0001752724-22-219038.txt : 20220927 0001752724-22-219038.hdr.sgml : 20220927 20220927141223 ACCESSION NUMBER: 0001752724-22-219038 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220731 FILED AS OF DATE: 20220927 DATE AS OF CHANGE: 20220927 PERIOD START: 20221031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Gallery Trust CENTRAL INDEX KEY: 0001651872 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23091 FILM NUMBER: 221270170 BUSINESS ADDRESS: STREET 1: ONE FREEDOM VALLEY DRIVE CITY: OAKS STATE: PA ZIP: 19456 BUSINESS PHONE: (610) 676-1000 MAIL ADDRESS: STREET 1: ONE FREEDOM VALLEY DRIVE CITY: OAKS STATE: PA ZIP: 19456 0001651872 S000063083 MONDRIAN EMERGING MARKETS VALUE EQUITY FUND C000204585 MONDRIAN EMERGING MARKETS VALUE EQUITY FUND MPEMX NPORT-P 1 primary_doc.xml NPORT-P false 0001651872 XXXXXXXX S000063083 C000204585 GALLERY TRUST 811-23091 0001651872 549300BZ2HOJWI7MWR51 ONE FREEDOM VALLEY DRIVE OAKS 19456 8003425734 Mondrian Emerging Markets Value Equity Fund S000063083 549300P44GVHZEKM7C40 2022-10-31 2022-07-31 N 22071029.51 103052.32 21967977.19 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 275588.11000000 N LONGi Green Energy Technology Co., Ltd. 300300NRGAITUP1EZ248 LONGI GREEN ENERGY TECHNOL-A COMMON STOCK N/A 23200.00000000 NS 212565.44000000 0.967614988678 Long EC CN N 2 N N N CHINA MEDICAL SYSTEM HOLDINGS LIMITED 529900Z57DVJXUBLHX66 CHINA MEDICAL SYSTEM HOLDING COMMON STOCK N/A 194000.00000000 NS 308403.26000000 1.403876457684 Long EC HK N 2 N N N Zijin Mining Group Company Limited 529900ABI5CBFXD01Q05 ZIJIN MINING GROUP CO LTD-H COMMON STOCK N/A 28000.00000000 NS 32810.74000000 0.149357128861 Long EC HK N 2 N N N China Merchants Bank Co., Ltd. 549300MKO5B60FFIHF58 CHINA MERCHANTS BANK-A COMMON STOCK N/A 79600.00000000 NS 414958.78000000 1.888925759577 Long EC CN N 2 N N N Alchip Technologies Ltd 529900HKE9RIY07SLX84 ALCHIP TECHNOLOGIES LTD COMMON STOCK N/A 10000.00000000 NS 237649.14000000 1.081798009641 Long EC TW N 2 N N N CREDICORP LTD. 529900UYAEYQCQ2BKB17 CREDICORP LTD COMMON STOCK G2519Y108 4125.00000000 NS USD 533775.00000000 2.429786754526 Long EC US N 1 N N N ALIBABA GROUP HOLDING LIMITED 5493001NTNQJDH60PM02 ALIBABA GROUP HOLDING LTD COMMON STOCK N/A 96292.00000000 NS 1082656.06000000 4.928337509804 Long EC HK N 2 N N N MediaTek Inc. 254900UEGBK1I4DM4E14 MEDIATEK INC COMMON STOCK N/A 17000.00000000 NS 391681.44000000 1.782965434697 Long EC TW N 2 N N N DELTA ELECTRONICS, INC. 529900UVZWNWGDLJSM52 DELTA ELECTRONICS INC COMMON STOCK N/A 46000.00000000 NS 400067.74000000 1.821140547169 Long EC TW N 2 N N N CSPC PHARMACEUTICAL GROUP LIMITED 529900M3XQCW234H8O91 CSPC PHARMACEUTICAL GROUP LT COMMON STOCK N/A 647520.00000000 NS 709005.08000000 3.227448179993 Long EC HK N 2 N N N RELIANCE INDUSTRIES LIMITED 5493003UOETFYRONLG31 RELIANCE INDUSTRIES LTD COMMON STOCK Y72596102 9201.00000000 NS 292631.70000000 1.332083047378 Long EC IN N 2 N N N SAMSUNG FIRE & MARINE INSURANCE CO., LTD. 988400JMBDK47EW0Z936 SAMSUNG FIRE & MARINE INS COMMON STOCK N/A 2267.00000000 NS 344407.00000000 1.567768379497 Long EC KR N 2 N N N UNILEVER PLC 549300MKFYEKVRWML317 UNILEVER NV COMMON STOCK N/A 11026.00000000 NS 537196.77000000 2.445362926926 Long EC NL N 2 N N N China Merchants Bank Co., Ltd. 549300MKO5B60FFIHF58 CHINA MERCHANTS BANK-H COMMON STOCK N/A 10500.00000000 NS 56734.65000000 0.258260692412 Long EC HK N 2 N N N PT Bank Rakyat Indonesia (Persero) Tbk 254900HB6S4B12GBNP64 BANK RAKYAT INDONESIA PERSER COMMON STOCK N/A 1970139.00000000 NS 581570.90000000 2.647357537610 Long EC ID N 2 N N N TINGYI (CAYMAN ISLANDS) HOLDING CORP. 5299009MPI9B60VN4P25 TINGYI (CAYMAN ISLN) HLDG CO COMMON STOCK N/A 212000.00000000 NS 348991.85000000 1.588638985654 Long EC HK N 2 N N N WH GROUP LIMITED 254900A4AYEDRWYSE928 WH GROUP LTD COMMON STOCK N/A 537228.00000000 NS 406862.87000000 1.852072525754 Long EC HK Y 2 N N N Samsung Electronics Co., Ltd. 9884007ER46L6N7EI764 SAMSUNG ELECTRONICS CO LTD COMMON STOCK N/A 5041.00000000 NS 238616.54000000 1.086201692291 Long EC KR N 2 N N N ITAUSA S.A. N/A Itausa SA PREFERRED STOCK N/A 119780.00000000 NS 200709.80000000 0.913647161338 Long EP BR N 1 N N N HON HAI PRECISION INDUSTRY CO., LTD. 30030004CM3GSZXX7O56 HON HAI PRECISION INDUSTRY COMMON STOCK N/A 203000.00000000 NS 741913.41000000 3.377249546388 Long EC TW N 2 N N N CTBC Financial Holding Co., Ltd. 549300IWDYIFW6JXM387 CTBC FINANCIAL HOLDING CO LT COMMON STOCK N/A 395000.00000000 NS 303466.79000000 1.381405248991 Long EC TW N 2 N N N LG CHEM LTD 988400IES4EIG7O06940 LG Chem Ltd PREFERRED STOCK N/A 1236.00000000 NS 277475.98000000 1.263092990310 Long EP KR N 2 N N N SOCIETE AURIFERE BARRICK 0O4KBQCJZX82UKGCBV73 BARRICK GOLD CORP COMMON STOCK 067901108 19310.00000000 NS USD 303939.40000000 1.383556607744 Long