$150,000   Commonwealth of Puerto Rico, General Obligation Bonds (CS: NATL-RE) 6.000%, 07/01/2016  $157,183 
 300,000   Commonwealth of Puerto Rico, Public Improvement—Series A (CS: Assured Guaranty Municipal) 5.000%, 07/01/2017 (a)   313,941 
 425,000   Commonwealth of Puerto Rico, Public Improvement—Series A (CS: NATL-RE) 5.500%, 07/01/2016   441,949 
 150,000   Commonwealth of Puerto Rico, Public Improvement—Series A (CS: NATL-RE) 5.500%, 07/01/2018   157,521 
 285,000   Government Development Bank for Puerto Rico Revenue (CS: NATL-RE) 4.750%, 12/01/2015 (a)   291,147 
 200,000   Puerto Rico Electric Power Authority Revenue Bonds—Series LL (CS: NATL-RE) 5.500%, 07/01/2017   207,936 
 430,000   Puerto Rico Highways & Transportation Authority Revenue (CS: FGIC) 5.250%, 07/01/2015 (a)   333,706 
 280,000   Puerto Rico Highways & Transportation Authority Revenue (CS: NATL-RE) 5.500%, 07/01/2015   285,457 
 5,000   Puerto Rico Highways & Transportation Authority Revenue—Series W (CS: NATL-RE) 5.500%, 07/01/2015   5,097 
 195,000   Puerto Rico Industrial Development Company Revenue—Series B (CS: NATL-RE) 5.375%, 07/01/2016   195,287 
 120,000   Puerto Rico Public Buildings Authority Revenue, Government Facilities—Series C 5.750%, 07/01/2018   102,521 
         2,609,646 
Rhode Island—0.7%     
 100,000   Rhode Island Health & Educational Building Corp. Revenue, Hospital Financing-Care New England—Series A 5.000%, 09/01/2021 (a)   109,219 
 70,000   Rhode Island Tobacco Settlement Financing Corp. Revenue—Series 2002-A, Class A 6.000%, 06/01/2023 (a)   70,412 
         179,631 


 

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

 

87

 

Alpine High Yield Managed Duration Municipal Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
South Carolina—0.3%     
$65,000   South Carolina Jobs-Economic Development Authority Revenue, Palmetto Health 5.000%, 08/01/2019  $74,247 
Tennessee—1.5%  
 345,000   Tennessee Energy Acquisition Corp. Revenue—Series A (CS: Goldman Sachs & Co.) 5.250%, 09/01/2018 (a)   388,767 
Texas—5.6%     
 175,000   City of Houston Airport System Revenue, Special Facilities Continental Airlines—Series B 6.125%, 07/15/2017 (a)   175,306 
 200,000   City of Houston Airport System, United Air lines, Inc. Terminal E Project 4.500%, 07/01/2020   212,282 
 75,000   Decatur Hospital Authority Revenue, Wise Regional Health System.—Series A 5.000%, 09/01/2023 (a)   82,932 
 185,000   Harris County Cultural Education Facilities Finance Corp. Revenue, Willow Winds Project—Series A 5.000%, 10/01/2023 (a)   212,942 
 150,000   Red River Health Facilities Development Corp. Revenue, TEMPS-MRC Crossings Project—Series B-1 6.125%, 11/15/2020   151,907 
 100,000   Red River Health Facilities Development Corp. Revenue, TEMPS-MSC Crossings Project—Series B-2 5.000%, 11/15/2019   100,960 
 80,000   SA Energy Acquisition Public Facility Corp. Revenue, Gas Supply Revenue (CS: Goldman Sachs & Co.) 5.500%, 08/01/2022   94,505 
 50,000   SA Energy Acquisition Public Facility Corp. Revenue, Gas Supply Revenue (CS: Goldman Sachs & Co.) 5.500%, 08/01/2023 (a)   59,375 
 200,000   Texas Municipal Gas Acquisition & Supply Corp. I Revenue, Sr. Lien—Series D (CS: Merrill Lynch) 6.250%, 12/15/2026 (a)   246,762 
 100,000   Texas Public Finance Authority, Refunding, Southern University Financing System 5.000%, 11/01/2021 (a)   112,727 
         1,449,698 
Principal
Amount
   Security
Description
  Value 
           
Municipal Bonds—continued     
Utah—1.9%     
$205,000   Utah Charter School Finance Authority Revenue, George Washington Academy—Series A 6.375%, 07/15/2018  $218,258 
 275,000   Utah County Environmental Improvement Revenue, US Corp. Project 5.375%, 11/01/2015   283,302 
         501,560 
Vermont—1.6%     
 400,000   Vermont Student Assistance Corp. Education Loan Revenue—Series A 3.000%, 06/15/2019 (a)   406,556 
Washington—2.5%     
 230,000   Washington Housing Finance Commission Revenue, Presbyterian Retirement Communities Northwest Project 5.000%, 01/01/2023 (a)   243,071 
 400,000   Washington Housing Finance Commission, Rockwood Retirement Communities Project—Series B-1 5.875%, 01/01/2021 (b)   400,724 
         643,795 
Wisconsin—4.4%     
 215,000   Public Finance Authority Revenue, Senior Living Rose Villa Project—Series B 4.500%, 11/15/2020   218,064 
 650,000   Wisconsin Health & Educational Facilities Authority Revenue, Fort Healthcare, Inc., Project 5.375%, 05/01/2018 (a)   652,080 
 225,000   Wisconsin Public Finance Authority Revenue, Roseman University of Health Sciences Project 5.000%, 04/01/2022 (a)   248,541 
         1,118,685 
     Total Municipal Bonds
(Cost $27,005,544)
   27,626,777 
           
Shares         
Money Market Funds—0.0% (d)    
 114   Federated Municipal Obligation Fund, 0.01%   114 
     Total Money Market Funds
(Cost $114)
   114 
Total Investments
(Cost $27,005,658)—107.6%
   27,626,891 
Liabilities in Excess of Other Assets—(7.6)%   (1,953,822)
TOTAL NET ASSETS 100.0%  $25,673,069 

 

 

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

 

88

 

Alpine High Yield Managed Duration Municipal Fund

 

Schedule of Portfolio Investments—Continued
October 31, 2014

 

 

Percentages are stated as a percent of net assets.

 

(a) All or a portion of the security has been designated as collateral for the line of credit.
(b) Restricted 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 Board of Trustees. Liquid securities restricted under Rule 144A comprised 6.7% of the Fund’s net assets.
(c) Variable Rate Security-The rate reported is the rate in effect as of October 31, 2014.
(d) Amount is less than 0.05%.

 

AMBAC—American Municipal Bond Assurance Corp.

 

CS—Credit Support

 

FGIC—Federal Guaranty Insurance Co.

 

NATL-RE—Reinsurance provided by National Public Finance Guarantee Corp.

 

XLCA—XL Capital Assurance, Inc.

 

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

 

89

 

Alpine Mutual Funds

 

Statements of Assets and Liabilities
October 31, 2014

 

   Dynamic   Accelerating  Financial 
   Dividend   Dividend  Services 
   Fund    Fund  Fund 
ASSETS:                     
Investments, at value(1)    $212,565,858     $5,341,248     $32,940,056 
Foreign currencies, at value(2)           13,809      119 
Cash           645       
Receivable from investment securities sold     5,727,824      241,139      7,137,382 
Dividends and interest receivable     1,306,691      9,529      16,247 
Receivable from capital shares issued     75,009      200      85,155 
Unrealized appreciation on forward currency contracts     2,888,889             
Due from Adviser     32,064      3,391       
Prepaid expenses and other assets     47,928      4,348      4,087 
Total assets     222,644,263      5,614,309      40,183,046 
                      
LIABILITIES:                     
Payable for investment securities purchased     1,327,349      239,934      1,763,814 
Payable for distributions to shareholders     362,289      1,640       
Payable to custodian     3             
Unrealized depreciation on forward currency contracts     59,074             
Payable for capital shares redeemed     310,389      218      15,110 
Accrued expenses and other liabilities:                     
Investment advisory fees     177,191      4,333      31,489 
Line of credit     5,310,505            2,093,754 
Distribution fees     5,443      1,576      3,381 
Trustee fees     27,698      543      2,392 
Other     409,900      15,548      10,402 
Total liabilities     7,989,841      263,792      3,920,342 
Net Assets    $214,654,422     $5,350,517     $36,262,704 
                      
NET ASSETS REPRESENTED BY:                     
Paid-in-capital    $1,315,155,976     $4,233,629     $32,197,668 
Undistributed (accumulated) net investment income (loss)     (806,054)     37,167      13,349 
Accumulated net realized gain (loss) from investments and foreign currency transactions     (1,123,606,120)     274,380      (5,936)
Net unrealized appreciation/(depreciation) on:                     
Investments     21,116,627      805,411      4,058,004 
Foreign currency translations     2,793,993      (70)     (381)
Net Assets    $214,654,422     $5,350,517     $36,262,704 
                      
Net asset value                     
Institutional Class                     
Net assets    $210,435,537     $4,485,581     $27,994,714 
Shares outstanding     54,993,354      282,379      2,077,529 
Net asset value, offering price and redemption price per share*    $3.83     $15.88     $13.48 
Class A                     
Net assets    $4,218,885     $864,936     $8,267,990 
Shares outstanding     1,101,455      54,471      617,635 
Net asset value per share    $3.83     $15.88     $13.39 
Maximum offering price per share (net asset value plus sales charge of 5.50% of offering price)    $4.05     $16.80     $14.17 
*    If applicable, redemption price per share may be reduced by a redemption fee.                     
(1)  Total cost of investments    $191,449,231     $4,535,837     $28,882,052 
(2)  Cost of foreign currencies    $     $13,809     $119 

 

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

 

90

 

Alpine Mutual Funds

 

Statements of Assets and Liabilities—Continued
October 31, 2014

 

   Small Cap   Transformations  Equity Income
   Fund   Fund  Fund
ASSETS:                     
Investments, at value(1)    $14,920,318     $8,873,372     $81,346,358 
Cash     540      106      755 
Receivable from investment securities sold     213,293      2,545       
Dividends and interest receivable     798      2,036      265,995 
Receivable from capital shares issued     9,387             
Due from Adviser     3,928      3,917       
Prepaid expenses and other assets     33,306      8,132      15,894 
Total assets     15,181,570      8,890,108      81,629,002 
                      
LIABILITIES:                     
Payable for investment securities purchased     218,890      697,099      165,627 
Payable for capital shares redeemed     117,626             
Accrued expenses and other liabilities:                     
Investment advisory fees     12,108      6,504      66,361 
Distribution fees     1,163      891      7,212 
Trustee fees     1,423      843      7,857 
Other     19,571      16,482      23,436 
Total liabilities     370,781      721,819      270,493 
Net Assets    $14,810,789     $8,168,289     $81,358,509 
                      
NET ASSETS REPRESENTED BY:                     
Paid-in-capital    $23,712,811     $5,678,021     $63,245,051 
Undistributed (accumulated) net investment income (loss)     (96,032)            
Accumulated net realized gain (loss) from investments and foreign currency transactions     (7,834,503)     317,994      109,478 
Net unrealized appreciation/(depreciation) on:                     
Investments     (971,478)     2,172,298      18,003,980 
Foreign currency translations     (9)     (24)      
Net Assets    $14,810,789     $8,168,289     $81,358,509 
                      
Net asset value                     
Institutional Class                     
Net assets    $13,589,478     $8,007,259     $77,716,048 
Shares outstanding     964,827      540,922      5,609,872 
Net asset value, offering price and redemption price per share*    $14.08     $14.80     $13.85 
Class A                     
Net assets    $1,221,311     $161,030     $3,642,461 
Shares outstanding     87,383      10,969      263,157 
Net asset value per share    $13.98     $14.68     $13.84 
Maximum offering price per share (net asset value plus sales charge of 5.50% of offering price)    $14.79     $15.53     $14.65 
*    If applicable, redemption price per share may be reduced by a redemption fee.                     
(1)  Total cost of investments    $15,891,796     $6,701,074     $63,342,378 

 

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

 

91

 

Alpine Mutual Funds

 

Statements of Assets and Liabilities—Continued
October 31, 2014

 

   Ultra Short             
   Municipal   Municipal  High Yield
   Income   Money Market  Managed Duration
   Fund   Fund  Municipal Fund
ASSETS:                     
Investments, at value(1)    $1,138,110,413     $116,603,744     $27,626,891 
Cash           6       
Dividends and interest receivable     3,279,728      68,881      424,100 
Receivable from capital shares issued     1,819,666      123,014       
Due from Adviser     443,434      45,841      8,758 
Prepaid expenses and other assets     112,665      22,617      1,437 
Total assets     1,143,765,906      116,864,103      28,061,186 
                      
LIABILITIES:                     
Payable for investment securities purchased     62,396,921            200,472 
Payable for distributions to shareholders                 1,665 
Payable for capital shares redeemed     766,960      600      410 
Accrued expenses and other liabilities:                     
Investment advisory fees     691,189      45,056      16,300 
Line of credit                 2,119,734 
Distribution fees     86,616            362 
Other     720,234      35,896      49,174 
Total liabilities     64,661,920      81,552      2,388,117 
Net Assets    $1,079,103,986     $116,782,551     $25,673,069 
                      
NET ASSETS REPRESENTED BY:                     
Paid-in-capital    $1,079,415,022     $116,782,559     $25,035,521 
Undistributed (accumulated) net investment income (loss)     6            97 
Accumulated net realized gain (loss) from investments and foreign currency transactions     (423,701)     (8)     16,218 
Net unrealized appreciation/(depreciation) on:                     
Net unrealized appreciation on investments     112,659            621,233 
Foreign currency translations                  
Net Assets    $1,079,103,986     $116,782,551     $25,673,069 
                      
Net asset value                     
Institutional Class                     
Net assets    $831,505,258     $     $25,566,008 
Shares outstanding     82,831,379            2,484,593 
Net asset value, offering price and redemption price per share*    $10.04     $     $10.29 
Class A                     
Net assets    $247,598,728     $     $107,061 
Shares outstanding     24,525,305            10,408 
Net asset value per share    $10.10     $     $10.29 
Maximum offering price per share (net asset value plus sales charge of 0.5%, —, 2.50%, respectively, of offering price)    $10.15     $     $10.55 
Investor Class                     
Net Assets    $     $116,782,551     $ 
Shares outstanding           116,785,227       
Net asset value, offering price and redemption price per share*    $     $1.00     $ 
*    If applicable, redemption price per share may be reduced by a redemption fee.                     
(1)  Total cost of investments    $1,137,997,754     $116,603,744     $27,005,658 

 

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

 

92

 

Alpine Mutual Funds

 

Statements of Operations
For the year ended October 31, 2014

 

   Dynamic   Accelerating  Financial
   Dividend   Dividend  Services
   Fund   Fund  Fund
INVESTMENT INCOME:                     
Dividend income    $16,149,979     $241,036     $621,358 
Less: Foreign taxes withheld     (640,091)     (15,545)     (32,410)
Interest income           22      236 
Total investment income     15,509,888      225,513      589,184 
                      
EXPENSES:                     
Investment advisory fee (Note 6)     2,322,998      49,409      463,312 
Transfer agent fees     475,296      9,416      29,501 
Distribution fees - Class A (Note 5)     8,841      2,103      24,788 
Administration fee (Note 6)     64,660      1,285      12,302 
Registration and filing fees     29,515      20,343      44,930 
Audit and tax fees     89,939      17,327      22,711 
Accounting and custody fees     63,599      4,840      14,943 
Printing and mailing fees     78,704      2,443      7,258 
Trustee fees     58,800      1,205      7,342 
Legal fees     49,705      597      5,003 
Interest (Note 2)     71,347      67      13,636 
Other fees     49,549      4,370      7,974 
Total expenses     3,362,953      113,405      653,700 
Less: Fee waivers and/or expense reimbursements (Note 6)     (146,717)     (44,557)      
Net expenses     3,216,236      68,848      653,700 
Net investment income (loss)     12,293,652      156,665      (64,516)
                      
NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS AND FOREIGN CURRENCY:                     
Net realized gain (loss) from:                     
Investments     14,026,882      304,552      471,953 
Foreign currency transactions     (511,719)     (320)     (16,673)
Net realized gain (loss) from investments and foreign currency     13,515,163      304,232      455,280 
Change in net unrealized appreciation/(depreciation) on:                     
Investments     (10,709,233)     96,713      2,521,766 
Foreign currency translations     2,986,063      (85)     (399)
Change in net unrealized appreciation/(depreciation) on investments and foreign currency     (7,723,170)     96,628      2,521,367 
Net gain on investments and foreign currency     5,791,993      400,860      2,976,647 
Increase in net assets from operations    $18,085,645     $557,525     $2,912,131 

 

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

 

93

 

Alpine Mutual Funds

 

Statements of Operations—Continued
For the year ended October 31, 2014

 

   Small Cap   Transformations  Equity Income
   Fund   Fund  Fund
INVESTMENT INCOME:                     
Dividend income    $89,665     $88,808     $1,649,320 
Less: Foreign taxes withheld     (2,048)     (1,934)     (9,765)
Interest income     27      63      459,997 
Total investment income     87,644      86,937      2,099,552 
                      
EXPENSES:                     
Investment advisory fee (Note 6)     139,963      79,391      763,056 
Transfer agent fees     14,522      7,040      13,427 
Distribution fees - Class A (Note 5)     1,648      378      6,756 
Administration fee (Note 6)     3,701      2,085      20,118 
Registration and filing fees     23,582      26,323      29,493 
Audit and tax fees     19,561      18,080      34,903 
Accounting and custody fees     5,486      5,902      11,112 
Printing and mailing fees     6,625      1,988      16,646 
Trustee fees     3,185      1,882      17,610 
Legal fees     4,240      2,520      12,682 
Interest (Note 2)     39      24       
Other fees     5,750      4,894      15,902 
Total expenses     228,302      150,507      941,705 
Less: Fee waivers and/or expense reimbursements (Note 6)     (37,668)     (42,929)      
Net expenses     190,634      107,578      941,705 
Net investment income (loss)     (102,990)     (20,641)     1,157,847 
                      
NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS AND FOREIGN CURRENCY:                     
Net realized gain (loss) from:                     
Investments     4,761,998      339,508      631,064 
Foreign currency transactions     (965)     (69)     (499)
Net realized gain (loss) from investments and foreign currency     4,761,033      339,439      630,565 
Change in net unrealized appreciation/(depreciation) on:                     
Investments     (4,965,266)     593,678      7,449,965 
Foreign currency translations     (9)     (23)     6 
Change in net unrealized appreciation/(depreciation) on investments and foreign currency     (4,965,275)     593,655      7,449,971 
Net gain (loss) on investments and foreign currency     (204,242)     933,094      8,080,536 
Increase (decrease) in net assets from operations    $(307,232)    $912,453     $9,238,383 

 

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

 

94

 

Alpine Mutual Funds

 

Statements of Operations—Continued
For the year ended October 31, 2014

 

   Ultra Short  Municipal  High Yield
   Municipal  Money  Managed
   Income  Market  Duration
   Fund  Fund  Municipal Fund
INVESTMENT INCOME:                  
Interest income    $12,111,357     $436,994     $998,721 
Total investment income     12,111,357      436,994      998,721 
                      
