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Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund

 

Shares/Units     Security  Value 
COMMON STOCKS - 98.2% 
BASIC MATERIALS - 1.1% 
Chemicals - 0.6% 
  2,163     Air Products & Chemicals Inc.  $621,733 
  1,143     Albemarle Corp.   304,598 
  1,086     Celanese Corp., Class A Shares   164,377 
  287,472     CF Industries Holdings Inc.   17,417,928 
  7,288     Dow Inc.   400,330 
  5,111     DuPont de Nemours Inc.   378,010 
  98,177     Eastman Chemical Co.   10,238,879 
  2,432     Ecolab Inc.   538,615 
  1,250     FMC Corp.   125,238 
  2,434     International Flavors & Fragrances Inc.   346,042 
  5,046     Linde PLC   1,605,334 
  2,582     LyondellBasell Industries NV, Class A Shares   224,970 
  3,333     Mosaic Co.   114,055 
  2,319     PPG Industries Inc.   357,520 
  2,367     Sherwin-Williams Co.   784,045 
        Total Chemicals   33,621,674 
Forest Products & Paper - 0.2%     
  230,236     International Paper Co.   10,480,343 
Iron/Steel - 0.0%     
  2,870     Nucor Corp.   304,966 
Mining - 0.3%     
  380,486     Freeport-McMoRan Inc.   14,108,421 
  7,809     Newmont Corp.   428,870 
        Total Mining   14,537,291 
        TOTAL BASIC MATERIALS   58,944,274 
COMMUNICATIONS - 22.1%     
Advertising - 0.1%     
  3,838     Interpublic Group of Cos., Inc.   127,383 
  2,095     Omnicom Group Inc.   141,014 
  52,200     Trade Desk Inc., Class A Shares*   5,398,524 
        Total Advertising   5,666,921 
Internet - 16.7%     
  246     Airbnb Inc., Class A Shares*   42,445 
  31,528     Alphabet Inc., Class A Shares*   89,474,888 
  29,729     Alphabet Inc., Class C Shares*   84,699,110 
  56,113     Amazon.com Inc.*   196,792,219 
  25,117     Booking Holdings Inc.*   52,792,166 
  1,344     CDW Corp.   254,500 
  332,543     Chewy Inc., Class A Shares*(a)   22,699,385 
  108,657     Coupang Inc., Class A Shares*   2,879,410 
  41,193     DoorDash Inc., Class A Shares*   7,364,073 
  6,352     eBay Inc.   428,506 
  41,533     Etsy Inc.*   11,404,131 
  104,184     Expedia Group Inc.*   16,783,001 
  59,345     F5 Inc.*   13,505,735 
  129,106     Farfetch Ltd., Class A Shares*(a)   4,442,537 
  5,459     IAC/InterActiveCorp*   729,595 
  11,400     Kuaishou Technology, Class B Shares*(b)   124,195 
  496,779     Match Group Inc.*   64,576,302 
  80,400     Meituan, Class B Shares*(b)   2,453,970 
  534,800     Meta Platforms Inc., Class A Shares*   173,521,208 
  43,065     Netflix Inc.*   27,643,423 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units    Security  Value 
COMMUNICATIONS - 22.1% - (continued)  
Internet - 16.7% - (continued)  
  5,666    NortonLifeLock Inc.  $140,800 
  25,100    Pinduoduo Inc., ADR*   1,669,150 
  70,351    Pinterest Inc., Class A Shares*   2,818,261 
  86,699    Sea Ltd., ADR*   24,975,381 
  3,569    Shopify Inc., Class A Shares*   5,431,269 
  356,155    Snap Inc., Class A Shares*   16,956,540 
  49,869    Spotify Technology SA*   11,893,756 
  217,151    Twitter Inc.*   9,541,615 
  756,617    Uber Technologies Inc.*   28,751,446 
  47,476    VeriSign Inc.*   11,389,967 
  26,204    Vimeo Inc., Class A, Private Placement*   505,999 
       Total Internet   886,684,983 
Media - 3.2%          
  1,239    Charter Communications Inc., Class A Shares*   800,741 
  751,283    Comcast Corp., Class A Shares   37,549,124 
  1,613    Discovery Inc., Class A Shares*(a)   37,535 
  2,998    Discovery Inc., Class C Shares*   68,085 
  2,526    DISH Network Corp., Class A Shares*   78,937 
  271,789    Fox Corp., Class A Shares   9,705,585 
  1,363    Fox Corp., Class B Shares   45,797 
  241,167    Liberty Broadband Corp., Class C Shares*   37,344,710 
  1,016,564    Liberty Media Corp.-Liberty SiriusXM*   49,740,477 
  1,388,946    News Corp., Class A Shares   30,029,013 
  1,262    News Corp., Class B Shares   27,196 
  5,920    ViacomCBS Inc., Class B Shares   183,224 
  17,757    Walt Disney Co.*   2,572,989 
       Total Media   168,183,413 
Telecommunications - 2.1%    
  2,188    Arista Networks Inc.*   271,443 
  69,773    AT&T Inc.   1,592,918 
  208,465    Ciena Corp.*   12,555,847 
  452,921    Cisco Systems Inc.   24,838,188 
  257,935    Corning Inc.   9,566,809 
  3,286    Juniper Networks Inc.   102,293 
  9,635    Lumen Technologies Inc.   118,896 
  46,044    Motorola Solutions Inc.   11,657,420 
  1,975,158    Nokia OYJ, ADR*   11,060,885 
  394,369    T-Mobile US Inc.*   42,911,291 
  40,458    Verizon Communications Inc.   2,033,824 
       Total Telecommunications   116,709,814 
       TOTAL COMMUNICATIONS   1,177,245,131 
CONSUMER CYCLICAL - 8.2%     
Airlines - 0.1%     
  1,176    Alaska Air Group Inc.*   57,118 
  6,235    American Airlines Group Inc.*   110,297 
  6,253    Delta Air Lines Inc.*   226,359 
  66,315    Southwest Airlines Co.*   2,944,386 
  3,162    United Airlines Holdings Inc.*   133,626 
       Total Airlines   3,471,786 
Apparel - 1.2%     
  3,240    Hanesbrands Inc.   52,326 
  382,482    NIKE Inc., Class B Shares   64,731,254 
  694    PVH Corp.   74,105 
  501    Ralph Lauren Corp., Class A Shares   58,136 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units     Security  Value 
CONSUMER CYCLICAL - 8.2% - (continued)  
Apparel - 1.2% - (continued)  
  2,678     Tapestry Inc.  $107,441 
  1,896     Under Armour Inc., Class A Shares*   44,727 
  1,987     Under Armour Inc., Class C Shares*   39,879 
  3,185     VF Corp.   228,460 
        Total Apparel   65,336,328 
Auto Manufacturers - 2.5% 
  104,656     Aurora Innovation Inc., Series B, Private Placement*(c)@   1,304,432 
  48,920     Cummins Inc.   10,260,970 
  39,735     Ferrari NV   10,349,378 
  38,345     Ford Motor Co.   735,841 
  276,555     General Motors Co.*   16,004,238 
  3,393     PACCAR Inc.   283,044 
  62,651     Rivian Automotive Inc., Class A Shares*   7,503,084 
  628,551     Rivian Automotive Inc., Private Placement*(c)@   71,511,504 
  7,929     Tesla Inc.*   9,076,802 
        Total Auto Manufacturers   127,029,293 
Auto Parts & Equipment - 0.0%     
  2,643     Aptiv PLC*   423,805 
  2,280     BorgWarner Inc.   98,678 
        Total Auto Parts & Equipment   522,483 
Distribution/Wholesale - 0.5%     
  2,081     Copart Inc.*   302,078 
  5,616     Fastenal Co.   332,299 
  423,363     LKQ Corp.   23,665,992 
  392     Pool Corp.   217,215 
  427     WW Grainger Inc.   205,562 
        Total Distribution/Wholesale   24,723,146 
Entertainment - 0.1%     
  2,086     Caesars Entertainment Inc.*   187,886 
  63,290     DraftKings Inc., Class A Shares*   2,186,669 
  1,284     Live Nation Entertainment Inc.*   136,939 
  1,512     Penn National Gaming Inc.*   77,460 
        Total Entertainment   2,588,954 
Home Builders - 0.5%     
  3,185     DR Horton Inc.   311,174 
  2,684     Lennar Corp., Class A Shares   281,954 
  5,443     NVR Inc.*   28,441,526 
  2,536     PulteGroup Inc.   126,876 
        Total Home Builders   29,161,530 
Home Furnishings - 0.2%     
  139,629     Dolby Laboratories Inc., Class A Shares   11,646,455 
  1,373     Leggett & Platt Inc.   55,455 
  610     Whirlpool Corp.   132,821 
        Total Home Furnishings   11,834,731 
Housewares - 0.0%     
  3,807     Newell Brands Inc.   81,736 
Leisure Time - 0.1%     
  7,803     Carnival Corp.*   137,489 
  3,723     Norwegian Cruise Line Holdings Ltd.*   72,636 
  61,933     Peloton Interactive Inc., Class A Shares*   2,725,052 
  2,190     Royal Caribbean Cruises Ltd.*   152,906 
        Total Leisure Time   3,088,083 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units     Security   Value 
CONSUMER CYCLICAL - 8.2% - (continued)     
Lodging - 0.2%     
  2,723     Hilton Worldwide Holdings Inc.*  $367,796 
  97,818     Las Vegas Sands Corp.*   3,484,277 
  2,673     Marriott International Inc., Class A Shares*   394,428 
  3,908     MGM Resorts International   154,679 
  83,420     Wynn Resorts Ltd.*   6,757,854 
        Total Lodging   11,159,034 
Retail - 2.8%    
  639     Advance Auto Parts Inc.   141,040 
  211     AutoZone Inc.*   383,402 
  474,865     Bath & Body Works Inc.   35,676,607 
  2,203     Best Buy Co., Inc.   235,413 
  1,592     CarMax Inc.*   224,870 
  15,075     Carvana Co., Class A Shares*   4,227,331 
  4,697     Chipotle Mexican Grill Inc., Class A Shares*   7,719,097 
  73,707     Costco Wholesale Corp.   39,756,082 
  1,273     Darden Restaurants Inc.   175,610 
  2,308     Dollar General Corp.   510,760 
  2,267     Dollar Tree Inc.*   303,393 
  22,385     Domino's Pizza Inc.   11,732,874 
  2,141     Gap Inc.   35,391 
  1,399     Genuine Parts Co.   178,708 
  10,390     Home Depot Inc.   4,162,338 
  6,908     Lowe's Cos., Inc.   1,689,628 
  23,745     Lululemon Athletica Inc.*   10,789,965 
  7,298     McDonald's Corp.   1,785,091 
  674     O'Reilly Automotive Inc.*   430,120 
  146,580     Ross Stores Inc.   15,990,412 
  11,522     Starbucks Corp.   1,263,272 
  4,834     Target Corp.   1,178,723 
  11,790     TJX Cos., Inc.   818,226 
  1,117     Tractor Supply Co.   251,694 
  535     Ulta Beauty Inc.*   205,413 
  7,016     Walgreens Boots Alliance Inc.   314,317 
  13,965     Walmart Inc.   1,963,898 
  90,949     Yum! Brands Inc.   11,172,175 
        Total Retail   153,315,850 
Textiles - 0.0%     
  557     Mohawk Industries Inc.*   93,504 
Toys/Games/Hobbies - 0.0%     
  1,235     Hasbro Inc.   119,684 
        TOTAL CONSUMER CYCLICAL   432,526,142 
CONSUMER NON-CYCLICAL - 22.1%     
Agriculture - 0.4%     
  265,294     Altria Group Inc.   11,312,136 
  5,466     Archer-Daniels-Midland Co.   340,040 
  132,752     Philip Morris International Inc.   11,408,707 
        Total Agriculture   23,060,883 
Beverages - 1.6%     
  155,824     Brown-Forman Corp., Class B Shares   10,963,777 
  37,964     Coca-Cola Co.   1,991,212 
  1,644     Constellation Brands Inc., Class A Shares   370,443 
  1,923,023     Keurig Dr Pepper Inc.   65,363,552 
  235,051     Molson Coors Beverage Co., Class B Shares   10,445,666 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units     Security   Value 
CONSUMER NON-CYCLICAL - 22.1% - (continued)     
Beverages - 1.6% - (continued)     
  3,670     Monster Beverage Corp.*  $307,473 
  13,506     PepsiCo Inc.   2,157,989 
        Total Beverages   91,600,112 
Biotechnology - 3.2%     
  59,020     Amgen Inc.   11,737,898 
  7,864     Argenx SE, ADR*   2,195,707 
  56,034     Biogen Inc.*   13,209,455 
  356,945     BioMarin Pharmaceutical Inc.*   30,800,784 
  210     Bio-Rad Laboratories Inc., Class A Shares*   158,172 
  7,175     Corteva Inc.   322,875 
  298,591     Exact Sciences Corp.*   25,490,714 
  177,296     Gilead Sciences Inc.   12,221,013 
  97,814     Illumina Inc.*   35,734,389 
  172,794     Incyte Corp.*   11,701,610 
  3,432     Moderna Inc.*   1,209,540 
  1,027     Regeneron Pharmaceuticals Inc.*   653,716 
  42,996     United Therapeutics Corp.*   8,147,742 
  62,168     Vertex Pharmaceuticals Inc.*   11,621,686 
        Total Biotechnology   165,205,301 
Commercial Services - 4.1%     
  15,051     Affirm Holdings Inc., Class A Shares*   1,906,661 
  103,641     Afterpay Ltd.*   8,042,455 
  302,901     API Group Corp.*   7,060,622 
  4,134     Automatic Data Processing Inc.   954,499 
  19,398     Cintas Corp.   8,189,642 
  381,783     CoStar Group Inc.*   29,687,446 
  40,785     Equifax Inc.   11,364,740 
  807     FleetCor Technologies Inc.*   167,154 
  817     Gartner Inc.*   255,108 
  50,724     Global Payments Inc.   6,038,185 
  3,895     IHS Markit Ltd.   497,859 
  33,582     MarketAxess Holdings Inc.   11,844,036 
  1,583     Moody's Corp.   618,383 
  3,475     Nielsen Holdings PLC   66,581 
  246,215     PayPal Holdings Inc.*   45,522,691 
  261,690     Quanta Services Inc.   29,775,088 
  1,088     Robert Half International Inc.   120,953 
  2,173     Rollins Inc.   72,317 
  44,162     S&P Global Inc.   20,125,948 
  131,864     Square Inc., Class A Shares*   27,471,227 
  4,859     Toast Inc., Class A Shares*(a)   194,311 
  61,743     TransUnion   6,865,204 
  707     United Rentals Inc.*   239,489 
  1,577     Verisk Analytics Inc., Class A Shares   354,620 
        Total Commercial Services   217,435,219 
Cosmetics/Personal Care - 0.7%     
  8,243     Colgate-Palmolive Co.   618,390 
  86,798     Estee Lauder Cos., Inc., Class A Shares   28,823,012 
  23,721     Procter & Gamble Co.   3,429,582 
        Total Cosmetics/Personal Care   32,870,984 
Food - 0.4%    
  2,011     Campbell Soup Co.   81,104 
  4,694     Conagra Brands Inc.   143,402 
  5,925     General Mills Inc.   365,987 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units     Security   Value 
CONSUMER NON-CYCLICAL - 22.1% - (continued)     
Food - 0.4% - (continued)     
  1,421     Hershey Co.  $252,213 
  2,726     Hormel Foods Corp.   112,856 
  1,059     JM Smucker Co.   133,932 
  2,473     Kellogg Co.   151,298 
  6,575     Kraft Heinz Co.   220,986 
  6,645     Kroger Co.   275,967 
  1,470     Lamb Weston Holdings Inc.   76,322 
  2,435     McCormick & Co., Inc.   208,972 
  13,660     Mondelez International Inc., Class A Shares   805,120 
  177,383     Nestle SA, ADR   22,793,716 
  4,999     Sysco Corp.   350,130 
  2,881     Tyson Foods Inc., Class A Shares   227,484 
        Total Food   26,199,489 
Healthcare-Products - 4.4%    
  17,324     Abbott Laboratories   2,178,840 
  112,936     ABIOMED Inc.*   35,549,994 
  148,898     Alcon Inc.   11,673,603 
  50,044     Align Technology Inc.*   30,603,407 
  134,459     Avantor Inc.*   5,308,441 
  4,885     Baxter International Inc.   364,274 
  380     Bio-Techne Corp.   179,371 
  13,914     Boston Scientific Corp.*   529,706 
  481     Cooper Cos., Inc.   181,082 
  94,012     Danaher Corp.   30,238,020 
  229,363     DENTSPLY SIRONA Inc.   11,179,153 
  323,224     Edwards Lifesciences Corp.*   34,685,167 
  1,334     Henry Schein Inc.*   94,794 
  2,477     Hologic Inc.*   185,106 
  831     IDEXX Laboratories Inc.*   505,306 
  55,867     Intuitive Surgical Inc.*   18,119,903 
  202,218     Medtronic PLC   21,576,661 
  1,096     PerkinElmer Inc.   199,647 
  1,422     ResMed Inc.   362,397 
  975     STERIS PLC   213,067 
  54,357     Stryker Corp.   12,862,497 
  457     Teleflex Inc.   135,921 
  3,845     Thermo Fisher Scientific Inc.   2,433,231 
  723     West Pharmaceutical Services Inc.   320,043 
  90,077     Zimmer Biomet Holdings Inc.   10,773,209 
        Total Healthcare-Products   230,452,840 
Healthcare-Services - 2.8%     
  15,583     Anthem Inc.   6,330,282 
  1,665     Catalent Inc.*   214,219 
  211,029     Centene Corp.*   15,069,581 
  492     Charles River Laboratories International Inc.*   180,008 
  105,612     DaVita Inc.*   9,980,334 
  81,757     HCA Healthcare Inc.   18,443,562 
  10,127     Humana Inc.   4,250,403 
  1,872     IQVIA Holdings Inc.*   485,091 
  45,901     Laboratory Corp. of America Holdings*   13,096,932 
  1,194     Quest Diagnostics Inc.   177,524 
  162,221     UnitedHealth Group Inc.   72,061,813 
  737     Universal Health Services Inc., Class B Shares   87,504 
        Total Healthcare-Services   140,377,253 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units     Security   Value 
CONSUMER NON-CYCLICAL - 22.1% - (continued)     
Household Products/Wares - 0.0%     
  810     Avery Dennison Corp.  $166,107 
  2,399     Church & Dwight Co., Inc.   214,423 
  1,200     Clorox Co.   195,420 
  3,291     Kimberly-Clark Corp.   428,850 
        Total Household Products/Wares   1,004,800 
Pharmaceuticals - 4.5%     
  190,658     AbbVie Inc.   21,979,054 
  1,462     AmerisourceBergen Corp., Class A Shares   169,227 
  107,250     AstraZeneca PLC, ADR   5,880,518 
  51,253     Becton Dickinson & Co.   12,154,136 
  21,715     Bristol-Myers Squibb Co.   1,164,575 
  2,833     Cardinal Health Inc.   130,970 
  25,289     Cigna Corp.   4,852,959 
  378,370     CVS Health Corp.   33,697,632 
  945     DexCom Inc.*   531,648 
  205,835     Elanco Animal Health Inc.*   5,915,698 
  241,733     Eli Lilly & Co.   59,959,453 
  25,725     Johnson & Johnson   4,011,299 
  232,197     McKesson Corp.   50,331,022 
  236,301     Merck & Co., Inc.   17,701,308 
  380,893     Organon & Co.   11,133,502 
  54,789     Pfizer Inc.   2,943,813 
  155,390     Sarepta Therapeutics Inc.*   12,557,066 
  11,817     Viatris Inc.   145,467 
  4,631     Zoetis Inc., Class A Shares   1,028,267 
        Total Pharmaceuticals   246,287,614 
        TOTAL CONSUMER NON-CYCLICAL   1,174,494,495 
ENERGY - 3.3%     
Energy-Alternate Sources - 0.8%     
  111,204     Enphase Energy Inc.*   27,801,000 
  156,303     NextEra Energy Partners LP   13,293,570 
        Total Energy-Alternate Sources   41,094,570 
Oil & Gas - 2.5%     
  3,694     APA Corp.   95,194 
  18,898     Chevron Corp.   2,133,017 
  129,767     ConocoPhillips   9,100,560 
  7,939     Coterra Energy Inc.   159,415 
  393,999     Devon Energy Corp.   16,571,598 
  1,663     Diamondback Energy Inc.   177,492 
  5,706     EOG Resources Inc.   496,422 
  399,549     EQT Corp.*   7,763,237 
  462,045     Exxon Mobil Corp.   27,648,773 
  161,345     Hess Corp.   12,023,429 
  7,922     Marathon Oil Corp.   122,712 
  307,425     Marathon Petroleum Corp.   18,706,811 
  8,668     Occidental Petroleum Corp.   257,006 
  4,280     Phillips 66   296,048 
  210,343     Pioneer Natural Resources Co.   37,508,364 
  3,995     Valero Energy Corp.   267,425 
        Total Oil & Gas   133,327,503 
Oil & Gas Services - 0.0%     
  8,096     Baker Hughes Co., Class A Shares   188,961 
  8,702     Halliburton Co.   187,876 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units     Security   Value 
ENERGY - 3.3% - (continued)     
Oil & Gas Services - 0.0% - (continued)     
  13,666     Schlumberger NV  $391,941 
        Total Oil & Gas Services   768,778 
Pipelines - 0.0%     
  19,048     Kinder Morgan Inc.   294,482 
  4,355     ONEOK Inc.   260,603 
  11,873     Williams Cos., Inc.   318,078 
        Total Pipelines   873,163 
        TOTAL ENERGY   176,064,014 
FINANCIAL - 12.3%     
Banks - 1.8%     
  72,363     Bank of America Corp.   3,217,983 
  7,760     Bank of New York Mellon Corp.   425,170 
  19,806     Citigroup Inc.   1,261,642 
  4,164     Citizens Financial Group Inc.   196,832 
  1,309     Comerica Inc.   108,032 
  6,750     Fifth Third Bancorp   284,513 
  1,723     First Republic Bank   361,244 
  35,494     Goldman Sachs Group Inc.   13,522,859 
  14,429     Huntington Bancshares Inc.   214,126 
  98,412     JPMorgan Chase & Co.   15,630,778 
  9,346     KeyCorp   209,724 
  1,257     M&T Bank Corp.   184,289 
  251,568     Morgan Stanley   23,853,678 
  2,036     Northern Trust Corp.   235,565 
  4,153     PNC Financial Services Group Inc.   818,141 
  9,328     Regions Financial Corp.   212,212 
  143,464     State Street Corp.   12,763,992 
  573     SVB Financial Group*   396,705 
  13,044     Truist Financial Corp.   773,640 
  110,626     US Bancorp   6,122,043 
  270,313     Wells Fargo & Co.   12,915,555 
  1,637     Zions Bancorp N.A.   103,262 
        Total Banks   93,811,985 
Diversified Financial Services - 3.4%     
  6,288     American Express Co.   957,662 
  81,541     Ameriprise Financial Inc.   23,614,274 
  415,761     Ant International Co., Ltd., Class C Shares, Private Placement*(c)(d)@   1,522,475 
  1,399     BlackRock Inc., Class A Shares   1,265,549 
  44,306     Capital One Financial Corp.   6,226,322 
  1,041     Cboe Global Markets Inc.   134,227 
  244,090     Charles Schwab Corp.   18,890,125 
  42,979     CME Group Inc., Class A Shares   9,477,729 
  2,926     Discover Financial Services   315,569 
  2,728     Franklin Resources Inc.   88,387 
  5,503     Intercontinental Exchange Inc.   719,352 
  429,073     Invesco Ltd.   9,581,200 
  98,586     LPL Financial Holdings Inc.   15,538,139 
  349     Maplebear Inc. d/b/a Instacart, Non-voting Shares*(c)(d)@   41,444 
  6,679     Maplebear Inc. d/b/a Instacart, Private Placement*(c)(d)@   793,131 
  54,250     Mastercard Inc., Class A Shares   17,084,410 
  1,144     Nasdaq Inc.   232,495 
  1,810     Raymond James Financial Inc.   177,905 
  211,342     SoFi Technologies Inc.*   3,635,082 
  5,567     Synchrony Financial   249,346 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units     Security   Value 
FINANCIAL - 12.3% - (continued)     
Diversified Financial Services - 3.4% - (continued)     
  2,218     T Rowe Price Group Inc.  $443,489 
  28,347     Tradeweb Markets Inc., Class A Shares   2,721,312 
  338,303     Visa Inc., Class A Shares   65,552,972 
  4,117     Western Union Co.   65,131 
        Total Diversified Financial Services   179,327,727 
Equity Real Estate Investment Trusts (REITs) - 0.6%     
  1,355     Alexandria Real Estate Equities Inc.   271,095 
  4,448     American Tower Corp.   1,167,511 
  1,364     AvalonBay Communities Inc.   325,819 
  1,389     Boston Properties Inc.   149,790 
  4,223     Crown Castle International Corp.   767,108 
  2,762     Digital Realty Trust Inc.   463,298 
  3,697     Duke Realty Corp.   215,646 
  877     Equinix Inc.   712,299 
  3,330     Equity Residential   284,082 
  636     Essex Property Trust Inc.   215,884 
  1,308     Extra Space Storage Inc.   261,600 
  707     Federal Realty Investment Trust   86,728 
  5,267     Healthpeak Properties Inc.   173,074 
  7,217     Host Hotels & Resorts Inc.*   113,307 
  2,808     Iron Mountain Inc.   127,596 
  5,862     Kimco Realty Corp.   131,426 
  395,646     Medical Properties Trust Inc.   8,423,303 
  1,134     Mid-America Apartment Communities Inc.   233,888 
  7,224     Prologis Inc.   1,089,018 
  1,490     Public Storage   487,796 
  5,384     Realty Income Corp.   365,681 
  1,494     Regency Centers Corp.   103,594 
  1,071     SBA Communications Corp., Class A Shares   368,210 
  3,211     Simon Property Group Inc.   490,769 
  2,727     UDR Inc.   154,703 
  3,867     Ventas Inc.   181,440 
  1,648     Vornado Realty Trust   66,151 
  4,129     Welltower Inc.   328,751 
  528,202     Weyerhaeuser Co.   19,865,677 
        Total Equity Real Estate Investment Trusts (REITs)   37,625,244 
Insurance - 5.4%     
  6,030     Aflac Inc.   326,464 
  2,889     Allstate Corp.   314,092 
  8,358     American International Group Inc.   439,631 
  55,063     Aon PLC, Class A Shares   16,285,984 
  2,020     Arthur J Gallagher & Co.   329,058 
  169,994     Assurant Inc.   25,856,087 
  326,168     Berkshire Hathaway Inc., Class B Shares*   90,247,424 
  2,279     Brown & Brown Inc.   146,790 
  66,219     Chubb Ltd.   11,884,324 
  1,465     Cincinnati Financial Corp.   166,863 
  189,398     Equitable Holdings Inc.   5,958,461 
  378     Everest Re Group Ltd.   96,912 
  942     Globe Life Inc.   81,521 
  123,293     Hartford Financial Services Group Inc.   8,149,667 
  1,726     Lincoln National Corp.   114,486 
  1,956     Loews Corp.   104,568 
  4,951     Marsh & McLennan Cos., Inc.   812,063 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units     Security   Value 
FINANCIAL - 12.3% - (continued)    
Insurance - 5.4% - (continued)     
  7,118     MetLife Inc.  $417,542 
  121,530     Principal Financial Group Inc.   8,334,527 
  407,450     Progressive Corp.   37,868,403 
  3,780     Prudential Financial Inc.   386,543 
  2,438     Travelers Cos., Inc.   358,264 
  291,087     Voya Financial Inc.   18,088,146 
  250,424     Willis Towers Watson PLC   56,555,756 
  1,423     WR Berkley Corp.   109,059 
        Total Insurance   283,432,635 
Private Equity - 1.1%     
  767,983     KKR & Co., Inc.   57,176,334 
Real Estate - 0.0%     
  3,281     CBRE Group Inc., Class A Shares*   313,565 
Savings & Loans - 0.0%     
  3,974     People's United Financial Inc.   67,717 
        TOTAL FINANCIAL   651,755,207 
INDUSTRIAL - 6.3%     
Aerospace/Defense - 2.3%     
  63,696     Airbus SE*   7,132,871 
  35,718     Boeing Co.*   7,066,806 
  57,758     General Dynamics Corp.   10,914,529 
  437,527     Howmet Aerospace Inc.   12,307,635 
  52,536     L3Harris Technologies Inc.   10,984,227 
  35,153     Lockheed Martin Corp.   11,717,198 
  87,975     Northrop Grumman Corp.   30,685,680 
  140,262     Raytheon Technologies Corp.   11,350,001 
  23,051     Teledyne Technologies Inc.*   9,572,850 
  512     TransDigm Group Inc.*   295,962 
        Total Aerospace/Defense   112,027,759 
Building Materials - 0.4%     
  110,366     Carrier Global Corp.   5,973,008 
  1,347     Fortune Brands Home & Security Inc.   135,414 
  6,960     Johnson Controls International PLC   520,330 
  31,767     Martin Marietta Materials Inc.   12,818,302 
  2,363     Masco Corp.   155,722 
  1,297     Vulcan Materials Co.   248,557 
        Total Building Materials   19,851,333 
Electrical Components & Equipment - 0.2%     
  2,259     AMETEK Inc.   308,354 
  5,842     Emerson Electric Co.   513,161 
  20,947     Generac Holdings Inc.*   8,823,714 
        Total Electrical Components & Equipment   9,645,229 
Electronics - 0.2%     
  2,965     Agilent Technologies Inc.   447,419 
  865     Allegion PLC   106,949 
  5,846     Amphenol Corp., Class A Shares   471,071 
  3,502     Fortive Corp.   258,693 
  1,485     Garmin Ltd.   198,307 
  6,747     Honeywell International Inc.   1,364,513 
  56,458     Hubbell Inc., Class B Shares   11,048,831 
  1,800     Keysight Technologies Inc.*   350,064 
  226     Mettler-Toledo International Inc.*   342,193 
  3,205     TE Connectivity Ltd.   493,346 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units   Security  Value 
INDUSTRIAL - 6.3% - (continued)    
Electronics - 0.2% - (continued)     
 2,459   Trimble Inc.*  $211,154 
 600   Waters Corp.*   196,842 
     Total Electronics   15,489,382 
Engineering & Construction - 0.0%     
 1,273   Jacobs Engineering Group Inc.   181,479 
           
Environmental Control - 0.0%     
 1,609   Pentair PLC   118,567 
 2,053   Republic Services Inc., Class A Shares   271,530 
 3,786   Waste Management Inc.   608,297 
     Total Environmental Control   998,394 
Hand/Machine Tools - 0.0%     
 517   Snap-on Inc.   106,455 
 1,592   Stanley Black & Decker Inc.   278,218 
     Total Hand/Machine Tools   384,673 
Machinery-Construction & Mining - 0.3%     
 480,012   Bloom Energy Corp., Class A Shares*   13,190,730 
 5,350   Caterpillar Inc.   1,034,423 
     Total Machinery-Construction & Mining   14,225,153 
Machinery-Diversified - 0.3%     
 2,774   Deere & Co.   958,528 
 1,407   Dover Corp.   230,537 
 743   IDEX Corp.   166,870 
 270,544   Ingersoll Rand Inc.   15,783,537 
 4,171   Otis Worldwide Corp.   335,348 
 1,134   Rockwell Automation Inc.   381,251 
 1,847   Westinghouse Air Brake Technologies Corp.   163,958 
 1,761   Xylem Inc.   213,275 
     Total Machinery-Diversified   18,233,304 
Miscellaneous Manufacturers - 1.4%     
 5,655   3M Co.   961,576 
 137,755   AO Smith Corp.   10,889,533 
 94,325   Eaton Corp. PLC   15,286,310 
 10,726   General Electric Co.   1,018,863 
 2,801   Illinois Tool Works Inc.   650,252 
 1,261   Parker-Hannifin Corp.   380,898 
 147,125   Textron Inc.   10,416,450 
 205,789   Trane Technologies PLC   38,410,517 
     Total Miscellaneous Manufacturers   78,014,399 
Packaging & Containers - 0.0%     
 15,067   Amcor PLC   170,558 
 3,192   Ball Corp.   298,292 
 921   Packaging Corp. of America   120,273 
 1,528   Sealed Air Corp.   94,919 
 2,581   WestRock Co.   111,990 
     Total Packaging & Containers   796,032 
Shipbuilding - 0.2% 
 59,195   Huntington Ingalls Industries Inc.   10,507,704 
Transportation - 1.0%     
 1,283   CH Robinson Worldwide Inc.   122,000 
 22,031   CSX Corp.   763,594 
 1,660   Expeditors International of Washington Inc.   201,889 
 84,304   FedEx Corp.   19,421,112 
 821   JB Hunt Transport Services Inc.   156,942 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units   Security  Value 
INDUSTRIAL - 6.3% - (continued) 
Transportation - 1.0% - (continued)     
 889   Kansas City Southern  $258,566 
 66,331   Norfolk Southern Corp.   17,595,624 
 917   Old Dominion Freight Line Inc.   325,691 
 6,373   Union Pacific Corp.   1,501,734 
 59,279   United Parcel Service Inc., Class B Shares   11,759,175 
     Total Transportation   52,106,327 
     TOTAL INDUSTRIAL   332,461,168 
TECHNOLOGY - 20.7%     
Computers - 2.7%     
 6,197   Accenture PLC, Class A Shares   2,214,808 
 559,244   Apple Inc.   92,443,033 
 52,299   CACI International Inc., Class A Shares*   13,567,930 
 141,301   Cognizant Technology Solutions Corp., Class A Shares   11,018,652 
 2,586   DXC Technology Co.*   77,554 
 34,742   Fortinet Inc.*   11,538,166 
 12,762   Hewlett Packard Enterprise Co.   183,135 
 11,739   HP Inc.   414,152 
 8,759   International Business Machines Corp.   1,025,679 
 119,971   Leidos Holdings Inc.   10,546,651 
 2,189   NetApp Inc.   194,558 
 2,046   Seagate Technology Holdings PLC   210,063 
 2,995   Western Digital Corp.*   173,231 
     Total Computers   143,607,612 
Office/Business Equipment - 0.1%     
 5,221   Zebra Technologies Corp., Class A Shares*   3,074,020 
Semiconductors - 3.7%     
 174,703   Advanced Micro Devices Inc.*   27,667,714 
 5,256   Analog Devices Inc.   947,394 
 72,794   Applied Materials Inc.   10,714,549 
 22,637   ASML Holding NV, Class NY Registered Shares, ADR   17,917,412 
 4,009   Broadcom Inc.   2,219,703 
 39,645   Intel Corp.   1,950,534 
 330   IPG Photonics Corp.*   54,183 
 1,493   KLA Corp.   609,338 
 1,393   Lam Research Corp.   947,031 
 5,356   Microchip Technology Inc.   446,851 
 11,001   Micron Technology Inc.   924,084 
 422   Monolithic Power Systems Inc.   233,560 
 277,803   NVIDIA Corp.   90,774,908 
 2,591   NXP Semiconductors NV   578,726 
 71,539   Qorvo Inc.*   10,461,148 
 166,701   QUALCOMM Inc.   30,099,532 
 1,614   Skyworks Solutions Inc.   244,779 
 59,400   Taiwan Semiconductor Manufacturing Co., Ltd., ADR   6,958,710 
 1,612   Teradyne Inc.   246,426 
 9,022   Texas Instruments Inc.   1,735,562 
 2,418   Xilinx Inc.   552,392 
     Total Semiconductors   206,284,536 
Software - 14.2%     
 7,600   Activision Blizzard Inc.   445,360 
 89,432   Adobe Inc.*   59,906,025 
 1,591   Akamai Technologies Inc.*   179,306 
 29,479   ANSYS Inc.*   11,540,439 
 2,150   Autodesk Inc.*   546,508 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units   Security  Value 
TECHNOLOGY - 20.7% - (continued) 
Software - 14.2% - (continued)     
 24,624   Avalara Inc.*  $3,439,480 
 4,072   Bill.com Holdings Inc.*   1,143,621 
 90,310   Black Knight Inc.*   6,454,456 
 1,135   Broadridge Financial Solutions Inc.   191,327 
 2,705   Cadence Design Systems Inc.*   480,029 
 1,271   Celonis SE*(c)(d)@   470,003 
 32,223   Ceridian HCM Holding Inc.*   3,525,196 
 2,888   Cerner Corp.   203,460 
 1,196   Citrix Systems Inc.   96,194 
 4,276   Coupa Software Inc.*   840,918 
 42,161   Datadog Inc., Class A Shares*   7,516,885 
 105,938   DocuSign Inc., Class A Shares*   26,098,886 
 2,781   Electronic Arts Inc.   345,456 
 3,985   Epic Games Inc., Private Placement*(c)(d)@   3,832,016 
 6,036   Fidelity National Information Services Inc.   630,762 
 766,452   Fiserv Inc.*   73,977,947 
 146,138   Intuit Inc.   95,325,817 
 717   Jack Henry & Associates Inc.   108,719 
 836   Magic Leap Inc., Series D, Private Placement*(c)(d)@   16,053 
 459,236   Microsoft Corp.   151,818,829 
 16,073   MongoDB Inc., Class A Shares*   8,005,961 
 74,934   MSCI Inc., Class A Shares   47,167,206 
 16,097   Oracle Corp.   1,460,642 
 3,130   Paychex Inc.   373,096 
 6,720   Paycom Software Inc.*   2,939,866 
 1,019   PTC Inc.*   111,662 
 166,448   RingCentral Inc., Class A Shares*   35,949,439 
 68,766   ROBLOX Corp., Class A Shares*   8,671,393 
 25,600   Roper Technologies Inc.   11,882,240 
 192,611   salesforce.com Inc.*   54,886,431 
 72,900   SentinelOne Inc., Class A Shares*(a)   3,934,413 
 113,853   ServiceNow Inc.*   73,742,588 
 7,344   Snowflake Inc., Class A Shares*   2,498,062 
 168,775   Splunk Inc.*   20,421,775 
 20,012   Stripe Inc., Class B Shares, Private Placement*(c)(d)@   1,293,776 
 1,491   Synopsys Inc.*   508,431 
 1,139   Take-Two Interactive Software Inc.*   188,937 
 10,400   Twilio Inc., Class A Shares*   2,975,960 
 399   Tyler Technologies Inc.*   207,073 
 131,213   UiPath Inc., Class A Shares*   6,331,027 
 12,833   Workday Inc., Class A Shares*   3,519,194 
 32,662   Zoom Video Communications Inc., Class A Shares*   6,905,073 
     Total Software   743,107,937 
     TOTAL TECHNOLOGY   1,096,074,105 
UTILITIES - 2.1%     
Electric - 2.1%     
 672,586   AES Corp.   15,725,061 
 2,439   Alliant Energy Corp.   133,633 
 2,513   Ameren Corp.   205,036 
 432,339   American Electric Power Co., Inc.   35,041,076 
 5,691   CenterPoint Energy Inc.   147,454 
 304,121   Clearway Energy Inc., Class C Shares   11,349,796 
 2,831   CMS Energy Corp.   166,604 
 3,453   Consolidated Edison Inc.   268,091 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units   Security  Value 
UTILITIES - 2.1% - (continued) 
Electric - 2.1% - (continued)     
 7,901   Dominion Energy Inc.  $562,551 
 1,893   DTE Energy Co.   205,088 
 7,518   Duke Energy Corp.   729,321 
 3,711   Edison International   242,254 
 1,964   Entergy Corp.   197,068 
 2,241   Evergy Inc.   141,855 
 3,358   Eversource Energy   276,263 
 699,433   Exelon Corp.   36,881,102 
 5,318   FirstEnergy Corp.   200,276 
 19,170   NextEra Energy Inc.   1,663,573 
 2,494   NRG Energy Inc.   89,834 
 1,116   Pinnacle West Capital Corp.   72,596 
 7,521   PPL Corp.   209,309 
 4,941   Public Service Enterprise Group Inc.   308,763 
 3,121   Sempra Energy   374,114 
 10,347   Southern Co.   632,202 
 360,200   Vistra Corp.   7,160,776 
 3,082   WEC Energy Group Inc.   267,918 
 5,262   Xcel Energy Inc.   335,347 
     Total Electric   113,586,961 
Gas - 0.0%     
 1,264   Atmos Energy Corp.   114,164 
 3,973   NiSource Inc.   97,378 
     Total Gas   211,542 
Water - 0.0%     
 1,774   American Water Works Co., Inc.   299,043 
     TOTAL UTILITIES   114,097,546 
     TOTAL COMMON STOCKS     
     (Cost - $3,667,735,066)   5,213,662,082 
PREFERRED STOCKS - 0.1%     
CONSUMER CYCLICAL - 0.0%     
Auto Manufacturers - 0.0%     
 21,292   Sila Nanotechnologies Inc., Series F, Private Placement*(c)(d)@   878,780 
 9,549   Waymo LLC, Series A2, Private Placement*(c)(d)@   875,853 
     Total Auto Manufacturers   1,754,633 
     TOTAL CONSUMER CYCLICAL   1,754,633 
FINANCIAL - 0.0%     
Diversified Financial Services - 0.0%     
 1,020   Maplebear Inc. d/b/a Instacart, Series A*(c)(d)@   121,125 
 13,638   Maplebear Inc. d/b/a Instacart, Series G*(c)(d)@   1,619,513 
 2,066   Maplebear Inc. d/b/a Instacart, Series I*(c)(d)@   245,338 
     Total Diversified Financial Services   1,985,976 
     TOTAL FINANCIAL   1,985,976 
INDUSTRIAL - 0.1%     
Electrical Components & Equipment - 0.0%     
 48,400   GM Cruise Holdings LLC, Class F Shares, Private Placement*(c)(d)@   1,275,340 
 39,865   GM Cruise Holdings LLC, Class G Shares, Private Placement*(c)(d)@   1,050,443 
     Total Electrical Components & Equipment   2,325,783 
Environmental Control - 0.0%     
 23,420   Redwood Materials Inc., Series C, Private Placement*(c)(d)@   1,110,189 
Machinery - 0.1%     
 108,389   Nuro Inc., Series C, Private Placement*(c)(d)@   2,259,447 

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

Shares/Units   Security  Value 
INDUSTRIAL - 0.1% - (continued) 
Machinery - 0.1% - (continued)     
 26,242   Nuro Inc., Series D*(c)(d)@  $547,033 
     Total Machinery   2,806,480 
     TOTAL INDUSTRIAL   6,242,452 
TECHNOLOGY - 0.0%     
Software - 0.0%     
 3,314   Celonis SE, Series D*(c)(d)@   1,225,484 
 20,620   Rappi Inc., Series E, Private Placement*(c)(d)@   1,328,405 
     Total Software   2,553,889 
     TOTAL TECHNOLOGY   2,553,889 
     TOTAL PREFERRED STOCKS
(Cost - $10,138,473)
   12,536,950 
     TOTAL INVESTMENTS BEFORE SHORT-TERM INVESTMENTS
(Cost - $3,677,873,539)
   5,226,199,032 

 

Face
Amount†
       
SHORT-TERM INVESTMENTS - 1.7% 
TIME DEPOSITS - 1.7%     
$43,297,095   Banco Bilbao Vizcaya Argentaria SA - Madrid, 0.005% due 12/1/21   43,297,095 
 31,095,445   Barclays Bank PLC - London, 0.005% due 12/1/21   31,095,445 
 3,025,296   BNP Paribas - Paris, 0.005% due 12/1/21   3,025,296 
 4GBP  Citibank - London, 0.005% due 12/1/21   6 
 213   DnB NORBank ASA - Oslo, 0.005% due 12/1/21   213 
 15,780,266   Skandinaviska Enskilda Banken AB - Stockholm, 0.005% due 12/1/21   15,780,266 
     TOTAL TIME DEPOSITS     
     (Cost - $93,198,321)   93,198,321 

 

Shares/Units          
INVESTMENTS PURCHASED WITH CASH PROCEEDS FROM SECURITIES LENDING - 0.2%      
MONEY MARKET FUND - 0.2%  
  9,444,879      Federated Government Obligations Fund, Premier Class, 0.025%(e)
(Cost - $9,444,879)
  $  
9,444,879
 
        TOTAL INVESTMENTS - 100.2%
(Cost - $3,780,516,739)
     
5,328,842,232
 
        Liabilities in Excess of Other Assets - (0.2)%     (8,086,430 )
        TOTAL NET ASSETS - 100.0%   $ 5,320,755,802  

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (continued)

 

 

Face amount denominated in U.S. dollars, unless otherwise noted.
* Non-income producing security.
(a) All or a portion of this security is on loan.
(b) Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $2,578,165 and represents 0.05% of net assets.  
(c) Illiquid security. The aggregate value of illiquid holdings at November 30, 2021, amounts to $93,321,784 and represents 1.75% of net assets.
(d) Security is valued in good faith at fair value by or under the direction of the Board of Trustees using significant unobservable inputs.
(e) Represents investment of collateral received from securities lending transactions.    
@ Restricted security – Investment in security not registered under the Securities Act of 1933. The investment is deemed to not be liquid and may be sold only to qualified buyers.

 

Security   First
Acquisition
Date
  First
Acquisition
Cost
    Market
Value
    Percent of
Net Assets
 
Ant International Co., Ltd., Class C Shares, Private Placement   6/7/2018   $ 1,584,623     $ 1,522,475       0.03 %
Aurora Innovation Inc., Series B, Private Placement   3/1/2019     445,475       1,304,432       0.02 %
Celonis SE   6/17/2021     470,003       470,003       0.01 %
Celonis SE, Series D   6/17/2021     1,225,484       1,225,484       0.02 %
Epic Games Inc., Private Placement   6/18/2020     1,665,200       3,832,016       0.08 %
GM Cruise Holdings LLC, Class F Shares, Private Placement   5/7/2019     883,300       1,275,340       0.02 %
GM Cruise Holdings LLC, Class G Shares, Private Placement   1/21/2021     1,050,443       1,050,443       0.02 %
Magic Leap Inc., Series D, Private Placement   10/12/2017     406,539       16,053       0.00 %*
Maplebear Inc. d/b/a Instacart, Non-voting Shares   8/7/2020     16,171       41,444       0.00 %*
Maplebear Inc. d/b/a Instacart, Private Placement   8/7/2020     309,464       793,131       0.01 %
Maplebear Inc. d/b/a Instacart, Series A   11/18/2020     62,232       121,125       0.00 %*
Maplebear Inc. d/b/a Instacart, Series G   7/2/2020     655,877       1,619,513       0.03 %
Maplebear Inc. d/b/a Instacart, Series I   2/26/2021     258,250       245,338       0.00 %*
Nuro Inc., Series C, Private Placement   10/30/2020     940,662       2,259,447       0.05 %
Nuro Inc., Series D   10/29/2021     547,033       547,033       0.01 %
Rappi Inc., Series E, Private Placement   9/8/2020     1,231,963       1,328,405       0.02 %
Redwood Materials Inc., Series C, Private Placement   5/28/2021     1,110,190       1,110,189       0.02 %
Rivian Automotive Inc., Private Placement   11/10/2021     10,143,042       71,511,504       1.35 %
Sila Nanotechnologies Inc., Series F, Private Placement   1/7/2021     878,780       878,780       0.02 %
Stripe Inc., Class B Shares, Private Placement   12/17/2019     313,988       1,293,776       0.02 %
Waymo LLC, Series A2, Private Placement   5/8/2020     819,946       875,853       0.02 %
Total               $ 93,321,784       1.75 %

 

 

* Position represents less than 0.005%.

 

Abbreviations used in this schedule:
ADR American Depositary Receipts
LLC Limited Liability Company
PLC Public Limited Company

 

 

 

 

Schedules of Investments
November 30, 2021
  
Destinations Large Cap Equity Fund (concluded)

 

Summary of Investments by Security Sector^        
Communications    22.1%
Consumer Non-cyclical    22.0 
Technology    20.6 
Financial    12.3 
Consumer Cyclical    8.2 
Industrial    6.4 
Energy    3.3 
Utilities    2.1 
Basic Materials    1.1 
Short-Term Investments   1.7 
Money Market Fund   0.2 
    100.0%

 

 

^ As a percentage of total investments.

 

At November 30, 2021, Destinations Large Cap Equity Fund had open exchange traded futures contracts as described below.

 

The unrealized appreciation on the open contracts reflected in the accompanying financial statements was as follows:

 

Open Futures Contracts  Number of
Contracts
  Expiration
Date
(Month/Year)
  Notional
Amounts
   Market Value   Unrealized
Appreciation
 
Contracts to Buy:                     
S&P 500 E-mini Index December Futures   20  12/21  $4,524,293   $4,566,250   $41,957 

 

At November 30, 2021, Destinations Large Cap Equity Fund had deposited cash of $233,000 with a broker or brokers as margin collateral on open exchange traded futures contracts.

 

Currency Abbreviations used in this schedule:
GBP British Pound

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Small-Mid Cap Equity Fund

 

Shares/Units     Security Value  
COMMON STOCKS - 94.3%      
BASIC MATERIALS - 4.2%      
Chemicals - 3.3%        
  100,000     Ashland Global Holdings Inc.   $ 10,107,000  
  37,698     Cabot Corp.   1,978,391  
  132,513     Codexis Inc.*   4,599,526  
  33,540     Ingevity Corp.*   2,411,861  
  21,789     Innospec Inc.   1,769,267  
  101,300     PPG Industries Inc.   15,617,421  
  23,235     Rogers Corp.*   6,334,326  
  86,074     Valvoline Inc.   2,932,541  
        Total Chemicals   45,750,333  
Iron/Steel - 0.0%        
  17,057     Cleveland-Cliffs Inc.*   347,110  
Mining - 0.9%            
  24,733     Cameco Corp.   573,311  
  379,522     Energy Fuels Inc.*   3,305,637  
  223,325     Livent Corp.*   6,764,514  
  23,686     MP Materials Corp.*(a)   1,040,763  
        Total Mining   11,684,225  
        TOTAL BASIC MATERIALS   57,781,668  
COMMUNICATIONS - 5.4%      
Internet - 2.0%            
  196,158     Backblaze Inc., Class A Shares*(a)   4,211,512  
  10,233     Cargurus Inc., Class A Shares*   383,738  
  273,235     ChannelAdvisor Corp.*   6,833,607  
  20,393     Cogent Communications Holdings Inc.   1,528,047  
  100,473     Couchbase Inc.*(a)   3,320,633  
  118,177     Liquidity Services Inc.*   2,679,073  
  177,992     Perion Network Ltd.*   4,298,507  
  8,061     Revolve Group Inc., Class A Shares*   614,006  
  58,213     RumbleON Inc., Class B Shares*   2,296,503  
  167,206     Solo Brands Inc., Class A Shares*   2,792,340  
        Total Internet   28,957,966  
Media - 0.3%            
  214,625     TEGNA Inc.   4,238,844  
Telecommunications - 3.1%      
  77,747     Aviat Networks Inc.*   2,436,591  
  169,529     Calix Inc.*   11,351,662  
  82,188     Cambium Networks Corp.*   2,236,335  
  75,035     Clearfield Inc.*   4,857,766  
  316,502     Harmonic Inc.*   3,402,396  
  42,000     Motorola Solutions Inc.   10,633,560  
  126,052     Sierra Wireless Inc.*   2,199,607  
  313,627     Viavi Solutions Inc.*   4,644,816  
        Total Telecommunications   41,762,733  
        TOTAL COMMUNICATIONS   74,959,543  
CONSUMER CYCLICAL - 12.2%      
Apparel - 1.3%            
  15,582     Carter's Inc.   1,574,249  
  83,500     Columbia Sportswear Co.   8,143,755  
  7,500     Crocs Inc.*   1,230,150  
  20,247     Oxford Industries Inc.   1,934,398  

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Small-Mid Cap Equity Fund (continued)

 

Shares/Units     Security   Value  
COMMON STOCKS - 94.3% - (continued)      
CONSUMER CYCLICAL - 12.2% - (continued)      
Apparel - 1.3% - (continued)      
  49,528     Steven Madden Ltd.   $ 2,350,104  
  81,670     Urban Outfitters Inc.*   2,586,489  
        Total Apparel   17,819,145  
Auto Parts & Equipment - 2.2%      
  24,046     Dorman Products Inc.*   2,668,625  
  2,585     Fox Factory Holding Corp.*   454,365  
  437,100     Gentex Corp.   15,049,353  
  7,398     Gentherm Inc.*   624,761  
  130,390     Goodyear Tire & Rubber Co.*   2,622,143  
  133,997     Shyft Group Inc.   6,513,594  
  30,047     XPEL Inc.*   2,160,079  
        Total Auto Parts & Equipment   30,092,920  
Distribution/Wholesale - 0.2%      
  25,428     Core & Main Inc., Class A Shares*   677,148  
  56,752     H&E Equipment Services Inc.   2,389,259  
        Total Distribution/Wholesale   3,066,407  
Entertainment - 0.9%      
  303,675     Everi Holdings Inc.*   6,298,220  
  62,046     Golden Entertainment Inc.*   2,848,532  
  57,907     NEOGAMES SA*   1,929,461  
  12,161     SeaWorld Entertainment Inc.*   717,377  
        Total Entertainment   11,793,590  
Food Service - 0.3%      
  258,778     Sovos Brands Inc.*   3,992,945  
Home Builders - 0.7%      
  5,258     Century Communities Inc.   373,686  
  118,320     Skyline Champion Corp.*   9,258,540  
        Total Home Builders   9,632,226  
Home Furnishings - 1.0%      
  175,930     Arhaus Inc., Class A Shares*   1,704,762  
  100,800     Dolby Laboratories Inc., Class A Shares   8,407,728  
  59,900     Lovesac Co.*   3,790,472  
        Total Home Furnishings   13,902,962  
Leisure Time - 0.8%        
   59,490     Callaway Golf Co.*   1,603,850  
  109,495     Lindblad Expeditions Holdings Inc.*   1,534,025  
  88,110     Vista Outdoor Inc.*   3,847,764  
  184,495     Xponential Fitness Inc., Class A Shares*   3,588,428  
        Total Leisure Time   10,574,067  
Lodging - 1.0%        
  296,828     Full House Resorts Inc.*   2,659,579  
  423,502     Playa Hotels & Resorts NV*   3,015,334  
  105,100     Wyndham Hotels & Resorts Inc.   8,353,348  
        Total Lodging   14,028,261  
Retail - 3.8%        
  37,082     Abercrombie & Fitch Co., Class A Shares*   1,334,952  
  133,355     American Eagle Outfitters Inc.   3,452,561  
  171,634     Aspen Aerogels Inc.*   9,810,599  
  7,029     BlueLinx Holdings Inc.*   495,826  
  97,919     Boot Barn Holdings Inc.*   11,979,410  
  196,001     Brilliant Earth Group Inc., Class A Shares*(a)   3,114,456  
  23,168     Children's Place Inc.*   2,004,727  

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Small-Mid Cap Equity Fund (continued)

 

Shares/Units   Security  Value 
COMMON STOCKS - 94.3% - (continued)
CONSUMER CYCLICAL - 12.2% - (continued)
Retail - 3.8% - (continued)
 7,384   Dutch Bros Inc., Class A Shares*(a)  $390,171 
 49,061   Kura Sushi USA Inc., Class A Shares*   3,120,280 
 57,678   Movado Group Inc.   2,588,012 
 34,669   Murphy USA Inc.   6,009,178 
 7,011   National Vision Holdings Inc.*   336,808 
 81,373   OptimizeRx Corp.*   5,289,245 
 4,520   Papa John's International Inc.   551,078 
 98,921   Portillo's Inc., Class A Shares*(a)   4,031,031 
     Total Retail   54,508,334 
     TOTAL CONSUMER CYCLICAL   169,410,857 
CONSUMER NON-CYCLICAL - 20.0%
Beverages - 2.0%
 113,951   Celsius Holdings Inc.*   7,795,388 
 202,100   Coca-Cola Europacific Partners PLC   9,977,677 
 199,074   Duckhorn Portfolio Inc.*   3,824,212 
 50,533   MGP Ingredients Inc.   3,940,563 
 140,119   Vita Coco Co., Inc.*   1,891,607 
     Total Beverages   27,429,447 
Biotechnology - 4.8%
 46,414   Apellis Pharmaceuticals Inc.*   1,953,101 
 80,686   Applied Therapeutics Inc.*   926,275 
 200,159   Avid Bioservices Inc.*   6,116,859 
 3,271   Beam Therapeutics Inc.*   258,900 
 23,111   Bicycle Therapeutics PLC, ADR*   1,242,216 
 2,859   Biohaven Pharmaceutical Holding Co., Ltd.*   320,894 
 73,252   Biomea Fusion Inc.*(a)   884,152 
 5,834   Blueprint Medicines Corp.*   561,231 
 71,446   C4 Therapeutics Inc.*   2,652,076 
 90,991   Celldex Therapeutics Inc.*   3,466,757 
 287,456   Crinetics Pharmaceuticals Inc.*   7,853,298 
 72,574   Day One Biopharmaceuticals Inc.*(a)   1,333,184 
 125,898   DICE Therapeutics Inc.*(a)   3,983,413 
 85,390   Dynavax Technologies Corp.*   1,379,049 
 54,102   Elevation Oncology Inc.*   351,122 
 91,122   EyePoint Pharmaceuticals Inc.*(a)   1,439,728 
 10,263   Halozyme Therapeutics Inc.*   337,447 
 63,878   Imago Biosciences Inc.*   1,428,951 
 151,995   IVERIC bio Inc.*   2,222,167 
 45,271   Kymera Therapeutics Inc.*   2,513,446 
 3,148   Mirati Therapeutics Inc.*   430,552 
 123,016   Nuvalent Inc., Class A Shares*(a)   2,623,931 
 240,560   Relay Therapeutics Inc.*   7,077,275 
 110,030   SpringWorks Therapeutics Inc.*   7,905,656 
 76,066   VectivBio Holding AG*   291,333 
 114,871   Ventyx Biosciences Inc.*   2,257,215 
 221,797   Xenon Pharmaceuticals Inc.*   5,921,980 
     Total Biotechnology   67,732,208 
Commercial Services - 4.3%
 238,493   AirSculpt Technologies Inc.*   2,694,971 
 10,449   AMN Healthcare Services Inc.*   1,191,290 
 114,400   Booz Allen Hamilton Holding Corp., Class A Shares   9,602,736 
 225,812   Cross Country Healthcare Inc.*   5,907,242 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Small-Mid Cap Equity Fund (continued)

 

Shares/Units   Security  Value 
COMMON STOCKS - 94.3% - (continued)
CONSUMER NON-CYCLICAL - 20.0% - (continued)
Commercial Services - 4.3% - (continued)
 199,152   European Wax Center Inc., Class A Shares*  $5,371,129 
 132,100   Global Payments Inc.   15,725,184 
 3,311   Herc Holdings Inc.   564,360 
 53,844   Huron Consulting Group Inc.*   2,460,132 
 60,497   Kelly Services Inc., Class A Shares   1,019,979 
 69,877   Korn Ferry   5,082,853 
 262,160   Performant Financial Corp.*   705,210 
 72,300   Quanta Services Inc.   8,226,294 
 28,055   ZipRecruiter Inc., Class A Shares*   775,721 
     Total Commercial Services   59,327,101 
Cosmetics/Personal Care - 0.6%
 301,018   Beauty Health Co.*   7,814,427 
Food - 1.5%
 35,936   Cal-Maine Foods Inc.   1,295,852 
 32,431   Hain Celestial Group Inc.*   1,278,754 
 369,206   Hostess Brands Inc., Class A Shares*   6,272,810 
 51,805   Ingredion Inc.   4,824,600 
 15,057   Krispy Kreme Inc.(a)   219,079 
 33,516   Performance Food Group Co.*   1,351,030 
 135,621   Real Good Food Co., Inc., Class A Shares*   1,091,749 
 107,491   TreeHouse Foods Inc.*   3,944,920 
     Total Food   20,278,794 
Healthcare-Products - 3.5%
 204,746   Alphatec Holdings Inc.*   2,272,681 
 5,417   AtriCure Inc.*   343,438 
 18,846   Axonics Inc.*   1,025,411 
 104,700   Bruker Corp.   8,479,653 
 25,755   Cutera Inc.*   897,819 
 188,000   DENTSPLY SIRONA Inc.   9,163,120 
 92,610   Envista Holdings Corp.*   3,593,268 
 5,020   Inmode Ltd.*   381,520 
 16,261   Inspire Medical Systems Inc.*   3,630,593 
 46,410   Integra LifeSciences Holdings Corp.*   2,967,920 
 28,808   Natera Inc.*   2,634,780 
 35,570   NuVasive Inc.*   1,709,494 
 24,200   PerkinElmer Inc.   4,408,272 
 1,360   Repligen Corp.*   389,640 
 157,816   SeaSpine Holdings Corp.*   2,119,469 
 3,432   Shockwave Medical Inc.*   618,584 
 79,483   SI-BONE Inc.*   1,530,048 
 52,523   Treace Medical Concepts Inc.*   909,173 
     Total Healthcare-Products   47,074,883 
Healthcare-Services - 1.4%
 29,300   Humana Inc.   12,297,503 
 67,268   Inotiv Inc.*(a)   3,497,936 
 13,349   Invitae Corp.*(a)   226,933 
 5,183   Medpace Holdings Inc.*   1,075,006 
 60,155   RadNet Inc.*   1,621,779 
 189,568   Thorne HealthTech Inc.*   1,592,371 
     Total Healthcare-Services   20,311,528 
Household Products/Wares - 0.2%     
 28,283   Spectrum Brands Holdings Inc.    2,831,128 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Small-Mid Cap Equity Fund (continued)

 

Shares/Units   Security  Value 
COMMON STOCKS - 94.3% - (continued)
CONSUMER NON-CYCLICAL - 20.0% - (continued)
Pharmaceuticals - 1.7%
 103,790   Centessa Pharmaceuticals PLC, ADR*(a)  $1,229,911 
 212,554   Cytokinetics Inc.*   8,361,874 
 17,010   Intellia Therapeutics Inc.*   1,956,320 
 133,841   Merus NV*   3,481,204 
 44,691   Morphic Holding Inc.*   2,131,761 
 78,970   Prestige Consumer Healthcare Inc.*   4,418,372 
 300,452   ProQR Therapeutics NV*   2,121,191 
     Total Pharmaceuticals   23,700,633 
     TOTAL CONSUMER NON-CYCLICAL   276,500,149 
DIVERSIFIED - 0.2%
SPACs - 0.2%
 196,483   CM Life Sciences III Inc.*(a)   2,039,494 
ENERGY - 3.8%
Energy-Alternate Sources - 0.6%
 101,232   Aemetis Inc.*(a)   1,899,112 
 12,538   Fluence Energy Inc., Class A Shares*   397,329 
 168,714   Green Plains Inc.*   6,520,796 
 18,866   Sunnova Energy International Inc.*   697,476 
     Total Energy-Alternate Sources   9,514,713 
Oil & Gas - 2.4%
 65,819   Civitas Resources Inc.   3,364,009 
 67,248   Helmerich & Payne Inc.   1,509,718 
 37,263   Magnolia Oil & Gas Corp., Class A Shares   706,879 
 195,100   Marathon Petroleum Corp.   11,871,835 
 121,652   Matador Resources Co.   4,777,274 
 143,800   Ovintiv Inc.   4,998,488 
 69,436   PDC Energy Inc.   3,501,658 
 44,837   Ranger Oil Corp., Class A Shares*   1,207,012 
     Total Oil & Gas   31,936,873 
Oil & Gas Services - 0.8%
 462,900   Baker Hughes Co., Class A Shares   10,804,086 
 90,087   Select Energy Services Inc., Class A Shares*   516,199 
     Total Oil & Gas Services   11,320,285 
     TOTAL ENERGY   52,771,871 
FINANCIAL - 18.4%
Banks - 7.4%
 12,691   Bancorp Inc.*   358,775 
 133,754   Bank of NT Butterfield & Son Ltd.   4,926,160 
 149,911   BankUnited Inc.   5,942,472 
 37,154   Customers Bancorp Inc.*   2,141,557 
 12,300   First Citizens BancShares Inc., Class A Shares   9,888,954 
 85,508   Live Oak Bancshares Inc.   7,618,763 
 75,120   Meta Financial Group Inc.   4,489,922 
 48,991   Metropolitan Bank Holding Corp.*   4,650,716 
 299,391   PacWest Bancorp   13,394,753 
 74,655   Pinnacle Financial Partners Inc.   7,122,833 
 26,000   Signature Bank   7,859,800 
 24,080   Silvergate Capital Corp., Class A Shares*   4,923,878 
  62,004     Triumph Bancorp Inc.*     7,896,209  
  294,704     Umpqua Holdings Corp.     5,617,058  
  101,759     Univest Financial Corp.       2,805,496  

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Small-Mid Cap Equity Fund (continued)

 

Shares/Units   Security  Value 
COMMON STOCKS - 94.3% - (continued)
FINANCIAL - 18.4% - (continued)
Banks - 7.4% - (continued)
 68,199   Western Alliance Bancorp  $7,486,886 
 69,781   Wintrust Financial Corp.   6,107,931 
     Total Banks   103,232,163 
Diversified Financial Services - 1.4%
 27,585   CI Financial Corp.   607,146 
 65,759   Cowen Inc., Class A Shares   2,326,553 
 7,049   Flywire Corp.*   286,471 
 51,300   Raymond James Financial Inc.   5,042,277 
 10,959   StepStone Group Inc., Class A Shares   453,374 
 243,600   Synchrony Financial   10,910,844 
     Total Diversified Financial Services   19,626,665 
Equity Real Estate Investment Trusts (REITs) - 3.8%
 60,873   American Campus Communities Inc.   3,149,569 
 293,900   American Homes 4 Rent, Class A Shares   11,782,451 
 382,300   Americold Realty Trust   12,478,272 
 337,420   Chimera Investment Corp.   5,364,978 
 156,623   Columbia Property Trust Inc.   3,007,162 
 70,723   Corporate Office Properties Trust   1,814,752 
 91,532   Dynex Capital Inc.   1,530,415 
 152,594   Lexington Realty Trust   2,296,540 
 30,500   SBA Communications Corp., Class A Shares   10,485,900 
     Total Equity Real Estate Investment Trusts (REITs)   51,910,039 
Insurance - 4.5%
 121,987   BRP Group Inc., Class A Shares*   4,518,398 
 35,005   Hanover Insurance Group Inc.   4,261,859 
 161,500   Hartford Financial Services Group Inc.   10,675,150 
 377,801   MGIC Investment Corp.   5,326,994 
 144,200   Progressive Corp.   13,401,948 
 71,600   Willis Towers Watson PLC   16,170,144 
 91,300   WR Berkley Corp.   6,997,232 
     Total Insurance   61,351,725 
Private Equity - 0.3%
 261,836   Hercules Capital Inc.(a)   4,304,584 
Real Estate - 0.5%
 443,262   Newmark Group Inc., Class A Shares   7,118,788 
Savings & Loans - 0.5%
 273,280   Sterling Bancorp   6,780,077 
     TOTAL FINANCIAL   254,324,041 
INDUSTRIAL - 17.4%
Aerospace/Defense - 0.4%
 56,062   BWX Technologies Inc.   2,674,157 
 49,231   Hexcel Corp.*   2,529,489 
     Total Aerospace/Defense   5,203,646 
Building Materials - 1.5%
 30,199   Hayward Holdings Inc.*   739,272 
 25,300   Martin Marietta Materials Inc.   10,208,803 
 36,777   Masonite International Corp.*   3,935,139 
 17,598   Summit Materials Inc., Class A Shares*   656,405 
  168,800     Zurn Water Solutions Corp.     5,916,440  
        Total Building Materials     21,456,059  
Electrical Components & Equipment - 0.3%  
  45,359     Belden Inc.     2,797,290  

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Small-Mid Cap Equity Fund (continued)

 

Shares/Units   Security  Value 
COMMON STOCKS - 94.3% - (continued) 
INDUSTRIAL - 17.4% - (continued) 
Electrical Components & Equipment - 0.3% - (continued)
 33,679   Energizer Holdings Inc.  $1,252,522 
 878   Generac Holdings Inc.*   369,849 
     Total Electrical Components & Equipment   4,419,661 
Electronics - 3.1%
 7,220   Atkore Inc.*   768,930 
 124,431   Camtek Ltd.*(a)   5,738,758 
 131,000   Fortive Corp.   9,676,970 
 42,100   Hubbell Inc., Class B Shares   8,238,970 
 36,742   Vicor Corp.*   5,271,007 
 119,100   Woodward Inc.   12,600,780 
     Total Electronics   42,295,415 
Engineering & Construction - 0.6%
 18,047   EMCOR Group Inc.   2,153,729 
 5,038   Exponent Inc.   586,927 
 5,600   Latham Group Inc.*   144,312 
 27,679   NV5 Global Inc.*   3,639,789 
 22,239   WillScot Mobile Mini Holdings Corp.*   847,084 
     Total Engineering & Construction   7,371,841 
Environmental Control - 1.5%
 61,823   Clean Harbors Inc.*   6,271,325 
 145,494   Energy Recovery Inc.*   3,091,748 
 17,635   Evoqua Water Technologies Corp.*   793,222 
 118,004   Harsco Corp.*   1,720,498 
 211,169   Li-Cycle Holdings Corp.*(a)   2,633,277 
 98,977   Montrose Environmental Group Inc.*   7,248,086 
 3,661   Tetra Tech Inc.   676,113 
     Total Environmental Control   22,434,269 
Hand/Machine Tools - 1.3%
 61,135   Regal Rexnord Corp.   9,665,444 
 45,300   Stanley Black & Decker Inc.   7,916,628 
     Total Hand/Machine Tools   17,582,072 
Machinery-Construction & Mining - 1.3%
 686,100   Vertiv Holdings Co., Class A Shares   17,591,604 
Machinery-Diversified - 3.0%
 78,547   Agrify Corp.*(a)   1,205,696 
 69,050   Altra Industrial Motion Corp.   3,639,625 
 98,531   Cactus Inc., Class A Shares   3,596,382 
 16,944   Chart Industries Inc.*   2,957,575 
 51,518   CIRCOR International Inc.*   1,388,410 
 230,812   Gates Industrial Corp. PLC*   3,699,916 
 160,100   Ingersoll Rand Inc.   9,340,234 
 7,528   Kornit Digital Ltd.*   1,166,162 
 17,225   Nordson Corp.   4,378,423 
 106,120   Ranpak Holdings Corp., Class A Shares*   4,205,536 
 43,806   SPX FLOW Inc.   3,658,239 
     Total Machinery-Diversified   39,236,198 
Metal Fabricate/Hardware - 0.4%
 33,174   Standex International Corp.   3,417,254 
 52,912   Xometry Inc., Class A Shares*(a)   2,630,256 
     Total Metal Fabricate/Hardware   6,047,510 
Miscellaneous Manufacturers - 2.3%
 2,914   Axon Enterprise Inc.*   491,854 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Small-Mid Cap Equity Fund (continued)

 

Shares/Units   Security  Value 
COMMON STOCKS - 94.3% - (continued)
INDUSTRIAL - 17.4% - (continued)
Miscellaneous Manufacturers - 2.3% - (continued)
 75,455   Enerpac Tool Group Corp., Class A Shares  $1,592,855 
 42,907   EnPro Industries Inc.   4,376,514 
 32,699   Hillenbrand Inc.   1,458,375 
 135,234   ITT Inc.   12,790,432 
 41,900   Parker-Hannifin Corp.   12,656,314 
     Total Miscellaneous Manufacturers   33,366,344 
Packaging & Containers - 0.5%
 111,268   Karat Packaging Inc.*   2,446,783 
 195,836   O-I Glass Inc.*   2,167,905 
 47,122   Silgan Holdings Inc.   1,954,149 
     Total Packaging & Containers   6,568,837 
Transportation - 1.2%
 96,800   Canadian Pacific Railway Ltd.   6,778,904 
 83,076   CryoPort Inc.*   5,519,569 
 32,168   Forward Air Corp.   3,176,590 
 3,185   Saia Inc.*   1,054,808 
     Total Transportation   16,529,871 
     TOTAL INDUSTRIAL   240,103,327 
TECHNOLOGY - 9.6%
Computers - 2.0%
 12,731   CACI International Inc., Class A Shares*   3,302,803 
 2,206   CyberArk Software Ltd.*   381,307 
 46,923   Endava PLC, ADR*   7,345,326 
 22,960   ExlService Holdings Inc.*   2,981,815 
 350,762   Grid Dynamics Holdings Inc.*   13,760,393 
 16,321   KBR Inc.   718,124 
 2,856   Zscaler Inc.*   990,946 
     Total Computers   29,480,714 
Semiconductors - 5.9%
 10,281   Ambarella Inc.*   1,845,645 
 126,888   Axcelis Technologies Inc.*   7,844,216 
 120,101   Impinj Inc.*   9,003,972 
 16,790   Lattice Semiconductor Corp.*   1,274,865 
 32,911   MACOM Technology Solutions Holdings Inc.*   2,366,630 
 83,700   Marvell Technology Inc.   5,956,929 
 13,687   MaxLinear Inc., Class A Shares*   921,546 
 104,000   MKS Instruments Inc.   15,824,640 
 65,500   NXP Semiconductors NV   14,630,080 
 31,832   SiTime Corp.*   9,501,215 
 82,058   SMART Global Holdings Inc.*   4,678,947 
 2,646   Synaptics Inc.*   746,807 
 114,429   Ultra Clean Holdings Inc.*   6,271,854 
     Total Semiconductors   80,867,346 
Software - 1.7%
 4,066   DigitalOcean Holdings Inc.*   409,894 
 89,057   Docebo Inc.*   6,344,421 
 7,283   Freshworks Inc., Class A Shares*   256,507 
 62,254   HireRight Holdings Corp.*   1,155,434 
 2,509   Monday.com Ltd.*(a)   902,738 
 46,575   Motorsport Games Inc., Class A Shares*   435,942 
 63,073   Phreesia Inc.*   3,638,051 
 106,463   PubMatic Inc., Class A Shares*(a)   4,191,448 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Small-Mid Cap Equity Fund (continued)

 

Shares/Units   Security  Value 
COMMON STOCKS - 94.3% - (continued)
TECHNOLOGY – 9.6% - (continued)
Software - 1.7% - (continued)
 271,379   Rackspace Technology Inc.*  $3,869,865 
 51,918   Sophia Genetics SA*(a)   725,814 
 5,435   Sprout Social Inc., Class A Shares*   606,981 
     Total Software   22,537,095 
     TOTAL TECHNOLOGY   132,885,155 
UTILITIES - 3.1%
Electric - 3.0%
 118,300   Ameren Corp.   9,652,097 
 6,565   Ameresco Inc., Class A Shares*   593,016 
 42,707   Black Hills Corp.   2,738,373 
 298,400   CenterPoint Energy Inc.   7,731,544 
 34,372   IDACORP Inc.   3,595,999 
 133,650   Portland General Electric Co.   6,504,745 
 161,700   Xcel Energy Inc.   10,305,141 
     Total Electric   41,120,915 
Gas - 0.1%
 31,055   Spire Inc.   1,858,642 
     TOTAL UTILITIES   42,979,557 
     TOTAL COMMON STOCKS     
     (Cost - $1,027,404,723)   1,303,755,662 
EXCHANGE TRADED FUNDS (ETFs) - 3.2%
 160,784   iShares Russell 2000(a)   35,078,245 
 118,894   iShares Russell Mid-Capital   9,512,709 
     TOTAL EXCHANGE TRADED FUNDS (ETFs)     
     (Cost - $37,399,969)   44,590,954 
     TOTAL INVESTMENTS BEFORE SHORT-TERM INVESTMENTS     
     (Cost - $1,064,804,692)   1,348,346,616 

 

 Face
Amount
         
           
SHORT-TERM INVESTMENTS - 3.0%
TIME DEPOSITS - 3.0%
$11,027,861   Barclays Bank PLC - London, 0.005% due 12/1/21   11,027,861 
 15,087,368   DnB NORBank ASA - Oslo, 0.005% due 12/1/21   15,087,368 
 5,480,678   Royal Bank of Canada - Toronto, 0.005% due 12/1/21   5,480,678 
 3,643,442   Skandinaviska Enskilda Banken AB - Stockholm, 0.005% due 12/1/21   3,643,442 
 6,339,154   Sumitomo Mitsui Banking Corp. - Tokyo, 0.005% due 12/1/21   6,339,154 
     TOTAL TIME DEPOSITS     
     (Cost - $41,578,503)   41,578,503 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Small-Mid Cap Equity Fund (concluded)

 

Shares/Units   Security  Value 
INVESTMENTS PURCHASED WITH CASH PROCEEDS FROM SECURITIES LENDING - 5.1%    
MONEY MARKET FUND - 5.1%
 71,074,582   Federated Government Obligations Fund, Premier Class, 0.025%(b)     
     (Cost - $71,074,582)  $71,074,582 
     TOTAL INVESTMENTS - 105.6%     
     (Cost - $1,177,457,777)   1,460,999,701 
     Liabilities in Excess of Other Assets - (5.6)%   (76,847,327)
     TOTAL NET ASSETS - 100.0%  $1,384,152,374 

 

 

*Non-income   producing security.
(a)All or a portion of this security is on loan.
(b)Represents investment of collateral received from securities lending transactions.

 

Abbreviations used in this schedule:
ADR American Depositary Receipts
PLC Public Limited Company
 

Summary of Investments by Security Sector^        
Consumer Non-cyclical   18.9%
Financial   17.4 
Industrial   16.4 
Consumer Cyclical   11.6 
Technology   9.1 
Communications   5.1 
Basic Materials   4.0 
Energy   3.6 
Utilities   3.0 
Diversified   0.1 
Exchange Traded Funds (ETFs)   3.1 
Short-Term Investments   2.8 
Money Market Fund   4.9 
    100.0%

 

 

^ As a percentage of total investments.

 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Equity Income Fund

 

Shares/Units    Security  Value 
COMMON STOCKS - 86.1%     
BASIC MATERIALS - 3.5%     
Chemicals - 2.0% 
  11,589    Air Liquide SA  $1,917,118 
  42,253    DuPont de Nemours Inc.   3,125,032 
  57,721    Nutrien Ltd.   3,821,190 
       Total Chemicals   8,863,340 
Mining - 1.5%          
  77,946    BHP Group PLC   2,135,631 
  16,925    Newmont Corp.    929,521 
  34,150    Rio Tinto PLC, ADR    2,140,863 
  21,225    Southern Copper Corp.    1,241,662 
       Total Mining    6,447,677 
       TOTAL BASIC MATERIALS    15,311,017 
COMMUNICATIONS - 7.0%     
Advertising - 0.4%     
  121,100    Hakuhodo DY Holdings Inc.    1,802,172 
Internet - 0.1%     
  6,300    Cogent Communications Holdings Inc.    472,059 
Media - 0.6%          
  51,333    Comcast Corp., Class A Shares    2,565,623 
Telecommunications - 5.9%     
  88,094    AT&T Inc.*    2,011,186 
  122,425    BCE Inc.    6,160,297 
  56,504    Cisco Systems Inc.    3,098,679 
  19,475    Corning Inc.    722,328 
  35,636    SK Telecom Co., Ltd.    1,642,846 
  60,700    TELUS Corp.    1,387,602 
  98,826    Verizon Communications Inc.    4,967,983 
  3,662,268    Vodafone Group PLC    5,310,703 
       Total Telecommunications    25,301,624 
       TOTAL COMMUNICATIONS    30,141,478 
CONSUMER CYCLICAL - 6.7%     
Apparel - 0.2%     
  13,425    VF Corp.    962,975 
Auto Manufacturers - 0.6%    
  41,185    General Motors Co.*    2,383,376 
Distribution/Wholesale - 0.7%     
  84,600    Mitsui & Co., Ltd.    1,903,492 
  5,000    Watsco Inc.    1,463,550 
       Total Distribution/Wholesale    3,367,042 
Home Builders - 0.4%     
  35,490    PulteGroup Inc.    1,775,565 
Home Furnishings - 0.5%     
  48,950    Leggett & Platt Inc.    1,977,091 
Housewares - 0.3%     
  57,800    Newell Brands Inc.    1,240,966 
Retail - 3.4%     
  8,725    Best Buy Co., Inc.    932,353 
  13,043    Darden Restaurants Inc.    1,799,282 
  2,700    Home Depot Inc.    1,081,647 
  55,549    Industria de Diseno Textil SA    1,750,525 
  8,025    Lowe's Cos., Inc.   1,962,835 
  4,700     McDonald's Corp.     1,149,620  

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Equity Income Fund (continued)

 

Shares/Units   Security  Value 
CONSUMER CYCLICAL - 6.7% - (continued) 
Retail - 3.4% - (continued)
 1,242,010   Topsports International Holdings Ltd.   $1,433,997 
 43,125   Walgreens Boots Alliance Inc.    1,932,000 
 20,153   Walmart Inc.    2,834,116 
     Total Retail    14,876,375 
Toys/Games/Hobbies - 0.6%
 5,395   Nintendo Co., Ltd.    2,396,340 
     TOTAL CONSUMER CYCLICAL    28,979,730 
CONSUMER NON-CYCLICAL - 21.7%
Agriculture - 3.3%
 198,120   British American Tobacco PLC    6,653,927 
 89,127   Philip Morris International Inc.    7,659,574 
     Total Agriculture    14,313,501 
Beverages - 1.7%
 55,856   Coca-Cola Co.    2,929,647 
 28,435   PepsiCo Inc.    4,543,344 
     Total Beverages    7,472,991 
Biotechnology - 1.9%
 10,490   Amgen Inc.    2,086,251 
 90,075   Gilead Sciences Inc.    6,208,870 
     Total Biotechnology    8,295,121 
Commercial Services - 0.3%
 425   SGS SA, Class Registered Shares    1,284,507 
Cosmetics/Personal Care - 1.7%
 32,600   Kao Corp.    1,670,956 
 6,350   Procter & Gamble Co.    918,083 
 94,543   Unilever PLC    4,850,580 
     Total Cosmetics/Personal Care    7,439,619 
Food - 1.6%
 38,975   Flowers Foods Inc.    1,006,334 
 55,390   General Mills Inc.    3,421,440 
 14,025   Kellogg Co.    858,050 
 824,000   Tingyi Cayman Islands Holding Corp.    1,595,660 
     Total Food    6,881,484 
Healthcare-Products - 0.6%
 22,814   Medtronic PLC    2,434,254 
Healthcare-Services - 1.2%
 8,729   Anthem Inc.    3,545,982 
 29,617   Fresenius Medical Care AG & Co. KGaA    1,774,378 
     Total Healthcare-Services    5,320,360 
Household Products/Wares - 0.6%
 20,400   Kimberly-Clark Corp.    2,658,324 
Pharmaceuticals - 8.8%
 115,414   AbbVie Inc.    13,304,926 
 25,060   AstraZeneca PLC    2,750,760 
 37,525   AstraZeneca PLC, ADR    2,057,496 
 24,850   Bristol-Myers Squibb Co.    1,332,705 
 39,025   Cardinal Health Inc.    1,804,126 
 26,900   CVS Health Corp.    2,395,714 
 100,743   GlaxoSmithKline PLC    2,042,582 
 11,100   Johnson & Johnson*    1,730,823 
 75,760   Merck & Co., Inc.    5,675,182 
  87,215     Pfizer Inc.     4,686,062  

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Equity Income Fund (continued)

 

Shares/Units   Security  Value 
CONSUMER NON-CYCLICAL - 21.7% - (continued) 
Pharmaceuticals - 8.8% - (continued)     
 3,330   Sanofi   $316,787 
     Total Pharmaceuticals    38,097,163 
     TOTAL CONSUMER NON-CYCLICAL    94,197,324 
ENERGY - 9.2%     
Energy-Alternate Sources - 0.2%     
 11,650   NextEra Energy Partners LP    990,832 
Oil & Gas - 6.0%     
 113,199   Chevron Corp.    12,776,771 
 30,550   ConocoPhillips    2,142,471 
 122,520   Exxon Mobil Corp.    7,331,597 
 10,075   Pioneer Natural Resources Co.    1,796,574 
 37,900   TotalEnergies SE    1,742,523 
     Total Oil & Gas    25,789,936 
Pipelines - 3.0%     
 162,525   Enbridge Inc.    6,096,993 
 148,877   Enterprise Products Partners LP    3,184,479 
 73,251   TC Energy Corp.    3,435,370 
 16,825   Williams Cos., Inc.    450,742 
     Total Pipelines    13,167,584 
     TOTAL ENERGY    39,948,352 
FINANCIAL - 17.4%     
Banks - 9.1%     
 225,938   Bank Leumi Le-Israel BM    2,181,508 
 20,125   Canadian Imperial Bank of Commerce    2,243,812 
 43,098   Citigroup Inc.    2,745,343 
 40,250   Citizens Financial Group Inc.    1,902,617 
 129,765   Huntington Bancshares Inc.    1,925,713 
 188,064   ING Groep NV    2,596,621 
 32,863   JPMorgan Chase & Co.    5,219,630 
 212,450   KeyCorp    4,767,378 
 22,150   Morgan Stanley    2,100,263 
 170,598   Nordea Bank Abp    2,023,315 
 226,011   Oversea-Chinese Banking Corp., Ltd.    1,820,513 
 11,575   PNC Financial Services Group Inc.    2,280,275 
 57,740   Regions Financial Corp.    1,313,585 
 34,910   Truist Financial Corp.    2,070,512 
 34,573   US Bancorp    1,913,270 
 65,245   Wells Fargo & Co.    3,117,406 
     Total Banks    40,221,761 
Diversified Financial Services - 2.1%     
 21,275   Amundi SA(a)    1,765,926 
 11,525   CME Group Inc., Class A Shares    2,541,493 
 11,273   Deutsche Boerse AG    1,772,456 
 37,975   Virtu Financial Inc., Class A Shares    1,070,136 
 102,673   Western Union Co.    1,624,287 
     Total Diversified Financial Services    8,774,298 
Equity Real Estate Investment Trusts (REITs) - 4.1%     
 7,025   Alexandria Real Estate Equities Inc.    1,405,492 
 36,625   American Campus Communities Inc.    1,894,977 
 96,050   Brixmor Property Group Inc.    2,184,177 
 9,150   Camden Property Trust    1,511,671 
  10,025     Crown Castle International Corp.     1,821,041  
  19,175     CyrusOne Inc.     1,706,958  

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Equity Income Fund (continued)

 

Shares/Units   Security  Value 
FINANCIAL - 17.4% - (continued) 
Equity Real Estate Investment Trusts (REITs) - 4.1% - (continued)     
 18,675   Duke Realty Corp.   $1,089,313 
 44,725   MGM Growth Properties LLC, Class A Shares    1,637,382 
 37,572   National Retail Properties Inc.    1,656,925 
 7,125   Prologis Inc.    1,074,094 
 14,250   Terreno Realty Corp.    1,085,138 
     Total Equity Real Estate Investment Trusts (REITs)    17,067,168 
Insurance - 1.8%     
 42,364   Ageas SA/NV    2,183,925 
 8,483   Allianz SE, Class Registered Shares    1,849,604 
 8,769   Everest Re Group Ltd.    2,248,196 
 4,043   Zurich Insurance Group AG    1,668,243 
     Total Insurance    7,949,968 
Investment Companies - 0.3%     
 23,038   SK Square Co., Ltd.*(b)    1,324,034 
     TOTAL FINANCIAL    75,337,229 
INDUSTRIAL - 5.9%     
Aerospace/Defense - 2.1%     
 379,326   BAE Systems PLC    2,755,099 
 10,185   General Dynamics Corp.    1,924,659 
 7,725   Lockheed Martin Corp.    2,574,897 
 20,925   Raytheon Technologies Corp.    1,693,251 
     Total Aerospace/Defense    8,947,906 
Machinery-Construction & Mining - 0.7%     
 4,650   Caterpillar Inc.    899,078 
 80,095   Sandvik AB    1,980,261 
     Total Machinery-Construction & Mining    2,879,339 
Machinery-Diversified - 0.2%     
 7,375   AGCO Corp.    812,799 
Miscellaneous Manufacturers - 2.0%     
 9,525   3M Co.    1,619,631 
 19,219   Eaton Corp. PLC    3,114,631 
 24,279   Siemens AG, Class Registered Shares    3,888,622 
     Total Miscellaneous Manufacturers    8,622,884 
Transportation - 0.9%     
 68,145   Deutsche Post AG, Class Registered Shares    4,029,223 
     TOTAL INDUSTRIAL    25,292,151 
TECHNOLOGY - 5.5%     
Computers - 0.5%     
 9,833   Capgemini SE    2,274,869 
Semiconductors - 3.0%     
 6,363   Broadcom Inc.    3,523,066 
 37,718   Intel Corp.    1,855,726 
 59,000   MediaTek Inc.    2,136,272 
 6,825   QUALCOMM Inc.    1,232,322 
 37,066   Samsung Electronics Co., Ltd.    2,011,869 
 11,375   Texas Instruments Inc.    2,188,209 
     Total Semiconductors    12,947,464 
Software - 2.0%     
 11,761   Microsoft Corp.    3,888,069 
 33,698   Oracle Corp.    3,057,756 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Equity Income Fund (continued)

 

Shares/Units   Security  Value 
TECHNOLOGY - 5.5% - (continued) 
Software - 2.0% - (continued)     
 12,425   Paychex Inc.   $1,481,060 
     Total Software    8,426,885 
     TOTAL TECHNOLOGY    23,649,218 
UTILITIES - 9.2%     
Electric - 9.2%     
 16,375   Ameren Corp.    1,336,036 
 26,705   American Electric Power Co., Inc.    2,164,440 
 89,825   CenterPoint Energy Inc.    2,327,366 
 96,613   Dominion Energy Inc.    6,878,846 
 55,280   Duke Energy Corp.    5,362,713 
 446,409   National Grid PLC    5,941,925 
 22,600   NextEra Energy Inc.    1,961,228 
 132,600   PPL Corp.    3,690,258 
 44,025   Public Service Enterprise Group Inc.    2,751,122 
 7,050   Sempra Energy    845,083 
 94,085   Southern Co.    5,748,594 
 10,150   WEC Energy Group Inc.    882,340 
     Total Electric    39,889,951 
     TOTAL UTILITIES    39,889,951 
     TOTAL COMMON STOCKS     
     (Cost - $333,173,638)    372,746,450 
EXCHANGE TRADED FUNDS (ETFs) - 10.2%     
 408,489   iShares Core Dividend Growth(c)    21,388,484 
 51,729   iShares Core High Dividend(c)    4,897,702 
 297,130   JPMorgan Equity Premium Income    17,997,164 
     TOTAL EXCHANGE TRADED FUNDS (ETFs)     
     (Cost - $36,056,148)    44,283,350 
CONVERTIBLE PREFERRED STOCKS - 1.5%     
CONSUMER NON-CYCLICAL - 0.4%     
Healthcare-Products - 0.4%     
 14,013   Avantor Inc., 6.250%    1,690,248 
TECHNOLOGY - 1.1%     
Semiconductors - 0.8%     
 2,063   Broadcom Inc., 8.000%    3,580,667 
Software - 0.3%     
 19,500   Change Healthcare Inc., 6.000%    1,313,715 
     TOTAL TECHNOLOGY    4,894,382 
     TOTAL CONVERTIBLE PREFERRED STOCKS     
     (Cost - $4,807,413)    6,584,630 
     TOTAL INVESTMENTS BEFORE SHORT-TERM INVESTMENTS     
        (Cost - $374,037,199)     423,614,430  

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Equity Income Fund (concluded)

 

Face
Amount
   Security  Value 
SHORT-TERM INVESTMENTS - 2.2% 
TIME DEPOSITS - 2.2%     
$7,703,917   BNP Paribas - Paris, 0.005% due 12/1/21   $7,703,917 
 45   DnB NORBank ASA - Oslo, 0.005% due 12/1/21    45 
 1,097,723   Skandinaviska Enskilda Banken AB - Stockholm, 0.005% due 12/1/21    1,097,723 
 827,810   Sumitomo Mitsui Banking Corp. - Tokyo, 0.005% due 12/1/21    827,810 
     TOTAL TIME DEPOSITS     
     (Cost - $9,629,495)    9,629,495 
           
Shares/Units       
        
INVESTMENTS PURCHASED WITH CASH PROCEEDS FROM SECURITIES LENDING - 0.0%     
MONEY MARKET FUND - 0.0%     
 59,840   Federated Government Obligations Fund, Premier Class, 0.025%(d)     
     (Cost - $59,840)   $59,840 
     TOTAL INVESTMENTS - 100.0%     
     (Cost - $383,726,533)    433,303,765 
     Other Assets in Excess of Liabilities - 0.0%    119,591 
     TOTAL NET ASSETS - 100.0%   $433,423,356 

 

 

*Non-income producing security.
(a)Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $1,765,926 and represents 0.41% of net assets.
(b)Illiquid security. The aggregate value of illiquid holdings at November 30, 2021, amounts to $1,324,034 and represents 0.31% of net assets.
(c)All or a portion of this security is on loan.
(d)Represents investment of collateral received from securities lending transactions.

