0001145549-23-019593.txt : 20230330 0001145549-23-019593.hdr.sgml : 20230330 20230329174906 ACCESSION NUMBER: 0001145549-23-019593 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 3 CONFORMED PERIOD OF REPORT: 20230131 FILED AS OF DATE: 20230330 DATE AS OF CHANGE: 20230329 PERIOD START: 20231031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Davis Fundamental ETF Trust CENTRAL INDEX KEY: 0001670310 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23181 FILM NUMBER: 23776402 BUSINESS ADDRESS: STREET 1: 2949 E. ELVIRA ROAD SUITE 101 CITY: TUCSON STATE: AZ ZIP: 85756 BUSINESS PHONE: 5204343778 MAIL ADDRESS: STREET 1: 2949 E. ELVIRA ROAD SUITE 101 CITY: TUCSON STATE: AZ ZIP: 85756 0001670310 S000055342 Davis Select U.S. Equity ETF C000174138 Davis Select U.S. Equity ETF DUSA NPORT-P 1 primary_doc.xml NPORT-P false 0001670310 XXXXXXXX S000055342 C000174138 Davis Fundamental ETF Trust 811-23181 0001670310 254900TFED1P6S2E2805 2949 E. 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DAVIS FUNDAMENTAL ETF TRUST
Schedule of Investments
DAVIS SELECT U.S. EQUITY ETF
January 31, 2023 (Unaudited)

 
Shares
 
Value
COMMON STOCK – (99.63%)
 
COMMUNICATION SERVICES – (14.46%)
   
Media & Entertainment – (14.46%)
     
Alphabet Inc., Class C  *
   
281,518
 
$
28,115,203
 
Meta Platforms, Inc., Class A  *
   
148,984
   
22,194,146
     
Total Communication Services
   
50,309,349
 
CONSUMER DISCRETIONARY – (8.96%)
 
Retailing – (8.96%)
 
Amazon.com, Inc.  *
   
189,265
   
19,518,899
 
JD.com, Inc., Class A, ADR  (China)
   
130,379
   
7,761,462
 
Naspers Ltd. - N  (South Africa)
   
7,518
   
1,453,522
 
Prosus N.V., Class N  (Netherlands)
   
30,406
   
2,455,139
 
Total Consumer Discretionary
   
31,189,022
 
FINANCIALS – (54.08%)
 
Banks – (21.64%)
 
Bank of America Corp.
   
179,962
   
6,385,052
 
Danske Bank A/S  (Denmark)
   
248,121
   
5,169,245
 
DBS Group Holdings Ltd.  (Singapore)
   
499,491
   
13,674,201
 
JPMorgan Chase & Co.
   
73,762
   
10,323,730
 
U.S. Bancorp
   
336,285
   
16,746,993
 
Wells Fargo & Co.
   
490,352
   
22,982,798
     
75,282,019
 
Diversified Financials – (24.04%)
 
Capital Markets – (3.29%)
 
Bank of New York Mellon Corp.
   
226,804
   
11,469,478
 
Consumer Finance – (11.01%)
 
American Express Co.
   
31,746
   
5,553,328
 
Capital One Financial Corp.
   
275,248
   
32,754,512
   
38,307,840
 
Diversified Financial Services – (9.74%)
 
Berkshire Hathaway Inc., Class B  *
   
108,782
   
33,887,769
     
83,665,087
 
Insurance – (8.40%)
 
Life & Health Insurance – (4.38%)
 
AIA Group Ltd.  (Hong Kong)
   
636,220
   
7,194,150
 
Ping An Insurance (Group) Co. of China, Ltd. - H  (China)
   
1,036,590
   
8,051,922
   
15,246,072
 
Property & Casualty Insurance – (4.02%)
 
Markel Corp.  *
   
9,929
   
13,989,762
     
29,235,834
 
Total Financials
   
188,182,940
 
HEALTH CARE – (10.77%)
 
Health Care Equipment & Services – (7.02%)
 
Cigna Group
   
52,165
   
16,519,091
 
Quest Diagnostics Inc.
   
