0001145549-24-027478.txt : 20240517 0001145549-24-027478.hdr.sgml : 20240517 20240517162244 ACCESSION NUMBER: 0001145549-24-027478 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240331 FILED AS OF DATE: 20240517 DATE AS OF CHANGE: 20240517 PERIOD START: 20240630 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Investment Managers Series Trust CENTRAL INDEX KEY: 0001318342 ORGANIZATION NAME: IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-21719 FILM NUMBER: 24960102 BUSINESS ADDRESS: STREET 1: 235 WEST GALENA STREET CITY: MILWAUKEE STATE: WI ZIP: 53212 BUSINESS PHONE: 626-914-4141 MAIL ADDRESS: STREET 1: 235 WEST GALENA STREET CITY: MILWAUKEE STATE: WI ZIP: 53212 FORMER COMPANY: FORMER CONFORMED NAME: Claymore Trust DATE OF NAME CHANGE: 20050603 FORMER COMPANY: FORMER CONFORMED NAME: Claymore Equity Trust DATE OF NAME CHANGE: 20050218 0001318342 S000045893 AAM/HIMCO Short Duration Fund C000142996 Class A ASDAX C000142997 Class C ASDCX C000142998 Class I ASDIX NPORT-P 1 primary_doc.xml NPORT-P false 0001318342 XXXXXXXX S000045893 C000142996 C000142997 C000142998 INVESTMENT MANAGERS SERIES TRUST 811-21719 0001318342 549300ESWU4ZNAH5Y054 235 WEST GALENA STREET MILWAUKEE 532123948 4142992000 AAM HIMCO Short Duration Income Fund S000045893 549300E0AXI7AMELH667 2024-06-30 2024-03-31 N 376001724.410000000000 1332540.690000000000 374669183.720000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 1000000.000000000000 0.000000000000 0.000000000000 0.000000000000 USD N AGL Core CLO 2 LTD. 549300EIBQDZ5WXOZ105 AGL Core CLO 2 Ltd. 001200AE4 1500000 PA USD 1500960.15 0.4006094483 Long ABS-CBDO CORP KY Y 2 2032-04-20 Floating 7.479420 N N N N N N APTIV PLC / APTIV CORP N/A Aptiv PLC / Aptiv Corp. 00217GAA1 1430000 PA USD 1388192.52 0.3705115287 Long DBT CORP JE N 2 2025-02-18 Fixed 2.3960 N N N N N N ADIENT GLOBAL HOLDINGS 213800VA38VCKE6M8790 Adient Global Holdings Ltd. 00687YAB1 158000 PA USD 161449.61 0.0430912434 Long DBT CORP JE Y 2 2028-04-15 Fixed 7 N N N N N N AERCAP IRELAND CAP/GLOBA N/A AerCap Ireland Capital DAC / AerCap Global Aviation Trust 00774MAU9 2000000 PA USD 1951210 0.5207820885 Long DBT CORP IE N 2 2024-10-29 Fixed 1.65 N N N N N N AGL CLO Ltd. 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2 2050-01-28 Variable 2.8310 N N N N N N STANDARD CHARTERED PLC U4LOSYZ7YG4W3S5F2G91 Standard Chartered PLC 853254CF5 2000000 PA USD 1999620 0.5337028202 Long DBT CORP GB Y 2 2025-11-23 Floating 6.253960 N N N N N N Starwood Residential Mortgage N/A STAR 2021-1 Trust 85573GAA0 477591.6940 PA USD 416587 0.1111879541 Long ABS-MBS CORP US Y 2 2065-05-25 Variable 1.2190 N N N N N N Starwood Mortgage Residential N/A Starwood Mortgage Residential Trust 2021-4 85573PAA0 815909.4470 PA USD 677741.71 0.1808907002 Long ABS-MBS CORP US Y 2 2056-08-25 Variable 1.1620 N N N N N N Starwood Mortgage Residential N/A Starwood Mortgage Residential Trust 2021-4 85573PAC6 426539.0350 PA USD 351321.44 0.0937684377 Long ABS-MBS CORP US Y 2 2056-08-25 Variable 1.5760 N N N N N N STORE Master Funding LLC N/A Store Master Funding I-VII 86212VAE4 1155638.2290 PA USD 1078950.08 0.2879740654 Long ABS-O CORP US Y 2 2048-10-20 Fixed 4.29 N N N N N N T-MOBILE USA INC 549300V2JRLO5DIFGE82 T-Mobile USA, Inc. 87264ABR5 1505000 PA USD 1422708.11 0.3797238129 Long DBT CORP US N 2 2026-02-15 Fixed 2.25 N N N N N N TORONTO-DOMINION BANK PT3QB789TSUIDF371261 Toronto-Dominion Bank 89114TZM7 2000000 PA USD 1998640 0.5334412561 Long DBT CORP CA N 2 2025-01-10 Floating 5.751555 N N N N N N TOYOTA MOTOR CREDIT CORP Z2VZBHUMB7PWWJ63I008 Toyota Motor Credit Corp. 89236TJP1 1640000 PA USD 1640603.52 0.4378805600 Long DBT CORP US N 2 2024-09-13 Floating 5.607762 N N N N N N Tricon American Homes N/A Tricon American Homes 2019-SFR1 Trust 89612LAA4 987867.03 PA USD 936609.57 0.2499830813 Long ABS-O CORP US Y 2 2038-03-17 Fixed 2.75 N N N N N N Tricon American Homes N/A Tricon American Homes 2020-SFR1 89613GAC0 1000000 PA USD 922952 0.2463378469 Long ABS-O CORP US Y 2 2038-07-17 Fixed 2.2490 N N N N N N Tricon American Homes N/A Tricon American Homes 2018-SFR1 Trust 89613TAF5 2000000 PA USD 1972666 0.5265087404 Long ABS-O CORP US Y 2 2037-05-17 Fixed 4.96 N N N N N N Atalaya Equipment Leasing Fund N/A Atalaya Equipment Leasing Trust 21-1 046497AB9 45772.5590 PA USD 45561.82 0.0121605464 Long ABS-O CORP US Y 2 2026-05-15 Fixed 1.23 N N N N N N Atalaya Equipment Leasing Fund N/A Atalaya Equipment Leasing Trust 21-1 046497AC7 234800 PA USD 229343.72 0.0612123254 Long ABS-O CORP US Y 2 2027-02-15 Fixed 2.08 N N N N N N AVOLON HOLDINGS FNDG LTD 635400ZRKEX9L1BKCH30 Avolon Holdings Funding Ltd. 05401AAF8 577000 PA USD 573660.32 0.1531111564 Long DBT CORP KY Y 2 2024-07-01 Fixed 3.95 N N N N N N BFLD Trust N/A BFLD Trust 2020-EYP 05493AAL4 1500000 PA USD 432867 0.1155331206 Long ABS-MBS CORP US Y 2 2035-10-15 Floating 8.390480 N N N N N N BAE SYSTEMS PLC 8SVCSVKSGDWMW2QHOH83 BAE Systems PLC 05523RAJ6 1000000 PA USD 1003619 0.2678680403 Long DBT CORP GB Y 2 2029-03-26 Fixed 5.1250 N N N N N N Banc of America Merrill Lynch 549300UQK6PJ8BF5JQ90 BAMLL Commercial Mortgage Securities Trust 2015-200P 05526QAU0 9000000 PA USD 7416 0.0019793461 Long ABS-MBS CORP US Y 2 2033-04-14 Variable 0.1058 N N N N N N BB-UBS Trust N/A BB-UBS Trust 2012-SHOW 05538UAJ2 900000 PA USD 796122.90 0.2124868910 Long ABS-MBS CORP US Y 2 2036-11-05 Variable 4.0260 N N N N N N BMW US CAPITAL LLC KK5MZM9DIXLXZL9DZL15 BMW U.S. Capital LLC 05565EBN4 1600000 PA USD 1600000 0.4270433944 Long DBT CORP US Y 2 2024-04-01 Floating 5.8809 N N N N N N BMW US CAPITAL LLC KK5MZM9DIXLXZL9DZL15 BMW U.S. Capital LLC 05565EBV6 2000000 PA USD 2002184 0.5343871573 Long DBT CORP US Y 2 2024-08-12 Floating 5.707630 N N N N N N Cold Storage Trust N/A Cold Storage Trust 2020-ICE5 193051AQ2 1965981.04 PA USD 1962294.83 0.5237406532 Long ABS-MBS CORP US Y 2 2037-11-15 Floating 8.205410 N N N N N N COLT Funding LLC N/A COLT 2021-4 Mortgage Loan Trust 19688GAC7 1318061.1540 PA USD 1060579.23 0.2830708465 Long ABS-MBS CORP US Y 2 2066-10-25 Variable 1.6540 N N N N N N COMMONBOND STUDENT LOAN TRUST N/A Commonbond Student Loan Trust 2016-B 20267UAC3 12290.19 PA USD 11264.73 0.0030065803 Long ABS-O CORP US Y 2 2040-10-25 Fixed 4 N N N N N N NATIONAL BANK OF CANADA BSGEFEIOM18Y80CKCV46 National Bank of Canada 63307A2Q7 1765000 PA USD 1766164.90 0.4713931587 Long DBT CORP CA N 2 2024-08-06 Floating 5.82 N N N N N N NATWEST MARKETS PLC