0001145549-20-031175.txt : 20200529 0001145549-20-031175.hdr.sgml : 20200529 20200528173813 ACCESSION NUMBER: 0001145549-20-031175 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200331 FILED AS OF DATE: 20200529 PERIOD START: 20201231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PPM Funds CENTRAL INDEX KEY: 0001722478 IRS NUMBER: 363714794 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23308 FILM NUMBER: 20922531 BUSINESS ADDRESS: STREET 1: 225 WEST WACKER DRIVE STREET 2: SUITE 1200 CITY: CHICAGO STATE: IL ZIP: 60606 BUSINESS PHONE: 3126342500 MAIL ADDRESS: STREET 1: 225 WEST WACKER DRIVE STREET 2: SUITE 1200 CITY: CHICAGO STATE: IL ZIP: 60606 0001722478 S000061239 PPM Long Short Credit Fund C000198337 PPM Long Short Credit Fund (Inst) NPORT-P 1 primary_doc.xml NPORT-P false 0001722478 XXXXXXXX S000061239 C000198337 PPM Funds 811-23308 0001722478 JJRYDUHUMCZ72M58YS96 225 W. 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N/A iHeartMedia, Inc. 45174J509 310 NS USD 2266.1 0.0061554930 Long EC CORP US N 1 N N N Kraft Heinz Foods Company 5493003STKEZ2S0RNU91 Kraft Heinz Foods Company 50077LAP1 333000 PA USD 320881.4 0.8716222676 Long DBT CORP US N 2 2021-02-10 Floating 2.3041296 N N N N N N Southwestern Energy Company EFWMP121W54QV9MGOP87 Southwestern Energy Company 845467AL3 -432000 PA USD -294926.77 -0.8011207258 Short DBT CORP US N 2 2025-01-23 Fixed 6.2 N N N N N N Transocean Proteus Limited 5493000CTMQ2LH21VM89 Transocean Proteus Limited 893829AA9 156100 PA USD 126345.48 0.3431969998 Long DBT CORP US N 2 2024-12-01 Fixed 6.25 N N N N N N Transocean Pontus Limited N/A Transocean Pontus Limited 89382PAA3 16700 PA USD 13248.89 0.0359884604 Long DBT CORP US N 2 2025-08-01 Fixed 6.125 N N N N N N Verizon Owner Trust 2018-1 N/A Verizon Owner Trust 2018-1 92349FAA1 500000 PA USD 493953.25 1.3417438713 Long ABS-CBDO CORP US N 2 2021-03-22 Fixed 2.82 N N N N N N AbbVie Inc. FR5LCKFTG8054YNNRU85 AbbVie Inc. 00287YBR9 94000 PA USD 98078.59 0.2664145788 Long DBT CORP US N 2 2039-11-21 Fixed 4.05 N N N N N N Buckeye Partners, L.P. N/A Buckeye Partners, L.P. N/A 250000 PA USD 228000 0.6193250124 Long LON CORP US N 2 2026-10-10 Floating 4.2652512 N N N N N N Virgin Media Bristol LLC N/A Virgin Media Bristol LLC N/A 150000 PA USD 138000 0.3748546127 Long LON CORP US N 2 2027-10-03 Floating 3.20463 N N N N N N 1011778 B.C. Unlimited Liability Company N/A 1011778 B.C. Unlimited Liability Company N/A 203619.53 PA USD 187329.96 0.5088514465 Long LON CORP US N 2 2026-11-14 Floating 2.7393804 N N N N N N Level 3 Financing Inc. N/A Level 3 Financing Inc. N/A 168663.92 PA USD 156857.45 0.4260778165 Long LON CORP US N 2 2027-03-01 Floating 2.7393804 N N N N N N AbbVie Inc. FR5LCKFTG8054YNNRU85 AbbVie Inc. 00287YBS7 133000 PA USD 142765.15 0.3877983697 Long DBT CORP US N 2 2049-11-21 Fixed 4.25 N N N N N N AbbVie Inc. FR5LCKFTG8054YNNRU85 AbbVie Inc. 00287YBU2 121000 PA USD 123815.51 0.3363247468 Long DBT CORP US N 2 2026-11-21 Fixed 2.95 N N N N N N Volvo Financial Equipment LLC, Series 2019-1 N/A Volvo Financial Equipment LLC, Series 2019-1 92888DAB1 75347.06 PA USD 73725.94 0.2002645557 Long ABS-CBDO CORP US N 2 2020-10-15 Fixed 2.9 N N N N N N Wells Fargo Bank, National Association N/A Wells Fargo Bank, National Association 94988J6A0 750000 PA USD 746087.78 2.0266264191 Long DBT CORP US N 2 2022-09-09 Fixed 2.082 N N N N N N Adient US LLC N/A Adient US LLC 00688JAA5 13000 PA USD 12033.62 0.0326873766 Long DBT CORP US N 2 2026-05-15 Fixed 7 N N N N N N American Airlines, Inc. IWUQB36BXD6OWD6X4T14 American Airlines, Inc. 02376TAC2 43547.76 PA USD 43221.73 0.1174048178 Long ABS-CBDO CORP US N 2 2020-07-15 Fixed 5.6 N N N N N N AmeriCredit Automobile Receivables Trust 2018-1 N/A AmeriCredit Automobile Receivables Trust 2018-1 03066HAD9 589272.03 PA USD 579610.44 1.5744177321 Long ABS-CBDO CORP US N 2 2021-01-19 Fixed 3.07 N N N N N N Ascentium Equipment Receivables 2017-2 Trust N/A Ascentium Equipment Receivables 2017-2 Trust 04364YAC1 56044.26 PA USD 55194.16 0.1499259817 Long ABS-CBDO CORP US N 2 2021-12-10 Fixed 2.31 N N N N N N Cheniere Energy Partners, L.P. 5493005UEC8AZ34LDV29 Cheniere Energy Partners, L.P. 16411QAE1 110000 PA USD 97724.57 0.2654529409 Long DBT CORP US N 2 2029-10-01 Fixed 4.5 N N N N N N Cheniere Corpus Christi Holdings, LLC 549300I7CIEWU1BBLQ53 Cheniere Corpus Christi Holdings, LLC 16412XAC9 41000 PA USD 36681.08 0.0996382032 Long DBT CORP US N 2 2025-03-31 Fixed 5.875 N N N N N N Marriott Ownership Resorts, Inc. N/A Marriott Ownership Resorts, Inc. N/A 245390 PA USD 213489.3 0.5799090498 Long LON CORP US N 2 2025-08-29 Floating 2.7500004 N N N N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup Inc. 172967KA8 123000 PA USD 127815.95 0.3471912930 Long DBT CORP US N 2 2027-09-29 Fixed 4.45 N N N N N N The Home Depot, Inc. QEKMOTMBBKA8I816DO57 The Home Depot, Inc. 437076CD2 51000 PA USD 54033.46 0.1467731284 Long DBT CORP US N 2 2050-04-15 Fixed 3.35 N N N N N N Wells Fargo & Company PBLD0EJDB5FWOLXP3B76 Wells Fargo & Company 95000U2A0 26000 PA USD 26987.68 0.0733076546 Long DBT CORP US N 2 2028-05-22 Fixed 3.584 N N N N N N Frontier Communications Corp. N/A Frontier Communications Corp. N/A 406.91 PA USD 384.97 0.0010457086 Long LON CORP US N 2 2024-05-31 Floating 5.2099992 N N N N N N Service Properties Trust N/A Service Properties Trust 44106MAZ5 62000 PA USD 45412.06 0.1233544939 Long DBT CORP US N 2 2024-10-01 Fixed 4.35 N N N N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 61747YDU6 225000 PA USD 232262.53 0.6309034836 Long DBT CORP US N 2 2023-05-22 Fixed 4.1 N N N N N N Murphy Oil Corporation QBKYQD0ODE7DC7PDIN91 Murphy Oil Corporation 626717AM4 66000 PA USD 34741.06 0.0943684536 Long DBT CORP US N 2 2027-12-01 Fixed 5.875 N N N N N N RegionalCare Hospital Partners Holdings, Inc. N/A RegionalCare Hospital Partners Holdings, Inc. N/A 130935.63 PA USD 120870.61 0.3283254036 Long LON CORP US N 2 2025-11-09 Floating 4.7393784 N N N N N N CenturyLink, Inc. N/A CenturyLink, Inc. N/A 134662.5 PA USD 124984.31 0.3394996023 Long LON CORP US N 2 2027-03-15 Floating 3.2393808 N N N N N N Phoenix Guarantor Inc N/A Phoenix Guarantor Inc N/A 165418.75 PA USD 149290.42 0.4055232071 Long LON CORP US N 2 2026-03-05 Floating 4.1126292 N N N N N N Zayo Group Holdings, Inc. N/A Zayo Group Holdings, Inc. N/A 222619.05 PA USD 209261.91 0.5684260307 Long LON CORP US N 2 2027-02-20 Floating 3.9893796 N N N N N N Avery Dennison Corporation 549300PW7VPFCYKLIV37 Avery Dennison Corporation 053611AK5 36000 PA USD 33460.61 0.0908903189 Long DBT CORP US N 2 2030-04-30 Fixed 2.65 N N N N N N Avolon Holdings Funding Limited 635400ZRKEX9L1BKCH30 Avolon Holdings Funding Limited 05401AAD3 342000 PA USD 275671.75 0.7488175876 Long DBT CORP US N 2 2024-05-15 Fixed 5.25 N N N N N N Avolon Holdings Funding Limited 635400ZRKEX9L1BKCH30 Avolon Holdings Funding Limited 05401AAE1 125000 PA USD 107409.24 0.2917597758 Long DBT CORP US N 2 2022-05-01 Fixed 3.625 N N N N N N BAT Capital Corp. 2138005GYEXN7XRHFA84 BAT Capital Corp. 05526DBD6 168000 PA USD 155248.9 0.4217084514 Long DBT CORP US N 2 2037-08-15 Fixed 4.39 N N N N N N BAT Capital Corp. 2138005GYEXN7XRHFA84 BAT Capital Corp. 05526DBN4 107000 PA USD 109870.02 0.2984440855 Long DBT CORP US N 2 2030-04-02 Fixed 4.906 N N N N N N John Deere Capital Corporation E0KSF7PFQ210NWI8Z391 John Deere Capital Corporation 24422EVF3 42000 PA USD 40391.17 0.1097160608 Long DBT CORP US N 2 2027-03-09 Fixed 1.75 N N N N N N Dell International L.L.C. N/A Dell International L.L.C. 24703DAZ4 30000 PA USD 29867.63 0.0811305716 Long DBT CORP US N 2 2026-10-01 Fixed 4.9 N N N N N N Denbury Resources Inc. 549300KCWA5W52MS5559 Denbury Resources Inc. 247916AH2 14000 PA USD 3328.97 0.0090426070 Long DBT CORP US N 2 2022-03-31 Fixed 9.25 N N N N N N Denbury Resources Inc. 549300KCWA5W52MS5559 Denbury Resources Inc. 247916AM1 80000 PA USD 11704.19 0.0317925334 Long DBT CORP US N 2 2024-02-15 Fixed 7.75 N N N N N N iHeartMedia, Inc. N/A iHeartMedia, Inc. 45174J145 2328 NS USD 15315.91 0.0416031849 Long EC CORP US N 2 N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 JPMorgan Chase & Co. 46647PAM8 66000 PA USD 68773.87 0.1868130609 Long DBT CORP US N 2 2029-01-23 Fixed 3.509 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 JPMorgan Chase & Co. 46647PBE5 116000 PA USD 116181.74 0.3155888490 Long DBT CORP US N 2 2030-10-15 Fixed 2.739 N N N N N N JBS USA Finance, Inc. N/A JBS USA Finance, Inc. 472141AA8 100000 PA USD 106919.3 0.2904289333 Long DBT CORP US N 2 2028-02-15 Fixed 6.75 N N N N N N NSTAR Electric Company 54930080R72Y2Z31UR68 NSTAR Electric Company 67021CAP2 31000 PA USD 33664.8 0.0914449679 Long DBT CORP US N 2 2030-04-01 Fixed 3.95 N N N N N N Prestige Auto Receivables Trust 2019-1 N/A Prestige Auto Receivables Trust 2019-1 74113NAB4 531560.98 PA USD 524217.09 1.4239506831 Long ABS-CBDO CORP US N 2 2020-12-15 Fixed 2.44 N N N N N N Textron Inc. 3PPKBHUG1HD6BO7RNR87 Textron Inc. 883203CB5 130000 PA USD 118651.94 0.3222987465 Long DBT CORP US N 2 2030-06-01 Fixed 3 N N N N N N Actavis LLC 549300T0GJTEK811VI53 Actavis LLC 942683AF0 233000 PA USD 233396.33 0.6339832674 Long DBT CORP US N 2 2022-10-01 Fixed 3.25 N N N N N N Flex Acquisition Company, Inc. N/A Flex Acquisition Company, Inc. N/A 2505.97 PA USD 2267.9 0.0061603824 Long LON CORP US N 2 2023-12-29 Floating 4.5811296 N N N N N N Messer Industries GmbH N/A Messer Industries GmbH N/A 119790 PA USD 105894.36 0.2876448501 Long LON CORP US N 2 2025-10-10 Floating 3.9501288 N N N N N N PG&E Corp N/A PG&E Corp N/A 100000 PA USD 96833 0.2630311356 Long LON CORP US N 2 2020-12-31 Floating 3.1200012 N N N N N N Lower Cadence Holdings LLC N/A Lower Cadence Holdings LLC N/A 193226.56 PA USD 115935.94 0.3149211731 Long LON CORP US N 2 2026-05-10 Floating 4.9893804 N N N N N N Adient US LLC N/A Adient US LLC N/A 18422.94 PA USD 15935.84 0.0432871241 Long LON CORP US N 2 2024-05-03 Floating 5.7416292 N N N N N N Adient US LLC N/A Adient US LLC N/A 56015.03 PA USD 48453 0.1316147141 Long LON CORP US N 2 2024-05-03 Floating 5.45013 N N N N N N JBS USA Lux S.A. N/A JBS USA Lux S.A. N/A 145896.32 PA USD 135787.16 0.3688437919 Long LON CORP US N 2 2026-04-27 Floating 3.0719988 N N N N N N PCI Gaming Authority N/A PCI Gaming Authority N/A 206393.27 PA USD 167178.55 0.4541134103 Long LON CORP US N 2 2026-05-15 Floating 3.4893792 N N N N N N CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 FUTURE - PHYSICALLY DELIVERED N/A -39 NC USD -144689.47 -0.3930254728 N/A DIR CORP US N 1 CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 Short United States 5 Year Note United States 5 Year Note 2020-07-06 -4744326.16 USD -144689.47 N N N INTERCONTINENTAL EXCHANGE 5493000F4ZO33MV32P92 EXCHANGE CLEARED CDS - INDEX N/A 3380000 PA USD -44284.4 -0.1202913885 N/A DCR CORP US N 2 INTERCONTINENTAL EXCHANGE 5493000F4ZO33MV32P92 CDX.NA.IG.34 2I65BYDW2 Y Purchased Protection 2025-06-20 67244.380000000000 USD 0.000000000000 USD 3380000 USD -44284.4 N N N CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 FUTURE - PHYSICALLY DELIVERED N/A -5 NC USD -15342.46 -0.0416753036 N/A DIR CORP US N 1 CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 Short United States 2 Year Note United States 2 Year Note 2020-07-06 -1086571.6 USD -15342.46 N N N CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 FUTURE - PHYSICALLY DELIVERED N/A -19 NC USD -79672.77 -0.2164181547 N/A DIR CORP US N 1 CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 Short United States 10 Year Note United States 10 Year Note 2020-06-30 -2289033.17 USD -79672.77 N N N CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 FUTURE - PHYSICALLY DELIVERED N/A -12 NC USD -120709.01 -0.3278864435 N/A DIR CORP US N 1 CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 Short United States Long Bond United States Long Bond 2020-06-30 -2028040.99 USD -120709.01 N N N CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 FUTURE - PHYSICALLY DELIVERED N/A -35 NC USD -238258.23 -0.6471898300 N/A DIR CORP US N 1 CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 Short United States 10 Year Ultra Bond United States 10 Year Ultra Bond 2020-06-30 -5222835.52 USD -238258.23 N N N CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 FUTURE - PHYSICALLY DELIVERED N/A -4 NC USD -79379.56 -0.2156216973 N/A DIR CORP US N 1 CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 Short United States Ultra Bond United States Ultra Bond 2020-06-30 -808120.44 USD -79379.56 N N N 2020-05-28 PPM Funds Daniel W. Koors Daniel W. Koors Principal Financial Officer XXXX NPORT-EX 2 ppm033120.htm PPM FUNDS Untitled Document

PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

PPM Core Plus Fixed Income Fund

CORPORATE BONDS AND NOTES 45.5%

Financials 13.6%

 

AFLAC Incorporated

     
 

3.60%, 04/01/30

 

61,000

 

61,751

 
 

AIA Group Limited

     
 

3.60%, 04/09/29 (a)

 

200,000

 

207,592

 
 

Athene Global Funding

     
 

2.50%, 01/14/25 (a)

 

125,000

 

117,995

 
 

Avolon Holdings Funding Limited

     
 

5.25%, 05/15/24 (a)

 

158,000

 

127,357

 
 

Bank of America Corporation

     
 

6.25%, (callable at 100 beginning 09/05/24) (b)

 

75,000

 

76,875

 
 

6.30%, (callable at 100 beginning 03/10/26) (b)

 

45,000

 

47,081

 
 

4.00%, 01/22/25

 

86,000

 

90,513

 
 

4.25%, 10/22/26

 

215,000

 

226,221

 
 

3.56%, 04/23/27

 

115,000

 

120,326

 
 

3.25%, 10/21/27

 

27,000

 

28,314

 
 

3.59%, 07/21/28

 

150,000

 

155,900

 
 

4.08%, 03/20/51

 

176,000

 

198,398

 
 

BlackRock, Inc.

     
 

3.20%, 03/15/27

 

158,000

 

168,404

 
 

Capital One Financial Corporation

     
 

3.75%, 03/09/27

 

75,000

 

73,347

 
 

Citigroup Inc.

     
 

5.00%, (callable at 100 beginning 09/12/24) (b)

 

108,000

 

99,258

 
 

4.45%, 09/29/27

 

230,000

 

239,005

 
 

3.89%, 01/10/28 (c)

 

68,000

 

70,511

 
 

4.41%, 03/31/31

 

98,000

 

107,659

 
 

Credit Suisse Group AG

     
 

7.50%, (callable at 100 beginning 12/11/23) (a) (b)

 

200,000

 

193,750

 
 

6.50%, 08/08/23 (a)

 

250,000

 

253,338

 
 

4.21%, 06/12/24 (a)

 

125,000

 

126,794

 
 

Diamond Finance International Limited

     
 

8.35%, 07/15/46 (a)

 

100,000

 

117,706

 
 

Glencore Funding LLC

     
 

4.88%, 03/12/29 (a)

 

115,000

 

111,670

 
 

HSBC Holdings PLC

     
 

6.88%, (callable at 100 beginning 06/01/21) (b) (d)

 

200,000

 

199,250

 
 

Icahn Enterprises L.P.

     
 

6.25%, 05/15/26

 

119,000

 

112,254

 
 

JPMorgan Chase & Co.