 

Abbreviations used in this schedule:
ADR American Depositary Receipts
LLC Limited Liability Company
LP Limited Partnership
PLC Public Limited Company

 

Summary of Investments by Security Sector^        
Consumer Non-cyclical    22.1%
Financial    17.4 
Energy    9.2 
Utilities    9.2 
Communications    7.0 
Consumer Cyclical    6.7 
Technology    6.6 
Industrial    5.9 
Basic Materials    3.5 
Exchange Traded Funds (ETFs)    10.2 
Short-Term Investments    2.2 
Money Market Fund    0.0*
    100.0%

 

 

^ As a percentage of total investments.

* Position represents less than 0.05%.

 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations International Equity Fund

 

Shares/Units   Security  Value 
COMMON STOCKS - 96.0%     
Australia - 0.5%     
 715,475   Elmo Software Ltd.*(a)  $2,665,797 
 587,255   Johns Lyng Group Ltd.   3,055,939 
 192,282   Pro Medicus Ltd.   8,369,084 
     Total Australia   14,090,820 
Austria - 0.1%     
 55,128   Erste Group Bank AG   2,403,261 
Bermuda - 0.1%     
 109,588   Golar LNG Ltd.*   1,293,139 
 151,096   Hiscox Ltd.   1,659,565 
     Total Bermuda   2,952,704 
Brazil - 1.2%     
 1,239,538   Aeris Industria E Comercio de Equipamentos Para Geracao de Energia SA*   1,730,490 
 118,810   Afya Ltd., Class A Shares*   1,681,161 
 492,108   Americanas SA*   2,653,562 
 140,883   Banco Inter SA   907,751 
 319,786   Localiza Rent a Car SA   2,906,732 
 1,294,943   Magazine Luiza SA   1,796,325 
 221,415   Notre Dame Intermedica Participacoes SA   2,420,133 
 268,408   Rede D'Or Sao Luiz SA(b)   2,394,855 
 94,853   StoneCo Ltd., Class A Shares*   1,479,707 
 912,455   Suzano SA*   9,113,353 
 120,785   XP Inc., Class A Shares*   3,464,114 
     Total Brazil   30,548,183 
Canada - 2.5%     
 65,411   Agnico Eagle Mines Ltd.   3,260,183 
 72,500   Canadian Pacific Railway Ltd.(a)   5,077,175 
 840   Constellation Software Inc.   1,429,108 
 26,034   Definity Financial Corp.*   564,224 
 15,496   Descartes Systems Group Inc.*   1,245,720 
 290,000   Enbridge Inc.   10,879,114 
 155,274   Equitable Group Inc.(a)   9,063,777 
 86,726   Franco-Nevada Corp.   11,891,097 
 3,544   Shopify Inc., Class A Shares*   5,393,224 
 97,326   Sun Life Financial Inc.   5,167,004 
 48,674   TELUS International CDA Inc.*   1,702,914 
 72,236   TMX Group Ltd.   7,009,037 
 65,102   Wheaton Precious Metals Corp.   2,721,989 
     Total Canada   65,404,566 
China - 7.2%     
 145,126   Alibaba Group Holding Ltd., ADR*   18,507,919 
 22,476   Baidu Inc., ADR*   3,367,804 
 413,316   Beijing Oriental Yuhong Waterproof Technology Co., Ltd., Class A Shares(c)   2,556,365 
 591,300   BTG Hotels Group Co., Ltd., Class A Shares*(c)   2,152,711 
 1,934,427   China Conch Venture Holdings Ltd.   9,439,376 
 1,459,311   China Mengniu Dairy Co., Ltd.*   8,120,037 
 2,725,694   China Molybdenum Co., Ltd., Class A Shares(c)   2,511,792 
 1,721,430   China Molybdenum Co., Ltd., Class H Shares(d)   1,052,877 
 116,380   China Tourism Group Duty Free Corp., Ltd, Class A Shares(c)   3,753,373 
 592,885   Estun Automation Co., Ltd., Class A Shares(c)   2,546,128 
 56,756   GDS Holdings Ltd., ADR*   3,180,606 
 180,183   GDS Holdings Ltd., Class A Shares*   1,267,597 
 223,550   Glodon Co., Ltd., Class A Shares(c)   2,249,502 
 545,100   Gree Electric Appliances Inc. of Zhuhai, Class A Shares(c)   2,953,924 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations International Equity Fund (continued)

 

Shares/Units   Security  Value 
China - 7.2% - (continued)     
 186,448   Hangzhou Tigermed Consulting Co., Ltd., Class A Shares(c)  $4,022,439 
 934,137   Han's Laser Technology Industry Group Co., Ltd., Class A Shares(c)   6,592,862 
 748,651   Hua Hong Semiconductor Ltd.*(b)   4,981,532 
 150,450   JD Health International Inc.*(b)   1,312,011 
 39,659   JD.com Inc., ADR*   3,335,718 
 24,660   Kanzhun Ltd., ADR*(a)   788,627 
 1,401,407   Kingdee International Software Group Co., Ltd.*   4,250,418 
 1,369,930   Kingsoft Corp., Ltd   5,890,641 
 12,065   Kweichow Moutai Co., Ltd., Class A Shares(c)   3,658,969 
 616,033   Midea Group Co., Ltd., Class A Shares(c)   6,521,553 
 1,184,264   NARI Technology Co., Ltd., Class A Shares(c)   7,680,246 
 245,120   SF Holding Co., Ltd., Class A Shares(c)   2,355,857 
 359,100   Shandong Pharmaceutical Glass Co., Ltd., Class A Shares(c)   2,515,462 
 280,458   Shanghai Henlius Biotech Inc., Class H Shares*(a)(b)(d)   1,081,684 
 269,427   Shanghai Kindly Medical Instruments Co., Ltd., Class H Shares(a)(d)   764,134 
 72,773   Shenzhen Mindray Bio-Medical Electronics Co., Ltd., Class A Shares(c)   4,114,969 
 277,035   Shenzhou International Group Holdings Ltd.   5,183,438 
 392,799   Tencent Holdings Ltd.   23,141,826 
 21,316   Tencent Holdings Ltd., ADR(a)   1,245,920 
 81,000   Trip.com Group Ltd., ADR*   2,227,500 
 864,741   Venustech Group Inc., Class A Shares(c)   3,896,826 
 92,622   Will Semiconductor Co., Ltd. Shanghai, Class A Shares(c)   3,961,479 
 1,182,548   Winning Health Technology Group Co., Ltd., Class A Shares(c)   2,909,989 
 330,422   Wuxi Biologics Cayman Inc.*(b)   4,500,178 
 92,497   Yum China Holdings Inc.   4,627,184 
 307,435   Yunnan Baiyao Group Co., Ltd., Class A Shares(c)   4,259,834 
 52,492   Zai Lab Ltd., ADR*   3,635,071 
 605,038   Zhejiang Dingli Machinery Co., Ltd., Class A Shares(c)   7,822,916 
     Total China   190,939,294 
Colombia - 0.3%     
 566,479   Ecopetrol SA, ADR   7,279,255 
Cyprus - 0.2%     
 45,819   TCS Group Holding PLC, GDR   4,379,210 
Denmark - 0.8%     
 43,544   cBrain AS(a)   2,297,589 
 21,773   Chr Hansen Holding AS   1,620,369 
 5,056   Genmab AS*   1,964,587 
 25,623   Jyske Bank AS, Class Registered Shares*   1,278,002 
 126,082   Novozymes AS, Class B Shares   9,582,892 
 30,402   Royal Unibrew AS   3,256,609 
 33,976   Sydbank AS   1,102,012 
     Total Denmark   21,102,060 
Egypt - 0.3%     
 8,362,955   Fawry for Banking & Payment Technology Services SAE*(c)   6,893,975 
Finland - 0.9%     
 228,902   Fortum OYJ   6,580,540 
 121,014   Musti Group OYJ*   4,082,734 
 166,931   Sampo OYJ, Class A Shares   8,201,848 
 258,333   Talenom OYJ(a)   3,703,635 
 78,021   Wartsila OYJ Abp   1,080,909 
     Total Finland   23,649,666 
France - 8.7%     
 266,686   Accor SA*   7,893,145 
 17,910   Air Liquide SA   2,962,773 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations International Equity Fund (continued)

 

Shares/Units   Security  Value 
France - 8.7% - (continued)     
 63,378   Alstom SA  $2,247,077 
 70,228   Aubay   4,223,041 
 254,354   AXA SA   6,992,480 
 19,033   Cie Generale des Etablissements Michelin SCA   2,812,172 
 188,302   Danone SA   11,105,683 
 58,940   Dassault Aviation SA   5,583,017 
 117,786   Dassault Systemes SE   7,101,977 
 57,204   Esker SA   22,442,108 
 71,151   EssilorLuxottica SA   14,259,334 
 612,697   Eutelsat Communications SA   7,771,700 
 2,867   Kering SA   2,211,350 
 125,314   Legrand SA   13,703,150 
 36,435   L'Oreal SA   16,431,616 
 9,428   LVMH Moet Hennessy Louis Vuitton SE   7,320,126 
 71,824   Pernod Ricard SA(a)   16,500,573 
 338,562   Rexel SA   6,198,636 
 57,575   Safran SA   6,408,395 
 101,616   Sanofi   9,666,848 
 121,850   Schneider Electric SE   21,543,064 
 234,486   Thales SA   19,196,171 
 262,923   Veolia Environnement SA   8,415,565 
 70,949   Vinci SA   6,694,009 
     Total France   229,684,010 
Germany - 5.0%     
 14,820   Adesso SE   3,145,754 
 13,813   adidas AG   4,006,570 
 43,865   Atoss Software AG   10,344,471 
 21,360   Bayer AG, Class Registered Shares   1,078,771 
 40,289   Beiersdorf AG   4,031,166 
 39,903   Deutsche Boerse AG   6,273,956 
 278,463   Deutsche Telekom AG   4,925,373 
 99,296   Elmos Semiconductor SE   4,944,882 
 92,816   Evotec SE*   4,395,645 
 102,246   GEA Group AG   5,189,470 
 188,846   Henkel AG & Co. KGaA   14,927,926 
 25,176   Infineon Technologies AG   1,140,511 
 63,907   KION Group AG   6,924,025 
 60,981   Knorr-Bremse AG   6,071,476 
 23,330   LEG Immobilien SE   3,270,162 
 58,063   Mensch und Maschine Software SE   4,307,693 
 28,746   MorphoSys AG*   1,157,972 
 127,820   Nexus AG   10,412,021 
 115,310   Rheinmetall AG   10,276,272 
 45,068   SAP SE   5,786,586 
 1,989   Sartorius AG   1,367,722 
 50,826   Symrise AG, Class A Shares   7,181,643 
 97,705   TAG Immobilien AG   2,716,709 
 88,692   TeamViewer AG*(b)   1,207,743 
 64,733   Vonovia SE   3,599,118 
 55,702   Zalando SE*(b)   5,078,079 
     Total Germany   133,761,716 
Greece - 0.2%     
 441,808   Sarantis SA   4,296,321 
Hong Kong - 2.7%     
 939,600   AIA Group Ltd.   9,886,848 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations International Equity Fund (continued)

 

Shares/Units   Security  Value 
Hong Kong - 2.7% - (continued)     
 4,288,000   BOC Hong Kong Holdings Ltd.  $12,950,363 
 1,403,601   Budweiser Brewing Co. APAC Ltd.(b)   3,545,360 
 1,763,000   CK Infrastructure Holdings Ltd.   10,178,213 
 695,378   Galaxy Entertainment Group Ltd.*   3,786,170 
 1,770,400   Hongkong Land Holdings Ltd.   9,556,536 
 146,682   New Frontier Health Corp.*(a)   1,601,767 
 7,439,000   SJM Holdings Ltd.*   5,294,730 
 2,805,400   Swire Properties Ltd.   6,620,024 
 401,711   Techtronic Industries Co., Ltd.   8,211,215 
     Total Hong Kong   71,631,226 
Hungary - 0.2%     
 117,211   OTP Bank Nyrt*   6,464,238 
India - 8.2%     
 276,013   Aarti Industries Ltd.   3,434,275 
 381,375   Aavas Financiers Ltd.*   14,060,256 
 121,387   Asian Paints Ltd.   5,071,665 
 596,297   Axis Bank Ltd.*   5,150,797 
 165,259   Bajaj Finance Ltd.   15,372,619 
 620,667   Berger Paints India Ltd.   6,213,986 
 850,063   Bharti Airtel Ltd.*   7,969,674 
 2,891,104   City Union Bank Ltd.   5,574,128 
 105,090   Divi's Laboratories Ltd.   6,884,412 
 182,537   Dr Lal PathLabs Ltd.   9,233,863 
 33,950   Dr Reddy's Laboratories Ltd.   2,100,025 
 2,097,350   Edelweiss Financial Services Ltd.   1,857,697 
 166,478   Godrej Consumer Products Ltd.*   2,048,671 
 181,897   Godrej Properties Ltd.*   4,760,473 
 384,971   Gulf Oil Lubricants India Ltd.   2,663,188 
 252,092   HDFC Bank Ltd.   4,993,065 
 282,091   Hemisphere Properties India Ltd.*   491,873 
 113,322   Hindustan Unilever Ltd.   3,499,760 
 487,607   Housing Development Finance Corp., Ltd   17,394,828 
 378,440   ICICI Bank Ltd.   3,579,853 
 182,072   ICICI Lombard General Insurance Co., Ltd.(b)   3,474,255 
 2,724,766   JM Financial Ltd.   2,586,186 
 75,836   Jubilant Foodworks Ltd.   3,713,569 
 85,001   Kotak Mahindra Bank Ltd.   2,222,398 
 31,213   Maruti Suzuki India Ltd.   2,934,916 
 500,447   Max Financial Services Ltd.*   6,255,420 
 450,209   Metropolis Healthcare Ltd.   19,613,609 
 239,298   Muthoot Finance Ltd.   4,567,977 
 812,069   Nippon Life India Asset Management Ltd.(b)   3,945,005 
 3,648,670   NTPC Ltd.   6,162,708 
 441,030   Reliance Industries Ltd.(e)   14,166,130 
 347,671   SBI Life Insurance Co., Ltd.(b)   5,384,824 
 182,423   Supreme Industries Ltd.   5,247,155 
 335,438   Tata Communications Ltd.   5,868,306 
 421,861   Tata Consumer Products Ltd.   4,393,113 
 145,480   Titan Co., Ltd.   4,601,899 
 510,147   Zomato Ltd.*   1,041,046 
     Total India   218,533,624 
Indonesia - 0.8%     
 17,022,900   Astra International Tbk PT   6,844,298 
 13,428,000   Bank Central Asia Tbk PT   6,820,646 
 8,603,400   Bank Rakyat Indonesia Persero Tbk PT   2,456,827 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations International Equity Fund (continued)

 

Shares/Units   Security  Value 
Indonesia - 0.8% - (continued)     
 51,336,100   Sarana Menara Nusantara Tbk PT@  $4,157,785 
     Total Indonesia   20,279,556 
Ireland - 0.9%     
 109,906   DCC PLC   8,076,834 
 185,148   Experian PLC   8,304,249 
 32,195   Kerry Group PLC, Class A Shares   3,964,370 
 40,411   Ryanair Holdings PLC, ADR*   3,861,271 
     Total Ireland   24,206,724 
Israel - 0.6%     
 2,720,375   Nayax Ltd.*   10,381,439 
 873   Nice Ltd., ADR*   254,899 
 50,430   Rami Levy Chain Stores Hashikma Marketing 2006 Ltd.   3,917,352 
 13,023   Wix.com Ltd.*   1,989,914 
     Total Israel   16,543,604 
Italy - 1.5%     
 500,326   Atlantia SpA*   9,131,520 
 462,752   Banca Mediolanum SpA   4,324,281 
 18,256   DiaSorin SpA   3,907,769 
 75,532   Digital Value SpA*   9,411,801 
 168,929   Gruppo MutuiOnline SpA   7,941,908 
 1,030,289   Snam SpA   5,809,522 
     Total Italy   40,526,801 
Japan - 14.9%     
 145,300   Atrae Inc.*   3,152,467 
 514,616   Avant Corp.   6,082,271 
 256,500   Bridgestone Corp.   10,403,383 
 205,700   Chiba Bank Ltd.   1,185,044 
 12,080   Commerce One Holdings Inc.*   136,913 
 102,047   Comture Corp.   3,171,845 
 92,200   Cybozu Inc.   1,754,878 
 119,500   Daiichi Sankyo Co., Ltd.   2,989,506 
 5,500   Daikin Industries Ltd.   1,117,234 
 95,900   Direct Marketing MiX Inc.   3,242,425 
 17,300   Disco Corp.   4,949,282 
 271,700   eGuarantee Inc.   5,873,153 
 59,900   Ezaki Glico Co., Ltd.   1,860,107 
 94,600   Freee KK*   5,666,246 
 178,800   Fujitsu General Ltd.   4,061,712 
 278,518   Funai Soken Holdings Inc.   6,251,710 
 201,900   Hachijuni Bank Ltd.   628,694 
 98,289   Hennge KK*(a)   3,662,340 
 11,200   Hikari Tsushin Inc.   1,624,672 
 50,010   Hirose Electric Co., Ltd.   8,352,388 
 288,600   Honda Motor Co., Ltd.   7,881,162 
 39,000   Hoshizaki Corp.   2,949,904 
 68,000   IR Japan Holdings Ltd.   4,260,230 
 112,800   Ito En Ltd.   6,634,948 
 484,800   Japan Elevator Service Holdings Co., Ltd.   9,068,467 
 177,600   Kansai Paint Co., Ltd.   3,991,098 
 148,200   Kao Corp.   7,596,185 
 9,250   Keyence Corp.   5,713,299 
 506,700   Kirin Holdings Co., Ltd.   8,124,966 
 74,900   Kobayashi Pharmaceutical Co., Ltd.   5,892,509 
 263,200   Komatsu Ltd.   5,998,899 
 9,200   Kose Corp.   1,114,480 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations International Equity Fund (continued)

 

Shares/Units   Security  Value 
Japan - 14.9% - (continued)     
 118,300   Lion Corp.  $1,683,106 
 56,300   Makuake Inc.*(a)   2,471,838 
 339,900   Mebuki Financial Group Inc.   670,691 
 224,100   Medley Inc.*(a)   5,285,050 
 54,500   MedPeer Inc.*   1,715,375 
 320,200   Mitsui Fudosan Co., Ltd.   6,594,444 
 68,400   Murata Manufacturing Co., Ltd.   5,017,369 
 117,400   Nihon Kohden Corp.   3,459,351 
 354,900   Nippon Telegraph & Telephone Corp.   9,785,263 
 20,200   Nissin Foods Holdings Co., Ltd.   1,484,757 
 145,900   Nomura Research Institute Ltd.   6,255,891 
 302,500   North Pacific Bank Ltd.   609,174 
 168,800   NTT Data Corp.   3,559,436 
 27,000   Obic Co., Ltd.   4,983,910 
 52,100   Omron Corp.   5,023,281 
 595,100   ORIX Corp.   11,738,651 
 224,300   Otsuka Holdings Co., Ltd.   8,144,401 
 181,800   Outsourcing Inc.   2,403,989 
 112,600   Pan Pacific International Holdings Corp.   1,931,725 
 166,400   Persol Holdings Co., Ltd.   4,794,282 
 466,006   Prestige International Inc.   2,827,483 
 240,500   Raccoon Holdings Inc.(a)   3,243,241 
 342,404   Rakus Co., Ltd.   9,168,580 
 166,000   Rohto Pharmaceutical Co., Ltd.   4,734,112 
 329,900   Santen Pharmaceutical Co., Ltd.   4,371,675 
 65,400   Secom Co., Ltd.   4,421,428 
 239,700   SERAKU Co., Ltd.(a)   3,701,000 
 338,200   Seven & i Holdings Co., Ltd.   13,582,403 
 269,100   Shimadzu Corp.   11,384,876 
 15,500   Shiseido Co., Ltd.   887,559 
 624,548   SIGMAXYZ Holdings Inc.   15,309,108 
 10,800   SMC Corp.   6,892,195 
 122,338   SMS Co., Ltd.   4,538,885 
 31,100   Sohgo Security Services Co., Ltd.   1,326,097 
 56,500   Sony Group Corp.   6,885,877 
 117,800   Stanley Electric Co., Ltd.   3,057,580 
 182,300   Strike Co., Ltd.   9,174,896 
 68,400   Suzuki Motor Corp.   2,759,534 
 1,909,600   Systena Corp.   7,930,662 
 61,200   Temairazu Inc.(a)   2,782,236 
 68,300   Terumo Corp.   2,783,960 
 139,200   Toyo Suisan Kaisha Ltd.   5,637,717 
 167,700   UT Group Co., Ltd.   5,980,902 
 255,200   ValueCommerce Co., Ltd.   10,143,456 
 309,100   WealthNavi Inc.*(a)   8,146,254 
 119,200   Yokogawa Electric Corp.   2,237,062 
 1,126,500   Z Holdings Corp.   7,448,228 
     Total Japan   394,361,407 
Jersey, Channel Islands - 0.4%     
 996,266   JTC PLC   11,326,554 
Malaysia - 0.1%     
 6,226,500   CTOS Digital Bhd   2,756,589 
Mexico - 1.1%     
 1,499,400   Grupo Financiero Banorte SAB de CV, Class O Shares   8,929,772 
 929,411   Grupo Mexico SAB de CV, Class B Shares   3,869,937 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations International Equity Fund (continued)

 

Shares/Units   Security  Value 
Mexico - 1.1% - (continued)     
 2,122,108   Qualitas Controladora SAB de CV  $9,231,912 
 1,895,199   Wal-Mart de Mexico SAB de CV   5,955,397 
     Total Mexico   27,987,018 
Netherlands - 2.9%     
 554   Adyen NV*(b)   1,536,772 
 87,036   Akzo Nobel NV   9,134,303 
 18,789   ASML Holding NV   14,726,265 
 5,983   Core Laboratories NV   136,951 
 43,435   Euronext NV(b)   4,264,606 
 46,954   Heineken NV   4,675,167 
 735,270   ING Groep NV   10,151,956 
 134,769   Koninklijke Philips NV   4,754,636 
 20,629   NXP Semiconductors NV   4,607,693 
 186,833   Prosus NV*   15,059,654 
 9,355   Shop Apotheke Europe NV*(b)   1,704,373 
 47,198   Wolters Kluwer NV   5,295,745 
     Total Netherlands   76,048,121 
Norway - 0.6%     
 128,987   Medistim ASA   4,821,516 
 726,159   Orkla ASA   6,634,154 
 799,729   Zaptec AS*(a)   5,281,686 
     Total Norway   16,737,356 
Peru - 0.1%     
 19,949   Credicorp Ltd.   2,353,982 
Philippines - 0.3%     
 4,532,382   Ayala Land Inc.   3,085,975 
 1,675,114   BDO Unibank Inc.   4,106,037 
 97,830   SM Investments Corp.@   1,900,722 
     Total Philippines   9,092,734 
Poland - 0.1%     
 320,406   InPost SA*   3,566,156 
Portugal - 0.5%     
 688,416   Galp Energia SGPS SA   6,427,375 
 321,296   Jeronimo Martins SGPS SA   7,005,241 
     Total Portugal   13,432,616 
Russia - 1.7%     
 70,391   Fix Price Group Ltd., GDR   539,899 
 322,796   Fix Price Group Ltd., GDR(b)(c)   2,475,845 
 253,963   HeadHunter Group PLC, ADR   13,955,267 
 37,416   Novatek PJSC, GDR   8,185,836 
 91,401   Ozon Holdings PLC, ADR*(a)   3,682,546 
 12,292   Polyus PJSC   2,397,064 
 14,177   Polyus PJSC, GDR   1,356,762 
 81,930   Sberbank of Russia PJSC, ADR (listed in UK)   1,384,205 
 428,496   Sberbank of Russia PJSC, ADR (listed in US)   7,245,867 
 48,636   Yandex NV, Class A Shares*   3,498,874 
     Total Russia   44,722,165 
Singapore - 0.9%     
 15,467,000   Genting Singapore Ltd.   8,765,257 
 3,220,500   Sheng Siong Group Ltd.   3,442,397 
 621,000   United Overseas Bank Ltd.   11,551,103 
     Total Singapore   23,758,757 
South Africa - 0.6%     
 29,344   Capitec Bank Holdings Ltd.   3,359,078 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations International Equity Fund (continued)

 

Shares/Units   Security  Value 
South Africa - 0.6% - (continued)     
 1,865,372   Investec PLC  $9,296,258 
 19,153   Naspers Ltd., Class N Shares*   2,960,681 
     Total South Africa   15,616,017 
South Korea - 3.1%     
 36,691   Hyundai Heavy Industries Co., Ltd.*(a)   3,284,759 
 101,446   Korea Shipbuilding & Offshore Engineering Co., Ltd.*   7,551,487 
 93,507   LEENO Industrial Inc.   15,715,172 
 3,261   LG Household & Health Care Ltd.   2,916,872 
 30,075   NAVER Corp.   9,737,402 
 530,600   NICE Information Service Co., Ltd.   7,742,859 
 564,826   Samsung Electronics Co., Ltd.   34,229,595 
     Total South Korea   81,178,146 
Spain - 0.3%     
 128,182   Amadeus IT Group SA*   8,205,683 
 20,201   Fluidra SA   771,210 
     Total Spain   8,976,893 
Sweden - 2.0%     
 99,903   Assa Abloy AB, Class B Shares(a)   2,792,130 
 167,993   Epiroc AB, Class A Shares   4,065,329 
 82,663   Essity AB, Class B Shares   2,642,444 
 123,896   Fortnox AB   7,552,104 
 70,669   KNOW IT AB   2,905,468 
 345,298   Lundin Energy AB   12,167,707 
 32,273   Olink Holding AB, ADR*(a)   676,442 
 42,299   Svenska Cellulosa AB SCA, Class B Shares   690,497 
 246,114   Swedbank AB, Class A Shares   4,955,645 
 6,320,670   VEF AB*   3,765,065 
 169,499   Vitec Software Group AB, Class B Shares   10,338,326 
     Total Sweden   52,551,157 
Switzerland - 5.9%     
 68,472   Alcon Inc.   5,393,117 
 1,235   Barry Callebaut AG, Class Registered Shares   2,929,409 
 127   Chocoladefabriken Lindt & Spruengli AG   1,563,194 
 42,661   Cie Financiere Richemont SA, Class Registered Shares   6,340,320 
 6,181   Geberit AG, Class Registered Shares   4,716,939 
 4,303   Givaudan SA, Class Registered Shares   21,070,665 
 1,985,089   Glencore PLC   9,396,575 
 340,235   Julius Baer Group Ltd.   21,100,154 
 14,050   Lonza Group AG, Class Registered Shares   11,334,582 
 328,546   Nestle SA, Class Registered Shares   42,235,691 
 10,129   PolyPeptide Group AG*(b)   1,383,095 
 14,880   Roche Holding AG   5,823,649 
 23,173   Schindler Holding AG   5,975,552 
 2,950   SGS SA, Class Registered Shares   8,915,991 
 15,623   Sika AG, Class Registered Shares   6,129,996 
 192,879   UBS Group AG, Class Registered Shares   3,333,414 
     Total Switzerland   157,642,343 
Taiwan - 3.8%     
 567,745   Chief Telecom Inc.   5,585,735 
 494,000   Delta Electronics Inc.   4,566,831 
 363,137   M3 Technology Inc.   3,875,747 
 292,334   Poya International Co., Ltd.   5,150,406 
 1,023,000   Taiwan Semiconductor Manufacturing Co., Ltd.   21,891,435 
 388,872   Taiwan Semiconductor Manufacturing Co., Ltd., ADR   45,556,355 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations International Equity Fund (continued)

 

Shares/Units   Security  Value 
Taiwan - 3.8% - (continued)     
 244,981   Voltronic Power Technology Corp.  $13,973,756 
     Total Taiwan   100,600,265 
Thailand - 0.4%     
 124,220   CP ALL PCL*(c)(e)    
 1,863,300   CP ALL PCL, Class F Shares(c)   3,232,593 
 2,806,900   TQM Corp. PCL, Class F Shares(c)   8,740,347 
     Total Thailand   11,972,940 
United Arab Emirates - 0.1%     
 1,049,090   Network International Holdings PLC*(b)   3,726,561 
United Kingdom - 10.9%     
 168,517   Amcor PLC   1,926,240 
 346,788   Associated British Foods PLC   8,855,812 
 152,210   AstraZeneca PLC, ADR   8,345,674 
 1,365,959   BAE Systems PLC   9,921,157 
 1,072,878   Baltic Classifieds Group PLC*   2,901,175 
 896,783   boohoo Group PLC*   1,964,332 
 213,931   Bridgepoint Group PLC*(b)   1,384,983 
 87,686   Burberry Group PLC   2,039,373 
 973,591   Bytes Technology Group PLC   7,181,049 
 13,076,210   Centrica PLC*   11,246,515 
 537,905   Compass Group PLC*   10,436,503 
 23,168   Croda International PLC   3,112,099 
 507,620   Deliveroo PLC, Class A Shares*(a)(b)   2,011,705 
 286,292   Diageo PLC   14,435,971 
 764,755   DiscoverIE Group PLC   10,214,091 
 2,758,151   dotdigital group PLC   7,122,206 
 285,079   FDM Group Holdings PLC   4,230,903 
 331,139   Future PLC   15,777,172 
 451,661   GB Group PLC   4,625,427 
 488,942   GlaxoSmithKline PLC   9,913,383 
 163,184   Halma PLC   6,512,012 
 87,292   Hargreaves Lansdown PLC   1,552,409 
 2,668,347   HSBC Holdings PLC   14,800,696 
 331,103   IMI PLC   7,473,218 
 1,338,473   Informa PLC*   8,280,245 
 72,889   Intertek Group PLC   5,168,182 
 4,380,706   Johnson Service Group PLC*   7,504,585 
 822,870   Kin & Carta PLC*   3,258,357 
 22,325   Linde PLC   7,138,907 
 99,737   London Stock Exchange Group PLC   8,610,092 
 429,964   Mortgage Advice Bureau Holdings Ltd.(c)   7,490,775 
 59,274   Ocado Group PLC*   1,414,292 
 309,651   Patisserie Holdings PLC*(c)(e)   4,120 
 186,094   Persimmon PLC   6,757,858 
 262,490   Prudential PLC   4,425,465 
 134,713   Reckitt Benckiser Group PLC   10,927,073 
 346,191   Smith & Nephew PLC   5,570,558 
 86,027   Spectris PLC   4,000,583 
 47,329   Spirax-Sarco Engineering PLC   9,813,909 
 278,574   THG PLC, Class B Shares*   653,944 
 135,149   Unilever PLC   6,965,572 
 324,316   WH Smith PLC*   5,702,989 
 891,030   YouGov PLC(c)   17,867,437 
     Total United Kingdom   289,539,048 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations International Equity Fund (continued)

 

Shares/Units   Security  Value 
United States - 2.4%     
 20,073   ACM Research Inc., Class A Shares*  $1,754,782 
 17,761   Agilent Technologies Inc.   2,680,135 
 46,386   Analog Devices Inc.   8,361,076 
 23,658   ANSYS Inc.*   9,261,634 
 35,654   Bruker Corp.   2,887,617 
 114,448   Cadence Design Systems Inc.*   20,309,942 
 572   Canva Inc.*(c)(e)@   974,781 
 6,655   Colgate-Palmolive Co.   499,258 
 24,739   DD3 Acquisition Corp. II*(c)(e)   210,529 
 123,673   DD3 Acquisition Corp. II Forward Shares*(c)(e)   1,120,477 
 1,830   DD3 Acquisition Corp. II Private Units*(b)(c)(e)   17,257 
 163,862   Ermenegildo Zegna Holditalia SpA*(c)@   1,479,182 
 11,100   Mastercard Inc., Class A Shares   3,495,612 
 10,490   Nordson Corp.   2,666,453 
 10,045   Texas Instruments Inc.   1,932,357 
 45,559   Waste Connections Inc.   6,062,081 
     Total United States   63,713,173 
     TOTAL COMMON STOCKS     
     (Cost - $1,940,336,892)   2,547,230,812 
EXCHANGE TRADED FUND (ETF) - 0.4%     
United States - 0.4%     
 186,978   iShares Core MSCI Emerging Markets     
     (Cost - $8,932,586)   11,241,117 
WARRANT - 0.0%     
Switzerland - 0.0%     
 96,408   Cie Financiere Richemont SA*(c)    
     (Cost - $0)   105,014 
RIGHT - 0.0%     
Germany - 0.0%     
 64,733   Vonovia SE*    
     (Cost - $0)   228,367 
PREFERRED STOCKS - 0.0%     
United States - 0.0%     
 31   Canva Inc. Class A Shares*(c)(e)@   52,829 
 1   Canva Inc. Class A-3 Shares*(c)(e)@   1,704 
     Total United States   54,533 
     TOTAL PREFERRED STOCKS     
     (Cost - $54,552)   54,533 
     TOTAL INVESTMENTS BEFORE SHORT-TERM INVESTMENTS     
     (Cost - $1,949,324,030)   2,558,859,843 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations International Equity Fund (continued)

 

Face
Amount†
  Security  Value 
SHORT-TERM INVESTMENTS - 3.8%     
TIME DEPOSITS - 3.8%     
 48,573,295   Barclays Bank PLC - London, 0.005% due 12/1/21  $48,573,295 
 33,881,737   BNP Paribas SA - Paris, 0.005% due 12/1/21   33,881,737 
     Brown Brothers Harriman - Grand Cayman:     
 1,578 CHF  (1.520)% due 12/1/21   1,718 
 104,404 DKK  (0.490)% due 12/1/21   15,924 
 1,733,926 SEK  (0.350)% due 12/1/21   192,298 
 65,087 AUD  (0.120)% due 12/1/21   46,401 
 4 HKD  0.005% due 12/1/21   - 
 20 NOK  0.005% due 12/1/21   2 
 4 NZD  0.100% due 12/1/21   3 
 339,487 ZAR  3.300% due 12/1/21   21,352 
 62,675 GBP Citibank - London, 0.005% due 12/1/21   83,396 
 1,235,792 HKD Hong Kong & Shanghai Bank - Hong Kong, 0.005% due 12/1/21   158,483 
 772 SGD Hong Kong & Shanghai Bank - Singapore, 0.005% due 12/1/21   566 
     Royal Bank of Canada - Toronto:     
 53,988 CAD  0.005% due 12/1/21   42,256 
 10,347,268    0.005% due 12/1/21   10,347,268 
 5,964,614   Skandinaviska Enskilda Banken AB - Stockholm, 0.005% due 12/1/21   5,964,614 
     Sumitomo Mitsui Banking Corp. - Tokyo:     
 474,903 EUR  (0.790)% due 12/1/21   538,706 
 28,250,025 JPY  (0.270)% due 12/1/21   249,945 
     TOTAL TIME DEPOSITS     
     (Cost - $100,117,964)   100,117,964 
           
Shares/Units         
INVESTMENTS PURCHASED WITH CASH PROCEEDS FROM SECURITIES LENDING - 1.9%     
MONEY MARKET FUND - 1.9%     
 50,005,116   Federated Government Obligations Fund, Premier Class, 0.025%(f)     
     (Cost - $50,005,116)  $50,005,116 
     TOTAL INVESTMENTS - 102.1%     
     (Cost - $2,099,447,110)   2,708,982,923 
     Liabilities in Excess of Other Assets - (2.1)%   (56,632,070)
     TOTAL NET ASSETS - 100.0%  $2,652,350,853 

 

 

Face amount denominated in U.S. dollars, unless otherwise noted.
*Non-income producing security.
(a)All or a portion of this security is on loan.
(b)Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $55,410,723 and represents 2.09% of net assets.
(c)Illiquid security. The aggregate value of illiquid holdings at November 30, 2021, amounts to $129,704,061 and represents 4.89% of net assets.
(d)Security trades on the Hong Kong exchange.
(e)Security is valued in good faith at fair value by or under the direction of the Board of Trustees using significant unobservable inputs.
(f)Represents investment of collateral received from securities lending transactions.
@Restricted security – Investment in security not registered under the Securities Act of 1933. The investment is deemed to not be liquid and maybe sold only to qualified buyers.

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations International Equity Fund (concluded)

  

Security 

First
Acquisition

Date

 

First
Acquisition

Cost

  

Market

Value

   Percent
of Net
Assets
 
Canva Inc.  8/16/21  $397,070   $974,781    0.04%
Canva Inc. Class A Shares  11/4/21   52,848    52,829    0.00%
Canva Inc. Class A-3 Shares  11/4/21   1,705    1,704    0.00%
Ermenegildo Zegna Holditalia SpA  7/19/21   1,638,620    1,479,182    0.06%
Sarana Menara Nusantara Tbk PT  4/3/17   1,400    4,157,785    0.16%
SM Investments Corp.  5/23/18   348,872    1,900,722    0.08%
Total          $8,567,003    0.34%

 

Abbreviations used in this schedule:
ADR American Depositary Receipts
GDR Global Depositary Receipts
PCL Public Company Limited
PLC Public Limited Company

 

Summary of Investments by Security Sector^        
Consumer Non-cyclical    22.7%
Financial    16.9 
Technology    14.9 
Industrial    14.1 
Communications    8.8 
Consumer Cyclical    7.7 
Basic Materials    4.9 
Energy    2.6 
Utilities    1.4 
Consumer Discretionary   0.1 
Exchange Traded Funds (ETFs)   0.4 
Short-Term Investments   3.7 
Money Market Fund   1.8 
    100.0%

 

 

^ As a percentage of total investments. 

 

Currency Abbreviations used in this schedule:
AUD Australian Dollar
CAD Canadian Dollar
CHF Swiss Franc
DKK Danish Krone
EUR Euro
GBP British Pound
HKD Hong Kong Dollar
JPY Japanese Yen
NOK Norwegian Krone
NZD New Zealand Dollar
SEK Swedish Krona
SGD Singapore Dollar
ZAR South African Rand

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund

 

Face
Amount/Units
   Security  Value 
CORPORATE BONDS & NOTES - 26.5% 
Basic Materials - 0.4%     
$255,000   Air Products & Chemicals Inc., Senior Unsecured Notes, 1.850% due 5/15/27   $258,983 
 200,000   Antofagasta PLC, Senior Unsecured Notes, 2.375% due 10/14/30    189,752 
 210,000   Arconic Corp., Secured Notes, 6.125% due 2/15/28(a)    218,362 
 90,000   CVR Partners LP/CVR Nitrogen Finance Corp., Senior Secured Notes, 6.125% due 6/15/28(a)    93,393 
 75,000   Diamond BC BV, Company Guaranteed Notes, 4.625% due 10/1/29(a)    73,313 
     DuPont de Nemours Inc., Senior Unsecured Notes:     
 1,270,000   4.205% due 11/15/23    1,342,398 
 1,280,000   4.725% due 11/15/28    1,491,435 
 175,000   5.419% due 11/15/48    246,264 
 145,000   EverArc Escrow SARL, Senior Secured Notes, 5.000% due 10/30/29(a)    141,375 
 410,000   Georgia-Pacific LLC, Senior Unsecured Notes, 3.600% due 3/1/25(a)    436,477 
 100,000   Glatfelter Corp., Company Guaranteed Notes, 4.750% due 11/15/29(a)    101,250 
     Glencore Funding LLC, Company Guaranteed Notes:     
 290,000   1.625% due 4/27/26(a)    284,845 
 190,000   3.375% due 9/23/51(a)    183,735 
 95,000   Hexion Inc., Company Guaranteed Notes, 7.875% due 7/15/27(a)    100,711 
 130,000   Illuminate Buyer LLC/Illuminate Holdings IV Inc., Senior Unsecured Notes, 9.000% due 7/1/28(a)    138,450 
 215,000   Kraton Polymers LLC/Kraton Polymers Capital Corp., Company Guaranteed Notes, 4.250% due 12/15/25(a)    221,988 
 200,000   LG Chem Ltd., Senior Unsecured Notes, 2.375% due 7/7/31(a)    197,218 
 400,000   MEGlobal Canada ULC, Company Guaranteed Notes, 5.000% due 5/18/25(a)    436,285 
     POSCO, Senior Unsecured Notes:     
 600,000   2.375% due 1/17/23    609,018 
 300,000   2.750% due 7/15/24    311,139 
 30,000   SCIH Salt Holdings Inc., Senior Unsecured Notes, 6.625% due 5/1/29(a)    27,671 
 100,000   Sherwin-Williams Co., Senior Unsecured Notes, 2.900% due 3/15/52    97,923 
 45,000   TMS International Corp., Senior Unsecured Notes, 6.250% due 4/15/29(a)    45,225 
 20,000   Tronox Inc., Company Guaranteed Notes, 4.625% due 3/15/29(a)    19,400 
 10,000   Unifrax Escrow Issuer Corp., Senior Unsecured Notes, 7.500% due 9/30/29(a)    9,700 
 485,000   Vale Overseas Ltd., Company Guaranteed Notes, 3.750% due 7/8/30    487,425 
 400,000   Vedanta Resources Finance II PLC, Company Guaranteed Notes, 9.250% due 4/23/26(a)    370,000 
 400,000   Vedanta Resources Ltd., Senior Unsecured Notes, 6.125% due 8/9/24    344,000 
 145,000   WR Grace Holdings LLC, Senior Unsecured Notes, 5.625% due 8/15/29(a)    145,802 
     Total Basic Materials    8,623,537 
Communications - 2.6%     
 200,000   Acuris Finance U.S. Inc./Acuris Finance SARL, Senior Secured Notes, 5.000% due 5/1/28(a)    198,500 
 200,000   Altice France SA, Senior Secured Notes, 5.500% due 10/15/29(a)    193,000 
 50,000   Arches Buyer Inc., Senior Secured Notes, 4.250% due 6/1/28(a)    49,500 
     AT&T Inc., Senior Unsecured Notes:     
 725,000   1.700% due 3/25/26    723,959 
 6,261,000   4.350% due 3/1/29    7,054,300 
 115,000   2.750% due 6/1/31    116,844 
 520,000   2.250% due 2/1/32    501,790 
 1,070,000   2.550% due 12/1/33    1,034,288 
 585,000   3.650% due 6/1/51    607,391 
 225,000   3.300% due 2/1/52    219,636 
 1,450,000   3.500% due 2/1/61    1,428,986 
 135,000   Avaya Inc., Senior Secured Notes, 6.125% due 9/15/28(a)    139,716 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Communications - 2.6% - (continued)     
     CCO Holdings LLC/CCO Holdings Capital Corp., Senior Unsecured Notes:     
$265,000   4.750% due 3/1/30(a)   $271,527 
 125,000   4.500% due 8/15/30(a)    125,993 
 85,000   4.250% due 1/15/34(a)    81,770 
 125,000   Cengage Learning Inc., Senior Unsecured Notes, 9.500% due 6/15/24(a)    126,250 
     Charter Communications Operating LLC/Charter Communications Operating Capital, Senior Secured Notes:     
 410,000   4.908% due 7/23/25    452,333 
 360,000   4.200% due 3/15/28    394,946 
 645,000   2.300% due 2/1/32    608,897 
 3,965,000   6.384% due 10/23/35    5,138,969 
 2,245,000   4.800% due 3/1/50    2,528,757 
 165,000   3.900% due 6/1/52    166,714 
 100,000   4.400% due 12/1/61    104,222 
     Clear Channel Outdoor Holdings Inc., Company Guaranteed Notes:     
 15,000   7.750% due 4/15/28(a)    15,634 
 50,000   7.500% due 6/1/29(a)    51,375 
     Comcast Corp., Company Guaranteed Notes:     
 2,270,000   3.750% due 4/1/40    2,557,509 
 509,000   2.937% due 11/1/56(a)    494,674 
 105,000   CommScope Inc., Senior Secured Notes, 4.750% due 9/1/29(a)    101,587 
 85,000   CommScope Technologies LLC, Company Guaranteed Notes, 5.000% due 3/15/27(a)    76,322 
 85,000   Consolidated Communications Inc., Senior Secured Notes, 5.000% due 10/1/28(a)    83,669 
 430,000   Cox Communications Inc., Senior Unsecured Notes, 2.600% due 6/15/31(a)    430,329 
 2,766,000   Crown Castle Towers LLC, Asset Backed, 4.241% due 7/15/28(a)    3,049,909 
     CSC Holdings LLC, Senior Unsecured Notes:     
 295,000   5.750% due 1/15/30(a)    288,917 
 200,000   4.625% due 12/1/30(a)    186,000 
     Digicel Group Holdings Ltd.:     
 55,246   Senior Unsecured Notes, 8.000% due 4/1/25(a)(b)    52,374 
 83,597   Subordinated Notes, 7.000% (a)(b)(c)    72,938 
 70,000   DIRECTV Holdings LLC/DIRECTV Financing Co., Inc., Senior Secured Notes, 5.875% due 8/15/27(a)    71,228 
     Discovery Communications LLC, Company Guaranteed Notes:     
 60,000   5.300% due 5/15/49    76,362 
 880,000   4.650% due 5/15/50    1,043,337 
     DISH DBS Corp.:     
 80,000   Company Guaranteed Notes, 5.125% due 6/1/29    70,252 
 95,000   Senior Secured Notes, 5.750% due 12/1/28(a)    93,606 
 80,000   Embarq Corp., Senior Unsecured Notes, 7.995% due 6/1/36    87,695 
 105,000   Endure Digital Inc., Senior Unsecured Notes, 6.000% due 2/15/29(a)    96,075 
     Expedia Group Inc., Company Guaranteed Notes:     
 320,000   5.000% due 2/15/26    358,086 
 550,000   3.800% due 2/15/28    586,632 
     Frontier Communications Holdings LLC:     
     Secured Notes:     
 9,900   5.875%  due 11/1/29    9,733 
 105,000   6.000%  due 1/15/30(a)    103,287 
     Senior Secured Notes:     
 45,000   5.875%  due 10/15/27(a)    46,470 
 90,000   5.000%  due 5/1/28(a)    90,253 
 135,000   GCI LLC, Senior Unsecured Notes, 4.750% due 10/15/28(a)    138,186 
 25,000   iHeartCommunications Inc., Company Guaranteed Notes, 8.375% due 5/1/27    26,304 
 110,000   Intelsat Jackson Holdings SA, Company Guaranteed Notes, 5.500% due 8/1/23(d)(e)    53,350 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Communications - 2.6% - (continued)     
     KT Corp., Senior Unsecured Notes:     
$400,000   1.000% due 9/1/25   $393,960 
 400,000   2.500% due 7/18/26    415,339 
 40,000   Level 3 Financing Inc., Company Guaranteed Notes, 3.750% due 7/15/29(a)    37,150 
 75,425   Ligado Networks LLC, Senior Secured Notes, 15.500% due 11/1/23(a)(b)    64,349 
 65,000   LogMeIn Inc., Senior Secured Notes, 5.500% due 9/1/27(a)    64,675 
     Lumen Technologies Inc.:     
 125,000   Senior Secured Notes, 4.000%  due 2/15/27(a)    124,564 
 135,000   Senior Unsecured Notes, 5.125%  due 12/15/26(a)    135,236 
 65,000   Match Group Holdings II LLC, Senior Unsecured Notes, 4.625% due 6/1/28(a)    65,976 
 75,000   McGraw-Hill Education Inc., Senior Secured Notes, 5.750% due 8/1/28(a)    72,375 
 1,010,000   NTT Finance Corp., Company Guaranteed Notes, 1.162% due 4/3/26(a)    992,034 
 480,000   Omnicom Group Inc., Senior Unsecured Notes, 2.450% due 4/30/30    476,586 
     Radiate Holdco LLC/Radiate Finance Inc.:     
 110,000   Senior Secured Notes, 4.500%  due 9/15/26(a)    109,316 
 40,000   Senior Unsecured Notes, 6.500%  due 9/15/28(a)    38,788 
 50,000   Scripps Escrow II Inc., Senior Secured Notes, 3.875% due 1/15/29(a)    49,688 
 165,000   Scripps Escrow Inc., Company Guaranteed Notes, 5.875% due 7/15/27(a)    169,282 
     SingTel Group Treasury Pte Ltd., Company Guaranteed Notes:     
 200,000   2.375% due 8/28/29    206,166 
 400,000   1.875% due 6/10/30    396,697 
 2,726,000   Sprint Spectrum Co. LLC/Sprint Spectrum Co. II LLC/Sprint Spectrum Co. III LLC, Senior Secured Notes, 5.152% due 3/20/28(a)    3,055,145 
 300,000   Telefonica Moviles Chile SA, Senior Unsecured Notes, 3.537% due 11/18/31(a)    295,746 
 55,000   Telesat Canada/Telesat LLC, Company Guaranteed Notes, 6.500% due 10/15/27(a)    42,884 
 705,000   Tencent Holdings Ltd., Senior Unsecured Notes, 3.975% due 4/11/29(a)    769,306 
 55,000   Terrier Media Buyer Inc., Company Guaranteed Notes, 8.875% due 12/15/27(a)    58,284 
     T-Mobile USA Inc.:     
     Company Guaranteed Notes:     
 680,000   2.250%  due 2/15/26    671,820 
 45,000   3.375%  due 4/15/29    45,281 
 35,000   3.375%  due 4/15/29(a)    35,219 
 40,000   2.875%  due 2/15/31    38,700 
     Senior Secured Notes:     
 650,000   3.500%  due 4/15/25    687,595 
 635,000   3.875%  due 4/15/30    690,146 
 1,545,000   3.000%  due 2/15/41    1,474,533 
 35,000   Townsquare Media Inc., Senior Secured Notes, 6.875% due 2/1/26(a)    36,703 
     Uber Technologies Inc., Company Guaranteed Notes:     
 70,000   7.500% due 9/15/27(a)    75,950 
 85,000   4.500% due 8/15/29(a)    84,150 
 75,000   Univision Communications Inc., Senior Secured Notes, 4.500% due 5/1/29(a)    74,948 
     Verizon Communications Inc., Senior Unsecured Notes:     
 9,346,000   1.750% due 1/20/31    8,849,652 
 1,835,000   4.500% due 8/10/33    2,164,859 
 1,225,000   3.400% due 3/22/41    1,302,101 
 310,000   2.850% due 9/3/41    308,106 
 343,000   ViacomCBS Inc., Senior Unsecured Notes, 4.950% due 1/15/31    406,964 
 165,000   Viasat Inc., Senior Unsecured Notes, 6.500% due 7/15/28(a)    168,048 
 65,000   Zayo Group Holdings Inc., Senior Unsecured Notes, 6.125% due 3/1/28(a)    61,181 
     Total Communications    57,889,883 
Consumer Cyclical - 1.9%     
 140,000   Academy Ltd., Senior Secured Notes, 6.000% due 11/15/27(a)    148,050 
 5,000,000   Advance Auto Parts Inc., Company Guaranteed Notes, 3.900% due 4/15/30    5,486,151 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Consumer Cyclical - 1.9% - (continued)     
$70,000   Air Canada, Senior Secured Notes, 3.875% due 8/15/26(a)   $69,424 
     Ambience Merger Sub Inc.:     
 50,000   Company Guaranteed Notes, 7.125%  due 7/15/29(a)    48,375 
 25,000   Senior Secured Notes, 4.875%  due 7/15/28(a)    24,750 
 135,000   American Airlines Inc./AAdvantage Loyalty IP Ltd., Senior Secured Notes, 5.750% due 4/20/29(a)    140,789 
 140,000   American Axle & Manufacturing Inc., Company Guaranteed Notes, 5.000% due 10/1/29    132,825 
 95,000   Ashton Woods USA LLC/Ashton Woods Finance Co., Senior Unsecured Notes, 4.625% due 4/1/30(a)    93,005 
     AutoZone Inc., Senior Unsecured Notes:     
 365,000   3.625% due 4/15/25    389,319 
 1,702,000   1.650% due 1/15/31    1,597,324 
 35,000   Beacon Roofing Supply Inc., Company Guaranteed Notes, 4.125% due 5/15/29(a)    34,387 
 125,000   Boyd Gaming Corp., Company Guaranteed Notes, 4.750% due 6/15/31(a)    124,312 
 150,000   Boyne USA Inc., Senior Unsecured Notes, 4.750% due 5/15/29(a)    151,125 
 110,000   Caesars Entertainment Inc., Senior Unsecured Notes, 4.625% due 10/15/29(a)    107,250 
 130,000   Carnival Corp., Senior Unsecured Notes, 5.750% due 3/1/27(a)    127,055 
 65,000   Carvana Co., Company Guaranteed Notes, 5.625% due 10/1/25(a)    65,042 
 280,000   Cedar Fair LP, Company Guaranteed Notes, 5.250% due 7/15/29    287,428 
 115,000   Century Communities Inc., Company Guaranteed Notes, 6.750% due 6/1/27    120,639 
     Dana Inc., Senior Unsecured Notes:     
 45,000   5.375% due 11/15/27    46,969 
 20,000   4.250% due 9/1/30    19,875 
 110,000   Dealer Tire LLC/DT Issuer LLC, Senior Unsecured Notes, 8.000% due 2/1/28(a)    111,650 
 425,000   Dollar General Corp., Senior Unsecured Notes, 3.500% due 4/3/30    462,439 
 420,000   Dollar Tree Inc., Senior Unsecured Notes, 4.000% due 5/15/25    452,555 
 100,000   Everi Holdings Inc., Company Guaranteed Notes, 5.000% due 7/15/29(a)    99,898 
 70,000   Ferrellgas LP/Ferrellgas Finance Corp., Senior Unsecured Notes, 5.375% due 4/1/26(a)    66,238 
 300,000   Ford Motor Co., Senior Unsecured Notes, 3.250% due 2/12/32    300,000 
 985,000   Ford Motor Credit Co. LLC, Senior Unsecured Notes, 1.391% (3-Month USD-LIBOR + 1.235%) due 2/15/23(f)    982,539 
 35,000   Full House Resorts Inc., Senior Secured Notes, 8.250% due 2/15/28(a)    36,400 
 90,000   Gap Inc., Company Guaranteed Notes, 3.875% due 10/1/31(a)    86,132 
 800,000   General Motors Co., Senior Unsecured Notes, 6.125% due 10/1/25    922,862 
 250,000   General Motors Financial Co., Inc., Senior Unsecured Notes, 2.400% due 10/15/28    247,617 
 105,000   Golden Entertainment Inc., Senior Unsecured Notes, 7.625% due 4/15/26(a)    109,200 
 280,000   Golden Nugget Inc., Senior Unsecured Notes, 6.750% due 10/15/24(a)    281,400 
 85,000   Goodyear Tire & Rubber Co., Company Guaranteed Notes, 5.250% due 7/15/31(a)    88,660 
 150,000   Group 1 Automotive Inc., Company Guaranteed Notes, 4.000% due 8/15/28(a)    148,389 
     Hilton Domestic Operating Co., Inc., Company Guaranteed Notes:     
 10,000   5.375% due 5/1/25(a)    10,343 
 10,000   5.750% due 5/1/28(a)    10,577 
     Home Depot Inc., Senior Unsecured Notes:     
 1,055,000   3.300% due 4/15/40    1,141,666 
 315,000   3.900% due 6/15/47    376,539 
 430,000   Hyundai Capital America, Senior Unsecured Notes, 3.000% due 2/10/27(a)    447,806 
 155,000   Installed Building Products Inc., Company Guaranteed Notes, 5.750% due 2/1/28(a)    162,169 
 100,000   IRB Holding Corp., Senior Secured Notes, 7.000% due 6/15/25(a)    105,591 
 100,000   KAR Auction Services Inc., Company Guaranteed Notes, 5.125% due 6/1/25(a)    99,250 
 340,000   Las Vegas Sands Corp., Senior Unsecured Notes, 3.500% due 8/18/26    346,680 
 70,000   LBM Acquisition LLC, Company Guaranteed Notes, 6.250% due 1/15/29(a)    67,004 
 95,000   Lions Gate Capital Holdings LLC, Company Guaranteed Notes, 5.500% due 4/15/29(a)    96,188 
 310,000   Live Nation Entertainment Inc., Company Guaranteed Notes, 5.625% due 3/15/26(a)    318,525 
 130,000   LSF9 Atlantis Holdings LLC/Victra Finance Corp., Senior Secured Notes, 7.750% due 2/15/26(a)    130,519 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Consumer Cyclical - 1.9% - (continued)     
$130,000   M/I Homes Inc., Company Guaranteed Notes, 4.950% due 2/1/28   $133,900 
 455,000   Marriott International Inc., Senior Unsecured Notes, 2.850% due 4/15/31    456,984 
 140,000   Mattamy Group Corp., Senior Unsecured Notes, 4.625% due 3/1/30(a)    138,783 
 580,000   McDonald's Corp., Senior Unsecured Notes, 4.200% due 4/1/50    706,533 
 40,000   Michaels Cos. Inc., Senior Unsecured Notes, 7.875% due 5/1/29(a)    39,700 
 70,000   Midwest Gaming Borrower LLC/Midwest Gaming Finance Corp., Senior Secured Notes, 4.875% due 5/1/29(a)    69,367 
 120,000   Murphy Oil USA Inc., Company Guaranteed Notes, 4.750% due 9/15/29    124,404 
 85,000   NCL Corp., Ltd, Company Guaranteed Notes, 5.875% due 3/15/26(a)    82,843 
 220,000   NCL Corp., Ltd., Senior Unsecured Notes, 3.625% due 12/15/24(a)    201,934 
 65,000   Penn National Gaming Inc., Senior Unsecured Notes, 4.125% due 7/1/29(a)    61,341 
 250,000   PetSmart Inc./PetSmart Finance Corp., Senior Secured Notes, 4.750% due 2/15/28(a)    253,026 
     Premier Entertainment Sub LLC/Premier Entertainment Finance Corp., Company Guaranteed Notes:     
 110,000   5.625% due 9/1/29(a)    110,000 
 105,000   5.875% due 9/1/31(a)    105,394 
 35,000   Real Hero Merger Sub 2 Inc., Senior Unsecured Notes, 6.250% due 2/1/29(a)    35,107 
 80,000   Scientific Games International Inc., Company Guaranteed Notes, 8.250% due 3/15/26(a)    84,210 
 155,000   Scotts Miracle-Gro Co., Company Guaranteed Notes, 4.500% due 10/15/29    160,038 
 280,000   Six Flags Entertainment Corp., Company Guaranteed Notes, 4.875% due 7/31/24(a)    282,083 
 120,000   Sonic Automotive Inc., Company Guaranteed Notes, 4.625% due 11/15/29(a)    118,200 
 6,250,000   Southwest Airlines Co., Senior Unsecured Notes, 5.125% due 6/15/27    7,118,407 
     SRS Distribution Inc.:     
 110,000   Company Guaranteed Notes, 6.125%  due 7/1/29(a)    110,275 
 70,000   Senior Secured Notes, 4.625%  due 7/1/28(a)    70,166 
     Staples Inc.:     
 55,000   Senior Secured Notes, 7.500%  due 4/15/26(a)    54,610 
 35,000   Senior Unsecured Notes, 10.750%  due 4/15/27(a)    31,850 
 305,000   Starbucks Corp., Senior Unsecured Notes, 3.800% due 8/15/25    329,570 
 70,000   Station Casinos LLC, Senior Unsecured Notes, 4.625% due 12/1/31(a)    69,388 
 4,750,000   Steelcase Inc., Senior Unsecured Notes, 5.125% due 1/18/29    5,405,717 
 70,000   Suburban Propane Partners LP/Suburban Energy Finance Corp., Senior Unsecured Notes, 5.000% due 6/1/31(a)    69,125 
 130,000   Superior Plus LP/Superior General Partner Inc., Company Guaranteed Notes, 4.500% due 3/15/29(a)    132,483 
 130,000   SWF Escrow Issuer Corp., Senior Unsecured Notes, 6.500% due 10/1/29(a)    124,800 
 50,000   Tempur Sealy International Inc., Company Guaranteed Notes, 4.000% due 4/15/29(a)    49,635 
 85,000   Tenneco Inc., Senior Secured Notes, 5.125% due 4/15/29(a)    81,851 
 7,239   Travel Group Inc., 11/19/2026, 8.500% (a)(d)    7,203 
 639,804   United Airlines 2012-1 Class A Pass-Through Trust, Pass-Thru Certificates, 4.150% due 4/11/24    668,361 
 1,972,222   United Airlines 2016-2 Class B Pass-Through Trust, Pass-Thru Certificates, 3.650% due 10/7/25    1,971,966 
     United Airlines Inc., Senior Secured Notes:     
 30,000   4.375% due 4/15/26(a)    30,119 
 105,000   4.625% due 4/15/29(a)    104,441 
 140,000   Victoria's Secret & Co., Company Guaranteed Notes, 4.625% due 7/15/29(a)    138,216 
     Viking Cruises Ltd.:     
 360,000   Company Guaranteed Notes, 5.875% due 9/15/27(a)    334,001 
 50,000   Senior Secured Notes, 13.000% due 5/15/25(a)    56,375 
 5,000,000   Volkswagen Group of America Finance LLC, Company Guaranteed Notes, 1.250% due 11/24/25(a)    4,919,306 
 50,000   Wheel Pros Inc., Senior Unsecured Notes, 6.500% due 5/15/29(a)    48,712 
 114,000   Wolverine Escrow LLC, Senior Secured Notes, 9.000% due 11/15/26(a)    107,445 
 140,000   Wyndham Hotels & Resorts Inc., Company Guaranteed Notes, 4.375% due 8/15/28(a)    141,450 

 

 

 

 
Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Consumer Cyclical - 1.9% - (continued)     
$130,000   Yum! Brands Inc., Senior Unsecured Notes, 4.750% due 1/15/30(a)   $137,068 
     Total Consumer Cyclical    42,399,317 
Consumer Non-cyclical - 3.2%     
     AbbVie Inc., Senior Unsecured Notes:     
 695,000   3.450% due 3/15/22    697,416 
 450,000   3.850% due 6/15/24    477,197 
 380,000   2.950% due 11/21/26    399,922 
 105,000   3.200% due 11/21/29    111,401 
 5,120,000   4.550% due 3/15/35    6,112,500 
 1,330,000   4.250% due 11/21/49    1,599,669 
 294,000   Adani International Container Terminal Pvt Ltd., Senior Secured Notes, 3.000% due 2/16/31(a)    285,786 
 200,000   Adani Ports & Special Economic Zone Ltd., Senior Unsecured Notes, 4.375% due 7/3/29    209,270 
 135,000   AdaptHealth LLC, Company Guaranteed Notes, 5.125% due 3/1/30(a)    133,568 
 40,000   Air Methods Corp., Senior Unsecured Notes, 8.000% due 5/15/25(a)    31,052 
 1,465,000   Alcon Finance Corp., Company Guaranteed Notes, 2.750% due 9/23/26(a)    1,514,834 
     Allied Universal Holdco LLC/Allied Universal Finance Corp.:     
 130,000   Senior Secured Notes, 6.625% due 7/15/26(a)    133,601 
 170,000   Senior Unsecured Notes, 9.750% due 7/15/27(a)    178,075 
 195,000   Altria Group Inc., Company Guaranteed Notes, 3.875% due 9/16/46    190,668 
     Amgen Inc., Senior Unsecured Notes:     
 450,000   2.450% due 2/21/30    454,499 
 1,130,000   2.000% due 1/15/32    1,084,787 
 3,500,000   Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide Inc., Company Guaranteed Notes, 4.900% due 2/1/46    4,443,128 
     Anheuser-Busch InBev Worldwide Inc., Company Guaranteed Notes:     
 225,000   4.439% due 10/6/48    270,531 
 345,000   5.550% due 1/23/49    475,864 
 1,010,000   4.750% due 4/15/58    1,281,014 
     Anthem Inc., Senior Unsecured Notes:     
 485,000   3.300% due 1/15/23    498,732 
 780,000   3.500% due 8/15/24    823,117 
 175,000   5.100% due 1/15/44    231,441 
 115,000   APi Escrow Corp., Company Guaranteed Notes, 4.750% due 10/15/29(a)    116,437 
 90,000   APi Group DE Inc., Company Guaranteed Notes, 4.125% due 7/15/29(a)    88,186 
 355,000   Archer-Daniels-Midland Co., Senior Unsecured Notes, 3.250% due 3/27/30    389,103 
     Astrazeneca Finance LLC, Company Guaranteed Notes:     
 1,010,000   1.200% due 5/28/26    996,966 
 690,000   1.750% due 5/28/28    684,521 
 85,000   B&G Foods Inc., Company Guaranteed Notes, 5.250% due 9/15/27    86,237 
     BAT Capital Corp., Company Guaranteed Notes:     
 475,000   2.259% due 3/25/28    464,032 
 650,000   3.462% due 9/6/29    674,306 
 475,000   2.726% due 3/25/31    459,423 
 705,000   BAT International Finance PLC, Company Guaranteed Notes, 1.668% due 3/25/26    694,485 
     Bausch Health Cos. Inc., Company Guaranteed Notes:     
 60,000   6.250% due 2/15/29(a)    54,385 
 135,000   5.250% due 1/30/30(a)    115,762 
 90,000   Bausch Health Cos., Inc., Senior Secured Notes, 4.875% due 6/1/28(a)    88,650 
 900,000   Baxter International Inc., Senior Unsecured Notes, 2.272% due 12/1/28(a)    904,930 
 210,000   Bayer US Finance II LLC, Company Guaranteed Notes, 4.250% due 12/15/25(a)    228,598 
 1,615,000   Boston Scientific Corp., Senior Unsecured Notes, 3.750% due 3/1/26    1,740,057 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Consumer Non-cyclical - 3.2% - (continued)     
     Bristol-Myers Squibb Co., Senior Unsecured Notes:     
$71,000   2.900% due 7/26/24   $74,269 
 780,000   0.750% due 11/13/25    761,304 
 460,000   2.550% due 11/13/50    437,943 
 460,000   Bunge Ltd. Finance Corp., Company Guaranteed Notes, 2.750% due 5/14/31    464,453 
 575,000   Cargill Inc., Senior Unsecured Notes, 2.125% due 11/10/31(a)    569,577 
 80,000   Catalent Pharma Solutions Inc., Company Guaranteed Notes, 3.500% due 4/1/30(a)    77,630 
     Centene Corp., Senior Unsecured Notes:     
 80,000   3.000% due 10/15/30    79,872 
 545,000   2.500% due 3/1/31    522,205 
 70,000   2.625% due 8/1/31    67,499 
     CHS/Community Health Systems Inc.:     
     Senior Secured Notes:     
 95,000   6.000%  due 1/15/29(a)    98,800 
 85,000   4.750%  due 2/15/31(a)    83,725 
 125,000   Secured Notes, 6.875%  due 4/15/29(a)    122,859 
     Cigna Corp.:     
     Company Guaranteed Notes:     
 280,000   3.050%  due 10/15/27    297,286 
 380,000   4.900%  due 12/15/48    492,355 
 1,235,000   Senior Unsecured Notes, 1.250%  due 3/15/26    1,213,582 
 1,555,000   Coca-Cola Co., Senior Unsecured Notes, 2.250% due 1/5/32    1,571,712 
 325,000   CommonSpirit Health, Senior Secured Notes, 2.760% due 10/1/24    336,447 
     Constellation Brands Inc.:     
     Company Guaranteed Notes:     
 165,000   3.600%  due 2/15/28    179,698 
 280,000   3.150%  due 8/1/29    295,241 
 160,000   Senior Unsecured Notes, 2.875%  due 5/1/30    164,096 
     Coty Inc.:     
 55,000   Company Guaranteed Notes, 6.500%  due 4/15/26(a)    56,237 
 95,000   Senior Secured Notes, 5.000%  due 4/15/26(a)    96,793 
     CVS Health Corp., Senior Unsecured Notes:     
 947,000   4.780% due 3/25/38    1,153,879 
 885,000   5.050% due 3/25/48    1,169,381 
     CVS Pass-Through Trust:     
 1,214,548   Pass-Thru Certificates, 6.943%  due 1/10/30    1,443,726 
 1,391,812   Senior Secured Notes, 6.036%  due 12/10/28    1,605,755 
 85,000   DaVita Inc., Company Guaranteed Notes, 4.625% due 6/1/30(a)    83,937 
 1,040,000   Diageo Capital PLC, Company Guaranteed Notes, 2.000% due 4/29/30    1,030,954 
 90,000   Emergent BioSolutions Inc., Company Guaranteed Notes, 3.875% due 8/15/28(a)    85,473 
     Encompass Health Corp., Company Guaranteed Notes:     
 65,000   4.500% due 2/1/28    65,650 
 20,000   4.750% due 2/1/30    20,125 
 165,000   4.625% due 4/1/31    163,864 
 110,000   Endo Luxembourg Finance Co. I SARL/Endo US Inc., Senior Secured Notes, 6.125% due 4/1/29(a)    107,750 
 235,000   Estee Lauder Cos. Inc., Senior Unsecured Notes, 2.600% due 4/15/30    244,232 
     Garda World Security Corp.:     
 220,000   Senior Secured Notes, 4.625%  due 2/15/27(a)    215,050 
 100,000   Senior Unsecured Notes, 6.000%  due 6/1/29(a)    94,750 
     Gilead Sciences Inc., Senior Unsecured Notes:     
 170,000   2.500% due 9/1/23    174,483 
 1,285,000   1.650% due 10/1/30    1,223,772 
 925,000   GlaxoSmithKline Capital Inc., Company Guaranteed Notes, 3.625% due 5/15/25    997,127 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Consumer Non-cyclical - 3.2% - (continued)     
     Global Payments Inc., Senior Unsecured Notes:     
$205,000   2.150% due 1/15/27   $204,961 
 110,000   3.200% due 8/15/29    113,901 
 795,000   2.900% due 5/15/30    805,008 
 240,000   Grifols Escrow Issuer SA, Senior Unsecured Notes, 4.750% due 10/15/28(a)    237,600 
     HCA Inc., Senior Secured Notes:     
 200,000   4.125% due 6/15/29    219,821 
 350,000   2.375% due 7/15/31    341,583 
 85,000   Hertz Corp., Company Guaranteed Notes, 5.000% due 12/1/29(a)    83,300 
 160,000   H-Food Holdings LLC/Hearthside Finance Co., Inc., Senior Unsecured Notes, 8.500% due 6/1/26(a)    165,283 
     Hormel Foods Corp., Senior Unsecured Notes:     
 165,000   0.650% due 6/3/24    163,650 
 75,000   1.700% due 6/3/28    74,452 
 350,000   Humana Inc., Senior Unsecured Notes, 2.150% due 2/3/32    337,542 
 735,000   JBS Finance Luxembourg SARL, Company Guaranteed Notes, 2.500% due 1/15/27(a)    728,826 
 435,000   Johnson & Johnson, Senior Unsecured Notes, 3.550% due 3/1/36    497,667 
     Kaiser Foundation Hospitals, Unsecured Notes:     
 255,000   2.810% due 6/1/41    260,288 
 420,000   3.002% due 6/1/51    442,683 
     Kraft Heinz Foods Co., Company Guaranteed Notes:     
 150,000   5.000% due 7/15/35    185,878 
 4,167,000   4.625% due 10/1/39    4,866,008 
 420,000   5.200% due 7/15/45    534,553 
     Kronos Acquisition Holdings Inc./KIK Custom Products Inc.:     
 115,000   Company Guaranteed Notes, 7.000%  due 12/31/27(a)    110,400 
 215,000   Senior Secured Notes, 5.000%  due 12/31/26(a)    213,255 
 145,000   Legacy LifePoint Health LLC, Senior Secured Notes, 4.375% due 2/15/27(a)    142,750 
 75,000   Legends Hospitality Holding Co. LLC/Legends Hospitality Co.-Issuer Inc., Senior Secured Notes, 5.000% due 2/1/26(a)    75,728 
 105,000   LifePoint Health Inc., Company Guaranteed Notes, 5.375% due 1/15/29(a)    101,126 
 155,000   Metis Merger Sub LLC, Senior Unsecured Notes, 6.500% due 5/15/29(a)    151,513 
 725,000   Mondelez International Inc., Senior Unsecured Notes, 1.500% due 2/4/31    679,814 
 110,000   Mozart Debt Merger Sub Inc., Senior Unsecured Notes, 5.250% due 10/1/29(a)    109,863 
 60,000   MPH Acquisition Holdings LLC, Company Guaranteed Notes, 5.750% due 11/1/28(a)    53,589 
 25,000   NESCO Holdings II Inc., Secured Notes, 5.500% due 4/15/29(a)    25,368 
 540,000   Novartis Capital Corp., Company Guaranteed Notes, 2.000% due 2/14/27    548,260 
 110,000   Option Care Health Inc., Company Guaranteed Notes, 4.375% due 10/31/29(a)    109,472 
     Ortho-Clinical Diagnostics Inc./Ortho-Clinical Diagnostics SA, Senior Unsecured Notes:     
 17,000   7.375% due 6/1/25(a)    17,825 
 129,000   7.250% due 2/1/28(a)    135,450 
 70,000   PECF USS Intermediate Holding III Corp., Senior Unsecured Notes, 8.000% due 11/15/29(a)    71,252 
     Performance Food Group Inc., Company Guaranteed Notes:     
 100,000   5.500% due 10/15/27(a)    103,000 
 80,000   4.250% due 8/1/29(a)    77,032 
     Pfizer Inc., Senior Unsecured Notes:     
 720,000   1.700% due 5/28/30    704,872 
 1,050,000   1.750% due 8/18/31    1,022,324 
 45,000   Post Holdings Inc., Company Guaranteed Notes, 5.500% due 12/15/29(a)    46,551 
 125,000   Prime Security Services Borrower LLC/Prime Finance Inc., Secured Notes, 6.250% due 1/15/28(a)    127,010 
 70,000   Primo Water Holdings Inc., Company Guaranteed Notes, 4.375% due 4/30/29(a)    69,280 
 700,000   PSA Treasury Pte Ltd., Company Guaranteed Notes, 2.125% due 9/5/29    709,948 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

  

