0001752724-24-091470.txt : 20240426 0001752724-24-091470.hdr.sgml : 20240426 20240426111116 ACCESSION NUMBER: 0001752724-24-091470 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240229 FILED AS OF DATE: 20240426 DATE AS OF CHANGE: 20240426 PERIOD START: 20241130 FILER: COMPANY DATA: COMPANY CONFORMED NAME: ALPS ETF Trust CENTRAL INDEX KEY: 0001414040 ORGANIZATION NAME: IRS NUMBER: 000000000 FISCAL YEAR END: 1130 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22175 FILM NUMBER: 24880042 BUSINESS ADDRESS: STREET 1: P.O. Box 328 CITY: Denver STATE: CO ZIP: 80201-0328 BUSINESS PHONE: 303.623.2577 MAIL ADDRESS: STREET 1: P.O. Box 328 CITY: Denver STATE: CO ZIP: 80201-0328 0001414040 S000030145 RiverFront Strategic Income Fund C000092591 RiverFront Strategic Income Fund RIGS NPORT-P 1 primary_doc.xml NPORT-P false 0001414040 XXXXXXXX S000030145 C000092591 ALPS ETF TRUST 811-22175 0001414040 549300VF1907NYC4WM31 1290 BROADWAY SUITE 1000 DENVER 80203 3036232577 RiverFront Strategic Income Fund S000030145 549300MMTMZ13HHBMZ80 2024-11-30 2024-02-29 N 100923841.31 36253.35 100887587.96 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 USD N Stericycle Inc B8PTJH2P0AXSWSMP2136 Stericycle, Inc. 858912AF5 792000.00000000 PA USD 792099.00000000 0.785130278180 Long DBT CORP US Y 2 2024-07-15 Fixed 5.37500000 N N N N N N American Express Co R4PP93JZOLY261QX3811 American Express Co. 025816DB2 1024000.00000000 PA USD 1051213.10000000 1.041964746363 Long DBT CORP US N 2 2027-11-05 Fixed 5.85000000 N N N N N N Anheuser-busch Inbev Wor 549300CRGMZK3K53BF92 Anheuser-Busch InBev Worldwide, Inc. 035240AQ3 838000.00000000 PA USD 831052.18000000 0.823740756226 Long DBT CORP US N 2 2029-01-23 Fixed 4.75000000 N N N N N N Ford Motor Credit Co Llc UDSQCVRUX5BONN0VY111 Ford Motor Credit Co. 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1099000.00000000 PA USD 1052529.88000000 1.043269941607 Long DBT CORP US Y 2 2026-12-01 Fixed 4.25000000 N N N N N N Hyatt Hotels Corp T27JQIMTYSH41TCD5186 Hyatt Hotels Corp. 448579AQ5 925000.00000000 PA USD 936861.15000000 0.928618840973 Long DBT CORP US N 2 2027-01-30 Fixed 5.75000000 N N N N N N Us Treasury N/b 254900HROIFWPRGM1V77 U.S. Treasury Bond 912810FJ2 2295000.00000000 PA USD 2492136.92000000 2.470211619082 Long DBT UST US N 2 2029-08-15 Fixed 6.12500000 N N N N N N 2024-03-30 ALPS ETF TRUST Erich Rettinger Erich Rettinger Treasurer XXXX NPORT-EX 2 fp0088118-1_nportex.htm

 

ALPS ETF Trust

 

Schedules of Investments

(Unaudited)

 

February 29, 2024

 

Alerian Energy Infrastructure ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
CANADIAN ENERGY INFRASTRUCTURE COMPANIES (25.10%)
Gathering + Processing (4.75%)          
Keyera Corp.   254,943   $6,272,370 
           
Pipeline Transportation | Natural Gas (4.83%)          
TC Energy Corp.(a)   161,235    6,377,405 
           
Pipeline Transportation | Petroleum (13.24%)          
Enbridge, Inc.   317,182    10,902,656 
Pembina Pipeline Corp.   188,581    6,562,783 
Total Pipeline Transportation | Petroleum        17,465,439 
           
Storage (2.28%)          
Gibson Energy, Inc.   181,640    3,004,692 
           
TOTAL CANADIAN ENERGY INFRASTRUCTURE COMPANIES
(Cost $33,334,418)        33,119,906 
           
Security Description   Shares    Value 
EXCHANGE TRADED FUND (1.12%)
Exchange Traded Fund (1.12%)          
Energy Select Sector SPDR Fund   17,100    1,472,994 
           
TOTAL EXCHANGE TRADED FUND
(Cost $1,473,122)        1,472,994 
           
Security Description   Shares    Value 
U.S. ENERGY INFRASTRUCTURE COMPANIES (30.33%)
Gathering + Processing (11.32%)          
Kinetik Holdings, Inc.   19,086    674,117 
ONEOK, Inc.   93,149    6,997,353 
Targa Resources Corp.   73,978    7,267,599 
Total Gathering + Processing        14,939,069 
           
Liquefaction (5.28%)          
Cheniere Energy, Inc.   37,483    5,817,361 
NextDecade Corp.(a)(b)   132,180    606,706 
Tellurian, Inc.(a)(b)   676,183    536,822 
Total Liquefaction        6,960,889 
           
Pipeline Transportation | Natural Gas (13.73%)          
DT Midstream, Inc.   109,630    6,317,977 
Equitrans Midstream Corp.   521,569    5,575,573 

 

Security Description   Shares    Value 
Pipeline Transportation | Natural Gas (continued)          
Kinder Morgan, Inc.   358,057   $6,226,611 
Total Pipeline Transportation | Natural Gas        18,120,161 
           
TOTAL U.S. ENERGY INFRASTRUCTURE COMPANIES
(Cost $33,459,138)        40,020,119 
           
Security Description   Shares    Value 
U.S. ENERGY INFRASTRUCTURE MLPS (26.78%)
Gathering + Processing (8.18%)          
Hess Midstream LP, Class A   76,039    2,592,170 
MPLX LP   146,243    5,621,581 
Western Midstream Partners LP   77,272    2,584,748 
Total Gathering + Processing        10,798,499 
           
Pipeline Transportation | Natural Gas (17.61%)          
Energy Transfer LP   834,791    12,221,340 
Enterprise Products Partners LP   401,429    11,019,226 
Total Pipeline Transportation | Natural Gas        23,240,566 
           
Pipeline Transportation | Petroleum (0.99%)          
Genesis Energy LP   29,505    339,898 
NuStar Energy LP   40,882    965,633 
Total Pipeline Transportation | Petroleum        1,305,531 
           
TOTAL U.S. ENERGY INFRASTRUCTURE MLPS
(Cost $29,913,066)        35,344,596 
           
Security Description   Shares    Value 
U.S. GENERAL PARTNERS (16.55%)
Gathering + Processing (11.23%)          
Antero Midstream Corp.   381,494    5,112,020 
EnLink Midstream LLC   268,687    3,312,911 
The Williams Cos., Inc.   177,728    6,387,544 
Total Gathering + Processing        14,812,475 
           
Pipeline Transportation | Petroleum (5.32%)          
Plains GP Holdings LP, Class A   408,486    7,025,959 
           
TOTAL U.S. GENERAL PARTNERS
(Cost $16,315,649)        21,838,434 


 

 

7 Day Yield   Shares    Value  
SHORT TERM INVESTMENTS (0.58%)
Money Market Fund (0.02%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)          
(Cost $26,129)   5.28%   26,129   $26,129 
           
Investments Purchased with Collateral from Securities Loaned (0.56%)          
State Street Navigator Securities Lending Government Money Market Portfolio, 5.33%          
(Cost $743,483)   743,483   $743,483 
TOTAL SHORT TERM INVESTMENTS
(Cost $769,612)        769,612 
           
TOTAL INVESTMENTS (100.46%)
(Cost $115,265,005)       $132,565,661 
LIABILITIES IN EXCESS OF OTHER ASSETS (-0.46%)  (604,031)
NET ASSETS - 100.00%       $131,961,630 

 

(a) Security, or a portion of the security position is currently on loan. The total market value of securities on loan is $867,541.
(b) Non-income producing security.


See Notes to Quarterly Schedule of Investments.

 

 

Alerian MLP ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
MASTER LIMITED PARTNERSHIPS (104.17%) 
Compression (2.78%)          
USA Compression Partners LP(a)   8,873,729   $221,577,013 
           
Gathering + Processing (25.04%)          
EnLink Midstream LLC(a)   41,303,566    509,272,969 
Hess Midstream LP, Class A(a)   11,699,639    398,840,693 
Western Midstream Partners LP(a)   32,524,425    1,087,942,016 
Total Gathering + Processing        1,996,055,678 
           
Liquefaction (4.29%)          
Cheniere Energy Partners LP   7,038,822    342,227,526 
           
Marketing & Distribution (12.85%)          
Global Partners LP(a)   4,480,014    208,903,053 
Suburban Propane Partners LP(a)   10,866,759    226,028,587 
Sunoco LP(a)   9,602,501    589,401,511 
Total Marketing & Distribution        1,024,333,151 
           
Pipeline Transportation | Natural Gas (24.70%)          
Energy Transfer LP   68,880,613    1,008,412,174 
Enterprise Products Partners LP   34,977,608    960,135,340 
Total Pipeline Transportation | Natural Gas        1,968,547,514 
           
Pipeline Transportation | Petroleum (34.51%)          
Delek Logistics Partners LP   1,554,271    67,921,643 
Genesis Energy LP(a)   18,938,858    218,175,644 
MPLX LP   25,598,142    983,992,578 
NuStar Energy LP(a)   19,976,248    471,838,978 
Plains All American Pipeline LP(a)   61,428,775    1,008,660,486 
Total Pipeline Transportation | Petroleum        2,750,589,329 
           
TOTAL MASTER LIMITED PARTNERSHIPS   
(Cost $4,214,149,635)        8,303,330,211 
7 Day Yield  Shares   Value 
SHORT TERM INVESTMENTS (0.06%)
Money Market Fund (0.06%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)   5.28%   4,493,577   $4,493,577 
                
TOTAL SHORT TERM INVESTMENTS
(Cost $4,493,577)             4,493,577 
                
TOTAL INVESTMENTS (104.23%)
(Cost $4,218,643,212)            $8,307,823,788 
LIABILITIES IN EXCESS OF OTHER ASSETS (-4.23%)    (337,221,869)
NET ASSETS - 100.00%            $7,970,601,919 

 

(a) Affiliated Company. See Note 6 in Notes to Quarterly Schedule of Investments.

 
See Notes to Quarterly Schedule of Investments.

 

 

ALPS Active Equity Opportunity ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (96.66%)          
Communication Services (8.09%)          
Alphabet, Inc., Class A(a)   4,535   $627,916 
AT&T, Inc.   15,394    260,621 
Meta Platforms, Inc., Class A   1,215    595,508 
Walt Disney Co.   3,357    374,574 
Total Communication Services        1,858,619 
           
Consumer Discretionary (11.64%)          
Amazon.com, Inc.(a)   4,114    727,191 
DraftKings, Inc., Class A(a)   3,914    169,555 
Lowe's Cos., Inc.   1,737    418,044 
Marriott International, Inc., Class A   1,518    379,303 
McDonald's Corp.   1,333    389,609 
NIKE, Inc., Class B   3,196    332,160 
O'Reilly Automotive, Inc.(a)   239    259,893 
Total Consumer Discretionary        2,675,755 
           
Consumer Staples (5.66%)          
Campbell Soup Co.   3,231    137,770 
Costco Wholesale Corp.   711    528,906 
Target Corp.   1,204    184,116 
Walmart, Inc.   7,692    450,828 
Total Consumer Staples        1,301,620 
           
Energy (5.47%)          
Baker Hughes Co.   6,167    182,481 
BP PLC, Sponsored ADR   5,784    202,382 
ConocoPhillips   4,527    509,469 
Enbridge, Inc.(b)   10,574    363,957 
Total Energy        1,258,289 
           
Financials (12.79%)          
American Express Co.   2,220    487,113 
Intercontinental Exchange, Inc.   3,065    424,257 
JPMorgan Chase & Co.   4,455    828,897 
Mastercard, Inc., Class A   1,070    507,993 
UBS Group AG(b)   9,951    283,106 
Wells Fargo & Co.   7,351    408,642 
Total Financials        2,940,008 
           
Health Care (9.91%)          
Boston Scientific Corp.(a)   4,240    280,730 
HCA Healthcare, Inc.   1,359    423,600 
IQVIA Holdings, Inc.(a)   1,213    299,805 
Thermo Fisher Scientific, Inc.   747    425,925 
UnitedHealth Group, Inc.   1,076    531,114 
Vertex Pharmaceuticals, Inc.(a)   753    316,817 
Total Health Care        2,277,991 
           
Industrials (11.94%)          
Caterpillar, Inc.   1,341    447,840 
Deere & Co.   912    332,926 
ITOCHU Corp., ADR(b)   1,290    111,869 
Lockheed Martin Corp.   802    343,449 
Security Description  Shares   Value 
Industrials (continued)          
Old Dominion Freight Line, Inc.   686   $303,541 
Schneider Electric SE, ADR   8,888    404,048 
Trane Technologies PLC   1,435    404,627 
Waste Management, Inc.   1,929    396,699 
Total Industrials        2,744,999 
           
Information Technology (25.68%)          
Adobe, Inc.(a)   653    365,863 
Apple, Inc.   2,960    535,020 
DocuSign, Inc.(a)   2,411    128,434 
Intel Corp.   2,900    124,845 
International Business Machines Corp.   1,539    284,761 
Lam Research Corp.   253    237,377 
Microsoft Corp.   2,692    1,113,519 
Motorola Solutions, Inc.   900    297,351 
Nice, Ltd., ADR(a),(b)   701    171,850 
NVIDIA Corp.   1,213    959,629 
Salesforce.com, Inc.   497    153,484 
Synopsys, Inc.(a)   776    445,214 
Taiwan Semiconductor Manufacturing Co., Ltd., ADR   3,554    457,293 
TE Connectivity, Ltd.   2,082    298,892 
Texas Instruments, Inc.   1,971    329,807 
Total Information Technology        5,903,339 
           
Materials (2.60%)          
Freeport-McMoRan, Inc.   4,921    186,063 
Linde PLC   698    313,276 
Norsk Hydro ASA, ADR   18,985    98,248 
Total Materials        597,587 
           
Real Estate (2.01%)          
Equity LifeStyle Properties, Inc.   3,582    241,140 
Prologis, Inc.   1,666    222,028 
Total Real Estate        463,168 
           
Utilities (0.87%)          
PPL Corp.   7,555    199,225 
           
TOTAL COMMON STOCKS          
(Cost $17,586,515)        22,220,600 

 

 

7 Day Yield  Shares   Value 
SHORT TERM INVESTMENTS (5.29%)
Money Market Fund (3.40%)        
State Street Institutional Treasury Plus Money Market Fund (Premier  Class)               
(Cost $782,045)   5.28%   782,045   $782,045 
                
Investments Purchased with Collateral from Securities Loaned (1.89%)               
State Street Navigator Securities Lending Government Money Market Portfolio, 5.33%               
(Cost $433,339)        433,339   $433,339 
TOTAL SHORT TERM INVESTMENTS
(Cost $1,215,384)             1,215,384 
                
TOTAL INVESTMENTS (101.95%)
(Cost $18,801,899)            $23,435,984 
LIABILITIES IN EXCESS OF OTHER ASSETS (-1.95%)    (447,368)
NET ASSETS - 100.00%            $22,988,616 

 

(a) Non-income producing security.
(b) The security, or a portion of the security position is currently on loan. The total market value of securities on loan was $820,596.

 

See Notes to Quarterly Schedule of Investments.

 

 

ALPS Active REIT ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (98.09%)          
Diversified REITs (2.15%)          
Broadstone Net Lease, Inc.   33,776   $503,600 
           
Health Care REITs (9.07%)          
Healthcare Realty Trust, Inc.   27,419    377,834 
Healthpeak Properties, Inc.   29,865    500,239 
Omega Healthcare Investors, Inc.   9,826    305,785 
Ventas, Inc.   22,350    945,181 
Total Health Care REITs        2,129,039 
           
Hotel & Resort REITs (4.16%)          
Park Hotels & Resorts, Inc.   26,617    441,842 
Sunstone Hotel Investors, Inc.   47,506    531,592 
Total Hotel & Resort REITs        973,434 
           
Industrial REITs (16.95%)          
First Industrial Realty Trust, Inc.   25,025    1,326,325 
Prologis, Inc.   9,586    1,277,526 
Rexford Industrial Realty, Inc.   26,906    1,368,978 
Total Industrial REITs        3,972,829 
           
Office REITs (4.94%)          
Highwoods Properties, Inc.   23,444    573,206 
Kilroy Realty Corp.   15,418    584,188 
Total Office REITs        1,157,394 
           
Residential REITs (15.90%)          
AvalonBay Communities, Inc.   7,060    1,249,832 
Equity Residential   12,255    737,874 
Invitation Homes, Inc.   32,631    1,111,738 
Sun Communities, Inc.   4,690    627,334 
Total Residential REITs        3,726,778 
           
Retail REITs (17.93%)          
Brixmor Property Group, Inc.   22,564    510,172 
Macerich Co.   17,390    285,370 
Realty Income Corp.   23,696    1,234,799 
Retail Opportunity Investments Corp.   27,601    356,881 
Simon Property Group, Inc.   12,241    1,813,381 
Total Retail REITs        4,200,603 
           
Specialized REITs (26.99%)          
Digital Realty Trust, Inc.   4,947    726,269 
Equinix, Inc.   2,661    2,365,149 
Extra Space Storage, Inc.   4,376    616,885 
Public Storage   4,850    1,376,770 
Security Description  Shares   Value 
Specialized REITs (continued)          
VICI Properties, Inc.   41,540   $1,243,292 
Total Specialized REITs        6,328,365 
           
TOTAL COMMON STOCKS          
(Cost $22,357,461)        22,992,042 

 

    7 Day Yield    Shares   Value 
SHORT TERM INVESTMENTS (1.78%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)   5.28%   416,281    416,281 
                
TOTAL SHORT TERM INVESTMENTS       
(Cost $416,281)             416,281 
                
TOTAL INVESTMENTS (99.87%)       
(Cost $22,773,742)            $23,408,323 
OTHER ASSETS IN EXCESS OF LIABILITIES (0.13%)             29,927 
NET ASSETS - 100.00%            $23,438,250 

 

See Notes to Quarterly Schedule of Investments.



 

 

ALPS Clean Energy ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (91.42%)          
Consumer Discretionary (12.57%)          
EVgo, Inc.(a)   310,856   $920,134 
Fisker, Inc.(a)(b)   685,192    498,957 
Lucid Group, Inc.(a)(b)   2,800,353    9,241,165 
Rivian Automotive, Inc.(a)   701,709    7,943,346 
Tesla, Inc.(a)   52,924    10,684,296 
Total Consumer Discretionary        29,287,898 
           
Consumer Staples (5.08%)          
Darling Ingredients, Inc.(a)   279,325    11,818,241 
           
Energy (2.65%)          
Clean Energy Fuels Corp.(a)(b)   538,651    1,589,020 
Gevo, Inc.(a)   740,577    660,298 
Green Plains, Inc.(a)   184,698    3,934,068 
Total Energy        6,183,386 
           
Financials (3.81%)          
Hannon Armstrong Sustainable Infrastructure Capital, Inc.(b)   352,435    8,870,789 
           
Industrials (21.80%)          
Ameresco, Inc., Class A(a)(b)   101,914    2,136,117 
Array Technologies, Inc.(a)(b)   461,074    6,289,049 
Ballard Power Systems, Inc.(a)(b)   803,984    2,524,510 
ChargePoint Holdings, Inc.(a)(b)   1,052,857    2,179,414 
Fluence Energy, Inc.(a)(b)   134,277    2,053,095 
Microvast Holdings, Inc.(a)(b)   550,803    473,856 
NEXTracker, Inc.(a)   157,258    8,844,191 
Nikola Corp.(a)(b)   3,087,099    2,297,419 
Plug Power, Inc.(a)(b)   1,913,774    6,755,622 
Shoals Technologies Group, Inc., Class A(a)(b)   538,840    6,913,317 
Stem, Inc.(a)(b)   480,406    1,287,488 
SunPower Corp.(a)(b)   276,176    858,907 
Sunrun, Inc.(a)   678,286    8,166,564 
Total Industrials        50,779,549 
           
Information Technology (17.43%)          
Enphase Energy, Inc.(a)   118,745    15,081,802 
First Solar, Inc.(a)   78,820    12,129,610 
Itron, Inc.(a)   144,516    13,393,743 
Total Information Technology        40,605,155 
           
Materials (9.54%)          
Albemarle Corp.(b)   100,325    13,829,801 
Security Description  Shares   Value 
Materials (continued)          
Arcadium Lithium PLC, Class A(a)(b)   1,377,351   $7,561,657 
Piedmont Lithium, Inc.(a)(b)   56,914    828,668 
Total Materials        22,220,126 
           
Utilities (18.54%)          
Altus Power, Inc.(a)   168,126    1,144,938 
Boralex, Inc., Class A(b)   327,509    7,198,610 
Clearway Energy, Inc., Class C(b)   261,249    5,695,228 
Innergex Renewable Energy, Inc.(b)   497,362    3,096,717 
Northland Power, Inc.(b)   756,111    12,814,024 
Ormat Technologies, Inc.(b)   164,926    10,744,929 
Sunnova Energy International, Inc.(a)(b)   340,835    2,481,279 
Total Utilities        43,175,725 
           
TOTAL COMMON STOCKS          
(Cost $460,892,078)        212,940,869 

 

Security Description  Shares   Value 
MASTER LIMITED PARTNERSHIPS (8.23%)
Utilities (8.23%)          
Brookfield Renewable Partners LP   489,001    10,967,978 
NextEra Energy Partners LP   298,626    8,203,256 
Total Utilities        19,171,234 
           
TOTAL MASTER LIMITED PARTNERSHIPS
(Cost $36,533,913)        19,171,234 
           


 

    7 Day Yield    Shares   Value 
SHORT TERM INVESTMENTS (11.27%)
Money Market Fund (0.17%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)               
(Cost $394,057)   5.28%   394,057   $394,057 
                
Investments Purchased with Collateral from Securities Loaned (11.10%)               
State Street Navigator Securities Lending Government Money Market Portfolio, 5.33%               
(Cost $25,865,942)        25,865,942   $25,865,942 
TOTAL SHORT TERM INVESTMENTS
 
(Cost $26,259,999)             26,259,999 
                
TOTAL INVESTMENTS (110.92%)
(Cost $523,685,990)            $258,372,102 
LIABILITIES IN EXCESS OF OTHER ASSETS (-10.92%)    (25,434,350)
NET ASSETS - 100.00%            $232,937,752 

 

(a) Non-income producing security.
(b) Security, or a portion of the security position is currently on loan. The total market value of securities on loan is $64,277,094.

 

See Notes to Quarterly Schedule of Investments.



 

 

ALPS Disruptive Technologies ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (99.14%)          
Communication Services (1.27%)          
Netflix, Inc.(a)   2,188   $1,319,189 
           
Consumer Discretionary (3.22%)          
ADT, Inc.   157,243    1,141,584 
Garmin, Ltd.   7,937    1,090,147 
iRobot Corp.(a)   25,558    291,617 
Tesla, Inc.(a)   4,080    823,670 
Total Consumer Discretionary        3,347,018 
           
Financials (17.31%)          
Adyen NV(a)(b)(c)   799    1,260,798 
American Express Co.   5,863    1,286,459 
Block, Inc., Class A(a)   14,432    1,146,911 
Fidelity National Information Services, Inc.   16,779    1,160,939 
Fiserv, Inc.(a)   7,516    1,121,913 
FleetCor Technologies, Inc.(a)   3,847    1,074,352 
Global Payments, Inc.   8,240    1,068,728 
GMO Payment Gateway, Inc.   17,100    1,150,304 
Jack Henry & Associates, Inc.   5,988    1,040,535 
Kaspi.KZ JSC, ADR(c)   10,546    1,088,347 
Mastercard, Inc., Class A   2,395    1,137,050 
Moody's Corp.   2,646    1,003,945 
Pagseguro Digital, Ltd., Class A(a)   95,439    1,328,511 
PayPal Holdings, Inc.(a)   16,895    1,019,444 
S&P Global, Inc.   2,357    1,009,692 
Visa, Inc., Class A   3,861    1,091,273 
Total Financials        17,989,201 
           
Health Care (11.38%)          
Align Technology, Inc.(a)   4,572    1,382,665 
Boston Scientific Corp.(a)   17,978    1,190,323 
Dexcom, Inc.(a)   8,303    955,426 
DiaSorin SpA(d)   10,054    1,014,702 
HealthEquity, Inc.(a)   14,612    1,207,097 
Insulet Corp.(a)   5,082    833,448 
Intuitive Surgical, Inc.(a)   3,179    1,225,822 
PROCEPT BioRobotics Corp.(a)   24,648    1,191,484 
ResMed, Inc.   6,044    1,049,964 
Shanghai MicroPort MedBot Group Co., Ltd.(a)   422,500    783,537 
Smith & Nephew PLC, Sponsored ADR(d)   37,978    1,006,797 
Total Health Care        11,841,265 
           
Industrials (16.91%)          
3D Systems Corp.(a)   166,764    690,403 
AeroVironment, Inc.(a)   7,969    1,010,390 
AutoStore Holdings, Ltd.(a)(b)(c)(d)   602,441    964,809 
Security Description  Shares   Value 
Industrials (continued)          
Experian PLC   25,856   $1,104,804 
FANUC Corp.   35,107    1,023,798 
Goldwind Science & Technology Co., Ltd., Class H   2,304,800    877,234 
Proto Labs, Inc.(a)   26,641    970,532 
RELX PLC, Sponsored ADR   25,381    1,114,734 
Schneider Electric SE   5,320    1,206,321 
Sensata Technologies Holding PLC   29,374    1,011,053 
SS&C Technologies Holdings, Inc.   17,374    1,107,766 
Stratasys, Ltd.(a)   83,472    1,030,879 
Thomson Reuters Corp.   7,007    1,106,127 
TransUnion   15,786    1,225,468 
Verisk Analytics, Inc.   4,238    1,025,172 
Vestas Wind Systems A/S(a)   36,573    1,017,882 
Wolters Kluwer NV   7,096    1,118,576 
Total Industrials        17,605,948 
           
Information Technology (46.14%)          
Adobe, Inc.(a)   1,624    909,895 
Alarm.com Holdings, Inc.(a)   17,379    1,315,417 
Allegro MicroSystems, Inc.(a)   36,769    1,157,855 
ANSYS, Inc.(a)   3,457    1,155,226 
Autodesk, Inc.(a)   4,420    1,141,111 
Check Point Software Technologies, Ltd.(a)   6,860    1,100,481 
Cognex Corp.   26,009    1,026,055 
Crowdstrike Holdings, Inc., Class A(a)   4,115    1,333,876 
CyberArk Software, Ltd.(a)   4,886    1,288,731 
Dassault Systemes SE   20,938    977,268 
Datadog, Inc., Class A(a)   8,597    1,130,162 
Dynatrace, Inc.(a)   18,342    908,846 
First Solar, Inc.(a)   6,859    1,055,532 
Fortinet, Inc.(a)   19,271    1,331,819 
Gen Digital, Inc.   44,413    954,435 
Guidewire Software, Inc.(a)   10,016    1,195,309 
Intuit, Inc.   1,731    1,147,463 
Itron, Inc.(a)   14,163    1,312,627 
Keyence Corp.   2,308    1,078,257 
Nemetschek SE   11,941    1,138,037 
Okta, Inc.(a)   13,739    1,474,195 
Omron Corp.   23,800    881,387 
Palo Alto Networks, Inc.(a)   3,369    1,046,243 
PTC, Inc.(a)   6,043    1,105,929 
Qorvo, Inc.(a)   9,863    1,129,807 
Qualys, Inc.(a)   5,296    910,171 
Renishaw PLC   24,555    1,335,305 
Salesforce, Inc.   3,968    1,225,398 
Samsara, Inc., Class A(a)   29,319    1,012,971 
SAP SE, Sponsored ADR   6,190    1,162,915 
SenseTime Group, Inc.(a)(b)(c)(d)   6,050,000    695,447 
ServiceNow, Inc.(a)   1,438    1,109,187 
Silicon Laboratories, Inc.(a)   8,420    1,158,086 
Skyworks Solutions, Inc.   9,681    1,015,731 
Snowflake, Inc., Class A(a)   5,290    996,001 

 

 

Security Description  Shares   Value 
Information Technology (continued)          
SolarEdge Technologies, Inc.(a)   12,333   $828,408 
Splunk, Inc.(a)   6,554    1,023,866 
Temenos AG   11,398    854,512 
Trend Micro, Inc.   17,422    862,965 
Workday, Inc., Class A(a)   3,629    1,069,321 
Xero, Ltd.(a)   14,464    1,196,919 
Xinyi Solar Holdings, Ltd.   1,856,000    1,128,367 
Zoom Video Communications, Inc., Class A(a)   13,742    971,972 
Zscaler, Inc.(a)   4,929    1,192,670 
Total Information Technology        48,046,175 
           
Real Estate (1.05%)          
Equinix, Inc.   1,228    1,091,471 
           
Utilities (1.86%)          
China Longyuan Power Group Corp., Ltd., Class H   1,409,000    996,981 
Enlight Renewable Energy, Ltd.(a)   54,488    941,239 
Total Utilities        1,938,220 
           
TOTAL COMMON STOCKS          
(Cost $98,643,276)        103,178,487 

 

Security Description  Shares   Value 
MASTER LIMITED PARTNERSHIPS (0.84%) 
Utilities (0.84%)          
Brookfield Renewable Partners LP   38,964    873,937 
           
TOTAL MASTER LIMITED PARTNERSHIPS
(Cost $1,141,770)        873,937 
           
SHORT TERM INVESTMENTS (0.13%)          
Investments Purchased with Collateral from Securities Loaned (0.13%)          
State Street Navigator Securities Lending Government Money Market Portfolio, 5.33%          
(Cost $136,443)   136,443    136,443 
TOTAL SHORT TERM INVESTMENTS          
(Cost $136,443)        136,443 
           
TOTAL INVESTMENTS (100.11%)          
(Cost $99,921,489)       $104,188,867 
LIABILITIES IN EXCESS OF OTHER ASSETS (-0.11%)    (119,343)
NET ASSETS - 100.00%       $104,069,524 

 

(a) Non-income producing security.
(b) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in the ordinary course of business in transactions exempt from registration, normally to qualified institutional buyers. At period end, the aggregate market value of those securities was $2,921,054, representing 2.81% of net assets.
(c) Securities were purchased pursuant to Regulation S under the Securities Act of 1933, which exempts securities offered and sold outside of the United States from registration.  Such securities cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. As of February 29, 2024, the market value of those securities was $4,009,401, representing 3.85% of net assets.
(d) Security, or a portion of the security position is currently on loan. The total market value of securities on loan is $1,654,790.