     
 

4.60%, (callable at 100 beginning 02/01/25) (b)

 

163,000

 

143,514

 
 

5.00%, (callable at 100 beginning 08/01/24) (b)

 

80,000

 

77,005

 
 

5.30%, (callable at 100 beginning 05/01/20) (b)

 

60,000

 

56,174

 
 

3.22%, 03/01/25

 

114,000

 

118,118

 
 

2.01%, 03/13/26

 

132,000

 

130,098

 
 

3.96%, 01/29/27

 

107,000

 

115,389

 
 

3.51%, 01/23/29

 

68,000

 

70,858

 
 

4.20%, 07/23/29

 

28,000

 

30,974

 
 

2.74%, 10/15/30

 

110,000

 

110,172

 
 

Lloyds Banking Group PLC

     
 

7.50%, (callable at 100 beginning 09/27/25) (b)

 

109,000

 

97,964

 
 

Markel Corporation

     
 

5.00%, 05/20/49

 

39,000

 

40,499

 
 

Metropolitan Life Global Funding I

     
 

3.60%, 01/11/24 (a)

 

210,000

 

231,882

 
 

Mitsubishi UFJ Financial Group Inc

     
 

2.56%, 02/25/30

 

200,000

 

191,347

 
 

Morgan Stanley

     
 

4.88%, 11/01/22

 

100,000

 

104,668

 
 

3.62%, 04/01/31

 

206,000

 

214,392

 
 

Nordic Aviation Capital DAC

     
 

5.58%, 03/14/24 (e) (f)

 

135,000

 

109,867

 
 

Rassman, Joel H.

     
 

3.80%, 11/01/29 (g)

 

140,000

 

122,654

 
 

State Street Corporation

     
 

2.90%, 03/30/26 (a)

 

87,000

 

87,686

 
 

The Goldman Sachs Group, Inc.

     
 

2.91%, 07/24/23

 

63,000

 

63,579

 
 

3.50%, 04/01/25

 

165,000

 

167,430

 
 

4.25%, 10/21/25

 

90,000

 

94,257

 
 

3.80%, 03/15/30

 

241,000

 

250,750

 
 

6.75%, 10/01/37

 

70,000

 

92,410

 
 

The Guardian Life Insurance Company of America

     
 

3.70%, 01/22/70 (a)

 

57,000

 

49,801

 
 

The PNC Financial Services Group, Inc.

     
 

3.45%, 04/23/29

 

115,000

 

116,657

 
 

U.S. Bancorp

     
 

3.00%, 07/30/29

 

68,000

 

67,701

 
 

Wells Fargo & Company

     
 

2.41%, 10/30/25

 

253,000

 

248,984

 
 

3.20%, 06/17/27

 

203,000

 

210,125

 
 

3.58%, 05/22/28 (c)

 

24,000

 

24,912

 
 

2.88%, 10/30/30

 

210,000

 

205,826

 
 

6,976,962

 

Health Care 5.5%

 

AbbVie Inc.

     
 

2.95%, 11/21/26 (a)

 

170,000

 

173,956

 
 

4.30%, 05/14/36

 

38,000

 

41,218

 
 

4.05%, 11/21/39 (a)

 

90,000

 

93,905

 
 

4.25%, 11/21/49 (a)

 

128,000

 

137,398

 
 

Amgen Inc.

     
 

2.45%, 02/21/30

 

102,000

 

101,138

 
 

3.15%, 02/21/40

 

164,000

 

162,819

 
 

Bausch Health Companies Inc.

     
 

5.50%, 11/01/25 (a)

 

22,000

 

22,247

 
 

8.50%, 01/31/27 (a) (g)

 

21,000

 

21,954

 
 

5.75%, 08/15/27 (a) (g)

 

60,000

 

61,828

 
 

Baxter International Inc.

     
 

3.75%, 10/01/25 (a)

 

50,000

 

52,986

 
 

3.95%, 04/01/30 (a) (g)

 

15,000

 

16,216

 
 

Bristol-Myers Squibb Company

     
 

3.40%, 07/26/29 (a)

 

205,000

 

225,390

 
 

4.13%, 06/15/39 (a)

 

100,000

 

120,184

 
 

Centene Corporation

     
 

5.25%, 04/01/25 (a)

 

100,000

 

101,049

 
 

5.38%, 08/15/26 (a)

 

59,000

 

60,180

 
 

4.25%, 12/15/27 (a)

 

106,000

 

106,848

 
 

4.63%, 12/15/29 (a)

 

120,000

 

120,600

 
 

3.38%, 02/15/30 (a)

 

72,000

 

66,960

 
 

Centene Escrow I Corporation

     
 

5.38%, 06/01/26 (a)

 

50,000

 

51,484

 
 

Cigna Holding Company

     
 

3.40%, 03/01/27 (a)

 

114,000

 

116,233

 
 

2.40%, 03/15/30

 

59,000

 

55,442

 
 

3.20%, 03/15/40

 

47,000

 

43,598

 
 

3.40%, 03/15/50

 

98,000

 

94,133

 
 

CVS Health Corporation

     
 

3.25%, 08/15/29

 

93,000

 

92,708

 
 

4.78%, 03/25/38

 

100,000

 

109,876

 
 

5.05%, 03/25/48

 

100,000

 

112,875

 
 

HCA Inc.

     
 

5.13%, 06/15/39

 

120,000

 

123,123

 
 

Mylan Inc

     
 

5.20%, 04/15/48

 

23,000

 

23,175

 
 

Mylan N.V.

     
 

3.95%, 06/15/26

 

10,000

 

10,150

 
 

Perrigo Finance Unlimited Company

     
 

4.38%, 03/15/26

 

31,000

 

31,903

 
 

Providence St. Joseph Health

     
 

2.53%, 10/01/29

 

67,000

 

65,717

 
 

Quest Diagnostics Incorporated

     
 

2.95%, 06/30/30

 

45,000

 

44,286

 
 

Tenet Healthcare Corporation

     
 

4.88%, 01/01/26 (a)

 

140,000

 

133,582

 
 

Thermo Fisher Scientific Inc.

     
 

4.13%, 03/25/25

 

55,000

 

58,952

 
 

2,854,113

 

Energy 5.0%

 

Aker BP ASA

     
 

3.75%, 01/15/30 (a)

 

255,000

 

188,973

 
 

Baker Hughes, a GE Company, LLC

     
 

3.14%, 11/07/29

 

53,000

 

45,821

 
 

Cheniere Corpus Christi Holdings, LLC

     
 

5.88%, 03/31/25

 

54,000

 

48,312

 

Abbreviations and additional footnotes are defined on page 33

1


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Cheniere Energy Partners, L.P.

     
 

4.50%, 10/01/29 (a)

 

125,000

 

111,051

 
 

Denbury Resources Inc.

     
 

9.00%, 05/15/21 (a)

 

25,000

 

7,314

 
 

Endeavor Energy Resources, L.P.

     
 

5.50%, 01/30/26 (a)

 

14,000

 

9,654

 
 

5.75%, 01/30/28 (a)

 

14,000

 

9,461

 
 

Energy Transfer LP

     
 

6.75%, (callable at 100 beginning 05/15/25) (b)

 

102,000

 

62,144

 
 

7.13%, (callable at 100 beginning 05/15/30) (b)

 

119,000

 

72,391

 
 

4.25%, 03/15/23

 

173,000

 

155,342

 
 

5.25%, 04/15/29

 

42,000

 

35,531

 
 

3.75%, 05/15/30

 

67,000

 

52,390

 
 

5.80%, 06/15/38

 

70,000

 

61,330

 
 

6.13%, 12/15/45

 

20,000

 

16,630

 
 

Energy Transfer Operating, L.P.

     
 

6.25%, 04/15/49

 

40,000

 

33,855

 
 

Enlink Midstream, LLC

     
 

4.15%, 06/01/25

 

71,000

 

34,400

 
 

Enterprise Products Operating LLC

     
 

3.13%, 07/31/29

 

160,000

 

145,764

 
 

4.20%, 01/31/50

 

84,000

 

79,534

 
 

EQM Midstream Partners, LP

     
 

4.13%, 12/01/26 (g)

 

113,000

 

65,325

 
 

Everest Acquisition, LLC

     
 

0.00%, 05/15/26 (a) (h) (i)

 

35,000

 

5,510

 
 

Exxon Mobil Corporation

     
 

3.48%, 03/19/30

 

255,000

 

282,127

 
 

MEG Energy Corp.

     
 

7.13%, 02/01/27 (a)

 

22,000

 

10,942

 
 

MPLX LP

     
 

4.00%, 03/15/28

 

120,000

 

101,601

 
 

5.20%, 12/01/47 (a)

 

45,000

 

36,092

 
 

National Oilwell Varco, Inc.

     
 

3.60%, 12/01/29

 

125,000

 

97,307

 
 

Occidental Petroleum Corporation

     
 

3.50%, 08/15/29

 

140,000

 

65,800

 
 

4.30%, 08/15/39

 

20,000

 

8,500

 
 

4.40%, 08/15/49 (g)

 

22,000

 

9,504

 
 

ONEOK, Inc.

     
 

3.10%, 03/15/30

 

130,000

 

97,863

 
 

Petroleos Mexicanos

     
 

6.50%, 01/23/29 (g)

 

85,000

 

60,883

 
 

Sabine Pass Liquefaction, LLC

     
 

4.20%, 03/15/28

 

250,000

 

216,858

 
 

Targa Resource Corporation

     
 

5.50%, 03/01/30 (a)

 

140,000

 

108,366

 
 

Transocean Pontus Limited

     
 

6.13%, 08/01/25 (a)

 

16,700

 

13,249

 
 

Transocean Poseidon Limited

     
 

6.88%, 02/01/27 (a)

 

49,000

 

39,256

 
 

Transocean Proteus Limited

     
 

6.25%, 12/01/24 (a)

 

122,500

 

99,150

 
 

Viper Energy Partners LP

     
 

5.38%, 11/01/27 (a)

 

38,000

 

31,733

 
 

WPX Energy, Inc.

     
 

4.50%, 01/15/30

 

53,000

 

28,721

 
 

2,548,684

 

Consumer Staples 3.8%

 

Anheuser-Busch Companies, LLC

     
 

3.65%, 02/01/26

 

74,000

 

77,704

 
 

4.90%, 02/01/46

 

146,000

 

160,831

 
 

Archer-Daniels-Midland Company

     
 

2.75%, 03/27/25 (g)

 

18,000

 

18,223

 
 

3.25%, 03/27/30

 

70,000

 

74,100

 
 

BAT Capital Corp.

     
 

4.91%, 04/02/30

 

151,000

 

155,050

 
 

4.39%, 08/15/37

 

148,000

 

136,767

 
 

JBS Investments II GmbH

     
 

7.00%, 01/15/26 (a) (g)

 

200,000

 

200,106

 
 

JBS USA Food Company

     
 

5.88%, 07/15/24 (a)

 

16,000

 

16,212

 
 

6.50%, 04/15/29 (a)

 

84,000

 

90,020

 
 

Kimberly-Clark Corporation

     
 

3.10%, 03/26/30

 

17,000

 

18,226

 
 

Mars, Incorporated

     
 

3.95%, 04/01/49 (a)

 

143,000

 

158,273

 
 

PepsiCo, Inc.

     
 

3.63%, 03/19/50 (g)

 

110,000

 

129,524

 
 

Reynolds American Inc.

     
 

5.70%, 08/15/35

 

46,000

 

50,390

 
 

7.00%, 08/04/41

 

45,000

 

52,092

 
 

Safeway Inc.

     
 

3.50%, 02/15/23 (a)

 

83,000

 

81,829

 
 

Sysco Corporation

     
 

5.65%, 04/01/25 (j)

 

47,000

 

48,897

 
 

5.95%, 04/01/30 (j)

 

33,000

 

34,817

 
 

6.60%, 04/01/40 (j)

 

22,000

 

23,657

 
 

The Procter & Gamble Company

     
 

3.60%, 03/25/50

 

32,000

 

39,468

 
 

Walmart Inc.

     
 

2.85%, 07/08/24

 

234,000

 

246,923

 
 

3.25%, 07/08/29 (g)

 

100,000

 

109,873

 
 

2.95%, 09/24/49 (g)

 

50,000

 

54,428

 
 

1,977,410

 

Communication Services 3.4%

 

AT&T Inc.

     
 

1.96%, (3M USD LIBOR + 1.18%), 06/12/24 (c)

 

375,000

 

349,769

 
 

5.25%, 03/01/37

 

77,000

 

89,739

 
 

CCO Holdings, LLC

     
 

4.75%, 03/01/30 (a)

 

91,000

 

90,654

 
 

Charter Communications Operating, LLC

     
 

4.91%, 07/23/25

 

140,000

 

150,341

 
 

5.38%, 04/01/38

 

45,000

 

49,353

 
 

6.83%, 10/23/55

 

51,000

 

61,267

 
 

Comcast Corporation

     
 

3.30%, 04/01/27

 

160,000

 

169,389

 
 

4.60%, 10/15/38

 

51,000

 

62,024

 
 

3.75%, 04/01/40

 

35,000

 

38,336

 
 

3.40%, 07/15/46

 

50,000

 

54,820

 
 

4.95%, 10/15/58

 

50,000

 

68,864

 
 

Fox Corporation

     
 

3.05%, 04/07/25

 

105,000

 

104,836

 
 

Hughes Satellite Systems Corporation

     
 

5.25%, 08/01/26

 

71,000

 

70,254

 
 

Sirius XM Radio Inc.

     
 

5.50%, 07/01/29 (a) (g)

 

47,000

 

47,913

 
 

Sprint Spectrum Co LLC

     
 

3.36%, 09/20/21 (a)

 

87,500

 

87,071

 
 

TEGNA Inc.

     
 

5.00%, 09/15/29 (a)

 

70,000

 

63,061

 
 

Verizon Communications Inc.

     
 

3.00%, 03/22/27 (g)

 

33,000

 

34,810

 
 

4.00%, 03/22/50

 

35,000

 

41,292

 
 

Vodafone Group Public Limited Company

     
 

5.00%, 05/30/38

 

120,000

 

132,928

 
 

1,766,721

 

Utilities 3.4%

 

Ameren Illinois Company

     
 

4.50%, 03/15/49

 

90,000

 

107,262

 
 

Basin Electric Power Cooperative

     
 

4.75%, 04/26/47 (a)

 

107,000

 

117,769

 
 

Berkshire Hathaway Energy Company

     
 

4.05%, 04/15/25 (a)

 

120,000

 

129,424

 
 

Commonwealth Edison Company

     
 

3.75%, 08/15/47

 

79,000

 

82,936

 
 

Consolidated Edison Company of New York, Inc.

     
 

3.35%, 04/01/30

 

10,000

 

10,002

 
 

3.95%, 04/01/50

 

57,000

 

60,013

 
 

DPL Inc.

     
 

4.35%, 04/15/29 (a) (g)

 

102,000

 

97,522

 
 

Edison International

     
 

4.95%, 04/15/25

 

21,000

 

20,950

 
 

Exelon Corporation

     
 

4.05%, 04/15/30

 

36,000

 

36,052

 
 

5.10%, 06/15/45

 

75,000

 

81,095

 

Abbreviations and additional footnotes are defined on page 33

2


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Florida Power & Light Company

     
 

2.85%, 04/01/25

 

66,000

 

68,876

 
 

Nevada Power Company

     
 

3.70%, 05/01/29

 

140,000

 

148,588

 
 

NSTAR Electric Company

     
 

3.95%, 04/01/30

 

43,000

 

46,696

 
 

Ohio Power Company

     
 

2.60%, 04/01/30

 

52,000

 

51,393

 
 

Oncor Electric Delivery Company LLC

     
 

2.95%, 04/01/25

 

80,000

 

82,812

 
 

Southern California Edison Company

     
 

4.13%, 03/01/48

 

46,000

 

47,780

 
 

3.65%, 02/01/50 (g)

 

62,000

 

60,210

 
 

The AES Corporation

     
 

4.00%, 03/15/21

 

215,000

 

212,982

 
 

Vistra Operations Company LLC

     
 

3.55%, 07/15/24 (a)

 

71,000

 

66,794

 
 

3.70%, 01/30/27 (a)

 

220,000

 

196,704

 
 

1,725,860

 

Industrials 3.1%

 

Ashtead Capital, Inc.

     
 

5.25%, 08/01/26 (a)

 

128,000

 

122,402

 
 

Canadian Pacific Railway Limited

     
 

2.05%, 03/05/30

 

31,000

 

28,845

 
 

Carlisle Companies Incorporated

     
 

2.75%, 03/01/30

 

175,000

 

151,905

 
 

Caterpillar Inc.

     
 

3.25%, 09/19/49

 

70,000

 

70,554

 
 

Equifax Inc.

     
 

2.60%, 12/01/24

 

80,000

 

77,073

 
 

General Dynamics Corporation

     
 

4.25%, 04/01/40

 

100,000

 

118,840

 
 

General Electric Company

     
 

5.00%, (callable at 100 beginning 01/21/21) (b) (g)

 

419,000

 

346,615

 
 

Hillenbrand, Inc.

     
 

4.50%, 09/15/26 (j)

 

20,000

 

19,940

 
 

John Deere Capital Corporation

     
 

1.75%, 03/09/27

 

57,000

 

54,817

 
 

Moog Inc.

     
 

4.25%, 12/15/27 (a)

 

44,000

 

39,735

 
 

Northrop Grumman Corporation

     
 

4.40%, 05/01/30

 

46,000

 

50,938

 
 

Park Aerospace Holdings Limited

     
 

5.25%, 08/15/22 (a)

 

190,000

 

167,831

 
 

Textron Inc.

     
 

3.00%, 06/01/30

 

175,000

 

159,724

 
 

United Parcel Service, Inc.

     
 

4.45%, 04/01/30

 

125,000

 

141,824

 
 

United Rentals (North America), Inc.

     
 

3.88%, 11/15/27

 

55,000

 

52,311

 
 

1,603,354

 

Materials 2.9%

 

Anglo American Capital PLC

     
 

5.38%, 04/01/25 (a)

 

200,000

 

202,219

 
 

4.88%, 05/14/25 (a)

 

121,000

 

117,802

 
 

4.75%, 04/10/27 (a)

 

180,000

 

173,596

 
 

Avery Dennison Corporation

     
 

2.65%, 04/30/30

 

47,000

 

43,685

 
 

CEMEX S.A.B. de C.V.

     
 

5.45%, 11/19/29 (a) (g)

 

130,000

 

105,977

 
 

CF Industries, Inc.

     
 

4.50%, 12/01/26 (a)

 

314,000

 

330,146

 
 

Chevron Phillips Chemical Company LLC

     
 

5.13%, 04/01/25 (a)

 

97,000

 

99,817

 
 

Ecolab Inc.

     
 

4.80%, 03/24/30

 

38,000

 

43,225

 
 

Freeport-McMoRan Inc.

     
 

5.00%, 09/01/27

 

61,000

 

56,688

 
 

5.40%, 11/14/34

 

35,000

 

32,143

 
 

LYB International Finance III, LLC

     
 

4.20%, 10/15/49 (g)

 

58,000

 

56,698

 
 

Martin Marietta Materials, Inc.

     
 

2.50%, 03/15/30

 

71,000

 

64,590

 
 

NOVA Chemicals Corporation

     
 

4.88%, 06/01/24 (a)

 

130,000

 

114,027

 
 

Olin Corporation

     
 

5.63%, 08/01/29

 

61,000

 

56,056

 
 

1,496,669

 

Consumer Discretionary 1.9%

 

Fiat Chrysler Automobiles N.V.

     
 

5.25%, 04/15/23

 

103,000

 

98,157

 
 

General Motors Company

     
 

5.95%, 04/01/49

 

30,000

 

22,950

 
 

GLP Financing, LLC

     
 

5.75%, 06/01/28

 

15,000

 

13,054

 
 

5.30%, 01/15/29

 

100,000

 

82,973

 
 

Lowe`s Companies, Inc.

     
 

4.50%, 04/15/30

 

73,000

 

80,008

 
 

M.D.C. Holdings, Inc.

     
 

6.00%, 01/15/43

 

11,000

 

10,383

 
 

McDonald's Corporation

     
 

3.50%, 07/01/27 (g)

 

174,000

 

181,898

 
 

NIKE, Inc.

     
 

3.25%, 03/27/40

 

74,000

 

77,418

 
 

Starbucks Corporation

     
 

2.25%, 03/12/30

 

145,000

 

136,272

 
 

The Home Depot, Inc.

     
 

3.35%, 04/15/50

 

74,000

 

78,401

 
 

The Johns Hopkins University

     
 

2.81%, 01/01/60

 

35,000

 

31,725

 
 

The TJX Companies, Inc.

