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BRL N/A 1320409.33000000 NC USD -6303.72000000 -0.00009038426 N/A DFE CORP N/A N 2 BANK OF AMERICA NA B4TYDEB6GKMZO031MB27 -1320409.33000000 USD 6600000.00000000 BRL 2024-04-17 -6303.72000000 N N N N/A N/A CURRENCY CONTRACT - CLP N/A 563688.63000000 NC USD -2072.51000000 -0.00002971615 N/A DFE CORP N/A N 2 BANK OF AMERICA NA B4TYDEB6GKMZO031MB27 -563688.63000000 USD 551000000.00000000 CLP 2024-04-17 -2072.51000000 N N N N/A N/A CURRENCY CONTRACT - INR N/A 1025770.71000000 NC USD -4685.17000000 -0.00006717710 N/A DFE CORP N/A N 2 BANK OF AMERICA NA B4TYDEB6GKMZO031MB27 -1025770.71000000 USD 85180000.00000000 INR 2024-04-18 -4685.17000000 N N N N/A N/A CURRENCY CONTRACT - EUR N/A 1557619.20000000 NC USD -4221.14000000 -0.00006052372 N/A DFE CORP N/A N 2 DEUTSCHE BANK AKTIENGESELLSCHA 7LTWFZYICNSX8D621K86 -1557619.20000000 USD 1440000.00000000 EUR 2024-04-02 -4221.14000000 N N N CME GLOBEX N/A BP CURRENCY FUT Jun24 N/A -280.00000000 NC USD 123656.25000000 0.001773013271 Short DFE CORP US N 1 GOLDMAN SACHS & CO LLC FOR8UP27PHTHYVLBNG30 Short N/A CME British Pound Currency Fut 2024-06-17 -22220906.25000000 USD 123656.25000000 N N N N/A N/A CURRENCY CONTRACT - CHF N/A 2505518.76000000 NC USD 11557.44000000 0.000165713374 N/A DFE CORP N/A N 2 BANK OF AMERICA NA B4TYDEB6GKMZO031MB27 -2505518.76000000 USD 2270000.00000000 CHF 2024-04-02 11557.44000000 N N N N/A N/A CURRENCY CONTRACT - AUD N/A 182837.20000000 NC USD -379.23000000 -0.00000543749 N/A DFE CORP N/A N 2 BANK OF AMERICA NA B4TYDEB6GKMZO031MB27 -182837.20000000 USD 280000.00000000 AUD 2024-04-02 -379.23000000 N N N N/A N/A CURRENCY CONTRACT - NZD N/A 690253.00000000 NC USD -3111.51000000 -0.00004461358 N/A DFE CORP N/A N 2 BANK OF AMERICA NA B4TYDEB6GKMZO031MB27 -690253.00000000 USD 1150000.00000000 NZD 2024-04-02 -3111.51000000 N N N N/A N/A CURRENCY CONTRACT - USD N/A 2220000.00000000 NC -1826.20000000 -0.00002618449 N/A DFE CORP N/A N 2 BANK OF AMERICA NA B4TYDEB6GKMZO031MB27 -2220000.00000000 ILS 601811.94000000 USD 2024-04-01 -1826.20000000 N N N N/A N/A CURRENCY CONTRACT - AUD N/A 84762162.12000000 NC USD -241046.45000000 -0.00345618239 N/A DFE CORP N/A N 2 BANK OF AMERICA NA B4TYDEB6GKMZO031MB27 -84762162.12000000 USD 129650000.00000000 AUD 2024-04-17 -241046.45000000 N N N 2024-04-26 MUTUAL FUND SERIES TRUST Erik Naviloff Erik Naviloff Treasurer XXXX NPORT-EX 2 catalyst-funds_nqs.htm CATALYST MILLBURN HEDGE NQ 3.31.24
CATALYST INSIDER BUYING FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 98.0%     
     AEROSPACE & DEFENSE - 2.8%     
 461   TransDigm Group, Inc.  $567,768 
           
     APPAREL & TEXTILE PRODUCTS - 0.4%     
 600   Crocs, Inc.(a),(b)   86,280 
           
     ASSET MANAGEMENT - 14.5%     
 880   Ameriprise Financial, Inc.   385,827 
 2,820   Apollo Global Management, Inc.(b)   317,109 
 3,860   Ares Management Corporation, CLASS A(b)   513,303 
 210   KKR & Company, Inc.   21,122 
 3,420   LPL Financial Holdings, Inc.(b)   903,564 
 7,215   Raymond James Financial, Inc.(b)   926,550 
         3,067,475 
     AUTOMOTIVE - 0.2%     
 700   XPEL, Inc.(a),(b)   37,814 
           
     BEVERAGES - 3.7%     
 9,475   Celsius Holdings, Inc.(a)   785,667 
           
     BIOTECH & PHARMA - 6.1%     
 5,800   Novo Nordisk A/S - ADR   744,720 
 7,500   TransMedics Group, Inc.(a)   554,550 
         1,299,270 
     ELECTRICAL EQUIPMENT - 1.2%     
 1,375   Atkore International Group, Inc.(b)   261,745 
           
     HEALTH CARE FACILITIES & SERVICES - 6.5%     
 5,750   Ensign Group, Inc. (The)(b)   715,415 
 1,500   HCA Healthcare, Inc.(b)   500,295 
 303   UnitedHealth Group, Inc.   149,894 
         1,365,604 
     INTERNET MEDIA & SERVICES - 4.8%     
 63,700   Opera Ltd. - ADR(a),(b)   1,007,097 

 

 

CATALYST INSIDER BUYING FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 98.0% (Continued)     
     LEISURE FACILITIES & SERVICES - 4.8%     
 155   Domino’s Pizza, Inc.(b)  $77,016 
 20,500   DraftKings, Inc., Class A(a)   930,905 
         1,007,921 
     MACHINERY - 0.0%(c)     
 115   Veralto Corporation   10,196 
           
     MEDICAL EQUIPMENT & DEVICES - 0.2%     
 62   Danaher Corporation   15,483 
 50   Thermo Fisher Scientific, Inc.   29,060 
         44,543 
     OIL & GAS PRODUCERS - 4.8%     
 2,440   Murphy USA, Inc.(b)   1,022,848 
           
     RETAIL - DISCRETIONARY - 7.3%     
 185   AutoZone, Inc.(a)   583,055 
 810   O’Reilly Automotive, Inc.(a)   914,394 
 100   Ulta Beauty, Inc.(a)   52,288 
         1,549,737 
     SOFTWARE - 16.0%     
 152,500   Hims & Hers Health, Inc.(a)   2,359,175 
 2,415   Microsoft Corporation   1,016,039 
         3,375,214 
     TECHNOLOGY HARDWARE - 4.4%     
 3,170   Arista Networks, Inc.(a)   919,237 
           
     TECHNOLOGY SERVICES - 18.1%     
 8   Fair Isaac Corporation(a),(b)   9,997 
 5,380   Fiserv, Inc.(a),(b)   859,832 
 2,130   Mastercard, Inc., Class A(b)   1,025,743 
 1,640   MSCI, Inc.   919,138 
 3,635   Visa, Inc., Class A(b)   1,014,455 
         3,829,165 

 

 

CATALYST INSIDER BUYING FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 98.0% (Continued)     
     WHOLESALE - DISCRETIONARY - 2.2%     
 8,020   Copart, Inc.(a)  $464,518 
           
           
     TOTAL COMMON STOCKS (Cost $16,855,564)   20,702,099 
           
           
     SHORT-TERM INVESTMENTS — 35.9%     
     COLLATERAL FOR SECURITIES LOANED - 27.6%     
 5,834,417   Mount Vernon Liquid Assets Portfolio, LLC, 5.44% (Cost $5,834,417)(d)(e)(f)   5,834,417 
           
     MONEY MARKET FUND - 8.3%     
 1,748,419   First American Treasury Obligations Fund, Class X, 5.22% (Cost $1,748,419)(d)   1,748,419 
           
     TOTAL SHORT-TERM INVESTMENTS (Cost $7,582,836)   7,582,836 
           
     TOTAL INVESTMENTS - 133.9% (Cost $24,438,400)  $28,284,935 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (33.9)%   (7,167,179)
     NET ASSETS - 100.0%  $21,117,756 
           
ADR - American Depositary Receipt
   
A/S - Anonim Sirketi
   
LLC - Limited Liability Company
   
LTD - Limited Company
   
MSCI - Morgan Stanley Capital International
 
(a) Non-income producing security.
   
(b) All or a portion of the security is on loan. Total loaned securities had a value of $5,721,813 at March 31, 2024.
   
(c) Percentage rounds to less than 0.1%.
   
(d) Rate disclosed is the seven day effective yield as of March 31, 2024.
   
(e) Mutual Fund Series Trust’s securities lending policies and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.
   
(f) Security was purchased with cash received as collateral for securities on loan at March 31, 2024. Total collateral had a value of $5,834,417 at March 31, 2024.

 

 


CATALYST/MILLBURN DYNAMIC COMMODITY STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 49.9%     
     AEROSPACE & DEFENSE - 0.2%     
 226   Hexcel Corporation  $16,464 
           
     AUTOMOTIVE - 1.1%     
 7,722   Sumitomo Electric Industries Ltd.   119,103 
           
     BEVERAGES - 0.2%     
 2,055   Treasury Wine Estates Ltd.   16,672 
           
     BIOTECH & PHARMA - 0.4%     
 408   Bayer A.G.   12,513 
 729   Elanco Animal Health, Inc.(a)   11,868 
 94   Zoetis, Inc.   15,906 
         40,287 
     CHEMICALS - 4.0%     
 294   Air Products and Chemicals, Inc.   71,227 
 105   Balchem Corporation   16,270 
 185   CF Industries Holdings, Inc.   15,394 
 267   Corteva, Inc.   15,398 
 191   Ecolab, Inc.   44,102 
 191   FMC Corporation   12,167 
 7,623   Ganfeng Lithium Group Company Ltd.   23,326 
 7,625   Incitec Pivot Ltd.   14,360 
 807   K+S A.G.   12,588 
 221   Linde PLC   102,616 
 307   Mosaic Company (The)   9,965 
 214   Nutrien Ltd.   11,627 
 6,118   Tianqi Lithium Corporation   28,453 
 5,002   Toray Industries, Inc.   23,974 
 1,944   Tronox Holdings PLC   33,728 
 374   Yara International ASA   11,811 
         447,006 
     COMMERCIAL SUPPORT SERVICES - 2.2%     
 500   ABM Industries, Inc.   22,310 
 285   Casella Waste Systems, Inc.(a)   28,178 

 

 

CATALYST/MILLBURN DYNAMIC COMMODITY STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 49.9% (Continued)     
     COMMERCIAL SUPPORT SERVICES - 2.2% (Continued)     
 135   Clean Harbors, Inc.(a)  $27,177 
 632   GFL Environmental, Inc.   21,796 
 1,683   PureCycle Technologies, Inc.(a)   10,468 
 1,547   Radius Recycling, Inc.   32,688 
 220   Republic Services, Inc.   42,117 
 396   Stericycle, Inc.(a)   20,889 
 188   Waste Management, Inc.   40,072 
         245,695 
     CONSTRUCTION MATERIALS - 0.3%     
 69   Advanced Drainage Systems, Inc.   11,885 
 105   Owens Corning   17,514 
         29,399 
     CONTAINERS & PACKAGING - 1.3%     
 1,874   Billerud A.B.   16,808 
 628   International Paper Company   24,505 
 1,179   Mondi PLC   20,765 
 45,474   Nine Dragons Paper Holdings Ltd.(a)   18,940 
 10,174   Oji Holdings Corporation   42,178 
 434   Westrock Company   21,461 
         144,657 
     DIVERSIFIED INDUSTRIALS - 0.4%     
 130   General Electric Company   22,819 
 182   Pentair PLC   15,550 
         38,369 
     ELEC & GAS MARKETING & TRADING - 0.1%     
 172   Orsted A/S   9,563 
           
     ELECTRIC UTILITIES - 6.2%     
 349   Alliant Energy Corporation   17,590 
 1,785   Altus Power, Inc.(a)   8,532 
 125   BKW A.G.   19,183 
 554   Boralex, Inc.   11,706 
 62,573   China Datang Corp Renewable Power Company Ltd.   12,871 
 17,475   China Longyuan Power Group Corp Ltd.   12,235 

 

 

CATALYST/MILLBURN DYNAMIC COMMODITY STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 49.9% (Continued)     
     ELECTRIC UTILITIES - 6.2% (Continued)     
 747   Dominion Energy, Inc.  $36,745 
 206   Duke Energy Corporation   19,922 
 3,345   EDP - Energias de Portugal S.A.   13,026 
 776   EDP Renovaveis S.A.   10,502 
 3,144   Endesa S.A.   58,217 
 2,301   Enel SpA   15,189 
 910   Engie S.A.   15,226 
 399   Entergy Corporation   42,166 
 468   ERG SpA   11,753 
 2,593   Fortum OYJ   32,014 
 1,357   Iberdrola S.A.   16,827 
 1,575   Innergex Renewable Energy, Inc.   9,291 
 5,120   Kyushu Electric Power Company, Inc.(a)   45,826 
 1,224   Neoen S.A.   34,647 
 244   NextEra Energy, Inc.   15,594 
 730   Northland Power, Inc.   11,928 
 2,332   PG&E Corporation   39,084 
 1,301   PNM Resources, Inc.   48,970 
 652   Public Service Enterprise Group, Inc.   43,541 
 2,534   RENOVA, Inc.(a)   20,705 
 392   RWE A.G.   13,303 
 1,338   Solaria Energia y Medio Ambiente S.A.(a)   14,585 
 660   SSE PLC   13,744 
 956   West Holdings Corporation   18,098 
         683,020 
     ELECTRICAL EQUIPMENT - 4.9%     
 186   A O Smith Corporation   16,640 
 105   Badger Meter, Inc.   16,990 
 3,296   Bloom Energy Corporation, Class A(a)   37,047 
 451   BWX Technologies, Inc.   46,282 
 5,125   Furukawa Electric Company Ltd.   107,754 
 125   Itron, Inc.(a)   11,565 
 708   Nexans S.A.   74,008 
 991   NKT A/S(a)   81,698 

 

 

CATALYST/MILLBURN DYNAMIC COMMODITY STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 49.9% (Continued)     
     ELECTRICAL EQUIPMENT - 4.9% (Continued)     
 2,257   Prysmian SpA  $117,816 
 587   Siemens Energy A.G.(a)   10,768 
 68   Watts Water Technologies, Inc., Class A   14,453 
         535,021 
     ENGINEERING & CONSTRUCTION - 0.9%     
 102   Acciona S.A.   12,417 
 216   Arcosa, Inc.   18,546 
 322   Montrose Environmental Group, Inc.(a)   12,613 
 228   Stantec, Inc.   18,931 
 211   Tetra Tech, Inc.   38,974 
         101,481 
     FOOD - 2.2%     
 216   Bakkafrost P/F   13,865 
 675   Beyond Meat, Inc.(a)   5,589 
 6,497   China Mengniu Dairy Company Ltd.   13,945 
 725   Darling Ingredients, Inc.(a)   33,720 
 2,872   Leroy Seafood Group ASA   12,633 
 1,700   Maruha Nichiro Corporation   33,200 
 756   Mowi ASA   13,852 
 1,083   NH Foods Ltd.   36,205 
 4,631   Nissui Corporation   28,984 
 604   Pilgrim’s Pride Corporation(a)   20,729 
 222   Salmar ASA   14,627 
 398   Tyson Foods, Inc., Class A   23,375 
         250,724 
     FORESTRY, PAPER & WOOD PRODUCTS - 2.2%     
 1,174   Canfor Corporation(a)   14,831 
 4,061   Daio Paper Corporation   31,386 
 519   Holmen A.B.   21,107 
 1,616   Mercer International, Inc.   16,079 
 3,434   Nippon Paper Industries Company Ltd.(a)   26,517 
 465   Stella-Jones, Inc.   27,122 
 1,462   Stora Enso OYJ, R Shares   20,321 
 1,327   Svenska Cellulosa A.B. SCA   20,365 

 

 

CATALYST/MILLBURN DYNAMIC COMMODITY STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 49.9% (Continued)     
     FORESTRY, PAPER & WOOD PRODUCTS - 2.2% (Continued)     
 303   Sylvamo Corporation  $18,707 
 713   UPM-Kymmene OYJ   23,744 
 244   West Fraser Timber Company Ltd.   21,070 
         241,249 
     GAS & WATER UTILITIES - 1.3%     
 267   American States Water Company   19,289 
 142   American Water Works Company, Inc.   17,354 
 1,208   Aris Water Solutions, Inc., Class A   17,093 
 388   California Water Service Group   18,034 
 47,591   China Suntien Green Energy Corp Ltd., H Shares   17,998 
 500   Essential Utilities, Inc.   18,525 
 280   Middlesex Water Company   14,700 
 331   SJW Group   18,731 
         141,724 
     INDUSTRIAL INTERMEDIATE PROD - 0.6%     
 342   Gibraltar Industries, Inc.(a)   27,541 
 290   Mueller Industries, Inc.   15,640 
 547   SKF A.B., B Shares   11,164 
 69   Valmont Industries, Inc.   15,751 
         70,096 
     INSTITUTIONAL FINANCIAL SERVICES - 5.5%     
 1,002   Cboe Global Markets, Inc.   184,098 
 710   CME Group, Inc.   152,856 
 3,841   Hong Kong Exchanges & Clearing Ltd.   111,791 
 1,112   Intercontinental Exchange, Inc.   152,822 
         601,567 
     MACHINERY - 2.6%     
 113   AGCO Corporation   13,901 
 36   Bucher Industries A.G.   15,840 
 788   CECO Environmental Corporation(a)   18,140 
 40   Deere & Company   16,430 
 395   Donaldson Company, Inc.   29,499 
 1,609   Energy Recovery, Inc.(a)   25,406 
 153   Franklin Electric Company, Inc.   16,342 

 

 

CATALYST/MILLBURN DYNAMIC COMMODITY STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 49.9% (Continued)     
     MACHINERY - 2.6% (Continued)     
 76   IDEX Corporation  $18,546 
 1,157   Kubota Corporation   18,086 
 117   Lindsay Corporation   13,766 
 913   Mueller Water Products, Inc.   14,690 
 199   Tennant Company   24,200 
 333   Toro Company (The)   30,512 
 117   Xylem, Inc.   15,121 
 410   Zurn Elkay Water Solutions Corporation   13,723 
         284,202 
     MEDICAL EQUIPMENT & DEVICES - 0.6%     
 76   Danaher Corporation   18,979 
 664   Neogen Corporation(a)   10,478 
 117   STERIS PLC   26,303 
 50   Waters Corporation(a)   17,212 
         72,972 
     METALS & MINING - 3.4%     
 6,613   Boss Energy Ltd.(a)   20,555 
 617   Cameco Corporation   26,713 
 809   Cleveland-Cliffs, Inc.(a)   18,397 
 3,125   Energy Fuels, Inc.(a)   19,543 
 357   Eramet S.A.   27,131 
 5,714   Iluka Resources Ltd.   26,846 
 21,341   Liontown Resources Ltd.(a)   16,271 
 6,820   Lynas Rare Earths Ltd.(a)   25,287 
 1,547   MP Materials Corporation(a)   22,122 
 2,974   NexGen Energy Ltd.(a)   23,122 
 1,172   Piedmont Lithium, Inc.(a)   15,611 
 8,785   Pilbara Minerals Ltd.   21,925 
 2,433   SunCoke Energy, Inc.   27,420 
 3,142   Uranium Energy Corporation(a)   21,209 
 420   Warrior Met Coal, Inc.   25,494 
 4,169   Yellow Cake PLC(a)   31,674 
         369,320 

 

 

CATALYST/MILLBURN DYNAMIC COMMODITY STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 49.9% (Continued)     
     RENEWABLE ENERGY - 2.4%     
 686   Array Technologies, Inc.(a)  $10,228 
 1,049   Atlantica Sustainable Infrastructure plc   19,386 
 533   Canadian Solar, Inc.(a)   10,532 
 1,401   Encavis A.G.(a)   25,473 
 79   Enphase Energy, Inc.(a)   9,557 
 87   First Solar, Inc.(a)   14,686 
 22,452   FuelCell Energy, Inc.(a)   26,718 
 1,777   Maxeon Solar Technologies Ltd.(a)   5,917 
 100,069   Meyer Burger Technology A.G.(a)   2,774 
 66,497   NEL ASA(a)   29,568 
 791   Nordex S.E.(a)   10,376 
 6,294   Plug Power, Inc.(a)   21,651 
 764   Shoals Technologies Group, Inc., Class A(a)   8,542 
 189   SMA Solar Technology A.G.(a)   10,908 
 129   SolarEdge Technologies, Inc.(a)   9,156 
 1,149   Sunnova Energy International, Inc.(a)   7,043 
 2,580   SunPower Corporation(a)   7,740 
 695   Sunrun, Inc.(a)   9,160 
 396   Vestas Wind Systems A/S(a)   11,054 
 21,157   Xinyi Solar Holdings Ltd.   16,381 
         266,850 
     SOFTWARE - 0.3%     
 45   Roper Technologies, Inc.   25,238 
           
     SPECIALTY REIT - 3.3%     
 15,719   Farmland Partners, Inc.   174,481 
 12,559   Gladstone Land Corporation   167,537 
 406   Hannon Armstrong Sustainable Infrastructure Capital, Inc.   11,530 
         353,548 
     STEEL - 2.2%     
 447   ATI, Inc.(a)   22,873 
 314   Carpenter Technology Corporation   22,426 
 449   Commercial Metals Company   26,388 
 1,017   Metallus, Inc.(a)   22,628 

 

 

CATALYST/MILLBURN DYNAMIC COMMODITY STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 49.9% (Continued)     
     STEEL - 2.2% (Continued)     
 122   Nucor Corporation  $24,144 
 102   Reliance, Inc.   34,085 
 589   Ryerson Holding Corporation   19,732 
 172   Steel Dynamics, Inc.   25,496 
 395   United States Steel Corporation   16,108 
 408   Worthington Enterprises, Inc.   25,390 
         239,270 
     TECHNOLOGY HARDWARE - 0.1%     
 6,455   Flat Glass Group Company Ltd.   15,686 
           
     TIMBER REIT - 0.6%     
 533   PotlatchDeltic Corporation   25,062 
 651   Rayonier, Inc.   21,639 
 711   Weyerhaeuser Company   25,532 
         72,233 
     WHOLESALE - CONSUMER STAPLES - 0.4%     
 288   Archer-Daniels-Midland Company   18,089 
 219   Bunge Global S.A.   22,452 
         40,541 
           
     TOTAL COMMON STOCKS (Cost $5,249,143)   5,471,957 
           
Principal
Amount ($)
      Coupon Rate
(%)
  Maturity    
     U.S. GOVERNMENT & AGENCIES — 19.0%           
     U.S. TREASURY NOTES — 19.0%           
 650,000   United States Treasury Note  2.5000  05/15/24   647,749 
 662,000   United States Treasury Note  2.3750  08/15/24   654,739 
 787,000   United States Treasury Note  2.2500  11/15/24   772,759 
     TOTAL U.S. GOVERNMENT & AGENCIES (Cost $2,076,211)         2,075,247 
                 

 

 

CATALYST/MILLBURN DYNAMIC COMMODITY STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     SHORT-TERM INVESTMENTS — 19.4%     
     MONEY MARKET FUNDS - 19.4%     
 2,119,170   First American Treasury Obligations Fund, Class X, 5.22%(b)  $2,119,170 
     TOTAL SHORT-TERM INVESTMENTS (Cost $2,119,170)     
           
     TOTAL INVESTMENTS - 88.3% (Cost $9,444,524)  $9,666,374 
     OTHER ASSETS IN EXCESS OF LIABILITIES- 11.7%   1,281,241 
     NET ASSETS - 100.0%  $10,947,615 
           
OPEN FUTURES CONTRACTS
Number of
Contracts
   Open Long Futures Contracts  Expiration  Notional
Amount(c)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 7   CBOT Corn Future(d)  05/14/2024  $154,700   $6,050 
 1   CBOT Soybean Future(d)  05/14/2024   59,575    2,450 
 2   CME Lean Hogs Future(d)  06/14/2024   81,160    940 
 4   CME Live Cattle Future(d)  06/28/2024   288,400    (4,380)
 7   COMEX Gold 100 Troy Ounces Future(d)  06/26/2024   1,566,880    33,970 
 1   COMEX Silver Future(d)  05/29/2024   124,580    8,725 
 17   ICE Brent Crude Oil Future(d)  04/30/2024   1,479,000    24,180 
 4   ICE Gas Oil Future(d)  05/10/2024   323,200    2,000 
 3   KCBT Hard Red Winter Wheat Future(d)  05/14/2024   87,788    2,088 
 3   NYBOT CSC C Coffee Future(d)  05/20/2024   212,457    2,401 
 2   NYBOT CSC Cocoa Future(d)  05/15/2024   195,320    84,400 
 1   NYBOT CSC Number 11 World Sugar Future(d)  04/30/2024   25,222    828 
 3   NYBOT CTN Number 2 Cotton Future(d)  05/08/2024   137,070    (645)
 19   NYMEX Light Sweet Crude Oil Future(d)  04/22/2024   1,580,230    95,070 
 3   NYMEX NY Harbor ULSD Futures(d)  04/30/2024   330,460    (3,453)
 3   NYMEX Platinum Future(d)  07/29/2024   138,165    1,925 
 4   NYMEX Reformulated Gasoline Blendstock for Oxygen(d)  04/30/2024   457,061    21,341 
     TOTAL LONG FUTURES CONTRACTS          $277,890 
                   
                   
OPEN FUTURES CONTRACTS
Number of
Contracts
   Open Short Futures Contracts  Expiration  Notional
Amount(c)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 2   LME Lead Future(d)  06/17/2024  $102,626   $1,795 
 5   LME Primary Aluminum Future(d)  06/17/2024   291,830    (6,631)
 2   LME Zinc Future(d)  06/17/2024   121,759    (1,167)
 5   NYMEX Henry Hub Natural Gas Futures(d)  06/26/2024   117,000    3,350 
     TOTAL SHORT FUTURES CONTRACTS          $(2,653)
                   
     TOTAL FUTURES CONTRACTS          $275,237 
                   
                   
A.B. - Aktiebolag
   
A.G. - Aktiengesellschaft
   
A/S - Anonim Sirketi
   
Ltd. - Limited Company
   
OYJ - Julkinen osakeyhtiö
   
PLC - Public Limited Company
   
REIT - Real Estate Investment Trust
   
S.A. - Société Anonyme
   
S.E. - Societas Europeae
   
SpA - Società per azioni
 
(a) Non-income producing security.
   
(b) Rate disclosed is the seven-day effective yield as of March 31, 2024.
   
(c) The amounts shown are the underlying reference notional amounts to stock exchange indices and equities upon which the fair value of the futures contracts held by the Fund are based. Notional values do not represent the current fair value of and are not necessarily indicative of the future cash flows of the Fund’s futures contracts. Further, the underlying price changes in relation to the variables specified by the notional values affects the fair value of these derivative financial instruments. The notional values as set forth within this schedule do not purport to represent economic value at risk to the Fund.
   
(d) All or a portion of this investment is a holding of the CHCSF Fund Limited.

 

 

CATALYST/WARRINGTON STRATEGIC PROGRAM FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024
 
Shares      Discount Rate
(%)
  Maturity  Fair Value 
     SHORT-TERM INVESTMENTS — 92.9%           
     MONEY MARKET FUNDS - 55.0%           
 57,495,995   First American Treasury Obligations Fund, Class X, 5.22%(b)        $57,495,995 
                 
Principal
Amount ($)
              
     U.S. TREASURY BILLS — 37.9%           
 20,000,000   United States Treasury Bill(a)(d)  4.7582  04/11/24   19,970,921 
 20,000,000   United States Treasury Bill(a)(d)  5.1002  07/25/24   19,671,324 
               39,642,245 
     TOTAL SHORT-TERM INVESTMENTS (Cost $97,149,022)         97,138,240 
                 
Contracts(c)      Broker/
Counterparty
  Expiration
Date
  Exercise
Price
   Notional
Value
   Fair Value 
     FUTURE OPTIONS PURCHASED - 0.2%
     PUT OPTIONS PURCHASED - 0.2%
 200   S&P Emini Future, Maturing June 2024  ADM  04/01/2024  $4,550   $45,500,000   $500 
 100   S&P Emini Future, Maturing June 2024  FCS  04/01/2024   4,550    22,750,000    250 
 100   S&P Emini Future, Maturing June 2024  ADM  04/01/2024   4,580    22,900,000    250 
 100   S&P Emini Future, Maturing June 2024  FCS  04/01/2024   4,580    22,900,000    250 
 640   S&P Emini Future, Maturing June 2024  ADM  04/08/2024   4,950    158,400,000    28,800 
 300   S&P Emini Future, Maturing June 2024  FCS  04/08/2024   4,950    74,250,000    13,500 
 320   S&P Emini Future, Maturing June 2024  ADM  04/08/2024   5,150    82,400,000    48,800 
 150   S&P Emini Future, Maturing June 2024  FCS  04/08/2024   5,150    38,625,000    22,875 
 640   S&P Emini Future, Maturing June 2024  ADM  04/05/2024   4,925    157,600,000    16,000 
 300   S&P Emini Future, Maturing June 2024  FCS  04/05/2024   4,925    73,875,000    7,500 
 320   S&P Emini Future, Maturing June 2024  ADM  04/05/2024   5,125    82,000,000    22,400 
 150   S&P Emini Future, Maturing June 2024  FCS  04/05/2024   5,125    38,437,500    10,500 
 320   S&P Emini Future, Maturing June 2024  ADM  04/04/2024   5,075    81,200,000    9,600 
 150   S&P Emini Future, Maturing June 2024  FCS  04/04/2024   5,075    38,062,500    4,500 
 900   S&P Emini Future, Maturing June 2024  ADM  04/02/2024   4,300    193,500,000    2,250 
 500   S&P Emini Future, Maturing June 2024  FCS  04/02/2024   4,300    107,500,000    1,250 
 700   S&P Emini Future, Maturing June 2024  ADM  04/02/2024   4,350    152,250,000    1,750 
 300   S&P Emini Future, Maturing June 2024  FCS  04/02/2024   4,350    65,250,000    750 
 320   S&P Emini Future, Maturing June 2024  ADM  04/02/2024   5,100    81,600,000    4,800 
 150   S&P Emini Future, Maturing June 2024  FCS  04/02/2024   5,100    38,250,000    2,250 
     TOTAL PUT OPTIONS PURCHASED (Cost - $355,525)            198,775 
                           
     TOTAL FUTURE OPTIONS PURCHASED (Cost - $355,525)            198,775 
                           

 

 

CATALYST/WARRINGTON STRATEGIC PROGRAM FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
       Fair Value 
     TOTAL INVESTMENTS – 93.1% (Cost $97,504,547)  $97,337,015 
     PUT OPTIONS WRITTEN – (0.2)% (Proceeds - $314,900)   (202,100)
     OTHER ASSETS IN EXCESS OF LIABILITIES- 7.1%   7,406,571 
     NET ASSETS - 100.0%  $104,541,486 
           
Contracts(c)      Counterparty  Expiration
Date
  Exercise Price   Notional Value   Fair Value 
     WRITTEN FUTURE OPTIONS - 0.2%              
     PUT OPTIONS WRITTEN - 0.2%              
 1,280   S&P Emini Future, Maturing June 2024  ADM  04/08/2024  $4,625   $296,000,000   $32,000 
 600   S&P Emini Future, Maturing June 2024  FCS  04/08/2024   4,625    138,750,000    15,000 
 640   S&P Emini Future, Maturing June 2024  ADM  04/08/2024   5,050    161,600,000    44,800 
 300   S&P Emini Future, Maturing June 2024  FCS  04/08/2024   5,050    75,750,000    21,000 
 1,280   S&P Emini Future, Maturing June 2024  ADM  04/05/2024   4,600    294,400,000    19,200 
 600   S&P Emini Future, Maturing June 2024  FCS  04/05/2024   4,600    138,000,000    9,000 
 640   S&P Emini Future, Maturing June 2024  ADM  04/05/2024   5,025    160,800,000    24,000 
 300   S&P Emini Future, Maturing June 2024  FCS  04/05/2024   5,025    75,375,000    11,250 
 640   S&P Emini Future, Maturing June 2024  ADM  04/04/2024   4,925    157,600,000    11,200 
 300   S&P Emini Future, Maturing June 2024  FCS  04/04/2024   4,925    73,875,000    5,250 
 640   S&P Emini Future, Maturing June 2024  ADM  04/02/2024   4,950    158,400,000    6,400 
 300   S&P Emini Future, Maturing June 2024  FCS  04/02/2024   4,950    74,250,000    3,000 
     TOTAL PUT OPTIONS WRITTEN (Proceeds - $314,900)            202,100 
     TOTAL FUTURE OPTIONS WRITTEN (Proceeds - $314,900)           $202,100 
                           
ADM ADM Investor Services, Inc.
   