 
See Notes to Quarterly Schedule of Investments.

 

 

ALPS Emerging Sector Dividend Dogs ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (99.72%)          
Brazil (9.69%)          
Ambev SA   173,200   $438,305 
BB Seguridade Participacoes SA   79,600    533,858 
Cia Siderurgica Nacional SA   143,983    487,175 
Gerdau SA   109,936    475,473 
Petroleo Brasileiro SA   71,792    579,697 
Total Brazil        2,514,508 
           
Chile (5.85%)          
Cencosud SA   263,184    472,666 
Cia Sud Americana de Vapores SA   8,468,601    591,275 
Enel Chile SA   7,566,625    454,518 
Total Chile        1,518,459 
           
China (11.38%)          
China Shenhua Energy Co., Ltd., Class H   159,500    616,243 
China Zheshang Bank Co., Ltd.   1,961,000    541,000 
Chongqing Rural Commercial Bank Co., Ltd.   1,316,000    531,140 
COSCO SHIPPING Holdings Co., Ltd.   562,000    605,822 
Yankuang Energy Group Co., Ltd., Class H   286,000    660,435 
Total China        2,954,640 
           
Colombia (4.39%)          
Bancolombia SA, ADR   17,894    581,913 
Interconexion Electrica SA ESP   130,817    557,264 
Total Colombia        1,139,177 
           
Czech Republic (1.53%)          
CEZ AS(a)   11,657    398,261 
           
Hungary (2.06%)          
Richter Gedeon Nyrt   20,056    533,941 
           
India (9.76%)          
Dr Reddy's Laboratories, Ltd., ADR   7,322    562,183 
Infosys, Ltd., Sponsored ADR   46,819    934,507 
Wipro, Ltd., ADR   167,316    1,035,686 
Total India        2,532,376 
           
Indonesia (9.32%)          
Adaro Energy Indonesia Tbk PT   3,044,100    468,770 
Gudang Garam Tbk PT   374,500    484,360 
Indofood Sukses Makmur Tbk PT   1,217,600    513,306 
Kalbe Farma Tbk PT   4,739,600    449,380 
Security Description  Shares   Value 
Indonesia (continued)          
Telkom Indonesia Persero Tbk PT   1,977,800   $503,417 
Total Indonesia        2,419,233 
           
Malaysia (10.36%)          
Axiata Group Bhd   1,003,900    588,103 
Genting Malaysia Bhd   885,800    535,717 
Maxis Bhd   605,700    474,808 
Petronas Gas Bhd   139,100    525,857 
Sime Darby Bhd   990,300    565,528 
Total Malaysia        2,690,013 
           
Mexico (9.65%)          
Grupo Aeroportuario del Centro Norte SAB de CV   56,122    486,434 
Grupo Aeroportuario del Pacifico SAB de CV, Class B(a)   34,071    503,082 
Grupo Financiero Banorte SAB de CV, Class O   52,575    543,571 
Grupo Mexico SAB de CV, Series B   108,725    527,797 
Orbia Advance Corp. SAB de CV   240,324    444,432 
Total Mexico        2,505,316 
           
Philippines (4.01%)          
Manila Electric Co.   75,060    520,740 
PLDT, Inc.   22,305    520,972 
Total Philippines        1,041,712 
           
Russia (0.01%)          
Mobile TeleSystems PJSC, Sponsored ADR(b)(c)   64,600    646 
Novolipetsk Steel PJSC, GDR(b)(c)(d)   17,594    176 
Severstal PAO, GDR(b)(c)(d)   23,283    233 
X5 Retail Group NV, GDR(b)(c)(d)   17,785    178 
Total Russia        1,233 
           
South Africa (8.90%)          
Exxaro Resources, Ltd.   50,820    470,893 
Pepkor Holdings, Ltd.(d)(e)   508,407    494,888 
Sasol, Ltd.   53,521    403,863 
Vodacom Group, Ltd.(a)   96,233    471,733 
Woolworths Holdings, Ltd.   139,794    467,705 
Total South Africa        2,309,082 
           
Thailand (10.66%)          
Bangkok Dusit Medical Services PCL   690,100    548,386 
Bumrungrad Hospital Pcl   83,100    519,013 
Delta Electronics Thailand PCL   366,000    727,102 
Home Product Center PCL   1,480,000    462,177 
Thai Beverage PCL   1,357,700    509,560 
Total Thailand        2,766,238 

 

 

Security Description  Shares   Value 
Turkey (2.15%)          
Tofas Turk Otomobil Fabrikasi A.S.   65,194   $558,391 
           
TOTAL COMMON STOCKS          
(Cost $26,986,223)        25,882,580 

 

7 Day Yield  Shares   Value 
SHORT TERM INVESTMENTS (2.10%)
Money Market Fund (0.23%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)               
(Cost $59,408)   5.28%   59,408   $59,408 
                
Investments Purchased with
Collateral from Securities Loaned (1.87%)
      
State Street Navigator Securities Lending Government Money Market Portfolio, 5.33%               
(Cost $484,443)        484,443    484,443 
TOTAL SHORT TERM INVESTMENTS
(Cost $543,851)             543,851 
                
TOTAL INVESTMENTS (101.82%)
(Cost $27,530,074)            $26,426,431 
LIABILITIES IN EXCESS OF OTHER ASSETS (-1.82%)    (471,310)
NET ASSETS - 100.00%            $25,955,121 

 

(a) Security, or a portion of the security position is currently on loan. The total market value of securities on loan is $903,895.
(b) Non-income producing security.
(c) As a result of the use of significant unobservable inputs to determine fair value, these investments have been classified as Level 3 securities under the fair value hierarchy.
(d) Securities were purchased pursuant to Regulation S under the Securities Act of 1933, which exempts securities offered and sold outside of the United States from registration.  Such securities cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. As of February 29, 2024, the market value of those securities was $495,475, representing 1.91% of net assets.
(e) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in the ordinary course of business in transactions exempt from registration, normally to qualified institutional buyers. At period end, the aggregate market value of those securities was $494,888, representing 1.91% of net assets.

 

See Notes to Quarterly Schedule of Investments.

 

 

ALPS Equal Sector Weight ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)

 

Security Description  Shares   Value 
EXCHANGE TRADED FUNDS (100.02%)(a) 
Communication Services (9.73%)          
Communication Services Select Sector SPDR Fund   394,100   $31,275,776 
           
Consumer Discretionary (8.95%)          
Consumer Discretionary Select Sector SPDR Fund(b)   156,182    28,801,522 
           
Consumer Staples (9.09%)          
Consumer Staples Select Sector SPDR Fund(b)   392,877    29,249,693 
           
Energy (8.89%)          
Energy Select Sector SPDR Fund   332,033    28,601,323 
           
Financials (9.39%)          
Financial Select Sector SPDR Fund   749,402    30,230,877 
           
Healthcare (9.39%)          
Health Care Select Sector SPDR Fund(b)   208,636    30,214,665 
           
Industrials (9.31%)          
Industrial Select Sector SPDR Fund   247,649    29,965,529 
           
Materials (8.94%)          
Materials Select Sector SPDR Fund(b)   328,636    28,775,368 
           
Real Estate (8.50%)          
Real Estate Select Sector SPDR Fund   699,800    27,369,178 
           
Technology (9.39%)          
Technology Select Sector SPDR Fund   145,997    30,218,459 
           
Utilities (8.44%)          
Utilities Select Sector SPDR Fund   437,600    27,174,960 
           
TOTAL EXCHANGE TRADED FUNDS          
(Cost $285,941,736)        321,877,350 

7 Day Yield

  Shares   Value 
SHORT TERM INVESTMENTS (15.25%)
Money Market Fund (0.00%)(c)
State Street Institutional Treasury Plus Money
Market Fund (Premier Class)
               
(Cost $7,241)   5.28%   7,241   $7,241 
                
Investments Purchased with Collateral from Securities Loaned (15.24%)           
State Street Navigator Securities Lending Government Money Market Portfolio, 5.33%               
(Cost $49,062,752)        49,062,752   $49,062,752 
TOTAL SHORT TERM INVESTMENTS
(Cost $49,069,993)             49,069,993 
                
TOTAL INVESTMENTS (115.26%)
(Cost $335,011,729)            $370,947,343 
LIABILITIES IN EXCESS OF OTHER ASSETS (-15.26%)    (49,101,972)
NET ASSETS - 100.00%            $321,845,371 

 

(a) The financial statements of the Underlying Sector ETFs, including the portfolio of investments, are included in The Select Sector SPDR Trust's N-CSR filing dated September 30, 2023, available at www.sec.gov or can be found at www.ssga.com and should be read in conjunction with the Fund's financial statements.
(b) Security, or a portion of the security position is currently on loan. The total market value of securities on loan is $50,907,408.
(c) Less than 0.005%

 

Common Abbreviations:
SPDR® - Standard & Poor's Depositary Receipts

 

See Notes to Quarterly Schedule of Investments.

 

 

ALPS Global Travel Beneficiaries ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (99.84%)
Communication Services (5.46%)          
Travelzoo(a)   1,630   $15,404 
TripAdvisor, Inc.(a)   894    23,977 
Walt Disney Co.   3,050    340,319 
Total Communication Services        379,700 
           
Consumer Discretionary (49.23%)          
Accor SA(a)   470    20,365 
Airbnb, Inc., Class A(a)   2,010    316,515 
Amadeus IT Group SA   1,204    70,764 
Avolta AG(a)   439    17,171 
Booking Holdings, Inc.   87    301,788 
Caesars Entertainment, Inc.(a)   1,584    68,856 
Churchill Downs, Inc.   549    66,907 
Cie Financiere Richemont SA, Class A   1,204    191,420 
Expedia Group, Inc.(a)   1,087    148,723 
Flight Centre Travel Group, Ltd.   1,289    17,938 
Galaxy Entertainment Group, Ltd.   9,000    49,141 
H World Group, Ltd., ADR   1,475    53,926 
Hilton Worldwide Holdings, Inc.   1,655    338,150 
InterContinental Hotels Group PLC   353    37,341 
Las Vegas Sands Corp.   1,907    103,970 
LVMH Moet Hennessy Louis Vuitton SE   365    332,479 
Marriott International, Inc., Class A   1,356    338,823 
MGM Resorts International(a)   2,025    87,642 
OneSpaWorld Holdings, Ltd.(a)   1,250    16,300 
Oriental Land Co., Ltd.   7,800    279,025 
Royal Caribbean Cruises, Ltd.(a)   467    57,604 
Sabre Corp.(a)   4,397    11,652 
Samsonite International SA(a)(b)(c)   12,300    42,966 
Sega Sammy Holdings, Inc.   1,400    17,528 
Tongcheng Travel Holdings, Ltd.(a)(c)   9,000    22,714 
Trainline PLC(a)(b)(c)   4,258    16,641 
Trip.com Group, Ltd., ADR(a)   4,132    183,750 
TUI AG(a)   2,048    14,317 
Vail Resorts, Inc.   355    81,760 
WH Smith PLC   953    14,869 

 

Security Description   Shares    Value 
Consumer Discretionary (continued)          
Wyndham Hotels & Resorts, Inc.   743   $56,877 
Wynn Resorts, Ltd.   495    52,074 
Total Consumer Discretionary        3,429,996 
           
Consumer Staples (10.55%)          
Estee Lauder Cos., Inc., Class A   2,030    301,617 
Hormel Foods Corp.   2,410    85,121 
L'Oreal SA   552    263,519 
Shiseido Co., Ltd.   3,100    83,683 
Total Consumer Staples        733,940 
           
Financials (5.93%)          
American Express Co.   1,677    367,967 
Euronet Worldwide, Inc.(a)   415    45,418 
Total Financials        413,385 
           
Industrials (23.31%)          
Aena SME SA(b)(c)   213    40,321 
Aeroports de Paris SA(a)   127    17,254 
Air France-KLM(a)   1,850    20,847 
Alaska Air Group, Inc.(a)   985    36,829 
American Airlines Group, Inc.(a)   4,068    63,786 
ANA Holdings, Inc.   2,800    60,961 
Auckland International Airport, Ltd.   7,400    36,494 
Avis Budget Group, Inc.   82    8,859 
Dassault Aviation SA   81    16,012 
Delta Air Lines, Inc.   5,588    236,204 
Deutsche Lufthansa AG(a)   1,728    13,424 
Elis SA   818    18,654 
Flughafen Zurich AG   74    15,606 
Grab Holdings, Ltd.(a)   5,042    15,479 
Grupo Aeroportuario del Pacifico SAB de CV(d)   2,356    34,788 
Grupo Aeroportuario del Sureste SAB de CV, ADR   151    44,450 
Hertz Global Holdings, Inc.(a)(d)   1,690    13,267 
International Consolidated Airlines Group SA(a)   7,881    14,649 
Japan Airlines Co., Ltd.   2,300    42,895 
Korean Air Lines Co., Ltd.   2,598    44,874 
Localiza Rent a Car SA   2,892    30,833 
Lyft, Inc., Class A(a)   1,291    20,501 
Qantas Airways, Ltd.(a)   15,668    52,245 
Ryanair Holdings PLC, ADR   239    33,042 
Sixt SE   156    14,610 
Southwest Airlines Co.   4,680    160,384 
Turk Hava Yollari AO(a)   4,741    42,770 
Uber Technologies, Inc.(a)   4,617    367,051 


 

 

 

Security Description   Shares    Value 
Industrials (continued)          
United Airlines Holdings, Inc.(a)   2,337   $106,310 
Total Industrials        1,623,399 
           
Information Technology (0.42%)          
Agilysys, Inc.(a)   187    14,548 
Clear Secure, Inc.   751    14,457 
Total Information Technology        29,005 
           
Real Estate (4.94%)          
Gaming and Leisure Properties, Inc.   2,923    132,938 
Host Hotels & Resorts, Inc.   7,177    148,851 
Ryman Hospitality Properties, Inc.   525    62,202 
Total Real Estate        343,991 
           
TOTAL COMMON STOCKS
(Cost $6,472,411)        6,953,416 

 

7 Day Yield  Shares   Value 
SHORT TERM INVESTMENTS (0.31%)
Money Market Fund (0.13%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)               
(Cost $9,168)   5.28%   9,168   $9,168 
                
                
Investments Purchased with Collateral from Securities Loaned (0.18%)               
State Street Navigator Securities Lending Government Money Market Portfolio, 5.33%               
(Cost $12,548)        12,548    12,548 
TOTAL SHORT TERM INVESTMENTS
(Cost $21,716)             21,716 
                
TOTAL INVESTMENTS (100.15%)
(Cost $6,494,127)            $6,975,132 
LIABILITIES IN EXCESS OF OTHER ASSETS (-0.15%)     (10,697)
NET ASSETS - 100.00%            $6,964,435 

 

(a) Non-income producing security.

 

 

(b) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in the ordinary course of business in transactions exempt from registration, normally to qualified institutional buyers. At period end, the aggregate market value of those securities was $99,928, representing 1.43% of net assets.
(c) Securities were purchased pursuant to Regulation S under the Securities Act of 1933, which exempts securities offered and sold outside of the United States from registration.  Such securities cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. As of February 29, 2024, the market value of those securities was $122,642, representing 1.76% of net assets.
(d) Security, or a portion of the security position is currently on loan. The total market value of securities on loan is $43,225.

 

See Notes to Quarterly Schedule of Investments.


 

ALPS Intermediate Municipal Bond ETF

Schedule of Investments

 

As of February 29, 2024 (Unaudited)

 

Security Description  Principal Amount   Value 
GOVERNMENT BONDS (5.69%)          
United States Treasury Bill          
5.67%, 03/07/2024(a)  $1,795,000   $1,793,428 
           
Total        1,793,428 
           
TOTAL GOVERNMENT BONDS          
(Cost $1,791,217)        1,793,428 

 

Security Description  Principal Amount   Value 
MUNICIPAL BONDS (95.82%)          
General Obligation Limited  (2.29%)          
Pennsylvania  (2.29%)          
School District of Philadelphia          
5.00%, 09/01/2034   500,000    515,450 
4.00%, 09/01/2036   200,000    205,085 
Total Pennsylvania        720,535 
           
Total General Obligation Limited        720,535 
           
General Obligation Unlimited  (12.76%)          
California  (5.54%)          
Allan Hancock Joint Community College District          
0.00%, 08/01/2042(a)   350,000    294,483 
Chaffey Joint Union High School District          
0.00%, 08/01/2044(a)   250,000    98,666 
Chino Valley Unified School District          
0.00%, 08/01/2035(a)   135,000    88,311 
Lake Tahoe Unified School District          
0.00%, 08/01/2045(a)   150,000    124,481 
Mount San Antonio Community College District          
0.00%, 08/01/2043(a)   275,000    271,934 
Rio Hondo Community College District          
0.00%, 08/01/2036(a)   300,000    192,246 
0.00%, 08/01/2044(a)   150,000    57,938 
San Mateo County Community College District          
0.00%, 09/01/2035(a)   110,000    76,648 
San Mateo Union High School District          
0.00%, 09/01/2041(a)   520,000    546,147 
Total California        1,750,854 
Security Description  Principal Amount   Value 
General Obligation Unlimited (continued)          
Oregon  (4.09%)          
Clackamas & Washington Counties School District No 3          
0.00%, 06/15/2036(a)  $600,000   $368,955 
Multnomah County School District No 40          
0.00%, 06/15/2043(a)   1,000,000    405,640 
Multnomah County School District No 7 Reynolds          
0.00%, 06/15/2035(a)   500,000    307,888 
Washington & Multnomah Counties School District No 48J Beaverton          
0.00%, 06/15/2034(a)   200,000    133,351 
0.00%, 06/15/2041(a)   150,000    69,012 
Total Oregon        1,284,846 
           
Texas  (1.78%)          
Fort Bend Independent School District          
0.72%, 08/01/2051   65,000    59,877 
3.65%, 08/01/2052   500,000    499,845 
Total Texas        559,722 
           
Washington  (1.35%)          
Washington Clackamas & Yamhill Counties School District No 88J          
0.00%, 06/15/2037(a)   150,000    83,846 
0.00%, 06/15/2039(a)   255,000    128,901 
0.00%, 06/15/2040(a)   200,000    97,395 
0.00%, 06/15/2041(a)   250,000    114,584 
Total Washington        424,726 
           
Total General Obligation Unlimited        4,020,148 
           
Revenue Bonds  (80.77%)          
Alabama  (0.21%)          
Industrial Development Board of the City of Mobile Alabama          
3.92%, 06/01/2034   65,000    65,477 
Total Alabama        65,477 
           
Arizona  (4.42%)          
Chandler Industrial Development Authority          
4.10%, 12/01/2037   175,000    176,764 
Salt Verde Financial Corp.          
5.00%, 12/01/2032   675,000    722,142 
5.00%, 12/01/2037   450,000    494,105 
Total Arizona        1,393,011 
           
California  (6.23%)          
Anaheim Public Financing Authority          
0.00%, 09/01/2030(a)   275,000    224,477 


 

Security Description  Principal Amount   Value 
Revenue Bonds (continued)          
California Infrastructure & Economic Development Bank          
3.25%, 08/01/2029  $300,000   $302,829 
California Municipal Finance Authority          
3.20%, 09/01/2045   175,000    174,475 
Long Beach Bond Finance Authority          
3M US SOFR + 1.45%, 11/15/2027(c)   430,000    429,865 
Modesto Irrigation District          
3M US SOFR + 0.63%, 09/01/2037(c)   460,000    434,877 
Northern California Gas Authority No 1          
3M US SOFR + 0.72%, 07/01/2027(c)   230,000    228,173 
San Diego County Regional Airport Authority          
5.25%, 07/01/2036   150,000    171,873 
Total California        1,966,569 
           
Colorado  (2.62%)          
City & County of Denver Co. Airport System Revenue          
5.25%, 11/15/2035   250,000    288,986 
5.75%, 11/15/2036   250,000    309,321 
E-470 Public Highway Authority          
0.00%, 09/01/2035(a)   300,000    175,217 
1D US SOFR + 0.35%, 09/01/2039(c)   50,000    49,905 
Total Colorado        823,429 
           
Connecticut  (0.99%)          
Connecticut Housing Finance Authority          
4.00%, 11/15/2047   315,000    313,537 
Total Connecticut        313,537 
           
District of Columbia  (2.32%)          
Metropolitan Washington Airports Authority Aviation Revenue          
5.00%, 10/01/2030   200,000    201,251 
5.00%, 10/01/2031   245,000    253,891 
5.00%, 10/01/2037   250,000    275,180 
Total District of Columbia        730,322 
           
Florida  (3.18%)          
City Of South Miami Health Facilities Authority, Inc.          
5.00%, 08/15/2042   300,000    308,146 
County of Broward FL Airport System Revenue          
5.00%, 10/01/2031   200,000    216,730 
Florida Housing Finance Corp.          
5.50%, 01/01/2054   145,000    152,062 
Security Description  Principal Amount   Value 
Revenue Bonds (continued)          
Greater Orlando Aviation Authority          
5.00%, 10/01/2033  $300,000   $324,957 
Total Florida        1,001,895 
           
Georgia  (5.42%)          
Development Authority of Burke County          
1.50%, 01/01/2040   255,000    246,002 
1.70%, 12/01/2049   650,000    640,624 
Main Street Natural Gas, Inc.          
4.00%, 08/01/2049   500,000    500,960 
5.00%, 12/01/2053   300,000    320,493 
Total Georgia        1,708,079 
           
Illinois  (2.68%)          
Illinois Finance Authority          
5.00%, 08/15/2035   225,000    251,124 
5.00%, 02/15/2036   370,000    383,580 
Illinois Housing Development Authority          
6.25%, 04/01/2054   190,000    211,851 
Total Illinois        846,555 
           
Indiana  (0.50%)          
Indiana Finance Authority          
5.00%, 11/01/2043   150,000    156,353 
Total Indiana        156,353 
           
Kentucky  (3.06%)          
County of Trimble KY          
4.70%, 06/01/2054   300,000    303,384 
Kentucky Public Energy Authority          
4.00%, 12/01/2049   210,000    210,321 
1D US SOFR + 1.20%, 08/01/2052(c)   460,000    451,755 
Total Kentucky        965,460 
           
Massachusetts  (0.45%)          
Massachusetts Housing Finance Agency          
3.00%, 12/01/2050   145,000    140,902 
Total Massachusetts        140,902 
           
Minnesota  (0.35%)          
Minnesota Housing Finance Agency          
2.47%, 01/01/2050   124,781    109,667 
Total Minnesota        109,667 
           
Mississippi  (0.72%)          
Mississippi State University Educational Building Corp.          
5.00%, 08/01/2038(b)   200,000    227,369 
Total Mississippi        227,369 
           


 

Security Description  Principal Amount   Value 
Revenue Bonds (continued)          
Missouri  (0.68%)          
Missouri Housing Development Commission          
4.00%, 05/01/2050  $215,000   $214,174 
Total Missouri        214,174 
           
Nebraska  (3.06%)          
Central Plains Energy Project          
5.00%, 05/01/2053   725,000    761,235 
Nebraska Investment Finance Authority          
3.50%, 09/01/2046   205,000    202,672 
Total Nebraska        963,907 
           
New Jersey  (5.05%)          
New Jersey Economic Development Authority          
5.00%, 06/15/2034(b)   250,000    295,439 
New Jersey Health Care Facilities Financing Authority          
5.00%, 07/01/2045   220,000    227,744 
New Jersey Transportation Trust Fund Authority          
0.00%, 12/15/2031(a)   1,375,000    1,067,955 
Total New Jersey        1,591,138 
           
New Mexico  (1.97%)          
City of Farmington NM          
1.80%, 04/01/2029   375,000    333,896 
New Mexico Mortgage Finance Authority          
5.25%, 03/01/2053   275,000    288,039 
Total New Mexico        621,935 
           
New York  (8.83%)          
Metropolitan Transportation Authority          
1D US SOFR + 0.43%, 11/01/2026(c)   65,000    64,726 
1D US SOFR + 0.80%, 11/01/2032(c)   460,000    460,356 
1D US SOFR + 0.33%, 11/01/2035(c)   445,000    444,946 
New York State Dormitory Authority          
4.00%, 07/01/2038   100,000    104,966 
Port Authority of New York & New Jersey          
5.00%, 11/01/2030   1,100,000    1,197,274 
Triborough Bridge & Tunnel Authority          
0.00%, 11/15/2039(a)   1,000,000    515,765 
Total New York        2,788,033 
Security Description  Principal Amount   Value 
Revenue Bonds (continued)          
North Carolina  (2.61%)          
North Carolina Housing Finance Agency          
6.25%, 01/01/2055  $750,000   $821,873 
Total North Carolina        821,873 
           
North Dakota  (2.10%)          
North Dakota Housing Finance Agency          
4.25%, 01/01/2049   345,000    344,853 
5.75%, 07/01/2053   300,000    318,894 
Total North Dakota        663,747 
           
Ohio  (3.16%)          
Ohio Housing Finance Agency          
5.00%, 03/01/2052   965,000    995,866 
Total Ohio        995,866 
           
Oklahoma  (1.62%)          
Oklahoma Housing Finance Agency          
5.00%, 03/01/2052   495,000    510,578 
Total Oklahoma        510,578 
           
Oregon  (0.71%)          
Port of Portland OR Airport Revenue          
5.00%, 07/01/2036   200,000    224,013 
Total Oregon        224,013 
           
South Carolina  (0.52%)          
South Carolina State Housing Finance & Development Authority          
5.75%, 01/01/2054   150,000    162,488 
Total South Carolina        162,488 
           
South Dakota  (3.67%)          
South Dakota Housing Development Authority          
5.00%, 05/01/2053   965,000    995,552 
6.00%, 05/01/2054   150,000    160,622 
Total South Dakota        1,156,174 
           
Tennessee  (3.92%)          
New Memphis Arena Public Building Authority          
0.00%, 04/01/2030(a)   240,000    221,311 
Tennessee Housing Development Agency          
5.00%, 01/01/2053   975,000    1,011,758 
Total Tennessee        1,233,069 


 

Security Description  Principal Amount   Value 
Revenue Bonds (continued)          
Texas  (5.56%)          
City of Austin TX Airport System Revenue          
5.00%, 11/15/2036  $200,000   $221,075 
City of Houston TX Airport System Revenue          
5.00%, 07/01/2036   135,000    151,322 
Texas Department of Housing & Community Affairs          
3.50%, 07/01/2052   330,000    323,982 
Texas Municipal Gas Acquisition and Supply Corp. I          
3M US SOFR + 0.70%, 12/15/2026(c)   480,000    476,263 
6.25%, 12/15/2026   35,000    36,348 
Texas Municipal Gas Acquisition and Supply Corp. II          
3M US SOFR + 1.06%, 09/15/2027(c)   415,000    412,485 
3M US SOFR + 0.86%, 09/15/2027(c)   130,000    128,682 
Total Texas        1,750,157 
           
Virginia  (0.96%)          
York County Economic Development Authority          
3.65%, 05/01/2033   300,000    301,301 
Total Virginia        301,301 
           
Washington  (1.69%)          
District of Columbia          
5.00%, 07/15/2040   200,000    204,124 
Port of Seattle WA          
5.00%, 04/01/2027   250,000    251,707 
Washington Health Care Facilities Authority          
4.00%, 10/01/2042   75,000    75,370 
Total Washington        531,201 
           
Wisconsin  (1.51%)          
County of Milwaukee WI Airport Revenue          
5.00%, 12/01/2030   125,000    129,441 
Public Finance Authority          
3.70%, 10/01/2046   150,000    151,712 
Wisconsin Health & Educational Facilities Authority          
4.00%, 11/15/2043   200,000    194,013 
Total Wisconsin        475,166 
           
Total Revenue Bonds        25,453,445 
           
TOTAL MUNICIPAL BONDS          
(Cost $29,588,723)        30,194,128 
7 Day Yield  Shares   Value 
SHORT TERM INVESTMENTS (0.17%)
Money Market Fund               
State Street Institutional US Government Money Market Fund (Premier Class)   5.28%   54,049   $54,049 
                
TOTAL SHORT TERM INVESTMENTS
(Cost $54,049)             54,049 
                
TOTAL INVESTMENTS (101.68%)
(Cost $31,433,989)            $32,041,605 
LIABILITIES IN EXCESS OF OTHER ASSETS (-1.68%)             (528,903)
NET ASSETS - 100.00%            $31,512,702 

 

Investment Abbreviations:
SOFR - Secured Overnight Financing Rate
 
Reference Rates:
1D US SOFR - 1 Day SOFR as of February 29, 2024 was 5.32%
3M US SOFR - 3 Month SOFR as of February 29, 2024 was 5.33%
 
(a) Zero coupon bond.
(b) Represents a security purchased on a when-issued basis.
(c) Floating or variable rate security. Interest rate resets periodically on specific dates. The rate shown represents the coupon or interest rate in effect as of February 29, 2024. Security description includes the reference rate and spread if published and available.
 
