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2033-02-07 Fixed 10.00000000 N N N N N N N/A N/A CURRENCY CONTRACT - USD N/A 693900.00000000 NC 7159.62000000 0.013003854209 N/A DFE CORP N/A N 2 US BANK N/A -693900.00000000 AUD 474479.11000000 USD 2023-10-20 7159.62000000 N N N Bayer AG 549300J4U55H3WP1XT59 BAYNGR 1 3/8 07/06/32 D07112UM1 300000.00000000 PA 264656.11000000 0.480688845224 Long DBT CORP DE Y 2 2032-07-06 Fixed 1.37500000 N N N N N N AI Candelaria (Spain) S.L.U. 213800L5KA2MJ5FKRZ02 AICNRA 7 1/2 12/15/28 001355AA4 40633.47000000 PA USD 37949.78000000 0.068927318264 Long DBT CORP ES Y 2 2028-12-15 Fixed 7.50000000 N N N N N N Jordan (Kingdom Of) 5493000JZ4MYPVMBVN50 JORDAN 7 1/2 01/13/29 41809JAB1 99000.00000000 PA USD 100983.37000000 0.183413787469 Long DBT NUSS JO Y 2 2029-01-13 Fixed 7.50000000 N N N N N N European Investment Bank 5493006YXS1U5GIHE750 EIB 1 1/8 09/15/36 B3821SJS7 200000.00000000 PA 170894.22000000 0.310391266868 Long DBT NUSS N/A N 2 2036-09-15 Fixed 1.12500000 N N N N N N Egypt (Arab Republic of) 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DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 32.1%              
     AUTO LOAN — 6.5%              
 100,756   American Credit Acceptance Receivables Trust Series 2021-2 C(a)      0.9700  07/13/27  $99,722 
 220,000   American Credit Acceptance Receivables Trust Series 2022-1 D(a)     2.4600  03/13/28   207,302 
 230,000   AmeriCredit Automobile Receivables Trust Series 2020-3 C     1.0600  08/18/26   217,629 
 155,000   Avis Budget Rental Car Funding AESOP, LLC Series 2019-3A A(a)     2.3600  03/20/26   147,219 
 611,000   Avis Budget Rental Car Funding AESOP, LLC Series 2023-3A A(a)     5.4400  02/22/28   601,969 
 317,000   CarNow Auto Receivables Trust Series 2023-1A C(a)     7.2400  09/15/26   314,133 
 43,710   Carvana Auto Receivables Trust Series 2019-3A D(a)     3.0400  04/15/25   43,511 
 225,000   Carvana Auto Receivables Trust Series 2021-P3 B     1.4200  08/10/27   193,849 
 78,215   Carvana Auto Receivables Trust Series 2021-N1 C     1.3000  01/10/28   73,113 
 95,297   Carvana Auto Receivables Trust Series 2021-N2 C     1.0700  03/10/28   87,981 
 225,000   CPS Auto Receivables Trust Series 2019-D E(a)     3.8600  10/15/25   221,126 
 31,306   Credito Real USA Auto Receivables Trust Series 2021-1A A(a)     1.3500  02/16/27   30,939 
 529,000   DT Auto Owner Trust Series 2023-1A B(a)     5.1900  10/16/28   522,102 
 195,000   DT Auto Owner Trust Series 2023-3A C(a)     6.4000  05/15/29   195,137 
 310,000   FHF Trust Series 2023-1A A2(a)     6.5700  06/15/28   306,596 
 180,000   Flagship Credit Auto Trust Series 2020-4 C(a)     1.2800  02/16/27   173,914 
 180,000   Foursight Capital Automobile Receivables Trust Series 2022-1 B(a)     2.1500  05/17/27   169,954 
 315,000   Foursight Capital Automobile Receivables Trust Series 2023-1 A3(a)     5.3900  12/15/27   309,953 
 432,000   GLS Auto Receivables Issuer Trust Series 2019-4A D(a)     4.0900  08/17/26   421,098 
 345,000   Hertz Vehicle Financing III, LLC Series 2022-1A C(a)     2.6300  06/25/26   317,442 
 319,227   LAD Auto Receivables Trust Series 2022-1A A(a)     5.2100  06/15/27   315,851 
 129,553   Lendbuzz Securitization Trust Series 2022-1A A(a)     4.2200  05/17/27   125,826 
 255,655   Lobel Financial Corporation Series 1 A(a)     6.9700  07/15/26   254,346 
 140,000   OneMain Direct Auto Receivables Trust Series 2021-1A B(a)     1.2600  07/14/28   126,845 
 698,250   Santander Drive Auto Receivables Trust Series 2020-2 D     2.2200  09/15/26   686,178 
 242,484   Santander Drive Auto Receivables Trust Series 2021-3 C     0.9500  09/15/27   238,598 
 370,000   Santander Drive Auto Receivables Trust Series 2023-1 B     4.9800  02/15/28   363,522 
 195,000   Santander Drive Auto Receivables Trust Series 2022-5 C     4.7400  10/15/28   190,101 
 422,000   United Auto Credit Securitization Trust Series 2023-1 B(a)     5.9100  07/10/28   418,457 
 146,000   Veros Auto Receivables Trust Series 2022-1 B(a)     4.3900  08/16/27   142,540 
 90,500   Westlake Automobile Receivables Trust Series 2020-3A C(a)     1.2400  11/17/25   89,547 
 345,000   Westlake Automobile Receivables Trust Series 2022-1A B(a)     2.7500  03/15/27   336,320 
 415,000   Westlake Automobile Receivables Trust Series 2023-1A C(a)     5.7400  08/15/28   409,918 
                  8,352,738 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 32.1% (Continued)              
     CLO — 0.3%              
 350,000   GoldentTree Loan Management US CLO 1 Ltd. Series 2021-9A A(a),(b)  TSFR3M + 1.332%  6.6580  01/20/33  $348,339 
                    
     COLLATERALIZED MORTGAGE OBLIGATIONS — 11.5%              
 794,046   AJAX Mortgage Loan Trust Series 2021-A A1(a),(c)     1.0650  09/25/65   678,096 
 98,217   Angel Oak Mortgage Trust Series 2020-R1 A2(a),(c)     1.2470  12/26/24   88,135 
 66,039   Angel Oak Mortgage Trust Series 2021-8 A1(a),(c)     1.8200  11/25/66   55,484 
 120,451   Angel Oak Mortgage Trust Series 2022-5 A1(a),(d)     4.5000  05/25/67   115,664 
 300,000   Arm Master Trust, LLC Series 2023-T1 A(a)     6.5620  02/17/25   299,201 
 89,945   Arroyo Mortgage Trust Series 2019-1 A1(a),(c)     3.8050  01/25/49   84,563 
 94,583   Arroyo Mortgage Trust Series 2019-2 A1(a),(c)     3.3470  04/25/49   88,201 
 290,561   Bunker Hill Loan Depositary Trust Series 2019-2 A1(a),(d)     2.8790  07/25/49   272,756 
 34,766   Chase Mortgage Finance Corporation Series 2016-SH2 M2(a),(c)     3.7500  02/25/44   31,006 
 45,309   Chase Mortgage Finance Corporation Series 2016-SH1 M2(a),(c)     3.7500  04/25/45   40,651 
 383,436   CIM TRUST Series 2022-R2 A1(a),(c)     3.7500  12/25/61   351,965 
 63,579   COLT Funding, LLC Series 2021-3R A1(a),(c)     1.0510  12/25/64   54,910 
 1,493,665   COLT Mortgage Loan Trust Series 2022-4 A1(a),(c)     4.3010  03/25/67   1,425,785 
 301,210   COLT Mortgage Loan Trust Series 2022-5 A1(a),(c)     4.5500  04/25/67   292,277 
 60,342   CSMC Series 2021-NQM1 A1(a),(c)     0.8090  05/25/65   50,931 
 140,791   CSMC Trust Series 2020-RPL4 A1(a),(c)     2.0000  01/25/60   121,486 
 22,714   CSMC Trust Series 2020-NQM1 A1(a),(d)     1.2080  05/25/65   20,442 
 276,902   Deephaven Residential Mortgage Trust Series 2022-1 A1(a),(c)     2.2050  01/25/67   243,944 
 358,974   Ellington Financial Mortgage Trust Series 2019-2 A3(a),(c)     3.0460  11/25/59   329,981 
 22,133   Flagstar Mortgage Trust Series 2017-1 1A3(a),(c)     3.5000  03/25/47   19,715 
 9,034   Galton Funding Mortgage Trust Series 2018-1 A23(a),(c)     3.5000  11/25/57   8,100 
 25,312   JP Morgan Mortgage Trust Series 2017-5 A1(a),(c)     3.3650  12/15/47   24,921 
 961,314   JP Morgan Mortgage Trust Series 2017-4 A3(a),(c)     3.5000  11/25/48   881,442 
 95,759   LHOME Mortgage Trust Series 2021-RTL1 A1(a),(c)     2.0900  09/25/26   94,789 
 100,000   METLIFE S.E.CURITIZATION TRUST Series 2017-1A M1(a),(c)     3.4450  04/25/55   85,641 
 33,909   METLIFE S.E.CURITIZATION TRUST Series 2019-1A A1A(a),(c)     3.7500  04/25/58   32,467 
 1,314,482   MFA Trust Series 2022-INV1 A1(a),(d)     3.9070  04/25/66   1,237,925 
 743,913   MFA Trust Series 2022-NQM2 A1(a),(d)     4.0000  05/25/67   702,205 
 199,632   Mill City Mortgage Loan Trust Series 2019-1 M2(a),(c)     3.5000  10/25/69   172,119 
 170,000   New Residential Mortgage Loan Trust Series 2022-RTL1 A1F(a)     4.3360  12/25/26   163,468 
 149,528   New Residential Mortgage Loan Trust Series 2014-3A AFX3(a),(c)     3.7500  11/25/54   137,219 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 32.1% (Continued)              
     COLLATERALIZED MORTGAGE OBLIGATIONS — 11.5% (Continued)              
 151,147   New Residential Mortgage Loan Trust Series 2016-3A B1(a),(c)     4.0000  09/25/56  $139,278 
 37,783   New Residential Mortgage Loan Trust Series 2016-4A A1(a),(c)     3.7500  11/25/56   34,632 
 295,975   New Residential Mortgage Loan Trust Series 2017-2A A3(a),(c)     4.0000  03/25/57   277,395 
 511,494   New Residential Mortgage Loan Trust Series 2018-1A A1A(a),(c)     4.0000  12/25/57   482,744 
 43,968   New Residential Mortgage Loan Trust Series 2021-NQ2R A1(a),(c)     0.9410  09/25/58   39,355 
 215,000   New Residential Mortgage Loan Trust Series 2019-RPL2 M2(a),(c)     3.7500  02/25/59   182,740 
 738,150   New Residential Mortgage Loan Trust Series 2022-NQM2 A1(a),(c)     3.0790  03/27/62   658,117 
 12,417   OBX Trust Series 2019-INV1 A3(a),(c)     4.5000  11/25/48   11,812 
 135,000   Palisades Mortgage Loan Trust Series 2021-RTL1 A1(a),(d)     2.8570  06/25/26   129,993 
 171,252   PRET, LLC Series 2021-RN3 A1(a),(d)     1.8430  09/25/51   156,460 
 30,474   Provident Funding Mortgage Loan Trust Series 2019-1 A2(a),(c)     3.0000  12/25/49   25,958 
 149,241   PRPM, LLC Series 2021-2 A1(a),(c)     2.1150  03/25/26   141,757 
 655,000   RCKT Mortgage Trust Series 2023-CES1 A1A(a),(c)     6.5150  06/25/43   654,897 
 56,579   RCKT Mortgage Trust Series 2020-1 A1(a),(c)     3.0000  02/25/50   48,072 
 51,387   Residential Mortgage Loan Trust Series 2020-1 A1(a),(c)     2.3760  02/25/24   48,856 
 6,090   Residential Mortgage Loan Trust Series 2019-2 A1(a),(c)     2.9130  05/25/59   6,010 
 159,287   SG Residential Mortgage Trust Series 2021-1 A3(a),(c)     1.5600  07/25/61   123,352 
 67,045   Starwood Mortgage Residential Trust Series 2020-1 A1(a),(c)     2.2750  02/25/50   62,319 
 21,820   Starwood Mortgage Residential Trust Series 2020-3 A1(a),(c)     1.4860  04/25/65   20,243 
 725,000   Towd Point Mortgage Trust Series 2017-1 A2(a),(c)     3.5000  10/25/56   698,530 
 265,000   Towd Point Mortgage Trust Series 2019-HY2 M1(a),(b)  TSFR1M + 1.714%  7.0120  05/25/58   260,713 
 365,000   Towd Point Mortgage Trust Series 2021-1 A2(a),(c)     2.7500  11/25/61   290,034 
 118,820   Verus Securitization Trust Series 2019-INV2 A1(a),(c)     3.8000  07/25/59   115,177 
 100,000   Verus Securitization Trust Series 2019-4 M1(a),(c)     3.2070  11/25/59   88,671 
 21,927   Verus Securitization Trust Series 2020-1 A1(a),(d)     2.4170  01/25/60   21,215 
 43,238   Verus Securitization Trust Series 2021-2 A1(a),(c)     1.0310  02/25/66   36,473 
 1,711,849   Verus Securitization Trust Series 2023-1 A1(a),(d)     5.8500  12/25/67   1,693,549 
 160,618   Wells Fargo Mortgage Backed Securities Series 2020-4 A1(a),(c)     3.0000  07/25/50   136,464 
                  14,790,305 
     CREDIT CARD — 0.6%              
 400,000   Discover Card Execution Note Trust Series A2 A     4.9300  06/15/28   399,003 
 316,000   Mercury Financial Credit Card Master Trust Series 2023-1A A(a)     8.0400  09/20/27   319,385 
                  718,388 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 32.1% (Continued)              
     NON AGENCY CMBS — 3.2%              
 123,514   Angel Oak SB Commercial Mortgage Trust Series 2020-SBC1 A1(a),(c)     2.0680  05/25/50  $112,305 
 280,000   BBCMS 2018-TALL Mortgage Trust(a),(b)  TSFR1M + 0.919%  6.1410  03/15/37   255,677 
 310,000   Benchmark Mortgage Trust Series 2023-B38 A2     5.6260  04/15/56   304,222 
 90,000   BPR Trust Series 2021-KEN A(a),(b)  TSFR1M + 1.364%  6.5860  02/15/29   88,597 
 510,000   BPR Trust Series 2022-OANA A(a),(b)  TSFR1M + 1.898%  7.1200  04/15/37   499,683 
 445,000   BX Trust Series 2019-OC11 B(a)     3.6050  12/09/41   384,574 
 410,000   BX Trust Series 2019-OC11 D(a),(c)     4.0750  12/09/41   343,385 
 150,000   COMM Mortgage Trust Series 2020-CBM B(a)     3.0990  02/10/37   139,628 
 548,635   CSMC Series 2019-ICE4 A(a),(b)  TSFR1M + 1.027%  6.2490  05/15/36   547,216 
 201,773   Extended Stay America Trust Series 2021-ESH C(a),(b)  TSFR1M + 1.814%  7.0360  07/15/38   197,671 
 305,000   GCT Commercial Mortgage Trust Series 2021-GCT A(a),(b)  TSFR1M + 0.914%  6.1360  02/15/38   253,139 
 185,000   Hilton USA Trust Series 2016-SFP B(a)     3.3230  11/05/35   163,927 
 382,500   KKR Industrial Portfolio Trust Series 2021-KDIP C(a),(b)  TSFR1M + 1.114%  6.3360  12/15/37   372,656 
 325,000   MIRA Trust Series 2023-Mile A(a)     6.7550  06/06/28   323,939 
 62,000   WFRBS Commercial Mortgage Trust Series 2014-C24 AS     3.9310  11/15/47   59,105 
                  4,045,724 
     OTHER ABS — 8.4%              
 102,070   ACHV A.B.S TRUST Series 2023-1PL A(a)     6.4200  03/18/30   102,065 
 1,556,728   American Homes 4 Rent Series 2015-SFR1 A(a)     3.4670  04/17/52   1,493,758 
 230,000   American Homes 4 Rent Trust Series 2014-SFR2 C(a)     4.7050  10/17/36   225,002 
 220,000   American Homes 4 Rent Trust Series 2015-SFR2 C(a)     4.6910  10/17/45   214,291 
 175,000   AMSR Trust Series 2020-SFR1 B(a)     2.1200  04/17/37   162,667 
 250,000   AMSR Trust Series 2020-SFR2 C(a)     2.5330  07/17/37   231,427 
 100,000   AMSR Trust Series 2020-SFR2 D(a)     3.2820  07/17/37   93,408 
 390,000   Amur Equipment Finance Receivables XII, LLC Series 1A A2(a)     6.0900  12/20/29   389,866 
 279,442   Aqua Finance Trust Series 2017-A A(a)     3.7200  11/15/35   276,368 
 61,077   Aqua Finance Trust Series 2019-A A(a)     3.1400  07/16/40   57,113 
 236,423   Aqua Finance Trust Series 2019-A C(a)     4.0100  07/16/40   208,617 
 270,000   Aqua Finance Trust Series 2020-AA B(a)     2.7900  07/17/46   235,250 
 176,200   BHG Securitization Trust Series 2021-1A A(a)     1.4200  11/17/33   164,745 
 220,000   CCG Receivables Trust Series 2021-1 C(a)     0.8400  06/14/27   207,291 
 103,437   CF Hippolyta, LLC Series 2020-1 A1(a)     1.6900  07/15/60   93,253 
 318,825   CLI Funding VI, LLC Series 2020-1A A(a)     2.0800  09/18/45   277,784 
 54,146   Corevest American Finance Trust Series 2020-1 A1(a)     1.8320  03/15/50   51,367 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 32.1% (Continued)              
     OTHER ABS — 8.4% (Continued)              
 100,000   Corevest American Finance Trust Series 2019-3 C(a)     3.2650  10/15/52  $84,998 
 174,829   Corevest American Finance Trust Series 2020-4 A(a)     1.1740  12/15/52   158,075 
 240,000   Dext A.B.S, LLC Series 2020-1 B(a)     1.9200  11/15/27   236,750 
 429,000   Dext A.B.S, LLC Series 2023-1 A2(a)     5.9900  03/15/32   423,349 
 285,000   FirstKey Homes Trust Series 2021-SFR1 D(a)     2.1890  08/17/28   246,902 
 375,000   FirstKey Homes Trust Series 2020-SFR2 B(a)     1.5670  10/19/37   339,130 
 174,110   Foundation Finance Trust Series 2019-1A A(a)     3.8600  11/15/34   171,329 
 79,497   HIN Timeshare Trust Series 2020-A C(a)     3.4200  10/09/39   72,843 
 129,025   Jersey Mike’s Funding Series 2019-1A A2(a)     4.4330  02/15/50   119,001 
 1,080,000   Kubota Credit Owner Trust Series 2023-1A A2(a)     5.4000  02/17/26   1,075,761 
 53,052   MVW, LLC Series 2020-1A A(a)     1.7400  10/20/37   48,701 
 350,869   MVW, LLC Series 2023-1A B(a)     5.4200  10/20/40   343,146 
 3,024   Octane Receivables Trust Series 2020-1A A(a)     1.7100  02/20/25   3,017 
 265,000   Octane Receivables Trust Series 2023-1A C(a)     6.3700  09/20/29   260,859 
 52,796   Oportun Funding, LLC Series 2022-1 A(a)     3.2500  06/15/29   52,144 
 34,686   Orange Lake Timeshare Trust Series 2019-A B(a)     3.3600  04/09/38   33,140 
 265,000   Progress Residential Series 2021-SFR3 D(a)     2.2880  05/17/26   233,838 
 201,000   Progress Residential Series 2021-SFR1 C(a)     1.5550  04/17/38   176,838 
 577,415   Progress Residential Trust Series 2020-SFR1 A(a)     1.7320  04/17/37   537,261 
 550,000   Progress Residential Trust Series 2020-SFR2 E(a)     5.1150  06/17/37   530,691 
 130,801   Purchasing Power Funding, LLC Series 2021-A A(a)     1.5700  10/15/25   129,374 
 265,000   Regional Management Issuance Trust Series 2021-1 A(a)     1.6800  03/17/31   248,240 
 42,581   Sierra Timeshare Receivables Funding, LLC Series 2020-2A B(a)     2.3200  07/20/37   39,887 
 320,000   Sierra Timeshare Receivables Funding, LLC Series 2023-2A B(a)     6.2800  04/20/40   323,984 
 84,600   Taco Bell Funding, LLC Series 2016-1A A23(a)     4.9700  05/25/46   81,657 
 200,000   Tricon American Homes Trust Series 2020-SFR2 D(a)     2.2810  11/17/27   170,505 
 165,000   Tricon American Homes Trust Series 2019-SFR1 C(a)     3.1490  03/17/38   152,581 
 160,000   Tricon Residential Trust Series 2021-SFR1 B(a)     2.2440  07/17/38   143,029 
                  10,921,302 
     RESIDENTIAL MORTGAGE — 1.6%              
 79,302   Ajax Mortgage Loan Trust Series 2019-D A1(a),(d)     2.9560  09/25/65   73,207 
 126,151   Pretium Mortgage Credit Partners, LLC Series 2021-NPL1 A1(a),(d)     2.2390  09/27/60   119,708 
 135,000   Towd Point Mortgage Trust Series 2016-4 B1(a),(c)     3.9620  07/25/56   123,908 
 115,000   Towd Point Mortgage Trust Series 2017-1 M1(a),(c)     3.7500  10/25/56   108,109 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 32.1% (Continued)              
     RESIDENTIAL MORTGAGE — 1.6% (Continued)              
 460,000   Towd Point Mortgage Trust Series 2017-4 A2(a),(c)     3.0000  06/25/57  $408,569 
 160,000   Towd Point Mortgage Trust Series 2017-6 A2(a),(c)     3.0000  10/25/57   144,430 
 140,000   Towd Point Mortgage Trust Series 2018-6 A1B(a),(c)     3.7500  03/25/58   128,720 
 300,000   Towd Point Mortgage Trust Series 2018-6 A2(a),(c)     3.7500  03/25/58   262,583 
 255,000   Towd Point Mortgage Trust Series 2019-2 A2(a),(c)     3.7500  12/25/58   221,526 
 235,000   Towd Point Mortgage Trust Series 2019-4 A2(a),(c)     3.2500  10/25/59   201,707 
 100,000   Towd Point Mortgage Trust Series 2020-1 M1(a),(c)     3.5000  01/25/60   82,070 
 82,773   VCAT Asset Securitization, LLC Series 2021-NPL3 A1(a),(d)     1.7430  05/25/51   77,208 
 47,323   VCAT, LLC Series 2021-NPL2 A1(a),(d)     2.1150  03/27/51   45,005 
                  1,996,750 
     STUDENT LOANS 0.0%(e)              
 61,054   Commonbond Student Loan Trust Series 2020-1 A(a)     1.6900  10/25/51   54,113 
                    
     TOTAL ASSET BACKED SECURITIES (Cost $42,945,704)            41,227,659 
                    
     CORPORATE BONDS — 33.2%              
     AEROSPACE & DEFENSE — 0.7%              
 200,000   Boeing Company (The)     5.8050  05/01/50   201,127 
 303,000   Boeing Company (The)     5.9300  05/01/60   302,252 
 226,000   Huntington Ingalls Industries, Inc.     2.0430  08/16/28   191,381 
 85,000   TransDigm, Inc.     5.5000  11/15/27   80,719 
                  775,479 
     ASSET MANAGEMENT — 1.2%              
 157,000   Blackstone Private Credit Fund     2.6250  12/15/26   134,781 
 330,000   Blue Owl Finance, LLC(a)     3.1250  06/10/31   252,327 
 305,000   Charles Schwab Corporation (The)(b)  H15T10Y + 3.079%  4.0000  03/01/69   239,282 
 255,000   Citadel, L.P.(a)     4.8750  01/15/27   248,735 
 250,000   Drawbridge Special Opportunities Fund, L.P. /(a)     3.8750  02/15/26   222,870 
 220,000   Icahn Enterprises, L.P. / Icahn Enterprises     5.2500  05/15/27   194,120 
 128,000   OWL Rock Core Income Corporation     4.7000  02/08/27   116,596 
 164,000   United Airlines Class A Pass Through Trust Series 2023-1 Class A     5.8000  07/15/36   167,235 
                  1,575,946 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 33.2% (Continued)              
     AUTOMOTIVE — 0.3%              
 25,000   Clarios Global, L.P. / Clarios US Finance Company(a)     6.7500  05/15/28  $25,132 
 106,000   Ford Motor Company     3.2500  02/12/32   83,859 
 70,000   Ford Motor Company     4.7500  01/15/43   54,835 
 200,000   Ford Motor Credit Company, LLC(f)     6.8000  05/12/28   202,035 
                  365,861 
     BANKING — 5.0%              
 200,000   Banco Mercantil del Norte S.A.(a),(b)  H15T10Y + 5.034%  6.6250  01/24/70   160,500 
 1,200,000   Bank of America Corporation(b)  SOFRRATE + 1.320%  2.6870  04/22/32   993,847 
 390,000   Bank of America Corporation(b),(f)  H15T5Y + 1.200%  2.4820  09/21/36   298,911 
 400,000   Barclays plc(b),(f)  H15T1Y + 3.500%  7.4370  11/02/33   436,085 
 200,000   BBVA Bancomer S.A.(a),(b)  H15T5Y + 2.650%  5.1250  01/18/33   174,150 
 113,000   Citigroup, Inc.(b)  SOFRRATE + 1.280%  6.3830  02/24/28   113,071 
 325,000   Citigroup, Inc.(b)  US0003M + 1.338%  3.9800  03/20/30   301,369 
 460,000   Citigroup, Inc.(b),(f)  SOFRRATE + 2.338%  6.2700  11/17/33   487,341 
 229,000   Citigroup, Inc.(b)  SOFRRATE + 2.661%  6.1740  05/25/34   232,394 
 250,000   Citizens Bank NA     2.2500  04/28/25   231,530 
 250,000   Fifth Third Bancorp(b),(f)  SOFRRATE + 1.660%  4.3370  04/25/33   225,249 
 280,000   Huntington Bancshares, Inc.     2.5500  02/04/30   230,459 
 175,000   JPMorgan Chase & Company(b)  SOFRRATE + 1.180%  6.2760  02/24/28   175,775 
 710,000   JPMorgan Chase & Company  SOFRRATE + 1.065%  1.9530  02/04/32   565,187 
 420,000   JPMorgan Chase & Company(b),(f)  SOFRRATE + 2.580%  5.7170  09/14/33   426,363 
 82,000   JPMorgan Chase & Company Series HH(b)  SOFRRATE + 3.125%  4.6000  08/01/68   77,695 
 200,000   Texas Capital Bancshares, Inc.(b)  H15T5Y + 3.150%  4.0000  05/06/31   160,035 
 285,000   Toronto-Dominion Bank (The)(b)  H15T5Y + 4.075%  8.1250  10/31/82   293,493 
 285,000   Truist Financial Corporation(b)  H15T10Y + 4.349%  5.1000  03/01/69   256,842 
 280,000   Wells Fargo & Company(b)  SOFRRATE + 2.100%  4.8970  07/25/33   268,196 
 330,000   Wells Fargo & Company Series BB(b)  H15T5Y + 3.453%  3.9000  03/15/69   296,942 
                  6,405,434 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 33.2% (Continued)              
     BEVERAGES — 0.4%              
 185,000   Anheuser-Busch Companies, LLC / Anheuser-Busch     4.9000  02/01/46  $175,128 
 270,000   Bacardi Ltd. / Bacardi-Martini BV(a)     5.4000  06/15/33   267,567 
 75,000   Central American Bottling Corp / CBC Bottling(a)     5.2500  04/27/29   69,257 
                  511,952 
     BIOTECH & PHARMA — 1.1%              
 383,000   Amgen, Inc.     5.2500  03/02/33   382,187 
 93,000   Amgen, Inc.(f)     5.6500  03/02/53   93,164 
 40,000   Bausch Health Companies, Inc.(a)     5.7500  08/15/27   25,764 
 200,000   Cheplapharm Arzneimittel GmbH(a)     5.5000  01/15/28   182,426 
 265,000   Mylan N.V.     3.9500  06/15/26   251,530 
 45,000   Par Pharmaceutical, Inc.(a)     7.5000  04/01/27   33,069 
 155,000   Royalty Pharma plc     2.1500  09/02/31   121,177 
 195,000   Royalty Pharma plc     3.3500  09/02/51   124,406 
 120,000   Teva Pharmaceutical Finance Netherlands III BV(f)     3.1500  10/01/26   108,690 
 681   Viatris, Inc.(a)     2.3000  06/22/27   598 
 150,000   Viatris, Inc.     2.3000  06/22/27   131,824 
                  1,454,835 
     CABLE & SATELLITE — 0.2%              
 14,000   CCO Holdings, LLC / CCO Holdings Capital(a),(f)     6.3750  09/01/29   13,398 
 180,000   CCO Holdings, LLC / CCO Holdings Capital(a)     4.7500  03/01/30   156,207 
 45,000   CCO Holdings, LLC / CCO Holdings Capital(a),(f)     4.5000  08/15/30   38,116 
                  207,721 
     CHEMICALS — 0.2%              
 235,000   Bayport Polymers, LLC(a)     5.1400  04/14/32   208,521 
                    
     COMMERCIAL SUPPORT SERVICES 0.0%(e)              
 50,000   Aramark Services, Inc.(a),(f)     6.3750  05/01/25   50,043 
                    
     CONSTRUCTION MATERIALS 0.0%(e)              
 30,000   Knife River Holding Company(a)     7.7500  05/01/31   30,628 
                    
     DIVERSIFIED INDUSTRIALS — 0.2%              
 313,000   General Electric Company(b)  US0003M + 3.330%  8.8820  06/15/69   314,361 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 33.2% (Continued)              
     ELECTRIC UTILITIES — 2.2%              
 355,000   CMS Energy Corporation(b)  H15T5Y + 4.116%  4.7500  06/01/50  $312,871 
 250,000   Electricite de France S.A.(a),(f)     6.9000  05/23/53   263,265 
 235,000   Enel Finance International N.V.(a)     7.5000  10/14/32   262,105 
 540,000   Exelon Corporation     5.6000  03/15/53   539,068 
 188,000   National Rural Utilities Cooperative Finance(b)  US0003M + 2.910%  4.7500  04/30/43   183,041 
 384,000   NRG Energy, Inc.(a)     7.0000  03/15/33   383,709 
 403,000   Puget Energy, Inc.     2.3790  06/15/28   347,534 
 404,000   Southern Company (The)(b)  H15T5Y + 2.915%  3.7500  09/15/51   349,584 
 245,000   Vistra Corporation(a),(b),(f)  H15T5Y + 6.930%  8.0000  04/15/70   234,673 
                  2,875,850 
     ENGINEERING & CONSTRUCTION — 0.3%              
 140,000   Global Infrastructure Solutions, Inc.(a)     7.5000  04/15/32   118,584 
 398,000   Sempra Infrastructure Partners, L.P.(a)     3.2500  01/15/32   322,602 
                  441,186 
     FOOD — 0.2%              
 300,000   Pilgrim’s Pride Corporation     6.2500  07/01/33   298,397 
                    
     GAS & WATER UTILITIES — 0.4%              
 260,000   Brooklyn Union Gas Company (The)(a)     4.8660  08/05/32   242,869 
 255,000   KeySpan Gas East Corporation(a)     5.9940  03/06/33   255,694 
                  498,563 
     HEALTH CARE FACILITIES & SERVICES — 1.5%              
 225,000   AdaptHealth, LLC(a)     5.1250  03/01/30   186,388 
 290,000   Catalent Pharma Solutions, Inc.(a),(f)     3.5000  04/01/30   243,136 
 318,000   CVS Health Corporation(f)     5.8750  06/01/53   322,913 
 185,000   HCA, Inc.(f)     5.5000  06/01/33   183,896 
 345,000   HCA, Inc.     5.2500  06/15/49   310,311 
 200,000   IQVIA, Inc.(a)     5.7000  05/15/28   199,026 
 540,000   Universal Health Services, Inc.     2.6500  01/15/32   424,053 
                  1,869,723 
     HOME & OFFICE PRODUCTS — 0.2%              
 196,000   Newell Brands, Inc.(f)     6.3750  09/15/27   193,305 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 33.2% (Continued)              
     HOME CONSTRUCTION — 0.5%              
 440,000   MDC Holdings, Inc.     3.9660  08/06/61  $265,280 
 395,000   PulteGroup, Inc.     6.3750  05/15/33   414,960 
                  680,240 
     HOUSEHOLD PRODUCTS — 0.3%              
 370,000   Church & Dwight Company, Inc.     5.0000  06/15/52   357,313 
                    