RR3QWICWWIPCS8A4S074 NatWest Markets PLC 63906YAF5 1000000 PA USD 1009500 0.2694376917 Long DBT CORP GB Y 2 2025-03-22 Floating 6.78 N N N N N N Navient Student Loan Trust N/A Navient Private Education Refi Loan Trust 2019-C 63940YAC0 2000000 PA USD 1777790 0.4744959226 Long ABS-O CORP US Y 2 2068-02-15 Fixed 3.67 N N N N N N NETFLIX INC 549300Y7VHGU0I7CE873 Netflix, Inc. 64110LAN6 500000 PA USD 492581.50 0.1314710474 Long DBT CORP US N 2 2026-11-15 Fixed 4.3750 N N N N N N SG Capital Partners N/A SG Residential Mortgage Trust 2021-1 784212AC6 1020301.1320 PA USD 808253.99 0.2157247047 Long ABS-MBS CORP US Y 2 2061-07-25 Variable 1.56 N N N N N N SG Capital Partners N/A SG Residential Mortgage Trust 2019-3 78432BAB5 83523.44 PA USD 81872.68 0.0218519920 Long ABS-MBS CORP US Y 2 2059-09-25 Variable 2.8770 N N N N N N SG Capital Partners N/A SG Residential Mortgage Trust 2019-3 78432BAC3 86448.3850 PA USD 84769.82 0.0226252448 Long ABS-MBS CORP US Y 2 2059-09-25 Variable 3.0820 N N N N N N Vibrant CLO Ltd 5493008IYL3HLPE46G85 Vibrant CLO XI Ltd. 92558NAN2 2000000 PA USD 2000463.20 0.5339278721 Long ABS-CBDO CORP KY Y 2 2032-07-20 Floating 7.279420 N N N N N N VICI PROPERTIES / NOTE N/A VICI Properties LP / VICI Note Co., Inc. 92564RAA3 800000 PA USD 769256 0.2053160584 Long DBT CORP US Y 2 2026-12-01 Fixed 4.25 N N N N N N VICI PROPERTIES / NOTE N/A VICI Properties LP / VICI Note Co., Inc. 92564RAC9 888000 PA USD 868513.73 0.2318081571 Long DBT CORP US Y 2 2025-02-15 Fixed 3.50 N N N N N N WF-RBS COMMERCIAL MORTGAGE TRU 549300FCX3YXSYSLU895 WFRBS Commercial Mortgage Trust 2014-C22 92890KBE4 6400000 PA USD 10163.20 0.0027125796 Long ABS-MBS CORP US N 2 2057-09-15 Variable 0.448930 N N N N N N BX Trust N/A BX 2021-MFM1 05608VAJ5 766261.8330 PA USD 757641.39 0.2022160943 Long ABS-MBS CORP US Y 2 2034-01-15 Floating 6.939480 N N N N N N BX Trust N/A BX Commercial Mortgage Trust 2021-SOAR 05608WAQ7 1412390.27 PA USD 1395618.14 0.3724934424 Long ABS-MBS CORP US Y 2 2038-06-15 Floating 7.790480 N N N N N N BX Trust N/A BX Trust 2021-LBA 05609BAP4 1200000 PA USD 1146014.40 0.3058736746 Long ABS-MBS CORP US Y 2 2036-02-15 Floating 7.840480 N N N N N N BX Trust N/A BX Trust 2021-LBA 05609BBK4 948971.7220 PA USD 918922.53 0.2452623728 Long ABS-MBS CORP US Y 2 2036-02-15 Floating 7.840480 N N N N N N BX Trust N/A BX Commercial Mortgage Trust 2021-XL2 05609KAL3 1172895.24 PA USD 1161166.29 0.3099177462 Long ABS-MBS CORP US Y 2 2038-10-15 Floating 7.683880 N N N N N N BX Trust N/A BX 2021-LBA3 Mortgage Trust 05609PAQ1 1500000 PA USD 1465308 0.3910938139 Long ABS-MBS CORP US Y 2 2036-10-15 Floating 7.836380 N N N N N N BX Trust N/A BX Commercial Mortgage Trust 2021-VOLT 05609VAQ8 800000 PA USD 792000 0.2113864802 Long ABS-MBS CORP US Y 2 2036-09-15 Floating 7.839810 N N N N N N BX Trust N/A BX Commercial Mortgage Trust 2022-LP2 05610HAJ2 885590.37 PA USD 869979.18 0.2321992888 Long ABS-MBS CORP US Y 2 2039-02-15 Floating 7.934630 N N N N N N BX Trust N/A BX Commercial Mortgage Trust 2024-XL5 05612GAE3 1000000 PA USD 998749 0.2665682270 Long ABS-MBS CORP US Y 2 2041-03-15 Floating 7.240870 N N N N N N Balboa Bay Loan Funding Ltd 549300MALKZHG9DP8554 Balboa Bay Loan Funding 2020-1 Ltd. 05766BAL2 1268000 PA USD 1268968.50 0.3386903848 Long ABS-CBDO CORP KY Y 2 2032-01-20 Floating 7.229420 N N N N N N BANK OF AMERICA CORP 9DJT3UXIJIZJI4WXO774 Bank of America Corp. 06051GJU4 2000000 PA USD 2000278 0.5338784418 Long DBT CORP US N 2 2025-04-22 Floating 6.029239 N N N N N N BANK OF AMERICA CORP 9DJT3UXIJIZJI4WXO774 Bank of America Corp. 06051GKS7 2000000 PA USD 1997324 0.5330900129 Long DBT CORP US N 2 2025-04-25 Variable 3.8410 N N N N N N BANK OF NOVA SCOTIA L3I9ZG2KFGXZ61BMYR72 Bank of Nova Scotia 0641593W4 3000000 PA USD 3000318 0.8007912394 Long DBT CORP CA N 2 2024-04-15 Floating 5.785390 N N N N N N BARCLAYS PLC 213800LBQA1Y9L22JB70 Barclays PLC 06738ECC7 1000000 PA USD 1024680 0.2734892659 Long DBT CORP GB N 2 2026-11-02 Variable 7.3250 N N N N N N Bluemountain CLO Ltd N/A BlueMountain CLO XXIII Ltd. 09629LAC9 1750000 PA USD 1753291.05 0.4679571009 Long ABS-CBDO CORP KY Y 2 2031-10-20 Floating 7.029420 N N N N N N BRAVO Residential Funding Trus N/A BRAVO Residential Funding Trust 2021-NQM3 105690AE1 1286842 PA USD 1119226.97 0.2987240527 Long ABS-MBS CORP US Y 2 2060-04-25 Variable 3.9060 N N N N N N BRAVO Residential Funding Trus N/A BRAVO Residential Funding Trust 2021-NQM2 10569EAB7 243473.3920 PA USD 224820.90 0.0600051752 Long ABS-MBS CORP US Y 2 2060-03-25 Variable 1.28 N N N N N N BUCKEYE PARTNERS LP 549300C1PQJLVEIUBK50 Buckeye Partners LP 118230AQ4 529000 PA USD 505856.78 0.1350142478 Long DBT CORP US N 2 2026-12-01 Fixed 3.95 N N N N N N BUCKEYE PARTNERS LP 549300C1PQJLVEIUBK50 Buckeye Partners LP 118230AT8 307000 PA USD 300041.54 0.0800817236 Long DBT CORP US Y 2 2025-03-01 Fixed 4.1250 N N N N N N BX Trust N/A BX Commercial Mortgage Trust 2020-VKNG 12433YAN7 1050000 PA USD 1040484.90 0.2777076272 Long ABS-MBS CORP US Y 2 2037-10-15 Floating 7.539480 N N N N N N BX Trust N/A BX Trust 2021-LGCY 12434DAQ5 1500000 PA USD 1468239 0.3918761040 Long ABS-MBS CORP US Y 2 2036-10-15 Floating 7.388480 N N N N N N CBAM CLO Management 254900FSYLEH1VUJJF28 CBAM 2018-6 Ltd. 12481XAS9 600000 PA USD 600179.76 0.1601892512 Long ABS-CBDO CORP KY Y 2 2031-01-15 Floating 7.6756 N N N N N N CAMB Commercial Mortgage Trust N/A CAMB Commercial Mortgage Trust 2019-LIFE 12482HAQ7 600000 PA USD 595500 0.1589402134 Long ABS-MBS CORP US Y 2 2037-12-15 Floating 8.1730 N N N N N N Toorak Mortgage Corp. N/A TRK 2021-INV1 Trust 89688WAC5 756135.7280 PA USD 646396.99 0.1725247280 Long ABS-MBS CORP US Y 2 2056-07-25 Variable 1.5620 N N N N N N TRUIST FINANCIAL CORP 549300DRQQI75D2JP341 Truist Financial Corp. 89788MAF9 3000000 PA USD 2992461 0.7986941894 Long DBT CORP US N 2 2025-06-09 Floating 5.718936 N N N N N N UBS Commercial Mortgage Trust N/A UBS Commercial Mortgage Trust 2019-C18 90278PBB5 11932219.8090 PA USD 454736.90 0.1213702433 Long ABS-MBS CORP US N 2 2052-12-15 Variable 1.003060 N N N N N N UNITED AIRLINES INC K1OQBWM7XEOO08LDNP29 United Airlines, Inc. 90932LAG2 480000 PA USD 464275.68 0.1239161640 Long DBT CORP US Y 2 2026-04-15 Fixed 4.3750 N N N N N N 2024-04-05 INVESTMENT MANAGERS SERIES TRUST /s/ Maureen Quill Maureen Quill President XXXX NPORT-EX 2 aamhimcosoi03312024.htm PART F SOI
AAM/HIMCO Short Duration Fund
SCHEDULE OF INVESTMENTS
As of March 31, 2024 (Unaudited)