See Notes to Quarterly Schedule of Investments.


 

ALPS International Sector Dividend Dogs ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (99.48%)          
Australia (7.75%)          
BHP Group, Ltd.   162,228   $4,632,344 
Coles Group, Ltd.   494,155    5,428,298 
Fortescue, Ltd.   300,713    5,068,372 
Woodside Energy Group, Ltd.   259,824    5,127,372 
Total Australia        20,256,386 
           
Austria (2.04%)          
OMV AG   121,218    5,337,449 
           
Denmark (1.81%)          
A P Moller-Maersk A/S   3,343    4,724,263 
           
Finland (3.78%)          
Fortum Oyj   347,265    4,334,995 
Nokia Oyj   1,577,165    5,556,147 
Total Finland        9,891,142 
           
France (9.64%)          
Cie Generale des Etablissements Michelin SCA   147,441    5,448,325 
Credit Agricole SA   373,244    5,050,598 
Engie SA   289,843    4,647,562 
Orange SA   424,171    4,862,260 
Sanofi SA   54,679    5,194,044 
Total France        25,202,789 
           
Germany (8.12%)          
BASF SE   104,076    5,295,250 
Bayer AG   147,371    4,474,138 
Bayerische Motoren Werke AG   46,578    5,498,302 
Mercedes-Benz Group AG   74,774    5,951,275 
Total Germany        21,218,965 
           
Great Britain (4.10%)          
NatWest Group PLC   1,829,730    5,522,450 
Unilever PLC   106,516    5,198,739 
Total Great Britain        10,721,189 
           
Hong Kong (4.35%)          
CITIC, Ltd.   5,548,000    5,605,043 
Security Description  Shares   Value 
Hong Kong (continued)          
Hong Kong & China Gas Co., Ltd.   7,438,896   $5,757,674 
Total Hong Kong        11,362,717 
           
Italy (7.91%)          
Enel SpA   716,609    4,556,451 
Eni SpA   313,548    4,828,403 
Intesa Sanpaolo SpA   1,743,625    5,536,694 
Mediobanca Banca di Credito Finanziario SpA   422,897    5,756,763 
Total Italy        20,678,311 
           
Japan (8.34%)          
Canon, Inc.(a)   198,163    5,785,482 
Isuzu Motors, Ltd.   395,592    5,625,681 
Japan Tobacco, Inc.   196,200    5,093,453 
Takeda Pharmaceutical Co., Ltd.   180,800    5,290,619 
Total Japan        21,795,235 
           
Netherlands (9.19%)          
BE Semiconductor Industries NV(a)   35,372    6,390,158 
NN Group NV   132,290    5,899,319 
NXP Semiconductors NV   23,548    5,880,642 
Stellantis NV   223,769    5,837,042 
Total Netherlands        24,007,161 
           
Norway (5.32%)          
Aker BP ASA   183,833    4,460,260 
Norsk Hydro ASA   886,798    4,553,676 
Telenor ASA   447,817    4,899,244 
Total Norway        13,913,180 
           
Poland (1.95%)          
ORLEN SA   328,859    5,104,475 
           
Singapore (1.97%)          
Singapore Airlines, Ltd.(a)   1,071,480    5,152,150 
           
Spain (3.81%)          
ACS Actividades de Construccion y Servicios SA(a)   125,661    5,152,802 
Telefonica SA   1,174,623    4,815,340 
Total Spain        9,968,142 
           
Sweden (1.86%)          
Telefonaktiebolaget LM Ericsson, Class B   894,260    4,850,694 


 

 

Security Description  Shares   Value 
Switzerland (3.96%)          
Kuehne + Nagel International AG   17,044   $5,735,619 
Roche Holding AG   17,587    4,612,771 
Total Switzerland        10,348,390 
           
United Kingdom (13.58%)          
British American Tobacco PLC   174,034    5,151,600 
GSK PLC   281,346    5,911,747 
Imperial Brands PLC   221,702    4,770,147 
National Grid Plc   380,477    4,982,894 
Rio Tinto PLC   72,188    4,628,160 
Vodafone Group PLC   5,820,739    5,078,635 
WPP PLC   558,421    4,985,046 
Total United Kingdom        35,508,229 
           
TOTAL COMMON STOCKS          
(Cost $254,660,063)        260,040,867 

 

7 Day Yield    Shares   Value 
SHORT TERM INVESTMENTS (2.36%)
Money Market Fund (0.06%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)               
(Cost $144,119)   5.28%   144,119   $144,119 
                
Investments Purchased with Collateral from Securities Loaned (2.30%)
State Street Navigator Securities Lending Government Money Market Portfolio, 5.33%               
(Cost $6,008,182)        6,008,182    6,008,182 
TOTAL SHORT TERM INVESTMENTS
(Cost $6,152,301)             6,152,301 
                
TOTAL INVESTMENTS (101.84%)
(Cost $260,812,364)            $266,193,168 
LIABILITIES IN EXCESS OF OTHER ASSETS (-1.84%)    (4,803,403)
NET ASSETS - 100.00%    $261,389,765 

 

(a) Security, or a portion of the security position is currently on loan. The total market value of securities on loan is $13,227,181.

 

See Notes to Quarterly Schedule of Investments.



 

 

ALPS Medical Breakthroughs ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (100.04%)          
Biotechnology (85.38%)          
4D Molecular Therapeutics, Inc.(a)   31,262   $875,961 
89bio, Inc.(a)   56,638    649,638 
ACADIA Pharmaceuticals, Inc.(a)   120,688    2,804,789 
ACELYRIN, Inc.(a)(b)   69,709    589,041 
Aerovate Therapeutics, Inc.(a)   20,240    467,139 
Agios Pharmaceuticals, Inc.(a)   40,804    1,318,785 
Akero Therapeutics, Inc.(a)   40,268    1,086,833 
Alector, Inc.(a)   60,838    424,041 
Alkermes PLC(a)(b)   126,211    3,747,205 
Allogene Therapeutics, Inc.(a)(b)   128,094    628,942 
Alpine Immune Sciences, Inc.(a)   42,691    1,503,577 
AnaptysBio, Inc.(a)   19,458    496,763 
Anavex Life Sciences Corp.(a)   60,143    309,135 
Arcellx, Inc.(a)   35,050    2,306,991 
Arcturus Therapeutics Holdings, Inc.(a)   19,486    755,277 
Arcus Biosciences, Inc.(a)   56,707    1,084,805 
ARS Pharmaceuticals, Inc.(a)   71,616    599,426 
Aura Biosciences, Inc.(a)   36,576    331,744 
Aurinia Pharmaceuticals, Inc.(a)   108,578    621,066 
Avidity Biosciences, Inc.(a)   54,669    1,000,443 
BioCryst Pharmaceuticals, Inc.(a)   149,053    839,168 
Biomea Fusion, Inc.(a)(b)   32,845    574,788 
Catalyst Pharmaceuticals, Inc.(a)   78,149    1,252,728 
Celldex Therapeutics, Inc.(a)   40,699    1,955,994 
Cerevel Therapeutics Holdings, Inc.(a)   105,293    4,317,013 
Compass Pathways PLC, ADR(a)(b)   46,371    476,230 
Crinetics Pharmaceuticals, Inc.(a)   49,691    2,034,350 
Day One Biopharmaceuticals, Inc.(a)   64,439    1,078,064 
Deciphera Pharmaceuticals, Inc.(a)   53,697    896,203 
Denali Therapeutics, Inc.(a)   105,734    2,091,419 
Disc Medicine, Inc.(a)   17,394    1,194,446 
Enanta Pharmaceuticals, Inc.(a)   15,421    221,600 
Galapagos NV, Sponsored ADR(a)   49,374    1,733,521 
Geron Corp.(a)(b)   387,302    774,604 
Ideaya Biosciences, Inc.(a)   45,790    2,046,813 
Immunocore Holdings PLC, ADR(a)   36,082    2,425,432 
Inhibrx, Inc.(a)   35,737    1,309,046 
Inozyme Pharma, Inc.(a)   45,705    290,684 
Intellia Therapeutics, Inc.(a)(b)   67,265    2,160,552 
Security Description  Shares   Value 
Biotechnology (continued)          
Ironwood Pharmaceuticals, Inc.(a)   115,786   $1,091,862 
iTeos Therapeutics, Inc.(a)   27,444    293,925 
Keros Therapeutics, Inc.(a)   21,126    1,426,006 
Kiniksa Pharmaceuticals, Ltd., Class A(a)   25,569    540,529 
Kura Oncology, Inc.(a)   54,515    1,149,176 
MacroGenics, Inc.(a)   44,976    806,869 
MannKind Corp.(a)   197,544    811,906 
Merus NV(a)   43,252    2,096,857 
MiMedx Group, Inc.(a)   86,477    705,652 
Mineralys Therapeutics, Inc.(a)   28,995    445,943 
Mirum Pharmaceuticals, Inc.(a)(b)   34,137    980,073 
MoonLake Immunotherapeutics(a)   42,117    2,031,724 
Morphic Holding, Inc.(a)   36,169    1,336,445 
Olema Pharmaceuticals, Inc.(a)(b)   41,247    511,463 
Protagonist Therapeutics, Inc.(a)   43,246    1,313,813 
Prothena Corp. PLC(a)(b)   39,430    1,087,874 
RAPT Therapeutics, Inc.(a)   24,459    209,614 
Reneo Pharmaceuticals, Inc.(a)   24,270    40,046 
Replimune Group, Inc.(a)   42,730    366,623 
REVOLUTION Medicines, Inc.(a)(b)   120,185    3,543,055 
Rhythm Pharmaceuticals, Inc.(a)   43,344    1,881,996 
Savara, Inc.(a)   98,145    495,632 
Soleno Therapeutics, Inc.(a)   21,044    1,016,846 
SpringWorks Therapeutics, Inc.(a)(b)   44,517    2,192,907 
Summit Therapeutics, Inc.(a)(b)   574,673    2,609,016 
Syndax Pharmaceuticals, Inc.(a)   51,996    1,218,786 
Travere Therapeutics, Inc.(a)   50,625    382,725 
Vanda Pharmaceuticals, Inc.(a)   42,832    191,459 
Vaxcyte, Inc.(a)(b)   70,617    5,212,947 
Vera Therapeutics, Inc.(a)   32,604    1,534,996 
Vericel Corp.(a)   35,150    1,605,652 
Viking Therapeutics, Inc.(a)   71,593    5,516,241 
Vir Biotechnology, Inc.(a)   99,354    1,116,739 
Viridian Therapeutics, Inc.(a)   37,620    703,870 
Xencor, Inc.(a)   43,406    996,168 
Xenon Pharmaceuticals, Inc.(a)   54,779    2,585,569 
Zai Lab, Ltd., ADR(a)(b)   72,204    1,514,840 
Zentalis Pharmaceuticals, Inc.(a)   51,663    770,295 
Total Biotechnology        101,610,395 
           
Health Care Providers & Services (0.49%)          
OPKO Health, Inc.(a)(b)   579,100    579,100 
           
Pharmaceuticals (14.17%)          
Amylyx Pharmaceuticals, Inc.(a)   53,676    1,011,793 
Arvinas, Inc.(a)   38,191    1,756,022 
Atea Pharmaceuticals, Inc.(a)   62,826    270,780 
Axsome Therapeutics, Inc.(a)(b)   34,979    2,846,591 
Corcept Therapeutics, Inc.(a)   78,072    1,834,692 

 

 

Security Description  Shares   Value 
Pharmaceuticals (continued)          
Cymabay Therapeutics, Inc.(a)   81,438   $2,621,488 
Edgewise Therapeutics, Inc.(a)   46,708    762,742 
Fulcrum Therapeutics, Inc.(a)   43,178    440,847 
Liquidia Corp.(a)   48,527    687,142 
Neumora Therapeutics, Inc.(a)   114,359    2,016,149 
Pliant Therapeutics, Inc.(a)(b)   44,334    703,581 
Tarsus Pharmaceuticals, Inc.(a)   23,605    902,183 
Verona Pharma PLC, ADR(a)(b)   58,412    1,005,855 
Total Pharmaceuticals        16,859,865 
           
TOTAL COMMON STOCKS          
(Cost $105,121,099)        119,049,360 

 

7 Day Yield  Shares   Value 
SHORT TERM INVESTMENTS (3.72%)
Money Market Fund (0.07%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)               
(Cost $86,327)   5.28%   86,327   $86,327 
                
Investments Purchased with Collateral from Securities Loaned (3.65%)           
State Street Navigator Securities Lending Government Money Market Portfolio, 5.33%               
(Cost $4,352,837)        4,352,837    4,352,837 
TOTAL SHORT TERM INVESTMENTS
(Cost $4,439,164)             4,439,164 
                
TOTAL INVESTMENTS (103.76%)
(Cost $109,560,263)            $123,488,524 
LIABILITIES IN EXCESS OF OTHER ASSETS (-3.76%)    (4,478,832)
NET ASSETS - 100.00%            $119,009,692 

 

(a) Non-income producing security.
(b) Security, or a portion of the security position is currently on loan. The total market value of securities on loan is $13,945,934.

 

See Notes to Quarterly Schedule of Investments.

 

 

ALPS | O'Shares Europe Quality Dividend ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (98.95%)          
Aerospace & Defense (1.49%)          
BAE Systems PLC   35,022   $549,070 
           
Air Freight & Logistics (1.43%)          
Deutsche Post AG   11,356    526,659 
           
Automobile Components (0.79%)          
Cie Generale des Etablissements Michelin SCA   7,917    292,554 
           
Automobiles (4.04%)          
Bayerische Motoren Werke AG   3,288    388,132 
Stellantis NV(a)   42,300    1,103,401 
Total Automobiles        1,491,533 
           
Banks (2.30%)          
HSBC Holdings PLC   110,400    849,556 
           
Beverages (2.56%)          
Carlsberg AS   621    86,534 
Diageo PLC   16,624    621,564 
Pernod Ricard SA   1,418    236,860 
Total Beverages        944,958 
           
Building Products (0.57%)          
Geberit AG   362    210,073 
           
Capital Markets (1.84%)          
3i Group PLC   11,347    353,502 
Partners Group Holding AG   227    325,734 
Total Capital Markets        679,236 
           
Construction & Engineering (1.94%)          
Vinci SA   5,596    716,102 
           
Consumer Staples Distribution & Retail (0.56%)          
Koninklijke Ahold Delhaize NV   6,904    205,350 
           
Diversified Telecommunication Services (2.95%)          
Deutsche Telekom AG   39,137    929,950 
Swisscom AG   276    157,732 
Total Diversified Telecommunication Services        1,087,682 
           
Electric Utilities (2.30%)          
Iberdrola SA   74,117    850,723 
           
Electrical Equipment (6.55%)          
ABB, Ltd.   18,411    847,737 
Legrand SA   3,026    305,792 
Security Description  Shares   Value 
Electrical Equipment (continued)          
Schneider Electric SE   5,569   $1,262,781 
Total Electrical Equipment        2,416,310 
           
Financial Services (2.23%)          
Industrivarden AB, Class C   3,270    111,130 
Investor AB   28,359    712,368 
Total Financial Services        823,498 
           
Food Products (3.80%)          
Nestle SA   13,500    1,400,758 
           
Household Products (0.91%)          
Reckitt Benckiser Group PLC   5,295    334,062 
           
Industrial Conglomerates (3.56%)          
Siemens AG   6,639    1,312,674 
           
Insurance (5.23%)          
Allianz SE   4,018    1,102,383 
Zurich Insurance Group AG   1,551    824,300 
Total Insurance        1,926,683 
           
Machinery (4.79%)          
Atlas Copco AB   45,468    788,399 
Kone Oyj, Class B   9,103    444,898 
Volvo AB   19,296    530,685 
Total Machinery        1,763,982 
           
Marine Transportation (0.52%)          
Kuehne + Nagel International AG   572    192,488 
           
Multi-Utilities (1.58%)          
National Grid PLC   44,345    580,762 
           
Personal Care Products (4.82%)          
L'Oreal SA   1,767    843,548 
Unilever PLC   19,111    932,753 
Total Personal Care Products        1,776,301 
           
Pharmaceuticals (16.38%)          
GSK PLC   33,348    700,721 
Novartis AG   12,927    1,308,122 
Novo Nordisk A/S, Class B   16,408    1,950,212 
Roche Holding AG   4,510    1,182,897 
Sanofi SA   9,412    894,061 
Total Pharmaceuticals        6,036,013 
           
Professional Services (5.36%)          
Experian PLC   13,048    557,529 
RELX PLC   22,557    985,480 
Wolters Kluwer NV   2,781    438,382 
Total Professional Services        1,981,391 
           
Semiconductors & Semiconductor Equipment (5.94%)          
ASML Holding NV   2,326    2,188,387 

 

 

Security Description  Shares   Value 
Software (4.04%)          
SAP SE   7,963   $1,487,878 
           
Specialty Retail (1.59%)          
Industria de Diseno Textil SA   13,200    585,072 
           
Textiles, Apparel & Luxury Goods (7.13%)          
Hermes International SCA   294    734,968 
Kering SA   797    366,137 
LVMH Moet Hennessy Louis Vuitton SE   1,677    1,527,577 
Total Textiles, Apparel & Luxury Goods        2,628,682 
           
Tobacco (1.17%)          
British American Tobacco PLC   14,527    430,015 
           
Wireless Telecommunication Services (0.58%)          
Vodafone Group PLC   243,700    212,630 
           
TOTAL COMMON STOCKS          
(Cost $31,476,829)        36,481,082 

 

7 Day Yield  Shares   Value 
SHORT TERM INVESTMENTS (0.26%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)   5.28%   94,605    94,605 
                
TOTAL SHORT TERM INVESTMENTS
(Cost $94,605)             94,605 
                
TOTAL INVESTMENTS (99.21%)
(Cost $31,571,434)            $36,575,687 
OTHER ASSETS IN EXCESS OF LIABILITIES (0.79%)    289,868 
NET ASSETS - 100.00%            $36,865,555 

 

(a) Non-income producing security.

 

See Notes to Quarterly Schedule of Investments.


 

 

ALPS | O'Shares Global Internet Giants ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (100.02%)          
Broadline Retail (12.32%)          
Alibaba Group Holding, Ltd., Sponsored ADR   18,343   $1,357,932 
Allegro.eu SA(a)(b)(c)   165,207    1,334,076 
Amazon.com, Inc.(a)   53,772    9,504,739 
JD.com, Inc., ADR   18,126    410,010 
MercadoLibre, Inc.(a)   1,367    2,180,775 
PDD Holdings, Inc., ADR(a)   27,031    3,366,441 
Total Broadline Retail        18,153,973 
           
Diversified Consumer Services (1.29%)          
Duolingo, Inc.(a)   7,988    1,909,132 
           
Entertainment (6.14%)          
Live Nation Entertainment, Inc.(a)   5,758    558,411 
NetEase, Inc., ADR   8,839    953,905 
Netflix, Inc.(a)   3,758    2,265,772 
Nexon Co., Ltd.   43,100    697,443 
ROBLOX Corp., Class A(a)   20,675    824,933 
Roku, Inc.(a)   9,542    602,864 
Spotify Technology SA(a)   6,021    1,543,845 
Take-Two Interactive Software, Inc.(a)   10,962    1,610,646 
Total Entertainment        9,057,819 
           
Ground Transportation (2.49%)          
Full Truck Alliance Co., Ltd., ADR(a)   196,857    1,299,256 
Uber Technologies, Inc.(a)   29,910    2,377,845 
Total Ground Transportation        3,677,101 
           
Hotels, Restaurants & Leisure (6.72%)          
Airbnb, Inc., Class A(a)   9,427    1,484,470 
Amadeus IT Group SA   12,452    731,853 
Booking Holdings, Inc.   393    1,363,250 
Delivery Hero SE(a)(b)(c)   33,695    778,062 
DoorDash, Inc., Class A(a)   13,714    1,708,353 
Meituan, Class B(a)(b)(c)   133,717    1,362,873 
Trip.com Group, Ltd., ADR(a)   55,941    2,487,696 
Total Hotels, Restaurants & Leisure        9,916,557 
           
Interactive Media & Services (13.51%)          
Adevinta ASA(a)   98,587    1,052,580 
Alphabet, Inc., Class A(a)   41,885    5,799,397 
Baidu, Inc., Sponsored ADR(a)   6,030    611,020 
Kuaishou Technology(a)(b)(c)   86,800    493,339 
LY Corp.   177,600    489,134 
Match Group, Inc.(a)   19,624    707,249 
Meta Platforms, Inc., Class A   17,450    8,552,770 
Pinterest, Inc., Class A(a)   28,203    1,035,050 
Snap, Inc., Class A(a)   45,965    506,534 
Security Description  Shares   Value 
Interactive Media & Services (continued)          
Tencent Holdings, Ltd.   18,917   $669,748 
Total Interactive Media & Services        19,916,821 
           
IT Services (7.53%)          
Cloudflare, Inc., Class A(a)   24,285    2,393,044 
MongoDB, Inc.(a)   4,715    2,110,340 
Obic Co., Ltd.   4,011    626,719 
Okta, Inc.(a)   14,746    1,582,246 
Shopify, Inc., Class A(a)   27,971    2,136,145 
Snowflake, Inc., Class A(a)   12,004    2,260,113 
Total IT Services        11,108,607 
           
Media (1.53%)          
Trade Desk, Inc., Class A(a)   26,414    2,256,548 
           
Professional Services (3.02%)          
Dayforce, Inc.(a)   16,779    1,170,503 
Paychex, Inc.   3,544    434,565 
Paycom Software, Inc.   7,675    1,399,843 
Paylocity Holding Corp.(a)   8,569    1,444,820 
Total Professional Services        4,449,731 
           
Real Estate Management & Development (0.83%)          
CoStar Group, Inc.(a)   14,012    1,219,464 
           
Software (44.64%)          
Adobe, Inc.(a)   3,683    2,063,511 
AppLovin Corp., Class A(a)   25,024    1,494,433 
Atlassian Corp., Class A(a)   9,975    2,069,015 
BILL Holdings, Inc.(a)   21,714    1,375,148 
Confluent, Inc., Class A(a)   70,511    2,388,207 
Crowdstrike Holdings, Inc., Class A(a)   9,099    2,949,440 
CyberArk Software, Ltd.(a)   7,631    2,012,753 
Datadog, Inc., Class A(a)   15,018    1,974,266 
DoubleVerify Holdings, Inc.(a)   46,301    1,430,238 
Dynatrace, Inc.(a)   25,909    1,283,791 
Fortinet, Inc.(a)   27,308    1,887,256 
Gitlab, Inc., Class A(a)   28,063    2,023,904 
HubSpot, Inc.(a)   3,296    2,039,598 
Intuit, Inc.   3,074    2,037,724 
Microsoft Corp.   21,281    8,802,672 
Monday.com, Ltd.(a)   9,462    2,110,121 
Nice, Ltd., ADR(a)   4,178    1,024,237 
Open Text Corp.   27,746    1,066,989 
Oracle Corp.   14,968    1,671,626 
Palantir Technologies, Inc., Class A(a)   90,950    2,281,026 
Palo Alto Networks, Inc.(a)   6,767    2,101,492 
Salesforce, Inc.   6,544    2,020,918 
SAP SE   4,882    912,196 
SentinelOne, Inc., Class A(a)   70,458    1,984,802 
ServiceNow, Inc.(a)   4,061    3,132,411 
Smartsheet, Inc., Class A(a)   34,014    1,435,731 
Splunk, Inc.(a)   4,471    698,460 
Tyler Technologies, Inc.(a)   1,288    563,036 
UiPath, Inc., Class A(a)   62,762    1,490,598 
Unity Software, Inc.(a)   52,296    1,533,319 

 

 

Security Description  Shares   Value 
Software (continued)          
Workday, Inc., Class A(a)   5,835   $1,719,341 
Xero, Ltd.(a)   23,581    1,951,365 
Zscaler, Inc.(a)   9,549    2,310,571 
Total Software        65,840,195 
           
TOTAL COMMON STOCKS          
(Cost $134,419,650)        147,505,948 
           
TOTAL INVESTMENTS (100.02%)          
(Cost $134,419,650)       $147,505,948 
LIABILITIES IN EXCESS OF OTHER ASSETS (-0.02%)    (26,323)
NET ASSETS - 100.00%       $147,479,625 

 

(a) Non-income producing security.
(b) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in the ordinary course of business in transactions exempt from registration, normally to qualified institutional buyers. At period end, the aggregate market value of those securities was $3,968,350, representing 2.69% of net assets.
(c) Securities were purchased pursuant to Regulation S under the Securities Act of 1933, which exempts securities offered and sold outside of the United States from registration.  Such securities cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. As of February 29, 2024, the market value of those securities was $3,968,350, representing 2.69% of net assets.

 

See Notes to Quarterly Schedule of Investments.


