NPORT-EX 2 hcmfundsnportex.htm HCM TACTICAL GROWTH FUND_NQ_9.30.23

 

HCM TACTICAL GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited)
September 30, 2023
 
Shares             Fair Value
    COMMON STOCKS — 4.2%      
    AUTOMOTIVE - 0.1%      
5,151   Tesla, Inc.(a)       $ 1,288,883
             
    BEVERAGES - 0.2%      
17,605   Brown-Forman Corporation, Class B         1,015,632
25,824   Monster Beverage Corporation(a)         1,367,380
             

2,383,012

    BIOTECH & PHARMA - 0.1%      
4,240   Amgen, Inc.         1,139,542
             
    CHEMICALS - 0.2%      
11,050   CF Industries Holdings, Inc.         947,427
3,870   New Linde plc         1,440,995
             

2,388,422

    E-COMMERCE DISCRETIONARY - 0.1%      
11,651   Amazon.com, Inc.(a)         1,481,075
             
    HEALTH CARE FACILITIES & SERVICES - 0.2%      
2,103   Humana, Inc.         1,023,152
2,110   UnitedHealth Group, Inc.         1,063,841
             

2,086,993

    HOUSEHOLD PRODUCTS - 0.1%      
8,624   Procter & Gamble Company (The)         1,257,897
             
    INFRASTRUCTURE REIT - 0.1%      
5,594   American Tower Corp., A         919,934
8,769   Crown Castle, Inc.         807,011
             

1,726,945

    INSURANCE - 0.1%      
9,233   Allstate Corporation (The)         1,028,649
             
    INTERNET MEDIA & SERVICES - 0.4%      
12,288   Alphabet, Inc., Class A(a)         1,608,008
11,824   Meta Platforms, Inc., Class A(a)         3,549,683
             

5,157,691

 
 

 

HCM TACTICAL GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2023
 
Shares             Fair Value
    COMMON STOCKS — 4.2% (Continued)      
    METALS & MINING - 0.1%      
36,501   Freeport-McMoRan, Inc.       $ 1,361,122
             
    OIL & GAS PRODUCERS - 0.5%      
6,500   Chevron Corporation         1,096,030
15,352   Devon Energy Corporation         732,290
8,890   EOG Resources, Inc.         1,126,896
10,550   Exxon Mobil Corporation         1,240,469
11,250   Phillips 66         1,351,688
             

5,547,373

    RETAIL - DISCRETIONARY - 0.3%      
457   AutoZone, Inc.(a)         1,160,775
6,558   Genuine Parts Company         946,844
1,400   O'Reilly Automotive, Inc.(a)         1,272,404
             

3,380,023

    SELF-STORAGE REIT - 0.1%      
6,704   Extra Space Storage, Inc.         815,072
             
    SEMICONDUCTORS - 0.9%      
19,502   Advanced Micro Devices, Inc.(a)         2,005,196
2,462   Broadcom, Inc.         2,044,888
3,842   KLA Corporation         1,762,172
8,896   NVIDIA Corporation         3,869,671
10,156   QUALCOMM, Inc.         1,127,925
             

10,809,852

    SOFTWARE - 0.1%      
5,200   Microsoft Corporation         1,641,900
             
    SPECIALTY FINANCE - 0.1%      
8,137   American Express Co.         1,213,959
             
    TECHNOLOGY HARDWARE - 0.3%      
8,056   Apple, Inc.         1,379,268
26,579   Cisco Systems, Inc.         1,428,887
 
 

 

HCM TACTICAL GROWTH FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2023
 
Shares             Fair Value
    COMMON STOCKS — 4.2% (Continued)      
    TECHNOLOGY HARDWARE - 0.3% (Continued)      
13,618   Garmin Ltd.       $ 1,432,613
             

4,240,768

    TECHNOLOGY SERVICES - 0.1%      
13,587   PayPal Holdings, Inc.(a)         794,296
             
    TOBACCO & CANNABIS - 0.1%      
13,170   Philip Morris International, Inc.         1,219,279
             
    TOTAL COMMON STOCKS (Cost $43,968,973)    

  50,962,753

               
    EXCHANGE-TRADED FUNDS - 95.0%      
    EQUITY - 95.0%      
283,000   Direxion Daily S&P 500 Bull 2X Shares         23,981,647
645,580   Invesco QQQ Trust Series 1         231,291,947
5,169,145   ProShares Ultra QQQ         306,788,755
4,365,692   ProShares Ultra S&P500         233,040,639
328,000   ProShares Ultra Semiconductors         12,631,280
732,756   ProShares Ultra Technology(a)         28,709,380
294,900   Vanguard Growth ETF         80,304,219
963,657   Vanguard Mega Cap Growth ETF         218,653,773
    TOTAL EXCHANGE-TRADED FUNDS (Cost $932,761,753)  

1,135,401,640

               
    TOTAL INVESTMENTS - 99.2% (Cost $976,730,726)     $ 1,186,364,393
    OTHER ASSETS IN EXCESS OF LIABILITIES - 0.8%    

9,330,759

    NET ASSETS - 100.0%        

$ 1,195,695,152

           
 

 

 

 

ETF  - Exchange-Traded Fund
LTD  - Limited Company
PLC  - Public Limited Company
REIT  - Real Estate Investment Trust
(a) Non-income producing security.
 