FCS StoneX Group, Inc.
   
(a) Zero coupon bond.
   
(b) Rate disclosed is the seven day effective yield as of March 31, 2024.
   
(c) Each contract is equivalent to one futures contract.
   
(d) Held as collateral for options.

 

 

CATALYST INSIDER INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024
 
Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CONVERTIBLE BONDS — 44.6%           
     ASSET MANAGEMENT — 12.0%           
 2,600,000   New Mountain Finance Corporation  7.5000  10/15/25  $2,646,800 
 4,079,000   Prospect Capital Corporation  6.3750  03/01/25   4,089,285 
               6,736,085 
     SPECIALTY FINANCE — 32.6%           
 2,600,000   Arbor Realty Trust, Inc.  7.5000  08/01/25   2,560,219 
 4,620,000   Redwood Trust, Inc.  5.6250  07/15/24   4,648,652 
 5,000,000   SoFi Technologies, Inc.(a),(b)  5.8000  10/15/26   4,344,040 
 7,000,000   Two Harbors Investment Corporation  6.2500  01/15/26   6,650,000 
               18,202,911 
                 
     TOTAL CONVERTIBLE BONDS (Cost $25,356,359)         24,938,996 
                 
     CORPORATE BONDS — 50.7%           
     ASSET MANAGEMENT — 9.7%           
 2,700,000   Ares Capital Corporation  4.2500  03/01/25   2,656,725 
 2,861,000   Prospect Capital Corporation  3.7060  01/22/26   2,715,485 
               5,372,210 
     BIOTECH & PHARMA — 3.5%           
 2,000,000   AbbVie, Inc.  3.8000  03/15/25   1,972,555 
                 
     CHEMICALS — 4.8%           
 2,700,000   Sherwin-Williams Company (The)  3.1250  06/01/24   2,687,579 
                 
     GAS & WATER UTILITIES — 3.0%           
 1,700,000   National Fuel Gas Company  5.5000  01/15/26   1,698,778 
                 
     INSURANCE — 7.4%           
 2,862,526   Ambac Assurance Corporation(a)  5.1000  06/07/69   4,158,039 
                 
     INTERNET MEDIA & SERVICES — 8.3%           
 2,000,000   Netflix, Inc.  5.8750  02/15/25   2,008,783 
 2,612,000   VeriSign, Inc.  5.2500  04/01/25   2,602,157 
               4,610,940 

 

 

CATALYST INSIDER INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CORPORATE BONDS — 50.7% (Continued)           
     METALS & MINING — 0.5%           
 299,000   Warrior Met Coal, Inc.(a)  7.8750  12/01/28  $301,474 
                 
     REAL ESTATE INVESTMENT TRUSTS — 5.5%           
 1,007,000   Omega Healthcare Investors, Inc.  4.5000  04/01/27   974,891 
 2,100,000   Sabra Health Care, L.P.  5.1250  08/15/26   2,079,658 
               3,054,549 
     SEMICONDUCTORS — 4.4%           
 2,500,000   Broadcom, Inc.  3.6250  10/15/24   2,472,429 
                 
     TECHNOLOGY HARDWARE — 3.6%           
 2,000,000   Dell International, LLC / EMC Corporation  4.0000  07/15/24   1,990,265 
                 
     TOTAL CORPORATE BONDS (Cost $28,391,784)         28,318,818 
                 
Shares        
     SHORT-TERM INVESTMENTS — 7.6%     
     MONEY MARKET FUNDS - 7.6%     
 4,275,000   First American Treasury Obligations Fund, Class X, 5.22% (Cost $4,275,000)(c)   4,275,000 
           
     TOTAL INVESTMENTS - 102.9% (Cost $58,023,143)  $57,532,814 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (2.9)%   (1,617,697)
     NET ASSETS - 100.0%  $55,915,117 
           
LLC - Limited Liability Company
   
L.P. - Limited Partnership
 
(a) Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers. As of March 31, 2024, the total market value of 144A securities is 8,803,553 or 15.7% of net assets.
   
(b) Zero coupon bond. Discount rate shown.
   
(c) Rate disclosed is the seven-day effective yield as of March 31, 2024.

 

 

CATALYST SYSTEMATIC ALPHA FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024
 
Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CONVERTIBLE BONDS — 0.1%           
     ASSET MANAGEMENT — 0.1%           
 225,000   New Mountain Finance Corporation  7.5000  10/15/25  $229,050 
                 
     SPECIALTY FINANCE — 0.0%(a)           
 225,000   Two Harbors Investment Corporation  6.2500  01/15/26   213,750 
                 
     TOTAL CONVERTIBLE BONDS (Cost $424,260)         442,800 
                 
     CORPORATE BONDS — 54.1%           
     AEROSPACE & DEFENSE — 4.1%           
 21,000,000   RTX Corporation  3.9500  08/16/25   20,661,929 
                 
     ASSET MANAGEMENT — 0.3%           
 1,650,000   Ares Capital Corporation  4.2000  06/10/24   1,643,984 
                 
     BEVERAGES — 3.9%           
 20,000,000   Constellation Brands, Inc.  5.0000  02/02/26   19,882,850 
                 
     BIOTECH & PHARMA — 5.2%           
 20,000,000   AbbVie, Inc.  3.8000  03/15/25   19,725,546 
 6,500,000   Gilead Sciences, Inc.  3.6500  03/01/26   6,335,732 
               26,061,278 
     CHEMICALS — 2.0%           
 5,000,000   DuPont de Nemours, Inc.  4.4930  11/15/25   4,936,551 
 5,000,000   Sherwin-Williams Company (The)  3.1250  06/01/24   4,976,998 
               9,913,549 
     E-COMMERCE DISCRETIONARY — 1.4%           
 7,291,000   Amazon.com, Inc.  4.7000  11/29/24   7,270,692 
                 
     FOOD — 2.3%           
 12,000,000   Kraft Heinz Foods Company  3.0000  06/01/26   11,493,061 

 

 

CATALYST SYSTEMATIC ALPHA FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CORPORATE BONDS — 54.1% (Continued)           
     INSTITUTIONAL FINANCIAL SERVICES — 0.2%           
 800,000   Goldman Sachs Group, Inc. (The)  3.7500  05/22/25  $785,101 
                 
     INTERNET MEDIA & SERVICES — 3.9%           
 20,000,000   VeriSign, Inc.  5.2500  04/01/25   19,924,635 
                 
     LEISURE FACILITIES & SERVICES — 3.5%           
 18,000,000   McDonald’s Corporation Series MTN  3.7000  01/30/26   17,624,681 
                 
     MEDICAL EQUIPMENT & DEVICES — 2.5%           
 13,000,000   Thermo Fisher Scientific, Inc.  1.2150  10/18/24   12,701,588 
                 
     RETAIL - DISCRETIONARY — 4.6%           
 18,700,000   Lowe’s Companies, Inc.  4.4000  09/08/25   18,481,304 
 1,300,000   Lowe’s Companies, Inc.  4.8000  04/01/26   1,293,110 
 3,500,000   Ross Stores, Inc.  3.3750  09/15/24   3,460,496 
               23,234,910 
     SEMICONDUCTORS — 3.2%           
 16,000,000   Intel Corporation  4.8750  02/10/26   15,958,754 
                 
     SOFTWARE — 7.6%           
 20,690,000   Microsoft Corporation  2.7000  02/12/25   20,275,249 
 19,030,000   Oracle Corporation  2.9500  05/15/25   18,534,524 
               38,809,773 
     TECHNOLOGY HARDWARE — 3.9%           
 20,000,000   Apple, Inc.  2.5000  02/09/25   19,557,417 
                 
     TECHNOLOGY SERVICES — 5.5%           
 13,000,000   Equifax, Inc.  2.6000  12/01/24   12,744,990 
 16,000,000   International Business Machines Corporation  3.3000  05/15/26   15,447,095 
               28,192,085 
     TOTAL CORPORATE BONDS (Cost $273,879,017)         273,716,287 

 

 

CATALYST SYSTEMATIC ALPHA FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares            Fair Value 
     SHORT-TERM INVESTMENTS — 41.0%           
     MONEY MARKET FUNDS - 11.1%           
 55,896,775   First American Treasury Obligations Fund, Class X, 5.22%(b)(d)        $55,896,775 
                 
Principal
Amount ($)
      Discount Rate
(%)
  Maturity    
     U.S. TREASURY BILLS — 29.9%           
 2,000,000   United States Treasury Bill(b)(c)(e)  4.9666  04/18/24   1,995,033 
 5,000,000   United States Treasury Bill(b)(c)(e)  5.1103  05/16/24   4,967,351 
 5,000,000   United States Treasury Bill(b)(c)(e)  5.1401  06/13/24   4,947,171 
 7,000,000   United States Treasury Bill(b)(c)(e)  5.0896  07/11/24   6,899,056 
 9,000,000   United States Treasury Bill(b)(c)(e)  5.0794  08/08/24   8,834,920 
 5,000,000   United States Treasury Bill(b)(c)(e)  5.0816  09/05/24   4,888,486 
 13,000,000   United States Treasury Bill(b)(c)(e)  4.9918  10/03/24   12,664,720 
 5,000,000   United States Treasury Bill(b)(c)(e)  4.9075  10/31/24   4,854,139 
 20,000,000   United States Treasury Bill(b)(c)(e)  4.8455  11/29/24   19,345,861 
 41,000,000   United States Treasury Bill(c)(e)  4.8076  12/26/24   39,521,654 
 10,000,000   United States Treasury Bill(c)(e)  4.7645  01/23/25   9,605,609 
 24,100,000   United States Treasury Bill(c)(e)  4.7835  02/20/25   23,056,048 
 10,000,000   United States Treasury Bill(b)(c)(e)  4.7524  03/20/25   9,532,684 
               151,112,732 
     TOTAL SHORT-TERM INVESTMENTS (Cost $207,152,030)         207,009,507 
                 
     TOTAL INVESTMENTS - 95.2% (Cost $481,455,307)        $481,168,594 
     OTHER ASSETS IN EXCESS OF LIABILITIES- 4.8%         24,207,161 
     NET ASSETS - 100.0%        $505,375,755 
                 
(a) Percentage rounds to less than 0.1%.
   
(b) All or a portion of this investment is a holding of the CSACS Fund Limited.
   
(c) Zero coupon bond.
   
(d) Rate disclosed is the seven day effective yield as of March 31, 2024.
   
(e) This security is segregated as Collateral for a Swap Contract.

 

 

CATALYST SYSTEMATIC ALPHA FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 

TOTAL RETURN SWAP - 4.7 %

 

The BNP Paribas Catalyst Systematic Alpha Index (“BCKTSAXE”) is a rules based index designed to capitalize on structural inefficiencies and behavioral biases present within the equity, fixed income, and currency markets. The BCKTSAXE Index is comprised of four rules-based Index components created by BNP Paribas.*

 

The BNP Paribas Catalyst Systematic Alpha Commodities Index (“BCKTSACE”) is a rules based index designed to capitalize on structural inefficiencies and behavioral biases present within the commodity markets. The BCKTSACE Index is comprised of two rules-based Index components created by BNP Paribas.*

 

The CIBC Multi Asset Systematic Alpha Index (“CIBQMASA”) is a rules based index designed to capitalize on structural inefficiencies and behavioral biases present within the equity, fixed income, commodity and currency markets. The CIBQMASA Index is comprised of five rules-based Index components created by CIBC.**

 

Shares   Frequency and Reference Entity  Notional
Amount
  Counterparty  Maturity  Pay/Receive
Fixed Rate
  Upfront
Payments
  Unrealized
Appreciation
 
 115,687   BNP Paribas Catalyst Systematic Alpha Non-Commodities Index  (285,991,949)  BNP Paribas  1/28/2025  0.1500%    $6,100,720 
 115,687   BNP Paribas Catalyst Systematic Alpha Commodities Index +  (327,749,709)  BNP Paribas  1/28/2025  0.1500%     17,128,740 
 15,695   CIBC Multi Asset Systematic Alpha Index +  (53,324,561)  CIBC  3/31/2025  0.1000%     477,644 
                       $23,707,103 
+This instrument is held by CSACS Fund Ltd.

 

*Additional information can be found on https://marketing-indx.bnpparibas.com/casaindex/index-performance/

 

**Additional information can be found on https://indices.cibccm.com/CIBQMASA/

 

 

CATALYST/ASPECT ENHANCED MULTI-ASSET FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024
 
Shares      Fair Value 
     EXCHANGE-TRADED FUNDS — 38.0%     
     FIXED INCOME - 38.0%     
 72,828   iShares Core U.S. Aggregate Bond ETF  $7,132,774 
           
     TOTAL EXCHANGE-TRADED FUNDS (Cost $7,186,185)   7,132,774 
           
     SHORT-TERM INVESTMENTS — 45.2%     
     MONEY MARKET FUNDS - 45.2%     
 8,497,310   First American Treasury Obligations Fund, Class X, 5.22%(a)(c)   8,497,310 
           
     TOTAL SHORT-TERM INVESTMENTS (Cost $8,497,310)   8,497,310 
           
     TOTAL INVESTMENTS - 83.2% (Cost $15,683,495)  $15,630,084 
     OTHER ASSETS IN EXCESS OF LIABILITIES - 16.8%   3,152,033 
     NET ASSETS - 100.0%  $18,782,117 
           
OPEN FUTURES CONTRACTS
Number of
Contracts
   Open Long Futures Contracts  Expiration  Notional
Amount(b)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 1   3 Month Euro Euribor Future  09/15/2025  $263,053   $(302)
 2   3 Month Euro Euribor Future  12/15/2025   526,564    (2,043)
 3   3 Month Euro Euribor Future  03/16/2026   790,210    (291)
 3   3 Month Euro Euribor Future  06/15/2026   790,413    104 
 3   3 Month Euro Euribor Future  09/14/2026   790,574    (306)
 2   CME E-Mini NASDAQ 100 Index Future  06/21/2024   738,999    7,002 
 3   CME E-mini Russell 2000 Index Futures  06/21/2024   321,885    5,580 
 44   CME E-Mini Standard & Poor’s 500 Index Future  06/21/2024   11,678,699    258,020 
 2   CME E-Mini Standard & Poor’s MidCap 400 Index  06/21/2024   615,480    19,945 
 1   CME Feeder Cattle Future(c)  05/23/2024   124,350    (3,525)
 2   CME Lean Hogs Future(c)  06/14/2024   81,160    (60)
 1   CME Lean Hogs Future(c)  07/15/2024   41,600    160 
 3   CME Live Cattle Future(c)  06/28/2024   216,300    (5,120)
 2   CME Live Cattle Future(c)  08/30/2024   142,560    (3,810)
 1   CME Live Cattle Future(c)  10/31/2024   72,550    (1,800)
 1   CME Nikkei 225 Index Future  06/13/2024   202,000    2,100 
 1   Cocoa Future(c)  07/16/2024   97,497    22,094 
 1   Cocoa Future(c)  09/13/2024   89,571    5,799 
 4   COMEX Copper Future(c)  05/29/2024   400,700    (8,014)
 3   COMEX Gold 100 Troy Ounces Future(c)  06/26/2024   671,520    10,510 

 

 

CATALYST/ASPECT ENHANCED MULTI-ASSET FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
OPEN FUTURES CONTRACTS (Continued)
Number of
Contracts
   Open Long Futures Contracts (Continued)  Expiration  Notional
Amount(b)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 1   COMEX Silver Future(c)  05/29/2024  $124,580   $(2,845)
 3   E-mini Dow Jones Industrial Average Index Futures  06/21/2024   602,640    14,730 
 1   Eurex DAX Index Future  06/21/2024   506,365    18,570 
 10   Eurex EURO STOXX 50 Future  06/21/2024   544,229    14,078 
 5   Euro-BTP Italian Bond Futures  06/06/2024   641,909    5,287 
 7   Euronext CAC 40 Index Future  04/19/2024   620,976    9,251 
 5   FTSE 100 Index Future  06/21/2024   504,083    7,744 
 3   FTSE/MIB Index Future  06/21/2024   553,398    17,015 
 1   Future on STOXX Europe 600 ESG-X  06/21/2024   20,485    369 
 3   ICE Brent Crude Oil Future(c)  04/30/2024   261,000    10,460 
 1   ICE Brent Crude Oil Future(c)  05/31/2024   86,150    4,320 
 2   ICE Gas Oil Future(c)  05/10/2024   161,601    4,476 
 1   ICE Gas Oil Future(c)  06/12/2024   80,200    2,950 
 3   ICE US mini MSCI EAFE Index Futures  06/21/2024   353,565    4,615 
 5   ICE US MSCI Emerging Markets EM Index Futures  06/21/2024   262,250    (194)
 7   IFSC NIFTY 50 Index Futures  04/25/2024   314,741    2,734 
 1   LME Copper Future(c)  06/17/2024   221,483    (5,058)
 1   Long Gilt Future  06/26/2024   126,134    340 
 1   MDE Crude Palm Oil Future(c)  06/14/2024   21,847    (413)
 1   MDE Kuala Lumpur Composite Index Future  04/30/2024   16,195    (37)
 3   Montreal Exchange S&P/TSX 60 Index Future  06/20/2024   594,232    10,232 
 1   NYBOT CSC C Coffee Future(c)  07/19/2024   70,519    (112)
 4   NYBOT CSC Cocoa Future(c)  07/16/2024   372,240    75,210 
 2   NYBOT CSC Cocoa Future(c)  09/13/2024   171,960    2,410 
 2   NYBOT CTN Number 2 Cotton Future(c)  07/09/2024   91,970    (40)
 2   NYMEX Light Sweet Crude Oil Future(c)  04/22/2024   166,340    6,120 
 1   NYMEX Light Sweet Crude Oil Future(c)  05/21/2024   82,420    3,900 
 1   NYMEX NY Harbor ULSD Futures(c)  04/30/2024   110,153    411 
 1   NYMEX NY Harbor ULSD Futures(c)  05/31/2024   110,027    (4,091)
 1   NYMEX Reformulated Gasoline Blendstock for Oxygen(c)  04/30/2024   114,265    6,153 
 28   OML Stockholm OMXS30 Index Future  04/19/2024   660,257    16,957 
 1   OMXS30 ESG Responsible Index Futures  04/19/2024   22,603    353 
 2   Robusta Coffee Future 10-Tonne(c)  05/24/2024   69,580    6,610 
 1   Robusta Coffee Future 10-Tonne(c)  07/25/2024   33,960    (460)
 5   SFE 90 Day Australian Bank Accepted Bills Future  06/13/2024   3,224,232    (143)
 5   SFE S&P ASX Share Price Index 200 Future  06/20/2024   647,644    14,804 
 5   SGX FTSE Taiwan Index Futures  04/29/2024   345,000    60 
 2   SGX Mini Japan Government 10 Year Bond Future  06/12/2024   192,497    85 
 2   SGX MSCI Singapore Index Future  04/29/2024   43,082    (111)
 2   SGX Nikkei 225 Stock Index Future  06/13/2024   265,376    2,319 
 7   Three Month SONIA Index Futures  12/17/2024   2,105,200    1,078 
 1   Three Month SONIA Index Futures  06/17/2025   302,462    430 
 2   Three Month SONIA Index Futures  09/16/2025   606,187    (1,180)
 2   Three Month SONIA Index Futures  12/16/2025   607,133    (147)
 2   Three Month SONIA Index Futures  03/17/2026   607,859    (179)
 2   Three Month SONIA Index Futures  06/16/2026   608,364    90 
 2   Three Month SONIA Index Futures  09/15/2026   608,743    377 
 1   Three Month SONIA Index Futures  12/15/2026   304,513    218 

 

 

CATALYST/ASPECT ENHANCED MULTI-ASSET FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
OPEN FUTURES CONTRACTS (Continued)
Number of
Contracts
   Open Long Futures Contracts (Continued)  Expiration  Notional
Amount(b)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 4   TSE TOPIX (Tokyo Price Index) Future  06/13/2024  $726,473   $10,461 
 8   TurkDEX ISE 30 Futures  04/30/2024   24,990    83 
     TOTAL LONG FUTURES CONTRACTS          $566,333 
                   
OPEN FUTURES CONTRACTS
Number of
Contracts
   Open Short Futures Contracts  Expiration  Notional
Amount(b)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 2   3 Month Euro Euribor Future  03/17/2025  $524,353   $235 
 7   3 Month Euro Euribor Future  09/16/2024   1,825,135    3,039 
 5   3 Month Euro Euribor Future  12/16/2024   1,307,646    1,367 
 6   Carbon Emissions Future(c)  12/16/2024   400,000    (25,506)
 13   CBOT 10 Year US Treasury Note  06/18/2024   1,440,359    (8,187)
 13   CBOT 2 Year US Treasury Note Future  06/28/2024   2,658,296    790 
 15   CBOT 5 Year US Treasury Note  06/28/2024   1,605,234    (4,484)
 2   CBOT Corn Future(c)  12/13/2024   47,775    (1,612)
 29   CBOT Corn Future(c)  07/12/2024   659,025    (13,025)
 10   CBOT Soybean Future(c)  05/14/2024   595,750    (9,712)
 13   CBOT Soybean Meal Future(c)  07/12/2024   443,300    4,670 
 4   CBOT Soybean Oil Future(c)  07/12/2024   116,352    1,848 
 3   CBOT US Treasure Bond Futures  06/18/2024   361,313    (4,782)
 5   CBOT Wheat Future(c)  07/12/2024   143,938    (525)
 8   CBOT Wheat Future(c)  05/14/2024   224,100    6,388 
 1   CME Australian Dollar Currency Future  06/17/2024   65,330    160 
 1   CME Canadian Dollar Currency Future  06/18/2024   73,940    (350)
 1   CME Euro Foreign Exchange Currency Future  06/17/2024   135,269    300 
 2   CME Japanese Yen Currency Future  06/17/2024   167,137    2,318 
 1   CME New Zealand Dollar Currency Future  06/17/2024   59,750    260 
 1   CME Swiss Franc Currency Future  06/17/2024   139,775    713 
 2   Eurex 10 Year Euro BUND Future  06/06/2024   287,767    (3,116)
 27   Eurex 2 Year Euro SCHATZ Future  06/06/2024   3,078,640    (3,262)
 1   Eurex 30 Year Euro BUXL Future  06/06/2024   146,494    (3,763)
 9   Eurex 5 Year Euro BOBL Future  06/06/2024   1,148,058    (6,790)
 22   Euronext Milling Wheat Future(c)  05/10/2024   241,478    2,651 
 6   EUX Short term Euro-BTP Futures  06/06/2024   685,307    (216)
 5   HKG Hang Seng China Enterprises Index Future  04/29/2024   185,705    (235)
 3   HKG Hang Seng Index Future  04/29/2024   317,558    481 
 5   ICE Natural Gas Future(c)  04/29/2024   133,123    (12,828)
 11   KCBT Hard Red Winter Wheat Future(c)  05/14/2024   321,887    2,525 
 1   LME Lead Future(c)  06/17/2024   51,313    (1,204)
 3   LME Nickel Future(c)  06/17/2024   301,326    (9,100)
 1   LME Primary Aluminum Future(c)  06/17/2024   58,366    (2,863)
 1   LME Zinc Future(c)  06/17/2024   60,879    (245)
 3   MGE Red Wheat Future(c)  05/14/2024   96,750    4,913 
 8   Montreal Exchange 10 Year Canadian Bond Future  06/19/2024   710,799    (3,966)
 8   Montreal Exchange 2 Year Canadian Bond Future  06/19/2024   608,881    (293)
 2   Montreal Exchange 3 Month Canadian Bank Acceptance  12/18/2024   352,365    (201)

 

 

CATALYST/ASPECT ENHANCED MULTI-ASSET FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
OPEN FUTURES CONTRACTS (Continued)
Number of
Contracts
   Open Short Futures Contracts (Continued)  Expiration  Notional
Amount(b)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 1   Montreal Exchange 3 Month Canadian Bank Acceptance  09/16/2024  $175,656   $120 
 1   Montreal Exchange 3 Month Canadian Bank Acceptance  03/19/2025   176,635    (7)
 4   Montreal Exchange 5 Year Canadian Bond Future  06/19/2024   329,204    (828)
 1   NYBOT CSC Number 11 World Sugar Future(c)  06/28/2024   24,808    (146)
 30   NYMEX Henry Hub Natural Gas Futures(c)  04/26/2024   528,900    77,639 
 16   NYMEX Henry Hub Natural Gas Futures(c)  05/29/2024   319,520    24,740 
 1   NYMEX Palladium Future(c)  06/26/2024   102,150    (3,350)
 2   NYMEX Platinum Future(c)  07/29/2024   92,110    (1,310)
 1   Phelix DE Base Quarter Future(c)  06/26/2024   158,633    3,451 
 3   SAFEX FTSE/JSE Top 40 Index Future  06/20/2024   109,173    (2,931)
 5   SFE 10 Year Australian Bond Future  06/17/2024   379,825    (4,675)
 16   SFE 3 Year Australian Bond Future  06/17/2024   1,114,705    (3,433)
 2   SFE 90 Day Australian Bank Accepted Bills Future  03/13/2025   1,291,047    (267)
 1   SFE 90 Day Australian Bank Accepted Bills Future  06/12/2025   645,713    (237)
 5   SFE 90 Day Australian Bank Accepted Bills Future  12/12/2024   3,226,513    (453)
 18   SGX FTSE China A50 Futures Contract  04/29/2024   218,160    297 
 40   TEF SET50 Index Future  06/27/2024   182,726    1,730 
 1   Three Month SONIA Index Futures  03/18/2025   301,658    (286)
 4   Three-Month SOFR Futures  03/17/2026   962,450    (37)
 6   Three-Month SOFR Futures  03/18/2025   1,431,450    4,513 
 4   Three-Month SOFR Futures  12/16/2025   961,200    938 
 6   Three-Month SOFR Futures  12/17/2024   1,427,025    5,638 
 3   Three-Month SOFR Futures  09/15/2026   722,813    (663)
 4   Three-Month SOFR Futures  09/16/2025   959,350    1,950 
 8   Three-Month SOFR Futures  09/17/2024   1,897,300    4,862 
 3   Three-Month SOFR Futures  06/16/2026   722,438    (175)
 5   Three-Month SOFR Futures  06/17/2025   1,196,250    3,675 
 5   TTF Natural Gas Base Load Monthly Futures(c)  04/29/2024   109,714    5,048 
 3   Ultra U.S. Treasury Bond Futures  06/18/2024   387,000    (9,203)
 4   WCE Canola Future(c)  07/12/2024   37,572    814 
     TOTAL SHORT FUTURES CONTRACTS          $23,807 
     TOTAL FUTURES CONTRACTS          $590,140 

 

 

CATALYST/ASPECT ENHANCED MULTI-ASSET FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Foreign Currency  Settlement
Date
  Counterparty  Local
Currency
   U.S. Dollar
Value
   Unrealized
Appreciation/
(Depreciation)
 
To Buy: (continued)                     
Australian Dollar  04/17/2024  Deutsche Bank   800,000   $521,568   $(8,395)
Brazilian Real  04/17/2024  Deutsche Bank   6,209,533    1,236,128    (13,873)
British Pound  04/17/2024  Deutsche Bank   800,000    1,009,769    (12,981)
Canadian Dollar  04/17/2024  Deutsche Bank   404,312    298,588    (1,412)
Chilean Peso  04/17/2024  Deutsche Bank   238,577,639    243,157    (6,843)
Columbian Peso  04/17/2024  Deutsche Bank   1,182,735,626    305,453    5,453 
Euro  04/17/2024  Deutsche Bank   400,000    431,792    (6,063)
Israeli Shekel  04/17/2024  Deutsche Bank   360,087    97,975    (2,025)
Japanese Yen  04/17/2024  Deutsche Bank   102,651,366    679,824    (20,176)
Mexican Peso  04/17/2024  Deutsche Bank   31,358,369    1,881,260    31,257 
New Zealand Dollar  04/17/2024  Deutsche Bank   450,000    268,884    (8,684)
Peruvian Sole  04/17/2024  Deutsche Bank   367,533    98,767    (1,233)
Philippine Peso  04/17/2024  Deutsche Bank   8,328,398    148,179    (1,821)
Singapore Dollar  04/17/2024  Deutsche Bank   332,373    246,354    (3,646)
South African Rand  04/17/2024  Deutsche Bank   6,557,037    345,715    (4,285)
South Korean Won  04/17/2024  Deutsche Bank   264,742,898    196,369    (3,631)
Swiss Franc  04/17/2024  Deutsche Bank   43,722    48,572    (1,428)
Taiwanese Dollar  04/17/2024  Deutsche Bank   3,160,748    98,794    (1,206)
USD  04/17/2024  Deutsche Bank   1,444,513    199,191    (809)
Indian Rupee  04/18/2024  Deutsche Bank   16,590,097    198,860    (1,140)
Indonesia Rupiah  05/15/2024  Deutsche Bank   780,816,376    49,131    (869)
              $8,604,330   $(63,810)
                      
To Sell:                     
Australian Dollar  04/17/2024  Deutsche Bank   2,800,000   $1,825,481   $17,671 
Brazilian Real  04/17/2024  Deutsche Bank   1,499,972    298,599    1,401 
British Pound  04/17/2024  Deutsche Bank   850,000    1,072,875    1,853 
Canadian Dollar  04/17/2024  Deutsche Bank   1,962,935    1,449,641    360 
Chilean Peso  04/17/2024  Deutsche Bank   1,175,926,543    1,198,495    1,508 
CNH  04/17/2024  Deutsche Bank   10,411,016    1,435,626    14,374 
Euro  04/17/2024  Deutsche Bank   1,650,000    1,781,148    18,109 
Israeli Shekel  04/17/2024  Deutsche Bank   732,755    199,373    627 
Japanese Yen  04/17/2024  Deutsche Bank   644,595,482    4,268,938    81,069 
Mexican Peso  04/17/2024  Deutsche Bank   5,067,241    303,996    (3,996)
New Zealand Dollar  04/17/2024  Deutsche Bank   1,750,000    1,045,662    10,779 
Peruvian Sole  04/17/2024  Deutsche Bank   373,386    100,339    (339)
Philippine Peso  04/17/2024  Deutsche Bank   11,234,983    199,893    107 
Singapore Dollar  04/17/2024  Deutsche Bank   1,069,353    792,612    7,389 
South African Rand  04/17/2024  Deutsche Bank   7,567,142    398,970    1,030 
South Korean Won  04/17/2024  Deutsche Bank   930,134,949    689,916    10,085 
Swiss Franc  04/17/2024  Deutsche Bank   2,089,236    2,321,006    28,997 
Taiwanese Dollar  04/17/2024  Deutsche Bank   17,339,031    541,959    8,042 
Thailand Baht  04/17/2024  Deutsche Bank   5,304,090    145,498    4,502 
Indian Rupee  04/18/2024  Deutsche Bank   16,653,385    199,620    380 
Indonesia Rupiah  05/15/2024  Deutsche Bank   4,718,981,743    296,927    3,074 
              $20,566,574   $207,022 
                      
Total                  $143,212 

 

 

CATALYST/ASPECT ENHANCED MULTI-ASSET FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Foreign Currency  Settlement
Date
  Counterparty  Local Currency
Amount
Purchased
Sell
   Local Currency
Amount
Purchased
Sell
   U.S. Dollar
Market
Value Buy
   U.S. Dollar
Market
Value Sell
   Unrealized
Appreciation/
(Depreciation)
 
To Buy:  To Sell:                               
British Pound  Euro  4/17/2024  Deutsche Bank   2,390,290    2,800,000    3,017,067    (3,022,561)  $(5,494)
Czech Koruna  Euro  4/17/2024  Deutsche Bank   2,524,717    100,000    107,642    (107,948)   (306)
Euro  British Pound  4/17/2024  Deutsche Bank   600,000    514,809    647,688    (649,801)   (2,113)
Euro  Czech Koruna  4/17/2024  Deutsche Bank   750,000    19,051,487    809,615    (812,270)   (2,655)
Euro  Hungarian Forints  4/17/2024  Deutsche Bank   950,000    377,105,960    1,025,506    (1,031,999)   (6,493)
Euro  Japanese Yen  4/17/2024  Deutsche Bank   4,600,000    743,813,480    4,965,632    (4,926,027)   39,605 
Euro  Norwegian Krone  4/17/2024  Deutsche Bank   2,000,000    23,137,940    2,158,963    (2,132,015)   26,948 
Euro  Polish Zloty  4/17/2024  Deutsche Bank   200,000    859,884    215,896    (215,223)   673 
Euro  Swedish Krona  4/17/2024  Deutsche Bank   900,000    10,273,567    971,532    (960,277)   11,255 
Euro  Swiss Franc  4/17/2024  Deutsche Bank   1,950,000    1,884,661    2,104,986    (2,093,740)   11,246 
Hungarian Forints  Euro  4/17/2024  Deutsche Bank   198,503,750    500,000    543,234    (539,744)   3,490 
Japanese Yen  Euro  4/17/2024  Deutsche Bank   128,320,581    800,000    849,822    (863,584)   (13,762)
Norwegian Krone  Euro  4/17/2024  Deutsche Bank   2,855,998    250,000    263,162    (269,870)   (6,708)
Polish Zloty  Euro  4/17/2024  Deutsche Bank   9,491,972    2,200,000    2,375,781    (2,374,867)   914 
Swedish Krona  Euro  4/17/2024  Deutsche Bank   12,310,107    1,100,000    1,150,635    (1,187,435)   (36,800)
Swiss Franc  Euro  4/17/2024  Deutsche Bank   287,947    300,000    319,893    (323,847)   (3,954)
                                   
             368,635,362    1,184,691,788   $21,527,054   $21,511,208   $15,846 
                                   
Total                               $159,058 
                                   
(a)Rate disclosed is the seven day effective yield as of March 31, 2024.