53,190
   
7,897,651
     
24,416,742
 
Pharmaceuticals, Biotechnology & Life Sciences – (3.75%)
 
Viatris Inc.
   
1,073,868
   
13,058,235
 
Total Health Care
   
37,474,977


1


DAVIS FUNDAMENTAL ETF TRUST
Schedule of Investments
DAVIS SELECT U.S. EQUITY ETF - (CONTINUED)
January 31, 2023 (Unaudited)

 
Shares/Principal
 
Value
COMMON STOCK – (CONTINUED)
 
INDUSTRIALS – (1.96%)
   
Capital Goods – (1.96%)
     
Owens Corning
   
70,686
 
$                     
6,831,802
           
               Total Industrials
   
6,831,802
 
INFORMATION TECHNOLOGY – (7.12%)
 
Semiconductors & Semiconductor Equipment – (4.88%)
 
Applied Materials, Inc.
   
90,889
   
10,133,214
 
Intel Corp.
   
242,622
   
6,856,498
     
16,989,712
 
Technology Hardware & Equipment – (2.24%)
 
Samsung Electronics Co., Ltd.  (South Korea)
   
156,212
   
7,780,956
 
               Total Information Technology
   
24,770,668
 
MATERIALS – (2.28%)
 
Teck Resources Ltd., Class B  (Canada)
   
182,895
   
7,919,353
 
               Total Materials
   
7,919,353
 
 
                                   TOTAL COMMON STOCK – (Identified cost $266,955,186)

   
 346,678,111
SHORT-TERM INVESTMENTS – (0.39%)
 
StoneX Financial Inc. Joint Repurchase Agreement, 4.30%, 02/01/23,
dated 01/31/23, repurchase value of $790,094 (collateralized by: U.S.
Government agency mortgages and obligations in a pooled cash
account, 0.25%-9.50%, 02/15/23-09/20/70, total market value $805,800)
 
$
790,000
   
790,000
 
Truist Securities, Inc. Joint Repurchase Agreement, 4.29%, 02/01/23,
dated 01/31/23, repurchase value of $582,069 (collateralized by: U.S.
Government agency mortgages in a pooled cash account, 2.50%-7.00%,
01/01/30-01/01/53, total market value $593,640)
   
582,000
   
582,000
 
 
                                   TOTAL SHORT-TERM INVESTMENTS – (Identified cost $1,372,000)

   
 1,372,000
 
 
               Total Investments – (100.02%) – (Identified cost $268,327,186)
   
348,050,111
 
               Liabilities Less Other Assets – (0.02%)
   
(74,262)
 
                              Net Assets – (100.00%)
 
$
347,975,849
 
 
ADR: American Depositary Receipt
 
 
*
Non-income producing security.
 
Please refer to "Notes to Schedule of Investments" on page 10 for the Fund's policy regarding valuation of investments.
 
For information regarding the Fund's other significant accounting policies, please refer to the Fund's most recent Semi-Annual or Annual Shareholder Report.


2


DAVIS FUNDAMENTAL ETF TRUST
Schedule of Investments
DAVIS SELECT FINANCIAL ETF
January 31, 2023 (Unaudited)

 
Shares
 
Value
COMMON STOCK – (99.19%)
 
CONSUMER DISCRETIONARY – (1.35%)
   
Retailing – (1.35%)
     
Prosus N.V., Class N  (Netherlands)
   
31,530
 
$
2,545,897
     
Total Consumer Discretionary
   
2,545,897
 
FINANCIALS – (97.84%)
 
Banks – (47.66%)
 
Banks – (45.59%)
 
Bank of America Corp.
   