     
 

3.50%, 04/15/25

 

121,000

 

123,760

 
 

4.50%, 04/15/50

 

42,000

 

45,015

 
 

982,014

 

Real Estate 1.5%

 

Boston Properties Limited Partnership

     
 

2.75%, 10/01/26

 

36,000

 

34,405

 
 

2.90%, 03/15/30

 

130,000

 

119,195

 
 

Equinix, Inc.

     
 

2.63%, 11/18/24

 

130,000

 

122,369

 
 

ProLogis, L.P.

     
 

2.13%, 04/15/27

 

16,000

 

15,666

 
 

2.25%, 04/15/30

 

75,000

 

69,425

 
 

Service Properties Trust

     
 

4.35%, 10/01/24

 

106,000

 

77,640

 
 

Simon Property Group, L.P.

     
 

2.45%, 09/13/29

 

307,000

 

285,280

 
 

VICI Properties Inc.

     
 

4.25%, 12/01/26 (a) (g)

 

35,000

 

32,153

 
 

4.63%, 12/01/29 (a)

 

16,000

 

14,554

 
 

770,687

 

Information Technology 1.4%

 

Broadcom Corporation

     
 

3.88%, 01/15/27

 

57,000

 

54,281

 
 

Broadcom Inc.

     
 

4.25%, 04/15/26 (a)

 

130,000

 

131,844

 
 

Corning Incorporated

     
 

5.85%, 11/15/68

 

58,000

 

64,019

 
 

Dell International L.L.C.

     
 

4.90%, 10/01/26 (a) (j)

 

50,000

 

49,779

 
 

MasterCard Incorporated

     
 

3.30%, 03/26/27

 

85,000

 

92,448

 
 

3.85%, 03/26/50

 

22,000

 

26,864

 
 

Microsoft Corporation

     
 

3.95%, 08/08/56

 

87,000

 

108,906

 
 

Oracle Corporation

     
 

2.50%, 04/01/25

 

170,000

 

173,548

 
 

701,689

 
 

Total Corporate Bonds And Notes (cost $24,084,789)

23,404,163

 

GOVERNMENT AND AGENCY OBLIGATIONS 39.5%

Mortgage-Backed Securities 28.9%

 

Federal Home Loan Mortgage Corporation

     
 

2.00%, 02/01/35

 

198,290

 

204,081

 
 

4.00%, 10/01/45 - 06/01/48

 

110,639

 

118,502

 
 

3.50%, 01/01/46 - 08/01/49

 

2,244,007

 

2,381,884

 
 

4.50%, 11/01/48

 

51,967

 

55,887

 

Abbreviations and additional footnotes are defined on page 33

3


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

3.00%, 07/01/32 - 10/01/49

 

750,835

 

788,242

 
 

Federal National Mortgage Association, Inc.

     
 

3.00%, 09/01/32 - 12/01/49

 

2,525,055

 

2,658,918

 
 

2.50%, 06/01/34 - 10/01/34

 

599,777

 

622,999

 
 

2.00%, 03/01/35

 

94,529

 

97,201

 
 

3.50%, 10/01/46 - 05/01/49

 

709,967

 

753,152

 
 

4.50%, 05/01/47 - 12/01/48

 

1,021,888

 

1,101,145

 
 

4.00%, 01/01/47 - 09/01/49

 

1,905,292

 

2,038,418

 
 

Government National Mortgage Association

     
 

3.00%, 10/20/46 - 12/20/46

 

92,053

 

97,772

 
 

3.50%, 05/20/47 - 12/20/49

 

1,318,666

 

1,397,102

 
 

TBA, 2.50%, 05/15/48 (k)

 

330,000

 

344,408

 
 

4.50%, 12/20/48 - 02/20/49

 

284,170

 

302,224

 
 

4.00%, 07/20/47 - 05/20/49

 

778,890

 

831,532

 
 

3.50%, 01/20/50 (k)

 

94,450

 

99,906

 
 

3.00%, 10/20/49 - 02/20/50

 

913,860

 

967,132

 
 

14,860,505

 

U.S. Treasury Note 5.7%

 

Treasury, United States Department of

     
 

1.88%, 04/30/22

 

150,000

 

154,805

 
 

1.63%, 05/31/23

 

524,000

 

544,632

 
 

2.13%, 05/15/25

 

177,000

 

191,990

 
 

2.25%, 11/15/25

 

1,290,000

 

1,415,573

 
 

1.50%, 08/15/26

 

583,000

 

617,707

 
 

2,924,707

 

U.S. Treasury Bond 4.7%

 

Treasury, United States Department of

     
 

3.75%, 08/15/41

 

461,000

 

678,750

 
 

3.13%, 11/15/41

 

292,000

 

392,923

 
 

2.50%, 02/15/45 - 02/15/46

 

772,000

 

958,664

 
 

3.00%, 02/15/48

 

277,000

 

380,832

 
 

2,411,169

 

Municipal 0.2%

 

Dormitory Authority State of New York

     
 

3.19%, 02/15/43

 

100,000

 

98,957

 
 

Total Government And Agency Obligations (cost $18,814,117)

20,295,338

 

NON-U.S. GOVERNMENT AGENCY ASSET-BACKED SECURITIES 11.5%

 

American Airlines, Inc.

     
 

Series 2016-AA-2, 3.20%, 06/15/28

 

170,900

 

172,847

 
 

American Tower Trust #1

     
 

Series 2013-A-2, 3.07%, 03/15/23

 

265,000

 

260,931

 
 

AmeriCredit Automobile Receivables Trust

     
 

Series 2018-A3-1, 3.07%, 01/19/21

 

314,278

 

309,126

 
 

Ascentium Equipment Receivables Trust

     
 

Series 2017-A3-2A, 2.31%, 12/10/21

 

94,154

 

92,726

 
 

BAMLL Commercial Mortgage Securities Trust

     
 

Series 2015-B-200P, REMIC, 3.49%, 04/16/25

 

375,000

 

384,763

 
 

Benchmark Mortgage Trust

     
 

Series 2019-A5-B15, 2.93%, 11/16/29

 

190,000

 

196,915

 
 

Capital One Prime Auto Receivables Trust

     
 

Series 2019-A2-2, 2.06%, 06/15/21

 

593,221

 

587,793

 
 

Series 2020-A2-1, 1.64%, 06/15/23

 

233,000

 

230,898

 
 

CCG Receivables Trust

     
 

Series 2018-A2-1, 2.50%, 02/14/21

 

31,216

 

31,156

 
 

Series 2019-A2-2, 2.11%, 03/14/23

 

100,000

 

98,703

 
 

CIG Auto Receivables Trust

     
 

Series 2017-A-1A, 2.71%, 05/15/23

 

16,738

 

16,343

 
 

Citigroup Commercial Mortgage Trust

     
 

Series 2019-A4-C7, REMIC, 3.10%, 12/17/29

 

275,000

 

277,622

 
 

COMM Mortgage Trust

     
 

Series 2014-A4-UBS3, REMIC, 3.82%, 05/10/24

 

49,000

 

51,204

 
 

Series 2014-A3-CR21, REMIC, 3.53%, 12/12/24

 

254,581

 

264,101

 
 

CSMC Trust

     
 

Series 2017-A3-HL2, 3.50%, 09/25/24 (c)

 

71,905

 

71,172

 
 

Dell Equipment Finance Trust

     
 

Series 2018-A2A-1, 2.97%, 10/22/20

 

2,503

 

2,503

 
 

Series 2017-A3-2, 2.19%, 10/24/22

 

10,897

 

10,897

 
 

DLL LLC

     
 

Series 2018-A3-ST2, 3.46%, 04/20/21

 

119,803

 

119,999

 
 

Series 2019-A2-MT3, 2.13%, 01/20/22

 

175,000

 

171,386

 
 

Foundation Finance Trust

     
 

Series 2017-A-1A, 3.30%, 08/15/22

 

38,394

 

37,644

 
 

GLS Auto Receivables Trust

     
 

Series 2019-A-1A, 3.37%, 03/15/21

 

60,581

 

60,023

 
 

Series 2018-A-3A, 3.35%, 08/15/22

 

19,121

 

18,879

 
 

GM Financial Automobile Leasing Trust

     
 

Series 2018-A3-1, 2.61%, 01/20/21

 

36,308

 

36,308

 
 

GreatAmerica Financial Services Corporation

     
 

Series 2019-A2-1, 2.97%, 09/15/20

 

93,196

 

91,140

 
 

Series 2018-A3-1, 2.60%, 06/15/21

 

60,219

 

59,513

 
 

GS Mortgage Securities Corp Trust

     
 

Series 2017-B-SLP, REMIC, 3.77%, 10/12/22

 

158,000

 

156,387

 
 

HPEFS Equipment Trust

     
 

Series 2019-A2-1A, 2.19%, 09/20/29

 

200,000

 

195,999

 
 

Series 2019-A3-1A, 2.21%, 09/20/29

 

100,000

 

98,411

 
 

Hudson Yards Mortgage Trust

     
 

Series 2019-A-30HY, 3.23%, 07/12/29

 

300,000

 

317,172

 
 

J.P. Morgan Mortgage Trust

     
 

Series 2017-A6-6, REMIC, 3.00%, 03/25/25 (c)

 

77,294

 

77,127

 
 

John Deere Owner Trust

     
 

Series 2019-A2-B, 2.28%, 04/15/21

 

490,989

 

476,585

 
 

Kubota Credit Owner Trust

     
 

Series 2018-A2-1A, 2.80%, 02/16/21

 

1,125

 

1,125

 
 

MVW Owner Trust

     
 

Series 2013-A-1A, 2.15%, 04/22/30

 

55,283

 

55,283

 
 

Prestige Auto Receivables Trust

     
 

Series 2019-A2-1A, 2.44%, 12/15/20

 

156,491

 

154,329

 
 

PSMC Trust

     
 

Series 2018-A1-3, REMIC, 4.00%, 02/25/41

 

57,569

 

58,054

 
 

Sequoia Mortgage Trust

     
 

Series 2019-A4-1, REMIC, 4.00%, 02/25/26

 

18,779

 

18,378

 
 

Series 2018-A1-8, REMIC, 4.00%, 06/25/40 (c)

 

73,816

 

72,465

 
 

Toyota Auto Receivables Owner Trust

     
 

Series 2018-A3-B, 2.96%, 07/15/21

 

250,000

 

252,353

 
 

United Airlines, Inc.

     
 

Series 2012-B-1, 6.25%, 04/11/20

 

8,530

 

8,535

 
 

Series 2012-A-1, 4.15%, 04/11/24

 

51,006

 

49,460

 
 

Series 2012-A-2, 4.00%, 10/29/24

 

45,462

 

42,436

 
 

Verizon Owner Trust

     
 

Series 2017-A-2A, 1.92%, 12/20/21

 

108,560

 

107,976

 
 

Volvo Financial Equipment LLC

     
 

Series 2019-A2-1A, 2.90%, 10/15/20

 

78,087

 

76,407

 
 

Wells Fargo Commercial Mortgage Trust

     
 

Series 2017-B-C38, 3.92%, 06/17/27 (c)

 

57,000

 

53,440

 
 

Total Non-U.S. Government Agency Asset-Backed Securities (cost $5,962,941)

5,926,514

 

SENIOR LOAN INTERESTS 1.6%

Communication Services 0.6%

 

CenturyLink, Inc.

     
 

2020 Term Loan B, 3.24%, (1M LIBOR + 2.25%), 03/15/27 (c)

 

99,750

 

92,581

 
 

CSC Holdings, LLC

     
 

2017 1st Lien Term Loan, 2.86%, (1M LIBOR + 2.25%), 07/15/25 (c)

 

43,872

 

41,752

 
 

Diamond Sports Group, LLC

     
 

Term Loan, 4.18%, (1M LIBOR + 3.25%), 08/24/26 (c)

 

33,830

 

26,049

 
 

Nexstar Broadcasting, Inc.

     
 

2019 Term Loan B4, 4.33%, (1M LIBOR + 2.75%), 07/15/26 (c)

 

75,458

 

69,949

 
 

Sprint Communications, Inc.

     
 

1st Lien Term Loan B, 4.12%, (1M LIBOR + 2.50%), 02/01/24 (c)

 

82,864

 

82,243

 
 

312,574

 

Consumer Discretionary 0.4%

 

Golden Nugget, Inc.

     
 

2017 Incremental Term Loan B, 3.70%, (3M LIBOR + 2.50%), 09/07/23 (c)

 

36,189

 

28,047

 
 

Term Loan, 0.00%, (3M LIBOR + 2.50%), 10/04/23 (c) (l)

 

40,000

 

31,000

 
 

2017 Incremental Term Loan B, 4.10%, (1M LIBOR + 2.50%), 10/04/23 (c)

 

42,396

 

32,857

 

Abbreviations and additional footnotes are defined on page 33

4


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

PCI Gaming Authority

     
 

Term Loan, 4.10%, (1M LIBOR + 2.50%), 05/15/26 (c)

 

144,036

 

116,669

 
 

208,573

 

Consumer Staples 0.2%

 

JBS USA Lux S.A.

     
 

2019 Term Loan B, 3.60%, (6M LIBOR + 2.00%), 04/27/26 (c)

 

94,832

 

88,261

 

Utilities 0.1%

 

PG&E Corp

     
 

DIP Term Loan, 3.12%, (1M LIBOR + 2.25%), 12/31/20 (c)

 

70,000

 

67,783

 
 

Vistra Operations Company LLC

     
 

1st Lien Term Loan B3, 2.55%, (1M LIBOR + 1.75%), 12/11/25 (c)

 

1,990

 

1,883

 
 

1st Lien Term Loan B3, 3.35%, (1M LIBOR + 1.75%), 12/11/25 (c)

 

8,313

 

7,866

 
 

77,532

 

Financials 0.1%

 

UFC Holdings, LLC

     
 

2019 Term Loan, 4.86%, (1M LIBOR + 3.25%), 04/25/26 (c)

 

58,485

 

50,882

 

Industrials 0.1%

 

Genesee & Wyoming Inc. (New)

     
 

Term Loan, 3.96%, (3M LIBOR + 2.00%), 10/29/26 (c)

 

51,000

 

48,610

 

Materials 0.1%

 

BWAY Holding Company

     
 

2017 Term Loan B, 5.08%, (3M LIBOR + 3.25%), 04/03/24 (c)

 

48,747

 

39,516

 

Energy 0.0%

 

Traverse Midstream Partners LLC

     
 

2017 Term Loan, 5.61%, (1M LIBOR + 4.00%), 09/22/24 (c)

 

32,505

 

17,878

 
 

Total Senior Loan Interests (cost $952,696)

843,826

 

SHORT TERM INVESTMENTS 6.5%

Securities Lending Collateral 3.5%

 

State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (m)

 

1,834,223

 

1,834,223

 

Investment Companies 3.0%

 

State Street Institutional U.S. Government Money Market Fund - Premier Class, 0.31% (m)

 

1,531,454

 

1,531,454

 
 

Total Short Term Investments (cost $3,365,677)

3,365,677

 

Total Investments 104.6% (cost $53,180,220)

 

53,835,518

 

Other Derivative Instruments (0.0)%

 

(14,748)

 

Other Assets and Liabilities, Net (4.6)%

 

(2,376,594)

 

Total Net Assets 100.0%

 

51,444,176

 

(a) The Adviser has deemed this security, which is exempt from registration under the Securities Act of 1933, as amended, to be liquid based on procedures approved by the Board of Trustees. As of March 31, 2020, the value and the percentage of net assets of these liquid securities was $7,124,556 and 13.8% of the Fund.

(b) Perpetual security. Next contractual call date presented, if applicable.

(c) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of March 31, 2020. For securities based on a published reference rate and spread, the reference rate and spread are presented. Certain variable rate securities do not indicate a reference rate and spread because they are determined by the issuer, remarketing agent, or offering documents and are based on current market conditions. The coupon rate for securities with certain features outlined in the offering documents may vary from the stated reference rate and spread. This includes, but is not limited to, securities with deferred rates, contingent distributions, caps, floors, and fixed-rate to float-rate features. In addition, variable rates for government and agency collateralized mortgage obligations (“CMO”) and mortgage-backed securities (“MBS”) are determined by tranches of underlying mortgage-backed security pools’ cash flows into securities and pass-through rates which reflect the rate earned on the asset pool after management and guarantee fees are paid to the securitizing corporation. CMO and MBS variable rates are determined by a formula set forth in the security’s offering documents.

(d) Convertible security.

(e) Security fair valued in good faith as a Level 3 security in accordance with the procedures approved by the Board of Trustees. Good faith fair valued securities are classified for Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820 "Fair Value Measurement" based on the applicable valuation inputs. See FASB ASC Topic 820 in the Schedules of Investments.

(f) Security is restricted to resale to institutional investors. See Restricted Securities table following the Schedules of Investments.

(g) All or a portion of the security was on loan as of March 31, 2020.

(h) Non-income producing security.

(i) As of March 31, 2020, issuer was in bankruptcy and/or was in default relating to principal and/or interest. Partial or no payments were paid on the last interest or dividend date.

(j) The interest rate for this security is inversely affected by upgrades or downgrades to the credit rating of the issuer.

(k) All or a portion of the security was purchased on a delayed delivery basis. As of March 31, 2020, the total payable for investments purchased on a delayed delivery basis was $441,704.

(l) This senior loan will settle after March 31, 2020. If a reference rate and spread is presented, it will go into effect upon settlement.

(m) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

                 

PPM Core Plus Fixed Income Fund — Restricted Securities

  

Initial Acquisition

 

Cost ($)

 

Value ($)

 

Percent of

Net Assets (%)

 
 

Nordic Aviation Capital DAC, 5.58%, 03/14/24

02/27/19

 

135,000

 

109,867

 

0.2

 
             
                

PPM Core Plus Fixed Income Fund — Futures Contracts

Reference Entity

 

Contracts1

 

Expiration

 

Notional1

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

Long Contracts

United States 2 Year Note

 

15

 

July 2020

  

3,273,210

 

(469)

  

32,532

 

United States 5 Year Note

 

43

 

July 2020

  

5,232,901

 

(2,016)

  

157,552

 

United States Long Bond

 

10

 

June 2020

  

1,715,142

 

(15,439)

  

75,483

 

United States Ultra Bond

 

2

 

June 2020

  

404,958

 

(6,500)

  

38,792

 
         

(24,424)

  

304,359

 

Short Contracts

United States 10 Year Note

 

(5)

 

June 2020

  

(686,824)

 

1,044

  

(6,614)

 

United States 10 Year Ultra Bond

 

(22)

 

June 2020

  

(3,287,782)

 

7,219

  

(144,905)

 
         

8,263

  

(151,519)

 

Abbreviations and additional footnotes are defined on page 33

5


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

                   

PPM Core Plus Fixed Income Fund — Centrally Cleared Credit Default Swap Agreements

Reference Entity2

 

Fixed

Receive/

Pay Rate

(%)

 

Expiration

 

Notional1

 

Value ($)

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

Credit default swap agreements - purchase protection

CDX.NA.IG.34 (Q)

 

1.00

  

06/20/25

  

500,000

  

3,396

  

1,413

  

(6,551)

 
                   

Abbreviations and additional footnotes are defined on page 33

6


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

PPM Floating Rate Income Fund

SENIOR LOAN INTERESTS 91.2%

Consumer Discretionary 15.2%

 

1011778 B.C. Unlimited Liability Company

     
 

Term Loan B4, 3.35%, (1M LIBOR + 1.75%), 11/14/26 (a)

 

193,455

 

177,979

 
 

24 Hour Fitness Worldwide, Inc.

     
 

2018 Term Loan B, 5.10%, (3M LIBOR + 3.50%), 05/30/25 (a)

 

192,023

 

39,685

 
 

Adient US LLC

     
 

Term Loan B, 5.74%, (3M LIBOR + 4.00%), 05/03/24 (a)

 

29,403

 

25,434

 
 

Term Loan B, 5.94%, (3M LIBOR + 4.00%), 05/03/24 (a)

 

89,400

 

77,331

 
 

Aimbridge Acquisition Co., Inc.