 

(b)The amounts shown are the underlying reference notional amounts to stock exchange indices and equities upon which the fair value of the futures contracts held by the Fund are based. Notional values do not represent the current fair value of, and are not necessarily indicative of the future cash flows of the Fund’s futures contracts. Further, the underlying price changes in relation to the variables specified by the notional values affects the fair value of these derivative financial instruments. The notional values as set forth within this schedule do not purport to represent economic value at risk to the Fund.

 

(c)All or a portion of this investment is a holding of the CAEMAF Fund Limited.

 

 

CATALYST ENERGY INFRASTRUCTURE
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 99.8%     
     OIL & GAS PRODUCERS - 99.8%     
 161,786   Cheniere Energy, Inc.  $26,092,845 
 128,555   DT Midstream, Inc.   7,854,711 
 338,411   Enbridge, Inc.   12,243,710 
 1,665,807   Energy Transfer, L.P.   26,203,145 
 929,643   EnLink Midstream, LLC   12,680,331 
 397,318   Enterprise Products Partners, L.P.   11,593,739 
 298,710   Gibson Energy, Inc.   5,085,758 
 164,197   Hess Midstream, L.P., Class A   5,932,438 
 212,964   Keyera Corporation   5,485,975 
 344,523   Kinder Morgan, Inc.   6,318,552 
 221,593   Kinetik Holdings, Inc.   8,834,913 
 247,765   MPLX, L.P.   10,297,113 
 3,363,429   NextDecade Corporation(a)   19,104,276 
 160,156   ONEOK, Inc.   12,839,707 
 319,837   Pembina Pipeline Corporation   11,303,040 
 707,565   Plains GP Holdings, L.P., Class A   12,913,061 
 146,894   Targa Resources Corporation   16,450,658 
 299,318   TC Energy Corporation   12,032,584 
 328,920   Western Midstream Partners, L.P.   11,693,106 
 732,072   Williams Companies, Inc. (The)   28,528,845 
         263,488,507 
           
     TOTAL COMMON STOCKS (Cost $196,412,809)   263,488,507 
           
     SHORT-TERM INVESTMENT — 0.1%     
     MONEY MARKET FUND - 0.1%     
 312,614   First American Treasury Obligations Fund, Class X, 5.22% (Cost $312,614)(b)   312,614 
           
     TOTAL INVESTMENTS - 99.9% (Cost $196,725,423)  $263,801,121 
     OTHER ASSETS IN EXCESS OF LIABILITIES - 0.1%   167,734 
     NET ASSETS - 100.0%  $263,968,855 
           
LLC - Limited Liability Company
   
LP - Limited Partnership
   
(a) Non-income producing security.
   
(b) Rate disclosed is the seven day effective yield as of March 31, 2024.

 

 

CATALYST NASDAQ-100 HEDGED EQUITY FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 74.0%     
     ADVERTISING & MARKETING - 0.2%     
 432   Trade Desk, Inc. (The), Class A(a)  $37,765 
           
     AUTOMOTIVE - 1.8%     
 1,816   Tesla, Inc.(a),(b)   319,235 
           
     BEVERAGES - 2.0%     
 440   Coca-Cola Europacific Partners PLC   30,778 
 1,337   Keurig Dr Pepper, Inc.   41,006 
 989   Monster Beverage Corporation(a)   58,628 
 1,304   PepsiCo, Inc.   228,212 
         358,624 
     BIOTECH & PHARMA - 3.1%     
 503   Amgen, Inc.(b)   143,013 
 541   AstraZeneca PLC - ADR   36,653 
 138   Biogen, Inc.(a)   29,757 
 1,174   Gilead Sciences, Inc.(b)   85,996 
 373   Moderna, Inc.(a),(b)   39,747 
 101   Regeneron Pharmaceuticals, Inc.(a)   97,211 
 243   Vertex Pharmaceuticals, Inc.(a)   101,576 
         533,953 
     CABLE & SATELLITE - 1.3%     
 140   Charter Communications, Inc., Class A(a),(b)   40,688 
 3,816   Comcast Corporation, Class A   165,424 
 3,658   Sirius XM Holdings, Inc.(b)   14,193 
         220,305 
     COMMERCIAL SUPPORT SERVICES - 0.4%     
 96   Cintas Corporation   65,955 
           
     DIVERSIFIED INDUSTRIALS- 0.7%     
 625   Honeywell International, Inc.   128,281 
           
     E-COMMERCE DISCRETIONARY - 4.7%     
 3,811   Amazon.com, Inc.(a)   687,428 
 53   MercadoLibre, Inc.(a)   80,134 

 

 

CATALYST NASDAQ-100 HEDGED EQUITY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 74.0% (Continued)     
     E-COMMERCE DISCRETIONARY - 4.7% (Continued)     
 633   PDD Holdings, Inc. - ADR(a)  $73,586 
         841,148 
     ELECTRIC UTILITIES - 0.9%     
 499   American Electric Power Company, Inc.   42,964 
 307   Constellation Energy Corporation   56,749 
 946   Exelon Corporation   35,541 
 525   Xcel Energy, Inc.   28,219 
         163,473 
     ENTERTAINMENT CONTENT - 0.5%     
 258   Electronic Arts, Inc.(b)   34,229 
 163   Take-Two Interactive Software, Inc.(a)   24,204 
 2,563   Warner Bros Discovery, Inc.(a),(b)   22,375 
         80,808 
     FOOD - 0.8%     
 1,174   Kraft Heinz Company (The)   43,321 
 1,296   Mondelez International, Inc., Class A   90,720 
         134,041 
     INDUSTRIAL SUPPORT SERVICES - 0.2%     
 545   Fastenal Company   42,041 
           
     INTERNET MEDIA & SERVICES - 10.2%     
 420   Airbnb, Inc., Class A(a)   69,283 
 2,187   Alphabet, Inc., Class A(a)   330,083 
 2,114   Alphabet, Inc., Class C(a)   321,878 
 37   Booking Holdings, Inc.   134,232 
 351   DoorDash, Inc., Class A(a)   48,340 
 1,297   Meta Platforms, Inc., Class A   629,797 
 420   Netflix, Inc.(a)   255,079 
         1,788,692 
     LEISURE FACILITIES & SERVICES - 1.0%     
 277   Marriott International, Inc., Class A(b)   69,890 
 1,077   Starbucks Corporation   98,427 
         168,317 

 

 

CATALYST NASDAQ-100 HEDGED EQUITY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 74.0% (Continued)     
     MEDICAL EQUIPMENT & DEVICES - 1.6%     
 370   DexCom, Inc.(a)  $51,319 
 424   GE HealthCare Technologies, Inc.(b)   38,546 
 79   IDEXX Laboratories, Inc.(a)   42,654 
 152   Illumina, Inc.(a)   20,873 
 335   Intuitive Surgical, Inc.(a)   133,695 
         287,087 
     OIL & GAS PRODUCERS - 0.2%     
 170   Diamondback Energy, Inc.   33,688 
           
     OIL & GAS SERVICES & EQUIPMENT - 0.2%     
 947   Baker Hughes Company   31,725 
           
     RETAIL - CONSUMER STAPLES - 2.0%     
 420   Costco Wholesale Corporation   307,705 
 207   Dollar Tree, Inc.(a)   27,562 
 815   Walgreens Boots Alliance, Inc.(b)   17,677 
         352,944 
     RETAIL - DISCRETIONARY - 0.9%     
 114   Lululemon Athletica, Inc.(a),(b)   44,534 
 56   O’Reilly Automotive, Inc.(a)   63,218 
 320   Ross Stores, Inc.   46,963 
         154,715 
     SEMICONDUCTORS - 17.6%     
 1,589   Advanced Micro Devices, Inc.(a)   286,799 
 474   Analog Devices, Inc.   93,752 
 802   Applied Materials, Inc.   165,396 
 84   ASML Holding N.V. - ADR   81,519 
 445   Broadcom, Inc.   589,807 
 528   GLOBALFOUNDRIES, Inc.(a),(b)   27,514 
 3,986   Intel Corporation   176,062 
 131   KLA Corporation   91,513 
 127   Lam Research Corporation   123,389 
 839   Marvell Technology, Inc.   59,468 
 521   Microchip Technology, Inc.   46,739 

 

 

CATALYST NASDAQ-100 HEDGED EQUITY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 74.0% (Continued)     
     SEMICONDUCTORS - 17.6% (Continued)     
 1,050   Micron Technology, Inc.  $123,785 
 892   NVIDIA Corporation   805,976 
 245   NXP Semiconductors N.V.   60,704 
 418   ON Semiconductor Corporation(a)   30,744 
 1,057   QUALCOMM, Inc.   178,950 
 871   Texas Instruments, Inc.   151,737 
         3,093,854 
     SOFTWARE -12.5%     
 420   Adobe, Inc.(a)   211,932 
 83   ANSYS, Inc.(a)   28,814 
 147   Atlassian Corporation, Class A(a)   28,681 
 202   Autodesk, Inc.(a)   52,605 
 262   Cadence Design Systems, Inc.(a)   81,555 
 214   Crowdstrike Holdings, Inc., Class A(a)   68,606 
 289   Datadog, Inc., Class A(a)   35,720 
 723   Fortinet, Inc.(a)   49,388 
 263   Intuit, Inc.   170,950 
 2,755   Microsoft Corporation   1,159,085 
 67   MongoDB, Inc.(a),(b)   24,029 
 284   Palo Alto Networks, Inc.(a)   80,693 
 101   Roper Technologies, Inc.   56,645 
 146   Synopsys, Inc.(a),(b)   83,439 
 198   Workday, Inc., Class A(a)   54,005 
 134   Zscaler, Inc.(a)   25,812 
         2,211,959 
     TECHNOLOGY HARDWARE - 6.8%     
 5,790   Apple, Inc.   992,869 
 3,838   Cisco Systems, Inc.   191,555 
         1,184,424 
     TECHNOLOGY SERVICES - 2.0%     
 391   Automatic Data Processing, Inc.   97,648 
 128   CDW Corporation   32,740 
 477   Cognizant Technology Solutions Corporation, Class A   34,959 
 380   CoStar Group, Inc.(a)   36,708 

 

 

CATALYST NASDAQ-100 HEDGED EQUITY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 74.0% (Continued)     
     TECHNOLOGY SERVICES - 2.0% (Continued)     
 344   Paychex, Inc.  $42,243 
 1,011   PayPal Holdings, Inc.(a)   67,727 
 135   Verisk Analytics, Inc.(b)   31,824 
         343,849 
     TELECOMMUNICATIONS -1.0%     
 1,098   T-Mobile US, Inc.(b)   179,216 
           
     TRANSPORTATION & LOGISTICS- 0.7%     
 1,870   CSX Corporation   69,321 
 206   Old Dominion Freight Line, Inc.(b)   45,178 
         114,499 
     TRANSPORTATION EQUIPMENT- 0.4%     
 499   PACCAR, Inc.   61,821 
           
     WHOLESALE - DISCRETIONARY - 0.3%     
 895   Copart, Inc.(a)   51,838 
           
     TOTAL COMMON STOCKS (Cost $10,322,610)   12,984,257 
           
     EXCHANGE-TRADED FUNDS - 12.7%     
     EQUITY - 12.7%     
 5,028   Invesco QQQ Trust Series 1(b)   2,232,482 
     TOTAL EXCHANGE-TRADED FUNDS (Cost $1,871,629)     
           
     SHORT-TERM INVESTMENTS- 24.3%     
     COLLATERAL FOR SECURITIES LOANED - 18.1%     
 3,181,584   Mount Vernon Liquid Assets Portfolio, LLC, 5.44% (Cost $3,181,584)(c),(d)   3,181,584 

 

 

CATALYST NASDAQ-100 HEDGED EQUITY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     SHORT-TERM INVESTMENTS — 24.3% (Continued)     
     MONEY MARKET FUND - 6.2%     
 1,079,010   First American Treasury Obligations Fund, Class X, 5.22% (Cost $1,079,010)(d)  $1,079,010 
           
     TOTAL SHORT-TERM INVESTMENTS (Cost $4,260,594)   4,260,594 
           
Contracts(e)      Counterparty  Expiration Date  Exercise Price   Notional Value     
     FUTURE OPTIONS PURCHASED - 0.4%               
     PUT OPTIONS PURCHASED - 0.4%               
 74   S&P E-mini 3rd Week Future  WED  04/19/2024  $5,200   $19,641,450   $76,775 
     TOTAL FUTURE OPTIONS PURCHASED (Cost - $254,376)           
                           
     TOTAL INVESTMENTS- 111.4% (Cost $16,709,209)        $19,554,108 
     CALL OPTIONS WRITTEN - 0.0%(f) (Proceeds - $6,383)        (2,498)
     PUT OPTIONS WRITTEN - 0.0%(f) (Proceeds - $41,625)        (6,753)
     LIABILITIES IN EXCESS OF OTHER ASSETS - (11.4)%        (2,001,520)
     NET ASSETS - 100.0%       $17,543,337 
                           
Contracts(e)      Counterparty  Expiration
Date
  Exercise
Price
   Notional
Value
   Fair Value 
     WRITTEN FUTURE OPTIONS - (0.0)%(f)            
     CALL OPTIONS WRITTEN - (0.0)%(f)            
 37   S&P E-mini 3rd Week Future  WED  04/19/2024  $5,550   $9,820,725   $2,498 
     TOTAL CALL OPTIONS WRITTEN (Proceeds - $6,383)            
                           
     PUT OPTIONS WRITTEN - (0.0)%(f)            
 37   S&P E-mini 3rd Week Future  WED  04/19/2024   4,900    9,820,725    6,753 
     TOTAL PUT OPTIONS WRITTEN (Proceeds - $41,625)            
                           
     TOTAL FUTURE OPTIONS WRITTEN (Proceeds - $48,008)         $9,251 
                           
OPEN FUTURES CONTRACTS
Number of
Contracts
   Open Long Futures Contracts  Expiration  Notional
Amount(g)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 101   CBOE Volatility Index Future  06/18/2024  $1,630,999   $(73,570)
 45   CBOE Volatility Index Future  07/17/2024   761,315    (1,615) 
 2   CME E-Mini NASDAQ 100 Index Future  06/21/2024   739,000    5,620 
     TOTAL LONG FUTURES CONTRACTS          $(69,565)

 

 

CATALYST NASDAQ-100 HEDGED EQUITY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
OPEN FUTURES CONTRACTS (Continued)
Number of
Contracts
   Open Short Futures Contracts  Expiration  Notional
Amount(g)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 126   CBOE Volatility Index Future  04/17/2024  $1,810,457   $68,604 
     TOTAL SHORT FUTURES CONTRACTS             
                   
     TOTAL FUTURES CONTRACTS          $(961)
                   
ADR - American Depositary Receipt
   
LLC - Limited Liability Company
   
N.V. - Naamioze Vennootschap
   
PLC - Public Limited Company
   
WED - Wedbush Securities
   
(a) Non-income producing security.
   
(b) All or a portion of the security is on loan. The total fair value of the securities on loan as of March 31, 2024, was $3,114,673.
   
(c) Security was purchased with cash received as collateral for securities on loan at March 31, 2024. Total collateral had a value of $3,181,584 at March 31, 2024.
   
(d) Rate disclosed is the seven-day effective yield as of March 31, 2024.
   
(e) Each contract is equivalent to one futures contract.
   
(f) Percentage rounds to greater than (0.1%).
   
(g) The amounts shown are the underlying reference notional amounts to stock exchange indices and equities upon which the fair value of the futures contracts held by the Fund are based. Notional values do not represent the current fair value of and are not necessarily indicative of the future cash flows of the Fund’s futures contracts. Further, the underlying price changes in relation to the variables specified by the notional values affect the fair value of these derivative financial instruments. The notional values as set forth within this schedule do not purport to represent economic value at risk to the Fund.

 

 

CATALYST/MAP GLOBAL EQUITY FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024

 

Shares      Fair Value 
     COMMON STOCKS — 91.7%     
     AEROSPACE & DEFENSE - 1.6%     
 65,840   Kratos Defense & Security Solutions, Inc.(a)  $1,210,139 
           
     APPAREL & TEXTILE PRODUCTS - 0.3%     
 600   Kering S.A.(b)   237,120 
           
     ASSET MANAGEMENT - 1.5%     
 14,800   Groupe Bruxelles Lambert N.V.   1,118,542 
           
     BEVERAGES - 3.4%     
 5,069   Diageo plc - ADR   753,963 
 4,950,000   Thai Beverage PCL   1,796,387 
         2,550,350 
           
     BIOTECH & PHARMA - 11.7%     
 9,900   Johnson & Johnson   1,566,081 
 25,002   Novartis A.G. - ADR   2,418,443 
 59,750   Sanofi - ADR   2,903,851 
 143,000   Takeda Pharmaceutical Company Ltd. - ADR   1,986,270 
         8,874,645 
     CHEMICALS - 2.2%     
 51,000   Mosaic Company (The)   1,655,460 
           
     CONSTRUCTION MATERIALS - 5.6%     
 25,180   Holcim A.G.(b)   2,280,004 
 79,010   MDU Resources Group, Inc.   1,991,052 
         4,271,056 
           
     E-COMMERCE DISCRETIONARY - 1.7%     
 25,853   eBay, Inc.   1,364,521 
           
     ENGINEERING & CONSTRUCTION - 4.1%     
 16,925   Tetra Tech, Inc.   3,126,217 
           
     ENTERTAINMENT CONTENT - 6.1%     
 5,919   Electronic Arts, Inc.   785,274 
 256,280   Vivendi S.A.(b)   2,792,263 

 

 

CATALYST/MAP GLOBAL EQUITY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Shares      Fair Value 
     COMMON STOCKS — 91.7% (Continued)     
     ENTERTAINMENT CONTENT - 6.1% (Continued)     
 16,000   Vivendi S.A. - ADR  $173,440 
 7,617   Walt Disney Company (The)   932,016 
         4,682,993 
     FOOD - 3.9%     
 169,700   GrainCorp Ltd.   911,200 
 19,550   Nestle S.A. - ADR   2,076,210 
         2,987,410 
     GAS & WATER UTILITIES - 3.4%     
 28,270   National Fuel Gas Company   1,518,664 
 43,000   UGI Corporation   1,055,220 
         2,573,884 
     HOUSEHOLD PRODUCTS - 2.9%     
 112,900   Reckitt Benckiser Group plc - ADR   1,283,673 
 18,960   Unilever plc - ADR   951,602 
         2,235,275 
     INTERNET MEDIA & SERVICES - 3.5%     
 5,428   Meta Platforms, Inc., Class A   2,635,728 
           
     LEISURE FACILITIES & SERVICES - 0.8%     
 5,500   Live Nation Entertainment, Inc.(a)   581,735 
           
     MEDICAL EQUIPMENT & DEVICES - 2.7%     
 24,000   Medtronic PLC   2,091,600 
           
     METALS & MINING - 3.0%     
 24,900   Freeport-McMoRan, Inc.   1,170,798 
 188,340   Grupo Mexico S.A.B. de C.V. - Series B   1,111,741 
         2,282,539 
     OIL & GAS PRODUCERS - 3.1%     
 14,000   BP PLC - ADR   527,520 
 11,827   Chevron Corporation   1,865,591 
         2,393,111 

 

 

CATALYST/MAP GLOBAL EQUITY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Shares      Fair Value 
     COMMON STOCKS — 91.7% (Continued)     
     RETAIL - CONSUMER STAPLES -  2.9%     
 36,819   Walmart, Inc.  $2,215,399 
           
     RETAIL - DISCRETIONARY - 1.1%     
 2,104   Home Depot, Inc. (The)   807,094 
           
     SEMICONDUCTORS - 5.5%     
 9,854   Applied Materials, Inc.   2,032,191 
 24,898   Intel Corporation   1,099,745 
 9,519   Micron Technology, Inc.   1,122,195 
         4,254,131 
     SOFTWARE - 4.6%     
 8,310   Microsoft Corporation   3,496,183 
           
     TECHNOLOGY HARDWARE - 4.7%     
 8,022   Apple, Inc.   1,375,613 
 44,810   Cisco Systems, Inc.   2,236,467 
         3,612,080 
     TECHNOLOGY SERVICES - 0.8%     
 8,688   Fidelity National Information Services, Inc.   644,476 
           
     TELECOMMUNICATIONS - 3.6%     
 62,300   AT&T, Inc.   1,096,480 
 142,000   Orange S.A. - ADR   1,671,340 
         2,767,820 
     TOBACCO & CANNABIS - 3.3%     
 18,800,000   Hanjaya Mandala Sampoerna Tbk P.T.   1,019,034 
 67,000   Imperial Brands plc - ADR   1,514,200 
         2,533,234 
     WHOLESALE - CONSUMER STAPLES - 3.7%     
 27,560   Bunge Global S.A.   2,825,452 
           
     TOTAL COMMON STOCKS (Cost $54,295,630)   70,028,194 

 

 

CATALYST/MAP GLOBAL EQUITY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Shares      Fair Value 
     EXCHANGE-TRADED FUNDS — 6.8%     
     COMMODITY - 3.8%     
 65,000   SPDR Gold MiniShares Trust(a)  $2,863,250 
           
     FIXED INCOME - 3.0%     
 25,000   SPDR Bloomberg 1-3 Month T-Bill ETF   2,295,000 
           
     TOTAL EXCHANGE-TRADED FUNDS (Cost $4,772,061)   5,158,250 
           
     SHORT-TERM INVESTMENT — 1.2%     
     MONEY MARKET FUND - 1.2%     
 950,321   First American Treasury Obligations Fund, Class X, 5.22% (Cost $950,321)(c)   950,321 
           
     TOTAL INVESTMENTS - 99.7% (Cost $60,018,012)  $76,136,765 
     CALL OPTIONS WRITTEN - (0.1)% (Premiums received - $54,316)   (74,882)
     OTHER ASSETS IN EXCESS OF LIABILITIES - 0.4%   278,937 
     NET ASSETS - 100.0%  $76,340,820 

 

Contracts(d)      Counterparty  Expiration
Date
  Exercise
Price
   Notional
Value
   Fair Value 
     WRITTEN EQUITY OPTIONS - (0.1)%         
     CALL OPTIONS WRITTEN - (0.1)%       
 258   eBay, Inc.  PER  07/19/2024  $55   $1,361,724   $59,082 
 200   Kratos Defense & Security Solutions, Inc.  PER  08/16/2024   23    367,600    15,800 
     TOTAL CALL OPTIONS WRITTEN (Proceeds - $54,316)            74,882 
                           
                           
     TOTAL EQUITY OPTIONS WRITTEN (Proceeds - $54,316)            $74,882 

 

ADR - American Depositary Receipt
   
ETF - Exchange-Traded Fund
   
LTD - Limited Company
   
PLC - Public Limited Company
   
S.A. - Société Anonyme
   
SPDR - Standard & Poor’s Depositary Receipt
   
PER - Pershing LLC
   
(a) Non-income producing security.
   
(b) The value of this security has been determined in good faith under policies of the Board of Trustees.
   
(c) Rate disclosed is the seven day effective yield as of March 31, 2024.
   
(d) Each option contract allows the holder of the option to purchase or sell 100 shares of the underlying security.

 

 

CATALYST/LYONS TACTICAL ALLOCATION FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024

 

Shares      Fair Value 
     COMMON STOCKS — 85.6%     
     AEROSPACE & DEFENSE - 2.8%     
 2,333   Lockheed Martin Corporation  $1,061,212 
           
     APPAREL & TEXTILE PRODUCTS - 4.4%     
 11,647   Crocs, Inc.(a)   1,674,839 
           
     CHEMICALS - 3.3%     
 21,696   Dow, Inc.   1,256,849 
           
     COMMERCIAL SUPPORT SERVICES - 3.5%     
 6,308   Waste Management, Inc.   1,344,550 
           
     ELECTRICAL EQUIPMENT - 3.9%     
 3,043   Lennox International, Inc.   1,487,297 
           
     HEALTH CARE FACILITIES & SERVICES - 13.4%     
 5,450   Cencora, Inc.   1,324,296 
 2,013   Chemed Corporation   1,292,205 
 4,498   HCA Healthcare, Inc.   1,500,218 
 1,962   UnitedHealth Group, Inc.   970,601 
         5,087,320 
     INDUSTRIAL SUPPORT SERVICES - 4.1%     
 1,516   WW Grainger, Inc.   1,542,226 
           
     LEISURE FACILITIES & SERVICES - 6.8%     
 7,272   Darden Restaurants, Inc.   1,215,515 
 5,448   Marriott International, Inc., Class A   1,374,585 
         2,590,100 
     OIL & GAS PRODUCERS - 5.7%     
 8,765   ConocoPhillips   1,115,609 
 8,099   EOG Resources, Inc.   1,035,376 
         2,150,985 
     RETAIL - CONSUMER STAPLES - 7.2%     
 1,871   Costco Wholesale Corporation   1,370,751 

 

 

CATALYST/LYONS TACTICAL ALLOCATION FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Shares      Fair Value 
     COMMON STOCKS — 85.6% (Continued)     
     RETAIL - CONSUMER STAPLES - 7.2% (Continued)     
 8,739   Dollar General Corporation  $1,363,808 
         2,734,559 
     RETAIL - DISCRETIONARY - 14.1%     
 428   AutoZone, Inc.(a)   1,348,906 
 3,681   Home Depot, Inc. (The)   1,412,032 
 7,324   Penske Automotive Group, Inc.   1,186,415 
 2,688   Ulta Beauty, Inc.(a)   1,405,501 
         5,352,854 
     SOFTWARE - 3.5%     
 3,065   Microsoft Corporation   1,289,507 
           
     STEEL - 4.0%     
 10,357   Steel Dynamics, Inc.   1,535,218 
           
     TECHNOLOGY HARDWARE - 2.7%     
 6,036   Apple, Inc.   1,035,053 
           
     TECHNOLOGY SERVICES - 3.2%     
 6,027   Broadridge Financial Solutions, Inc.   1,234,691 
           
     TRANSPORTATION & LOGISTICS - 3.0%     
 9,526   Expeditors International of Washington, Inc.   1,158,076 
           
     TOTAL COMMON STOCKS (Cost $26,009,395)   32,535,336 
           
     SHORT-TERM INVESTMENT — 14.4%     
     MONEY MARKET FUND - 14.4%     
 5,487,010   First American Treasury Obligations Fund, Class X, 5.22% (Cost $5,487,010)(b)   5,487,010 
           
     TOTAL INVESTMENTS - 100.0% (Cost $31,496,405)  $38,022,346 
     OTHER ASSETS IN EXCESS OF LIABILITIES - 0.0%   13,754 
     NET ASSETS - 100.0%  $38,036,100 

 

(a) Non-income producing security.
   
(b) Rate disclosed is the seven day effective yield as of March 31, 2024.