Principal
Amount
  Value
  ASSET-BACKED SECURITIES — 12.0%  
  AGL Core CLO Ltd.  
$1,500,000 Series 2019-2A, Class B, 7.48% (3-Month Term SOFR+216 basis points), 4/20/20321,2,3 $1,500,960
950,000 Series 2020-8A, Class BR, 6.98% (3-Month Term SOFR+166 basis points), 10/20/20321,2,3 950,472
1,000,000 Apidos CLO
Series 2020-34A, Class B1R, 7.23% (3-Month Term SOFR+191 basis points), 1/20/20351,2,3
998,798
2,000,000 Ares CLO Ltd.
Series 2016-39A, Class A2R2, 6.96% (3-Month Term SOFR+166 basis points), 4/18/20311,2,3
2,001,152
  Atalaya Equipment Leasing Trust  
45,773 Series 2021-1A, Class A2, 1.23%, 5/15/20261,3 45,562
234,800 Series 2021-1A, Class B, 2.08%, 2/15/20271,3 229,344
1,268,000 Balboa Bay Loan Funding Ltd.
Series 2020-1A, Class BR, 7.23% (3-Month Term SOFR+191 basis points), 1/20/20321,2,3
1,268,968
1,750,000 BlueMountain CLO Ltd.
Series 2018-23A, Class A2, 7.03% (3-Month Term SOFR+171 basis points), 10/20/20311,2,3
1,753,291
369,766 Capital Automotive
Series 2020-1A, Class A4, 3.19%, 2/15/20501,3
357,174
600,000 CBAM Ltd.
Series 2018-6A, Class B1R, 7.67% (3-Month Term SOFR+237 basis points), 1/15/20311,2,3
600,180
  Commonbond Student Loan Trust  
12,290 Series 2016-B, Class B, 4.00%, 10/25/20401,3 11,265
316,108 Series 2018-CGS, Class A1, 3.87%, 2/25/20461,3 301,286
2,000,000 Continental Finance Credit Card ABS Master Trust
Series 2021-A, Class A, 2.55%, 12/17/20293
1,922,080
1,000,000 Crown City CLO
6.42%, 4/20/20371,2,3
1,000,000
24,009 Drive Auto Receivables Trust
Series 2021-1, Class C, 1.02%, 6/15/20271
23,956
100,000 Dryden CLO Ltd.
Series 2019-72A, Class XR, 6.47% (3-Month Term SOFR+116 basis points), 5/15/20321,2,3
99,966
1,500,000 Eaton Vance CLO Ltd.
Series 2020-1A, Class BR, 7.23% (3-Month Term SOFR+191 basis points), 10/15/20341,2,3
1,492,119
1,000,000 Evergreen Credit Card Trust
6.58%, 2/15/20273
1,005,715
283,035 Exeter Automobile Receivables Trust
Series 2020-3A, Class D, 1.73%, 7/15/20261
280,928
  FirstKey Homes Trust  
875,000 Series 2020-SFR1, Class C, 1.94%, 8/17/20373 824,352
1,575,000 Series 2020-SFR1, Class F2, 4.28%, 8/17/20373 1,512,899