Face
Amount/Units
   Security  Value 
Consumer Non-cyclical - 3.2% - (continued)     
$465,000   Quanta Services Inc., Senior Unsecured Notes, 2.350% due 1/15/32   $457,306 
 320,000   Quest Diagnostics Inc., Senior Unsecured Notes, 2.800% due 6/30/31    329,947 
 160,000   Radiology Partners Inc., Company Guaranteed Notes, 9.250% due 2/1/28(a)    163,139 
 70,000   Rent-A-Center Inc., Company Guaranteed Notes, 6.375% due 2/15/29(a)    71,780 
     Royalty Pharma PLC, Company Guaranteed Notes:     
 1,255,000   2.200% due 9/2/30    1,210,535 
 495,000   3.300% due 9/2/40    493,838 
 180,000   RP Escrow Issuer LLC, Senior Secured Notes, 5.250% due 12/15/25(a)    177,750 
 75,000   Sabre GLBL Inc., Senior Secured Notes, 9.250% due 4/15/25(a)    83,438 
 220,000   SEG Holding LLC/SEG Finance Corp., Senior Secured Notes, 5.625% due 10/15/28(a)    230,982 
 305,000   Select Medical Corp., Company Guaranteed Notes, 6.250% due 8/15/26(a)    320,223 
 425,000   Smithfield Foods Inc., Company Guaranteed Notes, 4.250% due 2/1/27(a)    458,001 
     Spectrum Brands Inc., Company Guaranteed Notes:     
 130,000   5.000% due 10/1/29(a)    136,841 
 80,000   3.875% due 3/15/31(a)    76,800 
 310,000   Sutter Health, Unsecured Notes, 3.361% due 8/15/50    339,246 
     Sysco Corp., Company Guaranteed Notes:     
 200,000   3.250% due 7/15/27    212,689 
 225,000   3.300% due 2/15/50    234,399 
 200,000   Takeda Pharmaceutical Co., Ltd., Senior Unsecured Notes, 2.050% due 3/31/30    194,411 
     Tenet Healthcare Corp.:     
 255,000   Company Guaranteed Notes, 6.125%  due 10/1/28(a)    260,457 
 200,000   Secured Notes, 6.250%  due 2/1/27(a)    207,250 
 150,000   Senior Secured Notes, 4.250%  due 6/1/29(a)    148,500 
 965,000   Thermo Fisher Scientific Inc., Senior Unsecured Notes, 1.215% due 10/18/24    965,123 
 85,000   Triton Water Holdings Inc., Senior Unsecured Notes, 6.250% due 4/1/29(a)    82,544 
 135,000   United Natural Foods Inc., Company Guaranteed Notes, 6.750% due 10/15/28(a)    144,619 
     United Rentals North America Inc., Company Guaranteed Notes:     
 15,000   5.250% due 1/15/30    16,167 
 25,000   3.875% due 2/15/31    25,081 
     UnitedHealth Group Inc., Senior Unsecured Notes:     
 1,270,000   2.375% due 8/15/24    1,315,785 
 70,000   3.500% due 8/15/39    77,036 
     US Foods Inc., Company Guaranteed Notes:     
 75,000   4.750% due 2/15/29(a)    75,930 
 75,000   4.625% due 6/1/30(a)    75,375 
 130,000   Viatris Inc., Company Guaranteed Notes, 1.650% due 6/22/25    129,741 
 145,000   Vizient Inc., Senior Unsecured Notes, 6.250% due 5/15/27(a)    151,163 
 120,000   WASH Multifamily Acquisition Inc., Senior Secured Notes, 5.750% due 4/15/26(a)    123,600 
     Total Consumer Non-cyclical    72,026,023 
Energy - 2.6%     
 65,000   Aethon United BR LP/Aethon United Finance Corp., Senior Unsecured Notes, 8.250% due 2/15/26(a)    68,737 
 250,000   AI Candelaria Spain SLU, Senior Secured Notes, 5.750% due 6/15/33(a)    238,750 
 105,000   Antero Midstream Partners LP/Antero Midstream Finance Corp., Company Guaranteed Notes, 5.750% due 3/1/27(a)    105,576 
 70,000   Antero Resources Corp., Company Guaranteed Notes, 5.375% due 3/1/30(a)    72,187 
     Apache Corp., Senior Unsecured Notes:     
 70,000   4.625% due 11/15/25    74,025 
 135,000   4.375% due 10/15/28    142,291 
 500,000   BG Energy Capital PLC, Company Guaranteed Notes, 5.125% due 10/15/41(a)    649,382 
 55,000   Blue Racer Midstream LLC/Blue Racer Finance Corp., Senior Unsecured Notes, 7.625% due 12/15/25(a)    57,887 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Energy - 2.6% - (continued)     
     BP Capital Markets America Inc., Company Guaranteed Notes:     
$565,000   3.633% due 4/6/30   $620,529 
 45,000   3.060% due 6/17/41    45,397 
 695,000   2.939% due 6/4/51    676,382 
 480,000   3.001% due 3/17/52    470,657 
 455,000   3.379% due 2/8/61    469,782 
 5,250,000   Cenovus Energy Inc., Senior Unsecured Notes, 4.250% due 4/15/27    5,721,022 
 85,000   Chesapeake Energy Corp., Company Guaranteed Notes, 5.875% due 2/1/29(a)    90,100 
 175,000   CNX Midstream Partners LP, Company Guaranteed Notes, 4.750% due 4/15/30(a)    172,375 
 90,000   CNX Resources Corp., Company Guaranteed Notes, 6.000% due 1/15/29(a)    92,094 
 170,000   Continental Resources Inc., Company Guaranteed Notes, 2.268% due 11/15/26(a)    167,899 
     Ecopetrol SA, Senior Unsecured Notes:     
 100,000   4.625% due 11/2/31    95,625 
 200,000   5.875% due 11/2/51    182,276 
 316,960   Empresa Electrica Cochrane SpA, Senior Secured Notes, 5.500% due 5/14/27    319,990 
 215,000   Enable Midstream Partners LP, Company Guaranteed Notes, 5.000% due 5/15/44    232,068 
     Energy Transfer LP, Senior Unsecured Notes:     
 220,000   4.750% due 1/15/26    240,978 
 330,000   3.900% due 7/15/26    354,845 
 1,260,000   4.900% due 3/15/35    1,437,539 
 1,683,000   5.950% due 10/1/43    2,054,380 
 630,000   6.250% due 4/15/49    817,913 
     Enterprise Products Operating LLC, Company Guaranteed Notes:     
 460,000   3.750% due 2/15/25    490,882 
 6,000,000   4.150% due 10/16/28    6,761,847 
 905,000   4.800% due 2/1/49    1,108,469 
 110,000   3.300% due 2/15/53    109,758 
     EQM Midstream Partners LP, Senior Unsecured Notes:     
 50,000   6.500% due 7/1/27(a)    54,000 
 85,000   4.750% due 1/15/31(a)    85,850 
 80,000   EQT Corp., Senior Unsecured Notes, 7.500% due 2/1/30    100,961 
 630,000   Equinor ASA, Company Guaranteed Notes, 3.700% due 4/6/50    729,592 
 95,000   Exterran Energy Solutions LP/EES Finance Corp., Company Guaranteed Notes, 8.125% due 5/1/25    88,112 
     Exxon Mobil Corp., Senior Unsecured Notes:     
 295,000   2.992% due 3/19/25    310,696 
 570,000   4.227% due 3/19/40    679,539 
     Galaxy Pipeline Assets Bidco Ltd., Senior Secured Notes:     
 400,000   2.160% due 3/31/34(a)    388,751 
 500,000   2.625% due 3/31/36    486,398 
 700,000   2.940% due 9/30/40(a)    690,240 
 200,000   Gran Tierra Energy Inc., Company Guaranteed Notes, 7.750% due 5/23/27(a)    177,152 
 600,000   Gran Tierra Energy International Holdings Ltd., Company Guaranteed Notes, 6.250% due 2/15/25    523,011 
 175,000   Gulfport Energy Corp., Company Guaranteed Notes, 6.375% due 5/15/25(d)    8,313 
 81,000   Gulfport Energy Operating Corp., Company Guaranteed Notes, 8.000% due 5/17/26(a)    87,075 
     Halliburton Co., Senior Unsecured Notes:     
 220,000   2.920% due 3/1/30    225,169 
 235,000   4.850% due 11/15/35    278,870 
 295,000   Hess Corp., Senior Unsecured Notes, 7.300% due 8/15/31    393,574 
     Hess Midstream Operations LP, Company Guaranteed Notes:     
 160,000   5.625% due 2/15/26(a)    163,600 
 145,000   5.125% due 6/15/28(a)    148,262 
 165,000   4.250% due 2/15/30(a)    159,646 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Energy - 2.6% - (continued)     
$190,000   Hilcorp Energy I LP/Hilcorp Finance Co., Senior Unsecured Notes, 6.250% due 11/1/28(a)  $192,850 
 300,000   Hunt Oil Co. of Peru LLC Sucursal Del Peru, Senior Unsecured Notes, 6.375% due 6/1/28   297,375 
 560,000   Marathon Petroleum Corp., Senior Unsecured Notes, 4.700% due 5/1/25   611,703 
     MEG Energy Corp., Company Guaranteed Notes:     
 175,000   7.125% due 2/1/27(a)   178,937 
 20,000   5.875% due 2/1/29(a)   19,844 
 120,000   Moss Creek Resources Holdings Inc., Company Guaranteed Notes, 7.500% due 1/15/26(a)   105,698 
     MPLX LP, Senior Unsecured Notes:     
 225,000   1.750% due 3/1/26   222,685 
 315,000   4.125% due 3/1/27   342,638 
 210,000   4.000% due 3/15/28   228,241 
 245,000   4.700% due 4/15/48   282,511 
 60,000   Nabors Industries Inc., Company Guaranteed Notes, 7.375% due 5/15/27(a)   58,800 
 140,000   NGL Energy Operating LLC/NGL Energy Finance Corp., Senior Secured Notes, 7.500% due 2/1/26(a)   138,998 
 85,000   NGL Energy Partners LP/NGL Energy Finance Corp., Company Guaranteed Notes, 7.500% due 4/15/26   70,673 
 265,000   NuStar Logistics LP, Company Guaranteed Notes, 6.000% due 6/1/26   280,569 
 125,000   Oasis Petroleum Inc., Company Guaranteed Notes, 6.375% due 6/1/26(a)   128,438 
     Occidental Petroleum Corp., Senior Unsecured Notes:     
 95,000   8.000% due 7/15/25   108,139 
 225,000   6.625% due 9/1/30   269,926 
 205,000   6.125% due 1/1/31   238,887 
 45,000   6.450% due 9/15/36   55,878 
 45,000   6.600% due 3/15/46   57,278 
 200,000   Oil & Natural Gas Corp., Ltd, Senior Unsecured Notes, 3.375% due 12/5/29   204,930 
 200,000   Oleoducto Central SA, Senior Unsecured Notes, 4.000% due 7/14/27   199,202 
 80,000   Ovintiv Inc., Company Guaranteed Notes, 7.375% due 11/1/31   102,207 
 140,000   Par Petroleum LLC/Par Petroleum Finance Corp., Senior Secured Notes, 7.750% due 12/15/25(a)   140,000 
     Parkland Corp., Company Guaranteed Notes:     
 95,000   4.500% due 10/1/29(a)   93,349 
 70,000   4.625% due 5/1/30(a)   68,997 
 40,000   PBF Holding Co. LLC/PBF Finance Corp., Company Guaranteed Notes, 6.000% due 2/15/28   23,860 
 59,618   Peabody Energy Corp., Senior Secured Notes, 8.500% due 12/31/24(a)(b)   56,488 
     Petrobras Global Finance BV, Company Guaranteed Notes:     
 500,000   6.750% due 6/3/50   511,250 
 100,000   5.500% due 6/10/51   88,685 
 350,000   Petroleos Mexicanos, Company Guaranteed Notes, 6.750% due 9/21/47   287,490 
 450,000   Petronas Capital Ltd., Company Guaranteed Notes, 2.480% due 1/28/32   449,748 
 65,000   PIC AU Holdings LLC/PIC AU Holdings Corp., Senior Secured Notes, 10.000% due 12/31/24(a)   66,950 
 280,000   Pioneer Natural Resources Co., Senior Unsecured Notes, 1.125% due 1/15/26   272,516 
 200,000   PTTEP Treasury Center Co., Ltd., Company Guaranteed Notes, 2.587% due 6/10/27(a)   204,983 
     Qatar Energy, Senior Unsecured Notes:     
 955,000   2.250% due 7/12/31(a)    938,440 
 500,000   2.250% due 7/12/31    491,330 
 335,000   3.300% due 7/12/51(a)    342,471 
 110,000   Rattler Midstream LP, Company Guaranteed Notes, 5.625% due 7/15/25(a)    113,300 
 200,000   SA Global Sukuk Ltd., Senior Unsecured Notes, 2.694% due 6/17/31(a)    199,652 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Energy - 2.6% - (continued)     
     Sabine Pass Liquefaction LLC, Senior Secured Notes:     
$320,000   5.000% due 3/15/27  $360,225 
 200,000   4.500% due 5/15/30   226,248 
 6,030,000   Schlumberger Investment SA, Company Guaranteed Notes, 2.650% due 6/26/30   6,143,321 
     Shell International Finance BV, Company Guaranteed Notes:     
 645,000   3.250% due 4/6/50   692,449 
 365,000   3.000% due 11/26/51   371,932 
 85,000   Southwestern Energy Co., Company Guaranteed Notes, 5.375% due 2/1/29   87,550 
 105,000   SunCoke Energy Inc., Senior Secured Notes, 4.875% due 6/30/29(a)   102,035 
     Sunoco LP/Sunoco Finance Corp., Company Guaranteed Notes:     
 105,000   6.000% due 4/15/27   108,808 
 55,000   4.500% due 5/15/29   54,258 
 240,000   Targa Resources Partners LP/Targa Resources Partners Finance Corp., Company Guaranteed Notes, 4.875% due 2/1/31   257,400 
 6,275,000   Tennessee Gas Pipeline Co. LLC, Company Guaranteed Notes, 2.900% due 3/1/30(a)   6,351,618 
 480,000   TotalEnergies Capital International SA, Company Guaranteed Notes, 3.386% due 6/29/60   516,015 
     TransCanada PipeLines Ltd., Senior Unsecured Notes:     
 485,000   1.000% due 10/12/24   481,329 
 480,000   2.500% due 10/12/31   472,208 
 50,000   Transocean Inc., Company Guaranteed Notes, 11.500% due 1/30/27(a)   47,000 
 300,000   Transocean Poseidon Ltd., Senior Secured Notes, 6.875% due 2/1/27(a)   285,000 
 529,054   UEP Penonome II SA, Senior Secured Notes, 6.500% due 10/1/38(a)   554,190 
 325,000   USA Compression Partners LP/USA Compression Finance Corp., Company Guaranteed Notes, 6.875% due 9/1/27   333,317 
 330,000   Valero Energy Corp., Senior Unsecured Notes, 2.850% due 4/15/25   342,489 
 130,000   Venture Global Calcasieu Pass LLC, Senior Secured Notes, 4.125% due 8/15/31(a)   132,946 
 125,000   Viper Energy Partners LP, Company Guaranteed Notes, 5.375% due 11/1/27(a)   128,750 
     Weatherford International Ltd.:     
     Company Guaranteed Notes:     
 40,000   11.000%  due 12/1/24(a)   41,400 
 50,000   8.625%  due 4/30/30(a)   49,006 
 55,000   Senior Secured Notes, 6.500%  due 9/15/28(a)   56,497 
     Western Midstream Operating LP, Senior Unsecured Notes:     
 150,000   4.350% due 2/1/25   155,250 
 155,000   5.300% due 2/1/30   166,827 
 215,000   Williams Cos. Inc., Senior Unsecured Notes, 3.750% due 6/15/27   232,685 
     Total Energy   57,417,122 
Financial - 10.1%     
     Acrisure LLC/Acrisure Finance Inc.:     
 95,000   Senior Secured Notes, 4.250%  due 2/15/29(a)   88,550 
 80,000   Senior Unsecured Notes, 6.000%  due 8/1/29(a)   76,519 
     AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Company Guaranteed Notes:     
 5,175,000   1.650% due 10/29/24   5,165,667 
 1,000,000   3.300% due 1/30/32   1,007,630 
 480,000   Air Lease Corp., Senior Unsecured Notes, 3.250% due 3/1/25   500,047 
 665,000   Alexandria Real Estate Equities Inc., Company Guaranteed Notes, 1.875% due 2/1/33   625,995 
 135,000   Alliant Holdings Intermediate LLC/Alliant Holdings Co.-Issuer, Senior Unsecured Notes, 6.750% due 10/15/27(a)   136,403 
     American Express Co., Senior Unsecured Notes:     
 515,000   4.200% due 11/6/25   569,125 
 5,020,000   0.700% (SOFRRATE + 0.650%) due 11/4/26(f)   5,034,207 
 1,575,000   American International Group Inc., Senior Unsecured Notes, 2.500% due 6/30/25   1,629,673 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Financial - 10.1% - (continued)     
     American Tower Corp., Senior Unsecured Notes:     
$3,980,000   2.950% due 1/15/25   $4,140,970 
 435,000   1.450% due 9/15/26    425,534 
 3,700,000   American Tower Trust #1, Asset Backed, 3.070% due 3/15/23(a)    3,703,690 
 85,000   AmWINS Group Inc., Senior Unsecured Notes, 4.875% due 6/30/29(a)    83,638 
     AssuredPartners Inc., Senior Unsecured Notes:     
 160,000   7.000% due 8/15/25(a)    158,600 
 25,000   5.625% due 1/15/29(a)    24,000 
 800,000   Athene Global Funding, Secured Notes, 2.646% due 10/4/31(a)    795,279 
 425,000   Athene Holding Ltd., Senior Unsecured Notes, 3.950% due 5/25/51    479,368 
     Avolon Holdings Funding Ltd.:     
 155,000   Company Guaranteed Notes, 3.250%  due 2/15/27(a)    157,534 
 295,000   Senior Unsecured Notes, 2.125%  due 2/21/26(a)    288,828 
 200,000   Banco Davivienda SA, Junior Subordinated Notes, 6.650% (5-Year CMT Index + 5.097%) (a)(c)(f)    203,752 
 450,000   Banco de Credito del Peru, Subordinated Notes, 3.125% (5-Year CMT Index + 3.000%) due 7/1/30(f)    441,225 
 200,000   Banco do Estado do Rio Grande do Sul SA, Subordinated Notes, 5.375% (5-Year CMT Index + 4.928%) due 1/28/31(a)(f)    192,652 
 200,000   Banco General SA, Junior Subordinated Notes, 5.250% (5-Year CMT Index + 3.665%) (a)(c)(f)    202,500 
 600,000   Banco Internacional del Peru SAA Interbank, Subordinated Notes, 4.000% (1-Year CMT Index + 3.711%) due 7/8/30(f)    598,500 
 650,000   Banco Macro SA, Subordinated Notes, 6.750% (5-Year USD Swap Rate + 5.463%) due 11/4/26(f)    547,950 
 600,000   Banco Mercantil del Norte SA, Junior Subordinated Notes, 7.625% (5-Year CMT Index + 5.353%) (c)(f)    641,664 
 300,000   Bangkok Bank PCL, Junior Subordinated Notes, 5.000% (5-Year CMT Index + 4.729%) (c)(f)    309,750 
     Bank of America Corp.:     
     Senior Unsecured Notes:     
 2,375,000   2.456% (3-Month USD-LIBOR + 0.870%) due 10/22/25(f)    2,444,229 
 230,000   3.559% (3-Month USD-LIBOR + 1.060%) due 4/23/27(f)    245,433 
 885,000   3.824% (3-Month USD-LIBOR + 1.575%) due 1/20/28(f)    959,080 
 1,000,000   3.974% (3-Month USD-LIBOR + 1.210%) due 2/7/30(f)    1,105,484 
 6,075,000   1.922% (SOFRRATE + 1.370%) due 10/24/31(f)    5,797,963 
 415,000   2.572% (SOFRRATE + 1.210%) due 10/20/32(f)    416,782 
 685,000   3.311%  (SOFRRATE + 1.580%) due 4/22/42(f)    726,651 
 2,345,000   4.083% (3-Month USD-LIBOR + 3.150%) due 3/20/51(f)    2,862,449 
 760,000   Subordinated Notes, 2.482% (5-Year CMT Index + 1.200%) due 9/21/36(f)    733,886 
     Bank of New York Mellon Corp., Senior Unsecured Notes:     
 455,000   2.100% due 10/24/24    467,772 
 115,000   2.450% due 8/17/26    119,956 
 470,000   Bank of Nova Scotia, Senior Unsecured Notes, 3.400% due 2/11/24    494,432 
 5,000,000   Barclays PLC, Senior Unsecured Notes, 4.375% due 1/12/26    5,468,457 
 1,045,000   BBVA USA, Senior Unsecured Notes, 2.500% due 8/27/24    1,082,386 
 500,000   BDO Unibank Inc., Senior Unsecured Notes, 2.950% due 3/6/23    509,375 
 525,000   Berkshire Hathaway Finance Corp., Company Guaranteed Notes, 4.200% due 8/15/48    647,826 
 1,170,000   BlackRock Inc., Senior Unsecured Notes, 1.900% due 1/28/31    1,163,508 
 1,130,000   Blackstone Holdings Finance Co. LLC, Company Guaranteed Notes, 2.000% due 1/30/32(a)    1,093,406 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Financial - 10.1% - (continued)     
     BNP Paribas SA, Senior Unsecured Notes:     
$935,000   2.219% (SOFRRATE + 2.074%) due 6/9/26(a)(f)   $949,225 
 495,000   1.323% (SOFRRATE + 1.004%) due 1/13/27(a)(f)    482,245 
 845,000   BOC Aviation USA Corp., Company Guaranteed Notes, 1.625% due 4/29/24(a)    847,401 
     Boston Properties LP, Senior Unsecured Notes:     
 740,000   3.650% due 2/1/26    795,735 
 3,000,000   2.750% due 10/1/26    3,123,496 
 2,983,000   3.400% due 6/21/29    3,176,731 
 520,000   BPCE SA, Senior Unsecured Notes, 2.045% (SOFRRATE + 1.087%) due 10/19/27(a)(f)    516,018 
 185,000   Brighthouse Financial Global Funding, Senior Secured Notes, 1.000% due 4/12/24(a)    184,083 
 360,000   Brown & Brown Inc., Senior Unsecured Notes, 2.375% due 3/15/31    355,669 
 2,301,000   Charles Schwab Corp., Senior Unsecured Notes, 2.750% due 10/1/29    2,428,038 
 200,000   CIMB Bank Bhd, Senior Unsecured Notes, 0.901% (3-Month USD-LIBOR + 0.780%) due 10/9/24(f)    201,294 
     Citigroup Inc., Senior Unsecured Notes:     
 805,000   2.876% (3-Month USD-LIBOR + 0.950%) due 7/24/23(f)    815,891 
 165,000   3.352% (3-Month USD-LIBOR + 0.897%) due 4/24/25(f)    172,756 
 990,000   0.981% (SOFRRATE + 0.669%) due 5/1/25(f)    983,416 
 1,620,000   1.281% (SOFRRATE + 0.528%) due 11/3/25(f)    1,615,790 
 5,000,000   3.106% (SOFRRATE + 2.842%) due 4/8/26(f)    5,241,446 
 1,180,000   1.462% (SOFRRATE + 0.770%) due 6/9/27(f)    1,157,436 
 890,000   3.668% (3-Month USD-LIBOR + 1.390%) due 7/24/28(f)    957,401 
 1,545,000   4.412% (SOFRRATE + 3.914%) due 3/31/31(f)    1,762,372 
 505,000   2.520% (SOFRRATE + 1.177%) due 11/3/32(f)    504,743 
 5,000,000   Credit Suisse Group AG, Senior Unsecured Notes, 4.194% (SOFRRATE + 3.730%) due 4/1/31(a)(f)    5,499,639 
     Crown Castle International Corp., Senior Unsecured Notes:     
 445,000   4.300% due 2/15/29    495,247 
 3,410,000   2.100% due 4/1/31    3,255,561 
     DBS Group Holdings Ltd.:     
     Subordinated Notes:     
 300,000   4.520%  (5-Year USD 1100 Run ICE Swap Rate + 1.590%) due 12/11/28(f)    319,157 
 400,000   1.822%  (5-Year CMT Index + 1.100%) due 3/10/31(f)    397,132 
 200,000   Senior Unsecured Notes, 0.744%  (3-Month USD-LIBOR + 0.620%) due 7/25/22(f)    200,739 
 500,000   Discover Financial Services, Senior Unsecured Notes, 4.100% due 2/9/27    544,712 
     Equinix Inc., Senior Unsecured Notes:     
 115,000   1.800% due 7/15/27    112,413 
 210,000   2.000% due 5/15/28    206,565 
 495,000   2.500% due 5/15/31    489,943 
 1,225,000   Equitable Financial Life Global Funding, Secured Notes, 1.800% due 3/8/28(a)    1,206,710 
 6,017,000   ERP Operating LP, Senior Unsecured Notes, 3.375% due 6/1/25    6,407,899 
 555,000   Fifth Third Bancorp, Senior Unsecured Notes, 2.375% due 1/28/25    571,813 
 6,134,000   Five Corners Funding Trust II, Senior Unsecured Notes, 2.850% due 5/15/30(a)    6,352,756 
     Gilex Holding SARL, Senior Secured Notes:     
 200,000   8.500% due 5/2/23(a)    199,348 
 150,000   8.500% due 5/2/23    149,511 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Financial - 10.1% - (continued)     
$209,392   Global Aircraft Leasing Co., Ltd., Senior Unsecured Notes, 6.500% due 9/15/24(a)(b)   $202,939 
 260,000   GLP Capital LP/GLP Financing II Inc., Company Guaranteed Notes, 5.300% due 1/15/29    296,730 
     Goldman Sachs Group Inc., Senior Unsecured Notes:     
 1,150,000   2.905% (3-Month USD-LIBOR + 0.990%) due 7/24/23(f)    1,164,929 
 660,000   0.925% (SOFRRATE + 0.486%) due 10/21/24(f)    657,564 
 920,000   1.326% (3-Month USD-LIBOR + 1.170%) due 5/15/26(f)    936,450 
 540,000   3.500% due 11/16/26    575,103 
 6,865,000   1.431% (SOFRRATE + 0.798%) due 3/9/27(f)    6,730,485 
 300,000   1.992% (SOFRRATE + 1.090%) due 1/27/32(f)    287,220 
 1,740,000   2.615% (SOFRRATE + 1.281%) due 4/22/32(f)    1,743,430 
 830,000   2.383% (SOFRRATE + 1.248%) due 7/21/32(f)    814,389 
 140,000   2.650% (SOFRRATE + 1.264%) due 10/21/32(f)    140,327 
 310,000   6.250% due 2/1/41    449,863 
 470,000   Guardian Life Global Funding, Secured Notes, 1.250% due 5/13/26(a)    465,172 
 65,000   Hightower Holding LLC, Company Guaranteed Notes, 6.750% due 4/15/29(a)    65,488 
     HSBC Holdings PLC, Senior Unsecured Notes:     
 1,950,000   3.033% (3-Month USD-LIBOR + 0.923%) due 11/22/23(f)    1,989,885 
 315,000   0.976% (SOFRRATE + 0.708%) due 5/24/25(f)    311,455 
 1,685,000   4.583% (3-Month USD-LIBOR + 1.535%) due 6/19/29(f)    1,887,718 
 1,400,000   3.973% (3-Month USD-LIBOR + 1.610%) due 5/22/30(f)    1,526,275 
 495,000   Invitation Homes Operating Partnership LP, Company Guaranteed Notes, 2.700% due 1/15/34    488,978 
     Iron Mountain Inc., Company Guaranteed Notes:     
 70,000   4.875% due 9/15/29(a)    70,980 
 100,000   4.500% due 2/15/31(a)    98,195 
 105,000   iStar Inc., Senior Unsecured Notes, 4.750% due 10/1/24    108,495 
     Itau Unibanco Holding SA:     
     Junior Subordinated Notes:     
 200,000   4.625%  (5-Year CMT Index + 3.222%) (c)(f)    184,400 
 200,000   6.125%  (5-Year CMT Index + 3.981%) (c)(f)    195,888 
 400,000   Subordinated Notes, 3.875%  (5-Year CMT Index + 3.446%) due 4/15/31(f)    378,400 
     JPMorgan Chase & Co., Senior Unsecured Notes:     
 2,760,000   3.300% due 4/1/26    2,942,889 
 4,170,000   3.960% (3-Month USD-LIBOR + 1.245%) due 1/29/27(f)    4,528,255 
 730,000   3.509% (3-Month USD-LIBOR + 0.945%) due 1/23/29(f)    784,787 
 5,817,000   2.522% (SOFRRATE + 2.040%) due 4/22/31(f)    5,871,447 
 715,000   2.580% (SOFRRATE + 1.250%) due 4/22/32(f)    721,026 
 970,000   2.545% (SOFRRATE + 1.180%) due 11/8/32(f)    974,897 
 560,000   3.157% (SOFRRATE + 1.460%) due 4/22/42(f)    586,464 
 500,000   Kasikornbank PCL, Junior Subordinated Notes, 5.275% (5-Year CMT Index + 4.940%) (c)(f)    521,250 
 575,000   KeyCorp, Senior Unsecured Notes, 2.550% due 10/1/29    591,794 
     Kimco Realty Corp., Senior Unsecured Notes:     
 1,012,000   3.500% due 4/15/23    1,041,868 
 300,000   4.450% due 1/15/24    317,282 
 15,000   LD Holdings Group LLC, Company Guaranteed Notes, 6.125% due 4/1/28(a)    13,769 
 90,000   LFS Topco LLC, Company Guaranteed Notes, 5.875% due 10/15/26(a)    93,138 
     Macquarie Group Ltd., Senior Unsecured Notes:     
 445,000   1.629% (SOFRRATE + 0.910%) due 9/23/27(a)(f)    437,317 
 540,000   2.871% (SOFRRATE + 1.532%) due 1/14/33(a)(f)    541,123 
 555,000   Marsh & McLennan Cos., Inc., Senior Unsecured Notes, 4.750% due 3/15/39    705,487 
     Massachusetts Mutual Life Insurance Co., Subordinated Notes:     
 440,000   3.375% due 4/15/50(a)    471,330 
 150,000   3.729% due 10/15/70(a)    170,747 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Financial - 10.1% - (continued)     
$405,000   Mastercard Inc., Senior Unsecured Notes, 2.950% due 3/15/51   $428,645 
 470,000   Mitsubishi UFJ Financial Group Inc., Senior Unsecured Notes, 0.913% (3-Month USD-LIBOR + 0.740%) due 3/2/23(f)   472,852 
     Morgan Stanley:     
     Senior Unsecured Notes:     
 2,145,000   3.700%  due 10/23/24   2,286,441 
 315,000   1.164%  (SOFRRATE + 0.560%) due 10/21/25(f)   312,493 
 1,120,000   1.593%  (SOFRRATE + 0.879%) due 5/4/27(f)   1,107,361 
 5,031,000   3.591%  (3-Month USD-LIBOR + 1.340%) due 7/22/28(f)   5,412,226 
 3,600,000   2.699%  (SOFRRATE + 1.143%) due 1/22/31(f)   3,696,383 
 675,000   1.928%  (SOFRRATE + 1.020%) due 4/28/32(f)    644,825 
 105,000   2.511%  (SOFRRATE + 1.200%) due 10/20/32(f)    105,341 
 1,015,000   Subordinated Notes, 2.484%  (SOFRRATE + 1.360%) due 9/16/36(f)   982,225 
 145,000   Nationstar Mortgage Holdings Inc., Company Guaranteed Notes, 5.750% due 11/15/31(a)   141,515 
 100,000   Navient Corp., Senior Unsecured Notes, 5.000% due 3/15/27   100,363 
 140,000   New York Life Insurance Co., Subordinated Notes, 3.750% due 5/15/50(a)   161,203 
     NFP Corp.:     
 125,000   Senior Secured Notes, 4.875%  due 8/15/28(a)   123,125 
 135,000   Senior Unsecured Notes, 6.875%  due 8/15/28(a)   133,746 
 400,000   NongHyup Bank, Senior Unsecured Notes, 1.250% due 7/20/25(a)   396,539 
 5,275,000   Office Properties Income Trust, Senior Unsecured Notes, 4.500% due 2/1/25   5,585,181 
     OneMain Finance Corp., Company Guaranteed Notes:     
 115,000   7.125% due 3/15/26   129,256 
 40,000   6.625% due 1/15/28   44,307 
 90,000   5.375% due 11/15/29   94,711 
 1,545,000   Ontario Teachers' Cadillac Fairview Properties Trust, Senior Unsecured Notes, 2.500% due 10/15/31(a)   1,552,787 
 800,000   Oversea-Chinese Banking Corp., Ltd., Subordinated Notes, 4.250% due 6/19/24   856,160 
 60,000   Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co.-Issuer, Senior Secured Notes, 4.875% due 5/15/29(a)   59,775 
     PennyMac Financial Services Inc., Company Guaranteed Notes:     
 95,000   5.375% due 10/15/25(a)   95,475 
 110,000   4.250% due 2/15/29(a)   101,200 
 435,000   Progressive Corp., Senior Unsecured Notes, 3.200% due 3/26/30   472,217 
     Realogy Group LLC/Realogy Co.-Issuer Corp.:     
 65,000   Company Guaranteed Notes, 5.750%  due 1/15/29(a)   65,731 
 105,000   Secured Notes, 7.625%  due 6/15/25(a)   110,775 
 175,000   Realty Income Corp., Senior Unsecured Notes, 2.850% due 12/15/32   182,552 
 1,455,000   Royal Bank of Canada, Senior Unsecured Notes, 1.150% due 7/14/26   1,426,527 
     Santander Holdings USA Inc., Senior Unsecured Notes:     
 605,000   3.700% due 3/28/22   609,409 
 485,000   3.400% due 1/18/23   497,130 
 250,000   Shinhan Financial Group Co., Ltd., Junior Subordinated Notes, 2.875% (5-Year CMT Index + 2.064%) (a)(c)(f)   245,613 
     Simon Property Group LP, Senior Unsecured Notes:     
 3,000,000   3.500% due 9/1/25   3,209,977 
 1,905,000   2.200% due 2/1/31   1,870,358 
 7,000,000   Standard Chartered PLC, Senior Unsecured Notes, 1.456% (1-Year CMT Index + 1.000%) due 1/14/27(a)(f)   6,797,251 
 1,470,000   State Street Corp., Senior Unsecured Notes, 3.776% (3-Month USD-LIBOR + 0.770%) due 12/3/24(f)   1,553,874 
 4,000,000   Sumitomo Mitsui Trust Bank Ltd., Senior Unsecured Notes, 0.850% due 3/25/24(a)   3,976,215 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Financial - 10.1% - (continued)     
     Temasek Financial I Ltd., Company Guaranteed Notes:     
$800,000   1.000% due 10/6/30(a)   $748,385 
 250,000   1.000% due 10/6/30    233,870 
 1,360,000   Truist Financial Corp., Senior Unsecured Notes, 1.887% (SOFRRATE + 0.862%) due 6/7/29(f)    1,340,621 
 1,254,000   UBS Group AG, Senior Unsecured Notes, 1.364% (1-Year CMT Index + 1.080%) due 1/30/27(a)(f)    1,228,266 
 5,160,000   UDR Inc., Company Guaranteed Notes, 3.200% due 1/15/30    5,497,469 
 623,000   Unifin Financiera SAB de CV, Junior Subordinated Notes, 8.875% (5-Year CMT Index + 6.308%) (c)(f)    355,172 
 300,000   United Overseas Bank Ltd., Junior Subordinated Notes, 3.875% (5-Year USD Swap Rate + 1.794%) (c)(f)    308,520 
 70,000   Uniti Group LP/Uniti Group Finance Inc./CSL Capital LLC, Company Guaranteed Notes, 6.500% due 2/15/29(a)    67,300 
 5,480,000   Ventas Realty LP, Company Guaranteed Notes, 3.500% due 2/1/25    5,803,844 
 25,000   VICI Properties LP/VICI Note Co., Inc., Company Guaranteed Notes, 3.750% due 2/15/27(a)    25,625 
 220,000   Visa Inc., Senior Unsecured Notes, 4.300% due 12/14/45    278,285 
 170,000   Vornado Realty LP, Senior Unsecured Notes, 2.150% due 6/1/26    170,656 
     Wells Fargo & Co.:     
     Senior Unsecured Notes:     
 620,000   3.000%  due 4/22/26    650,557 
 3,969,000   2.188%  (SOFRRATE + 2.000%) due 4/30/26(f)    4,052,746 
 425,000   3.584%  (3-Month USD-LIBOR + 1.310%) due 5/22/28(f)    457,500 
 495,000   5.013%  (SOFRRATE + 4.502%) due 4/4/51(f)    684,708 
 360,000   Subordinated Notes, 4.900%  due 11/17/45    459,075 
     Welltower Inc., Senior Unsecured Notes:     
 390,000   2.700% due 2/15/27    405,502 
 510,000   2.050% due 1/15/29    502,116 
 5,725,000   2.750% due 1/15/32    5,774,808 
 495,000   Westpac Banking Corp., Subordinated Notes, 3.020% (5-Year CMT Index + 1.530%) due 11/18/36(f)    492,113 
 775,000   Willis North America Inc., Company Guaranteed Notes, 2.950% due 9/15/29    803,560 
 400,000   Woori Bank, Junior Subordinated Notes, 4.250% (5-Year CMT Index + 2.664%) (c)(f)    417,431 
     XHR LP, Senior Secured Notes:     
 100,000   6.375% due 8/15/25(a)    104,250 
 90,000   4.875% due 6/1/29(a)    90,675 
     Total Financial    227,329,102 
Government - 0.0%     
 300,000   Malaysia Sovereign Sukuk Bhd, Unsecured Notes, 3.043% due 4/22/25    317,311 
 500,000   Malaysia Wakala Sukuk Bhd, Senior Unsecured Notes, 2.070% due 4/28/31    500,885 
     Total Government    818,196 
Industrial - 1.5%     
 130,000   Advanced Drainage Systems Inc., Company Guaranteed Notes, 5.000% due 9/30/27(a)    134,410 
 200,000   Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC, Senior Unsecured Notes, 4.000% due 9/1/29(a)    193,930 
 455,000   Arrow Electronics Inc., Senior Unsecured Notes, 3.875% due 1/12/28    492,792 
 490,000   Berry Global Inc., Senior Secured Notes, 0.950% due 2/15/24    484,130 
     Boeing Co., Senior Unsecured Notes:     
 1,025,000   5.040% due 5/1/27    1,154,091 
 460,000   2.950% due 2/1/30    464,139 
     Builders FirstSource Inc., Company Guaranteed Notes:     
 140,000   5.000% due 3/1/30(a)    148,649 
 90,000   4.250% due 2/1/32(a)    90,391 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Industrial - 1.5% - (continued)     
$420,000   Canadian Pacific Railway Co., Company Guaranteed Notes, 2.450% due 12/2/31   $425,125 
     Carrier Global Corp., Senior Unsecured Notes:     
 270,000   2.242% due 2/15/25    276,050 
 210,000   3.577% due 4/5/50    223,043 
 415,000   Caterpillar Inc., Senior Unsecured Notes, 2.600% due 4/9/30    435,256 
 45,000   Clean Harbors Inc., Company Guaranteed Notes, 5.125% due 7/15/29(a)    48,150 
 160,000   Cornerstone Building Brands Inc., Company Guaranteed Notes, 6.125% due 1/15/29(a)    166,800 
 470,000   CSX Corp., Senior Unsecured Notes, 3.350% due 9/15/49    505,573 
 1,115,000   DAE Funding LLC, Company Guaranteed Notes, 1.550% due 8/1/24(a)    1,094,149 
 185,000   FedEx Corp., Company Guaranteed Notes, 4.750% due 11/15/45    229,890 
 75,000   First Student Bidco Inc./First Transit Parent Inc., Senior Secured Notes, 4.000% due 7/31/29(a)    71,266 
 115,000   Fortress Transportation & Infrastructure Investors LLC, Senior Unsecured Notes, 5.500% due 5/1/28(a)    112,700 
 900,000   GE Capital Funding LLC, Company Guaranteed Notes, 4.400% due 5/15/30    1,069,346 
     General Electric Co., Senior Unsecured Notes:     
 300,000   3.625% due 5/1/30    337,905 
 345,000   5.875% due 1/14/38    492,434 
 180,000   6.875% due 1/10/39    281,160 
 210,000   GFL Environmental Inc., Company Guaranteed Notes, 4.000% due 8/1/28(a)    203,717 
 70,000   GrafTech Finance Inc., Senior Secured Notes, 4.625% due 12/15/28(a)    70,854 
 85,000   Intelligent Packaging Ltd. Finco Inc./Intelligent Packaging Ltd. Co.-Issuer LLC, Senior Secured Notes, 6.000% due 9/15/28(a)    86,062 
 240,000   Jeld-Wen Inc., Company Guaranteed Notes, 4.625% due 12/15/25(a)    242,100 
 730,000   John Deere Capital Corp., Senior Unsecured Notes, 1.750% due 3/9/27    731,577 
 505,000   L3Harris Technologies Inc., Senior Unsecured Notes, 3.850% due 6/15/23    526,513 
 300,000   Lockheed Martin Corp., Senior Unsecured Notes, 4.090% due 9/15/52    374,529 
     Madison IAQ LLC:     
 70,000   Senior Secured Notes, 4.125%  due 6/30/28(a)    67,725 
 75,000   Senior Unsecured Notes, 5.875%  due 6/30/29(a)    72,154 
 145,000   Norfolk Southern Corp., Senior Unsecured Notes, 3.400% due 11/1/49    158,825 
     Northrop Grumman Corp., Senior Unsecured Notes:     
 4,875,000   2.930% due 1/15/25    5,092,761 
 665,000   5.150% due 5/1/40    867,686 
 1,365,000   Otis Worldwide Corp., Senior Unsecured Notes, 2.565% due 2/15/30    1,387,725 
 200,000   Penske Truck Leasing Co. LP/PTL Finance Corp., Senior Unsecured Notes, 4.200% due 4/1/27(a)    221,721 
     Raytheon Technologies Corp., Senior Unsecured Notes:     
 1,765,000   3.125% due 5/4/27    1,882,225 
 835,000   2.375% due 3/15/32    835,459 
 45,000   Roller Bearing Co. of America Inc., Senior Unsecured Notes, 4.375% due 10/15/29(a)    44,899 
 70,000   Seaspan Corp., Senior Unsecured Notes, 5.500% due 8/1/29(a)    69,428 
 1,305,000   Siemens Financieringsmaatschappij NV, Company Guaranteed Notes, 1.200% due 3/11/26(a)    1,282,634 
 635,409   Stoneway Capital Corp., Senior Secured Notes, 10.000% due 3/1/27(d)(e)    213,497 
 89,000   Tervita Corp., Secured Notes, 11.000% due 12/1/25(a)    101,958 
 690,000   Textron Inc., Senior Unsecured Notes, 2.450% due 3/15/31    683,064 
 75,000   Titan Acquisition Ltd./Titan Co.-Borrower LLC, Senior Unsecured Notes, 7.750% due 4/15/26(a)    74,625 
 200,000   TK Elevator US Newco Inc., Senior Secured Notes, 5.250% due 7/15/27(a)    203,386 
 95,000   Trane Technologies Luxembourg Finance SA, Company Guaranteed Notes, 4.500% due 3/21/49    118,597 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Industrial - 1.5% - (continued)     
     TransDigm Inc.:     
     Senior Secured Notes:     
$35,000   8.000%  due 12/15/25(a)   $36,881 
 220,000   6.250%  due 3/15/26(a)    228,250 
 125,000   Company Guaranteed Notes, 5.500%  due 11/15/27    125,802 
 140,000   Trident TPI Holdings Inc., Company Guaranteed Notes, 6.625% due 11/1/25(a)    141,400 
     Triumph Group Inc.:     
 109,000   Company Guaranteed Notes, 7.750%  due 8/15/25    108,319 
 55,000   Secured Notes, 6.250%  due 9/15/24(a)    55,214 
     Union Pacific Corp., Senior Unsecured Notes:     
 740,000   2.375% due 5/20/31    755,365 
 705,000   2.973% due 9/16/62    707,334 
 510,000   Vontier Corp., Company Guaranteed Notes, 1.800% due 4/1/26(a)    500,193 
 210,000   Waste Management Inc., Company Guaranteed Notes, 2.000% due 6/1/29    208,408 
 85,000   Waste Pro USA Inc., Senior Unsecured Notes, 5.500% due 2/15/26(a)    84,150 
     WRKCo Inc., Company Guaranteed Notes:     
 465,000   3.750% due 3/15/25    499,230 
 5,245,000   3.900% due 6/1/28    5,791,252 
     Total Industrial    33,786,898 
Technology - 1.8%     
     Apple Inc., Senior Unsecured Notes:     
 3,630,000   1.125% due 5/11/25    3,621,824 
 240,000   1.200% due 2/8/28    232,701 
 1,090,000   3.850% due 5/4/43    1,293,143 
 45,000   Austin BidCo Inc., Senior Unsecured Notes, 7.125% due 12/15/28(a)    46,194 
 15,000   Boxer Parent Co., Inc., Senior Secured Notes, 7.125% due 10/2/25(a)    15,714 
     Broadcom Inc.:     
     Company Guaranteed Notes:     
 2,512,000   4.110%  due 9/15/28    2,747,394 
 345,000   4.300%  due 11/15/32    384,829 
     Senior Unsecured Notes:     
 1,162,000   3.419%  due 4/15/33(a)    1,197,417 
 728,000   3.137%  due 11/15/35(a)    715,604 
 45,000   Camelot Finance SA, Senior Secured Notes, 4.500% due 11/1/26(a)    46,688 
 125,000   Castle US Holding Corp., Senior Unsecured Notes, 9.500% due 2/15/28(a)    131,250 
     CDW LLC/CDW Finance Corp., Company Guaranteed Notes:     
 210,000   2.670% due 12/1/26    211,315 
 195,000   3.276% due 12/1/28    197,872 
 180,000   3.569% due 12/1/31    184,102 
 90,000   Clarivate Science Holdings Corp., Senior Unsecured Notes, 4.875% due 7/1/29(a)    88,133 
 1,635,000   Fiserv Inc., Senior Unsecured Notes, 2.250% due 6/1/27    1,661,732 
     Intel Corp., Senior Unsecured Notes:     
 335,000   2.450% due 11/15/29    344,511 
 550,000   2.800% due 8/12/41    553,620 
 385,000   3.250% due 11/15/49    410,029 
 290,000   3.050% due 8/12/51    300,360 
 630,000   Kyndryl Holdings Inc., Senior Unsecured Notes, 3.150% due 10/15/31(a)    606,546 
     Marvell Technology Inc., Company Guaranteed Notes:     
 795,000   2.450% due 4/15/28    800,377 
 360,000   2.950% due 4/15/31    367,848 
 770,000   Microchip Technology Inc., Senior Secured Notes, 2.670% due 9/1/23    790,029 
 580,000   Microsoft Corp., Senior Unsecured Notes, 2.921% due 3/17/52    617,558 
 235,000   NetApp Inc., Senior Unsecured Notes, 1.875% due 6/22/25    238,358 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Technology - 1.8% - (continued)     
     NVIDIA Corp., Senior Unsecured Notes:     
$225,000   1.550% due 6/15/28   $221,843 
 895,000   2.850% due 4/1/30    950,314 
 2,200,000   NXP BV/NXP Funding LLC, Company Guaranteed Notes, 4.875% due 3/1/24(a)    2,365,814 
     Oracle Corp., Senior Unsecured Notes:     
 1,140,000   2.300% due 3/25/28    1,146,336 
 650,000   2.875% due 3/25/31    665,243 
 1,960,000   3.600% due 4/1/50    1,983,466 
 355,000   3.950% due 3/25/51    382,527 
 230,000   4.100% due 3/25/61    251,175 
     salesforce.com Inc., Senior Unsecured Notes:     
 220,000   3.250% due 4/11/23    227,131 
 1,185,000   1.950% due 7/15/31    1,174,371 
 60,000   Science Applications International Corp., Company Guaranteed Notes, 4.875% due 4/1/28(a)    61,350 
 95,000   Seagate HDD Cayman, Company Guaranteed Notes, 3.375% due 7/15/31(a)    90,369 
 4,580,000   TSMC Arizona Corp., Company Guaranteed Notes, 1.750% due 10/25/26    4,598,479 
 505,000   VMware Inc., Senior Unsecured Notes, 2.200% due 8/15/31    491,779 
 6,680,000   Xilinx Inc., Senior Unsecured Notes, 2.375% due 6/1/30    6,818,773 
     Total Technology    39,234,118 
Utilities - 2.4%     
 360,000   AEP Texas Inc., Senior Unsecured Notes, 3.450% due 1/15/50    376,414 
 200,000   AES Andes SA, Junior Subordinated Notes, 6.350% (5-Year CMT Index + 4.917%) due 10/7/79(a)(f)    197,502 
 300,000   AES Andres BV, Company Guaranteed Notes, 5.700% due 5/4/28(a)    305,625 
 425,000   Alabama Power Co., Senior Unsecured Notes, 3.450% due 10/1/49    459,297 
 1,065,000   American Water Capital Corp., Senior Unsecured Notes, 3.750% due 9/1/28    1,177,062 
     Berkshire Hathaway Energy Co., Senior Unsecured Notes:     
 775,000   6.125% due 4/1/36    1,058,898 
 1,100,000   5.950% due 5/15/37    1,506,606 
     Calpine Corp.:     
     Senior Unsecured Notes:     
 60,000   5.125%  due 3/15/28(a)    59,398 
 75,000   4.625%  due 2/1/29(a)    71,813 
 95,000   Senior Secured Notes, 4.500%  due 2/15/28(a)    94,483 
 200,000   Chile Electricity PEC SpA, Senior Secured Notes, zero coupon, due 1/25/28(a)    162,300 
 70,000   Cleco Corporate Holdings LLC, Senior Unsecured Notes, 4.973% due 5/1/46    87,169 
 360,000   Commonwealth Edison Co., 1st Mortgage Notes, 4.000% due 3/1/48    430,584 
 450,000   Consolidated Edison Co. of New York Inc., Senior Unsecured Notes, 3.200% due 12/1/51    457,314 
 470,000   Dominion Energy Inc., Senior Unsecured Notes, 3.900% due 10/1/25    508,266 
 500,000   Dominion Energy South Carolina Inc., 1st Mortgage Notes, 5.100% due 6/1/65    737,795 
 1,590,000   Duke Energy Carolinas LLC, 1st Mortgage Notes, 5.300% due 2/15/40    2,121,992 
     Duke Energy Corp., Senior Unsecured Notes:     
 5,000,000   0.900% due 9/15/25    4,867,701 
 720,000   2.650% due 9/1/26    745,979 
 1,035,000   2.550% due 6/15/31    1,029,993 
 210,000   Duke Energy Progress LLC, 1st Mortgage Notes, 2.000% due 8/15/31    206,007 
 195,600   Empresa Electrica Angamos SA, Senior Secured Notes, 4.875% due 5/25/29    185,820 
 600,000   Empresas Publicas de Medellin ESP, Senior Unsecured Notes, 4.375% due 2/15/31    564,906 
 705,000   Enel Finance International NV, Company Guaranteed Notes, 1.375% due 7/12/26(a)    690,447 
 495,000   Essential Utilities Inc., Senior Unsecured Notes, 3.351% due 4/15/50    526,377 
 880,000   Evergy Inc., Senior Unsecured Notes, 2.900% due 9/15/29    915,925 
 165,294   Fenix Power Peru SA, Senior Unsecured Notes, 4.317% due 9/20/27    168,808 
 510,000   Georgia Power Co., Senior Unsecured Notes, 2.100% due 7/30/23    519,293 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
Utilities - 2.4% - (continued)     
$900,000   Guacolda Energia SA, Senior Unsecured Notes, 4.560% due 4/30/25  $385,884 
 200,000   Inkia Energy Ltd., Senior Unsecured Notes, 5.875% due 11/9/27   203,252 
 750,000   ITC Holdings Corp., Senior Unsecured Notes, 2.950% due 5/14/30(a)   773,424 
 400,000   Korea East-West Power Co., Ltd., Senior Unsecured Notes, 1.750% due 5/6/25   404,428 
 90,000   Leeward Renewable Energy Operations LLC, Company Guaranteed Notes, 4.250% due 7/1/29(a)   89,100 
 717,360   LLPL Capital Pte Ltd., Senior Secured Notes, 6.875% due 2/4/39(a)   820,660 
     Minejesa Capital BV, Senior Secured Notes:     
 600,000   4.625% due 8/10/30   616,500 
 300,000   5.625% due 8/10/37   314,274 
 205,000   Monongahela Power Co., 1st Mortgage Notes, 5.400% due 12/15/43(a)   266,955 
     NextEra Energy Capital Holdings Inc., Company Guaranteed Notes:     
 445,000   2.750% due 5/1/25   463,329 
 1,175,000   2.250% due 6/1/30   1,168,109 
 1,375,000   NiSource Inc., Senior Unsecured Notes, 3.600% due 5/1/30   1,477,095 
 200,000   NRG Energy Inc., Company Guaranteed Notes, 3.625% due 2/15/31(a)   190,000 
 920,000   Oglethorpe Power Corp., 1st Mortgage Notes, 5.050% due 10/1/48   1,160,119 
 810,000   Oncor Electric Delivery Co. LLC, Senior Secured Notes, 2.750% due 5/15/30(a)   846,857 
     Pacific Gas & Electric Co.:     
     1st Mortgage Notes:     
 1,730,000   2.500%  due 2/1/31   1,653,161 
 540,000   4.950%  due 7/1/50   606,146 
     Senior Secured Notes:     
 265,000   1.367%  due 3/10/23   263,517 
 400,000   3.250%  due 6/1/31   402,408 
 140,000   PacifiCorp, 1st Mortgage Notes, 3.300% due 3/15/51   149,150 
 75,000   PG&E Corp., Senior Secured Notes, 5.000% due 7/1/28   77,250 
 140,000   Pike Corp., Company Guaranteed Notes, 5.500% due 9/1/28(a)   141,263 
     Puget Energy Inc., Senior Secured Notes:     
 735,000   3.650% due 5/15/25   778,342 
 395,000   4.100% due 6/15/30   428,978 
     Sempra Energy, Senior Unsecured Notes:     
 1,395,000   3.400% due 2/1/28   1,486,074 
 7,317,000   4.000% due 2/1/48   8,400,244 
 176,049   Southaven Combined Cycle Generation LLC, Secured Notes, 3.846% due 8/15/33   191,453 
     Southern California Edison Co.:     
     1st Mortgage Notes:     
 330,000   2.850%  due 8/1/29   340,997 
 5,000,000   4.875%  due 3/1/49   6,225,250 
 970,000   1st Ref Notes, 4.125%  due 3/1/48   1,103,873 
 2,125,000   Southern Co., Senior Unsecured Notes, 3.700% due 4/30/30   2,303,753 
     Total Utilities   53,965,619 
     TOTAL CORPORATE BONDS & NOTES     
     (Cost - $603,482,886)   593,489,815 
COLLATERALIZED MORTGAGE OBLIGATIONS - 24.3%     
 805,000   280 Park Avenue Mortgage Trust, Series 2017-280P, Class F, 2.917% (1-Month USD-LIBOR + 2.827%) due 9/15/34(a)(f)   797,430 
 1,481,039   510 Asset Backed Trust, Series 2021-NPL1, Class A1, step bond to yield, 2.240% due 6/25/61(a)(d)   1,473,912 
 456,844   Ajax Mortgage Loan Trust, Series 2021-C, Class A, step bond to yield, 2.115% due 1/25/61(a)(d)   453,555 
 750,000   Alen Mortgage Trust, Series 2021-ACEN, Class D, 3.190% (1-Month USD-LIBOR + 3.100%) due 4/15/34(a)(f)   749,295 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
COLLATERALIZED MORTGAGE OBLIGATIONS - 24.3% (continued)     
     Alternative Loan Trust:     
$738,606   Series 2005-28CB, Class 1A7, 5.500% due 8/25/35  $744,657 
 6,157,718   Series 2005-7CB, Class 2A2, 4.958% (1-Month USD-LIBOR + 5.050%) due 3/1/38(f)(g)   710,221 
 6,157,718   Series 2005-7CB, Class 2A5, 0.542% (1-Month USD-LIBOR + 0.450%) due 3/1/38(f)   5,072,879 
 4,843,820   Series 2006-OA2, Class A1, 0.511% (1-Month USD-LIBOR + 0.420%) due 5/20/46(f)   4,386,540 
 2,794,155   Series 2007-4CB, Class 1A1, 0.692% (1-Month USD-LIBOR + 0.600%) due 4/25/37(f)   2,235,337 
 6,699,560   Series 2007-9T1, Class 2A2, 6.000% due 5/25/37   4,406,654 
     Angel Oak Mortgage Trust:     
 795,338   Series 2020-R1, Class A1, 0.990% due 4/25/53(a)(f)   792,757 
 760,387   Series 2021-1, Class A1, 0.909% due 1/25/66(a)(f)   757,943 
 608,318   Series 2021-2, Class A1, 0.985% due 4/25/66(a)(f)   602,840 
 1,097,742   Series 2021-3, Class A1, 1.068% due 5/25/66(a)(f)   1,088,246 
 901,535   Series 2021-4, Class A1, 1.035% due 1/20/65(a)(f)   892,725 
 1,335,406   Series 2021-5, Class A1, 0.951% due 7/25/66(a)(f)   1,321,453 
 1,666,356   Series 2021-6, Class A1, 1.458% due 9/25/66(a)(f)   1,654,463 
     Angel Oak Mortgage Trust I LLC:     
 230,254   Series 2018-3, Class A1, 3.649% due 9/25/48(a)(f)   231,285 
 327,543   Series 2018-3, Class A2, 3.751% due 9/25/48(a)(f)   328,773 
 312,780   Series 2018-3, Class A3, 3.853% due 9/25/48(a)(f)   313,728 
     Arbor Multifamily Mortgage Securities Trust:     
 4,000,000   Series 2020-MF1, Class A5, 2.756% due 5/15/53(a)   4,181,995 
 5,485,000   Series 2021-MF2, Class A5, 2.513% due 6/15/54(a)   5,633,496 
 1,920,000   Series 2021-MF2, Class C, 2.809% due 6/15/54(a)(f)   1,919,110 
     BANK:     
 12,011,146   Series 2017-BNK4, Class XA, 1.541% due 5/15/50(f)(g)   639,113 
 15,881,047   Series 2018-BN10, Class XA, 0.850% due 2/15/61(f)(g)   609,626 
 7,540,000   Series 2020-BN30, Class A4, 1.925% due 12/15/53   7,385,374 
 12,695,091   Series 2021-BN32, Class XA, 0.892% due 4/15/54(f)(g)   731,934 
     BBCMS Mortgage Trust:     
 408,000   Series 2017-DELC, Class E, 2.590% (1-Month USD-LIBOR + 2.500%) due 8/15/36(a)(f)   403,906 
 407,000   Series 2017-DELC, Class F, 3.590% (1-Month USD-LIBOR + 3.500%) due 8/15/36(a)(f)   401,897 
$1,236,000   Series 2018-TALL, Class F, 3.325% (1-Month USD-LIBOR + 3.235%) due 3/15/37(a)(f)  $1,139,070 
 1,800,000   Series 2020-C6, Class A4, 2.639% due 2/15/53   1,863,422 
 1,482,367   Series 2020-C7, Class XA, 1.741% due 4/15/53(f)(g)   147,323 
 7,578,423   Series 2021-C11, Class XA, 1.510% due 9/15/54(f)(g)   779,241 
 11,248,000   Series 2021-C12, Class XA, 0.960% due 11/15/54(f)(g)   833,608 
 7,783,845   BBCMS Trust, Series 2021-C10, Class XA, 1.432% due 7/15/54(f)(g)   744,698 
 3,105,887   Bear Stearns ALT-A Trust, Series 2006-1, Class 21A2, 2.965% due 2/25/36(f)   2,583,804 
     Benchmark Mortgage Trust:     
 500,000   Series 2019-B15, Class A5, 2.928% due 12/15/72   527,992 
 2,371,788   Series 2020-B22, Class XA, 1.635% due 1/15/54(f)(g)   274,855 
     BRAVO Residential Funding Trust:     
 3,425,386   Series 2021-A, Class A1, step bond to yield, 1.991% due 12/31/49(a)   3,408,108 
 1,300,202   Series 2021-C, Class A1, step bond to yield, 1.620% due 3/1/61(a)   1,287,295 
 420,805   Series 2021-NQM1, Class A1, 0.941% due 2/25/49(a)(f)   420,956 
 583,171   Series 2021-NQM2, Class A1, 0.970% due 3/25/60(a)(f)   580,928 
 1,400,000   BX, Series 2021-MFM1, Class D, 1.590% (1-Month USD-LIBOR + 1.500%) due 1/15/34(a)(f)   1,384,291 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
COLLATERALIZED MORTGAGE OBLIGATIONS - 24.3% (continued)     
     BX Commercial Mortgage Trust:     
$5,214,000   Series 2018-BIOA, Class D, 1.411% (1-Month USD-LIBOR + 1.321%) due 3/15/37(a)(f)  $5,194,331 
 232,602   Series 2018-IND, Class E, 1.790% (1-Month USD-LIBOR + 1.700%) due 11/15/35(a)(f)   232,165 
 544,000   Series 2019-XL, Class D, 1.540% (1-Month USD-LIBOR + 1.450%) due 10/15/36(a)(f)   542,145 
 3,604,000   Series 2019-XL, Class E, 1.890% (1-Month USD-LIBOR + 1.800%) due 10/15/36(a)(f)   3,589,322 
 3,145,000   Series 2019-XL, Class F, 2.090% (1-Month USD-LIBOR + 2.000%) due 10/15/36(a)(f)   3,125,291 
 829,000   Series 2021-21M, Class H, 4.100% (1-Month USD-LIBOR + 4.010%) due 10/15/36(a)(f)   820,949 
 2,900,000   Series 2021-VOLT, Class C, 1.190% (1-Month USD-LIBOR + 1.100%) due 9/15/36(a)(f)   2,874,567 
 536,000   Series 2021-VOLT, Class E, 2.090% (1-Month USD-LIBOR + 2.000%) due 9/15/36(a)(f)   532,830 
 536,000   Series 2021-VOLT, Class F, 2.490% (1-Month USD-LIBOR + 2.400%) due 9/15/36(a)(f)   532,992 
 833,000   Series 2021-XL2, Class E, 1.936% (1-Month USD-LIBOR + 1.846%) due 10/15/38(a)(f)   821,008 
     BX Trust:     
 345,100   Series 2017-SLCT, Class E, 3.240% (1-Month USD-LIBOR + 3.150%) due 7/15/34(a)(f)   345,095 
 102,162   Series 2018-EXCL, Class A, 1.178% (1-Month USD-LIBOR + 1.088%) due 9/15/37(a)(f)   101,724 
 813,175   Series 2018-EXCL, Class C, 2.065% (1-Month USD-LIBOR + 1.975%) due 9/15/37(a)(f)   785,268 
 1,529,000   Series 2019-OC11, Class E, 4.075% due 12/9/41(a)(f)   1,526,314 
     CAMB Commercial Mortgage Trust:     
 366,000   Series 2019-LIFE, Class A, 1.159% (1-Month USD-LIBOR + 1.070%) due 12/15/37(a)(f)   365,423 
 5,900,000   Series 2021-CX2, Class C, 2.771% due 11/10/46(a)(f)   5,829,482 
 332,729   Cascade MH Asset Trust, Series 2021-MH1, Class A1, 1.753% due 2/25/46(a)   328,199 
     CD Mortgage Trust:     
 19,643,891   Series 2017-CD4, Class XA, 1.431% due 5/10/50(f)(g)   957,805 
 795,000   Series 2017-CD6, Class C, 4.407% due 11/13/50(f)   843,428 
 13,625,929   CFCRE Commercial Mortgage Trust, Series 2017-C8, Class XA, 1.661% due 6/15/50(f)(g)   897,814 
 3,489,000   CGDB Commercial Mortgage Trust, Series 2019-MOB, Class E, 2.090% (1-Month USD-LIBOR + 2.000%) due 11/15/36(a)(f)   3,440,899 
 1,633,078   CIM Trust, Series 2021-R6, Class A1, 1.425% due 7/25/61(a)(f)   1,612,649 
     Citigroup Commercial Mortgage Trust:     
 1,415,000   Series 2015-GC31, Class A4, 3.762% due 6/10/48   1,513,911 
 32,346,264   Series 2015-GC35, Class XA, 0.872% due 11/10/48(f)(g)   800,816 
 805,000   Series 2016-P4, Class B, 3.377% due 7/10/49   834,146 
 7,640,000   Series 2019-GC43, Class A4, 3.038% due 11/10/52   8,147,815 
 500,000   Series 2019-PRM, Class D, 4.350% due 5/10/36(a)   518,853 
 3,250,750   Cold Storage Trust, Series 2020-ICE5, Class B, 1.390% (1-Month USD-LIBOR + 1.300%) due 11/15/37(a)(f)   3,244,639 
     COLT Mortgage Loan Trust:     
 831,356   Series 2021-1, Class A1, 0.910% due 6/25/66(a)(f)   823,001 
 693,387   Series 2021-2, Class A1, 0.924% due 8/25/66(a)(f)   687,383 
 372,711   Series 2021-2R, Class A1, 0.798% due 7/27/54(a)(d)   371,759 
 1,311,472   Series 2021-3, Class A1, 0.956% due 9/27/66(a)(f)   1,295,935 
 1,824,183   Series 2021-HX1, Class A1, 1.110% due 10/25/66(a)(f)   1,810,301 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
COLLATERALIZED MORTGAGE OBLIGATIONS - 24.3% (continued)     
     Commercial Mortgage Trust:     
$193,079,275   Series 2013-CR9, Class XA, 0.072% due 7/10/45(f)(g)  $107,275 
 1,050,000   Series 2015-CR23, Class A4, 3.497% due 5/10/48   1,113,279 
 800,000   Series 2016-DC2, Class C, 4.827% due 2/10/49(f)   837,139 
 5,650,000   Series 2020-CX, Class A, 2.173% due 11/10/46(a)   5,603,693 
 1,150,000   Series 2020-CX, Class C, 2.773% due 11/10/46(a)(f)   1,145,598 
 3,750,000   Series 2020-SBX, Class C, 2.056% due 1/10/38(a)(f)   3,681,252 
     Credit Suisse Commercial Mortgage Capital Trust:     
 598,785   Series 2021-AFC1, Class A1, 0.830% due 3/25/56(a)(f)   592,662 
 725,706   Series 2021-NQM5, Class A1, 0.938% due 5/25/66(a)(f)   716,189 
 447,505   Series 2021-RPL4, Class A1, 1.796% due 12/27/60(a)(f)   448,433 
     Credit Suisse Mortgage Capital Certificates:     
 110,000   Series 2019-ICE4, Class D, 1.690% (1-Month USD-LIBOR + 1.600%) due 5/15/36(a)(f)   109,852 
 5,300,000   Series 2019-ICE4, Class E, 2.240% (1-Month USD-LIBOR + 2.150%) due 5/15/36(a)(f)   5,294,704 
     CSAIL Commercial Mortgage Trust:     
 1,985,982   Series 2015-C4, Class A3, 3.544% due 11/15/48   2,096,574 
 824,000   Series 2016-C7, Class B, 4.479% due 11/15/49(f)   884,100 
 1,205,000   Series 2018-C14, Class C, 5.088% due 11/15/51(f)   1,336,533 
 1,959,287   CSFB Mortgage-Backed Pass-Through Certificates, Series 2005-9, Class 5A6, 5.500% due 10/25/35   1,531,976 
     CSMC:     
 1,647,760   Series 2010-8R, Class 5A11, 5.219% due 2/26/37(a)(f)   1,657,434 
 555,000   Series 2020-NET, Class A, 2.257% due 8/15/37(a)   561,029 
 183,000   Series 2021-B33, Class A1, 3.053% due 10/10/43(a)   187,801 
 650,000   Series 2021-B33, Class A2, 3.167% due 10/10/43(a)   674,481 
 322,077   Series 2021-NQM1, Class A1, 0.809% due 5/25/65(a)(f)   320,915 
 1,265,826   Series 2021-NQM2, Class A1, 1.179% due 2/25/66(a)(f)   1,258,580 
 1,320,212   Series 2021-NQM4, Class A1, 1.101% due 5/25/66(a)(f)   1,309,915 
 1,863,426   Series 2021-NQM6, Class A1, 1.174% due 7/25/66(a)(f)   1,848,741 
     DBGS Mortgage Trust:     
 1,856,278   Series 2018-BIOD, Class B, 0.977% (1-Month USD-LIBOR + 0.888%) due 5/15/35(a)(f)   1,852,187 
 3,601,179   Series 2018-BIOD, Class E, 1.790% (1-Month USD-LIBOR + 1.700%) due 5/15/35(a)(f)   3,585,340 
     DBJPM Mortgage Trust:     
 21,195,000   Series 2017-C6, Class XB, 0.373% due 6/10/50(f)(g)   349,840 
 2,230,907   Series 2020-C9, Class XA, 1.830% due 9/15/53(f)(g)   211,838 
 610,000   DC Office Trust, Series 2019-MTC, Class A, 2.965% due 9/15/45(a)   641,569 
     Deephaven Residential Mortgage Trust:     
 305,116   Series 2021-1, Class A1, 0.715% due 5/25/65(a)(f)   303,460 
 380,700   Series 2021-2, Class A1, 0.899% due 4/25/66(a)(f)   378,230 
     Ellington Financial Mortgage Trust:     
 186,079   Series 2021-1, Class A1, 0.797% due 2/25/66(a)(f)   184,790 
 325,503   Series 2021-2, Class A1, 0.931% due 6/25/66(a)(f)   322,522 
 1,131,678   Series 2021-3, Class A1, 1.241% due 9/25/66(a)(f)   1,122,806 
     Federal Home Loan Mortgage Corp. (FHLMC). REMICS:     
 915,612   Series 3835, Class FO, –% due 4/15/41(h)   856,016 
 1,570,124   Series 4116, Class AP, 1.350% due 8/15/42   1,554,666 
 4,372,310   Series 4223, Class SB, 5.327% (1-Month USD-LIBOR + 5.431%) due 7/15/43(f)   4,571,724 
 952,853   Series 4447, Class IO, 5.000% due 3/15/45(g)   197,617 
 8,121,335   Series 4640, Class VB, 3.000% due 3/15/37   8,202,367 
 8,892,688   Series 4655, Class CZ, 3.000% due 2/15/47   9,276,869 
 20,761,087   Series 4726, Class Z, 3.500% due 10/15/47   22,209,509 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
COLLATERALIZED MORTGAGE OBLIGATIONS - 24.3% (continued)     
$5,896,311   Series 4892, Class ES, 6.058% (1-Month USD-LIBOR + 6.150%) due 7/25/45(f)(g)  $1,349,468 
     Federal National Mortgage Association (FNMA), Aces:     
 7,548,158   Series 2017-M2, Class A2, 2.877% due 2/25/27(f)   8,010,962 
 4,695,000   Series 2018-M14, Class A2, 3.700% due 8/25/28(f)   5,250,548 
 1,395,000   Series 2018-M7, Class A2, 3.160% due 3/25/28(f)   1,513,912 
 14,180,230   Series 2020-M15, Class X1, 1.687% due 9/25/31(f)(g)   1,729,303 
 20,953,594   Series 2020-M7, Class X2, 1.333% due 3/25/31(f)(g)   1,823,824 
     Federal National Mortgage Association (FNMA), REMICS:     
 166,293   Series 2011-51, Class TO, –% due 6/25/41(h)   152,964 
 1,072,000   Series 2013-62, Class PY, 2.500% due 6/25/43   1,105,382 
 2,140,731   Series 2013-72, Class IW, 3.500% due 7/25/33(g)   188,449 
 3,276,580   Series 2014-11, Class KZ, 2.500% due 10/25/41   3,341,017 
 1,228,304   Series 2015-55, Class PD, 2.500% due 3/25/43   1,248,536 
 746,310   Series 2017-105, Class ZE, 3.000% due 1/25/48   812,947 
 1,201,676   Series 2017-107, Class GA, 3.000% due 8/25/45   1,211,619 
 7,731,019   Series 2017-24, Class LG, 3.000% due 4/25/37   8,145,241 
 4,749,489   Series 2018-33, Class C, 3.000% due 5/25/48   4,870,641 
 2,075,396   Series 2018-38, Class LA, 3.000% due 6/25/48   2,162,176 
     FMC GMSR Issuer Trust:     
 4,000,000   Series 2021-GT1, Class A, 3.620% due 7/25/26(a)(f)   3,964,062 
 3,420,000   Series 2021-GT2, Class A, 3.850% due 10/25/26(a)(d)(f)   3,415,229 
     Freddie Mac Multifamily Structured Pass-Through Certificates:     
 109,620,169   Series K064, Class X1, 0.741% due 3/25/27(f)(g)   3,160,404 
 6,770,000   Series K084, Class A2, 3.780% due 10/25/28(f)   7,673,080 
 6,000,000   Series K085, Class A2, 4.060% due 10/25/28(f)   6,910,061 
 2,975,000   Series K088, Class A2, 3.690% due 1/25/29   3,370,945 
 14,981,253   Series K112, Class X1, 1.536% due 5/25/30(f)(g)   1,598,795 
 25,052,911   Series K116, Class X1, 1.531% due 7/25/30(f)(g)   2,617,548 
 58,704,008   Series K119, Class X1, 1.026% due 9/25/30(f)(g)   4,144,914 
 22,756,567   Series K120, Class X1, 1.133% due 10/25/30(f)(g)   1,788,341 
 41,743,431   Series K121, Class X1, 1.124% due 10/25/30(f)(g)   3,237,420 
 12,782,732   Series K122, Class X1, 0.974% due 11/25/30(f)(g)   872,813 
 23,957,987   Series K124, Class X1, 0.812% due 12/25/30(f)(g)   1,386,535 
 53,925,771   Series K125, Class X1, 0.677% due 1/25/31(f)(g)   2,527,140 
 30,193,896   Series K130, Class X1, 1.144% due 6/25/31(f)(g)   2,621,935 
 30,910,930   Series K-1519, Class X1, 0.706% due 12/25/35(f)(g)   2,005,294 
 5,500,000   Series KIR3, Class A2, 3.281% due 8/25/27   6,010,311 
 1,500,000   Series Q001, Class A3, 3.815% due 2/25/32   1,665,033 
 1,226,951   Freddie Mac Strips, Series 303, Class C10, 3.500% due 1/15/33(g)   133,593 
     FREMF Mortgage Trust:     
 2,000,000   Series 2019-K102, Class B, 3.651% due 12/25/51(a)(f)   2,108,958 
 3,980,000   Series 2019-K97, Class B, 3.893% due 9/25/51(a)(f)   4,334,856 
 1,885,000   Series 2020-K105, Class B, 3.530% due 3/25/53(a)(f)   1,976,206 
 1,177,259   FWDSecuritization Trust, Series 2019-INV1, Class A3, 3.110% due 6/25/49(a)(f)   1,192,713 
     GCAT Trust:     
 955,253   Series 2021-NQM1, Class A1, 0.874% due 1/25/66(a)(f)   948,090 
 739,132   Series 2021-NQM2, Class A1, 1.036% due 5/25/66(a)(f)   734,997 
 1,004,973   Series 2021-NQM3, Class A1, 1.091% due 5/25/66(a)(f)   998,243 
 1,242,553   Series 2021-NQM4, Class A1, 1.093% due 8/25/66(a)(f)   1,230,372 
 1,693,794   Series 2021-NQM5, Class A1, 1.262% due 7/25/66(a)(f)   1,676,363 
     Government National Mortgage Association (GNMA):     
 813,882   Series 2012-116, Class IB, 4.000% due 9/16/42(g)   166,188 
 1,595,811   Series 2012-32, Class Z, 3.500% due 3/20/42   1,693,738 
 16,013,864   Series 2021-129, Class IO, 0.987% due 6/16/63(f)(g)   1,362,163 
 23,897,716   Series 2021-184, Class IO, 0.955% due 12/16/61(f)(g)   2,032,431 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
COLLATERALIZED MORTGAGE OBLIGATIONS - 24.3% (continued)     
$16,690,556   Series 2021-30, Class IB, 2.500% due 2/20/51(g)  $2,404,777 
 20,468,499   Series 2021-35, Class IO, 1.015% due 12/16/62(f)(g)   1,792,834 
 22,319,188   Series 2021-52, Class IO, 0.816% due 4/16/63(f)(g)   1,658,867 
 20,720,046   Series 2021-58, Class SL, 3.659% (1-Month USD-LIBOR + 3.750%) due 4/20/51(f)(g)   2,160,411 
 22,249,256   Series 2021-79, Class IO, 0.923% due 8/16/63(f)   1,826,348 
     Great Wolf Trust:     
 500,000   Series 2019-WOLF, Class E, 2.822% (1-Month USD-LIBOR + 2.732%) due 12/15/36(a)(f)   483,706 
 500,000   Series 2019-WOLF, Class F, 3.221% (1-Month USD-LIBOR + 3.131%) due 12/15/36(a)(f)   484,759 
     GS Mortgage Securities Corp. Trust:     
 400,000   Series 2018-TWR, Class D, 1.690% (1-Month USD-LIBOR + 1.600%) due 7/15/31(a)(f)   387,935 
 400,000   Series 2018-TWR, Class E, 2.190% (1-Month USD-LIBOR + 2.100%) due 7/15/31(a)(f)   388,424 
 400,000   Series 2018-TWR, Class F, 2.890% (1-Month USD-LIBOR + 2.800%) due 7/15/31(a)(f)   382,038 
 400,000   Series 2018-TWR, Class G, 4.015% (1-Month USD-LIBOR + 3.925%) due 7/15/31(a)(f)   367,926 
 700,000   Series 2021-IP, Class D, 2.190% (1-Month USD-LIBOR + 2.100%) due 10/15/36(a)(f)   700,417 
     GS Mortgage Securities Trust:     
 705,000   Series 2015-GC30, Class A4, 3.382% due 5/10/50   745,575 
 10,383,509   Series 2017-GS7, Class XA, 1.258% due 8/10/50(f)(g)   497,528 
 1,400,000   Series 2018-GS9, Class A4, 3.992% due 3/10/51(f)   1,558,309 
 1,200,000   Series 2018-GS9, Class C, 4.505% due 3/10/51(f)   1,286,724 
 1,500,000   Series 2020-GC45, Class A5, 2.911% due 2/13/53   1,585,053 
 6,013,375   HarborView Mortgage Loan Trust, Series 2006-14, Class 2A1A, 0.239% (1-Month USD-LIBOR + 0.150%) due 1/25/47(f)   5,680,265 
 1,011,224   HPLY Trust, Series 2019-HIT, Class F, 3.240% (1-Month USD-LIBOR + 3.150%) due 11/15/36(a)(f)  980,808 
     Imperial Fund Mortgage Trust:     
 666,090   Series 2021-NQM2, Class A1, 1.073% due 9/25/56(a)(f)   660,658 
 1,057,049   Series 2021-NQM3, Class A1, 1.595% due 11/25/56(a)(f)   1,052,114 
     IMT Trust:     
 4,689,388   Series 2017-APTS, Class BFL, 1.040% (1-Month USD-LIBOR + 0.950%) due 6/15/34(a)(f)   4,684,276 
 2,309,489   Series 2017-APTS, Class CFL, 1.190% (1-Month USD-LIBOR + 1.100%) due 6/15/34(a)(f)   2,309,823 
 33,247   JP Morgan Chase Commercial Mortgage Securities Corp., Series 2017-FL10, Class D, 1.990% (1-Month USD-LIBOR + 1.900%) due 6/15/32(a)(f)   33,212 
     JP Morgan Chase Commercial Mortgage Securities Trust:     
 805,000   Series 2018-WPT, Class FFX, 5.542% due 7/5/33(a)(f)   812,031 
 1,950,000   Series 2019-OSB, Class A, 3.397% due 6/5/39(a)   2,108,207 
 823,000   Series 2020-ACE, Class C, 3.817% due 1/10/37(a)(f)   784,250 
 805,000   Series 2020-LOOP, Class E, 3.990% due 12/5/38(a)(f)   762,669 
     JP Morgan Mortgage Trust:     
 3,028,934   Series 2006-S1, Class 2A9, 6.500% due 4/25/36   3,143,354 
 6,849,723   Series 2006-S4, Class A7, 6.000% due 1/25/37   4,195,794 
 1,594,050   Series 2021-3, Class B1, 2.953% due 7/1/51(a)(f)   1,642,274 
     JPMBB Commercial Mortgage Securities Trust:     
 380,000   Series 2014-C26, Class C, 4.519% due 1/15/48(f)   387,356 
 1,667,000   Series 2015-C27, Class C, 4.444% due 2/15/48(f)   1,685,901 
 2,200,000   Series 2015-C28, Class A4, 3.227% due 10/15/48   2,302,950 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
COLLATERALIZED MORTGAGE OBLIGATIONS - 24.3% (continued)     
$1,205,000   Series 2015-C28, Class C, 4.262% due 10/15/48(f)  $1,219,524 
 529,000   Series 2016-C1, Class A5, 3.576% due 3/15/49   566,442 
 1,100,000   JPMCC Commercial Mortgage Securities Trust, Series 2017-JP6, Class A5, 3.490% due 7/15/50   1,184,725 
 1,123,000   JPMDB Commercial Mortgage Securities Trust, Series 2020-COR7, Class B, 3.294% due 5/13/53(f)   1,188,129 
     Legacy Mortgage Asset Trust:     
 447,020   Series 2021-GS2, Class A1, step bond to yield, 1.750% due 4/25/61(a)   444,009 
 564,018   Series 2021-GS3, Class A1, step bond to yield, 1.750% due 7/25/61(a)   559,951 
 300,158   Series 2021-GS4, Class A1, step bond to yield, 1.650% due 11/25/60(a)   297,148 
 3,955,318   Lehman XS Trust, Series 2007-4N, Class 1A3, 0.332% (1-Month USD-LIBOR + 0.240%) due 3/25/47(f)   3,921,393 
 3,235,000   Life Mortgage Trust, Series 2021-BMR, Class D, 1.490% (1-Month USD-LIBOR + 1.400%) due 3/15/38(a)(f)   3,205,624 
 829,000   Med Trust, Series 2021-MDLN, Class G, 5.350% (1-Month USD-LIBOR + 5.250%) due 11/15/38(a)(f)   823,812 
 6,324,225   Merrill Lynch Mortgage Investors Trust, Series 2006-AF1, Class AF1, 5.750% due 8/25/36   3,674,468 
 642,389   MFA Trust, Series 2021-NQM1, Class A1, 1.153% due 4/25/65(a)(f)   640,091 
 635,841   MFRA Trust, Series 2021-NQM2, Class A1, 1.029% due 11/25/64(a)(f)   631,937 
     Morgan Stanley Bank of America Merrill Lynch Trust:     
 2,000,000   Series 2014-C17, Class C, 4.637% due 8/15/47(f)   2,073,420 
 16,860,795   Series 2014-C19, Class XA, 1.113% due 12/15/47(f)(g)   396,045 
 2,583,782   Series 2015-C20, Class A4, 3.249% due 2/15/48   2,710,778 
 1,405,000   Series 2015-C26, Class A5, 3.531% due 10/15/48   1,500,648 
 1,652,000   Series 2016-C31, Class C, 4.432% due 11/15/49(f)   1,691,835 
     Morgan Stanley Capital I Trust:     
 16,189,613   Series 2016-UB11, Class XA, 1.634% due 8/15/49(f)(g)   858,961 
 13,279,590   Series 2016-UB12, Class XA, 0.846% due 12/15/49(f)(g)   353,374 
 467,000   Series 2018-SUN, Class A, 0.990% (1-Month USD-LIBOR + 0.900%) due 7/15/35(a)(f)   466,263 
 1,356,000   Series 2019-H7, Class AS, 3.524% due 7/15/52   1,454,327 
 583,000   Series 2019-H7, Class B, 3.725% due 7/15/52   620,101 
 22,068,858   Series 2019-L3, Class XA, 0.763% due 11/15/52(f)(g)   976,229 
 7,782,169   Series 2020-HR8, Class XA, 1.970% due 7/15/53(f)(g)   1,032,093 
 806,000   Series 2020-L4, Class B, 3.082% due 2/15/53   828,958 
 2,291,985   Morgan Stanley Residential Mortgage Loan Trust, Series 2020-RPL1, Class A1, 2.693% due 10/25/60(a)(f)   2,289,064 
 1,321,000   MRCD Mortgage Trust, Series 2019-PARK, Class G, 2.718% due 12/15/36(a)   1,246,634 
     New Residential Mortgage Loan Trust:     
 1,178,964   Series 2020-RPL2, Class A1, 3.578% due 8/25/25(a)(f)   1,191,726 
 572,146   Series 2021-NQ1R, Class A1, 0.943% due 7/25/55(a)(f)   568,825 
 465,008   Series 2021-NQ2R, Class A1, 0.941% due 10/25/58(a)(f)   463,505 
 1,719,727   Series 2021-NQM3, Class A1, 1.156% due 11/27/56(a)(f)   1,715,143 
 1,339,807   NMLT Trust, Series 2021-INV1, Class A1, 1.185% due 5/25/56(a)(f)   1,326,043 
     OBX Trust:     
 1,166,846   Series 2021-NQM1, Class A1, 1.072% due 2/25/66(a)(f)   1,154,819 
 830,644   Series 2021-NQM3, Class A1, 1.054% due 7/25/61(a)(f)   822,635 
     PMT Credit Risk Transfer Trust:     
 1,190,799   Series 2019-2R, Class A, 2.840% (1-Month USD-LIBOR + 2.750%) due 5/27/23(a)(f)   1,179,538 
 710,569   Series 2019-3R, Class A, 2.790% (1-Month USD-LIBOR + 2.700%) due 10/27/22(a)(f)   710,634 
 1,722,545   PRET LLC, Series 2021-RN3, Class A1, step bond to yield, 1.843% due 9/25/51(a)   1,709,472 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
COLLATERALIZED MORTGAGE OBLIGATIONS - 24.3% (continued)     
$1,566,192   Pretium Mortgage Credit Partners LLC, Series 2021-RN1, Class A1, step bond to yield, 1.992% due 2/25/61(a)  $1,550,819 
     PRPM LLC:     
 2,527,970   Series 2021-2, Class A1, 2.115% due 3/25/26(a)(f)   2,514,867 
 665,279   Series 2021-3, Class A1, step bond to yield, 1.867% due 4/25/26(a)(d)   662,691 
 867,545   Series 2021-4, Class A1, step bond to yield, 1.867% due 4/25/26(a)   860,092 
 802,560   Series 2021-5, Class A1, step bond to yield, 1.793% due 6/25/26(a)   796,578 
 852,604   Series 2021-6, Class A1, step bond to yield, 1.793% due 7/25/26(a)   846,682 
 4,688,410   Series 2021-7, Class A1, step bond to yield, 1.867% due 8/25/26(a)   4,647,961 
 864,482   Series 2021-8, Class A1, 1.743% due 9/25/26(a)(f)   855,912 
 2,197,573   Series 2021-9, Class A1, 2.363% due 10/25/26(a)(f)   2,184,878 
 338,181   Series 2021-RPL1, Class A1, 1.319% due 7/25/51(a)(f)   334,181 
 1,452,837   Rali Trust, Series 2005-QS13, Class 1A3, 5.500% due 9/25/35   1,432,150 
 636,539   RCO VII Mortgage LLC, Series 2021-1, Class A1, step bond to yield, 1.868% due 5/26/26(a)   634,463 
 4,241,746   Residential Asset Securitization Trust, Series 2005-A8CB, Class A6, 5.000% due 7/25/35   3,263,468 
     Residential Mortgage Loan Trust:     
 3,100,000   Series 2020-1, Class M1, 3.242% due 2/25/24(a)(f)   3,152,593 
 500,969   Series 2021-1R, Class A1, 0.859% due 1/25/65(a)(f)   498,993 
     Seasoned Credit Risk Transfer Trust:     
 468,141   Series 2019-1, Class MA, 3.500% due 7/25/58   488,580 
 629,912   Series 2019-1, Class MT, 3.500% due 7/25/58   668,828 
 5,800,649   Series 2019-4, Class MV, 3.000% due 2/25/59   6,153,107 
 782,801   Series 2020-1, Class MT, 2.500% due 8/25/59   808,627 
 7,754,195   Series 2020-2, Class MT, 2.000% due 11/25/59   7,775,975 
 7,830,126   Series 2020-3, Class M5TW, 3.000% due 5/25/60   8,212,246 
 6,280,617   Seasoned Loans Structured Transaction Trust, Series 2020-2, Class A1D, 1.750% due 9/25/30   6,319,602 
 3,640,000   SFAVE Commercial Mortgage Securities Trust, Series 2015-5AVE, Class B, 4.534% due 1/5/43(a)(f)  3,690,516 
 165,000   SG Commercial Mortgage Securities Trust, Series 2016-C5, Class B, 3.933% due 10/10/48   170,210 
     SG Residential Mortgage Trust:     
 1,265,928   Series 2021-1, Class A1, 1.160% due 7/25/61(a)(f)   1,254,692 
 5,238,000   Series 2021-2, Class B1, 4.038% due 12/25/61(a)(f)   5,152,480 
 795,000   Soho Trust, Series 2021-SOHO, Class B, 2.786% due 8/10/38(a)(f)   752,028 
 1,022,809   STAR Trust, Series 2021-1, Class A1, 1.219% due 5/25/65(a)(f)   1,020,667 
     Starwood Mortgage Residential Trust:     
 380,030   Series 2021-2, Class A1, 0.943% due 5/25/65(a)(f)   377,853 
 1,239,177   Series 2021-3, Class A1, 1.127% due 6/25/56(a)(f)   1,227,935 
 1,623,659   Series 2021-4, Class A1, 1.162% due 8/25/56(a)(f)   1,613,799 
 3,480,000   STWD Trust, Series 2021-FLWR, Class D, 1.465% (1-Month USD-LIBOR + 1.375%) due 7/15/36(a)(f)   3,428,766 
 840,000   Toorak Mortgage Corp. Ltd., Series 2021-1, Class A1, step bond to yield, 2.240% due 6/25/24(a)   836,864 
 1,631,257   Towd Point Mortgage Trust, Series 2021-R1, Class A1, 2.918% due 11/30/60(a)(f)   1,637,099 
 700,000   Triangle Re Ltd., Series 2021-3, Class M1A, 1.950% (SOFR30A + 1.900%) due 2/25/34(a)(f)   699,649 
 599,643   TRK Trust, Series 2021-INV1, Class A1, 1.153% due 7/25/56(a)(f)   594,941 
     UBS Commercial Mortgage Trust:     
 4,600,253   Series 2017-C1, Class XA, 1.690% due 6/15/50(f)(g)   307,061 
 1,815,000   Series 2017-C7, Class A3, 3.418% due 12/15/50   1,933,042 
 3,995,819   UBS-Barclays Commercial Mortgage Trust, Series 2013-C5, Class XA, 1.038% due 3/10/46(a)(f)(g)   24,730 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
COLLATERALIZED MORTGAGE OBLIGATIONS - 24.3% (continued)     
     VCAT LLC:     
$274,817   Series 2021-NPL2, Class A1, step bond to yield, 2.115% due 3/27/51(a)(d)  $274,800 
 812,098   Series 2021-NPL3, Class A1, step bond to yield, 1.743% due 5/25/51(a)   805,264 
 1,237,692   Series 2021-NPL4, Class A1, step bond to yield, 1.868% due 8/25/51(a)   1,233,821 
     Verus Securitization Trust:     
 6,400,000   Series 2019-INV2, Class M1, 3.499% due 7/25/59(a)(f)   6,440,944 
 3,814,000   Series 2021-1, Class B1, 2.977% due 1/25/66(a)(f)   3,785,780 
 511,504   Series 2021-2, Class A1, 1.031% due 2/25/66(a)(f)   507,942 
 593,278   Series 2021-4, Class A1, 0.938% due 7/25/66(a)(f)   586,751 
 1,495,091   Series 2021-5, Class A1, 1.013% due 9/25/66(a)(f)   1,473,833 
 1,600,644   Series 2021-6, Class A1, 1.630% due 10/25/66(a)(f)   1,599,844 
 1,710,000   Series 2021-7, Class A1, 1.829% due 10/25/66(a)(f)   1,709,385 
 547,447   Series 2021-R1, Class A1, 0.820% due 10/25/63(a)(f)   545,984 
 604,263   Series 2021-R2, Class A1, 0.918% due 2/25/64(a)(f)   601,736 
 496,811   VOLT C LLC, Series 2021-NPL9, Class A1, step bond to yield, 1.992% due 5/25/51(a)   495,127 
 1,069,937   VOLT XCIII LLC, Series 2021-NPL2, Class A1, step bond to yield, 1.893% due 2/27/51(a)(d)   1,063,492 
 2,318,349   VOLT XCVII LLC, Series 2021-NPL6, Class A1, step bond to yield, 2.240% due 4/25/51(a)   2,309,454 
 274,170   VOLT XCVIII LLC, Series 2021-NPL7, Class A1, step bond to yield, 2.116% due 4/25/51(a)   273,798 
     Wells Fargo Commercial Mortgage Trust:     
 1,400,000   Series 2016-BNK1, Class A3, 2.652% due 8/15/49   1,451,170 
 9,919,497   Series 2017-C38, Class XA, 1.160% due 7/15/50(f)(g)   435,880 
 800,000   Series 2018-C45, Class ASB, 4.147% due 6/15/51   876,296 
 806,000   Series 2020-C55, Class AS, 2.937% due 2/15/53   832,271 
 9,291,284   Series 2020-C58, Class XA, 2.006% due 7/15/53(f)(g)   1,214,199 
 3,454,283   Series 2021-SAVE, Class D, 2.590% (1-Month USD-LIBOR + 2.500%) due 2/15/40(a)(f)   3,455,179 
     TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS     
     (Cost - $559,436,778)   544,854,730 
U.S. GOVERNMENT OBLIGATIONS - 22.4%     
     U.S. Treasury Bonds:     
 4,200,000   1.250% due 11/30/26   4,218,703 
 4,365,000   1.750% due 8/15/41   4,285,202 
 5,510,000   3.125% due 2/15/43   6,730,809 
 7,785,000   3.625% due 2/15/44   10,288,668 
 12,905,000   3.375% due 5/15/44   16,493,195 
 1,390,000   2.250% due 8/15/46   1,501,743 
 8,500,000   3.000% due 2/15/48   10,622,012 
 7,800,000   3.125% due 5/15/48   9,981,563 
 34,300,000   1.875% due 2/15/51   34,873,453 
 45,055,000   2.375% due 5/15/51   51,102,226 
     U.S. Treasury Inflation Indexed Bonds:     
 1,750,010   0.875% due 2/15/47   2,395,098 
 331,887   0.125% due 2/15/51   398,105 
 2,444,699   U.S. Treasury Inflation Indexed Notes, 0.125% due 7/15/30   2,737,840 
     U.S. Treasury Notes:     
 63,900,000   0.125% due 11/30/22   63,810,141 
 6,760,000   0.125% due 4/30/23   6,734,650 
 13,960,000   0.125% due 5/31/23   13,898,925 
 17,900,000   0.500% due 11/30/23   17,881,121 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
U.S. GOVERNMENT OBLIGATIONS - 22.4% (continued)     
$55,095,000   0.125% due 12/15/23 (i)  $54,584,941 
 16,420,000   0.250% due 5/15/24   16,237,199 
 6,400,000   2.125% due 7/31/24   6,631,500 
 3,700,000   0.750% due 11/15/24   3,691,328 
 31,060,000   0.250% due 8/31/25   30,176,731 
 12,600,000   2.250% due 11/15/25   13,187,672 
 19,340,000   0.375% due 11/30/25   18,816,460 
 26,185,000   0.750% due 4/30/26   25,773,814 
 10,200,000   0.625% due 7/31/26   9,962,133 
 3,326,000   2.750% due 2/15/28   3,616,505 
 3,650,000   1.250% due 4/30/28   3,634,316 
 18,880,000   2.875% due 5/15/28   20,700,150 
 16,800,000   1.500% due 11/30/28   16,947,000 
 15,135,000   1.625% due 5/15/31   15,428,241 
 5,300,000   1.375% due 11/15/31   5,267,703 
     TOTAL U.S. GOVERNMENT OBLIGATIONS     
     (Cost - $497,745,126)   502,609,147 
MORTGAGE-BACKED SECURITIES - 21.3%     
FHLMC - 2.9%     
     Federal Home Loan Mortgage Corp. (FHLMC)., Gold:     
 12,107,362   3.000% due 3/1/35  - 4/1/50   12,739,153 
 3,871,040   3.030% due 1/1/50   4,236,546 
 15,920,772   3.500% due 12/1/46  - 1/1/48   17,130,755 
 71,514   4.000% due 12/1/47   76,658 
     Federal Home Loan Mortgage Corp. (FHLMC)., Gold UMBS:     
 7,244,665   2.000% due 3/1/51   7,255,276 
 6,915,487   2.500% due 12/1/51   7,096,394 
 9,431,390   3.000% due 2/1/33  - 8/1/51   9,855,055 
 2,708,364   3.500% due 8/1/43  - 8/1/51   2,885,121 
 2,128,909   4.000% due 10/1/44  - 12/1/47   2,302,640 
 535,453   4.500% due 5/1/48   575,909 
     TOTAL FHLMC   64,153,507 
FNMA - 16.0%     
     Federal National Mortgage Association (FNMA) UMBS:     
 780,000   1.500% due 12/1/51 (j)   754,041 
 32,577,578   2.000% due 8/1/50  - 11/1/51   32,687,703 
 114,890,000   2.000% due 12/1/51  - 1/1/52(j)   114,858,286 
 71,861,744   2.500% due 6/1/30  - 12/1/51   74,052,585 
 34,669,000   2.500% due 12/1/36  - 1/1/52(j)   35,538,653 
 27,404,996   3.000% due 2/1/30  - 10/1/51   28,840,085 
 16,460,000   3.000% due 12/1/51 (j)   17,091,395 
 5,564,092   3.500% due 7/1/32  - 7/1/50   5,909,121 
 5,681,000   3.500% due 12/1/51 (j)   5,972,595 
 1,692,023   4.000% due 11/1/38  - 2/1/48   1,827,868 
 435,000   4.000% due 12/1/51 (j)   463,547 
 747,393   4.500% due 5/1/48  - 6/1/48   805,611 
 2,194,000   4.500% due 12/1/51 (j)   2,357,264 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
MORTGAGE-BACKED SECURITIES - 21.3% (continued)    
FNMA - 16.0% (continued)     
     Federal National Mortgage Association (FNMA):     
$13,000,000   1.960% due 9/1/33   $13,028,371 
 1,695,198   2.490% due 9/1/28    1,789,275 
 2,605,497   2.551% due 5/1/44 (f)   2,700,190 
 4,443,000   2.760% due 9/1/31    4,841,242 
 5,098,805   3.000% due 4/1/53    5,460,401 
 8,500,000   3.710% due 8/1/30    9,700,386 
     TOTAL FNMA   358,678,619 
GNMA - 2.4%     
     Government National Mortgage Association (GNMA):     
 975,000   2.000% due 12/1/51 (j)   987,645 
 9,405,000   2.500% due 12/1/51 (j)   9,662,903 
 12,360,000   3.000% due 1/1/52  - 12/1/52(j)   12,812,962 
 6,010,000   3.500% due 12/1/51 (j)   6,277,163 
 1,485,000   4.500% due 12/1/51 (j)   1,576,478 
     Government National Mortgage Association (GNMA) II:     
 8,763,671   2.500% due 8/20/51  - 10/20/51   9,014,458 
 1,328,080   3.000% due 4/20/31  - 12/20/50   1,395,736 
 2,630,737   3.000% due 12/20/51 (d)   2,742,320 
 2,490,171   3.500% due 8/20/42  - 9/20/50   2,636,005 
 3,590,755   4.000% due 10/20/44  - 3/20/49   3,842,127 
 1,631,135   4.500% due 2/20/40  - 8/20/49   1,767,486 
     TOTAL GNMA   52,715,283 
     TOTAL MORTGAGE-BACKED SECURITIES     
     (Cost - $473,543,739)   475,547,409 
ASSET-BACKED SECURITIES - 9.7%     
 1,000,000   37 Capital CLO I, Series 2021-1A, Class A, 1.403% (3-Month USD-LIBOR + 1.200%) due 10/15/34(a)(d)(f)   999,747 
 1,678,745   Aaset Trust, Series 2019-2, Class A, 3.376% due 10/16/39(a)   1,615,968 
 1,677,850   AASET US Ltd., Series 2018-1A, Class A, 3.844% due 1/16/38(a)   1,478,272 
 1,600,000   AIG CLO, Series 2021-1A, Class A, 1.228% (3-Month USD-LIBOR + 1.100%) due 4/22/34(a)(f)   1,600,891 
 3,000,000   Aimco CLO 15 Ltd., Series 2021-15A, Class A, 1.212% (3-Month USD-LIBOR + 1.120%) due 10/17/34(a)(f)   2,996,454 
 500,000   Allegro CLO X Ltd., Series 2019-1A, Class AR, 1.282% (3-Month USD-LIBOR + 1.150%) due 7/20/32(a)(f)   500,296 
 500,000   ALM 2020 Ltd., Series 2020-1A, Class A2, 1.974% (3-Month USD-LIBOR + 1.850%) due 10/15/29(a)(f)   498,228 
 4,000,000   AMSR Trust, Series 2020-SFR4, Class E2, 2.456% due 11/17/37(a)   3,922,784 
 1,000,000   Anchorage Capital CLO 4-R Ltd., Series 2014-4RA, Class B, 1.636% (3-Month USD-LIBOR + 1.500%) due 1/28/31(a)(f)   1,001,080 
 500,000   Apidos CLO XII, Series 2013-12A, Class CR, 1.924% (3-Month USD-LIBOR + 1.800%) due 4/15/31(a)(f)   495,074 
 260,000   Arbor Realty Commercial Real Estate Notes Ltd., Series 2021-FL2, Class A, 1.190% (1-Month USD-LIBOR + 1.100%) due 5/15/36(a)(f)   259,268 
 1,574,013   Asset Backed Securities Corp. Home Equity Loan Trust, Series 2007-HE2, Class A4, 0.322% (1-Month USD-LIBOR + 0.230%) due 5/25/37(f)   1,287,861 
 500,000   Assurant CLO Ltd., Series 2019-5A, Class A1, 1.514% (3-Month USD-LIBOR + 1.390%) due 1/15/33(a)(f)   500,270 
 570,000   Avant Loans Funding Trust, Series 2021-REV1, Class A, 1.210% due 7/15/30(a)   566,361 
     Avis Budget Rental Car Funding AESOP LLC:     
 5,915,000   Series 2017-1A, Class A, 3.070% due 9/20/23(a)   6,002,572 
 410,000   Series 2017-2A, Class A, 2.970% due 3/20/24(a)   420,292 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security   Value 
ASSET-BACKED SECURITIES - 9.7% (continued)    
$1,440,000   Bain Capital Credit CLO, Series 2019-1A, Class AR, 1.254% (3-Month USD-LIBOR + 1.130%) due 4/19/34(a)(f)  $1,439,636 
     Bain Capital Credit CLO Ltd.:     
 1,660,000   Series 2017-2A, Class AR2, 1.304% (3-Month USD-LIBOR + 1.180%) due 7/25/34(a)(f)   1,660,541 
 1,000,000   Series 2019-3A, Class B2, 2.000% (3-Month USD-LIBOR + 1.870%) due 10/21/32(a)(f)   1,000,075 
 2,000,000   Series 2020-2A, Class AR, 1.294% (3-Month USD-LIBOR + 1.170%) due 7/19/34(a)(f)   1,999,994 
 1,000,000   Battalion CLO XI Ltd., Series 2017-11A, Class AR, 1.274% (3-Month USD-LIBOR + 1.150%) due 4/24/34(a)(f)   999,747 
 311,458   BHG Securitization Trust, Series 2021-B, Class A, 0.900% due 10/17/34(a)   310,227 
 1,085,000   BlueMountain CLO XXIV Ltd., Series 2019-24A, Class AR, 1.232% (3-Month USD-LIBOR + 1.100%) due 4/20/34(a)(f)   1,085,298 
 2,055,000   BlueMountain CLO XXXI Ltd., Series 2021-31A, Class A1, 1.274% (3-Month USD-LIBOR + 1.150%) due 4/19/34(a)(f)   2,056,418 
 775,000   BSPRT Issuer Ltd., Series 2021-FL6, Class A, 1.190% (1-Month USD-LIBOR + 1.100%) due 3/15/36(a)(f)   775,000 
 1,973,747   Carlyle Global Market Strategies CLO Ltd., Series 2014-3RA, Class A1A, 1.185% (3-Month USD-LIBOR + 1.050%) due 7/27/31(a)(f)   1,972,365 
     Carlyle US CLO Ltd.:     
 765,000   Series 2021-2A, Class A1, 1.212% (3-Month USD-LIBOR + 1.080%) due 4/20/34(a)(f)   765,529 
 1,537,000   Series 2021-3SA, Class A1, 1.184% (3-Month USD-LIBOR + 1.060%) due 4/15/34(a)(f)   1,538,058 
 1,700,000   Carmax Auto Owner Trust, Series 2021-1, Class C, 0.940% due 12/15/26   1,674,292 
 1,842,384   Carrington Mortgage Loan Trust, Series 2006-NC4, Class A3, 0.252% (1-Month USD-LIBOR + 0.160%) due 10/25/36(f)   1,810,181 
 1,188,828   Castlelake Aircraft Securitization Trust, Series 2018-1, Class A, 4.125% due 6/15/43(a)   1,174,804 
 500,000   CBAM Ltd., Series 2019-10A, Class A1R, 1.252% (3-Month USD-LIBOR + 1.120%) due 4/20/32(a)(f)   499,874 
 4,948,511   C-BASS Trust, Series 2006-CB9, Class A4, 0.322% (1-Month USD-LIBOR + 0.230%) due 11/25/36(f)   3,053,295 
 2,660,000   Cedar Funding IV CLO Ltd., Series 2014-4A, Class ARR, 1.284% (3-Month USD-LIBOR + 1.160%) due 7/23/34(a)(f)   2,660,428 
 3,000,000   Cedar Funding VIII CLO Ltd., Series 2017-8A, Class A1R, 1.272% (3-Month USD-LIBOR + 1.150%) due 10/17/34(a)(f)   2,999,241 
 112,293   CF Hippolyta LLC, Series 2021-1A, Class B1, 1.980% due 3/15/61(a)   111,226 
 6,074,032   CLI Funding VIII LLC, Series 2021-1A, Class A, 1.640% due 2/18/46(a)   5,940,354 
 465,000   Credit Acceptance Auto Loan Trust, Series 2021-3A, Class A, 1.000% due 5/15/30(a)   462,123 
 4,839,597   Credit-Based Asset Servicing & Securitization LLC, Series 2006-CB4, Class AV4, 0.572% (1-Month USD-LIBOR + 0.480%) due 5/25/36(f)   3,960,983 
 681,575   Domino's Pizza Master Issuer LLC, Series 2021-1A, Class A2I, 2.662% due 4/25/51(a)   685,670 
 2,000,000   Dryden 53 CLO Ltd., Series 2017-53A, Class A, 1.244% (3-Month USD-LIBOR + 1.120%) due 1/15/31(a)(f)   1,998,000 
 500,000   Dryden 75 CLO Ltd., Series 2019-75A, Class AR2, 1.164% (3-Month USD-LIBOR + 1.040%) due 4/15/34(a)(f)   500,275 
     Exeter Automobile Receivables Trust:     
 600,000   Series 2021-1A, Class D, 1.080% due 11/16/26   593,687 
 900,000   Series 2021-1A, Class E, 2.210% due 2/15/28(a)   887,341 
 6,087,929   First Franklin Mortgage Loan Trust, Series 2007-FF2, Class A1, 0.232% (1-Month USD-LIBOR + 0.140%) due 3/25/37(f)   4,132,963 
 2,685,000   Ford Credit Auto Lease Trust, Series 2021-A, Class C, 0.780% due 9/15/25   2,667,561 
     Ford Credit Auto Owner Trust:     
 6,750,000   Series 2020-1, Class C, 2.540% due 8/15/31(a)   6,903,307 
 3,650,000   Series 2020-2, Class C, 1.740% due 4/15/33(a)   3,615,867 
 289,513   FREED ABS Trust, Series 2021-3FP, Class A, 0.620% due 11/20/28(a)   289,232 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security   Value 
ASSET-BACKED SECURITIES - 9.7% (continued)     
$1,690,000   FS Rialto, Series 2021-FL3, Class A, 1.339% (1-Month USD-LIBOR + 1.250%) due 11/16/36(a)(f)  $1,690,505 
 560,000   FS RIALTO, Series 2021-FL2, Class A, 1.309% (1-Month USD-LIBOR + 1.220%) due 4/16/28(a)(f)  558,957 
     Generate CLO 6 Ltd.:     
 4,000,000   Series 6A, Class A1, 1.478% (3-Month USD-LIBOR + 1.350%) due 7/22/32(a)(f)   4,000,502 
 2,500,000   Series 6A, Class A1R, 1.370% (3-Month USD-LIBOR + 1.200%) due 1/22/35(a)(d)(f)   2,500,000 
 500,000   Generate CLO 9 LTD, Series 9A, Class A, 1.328% (3-Month USD-LIBOR + 1.200%) due 10/20/34(a)(f)   499,406 
     GM Financial Automobile Leasing Trust:     
 500,000   Series 2020-1, Class D, 2.280% due 6/20/24   505,902 
 1,000,000   Series 2020-2, Class D, 3.210% due 12/20/24   1,028,236 
 2,750,000   GM Financial Consumer Automobile Receivables Trust, Series 2021-1, Class C, 1.040% due 5/17/27   2,714,034 
 1,500,000   GoodLeap Sustainable Home Solutions Trust, Series 2021-5CS, Class C, 3.500% due 10/20/48(a)   1,466,948 
 785,000   Greystone CRE Notes Ltd., Series 2019-FL2, Class C, 2.090% (1-Month USD-LIBOR + 2.000%) due 9/15/37(a)(f)   784,554 
     Halsey Point CLO I Ltd.:     
 1,000,000   Series 2019-1A, Class A1A1, 1.482% (3-Month USD-LIBOR + 1.350%) due 1/20/33(a)(f)   1,000,382 
 1,000,000   Series 2019-1A, Class B1, 2.332% (3-Month USD-LIBOR + 2.200%) due 1/20/33(a)(f)   1,000,331 
 500,000   Halseypoint CLO 5 Ltd., Series 2021-5A, Class A1A, 1.380% (3-Month USD-LIBOR + 1.210%) due 1/30/35(a)(d)(f)   500,000 
     Home Partners of America Trust:     
 1,896,419   Series 2021-1, Class D, 2.477% due 9/17/41(a)   1,860,396 
 866,266   Series 2021-1, Class E, 2.577% due 9/17/41(a)   849,855 
 997,961   Series 2021-1, Class F, 3.325% due 9/17/41(a)   979,399 
 4,611,105   Horizon Aircraft Finance III Ltd., Series 2019-2, Class A, 3.425% due 11/15/39(a)   4,567,987 
 2,239,679   Invitation Homes Trust, Series 2018-SFR1, Class C, 1.341% (1-Month USD-LIBOR + 1.250%) due 3/17/37(a)(f)   2,240,032 
 4,019,200   JP Morgan Mortgage Acquisition Corp., Series 2005-WMC1, Class M4, 0.992% (1-Month USD-LIBOR + 0.900%) due 9/25/35(f)   3,903,746 
 1,000,000   LCM XV LP, Series 15A, Class DR, 3.832% (3-Month USD-LIBOR + 3.700%) due 7/20/30(a)(f)   993,868 
 1,790,000   Lendingpoint Asset Securitization Trust, Series 2021-A, Class C, 2.750% due 12/15/28(a)   1,775,152 
 500,000   Madison Park Funding XXXIV Ltd., Series 2019-34A, Class AR, 1.244% (3-Month USD-LIBOR + 1.120%) due 4/25/32(a)(f)   500,221 
 1,675,000   Madison Park Funding XXXVIII Ltd., Series 2021-38A, Class A, 1.254% (3-Month USD-LIBOR + 1.120%) due 7/17/34(a)(f)   1,674,024 
 1,000,000   Marble Point CLO XIV Ltd., Series 2018-2A, Class A1R, 1.412% (3-Month USD-LIBOR + 1.280%) due 1/20/32(a)(f)   1,001,159 
 1,000,000   Marble Point CLO XXI Ltd., Series 2021-3A, Class A1, 1.369% (3-Month USD-LIBOR + 1.240%) due 10/17/34(a)(f)   999,410 
 1,000,000   Marble Point CLO XXII Ltd., Series 2021-2A, Class A, 1.324% (3-Month USD-LIBOR + 1.200%) due 7/25/34(a)(f)   1,000,997 
 2,000,000   Marlette Funding Trust, Series 2019-4A, Class C, 3.760% due 12/17/29(a)   2,045,436 
 1,960,000   ME Funding LLC, Series 2019-1, Class A2, 6.448% due 7/30/49(a)   2,059,701 
 490,000   Mercury Financial Credit Card Master Trust, Series 2021-1A, Class A, 1.540% due 3/20/26(a)   490,308 
 9,470,271   Merrill Lynch Mortgage Investors Trust, Series 2006-HE6, Class A1, 0.372% (1-Month USD-LIBOR + 0.280%) due 11/25/37(f)   6,351,996 
 1,000,000   MKS CLO Ltd., Series 2017-1A, Class AR, 1.132% (3-Month USD-LIBOR + 1.000%) due 7/20/30(a)(f)   998,458 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security   Value 
ASSET-BACKED SECURITIES - 9.7% (continued)     
$1,000,000   MP CLO III Ltd., Series 2013-1A, Class AR, 1.382% (3-Month USD-LIBOR + 1.250%) due 10/20/30(a)(f)  $1,000,127 
 575,540   Navient Private Education Refi Loan Trust, Series 2021-EA, Class A, 0.970% due 12/16/69(a)   567,418 
 4,000,000   New Century Home Equity Loan Trust, Series 2005-B, Class M2, 0.827% (1-Month USD-LIBOR + 0.735%) due 10/25/35(f)   3,908,359 
 988,761   Northwoods Capital XVI Ltd., Series 2017-16A, Class A, 1.426% (3-Month USD-LIBOR + 1.270%) due 11/15/30(a)(f)   989,047 
 1,000,000   Ocean Trails CLO X, Series 2020-10A, Class AR, 1.353% (3-Month USD-LIBOR + 1.220%) due 10/15/34(a)(f)   998,185 
     Pagaya AI Debt Selection Trust:     
 1,099,547   Series 2021-1, Class B, 2.130% due 11/15/27(a)   1,102,124 
 2,000,000   Series 2021-3, Class B, 1.740% due 5/15/29(a)   1,977,889 
 1,800,000   PMT Issuer Trust - FMSR, Series 2021-FT1, Class A, 3.092% (1-Month USD-LIBOR + 3.000%) due 3/25/26(a)(f)   1,797,124 
 621,554   PRET LLC, Series 2021-NPL3, Class A1, step bond to yield, 1.868% due 7/25/51(a)   618,175 
     Pretium Mortgage Credit Partners I LLC:     
 800,462   Series 2021-NPL2, Class A1, step bond to yield, 1.992% due 6/27/60(a)   793,032 
 1,710,753   Series 2021-NPL4, Class A1, step bond to yield, 2.363% due 10/27/60(a)   1,699,957 
 2,000,000   Race Point IX CLO Ltd., Series 2015-9A, Class A1A2, 1.064% (3-Month USD-LIBOR + 0.940%) due 10/15/30(a)(f)   2,000,076 
 1,510,000   Regatta VI Funding Ltd., Series 2016-1A, Class AR2, 1.292% (3-Month USD-LIBOR + 1.160%) due 4/20/34(a)(f)   1,510,415 
 1,000,000   Regatta XI Funding Ltd., Series 2018-1A, Class B, 1.772% (3-Month USD-LIBOR + 1.650%) due 7/17/31(a)(f)   996,723 
 1,720,000   RR 1 LLC, Series 2017-1A, Class A1AB, 1.274% (3-Month USD-LIBOR + 1.150%) due 7/15/35(a)(f)  1,721,393 
 1,475,000   RR 16 Ltd., Series 2021-16A, Class A1, 1.234% (3-Month USD-LIBOR + 1.110%) due 7/15/36(a)(f)  1,475,475 
 500,000   Sandstone Peak Ltd., Series 2021-1A, Class A1, 1.344% (3-Month USD-LIBOR + 1.220%) due 10/15/34(a)(f)   499,958 
 264,320   SoFi Consumer Loan Program Trust, Series 2021-1, Class A, 0.490% due 9/25/30(a)   263,633 
 1,000,000   Sofi Professional Loan Program Trust, Series 2018-B, Class BFX, 3.830% due 8/25/47(a)   1,031,870 
 1,710,000   Sound Point CLO XXIX Ltd., Series 2021-1A, Class A, 1.194% (3-Month USD-LIBOR + 1.070%) due 4/25/34(a)(f)   1,709,569 
 500,000   Sound Point CLO XXVII Ltd., Series 2020-2A, Class AR, 1.304% (3-Month USD-LIBOR + 1.180%) due 10/25/34(a)(f)   499,405 
 3,500,000   STAR Trust, Series 2021-SFR1, Class G, 3.292% (1-Month USD-LIBOR + 3.200%) due 4/17/38(a)(f)  3,516,693 
     Structured Asset Investment Loan Trust:     
 5,974,977   Series 2005-5, Class M5, 1.067% (1-Month USD-LIBOR + 0.975%) due 6/25/35(f)   6,249,572 
 8,700,000   Series 2006-4, Class A5, 0.402% (1-Month USD-LIBOR + 0.310%) due 7/25/36(f)   3,744,864 
 927,792   Sunnova Helios II Issuer LLC, Series 2021-A, Class A, 1.800% due 2/20/48(a)   915,928 
 2,000,000   Sunrun Demeter Issuer, Series 2021-2A, Class A, 2.270% due 1/30/57(a)   1,992,900 
 1,955,000   Symphony CLO XXV Ltd., Series 2021-25A, Class A, 1.104% (3-Month USD-LIBOR + 0.980%) due 4/19/34(a)(f)   1,955,809 
 1,720,000   Thompson Park CLO Ltd., Series 2021-1A, Class A1, 1.124% (3-Month USD-LIBOR + 1.000%) due 4/15/34(a)(f)   1,720,234 
 7,169,969   TIF Funding II LLC, Series 2021-1A, Class A, 1.650% due 2/20/46(a)   6,955,240 
 471,166   Tricolor Auto Securitization Trust, Series 2021-1A, Class A, 0.740% due 4/15/24(a)   470,887 
 550,000   TRTX Issuer Ltd., Series 2021-FL4, Class A, 1.289% (1-Month USD-LIBOR + 1.200%) due 3/15/38(a)(f)   549,975 
     Upstart Pass-Through Trust:     
 1,219,473   Series 2021-ST3, Class A, 2.000% due 5/20/27(a)(d)   1,216,047 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security   Value 
ASSET-BACKED SECURITIES - 9.7% (continued)    
$1,286,970   Series 2021-ST4, Class A, 2.000% due 7/20/27(a)(d)  $1,278,657 
     Upstart Securitization Trust:     
 800,000   Series 2019-3, Class C, 5.381% due 1/21/30(a)   824,813 
 1,500,000   Series 2020-1, Class C, 4.899% due 4/22/30(a)   1,547,596 
 411,932   Series 2021-3, Class A, 0.830% due 7/20/31(a)   411,000 
 941,131   Series 2021-4, Class A, 0.840% due 9/20/31(a)   933,330 
 1,300,000   US Auto Funding LLC, Series 2019-1A, Class D, 8.060% due 11/15/25(a)   1,337,494 
 1,716,886   VCAT LLC, Series 2021-NPL6, Class A1, step bond to yield, 1.917% due 9/25/51(a)   1,690,968 
 1,710,000   Venture 42 CLO Ltd., Series 2021-42A, Class A1A, 1.254% (3-Month USD-LIBOR + 1.130%) due 4/15/34(a)(f)   1,710,231 
 660,000   Venture 43 CLO Ltd., Series 2021-43A, Class A1, 1.364% (3-Month USD-LIBOR + 1.240%) due 4/15/34(a)(f)   659,337 
 1,379,537   Vericrest Opportunity Loan Transferee, Series 2021-NP11, Class A1, step bond to yield, 1.868% due 8/25/51(a)   1,372,409 
 1,033,827   VOLT CIII LLC, Series 2021-CF1, Class A1, step bond to yield, 1.992% due 8/25/51(a)(d)   1,028,990 
 1,658,876   VOLT XCIV LLC, Series 2021-NPL3, Class A1, step bond to yield, 2.240% due 2/27/51(a)(d)   1,655,110 
 3,276,113   VOLT XCIX LLC, Series 2021-NPL8, Class A1, step bond to yield, 2.116% due 4/25/51(a)   3,269,286 
 696,074   VOLT XCV LLC, Series 2021-NPL4, Class A1, step bond to yield, 2.240% due 3/27/51(a)   693,732 
 1,335,000   Wellfleet CLO X Ltd., Series 2019-XA, Class A1R, 1.302% (3-Month USD-LIBOR + 1.170%) due 7/20/32(a)(f)   1,335,167 
 892,763   Wendy's Funding LLC, Series 2021-1A, Class A2I, 2.370% due 6/15/51(a)   880,324 
 995,902   Wind River CLO Ltd., Series 2014-1A, Class ARR, 1.172% (3-Month USD-LIBOR + 1.050%) due 7/18/31(a)(f)   994,607 
 995,000   Wingstop Funding LLC, Series 2020-1A, Class A2, 2.841% due 12/5/50(a)   1,012,669 
     TOTAL ASSET-BACKED SECURITIES     
     (Cost - $219,220,345)   217,994,735 
SOVEREIGN BONDS - 1.6%     
Bermuda - 0.0%       
 1,090,000   Bermuda Government International Bond, 2.375% due 8/20/30   1,072,287 
Brazil - 0.0%       
     Brazilian Government International Bond:     
 200,000   3.750% due 9/12/31   183,250 
 200,000   5.000% due 1/27/45   180,232 
 400,000   5.625% due 2/21/47   387,928 
     Total Brazil   751,410 
Chile - 0.2%       
     Chile Government International Bond:     
 200,000   2.550% due 1/27/32   198,846 
 470,000   2.550% due 7/27/33   461,474 
 1,570,000   3.100% due 5/7/41   1,542,493 
 435,000   3.500% due 1/25/50   449,094 
 205,000   3.500% due 4/15/53   211,302 
 800,000   3.100% due 1/22/61   745,912 
 200,000   3.250% due 9/21/71   186,676 
     Total Chile   3,795,797 
Colombia - 0.0%     
     Colombia Government International Bond:     
 350,000   3.250% due 4/22/32   312,392 
 300,000   5.000% due 6/15/45   274,899 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security   Value 
Colombia - 0.0% - (continued)     
$600,000   4.125% due 5/15/51  $486,594 
     Total Colombia   1,073,885 
Hungary - 0.0%     
 1,070,000   Hungary Government International Bond, 2.125% due 9/22/31(a)   1,035,225 
Indonesia - 0.1%     
     Indonesia Government International Bond:     
 700,000   2.150% due 7/28/31   682,951 
 200,000   4.350% due 1/11/48   224,450 
 700,000   3.700% due 10/30/49   720,156 
     Perusahaan Penerbit SBSN Indonesia III:     
 300,000   2.550% due 6/9/31(a)   301,032 
 200,000   3.800% due 6/23/50   204,728 
     Total Indonesia   2,133,317 
Mexico - 0.4%     
     Mexico Government International Bond:     
 1,850,000   2.659% due 5/24/31   1,785,380 
 1,155,000   4.750% due 4/27/32   1,289,996 
 1,560,000   4.280% due 8/14/41   1,605,817 
 1,366,000   4.750% due 3/8/44   1,474,775 
 200,000   4.350% due 1/15/47   203,880 
 600,000   4.600% due 2/10/48   631,890 
 1,190,000   3.771% due 5/24/61   1,082,150 
     Total Mexico   8,073,888 
Panama - 0.2%     
     Panama Government International Bond:     
 620,000   2.252% due 9/29/32   577,915 
 1,515,000   4.500% due 4/16/50   1,631,791 
 400,000   4.300% due 4/29/53   418,688 
 200,000   4.500% due 4/1/56   214,502 
 1,625,000   3.870% due 7/23/60   1,568,471 
     Total Panama   4,411,367 
Peru - 0.0%         
     Peruvian Government International Bond:     
 300,000   3.300% due 3/11/41   290,514 
 200,000   3.550% due 3/10/51   199,766 
     Total Peru   490,280 
Philippines - 0.2%       
     Philippine Government International Bond:     
 600,000   1.648% due 6/10/31   569,604 
 750,000   3.700% due 3/1/41   800,946 
 2,750,000   3.700% due 2/2/42   2,938,377 
     Total Philippines   4,308,927 
Qatar - 0.0%     
     Qatar Government International Bond:     
 400,000   3.400% due 4/16/25(a)   425,099 
 485,000   4.400% due 4/16/50(a)   594,135 
     Total Qatar   1,019,234 
Romania - 0.1%    
 1,228,000   Romanian Government International Bond, 3.000% due 2/14/31   1,213,657 
Saudi Arabia - 0.2%     
     Saudi Government International Bond:     
 800,000   2.900% due 10/22/25(a)   838,768 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security   Value 
Saudi Arabia - 0.2% - (continued)     
$1,129,000   2.250% due 2/2/33(a)  $1,090,894 
 1,955,000   4.500% due 10/26/46   2,266,627 
 200,000   3.750% due 1/21/55   209,550 
 750,000   3.450% due 2/2/61   741,375 
     Total Saudi Arabia   5,147,214 
South Korea - 0.1%     
     Korea Development Bank:     
 300,000   1.000% due 9/9/26   294,123 
 400,000   1.625% due 1/19/31   394,539 
 400,000   Korea Electric Power Corp., 1.125% due 6/15/25(a)   396,268 
 200,000   Korea International Bond, 2.750% due 1/19/27   212,098 
     Total South Korea   1,297,028 
Thailand - 0.0%     
 500,000   Export Import Bank of Thailand, 1.014% due 5/23/24(f)   502,885 
United Arab Emirates - 0.1%     
     Abu Dhabi Government International Bond:     
 400,000   1.700% due 3/2/31   385,080 
 300,000   3.125% due 9/30/49   304,500 
 1,025,000   Finance Department Government of Sharjah, 3.625% due 3/10/33   1,000,533 
     Total United Arab Emirates   1,690,113 
     TOTAL SOVEREIGN BONDS     
     (Cost - $38,935,158)   38,016,514 
SENIOR LOANS - 1.2%(f)     
  80,000   AAdvantage Loyality IP Ltd., 5.500% (3-Month USD-LIBOR + 0.475%) due 4/20/28   82,066 
      Acrisure LLC:     
  225,000   due 2/15/27(k)   223,736 
  152,196   3.632%  (1-Month USD-LIBOR + 0.350%) due 2/15/27   148,581 
  40,625   Acuris Finance US Inc., 4.500% (3-Month USD-LIBOR + 0.400%) due 2/16/28   40,485 
  140,000   ADMI Corp., 4.000% (1-Month USD-LIBOR + 0.350%) due 12/23/27   139,125 
  25,000   Aegion Corp., 5.500% (3-Month USD-LIBOR + 0.475%) due 5/17/28   24,938 
  165,000   Air Canada, 4.250% (6-Month USD-LIBOR + 0.350%) due 8/11/28   163,693 
  109,450   AlixPartners LLP, 3.250% (1-Month USD-LIBOR + 0.275%) due 2/4/28   108,841 
  107,525   Alliant Holdings Intermediate LLC, 3.340% (1-Month USD-LIBOR + 0.325%) due 5/9/25   105,945 
  50,000   Allied Universal Holdco LLC, 4.250% (3-Month USD-LIBOR + 0.375%) due 5/12/28   49,525 
  70,000   Allspring Buyer LLC, due 11/1/28(k)   69,782 
  14,963   Alpha 3 BV, 3.000% (3-Month USD-LIBOR + 0.250%) due 3/18/28   14,918 
  204,746   Alterra Mountain Co., 4.000% (1-Month USD-LIBOR + 0.350%) due 8/17/28   202,316 
  74,311   Amentum Government Services Holdings LLC, 3.590% (1-Month USD-LIBOR + 0.350%) due 1/29/27   73,443 
      American Airlines Inc.:     
  43,779   2.089%  (1-Month USD-LIBOR + 0.200%) due 12/15/23   42,595 
  54,450   1.842%  (1-Month USD-LIBOR + 0.175%) due 1/29/27   50,747 
  44,663   American Residential Services LLC, 4.250% (3-Month USD-LIBOR + 0.350%) due 10/15/27   44,551 
  54,863   American Trailer World Corp., 4.500% (1-Month USD-LIBOR + 0.375%) due 3/3/28   54,268 
  9,925   AmWINS Group Inc., 3.000% (1-Month USD-LIBOR + 0.225%) due 2/19/28   9,776 
  77,211   Artera Services LLC, 4.250% (3-Month USD-LIBOR + 0.325%) due 3/6/25   74,451 
  500,000   Ascend Learning LLC, due 11/17/28(k)   496,720 
  445,000   Astra Acquisition Corp., 5.750% due 10/25/28   431,650 
      Asurion LLC:     
  239,224   3.340%  (1-Month USD-LIBOR + 0.325%) due 7/31/27   235,755 
  20,000   5.340%  (1-Month USD-LIBOR + 0.525%) due 1/31/28   19,810 
  144,920   athenahealth Inc., 4.400% (3-Month USD-LIBOR + 0.425%) due 2/11/26   144,557 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
SENIOR LOANS - 1.2%(f) (continued)     
$ 74,813   Atlas Purchaser Inc., 6.000% (3-Month USD-LIBOR + 0.525%) due 5/8/28  $73,363 
      Avaya Inc.:     
  85,000   4.089%  (1-Month USD-LIBOR + 0.400%) due 12/15/27   84,681 
  94,286   4.339%  (1-Month USD-LIBOR + 0.425%) due 12/15/27   93,984 
      Aveanna Healthcare LLC:     
  315,000   due 7/17/28(k)   312,244 
  120,310   Aventiv Technologies LLC, 5.500% (3-Month USD-LIBOR + 0.450%) due 11/1/24   115,911 
  119,549   Azalea TopCo Inc., 3.630% (3-Month USD-LIBOR + 0.350%) due 7/24/26   118,204 
  31,736   Bausch Health Cos. Inc., 3.090% (1-Month USD-LIBOR + 0.300%) due 6/2/25   31,424 
  141,625   Blackhawk Network Holdings Inc., 3.090% (1-Month USD-LIBOR + 0.300%) due 6/15/25   139,943 
  150,982   Bright Bidco BV, 4.500% (3-Month USD-LIBOR + 0.350%) due 6/30/24   115,501 
  114,131   Brookfield WEC Holdings Inc., 3.250% (1-Month USD-LIBOR + 0.275%) due 8/1/25   112,502 
  14,016   Brown Group Holdings LLC, 3.250% (3-Month USD-LIBOR + 0.275%) due 6/7/28   13,890 
  84,150   Cablevision Lightpath LLC, 3.750% (1-Month USD-LIBOR + 0.325%) due 11/30/27   83,755 
  99,000   Caesars Resort Collection LLC, 3.590% (1-Month USD-LIBOR + 0.450%) due 7/21/25   98,783 
  14,700   Calpine Corp., 2.904% (1-Month USD-LIBOR + 0.200%) due 8/12/26   14,473 
  9,925   Camelot U.S. Acquisition 1 Co., 4.000% (1-Month USD-LIBOR + 0.300%) due 10/30/26   9,908 
      Carnival Corp.:     
  59,250   3.750%  (1-Month USD-LIBOR + 0.750%) due 6/30/25   58,302 
  390,000   4.000% due 10/18/28   383,175 
  43,220   Castlelake Aviation LCC, 0.000% (1-Month USD-LIBOR + 0.315%) due 10/8/26   42,770 
  211,780   Castlelake Aviation One Designated Activity Co., 3.250% due 10/22/26   209,573 
  370,000   Cengage Learning Inc., 5.750% (3-Month USD-LIBOR + 0.475%) due 7/14/26   368,335 
  124,063   Charter Next Generation Inc., 4.500% (1-Month USD-LIBOR + 0.375%) due 12/1/27   124,080 
  235,000   CHG Healthcare Services Inc., 0.000% (1-Month USD-LIBOR + 0.505%) due 9/22/28   233,663 
      CHG PPC Parent LLC:     
  201,683   2.840%  (1-Month USD-LIBOR + 0.275%) due 3/31/25   201,179 
  220,000   due 11/17/28(k)   218,350 
  37,879   Clear Channel Outdoor Holdings Inc., 3.630% (2-Month USD-LIBOR + 0.350%) due 8/21/26   37,017 
  41,118   ClubCorp Holdings Inc., 2.882% (3-Month USD-LIBOR + 0.275%) due 9/18/24   39,454 
  89,550   CNT Holdings I Corp., 4.500% (3-Month USD-LIBOR + 0.375%) due 11/8/27   89,310 
  119,700   Cologix Holdings Inc., 4.500% (1-Month USD-LIBOR + 0.375%) due 5/1/28   119,570 
  9,864   Columbus McKinnon Corp., 3.250% (3-Month USD-LIBOR + 0.275%) due 5/14/28   9,821 
  174,049   Compass Power Generation LLC, 4.500% (1-Month USD-LIBOR + 0.350%) due 12/20/24   172,707 
  45,000   Conair Holdings LLC, 4.250% (3-Month USD-LIBOR + 0.375%) due 5/17/28   44,878 
  64,025   Connect Finco SARL, 4.500% (1-Month USD-LIBOR + 0.350%) due 12/11/26   63,805 
  99,000   Conservice Midco LLC, 4.382% (3-Month USD-LIBOR + 0.425%) due 5/13/27   98,381 
  55,000   CoreLogic Inc., 4.000% (1-Month USD-LIBOR + 0.350%) due 6/2/28   54,313 
  84,329   Cornerstone Building Brands Inc., 3.750% (1-Month USD-LIBOR + 0.325%) due 4/12/28   83,950 
  225,000   Cornerstone OnDemand Inc., 4.250% due 10/16/28   223,688 
  208,950   CP Atlas Buyer Inc., 4.250% (2-Month USD-LIBOR + 0.375%) due 11/23/27   206,731 
  159,600   CQP Holdco LP, 4.250% (3-Month USD-LIBOR + 0.375%) due 6/5/28   158,776 
  15,343   CSC Holdings LLC, 2.339% (1-Month USD-LIBOR + 0.225%) due 7/17/25   15,029 
  238,458   Cvent Inc., 3.840% (1-Month USD-LIBOR + 0.375%) due 11/29/24   236,242 
  37,424   Cyanco Intermediate 2 Corp., 3.590% (1-Month USD-LIBOR + 0.350%) due 3/16/25   36,824 
  100,919   Cyxtera DC Holdings Inc., 4.000% (3-Month USD-LIBOR + 0.300%) due 5/1/24   100,216 
  147,936   DCert Buyer Inc., 4.090% (1-Month USD-LIBOR + 0.400%) due 10/16/26   147,299 
      DG Investment Intermediate Holdings 2 Inc.:     
  28,505   4.338%  (1-Month USD-LIBOR + 0.375%) due 3/31/28   28,390 
  136,088   4.500%  (1-Month USD-LIBOR + 0.375%) due 3/31/28   135,535 
  15,000   7.500%  (1-Month USD-LIBOR + 0.675%) due 3/30/29   15,075 
  58,922   Diamond Sports Group LLC, 3.350% (1-Month USD-LIBOR + 0.325%) due 8/24/26   24,630 
  130,595   DIRECTV Financing,LLC, 5.750% (1-Month USD-LIBOR + 0.500%) due 8/2/27   130,269 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
SENIOR LOANS - 1.2%(f) (continued)     
$ 39,900   DT Midstream Inc., 2.500% (3-Month USD-LIBOR + 0.200%) due 6/26/28  $39,825 
      Dynasty Acquisition Co., Inc.:     
  107,886   3.632%  (3-Month USD-LIBOR + 0.350%) due 4/6/26   104,616 
  345,000   EAB Global Inc., 4.000% (1-Month USD-LIBOR + 0.350%) due 8/16/28   341,378 
  24,938   Ecovyst Catalyst Technologies LLC, 3.250% (3-Month USD-LIBOR + 0.275%) due 6/9/28   24,856 
  75,000   Edelman Financial Center LLC, 6.840% (1-Month USD-LIBOR + 0.675%) due 7/20/26   74,750 
  39,900   Edelman Financial Engines Center LLC, 4.250% (1-Month USD-LIBOR + 0.350%) due 4/7/28   39,679 
      EG Group Ltd.:     
  67,631   4.132%  (3-Month USD-LIBOR + 0.400%) due 2/7/25   66,983 
  39,868   4.750%  (3-Month USD-LIBOR) due 3/31/26   39,743 
  149,625   Endurance International Group Holdings Inc., 4.250% (3-Month USD-LIBOR + 0.350%) due 2/10/28   146,633 
  100,241   Envision Healthcare Corp., 3.840% (1-Month USD-LIBOR + 0.375%) due 10/10/25   75,334 
  4,975   eResearchTechnology Inc., 5.500% (1-Month USD-LIBOR + 0.450%) due 2/4/27   4,973 
  68,575   Excelitas Technologies Corp., 4.500% (3-Month USD-LIBOR + 0.350%) due 12/2/24   68,261 
  87,975   ExGen Renewables IV LLC, 3.500% (3-Month USD-LIBOR + 0.250%) due 12/15/27   87,865 
  97,669   Filtration Group Corp., 3.090% (1-Month USD-LIBOR + 0.300%) due 3/31/25   96,339 
  106,514   First Advantage Holdings LLC, 2.840% (1-Month USD-LIBOR + 0.275%) due 1/31/27   105,768 
      First Student Bidco Inc.:     
  345,000   3.500%  (3-Month USD-LIBOR + 0.300%) due 7/21/28   341,443 
  123,488   Flex Acquisition Co., Inc., 3.131% (3-Month USD-LIBOR + 0.300%) due 6/29/25   121,713 
  193,741   Flexential Intermediate Corp., 5.750% (3-Month USD-LIBOR + 0.350%) due 8/1/24   190,835 
  107,257   Flexera Software LLC, 4.500% (3-Month USD-LIBOR + 0.375%) due 3/3/28   106,938 
  149,766   Flutter Entertainment PLC, 2.382% (3-Month USD-LIBOR + 0.350%) due 7/21/26   148,518 
  45,690   Forterra Finance LLC, 4.000% (1-Month USD-LIBOR + 0.300%) due 10/25/23   45,638 
  119,399   Gainwell Acquisition Corp., 4.750% (3-Month USD-LIBOR + 0.400%) due 10/1/27   119,175 
  155,000   Garda World Security Corp., 4.350% (1-Month USD-LIBOR + 0.425%) due 10/30/26   154,585 
  140,232   Gemini HDPE LLC, 3.500% (3-Month USD-LIBOR + 0.300%) due 12/31/27   139,356 
  120,840   Getty Images Inc., 4.625% (1-Month USD-LIBOR + 0.450%) due 2/19/26   120,296 
  74,813   Gogo Intermediate Holdings LLC, 4.500% (3-Month USD-LIBOR + 0.375%) due 4/30/28   74,457 
  74,625   Grab Holdings Inc., 5.500% (3-Month USD-LIBOR + 0.450%) due 1/29/26   75,185 
  131,593   Graham Packaging Co., Inc., 3.750% (1-Month USD-LIBOR + 0.300%) due 8/4/27   130,478 
  153,027   Granite US Holdings Corp., 4.132% (3-Month USD-LIBOR + 0.400%) due 9/30/26   151,784 
  109,175   Great Outdoors Group LLC, 4.500% due 3/6/28   108,971 
  24,846   Greystone Select Financial LLC, 5.750% (6-Month USD-LIBOR + 0.500%) due 6/16/28   24,846 
  15,657   GTT Communications Inc., 4.880% (3-Month USD-LIBOR + 0.275%) due 5/31/25(e)   13,126 
  45,589   Gulf Finance LLC, 6.000% (1-Month USD-LIBOR + 0.525%) due 8/25/23   43,409 
  58,650   Hexion Inc., 3.640% (3-Month USD-LIBOR + 0.350%) due 7/1/26   58,614 
  206,395   H-Food Holdings LLC, 3.778% (1-Month USD-LIBOR + 0.369%) due 5/23/25   204,700 
      HighTower Holding LLC:     
  85,000   4.750%  (3-Month USD-LIBOR + 0.400%) due 4/21/28   84,681 
      Hillman Group Inc.:     
  33,249   due 7/14/28(k)   33,000 
  6,751   1.525%  (3-Month USD-LIBOR) due 7/14/28   536 
  64,675   Horizon Therapeutics USA Inc., 2.250% (1-Month USD-LIBOR + 0.200%) due 3/15/28   64,259 
      Hyland Software Inc.:     
  40,125   7.000%  (1-Month USD-LIBOR + 0.525%) due 7/7/25   40,486 
  10,000   7.000%  (1-Month USD-LIBOR + 0.525%) due 7/7/25 (d)   10,150 
      Icon PLC:     
  204,488   3.000%  (3-Month USD-LIBOR + 0.250%) due 7/3/28   203,692 
  95,551   iHeartCommunications Inc., 3.090% (1-Month USD-LIBOR + 0.300%) due 5/1/26   94,297 
  119,700   Ingram Micro Inc., 4.000% (2-Month USD-LIBOR + 0.350%) due 6/30/28   119,401 
  50,426   Intelsat Jackson Holdings SA, 5.390% due 7/13/22   42,101 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
SENIOR LOANS - 1.2%(f) (continued)     
$ 144,638   ION Trading Finance Ltd., 4.917% (3-Month USD-LIBOR + 0.475%) due 4/1/28  $144,231 
119,100   IRB Holding Corp., 4.250% (3-Month USD-LIBOR + 0.325%) due 12/15/27  118,526 
  109,450   Ivanti Software Inc., 5.750% (3-Month USD-LIBOR + 0.475%) due 12/1/27   108,561 
  144,638   Jazz Pharmaceuticals PLC, 4.000% (1-Month USD-LIBOR + 0.350%) due 5/5/28   144,259 
  79,000   KBR Inc., 2.840% (1-Month USD-LIBOR + 0.275%) due 2/5/27   78,836 
  112,988   Kestrel Bidco Inc., 4.000% (3-Month USD-LIBOR + 0.300%) due 12/11/26   108,892 
  98,487   Kindred Healthcare LLC, 4.625% (1-Month USD-LIBOR + 0.500%) due 7/2/25   98,241 
  69,425   Kleopatra Finco SARL, 5.250% (6-Month USD-LIBOR + 0.475%) due 2/12/26   67,039 
  34,825   Kodiak BP LLC, 4.000% (3-Month USD-LIBOR + 0.325%) due 3/12/28   34,549 
  140,000   Kraton Corp., due 11/18/28(k)   138,775 
  109,187   Kronos Acquisition Holdings Inc., 4.250% (3-Month USD-LIBOR + 0.375%) due 12/22/26   105,479 
  7,227   Lealand Finance Co. BV, 0.000% (1-Month USD-LIBOR + 0.400%) due 6/30/25   3,103 
  177,368   LifePoint Health Inc., 3.842% (1-Month USD-LIBOR + 0.375%) due 11/16/25   175,695 
  34,504   Lions Gate Capital Holdings LLC, 2.340% (1-Month USD-LIBOR + 0.225%) due 3/24/25   33,972 
  141,734   Lummus Technology Holdings V LLC, 3.590% (1-Month USD-LIBOR + 0.350%) due 6/30/27   140,346 
  36,367   Maravai Intermediate Holdings LLC, 4.750% (2-Month USD-LIBOR + 0.425%) due 10/19/27   36,299 
  149,625   Mavis Tire Express Services Topco Corp., 4.750% (1-Month USD-LIBOR + 0.400%) due 5/4/28   149,459 
  162,586   MED ParentCo LP, 4.340% (1-Month USD-LIBOR + 0.425%) due 8/31/26   161,646 
  430,000   Medline Borrower LP, 3.750% due 10/23/28   428,375 
  123,783   Messer Industries GmbH, 2.632% (3-Month USD-LIBOR + 0.250%) due 3/2/26   122,205 
  49,875   Michaels Cos. Inc., 5.000% (1-Month USD-LIBOR + 0.425%) due 4/15/28   49,488 
  110,000   Mileage Plus Holdings LLC, 6.250% (3-Month USD-LIBOR + 0.525%) due 6/21/27   114,607 
  198,847   Minotaur Acquisition Inc., 4.840% (1-Month USD-LIBOR + 0.500%) due 3/27/26   197,007 
  165,000   Mirion Technologies Inc., 3.250% due 10/20/28   163,797 
      Misys Ltd.:     
  129,715   4.500%  (3-Month USD-LIBOR + 0.350%) due 6/13/24   128,417 
  45,000   8.250%  (3-Month USD-LIBOR + 0.725%) due 6/13/25   44,817 
  690,000   Mitchell International Inc., 4.250% due 10/15/28   680,416 
  21,117   MLN US HoldCo LLC, 4.586% (1-Month USD-LIBOR + 0.450%) due 11/30/25   20,219 
      Motion Acquisition Ltd.:     
  39,305   3.382%  (3-Month USD-LIBOR + 0.325%) due 11/12/26   37,810 
  45,101   NASCAR Holdings LLC, 2.590% (1-Month USD-LIBOR + 0.275%) due 10/19/26   44,537 
  43,988   NCR Corp., 2.630% (1-Month USD-LIBOR + 0.250%) due 8/28/26   43,053 
  175,000   Olympus Water US Holding Corp., 4.250% due 11/9/28   173,381 
  600,000   OneDigital Borrower LLC, due 11/16/27(k)   597,378 
  61,702   Ortho-Clinical Diagnostics Inc., 3.081% (1-Month USD-LIBOR + 0.300%) due 6/30/25   61,301 
  64,675   Packaging Coordinators Midco Inc., 4.250% (1-Month USD-LIBOR + 0.350%) due 11/30/27   64,446 
  69,653   Packers Holdings LLC, 4.000% (3-Month USD-LIBOR + 0.325%) due 3/9/28   68,913 
  69,650   PAI Holdco Inc., 4.250% (3-Month USD-LIBOR + 0.400%) due 10/28/27   69,331 
  74,625   Park River Holdings Inc., 4.000% (3-Month USD-LIBOR + 0.325%) due 12/28/27   73,902 
  226,790   Pathway Vet Alliance LLC, 3.840% (1-Month USD-LIBOR + 0.375%) due 3/31/27   225,211 
  47,036   PCI Gaming Authority, 2.590% (1-Month USD-LIBOR + 0.250%) due 5/29/26   46,589 
  124,375   Peraton Corp., 4.500% (1-Month USD-LIBOR + 0.375%) due 2/1/28   123,931 
  144,275   Petco Health and Wellness Co., Inc., 4.000% (3-Month USD-LIBOR + 0.325%) due 3/3/28   143,343 
  74,813   PetSmart LLC, 4.500% (3-Month USD-LIBOR + 0.375%) due 2/11/28   74,420 
  4,962   PetVet Care Centers LLC, 4.250% (1-Month USD-LIBOR + 0.350%) due 2/14/25   4,948 
  128,375   PG&E Corp., 3.500% (1-Month USD-LIBOR + 0.450%) due 6/23/25   126,731 
  98,978   Phoenix Services International LLC, 4.750% (1-Month USD-LIBOR + 0.375%) due 3/1/25   97,927 
  39,684   Playa Resorts Holding BV, 3.750% (1-Month USD-LIBOR + 0.275%) due 4/29/24   38,330 
  94,525   Playtika Holding Corp., 2.840% (1-Month USD-LIBOR + 0.275%) due 3/13/28   93,796 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