205,431
   
7,288,692
 
Bank of N.T. Butterfield & Son Ltd.  (Bermuda)
   
127,031
   
4,059,911
 
Danske Bank A/S  (Denmark)
   
320,330
   
6,673,616
 
DBS Group Holdings Ltd.  (Singapore)
   
330,686
   
9,052,950
 
DNB Bank ASA  (Norway)
   
209,180
   
3,911,575
 
Fifth Third Bancorp
   
235,648
   
8,551,666
 
JPMorgan Chase & Co.
   
68,822
   
9,632,327
 
M&T Bank Corp.
   
21,565
   
3,364,140
 
Metro Bank PLC  (United Kingdom)*
   
285,372
   
487,595
 
PNC Financial Services Group, Inc.
   
48,651
   
8,048,335
 
Truist Financial Corp.
   
69,290
   
3,422,233
 
U.S. Bancorp
   
232,560
   
11,581,488
 
Wells Fargo & Co.
   
213,677
   
10,015,041
   
86,089,569
 
Thrifts & Mortgage Finance – (2.07%)
 
Rocket Companies, Inc., Class A
   
415,838
   
3,913,036
     
90,002,605
 
Diversified Financials – (32.69%)
 
Capital Markets – (14.38%)
 
Bank of New York Mellon Corp.
   
192,809
   
9,750,351
 
Charles Schwab Corp.
   
39,758
   
3,078,064
 
Julius Baer Group Ltd.  (Switzerland)
   
165,055
   
10,587,340
 
State Street Corp.
   
40,966
   
3,741,425
   
27,157,180
 
Consumer Finance – (11.91%)
 
American Express Co.
   
43,233
   
7,562,749
 
Capital One Financial Corp.
   
125,465
   
14,930,335
   
22,493,084
 
Diversified Financial Services – (6.40%)
 
Berkshire Hathaway Inc., Class B  *
   
38,796
   
12,085,730
     
61,735,994
 
Insurance – (17.49%)
 
Life & Health Insurance – (1.31%)
 
Ping An Insurance (Group) Co. of China, Ltd. - H  (China)
   
319,000
   
2,477,897
 
Property & Casualty Insurance – (14.47%)
 
Chubb Ltd.
   
47,522
   
10,810,780
 
Loews Corp.
   
95,382
   
5,864,085
 
Markel Corp.  *
   
7,567
   
10,661,752
   
27,336,617
 
Reinsurance – (1.71%)
 
Everest Re Group, Ltd.
   
6,452
   
2,256,200


3


DAVIS FUNDAMENTAL ETF TRUST
Schedule of Investments
DAVIS SELECT FINANCIAL ETF - (CONTINUED)
January 31, 2023 (Unaudited)

 
Shares/Principal
 
Value
COMMON STOCK – (CONTINUED)
 
FINANCIALS – (CONTINUED)
   
Insurance – (Continued)
     
Reinsurance – (Continued)
   
Greenlight Capital Re, Ltd., Class A  *
   
98,042
 
$                               
965,713
   
3,221,913
     
33,036,427
           
                                        Total Financials
   
184,775,026
 
 
                                             TOTAL COMMON STOCK – (Identified cost $157,808,214)

   
 187,320,923
SHORT-TERM INVESTMENTS – (0.72%)
 
StoneX Financial Inc. Joint Repurchase Agreement, 4.30%, 02/01/23,
dated 01/31/23, repurchase value of $779,093 (collateralized by: U.S.
Government agency mortgages and obligations in a pooled cash
account, 0.25%-9.50%, 02/15/23-09/20/70, total market value $794,580)
 
$
779,000
   
779,000
 
Truist Securities, Inc. Joint Repurchase Agreement, 4.29%, 02/01/23,
dated 01/31/23, repurchase value of $574,068 (collateralized by: U.S.
Government agency mortgages in a pooled cash account, 2.00%-6.00%,
07/01/28-02/01/53, total market value $585,480)
   
574,000
   
574,000
 
 
                                             TOTAL SHORT-TERM INVESTMENTS – (Identified cost $1,353,000)

   
 1,353,000
 
 
                    Total Investments – (99.91%) – (Identified cost $159,161,214)
   
188,673,923
 
                    Other Assets Less Liabilities – (0.09%)
   
177,728
 
                                             Net Assets – (100.00%)
 
$
188,851,651
 
 
*
Non-income producing security.
 