EXPENSES:                     
Investment advisory fee (Note 6)     8,565,656      671,850      164,227 
Transfer agent fees     766,255      29,431      3,202 
Distribution fees - Class A (Note 5)     654,175            258 
Administration fee (Note 6)     310,057      42,003      5,620 
Registration and filing fees     102,898      28,493      44,529 
Audit and tax fees     100,584      20,747      12,333 
Accounting and custody fees     130,976      25,749      1,898 
Printing and mailing fees     87,208      13,544      11,471 
Trustee fees     77,933      9,631      1,323 
Legal fees     62,908      14,839      16,458 
Interest (Note 2)                 2,743 
Insurance fees     66,000      7,850       
Compliance fees     43,747      2,284       
Other fees     5,488      1,614      20,445 
Total expenses     10,973,885      868,035      284,507 
Less: Fee waivers and/or expense reimbursements (Note 6)     (4,223,255)     (467,008)     (106,330)
Net expenses     6,750,630      401,027      178,177 
Net investment income     5,360,727      35,967      820,544 
                      
NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:                     
Net realized gain (loss) from:                     
Investments     64,603      (8)     21,557 
Net realized gain (loss) from investments     64,603      (8)     21,557 
Change in net unrealized appreciation on:                     
Investments     1,068,561            722,871 
Net gain (loss) on investments     1,133,164      (8)     744,428 
Increase in net assets from operations    $6,493,891     $35,959     $1,564,972 

 

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

 

95

 

Alpine Mutual Funds

 

Statements of Changes in Net Assets

 

   Dynamic Dividend Fund
   Year Ended  Year Ended
   October 31, 2014  October 31, 2013
OPERATIONS:              
Net investment income    $12,293,652     $16,502,825 
Net realized gain (loss) from:              
Investments     14,026,882      25,360,454 
Foreign currency transactions     (511,719)     (1,017,948)
Change in net unrealized appreciation/(depreciation) on:              
Investments     (10,709,233)     4,231,571 
Foreign currency translations     2,986,063      (259,908)
Increase in net assets from operations     18,085,645      44,816,994 
               
DISTRIBUTIONS TO SHAREHOLDERS:              
Distributions to Institutional Class Shareholders:              
From net investment income     (14,153,741)     (23,127,472)
Distributions to Class A Shareholders:              
From net investment income     (216,650)     (151,338)
Decrease in net assets from distributions to shareholders     (14,370,391)     (23,278,810)
               
CAPITAL SHARE TRANSACTIONS (NOTE 3):              
Net proceeds from shares sold     12,437,976      17,991,750 
Dividends reinvested     9,778,810      15,480,325 
Redemption fees     2,349      33,269 
Cost of shares redeemed     (61,035,034)     (160,400,826)
Decrease in net assets from capital share transactions     (38,815,899)     (126,895,482)
Net decrease in net assets     (35,100,645)     (105,357,298)
               
NET ASSETS:              
Beginning of year     249,755,067      355,112,365 
End of year*    $214,654,422     $249,755,067 
*   Including undistributed (accumulated) net investment income (loss) of:    $(806,054)    $832,973 

 

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

 

96

 

Alpine Mutual Funds

 

Statements of Changes in Net Assets—Continued

 

   Accelerating Dividend Fund
   Year Ended  Year Ended
   October 31, 2014  October 31, 2013
OPERATIONS:              
Net investment income    $156,665     $126,615 
Net realized gain (loss) from:              
Investments     304,552      164,582 
Foreign currency transactions     (320)     112 
Change in net unrealized appreciation/(depreciation) on:              
Investments     96,713      442,811 
Foreign currency translations     (85)     15 
Increase in net assets from operations     557,525      734,135 
               
DISTRIBUTIONS TO SHAREHOLDERS:              
Distributions to Institutional Class Shareholders:              
From net investment income     (137,419)     (122,021)
From net realized gain on investments     (130,272)     (42,591)
Distributions to Class A Shareholders:              
From net investment income     (24,801)     (22,139)
From net realized gain on investments     (36,437)     (4,715)
Decrease in net assets from distributions to shareholders     (328,929)     (191,466)
               
CAPITAL SHARE TRANSACTIONS (NOTE 3):              
Net proceeds from shares sold     2,365,706      2,288,600 
Dividends reinvested     280,216      170,647 
Redemption fees     3,169      7,462 
Cost of shares redeemed     (1,861,266)     (1,087,467)
Increase in net assets from capital share transactions     787,825      1,379,242 
Net increase in net assets     1,016,421      1,921,911 
               
NET ASSETS:              
Beginning of year     4,334,096      2,412,185 
End of year*    $5,350,517     $4,334,096 
*   Including undistributed net investment income of:    $37,167     $17,527 

 

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

 

97

 

Alpine Mutual Funds

 

Statements of Changes in Net Assets—Continued

 

   Financial Services Fund
   Year Ended
October 31, 2014
  Year Ended
October 31, 2013
OPERATIONS:              
Net investment loss    $(64,516)    $(42,746)
Net realized gain (loss) from:              
Investments     471,953      1,429,369 
Foreign currency transactions     (16,673)     (9,724)
Change in net unrealized appreciation/(depreciation) on:              
Investments     2,521,766      3,450,666 
Foreign currency translations     (399)     8,148 
Increase in net assets from operations     2,912,131      4,835,713 
               
DISTRIBUTIONS TO SHAREHOLDERS:              
Distributions to Institutional Class Shareholders:              
From net investment income     (7,300)      
Decrease in net assets from distributions to shareholders     (7,300)      
               
CAPITAL SHARE TRANSACTIONS (NOTE 3):              
Net proceeds from shares sold     57,960,341      13,458,721 
Dividends reinvested     6,073       
Redemption fees     7,986      33,010 
Cost of shares redeemed     (45,495,693)     (7,696,853)
Increase in net assets from capital share transactions     12,478,707      5,794,878 
Net increase in net assets     15,383,538      10,630,591 
               
NET ASSETS:              
Beginning of year     20,879,166      10,248,575 
End of year*    $36,262,704     $20,879,166 
*   Including undistributed (accumulated) net investment income (loss) of:    $13,349     $(40,019)

 

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

 

98

 

Alpine Mutual Funds

 

Statements of Changes in Net Assets—Continued

 

   Small Cap Fund
   Year Ended
October 31, 2014
  Year Ended
October 31, 2013
OPERATIONS:              
Net investment loss    $(102,990)    $(113,092)
Net realized gain (loss) from:              
Investments     4,761,998      1,354,497 
Foreign currency transactions     (965)     (10)
Change in net unrealized appreciation/(depreciation) on:              
Investments     (4,965,266)     1,434,422 
Foreign currency translations     (9)      
Increase (decrease) in net assets from operations     (307,232)     2,675,817 
               
CAPITAL SHARE TRANSACTIONS (NOTE 3):              
Net proceeds from shares sold     5,361,545      211,505 
Redemption fees     642      302 
Cost of shares redeemed     (2,646,234)     (1,473,954)
Increase (decrease) in net assets from capital share transactions     2,715,953      (1,262,147)
Net increase in net assets     2,408,721      1,413,670 
               
NET ASSETS:              
Beginning of year     12,402,068      10,988,398 
End of year*    $14,810,789     $12,402,068 
*   Including accumulated net investment loss of:    $(96,032)    $(102,645)

 

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

 

99

 

Alpine Mutual Funds

 

Statements of Changes in Net Assets—Continued

 

   Transformations Fund
   Year Ended
October 31, 2014
  Year Ended
October 31, 2013
OPERATIONS:              
Net investment loss    $(20,641)    $(5,670)
Net realized gain (loss) from:              
Investments     339,508      1,055,030 
Foreign currency transactions     (69)     (38)
Change in net unrealized appreciation/(depreciation) on:              
Investments     593,678      692,115 
Foreign currency translations     (23)     2 
Increase in net assets from operations     912,453      1,741,439 
               
DISTRIBUTIONS TO SHAREHOLDERS:              
Distributions to Institutional Class Shareholders:              
From net realized gain on investments     (995,393)     (41,395)
Distributions to Class A Shareholders:              
From net realized gain on investments     (18,923)     (722)
Decrease in net assets from distributions to shareholders     (1,014,316)     (42,117)
               
CAPITAL SHARE TRANSACTIONS (NOTE 3):              
Net proceeds from shares sold     140,312      85,651 
Dividends reinvested     1,010,557      41,872 
Redemption fees           754 
Cost of shares redeemed     (165,899)     (716,428)
Increase (decrease) in net assets from capital share transactions     984,970      (588,151)
Net increase in net assets     883,107      1,111,171 
               
NET ASSETS:              
Beginning of year     7,285,182      6,174,011 
End of year*    $8,168,289     $7,285,182 
*   Including accumulated net investment loss of:    $     $ 

 

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

 

100

 

Alpine Mutual Funds

 

Statements of Changes in Net Assets—Continued

 

   Equity Income Fund
   Year Ended
October 31, 2014
  Year Ended
October 31, 2013
OPERATIONS:              
Net investment income    $1,157,847     $977,297 
Net realized gain (loss) from:              
Investments     631,064      3,555,893 
Foreign currency transactions     (499)     242 
Change in net unrealized appreciation/(depreciation) on:              
Investments     7,449,965      2,295,367 
Foreign currency translations     6      8 
Increase in net assets from operations     9,238,383      6,828,807 
               
DISTRIBUTIONS TO SHAREHOLDERS:              
Distributions to Institutional Class Shareholders:              
From net investment income     (1,153,567)     (1,023,608)
From net realized gain on investments     (88,806)      
Distributions to Class A Shareholders:              
From net investment income     (35,727)     (1,443)
From net realized gain on investments     (3,261)      
Decrease in net assets from distributions to shareholders     (1,281,361)     (1,025,051)
               
CAPITAL SHARE TRANSACTIONS (NOTE 3):              
Net proceeds from shares sold     3,319,832      80,791 
Dividends reinvested     1,215,129      1,001,145 
Redemption fees     2      24 
Cost of shares redeemed     (2,271,677)     (1,253,455)
Increase (decrease) in net assets from capital share transactions     2,263,286      (171,495)
Net increase in net assets     10,220,308      5,632,261 
               
NET ASSETS:              
Beginning of year     71,138,201      65,505,940 
End of year*    $81,358,509     $71,138,201 
*   Including undistributed net investment income of:    $     $45,359 

 

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

 

101

 

Alpine Mutual Funds

 

Statements of Changes in Net Assets—Continued

 

   Ultra Short
Municipal Income Fund
   Year Ended
October 31, 2014
  Year Ended
October 31, 2013
OPERATIONS:              
Net investment income    $5,360,727     $7,288,766 
Net realized gain (loss) from investments     64,603      (421,076)
Change in unrealized appreciation (depreciation) on investments     1,068,561      (1,994,222)
Increase in net assets from operations     6,493,891      4,873,468 
               
DISTRIBUTIONS TO SHAREHOLDERS:              
Distributions to Institutional Class Shareholders:              
From net investment income     (4,631,945)     (6,172,993)
Distributions to Class A Shareholders:              
From net investment income     (728,776)     (1,119,016)
Decrease in net assets from distributions to shareholders     (5,360,721)     (7,292,009)
               
CAPITAL SHARE TRANSACTIONS (NOTE 3):              
Net proceeds from shares sold     513,952,342      646,453,903 
Dividends reinvested     4,202,899      5,415,059 
Redemption fees     17,923      41,661 
Cost of shares redeemed     (678,688,579)     (1,230,093,080)
Decrease in net assets from capital share transactions     (160,515,415)     (578,182,457)
Net decrease in net assets     (159,382,245)     (580,600,998)
               
NET ASSETS:              
Beginning of year     1,238,486,231      1,819,087,229 
End of year*    $1,079,103,986     $1,238,486,231 
*   Including undistributed net investment income of:    $6     $ 

 

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

 

102

 

Alpine Mutual Funds

 

Statements of Changes in Net Assets—Continued

 

   Municipal Money Market Fund
   Year Ended
October 31, 2014
  Year Ended
October 31, 2013
OPERATIONS:              
Net investment income    $35,967     $86,557 
Net realized loss from investments     (8)      
Increase in net assets from operations     35,959      86,557 
               
DISTRIBUTIONS TO SHAREHOLDERS:              
From net investment income     (35,967)     (86,557)
Decrease in net assets from distributions to shareholders     (35,967)     (86,557)
               
CAPITAL SHARE TRANSACTIONS (NOTE 3):              
Net proceeds from shares sold     134,049,821      145,994,821 
Dividends reinvested     27,008      65,951 
Cost of shares redeemed     (187,707,114)     (204,289,468)
Decrease in net assets from capital share transactions     (53,630,285)     (58,228,696)
Net decrease in net assets     (53,630,293)     (58,228,696)
               
NET ASSETS:              
Beginning of year     170,412,844      228,641,540 
End of year*    $116,782,551     $170,412,844 
*   Including undistributed net investment income of:    $     $ 

 

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

 

103

 

Alpine Mutual Funds

 

Statements of Changes in Net Assets—Continued

 

   High Yield Managed
Duration Municipal Fund
   Year Ended
October 31, 2014
  Period Ended
October 31, 2013(a)
OPERATIONS:              
Net investment income    $820,544     $122,340 
Net realized gain (loss) from investments     21,557      (5,339)
Change in unrealized appreciation (depreciation) on investments     722,871      (101,638)
Increase in net assets from operations     1,564,972      15,363 
               
DISTRIBUTIONS TO SHAREHOLDERS:              
Distributions to Institutional Class Shareholders:              
From net investment income     (816,850)     (121,832)
Distributions to Class A Shareholders:              
From net investment income     (3,597)     (508)
Decrease in net assets from distributions to shareholders     (820,447)     (122,340)
               
CAPITAL SHARE TRANSACTIONS (NOTE 3):              
Net proceeds from shares sold     4,106,000      20,000,020 
Dividends reinvested     809,176      122,340 
Cost of shares redeemed     (2,015)      
Increase in net assets from capital share transactions     4,913,161      20,122,360 
Net increase in net assets     5,657,686      20,015,383 
               
NET ASSETS:              
Beginning of period     20,015,383       
End of period*    $25,673,069     $20,015,383 
*   Including undistributed net investment income of:    $97     $ 

 

 

 

(a)Commenced operations on June 3, 2013.

 

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

 

104

 

Alpine Mutual Funds

 

Financial Highlights

(For a share outstanding throughout each year)

 

   Dynamic Dividend Fund
   Years Ended October 31,
  2014  2013  2012  2011  2010
Institutional Class:                                   
Net asset value per share, beginning of year    $3.77     $3.49     $3.84     $4.48     $4.78 
Income from investment operations:                                   
Net investment income     0.21      0.22      0.50      0.49      0.56 
Net realized and unrealized gain (loss)     0.09      0.34      (0.35)     (0.59)     0.00(a)
Total from investment operations     0.30      0.56      0.15      (0.10)     0.56 
Redemption fees     0.00(a)     0.00(a)     0.00(a)     0.00(a)     0.00(a)
Less distributions:                                   
From net investment income     (0.24)     (0.28)     (0.50)     (0.54)     (0.86)
Total distributions     (0.24)     (0.28)     (0.50)     (0.54)     (0.86)
Net asset value per share, end of year    $3.83     $3.77     $3.49     $3.84     $4.48 
Total return     8.09%     17.02%     4.46%     (3.48)%     12.72%
Ratios/Supplemental Data:                                   
Net Assets at end of year (000)    $210,436     $247,276     $353,501     $460,466     $628,844 
Ratio of total expenses to average net assets:                                   
Before waivers and/or expense reimbursements (b)     1.44%     1.43%     1.28%     1.21%     1.21%
After waivers and/or expense reimbursements (c)     1.38%     1.38%     %     %     %
Ratio of net investment income to average net assets     5.30%     5.78%     13.17%     10.39%     12.85%
Portfolio turnover (d)     81%     197%     258%     358%     506%
 
(a) The amount is less than $0.005 per share.
(b) Ratio of total expenses to average net assets excluding interest expense before waivers and/or expense reimbursements was 1.41%, 1.40%, 1.27%, 1.18% and 1.18% for the years ended October 31, 2014, 2013, 2012, 2011 and 2010, respectively.
(c) Ratio of total expenses to average net assets excluding interest expense after waivers and/or expense reimbursements was 1.35% and 1.35% for the years ended October 31, 2014 and 2013, respectively.
(d) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

105

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each period)

 

   Dynamic Dividend Fund
   Years Ended October 31,  Period
Ended
October 31,
   2014  2013  2012 (a)
Class A:                     
Net asset value per share, beginning of period    $3.77     $3.49     $3.61 
Income from investment operations:                     
Net investment income     0.17      0.23      0.35 
Net realized and unrealized gain (loss)     0.12      0.33      (0.06)
Total from investment operations     0.29      0.56      0.29 
Redemption fees     0.00(b)     0.00(b)     0.00(b)
Less distributions:                     
From net investment income     (0.23)     (0.28)     (0.41)
Total distributions     (0.23)     (0.28)     (0.41)
Net asset value per share, end of period    $3.83     $3.77     $3.49 
Total return     7.83%     16.73%     8.36%(c)
Ratios/Supplemental Data                     
Net Assets at end of period (000)    $4,219     $2,479     $1,612 
Ratio of total expenses to average net assets:                     
Before waivers and/or expense reimbursements (d)     1.69%     1.68%     1.56%(e)
After waivers and/or expense reimbursements (f)     1.63%     1.63%     %
Ratio of net investment income to average net assets     4.51%     5.38%     8.02%(e)
Portfolio turnover (g)     81%     197%     258%
 
(a) Class A commenced operations on December 30, 2011.
(b) The amount is less than $0.005 per share.
(c) Not annualized.
(d) Ratio of total expenses to average net assets excluding interest expense before waivers and/or expense reimbursements was 1.66% and 1.65% for the years ended October 31, 2014 and 2013, respectively, and 1.55% for the period ended October 31, 2012.
(e) Annualized.
(f) Ratio of total expenses to average net assets excluding interest expense after waivers and/or expense reimbursements was 1.60% and 1.60% for the years ended October 31, 2014 and 2013, respectively.
(g) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

106

 

Alpine Mutual Funds

 

Financial Highlights—Continued
(For a share outstanding throughout each year)

 

   Accelerating Dividend Fund
   Years Ended October 31,
  2014  2013  2012  2011  2010
Institutional Class:                
Net asset value per share, beginning of year    $15.19     $12.88     $12.83     $12.80     $11.48 
Income from investment operations:                                   
Net investment income     0.49      0.51      0.62      0.51      0.51 
Net realized and unrealized gain     1.29      2.65      0.73      0.32      1.29 
Total from investment operations     1.78      3.16      1.35      0.83      1.80 
Redemption fees     0.01      0.03            0.00(a)     0.00(a)
Less distributions:                                   
From net investment income     (0.51)     (0.64)     (0.50)     (0.58)     (0.45)
From net realized gains     (0.59)     (0.24)     (0.80)     (0.22)     (0.03)
Total distributions     (1.10)     (0.88)     (1.30)     (0.80)     (0.48)
Net asset value per share, end of year    $15.88     $15.19     $12.88     $12.83     $12.80 
Total return     12.25%     25.94%     11.28%     6.43%     16.06%
Ratios/Supplemental Data:                                   
Net Assets at end of year (000)    $4,486     $3,418     $2,155     $3,218     $2,393 
Ratio of total expenses to average net assets:                                   
Before waivers and/or expense reimbursements (b)     2.25%     3.43%     3.26%     2.64%     2.70%
After waivers and/or expense reimbursements (c)     1.35%     1.35%     1.35%     1.35%     1.35%
Ratio of net investment income to average net assets     3.33%     3.94%     4.52%     4.09%     4.85%
Portfolio turnover (d)     78%     86%     73%     137%     225%
 