EC US N 1 N N N Grupo Financiero Banorte, S.A.B. de C.V. N/A GRUPO FINANCIERO BANORTE-O COMMON STOCK N/A 71635.00000000 NS 408258.53000000 1.858425682387 Long EC MX N 1 N N N Axis Bank Limited 549300HVNWMJPOFVNI41 AXIS BANK LTD COMMON STOCK N/A 45487.00000000 NS 417925.19000000 1.902429096613 Long EC IN N 2 N N N Midea Group Co., Ltd. 3003003TRPHLHZD2IF61 MIDEA GROUP CO LTD-A COMMON STOCK N/A 3600.00000000 NS 29423.72000000 0.133939141257 Long EC CN N 2 N N N Itau Unibanco Holding S.A. 5493002W2IVG62O3ZJ94 ITAU UNIBANCO H-SPON PRF ADR DEPOSITARY RECEIPT 465562106 42355.00000000 NS USD 190597.50000000 0.867615157970 Long EC US N 1 N N N NK LUKOIL PAO 549300LCJ1UJXHYBWI24 LUKOIL PJSC-SPON ADR DEPOSITARY RECEIPT 69343P105 6040.00000000 NS USD 0.01000000 0.000000045520 Long EC US N 2 N N N Ping An Insurance (Group) Company of China, Ltd. 529900M9MC28JLN35U89 PING AN INSURANCE GROUP CO-H COMMON STOCK N/A 174000.00000000 NS 1022604.82000000 4.654979432815 Long EC HK N 2 N N N SUZANO S.A. 391200AW174YQSDMGG41 SUZANO SA COMMON STOCK N/A 44500.00000000 NS 417125.68000000 1.898789662754 Long EC BR N 1 N N N LG CHEM LTD 988400IES4EIG7O06940 LG CHEM LTD COMMON STOCK N/A 977.00000000 NS 455042.41000000 2.071389668991 Long EC KR N 2 N N N Taiwan Semiconductor Manufacturing Co., Ltd. 549300KB6NK5SBD14S87 TAIWAN SEMICONDUCTOR MANUFAC COMMON STOCK N/A 101000.00000000 NS 1732106.24000000 7.884686992430 Long EC TW N 2 N N N Midea Group Co., Ltd. 3003003TRPHLHZD2IF61 MIDEA GROUP CO LTD-A COMMON STOCK N/A 55403.00000000 NS 452822.92000000 2.061286371901 Long EC CN N 2 N N N Samsung Electronics Co., Ltd. 9884007ER46L6N7EI764 Samsung Electronics Co Ltd PREFERRED STOCK N/A 19608.00000000 NS 861764.83000000 3.922822855043 Long EP KR N 2 N N N INFOSYS LIMITED 335800TYLGG93MM7PR89 INFOSYS LTD-SP ADR DEPOSITARY RECEIPT 456788108 9077.00000000 NS USD 176910.73000000 0.805311879514 Long EC US N 1 N N N TENCENT HOLDINGS LIMITED 254900N4SLUMW4XUYY11 TENCENT HOLDINGS LTD COMMON STOCK N/A 13200.00000000 NS 510164.31000000 2.322308993621 Long EC HK N 2 N N N YUM CHINA HOLDINGS, INC. 529900DO9BYZ7VA3K502 YUM CHINA HOLDINGS INC COMMON STOCK 98850P109 7066.00000000 NS USD 344184.86000000 1.566757180341 Long EC US N 1 N N N Gree Electric Appliances, Inc. of Zhuhai 655600UY069MU9JRAN62 GREE ELECTRIC APPLIANCES I-A COMMON STOCK N/A 84196.00000000 NS 416146.63000000 1.894332948367 Long EC CN N 2 N N N HCL TECHNOLOGIES LIMITED 549300C1F8OLYSOQYB65 HCL TECHNOLOGIES LTD COMMON STOCK Y3121G147 18450.00000000 NS 221879.87000000 1.010015023599 Long EC IN N 2 N N N NETEASE, INC. 5299004AF4DSJDB0PA32 NETEASE INC COMMON STOCK N/A 15786.00000000 NS 295305.08000000 1.344252488273 Long EC HK N 2 N N N HOUSING DEVELOPMENT FINANCE CORPORATION LIMITED 335800OX2H9AP7NHLT64 HOUSING DEVELOPMENT FINANCE COMMON STOCK Y37246207 27328.00000000 NS 824699.47000000 3.754098353558 Long EC IN N 2 N N N SHINHAN FINANCIAL GROUP CO.,LTD 988400EB8A6G49E5KO54 SHINHAN FINANCIAL GROUP LTD COMMON STOCK N/A 14035.00000000 NS 386512.77000000 1.759437232918 Long EC KR N 2 N N N BAIDU, INC. 254900AL64IANZYI1E02 BAIDU INC - SPON ADR DEPOSITARY RECEIPT 056752108 4114.00000000 NS USD 561848.98000000 2.557581770686 Long EC US N 1 N N N SK hynix Inc. 988400XAIK6XISWQV045 SK HYNIX INC COMMON STOCK N/A 8344.00000000 NS 630779.98000000 2.871361229777 Long EC KR N 2 N N N MONDI PLC 213800LOZA69QFDC9N34 MONDI PLC COMMON STOCK N/A 17083.00000000 NS 324189.16000000 1.475735144825 Long EC GB N 2 N N N Hypera S.A. N/A HYPERA SA COMMON STOCK N/A 42200.00000000 NS 348261.53000000 1.585314510243 Long EC BR N 1 N N N XINYI SOLAR HOLDINGS LIMITED 529900QF7VIH03SB7Q08 XINYI SOLAR HOLDINGS LTD COMMON STOCK N/A 214000.00000000 NS 363545.49000000 1.654888326110 Long EC HK N 2 N N N Jiangsu Yanghe Brewery Joint-stock Co., Ltd. 655600IQ7FXTTBKI8H68 JIANGSU YANGHE BREWERY -A COMMON STOCK N/A 1312.00000000 NS 32206.33000000 0.146605805903 Long EC CN N 2 N N N Autohome Inc 529900NYB6ZGZN3MVT56 AUTOHOME INC-ADR DEPOSITARY RECEIPT 05278C107 15118.00000000 NS USD 539561.42000000 2.456127004017 Long EC US N 1 N N N VALE S.A. 254900SMTWBX7RU2SR20 VALE SA-SP ADR DEPOSITARY RECEIPT 91912E105 23495.00000000 NS USD 316242.70000000 1.439562219428 Long EC US N 1 N N N Jiangsu Yanghe Brewery Joint-stock Co., Ltd. 655600IQ7FXTTBKI8H68 JIANGSU YANGHE BREWERY -A COMMON STOCK N/A 4800.00000000 NS 117828.03000000 0.536362674546 Long EC CN N 2 N N N Wuliangye Yibin Co., Ltd. N/A WULIANGYE YIBIN CO LTD-A COMMON STOCK N/A 15000.00000000 NS 397777.24000000 1.810714006845 Long EC CN N 2 N N N 2022-07-31 GALLERY TRUST Pritesh Chouhan Pritesh Chouhan Compliance Executive XXXX NPORT-EX 2 gallery-nport.htm SCHED F mondrian.htm - Generated by SEC Publisher for SEC Filing
Gallery Trust 
Mondrian International Value Equity Fund
July 31, 2022 (Unaudited)