     INDUSTRIAL SUPPORT SERVICES — 0.7%              
 405,000   Ashtead Capital, Inc.(a)     5.5000  08/11/32   391,807 
 440,000   Ferguson Finance plc(a)     4.6500  04/20/32   414,309 
                  806,116 
     INSTITUTIONAL FINANCIAL SERVICES — 2.6%              
 115,000   Bank of New York Mellon Corporation (The)(b)  SOFRINDX + 2.074%  5.8340  10/25/33   119,042 
 265,000   Bank of New York Mellon Corporation (The)(b)  H15T5Y + 4.358%  4.7000  09/20/68   259,377 
 620,000   Brookfield Finance, Inc.     2.7240  04/15/31   513,012 
 550,000   Goldman Sachs Group, Inc. (The)(b)  SOFRRATE + 1.090%  1.9920  01/27/32   433,198 
 310,000   Goldman Sachs Group, Inc. (The)     6.4500  05/01/36   325,481 
 475,000   Morgan Stanley     3.1250  07/27/26   446,450 
 395,000   Morgan Stanley     6.3750  07/24/42   442,734 
 169,000   Northern Trust Corporation(b)  US0003M + 1.131%  3.3750  05/08/32   152,289 
 435,000   State Street Corporation(b)  SOFRRATE + 1.726%  4.1640  08/04/33   401,860 
 216,000   State Street Corporation(b)  SOFRRATE + 1.567%  4.8210  01/26/34   207,762 
                  3,301,205 
     INSURANCE — 1.5%              
 300,000   Allstate Corporation (The)(b)  US0003M + 2.938%  5.7500  08/15/53   298,596 
 185,000   Ascot Group Ltd.(a)     4.2500  12/15/30   141,860 
 391,000   Corebridge Financial, Inc.(b)  H15T5Y + 3.846%  6.8750  12/15/52   381,649 
 118,000   Global Atlantic Fin Company(a)     7.9500  06/15/33   118,254 
 175,000   Liberty Mutual Group, Inc.(a),(b)  H15T5Y + 3.315%  4.1250  12/15/51   140,234 
 168,000   Lincoln National Corporation(b)  US0003M + 2.040%  7.6280  04/20/67   115,080 
 265,000   MetLife, Inc.(b)  H15T5Y + 3.576%  3.8500  03/15/69   248,282 
 126,000   MetLife, Inc.(b),(f)  US0003M + 2.959%  5.8750  09/15/66   123,450 
 104,000   Prudential Financial, Inc.(b),(f)  H15T5Y + 3.162%  5.1250  03/01/52   94,872 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 33.2% (Continued)              
     INSURANCE — 1.5% (Continued)              
 53,000   Prudential Financial, Inc.(b),(f)  H15T5Y + 3.234%  6.0000  09/01/52  $50,927 
 210,000   Prudential Financial, Inc.(b)  H15T5Y + 2.848%  6.7500  03/01/53   212,369 
                  1,925,573 
     LEISURE FACILITIES & SERVICES — 0.3%              
 150,000   Churchill Downs, Inc.(a)     6.7500  05/01/31   146,797 
 145,000   Hilton Domestic Operating Company, Inc.(a)     3.6250  02/15/32   121,810 
 160,000   Station Casinos, LLC(a)     4.5000  02/15/28   144,137 
                  412,744 
     MACHINERY — 0.3%              
 430,000   Regal Rexnord Corporation(a)     6.4000  04/15/33   428,855 
                    
     MEDICAL EQUIPMENT & DEVICES — 1.2%              
 209,000   Bio-Rad Laboratories, Inc.     3.3000  03/15/27   196,008 
 179,000   Bio-Rad Laboratories, Inc.     3.7000  03/15/32   157,262 
 415,000   DENTSPLY SIRONA, Inc.     3.2500  06/01/30   359,461 
 195,000   GE HealthCare Technologies, Inc.     5.8570  03/15/30   200,112 
 468,000   Illumina, Inc.     2.5500  03/23/31   380,840 
 350,000   Zimmer Biomet Holdings, Inc.     3.5500  03/20/30   306,375 
                  1,600,058 
     METALS & MINING — 0.6%              
 115,000   Alliance Resource Operating Partners, L.P. /(a)     7.5000  05/01/25   114,904 
 140,000   FMG Resources August 2006 Pty Ltd.(a)     5.8750  04/15/30   134,426 
 295,000   Glencore Funding, LLC(a)     2.8500  04/27/31   242,807 
 345,000   Teck Resources Ltd.     6.1250  10/01/35   348,346 
                  840,483 
     OIL & GAS PRODUCERS — 2.7%              
 385,000   BP Capital Markets plc(b)  H15T5Y + 4.398%  4.8750  12/22/00   356,058 
 160,000   CITGO Petroleum Corporation(a)     7.0000  06/15/25   158,244 
 130,000   Civitas Resources, Inc.(a)     8.7500  07/01/31   134,713 
 95,000   CrownRock, L.P. / CrownRock Finance, Inc.(a)     5.0000  05/01/29   89,442 
 125,000   DT Midstream, Inc.(a),(f)     4.1250  06/15/29   110,949 
 205,000   Ecopetrol S.A.     8.8750  01/13/33   210,465 
 275,000   Enbridge, Inc.(b)  H15T5Y + 4.418%  7.6250  01/15/83   278,556 
 175,000   Energy Transfer, L.P.(b)  H15T5Y + 5.694%  6.5000  11/15/69   158,932 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 33.2% (Continued)              
     OIL & GAS PRODUCERS — 2.7% (Continued)              
 425,000   Flex Intermediate Holdco, LLC(a)     3.3630  06/30/31  $339,497 
 135,000   Genesis Energy, L.P. / Genesis Energy Finance     8.8750  04/15/30   134,814 
 320,000   Kinder Morgan, Inc.     7.7500  01/15/32   364,442 
 286,000   Lundin Energy Finance BV(a)     2.0000  07/15/26   256,734 
 225,000   Occidental Petroleum Corporation(f)     6.1250  01/01/31   230,456 
 200,000   Pertamina Persero PT(a)     6.4500  05/30/44   210,288 
 185,000   Petroleos Mexicanos     7.6900  01/23/50   128,607 
 250,000   Reliance Industries Ltd.(a)     2.8750  01/12/32   207,698 
 95,000   Venture Global Calcasieu Pass, LLC(a)     3.8750  08/15/29   82,346 
                  3,452,241 
     OIL & GAS SERVICES & EQUIPMENT — 0.1%              
 102,000   Enerflex Ltd.(a)     9.0000  10/15/27   102,751 
 90,000   USA Compression Partners, L.P. / USA Compression     6.8750  04/01/26   89,274 
                  192,025 
     REAL ESTATE INVESTMENT TRUSTS — 1.5%              
 310,000   EPR Properties     4.7500  12/15/26   284,714 
 255,000   GLP Capital, L.P. / GLP Financing II, Inc.     5.7500  06/01/28   249,804 
 108,000   GLP Capital, L.P. / GLP Financing II, Inc.     3.2500  01/15/32   88,389 
 25,000   MPT Operating Partnership, L.P. / MPT Finance(f)     4.6250  08/01/29   19,882 
 125,000   MPT Operating Partnership, L.P. / MPT Finance     3.5000  03/15/31   90,165 
 170,000   Office Properties Income Trust(f)     4.5000  02/01/25   148,963 
 240,000   Phillips Edison Grocery Center Operating     2.6250  11/15/31   179,859 
 105,000   Retail Opportunity Investments Partnership, L.P.     4.0000  12/15/24   100,820 
 225,000   Retail Properties of America, Inc.     4.7500  09/15/30   205,915 
 75,000   Service Properties Trust     4.9500  02/15/27   64,392 
 205,000   VICI Properties, L.P.     4.9500  02/15/30   194,121 
 165,000   VICI Properties, L.P.     5.1250  05/15/32   155,466 
 150,000   VICI Properties, L.P. / VICI Note Company, Inc.(a)     4.1250  08/15/30   133,146 
                  1,915,636 
     REAL ESTATE OWNERS & DEVELOPERS — 0.2%              
 275,000   Ontario Teachers’ Cadillac Fairview Properties(a)     2.5000  10/15/31   216,197 
                    
     RETAIL - DISCRETIONARY — 0.1%              
 175,000   BlueLinx Holdings, Inc.(a)     6.0000  11/15/29   155,916 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 33.2% (Continued)              
     SEMICONDUCTORS — 0.2%              
 271,000   Broadcom, Inc.     4.1500  11/15/30  $249,150 
                    
     SOFTWARE — 0.5%              
 155,000   Concentrix Corporation     6.6500  08/02/26   154,797 
 90,000   Consensus Cloud Solutions, Inc.(a),(f)     6.5000  10/15/28   77,885 
 215,000   Oracle Corporation     6.2500  11/09/32   227,300 
 188,000   Oracle Corporation     5.5500  02/06/53   179,790 
 75,000   Oracle Corporation     3.8500  04/01/60   52,287 
                  692,059 
     SPECIALTY FINANCE — 1.7%              
 355,000   American Express Company(b)  SOFRRATE + 1.930%  5.6250  07/28/34   354,373 
 235,000   Aviation Capital Group, LLC(a)     3.5000  11/01/27   211,198 
 210,000   Avolon Holdings Funding Ltd.(a)     4.3750  05/01/26   197,465 
 472,000   Capital One Financial Corporation(b)  SOFRRATE + 1.337%  2.3590  07/29/32   342,431 
 209,000   Discover Financial Services     6.7000  11/29/32   214,184 
 290,000   First American Financial Corporation     4.0000  05/15/30   253,817 
 120,000   Ladder Capital Finance Holdings LLLP / Ladder(a)     4.2500  02/01/27   108,073 
 235,000   OneMain Finance Corporation     6.8750  03/15/25   234,464 
 150,000   Synchrony Financial     4.8750  06/13/25   145,006 
 67,000   Synchrony Financial     3.7000  08/04/26   61,373 
                  2,122,384 
     STEEL — 0.2%              
 245,000   ArcelorMittal S.A.     6.8000  11/29/32   253,103 
                    
     TECHNOLOGY HARDWARE — 0.5%              
 349,000   CDW, LLC / CDW Finance Corporation     3.5690  12/01/31   295,559 
 304,000   Dell International, LLC / EMC Corporation     8.1000  07/15/36   353,804 
                  649,363 
     TECHNOLOGY SERVICES — 1.4%              
 140,000   Booz Allen Hamilton, Inc.(a)     3.8750  09/01/28   127,251 
 275,000   Booz Allen Hamilton, Inc.(a)     4.0000  07/01/29   248,469 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 33.2% (Continued)              
     TECHNOLOGY SERVICES — 1.4% (Continued)              
 485,000   CoStar Group, Inc.(a)     2.8000  07/15/30  $405,708 
 137,000   Kyndryl Holdings, Inc.     2.7000  10/15/28   112,629 
 545,000   Leidos, Inc.     2.3000  02/15/31   436,235 
 171,000   MSCI, Inc.(a)     3.6250  09/01/30   149,820 
 245,000   Science Applications International Corporation(a)     4.8750  04/01/28   230,578 
                  1,710,690 
     TELECOMMUNICATIONS — 1.2%              
 320,000   AT&T, Inc.(f)     5.4000  02/15/34   315,109 
 160,000   Level 3 Financing, Inc.(a)     4.2500  07/01/28   113,407 
 270,000   Level 3 Financing, Inc.(a)     3.6250  01/15/29   178,408 
 205,000   Sprint Capital Corporation     8.7500  03/15/32   247,508 
 87,500   Sprint Spectrum Company, LLC / Sprint Spectrum(a)     4.7380  03/20/25   86,547 
 254,000   T-Mobile USA, Inc.(f)     5.0500  07/15/33   248,435 
 360,000   Vodafone Group plc(f)     5.6250  02/10/53   349,218 
                  1,538,632 
     TOBACCO & CANNABIS — 0.3%              
 355,000   BAT Capital Corporation     7.7500  10/19/32   394,163 
                    
     TRANSPORTATION & LOGISTICS — 0.5%              
 410,859   Alaska Airlines Class A Pass Through Trust Series 2021-1(a)     4.8000  08/15/27   398,964 
 319,867   Delta Air Lines Class AA Pass Through Trust Series 2015-1     3.6250  07/30/27   301,960 
                  700,924 
     TOTAL CORPORATE BONDS (Cost $44,608,564)            42,672,875 
                    
     MUNICIPAL BONDS — 2.7%              
     CITY — 0.3%              
 340,000   City of Bristol VA     4.2100  01/01/42   294,678 
 145,000   City of San Antonio TX     1.9630  02/01/33   114,687 
                  409,365 
     GOVERNMENT LEASE — 0.1%              
 145,000   Texas Public Finance Authority     2.1400  02/01/35   110,713 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     MUNICIPAL BONDS — 2.7% (Continued)           
     HOSPITALS — 0.1%           
 135,000   Idaho Health Facilities Authority  5.0200  03/01/48  $122,399 
                 
     LOCAL AUTHORITY — 0.6%           
 310,000   San Diego County Regional Airport Authority  5.5940  07/01/43   293,112 
 600,000   State of Texas  3.2110  04/01/44   482,232 
 35,000   Texas Transportation Commission State Highway Fund  4.0000  10/01/33   32,975 
               808,319 
     MISCELLANEOUS TAX — 0.7%           
 765,000   Metropolitan Transportation Authority  5.0000  11/15/45   839,154 
                 
     SALES TAX 0.0%(e)           
 20,000   Sales Tax Securitization Corporation  3.4110  01/01/43   15,455 
                 
     WATER AND SEWER — 0.9%           
 705,000   Broward County FL Water & Sewer Utility Revenue  4.0000  10/01/47   692,672 
 315,000   New York State Environmental Facilities  5.0000  06/15/51   344,167 
 160,000   Santa Clara Valley Water District  2.9670  06/01/50   109,270 
               1,146,109 
     TOTAL MUNICIPAL BONDS (Cost $3,903,449)         3,451,514 
                 
     NON U.S. GOVERNMENT & AGENCIES — 1.5%           
     SOVEREIGN — 1.5%           
 200,000   Brazilian Government International Bond  6.0000  10/20/33   198,624 
 515,000   Dominican Republic International Bond(a)  4.8750  09/23/32   447,926 
 200,000   Emirate of Dubai Government International Bonds  5.2500  01/30/43   189,341 
 250,000   Hungary Government International Bond(a)  6.2500  09/22/32   257,312 
 200,000   Mexico Government International Bond  2.6590  05/24/31   166,828 
 450,000   Mexico Government International Bond  6.3500  02/09/35   473,396 
 200,000   Serbia International Bond(a)  6.5000  09/26/33   200,976 
               1,934,403 
     TOTAL NON U.S. GOVERNMENT & AGENCIES (Cost $1,961,991)         1,934,403 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     TERM LOANS — 6.3%              
     AEROSPACE & DEFENSE — 0.2%              
 195,123   TransDigm, Inc.(b)  TSFR1M + 3.250%  8.4920  08/10/28  $195,534 
                    
     ASSET MANAGEMENT — 0.0%(e)              
 35,000   FinCompany I, LLC(b)  TSFR1M + 3.000%  8.2640  06/27/29   34,965 
                    
     AUTOMOTIVE — 0.2%              
 215,000   Clarios Global, L.P.(b)  TSFR1M + 3.750%  8.8520  04/20/30   215,242 
                    
     BIOTECH & PHARMA 0.0%(e)              
 64,350   Perrigo Investments, LLC(b)  TSFR1M + 2.500%  7.4520  04/07/29   64,109 
                    
     CABLE & SATELLITE — 0.3%              
 226,630   Directv Financing, LLC(b)  TSFR1M + 5.000%  10.2170  07/22/27   225,568 
 205,000   Virgin Media Bristol, LLC(b)  TSFR1M + 2.500%  7.8360  01/04/28   199,965 
                  425,533 
     CHEMICALS — 0.5%              
 229,911   INEOS US Finance, LLC(b)  TSFR1M + 3.750%  8.9520  11/08/27   228,451 
 249,342   Trinseo Materials Operating SCA(b)  TSFR1M + 2.000%  7.5380  09/06/24   244,724 
 165,000   Windsor Holdings III, LLC(b)  TSFR3M + 4.500%  0.0000  06/22/30   164,725 
                  637,900 
     COMMERCIAL SUPPORT SERVICES — 0.5%              
 214,071   AlixPartners LLP(b)  TSFR1M + 2.750%  7.7170  01/28/28   214,031 
 268,794   Brightview Landscapes, LLC(b)  TSFR1M + 3.250%  8.2950  04/22/29   268,010 
 233,886   CHG Healthcare Services, Inc.(b)  US0001M + 3.250%  8.4430  09/30/28   233,712 
                  715,753 
     CONTAINERS & PACKAGING — 0.2%              
 239,776   Berry Global, Inc.(b)  TSFR3M + 1.750%  7.2930  07/01/26   239,879 
                    
     ELECTRIC UTILITIES — 0.2%              
 208,255   Astoria Energy, LLC(b)  TSFR1M + 3.500%  8.6930  12/10/27   207,890 
                    
     ELECTRICAL EQUIPMENT — 0.1%              
 268,685   Brookfield WEC Holdings, Inc.(b)  TSFR1M + 2.750%  7.9430  08/01/25   268,638 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     TERM LOANS — 6.3% (Continued)              
     ENGINEERING & CONSTRUCTION — 0.2%              
 200,000   Pike Corporation(b)  TSFR1M + 3.000%  3.1300  12/21/27  $200,011 
                    
     ENTERTAINMENT CONTENT — 0.2%              
 249,364   Univision Communications, Inc.(b)  US0001M + 3.250%  8.4430  03/24/26   248,494 
                    
     FOOD — 0.5%              
 174,561   Del Monte Foods, Inc.(b)  TSFR1M + 4.250%  9.4390  05/16/29   169,507 
 268,782   Froneri US, Inc.(b)  TSFR1M + 2.250%  7.4520  01/30/27   268,004 
 172,025   Hostess Brands, LLC(b)  TSFR1M + 2.500%  7.7420  06/21/30   172,132 
                  609,643 
     HEALTH CARE FACILITIES & SERVICES — 0.3%              
 114,154   Agiliti Health, Inc.(b)  TSFR1M + 3.000%  8.2470  05/01/30   114,083 
 71,596   Legacy LifePoint Health, LLC(b)  TSFR3M + 3.750%  9.0230  11/16/25   70,768 
 159,184   Milano Acquisition Corporation(b)  TSFR3M + 4.000%  9.3420  08/17/27   156,835 
                  341,686 
     INDUSTRIAL SUPPORT SERVICES — 0.1%              
 68,091   Resideo Funding, Inc.(b)  TSFR1M + 2.250%  7.6000  02/09/28   68,006 
                    
     INSTITUTIONAL FINANCIAL SERVICES — 0.1%              
 91,000   Citadel Securities, L.P.(b)  TSFR1M + 2.500%  7.9060  07/26/30   90,388 
                    
     INTERNET MEDIA & SERVICES — 0.2%              
 253,725   Uber Technologies, Inc.(b)  TSFR1M + 2.750%  7.9990  03/03/30   254,161 
                    
     LEISURE FACILITIES & SERVICES — 0.5%              
 59,850   Caesars Entertainment, Inc.(b)  TSFR1M + 3.250%  8.4520  01/26/30   59,962 
 20,000   Entain Holdings Gibraltar Ltd.(b)  TSFR6M + 3.500%  8.6840  10/31/29   20,020 
 70,000   Hilton Worldwide Finance, LLC(b)  TSFR3M + 1.750%  6.9390  06/21/26   70,032 
 40,000   Ontario Gaming GTA, L.P.(b)  TSFR1M + 4.250%  9.4440  07/20/30   40,050 
 39,600   Scientific Games Corporation(b)  SOFRRATE + 3.000%  8.3020  04/07/29   39,597 
 154,223   Scientific Games Holdings, L.P.(b)  SOFRRATE + 3.500%  8.7680  02/04/29   152,547 
 68,047   Station Casinos, LLC(b)  TSFR1M + 2.250%  7.4500  01/31/27   67,903 
 251,136   UFC Holdings, LLC(b)  TSFR1M + 2.750%  8.0500  04/29/26   251,170 
                  701,281 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     TERM LOANS — 6.3% (Continued)              
     MACHINERY — 0.2%              
 70,718   Alliance Laundry Systems, LLC(b)  TSFR3M + 3.500%  8.9010  09/30/27  $70,700 
 124,683   Filtration Group Corporation(b)  TSFR1M + 3.500%  8.7170  10/19/28   124,622 
 70,703   Standard Industries, Inc.(b)  TSFR1M + 2.500%  7.9060  08/06/28   70,924 
                  266,246 
     MEDICAL EQUIPMENT & DEVICES — 0.2%              
 213,917   Mozart Borrower, L.P.(b)  TSFR1M + 3.250%  8.4670  09/30/28   212,009 
                    
     METALS & MINING — 0.0%(e)              
 35,000   Arsenal AIC Parent, LLC(b)  TSFR1M + 4.500%  9.7460  07/27/30   35,018 
                    
     OIL & GAS PRODUCERS — 0.1%              
 68,756   Freeport LNG Investments LLLP(b)  US0003M + 3.500%  0.3370  11/17/28   68,058 
 97,860   Oryx Midstream Services Permian Basin, LLC(b)  TSFR1M + 3.250%  8.5050  09/30/28   98,062 
                  166,120 
     PUBLISHING & BROADCASTING 0.0%(e)              
 37,394   Nexstar Broadcasting, Inc.(b)  TSFR1M + 2.500%  7.7170  06/20/26   37,438 
                    
     RETAIL - DISCRETIONARY — 0.1%              
 153,823   PetSmart, Inc.(b)  TSFR1M + 3.750%  8.9520  01/29/28   153,960 
                    
     SOFTWARE — 0.5%              
 221,276   Applied Systems, Inc.(b)  TSFR1M + 4.500%  9.7420  09/19/26   222,020 
 133,625   CCC Intelligent Solutions, Inc.(b)  TSFR1M + 2.500%  7.4670  09/17/28   133,541 
 185,000   Central Parent, Inc.(b)  TSFR3M + 4.500%  9.4920  06/09/29   185,298 
 54,725   Open Text Corporation(b)  TSFR1M + 2.750%  8.7020  01/31/30   54,879 
 67,582   Sophia, L.P.(b)  US0003M + 3.250%  9.0380  10/07/27   67,329 
 66,403   UKG, Inc.(b)  TSFR3M + 3.250%  8.6180  05/03/26   66,139 
                  729,206 
     TECHNOLOGY HARDWARE — 0.1%              
 68,475   NCR Corporation(b)  TSFR1M + 2.500%  7.7800  08/08/26   68,440 
                    

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     TERM LOANS — 6.3% (Continued)              
     TECHNOLOGY SERVICES — 0.4%              
 123,225   Blackhawk Network Holdings, Inc.(b)  TSFR3M + 3.000%  8.2640  05/22/25  $122,571 
 64,423   Dun & Bradstreet Corporation (The)(b)  TSFR1M + 2.750%  8.4160  02/08/26   64,433 
 68,703   NAB Holdings, LLC(b)  SOFRRATE + 3.000%  8.3920  11/18/28   68,686 
 245,613   Peraton Corporation(b)  TSFR1M + 3.750%  8.9520  02/24/28   244,135 
                  499,825 
     TELECOMMUNICATIONS — 0.2%              
 203,965   Cincinnati Bell, Inc.(b)  SOFRRATE + 3.250%  8.4520  11/17/28   195,132 
                    
     TRANSPORTATION & LOGISTICS — 0.2%              
 100,565   Brown Group Holding, LLC(b)  TSFR1M + 2.500%  7.7020  04/22/28   99,842 
 56,000   Mileage Plus Holdings, LLC(b)  US0003M + 5.250%  10.7640  06/25/27   58,485 
 59,500   SkyMiles IP Ltd.(b)  TSFR1M + 3.750%  9.0760  09/16/27   61,944 
                  220,271 
     TOTAL TERM LOANS (Cost $8,073,697)            8,102,778 
                    
     U.S. GOVERNMENT & AGENCIES — 21.7%              
     AGENCY FIXED RATE — 3.8%              
 7,605   Fannie Mae Pool 735061     6.0000  11/01/34   7,876 
 9,819   Fannie Mae Pool 866009     6.0000  03/01/36   10,169 
 65,682   Fannie Mae Pool 938574     5.5000  09/01/36   67,114 
 24,330   Fannie Mae Pool 310041     6.5000  05/01/37   25,940 
 11,237   Fannie Mae Pool 962752     5.0000  04/01/38   11,289 
 14,087   Fannie Mae Pool 909175     5.5000  04/01/38   14,405 
 55,040   Fannie Mae Pool 909220     6.0000  08/01/38   56,502 
 45,610   Fannie Mae Pool AS7026     4.0000  04/01/46   43,344 
 79,086   Fannie Mae Pool BJ9260     4.0000  04/01/48   75,050 
 915,008   Fannie Mae Pool FS4438     5.0000  11/01/52   894,989 
 606,722   Fannie Mae Pool MA5072     5.5000  06/01/53   602,951 
 73,063   Freddie Mac Gold Pool G01980     5.0000  12/01/35   73,488 
 10,699   Freddie Mac Gold Pool G05888     5.5000  10/01/39   10,957 
 2,319,931   Freddie Mac Pool SD2026     5.0000  11/01/52   2,268,716 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     U.S. GOVERNMENT & AGENCIES — 21.7% (Continued)           
     AGENCY FIXED RATE — 3.8% (Continued)           
 651,037   Freddie Mac Pool SD3238  5.5000  12/01/52  $647,619 
               4,810,409 
     AGENCY MBS OTHER — 0.5%           
 694,886   Fannie Mae Pool MA4805  4.5000  11/01/52   665,708 
                 
     U.S. TREASURY BONDS — 2.5%           
 1,040,000   United States Treasury Bond  2.8750  05/15/49   834,031 
 1,440,000   United States Treasury Bond  2.0000  02/15/50   956,503 
 2,500,000   United States Treasury Bond  1.3750  08/15/50   1,406,153 
               3,196,687 
     U.S. TREASURY NOTES — 14.9%           
 925,000   United States Treasury Note  3.8750  11/30/27   910,366 
 1,210,000   United States Treasury Note  2.6250  02/15/29   1,117,879 
 485,000   United States Treasury Note  0.8750  11/15/30   390,596 
 715,000   United States Treasury Note  1.6250  05/15/31   603,351 
 540,000   United States Treasury Note  2.8750  05/15/32   495,872 
 1,865,000   United States Treasury Note  4.1250  11/15/32   1,885,398 
 2,045,000   United States Treasury Note  1.8750  02/15/51   1,310,637 
 1,135,000   United States Treasury Note  1.8750  11/15/51   724,937 
 310,000   United States Treasury Note  2.8750  05/15/52   249,150 
 5,925,000   United States Treasury Note  4.0000  11/15/52   5,909,726 
 3,405,000   United States Treasury Note  3.6250  02/15/53   3,170,108 
 2,530,000   United States Treasury Note  3.6250  05/15/53   2,358,830 
               19,126,850 
     TOTAL U.S. GOVERNMENT & AGENCIES (Cost $31,858,526)         27,799,654 
                 
Shares               
     SHORT-TERM INVESTMENTS — 6.9%           
     COLLATERAL FOR SECURITIES LOANED - 4.1%           
 5,186,298   Mount Vernon Liquid Assets Portfolio, LLC, 5.47% (Cost $5,186,298)(g)(h)         5,186,298 
                 
     MONEY MARKET FUNDS - 2.8%           
 3,647,928   Fidelity Government Portfolio, CLASS I, 5.03% (Cost $3,647,928)(g)         3,647,928 
     TOTAL SHORT-TERM INVESTMENTS (Cost $8,834,226)         8,834,226 

 

 

DUNHAM CORPORATE/GOVERNMENT BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

     Fair Value 
  TOTAL INVESTMENTS - 104.4% (Cost $142,186,157)  $134,023,109 
  LIABILITIES IN EXCESS OF OTHER ASSETS - (4.4)%   (5,666,405)
  NET ASSETS - 100.0%  $128,356,704 

 

LLC - Limited Liability Company
   
LP - Limited Partnership
   
LTD - Limited Company
   
PLC - Public Limited Company
   
S/A - Société Anonyme
   
H15T10Y US Treasury Yield Curve Rate T Note Constant Maturity 10 Year
   
H15T1Y US Treasury Yield Curve Rate T Note Constant Maturity 1 Year
   
H15T5Y US Treasury Yield Curve Rate T Note Constant Maturity 5 Year
   
SOFRINDX Secured Overnight Financing Rate Compounded
   
SOFRRATE United States SOFR Secured Overnight Financing Rate
   
TSFR1M Secured Overnight Financing Rate 1 month
   
TSFR3M Secured Overnight Financing Rate 3 month
   
TSFR6M Secured Overnight Financing Rate 6 month
   
US0001M ICE LIBOR USD 1 Month
   
US0003M ICE LIBOR USD 3 Month

 

(a)Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers. As of July 31, 2023 the total market value of 144A securities is 51,463,825 or 40.1% of net assets.

 

(b)Variable rate security; the rate shown represents the rate on July 31, 2023.

 

(c)Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets.

 

(d)Step bond. Coupon rate is fixed rate that changes on a specified date. The rate shown is the current rate at July 31, 2023.

 

(e)Percentage rounds to less than 0.1%.

 

(f)All or a portion of these securities are on loan. Total loaned securities had a value of $5,092,138 at July 31, 2023.

 

(g)Rate disclosed is the seven day effective yield as of July 31, 2023.