(a) The amount is less than $0.005 per share.
(b) Ratio of total expenses to average net assets excluding interest expense before waivers and/or expense reimbursements was 2.25%, 3.43%, 3.26%, 2.64% and 2.70% for the years ended October 31, 2014, 2013, 2012, 2011 and 2010, respectively.
(c) Ratio of total expenses to average net assets excluding interest expense after waivers and/or expense reimbursements was 1.35%, 1.35%, 1.35%, 1.35% and 1.35% for the years ended October 31, 2014, 2013, 2012, 2011 and 2010, respectively.
(d) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

107

 

Alpine Mutual Funds

 

Financial Highlights—Continued
(For a share outstanding throughout each period)

 

   Accelerating Dividend Fund
   Years Ended October 31,  Period
Ended
October 31,
   2014  2013  2012 (a)
Class A:                     
Net asset value per share, beginning of period    $15.18     $12.88     $12.02 
Income from investment operations:                     
Net investment income     0.38      0.63      0.31 
Net realized and unrealized gain     1.37      2.48      0.92 
Total from investment operations     1.75      3.11      1.23 
Redemption fees     0.01      0.04       
Less distributions:                     
From net investment income     (0.47)     (0.61)     (0.37)
From net realized gains     (0.59)     (0.24)      
Total distributions     (1.06)     (0.85)     (0.37)
Net asset value per share, end of period    $15.88     $15.18     $12.88 
Total return     12.04%     25.55%     10.29%(b)
Ratios/Supplemental Data                     
Net Assets at end of period (000)    $865     $917     $257 
Ratio of total expenses to average net assets:                     
Before waivers and/or expense reimbursements (c)     2.50%     3.68%     3.83%(d)
After waivers and/or expense reimbursements (e)     1.60%     1.60%     1.60%(d)
Ratio of net investment income to average net assets     2.41%     3.72%     2.71%(d)
Portfolio turnover (f)     78%     86%     73%
 
(a) Class A commenced operations on December 30, 2011.
(b) Not annualized.
(c) Ratio of total expenses to average net assets excluding interest expense before waivers and/or expense reimbursements was 2.50% and 3.68% for the years ended October 31, 2014 and 2013, respectively, and 3.83% for the period ended October 31, 2012.
(d) Annualized.
(e) Ratio of total expenses to average net assets excluding interest expense after waivers and/or expense reimbursements was 1.60% and 1.60% for the years ended October 31, 2014 and 2013, respectively, and 1.60% for the period ended October 31, 2012.
(f) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

108

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each year)

 

   Financial Services Fund
   Years Ended October 31,
   2014  2013  2012  2011  2010
Institutional Class:                                   
Net asset value per share, beginning of year    $12.13     $8.77     $7.15     $7.69     $6.86 
Income from investment operations:                                   
Net investment income (loss)     (0.01)     (0.02)     (0.00)(a)     0.02      (0.01)
Net realized and unrealized gain (loss)     1.36      3.36      1.64      (0.54)     0.84 
Total from investment operations     1.35      3.34      1.64      (0.52)     0.83 
Redemption fees     0.00(a)     0.02      0.00(a)     0.00(a)     0.00(a)
Less distributions:                                   
From net investment income     (0.00)(a)                 (0.01)      
Tax return of capital                 (0.02)     (0.01)      
Total distributions                 (0.02)     (0.02)      
Net asset value per share, end of year    $13.48     $12.13     $8.77     $7.15     $7.69 
Total return     11.16%     38.31%     22.95%     (6.77)%     12.26%
Ratios/Supplemental Data:                                   
Net Assets at end of year (000)    $27,995     $13,561     $8,874     $6,251     $7,718 
Ratio of total expenses to average net assets:                                   
Before waivers and/or expense reimbursements (b)     1.36%     1.72%     1.94%     1.85%     1.85%
After waivers and/or expense reimbursements (c)     1.36%     1.36%     1.38%     1.44%     1.43%
Ratio of net investment income (loss) to average net assets     (0.08)%     (0.20)%     (0.16)%     0.30%     (0.09)%
Portfolio turnover (d)     131%     108%     120%     73%     133%
 
(a) The amount is less than $0.005 per share.
(b) Ratio of total expenses to average net assets excluding interest expense before waivers and/or expense reimbursements was 1.33%, 1.71%, 1.91%, 1.75% and 1.77% for the years ended October 31, 2014, 2013, 2012, 2011 and 2010, respectively.
(c) Ratio of total expenses to average net assets excluding interest expense after waivers and/or expense reimbursements was 1.33%, 1.35%, 1.35%, 1.35% and 1.35% for the years ended October 31, 2014, 2013, 2012, 2011 and 2010, respectively.
(d) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

109

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each period)

 

   Financial Services Fund
               Period
               Ended
   Years Ended October 31,  October 31,
   2014  2013  2012 (a)
Class A:                     
Net asset value per share, beginning of period    $12.08     $8.75     $6.90 
Income from investment operations:                     
Net investment loss     (0.06)     (0.04)     (0.01)
Net realized and unrealized gain     1.37      3.35      1.86 
Total from investment operations     1.31      3.31      1.85 
Redemption fees     0.00(b)     0.02      0.00(b)
Net asset value per share, end of period    $13.39     $12.08     $8.75 
Total return     10.84%     38.06%     26.81%(c)
Ratios/Supplemental Data                     
Net Assets at end of period (000)    $8,268     $7,318     $1,375 
Ratio of total expenses to average net assets:                     
Before waivers and/or expense reimbursements (e)     1.61%     1.97%     2.05%(d)
After waivers and/or expense reimbursements (f)     1.61%     1.61%     1.53%(d)
Ratio of net investment loss to average net assets     (0.36)%     (0.44)%     (0.50)%(d)
Portfolio turnover (g)     131%     108%     120%

 

 

 

(a) Class A commenced operations on December 30, 2011.
(b) The amount is less than $0.005 per share.
(c) Not annualized.
(d) Annualized.
(e) Ratio of total expenses to average net assets excluding interest expense before waivers and/or expense reimbursements was 1.61% and 1.96% for the years ended October 31, 2014 and 2013, respectively, and 2.05% for the period ended October 31, 2012.
(f) Ratio of total expenses to average net assets excluding interest expense after waivers and/or expense reimbursements was 1.61% and 1.60% for the years ended October 31, 2014 and 2013, respectively, and 1.53% for the period ended October 31, 2012.
(g) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

110

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each year)

 

   Small Cap Fund
   Years Ended October 31,
   2014  2013  2012  2011  2010
Institutional Class:                                   
Net asset value per share, beginning of year    $14.25     $11.33     $10.48     $10.14     $8.13 
Income from investment operations:                                   
Net investment loss     (0.09)     (0.14)     (0.13)     (0.11)     (0.10)
Net realized and unrealized gain (loss)     (0.08)     3.06      0.98      0.45      2.11 
Total from investment operations     (0.17)     2.92      0.85      0.34      2.01 
Redemption fees     0.00(a)     0.00(a)     0.00(a)     0.00(a)     0.00(a)
Net asset value per share, end of year    $14.08     $14.25     $11.33     $10.48     $10.14 
Total return     (1.19)%     25.77%     8.11%     3.35%     24.72%
Ratios/Supplemental Data:                                   
Net Assets at end of year (000)    $ 13,589     $12,263     $10,877     $10,383     $11,847 
Ratio of total expenses to average net assets:                                   
Before waivers and/or expense reimbursements (b)     1.62%     1.80%     1.67%     1.59%     1.70%
After waivers and/or expense reimbursements (c)     1.35%     1.35%     1.36%     1.41%     1.44%
Ratio of net investment loss to average net assets     (0.73)%     (0.97)%     (1.07)%     (0.97)%     (1.01)%
Portfolio turnover (d)     171%     39%     29%     18%     22%

 

 

 

(a) The amount is less than $0.005 per share.
(b) Ratio of total expenses to average net assets excluding interest expense before waivers and/or expense reimbursements was 1.62%, 1.80%, 1.66%, 1.53% and 1.61% for the years ended October 31, 2014, 2013, 2012, 2011 and 2010, respectively.
(c) Ratio of total expenses to average net assets excluding interest expense after waivers and/or expense reimbursements was 1.35%, 1.35%, 1.35%, 1.35% and 1.35% for the years ended October 31, 2014, 2013, 2012, 2011 and 2010, respectively.
(d) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

111

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each period)

 

   Small Cap Fund
               Period
               Ended
   Years Ended October 31,  October 31,
   2014  2013  2012 (a)
Class A:                     
Net asset value per share, beginning of period    $14.18     $11.30     $10.17 
Income from investment operations:                     
Net investment income (loss)     0.07      (0.16)     (0.14)
Net realized and unrealized gain (loss)     (0.27)     3.04      1.27 
Total from investment operations     (0.20)     2.88      1.13 
Redemption fees     0.00(b)     0.00(b)      
Net asset value per share, end of period    $13.98     $14.18     $11.30 
Total return     (1.41)%     25.49%     11.11%(c)
Ratios/Supplemental Data                     
Net Assets at end of period (000)    $1,221     $139     $111 
Ratio of total expenses to average net assets:                     
Before waivers and/or expense reimbursements     1.87%     2.05%     1.92%(d)
After waivers and/or expense reimbursements     1.60%     1.60%     1.60%(d)
Ratio of net investment loss to average net assets     (0.92)%     (1.22)%     (1.34)%(d)
Portfolio turnover (e)     171%     39%     29%

 

 

 

(a) Class A commenced operations on December 30, 2011.
(b) The amount is less than $0.005 per share.
(c) Not annualized.
(d) Annualized.
(e) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

112

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each year)

 

   Transformations Fund
   Years Ended October 31,
   2014  2013  2012  2011  2010
Institutional Class:                                   
Net asset value per share, beginning of year    $15.16     $11.73     $11.75     $10.30     $7.68 
Income from investment operations:                                   
Net investment loss     (0.04)     (0.02)     (0.07)     (0.07)     (0.06)
Net realized and unrealized gain     1.79      3.53      0.05      1.52      2.68 
Total from investment operations     1.75      3.51      (0.02)     1.45      2.62 
Redemption fees           0.00(a)     0.00(a)     0.00(a)     0.00(a)
Less distributions:                                   
From net realized gains     (2.11)     (0.08)                  
Total distributions     (2.11)     (0.08)                  
Net asset value per share, end of year    $14.80     $15.16     $11.73     $11.75     $10.30 
Total return     12.57%     30.09%     (0.17)%     14.08%     34.11%
Ratios/Supplemental Data:                                   
Net Assets at end of year (000)    $8,007     $7,150     $6,070     $6,267     $5,294 
Ratio of total expenses to average net assets:                                   
Before waivers and/or expense reimbursements (b)     1.89%     2.24%     1.98%     1.68%     2.17%
After waivers and/or expense reimbursements (c)     1.35%     1.35%     1.35%     1.35%     1.37%
Ratio of net investment loss to average net assets     (0.26)%     (0.08)%     (0.58)%     (0.60)%     (0.68)%
Portfolio turnover (d)     50%     61%     63%     72%     52%

 

 

 

(a) The amount is less than $0.005 per share.
(b) Ratio of total expenses to average net assets excluding interest expense before waivers and/or expense reimbursements was 1.89%, 2.24%, 1.98%, 1.68% and 2.15% for the years ended October 31, 2014, 2013, 2012, 2011 and 2010, respectively.
(c) Ratio of total expenses to average net assets excluding interest expense after waivers and/or expense reimbursements was 1.35%, 1.35%, 1.35%, 1.35% and 1.35% for the years ended October 31, 2014, 2013, 2012, 2011 and 2010, respectively.
(d) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

113

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each period)

 

   Transformations Fund
               Period
               Ended
   Years Ended October 31,  October 31,
   2014  2013  2012 (a)
Class A:                     
Net asset value per share, beginning of period    $15.09     $11.70     $11.22 
Income from investment operations:                     
Net investment loss     (0.07)     (0.04)     (0.09)
Net realized and unrealized gain     1.77      3.51      0.57 
Total from investment operations     1.70      3.47      0.48 
Redemption fees           0.00(b)     0.00(b)
Less distributions:                     
From net realized gains     (2.11)     (0.08)      
Total distributions     (2.11)     (0.08)      
Net asset value per share, end of period    $14.68     $15.09     $11.70 
Total return     12.27%     29.82%     4.28%(c)
Ratios/Supplemental Data                     
Net Assets at end of period (000)    $161     $135     $104 
Ratio of total expenses to average net assets:                     
Before waivers and/or expense reimbursements (d)     2.14%     2.49%     2.27%(e)
After waivers and/or expense reimbursements (f)     1.60%     1.60%     1.60%(e)
Ratio of net investment loss to average net assets     (0.51)%     (0.33)%     (0.85)%(e)
Portfolio turnover (g)     50%     61%     63%

 

 

 

(a) Class A commenced operations on December 30, 2011.
(b) The amount is less than $0.005 per share.
(c) Not annualized.
(d) Ratio of total expenses to average net assets excluding interest expense before waivers and/or expense reimbursements was 2.14% and 2.49% for the years ended October 31, 2014 and 2013, respectively, and 2.27% for the period ended October 31, 2012.
(e) Annualized.
(f) Ratio of total expenses to average net assets excluding interest expense after waivers and/or expense reimbursements was 1.60% and 1.60% for the years ended October 31, 2014 and 2013, respectively, and 1.60% for the period ended October 31, 2012.
(g) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

114

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each year)

 

   Equity Income Fund
   Years Ended October 31,
   2014  2013  2012  2011  2010
Institutional Class:                                   
Net asset value per share, beginning of year    $12.49     $11.47     $10.61     $10.16     $8.88 
Income from investment operations:                                   
Net investment income     0.20      0.17      0.20      0.16      0.12 
Net realized and unrealized gain     1.38      1.03      0.85      0.47      1.27 
Total from investment operations     1.58      1.20      1.05      0.63      1.39 
Redemption fees     0.00(a)     0.00(a)           0.00(a)     0.00(a)
Less distributions:                                   
From net investment income     (0.20)     (0.18)     (0.19)     (0.18)     (0.11)
From net realized gains     (0.02)                        
Total distributions     (0.22)     (0.18)     (0.19)     (0.18)     (0.11)
Net asset value per share, end of year    $13.85     $12.49     $11.47     $10.61     $10.16 
Total return     12.77%     10.56%     9.95%     6.19%     15.77%
Ratios/Supplemental Data:                                   
Net Assets at end of year (000)    $77,716     $71,018     $65,397     $61,701     $62,934 
Ratio of total expenses to average net assets (b)     1.23%     1.28%     1.21%     1.16%     1.23%
Ratio of net investment income to average net assets     1.53%     1.43%     1.79%     1.46%     1.22%
Portfolio turnover (c)     59%     28%     36%     34%     16%

 

 

 

(a) The amount is less than $0.005 per share.
(b) Ratio of total expenses to average net assets excluding interest expense was 1.23%, 1.28%, 1.21%, 1.16% and 1.23% for the years ended October 31, 2014, 2013, 2012, 2011 and 2010, respectively.
(c) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

115

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each period)

 

   Equity Income Fund
               Period
               Ended
   Years Ended October 31,  October 31,
   2014  2013  2012 (a)
Class A:                     
Net asset value per share, beginning of period    $12.48     $11.47     $10.61 
Income from investment operations:                     
Net investment income     0.15      0.14      0.14 
Net realized and unrealized gain     1.40      1.02      0.85 
Total from investment operations     1.55      1.16      0.99 
Less distributions:                     
From net investment income     (0.17)     (0.15)     (0.13)
From net realized gains     (0.02)            
Total distributions     (0.19)     (0.15)     (0.13)
Net asset value per share, end of period    $13.84     $12.48     $11.47 
Total return     12.52%     10.20%     9.33%(b)
Ratios/Supplemental Data                     
Net Assets at end of period (000)    $3,642     $120     $109 
Ratio of total expenses to average net assets     1.48%     1.53%     1.47%(c)
Ratio of net investment income to average net assets     1.22%     1.18%     1.49%(c)
Portfolio turnover (d)     59%     28%     36%

 

 

 

(a) Class A commenced operations on December 30, 2011.
(b) Not annualized.
(c) Annualized.
(d) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

116

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each year)

 

   Ultra Short Municipal Income Fund
   Years Ended October 31,
   2014  2013  2012  2011  2010
Institutional Class: (a)                                   
Net asset value per share, beginning of year    $10.03     $10.05     $10.05     $10.05     $10.05 
Income from investment operations:                                   
Net investment income     0.05      0.06      0.10      0.19      0.13 
Net realized and unrealized gain (loss)     0.01      (0.02)     0.00(b)     0.00(b)     0.00(b)
Total from investment operations     0.06      0.04      0.10      0.19      0.13 
Redemption fees     0.00(b)     0.00(b)     0.00(b)     0.00(b)     0.00(b)
Less distributions:                                   
From net investment income     (0.05)     (0.06)     (0.10)     (0.19)     (0.13)
Total distributions     (0.05)     (0.06)     (0.10)     (0.19)     (0.13)
Net asset value per share, end of year    $10.04     $10.03     $10.05     $10.05     $10.05 
Total return     0.63%     0.36%     0.95%     1.87%     1.31%
Ratios/Supplemental Data:                                   
Net Assets at end of year (000)    $831,505     $933,294     $1,375,490     $1,265,829     $1,146,333 
Ratio of total expenses to average net assets:                                   
Before waivers and/or expense reimbursements     0.90%     0.89%     0.84%     0.82%     0.78%
After waivers and/or expense reimbursements     0.53%     0.61%     0.65%     0.63%     0.53%
Ratio of net investment income to average net assets     0.53%     0.55%     0.95%     1.86%     1.29%
Portfolio turnover (c)     168%     185%     192%     174%     19%

 

 

 

(a) Effective January 3, 2012, the share class was renamed Institutional Class.
(b) The amount is less than $0.005 per share.
(c) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

117

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each year)

 