 

 

 
 

 

 

HCM DIVIDEND SECTOR PLUS FUND
SCHEDULE OF INVESTMENTS (Unaudited)
September 30, 2023
 
Shares             Fair Value
    COMMON STOCKS — 12.0%      
    AUTOMOTIVE - 0.2%      
87,675   General Motors Company       $ 2,890,645
             
    BANKING - 0.5%      
23,573   JPMorgan Chase & Company         3,418,556
26,062   M&T Bank Corporation         3,295,540
             

6,714,096

    BIOTECH & PHARMA - 0.8%      
18,817   Moderna, Inc.(a)         1,943,608
126,444   Organon & Company         2,195,068
72,849   Pfizer, Inc.         2,416,401
304,664   Viatris, Inc.         3,003,987
             

9,559,064

    CHEMICALS - 0.4%      
39,096   CF Industries Holdings, Inc.         3,352,091
64,556   Mosaic Company (The)         2,298,194
             

5,650,285

    COMMERCIAL SUPPORT SERVICES - 0.2%      
40,190   Robert Half International, Inc.         2,945,123
             
    CONTAINERS & PACKAGING - 0.3%      
99,714   Westrock Company         3,569,761
             
    ELECTRIC UTILITIES - 1.0%      
120,220   AES Corporation (The)         1,827,344
41,845   Edison International         2,648,370
27,932   Entergy Corporation         2,583,710
84,414   NRG Energy, Inc.         3,251,627
105,848   PPL Corporation         2,493,779
             

12,804,830

    ENTERTAINMENT CONTENT - 0.4%      
89,489   Fox Corporation, Class A         2,792,057
97,342   Fox Corporation - Class B         2,811,237
             

5,603,294

 
 

 

HCM DIVIDEND SECTOR PLUS FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2023
 
Shares             Fair Value
    COMMON STOCKS — 12.0% (Continued)      
    FOOD - 0.2%      
49,058   Tyson Foods, Inc., Class A       $ 2,476,938
             
    HEALTH CARE FACILITIES & SERVICES - 0.3%      
10,072   Molina Healthcare, Inc.(a)         3,302,508
             
    HOME CONSTRUCTION - 1.0%      
30,750   DR Horton, Inc.         3,304,703
28,885   Lennar Corporation, Class A         3,241,764
30,806   Mohawk Industries, Inc.(a)         2,643,463
50,786   PulteGroup, Inc.         3,760,702
             

12,950,632

    INDUSTRIAL SUPPORT SERVICES - 0.3%      
8,105   United Rentals, Inc.         3,603,240
             
    INSURANCE - 0.8%      
58,637   American International Group, Inc.         3,553,402
50,649   MetLife, Inc.         3,186,329
40,152   Principal Financial Group, Inc.         2,893,755
             

9,633,486

    INTERNET MEDIA & SERVICES - 0.6%      
28,324   Alphabet, Inc., Class A(a)         3,706,479
28,128   Alphabet, Inc., Class C(a)         3,708,676
             

7,415,155

    OIL & GAS PRODUCERS - 1.3%      
75,164   APA Corporation         3,089,240
117,972   Coterra Energy, Inc.         3,191,143
91,754   EQT Corporation         3,723,377
23,325   Marathon Petroleum Corporation         3,530,006
22,810   Valero Energy Corporation         3,232,405
             

16,766,171

    PUBLISHING & BROADCASTING - 0.3%      
171,092   News Corporation, Class B         3,570,690
             
 
 

 

HCM DIVIDEND SECTOR PLUS FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2023
 
Shares             Fair Value
    COMMON STOCKS — 12.0% (Continued)      
    RETAIL - CONSUMER STAPLES - 0.2%      
64,542   Kroger Company (The)       $ 2,888,255
             
    SEMICONDUCTORS - 0.3%      
48,054   Micron Technology, Inc.         3,269,114
             
    STEEL - 0.5%      
20,575   Nucor Corporation         3,216,901
28,723   Steel Dynamics, Inc.         3,079,680
             

6,296,581

    TECHNOLOGY HARDWARE - 0.5%      
189,982   Hewlett Packard Enterprise Company         3,299,987
101,810   HP, Inc.         2,616,517
             