 

 

CATALYST/MAP GLOBAL BALANCED FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024

 

Shares      Fair Value 
     COMMON STOCKS — 50.6%     
     ASSET MANAGEMENT - 1.7%     
 3,368   Groupe Bruxelles Lambert N.V.  $254,544 
           
     BEVERAGES - 2.6%     
 1,048,000   Thai Beverage PCL   380,326 
           
     BIOTECH & PHARMA - 8.5%     
 1,960   Johnson & Johnson   310,052 
 2,516   Novartis A.G. - ADR   243,373 
 7,528   Sanofi S.A. - ADR   365,860 
 26,000   Takeda Pharmaceutical Company Ltd. - ADR   361,140 
         1,280,425 
     CHEMICALS - 0.9%     
 4,190   Mosaic Company   136,007 
           
     CONSTRUCTION MATERIALS - 3.5%     
 3,930   Holcim A.G.(a)   355,855 
 7,000   MDU Resources Group, Inc.   176,400 
         532,255 
     E-COMMERCE DISCRETIONARY - 1.3%     
 3,500   eBay, Inc.(b)   184,730 
           
     ENGINEERING & CONSTRUCTION - 1.3%     
 1,057   Tetra Tech, Inc.   195,238 
           
     ENTERTAINMENT CONTENT- 2.7%     
 37,700   Vivendi S.E. (a)   410,755 
           
     FOOD - 2.4%     
 3,533   Nestle S.A. - ADR   375,205 
           
     GAS & WATER UTILITIES - 3.3%     
 5,575   National Fuel Gas Company   299,489 
 7,920   UGI Corporation   194,357 
         493,846 

 

 

CATALYST/MAP GLOBAL BALANCED FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Shares      Fair Value 
     COMMON STOCKS -  50.6% (Continued)     
     HOUSEHOLD PRODUCTS - 1.3%     
 3,800   Unilever PLC - ADR  $190,722 
           
     INTERNET MEDIA & SERVICES - 0.5%     
 153   Meta Platforms, Inc., Class A   74,294 
           
     MEDICAL EQUIPMENT & DEVICES - 1.0%     
 1,800   Medtronic PLC   156,870 
           
     METALS & MINING - 0.5%     
 12,000   Grupo Mexico S.A.B. de C.V. - Series B   70,834 
           
     OIL & GAS PRODUCERS - 1.0%     
 1,000   Chevron Corporation   157,740 
           
     RETAIL - DISCRETIONARY - 0.8%     
 323   Home Depot, Inc.   123,903 
           
     SEMICONDUCTORS - 2.6%     
 1,000   Applied Materials, Inc.   206,230 
 1,630   Micron Technology, Inc.   192,161 
         398,391 
     SOFTWARE - 3.6%     
 1,275   Microsoft Corporation   536,418 
           
     TECHNOLOGY HARDWARE - 2.3%     
 6,825   Cisco Systems, Inc.   340,636 
           
     TELECOMMUNICATIONS - 2.7%     
 5,000   AT&T, Inc.   88,000 
 26,340   Orange S.A. - ADR   310,022 
         398,022 
     TOBACCO & CANNABIS - 3.7%     
 3,991,700   Hanjaya Mandala Sampoerna Tbk P.T.   216,366 

 

 

CATALYST/MAP GLOBAL BALANCED FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Shares      Fair Value 
     COMMON STOCKS — 50.6% (Continued)     
     TOBACCO & CANNABIS - 3.7% (Continued)     
 15,000   Imperial Brands PLC - ADR  $339,000 
         555,366 
     WHOLESALE - CONSUMER STAPLES - 2.4%     
 3,502   Bunge Global S.A.   359,025 
           
     TOTAL COMMON STOCKS (Cost $6,514,449)   7,605,552 
           
     EXCHANGE-TRADED FUNDS — 2.5%     
     COMMODITY - 2.5%     
 8,500   SPDR Gold MiniShares Trust(c)   374,425 
           
     TOTAL EXCHANGE-TRADED FUNDS (Cost $314,458)     

 

Principal      Coupon Rate       
Amount($)      (%)  Maturity    
     CORPORATE BONDS — 27.6%           
     AEROSPACE & DEFENSE — 1.3%           
 200,000   Howmet Aerospace, Inc.  6.8750  05/01/25   202,376 
                 
     AUTOMOTIVE 4.0%           
 250,000   Ford Motor Credit Company, LLC  4.1340  08/04/25   244,477 
 200,000   Honda Motor Company Ltd.  2.5340  03/10/27   187,581 
 175,000   Magna International, Inc.  3.6250  06/15/24   174,127 
               606,185 
     CHEMICALS — 4.1%           
 250,000   Methanex Corporation  4.2500  12/01/24   248,019 
 222,000   Nutrien Ltd.  5.9000  11/07/24   222,296 
 150,000   Nutrien Ltd.  3.0000  04/01/25   146,323 
               616,638 
     CONTAINERS & PACKAGING 1.2%           
 175,000   Ball Corporation  5.2500  07/01/25   175,249 

 

 

CATALYST/MAP GLOBAL BALANCED FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Principal      Coupon Rate       
Amount($)      (%)  Maturity  Fair Value 
     CORPORATE BONDS — 27.6% (Continued)           
     ELECTRIC UTILITIES 0.6%           
 100,000   DTE Energy Company  1.0500  06/01/25  $94,995 
                 
     HOME CONSTRUCTION — 1.3%           
 200,000   TRI Pointe Group, Inc./ TRI Pointe Homes, Inc.  5.8750  06/15/24   199,885 
                 
     LEISURE FACILITIES & SERVICES — 2.0%           
 300,000   Las Vegas Sands Corporation  3.2000  08/08/24   296,867 
                 
     OIL & GAS PRODUCERS — 1.4%           
 218,000   Occidental Petroleum Corporation  2.9000  08/15/24   215,624 
                 
     SEMICONDUCTORS 0.8%           
 125,000   NXP BV / NXP Funding, LLC / NXP USA, Inc.  2.7000  05/01/25   121,341 
                 
     STEEL — 1.3%           
 200,000   ArcelorMittal S.A.  3.6000  07/16/24   198,572 
                 
     TECHNOLOGY HARDWARE — 3.4%           
 225,000   NetApp, Inc.  1.8750  06/22/25   215,288 
 300,000   Seagate HDD Cayman  4.7500  01/01/25   297,463 
               512,751 
     TOBACCO & CANNABIS — 2.7%           
 250,000   BAT International Finance PLC  1.6680  03/25/26   232,923 
 175,000   Reynolds American, Inc.  4.4500  06/12/25   172,756 
               405,679 
     TRANSPORTATION & LOGISTICS — 3.5%           
 325,000   Canadian Pacific Railway Company  1.3500  12/02/24   316,123 
 200,000   Ryder System, Inc.  4.6250  06/01/25   198,079 
               514,202 
                 
     TOTAL CORPORATE BONDS (Cost $4,154,222)         4,160,364 

 

 

CATALYST/MAP GLOBAL BALANCED FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Principal      Coupon Rate       
Amount($)      (%)  Maturity  Fair Value 
     U.S. GOVERNMENT & AGENCIES 9.2%           
     U.S. TREASURY NOTES — 9.2%           
 1,000,000   United States Treasury Note  0.3750  07/15/24  $985,864 
 405,000   United States Treasury Note  2.5000  01/31/25   396,394 
     TOTAL U.S. GOVERNMENT & AGENCIES (Cost $1,384,431)         1,382,258 
                 
     CERTIFICATE OF DEPOSIT — 8.0%           
     BANKING - 8.0%           
 125,000   American Express National Bank  5.2500  03/24/25   125,161 
 175,000   Charles Schwab Bank SSB  5.4000  09/23/24   174,835 
 220,000   Comerica Bank-Texas  5.2500  09/30/24   219,905
 220,000   Customers Bank  5.2500  07/01/24   219,923 
 235,000   Hancock Whitney Bank/Gulfport MS  5.2500  05/24/24   234,901 
 230,000   S&T Bank  5.3000  06/14/24   229,882 
     TOTAL CERTIFICATE OF DEPOSIT (Cost $1,205,000)         1,204,607 

 

Shares        
     SHORT-TERM INVESTMENT — 1.5%     
     MONEY MARKET FUND - 1.5%     
 221,286   First American Treasury Obligations Fund, Class X, 5.22% (Cost $221,286)(d)   221,286 
           
     TOTAL INVESTMENTS - 99.4% (Cost $13,793,846)  $14,948,492 
     CALL OPTIONS WRITTEN - (0.1)% (Proceeds - $4,933)   (8,015)
     OTHER ASSETS IN EXCESS OF LIABILITIES - 0.7%   108,341 
     NET ASSETS - 100.0%  $15,048,818 

 

 

CATALYST/MAP GLOBAL BALANCED FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Contracts(e)      Counterparty  Expiration
Date
  Exercise
Price
   Notional
Value
   Fair Value 
     WRITTEN EQUITY OPTIONS - (0.1)%               
     CALL OPTIONS WRITTEN- (0.1)%               
 35   eBay, Inc.  PER  07/19/2024  $55   $184,730   $8,015 
                           
     TOTAL CALL OPTIONS WRITTEN (Proceeds - $4,933)           

  

ADR - American Depositary Receipt
   
A.G. - Aktiengesellschaft
   
LLC - Limited Liability Company
   
Ltd. - Limited Company
   
N.V. - Naamioze Vennootschap
   
PER - Pershing
   
PLC - Public Limited Company
   
P.T. - Perseroan Terbatas
   
S.A. - Société Anonyme
   
S.E. - Societas Europea
   
SPDR - Standard & Poor’s Depositary Receipt

  

(a) The value of this security has been determined in good faith under policies of the Board of Trustees.
   
(b) All or a portion of this security is segregated as collateral for and is subject to call options written.
   
(c) Non-income producing security.
   
(d) Rate disclosed is the seven-day effective yield as of March 31, 2024.
   
(e) Each option contract allows the holder of the option to purchase or sell 100 shares of the underlying security.

 

 

CATALYST/MILLBURN HEDGE STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024

 

Shares      Fair Value 
     EXCHANGE-TRADED FUNDS 51.1%     
     EQUITY - 51.1%     
 1,778,007   Dimensional Emerging Core Equity Market ETF  $43,952,333 
 1,552,392   Dimensional International Core Equity 2 ETF   41,526,486 
 3,025,783   Dimensional US Core Equity 2 ETF   96,673,767 
 1,043,052   Dimensional US High Profitability ETF   32,970,874 
 7,306,979   iShares Core S&P Mid-Cap ETF   443,825,904 
 2,121,096   iShares Core S&P Small-Cap ETF   234,423,530 
 724,113   iShares MSCI Australia ETF   17,856,627 
 530,401   iShares MSCI Brazil ETF   17,195,600 
 479,996   iShares MSCI Canada ETF   18,374,247 
 208,790   iShares MSCI France ETF   8,645,994 
 636,936   iShares MSCI Hong Kong ETF   9,904,355 
 2,052,086   iShares MSCI India ETF   105,867,117 
 1,345,479   iShares MSCI Intl Quality Factor ETF   53,361,697 
 762,629   iShares MSCI Japan ETF   54,413,579 
 200,363   iShares MSCI Malaysia ETF   4,365,910 
 253,313   iShares MSCI Mexico ETF   17,557,124 
 452,204   iShares MSCI Singapore ETF   8,302,465 
 135,068   iShares MSCI South Africa ETF   5,290,614 
 287,796   iShares MSCI Spain ETF   9,258,397 
 484,989   iShares MSCI Switzerland ETF   23,085,476 
 1,109,028   iShares MSCI Taiwan ETF   53,987,483 
 84,085   iShares MSCI Thailand ETF   4,911,405 
 110,689   iShares MSCI Turkey ETF   3,978,163 
 1,553,053   iShares MSCI United Kingdom ETF   53,129,943 
 3,476,657   iShares MSCI USA Min Vol Factor ETF   290,578,992 
 221,106   iShares MSCI USA Quality Factor ETF   36,338,771 
 1,547,720   iShares Russell 1000 ETF, EQUITY   445,789,792 
 1,461,619   iShares Russell 2000 ETF   307,378,476 
 697,781   iShares Russell Mid-Cap ETF, EQUITY   58,676,404 
 510,691   SPDR S&P 500 ETF Trust   267,127,141 
 6,743,930   Vanguard FTSE Emerging Markets ETF   281,693,956 
 99,023   Vanguard FTSE Europe ETF   6,668,209 
 435,581   Vanguard Large-Cap ETF   104,434,901 
 386,008   Vanguard Mid-Cap ETF   96,447,959 

 

 

CATALYST/MILLBURN HEDGE STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

  

Shares      Fair Value 
     EXCHANGE-TRADED FUNDS — 51.1% (Continued)     
     EQUITY - 51.1% (Continued)     
 1,072,790   Vanguard Real Estate ETF  $92,774,879 
 253,480   Vanguard S&P 500 ETF   121,847,836 
 319,470   Vanguard Small-Cap ETF   73,027,647 
 405,247   WisdomTree India Earnings Fund   17,652,559 
         3,563,296,612 
           
     TOTAL EXCHANGE-TRADED FUNDS (Cost $2,732,501,354)   3,563,296,612 

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity    
     U.S. GOVERNMENT & AGENCIES — 34.7%           
     U.S. TREASURY NOTES — 34.7%           
 727,535,000   United States Treasury Note(c)(d)  2.5000  05/15/24   725,015,306 
 981,436,000   United States Treasury Note(c)(d)  2.3750  08/15/24   970,671,453 
 735,000,000   United States Treasury Note(c)(d)  2.2500  11/15/24   721,699,947 
               2,417,386,706 
     TOTAL U.S. GOVERNMENT & AGENCIES (Cost $2,418,387,748)         2,417,386,706 

 

Shares        
     SHORT-TERM INVESTMENTS — 11.7%     
     MONEY MARKET FUNDS - 11.7%     
 818,348,856   First American Treasury Obligations Fund, Class X, 5.22%(a)(c)   818,348,856 
           
     TOTAL SHORT-TERM INVESTMENTS (Cost $818,348,856)   818,348,856 
           
     TOTAL INVESTMENTS - 97.5% (Cost $5,969,237,958)  $6,799,032,174 
     OTHER ASSETS IN EXCESS OF LIABILITIES - 2.5%   175,322,432 
     NET ASSETS - 100.0%  $6,974,354,606 

  

OPEN FUTURES CONTRACTS 
Number of
Contracts
   Open Long Futures Contracts  Expiration  Notional
Amount(b)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 277   CBOE Volatility Index Future(c)  04/17/2024  $3,980,130   $(131,170)
 2,093   CBOT Corn Future(c)  05/14/2024   46,255,300    1,088,162 

 

 

CATALYST/MILLBURN HEDGE STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

OPEN FUTURES CONTRACTS (Continued) 
Number of
Contracts
   Open Long Futures Contracts  Expiration  Notional
Amount(b)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 592   CBOT Soybean Future(c)  05/14/2024  $35,268,400   $464,650 
 472   CME Canadian Dollar Currency Future  06/18/2024   34,899,680    99,410 
 148   CME E-mini Russell 2000 Index Futures  06/21/2024   15,879,660    (3,150)
 243   CME Live Cattle Future(c)  06/28/2024   17,520,300    (22,220)
 1,035   CME Mexican Peso Currency Future  06/17/2024   30,765,375    337,140 
 599   COMEX Gold 100 Troy Ounces Future(c)  06/26/2024   134,080,160    201,950 
 14   Eurex DAX Index Future  06/21/2024   7,089,105    3,398 
 2,422   Euronext CAC 40 Index Future  04/19/2024   214,857,789    1,071,961 
 411   FTSE 100 Index Future  06/21/2024   41,435,614    152,131 
 149   FTX Taiwan Stock Exchange Capitalization Weighted  04/17/2024   18,803,123    (20,021)
 960   HKG Hang Seng China Enterprises Index Future  04/29/2024   35,655,450    (189,999)
 364   HKG Hang Seng Index Future  04/29/2024   38,530,403    (104,186)
 5,573   ICE Brent Crude Oil Future(c)  04/30/2024   484,851,000    10,192,630 
 1,737   ICE Brent Crude Oil Future(c)  05/31/2024   149,642,550    3,550,450 
 467   ICE Brent Crude Oil Future(c)  06/28/2024   39,858,450    1,081,950 
 333   ICE Brent Crude Oil Future(c)  07/31/2024   28,161,810    710,140 
 192   ICE Brent Crude Oil Future(c)  08/30/2024   16,091,520    398,180 
 116   ICE Brent Crude Oil Future(c)  09/30/2024   9,640,760    127,150 
 349   KCBT Hard Red Winter Wheat Future(c)  05/14/2024   10,212,613    138,475 
 1,688   KFE KOSPI 200 Index Future  06/13/2024   117,523,739    266,182 
 298   MEFF Madrid IBEX 35 Index Future  04/19/2024   35,577,085    1,847,959 
 134   Montreal Exchange S&P/TSX 60 Index Future  06/20/2024   26,542,372    206,530 
 150   NYBOT CSC C Coffee Future(c)  05/20/2024   10,622,813    66,488 
 143   NYBOT CTN Number 2 Cotton Future(c)  05/08/2024   6,533,670    (141,820)
 1,155   NYMEX Henry Hub Natural Gas Futures(c)  04/26/2024   20,362,650    (141,190)
 328   NYMEX Henry Hub Natural Gas Futures(c)  05/29/2024   6,550,160    27,850 
 4,202   NYMEX Light Sweet Crude Oil Future(c)  04/22/2024   349,480,340    16,199,660 
 1,258   NYMEX Light Sweet Crude Oil Future(c)  05/21/2024   103,684,360    3,407,920 
 404   NYMEX Light Sweet Crude Oil Future(c)  06/20/2024   32,994,680    1,051,910 
 167   NYMEX Light Sweet Crude Oil Future(c)  07/22/2024   13,508,630    503,320 
 129   NYMEX Light Sweet Crude Oil Future(c)  08/20/2024   10,331,610    288,120 
 61   NYMEX Light Sweet Crude Oil Future(c)  09/20/2024   4,836,690    79,920 
 36   NYMEX Platinum Future(c)  07/29/2024   1,657,980    1,535 
 329   NYMEX Reformulated Gasoline Blendstock for Oxygen(c)  04/30/2024   37,593,251    303,412 
 179   NYMEX Reformulated Gasoline Blendstock for Oxygen(c)  05/31/2024   20,212,143    117,222 
 135   NYMEX Reformulated Gasoline Blendstock for Oxygen(c)  06/28/2024   15,002,253    193,217 
 76   NYMEX Reformulated Gasoline Blendstock for Oxygen(c)  07/31/2024   8,268,557    124,282 
 985   OSE Nikkei 225 Index Future  06/13/2024   261,753,166    4,365,292 
 749   SFE S&P ASX Share Price Index 200 Future  06/20/2024   97,017,122    611,593 
 1,396   SGX FTSE China A50 Futures Contract  04/29/2024   16,919,520    (59,248)
 272   SGX FTSE Taiwan Index Futures  04/29/2024   18,768,000    10,440 
 573   SGX Nikkei 225 Stock Index Future  06/13/2024   76,030,210    1,853,296 
 30   TSE Japanese 10 Year Bond Futures  06/13/2024   28,908,309    8,588 
 1,871   TSE TOPIX (Tokyo Price Index) Future  06/13/2024   339,807,681    6,054,425 
 550   TTF Natural Gas Base Load Monthly Futures(c)  04/29/2024   12,068,531    (224,896)
     TOTAL LONG FUTURES CONTRACTS          $56,169,038 

 

 

CATALYST/MILLBURN HEDGE STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

OPEN FUTURES CONTRACTS (Continued) 
Number of
Contracts
   Open Short Futures Contracts  Expiration  Notional
Amount(b)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 4,104   3 Month Euro Euribor Future  03/17/2025  $1,075,971,844   $3,024,522 
 890   3 Month Euro Euribor Future  03/16/2026   234,429,072    (124,598)
 3,132   3 Month Euro Euribor Future  06/16/2025   822,741,262    1,469,934 
 296   3 Month Euro Euribor Future  06/15/2026   77,987,379    (67,246)
 1,970   3 Month Euro Euribor Future  09/15/2025   518,214,132    600,861 
 3,790   3 Month Euro Euribor Future  12/16/2024   991,195,388    3,825,689 
 1,601   3 Month Euro Euribor Future  12/15/2025   421,514,631    13,117 
 3,645   BMF Ibovespa Index Future  04/17/2024   93,604,397    1,771,424 
 319   Carbon Emissions Future(c)  12/16/2024   21,266,667    150,980 
 337   CBOE Volatility Index Future(c)  06/18/2024   5,442,045    (44,545)
 658   CBOE Volatility Index Future(c)  05/22/2024   10,145,373    (149,823)
 2,988   CBOT 10 Year US Treasury Note  06/18/2024   331,061,063    2,211,250 
 20,129   CBOT 2 Year US Treasury Note Future  06/28/2024   4,116,066,004    4,427,223 
 11,196   CBOT 5 Year US Treasury Note  06/28/2024   1,198,146,938    386,292 
 195   CBOT Soybean Meal Future(c)  05/14/2024   6,585,150    43,590 
 200   CBOT Soybean Oil Future(c)  05/14/2024   5,754,000    39,522 
 2,377   CBOT US Treasure Bond Futures  06/18/2024   286,279,938    2,647,000 
 42   CBOT Wheat Future(c)  05/14/2024   1,176,525    (13,850)
 1,137   CME Australian Dollar Currency Future  06/17/2024   74,280,210    1,110,450 
 280   CME British Pound Currency Future  06/17/2024   22,097,250    123,656 
 516   CME E-Mini NASDAQ 100 Index Future  06/21/2024   190,662,000    1,581,550 
 473   CME E-Mini Standard & Poor’s 500 Index Future  06/21/2024   125,546,025    92,350 
 292   CME E-Mini Standard & Poor’s MidCap 400 Index  06/21/2024   89,860,080    (1,602,180)
 1,259   CME Euro Foreign Exchange Currency Future  06/17/2024   170,303,356    989,270 
 1,865   CME Japanese Yen Currency Future  06/17/2024   155,855,719    3,303,781 
 216   CME Lean Hogs Future(c)  06/14/2024   8,765,280    18,610 
 173   CME New Zealand Dollar Currency Future  06/17/2024   10,336,750    102,160 
 87   CME Swiss Franc Currency Future  06/17/2024   12,160,425    196,356 
 1,403   COMEX Copper Future(c)  05/29/2024   140,545,525    903,387 
 1,041   COMEX Silver Future(c)  05/29/2024   129,687,780    397,845 
 300   E-mini Dow Jones Industrial Average Index Futures  06/21/2024   60,264,000    (374,235)
 2,835   Eurex 10 Year Euro BUND Future  06/06/2024   407,909,709    (756,604)
 13,295   Eurex 2 Year Euro SCHATZ Future  06/06/2024   1,515,945,523    (85,950)
 1,396   Eurex 30 Year Euro BUXL Future  06/06/2024   204,505,717    (1,479,521)
 12,246   Eurex 5 Year Euro BOBL Future  06/06/2024   1,562,124,594    (4,022,670)
 2,520   Eurex EURO STOXX 50 Future  06/21/2024   137,145,631    (1,208,557)
 3,291   Euro-BTP Italian Bond Futures  06/06/2024   422,504,757    802,346 
 1,321   French Government Bond Futures  06/06/2024   182,645,707    168,475 

 

 

CATALYST/MILLBURN HEDGE STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

OPEN FUTURES CONTRACTS (Continued) 
Number of
Contracts
   Open Short Futures Contracts (Continued)  Expiration  Notional
Amount(b)
  

Value and
Unrealized
Appreciation
(Depreciation)

 
 216   FTSE/MIB Index Future  06/21/2024  $39,844,660   $(788,658)
 118   ICE Gas Oil Future(c)  07/11/2024   9,413,450    (85,925)
 913   ICE Gas Oil Future(c)  05/10/2024   73,770,400    (381,524)
 801   ICE Gas Oil Future(c)  06/12/2024   64,240,200    (451,750)
 722   ICE US mini MSCI EAFE Index Futures  06/21/2024   85,091,310    74,540 
 1,426   ICE US MSCI Emerging Markets EM Index Futures  06/21/2024   74,793,700    (243,130)
 309   IFSC NIFTY 50 Index Futures  04/25/2024   13,893,567    (105,042)
 119   LME Copper Future(c)  06/17/2024   26,356,447    69,072 
 107   LME Lead Future(c)  06/17/2024   5,490,491    92,019 
 9   LME Nickel Future(c)  06/17/2024   903,977    (5,232)
 357   LME Primary Aluminum Future(c)  06/17/2024   20,836,662    (488,811)
 91   LME Zinc Future(c)  06/17/2024   5,540,012    (43,920)
 1,007   Long Gilt Future  06/26/2024   127,017,253    (325,202)
 1,896   Montreal Exchange 10 Year Canadian Bond Future  06/19/2024   168,459,296    313,500 
 44   NYBOT CSC Cocoa Future(c)  05/15/2024   4,297,040    (84,500)
 463   NYBOT CSC Number 11 World Sugar Future(c)  04/30/2024   11,677,972    (493,562)
 122   NYMEX Henry Hub Natural Gas Futures(c)  06/26/2024   2,854,800    (41,680)
 152   NYMEX Henry Hub Natural Gas Futures(c)  07/29/2024   3,711,840    (20,830)
 111   NYMEX Henry Hub Natural Gas Futures(c)  08/28/2024   2,705,070    (23,630)
 41   NYMEX NY Harbor ULSD Futures(c)  07/31/2024   4,508,024    (27,057)
 58   NYMEX NY Harbor ULSD Futures(c)  06/28/2024   6,378,666    (45,339)
 272   NYMEX NY Harbor ULSD Futures(c)  04/30/2024   29,961,725    (180,869)
 272   NYMEX NY Harbor ULSD Futures(c)  05/31/2024   29,927,453    (199,845)
 233   SAFEX FTSE/JSE Top 40 Index Future  06/20/2024   8,479,135    (256,587)
 1,504   SFE 10 Year Australian Bond Future  06/17/2024   114,251,283    (548,669)
 2,049   SFE 3 Year Australian Bond Future  06/17/2024   142,751,931    (187,983)
 6,123   TEF SET50 Index Future  06/27/2024   27,970,813    125,286 
 69   Three Month SONIA Index Futures  06/17/2025   20,869,903    1,730 
 130   Three Month SONIA Index Futures  06/16/2026   39,543,656    (5,004)
 187   Three Month SONIA Index Futures  09/16/2025   56,678,467    (30,171)
 98   Three Month SONIA Index Futures  09/15/2026   29,828,386    (23,460)
 180   Three Month SONIA Index Futures  12/16/2025   54,642,005    (15,386)
 519   Three Month SONIA Index Futures  03/18/2025   156,560,382    (15,638)
 195   Three Month SONIA Index Futures  03/17/2026   59,266,262    15,316 
 2,063   Three-Month SOFR Futures  12/16/2025   495,738,900    1,550,700 
 2,013   Three-Month SOFR Futures  03/18/2025   480,251,475    2,289,550 
 897   Three-Month SOFR Futures  09/15/2026   216,120,938    15,337 
 970   Three-Month SOFR Futures  03/17/2026   233,394,125    928,025 
 941   Three-Month SOFR Futures  06/16/2026   226,604,563    450,500 
 2,353   Three-Month SOFR Futures  06/17/2025   562,955,250    2,400,263 
 2,354   Three-Month SOFR Futures  09/16/2025   564,577,475    2,715,838 
 4,940   Ultra U.S. Treasury Bond Futures  06/18/2024   637,260,000    (3,194,437)
     TOTAL SHORT FUTURES CONTRACTS          $23,199,696 
     TOTAL FUTURES CONTRACTS          $79,368,734 

 

 

CATALYST/MILLBURN HEDGE STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Foreign Currency  Settlement Date  Counterparty  Local
Currency
   U.S. Dollar
Value
   Unrealized
Appreciation/
(Depreciation)
 
To Buy:                     
Canadian Dollar  04/01/2024  Deutsche Bank   112,030,000   $82,714,374   $38,824 
Israeli Shekel  04/01/2024  Bank Of America Merrill Lynch   31,120,000    8,461,810    (29,786)
Japanese Yen  04/01/2024  Deutsche Bank   16,436,000,001    108,567,993    (15,590)
Mexican Peso  04/01/2024  Deutsche Bank   481,460,000    28,961,395    95,281 
Singapore Dollar  04/01/2024  Bank Of America Merrill Lynch   44,090,000    32,654,178    (70,696)
Australian Dollar  04/02/2024  Bank Of America Merrill Lynch   166,490,000    108,490,810    (132,304)
British Pound  04/02/2024  Deutsche Bank   135,700,000    171,267,032    (55,558)
Euro  04/02/2024  Deutsche Bank   94,270,000    101,693,632    (353,389)
Mexican Peso  04/02/2024  Deutsche Bank   585,570,000    35,223,951    (48,449)
New Zealand Dollar  04/02/2024  Bank Of America Merrill Lynch   162,880,000    97,323,140    (393,817)
Norwegian Krone  04/02/2024  Bank Of America Merrill Lynch   459,710,000    42,338,056    (569,529)
Polish Zloty  04/02/2024  Bank Of America Merrill Lynch   18,720,000    4,686,209    (3,178)
Singapore Dollar  04/02/2024  Bank Of America Merrill Lynch   12,490,000    9,250,413    (5,072)
South African Rand  04/02/2024  Bank Of America Merrill Lynch   173,430,000    9,156,522    (10,767)
Swedish Krona  04/02/2024  Bank Of America Merrill Lynch   331,620,000    30,975,619    (284,807)
Swiss Franc  04/02/2024  Bank Of America Merrill Lynch   72,550,000    80,446,642    344,770 
Australian Dollar  04/03/2024  Bank Of America Merrill Lynch   62,420,000    40,676,267    (33,063)
British Pound  04/03/2024  Deutsche Bank   22,800,000    28,776,046    (6,831)
Euro  04/03/2024  Deutsche Bank   17,850,000    19,256,437    (22,441)
New Zealand Dollar  04/03/2024  Bank Of America Merrill Lynch   38,130,000    22,783,247    (28,898)
Norwegian Krone  04/03/2024  Bank Of America Merrill Lynch   440,450,000    40,565,462    (137,918)
South African Rand  04/03/2024  Bank Of America Merrill Lynch   544,740,000    28,758,111    43,758 
Swedish Krona  04/03/2024  Bank Of America Merrill Lynch   144,190,000    13,468,890    (24,252)
Swiss Franc  04/03/2024  Bank Of America Merrill Lynch   100,410,000    111,351,411    140,359 
Australian Dollar  04/17/2024  Bank Of America Merrill Lynch   751,820,000    490,124,683    (1,965,751)
Brazilian Real  04/17/2024  Bank Of America Merrill Lynch   1,753,300,000    349,094,149    (2,749,699)
British Pound  04/17/2024  Deutsche Bank   780,830,000    985,566,082    (6,293,895)
Canadian Dollar  04/17/2024  Deutsche Bank   942,750,000    696,207,098    262,907 
Chilean Peso  04/17/2024  Bank Of America Merrill Lynch   33,897,000,000    34,550,093    (273,394)
Euro  04/17/2024  Deutsche Bank   822,510,000    887,816,290    (8,053,229)
Israeli Shekel  04/17/2024  Bank Of America Merrill Lynch   221,760,000    60,333,232    (591,454)
Japanese Yen  04/17/2024  Deutsche Bank   97,457,000,002    645,227,420    (7,858,769)
Mexican Peso  04/17/2024  Deutsche Bank   5,374,240,000    322,513,937    3,200,188 
New Zealand Dollar  04/17/2024  Bank Of America Merrill Lynch   884,590,000    528,564,843    (7,987,571)
Norwegian Krone  04/17/2024  Bank Of America Merrill Lynch   3,010,430,000    277,375,753    (5,585,769)

 

 

CATALYST/MILLBURN HEDGE STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Foreign Currency  Settlement Date  Counterparty  Local
Currency
   U.S. Dollar
Value
   Unrealized
Appreciation/
(Depreciation)
 
To Buy: (continued)                     
Polish Zloty  04/17/2024  Bank Of America Merrill Lynch   1,054,400,000   $263,914,292   $(774,622)
Singapore Dollar  04/17/2024  Bank Of America Merrill Lynch   422,970,000    313,477,982    (2,359,136)
South African Rand  04/17/2024  Bank Of America Merrill Lynch   1,548,000,000    81,629,876    (550,966)
South Korean Won  04/17/2024  Bank Of America Merrill Lynch   113,150,000,000    83,921,205    (1,306,887)
Swedish Krona  04/17/2024  Bank Of America Merrill Lynch   2,177,170,000    203,485,192    (6,319,787)
Swiss Franc  04/17/2024  Bank Of America Merrill Lynch   793,170,000    880,967,181    (14,329,760)
Indian Rupee  04/18/2024  Bank Of America Merrill Lynch   580,700,000    6,961,075    (34,745)
British Pound  05/15/2024  Deutsche Bank   113,970,000    143,875,866    (107,069)
South African Rand  05/15/2024  Bank Of America Merrill Lynch   200,720,000    10,559,882    (18,536)
Swedish Krona  05/15/2024  Bank Of America Merrill Lynch   272,650,000    25,512,524    (217,607)
Swiss Franc  05/15/2024  Bank Of America Merrill Lynch   142,210,000    158,449,580    73,575 
              $8,707,975,882   $(65,405,329)
                      
To Sell:                     
Canadian Dollar  04/01/2024  Deutsche Bank   112,030,000   $82,714,372   $48,274 
Israeli Shekel  04/01/2024  Bank Of America Merrill Lynch   31,120,000    8,461,808    (18,065)
Japanese Yen  04/01/2024  Deutsche Bank   16,436,000,000    108,567,984    59,404 
Mexican Peso  04/01/2024  Deutsche Bank   481,460,000    28,961,394    (62,234)
Singapore Dollar  04/01/2024  Bank Of America Merrill Lynch   44,090,000    32,654,179    51,446 
Australian Dollar  04/02/2024  Bank Of America Merrill Lynch   166,490,000    108,490,811    160,460 
British Pound  04/02/2024  Deutsche Bank   135,700,000    171,267,021    97,190 
Euro  04/02/2024  Deutsche Bank   94,270,000    101,693,636    330,638 
Mexican Peso  04/02/2024  Deutsche Bank   585,570,000    35,223,949    64,909 
New Zealand Dollar  04/02/2024  Bank Of America Merrill Lynch   162,880,000    97,323,136    398,349 
Norwegian Krone  04/02/2024  Bank Of America Merrill Lynch   459,710,000    42,338,055    422,678 
Polish Zloty  04/02/2024  Bank Of America Merrill Lynch   18,720,000    4,686,209    5,168 
Singapore Dollar  04/02/2024  Bank Of America Merrill Lynch   12,490,000    9,250,411    13,937 
South African Rand  04/02/2024  Bank Of America Merrill Lynch   173,430,000    9,156,521    21,078 
Swedish Krona  04/02/2024  Bank Of America Merrill Lynch   331,620,000    30,975,617    266,001 
Swiss Franc  04/02/2024  Bank Of America Merrill Lynch   72,550,000    80,446,643    (324,755)
Australian Dollar  04/03/2024  Bank Of America Merrill Lynch   62,420,000    40,676,268    (70,956)
British Pound  04/03/2024  Deutsche Bank   22,800,000    28,776,045    30,052 
Euro  04/03/2024  Deutsche Bank   17,850,000    19,256,437    3,519 
New Zealand Dollar  04/03/2024  Bank Of America Merrill Lynch   38,130,000    22,783,249    (5,147)
Norwegian Krone  04/03/2024  Bank Of America Merrill Lynch   440,450,000    40,565,463    137,749 
South African Rand  04/03/2024  Bank Of America Merrill Lynch   544,740,000    28,758,111    (108,428)
Swedish Krona  04/03/2024  Bank Of America Merrill Lynch   144,190,000    13,468,892    16,599 
Swiss Franc  04/03/2024  Bank Of America Merrill Lynch   100,410,000    111,351,405    98,858 
Australian Dollar  04/17/2024  Bank Of America Merrill Lynch   1,189,710,000    775,592,876    6,063,473 
Brazilian Real  04/17/2024  Bank Of America Merrill Lynch   874,350,000    174,089,135    535,171 
British Pound  04/17/2024  Deutsche Bank   780,830,000    985,566,081    5,388,722 
Canadian Dollar  04/17/2024  Deutsche Bank   924,810,000    682,958,670    1,747,761 
Chilean Peso  04/17/2024  Bank Of America Merrill Lynch   37,678,999,999    38,404,961    259,226 
Euro  04/17/2024  Deutsche Bank   1,161,630,000    1,253,861,998    7,987,789 
Israeli Shekel  04/17/2024  Bank Of America Merrill Lynch   124,030,000    33,744,276    153,549 
Japanese Yen  04/17/2024  Deutsche Bank   172,880,999,992    1,144,582,339    24,659,433 
Mexican Peso  04/17/2024  Deutsche Bank   1,765,510,000    105,950,158    (1,623,364)
New Zealand Dollar  04/17/2024  Bank Of America Merrill Lynch   884,590,000    528,564,840    10,363,709 
Norwegian Krone  04/17/2024  Bank Of America Merrill Lynch   4,428,559,999    408,039,768    11,548,610 

 

 

CATALYST/MILLBURN HEDGE STRATEGY FUND
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Foreign Currency  Settlement Date  Counterparty  Local
Currency
   U.S. Dollar
Value
   Unrealized
Appreciation/(
Depreciation)
 
To Sell: (continued)                     
Polish Zloty  04/17/2024  Bank Of America Merrill Lynch   370,710,000   $92,788,001   $1,551,420 
Singapore Dollar  04/17/2024  Bank Of America Merrill Lynch   422,970,000    313,477,982    2,367,504 
South African Rand  04/17/2024  Bank Of America Merrill Lynch   1,548,000,000    81,629,875    583,768 
South Korean Won  04/17/2024  Bank Of America Merrill Lynch   148,094,999,967    109,839,247    1,615,688 
Swedish Krona  04/17/2024  Bank Of America Merrill Lynch   2,177,170,000    203,485,193    8,085,062 
Swiss Franc  04/17/2024  Bank Of America Merrill Lynch   793,170,000    880,967,178    10,773,020 
Indian Rupee  04/18/2024  Bank Of America Merrill Lynch   12,610,300,000    151,164,546    225,579 
New Zealand Dollar  05/15/2024  Bank Of America Merrill Lynch   660,000    394,379    265 
Singapore Dollar  05/15/2024  Bank Of America Merrill Lynch   66,580,000    49,407,947    93,053 
South African Rand  05/15/2024  Bank Of America Merrill Lynch   544,740,000    28,658,778    (42,235)
Swedish Krona  05/15/2024  Bank Of America Merrill Lynch   176,280,000    16,494,948    86,028 
              $9,317,510,792   $94,059,955 
                      
Total                  $28,654,626 

 

ETF - Exchange-Traded Fund
   
MSCI - Morgan Stanley Capital International
   
SPDR - Standard & Poor’s Depositary Receipt
   
(a) Rate disclosed is the seven day effective yield as of March 31, 2024.
   