Please refer to "Notes to Schedule of Investments" on page 10 for the Fund's policy regarding valuation of investments.
 
For information regarding the Fund's other significant accounting policies, please refer to the Fund's most recent Semi-Annual or Annual Shareholder Report.


4


DAVIS FUNDAMENTAL ETF TRUST
Schedule of Investments
DAVIS SELECT WORLDWIDE ETF
January 31, 2023 (Unaudited)

 
Shares
 
Value
COMMON STOCK – (99.84%)
 
COMMUNICATION SERVICES – (12.39%)
   
Media & Entertainment – (12.39%)
     
Alphabet Inc., Class C  *
   
87,326
 
$
8,721,248
 
IAC Inc.  *
   
27,034
   
1,527,421
 
iQIYI, Inc., Class A, ADR  (China)*
   
209,887
   
1,406,243
 
Liberty Media Corp., Liberty Formula One, Series A  *
   
57,765
   
3,678,475
 
Liberty Media Corp., Liberty Formula One, Series C  *
   
35,823
   
2,536,268
 
Meta Platforms, Inc., Class A  *
   
95,108
   
14,168,239
     
Total Communication Services
   
32,037,894
 
CONSUMER DISCRETIONARY – (21.35%)
 
Consumer Durables & Apparel – (1.23%)
 
Fila Holdings Corp.  (South Korea)
   
100,216
   
3,165,318
 
Retailing – (20.12%)
 
Alibaba Group Holding Ltd., ADR  (China)*
   
64,856
   
7,147,131
 
Amazon.com, Inc.  *
   
98,295
   
10,137,163
 
Coupang, Inc., Class A  (South Korea)*
   
126,158
   
2,130,809
 
Delivery Hero SE  (Germany)*
   
73,422
   
4,438,864
 
JD.com, Inc., Class A, ADR  (China)
   
137,773
   
8,201,627
 
Meituan, Class B  (China)*
   
269,640
   
6,028,039
 
Naspers Ltd. - N  (South Africa)
   
17,616
   
3,405,857
 
Prosus N.V., Class N  (Netherlands)
   
130,637
   
10,548,314
     
52,037,804
 
Total Consumer Discretionary
   
55,203,122
 
CONSUMER STAPLES – (1.03%)
 
Food, Beverage & Tobacco – (1.03%)
 
Darling Ingredients Inc.  *
   
40,222
   
2,666,316
 
Total Consumer Staples
   
2,666,316
 
FINANCIALS – (42.71%)
 
Banks – (18.93%)
 
Bank of N.T. Butterfield & Son Ltd.  (Bermuda)
   
119,309
   
3,813,116
 
Danske Bank A/S  (Denmark)
   
748,165
   
15,586,945
 
DBS Group Holdings Ltd.  (Singapore)
   
501,736
   
13,735,661
 
Metro Bank PLC  (United Kingdom)*
   
439,849
   
751,539
 
Wells Fargo & Co.
   
321,484
   
15,067,955
     
48,955,216
 
Diversified Financials – (13.51%)
 
Capital Markets – (5.66%)
 
Julius Baer Group Ltd.  (Switzerland)
   
201,577
   
12,930,019
 
Noah Holdings Ltd., Class A, ADS  (China)*
   
89,751
   
1,698,986
   
14,629,005
 
Consumer Finance – (3.81%)
 
Capital One Financial Corp.
   