Face
Amount/Units
   Security  Value 
SENIOR LOANS - 1.2%(f) (continued)
$ 144,275   PODS LLC, 3.750% (1-Month USD-LIBOR + 0.300%) due 3/31/28  $143,254 
520,000   Polaris Newco LLC, 4.500% (3-Month USD-LIBOR + 0.400%) due 6/2/28  517,681 
 54,113   Prairie ECI Acquiror LP, 4.840% (1-Month USD-LIBOR + 0.475%) due 3/11/26   52,099 
 142,463   Pregis TopCo LLC, 4.090% (1-Month USD-LIBOR + 0.375%) due 7/31/26   142,329 
 195,000   Pretium PKG Holdings Inc., due 10/2/28(k)   194,199 
 285,000   Proofpoint Inc., 3.750% due 8/31/28   282,070 
 133,343   Pug LLC, 3.590% (1-Month USD-LIBOR + 0.350%) due 2/12/27   130,787 
 154,225   Rackspace Technology Global Inc., 3.500% (3-Month USD-LIBOR + 0.275%) due 2/15/28   151,895 
 255,000   Radiate Holdco LLC, 4.000% due 9/25/26   252,690 
 85,000   Redstone HoldCo 2 LP, due 4/27/28(k)   80,538 
     Renaissance Holding Corp.:     
 184,595   3.340%  (1-Month USD-LIBOR + 0.325%) due 5/30/25   182,288 
 35,000   7.090%  (1-Month USD-LIBOR + 0.700%) due 5/29/26   35,044 
 39,800   Rent-A-Center Inc., 3.750% due 2/17/28   39,336 
 10,628   RentPath LLC, 7.000% (3-Month USD-LIBOR + 0.375%) due 12/17/21   9,565 
 43,189   Reynolds Consumer Products LLC, 1.840% (1-Month USD-LIBOR + 0.175%) due 2/4/27   42,890 
 88,846   Sabre GLBL Inc., 2.090% (1-Month USD-LIBOR + 0.200%) due 2/22/24   87,458 
 69,429   Schenectady International Group Inc., 4.874% (3-Month USD-LIBOR + 0.475%) due 10/15/25   69,371 
 172,119   Scientific Games International Inc., 2.840% (1-Month USD-LIBOR + 0.275%) due 8/14/24   170,661 
 142,607   Sedgwick Claims Management Services Inc., 3.340% (1-Month USD-LIBOR + 0.325%) due 12/31/25   139,688 
 95,800   Sinclair Television Group Inc., 2.600% (1-Month USD-LIBOR + 0.250%) due 9/30/26   93,405 
 86,819   Six Flags Theme Parks Inc., 1.850% (1-Month USD-LIBOR + 0.175%) due 4/17/26   84,341 
 90,000   SkyMiles IP Ltd., 4.750% (3-Month USD-LIBOR + 0.375%) due 10/20/27   94,481 
 19,650   SMG US Midco 2 Inc., 2.620% (3-Month USD-LIBOR + 0.250%) due 1/23/25   19,036 
 73,755   SolarWinds Holdings Inc., 2.840% (1-Month USD-LIBOR + 0.275%) due 2/5/24   72,413 
     Southern Veterinary Partners LLC:     
 158,897   5.000%  (6-Month USD-LIBOR + 0.400%) due 10/5/27   159,095 
 109,450   Spin Holdco Inc., 4.750% (3-Month USD-LIBOR + 0.400%) due 3/4/28   109,313 
 64,838   SRS Distribution Inc., 4.250% (3-Month USD-LIBOR + 0.375%) due 6/2/28   64,558 
 49,664   Staples Inc., 5.132% (3-Month USD-LIBOR + 0.500%) due 4/16/26   47,584 
 34,477   Sunshine Luxembourg VII SARL, 4.500% (3-Month USD-LIBOR + 0.375%) due 10/1/26   34,324 
 500,000   SWF Holdings I Corp., 4.750% due 10/6/28   492,500 
 31,348   syncreon Group BV, 6.000% (1-Month USD-LIBOR + 0.500%) due 10/1/24   31,583 
 142,756   TAMKO Building Products LLC, 3.130% (1-Month USD-LIBOR + 0.325%) due 5/29/26   141,804 
 63,742   Team Health Holdings Inc., 3.750% (1-Month USD-LIBOR + 0.275%) due 2/6/24   60,306 
 49,875   Tecta America Corp., 5.000% (1-Month USD-LIBOR + 0.425%) due 4/10/28   49,719 
 130,181   Telesat Canada, 2.900% (1-Month USD-LIBOR + 0.275%) due 12/7/26   118,825 
 142,473   Terrier Media Buyer Inc., 3.590% (1-Month USD-LIBOR + 0.350%) due 12/17/26   140,657 
 15,000   TIBCO Software Inc., 7.350% (1-Month USD-LIBOR + 0.725%) due 3/3/28   15,025 
 49,875   Tiger Acquisition LLC, 3.750% (3-Month USD-LIBOR + 0.325%) due 6/1/28   49,421 
 195,713   Titan Acquisition Ltd., 3.167% (3-Month USD-LIBOR + 0.300%) due 3/28/25   190,636 
 180,000   Trans Union LLC, due 12/1/28(k)   178,763 
 191,036   TransDigm Inc., 2.340% (1-Month USD-LIBOR + 0.225%) due 12/9/25   186,977 
 103,596   Travel Leaders Group LLC, 4.090% (1-Month USD-LIBOR + 0.400%) due 1/25/24   96,604 
     Travelport Finance (Luxembourg) SARL:     
 87,208   2.500%  (3-Month USD-LIBOR + 0.150%) due 2/28/25   89,171 
 29,608   5.147%  (3-Month USD-LIBOR + 0.500%) due 5/29/26   24,967 
 73,587   Traverse Midstream Partners LLC, 5.250% (1-Month USD-LIBOR + 0.550%) due 9/27/24   72,897 
     Tricorbraun Holdings Inc.:     
 13,760   3.325%  (3-Month USD-LIBOR + 0.325%) due 3/3/28(d)   13,597 
 61,075   3.750%  (3-Month USD-LIBOR + 0.325%) due 3/3/28   60,350 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

 Face
Amount/Units
   Security   Value 
SENIOR LOANS - 1.2%(f) (continued)
$134,663   Triton Water Holdings Inc., 4.000% (3-Month USD-LIBOR + 0.350%) due 3/31/28  $133,939 
39,800   Truck Hero Inc., 4.000% (1-Month USD-LIBOR + 0.325%) due 1/31/28  39,452 
 44,650   U.S. Silica Co., 5.000% (1-Month USD-LIBOR + 0.400%) due 5/1/25   43,629 
 9,769   Uber Technologies Inc., 3.590% (1-Month USD-LIBOR + 0.350%) due 2/25/27   9,728 
 190,000   UFC Holdings LLC, 3.500% due 4/29/26   187,055 
     UKG Inc.:     
 145,000   due 5/4/26(k)   144,139 
 212,928   4.000%  (3-Month USD-LIBOR + 0.325%) due 5/4/26   211,664 
 20,000   7.500%  (3-Month USD-LIBOR + 0.675%) due 5/3/27   20,150 
 36,064   Ultra Clean Holdings Inc., 3.840% (1-Month USD-LIBOR + 0.375%) due 8/27/25   36,079 
 54,725   United AirLines Inc., 4.500% (3-Month USD-LIBOR + 0.375%) due 4/21/28   54,497 
 30,794   United Natural Foods Inc., 3.340% (1-Month USD-LIBOR + 0.425%) due 10/22/25   30,709 
 29,475   Univar Solutions USA Inc., 2.090% (1-Month USD-LIBOR + 0.200%) due 7/1/26   29,297 
 1   Upstream Newco Inc., 4.593% (1-Month USD-LIBOR + 0.450%) due 11/20/26(d)   1 
 205,800   US Foods Inc., 2.090% (1-Month USD-LIBOR + 0.200%) due 9/13/26   202,491 
 89,097   Vantage Specialty Chemicals Inc., 4.500% (3-Month USD-LIBOR + 0.350%) due 10/28/24   86,842 
 4,988   Verscend Holding Corp., 4.090% (1-Month USD-LIBOR + 0.400%) due 8/27/25   4,975 
 29,850   Virtusa Corp., 4.500% due 2/11/28   29,763 
 325,000   W. R. Grace Holdings LLC, 4.250% due 9/22/28   324,051 
 166,338   Wand Newco 3 Inc., 3.175% (1-Month USD-LIBOR + 0.300%) due 2/5/26   161,888 
 39,696   WaterBridge Midstream Operating LLC, 6.750% (3-Month USD-LIBOR + 0.575%) due 6/22/26   38,619 
 250,000   Whatabrands LLC, 3.750% (1-Month USD-LIBOR + 0.325%) due 8/3/28   248,255 
 35,000   Wheel Pros Inc., 5.250% (1-Month USD-LIBOR + 0.450%) due 5/11/28   34,757 
 104,738   WIN Waste Innovations Holdings Inc., 3.250% (3-Month USD-LIBOR + 0.275%) due 3/24/28   104,135 
     Zelis Cost Management Buyer Inc.:     
 521,200   3.586% due 9/30/26   513,991 
 20,000   Ziggo Financing Partnership, 2.589% (1-Month USD-LIBOR + 0.250%) due 4/30/28   19,694 
     TOTAL SENIOR LOANS     
     (Cost - $27,207,664)   27,198,379 
Rating††
MUNICIPAL BONDS - 0.1%
California - 0.0%
 140,000 AA- Regents of the University of California Medical Center Pooled Revenue, Revenue Bonds, 6.548% due 5/15/48   222,563 
 360,000 AA- State of California, GO, 7.300% due 10/1/39   575,103 
     Total California   797,666 
New York - 0.1%
 680,000 BBB+ Metropolitan Transportation Authority, Revenue Bonds, 6.814% due 11/15/40   981,537 
 200,000 A New York State Thruway Authority, Revenue Bonds, 2.900% due 1/1/35   213,940 
     Total New York   1,195,477 
     TOTAL MUNICIPAL BONDS     
     (Cost - $1,962,712)   1,993,143 

 

Shares/Units         
          
EXCHANGE TRADED FUND (ETF) - 0.9%
 168,991   iShares Core U.S. Aggregate Bond   19,395,097 
     (Cost - $19,788,846)     

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

Shares/Units   Security   Value 
COMMON STOCKS - 0.0%
DIVERSIFIED - 0.0%
SPACs - 0.0%
 1,640   Foresight Energy LLC/Foresight Energy Finance Corp.*(d)   32,924 
ENERGY - 0.0%
Oil & Gas - 0.0%
 1,022   Gulfport Energy Operating Corp.*   74,596 
 1,842   Tapstone Energy LLC/Tapstone Energy Finance Corp.*(d)  $8,142 
     TOTAL ENERGY   82,738 
INDUSTRIAL - 0.0%
Engineering & Construction - 0.0%
 3,092   Mcdermott International Ltd.*   1,732 
     TOTAL COMMON STOCKS     
     (Cost - $22,592)   117,394 
     TOTAL INVESTMENTS BEFORE SHORT-TERM INVESTMENTS     
     (Cost - $2,441,345,846)   2,421,216,363 

 

Face
Amount
         
           
SHORT-TERM INVESTMENTS - 1.9%
TIME DEPOSITS - 1.9%
$22,909,119   DnB NORBank ASA - Oslo, 0.005% due 12/1/21   22,909,119 
 8,361,700   Royal Bank of Canada - Toronto, 0.005% due 12/1/21   8,361,700 
 11,138,181   Skandinaviska Enskilda Banken AB - Stockholm, 0.005% due 12/1/21   11,138,181 
     TOTAL TIME DEPOSITS     
     (Cost - $42,409,000)   42,409,000 
U.S. GOVERNMENT OBLIGATION - 0.0%
 570,000   U.S. Treasury Bills, 0.050% due 5/19/22(m)    
     (Cost - $569,866)   569,763 
     TOTAL SHORT-TERM INVESTMENTS     
     (Cost - $42,978,866)   42,978,763 
     TOTAL INVESTMENTS - 109.9%     
     (Cost - $2,484,324,712)   2,464,195,126 
     Liabilities in Excess of Other Assets - (9.9)%   (221,541,222)
     TOTAL NET ASSETS - 100.0%  $2,242,653,904 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

 

†† All ratings are by Standard & Poor's Rating Service, unless otherwise noted.
*Non-income producing security.
(a)Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $527,394,073 and represents 23.52% of net assets.
(b)Payment in-kind security for which part of the income earned may be paid as additional principal.
(c)Security is perpetual in nature and has no stated maturity date.
(d)Illiquid security. The aggregate value of illiquid holdings at November 30, 2021, amounts to $19,983,485 and represents 0.89% of net assets.
(e)Security is currently in default.
(f)Variable rate security. Interest rate disclosed is that which was in effect at November 30, 2021.
(g)Interest only security.
(h)Principal only security.
(i)All or a portion of this security is pledged by the Fund as collateral for short sales or derivative transactions.
(j)This security is traded on a TBA basis.
(k)This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate.
(m)Rate shown represents yield-to-maturity.

 

Abbreviations used in this schedule:
CLO Collateralized Loan Obligation
CMT Constant Maturity Treasury Index
GO General Obligation
LIBOR London Interbank Offered Rate
LLC Limited Liability Company
LP Limited Partnership
PCL Public Company Limited
PLC Public Limited Company
REMICS Real Estate Mortgage Investment Conduit
SARL Société à Responsabilité Limitée
SOFR Secured Overnight Financing Rate
SPACs Special Purpose Acquisition Companies
UMBS Uniform Mortgage Backed Securities

 

Summary of Investments by Security Type^
Corporate Bonds & Notes   24.1%
Collateralized Mortgage Obligations   22.1 
U.S. Government Agencies & Obligations   20.4 
Mortgage-Backed Securities   19.3 
Asset-Backed Securities   8.9 
Sovereign Bonds   1.5 
Senior Loans   1.1 
Exchange Traded Fund (ETF)   0.8 
Municipal Bonds   0.1 
Common Stocks   0.0*
Short-Term Investments   1.7 
    100.0%

 

 

^ As a percentage of total investments.

* Position represents less than 0.05%.

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

At November 30, 2021, Destinations Core Fixed Income Fund had open exchange traded futures contracts as described below.

 

The unrealized appreciation/(depreciation) on the open contracts reflected in the accompanying financial statements were as follows:

 

Open Futures Contracts  Number of
Contracts
   Expiration
Date
(Month/Year)
   Notional
Amounts
   Market Value   Unrealized
Appreciation/
(Depreciation)
 
Contracts to Buy:                       
U.S. 10Year Note (CBT)  88   3/22   $11,374,923   $11,511,500   $136,577 
U.S. Ultra Bond (CBT)  31   3/22    5,989,922    6,217,438    227,516 
                      364,093 
Contracts to Sell:                       
U.S. 10Year Ultra  121   3/22   $(17,464,718)  $17,773,766   $(309,048)
U.S. 2Year Note (CBT)  236   3/22    (51,591,266)   51,621,313    (30,047)
U.S. 5Year Note (CBT)  473   3/22    (56,984,434)   57,421,461    (437,027)
U.S. Long Bond (CBT)  145   3/22    (22,956,562)   23,508,125    (551,563)
                      (1,327,685)
Net Unrealized Depreciation on Open Exchange Traded Futures Contracts             $(963,592)

 

At November 30, 2021, Destinations Core Fixed Income Fund had deposited cash of $970,771 with a broker or brokers as margin collateral on open exchange traded futures contracts.

 

At November 30, 2021, Destinations Core Fixed Income Fund Fund held the following OTC Credit Default Swap Contracts:

 

OTC Credit Default Swaps on Corporate and Sovereign Issues - Sell Protection (1)

 

Reference
Obligation
  Fixed Deal
Receive Rate
    Maturity
Date
  Payment
Frequency
  Counterparty     Implied
Credit
Spread at
11/30/2021(2)
    Notional
Amounts in
(000’s)(3)
    Market Value     Upfront
Premiums
Paid/
(Received)
    Unrealized  
Appreciation/
(Depreciation)
 
CDX.NA.IG.37     1.000 %   12/20/2026   3-Month   JPM       0.582 %   $ 15,030     $ 337,477     $ 356,881     $ (19,404 )
                                          $ 337,477     $ 356,881     $ (19,404 )

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (continued)

 

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

 

(2) Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swap agreements on corporate issues or sovereign issues of on emerging country as of period end serve as indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement. A credit spread identified as “Defaulted” indicates a credit event has occurred for the referenced entity or obligation.

 

(3) The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.

 

Counterparty Abbreviations used in this schedule:

JPM           —   JP Morgan

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Core Fixed Income Fund (concluded)

 

Schedule of Forward Sale Commitments

 

Face
Amounts
   Security  Value 
     Federal National Mortgage Association:     
$3,550,000   1.500% due 12/1/36(a) (Proceeds — $3,578,012)  $3,568,582 
 1,700,000   3.500% due 12/1/36(a) (Proceeds — $1,794,430)   1,796,488 
     Government National Mortgage Association:     
 3,850,000   2.000% due 12/1/51(a) (Proceeds — $3,905,344)   3,899,930 
     TOTAL OPEN FORWARD SALE COMMITMENTS     
     (Proceeds — $9,277,785)  $9,265,000 

 

 

(a) This security is traded on a TBA basis.

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund

 

Face
Amount/Units†
   Security  Value 
CORPORATE BONDS & NOTES - 52.0% 
Basic Materials - 1.5%     
$7,600,000   Copper Mountain Mining Corp., Senior Secured Notes, 8.000% due 4/9/26(a)   $7,957,833 
     Glencore Funding LLC, Company Guaranteed Notes:     
 80,000   4.125% due 5/30/23(a)    83,542 
 15,000   4.125% due 3/12/24(a)    15,834 
 15,000   4.000% due 4/16/25(a)    15,974 
 200,000   POSCO, Senior Unsecured Notes, 2.375% due 11/12/22    202,859 
     Total Basic Materials    8,276,042 
Communications - 11.5%     
 125,000   AT&T Inc., Senior Unsecured Notes, 4.450% due 4/1/24    133,617 
 200,000   Baidu Inc., Senior Unsecured Notes, 3.075% due 4/7/25    208,343 
 7,116,000   CCO Holdings LLC/CCO Holdings Capital Corp., Senior Unsecured Notes, 4.000% due 3/1/23(a)    7,120,768 
 10,678,000   Cengage Learning Inc., Senior Unsecured Notes, 9.500% due 6/15/24(a)    10,784,780 
 1,032,000EUR  CentralNic Group PLC, Senior Secured Notes, 7.000% (3-Month EURIBOR + 7.000%) due 7/3/23(b)    1,194,062 
 835,000   Cogent Communications Group Inc., Senior Secured Notes, 5.375% due 3/1/22(a)    835,000 
 7,098,000   DISH Network Corp., Senior Unsecured Notes, 2.375% due 3/15/24    6,627,758 
 120,000   Expedia Group Inc., Company Guaranteed Notes, 6.250% due 5/1/25(a)    136,219 
 10,407,000   Level 3 Financing Inc., Company Guaranteed Notes, 5.250% due 3/15/26    10,658,537 
 10,578,000EUR  Linkem SpA, Senior Secured Notes, 6.000% (3-Month EURIBOR + 6.000%) due 8/9/22(a)(b)    11,999,034 
 10,948,000   Lumen Technologies Inc., Senior Unsecured Notes, 5.800% due 3/15/22    11,031,095 
 180,000   Millicom International Cellular SA, Senior Unsecured Notes, 5.125% due 1/15/28    184,950 
 3,530,000   NortonLifeLock Inc., Senior Unsecured Notes, 5.000% due 4/15/25(a)    3,565,300 
 125,000   Omnicom Group Inc./Omnicom Capital Inc., Senior Unsecured Notes, 3.650% due 11/1/24    132,300 
 200,000   Sable International Finance Ltd., Senior Secured Notes, 5.750% due 9/7/27    204,358 
 200,000   SingTel Group Treasury Pte Ltd., Company Guaranteed Notes, 3.250% due 6/30/25    212,242 
 130,000   Verizon Communications Inc., Senior Unsecured Notes, 1.256% (3-Month USD-LIBOR + 1.100%) due 5/15/25(b)    132,414 
     Total Communications    65,160,777 
Consumer Cyclical - 5.1%     
 1,127,000   Anagram International Inc./Anagram Holdings LLC, Senior Secured Notes, 15.000% (3-Month USD-LIBOR + 10.000% cash + 5.000% PIK) due 8/15/25(a)(b)(c)    1,270,693 
 130,000   Dollar Tree Inc., Senior Unsecured Notes, 3.700% due 5/15/23    135,034 
 3,750,000SEK  Gaming Innovation Group PLC, 8.500% (3-Month SEK-STIBOR + 8.500)% due 6/11/24(a)(b)    427,091 
 120,000   General Motors Financial Co., Inc., Company Guaranteed Notes, 5.250% due 3/1/26    134,898 
 4,710,000   G-III Apparel Group Ltd., Senior Secured Notes, 7.875% due 8/15/25(a)    5,010,262 
 3,446,348   Hawaiian Airlines 2013-1 Class A Pass-Through Certificates, 3.900% due 1/15/26    3,417,456 
 4,303,891   Hawaiian Airlines Class B Pass-Through Certificates, 4.950% due 1/15/22    4,307,604 
 911,000   Hercules Achievement Inc./Varsity Brands Holding Co., Inc., Senior Secured Notes, 9.000% (3-Month USD-LIBOR + 8.000%) due 12/22/24(a)(b)    907,584 
 115,000   Hyatt Hotels Corp., Senior Unsecured Notes, 1.300% due 10/1/23    115,048 
     Hyundai Capital America, Senior Unsecured Notes:     
 110,000   2.850% due 11/1/22(a)    112,069 
 25,000   1.000% due 9/17/24(a)    24,670 
 130,000   Marriott International Inc., Senior Unsecured Notes, 3.600% due 4/15/24    136,570 
 30,000   Nissan Motor Acceptance Co. LLC, Senior Unsecured Notes, 1.125% due 9/16/24(a)    29,548 
 19,200,000NOK  N0r5ke Viking I AS, 8.750% (3-Month NIBOR + 8.00%) due 5/3/24(b)    2,117,582 
 6,597,000   Sally Holdings LLC/Sally Capital Inc., Secured Notes, 8.750% due 4/30/25(a)    7,042,298 
 3,742,000   Scientific Games International Inc., Senior Secured Notes, 5.000% due 10/15/25(a)    3,840,227 
 130,000   Southwest Airlines Co., Senior Unsecured Notes, 4.750% due 5/4/23    136,460 
     Total Consumer Cyclical    29,165,094 

 

 

 