(b) The amounts shown are the underlying reference notional amounts to stock exchange indices and equities upon which the fair value of the futures contracts held by the Fund are based. Notional values do not represent the current fair value of, and are not necessarily indicative of the future cash flows of the Fund’s futures contracts. Further, the underlying price changes in relation to the variables specified by the notional values affects the fair value of these derivative financial instruments. The notional values as set forth within this schedule do not purport to represent economic value at risk to the Fund.
   
(c) All or a portion of this investment is a holding of the CMHSF Fund Limited.
   
(d) Held as collateral for futures.

 

 

CATALYST DYNAMIC ALPHA FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024

 

Shares      Fair Value 
     COMMON STOCKS — 99.1%     
     AEROSPACE & DEFENSE - 5.5%     
 30,725   Textron, Inc.  $2,947,449 
 3,475   TransDigm Group, Inc.   4,279,810 
         7,227,259 
     APPAREL & TEXTILE PRODUCTS - 4.2%     
 5,855   Deckers Outdoor Corporation(a)   5,511,077 
           
     ASSET MANAGEMENT - 3.5%     
 40,625   Apollo Global Management, Inc.   4,568,280 
           
     AUTOMOTIVE - 2.3%     
 106,550   Stellantis N.V.(b)   3,015,365 
           
     BANKING - 2.1%     
 69,000   HSBC Holdings plc - ADR(b)   2,715,840 
           
     BIOTECH & PHARMA - 6.9%     
 37,000   Merck & Company, Inc.   4,882,150 
 9,900   Vertex Pharmaceuticals, Inc.(a)   4,138,299 
         9,020,449 
     CONSTRUCTION MATERIALS - 2.8%     
 5,885   Martin Marietta Materials, Inc.   3,613,037 
           
     E-COMMERCE DISCRETIONARY - 1.9%     
 14,000   Amazon.com, Inc.(a)   2,525,320 
           
     ELECTRICAL EQUIPMENT - 4.0%     
 34,225   Amphenol Corporation, Class A   3,947,854 
 22,360   NEXTracker, Inc.(a)   1,258,197 
         5,206,051 
     ENGINEERING & CONSTRUCTION - 7.5%     
 38,050   Quanta Services, Inc.   9,885,390 

 

 

CATALYST DYNAMIC ALPHA FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Shares      Fair Value 
     COMMON STOCKS — 99.1% (Continued)     
     HEALTH CARE FACILITIES & SERVICES - 4.5%     
 24,200   Cencora, Inc.  $5,880,358 
           
     INSTITUTIONAL FINANCIAL SERVICES - 1.9%     
 13,050   Evercore, Inc., Class A   2,513,300 
           
     INSURANCE - 2.8%     
 41,825   Brown & Brown, Inc.   3,661,361 
           
     OIL & GAS PRODUCERS - 2.9%     
 23,300   Phillips 66   3,805,822 
           
     RETAIL - CONSUMER STAPLES - 2.5%     
 4,335   Costco Wholesale Corporation   3,175,951 
           
     RETAIL - DISCRETIONARY - 7.5%     
 46,725   Builders FirstSource, Inc.(a)   9,744,499 
           
     SEMICONDUCTORS - 7.5%     
 24,475   Advanced Micro Devices, Inc.(a)   4,417,493 
 7,750   KLA Corporation   5,413,917 
         9,831,410 
     SOFTWARE - 9.1%     
 4,625   Intuit, Inc.   3,006,250 
 12,400   Microsoft Corporation   5,216,929 
 4,780   ServiceNow, Inc.(a)   3,644,272 
         11,867,451 
     SPECIALTY REITS - 2.8%     
 46,425   Iron Mountain, Inc.   3,723,749 
           
     TECHNOLOGY HARDWARE - 8.2%     
 128,750   Flex Ltd.(a)   3,683,538 
 11,930   Motorola Solutions, Inc.   4,234,911 
 53,825   Pure Storage, Inc., Class A(a)   2,798,362 
         10,716,811 

 

 

CATALYST DYNAMIC ALPHA FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

Shares      Fair Value 
     COMMON STOCKS — 99.1% (Continued)     
     TECHNOLOGY SERVICES - 5.2%     
 22,450   Booz Allen Hamilton Holding Corporation  $3,332,478 
 12,400   Visa, Inc., Class A(b)   3,460,592 
         6,793,070 
     TRANSPORTATION & LOGISTICS - 1.6%     
 28,800   Scorpio Tankers, Inc.   2,060,640 
           
     WHOLESALE - CONSUMER STAPLES - 1.9%     
 46,700   US Foods Holding Corporation(a)   2,520,399 
           
     TOTAL COMMON STOCKS (Cost $82,242,438)   129,582,889 
           
     SHORT-TERM INVESTMENTS — 7.8%     
     COLLATERAL FOR SECURITIES LOANED - 6.8%     
 8,988,120   Mount Vernon Liquid Assets Portfolio, LLC, 5.44% (Cost $8,988,120)(c)(d)(e)   8,988,120 
           
     MONEY MARKET FUND - 1.0%     
 1,261,265   First American Treasury Obligations Fund, Class X, 5.22% (Cost $1,261,265)(c)   1,261,265 
           
     TOTAL SHORT-TERM INVESTMENTS (Cost $10,249,385)   10,249,385 
           
     TOTAL INVESTMENTS - 106.9% (Cost $92,491,823)  $139,832,274 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (6.9)%   (8,993,633)
     NET ASSETS - 100.0%  $130,838,641 

 

ADR - American Depositary Receipt
   
LLC - Limited Liability Company
   
LTD - Limited Company
   
PLC - Public Limited Company
   
REIT - Real Estate Investment Trust
   
(a) Non-income producing security.
   
(b) All or a portion of the security is on loan. Total loaned securities had a value of $8,711,944 at March 31, 2024.
   
(c) Rate disclosed is the seven day effective yield as of March 31, 2024.
   
(d) Mutual Fund Series Trust’s securities lending policies and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.
   
(e) Security was purchased with cash received as collateral for securities on loan at March 31, 2024. Total collateral had a value of $8,988,120 at March 31, 2024.

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024
 
Shares      Fair Value 
     EXCHANGE-TRADED FUNDS — 3.3%     
     FIXED INCOME - 3.3%     
 425,928   Invesco Senior Loan ETF  $9,008,377 
 111,697   SPDR Blackstone Senior Loan ETF   4,703,561 
         13,711,938 
           
     TOTAL EXCHANGE-TRADED FUNDS (Cost $13,555,968)   13,711,938 
           
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity    
    ASSET BACKED SECURITIES — 6.3%          
    CLO — 6.3%          
 500,000   Alinea CLO Ltd. Series 2018-1 E(a),(b)  TSFR3M + 6.262%  11.5790  07/20/31   487,025 
 500,000   Apidos CLO XXX D(a),(b)  TSFR3M + 5.862%  11.1600  10/18/31   490,701 
 750,000   ARES XLV CLO Ltd. Series 2017-45A E(a),(b)  TSFR3M + 6.362%  11.6760  10/15/30   744,929 
 500,000   ARES XLVII CLO Ltd. Series 2018-47A E(a),(b)  TSFR3M + 5.762%  11.0760  04/15/30   483,750 
 1,000,000   Bardot CLO Ltd. Series 2019-2A ER(a),(b)  TSFR3M + 6.562%  11.8790  10/22/32   976,671 
 500,000   BlueMountain CLO Ltd. Series 2018-3A E(a),(b)  TSFR3M + 6.212%  11.5360  10/25/30   469,625 
 500,000   BlueMountain CLO XXII Ltd. Series 2018-22A E(a),(b)  TSFR3M + 5.312%  10.6260  07/15/31   450,614 
 500,000   BlueMountain Fuji US Clo I Ltd. Series 2017-1A E(a),(b)  TSFR3M + 6.262%  11.5790  07/20/29   472,315 
 500,000   Carbone Clo Ltd. Series 2017-1A D(a),(b)  TSFR3M + 6.162%  11.4790  01/20/31   487,454 
 500,000   Carlyle Global Market Strategies CLO Ltd. Series 2014-1A ER(a),(b)  TSFR3M + 5.662%  10.9780  04/17/31   467,464 
 500,000   Carlyle Global Market Strategies CLO Ltd. Series 2017-1A D(a),(b)  TSFR3M + 6.262%  11.5790  04/20/31   475,984 
 500,000   CARLYLE US CLO Ltd. Series 2017-5A D(a),(b)  TSFR3M + 5.562%  10.8790  01/20/30   472,625 
 1,000,000   Catskill Park CLO Ltd. Series 2017-1A(a),(b)  TSFR3M + 6.262%  11.5790  04/20/29   998,103 
 1,000,000   Cook Park CLO Ltd. Series 2018-1A E(a),(b)  TSFR3M + 5.662%  10.9780  04/17/30   951,434 
 500,000   Flatiron Clo 17 Ltd. Series 2017-1A ER(a),(b)  TSFR3M + 6.162%  11.4690  05/15/30   499,906 
 500,000   Galaxy XV CLO Ltd. Series 2013-15A ER(a),(b)  TSFR3M + 6.907%  12.2210  10/15/30   494,020 
 500,000   Galaxy XXI CLO Ltd. Series 2015-21A ER(a),(b)  TSFR3M + 5.512%  10.8290  04/20/31   491,875 
 500,000   GoldenTree Loan Management US CLO 1 Ltd. Series 2021-9A E(a),(b)  TSFR3M + 5.012%  10.3290  01/20/33   479,812 
 500,000   GoldenTree Loan Management US CLO 2 Ltd. Series 2017-2A E(a),(b)  TSFR3M + 4.962%  10.2790  11/28/30   500,304 
 750,000   GoldenTree Loan Opportunities X Ltd. Series 2015-10A ER(a),(b)  TSFR3M + 5.912%  11.2290  07/20/31   751,760 
 500,000   Grippen Park CLO Ltd. Series 2017-1A E(a),(b)  TSFR3M + 5.962%  11.2790  01/20/30   499,274 
 500,000   Harbor Park CLO Ltd. Series 2018-1A E(a),(b)  TSFR3M + 5.862%  11.1790  01/20/31   497,290 
 500,000   KKR Financial CLO Ltd. Series 2013-1 DR(a),(b)  TSFR3M + 6.342%  11.6560  04/15/29   499,975 
 500,000   Magnetite XV Ltd. Series 2015-15A ER(a),(b)  TSFR3M + 5.462%  10.7860  07/25/31   485,315 
 500,000   Neuberger Berman CLO XVIII Ltd. Series 2014-18A DR2(a),(b)  TSFR3M + 6.182%  11.4990  10/21/30   487,354 

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
    ASSET BACKED SECURITIES — 6.3% (Continued)          
     CLO — 6.3% (Continued)              
 500,000   Neuberger Berman Loan Advisers CLO Ltd. Series 2018-27A E(a),(b)  TSFR3M + 5.462%  10.7760  01/15/30  $479,585 
 750,000   Neuberger Berman Loan Advisers CLO Ltd. Series 2017-24A E(a),(b)  TSFR3M + 6.282%  11.5910  04/19/30   730,865 
 1,000,000   Neuberger Berman Loan Advisers CLO Ltd. Series 2017-26A E(a),(b)  TSFR3M + 6.162%  11.4600  10/18/30   970,644 
 500,000   Octagon Investment Partners 26 Ltd. Series 2016-1A ER(a),(b)  TSFR3M + 5.662%  10.9760  07/15/30   453,582 
 500,000   Octagon Investment Partners 37 Ltd. Series 2018-2A D(a),(b)  TSFR3M + 5.662%  10.9860  07/25/30   474,409 
 500,000   Octagon Investment Partners Ltd. Series 2018-18A C(a),(b)  TSFR3M + 2.962%  8.2760  04/16/31   485,487 
 500,000   Octagon Investment Partners XVII Ltd. Series 2013-1A ER2(a),(b)  TSFR3M + 5.412%  10.7360  01/25/31   451,027 
 500,000   Octagon Investment Partners XXII Ltd. Series 2014-1A ERR(a),(b)  TSFR3M + 5.712%  11.0290  01/22/30   475,176 
 500,000   OHA Credit Partners XV Ltd. Series 2017-15A E(a),(b)  TSFR3M + 5.562%  10.8790  01/20/30   500,000 
 500,000   Palmer Square CLO Ltd. Series 2014-1A DR2(a),(b)  TSFR3M + 5.962%  11.2780  01/17/31   500,313 
 500,000   Palmer Square CLO Ltd. Series 2018-2A D(a),(b)  TSFR3M + 5.862%  11.1760  07/16/31   500,000 
 550,000   Regatta XI Funding Ltd. Series 2018-1A E(a),(b)  TSFR3M + 5.762%  11.0780  07/17/31   529,499 
 1,000,000   Regatta XIV Funding Ltd. Series 2018-3A E(a),(b)  TSFR3M + 6.212%  11.5360  10/25/31   959,810 
 500,000   RR 5 Ltd. Series 2018-5A D(a),(b)  TSFR3M + 6.012%  11.3260  10/15/31   475,901 
 1,000,000   Sound Point Clo XII Ltd. Series 2016-2A ER(a),(b)  TSFR3M + 7.162%  12.4790  10/20/28   1,001,500 
 500,000   Upland CLO Ltd. Series 2016-1A DR(a),(b)  TSFR3M + 6.162%  11.4790  04/20/31   494,604 
 525,000   Voya CLO Ltd. Series 2018-4A E(a),(b)  TSFR3M + 6.562%  11.8760  01/15/32   518,683 
 500,000   Wellfleet CLO Ltd. Series 2017-1A D(a),(b)  TSFR3M + 6.312%  11.6290  04/20/29   448,763 
 500,000   Wellfleet CLO Ltd. Series 2015-1A ER3(a),(b)  TSFR3M + 7.312%  12.6290  07/20/29   305,994 
 500,000   Wellfleet CLO Ltd. Series 2018-2A D(a),(b)  TSFR3M + 6.332%  11.6490  10/20/31   468,639 
 500,000   Wellfleet CLO Ltd. Series 2018-3A D(a),(b)  TSFR3M + 6.512%  11.8290  01/20/32   458,718 
                  25,798,778 
     TOTAL ASSET BACKED SECURITIES (Cost $25,590,228)     25,798,778 
                    
                    
     CORPORATE BONDS — 2.9%              
     AEROSPACE & DEFENSE — 0.0%(c)              
 52,000   TransDigm, Inc.(a)     6.6250  03/01/32   52,619 
                    
     CHEMICALS — 0.3%              
 1,300,000   Valvoline, Inc.(a)     3.6250  06/15/31   1,122,512 

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Coupon Rate
(%)
  Maturity  Fair Value 
     CORPORATE BONDS — 2.9% (Continued)           
     ENTERTAINMENT CONTENT — 0.3%           
 1,344,000   Univision Communications, Inc.(a)  8.0000  08/15/28  $1,370,122 
                 
     HEALTH CARE FACILITIES & SERVICES — 0.1%           
 720,000   Tenet Healthcare Corporation(a)  6.7500  05/15/31   734,054 
                 
     HOME CONSTRUCTION — 0.0%(c)           
 55,000   Miter Brands Acquisition Holdco, Inc. / MIWD(a)  6.7500  04/01/32   55,235 
                 
     INSURANCE — 0.1%           
 116,000   Alliant Holdings Intermediate, LLC / Alliant(a)  7.0000  01/15/31   117,290 
 111,000   Panther Escrow Issuer, LLC(a)  7.1250  06/01/31   113,057 
               230,347 
     MACHINERY — 0.0%(c)           
 168,000   Esab Corporation(a)  6.2500  04/15/29   169,001 
                 
     MEDICAL EQUIPMENT & DEVICES — 0.1%           
 219,000   Medline Borrower, L.P./Medline Co-Issuer, Inc.(a)  6.2500  04/01/29   220,451 
                 
     METALS & MINING — 0.0%(c)           
 134,000   Alcoa Nederland Holding BV(a)  7.1250  03/15/31   136,853 
                 
     OIL & GAS PRODUCERS — 0.6%           
 102,000   Antero Midstream Partners, L.P. / Antero Midstream(a)  6.6250  02/01/32   102,618 
 275,000   Crescent Energy Finance, LLC(a)  7.6250  04/01/32   277,347 
 95,000   Kinetik Holdings, L.P.(a)  6.6250  12/15/28   96,750 
 52,000   NGL Energy Partners, L.P.(a)  8.1250  02/15/29   53,294 
 52,000   NGL Energy Partners, L.P.(a)  8.3750  02/15/32   53,376 
 74,000   Venture Global LNG, Inc.(a)  8.1250  06/01/28   75,640 
 93,000   Venture Global LNG, Inc.(a)  9.5000  02/01/29   100,244 
 1,300,000   Venture Global LNG, Inc.(a)  9.8750  02/01/32   1,401,963 
               2,161,232 
     OIL & GAS SERVICES & EQUIPMENT — 0.0%(c)           
 107,000   USA Compression Partners, L.P. / USA Compression(a)  7.1250  03/15/29   108,508 

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
         Coupon Rate
(%)
  Maturity  Fair Value 
    CORPORATE BONDS — 2.9% (Continued)          
     RETAIL - DISCRETIONARY — 0.7%              
 1,300,000   Global Auto Holdings Ltd./AAG FH UK Ltd.(a)     8.7500  01/15/32  $1,260,135 
 1,400,000   Metis Merger Sub, LLC(a)     6.5000  05/15/29   1,332,830 
                  2,592,965 
     SPECIALTY FINANCE — 0.1%              
 650,000   Fortress Transportation and Infrastructure(a)     7.8750  12/01/30   683,258 
                    
     TECHNOLOGY SERVICES — 0.2%              
 994,000   Iron Mountain Information Management Services,(a)     5.0000  07/15/32   910,706 
                    
     TRANSPORTATION & LOGISTICS — 0.4%              
 1,325,000   XPO, Inc.(a)     7.1250  02/01/32   1,365,548 
                    
     TOTAL CORPORATE BONDS (Cost $11,629,599)            11,913,411 
                    
        Spread           
     TERM LOANS — 87.5%              
     ADVERTISING & MARKETING — 0.2%              
 632,536   ABG Intermediate Holdings 2, LLC(b)  TSFR1M + 3.600%  8.9320  12/10/28   635,699 
                    
     AEROSPACE & DEFENSE — 3.0%              
 2,636,750   Bleriot US Bidco, Inc.(b)  TSFR1M + 4.000%  9.6100  10/31/28   2,649,933 
 2,937,939   Dynasty Acquisition Company, Inc.(b)  TSFR1M + 4.000%  9.3260  08/16/28   2,945,562 
 98,154   Dynasty Acquisition Company, Inc.(b)  TSFR1M + 3.500%  8.8250  08/24/28   98,409 
 283,000   Ovation Parent, Inc.(b)  TSFR1M + 3.500%  8.8260  03/26/31   283,620 
 2,312,828   Spirit AeroSystems, Inc.(b)  TSFR1M + 4.500%  9.5630  11/23/27   2,325,838 
 1,259,313   Standard Aero Ltd.(b)  TSFR1M + 4.000%  9.3260  08/16/28   1,262,581 
 37,846   Standard Aero Ltd.(b)  TSFR1M + 3.500%  8.8250  08/24/28   37,944 
 1,583,013   TransDigm, Inc.(b)  TSFR1M + 3.250%  8.5980  08/10/28   1,590,192 
 131,000   TransDigm, Inc.(b)  TSFR1M + 2.750%  8.0750  03/15/30   131,423 
 1,037,797   TransDigm, Inc.(b)  TSFR1M + 3.250%  8.5980  02/28/31   1,044,050 
                  12,369,552 
     APPAREL & TEXTILE PRODUCTS — 0.1%              
 444,206   Hanesbrands, Inc.(b)  TSFR1M + 3.850%  9.1060  03/08/30   444,692 

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
    TERM LOANS — 87.5% (Continued)          
     ASSET MANAGEMENT — 6.0%              
 4,318,714   Advisor Group Holdings, Inc.(b)  TSFR1M + 4.500%  9.8260  08/10/28  $4,340,566 
 1,260,332   Aragorn Parent Corporation(b)  TSFR1M + 4.250%  9.5830  12/08/28   1,265,852 
 1,800,000   Edelman Financial Center, LLC (The)(b)  TSFR1M + 6.750%  12.2200  07/20/26   1,811,817 
 261,685   FinCompany I, LLC(b)  TSFR1M + 3.000%  8.3130  06/27/29   262,475 
 528,000   First Eagle Holdings, Inc.(b)  TSFR1M + 3.000%  8.3180  02/22/29   523,523 
 2,252,404   Focus Financial Partners, LLC(b)  TSFR1M + 2.750%  8.0850  06/30/28   2,247,832 
 208,000   GIP Pilot Acquisition Partners, L.P.(b)  TSFR1M + 3.000%  8.3270  09/15/30   208,936 
 3,945,565   GTCR W Merger Sub, LLC(b)  TSFR1M + 3.000%  8.3260  09/20/30   3,964,484 
 1,237,425   Guggenheim Partners Investment Management(b)  TSFR1M + 3.250%  8.5980  12/07/29   1,243,872 
 81,000   Hightower Holding, LLC(b)  TSFR3M + 4.262%  9.5860  04/21/28   81,203 
 2,494,805   Nexus Buyer, LLC(b)  TSFR1M + 3.750%  9.1760  11/08/26   2,491,687 
 799,000   Nexus Buyer, LLC(b)  TSFR1M + 4.500%  9.8260  12/23/30   795,504 
 130,000   Osaic Holdings, Inc.(b)  TSFR1M + 4.000%  9.3210  08/16/28   130,658 
 5,187,119   Wec US Holdings Ltd.(b)  TSFR1M + 2.750%  8.0760  01/20/31   5,187,118 
                  24,555,527 
     AUTOMOTIVE — 2.0%              
 589,523   Clarios Global, L.P.(b)  TSFR1M + 3.000%  8.3260  05/06/30   591,733 
 3,734,422   First Brands Group, LLC(b)  SOFRRATE + 5.000%  10.5740  03/24/27   3,744,692 
 1,039,800   First Brands Group, LLC(b)  TSFR1M + 6.000%  10.5740  03/30/27   1,041,750 
 1,134,141   First Brands Group, LLC(b)  TSFR6M + 8.500%  13.9670  03/30/28   1,125,635 
 1,080,704   Tenneco, Inc.(b)  TSFR1M + 4.750%  10.1700  11/17/28   1,013,927 
 885,000   Tenneco, Inc.(b)  TSFR1M + 5.000%  10.4190  11/17/28   835,090 
                  8,352,827 
     BEVERAGES — 0.1%              
 293,000   Pegasus Bidco BV(b)  TSFR1M + 3.750%  9.0570  07/12/29   293,489 
                    
     BIOTECH & PHARMA — 0.5%              
 785,848   Curium Bidco Sarl(b)  TSFR1M + 4.500%  9.8480  07/31/29   790,760 
 1,500,000   Grifols Worldwide Operations USA, Inc.(b)  TSFR3M + 2.000%  7.4260  11/08/27   1,455,652 
                  2,246,412 
                    

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
    TERM LOANS — 87.5% (Continued)          
     CABLE & SATELLITE — 0.6%              
 203,000   Cogeco Communications USA II, L.P.(b)  TSFR1M + 3.250%  8.5760  09/18/30  $198,645 
 109,216   Directv Financing, LLC(b)  TSFR1M + 5.000%  10.4410  07/22/27   109,489 
 141,000   Directv Financing, LLC(b)  TSFR1M + 5.365%  10.8300  08/02/29   141,121 
 700,000   UPC Financing Partnership(b)  TSFR1M + 3.000%  8.4400  01/31/29   698,212 
 1,173,724   Virgin Media Bristol, LLC(b)  TSFR1M + 3.250%  8.7900  03/06/31   1,157,908 
                  2,305,375 
     CHEMICALS — 1.9%              
 895,284   Cyanco Intermediate 2 Corporation(b)  TSFR1M + 4.750%  10.0870  07/10/28   900,137 
 606,000   Element Solutions, Inc.(b)  TSFR1M + 2.000%  7.3560  12/09/30   607,264 
 102,000   INEOS Enterprises Holdings US Finco, LLC(b)  TSFR1M + 3.850%  9.1930  07/07/30   102,213 
 375,000   INEOS US Finance, LLC(b)  TSFR1M + 3.750%  9.0850  01/31/31   375,938 
 1,067,168   INEOS US Petrochem, LLC(b)  TSFR1M + 4.350%  9.6690  11/14/29   1,066,506 
 1,929,185   Nouryon USA, LLC(b)  TSFR1M + 4.000%  9.4480  03/03/28   1,938,030 
 195,509   Nouryon USA, LLC(b)  TSFR1M + 4.000%  9.4190  04/03/28   196,364 
 730,966   Olympus Water US Holding Corporation(b)  TSFR1M + 4.250%  9.5660  11/09/28   734,167 
 638,103   PQ Group Holdings, Inc.(b)  TSFR1M + 3.500%  8.6870  04/30/28   639,641 
 1,051,625   Windsor Holdings III, LLC(b)  TSFR1M + 4.000%  9.3190  08/01/30   1,057,051 
                  7,617,311 
     COMMERCIAL SUPPORT SERVICES — 6.9%              
 22,957   Action Environmental Group, Inc. (The)(b)  TSFR1M + 4.500%  9.8240  10/05/30   23,014 
 153,043   Action Environmental Group, Inc. (The)(b)  TSFR1M + 4.500%  9.8240  10/05/30   153,426 
 725,000   Amentum Government Services Holdings, LLC(b)  TSFR1M + 8.750%  14.2200  01/31/28   732,250 
 1,425,295   Amentum Government Services Holdings, LLC(b)  SOFRRATE + 4.000%  9.3200  02/07/29   1,430,341 
 1,723,397   AVSC Holding Corporation(b)  TSFR1M + 3.500%  8.9260  03/01/25   1,732,729 
 1,088,141   AVSC Holding Corporation(b)  TSFR1M + 4.500%  9.9560  09/26/26   1,094,941 
 1,941,000   Bifm CA Buyer, Inc.(b)  TSFR1M + 4.250%  9.5830  05/31/28   1,951,918 
 1,891,245   CHG Healthcare Services, Inc.(b)  TSFR1M + 3.750%  9.0760  09/30/28   1,898,347 
 347,303   Conservice Midco, LLC(b)  TSFR1M + 4.000%  9.3340  05/13/27   348,881 
 1,427,811   Creative Artists Agency, LLC(b)  TSFR1M + 3.500%  8.8260  11/16/28   1,432,273 
 59,000   Creative Artists Agency, LLC(b)  TSFR1M + 3.250%  8.5700  11/27/28   59,184 
 521,940   EnergySolutions, LLC(b)  TSFR1M + 4.000%  9.3560  09/18/30   524,453 
 1,431,056   Ensemble RCM, LLC(b)  TSFR1M + 3.000%  8.3340  08/03/29   1,435,921 
 2,566,000   Garda World Security Corporation(b)  TSFR1M + 4.350%  9.5830  02/01/29   2,574,032 

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     TERM LOANS — 87.5% (Continued)              
     COMMERCIAL SUPPORT SERVICES — 6.9% (Continued)       
 715,195   Groundworks, LLC(b)  TSFR1M + 3.500%  8.8240  03/06/31  $716,210 
 131,631   Groundworks, LLC(b)  TSFR1M + 3.500%  8.8240  03/06/31   131,818 
 3,393,142   OMNIA Partners, LLC(b)  TSFR1M + 3.750%  9.0700  07/25/30   3,412,754 
 161,000   Pre-Paid Legal Services, Inc.(b)  TSFR1M + 3.865%  9.1900  12/15/28   160,439 
 2,000,000   Prime Security Services Borrower, LLC(b)  TSFR1M + 2.500%  7.8240  10/11/30   2,003,520 
 104,762   Ryan, LLC(b)  TSFR1M + 4.500%  9.8250  11/09/30   105,417 
 995,238   Ryan, LLC(b)  TSFR1M + 4.500%  9.8260  11/09/30   1,001,463 
 688,000   Teneo Holdings, LLC(b)  TSFR1M + 4.750%  10.0740  03/11/31   691,010 
 4,294,370   WestJet Loyalty, L.P.(b)  TSFR1M + 3.850%  9.0680  02/01/31   4,299,739 
                  27,914,080 
     CONSUMER SERVICES — 1.2%              
 725,209   Fugue Finance, LLC(b)  TSFR1M + 4.000%  9.3430  01/26/28   727,816 
 306,000   Fugue Finance, LLC(b)  TSFR1M + 3.750%  9.0730  02/13/31   307,148 
 1,596,799   KUEHG Corporation(b)  TSFR1M + 5.000%  10.3480  05/31/30   1,603,193 
 925,000   Prometric Holdings, Inc.(b)  TSFR1M + 5.250%  7.5700  01/19/25   925,966 
 500,000   Spin Holdco, Inc.(b)  TSFR3M + 4.000%  8.9860  03/01/28   464,338 
 750,000   University Support Services, LLC(b)  TSFR1M + 3.350%  3.7500  06/29/28   749,344 
                  4,777,805 
     CONTAINERS & PACKAGING — 0.7%              
 1,624,329   Charter Next Generation, Inc.(b)  TSFR1M + 3.500%  8.8200  12/01/27   1,629,129 
 1,150,000   Proampac PG Borrower, LLC(b)  TSFR1M + 4.500%  9.8230  09/26/28   1,153,450 
 151,000   SupplyOne, Inc.(b)  TSFR1M + 4.250%  9.5790  03/27/31   150,529 
                  2,933,108 
     E-COMMERCE DISCRETIONARY — 0.5%              
 1,883,972   CNT Holdings I Corporation(b)  TSFR1M + 3.500%  8.8170  10/16/27   1,889,709 
 222,195   Olaplex, Inc.(b)  SOFRRATE + 3.750%  8.9560  02/17/29   207,118 
                  2,096,827 
     ELECTRIC UTILITIES — 0.3%              
 806,503   Calpine Corporation(b)  TSFR1M + 2.000%  7.3260  04/01/26   802,890 
 459,552   Calpine Corporation(b)  TSFR1M + 2.000%  7.3210  12/16/27   459,643 
                  1,262,533 
     ELECTRICAL EQUIPMENT — 0.2%              
 650,000   Belfor Holdings, Inc.(b)  TSFR1M + 3.750%  9.1060  10/25/30   654,063 