 

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

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023

 

Shares               Fair Value 
     COMMON STOCKS — 0.2%              
     METALS & MINING - 0.2%              
 23,114   Covia Holdings, LLC(a)           $304,342 
                    
     TOTAL COMMON STOCKS (Cost $183,467)            304,342 
                    
Principal         Coupon Rate        
Amount ($)      Spread  (%)  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 10.6%              
     CLO — 10.6%              
 1,500,000   Apidos CLO XX Series 2015-20A DR(b),(c)  US0003M + 5.700%  11.2700  07/16/31   1,329,185 
 1,540,000   Atrium IX Series 9A ER(b),(c)  US0003M + 6.450%  11.9130  05/28/30   1,422,590 
 2,900,000   Benefit Street Partners CLO II Ltd. Series 2013-IIA DR(b),(c)  US0003M + 6.550%  12.1200  07/15/29   2,562,651 
 2,000,000   Benefit Street Partners CLO III Ltd. Series 2013-IIIA DR(b),(c)  US0003M + 6.600%  12.1880  07/20/29   1,875,124 
 2,000,000   Benefit Street Partners Clo XII Ltd. Series 2017-12A D(b),(c)  US0003M + 6.410%  11.9800  10/15/30   1,872,246 
 250,000   CIFC Funding 2013-II Ltd. Series 2013-2A B2LR(b),(c)  US0003M + 6.520%  12.0920  10/18/30   216,662 
 275,000   CIFC Funding 2017-I Ltd. Series 2017-1A E(b),(c)  US0003M + 6.350%  11.9450  04/23/29   260,662 
 1,250,000   Goldentree Loan Management US Clo 2 Ltd. Series 2017-2A E(b),(c)  US0003M + 4.700%  10.2880  11/28/30   1,138,629 
 1,750,000   THL Credit Wind River 2019-3 Clo Ltd. Series 2019-3A E2R(b),(c)  US0003M + 6.750%  12.3200  04/15/31   1,409,289 
 1,000,000   VERDE CLO Ltd. Series 1A AR(b),(c)  US0003M + 1.100%  6.6700  04/15/32   990,890 
                  13,077,928 
     TOTAL ASSET BACKED SECURITIES (Cost$14,149,829)            13,077,928 
                    
Principal         Coupon Rate        
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 8.6%              
     CABLE & SATELLITE — 0.2%              
 500,000   CSC Holdings, LLC(b)     5.7500  01/15/30   259,466 
                    
     CHEMICALS — 0.3%              
 500,000   Consolidated Energy Finance S.A.(b)     5.6250  10/15/28   432,165 
                    
     COMMERCIAL SUPPORT SERVICES — 0.3%              
 450,000   Deluxe Corporation(b),(d)     8.0000  06/01/29   378,486 
                    
     ELECTRIC UTILITIES — 0.3%              
 471,000   Calpine Corporation(b)     5.0000  02/01/31   397,138 

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 8.6% (Continued)              
                    
     ENTERTAINMENT CONTENT — 0.3%              
 424,000   Paramount Global(e)  H15T5Y + 3.999%  6.3750  03/30/62  $349,948 
                    
     FOOD — 0.3%              
 524,000   HLF Financing Sarl, LLC / Herbalife International,(b),(d)     4.8750  06/01/29   398,869 
                    
     HEALTH CARE FACILITIES & SERVICES — 0.3%              
 459,000   CHS/Community Health Systems, Inc.(b),(d)     5.6250  03/15/27   409,194 
                    
     LEISURE FACILITIES & SERVICES — 1.1%              
 440,000   Carnival Corporation(b),(d)     10.5000  06/01/30   465,994 
 439,000   CEC Entertainment Company, LLC(b)     6.7500  05/01/26   422,548 
 502,000   NCL Corporation Ltd.(b),(d)     7.7500  02/15/29   481,268 
                  1,369,810 
     OIL & GAS PRODUCERS — 2.0%              
 95,000   Civitas Resources, Inc.(b)     8.3750  07/01/28   97,832 
 225,000   Civitas Resources, Inc.(b)     8.7500  07/01/31   233,156 
 422,000   Genesis Energy, L.P. / Genesis Energy Finance(d)     8.0000  01/15/27   415,337 
 416,000   Howard Midstream Energy Partners, LLC(b)     6.7500  01/15/27   401,629 
 424,000   Independence Energy Finance, LLC(b)     7.2500  05/01/26   418,253 
 494,000   ITT Holdings, LLC(b)     6.5000  08/01/29   423,126 
 450,000   Strathcona Resources Ltd.(b),(d)     6.8750  08/01/26   395,458 
                  2,384,791 
     REAL ESTATE INVESTMENT TRUSTS — 0.3%              
 514,000   Service Properties Trust     4.3750  02/15/30   383,171 
                    
     REAL ESTATE OWNERS & DEVELOPERS — 0.3%              
 458,000   Kennedy-Wilson, Inc.     4.7500  03/01/29   371,671 
                    
     REAL ESTATE SERVICES — 0.2%              
 300,000   Cushman & Wakefield US Borrower, LLC(b)     6.7500  05/15/28   275,331 

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 8.6% (Continued)              
     SOFTWARE — 0.3%              
 380,000   Helios Software Holdings, Inc. / ION Corporate(b)     4.6250  05/01/28  $330,861 
                    
     SPECIALTY FINANCE — 0.8%              
 505,000   Apollo Commercial Real Estate Finance, Inc.(b)     4.6250  06/15/29   405,173 
 236,000   Burford Capital Global Finance, LLC(b)     6.8750  04/15/30   215,490 
 500,000   Cobra AcquisitionCo, LLC(b)     6.3750  11/01/29   340,540 
                  961,203 
     TECHNOLOGY SERVICES — 0.3%              
 475,000   ION Trading Technologies Sarl(b)     5.7500  05/15/28   414,485 
                    
     TELECOMMUNICATIONS — 0.9%              
 500,000   Altice France S.A.(b)     5.5000  10/15/29   355,633 
 464,000   Sable International Finance Ltd.(b)     5.7500  09/07/27   431,947 
 550,000   Telesat Canada / Telesat, LLC(b),(d)     4.8750  06/01/27   324,530 
                  1,112,110 
     WHOLESALE -CONSUMER STAPLES — 0.4%              
 571,000   C&S Group Enterprises, LLC(b)     5.0000  12/15/28   443,125 
                    
     TOTAL CORPORATE BONDS (Cost $12,266,124)            10,671,824 
                    
Principal         Coupon Rate        
Amount ($)      Spread  (%)  Maturity  Fair Value 
     TERM LOANS — 79.8%              
     AEROSPACE & DEFENSE — 1.5%              
 766,483   Dynasty Acquisition Company, Inc.(c)  US0001M + 3.500%  8.7020  04/08/26   766,300 
 733,772   Spirit AeroSystems, Inc.(c)  TSFR1M + 4.228%  9.5450  11/23/27   735,973 
 412,088   Standard Aero Ltd.(c)  US0001M + 3.500%  8.7020  04/08/26   411,989 
                  1,914,262 
     APPAREL & TEXTILE PRODUCTS — 0.6%              
 683,600   Birkenstock US BidCo, Inc.(c)  US0001M + 3.161%  8.5930  04/28/28   684,113 
                    
     ASSET MANAGEMENT — 2.4%              
 1,177,795   Advisor Group Holdings, Inc.(c)  US0001M + 4.500%  9.6930  07/31/26   1,180,433 
 680,980   Hightower Holding, LLC(c)  US0001M + 3.718%  9.1500  04/21/28   669,703 

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     TERM LOANS — 79.8% (Continued)              
     ASSET MANAGEMENT — 2.4% (Continued)              
 1,093,387   Nexus Buyer, LLC(c)  US0001M + 3.750%  8.9520  11/08/26  $1,064,516 
 42   NFP Corporation(c)  ICE LIBOR USD 1 Month + 3.035%  8.4670  02/04/27   41 
                  2,914,693 
     BEVERAGES — 1.1%              
 1,342,747   Pegasus Bidco BV(c)  TSFR1M + 4.019%  9.3360  05/05/29   1,343,586 
                    
     BIOTECH & PHARMA — 0.6%              
 767,358   Curium Bidco Sarl(c)  US0001M + 4.250%  9.7880  09/10/27   768,317 
                    
     CABLE & SATELLITE — 1.4%              
 1,188,865   CSC Holdings, LLC(c)  ICE LIBOR USD 3 Month + 0.318%  9.7220  07/17/25   1,096,133 
 650,000   UPC Financing Partnership(c)  US0001M + 3.000%  8.2610  01/31/29   635,213 
                  1,731,346 
     CHEMICALS — 1.5%              
 1,394,830   Groupe Solmax, Inc.(c)  US0001M + 4.750%  9.9670  07/23/28   1,324,914 
 521,645   Windsor Holdings III, LLC(c)  TSFR3M + 5.365%  5.3650  06/22/30   520,776 
                  1,845,690 
     COMMERCIAL SUPPORT SERVICES — 4.2%              
 774,027   Amentum Government Services Holdings, LLC(c)  SOFRRATE + 4.000%  9.2220  02/07/29   750,807 
 1,179,000   APX Group, Inc.(c)  US0001M + 2.500%  10.5000  07/01/28   1,179,277 
 987,277   Creative Artists Agency, LLC(c)  TSFR1M + 3.285%  8.6020  11/16/28   984,015 
 1,121,462   Garda World Security Corporation(c)  US0001M + 4.250%  9.6410  10/30/26   1,121,961 
 1,178,947   Sotheby’s(c)  US0001M + 4.500%  10.0700  01/15/27   1,154,631 
                  5,190,691 
     CONSTRUCTION MATERIALS — 2.2%              
 1,093,915   Foley Products Company, LLC(c)  SOFRRATE + 4.750%  10.1420  02/10/29   1,087,078 
 881,331   Quikrete Holdings, Inc.(c)  US0001M + 3.000%  8.2170  06/11/28   883,350 
 750,051   US Silica Company(c)  TSFR1M + 4.581%  9.9520  03/17/30   751,270 
                  2,721,698 
     CONSUMER SERVICES — 1.5%              
 729,447   KUEHG Corporation(c)  TSFR1M + 4.924%  10.2420  05/31/30   727,036 

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     TERM LOANS — 79.8% (Continued)              
     CONSUMER SERVICES — 1.5% (Continued)              
 1,174,565   Mckissock Investment Holdings, LLC(c)  SOFRRATE + 5.000%  10.4480  03/04/29  $1,144,467 
                  1,871,503 
     CONTAINERS & PACKAGING — 2.9%              
 1,178,330   Clydesdale Acquisition Holdings, Inc.(c)  TSFR1M + 4.250%  9.3770  03/30/29   1,169,180 
 1,268,814   LABL, Inc.(c)  US0001M + 5.000%  10.2020  10/22/28   1,264,297 
 656,519   Patriot Container Corporation(c)  ICE LIBOR USD 3 Month + 3.750%  8.9520  03/16/25   622,393 
 584,942   Trident TPI Holdings, Inc.(c)  US0001M + 4.000%  9.5380  09/17/28   582,123 
                  3,637,993 
     E-COMMERCE DISCRETIONARY — 1.3%              
 1,038,130   CNT Holdings I Corporation(c)  ICE LIBOR USD 1 Month + 3.500%  8.8000  10/16/27   1,037,013 
 524,000   CNT Holdings I Corporation(c)  US0001M + 6.617%%  12.0490  11/06/28   517,888 
                  1,554,901 
     ELECTRIC UTILITIES %(f)              
 635,000   Texas Competitive Electric Holdings Company, LLC /(g)       11/22/49    
                    
     ELECTRICAL EQUIPMENT — 0.7%              
 666,723   Icebox Holdco III, Inc.(c)  US0001M + 3.750%  9.0920  12/22/28   656,235 
 179,825   Icebox Holdco III, Inc.(c)  US0001M + 6.750%  12.2530  12/15/29   158,246 
                  814,481 
     ENGINEERING & CONSTRUCTION — 0.9%              
 1,179,000   USIC Holdings, Inc.(c)  US0001M + 3.500%  8.6930  05/14/28   1,141,844 
                    
     ENTERTAINMENT CONTENT — 1.3%              
 592,939   NEP Group, Inc.(c)  US0003M + 3.250%  8.4670  10/20/25   550,063 
 1,114,724   Univision Communications, Inc.(c)  TSFR1M + 4.174%  9.4920  06/10/29   1,115,772 
                  1,665,835 
     HEALTH CARE FACILITIES & SERVICES — 4.6%              
 1,179,000   Bella Holding Company, LLC(c)  US0001M + 3.750%  8.9520  04/01/28   1,163,207 
 1,177,692   Corgi BidCo, Inc.(c)  TSFR1M + 4.924%  10.2420  09/20/29   1,140,466 
 1,188,246   Milano Acquisition Corporation(c)  US0001M + 4.000%  9.3420  08/17/27   1,170,720 
 995,321   Phoenix Newco, Inc.(c)  US0001M + 3.250%  8.4670  08/11/28   992,469 
 324,136   Team Health Holdings, Inc.(c)  US0003M + 2.277%  7.9040  01/12/24   286,949 

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     TERM LOANS — 79.8% (Continued)              
     HEALTH CARE FACILITIES & SERVICES — 4.6% (Continued)              
 1,359,581   Team Health Holdings, Inc.(c)  SOFRRATE + 5.250%  10.3520  02/17/27  $940,048 
                  5,693,859 
     INDUSTRIAL INTERMEDIATE PROD — 0.5%              
 642,427   Crosby US Acquisition Corporation(c)  TSFR1M + 4.974%  10.2910  06/27/26   641,226 
                    
     INSTITUTIONAL FINANCIAL SERVICES — 0.9%              
 1,174,699   Aretec Group, Inc.(c)  US0003M + 4.250%  9.4520  10/01/25   1,176,785 
                    
     INSURANCE — 3.8%              
 574,658   Alliant Holdings Intermediate, LLC(c)  US0001M + 3.488%  8.9200  11/06/27   573,896 
 454,754   Asurion, LLC(c)  ICE LIBOR USD 1 Month + 3.250%  8.7880  12/18/26   443,785 
 660,462   Asurion, LLC(c)  ICE LIBOR USD 1 Month + 3.250%  8.7880  07/28/27   633,115 
 355,000   Asurion, LLC(c)  US0001M + 5.250%  10.4670  01/29/28   316,964 
 365,000   Asurion, LLC(c)  US0001M + 5.250%  10.4670  01/14/29   320,629 
 550,435   BroadStreet Partners, Inc.(c)  TSFR1M + 3.795%  9.1130  01/26/29   549,403 
 551,874   HUB International Ltd.(c)  TSFR1M + 4.082%  9.4000  06/08/30   554,821 
 1,227,511   Sedgwick Claims Management Services, Inc.(c)  TSFR1M + 3.535%  8.8520  02/17/28   1,224,860 
                  4,617,473 
     LEISURE FACILITIES & SERVICES — 6.4%              
 1,321,055   Aimbridge Acquisition Company, Inc.(c)  US0003M + 3.750%  8.9430  02/01/26   1,286,588 
 636,723   Carnival Corporation(c)  US0001M + 3.250%  8.4670  10/08/28   635,729 
 1,334,083   Dave & Buster’s, Inc.(c)  TSFR1M + 3.682%  9.0000  06/29/29   1,335,751 
 746,444   Fogo De Chao, Inc.(c)  US0003M + 4.250%  9.7260  04/05/25   736,983 
 2,534,655   Hornblower Sub, LLC(c)  US0001M + 4.500%  10.2310  04/27/25   1,313,788 
 399,952   Ontario Gaming GTA, L.P.(c)  TSFR1M + 4.126%  9.4440  07/20/30   400,452 
 863,477   Playa Resorts Holding BV(c)  TSFR1M + 4.154%  9.4720  11/22/28   862,980 
 1,444,681   Wok Holdings, Inc.(c)  US0003M + 6.250%  11.4430  03/01/26   1,381,932 
                  7,954,203 
     LEISURE PRODUCTS — 1.2%              
 1,570,468   Varsity Brands Holding Company, Inc.(c)  US0003M + 3.500%  10.2170  12/15/24   1,529,903 

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     TERM LOANS — 79.8% (Continued)              
     MACHINERY — 1.6% (Continued)              
 819,642   Alliance Laundry Systems, LLC(c)  US0001M + 3.500%  8.9010  09/30/27  $819,438 
 1,178,182   STS Operating, Inc.(c)  US0003M + 4.250%  9.4520  12/07/24   1,177,445 
                  1,996,883 
     MEDICAL EQUIPMENT & DEVICES — 1.7%              
 1,562,180   Mozart Borrower, L.P.(c)  US0001M + 3.250%  8.4670  09/30/28   1,548,246 
 504,384   Sotera Health Holdings, LLC(c)  TSFR1M + 3.498%  8.8160  12/11/26   505,014 
                  2,053,260 
     METALS & MINING — 0.5%              
 600,166   Arsenal AIC Parent, LLC(c)  TSFR1M + 4.374%  9.7460  07/27/30   600,478 
                    
     OIL & GAS PRODUCERS — 4.0%              
 1,543,354   CQP Holdco, L.P.(c)  US0001M + 3.750%  8.6930  06/04/28   1,545,283 
 781,437   EG America, LLC(c)  US0003M + 4.000%  9.1640  02/05/25   779,851 
 329,000   EG America, LLC(c)  TSFR1M + 5.295%  10.6130  02/07/28   317,485 
 1,166,901   M6 ETX Holdings II Midco, LLC(c)  TSFR1M + 4.573%  9.8910  08/11/29   1,164,194 
 1,182,056   Medallion Midland Acquisition, L.P.(c)  US0001M + 3.750%  9.2530  10/14/28   1,179,692 
                  4,986,505 
     OIL & GAS SERVICES & EQUIPMENT %(f)              
 1,140   Paragon Offshore Finance Company(c)  ICE LIBOR USD 3 Month + 5.627%  0.0001  07/15/22    
                    
     PUBLISHING & BROADCASTING — 0.6%              
 1,002,208   Sinclair Television Group, Inc.(c)  TSFR1M + 3.750%  8.9520  04/13/29   738,708 
                    
     REAL ESTATE INVESTMENT TRUSTS — 0.9%              
 1,181,910   Claros Mortgage Trust, Inc.(c)  US0001M + 4.500%  9.8550  08/09/26   1,140,543 
                    
     RETAIL -DISCRETIONARY — 3.7%              
 725,697   Hertz Corporation (The)(c)  US0001M + 3.250%  8.4670  06/14/28   726,201 
 139,557   Hertz Corporation (The)(c)  US0001M + 3.250%  8.4670  06/14/28   139,654 
 1,047,798   JP Intermediate B, LLC(c)  US0003M + 5.500%  10.7730  11/20/25   419,119 
 1,272,600   LBM Acquisition, LLC(c)  US0001M + 3.750%  8.9520  12/18/27   1,236,809 
 1,017,791   Park River Holdings, Inc.(c)  ICE LIBOR USD 1 Month + 3.351%  8.7830  01/22/28   984,840 
 516,227   Petco Health & Wellness Company, Inc.(c)  US0001M + 3.250%  8.7530  02/25/28   515,210 

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     TERM LOANS — 79.8% (Continued)              
     RETAIL -DISCRETIONARY — 3.7% (Continued)              
 509,600   PetSmart, Inc.(c)  US0003M + 3.750%  8.9520  01/29/28  $510,054 
                  4,531,887 
     SOFTWARE — 11.4%              
 704,794   Applied Systems, Inc.(c)  US0003M + 2.000%  9.7420  09/19/24   707,162 
 190,250   Applied Systems, Inc.(c)  US0001M + 5.500%  11.9920  09/19/25   191,043 
 139,606   athenahealth, Inc.(c)  SOFRRATE + 3.279%  8.5890  01/27/29   135,838 
 1,133,556   athenahealth, Inc.(c)  SOFRRATE + 3.500%  8.8050  01/27/29   1,102,956 
 1,179,239   Barracuda Networks, Inc.(c)  TSFR1M + 4.174%  9.5450  08/15/29   1,161,090 
 1,152,328   Central Parent, Inc.(c)  TSFR1M + 4.120%  9.4920  06/09/29   1,154,183 
 1,801,007   Condor Merger Sub, Inc.(c)  SOFRRATE + 4.000%  8.9630  02/03/29   1,747,616 
 589,340   Dcert Buyer, Inc.(c)  US0003M + 4.000%  9.2640  08/08/26   587,867 
 600,000   Dcert Buyer, Inc.(c)  US0001M + 7.000%  12.2640  02/16/29   561,939 
 1,180,654   Epicor Software Corporation(c)  US0001M + 3.250%  8.4670  07/31/27   1,174,633 
 771,707   Greeneden US Holdings II, LLC(c)  ICE LIBOR USD 1 Month + 4.000%  9.1930  10/08/27   771,854 
 211,661   Helios Software Holdings, Inc.(c)  US0001M + 3.750%  9.1420  03/11/28   207,930 
 121,719   MedAssets Software Intermediate Holdings, Inc.(c)  US0001M + 6.750%  11.9430  11/19/29   73,107 
 1,172,150   Proofpoint, Inc.(c)  US0001M + 3.250%  8.4670  06/10/28   1,156,619 
 1,081,366   RealPage, Inc.(c)  US0001M + 3.250%  8.2170  02/18/28   1,064,242 
 775,229   Sophia, L.P.(c)  US0003M + 3.250%  9.0380  09/23/27   772,322 
 265,660   Sophia, L.P.(c)  SOFRRATE + 4.250%  9.3520  10/07/27   265,246 
 1,178,571   Ultimate Software Group, Inc. (The)(c)  ICE LIBOR USD 3 Month + 3.750%  8.8950  04/08/26   1,178,577 
                  14,014,224 
     SPECIALTY FINANCE — 1.1%              
 619,443   Apollo Commercial Real Estate Finance, Inc.(c)  US0001M + 3.500%  8.7170  03/11/28   585,374 
 878,000   Fly Funding II Sarl(c)  US0003M + 1.463%  7.0900  08/09/25   837,063 
                  1,422,437 
     TECHNOLOGY HARDWARE — 1.8%              
 1,178,406   VeriFone Systems, Inc.(c)  ICE LIBOR USD 3 Month + 4.000%  9.4760  08/20/25   1,118,667 
 1,207,862   Viasat, Inc.(c)  SOFRRATE + 4.500%  9.6020  02/24/29   1,166,215 
                  2,284,882 

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     TERM LOANS — 79.8% (Continued)              
     TECHNOLOGY SERVICES — 3.7%              
 176,400   ION Trading Finance Ltd.(c)  US0001M + 4.750%  10.0920  03/26/28  $172,778 
 463,315   MoneyGram International, Inc.(c)  TSFR1M + 5.405%  10.7770  06/01/30   419,474 
 1,209,482   MPH Acquisition Holdings, LLC(c)  US0001M + 4.250%  9.7260  08/17/28   1,142,205 
 1,179,176   Peraton Corporation(c)  US0001M + 3.750%  8.9520  02/24/28   1,172,082 
 1,163,161   Sitel Worldwide Corporation(c)  US0001M + 3.750%  8.9500  07/29/28   1,154,583 
 584,121   Verscend Holding Corporation(c)  US0001M + 4.000%  9.2170  08/27/25   584,547 
                  4,645,669 
     TELECOMMUNICATIONS — 2.4%              
 1,590,447   Altice France S.A.(c)  ICE LIBOR USD 3 Month + 3.688%  10.8080  01/09/26   1,317,590 
 887,614   CCI Buyer, Inc.(c)  US0001M + 4.000%  9.2420  12/12/27   870,603 
 1,201,429   Telesat, LLC(c)  US0001M + 2.750%  8.0300  12/06/26   738,987 
                  2,927,180 
     TRANSPORTATION & LOGISTICS — 4.0%              
 646,000   AAdvantage Loyalty IP Ltd.(c)  US0003M + 4.750%  10.3380  03/10/28   669,954 
 967,754   Air Canada(c)  US0001M + 3.500%  8.8390  07/27/28   969,482 
 1,178,550   Kenan Advantage Group, Inc. (The)(c)  US0001M + 3.750%  9.4770  03/24/26   1,179,391 
 548,497   United Airlines, Inc.(c)  US0001M + 3.750%  9.3770  04/14/28   550,211 
 1,466,898   WestJet Airlines Ltd.(c)  US0003M + 2.624%  8.2510  10/08/26   1,437,259 
                  4,806,297 
     WHOLESALE - DISCRETIONARY — 0.9%              
 1,178,462   Fastlane Parent Company, Inc.(c)  US0001M + 4.500%  9.6930  02/04/26   1,176,499 
                    
                    
     TOTAL TERM LOANS (Cost $101,843,853)            98,739,854 
                    
Shares      Expiration Date  Exercise Price     Fair Value 
     RIGHT — 0.0%(f)              
     NON-LISTED RIGHT - 0.0% (f)              
 10,588   TRA Rights  11/22/2024  $            0.00      11,822 
                    
     TOTAL RIGHT (Cost$17,470)            11,822 

 

 

DUNHAM FLOATING RATE BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Shares      Expiration Date  Exercise Price   Fair Value 
     WARRANT — 0.0%(f)             
     PUBLISHING & BROADCASTING - 0.0% (f)             
 14,905   iHeartMedia, Inc.  05/02/2039  $0.00   $48,441 
                   
     TOTAL WARRANT (Cost $287,609)           48,441 
                   
Shares              Fair Value 
     SHORT-TERM INVESTMENTS — 4.2%             
     COLLATERAL FOR SECURITIES LOANED - 2.3%             
 2,940,820   Mount Vernon Liquid Assets Portfolio, LLC, 5.47% (h)(i)           2,940,820 
                   
     MONEY MARKET FUND - 1.9%             
 2,314,179   Fidelity Government Portfolio, CLASS I, 5.03% (h)           2,314,179 
                   
     TOTAL SHORT-TERM INVESTMENTS (Cost$5,254,999)           5,254,999 
                   
     TOTAL INVESTMENTS - 103.4% (Cost $134,003,351)          $128,109,210 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (3.4)%           (4,166,565)
     NET ASSETS - 100.0%          $123,942,645 

 

LLC - Limited Liability Company
   
LP - Limited Partnership
   
LTD - Limited Company
   
REIT - Real Estate Investment Trust
   
S/A - Société Anonyme
   
H15T5Y US Treasury Yield Curve Rate T Note Constant Maturity 5 Year
   
SOFRRATE United States SOFR Secured Overnight Financing Rate
   
TSFR1M TSFR1M
   
TSFR3M TSFR3M
   
US0001M ICE LIBOR USD 1 Month
   
US0003M ICE LIBOR USD 3 Month

 

(a)Non-income producing security.

 

(b)Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers. As of July 31, 2023 the total market value of 144A securities is 22,229,625 or 17.9% of net assets.

 

(c)Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets.

 

(d)All or a portion of these securities are on loan. Total loaned securities had a value of $2,884,956 at July 31, 2023.

 

(e)Variable rate security; the rate shown represents the rate on July 31, 2023.

 

(f)Percentage rounds to less than 0.1%.

 

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

 

(h)Rate disclosed is the seven day effective yield as of July 31, 2023.

 

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

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023

 

Shares            Fair Value 
     COMMON STOCKS — 2.0%           
     OIL & GAS SERVICES & EQUIPMENT -2.0%           
 50   Hi-Crush(a)(g)        $2,387,700 
                 
     TOTAL COMMON STOCKS (Cost $1,196,933)         2,387,700 
                 
Principal      Coupon Rate        
Amount ($)      (%)  Maturity  Fair Value 
     CORPORATE BONDS — 94.7%           
     AEROSPACE & DEFENSE — 1.0%           
 493,000   Rolls-Royce plc(b)  5.7500  10/15/27   486,448 
 732,000   Spirit AeroSystems, Inc.(b),(c)  7.5000  04/15/25   732,457 
               1,218,905 
     ASSET MANAGEMENT — 0.9%           
 415,000   AG Issuer, LLC(b)  6.2500  03/01/28   400,688 
 683,000   NFP Corporation(b)  4.8750  08/15/28   614,891 
               1,015,579 
     AUTOMOTIVE — 1.7%           
 185,000   Ford Motor Company  3.2500  02/12/32   146,358 
 404,000   Ford Motor Company  4.7500  01/15/43   316,479 
 461,000   Ford Motor Credit Co LLC  4.0000  11/13/30   396,431 
 440,000   Ford Motor Credit Company, LLC  4.9500  05/28/27   417,876 
 728,000   Ford Motor Credit Company, LLC  7.3500  11/04/27   747,797 
               2,024,941 
     BIOTECH & PHARMA — 1.3%           
 200,000   Organon Finance 1, LLC(b)  4.1250  04/30/28   179,438 
 589,000   Organon Finance 1, LLC(b),(c)  5.1250  04/30/31   499,844 
 200,000   Teva Pharmaceutical Finance Netherlands III BV  5.1250  05/09/29   183,434 
 625,000   Teva Pharmaceutical Finance Netherlands III BV  7.8750  09/15/29   651,308 
               1,514,024 
     CABLE & SATELLITE — 5.7%           
 1,290,000   Altice Financing S.A.(b),(c)  5.0000  01/15/28   998,903 
 555,000   Block Communications, Inc.(b),(c)  4.8750  03/01/28   465,294 
 710,000   Cable One, Inc.(b),(c)  4.0000  11/15/30   562,036 
 378,000   CCO Holdings, LLC / CCO Holdings Capital(b)  5.0000  02/01/28   349,677 
 825,000   CCO Holdings, LLC / CCO Holdings Capital(b),(c)  5.3750  06/01/29   754,697 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     CORPORATE BONDS — 94.7% (Continued)           
     CABLE & SATELLITE — 5.7% (Continued)           
 1,180,000   CCO Holdings, LLC / CCO Holdings Capital(b),(c)  6.3750  09/01/29  $1,129,251 
 775,000   CSC Holdings, LLC(b)  5.7500  01/15/30   402,172 
 1,045,000   CSC Holdings, LLC(b)  4.6250  12/01/30   526,050 
 1,290,000   Sirius XM Radio, Inc.(b)  4.0000  07/15/28   1,123,614 
 435,000   UPC Broadband Finco BV(b)  4.8750  07/15/31   365,723 
               6,677,417 
     CHEMICALS — 2.7%           
 854,000   Consolidated Energy Finance S.A.(b)  5.6250  10/15/28   738,137 
 670,000   Methanex Corporation  5.1250  10/15/27   632,801 
 531,000   Minerals Technologies, Inc.(b)  5.0000  07/01/28   491,266 
 525,000   Olympus Water US Holding Corporation(b)  9.7500  11/15/28   508,594 
 596,000   Trinseo Materials Operating SCA / Trinseo(b)  5.1250  04/01/29   351,020 
 463,000   Windsor Holdings III, LLC(b),(c)  8.5000  06/15/30   465,894 
               3,187,712 
     COMMERCIAL SUPPORT SERVICES — 4.4%           
 400,000   Allied Universal Holdco, LLC / Allied Universal(b)  4.6250  06/01/28   340,428 
 312,000   Covanta Holding Corporation  5.0000  09/01/30   270,559 
 456,000   Covert Mergeco, Inc.(b)  4.8750  12/01/29   403,130 
 630,000   Deluxe Corporation(b),(c)  8.0000  06/01/29   529,880 
 505,000   Garda World Security Corporation(b)  9.5000  11/01/27   494,930 
 222,000   Garda World Security Corporation(b)  6.0000  06/01/29   184,981 
 980,000   Harsco Corporation(b)  5.7500  07/31/27   847,652 
 380,000   Korn Ferry(b)  4.6250  12/15/27   357,665 
 515,000   Prime Security Services Borrower, LLC / Prime(b)  5.7500  04/15/26   505,474 
 505,000   Sotheby’s(b)  7.3750  10/15/27   447,958 
 350,000   Sotheby’s/Bidfair Holdings, Inc.(b)  5.8750  06/01/29   271,880 
 580,000   TriNet Group, Inc.(b),(c)  3.5000  03/01/29   507,285 
               5,161,822 
     CONSTRUCTION MATERIALS — 0.8%           
 328,000   Standard Industries, Inc.(b)  4.7500  01/15/28   305,932 
 724,000   Standard Industries, Inc.(b)  3.3750  01/15/31   585,403 
               891,335 
     CONSUMER SERVICES — 1.1%           
 600,000   PROG Holdings, Inc.(b)  6.0000  11/15/29   543,678 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 94.7% (Continued)              
     CONSUMER SERVICES — 1.1% (Continued)              
 801,000   Rent-A-Center, Inc.(b)     6.3750  02/15/29  $735,675 
                  1,279,353 
     CONTAINERS & PACKAGING — 2.7%              
 764,000   Ardagh Metal Packaging Finance USA, LLC / Ardagh(b)     3.2500  09/01/28   660,869 
 139,000   Ball Corporation     5.2500  07/01/25   137,900 
 199,000   Ball Corporation     2.8750  08/15/30   164,232 
 600,000   Clydesdale Acquisition Holdings, Inc.(b)     6.6250  04/15/29   574,674 
 479,000   Crown Americas, LLC(c)     5.2500  04/01/30   457,445 
 507,000   LABL, Inc.(b)     5.8750  11/01/28   462,957 
 33,000   LABL, Inc.(b)     9.5000  11/01/28   33,866 
 382,000   Mauser Packaging Solutions Holding Company(b),(c)     7.8750  08/15/26   380,181 
 465,000   Silgan Holdings, Inc.     4.1250  02/01/28   423,006 
                  3,295,130 
     ELECTRIC UTILITIES — 2.5%              
 703,000   Calpine Corporation(b)     5.0000  02/01/31   592,755 
 332,000   Calpine Corporation(b)     3.7500  03/01/31   272,438 
 670,000   Clearway Energy Operating, LLC(b)     3.7500  01/15/32   548,234 
 365,000   NextEra Energy Operating Partners, L.P.(b)     4.5000  09/15/27    
 510,000   NRG Energy Inc(b),(c)     3.6250  02/15/31   400,709 
 555,000   NRG Energy, Inc.(b)     5.2500  06/15/29   501,392 
 685,000   Vistra Operations Company, LLC(b)     5.0000  07/31/27   647,778 
                  2,963,306 
     ENGINEERING & CONSTRUCTION — 0.4%              
 557,000   VM Consolidated, Inc.(b)     5.5000  04/15/29   511,663 
                    
     ENTERTAINMENT CONTENT — 1.7%              
 445,000   Banijay Entertainment S.A.SU(b),(c)     5.3750  03/01/25   435,390 
 604,000   Paramount Global(d)  H15T5Y + 3.999%  6.3750  03/30/62   498,511 
 735,000   Univision Communications, Inc.(b)     6.6250  06/01/27   716,448 
 421,000   Univision Communications, Inc.(b)     7.3750  06/30/30   410,146 
                  2,060,495 
     FOOD — 1.8%              
 208,000   Herbalife Nutrition Ltd. / HLF Financing, Inc.(b)     7.8750  09/01/25   197,755 
 925,000   HLF Financing Sarl, LLC / Herbalife International,(b),(c)     4.8750  06/01/29   704,111 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     CORPORATE BONDS — 94.7% (Continued)           
     FOOD — 1.8% (Continued)           
 209,000   Land O’Lakes Capital Trust I(b)  7.4500  03/15/28  $197,505 
 656,000   Post Holdings, Inc.(b),(c)  4.5000  09/15/31   558,415 
 686,000   Simmons Foods, Inc./Simmons Prepared Foods,(b)  4.6250  03/01/29   573,482 
               2,231,268 
     FORESTRY, PAPER & WOOD PRODUCTS — 0.3%           
 456,000   Glatfelter Corporation(b)  4.7500  11/15/29   315,275 
                 
     GAS & WATER UTILITIES — 0.5%           
 615,000   Ferrellgas Escrow, LLC / FG Operating Finance(b)  5.3750  04/01/26   579,551 
 30,000   Ferrellgas Escrow, LLC / FG Operating Finance(b)  5.8750  04/01/29   25,837 
               605,388 
     HEALTH CARE FACILITIES & SERVICES — 3.4%           
 1,065,000   CHS/Community Health Systems, Inc.(b)  5.6250  03/15/27   949,436 
 983,000   DaVita, Inc.(b),(c)  4.6250  06/01/30   838,009 
 597,000   HCA, Inc.  3.5000  09/01/30   524,772 
 530,000   Legacy LifePoint Health, LLC(b)  4.3750  02/15/27   457,777 
 575,000   Molina Healthcare Inc 3.875% 11/15/2030(b),(c)  3.8750  11/15/30   492,307 
 695,000   Select Medical Corporation(b),(c)  6.2500  08/15/26   689,686 
               3,951,987 
     HOME CONSTRUCTION — 0.8%           
 361,000   Mattamy Group Corporation(b)  5.2500  12/15/27   341,697 
 210,000   Mattamy Group Corporation(b)  4.6250  03/01/30   183,735 
 475,000   PGT Innovations, Inc.(b),(c)  4.3750  10/01/29   441,160 
               966,592 
     HOUSEHOLD PRODUCTS — 0.8%           
 456,000   Coty, Inc.(b)  5.0000  04/15/26   439,952 
 600,000   Edgewell Personal Care Company(b),(c)  4.1250  04/01/29   525,435 
               965,387 
     INSTITUTIONAL FINANCIAL SERVICES — 0.9%           
 550,000   Aretec Escrow Issuer, Inc.(b)  7.5000  04/01/29   497,604 
 689,000   LPL Holdings, Inc.(b)  4.0000  03/15/29   618,210 
               1,115,814 
     INSURANCE — 1.1%           
 544,000   Jones Deslauriers Insurance Management, Inc.(b)  8.5000  03/15/30   555,380 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     CORPORATE BONDS — 94.7% (Continued)           
     INSURANCE — 1.1% (Continued)           
 345,000   NMI Holdings, Inc.(b)  7.3750  06/01/25  $348,722 
 450,000   Ryan Specialty Group, LLC(b)  4.3750  02/01/30   398,672 
               1,302,774 
     INTERNET MEDIA & SERVICES — 0.5%           
 879,000   GrubHub Holdings, Inc.(b)  5.5000  07/01/27   623,062 
                 