SCHEDULE OF INVESTMENTS

COMMON STOCK — 99.1%            
    Number of     Value  
    Shares     (U.S. $)  
                 
AUSTRALIA — 0.9%                
Aurizon Holdings Ltd
    2,118,429     $ 5,995,780  
Total Australia             5,995,780  
                 
DENMARK — 0.5%                
ISS A/S *
    195,698       3,420,124  
Total Denmark             3,420,124  
                 
   
FRANCE — 7.2%                
Bouygues SA
    309,925       9,368,920  
Cie de Saint-Gobain SA
    166,575       7,767,333  
Dassault Aviation SA
    56,752       8,116,788  
Sanofi SA
    208,604       20,729,629  
Societe Generale SA
    82,006       1,837,451  
Total France             47,820,121  
                 
GERMANY — 5.8%                
Allianz SE
    78,906       14,329,760  
Continental AG
    160,617       11,442,503  
Evonik Industries AG
    514,642       10,977,113  
HeidelbergCement
    28,012       1,426,843  
Total Germany             38,176,219  
                 
HONG KONG — 6.6%                
CK Hutchison Holdings Ltd
    3,364,500       22,317,669  
Jardine Matheson Holdings Ltd
    165,915       8,762,941  
WH Group Ltd
    17,264,639       13,075,157  
Total Hong Kong             44,155,767  
                 
ITALY — 6.9%                
Enel SpA
    3,860,890       19,463,695  
Eni SpA
    706,328       8,490,442  
Snam SpA
    3,580,778       17,966,614  
Total Italy             45,920,751  

 



Gallery Trust 
Mondrian International Value Equity Fund
July 31, 2022 (Unaudited)

COMMON STOCK — continued            
    Number of     Value  
    Shares     (U.S. $)  
                 
JAPAN — 29.3%                
Coca-Cola Bottlers Japan Holdings Inc
    348,700     $ 3,975,529  
FUJIFILM Holdings Corp
    220,800       12,612,545  
Fujitsu Ltd
    80,100       10,738,395  
Hitachi Ltd
    191,500       9,695,273  
Honda Motor Co Ltd
    704,800       18,062,051  
Kao Corp
    102,000       4,436,431  
Kyocera Corp
    300,500       16,704,463  
Mitsubishi Electric Corp
    1,120,400       11,824,955  
Nippon Telegraph & Telephone Corp
    611,000       17,453,413  
Otsuka Holdings Co Ltd
    177,900       6,355,116  
Secom Co Ltd
    105,100       7,019,640  
Sekisui Chemical Co Ltd
    829,500       11,670,620  
Sony Corp Group
    231,400       19,629,188  
Takeda Pharmaceutical Co Ltd
    706,900       20,740,594  
Tokio Marine Holdings Inc
    218,352       12,782,312  
Toyota Industries Corp
    185,700       11,307,176  
Total Japan
            195,007,701
 
                 
NETHERLANDS — 2.3%                
Koninklijke Philips
    725,138       15,007,576  
Total Netherlands             15,007,576  
                 
SINGAPORE — 4.5%                
Singapore Telecommunications Ltd
    4,606,902       8,711,994  
United Overseas Bank Ltd
    1,048,240       20,913,794  
Total Singapore             29,625,788  
                 