82,696
   
9,840,824
 
Diversified Financial Services – (4.04%)
 
Berkshire Hathaway Inc., Class B  *
   
33,576
   
10,459,595
     
34,929,424
 
Insurance – (10.27%)
 
Life & Health Insurance – (10.27%)
 
AIA Group Ltd.  (Hong Kong)
   
870,490
   
9,843,191


5


DAVIS FUNDAMENTAL ETF TRUST
Schedule of Investments
DAVIS SELECT WORLDWIDE ETF - (CONTINUED)
January 31, 2023 (Unaudited)

 
Shares/Principal
 
Value
COMMON STOCK – (CONTINUED)
 
FINANCIALS – (CONTINUED)
   
Insurance – (Continued)
   
Life & Health Insurance – (Continued)
   
Ping An Insurance (Group) Co. of China, Ltd. - H  (China)
   
2,151,775
 
$                  
16,714,347
     
26,557,538
       
Total Financials
   
110,442,178
 
HEALTH CARE – (5.41%)
 
Health Care Equipment & Services – (2.23%)
 
Cigna Group
   
18,257
   
5,781,444
 
Pharmaceuticals, Biotechnology & Life Sciences – (3.18%)
 
Viatris Inc.
   
676,033
   
8,220,561
 
Total Health Care
   
14,002,005
 
INDUSTRIALS – (1.31%)
 
Capital Goods – (1.31%)
 
Owens Corning
   
35,024
   
3,385,070
 
Total Industrials
   
3,385,070
 
INFORMATION TECHNOLOGY – (12.08%)
 
Semiconductors & Semiconductor Equipment – (3.15%)
 
Applied Materials, Inc.
   
41,362
   
4,611,449
 
Intel Corp.
   
124,790
   
3,526,566
     
8,138,015
 
Software & Services – (0.59%)
 
Clear Secure, Inc., Class A
   
48,621
   
1,526,213
 
Technology Hardware & Equipment – (8.34%)
 
Hollysys Automation Technologies Ltd.  (China)
   
608,881
   
11,349,542
 
Samsung Electronics Co., Ltd.  (South Korea)
   
205,163
   
10,219,216
     
21,568,758
 
Total Information Technology
   
31,232,986
 
MATERIALS – (3.56%)
 
Teck Resources Ltd., Class B  (Canada)
   
212,652
   
9,207,832
 
Total Materials
   
9,207,832
 
 
                    TOTAL COMMON STOCK – (Identified cost $235,274,984)

   
 258,177,403
SHORT-TERM INVESTMENTS – (0.16%)
 
StoneX Financial Inc. Joint Repurchase Agreement, 4.30%, 02/01/23,
dated 01/31/23, repurchase value of $245,029 (collateralized by: U.S.
Government agency mortgages and obligations in a pooled cash
account, 0.25%-9.50%, 02/15/23-09/20/70, total market value $249,900)
 
$
245,000
   
245,000
 
Truist Securities, Inc. Joint Repurchase Agreement, 4.29%, 02/01/23,
dated 01/31/23, repurchase value of $180,021 (collateralized by: U.S.
Government agency mortgages in a pooled cash account, 2.00%-5.00%,
04/01/25-01/01/53, total market value $183,600)
   
180,000
   
180,000
 
 
                    TOTAL SHORT-TERM INVESTMENTS – (Identified cost $425,000)

   
 425,000


6


DAVIS FUNDAMENTAL ETF TRUST
Schedule of Investments
DAVIS SELECT WORLDWIDE ETF - (CONTINUED)
January 31, 2023 (Unaudited)

     
Total Investments – (100.00%) – (Identified cost $235,699,984)
 
$
258,602,403
 
Liabilities Less Other Assets – (0.00%)
   
(10,584)
       
Net Assets – (100.00%)
 
$
258,591,819
 
 
ADR: American Depositary Receipt
 
 
ADS: American Depositary Share
 
 
*
Non-income producing security.
 
Please refer to "Notes to Schedule of Investments" on page 10 for the Fund's policy regarding valuation of investments.
 
For information regarding the Fund's other significant accounting policies, please refer to the Fund's most recent Semi-Annual or Annual Shareholder Report.