     LEISURE FACILITIES & SERVICES — 8.0%           
 510,000   AMC Entertainment Holdings, Inc.(b)  7.5000  02/15/29   352,512 
 506,000   Brinker International, Inc.(b)  5.0000  10/01/24   498,157 
 643,000   Caesars Entertainment, Inc.(b)  6.2500  07/01/25   640,113 
 1,297,000   Carnival Corporation(b),(c)  5.7500  03/01/27   1,200,995 
 322,000   Carnival Corporation(b)  6.0000  05/01/29   289,734 
 470,000   Carnival Corporation(b),(c)  10.5000  06/01/30   497,766 
 715,000   CEC Entertainment Company, LLC(b)  6.7500  05/01/26   688,204 
 295,000   Dave & Buster’s, Inc. B(b)  7.6250  11/01/25   298,327 
 211,000   Hilton Grand Vacations Borrower Escrow, LLC /(b)  5.0000  06/01/29   188,802 
 555,000   Hilton Grand Vacations Borrower Escrow, LLC /(b)  4.8750  07/01/31   474,916 
 435,000   Melco Resorts Finance Ltd.(b)  5.3750  12/04/29   372,065 
 710,000   NCL Corporation Ltd.(b)  3.6250  12/15/24   682,464 
 187,000   NCL Corporation Ltd.(b)  5.8750  03/15/26   177,124 
 243,000   NCL Corporation Ltd.(b),(c)  7.7500  02/15/29   232,965 
 415,000   Ontario Gaming GTA, L.P.(b)  8.0000  08/01/30   419,524 
 603,000   Royal Caribbean Cruises Ltd.(b)  4.2500  07/01/26   561,095 
 126,000   Royal Caribbean Cruises Ltd.(b)  5.5000  04/01/28   118,871 
 200,000   Sands China Ltd.  4.8750  06/18/30   182,540 
 445,000   SeaWorld Parks & Entertainment, Inc.(b)  8.7500  05/01/25   452,481 
 610,000   SeaWorld Parks & Entertainment, Inc.(b)  5.2500  08/15/29   549,549 
 556,000   Wyndham Destinations, Inc.  6.0000  04/01/27   539,900 
               9,418,104 
     MEDICAL EQUIPMENT & DEVICES — 0.7%           
 482,000   Mozart Debt Merger Sub, Inc.(b)  3.8750  04/01/29   422,452 
 505,000   Mozart Debt Merger Sub, Inc.(b),(c)  5.2500  10/01/29   446,667 
               869,119 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     CORPORATE BONDS — 94.7% (Continued)           
     METALS & MINING — 2.2% (Continued)           
 697,000   FMG Resources August 2006 Pty Ltd.(b),(c)  4.5000  09/15/27  $652,424 
 555,000   Hudbay Minerals, Inc.(b),(c)  6.1250  04/01/29   532,239 
 305,000   Mineral Resources Ltd.(b)  8.1250  05/01/27   305,651 
 530,000   Mineral Resources Ltd.(b)  8.5000  05/01/30   536,220 
 505,000   Warrior Met Coal, Inc.(b)  7.8750  12/01/28   510,741 
               2,537,275 
     OIL & GAS PRODUCERS — 15.0%           
 576,000   Antero Midstream Partners, L.P. / Antero Midstream(b)  5.7500  01/15/28   554,386 
 340,000   Antero Resources Corporation(b),(c)  5.3750  03/01/30   317,334 
 148,000   Apache Corporation  4.3750  10/15/28   136,482 
 652,000   Apache Corporation  4.7500  04/15/43   511,090 
 290,000   Buckeye Partners, L.P.(b)  4.5000  03/01/28   262,199 
 415,000   Civitas Resources, Inc.(b)  5.0000  10/15/26   392,071 
 195,000   Civitas Resources, Inc.(b)  8.3750  07/01/28   200,813 
 445,000   Civitas Resources, Inc.(b)  8.7500  07/01/31   461,131 
 61,000   Comstock Resources, Inc.(b)  6.7500  03/01/29   56,965 
 282,000   Comstock Resources, Inc.(b)  5.8750  01/15/30   249,877 
 84,000   Crescent Energy Finance, LLC(b)  9.2500  02/15/28   85,520 
 132,000   DCP Midstream Operating, L.P.(b)  6.7500  09/15/37   140,839 
 235,000   DCP Midstream Operating, L.P.  5.6000  04/01/44   223,352 
 498,000   Earthstone Energy Holdings, LLC(b)  8.0000  04/15/27   493,278 
 291,000   Earthstone Energy Holdings, LLC(b),(c)  9.8750  07/15/31   300,584 
 775,000   eG Global Finance plc(b)  6.7500  02/07/25   761,868 
 45,000   EQM Midstream Partners, L.P.(b)  7.5000  06/01/27   45,711 
 80,000   EQM Midstream Partners, L.P.  5.5000  07/15/28   77,054 
 222,000   EQM Midstream Partners, L.P.(b)  7.5000  06/01/30   229,109 
 54,000   Genesis Energy, L.P. / Genesis Energy Finance  6.2500  05/15/26   51,570 
 507,000   Genesis Energy, L.P. / Genesis Energy Finance  8.0000  01/15/27   498,995 
 674,000   Genesis Energy, L.P. / Genesis Energy Finance  8.8750  04/15/30   673,074 
 902,000   Harvest Midstream I, L.P.(b)  7.5000  09/01/28   887,284 
 659,000   Hilcorp Energy I, L.P. / Hilcorp Finance Company(b)  5.7500  02/01/29   610,168 
 279,000   Hilcorp Energy I, L.P. / Hilcorp Finance Company(b)  6.0000  02/01/31   253,732 
 865,000   Holly Energy Partners, L.P. / Holly Energy Finance(b)  5.0000  02/01/28   809,896 
 904,000   Howard Midstream Energy Partners, LLC(b)  6.7500  01/15/27   872,771 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     CORPORATE BONDS — 94.7% (Continued)           
     OIL & GAS PRODUCERS — 15.0% (Continued)           
 282,000   Howard Midstream Energy Partners, LLC(b)  8.8750  07/15/28  $288,627 
 769,000   Independence Energy Finance, LLC(b)  7.2500  05/01/26   758,576 
 980,000   ITT Holdings, LLC(b)  6.5000  08/01/29   839,402 
 610,000   Murphy Oil USA, Inc.  4.7500  09/15/29   559,956 
 650,000   NGL Energy Operating, LLC / NGL Energy Finance(b)  7.5000  02/01/26   644,619 
 425,000   NGL Energy Partners, L.P. / NGL Energy Finance(c)  6.1250  03/01/25   416,513 
 152,000   NuStar Logistics, L.P.  5.7500  10/01/25   149,477 
 379,000   NuStar Logistics, L.P.  6.3750  10/01/30   365,602 
 301,000   Oasis Petroleum, Inc.(b)  6.3750  06/01/26   299,001 
 503,000   Occidental Petroleum Corporation(c)  6.3750  09/01/28   516,910 
 476,000   Occidental Petroleum Corporation  6.1250  01/01/31   487,543 
 372,000   Rockcliff Energy II, LLC(b)  5.5000  10/15/29   341,015 
 335,000   Southwestern Energy Company  5.3750  03/15/30   313,784 
 855,000   Strathcona Resources Ltd.(b),(c)  6.8750  08/01/26   751,371 
 831,000   Venture Global Calcasieu Pass, LLC(b)  3.8750  08/15/29   720,309 
               17,609,858 
     OIL & GAS SERVICES & EQUIPMENT — 1.7%           
 491,000   Archrock Partners, L.P. / Archrock Partners(b)  6.8750  04/01/27   479,160 
 434,000   Nabors Industries, Inc.(b)  7.3750  05/15/27   424,882 
 510,000   USA Compression Partners, L.P. / USA Compression  6.8750  04/01/26   505,886 
 635,000   Valaris Ltd.(b)  8.3750  04/30/30   651,446 
               2,061,374 
     PUBLISHING & BROADCASTING — 0.5%           
 577,000   Belo Corporation  7.7500  06/01/27   570,150 
                 
     REAL ESTATE INVESTMENT TRUSTS — 1.4%           
 905,000   HAT Holdings I, LLC / HAT Holdings II, LLC(b)  3.3750  06/15/26   819,578 
 141,000   Service Properties Trust  5.2500  02/15/26   128,902 
 461,000   Service Properties Trust  4.7500  10/01/26   404,095 
 46,000   Service Properties Trust  5.5000  12/15/27   40,414 
 385,000   Service Properties Trust  4.9500  10/01/29   296,884 
               1,689,873 
     REAL ESTATE OWNERS & DEVELOPERS — 0.6%           
 713,000   Kennedy-Wilson, Inc.  4.7500  03/01/29   578,606 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     CORPORATE BONDS — 94.7% (Continued)           
     REAL ESTATE OWNERS & DEVELOPERS — 0.6% (Continued)           
 119,000   Kennedy-Wilson, Inc.  4.7500  02/01/30  $92,982 
               671,588 
     REAL ESTATE SERVICES — 0.7%           
 844,000   Cushman & Wakefield US Borrower, LLC(b)  6.7500  05/15/28   774,598 
                 
     RENEWABLE ENERGY — 0.9%           
 558,000   AtlanticaSustainable Infrastructure plc (b),(c)  4.1250  06/15/28   505,858 
 554,000   EnerSys(b)  4.3750  12/15/27   514,367 
               1,020,225 
     RETAIL -CONSUMER STAPLES — 0.8%           
 440,000   Albertsons Companies Inc / Safeway Inc / New(b)  4.6250  01/15/27   417,524 
 506,000   Albertsons Companies Inc / Safeway Inc / New(b)  5.8750  02/15/28   493,185 
               910,709 
     RETAIL -DISCRETIONARY — 2.2%           
 567,000   Ken Garff Automotive, LLC(b)  4.8750  09/15/28   497,270 
 975,000   LBM Acquisition, LLC(b)  6.2500  01/15/29   842,035 
 364,000   Metis Merger Sub, LLC(b)  6.5000  05/15/29   309,618 
 569,000   Park River Holdings, Inc.(b)  6.7500  08/01/29   461,729 
 524,000   Specialty Building Products Holdings, LLC / SBP(b)  6.3750  09/30/26   499,165 
               2,609,817 
     SEMICONDUCTORS — 0.4%           
 520,000   Entegris Escrow Corporation(b)  5.9500  06/15/30   498,244 
                 
     SOFTWARE — 3.0%           
 740,000   Capstone Borrower, Inc.(b)  8.0000  06/15/30   733,273 
 335,000   Central Parent, Inc. / Central Merger Sub, Inc.(b)  7.2500  06/15/29   331,959 
 800,000   Condor Merger Sub, Inc.(b)  7.3750  02/15/30   692,155 
 600,000   Helios Software Holdings, Inc. / ION Corporate(b)  4.6250  05/01/28   522,412 
 164,000   NortonLifeLock, Inc.(b)  6.7500  09/30/27   164,059 
 321,000   NortonLifeLock, Inc.(b),(c)  7.1250  09/30/30   323,772 
 34,000   Open Text Corporation(b)  3.8750  02/15/28   30,276 
 436,000   Open Text Corporation(b)  3.8750  12/01/29   369,232 
 890,000   Rackspace Technology Global, Inc.(b)  3.5000  02/15/28   399,130 
               3,566,268 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 94.7% (Continued)              
     SPECIALTY FINANCE — 7.9%              
 780,000   AerCap Global Aviation Trust(b),(d)  US0003M + 4.300%  6.5000  06/15/45  $762,442 
 555,000   Alliance Data Systems Corporation(b)     4.7500  12/15/24   542,992 
 845,000   Apollo Commercial Real Estate Finance, Inc.(b)     4.6250  06/15/29   677,963 
 420,000   Avolon Holdings Funding Ltd.(b)     6.3750  05/04/28   417,974 
 660,000   Burford Capital Global Finance, LLC(b)     6.2500  04/15/28   611,140 
 831,000   Cobra AcquisitionCo, LLC(b)     6.3750  11/01/29   565,977 
 505,000   Curo Group Holdings Corporation(b)     7.5000  08/01/28   115,611 
 215,000   Enova International, Inc.(b)     8.5000  09/01/24   213,927 
 430,000   Enova International, Inc.(b),(c)     8.5000  09/15/25   424,109 
 512,000   FirstCash, Inc.(b)     4.6250  09/01/28   457,413 
 202,000   FirstCash, Inc.(b)     5.6250  01/01/30   186,625 
 903,000   Genworth Mortgage Holdings, Inc.(b)     6.5000  08/15/25   894,919 
 324,000   goeasy Ltd.(b)     4.3750  05/01/26   296,613 
 682,000   Ladder Capital Finance Holdings LLLP / Ladder(b)     4.2500  02/01/27   614,216 
 483,000   LFS Topco, LLC(b)     5.8750  10/15/26   431,824 
 685,000   OneMainFinance Corporation     5.3750  11/15/29   594,287 
 690,000   Pattern Energy Operations, L.P. / Pattern Energy(b)     4.5000  08/15/28   627,573 
 345,000   Starwood Property Trust, Inc.     4.7500  03/15/25   333,349 
 125,000   Starwood Property Trust, Inc.(b)     3.6250  07/15/26   111,021 
 439,000   Starwood Property Trust, Inc.(b),(c)     4.3750  01/15/27   390,062 
                  9,270,037 
     STEEL — 0.9%              
 433,000   Allegheny Technologies, Inc.     4.8750  10/01/29   395,611 
 287,000   Cleveland-Cliffs, Inc.     6.2500  10/01/40   244,426 
 477,000   Commercial Metals Company     3.8750  02/15/31   414,547 
                  1,054,584 
     TECHNOLOGY HARDWARE — 1.4%              
 585,000   Imola Merger Corporation(b)     4.7500  05/15/29   515,028 
 295,000   NCR Corporation(b)     5.1250  04/15/29   264,067 
 350,000   Seagate HDD Cayman     4.0910  06/01/29   307,929 
 605,000   TTM Technologies, Inc.(b),(c)     4.0000  03/01/29   514,079 
                  1,601,103 
     TECHNOLOGY SERVICES — 2.0%              
 204,000   Acuris Finance US, Inc. / Acuris Finance S.A.RL(b)     5.0000  05/01/28   162,265 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     CORPORATE BONDS — 94.7% (Continued)           
     TECHNOLOGY SERVICES — 2.0% (Continued)           
 955,000   Ahead DB Holdings, LLC(b)  6.6250  05/01/28  $824,991 
 880,000   ION Trading Technologies Sarl(b)  5.7500  05/15/28   767,888 
 665,000   Mobius Merger Sub, Inc.(b)  9.0000  06/01/30   600,123 
               2,355,267 
     TELECOMMUNICATIONS — 3.5%           
 1,585,000   Altice France S.A.(b)  5.5000  10/15/29   1,127,356 
 625,000   Cogent Communications Group, Inc.(b)  7.0000  06/15/27   603,800 
 880,000   Connect Finco S.A.RL / Connect US Finco, LLC(b)  6.7500  10/01/26   843,865 
 535,000   Hughes Satellite Systems Corporation  6.6250  08/01/26   483,651 
 690,000   Iliad Holding S.A.SU(b)  7.0000  10/15/28   648,432 
 760,000   TelesatCanada / Telesat, LLC (b),(c)  4.8750  06/01/27   448,441 
               4,155,545 
     TRANSPORTATION & LOGISTICS — 2.8%           
 550,000   Air Canada(b)  3.8750  08/15/26   510,885 
 600,000   American Airlines, Inc.(b)  11.7500  07/15/25   660,161 
 725,000   American Airlines, Inc.(b)  7.2500  02/15/28   720,704 
 775,000   Cargo Aircraft Management, Inc.(b),(c)  4.7500  02/01/28   690,050 
 271,000   United Airlines, Inc.(b)  4.3750  04/15/26   256,907 
 510,000   United Airlines, Inc.(b)  4.6250  04/15/29   461,814 
               3,300,521 
     WHOLESALE - CONSUMER STAPLES — 1.1%           
 1,258,000   C&S Group Enterprises, LLC(b)  5.0000  12/15/28   976,272 
 285,000   Performance Food Group, Inc.(b)  5.5000  10/15/27   276,221 
               1,252,493 
     TOTAL CORPORATE BONDS (Cost $118,961,705)         111,675,981 
                 
Shares            Fair Value 
     SHORT-TERM INVESTMENTS — 21.9%           
     COLLATERAL FOR SECURITIES LOANED - 17.9%           
 21,180,497   Mount Vernon Liquid Assets Portfolio, LLC, 5.47% (e)(f)         21,180,497 

 

 

DUNHAM HIGH YIELD BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Shares      Fair Value 
     SHORT-TERM INVESTMENTS — 21.9% (Continued)     
     MONEY MARKET FUND - 4.0%     
 4,668,395   First American Government Obligations Fund, Class Z, 5.01%(e)  $4,668,395 
     TOTAL SHORT-TERM INVESTMENTS (Cost $25,848,892)   25,848,892 
           
     TOTAL INVESTMENTS - 118.6% (Cost $146,007,530)  $139,912,573 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (18.6)%   (21,922,157)
     NET ASSETS - 100.0%  $117,990,416 

 

LLC - Limited Liability Company
   
LP - Limited Partnership
   
LTD - Limited Company
   
PLC - Public Limited Company
   
REIT - Real Estate Investment Trust
   
S/A - Société Anonyme
   
H15T5Y US Treasury Yield Curve Rate T Note Constant Maturity 5 Year
   
US0003M ICE LIBOR USD 3 Month

 

(a)Non-income producing security.

 

(b)Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers. As of July 31, 2023 the total market value of 144A securities is 94,611,511 or 80.2% of net assets.

 

(c)All or a portion of these securities are on loan. Total loaned securities had a value of $20,750,812 at July 31, 2023.

 

(d)Variable rate security; the rate shown represents the rate on July 31, 2023.

 

(e)Rate disclosed is the seven day effective yield as of July 31, 2023.

 

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

 

(g)Level 3 securities fair value under procedures established by the Board of Trustees, represents 2.0% of net assets. The total value of this security is $2,387,700.

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     ASSET BACKED SECURITIES — 0.1%              
     RESIDENTIAL MORTGAGE — 0.1%              
 38,626 EUR   Bankinter FTA Series 10 A2(b)  EUR003M + 0.160%  3.7110  06/21/43  $42,460 
 14,337 EUR   Fondo de Titulizacion de Activos Santander Series 2 A(b)  EUR003M + 0.150%  3.8100  01/18/49   15,515 
     TOTAL ASSET BACKED SECURITIES (Cost $56,344)            57,975 
                    
                    
     CORPORATE BONDS — 63.5%              
     ASSET MANAGEMENT — 1.2%              
 200,000 USD   Huarong Finance II Company Ltd.     4.8750  11/22/26   179,000 
 300,000 EUR   JAB Holdings BV     1.0000  12/20/27   290,923 
 275,000 USD   UBS Group A.G.(a),(b)  H15T1Y + 0.850%  1.4940  08/10/27   241,176 
                  711,099 
     AUTOMOTIVE — 3.2%              
 150,000 EUR   Clarios Global, L.P. / Clarios US Finance Company     4.3750  05/15/26   160,626 
 300,000 EUR   Daimler A.G.     0.7500  02/08/30   278,178 
 150,000 EUR   Ford Motor Credit Company, LLC     2.3300  11/25/25   156,895 
 210,000 EUR   Grupo Antolin-Irausa S.A.     3.3750  04/30/26   195,774 
 120,000 EUR   Grupo Antolin-Irausa S.A.     3.5000  04/30/28   98,844 
 200,000 USD   Hyundai Capital America(a)     3.0000  02/10/27   183,473 
 325,000 USD   Nissan Motor Acceptance Company, LLC(a)     1.8500  09/16/26   283,021 
 169,000 USD   Uzauto Motors AJ(a)     4.8500  05/04/26   148,010 
 200,000 EUR   Volkswagen International Finance N.V.     1.8750  03/30/27   204,055 
 100,000 EUR   ZF Finance GmbH     3.7500  09/21/28   102,128 
                  1,811,004 
     BANKING — 6.9%              
 250,000 EUR   AIB Group PLC     2.2500  07/03/25   266,366 
 300,000 EUR   Banco Bilbao Vizcaya Argentaria S.A.     3.5000  02/10/27   324,620 
 622,000 USD   Banco Mercantil del Norte S.A.(a),(b)  H15T5Y + 4.967%  6.7500  09/27/68   611,767 
 167,000 USD   Banco Mercantil del Norte S.A.(a),(b)  H15T5Y + 4.643%  5.8750  11/24/71   144,171 
 200,000 USD   Banco Santander S.A.(b)  H15T1Y + 2.000%  4.1750  03/24/28   188,399 
 350,000 USD   Barclays PLC     4.8360  05/09/28   325,720 
 175,000 USD   BBVA Bancomer S.A.(a),(b)  H15T5Y + 2.650%  5.1250  01/18/33   152,381 
 50,000 USD   BPCE S.A.(a),(b)  SOFRRATE + 2.100%  5.9750  01/18/27   49,825 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 63.5% (Continued)              
     BANKING — 6.9% (Continued)              
 225,000 EUR   Cooperatieve Rabobank UA     1.3750  02/03/27  $230,351 
 250,000 USD   Danske Bank A/S(a),(b)  H15T1Y + 1.350%  1.6210  09/11/26   226,218 
 250,000 USD   Deutsche Bank AG/New York NY(b)  SOFRRATE + 1.870%  2.1290  11/24/26   226,592 
 100,000 USD   HSBC Holdings PLC(b)  SOFRRATE + 1.290%  1.5890  05/24/27   88,965 
 240,000 USD   HSBC Holdings PLC(b)  SOFRRATE + 1.187%  2.8040  05/24/32   194,909 
 250,000 EUR   Natwest Group PLC(b)  EUR003M + 1.080%  1.7500  03/02/26   262,817 
 300,000 USD   Societe Generale S.A.(a),(b)  H15T1Y + 1.300%  2.8890  06/09/32   236,823 
 150,000 USD   Standard Chartered PLC(a),(b)  H15T1Y + 2.580%  6.2960  07/06/34   152,812 
 150,000 USD   Standard Chartered PLC(a),(b)  H15T5Y + 2.300%  3.2650  02/18/36   118,961 
                  3,801,697 
     BEVERAGES — 1.6%              
 250,000 EUR   Anheuser-Busch InBev S.A./NV     1.1500  01/22/27   255,017 
 200,000 USD   Bacardi Ltd. / Bacardi-Martini BV(a)     5.2500  01/15/29   198,336 
 250,000 EUR   Diageo Capital BV     1.5000  06/08/29   248,438 
 110,000 EUR   Primo Water Holdings, Inc.     3.8750  10/31/28   106,957 
                  808,748 
     BIOTECH & PHARMA — 2.3%              
 300,000 EUR   Bayer A.G.     1.3750  07/06/32   264,656 
 200,000 USD   CSL Finance PLC(a)     4.0500  04/27/29   190,712 
 250,000 GBP   GlaxoSmithKline Capital PLC     1.2500  10/12/28   264,347 
 110,000 EUR   Grifols S.A.     3.2000  05/01/25   117,417 
 100,000 EUR   Grifols S.A.     2.2500  11/15/27   99,766 
 300,000 EUR   Mylan N.V.     3.1250  11/22/28   309,982 
                  1,246,880 
     CABLE & SATELLITE — 0.5%              
 300,000 EUR   United Group BV     3.1250  02/15/26   290,789 
                    
     CHEMICALS — 2.2%              
 375,000 USD   Braskem Idesa S.A.PI(a)     6.9900  02/20/32   242,013 
 100,000 EUR   INEOS Quattro Finance 1 PLC     3.7500  07/15/26   95,179 
 190,000 EUR   INEOS Quattro Finance 1 PLC(a)     3.7500  07/15/26   180,839 
 200,000 EUR   Nobian Finance BV(a)     3.6250  07/15/26   189,457 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 63.5% (Continued)              
     CHEMICALS — 2.2% (Continued)              
 135,000 USD   OCP S.A.(a)     5.1250  06/23/51  $102,548 
 166,000 USD   Sasol Financing USA, LLC     4.3750  09/18/26   150,222 
 132,000 USD   Sasol Financing USA, LLC(a)     8.7500  05/03/29   132,148 
 150,000 EUR   Synthomer PLC     3.8750  07/01/25   149,303 
                  1,241,709 
     CONSTRUCTION MATERIALS — 0.8%              
 123,000 USD   Cemex S.A.B. de C.V.(a),(b)  H15T5Y + 4.907%  9.1250  03/14/28   128,327 
 363,000 USD   Cemex S.A.B. de C.V.(a),(b)  H15T5Y + 4.534%  5.1250  09/08/69   335,793 
                  464,120 
     CONTAINERS & PACKAGING — 1.3%              
 200,000 EUR   Ardagh Metal Packaging Finance USA, LLC / Ardagh     3.0000  09/01/29   167,793 
 200,000 GBP   Ardagh Packaging Finance plc / Ardagh Holdings     4.7500  07/15/27   208,316 
 150,000 EUR   Canpack S.A. / Canpack US, LLC     2.3750  11/01/27   141,398 
 200,000 EUR   Trivium Packaging Finance BV     3.7500  08/15/26   203,275 
                  720,782 
     ELEC & GAS MARKETING & TRADING — 0.5%              
 250,000 EUR   Orsted A/S     1.5000  11/26/29   243,177 
                    
     ELECTRIC UTILITIES — 6.9%              
 200,000 USD   Adani Electricity Mumbai Ltd.     3.9490  02/12/30   150,297 
 200,000 USD   Adani Green Energy Ltd.     4.3750  09/08/24   186,705 
 160,200 USD   Adani Renewable Energy RJ Ltd./Kodangal Solar(a)     4.6250  10/15/39   118,997 
 144,000 USD   Adani Transmission Step-One Ltd.(a)     4.0000  08/03/26   127,329 
 23,000 USD   Comision Federal de Electricidad(a)     4.6880  05/15/29   20,999 
 250,000 USD   Electricite de France S.A.(a)     4.5000  09/21/28   238,810 
 250,000 USD   Enel Finance International N.V.(a)     5.5000  06/15/52   227,800 
 285,000 USD   Eskom Holdings SOC Ltd.(a)     7.1250  02/11/25   283,729 
 189,000 USD   Eskom Holdings SOC Ltd.(a)     8.4500  08/10/28   187,254 
 297,040 USD   Greenko Dutch BV(a)     3.8500  03/29/26   271,049 
 200,000 EUR   Iberdrola Finanzas S.A.     1.0000  03/07/25   210,836 
 250,000 EUR   innogy Finance BV     1.0000  04/13/25   263,396 
 300,000 USD   Minejesa Capital BV(a)     4.6250  08/10/30   275,625 
 7,000 USD   Minejesa Capital BV(a)     5.6250  08/10/37   5,814 
 400,000 USD   Mong Duong Finance Holdings BV(a)     5.1250  05/07/29   361,989 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 63.5% (Continued)              
     ELECTRIC UTILITIES — 6.9% (Continued)              
 188,000 USD   MSU Energy S.A. / UGEN S.A. / UENSA S.A.(a)     6.8750  02/01/25  $135,562 
 500,000 EUR   National Grid PLC     0.1630  01/20/28   466,504 
 300,000 EUR   Naturgy Finance BV     1.5000  01/29/28   302,050 
 8,000 USD   Perusahaan Perseroan Persero PT Perusahaan Listrik     3.3750  02/05/30   7,086 
 33,000 USD   Star Energy Geothermal Darajat II / Star Energy(a)     4.8500  10/14/38   29,543 
                  3,871,374 
     ELECTRICAL EQUIPMENT — 1.2%              
 300,000 GBP   Siemens Financieringsmaatschappij N.V.     1.0000  02/20/25   359,915 
 108,900 EUR   TK Elevator Holdco GmbH     6.6250  07/15/28   104,987 
 200,000 EUR   Vertical Midco GmbH     4.3750  07/15/27   200,940 
                  665,842 
     ENGINEERING & CONSTRUCTION — 1.3%              
 397,000 USD   ATP Tower Holdings, LLC / Andean Tower Partners(a)     4.0500  04/27/26   350,549 
 363,000 USD   IHS Holding Ltd.(a)     6.2500  11/29/28   300,695 
 98,000 USD   IHS Netherlands Holdco BV(a)     8.0000  09/18/27   89,692 
                  740,936 
     ENTERTAINMENT CONTENT — 1.1%              
 185,000 EUR   Banijay Group S.A.S     6.5000  03/01/26   201,395 
 320,000 GBP   Pinewood Finance Company Ltd.     3.2500  09/30/25   379,893 
                  581,288 
     FOOD — 0.1%              
 96,000 USD   Minerva Luxembourg S.A.(a)     4.3750  03/18/31   78,411 
                    
     HEALTH CARE FACILITIES & SERVICES — 0.4%              
 250,000 EUR   Catalent Pharma Solutions, Inc.     2.3750  03/01/28   232,174 
                    
     HOUSEHOLD PRODUCTS — 1.0%              
 100,000 EUR   Energizer Gamma Acquisition BV(a)     3.5000  06/30/29   90,348 
 210,000 EUR   Energizer Gamma Acquisition BV     3.5000  06/30/29   189,732 
 300,000 EUR   Unilever Finance Netherlands BV     1.7500  03/25/30   298,131 
                  578,211 
     INDUSTRIAL INTERMEDIATE PROD — 0.6%              
 376,000 USD   HTA Group Ltd./Mauritius(a)     7.0000  12/18/25   359,873 
                    

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 63.5% (Continued)              
     INDUSTRIAL SUPPORT SERVICES — 0.8%              
 97,323 EUR   Loxam S.A.S     6.0000  04/15/25  $106,411 
 210,000 EUR   Loxam S.A.S     3.7500  07/15/26   219,508 
 87,920 EUR   Techem Verwaltungsgesellschaft 674 mbH     6.0000  07/30/26   95,656 
                  421,575 
     INSTITUTIONAL FINANCIAL SERVICES — 0.5%              
 150,000 USD   Nomura Holdings, Inc.     1.6530  07/14/26   132,872 
 175,000 USD   Nomura Holdings, Inc.     2.1720  07/14/28   147,512 
                  280,384 
     INSURANCE — 0.9%              
 200,000 EUR   Allianz S.E.(b)  EUR003M + 3.350%  3.0990  07/06/47   207,133 
 250,000 EUR   NN Group N.V.     1.6250  06/01/27   254,615 
                  461,748 
     INTERNET MEDIA & SERVICES — 0.8%              
 385,000 USD   Prosus N.V.(a)     3.0610  07/13/31   302,255 
 200,000 USD   Prosus N.V.     3.0610  07/13/31   157,015 
                  459,270 
     LEISURE FACILITIES & SERVICES — 1.8%              
 215,000 EUR   Carnival Corporation     7.6250  03/01/26   233,937 
 133,000 USD   Melco Resorts Finance Ltd.     5.7500  07/21/28   119,051 
 103,000 USD   Sands China Ltd.     5.9000  08/08/28   100,323 
 10,000 USD   Sands China Ltd.     4.8750  06/18/30   9,127 
 142,000 USD   Sands China Ltd.(c)     3.7500  08/08/31   119,234 
 140,000 GBP   Stonegate Pub Company Financing 2019 PLC(a)     8.2500  07/31/25   168,710 
 200,000 USD   Studio City Company Ltd.     7.0000  02/15/27   190,293 
 73,000 USD   Studio City Finance Ltd.(a)     6.0000  07/15/25   69,143 
                  1,009,818 
     MACHINERY — 0.4%              
 180,000 EUR   Renk A.G./Frankfurt am Main     5.7500  07/15/25   197,405 
                    
     MEDICAL EQUIPMENT & DEVICES — 0.5%              
 300,000 EUR   Medtronic Global Holdings SCA     0.7500  10/15/32   258,972 
                    