 

 

ALPS | O'Shares U.S. Quality Dividend ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (99.88%)          
Aerospace & Defense (1.68%)          
General Dynamics Corp.   12,649   $3,456,339 
Lockheed Martin Corp.   12,878    5,514,875 
Northrop Grumman Corp.   7,472    3,444,741 
Total Aerospace & Defense        12,415,955 
           
Air Freight & Logistics (0.86%)          
Expeditors International of Washington, Inc.   6,704    801,798 
United Parcel Service, Inc., Class B   37,563    5,569,091 
Total Air Freight & Logistics        6,370,889 
           
Banks (4.18%)          
JPMorgan Chase & Co.   166,207    30,924,474 
           
Beverages (2.18%)          
Brown-Forman Corp., Class B   10,589    637,775 
Coca-Cola Co.   137,007    8,223,161 
PepsiCo, Inc.   43,995    7,274,133 
Total Beverages        16,135,069 
           
Biotechnology (2.93%)          
AbbVie, Inc.   70,414    12,396,384 
Amgen, Inc.   21,182    5,800,267 
Gilead Sciences, Inc.   48,317    3,483,656 
Total Biotechnology        21,680,307 
           
Building Products (0.63%)          
Johnson Controls International PLC   28,885    1,712,014 
Trane Technologies PLC   10,579    2,982,961 
Total Building Products        4,694,975 
           
Capital Markets (3.10%)          
BlackRock, Inc.   8,151    6,613,232 
Cboe Global Markets, Inc.   5,850    1,123,200 
Moody's Corp.   10,383    3,939,518 
MSCI, Inc.   4,166    2,337,001 
S&P Global, Inc.   17,385    7,447,387 
T Rowe Price Group, Inc.   12,752    1,445,439 
Total Capital Markets        22,905,777 
           
Commercial Services & Supplies (0.89%)          
Cintas Corp.   3,979    2,501,239 
Waste Management, Inc.   19,734    4,058,297 
Total Commercial Services & Supplies        6,559,536 
           
Communications Equipment (1.81%)          
Cisco Systems, Inc.   220,854    10,682,708 
Motorola Solutions, Inc.   8,129    2,685,740 
Total Communications Equipment        13,368,448 
Security Description  Shares   Value 
Consumer Staples Distribution & Retail (2.80%)          
Costco Wholesale Corp.   13,810   $10,273,122 
Dollar General Corp.   5,770    838,439 
Target Corp.   12,770    1,952,788 
Walmart, Inc.   130,179    7,629,791 
Total Consumer Staples Distribution & Retail        20,694,140 
           
Diversified Telecommunication Services (4.24%)          
Verizon Communications, Inc.   783,226    31,344,704 
           
Electric Utilities (1.43%)          
NextEra Energy, Inc.   191,517    10,569,823 
           
Electrical Equipment (0.69%)          
Eaton Corp. PLC   17,631    5,095,359 
           
Electronic Equipment, Instruments & Components (0.73%)          
Amphenol Corp., Class A   29,324    3,203,354 
TE Connectivity, Ltd.   15,113    2,169,622 
Total Electronic Equipment, Instruments & Components        5,372,976 
           
Financial Services (7.52%)          
Mastercard, Inc., Class A   53,664    25,477,521 
Visa, Inc., Class A   106,803    30,186,799 
Total Financial Services        55,664,320 
           
Food Products (0.77%)          
Archer-Daniels-Midland Co.   15,672    832,340 
General Mills, Inc.   16,926    1,086,311 
Hershey Co.   4,475    840,942 
Mondelez International, Inc., Class A   40,238    2,940,190 
Total Food Products        5,699,783 
           
Ground Transportation (1.87%)          
CSX Corp.   94,093    3,569,888 
Norfolk Southern Corp.   10,179    2,579,155 
Union Pacific Corp.   30,364    7,703,044 
Total Ground Transportation        13,852,087 
           
Health Care Equipment & Supplies (2.20%)          
Abbott Laboratories   67,445    8,001,675 
Medtronic PLC   49,612    4,135,656 
Stryker Corp.   11,947    4,170,339 
Total Health Care Equipment & Supplies        16,307,670 
           
Health Care Providers & Services (3.46%)          
Cigna Group   9,730    3,270,642 
Elevance Health, Inc.   8,072    4,046,090 
UnitedHealth Group, Inc.   37,081    18,303,182 
Total Health Care Providers & Services        25,619,914 
           
Hotels, Restaurants & Leisure (3.19%)          
McDonald's Corp.   49,177    14,373,453 
Starbucks Corp.   71,825    6,816,193 

 

 

Security Description  Shares   Value 
Hotels, Restaurants & Leisure (continued)          
Yum! Brands, Inc.   17,326   $2,398,265 
Total Hotels, Restaurants & Leisure        23,587,911 
           
Household Durables (0.17%)          
Garmin, Ltd.   9,292    1,276,256 
           
Household Products (2.08%)          
Colgate-Palmolive Co.   24,226    2,096,034 
Kimberly-Clark Corp.   9,665    1,171,108 
Procter & Gamble Co.   76,142    12,102,009 
Total Household Products        15,369,151 
           
Industrial Conglomerates (0.90%)          
Honeywell International, Inc.   33,389    6,635,396 
           
Insurance (2.10%)          
Aon PLC, Class A   11,345    3,584,907 
Chubb, Ltd.   22,729    5,720,207 
Marsh & McLennan Cos., Inc.   30,773    6,224,455 
Total Insurance        15,529,569 
           
IT Services (2.15%)          
Accenture PLC, Class A   35,817    13,423,495 
Amdocs, Ltd.   5,495    501,144 
Cognizant Technology Solutions Corp., Class A   25,101    1,983,481 
Total IT Services        15,908,120 
           
Life Sciences Tools & Services (1.00%)          
Agilent Technologies, Inc.   9,656    1,326,348 
Danaher Corp.   23,874    6,043,465 
Total Life Sciences Tools & Services        7,369,813 
           
Machinery (3.35%)          
Caterpillar, Inc.   24,196    8,080,495 
Cummins, Inc.   6,316    1,696,541 
Deere & Co.   12,100    4,417,104 
Graco, Inc.   7,410    676,237 
IDEX Corp.   3,275    772,573 
Illinois Tool Works, Inc.   15,105    3,959,776 
Otis Worldwide Corp.   19,543    1,862,448 
PACCAR, Inc.   23,795    2,638,628 
Snap-on, Inc.   2,370    653,314 
Total Machinery        24,757,116 
           
Media (4.08%)          
Comcast Corp., Class A   704,869    30,203,637 
           
Multi-Utilities (0.38%)          
Public Service Enterprise Group, Inc.   45,020    2,809,248 
           
Pharmaceuticals (9.00%)          
Bristol-Myers Squibb Co.   82,496    4,186,672 
Eli Lilly & Co.   33,321    25,113,372 
Johnson & Johnson   96,027    15,496,837 
Merck & Co., Inc.   96,308    12,245,562 
Pfizer, Inc.   229,587    6,097,831 
Security Description  Shares   Value 
Pharmaceuticals (continued)          
Zoetis, Inc.   17,012   $3,373,990 
Total Pharmaceuticals        66,514,264 
           
Professional Services (0.96%)          
Automatic Data Processing, Inc.   20,585    5,169,511 
Paychex, Inc.   15,723    1,927,954 
Total Professional Services        7,097,465 
           
Semiconductors & Semiconductor Equipment (6.67%)          
Analog Devices, Inc.   24,414    4,683,093 
Broadcom, Inc.   21,495    27,954,033 
QUALCOMM, Inc.   53,161    8,388,274 
Texas Instruments, Inc.   49,467    8,277,313 
Total Semiconductors & Semiconductor Equipment        49,302,713 
           
Software (6.85%)          
Microsoft Corp.   100,925    41,746,618 
Oracle Corp.   79,947    8,928,481 
Total Software        50,675,099 
           
Specialty Retail (5.95%)          
Home Depot, Inc.   68,899    26,223,649 
Lowe's Cos., Inc.   37,278    8,971,696 
TJX Cos., Inc.   72,612    7,198,754 
Tractor Supply Co.   6,339    1,612,134 
Total Specialty Retail        44,006,233 
           
Technology Hardware, Storage & Peripherals (4.58%)          
Apple, Inc.   187,505    33,891,529 
           
Textiles, Apparel & Luxury Goods (1.00%)          
NIKE, Inc., Class B   71,211    7,400,959 
           
Tobacco (0.88%)          
Altria Group, Inc.   54,717    2,238,472 
Philip Morris International, Inc.   47,731    4,293,881 
Total Tobacco        6,532,353 
           
Trading Companies & Distributors (0.62%)          
Fastenal Co.   27,839    2,032,526 
Watsco, Inc.   1,460    575,415 
WW Grainger, Inc.   2,035    1,980,991 
Total Trading Companies & Distributors        4,588,932 
           
TOTAL COMMON STOCKS          
(Cost $600,474,375)        738,731,970 

 

 

7 Day Yield  Shares   Value 
SHORT TERM INVESTMENTS (0.01%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)   5.28%   71,074   $71,074 
                
TOTAL SHORT TERM INVESTMENTS
(Cost $71,074)             71,074 
                
TOTAL INVESTMENTS (99.89%)
(Cost $600,545,449)            $738,803,044 
OTHER ASSETS IN EXCESS OF LIABILITIES (0.11%)    795,253 
NET ASSETS - 100.00%            $739,598,297 

 

See Notes to Quarterly Schedule of Investments.

 

 

ALPS | O'Shares U.S. Small-Cap Quality Dividend ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (99.82%)
Automobile Components (3.04%)          
BorgWarner, Inc.   234,955   $7,314,149 
Gentex Corp.   241,727    8,830,287 
Total Automobile Components        16,144,436 
           
Building Products (7.07%)          
A O Smith Corp.   111,351    9,230,998 
AAON, Inc.   56,709    4,762,422 
Owens Corning   65,245    9,772,395 
Simpson Manufacturing Co., Inc.   36,998    7,720,743 
UFP Industries, Inc.   52,247    5,989,074 
Total Building Products        37,475,632 
           
Capital Markets (11.01%)          
Artisan Partners Asset Management, Inc., Class A   76,725    3,304,546 
Cohen & Steers, Inc.   29,280    2,153,544 
Diamond Hill Investment Group, Inc.   3,184    460,661 
Evercore, Inc., Class A   40,635    7,601,996 
Federated Hermes, Inc.   95,097    3,350,267 
Hamilton Lane, Inc., Class A   38,224    4,390,026 
Houlihan Lokey, Inc.   62,080    7,987,213 
MarketAxess Holdings, Inc.   41,119    8,775,206 
SEI Investments Co.   131,485    8,842,366 
Tradeweb Markets, Inc.   109,191    11,554,592 
Total Capital Markets        58,420,417 
           
Commercial Services & Supplies (0.51%)          
Brady Corp., Class A   39,367    2,294,309 
Ennis, Inc.   21,454    435,945 
Total Commercial Services & Supplies        2,730,254 
           
Communications Equipment (2.28%)          
Juniper Networks, Inc.   325,904    12,068,225 
           
Consumer Finance (0.95%)          
FirstCash Holdings, Inc.   43,775    5,012,238 
           
Consumer Staples Distribution & Retail (1.64%)          
Casey's General Stores, Inc.   26,283    8,002,911 
Weis Markets, Inc.   10,935    710,119 
Total Consumer Staples Distribution & Retail        8,713,030 
           
Diversified Consumer Services (1.38%)          
H&R Block, Inc.   149,191    7,302,899 
Security Description  Shares   Value 
Diversified Telecommunication Services (0.85%)          
Cogent Communications Holdings, Inc.   55,652   $4,502,803 
           
Electric Utilities (1.28%)          
ALLETE, Inc.   11,966    677,754 
IDACORP, Inc.   10,597    933,702 
MGE Energy, Inc.   7,446    470,513 
OGE Energy Corp.   42,508    1,398,938 
Otter Tail Corp.   8,532    771,805 
Pinnacle West Capital Corp.   24,020    1,641,287 
Portland General Electric Co.   21,118    848,310 
Total Electric Utilities        6,742,309 
           
Electronic Equipment, Instruments & Components (4.58%)          
Avnet, Inc.   130,229    6,067,369 
Badger Meter, Inc.   39,337    6,242,389 
Littelfuse, Inc.   34,400    8,195,456 
Vishay Intertechnology, Inc.   175,165    3,809,839 
Total Electronic Equipment, Instruments & Components        24,315,053 
           
Financial Services (4.63%)          
Essent Group, Ltd.   120,869    6,474,952 
MGIC Investment Corp.   330,351    6,570,681 
Radian Group, Inc.   185,670    5,410,424 
Western Union Co.   453,638    6,083,286 
Total Financial Services        24,539,343 
           
Food Products (2.74%)          
Cal-Maine Foods, Inc.   29,250    1,681,583 
Flowers Foods, Inc.   139,784    3,133,957 
Ingredion, Inc.   45,840    5,392,158 
J & J Snack Foods Corp.   10,310    1,495,775 
Lancaster Colony Corp.   13,599    2,813,905 
Total Food Products        14,517,378 
           
Gas Utilities (0.70%)          
Chesapeake Utilities Corp.   3,533    360,472 
National Fuel Gas Co.   18,811    916,848 
New Jersey Resources Corp.   20,416    849,510 
Northwest Natural Holding Co.   7,264    266,879 
ONE Gas, Inc.   11,472    683,731 
Spire, Inc.   10,611    629,445 
Total Gas Utilities        3,706,885 
           
Ground Transportation (1.37%)          
Landstar System, Inc.   32,153    6,115,501 
Schneider National, Inc., Class B   48,113    1,133,061 
Total Ground Transportation        7,248,562 
           
Health Care Equipment & Supplies (1.90%)          
Teleflex, Inc.   45,237    10,078,351 
           
Health Care Providers & Services (6.75%)          
Chemed Corp.   18,666    11,687,344 
Encompass Health Corp.   133,596    9,939,542 


 

 

Security Description   Shares    Value 
Health Care Providers & Services (continued)          
Patterson Cos., Inc.   248,338   $6,727,476 
Premier, Inc., Class A   357,133    7,449,794 
Total Health Care Providers & Services        35,804,156 
           
Hotels, Restaurants & Leisure (3.71%)          
Choice Hotels International, Inc.   29,938    3,351,260 
Texas Roadhouse, Inc.   67,763    10,121,759 
Wyndham Hotels & Resorts, Inc.   80,878    6,191,211 
Total Hotels, Restaurants & Leisure        19,664,230 
           
Household Durables (0.98%)          
La-Z-Boy, Inc.   40,921    1,554,589 
MDC Holdings, Inc.   58,282    3,654,281 
Total Household Durables        5,208,870 
           
Household Products (0.68%)          
Reynolds Consumer Products, Inc.   37,389    1,102,976 
WD-40 Co.   9,316    2,500,321 
Total Household Products        3,603,297 
           
Independent Power and Renewable Electricity Producers (0.77%)          
Vistra Corp.   75,287    4,106,153 
           
Insurance (5.48%)          
AMERISAFE, Inc.   21,610    1,140,144 
Employers Holdings, Inc.   29,216    1,335,463 
Old Republic International Corp.   319,519    9,253,270 
Primerica, Inc.   41,830    10,259,226 
RLI Corp.   48,387    7,086,276 
Total Insurance        29,074,379 
           
Leisure Products (2.50%)          
Acushnet Holdings Corp.   28,805    1,855,618 
Brunswick Corp.   65,836    5,754,067 
Polaris, Inc.   53,172    4,929,576 
Sturm Ruger & Co., Inc.   16,953    734,404 
Total Leisure Products        13,273,665 
           
Machinery (9.23%)          
Donaldson Co., Inc.   109,493    7,841,889 
ITT, Inc.   73,565    9,279,489 
Lincoln Electric Holdings, Inc.   51,132    13,120,471 
Mueller Industries, Inc.   98,606    5,066,376 
Toro Co.   94,391    8,713,233 
Watts Water Technologies, Inc., Class A   23,985    4,891,741 
Total Machinery        48,913,199 
           
Media (2.31%)          
New York Times Co., Class A   198,062    8,770,186 
TEGNA, Inc.   249,249    3,491,978 
Total Media        12,262,164 
Security Description   Shares    Value 
Multi-Utilities (0.78%)          
Avista Corp.   15,550   $516,260 
Black Hills Corp.   13,904    723,425 
NiSource, Inc.   88,106    2,296,042 
Northwestern Energy Group, Inc.   12,414    594,879 
Total Multi-Utilities        4,130,606 
           
Pharmaceuticals (1.58%)          
Organon & Co.   479,716    8,351,856 
           
Professional Services (2.33%)          
Exponent, Inc.   44,808    3,624,519 
Kforce, Inc.   16,131    1,123,363 
Robert Half, Inc.   94,800    7,621,920 
Total Professional Services        12,369,802 
           
Semiconductors & Semiconductor Equipment (1.03%)          
Power Integrations, Inc.   76,630    5,475,980 
           
Software (1.99%)          
Dolby Laboratories, Inc., Class A   84,344    6,831,864 
InterDigital, Inc.   34,571    3,699,788 
Total Software        10,531,652 
           
Specialty Retail (6.21%)          
Dick's Sporting Goods, Inc.   57,011    10,141,687 
Murphy USA, Inc.   19,167    7,992,831 
Williams-Sonoma, Inc.   63,071    14,855,112 
Total Specialty Retail        32,989,630 
           
Textiles, Apparel & Luxury Goods (4.96%)          
Carter's, Inc.   36,478    2,952,894 
Columbia Sportswear Co.   34,811    2,878,522 
Ralph Lauren Corp.   38,474    7,153,086 
Steven Madden, Ltd.   69,782    2,988,065 
Tapestry, Inc.   216,897    10,309,114 
Total Textiles, Apparel & Luxury Goods        26,281,681 
           
Tobacco (0.15%)          
Universal Corp.   16,091    772,529 
           
Trading Companies & Distributors (1.98%)          
Applied Industrial Technologies, Inc.   33,244    6,312,703 
MSC Industrial Direct Co., Inc., Class A   41,600    4,199,104 
Total Trading Companies & Distributors        10,511,807 
           
Water Utilities (0.47%)          
American States Water Co.   7,679    548,357 
Essential Utilities, Inc.   56,160    1,953,245 
Total Water Utilities        2,501,602 
           
TOTAL COMMON STOCKS
(Cost $462,460,146)        529,345,073 


 

 

7 Day Yield   Shares   Value 
SHORT TERM INVESTMENTS (0.05%)
Money Market Fund (0.05%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)   5.28%   249,493   $249,493 
                
TOTAL SHORT TERM INVESTMENTS
(Cost $249,493)             249,493 
                
TOTAL INVESTMENTS (99.87%)
(Cost $462,709,639)            $529,594,566 
OTHER ASSETS IN EXCESS OF LIABILITIES (0.13%)    666,460 
NET ASSETS - 100.00%            $530,261,026 

 

See Notes to Quarterly Schedule of Investments.



 

 

ALPS REIT Dividend Dogs ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (99.44%)          
Data Center REITs (2.57%)          
Equinix, Inc.   337   $299,532 
           
Diversified REITs (10.65%)          
Armada Hoffler Properties, Inc.   22,605    230,119 
Broadstone Net Lease, Inc.   16,516    246,254 
CTO Realty Growth, Inc.   15,564    265,366 
Gladstone Commercial Corp.   20,180    249,828 
One Liberty Properties, Inc.   12,229    247,515 
Total Diversified REITs        1,239,082 
           
Health Care REITs (10.49%)          
Global Medical REIT, Inc.   25,693    229,952 
Healthcare Realty Trust, Inc.   17,042    234,839 
Medical Properties Trust, Inc.(a)   57,694    242,892 
Sabra Health Care REIT, Inc.   19,130    265,524 
Universal Health Realty Income Trust   6,390    247,804 
Total Health Care REITs        1,221,011 
           
Hotel & Resort REITs (11.97%)          
Apple Hospitality REIT, Inc.   16,053    258,293 
Braemar Hotels & Resorts, Inc.   118,150    269,382 
Host Hotels & Resorts, Inc.   15,225    315,766 
Park Hotels & Resorts, Inc.   18,633    309,308 
Service Properties Trust   35,232    239,578 
Total Hotel & Resort REITs        1,392,327 
           
Industrial REITs (11.89%)          
Innovative Industrial Properties, Inc.   3,081    301,907 
LXP Industrial Trust   29,445    254,994 
Plymouth Industrial REIT, Inc.   11,771    253,900 
STAG Industrial, Inc.   7,471    277,473 
Terreno Realty Corp.   4,590    295,137 
Total Industrial REITs        1,383,411 
           
Multi-Family Residential REITs (8.35%)          
Apartment Income REIT Corp.   8,258    250,382 
BRT Apartments Corp.   14,281    221,070 
Elme Communities   19,825    255,346 
NexPoint Residential Trust, Inc.   8,375    244,634 
Total Multi-Family Residential REITs        971,432 
           
Office REITs (10.46%)          
Brandywine Realty Trust   54,331    233,623 
Easterly Government Properties, Inc.   21,385    252,343 
Highwoods Properties, Inc.   12,560    307,092 
Office Properties Income Trust   43,147    115,203 
Security Description   Shares    Value 
Office REITs (continued)          
SL Green Realty Corp.   6,365   $308,575 
Total Office REITs        1,216,836 
           
Retail REITs (9.89%)          
CBL & Associates Properties, Inc.   11,546    266,251 
Saul Centers, Inc.   6,918    250,362 
Simon Property Group, Inc.   2,039    302,058 
The Macerich Co.   20,200    331,482 
Total Retail REITs        1,150,153 
           
Self-Storage REITs (2.26%)          
National Storage Affiliates Trust   7,346    263,060 
           
Single-Family Residential REITs (2.42%)          
UMH Properties, Inc.   18,317    282,082 
           
Specialized REITs (9.51%)          
EPR Properties   5,980    245,659 
Gaming and Leisure Properties, Inc.   5,867    266,831 
Outfront Media, Inc.   21,257    305,463 
Uniti Group, Inc.(a)   49,278    288,769 
Total Specialized REITs        1,106,722 
           
Technology REITs (4.74%)          
Crown Castle, Inc.   2,329    256,050 
Digital Realty Trust, Inc.   2,011    295,235 
Total Technology REITs        551,285 
           
Telecom Tower REITs (4.24%)          
American Tower Corp.   1,313    261,103 
SBA Communications Corp.   1,110    232,246 
Total Telecom Tower REITs        493,349 
           
TOTAL COMMON STOCKS          
(Cost $13,841,915)        11,570,282 


 

 

7 Day Yield    Shares     Value 
SHORT TERM INVESTMENTS (0.31%)
Money Market Fund (0.30%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)               
(Cost $34,977)   5.28%   34,977   $34,977 
                
Investments Purchased with
Collateral from Securities Loaned (0.01%)
State Street Navigator Securities Lending Government Money Market Portfolio, 5.33%               
(Cost $729)        729   $729 
TOTAL SHORT TERM INVESTMENTS
(Cost $35,706)             35,706 
                
TOTAL INVESTMENTS (99.75%)
(Cost $13,877,621)            $11,605,988 
OTHER ASSETS IN EXCESS OF LIABILITIES (0.25%)    29,415 
NET ASSETS - 100.00%            $11,635,403 

 

(a) Security, or a portion of the security position is currently on loan. The total market value of securities on loan is $260,280.

 



See Notes to Quarterly Schedule of Investments.

 

 

ALPS Sector Dividend Dogs ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (99.50%)          
Communication Services (9.88%)          
AT&T, Inc.   1,275,360   $21,591,845 
Comcast Corp., Class A   512,586    21,964,310 
Interpublic Group of Cos., Inc.   691,228    21,704,559 
Omnicom Group, Inc.   263,347    23,277,241 
Verizon Communications, Inc.   564,071    22,574,122 
Total Communication Services        111,112,077 
           
Consumer Discretionary (10.75%)          
Best Buy Co., Inc.   291,345    23,563,984 
Darden Restaurants, Inc.   136,053    23,225,608 
Ford Motor Co.   1,990,812    24,765,701 
Genuine Parts Co.   162,431    24,244,451 
Home Depot, Inc.   66,076    25,149,186 
Total Consumer Discretionary        120,948,930 
           
Consumer Staples (9.24%)          
Altria Group, Inc.   522,525    21,376,498 
Conagra Brands, Inc.   730,964    20,525,469 
Kraft Heinz Co.   595,620    21,013,474 
Philip Morris International, Inc.   236,069    21,236,767 
Walgreens Boots Alliance, Inc.   929,285    19,756,599 
Total Consumer Staples        103,908,807 
           
Energy (9.98%)          
Chevron Corp.   149,578    22,737,352 
Exxon Mobil Corp.   216,830    22,663,072 
Kinder Morgan, Inc.   1,219,183    21,201,592 
ONEOK, Inc.   316,187    23,751,967 
Williams Cos., Inc.   607,540    21,834,988 
Total Energy        112,188,971 
           
Financials (10.20%)          
Citizens Financial Group, Inc.   728,825    22,877,817 
Huntington Bancshares, Inc.   1,799,717    23,468,310 
Prudential Financial, Inc.   213,898    23,312,743 
Regions Financial Corp.   1,237,109    23,047,341 
Truist Financial Corp.   627,982    21,966,810 
Total Financials        114,673,021 
           
Health Care (10.13%)          
AbbVie, Inc.   144,370    25,416,339 
Bristol-Myers Squibb Co.   428,891    21,766,218 
Gilead Sciences, Inc.   273,270    19,702,767 
Security Description  Shares   Value 
Health Care (continued)          
Pfizer, Inc.   749,847   $19,915,936 
Viatris, Inc.   2,194,544    27,146,509 
Total Health Care        113,947,769 
           
Industrials (9.73%)          
3M Co.   208,802    19,234,840 
Cummins, Inc.   93,627    25,149,148 
RTX Corp.   265,492    23,806,668 
Stanley Black & Decker, Inc.   232,430    20,753,675 
United Parcel Service, Inc., Class B   138,220    20,492,497 
Total Industrials        109,436,828 
           
Information Technology (10.42%)          
Corning, Inc.   740,847    23,884,907 
HP, Inc.   732,521    20,752,320 
International Business Machines Corp.   133,141    24,635,079 
Seagate Technology Holdings PLC   268,069    24,943,821 
Texas Instruments, Inc.   137,516    23,010,552 
Total Information Technology        117,226,679 
           
Materials (9.71%)          
Amcor PLC   2,236,344    20,261,277 
International Flavors & Fragrances, Inc.   280,862    21,205,081 
International Paper Co.   586,281    20,730,896 
LyondellBasell Industries NV, Class A   232,865    23,351,702 
The Dow Chemical Co.   423,667    23,674,512 
Total Materials        109,223,468 
           
Utilities (9.46%)          
Dominion Resources, Inc.   453,862    21,708,220 
Duke Energy Corp.   228,615    20,993,715 
Edison International   319,964    21,763,951 
Evergy, Inc.   417,478    20,681,860 
Eversource Energy   361,741    21,234,197 
Total Utilities        106,381,943 
           
TOTAL COMMON STOCKS          
(Cost $1,095,950,347)        1,119,048,493 


 

 

   7 Day Yield   Shares   Value 
SHORT TERM INVESTMENTS (0.03%)
Money Market Fund (0.03%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)   5.28%   345,648   $345,648 
                
TOTAL SHORT TERM INVESTMENTS
(Cost $345,648)             345,648 
                
TOTAL INVESTMENTS (99.53%)
(Cost $1,096,295,995)            $1,119,394,141 
OTHER ASSETS IN EXCESS OF LIABILITIES (0.47%)    5,305,714 
NET ASSETS - 100.00%   $1,124,699,855 


See Notes to Quarterly Schedule of Investments.