5,916,504

    TECHNOLOGY SERVICES - 0.5%      
50,287   Cognizant Technology Solutions Corporation, Class A         3,406,441
119,132   DXC Technology Company(a)         2,481,520
             

5,887,961

    TOBACCO & CANNABIS - 0.2%      
67,619   Altria Group, Inc.         2,843,379
             
    TRANSPORTATION & LOGISTICS - 0.7%      
71,609   Alaska Air Group, Inc.(a)         2,655,262
94,223   Southwest Airlines Company         2,550,617
72,051   United Airlines Holdings, Inc.(a)         3,047,757
             

8,253,636

    WHOLESALE - CONSUMER STAPLES - 0.5%      
37,254   Archer-Daniels-Midland Company         2,809,697
32,216   Bunge Ltd.         3,487,382
             

6,297,079

               
    TOTAL COMMON STOCKS (Cost $147,423,844)    

  151,108,427

               
 
 

 

HCM DIVIDEND SECTOR PLUS FUND
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2023
 
Shares             Fair Value
    EXCHANGE-TRADED FUNDS - 86.7%      
    EQUITY - 86.7%      
283,000   Direxion Daily S&P 500 Bull 2X Shares       $ 23,981,646
5,800,700   ProShares Ultra QQQ         344,271,545
5,072,850   ProShares Ultra S&P500         270,788,733
364,400   SPDR S&P 500 ETF Trust         155,773,712
1,710,552   Vanguard Dividend Appreciation ETF         265,785,569
12,580   Vanguard Growth ETF         3,425,660
285,334   Vanguard High Dividend Yield ETF         29,480,709
    TOTAL EXCHANGE-TRADED FUNDS (Cost $970,513,708)  

1,093,507,574

               
    TOTAL INVESTMENTS - 98.7% (Cost $1,117,937,552)     $ 1,244,616,001
    OTHER ASSETS IN EXCESS OF LIABILITIES - 1.3%    

16,046,736

    NET ASSETS - 100.0%        

$ 1,260,662,737

           
               
 

 

 

 

ETF  - Exchange-Traded Fund
LTD  - Limited Company
PLC  - Public Limited Company
SPDR  - Standard & Poor's Depositary Receipt
(a) Non-income producing security.
 

 
 

 

HCM INCOME PLUS FUND
SCHEDULE OF INVESTMENTS (Unaudited)
September 30, 2023
 
Shares             Fair Value
    EXCHANGE-TRADED FUNDS - 99.9%      
    EQUITY - 68.7%      
246,214   Invesco QQQ Trust Series 1       $ 88,211,090
1,458,400   ProShares Ultra QQQ         86,556,040
1,429,400   ProShares Ultra S&P500         76,301,372
232,195   Vanguard Growth ETF         63,229,020
423,403   Vanguard Mega Cap Growth ETF         96,070,141
             

410,367,663

    FIXED INCOME - 31.2%      
1,488,200   SPDR Bloomberg 1-3 Month T-Bill ETF         136,646,524
982,800   WisdomTree Floating Rate Treasury Fund         49,454,496
             

186,101,020

               
    TOTAL EXCHANGE-TRADED FUNDS (Cost $542,678,263)    

  596,468,683

               
    TOTAL INVESTMENTS - 99.9% (Cost $542,678,263)     $ 596,468,683
    OTHER ASSETS IN EXCESS OF LIABILITIES - 0.1%    

743,722

    NET ASSETS - 100.0%        

$ 597,212,405

           
               
 

 

 

 

 

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

 
 

 

HCM DYNAMIC INCOME FUND
SCHEDULE OF INVESTMENTS (Unaudited)
September 30, 2023
 
Shares             Fair Value
    EXCHANGE-TRADED FUNDS — 89.1%      
    FIXED INCOME - 89.1%      
389,150   iShares Convertible Bond ETF       $ 28,878,822
296,900   iShares iBoxx High Yield Corporate Bond ETF         21,887,468
18,500   iShares JP Morgan USD Emerging Markets Bond ETF         1,526,620
145,700   SPDR Bloomberg 1-3 Month T-Bill ETF         13,378,174
423,800   SPDR Bloomberg Convertible Securities ETF         28,733,640
253,200   SPDR Bloomberg High Yield Bond ETF         22,889,280
    TOTAL EXCHANGE-TRADED FUNDS (Cost $117,996,821)    

117,294,004

               
    TOTAL INVESTMENTS - 89.1% (Cost $117,996,821)     $ 117,294,004
    OTHER ASSETS IN EXCESS OF LIABILITIES - 10.9%    

14,411,350

    NET ASSETS - 100.0%        

$ 131,705,354

           
               
 

 

 

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