SPAIN — 2.5%                
Banco Santander SA
    6,747,980       16,882,509  
Total Spain             16,882,509  
                 
SWEDEN — 1.8%                
Telia Co AB
    3,263,707       12,057,271  
Total Sweden             12,057,271  

 



Gallery Trust 
Mondrian International Value Equity Fund
July 31, 2022 (Unaudited)

COMMON STOCK — continued            
    Number of     Value  
    Shares     (U.S. $)  
                 
SWITZERLAND — 3.2%                
Novartis AG
    245,835     $ 21,124,519  
Total Switzerland             21,124,519  
                 
TAIWAN — 1.2%                
Taiwan Semiconductor Manufacturing Co Ltd
    453,000       7,768,754  
Total Taiwan             7,768,754  
                 
UNITED KINGDOM — 26.4%                
Associated British Foods
    538,602       11,001,189  
BP PLC
    3,586,599       17,553,824  
GSK
    738,740       15,521,137  
Haleon *
    946,356       3,362,926  
Imperial Brands PLC
    901,895       19,802,376  
Kingfisher PLC
    4,559,131       14,424,571  
Lloyds Banking Group PLC
    35,276,358       19,531,112  
Shell PLC
    675,378       18,016,669  
SSE PLC
    849,795       18,354,276  
Tesco PLC
    4,467,534       14,328,045  
Travis Perkins PLC
    396,755       5,092,227  
WPP PLC
    1,720,672       18,570,237  
Total United Kingdom             175,558,589  
                 
Total Common Stock
               
(Cost $708,567,994)  .
               
 
            658,521,469  
Total Value of Securities 99.1%
               
(Cost $708,567,994)
          $ 658,521,469  

Percentages are based on Net Assets of $664,669,965.

* Non-income producing security.

Ltd. — Limited
PLC — Public Limited Company


Gallery Trust 
Mondrian International Value Equity Fund
July 31, 2022 (Unaudited)

The following is a summary of the level of inputs used as of July 31, 2022, in valuing the Fund s investments carried at market value:

Investments in Securities
 
Level 1
 
Level 2
 
Level 3
 
Total
Common Stock
 
$
3,362,926
 
$
655,158,543
 
$
 
$
658,521,469
Total Investments in Securities
 
$
3,362,926
 
$
655,158,543
 
$
 
$
658,521,469

For information on the Fund's policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to Note 2 of the Fund's most recent financial statements.

MON- QH- 001-1300



Gallery Trust
 Mondrian Emerging Markets Value Equity Fund
July 31, 2022 (Unaudited)

SCHEDULE OF INVESTMENTS

COMMON STOCK — 92.9%            
    Number of     Value  
    Shares     (U.S. $)  
                 
BRAZIL — 5.8%                
Hypera SA
    42,200     $ 348,261  
Itau Unibanco Holding SA ADR
    42,355       190,597  
Suzano Papel e Celulose SA
    44,500       417,126  
Vale ADR Class B
    23,495       316,243  
Total Brazil             1,272,227  
                 
CHINA — 37.4%                
Alibaba Group Holding Ltd *
    96,292       1,082,656  
Autohome Inc ADR
    15,118       539,562  
Baidu Inc ADR *
    4,114       561,849  
China Medical System Holdings Ltd
    194,000       308,403  
China Merchants Bank Class A
    79,600       414,959  
China Merchants Bank Co Ltd Class H
    10,500       56,734  
CSPC Pharmaceutical Group Ltd
    647,520       709,005  
Gree Electric Appliances Inc Class A
    84,196       416,146  
Jiangsu Yanghe Brewery Joint-Stock Co Ltd Class A .
    6,112       150,035  
LONGi Green Energy Tech Co Ltd Class A
    23,200       212,565  
Midea Group Co Ltd Class A
    59,003       482,247  
NetEase Inc
    15,786       295,305  
Ping An Insurance Group Co of China Ltd Class H
    174,000       1,022,605  
Tencent Holdings Ltd
    13,200       510,164  
Tingyi Cayman Islands Holding Corp Class H
    212,000       348,992  
Wuliangye Yibin Class A
    15,000       397,777  
Xinyi Solar Holdings Ltd
    214,000       363,546  
Yum China Holdings Inc
    7,066       344,185  
Total China             8,216,735  
                 
HONG KONG — 2.0%                
WH Group Ltd
    537,228       406,863  
Zijin Mining Group Class H
    28,000       32,811  
Total Hong Kong             439,674  
                 
INDIA — 8.8%                
Axis Bank Inc
    45,487       417,925  
HCL Technologies Ltd
    18,450       221,880  
Housing Development Finance Corp Ltd
    27,328       824,699  
Infosys Ltd Sponsored ADR
    9,077       176,911  

 




Gallery Trust
 Mondrian Emerging Markets Value Equity Fund
July 31, 2022 (Unaudited)

COMMON STOCK — continued            
    Number of     Value  
    Shares     (U.S. $)  
                 
INDIA (continued)                
Reliance Industries Ltd *
    9,201     $ 292,632  
Total India             1,934,047  
                 
INDONESIA — 2.6%                
Bank Rakyat Indonesia Persero Tbk PT
    1,970,139       581,571  
Total Indonesia             581,571  
                 
MEXICO — 1.9%                
Grupo Financiero Banorte SAB de CV Class O
    71,635       408,258  
Total Mexico             408,258  
   
PERU — 2.4%                
Credicorp Ltd
    4,125       533,775  
Total Peru             533,775  
                 
RUSSIA — 0.0%                
LUKOIL PJSC Sponsored ADR
    6,040        —  
Total Russia              —  
                 
SOUTH KOREA — 9.4%                
LG Chem Ltd
    977       455,042  
Samsung Electronics Co Ltd
    5,041       238,617  
Samsung Fire & Marine Insurance Co Ltd
    2,267       344,407  
Shinhan Financial Group Co Ltd
    14,035       386,513  
SK Hynix Inc
    8,344       630,780  
Total South Korea             2,055,359  
                 