7


DAVIS FUNDAMENTAL ETF TRUST
Schedule of Investments
DAVIS SELECT INTERNATIONAL ETF
January 31, 2023 (Unaudited)

 
Shares
 
Value
COMMON STOCK – (96.72%)
 
COMMUNICATION SERVICES – (5.21%)
   
Media & Entertainment – (5.21%)
     
Baidu, Inc., Class A, ADR  (China)*
   
53,405
 
$
7,192,585
 
iQIYI, Inc., Class A, ADR  (China)*
   
215,450
   
1,443,515
     
Total Communication Services
   
8,636,100
 
CONSUMER DISCRETIONARY – (28.52%)
 
Consumer Durables & Apparel – (4.46%)
 
Fila Holdings Corp.  (South Korea)
   
233,815
   
7,385,037
 
Retailing – (24.06%)
 
Alibaba Group Holding Ltd., ADR  (China)*
   
57,048
   
6,286,690
 
Coupang, Inc., Class A  (South Korea)*
   
182,384
   
3,080,466
 
Delivery Hero SE  (Germany)*
   
40,870
   
2,470,872
 
JD.com, Inc., Class A, ADR  (China)
   
108,090
   
6,434,598
 
Meituan, Class B  (China)*
   
267,670
   
5,983,997
 
Naspers Ltd. - N  (South Africa)
   
40,210
   
7,774,155
 
Prosus N.V., Class N  (Netherlands)
   
97,184
   
7,847,144
     
39,877,922
 
Total Consumer Discretionary
   
47,262,959
 
FINANCIALS – (37.41%)
 
Banks – (20.07%)
 
Bank of N.T. Butterfield & Son Ltd.  (Bermuda)
   
228,825
   
7,313,247
 
Danske Bank A/S  (Denmark)
   
467,457
   
9,738,797
 
DBS Group Holdings Ltd.  (Singapore)
   
381,290
   
10,438,298
 
DNB Bank ASA  (Norway)
   
279,021
   
5,217,572
 
Metro Bank PLC  (United Kingdom)*
   
322,019
   
550,211
     
33,258,125
 
Diversified Financials – (5.65%)
 
Capital Markets – (5.65%)
 
Julius Baer Group Ltd.  (Switzerland)
   
122,129
   
7,833,881
 
Noah Holdings Ltd., Class A, ADS  (China)*
   
80,699
   
1,527,632
     
9,361,513
 
Insurance – (11.69%)
 
Life & Health Insurance – (11.69%)
 
AIA Group Ltd.  (Hong Kong)
   
638,890
   
7,224,341
 
Ping An Insurance (Group) Co. of China, Ltd. - H  (China)
   
1,564,746
   
12,154,480
     
19,378,821
 
Total Financials
   
61,998,459
 
INDUSTRIALS – (7.35%)
 
Capital Goods – (7.35%)
 
Ferguson plc
   
52,731
   
7,429,532
 
Schneider Electric SE  (France)
   
29,303
   
4,753,402
 
Total Industrials
   
12,182,934
 
INFORMATION TECHNOLOGY – (13.70%)
 
Semiconductors & Semiconductor Equipment – (4.31%)
 
Tokyo Electron Ltd.  (Japan)
   
20,450
   
7,147,769
 
Technology Hardware & Equipment – (9.39%)
 
Hollysys Automation Technologies Ltd.  (China)
   
410,450
   
7,650,788
 
Samsung Electronics Co., Ltd.  (South Korea)
   
158,863
   
7,913,002
     
15,563,790
 
Total Information Technology
   
22,711,559


8


DAVIS FUNDAMENTAL ETF TRUST
Schedule of Investments
DAVIS SELECT INTERNATIONAL ETF - (CONTINUED)
January 31, 2023 (Unaudited)

 
Shares/Principal
 
Value
COMMON STOCK – (CONTINUED)
 
MATERIALS – (4.53%)
     
Teck Resources Ltd., Class B  (Canada)
   