AAM/HIMCO Short Duration Fund
SCHEDULE OF INVESTMENTS - Continued
As of March 31, 2024 (Unaudited)

Principal
Amount
  Value
  ASSET-BACKED SECURITIES (Continued)  
$216,674 HERO Funding Trust
Series 2015-2A, Class A, 3.99%, 9/20/20401,3
$197,728
38,479 Lendbuzz Securitization Trust
Series 2021-1A, Class A, 1.46%, 6/15/20261,3
37,444
818,315 NADG NNN Operating LP
Series 2019-1, Class A, 3.37%, 12/28/20491,3
790,607
2,000,000 Navient Private Education Refi Loan Trust
Series 2019-CA, Class B, 3.67%, 2/15/20681,3
1,777,790
581,506 NewRez Warehouse Securitization Trust
Series 2021-1, Class D, 6.84% (1-Month Term SOFR+152 basis points), 5/25/20551,2,3
581,353
800,000 Oaktree CLO Ltd.
Series 2019-3A, Class BR, 7.33% (3-Month Term SOFR+201 basis points), 10/20/20341,2,3
796,799
  Park Avenue Institutional Advisers CLO Ltd.  
1,000,000 Series 2019-1A, Class A2A, 7.57% (3-Month Term SOFR+227 basis points), 5/15/20321,2,3 1,000,119
2,000,000 Series 2019-2A, Class A2R, 7.27% (3-Month Term SOFR+196 basis points), 10/15/20341,2,3 1,985,506
1,500,000 Race Point CLO Ltd.
Series 2015-9A, Class A2R2, 7.03% (3-Month Term SOFR+171 basis points), 10/15/20301,2,3
1,500,100
1,000,000 Regatta Funding Ltd.
Series 2018-4A, Class A2, 7.44% (3-Month Term SOFR+211 basis points), 10/25/20311,2,3
1,000,316
  Santander Consumer Auto Receivables Trust  
402,559 Series 2020-3, Class D, 1.64%, 11/16/20261 397,454
863 Series 2021-BA, Class B, 1.45%, 10/16/20281,3 862
  Signal Peak CLO Ltd.  
463,407 Series 2015-1A, Class AR2, 6.56% (3-Month Term SOFR+124 basis points), 4/20/20291,2,3 463,446
1,000,000 Series 2019-1A, Class B, 7.58% (3-Month Term SOFR+227 basis points), 4/30/20321,2,3 1,000,065
  SoFi Professional Loan Program LLC  
500,000 Series 2017-D, Class BFX, 3.61%, 9/25/20401,3 452,852
550,000 Series 2018-A, Class B, 3.61%, 2/25/20421,3 499,623
1,155,638 Store Master Funding
Series 2018-1A, Class A2, 4.29%, 10/20/20481,3
1,078,950
  Tricon American Homes Trust  
2,000,000 Series 2018-SFR1, Class F, 4.96%, 5/17/20373 1,972,666
987,867 Series 2019-SFR1, Class A, 2.75%, 3/17/20383 936,610
1,000,000 Series 2020-SFR1, Class C, 2.25%, 7/17/20383 922,952
1,500,000 Venture CLO Ltd.
Series 2019-36A, Class A2R, 6.98% (3-Month Term SOFR+166 basis points), 4/20/20321,2,3
1,500,507
  Vibrant CLO Ltd.  

AAM/HIMCO Short Duration Fund
SCHEDULE OF INVESTMENTS - Continued
As of March 31, 2024 (Unaudited)

Principal
Amount
  Value
  ASSET-BACKED SECURITIES (Continued)  
$1,100,000 Series 2017-6A, Class BR, 7.22% (3-Month Term SOFR+189 basis points), 6/20/20291,2,3 $1,101,323
2,000,000 Series 2019-11A, Class A2R, 7.28% (3-Month Term SOFR+196 basis points), 7/20/20321,2,3 2,000,463
  Voya CLO Ltd.  
1,000,000 Series 2016-2A, Class A2R, 7.32% (3-Month Term SOFR+201 basis points), 7/19/20281,2,3 1,000,746
1,300,000 Series 2018-4A, Class A2AR, 6.98% (3-Month Term SOFR+166 basis points), 1/15/20321,2,3 1,300,502
  Westlake Automobile Receivables Trust  
162,636 Series 2021-1A, Class C, 0.95%, 3/16/20261,3 161,982
1,274,000 Series 2021-2A, Class E, 2.38%, 3/15/20271,3 1,215,176
1,830,000 Series 2021-3A, Class E, 3.42%, 4/15/20271,3 1,762,197
  TOTAL ASSET-BACKED SECURITIES  
  (Cost $46,725,894) 45,616,605
  BANK LOANS — 3.9%  
913,750 American Airlines, Inc.
10.33% (3-Month Term SOFR+475 basis points), 4/20/20281,2,4,5
950,492
644,489 Aramark Services, Inc.
7.94% (1-Month Term SOFR+250 basis points), 6/24/20301,2
645,498
1,342,612 Charter Communications Operating LLC
7.33% (1-Month Term SOFR+200 basis points), 12/9/20301,2
1,330,763
1,129,460 Delta Air Lines, Inc.
8.56% (3-Month Term SOFR+375 basis points), 10/20/20271,2,4,5
1,166,287
199,664 DT Midstream, Inc.
7.47% (1-Month Term SOFR+200 basis points), 6/12/20281,2,4
200,520
942,838 Energizer Holdings, Inc.
7.68% (1-Month Term SOFR+225 basis points), 12/22/20271,2,4
943,545
  ICON Luxembourg Sarl PLC  
468,139 7.33%, 7/3/2028 469,814
116,637 7.33%, 7/3/2028 117,054
1,454,564 LPL Holdings, Inc.
7.17% (1-Month Term SOFR+175 basis points), 11/12/20261,2,4
1,456,688
936,975 PetSmart LLC
9.18% (1-Month Term SOFR+375 basis points), 2/12/20281,2,4
936,001
1,605,215 Restaurant Brands International
7.58% (1-Month Term SOFR+225 basis points), 9/23/20301,2,5
1,606,218
1,262,998 SBA Senior Finance LLC
7.33% (1-Month Term SOFR+200 basis points), 1/27/20311,2
1,266,749
  United Airlines, Inc.  
830,050 10.73% (3-Month Term SOFR+525 basis points), 6/21/20271,2,4 855,798
307,000 8.08% (1-Month Term SOFR+275 basis points), 2/24/20311,2 307,863
998,000 Virgin Media Bristol LLC
7.94% (1-Month Term SOFR+250 basis points), 1/31/20281,2,4
984,407
1,149,141 Vistra Operations Co. LLC
0.00% (1-Month Term SOFR+175 basis points), 12/31/20251,2,4
1,149,325