   Ultra Short Municipal Income Fund
   Years Ended October 31,
   2014  2013  2012  2011  2010
Class A: (a)                                   
Net asset value per share, beginning of year    $10.09     $10.10     $10.10     $10.10     $10.10 
Income from investment operations:                                   
Net investment income     0.03      0.03      0.07      0.16      0.10 
Net realized and unrealized gain (loss)     0.01      (0.01)     0.00(b)     0.00(b)     0.01 
Total from investment operations     0.04      0.02      0.07      0.16      0.11 
Redemption fees     0.00(b)     0.00(b)     0.00(b)     0.00(b)     0.00(b)
Less distributions:                                   
From net investment income     (0.03)     (0.03)     (0.07)     (0.16)     (0.11)
Total distributions     (0.03)     (0.03)     (0.07)     (0.16)     (0.11)
Net asset value per share, end of year    $10.10     $10.09     $10.10     $10.10     $10.10 
Total return     0.38%     0.21%     0.70%     1.61%     1.05%
Ratios/Supplemental Data                                   
Net Assets at end of year (000)    $247,599     $305,193     $443,598     $358,284     $292,565 
Ratio of total expenses to average net assets:                                   
Before waivers and/or expense reimbursements     1.15%     1.14%     1.09%     1.07%     1.03%
After waivers and/or expense reimbursements     0.78%     0.86%     0.90%     0.88%     0.78%
Ratio of net investment income to average net assets     0.28%     0.30%     0.67%     1.61%     1.04%
Portfolio turnover (c)     168%     185%     192%     174%     19%

 

 

 

(a) Effective January 3, 2012, the share class was renamed Class A.
(b) The amount is less than $0.005 per share.
(c) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

118

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each year)

 

   Municipal Money Market Fund
   Years Ended October 31,
   2014  2013  2012  2011  2010
Investor Class: (a)                                   
Net asset value per share, beginning of year    $1.00     $1.00     $1.00     $1.00     $1.00 
Income from investment operations:                                   
Net investment income     0.00(b)     0.00(b)     0.00(b)     0.00(b)     0.00(b)
Total from investment operations     0.00(b)     0.00(b)     0.00(b)     0.00(b)     0.00(b)
Less distributions:                                   
From net investment income     (0.00)(b)     (0.00)(b)     (0.00)(b)     (0.00)(b)     (0.00)(b)
From net realized gains                       (0.00)(b)      
Total distributions     (0.00)(b)     (0.00)(b)     (0.00)(b)     (0.00)(b)     (0.00)(b)
Net asset value per share, end of year    $1.00     $1.00     $1.00     $1.00     $1.00 
Total return     0.02%     0.04%     0.10%     0.18%     0.20%
Ratios/Supplemental Data:                                   
Net Assets at end of year (000)    $116,783     $170,413     $228,642     $310,058     $470,169 
Ratio of total expenses to average net assets:                                   
Before waivers and/or expense reimbursements (c)     0.58%     0.57%     0.56%     0.52%     0.48%
After waivers and/or expense reimbursements (d)     0.27%     0.32%     0.32%     0.38%     0.43%
Ratio of net investment income to average net assets     0.02%     0.04%     0.10%     0.18%     0.20%

 

 

 

(a) Effective January 3, 2012, the Investor Class was renamed the Institutional Class and subsequently reverted to the Investor Class effective July 26, 2012.
(b) The amount is less than $0.005 per share.
(c) Ratio of total expenses to average net assets excluding interest expense before waivers and/or expense reimbursements was 0.58%, 0.57%, 0.56%, 0.52% and 0.48% for the years ended October 31, 2014, 2013, 2012, 2011 and 2010, respectively.
(d) Ratio of total expenses to average net assets excluding interest expense after waivers and/or expense reimbursements was 0.27%, 0.32%, 0.32%, 0.38% and 0.43% for the years ended October 31, 2014, 2013, 2012, 2011 and 2010, respectively.

 

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

 

119

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each period)

 

   High Yield Managed
   Duration Municipal Fund
   Year  Period
   Ended  Ended
   October 31,  October 31,
   2014  2013 (a)
Institutional Class:              
Net asset value per share, beginning of period    $9.95     $10.00 
Income from investment operations:              
Net investment income     0.37      0.06 
Net realized and unrealized gain (loss)     0.34      (0.05)
Total from investment operations     0.71      0.01 
Less distributions:              
From net investment income     (0.37)     (0.06)
Total distributions     (0.37)     (0.06)
Net asset value per share, end of period    $10.29     $9.95 
Total return     7.32%     0.11%(b)
Ratios/Supplemental Data:              
Net Assets at end of period (000)    $25,566     $19,915 
Ratio of total expenses to average net assets:              
Before waivers and/or expense reimbursements     1.30%     1.66%(c)
After waivers and/or expense reimbursements     0.81%     0.74%(c)
Ratio of net investment income to average net assets     3.75%     1.47%(c)
Portfolio turnover (d)     62%     117%

 

 

 

(a) Institutional Class commenced operations on June 3, 2013.
(b) Not annualized.
(c) Annualized.
(d) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

120

 

Alpine Mutual Funds

 

Financial Highlights—Continued

(For a share outstanding throughout each period)

 

   High Yield Managed
   Duration Municipal Fund
   Year  Period
   Ended  Ended
   October 31,  October 31,
   2014  2013 (a)
Class A:              
Net asset value per share, beginning of period    $9.95     $10.00 
Income from investment operations:              
Net investment income     0.35      0.05 
Net realized and unrealized gain (loss)     0.34      (0.05)
Total from investment operations     0.69      0.00 
Less distributions:              
From net investment income     (0.35)     (0.05)
Total distributions     (0.35)     (0.05)
Net asset value per share, end of period    $10.29     $9.95 
Total return     7.08%     0.01%(b)
Ratios/Supplemental Data              
Net Assets at end of period (000)    $107     $100 
Ratio of total expenses to average net assets:              
Before waivers and/or expense reimbursements     1.55%     1.91%(c)
After waivers and/or expense reimbursements     1.06%     0.99%(c)
Ratio of net investment income to average net assets     3.49%     1.21%(c)
Portfolio turnover (d)     62%     117%

 

 

 

(a) Class A commenced operations on June 3, 2013.
(b) Not annualized.
(c) Annualized.
(d) Portfolio turnover is calculated on the basis of the Fund as a whole, without distinguishing between classes of shares issued.

 

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

 

121

 

Alpine Mutual Funds

 

Notes to Financial Statements
October 31, 2014

 

1. Organization:
   
  Alpine Series Trust (the “Series Trust”) was organized in 2001 as a Delaware Statutory Trust, and is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. Alpine Income Trust (the “Income Trust”) was organized in 2002 as a Delaware Statutory Trust and is registered under the 1940 Act, as an open-end management investment company. The Alpine Dynamic Dividend Fund, Alpine Accelerating Dividend Fund, Alpine Financial Services Fund, Alpine Small Cap Fund (formerly the Alpine Innovators Fund), Alpine Transformations Fund and Alpine Equity Income Fund (formerly the Alpine Foundation Fund) are six separate series of the Series Trust. The Alpine Ultra Short Municipal Income Fund (formerly the Alpine Ultra Short Tax Optimized Income Fund), Alpine Municipal Money Market Fund and Alpine High Yield Managed Duration Municipal Fund are three separate series of the Income Trust. The Alpine Dynamic Dividend Fund, Alpine Accelerating Dividend Fund, Alpine Financial Services Fund, Alpine Small Cap Fund, Alpine Transformations Fund, Alpine Equity Income Fund, Alpine Municipal Money Market Fund, Alpine Ultra Short Municipal Income Fund and Alpine High Yield Managed Duration Municipal Fund (individually referred to as a “Fund” and collectively, “the Funds”) are diversified funds. Alpine Woods Capital Investors, LLC (the “Adviser”) is a Delaware limited liability company and serves as the investment manager to the Funds. The Funds offer Institutional Class and Class A shares (except for Money Market Municipal Fund, which only has Investor Class shares). Institutional Class and Investor Class shares are sold without a sales charge. Class A shares have an initial sales charge which may be waived under certain conditions as described in the Funds’ prospectus. Class A shares may be subject to a Contingent Deferred Sales Charges (“CDSC”) for certain redemptions where no initial sales charge was paid at the time of purchase. All shares of the Funds have equal rights and privileges. Each share of a Fund is entitled to one vote on all matters as to which shares are entitled to vote, to participate equally with other shares in dividends and distributions declared by the Funds and on liquidation to their proportionate share of the assets remaining after satisfaction of outstanding liabilities, except that Class A shares bear certain expenses related to the distribution fee of such class. Each class has exclusive voting rights with respect to the distribution fee of such class. Each class has exclusive voting rights with respect to matters relating to its shareholders servicing and distribution expenditures.
   
2. Significant Accounting Policies:
   
  The following is a summary of significant accounting policies consistently followed by the Funds in the preparation of their financial statements. The policies are in conformity with accounting principles generally accepted in the United States of America (“GAAP”), which require management to make estimates and assumptions that affect amounts reported herein. Actual results could differ from those estimates. Changes in the economic environment, financial markets and any other parameters used in determining these estimates could cause actual results to differ.
   
  A. Valuation of Securities:
   
  The net asset value (“NAV”) of shares of the Funds are calculated by dividing the value of the Funds’ net assets by the number of outstanding shares. NAV is determined each day the New York Stock Exchange (“NYSE”) is open as of the close of regular trading (normally, 4:00 p.m., Eastern Time). In computing NAV, portfolio securities of the Funds are valued at their current market values determined on the basis of market quotations or if market quotations are not readily available or determined to be unreliable, through procedures and/or guidelines established by the Board of Trustees (the “Board”). In computing the Funds’ NAV, equity securities that are traded on a securities exchange in the United States, except for option securities, are valued at the last reported sale price as of the time of valuation or, lacking any current reported sale at the time of valuation, at the mean between the most recent bid and asked quotations. For equity investments traded on more than one exchange, the last reported sale price on the exchange where the stock is primarily traded is used. Equity-linked structured notes are valued by referencing the last reported sale or settlement price of the underlying security on the day of valuation. Foreign exchange adjustments are applied to the last reported price to convert the underlying security’s trading currency to the equity-linked structured note’s settlement currency. These investments are categorized as Level 2 of the fair value hierarchy. Each option security traded on a securities exchange in the United States is valued at the mid-point of the consolidated bid/ask quote for the option security. Forward currency contracts are valued based on third-party vendor quotations. Each security traded in the over-the-counter market and quoted on the NASDAQ National Market System, is valued at the NASDAQ Official Closing Price (“NOCP”), as determined by NASDAQ, or lacking an NOCP, the last current reported sale price as of the time of valuation by NASDAQ, or lacking any current reported sale on NASDAQ at the time of valuation, at the mean between the most recent bid and asked quotations. Each over-the-counter option that is not traded through the Options Clearing Corporation is valued by the counterparty, or if the counterparty’s price is not readily available, then by using the Black-Scholes method. Debt securities are valued based on an evaluated mean price as furnished by pricing services approved

 

122

 

Alpine Mutual Funds

 

Notes to Financial Statements—Continued
October 31, 2014

 

  by the Board, which may be based on market transactions for comparable securities and various relationships between securities that are generally recognized by institutional traders, a computerized matrix system, or appraisals derived from information concerning the securities or similar securities received from recognized dealers in those securities. Each other security traded over-the-counter is valued at the mean between the most recent bid and asked quotations. Short-term securities with maturities of less than one year are valued at amortized cost, which approximates fair value.
   
  Equity securities that are principally traded in a foreign market are valued at the last current sale price at the time of valuation or lacking any current or reported sale, at the time of valuation, at the mean between the most recent bid and asked quotations as of the close of the appropriate exchange or other designated time. Trading in securities on European and Far Eastern securities exchanges and over-the-counter markets is normally completed at various times before the close of business on each day on which the NYSE is open. Trading of these securities may not take place on every NYSE business day. In addition, trading may take place in various foreign markets on Saturdays or on other days when the NYSE is not open and on which the Funds’ NAVs are not calculated.
   
  When market quotations are not readily available or when the valuation methods mentioned above are not reflective of a fair value of the security, the security is valued at fair value following procedures and/or guidelines approved by the Board. The Funds may also use fair value pricing if the value of a security it holds is, pursuant to the Board guidelines, materially affected by events occurring before the Funds’ NAVs are calculated but after the close of the primary market or market transactions for comparable securities and various relationships between securities that are generally recognized by institutional traders, a computerized matrix system, or appraisals derived from information concerning the securities or similar securities received from recognized dealers in those securities. The Board has approved the use of a third-party pricing vendor’s proprietary fair value pricing model to assist in determining current valuation for foreign equities or OTC derivatives traded in markets that close prior to the NYSE. When fair value pricing is employed, the value of the portfolio security used to calculate the Funds’ NAVs may differ from quoted or official closing prices. The Fund may also fair value a security if the Fund or Adviser believes that the market price is stale. Other types of securities that the Fund may hold for which fair value pricing might be required include illiquid securities including restricted securities and private placements for which there is no public market.
   
  As of October 31, 2014, the Dynamic Dividend Fund held a security that was fair valued, which comprised 1.1% of the Fund’s net assets.
   
  Fair Value Measurement:
   
  In accordance with GAAP, the Funds use a three-tier hierarchy to establish classification of fair value measurements for disclosure purposes. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs are inputs that reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs are inputs that reflect the reporting entities’ own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

 

  Level 1 — Unadjusted quoted prices in active markets/exchanges for identical investments.
       
  Level 2 — Other significant observable inputs (including quoted prices for similar instruments, interest rates, prepayment speeds, credit risk, yield curves, default rates, etc.).
       
  Level 3 — Significant unobservable inputs (including the Funds’ own assumptions in determining the fair value of investments).

 

The availability of observable inputs can vary from security to security and is affected by a wide variety of factors, including, for example, the type of security, whether the security is new and not yet established in the marketplace, the liquidity of markets, and other characteristics particular to the security. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3.

 

The inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for disclosure purposes, the level in the fair value hierarchy within which the fair value measurement falls, is determined based on the lowest level input that is significant to the fair value measurement in its entirety.

 

Various inputs are used in determining the value of the Funds’ investments as of the reporting period end. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments. These inputs are categorized in the following hierarchy under GAAP.

 

123

 

Alpine Mutual Funds

 

Notes to Financial Statements—Continued

October 31, 2014

 

The Funds use valuation techniques to measure fair value that are consistent with the market approach and/or income approach, depending on the type of security and the particular circumstance. The market approach uses prices and other relevant information generated by market transactions involving identical or comparable securities. The income approach uses valuation techniques to discount estimated future cash flows to present value.

 

The following is a summary of the inputs used to value the Funds’ assets and liabilities carried at fair value as of October 31, 2014:

 

   Valuation Inputs      
Dynamic Dividend Fund*  Level 1   Level 2   Level 3   Total Value 
Common Stocks                    
Consumer Discretionary  $25,386,383   $   $   $25,386,383 
Consumer Staples   18,279,856            18,279,856 
Energy   20,405,723            20,405,723 
Financials   38,426,243    601,842        39,028,085 
Health Care   27,261,530            27,261,530 
Industrials   33,890,315    2,385,267        36,275,582 
Information Technology   26,348,433            26,348,433 
Materials   8,486,286            8,486,286 
Telecommunication Services   2,810,412            2,810,412 
Utilities   6,408,769            6,408,769 
Equity-Linked Structured Notes       1,871,605        1,871,605 
Convertible Bonds       3,194        3,194 
Total  $207,703,950   $4,861,908   $   $212,565,858 

 

   Valuation Inputs      
Other Financial Instruments  Level 1   Level 2   Level 3   Total Value 
Assets                    
Forward Currency Contracts  $   $2,888,889   $   $2,888,889 
Liabilities                    
Forward Currency Contracts       (59,074)       (59,074)
Total  $   $2,829,815   $   $2,829,815 

 

   Valuation Inputs      
Accelerating Dividend Fund*  Level 1   Level 2   Level 3   Total Value 
Common Stocks  $5,146,248   $   $   $5,146,248 
Short-Term Investments       195,000        195,000 
Total  $5,146,248   $195,000   $   $5,341,248 

 

   Valuation Inputs      
Financial Services Fund*  Level 1   Level 2   Level 3   Total Value 
Common Stocks  $32,594,959   $   $   $32,594,959 
Preferred Stocks   345,097            345,097 
Total  $32,940,056   $   $   $32,940,056 

 

   Valuation Inputs      
Small Cap Fund*  Level 1   Level 2   Level 3   Total Value 
Common Stocks  $14,780,318   $   $   $14,780,318 
Short-Term Investments       140,000        140,000 
Total  $14,780,318   $140,000   $   $14,920,318 

 

124

 

Alpine Mutual Funds

 

Notes to Financial Statements—Continued

October 31, 2014

 

   Valuation Inputs      
Transformations Fund*  Level 1   Level 2   Level 3   Total Value 
Common Stocks  $8,014,372   $   $   $8,014,372 
Short-Term Investments       859,000        859,000 
Total  $8,014,372   $859,000   $   $8,873,372 

 

   Valuation Inputs      
Equity Income Fund*  Level 1   Level 2   Level 3   Total Value 
Common Stocks  $69,769,408   $   $   $69,769,408 
Bonds       5,232,500        5,232,500 
Short-Term Investments       6,297,000        6,297,000 
Total  $69,769,408   $11,529,500   $   $81,298,908 

 

   Valuation Inputs      
Other Financial Instruments  Level 1   Level 2   Level 3   Total Value 
Assets                    
Purchased Options  $47,450   $   $   $47,450 
Total  $47,450   $   $   $47,450 

 

   Valuation Inputs      
Ultra Short Municipal Income Fund*  Level 1   Level 2   Level 3   Total Value 
Municipal Bonds  $   $1,119,940,885   $   $1,119,940,885 
Money Market Funds       174,528        174,528 
Short-Term Investments       17,995,000        17,995,000 
Total  $   $1,138,110,413   $   $1,138,110,413 

 

   Valuation Inputs      
Municipal Money Market Fund*  Level 1   Level 2   Level 3   Total Value 
Municipal Bonds  $   $115,400,943   $   $115,400,943 
Money Market Funds       1,202,801        1,202,801 
Total  $   $116,603,744   $   $116,603,744 

 

   Valuation Inputs      
High Yield Managed Duration Municipal Fund*  Level 1   Level 2   Level 3   Total Value 
Municipal Bonds  $   $27,626,777   $   $27,626,777 
Money Market Funds       114        114 
Total  $   $27,626,891   $   $27,626,891 

 

* For detailed sector, country and state descriptions, see accompanying Schedule of Portfolio Investments.

 

For the year ended October 31, 2014, there were no transfers between Level 1, Level 2 and Level 3. The Funds recognize transfers as of the beginning of the year.

 

B. Security Transactions and Investment Income:

 

Security transactions are accounted for on a trade date basis. Realized gains and losses are computed on the identified cost basis. Dividend income is recorded on the ex-dividend date or in the case of some foreign securities, on the date thereafter when the Funds are made aware of the dividend. Upon notification from issuers, some of the dividend income received from a real estate investment trust may be redesignated as a reduction of cost of the related investment and/or realized gain. Interest income is recorded on the accrual basis and includes accretion of discounts and amortization of premiums, where applicable. To the extent any issuer defaults or a credit event occurs that impacts the issuer, the Funds may halt any additional interest income accruals and consider the realizability of interest accrued up to the date of default or credit event.