     METALS & MINING — 1.0%              
 10,000 USD   Corp Nacional del Cobre de Chile     3.0000  09/30/29   8,817 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 63.5% (Continued)              
     METALS & MINING — 1.0% (Continued)              
 7,000 USD   Freeport Indonesia PT(a)     6.2000  04/14/52  $6,550 
 300,000 EUR   Glencore Capital Finance DAC     1.1250  03/10/28   287,624 
 132,000 USD   Indika Energy Capital III Pte Ltd.(c)     5.8750  11/09/27   129,141 
 20,000 USD   Indika Energy Capital IV Pte Ltd.(a)     8.2500  10/22/25   19,961 
 88,000 USD   Indika Energy Capital IV Pte Ltd.     8.2500  10/22/25   87,827 
 26,000 USD   Indonesia Asahan Aluminium Persero PT(a)     5.8000  05/15/50   23,453 
                  563,373 
     OIL & GAS PRODUCERS — 11.0%              
 59,000 USD   Abu Dhabi Crude Oil Pipeline, LLC(a)     3.6500  11/02/29   55,840 
 78,000 USD   AI Candelaria Spain S.A.(a)     5.7500  06/15/33   59,471 
 652,000 USD   AI Candelaria Spain S.A.     5.7500  06/15/33   497,120 
 40,633 USD   AI Candelaria Spain SLU(a)     7.5000  12/15/28   37,950 
 350,000 USD   Ecopetrol S.A.     5.8750  05/28/45   252,312 
 184,943 EUR   eG Global Finance PLC     6.2500  10/30/25   197,272 
 250,000 USD   Enbridge, Inc.     2.5000  02/14/25   238,583 
 160,000 USD   Energean Israel Finance Ltd.     4.8750  03/30/26   149,740 
 250,000 EUR   Exxon Mobil Corporation     0.5240  06/26/28   238,495 
 271,000 USD   Geopark Ltd.(a)     5.5000  01/17/27   233,103 
 543,000 USD   Gran Tierra Energy International Holdings Ltd.(a)     6.2500  02/15/25   472,672 
 87,000 USD   Gran Tierra Energy, Inc.(a)     7.7500  05/23/27   69,357 
 46,000 USD   Gran Tierra Energy, Inc.     7.7500  05/23/27   36,672 
 400,000 USD   KazMunayGas National Company JSC     3.5000  04/14/33   317,299 
 54,000 USD   KazMunayGas National Company JSC(a)     5.7500  04/19/47   45,575 
 2,000 USD   KazMunayGas National Company JSC(a)     6.3750  10/24/48   1,777 
 486,000 USD   Kosmos Energy Ltd.     7.7500  05/01/27   447,417 
 89,000 USD   Leviathan Bond Ltd.     6.1250  06/30/25   87,443 
 56,000 USD   Leviathan Bond Ltd.     6.5000  06/30/27   54,320 
 79,233 USD   MC Brazil Downstream Trading S.A.RL(a)     7.2500  06/30/31   51,878 
 318,863 USD   MC Brazil Downstream Trading S.A.RL     7.2500  06/30/31   207,126 
 76,000 USD   Petroleos del Peru S.A.     4.7500  06/19/32   58,153 
 63,000 USD   Petroleos Mexicanos     6.5000  03/13/27   56,300 
 270,000 USD   Petroleos Mexicanos     5.3500  02/12/28   221,902 
 53,000 USD   Petroleos Mexicanos     6.8400  01/23/30   42,773 
 240,000 USD   Petroleos Mexicanos     6.7000  02/16/32   184,990 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 63.5% (Continued)              
     OIL & GAS PRODUCERS — 11.0% (Continued)              
 27,000 USD   Petroleos Mexicanos(a)     10.0000  02/07/33  $25,171 
 13,000 USD   Petroleos Mexicanos     6.6250  06/15/38   8,852 
 42,000 USD   Petroleos Mexicanos     6.9500  01/28/60   26,883 
 753,000 USD   SierraCol Energy Andina, LLC(a)     6.0000  06/15/28   594,513 
 673,000 USD   Tullow Oil PLC(a)     7.0000  03/01/25   431,609 
 305,000 USD   Tullow Oil PLC(a)     10.2500  05/15/26   248,331 
 267,000 USD   YPF S.A.(a)     8.5000  07/28/25   249,766 
                  5,900,665 
     OIL & GAS SERVICES & EQUIPMENT — 2.1%              
 252,014 USD   Guara Norte Sarl(a)     5.1980  06/15/34   225,112 
 469,890 USD   MV24 Capital BV(a)     6.7480  06/01/34   434,457 
 613,305 USD   Poinsettia Finance Ltd.     6.6250  06/17/31   510,254 
                  1,169,823 
     PUBLISHING & BROADCASTING — 0.5%              
 250,000 EUR   Informa PLC     2.1250  10/06/25   263,784 
                    
     REAL ESTATE OWNERS & DEVELOPERS — 2.1%              
 236,000 USD   China SCE Group Holdings Ltd.     7.3750  04/09/24   48,380 
 700,000 USD   China SCE Group Holdings Ltd.     7.0000  05/02/25   84,000 
 200,000 USD   Country Garden Holdings Company Ltd.     4.8000  08/06/30   29,475 
 200,000 USD   Longfor Group Holdings Ltd.     3.9500  09/16/29   145,022 
 330,000 USD   MAF Global Securities Ltd.(b)  H15T5Y + 3.539%  6.3750  09/20/70   322,433 
 300,000 USD   Theta Capital Pte Ltd.     8.1250  01/22/25   252,060 
 250,000 USD   Theta Capital Pte Ltd.     6.7500  10/31/26   179,750 
                  1,061,120 
     REIT — 0.2%              
 200,000 USD   LMIRT Capital Pte Ltd.     7.2500  06/19/24   131,000 
                    
     RENEWABLE ENERGY — 0.9%              
 439,000 USD   Aydem Yenilenebilir Enerji A/S(a)     7.7500  02/02/27   388,647 
 102,000 USD   Investment Energy Resources Ltd.(a)     6.2500  04/26/29   95,702 
                  484,349 
     RETAIL - CONSUMER STAPLES — 0.4%              
 100,000 GBP   Bellis Acquisition Company PLC(a)     3.2500  02/16/26   110,586 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 63.5% (Continued)              
     RETAIL - CONSUMER STAPLES — 0.4% (Continued)              
 100,000 GBP   Bellis Finco PLC(a)     4.0000  02/16/27  $99,654 
                  210,240 
     RETAIL - DISCRETIONARY — 0.3%              
 120,000 EUR   Avis Budget Finance PLC     4.7500  01/30/26   130,378 
                    
     SPECIALTY FINANCE — 0.3%              
 184,000 USD   Studio City Finance Ltd.(a)     6.5000  01/15/28   156,590 
                    
     STEEL — 0.9%              
 870,000 USD   Metinvest BV(a)     7.7500  10/17/29   526,350 
                    
     TECHNOLOGY SERVICES — 0.6%              
 338,000 USD   Sixsigma Networks Mexico S.A. de CV(a)     7.5000  05/02/25   308,476 
                    
     TELECOMMUNICATIONS — 3.3%              
 100,000 EUR   Altice France Holding S.A.(a)     8.0000  05/15/27   43,435 
 100,000 EUR   Altice France S.A.(a)     2.1250  02/15/25   97,046 
 100,000 EUR   Altice France S.A.     2.1250  02/15/25   97,046 
 192,000 USD   Digicel International Finance Ltd./Digicel(a)     8.7500  05/25/24   174,536 
 16,200 USD   Millicom International Cellular S.A.(a)     5.1250  01/15/28   14,536 
 270,000 USD   Network i2i Ltd.(b)  H15T5Y + 4.274%  5.6500  04/15/71   265,680 
 300,000 EUR   Orange S.A.     2.0000  01/15/29   307,486 
 210,000 EUR   SoftBank Group Corporation     2.8750  01/06/27   210,885 
 200,000 EUR   Telefonica Emisiones S.A.     2.5920  05/25/31   205,558 
 250,000 USD   VF Ukraine PAT via VFU Funding plc(a)     6.2000  02/11/25   187,500 
 220,000 GBP   Vmed O2 UK Financing I PLC     4.0000  01/31/29   231,102 
                  1,834,810 
     TOBACCO & CANNABIS — 0.2%              
 130,000 USD   BAT Capital Corporation     6.3430  08/02/30   130,673 
                    
     TRANSPORTATION & LOGISTICS — 0.9%              
 200,000 EUR   Abertis Infraestructuras S.A.     2.3750  09/27/27   207,347 
 6,000 USD   DP World PLC(a)     4.7000  09/30/49   5,138 
 208,000 USD   Grupo Aeromexico S.A.B. de C.V.(a)     8.5000  03/17/27   188,593 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 63.5% (Continued)              
     TRANSPORTATION & LOGISTICS — 0.9% (Continued)              
 100,000 GBP   Heathrow Funding Ltd.     7.1250  02/14/24  $128,625 
                  529,703 
     TOTAL CORPORATE BONDS (Cost $38,729,628)            34,938,620 
                    
                    
     NON U.S. GOVERNMENT & AGENCIES — 25.9%              
     GOVERNMENT GUARANTEED — 0.1%              
 28,000 USD   Brazil Minas SPE via State of Minas Gerais(a)     5.3330  02/15/28   27,540 
                    
     LOCAL AUTHORITY — 0.6%              
 150,000 CAD   Province of British Columbia Canada     3.2000  06/18/44   95,964 
 250,000 CAD   Province of Ontario Canada     2.8000  06/02/48   146,481 
 296,000 USD   Provincia de Buenos Aires/Government Bonds(d)     5.2500  09/01/37   115,810 
                  358,255 
     NON U.S. TREASURY — 7.7%              
 860,000 AUD   Australia Government Bond     1.2500  05/21/32   459,489 
 370,000 BRL   Brazil Notas do Tesouro Nacional Serie F     0.0000  01/01/31   76,263 
 550,000 CAD   Canadian Government Bond     2.2500  06/01/29   387,112 
 115,200,000 COP   Colombian TES     7.5000  08/26/26   27,611 
 382,300,000 COP   Colombian TES     6.0000  04/28/28   83,555 
 2,150,000 CZK   Czech Republic Government Bond     2.4000  09/17/25   93,771 
 1,480,000,000 IDR   Indonesia Treasury Bond     8.7500  05/15/31   112,974 
 612,000,000 IDR   Indonesia Treasury Bond     8.2500  05/15/36   46,764 
 76,000 EUR   Ireland Government Bond     5.4000  03/13/25   86,525 
 50,000 EUR   Ireland Government Bond     0.9000  05/15/28   50,385 
 130,000 EUR   Ireland Government Bond     1.3000  05/15/33   123,480 
 240,000 EUR   Italy Buoni Poliennali Del Tesoro     4.5000  03/01/24   265,044 
 750,000 EUR   Italy Buoni Poliennali Del Tesoro     2.8000  12/01/28   793,307 
 640,000 EUR   Italy Buoni Poliennali Del Tesoro(a)     2.4500  09/01/33   613,742 
 180,000 EUR   Italy Buoni Poliennali Del Tesoro     5.0000  08/01/39   213,255 
 235,000 EUR   Italy Buoni Poliennali Del Tesoro     5.0000  09/01/40   279,128 
 1,280,000 MXN   Mexican Bonos     7.7500  05/29/31   71,812 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     NON U.S. GOVERNMENT & AGENCIES — 25.9% (Continued)           
     NON U.S. TREASURY — 7.7% (Continued)           
 1,700,000 MXN   Mexican Bonos  7.7500  11/13/42  $90,683 
 170,000 EUR   Spain Government Bond  4.2000  01/31/37   197,244 
 250,000 EUR   Spain Government Bond  2.7000  10/31/48   222,382 
 360,000 THB   Thailand Government Bond  2.8750  12/17/28   10,767 
 1,720,000 THB   Thailand Government Bond  1.5850  12/17/35   44,454 
               4,349,747 
     SOVEREIGN — 17.1%           
 72,000 USD   Angolan Government International Bond(a)  8.2500  05/09/28   66,501 
 102,000 USD   Angolan Government International Bond(a)  8.7500  04/14/32   89,820 
 51,000 USD   Angolan Government International Bond(a)  9.1250  11/26/49   41,404 
 478,000 USD   Argentine Republic Government International Bond(d)  0.7500  07/09/30   165,941 
 95,000 USD   Argentine Republic Government International Bond(d)  3.6250  07/09/35   29,874 
 200,000 USD   Bahrain Government International Bond  6.7500  09/20/29   201,792 
 112,000 USD   Bahrain Government International Bond(a)  5.6250  09/30/31   105,439 
 60,000 USD   Bahrain Government International Bond(a)  5.2500  01/25/33   53,955 
 277,000 USD   Bahrain Government International Bond(a)  5.6250  05/18/34   249,556 
 100,000 EUR   Banque Centrale de Tunisie International Bond  5.6250  02/17/24   94,518 
 100,000 EUR   Banque Centrale de Tunisie International Bond(a)  6.3750  07/15/26   68,259 
 3,000 USD   Bermuda Government International Bond(a)  4.7500  02/15/29   2,943 
 550,000 BRL   Brazilian Government International Bond  10.2500  01/10/28   114,511 
 82,000 USD   Brazilian Government International Bond  4.5000  05/30/29   78,187 
 110,000 USD   Brazilian Government International Bond  6.0000  10/20/33   109,243 
 301,000 USD   Brazilian Government International Bond  4.7500  01/14/50   231,533 
 5,000 USD   Chile Government International Bond  2.7500  01/31/27   4,652 
 8,000 USD   Chile Government International Bond  2.4500  01/31/31   6,861 
 4,000 USD   Chile Government International Bond  3.1000  05/07/41   3,002 
 3,000 USD   Chile Government International Bond  4.3400  03/07/42   2,659 
 5,000 USD   Chile Government International Bond  3.8600  06/21/47   4,093 
 100,000 EUR   Colombia Government International Bond  3.8750  03/22/26   105,899 
 139,000 USD   Colombia Government International Bond  4.5000  03/15/29   124,489 
 66,000 USD   Colombia Government International Bond  3.0000  01/30/30   53,100 
 32,000 USD   Colombia Government International Bond  6.1250  01/18/41   27,342 
 173,000 USD   Colombia Government International Bond  4.1250  02/22/42   116,617 
 66,000 USD   Colombia Government International Bond(c)  5.6250  02/26/44   51,717 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     NON U.S. GOVERNMENT & AGENCIES — 25.9% (Continued)           
     SOVEREIGN — 17.1% (Continued)           
 238,000 USD   Colombia Government International Bond  5.0000  06/15/45  $172,151 
 33,000 USD   Colombia Government International Bond  5.2000  05/15/49   24,084 
 37,000 USD   Colombia Government International Bond  4.1250  05/15/51   23,404 
 126,000 USD   Costa Rica Government International Bond(a)  6.5500  04/03/34   127,890 
 46,000 USD   Dominican Republic International Bond  5.5000  02/22/29   43,794 
 65,000 USD   Dominican Republic International Bond  4.8750  09/23/32   56,534 
 236,000 USD   Dominican Republic International Bond(a)  4.8750  09/23/32   205,262 
 133,000 USD   Dominican Republic International Bond(a)  6.0000  02/22/33   125,385 
 82,000 USD   Dominican Republic International Bond(a)  7.4500  04/30/44   82,288 
 142,000 USD   Dominican Republic International Bond  5.8750  01/30/60   112,889 
 45,000 USD   Dominican Republic International Bond(a)  5.8750  01/30/60   35,775 
 170,000 USD   Ecuador Government International Bond(a),(d)  6.0000  07/31/30   81,444 
 560,000 USD   Ecuador Government International Bond(d)  6.0000  07/31/30   268,287 
 34,500 USD   Ecuador Government International Bond(d)  3.5000  07/31/35   12,032 
 5,000 USD   Egypt Government International Bond(a)  5.8750  06/11/25   4,372 
 178,000 EUR   Egypt Government International Bond(a)  4.7500  04/16/26   149,261 
 187,000 USD   Egypt Government International Bond(a)  5.8000  09/30/27   137,354 
 200,000 EUR   Egypt Government International Bond(a)  6.3750  04/11/31   132,679 
 173,000 USD   Egypt Government International Bond(a)  7.0530  01/15/32   110,582 
 186,000 USD   El Salvador Government International Bond  6.3750  01/18/27   138,912 
 51,000 USD   El Salvador Government International Bond  9.5000  07/15/52   35,576 
 193,000 USD   Ethiopia International Bond(a)  6.6250  12/11/24   133,664 
 30,000 USD   Export-Import Bank of India  5.5000  01/18/33   29,880 
 24,667 USD   Gabon Government International Bond(a)  6.3750  12/12/24   24,098 
 11,000 USD   Ghana Government International Bond(a)  6.3750  02/11/27   5,055 
 225,000 USD   Ghana Government International Bond(a)  10.7500  10/14/30   160,813 
 92,000 USD   Ghana Government International Bond(a)  8.6250  04/07/34   42,320 
 18,000 USD   Ghana Government International Bond(a)  8.9500  03/26/51   8,106 
 333,000 USD   Guatemala Government Bond(c)  6.1250  06/01/50   309,799 
 6,000 USD   Hungary Government International Bond(a)  6.1250  05/22/28   6,117 
 30,000 USD   Hungary Government International Bond(a)  6.2500  09/22/32   30,878 
 14,000 USD   Indonesia Government International Bond  4.5500  01/11/28   13,845 
 9,000 USD   Indonesia Government International Bond  4.8500  01/11/33   9,002 
 6,000 USD   Indonesia Government International Bond  4.2000  10/15/50   5,204 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     NON U.S. GOVERNMENT & AGENCIES — 25.9% (Continued)           
     SOVEREIGN — 17.1% (Continued)           
 140,625 USD   Iraq International Bond  5.8000  01/15/28  $130,958 
 223,000 EUR   Ivory Coast Government International Bond(a)  5.8750  10/17/31   213,211 
 100,000 EUR   Ivory Coast Government International Bond  4.8750  01/30/32   89,501 
 99,000 USD   Jordan Government International Bond(a)  7.5000  01/13/29   100,983 
 2,000 USD   Kazakhstan Government International Bond(a)  4.8750  10/14/44   1,829 
 20,000 USD   Kazakhstan Government International Bond(a)  6.5000  07/21/45   21,472 
 166,000 USD   Kenya Government International Bond(a)  8.0000  05/22/32   143,774 
 509,000 USD   Lebanon Government International Bond(e)(i)  6.1000  10/04/22   38,144 
 66,000 USD   Lebanon Government International Bond(e)(i)  6.3750  03/09/23   4,946 
 395,000 USD   Lebanon Government International Bond(e)(i)  8.2500  04/12/23   29,331 
 72,000 USD   Lebanon Government International Bond(e)(i)  6.4000  05/26/23   5,406 
 156,000 USD   Lebanon Government International Bond(e)(i)  6.1500  06/19/23   11,700 
 175,000 USD   Lebanon Government International Bond(e)(i)  6.6500  02/26/30   13,104 
 11,000 USD   Magyar Export-Import Bank Zrt(a)  6.1250  12/04/27   11,023 
 11,000 USD   Mexico Government International Bond  4.7500  04/27/32   10,531 
 32,000 USD   Mexico Government International Bond  4.8750  05/19/33   30,709 
 1,000 USD   Mexico Government International Bond  6.3380  05/04/53   1,022 
 19,000 USD   Mexico Government International Bond  3.7710  05/24/61   12,995 
 25,000 USD   Mongolia Government International Bond(a)  8.6500  01/19/28   25,690 
 200,000 USD   Mozambique International Bond(a),(d)  5.0000  09/15/31   158,320 
 135,000 USD   Nigeria Government International Bond(a)  6.1250  09/28/28   117,055 
 23,000 USD   Nigeria Government International Bond(a)  8.3750  03/24/29   21,648 
 124,000 USD   Nigeria Government International Bond(a)  7.8750  02/16/32   108,655 
 120,000 USD   Nigeria Government International Bond(a)  7.3750  09/28/33   99,645 
 200,000 USD   Nigeria Government International Bond  7.6250  11/28/47   150,214 
 8,000 USD   Oman Government International Bond(a)  6.0000  08/01/29   8,098 
 277,000 USD   Pakistan Government International Bond(a)  6.0000  04/08/26   151,310 
 25,000 USD   Panama Government International Bond  2.2520  09/29/32   19,296 
 16,000 USD   Panama Government International Bond  4.5000  04/01/56   12,068 
 48,000 USD   Papua New Guinea Government International Bond(a)  8.3750  10/04/28   44,844 
 54,000 USD   Paraguay Government International Bond(a)  5.8500  08/21/33   54,230 
 2,000 USD   Peruvian Government International Bond  2.3920  01/23/26   1,864 
 27,000 USD   Peruvian Government International Bond  2.7830  01/23/31   22,959 
 1,000 USD   Peruvian Government International Bond  3.0000  01/15/34   822 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     NON U.S. GOVERNMENT & AGENCIES — 25.9% (Continued)           
     SOVEREIGN — 17.1% (Continued)           
 28,000 USD   Philippine Government International Bond  2.4570  05/05/30  $24,140 
 3,000 USD   Philippine Government International Bond  5.0000  07/17/33   3,042 
 4,000 USD   Philippine Government International Bond  2.9500  05/05/45   2,870 
 1,000 USD   Philippine Government International Bond  4.2000  03/29/47   870 
 16,000 USD   Qatar Government International Bond(a)  3.7500  04/16/30   15,381 
 10,000 USD   Qatar Government International Bond(a)  4.4000  04/16/50   9,066 
 165,714 USD   Republic of Angola Via Avenir Issuer II Ireland  6.9270  02/19/27   155,771 
 132,000 USD   Republic of Kenya Government International Bond(a)  6.8750  06/24/24   126,361 
 6,000 USD   Republic of Poland Government International Bond  5.7500  11/16/32   6,346 
 9,000 USD   Republic of Poland Government International Bond  4.8750  10/04/33   8,909 
 3,642,000 ZAR   Republic of South Africa Government Bond  8.5000  01/31/37   158,152 
 46,000 USD   Republic of South Africa Government International  4.3000  10/12/28   41,706 
 99,000 USD   Republic of South Africa Government International  5.8750  04/20/32   91,024 
 72,000 USD   Republic of South Africa Government International  6.3000  06/22/48   58,334 
 21,000 USD   Republic of South Africa Government International  5.7500  09/30/49   15,785 
 64,000 USD   Republic of South Africa Government International  7.3000  04/20/52   57,112 
 8,000 EUR   Romanian Government International Bond  2.3750  04/19/27   8,129 
 1,000 USD   Romanian Government International Bond(a)  6.6250  02/17/28   1,039 
 48,000 USD   Romanian Government International Bond(a)  7.1250  01/17/33   51,713 
 2,000 EUR   Romanian Government International Bond  4.1250  03/11/39   1,774 
 13,000 USD   Saudi Government International Bond(a)  5.5000  10/25/32   13,676 
 35,000 USD   Saudi Government International Bond(a)  2.2500  02/02/33   28,204 
 9,000 USD   Saudi Government International Bond(a)  4.8750  07/18/33   9,015 
 2,000 USD   Saudi Government International Bond(a)  4.6250  10/04/47   1,758 
 100,000 EUR   Senegal Government International Bond(a)  5.3750  06/08/37   78,170 
 200,000 USD   Sri Lanka Government International Bond(a)  7.8500  03/14/29   90,707 
 332,000 USD   Turkey Government International Bond  9.8750  01/15/28   353,854 
 57,000 USD   Turkey Government International Bond  9.3750  03/14/29   59,850 
 43,000 USD   Turkey Government International Bond  9.3750  03/14/29   45,150 
 107,000 USD   Turkey Government International Bond  9.1250  07/13/30   111,591 
 536,000 USD   Turkey Government International Bond  5.7500  05/11/47   395,528 
 56,000 USD   Ukraine Government International Bond(a)(i)  7.7500  09/01/25   17,745 
 369,000 USD   Ukraine Government International Bond(a)(i)  7.7500  09/01/26   117,290 
 136,000 USD   Ukraine Government International Bond(i)  0.0000  09/01/27   43,095 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     NON U.S. GOVERNMENT & AGENCIES — 25.9% (Continued)           
     SOVEREIGN — 17.1% (Continued)           
 139,000 USD   Ukraine Government International Bond(a)(i)  7.3750  09/25/32  $41,881 
 2,000 USD   Uruguay Government International Bond  4.3750  01/23/31   1,959 
 1,900,000 UYU   Uruguay Government International Bond  8.2500  05/21/31   47,996 
 1,000 USD   Uruguay Government International Bond  5.1000  06/18/50   995 
 79,000 USD   Zambia Government International Bond(a)(i)  5.3750  09/20/23   42,027 
 87,000 USD   Zambia Government International Bond(a)  8.9700  07/30/27   50,469 
               9,318,484 
     SUPRANATIONAL — 0.4%           
 4,500,000 INR   European Bank for Reconstruction & Development  6.3000  10/26/27   53,185 
 200,000 EUR   European Investment Bank  1.1250  09/15/36   170,895 
               224,080 
     TOTAL NON U.S. GOVERNMENT & AGENCIES (Cost $15,466,949)         14,278,106 
                 
Shares               
     SHORT-TERM INVESTMENTS — 8.2%           
     COLLATERAL FOR SECURITIES LOANED - 0.9%           
 488,025   Mount Vernon Liquid Assets Portfolio, LLC, 5.47% (Cost $488,025)(f)(h)         488,025 
                 
     MONEY MARKET FUNDS - 7.3%           
 4,043,453   Fidelity Government Portfolio, CLASS I, 5.03% (Cost $4,043,453)(f)         4,043,453 
                 
     TOTAL SHORT-TERM INVESTMENTS (Cost $4,531,478)         4,531,478 
                 
     TOTAL INVESTMENTS - 97.7% (Cost $58,784,399)        $53,806,179 
     OTHER ASSETS IN EXCESS OF LIABILITIES- 2.3%         1,251,498 
     NET ASSETS - 100.0%        $55,057,677 

 

OPEN FUTURES CONTRACTS
Number of
Contracts
   Open Long Futures Contracts  Expiration  Notional
Amount(g)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 44   Eurex 10 Year Euro BUND Future  09/07/2023  $6,435,012   $(52,306)
 6   Eurex 30 Year Euro BUXL Future  09/07/2023   887,926    (24,301)
 25   Long Gilt Future  09/27/2023   3,084,451    7,852 
 7   TSE Japanese 10 Year Bond Futures  09/12/2023   7,222,937    (63,131)
 4   Ultra U.S. Treasury Bond Futures  09/20/2023   528,875    (6,375)
     TOTAL FUTURES CONTRACTS          $(138,261)

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

OPEN FUTURES CONTRACTS (Continued)
Number of
Contracts
   Open Short Futures Contracts  Expiration  Notional
Amount(g)
   Value and
Unrealized
Appreciation
(Depreciation)
 
 39   CBOT 10 Year US Treasury Note  09/20/2023  $4,344,844   $62,208 
 16   CBOT 5 Year US Treasury Note  09/29/2023   1,709,125    39,875 
 4   CBOT US Treasure Bond Futures  09/20/2023   497,750    12,125 
 13   Euro-BTP Italian Bond Futures  09/07/2023   1,658,236    (5,467)
     TOTAL FUTURES CONTRACTS          $108,741 

 

CREDIT DEFAULT SWAP AGREEMENTS
Description
and
Payment
Frequency
  Payment
Frequency
  Counterparty  Fixed Deal
(Pay)Rate
  Implied
Credit Spread
  Maturity
Date
  Notional
Value
   Fair
Value
   Amortized
Upfront
Payments Paid/
(Received)
   Unrealized
Appreciation/
(Depreciation)
 
CDX.EM SERIES 39  To Buy Monthly  Citibank  1.00%  191  6/20/2028  $2,775,000.00    101,950    163,527    (61,577)
ITRAXX EUROPE CROSSOVER SERIES 39  To Sell Monthly  Citibank  5.00%  379  6/20/2028   2,575,000.00    (150,170)   (75,327)   (74,843)
TOTAL                      $(48,220)  $88,200   $(136,420)

 

Foreign Currency  Settlement Date  Counterparty  Local Currency   U.S. Dollar Value   Appreciation/
(Depreciation)
 
To Buy:                     
Euro  08/04/2023  JP Morgan Chase   73,203   $80,505   $505 
Thailand Baht  08/11/2023  JP Morgan Chase   1,875,000    54,841    1,331 
Swiss Franc  08/14/2023  Capstone Global Markets   230,000    264,100    343 
Mexican Peso  08/24/2023  Capstone Global Markets   4,340,000    258,049    3,958 
Mexican Peso  08/28/2023  JP Morgan Chase   2,110,000    125,356    822 
Australian Dollar  08/31/2023  Capstone Global Markets   400,000    268,959    (2,394)
Japanese Yen  08/31/2023  Capstone Global Markets   31,770,000    224,445    (568)
Brazilian Real  09/05/2023  JP Morgan Chase   257,000    53,999    966 
Euro  10/20/2023  JP Morgan Chase   253    280    (1)
              $1,330,534   $4,962 
                      
To Sell:                     
Euro  08/02/2023  JP Morgan Chase   253   $279   $1 
Euro  08/04/2023  JP Morgan Chase   5,726,821    6,298,045    (42,046)
Swiss Franc  08/14/2023  Capstone Global Markets   460,000    528,200    4,675 
Singapore Dollar  08/18/2023  Capstone Global Markets   360,000    270,971    1,882 
Mexican Peso  08/24/2023  JP Morgan Chase   4,340,000    258,049    (839)
Mexican Peso  08/28/2023  Capstone Global Markets   2,110,000    125,356    (158)
Singapore Dollar  08/28/2023  Capstone Global Markets   370,000    278,645    820 
Brazilian Real  09/05/2023  JP Morgan Chase   362,000    76,062    (1,098)
Australian Dollar  10/20/2023  JP Morgan Chase   693,900    467,319    7,160 

 

 

DUNHAM INTERNATIONAL OPPORTUNITY BOND FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Foreign Currency  Settlement Date  Counterparty  Local Currency   U.S. Dollar Value   Unrealized
Appreciation/
(Depreciation)
 
To Sell: (continued)              
British Pound  10/20/2023  Capstone Global Markets   1,051,500   $1,349,838   $24,143 
Canadian Dollar  10/20/2023  JP Morgan Chase   863,100    655,268    504 
Euro  10/20/2023  JP Morgan Chase   10,456,600    11,543,760    260,961 
Japanese Yen  10/20/2023  Capstone Global Markets   50,762,000    361,334    9,984 
              $22,213,126   $265,989 
                      
Total                  $270,951 

 

                Local Currency             
      Settlement     Local Currency
Amount
   Amount
Purchased
   U.S. Dollar
Market
   U.S. Dollar Market   Unrealized
Appreciation/
 
Foreign Currency  Date  Counterparty  Purchased Buy   Sell   Value Buy   Value Sell   (Depreciation) 
To Buy:  To Sell:                               
Euro  British Pound  8/7/2023  JP Morgan Chase   220,000    189,206    241,983    (242,844)  $(861)
Euro  British Pound  8/24/2023  JP Morgan Chase   220,000    189,219    242,207    (242,882)   (675)
Japanese Yen  Euro  8/28/2023  Capstone Global Markets   59,002,124    380,000    416,613    (418,448)   (1,835)
Japanese Yen  Euro  8/28/2023  JP Morgan Chase   58,890,751    380,000    415,827    (418,448)   (2,621)
Euro  British Pound  10/20/2023  Capstone Global Markets   10,908    9,500    12,042    (12,195)   (153)
Euro  British Pound  10/20/2023  JP Morgan Chase   1,106,752    955,300    1,221,819    (1,226,344)   (4,525)
             119,450,535    2,103,225   $2,550,491   $2,561,161   $(10,670)
                                   
Total                               $(10,670)

 

A/S - Anonim Sirketi
   
LLC - Limited Liability Company
   
LTD - Limited Company
   
NV - Naamioze Vennootschap
   
PLC - Public Limited Company
   
REIT - Real Estate Investment Trust
   
S/A - Societe Anonyme
   
SA de CV - Sociedad Anonima de Capital Variable
   
EUR003M Euribor 3 Month
   
H15T1Y US Treasury Yield Curve Rate T Note Constant Maturity 1 Year
   
H15T5Y US Treasury Yield Curve Rate T Note Constant Maturity 5 Year
   
SOFRRATE United States SOFR Secured Overnight Financing Rate
   
AUD Australian Dollar
   
BRL Brazilian Real
   
CAD Canadian Dollar
   
COP Columbian Peso
   
CZK Czech Koruna
   
EUR Euro
   
GBP British Pound
   
IDR Indonesia Rupiah
   
INR Indian Rupee
   
MXN Mexican Peso
   
THB Thailand Baht
   
USD US Dollars
   
UYU Uruguayan Peso
   
ZAR South African Rand

 

(a)Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers. As of July 31, 2023 the total market value of 144A securities is 18,925,113 or 34.4% of net assets.

 

(b)Variable rate security; the rate shown represents the rate on July 31, 2023.

 

(c)All or a portion of these securities are on loan. Total loaned securities had a value of $476,349 at July 31, 2023.

 

(d)Step bond. Coupon rate is fixed rate that changes on a specified date. The rate shown is the current rate at July 31, 2023.

 

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

 

(f)Rate disclosed is the seven day effective yield as of July 31, 2023.

 

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

 

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

 

(i)Non-income producing security.