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     TERM LOANS — 87.5% (Continued)              
     ELECTRICAL EQUIPMENT — 0.2% (Continued)              
 241,000   TK Elevator US Newco, Inc.(b)  TSFR1M + 3.500%  8.8220  04/11/30  $242,088 
                  896,151 
     ENGINEERING & CONSTRUCTION — 0.1%              
 615,000   Chromalloy Corporation(b)  TSFR1M + 3.750%  9.0750  03/24/31   613,973 
                    
     ENTERTAINMENT CONTENT — 1.2%              
 662,667   AP Core Holdings II, LLC(b)  TSFR1M + 5.500%  10.9700  09/01/27   650,904 
 2,875,000   AP Core Holdings II, LLC(b)  TSFR1M + 5.500%  10.9700  09/01/27   2,821,094 
 162,000   AppLovin Corporation(b)  TSFR1M + 2.500%  7.8210  08/19/30   162,101 
 1,139,007   NEP Group, Inc.(b)  TSFR1M + 4.115%  9.4410  08/19/26   1,090,599 
 109,335   Univision Communications, Inc.  SOFRRATE + 4.250%  9.5980  06/08/29   109,704 
                  4,834,402 
     FOOD — 1.5%              
 4,013,500   Nomad Foods US, LLC(b)  TSFR1M + 3.000%  8.4690  11/08/29   4,024,076 
 225,000   Saratoga Food Specialties, LLC(b)  TSFR1M + 3.750%  9.0660  03/01/29   225,704 
 1,440,000   Snacking Investments US, LLC(b)  TSFR1M + 4.000%  9.3560  12/01/26   1,443,895 
 859,171   Upfield USA Corporation(b)  TSFR1M + 4.750%  10.4700  01/02/28   856,353 
                  6,550,028 
     GAS & WATER UTILITIES — 0.0%(c)              
 129,000   NGL Energy Operating, LLC(b)  TSFR1M + 4.500%  9.8260  01/27/31   129,484 
                    
     HEALTH CARE FACILITIES & SERVICES — 6.8%              
 248,721   ADMI Corporation(b)  TSFR1M + 3.375%  8.8450  12/23/27   240,327 
 575,000   ADMI Corporation(b)  TSFR1M + 5.750%  11.1050  12/23/27   576,259 
 498,741   Charlotte Buyer, Inc.(b)  TSFR3M + 5.250%  10.5680  02/11/28   500,980 
 865,992   FC Compassus, LLC(b)  TSFR3M + 4.250%  9.6910  12/31/26   850,837 
 3,237,982   Heartland Dental, LLC(b)  TSFR1M + 5.000%  10.3370  04/30/28   3,248,716 
 3,973,458   LifePoint Health, Inc.(b)  TSFR1M + 5.500%  11.0870  11/16/28   3,988,715 
 3,129,974   MED ParentCo, L.P.(b)  TSFR1M + 4.250%  9.7200  08/02/26   3,129,755 
 1,937,229   Milano Acquisition Corporation(b)  TSFR3M + 4.000%  9.4480  08/17/27   1,856,592 
 66,835   National Mentor Holdings, Inc.(b)  TSFR1M + 3.750%  9.1980  02/18/28   63,089 
 2,360,489   National Mentor Holdings, Inc.(b)  TSFR1M + 3.750%  9.2060  02/18/28   2,228,196 
 612,228   One Call Corporation(b)  TSFR3M + 5.500%  11.0860  04/08/27   574,729 

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     TERM LOANS — 87.5% (Continued)              
     HEALTH CARE FACILITIES & SERVICES — 6.8% (Continued)              
 3,911,177   Phoenix Guarantor, Inc.(b)  TSFR1M + 3.250%  8.5760  02/13/31  $3,865,278 
 2,100,160   Phoenix Newco, Inc.(b)  TSFR1M + 3.250%  8.6910  08/11/28   2,107,322 
 962,205   Select Medical Corporation(b)  TSFR1M + 3.100%  8.3560  03/05/27   964,914 
 1,671,464   Star Parent, Inc.(b)  TSFR1M + 4.000%  9.3480  09/19/30   1,663,216 
 1,500,000   Surgery Center Holdings, Inc.(b)  TSFR1M + 3.500%  8.8350  12/05/30   1,508,858 
 96,000   Team Public Choices, LLC(b)  TSFR6M + 5.428%  10.5810  12/20/27   96,120 
 307,616   US Anesthesia Partners, Inc.(b)  TSFR1M + 4.250%  9.7170  09/23/28   294,843 
                  27,758,746 
     HOME & OFFICE PRODUCTS — 0.5%              
 69,000   AI Aqua Merger Sub, Inc.(b)  TSFR1M + 4.250%  9.5760  07/30/28   69,395 
 843,547   Osmosis Debt Merger Sub, Inc.(b)  SOFRRATE + 3.750%  9.0720  06/17/28   846,011 
 456,000   Weber-Stephen Products, LLC(b)  TSFR1M + 3.250%  4.0000  10/20/27   423,368 
 677,499   Weber-Stephen Products, LLC(b)  TSFR1M + 4.350%  9.6860  10/29/27   630,355 
                  1,969,129 
     HOME CONSTRUCTION — 0.0%(c)              
 167,000   MIWD Holdco II, LLC(b)  TSFR1M + 3.600%  8.8250  03/21/31   167,992 
                    
     INDUSTRIAL INTERMEDIATE PROD — 0.0%(c)              
 189,000   Crosby US Acquisition Corporation(b)  TSFR1M + 4.000%  9.3220  08/13/29   190,280 
                    
     INDUSTRIAL SUPPORT SERVICES — 0.0%(c)              
 104,000   BCPE Empire Holdings, Inc.(b)  TSFR1M + 4.000%  9.3340  12/25/28   104,234 
                    
     INSTITUTIONAL FINANCIAL SERVICES — 2.3%              
 4,712,632   Aretec Group, Inc.(b)  TSFR1M + 4.600%  9.9560  03/08/30   4,745,031 
 1,551,612   Armor Holdco, Inc.(b)  TSFR6M + 4.500%  9.9340  10/29/28   1,560,014 
 1,248,689   Ascensus Holdings, Inc.(b)  TSFR1M + 3.500%  8.9410  08/02/28   1,245,724 
 379,000   Eisner Advisory Group, LLC(b)  TSFR1M + 4.000%  9.3210  02/24/31   381,014 
 1,396,044   Jane Street Group, LLC(b)  TSFR1M + 2.615%  7.9520  01/26/28   1,398,312 
                  9,330,095 
     INSURANCE — 10.0%              
 590,907   Acrisure, LLC(b)  TSFR1M + 3.500%  8.9410  01/31/27   591,276 
 2,122,000   Acrisure, LLC(b)  TSFR1M + 4.500%  9.8260  10/20/30   2,135,263 

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     TERM LOANS — 87.5% (Continued)              
     INSURANCE — 10.0% (Continued)              
 1,777,244   AmWINS Group, Inc.(b)  TSFR1M + 2.250%  7.7200  02/17/28  $1,779,465 
 103,163   AssuredPartners, Inc.(b)  SOFRRATE + 3.500%  8.8560  02/13/27   103,372 
 1,084,352   AssuredPartners, Inc.(b)  TSFR1M + 3.500%  8.9700  02/13/27   1,086,520 
 1,509,970   AssuredPartners, Inc.(b)  TSFR1M + 3.500%  8.9700  02/13/27   1,513,231 
 80,000   AssuredPartners, Inc.(b)  TSFR1M + 3.500%  8.8220  02/10/31   80,200 
 3,322,782   Asurion, LLC(b)  TSFR1M + 3.365%  8.6910  12/18/26   3,263,437 
 2,411,000   Asurion, LLC(b)  TSFR1M + 5.250%  10.6910  01/29/28   2,186,476 
 596,977   Asurion, LLC(b)  TSFR1M + 4.000%  9.4560  08/17/28   576,456 
 900,000   Asurion, LLC(b)  TSFR1M + 5.250%  10.6910  01/14/29   809,510 
 1,243,622   Baldwin Risk Partners, LLC(b)  TSFR1M + 3.500%  8.9510  10/14/27   1,244,661 
 791,621   BroadStreet Partners, Inc.(b)  TSFR1M + 3.000%  8.4700  01/22/27   794,530 
 3,694,589   BroadStreet Partners, Inc.(b)  TSFR1M + 4.000%  9.0760  01/26/29   3,709,828 
 3,135,134   HUB International Ltd.(b)  TSFR1M + 3.250%  8.5820  06/20/30   3,139,821 
 2,986,477   Hyperion Refinance Sarl(b)  TSFR1M + 4.000%  9.3260  03/24/30   3,001,425 
 1,707,000   Hyperion Refinance Sarl(b)  TSFR1M + 3.500%  8.8070  02/03/31   1,710,201 
 2,852,674   IMA Financial Group, Inc. (The)(b)  TSFR1M + 3.850%  9.1910  11/01/28   2,860,390 
 2,226,754   OneDigital Borrower, LLC(b)  SOFRRATE + 4.250%  9.7060  11/16/27   2,229,537 
 1,675,000   Ryan Specialty Group, LLC(b)  SOFRRATE + 3.000%  8.0830  07/23/27   1,679,397 
 2,141,792   Sedgwick Claims Management Services, Inc.(b)  TSFR1M + 3.750%  9.0760  02/17/28   2,148,121 
 1,006,000   Truist Insurance Holdings, LLC(b)  TSFR1M + 3.250%  8.5680  03/24/31   1,005,577 
 379,000   Truist Insurance Holdings, LLC(b)  TSFR1M + 4.750%  10.0730  03/08/32   381,882 
 1,452,297   USI, Inc.(b)  TSFR1M + 3.000%  8.3480  11/22/29   1,454,716 
 1,221,938   USI, Inc.(b)  TSFR1M + 3.250%  8.5980  09/14/30   1,224,320 
                  40,709,612 
     INTERNET MEDIA & SERVICES — 1.6%              
 64,000   Hunter Holdco 3 Ltd.(b)  TSFR3M + 4.350%  9.6980  08/06/28   64,040 
 316,000   Knot Worldwide, Inc. (The)(b)  TSFR1M + 4.500%  9.8440  01/31/28   316,000 
 3,681,781   MH Sub I, LLC(b)  TSFR1M + 4.250%  9.6060  05/03/28   3,664,201 
 550,000   MH Sub I, LLC(b)  TSFR1M + 6.250%  11.6060  02/23/29   531,682 
 1,577,135   Pug, LLC(b)  TSFR1M + 4.750%  10.0710  03/12/30   1,581,401 
 591,227   Uber Technologies, Inc.(b)  TSFR1M + 2.750%  8.0790  03/03/30   594,452 
                  6,751,776 

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     TERM LOANS — 87.5% (Continued)              
     LEISURE FACILITIES & SERVICES — 4.5%              
 345,265   Alterra Mountain Company(b)  TSFR1M + 3.750%  9.2060  05/09/30  $347,423 
 797,993   Bally’s Corporation(b)  TSFR3M + 3.250%  8.8290  08/06/28   751,275 
 146,000   BCPE Grill Parent, Inc.(b)  TSFR1M + 4.750%  10.0760  09/21/30   145,152 
 2,329,478   Fertitta Entertainment, LLC/NV(b)  SOFRRATE + 4.000%  9.3560  01/13/29   2,337,736 
 722,000   Fitness International, LLC(b)  TSFR1M + 5.250%  10.5850  02/05/29   714,780 
 689,000   Flutter Financing BV(b)  TSFR1M + 2.250%  7.5980  11/18/30   690,536 
 158,000   Hilton Grand Vacations Borrower, LLC(b)  TSFR1M + 2.850%  8.0760  01/10/31   158,469 
 900,000   IRB Holding Corporation(b)  TSFR1M + 2.850%  8.1790  12/15/27   901,269 
 402,000   Marriott Ownership Resorts, Inc.(b)  TSFR1M + 2.350%  7.5710  03/17/31   400,995 
 3,642,631   Ontario Gaming GTA, L.P.(b)  TSFR1M + 4.250%  9.5980  07/20/30   3,659,552 
 2,759,493   Raptor Acquisition Corporation(b)  TSFR3M + 4.000%  9.6330  11/01/26   2,768,116 
 3,228,248   Scientific Games Holdings, L.P.(b)  SOFRRATE + 3.500%  8.5800  02/04/29   3,231,364 
 105,000   Tacala Investment Corporation(b)  TSFR1M + 4.000%  9.3370  01/27/31   105,230 
 1,659,477   UFC Holdings, LLC(b)  TSFR1M + 2.750%  8.3360  04/29/26   1,663,858 
 1,000,000   Whatabrands, LLC(b)  TSFR1M + 3.250%  6.3650  08/03/28   1,001,755 
                  18,877,510 
     LEISURE PRODUCTS — 0.5%              
 151,000   Amer Sports Company(b)  TSFR1M + 3.250%  8.5740  02/10/31   151,378 
 1,694,433   Varsity Brands Holding Company, Inc.(b)  TSFR1M + 5.000%  10.4700  12/15/26   1,703,964 
                  1,855,342 
     MACHINERY — 0.5%              
 694,380   Standard Industries, Inc.(b)  TSFR1M + 2.500%  7.6850  08/06/28   695,480 
 204,000   STS Operating, Inc.(b)  TSFR1M + 4.100%  9.3210  03/17/31   204,702 
 1,000,000   Titan Acquisition Ltd.(b)  TSFR1M + 5.000%  10.3350  02/01/29   1,003,855 
                  1,904,037 
     MEDICAL EQUIPMENT & DEVICES — 0.6%              
 1,483,155   Bausch + Lomb Corporation(b)  SOFRRATE + 3.250%  8.6830  05/05/27   1,469,436 
 934,067   Mozart Borrower, L.P.(b)  TSFR1M + 3.250%  8.4410  09/30/28   937,145 
                  2,406,581 
     OIL & GAS PRODUCERS — 2.1%              
 3,067,054   EPIC Crude Services, L.P.(b)  TSFR6M + 5.428%  10.9290  03/01/26   3,077,192 
 466,872   GIP III Stetson I, L.P.(b)  TSFR1M + 4.350%  9.7060  10/05/28   469,440 

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     TERM LOANS — 87.5% (Continued)              
     OIL & GAS PRODUCERS — 2.1% (Continued)              
 2,312,872   Medallion Midland Acquisition, L.P.(b)  TSFR1M + 3.500%  8.8300  10/18/28  $2,319,614 
 875,185   Parkway Generation, LLC(b)  TSFR1M + 4.864%  10.3240  02/18/29   874,309 
 115,967   Parkway Generation, LLC(b)  TSFR1M + 4.750%  10.3240  02/18/29   115,851 
 1,514,249   Prairie ECI Acquiror, L.P.(b)  TSFR1M + 4.750%  10.0710  08/01/29   1,510,600 
 148,000   WhiteWater DBR HoldCo, LLC(b)  TSFR1M + 2.750%  8.0760  02/18/31   148,431 
                  8,515,437 
     PUBLISHING & BROADCASTING — 1.2%              
 1,507,791   Cengage Learning, Inc.(b)  TSFR1M + 4.250%  9.5730  03/18/31   1,508,024 
 569,000   Century DE Buyer, LLC(b)  TSFR1M + 4.000%  9.3170  09/27/30   571,774 
 2,477,043   Mav Acquisition Corporation(b)  TSFR1M + 4.750%  10.2200  07/21/28   2,484,561 
 517,940   Sinclair Television Group, Inc.(b)  SOFRRATE + 3.750%  9.1760  04/13/29   415,864 
                  4,980,223 
     RENEWABLE ENERGY — 0.2%              
 933,915   Granite Acquisition, Inc.(b)  TSFR1M + 2.865%  3.2500  03/17/28   872,944 
                    
     RETAIL - CONSUMER STAPLES — 0.1%              
 370,000   BJ’s Wholesale Club, Inc.(b)  TSFR1M + 2.000%  7.3330  02/03/29   371,928 
                    
     RETAIL - DISCRETIONARY — 3.9%              
 652,000   Avis Budget Car Rental, LLC(b)  TSFR1M + 3.100%  8.4560  03/16/29   653,832 
 125,000   Beacon Roofing Supply, Inc.(b)  TSFR1M + 2.000%  7.3210  05/19/28   125,270 
 1,391,795   Belron Finance US, LLC(b)  TSFR1M + 2.115%  7.5780  04/28/28   1,394,578 
 795,005   Belron Finance US, LLC(b)  TSFR1M + 2.350%  7.6830  04/13/29   796,663 
 152,000   Foundation Building Materials, Inc.(b)  TSFR1M + 4.000%  9.3370  01/27/31   152,827 
 1,380,643   Harbor Freight Tools USA, Inc.(b)  TSFR1M + 2.865%  8.1910  10/19/27   1,381,347 
 1,074,990   Hertz Corporation (The)(b)  TSFR1M + 3.250%  8.6910  06/14/28   1,042,590 
 207,789   Hertz Corporation (The)(b)  TSFR1M + 3.250%  8.6910  06/14/28   201,526 
 1,500,000   Hertz Corporation (The)(b)  TSFR1M + 3.865%  9.0820  06/30/28   1,461,375 
 123,000   Kodiak BP, LLC(b)  TSFR1M + 3.750%  9.0750  03/13/28   123,154 
 3,290,198   Mavis Tire Express Services Topco Corporation(b)  TSFR1M + 3.750%  9.0820  05/04/28   3,299,543 
 1,008,228   Michaels Companies, Inc. (The)(b)  TSFR3M + 4.250%  9.8600  04/09/28   907,178 
 1,447,284   Peer Holding III BV(b)  TSFR1M + 3.250%  8.5980  10/19/30   1,451,582 
 1,678,365   Petco Health & Wellness Company, Inc.(b)  TSFR3M + 3.350%  8.8600  02/25/28   1,556,163 

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     TERM LOANS — 87.5% (Continued)              
     RETAIL - DISCRETIONARY — 3.9% (Continued)              
 1,147,059   PetSmart, Inc.(b)  TSFR1M + 3.750%  9.1760  01/29/28  $1,145,866 
 161,396   Staples, Inc.(b)  SOFR + CSR  10.4670  04/09/26   160,113 
                  15,853,607 
     SEMICONDUCTORS — 0.2%              
 1,000,000   MKS Instruments, Inc.(b)  TSFR1M + 2.500%  7.8230  08/17/29   1,001,980 
                    
     SOFTWARE — 12.4%              
 1,000,000   athenahealth, Inc.(b)  SOFRRATE + 3.500%  8.5760  01/27/29   993,050 
 2,745,294   Boxer Parent Company, Inc.(b)  TSFR1M + 4.250%  9.6020  12/08/28   2,766,172 
 1,250,000   Bracket Intermediate Holding Corporation(b)  TSFR1M + 5.100%  10.4480  05/03/28   1,255,156 
 4,074,363   Central Parent, Inc.(b)  TSFR1M + 4.000%  9.3480  07/06/29   4,091,109 
 94,000   Cloud Software Group, Inc.(b)  TSFR1M + 4.500%  9.8270  03/19/31   93,501 
 1,826,000   Cotiviti, Inc.(b)  TSFR1M + 3.250%  8.5710  02/24/31   1,823,718 
 195,000   Dayforce, Inc.(b)  TSFR1M + 2.500%  7.8210  02/16/31   195,488 
 1,000,000   ECI Macola/Max Holding, LLC(b)  TSFR1M + 3.750%  9.0790  05/28/30   1,004,400 
 697,626   Genesys Cloud Services Holdings II, LLC(b)  TSFR1M + 4.115%  9.1820  12/01/27   701,117 
 5,457,981   Greeneden US Holdings II, LLC(b)  TSFR1M + 4.000%  9.4410  10/08/27   5,480,385 
 1,302,409   HS Purchaser, LLC(b)  SOFRRATE + 4.000%  9.4260  11/30/26   1,262,849 
 750,000   HS Purchaser, LLC(b)  TSFR6M + 12.351%  12.1930  11/19/27   625,313 
 1,856,080   Idera, Inc.(b)  TSFR1M + 3.750%  9.2060  03/02/28   1,851,932 
 1,477,500   Imprivata, Inc.(b)  TSFR1M + 4.250%  9.5630  12/01/27   1,481,659 
 168,000   Instructure Holdings, Inc.(b)  TSFR1M + 2.865%  8.3550  10/30/28   168,210 
 618,000   Marcel Bidco, LLC(b)  TSFR1M + 4.500%  9.8100  10/26/30   623,698 
 1,143,000   Mitchell International, Inc.(b)  TSFR1M + 3.750%  9.1910  08/01/28   1,144,760 
 668,393   Mitchell International, Inc.(b)  TSFR1M + 3.750%  9.4000  10/01/28   669,422 
 675,000   Mitchell International, Inc.(b)  TSFR1M + 6.500%  11.9410  10/01/29   675,422 
 2,500,000   Mosel Bidco S.E.(b)  TSFR1M + 4.750%  10.0980  08/01/30   2,509,375 
 1,250,000   Project Alpha Intermediate Holding, Inc.(b)  TSFR1M + 4.750%  10.0630  10/19/30   1,258,244 
 513,377   Project Sky Merger Sub, Inc.(b)  TSFR1M + 3.750%  9.2060  08/10/28   512,256 
 1,235,398   Project Sky Merger Sub, Inc.(b)  TSFR1M + 6.000%  11.4560  08/10/29   1,227,676 
 802,989   Proofpoint, Inc.(b)  TSFR1M + 3.250%  8.6910  06/10/28   804,302 
 1,596,000   Quartz Acquireco, LLC(b)  TSFR1M + 3.500%  8.8560  06/28/30   1,603,485 
 2,483,260   SolarWinds Holdings, Inc.(b)  TSFR1M + 3.250%  8.5860  02/05/27   2,492,573 

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     TERM LOANS — 87.5% (Continued)              
     SOFTWARE — 12.4% (Continued)              
 628,975   Surf Holdings, LLC(b)  TSFR1M + 3.500%  8.9480  10/14/26  $630,981 
 1,456,855   TIBCO Software, Inc.(b)  TSFR3M + 4.500%  9.9480  09/30/28   1,452,907 
 1,745,150   TIBCO Software, Inc.(b)  TSFR3M + 4.500%  9.9480  03/30/29   1,739,191 
 846,220   UKG, Inc.(b)  TSFR3M + 5.250%  10.6800  05/03/27   855,211 
 4,432,499   UKG, Inc.(b)  TSFR1M + 3.600%  8.8140  01/31/31   4,460,889 
 686,000   Waystar Technologies, Inc.(b)  TSFR1M + 4.000%  9.3330  10/31/29   688,573 
 113,000   Webpros Investments Sarl(b)  TSFR1M + 4.000%  9.3250  03/19/31   113,424 
 1,422,000   Weld North Education, LLC(b)  TSFR1M + 3.615%  8.9410  12/17/29   1,420,471 
 1,750,000   Zelis Payments Buyer, Inc.(b)  TSFR1M + 2.750%  8.0670  09/28/29   1,751,943 
                  50,428,862 
     SPECIALTY FINANCE — 1.1%              
 272,312   Apex Group Treasury, LLC(b)  TSFR1M + 5.000%  10.3170  07/27/28   273,674 
 1,246,803   Castlelake Aviation One DAC(b)  TSFR3M + 2.500%  3.2500  10/22/26   1,248,436 
 231,420   Citco Group Ltd. (The)(b)  TSFR1M + 3.250%  8.4220  04/27/28   232,252 
 317,000   Inception Finco Sarl(b)  TSFR1M + 4.500%  9.8210  03/17/31   317,198 
 2,425,000   Kestra Advisor Services Holdings A, Inc.(b)  TSFR1M + 4.000%  9.3190  03/19/31   2,432,081 
                  4,503,641 
     TECHNOLOGY SERVICES — 5.8%              
 2,917,421   Access CIG, LLC(b)  TSFR1M + 5.000%  10.3260  08/15/28   2,924,263 
 335,000   Ahead DB Holdings, LLC(b)  TSFR1M + 4.250%  9.5690  01/24/31   336,544 
 531,966   Amentum Government Services Holdings, LLC(b)  TSFR1M + 8.000%  0.0000  02/15/30   537,286 
 3,151,250   Blackhawk Network Holdings, Inc.(b)  TSFR1M + 5.000%  10.3190  02/26/29   3,160,295 
 2,227,253   ION Trading Finance Ltd.(b)  TSFR3M + 4.750%  10.1980  03/26/28   2,227,253 
 212,000   KBR, Inc.(b)  TSFR1M + 2.000%  7.5760  01/10/31   212,689 
 3,064,825   Netsmart, Inc.(b)  TSFR1M + 4.000%  9.2200  10/01/27   3,074,740 
 2,228,219   Peraton Corporation(b)  TSFR1M + 3.750%  9.1760  02/24/28   2,230,492 
 128,919   Peraton Corporation(b)  TSFR3M + 7.750%  13.1760  02/01/29   129,531 
 2,909,967   Presidio Holdings, Inc.(b)  TSFR1M + 3.500%  8.9560  12/19/26   2,922,699 
 399,500   Sabre GLBL, Inc.(b)  TSFR1M + 5.000%  10.4560  06/30/28   350,561 
 782,853   Tempo Acquisition, LLC(b)  TSFR1M + 2.750%  8.1060  08/31/28   786,215 
 4,708,089   Verscend Holding Corporation(b)  TSFR1M + 4.000%  9.4410  08/27/25   4,713,974 
                  23,606,542 
     TELECOMMUNICATIONS — 1.7%              
 495,000   Altice France S.A.(b)  TSFR1M + 4.000%  9.5690  01/31/26   420,307 

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     TERM LOANS — 87.5% (Continued)              
     TELECOMMUNICATIONS — 1.7% (Continued)              
 4,274,566   CCI Buyer, Inc.(b)  SOFRRATE + 4.000%  9.3480  12/12/27  $4,255,095 
 730,000   Crown Subsea Communications Holding, Inc.(b)  TSFR1M + 4.750%  10.0820  01/27/31   735,172 
 1,078,681   Intrado Corporation(b)  TSFR1M + 3.000%  8.8300  01/25/30   1,082,861 
 1,581,067   Xplornet Communications, Inc.(b)  TSFR1M + 4.000%  9.6100  09/30/28   752,738 
                  7,246,173 
     TRANSPORTATION & LOGISTICS — 4.1%              
 2,514,596   AAdvantage Loyalty IP Ltd.(b)  TSFR1M + 4.750%  10.3290  03/10/28   2,615,708 
 195,000   Air Canada(b)  TSFR1M + 2.500%  7.8210  03/14/31   195,610 
 1,150,000   American Airlines, Inc.(b)  TSFR1M + 2.750%  8.5970  02/09/28   1,151,041 
 1,403,955   American Airlines, Inc.(b)  TSFR1M + 3.500%  8.7750  05/29/29   1,410,097 
 747,949   Brown Group Holding, LLC(b)  TSFR1M + 2.750%  8.1760  04/22/28   748,290 
 407,035   Kenan Advantage Group, Inc. (The)(b)  TSFR1M + 3.750%  9.0760  01/19/29   407,926 
 3,140,283   KKR Apple Bidco, LLC(b)  TSFR1M + 4.000%  8.8560  09/23/28   3,152,280 
 2,379,412   Patriot Rail Company, LLC(b)  TSFR3M + 4.262%  9.6100  10/18/26   2,382,386 
 2,200,000   Savage Enterprises, LLC(b)  TSFR1M + 3.365%  8.5660  09/17/28   2,204,125 
 1,968,722   United Airlines, Inc.(b)  TSFR1M + 2.750%  8.0760  02/17/31   1,974,254 
 413,676   WestJet Airlines Ltd.(b)  TSFR3M + 3.000%  8.4260  10/08/26   414,097 
                  16,655,814 
     WHOLESALE - CONSUMER STAPLES — 0.3%              
 1,054,148   Quirch Foods Holdings, LLC(b)  SOFRRATE + 4.500%  10.3870  10/27/27   1,057,442 
                    
     WHOLESALE - DISCRETIONARY — 0.1%              
 241,000   CI Maroon Holdings, LLC(b)  TSFR1M + 4.000%  9.3200  03/03/31   242,205 
                    
     TOTAL TERM LOANS (Cost $357,311,095)            358,191,407 
                    

 

 

CATALYST/CIFC FLOATING RATE INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     SHORT-TERM INVESTMENTS — 9.8%     
     MONEY MARKET FUNDS - 9.8%     
 40,160,145   First American Treasury Obligations Fund, Class X, 5.22% (Cost $40,160,145)(d)  $40,160,145 
           
     TOTAL INVESTMENTS - 109.8% (Cost $448,247,035)  $449,775,679 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (9.8)%   (40,184,439)
     NET ASSETS - 100.0%  $409,591,240 
           
ETF - Exchange-Traded Fund
   
LLC - Limited Liability Company
   
LTD - Limited Company
   
SPDR - Standard & Poor’s Depositary Receipt
   
SOFRRATE United States SOFR Secured Overnight Financing Rate
   
TSFR1M Secured Overnight Financing Rate 1 Month
   
TSFR3M Secured Overnight Financing Rate 3 Month
   
TSFR6M Secured Overnight Financing Rate 6 Month
   
(a) Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers. As of March 31, 2024 the total market value of 144A securities is 36,710,689 or 9.0% of net assets.
   
(b) Variable rate security; the rate shown represents the rate on March 31, 2024.
   
(c) Percentage rounds to less than 0.1%.
   
(d) Rate disclosed is the seven day effective yield as of March 31, 2024.

 

 

CATALYST/SMH HIGH INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024
 
       Coupon Rate       
Shares      (%)  Maturity  Fair Value 
     PREFERRED STOCKS — 2.6%           
     LEISURE FACILITIES & SERVICES — 2.6%           
 25,352   FAT Brands, Inc.  8.2500     $395,998 
                 
     TOTAL PREFERRED STOCKS (Cost $563,439)         395,998 
                 
Principal               
Amount ($)               
     CONVERTIBLE BONDS — 6.3%           
     INTERNET MEDIA & SERVICES — 4.2%           
 1,000,000   fuboTV, Inc.  3.2500  02/15/26   645,100 
                 
     SPECIALTY FINANCE — 2.1%           
 410,000   Upstart Holdings, Inc.  0.2500  08/15/26   322,096 
                 
     TOTAL CONVERTIBLE BONDS (Cost $1,176,475)         967,196 
                 
     CORPORATE BONDS — 88.5%           
     APPAREL & TEXTILE PRODUCTS — 1.9%           
 300,000   Under Armour, Inc.  3.2500  06/15/26   284,619 
                 
     ASSET MANAGEMENT — 2.1%           
 350,000   Icahn Enterprises, L.P. / Icahn Enterprises  5.2500  05/15/27   324,815 
                 
     AUTOMOTIVE — 4.4%           
 741,000   American Axle & Manufacturing, Inc.(a)  5.0000  10/01/29   668,260 
                 
     CHEMICALS — 3.7%           
 607,000   Rayonier AM Products, Inc.(b)  7.6250  01/15/26   557,751 
                 
     CONSUMER SERVICES — 1.9%           
 300,000   Upbound Group, Inc.(b)  6.3750  02/15/29   291,523 

 

 

CATALYST/SMH HIGH INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     CORPORATE BONDS — 88.5% (Continued)           
     ENGINEERING & CONSTRUCTION  — 3.1%           
 480,000   Tutor Perini Corporation(a),(b)  6.8750  05/01/25  $475,464 
                 
     HOME CONSTRUCTION — 3.8%           
 582,000   Beazer Homes USA, Inc.  5.8750  10/15/27   574,448 
                 
     HOUSEHOLD PRODUCTS — 0.9%           
 150,000   Central Garden & Pet Company(a)  4.1250  10/15/30   134,722 
                 
     INSTITUTIONAL FINANCIAL SERVICES — 1.6%           
 300,000   Coinbase Global, Inc.(a),(b)  3.6250  10/01/31   242,567 
                 
     LEISURE FACILITIES & SERVICES — 4.9%           
 200,000   Full House Resorts, Inc. (b)  8.2500  02/15/28   191,286 
 550,000   Odeon Finco plc (b)  12.7500  11/01/27   559,870 
               751,156 
     MACHINERY — 3.8%           
 578,000   Titan International, Inc.  7.0000  04/30/28   570,888 
                 
     METALS & MINING — 7.3%           
 865,000   Coeur Mining, Inc.(a),(b)  5.1250  02/15/29   822,713 
 300,000   Hecla Mining Company (a)  7.2500  02/15/28   300,742 
               1,123,455 
     OIL & GAS PRODUCERS — 1.2%           
 175,000   Occidental Petroleum Corporation(a)  6.6000  03/15/46   188,762 
                 
     OIL & GAS SERVICES & EQUIPMENT — 9.7%           
 521,000   Nine Energy Service, Inc.(a)  13.0000  02/01/28   427,720 
 593,000   Transocean, Inc. (b)  11.5000  01/30/27   618,495 
 517,000   Transocean, Inc.  6.8000  03/15/38   433,633 
               1,479,848 
     REAL ESTATE INVESTMENT TRUSTS — 14.8%           
 400,000   CoreCivic, Inc.(a)  4.7500  10/15/27   378,928 
 425,000   EPR Properties  3.7500  08/15/29   375,907 
 651,000   MPT Operating Partnership, L.P. / MPT Finance(a)  5.0000  10/15/27   549,948 

 

 

CATALYST/SMH HIGH INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     CORPORATE BONDS — 88.5% (Continued)           
     REAL ESTATE INVESTMENT TRUSTS — 14.8% (Continued)           
 1,269,000   Office Properties Income Trust  3.4500  10/15/31  $524,651 
 447,000   Service Properties Trust  5.2500  02/15/26   432,225 
               2,261,659 
     REAL ESTATE OWNERS & DEVELOPERS — 4.8%           
 840,000   Howard Hughes Corporation (The)(a),(b)  4.3750  02/01/31   730,162 
                 
     RETAIL - DISCRETIONARY — 10.6%           
 1,065,000   Bed Bath & Beyond, Inc.(c)  5.1650  08/01/44   7,759 
 400,000   Carvana Company(b)  14.0000  06/01/31   402,399 
 783,000   Kohl’s Corporation  5.5500  07/17/45   575,865 
 825,000   Nordstrom, Inc.(a)  5.0000  01/15/44   640,402 
               1,626,425 
                 
     SPECIALTY FINANCE — 3.7%           
 557,000   Enova International, Inc.(b)  8.5000  09/15/25   556,226 
                 
     STEEL — 4.3%           
 653,000   United States Steel Corporation  6.6500  06/01/37   660,370 
                 
     TECHNOLOGY HARDWARE — 0.0%           
 8,669,000   ENERGY CONVERSION DEVICES INC(b)(c)(e)(f)  0.0000  12/15/49    
                 
     TOTAL CORPORATE BONDS (Cost $17,218,446)         13,503,120 
                 
Shares               
     SHORT-TERM INVESTMENTS — 32.2%           
     COLLATERAL FOR SECURITIES LOANED - 31.3%           
 4,776,495   Mount Vernon Liquid Assets Portfolio, , 5.44% (Cost $4,776,495)(d)(g)         4,776,495 
                 
     MONEY MARKET FUNDS - 0.9%           
 130,862   First American Treasury Obligations Fund, Class X, 5.22% (Cost $130,862)(d)         130,862 
                 
     TOTAL SHORT-TERM INVESTMENTS (Cost $4,907,357)         4,907,357 

 

 

CATALYST/SMH HIGH INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
       Fair Value 
     TOTAL INVESTMENTS - 129.6% (Cost $23,865,717)  $19,773,671 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (29.6)%   (4,518,946)
     NET ASSETS - 100.0%  $15,254,725 

 

LP - Limited Partnership
   
PLC - Public Limited Company

 

(a)All or a portion for these securities are on loan. Total loaned securities had a value of $4,690,044 at March 31, 2024.

