NPORT-EX 2 fp0087600-1_nportex.htm SCHEDULE F

Gallery Trust

Mondrian International Value

Equity Fund

January 31, 2024

(Unaudited)

 
 

Schedule of Investments

 

COMMON STOCK — 99.3%

   

Number of Shares

   

Value
(U.S. $)

 

AUSTRALIA — 1.5%

Aurizon Holdings Ltd

    4,918,801     $ 12,125,040  

Total Australia

            12,125,040  
                 

AUSTRIA — 1.0%

ANDRITZ

    133,289       8,205,569  

Total Austria

            8,205,569  
                 

FRANCE — 9.2%

Bouygues SA

    502,685       18,414,582  

Cie de Saint-Gobain SA

    171,743       12,143,305  

Kering SA

    46,994       19,303,819  

Sanofi SA

    220,162       22,048,146  

Total France

            71,909,852  
                 

GERMANY — 9.6%

Allianz SE

    89,022       23,784,447  

Continental AG

    157,252       12,845,972  

Deutsche Post

    176,899       8,472,390  

Evonik Industries AG

    902,336       16,599,435  

HeidelbergMaterials AG

    149,542       13,809,321  

Total Germany

            75,511,565  
                 

HONG KONG — 5.1%

CK Hutchison Holdings Ltd

    3,347,000       17,286,656  

Jardine Matheson Holdings Ltd

    301,715       12,115,124  

WH Group Ltd

    18,494,139       10,911,453  

Total Hong Kong

            40,313,233  
                 

ITALY — 7.0%

Enel SpA

    3,704,333       25,275,955  

Eni SpA

    502,577       8,011,717  

Snam SpA

    4,476,062       21,860,759  

Total Italy

            55,148,431  
                 

 

 

Gallery Trust

Mondrian International Value

Equity Fund

January 31, 2024

(Unaudited)

 
 

COMMON STOCK — continued

 

 

Number of Shares

   

Value
(U.S. $)

 

JAPAN — 27.7%

FUJIFILM Holdings Corp

    320,100     $ 20,289,516  

Fujitsu Ltd

    168,700       23,350,497  

Hitachi Ltd

    194,800       15,301,608  

Honda Motor Co Ltd

    1,139,300       12,735,167  

Kao Corp

    152,000       6,014,271  

Kyocera Corp

    837,500       12,261,066  

MINEBEA MITSUMI

    527,700       10,907,670  

Mitsubishi Electric Corp

    629,800       9,346,421  

Nippon Telegraph & Telephone Corp

    7,212,200       9,056,756  

Secom Co Ltd

    186,400       13,528,980  

Sekisui Chemical Co Ltd

    389,100       5,555,392  

Sony Corp Group

    256,500       25,154,544  

Sumitomo Metal Mining

    331,700       9,167,750  

Takeda Pharmaceutical Co Ltd

    602,400       17,704,825  

Tokio Marine Holdings Inc

    340,056       8,966,404  

Toyota Industries Corp

    214,100       18,108,387  

Total Japan

            217,449,254  
                 

NETHERLANDS — 2.9%

Koninklijke Philips NV *

    1,061,583       22,458,286  

Total Netherlands

            22,458,286  
                 

SINGAPORE — 4.1%

Singapore Telecommunications Ltd

    5,992,102       10,680,833  

United Overseas Bank Ltd

    1,012,140       21,334,433  

Total Singapore

            32,015,266  
                 

SPAIN — 3.2%

Banco Santander SA

    6,155,633       24,739,753  

Total Spain

            24,739,753  
                 

SWITZERLAND — 4.0%

Novartis AG

    200,609       20,745,739  

Sandoz Group *

    311,105       10,669,364  

Total Switzerland

            31,415,103  
                 

 

 

Gallery Trust

Mondrian International Value

Equity Fund

January 31, 2024

(Unaudited)

 
 

COMMON STOCK — continued

 

  Number of Shares    

Value
(U.S. $)

 