173,272
 
$                  
7,502,678
         
                         Total Materials
   
7,502,678
 
 
                              TOTAL COMMON STOCK – (Identified cost $149,626,652)

   
 160,294,689
SHORT-TERM INVESTMENTS – (4.16%)
 
StoneX Financial Inc. Joint Repurchase Agreement, 4.30%, 02/01/23,
dated 01/31/23, repurchase value of $3,977,475 (collateralized by: U.S.
Government agency mortgages and obligations in a pooled cash
account, 0.25%-9.50%, 02/15/23-09/20/70, total market value
$4,056,540)
 
$
3,977,000
   
3,977,000
 
Truist Securities, Inc. Joint Repurchase Agreement, 4.29%, 02/01/23,
dated 01/31/23, repurchase value of $2,926,349 (collateralized by: U.S.
Government agency mortgages in a pooled cash account, 2.00%-6.50%,
04/01/25-01/01/53, total market value $2,984,520)
   
2,926,000
   
2,926,000
 
 
                              TOTAL SHORT-TERM INVESTMENTS – (Identified cost $6,903,000)

   
 6,903,000
 
 
               Total Investments – (100.88%) – (Identified cost $156,529,652)
   
167,197,689
 
               Liabilities Less Other Assets – (0.88%)
   
(1,463,922)
 
                                   Net Assets – (100.00%)
 
$
165,733,767
 
 
ADR: American Depositary Receipt
 
 
ADS: American Depositary Share
 
 
*
Non-income producing security.
 
Please refer to "Notes to Schedule of Investments" on page 10 for the Fund's policy regarding valuation of investments.
 
For information regarding the Fund's other significant accounting policies, please refer to the Fund's most recent Semi-Annual or Annual Shareholder Report.


9


DAVIS FUNDAMENTAL ETF TRUST
Notes to Schedule of Investments
 
January 31, 2023 (Unaudited)

Security Valuation - The Funds' Board of Trustees has designated Davis Selected Advisers, L.P. ("Adviser"), the Funds' investment adviser, as the valuation designee for the Funds. The Adviser has established a Pricing Committee to carry out the day-to-day valuation activities for the Funds. The Funds calculate the net asset value of their shares as of the close of the New York Stock Exchange ("Exchange"), normally 4:00 P.M. Eastern time, on each day the Exchange is open for business. Securities listed on the Exchange (and other national exchanges including NASDAQ) are valued at the last reported sales price on the day of valuation. Listed securities for which no sale was reported on that date are valued at the last quoted bid price. Securities traded on foreign exchanges are valued based upon the last sales price on the principal exchange on which the security is traded prior to the time when the Funds' assets are valued. Securities (including restricted securities) for which market quotations are not readily available or securities whose values have been materially affected by what the Adviser identifies as a significant event occurring before the Funds' assets are valued, but after the close of their respective exchanges, will be fair valued using a fair valuation methodology applicable to the security type or the significant event as previously approved by the Pricing Committee. The Pricing Committee considers all facts it deems relevant that are reasonably available, through either public information or information available to the Adviser's portfolio management team, when determining the fair value of a security. To assess the appropriateness of security valuations, the Pricing Committee may consider (i) comparing prior day prices and/or prices of comparable securities; (ii) comparing sale prices to the prior or current day prices and challenge those prices exceeding certain tolerance levels with the third-party pricing service or broker source; (iii) new rounds of financing; (iv) the performance of the market or the issuer's industry; (v) the liquidity of the security; (vi) the size of the holding in a fund; and/or (vii) any other appropriate information. The determination of a security's fair value price often involves the consideration of a number of subjective factors and is therefore subject to the unavoidable risk that the value assigned to a security may be higher or lower than the security's value would be if a reliable market quotation for the security was readily available.

Short-term investments purchased within 60 days to maturity are valued at amortized cost, which approximates market value.