     
 

2019 Term Loan B, 5.02%, (3M LIBOR + 3.75%), 02/02/26 (a)

 

119,400

 

83,580

 
 

Allied Universal Holdco LLC

     
 

2019 Term Loan B, 5.85%, (1M LIBOR + 4.25%), 06/18/26 (a)

 

104,737

 

96,358

 
 

Alterra Mountain Company

     
 

Term Loan B1, 4.35%, (1M LIBOR + 2.75%), 06/28/24 (a)

 

127,394

 

114,654

 
 

American Axle and Manufacturing, Inc.

     
 

Term Loan B, 3.18%, (1M LIBOR + 2.25%), 03/10/24 (a)

 

202,342

 

167,337

 
 

Aramark Services, Inc.

     
 

2019 Term Loan B4, 3.35%, (1M LIBOR + 1.75%), 12/04/26 (a)

 

120,000

 

111,000

 
 

Bass Pro Group, LLC

     
 

Term Loan B, 5.99%, (1M LIBOR + 5.00%), 11/15/23 (a)

 

201,955

 

168,633

 
 

Boing US Holdco Inc.

     
 

2017 1st Lien Term Loan, 4.25%, (1M LIBOR + 3.25%), 09/20/24 (a)

 

39,300

 

30,458

 
 

Bombardier Recreational Products, Inc.

     
 

Term Loan, 3.60%, (1M LIBOR + 3.50%), 06/30/23 (a)

 

316,944

 

259,894

 
 

2020 Term Loan, 4.10%, 05/23/25 (a)

 

4,975

 

4,080

 
 

Boyd Gaming Corporation

     
 

Term Loan B3, 2.93%, (3M LIBOR + 2.25%), 09/15/23 (a)

 

238,981

 

205,597

 
 

Caesars Entertainment Operating Company

     
 

Exit Term Loan, 3.60%, (1M LIBOR + 2.00%), 04/03/24 (a)

 

307,472

 

248,539

 
 

Caesars Resort Collection, LLC

     
 

2017 1st Lien Term Loan B, 3.74%, (1M LIBOR + 2.75%), 12/23/24 (a)

 

287,308

 

230,996

 
 

Callaway Golf Company

     
 

Term Loan B, 5.30%, (1M LIBOR + 4.50%), 12/31/25 (a)

 

39,990

 

35,591

 
 

CityCenter Holdings, LLC

     
 

2017 Term Loan B, 3.24%, (1M LIBOR + 2.25%), 04/14/24 (a)

 

231,402

 

200,857

 
 

Coinamatic Canada Inc.

     
 

Canadian 1st Lien Term Loan, 4.85%, (1M LIBOR + 3.25%), 05/13/22 (a) (b)

 

3,942

 

3,272

 
 

Constellis Holdings, LLC

     
 

2019 Super Priority Term Loan, 11.00%, (1M LIBOR + 10.00%), 12/17/20 (a) (b)

 

19,194

 

16,891

 
 

Term Loan, 0.00%, (3M LIBOR + 10.00%), 06/30/21 (a) (c)

 

8,724

 

8,724

 
 

2017 1st Lien Term Loan, 0.00%, 04/17/24 (b) (d) (e)

 

69,116

 

1,383

 
 

Core & Main LP

     
 

2017 Term Loan B, 4.33%, (3M LIBOR + 2.75%), 07/19/24 (a)

 

60,362

 

52,968

 
 

2017 Term Loan B, 4.33%, (1M LIBOR + 2.75%), 07/19/24 - 08/01/24 (a)

 

93,453

 

82,005

 
 

Creative Artists Agency, LLC

     
 

2019 Term Loan B, 4.74%, (1M LIBOR + 3.75%), 11/19/26 (a)

 

59,850

 

51,770

 
 

Dana Incorporated

     
 

Term Loan B, 3.86%, (1M LIBOR + 2.25%), 02/27/26 (a)

 

100,786

 

91,715

 
 

Delta 2 (LUX) S.a.r.l.

     
 

2018 USD Term Loan, 3.50%, (1M LIBOR + 2.50%), 02/01/24 (a)

 

165,000

 

146,497

 
 

DexKo Global Inc.

     
 

2018 USD Term Loan, 5.10%, (1M LIBOR + 3.50%), 07/24/24 (a)

 

129,010

 

108,798

 
 

Eldorado Resorts LLC

     
 

2017 Term Loan B, 3.25%, (6M LIBOR + 2.25%), 03/15/24 (a)

 

15,791

 

13,818

 
 

2017 Term Loan B, 3.88%, (6M LIBOR + 2.25%), 03/15/24 (a)

 

52,662

 

46,079

 
 

Equinox Holdings, Inc.

     
 

Term Loan, 0.00%, (6M LIBOR + 3.00%), 03/08/24 (a) (c)

 

50,000

 

36,281

 
 

2017 1st Lien Term Loan, 4.60%, (6M LIBOR + 3.00%), 03/08/24 (a)

 

128,108

 

92,959

 
 

Fitness International, LLC

     
 

2018 Term Loan B, 4.85%, (6M LIBOR + 3.25%), 04/13/25 (a)

 

88,438

 

65,334

 
 

Four Seasons Hotels Limited

     
 

New 1st Lien Term Loan, 2.99%, (1M LIBOR + 2.00%), 11/30/23 (a)

 

187,577

 

168,819

 
 

Golden Nugget, Inc.

     
 

2017 Incremental Term Loan B, 3.70%, (3M LIBOR + 2.50%), 09/07/23 (a)

 

145,784

 

112,983

 
 

2017 Incremental Term Loan B, 4.10%, (1M LIBOR + 2.50%), 10/04/23 (a)

 

170,789

 

132,361

 
 

Hoffmaster Group, Inc.

     
 

2018 1st Lien Term Loan, 5.60%, (1M LIBOR + 4.00%), 11/11/23 (a)

 

36,740

 

26,086

 
 

Hoya Midco, LLC

     
 

2017 1st Lien Term Loan, 5.10%, (6M LIBOR + 3.50%), 06/21/24 - 06/27/24 (a)

 

73,539

 

52,214

 
 

Inmar Holdings, Inc.

     
 

2017 1st Lien Term Loan, 5.94%, (6M LIBOR + 4.00%), 04/25/24 (a)

 

152,860

 

115,301

 
 

Interior Logic Group Holdings IV LLC

     
 

2018 Term Loan B, 5.60%, (1M LIBOR + 4.00%), 05/21/25 (a)

 

98,500

 

83,232

 
 

International Textile Group, Inc

     
 

1st Lien Term Loan, 6.58%, (1M LIBOR + 5.00%), 04/19/24 (a)

 

95,625

 

63,112

 
 

IRB Holding Corp

     
 

2020 Term Loan B, 3.75%, (1M LIBOR + 2.75%), 02/05/25 (a)

 

121,530

 

93,351

 
 

Jo-Ann Stores, Inc.

     
 

2016 Term Loan, 5.99%, (6M LIBOR + 5.00%), 09/29/23 (a)

 

48,131

 

17,396

 
 

Kestrel Bidco Inc.

     
 

Term Loan B, 4.00%, (1M LIBOR + 3.00%), 07/31/26 (a)

 

47,828

 

36,349

 
 

Life Time Fitness Inc

     
 

2017 Term Loan B, 4.36%, (3M LIBOR + 2.75%), 06/22/22 (a)

 

91,966

 

67,480

 
 

Lifetime Brands, Inc.

     
 

Term Loan B, 5.10%, (1M LIBOR + 3.50%), 03/13/25 (a)

 

62,177

 

48,809

 
 

Marriott Ownership Resorts, Inc.

     
 

2019 Term Loan B, 3.35%, (1M LIBOR + 1.75%), 08/29/25 (a)

 

92,303

 

80,303

 
 

Mavis Tire Express Services Corp.

     
 

2018 1st Lien Term Loan, 4.85%, (1M LIBOR + 3.25%), 03/15/25 (a)

 

166,486

 

131,940

 
 

Michaels Stores, Inc.

     
 

2018 Term Loan B, 3.50%, (1M LIBOR + 2.50%), 01/01/23 (a)

 

67,418

 

55,957

 
 

2018 Term Loan B, 3.56%, (3M LIBOR + 2.50%), 01/01/23 (a)

 

33,881

 

28,121

 
 

2018 Term Loan B, 3.56%, (1M LIBOR + 2.50%), 01/01/23 (a)

 

6,742

 

5,596

 
 

2018 Term Loan B, 3.57%, (3M LIBOR + 2.50%), 01/01/23 (a)

 

39,102

 

32,455

 
 

Mohegan Tribal Gaming Authority

     
 

2016 Term Loan B, 5.98%, (1M LIBOR + 4.38%), 10/30/23 (a)

 

29,453

 

20,764

 
 

Panther BF Aggregator 2 LP

     
 

USD Term Loan B, 4.44%, (1M LIBOR + 3.50%), 03/13/26 (a)

 

124,198

 

113,020

 

Abbreviations and additional footnotes are defined on page 33

7


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

PCI Gaming Authority

     
 

Term Loan, 4.10%, (1M LIBOR + 2.50%), 05/15/26 (a)

 

123,836

 

100,307

 
 

Penn National Gaming, Inc.

     
 

2018 1st Lien Term Loan B, 3.86%, (1M LIBOR + 2.25%), 08/15/25 (a)

 

322,392

 

241,217

 
 

Playa Resorts Holding B.V.

     
 

2017 Term Loan B, 4.35%, (1M LIBOR + 2.75%), 04/07/24 (a)

 

176,379

 

119,585

 
 

ProQuest LLC

     
 

2019 Term Loan, 5.10%, (1M LIBOR + 3.50%), 10/16/26 (a)

 

59,850

 

55,660

 
 

Rodan & Fields, LLC

     
 

2018 Term Loan B, 4.70%, (1M LIBOR + 4.00%), 06/07/25 (a)

 

49,125

 

21,451

 
 

Scientific Games International, Inc.

     
 

2018 Term Loan B5, 3.74%, (1M LIBOR + 2.75%), 08/14/24 (a)

 

32,204

 

25,871

 
 

Term Loan, 4.35%, (3M LIBOR + 2.75%), 08/14/24 (a)

 

420

 

337

 
 

2018 Term Loan B5, 4.37%, (3M LIBOR + 2.75%), 08/14/24 (a)

 

132,483

 

106,428

 
 

Serta Simmons Bedding, LLC

     
 

1st Lien Term Loan, 4.50%, (1M LIBOR + 3.50%), 10/21/23 (a)

 

122,910

 

48,242

 
 

ServiceMaster Company

     
 

2019 Term Loan D, 3.38%, (1M LIBOR + 1.75%), 10/31/26 (a)

 

59,850

 

56,678

 
 

SIWF Holdings Inc.

     
 

1st Lien Term Loan, 5.85%, (6M LIBOR + 4.25%), 05/25/25 (a)

 

113,024

 

98,331

 
 

Six Flags Theme Parks, Inc.

     
 

2019 Term Loan B, 3.36%, (1M LIBOR + 1.75%), 04/09/26 (a)

 

89,325

 

77,824

 
 

Spin Holdco Inc.

     
 

2017 Term Loan B, 5.09%, (3M LIBOR + 3.25%), 11/14/22 (a)

 

97,985

 

86,962

 
 

SRAM, LLC

     
 

2018 Term Loan B, 4.35%, (1M LIBOR + 2.75%), 03/15/24 (a)

 

100,061

 

94,057

 
 

2018 Term Loan B, 6.00%, (PRIME + 1.75%), 03/15/24 (a)

 

3,433

 

3,227

 
 

Staples, Inc.

     
 

7 Year Term Loan, 6.52%, (1M LIBOR + 5.00%), 04/05/26 (a)

 

124,062

 

97,389

 
 

Stars Group Holdings B.V. (The)

     
 

2018 USD Incremental Term Loan, 5.44%, (3M LIBOR + 3.50%), 06/29/25 (a)

 

246,938

 

234,797

 
 

Station Casinos LLC

     
 

2020 Term Loan B, 3.24%, (1M LIBOR + 2.25%), 01/30/27 (a)

 

218,565

 

185,234

 
 

Tenneco, Inc.

     
 

2018 Term Loan B, 3.99%, (1M LIBOR + 3.00%), 10/01/25 (a)

 

106,351

 

72,850

 
 

TI Group Automotive Systems, L.L.C.

     
 

2015 USD Term Loan, 4.10%, (1M LIBOR + 2.50%), 06/25/22 (a)

 

159,212

 

142,494

 
 

Trader Corporation

     
 

2017 Term Loan B, 4.66%, (1M LIBOR + 3.00%), 09/28/23 (a)

 

85,000

 

71,400

 
 

TruGreen Limited Partnership

     
 

2019 Term Loan, 5.35%, (1M LIBOR + 3.75%), 03/19/26 (a)

 

59,550

 

53,893

 
 

WASH Multifamily Laundry Systems, LLC

     
 

2015 1st Lien Term Loan, 4.85%, (1M LIBOR + 3.25%), 05/15/22 (a) (b)

 

25,441

 

21,116

 
 

WideOpenWest Finance LLC

     
 

2017 Term Loan B, 4.25%, (1M LIBOR + 3.25%), 08/19/23 (a)

 

157,082

 

144,122

 
 

William Morris Endeavor Entertainment, LLC

     
 

2018 1st Lien Term Loan, 4.36%, (1M LIBOR + 2.75%), 05/11/25 (a)

 

117,846

 

92,362

 
 

WMG Acquisition Corp.

     
 

2018 Term Loan F, 3.11%, (1M LIBOR + 2.13%), 11/01/23 (a)

 

320,000

 

310,400

 
 

7,144,380

 

Information Technology 12.6%

 

Almonde, Inc.

     
 

USD 1st Lien Term Loan, 5.28%, (3M LIBOR + 3.50%), 04/26/24 (a)

 

238,091

 

202,378

 
 

USD 2nd Lien Term Loan , 9.03%, (3M LIBOR + 7.25%), 04/27/25 (a)

 

50,000

 

37,100

 
 

AppLovin Corporation

     
 

2018 Term Loan B, 5.10%, (1M LIBOR + 3.50%), 07/13/26 (a)

 

298,593

 

265,747

 
 

Avast Software B.V.

     
 

2018 USD Term Loan B, 4.19%, (3M LIBOR + 2.25%), 09/30/23 (a)

 

36,821

 

33,385

 
 

AVSC Holding Corp.

     
 

2018 1st Lien Term Loan, 4.83%, (1M LIBOR + 3.25%), 02/23/25 (a)

 

52,226

 

32,641

 
 

2018 1st Lien Term Loan, 4.95%, (3M LIBOR + 3.25%), 02/23/25 (a)

 

52,472

 

32,795

 
 

2018 1st Lien Term Loan, 5.21%, (3M LIBOR + 3.25%), 02/23/25 (a)

 

2,389

 

1,493

 
 

Banff Merger Sub Inc

     
 

2018 USD Term Loan B, 5.85%, (1M LIBOR + 4.25%), 06/30/25 (a)

 

125,235

 

103,350

 
 

Blackhawk Network Holdings, Inc

     
 

2018 1st Lien Term Loan, 4.60%, (1M LIBOR + 3.00%), 05/31/25 (a)

 

112,987

 

91,197

 
 

Brave Parent Holdings, Inc.

     
 

1st Lien Term Loan, 5.78%, (3M LIBOR + 4.00%), 04/17/25 (a)

 

69,097

 

59,078

 
 

Cabot Microelectronics Corporation

     
 

2019 Term Loan B1, 3.62%, (1M LIBOR + 2.00%), 11/14/25 (a)

 

39,790

 

38,198

 
 

Castle US Holding Corporation

     
 

USD Term Loan B, 5.35%, (1M LIBOR + 3.75%), 02/28/27 (a)

 

32,900

 

26,094

 
 

CommScope, Inc.

     
 

2019 Term Loan B, 4.24%, (1M LIBOR + 3.25%), 02/07/26 (a)

 

96,813

 

91,005

 
 

DCert Buyer, Inc.

     
 

2019 Term Loan B, 5.60%, (1M LIBOR + 4.00%), 07/31/26 (a)

 

81,000

 

71,820

 
 

Dell International LLC

     
 

2019 Term Loan B, 3.61%, (1M LIBOR + 2.00%), 09/11/25 (a)

 

401,453

 

381,633

 
 

Dynatrace LLC

     
 

2018 1st Lien Term Loan, 3.85%, (1M LIBOR + 2.25%), 08/08/25 (a)

 

45,530

 

42,570

 
 

Entegris, Inc.

     
 

2018 Term Loan B, 3.60%, (1M LIBOR + 2.00%), 11/05/25 (a) (b)

 

44,438

 

40,438

 
 

Eta Australia Holdings III Pty Ltd

     
 

Term Loan, 5.60%, (1M LIBOR + 4.00%), 03/08/26 (a)

 

59,550

 

50,320

 
 

EVO Payments International LLC

     
 

2018 1st Lien Term Loan, 4.87%, (1M LIBOR + 3.25%), 12/22/23 (a)

 

92,533

 

77,208

 
 

Global Tel*Link Corporation

     
 

2018 1st Lien Term Loan, 5.85%, (3M LIBOR + 4.25%), 11/29/25 (a)

 

147,550

 

123,942

 
 

GlobalLogic Holdings Inc.

     
 

2018 Add On 1st Lien Term Loan, 4.35%, (1M LIBOR + 2.75%), 07/27/25 (a)

 

106,325

 

99,945

 
 

Go Daddy Operating Company, LLC

     
 

2017 Repriced Term Loan, 3.35%, (1M LIBOR + 1.75%), 02/15/24 (a)

 

125,376

 

119,264

 
 

II-VI Incorporated

     
 

Term Loan B, 5.10%, (1M LIBOR + 3.50%), 06/28/26 (a)

 

165,419

 

136,194

 
 

Infor (US), Inc.

     
 

Term Loan B6, 4.69%, (1M LIBOR + 2.75%), 02/07/22 (a)

 

81,708

 

78,317

 
 

IRI Holdings, Inc.

     
 

2018 1st Lien Term Loan, 6.11%, (3M LIBOR + 4.50%), 11/06/25 (a)

 

137,903

 

108,426

 
 

MA FinanceCo., LLC

     
 

2017 Term Loan B2, 3.85%, (1M LIBOR + 2.25%), 11/19/21 (a)

 

50,000

 

46,875

 
 

USD Term Loan B3, 4.10%, (1M LIBOR + 2.50%), 04/19/24 (a)

 

30,907

 

27,384

 

Abbreviations and additional footnotes are defined on page 33

8


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

McAfee, LLC

     
 

2018 USD Term Loan B, 4.69%, (1M LIBOR + 3.75%), 09/30/24 (a)

 

194,059

 

181,121

 
 

MH Sub I, LLC

     
 

2017 1st Lien Term Loan, 5.35%, (6M LIBOR + 3.75%), 08/09/24 (a)

 

150,858

 

126,872

 
 

MKS Instruments, Inc.

     
 

2019 Term Loan B6, 3.35%, (1M LIBOR + 1.75%), 02/01/26 (a)

 

126,230

 

112,866

 
 

MLN US HoldCo LLC

     
 

2018 1st Lien Term Loan, 6.02%, (1M LIBOR + 4.50%), 07/13/25 (a)

 

128,611

 

88,190

 
 

NaviHealth, Inc.

     
 

2018 Term Loan B, 5.61%, (1M LIBOR + 5.00%), 08/01/25 (a) (b)

 

88,650

 

80,671

 
 

NCR Corporation

     
 

2019 Term Loan, 4.11%, (1M LIBOR + 2.50%), 04/12/25 (a)

 

113,660

 

102,294

 
 

NeuStar, Inc.

     
 

2018 Term Loan B4, 5.10%, (3M LIBOR + 3.50%), 08/08/24 (a)

 

195,980

 

147,769

 
 

ON Semiconductor Corporation

     
 

2019 Term Loan B, 3.60%, (1M LIBOR + 2.00%), 09/13/26 (a)

 

223,875

 

209,323

 
 

Presidio, Inc.