 

 

DUNHAM LARGE CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.0%     
     AEROSPACE & DEFENSE - 2.9%     
 10,055   L3Harris Technologies, Inc.  $1,905,322 
 29,252   Raytheon Technologies Corporation   2,572,128 
         4,477,450 
     ASSET MANAGEMENT - 1.8%     
 3,721   BlackRock, Inc.   2,749,261 
           
     AUTOMOTIVE - 0.9%     
 34,752   General Motors Company   1,333,434 
           
     BANKING - 6.5%     
 88,894   Bank of America Corporation   2,844,608 
 28,712   JPMorgan Chase & Company   4,535,348 
 18,362   Truist Financial Corporation   609,986 
 49,881   Wells Fargo & Company   2,302,507 
         10,292,449 
     BIOTECH & PHARMA - 6.0%     
 10,626   AbbVie, Inc.   1,589,437 
 37,454   Bristol-Myers Squibb Company   2,329,264 
 12,843   Johnson & Johnson   2,151,588 
 30,918   Merck & Company, Inc.   3,297,405 
         9,367,694 
     CHEMICALS - 3.3%     
 7,072   Air Products and Chemicals, Inc.   2,159,293 
 31,958   Corteva, Inc.   1,803,390 
 39,328   Huntsman Corporation   1,170,795 
         5,133,478 
     CONSTRUCTION MATERIALS - 2.3%     
 5,223   Martin Marietta Materials, Inc.   2,331,861 
 9,405   Owens Corning   1,316,606 
         3,648,467 
     CONSUMER SERVICES - 1.2%     
 27,605   Service Corp International(a)   1,839,873 

 

 

DUNHAM LARGE CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.0% (Continued)     
     DIVERSIFIED INDUSTRIALS - 1.7%     
 13,614   Honeywell International, Inc.  $2,642,886 
           
     ELECTRIC UTILITIES - 4.2%     
 20,832   Duke Energy Corporation   1,950,292 
 47,407   NextEra Energy, Inc.   3,474,933 
 18,944   Xcel Energy, Inc.   1,188,357 
         6,613,582 
     ELECTRICAL EQUIPMENT - 1.4%     
 31,556   Johnson Controls International PLC   2,194,720 
           
     ENGINEERING & CONSTRUCTION - 1.7%     
 12,985   Quanta Services, Inc.   2,618,036 
           
     ENTERTAINMENT CONTENT - 2.5%     
 42,521   Fox Corporation, Class A   1,422,327 
 28,388   Walt Disney Company (The)(b)   2,523,409 
         3,945,736 
     FOOD - 2.8%     
 41,395   Mondelez International, Inc., Class A   3,068,610 
 20,757   Tyson Foods, Inc., Class A   1,156,580 
         4,225,190 
     HEALTH CARE FACILITIES & SERVICES - 4.3%     
 12,568   AmerisourceBergen Corporation   2,348,959 
 27,998   CVS Health Corporation   2,091,171 
 4,448   UnitedHealth Group, Inc.   2,252,334 
         6,692,464 
     HOUSEHOLD PRODUCTS - 1.9%     
 19,255   Procter & Gamble Company (The)   3,009,557 
           
     INDUSTRIAL REIT - 1.0%     
 12,328   Prologis, Inc.   1,537,918 

 

 

DUNHAM LARGE CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.0% (Continued)     
     INFRASTRUCTURE REIT - 1.1%     
 9,246   American Tower Corporation, A  $1,759,606 
           
     INSTITUTIONAL FINANCIAL SERVICES - 2.2%     
 26,740   Bank of New York Mellon Corporation (The)   1,212,926 
 19,815   Intercontinental Exchange, Inc.   2,274,762 
         3,487,688 
     INSURANCE - 5.8%     
 16,690   Allstate Corporation (The)   1,880,629 
 5,555   Berkshire Hathaway, Inc., Class B(b)   1,955,138 
 29,306   Hartford Financial Services Group, Inc. (The)   2,106,515 
 12,037   Prudential Financial, Inc.(a)   1,161,450 
 11,391   Travelers Companies, Inc. (The)   1,966,201 
         9,069,933 
     INTERNET MEDIA & SERVICES - 2.9%     
 15,880   Alphabet, Inc., Class A(b)   2,107,594 
 8,029   Meta Platforms, Inc., Class A(b)   2,558,039 
         4,665,633 
     LEISURE FACILITIES & SERVICES - 1.2%     
 10,929   Darden Restaurants, Inc.   1,846,127 
           
     MACHINERY - 2.4%     
 5,675   Caterpillar, Inc.   1,504,840 
 5,600   Parker-Hannifin Corporation   2,296,056 
         3,800,896 
     MEDICAL EQUIPMENT & DEVICES - 6.2%     
 34,595   Abbott Laboratories   3,851,461 
 59,148   Avantor, Inc.(b)   1,216,674 
 5,809   Stryker Corporation   1,646,329 
 5,522   Thermo Fisher Scientific, Inc.   3,029,701 
         9,744,165 
     OIL & GAS PRODUCERS - 7.4%     
 23,890   ConocoPhillips   2,812,331 
 17,106   EOG Resources, Inc.   2,267,058 
 46,527   Exxon Mobil Corporation   4,989,556 

 

 

DUNHAM LARGE CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.0% (Continued)     
     OIL & GAS PRODUCERS - 7.4% (Continued)     
 13,299   Phillips 66  $1,483,503 
         11,552,448 
     OIL & GAS SERVICES & EQUIPMENT - 1.7%     
 46,012   Schlumberger Ltd.   2,684,340 
           
     RESIDENTIAL REIT - 1.1%     
 24,315   Equity LifeStyle Properties, Inc.(a)   1,730,742 
           
     RETAIL - CONSUMER STAPLES - 0.9%     
 10,814   Target Corporation   1,475,787 
           
     RETAIL - DISCRETIONARY - 1.5%     
 10,558   Lowe’s Companies, Inc.   2,473,423 
           
     SELF-STORAGE REIT - 1.2%     
 6,766   Public Storage(a)   1,906,320 
           
     SEMICONDUCTORS - 3.9%     
 2,142   Broadcom, Inc.   1,924,908 
 24,197   Micron Technology, Inc.   1,727,424 
 22,206   ON Semiconductor Corporation(b)   2,392,696 
         6,045,028 
     SOFTWARE - 2.9%     
 5,947   Microsoft Corporation   1,997,716 
 22,096   Oracle Corporation   2,590,314 
         4,588,030 
     SPECIALTY FINANCE - 0.9%     
 8,441   American Express Company   1,425,516 
           
     TECHNOLOGY HARDWARE - 1.6%     
 8,604   Motorola Solutions, Inc.   2,466,165 
           
     TECHNOLOGY SERVICES - 2.8%     
 26,104   PayPal Holdings, Inc.(b)   1,979,205 

 

 

DUNHAM LARGE CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.0% (Continued)     
     TECHNOLOGY SERVICES - 2.8% (Continued)     
 6,140   S&P Global, Inc.  $2,422,292 
         4,401,497 
     TELECOMMUNICATIONS - 1.1%     
 48,395   Verizon Communications, Inc.(a)   1,649,302 
           
     TRANSPORTATION & LOGISTICS - 2.8%     
 71,369   CSX Corporation   2,378,014 
 16,609   Knight-Swift Transportation Holdings, Inc.(a)   1,008,997 
 32,069   Southwest Airlines Company   1,095,477 
         4,482,488 
           
     TOTAL COMMON STOCKS (Cost $108,268,724)   153,577,329 
           
     SHORT-TERM INVESTMENTS — 5.1%     
     COLLATERAL FOR SECURITIES LOANED - 3.1%     
 4,864,437   Mount Vernon Liquid Assets Portfolio, LLC, 5.47% (Cost $4,864,437)(c)(d)   4,864,437 
           
     MONEY MARKET FUNDS - 2.0%     
 3,193,249   Invesco Treasury Portfolio Inst., 5.07% (Cost $3,193,249)(c)   3,193,249 
           
     TOTAL SHORT-TERM INVESTMENTS (Cost $8,057,686)   8,057,686 
           
     TOTAL INVESTMENTS - 103.1% (Cost $116,326,410)  $161,635,015 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (3.1)%   (4,806,279)
     NET ASSETS - 100.0%  $156,828,736 
           
LLC - Limited Liability Company
   
LTD - Limited Company
   
PLC - Public Limited Company
   
REIT - Real Estate Investment Trust
   

 

(a) All or a portion of these securities are on loan. Total loaned securities had a value of $4,768,068 at July 31, 2023.
   
(b) Non-income producing security.
   
(c) Rate disclosed is the seven day effective yield as of July 31, 2023.
   
(d) The Trust’s securities lending policies and procedures require that the borrower: deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM SMALL CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 99.5%     
     APPAREL & TEXTILE PRODUCTS - 1.2%     
 7,640   Oxford Industries, Inc.(a)  $823,974 
           
     ASSET MANAGEMENT - 1.0%     
 20,900   Victory Capital Holdings, Inc.(a)   693,044 
           
     AUTOMOTIVE - 1.4%     
 100,777   American Axle & Manufacturing Holdings, Inc.(b)   952,343 
           
     BANKING - 15.4%     
 28,181   Amalgamated Financial Corporation   562,493 
 14,134   Banner Corporation(a)   672,920 
 27,001   Berkshire Hills Bancorp, Inc.   615,893 
 31,216   Central Pacific Financial Corporation   569,380 
 18,700   Enterprise Financial Services Corporation   766,700 
 14,409   First Financial Corporation   550,568 
 19,898   Hancock Whitney Corporation(a)   875,711 
 38,021   Hanmi Financial Corporation   722,399 
 19,574   Heartland Financial USA, Inc.   672,171 
 31,118   Heritage Financial Corporation(a)   583,774 
 23,735   Independent Bank Corporation   490,365 
 62,620   Old National Bancorp   1,066,418 
 48,490   Old Second Bancorp, Inc.   775,355 
 14,233   Pathward Financial, Inc.(a)   739,547 
 22,659   Peoples Bancorp, Inc.   638,304 
 19,242   TrustCompany Bank Corp NY   584,764 
         10,886,762 
     BIOTECH & PHARMA - 6.6%     
 8,200   ANI Pharmaceuticals, Inc.(b)   430,910 
 27,249   Anika Therapeutics, Inc.(b)   635,719 
 16,000   Arcturus Therapeutics Holdings, Inc.(a),(b)   559,360 
 61,000   Assertio Holdings, Inc.(a),(b)   347,090 
 27,298   Bridgebio Pharma, Inc.(a),(b)   955,704 
 17,073   Eagle Pharmaceuticals, Inc.(b)   354,435 
 27,435   Ideaya Biosciences, Inc.(b)   613,447 

 

 

DUNHAM SMALL CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 99.5% (Continued)     
     BIOTECH & PHARMA - 6.6% (Continued)     
 48,771   Liquidia Technologies, Inc.(a),(b)  $376,512 
 23,514   Vir Biotechnology, Inc.(a),(b)   331,077 
         4,604,254 
     CHEMICALS - 2.7%     
 24,651   AdvanSix, Inc.(a)   988,753 
 14,284   Minerals Technologies, Inc.   876,323 
         1,865,076 
     COMMERCIAL SUPPORT SERVICES - 1.6%     
 11,850   Huron Consulting Group, Inc.(b)   1,120,655 
           
     CONTAINERS & PACKAGING - 1.4%     
 43,025   O-I Glass, Inc.(b)   987,854 
           
     ELECTRIC UTILITIES - 2.5%     
 24,781   Avista Corporation(a)   957,538 
 17,639   Portland General Electric Company(a)   840,851 
         1,798,389 
     ELECTRICAL EQUIPMENT - 0.9%     
 6,600   Belden, Inc.   637,824 
           
     FOOD - 1.0%     
 25,717   Fresh Del Monte Produce, Inc.   683,558 
           
     FORESTRY, PAPER & WOOD PRODUCTS - 1.3%     
 11,973   Louisiana-Pacific Corporation   911,504 
           
     GAS & WATER UTILITIES - 2.2%     
 11,030   ONE Gas, Inc.(a)   872,804 
 9,124   SJW Group(a)   642,877 
         1,515,681 
     HEALTH CARE FACILITIES & SERVICES - 1.9%     
 51,902   AdaptHealth Corporation(b)   713,133 
 20,300   Select Medical Holdings Corporation(a)   609,203 
         1,322,336 

 

 

DUNHAM SMALL CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 99.5% (Continued)     
     HEALTH CARE REIT - 1.2%     
 39,802   CareTrust REIT, Inc.(a)  $827,484 
           
     HOME CONSTRUCTION - 2.6%     
 7,650   M/I Homes, Inc.(b)   765,000 
 7,304   Meritage Homes Corporation   1,087,931 
         1,852,931 
     HOTEL REIT - 1.0%     
 81,259   DiamondRock Hospitality Company(a)   690,702 
           
     INDUSTRIAL INTERMEDIATE PROD - 3.2%     
 7,680   EnPro Industries, Inc.   1,065,830 
 14,493   Mueller Industries, Inc.(a)   1,174,803 
         2,240,633 
     INDUSTRIAL REIT - 1.2%     
 36,744   Plymouth Industrial REIT, Inc.   836,661 
           
     INSTITUTIONAL FINANCIAL SERVICES - 1.2%     
 6,450   Evercore, Inc., Class A   871,137 
           
     INSURANCE - 1.1%     
 13,544   Axis Capital Holdings Ltd.   746,545 
           
     INTERNET MEDIA & SERVICES - 0.9%     
 35,287   TripAdvisor, Inc.(a),(b)   658,103 
           
     LEISURE FACILITIES & SERVICES - 1.0%     
 26,831   Bloomin’ Brands, Inc.(a)   720,949 
           
     MACHINERY - 2.4%     
 16,315   Columbus McKinnon Corporation   690,777 
 18,747   Hillenbrand, Inc.   973,719 
         1,664,496 

 

 

DUNHAM SMALL CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 99.5% (Continued)     
     MEDICAL EQUIPMENT & DEVICES - 0.9%     
 27,118   Avanos Medical, Inc.(b)  $663,577 
           
     METALS & MINING - 0.8%     
 3,334   Encore Wire Corporation(a)   569,080 
           
     MORTGAGE FINANCE - 2.1%     
 71,544   Ladder Capital Corporation   786,268 
 60,187   Ready Capital Corporation(a)   696,364 
         1,482,632 
     OFFICE REIT - 1.3%     
 38,427   Cousins Properties, Inc.(a)   938,772 
           
     OIL & GAS PRODUCERS - 7.0%     
 13,748   Callon Petroleum Company(a),(b)   516,375 
 34,400   CNX Resources Corporation(a),(b)   701,760 
 51,100   Earthstone Energy, Inc., Class A(a),(b)   816,578 
 7,400   Gulfport Energy Corporation(a),(b)   758,130 
 10,400   Par Pacific Holdings, Inc.(b)   327,392 
 21,979   PBF Energy, Inc., Class A   1,042,684 
 22,196   SilverBow Resources, Inc.(a),(b)   794,839 
         4,957,758 
     OIL & GAS SERVICES & EQUIPMENT - 2.2%     
 44,618   Liberty Oilfield Services, Inc., Class A   734,858 
 97,524   RPC, Inc.(a)   811,400 
         1,546,258 
     REAL ESTATE OWNERS & DEVELOPERS - 0.8%     
 6,600   Howard Hughes Corporation (The)(b)   557,238 
           
     RESIDENTIAL REIT - 0.7%     
 8,321   Centerspace   516,984 
           
     RETAIL - CONSUMER STAPLES - 1.3%     
 11,333   Ingles Markets, Inc., Class A   961,038 

 

 

DUNHAM SMALL CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 99.5% (Continued)     
     RETAIL - DISCRETIONARY - 5.3%     
 12,901   Academy Sports & Outdoors, Inc.(a)  $771,351 
 3,220   Asbury Automotive Group, Inc.(a),(b)   726,432 
 32,854   Ethan Allen Interiors, Inc.(a)   1,033,915 
 42,458   Sally Beauty Holdings, Inc.(a),(b)   508,222 
 8,405   Signet Jewelers Ltd.(a)   676,518 
         3,716,438 
     RETAIL REIT - 3.9%     
 50,057   Acadia Realty Trust   786,395 
 43,751   Essential Properties Realty Trust, Inc.   1,074,086 
 21,513   Spirit Realty Capital, Inc.(a)   867,619 
         2,728,100 
     SEMICONDUCTORS - 2.7%     
 11,561   Diodes, Inc.(b)   1,092,399 
 19,690   Ultra Clean Holdings, Inc.(b)   750,189 
         1,842,588 
     SOFTWARE - 1.2%     
 81,125   SolarWinds Corporation(b)   855,058 
           
     SPECIALTY FINANCE - 2.5%     
 15,625   Essent Group Ltd.   775,000 
 17,179   Mr Cooper Group, Inc.(b)   995,867 
         1,770,867 
     SPECIALTY REIT - 0.6%     
 10,192   EPR Properties(a)   454,971 
           
     TECHNOLOGY SERVICES - 1.6%     
 40,056   LiveRamp Holdings, Inc.(b)   1,143,198 
           
     TELECOMMUNICATIONS - 1.0%     
 34,092   EchoStar Corporation, Class A(a),(b)   662,407 
           
     TRANSPORTATION & LOGISTICS - 6.0%     
 8,760   ArcBest Corporation   1,018,963 
 12,316   Matson, Inc.(a)   1,151,053 

 

 

DUNHAM SMALL CAP VALUE FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 99.5% (Continued)     
     TRANSPORTATION & LOGISTICS - 6.0% (Continued)     
 10,759   Ryder System, Inc.  $1,099,032 
 21,811   SkyWest, Inc.(a),(b)   959,466 
         4,228,514 
     WHOLESALE - DISCRETIONARY - 0.7%     
 3,600   Veritiv Corporation(a)   504,468 
           
           
     TOTAL COMMON STOCKS (Cost $61,713,200)   70,012,841 
           
     SHORT-TERM INVESTMENTS — 33.7%     
     COLLATERAL FOR SECURITIES LOANED - 33.2%     
 23,312,163   Mount Vernon Liquid Assets Portfolio, LLC, 5.47% (Cost $23,312,163)(c)(d)   23,312,163 
           
     MONEY MARKET FUNDS – 0.5%     
 352,395   Invesco Treasury Portfolio Inst., 5.07% (Cost $352,395)(c)   352,395 
           
     TOTAL SHORT-TERM INVESTMENTS (Cost $23,664,558)   23,664,558 
           
     TOTAL INVESTMENTS – 133.2% (Cost $85,377,758)  $93,677,399 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (33.2)%   (23,323,528)
     NET ASSETS - 100.0%  $70,353,871 
           
LLC - Limited Liability Company
   
LTD - Limited Company
   
REIT - Real Estate Investment Trust

 

(a) All or a portion of these securities are on loan. Total loaned securities had a value of $22,870,332 at July 31, 2023.
   
(b) Non-income producing security.
   
(c) Rate disclosed is the seven day effective yield as of July 31, 2023.
   
(d) The Trust’s securities lending policies and procedures require that the borrower: deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM FOCUSED LARGE CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.5%     
     ADVERTISING & MARKETING - 1.6%     
 29,319   Trade Desk, Inc. (The), Class A(a),(b)  $2,675,652 
           
           
     ASSET MANAGEMENT - 2.4%     
 37,017   Blackstone, Inc.(b)   3,879,011 
           
           
     E-COMMERCE DISCRETIONARY - 8.6%     
 80,561   Amazon.com, Inc.(a)   10,769,394 
 2,764   MercadoLibre, Inc.(a),(b)   3,421,970 
         14,191,364 
     INTERNET MEDIA & SERVICES - 2.4%     
 8,867   Netflix, Inc.(a)   3,892,347 
           
           
     LEISURE FACILITIES & SERVICES - 3.1%     
 2,552   Chipotle Mexican Grill, Inc.(a)   5,007,739 
           
           
     MEDICAL EQUIPMENT & DEVICES - 12.2%     
 8,202   Align Technology, Inc.(a)   3,099,454 
 38,970   DexCom, Inc.(a)   4,854,103 
 35,657   Edwards Lifesciences Corporation(a)   2,926,370 
 12,089   Insulet Corporation(a)   3,345,631 
 17,361   Intuitive Surgical, Inc.(a)   5,631,908 
         19,857,466 
     RETAIL - DISCRETIONARY - 4.8%     
 10,319   Lululemon Athletica, Inc.(a)   3,906,051 
 17,294   Tractor Supply Company(b)   3,873,683 
         7,779,734 
     SEMICONDUCTORS - 15.4%     
 32,782   Advanced Micro Devices, Inc.(a)   3,750,261 
 6,865   ASML Holding N.V. - ADR   4,918,155 
 42,583   Marvell Technology, Inc.   2,773,431 
 29,273   NVIDIA Corporation   13,678,980 
         25,120,827 
     SOFTWARE - 31.0%     
 11,906   Adobe, Inc.(a)   6,502,700 

 

 

DUNHAM FOCUSED LARGE CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.5% (Continued)     
     SOFTWARE -31.0% (Continued)     
 7,177   Cadence Design Systems, Inc.(a)  $1,679,490 
 6,155   Intuit, Inc.   3,149,514 
 37,792   Microsoft Corporation   12,695,088 
 10,689   Palo Alto Networks, Inc.(a),(b)   2,671,822 
 28,791   Salesforce, Inc.(a)   6,478,263 
 18,692   ServiceNow, Inc.(a)   10,897,436 
 8,360   Snowflake, Inc.(a)   1,485,656 
 23,885   Veeva Systems, Inc., Class A(a)   4,877,795 
         50,437,764 
     TECHNOLOGY HARDWARE -5.4%     
 45,060   Apple, Inc.   8,852,037 
           
     TECHNOLOGY SERVICES - 11.6%     
 27,754   Block, Inc., Class A(a)   2,235,030 
 26,320   Mastercard, Inc., Class A   10,377,449 
 26,485   Visa, Inc., Class A(b)   6,296,279 
         18,908,758 
           
     TOTAL COMMON STOCKS (Cost $68,800,775)   160,602,699 
           
Shares      Fair Value 
     SHORT-TERM INVESTMENTS — 14.7%     
     COLLATERAL FOR SECURITIES LOANED -13.1%     
 21,398,714   Mount Vernon Liquid Assets Portfolio, LLC, 5.47% (c)(d)   21,398,714 
           
     MONEY MARKET FUND -1.6%     
 2,562,505   STIT -Treasury Obligations Portfolio, 5.08% (c)   2,562,505 
           
     TOTAL SHORT-TERM INVESTMENTS (Cost$23,961,219)   23,961,219 
           
     TOTAL INVESTMENTS -113.2% (Cost $92,761,994)  $184,563,918 
     LIABILITIES IN EXCESS OF OTHER ASSETS -(13.2)%   (21,528,373)
     NET ASSETS -100.0%  $163,035,545 
           
ADR - American Depositary Receipt
   
ETF - Exchange-Traded Fund
   
LLC - Limited Liability Company
   

 

(a) Non-income producing security.
   
(b) All or a portion of these securities are on loan. Total loaned securities had a value of $21,080,505 at July 31, 2023.
   
(c) Rate disclosed is the seven day effective yield as of July 31, 2023.
   
(d) The Trust’s securities lending policies and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM SMALL CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.3%     
     ADVERTISING & MARKETING - 1.1%     
 8,445   Trade Desk, Inc. (The), Class A(a),(b)  $770,691 
           
     AEROSPACE & DEFENSE - 1.6%     
 15,670   Hexcel Corporation   1,107,556 
           
     BANKING - 0.5%     
 13,538   Seacoast Banking Corp of Florida(b)   334,524 
           
     BEVERAGES - 0.8%     
 19,799   Vita Coco Company, Inc. (The)(a),(b)   523,090 
           
     BIOTECH & PHARMA - 8.0%     
 12,642   Akero Therapeutics, Inc.(a),(b)   548,663 
 10,613   Denali Therapeutics, Inc.(a)   301,728 
 11,773   Halozyme Therapeutics, Inc.(a),(b)   505,768 
 5,389   Immunocore Holdings plc - ADR(a),(b)   355,566 
 11,502   Intra-Cellular Therapies, Inc.(a),(b)   711,284 
 25,242   Maravai LifeSciences Holdings, Inc.(a)   285,487 
 71,021   Point Biopharma Global, Inc.(a)   634,928 
 4,968   Prothena Corp plc(a)   342,146 
 52,263   Roivant Sciences Ltd.(a),(b)   626,111 
 19,044   TG Therapeutics, Inc.(a)   394,020 
 16,804   Vaxcyte, Inc.(a),(b)   807,599 
         5,513,300 
     COMMERCIAL SUPPORT SERVICES - 2.0%     
 4,066   AMN Healthcare Services, Inc.(a),(b)   435,672 
 5,314   FTI Consulting, Inc.(a)   930,800 
         1,366,472 
     CONSTRUCTION MATERIALS - 0.5%     
 2,734   Advanced Drainage Systems, Inc.   333,521 
           
     E-COMMERCE DISCRETIONARY - 1.1%     
 16,933   Global-e Online Ltd.(a),(b)   762,832 

 

 

DUNHAM SMALL CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.3% (Continued)     
     ELECTRICAL EQUIPMENT - 3.0%     
 24,686   Bloom Energy Corporation, Class A(a),(b)  $440,892 
 15,292   BWX Technologies, Inc.   1,055,148 
 7,015   Itron, Inc.(a)   551,870 
         2,047,910 
     ENGINEERING & CONSTRUCTION - 3.1%     
 7,107   Exponent, Inc.   636,645 
 5,219   Installed Building Products, Inc.   772,516 
 14,900   WillScot Mobile Mini Holdings Corporation(a)   714,455 
         2,123,616 
     ENTERTAINMENT CONTENT - 1.2%     
 43,035   IMAX Corporation(a)   792,274 
           
     FOOD - 0.8%     
 37,169   Krispy Kreme, Inc.(b)   572,403 
           
     HEALTH CARE FACILITIES & SERVICES - 6.5%     
 8,168   Amedisys, Inc.(a)   741,981 
 20,872   Option Care Health, Inc.(a)   705,056 
 10,902   Progyny, Inc.(a)   455,268 
 24,201   RadNet, Inc.(a)   800,569 
 31,649   SI-BONE, Inc.(a)   815,278 
 23,015   Surgery Partners, Inc.(a),(b)   889,070 
         4,407,222 
     HOME CONSTRUCTION - 1.0%     
 20,885   AZEK Company, Inc. (The)(a)   651,612 
           
     HOUSEHOLD PRODUCTS - 1.4%     
 3,096   elf Beauty, Inc.(a)   361,365 
 3,795   Inter Parfums, Inc.   567,580 
         928,945 
     INDUSTRIAL SUPPORT SERVICES - 2.7%     
 5,129   Applied Industrial Technologies, Inc.   743,654 
 4,570   Herc Holdings, Inc.   611,603 

 

 

DUNHAM SMALL CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.3% (Continued)     
     INDUSTRIAL SUPPORT SERVICES - 2.7% (Continued)     
 2,932   SiteOne Landscape Supply, Inc.(a),(b)  $498,440 
         1,853,697 
     INSTITUTIONAL FINANCIAL SERVICES - 3.6%     
 6,336   Evercore, Inc., Class A   855,740 
 8,047   Houlihan Lokey, Inc.   803,493 
 9,592   Tradeweb Markets, Inc., Class A   784,530 
         2,443,763 
     INTERNET MEDIA & SERVICES - 0.9%     
 6,131   Roku, Inc.(a)   590,231 
           
     LEISURE FACILITIES & SERVICES - 6.2%     
 16,337   Dave & Buster’s Entertainment, Inc.(a)   748,235 
 66,575   Lindblad Expeditions Holdings, Inc.(a)   786,916 
 62,705   OneSpaWorld Holdings Ltd.(a)   805,445 
 8,618   Papa John’s International, Inc.(b)   712,709 
 5,878   Texas Roadhouse, Inc.(b)   655,691 
 3,309   Wingstop, Inc.   557,831 
         4,266,827 
     LEISURE PRODUCTS - 1.3%     
 2,293   Axon Enterprise, Inc.(a)   426,337 
 4,242   Fox Factory Holding Corporation(a),(b)   474,680 
         901,017 
     MACHINERY - 3.5%     
 25,486   Flowserve Corporation   962,352 
 4,314   Lindsay Corporation   571,734 
 4,939   MSA Safety, Inc.   819,874 
         2,353,960 
     MEDICAL EQUIPMENT & DEVICES - 6.9%     
 64,045   Adaptive Biotechnologies Corporation(a)   540,540 
 42,073   Alphatec Holdings, Inc.(a)   743,430 
 14,517   BioLife Solutions, Inc.(a)   288,598 
 4,723   DexCom, Inc.(a)   588,297 
 6,019   Inari Medical, Inc.(a),(b)   343,504 
 1,849   Insulet Corporation(a)   511,711 

 

 

DUNHAM SMALL CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.3% (Continued)     
     MEDICAL EQUIPMENT & DEVICES - 6.9% (Continued)     
 5,453   Repligen Corporation(a),(b)  $935,516 
 15,755   Silk Road Medical, Inc.(a)   359,844 
 1,049   West Pharmaceutical Services, Inc.   386,074 
         4,697,514 
     OIL & GAS PRODUCERS - 0.9%     
 3,697   Cheniere Energy, Inc.   598,396 
           
     OIL & GAS SERVICES & EQUIPMENT - 1.3%     
 46,969   TechnipFMC plc(a),(b)   861,411 
           
     RENEWABLE ENERGY - 2.7%     
 28,122   Array Technologies, Inc.(a)   535,724 
 31,749   Shoals Technologies Group, Inc., Class A(a)   824,205 
 2,065   SolarEdge Technologies, Inc.(a)   498,615 
         1,858,544 
     RETAIL - CONSUMER STAPLES - 2.4%     
 3,748   Five Below, Inc.(a)   780,858 
 12,011   Ollie’s Bargain Outlet Holdings, Inc.(a),(b)   875,362 
         1,656,220 
     RETAIL - DISCRETIONARY - 2.0%     
 5,908   Floor & Decor Holdings, Inc., Class A(a),(b)   678,534 
 8,872   Freshpet, Inc.(a),(b)   652,447 
         1,330,981 
     SEMICONDUCTORS - 6.9%     
 8,258   Aehr Test Systems(a),(b)   430,737 
 4,021   Axcelis Technologies, Inc.(a)   806,130 
 7,795   Lattice Semiconductor Corporation(a)   708,877 
 584   Monolithic Power Systems, Inc.   326,742 
 6,150   Onto Innovation, Inc.(a)   764,568 
 7,776   Power Integrations, Inc.(b)   755,361 
 3,628   Silicon Laboratories, Inc.(a)   541,080 
 3,505   SiTime Corporation(a),(b)   452,180 
         4,785,675 

 

 

DUNHAM SMALL CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.3% (Continued)     
     SOFTWARE - 17.2%     
 3,619   Appfolio, Inc., Class A(a)  $653,555 
 11,721   Blackline, Inc.(a)   680,756 
 22,674   Calix, Inc.(a)   1,022,824 
 12,376   Confluent, Inc., Class A(a),(b)   427,467 
 4,807   Crowdstrike Holdings, Inc., Class A(a)   777,100 
 18,239   DoubleVerify Holdings, Inc.(a),(b)   767,862 
 20,207   Doximity, Inc.(a),(b)   721,996 
 2,432   Duolingo, Inc.(a)   377,422 
 5,765   Five9, Inc.(a),(b)   505,879 
 18,499   Gitlab, Inc.(a)   918,105 
 17,972   JFrog Ltd.(a)   552,998 
 970   MongoDB, Inc.(a),(b)   410,698 
 27,054   Privia Health Group, Inc.(a),(b)   755,348 
 9,634   Procore Technologies, Inc.(a)   730,739 
 16,901   Smartsheet, Inc., Class A(a)   750,404 
 48,812   Sprinklr, Inc., Class A(a)   685,320 
 2,064   Veeva Systems, Inc., Class A(a)   421,510 
 29,967   Vertex, Inc., CLASS A(a)   622,115 
         11,782,098 
     TECHNOLOGY HARDWARE - 1.0%     
 5,459   Fabrinet(a)   674,951 
           
     TECHNOLOGY SERVICES - 6.2%     
 1,955   ExlService Holdings, Inc.(a)   275,557 
 4,823   Globant S.A.(a),(b)   842,723 
 10,000   LiveRamp Holdings, Inc.(a)   285,400 
 14,033   MAXIMUS, Inc.   1,175,404 
 1,151   MSCI, Inc.   630,840 
 5,420   Shift4 Payments, Inc.(a),(b)   373,926 
 8,722   WNS Holdings Ltd. - ADR(a)   602,778 
         4,186,628 
           
     TOTAL COMMON STOCKS (Cost $51,958,312)   67,077,881 

 

 

DUNHAM SMALL CAP GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     SHORT-TERM INVESTMENTS — 25.8%     
     COLLATERAL FOR SECURITIES LOANED - 23.8%     
 16,270,652   Mount Vernon Liquid Assets Portfolio, LLC, 5.47% (c) (d)  $16,270,652 
           
     MONEY MARKET FUND - 2.0%     
 1,331,937   Fidelity Government Portfolio, CLASS I, 5.03% (c)   1,331,937 
           
     TOTAL SHORT-TERM INVESTMENTS (Cost$17,602,589)   17,602,589 
           
     TOTAL INVESTMENTS - 124.1% (Cost $69,560,901)  $84,680,470 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (24.1)%   (16,441,586)
     NET ASSETS - 100.0%  $68,238,884 
           
ADR - American Depositary Receipt
   
LLC - Limited Liability Company
   
LTD - Limited Company
   
MSCI - Morgan Stanley Capital International
   
PLC - Public Limited Company
   
S/A - Société Anonyme

 

(a) Non-income producing security.
   
(b) All or a portion of these securities are on loan. Total loaned securities had a value of $16,071,166 at July 31, 2023.
   