 
Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Face
Amount/Units†
   Security  Value 
CORPORATE BONDS & NOTES – (continued) 
Consumer Non-cyclical - 10.7%     
     Anthem Inc., Senior Unsecured Notes:     
$35,000   3.300% due 1/15/23   $35,991 
 90,000   3.500% due 8/15/24    94,975 
 135,000   BAT International Finance PLC, Company Guaranteed Notes, 1.668% due 3/25/26    132,987 
 100,000   Central American Bottling Corp., Company Guaranteed Notes, 5.750% due 1/31/27    102,220 
 8,848,000   Chobani LLC/Chobani Finance Corp. Inc., Company Guaranteed Notes, 7.500% due 4/15/25(a)    9,146,620 
 125,000   Conagra Brands Inc., Senior Unsecured Notes, 4.300% due 5/1/24    133,709 
 6,250,000SEK  Desenio Group AB, 5.500% (3-Month SEK-STIBOR + 5.500%) due 12/16/24(b)    657,450 
 13,344,000   Fresh Market Inc., Senior Secured Notes, 9.750% due 5/1/23(a)    13,694,280 
 125,000   HCA Inc., Senior Secured Notes, 5.000% due 3/15/24    134,880 
 200,000   HPHT Finance 19 Ltd., Company Guaranteed Notes, 2.875% due 11/5/24    207,950 
 10,993,000   Jaguar Holding Co. II/PPD Development LP, Company Guaranteed Notes, 4.625% due 6/15/25(a)    11,364,014 
 135,000   Keurig Dr Pepper Inc., Company Guaranteed Notes, 0.750% due 3/15/24    133,601 
 3,148,000   Nathan's Famous Inc., Senior Secured Notes, 6.625% due 11/1/25(a)    3,203,090 
 9,249,000   Nielsen Co. Luxembourg SARL, Company Guaranteed Notes, 5.000% due 2/1/25(a)    9,364,613 
 200,000   PSA Treasury Pte Ltd., Company Guaranteed Notes, 2.500% due 4/12/26    207,958 
 135,000   Royalty Pharma PLC, Company Guaranteed Notes, 0.750% due 9/2/23    134,249 
 2,693,000   SmileDirectClub Inc., Senior Unsecured Notes, zero coupon, due 2/1/26(a)    1,133,999 
 3,282,000   Surgery Center Holdings Inc., Company Guaranteed Notes, 6.750% due 7/1/25(a)    3,310,750 
 135,000   Thermo Fisher Scientific Inc., Senior Unsecured Notes, 0.797% due 10/18/23    134,583 
 120,000   Triton Container International Ltd., Company Guaranteed Notes, 0.800% due 8/1/23(a)    119,068 
 65,000   UnitedHealth Group Inc., Senior Unsecured Notes, 0.550% due 5/15/24    64,368 
 8,251,000   UpHealth Inc., Senior Unsecured Notes, 6.250% due 6/15/26(a)    7,141,271 
 135,000   Zimmer Biomet Holdings Inc., Senior Unsecured Notes, 1.450% due 11/22/24    135,007 
     Total Consumer Non-cyclical    60,787,633 
Diversified - 0.9%     
 4,350,000EUR  LR Global Holding GmbH, Senior Secured Notes, 7.250% (3-Month EURIBOR + 7.250%) due 2/3/25(b)    5,097,686 
Energy - 4.4%     
 150,000   Ecopetrol SA, Senior Unsecured Notes, 5.875% due 9/18/23    158,925 
 195,730   Galaxy Pipeline Assets Bidco Ltd., Senior Secured Notes, 1.750% due 9/30/27    196,504 
 188,240   GNL Quintero SA, Senior Unsecured Notes, 4.634% due 7/31/29    198,830 
     Golar LNG Ltd., Senior Unsecured Notes:     
 10,817,000   2.750% due 2/15/22    10,797,657 
 3,278,000   7.000% due 10/20/25(a)    3,249,318 
 5,520,260   Martin Midstream Partners LP/Martin Midstream Finance Corp., Secured Notes, 10.000% due 2/29/24(a)    5,644,466 
 200,000   ONGC Videsh Vankorneft Pte Ltd., Company Guaranteed Notes, 2.875% due 1/27/22    200,470 
 2,974,000   PBF Logistics LP/PBF Logistics Finance Corp., Company Guaranteed Notes, 6.875% due 5/15/23    2,795,560 
 50,000   Petrobras Global Finance BV, Company Guaranteed Notes, 6.250% due 3/17/24    53,825 
 200,000   Petronas Capital Ltd., Company Guaranteed Notes, 3.500% due 3/18/25    212,857 
 135,000   Pioneer Natural Resources Co., Senior Unsecured Notes, 0.550% due 5/15/23    134,361 
 250,000   Qatar Energy, Senior Unsecured Notes, 1.375% due 9/12/26    245,075 
 250,000   Reliance Industries Ltd., Senior Unsecured Notes, 4.125% due 1/28/25    268,415 
 200,000   SA Global Sukuk Ltd., Senior Unsecured Notes, 1.602% due 6/17/26(a)    196,810 
 125,000   Schlumberger Holdings Corp., Senior Unsecured Notes, 3.750% due 5/1/24(a)    131,545 
 200,000   Transportadora de Gas del Peru SA, Senior Unsecured Notes, 4.250% due 4/30/28    210,252 
 135,000   Valero Energy Corp., Senior Unsecured Notes, 1.200% due 3/15/24    134,375 
     Total Energy    24,829,245 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Face
Amount/Units†
   Security  Value 
CORPORATE BONDS & NOTES – (continued) 
Financial - 4.2% 
$135,000   Athene Global Funding, Senior Secured Notes, 0.750% (SOFRRATE + 0.700%) due 5/24/24(a)(b)   $135,182 
     Avolon Holdings Funding Ltd., Company Guaranteed Notes:     
 115,000   3.625% due 5/1/22(a)    116,123 
 15,000   5.125% due 10/1/23(a)    15,878 
 200,000   Banco Bilbao Vizcaya Argentaria Colombia SA, Subordinated Notes, 4.875% due 4/21/25    206,002 
 150,000   Banco Continental SAECA, Senior Unsecured Notes, 2.750% due 12/10/25(a)    146,439 
 50,000   Banco de Credito del Peru, Subordinated Notes, 3.125% (5-Year CMT Index + 3.000%) due 7/1/30(b)    49,025 
 150,000   Banco de Reservas de la Republica Dominicana, Subordinated Notes, 7.000% due 2/1/23    156,377 
 200,000   Bancolombia SA, Subordinated Notes, 4.875% (5-Year CMT Index + 2.929%) due 10/18/27(b)    198,002 
     Bank of America Corp., Senior Unsecured Notes:     
 90,000   0.906% (3-Month USD-LIBOR + 0.790%) due 3/5/24(b)    90,563 
 50,000   0.740% (SOFRRATE + 0.690%) due 4/22/25(b)    50,279 
 100,000   Bank of Nova Scotia, Senior Unsecured Notes, 0.650% due 7/31/24    99,013 
 60,000   Brighthouse Financial Global Funding, Senior Secured Notes, 0.600% due 6/28/23(a)    59,798 
 80,000   Canadian Imperial Bank of Commerce, Senior Unsecured Notes, 0.450% due 6/22/23    79,502 
     Capital One Financial Corp., Senior Unsecured Notes:     
 35,000   3.200% due 1/30/23    35,950 
 100,000   3.900% due 1/29/24    105,536 
     Citigroup Inc., Senior Unsecured Notes:     
 100,000   1.194% (3-Month USD-LIBOR + 1.023%) due 6/1/24(b)    101,218 
 40,000   1.281% (SOFRRATE + 0.528%) due 11/3/25(b)    39,896 
 200,000   DBS Group Holdings Ltd., Subordinated Notes, 1.822% (5-Year CMT Index + 1.100%) due 3/10/31(b)    198,566 
 125,000   Goldman Sachs Group Inc., Senior Unsecured Notes, 3.500% due 4/1/25    132,547 
 200,000   Grupo Aval Ltd., Company Guaranteed Notes, 4.750% due 9/26/22    204,000 
 200,000   Grupo de Inversiones Suramericana SA, Senior Unsecured Notes, 5.500% due 4/29/26    213,000 
 5,896,000   Icahn Enterprises LP/Icahn Enterprises Finance Corp., Company Guaranteed Notes, 6.750% due 2/1/24    5,918,169 
 29,953   Interoceanica IV Finance Ltd., Senior Secured Notes, zero coupon, due 11/30/25    27,663 
 200,000   Itau Unibanco Holding SA, Subordinated Notes, 3.875% (5-Year CMT Index + 3.446%) due 4/15/31(b)    189,200 
     JPMorgan Chase & Co., Senior Unsecured Notes:     
 120,000   3.207% (3-Month USD-LIBOR + 0.695%) due 4/1/23(b)    121,035 
 15,000   3.900% due 7/15/25    16,202 
 80,000   Macquarie Bank Ltd., Senior Unsecured Notes, 2.100% due 10/17/22(a)    81,081 
 55,000   Macquarie Group Ltd., Senior Unsecured Notes, 4.150% (3-Month USD-LIBOR + 1.330%) due 3/27/24(a)(b)    57,222 
 125,000   Marsh & McLennan Cos., Inc., Senior Unsecured Notes, 3.875% due 3/15/24    132,731 
 140,000   Morgan Stanley, Senior Unsecured Notes, 0.529% (SOFRRATE + 0.455%) due 1/25/24(b)    139,450 
     NongHyup Bank, Senior Unsecured Notes:     
 200,000   1.250% due 7/20/25(a)    198,270 
 200,000   1.250% due 7/20/25    198,270 
 20,400,000NOK  Nordic Capital Fund II, 6.800% (3-Month NIBOR + 6.250%) due 6/30/24(b)    2,286,776 
 200,000   Oversea-Chinese Banking Corp., Ltd, Subordinated Notes, 1.832% (5-Year CMT Index + 1.580%) due 9/10/30(a)(b)    198,520 
 96,626   Peru Enhanced Pass-Through Finance Ltd., zero coupon, due 6/2/25    92,664 
 140,000   Royal Bank of Canada, Senior Unsecured Notes, 0.574% (SOFRRATE + 0.525%) due 1/20/26(b)    139,509 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Face
Amount/Units†
   Security  Value 
CORPORATE BONDS & NOTES – (continued) 
Financial - (continued)     
$100,000   Scotiabank Peru SAA, Subordinated Notes, 4.500% (3-Month USD-LIBOR + 3.856%) due 12/13/27(b)   $101,876 
 12,500,000SEK  Stockwik Förvaltning AB, Senior Secured Notes, 7.000% (3-Month SEK-STIBOR + 7.000%) due 9/3/23(b)    1,407,088 
 8,271,000   StoneX Group Inc., Senior Secured Notes, 8.625% due 6/15/25(a)    8,725,905 
 250,000   Temasek Financial I Ltd., Company Guaranteed Notes, 2.375% due 1/23/23    254,543 
 135,000   Toronto-Dominion Bank, Senior Unsecured Notes, 0.700% due 9/10/24    133,622 
 200,000   United Overseas Bank Ltd., Subordinated Notes, 1.750% (5-Year CMT Index + 1.520%) due 3/16/31(b)    198,270 
 5,040,000SEK  VNV Global AB, Senior Secured Notes, 5.750% due 10/4/22    568,064 
 135,000   Wells Fargo & Co., Senior Unsecured Notes, 1.654% (SOFRRATE + 1.600%) due 6/2/24(b)    136,416 
 125,000   Welltower Inc., Senior Unsecured Notes, 3.625% due 3/15/24    131,677 
     Total Financial    23,887,119 
Government - 0.1%     
 200,000   Banco Latinoamericano de Comercio Exterior SA, Senior Unsecured Notes, 2.375% due 9/14/25(a)    199,020 
 200,000   Perusahaan Penerbit SBSN Indonesia III, Senior Unsecured Notes, 1.500% due 6/9/26    199,760 
     Total Government    398,780 
Industrial - 4.3%     
 3,000,000   Altera Shuttle Tankers LLC, Senior Unsecured Notes, 7.125% due 8/15/22    3,030,000 
 130,000   Boeing Co., Senior Unsecured Notes, 4.508% due 5/1/23    135,722 
 1,370,000   C3 Nano Inc., Senior Secured Notes, 6.500% due 2/15/24(a)(d)    1,378,514 
 135,000   Canadian Pacific Railway Co., Company Guaranteed Notes, 1.350% due 12/2/24    134,876 
 130,000   Carrier Global Corp., Senior Unsecured Notes, 2.242% due 2/15/25    132,913 
 4,248,000   EnPro Industries Inc., Company Guaranteed Notes, 5.750% due 10/15/26    4,423,230 
 4,385,000   FXI Holdings Inc., Senior Secured Notes, 7.875% due 11/1/24(a)    4,450,775 
 9,643,000   INNOVATE Corp., Senior Secured Notes, 8.500% due 2/1/26(a)    9,643,000 
 6,800,000NOK  Lakers Group AB, 5.960% (3-Month NIBOR + 5.550)% due 6/9/25(a)(b)    775,552 
 130,000   Penske Truck Leasing Co. LP/PTL Finance Corp., Senior Unsecured Notes, 2.700% due 11/1/24(a)    134,494 
 130,000   Republic Services Inc., Senior Unsecured Notes, 2.500% due 8/15/24    134,195 
     Total Industrial    24,373,271 
Insurance - 0.4%     
 20,620,000SEK  ADDvise Group AB, 7.250% (3-Month SEK-STIBOR + 7.250%) due 5/21/24(b)    2,320,392 
Media - 1.7%     
 9,800,000   BuzzFeed Inc., 7.000% due 9/30/26(d)    9,800,000 
Technology - 3.6%     
 5,129,000EUR  Azerion Holding BV, Senior Secured Notes, 7.250% due 4/28/24    5,834,895 
 5,893,000   Diebold Nixdorf Inc., Company Guaranteed Notes, 8.500% due 4/15/24    5,816,863 
 6,305,000EUR  Fiven ASA, Senior Secured Notes, 6.850% (3-Month EURIBOR + 6.850%) due 6/21/24(b)    7,366,639 
 13,750,000SEK  Impala Group PLC, 9.000% (3-Month SEK-STIBOR + 9.000%) due 10/20/24(b)    1,528,735 
 135,000   Microchip Technology Inc., Senior Secured Notes, 0.972% due 2/15/24(a)    133,758 
     Total Technology    20,680,890 
Utilities - 3.6%     
 200,000   AES Andes SA, Junior Subordinated Notes, 7.125% (5-Year USD Swap Rate + 4.644%) due 3/26/79(a)(b)    199,728 
 60,000   Atmos Energy Corp., Senior Unsecured Notes, 0.625% due 3/9/23    59,877 
     Brazos Electric Power Cooperative Inc., :     
 6,027,000   zero coupon, due 3/23/49(d)    5,424,300 
 4,493,333   zero coupon, due 3/23/49(d)    4,044,000 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Face
Amount/Units†
   Security  Value 
CORPORATE BONDS & NOTES – (continued) 
Utilities - (continued)     
     DTE Energy Co., Senior Unsecured Notes:     
$60,000   2.529% due 10/1/24   $61,980 
 75,000   1.050% due 6/1/25    73,708 
 130,400   Empresa Electrica Angamos SA, Senior Secured Notes, 4.875% due 5/25/29    123,880 
 200,000   Enel Generacion Chile SA, Senior Unsecured Notes, 4.250% due 4/15/24    210,500 
 140,000   Entergy Louisiana LLC, Collateral Trust, 0.950% due 10/1/24    138,635 
 200,000   Guacolda Energia SA, Senior Unsecured Notes, 4.560% due 4/30/25    85,752 
 200,000   Inkia Energy Ltd., Senior Unsecured Notes, 5.875% due 11/9/27    203,252 
 200,000   Korea East-West Power Co., Ltd., Senior Unsecured Notes, 1.750% due 5/6/25(a)    202,214 
 200,000   Minejesa Capital BV, Senior Secured Notes, 4.625% due 8/10/30    205,500 
 135,000   Pacific Gas & Electric Co., 1st Mortgage Notes, 1.750% due 6/16/22    134,916 
 8,875,000   Rockpoint Gas Storage Canada Ltd., Senior Secured Notes, 7.000% due 3/31/23(a)    8,786,250 
 135,000   Southern California Edison Co., 1st Mortgage Notes, 0.879% (SOFRRATE + 0.830%) due 4/1/24(b)    135,269 
 200,000   State Grid Overseas Investment Ltd., Senior Unsecured Notes, 1.000% due 8/5/25    196,492 
 200,000   TNB Global Ventures Capital Bhd, Senior Unsecured Notes, 3.244% due 10/19/26    210,318 
   Total Utilities    20,496,571 
           TOTAL CORPORATE BONDS & NOTES
(Cost - $298,724,115)
      295,273,500   
SENIOR LOANS(b) - 16.4%     
 6,874,282   Access CIG LLC, 3.840% (1-Month USD-LIBOR + 3.750%) due 2/27/25    6,810,420 
 3,936,424   Change Healthcare Holdings LLC, 3.50% (3-Month USD-LIBOR + 2.500%) due 3/1/24    3,924,143 
 5,265,220   Forterra Finance LLC, 4.000% (1-Month USD-LIBOR + 3.000%) due 10/25/23    5,259,323 
 3,717,444   Golden Nugget Online Gaming Inc., 13.000% (3-Month USD-LIBOR + 12.000%) due 10/4/23    3,940,491 
     Intelsat Jackson Holdings SA:     
 6,236,000   0.000% (3-Month USD-LIBOR + 5.500%) due 11/27/23    6,233,381 
 6,963,000   0.000% (3-Month USD-LIBOR + 5.500%) due 1/2/24    6,975,147 
 8,446,019   JZ Capital Partners Ltd, 12.000% (3-Month USD-LIBOR + 11.000%) due 10/8/25(d)(e)    8,446,019 
 7,867,808   K&N Parent Inc., 5.750% (3-Month USD-LIBOR + 4.750%) due 10/20/23    7,332,797 
 2,695,935   Lealand Finance Co. BV, 3.090% (1-Month USD-LIBOR + 3.000%) due 6/28/24    1,347,968 
 16,720,629   Mallinckrodt International Finance SA, due 2/28/22(f)    16,284,053 
 5,863,000   Meredith Corp, 4.750% (1-Month USD-LIBOR + 2.500%) due 1/31/25    5,851,626 
 4,277,402   Pixelle Specialty Solutions LLC, 7.500% (1-Month USD-LIBOR + 6.500%) due 10/31/24    4,251,438 
 8,190,230   QuarterNorth Energy Holding Inc., 9.000% (1-Month USD-LIBOR + 8.000%) due 8/27/26    8,190,230 
 8,246,000   syncreon Group BV, 7.000% (1-Month USD-LIBOR + 6.000%) due 4/1/25    8,266,615 
     TOTAL SENIOR LOANS
(Cost - $95,054,873)
   93,113,651 
ASSET-BACKED SECURITIES - 5.7%     
 419,686   Aaset Trust, Series 2019-2, Class A, 3.376% due 10/16/39(a)    403,992 
     AccessLex Institute:     
 153,213   Series 2004-2, Class A3, 0.314% (3-Month USD-LIBOR + 0.190%) due 10/25/24(b)    151,813 
 191,983   Series 2007-A, Class A3, 0.480% (3-Month USD-LIBOR + 0.300%) due 5/25/36(b)    188,662 
 209,000   ACREC Ltd., Series 2021-FL1, Class A, 1.239% (1-Month USD-LIBOR + 1.150%) due 10/16/36(a)(b)    209,000 
     Affirm Asset Securitization Trust:     
 200,000   Series 2020-A, Class A, 2.100% due 2/18/25(a)    200,658 
 116,129   Series 2020-Z2, Class A, 1.900% due 1/15/25(a)    116,767 
 219,366   Series 2021-Z1, Class A, 1.070% due 8/15/25(a)    218,970 
 904,802   Ajax Mortgage Loan Trust, Series 2019-C, Class A, 3.950% due 10/25/58(a)    905,431 
 1,000,000   Allegro CLO X Ltd., Series 2019-1A, Class AR, 1.282% (3-Month USD-LIBOR + 1.150%) due 7/20/32(a)(b)    1,000,592 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Face
Amount/Units†
   Security  Value 
ASSET-BACKED SECURITIES - (continued)     
$90,280   Aqua Finance Trust, Series 2020-AA, Class A, 1.900% due 7/17/46(a)   $90,568 
 177,000   Arbor Realty Collateralized Loan Obligation Ltd., Series 2020-FL1, Class AS, 1.562% (SOFR30A + 1.514%) due 2/15/35(a)(b)    176,788 
     Arbor Realty Commercial Real Estate Notes Ltd.:     
 225,000   Series 2021-FL2, Class A, 1.190% (1-Month USD-LIBOR + 1.100%) due 5/15/36(a)(b)    224,367 
 209,000   Series 2021-FL3, Class A, 1.160% (1-Month USD-LIBOR + 1.070%) due 8/15/34(a)(b)    208,292 
 79,902   Arivo Acceptance Auto Loan Receivables Trust, Series 2019-1, Class A, 2.990% due 7/15/24(a)    80,501 
 500,000   Bain Capital Credit CLO, Series 2019-1A, Class AR, 1.254% (3-Month USD-LIBOR + 1.130%) due 4/19/34(a)(b)    499,873 
 220,733   Bayview Opportunity Master Fund IVa Trust, Series 2019-SBR1, Class A1, step bond to yield, 3.475% due 6/28/34(a)    222,170 
 184,000   BRSP Ltd., Series 2021-FL1, Class A, 1.239% (1-Month USD-LIBOR + 1.150%) due 8/19/38(a)(b)    183,389 
     BSPRT Issuer Ltd.:     
 280,901   Series 2019-FL5, Class A, 1.240% (1-Month USD-LIBOR + 1.150%) due 5/15/29(a)(b)    279,536 
 193,000   Series 2021-FL6, Class A, 1.190% (1-Month USD-LIBOR + 1.100%) due 3/15/36(a)(b)    193,000 
 450,417   CAL Funding IV Ltd., Series 2020-1A, Class A, 2.220% due 9/25/45(a)    449,987 
 991,833   Carlyle Global Market Strategies CLO Ltd., Series 2014-3RA, Class A1A, 1.185% (3-Month USD-LIBOR + 1.050%) due 7/27/31(a)(b)    991,138 
 1,000,000   Carlyle US CLO Ltd., Series 2021-7A, Class A1, 1.238% (3-Month USD-LIBOR + 1.160%) due 10/15/35(a)(b)    998,886 
     CHCP Ltd.:     
 250,000   Series 2021-FL1, Class A, 1.212% (SOFR30A + 1.164%) due 2/15/38(a)(b)    249,954 
 100,000   Series 2021-FL1, Class AS, 1.462% (SOFR30A + 1.414%) due 2/15/38(a)(b)    99,985 
 177,000   CLNC Ltd., Series 2019-FL1, Class AS, 1.712% (SOFR30A + 1.664%) due 8/20/35(a)(b)    177,155 
 236,622   Commonbond Student Loan Trust, Series 2020-AGS, Class A, 1.980% due 8/25/50(a)    236,913 
 28,959   DT Auto Owner Trust, Series 2020-2A, Class A, 1.140% due 1/16/24(a)    28,994 
 700,000   Exeter Automobile Receivables Trust, Series 2021-1A, Class C, 0.740% due 1/15/26    699,167 
 4,274   Freed ABS Trust, Series 2020-FP1, Class A, 2.520% due 3/18/27(a)    4,277 
 209,000   FS Rialto, Series 2021-FL3, Class A, 1.339% (1-Month USD-LIBOR + 1.250%) due 11/16/36(a)(b)    209,062 
 200,000   FS RIALTO, Series 2021-FL2, Class A, 1.309% (1-Month USD-LIBOR + 1.220%) due 4/16/28(a)(b)    199,627 
 500,000   Galaxy XXVII CLO Ltd., Series 2018-27A, Class A, 1.175% (3-Month USD-LIBOR + 1.020%) due 5/16/31(a)(b)    499,157 
 250,000   Genesis Sales Finance Master Trust, Series 2020-AA, Class A, 1.650% due 9/22/25(a)    251,144 
 184,000   Greystone CRE Notes Ltd., Series 2021-FL3, Class A, 1.110% (1-Month USD-LIBOR + 1.020%) due 7/15/39(a)(b)    183,806 
 500,000   Greywolf CLO V Ltd., Series 2015-1A, Class A1R, 1.284% (3-Month USD-LIBOR + 1.160%) due 1/27/31(a)(b)    500,079 
 1,000,000   Greywolf CLO VII Ltd., Series 2018-2A, Class A1, 1.312% (3-Month USD-LIBOR + 1.180%) due 10/20/31(a)(b)    999,004 
 1,000,000   Gulf Stream Meridian 3 Ltd., Series 2021-IIIA, Class A1, 1.444% (3-Month USD-LIBOR + 1.320%) due 4/15/34(a)(b)    1,000,272 
 500,000   Halseypoint Clo 5 Ltd., Series 2021-5A, Class A1A, 0.000% (3-Month USD-LIBOR + 1.210%) due 1/30/35(a)(b)(d)    500,000 
 500,000   Hayfin US XII Ltd., Series 2018-8A, Class A, 1.252% (3-Month USD-LIBOR + 1.120%) due 4/20/31(a)(b)    499,600 
 500,000   Hertz Vehicle Financing LLC, Series 2021-1A, Class B, 1.560% due 12/26/25(a)    497,541 
     HGI CRE CLO Ltd.:     
 200,000   Series 2021-FL1, Class A, 1.139% (1-Month USD-LIBOR + 1.050%) due 6/16/36(a)(b)    199,891 
 209,000   Series 2021-FL2, Class A, 1.089% (1-Month USD-LIBOR + 1.000%) due 9/17/36(a)(b)    208,239 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Face
Amount/Units†
   Security  Value 
ASSET-BACKED SECURITIES - (continued)     
$328,004   Hilton Grand Vacations Trust, Series 2020-AA, Class A, 2.740% due 2/25/39(a)   $337,882 
 170,477   Invitation Homes Trust, Series 2018-SFR1, Class A, 0.791% (1-Month USD-LIBOR + 0.700%) due 3/17/37(a)(b)    170,490 
 38,784   Laurel Road Prime Student Loan Trust, Series 2019-A, Class A1FX, 2.340% due 10/25/48(a)    39,231 
     LCCM Trust:     
 184,000   Series 2021-FL2, Class A, 1.290% (1-Month USD-LIBOR + 1.200%) due 12/13/38(a)(b)    183,779 
 210,000   Series 2021-FL3, Class A, 1.550% (1-Month USD-LIBOR + 1.450%) due 11/15/38(a)(b)(d)    210,064 
 173,000   LMREC Inc., Series 2019-CRE3, Class A, 1.492% (1-Month USD-LIBOR + 1.400%) due 12/22/35(a)(b)    172,990 
 500,000   Madison Park Funding XXXIV Ltd., Series 2019-34A, Class AR, 1.244% (3-Month USD-LIBOR + 1.120%) due 4/25/32(a)(b)    500,221 
 1,000,000   Marble Point CLO XXI Ltd., Series 2021-3A, Class A1, 1.369% (3-Month USD-LIBOR + 1.240%) due 10/17/34(a)(b)    999,410 
 186,000   Marlette Funding Trust, Series 2019-4A, Class C, 3.760% due 12/17/29(a)    190,226 
 490,000   ME Funding LLC, Series 2019-1, Class A2, 6.448% due 7/30/49(a)    514,925 
     MF1 Ltd.:     
 200,000   Series 2021-FL6, Class A, 1.189% (1-Month USD-LIBOR + 1.100%) due 7/16/36(a)(b)    199,572 
 208,000   Series 2021-FL7, Class A, 1.169% (1-Month USD-LIBOR + 1.080%) due 10/16/36(a)(b)    207,494 
 120,009   Navient Private Education Refi Loan Trust, Series 2020-GA, Class A, 1.170% due 9/16/69(a)    119,600 
 341,000   NLY Commercial Mortgage Trust, Series 2019-FL2, Class AS, 1.690% (1-Month USD-LIBOR + 1.600%) due 2/15/36(a)(b)    340,352 
 988,761   Northwoods Capital XVI Ltd., Series 2017-16A, Class A, 1.426% (3-Month USD-LIBOR + 1.270%) due 11/15/30(a)(b)    989,047 
 982,916   Ocean Trails CLO V, Series 2014-5A, Class ARR, 1.402% (3-Month USD-LIBOR + 1.280%) due 10/13/31(a)(b)    982,884 
 250,000   OCP CLO Ltd., Series 2014-5A, Class A1R, 1.205% (3-Month USD-LIBOR + 1.080%) due 4/26/31(a)(b)    250,000 
     Pagaya AI Debt Selection Trust:     
 106,235   Series 2020-3, Class A, 2.100% due 5/17/27(a)    106,712 
 311,191   Series 2021-1, Class A, 1.180% due 11/15/27(a)    310,776 
 650,000   Series 2021-3, Class B, 1.740% due 5/15/29(a)    642,814 
 500,000   Series 2021-5, Class A, 1.530% due 8/15/29(a)    499,867 
 485,589   PRET LLC, Series 2021-NPL3, Class A1, step bond to yield, 1.868% due 7/25/51(a)    482,949 
 350,000   Sofi Consumer Loan Program Trust, Series 2018-2, Class C, 4.250% due 4/26/27(a)    354,063 
 1,000,000   Sound Point CLO VI-R Ltd., Series 2014-2RA, Class A, 1.382% (3-Month USD-LIBOR + 1.250%) due 10/20/31(a)(b)    999,998 
 500,000   Sound Point CLO XVIII Ltd., Series 2017-4A, Class A1, 1.252% (3-Month USD-LIBOR + 1.120%) due 1/21/31(a)(b)    500,005 
 1,000,000   Steele Creek CLO Ltd., Series 2018-2A, Class A, 1.360% (3-Month USD-LIBOR + 1.200%) due 8/18/31(a)(b)    999,835 
 200,000   STWD Ltd., Series 2021-FL2, Class A, 1.289% (1-Month USD-LIBOR + 1.200%) due 4/18/38(a)(b)    199,845 
 150,000   Theorem Funding Trust, Series 2020-1A, Class B, 3.950% due 10/15/26(a)    152,370 
 1,000,000   Trimaran Cavu Ltd., Series 2019-1A, Class A1, 1.592% (3-Month USD-LIBOR + 1.460%) due 7/20/32(a)(b)    1,002,283 
 200,000   TRTX Issuer Ltd., Series 2021-FL4, Class A, 1.289% (1-Month USD-LIBOR + 1.200%) due 3/15/38(a)(b)    199,991 
     Upstart Securitization Trust:     
 305,774   Series 2020-3, Class A, 1.702% due 11/20/30(a)    306,904 
 303,529   Series 2021-3, Class A, 0.830% due 7/20/31(a)    302,842 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Face
Amount/Units†
   Security  Value 
ASSET-BACKED SECURITIES - (continued)     
$741,688   VCAT LLC, Series 2021-NPL4, Class A1, step bond to yield, 1.868% due 8/25/51(a)   $739,368 
 500,000   Vibrant ClO VIII Ltd., Series 2018-8A, Class A1A, 1.272% (3-Month USD-LIBOR + 1.140%) due 1/20/31(a)(b)    499,999 
 568,656   VOLT XCII LLC, Series 2021-NPL1, Class A1, step bond to yield, 1.893% due 2/27/51(a)(d)    567,476 
 382,582   VOLT XCIV LLC, Series 2021-NPL3, Class A1, step bond to yield, 2.240% due 2/27/51(a)(d)    381,713 
 791,241   VOLT XCIX LLC, Series 2021-NPL8, Class A1, step bond to yield, 2.116% due 4/25/51(a)    789,593 
 500,000   Wellfleet CLO X Ltd., Series 2019-XA, Class A1R, 1.302% (3-Month USD-LIBOR + 1.170%) due 7/20/32(a)(b)    500,062 
     TOTAL ASSET-BACKED SECURITIES
(Cost - $32,170,617)
   32,185,879 
COLLATERALIZED MORTGAGE OBLIGATIONS - 4.1%     
 350,023   Angel Oak Mortgage Trust, Series 2020-6, Class A1, 1.261% due 5/25/65(a)(b)    350,216 
 183,000   Arbor Multifamily Mortgage Securities Trust, Series 2021-MF2, Class A2, 2.023% due 6/15/54(a)    184,353 
     BANK:     
 1,505,668   Series 2017-BNK4, Class XA, 1.378% due 5/15/50(g)    80,117 
 1,811,151   Series 2017-BNK6, Class XA, 0.802% due 7/15/60(g)    63,395 
     BBCMS Mortgage Trust:     
 200,000   Series 2019-BWAY, Class A, 1.046% (1-Month USD-LIBOR + 0.956%) due 11/15/34(a)(b)    199,491 
 1,484,294   Series 2021-C9, Class XA, 1.639% due 2/15/54(g)    176,551 
     Benchmark Mortgage Trust:     
 10,682,347   Series 2018-B4, Class XA, 0.508% due 7/15/51(g)    262,004 
 3,678,886   Series 2020-B16, Class XA, 0.927% due 2/15/53(g)    238,949 
 208,000   BPR Trust, Series 2021-TY, Class A, 1.140% (1-Month USD-LIBOR + 1.050%) due 9/15/38(a)(b)    207,937 
 721,134   BRAVO Residential Funding Trust, Series 2021-A, Class A1, step bond to yield, 1.991% due 12/31/49(a)    717,496 
 184,000   BSREP Commercial Mortgage Trust, Series 2021-DC, Class A, 1.040% (1-Month USD-LIBOR + 0.950%) due 8/15/38(a)(b)    183,712 
     BX Commercial Mortgage Trust:     
 209,000   Series 2021-21M, Class A, 0.820% (1-Month USD-LIBOR + 0.730%) due 10/15/36(a)(b)    207,701 
 208,000   Series 2021-VOLT, Class B, 1.040% (1-Month USD-LIBOR + 0.950%) due 9/15/36(a)(b)    206,502 
 209,000   Series 2021-XL2, Class B, 1.088% (1-Month USD-LIBOR + 0.998%) due 10/15/38(a)(b)    207,978 
     BX Trust:     
 205,971   Series 2018-EXCL, Class A, 1.178% (1-Month USD-LIBOR + 1.088%) due 9/15/37(a)(b)    205,088 
 183,000   Series 2021-VIEW, Class A, 1.370% (1-Month USD-LIBOR + 1.280%) due 6/15/23(a)(b)    183,000 
 209,000   BXHPP Trust, Series 2021-FILM, Class B, 0.990% (1-Month USD-LIBOR + 0.900%) due 8/15/36(a)(b)    207,701 
 1,643,087   CD Mortgage Trust, Series 2017-CD4, Class XA, 1.431% due 5/10/50(b)(g)    80,114 
     CFCRE Commercial Mortgage Trust:     
 1,131,579   Series 2017-C8, Class XA, 1.661% due 6/15/50(b)(g)    74,560 
 287,000   Series 2017-C8, Class XB, 1.071% due 6/15/50(b)(g)    13,247 
     Citigroup Commercial Mortgage Trust:     
 386,000   Series 2019-PRM, Class D, 4.350% due 5/10/36(a)    400,554 
 2,141,707   Series 2020-GC46, Class XA, 1.106% due 2/15/53(b)(g)    143,562 

 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Face
Amount/Units†
   Security  Value 
COLLATERALIZED MORTGAGE OBLIGATIONS - (continued)     
$208,628   COLT Mortgage Loan Trust, Series 2020-2, Class A1, 1.853% due 3/25/65(a)(b)   $209,150 
 236,107   COLT Mortgage Pass-Through Certificates, Series 2021-1R, Class A1, 0.857% due 5/25/65(a)(b)    234,939 
 1,000,000   COLT Trust, Series 2021-RPL1, Class A1, 1.665% due 9/25/61(a)(b)    999,068 
     Commercial Mortgage Trust:     
 16,577,006   Series 2013-CR9, Class XA, 0.072% due 7/10/45(b)(g)    9,210 
 1,373,327   Series 2013-LC6, Class XA, 1.420% due 1/10/46(b)(g)    11,241 
 227,000   Series 2018-HCLV, Class A, 1.089% (1-Month USD-LIBOR + 1.000%) due 9/15/33(a)(b)    225,648 
     Credit Suisse Commercial Mortgage Capital Trust:     
 573,000   Series 2017-CHOP, Class E, 3.640% (1-Month USD-LIBOR + 3.550%) due 7/15/32(a)(b)    547,056 
 561,464   Series 2020-RPL3, Class A1, 2.691% due 3/25/60(a)(b)    564,589 
 58,495   Credit Suisse Commercial Mortgage Securities Corp., Series 2019-SKLZ, Class A, 1.340% (1-Month USD-LIBOR + 1.250%) due 1/15/34(a)(b)    58,777 
     CSAIL Commercial Mortgage Trust:     
 709,001   Series 2017-C8, Class XA, 1.352% due 6/15/50(b)(g)    30,589 
 4,754,363   Series 2017-CX10, Class XA, 0.846% due 11/15/50(b)(g)    156,542 
 3,324,319   Series 2018-CX12, Class XA, 0.728% due 8/15/51(b)(g)    105,510 
 200,000   DBJPM Mortgage Trust, Series 2016-C3, Class A5, 2.890% due 8/10/49    208,942 
 209,000   EQUS Mortgage Trust, Series 2021-EQAZ, Class A, 0.845% (1-Month USD-LIBOR + 0.755%) due 10/15/38(a)(b)    207,827 
     Federal National Mortgage Association (FNMA), Aces:     
 1,189,218   Series 2020-M49, Class 1A1, 1.297% due 11/25/30(b)    1,175,787 
 693,180   Series 2021-M5, Class A1, 1.510% due 1/25/33(b)    693,494 
 1,078,650   Series 2021-M6, Class A1, 1.532% due 3/25/33(b)    1,079,262 
 297,005   Series 2021-M7, Class A1, 1.776% due 3/25/31(b)    301,327 
 290,605   GCAT LLC, Series 2019-NQM1, Class A1, step bond to yield, 2.985% due 2/25/59(a)    289,993 
     GS Mortgage Securities Corp. Trust:     
 361,000   Series 2012-ALOH, Class A, 3.551% due 4/10/34(a)    362,510 
 208,000   Series 2021-IP, Class A, 1.040% (1-Month USD-LIBOR + 0.950%) due 10/15/36(a)(b)    208,062 
     GS Mortgage Securities Trust:     
 3,813,891   Series 2016-GS4, Class XA, 0.704% due 11/10/49(b)(g)    95,444 
 1,732,611   Series 2017-GS6, Class XA, 1.172% due 5/10/50(b)(g)    86,130 
 3,579,319   Series 2017-GS8, Class XA, 1.111% due 11/10/50(b)(g)    154,112 
 3,220,282   Series 2020-GC47, Class XA, 1.246% due 5/12/53(b)(g)    266,586 
     JP Morgan Chase Commercial Mortgage Securities Trust:     
 1,943,911   Series 2014-C20, Class XA, 1.007% due 7/15/47(b)(g)    27,167 
 4,075,000   Series 2020-MKST, Class XCP, 2.628% due 12/15/36(a)(b)(g)    3,861 
     JPMBB Commercial Mortgage Securities Trust:     
 997,139   Series 2015-C32, Class XA, 1.355% due 11/15/48(b)(g)    26,928 
 200,000   Series 2016-C1, Class A5, 3.576% due 3/15/49    214,156 
     Legacy Mortgage Asset Trust:     
 364,402   Series 2020-GS4, Class A1, step bond to yield, 3.250% due 2/25/60(a)    365,449 
 476,441   Series 2021-GS4, Class A1, step bond to yield, 1.650% due 11/25/60(a)    471,664 
 576,392   Series 2021-SL1, Class A, 1.991% due 9/25/60(a)(b)(d)    572,291 
 159,300   LoanCore Issuer Ltd., Series 2019-CRE3, Class AS, 1.460% (1-Month USD-LIBOR + 1.370%) due 4/15/34(a)(b)    159,229 
 112,863   MF1 Ltd., Series 2020-FL3, Class A, 2.212% (SOFR30A + 2.164%) due 7/15/35(a)(b)    113,828 
     Morgan Stanley Capital I Trust:     
 1,355,013   Series 2016-UB11, Class XA, 1.634% due 8/15/49(b)(g)    71,892 
 3,838,006   Series 2016-UB12, Class XA, 0.846% due 12/15/49(b)(g)    102,130 
 896,064   Series 2017-H1, Class XA, 1.499% due 6/15/50(b)(g)    47,582 
 184,000   Series 2021-L6, Class A2, 2.126% due 6/15/54    186,168 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Face
Amount/Units†
   Security  Value 
COLLATERALIZED MORTGAGE OBLIGATIONS - (continued)     
$210,000   Morgan Stanley Capital I, Inc., Series 2021-ILP, Class A, 0.878% (1-Month USD-LIBOR + 0.778%) due 11/15/23(a)(b)   $209,263 
 209,000   Motel Trust, Series 2021-MTL6, Class A, 0.990% (1-Month USD-LIBOR + 0.900%) due 9/15/38(a)(b)    208,874 
     New Residential Mortgage Loan Trust:     
 281,064   Series 2020-NQM1, Class A2, 2.718% due 1/26/60(a)(b)    282,336 
 631,588   Series 2020-RPL2, Class A1, 3.578% due 8/25/25(a)(b)    638,425 
 473,704   NYMT Loan Trust, Series 2020-SP2, Class A1, 2.944% due 10/25/60(a)(b)    473,806 
     PFP Ltd.:     
 95,207   Series 2019-6, Class A, 1.141% (1-Month USD-LIBOR + 1.050%) due 4/14/37(a)(b)    94,898 
 209,000   Series 2021-8, Class A, 1.090% (1-Month USD-LIBOR + 1.000%) due 8/9/37(a)(b)    208,289 
 626,063   PRPM LLC, Series 2021-4, Class A1, step bond to yield, 1.867% due 4/25/26(a)    620,685 
 236,933   Shelter Growth CRE Issuer Ltd., Series 2019-FL2, Class B, 1.890% (1-Month USD-LIBOR + 1.800%) due 5/15/36(a)(b)    235,574 
 210,000   SREIT Trust 2021-MFP, Series 2021-MFP, Class A, 0.831% (1-Month USD-LIBOR + 0.731%) due 11/15/38(a)(b)    208,796 
     UBS Commercial Mortgage Trust:     
 747,465   Series 2012-C1, Class XA, 2.165% due 5/10/45(a)(b)(g)    118 
 891,323   Series 2017-C1, Class XA, 1.690% due 6/15/50(b)(g)    59,495 
     Velocity Commercial Capital Loan Trust:     
 1,353,396   Series 2021-2, Class A, 1.520% due 8/25/51(a)(b)    1,329,874 
 496,504   Series 2021-2, Class M1, 1.820% due 8/25/51(a)(b)    487,999 
     Verus Securitization Trust:     
 952,214   Series 2019-INV2, Class A3, 3.219% due 7/25/59(a)(b)    957,201 
 116,071   Series 2020-2, Class A1, 2.226% due 5/25/60(a)(b)    116,515 
 700,000   Series 2021-7, Class A1, 1.829% due 10/25/66(a)(b)    699,748 
 500,378   Series 2021-R1, Class A2, 1.057% due 10/25/63(a)(b)    499,244 
 213,223   Vista Point Securitization Trust, Series 2020-2, Class A1, 1.475% due 4/25/65(a)(b)    213,048 
     Wells Fargo Commercial Mortgage Trust:     
 2,405,997   Series 2015-LC22, Class XA, 0.929% due 9/15/58(b)(g)    60,406 
 4,796,138   Series 2015-NXS2, Class XA, 0.802% due 7/15/58(b)(g)    98,340 
 185,000   Series 2021-C60, Class A2, 2.042% due 8/15/54    186,583 
 90,902   Series 2021-SAVE, Class A, 1.240% (1-Month USD-LIBOR + 1.150%) due 2/15/40(a)(b)    90,927 
     TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS     
     (Cost - $25,419,763)    23,218,812 
           
                                    Rating††     
MUNICIPAL BONDS - 0.8%     

Puerto Rico - 0.8%  
              Puerto Rico Highway & Transportation Authority:        
1,900,000   WR(h) zero coupon, due 7/1/22     1,826,565  
2,820,000   WR(h) zero coupon, due 7/1/23     2,554,553  
        Total Puerto Rico     4,381,118  
        TOTAL MUNICIPAL BONDS        
        (Cost - $4,347,239)     4,381,118  
MORTGAGE-BACKED SECURITIES - 0.5%  
FHLMC - 0.2%  
855,910     Freddie Mac Pool, 1.500% due 2/1/36     860,884  

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Face
Amount/Units†
   Security  Value 
MORTGAGE-BACKED SECURITIES - (continued) 
FNMA - 0.3% 
     Federal National Mortgage Association (FNMA):     
$886,313   2.000% due 1/1/36   $912,435 
 884,693   2.500% due 8/1/41    924,408 
     TOTAL FNMA    1,836,843 
     TOTAL MORTGAGE-BACKED SECURITIES     
     (Cost - $2,735,396)    2,697,727 
SOVEREIGN BONDS - 0.2%     
Brazil - 0.0%     
 200,000   Brazilian Government International Bond, 2.875% due 6/6/25    199,946 
Chile - 0.0%     
 200,000   Chile Government International Bond, 3.125% due 1/21/26    210,166 
Colombia - 0.0%     
 200,000   Colombia Government International Bond, 4.500% due 1/28/26    208,286 
Panama - 0.0%     
 200,000   Panama Government International Bond, 3.750% due 3/16/25    211,170 
Peru - 0.0%     
 200,000   Corporacion Financiera de Desarrollo SA, 5.250% due 7/15/29    205,500 
 50,000   Peruvian Government International Bond, 2.392% due 1/23/26    50,742 
     Total Peru    256,242 
Qatar - 0.0%     
 200,000   Qatar Government International Bond, 3.250% due 6/2/26    212,970 
Saudi Arabia - 0.1%     
 250,000   Saudi Government International Bond, 2.875% due 3/4/23    256,501 
South Korea - 0.1%     
 250,000   Korea Development Bank, 1.000% due 9/9/26    245,102 
 200,000   Korea Electric Power Corp., 1.125% due 6/15/25    198,134 
     Total South Korea    443,236 
United Arab Emirates - 0.0%     
 200,000   Abu Dhabi Government International Bond, 2.500% due 4/16/25(a)    207,445 
     TOTAL SOVEREIGN BONDS     
     (Cost - $2,237,597)    2,205,962 
      
Shares/Units       
COMMON STOCKS - 9.5%     
DIVERSIFIED - 8.9%     
SPACs - 8.9%     
 21,581   26 Capital Acquisition Corp., Class A Shares*    213,004 
 27,779   7 Acquisition Corp.*    281,401 
 331,829   890 5th Avenue Partners Inc., Class A Shares*(i)    3,318,290 
 12,138   Adit EdTech Acquisition Corp.*    120,773 
 1,382   Aries I Acquisition Corp., Class A Shares*    13,806 
 27,530   Arrowroot Acquisition Corp., Class A Shares*    267,592 
 44,619   Athena Consumer Acquisition Corp.*    452,883 
 23,979   Athlon Acquisition Corp., Class A Shares*    234,515 
 177,273   Atlantic Avenue Acquisition Corp., Class A Shares*    1,749,684 
 23,979   Authentic Equity Acquisition Corp., Class A Shares*    234,754 
 8,000   AxonPrime Infrastructure Acquisition Corp.*(d)(e)     
 146,774   Berenson Acquisition Corp. I*    1,463,337 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Shares/Units   Security  Value 
COMMON STOCKS – (continued)     
DIVERSIFIED - (continued)     
SPACs - (continued)     
 25,927   Berenson Acquisition Corp. I*(e)   $ 
 137,418   BGP Acquisition Corp., Class A Shares*(d)    1,288,981 
 30,427   Bite Acquisition Corp.*    296,968 
 55,266   Blockchain Coinvestors Acquisition Corp. I*    563,713 
 110,902   Blockchain Moon Acquisition Corp.*    1,085,731 
 1   BOA Acquisition Corp., Class A Shares*    10 
 17,480   Capstar Special Purpose Acquisition Corp., Class A Shares*    173,926 
 78,591   Cartesian Growth Corp., Class A Shares*    781,195 
 26,559   Cascade Acquisition Corp., Class A Shares*(i)    265,192 
 41,903   CF Acquisition Corp. IV, Class A Shares*    410,649 
 46,444   CF Acquisition Corp. VI*    453,758 
 46,688   Clarim Acquisition Corp., Class A Shares*(d)    457,542 
 31,129   Cohn Robbins Holdings Corp., Class A Shares*    307,555 
 23,979   COVA Acquisition Corp., Class A Shares*    233,555 
 41,264   Crescera Capital Acquisition Corp.*(d)    412,640 
 500   Crown PropTech Acquisitions, Class A Shares*    4,940 
 7,704   DHB Capital Corp., Class A Shares*    74,729 
 63,566   Disruptive Acquisition Corp. I, Class A Shares*(d)    617,226 
 38,018   DP Capital Acquisition Corp. I*    383,221 
 12,897   Duddell Street Acquisition Corp., Class A Shares*    127,680 
 15,516   EJF Acquisition Corp., Class A Shares*    154,539 
 42,568   Empowerment & Inclusion Capital I Corp., Class A Shares*    417,592 
 35,905   Enterprise 4.0 Technology Acquisition Corp.*    363,538 
 41,900   Environmental Impact Acquisition Corp., Class A Shares*(i)    416,905 
 23,979   EQ Health Acquisition Corp., Class A Shares*    234,275 
 59,814   Equity Distribution Acquisition Corp., Class A Shares*    587,972 
 16,819   ESGEN Acquisition Corp.*    170,040 
 71,224   Everest Consolidator Acquisition Corp.*(d)    718,650 
 57,452   Executive Network Partnering Corp., Class A Shares*    565,328 
 23,979   Fintech Evolution Acquisition Group, Class A Shares*    233,555 
 58,605   Forum Merger IV Corp., Class A Shares*    573,743 
 62,879   FTAC Zeus Acquisition Corp.*    632,563 
 76,630   G&P Acquisition Corp., Class A Shares*    757,871 
 150,413   Global Consumer Acquisition Corp.*    1,496,609 
 29,178   Global Partner Acquisition Corp. II, Class A Shares*    284,631 
 13,500   Goal Acquisitions Corp.*    131,895 
 90,017   Golden Falcon Acquisition Corp., Class A Shares*    883,967 
 70,544   Hamilton Lane Alliance Holdings I Inc., Class A Shares*    689,920 
 23,979   Healthcare Services Acquisition Corp., Class A Shares*    234,515 
 188,128   Iconic Sports Acquisition Corp.*    1,903,855 
 23,979   Ignyte Acquisition Corp.*(d)    234,515 
 111,117   Intelligent Medicine Acquisition Corp.*    1,124,504 
 51,527   Isleworth Healthcare Acquisition Corp.*    508,056 
 23,979   Itiquira Acquisition Corp., Class A Shares*    234,275 
 23,979   Jack Creek Investment Corp., Class A Shares*    234,515 
 47,500   LightJump Acquisition Corp.*    468,350 
 468,448   Mason Industrial Technology Inc., Class A Shares*    4,572,052 
 111,117   Mountain & Co. I Acquisition Corp.*    1,132,282 
 166,676   New Providence Acquisition Corp. II*(i)    1,676,761 
 6,091   Newcourt Acquisition Corp.*    61,458 
 23,979   North Atlantic Acquisition Corp., Class A Shares*    234,515 
 52,110   Oaktree Acquisition Corp. II, Class A Shares*    516,410 
 120,600   Omnichannel Acquisition Corp., Class A Shares*(i)    1,199,970 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Shares/Units   Security  Value 
COMMON STOCKS – (continued) 
DIVERSIFIED - (continued) 
SPACs - (continued)     
 21,725   OmniLit Acquisition Corp.*   $219,205 
 43,737   One Equity Partners Open Water I Corp., Class A Shares*    424,249 
 23,979   Oyster Enterprises Acquisition Corp., Class A Shares*    235,234 
 39,200   Peridot Acquisition Corp. II, Class A Shares*    383,376 
 4,417   Pontem Corp., Class A Shares*    43,287 
 12,783   PWP Forward Acquisition Corp. I, Class A Shares*    125,018 
 67,008   Pyrophyte Acquisition Corp.*    680,131 
 55,559   Rigel Resource Acquisition Corp.*(d)    560,590 
 49,915   RMG Acquisition Corp. III, Class A Shares*    488,668 
 38,349   Seven Oaks Acquisition Corp., Class A Shares*(i)    383,490 
 23,631   ShoulderUp Technology Acquisition Corp.*    238,437 
 23,979   Silver Crest Acquisition Corp., Class A Shares*    235,474 
 35,905   SportsMap Tech Acquisition Corp.*    362,640 
 65,340   Tailwind International Acquisition Corp., Class A Shares*    637,065 
 45,907   Tailwind Two Acquisition Corp., Class A Shares*    454,020 
 25,622   Tech & Energy Transition Corp., Class A Shares*    249,558 
 115,315   Tekkorp Digital Acquisition Corp., Class A Shares*    1,135,853 
 85,905   Tishman Speyer Innovation Corp. II, Class A Shares*    838,433 
 133,499   Trebia Acquisition Corp., Class A Shares*    1,324,310 
 155,274   Vector Acquisition Corp. II, Class A Shares*    1,529,449 
 17,748   Zanite Acquisition Corp., Class A Shares*    180,142 
     Total SPACs    50,667,505 
     TOTAL DIVERSIFIED    50,667,505 
ENERGY - 0.0%     
Oil & Gas Services - 0.0%     
 3,121   Superior Energy Services Inc.*(d)    129,522 
FINANCIAL - 0.6%     
Banks - 0.6%     
 262,512   Hambro Perks Asset Management Ltd., Class A Shares*    3,499,971 
     TOTAL COMMON STOCKS     
     (Cost - $52,970,275)    54,296,998 
EXCHANGE TRADED FUND (ETF) - 6.1%     
 685,915   iShares Core 1-5 Year USD Bond      
     (Cost - $34,976,851)    34,693,581 
PREFERRED STOCK - 0.7%     
FINANCIAL - 0.7%       
Equity Real Estate Investment Trusts (REITs) - 0.7%     
 142,531   Gladstone Land Corp., 5.000%      
     (Cost - $3,563,275)    3,627,414 
WARRANT - 0.0%     
DIVERSIFIED - 0.0%     
SPACs - 0.0%     
 2,568   DHB Capital Corp.*(d)      
     (Cost - $198)    1,618 
     TOTAL INVESTMENTS BEFORE SHORT-TERM INVESTMENTS     
     (Cost - $552,200,199)    545,696,260 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Face
Amount
   Security  Value 
SHORT-TERM INVESTMENTS - 6.6% 
TIME DEPOSITS - 5.5%     
$2,645,391   Banco Bilbao Vizcaya Argentaria SA - Madrid, 0.005% due 12/1/21   $2,645,391 
 4,393,767   BNP Paribas - Paris, 0.005% due 12/1/21    4,393,767 
 24,250,424   Royal Bank of Canada - Toronto, 0.005% due 12/1/21    24,250,424 
     TOTAL TIME DEPOSITS     
     (Cost - $31,289,582)    31,289,582 
U.S. GOVERNMENT OBLIGATION - 1.1%     
 6,550,000   U. S. Treasury Bill, 0.042% due 1/6/22(j)      
     (Cost - $6,549,728)    6,549,728 
     TOTAL SHORT-TERM INVESTMENTS     
     (Cost - $37,839,310)    37,839,310 
      
    Shares/Units     
INVESTMENTS PURCHASED WITH CASH PROCEEDS FROM SECURITIES LENDING - 0.9%     
MONEY MARKET FUND - 0.9%     
 4,985,560   Federated Government Obligations Fund, Premier Class, 0.025%(k)     
     (Cost - $4,985,560)   $4,985,560 
     TOTAL INVESTMENTS - 103.5%     
     (Cost - $595,025,069)    588,521,130 
     Liabilities in Excess of Other Assets - (3.5)%    (19,759,325)
     TOTAL NET ASSETS - 100.0%   $568,761,805 

 

 

Face amount denominated in U.S. dollars, unless otherwise noted.
†† All ratings are by Standard & Poor's Rating Service, unless otherwise noted.
*Non-income producing security.
(a)Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $212,501,265 and represents 37.36% of net assets.
(b)Variable rate security. Interest rate disclosed is that which was in effect at November 30, 2021.
(c)Payment in-kind security for which part of the income earned may be paid as additional principal.
(d)Illiquid security. The aggregate value of illiquid holdings at November 30, 2021, amounts to $35,745,661 and represents 6.28% of net assets.
(e)Security is valued in good faith at fair value by or under the direction of the Board of Trustees using significant unobservable inputs.
(f)This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate.
(g)Interest only security.
(h)Rating by Moody's Investors Service. All ratings are unaudited.
(i)All or a portion of this security is on loan.
(j)Rate shown represents yield-to-maturity.
(k)Represents investment of collateral received from securities lending transactions.

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (continued)

 

Abbreviations used in this schedule:
ABS Asset-Based Security
CLO Collateralized Loan Obligation
CMT Constant Maturity Treasury Index
EURIBOR Euro Interbank Offered Rate
LIBOR London Interbank Offered Rate
LLC Limited Liability Company
LP Limited Partnership
NIBOR Norwegian Interbank Offered Rate
PLC Public Limited Company
SARL Société à responsabilité limitée
SOFR Secured Overnight Financing Rate
SPACs Special Purpose Acquisition Companies
STIBOR Stockholm Interbank Offered Rate

 

Summary of Investments by Security Type^        
Corporate Bonds & Notes    50.2%
Senior Loans    15.8 
Common Stocks    9.2 
Exchange Traded Fund (ETF)    5.9 
Asset-Backed Securities    5.5 
Collateralized Mortgage Obligations    3.9 
Municipal Bonds    0.7 
Preferred Stock    0.6 
Mortgage-Backed Securities    0.5 
Sovereign Bonds    0.4 
Warrant    0.0*
Short-Term Investments    6.4 
Money Market Fund    0.9 
    100.0%

 

 

^As a percentage of total investments.
*Position represents less than 0.05%.

 

At November 30, 2021, Destinations Low Duration Fixed Income Fund had open forward foreign currency contracts as described below.

 

The unrealized appreciation/(depreciation) on the open contracts were as follows:

 

Foreign Currency  Local Currency   Counterparty   Market Value   Settlement Date  Unrealized
Appreciation
   Unrealized
(Depreciation)
   Unrealized
Appreciation/
(Depreciation)
 
Contracts to Sell:                                 
British Pound   2,625,120    BBH   $3,493,783   12/15/21  $   $(890)  $(890)
Euro   27,255,000    BBH    30,931,240   12/15/21   330,518        330,518 
Norwegian Krone   47,255,000    BBH    5,225,015   12/15/21   223,052        223,052 
Swedish Krona   62,865,000    BBH    6,975,115   12/15/21   249,094        249,094 
                     $802,664   $(890)  $801,774 
Net Unrealized Appreciation on Open Forward Foreign Currency Contracts          $802,664   $(890)  $801,774 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Low Duration Fixed Income Fund (concluded)

 

Counterparty Abbreviations used in this schedule:

BBH —  Brown Brothers Harriman & Co.

 

Currency Abbreviations used in this schedule:

EUR   —  Euro

NOK  — Norwegian Krone

SEK   —  Swedish Krona  

 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 

Destinations Global Fixed Income Opportunities Fund

 

Face
Amount/Units†
   Security  Value 
CORPORATE BONDS & NOTES - 64.4%     
Australia - 0.2%     
$1,300,000   QBE Insurance Group Ltd., Subordinated Notes, 6.750% (USD Swap Rate + 4.300%) due 12/2/44(a)@  $1,438,138 
Bermuda - 0.6%     
     Digicel Group Holdings Ltd.:     
 379,661   Senior Unsecured Notes, 8.000% due 4/1/25(b)(c)   359,926 
 63,641   Subordinated Notes, 7.000% (b)(c)(d)   55,527 
 484,000   Geopark Ltd., Company Guaranteed Notes, 6.500% due 9/21/24   492,112 
 2,905,000   Golar LNG Ltd., Senior Unsecured Notes, 7.000% due 10/20/25(c)   2,879,581 
 800,000   Inkia Energy Ltd., Senior Unsecured Notes, 5.875% due 11/9/27   813,008 
     Total Bermuda   4,600,154 
Brazil - 1.1%     
 2,500,000   Banco Bradesco SA, Senior Unsecured Notes, 2.850% due 1/27/23(c)   2,530,025 
 500,000   Banco BTG Pactual SA, Subordinated Notes, 7.750% (5-Year CMT Index + 5.257%) due 2/15/29(a)(c)   521,365 
 2,100,000   Banco do Brasil SA, Senior Unsecured Notes, 3.250% due 9/30/26(c)   2,037,000 
 4,100,000   Itau Unibanco Holding SA, Subordinated Notes, 3.875% (5-Year CMT Index + 3.446%) due 4/15/31(a)   3,878,600 
     Total Brazil   8,966,990 
British Virgin Islands - 0.4%     
 1,400,000   Central American Bottling Corp., Company Guaranteed Notes, 5.750% due 1/31/27   1,431,080 
 1,783,000   State Grid Overseas Investment 2013 Ltd., Company Guaranteed Notes, 3.125% due 5/22/23   1,839,701 
     Total British Virgin Islands   3,270,781 
Canada - 3.4%     
 6,765,260   Copper Mountain Mining Corp., Senior Secured Notes, 8.000% due 4/9/26(c)   7,083,791 
 750,000   Emera Inc., Junior Subordinated Notes, 6.750% (3-Month USD-LIBOR + 5.440%) due 6/15/76(a)   878,062 
 735,000   Enbridge Inc., Subordinated Notes, 5.750% (5-Year CMT Index + 5.314%) due 7/15/80(a)   813,314 
 2,600,000   GAC Holdco Inc., Senior Secured Notes, 12.000% due 8/15/25(c)(e)   2,827,500 
 1,000,000   MEGlobal Canada ULC, Company Guaranteed Notes, 5.000% due 5/18/25(c)   1,090,712 
 7,867,000   Rockpoint Gas Storage Canada Ltd., Senior Secured Notes, 7.000% due 3/31/23(c)   7,788,330 
 6,339,000   Tacora Resources Inc., Senior Secured Notes, 8.250% due 5/15/26(c)   6,291,458 
 130,000   Transcanada Trust, Company Guaranteed Notes, 5.500% (SOFRRATE + 4.416%) due 9/15/79(a)   137,800 
     Total Canada   26,910,967 
Cayman Islands - 4.4%     
 2,500,000   Alibaba Group Holding Ltd., Senior Unsecured Notes, 2.800% due 6/6/23   2,566,790 
     Baidu Inc., Senior Unsecured Notes:     
 1,100,000   3.500% due 11/28/22   1,127,588 
 2,400,000   3.875% due 9/29/23   2,514,933 
 650,000   3.075% due 4/7/25   677,116 
 7,750,000   CK Hutchison International 21 Ltd., Company Guaranteed Notes, 1.500% due 4/15/26(c)   7,699,625 
 200,000   ENN Energy Holdings Ltd., Senior Unsecured Notes, 3.250% due 7/24/22   202,194 
 2,898,000   Grupo Aval Ltd., Company Guaranteed Notes, 4.750% due 9/26/22   2,955,960 
 4,500,000   HPHT Finance 19 Ltd., Company Guaranteed Notes, 2.875% due 11/5/24   4,678,875 
 299,526   Interoceanica IV Finance Ltd., Senior Secured Notes, zero coupon, due 11/30/25   276,633 
 204,847   Peru Enhanced Pass-Through Finance Ltd., Pass Thru Certificates, zero coupon, due 6/2/25   196,448 
 5,000,000   SA Global Sukuk Ltd., Senior Unsecured Notes, 1.602% due 6/17/26(c)   4,920,260 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Face
Amount/Units†
   Security  Value 
Cayman Islands - 4.4% - (continued)    
$973,000   Sable International Finance Ltd., Senior Secured Notes, 5.750% due 9/7/27  $994,202 
 2,732,201   SPARC EM SPC Panama Metro Line 2 SP, Senior Secured Notes, zero coupon, due 12/5/22(c)   2,698,076 
     Tencent Holdings Ltd., Senior Unsecured Notes:     
 374,000   3.280% due 4/11/24   390,548 
 3,100,000   1.810% due 1/26/26(c)   3,104,178 
     Total Cayman Islands   35,003,426 
Chile - 3.9%     
 1,800,000   AES Andes SA, Junior Subordinated Notes, 7.125% (5-Year USD Swap Rate + 4.644%) due 3/26/79(a)(c)   1,797,552 
 3,400,000   Chile Electricity PEC SpA, Senior Secured Notes, zero coupon, due 1/25/28(c)   2,759,100 
 400,000   Colbun SA, Senior Unsecured Notes, 4.500% due 7/10/24   422,504 
 784,356   Empresa Electrica Angamos SA, Senior Secured Notes, 4.875% due 5/25/29   745,138 
 1,584,800   Empresa Electrica Cochrane SpA, Senior Secured Notes, 5.500% due 5/14/27   1,599,951 
 6,300,000   Enel Generacion Chile SA, Senior Unsecured Notes, 4.250% due 4/15/24   6,630,750 
 2,823,600   GNL Quintero SA, Senior Unsecured Notes, 4.634% due 7/31/29   2,982,456 
 1,524,000   Guacolda Energia SA, Senior Unsecured Notes, 4.560% due 4/30/25   653,430 
 5,135,000   Inversiones CMPC SA, Company Guaranteed Notes, 4.500% due 4/25/22   5,160,675 
 6,000,000   Telefonica Chile SA, Senior Unsecured Notes, 3.875% due 10/12/22   6,126,360 
 1,803,000   VTR Comunicaciones SpA, Senior Secured Notes, 5.125% due 1/15/28   1,838,970 
     Total Chile   30,716,886 
Colombia - 1.6%     
 400,000   Banco Bilbao Vizcaya Argentaria Colombia SA, Subordinated Notes, 4.875% due 4/21/25   412,004 
     Bancolombia SA, Subordinated Notes:     
 3,573,000   4.875% (5-Year CMT Index + 2.929%) due 10/18/27(a)   3,537,306 
 1,350,000   4.625% (5-Year CMT Index + 2.944%) due 12/18/29(a)   1,343,925 
 5,600,000   Ecopetrol SA, Senior Unsecured Notes, 5.875% due 9/18/23   5,933,200 
 1,450,000   Grupo de Inversiones Suramericana SA, Senior Unsecured Notes, 5.500% due 4/29/26   1,544,250 
     Total Colombia   12,770,685 
Denmark - 0.2%     
 1,000,000EUR  Georg Jensen AS, Secured Notes, 6.000% (3Month EURIBOR + 6.000%) due 5/15/23(a)   1,126,616 
 500,000EUR  SGL TransGroup International AS, 11.500% due 9/6/25   575,683 
     Total Denmark   1,702,299 
Dominican Republic - 0.1%     
 1,100,000   Banco deReservas de la Republica Dominicana, Subordinated Notes, 7.000% due 2/1/23   1,146,761 
France - 0.3%     
 1,200,000   BNP Paribas SA, Junior Subordinated Notes, 6.625% (5-Year USD Swap Rate + 4.149%) (a)(c)(d)   1,277,400 
 575,000   Credit Agricole SA, Junior Subordinated Notes, 8.125% (5-Year USD Swap Rate + 6.185%) (a)(c)(d)   677,108 
 290,000   Societe Generale SA, Junior Subordinated Notes, 7.875% (5-Year USD Swap Rate + 4.979%) (a)(c)(d)   316,158 
     Total France   2,270,666 
Germany - 1.0%     
 800,000   Deutsche Bank AG, Junior Subordinated Notes, 6.000% (5-Year CMT Index + 4.524%) (a)(d)   812,968 
 2,640,000EUR  LifeFit Group, Secured Notes, 7.500% (3-Month EURIBOR + 7.500%) due 7/26/23(a)   2,964,737 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Face
Amount/Units†
   Security   Value 
Germany - 1.0% - (continued)     
 3,770,000EUR  LR Global Holding GmbH, Senior Secured Notes, 7.250% (3-Month EURIBOR + 7.250%) due 2/3/25(a)  $4,417,994 
     Total Germany   8,195,699 
Hong Kong - 0.1%     
 500,000   State Grid Overseas Investment Ltd., Senior Unsecured Notes, 1.000% due 8/5/25   491,229 
India - 1.0%     
 900,000   Adani Ports & Special Economic Zone Ltd., Senior Unsecured Notes, 3.375% due 7/24/24   930,767 
 1,500,000   Indian Oil Corp., Ltd., Senior Unsecured Notes, 5.750% due 8/1/23   1,604,726 
 1,300,000   ONGC Videsh Ltd., Company Guaranteed Notes, 3.750% due 5/7/23   1,342,311 
     Reliance Industries Ltd., Senior Unsecured Notes:     
 3,150,000   5.400% due 2/14/22   3,177,216 
 500,000   4.125% due 1/28/25   536,830 
     Total India   7,591,850 
Indonesia - 0.4%     
 3,400,000   Pertamina Persero PT, Senior Unsecured Notes, 1.400% due 2/9/26   3,304,176 
Italy - 1.2%    
 365,000   Intesa Sanpaolo SpA, Company Guaranteed Notes, 7.700% (5-Year USD Swap Rate + 5.462%) (a)(c)(d)   402,139 
 8,003,000EUR  Linkem SpA, Senior Secured Notes, 6.000% (3-Month EURIBOR + 7.000%) due 8/9/22(a)(c)   9,078,112 
 245,000   UniCredit SpA, Junior Subordinated Notes, 8.000% (5-Year USD Swap Rate + 5.180%) (a)(d)@   262,762 
     Total Italy   9,743,013 
Jersey, Channel Islands - 0.9%     
 7,242,020   Galaxy Pipeline Assets Bidco Ltd., Senior Secured Notes, 1.750% due 9/30/27   7,270,632 
Luxembourg - 0.2%     
 1,575,000   Millicom International Cellular SA, Senior Unsecured Notes, 5.125% due 1/15/28   1,618,313 
Malaysia - 2.1%     
 1,250,000   Axiata SPV2 Bhd, Senior Unsecured Notes, 4.357% due 3/24/26   1,376,788 
 200,000   CIMB Bank Bhd, Senior Unsecured Notes, 3.263% due 3/15/22   201,358 
 1,200,000   Malaysia Sovereign Sukuk Bhd, Unsecured Notes, 3.043% due 4/22/25   1,269,246 
     Petronas Capital Ltd., Company Guaranteed Notes:     
 2,700,000   3.125% due 3/18/22   2,718,549 
 3,600,000   3.500% due 3/18/25   3,831,417 
 6,700,000   TNB Global Ventures Capital Bhd, Senior Unsecured Notes, 3.244% due 10/19/26   7,045,653 
     Total Malaysia   16,443,011 
Mexico - 0.7%     
 2,500,000   Banco Mercantil del Norte SA, Junior Subordinated Notes, 6.875% (5-Year CMT Index + 5.035%) (a)(d)   2,515,650 
     BBVA Bancomer SA, Subordinated Notes:     
 457,000   6.750% due 9/30/22   475,280 
 1,943,000   5.350% (5-Year CMT Index + 3.000%) due 11/12/29(a)   2,013,453 
 350,000   Fomento Economico Mexicano SAB de CV, Senior Unsecured Notes, 2.875% due 5/10/23   358,673 
 400,000   Grupo Bimbo SAB de CV, Company Guaranteed Notes, 4.500% due 1/25/22   402,156 
     Total Mexico   5,765,212 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Face
Amount/Units†
   Security   Value 
Multinational - 1.0%     
$7,897,000   Connect Finco SARL/Connect US Finco LLC, Senior Secured Notes, 6.750% due 10/1/26(c)  $8,232,622 
Netherlands - 0.7%     
 1,410,000   AerCap Holdings NV, Company Guaranteed Notes, 5.875% (5-Year CMT Index + 4.535%) due 10/10/79(a)   1,445,095 
 628,000   Elastic NV, Senior Unsecured Notes, 4.125% due 7/15/29(c)   615,440 
 600,000   ING Groep NV, Junior Subordinated Notes, 5.750% (5-Year CMT Index + 4.342%) (a)(d)   640,128 
 3,200,000   Minejesa Capital BV, Senior Secured Notes, 4.625% due 8/10/30   3,288,000 
     Total Netherlands   5,988,663 
Norway - 2.0%     
 24,500,000NOK  Aker Horizons Holding AS, Senior Unsecured Notes, 4.040% (3-Month NIBOR + 3.250%) due 8/15/25(a)   2,638,480 
 8,933,000NOK  Duo BidCo AS, 5.350% (3-Month NIBOR + 5.350%) due 4/12/26(a)   999,015 
 10,000,000NOK  Grieg Seafood ASA, Senior Unsecured Notes, 3.930% (3-Month NIBOR + 3.400%) due 6/25/25(a)(c)   1,097,495 
 3,034,090   Jacktel AS, Senior Secured Notes, 10.000% due 12/4/23(b)(c)   1,073,611 
 8,300,000EUR  LINK Mobility Group Holding ASA, Senior Unsecured Notes, 3.375% due 12/15/25   9,132,652 
 1,050,000   Mime Petroleum AS, 10.250% due 11/10/26   1,010,734 
     Total Norway   15,951,987 
Panama - 0.7%     
 2,000,000   Banistmo SA, Senior Unsecured Notes, 3.650% due 9/19/22(c)   2,020,000 
 3,400,000   Multibank Inc., Senior Unsecured Notes, 4.375% due 11/9/22   3,462,373 
     Total Panama   5,482,373 
Paraguay - 0.1%     
 950,000   Banco Continental SAECA, Senior Unsecured Notes, 2.750% due 12/10/25(c)   927,447 
Peru - 2.6%     
     Banco de Credito del Peru, Subordinated Notes:     
 2,050,000   3.125% (5-Year CMT Index + 3.000%) due 7/1/30(a)   2,010,025 
 1,450,000   3.250% (5-Year CMT Index + 2.450%) due 9/30/31(a)   1,417,375 
 2,800,000   3.250% (5-Year CMT Index + 2.450%) due 9/30/31(a)(c)   2,737,000 
 2,700,000   Banco Internacional del Peru SAA Interbank, Subordinated Notes, 4.000% (1-Year CMT Index + 3.711%) due 7/8/30(a)   2,693,250 
 750,000   Camposol SA, Company Guaranteed Notes, 6.000% due 2/3/27   772,507 
 4,710,882   Fenix Power Peru SA, Senior Unsecured Notes, 4.317% due 9/20/27   4,811,036 
 2,449,000   Orazul Energy Egenor SCA, Company Guaranteed Notes, 5.625% due 4/28/27   2,430,657 
 750,000   Scotiabank Peru SAA, Subordinated Notes, 4.500% (3-Month USD-LIBOR + 3.856%) due 12/13/27(a)   764,070 
 3,050,000   Transportadora de Gas del Peru SA, Senior Unsecured Notes, 4.250% due 4/30/28   3,206,343 
     Total Peru   20,842,263 
Portugal0.0%     
 70,068   Invepar, zero coupon, due 12/30/28(e)(f)    
Qatar - 0.8%     
 6,500,000   Qatar Energy, Senior Unsecured Notes, 1.375% due 9/12/26(c)   6,371,950 
     Total Qatar   6,371,950 
Saudi Arabia - 0.1%     
     Saudi Arabian Oil Co., Senior Unsecured Notes:     
 500,000   2.750% due 4/16/22   503,905 
 300,000   1.250% due 11/24/23(c)   300,220 
     Total Saudi Arabia   804,125 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Face
Amount/Units†
   Security   Value 
Singapore - 5.5%     
     DBS Group Holdings Ltd.:     
     Senior Unsecured Notes:     
$500,000   2.850% due 4/16/22  $503,775 
 600,000   1.169% due 11/22/24(c)   602,075 
     Subordinated Notes:     
 500,000   4.520% (5-Year USD 1100 Run ICE Swap Rate + 1.590%) due 12/11/28(a)   531,929 
 6,000,000   1.822% (5-Year CMT Index + 1.100%) due 3/10/31(a)   5,956,980 
 5,190,000   ONGC Videsh Vankorneft Pte Ltd., Company Guaranteed Notes, 2.875% due 1/27/22   5,202,197 
 2,500,000   Oversea-Chinese Banking Corp., Ltd., Subordinated Notes, 1.832% (5-Year CMT Index + 1.580%) due 9/10/30(a)(c)   2,481,500 
     Oversea-Chinese Banking Corp., Ltd., Subordinated Notes:     
 200,000   4.250% due 6/19/24   214,040 
 4,400,000   1.832% (5-Year CMT Index + 1.580%) due 9/10/30(a)   4,367,440 
 1,150,000   PSA Treasury Pte Ltd., Company Guaranteed Notes, 2.500% due 4/12/26   1,195,758 
     SingTel Group Treasury Pte Ltd., Company Guaranteed Notes:     
 1,200,000   3.250% due 6/30/25   1,273,452 
 6,500,000   2.375% due 10/3/26   6,765,330 
 3,000,000   SP PowerAssets Ltd., Senior Unsecured Notes, 2.700% due 9/14/22   3,046,110 
 4,000,000   Temasek Financial I Ltd., Company Guaranteed Notes, 2.375% due 1/23/23   4,072,680 
     United Overseas Bank Ltd., Subordinated Notes:     
 2,300,000   3.750% (5-Year CMT Index + 1.500%) due 4/15/29(a)   2,421,486 
 5,000,000   1.750% (5-Year CMT Index + 1.520%) due 3/16/31(a)   4,956,750 
     Total Singapore   43,591,502 
South Korea - 3.9%     
 4,900,000   Korea East-West Power Co., Ltd., Senior Unsecured Notes, 1.750% due 5/6/25(c)   4,954,243 
 4,800,000   Korea Southern Power Co., Ltd., Senior Unsecured Notes, 0.750% due 1/27/26(c)   4,648,992 
     KT Corp., Senior Unsecured Notes:     
 7,300,000   1.000% due 9/1/25   7,189,770 
 400,000   2.500% due 7/18/26   415,339 
 3,900,000   LG Chem Ltd., Senior Unsecured Notes, 3.250% due 10/15/24   4,131,426 
 4,000,000   NongHyup Bank, Senior Unsecured Notes, 1.250% due 7/20/25(c)   3,965,392 
     POSCO, Senior Unsecured Notes:     
 2,000,000   2.375% due 11/12/22   2,028,588 
 3,044,000   2.375% due 1/17/23   3,089,752 
 700,000   2.750% due 7/15/24   725,991 
     Total South Korea   31,149,493 
Spain - 0.1%     
 200,000   Banco Bilbao Vizcaya Argentaria SA, Junior Subordinated Notes, 6.500% (5-Year CMT Index + 5.192%) (a)(d)   209,750 
 400,000   Banco Santander SA, Junior Subordinated Notes, 4.750% (5-Year CMT Index + 3.753%) (a)(d)   401,000 
     Total Spain   610,750 
Sweden - 0.2%     
 12,500,000SEK  Impala Group PLC, 9.000% due 10/20/24(a)   1,389,759 
 3,750,000SEK  VNV Global AB, Senior Secured Notes, 5.750% due 10/4/22   422,667 
     Total Sweden   1,812,426 
Switzerland - 0.4%     
 1,365,000   Credit Suisse Group AG, Junior Subordinated Notes, 6.375% (5-Year CMT Index + 4.822%) (a)(c)(d)   1,452,019 
 1,400,000   UBS Group AG, Junior Subordinated Notes, 6.875% (5-Year USD Swap Rate + 4.590%) (a)(d)@   1,549,825 
     Total Switzerland   3,001,844 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Face
Amount/Units†
   Security   Value 
Thailand - 0.2%     
$1,800,000   Bangkok Bank PCL, Senior Unsecured Notes, 3.875% due 9/27/22  $1,842,804 
United Kingdom - 0.9%     
     Barclays PLC, Junior Subordinated Notes:     
 200,000   4.375% (5-Year CMT Index + 3.410%) (a)(d)   191,868 
 1,325,000   7.750% (5-Year USD Swap Rate + 4.842%) (a)(d)   1,421,063 
     HSBC Holdings PLC, Junior Subordinated Notes:     
 430,000   6.000% (5-Year USD 1100 Run ICE Swap Rate + 3.746%) (a)(d)   455,800 
 400,000   6.375% (5-Year USD 1100 Run ICE Swap Rate + 4.368%) (a)(d)   429,960 
 1,480,000   Lloyds Banking Group PLC, Junior Subordinated Notes, 7.500% (5-Year USD Swap Rate + 4.496%) (a)(d)   1,681,636 
 800,000   NatWest Group PLC, Junior Subordinated Notes, 6.000% (5-Year CMT Index + 5.625%) (a)(d)   868,584 
     Standard Chartered PLC, Junior Subordinated Notes:     
 335,000   4.300% (5-Year CMT Index + 3.135%) (a)(c)(d)   316,357 
 440,000   6.000% (5-Year CMT Index + 5.661%) (a)(c)(d)   471,350 
     Vedanta Resources Ltd., Senior Unsecured Notes:     
 800,000   7.125% due 5/31/23   760,000 
 200,000   6.125% due 8/9/24   172,000 
     Vodafone Group PLC:     
 245,000   Junior Subordinated Notes, 7.000% (5-Year USD Swap Rate + 4.873%) due 4/4/79(a)   294,921 
 180,000   Subordinated Notes, 4.125% (5-Year CMT Index + 2.767%) due 6/4/81(a)   177,577 
     Total United Kingdom   7,241,116 
United States - 21.4%     
 8,762,000   99 Escrow Issuer Inc., Senior Secured Notes, 7.500% due 1/15/26(c)   7,470,481 
 845,000   Ally Financial Inc., Junior Subordinated Notes, 4.700% (5-Year CMT Index + 3.868%) (a)(d)   866,156 
 250,000   American AgCredit Corp., Junior Subordinated Notes, 5.250% (5-Year CMT Index + 4.500%) (a)(c)(d)   255,000 
 160,000   American Electric Power Co., Inc., Junior Subordinated Notes, 3.875% (5-Year CMT Index + 2.675%) due 2/15/62(a)   159,510 
 345,000   American Express Co., Junior Subordinated Notes, 3.550% (5-Year CMT Index + 2.854%) (a)(d)   340,687 
 395,000   American International Group Inc., Junior Subordinated Notes, 5.750% (3-Month USD-LIBOR + 2.868%) due 4/1/48(a)   446,374 
 3,165,649   Anagram International Inc./Anagram Holdings LLC, Senior Secured Notes, 15.000% due 8/15/25(b)(c)   3,569,269 
 1,100,000   Assurant Inc., Subordinated Notes, 7.000% (3-Month USD-LIBOR + 4.135%) due 3/27/48(a)   1,259,830 
 969,000   Assured Guaranty Municipal Holdings Inc., Company Guaranteed Notes, 6.400% (1-Month USD-LIBOR + 2.215%) due 12/15/66(a)(c)   1,062,057 
 1,350,000   Bank of America Corp., Junior Subordinated Notes, 6.300% (3-Month USD-LIBOR + 4.553%) (a)(d)   1,515,645 
 200,000   Bank of New York Mellon Corp., Junior Subordinated Notes, 4.700% (5-Year CMT Index + 4.358%) (a)(d)   210,606 
 9,959,000   Brazos Electric Power Cooperative Inc., 0.000%, (d)(e)   8,963,100 
 133,000   Briggs & Stratton Corp., Senior Unsecured Notes, zero coupon, due 12/15/20(e)(g)   9,310 
 9,400,000   BuzzFeed Inc., 7.000% due 9/30/26(e)   9,400,000 
 630,000   Capital Farm Credit ACA, Junior Subordinated Notes, 5.000% (5-Year CMT Index + 4.523%) (a)(c)(d)   639,450 
 235,000   Capital One Financial Corp., Junior Subordinated Notes, 3.950% (5-Year CMT Index + 3.157%) (a)(d)   230,594 
 600,000   CenterPoint Energy Inc., Junior Subordinated Notes, 6.125% (3-Month USD-LIBOR + 3.270%) (a)(d)   625,410 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Face
Amount/Units†
   Security   Value 
United States - 21.4% - (continued)     
     Charles Schwab Corp., Junior Subordinated Notes:     
$210,000   4.000% (5-Year CMT Index + 3.168%) (a)(d)  $209,213 
 435,000   5.375% (5-Year CMT Index + 4.971%) (a)(d)   470,496 
 4,737,000   Chobani LLC/Chobani Finance Corp. Inc., Company Guaranteed Notes, 7.500% due 4/15/25(c)   4,896,874 
 260,000   CIT Group Inc., Junior Subordinated Notes, 5.800% (3-Month USD-LIBOR + 3.972%) (a)(d)   263,250 
     Citigroup Inc., Junior Subordinated Notes:     
 140,000   4.150% (5-Year CMT Index + 3.000%) (a)(d)   137,812 
 345,000   5.000% (SOFRRATE + 3.813%) (a)(d)   351,900 
 2,039,000   5.950% (3-Month USD-LIBOR + 3.905%) (a)(d)   2,168,375 
     Citizens Financial Group Inc., Junior Subordinated Notes:     
 155,000   4.000% (5-Year CMT Index + 3.215%) (a)(d)   152,675 
 100,000   6.375% (3-Month USD-LIBOR + 3.157%) (a)(d)   103,750 
 65,000   CMS Energy Corp., Junior Subordinated Notes, 4.750% (5-Year CMT Index + 4.116%) due 6/1/50(a)   71,419 
 1,075,000   CoBank ACB, Junior Subordinated Notes, 6.250% (3-Month USD-LIBOR + 4.660%) (a)(d)   1,182,500 
 650,000   Compeer Financial ACA, Junior Subordinated Notes, 4.875% (5-Year CMT Index + 4.095%) (a)(c)(d)(e)   653,250 
 510,000   Dairy Farmers of America Inc., Junior Subordinated Notes, 7.125% (c)(d)   515,100 
 3,891,000   Diamond Sports Group LLC/Diamond Sports Finance Co., Senior Secured Notes, 12.750% due 12/1/26(c)   1,916,317 
 5,224,000   Diebold Nixdorf Inc., Company Guaranteed Notes, 8.500% due 4/15/24   5,156,506 
 390,000   Discover Financial Services, Junior Subordinated Notes, 6.125% (5-Year CMT Index + 5.783%) (a)(d)   429,312 
     Edison International, Junior Subordinated Notes:     
 90,000   5.000% (5-Year CMT Index + 3.901%) (a)(d)   90,180 
 425,000   5.375% (5-Year CMT Index + 4.698%) (a)(d)   437,219 
 280,000   Energy Transfer LP, Junior Subordinated Notes, 6.500% (5-Year CMT Index + 5.694%) (a)(d)   286,300 
 615,000   Equitable Holdings Inc., Junior Subordinated Notes, 4.950% (5-Year CMT Index + 4.736%) (a)(d)   641,506 
 610,000   Fifth Third Bancorp, Junior Subordinated Notes, 4.500% (5-Year CMT Index + 4.215%) (a)(d)   646,600 
 6,042,000   Fresh Market Inc., Senior Secured Notes, 9.750% due 5/1/23(c)   6,200,602 
 3,164,000   FXI Holdings Inc., Senior Secured Notes, 12.250% due 11/15/26(c)   3,541,592 
 800,000   General Electric Co., Junior Subordinated Notes, 3.446% (3-Month USD-LIBOR + 3.330%) (a)(d)   782,720 
     General Motors Financial Co., Inc., Junior Subordinated Notes:     
 280,000   5.700% (5-Year CMT Index + 4.997%) (a)(d)   316,400 
 960,000   5.750% (3-Month USD-LIBOR + 3.598%) (a)(d)   1,024,560 
 1,489,000   Getty Images Inc., Senior Unsecured Notes, 9.750% due 3/1/27(c)   1,567,872 
     Goldman Sachs Group Inc., Junior Subordinated Notes:     
 115,000   4.125% (5-Year CMT Index + 2.949%) (a)(d)   113,677 
 650,000   5.300% (3-Month USD-LIBOR + 3.834%) (a)(d)   702,000 
 959,000   5.500% (5-Year CMT Index + 3.623%) (a)(d)   1,014,143 
 7,712,715   Hawaiian Airlines Class A Pass-Through Certificates, Pass Thru Certificates, 3.900% due 1/15/26   7,648,056 
 593,680   Hawaiian Airlines Class B Pass-Through Certificates, Pass Thru Certificates, 4.950% due 1/15/22   594,192 
 1,062,000   Hercules Achievement Inc./Varsity Brands Holding Co., Inc., Senior Secured Notes, 9.000% (3-Month USD-LIBOR + 8.000%) due 12/22/24(a)(c)   1,058,018 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Face
Amount/Units†
   Security   Value 
United States - 21.4% - (continued)     
$1,120,000   Huntington Bancshares Inc., Junior Subordinated Notes, 5.625% (5-Year CMT Index + 4.945%) (a)(d)  $1,274,000 
 5,251,000   Icahn Enterprises LP/Icahn Enterprises Finance Corp., Company Guaranteed Notes, 5.250% due 5/15/27   5,326,194 
 8,988,000   IEA Energy Services LLC, Company Guaranteed Notes, 6.625% due 8/15/29(c)   8,718,360 
 250,000   ILFC E-Capital Trust II, Limited Guaranteed Notes, 3.710% due 12/21/65(a)(c)   217,500 
 10,447,000   INNOVATE Corp., Senior Secured Notes, 8.500% due 2/1/26(c)   10,447,000 
     JPMorgan Chase & Co., Junior Subordinated Notes:     
 635,000   3.650% (5-Year CMT Index + 2.850%) (a)(d)   623,094 
 1,015,000   5.000% (SOFRRATE + 3.380%) (a)(d)   1,035,300 
 720,000   6.750% (3-Month USD-LIBOR + 3.780%) (a)(d)   773,100 
 475,000   KeyCorp, Junior Subordinated Notes, 5.000% (3-Month USD-LIBOR + 3.606%) (a)(d)   512,406 
 1,655,000   Land O' Lakes Inc., Junior Subordinated Notes, 7.250% (c)(d)   1,779,125 
     M&T Bank Corp., Junior Subordinated Notes:     
 170,000   3.500% (5-Year CMT Index + 2.679%) (a)(d)   164,007 
 500,000   5.125% (3-Month USD-LIBOR + 3.520%) (a)(d)   543,981 
 855,000   Markel Corp., Junior Subordinated Notes, 6.000% (5-Year CMT Index + 5.662%) (a)(d)   925,538 
     Martin Midstream Partners LP/Martin Midstream Finance Corp., Secured Notes:     
 7,118,576   10.000% due 2/29/24(c)   7,278,745 
 3,594,055   11.500% due 2/28/25(c)   3,737,817 
 825,000   MetLife Inc., Junior Subordinated Notes, 5.875% (3-Month USD-LIBOR + 2.959%) (a)(d)   950,426 
 7,289,000   MicroStrategy Inc., Senior Secured Notes, 6.125% due 6/15/28(c)   7,307,223 
 85,000   NiSource Inc., Junior Subordinated Notes, 5.650% (5-Year CMT Index + 2.843%) (a)(d)   87,338 
 1,366,000   NortonLifeLock Inc., Senior Unsecured Notes, 5.000% due 4/15/25(c)   1,379,660 
 195,000   PartnerRe Finance B LLC, Company Guaranteed Notes, 4.500% (5-Year CMT Index + 3.815%) due 10/1/50(a)   210,133 
 2,636,000   PBF Logistics LP/PBF Logistics Finance Corp., Company Guaranteed Notes, 6.875% due 5/15/23   2,477,840 
     PNC Financial Services Group Inc., Junior Subordinated Notes:     
 150,000   3.400% (5-Year CMT Index + 2.595%) (a)(d)   144,660 
 717,000   5.000% (3-Month USD-LIBOR + 3.300%) (a)(d)   768,928 
 480,000   Provident Financing Trust I, Limited Guaranteed Notes, 7.405% due 3/15/38   576,600 
 1,150,000   Regions Financial Corp., Junior Subordinated Notes, 5.750% (5-Year CMT Index + 5.430%) (a)(d)   1,247,750 
     SBL Holdings Inc., Junior Subordinated Notes:     
 195,000   6.500% (5-Year CMT Index + 5.620%) (a)(c)(d)   189,638 
 845,000   7.000% (5-Year CMT Index + 5.580%) (a)(c)(d)   847,112 
     Sempra Energy, Junior Subordinated Notes:     
 410,000   4.875% (5-Year CMT Index + 4.550%) (a)(d)   433,575 
 230,000   4.125% (5-Year CMT Index + 2.868%) due 4/1/52(a)   227,442 
 2,334,000   SmileDirectClub Inc., Senior Unsecured Notes, zero coupon, due 2/1/26(c)   982,827 
 595,000   Southern Co., Junior Subordinated Notes, 4.000% (5-Year CMT Index + 3.733%) due 1/15/51(a)   604,669 
 6,685,000   StoneX Group Inc., Senior Secured Notes, 8.625% due 6/15/25(c)   7,052,675 
 1,156,000   StorCentric Inc., Senior Secured Notes, 5.875% due 2/19/23(c)(e)   1,156,000 
 3,057,000   Surgery Center Holdings Inc., Company Guaranteed Notes, 6.750% due 7/1/25(c)   3,083,779 
     SVB Financial Group, Junior Subordinated Notes:     
 240,000   4.000% (5-Year CMT Index + 3.202%) (a)(d)   238,992 
 355,000   4.100% (5-Year CMT Index + 3.064%) (a)(d)   347,013 
 60,000   4.700% (5-Year CMT Index + 3.064%) (a)(d)   60,225 
 1,933,000   Tilray Inc., Senior Unsecured Notes, 5.000% due 10/1/23   1,890,716 
     Truist Financial Corp., Junior Subordinated Notes:     
 1,640,000   4.800% (5-Year CMT Index + 3.003%) (a)(d)   1,686,822 
 190,000   5.100% (5-Year CMT Index + 4.349%) (a)(d)   211,755 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Face
Amount/Units†
   Security   Value 
United States - 21.4% - (continued)     
$8,201,000   UpHealth Inc., Senior Unsecured Notes, 6.250% due 6/15/26(c)  $7,097,996 
 770,000   Voya Financial Inc., Junior Subordinated Notes, 6.125% (5-Year CMT Index + 3.358%) (a)(d)   812,350 
     Wells Fargo & Co., Junior Subordinated Notes:     
 950,000   3.900% (5-Year CMT Index + 3.453%) (a)(d)   955,700 
 1,505,000   5.900% (3-Month USD-LIBOR + 3.110%) (a)(d)   1,568,248 
     Total United States   170,322,124 
     TOTAL CORPORATE BONDS & NOTES     
     (Cost - 515,683,307)   513,394,377 
SOVEREIGN BONDS - 9.2%
Brazil - 0.9%
 6,850,000   Brazilian Government International Bond, 2.875% due 6/6/25   6,848,150 
Chile - 0.2%
 1,600,000   Chile Government International Bond, 3.125% due 1/21/26   1,681,328 
Colombia - 1.0%
     Colombia Government International Bond:     
 3,200,000   2.625% due 3/15/23   3,223,104 
 4,900,000   4.500% due 1/28/26   5,103,007 
     Total Colombia   8,326,111 
Indonesia - 1.2%
 2,200,000   Indonesia Government International Bond, 2.950% due 1/11/23   2,249,349 
     Perusahaan Penerbit SBSN Indonesia III:     
 1,000,000   3.400% due 3/29/22   1,007,460 
 3,018,000   3.300% due 11/21/22   3,092,997 
 1,321,000   3.750% due 3/1/23   1,368,451 
 1,750,000   2.300% due 6/23/25   1,802,605 
     Total Indonesia   9,520,862 
Panama - 0.7%
     Panama Government International Bond:     
 1,760,000   4.000% due 9/22/24   1,863,875 
 3,500,000   3.750% due 3/16/25   3,695,475 
     Total Panama   5,559,350 
Peru - 1.1%
 1,815,000   Corporation Financiera de Desarrollo SA, 5.250% due 7/15/29   1,864,913 
 6,900,000   Peruvian Government International Bond, 2.392% due 1/23/26   7,002,396 
     Total Peru   8,867,309 
Qatar - 0.8%
     Qatar Government International Bond:     
 900,000   4.500% due 1/20/22   904,713 
 5,200,000   3.250% due 6/2/26   5,537,230 
     Total Qatar   6,441,943 
Saudi Arabia - 0.8%
     Saudi Government International Bond:     
 3,000,000   2.875% due 3/4/23   3,078,018 
 3,100,000   3.250% due 10/26/26   3,301,624 
     Total Saudi Arabia   6,379,642 
South Korea - 2.1%
     Korea Development Bank:     
 2,150,000   1.250% due 6/3/25   2,151,168 
 2,000,000   0.800% due 4/27/26   1,952,460 
 200,000   1.000% due 9/9/26   196,082 