TAIWAN — 1.6%

Taiwan Semiconductor Manufacturing Co Ltd

    607,000     $ 12,151,229  

Total Taiwan

            12,151,229  
                 

UNITED KINGDOM — 22.4%

Associated British Foods PLC

    417,276       12,359,435  

BP PLC

    2,835,537       16,560,700  

GSK PLC

    1,188,133       23,498,558  

Imperial Brands PLC

    1,011,314       24,276,696  

Kingfisher PLC

    4,540,028       12,622,754  

Lloyds Banking Group PLC

    42,455,654       22,758,551  

Shell PLC

    522,796       16,207,875  

SSE PLC

    840,829       17,907,913  

Tesco PLC

    3,113,466       11,282,006  

WPP PLC

    1,878,729       18,168,215  

Total United Kingdom

            175,642,703  
                 

Total Common Stock

               

(Cost $739,129,666)

            779,085,284  

Total Value of Securities — 99.3%

               

(Cost $739,129,666)

          $ 779,085,284  
                 

 

Percentages are based on Net Assets of $784,755,770.

*

Non-income producing security.

 

Ltd — Limited

PLC — Public Limited Company

 

MON-QH-001-1600

 

 

Gallery Trust

Mondrian Emerging Markets Value

Equity Fund

January 31, 2024

(Unaudited)

 
 

Schedule of Investments

 

COMMON STOCK — 92.2%

   

Number of Shares

   

Value
(U.S. $)

 

BRAZIL — 7.2%

Hypera SA

    33,300     $ 213,536  

Itau Unibanco Holding SA Sponsored ADR

    13,827       91,258  

Petroleo Brasileiro ADR

    24,578       419,546  

Suzano SA

    31,000       323,928  

Vale Sponsored ADR Class B

    26,411       361,567  

Total Brazil

            1,409,835  
                 

CANADA — 1.5%

Barrick Gold Corp US

    18,488       288,413  

Total Canada

            288,413  
                 

CHILE — 0.9%

Sociedad Quimica y Minera de Chile Sponsored ADR

    4,238       178,293  

Total Chile

            178,293  
                 

CHINA — 25.1%

Alibaba Group Holding Ltd

    94,884       851,012  

Autohome Inc Sponsored ADR

    12,269       309,179  

Baidu Inc Sponsored ADR *

    1,995       210,093  

China Medical System Holdings Ltd

    108,000       154,336  

China Merchants Bank Class A

    63,300       271,246  

China Merchants Bank Co Ltd Class H

    14,000       51,035  

China Yangtze Power Class A

    62,300       211,882  

CSPC Pharmaceutical Group Ltd

    475,520       349,835  

Gree Electric Appliances Inc Class A

    58,696       288,675  

Jiangsu Yanghe Brewery Joint-Stock Co Ltd Class A

    12,212       155,628  

LONGi Green Energy Technology Class A

    75,300       202,998  

Midea Group Co Ltd Class A

    35,203       285,693  

Ping An Insurance Group Co of China Ltd Class H

    89,500       376,217  

Tencent Holdings Ltd

    13,400       465,132  

Tingyi Cayman Islands Holding Corp Class H

    220,000       219,062  

Wuliangye Yibin Class A

    11,200       197,700  

Xinyi Solar Holdings Ltd

    262,000       120,295  

 

 

Gallery Trust

Mondrian Emerging Markets Value

Equity Fund

January 31, 2024

(Unaudited)

 
 

COMMON STOCK — continued

 

 

Number of Shares

   

Value
(U.S. $)

 

CHINA (continued)

Yum China Holdings Inc

    5,101     $ 176,444  

Total China

            4,896,462  
                 

HONG KONG — 1.4%

WH Group Ltd

    455,728       268,877  

Total Hong Kong

            268,877  
                 

INDIA — 11.7%

Axis Bank Inc

    39,979       514,023  

HCL Technologies Ltd

    8,306       157,529  

HDFC Bank

    39,205       689,452  

Infosys Ltd Sponsored ADR

    13,765       273,373  

Power Grid Corp of India Ltd

    122,543       382,745  

Reliance Industries Ltd

    7,528       258,636  

Total India

            2,275,758  
                 

INDONESIA — 3.9%

Bank Rakyat Indonesia Persero Tbk PT

    1,392,839       501,750  

Telkom Indonesia Persero

    1,063,000       266,629  

Total Indonesia

            768,379  
                 

MALAYSIA — 0.8%

Malayan Banking Bhd

    75,500       147,678  

Total Malaysia

            147,678  
                 

MEXICO — 3.0%

Grupo Aeroportuario Pacifico Class B

    16,319       254,103  

Grupo Financiero Banorte SAB de CV Sponsored Class O

    32,301       328,443  

Total Mexico

            582,546  
                 

PERU — 2.6%

Credicorp Ltd

    3,454       512,677  

Total Peru

            512,677  
                 

 