     
 

2020 Term Loan B, 5.28%, (3M LIBOR + 3.50%), 12/19/26 (a)

 

114,120

 

106,131

 
 

Rackspace Hosting, Inc.

     
 

2017 Incremental 1st Lien Term Loan, 4.26%, (1M LIBOR + 3.00%), 11/03/23 (a)

 

219

 

190

 
 

2017 Incremental 1st Lien Term Loan, 4.76%, (3M LIBOR + 3.00%), 11/03/23 (a)

 

85,284

 

73,770

 
 

Radiate Holdco, LLC

     
 

1st Lien Term Loan, 4.60%, (1M LIBOR + 3.00%), 12/09/23 (a)

 

201,308

 

184,533

 
 

Refinitiv US Holdings Inc.

     
 

2018 USD Term Loan, 4.24%, (1M LIBOR + 3.25%), 09/12/25 (a)

 

167,875

 

160,460

 
 

Rocket Software, Inc.

     
 

2018 Term Loan , 5.85%, (1M LIBOR + 4.25%), 11/20/25 (a)

 

79,101

 

64,731

 
 

Science Applications International Corporation

     
 

Term Loan, 0.00%, (1M LIBOR + 2.25%), 03/05/27 (a) (c)

 

17,500

 

16,362

 
 

Seattle Spinco, Inc.

     
 

USD Term Loan B3, 4.10%, (1M LIBOR + 2.50%), 04/19/24 (a)

 

208,725

 

184,931

 
 

Severin Acquisition, LLC

     
 

2018 Term Loan B, 4.74%, (3M LIBOR + 3.00%), 06/15/25 (a)

 

198,060

 

169,341

 
 

Sirius Computer Solutions, Inc.

     
 

2020 Term Loan, 4.49%, (1M LIBOR + 3.50%), 07/01/26 (a)

 

129,027

 

111,608

 
 

Solera, LLC

     
 

USD Term Loan B, 4.36%, (3M LIBOR + 2.75%), 03/03/23 (a)

 

166,957

 

155,687

 
 

Sophia, L.P.

     
 

2017 Term Loan B, 4.70%, (3M LIBOR + 3.25%), 09/30/22 (a)

 

174,184

 

165,040

 
 

SS&C Technologies Holdings Europe S.A.R.L.

     
 

2018 Term Loan B4, 3.35%, (1M LIBOR + 1.75%), 02/27/25 (a)

 

80,659

 

75,215

 
 

SS&C Technologies Inc.

     
 

2018 Term Loan B3, 3.35%, (1M LIBOR + 1.75%), 02/27/25 (a)

 

113,036

 

105,406

 
 

SurveyMonkey Inc.

     
 

2018 Term Loan B, 4.49%, (3M LIBOR + 3.75%), 10/10/25 (a) (b)

 

72,779

 

57,496

 
 

TriTech Software Systems

     
 

2018 Term Loan B, 5.35%, (3M LIBOR + 3.75%), 08/16/25 (a)

 

88,875

 

69,856

 
 

Verifone Systems, Inc.

     
 

2018 1st Lien Term Loan, 5.69%, (3M LIBOR + 4.00%), 08/09/25 (a)

 

202,562

 

124,914

 
 

Verra Mobility Corporation

     
 

2020 Term Loan B, 4.85%, 02/23/25 (a)

 

195,723

 

174,194

 
 

Vertafore, Inc.

     
 

2018 1st Lien Term Loan, 4.85%, (1M LIBOR + 3.25%), 06/04/25 (a)

 

55,547

 

48,654

 
 

Western Digital Corporation

     
 

2018 Term Loan B4, 3.35%, (3M LIBOR + 1.75%), 04/29/23 (a)

 

173,906

 

166,950

 
 

WEX Inc.

     
 

Term Loan B3, 3.85%, (1M LIBOR + 2.25%), 05/17/26 (a)

 

296,739

 

255,789

 
 

5,939,161

 

Industrials 12.1%

 

Advanced Disposal Services Inc.

     
 

Term Loan B3, 2.89%, (3M LIBOR + 2.25%), 11/10/23 (a)

 

300,819

 

296,557

 
 

AI Mistral Holdco Limited

     
 

2017 Term Loan B, 4.60%, (1M LIBOR + 3.00%), 01/26/24 (a)

 

113,253

 

75,124

 
 

Allegiant Travel Company

     
 

2020 Term Loan, 4.71%, (3M LIBOR + 3.00%), 02/05/24 (a)

 

59,100

 

45,802

 
 

Altra Industrial Motion Corp.

     
 

2018 Term Loan B, 3.60%, (1M LIBOR + 2.00%), 09/26/25 (a)

 

312,905

 

271,933

 
 

Altran Technologies

     
 

2018 USD Term Loan B, 3.27%, (1M LIBOR + 2.50%), 01/31/25 (a)

 

59,098

 

53,927

 
 

APi Group DE, Inc.

     
 

Term Loan B, 4.10%, (1M LIBOR + 2.50%), 09/25/26 (a)

 

15,000

 

12,744

 
 

Autokiniton US Holdings, Inc.

     
 

2018 Term Loan B, 7.98%, (1M LIBOR + 6.38%), 05/18/25 (a) (b)

 

98,250

 

78,600

 
 

Beacon Roofing Supply, Inc.

     
 

2017 Term Loan B, 3.85%, (1M LIBOR + 2.25%), 01/02/25 (a)

 

59,394

 

53,529

 
 

Brand Energy & Infrastructure Services, Inc.

     
 

2017 Term Loan, 6.12%, (3M LIBOR + 4.25%), 06/16/24 (a)

 

50,153

 

39,864

 
 

2017 Term Loan, 6.06%, (3M LIBOR + 4.25%), 06/17/24 (a)

 

56,881

 

45,212

 
 

BrightView Landscapes, LLC

     
 

2018 1st Lien Term Loan B, 4.12%, (1M LIBOR + 2.50%), 08/09/25 (a)

 

56,195

 

52,683

 
 

2018 1st Lien Term Loan B, 3.13%, (1M LIBOR + 2.50%), 08/15/25 (a)

 

68,582

 

64,296

 
 

Brookfield WEC Holdings Inc.

     
 

2020 Term Loan, 4.60%, (1M LIBOR + 3.00%), 08/01/25 (a)

 

222,187

 

208,856

 
 

Builders FirstSource, Inc.

     
 

2017 Term Loan B, 4.61%, (3M LIBOR + 3.00%), 02/29/24 (a)

 

11,290

 

10,048

 
 

Camelot U.S. Acquisition 1 Co.

     
 

Term Loan B, 4.85%, (1M LIBOR + 3.25%), 10/31/26 (a)

 

35,862

 

33,711

 
 

DG Investment Intermediate Holdings 2, Inc.

     
 

2018 1st Lien Term Loan, 4.60%, (1M LIBOR + 3.00%), 01/31/25 (a)

 

131,954

 

110,842

 
 

Dynasty Acquisition Co., Inc.

     
 

2020 CAD Term Loan B2, 5.21%, (3M LIBOR + 3.50%), 04/06/26 (a)

 

35,515

 

28,101

 
 

2020 Term Loan B1, 5.21%, (3M LIBOR + 3.50%), 04/06/26 (a)

 

66,058

 

52,268

 
 

Electrical Components International, Inc.

     
 

2018 1st Lien Term Loan, 6.19%, (3M LIBOR + 4.25%), 06/22/25 (a)

 

81,205

 

60,091

 
 

Element Materials Technology Group US Holdings Inc

     
 

2017 USD Term Loan B, 5.44%, (3M LIBOR + 3.50%), 06/29/24 (a)

 

78,593

 

66,543

 
 

Encapsys, LLC

     
 

2020 Term Loan B2, 4.85%, (1M LIBOR + 3.25%), 11/07/24 (a) (b)

 

107,748

 

84,044

 
 

Engineered Machinery Holdings, Inc.

     
 

USD 1st Lien Term Loan, 4.94%, (3M LIBOR + 3.00%), 07/25/24 (a)

 

128,538

 

104,759

 
 

EWT Holdings III Corp.

     
 

2020 Term Loan, 4.60%, (1M LIBOR + 2.75%), 12/20/24 (a)

 

110,042

 

99,221

 

Abbreviations and additional footnotes are defined on page 33

9


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Filtration Group Corporation

     
 

2018 1st Lien Term Loan, 3.99%, (1M LIBOR + 3.00%), 03/27/25 (a)

 

129,844

 

112,152

 
 

Gardner Denver, Inc.

     
 

Term Loan, 0.00%, (1M LIBOR + 2.75%), 07/30/24 (a) (c)

 

55,000

 

51,425

 
 

Term Loan, 4.35%, (3M LIBOR + 1.75%), 03/01/27 (a)

 

123,285

 

115,271

 
 

Gates Global LLC

     
 

2017 USD Repriced Term Loan B, 3.75%, (1M LIBOR + 2.75%), 04/01/24 (a)

 

294,949

 

254,246

 
 

Genesee & Wyoming Inc. (New)

     
 

Term Loan, 3.96%, (3M LIBOR + 2.00%), 10/29/26 (a)

 

54,000

 

51,469

 
 

GFL Environmental Inc.

     
 

2018 USD Term Loan B, 4.00%, (1M LIBOR + 3.00%), 05/11/25 (a)

 

20,269

 

19,560

 
 

2018 USD Term Loan B, 4.60%, (1M LIBOR + 3.00%), 05/11/25 (a)

 

113,277

 

109,312

 
 

Hamilton Holdco, LLC

     
 

2018 Term Loan B, 3.95%, (3M LIBOR + 2.00%), 06/01/25 (a)

 

326,945

 

304,059

 
 

Harbor Freight Tools USA, Inc.

     
 

2018 Term Loan B, 4.10%, (1M LIBOR + 2.50%), 08/16/23 (a)

 

103,133

 

93,232

 
 

Hillman Group Inc. (The)

     
 

2018 Term Loan B, 5.60%, (6M LIBOR + 4.00%), 05/16/25 (a)

 

197,495

 

153,305

 
 

IBC Capital Limited

     
 

2018 1st Lien Term Loan, 4.64%, (3M LIBOR + 3.75%), 09/11/23 (a) (b)

 

140,979

 

119,128

 
 

Janus International Group, LLC

     
 

2018 1st Lien Term Loan, 5.35%, (1M LIBOR + 3.75%), 02/07/25 (a)

 

91,276

 

90,135

 
 

MX Holdings US, Inc.

     
 

2018 USD Term Loan B1C, 4.35%, (1M LIBOR + 2.75%), 06/18/25 (a)

 

73,874

 

64,824

 
 

Navistar International Corporation

     
 

2017 1st Lien Term Loan B, 4.28%, (1M LIBOR + 3.50%), 11/01/24 (a)

 

228,758

 

196,732

 
 

Pelican Products, Inc.

     
 

2018 1st Lien Term Loan, 5.16%, (1M LIBOR + 3.50%), 04/18/25 (a)

 

98,250

 

77,740

 
 

PODS, LLC

     
 

2018 1st Lien Term Loan, 4.41%, (1M LIBOR + 2.75%), 11/21/24 (a)

 

127,762

 

113,069

 
 

Prime Security Services Borrower, LLC

     
 

2019 Term Loan B1, 4.61%, (1M LIBOR + 3.25%), 12/31/22 (a)

 

335,626

 

299,714

 
 

Rexnord LLC

     
 

2019 Term Loan B, 2.68%, (1M LIBOR + 1.75%), 08/21/24 (a)

 

120,690

 

109,677

 
 

Reynolds Group Holdings Inc.

     
 

USD 2017 Term Loan, 3.74%, (1M LIBOR + 2.75%), 02/05/23 (a)

 

129,774

 

122,313

 
 

Robertshaw US Holding Corp

     
 

2018 1st Lien Term Loan, 4.88%, (1M LIBOR + 3.25%), 02/14/25 (a)

 

98,000

 

58,800

 
 

Sabre Industries, Inc.

     
 

Term Loan, 0.00%, (3M LIBOR + 3.50%), 04/09/26 (a) (c)

 

20,000

 

17,983

 
 

2019 Term Loan B, 4.49%, (3M LIBOR + 3.50%), 04/09/26 (a)

 

94,287

 

84,780

 
 

Spectrum Holdings III Corp.

     
 

1st Lien Term Loan, 4.85%, (3M LIBOR + 3.25%), 01/26/25 (a)

 

89,180

 

60,642

 
 

Tempo Acquisition LLC

     
 

Term Loan, 3.74%, (1M LIBOR + 2.75%), 04/20/24 (a)

 

192,286

 

171,135

 
 

TransDigm, Inc.

     
 

2020 Term Loan G, 3.85%, (1M LIBOR + 2.25%), 08/22/24 (a)

 

196,000

 

181,496

 
 

2020 Term Loan E, 3.24%, (1M LIBOR + 2.25%), 05/30/25 (a)

 

117,900

 

106,994

 
 

USI, Inc.

     
 

2017 Repriced Term Loan, 3.99%, (3M LIBOR + 3.00%), 05/16/24 (a)

 

197,237

 

179,485

 
 

USIC Holdings, Inc.

     
 

2017 Term Loan B, 4.85%, (1M LIBOR + 3.25%), 12/09/23 (a)

 

132,577

 

111,365

 
 

VC GB Holdings, Inc.

     
 

2017 1st Lien Term Loan, 4.60%, (3M LIBOR + 3.00%), 02/28/24 (a) (b)

 

58,979

 

48,363

 
 

Ventia Deco LLC

     
 

2016 Term Loan B, 5.44%, (3M LIBOR + 3.50%), 05/21/22 (a)

 

47,144

 

40,544

 
 

Vertiv Group Corporation

     
 

Term Loan B, 4.58%, (1M LIBOR + 3.00%), 02/11/27 (a)

 

166,667

 

143,334

 
 

XPO Logistics, Inc.

     
 

2019 Term Loan B1, 4.19%, (3M LIBOR + 2.50%), 02/24/25 (a)

 

95,000

 

89,656

 
 

5,700,695

 

Communication Services 12.0%

 

Altice Financing SA

     
 

2017 USD Term Loan B, 4.41%, (3M LIBOR + 2.75%), 07/31/25 (a)

 

103,405

 

93,582

 
 

Altice France S.A.

     
 

2018 Term Loan B13, 4.70%, (1M LIBOR + 4.00%), 07/13/26 (a)

 

227,125

 

215,201

 
 

AMC Entertainment Holdings, Inc.

     
 

2019 Term Loan B, 4.61%, (1M LIBOR + 3.00%), 04/22/26 (a)

 

166,596

 

121,458

 
 

Ancestry.com Operations Inc.

     
 

2019 Extended Term Loan B, 5.86%, (1M LIBOR + 4.25%), 08/15/26 (a)

 

101,636

 

80,292

 
 

CenturyLink, Inc.

     
 

2020 Term Loan B, 3.24%, (1M LIBOR + 2.25%), 03/15/27 (a)

 

216,981

 

201,387

 
 

Charter Communications Operating, LLC

     
 

2019 Term Loan B1, 3.36%, (1M LIBOR + 1.75%), 04/30/25 (a)

 

309,538

 

296,253

 
 

Cincinnati Bell, Inc.

     
 

2017 Term Loan, 4.85%, (1M LIBOR + 3.25%), 10/02/24 (a)

 

98,500

 

93,682

 
 

Cogeco Communications (USA) II L.P.

     
 

2017 1st Lien Term Loan, 3.60%, (1M LIBOR + 2.00%), 08/11/24 (a)

 

320,724

 

297,205

 
 

Connect Finco Sarl

     
 

Term Loan B, 5.49%, (1M LIBOR + 4.50%), 09/23/26 (a)

 

140,000

 

109,550

 
 

Consolidated Communications, Inc.

     
 

2016 Term Loan B, 4.61%, (1M LIBOR + 3.00%), 09/29/23 (a)

 

171,839

 

149,929

 
 

CSC Holdings, LLC

     
 

2017 1st Lien Term Loan, 2.86%, (1M LIBOR + 2.25%), 07/15/25 (a)

 

148,852

 

141,658

 
 

2019 Term Loan B5, 3.11%, (1M LIBOR + 2.50%), 04/15/27 (a)

 

247,500

 

235,949

 
 

Diamond Sports Group, LLC

     
 

Term Loan, 4.18%, (1M LIBOR + 3.25%), 08/24/26 (a)

 

54,725

 

42,138

 
 

Entercom Media Corp.

     
 

2019 Term Loan, 4.10%, (1M LIBOR + 2.50%), 11/18/24 (a)

 

122,221

 

109,999

 
 

GoodRx, Inc.

     
 

1st Lien Term Loan, 4.35%, (1M LIBOR + 2.75%), 10/10/25 (a)

 

52,917

 

49,124

 
 

Gray Television, Inc.

     
 

2018 Term Loan C, 4.02%, (1M LIBOR + 2.50%), 10/30/25 (a)

 

277,460

 

256,928

 
 

Hargray Communications Group, Inc.

     
 

2017 Term Loan B, 4.60%, (1M LIBOR + 3.00%), 03/23/24 (a)

 

108,880

 

94,000

 
 

iHeartCommunications, Inc.

     
 

2020 Term Loan, 3.99%, (1M LIBOR + 3.00%), 05/01/26 (a)

 

19,950

 

16,708

 
 

Intelsat Jackson Holdings S.A.

     
 

2017 Term Loan B3, 5.68%, (6M LIBOR + 3.75%), 11/27/23 (a)

 

105,000

 

95,681

 
 

Iridium Satellite LLC

     
 

Term Loan, 4.75%, (1M LIBOR + 3.75%), 10/08/27 (a)

 

22,000

 

20,680

 

Abbreviations and additional footnotes are defined on page 33

10


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Level 3 Financing Inc.

     
 

2019 Term Loan B, 3.35%, (1M LIBOR + 1.75%), 03/01/27 (a)

 

229,383

 

213,326

 
 

Maxar Technologies Ltd.

     
 

Term Loan B, 4.36%, (3M LIBOR + 2.75%), 07/07/24 (a)

 

141,785

 

118,390

 
 

MTN Infrastructure TopCo Inc

     
 

1st Lien Term Loan B, 4.00%, (1M LIBOR + 3.00%), 10/27/24 (a)

 

202,686

 

177,350

 
 

NASCAR Holdings, Inc

     
 

Term Loan B, 3.67%, (1M LIBOR + 2.75%), 07/26/26 (a)

 

7,077

 

6,171

 
 

Nexstar Broadcasting, Inc.

     
 

2019 Term Loan B4, 4.33%, (1M LIBOR + 2.75%), 07/15/26 (a)

 

184,191

 

170,745

 
 

PUG LLC

     
 

USD Term Loan , 5.17%, (1M LIBOR + 3.50%), 01/31/27 (a) (b)

 

129,675

 

110,224

 
 

SBA Senior Finance II LLC

     
 

2018 Term Loan B, 3.36%, (1M LIBOR + 1.75%), 03/26/25 (a)

 

337,238

 

318,015

 
 

Securus Technologies Holdings, Inc.

     
 

2017 1st Lien Term Loan, 5.50%, (1M LIBOR + 4.50%), 06/20/24 (a)

 

99,278

 

76,444

 
 

Sinclair Television Group Inc.

     
 

Term Loan B2, 3.86%, (1M LIBOR + 2.25%), 01/06/24 (a)

 

297,632

 

282,751

 
 

Sprint Communications, Inc.

     
 

1st Lien Term Loan B, 4.12%, (1M LIBOR + 2.50%), 02/01/24 (a)

 

333,131

 

330,633

 
 

Term Loan, 4.00%, (1M LIBOR + 3.00%), 02/05/24 (a)

 

69,125

 

68,607

 
 

Telenet Financing USD LLC

     
 

2020 USD Term Loan AR, 2.70%, (1M LIBOR + 2.00%), 04/21/29 (a)

 

250,000

 

227,750

 
 

Telesat Canada

     
 

Term Loan B5, 3.74%, (1M LIBOR + 2.75%), 11/22/26 (a)

 

77,805

 

73,915

 
 

Terrier Media Buyer, Inc.