AAM/HIMCO Short Duration Fund
SCHEDULE OF INVESTMENTS - Continued
As of March 31, 2024 (Unaudited)

Principal
Amount
  Value
  BANK LOANS (Continued)  
$263,000 XPO, Inc.
7.32% (1-Month Term SOFR+200 basis points), 2/28/20311,2
$262,624
  TOTAL BANK LOANS  
  (Cost $14,548,002) 14,649,646
  COLLATERALIZED MORTGAGE OBLIGATIONS — 7.0%  
  Angel Oak Mortgage Trust  
258,846 Series 2019-5, Class A3, 2.92%, 10/25/20491,3,6 250,115
2,000,000 Series 2020-R1, Class B1, 3.67%, 4/25/20531,3,6 1,694,136
125,176 Series 2019-6, Class A3, 2.93%, 11/25/20591,3,6 121,037
204,920 Series 2020-1, Class A3, 2.77%, 12/25/20591,3,6 193,718
1,332,800 Series 2020-3, Class B2, 5.35%, 4/25/20651,3,6 1,226,413
377,318 Series 2020-5, Class A3, 2.04%, 5/25/20651,3,6 352,840
724,446 Series 2020-4, Class M1, 3.80%, 6/25/20651,3,6 664,121
1,290,192 Arroyo Mortgage Trust
Series 2019-2, Class M1, 4.76%, 4/25/20491,3,6
1,178,950
  BRAVO Residential Funding Trust  
243,473 Series 2021-NQM2, Class A2, 1.28%, 3/25/20601,3,6 224,821
1,286,842 Series 2021-NQM3, Class B1, 3.91%, 4/25/20601,3,6 1,119,227
  Citigroup Mortgage Loan Trust, Inc.  
650,771 Series 2015-RP2, Class B4, 4.25%, 1/25/20531,3 616,925
86,199 Series 2018-RP1, Class A1, 3.00%, 9/25/20641,3,6 83,028
1,318,061 COLT Mortgage Loan Trust
Series 2021-4, Class A3, 1.65%, 10/25/20661,3,6
1,060,579
995,053 Credit Suisse Mortgage Capital Trust
Series 2019-AFC1, Class M1, 3.06%, 7/25/20491,3,6
762,251
  Deephaven Residential Mortgage Trust  
890,282 Series 2021-3, Class A1, 1.19%, 8/25/20661,3,6 755,348
880,917 Series 2021-3, Class A3, 1.55%, 8/25/20661,3,6 747,693
475,665 Series 2021-4, Class A3, 2.24%, 11/25/20661,3,6 405,104
786,481 Series 2022-1, Class A1, 2.20%, 1/25/20671,3,6 702,123
  Ellington Financial Mortgage Trust  
1,918,667 Series 2020-1, Class A2, 3.15%, 5/25/20651,3,6 1,793,347
114,766 Series 2020-2, Class A2, 1.49%, 10/25/20651,3,6 103,944
272,124 Series 2021-1, Class A3, 1.11%, 2/25/20661,3,6 227,536
198,378 FWD Securitization Trust
Series 2020-INV1, Class A1, 2.24%, 1/25/20501,3,6
181,979
1,156,772 GCAT Trust
Series 2021-NQM5, Class A2, 1.42%, 7/25/20661,3,6
921,256
1,275,000 Mill City Mortgage Trust
Series 2015-1, Class B1, 3.82%, 6/25/20561,3,6
1,202,428
  New Residential Mortgage Loan Trust  
90,193 Series 2020-NQM1, Class A2, 2.72%, 1/26/20601,3,6 82,669
180,387 Series 2020-NQM1, Class A3, 2.77%, 1/26/20601,3,6 165,157
1,416,926 NLT Trust
Series 2021-INV2, Class A3, 1.52%, 8/25/20561,3,6
1,176,071
  Residential Mortgage Loan Trust  
6,419 Series 2019-2, Class A3, 3.22%, 5/25/20591,3,6 6,364

AAM/HIMCO Short Duration Fund
SCHEDULE OF INVESTMENTS - Continued
As of March 31, 2024 (Unaudited)

Principal
Amount
  Value
  COLLATERALIZED MORTGAGE OBLIGATIONS (Continued)  
$54,996 Series 2019-3, Class A3, 3.04%, 9/25/20591,3,6 $53,415
2,400,615 Series 2020-2, Class A3, 2.91%, 5/25/20601,3,6 2,185,928
833,333 Series 2020-2, Class M1, 3.56%, 5/25/20601,3,6 733,336
120,215 Series 2021-1R, Class A3, 1.20%, 1/25/20651,3,6 110,993
  SG Residential Mortgage Trust  
83,523 Series 2019-3, Class A2, 2.88%, 9/25/20591,3,6 81,873
86,448 Series 2019-3, Class A3, 3.08%, 9/25/20591,3,6 84,770
1,020,301 Series 2021-1, Class A3, 1.56%, 7/25/20611,3,6 808,254
1,418,858 Series 2020-2, Class M1, 3.19%, 5/25/20651,3,6 1,189,134
1,200,000 Series 2020-2, Class B1, 4.25%, 5/25/20651,3,6 1,046,322
  Starwood Mortgage Residential Trust  
815,909 Series 2021-4, Class A1, 1.16%, 8/25/20561,3,6 677,742
426,539 Series 2021-4, Class A3, 1.58%, 8/25/20561,3,6 351,322
477,592 Series 2021-1, Class A1, 1.22%, 5/25/20651,3,6 416,587
756,136 Toorak Mortgage Corp. Trust
Series 2021-INV1, Class A3, 1.56%, 7/25/20561,3,6
646,397
  TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS  
  (Cost $30,604,543) 26,405,253
  COMMERCIAL MORTGAGE-BACKED SECURITIES — 10.9%  
9,000,000 BAMLL Commercial Mortgage Securities Trust
Series 2015-200P, Class XB, 0.11%, 4/14/20331,3,6,7
7,416
900,000 BB-UBS Trust
Series 2012-SHOW, Class E, 4.03%, 11/5/20361,3,6
796,123
1,500,000 BFLD Trust
Series 2020-EYP, Class D, 8.39% (1-Month Term SOFR+307 basis points), 10/15/20352,3,8
0
  BX Trust  
1,000,000 7.28%, 4/15/20292,3 997,500
766,262 Series 2021-MFM1, Class D, 6.94% (1-Month Term SOFR+161 basis points), 1/15/20342,3 757,641
1,200,000 Series 2021-LBA, Class FJV, 7.84% (1-Month Term SOFR+252 basis points), 2/15/20362,3 1,146,014
948,972 Series 2021-LBA, Class FV, 7.84% (1-Month Term SOFR+252 basis points), 2/15/20362,3 918,923
800,000 Series 2021-VOLT, Class F, 7.84% (1-Month Term SOFR+251 basis points), 9/15/20362,3 792,000
1,500,000 Series 2021-LGCY, Class F, 7.39% (1-Month Term SOFR+206 basis points), 10/15/20362,3 1,468,239
1,500,000 Series 2021-PAC, Class F, 7.84% (1-Month Term SOFR+251 basis points), 10/15/20362,3 1,465,308
1,050,000 Series 2020-VKNG, Class E, 7.54% (1-Month Term SOFR+221 basis points), 10/15/20372,3 1,040,485
1,058,160 Series 2021-VINO, Class E, 7.39% (1-Month Term SOFR+207 basis points), 5/15/20382,3 1,046,256
1,412,390 Series 2021-SOAR, Class F, 7.79% (1-Month Term SOFR+246 basis points), 6/15/20382,3 1,395,618