 

(b)Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers. As of March 31, 2024 the total market value of 144A securities is 5,448,456 or 35.7% of net assets.

 

(c)Represents issuer in default on interest payments; non-income producing security.

 

(d)Rate disclosed is the seven day effective yield as of March 31, 2024.

 

(e)Illiquid security. The total fair value of these securities as of December 31, 2023 was $0, representing 0% of net assets.

 

(f)The value of this security has been determined in good faith under policies of the Board of Trustees. The total of these securities is $0 or 0.0% of net assets.

 

(g)Mutual Fund Series Trust’s securities lending policy and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

CATALYST/SMH TOTAL RETURN INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024
 
Shares      Fair Value 
     COMMON STOCKS — 31.9%     
     ASSET MANAGEMENT - 12.5%     
 3,300   Apollo Global Management, Inc.(a)  $371,085 
 35,292   Compass Diversified Holdings(a)   849,478 
 99,131   PennantPark Investment Corporation(a)   682,021 
 42,466   SuRo Capital Corporation(b)   193,220 
 49,500   US Global Investors, Inc., Class A   137,610 
         2,233,414 
     AUTOMOTIVE - 0.5%     
 6,200   Ford Motor Company   82,336 
           
     BUSINESS DEVELOPMENT COMPANIES - 6.2%     
 12,128   Main Street Capital Corporation(a)   573,775 
 95,140   Prospect Capital Corporation(a)   525,173 
         1,098,948 
     DIVERSIFIED INDUSTRIALS - 1.4%     
 2,393   3M Company   253,826 
           
     FOOD - 1.1%     
 5,284   Kraft Heinz Company (The)   194,980 
           
     GAMING REIT - 1.3%     
 7,475   VICI Properties, Inc.   222,680 
           
     INDUSTRIAL REIT - 1.4%     
 2,390   Innovative Industrial Properties, Inc.(a)   247,461 
           
     MIXED ALLOCATION - 1.1%     
 28,919   NexPoint Diversified Real Estate Trust(a)   190,865 
           
     RETAIL REIT - 1.4%     
 5,000   Realty Income Corporation(a)   270,500 
           
     TECHNOLOGY HARDWARE - 0.6%     
 697   Apple, Inc.   119,522 

 

 

CATALYST/SMH TOTAL RETURN INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares            Fair Value 
     COMMON STOCKS — 31.9% (Continued)           
     TECHNOLOGY SERVICES - 0.1%           
 432   Kyndryl Holdings, Inc.(b)        $9,400 
                 
     TELECOMMUNICATIONS - 2.5%           
 14,000   AT&T, Inc.         246,400 
 4,561   Verizon Communications, Inc.         191,380 
               437,780 
     TRANSPORT OPERATIONS & SERVICES - 1.8%           
 26,000   AFC Gamma, Inc.         321,880 
                 
     TOTAL COMMON STOCKS (Cost $7,260,507)         5,683,592 
                 
Principal      Coupon Rate        
Amount ($)      (%)  Maturity     
     CONVERTIBLE BONDS — 6.4%           
     INTERNET MEDIA & SERVICES — 2.4%           
 662,000   fuboTV, Inc.  3.2500  02/15/26   427,056 
                 
     SPECIALTY FINANCE — 4.0%           
 717,000   EZCORP, Inc.  2.3750  05/01/25   712,599 
                 
     TOTAL CONVERTIBLE BONDS (Cost $1,260,289)         1,139,655 
                 
     CORPORATE BONDS — 57.6%           
     ASSET MANAGEMENT — 1.8%           
 350,000   Icahn Enterprises, L.P. / Icahn Enterprises  5.2500  05/15/27   324,815 
                 
     AUTOMOTIVE — 3.2%           
 639,000   American Axle & Manufacturing, Inc.(a)  5.0000  10/01/29   576,273 
                 
     CHEMICALS — 2.7%           
 520,000   Rayonier AM Products, Inc.(c)  7.6250  01/15/26   477,810 

 

 

CATALYST/SMH TOTAL RETURN INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     CORPORATE BONDS — 57.6% (Continued)           
     HOME CONSTRUCTION — 3.5%           
 635,000   Beazer Homes USA, Inc.  5.8750  10/15/27  $626,760 
                 
     LEISURE FACILITIES & SERVICES — 4.7%           
 300,000   Full House Resorts, Inc.(c)  8.2500  02/15/28   286,929 
 515,000   Odeon Finco PLC(c)  12.7500  11/01/27   524,242 
               811,171 
     MACHINERY — 3.8%           
 687,000   Titan International, Inc.  7.0000  04/30/28   678,547 
                 
     METALS & MINING — 2.8%           
 534,000   Coeur Mining, Inc.(a),(c)  5.1250  02/15/29   507,894 
                 
     OIL & GAS PRODUCERS — 2.1%           
 350,000   Occidental Petroleum Corporation(a)  6.6000  03/15/46   377,525 
                 
     OIL & GAS SERVICES & EQUIPMENT — 11.7%           
 596,000   Nine Energy Service, Inc.(a)  13.0000  02/01/28   489,293 
 754,000   Transocean, Inc.(c)  11.5000  01/30/27   786,415 
 953,000   Transocean, Inc.(a)  6.8000  03/15/38   799,328 
               2,075,036 
     REAL ESTATE INVESTMENT TRUSTS — 10.0%           
 778,000   CoreCivic, Inc.  4.7500  10/15/27   737,015 
 537,000   MPT Operating Partnership, L.P. / MPT Finance(a)  5.0000  10/15/27   453,644 
 672,000   Office Properties Income Trust  3.4500  10/15/31   277,829 
 332,000   Service Properties Trust  5.2500  02/15/26   321,026 
               1,789,514 
     REAL ESTATE OWNERS & DEVELOPERS — 2.2%           
 445,000   Howard Hughes Corporation (The)(c)  4.3750  02/01/31   386,812 
                 
     RETAIL - DISCRETIONARY — 4.5%           
 373,000   Bed Bath & Beyond, Inc.(d)  5.1650  08/01/44   2,717 
 400,000   Carvana Company(c)  14.0000  06/01/31   402,399 
 528,000   Kohl’s Corporation  5.5500  07/17/45   388,323 
               793,439 

 

 

CATALYST/SMH TOTAL RETURN INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     CORPORATE BONDS — 57.6% (Continued)           
     SPECIALTY FINANCE — 3.7%           
 647,000   Enova International, Inc.(c)  8.5000  09/15/25  $646,101 
                 
     TECHNOLOGY HARDWARE — 0.0%           
 5,543,000   ENERGY CONVERSION DEVICES INC(c)(d)(f)(g)  0.0000  12/15/49    
                 
     TECHNOLOGY SERVICES — 0.9%           
 200,000   Kyndryl Holdings, Inc.  3.1500  10/15/31   168,705 
                 
     TOTAL CORPORATE BONDS (Cost $12,026,948)         10,240,402 
                 
Shares               
     SHORT-TERM INVESTMENTS — 36.7%           
     COLLATERAL FOR SECURITIES LOANED - 34.1%           
 6,052,805   Mount Vernon Liquid Assets Portfolio, , 5.44% (Cost $6,052,805)(e)(h)         6,052,805 
                 
     MONEY MARKET FUNDS - 2.6%           
 469,567   First American Treasury Obligations Fund, Class X, 5.22% (Cost $469,567)(e)         469,567 
                 
     TOTAL SHORT-TERM INVESTMENTS (Cost $6,522,372)         6,522,372 
                 
     TOTAL INVESTMENTS - 132.6% (Cost $27,070,116)        $23,586,021 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (32.6)%         (5,803,096)
     NET ASSETS - 100.0%        $17,782,925 

 

PLC - Public Limited Company
   
REIT - Real Estate Investment Trust

 

 

CATALYST/SMH TOTAL RETURN INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024

 

(a)All or a portion for these securities are on loan. Total loaned securities had a value of $5,932,629 at March 31, 2024.

 

(b)Non-income producing security.

 

(c)Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers. As of March 31, 2024 the total market value of 144A securities is 4,018,602 or 22.6% of net assets.

 

(d)Represents issuer in default on interest payments; non-income producing security.

 

(e)Rate disclosed is the seven day effective yield as of March 31, 2024.

 

(f)Illiquid security. The total fair value of these securities as of December 31, 2023 was $0, representing 0% of net assets.

 

(g)The value of this security has been determined in good faith under policies of the Board of Trustees. The total of these securities is $0 or 0.0% of net assets.

 

(h)Mutual Fund Series Trust’s securities lending policy and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

CATALYST BUFFERED SHIELD FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024
 
Shares                    Fair Value 
     EXCHANGE-TRADED FUNDS — 87.6%       
     FIXED INCOME - 87.6%       
 148,764   iShares 1-5 Year Investment Grade Corporate Bond ETF(a)    $7,628,617 
 122,165   PGIM Ultra Short Bond ETF(a)     6,071,601 
 84,723   Vanguard Short-Term Corporate Bond ETF     6,549,935 
     TOTAL EXCHANGE-TRADED FUNDS (Cost $20,884,715)     20,250,153 
                           
     SHORT-TERM INVESTMENT — 2.7%       
     MONEY MARKET FUND - 2.7%       
 612,684   First American Treasury Obligations Fund, Class X, 5.22% (Cost $612,684)(b)     612,684 
                           
Contracts(c)      Counterparty  Expiration Date  Exercise Price   Notional Value      
     EQUITY OPTIONS PURCHASED - 17.0%       
     CALL OPTIONS PURCHASED - 16.1%              
 30   SPDR S&P 500 ETF Trust  FCS  06/21/2024  $420   $1,569,210   $327,270 
 150   SPDR S&P 500 ETF Trust  FCS  06/21/2024   440    7,846,050    1,357,950 
 100   SPDR S&P 500 ETF Trust  FCS  09/20/2024   425    5,230,700    1,102,450 
 100   SPDR S&P 500 ETF Trust  FCS  12/20/2024   515    5,230,700    422,500 
 100   SPDR S&P 500 ETF Trust  FCS  03/21/2025   515    5,230,700    497,100 
     TOTAL CALL OPTIONS PURCHASED (Cost - $1,870,379)     3,707,270 
                           
     PUT OPTIONS PURCHASED - 0.9%                     
 125   SPDR S&P 500 ETF Trust  FCS  06/21/2024   400    6,538,375    6,500 
 50   SPDR S&P 500 ETF Trust  FCS  06/21/2024   405    2,615,350    2,800 
 100   SPDR S&P 500 ETF Trust  FCS  09/20/2024   385    5,230,700    14,700 
 100   SPDR S&P 500 ETF Trust  FCS  12/20/2024   460    5,230,700    73,000 
 100   SPDR S&P 500 ETF Trust  FCS  03/21/2025   475    5,230,700    122,700 
     TOTAL PUT OPTIONS PURCHASED (Cost - $567,027)     219,700 
                           
     TOTAL EQUITY OPTIONS PURCHASED (Cost - $2,437,406)     3,926,970 
                           
     TOTAL INVESTMENTS- 107.3% (Cost $23,934,805)    $24,789,807 
     CALL OPTIONS WRITTEN - (5.4)% (Proceeds - $348,313)     (1,251,280)
     PUT OPTIONS WRITTEN - (1.9)% (Proceeds - $1,138,681)     (429,825)
     OTHER ASSETS IN EXCESS OF LIABILITIES - 0.0%(d)     11,135 
     NET ASSETS - 100.0%                  $23,119,837 

 

 

CATALYST BUFFERED SHIELD FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Contracts(c)      Counterparty  Expiration Date  Exercise Price   Notional Value   Fair Value 
     WRITTEN EQUITY OPTIONS - (7.3)%                     
     CALL OPTIONS WRITTEN - (5.4)%                     
 155   SPDR S&P 500 ETF Trust  FCS  06/21/2024  $505   $8,107,585   $462,055 
 25   SPDR S&P 500 ETF Trust  FCS  06/21/2024   515    1,307,675    55,125 
 100   SPDR S&P 500 ETF Trust  FCS  09/20/2024   485    5,230,700    557,300 
 100   SPDR S&P 500 ETF Trust  FCS  12/20/2024   590    5,230,700    70,100 
 100   SPDR S&P 500 ETF Trust  FCS  03/21/2025   595    5,230,700    106,700 
     TOTAL CALL OPTIONS WRITTEN (Proceeds - $348,313)     1,251,280 
                           
     PUT OPTIONS WRITTEN - (1.9)%                     
 25   SPDR S&P 500 ETF Trust  FCS  06/21/2024   420    1,307,675    1,725 
 150   SPDR S&P 500 ETF Trust  FCS  06/21/2024   440    7,846,050    15,000 
 100   SPDR S&P 500 ETF Trust  FCS  09/20/2024   425    5,230,700    24,100 
 100   SPDR S&P 500 ETF Trust  FCS  12/20/2024   515    5,230,700    175,000 
 100   SPDR S&P 500 ETF Trust  FCS  03/21/2025   515    5,230,700    214,000 
     TOTAL PUT OPTIONS WRITTEN (Proceeds - $1,138,681)     429,825 
                           
     TOTAL EQUITY OPTIONS WRITTEN (Proceeds - $1,486,994)    $1,681,105 

 

ETF- Exchange-Traded Fund

 

FCS- StoneX Group, Inc.

 

SPDR- Standard & Poor’s Depositary Receipt

 

(a)All or a portion of this security is segregated as collateral for options written.

 

(b)Rate disclosed is the seven-day effective yield as of March 31, 2024.

 

(c)Each option contract allows the holder of the option to purchase or sell 100 shares of the underlying security.

 

(d)Percentage rounds to less than 0.1%.

 

 

CATALYST ENHANCED INCOME STRATEGY FUND
SCHEDULE OF INVESTMENTS (Unaudited)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 89.1%              
     COLLATERALIZED MORTGAGE OBLIGATIONS — 29.6%       
 146,552   Alternative Loan Trust Series 2006-J3 4A2     5.7500  05/25/26  $138,218 
 369,684   Alternative Loan Trust Series 2005-J1 1A8     5.5000  02/25/35   327,827 
 232,458   Alternative Loan Trust Series 2005-3CB 2A1     5.0000  03/25/35   212,877 
 2,364,934   Alternative Loan Trust Series 2005-43 4A3(a)     4.0090  10/25/35   1,922,234 
 1,819,747   Alternative Loan Trust Series 2005-69 A1(b)  12MTA + 1.000%  3.5080  12/25/35   1,594,531 
 1,065,527   Alternative Loan Trust Series 2006-4CB 2A6     5.5000  04/25/36   812,667 
 161,500   Alternative Loan Trust Series 2006-4CB 2A3     5.5000  04/25/36   123,175 
 409,816   Alternative Loan Trust Series 2006-28CB A3     6.5000  10/25/36   222,539 
 1,655,584   Alternative Loan Trust Series 2006-45T1 2A5     4.2250  02/25/37   897,693 
 641,096   Alternative Loan Trust Series 2007-12T1 A3     6.0000  06/25/37   299,447 
 191,923   Banc of America Alternative Loan Trust Series 2006-4 3CB4     6.0000  05/25/46   165,124 
 326,480   Banc of America Alternative Loan Trust Series 2006-6 2A8     6.0000  07/25/46   270,233 
 452,807   Banc of America Alternative Loan Trust Series 2006-6 2A10     6.0000  07/25/46   374,796 
 5,270   Banc of America Funding Trust Series 2004-3 1A11     5.5000  10/25/34   5,022 
 207,425   Banc of America Funding Trust Series 2005-H 1A1(a)     5.5960  11/20/35   192,775 
 269,628   Banc of America Funding Trust Series 2010-R8 1A4(c)     5.7500  05/26/36   162,011 
 53,566   Banc of America Funding Trust Series 2006-5 4A8     6.0000  09/25/36   43,574 
 810,281   Banc of America Funding Trust Series 2007-5 CA4     6.0000  07/25/37   691,663 
 390,930   Banc of America Funding Trust Series 2006-H 2A2(a)     4.6200  09/20/46   312,456 
 40,262   Banc of America Funding Trust Series 2006-J 2A3(a)     4.3430  01/20/47   33,596 
 390,708   Banc of America Funding Trust Series 2006-J 4A1(a)     5.2140  01/20/47   332,027 
 130,001   Banc of America Funding Trust Series 2007-A 2A2(b)  TSFR1M + 0.534%  5.8630  02/20/47   106,370 
 416,329   Banc of America Funding Trust Series 2009-R9 3A3(a),(c)     3.5070  11/25/56   292,942 
 107,641   Banc of America Mortgage Trust Series 2005-A 1A1(a)     3.9170  02/25/35   90,560 
 8,555   Banc of America Mortgage Trust Series 2005-G 4A2(a)     3.4750  08/25/35   7,357 
 190,547   Banc of America Mortgage Trust Series 2007-2 A6     5.7500  05/25/37   141,619 
 2,001,099   Banc of America Mortgage Trust Series 2007-2 A1(b)  TSFR1M + 0.464%  5.7940  05/25/37   1,350,192 
 731,018   Bear Stearns ALT-A Trust Series 2005-4 23A2(a)     4.8650  05/25/35   682,072 
 395,039   Bear Stearns ALT-A Trust Series 2005-5 24A1(a)     4.3460  07/25/35   336,108 
 86,592   Bear Stearns ARM Trust Series 2004-7 1A1(a)     0.0001  10/25/34   58,831 
 65,458   Bear Stearns ARM Trust Series 2005-12 13A1(a)     5.0270  02/25/36   48,672 
 61,168   Bear Stearns ARM Trust Series 2006-2 3A2(a)     4.3010  07/25/36   53,575 
 214,657   Bear Stearns ARM Trust Series 2006-4 2A1(a)     4.4380  10/25/36   186,989 
 911,720   BRAVO Residential Funding Trust Series NQM4 A2(c),(d)     6.5870  05/25/63   912,220 
 177,256   Chase Mortgage Finance Trust Series 2005-S2 A1     5.5000  10/25/35   165,892 
 453,933   Chase Mortgage Finance Trust Series 2006-S2 1A19     6.2500  10/25/36   182,476 

 

 

CATALYST ENHANCED INCOME STRATEGY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 89.1% (Continued)       
     COLLATERALIZED MORTGAGE OBLIGATIONS — 29.6% (Continued)       
 317,536   Chase Mortgage Finance Trust Series 2006-S3 1A6     6.0000  11/25/36  $129,414 
 203,286   ChaseFlex Trust Series 2005-2 2A2     6.5000  06/25/35   109,134 
 89,339   ChaseFlex Trust Series 2006-1 A4(a)     6.3000  06/25/36   76,139 
 68,033   Chevy Chase Funding, LLC Mortgage-Backed Certificates Series 2004-1A A2(b),(c)  TSFR1M + 0.444%  5.7740  01/25/35   64,082 
 71,516   CHL Mortgage Pass-Through Trust Series 2005-HYB2 1A4(a)     4.9440  05/20/35   66,879 
 294,416   CHL Mortgage Pass-Through Trust Series 2005-18 A1     5.5000  10/25/35   164,896 
 388,941   CHL Mortgage Pass-Through Trust Series 2006-HYB2 1A1(a)     5.1610  04/20/36   332,353 
 909,801   CHL Mortgage Pass-Through Trust Series 2006-12 A1     6.0000  07/25/36   459,313 
 204,871   CHL Mortgage Pass-Through Trust Series 2007-J2 1A1     6.0000  07/25/37   177,160 
 164,686   CHL Mortgage Pass-Through Trust Series 2007-J2 2A5     6.0000  07/25/37   58,661 
 825,781   CHL Mortgage Pass-Through Trust Series 2007-17 3A1     2.6070  10/25/37   206,144 
 688,352   CHL Mortgage Pass-Through Trust Series 2007-HY3 4A1(a)     4.7500  06/25/47   678,920 
 4,290,185   Citicorp Mortgage Securities Trust Series 2008-1 1A1     6.2500  02/25/38   3,936,470 
 295,968   Citigroup Mortgage Loan Trust Series 2007-6 1A1A(a)     4.0440  03/25/37   253,512 
 2,927,558   Citigroup Mortgage Loan Trust, Inc. Series 2007-AR7 A3A(a)     3.4680  05/25/47   2,278,448 
 124,273   CitiMortgage Alternative Loan Trust Series 2007-A4 1A6     5.7500  04/25/37   112,967 
 262,758   Credit Suisse First Boston Mortgage Securities Corportation Series 2005-5 6A3     5.0000  07/25/35   252,821 
 2,747,263   Credit Suisse First Boston Mortgage Securities Corportation Series 2005-8 2A1     4.7180  09/25/35   816,880 
 285,225   Credit Suisse First Boston Mortgage Securities Corportation Series 2005-11 8A4     6.0000  12/25/35   218,665 
 30,849   CSFB Mortgage-Backed Pass-Through Certificates Series 2003-29 7A1     6.5000  12/25/33   30,788 
 1,316,576   CSFB Mortgage-Backed Pass-Through Certificates Series 2005-10 3A3     4.0550  11/25/35   735,569 
 205,095   CSFB Mortgage-Backed Pass-Through Certificates Series 2005-10 6A3     5.7500  11/25/35   79,483 
 27,456   CSMC Mortgage-Backed Trust Series 2007-5 8A2     6.0000  10/25/24   25,871 
 1,705,594   CSMC Mortgage-Backed Trust Series 2006-5 3A6     4.2740  06/25/36   310,293 
 1,582,905   CSMC Mortgage-Backed Trust Series 2006-5 3A3     4.4450  06/25/36   299,074 
 669,585   CSMC Mortgage-Backed Trust Series 2006-5 3A4     4.4450  06/25/36   126,511 
 1,878,840   CSMC Mortgage-Backed Trust Series 2006-5 3A1     4.4450  06/25/36   354,988 
 2,999,258   CSMC Mortgage-Backed Trust Series 2006-7 9A5     3.4580  08/25/36   555,524 
 5,184,158   CSMC Mortgage-Backed Trust Series 2006-9 4A1     6.0000  11/25/36   3,301,098 
 3,179,703   Deutsche Alt-A Securities Mortgage Loan Trust Series 2007-1 1A4A(b)  TSFR1M + 0.224%  5.5540  08/25/37   2,585,904 
 101,658   Deutsche Mortgage Securities Inc Mortgage Loan Trust Series 2004-2 M1(d)     5.5900  01/25/34   95,053 
 35,580   First Horizon Alternative Mortgage Securities Trust Series 2004-AA3 A1(a)     5.8180  09/25/34   35,025 

 

 

CATALYST ENHANCED INCOME STRATEGY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 89.1% (Continued)       
     COLLATERALIZED MORTGAGE OBLIGATIONS — 29.6% (Continued)       
 7,744   First Horizon Alternative Mortgage Securities Trust Series 2005-AA6 2A1(a)     6.4230  08/25/35  $5,561 
 14,927   First Horizon Mortgage Pass-Through Trust Series 2000-H 2B1(a)     5.9930  05/25/30   14,764 
 146,581   First Horizon Mortgage Pass-Through Trust Series 2007-AR3 2A2(a)     5.6700  11/25/37   111,534 
 16,815   GMACM Mortgage Loan Trust Series 2005-AR1 4A(a)     0.0001  03/18/35   16,548 
 325,704   GMACM Mortgage Loan Trust Series 2006-J1 A2     5.7500  04/25/36   278,290 
 90,335   GSMPS Mortgage Loan Trust Series 1998-5 A(a),(c)     7.5000  06/19/27   88,254 
 155,705   GSMPS Mortgage Loan Trust Series 1999-2 A(a),(c)     8.0000  09/19/27   153,255 
 167,298   GSR Mortgage Loan Trust Series 2003-5F 2A1     4.0000  08/25/32   155,645 
 16,003   GSR Mortgage Loan Trust Series 2004-2F 6A1     7.0000  01/25/34   16,135 
 37,858   GSR Mortgage Loan Trust Series 2004-6F 1A2     5.0000  05/25/34   36,347 
 41,018   GSR Mortgage Loan Trust Series 2004-14 3A2(a)     5.2540  12/25/34   36,647 
 900,018   GSR Mortgage Loan Trust Series 2005-3F 1A3     5.5000  03/25/35   759,283 
 104,247   GSR Mortgage Loan Trust Series 2005-AR4 4A1(a)     5.3750  07/25/35   100,388 
 395,949   GSR Mortgage Loan Trust Series 2006-2F 2A1     5.7500  02/25/36   324,439 
 252,207   GSR Mortgage Loan Trust Series 2006-3F 2A7     5.7500  03/25/36   218,748 
 508,246   GSR Mortgage Loan Trust Series 2006-9F 4A1     4.1840  10/25/36   216,413 
 100,707   HomeBanc Mortgage Trust Series 2004-2 A1(b)  TSFR1M + 0.854%  6.1840  12/25/34   94,088 
 447,947   HSI Asset Loan Obligation Trust Series 2007-2 3A6     6.0000  09/25/37   138,194 
 247,113   Impac CMB Trust Series 2004-9 1A2(b)  TSFR1M + 0.994%  6.3240  01/25/35   227,178 
 319,823   Impac CMB Trust Series 2005-5 M1(b)  TSFR1M + 0.624%  6.2090  08/25/35   249,266 
 2,025,435   IndyMac IMSC Mortgage Loan Trust Series 2007-F2 1A4     6.0000  07/25/37   1,441,708 
 487,175   IndyMac INDA Mortgage Loan Trust Series 2006-AR1 A3(a)     3.6260  08/25/36   377,834 
 145,750   IndyMac INDX Mortgage Loan Trust Series 2005-AR3 3A1(a)     3.9260  04/25/35   135,019 
 81,314   IndyMac INDX Mortgage Loan Trust Series 2005-AR5 4A1(a)     4.0050  05/25/35   56,242 
 1,358,398   JP Morgan Alternative Loan Trust Series 2005-S1 1A6     6.5000  12/25/35   522,320 
 137,977   JP Morgan Mortgage Trust Series 2004-S1 1A7     5.0000  09/25/34   126,347 
 14,271   JP Morgan Mortgage Trust Series 2005-A1 4A1(a)     5.9540  02/25/35   14,152 
 29,725   JP Morgan Mortgage Trust Series 2006-A2 2A2(a)     4.6880  04/25/36   25,786 
 378,032   JP Morgan Mortgage Trust Series 2007-A3 1A1(a)     4.5090  05/25/37   318,460 
 4,694   Lehman Mortgage Trust Series 2007-9 1A1     6.0000  10/25/37   4,313 
 9,538   MASTR Adjustable Rate Mortgages Trust Series 2003-5 4A1(a)     2.6470  11/25/33   8,446 
 18,031   MASTR Adjustable Rate Mortgages Trust Series 2004-4 4A1(a)     5.1020  05/25/34   17,111 
 373,598   MASTR Adjustable Rate Mortgages Trust Series 2005-2 3A1(a)     4.2480  03/25/35   336,027 
 179,750   MASTR Adjustable Rate Mortgages Trust Series 2006-2 1A1(a)     5.6690  04/25/36   169,497 
 123,130   MASTR Alternative Loan Trust Series 2005-5 2A3     5.5000  07/25/25   115,601 
 6,068   MASTR Alternative Loan Trust Series 2004-5 1A1     5.5000  06/25/34   5,894 

 

 

CATALYST ENHANCED INCOME STRATEGY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 89.1% (Continued)       
     COLLATERALIZED MORTGAGE OBLIGATIONS — 29.6% (Continued)       
 71,394   MASTR Alternative Loan Trust Series 2005-3 2A1     6.0000  03/25/35  $64,491 
 102,655   MASTR Alternative Loan Trust Series 2005-6 3A1     5.5000  12/25/35   80,296 
 351   MASTR Asset Securitization Trust Series 2005-1 1A1(g)     5.0000  05/25/20   164 
 677,032   MASTR Asset Securitization Trust Series 2004-3 4A10     5.5000  03/25/34   589,406 
 685,659   Merrill Lynch Alternative Note Asset Trust Series 2007-A2 A3D(b)  TSFR1M + 0.714%  0.7980  03/25/37   29,857 
 1,030,909   Merrill Lynch Mortgage Investors Trust Series 2006-AF2 AF1     2.6980  10/25/36   428,287 
 54,014   Morgan Stanley Mortgage Loan Trust Series 2004-5AR 1A1(a)     5.4090  07/25/34   53,376 
 264,425   Morgan Stanley Mortgage Loan Trust Series 2006-2 2A4     5.7500  02/25/36   237,782 
 564,911   Morgan Stanley Mortgage Loan Trust Series 2006-8AR 3A(a)     4.7130  06/25/36   417,080 
 4,717   MortgageIT Trust Series 2005-1 2M1(b)  TSFR1M + 1.364%  6.6900  02/25/35   4,537 
 881,264   NAAC Reperforming Loan REMIC Trust Certificates Series 2004-R3 A1(c)     6.5000  02/25/35   732,793 
 2,208,000   New Century Alternative Mortgage Loan Trust Series 2006-ALT2 AF6B(d)     0.8770  10/25/36   132,062 
 1,188,583   Nomura Asset Acceptance Corp Alternative Loan Trust Series 2005-AP3 A3(a)     1.4120  08/25/35   528,395 
 547,859   Nomura Asset Acceptance Corp Alternative Loan Trust Series 2005-AR4 5A3(b)  TSFR1M + 0.694%  2.4560  08/25/35   309,833 
 11,144,081   Nomura Asset Acceptance Corp Alternative Loan Trust Series 2006-AR2 3A1(b)  TSFR1M + 0.514%  1.0900  04/25/36   2,478,658 
 955,624   OBX 2023-NQM10 Trust Series NQM10 A2(c),(d)     6.9200  10/25/63   965,777 
 8,339,596   PHH Alternative Mortgage Trust Series 2007-1 1A3(b)  TSFR1M + 0.594%  2.3890  02/25/37   1,065,255 
 52,835   Prime Mortgage Trust Series 2004-1 1A6     5.2500  08/25/34   50,049 
 286,839   RALI Series 2005-QO1 Trust Series 2005-QO1 A2(b)  12MTA + 1.500%  6.5810  08/25/35   235,850 
 6,125,985   RALI Series 2006-QO2 Trust Series 2006-QO2 A2(b)  TSFR1M + 0.654%  2.2960  02/25/46   1,141,288 
 2,563,837   RALI Series 2006-QO3 Trust Series 2006-QO3 A2(b)  TSFR1M + 0.634%  3.5740  04/25/46   700,861 
 76,125   RALI Series 2006-QS17 Trust Series 2006-QS17 A4     6.0000  12/25/36   61,611 
 283,100   Residential Asset Securitization Trust Series 2004-A7 A2     5.5000  10/25/34   266,380 
 6,153,311   Residential Asset Securitization Trust Series 2005-A11 2A1     4.5890  10/25/35   2,197,194 
 737,375   Residential Asset Securitization Trust Series 2006-A6 1A1     1.4000  07/25/36   224,705 
 3,655,241   Residential Asset Securitization Trust Series 2006-A6 1A13     1.2920  07/25/36   1,059,670 
 2,823,089   Residential Asset Securitization Trust Series 2006-A6 1A14     1.2920  07/25/36   818,424 
 593,909   Residential Asset Securitization Trust Series 2006-A8 2A2     6.7500  08/25/36   172,992 
 882,706   Residential Asset Securitization Trust Series 2006-A13 A1     3.8440  12/25/36   312,696 
 4,298,063   Residential Asset Securitization Trust Series 2007-A1 A9     2.8850  03/25/37   1,351,340 
 362,154   Residential Asset Securitization Trust Series 2007-A7 A6     6.0000  07/25/37   138,226 
 213,401   Residential Asset Securitization Trust Series 2007-A8 1A2     6.0000  08/25/37   110,120 
 2,379,251   Residential Asset Securitization Trust Series 2007-A8 3A1(a)     2.9220  08/25/37   1,065,134 
 1,344,292   Residential Asset Securitization Trust Series 2007-A9 A3     4.0000  09/25/37   549,234 