 

Gallery Trust

Mondrian Emerging Markets Value

Equity Fund

January 31, 2024

(Unaudited)

 
 

COMMON STOCK — continued

 

 

Number of Shares

   

Value
(U.S. $)

 

PORTUGAL — 1.3%

Jeronimo Martins SGPS

    11,103     $ 252,518  

Total Portugal

            252,518  
                 

SAUDI ARABIA — 3.3%

Saudi National Bank

    36,697       396,307  

Saudi Telecom

    22,260       242,225  

Total Saudi Arabia

            638,532  
                 

SOUTH KOREA — 9.0%

KT Corp *

    4,662       123,487  

KT Corp ADR *

    11,837       156,130  

LG Chem Ltd

    468       151,765  

Samsung Electronics Co Ltd

    7,631       414,644  

Samsung Fire & Marine Insurance Co Ltd

    1,443       285,541  

Shinhan Financial Group Co Ltd

    13,524       414,377  

SK Hynix Inc

    1,978       198,078  

Total South Korea

            1,744,022  
                 

TAIWAN — 14.3%

CTBC Financial Holding Co Ltd

    327,000       296,659  

Hon Hai Precision Industry Co Ltd

    152,000       497,226  

MediaTek Inc

    7,000       216,003  

Taiwan Semiconductor Manufacturing Co Ltd

    89,000       1,781,647  

Total Taiwan

            2,791,535  
                 

UNITED ARAB EMIRATES — 2.5%

Adnoc Gas

    274,076       239,988  

First Abu Dhabi Bank PJSC

    59,493       237,181  

Total United Arab Emirates

            477,169  
                 

UNITED KINGDOM — 3.7%

Mondi PLC

    17,193       308,087  

 

 

Gallery Trust

Mondrian Emerging Markets Value

Equity Fund

January 31, 2024

(Unaudited)

 
 

COMMON STOCK — continued

 

 

Number of Shares

   

Value
(U.S. $)

 

UNITED KINGDOM (continued)

Unilever PLC

    8,324     $ 405,773  

Total United Kingdom

            713,860  
                 

Total Common Stock

               

(Cost $18,026,551)

            17,946,554  

PREFERRED STOCK — 6.8%

                 

BRAZIL — 1.3%

Itausa SA**

    124,290       251,870  
                 

SOUTH KOREA — 5.5%

LG Chem Ltd**

    743       150,634  

Samsung Electronics Co Ltd**

    21,129       924,518  
              1,075,152  

Total Preferred Stock

               

(Cost $1,237,866)

            1,327,022  

Total Value of Securities — 99.0%

               

(Cost $19,264,417)

          $ 19,273,576  
                 

 

Percentages are based on Net Assets of $19,472,559.

*

Non-income producing security.

**

There is currently no rate available.

 

ADR — American Depositary Receipt

Ltd — Limited

PLC — Public Limited Company

 

MON-QH-001-1600

 

 

Gallery Trust

Mondrian Global Listed

Infrastructure Fund

January 31, 2024

(Unaudited)

 
 

Schedule of Investments

 

COMMON STOCK — 100.2%

   

Number of Shares

   

Value
(U.S. $)

 