AAM/HIMCO Short Duration Fund
SCHEDULE OF INVESTMENTS - Continued
As of March 31, 2024 (Unaudited)

Principal
Amount
  Value
  COMMERCIAL MORTGAGE-BACKED SECURITIES (Continued)  
$1,172,895 Series 2021-XL2, Class F, 7.68% (1-Month Term SOFR+236 basis points), 10/15/20382,3 $1,161,166
885,590 Series 2022-LP2, Class E, 7.93% (1-Month Term SOFR+261 basis points), 2/15/20392,3 869,979
1,000,000 7.24%, 3/15/20413 998,749
600,000 CAMB Commercial Mortgage Trust
Series 2019-LIFE, Class F, 8.17% (1-Month Term SOFR+285 basis points), 12/15/20372,3
595,500
2,269,339 CFCRE Commercial Mortgage Trust
Series 2016-C3, Class XA, 0.98%, 1/10/20481,6,7
30,003
1,965,981 Cold Storage Trust
Series 2020-ICE5, Class E, 8.20% (1-Month Term SOFR+288 basis points), 11/15/20372,3
1,962,295
  COMM Mortgage Trust  
668,888 Series 2014-CR19, Class XA, 0.79%, 8/10/20471,6,7 915
1,530,000 Series 2015-DC1, Class AM, 3.72%, 2/10/20481 1,474,600
  Credit Suisse Mortgage Capital Trust  
7,020,098 Series 2020-NET, Class X, 1.25%, 8/15/20373,6 88,896
1,400,000 Series 2020-NET, Class B, 2.82%, 8/15/20373 1,299,981
2,285,639 Extended Stay America Trust
Series 2021-ESH, Class C, 7.14% (1-Month Term SOFR+181 basis points), 7/15/20382,3
2,283,382
5,002,661 Fannie Mae-Aces
Series 2014-M8, Class X2, 0.31%, 6/25/20246,7
165
  Freddie Mac Multifamily Structured Pass-Through Certificates  
4,101,759 Series K044, Class X1, 0.74%, 1/25/20251,6,7 17,424
900,000 Series K043, Class X3, 1.63%, 2/25/20431,6,7 10,868
2,900,000 Series K046, Class X3, 1.51%, 4/25/20431,6,7 32,480
900,000 Series K050, Class X3, 1.55%, 10/25/20431,6,7 18,617
1,100,000 Series K052, Class X3, 1.62%, 1/25/20441,6,7 27,827
1,721,882 Series K097, Class X3, 2.02%, 9/25/20461,6,7 156,455
  Government National Mortgage Association  
2,220,904 Series 2013-139, Class IO, 0.33%, 10/16/20541,6,7 47,352
237,697 Series 2013-175, Class IO, 0.16%, 5/16/20551,6,7 527
149,092 Series 2014-120, Class IO, 0.46%, 4/16/20561,6,7 1,524
2,253,387 Series 2017-185, Class IO, 0.55%, 4/16/20591,6,7 77,332
3,125,223 Series 2017-169, Class IO, 0.58%, 1/16/20601,6,7 101,254
2,124,025 Series 2018-41, Class IO, 0.60%, 5/16/20601,6,7 73,799
3,455,563 Series 2018-52, Class IO, 0.60%, 7/16/20601,6,7 143,116
1,072,987 Series 2019-8, Class IO, 0.76%, 11/16/20601,6,7 57,556
17,109,179 Series 2020-8, Class IO, 0.53%, 1/16/20621,6,7 659,540
  GS Mortgage Securities Trust  
1,439,000 Series 2016-GS4, Class A4, 3.44%, 11/10/20491,6 1,364,684
1,610,000 Series 2017-GS7, Class A4, 3.43%, 8/10/20501 1,505,121
1,474,455 Life Mortgage Trust
Series 2021-BMR, Class F, 7.79% (1-Month Term SOFR+246 basis points), 3/15/20382,3
1,426,535

AAM/HIMCO Short Duration Fund
SCHEDULE OF INVESTMENTS - Continued
As of March 31, 2024 (Unaudited)

Principal
Amount
  Value
  COMMERCIAL MORTGAGE-BACKED SECURITIES (Continued)  
$503,326 MHC Commercial Mortgage Trust
Series 2021-MHC, Class F, 8.04% (1-Month Term SOFR+272 basis points), 4/15/20382,3
$498,295
1,000,000 Morgan Stanley Bank of America
Series 2016-C32, Class A4, 3.72%, 12/15/20491
957,844
1,500,000 MTN Commercial Mortgage Trust
Series 2022-LPFL, Class E, 9.62% (1-Month Term SOFR+429 basis points), 3/15/20392,3
1,418,622
1,373,065 OPG Trust
Series 2021-PORT, Class F, 7.39% (1-Month Term SOFR+206 basis points), 10/15/20362,3
1,342,171
1,500,000 SMRT
Series 2022-MINI, Class E, 8.03% (1-Month Term SOFR+270 basis points), 1/15/20392,3
1,453,329
1,339,608 SREIT Trust
Series 2021-MFP, Class F, 8.06% (1-Month Term SOFR+274 basis points), 11/15/20382,3
1,330,543
11,932,220 UBS Commercial Mortgage Trust
Series 2019-C18, Class XA, 1.00%, 12/15/20521,6,7
454,737
  Wells Fargo Commercial Mortgage Trust  
1,169,986 Series 2016-LC24, Class A4, 2.94%, 10/15/20491 1,102,247
1,500,000 Series 2016-NXS6, Class A4, 2.92%, 11/15/20491 1,415,939
1,500,000 Series 2016-LC25, Class A4, 3.64%, 12/15/20591 1,434,335
2,078,888 Wells Fargo Commercial Mortgage Trust
Series 2015-LC22, Class XA, 0.73%, 9/15/20581,6,7
17,145
  WFRBS Commercial Mortgage Trust  
3,200,000 Series 2014-C21, Class XB, 0.64%, 8/15/20471,6,7 5,904
1,000,000 Series 2014-C21, Class AS, 3.89%, 8/15/20471 962,596
815,000 Series 2014-C25, Class AS, 3.98%, 11/15/20471 787,651
6,400,000 Series 2014-C22, Class XB, 0.45%, 9/15/20571,6,7 10,163
  TOTAL COMMERCIAL MORTGAGE-BACKED SECURITIES  
  (Cost $43,782,194) 41,510,686
  CORPORATE BONDS — 33.5%  
  COMMUNICATIONS — 1.2%  
2,565,000 NBN Co., Ltd.
0.88%, 10/8/20241,3,5
2,502,960
500,000 Netflix, Inc.
4.37%, 11/15/2026
492,582
1,505,000 T-Mobile USA, Inc.
2.25%, 2/15/20261
1,422,708
    4,418,250
  CONSUMER DISCRETIONARY — 4.3%  
158,000 Adient Global Holdings Ltd.
7.00%, 4/15/20281,3,5
161,450
1,430,000 Aptiv PLC / Aptiv Corp.
2.40%, 2/18/20251,5
1,388,193