     
 

Term Loan, 0.00%, (3M LIBOR + 4.25%), 10/04/26 (a) (c)

 

20,000

 

17,650

 
 

Term Loan B, 6.15%, (3M LIBOR + 4.25%), 10/04/26 (a)

 

106,732

 

94,191

 
 

Univision Communications Inc.

     
 

Term Loan C5, 3.75%, (1M LIBOR + 2.75%), 03/15/24 (a)

 

120,273

 

101,330

 
 

Vestcom Parent Holdings, Inc.

     
 

2016 1st Lien Term Loan, 5.60%, (3M LIBOR + 4.00%), 12/15/23 (a) (b)

 

73,395

 

57,982

 
 

2016 1st Lien Term Loan, 7.75%, (3M PRIME + 3.00%), 12/16/23 (a) (b)

 

13

 

10

 
 

Virgin Media Bristol LLC

     
 

USD Term Loan N, 3.20%, (1M LIBOR + 2.50%), 10/03/27 (a)

 

210,000

 

193,200

 
 

Windstream Holdings Inc.

     
 

DIP Term Loan, 4.11%, (1M LIBOR + 2.50%), 03/08/21 (a)

 

55,000

 

53,350

 
 

Zayo Group Holdings, Inc.

     
 

USD Term Loan , 4.01%, (1M LIBOR + 3.00%), 02/20/27 (a)

 

74,185

 

69,734

 
 

Ziggo Financing Partnership

     
 

USD Term Loan I, 3.20%, (1M LIBOR + 2.50%), 04/17/28 (a)

 

184,000

 

172,960

 
 

5,656,132

 

Health Care 10.4%

 

Accelerated Health Systems, LLC

     
 

Term Loan B, 4.30%, (1M LIBOR + 3.50%), 11/02/25 (a) (b)

 

109,072

 

92,711

 
 

ADMI Corp.

     
 

2018 Term Loan B, 4.35%, (1M LIBOR + 2.75%), 04/06/24 (a)

 

147,915

 

120,995

 
 

Agiliti Health, Inc

     
 

Term Loan, 4.62%, (1M LIBOR + 3.00%), 10/18/25 (a) (b)

 

62,370

 

59,563

 
 

Air Methods Corporation

     
 

2017 Term Loan B, 5.44%, (3M LIBOR + 3.50%), 04/12/24 (a)

 

134,354

 

93,451

 
 

Aldevron, L.L.C.

     
 

2019 Term Loan B, 6.19%, (3M LIBOR + 4.25%), 09/20/26 (a)

 

130,000

 

120,900

 
 

Alliance Healthcare Services, Inc.

     
 

2017 Term Loan B, 6.10%, (1M LIBOR + 4.50%), 10/20/23 (a)

 

122,642

 

96,887

 
 

Alphabet Holding Company, Inc.

     
 

2017 1st Lien Term Loan, 5.10%, (1M LIBOR + 3.50%), 08/15/24 (a)

 

63,854

 

50,480

 
 

Amneal Pharmaceuticals LLC

     
 

2018 Term Loan B, 5.12%, (1M LIBOR + 3.50%), 03/26/25 (a)

 

90,680

 

77,078

 
 

Athenahealth, Inc.

     
 

2019 Term Loan B, 5.28%, (3M LIBOR + 4.50%), 01/25/26 (a)

 

138,974

 

129,246

 
 

ATI Holdings Acquisition, Inc.

     
 

2016 Term Loan, 5.10%, (1M LIBOR + 3.50%), 05/10/23 (a)

 

160,269

 

112,188

 
 

Auris Luxembourg III S.a.r.l.

     
 

2019 USD Term Loan B2, 4.74%, (1M LIBOR + 3.75%), 07/23/25 (a)

 

69,102

 

51,308

 
 

Bausch Health Companies Inc.

     
 

2018 Term Loan B, 3.61%, (1M LIBOR + 3.00%), 05/19/25 (a)

 

213,388

 

201,918

 
 

Change Healthcare Holdings LLC

     
 

2017 Term Loan B, 3.50%, (1M LIBOR + 2.50%), 02/02/24 - 02/03/24 (a)

 

176,903

 

166,289

 
 

CHG Healthcare Services Inc.

     
 

2017 1st Lien Term Loan B, 4.60%, (1M LIBOR + 3.00%), 06/07/23 (a)

 

167,113

 

147,616

 
 

Da Vinci Purchaser Corp.

     
 

2019 Term Loan, 5.87%, (3M LIBOR + 4.00%), 12/10/26 (a)

 

113,000

 

106,220

 
 

DaVita, Inc.

     
 

2020 Term Loan B, 3.35%, (1M LIBOR + 1.75%), 07/30/26 (a)

 

89,551

 

84,794

 
 

Elanco Animal Health Inc

     
 

Term Loan, 0.00%, (3M LIBOR + 1.75%), 02/04/27 (a) (c)

 

140,000

 

132,300

 
 

Endo Luxembourg Finance Company I S.a r.l.

     
 

2017 Term Loan B, 5.25%, (1M LIBOR + 4.25%), 04/12/24 (a)

 

152,013

 

135,671

 
 

Envision Healthcare Corporation

     
 

2018 1st Lien Term Loan, 4.74%, (1M LIBOR + 3.75%), 09/27/25 (a)

 

102,792

 

51,910

 
 

ExamWorks Group, Inc.

     
 

2017 Term Loan, 4.85%, (6M LIBOR + 3.25%), 07/27/23 (a)

 

166,562

 

149,073

 
 

Gentiva Health Services, Inc.

     
 

2020 Term Loan, 4.25%, (1M LIBOR + 3.25%), 07/02/25 (a)

 

139,663

 

130,584

 
 

GHX Ultimate Parent Corporation

     
 

2017 1st Lien Term Loan, 5.21%, (3M LIBOR + 3.25%), 06/24/24 (a)

 

127,380

 

117,827

 
 

Global Medical Response, Inc.

     
 

2018 Term Loan B1, 4.93%, (3M LIBOR + 3.25%), 04/28/22 (a)

 

132,173

 

121,930

 
 

Grifols Worldwide Operations USA, Inc.

     
 

USD 2019 Term Loan B, 2.68%, (3M LIBOR + 2.00%), 11/15/27 (a)

 

116,707

 

109,997

 
 

Jaguar Holding Company II

     
 

2018 Term Loan , 3.50%, (1M LIBOR + 2.50%), 08/18/22 (a)

 

126,261

 

120,174

 
 

Kindred Healthcare LLC

     
 

2018 1st Lien Term Loan, 6.63%, (1M LIBOR + 5.00%), 06/21/25 (a)

 

93,575

 

77,199

 
 

MPH Acquisition Holdings LLC

     
 

2016 Term Loan B, 4.20%, (3M LIBOR + 2.75%), 06/07/23 (a)

 

134,916

 

118,838

 
 

National Mentor Holdings, Inc.

     
 

2019 Term Loan B, 5.61%, (1M LIBOR + 4.00%), 03/09/26 (a)

 

114,838

 

102,206

 
 

2019 Term Loan C, 5.61%, (3M LIBOR + 4.00%), 03/09/26 (a)

 

7,187

 

6,396

 
 

Ortho-Clinical Diagnostics SA

     
 

2018 Term Loan B, 4.77%, (1M LIBOR + 3.25%), 06/01/25 (a)

 

195,808

 

165,702

 

Abbreviations and additional footnotes are defined on page 33

11


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Parexel International Corporation

     
 

Term Loan B, 3.74%, (1M LIBOR + 2.75%), 08/06/24 (a)

 

87,455

 

74,227

 
 

Phoenix Guarantor Inc

     
 

2020 Term Loan B, 4.11%, (1M LIBOR + 3.25%), 03/05/26 (a)

 

136,195

 

122,916

 
 

Prestige Brands, Inc.

     
 

Term Loan B4, 2.99%, (1M LIBOR + 2.00%), 01/20/24 (a)

 

115,601

 

107,013

 
 

Radiology Partners Inc

     
 

2018 1st Lien Term Loan B, 5.98%, (3M LIBOR + 4.25%), 06/28/25 (a)

 

51,800

 

42,372

 
 

2018 1st Lien Term Loan B, 5.99%, (3M LIBOR + 4.25%), 06/28/25 (a)

 

60,415

 

49,420

 
 

RadNet, Inc.

     
 

Term Loan, 5.35%, (3M LIBOR + 3.50%), 06/30/23 (a)

 

130,209

 

112,305

 
 

Reprice Term Loan, 7.25%, (3M LIBOR + 3.50%), 06/30/23 (a)

 

2,003

 

1,728

 
 

RegionalCare Hospital Partners Holdings, Inc.

     
 

2018 Term Loan B, 5.35%, (1M LIBOR + 3.75%), 11/09/25 (a)

 

146,513

 

137,070

 
 

Select Medical Corporation

     
 

2017 Term Loan B, 3.43%, (3M LIBOR + 2.50%), 03/06/25 (a)

 

161,714

 

152,820

 
 

Sound Inpatient Physicians

     
 

2018 1st Lien Term Loan, 4.35%, (1M LIBOR + 2.75%), 06/19/25 (a)

 

135,094

 

118,433

 
 

Surgery Center Holdings, Inc.

     
 

2017 Term Loan B, 4.86%, (1M LIBOR + 3.25%), 06/18/24 (a)

 

137,116

 

104,483

 
 

Team Health Holdings, Inc.

     
 

1st Lien Term Loan, 3.75%, (1M LIBOR + 2.75%), 01/12/24 (a)

 

136,773

 

85,483

 
 

Tivity Health Inc

     
 

Term Loan A, 5.85%, (1M LIBOR + 4.25%), 03/08/24 (a)

 

24,000

 

19,200

 
 

Term Loan B, 6.85%, (1M LIBOR + 5.25%), 03/08/26 (a)

 

28,012

 

22,263

 
 

U.S. Anesthesia Partners, Inc.

     
 

2017 Term Loan, 4.60%, (1M LIBOR + 3.00%), 06/16/24 (a)

 

102,319

 

75,887

 
 

U.S. Renal Care, Inc.

     
 

2019 Term Loan B, 6.63%, (1M LIBOR + 5.00%), 06/12/26 (a)

 

129,350

 

111,796

 
 

Upstream Newco, Inc.

     
 

2019 Term Loan, 6.10%, (1M LIBOR + 4.50%), 10/21/26 (a) (b)

 

60,000

 

48,600

 
 

Vizient, Inc.

     
 

2020 Term Loan B6, 3.61%, (1M LIBOR + 2.00%), 05/06/26 (a)

 

39,600

 

36,630

 
 

Wellpath Holdings, Inc.

     
 

2018 1st Lien Term Loan, 7.10%, (6M LIBOR + 5.50%), 09/25/25 (a)

 

61,500

 

47,970

 
 

2018 1st Lien Term Loan, 7.28%, (3M LIBOR + 5.50%), 09/25/25 (a)

 

37,250

 

29,055

 
 

Zelis Healthcare Corporation

     
 

Term Loan, 0.00%, (1M LIBOR + 4.75%), 09/26/26 (a) (c)

 

70,000

 

64,400

 
 

Term Loan B, 6.35%, (1M LIBOR + 4.75%), 09/26/26 (a)

 

59,850

 

55,062

 
 

4,870,584

 

Financials 10.2%

 

Acrisure, LLC

     
 

2020 Term Loan B, 5.21%, (3M LIBOR + 3.50%), 01/30/27 (a)

 

240,877

 

211,971

 
 

Advisor Group, Inc.

     
 

2019 Term Loan B, 6.60%, (1M LIBOR + 5.00%), 07/31/26 (a)

 

130,455

 

95,993

 
 

AlixPartners, LLP

     
 

2017 Term Loan B, 3.50%, (1M LIBOR + 2.50%), 03/28/24 (a)

 

100,828

 

96,038

 
 

Alliant Holdings Intermediate, LLC

     
 

2018 Term Loan B, 3.99%, (1M LIBOR + 3.00%), 05/07/25 (a)

 

197,347

 

178,796

 
 

AmWINS Group, Inc.

     
 

2017 Term Loan B, 3.75%, (1M LIBOR + 2.75%), 01/19/24 (a)

 

131,223

 

120,889

 
 

2017 Term Loan B, 3.77%, (1M LIBOR + 2.75%), 01/19/24 (a)

 

26,289

 

24,218

 
 

Aretec Group, Inc.

     
 

2018 Term Loan , 5.85%, (1M LIBOR + 4.25%), 08/15/25 (a)

 

122,648

 

80,335

 
 

AssuredPartners, Inc.

     
 

2020 Term Loan B, 4.49%, (1M LIBOR + 3.50%), 08/07/20 (a)

 

220,618

 

191,386

 
 

Asurion LLC

     
 

2017 Term Loan B4, 4.60%, (1M LIBOR + 3.00%), 08/04/22 (a)

 

160,275

 

151,192

 
 

Avolon TLB Borrower 1 (US) LLC

     
 

Term Loan B3, 2.52%, (1M LIBOR + 1.75%), 01/15/25 (a)

 

59,627

 

52,869

 
 

BCP Renaissance Parent LLC

     
 

2017 Term Loan B, 5.44%, (3M LIBOR + 3.50%), 09/20/24 (a)

 

57,561

 

28,493

 
 

Belron Finance US LLC

     
 

2018 Term Loan B, 3.96%, (3M LIBOR + 2.25%), 11/19/25 (a)

 

93,812

 

88,184

 
 

Blackstone CQP Holdco LP

     
 

Term Loan B, 4.62%, (3M LIBOR + 3.50%), 05/29/24 (a)

 

79,002

 

61,464

 
 

Crown Finance US, Inc.

     
 

2018 USD Term Loan, 3.32%, (6M LIBOR + 2.25%), 02/05/25 (a)

 

235,657

 

159,069

 
 

Deerfield Dakota Holding, LLC

     
 

2018 Term Loan B, 4.25%, (1M LIBOR + 3.25%), 12/04/24 (a)

 

127,994

 

125,435

 
 

Duff & Phelps, LLC

     
 

Term Loan, 0.00%, (3M LIBOR + 3.75%), 03/05/27 (a) (b) (c)

 

40,000

 

33,600

 
 

Edelman Financial Center, LLC

     
 

2018 1st Lien Term Loan, 4.18%, (1M LIBOR + 3.25%), 06/26/25 (a)

 

290,336

 

244,608

 
 

First American Payment Systems, L.P.

     
 

2020 Term Loan B, 5.77%, (3M LIBOR + 5.00%), 02/24/27 (a)

 

35,000

 

30,100

 
 

First Eagle Holdings, Inc.

     
 

2020 Term Loan B, 4.26%, (3M LIBOR + 2.50%), 02/02/27 (a)

 

118,292

 

99,069

 
 

Garrett LX III S.a r.l.

     
 

2018 USD Term Loan B, 3.77%, (3M LIBOR + 2.50%), 09/22/25 (a)

 

178,357

 

146,253

 
 

Hub International Limited

     
 

2018 Term Loan B, 4.39%, (3M LIBOR + 2.75%), 04/25/25 (a)

 

6,472

 

6,013

 
 

2018 Term Loan B, 4.52%, (3M LIBOR + 2.75%), 04/25/25 (a)

 

346

 

322

 
 

Term Loan, 4.55%, (3M LIBOR + 2.75%), 04/25/25 (a)

 

135,737

 

126,100

 
 

Ineos Enterprises Holdings US Finco LLC

     
 

2020 USD Term Loan B, 5.11%, (3M LIBOR + 3.50%), 07/29/26 (a)

 

112,297

 

98,447

 
 

INEOS US Finance LLC

     
 

2017 USD Term Loan B, 3.60%, (1M LIBOR + 2.00%), 03/31/24 (a)

 

315,702

 

287,683

 
 

ION Trading Technologies S.a.r.l.

     
 

USD Incremental Term Loan B, 6.06%, (3M LIBOR + 4.00%), 11/21/24 (a)

 

125,258

 

102,294

 
 

iStar, Inc.

     
 

2016 Term Loan B, 3.52%, (1M LIBOR + 2.75%), 06/30/20 (a)

 

88,096

 

78,406

 
 

2016 Term Loan B, 3.77%, (1M LIBOR + 2.75%), 06/30/20 (a)

 

159,517

 

141,970

 
 

Jane Street Group, LLC

     
 

2020 Term Loan, 4.61%, (3M LIBOR + 3.00%), 01/31/25 (a)

 

300,031

 

267,028

 
 

Lions Gate Capital Holdings LLC

     
 

2018 Term Loan B, 3.85%, (1M LIBOR + 2.25%), 03/20/25 (a)

 

203,863

 

182,458

 
 

LPL Holdings, Inc.

     
 

2019 Term Loan B1, 2.71%, (1M LIBOR + 1.75%), 11/07/26 (a)

 

121,876

 

114,259

 
 

NAB Holdings LLC

     
 

2017 Repriced Term Loan, 4.94%, (3M LIBOR + 3.00%), 01/15/25 (a)

 

148,516

 

115,843

 

Abbreviations and additional footnotes are defined on page 33

12


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Nuvei Technologies Corp.

     
 

USD Term Loan , 6.60%, (1M LIBOR + 5.00%), 07/22/20 (a) (b)

 

63,186

 

56,236

 
 

Sedgwick Claims Management Services, Inc.

     
 

2018 Term Loan B, 4.24%, (1M LIBOR + 3.25%), 11/06/25 (a)

 

207,375

 

182,318

 
 

SolarWinds Holdings, Inc.

     
 

2018 Term Loan B, 4.35%, (1M LIBOR + 2.75%), 02/06/24 (a)

 

196,363

 

181,964

 
 

TKC Holdings, Inc.

     
 

2017 1st Lien Term Loan, 5.36%, (1M LIBOR + 3.75%), 02/08/23 (a)

 

95,349

 

75,994

 
 

Trans Union, LLC

     
 

2019 Term Loan B5, 3.35%, (1M LIBOR + 1.75%), 11/13/26 (a)

 

135,111

 

128,963

 
 

Travelport Finance (Luxembourg) S.a.r.l.

     
 

2019 Term Loan, 6.94%, (3M LIBOR + 5.00%), 03/18/26 (a)

 

89,550

 

57,357

 
 

UFC Holdings, LLC

     
 

2019 Term Loan, 4.86%, (1M LIBOR + 3.25%), 04/25/26 (a)

 

126,809

 

110,323

 
 

VFH Parent LLC

     
 

2019 Term Loan B, 4.01%, (1M LIBOR + 3.00%), 03/02/26 (a)

 

191,329

 

173,631

 
 

Victory Capital Holdings, Inc.

     
 

2020 Term Loan B, 4.02%, (1M LIBOR + 2.50%), 07/01/26 (a)

 

74,782

 

64,686

 
 

4,772,257

 

Materials 9.8%

 

American Builders & Contractors Supply Co., Inc.

     
 

2019 Term Loan, 3.60%, (1M LIBOR + 2.00%), 01/15/27 (a)

 

119,400

 

112,236

 
 

Avantor Funding, Inc.

     
 

USD Term Loan B3, 3.85%, (1M LIBOR + 2.25%), 09/22/24 (a)

 

69,374

 

65,211

 
 

Ball Metalpack, LLC

     
 

2018 1st Lien Term Loan B, 6.11%, (3M LIBOR + 4.50%), 07/25/25 (a)

 

98,250

 

73,687

 
 

Berry Global, Inc.

     
 

Term Loan W, 2.86%, (3M LIBOR + 2.00%), 10/01/22 (a)

 

62,850

 

59,838

 
 

Term Loan Y, 2.86%, (1M LIBOR + 2.00%), 07/01/26 (a)

 

53,688

 

50,735

 
 

BWAY Holding Company

     
 

2017 Term Loan B, 5.08%, (3M LIBOR + 3.25%), 04/03/24 (a)

 

214,613

 

173,972

 
 

Charter NEX US, Inc.