 

 

CATALYST ENHANCED INCOME STRATEGY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 89.1% (Continued)       
     COLLATERALIZED MORTGAGE OBLIGATIONS — 29.6% (Continued)       
 1,503,366   Residential Asset Securitization Trust Series 2007-A9 A7     4.0000  09/25/37  $614,227 
 42,810   RFMSI Trust Series 2006-S3 A2     5.5000  03/25/36   34,374 
 1,412,379   RFMSI Trust Series 2006-SA4 2A1(a)     5.5530  11/25/36   1,219,994 
 359,688   STARM Mortgage Loan Trust  Series 2007-2 3A3(a)     5.0990  04/25/37   218,878 
 141,238   Structured Adjustable Rate Mortgage Loan Trust Series 2004-17 A1(a)     4.1500  11/25/34   124,381 
 201,143   Structured Adjustable Rate Mortgage Loan Trust Series 2004-19 1A2(a)     4.5300  01/25/35   189,681 
 34,765   Structured Adjustable Rate Mortgage Loan Trust Series 2005-7 3A1(a)     5.5540  04/25/35   34,099 
 186,118   Structured Asset Mortgage Investments II Trust Series 2007-AR3 2A1(b)  TSFR1M + 0.304%  5.6340  09/25/47   165,337 
 1,466,253   Structured Asset Securities Corporation Series 1998-RF1 A(a),(c)     3.8750  04/15/27   1,463,558 
 1,176,269   SunTrust Alternative Loan Trust Series 2006-1F 2A     6.5000  04/25/36   459,251 
 4,633,297   TBW Mortgage-Backed Trust Series 2006-3 3A     1.8680  07/25/36   976,090 
 164,504   TBW Mortgage-Backed Trust Series 2006-2 3A1     5.5000  07/25/36   12,873 
 1,963,000   TBW Mortgage-Backed Trust Series 2007-2 A2B(a)     1.2590  07/25/37   122,937 
 1,525,000   TBW Mortgage-Backed Trust Series 2007-2 A3B(a)     1.2590  07/25/37   95,353 
 3,295,120   TBW Mortgage-Backed Trust Series 2007-2 A6B(d)     1.2590  07/25/37   204,490 
 10,101   Thornburg Mortgage Securities Trust Series 2006-4 A2B(a)     5.5590  07/25/36   8,086 
 1,780,371   Thornburg Mortgage Securities Trust Series 2007-2 A2A(b)  TSFR12M + 1.965%  3.7360  06/25/37   1,513,057 
 5,346,626   Thornburg Mortgage Securities Trust Series 2006-3 A1(a)     4.0600  06/25/46   3,373,869 
 299,692   Thornburg Mortgage Securities Trust Series 2007-3 3A1(b)  TSFR12M + 1.965%  7.0020  06/25/47   252,020 
 833,315   Verus Securitization Trust Series 2023-4 A2(c),(d)     6.1160  05/25/27   830,955 
 852,839   Verus Securitization Trust Series 2023-5 A2(c),(d)     6.7590  06/25/68   856,533 
 13,148   WaMu Mortgage Pass-Through Certificates Series 2004-CB2 1A     5.0000  07/25/34   12,893 
 58,072   WaMu Mortgage Pass-Through Certificates Series 2005-AR18 2A1(a)     4.2520  01/25/36   52,079 
 193,732   Washington Mutual Mortgage Pass-Through Certificates Series 2005-4 CB11     5.5000  06/25/35   165,550 
 560,890   Washington Mutual Mortgage Pass-Through Certificates Series 2006-2 1A4(b)  TSFR1M + 0.814%  6.0000  03/25/36   508,590 
 34,438   Wells Fargo Alternative Loan Trust Series 2007-PA2 2A1(b)  TSFR1M + 0.544%  5.8740  06/25/37   28,042 
 247,488   Wells Fargo Mortgage Backed Securities Series 2006-7 2A1     6.0000  06/25/36   212,652 
                  71,917,805 
     HOME EQUITY — 18.4%              
 2,247   ABFC Trust Series 2003-AHL1 M1(b)  TSFR1M + 1.389%  6.7190  03/25/33   2,550 
 7,082,797   ACE Securities Corp Home Equity Loan Trust Series 2007-HE5 A2C(b)  TSFR1M + 0.474%  1.5630  07/25/37   2,678,314 
 73,969   Ameriquest Mortgage Securities Asset-Backed Pass-Through Ctfs Series 2002-AR1 M2(b)  TSFR1M + 2.064%  3.8700  09/25/32   63,979 

 

 

CATALYST ENHANCED INCOME STRATEGY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 89.1% (Continued)       
     HOME EQUITY — 18.4% (Continued)       
 167,056   Amresco Residential Securities Corp Mortgage Loan Trust Series 1997-3 M2F(a)     4.5600  09/25/27  $157,792 
 491,188   Bayview Financial Acquisition Trust Series 2007-A 2A(b)  TSFR1M + 0.639%  5.9700  05/28/37   453,702 
 2,810,799   Bayview Financial Mortgage Pass-Through Trust Series 2007-B 2A3(b)  TSFR1M + 1.389%  1.2150  08/28/47   816,159 
 920,427   Bayview Financial Mortgage Pass-Through Trust Series 2007-B 2A4(b)  TSFR1M + 1.164%  1.2150  08/28/47   267,260 
 1,195,886   Bear Stearns Asset Backed Securities I Trust Series 2004-FR3 M4(b)  TSFR1M + 2.814%  5.9560  09/25/34   1,087,113 
 334,034   Bear Stearns Asset Backed Securities I Trust Series 2004-FR2 M5(b)  TSFR1M + 2.739%  5.4710  06/25/34   308,681 
 111,644   Bear Stearns Asset Backed Securities I Trust Series 2004-HE7 M5(b)  TSFR1M + 3.039%  8.3690  08/25/34   108,181 
 915,923   Bear Stearns Asset Backed Securities Trust Series 2 M2(b)  TSFR1M + 2.964%  4.8620  08/25/34   903,170 
 457,270   Bear Stearns Asset Backed Securities Trust Series 2004-HE3 M5(b)  TSFR1M + 2.889%  5.7110  04/25/34   439,888 
 7,205   Centex Home Equity Loan Trust Series 2002-A AF6     5.5400  01/25/32   7,048 
 97,859   CHEC Loan Trust Series 2004-2 M1(b)  TSFR1M + 1.074%  6.4040  06/25/34   97,459 
 4,628,115   Credit Suisse Seasoned Loan Trust Series 2006-1 M1(b),(c)  TSFR1M + 0.939%  3.3070  10/25/34   4,575,204 
 412,010   Delta Funding Home Equity Loan Trust Series 1998-1 B1A(b)  TSFR1M + 2.004%  0.4550  05/25/30   405,144 
 542,820   EMC Mortgage Loan Trust Series 2001-A A(b),(c)  TSFR1M + 0.854%  6.1840  05/25/40   537,894 
 4,245,000   EMC Mortgage Loan Trust Series 2004-B M2(b),(c)  TSFR1M + 3.489%  4.8980  01/25/41   4,080,304 
 83,226   GE Mortgage Services, LLC Series 1998-HE2 A6(a)     6.6450  09/25/28   81,802 
 11,286,673   GSAA Home Equity Trust Series 2006-3 A4(b)  TSFR1M + 0.814%  1.4810  03/25/36   975,798 
 2,868,814   GSR Mortgage Loan Trust Series 2005-AR3 6A1(a)     4.0960  05/25/35   2,319,527 
 44,563   Home Equity Asset Trust Series 2003-3 M2(b)  TSFR1M + 2.484%  7.8140  08/25/33   42,123 
 2,769,946   Home Equity Asset Trust Series 2004-5 M6(b)  TSFR1M + 2.064%  4.8260  11/25/34   2,699,816 
 735,695   Home Equity Asset Trust Series 2004-8 M5(b)  TSFR1M + 1.714%  7.0440  03/25/35   685,410 
 3,972,085   Home Equity Loan Trust Series 2006-HSA2 AI3(a)     1.2430  03/25/36   183,709 
 313,129   Home Equity Mortgage Loan Asset-Backed Trust Series SPMD 2004-C M3 (b)  TSFR1M + 1.089%  4.8420  03/25/35   273,473 
 184,628   Home Equity Mortgage Loan Asset-Backed Trust Series SPMD 2004-C M7 (b)  TSFR1M + 2.739%  4.8420  03/25/35   150,355 
 930,786   Mastr Asset Backed Securities Trust Series 2003-OPT2 M4(b)  TSFR1M + 5.889%  3.0590  05/25/33   773,822 
 5,336,307   Mastr Asset Backed Securities Trust Series 2006-WMC2 A5(b)  TSFR1M + 0.614%  1.1540  04/25/36   1,244,722 
 443,099   Mastr Asset Backed Securities Trust 2003-WMC2(b)  TSFR1M + 6.000%  4.6300  08/25/33   461,439 
 311,218   Meritage Mortgage Loan Trust Series 2004-1 M1(b)  TSFR1M + 0.864%  6.1940  07/25/34   309,224 
 661,641   Merrill Lynch Mortgage Investors Trust Series 2004-HE1 M2(b)  TSFR1M + 2.364%  4.2990  04/25/35   613,688 
 499,150   Merrill Lynch Mortgage Investors Trust Series 2006-AR1 A1(b)  TSFR1M + 0.444%  5.7740  03/25/37   173,143 
 58,606   Morgan Stanley A.B.S Capital I Inc Trust Series 2004-HE1 B1(b)  TSFR1M + 2.739%  8.0690  01/25/34   58,520 
 815,823   Nomura Home Equity Loan Inc Home Equity Loan Trust Series 2006-AF1 A4(b)  TSFR1M + 0.774%  1.1190  10/25/36   172,296 

 

 

CATALYST ENHANCED INCOME STRATEGY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 89.1% (Continued)       
     HOME EQUITY — 18.4% (Continued)       
 351,509   NovaStar Mortgage Funding Trust Series 2003-1 M1(b)  TSFR1M + 1.539%  4.3440  05/25/33  $334,534 
 167,479   NovaStar Mortgage Funding Trust Series 2004-1 M4(b)  TSFR1M + 1.577%  6.9060  06/25/34   159,568 
 2,957,558   NovaStar Mortgage Funding Trust Series 2006-6 A2B(b)  TSFR1M + 0.314%  0.6450  01/25/37   1,046,805 
 254,492   RASC Series 2004-KS10 M4 Trust Series 2004-KS10 M4(b)  TSFR1M + 2.589%  7.9190  11/25/34   243,337 
 267,254   Renaissance Home Equity Loan Trust Series 2003-2 M1(b)  TSFR1M + 1.352%  4.3040  08/25/33   247,860 
 330,202   Renaissance Home Equity Loan Trust Series 2007-2 AF2(d)     5.6750  06/25/37   85,124 
 10,873,252   Renaissance Home Equity Loan Trust Series 2007-1 AF3(d)     3.9410  04/25/37   2,874,824 
 431,110   Renaissance Home Equity Loan Trust Series 2007-1 AF5(d)     4.1500  04/25/37   120,043 
 623,312   Saxon Asset Sec Trust Mtg Ln Asset Bk Cert Series 2000-1 BF1(a)     3.7400  02/25/30   745,293 
 3,392,722   Structured Asset Securities Corp Mortgage Loan Series 2005-NC2 M7(b)  TSFR1M + 1.164%  4.1280  05/25/35   2,984,295 
 5,266   Terwin Mortgage Trust Series 2004-7HE M1(b),(c)  TSFR1M + 1.389%  6.7190  07/25/34   5,180 
 23,587,000   Terwin Mortgage Trust Series 2006-3 2A3(b),(c)  TSFR1M + 0.734%  1.5920  04/25/37   7,539,744 
                  44,595,316 
     MANUFACTURED HOUSING — 0.3%              
 1,611,849   BCMSC Trust  Series 2000-A A4(a)     8.2900  06/15/30   192,642 
 500,000   Cascade MH Asset Trust  Series 2019-MH1 M(a),(c)     5.9850  11/01/44   480,505 
                  673,147 
     NON AGENCY CMBS — 26.6%              
 2,869,000   CFCRE Commercial Mortgage Trust Series 2011-C2 E(a),(c)     5.2490  12/15/47   2,504,684 
 6,357,126   Citigroup Commercial Mortgage Trust Series 2014-GC21 E(a),(c)     3.5880  05/10/47   4,676,955 
 3,100,000   Citigroup Commercial Mortgage Trust Series 2014-GC21 D(a),(c)     4.9190  05/10/47   2,469,598 
 4,565,000   Citigroup Commercial Mortgage Trust Series 2015-GC35 D     3.2360  11/10/48   3,061,697 
 5,000,000   Citigroup Commercial Mortgage Trust Series 2015-GC35 C(a)     4.4580  11/10/48   4,036,100 
 4,108,000   COMM 2013-CCRE12 Mortgage Trust Series 2013-CR12 C(a)     0.0001  10/10/46   667,132 
 2,964,000   Commercial Mortgage Pass Through Certificates Series 2012-LTRT B(c)     3.8000  10/05/30   2,546,980 
 6,190,897   GS Mortgage Securities Corporation II Series 2018-SRP5 A(b),(c)  TSFR1M + 1.847%  7.1730  09/15/31   4,057,963 
 2,622,300   GS Mortgage Securities Trust Series 2014-GC22 D(a),(c)     4.6960  06/10/47   1,409,922 
 5,726,000   GS Mortgage Securities Trust Series 2014-GC22 E(c)     3.5820  06/10/47   3,050,747 
 1,350,000   HMH Trust Series 2017-NSS E(c)     6.2920  07/05/31   360,423 
 7,005,000   JP Morgan Chase Commercial Mortgage Securities Trust Series 2011-C3 C(a),(c)     5.3600  02/15/46   6,217,297 
 1,250,000   JPMBB Commercial Mortgage Securities Trust Series 2015-C32 D(a)     4.1410  11/15/48   370,676 
 2,626,409   Morgan Stanley Capital I Trust Series 2006-HQ10 B(a)     0.0001  11/12/41   2,196,544 
 5,000,000   Morgan Stanley Capital I Trust Series 2012-C4 E(a),(c)     5.1640  03/15/45   3,323,432 
 2,740,000   Morgan Stanley Capital I Trust Series 2006-T21 C(a),(c)     5.1810  10/12/52   2,483,051 

 

 

CATALYST ENHANCED INCOME STRATEGY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 89.1% (Continued)       
     NON AGENCY CMBS — 26.6% (Continued)       
 446,653   MSBAM Commercial Mortgage Securities Trust 2012 Series CKSV A2(c)     3.2770  10/15/30  $400,370 
 3,800,000   MSBAM Commercial Mortgage Securities Trust Series 2012-CKSV B(c)     4.0880  10/15/30   2,947,416 
 13,533,384   Starwood Retail Property Trust Series 2014-STAR A(b),(c)  PRIME - 0%  8.5000  11/15/27   10,073,194 
 428,731   Velocity Commercial Capital Loan Trust Series 2022-3 M1(a),(c)     6.1300  06/25/52   421,508 
 1,937,360   Wachovia Bank Commercial Mortgage Trust Series 2006-C24 E(a)     5.2500  03/15/45   1,809,893 
 6,000,000   WFRBS Commercial Mortgage Trust Series 2013-C14 D(a),(c)     3.8370  06/15/46   2,759,298 
 3,546,000   WFRBS Commercial Mortgage Trust Series 2013-C15 D(a),(c)     4.1890  08/15/46   1,458,108 
 3,000,000   WFRBS Commercial Mortgage Trust Series 2014-C22 E(c)     3.4550  09/15/57   1,286,572 
                  64,589,560 
     RESIDENTIAL MORTGAGE — 14.2%       
 61,763   Bear Stearns Asset Backed Securities Trust 2004-SD4 Series 2004-SD4 A1(b)  TSFR1M + 1.014%  6.3440  08/25/44   59,138 
 88,174   Carrington Mortgage Loan Trust Series 2004-NC2 M1(b)  TSFR1M + 1.149%  6.4790  08/25/34   86,438 
 5,357,440   Carrington Mortgage Loan Trust Series 2006-FRE2 A5(b)  TSFR1M + 0.194%  3.0520  03/25/35   4,215,910 
 9,291,402   Carrington Mortgage Loan Trust Series 2006-FRE2 A2(b)  TSFR1M + 0.234%  3.0520  10/25/36   7,311,624 
 2,231,167   Carrington Mortgage Loan Trust Series 2006-FRE2 A3(b)  TSFR1M + 0.274%  3.0520  10/25/36   1,755,752 
 350,305   Chase Funding Trust Series 2003-3 2M2(b)  TSFR1M + 1.959%  7.2890  11/25/32   344,407 
 997,919   Countrywide Asset-Backed Certificates Series 2002-4 M2(b)  TSFR1M + 2.250%  7.6940  11/25/32   994,993 
 37,734   Credit-Based Asset Servicing and Securitization, LLC Series 2002-CB4 B1(b)  US0001M + 2.850%  8.2940  02/25/33   38,496 
 1,727,392   Credit-Based Asset Servicing and Securitization, LLC Series 2004-CB8 M3(b)  TSFR1M + 1.614%  3.8980  12/25/35   1,489,767 
 626,282   Encore Credit Receivables Trust Series 2005-1 M4(b)  TSFR1M + 1.134%  6.4640  07/25/35   548,708 
 667,699   Equity One Mortgage Pass-Through Trust Series 2004-3 M2(d)     3.8740  07/25/34   561,151 
 246,381   Finance America Mortgage Loan Trust Series 2004-3 M4(b)  TSFR1M + 1.380%  6.8240  11/25/34   195,083 
 139,492   Fremont Home Loan Trust Series 2004-2 M6(b)  TSFR1M + 2.139%  7.4690  07/25/34   114,437 
 8,114,878   GE-WMC Mortgage Securities Trust Series 2006-1 A2B(b)  TSFR1M + 0.414%  1.3930  08/25/36   3,434,614 
 3,165,378   GE-WMC Mortgage Securities Trust Series 2006-1 A2C(b)  TSFR1M + 0.594%  1.3970  08/25/36   1,339,695 
 2,362,116   GSRPM Mortgage Loan Trust Series 2007-1 A(b),(c)  TSFR1M + 0.514%  3.3650  10/25/46   2,124,894 
 77,749   Home Equity Mortgage Loan Asset-Backed Trust Series INABS 2006-D 2A3(b)  TSFR1M + 0.274%  5.6040  11/25/36   68,246 
 395,589   IXIS Real Estate Capital Trust Series 2006-HE2 A3(b)  TSFR1M + 0.434%  1.0700  08/25/36   111,413 
 351,684   Lehman XS Trust Series 2007-3 1BA1(b)  TSFR1M + 0.434%  5.7640  03/25/37   330,270 
 330,707   Lehman XS Trust Series 2007-3 1BA2(b)  TSFR6M + 0.928%  6.2150  03/25/37   325,016 
 44,650,621   Merrill Lynch Mortgage Investors Trust Series 2006-RM2 A1B(b)  TSFR1M + 0.584%  0.6620  05/25/37   1,954,661 
 39,783   Morgan Stanley A.B.S Capital I Inc Trust Series 2004-NC8 M4(b)  TSFR1M + 1.614%  6.9440  09/25/34   41,100 
 8,875,000   Morgan Stanley A.B.S Capital I Inc Trust Series 2007-SEA1 2A4(b),(c)  TSFR1M + 3.914%  2.3070  02/25/47   693,614 

 

 

CATALYST ENHANCED INCOME STRATEGY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 89.1% (Continued)       
     RESIDENTIAL MORTGAGE — 14.2% (Continued)       
 3,173,453   Park Place Securities Inc Asset-Backed Pass-Through Certificates Series 2004-WCW2 M6(b)  TSFR1M + 2.289%  3.2920  10/25/34  $2,670,056 
 887,809   Quest Trust Series 2003-X3 M3(b),(c)  TSFR1M + 4.989%  10.3040  02/25/34   1,111,026 
 2,034,195   RAMP Series 2007-RS1 A3(b)  TSFR1M + 0.454%  4.4850  02/25/37   490,441 
 101,077,331   Saxon Asset Securities Trust Series 2006-3 ES(c),(d),(e)     0.3000  10/25/46   1,316,280 
 530,960   Specialty Underwriting & Residential Finance Trust Series 2007-AB1 A2D(b)  TSFR1M + 0.464%  5.7940  03/25/37   291,015 
 201,347   Structured Asset Investment Loan Trust Series 2004-5 M5(b)  TSFR1M + 1.839%  7.1690  05/25/34   178,352 
 278,525   Structured Asset Securities Corp Series 2005-WF1 M8(b)  TSFR1M + 2.169%  7.4990  02/25/35   275,848 
                  34,472,445 
     TOTAL ASSET BACKED SECURITIES (Cost $272,019,910)     216,248,273 
                    
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     U.S. GOVERNMENT & AGENCY OBLIGATIONS — 7.8%       
 217,658   Fannie Mae REMICS Series 2012-126 DI(e)     3.0000  11/25/27   8,100 
 236,942   Fannie Mae REMICS Series 2012-94 YS(b),(e)  SOFR30A + 6.536%  1.2150  06/25/39   1,270 
 873,600   Fannie Mae REMICS Series 2011-124 NS NS(b),(e)  SOFR30A + 6.386%  1.0650  12/25/41   90,594 
 69,815   Fannie Mae REMICS Series 2013-42 PD     1.2500  05/25/43   57,206 
 909,228   Fannie Mae REMICS Series 2017-30 MI(e)     4.0000  02/25/44   39,922 
 32,019   Fannie Mae REMICS Series 2017-6 MI(e)     4.0000  08/25/44   2,053 
 612,112   Fannie Mae REMICS Series 2017-38 S(b),(e)  SOFR30A + 5.986%  0.6650  05/25/47   64,064 
 901,964   Fannie Mae REMICS Series 2017-112 SC(b),(e)  SOFR30A + 6.036%  0.7150  01/25/48   108,470 
 14,950,476   Fannie Mae REMICS Series 2018-28 ID(a),(e)     0.0950  05/25/48   959,232 
 778,117   Fannie Mae REMICS Series 2019-37 CI(e)     4.5000  09/25/48   134,867 
 256,359   Fannie Mae REMICS Series 2020-16 SJ(b),(e)  SOFR30A + 5.936%  0.6150  03/25/50   24,359 
 3,083,865   Fannie Mae REMICS Series 2020-95 IB(e)     2.5000  01/25/51   470,759 
 6,817,130   Fannie Mae REMICS Series 2021-69 IK(e)     2.0000  05/25/51   1,279,465 
 7,419,845   Fannie Mae REMICS Series 2021-45 JI(e)     2.5000  07/25/51   1,077,739 
 3,040,471   Fannie Mae REMICS Series 2021-56 IM(b),(e)  SOFR30A + 2.200%  0.0001  09/25/51   47,605 
 21,443,007   Fannie Mae REMICS Series 2021-69 JS(b),(e)  SOFR30A + 2.550%  0.0001  10/25/51   348,938 
 12,117,888   Fannie Mae REMICS Series 2021-80 IA(e)     2.0000  11/25/51   1,552,336 
 190,133   Freddie Mac REMICS Series 4205 AI(e)     2.5000  05/15/28   6,186 
 1,427,332   Freddie Mac REMICS Series 4226 IM(e)     3.5000  09/15/31   16,756 
 7,723,582   Freddie Mac REMICS Series 4639 GS(b),(e)     0.2260  03/15/36   347,774 
 789,249   Freddie Mac REMICS Series 3852 SW(b),(e)  SOFR30A + 5.886%  0.5670  05/15/41   69,698 
 145,345   Freddie Mac REMICS Series 3980 TS(b),(e)  SOFR30A + 6.386%  1.0670  09/15/41   15,781 

 

 

CATALYST ENHANCED INCOME STRATEGY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Principal
Amount ($)
      Spread  Coupon Rate
(%)
  Maturity  Fair Value 
     U.S. GOVERNMENT & AGENCY OBLIGATIONS — 7.8% (Continued)       
 780,321   Freddie Mac REMICS Series 4100 JI(e)     3.5000  10/15/41  $93,030 
 555,405   Freddie Mac REMICS Series 4580 MI(e)     3.5000  02/15/43   14,644 
 5,250,294   Freddie Mac REMICS Series 4239 NI(b),(e)  SOFR30A + 28.791%  0.0001  07/15/43   904,186 
 68,007   Freddie Mac REMICS Series 4680 LI(e)     4.0000  10/15/43   766 
 60,720   Freddie Mac REMICS Series 4449 PI(e)     4.0000  11/15/43   5,772 
 458,282   Freddie Mac REMICS Series 4314 SE(b),(e)  US0001M + 5.936%  0.6170  03/15/44   47,533 
 353,719   Freddie Mac REMICS Series 4431 ST(b),(e)  US0001M + 5.986%  0.6670  01/15/45   35,007 
 82,575   Freddie Mac REMICS Series 4818 BI(e)     4.0000  03/15/45   2,103 
 297,780   Freddie Mac REMICS Series 4672 AI(e)     4.5000  03/15/45   3,967 
 399,000   Freddie Mac REMICS Series 5050 GL     1.2500  12/25/50   175,672 
 5,824,556   Freddie Mac REMICS Series 5071 IS(e)     2.0000  02/25/51   672,557 
 825,644   Freddie Mac REMICS Series 5071 IF(e)     2.0000  02/25/51   66,807 
 18,937,986   Freddie Mac REMICS Series 5090 SA(b),(e)  SOFR30A + 1.550%  0.0001  03/25/51   56,626 
 15,219,385   Freddie Mac REMICS Series 5177 AS(b),(e)  SOFR30A + 3.150%  0.0001  12/25/51   172,964 
 398,248   Government National Mortgage Association Series 2014-118 AI(e)     3.5000  05/16/40   15,692 
 3,987,486   Government National Mortgage Association Series 2015-3 DS(b),(e)  TSFR1M + 5.486%  0.1570  11/20/41   49,859 
 184,691   Government National Mortgage Association Series 2012-36 QS(b),(e)  TSFR1M + 6.506%  1.1770  03/20/42   12,934 
 332,848   Government National Mortgage Association Series 2018-154 DI(e)     4.0000  01/20/45   10,987 
 595,731   Government National Mortgage Association Series 2016-147 PI(e)     3.5000  06/20/45   63,003 
 212,890   Government National Mortgage Association Series 2016-1 ST(b),(e)  TSFR1M + 6.086%  0.7570  01/20/46   20,695 
 4,639,842   Government National Mortgage Association Series 2018-154 SP(b),(e)  TSFR1M + 6.036%  0.7070  11/20/48   445,257 
 11,782,982   Government National Mortgage Association Series 2019-20 ES(b),(e)  TSFR1M + 3.676%  0.0001  02/20/49   215,264 
 20,350,353   Government National Mortgage Association Series 2019-112 AS(b),(e)  TSFR1M + 3.296%  0.0001  09/20/49   346,858 
 4,238,671   Government National Mortgage Association Series 2020-122 YI(e)     2.5000  08/20/50   617,582 
 952,000   Government National Mortgage Association Series 2020-141 ML     1.5000  09/20/50   450,949 
 6,313,244   Government National Mortgage Association Series 2021-49 IP(e)     2.5000  01/20/51   680,126 
 8,049,648   Government National Mortgage Association Series 2021-24 LI(e)     2.5000  01/20/51   1,184,353 
 9,559,270   Government National Mortgage Association Series 2021-41 BI(e)     2.0000  03/20/51   1,268,081 
 290,582   Government National Mortgage Association Series 2021-89 JL     1.5000  05/20/51   153,835 
 3,588,973   Government National Mortgage Association Series 2021-83 EI(e)     2.5000  05/20/51   480,521 
 16,174,670   Government National Mortgage Association Series 2022-22 PS(b),(e)  SOFR30A + 3.650%  0.0001  08/20/51   269,016 
 10,058,301   Government National Mortgage Association Series 2021-156 BI(e)     2.5000  09/20/51   1,511,994 
 1,705,801   Government National Mortgage Association Series 2021-226 HL     1.5000  12/20/51   997,787 
 16,300,012   Government National Mortgage Association Series 2022-93 AS(b),(e)  SOFR30A + 4.150%  0.0001  05/20/52   499,648 
 17,527,967   Government National Mortgage Association Series 2022-83 SJ(b),(e)  SOFR30A + 3.200%  0.0001  05/20/52   202,401 
 44,792,137   Government National Mortgage Association Series 2022-121 SA(b),(e)  SOFR30A + 3.690%  0.0001  07/20/52   546,276 
                    
     TOTAL U.S. GOVERNMENT & AGENCY OBLIGATIONS (Cost $27,216,154)   19,017,926 

 

 

CATALYST ENHANCED INCOME STRATEGY FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
March 31, 2024
 
Shares      Fair Value 
     SHORT-TERM INVESTMENT — 3.3%     
     MONEY MARKET FUND - 3.3%     
 7,977,351   First American Treasury Obligations Fund, Class X, 5.22% (Cost $7,977,351)(f)  $7,977,351 
           
     TOTAL INVESTMENTS - 100.2% (Cost $307,213,415)  $243,243,550 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (0.2)%   (438,422)
     NET ASSETS - 100.0%  $242,805,128 
           
           
LLC - Limited Liability Company
   
REMIC - Real Estate Mortgage Investment Conduit
   
12MTA - Federal Reserve US 12 Month Cumulative Avg 1 Year CMT
   
PRIME - Prime Rate by Country United States
   
SOFR30A - United States 30 Day Average SOFR Secured Overnight Financing Rate
   
TSFR1M - 1-month CME Term Secured Overnight Financing Rate
   
TSFR6M - 6-month CME Term Secured Overnight Financing Rate
   
TSFR12M - 12-month CME Term Secured Overnight Financing Rate
   
US0001M - ICE LIBOR USD 1 Month
 
(a) Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets.
   
(b) Variable rate security: the rate shown represents the rate on March 31, 2024.
   
(c) Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers.  As of March 31, 2024, the total market value of 144A securities is 81,434,543 or 33.5% of net assets.
   
(d) Step bond.  Coupon rate is fixed rate that changes on a specified date.  The rate shown is the current rate at March 31, 2024.
   
(e) Interest only securities.
   
(f) Rate disclosed is the seven-day effective yield as of March 31, 2024.
   
(g) Maturity not determined on this security; maturity will occur based on the maturity of the underlying bonds.