TAIWAN — 17.3%                
Alchip Technologies Ltd
    10,000       237,649  
CTBC Financial Holding Co Ltd
    395,000       303,467  
Delta Electronics Inc
    46,000       400,068  
Hon Hai Precision Industry Co Ltd
    203,000       741,913  
MediaTek Inc
    17,000       391,682  
Taiwan Semiconductor Manufacturing Co Ltd
    101,000       1,732,106  
Total Taiwan             3,806,885  

 



Gallery Trust
 Mondrian Emerging Markets Value Equity Fund
July 31, 2022 (Unaudited)


COMMON STOCK — continued            
    Number of     Value  
    Shares     (U.S. $)  
                 
UNITED KINGDOM — 3.9%                
Mondi PLC
    17,083     $ 324,189  
Unilever PLC
    11,026       537,197  
Total United Kingdom             861,386  
                 
UNITED STATES — 1.4%                
Materials 1.4%
               
Barrick Gold Corp US
    19,310       303,939  
Total United States             303,939  
                 
Total Common Stock                
(Cost $23,073,722) .
             20,413,856  
                 
PREFERRED STOCK — 6.1%                
   
BRAZIL — 0.9%                
Itausa SA Pref**
    119,780       200,710  
                 
SOUTH KOREA — 5.2%                
LG Chem Ltd Pref**
    1,236       277,476  
Samsung Electronics Co Ltd**
    19,608       861,765  
               1,139,241  
Total Preferred Stock .                
(Cost $1,444,642) 
            1,339,951  
                 
Total Value of Securities 99.0%
               
(Cost $24,518,364)
          $ 21,753,807  

 

Percentages are based on Net Assets of $21,966,873.

* Non-income producing security.

** There is currently no rate available.

ADR — American Depositary Receipt



Gallery Trust
 Mondrian Emerging Markets Value Equity Fund
July 31, 2022 (Unaudited)


CV — Convertible Security
Ltd. — Limited
PLC — Public Limited Company

The following is a summary of the level of inputs used as of July 31, 2022, in valuing the Fund s investments carried at market value:

Investments in Securities
 
Level 1
 
Level 2
 
Level 3
 
Total
Common Stock
 
$
4,140,706  
$
16,273,150  
$
 
$
20,413,856
Preferred Stock 
    200,710     1,139,241         1,339,951
Total Investments in Securities
 
$
4,341,416  
$
17,412,391  
$
 
$
21,753,807

For information on the Fund's policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to Note 2 of the Fund's most recent financial statements.

MON- QH- 001-1300



Gallery Trust 
Mondrian International Government Fixed Income Fund
July 31, 2022 (Unaudited)


GLOBAL BONDS — 99.4%              
    Face Amount     Value  
    (Local Currency)     (U.S. $)  
AUSTRALIA — 2.0%              
Australia Government Bond
             
4.750%, 04/21/27
  AUD 182,000    $ 138,115
 
3.000%, 03/21/47
  AUD 150,000
  97,037  
Total Australia    

  235,152  
               
AUSTRIA — 3.3%              
Republic of Austria Government Bond
             
6.250%, 07/15/27
  EUR 289,000
  376,076  
Total Austria    

  376,076  
               
BELGIUM — 4.2%              
Kingdom of Belgium Government Bond
             
1.000%, 06/22/26 (A)
  EUR 462,000
  478,893  
Total Belgium    

  478,893  
               
CANADA — 2.0%              
Canadian Government Bond
             
1.000%, 06/01/27
  CAD 59,000
  42,759  
0.500%, 12/01/30
  CAD 281,000
  184,885  
Total Canada    

  227,644  
               
CHILE — 0.8%              
Chile Government International Bond
             
0.830%, 07/02/31
  EUR 104,000
  86,480  
Total Chile    

  86,480  
               
FINLAND — 4.7%              
Finland Government Bond
             
0.500%, 09/15/27 (A)
  EUR 539,000
  542,003  
Total Finland    

  542,003  

 




Gallery Trust 
Mondrian International Government Fixed Income Fund
July 31, 2022 (Unaudited)


GLOBAL BONDS — continued              
    Face Amount     Value  
    (Local Currency)     (U.S. $)  
FRANCE — 4.0%              
French Republic Government Bond OAT
             
1.500%, 05/25/31
  EUR 440,000
  $ 462,931
 
Total France      
  462,931  
               
GERMANY — 4.7%              
Bundesrepublik Deutschland Bundesanleihe
             
2.500%, 07/04/44
  EUR 85,000
  111,623  
0.250%, 02/15/29
  EUR 20,000
  20,028  
Deutsche Bahn Finance GMBH
             
1.375%, 03/03/34
  EUR 125,000
  117,547  
Kreditanstalt fuer Wiederaufbau
             
2.050%, 02/16/26
  JPY
37,000,000
    296,896
 
Total Germany      
  546,094  
               
ITALY — 11.4%              
Enel Finance International
             
0.875%, 06/17/36
  EUR 100,000
  73,389  
Italy Buoni Poliennali Del Tesoro
             
2.950%, 09/01/38 (A)
  EUR 550,000
  540,337  
2.000%, 02/01/28
  EUR 550,000
  552,295  
1.450%, 05/15/25
  EUR 148,000
  150,131  
Total Italy      
  1,316,152  
               
JAPAN — 21.0%              
Japan Government Ten Year Bond
             
0.100%, 06/20/26
  JPY
 60,000,000      453,053  
Japan Government Thirty Year Bond
             
2.400%, 12/20/34
  JPY
 42,500,000      396,546  
1.700%, 03/20/44
  JPY 31,000,000      268,334  
0.300%, 06/20/46
  JPY  96,800,000      617,132  
Japan Government Twenty Year Bond
             
0.200%, 06/20/36
  JPY  78,600,000      567,287  
Sumitomo Mitsui Trust Bank
             
0.010%, 10/15/27
  EUR 129,000
  121,127  
Total Japan      
  2,423,479  

 