     
 

Incremental Term Loan, 4.49%, (1M LIBOR + 3.50%), 05/16/24 (a)

 

136,995

 

118,501

 
 

Composite Resins Holding B.V.

     
 

2018 Term Loan B, 5.26%, (1M LIBOR + 4.25%), 06/27/25 (a)

 

113,483

 

97,880

 
 

Consolidated Container Company LLC

     
 

2017 1st Lien Term Loan, 4.35%, (1M LIBOR + 2.75%), 05/10/24 - 05/22/24 (a)

 

127,393

 

118,476

 
 

Diamond (BC) B.V.

     
 

USD Term Loan , 4.78%, (3M LIBOR + 3.00%), 07/24/24 (a)

 

132,480

 

98,035

 
 

Element Solutions Inc.

     
 

2019 Term Loan B1, 3.60%, (1M LIBOR + 2.00%), 01/31/26 (a)

 

128,628

 

118,981

 
 

Ferro Corporation

     
 

2018 USD Term Loan B1, 4.19%, (3M LIBOR + 2.25%), 02/14/24 (a)

 

109,014

 

93,412

 
 

2018 USD Term Loan B2, 4.19%, (3M LIBOR + 2.25%), 02/14/24 (a)

 

47,469

 

40,665

 
 

2018 USD Term Loan B3, 4.19%, (3M LIBOR + 2.25%), 02/14/24 (a)

 

46,459

 

39,800

 
 

Flex Acquisition Company, Inc.

     
 

1st Lien Term Loan, 4.91%, (3M LIBOR + 3.00%), 12/15/23 (a)

 

206,959

 

187,298

 
 

1st Lien Term Loan, 4.58%, (1M LIBOR + 3.00%), 12/29/23 (a)

 

7,768

 

7,030

 
 

Gemini HDPE LLC

     
 

Term Loan B, 4.28%, (3M LIBOR + 2.50%), 08/04/24 (a) (b)

 

42,954

 

37,370

 
 

GYP Holdings III Corp.

     
 

2018 Term Loan B, 4.35%, (1M LIBOR + 2.75%), 05/15/25 (a)

 

169,917

 

152,925

 
 

Hexion Inc

     
 

USD Exit Term Loan, 5.41%, (3M LIBOR + 3.50%), 06/27/26 (a)

 

125,638

 

104,594

 
 

Klockner-Pentaplast of America, Inc.

     
 

USD 2017 Term Loan B2, 6.01%, (1M LIBOR + 4.25%), 06/30/22 (a)

 

195,980

 

135,091

 
 

LTI Holdings, Inc.

     
 

2018 Add On 1st Lien Term Loan, 5.10%, (1M LIBOR + 3.50%), 08/15/25 (a)

 

118,200

 

86,581

 
 

Messer Industries GmbH

     
 

2018 USD Term Loan, 4.44%, (3M LIBOR + 2.50%), 10/10/25 (a)

 

318,536

 

281,585

 
 

Momentive Performance Materials Inc.

     
 

Term Loan B, 4.86%, (1M LIBOR + 3.25%), 04/18/24 (a)

 

140,267

 

112,725

 
 

Onex TSG Intermediate Corp.

     
 

1st Lien Term Loan, 5.60%, (1M LIBOR + 4.00%), 07/31/22 (a)

 

100,000

 

75,900

 
 

Perstorp Holding AB

     
 

USD Term Loan B, 6.69%, (6M LIBOR + 4.75%), 04/03/26 (a)

 

94,050

 

73,672

 
 

Plaze, Inc.

     
 

2019 Term Loan B, 5.02%, (1M LIBOR + 3.50%), 08/01/26 (a) (b)

 

129,675

 

109,575

 
 

PMHC II, Inc.

     
 

2018 1st Lien Term Loan, 5.44%, (1Y LIBOR + 3.50%), 03/20/25 (a)

 

88,719

 

51,013

 
 

Polar US Borrower, LLC

     
 

2018 1st Lien Term Loan, 6.62%, (3M LIBOR + 4.75%), 08/21/25 (a)

 

233,480

 

201,960

 
 

2018 1st Lien Term Loan, 6.69%, (1M LIBOR + 4.75%), 08/21/25 (a)

 

4,118

 

3,563

 
 

Polymer Additives, Inc.

     
 

2018 1st Lien Term Loan, 7.78%, (3M LIBOR + 6.00%), 07/25/25 (a)

 

98,750

 

70,112

 
 

PQ Corporation

     
 

2018 Term Loan B, 4.03%, (3M LIBOR + 2.25%), 02/08/25 (a)

 

152,007

 

139,466

 
 

Pro Mach Group, Inc.

     
 

2018 Term Loan B, 3.68%, (1M LIBOR + 2.75%), 03/07/25 (a)

 

197,222

 

156,791

 
 

Proampac PG Borrower LLC

     
 

2016 1st Lien Term Loan, 4.50%, (1M LIBOR + 3.50%), 11/18/23 (a)

 

75,813

 

62,830

 
 

2016 1st Lien Term Loan, 5.19%, (3M LIBOR + 3.50%), 11/18/23 (a)

 

44,326

 

36,735

 
 

2016 1st Lien Term Loan, 5.26%, (3M LIBOR + 3.50%), 11/18/23 (a)

 

51,591

 

42,756

 
 

2016 1st Lien Term Loan, 5.29%, (3M LIBOR + 3.50%), 11/18/23 (a)

 

34,116

 

28,274

 
 

Quikrete Holdings, Inc.

     
 

2016 1st Lien Term Loan, 4.10%, (1M LIBOR + 2.50%), 11/03/23 (a)

 

204,487

 

188,128

 
 

Solenis Holdings LLC

     
 

Term Loan, 4.99%, (3M LIBOR + 4.00%), 12/18/25 (a)

 

257

 

202

 
 

2018 1st Lien Term Loan, 5.61%, (3M LIBOR + 4.00%), 06/26/25 - 12/18/25 (a)

 

101,103

 

79,535

 
 

Starfruit Finco B.V

     
 

2018 USD Term Loan B, 3.86%, (1M LIBOR + 3.00%), 09/20/25 (a)

 

235,085

 

209,225

 
 

TricorBraun Holdings, Inc.

     
 

2016 1st Lien Term Loan, 5.68%, (3M PRIME + 2.75%), 11/29/23 (a)

 

17,462

 

14,406

 
 

2016 1st Lien Term Loan, 5.69%, (3M LIBOR + 3.75%), 11/29/23 (a)

 

194,688

 

160,618

 
 

Trident TPI Holdings, Inc.

     
 

Term Loan, 0.00%, (3M LIBOR + 3.25%), 10/05/24 (a) (c)

 

60,000

 

49,200

 
 

2017 USD Term Loan B1, 4.60%, (3M LIBOR + 3.25%), 10/05/24 (a)

 

48,998

 

40,178

 
 

Tronox Finance LLC

     
 

Term Loan B, 4.35%, (1M LIBOR + 2.75%), 09/11/24 (a)

 

56,568

 

49,254

 

Abbreviations and additional footnotes are defined on page 33

13


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Term Loan B, 4.69%, (3M LIBOR + 2.75%), 09/11/24 (a)

 

39,915

 

34,754

 
 

Univar Solutions Inc.

     
 

2017 USD Term Loan B3, 3.85%, (3M LIBOR + 2.25%), 07/01/24 (a)

 

284,503

 

266,010

 
 

Wilsonart LLC

     
 

2017 Term Loan B, 4.71%, (3M LIBOR + 3.25%), 12/19/23 (a)

 

92,193

 

73,755

 
 

4,584,540

 

Consumer Staples 5.4%

 

8th Avenue Food & Provisions, Inc.

     
 

2018 1st Lien Term Loan, 4.30%, (1M LIBOR + 3.50%), 09/19/25 (a)

 

69,125

 

62,788

 
 

American Seafoods Group LLC

     
 

2017 1st Lien Term Loan, 3.77%, (1M LIBOR + 2.75%), 07/27/23 (a)

 

89,399

 

82,247

 
 

2017 1st Lien Term Loan, 6.50%, (3M LIBOR + 2.75%), 07/27/23 (a)

 

2,838

 

2,611

 
 

BellRing Brands, LLC

     
 

2019 Term Loan B, 6.60%, (1M LIBOR + 5.00%), 10/10/24 (a)

 

59,250

 

55,251

 
 

BJ's Wholesale Club, Inc.

     
 

2017 1st Lien Term Loan, 3.05%, (1M LIBOR + 2.25%), 01/26/24 (a)

 

69,475

 

66,349

 
 

CHG PPC Parent LLC

     
 

2018 Term Loan B, 4.35%, (1M LIBOR + 2.75%), 03/16/25 (a)

 

128,765

 

114,601

 
 

Coty Inc.

     
 

2018 USD Term Loan B, 3.26%, (1M LIBOR + 2.25%), 03/29/25 (a)

 

132,718

 

104,947

 
 

Del Monte Foods, Inc.

     
 

1st Lien Term Loan, 4.86%, (3M LIBOR + 3.25%), 01/26/21 (a)

 

34,269

 

26,644

 
 

1st Lien Term Loan, 7.00%, (6M PRIME + 2.25%), 01/26/21 (a)

 

91

 

71

 
 

Dole Food Company Inc.

     
 

2017 Term Loan B, 3.75%, (1M LIBOR + 2.75%), 03/22/24 (a)

 

101,989

 

91,407

 
 

2017 Term Loan B, 4.35%, (1M LIBOR + 2.75%), 03/22/24 (a)

 

52,330

 

46,901

 
 

Froneri International Ltd.

     
 

2020 USD Term Loan, 3.24%, (1M LIBOR + 2.25%), 01/29/27 (a)

 

59,600

 

56,471

 
 

Hearthside Food Solutions, LLC

     
 

2018 Term Loan B, 5.29%, (1M LIBOR + 3.69%), 05/17/25 (a)

 

109,562

 

90,936

 
 

Hostess Brands, Inc.

     
 

2019 Term Loan, 3.85%, (1M LIBOR + 2.25%), 08/03/25 (a)

 

87,071

 

80,541

 
 

2019 Term Loan, 4.01%, (3M LIBOR + 2.25%), 08/03/25 (a)

 

41,443

 

38,336

 
 

2019 Term Loan, 4.03%, (3M LIBOR + 2.25%), 08/03/25 (a)

 

194,789

 

180,180

 
 

JBS USA Lux S.A.

     
 

2019 Term Loan B, 3.60%, (6M LIBOR + 2.00%), 04/27/26 (a)

 

324,417

 

301,938

 
 

Portillo's Holdings, LLC

     
 

2019 1st Lien Term Loan B3, 7.44%, (3M LIBOR + 5.50%), 08/02/24 (a) (b)

 

99,500

 

79,600

 
 

Reynolds Consumer Products LLC

     
 

Term Loan, 3.50%, (3M LIBOR + 1.75%), 01/30/27 (a)

 

172,000

 

161,164

 
 

Sigma Bidco B.V.

     
 

Term Loan, 0.00%, (3M LIBOR + 3.00%), 03/07/25 (a) (c)

 

55,000

 

48,033

 
 

2018 USD Term Loan B2, 4.91%, (3M LIBOR + 3.00%), 03/07/25 (a)

 

123,061

 

107,473

 
 

United Natural Foods, Inc.

     
 

Term Loan B, 5.85%, (1M LIBOR + 4.25%), 10/22/25 (a)

 

182,160

 

154,836

 
 

US Foods, Inc.

     
 

2016 Term Loan B, 3.35%, (1M LIBOR + 1.75%), 06/27/23 (a)

 

216,025

 

199,104

 
 

2019 Term Loan B, 3.60%, (6M LIBOR + 2.00%), 08/14/26 (a)

 

99,500

 

90,346

 
 

UTZ Quality Foods, LLC

     
 

1st Lien Term Loan, 5.10%, (1M LIBOR + 3.50%), 11/14/24 (a)

 

128,236

 

114,009

 
 

Verscend Holding Corp.

     
 

2018 Term Loan B, 5.49%, (1M LIBOR + 4.50%), 08/08/25 (a)

 

187,150

 

175,921

 
 

2,532,705

 

Utilities 1.9%

 

Calpine Corporation

     
 

Term Loan B5, 4.20%, (1M LIBOR + 2.25%), 05/23/22 (a)

 

156,507

 

149,934

 
 

Term Loan B9, 3.24%, (1M LIBOR + 2.25%), 03/22/26 (a)

 

168,725

 

159,867

 
 

Helix Gen Funding, LLC

     
 

Term Loan B, 5.35%, (1M LIBOR + 3.75%), 03/02/24 (a)

 

57,305

 

50,428

 
 

Term Loan, 0.00%, (1M LIBOR + 3.75%), 05/31/24 (a) (c)

 

75,000

 

66,000

 
 

NEP/NCP Holdco, Inc.

     
 

2018 1st Lien Term Loan, 4.85%, (3M LIBOR + 3.25%), 10/05/25 (a)

 

148,274

 

90,632

 
 

PG&E Corp

     
 

DIP Term Loan, 3.12%, (1M LIBOR + 2.25%), 12/31/20 (a)

 

170,000

 

164,616

 
 

Vistra Operations Company LLC

     
 

1st Lien Term Loan B3, 2.55%, (1M LIBOR + 1.75%), 12/11/25 (a)

 

41,247

 

39,030

 
 

1st Lien Term Loan B3, 3.35%, (1M LIBOR + 1.75%), 12/11/25 (a)

 

172,333

 

163,070

 
 

883,577

 

Energy 0.8%

 

EG America LLC

     
 

2018 USD Term Loan, 5.07%, (6M LIBOR + 4.00%), 06/30/25 (a)

 

196,001

 

142,101

 
 

EG Group Limited

     
 

2018 USD Term Loan B, 5.96%, (6M LIBOR + 4.00%), 02/01/25 (a)

 

19,848

 

14,390

 
 

Lower Cadence Holdings LLC

     
 

Term Loan B, 4.99%, (1M LIBOR + 4.00%), 05/10/26 (a)

 

89,325

 

53,595

 
 

Natgasoline LLC

     
 

Term Loan B, 5.28%, (6M LIBOR + 3.50%), 10/31/25 (a) (b)

 

143,799

 

123,667

 
 

Summit Midstream Partners Holdings, LLC

     
 

Term Loan B, 7.60%, (1M LIBOR + 6.00%), 05/15/22 (a)

 

28,680

 

10,612

 
 

Traverse Midstream Partners LLC

     
 

2017 Term Loan, 5.61%, (1M LIBOR + 4.00%), 09/22/24 (a)

 

70,960

 

39,028

 
 

383,393

 

Real Estate 0.8%

 

ESH Hospitality, Inc.

     
 

2019 Term Loan B, 3.60%, (1M LIBOR + 2.00%), 09/18/26 (a)

 

90,708

 

80,050

 
 

VICI Properties 1 LLC

     
 

Replacement Term Loan B, 2.67%, (1M LIBOR + 1.75%), 12/13/24 (a)

 

320,000

 

293,200

 
 

373,250

 
 

Total Senior Loan Interests (cost $49,712,592)

42,840,674

 

CORPORATE BONDS AND NOTES 2.7%

Communication Services 0.6%

 

Diamond Sports Group, LLC

     
 

5.38%, 08/15/26 (f)

 

20,000

 

16,249

 
 

iHeartCommunications, Inc.

     
 

8.38%, 05/01/27

 

8,172

 

7,006

 
 

Live Nation Entertainment, Inc.

     
 

4.88%, 11/01/24 (f)

 

30,000

 

27,693

 
 

Neptune Finco Corp.

     
 

10.88%, 10/15/25 (f) (g)

 

157,000

 

169,519

 
 

Nexstar Escrow Inc.

     
 

5.63%, 07/15/27 (f)

 

8,000

 

7,819

 
 

Sirius XM Radio Inc.

     
 

5.50%, 07/01/29 (f) (g)

 

65,000

 

66,263

 
 

294,549

 

Financials 0.4%

 

Ardagh Packaging Finance Public Limited Company

     
 

6.00%, 02/15/25 (f) (g)

 

58,000

 

58,153

 

Abbreviations and additional footnotes are defined on page 33

14


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Icahn Enterprises L.P.

     
 

6.25%, 05/15/26

 

31,000

 

29,243

 
 

James Hardie International Finance Designated Activity Company

     
 

5.00%, 01/15/28 (f)

 

10,000

 

9,031

 
 

Level 3 Financing, Inc.

     
 

5.38%, 01/15/24

 

30,000

 

30,142

 
 

Springleaf Finance Corporation

     
 

7.13%, 03/15/26

 

65,000

 

63,971

 
 

190,540

 

Health Care 0.4%

 

Bausch Health Companies Inc.

     
 

6.13%, 04/15/25 (f)

 

13,000

 

12,883

 
 

5.50%, 11/01/25 (f)

 

9,000

 

9,101

 
 

8.50%, 01/31/27 (f)

 

67,000

 

70,045

 
 

5.75%, 08/15/27 (f)

 

20,000

 

20,609

 
 

Community Health Systems, Inc.

     
 

8.63%, 01/15/24 (f) (g)

 

30,000

 

29,950

 
 

Tenet Healthcare Corporation

     
 

5.13%, 05/01/25

 

30,000

 

28,658

 
 

171,246

 

Materials 0.3%

 

FMG Resources (August 2006) Pty Ltd

     
 

5.13%, 03/15/23 - 05/15/24 (f)

 

57,000

 

56,744

 
 

FXI Holdings, Inc.

     
 

7.88%, 11/01/24 (f)

 

31,000

 

21,305

 
 

Olin Corporation

     
 

5.13%, 09/15/27

 

39,000

 

35,252

 
 

5.00%, 02/01/30

 

17,000

 

14,741

 
 

128,042

 

Energy 0.3%

 

Cheniere Energy Partners, L.P.

     
 

5.63%, 10/01/26

 

54,000

 

49,680

 
 

Regency Energy Partners LP

     
 

5.88%, 03/01/22

 

30,000

 

28,450

 
 

Transocean Proteus Limited

     
 

6.25%, 12/01/24 (f)

 

58,800

 

47,592

 
 

125,722

 

Industrials 0.2%

 

Aircastle Limited

     
 

5.00%, 04/01/23

 

30,000

 

28,358

 
 

Ashtead Capital, Inc.

     
 

5.25%, 08/01/26 (f)

 

93,000

 

88,933

 
 

117,291

 

Consumer Staples 0.2%

 

Energizer Holdings, Inc.

     
 

7.75%, 01/15/27 (f) (g)

 

65,000

 

67,119

 
 

JBS USA Food Company

     
 

5.50%, 01/15/30 (f)

 

35,000

 

36,109

 
 

103,228

 

Utilities 0.2%

 

Calpine Corporation

     
 

5.25%, 06/01/26 (f)

 

50,000

 

47,670

 
 

The AES Corporation

     
 

5.50%, 04/15/25

 

30,000

 

29,351

 
 

77,021

 

Information Technology 0.1%

 

Dell International L.L.C.

     
 

5.30%, 10/01/29 (f) (h)

 

50,000

 

49,880

 

Consumer Discretionary 0.0%

 

Eldorado Resorts, Inc.