AUSTRALIA — 4.3%

Aurizon Holdings Ltd

    30,734     $ 75,760  

Total Australia

            75,760  
                 

CANADA — 8.5%

Enbridge Inc

    2,074       73,646  

TC Energy

    1,914       75,509  

Total Canada

            149,155  
                 

CHILE — 3.0%

Enel Americas SA

    526,148       53,322  

Total Chile

            53,322  
                 

CHINA — 6.4%

Guangdong Investment Ltd

    84,000       48,835  

Jiangsu Expressway Co Ltd Class H

    68,000       64,925  

Total China

            113,760  
                 

FRANCE — 11.4%

Eiffage SA

    735       76,903  

Rubis SCA

    2,621       66,275  

Veolia Environnement SA

    1,783       58,097  

Total France

            201,275  
                 

ITALY — 11.5%

Enav SpA

    20,221       74,836  

Enel SpA

    11,002       75,071  

Snam SpA

    10,742       52,463  

Total Italy

            202,370  
                 

MALAYSIA — 3.8%

Westports Holdings

    82,400       66,191  

Total Malaysia

            66,191  
                 

MEXICO — 5.2%

Grupo Aeroportuario del Centro Norte Class B

    3,496       31,953  

 

 

Gallery Trust

Mondrian Global Listed

Infrastructure Fund

January 31, 2024

(Unaudited)

 
 

COMMON STOCK — continued

 

 

Number of Shares

   

Value
(U.S. $)

 

MEXICO (continued)

Promotora y Operadora de Infraestructura SAB de CV

    6,119     $ 60,225  

Total Mexico

            92,178  
                 

PORTUGAL — 3.7%

EDP - Energias de Portugal SA

    14,678       65,470  

Total Portugal

            65,470  
                 

SPAIN — 11.2%

Cellnex Telecom

    1,808       69,567  

Iberdrola SA

    4,917       59,205  

Redeia Corp SA

    4,152       69,089  

Total Spain

            197,861  
                 

UNITED KINGDOM — 3.2%

SSE PLC

    2,627       55,950  

Total United Kingdom

            55,950  
                 

UNITED STATES — 28.0%

American Tower REIT

    335       65,543  

CSX Corp

    2,097       74,863  

Edison International

    1,095       73,891  

Eversource Energy

    979       53,081  

HCA Healthcare Inc

    260       79,274  

Norfolk Southern

    327       76,923  

Prologis

    557       70,566  

Total United States

            494,141  
                 

Total Common Stock

               

(Cost $1,804,976)

            1,767,433  

 


 

Gallery Trust

Mondrian Global Listed

Infrastructure Fund

January 31, 2024

(Unaudited)

 
 

RIGHTS — 0.0%

      Number of Rights    

Value
(U.S. $)

 

Iberdrola * (A)(B)

    4,917     $ 1,011  
                 

Total Rights

               

(Cost $–)

            1,011  

Total Value of Securities — 100.2%

               

(Cost $1,804,976)

          $ 1,768,444  
                 

 

Percentages are based on Net Assets of $1,764,154.

*

Non-income producing security.

(A)

Expiration date is unavailable.

(B)

Strike price is unavailable.

 

Ltd — Limited

PLC — Public Limited Company

REIT — Real Estate Investment Trust

 

MON-QH-001-1600

 

 

Gallery Trust

Mondrian Global Equity

Value Fund

January 31, 2024

(Unaudited)

 
 

Schedule of Investments

 

COMMON STOCK — 97.0%

   

Number of Shares

   

Value
(U.S. $)

 

AUSTRALIA — 1.4%

Aurizon Holdings Ltd

    995,870     $ 2,454,859  

Total Australia

            2,454,859  
                 

BRAZIL — 0.9%

Hypera SA

    236,800       1,518,476  

Total Brazil

            1,518,476  
                 

CANADA — 2.0%

TC Energy

    88,800       3,503,256  

Total Canada

            3,503,256  
                 

CHINA — 3.9%

Alibaba Group Holding Ltd

    366,700       3,288,924  

Autohome Inc ADR

    33,483       843,772  

Midea Group Co Ltd Class A

    193,755       1,572,436  

Ping An Insurance Group Co of China Ltd Class H

    247,500       1,040,377  

Total China

            6,745,509  
                 

FRANCE — 2.2%

Sanofi SA

    38,333       3,838,862  

Total France

            3,838,862  
                 

GERMANY — 1.2%

Deutsche Post

    43,544       2,085,494  

Total Germany

            2,085,494  
                 

HONG KONG — 0.5%

WH Group Ltd

    1,367,457       806,793  

Total Hong Kong

            806,793  
                 

INDIA — 1.4%

HDFC Bank

    138,048       2,427,686  

Total India

            2,427,686  
                 

 

 