Gallery Trust 
Mondrian International Government Fixed Income Fund
July 31, 2022 (Unaudited)


GLOBAL BONDS — continued              
    Face Amount     Value  
    (Local Currency)     (U.S. $)  
MALAYSIA — 2.2%              
Malaysia Government Bond
             
4.254%, 05/31/35
  MYR  900,000    $  202,691  
4.181%, 07/15/24
  MYR 240,000
  54,877  
Total Malaysia    

  257,568  
               
MEXICO — 4.8%              
Mexican Bonos
             
8.000%, 11/07/47
  MXN  12,340,000      556,918  
Total Mexico    

  556,918  
               
NETHERLANDS — 4.4%              
Netherlands Government Bond
             
2.750%, 01/15/47 (A)
  EUR 250,000
  329,153  
0.500%, 01/15/40 (A)
  EUR 205,000
  181,291  
Total Netherlands    

  510,444  
               
NEW ZEALAND — 2.1%              
New Zealand Government Bond
             
2.000%, 05/15/32
  NZD 425,000
  235,925  
Total New Zealand    

  235,925  
               
NORWAY — 4.3%              
Equinor
             
1.625%, 02/17/35
  EUR 126,000
  118,442  
Kommunalbanken
             
0.050%, 10/24/29
  EUR 131,000
  120,450  
Norway Government Bond
             
 2.125%, 05/18/32 (A)
  NOK  1,800,000      175,491  
1.250%, 09/17/31 (A)
  NOK 910,000
  82,520  
Total Norway    

  496,903  
               
POLAND — 1.0%              
Republic of Poland Government Bond
             
2.500%, 07/25/26
  PLN 606,000
  114,077  
Total Poland    

  114,077  

 



Gallery Trust 
Mondrian International Government Fixed Income Fund
July 31, 2022 (Unaudited)

 
GLOBAL BONDS — continued              
    Face Amount     Value  
    (Local Currency)     (U.S. $)  
SUPRANATIONAL — 13.6%              
Asian Development Bank
             
 2.350%, 06/21/27
  JPY    60,000,000    $  499,736  
European Financial Stability Facility
             
0.950%, 02/14/28
  EUR 526,000     529,749  
European Investment Bank
             
2.150%, 01/18/27
  JPY  65,500,000      535,865  
Total Supranational    
    1,565,350  
               
SWEDEN — 1.1%              
Svenska Handelsbanken
             
0.050%, 09/06/28
  EUR 133,000     121,245  
Total Sweden    
    121,245  
               
SWITZERLAND — 3.0%              
Swiss Confederation Government Bond
             
4.000%, 02/11/23
  CHF 52,000     55,750  
1.500%, 07/24/25
  CHF 52,000     57,138  
1.250%, 06/11/24
  CHF 212,000     228,004  
Total Switzerland    
    340,892  
               
UNITED KINGDOM — 4.0%              
United Kingdom Gilt
             
4.250%, 09/07/39
  GBP 202,000     310,162  
1.500%, 07/22/47
  GBP 153,000     152,993  
Total United Kingdom    
    463,155  



Gallery Trust 
Mondrian International Government Fixed Income Fund
July 31, 2022 (Unaudited)


GLOBAL BONDS — continued              
    Face Amount     Value  
    (Local Currency)     (U.S. $)  
UNITED STATES — 0.8%            
Wells Fargo
       
1.741%, 05/04/30
  EUR 100,000    $ 96,238  
Total United States       96,238  
       
Total Global Bonds  
       
(Cost $12,997,552)
      11,453,619  
       
Total Value of Securities — 99.4%
       
(Cost $12,997,552)
        $
11,453,619   

A list of the open forward foreign currency exchange contracts held by the Fund at July 31, 2022 is as follows:

Counterparty
Maturity Date
 
Currency to Deliver
 

  Currency to Receive
   
Unrealized
Appreciation
(Depreciation)
 
Brown Brothers Harriman
10/28/2022
 
USD
  220,503   HUF   89,450,000    $ 641
Brown Brothers Harriman
10/31/2022
 
USD
  394,801  
EUR
  387,000     3,408  
Brown Brothers Harriman
10/31/2022  
USD
  450,376  
GBP
  372,500     4,281
Brown Brothers Harriman
10/31/2022  
NOK
  2,505,500  
USD
  255,302    
(4,390
)
Brown Brothers Harriman
10/31/2022  
MXN
  11,086,500  
USD
  533,378    
(931
)
Brown Brothers Harriman
10/31/2022  
CAD
  284,000  
USD
  220,950    
(763
)
Brown Brothers Harriman
10/31/2022  
GBP
  95,000  
USD
  114,560    
(1,393
)
Net Unrealized Appreciation on Forward Foreign Currency Exchange Contracts
                     $  853

Percentages are based on Net Assets of $11,523,325.

(A) 
Securities sold within terms of a private placement memorandum, exempt from registration under Section 144A of the Securities Act of 1933, as amended, and may be sold only to dealers in that program or other "accredited investors." The total value of securities as of July 31, 2022 was $2,329,688 and represents 20.2% of Net Assets.

AUD — Australian Dollar
CAD — Canadian Dollar
CHF — Swiss Franc
EUR — Euro
GBP — Pound Sterling



Gallery Trust 
Mondrian International Government Fixed Income Fund
July 31, 2022 (Unaudited)

HUF — Hungarian Forint
JPY — Japanese Yen
MXN — Mexican Peso
MYR — Malaysian Ringgit
NOK — Norwegian Krone
NZD — New Zealand Dollar
OAT — Obligations Assimilables du Trésor
PLN — Polish Zloty
USD — United States Dollar

The following is a summary of the level of inputs used as of July 31, 2022, in valuing the Fund’s investments carried at market value:

Investments in Securities
     Level 1    
Level 2
   
 Level 3
   
Total
 
Global Bonds
  $
— 
  $ 11,453,619   $

  $
 11,453,619  
Total Investments in Securities
  $
— 
  $
11,453,619   $
  $
 11,453,619  

                         

   
Level 1
   
Level 2
    Level 3    
 Total
 
Other Financial Instruments Instruments 
                         
Forwards Contracts*
                         
Unrealized Appreciation
  $
  $
8,380
  $
 —   $   8,380  
Unrealized Depreciation
   

   
  (7,477 )

 —  
(7,477
)
Total Other Financial Instruments Instruments
  $

  $  853 $
  $
853

* Forward foreign currency exchange contracts are valued at the unrealized appreciation (depreciation) on the instrument.