 

 

ALPS | Smith Core Plus Bond ETF

Schedule of Investments

 

As of February 29, 2024 (Unaudited)  

   

Security Description 

Principal

Amount

   Value 
BANK LOANS (1.16%)
Aerospace & Defense (0.46%)          
TransDigm, Inc.          
3M SOFR + 3.25%, 02/28/2031(a)  $2,761,000   $2,774,018 
           
Consumer Finance (0.22%)          
GTCR W Merger Sub LLC          
1D US SOFR + 3.00%, 01/31/2031(a)   1,335,000    1,341,675 
           
Industrials (0.26%)          
Chart Industries, Inc. TL 1L          
8.672%, 03/15/2030(a)   1,200,000    1,201,128 
GFL Enviro Inc TL 1L          
5.125%, 05/31/2027   325,000    325,205 
Total Industrials        1,526,333 
           
Pipeline (0.22%)          
Buckeye Partners LP          
1M SOFR + 2.50%, 11/22/2030(a)   1,325,000    1,327,484 
           
TOTAL BANK LOANS          
(Cost $6,971,040)        6,969,510 
           
COLLATERALIZED MORTGAGE OBLIGATIONS (2.85%)
           
Fannie Mae          
Series 2003-18, Class  A1,          
6.500%, 12/25/2042   41,998    42,112 
Series 2003-30, Class  JQ,          
5.500%, 04/25/2033   2,654    2,633 
Series 2003-47, Class  PE,          
5.750%, 06/25/2033   41,256    41,912 
Series 2005-122, Class  PY,          
6.000%, 01/25/2036   31,339    31,937 
Series 2005-3, Class  CH,          
5.250%, 02/25/2035   4,833    4,802 
Series 2005-48, Class  TD,          
5.500%, 06/25/2035   22,237    22,557 
Series 2006-125, Class  KY,          
5.500%, 01/25/2037   210,653    212,110 
Series 2010-141, Class  AL,          
4.000%, 12/25/2040   18,629    17,245 
  

Principal

Amount

   Value 
Series 2010-41, Class  NB,          
5.000%, 05/25/2040  $81,421   $80,362 
Series 2011-148, Class  P,          
4.000%, 09/25/2041   194,834    188,881 
Series 2012-103, Class  PY,          
3.000%, 09/25/2042   8,000    6,467 
Series 2012-108, Class  PL,          
3.000%, 10/25/2042   25,000    21,758 
Series 2012-111, Class  B,          
7.000%, 10/25/2042   4,628    4,846 
Series 2012-112, Class  DA,          
3.000%, 10/25/2042   207,183    184,680 
Series 2012-120, Class  QC,          
2.500%, 11/25/2042   151,000    106,413 
Series 2012-128, Class  NP,          
2.500%, 11/25/2042   78,176    50,890 
Series 2012-136, Class  PL,          
3.500%, 12/25/2042   418,000    377,747 
Series 2012-137,          
4.000%, 12/25/2042   156,714    144,361 
Series 2012-139, Class  GB,          
2.500%, 12/25/2042   50,000    33,004 
Series 2012-152, Class  PB,          
3.500%, 01/25/2043   22,000    20,767 
Series 2012-16, Class  K,          
4.000%, 10/25/2041   107,096    103,666 
Series 2012-17, Class  JA,          
3.500%, 12/25/2041   33,100    29,784 
Series 2012-19, Class  CB,          
3.500%, 03/25/2042   265,000    234,744 
Series 2012-28, Class  PT,          
4.000%, 03/25/2042   350,946    330,421 
Series 2012-29, Class  NM,          
3.500%, 04/25/2042   50,000    40,560 
Series 2012-47, Class  HF,          
30D US SOFR + 0.515%, 05/25/2027(a)   13,969    13,975 
Series 2012-51, Class  HJ,          
3.500%, 05/25/2042   48,471    40,461 
Series 2012-56, Class  WB,          
3.500%, 05/25/2042   9,150    8,370 
Series 2012-83, Class  AC,          
3.000%, 08/25/2042   20,000    16,575 


 

 

  

Principal 

Amount

   Value 
Series 2012-90, Class  PB,          
2.500%, 01/25/2042  $76,784   $71,766 
Series 2013-18, Class  NG,          
2.000%, 12/25/2042   51,835    44,283 
Series 2013-41, Class  JL,          
1.500%, 04/25/2038   211,814    187,274 
Series 2013-44, Class  Z,          
3.000%, 05/25/2043   692,372    494,120 
Series 2013-86, Class  Z,          
3.000%, 08/25/2043   170,411    111,555 
Series 2013-9, Class  BC,          
6.500%, 07/25/2042   172,356    180,493 
Series 2014-14, Class  PA,          
3.500%, 02/25/2044   112,095    107,490 
Series 2014-6, Class  Z,          
2.500%, 02/25/2044   257,273    215,976 
Series 2015-47, Class  AY,          
3.000%, 07/25/2045   89,113    78,018 
Series 2015-58, Class  ZL,          
3.000%, 08/25/2045   258,655    207,039 
Series 2016-28, Class  TA,          
3.250%, 07/25/2043   494,202    379,956 
Series 2016-37, Class  BK,          
3.000%, 06/25/2046   72,749    67,635 
Series 2016-6, Class  PA,          
3.000%, 11/25/2044   138,818    129,872 
Series 2017-10, Class  FA,          
30D US SOFR + 0.515%, 03/25/2047(a)   30,818    30,275 
Series 2017-25, Class  QH,          
3.000%, 04/25/2047   311,727    266,412 
Series 2017-38, Class  JA,          
3.000%, 03/25/2047   64,149    55,775 
Series 2017-38, Class  JG,          
2.500%, 03/25/2047   359,715    305,457 
Series 2017-98, Class  JC,          
2.500%, 11/25/2047   161,385    136,426 
Series 2018-15, Class  KG,          
2.500%, 01/25/2048   105,329    86,813 
Series 2020-10, Class  DA,          
3.500%, 03/25/2060   102,644    87,943 
Series 2021-66, Class  HU,          
1.500%, 10/25/2051   99,999    47,147 
Series 2021-72, Class  NA,          
1.500%, 10/25/2051   98,025    53,348 
  

Principal

Amount

   Value 
Series 2021-87, Class  QB,          
2.000%, 12/25/2051  $46,791   $38,993 
Series 2021-94, Class  PU,          
2.000%, 01/25/2052   49,148    30,080 
         5,828,186 
Freddie Mac          
Series 2002-2412, Class  OF,          
30D US SOFR + 1.065%, 12/15/2031(a)   45,114    45,622 
Series 2002-2455, Class  GK,          
6.500%, 05/15/2032   13,106    13,552 
Series 2003-2725, Class  TA,          
4.500%, 12/15/2033   38,780    37,081 
Series 2004-2768, Class  PW,          
4.250%, 03/15/2034   9,993    9,579 
Series 2005-2944, Class  OH,          
5.500%, 03/15/2035   54,969    55,578 
Series 2005-2978, Class  CN,          
5.500%, 05/15/2035   174,475    177,063 
Series 2008-3485, Class  MA,          
5.500%, 07/15/2036   41,520    42,058 
Series 2009-3533, Class  CB,          
4.500%, 05/15/2029   68,290    67,131 
Series 2010-3638, Class  DB,          
5.000%, 02/15/2040   75,000    71,462 
Series 2010-3645, Class  WD,          
4.500%, 02/15/2040   15,000    14,213 
Series 2010-3662, Class  QB,          
5.000%, 03/15/2038   128,744    126,344 
Series 2010-3674,          
5.750%, 05/15/2036   363,142    342,205 
Series 2010-3681, Class  MT,          
4.690%, 02/15/2038(a)   106,615    91,437 
Series 2010-3772, Class  NE,          
4.500%, 12/15/2040   172,000    156,160 
Series 2011-3924, Class  LC,          
4.000%, 09/15/2041   130,012    120,392 
Series 2011-3954, Class  PG,          
2.500%, 07/15/2041   53,288    49,268 


 

 

  

Principal

Amount

   Value 
Series 2012-3990, Class  GY,          
3.500%, 01/15/2042  $97,000   $76,737 
Series 2012-3992, Class  HZ,          
4.000%, 01/15/2042   616,433    580,943 
Series 2012-4003, Class  BG,          
2.000%, 10/15/2026   14,735    14,609 
Series 2012-4068, Class  PE,          
3.000%, 06/15/2042   10,000    8,782 
Series 2012-4075, Class  PB,          
3.000%, 07/15/2042   25,175    22,167 
Series 2012-4093, Class  PA,          
3.000%, 08/15/2042   72,214    63,366 
Series 2012-4096, Class  BY,          
2.000%, 08/15/2042   25,000    18,653 
Series 2012-4116, Class  UC,          
2.500%, 10/15/2042   40,000    28,009 
Series 2012-4117, Class  EB,          
3.500%, 10/15/2042   83,000    59,306 
Series 2012-4147, Class  LW,          
2.000%, 12/15/2032   190,733    169,130 
Series 2013-4160, Class  HB,          
2.500%, 12/15/2032   8,809    7,847 
Series 2013-4161, Class  LT,          
2.500%, 08/15/2042   9,832    8,615 
Series 2013-4161, Class  BA,          
2.500%, 12/15/2041   83,807    79,647 
Series 2013-4171, Class  MN,          
3.000%, 02/15/2043   46,000    33,749 
Series 2013-4193, Class  PK,          
3.000%, 04/15/2043   97,467    90,837 
Series 2013-4224, Class  KC,          
3.000%, 05/15/2032   111,733    108,768 
Series 2013-4224, Class  PA,          
3.000%, 12/15/2042   94,584    89,689 
Series 2013-4247, Class  AK,          
4.500%, 12/15/2042   97,061    95,779 
Series 2015-4472, Class  MA,          
3.000%, 05/15/2045   126,705    115,989 
  

Principal

Amount

   Value 
Series 2016-4616, Class  HP,          
3.000%, 09/15/2046  $84,902   $75,034 
Series 2018-4760, Class  P,          
3.000%, 02/15/2044   131,599    127,267 
Series 2018-4792, Class  BD,          
3.500%, 02/15/2048   116,351    103,772 
Series 2018-4819, Class  CB,          
4.000%, 08/15/2048   933,774    869,511 
Series 2018-4824, Class  KQ,          
4.000%, 06/15/2046   256,372    250,019 
Series 2019-4926, Class  BP,          
3.000%, 10/25/2049   305,849    259,146 
Series 2019-4932, Class  CB,          
3.500%, 03/25/2049   365,788    341,611 
Series 2020-5058, Class  LW,          
1.250%, 01/25/2051   48,315    22,147 
Series 2021-5083, Class  MA,          
2.000%, 03/25/2051   12,848    7,559 
Series 2021-5116, Class  HJ,          
2.000%, 06/25/2051   31,738    16,233 
Series 2022-5206, Class  ZY,          
3.500%, 03/25/2052   144,218    106,891 
Series 2022-5224, Class  HL,          
4.000%, 04/25/2052   100,000    88,299 
         5,359,256 
Freddie Mac Strips          
Series 2016-349, Class  300,          
3.000%, 05/15/2046   116,521    106,419 
           
Freddie Mac Structured Pass-Through Certificates          
Series 2002-41, Class  3A,          
4.355%, 07/25/2032(a)   14,732    13,603 
           
Ginnie Mae          
Series 2003-52, Class  AP,          
0.000%, 06/16/2033(b)   16,463    15,100 
Series 2004-1, Class  TE,          
5.000%, 06/20/2033   52,659    52,280 
Series 2005-20, Class  GZ,          
5.000%, 02/16/2035   220,464    220,503 


 

 

  

Principal 

Amount 

   Value 
Series 2005-73, Class  PH,          
5.000%, 09/20/2035  $139,992   $138,935 
Series 2006-20, Class  QB,          
6.000%, 04/20/2036   236,212    238,147 
Series 2006-38, Class  ZK,          
6.500%, 08/20/2036   168,547    165,857 
Series 2008-50, Class  KB,          
6.000%, 06/20/2038   58,604    59,861 
Series 2008-60, Class  JP,          
5.500%, 07/20/2038   9,904    9,925 
Series 2008-7, Class  PQ,          
5.000%, 02/20/2038   5,844    5,800 
Series 2010-29, Class  AD,          
3.500%, 10/20/2039   102,712    97,648 
Series 2011-150, Class  DW,          
3.000%, 07/16/2041   136,884    116,998 
Series 2012-108, Class  PB,          
2.750%, 09/16/2042   38,000    29,419 
Series 2012-108, Class  CB,          
2.500%, 09/20/2042   17,000    13,201 
Series 2012-116, Class  BY,          
3.000%, 09/16/2042   10,000    7,777 
Series 2012-124, Class  LD,          
2.000%, 10/20/2042   141,053    105,119 
Series 2012-61, Class  MY,          
3.000%, 05/16/2042   25,000    20,326 
Series 2012-77, Class  MU,          
2.500%, 06/20/2042   156,704    130,174 
Series 2012-H14, Class  FK,          
1M CME TERM SOFR + 0.695%, 07/20/2062(a)   38,559    38,431 
Series 2012-H20, Class  PT,          
6.074%, 07/20/2062(a)   562,603    560,823 
Series 2013-117, Class  ED,          
4.000%, 08/20/2043   41,000    36,967 
Series 2013-149, Class  BP,          
3.500%, 10/20/2043   13,000    10,781 
Series 2013-22, Class  GB,          
2.500%, 08/20/2042   68,504    60,182 
Series 2013-44, Class  CE,          
2.500%, 03/16/2043   189,592    151,885 
  

Principal

Amount

   Value 
Series 2013-58, Class  C,          
2.500%, 04/20/2043  $161,384   $131,079 
Series 2013-9, Class  KY,          
3.000%, 01/20/2043   25,000    21,144 
Series 2014-129, Class  KJ,          
3.000%, 07/16/2039   100,000    80,094 
Series 2014-21, Class  PB,          
4.000%, 02/16/2044   22,000    19,121 
Series 2014-32, Class  DA,          
3.500%, 02/20/2044   91,523    76,117 
Series 2014-H25, Class  FB,          
1M CME TERM SOFR + 0.59448%, 12/20/2064(a)   166,118    165,485 
Series 2016-163, Class  B,          
3.000%, 10/20/2046   40,000    29,600 
Series 2017-107, Class  T,          
3.000%, 01/20/2047   312,058    304,043 
Series 2017-11, Class  PZ,          
4.000%, 01/20/2047   264,506    202,539 
Series 2018-115, Class  CA,          
3.500%, 08/20/2048   122,201    108,529 
Series 2018-H07, Class  FE,          
1M CME TERM SOFR + 0.465%, 02/20/2068(a)   12,381    12,332 
Series 2019-108, Class  NJ,          
3.500%, 08/20/2049   132,564    117,047 
Series 2019-145, Class  PA,          
3.500%, 08/20/2049   248,927    231,701 
Series 2019-158, Class  LA,          
3.500%, 04/20/2049   321,063    304,906 
Series 2019-20, Class  AB,          
3.250%, 02/20/2049   241,308    222,074 
Series 2019-85, Class  KG,          
3.000%, 06/20/2043   161,534    152,574 
Series 2020-149, Class  WB,          
1.000%, 10/20/2050   54,095    22,491 
Series 2020-15, Class  JH,          
2.500%, 02/20/2050   81,553    67,358 
Series 2020-67,          
2.000%, 05/20/2050   126,605    82,760 
Series 2020-98, Class  CE,          
3.000%, 07/20/2050   12,516    10,779 


 

 

  

Principal

Amount

   Value 
Series 2021-97, Class  JT,          
2.000%, 06/20/2051  $108,853   $56,655 
Series 2022-24, Class  BC,          
4.000%, 02/20/2052   200,092    185,864 
Series 2022-36, Class  UP,          
2.000%, 11/20/2051   100,000    66,260 
Series 2023-113, Class  JD,          
6.000%, 08/20/2053   175,000    177,872 
Series 2023-19, Class  WB,          
5.687%, 11/20/2051(a)   126,266    127,982 
Series 2023-19, Class  GZ,          
5.000%, 02/20/2053   544,815    476,494 
         5,739,039 
           
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS
(Cost $16,901,690)        17,046,503 
           
COMMERCIAL MORTGAGE-BACKED SECURITIES (0.07%)
           
Freddie Mac Multifamily Structured Pass Through Certificates          
Series 2017-KW03, Class  X1,          
0.809%, 06/25/2027(a)(c)   21,477,112    407,393 
           
TOTAL COMMERCIAL MORTGAGE-BACKED SECURITIES
(Cost $436,926)        407,393 
           
MORTGAGE-BACKED SECURITIES (3.89%)
           
Fannie Mae Pool          
Series 2006-,          
5.500%, 01/01/2037   239,857    240,522 
Series 2007-943003,          
5.500%, 08/01/2047   31,526    31,148 
Series 2009-,          
5.000%, 12/01/2039   376,399    369,479 
5.500%, 02/01/2037   366,974    367,015 
Series 2015-,          
3.500%, 06/01/2030   209,759    201,320 
Series 2015-AM8674,          
2.810%, 04/01/2025   20,000    19,434 
Series 2016-,          
4.500%, 01/01/2039   240,228    234,721 
Series 2017-,          
2.500%, 01/01/2047   176,005    145,741 
3.000%, 10/01/2027   1,377,862    1,300,426 
Series 2018-,          
3.000%, 01/01/2048   289,347    255,786 
  

Principal

Amount

   Value 
3.485%, 04/01/2028  $750,000   $713,387 
3.545%, 04/01/2028   494,197    471,855 
4.000%, 11/01/2040   501,094    479,183 
4.500%, 07/01/2040   118,382    113,305 
4.500%, 02/01/2041   563,097    544,505 
5.500%, 12/01/2048   108,734    109,274 
Series 2019-,          
3.340%, 05/01/2031   62,086    57,145 
4.000%, 08/01/2048   146,511    137,921 
Series 2022-,          
3.890%, 07/01/2032   200,000    186,068 
Series 2023-,          
4.490%, 06/01/2028   40,000    39,550 
5.130%, 10/01/2028   40,000    40,510 
5.555%, 01/01/2030   1,000,000    1,018,149 
Series 2024-,          
6.470%, 01/01/2034   1,170,000    1,245,265 
7.000%, 02/01/2054   5,192,389    5,380,996 
7.500%, 12/01/2053   2,198,745    2,275,944 
         15,978,649 
Freddie Mac Gold Pool          
Series 2004-,          
5.500%, 07/01/2034   77,546    77,056 
Series 2005-,          
5.500%, 11/01/2035   118,160    120,124 
         197,180 
Freddie Mac Pool          
Series 2018-,          
4.500%, 01/01/2036   18,291    17,478 
5.500%, 07/01/2033   124,890    124,037 
Series 2019-,          
3.000%, 10/01/2049   241,700    203,549 
Series 2020-,          
2.000%, 06/01/2050   683,540    524,476 
Series 2022-,          
3.000%, 12/01/2051   345,711    291,212 
         1,160,752 
Ginnie Mae II Pool          
Series 2018-,          
4.500%, 02/20/2048   742,524    713,478 
Series 2021-,          
2.500%, 09/20/2036   527,303    466,310 
2.500%, 02/20/2051   2,930,542    2,423,932 
Series 2022-,          
4.000%, 12/20/2051   381,346    348,641 
5.500%, 07/20/2035   213,237    218,733 
6.000%, 12/20/2037   128,601    132,947 
7.000%, 11/20/2052   369,781    381,319 
Series 2023-,          
6.500%, 11/20/2053   998,271    1,008,013 


 

 

Security Description 

Principal 

Amount 

   Value 
7.500%, 10/20/2063  $226,712   $233,111 
         5,926,484 
           
TOTAL MORTGAGE-BACKED SECURITIES
(Cost $23,197,395)        23,263,065 
           
CORPORATE BONDS (33.85%)          
           
Aerospace & Defense (1.76%)          
Boeing Co.          
2.20%, 02/04/2026   2,050,000    1,924,419 
3.95%, 08/01/2059   2,000,000    1,405,413 
5.93%, 05/01/2060   1,650,000    1,582,374 
Howmet Aerospace, Inc.          
3.00%, 01/15/2029   1,512,000    1,352,862 
L3Harris Technologies, Inc.          
5.40%, 07/31/2033   1,550,000    1,551,059 
RTX Corp.          
6.10%, 03/15/2034   2,625,000    2,771,846 
Total Aerospace & Defense        10,587,973 
           
Airlines (0.44%)          
Alaska Airlines 2020-1 Class A Pass Through Trust          
4.80%, 08/15/2027(d)   751,038    730,331 
British Airways 2020-1 Class A Pass Through Trust          
4.25%, 11/15/2032(d)   392,775    365,826 
Southwest Airlines Co.          
5.25%, 05/04/2025   1,250,000    1,246,662 
United Airlines 2020-1 Class A Pass Through Trust          
Series 20-1          
5.88%, 10/15/2027   299,485    302,586 
Total Airlines        2,645,405 
           
Automobiles Manufacturing (2.43%)          
Ford Motor Credit Co. LLC          
3.38%, 11/13/2025   1,000,000    959,584 
6.80%, 05/12/2028   1,950,000    2,012,662 
7.12%, 11/07/2033   2,935,000    3,128,407 
7.35%, 03/06/2030   2,000,000    2,120,134 
General Motors Financial Co., Inc.          
5.80%, 01/07/2029   1,750,000    1,772,176 
6.10%, 01/07/2034   1,972,000    1,992,606 
SOFRINDX + 1.30%, 04/07/2025(a)(e)   710,000    715,132 
Nissan Motor Acceptance Co. LLC          
7.05%, 09/15/2028(d)   1,250,000    1,302,088 
Volkswagen Group of America Finance LLC          
3.95%, 06/06/2025(d)   500,000    489,702 
Total Automobiles Manufacturing        14,492,491 
Security Description 

Principal 

Amount

   Value 
Banks (2.55%)
Citizens Bank NA          
1D US SOFR + 1.45%, 10/24/2025(a)  $3,074,000   $3,056,653 
Cooperatieve Rabobank UA          
3.75%, 07/21/2026   750,000    718,861 
Danske Bank A/S          
1Y US TI + 0.95%, 03/01/2028(a)(d)   588,000    588,793 
1Y US TI + 1.35%, 09/11/2026(a)(d)   1,000,000    937,685 
1Y US TI + 1.40%, 03/01/2030(a)(d)   1,020,000    1,022,120 
Fifth Third Bancorp          
1D US SOFR + 1.84%, 01/29/2032(a)   284,000    281,857 
Intesa Sanpaolo SpA          
1Y US TI + 2.75%, 06/01/2042(a)(d)   1,000,000    721,816 
1Y US TI + 3.90%, 06/20/2054(a)(d)   900,000    909,386 
Truist Bank          
3.30%, 05/15/2026   200,000    190,781 
Truist Financial Corp.          
1D US SOFR + 2.361%, 06/08/2034(a)   1,250,000    1,249,757 
US Bancorp          
1D US SOFR + 1.60%, 02/01/2034(a)   2,000,000    1,882,935 
Wells Fargo & Co.          
1D US SOFR + 0.51%, 05/19/2025(a)   1,288,000    1,272,663 
1D US SOFR + 2.02%, 04/24/2034(a)   2,500,000    2,459,939 
Total Banks        15,293,246 
           
Biotechnology (0.77%)
Amgen, Inc.          
5.25%, 03/02/2033   1,750,000    1,744,989 
5.51%, 03/02/2026   350,000    349,532 
5.75%, 03/02/2063   2,550,000    2,515,158 
Total Biotechnology        4,609,679 
           
Cable & Satellite (0.36%)
CCO Holdings LLC / CCO Holdings Capital Corp.          
4.50%, 05/01/2032   500,000    390,051 
4.50%, 06/01/2033(d)   750,000    578,246 
Sirius XM Radio, Inc.          
5.00%, 08/01/2027(d)   1,200,000    1,144,483 
Total Cable & Satellite        2,112,780 
           
Casinos & Gaming (0.71%)
MGM Resorts International          
6.75%, 05/01/2025   2,690,000    2,695,343 


 

 

Security Description 

Principal 

Amount 

   Value 
Casinos & Gaming (continued)          
Penn Entertainment, Inc.          
5.63%, 01/15/2027(d)  $1,600,000   $1,531,000 
Total Casinos & Gaming        4,226,343 
           
Chemicals (0.52%)          
Avient Corp.          
5.75%, 05/15/2025(d)   750,000    746,329 
Celanese US Holdings LLC          
6.38%, 07/15/2032   1,100,000   $1,129,885 
Dow Chemical Co.          
5.15%, 02/15/2034   1,230,000    1,211,290 
Total Chemicals        3,087,504 
           
Commercial Finance (0.41%)          
AerCap Ireland Capital DAC / AerCap Global Aviation Trust          
6.50%, 07/15/2025   2,441,000    2,464,185 
           
Consumer Finance (1.59%)          
Ally Financial, Inc.          
8.00%, 11/01/2031   750,000    824,324 
Capital One Financial Corp.          
1D US SOFR + 2.60%, 02/01/2034(a)   1,450,000    1,433,955 
Discover Financial Services          
SOFRINDX + 3.37%, 11/02/2034(a)(e)   4,250,000    4,761,832 
Fiserv, Inc.          
5.60%, 03/02/2033   750,000    756,741 
GTCR W-2 Merger Sub LLC          
7.50%, 01/15/2031(d)   1,000,000    1,043,990 
Synchrony Financial          
3.70%, 08/04/2026   500,000    471,969 
4.25%, 08/15/2024   250,000    247,726 
Total Consumer Finance        9,540,537 
           
Consumer Products (0.32%)          
Church & Dwight Co., Inc.          
5.60%, 11/15/2032   700,000    727,606 
Estee Lauder Cos., Inc.          
5.00%, 02/14/2034   1,230,000    1,208,280 
Total Consumer Products        1,935,886 
           
Diversified Banks (1.53%)          
Bank of America Corp.          
1D US SOFR + 1.65%, 01/23/2035(a)   712,000    710,127 
1D US SOFR + 1.84%, 09/15/2034(a)   1,000,000    1,026,708 
1D US SOFR + 1.91%, 04/25/2034(a)   2,000,000    1,971,497 
5Y US TI + 1.20%, 09/21/2036(a)   2,000,000    1,575,180 
Security Description 

Principal 

Amount 

   Value 
Diversified Banks (continued)          
Citigroup, Inc.          
1D US SOFR + 2.056%, 02/13/2035(a)  $483,000   $473,002 
JPMorgan Chase & Co.          
1D US SOFR + 1.07%, 12/15/2025(a)   1,500,000    1,500,001 
1D US SOFR + 1.62%, 01/23/2035(a)   812,000    807,128 
1D US SOFR + 2.58%, 09/14/2033(a)   1,100,000    1,114,367 
Total Diversified Banks        9,178,010 
           
Electrical Equipment Manufacturing (0.11%)          
Trimble, Inc.          
4.75%, 12/01/2024   650,000    644,624 
           
Entertainment Resources (0.01%)          
Vail Resorts, Inc.          
6.25%, 05/15/2025(d)   75,000    75,318 
           
Exploration & Production (1.65%)          
Coterra Energy, Inc.          
5.60%, 03/15/2034   2,992,000    2,990,344 
Hilcorp Energy I LP / Hilcorp Finance Co.          
6.25%, 11/01/2028(d)   1,250,000    1,241,908 
8.38%, 11/01/2033(d)   750,000    806,209 
Occidental Petroleum Corp.          
7.88%, 09/15/2031   4,250,000    4,787,672 
Total Exploration & Production        9,826,133 
           
Financial Services (2.51%)          
Charles Schwab Corp.          
1D US SOFR + 2.01%, 08/24/2034(a)   1,000,000    1,036,114 
1D US SOFR + 2.50%, 05/19/2034(a)   1,000,000    1,014,517 
SOFRINDX + 1.05%, 03/03/2027(a)(e)   467,000    468,716 
Goldman Sachs Group, Inc.          
1D US SOFR + 0.50%, 09/10/2024(a)   700,000    700,351 
Morgan Stanley          
1D US SOFR + 0.525%, 05/30/2025(a)   243,000    239,671 
1D US SOFR + 1.36%, 09/16/2036(a)   1,700,000    1,333,349 
1D US SOFR + 1.73%, 01/18/2035(a)   606,000    605,022 
1D US SOFR + 2.05%, 11/01/2034(a)   550,000    595,866 
5Y US TI + 2.43%, 01/19/2038(a)   1,000,000    997,301 


 

 

Security Description 

Principal 

Amount 

   Value 
Financial Services (continued)          
UBS Group AG          
1D US SOFR + 3.92%, 08/12/2033(a)(d)  $5,570,000   $5,813,545 
1Y US TI + 1.80%, 09/22/2029(a)(d)   1,000,000    1,028,972 
1Y US TI + 2.00%, 09/22/2034(a)(d)   1,100,000    1,136,549 
Total Financial Services        14,969,973 
           
Food & Beverage (1.10%)          
J M Smucker Co.          
6.20%, 11/15/2033   1,200,000    1,268,845 
JBS USA LUX SA / JBS USA Food Co. / JBS Luxembourg SARL          
6.75%, 03/15/2034(d)   500,000    515,464 
7.25%, 11/15/2053(d)   1,450,000    1,520,601 
JDE Peet's NV          
0.80%, 09/24/2024(d)   300,000    291,217 
Pilgrim's Pride Corp.          
6.25%, 07/01/2033   1,750,000    1,771,119 
6.88%, 05/15/2034   700,000    738,107 
Tyson Foods, Inc.          
5.70%, 03/15/2034   477,000    477,150 
Total Food & Beverage        6,582,503 
           
Government Agencies (0.01%)          
Tennessee Valley Authority          
2.22%, 05/01/2029(a)   2,576    57,058 
           
Health Care Facilities & Services (1.00%)          
Cardinal Health, Inc.          
5.45%, 02/15/2034   263,000    262,995 
HCA, Inc.          
2.38%, 07/15/2031   2,250,000    1,830,112 
5.38%, 02/01/2025   800,000    797,322 
5.50%, 06/01/2033   1,200,000    1,192,611 
5.60%, 04/01/2034   1,137,000    1,131,739 
6.00%, 04/01/2054   775,000    768,612 
Total Health Care Facilities & Services        5,983,391 
           
Industrial Other (0.87%)          
Honeywell International, Inc.          
5.00%, 03/01/2035   2,825,000    2,815,895 
Jacobs Engineering Group, Inc.          
5.90%, 03/01/2033   1,650,000    1,649,734 
Quanta Services, Inc.          
0.95%, 10/01/2024   750,000    729,164 
Total Industrial Other        5,194,793 
           
Leisure Products Manufacturing (0.18%)          
Polaris, Inc.          
6.95%, 03/15/2029   1,000,000    1,053,905 
Security Description 

Principal

Amount

   Value 
Machinery Manufacturing (0.14%)          
Nordson Corp.          
5.80%, 09/15/2033  $800,000   $825,619 
           