 

125

 

Alpine Mutual Funds

 

Notes to Financial Statements—Continued

October 31, 2014

 

C. Line of Credit and Custody Overdrafts:

 

On December 1, 2010, each of the Series Trust and Income Trust entered into a lending agreement with BNP Paribas through its New York branch (“BNPP NY”) on behalf of each of the Funds. Loans in aggregate, whether to cover overdrafts or for investment purposes, may not exceed the maximum amount that is permitted under the 1940 Act. The terms of the lending agreement indicate the rate to be the Fed Funds rate plus 0.95% per annum on amounts borrowed. The BNP Paribas Facility provides secured, uncommitted lines of credit for the Funds where selected Funds’ assets are pledged against advances made to the respective Fund. Each Fund has granted a security interest in all pledged assets used as collateral to the BNPP Facility. Each Fund is permitted to borrow up to 33.33% of its total assets for extraordinary or emergency purposes. Additionally, each of the following Funds is permitted to borrow up to 10% of its total assets for investment purposes but in no case shall any Fund’s total outstanding borrowings exceed 33.33% of their respective total assets. Either BNPP NY or the Funds may terminate this agreement upon delivery of written notice. For the year ended October 31, 2014, the average interest rate paid on outstanding borrowings under the line of credit was 1.03%, 1.01%, 1.03%, 1.02%, 1.01% and 1.04% for the Dynamic Dividend Fund, Accelerating Dividend Fund, Financial Services Fund, Small Cap Fund, Transformations Fund and High Yield Managed Duration Municipal Fund respectively. The Funds may also incur interest expense on custody overdraft charges.

 

The Adviser reimbursed the Alpine Financial Services Fund for costs associated with borrowing amounts related to large redemptions during the period (See Note 6).

 

   Dynamic
Dividend
Fund
  Accelerating
Dividend
Fund
  Financial
Services
Fund
  Small
Cap
Fund
Total line of credit amount available for investment purposes at October 31, 2014  $22,264,426   $561,431   $4,018,305   $1,518,157 
Line of credit outstanding at October 31, 2014   5,310,505        2,093,754     
Line of credit amount unused at October 31, 2014   16,953,921    561,431    1,924,551    1,518,157 
Average balance outstanding during the period   6,850,209    6,519    1,305,042    3,759 
Maximum balance outstanding during the period   16,710,378    759,750    22,155,608    217,480 
Interest expense incurred on line of credit during the period   71,347    67    13,636    39 
Interest expense incurred on custody overdrafts during the period   34        10    23 

 

   Transformations
Fund
  Equity Income
Fund
  Ultra Short
Municipal
Income Fund
  Municipal
Money Market
Fund
  High Yield
Managed
Duration
Municipal Fund
Total line of credit amount available for investment purposes at October 31, 2014   $889,011   $8,162,900   $   $   $2,806,119 
Line of credit outstanding at October 31, 2014                   2,119,734 
Line of credit amount unused at October 31, 2014   889,011    8,162,900            686,385 
Average balance outstanding during the period   2,349                619,781 
Maximum balance outstanding during the period   260,980                2,119,734 
Interest expense incurred on line of credit during the period   24                2,743 
Interest expense incurred on custody overdrafts during the period           738    112     

 

The line of credit outstanding as of October 31, 2014 approximates its fair value and would be categorized at Level 2.

 

126

 

Alpine Mutual Funds

 

Notes to Financial Statements—Continued

October 31, 2014

 

D. Federal and Other Income Taxes:

 

It is each Fund’s policy to comply with the Federal income and excise tax requirements of the Internal Revenue Code of 1986 (the “Code”), as amended, applicable to regulated investment companies and to timely distribute, all of its investment company taxable income and net realized capital gains to shareholders in accordance with the timing requirements imposed by the Code. Therefore, no Federal income tax provision is required. Capital gains realized on some foreign securities are subject to foreign taxes. Dividends and interest from non-U.S. sources received by the Funds are generally subject to non-U.S. withholding taxes at rates ranging up to 30%. Such capital gains and withholding taxes, which are accrued as applicable, may be reduced or eliminated under the terms of applicable U.S. income tax treaties, and the Funds intend to undertake procedural steps to claim the benefits of such treaties. Where available, the Funds will file refund claims for foreign taxes withheld.

 

Management has analyzed the Funds’ tax positions taken on income tax returns for all open tax years and has concluded that as of October 31, 2014, no provision for income tax is required in the Funds’ financial statements. The Funds’ Federal and state income and Federal excise tax returns for tax years for which the applicable statutes of limitations have not expired are subject to examination by the Internal Revenue Service and state departments of revenue. As of October 31, 2014, open Federal and New York tax years include the tax years ended October 31, 2011 through 2014. Also, the Funds have recognized no interest and penalties related to uncertain tax benefits. The Funds are also not aware of any tax positions for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months.

 

GAAP requires that certain components of net assets be reclassified to reflect permanent differences between financial and tax reporting. These reclassifications have no effect on net assets or net asset values per share.

 

E. Distributions to Shareholders:

 

Each of the Dynamic Dividend, Accelerating Dividend, Financial Services, Small Cap, Transformations, Equity Income, Ultra Short Municipal Income and High Yield Managed Duration Municipal Funds intends to distribute all of its net investment income and net realized capital gains, if any, throughout the year to its shareholders in the form of dividends. The Municipal Money Market Fund declares and accrues dividends daily on each business day based upon the Fund’s net income, and pays dividends monthly. Distributions to shareholders are recorded at the close of business on the ex-dividend date. All dividends are automatically reinvested in full and fractional shares of the respective Funds at net asset value per share, unless otherwise requested.

 

The amounts of dividends from net investment income and of distributions from net realized gains are determined in accordance with Federal income tax regulations, which may differ from GAAP. These differences are either considered temporary or permanent in nature. To the extent these differences are permanent in nature, such amounts are reclassified within the composition of net assets based on their Federal tax-basis treatment; temporary differences do not require reclassification. In the event dividends and distributions to shareholders exceed net investment income and net realized gains for tax purposes, they are reported as returns of capital.

 

F. Class Allocations:

 

Income, expenses (other than class specific expenses) and realized and unrealized gains and losses are allocated among the classes of the Funds based on the relative net assets of each class. Class specific expenses are allocated to the class to which they relate. Currently, class specific expenses are limited to those incurred under the Distribution Plan for Class A shares.

 

G. Foreign Currency Translation Transactions:

 

Each of the Dynamic Dividend, Accelerating Dividend, Financial Services and Transformations Funds may invest without limitation in foreign securities. The Small Cap Fund and Equity Income Fund may invest up to 30% and 15%, respectively, of the value of its net assets in foreign securities. The books and records of each Fund are maintained in U.S. dollars. Non-U.S. dollar-denominated amounts are translated into U.S. dollars as follows, with the resultant translations gains and losses recorded in the Statements of Operations.

 

  i) market value of investment securities and other assets and liabilities at the exchange rate on the valuation date.
     
  ii) purchases and sales of investment securities, income and expenses at the exchange rate prevailing on the respective date of such transactions.

 

127

 

Alpine Mutual Funds

 

Notes to Financial Statements—Continued

October 31, 2014

 

H. Risks Associated with Foreign Securities and Currencies:

 

Investments in securities of foreign issuers carry certain risks not ordinarily associated with investments in securities of domestic issuers. Such risks include future political and economic developments and the possible imposition of exchange controls or other foreign governmental laws and restrictions. In addition, with respect to certain countries, there is a possibility of expropriation of assets, confiscatory taxation, political or social instability or diplomatic developments, which could adversely affect investments in those countries. Generally, when the U.S. dollar rises in value against a foreign currency, the Funds’ investments denominated in that currency will lose value because that currency is worth fewer U.S. dollars; the opposite effect occurs if the U.S. dollar falls in relative value.

 

Certain countries may also impose substantial restrictions on investments in their capital markets by foreign entities, including restrictions on investments in issuers or industries deemed sensitive to relevant national interests. These factors may limit the investment opportunities available to the Funds or result in a lack of liquidity and high price volatility with respect to securities of issuers from developing countries.

 

I. Equity-Linked Structured Notes:

 

The Funds may invest in equity-linked structured notes. Equity-linked structured notes are securities which are specially designed to combine the characteristics of one or more underlying securities and their equity derivatives in a single note form. The return and/or yield or income component may be based on the performance of the underlying equity securities, and equity index, and/or option positions. Equity-linked structured notes are typically offered in limited transactions by financial institutions in either registered or non-registered form. An investment in equity-linked structured notes creates exposure to the credit risk of the issuing financial institution, as well as to the market risk of the underlying securities. There is no guaranteed return of principal with these securities and the appreciation potential of these securities may be limited by a maximum payment or call right. In certain cases, equity-linked structured notes may be more volatile and less liquid than complex securities or other types of fixed-income securities. Such securities may exhibit price behavior that does not correlate with other fixed-income securities. The Dynamic Dividend Fund held one equity-linked structured note at October 31, 2014.

 

J. Options:

 

The Funds may engage in option transactions and in doing so achieve similar objectives to what they would achieve through the sale or purchase of individual securities. A call option, upon payment of a premium, gives the purchaser of the option the right to buy, and the seller of the option the obligation to sell, the underlying security, index or other instrument at the exercise price. A put option gives the purchaser of the option, upon payment of a premium, the right to sell, and the seller the obligation to buy, the underlying security, index, or other instrument at the exercise price.

 

To seek to offset some of the risk of a potential decline in value of certain long positions, the Funds may also purchase put options on individual securities. The Fund may also seek to generate income from option premiums by writing (selling) options on a portion of the equity securities in the Funds’ portfolio.

 

When a Fund purchases an option, it pays a premium and an amount equal to that premium is recorded as an asset. When a Fund writes an option, it receives a premium and an amount equal to that premium is recorded as a liability. The asset or liability is adjusted daily to reflect the current market value of the option. If an option expires unexercised, the Fund realizes a gain or loss to the extent of the premium received or paid. If an option is exercised, the premium received or paid is recorded as an adjustment to the proceeds from the sale or the cost basis of the purchase. The difference between the premium and the amount received or paid on a closing purchase or sale transaction is also treated as a realized gain or loss. The cost of securities acquired through the exercise of call options is increased by premiums paid. The proceeds from securities sold through the exercise of put options are decreased by the premiums paid. Gain or loss on written options and purchased options is presented separately as net realized gain or loss on written options and net realized gain or loss on purchased options, respectively.

 

K. Forward Currency Contracts:

 

The Funds are subject to foreign currency exchange rate risk in the normal course of pursuing their investment objectives. The Funds may use forward currency contracts to gain exposure, to or economically hedge against, changes in the value of foreign currencies. A forward currency contract (“forward”) is an agreement between two

 

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October 31, 2014

 

parties to buy and sell a currency at a set price on a future date. The market value of the forward contract fluctuates with changes in forward currency exchange rates. The forward contract is marked-to-market daily and the change in market value is recorded by each Fund as unrealized appreciation or depreciation. When the forward contract is closed, a Fund records a realized gain or loss equal to the fluctuation in value during the period the forward contract was open. A Fund could be exposed to risk if a counterparty is unable to meet the terms of a forward or if the value of the currency changes unfavorably. The Funds’ forward contracts are not subject to an enforceable master netting agreement or similar agreement. During the year ended October 31, 2014, the Dynamic Dividend Fund entered into fifteen forward contracts.

 

The following forward contracts were held as of October 31, 2014:

 

Dynamic Dividend Fund

 

Description  Counterparty  Settlement
 Date
  Currency   Settlement
Value
   Current
Value
   Unrealized
Gain/(Loss)
 
Contracts Purchased:                      
Japanese Yen  State Street Bank & Trust  1/28/2015  110,000,000 JPY   $1,039,364   $980,290   $(59,074)
                  $980,290   $(59,074)
Contracts Sold:                         
Swiss Franc  State Street Bank & Trust  1/7/2015  6,300,000 CHF   $7,068,327   $6,552,039   $516,288 
Euro  State Street Bank & Trust  1/7/2015  12,800,000 EUR    17,437,568    16,046,969    1,390,599 
British Pound  State Street Bank & Trust  1/7/2015  4,000,000 GBP    6,838,560    6,395,570    442,990 
Japanese Yen  State Street Bank & Trust  1/28/2015  600,000,000 JPY    5,886,046    5,347,034    539,012 
                  $34,341,612   $2,888,889 

 

L. Derivative Instruments and Hedging Activities:

 

The following tables provide information about the effect of derivatives and hedging activities on the Funds’ Statements of Assets and Liabilities and Statements of Operations as of and for the year ended October 31, 2014. The first table provides additional detail about the amounts and sources of unrealized appreciation/(depreciation) on derivatives at the end of the period. The second table provides additional information about the amounts and sources of net realized gain/(loss) and the change in net unrealized appreciation/(depreciation) resulting from the Funds’ derivatives and hedging activities during the period.

 

The effect of derivative instruments in the Statements of Assets and Liabilities as of October 31, 2014:

 

Dynamic Dividend Fund

 

Derivatives  Statements of Assets
and Liabilities Location
  Unrealized
Appreciation/(Depreciation)
Foreign exchange risk  Unrealized appreciation on
forward currency contract
    $2,888,889 
Foreign exchange risk  Unrealized depreciation on
forward currency contract
     (59,074)
        $2,829,815 

 

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Notes to Financial Statements—Continued
October 31, 2014

 

Equity Income Fund

 

Derivatives  Statements of Assets
and Liabilities Location
  Value
Equity contracts  Investments in securities, at value
(includes purchased options)
  $47,450 

 

The effect of derivative instruments in the Statements of Operations for the year ended October 31, 2014:

 

Dynamic Dividend Fund

 

Derivatives  Statements of
Operations Location
  Net Realized Loss  Unrealized Appreciation
Foreign exchange risk  Net realized gain/(loss) from foreign currency transactions/Change in net unrealized appreciation/(depreciation) on foreign currency translations  $(517,299)  $3,026,618 

 

Equity Income Fund

 

Derivatives  Statements of
Operations Location
  Net Realized
Gain/(Loss)
  Unrealized Appreciation
Equity contracts  Net realized gain/(loss) from investments/Change in net unrealized appreciation/(depreciation) on investments    $—    $24,214  

 

M. Redemption Fees:

 

The Funds of the Alpine Series Trust impose a redemption fee of 1% of the total redemption amount on all Fund shares redeemed or exchanged within 60 days of buying them, either by purchase or exchange. This fee is assessed and retained by the Funds for the benefit of the remaining shareholders. The redemption fee is accounted for as an increase to paid-in-capital. The Alpine Ultra Short Municipal Income Fund and Alpine High Yield Managed Duration Municipal Fund of the Alpine Income Trust, impose a 0.25% redemption fee for shares redeemed or exchanged within 30 days of buying them and 0.75% redemption fee for shares redeemed or exchanged within 60 days of buying them, respectively, of the total redemption amount on all Fund shares redeemed or exchanged. This fee is assessed and retained by the Funds for the benefit of the remaining shareholders. The redemption fee is accounted for as an increase to paid-in-capital. There is no redemption fee assessed on the Alpine Municipal Money Market Fund redemptions.

 

3.Capital Share Transactions:

 

The Funds have an unlimited number of shares of beneficial interest, with $0.001 par value, authorized. Transactions in shares and dollars of the Funds were as follows:

 

Dynamic Dividend Fund

 

   Year Ended
October 31, 2014
   Year Ended
October 31, 2013
 
   Shares   Amount   Shares   Amount 
Institutional Class                    
Shares sold   2,695,521   $10,364,444    4,626,855   $16,410,716 
Shares issued in reinvestment of dividends   2,510,738    9,683,398    4,374,413    15,422,518 
Redemption fees       2,316        32,998 
Shares redeemed   (15,803,293)   (60,579,434)   (44,820,185)   (159,446,914)
Total net change   (10,597,034)  $(40,529,276)   (35,818,917)  $(127,580,682)

 

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Notes to Financial Statements—Continued
October 31, 2014

 

   Year Ended
October 31, 2014
   Year Ended
October 31, 2013
 
   Shares   Amount   Shares   Amount 
Class A                    
Shares sold   536,790   $2,073,532    438,000   $1,581,034 
Shares issued in reinvestment of dividends   24,672    95,412    16,275    57,807 
Redemption fees       33        271 
Shares redeemed   (117,052)   (455,600)   (259,548)   (953,912)
Total net change   444,410   $1,713,377    194,727   $685,200 
                     
Accelerating Dividend Fund                    
Institutional Class                    
Shares sold   141,954   $2,176,399    115,324   $1,681,377 
Shares issued in reinvestment of dividends   16,285    248,587    11,768    158,067 
Redemption fees       2,469        5,960 
Shares redeemed   (100,837)   (1,550,294)   (69,439)   (1,032,609)
Total net change   57,402   $877,161    57,653   $812,795 
                     
Class A                    
Shares sold   12,237   $189,307    43,398   $607,223 
Shares issued in reinvestment of dividends   2,081    31,629    920    12,580 
Redemption fees       700        1,502 
Shares redeemed   (20,208)   (310,972)   (3,889)   (54,858)
Total net change   (5,890)  $(89,336)   40,429   $566,447 
                     
Financial Services Fund                    
Institutional Class                    
Shares sold   3,891,425   $52,223,228    670,949   $6,828,522 
Shares issued in reinvestment of dividends   461    6,073         
Redemption fees       6,007        23,701 
Shares redeemed   (2,932,309)   (40,017,894)   (564,902)   (5,679,360)
Total net change   959,577   $12,217,414    106,047   $1,172,863 
                     
Class A                    
Shares sold   428,074   $5,737,113    630,668   $6,630,199 
Shares issued in reinvestment of dividends                
Redemption fees       1,979        9,309 
Shares redeemed   (416,369)   (5,477,799)   (181,877)   (2,017,493)
Total net change   11,705   $261,293    448,791   $4,622,015 

 

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Notes to Financial Statements—Continued
October 31, 2014

 

Small Cap Fund

 

   Year Ended
October 31, 2014
   Year Ended
October 31, 2013
 
   Shares   Amount   Shares   Amount 
Institutional Class                    
Shares sold   242,533   $3,574,521    17,099   $211,505 
Shares issued in reinvestment of dividends                
Redemption fees       586        302 
Shares redeemed   (137,994)   (2,030,695)   (116,859)   (1,473,954)
Total net change   104,539   $1,544,412    (99,760)  $(1,262,147)
                     
Class A                    
Shares sold   120,756   $1,787,024       $ 
Shares issued in reinvestment of dividends                
Redemption fees       56         
Shares redeemed   (43,206)   (615,539)        
Total net change   77,550   $1,171,541       $ 

 

Transformations Fund

 

    Year Ended
October 31, 2014
    Year Ended
October 31, 2013
 
    Shares    Amount    Shares    Amount 
Institutional Class                    
Shares sold   8,957   $131,299    6,493   $85,651 
Shares issued in reinvestment of dividends   71,961    991,634    3,340    41,150 
Redemption fees               754 
Shares redeemed   (11,572)   (165,899)   (55,827)   (716,428)
Total net change   69,346   $957,034    (45,994)  $(588,873)
                     
Class A                    
Shares sold   616   $9,013       $ 
Shares issued in reinvestment of dividends   1,382    18,923    58    722 
Redemption fees                
Shares redeemed                
Total net change   1,998   $27,936    58   $722 

 

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Notes to Financial Statements—Continued
October 31, 2014

 

Equity Income Fund

 