Gallery Trust

Mondrian Global Equity

Value Fund

January 31, 2024

(Unaudited)

 
 

COMMON STOCK — continued

 

 

Number of Shares

   

Value
(U.S. $)

 

ITALY — 4.6%

Enel SpA

    684,979     $ 4,673,850  

Snam SpA

    644,430       3,147,349  

Total Italy

            7,821,199  
                 

JAPAN — 13.1%

Fujitsu Ltd

    30,600       4,235,479  

Hitachi Ltd

    29,300       2,301,525  

SCSK Corp

    129,600       2,544,648  

Sony Corp Group

    51,500       5,050,522  

Sumitomo Metal Mining

    28,700       793,230  

Sundrug Co Ltd

    143,500       4,328,000  

Toyota Industries Corp

    35,700       3,019,474  

Total Japan

            22,272,878  
                 

NETHERLANDS — 2.4%

Koninklijke Philips NV *

    192,313       4,068,472  

Total Netherlands

            4,068,472  
                 

PERU — 0.8%

Credicorp Ltd

    8,939       1,326,816  

Total Peru

            1,326,816  
                 

SOUTH KOREA — 0.8%

Samsung Electronics Co Ltd

    24,331       1,322,070  

Total South Korea

            1,322,070  
                 

TAIWAN — 1.4%

Taiwan Semiconductor Manufacturing Co Ltd

    122,000       2,442,257  

Total Taiwan

            2,442,257  
                 

UNITED KINGDOM — 6.8%

Associated British Foods PLC

    73,180       2,167,542  

GSK PLC

    114,680       2,268,109  

Imperial Brands PLC

    164,343       3,945,071  

Lloyds Banking Group PLC

    6,120,350       3,280,842  

Total United Kingdom

            11,661,564  
                 

 

 

Gallery Trust

Mondrian Global Equity

Value Fund

January 31, 2024

(Unaudited)

 
 

COMMON STOCK — continued

 

 

Number of Shares

   

Value
(U.S. $)

 

UNITED STATES — 53.6%

AbbVie Inc

    28,808     $ 4,736,035  

Amazon.com *

    19,461       3,020,347  

American Tower REIT

    16,237       3,176,769  

Autoliv

    33,146       3,550,600  

Berkshire Hathaway Class B *

    10,937       4,196,965  

CDW Corp

    17,043       3,863,989  

Centene Corp *

    49,290       3,712,030  

CNH Industrial

    132,482       1,589,784  

Colgate-Palmolive

    49,624       4,178,341  

Dollar Tree Inc *

    36,935       4,824,450  

DuPont de Nemours

    53,683       3,317,609  

Exxon Mobil Corp

    23,722       2,438,859  

HCA Healthcare Inc

    16,561       5,049,450  

Kenvue Inc

    141,903       2,945,909  

L3Harris Technologies Inc

    21,946       4,573,985  

Laboratory Corp of America Holdings

    18,568       4,127,666  

Meta Platforms Inc Class A *

    12,870       5,021,102  

Micron Technology Inc

    27,659       2,371,759  

Microsoft Corp

    10,090       4,011,582  

NNN REIT Class REIT

    37,369       1,507,465  

Prologis

    4,863       616,093  

Stericycle Inc *

    66,238       3,179,424  

UnitedHealth Group

    7,112       3,639,495  

Visa Inc Class A

    11,267       3,078,820  

Walmart Inc

    24,454       4,041,024  

Wells Fargo & Co

    95,619       4,798,161  

Total United States

            91,567,713  
                 

Total Common Stock

               

(Cost $146,426,390)

            165,863,904  

 

 

Gallery Trust

Mondrian Global Equity

Value Fund

January 31, 2024

(Unaudited)

 
 

PREFERRED STOCK — 2.0%

   

Number of Shares

   

Value
(U.S. $)

 

SOUTH KOREA — 2.0%

Samsung Electronics Co Ltd**

    78,428       3,431,684  
                 

Total Preferred Stock

               

(Cost $3,606,791)

            3,431,684  

Total Value of Securities — 99.0%

               

(Cost $150,033,181)

          $ 169,295,588  
                 

 

Percentages are based on Net Assets of $171,009,785.

*

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

 

MON-QH-001-1600