For information on the Fund's policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to Note 2 of the Fund's most recent financial statements.

MON-QH-001-1300


Gallery Trust 
Mondrian Global Listed Infrastructure Fund
July 31, 2022 (Unaudited) 

SCHEDULE OF INVESTMENTS

COMMON STOCK — 97.7%            
    Number of     Value  
    Shares     (U.S. $)  
                 
AUSTRALIA — 4.2%                
Aurizon Holdings Ltd
    24,556     $ 69,501  
Total Australia             69,501  
                 
CANADA — 4.5%                
Enbridge Inc
    1,672       75,090  
Total Canada             75,090  
                 
CHILE — 3.2%                
Enel Americas SA
    526,148       53,251  
Total Chile             53,251  
                 
CHINA — 6.3%                
Guangdong Investment Ltd
    52,000       50,655  
Jiangsu Expressway Co Ltd Class H
    62,000       54,105  
Total China             104,760  
                 
FRANCE — 11.0%                
Eiffage SA
    670       62,872  
Rubis SCA
    2,353       57,510  
Veolia Environnement SA
    2,528       63,227  
Total France             183,609  
                 
INDIA — 3.8%                
Power Grid Corp of India Ltd
    23,287       63,063  
Total India             63,063  
                 
ITALY — 10.5%                
Atlantia SpA
    2,852       65,911  
Enel SpA
    11,024       55,575  
Snam SpA
    10,770       54,039  
Total Italy             175,525  

 



Gallery Trust 
Mondrian Global Listed Infrastructure Fund
July 31, 2022 (Unaudited) 

COMMON STOCK — continued            
    Number of     Value  
    Shares     (U.S. $)  
                 
MALAYSIA — 3.3%                
Westports Holdings
    70,600     $ 55,570  
Total Malaysia             55,570  
                 
MEXICO — 6.4%                
Aeroportuario Centro Norte SAB de CV B Class B
    7,113       43,312  
Promotora y Operadora de Infraestructura
    8,876       64,223  
Total Mexico             107,535  
                 
PORTUGAL — 4.4%                
EDP - Energias de Portugal SA
    14,678       74,254  
Total Portugal             74,254  
                 
SPAIN — 8.1%                
Iberdrola SA
    6,894       73,617  
Red Electrica Corp SA
    3,147       61,871  
Total Spain             135,488  
                 
UNITED KINGDOM — 3.3%                
SSE PLC
    2,590       55,940  
Total United Kingdom             55,940  
                 
UNITED STATES 28.7%                
Health Care 4.0%
               
HCA Healthcare Inc
    317       67,337  
                 
Real Estate — 3.7%                
American Tower REIT
    228       61,749  
                 
Utilities — 21.0%                
Edison International
    1,088       73,734  
Evergy Inc
    966       65,939  
Eversource Energy
    829       73,135  
Portland General Electric Co
    1,101       56,525  

 



Gallery Trust 
Mondrian Global Listed Infrastructure Fund
July 31, 2022 (Unaudited) 

COMMON STOCK — continued             
    Number of     Value  
    Shares     (U.S. $)  
                 
UNITED STATES (continued)                
Utilities (continued)                
PPL Corporation
    2,764     $ 80,377  
              349,710  
Total United States             478,796  
                 
Total Common Stock                
(Cost $1,621,869)
            1,632,382  
                 
RIGHT — 0.1%                
Iberdrola
    6,708       1,843  
                 
Total Rights                
(Cost $— ) 
            1,843  
                 
Total Value of Securities 97.8%                
(Cost $1,621,869)
          $ 1,634,225  

Percentages are based on Net Assets of $1,670,778.

Ltd. — Limited
PLC — Public Limited Company
REIT — Real Estate Investment Trust

Gallery Trust 
Mondrian Global Listed Infrastructure Fund
July 31, 2022 (Unaudited) 

The following is a summary of the level of inputs used as of July 31, 2022, in valuing the Fund s investments carried at market value:

Investments in Securities
 
Level 1
 
Level 2
 
Level 3
 
Total
Common Stock
  $ 714,672 $ 917,710  
$
 
$
1,632,382
Right
  1,843         1,843
Total Investments in Securities
  $ 716,515 $ 917,710  
$
 
$
1,634,225

For information on the Fund's policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to Note 2 of the Fund's most recent financial statements.

MON- QH- 001-1300



Gallery Trust 
Mondrian Global Equity Value Fund
July 31, 2022 (Unaudited) 

SCHEDULE OF INVESTMENTS

COMMON STOCK — 97.7%            
    Number of     Value  
    Shares     (U.S. $)  
                 
BRAZIL — 0.8%                
Hypera SA
    125,200     $ 1,033,231  
Total Brazil             1,033,231  
                 
CHINA — 4.5%                
Alibaba Group Holding Ltd *
    144,800       1,628,054  
Autohome Inc ADR
    29,290       1,045,360  
Midea Group Co Ltd Class A
    173,355       1,416,875  
Ping An Insurance Group Co of China Ltd Class H
    245,500       1,442,813  
Total China             5,533,102  
                 
FRANCE — 6.1%                
Sanofi SA
    26,962       2,679,299  
Thales SA
    19,593       2,436,569  
Ubisoft Entertainment *
    57,132       2,432,351  
Total France             7,548,219  
                 