   Year Ended
October 31, 2014
   Year Ended
October 31, 2013
 
   Shares   Amount   Shares   Amount 
Institutional Class                    
Shares sold   4,384   $58,532    6,872   $80,791 
Shares issued in reinvestment of dividends   92,068    1,213,271    84,305    999,702 
Redemption fees       2        24 
Shares redeemed   (172,726)   (2,246,252)   (104,909)   (1,253,455)
Total net change   (76,274)  $(974,447)   (13,732)  $(172,938)
                     
Class A                    
Shares sold   255,255   $3,261,300       $ 
Shares issued in reinvestment of dividends   141    1,858    122    1,443 
Redemption fees                
Shares redeemed   (1,893)   (25,425)        
Total net change   253,503   $3,237,733    122   $1,443 
                     
Ultra Short Municipal Income Fund                    
                     
    Year Ended
October 31, 2014
    Year Ended
October 31, 2013
 
   Shares   Amount   Shares   Amount 
Institutional Class                    
Shares sold   41,635,652   $417,829,233    52,181,272   $523,938,733 
Shares issued in reinvestment of dividends   356,964    3,581,682    443,294    4,450,048 
Redemption fees       13,825        31,220 
Shares redeemed   (52,223,017)   (524,077,213)   (96,484,972)   (968,788,065)
Total net change   (10,230,401)  $(102,652,473)   (43,860,406)  $(440,368,064)
                     
Class A                    
Shares sold   9,525,204   $96,123,109    12,132,904   $122,515,170 
Shares issued in reinvestment of dividends   61,561    621,217    95,577    965,011 
Redemption fees       4,098        10,441 
Shares redeemed   (15,321,364)   (154,611,366)   (25,877,405)   (261,305,015)
Total net change   (5,734,599)  $(57,862,942)   (13,648,924)  $(137,814,393)
                     
Municipal Money Market Fund                    
                     
    Year Ended
October 31, 2014
    Year Ended
October 31, 2013
 
    Shares    Amount    Shares    Amount 
Investor Class                    
Shares sold   134,049,821   $134,049,821    145,994,821   $145,994,821 
Shares issued in reinvestment of dividends   27,008    27,008    65,951    65,951 
Redemption fees                
Shares redeemed   (187,707,114)   (187,707,114)   (204,289,468)   (204,289,468)
Total net change   (53,630,285)  $(53,630,285)   (58,228,696)  $(58,228,696)

 

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Notes to Financial Statements—Continued
October 31, 2014

 

High Yield Managed Duration Municipal Fund

 

   Year Ended
October 31, 2014
   Year Ended
October 31, 2013
 
   Shares   Amount   Shares   Amount 
Institutional Class                    
Shares sold   402,910   $4,106,000    1,990,001   $19,900,010 
Shares issued in reinvestment of dividends   79,614    805,579    12,265    121,832 
Redemption fees                
Shares redeemed   (197)   (2,015)        
Total net change   482,327   $4,909,564    2,002,266   $20,021,842 
                     
Class A                    
Shares sold      $    10,001   $100,010 
Shares issued in reinvestment of dividends   356    3,597    51    508 
Redemption fees                
Shares redeemed                
Total net change   356   $3,597    10,052   $100,518 

 

4.Purchases and Sales of Securities:

 

Purchases and sales of securities (excluding short-term securities) for the year ended October 31, 2014 are as follows:

 

   Purchases   Sales 
Dynamic Dividend Fund  $191,069,254   $232,007,344 
Accelerating Dividend Fund   4,389,721    3,779,977 
Financial Services Fund   66,765,308    56,365,765 
Small Cap Fund   26,960,830    23,693,351 
Transformations Fund   3,732,627    3,685,145 
Equity Income Fund   42,634,142    30,079,874 
Ultra Short Municipal Income Fund   1,777,596,315    2,040,094,027 
High Yield Managed Duration Municipal Fund   21,853,601    12,969,575 

 

Purchases and sales of U.S. Government Obligations (excluding short-term securities) for the year ended October 31, 2014 are as follows:

 

    Purchases   Sales
Equity Income Fund   $—   $10,800,234 

  
5.Distribution Plans:

 

Quasar Distributors, LLC (“Quasar”) serves as each Fund’s distributor. Each of the Funds, except for Municipal Money Market Fund, have adopted distribution and servicing plans (the “Plans”) for their Class A shares as allowed by Rule 12b-1 under the 1940 Act. The Plans authorize payments by the Funds in connection with the distribution and servicing of their Class A shares at an annual rate, as determined from time to time by the Board, of up to 0.25% of the average daily net assets of the Class A shares of the Funds. Amounts paid under the Plans by the Funds may be spent by the Funds on any activities or expenses primarily intended to result in the sale of Class A shares of the Funds, including but not limited to advertising, compensation for sales and marketing activities of financial institutions and others such as dealers and distributors, shareholder account servicing, the printing and mailing of prospectuses to other than current shareholders and the printing and mailing of sales literature. Dynamic Dividend Fund, Accelerating Dividend Fund, Financial Services Fund, Small Cap Fund, Transformations Fund, Equity Income Fund, Ultra Short Municipal Income Fund and High Yield Managed Duration Municipal Fund incurred $8,841, $2,103, $24,788, $1,648, $378, $6,756, $654,175 and $258, respectively, pursuant to the Plans for the year ended October 31, 2014.

 

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Notes to Financial Statements—Continued
October 31, 2014

 

  The Plans for the Funds may be terminated at any time by vote of the Trustees of the Trusts who are not “interested persons,” as defined by the 1940 Act, or by vote of a majority of the outstanding voting shares of the respective class.
   
6. Investment Advisory Agreement and Other Affiliated Transactions:
   
  The Adviser provides investment advisory services to each of the Funds. Pursuant to the advisory agreements with the Funds, the Adviser is entitled to an annual fee based on 1.00% of each Fund’s average daily net assets for the Dynamic Dividend Fund, Accelerating Dividend Fund, Financial Services Fund, Small Cap Fund, Transformations Fund and Equity Income Fund. The Adviser is entitled to an annual fee based on 0.75% of the Ultra Short Municipal Income Fund’s average daily net assets and High Yield Managed Duration Municipal Fund’s average daily net assets and an annual fee based on 0.45% of the Municipal Money Market Fund.
   
  The Adviser agreed to reimburse the Dynamic Dividend Fund, Accelerating Dividend Fund, Financial Services Fund, Small Cap Fund, Transformations Fund and Equity Income Fund to the extent necessary to ensure that ordinary operating expenses (including 12b-1 fees, but excluding interest, brokerage commissions, acquired fund fees and extraordinary expenses) do not exceed annually 1.60% of each Fund’s Class A shares average daily net assets, and 1.35% of each Fund’s Institutional Class shares average daily net assets. The contractual expense cap for the Ultra Short Municipal Income Fund Class A shares and Ultra Short Municipal Income Fund Institutional Class shares is 0.95% and 0.70%, respectively, at October 31, 2014. The Adviser may recover expenses paid in excess of the cap on expenses for the three previous years, as long as the recovery does not cause the Fund to exceed such cap on expenses. The contractual expense cap for High Yield Managed Duration Municipal Fund Class A shares and Institutional Class shares is 1.05% and 0.80%, respectively. For the year ended October 31, 2014, the Adviser waived investment advisory fees and other expenses totaling $146,717, $44,557, $37,668, $42,929, $4,223,255 and $106,330 for the Dynamic Dividend Fund, Accelerating Dividend Fund, Small Cap Fund, Transformations Fund, Ultra Short Municipal Income Fund and High Yield Managed Duration Municipal Fund, respectively. The expense limitations will remain in effect for each Fund through February 28, 2015 unless and until the Board of the Series and Income Trusts approve its modification or termination with respect to each Fund. Waived expenses subject to potential recovery by year of expiration are as follows:

 

                   Ultra Short  High Yield
    Dynamic  Accelerating  Financial        Muncipal  Managed
    Dividend  Dividend  Services  Small Cap  Transformations  Income  Duration
Years of Expiration   Fund  Fund  Fund  Fund  Fund  Fund  Municipal Fund
10/31/2015  $    $51,048   $42,851   $35,981    $42,826   $3,353,608    $          — 
10/31/2016   144,069    67,570    58,369    52,638    58,060    4,236,779    76,676 
10/31/2017   146,717    44,557        37,668    42,929    4,223,255    106,330 

 

  For the year ended October 31, 2014, the Adviser voluntarily agreed to reimburse the Ultra Short Municipal Income Fund to the extent necessary to ensure that the Fund’s total operating expenses (including 12b-1 fees, where applicable, but excluding interest, brokerage commissions and extraordinary expenses) did not exceed certain limits. The limits were 0.80% and 0.55% of the average daily net assets of the Class A shares and Institutional Class shares, respectively, during the year ended October 31, 2014. Additionally, the Adviser voluntarily agreed to reimburse the Municipal Money Market Fund to the extent necessary to ensure that the Fund’s total operating expenses (excluding interest, brokerage commissions and extraordinary expenses) did not exceed certain limits. The limits ranged from 0.23% to 0.34% of the Fund’s average daily net assets during the year ended October 31, 2014. For the year ended October 31, 2014, the Adviser waived investment advisory fees and other expenses totaling $467,008 for the Municipal Money Market Fund.
   
  The Adviser makes payments to intermediaries that provide omnibus account services, sub-accounting services and/or networking services with respect to the Funds. On February 2, 2012, the Board approved, subject to certain limitations, the reimbursement to the Adviser by the appropriate Fund, of up to a certain percentage of such fees paid by the Adviser to intermediaries that provide omnibus account services, sub-accounting services, and/or networking services. Reimbursement of these fees are subject to review by the Board and are included in the transfer agent fees in the Statements of Operations. The Dynamic Dividend Fund, Accelerating Dividend Fund, Financial Services Fund, Small Cap Fund, Transformations Fund, Equity Income Fund, Ultra Short Municipal Income Fund and Municipal Money Market Fund incurred $171,663, $702, $13,026, $3,303, $262, $1,901, $510,619 and $306, respectively, in reimbursements to the Adviser.

 

135

 

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Notes to Financial Statements—Continued
October 31, 2014

 

  During the fiscal year ended October 31, 2014, the Adviser fully reimbursed the Alpine Financial Services Fund for $4,798 for losses incurred related to the Fund’s borrowings.
   
  State Street Bank and Trust Company (“SSBT”) serves as the fund accounting agent and custodian. The custodian is responsible for the safekeeping of the assets of the Funds and the fund accounting agent is responsible for calculating the Funds’ NAVs. SSBT, as the Funds’ custodian and fund accounting agent, is paid on the basis of net assets and transaction costs of the Funds. SSBT also serves as the administrator for the Equity Trust. SSBT, as the Funds’ administrator, is paid on the basis of net assets of the Funds which are allocated among the series of the Equity Trust, on the basis of relative net assets.
   
  Boston Financial Data Services, Inc. (“BFDS”) serves as the transfer agent to the Equity Trust. BFDS is paid on the basis of net assets, per account fees and certain transaction costs.
   
  During the fiscal year ended October 31, 2014, the Funds engaged in purchase and sale transactions with funds that have a common investment adviser (or affiliated investment advisers), common Directors/Trustees and/or common Officers. These purchase and sale transactions complied with Rule 17a-7 under the 1940 Act and were as follows:

 

   Purchases  Sales
Ultra Short Municipal Income Fund  $    $4,600,000 
Municipal Money Market Fund   4,600,000     

 

7. Federal Income Tax Information:
   
  At October 31, 2014, the components of distributable earnings on a tax basis were as follows:

 

   Dynamic   Accelerating   Financial     
   Dividend Fund   Dividend Fund   Services Fund   Small Cap Fund 
Undistributed ordinary income  $129,980   $40,656   $389,054   $ 
Other undistributed ordinary losses   (362,289)   (1,640)        
Undistributed tax exempt income                
Undistributed long-term capital gain       284,646         
Late year ordinary loss deferral               (96,032)
Accumulated capital loss   (1,120,232,565)           (7,677,866)
Unrealized appreciation/(depreciation)   19,963,316    793,223    3,675,981    (1,128,123)
Total  $(1,100,501,558)  $1,116,885   $4,065,035   $(8,902,021)
                     
           Ultra Short   Municipal 
   Transformations   Equity Income   Municipal   Money Market 
   Fund   Fund   Income Fund   Fund 
Undistributed ordinary income  $128,378   $   $   $ 
Other undistributed tax exempt losses           (69,992)    
Undistributed tax exempt income           69,998     
Undistributed long-term capital gain   189,616    114,492         
Late year ordinary loss deferral                
Accumulated capital loss           (423,701)   (8)
Unrealized appreciation/(depreciation)   2,172,274    17,998,967    112,659     
Total  $2,490,268   $18,113,459   $(311,036)  $(8)

 

136

 

Alpine Mutual Funds

 

Notes to Financial Statements—Continued
October 31, 2014

 

   High Yield 
   Managed Duration 
   Municipal Fund 
Undistributed ordinary income  $17,980 
Other undistributed ordinary losses   (1,665)
Undistributed tax exempt income    
Undistributed long-term capital gain    
Late year ordinary loss deferral    
Accumulated capital loss    
Unrealized appreciation/(depreciation)   621,233 
Total  $637,548 

 

  Tax components of distributable earnings are determined in accordance with income tax regulations which may differ from the composition of net assets reported under GAAP. Accordingly, for the year ended October 31, 2014, the effects of certain differences were reclassified as follows:

 

      Accumulated  Accumulated        
       net investment  net realized        
   Capital stock  income  gains/(losses)        
Dynamic Dividend Fund  $219   $437,712   $(437,931)        
Accelerating Dividend Fund   (34)   25,195    (25,161)        
Financial Services Fund   (1)   125,184    (125,183)        
Small Cap Fund   (115,057)   109,603    5,454         
Transformations Fund   764    20,641    (21,405)        
Equity Income Fund   13,413    78,155    (91,568)        

 

  As of October 31, 2014, net unrealized appreciation/(depreciation) of investments, excluding foreign currency, based on Federal tax costs was as follows:

 

       Gross   Gross   Net unrealized 
   Cost of   unrealized   unrealized   appreciation/ 
Fund  investments   appreciation   depreciation   (depreciation) 
Dynamic Dividend Fund  $195,396,535   $30,304,384   $(13,135,061)  $17,169,323 
Accelerating Dividend Fund   4,547,955    853,455    (60,162)   793,293 
Financial Services Fund   29,263,704    4,563,767    (887,415)   3,676,352 
Small Cap Fund   16,048,432    916,806    (2,044,920)   (1,128,114)
Transformations Fund   6,701,074    2,417,810    (245,512)   2,172,298 
Equity Income Fund   63,347,391    18,259,421    (260,454)   17,998,967 
Ultra Short Municipal Income Fund   1,137,997,754    780,753    (668,094)   112,659 
Municipal Money Market Fund   116,603,744             
High Yield Managed Duration Municipal Fund   27,005,658    787,489    (166,256)   621,233 

 

  The tax basis of investments for tax and financial reporting purposes differs principally due to the deferral of losses on wash sales, partnership tax adjustments, and marked-to-market cost basis adjustments for investments in passive foreign investment companies (PFICs) for tax purposes.

 

137

 

Alpine Mutual Funds

 

Notes to Financial Statements—Continued
October 31, 2014

 

The tax character of distributions paid during the years ended October 31, 2014 and 2013 were as follows:

 

   2014   2013 
Dynamic Dividend Fund          
Ordinary income  $14,370,391   $23,278,810 
Long-term capital gain        
   $14,370,391   $23,278,810 
Accelerating Dividend Fund          
Ordinary income  $172,291   $144,160 
Long-term capital gain   156,638    47,306 
   $328,929  $191,466 
Financial Services Fund          
Ordinary income  $7,300   $ 
Long-term capital gain        
   $7,300   $ 
Small Cap Fund          
Ordinary income  $   $ 
Long-term capital gain        
   $   $ 
Transformations Fund          
Ordinary income  $294,923   $ 
Long-term capital gain   719,393    42,117 
   $1,014,316   $42,117 
Equity Income Fund          
Ordinary income  $1,189,294   $1,025,051 
Long-term capital gain   92,067     
   $1,281,361   $1,025,051 
Ultra Short Municipal Income Fund          
Ordinary income  $10,638   $ 
Exempt interest dividends   5,350,083    7,292,009 
   $5,360,721   $7,292,009 
Municipal Money Market Fund          
Ordinary income  $   $ 
Exempt interest dividends   35,967    86,577 
   $35,967   $86,577 
High Yield Managed Duration Municipal Fund          
Ordinary income  $9,971   $1,661 
Exempt interest dividends   810,476    120,679 
   $820,447   $122,340 

 

138

 

Alpine Mutual Funds

 

Notes to Financial Statements—Continued

October 31, 2014

 

During the year ended October 31, 2014, the Dynamic Dividend Fund, Financial Services Fund, Small Cap Fund, Equity Income Fund, Ultra Short Municipal Income Fund and High Yield Managed Duration Municipal Fund utilized $16,060,583, $84,286, $4,923,124, $412,599, $64,603 and $5,339 of capital loss carryovers, respectively. Capital loss carryovers as of October 31, 2014 are as follows:

 

Expiration Date  Dynamic
Dividend Fund
  Accelerating
Dividend Fund
  Financial
Services Fund
    Small Cap Fund  Transformations
Fund
10/31/2014  $   $   $  —   $   $  — 
10/31/2015  $25,935,421   $   $   $   $ 
10/31/2016  $536,971,822   $   $   $117,115   $ 
10/31/2017  $388,131,987   $   $   $5,637,266   $ 
10/31/2018  $154,525,095   $   $   $1,581,056   $ 
10/31/2019  $   $   $   $342,429   $ 
                          
Expiration Date  Equity Income
Fund
  Ultra Short
Municipal
Income Fund
  Municipal
Money
Market Fund
  High Yield
Managed
Duration
Municipal Fund
     
10/31/2014  $   $   $   $         
10/31/2015  $   $   $   $         
10/31/2016  $   $   $   $         
10/31/2017  $   $   $   $         
10/31/2018  $   $   $   $         
10/31/2019  $   $67,228   $   $         

 

Under the Regulated Investment Company (“RIC”) Modernization Act of 2010, post-enactment capital losses that are carried forward will retain their character as either short-term or long-term capital losses rather than being considered all short-term as under previous law. However, any losses incurred during those future taxable years will be required to be utilized prior to the losses incurred in pre-enactment taxable years, which carry an expiration date. As a result of this ordering rule, pre-enactment capital loss carryovers may be more likely to expire unused. Capital loss carryover as of October 31, 2014 with no expiration are as follows:

 

Fund    Short-Term   Long-Term      
Dynamic Dividend Fund   $14,668,240   $         
Ultra Short Municipal Income Fund   353,511    2,962         
Municipal Money Market Fund       8         

 

Certain ordinary losses incurred after December 31 and within the taxable year are deemed to arise on the first day of the Funds’ next taxable year, if the Funds so elect. For the year ended October 31, 2014, the following Funds elected to defer late-year ordinary losses:

 

Fund    Late Year
Ordinary Losses
             
Small Cap Fund   $96,032                 

 

139

 

Alpine Mutual Funds

 

Notes to Financial Statements—Continued

October 31, 2014

 

8. Recent Accounting Pronouncement:
   
  In June 2014, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update No. 2014-11 Transfers and Servicing (Topic 860): Repurchase-to-Maturity Transactions, Repurchase Financings, and Disclosures to improve the financial reporting of repurchase agreements and other similar transactions. The guidance includes expanded disclosure requirements for entities that enter into repurchase agreements or securities lending transactions. The guidance is effective for financial statements with fiscal years beginning on or after January 1, 2015, and interim periods within those fiscal years. Management is evaluating the impact, if any, of this guidance on the Funds’ financial statement disclosures.
   