AAM/HIMCO Short Duration Fund
SCHEDULE OF INVESTMENTS - Continued
As of March 31, 2024 (Unaudited)

Principal
Amount
  Value
  CORPORATE BONDS (Continued)  
  CONSUMER DISCRETIONARY (Continued)  
  BMW U.S. Capital LLC  
$1,600,000 5.88% (SOFR Index+53 basis points), 4/1/20242,3 $1,600,000
2,000,000 5.71% (SOFR Index+38 basis points), 8/12/20242,3 2,002,184
1,200,000 Ford Motor Credit Co. LLC
3.38%, 11/13/20251
1,154,702
  General Motors Financial Co., Inc.  
2,000,000 5.95% (SOFR Rate+62 basis points), 10/15/20242 1,999,914
1,000,000 5.40%, 5/8/2027 1,002,664
500,000 Hilton Domestic Operating Co., Inc.
5.37%, 5/1/20251,3
498,307
3,000,000 Hyundai Capital America
1.00%, 9/17/20243
2,935,029
1,488,000 International Game Technology PLC
4.12%, 4/15/20261,3,5
1,442,745
80,000 Prime Security Services Borrower LLC / Prime Finance, Inc.
5.25%, 4/15/20243
79,855
1,640,000 Toyota Motor Credit Corp.
5.61% (SOFR Rate+29 basis points), 9/13/20242
1,640,603
480,000 United Airlines, Inc.
4.37%, 4/15/20261,3
464,276
    16,369,922
  CONSUMER STAPLES — 0.1%  
400,000 Albertsons Cos., Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC
3.25%, 3/15/20261,3
381,409
    381,409
  ENERGY — 1.5%  
  Buckeye Partners LP  
307,000 4.13%, 3/1/20251,3 300,041
529,000 3.95%, 12/1/20261 505,857
859,000 CrownRock LP / CrownRock Finance, Inc.
5.62%, 10/15/20251,3
857,101
  DCP Midstream Operating LP  
327,000 5.38%, 7/15/20251 325,786
149,000 5.62%, 7/15/20271 150,189
192,000 Devon Energy Corp.
5.25%, 9/15/20241
191,523
303,000 EnerSys
4.38%, 12/15/20271,3
286,508
  EQT Corp.  
382,000 6.12%, 2/1/20251 382,461
777,000 3.13%, 5/15/20261,3 736,416
882,000 PDC Energy, Inc.
5.75%, 5/15/20261
880,520

AAM/HIMCO Short Duration Fund
SCHEDULE OF INVESTMENTS - Continued
As of March 31, 2024 (Unaudited)

Principal
Amount
  Value
  CORPORATE BONDS (Continued)  
  ENERGY (Continued)  
$1,000,000 Western Midstream Operating LP
3.95%, 6/1/20251
$979,595
    5,595,997
  FINANCIALS — 22.1%  
2,000,000 AerCap Ireland Capital DAC / AerCap Global Aviation Trust
1.65%, 10/29/20241,5
1,951,210
1,620,000 American Express Co.
6.25% (SOFR Index+93 basis points), 3/4/20251,2
1,628,881
577,000 Avolon Holdings Funding Ltd.
3.95%, 7/1/20241,3,5
573,660
  Bank of America Corp.  
2,000,000 6.03% (SOFR Rate+69 basis points), 4/22/20251,2 2,000,278
2,000,000 3.84% (SOFR Rate+111 basis points), 4/25/20251,6 1,997,324
3,000,000 Bank of Nova Scotia
5.79% (SOFR Index+45 basis points), 4/15/20242,5
3,000,318
1,000,000 Barclays PLC
7.32% (USD 1 Year Tsy+305 basis points), 11/2/20261,5,6
1,024,680
  Capital One Financial Corp.  
1,500,000 4.17% (SOFR Rate+137 basis points), 5/9/20251,6 1,497,013
1,000,000 5.70% (SOFR Rate+190 basis points), 2/1/20301,6 1,008,300
1,500,000 Charles Schwab Corp.
1.15%, 5/13/20261
1,383,238
  Citigroup, Inc.  
2,000,000 6.00% (SOFR Rate+67 basis points), 5/1/20251,2 2,000,420
2,000,000 6.02% (SOFR Rate+69 basis points), 1/25/20261,2 2,002,170
2,000,000 5.61% (SOFR Rate+155 basis points), 9/29/20261,6 2,003,674
4,000,000 Cooperatieve Rabobank UA
5.72% (SOFR Index+38 basis points), 1/10/20252,5
4,003,672
2,000,000 Credit Suisse Group A.G.
3.70%, 2/21/20255
1,965,810
  Deutsche Bank A.G.  
2,000,000 0.90%, 5/28/20245 1,985,240
835,000 5.71% (SOFR Rate+159 basis points), 2/8/20281,5,6 834,369
428,000 Fortress Transportation & Infrastructure Investors LLC
6.50%, 10/1/20251,3
427,332
1,110,000 Huntington National Bank
4.01% (SOFR Rate+121 basis points), 5/16/20251,6
1,105,843
3,000,000 ING Groep N.V.
6.97% (SOFR Index+164 basis points), 3/28/20261,2,5
3,030,351
3,000,000 JPMorgan Chase & Co.
6.25% (SOFR Rate+92 basis points), 2/24/20261,2
3,014,346
3,000,000 KeyBank N.A.
5.64% (SOFR Index+32 basis points), 6/14/20241,2
2,999,997
2,000,000 Macquarie Bank Ltd.
6.64% (SOFR Rate+131 basis points), 3/21/20252,3,5
2,019,234

AAM/HIMCO Short Duration Fund
SCHEDULE OF INVESTMENTS - Continued
As of March 31, 2024 (Unaudited)