GERMANY — 1.1%                
Continental AG
    19,158       1,364,834  
Total Germany             1,364,834  
                 
HONG KONG — 1.8%                
WH Group Ltd
    2,879,457       2,180,721  
Total Hong Kong             2,180,721  
                 
INDIA — 1.4%                
Housing Development Finance Corp Ltd
    57,943       1,748,593  
Total India             1,748,593  
                 
ITALY — 3.0%                
Enel SpA
    588,465       2,966,597  
Snam SpA
    158,526       795,407  
Total Italy             3,762,004  
                 
JAPAN — 16.5%                
Fujitsu Ltd
    5,900       790,968  

 




Gallery Trust 
Mondrian Global Equity Value Fund
July 31, 2022 (Unaudited) 

COMMON STOCK — continued            
    Number of     Value  
    Shares     (U.S. $)  
                 
JAPAN (continued)                
Hitachi Ltd
    53,600     $ 2,713,664  
Kyocera Corp
    20,300       1,128,455  
Matsukiyococokara & Co
    63,400       2,393,713  
Mitsubishi Electric Corp
    184,100       1,943,033  
SCSK
    109,600       1,930,084  
Sekisui Chemical Co Ltd
    95,900       1,349,262  
Sony Corp Group
    30,400       2,578,769  
Sundrug Co Ltd
    141,200       3,312,159  
Toyota Industries Corp
    37,200       2,265,088  
Total Japan             20,405,195  
                 
NETHERLANDS — 1.7%                
Koninklijke Philips
    102,978       2,131,250  
Total Netherlands             2,131,250  
                 
PERU — 0.8%                
Credicorp Ltd
    7,344       950,314  
Total Peru             950,314  
                 
SOUTH KOREA — 1.0%                
LG Chem Ltd
    2,724       1,268,716  
Total South Korea             1,268,716  
                 
TAIWAN — 1.5%                
Taiwan Semiconductor Manufacturing Co Ltd
    109,000       1,869,303  
Total Taiwan             1,869,303  
                 
UNITED KINGDOM — 9.3%                
Associated British Foods
    91,548       1,869,909  
GSK
    98,121       2,061,550  
Haleon *
    120,526       428,296  
Imperial Brands PLC
    59,496       1,306,319  
Lloyds Banking Group PLC
    5,221,180       2,890,759  
Unilever PLC
    60,651       2,954,971  
Total United Kingdom             11,511,804  

 




Gallery Trust 
Mondrian Global Equity Value Fund
July 31, 2022 (Unaudited) 

COMMON STOCK continued            
    Number of     Value  
    Shares     (U.S. $)  
                 
UNITED STATES — 48.2%                
Communication Services — 1.9%                
Meta Platforms Inc Class A *
    15,055     $ 2,395,251  
                 
Consumer Discretionary — 0.9%                
Dollar Tree Inc *
    6,797       1,123,952  
                 
Consumer Staples — 6.2%                
Colgate-Palmolive
    46,627       3,671,410  
Walmart Inc
    30,035       3,966,122  
              7,637,532  
                 
Energy — 1.8%                
Exxon Mobil Corp
    23,362       2,264,479  
                 
Financials — 10.6%                
Berkshire Hathaway Class B *
    5,786       1,739,272  
Pinnacle Financial Partners
    32,945       2,605,949  
Progressive
    24,976       2,873,739  
S&P Global Inc
    6,182       2,330,181  
Wells Fargo & Co
    82,464       3,617,695  
              13,166,836  
                 
Health Care — 13.0%                
AbbVie Inc
    24,921       3,576,413  
Centene Corp *
    39,501       3,672,407  
HCA Healthcare Inc
    12,030       2,555,413  
Johnson & Johnson
    17,704       3,089,702  
Laboratory Corp of America Holdings
    11,695       3,066,312  
              15,960,247  
                 
Industrials — 2.3%                
Stericycle Inc *
    60,611       2,840,838  
                 
Information Technology — 10.0%                
Dell Technologies Inc Class C
    74,374       3,351,292  
Maximus Inc
    27,865       1,862,775  
Microsoft Corp
    14,917       4,187,798  
Sabre *
    131,674       809,795  
Visa Inc Class A
    10,093       2,140,826  
              12,352,486  

 




Gallery Trust 
Mondrian Global Equity Value Fund
July 31, 2022 (Unaudited) 

COMMON STOCK — continued            
    Number of     Value  
    Shares     (U.S. $)  
                 
UNITED STATES (continued)                
Real Estate — 1.5%                
American Tower REIT
    7,027     $ 1,903,122  
Total United States             59,644,743  
                 
Total Common Stock                
(Cost $130,647,849)
            120,952,029   
                 
PREFERRED STOCK — 1.2%                
   
SOUTH KOREA — 1.2%                
Samsung Electronics Co Ltd**
    33,213       1,459,700  
                 
Total Preferred Stock
               
(Cost $1,755,504)
            1,459,700   
 
             
Total Value of Securities 98.9%
               
(Cost $132,403,353)
          $ 122,411,729  

 

Percentages are based on Net Assets of $123,762,121 .

* Non-income producing security.

** There is currently no rate available.

ADR — American Depositary Receipt
Ltd. — Limited
PLC — Public Limited Company
REIT — Real Estate Investment Trust



Gallery Trust 
Mondrian Global Equity Value Fund
  July 31, 2022 (Unaudited) 

The following is a summary of the level of inputs used as of July 31, 2022, in valuing the Fund s investments carried at market value:

Investments in Securities
 
Level 1
 
Level 2
 
Level 3
 
Total
Common Stock
  $ 63,101,944 $ 57,850,085  
$
 
$
120,952,029
Preferred Stock
  1,459,700         1,459,700
Total Investments in Securities
  $ 63,101,944 $ 59,309,785  
$
 
$
122,411,729

For information on the Fund's policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to Note 2 of the Fund's most recent financial statements.

MON- QH- 001-1300