On a quarterly basis, the Board of Trustees receives reports of valuation actions taken by the Pricing Committee. On at least an annual basis, the Board of Trustees receives an assessment of the adequacy and effectiveness of the Adviser's process for determining the fair value of the Funds' investments.

Fair Value Measurements - Fair value is defined as the price that the Funds would receive upon selling an investment in an orderly transaction to an independent buyer in the principal market for the investment. Various inputs are used to determine the fair value of the Funds' investments. These inputs are summarized in the three broad levels listed below.

Level 1 – 
quoted prices in active markets for identical securities
Level 2 – 
other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)
Level 3 – 
significant unobservable inputs (including the Fund's own assumptions in determining the fair value of
investments)

The inputs or methodologies used for valuing securities are not necessarily an indication of the risks associated with investing in those securities nor can it be assured that the Funds can obtain the fair value assigned to a security if they were to sell the security.


10


DAVIS FUNDAMENTAL ETF TRUST
Notes to Schedule of Investments – (Continued)
 
January 31, 2023 (Unaudited)

Security Valuation – (Continued)

Fair Value Measurements - (Continued)

The following is a summary of the inputs used as of January 31, 2023 in valuing each Fund's investments carried at value:

 
Investments in Securities at Value
 
Davis Select
 
Davis Select
 
Davis Select
 
Davis Select
 
U.S. Equity ETF
 
Financial ETF
 
Worldwide ETF
 
International ETF
Valuation Inputs
                     
Level 1 – Quoted Prices:
                     
Common Stock:
                     
Communication Services
$
50,309,349
 
$
 
$
32,037,894
 
$
8,636,100
Consumer Discretionary
 
27,280,361
   
   
27,616,730
   
15,801,754
Consumer Staples
 
   
   
2,666,316
   
Financials
 
154,093,422
   
151,584,053
   
40,880,476
   
8,840,879
Health Care
 
37,474,977
   
   
14,002,005
   
Industrials
 
6,831,802
   
   
3,385,070
   
Information Technology
 
16,989,712
   
   
21,013,770
   
7,650,788
Materials
 
7,919,353
   
   
9,207,832
   
7,502,678
Total Level 1
 
300,898,976
   
151,584,053
   
150,810,093
   
48,432,199
 
Level 2 – Other Significant Observable Inputs:
                     
Common Stock*:
                     
Consumer Discretionary
 
3,908,661
   
2,545,897
   
27,586,392
   
31,461,205
Financials
 
34,089,518
   
33,190,973
   
69,561,702
   
53,157,580
Industrials
 
   
   
   
12,182,934
Information Technology
 
7,780,956
   
   
10,219,216
   
15,060,771
Short-Term Investments
 
1,372,000
   
1,353,000
   
425,000
   
6,903,000
Total Level 2
 
47,151,135
   
37,089,870
   
107,792,310
   
118,765,490
 
Level 3 – Significant Unobservable Inputs:
                     
Total Level 3
 
   
   
   
Total Investments
$
348,050,111
 
$
188,673,923
 
$
258,602,403
 
$
167,197,689

*Includes certain securities trading primarily outside the U.S. whose value the Fund adjusted as a result of significant market movements following the close of local trading.

Federal Income Taxes

At January 31, 2023, the aggregate cost of investments and unrealized appreciation (depreciation) for federal income tax purposes were as follows:

 
Davis Select
 
Davis Select
 
Davis Select
 
 Davis Select
 
U.S. Equity ETF
 
Financial ETF
 
Worldwide ETF
 
International ETF
Cost
$
268,579,761
 
$
159,653,304
 
$
236,729,842
 
$
157,442,893
 
Unrealized appreciation
 
88,129,008
   
35,408,030
   
43,390,067
   
23,544,370
Unrealized depreciation
 
(8,658,658)
   
(6,387,411)
   
(21,517,506)
   
(13,789,574)
Net unrealized appreciation
$
79,470,350
 
$
29,020,619
 
$
21,872,561
 
$
9,754,796



11