Manufactured Goods (0.14%)          
Chart Industries, Inc.          
7.50%, 01/01/2030(d)   810,000    836,517 
           
Medical Equipment & Devices Manufacturing (0.98%)          
Alcon Finance Corp.          
5.38%, 12/06/2032(d)   1,900,000    1,903,245 
Revvity, Inc.          
0.85%, 09/15/2024   654,000    637,044 
Solventum Corp.          
5.45%, 03/13/2031(d)   326,000    323,004 
5.60%, 03/23/2034(d)   539,000    536,535 
5.90%, 04/30/2054(d)   505,000    497,555 
6.00%, 05/15/2064(d)   2,014,000    1,954,960 
Total Medical Equipment & Devices Manufacturing        5,852,343 
           
Pharmaceuticals (2.44%)          
AbbVie, Inc.          
5.05%, 03/15/2034   1,323,000    1,329,550 
5.35%, 03/15/2044   567,000    571,835 
5.40%, 03/15/2054   567,000    574,945 
Astrazeneca Finance LLC          
5.00%, 02/26/2034   2,920,000    2,929,264 
Bristol-Myers Squibb Co.          
5.20%, 02/22/2034   1,250,000    1,259,610 
5.55%, 02/22/2054   2,435,000    2,466,184 
6.25%, 11/15/2053   1,250,000    1,365,234 
Pfizer Investment Enterprises Pte, Ltd.          
4.75%, 05/19/2033   1,000,000    974,061 
5.11%, 05/19/2043   2,000,000    1,921,314 
5.30%, 05/19/2053   1,250,000    1,223,140 
Total Pharmaceuticals        14,615,137 
           
Pipeline (3.05%)          
Buckeye Partners LP          
4.50%, 03/01/2028(d)   1,760,000    1,637,730 
Cheniere Energy Partners LP          
3.25%, 01/31/2032   1,700,000    1,421,944 
Energy Transfer LP          
8.00%, 04/01/2029(d)   2,493,000    2,588,058 
Flex Intermediate Holdco LLC          
3.36%, 06/30/2031(d)   600,000    489,494 
4.32%, 12/30/2039(d)   1,200,000    870,149 
Gray Oak Pipeline LLC          
2.60%, 10/15/2025(d)   1,362,000    1,296,239 


 

 

Security Description 

Principal 

Amount 

   Value 
Pipeline (continued)          
Midwest Connector Capital Co. LLC          
3.90%, 04/01/2024(d)  $2,440,000   $2,435,957 
4.63%, 04/01/2029(d)   1,250,000    1,204,245 
Targa Resources Partners LP / Targa Resources Partners Finance Corp.          
6.50%, 07/15/2027   3,300,000    3,337,901 
6.88%, 01/15/2029   1,500,000    1,546,395 
TransCanada PipeLines, Ltd.          
6.20%, 03/09/2026   1,400,000    1,400,024 
Total Pipeline        18,228,136 
           
Power Generation (0.72%)          
Vistra Operations Co. LLC          
5.13%, 05/13/2025(d)   1,200,000    1,191,455 
5.50%, 09/01/2026(d)   1,500,000    1,478,563 
6.95%, 10/15/2033(d)   1,550,000    1,616,357 
Total Power Generation        4,286,375 
           
Property & Casualty Insurance (0.14%)          
Arthur J Gallagher & Co.          
5.45%, 07/15/2034   126,000    125,554 
Willis North America, Inc.          
5.90%, 03/05/2054   705,000    700,945 
Total Property & Casualty Insurance        826,499 
           
Publishing & Broadcasting (0.52%)          
Gray Television, Inc.          
5.38%, 11/15/2031(d)   300,000    191,173 
7.00%, 05/15/2027(d)   750,000    672,143 
Nexstar Media, Inc.          
4.75%, 11/01/2028(d)   900,000    799,622 
5.63%, 07/15/2027(d)   1,250,000    1,187,574 
Scripps Escrow II, Inc.          
3.88%, 01/15/2029(d)   400,000    316,797 
Total Publishing & Broadcasting        3,167,309 
           
Real Estate (0.67%)          
Cushman & Wakefield US Borrower LLC          
6.75%, 05/15/2028(d)   575,000    566,918 
VICI Properties LP / VICI Note Co., Inc.          
4.63%, 06/15/2025(d)   1,750,000    1,721,860 
5.63%, 05/01/2024(d)   1,750,000    1,750,108 
Total Real Estate        4,038,886 
           
Refining & Marketing (0.46%)          
HF Sinclair Corp.          
4.50%, 10/01/2030   1,750,000    1,639,903 
5.00%, 02/01/2028(d)   500,000    481,543 
5.88%, 04/01/2026   500,000    502,244 
Phillips 66 Co.          
5.25%, 06/15/2031   168,000    167,478 
Total Refining & Marketing        2,791,168 
Security Description 

Principal 

Amount 

   Value 
Restaurants (0.05%)
Brinker International, Inc.          
8.25%, 07/15/2030(d)  $300,000   $314,673 
           
Retail - Consumer Discretionary (0.22%)          
ERAC USA Finance LLC          
5.00%, 02/15/2029(d)   623,000    619,295 
5.20%, 10/30/2034(d)   705,000    699,287 
Total Retail - Consumer Discretionary        1,318,582 
           
Software & Services (0.90%)          
Concentrix Corp.          
6.60%, 08/02/2028   1,000,000    1,005,136 
CoStar Group, Inc.          
2.80%, 07/15/2030(d)   1,500,000    1,268,737 
Leidos, Inc.          
5.75%, 03/15/2033   500,000    508,199 
VMware LLC          
2.20%, 08/15/2031   750,000    604,665 
4.70%, 05/15/2030   2,060,000    1,984,000 
Total Software & Services        5,370,737 
           
Supermarkets & Pharmacies (0.34%)          
Albertsons Cos. Inc / Safeway, Inc. / New Albertsons LP / Albertsons LLC          
6.50%, 02/15/2028(d)   2,000,000    2,013,932 
           
Transportation & Logistics (0.35%)          
Cummins, Inc.          
5.15%, 02/20/2034   1,020,000    1,018,522 
FedEx Corp. 2020-1 Class AA Pass Through Trust          
1.88%, 02/20/2034   1,326,564    1,091,425 
Total Transportation & Logistics        2,109,947 
           
Travel & Lodging (0.20%)          
Royal Caribbean Cruises, Ltd.          
6.25%, 03/15/2032(d)   1,221,000    1,225,258 
           
Utilities (1.13%)          
American Water Capital Corp.          
5.15%, 03/01/2034   1,137,000    1,127,659 
Dominion Energy, Inc.          
3.07%, 08/15/2024(f)   200,000    197,687 
National Rural Utilities Cooperative Finance Corp.          
3M CME TERM SOFR + 3.17161%, 04/30/2043(a)   1,200,000    1,199,841 
5Y US TI + 3.533%, 09/15/2053(a)   1,000,000    1,036,382 
ONE Gas, Inc.          
1.10%, 03/11/2024   400,000    399,641 


 

 

Security Description 

Principal 

Amount 

   Value 
Utilities (continued)          
Sempra          
5Y US TI + 2.868%, 04/01/2052(a)  $809,000   $746,278 
Southern California Edison Co.          
1.10%, 04/01/2024   400,000    398,584 
Xcel Energy, Inc.          
5.50%, 03/15/2034  $1,684,000   $1,655,487 
Total Utilities        6,761,559 
           
Waste & Environment Services & Equipment (0.20%)
GFL Environmental, Inc.          
5.13%, 12/15/2026(d)   1,200,000    1,174,922 
           
Wireless Telecommunications Services (0.37%)          
AT&T, Inc.          
5.54%, 02/20/2026   750,000    748,531 
T-Mobile USA, Inc.          
4.80%, 07/15/2028   950,000    937,830 
6.00%, 06/15/2054   500,000    523,144 
Total Wireless Telecommunications Services        2,209,505 
           
TOTAL CORPORATE BONDS          
(Cost $203,052,784)        202,528,841 
           
GOVERNMENT BONDS (40.01%)          
           
U.S. Treasury Bonds (40.01%)          
United States Treasury Bonds          
3.63%, 05/15/2053   3,885,000    3,393,912 
4.00%, 02/15/2034   17,000,000    16,658,672 
4.13%, 08/15/2053   16,643,000    15,912,268 
4.25%, 02/15/2054   2,985,000    2,923,434 
4.38%, 08/15/2043   15,089,000    14,768,359 
4.75%, 11/15/2043   21,587,000    22,205,940 
4.75%, 11/15/2053   16,947,000    18,006,188 
United States Treasury Notes          
4.00%, 01/15/2027   8,657,000    8,553,184 
4.00%, 01/31/2029   17,000,000    16,796,797 
4.75%, 07/31/2025   23,000,000    22,971,250 
4.88%, 11/30/2025   21,243,000    21,292,788 
5.00%, 08/31/2025   23,919,000    23,977,863 
5.00%, 09/30/2025   28,655,000    28,742,308 
5.00%, 10/31/2025   23,090,000    23,174,784 
Total U.S. Treasury Bonds        239,377,747 
           
TOTAL GOVERNMENT BONDS          
(Cost $239,267,548)        239,377,747 
           
PREFERRED STOCK (1.25%)          
           
Energy (0.14%)          
Pipeline (0.14%)          
Energy Transfer LP, Series B(g)   100,000    93,017 
Security Description 

Principal 

Amount 

   Value 
Energy (continued)          
Energy Transfer LP, Series F(g)  $750,000   $739,789 
Total Energy        831,806 
           
Financials (1.11%)          
Banks (0.25%)          
Wells Fargo & Co., Series S(g)   1,500,000    1,496,695 
           
Consumer Finance (0.30%)          
American Express Co.(g)   950,000    858,409 
Synchrony Financial(a)(g)   36,200    906,810 
         1,765,219 
           
Diversified Banks (0.52%)          
Barclays PLC, 5Y US TI + 5.672%(a)(g)   3,100,000    3,100,722 
           
Financial Services (0.01%)          
State Street Corp., Series I, 5Y US TI + 2.613%(a)(g)   83,000    83,000 
           
Life Insurance (0.03%)          
Jackson Financial, Inc.(g)   6,800    182,580 
           
Total Financials        6,628,216 
           
TOTAL PREFERRED STOCK          
(Cost $7,427,048)        7,460,022 
           
   7-Day         
   Yield   Shares   Value 
SHORT TERM INVESTMENTS (4.97%)
 
Money Market Fund (4.97%)
Morgan Stanley Institutional Liquidity Funds - Government Portfolio   5.22%   29,704,499    29,704,499 
                
TOTAL SHORT TERM INVESTMENTS
(Cost $29,704,499)             29,704,499 
                
TOTAL INVESTMENTS (88.05%)
(Cost $526,958,930)            $526,757,580 
                
Other Assets In Excess Of Liabilities (11.95%)     71,513,118 
                
NET ASSETS (100.00%)            $598,270,698 


 

 

Investment Abbreviations:

SOFR - Secured Overnight Financing Rate

SOFRINDX - Secured Overnight Financing Rate Index

TI – Treasury Index

 

Reference Rates:

1M US SOFR- 1 Month SOFR as of February 29, 2024 was 5.34%

30D US SOFR - 30 Day SOFR as of February 29, 2024 was 5.32%

3M US SOFR - 3 Month SOFR as of February 29, 2024 was 5.33%

1D US SOFR - 1 Day SOFR as of February 29, 2024 was 5.31%

1M US SOFR- 1 Month SOFR as of February 29, 2024 was 5.34%

1M CME SOFR – 1 Month SOFR as of February 29, 2024 was 5.32%

3M CME SOFR – 3 Month SOFR as of February 29, 2024 was 5.33%

1Y US TI -  1 Year US TI as of February 29, 2024 was 4.80%

5Y US TI -  5 Year US TI as of February 29, 2024 was 4.26%

 

(a) Floating or variable rate security.  The reference rate is described above.  The rate in effect as of February 29, 2024 is based on the reference rate plus the displayed spread as of the security's last reset date.
(b) Issued with zero coupon.
(c) Interest only security.
(d) Security exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions exempt from registration, normally to qualified institutional buyers. As of February 29, 2024, the aggregate market value of those securities was $60,405,479, representing 10.10% of net assets.
(e) The SOFRINDX is a compounded average of the daily Secured Overnight Financing Rate determined by reference to the SOFR Index for any interest period.
(f) Step bond.  Coupon changes periodically based upon a predetermined schedule.  Interest rate disclosed is that which is in effect as of February 29, 2024.
(g) Perpetual maturity.  This security has no contractual maturity date, is not redeemable and contractually pays an indefinite stream of interest.
(h) Non-Income Producing Security.

 

See Notes to Quarterly Statement of Investments.



 

 

Barron's 400 ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (97.60%)
Communication Services (1.54%)          
Alphabet, Inc., Class A(a)   2,255   $312,227 
Cogent Communications Holdings, Inc.(b)   4,640    375,422 
Electronic Arts, Inc.   2,490    347,305 
Fox Corp., Class A   9,726    289,738 
Meta Platforms, Inc., Class A   986    483,268 
Warner Music Group Corp., Class A   9,341    326,281 
Total Communication Services        2,134,241 
           
Consumer Discretionary (12.48%)          
Airbnb, Inc., Class A(a)   2,085    328,325 
Booking Holdings, Inc.   98    339,945 
Boot Barn Holdings, Inc.(a)(b)   3,593    332,353 
Build-A-Bear Workshop, Inc.   10,968    262,574 
Cavco Industries, Inc.(a)   1,121    417,651 
Chipotle Mexican Grill, Inc.(a)   158    424,826 
Crocs, Inc.(a)   3,413    417,239 
Darden Restaurants, Inc.   2,058    351,321 
Deckers Outdoor Corp.(a)   576    515,860 
Dillard's, Inc., Class A   969    401,873 
DR Horton, Inc.   2,610    390,038 
Dream Finders Homes, Inc.(a)   10,957    428,747 
eBay, Inc.   7,008    331,338 
Ethan Allen Interiors, Inc.   9,974    333,431 
General Motors Co.   9,453    387,384 
Gentex Corp.   9,567    349,483 
Grand Canyon Education, Inc.(a)   2,724    367,195 
Guess?, Inc.   13,553    343,975 
Harley-Davidson, Inc.   9,473    343,586 
Hilton Worldwide Holdings, Inc.   1,969    402,306 
Home Depot, Inc.   940    357,773 
Installed Building Products, Inc.   2,244    536,159 
KB Home   6,075    403,562 
Lennar Corp., Class B   2,874    423,541 
M/I Homes, Inc.(a)   3,272    415,511 
McDonald's Corp.   1,106    323,262 
Meritage Homes Corp.   2,306    363,564 
Modine Manufacturing Co.(a)   6,581    590,382 
NVR, Inc.(a)   47    358,402 
Oxford Industries, Inc.   3,236    328,098 
Perdoceo Education Corp.   18,449    328,577 
Polaris, Inc.   2,898    268,674 
PulteGroup, Inc.   3,774    409,026 
Ralph Lauren Corp.   2,652    493,060 
Ross Stores, Inc.   2,599    387,147 
Royal Caribbean Cruises, Ltd.(a)   3,153    388,923 
Skyline Champion Corp.(a)   4,392    368,006 
Target Hospitality Corp.(a)   20,040    193,987 
Taylor Morrison Home Corp., Class A(a)   6,586    372,833 

 

Security Description  Shares   Value 
Consumer Discretionary (continued)          
Tesla, Inc.(a)   1,129   $227,923 
TJX Cos., Inc.   3,299    327,063 
Toll Brothers, Inc.   3,763    431,390 
TopBuild Corp.(a)   1,090    438,594 
Tractor Supply Co.   1,398    355,539 
Williams-Sonoma, Inc.(b)   2,142    504,505 
XPEL, Inc.(a)(b)(c)   4,148    218,102 
Total Consumer Discretionary        17,283,053 
           
Consumer Staples (3.41%)          
Archer-Daniels-Midland Co.   3,911    207,713 
Cal-Maine Foods, Inc.   6,328    363,797 
Clorox Co.   1,992    305,394 
Coca-Cola Co.   5,206    312,464 
Coca-Cola Consolidated, Inc.   459    385,927 
Costco Wholesale Corp.   554    412,115 
elf Beauty, Inc.(a)   2,240    467,107 
Inter Parfums, Inc.   2,356    345,672 
Kroger Co.   6,782    336,455 
Lamb Weston Holdings, Inc.   3,064    313,172 
Monster Beverage Corp.(a)   5,427    320,736 
Oil-Dri Corp. of America   5,027    358,375 
PepsiCo, Inc.   1,724    285,046 
Procter & Gamble Co.   1,995    317,085 
Total Consumer Staples        4,731,058 
           
Energy (11.94%)          
APA Corp.   7,188    214,131 
Ardmore Shipping Corp.   24,582    398,966 
Baker Hughes Co.   8,332    246,544 
Cactus, Inc., Class A   5,601    257,086 
Cheniere Energy, Inc.   1,949    302,485 
Chesapeake Energy Corp.(b)   3,528    292,048 
Chevron Corp.   1,884    286,387 
Chord Energy Corp.   1,941    315,316 
Civitas Resources, Inc.   3,753    257,756 
CNX Resources Corp.(a)(b)   13,739    287,832 
ConocoPhillips   2,510    282,475 
CONSOL Energy, Inc.   3,248    278,743 
Coterra Energy, Inc.   11,111    286,442 
Devon Energy Corp.   6,034    265,858 
Diamondback Energy, Inc.   2,020    368,690 
Dorian LPG, Ltd.   10,979    396,891 
EnLink Midstream LLC   25,219    310,950 
EOG Resources, Inc.   2,321    265,662 
EQT Corp.   7,301    271,232 
Evolution Petroleum Corp.(b)   34,321    201,121 
Exxon Mobil Corp.   2,701    282,309 
Frontline PLC   18,449    415,656 
Gulfport Energy Corp.(a)   2,632    373,718 
Hallador Energy Co.(a)   27,768    211,037 
Halliburton Co.   7,457    261,517 
Helmerich & Payne, Inc.   7,015    269,306 
Hess Corp.   1,938    282,464 
HF Sinclair Corp.   5,042    279,831 
International Seaways, Inc.   7,310    386,918 
Liberty Energy, Inc., Class A(b)   17,390    371,798 
Magnolia Oil & Gas Corp., Class A(b)   13,434    304,683 
Marathon Oil Corp.   12,047    292,140 


 

 

 

 

Security Description  Shares   Value 
Energy (continued)          
Marathon Petroleum Corp.   2,001   $338,629 
Murphy Oil Corp.   6,860    272,136 
New Fortress Energy, Inc.(b)   9,696    340,814 
Northern Oil and Gas, Inc.   7,436    265,688 
ONEOK, Inc.   6,169    463,415 
Par Pacific Holdings, Inc.(a)   8,424    304,275 
Patterson-UTI Energy, Inc.   20,469    236,826 
PBF Energy, Inc., Class A   5,673    264,929 
Phillips 66   2,483    353,852 
Pioneer Natural Resources Co.   1,342    315,625 
Range Resources Corp.   9,653    305,228 
RPC, Inc.(b)   36,870    272,469 
San Juan Basin Royalty Trust(b)   46,488    238,948 
Schlumberger Ltd.   5,071    245,081 
SilverBow Resources, Inc.(a)   7,521    213,521 
SM Energy Co.   7,619    333,484 
Solaris Oilfield Infrastructure, Inc., Class A   30,032    254,371 
Southwestern Energy Co.(a)   47,280    329,542 
Targa Resources Corp.   3,678    361,327 
Texas Pacific Land Corp.   179    282,000 
Valero Energy Corp.   2,148    303,856 
Viper Energy, Inc.   10,794    390,095 
Williams Cos., Inc.   9,145    328,671 
Total Energy        16,532,774 
           
Financials (21.17%)          
1st Source Corp.   7,045    350,700 
Amalgamated Financial Corp.   17,802    410,870 
American Express Co.   1,953    428,527 
Arch Capital Group, Ltd.(a)   3,880    339,849 
Axos Financial, Inc.(a)   7,142    372,241 
BancFirst Corp.   3,512    308,143 
Bancorp, Inc.(a)   8,512    379,976 
Bank of America Corp.   10,820    373,506 
Bank of NT Butterfield & Son, Ltd.   10,810    323,111 
Bank OZK   7,991    350,006 
BOK Financial Corp.   3,757    319,383 
Brown & Brown, Inc.   4,205    354,103 
Byline Bancorp, Inc.   14,952    311,600 
Cathay General Bancorp   8,405    328,215 
Cincinnati Financial Corp.   2,917    332,538 
Citizens Financial Group, Inc.   11,160    350,312 
City Holding Co.   3,392    340,828 
Comerica, Inc.   6,657    328,723 
CVB Financial Corp.   17,902    304,692 
Dime Community Bancshares, Inc.   15,170    284,286 
East West Bancorp, Inc.   5,766    420,111 
Enterprise Financial Services Corp.   8,004    319,520 
Everest Group, Ltd.   805    296,948 
FactSet Research Systems, Inc.   724    334,908 
FB Financial Corp.   10,546    375,859 
Fifth Third Bancorp   11,629    399,340 
First BanCorp   22,701    385,463 
First Bancshares, Inc.   11,066    274,769 
First Citizens BancShares, Inc., Class A   226    355,681 

 

Security Description  Shares   Value 
Financials (continued)          
First Commonwealth Financial Corp.   24,881   $324,199 
First Merchants Corp.   10,695    355,074 
FleetCor Technologies, Inc.(a)   1,138    317,809 
FNB Corp.(b)   27,798    370,825 
Fulton Financial Corp.   24,287    374,020 
Hancock Whitney Corp.   7,976    347,754 
Hanmi Financial Corp.   18,355    277,344 
Heritage Commerce Corp.   36,050    298,855 
Home BancShares, Inc.(b)   14,080    330,317 
Huntington Bancshares, Inc.   28,681    374,000 
Independent Bank Corp.   5,828    304,047 
Interactive Brokers Group, Inc.   3,268    355,297 
International Bancshares Corp.   6,978    362,088 
Jack Henry & Associates, Inc.   2,038    354,143 
JPMorgan Chase & Co.   2,139    397,982 
Kinsale Capital Group, Inc.   758    391,264 
LPL Financial Holdings, Inc.   1,285    344,239 
M&T Bank Corp.   2,442    341,245 
Markel Group, Inc.(a)   214    319,391 
Mastercard, Inc., Class A   741    351,797 
MSCI, Inc.   578    324,241 
National Bank Holdings Corp., Class A   10,126    342,664 
New York Community Bancorp, Inc.   25,775    123,462 
OceanFirst Financial Corp.   18,440    280,288 
OFG Bancorp   10,385    376,145 
Old National Bancorp(b)   20,542    337,505 
Old Second Bancorp, Inc.   21,647    290,719 
Pathward Financial, Inc.   6,217    316,072 
Peoples Bancorp, Inc.(b)   12,148    340,994 
Pinnacle Financial Partners, Inc.   4,525    374,308 
PNC Financial Services Group, Inc.   2,612    384,486 
Popular, Inc.   4,771    399,237 
Preferred Bank   4,943    355,155 
Premier Financial Corp.   16,620    322,096 
QCR Holdings, Inc.   6,153    350,721 
Regions Financial Corp.   17,158    319,654 
S&T Bancorp, Inc.   11,258    351,137 
Shift4 Payments, Inc.(a)(b)   5,457    448,675 
South State Corp.   4,422    371,625 
Southside Bancshares, Inc.   10,628    304,598 
Stock Yards Bancorp, Inc.   7,209    330,244 
Synchrony Financial   9,720    401,436 
Synovus Financial Corp.   10,213    387,481 
Texas Capital Bancshares, Inc.(a)   4,967    291,315 
Valley National Bancorp   34,022    278,640 
Veritex Holdings, Inc.   17,290    339,403 
Visa, Inc., Class A, Class A   1,236    349,343 
WaFd, Inc.   11,765    320,479 
Webster Financial Corp.   7,394    352,250 
Wells Fargo & Co.   7,453    414,312 
Westamerica BanCorp   7,013    320,564 
Western Alliance Bancorp   6,423    370,800 
Wintrust Financial Corp.   4,035    388,772 
WisdomTree, Inc.(b)   43,479    350,441 


 

 

 

Security Description  Shares   Value 
Financials (continued)          
WR Berkley Corp.   4,960   $414,656 
WSFS Financial Corp.   8,197    347,471 
Total Financials        29,317,287 
           
Health Care (7.76%)          
AbbVie, Inc.   2,056    361,959 
Agilent Technologies, Inc.   2,693    369,910 
Amgen, Inc.   1,178    322,572 
Amphastar Pharmaceuticals, Inc.(a)   5,998    279,327 
Arcturus Therapeutics Holdings, Inc.(a)(b)   9,779    379,034 
Assertio Holdings, Inc.(a)(b)   101,063    89,330 
Danaher Corp.   1,234    312,375 
Dexcom, Inc.(a)   2,857    328,755 
Dynavax Technologies Corp.(a)(b)   22,743    288,154 
Edwards Lifesciences Corp.(a)   4,067    345,166 
Eli Lilly & Co.   522    393,421 
Gilead Sciences, Inc.   4,005    288,761 
Haemonetics Corp.(a)   3,400    248,132 
Halozyme Therapeutics, Inc.(a)(b)   8,223    327,358 
Harmony Biosciences Holdings, Inc.(a)   8,107    260,235 
Humana, Inc.   666    233,313 
IDEXX Laboratories, Inc.(a)   644    370,448 
Intuitive Surgical, Inc.(a)   1,024    394,854 
Johnson & Johnson   1,883    303,879 
Kiniksa Pharmaceuticals, Ltd., Class A(a)   17,471    369,337 
Medpace Holdings, Inc.(a)   1,108    440,452 
Neurocrine Biosciences, Inc.(a)   2,816    367,206 
Pfizer, Inc.   9,083    241,244 
Regeneron Pharmaceuticals, Inc.(a)   378    365,182 
Stryker Corp.   1,034    360,938 
United Therapeutics Corp.(a)   1,397    315,219 
UnitedHealth Group, Inc.   646    318,866 
Veeva Systems, Inc., Class A(a)   1,371    309,174 
Vertex Pharmaceuticals, Inc.(a)   892    375,300 
Viatris, Inc.   30,796    380,947 
Voyager Therapeutics, Inc.(a)   34,213    284,652 
Waters Corp.(a)   1,170    394,781 
Zoetis, Inc.   1,658    328,831 
Total Health Care        10,749,112 
           
Industrials (20.00%)          
AAON, Inc.   4,760    399,745 
Acuity Brands, Inc.   1,931    485,144 
AGCO Corp.   2,469    270,849 
Allison Transmission Holdings, Inc.   5,133    386,669 
AMETEK, Inc.   2,005    361,261 
Apogee Enterprises, Inc.   6,325    361,853 
Applied Industrial Technologies, Inc.   1,886    358,133 
Array Technologies, Inc.(a)(b)   13,524    184,467 
Atkore, Inc.   2,037    345,068 

 

Security Description  Shares   Value 
Industrials (continued)          
Automatic Data Processing, Inc.   1,243   $312,155 
Boise Cascade Co.   3,003    408,138 
Brady Corp., Class A   5,475    319,083 
Broadridge Financial Solutions, Inc.   1,633    332,446 
Builders FirstSource, Inc.(a)   2,169    423,345 
Carlisle Cos., Inc.   1,109    388,150 
Carrier Global Corp.   5,156    286,570 
Caterpillar, Inc.   1,090    364,016 
Cintas Corp.   617    387,852 
Comfort Systems USA, Inc.   1,637    500,480 
Copart, Inc.(a)   6,845    363,812 
Core & Main, Inc.(a)   10,201    486,894 
CSW Industrials, Inc.   1,729    398,344 
CSX Corp.   10,215    387,557 
Cummins, Inc.   1,343    360,743 
Deere & Co.   770    281,088 
Delta Air Lines, Inc.   7,547    319,012 
EMCOR Group, Inc.   1,392    436,420 
Encore Wire Corp.   1,842    443,922 
ExlService Holdings, Inc.(a)   10,517    327,289 
Fastenal Co.   5,648    412,360 
GMS, Inc.(a)   4,719    421,454 
Graco, Inc.   4,011    366,044 
H&E Equipment Services, Inc.   7,104    401,305 
Honeywell International, Inc.   1,655    328,898 
Hubbell, Inc.   945    359,733 
Hudson Technologies, Inc.(a)   25,143    368,345 
IDEX Corp.   1,435    338,517 
IES Holdings, Inc.(a)   4,351    478,262 
Illinois Tool Works, Inc.   1,295    339,484 
Ingersoll Rand, Inc.   4,436    405,140 
ITT, Inc.   3,052    384,979 
Jacobs Solutions, Inc.   2,346    344,041 
Janus International Group, Inc.(a)   29,243    419,637 
JB Hunt Transport Services, Inc.   1,671    344,744 
Lennox International, Inc.   778    366,601 
Lincoln Electric Holdings, Inc.   1,700    436,220 
MSC Industrial Direct Co., Inc., Class A   3,146    317,557 
Mueller Industries, Inc.   8,450    434,161 
Nordson Corp.   1,319    350,392 
Old Dominion Freight Line, Inc.   722    319,471 
Owens Corning   2,115    316,785 
PACCAR, Inc.   3,613    400,646 
Parker-Hannifin Corp.   758    405,871 
Paychex, Inc.   2,575    315,747 
Paycom Software, Inc.   1,076    196,252 
Powell Industries, Inc.   3,708    686,870 
Preformed Line Products Co.   1,811    248,976 
Rockwell Automation, Inc.   1,052    299,904 
Rollins, Inc.   8,536    376,182 
Saia, Inc.(a)   721    414,863 
Shoals Technologies Group, Inc., Class A(a)   14,538    186,523 
Simpson Manufacturing Co., Inc.   1,891    394,614 