9. Subsequent Events:
   
  Distributions: The Dynamic Dividend Fund — Institutional Class and Class A paid a distribution from net investment income of $1,085,785 and $21,664 or $0.02 and $0.0192 per share, respectively, on November 28, 2014 to shareholders of record on November 26, 2014. The Accelerating Dividend Fund — Institutional Class and Class A paid a distribution from net investment income of $12,098 and $2,149 or $0.0422 and $0.0390 per share, respectively, on November 28, 2014 to shareholders of record on November 26, 2014.
   
  The Accelerating Dividend Fund — Institutional Class and Class A paid a distribution from long-term capital gains of $0.6863 on December 5, 2014 to shareholders of record on December 4, 2014. The Financial Services Fund —Institutional Class and Class A paid a distribution from short-term capital gains of $0.1361 on December 5, 2014 to shareholders of record on December 4, 2014. The Equity Income Fund — Institutional Class and Class A paid a distribution from long-term capital gains of $0.195 on December 5, 2014 to shareholders of record on December 4, 2014. The Transformations Fund — Institutional Class and Class A paid a distribution from short-term capital gains of $0.2327 and from long-term capital gains of $0.3437 on December 5, 2014 to shareholders of record on December 4, 2014. The High Yield Managed Duration Municipal Fund — Institutional Class and Class A paid a distribution from short-term capital gains of $0.0065 on December 5, 2014 to shareholders of record on December 4, 2014.

 

140

 

Alpine Mutual Funds

 

Report of Independent Registered Public Accounting Firm

 

To the Shareholders and Board of Trustees of

Alpine Series Trust and Alpine Income Trust:

 

We have audited the accompanying statements of assets and liabilities, including the schedules of portfolio investments, of Alpine Series Trust, comprised of Alpine Dynamic Dividend Fund, Alpine Accelerating Dividend Fund, Alpine Financial Services Fund, Alpine Small Cap Fund (formerly Alpine Innovators Fund), Alpine Transformations Fund and Alpine Equity Income Fund (formerly Alpine Foundation Fund); and Alpine Income Trust, comprised of Alpine Ultra Short Municipal Income Fund (formerly Alpine Ultra Short Tax Optimized Income Fund), Alpine Municipal Money Market Fund and Alpine High Yield Managed Duration Municipal Fund (collectively the “Funds”) as of October 31, 2014, and the related statements of operations for the year then ended, and the statements of changes in net assets and the financial highlights for each of the periods presented. These financial statements and financial highlights are the responsibility of the Funds’ management. Our responsibility is to express an opinion on these financial statements and financial highlights based on our audits.

 

We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements and financial highlights are free of material misstatement. The Funds are not required to have, nor were we engaged to perform, an audit of their internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Funds’ internal control over financial reporting. Accordingly, we express no such opinion. An audit also includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. Our procedures included confirmation of securities owned as of October 31, 2014, by correspondence with the custodian and brokers; where replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

 

In our opinion, the financial statements and financial highlights referred to above present fairly, in all material respects, the financial positions of Alpine Dynamic Dividend Fund, Alpine Accelerating Dividend Fund, Alpine Financial Services Fund, Alpine Small Cap Fund, Alpine Transformations Fund and Alpine Equity Income Fund of Alpine Series Trust; and Alpine Ultra Short Municipal Income Fund, Alpine Municipal Money Market Fund and Alpine High Yield Managed Duration Municipal Fund of Alpine Income Trust, as of October 31, 2014, and the results of their operations for the year then ended, and the changes in their net assets and the financial highlights for each of the periods presented, in conformity with accounting principles generally accepted in the United States of America.

 

 

Princeton, New Jersey
December 29, 2014

 

141

 

Alpine Mutual Funds

 

Information about your Funds Expenses (Unaudited)
October 31, 2014

 

Fund expenses (Unaudited)

 

Example

 

As a shareholder of the Fund, you may incur two types of costs: (1) transaction costs, including front-end on purchase payments; and (2) ongoing costs, including management fees; service and/or distribution (12b-1) fees; and other Fund expenses. This example is intended to help you understand your ongoing costs (in dollars) of investing in the Fund and to compare these costs with the ongoing costs of investing in other mutual funds. This example is based on an investment of $1,000 invested on May 1, 2014 and held for the six months ended October 31, 2014.

 

Actual Expenses

 

The table below titled “Based on Actual Total Return” provides information about actual account values and actual expenses. You may use the information provided in this table, together with the amount you invested, to estimate the expenses that you paid over the period. To estimate the expenses you paid on your account, divide your ending account value by $1,000 (for example, an $8,600 ending account value divided by $1,000 = 8.6), then multiply the result by the number under the heading entitled “Expenses Paid During the Period”.

 

Hypothetical Example for Comparison Purposes

 

The table below titled “Based on Hypothetical Total Return” provides information about hypothetical account values and hypothetical expenses based on the actual expense ratio and an assumed rate of return of 5.00% per year before expenses, which is not the Fund’s actual return. 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 the information provided in this table to compare the ongoing costs of investing in the Fund and other funds. To do so, compare the 5.00% hypothetical example relating to the Fund with the 5.00% hypothetical examples that appear in the shareholder reports of the other funds.

 

Please note that the expenses shown in the table below are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as front-end or back-end sales charges (loads). Therefore, the table is useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds. In addition, if these transaction costs were included, your costs would have been higher.

 

Dynamic Dividend Fund

 

Based on actual total return (1)

 

Class  Actual Total
Return Without
Sales Charges (2)
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (3)
 
Institutional   2.31%  $1,000.00   $1,023.10    1.38%   $7.04 
 
Class A   2.18%  $1,000.00   $1,021.80    1.63%   $8.31 

 

Based on hypothetical total return (1)

 

Class  Hypothetical
Annualized
Total Return
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (4)
 
Institutional   5.00%  $1,000.00   $1,018.25    1.38%   $7.02 
 
Class A   5.00%  $1,000.00   $1,016.99    1.63%   $8.29 

 

142

 

Alpine Mutual Funds

 

Information about your Funds Expenses (Unaudited)—Continued

October 31, 2014

 

Accelerating Dividend Fund

 

Based on actual total return (1)

 

Class  Actual Total
Return Without
Sales Charges (2)
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (3)
                          
Institutional   3.48%  $1,000.00   $1,034.80    1.35%   $6.92 
                          
Class A   3.42%  $1,000.00   $1,034.20    1.60%   $8.20 
                          
Based on hypothetical total return (1)            
                          
Class  Hypothetical
Annualized
Total Return
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (4)
                          
Institutional   5.00%  $1,000.00   $1,018.40    1.35%   $6.87 
                          
Class A   5.00%  $1,000.00   $1,017.14    1.60%   $8.13 
                          
Financial Services Fund                    
                          
Based on actual total return (1)               
                          
Class  Actual Total
Return Without
Sales Charges (2)
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (3)
                          
Institutional   0.30%  $1,000.00   $1,003.00    1.37%   $6.92 
                          
Class A   0.15%  $1,000.00   $1,001.50    1.63%   $8.22 
                          
Based on hypothetical total return (1)              
                          
Class  Hypothetical
Annualized
Total Return
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (4)
                          
Institutional   5.00%  $1,000.00   $1,018.30    1.37%   $6.97 
                          
Class A   5.00%  $1,000.00   $1,016.99    1.63%   $8.29 
                          
Small Cap Fund                   
                          
Based on actual total return (1)               
                          
Class  Actual Total
Return Without
Sales Charges (2)
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (3)
                          
Institutional   (5.06)%  $1,000.00   $949.40    1.35%   $6.63 
                          
Class A   (5.09)%  $1,000.00   $949.10    1.60%   $7.86 
                          
Based on hypothetical total return (1)              
                          
Class  Hypothetical
Annualized
Total Return
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (4)
                          
Institutional   5.00%  $1,000.00   $1,018.40    1.35%   $6.87 
                          
Class A   5.00%  $1,000.00   $1,017.14    1.60%   $8.13 

 

143

 

Alpine Mutual Funds

 

Information about your Funds Expenses (Unaudited)—Continued

October 31, 2014

 

Transformations Fund

 

Based on actual total return (1)

 

Class  Actual Total
Return Without
Sales Charges (2)
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (3)
                          
Institutional   2.56%  $1,000.00   $1,025.60    1.35%   $6.89 
                          
Class A   2.44%  $1,000.00   $1,024.40    1.60%   $8.16 
                          
Based on hypothetical total return (1)               
                          
Class  Hypothetical
Annualized
Total Return
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (4)
                          
Institutional   5.00%  $1,000.00   $1,018.40    1.35%   $6.87 
                          
Class A   5.00%  $1,000.00   $1,017.14    1.60%   $8.13 
                          
Equity Income Fund                         
                          
Based on actual total return (1)               
                          
Class  Actual Total
Return Without
Sales Charges (2)
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (3)
                          
Institutional   6.40%  $1,000.00   $1,064.00    1.23%   $6.40 
                          
Class A   6.28%  $1,000.00   $1,062.80    1.48%   $7.70 
                          
Based on hypothetical total return (1)               
                          
Class  Hypothetical
Annualized
Total Return
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (4)
                          
Institutional   5.00%  $1,000.00   $1,019.01    1.23%   $6.26 
                          
Class A   5.00%  $1,000.00   $1,017.75    1.48%   $7.53 
                          
Ultra Short Municipal Income Fund               
                          
Based on actual total return (1)               
                          
Class  Actual Total
Return Without
Sales Charges (2)
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (3)
                          
Institutional   0.23%  $1,000.00   $1,002.30    0.52%   $2.62 
                          
Class A   0.21%  $1,000.00   $1,002.10    0.77%   $3.89 
                          
Based on hypothetical total return (1)               
                          
Class  Hypothetical
Annualized
Total Return
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (4)
                          
Institutional   5.00%  $1,000.00   $1,022.58    0.52%   $2.65 
                          
Class A   5.00%  $1,000.00   $1,021.32    0.77%   $3.92 

 

144

 

Alpine Mutual Funds

 

Information about your Funds Expenses (Unaudited)—Continued

October 31, 2014

 

Municipal Money Market Fund

 

Based on actual total return (1)

 

Class  Actual Total
Return Without
Sales Charges (2)
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (3)
 
Investor   0.01%  $1,000.00   $1,000.10    0.26%   $1.31 
 
Based on hypothetical total return (1)                
                          
Class  Hypothetical
Annualized
Total Return
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (4)
 
Investor   5.00%  $1,000.00   $1,023.90    0.26%   $1.33 
 
High Yield Managed Duration Municipal Fund               
 
Based on actual total return (1)                
                          
Class  Actual Total
Return Without
Sales Charges (2)
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (3)
 
Institutional   3.76%  $1,000.00   $1,037.60    0.82%   $4.21 
 
Class A   3.65%  $1,000.00   $1,036.50    1.07%   $5.49 
 
Based on hypothetical total return (1)                
                          
Class  Hypothetical
Annualized
Total Return
  Beginning
Account Value
  Ending
Account Value
  Annualized
Expense
Ratio
  Expenses
Paid During
the Period (4)
 
Institutional   5.00%  $1,000.00   $1,021.07    0.82%   $4.18 
 
Class A   5.00%  $1,000.00   $1,019.81    1.07%   $5.45 

 

 

 

(1) For the six months ended October 31, 2014.
(2) Assumes the reinvestment of all distributions, including returns of capital, if any, at net asset value and does not reflect the deduction of the applicable sales charge. Total return is not annualized, as it may not be representative of the total return for the year. Performance figures may reflect fee waivers and/or expense reimbursements. In the absence of fee waivers and/or expense reimbursements, the total return would have been lower. Past performance is no guarantee of future results.
(3) Expenses (net of fee waivers and/or expense reimbursements) are equal to each class’ respective annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half-year then divided by 365.
(4) Hypothetical expense examples assume a 5% return over a hypothetical 184 day period.

 

145

 

Alpine Mutual Funds

 

Additional Information (Unaudited)

October 31, 2014

 

Independent Trustees

 

Name and Age  Position(s)
Held with
the Trust
  Term of Office
and Length of
Time Served
  Principal Occupation During
Past Five Years
  # of
Portfolios in
Fund
Complex*
  Other Directorships
Held by Trustee
H. Guy Leibler (60)  Independent Trustee  Indefinite, since the Trust’s inception  President, Simone Healthcare Development (since 2013); Private investor (2007-2013).  18  Chairman Emeritus, White Plains Hospital Center; Trustee, each of the Alpine Trusts.
Jeffrey E. Wacksman (54)  Independent Trustee  Indefinite, since 2004  Partner, Loeb, Block & Partners LLP, (since 1994).  18  Director, International Succession Planning Association; Director, Bondi Icebergs Inc. (Women’s Sports-wear); Director, MH Properties, Inc.; Trustee, each of the Alpine Trusts.
James A. Jacobson (69)  Independent Trustee  Indefinite, since July 2009  Retired (since 2008); Vice Chairman and Managing Director, Spear Leeds & Kellogg Specialists, LLC, (2003-2008).  18  Trustee, Allianz Global Investors Multi-Funds; Trustee, each of the Alpine Trusts.
Eleanor T.M. Hoagland (63)  Independent Trustee  Indefinite, since October 2012  Principal, VCS Advisory, LLC (since 2011); Chief Compliance Officer and Senior Managing Director of Magni Asset Management LLC (since 2011) and Park Fifth Capital Management LLC (2011-2013); Vice President (2008-2010) and CCO (2009-2010), Ameriprise Financial Inc.; Managing Director (2000-2008) and CCO (2004-2008), J. & W. Seligman & Co. Incorporated.  18  Trustee of each of the Alpine Trusts.

 

* The term “Fund Complex” refers to the Funds in the Alpine Equity Trust, Alpine Series Trust, and Alpine Income Trust, and Alpine Global Dynamic Dividend Fund, Alpine Total Dynamic Dividend Fund, and Alpine Global Premier Properties Fund (the “Alpine Trusts”).

 

146

 

Alpine Mutual Funds

 

Additional Information (Unaudited)—Continued

October 31, 2014

 

Interested Trustees & Officers

 

Name and Age  Position(s)
Held with
the Trust
  Term of Office
and Length of
Time Served
  Principal Occupation During
Past Five Years
  # of
Portfolios in
Fund
Complex**
  Other Directorships
Held by Trustee
Samuel A. Lieber* (58)  Interested Trustee and President  Indefinite, since the Trust’s inception  CEO of Alpine Woods Capital Investors, LLC (since November 1997). President of Alpine Trusts since 1998.  18  Trustee, each of the Alpine Trusts.
Stephen A. Lieber*** (89)  Vice President and Portfolio Manager  Indefinite, since the Trust’s inception  Chairman and Senior Portfolio Manager, Saxon Woods Advisors, LLC (since 1999).  18  None
Kenneth Corrado (50)  Chief Compliance Officer  Indefinite, since July 2013  Chief Compliance Officer, Alpine Woods Capital Investors, LLC (since July 2013); Independent Compliance Consultant (2012-2013); Vice President and Deputy Chief Compliance Officer, Artio Global Management, LLC (2007-2012).  18  None
Ronald G. Palmer, Jr. (46)  Chief Financial Officer  Indefinite, since January 2010  Chief Financial Officer, Alpine Woods Capital Investors, LLC (since January 2010); Independent Consultant (2008-2009); Vice President, Cash Management and Foreign Exchange, Macquarie Capital Investment Management, LLC (2007-2008).  18  None
Joe C. Caruso (43)  Treasurer  Indefinite, since 2013  Fund Accountant, Alpine Woods Capital Investors, LLC (since 2011); Independent tax consultant (2010-2011); Assistant Vice President Global Fund Services, Deutsche Bank AG (2009-2010).  18  None
Andrew Pappert (34)  Secretary  Indefinite, since March 2009  Director of Fund Operations, Alpine Woods Capital Investors, LLC (since September 2008).  18  None

 

*   Denotes Trustees who are “interested persons” of the Trust or Fund under the 1940 Act.
**   The term “Fund Complex” refers to the Funds in the Alpine Equity Trust, Alpine Series Trust, and Alpine Income Trust, and Alpine Global Dynamic Dividend Fund, Alpine Total Dynamic Dividend Fund, and Alpine Global Premier Properties Fund (the “Alpine Trusts”).
***   Stephen A. Lieber is the father of Samuel A. Lieber.

 

Further information regarding the Funds’ Trustees is also available in the Funds’ Statement of Additional Information, which can be obtained without charge by calling 1-888-785-5578.

 

147

 

Alpine Mutual Funds

 

Additional Information (Unaudited)—Continued

October 31, 2014

 

Tax Information

 

The Funds designated the following percentages of dividends declared from net investment income for the fiscal year ended October 31, 2014 as qualified dividend income under the Jobs & Growth Tax Relief Reconciliation Act of 2003.

 

Dynamic Dividend Fund 64%
Accelerating Dividend Fund 60%
Financial Services Fund 100%
Small Cap Fund 0%
Transformations Fund 29%
Equity Income Fund 100%
Ultra Short Municipal Income Fund 0%
Municipal Money Market Fund 0%
High Yield Managed Duration Municipal Fund 0%

 

The Funds designated the following percentages of dividends declared during the fiscal year ended October 31, 2014 as dividends qualifying for the dividends received deduction available to corporate shareholders.

 

Dynamic Dividend Fund 18%
Accelerating Dividend Fund 40%
Financial Services Fund 66%
Small Cap Fund 0%
Transformations Fund 21%
Equity Income Fund 98%
Ultra Short Municipal Income Fund 0%
Municipal Money Market Fund 0%
High Yield Managed Duration Municipal Fund 0%

 

The Funds designated the following percentages of taxable ordinary income distributions as short-term capital gain distributions under Internal Revenue Section 871(k)(2)(C).

 

Dynamic Dividend Fund 0%
Accelerating Dividend Fund 0%
Financial Services Fund 0%
Small Cap Fund 0%
Transformations Fund 0%
Equity Income Fund 0%
Ultra Short Municipal Income Fund 0%
Municipal Money Market Fund 0%
High Yield Managed Duration Municipal Fund 0%

 

The Fund designated as long-term capital gain dividend, pursuant to Internal Revenue Code Section 852(b)(3), the amount necessary to reduce the earnings and profits of the Fund related to net capital gain to zero for the tax year ended October 31, 2014.

 

Availability of Proxy Voting Information

 

Information regarding how each Fund votes proxies relating to portfolio securities is available without charge upon request by calling toll-free at 1-888-785-5578 and on the SEC’s website at www.sec.gov. Information regarding how each Fund voted proxies relating to portfolio securities during the most recent twelve month period ended June 30 is available on the SEC’s website at www.sec.gov or by calling the toll-free number listed above.