 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Face
Amount/Units†
   Security  Value 
South Korea - 2.1% - (continued)
$7,200,000   Korea Electric Power Corp., 1.125% due 6/15/25(c)  $7,132,824 
 5,100,000   Korea Hydro & Nuclear Power Co., Ltd., 1.250% due 4/27/26(c)   5,038,217 
     Total South Korea   16,470,751 
United Arab Emirates - 0.4%
     Abu Dhabi Government International Bond:     
 2,000,000   0.750% due 9/2/23(c)   1,995,036 
 1,600,000   2.500% due 4/16/25(c)   1,659,558 
     Total United Arab Emirates   3,654,594 
     TOTAL SOVEREIGN BONDS     
     (Cost - $74,520,646)   73,750,040 
SENIOR LOANS - 7.6%(a)
 421,554   ABB/Con-Cise Optical Group LLC, 0.060% (3-Month USD-LIBOR + 5.000%) due 6/15/23   405,640 
 1,976,173   Elevate Textiles Inc., 5.131% (USD-LIBOR + 5.000%) due 5/1/24   1,812,072 
 6,606,639   First Brands Group, LLC, 0.095% (3-Month USD-LIBOR + 8.500%) due 3/30/28   6,656,189 
 798,000   GemmaCert Ltd., 0.000% (1-Month USD-LIBOR) due 5/19/24(e)(f)   798,000 
 4,828,763   Golden Nugget Online Gaming Inc., 0.130% (USD-LIBOR + 12.000%) due 10/4/23   5,118,489 
 5,200,000   Inotiv Inc., 0.000% due 9/22/26(e)   5,096,000 
 11,217,349   JZ Capital Partners Ltd., 0.120% (USD-LIBOR + 11.000%) due 10/8/25(e)(f)   11,217,349 
 4,550,275   Lealand Finance Company BV, 0.000% (USD-LIBOR + 1.000%) due 6/30/25   1,953,797 
 14,820,826   Mallinckrodt International Finance SA, due 2/28/22(h)   14,433,854 
 4,985,386   Pixelle Specialty Solutions, LLC, 0.075% (USD-LIBOR + 6.500%) due 10/31/24   4,955,125 
 1,117,000   QuarterNorth Energy Holding Inc., 9.000% due 8/27/26   1,117,000 
 2,044,106   RA Acquisition Purchaser LLC, 0.110% (USD-LIBOR + 10.000%) due 5/31/23(f)   2,044,106 
 5,314,000   Rising Tide Holdings Inc., 0.090% (1-Month USD-LIBOR + 8.250%) due 6/1/29   5,247,575 
     TOTAL SENIOR LOANS     
     (Cost - $63,095,715)   60,855,196 
ASSET-BACKED SECURITIES - 0.2%
 599,104   Lendingpoint 2021-A Asset Securitization Trust, Series 2021-A, Class A, 1.000% due 12/15/28 (c)   597,879 
     Mission Lane Credit Card Master Trust:     
 567,000   Series 2021-A, Class A, 1.590% due 9/15/26 (c)   563,986 
 100,000   Series 2021-A, Class B, 2.240% due 9/15/26 (c)   99,670 
     TOTAL ASSET-BACKED SECURITIES     
     (Cost - $1,266,034)   1,261,535 

 

Shares/Units        
         
COMMON STOCKS - 10.7% 
Canada - 0.3% 
 44,400   Barrick Gold Corp.   843,156 
 158,308   BGP Acquisition Corp., Class A Shares*(e)   1,484,929 
 21,182   Frontera Energy Corp.*   113,536 
     Total Canada   2,441,621 
Cayman Islands - 0.0%
 14,745   Finnovate Acquisition Corp.*   150,252 
India - 0.1%
 118,608   ReNew Energy Global PLC, Class A Shares*(i)   912,096 
Israel - 0.7%
 760,233   Intercure Ltd.*   5,952,624 
United States - 9.6%
 41,026   Alpine Income Property Trust Inc.   734,365 
 56,601   AltEnergy Acquisition Corp.*   571,670 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Shares/Units   Security  Value 
United States - 9.6% - (continued)
 42,449   Anzu Special Acquisition Corp. I, Class A Shares*  $413,453 
 230,700   Appvion Inc.*(e)(f)   4,614,000 
 241,887   Atlantic Avenue Acquisition Corp., Class A Shares*   2,387,425 
 7,000   AxonPrime Infrastructure Acquisition Corp.*(e)(f)    
 250,500   Berenson Acquisition Corp. I*(f)   2,268,354 
 28,992   Bite Acquisition Corp.*   282,962 
 23,741   bleuacacia Ltd.*   239,072 
 341,248   Carney Technology Acquisition Corp. II, Class A Shares*   3,354,468 
 91,599   Cartesian Growth Corp., Class A Shares*   910,494 
 99,974   Cascade Acquisition Corp., Class A Shares*   998,240 
 54,430   CF Acquisition Corp. IV, Class A Shares*   533,414 
 48,740   CF Acquisition Corp. VI, Class A Shares*   476,190 
 40,214   Chain Bridge I*   404,955 
 15,782   Churchill Capital Corp. V, Class A Shares*   155,453 
 49,965   Clarim Acquisition Corp., Class A Shares*(e)   489,657 
 30,718   Cohn Robbins Holdings Corp., Class A Shares*   303,494 
 47,614   Concord Acquisition Corp. III*   485,663 
 496   Crestwood Equity Partners LP   12,678 
 25,869   CTO Realty Growth Inc.   1,420,725 
 7,769   DHB Capital Corp., Class A Shares*(e)   75,359 
 74,156   Disruptive Acquisition Corp. I, Class A Shares*(e)   720,055 
 32,950   DP Capital Acquisition Corp. I*   332,136 
 51,535   DPCM Capital Inc., Class A Shares*(i)   509,166 
 12,195   EJF Acquisition Corp., Class A Shares*   121,462 
 24,408   Empowerment & Inclusion Capital I Corp., Class A Shares*   239,442 
 352   Energy Harbor Corp.*   17,600 
 31,420   Enterprise 4.0 Technology Acquisition Corp.*   318,127 
 69,779   Equity Distribution Acquisition Corp., Class A Shares*   685,928 
 50,925   Executive Network Partnering Corp., Class A Shares*   501,102 
 56,078   Forum Merger IV Corp., Class A Shares*   549,004 
 63,129   G Squared Ascend II Inc., Class A Shares*(e)   618,664 
 24,090   G&P Acquisition Corp., Class A Shares*   238,250 
 116,398   Galata Acquisition Corp., Class A Shares*   1,121,844 
 169,810   Global Consumer Acquisition Corp.*   1,689,609 
 33,614   Global Partner Acquisition Corp. II, Class A Shares*   327,905 
 86,133   Golden Falcon Acquisition Corp., Class A Shares*   845,826 
 58,863   Hamilton Lane Alliance Holdings I Inc., Class A Shares*   575,680 
 15,976   Infinite Acquisition Corp.*   161,358 
 60,053   Isleworth Healthcare Acquisition Corp.*   592,123 
 92,622   Juniper II Corp.*   938,261 
 62,712   KINS Technology Group Inc., Class A Shares*(i)   625,866 
 61,669   KORE Group Holdings Inc.*(i)   444,017 
 18,015   Latch Inc.*   149,164 
 414,933   Live Oak Acquisition Corp. II, Class A Shares*(e)(f)   8,136,836 
 14,762   LMF Acquisition Opportunities Inc., Class A Shares*   148,506 
 18,600   Magellan Midstream Partners LP   862,668 
 3,221   MarketWise Inc.*   22,966 
 534,907   Mason Industrial Technology Inc., Class A Shares*   5,220,692 
 17,046   Noble Rock Acquisition Corp., Class A Shares*   166,369 
 46,130   Oaktree Acquisition Corp. II, Class A Shares*   457,148 
 455,000   Omnichannel Acquisition Corp., Class A Shares*(i)   4,527,250 
 18,828   OmniLit Acquisition Corp.*   189,974 
 50,040   One Equity Partners Open Water I Corp., Class A Shares*   485,388 
 35,964   Parabellum Acquisition Corp.*(f)    

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Shares/Units   Security  Value 
United States - 9.6% - (continued)
 45,730   Peridot Acquisition Corp. II, Class A Shares*  $447,239 
 4,986   Pontem Corp., Class A Shares*   48,863 
 14,913   PWP Forward Acquisition Corp. I, Class A Shares*   145,849 
 52   Real Alloy Holding Inc.*(e)(f)   2,341,800 
 115,234   Redwire Corp.*(i)   1,022,126 
 621,485   Rescap Liquidating Trust*(e)   403,965 
 47,352   RMG Acquisition Corp. III, Class A Shares*   463,576 
 39,229   Rocket Lab USA Inc.*   622,172 
 9,458   RXR Acquisition Corp., Class A Shares*   92,310 
 64,623   SDCL EDGE Acquisition Corp.*   646,230 
 95,059   Seaport Global Acquisition II Corp.*   956,294 
 44,738   Seven Oaks Acquisition Corp., Class A Shares*   447,380 
 20,481   ShoulderUp Technology Acquisition Corp.*   206,653 
 31,420   SportsMap Tech Acquisition Corp.*   317,342 
 74,306   Stratim Cloud Acquisition Corp.*(e)   721,511 
 75,654   Superior Energy Services Inc.*(e)   3,139,641 
 76,153   Tailwind International Acquisition Corp., Class A Shares*   742,492 
 53,311   Tailwind Two Acquisition Corp., Class A Shares*   527,246 
 29,889   Tech & Energy Transition Corp., Class A Shares*   291,119 
 138,239   Tekkorp Digital Acquisition Corp., Class A Shares*   1,361,654 
 63,905   TG Venture Acquisition Corp.*   658,861 
 81,494   Tishman Speyer Innovation Corp. II, Class A Shares*   795,381 
 175,733   Trine II Acquisition Corp.*   1,773,146 
 372,905   Vector Acquisition Corp. II, Class A Shares*   3,673,114 
 33,300   View Inc.*(i)   140,526 
 38,605   VMG Consumer Acquisition Corp.*   391,455 
 12,801   Zanite Acquisition Corp., Class A Shares*   129,930 
     Total United States   76,180,352 
     TOTAL COMMON STOCKS     
     (Cost - $78,199,571)   85,636,945 
PREFERRED STOCKS - 3.7%
Bermuda - 0.2%
 25,926   Aspen Insurance Holdings Ltd., 5.625%(d)   687,558 
 24,704   Athene Holding Ltd., 6.375% (5-Year CMT Index + 5.970%)(a)(d)   686,524 
 20,038   Enstar Group Ltd., 7.000% (3-Month USD-LIBOR + 4.015%)(a)(d)   571,283 
     Total Bermuda   1,945,365 
United Kingdom - 0.5%
 154,422   Argo Blockchain PLC, 8.750% due 11/30/26*   3,744,733 
United States - 3.0%
 13,299   Air Lease Corp., 6.150% (3-Month USD-LIBOR + 3.650%)(a)(d)   346,838 
 31,620   American Equity Investment Life Holding Co., 6.625% (5-Year CMT Index + 6.297%)(a)(d)   869,234 
 5,450   AT&T Inc., 4.750%(d)   137,558 
 5,520   Bank of America Corp., 4.375%(d)   136,730 
 3,290   CoBank ACB, 6.250% (3-Month USD-LIBOR + 4.557%)(a)(d)   340,515 
 45,097   CTO Realty Growth Inc., 6.375%(d)   1,183,796 
 1,000   Dairy Farmers of America Inc., 7.875%(c)(d)(e)   101,000 
 35,800   Delphi Financial Group Inc., 3.361% (3-Month USD-LIBOR + 3.190%) due 5/15/37(a)   857,410 
 2,600   Energy Transfer LP, 7.600% (3-Month USD-LIBOR + 5.161%)(a)(d)   62,686 
 11,970   Farm Credit Bank of Texas, 6.750% (3-Month USD-LIBOR + 4.010%)(a)(c)(d)   1,250,865 
 62,996   Federal Home Loan Mortgage Corp., 5.100%*(d)   277,182 
 57,977   Federal National Mortgage Association, 8.250%*(a)(d)   226,110 
 213,039   Fossil Group Inc., 7.000% due 11/30/26*   5,360,061 
 32,699   Gladstone Commercial Corp., 6.000%(d)   882,546 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Shares/Units   Security  Value 
United States - 3.0% - (continued)
 144,897   Gladstone Land Corp., 5.000% due 1/31/26  $3,687,629 
 62,769   Monmouth Real Estate Investment Corp., 6.125%(d)   1,569,853 
 59,120   Morgan Stanley, 5.850% (3-Month USD-LIBOR + 3.491%)(a)(d)   1,686,102 
 15,933   New York Community Bancorp Inc., 6.375% (3-Month USD-LIBOR + 3.821%)(a)(d)   444,212 
 142,826   NGL Energy Partners LP, 9.000% (3-Month USD-LIBOR + 7.213%)(a)(d)   2,023,844 
 49,161   NuStar Energy LP, 7.625% (3-Month USD-LIBOR + 5.643%)(a)(d)   1,074,660 
 6,165   Synchrony Financial, 5.625%(d)   162,140 
 5,388   Synovus Financial Corp., 5.875% (5-Year CMT Index + 4.127%)(a)(d)   142,944 
 16,234   WESCO International Inc., 10.625% (5-Year CMT Index + 10.325%)(a)(d)   492,053 
 3,240   Western Alliance Bancorp, 4.250% (5-Year CMT Index + 3.452%)*(a)(d)   83,916 
 6,536   Wintrust Financial Corp., 6.875% (5-Year CMT Index + 6.507%)(a)(d)   182,158 
     Total United States   23,582,042 
     TOTAL PREFERRED STOCKS     
     (Cost - $28,706,739)   29,272,140 
EXCHANGE TRADED FUNDS (ETFs) - 3.4%
United States - 3.4%
 32,300   Defiance NextGen SPAC Derived*   762,280 
 306,466   iShares iBoxx High Yield Corporate Bond(i)   26,245,748 
     Total United States   27,008,028 
     TOTAL EXCHANGE TRADED FUNDS (ETFs)     
     (Cost - $27,292,461)   27,008,028 
WARRANTS - 0.1%
Bermuda - 0.0%
 558,670   McDermott International Ltd.*(e)   5,587 
 502,803   WT PUR COM*(e)   5,028 
     Total Bermuda   10,615 
Brazil – 0.0%
 58,463   OAS SA*(e)(f)    
Canada - 0.1%
 2,600   GAC Holdco Inc.*(c)(e)   429,000 
Israel – 0.0%
 41,956   GemmaCert Ltd.*(e)(f)    
United States - 0.0%
 46,666   AxonPrime Infrastructure Acquisition Corp.*(e)(i)   31,733 
 2,589   DHB Capital Corp.*(e)   1,631 
 19   RXR Acquisition Corp.*(e)   14 
     Total United States   33,378 
     TOTAL WARRANTS     
     (Cost - $736,994)   472,993 

 

Number of
Contracts
  Notional
Amounts
       
           
PURCHASED OPTIONS - 0.1% 
United States - 0.1%
 163  $319,643  Navitas Semiconductor, Put, 17.50, expires 03/18/2022   48,900 
 416   368,992  Redwire Corp., Call, 5.00, expires 01/21/2022   149,760 
 589   934,154  Rocket Lab USA Inc., Call, 6.00, expires 01/21/2022   565,440 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Number of
Contracts
  Notional
Amounts
  Security  Value 
United States - 0.1% - (continued)
 1,482   2,906,202  Navitas Semiconductor, Put, 17.50, expires 01/21/2022  $333,450 
        Total United States   1,097,550 
        TOTAL PURCHASED OPTIONS     
        (Cost - $1,172,483)   1,097,550 
        TOTAL INVESTMENTS BEFORE SHORT-TERM INVESTMENTS     
        (Cost - $790,673,950)   792,748,804 

 

Face
Amount
        
         
SHORT-TERM INVESTMENTS - 2.8% 
COMMERCIAL PAPER - 0.9%
 7,183,000   Albemarle Corp., 0.360% due 1/19/22(j)     
     (Cost - $7,179,480)   7,178,909 
TIME DEPOSITS - 1.9%
 3,520,379   Banco Bilbao Vizcaya Argentaria SA - Madrid, 0.005% due 12/1/21   3,520,379 
 5,304,709   BNP Paribas - Paris, 0.005% due 12/1/21   5,304,709 
 1,812,441   Skandinaviska Enskilda Banken AB - Stockholm, 0.005% due 12/1/21   1,812,441 
 4,332,029   Sumitomo Mitsui Banking Corp. - Tokyo, 0.005% due 12/1/21   4,332,029 
     TOTAL TIME DEPOSITS     
     (Cost - $14,969,558)   14,969,558 
     TOTAL SHORT-TERM INVESTMENTS     
     (Cost - $22,149,038)   22,148,467 

 

Shares/Units        
         
INVESTMENTS PURCHASED WITH CASH PROCEEDS FROM SECURITIES LENDING - 1.7%     
MONEY MARKET FUND - 1.7%
 13,184,304   Federated Government Obligations Fund, Premier Class, 0.025%(k)     
     (Cost - $13,184,304)  $13,184,304 
     TOTAL INVESTMENTS - 103.9%     
     (Cost - $826,007,292)   828,081,575 
     Other Assets in Excess of Liabilities - 0.1%   (31,089,375)
     TOTAL NET ASSETS - 100.0%  $796,992,200 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Global Fixed Income Opportunities Fund (continued)

 

 

Face amount denominated in U.S. dollars, unless otherwise noted.
*Non-income producing security.
(a)Variable rate security. Interest rate disclosed is that which was in effect at November 30, 2021.
(b)Payment in-kind security for which part of the income earned may be paid as additional principal.
(c)Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $223,952,010 and represents 28.10% of net assets.
(d)Security is perpetual in nature and has no stated maturity date.
(e)Illiquid security. The aggregate value of illiquid holdings at November 30, 2021, amounts to $63,440,919 and represents 7.96% of net assets.
(f)Security is valued in good faith at fair value by or under the direction of the Board of Trustees using significant unobservable inputs.
(g)Security is currently in default.
(h)This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate.
(i)All or a portion of this security is on loan.
(j)Rate shown represents yield-to-maturity.
(k)Represents investment of collateral received from securities lending transactions.
@Restricted security – Investment in security not registered under the Securities Act of 1933. The investment is deemed to not be liquid and may be sold only to qualified buyers.

 

Security   First
Acquisition
Date
  First
Acquisition
Cost
    Market
Value
    Percent
of Net
Assets
 
QBE Insurance Group Ltd., Subordinated Notes, 6.750% (USD Swap Rate + 4.300%) due 12/2/44   10/2/18   $ 2,109,000     $ 1,438,138       0.18 %
UBS Group AG, Junior Subordinated Notes, 6.875% (5-Year USD Swap Rate + 4.590%)   10/14/20     1,782,080       1,549,825       0.19 %
UniCredit SpA, Junior Subordinated Notes, 8.000% (5-Year USD Swap Rate + 5.180%)   5/4/17     328,006       262,762       0.03 %
Total               $ 3,250,725       0.40 %

 

Abbreviations used in this schedule:
CMT Constant Maturity Treasury Index
EURIBOR Euro Interbank Offered Rate
ICE Intercontinental Exchange
LIBOR London Interbank Offered Rate
LLC Limited Liability Company
LP Limited Partnership
NIBOR Norwegian Interbank Offered Rate
PCL Public Company Limited
PLC Public Limited Company
SOFR Secured Overnight Financing Rate

 

Summary of Investments by Security Type^        
Corporate Bonds & Notes   62.0%
Common Stocks   10.3 
Sovereign Bonds   8.9 
Senior Loans   7.3 
Preferred Stocks   3.5 
Exchange Traded Funds (ETFs)   3.3 
Asset-Backed Securities   0.2 
Warrants   0.1 
Purchased Options   0.1 
Short-Term Investments   2.7 
Money Market Fund   1.6 
    100.0%

 

 

^ As a percentage of total investments.

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Global Fixed Income Opportunities Fund (continued)

 

Schedule of Options Contracts Written

Equity Options          

 

Number of
Contracts
   Notional
Amount
   Security Name  Counterparty  Expiration
Date
  Exercise
Rate
   Value 
 1,917   $16,417,188   iShares iBoxx High Yield  DB  12/17/21  $85.50   $162,945 
 296    580,456   Navitas Semiconductor  DB  12/17/21  $17.50    88,800 
 593    1,162,873   Navitas Semiconductor  DB  1/21/22  $15.00    260,920 
 1,778    3,486,658   Navitas Semiconductor  DB  1/21/22  $20.00    453,390 
 163    319,643   Navitas Semiconductor  DB  3/18/22  $22.50    47,270 
 594    526,878   Redwire Corp.  DB  12/17/21  $10.00    32,670 
 297    263,439   Redwire Corp.  DB  2/18/22  $10.00    40,095 
 48    42,576   Redwire Corp.  DB  2/18/22  $12.50    3,840 
 169    807,482   Renew Energy  DB  12/17/21  $7.50    5,915 
 254    1,213,612   Renew Energy  DB  1/21/22  $10.00    6,350 
 186    294,996   Rocket Lab USA Inc.  DB  1/21/22  $10.00    109,926 
 57    90,402   Rocket Lab USA Inc.  DB  1/21/22  $11.00    30,210 
 124    196,664   Rocket Lab USA Inc.  DB  1/21/22  $16.00    26,040 
          TOTAL OPTIONS CONTRACTS WRITTEN          
          (Premiums received — $1,105,631)         $1,268,371 

 

At November 30, 2021, Destinations Global Fixed Income Opportunities Fund had open forward foreign currency contracts as described below.

 

The unrealized appreciation on the open contracts reflected in the accompanying financial statements was as follows:

 

Foreign Currency  Local Currency   Counterparty  Market
Value
   Settlement
Date
  Unrealized
Appreciation
   Unrealized
(Depreciation)
   Unrealized
Appreciation/
(Depreciation)
 
Contracts to Sell:                               
Euro   22,935,000   BBH  $26,028,545   12/15/21  $278,130   $   $278,130 
Norwegian Krone   42,738,000   BBH   4,725,567   12/15/21   201,730        201,730 
Swedish Krona   16,471,000   BBH   1,827,521   12/15/21   65,264        65,264 
Net Unrealized Appreciation on Open Forward Foreign Currency Contracts      $545,124   $   $545,124 

 

Currency Abbreviations used in this schedule:
EUR Euro
NOK Norwegian Krone
SEK Swedish Krona

 

Counterparty Abbreviations used in this schedule:
BBH Brown Brothers Harriman & Co.

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Global Fixed Income Opportunities Fund (concluded)

 

Face Amount†    Security  Value 
SECURITIES SOLD SHORT - 3.9%
CORPORATE BONDS & NOTES - 0.3%
Consumer Non-cyclical - 0.0%
$ 322,000    McKesson Corp., Senior Unsecured Notes, 3.950% due 2/16/28  $357,065 
Financial - 0.3%
1,940,000    FS Energy & Power Fund, Senior Secured Notes, 7.500% due 8/15/23(a)   2,017,600 
     TOTAL CORPORATE BONDS & NOTES     
     (Proceeds - $2,329,457)   2,374,665 

 

Shares/Units        
EXCHANGE TRADED FUNDS (ETFs) - 3.4%
 32,300   Defiance NextGen SPAC Derived*   762,280 
 306,466   iShares iBoxx High Yield Corporate Bond   26,245,748 
     TOTAL EXCHANGE TRADED FUNDS (ETFs)     
     (Proceeds - $27,308,481)   27,008,028 
COMMON STOCKS - 0.2%
INDUSTRIAL - 0.2%
Aerospace/Defense - 0.1%
 44,283   Rocket Lab USA Inc.*   702,329 
Environmental Control - 0.1%
 13,400   GFL Environmental Inc.   517,240 
     TOTAL INDUSTRIAL   1,219,569 
TECHNOLOGY - 0.0%
Software - 0.0%
 18,015   Latch Inc.*   149,164 
     TOTAL COMMON STOCKS     
     (Proceeds - $1,030,174)   1,368,733 
     TOTAL SECURITIES SOLD SHORT - 3.9%     
     (Proceeds - $30,668,112)   30,751,426 

 

 

Face amount denominated in U.S. dollars, unless otherwise noted.
*Non-income producing security.
(a)Restricted security that may be repurchased from “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $2,017,600 and represents 0.25% of net assets.

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Multi Strategy Alternatives Fund

 

 

  Face
Amount/Units
    Security     Value  
COLLATERALIZED MORTGAGE OBLIGATIONS - 23.6%        
$ 2,440,048     Alternative Loan Trust, Series 2005-61, Class 2A2, 0.852% (1-Month USD-LIBOR + 0.760)% due 12/25/35(a)   $  2,242,761  
  812,054     Bear Stearns ALT-A Trust, Series 2006-8, Class 3A1, 0.412% (1-Month USD-LIBOR + 0.320)% due 2/25/34(a)     790,060  
      Connecticut Avenue Securities Trust:        
  6,456,000     Series 2018-R07, Class 1B1, 4.442% (1-Month USD-LIBOR + 4.350)% due 4/25/31(a)(b)     6,633,803  
  8,873,000     Series 2019-HRP1, Class B1, 9.342% (1-Month USD-LIBOR + 9.250)% due 11/25/39(a)(b)     9,384,009  
  4,646,000     Series 2019-R01, Class 2B1, 4.442% (1-Month USD-LIBOR + 4.350)% due 7/25/31(a)(b)     4,757,129  
  6,759,000     Series 2019-R02, Class 1B1, 4.242% (1-Month USD-LIBOR + 4.150)% due 8/25/31(a)(b)     6,902,857  
  6,060,000     Series 2019-R03, Class 1B1, 4.192% (1-Month USD-LIBOR + 4.100)% due 9/25/31(a)(b)     6,196,649  
  7,777,000     Series 2019-R04, Class 2B1, 5.342% (1-Month USD-LIBOR + 5.250)% due 6/25/39(a)(b)     7,981,180  
  3,630,000     Series 2019-R05, Class 1B1, 4.192% (1-Month USD-LIBOR + 4.100)% due 7/25/39(a)(b)     3,675,795  
  3,969,363     Deutsche Alternative-A Securities Mortgage Loan Trust, Series 2007-OA5, Class A1A, 0.292% (1-Month USD-LIBOR + 0.200)% due 8/25/47(a)     3,756,147  
      Federal National Mortgage Association (FNMA), Connecticut Avenue Securities@:        
  1,275,000     Series 2015-C04, Class 1M2, 5.792% (1-Month USD-LIBOR + 5.700)% due 4/25/28(a)     1,343,741  
  208,256     Series 2016-C01, Class 1B, 11.842% (1-Month USD-LIBOR + 11.750)% due 8/25/28(a)     234,137  
  2,106,234     Series 2016-C01, Class 1M2, 6.842% (1-Month USD-LIBOR + 6.750)% due 8/25/28(a)     2,215,912  
  685,107     Series 2016-C02, Class 1B, 12.342% (1-Month USD-LIBOR + 12.250)% due 9/25/28(a)     792,229  
  8,266,851     Series 2016-C03, Class 2M2, 5.992% (1-Month USD-LIBOR + 5.900)% due 10/25/28(a)     8,671,262  
  4,475,106     Series 2016-C05, Class 2M2, 4.542% (1-Month USD-LIBOR + 4.450)% due 1/25/29(a)     4,641,733  
  1,386,678     Series 2016-C07, Class 2M2, 4.442% (1-Month USD-LIBOR + 4.350)% due 5/25/29(a)     1,442,356  
  7,060,000     Series 2017-C01, Class 1B1, 5.842% (1-Month USD-LIBOR + 5.750)% due 7/25/29(a)     7,741,783  
  5,623,035     Series 2017-C01, Class 1M2, 3.642% (1-Month USD-LIBOR + 3.550)% due 7/25/29(a)     5,765,626  
  2,050,000     Series 2017-C02, Class 2M2C, 3.742% (1-Month USD-LIBOR + 3.650)% due 9/25/29(a)     2,164,514  
  6,920,000     Series 2017-C03, Class 1B1, 4.942% (1-Month USD-LIBOR + 4.850)% due 10/25/29(a)     7,517,367  
  3,146,110     Series 2017-C03, Class 1M2C, 3.092% (1-Month USD-LIBOR + 3.000)% due 10/25/29(a)     3,244,183  
  8,087,035     Series 2017-C03, Class 1X1, 2.300% due 10/25/29(c)     118,597  
  5,860,000     Series 2017-C04, Class 2B1, 5.142% (1-Month USD-LIBOR + 5.050)% due 11/25/29(a)     6,440,595  
  3,600,000     Series 2017-C06, Class 2B1, 4.542% (1-Month USD-LIBOR + 4.450)% due 2/25/30(a)     3,798,153  
  15,073,536     Series 2018-C01, Class 1ED5, 2.342% (1-Month USD-LIBOR + 2.250)% due 7/25/30(a)     15,180,783  
  5,542,008     Series 2018-C01, Class 1M2, 2.342% (1-Month USD-LIBOR + 2.250)% due 7/25/30(a)     5,606,201  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Multi Strategy Alternatives Fund (continued)

 

 

  Face
Amount/Units
    Security     Value  
COLLATERALIZED MORTGAGE OBLIGATIONS - (continued)        
$ 6,845,000     Series 2018-C03, Class 1B1, 3.842% (1-Month USD-LIBOR + 3.750)% due 10/25/30(a)   $  7,126,618  
  6,546,000     Series 2018-C05, Class 1B1, 4.342% (1-Month USD-LIBOR + 4.250)% due 1/25/31(a)     6,843,762  
  4,120,000     Series 2018-C06, Class 1B1, 3.842% (1-Month USD-LIBOR + 3.750)% due 3/25/31(a)     4,215,399  
  2,665,570     FNBA Mortgage Loan Trust, Series 2004-AR1, Class M2, 1.739% (1-Month USD-LIBOR + 1.650)% due 8/19/34(a)     2,731,283  
      Freddie Mac STACR REMIC Trust:        
  5,438,000     Series 2020-DNA1, Class B2, 5.342% (1-Month USD-LIBOR + 5.250)% due 1/25/50(a)(b)     5,464,430  
  8,000,000     Series 2020-DNA3, Class B1, 5.192% (1-Month USD-LIBOR + 5.100)% due 6/25/50(a)(b)     8,283,044  
  4,170,000     Series 2020-DNA3, Class B2, 9.442% (1-Month USD-LIBOR + 9.350)% due 6/25/50(a)(b)     4,931,432  
  9,000,000     Series 2020-DNA4, Class B1, 6.092% (1-Month USD-LIBOR + 6.000)% due 8/25/50(a)(b)     9,495,009  
  2,120,000     Series 2020-DNA4, Class B2, 10.092% (1-Month USD-LIBOR + 10.000)% due 8/25/50(a)(b)     2,613,763  
  2,600,000     Series 2020-DNA5, Class B2, 11.550% (SOFR30A + 11.500)% due 10/25/50(a)(b)     3,417,690  
  4,303,539     Series 2020-DNA5, Class M2, 2.850% (SOFR30A + 2.800)% due 10/25/50(a)(b)     4,331,003  
  8,310,926     Series 2020-HQA2, Class M2, 3.192% (1-Month USD-LIBOR + 3.100)% due 3/25/50(a)(b)     8,394,223  
  7,500,000     Series 2020-HQA3, Class B1, 5.842% (1-Month USD-LIBOR + 5.750)% due 7/25/50(a)(b)     7,805,222  
  6,540,000     Series 2020-HQA4, Class B1, 5.342% (1-Month USD-LIBOR + 5.250)% due 9/25/50(a)(b)     6,831,857  
  2,225,282     Series 2020-HQA4, Class M2, 3.242% (1-Month USD-LIBOR + 3.150)% due 9/25/50(a)(b)     2,234,213  
      Freddie Mac STACR Trust:        
  3,194,000     Series 2018-DNA2, Class B1, 3.792% (1-Month USD-LIBOR + 3.700)% due 12/25/30(a)(b)     3,299,942  
  4,720,128     Series 2019-DNA1, Class B1, 4.742% (1-Month USD-LIBOR + 4.650)% due 1/25/49(a)(b)     4,903,502  
  3,766,000     Series 2019-DNA1, Class B2, 10.842% (1-Month USD-LIBOR + 10.750)% due 1/25/49(a)(b)     4,256,041  
  3,580,000     Series 2019-DNA2, Class B1, 4.442% (1-Month USD-LIBOR + 4.350)% due 3/25/49(a)(b)     3,703,997  
  3,000,000     Series 2019-DNA2, Class B2, 10.592% (1-Month USD-LIBOR + 10.500)% due 3/25/49(a)(b)     3,282,346  
  4,870,000     Series 2019-DNA3, Class B2, 8.242% (1-Month USD-LIBOR + 8.150)% due 7/25/49(a)(b)     5,131,689  
  2,428,000     Series 2019-DNA4, Class B2, 6.342% (1-Month USD-LIBOR + 6.250)% due 10/25/49(a)(b)     2,442,632  
  3,920,000     Series 2019-FTR2, Class B2, 7.492% (1-Month USD-LIBOR + 7.400)% due 11/25/48(a)(b)     4,109,483  
  5,620,000     Series 2019-HQA1, Class B1, 4.492% (1-Month USD-LIBOR + 4.400)% due 2/25/49(a)(b)     5,794,324  
      Freddie Mac Structured Agency Credit Risk Debt Notes:        
  2,806,561     Series 2015-DNA3, Class B, 9.442% (1-Month USD-LIBOR + 9.350)% due 4/25/28(a)     3,041,273  
  7,300,000     Series 2017-DNA2, Class B1, 5.242% (1-Month USD-LIBOR + 5.150)% due 10/25/29(a)@     7,967,154  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Multi Strategy Alternatives Fund (continued)

 

 

  Face
Amount/Units
    Security     Value  
COLLATERALIZED MORTGAGE OBLIGATIONS - (continued)        
$ 9,270,093     Series 2017-HQA1, Class M2, 3.642% (1-Month USD-LIBOR + 3.550)% due 8/25/29(a)@   $ 9,507,027  
  1,603,809     Series 2017-HQA1, Class M2B, 3.642% (1-Month USD-LIBOR + 3.550)% due 8/25/29(a)@     1,640,378  
  9,034,291     Series 2017-HQA2, Class M2, 2.742% (1-Month USD-LIBOR + 2.650)% due 12/25/29(a)@     9,231,140  
  4,290,000     Series 2017-HQA3, Class B1, 4.542% (1-Month USD-LIBOR + 4.450)% due 4/25/30(a)@     4,506,831  
      STACR Trust:        
  227,000     Series 2018-DNA3, Class B1, 3.992% (1-Month USD-LIBOR + 3.900)% due 9/25/48(a)(b)     235,531  
  1,652,000     Series 2018-DNA3, Class B2, 7.842% (1-Month USD-LIBOR + 7.750)% due 9/25/48(a)(b)     1,758,499  
  7,839,080     Series 2018-HRP1, Class B2, 11.842% (1-Month USD-LIBOR + 11.750)% due 5/25/43(a)(b)     8,821,272  
        TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS        
        (Cost - $296,127,440)     297,591,571  
ASSET-BACKED SECURITIES - 10.3%        
  3,169,379     Aames Mortgage Investment Trust, Series 2005-4, Class M3, 0.872% (1-Month USD-LIBOR + 0.780)% due 10/25/35(a)     3,167,719  
        ABFC Trust:        
  3,459,506     Series 2003-OPT1, Class A3, 0.772% (1-Month USD-LIBOR + 0.680)% due 4/25/33(a)     3,364,018  
  2,172,264     Series 2005-WF1, Class M2, 0.692% (1-Month USD-LIBOR + 0.600)% due 10/25/34(a)     2,165,584  
  1,555,891     Accredited Mortgage Loan Trust, Series 2006-2, Class A4, 0.352% (1-Month USD-LIBOR + 0.260)% due 9/25/36(a)     1,538,593  
  1,985,208     Asset Backed Securities Corp. Home Equity Loan Trust, Series 2007-HE1, Class A4, 0.232% (1-Month USD-LIBOR + 0.140)% due 12/25/36(a)     1,951,489  
        Brookside Mill CLO Ltd.:        
  3,000,000     Series 2013-1A, Class BR, 1.472% (3-Month USD-LIBOR + 1.350)% due 1/17/28(a)(b)     2,990,786  
  410,000     Series 2013-1A, Class ER, 5.622% (3-Month USD-LIBOR + 5.500)% due 1/17/28(a)(b)     399,771  
  1,350,000     Carlyle Global Market Strategies CLO Ltd., Series 2015-3A, Class ER, 8.386% (3-Month USD-LIBOR + 8.250)% due 7/28/28(a)(b)     1,237,333  
  3,203,447     Carrington Mortgage Loan Trust, Series 2006-NC3, Class A3, 0.242% (1-Month USD-LIBOR + 0.150)% due 8/25/36(a)     3,128,972  
  2,690,320     CHEC Loan Trust, Series 2004-1, Class A3, 1.092% (1-Month USD-LIBOR + 1.000)% due 7/25/34(a)(b)     2,670,990  
  1,136,184     Citigroup Mortgage Loan Trust Inc., Series 2007-WFH4, Class A2C, 1.392% (1-Month USD-LIBOR + 1.300)% due 7/25/37(a)     1,136,812  
        Countrywide Asset-Backed Certificates:        
  3,981,879     Series 2004-2, Class M1, 0.842% (1-Month USD-LIBOR + 0.750)% due 5/25/34(a)     3,955,117  
  16,975,039     Series 2006-22, Class 1A, 0.232% (1-Month USD-LIBOR + 0.140)% due 6/25/35(a)     16,385,762  
  1,882,301     Series 2007-2, Class 2A3, 0.232% (1-Month USD-LIBOR + 0.140)% due 8/25/37(a)     1,866,812  
  820,486     CWABS Asset-Backed Certificates Trust, Series 2007-12, Class 2A3, 0.892% (1-Month USD-LIBOR + 0.800)% due 8/25/47(a)     818,355  
  2,026,218     Ellington Loan Acquisition Trust, Series 2007-1, Class A1, 1.192% (1-Month USD-LIBOR + 1.100)% due 5/25/37(a)(b)     2,025,856  
  3,167,879     EquiFirst Mortgage Loan Trust, Series 2003-2, Class 1A1, 1.214% (1-Month USD-LIBOR + 1.125)% due 9/25/33(a)     3,161,824  
  5,584,730     Fremont Home Loan Trust, Series 2003-A, Class M1, 1.067% (1-Month USD-LIBOR + 0.975)% due 8/25/33(a)     5,539,796  
  1,324,289     Gallatin CLO VIII Ltd., Series 2017-1A, Class A, 1.424% (3-Month USD-LIBOR + 1.300)% due 7/15/27(a)(b)     1,323,627  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Multi Strategy Alternatives Fund (continued)

 

 

  Face
Amount/Units
    Security     Value  
ASSET-BACKED SECURITIES - (continued)        
$ 491,304     Home Equity Asset Trust, Series 2005-7, Class M1, 0.767% (1-Month USD-LIBOR + 0.675)% due 1/25/36(a)   $ 491,135  
  1,251,041     HSI Asset Securitization Corp. Trust, Series 2006-OPT2, Class M2, 0.677% (1-Month USD-LIBOR + 0.585)% due 1/25/36(a)     1,250,291  
  3,781,707     JP Morgan Mortgage Acquisition Trust, Series 2007-CH4, Class A5, 0.332% (1-Month USD-LIBOR + 0.240)% due 5/25/37(a)     3,757,971  
  2,700,000     KVK CLO Ltd., Series 2018-1A, Class E, 6.010% (3-Month USD-LIBOR + 5.850)% due 5/20/29(a)(b)     2,540,541  
        Long Beach Mortgage Loan Trust:        
  3,411,867     Series 2004-4, Class M1, 0.992% (1-Month USD-LIBOR + 0.900)% due 10/25/34(a)     3,390,513  
  6,827,279     Series 2005-WL1, Class M4, 1.142% (1-Month USD-LIBOR + 1.050)% due 6/25/35(a)     6,842,215  
  1,300,000     Longfellow Place CLO Ltd., Series 2013-1A, Class ERR, 7.824% (3-Month USD-LIBOR + 7.700)% due 4/15/29(a)(b)     1,284,837  
  2,976,277     Mastr Asset Backed Securities Trust, Series 2004-WMC1, Class M1, 0.872% (1-Month USD-LIBOR + 0.780)% due 2/25/34(a)     2,977,311  
        Merrill Lynch Mortgage Investors Trust:        
  1,001,219     Series 2005-FM1, Class M1, 0.812% (1-Month USD-LIBOR + 0.720)% due 5/25/36(a)     996,542  
  3,157,485     Series 2006-OPT1, Class A2C, 0.242% (1-Month USD-LIBOR + 0.150)% due 8/25/37(a)     3,071,370  
  1,095,493     Morgan Stanley ABS Capital I Inc. Trust, Series 2005-HE2, Class M1, 0.692% (1-Month USD-LIBOR + 0.600)% due 1/25/35(a)     1,094,895  
        Nationstar Home Equity Loan Trust:        
  1,522,767     Series 2006-B, Class AV4, 0.372% (1-Month USD-LIBOR + 0.280)% due 9/25/36(a)     1,521,585  
  2,707,086     Series 2007-C, Class 1AV1, 0.267% (1-Month USD-LIBOR + 0.175)% due 6/25/37(a)     2,659,668  
  3,076,860     NovaStar Mortgage Funding Trust, Series 2006-1, Class A2C, 0.412% (1-Month USD-LIBOR + 0.320)% due 5/25/36(a)     3,043,181  
  712,009     Option One Mortgage Loan Trust, Series 2005-3, Class M2, 0.827% (1-Month USD-LIBOR + 0.735)% due 8/25/35(a)     712,120  
  2,499,314     Park Place Securities Inc., Series 2005-WCW1, Class M2, 0.797% (1-Month USD-LIBOR + 0.705)% due 9/25/35(a)     2,511,224  
        Park Place Securities Inc. Asset-Backed Pass-Through Certificates:        
  3,600,000     Series 2005-WCH1, Class M5, 1.412% (1-Month USD-LIBOR + 1.320)% due 1/25/36(a)     3,600,954  
  2,179,766     Series 2005-WCW2, Class M2, 0.887% (1-Month USD-LIBOR + 0.795)% due 7/25/35(a)     2,180,055  
  2,703,933     Ramp Trust, Series 2004-RS8, Class MII2, 1.817% (1-Month USD-LIBOR + 1.150)% due 8/25/34(a)     2,702,583  
  983,251     Soundview Home Loan Trust, Series 2006-EQ1, Class A3, 0.252% (1-Month USD-LIBOR + 0.160)% due 10/25/36(a)     982,665  
  380,000     Steele Creek CLO Ltd., Series 2016-1A, Class ER, 5.866% (3-Month USD-LIBOR + 5.750)% due 6/15/31(a)(b)     343,195  
  1,075,418     Structured Asset Investment Loan Trust, Series 2004-7, Class A7, 0.932% (1-Month USD-LIBOR + 0.840)% due 8/25/34(a)     1,074,936  
        Structured Asset Securities Corp. Mortgage Loan Trust:        
  1,000,000     Series 2005-WF4, Class M6, 1.097% (1-Month USD-LIBOR + 1.005)% due 11/25/35(a)     994,692  
  2,600,000     Series 2005-WF4, Class M8, 2.717% (1-Month USD-LIBOR + 2.625)% due 11/25/35(a)     2,665,152  
  9,330,397     Series 2006-BC6, Class A1, 0.252% (1-Month USD-LIBOR + 0.160)% due 1/25/37(a)     9,179,773  
  1,604,797     Series 2006-BC6, Class A4, 0.262% (1-Month USD-LIBOR + 0.170)% due 1/25/37(a)     1,595,639  
  1,965,403     Series 2006-GEL1, Class M2, 1.292% (1-Month USD-LIBOR + 1.200)% due 11/25/35(a)(b)     1,964,949  
  1,426,925     Series 2007-BC3, Class 2A3, 0.272% (1-Month USD-LIBOR + 0.180)% due 5/25/47(a)     1,402,889  
  3,621,385     Terwin Mortgage Trust, Series 2006-5, Class 1A2B, 0.512% (1-Month USD-LIBOR + 0.420)% due 7/25/37(a)(b)     3,588,190  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Multi Strategy Alternatives Fund (continued)

 

 

  Face
Amount/Units
    Security     Value  
ASSET-BACKED SECURITIES - (continued)        
$ 1,030,000     Venture XVIII CLO Ltd., Series 2014-18A, Class ER, 6.714% (3-Month USD-LIBOR + 6.590)% due 10/15/29(a)(b)    $ 972,757  
        TOTAL ASSET-BACKED SECURITIES        
        (Cost - $126,402,851)     130,223,044  
CORPORATE BONDS & NOTES - 8.0%        
Consumer Cyclical - 5.2%        
        AMC Entertainment Holdings Inc., Senior Secured Notes:        
  949,000     10.500% due 4/15/25(b)     996,834  
  3,741,000     10.500% due 4/24/26(b)     3,918,697  
  10,790,000     Arrow Bidco LLC, Senior Secured Notes, 9.500% due 3/15/24(b)(d)     10,897,900  
  23,119,000     Cinemark USA Inc., Company Guaranteed Notes, 5.250% due 7/15/28(b)(d)     21,905,253  
  10,400,000     Guitar Center Inc., Senior Secured Notes, 8.500% due 1/15/26(b)(d)     11,024,000  
  16,261,000     Mclaren Finance PLC, Senior Secured Notes, 7.500% due 8/1/26(b)(d)     16,431,741  
        Total Consumer Cyclical     65,174,425  
Energy - 0.4%              
  5,437,050     Transocean Pontus Ltd., Senior Secured Notes, 6.125% due 8/1/25(b)     5,333,148  
Financial - 1.0%          
  13,371,000     Home Point Capital Inc., Company Guaranteed Notes, 5.000% due 2/1/26(b)(d)     12,375,796  
Industrial - 1.2%          
  13,862,000     Fortress Transportation & Infrastructure Investors LLC, Senior Unsecured Notes, 9.750% due 8/1/27(b)(d)     15,404,148  
Utilities - 0.2%          
  1,755,000     Vistra Corp., Junior Subordinated Notes, 8.000% (5-Year CMT Index + 6.930)% (a)(b)(e)     1,838,362  
        TOTAL CORPORATE BONDS & NOTES        
        (Cost - $99,110,353)     100,125,879  
                 
  Shares/Units              
COMMON STOCKS - 31.4%        
COMMUNICATIONS - 2.1%        
Internet - 0.3%              
  252,531     Solo Brands Inc., Class A Shares*     4,217,268  
Media - 0.5%              
  388,605     Altice USA Inc., Class A Shares*(d)     6,155,503  
Telecommunications - 1.3%        
  468,496     Telephone & Data Systems Inc.(d)     8,283,009  
  80,106     T-Mobile US Inc.*(d)     8,716,334  
      Total Telecommunications     16,999,343  
        TOTAL COMMUNICATIONS     27,372,114  
CONSUMER CYCLICAL - 3.0%        
Auto Parts & Equipment - 1.0%        
  996,394     Holley Inc.*(d)(f)     12,165,971  
Entertainment - 1.9%        
  530,754     Golden Entertainment Inc.*(d)     24,366,916  
Retail - 0.1%              
  67,478     Cannae Holdings Inc.*     1,995,324  
        TOTAL CONSUMER CYCLICAL     38,528,211  
CONSUMER NON-CYCLICAL - 8.2%        
Biotechnology - 5.5%        
  41,014     Ascendis Pharma AS, ADR*(d)     5,619,738  
  888,555     Crinetics Pharmaceuticals Inc.*(d)     24,275,323  
  222,780     DICE Therapeutics Inc.*(f)     7,048,759  
  492,724     Elevation Oncology Inc.*(f)(g)@     3,197,779  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Multi Strategy Alternatives Fund (continued)

 

 

  Shares/Units     Security     Value  
COMMON STOCKS – (continued)        
CONSUMER NON-CYCLICAL - (continued)        
Biotechnology - (continued)        
  547,629     Relay Therapeutics Inc.*(d)   $ 16,111,245  
  43,574     Sema4 Holdings Corp.*     290,639  
  121,607     SpringWorks Therapeutics Inc.*(d)     8,737,463  
  153,610     Xenon Pharmaceuticals Inc.*     4,101,387  
      Total Biotechnology     69,382,333  
Food - 0.4%              
  150,000     US Foods Holding Corp.*(d)     4,713,000  
                 
Healthcare-Products - 0.9%          
  54,523     Itamar Medical Ltd., ADR*     1,671,130  
  61,416     Minerva Surgical Inc.*     392,448  
  393,649     SeaSpine Holdings Corp.*(d)     5,286,706  
  386,550     SomaLogic Inc.*(d)     4,472,384  
      Total Healthcare-Products     11,822,668  
Healthcare-Services - 0.7%        
  494,301     Invitae Corp.*(d)(f)     8,403,117  
                 
Pharmaceuticals - 0.7%        
  399,219     Curaleaf Holdings Inc.*(f)     3,809,120  
  121,983     Cytokinetics Inc.*     4,798,811  
      Total Pharmaceuticals     8,607,931  
        TOTAL CONSUMER NON-CYCLICAL     102,929,049  
       
DIVERSIFIED – 9.1%        
SPACs – 9.1%              
  366,528     Class Acceleration Corp., Class A Shares*(d)     3,577,313  
  565,129     Corazon Capital V838 Monoceros Corp., Class A Shares*(d)(g)     5,481,751  
  743,800     DA32 Life Science Tech Acquisition Corp., Class A Shares*(d)(g)     7,192,546  
  992,028     EJF Acquisition Corp., Class A Shares*(d)     9,880,599  
  441,600     EQRX Inc.*(f)     4,398,336  
  446,038     EQRX Inc., PIPE Common Shares*(g)@     4,442,538  
  1,113,750     First Light Acquisition Group Inc., Class A Shares*(d)     10,937,025  
  366,308     FTAC Zeus Acquisition Corp.*     3,685,058  
  937,446     Jack Creek Investment Corp., Class A Shares*(d)     9,168,222  
  561,397     L&F Acquisition Corp., Class A Shares*(d)(g)     5,670,110  
  14,240     Live Oak Mobility Acquisition Corp.*     142,400  
  535,541     Live Oak Mobility Acquisition Corp., Class A Shares*(d)     5,221,525  
  557,775     Logistics Innovation Technologies Corp., Class A Shares*(d)(g)     5,404,840  
  770,900     Longview Acquisition Corp. II, Class A Shares*(d)     7,647,328  
  489,000     Sema4Holdings Corp. (formerly CM Life Sciences II Inc.), PIPE Common Shares*(g)     3,261,630  
  568,036     Senior Connect Acquisition Corp. I, Class A Shares*(d)     5,578,114  
  439,830     SomaLogic Inc. (formerly CM Life Sciences II Inc.), PIPE Common Shares*(g)@     5,088,833  
  565,129     Tekkorp Digital Acquisition Corp., Class A Shares*(d)     5,566,521  
  263,615     Thayer Ventures Acquisition Corp., Class A Shares*     2,678,328  
  549,384     Tishman Speyer Innovation Corp. II, Class A Shares*(d)(g)     5,361,988  
  232,340     Z-Work Acquisition Corp., Class A Shares*     2,269,962  
      Total SPACs     112,654,967  
      TOTAL DIVERSIFIED     112,654,967  
FINANCIAL - 5.1%          
Banks - 4.1%              
  769,903     Blue Foundry Bancorp*(d)     11,217,487  
  813,856     Eastern Bankshares Inc.(d)     16,382,921  
  772,194     HarborOne Bancorp Inc.(d)     10,725,775  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Multi Strategy Alternatives Fund (continued)

 

 

  Shares/Units     Security     Value  
COMMON STOCKS – (continued)        
FINANCIAL - (continued)        
Banks - (continued)        
  1,106,672     Kearny Financial Corp.(d)   $ 14,065,801  
        Total Banks     52,391,984  
Savings & Loans - 1.0%        
  473,229     Berkshire Hills Bancorp Inc.(d)     12,639,947  
        TOTAL FINANCIAL     65,031,931  
INDUSTRIAL - 3.9%        
Engineering & Construction - 1.5%        
  486,338     WillScot Mobile Mini Holdings Corp.*(d)     18,524,614  
                 
Metal Fabricate/Hardware - 1.0%        
  1,192,003     Hillman Solutions Corp.*(d)     12,611,392  
                 
Transportation - 1.4%        
  428,632     Air Transport Services Group Inc.*(d)     10,582,924  
  100,169     XPO Logistics Inc.*(d)     7,256,242  
      Total Transportation     17,839,166  
        TOTAL INDUSTRIAL     48,975,172  
TECHNOLOGY - 0.0%        
Computers - 0.0%        
  17,261     iCAD Inc.*     127,214  
                 
        TOTAL COMMON STOCKS        
        (Cost - $370,094,299)     395,618,658  
OPEN-END FUND - 18.1%        
  19,801,684     JPMorgan Strategic Income Opportunities Fund, Class R6 Shares        
        (Cost - $228,842,192)     228,511,432  
PREFERRED STOCKS - 1.6%        
COMMUNICATIONS - 0.9%        
Telecommunications - 0.9%        
        Telephone & Data Systems Inc.:        
  340,475     6.000%(d)(e)     8,842,136  
  77,001     6.625%(e)     2,046,686  
        Total Telecommunications     10,888,822  
        TOTAL COMMUNICATIONS     10,888,822  
CONSUMER CYCLICAL - 0.7%        
Retail - 0.7%        
  87,244     Qurate Retail Inc., 8.000%(d)     9,116,998  
        TOTAL PREFERRED STOCKS        
        (Cost - $19,165,298)     20,005,820  
WARRANTS - 0.2%        
DIVERSIFIED - 0.2%        
SPACs - 0.2%        
  183,263     Class Acceleration Corp.*(g)     111,790  
  179,620     Corazon Capital V838 Monoceros Corp.*(g)     125,734  
  39,205     Deep Lake Capital Acquisition Corp.*(g)     35,673  
  330,676     EJF Acquisition Corp.*(g)     535,695  
  88,320     EQRX Inc.*(g)     181,939  
  556,875     First Light Acquisition Group Inc.*(g)     306,281  
  468,723     Jack Creek Investment Corp.*(g)     299,983  
  244,085     L&F Acquisition Corp.*(g)     190,264  
  107,107     Live Oak Mobility Acquisition Corp.*(g)     128,539  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Multi Strategy Alternatives Fund (continued)

 

 

  Shares/Units     Security     Value  
WARRANTS – (continued)        
DIVERSIFIED - (continued)        
SPACs - (continued)        
  185,925     Logistics Innovation Technologies Corp.*(g)   $ 195,221  
  154,180     Longview Acquisition Corp. II*(g)     177,307  
  515,750     Omnichannel Acquisition Corp.*(g)     546,695  
  232,452     Senior Connect Acquisition Corp. I*(g)     162,716  
  77,310     SomaLogic Inc.*(g)     307,694  
  219,657     Tekkorp Digital Acquisition Corp.*(g)     187,807  
  131,807     Thayer Ventures Acquisition Corp.*(g)     171,349  
  109,876     Tishman Speyer Innovation Corp. II*(g)     87,824  
  23,299     X4 Pharmaceuticals Inc.*(g)     2,330  
  77,446     Z-Work Acquisition Corp.*(g)     54,987  
        Total SPACs     3,809,828  
        TOTAL DIVERSIFIED     3,809,828  
        TOTAL WARRANTS        
        (Cost - $3,753,177)     3,809,828  

 

  Number of
Contracts
  Notional
Amounts
           
PURCHASED SWAPTION - 0.1%        
Interest Rate Swaption - 0.1%        
  90,000,000   $ 153,000   10-Year Constant Maturity Swap, 3-Month USD-LIBOR, Call, 2.25, expires 5/22/23     1,693,819  
        TOTAL PURCHASED SWAPTION        
        (Cost - $2,029,500)     1,693,819  

 

  Shares/Units              
EXCHANGE TRADED FUND (ETF) – 0.0%        
  70,340     FLAG-Forensic Accounting Long-Short ETF*(g)@      
        (Cost - $306)        
        TOTAL INVESTMENTS BEFORE SHORT-TERM INVESTMENTS        
        (Cost - $1,145,525,416)     1,177,580,051  

 

  Face
Amount
             
SHORT-TERM INVESTMENTS - 5.5%        
TIME DEPOSITS - 5.5%        
$ 26,083,103     Barclays Bank PLC - London, 0.005% due 12/1/21     26,083,103  
  42,851,219     Skandinaviska Enskilda Banken AB - Stockholm, 0.005% due 12/1/21     42,851,219  
        TOTAL TIME DEPOSITS        
        (Cost - $68,934,322)     68,934,322  
                 
  Shares/Units              
INVESTMENTS PURCHASED WITH CASH PROCEEDS FROM SECURITIES LENDING - 1.1%        
MONEY MARKET FUND - 1.1%        
$ 13,719,265     Federated Government Obligations Fund, Premier Class, 0.025%(h)        
      (Cost - $13,719,265)   $ 13,719,265  
        TOTAL INVESTMENTS - 99.9%        
      (Cost - $1,228,179,003)     1,260,233,638  
      Other Assets in Excess of Liabilities - 0.1%     1,135,849  
      TOTAL NET ASSETS - 100.0%   $ 1,261,369,487  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Multi Strategy Alternatives Fund (continued)

 

 

 

* Non-income producing security.

(a)Variable rate security. Interest rate disclosed is that which was in effect at November 30, 2021. (b) Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $278,541,277 and represents 22.08% of net assets.   (c) Interest only security. (d) All or a portion of this security is pledged by the Fund as collateral for short sales or derivative transactions. (e) Security is perpetual in nature and has no stated maturity date. (f) All or a portion of this security is on loan. (g) Illiquid security. The aggregate value of illiquid holdings at November 30, 2021, amounts to $48,911,843 and represents 3.88% of net assets. (h) Represents investment of collateral received from securities lending transactions. @ Restricted security – Investment in security not registered under the Securities Act of 1933. The investment is deemed to not be liquid and may be sold only to qualified buyers.

 

Security 

First
Acquisition

Date

 

First
Acquisition
Cost

  

Market
Value

   Percent of
Net Assets
 
Elevation Oncology Inc.  11/10/2020  $2,311,250   $3,197,779    0.25%
EQRX Inc., PIPE Common Shares  8/6/2021   4,460,380    4,442,538    0.35%
FLAG-Forensic Accounting Long-Short ETF  9/10/2021   306        0.00%*
SomaLogic Inc. (formerly CM Life Sciences II Inc.), PIPE Common Shares  3/29/2021   4,398,300    5,088,833    0.40%
Federal National Mortgage Association (FNMA), Connecticut Avenue Securities:                  
Series 2015-C04, Class 1M2, 5.792% (1-Month USD-LIBOR + 5.700%) due 4/25/28  3/26/2020   2,461,077    1,343,741    0.11%
Series 2016-C01, Class 1B, 11.842% (1-Month USD-LIBOR + 11.750%) due 8/25/28  8/3/2021   2,364,523    234,137    0.02%
Series 2016-C01, Class 1M2, 6.842% (1-Month USD-LIBOR + 6.750%) due 8/25/28  3/6/2020   1,335,384    2,215,912    0.18%
Series 2016-C02, Class 1B, 12.342% (1-Month USD-LIBOR + 12.250%) due 9/25/28  8/10/2021   799,642    792,229    0.06%
Series 2016-C03, Class 2M2, 5.992% (1-Month USD-LIBOR + 5.900%) due 10/25/28  3/19/2020   1,066,978    8,671,262    0.69%
Series 2016-C05, Class 2M2, 4.542% (1-Month USD-LIBOR + 4.450%) due 1/25/29  4/26/2019   5,497,400    4,641,733    0.37%
Series 2016-C07, Class 2M2, 4.442% (1-Month USD-LIBOR + 4.350%) due 5/25/29  5/9/2019   4,217,292    1,442,356    0.11%
Series 2017-C01, Class 1B1, 5.842% (1-Month USD-LIBOR + 5.750%) due 7/25/29  11/17/2020   2,739,200    7,741,783    0.61%
Series 2017-C01, Class 1M2, 3.642% (1-Month USD-LIBOR + 3.550%) due 7/25/29  11/24/2020   895,148    5,765,626    0.46%
Series 2017-C02, Class 2M2C, 3.742% (1-Month USD-LIBOR + 3.650%) due 9/25/29  8/20/2019   471,252    2,164,514    0.17%
Series 2017-C03, Class 1B1, 4.942% (1-Month USD-LIBOR + 4.850%) due 10/25/29  1/12/2021   6,145,425    7,517,367    0.60%
Series 2017-C03, Class 1M2C, 3.092% (1-Month USD-LIBOR + 3.000%) due 10/25/29  2/16/2021   5,091,552    3,244,183    0.26%
Series 2017-C03, Class 1X1, 2.300% due 10/25/29  2/16/2021   181,485    118,597    0.01%
Series 2017-C04, Class 2B1, 5.142% (1-Month USD-LIBOR + 5.050%) due 11/25/29  6/3/2021   6,414,869    6,440,595    0.51%
Series 2017-C06, Class 2B1, 4.542% (1-Month USD-LIBOR + 4.450%) due 2/25/30  4/20/2021   3,755,250    3,798,153    0.30%
Series 2018-C01, Class 1ED5, 2.342% (1-Month USD-LIBOR + 2.250%) due 7/25/30  1/25/2021   16,072,145    15,180,783    1.21%

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Multi Strategy Alternatives Fund (continued)

 

 

Security 

First
Acquisition
Date

   

First
Acquisition
Cost

    

Market

Value

    Percent of Net
Assets
 
Series 2018-C01, Class 1M2, 2.342% (1-Month USD-LIBOR + 2.250%) due 7/25/30  9/11/2019   849,450    5,606,201    0.44%
Series 2018-C03, Class 1B1, 3.842% (1-Month USD-LIBOR + 3.750%) due 10/25/30  4/7/2021   3,599,409    7,126,618    0.56%
Series 2018-C05, Class 1B1, 4.342% (1-Month USD-LIBOR + 4.250%) due 1/25/31  10/22/2020   1,499,569    6,843,762    0.54%
Series 2018-C06, Class 1B1, 3.842% (1-Month USD-LIBOR + 3.750%) due 3/25/31  6/29/2021   3,490,313    4,215,399    0.33%
Freddie Mac Structured Agency Credit Risk Debt Notes:                  
Series 2017-DNA2, Class B1, 5.242% (1-Month USD-LIBOR + 5.150%) due 10/25/29  11/9/2020   1,238,884    7,967,154    0.63%
Series 2017-HQA1, Class M2, 3.642% (1-Month USD-LIBOR + 3.550%) due 8/25/29  9/9/2019   4,467,906    9,507,027    0.76%
Series 2017-HQA1, Class M2B, 3.642% (1-Month USD-LIBOR + 3.550%) due 8/25/29  8/4/2020   2,913,183    1,640,378    0.13%
Series 2017-HQA2, Class M2, 2.742% (1-Month USD-LIBOR + 2.650%) due 12/25/29  11/18/2019   6,234,469    9,231,140    0.73%
Series 2017-HQA3, Class B1, 4.542% (1-Month USD-LIBOR + 4.450%) due 4/25/30  4/29/2021   4,504,500    4,506,831    0.36%
           $140,686,631    11.15%

 

Abbreviations used in this schedule:
ABS Asset-Based Security
ADR American Depositary Receipts
CLO Collateralized Loan Obligation
ETF Exchange Traded Fund
LIBOR London Interbank Offered Rate
LLC Limited Liability Company
PIPE Private Investment In Public Equity
PLC Public Limited Company
SPDR Standard & Poor's Depository Receipts
SPACs Special Purpose Acquisition Companies
 

 

Summary of Investments by Security Type^
Common Stocks   31.5%
Collateralized Mortgage Obligations   23.6 
Open-End Fund   18.1 
Asset-Backed Securities   10.3 
Corporate Bonds & Notes   7.9 
Preferred Stocks   1.6 
Warrants   0.3 
Exchange Traded Fund (ETF)   0.0*
Purchased Swaption   0.1 
Short-Term Investments   5.5 
Money Market Fund   1.1 
    100.0%

 

___________________  
^ As a percentage of total investments.  
* Position represents less than 0.05%.  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Multi Strategy Alternatives Fund (continued)

 

 

Schedule of Options Contracts Written

Interest Rate Swaptions

 

Number of Contracts   Notional Amount   Security Name  Counterparty   Expiration Date  Exercise Rate   Value 
 90,000,000   $153,000   10-Year Constant Maturity Swap, 3-Month USD LIBOR, Call   MSCS   5/22/23  $3.25   $501,404 
          TOTAL SWAPTION CONTRACTS WRITTEN               $501,404 

 

At November 30, 2021, Destinations Multi Strategy Alternatives Fund held the following OTC and Centrally Cleared Credit Default Swap Contracts:  

 

OTC Credit Default Swaps on Corporate and Sovereign Issues - Sell Protection (1)  

 

Reference Obligation  Fixed Deal
Receive Rate
   Maturity Date  Payment
Frequency
  Counter party  Implied Credit Spread at11/30/21(2)  

Notional Amounts in

(000’s) (3)

  Market
Value
   Upfront Premiums
Paid/ (Received)
   Unrealized
Appreciation/
(Depreciation)
 
CDX.NA.HY.35   5.000%  12/20/25  3-Month  MSCS   3.670%  USD 10,000  $744,420   $405,000   $339,420 
CDX.NA.IG.29   1.000%  12/20/22  3-Month  GSC   0.040%  USD 100,000   1,475,626    1,439,999    35,627 
CDX.NA.IG.31   1.000%  12/20/23  3-Month  GSC   0.840%  USD 30,000   237,629    (1,956,000)   2,193,629 
CDX.NA.IG.35   1.000%  12/20/25  3-Month  GSC   1.920%  USD 10,000   (320,292)   (905,000)   584,708 
CDX.NA.IG.37   1.000%  12/20/26  3-Month  MSCS   2.620%  USD 40,000   (3,038,948)   (2,360,000)   (678,948)
                         $(901,565)  $(3,376,001)  $2,474,436 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Multi Strategy Alternatives Fund (continued)

 

 

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

 

(2) Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swap agreements on corporate issues or sovereign issues of on emerging country as of period end serve as indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement. A credit spread identified as “Defaulted” indicates a credit event has occurred for the referenced entity or obligation.

 

(3) The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.

 

* Fund will pay or receive the volatility of the reference asset depending on whether the realized volatility of the reference asset exceeds or is less than the fixed rate. For contracts where the Fund has elected to receive the volatility of the reference asset, it will receive a net payment of the difference between the realized volatility and the fixed rate multiplied by the notional amount if the realized volatility exceeds the fixed rate; the Fund will make a net payment of the absolute value of the difference of the realized volatility and the fixed rate multiplied by the notional amount if the realized volatility is less than the fixed rate. For contracts where the Fund has elected to pay the volatility of the reference asset, it will make a net payment of the difference between the realized volatility and the fixed rate multiplied by the notional amount if the realized volatility exceeds the fixed rate; the Fund will receive a net payment of the absolute value of the difference of the realized and the fixed rate multiplied by the notional amount if the realized volatility is less than the fixed rate.

 

At November 30, 2021, Destinations Multi Strategy Alternatives Fund held the following OTC and Centrally Cleared Total Return Swaps:

 

OTC Total Return Swaps on Basket

 

Currency   Notional
Amount
   Maturity
Date
  Counterparty   Payment Frequency  Pay   Receive  

Upfront

Premiums
Paid/
(Received)

   Unrealized
(Depreciation)
 
 USD   $18,393,125   10/22/22   GSC   1-Month   USD-Federal Funds-H.15   GSCNNED2 Basket*       $(65,880)

 

 

* GSCNNED2 Basket consists of a portfolio of:

 

Alight Inc   28%
Ceridian HCM Holding Inc   4%
Dun & Bradstreet Holdings Inc.   38%
Paysafe Ltd.   30%
    100%

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Multi Strategy Alternatives Fund (concluded)

 

 

OTC Total Return Swaps

 

Currency   Notional
Amount
   Maturity
Date
  Counterparty   Payment Frequency  Pay  Receive   Unrealized
(Depreciation)
 
 USD   $16,383,735   10/22/22   GSC   1-Month  Cannae Holdings Inc.  USD-Federal Funds-H.15   $(1,620,025)

 

Counterparty Abbreviations used in this schedule:
GSC Goldman Sachs & Co.
MSC Morgan Stanley

 

  Face
Amount
    Security     Value  
SECURITIES SOLD SHORT - 9.0%        
EXCHANGE TRADED FUNDS (ETFs) - 9.0%      
  114,539     ARK Genomic Revolution    $ 7,258,336  
  82,618     iShares Biotechnology     12,741,348  
  570,936     SPDR S&P Biotech     66,382,729  
  380,253     SPDR S&P Regional Banking     26,545,462  
        TOTAL EXCHANGE TRADED FUNDS (ETFs)        
        (Proceeds - $122,256,649)     112,927,875  
        TOTAL SECURITIES SOLD SHORT - 9.0%        
        (Proceeds - $122,256,649)     112,927,875  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund

 

Face
Amount/Units
    Rating††   Security     Value  
MUNICIPAL BONDS - 90.6%        
Alabama - 1.1%        
$ 2,000,000     AA-   Auburn University, Revenue Bonds, Series A, 5.000% due 6/1/35   $ 2,501,539  
  2,540,000     A2(a)   Lower Alabama Gas District, Revenue Bonds, 4.000% due 12/1/50(b)     2,841,641  
            Mobile County Board of School Commissioners, Special Tax:        
  260,000     A-   5.000% due 3/1/28     304,311  
  175,000     A-   5.000% due 3/1/29     204,389  
  180,000     A-   5.000% due 3/1/30     210,218  
  185,000     A-   5.000% due 3/1/31     215,999  
  145,000     A-   5.000% due 3/1/32     169,299  
  215,000     A-   5.000% due 3/1/33     251,266  
  3,500,000     A1(a)   Southeast Alabama Gas Supply District, Revenue Bonds, Series A, 4.000% due 6/1/49(b)     3,771,214  
            Total Alabama     10,469,876  
Alaska - 0.2%                  
  1,000,000     AA+   Alaska Housing Finance Corp., Revenue Bonds, Series A, 5.000% due 6/1/30     1,220,298  
  215,000     AA-   State of Alaska, GO, Series A, 5.000% due 8/1/33     248,111  
            Total Alaska     1,468,409  
Arizona - 3.8%                  
            Arizona Department of Transportation State Highway Fund Revenue, Revenue Bonds:        
  5,000,000     AA+   5.000% due 7/1/27     5,982,499  
  3,810,000     AA+   5.000% due 7/1/34     4,509,417  
  2,000,000     AA   Arizona State University, Revenue Bonds, Series A, 5.000% due 7/1/39     2,536,848  
  1,800,000     A+   Chandler Industrial Development Authority, Revenue Bonds, 5.000% due 6/1/49(b)(c)     1,989,471  
            City of Glendale AZ, Revenue Bonds:        
  105,000     AA   Series A, 5.000% due 7/1/23     112,717  
  230,000     AA   Series A, 5.000% due 7/1/27     265,161  
  215,000     AA   Series A, 5.000% due 7/1/28     247,373  
  235,000     AA   Series A, 5.000% due 7/1/29     270,294  
  85,000     AA   Series A, 5.000% due 7/1/32     103,037  
            City of Glendale AZ Transportation Excise Tax Revenue, Revenue Bonds, AGM:        
  55,000     AA   5.000% due 7/1/24     61,529  
  105,000     AA   5.000% due 7/1/26     121,254  
            City of Phoenix Civic Improvement Corp., Revenue Bonds:        
  65,000     A+   Series A, 5.000% due 7/1/27(c)     79,070  
  90,000     A+   Series A, 5.000% due 7/1/28(c)     109,138  
  6,365,000     AAA   Series B, 4.000% due 7/1/29     6,905,786  
  1,000,000     AAA   City of Scottsdale AZ, GO, 5.000% due 7/1/23     1,075,319  
  160,000     A+   Coconino County Pollution Control Corp., Revenue Bonds, 1.875% due 9/1/32(b)(c)     162,766  
            County of Pima AZ Sewer System Revenue, Revenue Bonds:        
  15,000     AA   Series A, 5.000% due 7/1/22     15,419  
  30,000     AA   Series A, Prerefunded 7/1/22 @ 100, 5.000% due 7/1/23(d)     30,837  
            Maricopa County Industrial Development Authority, Revenue Bonds:        
  800,000     AA-   5.000% due 1/1/46(b)     950,331  
  200,000     A2(a)   5.000% due 7/1/47     248,241  
  190,000     AA-   Series A, 4.000% due 1/1/24     204,275  
  70,000     AA-   Series A, 5.000% due 1/1/22     70,272  
  145,000     AA-   Series A, 5.000% due 1/1/23     152,453  
  60,000     AA-   Series A, 5.000% due 1/1/24     65,750  
  225,000     AA-   Series A, 5.000% due 1/1/25     256,145  
  735,000     A2(a)   Series B, 5.000% due 9/1/45(b)     826,909  
  430,000     AA-   Series B, 5.000% due 1/1/48(b)     447,861  
  290,000     AA-   Series C, 5.000% due 1/1/48(b)     328,057  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
  Rating††   Security     Value  
Arizona - 3.8% - (continued)  
            Salt River Project Agricultural Improvement & Power District, Revenue Bonds:        
$ 4,000,000     AA+   5.000% due 1/1/26   $ 4,720,210  
  2,000,000     AA+   Series A, 5.000% due 1/1/29     2,560,156  
  145,000     AA+   Series A, 5.000% due 1/1/33     179,756  
            State of Arizona, COP:        
  225,000     AA-   Series A, 5.000% due 10/1/22     234,055  
  300,000     AA-   Series A, 5.000% due 10/1/23     326,032  
  310,000     AA-   Series A, 5.000% due 10/1/24     350,225  
            Total Arizona     36,498,663  
Arkansas - 0.0%                
  90,000     Aa2(a)   Little Rock School District, GO, 3.000% due 2/1/22     90,417  
                     
California - 5.3%                
  60,000     A-   Alameda Corridor Transportation Authority, Revenue Bonds, Series A, 5.000% due 10/1/23     64,962  
            Bay Area Toll Authority, Revenue Bonds:        
  210,000     AA   Series B, 2.850% due 4/1/47(b)     224,195  
  195,000     AA   Series C, 2.100% due 4/1/45(b)     195,319  
  115,000     AA-   California Health Facilities Financing Authority, Revenue Bonds, Series A, 5.000% due 7/1/25     123,528  
            California State Public Works Board, Revenue Bonds:        
  60,000     A+   Series A, 5.000% due 4/1/22     60,959  
  145,000     A+   Series A, 5.000% due 4/1/23     147,309  
  3,000,000     A+   Series A, 5.000% due 2/1/28     3,733,378  
  70,000     A+   Series D, 5.000% due 12/1/21     70,000  
  30,000     A+   Series G, 5.000% due 11/1/23     31,325  
  30,000     A+   Series G, 5.000% due 11/1/24     31,325  
            California Statewide Communities Development Authority, Revenue Bonds:        
  1,545,000     A-   4.000% due 4/1/35     1,828,343  
  1,590,000     A-   4.000% due 4/1/36     1,879,858  
  1,000,000     A-   4.000% due 4/1/39     1,174,657  
  1,750,000     A-   4.000% due 4/1/40     2,048,655  
  1,000,000     A-   4.000% due 4/1/46     1,155,029  
  3,000,000     AA-   City of Riverside CA Sewer Revenue, Revenue Bonds, Series A, 5.000% due 8/1/36     3,751,451  
            Golden State Tobacco Securitization Corp., Revenue Bonds:        
  175,000     A+   Series A, AMBAC, zero coupon, due 6/1/24     173,020  
  145,000     A+   Series A, Prerefunded 6/01/23 @ 100, 5.000% due 6/1/29(d)     155,274  
  115,000     A   Series A1, 5.000% due 6/1/25     132,469  
  30,000     BBB   Series A1, 5.000% due 6/1/26     35,639  
  290,000     AA-   Los Angeles Department of Water & Power Power System Revenue, Revenue Bonds, Series A, 5.000% due 7/1/29     329,664  
  1,500,000     Aa3(a)   Los Angeles Unified School District, GO, Series A, 5.000% due 7/1/27     1,853,148  
  170,000     Aa3(a)   Oakland Alameda County Coliseum Authority, Revenue Bonds, Series A, 5.000% due 2/1/23     171,147  
            Oakland Unified School District, GO:        
  100,000     AA   AGM, 5.000% due 8/1/26     116,200  
  30,000     A-   Series A, 5.000% due 8/1/28     34,715  
  145,000     A+   Port of Oakland, Revenue Bonds, Series P, 5.000% due 5/1/22(c)     147,870  
  90,000     A   Sacramento City Financing Authority, Special Tax, Series A, NPFG, zero coupon, due 12/1/26     85,000  
  255,000     AA-   San Diego Convention Center Expansion Financing Authority, Revenue Bonds, Series A, Prerefunded 4/15/22 @ 100, 5.000% due 4/15/23(d)     259,539  
            San Diego County Regional Transportation Commission, Revenue Bonds:        
  600,000     AA   Series B, 5.000% due 4/1/34     804,723  
  250,000     AA   Series B, 5.000% due 4/1/35     334,644  
  300,000     AA   Series B, 5.000% due 4/1/36     400,583  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
  Rating††   Security     Value  
California - 5.3% - (continued)  
$ 400,000     AA   Series B, 5.000% due 4/1/37   $ 532,847  
  500,000     AA   Series B, 5.000% due 4/1/38     664,798  
  500,000     AA   Series B, 5.000% due 4/1/39     663,400  
  515,000     AA   Series B, 5.000% due 4/1/40     679,959  
  185,000     A   San Francisco City & County Airport Comm-San Francisco International Airport, Revenue Bonds, Series A, 5.000% due 5/1/37(c)     229,498  
  2,500,000     AA+   Santa Clara County Financing Authority, Revenue Bonds, Series A, 3.000% due 5/1/39     2,744,167  
            State of California, GO:        
  760,000     AA-   4.000% due 3/1/26     868,807  
  3,000,000     AA-   5.000% due 12/1/27     3,737,345  
  3,000,000     AA-   5.000% due 12/1/28     3,818,828  
  80,000     AA-   5.000% due 9/1/29     96,205  
  1,000,000     AA-   5.000% due 4/1/30     1,315,865  
  760,000     AA-   5.000% due 8/1/30     935,337  
  3,310,000     AA-   5.000% due 9/1/30     4,395,348  
  3,000,000     AA-   5.000% due 10/1/32     4,013,070  
  3,000,000     AA-   5.000% due 4/1/36     3,806,741  
  435,000     AA-   Series B, 5.000% due 8/1/26     522,243  
  205,000     AA-   Series C, 5.000% due 8/1/29     245,801  
  65,000     AAA   State of California Department of Water Resources, Revenue Bonds, Series AI, Prerefunded 12/1/21 @ 100, 5.000% due 12/1/25(d)     65,000  
  100,000     A1(a)   Washington Township Health Care District, GO, Series A, 5.500% due 8/1/40     112,475  
  230,000     AA-   West Contra Costa Unified School District, GO, Series Prerefunded 8/1/22 @ 100, 5.000% due 8/1/26(d)     237,373  
            Total California     51,239,035  
Colorado - 1.9%  
            City & County of Denver CO Airport System Revenue, Revenue Bonds:        
  65,000     A+   Series A, 5.000% due 11/15/24(c)     73,246  
  315,000     A   Series A, 5.000% due 12/1/26(c)     377,167  
  30,000     A+   Series A, 5.000% due 11/15/27(c)     36,743  
  195,000     A+   Series A, 5.000% due 11/15/28(c)     238,408  
  145,000     A+   Series A, 5.000% due 11/15/29(c)     176,718  
  115,000     A+   Series A, 5.000% due 11/15/30(c)     139,962  
  915,000     A+   Series C, 5.000% due 11/15/30     1,177,208  
  1,500,000     AA+   City of Colorado Springs CO Utilities System Revenue, Revenue Bonds, Series B, 4.000% due 11/15/46     1,807,569  
            Colorado Health Facilities Authority, Revenue Bonds:        
  655,000     Aaa(a)   zero coupon, due 7/15/22     654,122  
  215,000     A   2.800% due 5/15/42(b)     219,728  
  2,115,000     AA   5.000% due 11/15/36(b)     2,317,466  
  190,000     Baa1(a)   5.000% due 9/1/46     218,320  
  640,000     AA   5.000% due 11/15/49(b)     774,247  
  500,000     A-   Series A, 5.000% due 8/1/44     614,240  
  325,000     A-   Series B-2, 5.000% due 8/1/49(b)     382,735  
  95,000     AA   Colorado Housing & Finance Authority, Revenue Bonds, Series H, 4.250% due 11/1/49     105,068  
  1,500,000     AAA   Metro Wastewater Reclamation District, Revenue Bonds, Series A, Prerefunded 4/1/22 @ 100, 4.000% due 4/1/30(d)     1,519,087  
  2,000,000     AA+   Regional Transportation District Sales Tax Revenue, Revenue Bonds, 0.900% due 11/1/26     1,952,803  
  2,250,000     AA-   State of Colorado, COP, Series A, 4.000% due 12/15/36     2,645,255  
  1,435,000     Aa1(a)   University of Colorado, Revenue Bonds, Series C, 2.000% due 6/1/54(b)     1,494,675  
            Vauxmont Metropolitan District, GO, AGM:        
  150,000     AA   5.000% due 12/1/21     150,000  
  125,000     AA   5.000% due 12/15/27     144,016  
  120,000     AA   5.000% due 12/15/29     137,812  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

  Face
Amount/Units
  Rating††   Security     Value  
Colorado – 1.9% - (continued)  
$ 135,000     AA   5.000% due 12/15/31   $ 154,786  
  285,000     AA   5.000% due 12/1/34     362,744  
            Total Colorado     17,874,125  
Connecticut - 2.5%  
            Connecticut State Health & Educational Facilities Authority, Revenue Bonds:        
  1,075,000     AAA   Series 2017 B1, 5.000% due 7/1/29     1,394,327  
  410,000     A   Series A, 5.000% due 7/1/34     521,577  
  505,000     AA-   Series B, 1.800% due 7/1/49(b)     519,088  
  65,000     A-   Series S, 5.000% due 7/1/26     76,772  
  30,000     A-   Series S, 5.000% due 7/1/29     37,059  
  4,465,000     AAA   Series V1, 0.010% due 7/1/36(b)     4,465,000  
            State of Connecticut, GO:        
  90,000     A+   Series A, 5.000% due 3/15/26     106,744  
  375,000     A+   Series A, 5.000% due 4/15/26     445,937  
  150,000     A+   Series A, 5.000% due 4/15/30     190,739  
  170,000     A+   Series A, 5.000% due 4/15/34     214,518  
  60,000     A+   Series A, 5.000% due 4/15/35     75,594  
  175,000     A+   Series B, 5.000% due 1/15/26     206,456  
  2,100,000     A+   Series D, 5.000% due 7/15/25     2,437,163  
  85,000     A+   Series E, 5.000% due 9/15/23     88,131  
  100,000     A+   Series E, 5.000% due 10/15/26     120,748  
  150,000     A+   Series E, 5.000% due 10/15/29     180,392  
  1,600,000     A+   Series F, 5.000% due 9/15/26     1,927,148  
            State of Connecticut Special Tax Revenue, Revenue Bonds:        
  2,250,000     AA-   Series C, 5.000% due 1/1/30     2,923,794  
  1,500,000     AA-   Series C, 5.000% due 1/1/32     2,024,663  
  1,500,000     AA-   Series D, 4.000% due 11/1/39(e)     1,828,203  
  1,500,000     AA-   Series D, 4.000% due 11/1/40(e)     1,823,151  
  1,500,000     AAA   Town of Greenwich CT, GO, 5.000% due 1/15/23     1,581,018  
  330,000     A+   University of Connecticut, Revenue Bonds, Series A, 5.000% due 11/1/27     408,941  
            Total Connecticut     23,597,163  
Delaware - 0.4%  
            Delaware River & Bay Authority, Revenue Bonds:        
  85,000     A   Series C, 5.000% due 1/1/22     85,328  
  35,000     A   Series C, 5.000% due 1/1/24     38,270  
  80,000     A   Series C, 5.000% due 1/1/25     87,439  
  220,000     A   Delaware State Economic Development Authority, Revenue Bonds, 1.050% due 1/1/31(b)     223,217  
  3,160,000     NR   State of Delaware, GO, Series B, Prerefunded 7/1/24 @ 100, 5.000% due 7/1/27(d)     3,529,919  
            Total Delaware     3,964,173  
District of Columbia - 0.7%  
  2,000,000     AA+   District of Columbia, GO, Series C, 5.000% due 6/1/34     2,223,805  
            District of Columbia, Revenue Bonds:        
  80,000     AAA   Series A, 5.000% due 12/1/36     80,000  
  40,000     NR   Series A, Prerefunded 12/1/21 @ 100, 5.000% due 12/1/36(d)     40,000  
            Metropolitan Washington Airports Authority Aviation Revenue, Revenue Bonds:        
  50,000     A+   Series A, 5.000% due 10/1/22(c)     51,971  
  75,000     A+   Series A, 5.000% due 10/1/23(c)     81,361  
  2,625,000     A+   Series A, 5.000% due 10/1/24(c)     2,945,182  
  115,000     A+   Series A, 5.000% due 10/1/28(c)     143,912  
  120,000     A+   Series A, 5.000% due 10/1/29(c)     149,374  
  95,000     A+   Series A, 5.000% due 10/1/30(c)     117,759  
  205,000     A+   Series A, 5.000% due 10/1/31(c)     251,905  
  60,000     A+   Series A, 5.000% due 10/1/34(c)     72,688  
  55,000     A+   Series A, 5.000% due 10/1/36(c)     66,658  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