(c) Rate disclosed is the seven day effective yield as of July 31, 2023.
   
(d) The Trust’s securities lending policies and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of thevalue of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM EMERGING MARKETS STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023
 
Shares      Fair Value 
     CLOSED END FUNDS — 1.0%     
     MIXED ALLOCATION - 1.0%     
 136,545   Vietnam Enterprise Investments Ltd.(a) TOTAL CLOSED END FUNDS (Cost $861,698)  $1,146,762 
           
           
     COMMON STOCKS — 98.0%     
     ASSET MANAGEMENT - 0.8%     
 400,280   East Money Information Company Ltd.   903,409 
           
     AUTOMOTIVE - 2.8%     
 18,400   BYD Company Ltd.   702,541 
 5,961   Hyundai Mobis Company Ltd.   1,087,032 
 12,297   Kia Motors Corporation   796,498 
 85,277   Sona Blw Precision Forgings Ltd.   591,837 
         3,177,908 
     BANKING - 11.9%     
 167,748   Banco Bradesco S.A. - ADR(c)   592,150 
 1,777,700   Bank Central Asia Tbk P.T.   1,076,489 
 34,417   Bank Polska Kasa Opieki S.A.   1,016,579 
 235,265   FirstRand Ltd.   957,266 
 11,900   HDFC Bank Ltd. - ADR   812,532 
 194,036   HDFC Bank Ltd.   3,896,633 
 1,496,000   Industrial & Commercial Bank of China Ltd., H Shares   730,539 
 210,148   Itau Unibanco Holding S.A. - ADR   1,262,989 
 1,620,700   Public Bank Bhd   1,498,829 
 117,820   Qatar National Bank QPSC   549,426 
 388,400   SCB X PCL   1,277,782 
         13,671,214 
     BEVERAGES - 4.1%     
 19,800   Heineken Malaysia Bhd   114,761 
 4,300   Kweichow Moutai Company Ltd.   1,135,208 
 348,514   Varun Beverages Ltd.   3,411,447 
         4,661,416 

 

 

DUNHAM EMERGING MARKETS STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.0% (Continued)     
     BIOTECH & PHARMA - 0.5%     
 720,000   CSPC Pharmaceutical Group Ltd.  $601,399 
           
     CHEMICALS - 2.2%     
 3,906   LG Chem Ltd.   1,983,101 
 7,577   Sociedad Quimica y Minera de Chile S.A. - ADR(c)   558,349 
         2,541,450 
     CONSUMER SERVICES - 0.8%     
 946,000   China Education Group Holdings Ltd.   875,636 
           
     E-COMMERCE DISCRETIONARY - 5.5%     
 314,341   Alibaba Group Holding Ltd.(a),   4,017,091 
 121,940   Meituan(a),   2,327,852 
         6,344,943 
     ELECTRIC UTILITIES - 1.0%     
 77,040   ACEN Corporation(a)   7,347 
 290,486   Shenzhen Envicool Technology Company Ltd.   1,156,104 
         1,163,451 
     ELECTRICAL EQUIPMENT - 1.8%     
 374,628   NARI Technology Company Ltd.   1,276,154 
 105,267   Zhejiang Supcon Technology Company Ltd.   798,036 
         2,074,190 
     ENGINEERING & CONSTRUCTION - 2.8%     
 69,518   Larsen & Toubro Ltd.   2,268,953 
 21,907   Mytilineos S.A.   911,781 
         3,180,734 
     ENTERTAINMENT CONTENT - 2.4%     
 125,090   NetEase, Inc.   2,724,505 
           
     FOOD - 0.6%     
 4,480,700   Monde Nissin Corporation   669,595 
           
     HEALTH CARE FACILITIES & SERVICES - 3.2%     
 113,400   Hangzhou Tigermed Consulting Company Ltd.   737,238 

 

 

DUNHAM EMERGING MARKETS STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.0% (Continued)     
     HEALTH CARE FACILITIES & SERVICES - 3.2% (Continued)     
 408,910   Max Healthcare Institute Ltd.(a)  $2,960,514 
         3,697,752 
     INSTITUTIONAL FINANCIAL SERVICES - 1.7%     
 45,900   Hong Kong Exchanges & Clearing Ltd.   1,935,240 
           
     INSURANCE - 3.0%     
 185,600   AIA Group Ltd.   1,856,882 
 113,170   Prudential PLC   1,571,639 
         3,428,521 
     INTERNET MEDIA & SERVICES - 9.1%     
 70,700   KE Holdings, Inc., Institutional Class - ADR(a)   1,231,594 
 4,266   Naspers Ltd., N Shares   838,422 
 143,000   Tencent Holdings Ltd.   6,572,453 
 42,100   Trip.com Group Ltd. - ADR(a),(c)   1,727,784 
         10,370,253 
     LEISURE FACILITIES & SERVICES - 4.1%     
 182,930   Jollibee Foods Corporation   852,376 
 896,757   Lemon Tree Hotels Ltd.(a)   1,009,987 
 1,052,400   Minor International PCL   1,015,530 
 104,298   OPAP S.A.   1,834,558 
         4,712,451 
     MACHINERY - 1.1%     
 70,200   Jiangsu Hengli Hydraulic Company Ltd.   705,279 
 235,026   Sany Heavy Industry Company Ltd., Class A   584,820 
         1,290,099 
     MEDICAL EQUIPMENT & DEVICES - 1.3%     
 35,200   Shenzhen Mindray Bio-Medical Electronics Company   1,461,099 
           
     OIL & GAS PRODUCERS - 1.9%     
 376,189   Gazprom PJSC(b)    
 89,100   Petroleo Brasileiro S.A. - ADR   1,307,988 
 198,010   PTT Exploration & Production PCL   924,760 
         2,232,748 

 

 

DUNHAM EMERGING MARKETS STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.0% (Continued)     
     REAL ESTATE OWNERS & DEVELOPERS - 1.0%     
 667,729   Indiabulls Real Estate Ltd.(a)  $562,922 
 230,490   Vinhomes JSC(a),   613,006 
         1,175,928 
     RENEWABLE ENERGY - 1.0%     
 34,920   Contemporary Amperex Technology Company Ltd.   1,164,471 
           
     RETAIL - CONSUMER STAPLES - 1.7%     
 8,512   Magnit PJSC(b)    
 472,337   Wal-Mart de Mexico S.A.B. de C.V.   1,967,554 
         1,967,554 
     RETAIL - DISCRETIONARY - 0.6%     
 1,598,700   Home Product Center PCL   663,798 
           
     SEMICONDUCTORS - 12.1%     
 22,000   Alchip Technologies Ltd.   1,397,141 
 13,000   eMemory Technology, Inc.   768,610 
 11,000   Global Unichip Corporation   574,044 
 26,047   SK Hynix, Inc.   2,517,565 
 451,608   Taiwan Semiconductor Manufacturing Company Ltd.   8,136,448 
 5,300   Taiwan Semiconductor Manufacturing Company Ltd. - ADR   525,495 
         13,919,303 
     TECHNOLOGY HARDWARE - 11.6%     
 62,099   Accton Technology Corporation   755,911 
 194,000   Delta Electronics, Inc.   2,259,560 
 268,000   E Ink Holdings, Inc.   1,917,685 
 133,855   Samsung Electronics Company Ltd.   7,314,515 
 177,000   Unimicron Technology Corporation   1,042,602 
         13,290,273 
     TECHNOLOGY SERVICES - 1.7%     
 285,033   Shanghai Baosight Software Company Ltd.   1,918,323 
           
     TELECOMMUNICATIONS - 2.6%     
 148,450   Bharti Airtel Ltd.   1,608,185 

 

 

DUNHAM EMERGING MARKETS STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares             Fair Value 
     COMMON STOCKS — 98.0% (Continued)      
     TELECOMMUNICATIONS - 2.6% (Continued)      
 5,577,900   Telekomunikasi Indonesia Persero Tbk P.T.   $1,374,078 
                 2,982,263 
     TRANSPORTATION & LOGISTICS - 2.6%      
 159,503   Container Corp Of India Ltd.    1,349,043 
 185,376   Spring Airlines Company Ltd.(a)    1,589,387 
                 2,938,430 
     WHOLESALE - CONSUMER STAPLES - 0.5%      
 245,734   Devyani International Ltd.(a)    577,856 
                   
     TOTAL COMMON STOCKS (Cost $100,861,799)    112,316,212 
                   
     PREFERRED STOCKS — 1.6%      
                   
     TECHNOLOGY HARDWARE — 1.6%      
 40,616   Samsung Electronics Company Ltd. TOTAL PREFERRED STOCKS (Cost $1,985,575)    1,825,781 
                   
        Expiration
Date
   Exercise
Price
      
     WARRANT — 0.0%(d)             
     LEISURE FACILITIES & SERVICES - 0.0% (d)             
 38,762   Minor International PCL (Thailand)  02/16/2024  $31.00    3,381 
                   
     TOTAL WARRANT (Cost $2,109)           3,381 
                   
     SHORT-TERM INVESTMENTS — 1.8%      
     COLLATERAL FOR SECURITIES LOANED - 1.0%      
 1,159,721   Mount Vernon Liquid Assets Portfolio, LLC, 5.47% (Cost $1,159,721)(e) (f)    1,159,721 

 

 

DUNHAM EMERGING MARKETS STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     SHORT-TERM INVESTMENTS — 1.8%(Continued)     
     MONEY MARKET FUNDS -0.8%     
 892,878   First American Government Obligations Fund, Class X, 5.05%(Cost $892,878)(e)  $892,878 
           
     TOTAL SHORT-TERM INVESTMENTS (Cost $2,052,599)   2,052,599 
           
     TOTAL INVESTMENTS – 102.4% (Cost $105,763,780)  $117,344,735 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (2.4)%   (2,794,612)
     NET ASSETS - 100.0%  $114,550,123 
           
ADR - American Depositary Receipt
   
LLC - Limited Liability Company
   
LTD - Limited Company
   
PJSC - Public Joint-Stock Company
   
PLC - Public Limited Company
   
PT - Perseroan Terbatas
   
S/A - Société Anonyme

 

(a) Non-income producing security.
   
(b) Level 3 securities fair value under procedures established by the Board of Trustees, represents 0.00% of net assets. The total value of these securities are $0.
   
(c) All or a portion of these securities are on loan. Total loaned securities had a value of $1,107,351 at July 31, 2023.
   
(d) Percentage rounds to less than 0.1%.
   
(e) Rate disclosed is the seven day effective yield as of July 31, 2023.
   
(f) The Trust’s securities lending policies and procedures require that the borrower: deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 93.5%     
     AUTOMOTIVE - 8.5%     
 5,000   Aisin Corporation  $162,471 
 23,857   Bayerische Motoren Werke A.G.   2,909,693 
 3,364   Bayerische Motoren Werke A.G.   377,992 
 10,835   Continental A.G.   865,162 
 9,100   Honda Motor Company Ltd.   290,113 
 4,244   Hyundai Mobis Company Ltd.   773,924 
 753   Hyundai Motor Company   115,549 
 1,761   Kia Motors Corporation   114,063 
 17,169   Mercedes-Benz Group A.G.   1,371,324 
 77,900   Nissan Motor Company Ltd.   343,151 
 99,253   Stellantis N.V.   2,036,743 
 26,400   Subaru Corporation   500,361 
 37,700   Sumitomo Electric Industries Ltd.   483,375 
 6,600   Suzuki Motor Corporation   265,085 
 34,900   Zhejiang Cfmoto Power Company Ltd.   731,138 
         11,340,144 
     BANKING - 11.4%     
 167,000   Agricultural Bank of China Ltd., H Shares   60,746 
 1,559,658   Akbank T.A.S.   1,618,242 
 30,481   Banco Bilbao Vizcaya Argentaria S.A.   241,632 
 85,730   Banco Santander S.A.   347,442 
 6,714   Bank Hapoalim BM   59,637 
 43,009   Bank Leumi Le-Israel BM   343,311 
 279,200   Bank of Beijing Company Ltd., Class A   182,534 
 14,968   Bank of China Ltd. - ADR   138,454 
 3,575,000   Bank of China Ltd., H Shares   1,325,962 
 1,150,000   Bank of Communications Company Ltd., H Shares   694,751 
 6,913   Barclays plc - ADR   55,235 
 31,712   BNK Financial Group, Inc.   167,857 
 5,821   BNP Paribas S.A.   383,926 
 1,240,000   China Construction Bank Corporation, H Shares   722,746 
 350,500   China Minsheng Banking Corp Ltd., H Shares   133,598 
 272,000   Chongqing Rural Commercial Bank Company Ltd., H Shares   100,619 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 93.5% (Continued)     
     BANKING - 11.4% (Continued)     
 27,662   Commercial International Bank Egypt S.A.E  $33,305 
 1,861   Erste Group Bank A.G.   70,346 
 694,354   Haci Omer Sabanci Holding A/S   1,484,924 
 10,225   Hana Financial Group, Inc.   314,469 
 59,435   Industrial & Commercial Bank of China Ltd. - ADR   577,851 
 1,449,000   Industrial & Commercial Bank of China Ltd., H Shares   707,588 
 26,400   Industrial Bank Company Ltd.   61,643 
 12,641   KB Financial Group, Inc.   505,295 
 357,800   Mebuki Financial Group, Inc.   950,539 
 121,567   Quinenco S.A.   423,169 
 775,890   Sberbank of Russia PJSC(a)(b)    
 2,831   Shinhan Financial Group Company Ltd.   77,765 
 36,156   Skandinaviska Enskilda Banken A.B.   438,283 
 6,000   Swedbank A.B., A Shares   110,048 
 529,219   Turkiye Garanti Bankasi A/S   863,028 
 119,320   Turkiye Is Bankasi A/S   66,976 
 21,414   UniCredit SpA   542,270 
 1,284,860,000   VTB Bank PJSC(a)(b)    
 2,410,939   Yapi ve Kredi Bankasi A/S   1,274,064 
         15,078,255 
     BEVERAGES - 0.1%     
 1,857   Anheuser-Busch InBev S.A./NV - ADR(c)   106,406 
           
     BIOTECH & PHARMA - 5.4%     
 12,451   Bayer A.G.   728,261 
 1,100   Eisai Company Ltd.   69,401 
 58,236   GSK plc - ADR   2,071,455 
 2,500   Otsuka Holdings Company Ltd.   91,916 
 13,679   Roche Holding A.G.   4,240,901 
         7,201,934 
     CHEMICALS - 1.6%     
 8,100   Kaneka Corporation   238,649 
 3,200   Nitto Denko Corporation   227,549 
 10,128   PhosAgro PJSC(a)(b)    

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 93.5% (Continued)     
     CHEMICALS - 1.6% (Continued)     
 34,000   Shin-Etsu Chemical Company Ltd.  $1,120,094 
 72,200   Toray Industries, Inc.   404,266 
 6,408   Yara International ASA - ADR   131,236 
         2,121,794 
     COMMERCIAL SUPPORT SERVICES - 0.2%     
 3,824   Randstad N.V.   224,057 
           
     CONSTRUCTION MATERIALS - 0.0%(d)     
 1,100   AGC, Inc.   39,745 
 0   Turkiye Sise ve Cam Fabrikalari A/S   1 
         39,746 
     DIVERSIFIED INDUSTRIALS - 0.7%     
 18,900   Mitsubishi Heavy Industries Ltd.   896,667 
           
     E-COMMERCE DISCRETIONARY - 0.4%     
 4,705   Alibaba Group Holding Ltd. - ADR(b),(c)   480,663 
           
     ELECTRIC UTILITIES - 0.5%     
 1,200   Chubu Electric Power Company, Inc.   15,033 
 19,994   Engie S.A.   328,045 
 52,622   Origin Energy Ltd.   299,551 
         642,629 
     ELECTRICAL EQUIPMENT - 0.5%     
 7,240   ABB Ltd.   290,503 
 82,976   Hefei Meiya Optoelectronic Technology, Inc.   306,717 
 7,600   Mitsubishi Electric Corporation   109,674 
         706,894 
     ENGINEERING & CONSTRUCTION - 1.5%     
 1,198,200   China State Construction Engineering Corp Ltd.   1,026,542 
 1   Enka Insaat ve Sanayi A/S   1 
 1,666,800   Metallurgical Corp of China Ltd., Class A   978,497 
         2,005,040 
     ENTERTAINMENT CONTENT - 1.0%     
 215,400   37 Interactive Entertainment Network Technology   811,590 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 93.5% (Continued)     
     ENTERTAINMENT CONTENT - 1.0% (Continued)     
 21,900   Bandai Namco Holdings, Inc.  $495,464 
         1,307,054 
     FOOD - 0.3%     
 741,000   WH Group Ltd.   404,431 
           
     HOME & OFFICE PRODUCTS - 0.0%(d)     
 1   Arcelik A/S(b)   6 
           
     INDUSTRIAL INTERMEDIATE PROD - 0.0%(d)     
 1,134   China International Marine Containers Group   1,174 
           
     INDUSTRIAL SUPPORT SERVICES - 0.2%     
 13,200   Sumitomo Corporation   283,170 
           
     INSTITUTIONAL FINANCIAL SERVICES - 1.5%     
 3,396   Deutsche Boerse A.G.   650,753 
 14,800   Haitong Securities Company Ltd.   10,355 
 329,400   Nomura Holdings, Inc.   1,362,681 
         2,023,789 
     INSURANCE - 7.1%     
 231,585   China Life Insurance Company Ltd., H Shares   406,574 
 6,500   Dai-ichi Life Holdings, Inc.   132,802 
 7,097   Hyundai Marine & Fire Insurance Company Ltd.   159,027 
 74,000   Japan Post Holdings Company Ltd.   540,376 
 28,900   MS&AD Insurance Group Holdings, Inc.   1,074,857 
 4,367   Muenchener Rueckversicherungs-Gesellschaft A.G. in Muenchen   1,644,128 
 23,705   NN Group N.V.   908,834 
 1,375,300   People’s Insurance Company Group of China Ltd.   1,217,162 
 2,312,000   People’s Insurance Company Group of China Ltd., H Shares   890,096 
 3,712   Samsung Fire & Marine Insurance Company Ltd.   708,142 
 28,200   Sompo Holdings, Inc.   1,246,708 
 5,130   Swiss Re A.G.   535,224 
         9,463,930 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 93.5% (Continued)     
     LEISURE FACILITIES & SERVICES - 0.5%     
 8,985   Restaurant Brands International, Inc.  $687,892 
           
     MACHINERY - 1.8%     
 4,000   Keyence Corporation   1,794,918 
 29,300   Yokogawa Electric Corporation   550,207 
         2,345,125 
     MEDICAL EQUIPMENT & DEVICES - 1.0%     
 934   Alcon, Inc.   79,470 
 2,390   Alcon, Inc.   202,959 
 4,800   Hoya Corporation   558,990 
 7,600   Shimadzu Corporation   230,812 
 13,130   Smith & Nephew plc   199,762 
         1,271,993 
     METALS & MINING - 1.8%     
 67,500   China Shenhua Energy Company Ltd.   268,561 
 17,000   China Shenhua Energy Company Ltd., H Shares   50,956 
 3,785   MMC Norilsk Nickel PJSC(a)(b)    
 1,994   Rio Tinto plc   131,809 
 17,172   Rio Tinto plc - ADR(c)   1,142,796 
 362,000   Shanxi Coal International Energy Group Company   739,911 
         2,334,033 
     OIL & GAS PRODUCERS - 16.0%     
 73,743   BP plc - ADR   2,750,614 
 105,666   BP PLC   655,651 
 991,900   China Petroleum & Chemical Corporation   862,023 
 1,214,000   China Petroleum & Chemical Corporation, H Shares   679,885 
 17,700   ENEOS Holdings, Inc.   64,216 
 25,103   Eni SpA - ADR(c)   769,407 
 13,665   Eni SpA   208,646 
 2,334   Equinor ASA - ADR(c)   71,607 
 6,389   Equinor ASA   195,436 
 87,530   Gazprom PJSC - ADR(a)(b)    
 247,390   Gazprom PJSC(a)(b)    
 57,600   Idemitsu Kosan Company Ltd.   1,216,296 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 93.5% (Continued)     
     OIL & GAS PRODUCERS - 16.0% (Continued)     
 37,200   Inpex Corporation  $480,321 
 486,725   KOC Holding A/S   2,439,418 
 24,250   LUKOIL PJSC(a)(b)    
 22,511   Motor Oil Hellas Corinth Refineries S.A.   568,972 
 9,000   OMV A.G.   405,533 
 2,062,700   PetroChina Company Ltd.   2,291,381 
 1,184,100   PetroChina Company Ltd., H Shares   868,227 
 126,800   Petroleo Brasileiro S.A.   933,449 
 3,417   Petroleo Brasileiro S.A.- A - ADR   45,104 
 21,279   Petroleo Brasileiro S.A. - ADR   312,376 
 60,434   Polski Koncern Naftowy ORLEN S.A.   1,077,486 
 11,600   PTT Exploration & Production PCL   54,175 
 9,462   Repsol S.A.   144,477 
 117,940   Rosneft Oil Company PJSC(a)(b)    
 31,418   Shell plc - ADR   1,936,291 
 76,652   Shell plc   2,358,154 
 6,830   Tatneft PJSC(a)(b)    
         21,389,145 
     OIL & GAS SERVICES & EQUIPMENT - 0.6%     
 1,256,700   CNOOC Energy Technology & Services Ltd.   547,235 
 606,300   Sinopec Oilfield Service Corporation-A(b)   184,260 
 1,708,000   Sinopec Oilfield Service Corporation-H(b)   129,356 
         860,851 
     PUBLISHING & BROADCASTING - 0.1%     
 68,800   Jiangsu Phoenix Publishing & Media Corp Ltd.   100,906 
           
     RETAIL - CONSUMER STAPLES - 1.3%     
 7,372   Dollarama, Inc.   485,630 
 70,700   Shanghai Bailian Group Company Ltd.   48,500 
 47,593   Woolworths Group Ltd.   1,235,819 
         1,769,949 
     RETAIL - DISCRETIONARY - 0.4%     
 3,842   Hennes & Mauritz A.B., Class B   64,620 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 93.5% (Continued)     
     RETAIL - DISCRETIONARY - 0.4% (Continued)     
 3,800   Nitori Holdings Company Ltd.  $465,307 
         529,927 
     SEMICONDUCTORS - 7.9%     
 17,000   ASE Technology Holding Company Ltd.   62,080 
 5,153   ASML Holding N.V.   3,691,357 
 1,312   ASML Holding N.V. - ADR   939,930 
 3,100   Lasertec Corporation   469,271 
 33,000   MediaTek, Inc.   724,514 
 281,400   MLS Company Ltd.   366,537 
 63,000   Novatek Microelectronics Corporation   850,049 
 55,000   Taiwan Semiconductor Manufacturing Company Ltd.   990,914 
 10,483   Taiwan Semiconductor Manufacturing Company Ltd. - ADR   1,039,389 
 10,000   Tokyo Electron Ltd.   1,500,828 
         10,634,869 
     SOFTWARE - 1.4%     
 108   Constellation Software, Inc.   228,191 
 1,442   Open Text Corporation   61,934 
 6,857   SAP S.E.   935,482 
 8,869   Shopify, Inc., Class A(b)   599,367 
         1,824,974 
     SPECIALTY FINANCE - 1.1%     
 49,600   ORIX Corporation   954,106 
 20,481   Samsung Card Company Ltd.   456,818 
         1,410,924 
     STEEL - 0.5%     
 17,800   Mitsui & Company Ltd.   694,716 
           
     TECHNOLOGY HARDWARE - 4.2%     
 70,300   Anker Innovations Technology Company Ltd.   799,837 
 10,100   Brother Industries Ltd.   157,434 
 74,000   BYD Electronic International Company Ltd.   285,682 
 12,000   Canon, Inc.   310,136 
 103,000   Chicony Electronics Company Ltd.   342,341 
 5,400   FUJIFILM Holdings Corporation   313,546 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 93.5% (Continued)     
     TECHNOLOGY HARDWARE - 4.2% (Continued)     
 296,425   Hisense Visual Technology Company Ltd.  $897,748 
 28,000   Inventec Corporation   56,828 
 2,200   Kyocera Corporation   118,383 
 84,000   Lenovo Group Ltd.   96,700 
 538   LG Electronics, Inc.   45,705 
 5,466   Logitech International S.A.   379,231 
 27,000   Micro-Star International Company Ltd.   167,089 
 25,050   Samsung Electronics Company Ltd.   1,368,859 
 5,292   Shenzhen Transsion Holdings Company Ltd.   90,947 
 35,200   ZTE Corporation, H Shares   128,826 
         5,559,292 
     TECHNOLOGY SERVICES - 2.7%     
 11,851   Experian plc   458,024 
 7,000   Fujitsu Ltd.   906,403 
 2,800   Nomura Research Institute Ltd.   79,560 
 27,000   NTT Data Corporation   375,592 
 13,825   RELX plc - ADR   465,350 
 1,870   Thomson Reuters Corporation(c)   252,927 
 7,689   Wolters Kluwer N.V.   965,666 
         3,503,522 
     TELECOMMUNICATIONS - 4.2%     
 2,583,200   China United Network Communications Ltd.   1,869,569 
 137,923   Deutsche Telekom A.G.   3,007,237 
 154,974   Telefonica S.A.   660,384 
 7,402   Telenor ASA   79,240 
         5,616,430 
     TRANSPORTATION & LOGISTICS - 4.9%     
 211   AP Moller - Maersk A/S - Series A   424,260 
 467,960   COSCO SHIPPING Holdings Company Ltd., Class A   663,723 
 2,888   Deutsche Post A.G.   148,527 
 5,900   Japan Airlines Company Ltd.   127,735 
 20,000   Mitsui OSK Lines Ltd.   517,022 
 8,500   Nippon Express Holdings Company Ltd.   498,351 
 21,300   Nippon Yusen KK   518,133 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 93.5% (Continued)     
     TRANSPORTATION & LOGISTICS - 4.9% (Continued)     
 342,900   TangShan Port Group Company Ltd.  $178,542 
 391,593   Turk Hava Yollari AO(b)   3,404,851 
         6,481,144 
     TRANSPORTATION EQUIPMENT - 0.1%     
 2,442   Daimler Truck Holding A.G.   91,660 
 39,196   Sinotruk Jinan Truck Company Ltd.   98,084 
         189,744 
     WHOLESALE - CONSUMER STAPLES - 1.1%     
 38,800   Marubeni Corporation   686,935 
 13,900   Mitsubishi Corporation   711,194 
         1,398,129 
     WHOLESALE - DISCRETIONARY - 1.0%     
 21,700   Toyota Tsusho Corporation   1,269,526 
           
     TOTAL COMMON STOCKS (Cost $115,382,747)   124,200,874 
           
     EXCHANGE-TRADED FUNDS — 1.0%     
     EQUITY - 1.0%     
 13,599   Global X MSCI Argentina ETF   636,841 
 8,883   iShares MSCI EAFE ETF(c)   661,428 
         1,298,269 
           
     TOTAL EXCHANGE-TRADED FUNDS (Cost $960,257)   1,298,269 
           
     PREFERRED STOCKS — 4.3%     
     AUTOMOTIVE — 1.4%     
 5,604   Hyundai Motor Company   456,001 
 11,130   Volkswagen A.G.   1,474,623 
         1,930,624 

 

 

DUNHAM INTERNATIONAL STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     INSTITUTIONAL FINANCIAL SERVICES — 0.2%     
 110,420   Mirae Asset Securities Company Ltd.  $306,857 
           
     INSURANCE — 0.4%     
 3,206   Samsung Fire & Marine Insurance Company Ltd.   434,683 
           
     OIL & GAS PRODUCERS — 1.6%     
 334,600   Petroleo Brasileiro S.A.   2,202,079 
           
     TECHNOLOGY HARDWARE — 0.7%     
 19,632   Samsung Electronics Company Ltd.   882,503 
           
     TOTAL PREFERRED STOCKS (Cost $6,013,295)   5,756,746 
           
     SHORT-TERM INVESTMENTS — 2.5%     
     COLLATERAL FOR SECURITIES LOANED - 2.2%     
 2,938,671   Mount Vernon Liquid Assets Portfolio, LLC, 5.47% (Cost $2,938,671)(e)(f)   2,938,671 
           
     MONEY MARKET FUNDS - 0.3%     
 326,599   Fidelity Government Portfolio, CLASS I, 5.03% (Cost $326,599)(e)   326,599 
           
     TOTAL SHORT-TERM INVESTMENTS (Cost $3,265,270)   3,265,270 
           
     TOTAL INVESTMENTS - 101.3% (Cost $125,621,569)  $134,521,159 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (1.3)%   (1,677,022)
     NET ASSETS - 100.0%  $132,844,137 
           
ADR - American Depositary Receipt
   
A/S - Anonim Sirketi
   
EAFE - Europe, Australasia and Far East
   
ETF - Exchange-Traded Fund
   
LLC - Limited Liability Company
   
LTD - Limited Company
   
MSCI - Morgan Stanley Capital International
   
NV - Naamioze Vennootschap
   
PJSC - Public Joint-Stock Company
   
PLC - Public Limited Company
   
S/A - Société Anonyme

 

(a) Level 3 securities fair value under procedures established by the Board of Trustees, represents 0.00% of net assets. The total value of these securities are $0.
   
(b) Non-income producing security.
   
(c) All or a portion of these securities are on loan. Total loaned securities had a value of $2,887,837 at July 31, 2023.
   
(d) Percentage rounds to less than 0.1%.
   
(e) Rate disclosed is the seven day effective yield as of July 31, 2023.
   
(f) The Trust’s securities lending policies and procedures require that the borrower: deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM DYNAMIC MACRO FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023

 

Shares            Fair Value 
     EXCHANGE-TRADED FUNDS — 42.1%           
     COMMODITY - 0.1%           
 1,267   iShares GSCI Commodity Dynamic        $36,021 
                 
     EQUITY - 42.0%           
 81,300   Franklin FTSE Japan ETF         2,257,701 
 107,700   Franklin FTSE United Kingdom ETF         2,716,194 
 29,800   Invesco Nasdaq 100 ETF         4,706,314 
 55,100   SPDR EURO STOXX 50 ETF         2,591,353 
 12,843   SPDR S&P 500 ETF Trust         5,879,397 
               18,150,959 
                 
     TOTAL EXCHANGE-TRADED FUNDS (Cost $14,037,672)         18,186,980 
                 
Principal      Coupon Rate        
Amount ($)      (%)  Maturity     
     NON U.S. GOVERNMENT & AGENCIES — 4.4%           
     SUPRANATIONAL — 4.4%           
 1,000,000   Inter-American Development Bank  2.6250  01/16/24   986,529 
 1,000,000   International Bank for Reconstruction & Development  0.3750  07/28/25   914,414 
               1,900,943 
     TOTAL NON U.S. GOVERNMENT & AGENCIES (Cost $1,915,054)         1,900,943 
                 
     U.S. GOVERNMENT & AGENCIES — 29.3%           
     U.S. TREASURY NOTES — 29.3%           
 1,200,000   United States Treasury Note  0.1250  09/15/23   1,192,507 
 1,000,000   United States Treasury Note  0.3750  10/31/23   987,786 
 1,500,000   United States Treasury Note  2.5000  05/15/24   1,466,306 
 1,500,000   United States Treasury Note  0.3750  07/15/24   1,431,219 
 1,000,000   United States Treasury Note  1.5000  09/30/24   957,344 
 5,000,000   United States Treasury Note  1.0000  12/15/24   4,722,363 
 2,000,000   United States Treasury Note  1.1250  02/28/25   1,879,883 
     TOTAL U.S. GOVERNMENT & AGENCIES (Cost $12,683,624)         12,637,408 

 

 

DUNHAM DYNAMIC MACRO FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

       Discount Rate       
Shares      (%)  Maturity  Fair Value 
     SHORT-TERM INVESTMENTS — 20.7%           
     MONEY MARKET FUNDS - 10.6%           
 4,587,542   Morgan Stanley Institutional Liquidity Fund, Institutional Class, 5.07% (Cost $4,587,542)(b)        $4,587,542 
                 
Principal               
Amount ($)               
     U.S. TREASURY BILLS — 10.1%           
 4,500,000   United States Treasury Bill (Cost $4,373,285)(a)  5.1053  02/22/24   4,368,537 
     TOTAL SHORT-TERM INVESTMENTS (Cost $8,960,827)         8,956,079 
                 
     TOTAL INVESTMENTS - 96.5% (Cost $37,597,177)        $41,681,410 
     OTHER ASSETS IN EXCESS OF LIABILITIES- 3.5%         1,503,507 
     NET ASSETS - 100.0%        $43,184,917 

 

OPEN FUTURES CONTRACTS

Number of             Value and Unrealized 
Contracts   Open Long Futures Contracts  Expiration  Notional Amount(c)   Appreciation 
 5   CME E-Mini NASDAQ 100 Index Future  09/15/2023  $1,585,750   $111,950 
 2   CME E-Mini Standard & Poor’s 500 Index Futures  09/15/2023   461,450    26,570 
 77   Eurex EURO STOXX 50 Future  09/15/2023   3,806,818    125,296 
 36   FTSE 100 Index Future  09/15/2023   3,552,641    45,391 
 63   TSE TOPIX (Tokyo Price Index) Future  09/07/2023   10,304,493    548,828 
     TOTAL FUTURES CONTRACTS          $858,035 
                   
OPEN FUTURES CONTRACTS             
Number of             Value and Unrealized 
Contracts   Open Short Futures Contracts  Expiration  Notional Amount(c)   Appreciation (Depreciation) 
 51   CBOT 10 Year US Treasury Note  09/20/2023  $5,681,719   $79,080 
 7   Eurex 10 Year Euro BUND Future  09/07/2023   1,023,752    (1,812)
 3   Euro-BTP Italian Bond Futures  09/07/2023   382,670    (2,066)
 17   French Government Bond Futures  09/07/2023   2,384,187    13,486 
 15   Long Gilt Future  09/27/2023   1,850,671    (19,950)
     TOTAL FUTURES CONTRACTS          $68,738 

 

 

DUNHAM DYNAMIC MACRO FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023

 

                 Unrealized 
Foreign Currency  Settlement Date  Counterparty  Local Currency   U.S. Dollar Value   Appreciation 
To Sell:                     
British Pound  09/21/2023  US Bank   1,940,000   $2,490,436   $49,301 
Euro  09/21/2023  US Bank   2,200,000    2,425,313    53,746 
Japanese Yen  09/21/2023  US Bank   290,000,000    2,054,968    54,528 
              $6,970,717   $157,575 
                      
Total                  $157,575 

 

ETF - Exchange-Traded Fund
   
SPDR - Standard & Poor’s Depositary Receipt

 

(a)Zero coupon bond.