 

Availability of Quarterly Portfolio Schedule

 

Beginning with each Fund’s fiscal quarter ended July 31, 2004, each Fund filed its complete schedule of portfolio holdings on Form N-Q with the SEC. Going forward, each Fund will file Form N-Q for the first and third quarters of each fiscal year on Form N-Q. Each Fund’s Form N-Q is available on the SEC’s website at www.sec.gov and may be reviewed and copied at the SEC’s Public Reference Room in Washington, DC. Information on the operation of the Public Reference Room may be obtained by calling 1-202-551-8090.

 

148

 

Alpine Mutual Funds

 

Additional Information (Unaudited)—Continued

October 31, 2014

 

Privacy Policy

 

The Funds collect non-public 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 others or us.

 

The Funds do not disclose any non-public personal information about our customers or former customers without the customer’s authorization, except as required by law or in response to inquiries from governmental authorities. The Funds restrict access to your personal and account information to those employees who need to know that information to provide products and services to you. The Funds also may disclose that information to unaffiliated third parties (such as to brokers or custodians) only as permitted by law and only as needed for us to provided agreed services to you. The Funds maintain physical, electronic and procedural safeguards to guard your non-public personal information.

 

In the event that you hold shares of the Funds 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.

 

Shareholder Meeting

 

On July 24, 2014, a Special Meeting of Shareholders of Alpine Foundation Fund (the “Fund”) met to vote on the changing of the Fund’s investment objectives and changing the classification of the Fund’s investment objectives from a fundamental to non-fundamental policy. The results state as a percentage of the shares voted are as follows:

 

Proposal 1: To approve a change to the Fund’s fundamental investment objective.

 

For 99.41%
Against 00.59%
Abstain 00.00%

 

Proposal 2: To transact such other business as may properly come before the Meeting or any adjournments or postponements thereof.

 

For 99.38%
Against 00.60%
Abstain 00.03%

 

149

 

TRUSTEES

Samuel A. Lieber

Eleanor T.M. Hoagland

James A. Jacobson

H. Guy Leibler

Jeffrey E. Wacksman

 

CUSTODIAN &

ADMINISTRATOR

State Street Bank & Trust Company

One Lincoln Street

Boston, MA 02111

 

INDEPENDENT REGISTERED

PUBLIC ACCOUNTING FIRM

Deloitte & Touche LLP

500 College Road East

Princeton, NJ 08540

 

FUND COUNSEL

Willkie Farr & Gallagher LLP

787 7th Avenue

New York, NY 10019

 

DISTRIBUTOR

Quasar Distributors, LLC

615 East Michigan Street

Milwaukee, WI 53202

 

INVESTMENT ADVISER

Alpine Woods Capital Investors, LLC

2500 Westchester Ave., Suite 215

Purchase, NY 10577

 

TRANSFER AGENT

Boston Financial Data Services

2000 Crown Colony Drive

Quincy, MA 02169

 

 

SHAREHOLDER | INVESTOR INFORMATION

 

1(888)785.5578

www.alpinefunds.com

 

This material must be preceded or accompanied by a current prospectus.

 

Item 2. Code of Ethics.

 

(a) The Registrant, as of the end of the period covered by the report, has adopted a code of ethics that applies to the Registrant’s principal executive officer, principal financial officer, principal accounting officer or controller or persons performing similar functions.

 

(b) Not applicable.

 

(c) There have been no amendments, during the period covered by this report, to a provision of the code of ethics that applies to the Registrant’s principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similar functions and that relates to any element of the code of ethics described in Item 2(b) of Form N-CSR.

 

(d) The Registrant has not granted any waivers, including an implicit waiver, from a provision of the code of ethics that applies to the registrant’s principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similar functions that relates to any element of the code of ethics described in Item 2(b) of Form N-CSR.

 

(e) Not applicable.

 

(f) The Registrant’s Code of Ethics is attached as EX-99.CODE ETH hereto.

 

Item 3. Audit Committee Financial Expert.

 

(a)(1) The Board of Trustees of the Registrant has determined that the Registrant has at least one audit committee financial expert serving on its audit committee.

 

(a)(2) The Board of Trustees has determined that James A. Jacobson and H. Guy Leibler are audit committee financial experts. Messrs. Jacobson and Leibler are “independent” as defined in paragraph (a)(2) of Item 3 to Form N-CSR. It has been determined that Mr. Jacobson qualifies as an audit committee financial expert based on his extensive experience in the financial services industry, including serving for more than 15 years as a senior executive at a New York Stock Exchange (“NYSE”) specialist firm and as a member of the NYSE Board of Directors (including terms as Vice Chair), his other board service, as well as his educational background. It has been determined that Mr. Leibler qualifies as an audit committee financial expert based on his substantial experience as a senior executive of an operating company actively supervising principal financial officers in the preparation of financial statements, other board service, as well as his educational background.

 

(a)(3) Not applicable.

 

Item 4. Principal Accountant Fees and Services.

 

(a) Audit Fees: The aggregate fees billed for each of the last two fiscal years for professional services rendered by the principal accountant for the audit of the registrant’s annual financial statements or services that are normally provided by the accountant in connection with statutory and regulatory filings or engagements for fiscal year 2013 was $107,082 and fiscal year 2014 was $115,587.

 

(b) Audit-Related Fees: The aggregate fees billed in each of the last two fiscal years for assurance and related services by the principal accountant that are reasonably related to the performance of the audit of the registrant’s financial statements and are not reported under paragraph (a) of this Item was $0 in fiscal year 2013 and $0 in fiscal year 2014.

 

(c) Tax Fees: The aggregate fees billed in each of the last two fiscal years for professional services rendered by the principal accountant for tax compliance, tax advice, and tax planning was $10,281 in fiscal year 2013 and $18,768 in fiscal year 2014.

 

(d) All Other Fees: The aggregate fees billed in each of the last two fiscal years for products and services provided by the principal accountant, other than the services reported in paragraphs (a) through (c) of this Item is $19,029 in fiscal year 2013 and $6,725 in fiscal year 2014. The fees were for consulting and advisory services regarding enterprise risk management.

 

(e)(1) Audit Committee Pre-Approval Policies and Procedures: All services to be performed by the Registrant’s principal auditors must be pre-approved by the Registrant’s audit committee, which may include the approval of certain services up to an amount determined by the audit committee. Any services that would exceed that amount would require additional approval of the audit committee.

 

(e)(2) No services described in paragraphs (b) through (d) were approved pursuant to paragraph (c)(7)(i)(C) of Rule 2-01 of Regulation S-X.

 

(f) Not applicable.

 

(g) The aggregate non-audit fees billed by the registrant’s accountant for services rendered to the registrant, and the registrant’s investment adviser, and any entity controlling, controlled by, or under common control with the adviser that provides ongoing services to the registrant was $190,297 in fiscal year 2013 and $67,250 in fiscal year 2014. The fees were for consulting and advisory services regarding enterprise risk management.

 

(h) Not applicable

 

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.

 

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

 

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 the shareholders may recommend nominees to the Registrant’s Board of Trustees, where those changes were implemented after the Registrant last provided disclosure in response to the requirements of Item 407(c)(2)(iv) of Regulation S-K (17 CFR 229.407) (as required by Item 22(b)(15) of Schedule 14A (17 CFR 240.14a-101)), or this Item.

 

Item 11. Controls and Procedures.

 

(a)The Registrant’s principal executive officer and principal financial officer have evaluated the Registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended) within 90 days of this filing and have concluded that the registrant’s disclosure controls and procedures were effective, as of that date.
  
(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 second fiscal quarter 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. Exhibits.

 

(a)(1) The Code of Ethics that applies to the Registrant’s principal executive officer and principal financial officer is attached hereto as EX-99.CODE ETH.

 

(a)(2) The certifications required by Rule 30a-2(a) of the Investment Company Act of 1940, as amended, and Section 302 of the Sarbanes-Oxley Act of 2002 are attached hereto as EX-99.Cert.

 

(a)(3) Not applicable.

 

(b) The certifications by the Registrant’s Principal Executive Officer and Principal Financial Officer, as required by Rule 30a-2(b) of the Investment Company Act of 1940, as amended, and Section 906 of the Sarbanes-Oxley Act of 2002 are attached hereto as EX-99.906Cert.

 

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.

 

Alpine Income Trust

 

By: /s/ Samuel A. Lieber  
  Samuel A. Lieber  
  Chief Executive Officer (Principal Executive Officer)
     
Date: January 8, 2015  

 

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: /s/ Samuel A. Lieber  
  Samuel A. Lieber  
  Chief Executive Officer (Principal Executive Officer)
     
By: /s/ Ronald G. Palmer, Jr.  
  Ronald G. Palmer, Jr.  
  Chief Financial Officer (Principal Financial Officer)
     
Date: January 8, 2015  
 
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Exhibit 12(a)(1)

 

ALPINE EQUITY TRUST
ALPINE SERIES TRUST
ALPINE INCOME TRUST
ALPINE GLOBAL DYNAMIC DIVIDEND FUND
ALPINE TOTAL DYNAMIC DIVIDEND FUND
ALPINE GLOBAL PREMIER PROPERTIES FUND

 

Senior Officer Code of Ethics

 

Policy

 

The 1940 Act requires Funds to file annual and semi-annual reports on Form N-CSR containing certain financial-related information. Each N-CSR must contain: (i) the Alpine Funds’ annual or semi-annual shareholder report certified by the proper officers of the Alpine Funds; and (ii) new disclosures concerning the Alpine Funds’ audit committee financial expert(s), disclosure controls and procedures, the code of ethics governing conduct of the Alpine Funds’ senior financial officers, and any policies regarding pre-approval of audit and non-audit services. This report also must describe any non-audit services that were pre-approved (and related fees) during the reporting period. These requirements are designed to restore investor confidence in the securities markets by requiring disclosure of certain Fund governance matters and financial reporting.

 

Procedures

 

The Funds’ procedures set forth in the administrator section (“Shareholder and SEC Reports”) of this Manual are intended to implement the certification and disclosure requirements cited above.

 

A. Senior Officer Code of Ethics

 

Preamble

 

Section 406 of the Sarbanes-Oxley Act of 2002 directs that rules be adopted disclosing whether a company has a code of ethics for senior financial officers. The U.S. Securities and Exchange Commission (the “SEC”) has adopted rules requiring annual disclosure of an investment company’s code of ethics applicable to the company’s principal executive as well as principal financial officers, if such a code has been adopted. In response, the Alpine Equity Trust, the Alpine Series Trust, the Alpine Income Trust, the Alpine Global Dynamic Dividend Fund, the Alpine Total Dynamic Dividend Fund and the Alpine Global Premier Properties Fund (the “Trusts”) have adopted this Code of Ethics.

 

Statement of Policy

 

It is the obligation of the senior officers of the Trusts to provide full, fair, timely and comprehensible disclosure--financial and otherwise--to Fund shareholders, regulatory authorities and the general public. In fulfilling that obligation, senior officers must act ethically, honestly and diligently. This Code is intended to enunciate guidelines to be followed by persons who serve the Fund in senior officer positions. No Code of Ethics can address every situation that a senior officer might face; however, as a guiding principle, senior officers should strive to implement the spirit as well as the letter of applicable laws, rules and regulations, and to provide the type of clear and complete disclosure and information each Trusts’ shareholders have a right to expect.

 

The purpose of this Code of Ethics (the “Code”) is to promote high standards of ethical conduct by Covered Persons (as defined below) in their capacities as officers of the Trusts, to instruct them as to what is considered to be inappropriate and unacceptable conduct or activities for officers and to prohibit such conduct or activities. This Code supplements other policies that the Trusts and its adviser have adopted or may adopt in the future with which Trust officers are also required to comply (e.g., code of ethics relating to personal trading and conduct).

 

Covered Persons

 

This Code applies to those persons appointed by the each Trusts’ Board of Directors as Chief Executive Officer, President, Chief Financial Officer and Chief Accounting Officer, or persons performing similar functions.

 

Promotion of Honest and Ethical Conduct

 

In serving as an officer of a Trust, each Covered Person must maintain high standards of honesty and ethical conduct and must encourage his or her colleagues who provide services to the Trusts, whether directly or indirectly, to do the same.

 

Each Covered Person understands that as an officer of a Trust, he or she has a duty to act in the best interests of the Trust and its shareholders. The interests of the Covered Person’s personal interests should not be allowed to compromise the Covered Person from fulfilling his or her duties as an officer of the Trust.

 

If a Covered Person believes that his or her personal interests are likely to materially compromise his or her objectivity or ability to perform the duties as an officer of a Trust, he or she should consult with the Trusts’ chief legal officer or outside counsel. Under appropriate circumstances, a Covered Person should also consider whether to present the matter to the Trustees of the Trusts or a committee thereof for their consideration.

 

No Covered Person shall suggest that any person providing, or soliciting to be retained to provide, services to a Trust give a gift or provide entertainment, without regard to its value, or an economic benefit of any kind to him or her in connection with the person’s retention or the provision of services.

 

Promotion of Full, Fair, Accurate, Timely and Understandable Disclosure

 

No Covered Person shall create or further the creation of false or misleading information in any SEC filing or report to Trust shareholders. No Covered Person shall conceal or fail to disclose information within the Covered Person’s possession legally required to be disclosed or necessary to make the disclosure made not misleading. If a Covered Person shall become aware that information filed with the SEC or made available to the public contains any false or misleading information or omits to disclose necessary information, he or she shall promptly report it to Fund counsel, who shall advise such Covered Person whether corrective action is necessary or appropriate.

 

Each Covered Person, consistent with his or her responsibilities, shall exercise appropriate supervision over and shall assist Trust service providers in developing financial information and other disclosure that complies with relevant law and presents information in a clear, comprehensible and complete manner. Each Covered Person shall use his or her best efforts, within his or her area of expertise, to ensure that Trust reports reveal, rather than conceal, each Trusts’ accurate financial condition.

 

Each Covered Person shall seek to obtain additional resources if he or she believes that available resources are inadequate to enable the Trust to provide full, fair and accurate financial information and other disclosure to regulators and Fund shareholders.

 

Each Covered Person shall inquire of other Trust officers and service providers, as appropriate, to assure that information provided is accurate and complete and presented in an understandable format using comprehensible language.

 

Each Covered Person shall diligently perform his or her services to the Trusts, so that information can be gathered and assessed early enough to facilitate timely filings and issuance of reports and required certifications.

 

Promotion of Compliance with Applicable Government Laws, Rules and Regulations

 

Each Covered Person shall become and remain knowledgeable concerning the laws and regulations relating to the Trusts and their operations and shall act with competence and due care in serving as an officer of the Trusts. Each Covered Person with specific responsibility for financial statement disclosure will become and remain knowledgeable concerning relevant auditing standards, generally accepted accounting principles, FASB pronouncements and other accounting and tax literature and developments.

 

Each Covered Person shall devote sufficient time to fulfilling his or her responsibilities to the Trusts.

 

Each Covered Person shall cooperate with the Trusts’ independent auditors, regulatory agencies and internal auditors in their review or inspection of the Fund and its operations.

 

No Covered Person shall knowingly violate any law or regulation relating to the Trusts or their operations or seek to illegally circumvent any such law or regulation.

 

No Covered Person shall engage in any conduct involving dishonesty, fraud, deceit or misrepresentation involving the Trusts or their operations.

 

Promoting Prompt Internal Reporting of Violations

 

Each Covered Person shall promptly report his or her own violations of this Code and violations by other Covered Persons of which he or she is aware to the Chairman of the Fund’s Audit Committee.

 

Any requests for a waiver from or an amendment to this Code shall be made to the Chairman of the Fund’s Audit Committee. All waivers and amendments shall be disclosed as required by law.

 

Sanctions

 

Failure to comply with this Code will subject the violator to appropriate sanctions, which will vary based on the nature and severity of the violation. Such sanctions may include censure, suspension or termination of position as an officer of the Fund. Sanctions shall be imposed by the Fund’s Audit Committee, subject to review by the entire Board of Directors of the Fund.

 

Each Covered Person shall be required to certify annually whether he or she has complied with this Code.

 

No Rights Created

 

This Code of Ethics is a statement of certain fundamental principles, policies and procedures that govern the Fund’s senior officers in the conduct of the Fund’s business. It is not intended to and does not create any rights in any employee, investor, supplier, competitor, shareholder or any other person or entity.

 

Recordkeeping

 

The Fund will maintain and preserve for a period of not less than six (6) years from the date such action is taken, the first two (2) years in an easily accessible place, a copy of the information or materials supplied to the Board (1) that provided the basis for any amendment or waiver to this Code and (2) relating to any violation of the Code and sanctions imposed for such violation, together with a written record of the approval or action taken by the Board.

 

Amendments

 

The Directors will make and approve such changes to this Code of Ethics as they deem necessary or appropriate to effectuate the purposes of this Code.

 
EX-99.CERT 31 c79286_ex99-cert.htm

EX-99.CERT

 

CERTIFICATIONS

(Form for Principal Executive Officer or Principal Financial Officer)

 

I, Samuel A. Lieber, Chief Executive Officer of the Alpine Income Trust certify that:

 

1.I have reviewed this report on Form N-CSR of the Alpine Income Trust;

 

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 officers 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 second fiscal quarter 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:   January 8, 2015  
     
/s/ Samuel A. Lieber  
Samuel A. Lieber  
Chief Executive Officer (Principal Executive Officer)
 

EX-99.CERT

 

CERTIFICATIONS

(Form for Principal Executive Officer or Principal Financial Officer)

 

I, Ronald G. Palmer, Jr., Chief Financial Officer of the Alpine Income Trust certify that:

 

1.I have reviewed this report on Form N-CSR of the Alpine Income Trust;

 

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 officers 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 second fiscal quarter 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:   January 8, 2015  
    
/s/ Ronald G. Palmer, Jr.  
Ronald G. Palmer, Jr.  
Chief Financial Officer (Principal Financial Officer)
 
EX-99.906 CERT 32 c79286_ex99-906cert.htm

EX-99.906CERT

 

This certification is furnished pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, 18 U.S.C. § 1350, and accompanies the report on Form N-CSR for the period ended October 31, 2014 of the Alpine Income Trust, (the “Company”).

 

I, Samuel A. Lieber, Chief Executive Officer of the Company, certify that:

 

1.This Form N-CSR filing for the Alpine Income Trust (the “Report”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
  
2.The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Fund.

 

By: /s/ Samuel A. Lieber  
  Samuel A. Lieber  
  Chief Executive Officer (Principal Executive Officer)
     
Date: January 8, 2015  
 

EX-99.906CERT

 

This certification is furnished pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, 18 U.S.C. § 1350, and accompanies the report on Form N-CSR for the period ended October 31, 2014 of the Alpine Income Trust, (the “Company”).

 

I, Ronald G. Palmer, Jr., Chief Financial Officer of the Company, certify that:

 

1.This Form N-CSR filing for the Alpine Income Trust (the “Report”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
  
2.The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Fund.

 

By: /s/ Ronald G. Palmer, Jr.  
  Ronald G. Palmer, Jr.  
  Chief Financial Officer (Principal Financial Officer)
     
Date: January 8, 2015  
 

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