 

 

 

Security Description  Shares   Value 
Industrials (continued)          
Snap-on, Inc.   1,160   $319,766 
Standex International Corp.   2,110    365,030 
Sterling Infrastructure, Inc.(a)   3,984    424,854 
Tennant Co.   3,921    443,818 
Terex Corp.   5,229    299,883 
The Timken Co.   4,269    358,553 
Toro Co.   3,771    348,101 
United Airlines Holdings, Inc.(a)   6,461    293,911 
United Rentals, Inc.   664    460,331 
Wabash National Corp.   14,493    395,369 
Watsco, Inc.   880    346,826 
Watts Water Technologies, Inc., Class A   1,726    352,018 
WW Grainger, Inc.   439    427,349 
Total Industrials        27,696,892 
           
Information Technology (13.27%)          
ACM Research, Inc., Class A(a)(b)   16,555    511,881 
Adobe, Inc.(a)   555    310,955 
Akamai Technologies, Inc.(a)   2,940    326,105 
Allegro MicroSystems, Inc.(a)   9,024    284,166 
Amdocs, Ltd.   3,527    321,662 
Amphenol Corp., Class A   3,564    389,331 
Analog Devices, Inc.   1,738    333,383 
Apple, Inc.   1,756    317,397 
Applied Materials, Inc.   2,056    414,531 
Arista Networks, Inc.(a)   1,579    438,236 
Autodesk, Inc.(a)   1,387    358,082 
Axcelis Technologies, Inc.(a)   1,788    201,454 
Badger Meter, Inc.   1,893    300,400 
Bel Fuse, Inc., Class B   6,624    344,249 
Belden, Inc.   3,181    270,958 
Broadcom, Inc.   361    469,477 
Cadence Design Systems, Inc.(a)   1,268    385,954 
Cisco Systems, Inc.   5,417    262,020 
Cognizant Technology Solutions Corp., Class A   4,326    341,841 
EPAM Systems, Inc.(a)   1,158    352,495 
ePlus, Inc.(a)   4,732    389,869 
Extreme Networks, Inc.(a)   12,043    152,224 
Fabrinet(a)   2,029    437,392 
Fortinet, Inc.(a)   4,739    327,512 
Gartner, Inc.(a)   874    406,899 
Gen Digital, Inc.   15,964    343,066 
Intuit, Inc.   555    367,904 
Jabil, Inc.   2,867    413,106 
KLA Corp.   631    430,531 
Lam Research Corp.   474    444,730 
Lattice Semiconductor Corp.(a)   3,428    262,619 
Manhattan Associates, Inc.(a)   1,496    378,982 
Microchip Technology, Inc.   3,828    322,088 
Microsoft Corp.   901    372,690 
Monolithic Power Systems, Inc.   639    460,106 
Motorola Solutions, Inc.   1,088    359,464 
NetApp, Inc.   3,931    350,331 
NVE Corp.   3,578    299,085 
NVIDIA Corp.   686    542,708 
ON Semiconductor Corp.(a)   3,154    248,914 
Oracle Corp.   2,428    271,159 

 

Security Description  Shares   Value 
Information Technology (continued)          
Photronics, Inc.(a)   15,320   $441,063 
QUALCOMM, Inc.   2,793    440,707 
Qualys, Inc.(a)   1,962    337,189 
ServiceNow, Inc.(a)   512    394,926 
Skyworks Solutions, Inc.   3,139    329,344 
Super Micro Computer, Inc.(a)   1,114    964,858 
Synopsys, Inc.(a)   670    384,399 
Texas Instruments, Inc.   1,863    311,736 
Vishay Intertechnology, Inc.(b)   12,220    265,785 
Total Information Technology        18,385,963 
           
Materials (4.72%)          
Albemarle Corp.(b)   1,660    228,831 
Alpha Metallurgical Resources, Inc.   1,422    536,449 
Arcadium Lithium PLC, Class A(a)(b)   36,234    198,925 
Cabot Corp.   4,442    377,348 
CF Industries Holdings, Inc.   3,767    304,072 
Commercial Metals Co.   5,903    318,762 
DuPont de Nemours, Inc.   4,085    282,641 
Eagle Materials, Inc.   1,692    429,007 
Hawkins, Inc.   5,450    382,863 
Martin Marietta Materials, Inc.   707    408,441 
NewMarket Corp.   671    430,561 
Nucor Corp.   1,890    363,447 
Packaging Corp. of America   2,111    382,492 
Reliance, Inc.   1,164    373,900 
Sherwin-Williams Co.   1,126    373,866 
Steel Dynamics, Inc.   3,070    410,827 
United States Lime & Minerals, Inc.   1,404    357,992 
Vulcan Materials Co.   1,424    378,570 
Total Materials        6,538,994 
           
Real Estate (0.46%)          
CoStar Group, Inc.(a)   3,737    325,231 
RMR Group, Inc., Class A   12,574    307,686 
Total Real Estate        632,917 
           
Utilities (0.85%)          
Otter Tail Corp.   4,050    366,363 
Public Service Enterprise Group, Inc.   5,070    316,368 
Vistra Corp.   9,035    492,769 
Total Utilities        1,175,500 
           
TOTAL COMMON STOCKS
(Cost $104,949,044)        135,177,791 

  

Security Description  Shares   Value 
LIMITED PARTNERSHIPS (2.10%)
Energy (2.10%)          
Alliance Resource Partners LP   15,534    295,146 
Black Stone Minerals LP   17,591    267,911 
Cheniere Energy Partners LP   5,763    280,197 
Dorchester Minerals LP   10,718    331,293 
Energy Transfer LP   22,662    331,772 


 

 

 

Security Description  Shares   Value 
Energy (continued)          
Enterprise Products Partners LP   11,536   $316,663 
Hess Midstream LP, Class A   10,445    356,070 
MPLX LP   8,881    341,386 
Western Midstream Partners LP   11,806    394,911 
Total Energy        2,915,349 
           
TOTAL LIMITED PARTNERSHIPS
(Cost $2,677,007)        2,915,349 

 

7 Day Yield  Shares   Value 
SHORT TERM INVESTMENTS (0.71%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)               
(Cost $335,443)   5.28%   335,443   $335,443 
                
Investments Purchased with Collateral from Securities Loaned (0.46%)               
State Street Navigator Securities Lending Government Money Market Portfolio, 5.33%               
(Cost $641,940)        641,940    641,940 
TOTAL SHORT TERM INVESTMENTS
(Cost $977,383)             977,383 
                
TOTAL INVESTMENTS (100.41%)
(Cost $108,603,434)            $139,070,523 
LIABILITIES IN EXCESS OF OTHER ASSETS (-0.41%)   (561,898)
NET ASSETS - 100.00%            $138,508,625 

 

(a) Non-income producing security.
(b) Security, or a portion of the security position is currently on loan. The total market value of securities on loan is $6,986,841.
(c) Securities were purchased pursuant to Regulation S under the Securities Act of 1933, which exempts securities offered and sold outside of the United States from registration.  Such securities cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. As of February 29, 2024, the market value of those securities was 218,102, representing 0.16% of net assets.

 

See Notes to Quarterly Schedule of Investments.


 

Level Four Large Cap Growth Active ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (92.62%)
Communication Services (7.63%)          
Alphabet, Inc., Class A(a)   25,948   $3,592,760 
Netflix, Inc.(a)   2,688    1,620,649 
Walt Disney Co.   7,700    859,166 
Total Communication Services        6,072,575 
           
Consumer Discretionary (15.69%)          
Amazon.com, Inc.(a)   26,927    4,759,617 
Booking Holdings, Inc.   631    2,188,832 
Etsy, Inc.(a)   9,983    715,681 
Home Depot, Inc.   4,488    1,708,178 
McDonald's Corp.   2,541    742,683 
PulteGroup, Inc.   7,905    856,744 
RH(a)   5,511    1,512,218 
Total Consumer Discretionary        12,483,953 
           
Consumer Staples (2.26%)          
Constellation Brands, Inc., Class A   3,556    883,737 
Estee Lauder Cos., Inc., Class A   6,137    911,836 
Total Consumer Staples        1,795,573 
           
Energy (1.59%)          
Phillips 66   8,882    1,265,774 
           
Financials (11.57%)          
BlackRock, Inc.   2,918    2,367,491 
Fidelity National Information Services, Inc.   12,710    879,405 
Morgan Stanley   17,460    1,502,258 
MSCI, Inc.   2,651    1,487,131 
PayPal Holdings, Inc.(a)   36,409    2,196,919 
Visa, Inc., Class A   2,755    778,673 
Total Financials        9,211,877 
           
Health Care (5.02%)          
AbbVie, Inc.   5,662    996,795 
Biogen, Inc.(a)   2,999    650,753 
UnitedHealth Group, Inc.   3,209    1,583,962 
Vertex Pharmaceuticals, Inc.(a)   1,813    762,802 
Total Health Care        3,994,312 
           
Industrials (9.17%)          
Fortive Corp.   10,221    870,114 
Lockheed Martin Corp.   1,642    703,170 
Paycom Software, Inc.   3,852    702,566 
TransDigm Group, Inc.   719    846,795 
Uber Technologies, Inc.(a)   40,189    3,195,026 
United Rentals, Inc.   1,419    983,750 
Total Industrials        7,301,421 
Security Description   Shares    Value 
Information Technology (38.50%)          
Akamai Technologies, Inc.(a)   6,172   $684,598 
Apple, Inc.   25,861    4,674,376 
Applied Materials, Inc.   9,269    1,868,816 
Broadcom, Inc.   740    962,363 
Cognizant Technology Solutions Corp., Class A   10,171    803,712 
DocuSign, Inc.(a)   31,577    1,682,107 
Dropbox, Inc.(a)   50,506    1,209,619 
Lam Research Corp.   3,065    2,875,735 
Mastercard, Inc., Class A   3,460    1,642,670 
Micron Technology, Inc.   21,677    1,964,153 
Microsoft Corp.   10,756    4,449,111 
Monolithic Power Systems, Inc.   2,633    1,895,865 
NVIDIA Corp.   1,488    1,177,187 
Palo Alto Networks, Inc.(a)   2,625    815,194 
Salesforce, Inc.   6,207    1,916,845 
ServiceNow, Inc.(a)   1,055    813,764 
Twilio, Inc., Class A(a)   20,284    1,208,724 
Total Information Technology        30,644,839 
           
Real Estate (1.19%)          
Zillow Group, Inc.(a)   16,799    943,264 
           
TOTAL COMMON STOCKS
(Cost $60,950,875)        73,713,588 

 

7 Day Yield  Shares   Value 
SHORT TERM INVESTMENTS (7.34%)
Money Market Fund (7.34%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)   5.28%   5,838,718    5,838,718 
                
TOTAL SHORT TERM INVESTMENTS
(Cost $5,838,718)             5,838,718 
                
TOTAL INVESTMENTS (99.96%)
(Cost $66,789,593)            $79,552,306 
OTHER ASSETS IN EXCESS OF LIABILITIES (0.04%)         33,232 
NET ASSETS - 100.00%            $79,585,538 

 

(a) Non-income producing security.
 
See Notes to Quarterly Schedule of Investments.


 

RiverFront Dynamic Core Income ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Principal Amount   Value 
CORPORATE BONDS (75.58%)          
Communications  (1.86%)          
Charter Communications Operating LLC / Charter Communications Operating Capital          
4.91%, 07/23/2025  $248,000   $244,597 
Comcast Corp.          
4.15%, 10/15/2028   249,000    241,646 
Total Communications        486,243 
           
Consumer Discretionary  (15.32%)          
Ford Motor Co.          
9.63%, 04/22/2030   351,000    410,096 
Ford Motor Credit Co. LLC          
7.35%, 11/04/2027   564,000    590,216 
General Motors Financial Co., Inc.          
6.40%, 01/09/2033   860,000    894,152 
Goodyear Tire & Rubber Co.          
4.88%, 03/15/2027   248,000    238,253 
Hyatt Hotels Corp.          
5.75%, 04/23/2030   860,000    876,504 
Marriott International, Inc.          
4.00%, 04/15/2028(a)   577,000    552,998 
Toyota Motor Credit Corp.          
3.95%, 06/30/2025   441,000    434,260 
Total Consumer Discretionary        3,996,479 
           
Consumer Staples  (2.85%)          
Anheuser-Busch InBev Worldwide, Inc.          
4.00%, 04/13/2028   285,000    276,472 
Dollar Tree, Inc.          
4.00%, 05/15/2025   475,000    466,558 
Total Consumer Staples        743,030 
           
Energy  (6.50%)          
Hess Midstream Operations LP          
4.25%, 02/15/2030(b)   248,000    226,051 
Kinetik Holdings LP          
6.63%, 12/15/2028(b)   1,000,000    1,013,029 
Marathon Oil Corp.          
4.40%, 07/15/2027   471,000    457,250 
Total Energy        1,696,330 
           
Financials  (28.01%)          
Bank of America Corp.          
4.25%, 10/22/2026   354,000    346,336 
5Y US TI + 3.23%(c)(d)   621,000    622,041 
Blue Owl Credit Income Corp.          
7.75%, 01/15/2029(b)   1,000,000    1,021,256 
Security Description  Principal Amount   Value 
Financials (continued)          
Citigroup, Inc.          
4.45%, 09/29/2027  $457,000   $442,743 
6.63%, 06/15/2032   147,000    156,431 
FNB Corp.          
5.15%, 08/25/2025   518,000    508,701 
FS KKR Capital Corp.          
4.25%, 02/14/2025(b)   479,000    470,266 
Goldman Sachs Group, Inc.          
5.70%, 11/01/2024   564,000    564,377 
Host Hotels & Resorts LP          
4.00%, 06/15/2025   314,000    307,517 
HSBC Holdings PLC          
4.38%, 11/23/2026   457,000    444,674 
Iron Mountain, Inc.          
4.88%, 09/15/2027(b)   482,000    462,762 
JPMorgan Chase & Co.          
4.25%, 10/01/2027   294,000    287,814 
Morgan Stanley          
5.00%, 11/24/2025   524,000    521,020 
PNC Financial Services Group, Inc.          
5Y US TI + 3.238%(c)(d)   621,000    612,645 
Royal Bank of Canada          
6.00%, 11/01/2027   524,000    539,503 
Total Financials        7,308,086 
           
Health Care  (1.32%)          
CVS Health Corp.          
4.30%, 03/25/2028   100,000    97,050 
HCA, Inc.          
5.38%, 09/01/2026   248,000    247,291 
Total Health Care        344,341 
           
Industrials  (5.09%)          
Boeing Co.          
4.88%, 05/01/2025   455,000    450,953 
Ingersoll Rand, Inc.          
5.70%, 08/14/2033   860,000    875,646 
Total Industrials        1,326,599 
           
Materials  (0.95%)          
DuPont de Nemours, Inc.          
4.73%, 11/15/2028   248,000    246,691 
Total Materials        246,691 
           
Technology  (5.36%)          
Concentrix Corp.          
6.85%, 08/02/2033   860,000    841,520 
Micron Technology, Inc.          
5.38%, 04/15/2028   555,000    557,977 
Total Technology        1,399,497 
           
Utilities  (8.32%)          
Dominion Energy, Inc.          
4.25%, 06/01/2028   577,000    556,874 
Public Service Enterprise Group, Inc.          
5.85%, 11/15/2027   564,000    577,785 

 

 

Security Description  Principal Amount   Value 
Utilities (continued)          
Southern California Gas Co.          
5.20%, 06/01/2033  $506,000   $502,200 
Vistra Operations Co. LLC          
7.75%, 10/15/2031(b)   516,000    534,577 
Total Utilities        2,171,436 
           
TOTAL CORPORATE BONDS          
(Cost $20,146,533)        19,718,732 
           
GOVERNMENT BONDS (20.41%)          
United States Treasury Bond          
6.13%, 08/15/2029   860,000    933,873 
4.75%, 11/15/2043   2,700,000    2,777,414 
4.00%, 11/15/2052   1,123,000    1,049,961 
3.63%, 05/15/2053   645,000    563,468 
TOTAL GOVERNMENT BONDS          
(Cost $5,529,809)        5,324,716 

 

7 Day Yield  Shares   Value 
SHORT TERM INVESTMENTS (2.74%)
Money Market Fund (2.74%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)   5.28%   713,656    713,656 
                
TOTAL SHORT TERM INVESTMENTS
(Cost $713,656)             713,656 
                
TOTAL INVESTMENTS (98.73%)
(Cost $26,389,998)            $25,757,104 
OTHER ASSETS IN EXCESS OF LIABILITIES (1.27%)    331,200 
NET ASSETS - 100.00%            $26,088,304 

 

Investment Abbreviations:
TI - Treasury Index
 
Reference Rates:
5Y US TI - 5 Year US TI as of February 29, 2024 was 4.26%

 

(a) Securities were purchased pursuant to Regulation S under the Securities Act of 1933, which exempts securities offered and sold outside of the United States from registration.  Such securities cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. As of February 29, 2024, the market value of those securities was $552,998, representing 2.12% of net assets.
(b) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in the ordinary course of business in transactions exempt from registration, normally to qualified institutional buyers. At period end, the aggregate market value of those securities was $3,727,941, representing 14.29% of net assets.
(c) Floating or variable rate security. Interest rate resets periodically on specific dates. The rate shown represents the coupon or interest rate in effect as of February 29, 2024. Security description includes the reference rate and spread if published and available.
(d) Securities are perpetual and thus do not have a predetermined maturity date.

 

See Notes to Quarterly Schedule of Investments.

 

 

RiverFront Dynamic US Dividend Advantage ETF
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Shares   Value 
COMMON STOCKS (99.85%)          
Communication Services (6.95%)          
Alphabet, Inc., Class A(a)   4,128   $571,563 
Alphabet, Inc., Class C(a)   11,866    1,658,630 
AT&T, Inc.   41,851    708,537 
John Wiley & Sons, Inc., Class A   25,442    848,491 
Meta Platforms, Inc., Class A   2,062    1,010,648 
TEGNA, Inc.   31,787    445,336 
Total Communication Services        5,243,205 
           
Consumer Discretionary (11.43%)          
Amazon.com, Inc.(a)   18,353    3,244,076 
Booking Holdings, Inc.   448    1,554,036 
Ethan Allen Interiors, Inc.   18,551    620,160 
H&R Block, Inc.   26,246    1,284,741 
Nordstrom, Inc.(b)   32,710    685,929 
Perdoceo Education Corp.   38,352    683,049 
Upbound Group, Inc.   16,455    555,521 
Total Consumer Discretionary        8,627,512 
           
Consumer Staples (3.48%)          
Altria Group, Inc.   13,271    542,917 
Coca-Cola Co.   9,010    540,780 
Philip Morris International, Inc.   3,112    279,956 
Vector Group, Ltd.   112,758    1,258,379 
Total Consumer Staples        2,622,032 
           
Energy (11.18%)          
Antero Midstream Corp.   97,365    1,304,691 
Berry Corp.   85,755    604,573 
Coterra Energy, Inc.   19,527    503,406 
Devon Energy Corp.   9,688    426,853 
EnLink Midstream LLC   74,297    916,082 
EOG Resources, Inc.   5,105    584,318 
Equitrans Midstream Corp.   138,032    1,475,562 
Exxon Mobil Corp.   16,833    1,759,385 
Kinder Morgan, Inc.   49,771    865,518 
Total Energy        8,440,388 
           
Financials (14.76%)          
Apollo Commercial Real Estate Finance, Inc.   33,456    375,042 
Bank of America Corp.   21,003    725,024 
Fidelity National Information Services, Inc.   16,755    1,159,279 
First Horizon National Corp.   47,485    669,539 
FNB Corp.(b)   33,550    447,557 
Fulton Financial Corp.   32,115    494,571 
Horizon Bancorp, Inc.   51,379    618,603 
New York Community Bancorp, Inc.   41,982    201,094 
Old Republic International Corp.   39,769    1,151,710 
Security Description  Shares   Value 
Financials (continued)          
OneMain Holdings, Inc.   13,215   $624,144 
Ready Capital Corp.   44,342    391,540 
Starwood Property Trust, Inc.(b)   18,208    371,261 
US Bancorp   29,792    1,250,072 
Valley National Bancorp   63,686    521,588 
Veritex Holdings, Inc.   22,964    450,783 
Visa, Inc., Class A   3,746    1,058,769 
Western Union Co.   47,107    631,705 
Total Financials        11,142,281 
           
Health Care (10.30%)          
AbbVie, Inc.   4,055    713,883 
Amgen, Inc.   2,140    585,996 
Bristol-Myers Squibb Co.   18,361    931,821 
Cigna Group   3,720    1,250,441 
CVS Health Corp.   19,591    1,456,982 
Merck & Co., Inc.   13,512    1,718,051 
Pfizer, Inc.   19,157    508,810 
Viatris, Inc.   49,355    610,521 
Total Health Care        7,776,505 
           
Industrials (4.86%)          
3M Co.   5,161    475,431 
ACCO Brands Corp.   77,779    434,007 
Eagle Bulk Shipping, Inc.   10,348    634,022 
Lockheed Martin Corp.   1,206    516,457 
MSC Industrial Direct Co. Inc, Class A, Class A   6,082    613,917 
Paychex, Inc.   4,340    532,171 
Resources Connection, Inc.   33,266    460,069 
Total Industrials        3,666,074 
           
Information Technology (25.31%)          
Apple, Inc.   31,315    5,660,186 
Cisco Systems, Inc.   27,179    1,314,648 
Hewlett Packard Enterprise Co.   74,001    1,127,035 
International Business Machines Corp.   7,430    1,374,773 
Microsoft Corp.   16,254    6,723,305 
NVIDIA Corp.   3,662    2,897,082 
Total Information Technology        19,097,029 
           
Materials (1.57%)          
Greif, Inc.   7,761    496,859 
Mercer International, Inc.   75,044    688,904 
Total Materials        1,185,763 
           
Real Estate (5.71%)          
Camden Property Trust   4,604    434,986 
Invitation Homes, Inc.   16,206    552,139 
Medical Properties Trust, Inc.(b)   118,694    499,702 
Piedmont Office Realty Trust, Inc., Class A   38,853    243,608 
SITE Centers Corp.   49,562    673,052 
Tanger, Inc.   32,161    926,558 

 

 

Security Description  Shares   Value 
Real Estate (continued)          
Universal Health Realty Income Trust   25,192   $976,946 
Total Real Estate        4,306,991 
           
Utilities (4.30%)          
Clearway Energy, Inc., Class C   46,934    1,023,161 
Evergy, Inc.   8,188    405,633 
Public Service Enterprise Group, Inc.   14,959    933,442 
Spire, Inc.   14,878    882,563 
Total Utilities        3,244,799 
           
TOTAL COMMON STOCKS          
(Cost $67,917,509)        75,352,579 

 

7 Day Yield  Shares   Value 
SHORT TERM INVESTMENTS (0.08%)
Money Market Fund (0.05%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)               
(Cost $41,046)   5.28%   41,046   $41,046 
                
Investments Purchased with Collateral from Securities Loaned (0.03%)           
State Street Navigator Securities Lending Government Money Market Portfolio, 5.33%               
(Cost $23,850)        23,850    23,850 
TOTAL SHORT TERM INVESTMENTS
(Cost $64,896)             64,896 
                
TOTAL INVESTMENTS (99.93%)
(Cost $67,982,405)            $75,417,475 
OTHER ASSETS IN EXCESS OF LIABILITIES (0.07%)    51,787 
NET ASSETS - 100.00%            $75,469,262 

 

(a) Non-income producing security.
(b) Security, or a portion of the security position is currently on loan. The total market value of securities on loan is $1,589,072.

 

See Notes to Quarterly Schedule of Investments.