  Face
Amount/Units
  Rating††   Security     Value  
District of Columbia - 0.7% - (continued)  
$  400,000     A-   Metropolitan Washington Airports Authority Dulles Toll Road Revenue, Revenue Bonds, 4.000% due 10/1/35   $ 463,388  
  240,000     AA-   Washington Metropolitan Area Transit Authority, Revenue Bonds, Series B, 5.000% due 7/1/34     291,647  
            Total District of Columbia     6,979,650  
Florida - 3.8%  
            Brevard County School District, COP:        
  95,000     Aa3(a)   5.000% due 7/1/27     105,887  
  215,000     Aa3(a)   5.000% due 7/1/30     239,286  
  85,000     Aa3(a)   Series C, 5.000% due 7/1/24     94,369  
  60,000     A+   Citizens Property Insurance Inc., Revenue Bonds, Series A1, 5.000% due 6/1/22     61,428  
            City of Clearwater FL Water & Sewer Revenue, Revenue Bonds:        
  40,000     AA+   5.000% due 12/1/21     40,000  
  65,000     AA+   Series Prerefunded 12/1/21 @ 100, 5.000% due 12/1/23(d)     65,000  
  70,000     AA+   Series Prerefunded 12/1/21 @ 100, 5.000% due 12/1/24(d)     70,000  
            City of Jacksonville FL, Revenue Bonds:        
  115,000     A+   5.000% due 10/1/22     119,651  
  155,000     A+   5.000% due 10/1/23     161,094  
  55,000     A+   City of Tampa FL, Revenue Bonds, 5.000% due 9/1/28     56,847  
            County of Broward FL Airport System Revenue, Revenue Bonds:        
  60,000     A   5.000% due 10/1/30(c)     72,800  
  90,000     A   5.000% due 10/1/31(c)     109,094  
  120,000     A   Series A, 5.000% due 10/1/29(c)     138,714  
  85,000     A   Series A, 5.000% due 10/1/31(c)     97,666  
  115,000     A   Series A, 5.000% due 10/1/32(c)     132,136  
  1,000,000     A   Series B, 5.000% due 10/1/29(c)     1,272,923  
  90,000     A   Series Q1, 5.000% due 10/1/23     93,477  
            County of Hillsborough FL Solid Waste & Resource Recovery Revenue, Revenue Bonds:        
  50,000     AA+   Series A, 5.000% due 9/1/22(c)     51,748  
  60,000     AA+   Series A, 5.000% due 9/1/23(c)     64,549  
  65,000     AA+   Series A, 5.000% due 9/1/24(c)     72,446  
  65,000     AA+   Series A, 5.000% due 9/1/26(c)     77,294  
  120,000     AA   County of Miami-Dade FL, GO, Series A, 5.000% due 11/1/23     130,692  
            County of Miami-Dade FL, Revenue Bonds:        
  160,000     A+   5.000% due 10/1/28     192,447  
  120,000     A+   5.000% due 10/1/29     143,961  
  215,000     A+   5.000% due 10/1/30     257,811  
  65,000     A+   Series A, Prerefunded 10/01/22 @ 100, 5.000% due 10/1/25(d)     67,601  
            County of Miami-Dade FL Aviation Revenue, Revenue Bonds:        
  85,000     A-   Series A, 5.000% due 10/1/22(c)     88,379  
  290,000     A-   Series A, 5.000% due 10/1/24(c)     301,132  
  55,000     A-   Series A, 5.000% due 10/1/27(c)     61,544  
  80,000     A-   Series A, 5.000% due 10/1/29(c)     89,446  
  70,000     A-   Series A, 5.000% due 10/1/30     83,645  
  30,000     A-   Series A, 5.000% due 10/1/31     35,802  
  160,000     A-   Series A, 5.000% due 10/1/33(c)     178,558  
  70,000     A-   Series A, 5.000% due 10/1/35(c)     78,119  
  65,000     A-   Series B, 5.000% due 10/1/24     67,579  
  215,000     A-   Series B, 5.000% due 10/1/37     240,902  
  500,000     A-   Series B, 5.000% due 10/1/40(c)     596,513  
  50,000     AA   County of Miami-Dade FL Transit System, Revenue Bonds, Series Prerefunded 7/1/22 @ 100, 5.000% due 7/1/42(d)     51,403  
            Duval County Public Schools, COP:        
  125,000     A+   Series B, 5.000% due 7/1/27     143,678  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
  Rating††   Security     Value  
Florida - 3.8% - (continued)  
$ 30,000     A+   Series B, 5.000% due 7/1/28   $ 34,414  
  190,000     A+   Series B, 5.000% due 7/1/30     217,592  
            Florida Municipal Power Agency, Revenue Bonds:        
  30,000     A2(a)   5.000% due 10/1/24     33,822  
  45,000     A2(a)   5.000% due 10/1/27     52,256  
  80,000     A1(a)   Series A, 5.000% due 10/1/22     83,160  
  355,000     A2(a)   Series A, 5.000% due 10/1/26     368,983  
  55,000     A2(a)   Series A, 5.000% due 10/1/30     65,836  
  60,000     A2(a)   Series A, 5.000% due 10/1/31     71,699  
  2,500,000     AA   Florida's Turnpike Enterprise, Revenue Bonds, Series C, 4.375% due 7/1/37     2,648,938  
            Greater Orlando Aviation Authority, Revenue Bonds:        
  100,000     A   Series A, Prerefunded 10/01/27 @ 100, 5.000% due 10/1/28(c)(d)     123,404  
  60,000     A   Series A, Prerefunded 10/01/27 @ 100, 5.000% due 10/1/30(c)(d)     74,042  
            Halifax Hospital Medical Center, Revenue Bonds:        
  35,000     A-   5.000% due 6/1/28     39,967  
  70,000     A-   5.000% due 6/1/35     79,545  
            Hillsborough County Port District, Revenue Bonds:        
  850,000     A(f)   Series B, 5.000% due 6/1/33(c)     1,026,810  
  185,000     A(f)   Series B, 5.000% due 6/1/38(c)     221,813  
  75,000     AA-   Indian River County District School Board, COP, Series A, 5.000% due 7/1/24     83,226  
  200,000     A   JEA Electric System Revenue, Revenue Bonds, Series B, 5.000% due 10/1/26     239,951  
            Lake County School Board, COP, AGM:        
  30,000     AA   Series A, Prerefunded 6/1/24 @ 100, 5.000% due 6/1/25(d)     33,445  
  50,000     AA   Series A, Prerefunded 6/1/24 @ 100, 5.000% due 6/1/26(d)     55,741  
  15,000     AA   Series A, Prerefunded 6/1/24 @ 100, 5.000% due 6/1/28(d)     16,722  
            Lee Memorial Health System, Revenue Bonds:        
  550,000     A+   Series A1, 5.000% due 4/1/33     688,740  
  415,000     A+   Series A1, 5.000% due 4/1/35     518,058  
  755,000     A+   Series A2, 5.000% due 4/1/33(b)     872,430  
            Miami-Dade County Expressway Authority, Revenue Bonds:        
  45,000     A   Series A, 5.000% due 7/1/31     53,105  
  115,000     A   Series A, 5.000% due 7/1/32     135,884  
  95,000     A   Series A, 5.000% due 7/1/33     112,018  
  30,000     A   Series A, 5.000% due 7/1/34     35,330  
  235,000     A   Series A, 5.000% due 7/1/40     235,792  
  85,000     A   Series A, 5.000% due 7/1/44     93,495  
            Orange County Health Facilities Authority, Revenue Bonds:        
  200,000     A+   Series A, 5.000% due 10/1/39     235,889  
  365,000     A+   Series A, Prerefunded 4/1/22 @ 100, 5.000% due 10/1/42(d)     370,788  
  150,000     A+   Series B, Prerefunded 4/1/22 @ 100, 5.000% due 10/1/42(d)     152,379  
            Orange County School Board, COP:        
  115,000     Aa2(a)   Series B, Prerefunded 8/1/22 @ 100, 5.000% due 8/1/26(d)     118,687  
  200,000     Aa2(a)   Series C, Prerefunded 8/1/25 @ 100, 5.000% due 8/1/29(d)     232,728  
  50,000     AA   Orlando Utilities Commission, Revenue Bonds, Series A, 5.000% due 10/1/23     54,298  
            Palm Beach County Health Facilities Authority, Revenue Bonds:        
  10,000     WD(f)   5.000% due 12/1/23     10,931  
  20,000     WD(f)   5.000% due 12/1/24     22,748  
            Palm Beach County School District, COP:        
  55,000     Aa3(a)   Series A, 5.000% due 8/1/22     56,756  
  35,000     Aa3(a)   Series A, 5.000% due 8/1/23     37,709  
  40,000     Aa3(a)   Series A, 5.000% due 8/1/24     44,836  
  705,000     Aa3(a)   Series A, 5.000% due 8/1/26     842,446  
  300,000     Aa3(a)   Series B, 5.000% due 8/1/26     349,520  
  240,000     Aa3(a)   Series B, 5.000% due 8/1/27     279,330  
  160,000     Aa3(a)   Series B, 5.000% due 8/1/28     185,145  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
  Rating††   Security     Value  
Florida - 3.8% - (continued)  
$ 695,000     Aa3(a)   Series D, 5.000% due 8/1/26   $ 809,722  
  315,000     Aa3(a)   Series D, 5.000% due 8/1/27        366,621  
  110,000     Aa3(a)   Series D, 5.000% due 8/1/28     127,287  
  300,000     AA   Pasco County School Board, COP, Series D, AGM-Insured, 5.000% due 8/1/30     394,175  
            School Board of Miami-Dade County, COP:        
  120,000     AA   AGM, Series A, 5.000% due 5/1/27     137,549  
  570,000     A+   Series A, 5.000% due 5/1/31     667,366  
  220,000     A+   Series B, 5.000% due 8/1/27     262,110  
  395,000     A+   Series B, 5.000% due 5/1/28     451,180  
  340,000     A+   Series D, 5.000% due 11/1/24     383,557  
  355,000     A+   Series D, 5.000% due 11/1/25     401,030  
  230,000     A+   Series D, 5.000% due 11/1/26     259,108  
  115,000     A+   Series D, 5.000% due 2/1/29     133,955  
  190,000     A+   Series D, 5.000% due 2/1/30     220,809  
            School District of Broward County, COP:        
  145,000     A+   Series A, 5.000% due 7/1/22     149,016  
  45,000     A+   Series A, 5.000% due 7/1/25     46,217  
  460,000     A+   Series A, 5.000% due 7/1/26     515,555  
  265,000     A+   Series A, 5.000% due 7/1/27     306,634  
  115,000     A+   Series A, 5.000% due 7/1/28     132,802  
  70,000     A+   Series A, 5.000% due 7/1/32     82,333  
  120,000     NR   Series A, Prerefunded 7/1/22 @ 100, 5.000% due 7/1/25(d)     123,367  
  580,000     NR   Series A, Prerefunded 7/1/22 @ 100, 5.000% due 7/1/26(d)     596,273  
  335,000     A+   Series B, 5.000% due 7/1/26     388,149  
  230,000     A+   Series B, 5.000% due 7/1/27     265,958  
  390,000     A+   Series B, 5.000% due 7/1/28     450,671  
            Seminole County School Board, COP:        
  60,000     Aa3(a)   Series C, 5.000% due 7/1/23     64,380  
  50,000     Aa3(a)   Series C, 5.000% due 7/1/24     55,716  
  115,000     AA   South Florida Water Management District, COP, 5.000% due 10/1/30     134,811  
  75,000     AA-   South Miami Health Facilities Authority, Revenue Bonds, 5.000% due 8/15/24     84,041  
            St Lucie County School Board, COP:        
  60,000     A   Series A, 5.000% due 7/1/25     64,222  
  125,000     A   Series A, 5.000% due 7/1/27     133,631  
  5,995,000     AAA   State of Florida, GO, 5.000% due 7/1/32     7,552,306  
  2,000,000     AA+   State of Florida Department of Transportation, Revenue Bonds, 5.000% due 7/1/27     2,449,973  
            Tampa Bay Water, Revenue Bonds:        
  70,000     AA+   Series A, NPFG, 6.000% due 10/1/29     95,468  
  70,000     AA+   Series NPFG, 5.500% due 10/1/22     73,103  
            Volusia County Educational Facility Authority, Revenue Bonds:        
  150,000     A2(a)   4.000% due 10/15/36     174,203  
  80,000     A2(a)   5.000% due 10/15/44     98,208  
  150,000     A2(a)   5.000% due 10/15/49     183,018  
            Volusia County School Board, COP:        
  600,000     Aa3(a)   5.000% due 8/1/24     672,373  
  145,000     AA   Series A, 5.000% due 8/1/32     168,641  
            Total Florida     36,991,567  
Georgia - 4.1%  
            City of Atlanta GA Water & Wastewater Revenue, Revenue Bonds:        
  30,000     AA-   5.000% due 11/1/27     34,526  
  70,000     AA-   5.000% due 11/1/29     80,523  
  2,000,000     AA-   5.000% due 11/1/40     2,292,752  
  205,000     Aaa(a)   Colquitt County Development Authority, Revenue Bonds, zero coupon, due 12/1/21     205,000  
  45,000     A+   County of DeKalb GA Water & Sewerage Revenue, Revenue Bonds, Series A, 5.250% due 10/1/25     45,185  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
  Rating††   Security     Value  
Georgia - 4.1% - (continued)  
            Development Authority of Burke County, Revenue Bonds:        
$ 600,000     BBB+   1.700% due 12/1/49(b)   $ 618,339  
  830,000     BBB+   2.925% due 11/1/53(b)     874,111  
  155,000     AA-   Fulton County Development Authority, Revenue Bonds, 5.000% due 6/15/44     193,204  
            Main Street Natural Gas Inc., Revenue Bonds:        
  5,000,000     Aa2(a)   Series A, 4.000% due 4/1/48(b)     5,289,431  
  840,000     Aa2(a)   Series C, 4.000% due 8/1/48(b)     895,233  
            Municipal Electric Authority of Georgia, Revenue Bonds:        
  160,000     A-   Series A, 5.000% due 1/1/27     192,436  
  145,000     A-   Series A, 5.000% due 1/1/30     180,243  
  105,000     A   Series GG, 5.000% due 1/1/24     110,130  
  35,000     A   Series GG, 5.000% due 1/1/25     36,676  
  145,000     A   Series GG, 5.000% due 1/1/26     151,678  
            Municipal Gas Authority of Georgia, Revenue Bonds:        
  60,000     AA-   Series Q, 5.000% due 10/1/22     62,355  
  35,000     AA-   Series S, 5.000% due 10/1/22     36,379  
  70,000     AA-   Series S, 5.000% due 10/1/24     72,670  
  40,000     AA-   Series U, 5.000% due 10/1/24     45,132  
            State of Georgia, GO:        
  5,000,000     AAA   Series A, 5.000% due 7/1/29     6,313,467  
  5,000,000     AAA   Series A, 5.000% due 8/1/30     6,661,751  
  2,500,000     AAA   Series A, 5.000% due 7/1/32     3,223,565  
  5,000,000     AAA   Series A, 5.000% due 7/1/33     6,764,955  
  3,835,000     AAA   Series C, 5.000% due 7/1/29     4,714,201  
            Total Georgia     39,093,942  
Hawaii - 0.1%  
            City & County of Honolulu HI, GO:        
  115,000     Aa1(a)   Series D, 5.000% due 9/1/22     119,171  
  90,000     Aa1(a)   Series D, 5.000% due 9/1/26     108,417  
  500,000     AA+   State of Hawaii, GO, Series FH, 5.000% due 10/1/28     601,986  
            Total Hawaii     829,574  
Idaho - 0.4%  
            Idaho Housing & Finance Association, Revenue Bonds:        
  100,000     A2(a)   5.000% due 7/15/22     102,954  
  45,000     A2(a)   5.000% due 7/15/23     48,386  
  35,000     A2(a)   5.000% due 7/15/24     39,116  
  95,000     A2(a)   5.000% due 7/15/27     116,430  
  70,000     Aa1(a)   Series A, 4.000% due 1/1/50     76,465  
  250,000     A2(a)   Series A, 5.000% due 7/15/30     327,219  
  250,000     A2(a)   Series A, 5.000% due 7/15/31     332,852  
  2,380,000     Aa1(a)   Kootenai County School District No 271 Coeur d'Alene, GO, 4.000% due 9/15/28     2,772,549  
            Total Idaho     3,815,971  
Illinois - 3.1%  
            Chicago Midway International Airport, Revenue Bonds:        
  65,000     A-   Series A, 5.000% due 1/1/29(c)     75,266  
  100,000     A-   Series A, 5.000% due 1/1/30(c)     115,675  
  70,000     A-   Series A, 5.000% due 1/1/31(c)     80,966  
  190,000     A-   Series A, 5.000% due 1/1/32(c)     206,674  
  30,000     A-   Series B, 5.000% due 1/1/22     30,117  
  95,000     A-   Series B, 5.000% due 1/1/24     103,980  
            Chicago O'Hare International Airport, Revenue Bonds:        
  75,000     BBB+   5.000% due 7/1/38(c)     88,976  
  50,000     A   Series A, 5.000% due 1/1/22     50,194  
  125,000     A   Series A, 5.000% due 1/1/24(c)     136,405  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
  Rating††   Security     Value  
Illinois - 3.1% - (continued)  
$ 270,000     A   Series A, 5.000% due 1/1/29   $ 324,303  
  200,000     A   Series A, 5.000% due 1/1/48(c)     239,967  
  1,000,000     A   Series A, Prerefunded 1/1/22 @ 100, 5.000% due 1/1/25(c)(d)     1,003,853  
  200,000     A   Series B, 5.000% due 1/1/22(c)     200,760  
  285,000     A   Series B, 5.000% due 1/1/32     322,294  
  120,000     A   Series B, 5.000% due 1/1/53     145,748  
  65,000     A   Series C, 5.000% due 1/1/22     65,252  
  80,000     A   Series C, 5.000% due 1/1/23     84,067  
  45,000     A   Series C, 5.000% due 1/1/24     49,303  
  65,000     A   Series C, 5.000% due 1/1/25     73,890  
  60,000     A   Series C, 5.000% due 1/1/26     70,405  
  70,000     A   Series C, 5.000% due 1/1/33     81,824  
  80,000     A   Series C, 5.000% due 1/1/34     93,434  
  60,000     A   Series D, 5.000% due 1/1/27(c)     71,998  
  15,000     A   Series D, 5.000% due 1/1/28(c)     17,872  
  85,000     A   Series D, 5.000% due 1/1/31(c)     100,568  
  45,000     A   Series D, 5.000% due 1/1/33(c)     53,439  
  40,000     A   City of Chicago IL Wastewater Transmission Revenue, Revenue Bonds, 5.000% due 1/1/23     40,150  
  30,000     AA   City of Chicago IL Waterworks Revenue, Revenue Bonds, AGM-Insured, 5.250% due 11/1/33     30,111  
            Cook County Forest Preserve District, GO:        
  30,000     AA-   Series B, 5.000% due 12/15/23     30,745  
  40,000     AA-   Series B, 5.000% due 12/15/24     41,008  
  60,000     AA-   Series C, 5.000% due 12/15/25     61,509  
  155,000     Aaa(a)   Cook Kane Lake & McHenry Counties Community College District No 512, GO, Series B, 5.000% due 12/1/24     175,336  
            County of Cook IL, GO:        
  45,000     A+   Series A, 5.250% due 11/15/24     45,114  
  60,000     A+   Series C, 5.000% due 11/15/22     62,744  
  145,000     A+   Series C, 5.000% due 11/15/23     151,407  
  540,000     A+   Series C, 5.000% due 11/15/24     563,732  
  15,000     AA   AGM, Series C, 5.000% due 11/15/25     15,660  
  35,000     Aa3(a)   Grundy & Will Counties Community Unit School District No 1 Coal City, GO, 5.000% due 2/1/29     41,938  
  835,000     AA+   Illinois Development Finance Authority, Revenue Bonds, zero coupon, due 7/15/23     829,031  
            Illinois Finance Authority, Revenue Bonds:        
  60,000     AA+   5.000% due 7/15/26     71,603  
  75,000     A+   5.000% due 11/15/26     78,223  
  25,000     A3(a)   5.000% due 8/15/27     28,776  
  70,000     A   5.000% due 5/15/28     82,325  
  60,000     AA+   5.000% due 7/15/28     74,456  
  40,000     A   5.000% due 5/15/29     46,840  
  150,000     AAA   5.000% due 7/1/29     181,786  
  25,000     A+   5.000% due 11/15/29     26,050  
  110,000     A3(a)   5.000% due 12/1/29     130,539  
  145,000     AAA   5.000% due 1/1/30     175,306  
  330,000     AA-   5.000% due 8/15/30     432,664  
  255,000     AAA   5.000% due 7/1/31     307,817  
  175,000     A3(a)   5.000% due 8/15/35     200,332  
  170,000     A   5.000% due 1/1/36     200,255  
  870,000     A   5.000% due 1/1/38     1,048,176  
  1,300,000     A   5.000% due 1/1/44     1,552,181  
  100,000     A3(a)   5.000% due 12/1/46     116,700  
  25,000     BBB+   5.000% due 8/1/49     28,871  

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
  Rating††   Security     Value  
Illinois - 3.1% - (continued)  
$ 495,000     AA-   Series A, 5.000% due 2/15/24   $ 546,132  
  95,000     AA-   Series A, 5.000% due 2/15/25     109,008  
  45,000     AA-   Series A, 5.000% due 2/15/26     53,292  
  30,000     A   Series A, 5.000% due 11/15/27     34,767  
  35,000     A   Series A, 5.000% due 11/15/28     40,532  
  55,000     A   Series A, 5.000% due 11/15/29     63,647  
  75,000     AA-   Series A, 5.000% due 7/1/30     88,288  
  100,000     A   Series A, 5.000% due 11/15/32     115,554  
  50,000     AA-   Series A, 5.000% due 7/1/34     58,810  
  60,000     A+   Series A, 5.000% due 11/15/34     68,266  
  255,000     AA-   Series A, 5.000% due 7/1/36     299,929  
  20,000     BBB+   Series A, 5.000% due 8/1/47     23,114  
  45,000     A   Series A, Prerefunded 5/15/22 @ 100, 5.000% due 5/15/23(d)     45,987  
  95,000     WD(f)   Series A, Prerefunded 8/15/26 @ 100, 5.000% due 8/15/33(d)     113,848  
  15,000     AA+   Series A, Prerefunded 9/1/24 @ 100, 5.000% due 9/1/34(d)     16,884  
  85,000     A+   Series B, 5.000% due 11/15/26     97,492  
  35,000     AA+   Series C, 3.750% due 2/15/34     39,277  
  160,000     AA+   Series C, 4.000% due 2/15/36     181,643  
  35,000     AA+   Series C, 5.000% due 2/15/22     35,345  
  15,000     AA+   Series C, 5.000% due 2/15/24     16,528  
  75,000     AA+   Series C, 5.000% due 2/15/26     88,751  
  200,000     AA+   Series C, 5.000% due 2/15/28     242,531  
  135,000     AA+   Series C, 5.000% due 2/15/29     163,062  
  50,000     AA+   Series C, 5.000% due 2/15/31     60,250  
  365,000     AA+   Series C, 5.000% due 2/15/32     439,406  
  145,000     AA+   Series C, 5.000% due 2/15/33     174,427  
  65,000     AA+   Series C, 5.000% due 2/15/36     77,921  
  205,000     AA+   Series C, 5.000% due 2/15/41     245,000  
  100,000     AA+   Series E, 2.250% due 11/15/42(b)     100,835  
  60,000     AA-   Series L, Prerefunded 12/1/21 @ 100, 5.000% due 12/1/22(d)     60,000  
  95,000     WD(f)   Series Prerefunded 11/15/22 @ 100, 5.000% due 11/15/43(d)     99,291  
  20,000     NR   Series Prerefunded 2/15/27 @ 100, 4.000% due 2/15/41(d)     23,212  
  235,000     AA+   Series Prerefunded 9/1/22 @ 100, 5.000% due 9/1/32(d)     243,469  
  315,000     AA+   Series Prerefunded 9/1/22 @ 100, 5.000% due 9/1/38(d)     326,352  
            Illinois Municipal Electric Agency, Revenue Bonds:        
  1,000,000     A   Series A, 5.000% due 2/1/22     1,007,858  
  290,000     A   Series A, 5.000% due 2/1/28     334,776  
  105,000     A   Series A, 5.000% due 2/1/31     121,171  
            Illinois State Toll Highway Authority, Revenue Bonds:        
  50,000     AA-   Series A, 5.000% due 12/1/31     58,297  
  2,000,000     AA-   Series A, 5.000% due 1/1/40     2,571,224  
  175,000     AA-   Series D, 5.000% due 1/1/24     191,580  
  255,000     Aa3(a)   Kane Cook & DuPage Counties School District No U-46 Elgin, GO, Series B, AMBAC-Insured, zero coupon, due 1/1/22     254,961  
            Kane McHenry Cook & De Kalb Counties Unit School District No 300, GO:        
  260,000     AA   5.000% due 1/1/26     295,818  
  55,000     AA   5.000% due 1/1/29     67,492  
  230,000     AA   McHenry & Kane Counties Community Consolidated School District No 158 Huntley, GO, AGM-Insured, zero coupon, due 1/1/24     225,830  
            McHenry County Community Unit School District No 200 Woodstock, GO:        
  215,000     Aa2(a)   Series B, NPFG, zero coupon, due 1/15/24(g)     210,837  
  225,000     Aa2(a)   Series B, NPFG, zero coupon, due 1/15/25     217,338  
  170,000     Aa2(a)   Series B, NPFG, zero coupon, due 1/15/26     161,243  
            McHenry County Conservation District, GO:        
  65,000     AA+   5.000% due 2/1/24     71,423  

 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security  Value 
Illinois - 3.1% - (continued)     
$175,000   AA+  5.000% due 2/1/27  $199,990 
        State of Illinois, GO:     
 225,000   BBB  5.000% due 1/1/22   225,878 
 145,000   BBB  5.000% due 3/1/22   146,727 
 190,000   BBB  5.000% due 8/1/22   195,931 
 45,000   BBB  5.000% due 2/1/23   47,408 
 220,000   BBB  5.000% due 4/1/23   233,342 
 100,000   BBB  5.000% due 8/1/23   107,490 
 225,000   BBB  5.000% due 6/1/25   257,598 
 65,000   BBB  5.000% due 2/1/26   71,036 
 270,000   BBB  5.000% due 2/1/27   314,668 
 180,000   BBB  5.000% due 2/1/28   214,699 
 60,000   BBB  5.000% due 4/1/28   65,865 
 25,000   BBB  5.000% due 5/1/28   27,518 
 165,000   BBB  5.000% due 2/1/29   195,812 
 70,000   BBB  5.000% due 5/1/32   76,979 
 190,000   BBB  5.000% due 5/1/33   208,895 
 305,000   BBB  5.250% due 2/1/31   334,540 
 115,000   BBB  5.500% due 7/1/38   123,680 
 65,000   BBB  Series A, 4.000% due 1/1/23   65,192 
 105,000   BBB  Series A, 5.000% due 1/1/33   105,368 
 360,000   BBB  Series B, 5.000% due 9/1/22   372,605 
 365,000   BBB  Series B, 5.000% due 9/1/23   393,668 
 365,000   BBB  Series B, 5.000% due 9/1/24   408,011 
 620,000   BBB  Series D, 5.000% due 11/1/23   672,950 
 405,000   BBB  Series D, 5.000% due 11/1/25   469,223 
 390,000   BBB  Series D, 5.000% due 11/1/26   462,764 
        University of Illinois, Revenue Bonds:     
 115,000   A-  6.000% due 10/1/42   125,444 
 115,000   A-  6.250% due 10/1/38   126,128 
        Will County Community Unit School District No 365-U Valley View, GO:     
 2,420,000   Aa2(a)  Series A, 5.000% due 11/1/25   2,825,796 
 165,000   AA  Series B, AGM, zero coupon, due 11/1/26   157,048 
        Total Illinois   30,173,566 
Indiana - 2.3%            
 315,000   A+  City of Indianapolis IN Thermal Energy System Revenue, Revenue Bonds, Series A, 5.000% due 10/1/24   352,666 
        City of Whiting IN, Revenue Bonds:     
 370,000   A-  5.000% due 12/1/44(b)(c)   440,849 
 1,020,000   A-  5.000% due 11/1/45(b)(c)   1,063,524 
 300,000   A-  County of St Joseph IN, Revenue Bonds, 4.000% due 4/1/38   338,713 
 4,000,000   AA+  Crown Point Multi School Building Corp., Revenue Bonds, 5.000% due 1/15/30   5,155,646 
        Indiana Finance Authority, Revenue Bonds:     
 320,000   AA  2.250% due 12/1/58(b)   337,571 
 30,000   AA-  5.000% due 3/1/22   30,356 
 30,000   AA-  5.000% due 9/1/26   36,030 
 15,000   AA-  5.000% due 9/1/29   17,698 
 240,000   AA-  5.000% due 3/1/36   272,744 
 60,000   AA-  5.000% due 9/1/36   70,726 
 65,000   AA  Series A, 5.000% due 10/1/25   67,529 
 70,000   AA  Series A, 5.000% due 10/1/26   78,888 
 35,000   AA  Series A, 5.000% due 10/1/28   39,410 
 535,000   AA  Series Prerefunded 1/1/22 @ 100, 1.650% due 12/1/42(b)(d)   535,643 
 45,000   AA-  Series Prerefunded 3/1/22 @ 100, 5.000% due 3/1/23(d)   45,534 
 30,000   AA-  Series Prerefunded 3/1/22 @ 100, 5.000% due 3/1/30(d)   30,356 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security   Value 
Indiana - 2.3% - (continued)     
$155,000   AA-  Series Prerefunded 3/1/22 @ 100, 5.000% due 3/1/41(d)  $156,840 
 90,000   AA-  Series Prerefunded 8/15/23 @ 100, 5.000% due 8/15/25(d)   97,176 
        Indiana Health Facility Financing Authority, Revenue Bonds:     
 1,000,000   AA+  Series A2, 2.000% due 11/15/36(b)   1,018,410 
 7,500,000   AA+  Series E, 0.050% due 11/15/39(b)   7,500,000 
 275,000   Aaa(a)  Indiana Housing & Community Development Authority, Revenue Bonds, Series B, 3.500% due 1/1/49   295,913 
        Indiana Municipal Power Agency, Revenue Bonds:     
 20,000   A+  Series A, 5.000% due 1/1/24   20,549 
 20,000   A+  Series A, 5.000% due 1/1/25   20,548 
 55,000   A+  Series A, 5.000% due 1/1/26   56,501 
 10,000   NR  Series A, Prerefunded 7/1/22 @ 100, 5.000% due 1/1/24(d)   10,282 
 10,000   NR  Series A, Prerefunded 7/1/22 @ 100, 5.000% due 1/1/25(d)   10,282 
 25,000   NR  Series A, Prerefunded 7/1/22 @ 100, 5.000% due 1/1/26(d)   25,705 
 515,000   AAA  Indiana University, Revenue Bonds, Series W-1, 5.000% due 8/1/26   577,997 
 255,000   A1(a)  Indianapolis Local Public Improvement Bond Bank, Revenue Bonds, 5.000% due 1/1/25(c)   288,201 
        Lake Central Multi-District School Building Corp., Revenue Bonds:     
 40,000   AA+  Series B, 4.000% due 1/15/22   40,180 
 30,000   AA+  Series B, 5.000% due 7/15/22   30,881 
 40,000   AA+  Series B, 5.000% due 7/15/23   42,082 
 40,000   NR  Series B, Prerefunded 1/15/23 @ 100, 5.000% due 7/15/23(d)   42,125 
 120,000   AA+  Series B, Prerefunded 1/15/23 @ 100, 5.000% due 7/15/24(d)   126,445 
 125,000   AA+  Series B, Prerefunded 1/15/23 @ 100, 5.000% due 7/15/25(d)   131,714 
 2,305,000   AA+  MSD of Wash Township School Building Corp., Revenue Bonds, 5.000% due 7/15/28   2,877,509 
        Total Indiana   22,283,223 
Iowa - 1.3%            
 1,155,000   Aa1(a)  City of Cedar Rapids IA, GO, Series A, 5.000% due 6/1/25   1,286,852 
        Iowa Finance Authority, Revenue Bonds:     
 3,840,000   AAA  5.000% due 8/1/31   4,721,292 
 90,000   BBB(f)  Series A, 5.000% due 5/15/43   101,941 
 105,000   BBB(f)  Series A, 5.000% due 5/15/48   118,302 
 5,000,000   A3(a)  PEFA Inc., Revenue Bonds, 5.000% due 9/1/49(b)   5,900,378 
        Total Iowa   12,128,765 
Kansas - 0.3%            
 2,500,000   AA  City of Topeka KS Combined Utility Revenue, Revenue Bonds, Series A, 4.000% due 8/1/22   2,563,906 
        Wyandotte County-Kansas City Unified Government Utility System Revenue, Revenue Bonds:     
 30,000   A  Series A, 5.000% due 9/1/30   34,709 
 35,000   A  Series A, 5.000% due 9/1/32   40,490 
 130,000   A  Series A, Prerefunded 9/1/22 @ 100, 5.000% due 9/1/24(d)   134,667 
 30,000   A  Series B, Prerefunded 9/1/22 @ 100, 5.000% due 9/1/23(d)   31,077 
 45,000   A  Series B, Prerefunded 9/1/22 @ 100, 5.000% due 9/1/24(d)   46,615 
        Total Kansas   2,851,464 
Kentucky - 1.1%        
        Kenton County Airport Board, Revenue Bonds:     
 25,000   A1(a)  5.000% due 1/1/25   28,436 
 15,000   A1(a)  5.000% due 1/1/26   17,614 
 45,000   A1(a)  5.000% due 1/1/29   52,618 
 50,000   A1(a)  5.000% due 1/1/30   58,405 
 5,000,000   A2(a)  Kentucky Public Energy Authority, Revenue Bonds, Series B, 4.000% due 1/1/49(b)   5,490,293 
        Kentucky State Property & Building Commission, Revenue Bonds:     
 160,000   A-  5.000% due 4/1/27   195,374 
 145,000   A-  5.000% due 5/1/28   179,847 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security   Value 
Kentucky - 1.1% - (continued)     
$15,000   A-  5.000% due 5/1/29  $18,546 
 40,000   AA  5.000% due 5/1/31   49,409 
 165,000   A-  Series A, 5.000% due 2/1/29   192,687 
 170,000   A-  Series A, 5.000% due 2/1/30   198,569 
 65,000   A-  Series A, 5.000% due 2/1/32   75,980 
 80,000   A-  Series A, 5.000% due 2/1/33   93,348 
 110,000   A-  Series A, Prerefunded 10/1/23 @ 100, 5.000% due 10/1/27(d)   119,439 
 325,000   A-  Series B, 5.000% due 11/1/26   393,126 
 1,445,000   A-  Series B, 5.000% due 11/1/27   1,738,054 
 35,000   A1(a)  Series D, 5.000% due 5/1/26   41,696 
 30,000   A1(a)  Series D, 5.000% due 5/1/27   36,715 
 30,000   A1(a)  Series D, 5.000% due 5/1/28   36,595 
        Louisville/Jefferson County Metropolitan Government, Revenue Bonds:     
 200,000   A  5.000% due 10/1/47(b)   256,011 
 525,000   A  Series A, 5.000% due 10/1/29   624,923 
 95,000   A  Series A, 5.000% due 10/1/32   112,686 
 70,000   A  Series A, 5.500% due 10/1/33   76,156 
 185,000   A  Series A, 5.750% due 10/1/38   201,933 
 100,000   A-  Series Prerefunded 6/1/22 @ 100, 5.000% due 12/1/28(d)   102,366 
 335,000   A-  Series Prerefunded 6/1/22 @ 100, 5.000% due 12/1/29(d)   342,927 
        Total Kentucky   10,733,753 
Louisiana - 0.8%     
 4,500,000   AA-  East Baton Rouge Sewerage Commission, Revenue Bonds, Series A, 4.000% due 2/1/45   5,235,182 
 1,500,000   AA  Louisiana Local Government Environmental Facilities & Community Development Authority, Revenue Bonds, 5.000% due 10/1/26   1,794,906 
        Louisiana Public Facilities Authority, Revenue Bonds:     
 40,000   A+  Series A, 5.000% due 12/15/22   41,926 
 85,000   A+  Series A, 5.000% due 12/15/23   92,816 
        New Orleans Aviation Board, Revenue Bonds:     
 70,000   A-  Series B, 5.000% due 1/1/24(c)   76,387 
 85,000   A-  Series B, 5.000% due 1/1/25(c)   96,067 
 65,000   A-  Series B, 5.000% due 1/1/27(c)   73,357 
 10,000   A-  Series B, 5.000% due 1/1/29(c)   11,902 
 20,000   A-  Series B, 5.000% due 1/1/31(c)   23,663 
 20,000   A-  Series B, 5.000% due 1/1/36(c)   23,700 
 15,000   A-  Series B, 5.000% due 1/1/37(c)   17,758 
 20,000   A-  Series D2, 5.000% due 1/1/26(c)   23,327 
 15,000   A-  Series D2, 5.000% due 1/1/29(c)   17,852 
 20,000   A-  Series D2, 5.000% due 1/1/30(c)   23,687 
 45,000   A-  Series D2, 5.000% due 1/1/32(c)   53,382 
 35,000   A-  Series D2, 5.000% due 1/1/35(c)   41,467 
 15,000   A-  Series D2, 5.000% due 1/1/38(c)   17,747 
        Total Louisiana   7,665,126 
Maine - 0.3%        
 2,500,000   AA+  Maine State Housing Authority, Revenue Bonds, Series B, 3.150% due 11/15/39   2,728,009 
 60,000   AA-  Maine Turnpike Authority, Revenue Bonds, 5.000% due 7/1/27   69,357 
        Total Maine   2,797,366 
Maryland - 5.4%          
        City of Baltimore MD, Revenue Bonds:     
 105,000   AA  Series C, 5.000% due 7/1/28   126,709 
 195,000   AA  Series C, 5.000% due 7/1/31   234,635 
 200,000   AA  Series C, 5.000% due 7/1/33   240,891 
 170,000   AA-  Series D, 5.000% due 7/1/33   204,757 
 4,325,000   AAA  County of Harford MD, GO, Series B, 5.000% due 7/1/26   5,190,036 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security   Value 
Maryland - 5.4% - (continued)     
$2,500,000   AAA  County of Howard MD, GO, Series D, 5.000% due 2/15/30  $3,111,208 
        County of Prince George's MD, GO:     
 3,595,000   AAA  Series A, 5.000% due 7/15/22   3,702,809 
 5,805,000   AAA  Series A, 5.000% due 7/15/29   7,332,514 
 2,065,000   AAA  Series C, Prerefunded 8/1/23 @ 100, 4.000% due 8/1/26(d)   2,193,435 
        Maryland Community Development Administration, Revenue Bonds:     
 300,000   Aa1(a)  Series B, 4.000% due 9/1/49   327,485 
 255,000   Aa1(a)  Series C, 3.500% due 3/1/50   275,212 
 320,000   Aa1(a)  Series C, 5.000% due 9/1/28   399,707 
        Maryland Health & Higher Educational Facilities Authority, Revenue Bonds:     
 155,000   BBB+  Series A, 4.000% due 7/1/42   169,489 
 65,000   BBB+  Series A, 5.000% due 7/1/33   76,209 
 50,000   BBB+  Series A, 5.000% due 7/1/34   58,534 
 20,000   BBB+  Series A, 5.000% due 7/1/35   23,372 
 50,000   BBB+  Series A, 5.000% due 7/1/36   58,340 
 35,000   A  Series A, Prerefunded 7/1/22 @ 100, 5.000% due 7/1/24(d)   35,987 
 30,000   A  Series A, Prerefunded 7/1/22 @ 100, 5.000% due 7/1/25(d)   30,846 
 300,000   AA-  Maryland State Transportation Authority, Revenue Bonds, 5.000% due 7/1/34   391,752 
        State of Maryland, GO:     
 2,775,000   AAA  Series A, 5.000% due 3/1/27   3,396,837 
 5,185,000   AAA  Series A, 5.000% due 3/1/30   6,834,026 
 5,000,000   AAA  Series A, 5.000% due 3/15/31   6,241,282 
 2,000,000   AAA  Series A, 5.000% due 8/1/31   2,581,623 
 5,000,000   AAA  Series B, 5.000% due 8/1/22   5,160,975 
 3,000,000   AAA  State of Maryland Department of Transportation, Revenue Bonds, 3.500% due 10/1/33   3,337,477 
        Total Maryland   51,736,147 
Massachusetts - 2.0%        
        Commonwealth of Massachusetts, GO:     
 90,000   AA  Series B, 5.000% due 7/1/22   92,536 
 7,000,000   AA  Series B, 5.000% due 11/1/22   7,309,191 
 520,000   AA  Series C, 5.000% due 4/1/23   553,156 
 45,000   AA  Massachusetts Bay Transportation Authority Sales Tax Revenue, Revenue Bonds, Series A, 5.000% due 7/1/45   51,919 
        Massachusetts Development Finance Agency, Revenue Bonds:     
 45,000   AA-  5.000% due 7/1/23   48,345 
 115,000   AA-  5.000% due 7/1/24   128,557 
 50,000   A  5.000% due 7/1/30   63,389 
 235,000   A  5.000% due 7/1/31   296,062 
 65,000   AAA  Series A, 5.000% due 7/15/22   66,958 
 105,000   AA-  Series S, 5.000% due 7/1/30   129,636 
 585,000   A+  Series S-1, 5.000% due 10/1/24   658,997 
 335,000   AA-  Series S4, 5.000% due 7/1/38(b)   368,088 
 500,000   AA-  Massachusetts Port Authority, Revenue Bonds, Series E, 5.000% due 7/1/31(c)   657,802 
 1,170,000   AA  Massachusetts Transportation Trust Fund Metropolitan Highway System Revenue, Revenue Bonds, Series A, 5.000% due 1/1/39(b)   1,228,564 
 5,000,000   SP-1+  Town of Ashland MA, GO, 2.000% due 8/8/22   5,062,965 
 2,500,000   AA-  University of Massachusetts Building Authority, Revenue Bonds, Series 1, Prerefunded 11/1/22 @ 100, 4.000% due 11/1/43(d)   2,587,370 
        Total Massachusetts   19,303,535 
Michigan - 2.0%        
 160,000   AA  City of Detroit MI Sewage Disposal System Revenue, Revenue Bonds, Series G, AGM-Insured, 0.688% due 7/1/32(b)   160,288 
 85,000   Aa1(a)  Clarkston Community Schools, GO, 5.000% due 5/1/22   86,672 
 2,155,000   AA+  County of Kalamazoo MI, GO, 3.000% due 5/1/32   2,426,349 
 1,000,000   AA  Detroit City School District, GO, Series A, AGM, 5.250% due 5/1/30   1,326,093 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security   Value 
Michigan - 2.0% - (continued)     
$155,000   AA  Detroit Downtown Development Authority, Special Tax, Series A, AGM-Insured, 5.000% due 7/1/37  $170,992 
        Grand Rapids Public Schools, GO, AGM:     
 40,000   AA  5.000% due 5/1/27   48,645 
 55,000   AA  5.000% due 5/1/29   66,135 
 100,000   AA  5.000% due 5/1/30   117,365 
 145,000   AA  5.000% due 5/1/31   170,111 
 20,000   AA  5.000% due 5/1/32   23,445 
 90,000   AA  5.000% due 5/1/33   105,416 
        Kalamazoo Hospital Finance Authority, Revenue Bonds:     
 100,000   A2(a)  5.000% due 5/15/27   118,646 
 75,000   A2(a)  5.000% due 5/15/28   88,912 
 100,000   AAA  Kent County Building Authority, Revenue Bonds, 5.500% due 6/1/22   102,654 
        Michigan Finance Authority, Revenue Bonds:     
 310,000   AA  AGM, 5.000% due 7/1/22   318,439 
 1,250,000   Aa3(a)  5.000% due 11/1/23   1,359,108 
 45,000   AA-  5.000% due 12/1/23   49,166 
 750,000   Aa3(a)  5.000% due 11/1/24   847,247 
 50,000   AA-  5.000% due 12/1/24   56,784 
 85,000   AA-  5.000% due 12/1/25   99,772 
 40,000   AA-  5.000% due 12/1/26   48,351 
 10,000   AA-  5.000% due 7/1/27   11,556 
 35,000   AA-  5.000% due 12/1/27   43,371 
 160,000   A+  5.000% due 8/15/28   172,632 
 60,000   AA-  5.000% due 12/1/28   74,221 
 30,000   AA-  5.000% due 7/1/29   34,563 
 60,000   A+  5.000% due 8/15/29   64,726 
 35,000   AA-  5.000% due 7/1/31   40,243 
 30,000   AA-  5.000% due 7/1/32   34,448 
 315,000   A  5.000% due 11/15/32   375,526 
 25,000   AA-  5.000% due 7/1/33   28,669 
 205,000   A  5.000% due 11/15/36   213,549 
 45,000   A  5.000% due 11/15/42   46,855 
 735,000   AA-  5.000% due 12/1/44(b)   837,214 
 65,000   WR(a)  Series A, Prerefunded 6/1/22 @ 100, 5.000% due 6/1/27(d)   66,547 
 140,000   WR(a)  Series A, Prerefunded 6/1/22 @ 100, 5.000% due 6/1/39(d)   143,333 
        Michigan State Building Authority, Revenue Bonds:     
 495,000   AA-  Series I, 5.000% due 10/15/34   588,278 
 80,000   AA-  Series I, 5.000% due 4/15/35   94,908 
        Michigan State Hospital Finance Authority, Revenue Bonds:     
 180,000   AA+  Series C, 2.400% due 11/15/47(b)   184,837 
 45,000   AA-  Series C, 5.000% due 12/1/24   51,106 
 60,000   AA-  Series C, 5.000% due 12/1/26   72,526 
 40,000   AA-  Series C, 5.000% due 12/1/27   49,567 
 60,000   AA-  Series C, 5.000% due 12/1/28   74,221 
 710,000   AA+  Series F5, 4.000% due 11/15/47(b)   773,572 
 500,000   A  Michigan Strategic Fund, Revenue Bonds, 1.800% due 10/1/49(b)(c)   514,436 
        Portage Public Schools, GO:     
 35,000   AA-  5.000% due 11/1/27   41,696 
 90,000   AA-  5.000% due 11/1/29   106,700 
        Royal Oak Hospital Finance Authority, Revenue Bonds:     
 30,000   A+  5.000% due 9/1/22   31,060 
 60,000   A+  5.000% due 9/1/24   66,203 
 95,000   AA  State of Michigan, Revenue Bonds, 5.000% due 3/15/27   115,972 
 1,500,000   Aa1(a)  State of Michigan, GO, Series A, 4.000% due 5/15/38   1,807,629 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security   Value 
Michigan - 2.0% - (continued)     
        Warren Consolidated Schools, GO:     
$130,000   AA  5.000% due 5/1/30  $153,625 
 140,000   AA  5.000% due 5/1/31   163,848 
 145,000   AA  5.000% due 5/1/32   171,006 
        Wayne County Airport Authority, Revenue Bonds:     
 5,000   A-  Series A, 5.000% due 12/1/29   6,149 
 10,000   A-  Series A, 5.000% due 12/1/30   12,314 
 10,000   A-  Series A, 5.000% due 12/1/31   12,286 
 15,000   A-  Series A, 5.000% due 12/1/36   18,364 
 620,000   A-  Series B, 5.000% due 12/1/29(c)   756,418 
 15,000   A-  Series B, 5.000% due 12/1/30(c)   18,277 
 15,000   A-  Series B, 5.000% due 12/1/31(c)   18,263 
 10,000   A-  Series B, 5.000% due 12/1/33(c)   12,157 
 25,000   A-  Series B, 5.000% due 12/1/36(c)   30,365 
 60,000   A-  Series C, 5.000% due 12/1/22   62,882 
 65,000   A-  Series C, 5.000% due 12/1/23   70,977 
 70,000   A-  Series C, 5.000% due 12/1/24   79,453 
 70,000   A-  Series C, 5.000% due 12/1/25   82,105 
 45,000   A-  Series C, 5.000% due 12/1/26   54,321 
 45,000   A-  Series C, 5.000% due 12/1/27   55,733 
        Western Michigan University, Revenue Bonds, AGM:     
 700,000   AA  Series C, 5.000% due 11/15/36   915,007 
 800,000   AA  Series C, 5.000% due 11/15/38   1,041,244 
 950,000   AA  Series C, 5.000% due 11/15/40   1,229,710 
        Total Michigan   19,515,258 
Minnesota - 2.5%     
 2,500,000   AAA  Metropolitan Council, GO, Series I, 3.000% due 3/1/27   2,514,601 
        State of Minnesota, GO:     
 6,870,000   AAA  Series A, 5.000% due 8/1/29   8,205,877 
 1,000,000   AAA  Series A, 5.000% due 8/1/32   1,288,031 
 5,000,000   AAA  Series A, 5.000% due 8/1/37   6,303,586 
 4,835,000   AAA  Series B, 5.000% due 8/1/27   5,983,697 
        Total Minnesota   24,295,792 
Mississippi - 0.8%     
        Mississippi Hospital Equipment & Facilities Authority, Revenue Bonds:     
 225,000   A2(a)  5.000% due 1/1/30   285,809 
 435,000   A2(a)  5.000% due 1/1/34   541,158 
 170,000   A+  5.000% due 10/1/40(b)   200,815 
        State of Mississippi, GO:     
 160,000   AA  Series A, 5.000% due 10/1/30   197,893 
 1,250,000   AA  Series A, 5.000% due 10/1/34   1,542,057 
 4,000,000   AA  Series C, 5.000% due 10/1/35(e)   5,042,114 
        Total Mississippi   7,809,846 
Missouri - 0.4%     
        Health & Educational Facilities Authority of the State of Missouri, Revenue Bonds:     
 30,000   A+  5.000% due 5/15/29   35,002 
 30,000   A+  5.000% due 5/15/30   34,869 
 30,000   A+  5.000% due 5/15/31   34,783 
 85,000   A+  5.000% due 5/15/36   98,314 
 20,000   A+  Series B, 4.000% due 2/1/40   21,951 
 70,000   A+  Series B, 5.000% due 2/1/30   79,852 
 80,000   A+  Series B, 5.000% due 2/1/32   90,796 
 65,000   A+  Series B, 5.000% due 2/1/36   73,074 
 105,000   A+  Series B, 5.000% due 2/1/45   116,970 
 2,500,000   AAA  Metropolitan St Louis Sewer District, Revenue Bonds, Series A, 5.000% due 5/1/37   3,019,447 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security   Value 
Missouri - 0.4% - (continued)     
$65,000   AA+  Missouri Housing Development Commission, Revenue Bonds, 4.000% due 5/1/50  $71,345 
        Total Missouri   3,676,403 
Montana - 0.0%        
        Montana Board of Housing, Revenue Bonds:     
 65,000   AA+  Series A-1, 4.000% due 12/1/47(c)   68,402 
 40,000   AA+  Series B, 4.000% due 6/1/50   44,604 
        Montana Facility Finance Authority, Revenue Bonds:     
 40,000   A+(f)  5.000% due 2/15/22   40,370 
 60,000   A+(f)  5.000% due 2/15/23   63,236 
 60,000   A+(f)  5.000% due 2/15/24   65,751 
 60,000   A+(f)  5.000% due 2/15/25   68,126 
 90,000   A+(f)  5.000% due 2/15/26   105,436 
        Total Montana   455,925 
Nebraska - 0.1%        
        Nebraska Investment Finance Authority, Revenue Bonds:     
 205,000   AA+  Series B, 4.000% due 9/1/49(c)   222,799 
 210,000   AA+  Series E, 3.750% due 9/1/49(c)   224,446 
        Nebraska Public Power District, Revenue Bonds:     
 115,000   A+  Series B, 5.000% due 1/1/31   134,320 
 125,000   A+  Series B, 5.000% due 1/1/34   146,045 
 155,000   A+  Series B, 5.000% due 1/1/36   180,660 
        Total Nebraska   908,270 
Nevada - 1.0%            
        City of Carson City NV, Revenue Bonds:     
 20,000   A-  5.000% due 9/1/24   22,314 
 15,000   A-  5.000% due 9/1/28   18,173 
 20,000   A-  5.000% due 9/1/30   23,994 
 20,000   A-  5.000% due 9/1/32   23,893 
 20,000   A-  5.000% due 9/1/34   23,831 
        Clark County School District, GO:     
 65,000   A+  Series A, 5.000% due 6/15/23   69,658 
 1,000,000   A+  Series C, 5.000% due 6/15/23   1,071,665 
 2,250,000   AA+  County of Clark NV, GO, Series A, 5.000% due 6/1/35   2,775,987 
 1,300,000   A+  County of Washoe NV, Revenue Bonds, 2.050% due 3/1/36(b)(c)   1,307,376 
        Las Vegas Valley Water District, GO:     
 85,000   AA  Series A, 5.000% due 6/1/32   100,654 
 145,000   AA  Series A, 5.000% due 6/1/33   171,633 
 155,000   AA  Series A, 5.000% due 6/1/34   183,394 
 30,000   AA  Series B, 5.000% due 6/1/22   30,723 
 60,000   AA  Series B, 5.000% due 6/1/23   61,417 
 60,000   AA  Series B, 5.000% due 6/1/24   61,434 
 30,000   AA  Series B, 5.000% due 6/1/25   30,711 
 110,000   AA+  Nevada Housing Division, Revenue Bonds, Series B, 4.000% due 10/1/49   120,307 
        State of Nevada, GO:     
 80,000   AA+  5.000% due 3/1/25   84,635 
 2,665,000   AA+  Series A, 5.000% due 5/1/27   3,263,122 
        Total Nevada   9,444,921 
New Hampshire - 0.2%        
 740,000   A-  New Hampshire Business Finance Authority, Revenue Bonds, 2.150% due 7/1/27(b)(c)   764,787 
        New Hampshire Health & Education Facilities Authority Act, Revenue Bonds:     
 40,000   BBB+  4.000% due 7/1/22   40,817 
 25,000   A-  4.000% due 10/1/38   27,647 
 40,000   AA-  5.000% due 7/1/24   44,705 
 35,000   BBB+  5.000% due 7/1/26   35,831 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security   Value 
New Hampshire - 0.2% - (continued)     
$135,000   A-  5.000% due 10/1/26  $161,400 
 145,000   A-  5.000% due 10/1/27   173,010 
 60,000   A-  5.000% due 10/1/28   71,256 
 70,000   AA-  5.000% due 7/1/30   86,424 
 65,000   A  5.000% due 8/1/30   79,815 
 210,000   A-  5.000% due 10/1/30   247,336 
 70,000   A2(a)  Series A, Prerefunded 10/1/22 @ 100, 5.000% due 10/1/43(d)   72,757 
        New Hampshire State Turnpike System, Revenue Bonds:     
 65,000   AA-  Series B, 5.000% due 2/1/22   65,515 
 65,000   AA-  Series B, 5.000% due 2/1/23   65,508 
 50,000   AA-  Series B, 5.000% due 2/1/24   50,387 
        Total New Hampshire   1,987,195 
New Jersey - 2.1%        
        Camden County Improvement Authority, Revenue Bonds:     
 60,000   BBB+  5.000% due 2/15/24   65,724 
 30,000   BBB+  5.000% due 2/15/25   32,860 
        City of Bayonne NJ, GO:     
 45,000   AA  Series Prerefunded 7/1/26 @ 100, 5.000% due 7/1/31(d)   53,921 
 30,000   AA  Series Prerefunded 7/1/26 @ 100, 5.000% due 7/1/32(d)   35,948 
 30,000   AA  Series Prerefunded 7/1/26 @ 100, 5.000% due 7/1/33(d)   35,948 
        New Jersey Economic Development Authority, Revenue Bonds:     
 40,000   BBB  5.000% due 3/1/25   42,245 
 850,000   BBB  5.000% due 11/1/34   1,059,236 
 1,000,000   BBB  Series EEE, 5.000% due 6/15/30   1,245,634 
 270,000   BBB  Series NN, 5.000% due 3/1/23   285,397 
 370,000   BBB  Series NN, 5.000% due 3/1/24   390,816 
 580,000   BBB  Series XX, 5.000% due 6/15/26   666,098 
 55,000   Baa1(a)  New Jersey Educational Facilities Authority, Revenue Bonds, Series A, 5.000% due 7/1/29   64,820 
        New Jersey Health Care Facilities Financing Authority, Revenue Bonds:     
 620,000   AA-  5.000% due 7/1/42(b)   716,314 
 625,000   AA-  5.000% due 7/1/45(b)   742,916 
 15,000   AA  Series A, 5.000% due 7/1/28   17,940 
 45,000   AA  Series A, 5.000% due 7/1/33   53,394 
        New Jersey Higher Education Student Assistance Authority, Revenue Bonds:     
 40,000   AA  Series 1A, 5.000% due 12/1/22(c)   41,819 
 100,000   AA  Series 1A, 5.000% due 12/1/24(c)   113,024 
 40,000   AAA  Series 1B, 5.000% due 12/1/21(c)   40,000 
 165,000   Aa1(a)  Series A, 5.000% due 12/1/22   172,672 
 115,000   Aa1(a)  Series A, 5.000% due 12/1/23   125,406 
 65,000   Aa1(a)  Series A, 5.000% due 12/1/24   73,466 
 125,000   Aa1(a)  Series A, 5.000% due 12/1/25   145,431 
        New Jersey Transportation Trust Fund Authority, Revenue Bonds:     
 100,000   BBB  4.000% due 12/15/39   114,433 
 5,000,000   A+  5.000% due 6/15/24   5,560,975 
 435,000   A+  5.000% due 6/15/27   514,809 
 1,320,000   BBB  5.000% due 12/15/28   1,655,785 
 200,000   BBB  5.000% due 12/15/39   246,799 
 870,000   BBB  Series A, zero coupon, due 12/15/27   794,518 
 195,000   BBB  Series A, zero coupon, due 12/15/28   173,803 
 220,000   BBB  Series A, 5.000% due 12/15/33   270,855 
 2,000,000   BBB  Series A, 5.000% due 12/15/34   2,457,359 
 215,000   BBB  Series AA, 5.000% due 6/15/23   220,426 
 345,000   BBB  Series AA, 5.000% due 6/15/24   353,706 
 360,000   BBB  Series AA, 5.000% due 6/15/25   399,418 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security   Value 
New Jersey - 2.1% - (continued)     
$215,000   BBB  Series AA, 5.000% due 6/15/26  $238,541 
 145,000   BBB  Series AA, 5.000% due 6/15/29   148,659 
 1,000,000   A+  New Jersey Turnpike Authority, Revenue Bonds, Series A, 4.000% due 1/1/42   1,191,719 
        Total New Jersey   20,562,834 
New Mexico - 0.4%        
 2,350,000   AAA  New Mexico Finance Authority, Revenue Bonds, 5.000% due 6/1/29   3,030,684 
 490,000   AA  New Mexico Hospital Equipment Loan Council, Revenue Bonds, Series B, 5.000% due 8/1/49(b)   565,654 
 160,000   Aaa(a)  New Mexico Mortgage Finance Authority, Revenue Bonds, Series D, 3.750% due 1/1/50   174,081 
        Total New Mexico   3,770,419 
New York - 9.2%        
        City of New York NY, GO:     
 190,000   AA  Series A, 5.000% due 8/1/22   196,113 
 5,880,000   AA  Series B1, 5.000% due 11/1/30   7,777,169 
 2,035,000   AA  Series B1, 5.000% due 12/1/38   2,430,026 
 90,000   AA  Series C, 5.000% due 8/1/27   102,486 
 5,000,000   AA  Series D1, 5.000% due 12/1/34   6,296,436 
 1,000,000   AA  Series F1, 5.000% due 4/1/43   1,224,373 
 2,000,000   AA  Series H, 5.000% due 1/1/36   2,481,851 
 90,000   AA  Series J, 5.000% due 8/1/22   92,898 
 1,925,000   AA  County of Nassau NY, GO, Series A, AGM-Insured, 5.000% due 4/1/32   2,371,530 
        Hudson Yards Infrastructure Corp., Revenue Bonds:     
 115,000   AA-  Series A, 5.000% due 2/15/32   138,184 
 215,000   AA-  Series A, 5.000% due 2/15/35   257,182 
        Long Island Power Authority, Revenue Bonds:     
 1,020,000   A  Series B, 1.650% due 9/1/49(b)   1,045,824 
 60,000   NR  Series B, 5.000% due 9/1/22   62,161 
 45,000   A  Series B, 5.000% due 9/1/23   48,741 
 40,000   A  Series B, 5.000% due 9/1/24   45,096 
        Metropolitan Transportation Authority, Revenue Bonds:     
 125,000   BBB+  Series A1, 5.000% due 11/15/35   140,121 
 145,000   BBB+  Series A1, 5.000% due 11/15/36   162,673 
 245,000   BBB+  Series A2, 5.000% due 11/15/29   290,875 
 270,000   BBB+  Series B, 5.000% due 11/15/30   316,236 
 290,000   BBB+  Series C1, 5.000% due 11/15/27   344,416 
 685,000   BBB+  Series C1, 5.000% due 11/15/28   792,103 
 300,000   BBB+  Series C1, 5.000% due 11/15/31   362,470 
 415,000   BBB+  Series D1, 5.000% due 11/15/30   462,467 
        MTA Hudson Rail Yards Trust Obligations, Revenue Bonds:     
 370,000   A3(a)  Series A, 5.000% due 11/15/51   370,913 
 860,000   A3(a)  Series A, 5.000% due 11/15/56   916,671 
 3,000,000   AA  New York City Transitional Finance Authority Building Aid Revenue, Revenue Bonds, Series S1, 5.000% due 7/15/29   3,689,771 
        New York City Transitional Finance Authority Future Tax Secured Revenue, Revenue Bonds:     
 2,500,000   AAA  0.040% due 8/1/45(b)   2,500,000 
 275,000   AAA  Series C2, 5.000% due 5/1/32   342,634 
 5,390,000   AAA  Series E1, 4.000% due 2/1/38   6,459,559 
        New York City Water & Sewer System, Revenue Bonds:     
 4,285,000   AA+  0.040% due 6/15/50(b)   4,285,000 
 1,725,000   AA+  5.000% due 6/15/23   1,851,229 
 1,100,000   AA+  5.000% due 6/15/29   1,425,335 
        New York State Dormitory Authority, Revenue Bonds:     
 385,000   AA  5.000% due 5/15/23   393,339 
 475,000   A-  5.000% due 5/1/48(b)   535,069 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security   Value 
New York - 9.2% - (continued)     
$2,500,000   AA+  Series A, 4.000% due 3/15/37  $3,015,167 
 5,000,000   Aa2(a)  Series A, 5.000% due 9/15/22   5,190,277 
 4,500,000   AA  AGM, Series A, 5.000% due 10/1/33   5,781,276 
 4,000,000   Aa2(a)  Series A, 5.250% due 3/15/38   5,089,469 
 2,150,000   AAA  New York State Environmental Facilities Corp., Revenue Bonds, Series A, 5.000% due 6/15/33   2,708,997 
        New York State Urban Development Corp., Revenue Bonds:     
 2,500,000   AA+  Series A, 3.000% due 3/15/50   2,643,523 
 65,000   AA+  Series A, 5.000% due 3/15/22   65,908 
 80,000   AA+  Series A, 5.000% due 3/15/32   96,690 
 175,000   AA-  Onondaga Civic Development Corp., Revenue Bonds, Series A, 5.000% due 12/1/33   228,309 
 5,000,000   A+  Port Authority of New York & New Jersey, Revenue Bonds, Series 207, 5.000% due 9/15/24(c)   5,615,690 
 400,000   AA+  Sales Tax Asset Receivable Corp., Revenue Bonds, Series A, Prerefunded 10/15/24 @ 100, 4.000% due 10/15/32(d)   441,718 
 80,000   Aa1(a)  State of New York Mortgage Agency, Revenue Bonds, Series 211, 3.500% due 10/1/32(c)   86,231 
        Triborough Bridge & Tunnel Authority, Revenue Bonds:     
 4,000,000   AA-  Series A, Prerefunded 1/1/22 @ 100, 5.000% due 1/1/26(d)   4,015,692 
 2,500,000   AA+  Series A1, 4.000% due 5/15/46   2,960,227 
 85,000   AA-  Series B, 5.000% due 11/15/23   92,772 
 115,000   AA-  Series B, 5.000% due 11/15/24   125,326 
        Total New York   88,368,223 
North Carolina - 0.2%     
        County of New Hanover NC, Revenue Bonds:     
 25,000   WR(a)  5.000% due 10/1/27   30,758 
 205,000   WR(a)  Series Prerefunded 10/1/27 @ 100, 5.000% due 10/1/47(d)   252,323 
 655,000   AA-  North Carolina Medical Care Commission, Revenue Bonds, 2.200% due 12/1/48(b)   660,957 
 105,000   Aa3(a)  Raleigh Durham Airport Authority, Revenue Bonds, Series A, 5.000% due 5/1/29(c)   132,595 
        State of North Carolina, Revenue Bonds:     
 330,000   AA  5.000% due 3/1/22   333,967 
 290,000   AA  5.000% due 3/1/23   307,215 
        Total North Carolina   1,717,815 
Ohio - 2.3%     
        American Municipal Power Inc., Revenue Bonds:     
 60,000   A  5.000% due 2/15/22   60,586 
 40,000   A  5.000% due 2/15/42   40,390 
 65,000   A  Series Prerefunded 2/15/22 @ 100, 5.000% due 2/15/23(d)   65,633 
 60,000   A  Series Prerefunded 2/15/22 @ 100, 5.000% due 2/15/24(d)   60,585 
        City of Cleveland OH Airport System Revenue, Revenue Bonds, AGM:     
 30,000   AA  Series A, 5.000% due 1/1/26   34,054 
 45,000   AA  Series A, 5.000% due 1/1/28   51,007 
 65,000   AA  Series A, 5.000% due 1/1/29   73,655 
 60,000   AA  Series A, 5.000% due 1/1/30   67,989 
        Cleveland Department of Public Utilities Division of Water, Revenue Bonds:     
 35,000   AA  Series A, Prerefunded 1/1/22 @ 100, 5.000% due 1/1/26(d)   35,137 
 45,000   AA  Series A, Prerefunded 1/1/22 @ 100, 5.000% due 1/1/27(d)   45,176 
 55,000   AA  Columbus City School District, GO, 5.000% due 12/1/32   65,049 
        County of Allen OH Hospital Facilities Revenue, Revenue Bonds:     
 125,000   A+  5.000% due 12/1/29   161,470 
 125,000   A+  5.000% due 12/1/30   162,529 
 80,000   A+  Series B, 5.000% due 8/1/47(b)   81,560 
 60,000   Aa2(a)  County of Franklin OH, Revenue Bonds, 5.000% due 11/1/26   72,287 
 140,000   A-  County of Hamilton OH, Revenue Bonds, 5.250% due 6/1/26   143,151 
 465,000   A3(a)  County of Scioto OH, Revenue Bonds, 5.000% due 2/15/29   540,933 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security   Value 
Ohio - 2.3% - (continued)     
$285,000   Aa3(a)  Miami University/Oxford OH, Revenue Bonds, Series A, 5.000% due 9/1/30  $375,388 
 50,000   Aaa(a)  Ohio Housing Finance Agency, Revenue Bonds, Series B, 4.500% due 3/1/50   55,318 
 1,000,000   AA  Ohio State University, Revenue Bonds, Series A, 5.000% due 12/1/30   1,333,956 
 2,000,000   AAA  Ohio Water Development Authority Water Pollution Control Loan Fund, Revenue Bonds, Series A, 0.040% due 12/1/36(b)   2,000,000 
        State of Ohio, GO:     
 1,000,000   AA+  Series A, 5.000% due 3/1/28   1,253,292 
 1,000,000   AA+  Series A, 5.000% due 3/1/29   1,284,155 
 2,000,000   AA+  Series B, 5.000% due 2/1/31   2,678,144 
 1,565,000   AA+  Series C, 5.000% due 3/15/28   1,963,356 
 1,750,000   AA+  Series C, 5.000% due 3/15/29   2,249,218 
 1,920,000   AA+  Series C, 5.000% due 3/15/30   2,520,369 
 2,000,000   AA+  Series C, 5.000% due 3/15/31   2,685,602 
        State of Ohio, Revenue Bonds:     
 1,100,000   A  4.000% due 1/15/40   1,253,369 
 75,000   AA  5.000% due 1/1/27   90,994 
 145,000   AA  5.000% due 1/1/29   180,129 
 90,000   A  Series A, 4.000% due 1/15/50   102,342 
        Total Ohio   21,786,823 
Oklahoma - 0.2%     
 560,000   AA-  Canadian County Educational Facilities Authority, Revenue Bonds, 5.000% due 9/1/26   671,689 
        Grand River Dam Authority, Revenue Bonds:     
 35,000   AA-  Series A, 5.000% due 6/1/27   38,792 
 45,000   AA-  Series A, 5.000% due 6/1/28   49,893 
 90,000   WR(a)  Oklahoma Development Finance Authority, Revenue Bonds, Series Prerefunded 2/15/22 @ 100, 5.000% due 2/15/23(d)   90,877 
        Oklahoma Municipal Power Authority, Revenue Bonds:     
 50,000   A  Series A, Prerefunded 1/1/25 @ 100, 5.000% due 1/1/26(d)   56,947 
 175,000   A  Series A, Prerefunded 1/1/25 @ 100, 5.000% due 1/1/27(d)   199,316 
 60,000   A  Series A, Prerefunded 1/1/25 @ 100, 5.000% due 1/1/28(d)   68,337 
 45,000   A  Series A, Prerefunded 1/1/25 @ 100, 5.000% due 1/1/29(d)   51,253 
 60,000   A  Series B, 5.000% due 1/1/27   67,814 
 600,000   AAA  Oklahoma Water Resources Board, Revenue Bonds, Series A, 4.000% due 4/1/35   729,584 
        Total Oklahoma   2,024,502 
Oregon - 0.9%        
 85,000   Aa1(a)  Hillsboro School District No 1J, GO, 5.000% due 6/15/30   104,510 
 3,800,000   A+  Oregon State Business Development Commission, Revenue Bonds, Series 232, 2.400% due 12/1/40(b)   3,921,048 
        Port of Portland OR Airport Revenue, Revenue Bonds:     
 300,000   A+  5.000% due 7/1/28(c)   372,674 
 165,000   A+  5.000% due 7/1/29   204,701 
 205,000   A+  Series 24B, 5.000% due 7/1/32(c)   243,034 
 2,675,000   AA+  Salem-Keizer School District No 24J, GO, 5.000% due 6/15/32   3,346,291 
        Total Oregon   8,192,258 
Pennsylvania - 1.7%     
        City of Philadelphia PA, GO:     
 550,000   A  Series A, 5.000% due 8/1/22   567,632 
 1,000,000   A  Series B, 5.000% due 2/1/24   1,098,587 
 85,000   A  Series B, 5.000% due 8/1/27   98,459 
 300,000   A  Series B, 5.000% due 8/1/29   346,320 
 320,000   A  Series B, 5.000% due 8/1/30   369,408 
 335,000   A  Series B, 5.000% due 8/1/31   386,592 
        City of Philadelphia PA Airport Revenue, Revenue Bonds:     
 50,000   A-  Series B, 5.000% due 7/1/30(c)   60,431 
 70,000   A-  Series B, 5.000% due 7/1/31(c)   84,365 