Principal
Amount
  Value
  CORPORATE BONDS (Continued)  
  FINANCIALS (Continued)  
$2,000,000 Macquarie Group Ltd.
6.05% (SOFR Rate+71 basis points), 10/14/20251,2,3,5
$1,998,520
2,000,000 MassMutual Global Funding II
5.61% (SOFR Rate+27 basis points), 10/21/20242,3
2,000,250
3,000,000 Metropolitan Life Global Funding I
5.63% (SOFR Rate+30 basis points), 9/27/20242,3
3,001,827
1,500,000 Mitsubishi UFJ Financial Group, Inc.
5.06% (USD 1 Year Tsy+155 basis points), 9/12/20251,5,6
1,494,942
  Morgan Stanley  
2,000,000 1.16% (SOFR Rate+56 basis points), 10/21/20251,6 1,947,104
2,000,000 6.28% (SOFR Rate+95 basis points), 2/18/20261,2 2,009,920
1,000,000 5.17% (SOFR Rate+145 basis points), 1/16/20301,6 1,001,332
889,000 MPT Operating Partnership LP / MPT Finance Corp.
5.00%, 10/15/20271
750,094
1,765,000 National Bank of Canada
5.82% (SOFR Rate+49 basis points), 8/6/20242,5
1,766,165
1,000,000 NatWest Markets PLC
6.78% (SOFR Rate+145 basis points), 3/22/20252,3,5
1,009,500
2,000,000 New York Life Global Funding
5.67% (SOFR Index+33 basis points), 1/14/20252,3
2,001,020
371,000 OneMain Finance Corp.
3.50%, 1/15/20271
344,362
940,000 Penske Truck Leasing Co. LP / PTL Finance Corp.
5.75%, 5/24/20261,3
946,993
703,000 RLJ Lodging Trust LP
3.75%, 7/1/20261,3
669,407
5,000,000 Royal Bank of Canada
5.69% (SOFR Index+36 basis points), 7/29/20242,5
5,000,995
727,000 SLM Corp.
4.20%, 10/29/20251
709,438
2,000,000 Standard Chartered PLC
6.25% (SOFR Rate+93 basis points), 11/23/20251,2,3,5
1,999,620
2,000,000 Toronto-Dominion Bank
5.75% (SOFR Rate+41 basis points), 1/10/20252,5
1,998,640
3,000,000 Truist Financial Corp.
5.72% (SOFR Rate+40 basis points), 6/9/20251,2
2,992,461
  VICI Properties LP / VICI Note Co., Inc.  
888,000 3.50%, 2/15/20251,3 868,514
800,000 4.25%, 12/1/20261,3 769,256
2,000,000 Wells Fargo & Co.
3.91% (SOFR Rate+132 basis points), 4/25/20261,6
1,963,124
3,000,000 Westpac Banking Corp.
5.63% (SOFR Rate+30 basis points), 11/18/20242,5
3,001,740
    83,702,584

AAM/HIMCO Short Duration Fund
SCHEDULE OF INVESTMENTS - Continued
As of March 31, 2024 (Unaudited)

Principal
Amount
  Value
  CORPORATE BONDS (Continued)  
  HEALTH CARE — 0.6%  
$835,000 Astrazeneca Finance LLC
0.70%, 5/28/20241
$828,809
  IQVIA, Inc.  
510,000 5.00%, 10/15/20261,3 499,081
1,000,000 5.00%, 5/15/20271,3 976,420
    2,304,310
  INDUSTRIALS — 2.5%  
913,000 Ardagh Packaging Finance PLC / Ardagh Holdings USA, Inc.
4.13%, 8/15/20261,3,5
826,602
1,000,000 BAE Systems PLC
5.12%, 3/26/20293
1,003,619
2,000,000 Caterpillar Financial Services Corp.
5.57% (SOFR Rate+24 basis points), 5/17/20242
2,000,416
2,000,000 Daimler Trucks Finance North America LLC
6.08% (SOFR Rate+75 basis points), 12/13/20242,3
2,006,990
542,000 Herc Holdings, Inc.
5.50%, 7/15/20271,3
532,293
2,737,000 Penske Truck Leasing Co. LP / PTL Finance Corp.
2.70%, 11/1/20241,3
2,688,541
400,000 XPO, Inc.
6.25%, 6/1/20281,3
403,512
    9,461,973
  MATERIALS — 0.4%  
1,000,000 Glencore Funding LLC
5.34%, 4/4/20273
999,893
536,000 SNF Group S.A.
3.12%, 3/15/20271,3,5
496,148
    1,496,041
  TECHNOLOGY — 0.5%  
2,000,000 Hewlett Packard Enterprise Co.
1.45%, 4/1/20241
2,000,000
    2,000,000
  UTILITIES — 0.3%  
182,000 Calpine Corp.
5.25%, 6/1/20261,3
180,107
1,100,000 Entergy Louisiana LLC
0.95%, 10/1/20241
1,074,972
    1,255,079
  TOTAL CORPORATE BONDS  
  (Cost $127,974,098) 126,985,565
  U.S. GOVERNMENT AND AGENCIES — 22.3%  
  United States Treasury Note  

AAM/HIMCO Short Duration Fund
SCHEDULE OF INVESTMENTS - Continued
As of March 31, 2024 (Unaudited)

Principal
Amount
  Value
  U.S. GOVERNMENT AND AGENCIES (Continued)  
$10,000,000 0.25%, 5/15/2024 $9,938,830
10,000,000 3.25%, 8/31/2024 9,915,630
10,000,000 2.75%, 2/28/2025 9,793,850
10,000,000 3.50%, 9/15/2025 9,814,840
10,000,000 4.62%, 9/15/2026 10,025,000
10,000,000 4.13%, 9/30/2027 9,926,560
10,000,000 4.38%, 11/30/2028 10,058,200
10,000,000 4.00%, 1/31/2029 9,902,340
5,000,000 4.25%, 2/28/2029 5,009,375
  TOTAL U.S. GOVERNMENT AND AGENCIES  
  (Cost $84,874,059) 84,384,625
    
Number
of Shares
   
  SHORT-TERM INVESTMENTS — 6.3%  
24,060,943 Goldman Sachs Financial Square Government Fund - Institutional Class
5.13%9
24,060,943
  TOTAL SHORT-TERM INVESTMENTS  
  (Cost $24,060,943) 24,060,943
  TOTAL INVESTMENTS — 95.9%  
  (Cost $372,569,733) 363,613,323
  Other Assets in Excess of Liabilities — 4.1% 15,646,574
  TOTAL NET ASSETS — 100.0% $379,259,897
    
LLC – Limited Liability Company
LP – Limited Partnership
PLC – Public Limited Company
IO – Interest Only
MTN – Medium Term Note
    
1Callable.
2Floating rate security.
3Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities are restricted and may be resold in transactions exempt from registration normally to qualified institutional buyers. The total value of these securities is $143,027,106, which represents 37.7% of total net assets of the Fund.
4Bank loans generally pay interest at rates which are periodically determined by reference to a base lending rate plus a premium. All loans carry a variable rate of interest. These base lending rates are generally (i) the Prime Rate offered by one or more major United States banks, (ii) the lending rate offered by one or more European banks such as the London Interbank Offered Rate ("LIBOR"),  (iii) the Certificate of Deposit rate, or (iv) Secured Overnight Financing Rate ("SOFR"). Bank Loans, while exempt from registration, under the Securities Act of 1933, contain certain restrictions on resale and cannot be sold publicly. Floating rate bank loans often require prepayments from excess cash flow or permit the borrower to repay at its election. The degree to which borrowers repay, whether as a contractual requirement or at their election, cannot be predicted with accuracy.
5Foreign security denominated in U.S. Dollars.
6Variable rate security. Rate shown is the rate in effect as of March 31, 2024.
7Interest-only security.
8Level 3 securities fair valued under procedures established by the Board of Trustees, represents 0.0% of Net Assets. The total value of these securities is $0.
9The rate is the annualized seven-day yield at period end.