 

(b)Rate disclosed is the seven day effective yield as of July 31, 2023.

 

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

 

 

DUNHAM LONG/SHORT CREDIT FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023

 

Shares               Fair Value 
     COMMON STOCKS — 0.0%(a)              
     TELECOMMUNICATIONS - 0.0%(a)              
 10,000   NII Holdings, Inc. 144A(b),(c)           $5,700 
                    
     TOTAL COMMON STOCKS (Cost $57,730)            5,700 
                    
Principal         Coupon Rate        
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 54.5%              
     ASSET MANAGEMENT — 2.3%              
 3,440,000   CI Financial Corporation     4.1000  06/15/51   2,105,527 
 2,780,000   PennantPark Investment Corporation     4.0000  11/01/26   2,437,262 
                  4,542,789 
     AUTOMOTIVE — 1.9%              
 1,885,000   Ford Motor Credit Company, LLC(d)     3.3700  11/17/23   1,867,783 
 2,065,000   Hyundai Capital America(c)     1.0000  09/17/24   1,952,540 
                  3,820,323 
     BANKING — 19.6%              
 2,510,000   Bank of America Corporation(e)  SOFRRATE + 0.670%  1.8430  02/04/25   2,458,885 
 7,265,000   BPCE S.A.(c),(e)  SOFRRATE + 2.100%  5.9750  01/18/27   7,239,637 
 1,210,000   Danske Bank A/S(c),(e)  H15T1Y + 2.100%  6.4660  01/09/26   1,214,697 
 3,545,000   HSBC Holdings plc(f)  SOFRRATE + 1.430%  6.5030  03/10/26   3,568,221 
 2,005,000   JPMorgan Chase & Company(f)  ICE LIBOR USD 3 Month + 0.550%  5.8490  02/01/27   1,871,296 
 3,260,000   KeyCorp Capital II     6.8750  03/17/29   2,979,360 
 1,080,000   Lloyds Banking Group plc(e)  H15T1Y + 3.500%  3.8700  07/09/25   1,056,839 
 950,000   Mitsubishi UFJ Financial Group, Inc.(e)  H15T1Y + 1.080%  5.7190  02/20/26   947,276 
 3,550,000   NatWest Group plc(e)  H15T1Y + 2.850%  7.4720  11/10/26   3,662,421 
 4,110,000   Societe Generale S.A.(c)     7.3670  01/10/53   4,107,486 
 4,735,000   Synchrony Bank     5.4000  08/22/25   4,558,719 
 5,145,000   Wells Fargo & Company(f)  US0003M + 0.500%  6.0700  01/15/27   4,911,032 
 795,000   Wells Fargo & Company     5.9500  12/01/86   787,467 
                  39,363,336 
     CHEMICALS — 2.5%              
 4,970,000   Celanese US Holdings, LLC     5.9000  07/05/24   4,962,310 

 

 

DUNHAM LONG/SHORT CREDIT FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)      Spread  (%)  Maturity  Fair Value 
     CORPORATE BONDS — 54.5% (Continued)              
     CONSUMER SERVICES — 2.2%              
 2,300,000   Grand Canyon University     4.1250  10/01/24  $2,176,950 
 2,300,000   Grand Canyon University     5.1250  10/01/28   2,126,741 
                  4,303,691 
     ELECTRIC UTILITIES — 6.8%              
 3,310,000   American Electric Power Company, Inc.     2.0310  03/15/24   3,231,290 
 3,465,000   American Electric Power Company, Inc.     5.6990  08/15/25   3,457,163 
 2,785,000   Pacific Gas and Electric Company     1.7000  11/15/23   2,750,380 
 4,397,000   Vistra Operations Company, LLC(c)     4.8750  05/13/24   4,335,720 
                  13,774,553 
     FOOD — 2.7%              
 5,470,000   JBS USA LUX S.A. / JBS USA Food Company / JBS USA(c),(d)     6.5000  12/01/52   5,361,230 
                    
     INSTITUTIONAL FINANCIAL SERVICES — 4.1%              
 3,515,000   Credit Suisse Group A.G.(c),(e)  SOFRRATE + 3.340%  6.3730  07/15/26   3,519,983 
 4,185,000   Credit Suisse Group A.G.(c),(e)  USSW5 + 4.598%  7.5000  06/11/70   251,100 
 2,485,000   Goldman Sachs Capital I     6.3450  02/15/34   2,499,417 
 2,050,000   Goldman Sachs Group, Inc. (The)(f)  SOFRRATE + 0.490%  5.6300  10/21/24   2,046,275 
                  8,316,775 
     INSURANCE — 2.7%              
 2,155,000   Mutual of Omaha Insurance Company(c),(e)  ICE LIBOR USD 3 Month + 2.640%  4.2970  07/15/54   2,098,171 
 2,285,000   Ohio National Financial Services, Inc.(c)     5.8000  01/24/30   2,126,219 
 1,000,000   Pacific Life Insurance Company(c)     9.2500  06/15/39   1,286,778 
                  5,511,168 
     LEISURE FACILITIES & SERVICES — 0.8%              
 1,600,000   Mohegan Tribal Gaming Authority(c)     13.2500  12/15/27   1,700,731 
                    
     OIL & GAS PRODUCERS — 4.3%              
 2,135,000   Earthstone Energy Holdings, LLC(c),(d)     8.0000  04/15/27   2,114,755 
 2,525,000   Energean Israel Finance Ltd.     5.8750  03/30/31   2,214,551 
 845,000   Rockcliff Energy II, LLC(c)     5.5000  10/15/29   774,618 
 2,230,000   Saudi Arabian Oil Company(c)     1.2500  11/24/23   2,196,847 

 

 

DUNHAM LONG/SHORT CREDIT FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Principal         Coupon Rate       
Amount ($)         (%)  Maturity  Fair Value 
     CORPORATE BONDS — 54.5% (Continued)              
     OIL & GAS PRODUCERS — 4.3% (Continued)              
 1,725,000   Tullow Oil plc(c)     10.2500  05/15/26  $1,404,495 
                 $8,705,266 
     SPECIALTY FINANCE — 3.1%              
 5,150,000   AerCap Ireland Capital DAC / AerCap Global     1.1500  10/29/23   5,086,999 
 1,195,000   Antares Holdings, L.P.(c)     6.0000  08/15/23   1,194,040 
                  6,281,039 
     TELECOMMUNICATIONS — 1.5%              
 2,150,000   Sprint Corporation     7.1250  06/15/24   2,172,142 
 883,500   Sprint Spectrum Company, LLC / Sprint Spectrum(c)     5.1520  03/20/28   874,185 
                  3,046,327 
     TOTAL CORPORATE BONDS (Cost $116,679,187)            109,689,538 
                    
Principal         Coupon Rate        
Amount ($)      Spread  (%)  Maturity  Fair Value 
     TERM LOANS — 0.9%              
     FOOD — 0.9%              
 1,965,125   Del Monte Foods, Inc.(f)  SOFRRATE -– %  9.4390  05/16/29   1,908,225 
                    
     TOTAL TERM LOANS (Cost $1,945,717)            1,908,225 
                    
Principal         Coupon Rate        
Amount ($)         (%)  Maturity  Fair Value 
     U.S. GOVERNMENT & AGENCIES — 41.4%              
     U.S. TREASURY BILLS — 41.4%              
 29,000,000   United States Treasury Bill B(g)       10/26/23   28,635,645 
 18,275,000   United States Treasury Bill(g)       11/16/23   17,988,693 
 20,690,000   United States Treasury Bill(g)       12/14/23   20,281,696 
 220,000   United States Treasury Note     4.0000  06/30/28   218,118 
 3,045,000   United States Treasury Note     4.1250  07/31/28   3,037,744 
 3,310,000   United States Treasury Note     4.0000  07/31/30   3,295,002 
 6,610,000   United States Treasury Note     3.3750  05/15/33   6,300,673 
 3,915,000   United States Treasury Note     3.6250  02/15/53   3,644,926 
                  83,402,497 
     TOTAL U.S. GOVERNMENT & AGENCIES (Cost$83,667,475)            83,402,497 

 

 

DUNHAM LONG/SHORT CREDIT FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023

 

Shares      Fair Value 
     SHORT-TERM INVESTMENTS — 6.2%     
     COLLATERAL FOR SECURITIES LOANED - 3.2%     
 6,449,530   Mount Vernon Liquid Assets Portfolio, LLC, 5.47%(h)  $6,449,530 
           
     MONEY MARKET FUND - 3.0%     
 6,010,983   First American Government Obligations Fund Class X, 5.05% (h)   6,010,983 
           
     TOTAL SHORT-TERM INVESTMENTS (Cost $12,460,513)   12,460,513 
           
     TOTAL INVESTMENTS - 103.0% (Cost $214,810,622)  $207,466,473 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (3.0)%   (6,018,613)
     NET ASSETS - 100.0%  $201,447,860 

 

OPEN FUTURES CONTRACTS

Number of             Value and Unrealized 
Contracts   Open Short Futures Contracts  Expiration  Notional Amount(i)   Appreciation 
 72   CBOT 10 Year US Treasury Note  09/20/2023  $8,021,250   $204,076 
 33   CBOT 5 Year US Treasury Note  09/29/2023   3,525,070    77,897 
 22   CBOT US Treasure Bond Futures  09/20/2023   2,737,625    58,952 
 96   Ultra 10-Year US Treasury Note Futures  09/20/2023   11,230,501    240,138 
 79   Ultra U.S. Treasury Bond Futures  09/20/2023   10,445,281    187,471 
     TOTAL FUTURES CONTRACTS          $768,534 

 

 

DUNHAM LONG/SHORT CREDIT FUND
SCHEDULE OF FUTURES CONTRACTS
July 31, 2023 (Unaudited)

 

CREDIT DEFAULT SWAP AGREEMENTS

Description and Payment
Frequency
  Payment
Frequency
  Counterparty  Fixed Deal
(Pay)Rate
  Implied
Credit
Spread
  Maturity Date  Notional Value   Fair Value(l)   Amortized Upfront
Payments Paid/
(Received)
   Unrealized
Appreciation/
(Depreciation)
 
CDX.NA.HY SERIES 40  To Buy
Monthly
  HSBC Securities  5.00%  (39.10)  6/20/2028  $17,000,000    (602,814)   (49,934)   (558,880)
CDX.NA.IG SERIES 40  To Buy
Monthly
  JP Morgan  1.00%  81.69  6/20/2028   41,000,000    (660,208)   (336,647)   (323,561)
DARDEN RESTAURANTS INC  To Buy
Monthly
  Barclays  1.00%    6/20/2027   7,000,000    (143,401)   (18,113)   (128,288)
DR HORTON INC  To Buy
Monthly
  US Bank  1.00%    12/20/2027   3,500,000    (70,464)   59,590    (130,054)
OMNICOM GROUP  To Buy
Monthly
  Barclays  1.00%    6/20/2028   5,000,000    (111,723)   (103,903)   (7,820)
THE WALT DISNEY COMPANY  To Buy
Monthly
  Barclays  1.00%    6/20/2028   5,000,000    97,545    103,903    (6,358)
UNITED STATES STEEL CORP  To Buy
Monthly
  Barclays  5.00%    12/20/2027   2,800,000    (165,407)   (69,141)   (96,266)
VERIZON COMMUNICATIONS INC (k)  To Buy
Monthly
  Barclays  1.00%    6/20/2027   7,000,000    27,730    3,260    24,470 
TOTAL                      $(1,628,742)  $(410,985)  $1,223,757 

 

TOTAL RETURN SWAPS

Description  Frequency  Counterparty  Notional Value   Variable Rate
Premium Paid
  Premium Paid   Maturity Date  Unrealized
Depreciation
 
Markit IBoxx US Dollar Liquid High Yield Index  At Maturity  Barclays  $14,000,000   1D SOFRRATE  $166,826   9/20/2023  $(351,226)

 

A/S - Anonim Sirketi
   
LLC - Limited Liability
   
Company LP - Limited Partnership
   
LTD - Limited Company
   
PLC - Public Limited Company
   
S/A - Société Anonyme

 

H15T1Y US Treasury Yield Curve Rate T Note Constant Maturity 1 Year
   
SOFRRATE United States SOFR Secured Overnight Financing Rate
   
US0003M ICE LIBOR USD 3 Month
   
USSW5 USD SWAP SEMI 30/360 5YR

 

(a)Percentage rounds to less than 0.1%.

 

(b)Non-income producing security.

 

(c)Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers. As of July 31, 2023 the total market value of 144A securities is 43,758,932 or 21.7% of net assets. (d) All or a portion of these securities are on loan. Total loaned securities had a value of $6,316,460 at July 31, 2023.

 

(e)Variable rate security; the rate shown represents the rate on July 31, 2023.

 

(f)Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets.

 

(g)Zero coupon bond.

 

(h)Rate disclosed is the seven day effective yield as of July 31, 2023.

 

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

 

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

 

(k)If the Fund is a seller of protection and if a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising of the referenced index.

 

(l)The prices and resulting values for credit default swap agreements serve as indicators of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative should the notional amount of the swap agreement be closed/sold as of the period end. Increasing values, in absolute terms when compared to the notional amount of the swap, represent a deterioration of the underlying referenced instrument’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

 

 

DUNHAM MONTHLY DISTRIBUTION FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023
 
Shares      Fair Value 
     CLOSED END FUNDS — 2.9%     
     EQUITY - 2.9%     
 2,468,782   Altaba, Inc. (i)  $5,678,199 
           
     TOTAL CLOSED END FUNDS (Cost $22,837,384)   5,678,199 
           
Shares      Fair Value 
     COMMON STOCKS — 80.8%     
     AEROSPACE & DEFENSE - 3.1%     
 43,432   HEICO Corporation, Class A   6,095,681 
           
     ASSET MANAGEMENT - 2.2%     
 658,933   Canaccord Genuity Group, Inc.   4,147,815 
 469,792   Pershing Square Tontine Holdings Ltd.(a)   46,979 
         4,194,794 
           
     BIOTECH & PHARMA - 6.1%     
 66,706   Horizon Therapeutics plc(a)   6,688,612 
 25,348   Seagen, Inc.(a),(b)   4,861,239 
         11,549,851 
     CABLE & SATELLITE - 8.1%     
 105,691   Liberty Broadband Corporation - Series C(a)   9,420,239 
 335,012   Liberty Global plc, Class A(a)   6,221,173 
         15,641,412 
     CHEMICALS - 3.0%     
 160,320   Univar Solutions, Inc.(a)   5,793,964 
           
     ELECTRIC UTILITIES - 8.3%     
 969,430   Origin Energy Ltd.   5,514,858 
 237,084   PNM Resources, Inc.(b)   10,626,105 
         16,140,963 
     ELECTRICAL EQUIPMENT - 5.1%     
 53,346   National Instruments Corporation   3,147,414 
 205,795   Toshiba Corporation   6,638,082 
         9,785,496 

 

 

DUNHAM MONTHLY DISTRIBUTION FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 80.8% (Continued)     
     ENTERTAINMENT CONTENT - 7.9%     
 162,996   Activision Blizzard, Inc.  $15,119,509 
           
     HEALTH CARE FACILITIES & SERVICES - 4.1%     
 43,519   Amedisys, Inc.(a)   3,953,266 
 91,956   Syneos Health, Inc.(a)   3,899,854 
         7,853,120 
     INDUSTRIAL SUPPORT SERVICES - 4.0%     
 92,627   Triton International Ltd.   7,809,382 
           
     INSURANCE - 1.7%     
 63,380   American Equity Investment Life Holding Company   3,401,605 
           
     LEISURE FACILITIES & SERVICES - 0.0%(c)     
    Atlanta Braves Holdings, Inc.(a)    
           
     MACHINERY - 0.0%(c)     
    Xylem, Inc.    
           
     MEDICAL EQUIPMENT & DEVICES - 2.3%     
 34,956   ABIOMED, Inc. - CVR(a)   61,173 
 74,000   Globus Medical, Inc., Class A(a)   4,459,980 
         4,521,153 
     METALS & MINING - 1.0%     
 111,561   Newcrest Mining Ltd.   1,978,861 
           
     OIL & GAS PRODUCERS - 7.3%     
 84,102   Columbia Pipeline Group, Inc.(a)    
 66,635   Denbury, Inc.(a)   5,857,883 
 110,672   PDC Energy, Inc.(b)   8,398,898 
         14,256,781 
     PUBLISHING & BROADCASTING - 3.5%     
 42,533   Liberty Media Corp-Liberty Formula One - Series A(a)   2,734,021 
 237,846   TEGNA, Inc.(b)(g)   4,019,598 
         6,753,619 

 

 

DUNHAM MONTHLY DISTRIBUTION FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 80.8% (Continued)     
     RETAIL - CONSUMER STAPLES - 2.5%     
 223,028   Albertsons Companies, Inc., Class A  $4,846,398 
           
     RETAIL - DISCRETIONARY - 0.2%     
 71,634   Sportsman’s Warehouse Holdings, Inc.(a),(b)(g)   451,294 
           
     SELF-STORAGE REIT - 0.0%(c)     
    Extra Space Storage, Inc.    
           
     SEMICONDUCTORS - 3.9%     
 200,525   Tower Semiconductor Ltd.(a)   7,569,819 
           
     SOFTWARE - 5.0%     
 99,364   ForgeRock, Inc.(a),(b) (g)   2,051,867 
 49,165   VMware, Inc., Class A(a)   7,749,879 
         9,801,746 
     TELECOMMUNICATIONS - 0.0%(c)     
 205,893   NII Holdings, Inc. 144A(a),(d), (i)   72,063 
           
     TRANSPORTATION & LOGISTICS - 1.5%     
 1,025   American Airlines Group, Inc.(a)   17,169 
 155,000   Spirit Airlines, Inc.   2,836,500 
         2,853,669 
           
     TOTAL COMMON STOCKS (Cost $157,134,020)   156,491,180 
                       
Shares      Expiration Date  Exercise Price   Fair Value 
     RIGHT — 0.5%             
     FORESTRY, PAPER & WOOD PRODUCTS - 0.5%             
 532,221   Resolute Forest Products, Inc. - CVR(i)  12/20/2023  $20.50    1,064,442 
                   
     TOTAL RIGHT (Cost $798,332)           1,064,442 

 

 

DUNHAM MONTHLY DISTRIBUTION FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     SHORT-TERM INVESTMENTS — 11.7%     
     COLLATERAL FOR SECURITIES LOANED - 1.3%     
 2,527,045   Mount Vernon Liquid Assets Portfolio, LLC, 5.47%(e)(h)  $2,527,045 
           
     MONEY MARKET FUND - 10.4%     
 20,217,478   Fidelity Government Portfolio, CLASS I, 5.03% (e)   20,217,478 
     TOTAL SHORT-TERM INVESTMENTS (Cost $22,744,523)   22,744,523 
           
     TOTAL INVESTMENTS - 95.9% (Cost $203,514,259)  $185,978,344 
     SECURITIES SOLD SHORT – (26.7)% (Proceeds - $$47,711,703)   (51,971,109)
     CALL OPTIONS WRITTEN - (0.2)% (Proceeds - $584,282)   (414,463)
     OTHER ASSETS IN EXCESS OF LIABILITIES- 31.0%   60,060,157 
     NET ASSETS - 100.0%  $193,652,929 
                                   
Contracts(f)      Counterparty  Expiration
Date
  Exercise
Price
   Notional
Value
   Fair Value 
     WRITTEN EQUITY OPTIONS - (0.2)%                     
     CALL OPTIONS WRITTEN- (0.2)%                     
 395   Globus Medical, Inc.  Morgan Stanley  09/15/2023  $60   $2,380,665   $89,863 
 345   Globus Medical, Inc.  Morgan Stanley  09/15/2023   63    2,079,315    82,800 
 1,550   Spirit Airlines, Inc.  Morgan Stanley  09/15/2023   18    2,836,500    241,800 
     TOTAL CALL OPTIONS WRITTEN (Proceeds - $584,282)         414,463 
                           
     TOTAL EQUITY OPTIONS WRITTEN (Proceeds - $584,282)        $414,463 
                           
LLC - Limited Liability Company
   
LTD - Limited Company
   
PLC - Public Limited Company
   
REIT - Real Estate Investment Trust

 

(a) Non-income producing security.
   
(b) Restricted security.
   
(c) Percentage rounds to less than 0.1%.
   
(d) Security exempt from registration under Rule 144A or Section 4(2) of the Securities Act of 1933. The security may be resold in transactions exempt from registration, normally to qualified institutional buyers. As of July 31, 2023 the total market value of 144A securities is 72,063 or 0.0% of net assets.
   
(e) Rate disclosed is the seven day effective yield as of July 31, 2023.
   
(f) Each option contract allows the holder of the option to purchase or sell 100 shares of the underlying security.
   
(g) All or a portion of these securities are on loan. Total loaned securities had a value of $2,472,854 at July 31, 2023.
   
(h) The Trust’s securities lending policies and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.
   
(i) Level 3 securities fair value under procedures established by the Board of Trustees, represents 3.54% of net assets. The total value of these securities is $6,814,704.

 

 

DUNHAM MONTHLY DISTRIBUTION FUND
SCHEDULE OF SECURITIES SOLD SHORT (Unaudited)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — (26.7)%     
     AEROSPACE & DEFENSE - (3.2)%     
 (35,017)  HEICO Corporation  $(6,162,291)
           
     ASSET MANAGEMENT - (0.5)%     
 (20,202)  Brookfield Infrastructure Corporation, Class A   (943,837)
           
     CABLE & SATELLITE - (8.8)%     
 (25,902)  Charter Communications, Inc., Class A   (10,495,232)
 (315,924)  Liberty Global plc - Series C   (6,242,658)
         (16,737,890)
     METALS & MINING - (1.3)%     
 (59,021)  Newmont Corporation   (2,533,181)
           
     OIL & GAS PRODUCERS - (7.6)%     
 (51,331)  Chevron Corporation   (8,400,832)
 (55,975)  Exxon Mobil Corporation   (6,002,759)
         (14,403,591)
     PUBLISHING & BROADCASTING - (1.4)%     
 (38,018)  Liberty Media Corp-Liberty Formula One - Series C   (2,760,107)
           
     SEMICONDUCTORS - (2.9)%     
 (6,135)  Broadcom, Inc.   (5,513,218)
           
     SOFTWARE - (1.0)%     
 (27,261)  Black Knight, Inc.   (1,916,994)
           
     TOTAL SECURITIES SOLD SHORT - (Proceeds - $47,711,703)  $(51,971,109)

 

 

DUNHAM MONTHLY DISTRIBUTION FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023 (Unaudited)
 
                 Unrealized 
Foreign Currency  Settlement Date  Counterparty  Local Currency   U.S. Dollar Value   Appreciation/
(Depreciation)
 
To Buy:                     
Canadian Dollar  08/14/2023  US Bank   132,509   $100,512   $2,077 
              $100,512   $2,077 
To Sell:                     
Australian Dollar  08/08/2023  US Bank   3,735,536   $2,509,511   $(8,863)
Canadian Dollar  08/08/2023  US Bank   1,030,439    781,554    (15,862)
Canadian Dollar  08/08/2023  US Bank   6,293,768    4,773,607    (136,478)
Canadian Dollar  08/14/2023  US Bank   132,509    100,512    (2,105)
Japanese Yen  09/07/2023  US Bank   950,772,900    6,723,838    158,270 
              $14,889,022   $(5,038)
Total                  $(2,961)

 

 

DUNHAM REAL ESTATE STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.9%     
     ASSET MANAGEMENT - 2.8%     
 601,726   FTAI Infrastructure, LLC(a)  $2,136,127 
           
     DATA CENTER REIT - 11.7%     
 27,818   Digital Realty Trust, Inc.(a)   3,466,679 
 6,676   Equinix, Inc.   5,407,026 
         8,873,705 
           
     FOOD - 2.0%     
 358,685   Cadiz, Inc.(a),(b)   1,484,956 
           
     GAMING REIT - 3.0%     
 71,112   VICI Properties, Inc.   2,238,606 
           
     HEALTH CARE REIT - 1.0%     
 33,073   Healthpeak Properties, Inc.   721,984 
           
     INDUSTRIAL REIT - 14.7%     
 57,685   Prologis, Inc.   7,196,203 
 71,419   Rexford Industrial Realty, Inc.   3,934,473 
         11,130,676 
     INFRASTRUCTURE REIT - 13.9%     
 32,331   American Tower Corporation, A   6,152,913 
 26,618   Crown Castle, Inc.   2,882,463 
 6,783   SBA Communications Corporation, A   1,485,138 
         10,520,514 
     LEISURE FACILITIES & SERVICES - 12.7%     
 51,654   Caesars Entertainment, Inc.(b)   3,048,618 
 28,015   Las Vegas Sands Corporation(a),(b)   1,675,577 
 46,436   MGM Resorts International   2,357,556 
 23,201   Wynn Resorts Ltd.   2,528,445 
         9,610,196 
     OFFICE REIT - 4.1%     
 24,555   Alexandria Real Estate Equities, Inc.(a)   3,086,072 

 

 

DUNHAM REAL ESTATE STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.9% (Continued)     
     REAL ESTATE OWNERS & DEVELOPERS - 0.4%     
 1,388,886   WeWork, Inc.(b)  $300,694 
           
     REAL ESTATE SERVICES - 2.1%     
 18,961   CBRE Group, Inc., Class A(b)   1,579,641 
           
     RESIDENTIAL REIT - 7.1%     
 33,316   American Homes 4 Rent, Class A   1,248,684 
 16,325   Equity LifeStyle Properties, Inc.(a)   1,162,014 
 39,327   Invitation Homes, Inc.(a)   1,396,109 
 12,871   Sun Communities, Inc.   1,677,091 
         5,483,898 
     SELF-STORAGE REIT - 5.3%     
 8,104   Extra Space Storage, Inc.   1,131,075 
 5,203   National Storage Affiliates Trust(a)   175,809 
 9,779   Public Storage   2,755,233 
         4,062,117 
     SELF-STORAGE REITS - 0.8%     
 13,855   CubeSmart(a)   600,753 
           
     SPECIALTY FINANCE - 4.0%     
 93,783   FTAI Aviation Ltd.   3,020,751 
           
     SPECIALTY REITS - 5.2%     
 52,856   Americold Realty Trust, Inc.   1,713,592 
 18,300   Iron Mountain, Inc.(a)   1,123,620 
 86,954   NewLake Capital Partners, Inc.   1,086,925 
         3,924,137 
     TECHNOLOGY SERVICES - 2.7%     
 24,669   CoStar Group, Inc.(b)   2,071,456 

 

 

DUNHAM REAL ESTATE STOCK FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
July 31, 2023
 
Shares      Fair Value 
     COMMON STOCKS — 98.9% (Continued)     
     TELECOMMUNICATIONS - 5.4%     
 255,156   DigitalBridge Group, Inc.(a)  $4,087,599 
           
     TOTAL COMMON STOCKS (Cost $66,204,389)   74,933,882 
           
Shares      Fair Value 
     SHORT-TERM INVESTMENTS — 26.5%     
     COLLATERAL FOR SECURITIES LOANED - 25.3%     
 19,151,012   Mount Vernon Liquid Assets Portfolio, LLC, 5.47% (c)(d)   19,151,012 
           
     MONEY MARKET FUND - 1.2%     
 892,208   Fidelity Government Portfolio, CLASS I, 5.03% (c)   892,208 
           
     TOTAL SHORT-TERM INVESTMENTS (Cost $20,043,220)   20,043,220 
           
     TOTAL INVESTMENTS - 125.4% (Cost $86,247,609)  $94,977,102 
     LIABILITIES IN EXCESS OF OTHER ASSETS - (25.4)%   (19,262,942)
     NET ASSETS - 100.0%  $75,714,160 
           
LLC - Limited Liability Company
   
LTD - Limited Company
   
REIT - Real Estate Investment Trust

 

(a) Non-income producing security.
   
(b) All or a portion of these securities are on loan. Total loaned securities had a value of $18,549,353 at July 31, 2023.
   
(c) Rate disclosed is the seven day effective yield as of July 31, 2023.
   
(d) The Trust’s securities lending policies and procedures require that the borrower: (i) deliver cash or U.S. Government securities as collateral with respect to each new loan of U.S. securities, equal to at least 102% of the value of the portfolio securities loaned, and (ii) at all times thereafter mark-to-market the collateral on a daily basis so that the market value of such collateral is at least 100% of the value of securities loaned. From time to time the collateral may not be 102% due to end of day market movement. The next business day additional collateral is obtained/received from the borrower to replenish/reestablish 102%.

 

 

DUNHAM U.S. ENHANCED MARKET FUND
SCHEDULE OF INVESTMENTS (Unaudited)
July 31, 2023
 
Principal      Coupon Rate       
Amount ($)      (%)  Maturity  Fair Value 
     U.S. GOVERNMENT & AGENCIES — 22.7%           
     U.S. TREASURY NOTES — 22.7%           
 20,000,000   United States Treasury Note  1.2500  09/30/28  $17,291,797 
                 
     TOTAL U.S. GOVERNMENT & AGENCIES (Cost $17,954,322)         17,291,797 
                 
Shares               
     SHORT-TERM INVESTMENTS — 41.3%           
     MONEY MARKET FUNDS - 9.6%           
 7,348,838   Fidelity Government Portfolio, CLASS I, 5.03% (Cost $7,348,838)(b)         7,348,838 
                 
Principal      Discount Rate        
Amount ($)      (%)        
     U.S. TREASURY BILLS — 31.7%           
 24,500,000   United States Treasury Bill (Cost $24,172,821)(a)  5.2303  11/02/23   24,165,405 
     TOTAL SHORT-TERM INVESTMENTS (Cost $31,521,659)         31,514,243 
                                 
Contracts(c)      Broker/
Counterparty
  Expiration
Date
  Exercise
Price
   Notional
Value
   Fair Value 
     FLEX OPTIONS PURCHASED - 35.6%               
     CALL OPTIONS PURCHASED - 35.6%               
 200   S&P 500 INDEX SPXW US  SOC  05/16/2028  $4,150   $83,000,000   $27,101,050 
     TOTAL CALL OPTIONS PURCHASED (Cost - $18,580,256)               
                           
     TOTAL FLEX OPTIONS PURCHASED (Cost - $18,580,256)             27,101,050 
                           
     TOTAL INVESTMENTS - 99.6% (Cost $68,056,237)            $75,907,090 
     OTHER ASSETS IN EXCESS OF LIABILITIES- 0.4%             313,345 
     NET ASSETS - 100.0%            $76,220,435 
                 
OPEN FUTURES CONTRACTS 
              Value and
Unrealized
 
Number of
Contracts
   Open Long Futures Contracts  Expiration  Notional
Amount(d)
   Appreciation
(Depreciation)
 
 35   CBOT 10 Year US Treasury Note  09/20/2023  $3,899,219   $(93,932)
 41   CBOT 2 Year US Treasury Note Future  09/29/2023   8,324,281    (114,964)
 248   CBOT 5 Year US Treasury Note  09/29/2023   26,491,437    (549,095)
 23   CBOT US Treasure Bond Futures  09/20/2023   2,862,063    (65,312)
 58   CME E-Mini Standard & Poor’s 500 Index Futures  09/15/2023   13,382,050    551,362 
     TOTAL FUTURES CONTRACTS          $(271,941)
                               
(a) Zero coupon bond.
 
(b) Rate disclosed is the seven day effective yield as of July 31, 2023.
 
(c) Each option contract allows the holder of the option to purchase or sell 100 shares of the underlying security.
 
(d) The amounts shown are the underlying reference notional amounts to stock exchange indices and equities upon which the fair value of the futures contracts held by the Fund are based. Notional values do not represent the current fair value of, and are not necessarily indicative of the future cash flows of the Fund’s futures contracts. Further, the underlying price changes in relation to the variables specified by the notional values affects the fair value of these derivative financial instruments. The notional values as set forth within this schedule do not purport to represent economic value at risk to the Fund.