 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security  Value 
Pennsylvania - 1.7% - (continued)     
        Commonwealth Financing Authority, Revenue Bonds:     
$1,010,000   A  Series A, 5.000% due 6/1/28  $1,263,787 
 500,000   A  Series B, 5.000% due 6/1/25   576,380 
        Commonwealth of Pennsylvania, GO:     
 290,000   A+  5.000% due 10/15/27   314,922 
 810,000   A+  5.000% due 9/15/29   969,695 
        General Authority of Southcentral Pennsylvania, Revenue Bonds:     
 190,000   Aa3(a)  5.000% due 6/1/38   239,030 
 310,000   Aa3(a)  5.000% due 6/1/39   388,816 
        Lancaster County Hospital Authority, Revenue Bonds:     
 800,000   A+  5.000% due 11/1/38   1,002,981 
 1,000,000   A+  5.000% due 11/1/39   1,251,446 
 1,000,000   A  Lehigh County Industrial Development Authority, Revenue Bonds, Series A, 1.800% due 9/1/29(b)   1,009,744 
        Montgomery County Higher Education & Health Authority, Revenue Bonds:     
 325,000   A  5.000% due 9/1/33   405,736 
 110,000   A  Series A, AMBAC, 6.000% due 6/1/22   113,142 
 1,000,000   A+  Northampton County General Purpose Authority, Revenue Bonds, 5.000% due 11/1/27   1,234,015 
 60,000   A  Pennsylvania Economic Development Financing Authority, Revenue Bonds, 5.000% due 3/1/22   60,671 
        Pennsylvania Higher Educational Facilities Authority, Revenue Bonds:     
 775,000   AA  4.000% due 8/15/38(e)   912,626 
 900,000   AA  5.000% due 8/15/32(e)   1,179,483 
 35,000   AA  Series A, 5.000% due 8/15/27   43,139 
 35,000   AA  Series A, 5.000% due 8/15/28   42,899 
 60,000   AA  Series A, 5.000% due 8/15/30   73,454 
        Pennsylvania Turnpike Commission, Revenue Bonds:     
 1,300,000   A1(a)  5.000% due 12/1/46   1,679,535 
 15,000   A1(a)  Series A1, 5.000% due 12/1/22   15,710 
 15,000   A1(a)  Series A1, 5.000% due 12/1/23   16,398 
 45,000   A1(a)  Series A1, 5.000% due 12/1/29   55,282 
 30,000   A1(a)  Series A1, 5.000% due 12/1/34   36,588 
 35,000   A  Series A2, 5.000% due 12/1/28   42,312 
 35,000   A  Series A2, 5.000% due 12/1/33   43,832 
        Philadelphia Gas Works Co., Revenue Bonds:     
 30,000   A  5.000% due 8/1/23   32,317 
 20,000   A  5.000% due 8/1/24   22,299 
 250,000   AA  Pittsburgh Water & Sewer Authority, Revenue Bonds, Series A, AGM-Insured, 5.000% due 9/1/44   312,827 
 40,000   A2(a)  State Public School Building Authority, Revenue Bonds, 5.000% due 6/1/26   45,930 
        Total Pennsylvania   16,396,790 
Rhode Island - 0.5%     
        Rhode Island Health & Educational Building Corp., Revenue Bonds:     
 240,000   AA  AGM, 5.000% due 5/15/25   276,249 
 2,000,000   AA+  Series A, 5.000% due 9/1/29   2,461,974 
 135,000   AA+  Rhode Island Housing & Mortgage Finance Corp., Revenue Bonds, Series 70, 4.000% due 10/1/49   147,314 
        Rhode Island Student Loan Authority, Revenue Bonds:     
 60,000   AA  Series A, 3.500% due 12/1/34(c)   61,890 
 1,125,000   AA  Series A, 5.000% due 12/1/26(c)   1,337,334 
        Tobacco Settlement Financing Corp., Revenue Bonds:     
 55,000   BBB  Series A, 5.000% due 6/1/27   62,967 
 70,000   BBB  Series A, 5.000% due 6/1/28   79,822 
        Total Rhode Island   4,427,550 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security  Value 
South Carolina - 1.5%     
        Beaufort-Jasper Water & Sewer Authority, Revenue Bonds:     
$30,000   AA+  Series B, 5.000% due 3/1/22  $30,361 
 30,000   AA+  Series B, 5.000% due 3/1/24   33,123 
 30,000   AA+  Series B, 5.000% due 3/1/25   34,406 
 2,500,000   AAA  County of Charleston SC, GO, Series C, 5.000% due 11/1/27   3,119,299 
 8,000,000   Aa2(a)  Patriots Energy Group Financing Agency, Revenue Bonds, Series A, 4.000% due 10/1/48(b)   8,565,339 
        Scago Educational Facilities Corp. for Colleton School District, Revenue Bonds:     
 115,000   A-  5.000% due 12/1/27   130,876 
 95,000   A-  5.000% due 12/1/29   108,246 
        South Carolina Jobs-Economic Development Authority, Revenue Bonds:     
 65,000   A+  5.000% due 2/1/22   65,509 
 30,000   A+  5.000% due 2/1/24   32,985 
 50,000   A+  5.000% due 2/1/25   57,072 
 50,000   A+  5.000% due 2/1/26   58,959 
        South Carolina Ports Authority, Revenue Bonds:     
 65,000   A+  5.000% due 7/1/28(c)   80,933 
 140,000   A+  5.000% due 7/1/30(c)   172,849 
        South Carolina Public Service Authority, Revenue Bonds:     
 515,000   A  Series A, 5.500% due 12/1/54   575,095 
 185,000   A  Series B, 5.000% due 12/1/35   221,161 
 275,000   A  Series B, 5.000% due 12/1/36   328,455 
 115,000   A  Series C, 5.000% due 12/1/25   130,141 
 115,000   A  Series C, 5.000% due 12/1/26   130,018 
 90,000   A  Series C, 5.000% due 12/1/27   101,473 
 105,000   A  Series C, 5.000% due 12/1/46   118,146 
 190,000   A  Series E, 5.500% due 12/1/53   208,204 
        South Carolina State Housing Finance & Development Authority, Revenue Bonds:     
 175,000   Aaa(a)  Series A, 4.000% due 1/1/50   193,292 
 160,000   Aaa(a)  Series A, 4.000% due 7/1/50   177,201 
        Total South Carolina   14,673,143 
South Dakota - 0.0%     
        South Dakota Health & Educational Facilities Authority, Revenue Bonds:     
 30,000   AA-  5.000% due 7/1/23   32,205 
 15,000   AA-  5.000% due 7/1/24   16,744 
 10,000   AA-  5.000% due 7/1/27   12,225 
 50,000   AA-  5.000% due 7/1/33   60,658 
 40,000   AA-  5.000% due 7/1/35   48,482 
 35,000   A+  Series B, 5.000% due 11/1/24   39,614 
 35,000   A+  Series B, 5.000% due 11/1/25   39,538 
 5,000   A+  Series B, 5.000% due 11/1/26   5,645 
        Total South Dakota   255,111 
Tennessee - 1.9%     
 1,585,000   AAA  City of Chattanooga TN, GO, Series A, 4.000% due 2/1/33   1,898,706 
 3,970,000   AA  City of Pigeon Forge TN, GO, Series B, 5.000% due 6/1/27   4,874,307 
        Greeneville Health & Educational Facilities Board, Revenue Bonds:     
 30,000   A-  Series A, 5.000% due 7/1/29   37,017 
 35,000   A-  Series A, 5.000% due 7/1/30   43,014 
        Knox County Health Educational & Housing Facility Board, Revenue Bonds:     
 35,000   BBB  5.000% due 9/1/22   36,183 
 30,000   BBB  5.000% due 4/1/24   33,012 
 30,000   BBB  5.000% due 9/1/24   33,515 
 40,000   BBB  5.000% due 4/1/25   45,581 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security  Value 
Tennessee - 1.9% - (continued)     
        Tennergy Corp., Revenue Bonds:     
$3,250,000   A1(a)  Series A, 4.000% due 12/1/51(b)  $3,784,676 
 6,240,000   Aa2(a)  Series A, 5.000% due 2/1/50(b)   6,991,159 
 350,000   A2(a)  Tennessee Energy Acquisition Corp., Revenue Bonds, Series A, 4.000% due 5/1/48(b)   366,072 
        Total Tennessee   18,143,242 
Texas - 11.3%        
 1,895,000   AAA  Alamo Community College District, GO, 5.000% due 8/15/34   2,328,729 
 40,000   AA-  Austin Community College District, Revenue Bonds, AMBAC-Insured, zero coupon, due 2/1/22   39,976 
        Board of Regents of the University of Texas System, Revenue Bonds:     
 90,000   AAA  Series B, 5.000% due 8/15/22   93,059 
 70,000   AAA  Series D, 5.000% due 8/15/22   72,379 
 80,000   AAA  Series E, 5.000% due 8/15/22   82,719 
 90,000   AAA  Series J, 5.000% due 8/15/22   93,059 
 6,990,000   Aaa(a)  Brazosport Independent School District, GO, PSF-GTD-Insured, 5.000% due 2/15/29   8,938,869 
        Central Texas Regional Mobility Authority, Revenue Bonds:     
 35,000   A-  Series A, Prerefunded 7/01/25 @ 100, 5.000% due 1/1/31(d)   40,539 
 30,000   A-  Series A, Prerefunded 7/01/25 @ 100, 5.000% due 1/1/32(d)   34,748 
 60,000   A-  Series A, Prerefunded 7/1/25 @ 100, 5.000% due 1/1/34(d)   69,496 
 160,000   A-  Series A, Prerefunded 7/1/25 @ 100, 5.000% due 1/1/40(d)   185,323 
 600,000   A-  Series B, 4.000% due 1/1/41   706,944 
 375,000   A-  Series B, 5.000% due 1/1/29   471,827 
 1,800,000   A-  Series E, 5.000% due 1/1/38   2,265,731 
 1,770,000   AAA  City of Austin TX, GO, 5.000% due 5/1/27   2,173,583 
        City of Austin TX Airport System Revenue, Revenue Bonds:     
 165,000   A  5.000% due 11/15/26(c)   185,623 
 80,000   A  5.000% due 11/15/29(c)   89,899 
 45,000   AA  City of Austin TX Electric Utility Revenue, Revenue Bonds, Series A, 5.000% due 11/15/23   47,011 
        City of Dallas TX, GO:     
 130,000   AA-  5.000% due 2/15/23   131,267 
 170,000   AA-  5.000% due 2/15/24   187,441 
 3,000,000   AAA  City of Dallas TX Waterworks & Sewer System Revenue, Revenue Bonds, Series A, 5.000% due 10/1/27   3,502,456 
        City of Houston TX, GO:     
 2,000,000   AA  Series A, 5.000% due 3/1/22   2,024,043 
 60,000   Aa3(a)  Series A, 5.000% due 3/1/23   63,554 
 290,000   Aa3(a)  Series A, 5.000% due 3/1/24   320,121 
 120,000   Aa3(a)  Series A, 5.000% due 3/1/25   137,456 
        City of Houston TX Airport System Revenue, Revenue Bonds:     
 50,000   A1(a)  Series A, 5.000% due 7/1/26(c)   59,228 
 60,000   A1(a)  Series A, 5.000% due 7/1/27(c)   72,842 
 30,000   A1(a)  Series A, 5.000% due 7/1/28(c)   37,267 
 350,000   A  Series A, Prerefunded 7/1/22 @ 100, 5.000% due 7/1/23(c)(d)   359,612 
 90,000   A1(a)  Series B, 5.000% due 7/1/28   112,709 
 360,000   A1(a)  Series B, 5.000% due 7/1/29   449,091 
 190,000   A1(a)  Series B, 5.000% due 7/1/30   236,481 
 1,500,000   A1(a)  Series D, 5.000% due 7/1/25   1,735,665 
 2,005,000   A1(a)  Series D, 5.000% due 7/1/26   2,390,973 
        City of Houston TX Combined Utility System Revenue, Revenue Bonds:     
 70,000   Aa2(a)  Series B, 5.000% due 11/15/33   83,938 
 75,000   AA  Series C, 5.000% due 5/15/28   83,212 
 355,000   Aa2(a)  Series C, 5.000% due 11/15/30   471,325 
 1,040,000   AAA  City of Irving TX, GO, 5.500% due 8/15/23   1,131,860 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security  Value 
Texas - 11.3% - (continued)        
        City of San Antonio TX Airport System, Revenue Bonds:     
$500,000   A-  Series A, 5.000% due 7/1/27(c)  $606,113 
 480,000   A  Series A, 5.000% due 7/1/28(c)   596,278 
        City of San Antonio TX Electric & Gas Systems Revenue, Revenue Bonds:     
 1,000,000   A+  1.750% due 2/1/49(b)   1,045,599 
 45,000   AA-  5.000% due 2/1/29   55,204 
 30,000   AA-  5.000% due 2/1/30   36,794 
 45,000   AA-  5.000% due 2/1/31   55,137 
 35,000   AA-  5.000% due 2/1/33   42,739 
 90,000   AA-  5.250% due 2/1/25   103,589 
 1,500,000   A+  Series 2019, 2.750% due 2/1/48(b)   1,536,167 
 205,000   A+  Series B, 2.000% due 2/1/33(b)   205,000 
        Comal Independent School District, GO, PSF-GTD:     
 3,000,000   Aaa(a)  5.000% due 2/1/27   3,649,945 
 2,000,000   Aaa(a)  5.000% due 2/1/28   2,498,440 
        County of Harris TX, Revenue Bonds:     
 30,000   AA-  Series C, 5.000% due 8/15/24   31,007 
 110,000   AA-  Series C, 5.000% due 8/15/25   113,691 
        County of Travis TX, GO:     
 85,000   AAA  Series A, 5.000% due 3/1/24   93,748 
 1,490,000   AAA  Series A, 5.000% due 3/1/38   1,872,797 
 2,215,000   AAA  County of Williamson TX, GO, 5.000% due 2/15/30   2,688,907 
        Cypress-Fairbanks Independent School District, GO, PSF-GTD:     
 1,975,000   AAA  4.000% due 2/15/32   2,221,027 
 145,000   AAA  5.000% due 2/15/22   146,439 
 145,000   AAA  5.000% due 2/15/23   153,362 
 725,000   AAA  5.000% due 2/15/24   798,706 
 620,000   AAA  5.000% due 2/15/25   708,642 
 105,000   AAA  5.000% due 2/15/27   123,963 
 210,000   AA+  Dallas Area Rapid Transit, Revenue Bonds, AMBAC-Insured, 5.250% due 12/1/29   276,769 
 185,000   A2(a)  Dallas County Utility & Reclamation District, GO, 5.000% due 2/15/24   202,605 
        Dallas Fort Worth International Airport, Revenue Bonds:     
 2,590,000   A  Series A, Prerefunded 11/1/22 @ 100, 5.000% due 11/1/29(c)(d)   2,700,245 
 85,000   A  Series B, Prerefunded 11/1/22 @ 100, 5.000% due 11/1/26(c)(d)   88,618 
 35,000   A  Series B, Prerefunded 11/1/22 @ 100, 5.000% due 11/1/27(c)(d)   36,490 
 80,000   A  Series B, Prerefunded 11/1/22 @ 100, 5.000% due 11/1/28(c)(d)   83,405 
 155,000   A  Series B, Prerefunded 11/1/22 @ 100, 5.000% due 11/1/30(c)(d)   161,598 
 330,000   A  Series B, Prerefunded 11/1/22 @ 100, 5.000% due 11/1/31(c)(d)   344,047 
 420,000   A  Series B, Prerefunded 11/1/22 @ 100, 5.000% due 11/1/32(c)(d)   437,878 
 290,000   A  Series B, Prerefunded 11/1/22 @ 100, 5.000% due 11/1/33(c)(d)   302,344 
 70,000   A  Series B, Prerefunded 11/1/22 @ 100, 5.000% due 11/1/34(c)(d)   72,980 
 1,500,000   A  Series E, 5.000% due 11/1/22(c)   1,564,839 
        Dallas Independent School District, GO, PSF-GTD:     
 20,000   Aaa(a)  Series Prerefunded 2/15/22 @, 5.000% due 2/15/36(d)   20,197 
 85,000   Aaa(a)  Series Prerefunded 2/15/22 @, 5.000% due 2/15/36(b)(d)   85,840 
        Eagle Mountain & Saginaw Independent School District, GO, PSF-GTD:     
 1,270,000   Aaa(a)  5.000% due 8/15/29   1,639,616 
 1,000,000   Aaa(a)  5.000% due 8/15/30   1,317,867 
        Fort Worth Independent School District, GO, PSF-GTD:     
 80,000   AAA  5.000% due 2/15/22   80,787 
 105,000   AAA  5.000% due 2/15/26   124,107 
        Grand Parkway Transportation Corp., Revenue Bonds:     
 150,000   AA+  Series A, 5.000% due 10/1/31   187,559 
 125,000   AA+  Series A, 5.000% due 10/1/32   156,213 
 190,000   AA+  Series A, 5.000% due 10/1/33   237,272 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security  Value 
Texas - 11.3% - (continued)     
$145,000   AA+  Series A, 5.000% due 10/1/34  $180,894 
 70,000   BBB  Series A, 5.125% due 10/1/43   75,321 
 940,000   WR(a)  Gregg County Health Facilities Development Corp., Revenue Bonds, Series C, Prerefunded 7/1/22 @ 100, 5.000% due 7/1/42(d)   965,959 
        Harris County Cultural Education Facilities Finance Corp., Revenue Bonds:     
 1,025,000   A+  5.000% due 6/1/24   1,141,601 
 590,000   A+  5.000% due 7/1/49(b)   643,318 
        Irving Hospital Authority, Revenue Bonds:     
 15,000   A+  5.000% due 10/15/24   16,839 
 20,000   A+  5.000% due 10/15/26   23,597 
 15,000   A+  5.000% due 10/15/27   17,569 
 20,000   A+  5.000% due 10/15/29   23,216 
 30,000   A+  5.000% due 10/15/31   34,829 
 40,000   A+  5.000% due 10/15/35   46,402 
 30,000   A+  5.000% due 10/15/36   34,827 
 35,000   A+  5.000% due 10/15/39   40,612 
 45,000   A+  5.000% due 10/15/44   52,212 
        Lamar Consolidated Independent School District, GO, PSF-GTD:     
 7,280,000   AAA  5.000% due 2/15/31   8,768,238 
 7,050,000   AAA  5.000% due 2/15/34   8,475,330 
 1,225,000   AA+  Lewisville Independent School District, GO, Series B, 5.000% due 8/15/28   1,420,749 
        Love Field Airport Modernization Corp., Revenue Bonds:     
 40,000   A-  5.000% due 11/1/30(c)   46,237 
 90,000   A-  5.000% due 11/1/31(c)   103,883 
        Lower Colorado River Authority, Revenue Bonds:     
 200,000   A  5.000% due 5/15/26   237,486 
 135,000   A  5.000% due 5/15/32   167,056 
 70,000   A  5.000% due 5/15/34   86,375 
 70,000   A  5.000% due 5/15/36   85,873 
 195,000   A  Series B, 5.000% due 5/15/25   224,380 
 85,000   A  Series B, 5.000% due 5/15/27   97,743 
 85,000   A  Series B, 5.000% due 5/15/28   97,586 
 245,000   A  Series B, 5.000% due 5/15/29   281,187 
 25,000   A  Series D, 5.000% due 5/15/22   25,547 
 20,000   A  Series D, 5.000% due 5/15/23   21,370 
 35,000   A  Series D, 5.000% due 5/15/24   38,850 
 40,000   A  Series D, 5.000% due 5/15/26   46,086 
        Malakoff Independent School District, GO, PSF-GTD:     
 1,000,000   Aaa(a)  5.000% due 2/15/30   1,305,647 
 2,200,000   Aaa(a)  5.000% due 2/15/31   2,934,900 
        New Hope Cultural Education Facilities Finance Corp., Revenue Bonds:     
 60,000   Aa3(a)  Series A, 5.000% due 8/15/24   67,354 
 45,000   Aa3(a)  Series A, 5.000% due 8/15/26   53,950 
 45,000   Aa3(a)  Series A, 5.000% due 8/15/27   55,296 
 70,000   Aa3(a)  Series A, 5.000% due 8/15/30   85,566 
        Newark Higher Education Finance Corp., Revenue Bonds:     
 65,000   A3(a)  5.000% due 4/1/27   75,962 
 40,000   A3(a)  5.000% due 4/1/28   46,562 
        North Harris County Regional Water Authority, Revenue Bonds:     
 30,000   AA-  4.000% due 12/15/23   31,139 
 55,000   AA-  4.000% due 12/15/24   57,068 
        North Texas Tollway Authority, Revenue Bonds:     
 50,000   NR  5.000% due 1/1/23   52,579 
 145,000   NR  5.000% due 1/1/24   158,905 
 35,000   A+  Series A, 5.000% due 1/1/30   40,715 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security  Value 
Texas - 11.3% - (continued)     
$40,000   A+  Series A, 5.000% due 1/1/33  $48,004 
 200,000   A+  Series A, 5.000% due 1/1/39   232,750 
 185,000   A  Series B, 5.000% due 1/1/25   210,486 
 290,000   A+  Series B, 5.000% due 1/1/29   328,614 
 160,000   A+  Series B, 5.000% due 1/1/30   181,656 
 20,000   A  Series B, 5.000% due 1/1/31   23,133 
 85,000   A  Series B, 5.000% due 1/1/32   101,203 
 685,000   Aaa(a)  Northside Independent School District, GO, PSF-GTD-Insured, 2.750% due 8/1/48(b)   710,485 
        Permanent University Fund - University of Texas System, Revenue Bonds:     
 50,000   Aaa(a)  Series B, 5.000% due 7/1/22   51,409 
 50,000   Aaa(a)  Series B, 5.000% due 7/1/29   59,700 
 50,000   AAA  Rockwall Independent School District, GO, PSF-GTD-Insured, zero coupon, due 2/15/25   49,121 
 2,500,000   Aaa(a)  Round Rock Independent School District, GO, PSF-GTD, 5.000% due 8/1/29   3,233,525 
 1,195,000   Aaa(a)  San Antonio Independent School District, GO, Series A, PSF-GTD-Insured, 5.000% due 8/1/28   1,430,404 
        San Antonio Public Facilities Corp., Revenue Bonds:     
 140,000   AA+  5.000% due 9/15/23   144,909 
 215,000   AA+  5.000% due 9/15/24   222,538 
 270,000   AA+  5.000% due 9/15/25   279,401 
        San Antonio Water System, Revenue Bonds:     
 175,000   NR  5.000% due 5/15/22   178,818 
 2,000,000   AA  Series A, 5.000% due 5/15/36   2,482,850 
 390,000   AA  Series B, 2.000% due 5/1/44(b)   395,970 
        San Jacinto Community College District, GO:     
 450,000   AA  5.000% due 2/15/29   574,385 
 435,000   AA  5.000% due 2/15/30   566,370 
        State of Texas, GO:     
 2,500,000   AAA  5.000% due 10/1/24   2,776,869 
 150,000   AAA  5.000% due 8/1/26(c)   168,306 
 200,000   AAA  5.500% due 8/1/26(c)   243,157 
 350,000   AAA  Series B, 5.000% due 8/1/25(c)   377,821 
        Tarrant County Cultural Education Facilities Finance Corp., Revenue Bonds:     
 165,000   AA  5.000% due 2/15/25   188,477 
 60,000   AA  5.000% due 2/15/34   70,864 
 30,000   AA-  Series Prerefunded 8/15/23 @ 100, 5.000% due 8/15/25(d)   32,392 
 45,000   AA-  Series Prerefunded 8/15/23 @ 100, 5.000% due 8/15/26(d)   48,588 
 45,000   AA-  Series Prerefunded 8/15/23 @ 100, 5.000% due 8/15/28(d)   48,588 
 110,000   AA-  Series Prerefunded 8/15/23 @ 100, 5.000% due 8/15/33(d)   118,771 
 155,000   A3(a)  Series Prerefunded 9/1/23 @ 100, 5.500% due 9/1/43(d)   168,915 
 165,000   AAA  Texas A&M University, Revenue Bonds, Series C, 5.000% due 5/15/23   176,406 
        Texas Department of Housing & Community Affairs, Revenue Bonds:     
 406,430   Aaa(a)  2.950% due 7/1/36   444,673 
 385,000   AA+  Series A, 4.000% due 3/1/50   428,160 
 600,000   AA+  Texas Public Finance Authority, Revenue Bonds, 5.000% due 2/1/28   747,491 
 135,000   Aa2(a)  Texas State University System, Revenue Bonds, Series A, 5.000% due 3/15/29   163,588 
        Texas Water Development Board, Revenue Bonds:     
 125,000   AAA  Series A, 5.000% due 4/15/22   127,248 
 180,000   AAA  Series A, 5.000% due 4/15/25   207,256 
 75,000   AAA  Series A, 5.000% due 10/15/25   87,829 
 125,000   AAA  Series A, 5.000% due 4/15/26   148,765 
 190,000   AAA  Series A, 5.000% due 4/15/29   236,415 
 505,000   AAA  Series A, 5.000% due 4/15/30   626,828 
 190,000   AA  University of Houston, Revenue Bonds, Series A, 5.000% due 2/15/30   223,312 
        Total Texas   108,867,890 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security  Value 
Utah - 0.4% 
       City of Salt Lake City UT Airport Revenue, Revenue Bonds:    
$35,000   A  Series A, 5.000% due 7/1/26(c)  $41,425 
 115,000   A  Series A, 5.000% due 7/1/28(c)   139,176 
 155,000   A  Series A, 5.000% due 7/1/30(c)   189,942 
 375,000   AAA  State of Utah, GO, Series B, 5.000% due 7/1/22   385,544 
 85,000   A-  Utah Associated Municipal Power Systems, Revenue Bonds, Series A, Prerefunded 9/1/22 @ 100, 5.000% due 9/1/24(d)   88,084 
 2,500,000   AA-  Utah Transit Authority, Revenue Bonds, Series A, NPFG, 5.000% due 6/15/31   3,147,019 
        Total Utah   3,991,190 
Vermont - 0.2%        
        Vermont Student Assistance Corp., Revenue Bonds:     
 750,000   A  Series A, 5.000% due 6/15/29(c)   915,614 
 675,000   A  Series A, 5.000% due 6/15/30(c)   834,459 
        Total Vermont   1,750,073 
Virginia - 3.3%     
 195,000   A+  Arlington County Industrial Development Authority, Revenue Bonds, 5.000% due 7/1/32   252,258 
 315,000   AAA  City of Chesapeake VA, GO, Series A, 5.000% due 8/1/34   415,789 
 30,000   BBB+  City of Chesapeake VA Chesapeake Expressway Toll Road Revenue, Revenue Bonds, Series A, 5.000% due 7/15/22   30,861 
 2,635,000   AAA  City of Suffolk VA, GO, Series A, 5.000% due 2/1/27   3,216,346 
 5,000,000   AAA  Commonwealth of Virginia, GO, Series B, 4.000% due 6/1/24   5,280,323 
 2,000,000   AAA  County of Fairfax VA Sewer Revenue, Revenue Bonds, Series A, 5.000% due 7/15/46   2,640,252 
        Fredericksburg Economic Development Authority, Revenue Bonds:     
 40,000   A3(a)  5.000% due 6/15/27   44,274 
 40,000   A3(a)  5.000% due 6/15/29   44,135 
 45,000   A3(a)  5.000% due 6/15/33   49,592 
        Hampton Roads Transportation Accountability Commission, Revenue Bonds:     
 4,000,000   A+  Series A, 5.000% due 7/1/26   4,776,005 
 3,180,000   AA  Series A, 5.000% due 7/1/35   3,906,446 
 1,065,000   A-  King George County Economic Development Authority, Revenue Bonds, 2.500% due 6/1/23(b)(c)   1,094,793 
 320,000   AA  Norfolk Economic Development Authority, Revenue Bonds, Series B, 5.000% due 11/1/48(b)   403,369 
        Stafford County Economic Development Authority, Revenue Bonds:     
 20,000   A3(a)  4.000% due 6/15/37   22,108 
 50,000   A3(a)  5.000% due 6/15/32   58,313 
 65,000   A3(a)  5.000% due 6/15/34   75,649 
        Virginia College Building Authority, Revenue Bonds:     
 1,670,000   AA+  5.000% due 2/1/25   1,909,611 
 2,805,000   AA+  Series A, 5.000% due 9/1/32   3,527,583 
 165,000   AA+  Series D, 5.000% due 2/1/26   195,088 
 265,000   AA+  Series E, 5.000% due 2/1/30   328,915 
 305,000   AA+  Series E, 5.000% due 2/1/31   377,132 
 360,000   AA+  Virginia Commonwealth Transportation Board, Revenue Bonds, Series A, 5.000% due 5/15/30   446,490 
 500,000   AAA  Virginia Resources Authority, Revenue Bonds, 5.000% due 11/1/29   652,741 
 1,000,000   AAA  Virginia Resources Authority Clean Water Revolving Fund, Revenue Bonds, 5.000% due 10/1/30   1,332,249 
 220,000   BBB-  Virginia Small Business Financing Authority, Revenue Bonds, 5.000% due 1/1/40(c)   220,817 
        Winchester Economic Development Authority, Revenue Bonds:     
 60,000   A+  5.000% due 1/1/32   69,237 
 75,000   A+  5.000% due 1/1/33   86,557 
 100,000   BBB+  York County Economic Development Authority, Revenue Bonds, Series A, 1.900% due 5/1/33(b)   102,289 
        Total Virginia   31,559,222 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security  Value 
Washington - 4.6% 
$60,000   AA  Chelan County Public Utility District No 1, Revenue Bonds, Series A, NPFG, zero coupon, due 6/1/24  $59,173 
 3,550,000   AA+  City of Seattle WA Water System Revenue, Revenue Bonds, 5.000% due 8/1/27   4,388,960 
        City of Tacoma WA Electric System Revenue, Revenue Bonds:     
 30,000   AA  5.000% due 1/1/29   36,199 
 35,000   AA  5.000% due 1/1/36   41,780 
 3,330,000   AA+  County of King WA Sewer Revenue, Revenue Bonds, Series A, 5.000% due 7/1/22   3,424,225 
        Grant County Public Utility District No 2 Priest Rapids Hydroelectric Project, Revenue Bonds:     
 30,000   AA  Series A, 5.000% due 1/1/22   30,117 
 30,000   AA  Series A, Prerefunded 7/1/22 @ 100, 5.000% due 1/1/23(d)   30,842 
 65,000   AA  Series A, Prerefunded 7/1/22 @ 100, 5.000% due 1/1/24(d)   66,824 
        Port of Seattle WA, Revenue Bonds:     
 25,000   A-  5.000% due 6/1/23(c)   26,721 
 35,000   A+  5.000% due 2/1/27   41,098 
 70,000   A+  5.000% due 2/1/29   81,882 
 85,000   A+  Series A, 5.000% due 5/1/29(c)   102,258 
 1,000,000   AA-  Series B, 5.000% due 10/1/26(c)   1,176,927 
 980,000   AA-  Series B, 5.000% due 10/1/27(c)   1,152,017 
 135,000   AA-  Series B, 5.000% due 10/1/29(c)   158,194 
        State of Washington, GO:     
 50,000   AA+  Series 2017A, 5.000% due 8/1/27   60,028 
 3,405,000   AA+  Series A, 5.000% due 2/1/31   4,556,035 
 3,430,000   AA+  Series A, 5.000% due 8/1/32   4,292,777 
 3,000,000   AA+  Series A, 5.000% due 8/1/38   3,901,852 
 5,000,000   AA+  Series C, 5.000% due 2/1/33   6,344,727 
 2,500,000   AA+  Series E, 5.000% due 6/1/43   3,275,322 
 50,000   AA+  Series R2017A, 5.000% due 8/1/28   59,951 
 50,000   AA+  Series R2017A, 5.000% due 8/1/30   59,850 
 355,000   AA+  Series R2018C, 5.000% due 8/1/30   436,562 
 725,000   AA+  Series R2018D, 5.000% due 8/1/32   887,669 
 640,000   AA+  Series R2018D, 5.000% due 8/1/33   783,447 
 5,000,000   AA+  Series R2018D, 5.000% due 8/1/35   6,115,110 
        Tobacco Settlement Authority, Revenue Bonds:     
 70,000   A  5.000% due 6/1/23   74,867 
 100,000   A  5.000% due 6/1/24   106,785 
        Washington Health Care Facilities Authority, Revenue Bonds:     
 60,000   A  5.000% due 7/1/26   71,431 
 70,000   AA-  5.000% due 10/1/27   86,204 
 60,000   AA-  5.000% due 10/1/28   75,533 
 40,000   A+  5.000% due 1/1/29   45,641 
 90,000   A  5.000% due 7/1/29   111,053 
 20,000   A  5.000% due 7/1/34   24,374 
 780,000   A  5.000% due 7/1/42   939,525 
 115,000   AA-  Series A, 5.000% due 10/1/24   119,562 
 440,000   A-  Series A, 5.000% due 8/1/39   547,347 
        Washington Higher Education Facilities Authority, Revenue Bonds:     
 15,000   Baa1(a)  Series A, 5.000% due 10/1/29   17,575 
 35,000   Baa1(a)  Series A, 5.000% due 10/1/30   40,829 
 40,000   Baa1(a)  Series A, 5.000% due 10/1/31   46,582 
 210,000   Baa1(a)  Series A, 5.000% due 10/1/33   243,993 
        Total Washington   44,141,848 
West Virginia - 1.6%        
        State of West Virginia, GO:     
 9,860,000   AA-  Series B, 5.000% due 12/1/34   12,324,594 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount/Units
   Rating††  Security  Value 
West Virginia - 1.6% - (continued)     
$2,000,000   AA-  Series B, 5.000% due 6/1/35  $2,494,412 
 190,000   BBB+  West Virginia Hospital Finance Authority, Revenue Bonds, 5.000% due 1/1/33   233,430 
        Total West Virginia   15,052,436 
Wisconsin - 0.4%     
 160,000   A  Public Finance Authority, Revenue Bonds, 5.000% due 1/1/31   203,493 
        Wisconsin Health & Educational Facilities Authority, Revenue Bonds:     
 400,000   A2(a)  5.000% due 10/1/23   433,462 
 255,000   A+  5.000% due 11/15/24   288,957 
 25,000   BBB+  5.000% due 5/1/26   27,441 
 50,000   A3(a)  5.000% due 6/1/27   51,155 
 195,000   A+  5.000% due 11/15/27   220,659 
 50,000   BBB+  5.000% due 5/1/28   54,585 
 25,000   BBB+  5.000% due 5/1/29   27,226 
 30,000   A3(a)  5.000% due 6/1/32   30,665 
 70,000   A3(a)  5.000% due 6/1/39   71,478 
 1,505,000   AA  5.000% due 8/15/54(b)   1,623,125 
 30,000   WR(a)  Series B, Prerefunded 7/1/23 @ 100, 5.000% due 7/1/25(d)   32,230 
 200,000   WR(a)  Series B, Prerefunded 7/1/23 @ 100, 5.000% due 7/1/36(d)   214,865 
 50,000   NR  Series C, Prerefunded 8/15/22 @ 100, 5.000% due 8/15/32(d)   51,689 
 490,000   AA  Wisconsin Housing & Economic Development Authority, Revenue Bonds, Series A, 3.500% due 9/1/50   534,123 
        Total Wisconsin   3,865,153 
        TOTAL MUNICIPAL BONDS
(Cost - $842,540,829)
   870,225,642 
        TOTAL INVESTMENTS BEFORE SHORT-TERM INVESTMENTS
(Cost - $834,929,521)
   870,225,642 
SHORT-TERM INVESTMENTS - 10.0%     
MUNICIPAL BONDS - 3.0%     
 4,000,000      Charleston County School District, GO, 4.000% due 5/11/22   4,069,221 
 10,000,000      City of Los Angeles CA, Revenue Notes, 4.000% due 6/23/22   10,218,054 
 5,200,000      Colorado State Education Loan Program, Revenue Notes, Series A, 4.000% due 6/29/22   5,317,331 
 5,000,000      County of Los Angeles CA, Revenue Notes, 4.000% due 6/30/22   5,112,471 
 3,500,000      Town of Tonawanda NY, GO, Series B, 1.500% due 8/26/22   3,534,677 
        TOTAL MUNICIPAL BONDS
(Cost - $28,251,551)
   28,251,754 

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Municipal Fixed Income Fund (continued)

 

Face
Amount
       Security  Value 
TIME DEPOSITS - 7.0%     
$34,628,955       Banco Bilbao Vizcaya Argentaria SA - Madrid, 0.005% due 12/1/21  $34,628,955 
 15,730,042       Skandinaviska Enskilda Banken AB - Stockholm, 0.005% due 12/1/21   15,730,042 
 17,336,760       Sumitomo Mitsui Banking Corp. - Tokyo, 0.005% due 12/1/21   17,336,760 
         TOTAL TIME DEPOSITS
(Cost - $67,695,757)
   67,695,757 
         TOTAL SHORT-TERM INVESTMENTS
(Cost - $95,947,308)
   95,947,511 
         TOTAL INVESTMENTS - 100.6%
(Cost - $930,876,829)
   966,173,153 
         Liabilities in Excess of Other Assets - (0.6)%   (5,429,021)
         TOTAL NET ASSETS - 100.0%  $960,744,132 

 

 

†† All ratings are by Standard & Poor's Rating Service, unless otherwise noted.
(a)Rating by Moody's Investors Service. All ratings are unaudited.
(b)Variable rate security. Interest rate disclosed is that which was in effect at November 30, 2021.
(c)Income from this issue is considered a preference item for purposes of calculating the alternative minimum tax (AMT).
(d)Pre-refunded bonds are escrowed with government obligations and/or government agency securities and are considered by the Manager to be triple-A rated even if the issuer has not applied for new ratings.
(e)When-Issued or delayed delivery security.
(f) Rating by Fitch Ratings Service. All ratings are unaudited.
(g)Illiquid security. The aggregate value of illiquid holdings at November 30, 2021, amounts to approximately $210,837 and represents 0.02% of net assets.

 

Abbreviations used in this schedule:
AGM Assured Guaranty Municipal Corporation
AMBAC American Bond Assurance Corporation
COP Certificate of Participation
GO General Obligation
MTA Metropolitan Transportation Authority
NPFG National Public Finance Guarantee Corporation
PSF-GTD Permanent School Fund Guaranteed

 

 

 

 

Schedules of Investments
November 30, 2021 (unaudited)
 
Destinations Municipal Fixed Income Fund (concluded)

 

Summary of Investments by Security Industry^
General Obligation   46.8%
Education   13.4 
Water and Sewer   6.9 
Health Care Providers & Services   6.6 
Transportation   6.6 
Airport   3.2 
Power   1.9 
Development   1.2 
Nursing Homes   0.9 
Single Family Housing   0.8 
Utilities   0.8 
Student Loan   0.4 
Facilities   0.3 
Pollution   0.1 
Multifamily Housing   0.1 
Tobacco Settlement   0.1 
Bond Bank   0.0*
Short-Term Investments   9.9 
    100.0%

 

 

^ As a percentage of total investments.

* Position represents less than 0.05%.

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Shelter Fund

 

Shares/Units   Security  Value 
COMMON STOCKS - 97.7%     
BASIC MATERIALS - 2.0%     
Chemicals - 1.7%     
 108   Albemarle Corp.  $28,781 
 355   Eastman Chemical Co.   37,023 
 384   Huntsman Corp.   12,169 
 477   Linde PLC   151,753 
 465   LyondellBasell Industries NV, Class A Shares   40,516 
 222   Nutrien Ltd.   14,679 
 104   Olin Corp.   5,652 
 223   RPM International Inc.   20,302 
 233   Sherwin-Williams Co.   77,179 
     Total Chemicals   388,054 
Forest Products & Paper - 0.1%     
 812   International Paper Co.   36,962 
           
Iron/Steel - 0.0%       
 116   Steel Dynamics Inc.   6,937 
 401   Vale SA, ADR   4,960 
     Total Iron/Steel   11,897 
Mining - 0.2%       
 364   Barrick Gold Corp.   6,912 
 1,085   Freeport-McMoRan Inc.   40,232 
 145   Rio Tinto PLC, ADR   9,090 
 128   Southern Copper Corp.   7,488 
     Total Mining   63,722 
     TOTAL BASIC MATERIALS   500,635 
COMMUNICATIONS - 15.6%     
Internet - 11.9%     
 148   Alphabet Inc., Class A Shares*(a)   420,017 
 228   Alphabet Inc., Class C Shares*(a)   649,581 
 281   Amazon.com Inc.* (a)   985,487 
 38   Booking Holdings Inc.*   79,870 
 493   eBay Inc.   33,258 
 101   Lyft Inc., Class A Shares*   4,102 
 194   Match Group Inc.*   25,218 
 3   MercadoLibre Inc.*   3,565 
 1,557   Meta Platforms Inc., Class A Shares*(a)   505,184 
 305   Netflix Inc.*(a)   195,779 
 23   Palo Alto Networks Inc.*   12,580 
 16   Roku Inc., Class A Shares*   3,642 
 6   Shopify Inc., Class A Shares*   9,131 
 742   Twitter Inc.*   32,603 
 182   Uber Technologies Inc.*   6,916 
 158   VeriSign Inc.*   37,906 
     Total Internet   3,004,839 
Media - 1.9%       
 5   Cable One Inc.   8,860 
 3,474   Comcast Corp., Class A Shares   173,630 
 37   FactSet Research Systems Inc.   17,337 
 493   Fox Corp., Class A Shares   17,605 
 86   Liberty Broadband Corp., Class C Shares*   13,317 
 475   Liberty Global PLC, Class C Shares*   12,654 
 132   New York Times Co., Class A Shares   6,270 
 2,056   Sirius XM Holdings Inc.   12,542 
 472   ViacomCBS Inc., Class B Shares   14,608 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Shelter Fund (continued)

 

Shares/Units   Security  Value 
COMMUNICATIONS - 15.6% - (continued)     
Media - 1.9% - (continued)     
 1,279   Walt Disney Co.*(a)  $185,327 
     Total Media   462,150 
Telecommunications - 1.8%     
 3,865   Cisco Systems Inc. (a)   211,957 
 1,235   Telefonaktiebolaget LM Ericsson, ADR   12,350 
 4,260   Verizon Communications Inc.(a)   214,150 
 1,369   Vodafone Group PLC, ADR   20,097 
     Total Telecommunications   458,554 
     TOTAL COMMUNICATIONS   3,925,543 
CONSUMER CYCLICAL - 10.5%     
Airlines - 0.3%         
 2,010   Delta Air Lines Inc.*   72,762 
           
Apparel - 0.7%         
 140   Capri Holdings Ltd.*   8,291 
 18   Deckers Outdoor Corp.*   7,297 
 972   NIKE Inc., Class B Shares   164,501 
 174   Skechers USA Inc., Class A Shares*   7,816 
     Total Apparel   187,905 
Auto Manufacturers - 2.6%     
 3,203   Ford Motor Co.   61,466 
 523   Tesla Inc.*(a)   598,709 
     Total Auto Manufacturers   660,175 
Auto Parts & Equipment - 0.2%     
 115   Autoliv Inc.   11,085 
 353   Gentex Corp.   12,154 
 254   Goodyear Tire & Rubber Co.*   5,108 
 141   Lear Corp.   23,658 
 133   Magna International Inc.   10,007 
     Total Auto Parts & Equipment   62,012 
Distribution/Wholesale - 0.2%     
 101   WW Grainger Inc.   48,622 
           
Entertainment - 0.1%     
 126   DraftKings Inc., Class A Shares*   4,353 
 54   Scientific Games Corp.*   3,452 
 34   Vail Resorts Inc.   11,278 
     Total Entertainment   19,083 
Food Service - 0.1%     
 414   Aramark   13,828 
           
Home Builders - 0.3%     
 522   DR Horton Inc.   50,999 
 389   Toll Brothers Inc.   24,690 
     Total Home Builders   75,689 
Home Furnishings - 0.1%     
 375   Leggett & Platt Inc.   15,146 
 69   Sony Group Corp., ADR   8,408 
     Total Home Furnishings   23,554 
Leisure Time - 0.1%     
 70   Brunswick Corp.   6,574 
 960   Carnival Corp.*   16,915 
 181   Harley-Davidson Inc.   6,630 
 104   Planet Fitness Inc., Class A Shares*   8,496 
 52   Polaris Inc.   5,813 
     Total Leisure Time   44,428 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Shelter Fund (continued)

  

Shares/Units   Security  Value 
CONSUMER CYCLICAL - 10.5% - (continued)     
Lodging - 0.1% 
 514   Las Vegas Sands Corp.*  $18,309 
           
Retail - 5.7%       
 41   Burlington Stores Inc.*   12,018 
 391   Costco Wholesale Corp.   210,898 
 46   Dick's Sporting Goods Inc.   5,408 
 38   Five Below Inc.*   7,731 
 168   Foot Locker Inc.   7,668 
 735   Home Depot Inc. (a)   294,448 
 144   Kohl's Corp.   7,377 
 563   Lowe's Cos. Inc.   137,704 
 31   Lululemon Athletica Inc.*   14,087 
 574   McDonald's Corp.   140,400 
 76   O'Reilly Automotive Inc.*   48,500 
 249   Restaurant Brands International Inc.   13,951 
 915   Starbucks Corp.   100,321 
 439   Target Corp.   107,046 
 1,360   TJX Cos. Inc.   94,384 
 1,334   Walmart Inc.(a)   187,600 
 33   Williams-Sonoma Inc.   6,430 
 196   Yum China Holdings Inc.   9,820 
     Total Retail   1,405,791 
     TOTAL CONSUMER CYCLICAL   2,632,158 
CONSUMER NON-CYCLICAL - 17.2%     
Agriculture - 0.2%       
 1,175   British American Tobacco PLC, ADR   39,539 
 105   Bunge Ltd.   9,090 
     Total Agriculture   48,629 
Beverages - 1.2%       
 939   Brown-Forman Corp., Class B Shares   66,068 
 387   Constellation Brands Inc., Class A Shares   87,203 
 1,755   Keurig Dr Pepper Inc.   59,652 
 503   Molson Coors Beverage Co., Class B Shares   22,353 
 808   Monster Beverage Corp.*   67,694 
     Total Beverages   302,970 
Biotechnology - 1.0%       
 34   Alnylam Pharmaceuticals Inc.*   6,249 
 505   Amgen Inc.   100,434 
 116   Biogen Inc.*   27,346 
 93   BioMarin Pharmaceutical Inc.*   8,025 
 55   Exact Sciences Corp.*   4,695 
 236   Moderna Inc.*   83,173 
 87   Regeneron Pharmaceuticals Inc.*   55,378 
 40   Seagen Inc.*   6,400 
 33   United Therapeutics Corp.*   6,254 
     Total Biotechnology   297,954 
Commercial Services - 1.6%       
 210   Booz Allen Hamilton Holding Corp., Class A Shares   17,627 
 200   CoStar Group Inc.*   15,552 
 249   Global Payments Inc.   29,641 
 34   Herc Holdings Inc.   5,795 
 938   Nielsen Holdings PLC   17,972 
 809   PayPal Holdings Inc.*   149,576 
 207   S&P Global Inc.   94,336 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Shelter Fund (continued)

  

Shares/Units   Security  Value 
CONSUMER NON-CYCLICAL - 17.2% - (continued) 
Commercial Services - 1.6% - (continued)     
 86   Square Inc., Class A Shares*  $17,916 
 228   TransUnion   25,351 
     Total Commercial Services   373,766 
Food - 1.1%     
 676   Campbell Soup Co.   27,263 
 409   Hershey Co.   72,593 
 982   Hormel Foods Corp.   40,655 
 288   JM Smucker Co.   36,423 
 1,014   Kellogg Co.   62,037 
 676   McCormick & Co., Inc.   58,014 
 254   US Foods Holding Corp.*   7,981 
     Total Food   304,966 
Healthcare-Products - 3.8%     
 1,440   Abbott Laboratories   181,109 
 64   Align Technology Inc.*   39,138 
 356   Avantor Inc.*   14,055 
 525   Danaher Corp.   168,861 
 79   Hill-Rom Holdings Inc.   12,285 
 30   Insulet Corp.*   8,653 
 350   Intuitive Surgical Inc.*   113,519 
 1,308   Medtronic PLC   139,564 
 318   Thermo Fisher Scientific Inc.   201,240 
 277   Zimmer Biomet Holdings Inc.   33,129 
     Total Healthcare-Products   911,553 
Healthcare-Services - 1.7%     
 223   Anthem Inc.   90,589 
 88   Charles River Laboratories International Inc.*   32,197 
 38   ICON PLC*   10,278 
 38   Molina Healthcare Inc.*   10,837 
 689   UnitedHealth Group Inc.(a)   306,068 
     Total Healthcare-Services   449,969 
Household Products/Wares - 1.2%     
 1,126   Church & Dwight Co., Inc.   100,642 
 360   Clorox Co.   58,626 
 1,075   Kimberly-Clark Corp.   140,083 
     Total Household Products/Wares   299,351 
Pharmaceuticals - 5.4%       
 1,314   AbbVie Inc.   151,478 
 284   AmerisourceBergen Corp.   32,873 
 314   AstraZeneca PLC, ADR   17,217 
 289   Becton Dickinson & Co.   68,533 
 351   Cigna Corp.   67,357 
 1,049   CVS Health Corp.   93,424 
 78   Dexcom Inc.*   43,882 
 576   Eli Lilly & Co.   142,871 
 46   Jazz Pharmaceuticals PLC*   5,514 
 1,901   Johnson & Johnson(a)   296,423 
 222   McKesson Corp.   48,121 
 1,795   Merck & Co., Inc.   134,463 
 278   Novartis AG, ADR   22,157 
 123   Perrigo Co. PLC   4,515 
 3,894   Pfizer Inc.   209,225 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Shelter Fund (continued)

  

Shares/Units   Security  Value 
CONSUMER NON-CYCLICAL - 17.2% - (continued) 
Pharmaceuticals - 5.4% - (continued)     
 582   Teva Pharmaceutical Industries Ltd., ADR*  $4,802 
     Total Pharmaceuticals   1,342,855 
     TOTAL CONSUMER NON-CYCLICAL   4,332,013 
ENERGY - 2.7%        
Energy-Alternate Sources - 0.1%     
 104   Enphase Energy Inc.*   26,000 
           
Oil & Gas - 2.3%       
 402   Canadian Natural Resources Ltd.   16,410 
 639   Cenovus Energy Inc.   7,578 
 1,716   Chevron Corp.   193,685 
 125   Continental Resources Inc.   5,542 
 517   EOG Resources Inc.   44,979 
 3,451   Exxon Mobil Corp. (a)   206,508 
 227   HollyFrontier Corp.   7,337 
 827   Occidental Petroleum Corp.   24,520 
 225   Ovintiv Inc.   7,821 
 530   Phillips 66   36,660 
 153   Range Resources Corp.*   2,993 
 796   Suncor Energy Inc.   19,383 
     Total Oil & Gas   573,416 
Oil & Gas Services - 0.2%     
 584   NOV Inc.*   6,961 
 1,544   Schlumberger NV   44,282 
     Total Oil & Gas Services   51,243 
Pipelines - 0.1%        
 101   Cheniere Energy Inc.   10,586 
 277   Enbridge Inc.   10,399 
 159   Targa Resources Corp.   8,209 
 205   TC Energy Corp.   9,616 
     Total Pipelines   38,810 
     TOTAL ENERGY   689,469 
FINANCIAL - 14.5%     
Banks - 4.9%       
 1,887   Banco Bradesco SA, ADR   6,642 
 5,727   Bank of America Corp. (a)   254,680 
 134   Bank of Montreal   13,945 
 100   Canadian Imperial Bank of Commerce   11,147 
 1,808   Citigroup Inc.   115,170 
 1,765   First Horizon Corp.   28,469 
 321   Goldman Sachs Group Inc.   122,298 
 373   ICICI Bank Ltd., ADR   6,886 
 1,802   Itau Unibanco Holding SA, ADR   7,064 
 2,268   JPMorgan Chase & Co. (a)   360,226 
 1,173   Morgan Stanley   111,224 
 538   Northern Trust Corp.   62,247 
 30   Signature Bank   9,069 
 2,996   Wells Fargo & Co.   143,149 
     Total Banks   1,252,216 
Diversified Financial Services - 3.2%     
 684   American Express Co.   104,173 
 332   Ameriprise Financial Inc.   96,147 
 1,291   Charles Schwab Corp.   99,910 
 8   Credit Acceptance Corp.*   4,999 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Shelter Fund (continued)

  

Shares/Units   Security  Value 
FINANCIAL - 14.5% - (continued) 
Diversified Financial Services - 3.2% - (continued)     
 82   Evercore Inc., Class A Shares  $11,373 
 245   Jefferies Financial Group Inc.   9,207 
 619   Mastercard Inc., Class A Shares(a)   194,935 
 345   Nasdaq Inc.   70,114 
 1,206   Visa Inc., Class A Shares(a)   233,687 
 121   XP Inc., Class A Shares*   3,470 
     Total Diversified Financial Services   828,015 
Equity Real Estate Investment Trusts (REITs) - 2.6%     
 620   American Homes 4 Rent, Class A Shares   24,856 
 1,743   Annaly Capital Management Inc.   14,118 
 470   AvalonBay Communities Inc.   112,269 
 235   Camden Property Trust   38,824 
 397   Equity LifeStyle Properties Inc.   32,276 
 759   Equity Residential   64,750 
 1,702   Invitation Homes Inc.   68,829 
 963   Medical Properties Trust Inc.   20,502 
 359   Mid-America Apartment Communities Inc.   74,044 
 148   Orion Office REIT Inc.*   2,630 
 1,487   Realty Income Corp.   100,997 
 195   Sun Communities Inc.   36,773 
 790   VICI Properties Inc.   21,488 
 422   WP Carey Inc.   32,220 
     Total Equity Real Estate Investment Trusts (REITs)   644,576 
Insurance - 3.4%       
 1,554   Aflac Inc.   84,134 
 200   Aon PLC, Class A Shares   59,154 
 545   Arch Capital Group Ltd.*   22,007 
 416   Arthur J Gallagher & Co.   67,766 
 188   Assurant Inc.   28,595 
 1,369   Berkshire Hathaway Inc., Class B Shares*(a)   378,789 
 623   Brown & Brown Inc.   40,127 
 305   Fidelity National Financial Inc.   14,918 
 1,275   Manulife Financial Corp.   22,886 
 19   Markel Corp.*   22,702 
 100   RenaissanceRe Holdings Ltd.   15,411 
 384   Unum Group   8,870 
 249   Voya Financial Inc.   15,473 
 693   WR Berkley Corp.   53,112 
     Total Insurance   833,944 
Private Equity - 0.3%       
 108   Blackstone Inc.   15,277 
 282   Brookfield Asset Management Inc., Class A Shares   15,840 
 222   KKR & Co., Inc.   16,528 
     Total Private Equity   47,645 
Real Estate - 0.0%       
 50   Jones Lang LaSalle Inc.*   11,746 
           
Savings & Loans - 0.1%     
 875   New York Community Bancorp Inc.   10,483 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Shelter Fund (continued)

  

Shares/Units   Security  Value 
FINANCIAL - 14.5% - (continued) 
Savings & Loans - 0.1% - (continued)     
 1,580   People's United Financial Inc.  $26,923 
     Total Savings & Loans   37,406 
     TOTAL FINANCIAL   3,655,548 
INDUSTRIAL - 7.9%     
Aerospace/Defense - 0.8%     
 532   Boeing Co.*   105,256 
 570   General Dynamics Corp.   107,713 
     Total Aerospace/Defense   212,969 
Building Materials - 0.4%     
 64   Lennox International Inc.   19,777 
 118   Louisiana-Pacific Corp.   7,711 
 166   Martin Marietta Materials Inc.   66,983 
     Total Building Materials   94,471 
Electrical Components & Equipment - 0.4%     
 31   Acuity Brands Inc.   6,242 
 456   AMETEK Inc.   62,244 
 55   Generac Holdings Inc.*   23,168 
     Total Electrical Components & Equipment   91,654 
Electronics - 0.9%     
 1,159   Amphenol Corp., Class A Shares   93,392 
 270   Sensata Technologies Holding PLC*   15,039 
 460   Trimble Inc.*   39,500 
 154   Waters Corp.*   50,523 
     Total Electronics   198,454 
Engineering & Construction - 0.1%     
 407   AECOM*   28,059 
           
Environmental Control - 0.6%     
 694   Republic Services Inc.   91,789 
 324   Waste Connections Inc.   43,111 
     Total Environmental Control   134,900 
Machinery-Construction & Mining - 0.4%     
 555   Caterpillar Inc.   107,309 
           
Machinery-Diversified - 1.2%     
 78   AGCO Corp.   8,596 
 197   Colfax Corp.*   9,149 
 239   Deere & Co.   82,584 
 318   Dover Corp.   52,104 
 371   Graco Inc.   27,042 
 198   IDEX Corp.   44,469 
 167   Rockwell Automation Inc.   56,145 
 376   Xylem Inc.   45,537 
     Total Machinery-Diversified   325,626 
Miscellaneous Manufacturers - 1.3%    
 928   3M Co.   157,797 
 166   Carlisle Cos. Inc.   37,383 
 999   General Electric Co.   94,895 
 487   Textron Inc.   34,480 
     Total Miscellaneous Manufacturers   324,555 
Packaging & Containers - 0.2%     
 156   Crown Holdings Inc.   16,505 
 253   Packaging Corp. of America   33,039 
     Total Packaging & Containers   49,544 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Shelter Fund (continued)

  

Shares/Units   Security  Value 
INDUSTRIAL - 7.9% - (continued) 
Shipbuilding - 0.1% 
 162   Huntington Ingalls Industries Inc.  $28,757 
           
Transportation - 1.5%     
 95   Canadian National Railway Co.   12,024 
 251   Canadian Pacific Railway Ltd.   17,578 
 148   Old Dominion Freight Line Inc.   52,565 
 646   Union Pacific Corp.   152,224 
 675   United Parcel Service Inc., Class B Shares   133,900 
 118   XPO Logistics Inc.*   8,548 
     Total Transportation   376,839 
     TOTAL INDUSTRIAL   1,973,137 
TECHNOLOGY - 24.9%     
Computers - 8.1%       
 558   Accenture PLC, Class A Shares   199,429 
 10,164   Apple Inc.(a)   1,680,109 
 76   Check Point Software Technologies Ltd.*   8,459 
 594   Dell Technologies Inc., Class C Shares*   33,543 
 25   EPAM Systems Inc.*   15,214 
 809   International Business Machines Corp.   94,734 
 138   Kyndryl Holdings Inc.*   2,180 
     Total Computers   2,033,668 
Semiconductors - 6.6%     
 824   Advanced Micro Devices Inc.*   130,497 
 803   Applied Materials Inc.   118,194 
 23   ASML Holding NV, Class Registered Shares   18,205 
 357   Broadcom Inc.   197,664 
 99   Entegris Inc.   14,462 
 2,964   Intel Corp.   145,829 
 124   Lam Research Corp.   84,301 
 181   Marvell Technology Inc.   12,882 
 885   Micron Technology Inc.   74,340 
 1,633   NVIDIA Corp.(a)   533,599 
 266   NXP Semiconductors NV   59,414 
 285   ON Semiconductor Corp.*   17,507 
 834   QUALCOMM Inc.   150,587 
 147   Taiwan Semiconductor Manufacturing Co., Ltd., ADR   17,221 
 237   Xilinx Inc.   54,143 
     Total Semiconductors   1,628,845 
Software - 10.2%       
 601   Activision Blizzard Inc.   35,219 
 373   Adobe Inc.*(a)   249,854 
 136   Black Knight Inc.*   9,720 
 482   Fidelity National Information Services Inc.   50,369 
 232   Intuit Inc.   151,334 
 4,845   Microsoft Corp.(a)   1,601,708 
 1,201   Oracle Corp.   108,979 
 681   salesforce.com Inc.*(a)   194,058 
 77   SAP SE, ADR   9,890 
 166   ServiceNow Inc.*   107,518 
 137   SS&C Technologies Holdings Inc.   10,457 
 27   Twilio Inc., Class A Shares*   7,726 
 113   Veeva Systems Inc., Class A Shares*   31,931 
 140   VMware Inc., Class A Shares   16,344 
 49   Workday Inc., Class A Shares*   13,437 

 

 

 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Shelter Fund (continued)

  

Shares/Units   Security  Value 
TECHNOLOGY - 24.9% - (continued) 
Software - 10.2% - (continued)     
 24   Zoom Video Communications Inc., Class A Shares*  $5,074 
     Total Software   2,603,618 
     TOTAL TECHNOLOGY   6,266,131 
UTILITIES - 2.4%       
Electric - 2.4%       
 962   Alliant Energy Corp.   52,708 
 926   Ameren Corp.   75,553 
 1,605   American Electric Power Co., Inc.   130,085 
 1,125   Consolidated Edison Inc.   87,345 
 892   DTE Energy Co.   96,639 
 2,149   PPL Corp.   59,807 
 1,425   Xcel Energy Inc.   90,815 
     Total Electric   592,952 
     TOTAL UTILITIES   592,952 
     TOTAL COMMON STOCKS
(Cost - $24,662,925)
   24,567,586 

  

 Number of Contracts    Notional
Amounts
         
PURCHASED OPTIONS - 1.6%         
Index Options - 1.6%          
 18    8,220,600   S&P 500 Index Options, Put, 4,090.00, expires 12/31/21   48,780 
 18    8,220,600   S&P 500 Index Options, Put, 4,350.00, expires 1/31/22   167,850 
 17    7,763,900   S&P 500 Index Options, Put, 4,350.00, expires 2/28/22   207,910 
          TOTAL PURCHASED OPTIONS
(Cost - $397,612)
   424,540 
          TOTAL INVESTMENTS - 99.3%
(Cost - $25,060,537)
   24,992,126 
          Other Assets in Excess of Liabilities – 0.7%   166,455 
          TOTAL NET ASSETS - 100.0%  $25,158,581 

 

 

*Non-income producing security.
(a)All or a portion of this security is pledged by the Fund as collateral for short sales or derivative transactions.

 

Abbreviations used in this schedule:
ADR American Depositary Receipts
PLC Public Limited Company
REIT Real Estate Investment Trust

 

 
 

 

Schedules of Investments

November 30, 2021 (unaudited)

 

Destinations Shelter Fund (concluded)

  

Summary of Investments by Security Sector^
Technology   25.1%
Consumer Non-Cyclical   17.3 
Communications   15.7 
Financial   14.6 
Consumer Cyclical   10.5 
Industrial   7.9 
Energy   2.8 
Utilities   2.4 
Basic Materials   2.0 
Purchased Options   1.7 
    100.0%

 

 

^ As a percentage of total investments.  

 

Schedule of Options Contracts Written

Index Options

 

Number of
Contracts
   Notional
Amount
   Security Name  Counterparty   Expiration
Date
  Exercise
Rate
   Value 
18   8,220,600   S&P 500 Index Options  MSC   12/31/21  $3,450.00   $12,870 
9   4,110,300   S&P 500 Index Options  MSC   12/31/21   4,450.00    179,460 
18   8,220,600   S&P 500 Index Options  MSC   1/31/22   3,675.00    44,910 
9   4,110,300   S&P 500 Index Options  MSC   1/31/22   4,735.00    56,610 
17   7,763,900   S&P 500 Index Options  MSC   2/28/22   3,675.00    64,770 
9   4,110,300   S&P 500 Index Options  MSC   2/28/22   4,765.00    72,270 
        TOTAL OPTIONS CONTRACTS WRITTEN                 
        (Premiums received — $430,727)              $430,890 

 

Counterparty Abbreviations used in this schedule:
MSC Morgan Stanley

 

 

 

 

Ratings (unaudited)

 

The definitions of the applicable rating symbols are set forth below:

 

Standard & Poor’s Ratings Service (“Standard & Poor’s”) — Ratings from “AA” to “CCC” may be modified by the addition of a plus (+) or minus (-) sign to show relative standings within the major rating categories.

 

AAA — Bonds rated “AAA” have the highest rating assigned by Standard & Poor’s. Capacity to pay interest and repay principal is extremely strong.

 

AA — Bonds rated “AA” have a very strong capacity to pay interest and repay principal and differ from the highest rated issues only in a small degree.

 

A — Bonds rated “A” have a strong capacity to pay interest and repay principal although they are somewhat more susceptible to the adverse effects of changes in circumstances and economic conditions than debt in higher rated categories.

 

BBB — Bonds rated “BBB” are regarded as having an adequate capacity to pay interest and repay principal. Whereas they normally exhibit adequate protection parameters, adverse economic conditions or changing circumstances are more likely to lead to a weakened capacity to pay interest and repay principal for bonds in this category than in higher rated categories.

 

BB, B, CCC, CC and C — Bonds rated “BB”, “B”, “CCC”, “CC” and “C” are regarded, on balance, as predominantly speculative with respect to capacity to pay interest and repay principal in accordance with the terms of the obligation. “BB” represents the lowest degree of speculation and “C” the highest degree of speculation. While such bonds will likely have some quality and protective characteristics, these are outweighed by large uncertainties or major risk exposures to adverse conditions.

 

D — Bonds rated “D” are in default and payment of interest and/or repayment of principal is in arrears.

 

P — Preliminary rating.

 

u — The upgrade state defines bonds that have recently been upgraded into higher rating categories.

 

Moody’s Investors Service (“Moody’s”) — Numerical modifiers 1, 2 and 3 may be applied to each generic rating from “Aa” to “Caa,” where 1 is the highest and 3 the lowest ranking within its generic category.

 

Aaa — Bonds rated “Aaa” are judged to be of the best quality. They carry the smallest degree of investment risk and are generally referred to as “gilt edge.” Interest payments are protected by a large or by an exceptionally stable margin and principal is secure. While the various protective elements are likely to change, such changes as can be visualized are most unlikely to impair the fundamentally strong position of such issues.

 

Aa — Bonds rated “Aa” are judged to be of high quality by all standards. Together with the “Aaa” group they comprise what are generally known as high grade bonds. They are rated lower than the best bonds because margins of protection may not be as large as in “Aaa” securities or fluctuation of protective elements may be of greater amplitude or there may be other elements present which make the long-term risks appear somewhat larger than in “Aaa” securities.

 

A — Bonds rated “A” possess many favorable investment attributes and are to be considered as upper medium grade obligations. Factors giving security to principal and interest are considered adequate but elements may be present which suggest a susceptibility to impairment some time in the future.

 

 

 

 

Ratings (unaudited) (continued)

 

Baa — Bonds rated “Baa” are considered as medium grade obligations, i.e., they are neither highly protected nor poorly secured. Interest payments and principal security appear adequate for the present but certain protective elements may be lacking or may be characteristically unreliable over any great length of time. Such bonds lack outstanding investment characteristics and in fact have speculative characteristics as well.

 

Ba — Bonds rated “Ba” are judged to have speculative elements; their future cannot be considered as well assured. Often the protection of interest and principal payments may be very moderate and therefore not well safeguarded during both good and bad times over the future. Uncertainty of position characterizes bonds in this class.

 

B — Bonds rated “B” generally lack characteristics of desirable investments. Assurance of interest and principal payments or of maintenance of other terms of the contract over any long period of time may be small.

 

Caa — Bonds rated “Caa” are of poor standing. These may be in default, or present elements of danger may exist with respect to principal or interest.

 

Ca — Bonds rated “Ca” represent obligations which are speculative in a high degree. Such issues are often in default or have other marked short-comings.

 

C — Bonds rated “C” are the lowest class of bonds and issues so rated can be regarded as having extremely poor prospects of ever attaining any real investment standing.

 

e — Expected.

 

u — Upgraded.

 

Fitch Ratings Service (“Fitch”) — Ratings from “AA” to “CCC” may be modified by the addition of a plus (+) or minus (-) sign to show relative standings within the major rating categories.

 

AAA — Bonds rated “AAA” have the highest rating assigned by Fitch. Capacity to pay interest and repay principal is extremely strong.

 

AAApre — Stable Outlook rating is based on the pledge of securities in the escrow deposit fund securing the bonds and reflects the lien of the refunded bondholders on the escrow trust funds and that all amounts have been invested in direct non-callable obligations of the United States.

 

AA — Bonds rated “AA” have a very strong capacity to pay interest and repay principal and differ from the highest rated issues only in a small degree.

 

A — Bonds rated “A” have a strong capacity to pay interest and repay principal although they are somewhat more susceptible to the adverse effects of changes in circumstances and economic conditions than debt in higher rated categories.

 

BBB — Bonds rated “BBB” are regarded as having an adequate capacity to pay interest and repay principal. Whereas they normally exhibit adequate protection parameters, adverse economic conditions or changing circumstances are more likely to lead to a weakened capacity to pay interest and repay principal for bonds in this category than in higher rated categories.

 

BB, B, CCC, CC and C — Bonds rated “BB”, “B”, “CCC”, “CC” and “C” are regarded, on balance, as predominantly speculative with respect to capacity to pay interest and repay principal in accordance with the terms of the obligation. “BB” represents a lower degree of speculation than “B”, and “CC” the highest degree of speculation. While such bonds will likely have some quality and protective characteristics, these are outweighed by large uncertainties or major risk exposures to adverse conditions.

 

 

 

 

Ratings (unaudited) (concluded)

 

D — Bonds rated “D” are in default and payment of interest and/or repayment of principal is in arrears.

 

NR — Indicates that the bond is not rated by Standard & Poor’s, Moody’s, or Fitch.

 

WD, WR — Indicates that the bonds rating has been withdrawn and the issuer is no longer rated by Standard & Poor’s, Moody’s or Fitch.

 

Short-Term Security Ratings

 

SP-1 — Standard & Poor’s highest rating indicating very strong or strong capacity to pay principal and interest; those issues determined to possess overwhelming safety characteristics are denoted with a plus (+) sign.

 

A-1 — Standard & Poor’s highest commercial paper and variable-rate demand obligation (VRDO) rating indicating that the degree of safety regarding timely payment is either overwhelming or very strong; those issues determined to possess overwhelming safety characteristics are denoted with a plus (+) sign.

 

VMIG 1 — Moody’s highest rating for issues having a demand feature — VRDO.

 

MIG1 — Moody’s highest rating for short-term municipal obligations.

 

P-1 — Moody’s highest rating for commercial paper and for VRDO prior to the advent of the VMIG 1 rating.

 

F-1 — Fitch’s highest rating indicating the strongest capacity for timely payment of financial commitments; those issues determined to possess overwhelming strong credit feature are denoted with a plus (+) sign.

 

F-2 — Fitch’s rating indicating a good capacity for timely payment of financial commitments.

 

 

 

 

Notes to Financial Statements

November 30, 2021 (unaudited)

 

1. Organization

 

Brinker Capital Destinations Trust (“Trust”) is organized as a Delaware statutory trust and registered under the Investment Company Act of 1940, as amended (“1940 Act”), as an open-end management investment company. The Trust currently consists of Destinations Large Cap Equity Fund, Destinations Small-Mid Cap Equity Fund, Destinations International Equity Fund, Destinations Equity Income Fund, Destinations Core Fixed Income Fund, Destinations Low Duration Fixed Income Fund, Destinations Global Fixed Income Opportunities Fund, Destinations Municipal Fixed Income Fund and Destinations Multi Strategy Alternatives Fund (individually, a “Fund” and collectively, the “Funds”). Each Fund currently offers two classes of shares designated as Class I and Class Z shares. Class Z commenced operations on July 16, 2018.

 

Brinker Capital Investments, LLC (“Brinker Capital” or the “Adviser”), serves as the investment adviser for the Funds. The Funds employ a multimanager strategy. The Adviser selects and oversees professional money managers (each a “Sub-adviser”) who are responsible for investing the assets of the Funds allocated to them.

 

2. Investment valuation

 

Equity securities for each Fund for which market quotations are readily available and are traded on an exchange are valued at the closing sale price or official closing price on the exchange on which such security is principally traded. In the event there are no sales that day, such securities are valued at the bid price. For equity securities that are primarily traded on foreign exchanges, these values are converted to U.S. dollars using the current exchange rates as of the close of the New York Stock Exchange (“NYSE”).

 

Futures contracts are valued at the settlement price in the market where such contracts are principally traded. Foreign currency forward contracts are valued at the current Business Day’s interpolated foreign exchange rate, as calculated using the current day’s spot rate, and the thirty, sixty, ninety and one-hundred eighty day forward rates provided by an independent source.

 

Portfolio securities traded in the over-the-counter market for which market quotations are readily available are valued at the last sales price that day. In the event there are no sales that day, such securities are valued at the bid price. Investments in registered open-end management investment companies are valued at reported net asset value per share.

 

Securities pledged by the Funds as collateral, if any, are identified as such in the Schedules of Investments.

 

Debt obligations that will mature in 60 days or less are valued at amortized cost, which approximates market value. Debt obligations that will mature in more than 60 days are valued using valuations furnished by an approved third-party pricing service; such valuations are determined by the third-party pricing service based upon its analysis of a variety of factors, including transactions in debt obligations, quotations from bond dealers, market transactions in comparable securities and its analysis of various relationships between securities, prices or yields of securities with similar characteristics, benchmark curves or information pertaining to the issuer, as well as industry and economic events.

 

The Board of Trustees (the “Board”) has ultimate responsibility for ensuring the Funds’ investments are valued appropriately. The Board has delegated primary responsibility for determining or causing to be determined the value of the Funds’ investments (including any fair valuation) to the Adviser pursuant to valuation policies and procedures approved by the Board. When market quotations are not readily available or are determined to be unreliable, investments are valued at fair value as determined in good faith by the valuation committee established by the Adviser in accordance with such procedures under the oversight of the Board. Circumstances that may indicate that market quotations are not readily available or are unreliable include, but are not limited to, such instances when the value of a security has been significantly affected by events after the close of the exchange or market on which the security is principally traded, and before the applicable Fund calculates its Net Asset Value (“NAV”).

 

Each business day, the Funds use a Board-approved third-party pricing service to assist with the valuation of foreign equity securities. Events occurring after the close of trading on foreign exchanges may result in adjustments to the valuation of foreign securities to reflect market trading that occurs after the close of the applicable foreign markets of comparable securities or other instruments that have a strong correlation to the fair-valued securities to more accurately reflect their fair value as of the close of regular trading on the NYSE.

 

 

 

 

The Funds disclose the fair value of their investments in a hierarchy that prioritizes the inputs to valuation techniques used to measure the fair value. The hierarchy prioritizes inputs to valuation methods and requires disclosure of the fair value hierarchy, separately for each major category of assets and liabilities that segregates fair value measurements into levels (Level 1, 2, and 3). The three levels of the fair value hierarchy are as follows:

 

Level 1—unadjusted quoted prices in active markets for identical securities.

 

Level 2—significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.)

 

Level 3—significant unobservable inputs (including assumptions made by the Board or persons acting at their direction that are used in determining the fair value of investments.)

 

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. The following are certain inputs and techniques that the Funds generally use to evaluate how to classify each major category of assets and liabilities in accordance with GAAP.

 

Fixed income securities including corporate, convertible and municipal bonds and notes, U.S. government agencies, U.S. treasury obligations, sovereign bonds, bank loans, convertible preferred securities and non-U.S. bonds are normally valued by third-party pricing service providers that use broker quotations, reported trades or valuation estimates from their internal pricing models. The service providers’ internal models use inputs that are observable such as issuer details, interest rates, yield curves, prepayment speeds, credit risks/spreads, default rates and quoted prices for similar assets. Securities that use similar valuation techniques and inputs as described above are categorized as Level 2 of the fair value hierarchy. To the extent that these inputs are significant and unobservable, the values are categorized as Level 3 of the fair value hierarchy.

 

Mortgage-related and asset-backed securities are usually issued as separate tranches, or classes, of securities within each deal. These securities are also normally valued by third-party pricing service providers that use broker-dealer quotations or valuation estimates from their internal pricing models. The pricing models for these securities usually consider tranche-level attributes, current market data, estimated cash flows and market-based yield spreads for each tranche, and incorporate deal collateral performance, as available. Mortgage-related and asset-backed securities and the related forward sales commitments that use similar valuation techniques and inputs as described above are categorized as Level 2 of the fair value hierarchy. To the extent that these inputs are significant and unobservable, the values are categorized as Level 3 of the fair value hierarchy.

 

Common stocks, preferred stocks, rights, warrants, exchange-traded funds and financial derivative instruments, such as futures contracts or options contracts that are traded on a national securities exchange, are categorized as Level 1 of the fair value hierarchy, to the extent these securities are actively traded and valuation adjustments are not applied.

 

Valuation adjustments may be applied to certain securities that are solely traded on a foreign exchange to account for the market movement between the close of the foreign market and the NYSE close. Securities using these valuation adjustments are categorized as Level 2 of the fair value hierarchy. Preferred securities and other equities traded on inactive markets or valued by reference to similar instruments are also categorized as Level 2 of the fair value hierarchy.

 

Investments in registered open-end investment management companies are valued based upon the NAVs of such investments on the valuation date and are categorized as Level 1 of the fair value hierarchy.

 

Short-term investments having a maturity of 60 days or less are generally valued at amortized cost which approximates fair market value. These investments are categorized as Level 2 of the fair value hierarchy.

 

Over-the-counter financial derivative instruments, such as forward foreign currency contracts, derive their value from underlying asset prices, indices, reference rates, and other inputs or a combination of these factors. These contracts are normally valued on the basis of broker dealer quotations or by third-party pricing service providers. Depending on the product and the terms of the transaction, the value of financial derivatives can be estimated by a third-party pricing service provider using a series of techniques, including simulation pricing models. The pricing models use inputs that are observed from actively quoted markets such as issuer details, indices, spreads, interest rates, yield curves, dividends and exchange rates. Financial derivatives that use similar valuation techniques and inputs as described above are categorized as Level 2 of the fair value hierarchy. To the extent that these inputs are significant and unobservable, the values are categorized as Level 3 of the fair value hierarchy.

 

 

 

 

Centrally cleared swaps listed or traded on the multilateral or trade facility platform, such as a registered exchange, are valued at the daily settlement price determined by the respective exchange. For centrally cleared credit default swaps, the clearing facility requires its members to provide actionable levels across complete term structures. These levels along with external third party prices are used to produce daily settlement prices. Centrally cleared interest rate swaps are valued using a pricing model that references the underlying rates including the overnight index swap rate and London Interbank Offered Rate (“LIBOR”) forward rate to produce the daily settlement price. These securities are categorized as Level 2 of the fair value hierarchy.

 

In some instances, the inputs used to measure fair value might fall in different levels of the fair value hierarchy. The level in the fair value hierarchy within which the fair value measurement in its entirety falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. Because of the inherent uncertainties of valuation, the values reflected in the financial statements may materially differ from the value received upon actual sale of those investments.

 

 

 

 

 

The following table summarizes the valuation of each Fund’s assets and liabilities using the fair value hierarchy:

 

   Total Fair Value at
November 30, 2021
   Unadjusted Quoted
Prices
in Active Markets
for Identical
Investments
(Level 1)
   Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
 
Destinations Large Cap Equity Fund                    
Investments, at value                    
Common Stocks:                    
Basic Materials  $58,944,274   $58,944,274   $   $ 
Communications   1,177,245,131    1,177,245,131         
Consumer Cyclical   432,526,142    359,710,206    72,815,936     
Consumer Non-cyclical   1,174,494,495    1,174,494,495         
Energy   176,064,014    176,064,014         
Financial   651,755,207    649,398,157        2,357,050 
Industrial   332,461,168    332,461,168         
Technology   1,096,074,105    1,090,462,257        5,611,848 
Utilities   114,097,546    114,097,546         
Preferred Stocks   12,536,950            12,536,950 
Short-Term Investments:                    
Time Deposits   93,198,321        93,198,321     
Money Market Fund   9,444,879    9,444,879         
Total Investments, at value  $5,328,842,232   $5,142,322,127   $166,014,257   $20,505,848 
Other Financial Instruments - Assets                    
Futures Contract  $41,957   $41,957   $   $ 
Total Other Financial Instruments - Assets  $41,957   $41,957   $   $ 

 

   Total Fair Value at
November 30, 2021
   Unadjusted Quoted
Prices
in Active Markets
for Identical
Investments
(Level 1)
   Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
 
Destinations Small-Mid Cap Equity Fund                    
Investments, at value                    
Common Stocks  $1,303,755,662   $1,303,755,662   $   $          – 
Exchange Traded Funds (ETFs)   44,590,954    44,590,954         
Short-Term Investments:                    
Time Deposits   41,578,503        41,578,503     
Money Market Fund   71,074,582    71,074,582         
Total Investments, at value  $1,460,999,701   $1,419,421,198   $41,578,503   $ 

 

 

 

 

   Total Fair Value at
November 30, 2021
   Unadjusted Quoted
Prices
in Active Markets
for Identical
Investments
(Level 1)
   Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
 
Destinations Equity Income Fund                    
Investments, at value                    
Common Stocks:                    
Basic Materials  $15,311,017   $9,295,050   $6,015,967   $ 
Communications   30,141,478    15,225,460    14,916,018              – 
Consumer Cyclical   28,979,730    21,495,376    7,484,354     
Consumer Non-cyclical   94,197,324    71,257,187    22,940,137     
Energy   39,948,352    28,673,466    11,274,886     
Financial   75,337,229    53,907,272    21,429,957     
Industrial   25,292,151    12,638,946    12,653,205     
Technology   23,649,218    17,226,208    6,423,010     
Utilities   39,889,951    33,948,026    5,941,925     
Exchange Traded Funds (ETFs)   44,283,350    44,283,350         
Convertible Preferred Stocks   6,584,630    6,584,630         
Short-Term Investments:                    
Time Deposits   9,629,495        9,629,495     
Money Market Fund   59,840    59,840         
Total Investments, at value  $433,303,765   $314,594,811   $118,708,954   $ 

 

 

 

 

   Total Fair Value at
November 30, 2021
   Unadjusted Quoted
Prices
in Active Markets
for Identical
Investments
(Level 1)
   Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
 
Destinations International Equity Fund                    
Investments, at value                    
Common Stocks:                    
Australia  $14,090,820   $   $14,090,820   $ 
Austria   2,403,261        2,403,261         – 
Bermuda   2,952,704    1,293,139    1,659,565     
Brazil   30,548,183    6,624,982    23,923,201     
Canada   65,404,566    10,470,399    54,934,167     
China   190,939,294    39,244,915    151,694,379     
Colombia   7,279,255    7,279,255         
Cyprus   4,379,210        4,379,210     
Denmark   21,102,060        21,102,060     
Egypt   6,893,975        6,893,975     
Finland   23,649,666        23,649,666     
France   229,684,010        229,684,010     
Germany   133,761,716        133,761,716     
Greece   4,296,321        4,296,321     
Hong Kong   71,631,226    1,601,767    70,029,459     
Hungary   6,464,238        6,464,238     
India   218,533,624        217,673,982    859,642 
Indonesia   20,279,556        20,279,556     
Ireland   24,206,724    3,861,271    20,345,453     
Israel   16,543,604    2,244,813    14,298,791     
Italy   40,526,801        40,526,801     
Japan   394,361,407        394,361,407     
Jersey, Channel Islands   11,326,554        11,326,554     
Malaysia   2,756,589        2,756,589     
Mexico   27,987,018        27,987,018     
Netherlands   76,048,121    4,744,644    71,303,477     
Norway   16,737,356        16,737,356     
Peru   2,353,982    2,353,982         
Philippines   9,092,734        9,092,734     
Poland   3,566,156        3,566,156     
Portugal   13,432,616        13,432,616     
Russia   44,722,165    31,398,298    13,323,867     
Singapore   23,758,757        23,758,757     
South Africa   15,616,017        15,616,017     
South Korea   81,178,146        81,178,146     
Spain   8,976,893        8,976,893     
Sweden   52,551,157    676,442    51,874,715     
Switzerland   157,642,343        157,642,343     
Taiwan   100,600,265    45,556,355    55,043,910     
Thailand   11,972,940        11,972,940     
United Arab Emirates   3,726,561        3,726,561     
United Kingdom   289,539,048    8,345,674    281,189,254    4,120 
United States   63,713,173    59,910,947    1,479,182    2,323,044 
Exchange Traded Fund (ETF)   11,241,117    11,241,117         
Warrant   105,014    105,014         
Right   228,367        228,367     
Preferred Stocks   54,533            54,533 
Short-Term Investments:                    
Time Deposits   100,117,964        100,117,964     
Money Market Fund   50,005,116    50,005,116         
Total Investments, at value  $2,708,982,923   $286,958,130   $2,418,783,454   $3,241,339 

 

 

 

 

 

   Total Fair Value at
November 30, 2021
   Unadjusted Quoted
Prices
in Active Markets
for Identical
Investments
(Level 1)
   Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
 
Destinations Core Fixed Income Fund                    
Investments, at value                    
Corporate Bonds & Notes  $593,489,815   $   $593,489,815   $ 
Collateralized Mortgage Obligations   545,977,536        545,977,536     
U.S. Government Agencies & Obligations   502,609,147        502,609,147     
Mortgage-Backed Securities   475,547,409        475,547,409     
Asset-Backed Securities   217,994,735        217,994,735     
Sovereign Bonds   38,016,514        38,016,514     
Senior Loans   27,198,379        27,198,379     
Municipal Bonds   1,993,143        1,993,143     
Exchange Traded Fund (ETF)   19,395,097    19,395,097         
Common Stocks:                    
Diversified   32,924        32,924     
Energy   82,738    74,596    8,142     
Industrial   1,732    1,732         
Short-Term Investments:                    
Time Deposits   42,409,000        42,409,000     
U.S. Government Obligation   569,763        569,763     
Total Investments, at value  $2,465,317,932   $19,471,425   $2,445,846,507   $ 
Other Financial Instruments - Assets                    
Futures Contracts  $364,093   $364,093   $   $ 
Total Other Financial Instruments - Assets  $364,093   $364,093   $   $ 
Other Financial Instruments - Liabilities                    
Forward Sale Commitments  $(9,265,000)  $   $(9,265,000)  $ 
Futures Contracts   (1,327,685)   (1,327,685)              – 
OTC Credit Default Swaps   (19,404)       (19,404)    
Total Other Financial Instruments - Liabilities  $(10,612,089)  $(1,327,685)  $(9,284,404)  $ 

 

   Total Fair Value at
November 30, 2021
   Unadjusted Quoted
Prices
in Active Markets
for Identical
Investments
(Level 1)
   Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
 
Destinations Low Duration Fixed Income Fund                    
Investments, at value                    
Corporate Bonds & Notes  $295,273,500       $295,273,500   $ 
Senior Loans   93,113,651        84,667,632    8,446,019 
Asset-Backed Securities   32,185,879        32,185,879     
Collateralized Mortgage Obligations   23,218,812        23,218,812     
Municipal Bonds   4,381,118        4,381,118     
Mortgage-Backed Securities   2,697,727        2,697,727     
Sovereign Bonds   2,205,962        2,205,962     
Common Stocks:                    
Diversified   50,667,505    49,378,524    1,288,981     
Energy   129,522        129,522     
Financial   3,499,971    3,499,971         
Exchange Traded Fund (ETF)   34,693,581    34,693,581         
Preferred Stock   3,627,414    3,627,414         
Warrant   1,618    1,618         
Short-Term Investments:                    
Time Deposits   31,289,582        31,289,582     
U.S. Government Obligation   6,549,728        6,549,728     
Money Market Fund   4,985,560    4,985,560         
Total Investments, at value  $588,521,130   $96,186,668   $483,888,443   $8,446,019 
Other Financial Instruments - Assets                    
Forward Foreign Currency Contracts  $802,664   $   $802,664   $ 
Total Other Financial Instruments - Assets  $802,664   $   $802,664   $ 
Other Financial Instruments - Liabilities                    
Forward Foreign Currency Contract  $(890)  $   $(890)  $ 
Total Other Financial Instruments - Liabilities  $(890)  $   $(890)  $ 

 

 

 

 

   Total Fair Value at
November 30, 2021
   Unadjusted Quoted
Prices
in Active Markets
for Identical
Investments
(Level 1)
   Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
 
Destinations Global Fixed Income Opportunities Fund                    
Investments, at value                    
Corporate Bonds & Notes                    
Australia  $1,438,138   $           –   $1,438,138   $          – 
Bermuda   4,600,154        4,600,154     
Brazil   8,966,990        8,966,990     
British Virgin Islands   3,270,781        3,270,781     
Canada   26,910,967        26,910,967     
Cayman Islands   35,003,426        35,003,426     
Chile   30,716,886        30,716,886     
Colombia   12,770,685        12,770,685     
Denmark   1,702,299        1,702,299     
Dominican Republic   1,146,761        1,146,761     
France   2,270,666        2,270,666     
Germany   8,195,699        8,195,699     
Hong Kong   491,229        491,229     
India   7,591,850        7,591,850     
Indonesia   3,304,176        3,304,176     
Italy   9,743,013        9,743,013     
Jersey, Channel Islands   7,270,632        7,270,632     
Luxembourg   1,618,313        1,618,313     
Malaysia   16,443,011        16,443,011     
Mexico   5,765,212        5,765,212     
Multinational   8,232,622        8,232,622     
Netherlands   5,988,663        5,988,663     
Norway   15,951,987        15,951,987     
Panama   5,482,373        5,482,373     
Paraguay   927,447        927,447     
Peru   20,842,263        20,842,263     
Portugal   *           *
Qatar   6,371,950        6,371,950     
Saudi Arabia   804,125        804,125     
Singapore   43,591,502        43,591,502     
South Korea   31,149,493        31,149,493     
Spain   610,750        610,750     
Sweden   1,812,426        1,812,426     
Switzerland   3,001,844        3,001,844     
Thailand   1,842,804        1,842,804     
United Kingdom   7,241,116        7,241,116     
United States   170,322,124        170,322,124     
Sovereign Bonds   73,750,040        73,750,040     
Senior Loans   60,855,196        46,795,741    14,059,455 
Asset-Backed Securities   1,261,535        1,261,535     
Preferred Stocks:                    
Bermuda   1,945,365    1,945,365         
United Kingdom   3,744,733    3,744,733         
United States   23,582,042    22,623,632    958,410     
Common Stocks:                    
Canada   2,441,621    956,692    1,484,929     
Cayman Islands   150,252    150,252         
India   912,096    912,096         
Israel   5,952,624        5,952,624     
United States   76,180,352    57,526,510    3,561,206    15,092,636 
Warrants:                    
Bermuda   10,615        10,615     
Brazil   *           *
Canada   429,000        429,000     
Israel   *           *
United States   33,378    33,378         
Purchased Options   1,097,550    1,097,550         
Exchange Traded Funds (ETFs)   27,008,028    27,008,028         
Short-Term Investments:                    
Commercial Paper   7,178,909        7,178,909     
Time Deposits   14,969,558        14,969,558     
Money Market Fund   13,184,304    13,184,304         
Total Investments, at value  $828,081,575   $129,182,540   $669,746,944   $29,152,091 
Other Financial Instruments - Asset                    
Forward Foreign Currency Contracts  $545,124   $   $545,124   $ 
Total Other Financial Instruments - Assets  $545,124   $   $545,124   $ 
Other Financial Instruments - Liabilities                    
Options Contracts Written  $(1,268,371)  $(1,268,371)  $   $ 
Securities Sold Short:                    
Corporate Bonds & Notes   (2,374,665)       (2,374,665)    
Exchange Traded Funds   (27,008,028)   (27,008,028)        
Common Stocks   (1,368,733)   (1,368,733)        
Total Other Financial Instruments - Liabilities  $(32,019,797)  $(29,645,132)  $(2,374,665)  $ 

 

* Includes securities that are fair valued by the Board at $0.

 

 

 

 

   Total Fair Value at
November 30, 2021
   Unadjusted Quoted
Prices
in Active Markets
for Identical
Investments
(Level 1)
   Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
 
Destinations Multi Strategy Alternatives Fund                    
Investments, at value                    
Collateralized Mortgage Obligations  $297,591,571   $   $297,591,571   $ 
Asset-Backed Securities   130,223,044        130,223,044     
Corporate Bonds & Notes   100,125,879        100,125,879     
Common Stocks   395,618,658    395,618,658         
Open-End Fund   228,511,432    228,511,432         
Preferred Stocks   20,005,820    20,005,820         
Warrants   3,809,828    3,809,828                  – 
Purchased Swaption   1,693,819        1,693,819     
Exchange Traded Fund (ETF)   *       *    
Short-Term Investments:                    
Time Deposits   68,934,322        68,934,322     
Money Market Fund   13,719,265    13,719,265         
Total Investments, at value  $1,260,233,638   $661,665,003   $598,568,635   $ 
Other Financial Instruments - Assets                    
OTC Credit Default Swaps  $3,153,384   $   $3,153,384   $ 
Total Other Financial Instruments - Assets  $3,153,384   $   $3,153,384   $ 
Other Financial Instruments - Liabilities                    
Swaption Contract Written  $(501,404)  $   $(501,404)  $ 
OTC Credit Default Swaps   (678,948)       (678,948)    
OTC Total Return Swaps   (65,880)       (65,880)    
Centrally Cleared Total Return Swaps   (1,620,025)   (1,620,025)        
Securities Sold Short:                    
Exchange Traded Funds (ETFs)   (112,927,875)   (112,927,875)        
Total Other Financial Instruments - Liabilities  $(115794,132)  $(114,547,900)  $(1,246,232)  $ 

 

* Less than 0.5$

 

 

 

 

 

   Total Fair Value at
November 30, 2021
   Unadjusted Quoted
Prices
in Active Markets
for Identical
Investments
(Level 1)
   Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
 
Destinations Municipal Fixed Income Fund                    
Investments, at value                    
Municipal Bonds  $870,225,642   $   $870,225,642   $ 
Short-Term Investments:                    
Municipal Bonds   28,251,754        28,251,754     
Time Deposits   67,695,757        67,695,757     
Total Investments, at value  $966,173,153   $                  –   $966,173,153   $                – 

 

 

 

 

   Total Fair Value at
November 30, 2021
   Unadjusted Quoted
Prices
in Active Markets
for Identical
Investments
(Level 1)
   Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
 
Destinations Shelter Fund                    
Investments, at value                    
Common Stocks  $24,567,586   $24,567,586   $   $ 
Purchased Options   424,540    424,540         
Total Investments, at value  $24,992,126   $24,992,126   $   $ 
Other Financial Instruments - Liabilities                    
Options Contracts Written  $(430,890)  $(430,890)  $   $ 
Total Other Financial Instruments - Liabilities  $(430,890)  $(430,890)  $       –   $               – 

 

 

 

 

The level classification by major category of investments is the same as the category presentation in the Schedules of Investments.

 

The following is a reconciliation of assets for which significant unobservable inputs (Level 3) were used in determining fair value during the period February 28, 2021 through November 30, 2021:

 

   Total   Common Stocks   Corporate
Bonds &
Notes
   Preferred Stocks   Senior Loans   Warrants   Municipal Bonds 
Destinations Large Cap Equity Fund                                   
Balance as of February 28, 2021  $43,495,464   $6,277,755   $-   $37,217,709   $-   $-   $- 
 Purchases   5,197,328    1,840,308    -    3,357,020    -    -    - 
 (Sales/Paydowns)   (13,545,083)   (832,143)   -    (12,712,940)   -    -    - 
 Total realized gain (loss)   -    -    -    -    -    -    - 
 Change in unrealized appreciation (depreciation)   (14,641,861)   682,978    -    (15,324,839)   -    -    - 
 Transfers In   -    -    -    -    -    -    - 
 Transfers Out   -    -    -    -    -    -    - 
Balance as of November 30, 2021  $20,505,848   $7,968,898   $-   $12,536,950   $-   $-   $- 
Change in unrealized appreciation (depreciation) from Investments held as of November 30, 2021   1,883,713   $991,418   $-   $892,295   $-   $-   $- 
                                    
Destinations International Equity Fund                                   
Balance as of February 28, 2021  $1,907,550   $240,700   $-   $1,666,850   $-   $-   $- 
 Purchases   2,515,157    2,460,605    -    54,552    -    -    - 
 (Sales/Paydowns)   (793,594)   -    -    (793,594)   -    -    - 
 Total realized gain (loss)   (215)   (215)   -    -    -    -    - 
 Change in unrealized appreciation (depreciation)   (387,559)   485,716    -    (873,275)   -    -    - 
 Transfers In   -    -    -    -    -    -    - 
 Transfers Out   -    -    -    -    -    -    - 
Balance as of November 30, 2021  $3,241,339   $3,186,806   $-   $54,533   $-   $-   $- 
Change in unrealized appreciation (depreciation) from Investments held as of November 30, 2021  $702,160   $702,179   $-   $(19)  $-   $-   $- 
                                    
Destinations Low Duration Fixed Income Fund                                   
Balance as of February 28, 2021  $15,677,082   $201,059   $-   $-   $15,476,023   $-   $- 
 Purchases   7,308,566    104    7,119,000    -    189,462    -    - 
 (Sales/Paydowns)   (14,673,494)   (332,050)   (7,119,000)   -    (7,222,444)   -    - 
 Accrued Discounts (premiums)   -    -    -    -    -    -    - 
 Total realized gain (loss)   (63,610)   (63,610)   -    -    -    -    - 
 Change in unrealized appreciation (depreciation)   197,475    194,497    -    -    2,978    -    - 
 Transfers In   -    -    -    -    -    -    - 
 Transfers Out   -    -    -    -    -    -    - 
Balance as of November 30, 2021  $8,446,019   $-   $-   $-   $8,446,019   $-   $- 
Change in unrealized appreciation (depreciation) from Investments held as of November 30, 2021  $(104)  $(104)  $-   $-   $-   $-   $- 
                                    
Destinations Global Fixed Income Opportunities Fund                                   
Balance as of February 28,  2021  $20,689,967*  $3,686,882*   2,996*  $-   $17,000,089*  $-*  $- 
 Purchases   21,380,299    12,063,938    8,201,000    -    1,115,361    -    - 
 (Sales/Paydowns)   (20,803,365)   (8,512,546)   (8,201,000)   -    (4,089,819)   -    - 
 Accrued Discounts (premiums)   -    -    -    -    -    -    - 
 Total realized gain (loss)   (114,567)   (114,567)   -    -    -    -    - 
 Change in unrealized appreciation (depreciation)   7,999,757    7,968,929    (2,996)   -    33,824    -    - 
 Transfers In   -    -    -    -    -    -    - 
 Transfers Out   -   -   -    -    -    -    - 
Balance as of November 30, 2021  $29,152,091   $15,092,636   $-   $-   $14,059,455   $-*  $- 
Change in unrealized appreciation (depreciation) from Investments held as of November 30, 2021  $7,999,849   $7,969,021   $(2,996)  $-   $33,824   $-   $- 

 

 

 

* Includes securities that are fair valued at $0.

 

Destinations Multi Strategy Alternatives Fund                                   
Balance as of February 28, 2021  $2,311,250   $-   $-   $2,311,250   $-   $-   $- 
 Purchases   -    -    -         -    -    - 
 (Sales/Paydowns)   (2,311,250)   -    -    (2,311,250)   -    -    - 
 Accrued Discounts (premiums)   -    -    -    -    -    -    - 
 Total realized gain (loss)   -    -    -    -    -    -    - 
 Change in unrealized appreciation (depreciation)   -    -    -    -    -    -    - 
 Transfers In   -    -    -    -    -    -    - 
 Transfers Out   -    -    -    -    -    -    - 
Balance as of November 30, 2021  $-   $-   $-   $-   $-   $-   $- 
Change in unrealized appreciation (depreciation) from Investments held as of November 30, 2021  $-   $-   $-   $-   $-   $-   $- 

 

 

 

 

3. Investments

 

At November 30, 2021, the aggregate gross unrealized appreciation and depreciation of investments for federal income tax purposes were as follows:

 

   Aggregate Cost   Gross   Gross   Net Unrealized 
   For Federal Income   Unrealized   Unrealized   Appreciation 
Fund  Tax Purposes   Appreciation   (Depreciation)   (Depreciation) 
Destinations Large Cap Equity Fund   $3,780,516,739   $1,656,936,962   $(108,569,512)  $1,548,367,450 
Destinations Small-Mid Cap Equity Fund   1,177,457,777    322,521,432    (38,979,508)   283,541,924 
Destinations International Equity Fund   2,099,447,110    741,253,364    (131,717,551)   609,535,813 
Destinations Equity Income Fund    383,726,533    61,396,446    (11,819,214)   49,577,232 
Destinations Core Fixed Income Fund    2,486,189,325    26,052,757    (47,550,265)   (21,497,508)
Destinations Low Duration Fixed Income Fund   595,752,301    4,076,767    (10,506,164)   (6,429,397)
Destinations Global Fixed Income Opportunities Fund   825,867,401    22,298,103    (20,807,176)   1,490,927 
Destinations Municipal Fixed Income Fund    938,488,137    29,744,197    (2,059,181)   27,685,016 
Destinations Multi Strategy Alternatives Fund   1,224,969,400    67,053,832    (34,878,468)   32,175,364 
Destinations Shelter Fund   24,629,810    743,950    (812,524)   (68,574)