 

 

RiverFront Strategic Income Fund
Schedule of Investments
 
As of February 29, 2024 (Unaudited)
 
Security Description  Principal Amount   Value 
CORPORATE BONDS (73.35%)          
Communications  (5.66%)          
CCO Holdings LLC / CCO Holdings Capital Corp.          
5.50%, 05/01/2026(a)  $420,000   $413,017 
Charter Communications Operating LLC / Charter Communications Operating Capital          
6.15%, 11/10/2026   1,141,000    1,150,953 
Netflix, Inc.          
4.38%, 11/15/2026   787,000    774,231 
Sirius XM Radio, Inc.          
5.00%, 08/01/2027(a)   910,000    867,899 
T-Mobile USA, Inc.          
4.75%, 02/01/2028   1,380,000    1,357,640 
Warnermedia Holdings, Inc.          
6.41%, 03/15/2026   449,000    448,642 
WMG Acquisition Corp.          
3.75%, 12/01/2029(a)   787,000    697,846 
Total Communications        5,710,228 
           
Consumer Discretionary  (11.87%)          
Air Canada          
3.88%, 08/15/2026(a)   838,000    794,590 
Ford Motor Credit Co. LLC          
6.95%, 03/06/2026   962,000    979,400 
General Motors Financial Co., Inc.          
5.40%, 04/06/2026   900,000    900,521 
Goodyear Tire & Rubber Co.          
5.00%, 05/31/2026   1,010,000    984,568 
Hilton Domestic Operating Co., Inc.          
5.75%, 05/01/2028(a)   1,141,000    1,138,831 
Hyatt Hotels Corp.          
5.75%, 01/30/2027   925,000    936,861 
International Game Technology PLC          
6.50%, 02/15/2025(a)   226,000    226,484 
Lennar Corp.          
4.75%, 11/29/2027   930,000    915,226 
Marriott International, Inc.          
4.90%, 04/15/2029   900,000    889,603 
Newell Brands, Inc.          
6.38%, 09/15/2027   1,141,000    1,108,898 
Nissan Motor Co., Ltd.          
3.52%, 09/17/2025(a)   930,000    894,640 
PulteGroup, Inc.          
5.50%, 03/01/2026   1,232,000    1,234,779 
Volkswagen Group of America Finance LLC          
6.45%, 11/16/2030(a)   915,000    966,589 
Total Consumer Discretionary        11,970,990 
Security Description  Principal Amount   Value 
Consumer Staples  (1.71%)          
Anheuser-Busch InBev Worldwide, Inc.          
4.75%, 01/23/2029  $838,000   $831,052 
JBS USA LUX SA / JBS USA Food Co. / JBS USA Finance, Inc.          
5.13%, 02/01/2028   910,000    892,270 
Total Consumer Staples        1,723,322 
           
Energy  (5.26%)          
Columbia Pipelines Holding Co. LLC          
6.04%, 08/15/2028(a)   962,000    979,820 
DCP Midstream Operating LP          
5.38%, 07/15/2025   791,000    790,116 
Kinetik Holdings LP          
6.63%, 12/15/2028(a)   974,000    986,690 
Reliance Industries, Ltd.          
4.13%, 01/28/2025(a)   768,000    756,266 
Schlumberger Holdings Corp.          
3.90%, 05/17/2028(a)   838,000    803,747 
Sunoco LP / Sunoco Finance Corp.          
7.00%, 09/15/2028(a)   962,000    986,261 
Total Energy        5,302,900 
           
Financials  (23.00%)          
Aircastle, Ltd.          
6.50%, 07/18/2028(a)   981,000    991,072 
American Express Co.          
5.85%, 11/05/2027   1,024,000    1,051,213 
Ares Capital Corp.          
7.00%, 01/15/2027   910,000    927,763 
Avolon Holdings Funding, Ltd.          
6.38%, 05/04/2028(a)   994,000    1,008,517 
Banco Santander SA          
5.15%, 08/18/2025   910,000    903,315 
Bank of America Corp.          
4.25%, 10/22/2026   1,266,000    1,238,589 
Blackstone Secured Lending Fund          
3.63%, 01/15/2026   922,000    878,887 
Blue Owl Credit Income Corp.          
7.75%, 01/15/2029(a)   910,000    929,343 
Capital One Financial Corp.          
4.20%, 10/29/2025   838,000    819,302 
Citigroup, Inc.          
4.45%, 09/29/2027   1,266,000    1,226,503 
EPR Properties          
4.75%, 12/15/2026   791,000    760,033 
FS KKR Capital Corp.          
3.40%, 01/15/2026   930,000    879,785 
Goldman Sachs Group, Inc.          
4.25%, 10/21/2025   1,266,000    1,243,828 
HAT Holdings I LLC / HAT Holdings II LLC          
3.38%, 06/15/2026(a)   859,000    804,462 
Icahn Enterprises LP / Icahn Enterprises Finance Corp.          
4.75%, 09/15/2024   989,000    983,694 

 

 

Security Description  Principal Amount   Value 
Financials (continued)          
Iron Mountain, Inc.          
4.88%, 09/15/2027(a)  $884,000   $848,717 
JPMorgan Chase & Co.          
4.25%, 10/01/2027   1,266,000    1,239,362 
KeyBank NA/Cleveland OH          
5.85%, 11/15/2027   977,000    963,964 
Omega Healthcare Investors, Inc.          
5.25%, 01/15/2026   513,000    508,663 
Penske Truck Leasing Co. Lp / PTL Finance Corp.          
6.05%, 08/01/2028(a)   981,000    1,005,067 
Royal Bank of Canada          
6.00%, 11/01/2027   1,024,000    1,054,297 
SBA Communications Corp.          
3.88%, 02/15/2027   1,174,000    1,108,866 
Starwood Property Trust, Inc.          
4.75%, 03/15/2025   787,000    777,292 
VICI Properties LP / VICI Note Co., Inc.          
4.25%, 12/01/2026(a)   1,099,000    1,052,530 
Total Financials        23,205,064 
           
Health Care  (2.13%)          
DaVita, Inc.          
4.63%, 06/01/2030(a)   884,000    778,528 
GE HealthCare Technologies, Inc.          
5.60%, 11/15/2025   977,000    980,537 
HCA, Inc.          
5.38%, 02/01/2025   396,000    394,674 
Total Health Care        2,153,739 
           
Industrials  (6.58%)          
Boeing Co.          
4.88%, 05/01/2025   930,000    921,729 
L3Harris Technologies, Inc.          
5.40%, 07/31/2033   1,222,000    1,222,835 
MasTec, Inc.          
4.50%, 08/15/2028(a)   854,000    800,972 
Sensata Technologies BV          
5.00%, 10/01/2025(a)   787,000    780,335 
Stericycle, Inc.          
5.38%, 07/15/2024(a)   792,000    792,099 
TransDigm, Inc.          
6.25%, 03/15/2026(a)   10,000    9,995 
United Rentals North America, Inc.          
6.00%, 12/15/2029(a)   962,000    963,711 
WESCO Distribution, Inc.          
7.13%, 06/15/2025(a)   1,137,000    1,145,134 
Total Industrials        6,636,810 
           
Materials  (8.09%)          
Alcoa Nederland Holding BV          
4.13%, 03/31/2029(a)   1,033,000    947,235 
ArcelorMittal SA          
6.55%, 11/29/2027   977,000    1,017,062 
Security Description  Principal Amount   Value 
Materials (continued)          
Ardagh Packaging Finance PLC / Ardagh Holdings USA, Inc.          
5.25%, 04/30/2025(a)  $1,006,000   $995,636 
Berry Global, Inc.          
4.88%, 07/15/2026(a)   888,000    868,123 
Celanese US Holdings LLC          
6.55%, 11/15/2030   981,000    1,019,945 
Freeport-McMoRan, Inc.          
5.00%, 09/01/2027   441,000    434,084 
Methanex Corp.          
5.13%, 10/15/2027   815,000    783,998 
Novelis Corp.          
3.25%, 11/15/2026(a)   791,000    734,532 
Sasol Financing USA LLC          
4.38%, 09/18/2026   513,000    479,598 
Standard Industries, Inc.          
5.00%, 02/15/2027(a)   910,000    877,204 
Total Materials        8,157,417 
           
Technology  (3.52%)          
CDW LLC / CDW Finance Corp.          
3.57%, 12/01/2031   787,000    683,769 
Concentrix Corp.          
6.60%, 08/02/2028   1,380,000    1,387,088 
Gen Digital, Inc.          
5.00%, 04/15/2025(a)   651,000    645,115 
Microchip Technology, Inc.          
4.25%, 09/01/2025   854,000    838,189 
Total Technology        3,554,161 
           
Utilities  (5.53%)          
American Electric Power Co., Inc.          
5.75%, 11/01/2027   1,024,000    1,045,060 
AmeriGas Partners LP / AmeriGas Finance Corp.          
5.88%, 08/20/2026   859,000    833,238 
Calpine Corp.          
5.25%, 06/01/2026(a)   420,000    414,181 
NextEra Energy Operating Partners LP          
4.25%, 07/15/2024(a)   1,138,000    1,124,623 
NRG Energy, Inc.          
6.63%, 01/15/2027   270,000    270,316 
5.75%, 01/15/2028(b)   910,000    897,684 
Vistra Operations Co. LLC          
7.75%, 10/15/2031(a)   962,000    996,634 
Total Utilities        5,581,736 
           
TOTAL CORPORATE BONDS          
(Cost $76,057,713)        73,996,367 
           
GOVERNMENT BONDS (21.30%)          
U.S. Treasury Note          
2.88%, 06/15/2025   79,000    77,011 
3.25%, 06/30/2029   89,000    84,620 
4.00%, 07/31/2030   1,957,000    1,925,581 

 

 

Security Description  Principal Amount   Value 
United States Treasury Bond          
6.13%, 08/15/2029  $2,295,000   $2,492,137 
3.25%, 05/15/2042   5,756,000    4,839,762 
4.75%, 11/15/2043   4,402,000    4,528,213 
4.00%, 11/15/2052   8,070,000    7,545,135 
TOTAL GOVERNMENT BONDS          
(Cost $23,392,728)        21,492,459 

 

7 Day Yield  Shares   Value 
SHORT TERM INVESTMENTS (3.13%)
Money Market Fund (3.13%)
State Street Institutional Treasury Plus Money Market Fund (Premier Class)   5.28%   3,156,407    3,156,407 
                
TOTAL SHORT TERM INVESTMENTS
(Cost $3,156,407)             3,156,407 
                
TOTAL INVESTMENTS (97.78%)
(Cost $102,606,848)            $98,645,233 
OTHER ASSETS IN EXCESS OF LIABILITIES (2.22%)    2,242,329 
NET ASSETS - 100.00%            $100,887,562 

 

(a) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in the ordinary course of business in transactions exempt from registration, normally to qualified institutional buyers. At period end, the aggregate market value of those securities was $30,026,445, representing 29.76% of net assets.
(b) Represents a security purchased on a when-issued basis.

 

See Notes to Quarterly Schedule of Investments.

 

 

ALPS ETF Trust

Notes to Quarterly Schedules of Investments

February 29, 2024 (Unaudited)

 

1. Portfolio Valuation

 

Shares of the ALPS Active REIT ETF and the Level Four Large Cap Growth Active ETF are listed on the NASDAQ Stock Market LLC (“NASDAQ”). Shares of the ALPS | O’Shares Europe Quality Dividend ETF, the ALPS | O’Shares Global Internet Giants ETF, the ALPS | O’Shares U.S. Quality Dividend ETF and ALPS | O’Shares U.S. Small-Cap Quality Dividend ETF are listed on the Cboe BZX Exchange, Inc. (the “Cboe BZX”). Shares of the Alerian Energy Infrastructure ETF, the Alerian MLP ETF, the ALPS Active Equity Opportunity ETF, the ALPS Clean Energy ETF, the ALPS Disruptive Technologies ETF, the ALPS Emerging Sector Dividend Dogs ETF, the ALPS Equal Sector Weight ETF, the ALPS Global Travel Beneficiaries ETF, the ALPS Intermediate Municipal Bond ETF, the ALPS International Sector Dividend Dogs ETF, the ALPS Medical Breakthroughs ETF, the ALPS REIT Dividend Dogs ETF, the ALPS Sector Dividend Dogs ETF, the ALPS | Smith Core Plus Bond ETF, the Barron’s 400SM ETF, the RiverFront Dynamic Core Income ETF, the RiverFront Dynamic US Dividend Advantage ETF, and the RiverFront Strategic Income Fund (each a “Fund” and along with ALPS Active REIT ETF, Level Four Large Cap Growth Active ETF, ALPS | O’Shares Europe Quality Dividend ETF, ALPS | O’Shares Global Internet Giants ETF, ALPS | O’Shares U.S. Quality Dividend ETF, ALPS | O’Shares U.S. Small-Cap Quality Dividend ETF, collectively, the “Funds”) are listed on the New York Stock Exchange Arca, Inc. (“NYSE”). Each Fund’s Net Asset Value (“NAV”) is determined daily, as of the close of regular trading on the NYSE, normally 4:00 p.m. Eastern time, on each day the NYSE is open for trading. The NAV is computed by dividing the value of all assets of each Fund (including accrued interest and dividends), less all liabilities (including accrued expenses and dividends declared but unpaid), by the total number of shares outstanding.

 

Portfolio securities listed on any exchange other than the NASDAQ are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and ask prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the latest quoted sale price in such market.

 

Each Fund’s investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). Pursuant to Rule 2a-5 under the 1940 Act, the Board designated ALPS Advisors, Inc. (the "Adviser") as the valuation designee ("Valuation Designee") for each Fund to perform the fair value determinations relating to Fund investments. The Adviser may carry out its designated responsibilities as Valuation Designee through various teams and committees. When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Funds may be valued in good faith by the Valuation Designee. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of a Fund’s NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the sale on the applicable exchange or principal market. A variety of factors may be considered in determining the fair value of such securities.

 

The accounting records of each Fund are maintained in U.S. dollars.

 

Certain Funds may directly purchase securities of foreign issuers. Investments in non-U.S. issuers may involve unique risks compared to investing in securities of U.S. issuers, including, among others, greater market volatility than U.S. securities and less complete financial information than for U.S. issuers. In addition, adverse political, economic or social developments could undermine the value of a Fund’s investments or prevent a Fund from realizing the full value of its investments. Financial reporting standards for companies based in foreign markets differ from those in the United States. Finally, the value of the currency of the country in which a Fund has invested could decline relative to the value of the U.S. dollar, which may affect the value of the investment to U.S. investors.

 

 

Because foreign markets may be open on different days than the days during which investors may purchase the shares of each Fund, the value of each Fund’s securities may change on the days when investors are not able to purchase the shares of the Funds. The value of securities denominated in foreign currencies is converted into U.S. dollars using exchange rates determined daily as of the close of regular trading on the NYSE or NASDAQ. Any use of a different rate from the rates used by the Index may adversely affect a Fund’s ability to track their Index.

 

2. Fair Value Measurements

 

Each Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

 

Valuation techniques used to value each Fund’s investments by major category are as follows:

 

Equity securities, including restricted securities, Exchange Traded Funds, Closed-End Funds and Limited Partnerships, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the mean of the most recent quoted bid and ask prices on such day and are generally categorized as Level 2 in the hierarchy. Investments in open-end mutual funds are valued at their closing NAV each business day and are categorized as Level 1 in the hierarchy.

 

Debt securities, including restricted securities, are valued based on evaluated prices received from third party pricing vendors or from brokers who make markets in such securities. For corporate bonds, pricing vendors utilize matrix pricing which considers yield or price of bonds of comparable quality, coupon, maturity and type as well as broker-supplied prices. When independent prices are unavailable or unreliable, debt securities may be valued utilizing pricing methodologies which consider similar factors that would be used by third party pricing vendors. Debt securities are generally categorized as Level 2 in the hierarchy but may be Level 3 depending on the circumstances. Certain Funds may invest a significant portion of its assets in below investment grade securities. The value of these securities can be more volatile due to changes in the credit quality of the issuer and is sensitive to changes in economic, market and regulatory conditions.

 

Treasury Bills and Treasury Notes are typically valued at the mean between the evaluated bid and ask prices formulated by an independent pricing service and are categorized as Level 2 in the hierarchy, due to their active trading, short-term maturity and liquidity.

 

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

 

Various inputs are used in determining the value of each Fund’s investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

 

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1 –   Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;
Level 2   Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and
Level 3   Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

 

 

The following is a summary of the inputs used to value each Fund’s investments at February 29, 2024:

 

Alerian Energy Infrastructure ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Canadian Energy Infrastructure Companies*  $33,119,906   $         –   $         –   $33,119,906 
Exchange Traded Fund   1,472,994            1,472,994 
U.S. Energy Infrastructure Companies*   40,020,119            40,020,119 
U.S. Energy Infrastructure MLPs*   35,344,596            35,344,596 
U.S. General Partners*   21,838,434            21,838,434 
Short Term Investments   769,612            769,612 
Total  $132,565,661   $   $   $132,565,661 

 

Alerian MLP ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Master Limited Partnerships*  $8,303,330,211   $         –   $         –   $8,303,330,211 
Short Term Investments   4,493,577            4,493,577 
Total  $8,307,823,788   $   $   $8,307,823,788 

 

ALPS Active Equity Opportunity ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $22,220,600   $         –   $         –   $22,220,600 
Short Term Investments   1,215,384            1,215,384 
Total  $23,435,984   $   $   $23,435,984 

 

ALPS Active REIT ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $22,992,042   $         –   $         –   $22,992,042 
Short Term Investments   416,281            416,281 
Total  $23,408,323   $   $   $23,408,323 

 

ALPS Clean Energy ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $212,940,869   $         –   $         –   $212,940,869 
Master Limited Partnerships*   19,171,234            19,171,234 
Short Term Investments   26,259,999            26,259,999 
Total  $258,372,102   $   $   $258,372,102 

 

ALPS Disruptive Technologies ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $103,178,487   $         –   $         –   $103,178,487 
Master Limited Partnerships*   873,937            873,937 
Short Term Investments   136,443            136,443 
Total  $104,188,867   $   $   $104,188,867 

 

ALPS Emerging Sector Dividend Dogs ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*                    
Russia  $   $         –   $1,233   $1,233 
Other*   25,881,347            25,881,347 
Short Term Investments   543,851            543,851 
Total  $26,425,198   $   $1,233   $26,426,431 

 

 

ALPS Equal Sector Weight ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Exchange Traded Funds*  $321,877,350   $         –   $         –   $321,877,350 
Short Term Investments   49,069,993            49,069,993 
Total  $370,947,343   $   $   $370,947,343 

 

ALPS Global Travel Beneficiaries ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $6,953,416   $         –   $         –   $6,953,416 
Short Term Investments   21,716            21,716 
Total  $6,975,132   $   $   $6,975,132 

 

ALPS Intermediate Municipal Bond ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Government Bonds*  $   $1,793,428   $         –   $1,793,428 
Municipal Bonds*       30,194,128        30,194,128 
Short Term Investments   54,049            54,049 
Total  $54,049   $31,987,556   $   $32,041,605 

 

ALPS International Sector Dividend Dogs ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $260,040,867   $         –   $         –   $260,040,867 
Short Term Investments   6,152,301            6,152,301 
Total  $266,193,168   $   $   $266,193,168 

 

ALPS Medical Breakthroughs ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $119,049,360   $         –   $         –   $119,049,360 
Short Term Investments   4,439,164            4,439,164 
Total  $123,488,524   $   $   $123,488,524 

 

ALPS | O'Shares Europe Quality Dividend ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $36,481,082   $         –   $         –   $36,481,082 
Short Term Investments   94,605            94,605 
Total  $36,575,687   $   $   $36,575,687 

 

ALPS | O'Shares Global Internet Giants ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $147,505,948   $         –   $         –   $147,505,948 
Total  $147,505,948   $   $   $147,505,948 

 

ALPS | O'Shares U.S. Quality Dividend ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $738,731,970   $         –   $         –   $738,731,970 
Short Term Investments   71,074            71,074 
Total  $738,803,044   $   $   $738,803,044 

 

ALPS | O'Shares U.S. Small-Cap Quality Dividend ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $529,345,073   $         –   $         –   $529,345,073 
Short Term Investments   249,493            249,493 
Total  $529,594,566   $   $   $529,594,566 

 

 

ALPS REIT Dividend Dogs ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $11,570,282   $         –   $         –   $11,570,282 
Short Term Investments   35,706            35,706 
Total  $11,605,988   $   $   $11,605,988 

 

ALPS Sector Dividend Dogs ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $1,119,048,493   $         –   $         –   $1,119,048,493 
Short Term Investments   345,648            345,648 
Total  $1,119,394,141   $   $   $1,119,394,141 

 

ALPS | Smith Core Plus Bond ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Bank Loan*  $   $6,969,510   $         –   $6,969,510 
Collateralized Mortgage Obligations*       17,046,503        17,046,503 
Commercial Mortgage-Backed Securities*       407,393        407,393 
Mortgage-Backed Securities*       23,263,065        23,263,065 
Corporate Bonds*   57,058    202,471,783        202,528,841 
Government Bonds*       239,377,747        239,377,747 
Preferred Stock*   1,089,390    6,370,632        7,460,022 
Short Term Investments   29,704,499            29,704,499 
Total  $30,850,947   $495,906,633   $   $526,757,580 

 

Barron's 400 ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $135,177,791   $         –   $         –   $135,177,791 
Limited Partnerships*   2,915,349            2,915,349 
Short Term Investments   977,383            977,383 
Total  $139,070,523   $   $   $139,070,523 

 

Level Four Large Cap Growth Active ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $73,713,588   $         –   $         –   $73,713,588 
Short Term Investments   5,838,718            5,838,718 
Total  $79,552,306   $   $   $79,552,306 

 

RiverFront Dynamic Core Income ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Corporate Bonds*  $   $19,718,732   $         –   $19,718,732 
Government Bonds*       5,324,716        5,324,716 
Short Term Investments   713,656            713,656 
Total  $713,656   $25,043,448   $   $25,757,104 

 

RiverFront Dynamic US Dividend Advantage ETF
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Common Stocks*  $75,352,579   $         –   $         –   $75,352,579 
Short Term Investments   64,896            64,896 
Total  $75,417,475   $   $   $75,417,475 

 

RiverFront Strategic Income Fund
Investments in Securities at Value  Level 1 - Quoted and Unadjusted Prices   Level 2 - Other Significant Observable Inputs   Level 3 - Significant Unobservable Inputs   Total 
Corporate Bonds*  $   $73,996,367   $         –   $73,996,367 
Government Bonds*       21,492,459        21,492,459 
Short Term Investments   3,156,407            3,156,407 
Total  $3,156,407   $95,488,826   $   $98,645,233 

 

*For a detailed sector, state or country breakdown, see the accompanying Schedule of Investments.

 

 

The Funds, except for the ALPS Emerging Sector Dividend Dogs ETF, did not have any securities that used significant unobservable inputs (Level 3) in determining fair value and there were no transfers into or out of Level 3 during the three months ended February 29, 2024.  As of February 29, 2024, the ALPS Emerging Sector Dividend Dogs ETF held securities classified as Level 3 in the fair value hierarchy valued at $1,233, which represents 0.01% of net assets.

 

3. Lending of Portfolio Securities

 

Alerian Energy Infrastructure ETF, ALPS Active Equity Opportunity ETF, ALPS Active REIT ETF, ALPS Clean Energy ETF, ALPS Disruptive Technologies ETF, ALPS Emerging Sector Dividend Dogs ETF, ALPS Equal Sector Weight ETF, ALPS Global Travel Beneficiaries ETF, ALPS International Sector Dividend Dogs ETF, ALPS Medical Breakthroughs ETF, ALPS | O’Shares Europe Quality Dividend ETF, ALPS | O’Shares Global Internet Giants ETF, ALPS | O’Shares U.S. Quality Dividend ETF, ALPS | O’Shares U.S. Small-Cap Quality Dividend ETF, ALPS REIT Dividend Dogs ETF, ALPS Sector Dividend Dogs ETF, Barron’s 400SM ETF, Level Four Large Cap Growth Active ETF, and RiverFront Dynamic US Dividend Advantage ETF have entered into a securities lending agreement with State Street Bank & Trust Co. (“SSB”), the Funds’ lending agent. The Funds may lend their portfolio securities only to borrowers that are approved by SSB. Each Fund will limit such lending to not more than 33 1/3% of the value of its total assets. Each Fund’s securities held as SSB as custodian shall be available to be lent except those securities the Fund or ALPS Advisors Inc. specifically identifies in writing as not being available for lending. The borrower pledges and maintains with each Fund collateral consisting of cash (U.S. Dollars only), securities issued or guaranteed by the U.S. government or its agencies or instrumentalities, and cash equivalents (including irrevocable bank letters of credit issued by a person other than the borrower or an affiliate of the borrower). The initial collateral received by each Fund is required to have a value of no less than 102% of the market value of the loaned securities for U.S equity securities and a value of no less than 105% of the market value for non-U.S. equity securities. The collateral is maintained thereafter, at a market value equal to not less than 102% of the current value of the U.S. equity securities on loan and not less than 105% of the current value of the non-U.S. equity securities on loan. The market value of the loaned securities is determined at the close of each business day and any additional required collateral is delivered to each Fund on the next business day. During the term of the loan, each Fund is entitled to all distributions made on or in respect of the loaned securities. Loans of securities are terminable at any time and the borrower, after notice, is required to return borrowed securities within the customary time period for settlement of securities transactions.

 

Any cash collateral received is reinvested in a money market fund managed by SSB as disclosed in each Fund’s Schedule of Investments. Non-cash collateral, in the form of securities issued or guaranteed by the U.S. government or its agencies or instrumentalities, is not disclosed in a Fund’s Schedule of Investments as it is held by the lending agent on behalf of each Fund, and each Fund does not have the ability to re-hypothecate these securities.

 

The following is a summary of each Fund’s securities lending agreements and related cash and non-cash collateral received as of February 29, 2024:

 

Fund  Market Value of Securities on Loan   Cash Collateral Received   Non-Cash
Collateral Received
   Total Collateral Received 
Alerian Energy Infrastructure ETF  $867,541   $743,483   $207,189   $950,672 
ALPS Active Equity Opportunity ETF   820,596    433,339    407,630    840,969 
ALPS Clean Energy ETF   64,277,094    25,865,942    41,336,526    67,202,468 
ALPS Disruptive Technologies ETF   1,654,790    136,443    1,577,709    1,714,152 
ALPS Emerging Sector Dividend Dogs ETF   903,895    484,443    469,838    954,281 
ALPS Equal Sector Weight ETF   50,907,408    49,062,752    2,891,903    51,954,655 
ALPS Global Travel Beneficiaries ETF   43,225    12,548    32,484    45,032 
ALPS International Sector Dividend Dogs ETF   13,227,181    6,008,182    7,854,237    13,862,419 
ALPS Medical Breakthroughs ETF   13,945,934    4,352,837    10,287,201    14,640,038 
ALPS REIT Dividend Dogs ETF   260,280    729    259,368    260,097 
Barron's 400 ETF   6,986,841    641,940    6,453,419    7,095,359 
RiverFront Dynamic US Dividend Advantage ETF   1,589,072    23,850    1,602,846    1,626,696 

 

 

The risks of securities lending include the risk that the borrower may not provide additional collateral when required or may not return the securities when due. To mitigate these risks, each Fund benefits from a borrower default indemnity provided by SSB. SSB’s indemnity allows for full replacement of securities lent wherein SSB will purchase the unreturned loaned securities on the open market by applying the proceeds of the collateral, or to the extent such proceeds are insufficient or the collateral is unavailable, SSB will purchase the unreturned loan securities at SSB’s expense. However, the Funds could suffer a loss if the value of the investments purchased with cash collateral falls below the value of the cash collateral received.

 

4. Return of Capital Estimates

 

Distributions received from the Alerian MLP ETF (the “Alerian Fund”) investments in Master Limited Partnerships (“MLPs”) may be comprised of both income and return of capital. Return of capital distributions are not taxable income to the shareholder, but reduce the investor’s tax basis in the investor’s Fund Shares. Such a reduction in tax basis will result in larger taxable gains and/or lower tax losses on a subsequent sale of Fund Shares. Shareholders who periodically receive the payment of dividends or other distributions consisting of a return of capital may be under the impression that they are receiving net profits from the Alerian Fund when, in fact, they are not. Shareholders should not assume that the source of the distributions is from the net profits of the Alerian Fund.

 

5. Master Limited Partnerships

 

MLPs are publicly traded partnerships engaged in, among other things, the transportation, storage and processing of minerals and natural resources and are treated as partnerships for U.S. federal income tax purposes. By confining their operations to these specific activities, their interests, or units, are able to trade on public securities exchanges exactly like the shares of a corporation, without entity level taxation. To qualify as a MLP and to not be taxed as a corporation, a partnership must receive at least 90% of its income from qualifying sources as set forth in Section 7704(d) of the Internal Revenue Code of 1986, as amended (the “Code”). These qualifying sources include, among other things, natural resource-based activities such as the processing, transportation and storage of mineral or natural resources. MLPs generally have two classes of owners; the general partner and limited partners. The general partner of an MLP is typically owned by a major energy company, an investment fund, the direct management of the MLP, or is an entity owned by one or more of such parties. The general partner may be structured as a private or publicly traded corporation or other entity. The general partner typically controls the operations and management of the MLP through an up to 2% equity interest in the MLP plus, in many cases, ownership of common units and subordinated units. Limited partners typically own the remainder of the partnership, through ownership of common units, and have a limited role in the partnership’s operations and management.

 

MLPs are typically structured such that common units and general partner interests have first priority to receive quarterly cash distributions up to an established minimum amount (“minimum quarterly distributions” or “MQD”). Common and general partner interests also accrue arrearages in distributions to the extent the MQD is not paid. Once common and general partner interests have been paid, subordinated units receive distributions of up to the MQD; however, subordinated units do not accrue arrearages. Distributable cash in excess of the MQD is paid to both common and subordinated units and is distributed to both common and subordinated units generally on a pro rata basis. The general partner is also eligible to receive incentive distributions if the general partner operates the business in a manner which results in distributions paid per common unit surpassing specified target levels. As the general partner increases cash distributions to the limited partners, the general partner receives an increasingly higher percentage of the incremental cash distributions.

 

6. Affiliated Companies

 

As defined by the Investment Company Act of 1940, an affiliated person, including an affiliated company, is one in which a Fund owns 5% or more of the outstanding voting securities, or a company which is under common ownership or control with the Fund.

 

For the three months ended February 29, 2024, the Alerian MLP ETF held shares in the following affiliates, as defined by the Investment Company Act of 1940:

 

Security Name  Share Balance as of February 29, 2024   Market Value as of November 30, 2023   Purchases   Purchases In-Kind   Sales   Market Value as of February 29, 2024   Dividends*  

Change in  Appreciation/

(Depreciation)

   Realized Gain/(Loss) 
EnLink Midstream LLC   41,303,566   $587,354,365   $-   $24,469,624   $(43,984,655)  $509,272,969   $-   $(50,742,704)  $(2,396,823)
Genesis Energy LP   18,938,858    241,891,872    -    10,488,335    (14,026,180)   218,175,644    -    (16,759,477)   (593,116)
Global Partners LP   4,480,014    -    177,043,315    6,243,044    (4,955,321)   208,903,053    -    33,656,926    42,576 
Hess Midstream LP, Class A   11,699,639    387,826,559    -    17,893,450    (24,203,211)   398,840,693    -    25,198,705    (476,860)
NuStar Energy LP   19,976,248    387,503,318    -    19,202,368    (24,709,206)   471,838,978    -    98,545,680    (737,442)
Plains All American Pipeline LP   61,428,775    1,094,573,909    -    46,517,685    (156,542,888)   1,008,660,486    -    50,459,816    (6,912,048)
Suburban Propane Partners LP   10,866,759    -    187,875,603    6,443,789    (4,979,936)   226,028,587    -    40,256,028    (47,252)
Sunoco LP   9,602,501    -    538,921,217    17,769,698    (14,445,573)   589,401,511    -    55,118,853    97,501 
USA Compression Partners LP   8,873,729    -    217,427,369    6,861,407    (5,342,548)   221,577,013    -    7,452,593    (214,548)
Western Midstream Partners LP   32,524,425    1,024,380,576    -    45,360,392    (95,593,025)   1,087,942,016                      -    131,456,968    997,670 
                            $4,940,640,950   $-   $374,643,388   $(10,240,342)

 

*100% of the income received was estimated as Return of Capital.