     
 

6.00%, 09/15/26

 

10,000

 

9,040

 
 

Total Corporate Bonds And Notes (cost $1,331,879)

1,266,559

 

WARRANTS 0.0%

 

iHeartMedia, Inc. (d) (i)

 

703

 

4,625

 
 

Total Warrants (cost $13,203)

4,625

 

COMMON STOCKS 0.0%

Communication Services 0.0%

 

Clear Channel Outdoor Holdings, Inc. (d)

 

1,875

 

1,200

 
 

iHeartMedia, Inc. - Class A (d)

 

94

 

687

 
 

Total Common Stocks (cost $11,100)

1,887

 

SHORT TERM INVESTMENTS 3.9%

Investment Companies 3.1%

 

State Street Institutional U.S. Government Money Market Fund - Premier Class, 0.31% (j)

 

1,444,376

 

1,444,376

 

Securities Lending Collateral 0.8%

 

State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (j)

 

390,350

 

390,350

 
 

Total Short Term Investments (cost $1,834,726)

1,834,726

 

Total Investments 97.8% (cost $52,903,500)

 

45,948,471

 

Other Derivative Instruments 0.0%

 

281

 

Other Assets and Liabilities, Net 2.2%

 

1,030,852

 

Total Net Assets 100.0%

 

46,979,604

 

(a) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of March 31, 2020. For securities based on a published reference rate and spread, the reference rate and spread are presented. Certain variable rate securities do not indicate a reference rate and spread because they are determined by the issuer, remarketing agent, or offering documents and are based on current market conditions. The coupon rate for securities with certain features outlined in the offering documents may vary from the stated reference rate and spread. This includes, but is not limited to, securities with deferred rates, contingent distributions, caps, floors, and fixed-rate to float-rate features. In addition, variable rates for government and agency collateralized mortgage obligations (“CMO”) and mortgage-backed securities (“MBS”) are determined by tranches of underlying mortgage-backed security pools’ cash flows into securities and pass-through rates which reflect the rate earned on the asset pool after management and guarantee fees are paid to the securitizing corporation. CMO and MBS variable rates are determined by a formula set forth in the security’s offering documents.

(b) Security fair valued in good faith as a Level 3 security in accordance with the procedures approved by the Board of Trustees. Good faith fair valued securities are classified for Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820 "Fair Value Measurement" based on the applicable valuation inputs. See FASB ASC Topic 820 in the Schedules of Investments.

(c) This senior loan will settle after March 31, 2020. If a reference rate and spread is presented, it will go into effect upon settlement.

(d) Non-income producing security.

(e) As of March 31, 2020, issuer was in bankruptcy and/or was in default relating to principal and/or interest. Partial or no payments were paid on the last interest or dividend date.

(f) The Adviser has deemed this security, which is exempt from registration under the Securities Act of 1933, as amended, to be liquid based on procedures approved by the Board of Trustees. As of March 31, 2020, the value and the percentage of net assets of these liquid securities was $912,667 and 1.9% of the Fund.

(g) All or a portion of the security was on loan as of March 31, 2020.

(h) The interest rate for this security is inversely affected by upgrades or downgrades to the credit rating of the issuer.

(i) Security fair valued in good faith as a Level 2 security in accordance with the procedures approved by the Board of Trustees. Good faith fair valued securities are classified for Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820 "Fair Value Measurement" based on the applicable valuation inputs. See FASB ASC Topic 820 in the Schedules of Investments.

(j) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

Abbreviations and additional footnotes are defined on page 33

15


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

                

PPM Floating Rate Income Fund — Futures Contracts

Reference Entity

 

Contracts1

 

Expiration

 

Notional1

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

Short Contracts

United States 10 Year Note

 

(1)

 

June 2020

  

(133,178)

 

141

  

(5,509)

 

United States 5 Year Note

 

(3)

 

July 2020

  

(364,707)

 

140

  

(11,372)

 
         

281

  

(16,881)

 

Abbreviations and additional footnotes are defined on page 33

16


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

PPM High Yield Core Fund

CORPORATE BONDS AND NOTES 89.9%

Communication Services 21.2%

 

Altice Financing S.A.

     
 

5.00%, 01/15/28 (a)

 

200,000

 

179,438

 
 

Altice France

     
 

7.38%, 05/01/26 (a)

 

520,000

 

524,599

 
 

6.00%, 02/15/28 (a)

 

84,000

 

73,228

 
 

Cablevision Systems Corporation

     
 

5.88%, 09/15/22

 

50,000

 

50,465

 
 

CB Escrow Corp.

     
 

8.00%, 10/15/25 (a)

 

264,000

 

270,576

 
 

CCO Holdings, LLC

     
 

5.88%, 04/01/24 (a) (b)

 

70,000

 

71,577

 
 

5.50%, 05/01/26 (a)

 

78,000

 

79,067

 
 

5.88%, 05/01/27 (a)

 

420,000

 

432,674

 
 

5.00%, 02/01/28 (a)

 

203,000

 

203,770

 
 

5.38%, 06/01/29 (a)

 

351,000

 

361,338

 
 

4.75%, 03/01/30 (a)

 

88,000

 

87,665

 
 

4.50%, 08/15/30 (a)

 

109,000

 

106,906

 
 

CenturyLink, Inc.

     
 

5.63%, 04/01/25 (b)

 

176,000

 

178,080

 
 

5.13%, 12/15/26 (a)

 

112,000

 

111,444

 
 

4.00%, 02/15/27 (a)

 

62,000

 

60,140

 
 

7.60%, 09/15/39

 

24,000

 

23,304

 
 

Clear Channel Worldwide Holdings, Inc.

     
 

9.25%, 02/15/24 (a)

 

107,000

 

91,987

 
 

Comcast Corporation

     
 

3.30%, 04/01/27

 

105,000

 

111,161

 
 

Connect Finco SARL

     
 

6.75%, 10/01/26 (a)

 

278,000

 

230,696

 
 

Consolidated Communications, Inc.

     
 

6.50%, 10/01/22 (b)

 

225,000

 

200,573

 
 

CSC Holdings, LLC

     
 

5.50%, 04/15/27 (a)

 

250,000

 

258,731

 
 

7.50%, 04/01/28 (a) (b)

 

300,000

 

319,969

 
 

5.75%, 01/15/30 (a)

 

226,000

 

229,169

 
 

Diamond Sports Group, LLC

     
 

5.38%, 08/15/26 (a)

 

93,000

 

75,559

 
 

6.63%, 08/15/27 (a) (b)

 

122,000

 

81,471

 
 

DISH DBS Corporation

     
 

5.13%, 05/01/20

 

150,000

 

150,196

 
 

5.00%, 03/15/23

 

122,000

 

116,917

 
 

5.88%, 11/15/24

 

210,000

 

204,141

 
 

7.75%, 07/01/26 (b)

 

15,000

 

15,418

 
 

Embarq Corporation

     
 

8.00%, 06/01/36

 

77,000

 

76,202

 
 

Frontier Communications Corporation

     
 

8.50%, 04/01/26 (a)

 

339,000

 

312,741

 
 

8.00%, 04/01/27 (a)

 

102,000

 

100,579

 
 

Hughes Satellite Systems Corporation

     
 

6.63%, 08/01/26 (b)

 

250,000

 

256,204

 
 

iHeartCommunications, Inc.

     
 

6.38%, 05/01/26

 

38,565

 

36,757

 
 

8.38%, 05/01/27

 

183,651

 

157,442

 
 

5.25%, 08/15/27 (a)

 

25,000

 

22,005

 
 

4.75%, 01/15/28 (a)

 

25,000

 

22,237

 
 

Intelsat Jackson Holdings S.A.

     
 

8.50%, 10/15/24 (a) (b)

 

112,000

 

70,534

 
 

9.75%, 07/15/25 (a) (b)

 

192,000

 

120,066

 
 

Lamar Media Corp.

     
 

3.75%, 02/15/28 (a)

 

22,000

 

20,661

 
 

4.00%, 02/15/30 (a)

 

11,000

 

10,336

 
 

LCPR Senior Secured Financing Designated Activity Company

     
 

6.75%, 10/15/27 (a)

 

164,000

 

163,651

 
 

Liberty Media Corporation

     
 

8.25%, 02/01/30

 

155,000

 

114,034

 
 

MDC Partners Inc.

     
 

6.50%, 05/01/24 (a)

 

140,000

 

104,257

 
 

Neptune Finco Corp.

     
 

10.88%, 10/15/25 (a)

 

47,000

 

50,748

 
 

Netflix, Inc.

     
 

4.38%, 11/15/26

 

169,000

 

171,730

 
 

4.88%, 04/15/28

 

125,000

 

127,204

 
 

5.88%, 11/15/28 (b)

 

226,000

 

243,028

 
 

Nexstar Escrow Inc.

     
 

5.63%, 07/15/27 (a)

 

130,000

 

127,055

 
 

Sirius XM Radio Inc.

     
 

4.63%, 05/15/23 - 07/15/24 (a)

 

89,000

 

89,591

 
 

5.00%, 08/01/27 (a)

 

409,000

 

415,506

 
 

5.50%, 07/01/29 (a)

 

51,000

 

51,991

 
 

Sprint Capital Corporation

     
 

6.88%, 11/15/28

 

200,000

 

228,288

 
 

Sprint Communications, Inc.

     
 

6.00%, 11/15/22

 

167,000

 

173,499

 
 

Sprint Corporation

     
 

7.88%, 09/15/23

 

25,000

 

27,501

 
 

7.13%, 06/15/24

 

424,000

 

464,770

 
 

7.63%, 03/01/26

 

25,000

 

28,306

 
 

7.25%, 02/01/28 (a) (b)

 

72,000

 

72,000

 
 

SSL Robotics LLC

     
 

9.75%, 12/31/23 (a)

 

55,000

 

57,652

 
 

TEGNA Inc.

     
 

5.00%, 09/15/29 (a)

 

186,000

 

167,562

 
 

Telecom Italia Capital

     
 

6.00%, 09/30/34

 

166,000

 

164,357

 
 

Telesat Canada

     
 

4.88%, 06/01/27 (a)

 

85,000

 

81,173

 
 

6.50%, 10/15/27 (a)

 

152,000

 

147,282

 
 

Terrier Media Buyer, Inc.

     
 

8.88%, 12/15/27 (a)

 

133,000

 

113,923

 
 

T-Mobile USA, Inc.

     
 

6.00%, 03/01/23

 

152,000

 

152,816

 
 

5.13%, 04/15/25

 

167,000

 

170,967

 
 

4.75%, 02/01/28

 

46,000

 

47,491

 
 

Uber Technologies, Inc.

     
 

7.50%, 09/15/27 (a)

 

166,000

 

163,915

 
 

Univision Communications Inc.

     
 

5.13%, 05/15/23 (a)

 

139,000

 

121,749

 
 

Zayo Group Holdings, Inc.

     
 

4.00%, 03/01/27 (a)

 

16,000

 

15,329

 
 

6.13%, 03/01/28 (a)

 

92,000

 

87,442

 
 

10,250,840

 

Financials 13.3%

 

Ardagh Packaging Finance Public Limited Company

     
 

6.00%, 02/15/25 (a)

 

267,000

 

267,705

 
 

5.25%, 08/15/27 (a)

 

270,000

 

275,703

 
 

Avolon Holdings Funding Limited

     
 

3.25%, 02/15/27 (a)

 

138,000

 

104,844

 
 

CIT Group Inc.

     
 

4.75%, 02/16/24

 

186,000

 

181,582

 
 

5.25%, 03/07/25

 

19,000

 

18,518

 
 

Citigroup Inc.

     
 

5.00%, (callable at 100 beginning 09/12/24) (c)

 

166,000

 

152,563

 
 

Commscope Finance LLC

     
 

6.00%, 03/01/26 (a)

 

95,000

 

95,042

 
 

8.25%, 03/01/27 (a)

 

163,000

 

158,521

 
 

Credit Suisse Group AG

     
 

6.25%, (callable at 100 beginning 12/18/24) (a) (c)

 

250,000

 

235,312

 
 

6.38%, (callable at 100 beginning 08/21/26) (a) (c)

 

200,000

 

176,053

 
 

Diamond Finance International Limited

     
 

5.88%, 06/15/21 (a)

 

94,000

 

94,022

 
 

7.13%, 06/15/24 (a)

 

87,000

 

89,814

 
 

6.02%, 06/15/26 (a)

 

264,000

 

278,567

 
 

Ford Motor Credit Company LLC

     
 

5.60%, 01/07/22

 

63,000

 

61,265

 
 

3.09%, 01/09/23 (b)

 

200,000

 

179,865

 
 

GE Capital International Funding Company Unlimited Company

     
 

2.34%, 11/15/20

 

50,000

 

49,257

 
 

HUB International Limited

     
 

7.00%, 05/01/26 (a) (b)

 

53,000

 

52,505

 
 

Icahn Enterprises L.P.

     
 

6.25%, 05/15/26

 

446,000

 

420,716

 
 

5.25%, 05/15/27

 

112,000

 

103,597

 

Abbreviations and additional footnotes are defined on page 33

17


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

IHS Luxembourg S.A R.L.

     
 

5.75%, 04/15/25 (a)

 

35,000

 

30,351

 
 

6.50%, 06/01/26 (a) (b)

 

125,000

 

108,150

 
 

James Hardie International Finance Designated Activity Company

     
 

5.00%, 01/15/28 (a)

 

78,000

 

70,445

 
 

JPMorgan Chase & Co.

     
 

4.60%, (callable at 100 beginning 02/01/25) (c)

 

88,000

 

77,480

 
 

5.00%, (callable at 100 beginning 08/01/24) (c)

 

80,000

 

77,005

 
 

5.30%, (callable at 100 beginning 05/01/20) (c)

 

222,000

 

207,846

 
 

Level 3 Financing, Inc.

     
 

5.38%, 01/15/24

 

237,000

 

238,122

 
 

4.63%, 09/15/27 (a)

 

194,000

 

193,897

 
 

Lions Gate Capital Holdings LLC

     
 

6.38%, 02/01/24 (a)

 

55,000

 

48,482

 
 

5.88%, 11/01/24 (a)

 

56,000

 

48,546

 
 

Lloyds Banking Group PLC

     
 

6.75%, (callable at 100 beginning 06/27/26) (c)

 

122,000

 

103,709

 
 

7.50%, (callable at 100 beginning 09/27/25) (c)

 

81,000

 

72,799

 
 

LPL Holdings, Inc.

     
 

4.63%, 11/15/27 (a)

 

93,000

 

86,016

 
 

MSCI Inc.

     
 

4.00%, 11/15/29 (a)

 

55,000

 

54,624

 
 

Navient Corporation

     
 

7.25%, 09/25/23

 

140,000

 

137,238

 
 

5.88%, 10/25/24

 

82,000

 

75,074

 
 

Nordic Aviation Capital DAC

     
 

3.79%, 02/27/23 (d) (e)

 

80,000

 

63,396

 
 

5.83%, 03/14/26 (d) (e)

 

125,000

 

114,319

 
 

Rassman, Joel H.

     
 

3.80%, 11/01/29 (b)

 

239,000

 

209,388

 
 

Resideo Funding Inc.

     
 

6.13%, 11/01/26 (a) (b)

 

44,000

 

38,377

 
 

Springleaf Finance Corporation

     
 

6.13%, 03/15/24

 

73,000

 

72,045

 
 

7.13%, 03/15/26

 

175,000

 

172,231

 
 

6.63%, 01/15/28

 

63,000

 

59,485

 
 

5.38%, 11/15/29

 

27,000

 

24,866

 
 

Telenet Finance Luxembourg Notes S.A R.L.

     
 

5.50%, 03/01/28 (a)

 

200,000

 

191,750

 
 

The Goldman Sachs Group, Inc.

     
 

3.50%, 04/01/25

 

112,000

 

113,650

 
 

USA Compression Finance Corp.

     
 

6.88%, 04/01/26 - 09/01/27

 

231,000

 

146,897

 
 

Virgin Media Secured Finance PLC

     
 

5.50%, 05/15/29 (a)

 

51,000

 

51,196

 
 

ZF North America Capital, Inc.

     
 

4.50%, 04/29/22 (a)

 

75,000

 

70,324

 
 

Ziggo B.V.

     
 

4.88%, 01/15/30 (a) (b)

 

200,000

 

195,250

 
 

Ziggo Bond Finance B.V.

     
 

6.00%, 01/15/27 (a)

 

253,000

 

247,087

 
 

6,395,496

 

Health Care 13.0%

 

Bausch Health Companies Inc.

     
 

6.50%, 03/15/22 (a)

 

129,000

 

130,711

 
 

6.13%, 04/15/25 (a)

 

255,000

 

252,712

 
 

5.50%, 11/01/25 (a)

 

69,000

 

69,774

 
 

8.50%, 01/31/27 (a)

 

598,000

 

625,174

 
 

5.75%, 08/15/27 (a) (b)

 

166,000

 

171,057

 
 

7.00%, 01/15/28 (a)

 

75,000

 

77,725

 
 

5.00%, 01/30/28 (a) (b)

 

33,000

 

31,242

 
 

5.25%, 01/30/30 (a)

 

40,000

 

37,861

 
 

Catalent Pharma Solutions, Inc.

     
 

5.00%, 07/15/27 (a)

 

15,000

 

14,788

 
 

Centene Corporation

     
 

4.75%, 05/15/22

 

76,000

 

76,340

 
 

5.25%, 04/01/25 (a)

 

389,000

 

393,082

 
 

5.38%, 08/15/26 (a)

 

48,000

 

48,960

 
 

4.25%, 12/15/27 (a)

 

226,000

 

227,808

 
 

4.63%, 12/15/29 (a)

 

128,000

 

128,640

 
 

3.38%, 02/15/30 (a)

 

77,000

 

71,610

 
 

Centene Escrow I Corporation

     
 

5.38%, 06/01/26 (a)

 

281,000

 

289,338

 
 

Community Health Systems, Inc.

     
 

6.25%, 03/31/23

 

27,000

 

25,671

 
 

8.63%, 01/15/24 (a)

 

100,000

 

99,834

 
 

6.63%, 02/15/25 (a)

 

130,000

 

121,888

 
 

8.00%, 03/15/26 (a) (b)

 

125,000

 

118,854

 
 

CVS Health Corporation

     
 

3.75%, 04/01/30

 

111,000

 

114,824

 
 

Endo Finance Co.

     
 

6.00%, 02/01/25 (a)

 

69,000

 

47,267

 
 

HCA Inc.

     
 

5.00%, 03/15/24

 

119,000

 

123,215

 
 

5.25%, 06/15/26

 

182,000

 

197,738

 
 

5.38%, 09/01/26

 

47,000

 

48,425

 
 

4.50%, 02/15/27

 

267,000

 

274,561

 
 

3.50%, 09/01/30

 

329,000

 

299,587

 
 

5.13%, 06/15/39

 

54,000

 

55,405

 
 

Hill-Rom Holdings, Inc.

     
 

4.38%, 09/15/27 (a)

 

42,000

 

41,348

 
 

Hologic, Inc.

     
 

4.38%, 10/15/25 (a)

 

104,000

 

103,889

 
 

IQVIA Inc.

     
 

5.00%, 05/15/27 (a)

 

125,000

 

127,736

 
 

Legacy Lifepoint Health, LLC

     
 

9.75%, 12/01/26 (a)

 

175,000

 

167,770

 
 

Mednax, Inc.

     
 

6.25%, 01/15/27 (a)

 

117,000

 

93,600

 
 

MPH Acquisition Holdings LLC

     
 

7.13%, 06/01/24 (a)

 

149,000

 

131,114

 
 

Mylan Inc

     
 

4.55%, 04/15/28

 

78,000

 

79,678

 
 

5.20%, 04/15/48

 

43,000

 

43,327

 
 

Ortho-Clinical Diagnostics, Inc.

     
 

6.63%, 05/15/22 (a) (b)

 

45,000

 

42,522

 
 

7.25%, 02/01/28 (a)

 

45,000

 

39,089

 
 

Par Pharmaceutical, Inc.

     
 

7.50%, 04/01/27 (a)

 

234,000

 

232,723

 
 

Polaris Intermediate School

     
 

8.50%, 12/01/22 (a) (f)

 

75,000

 

59,219

 
 

Tenet Healthcare Corporation

     
 

8.13%, 04/01/22

 

204,000

 

192,701

 
 

6.75%, 06/15/23

 

131,000

 

121,003

 
 

4.63%, 07/15/24

 

104,000

 

99,061

 
 

7.00%, 08/01/25 (b)

 

53,000

 

45,845

 
 

4.88%, 01/01/26 (a)

 

304,000

 

290,064

 
 

5.13%, 11/01/27 (a)

 

183,000

 

174,841

 
 

6,259,621

 

Consumer Discretionary 9.9%

 

Adient Global Holdings Ltd

     
 

4.88%, 08/15/26 (a)

 

30,000

 

20,850

 
 

Allied Universal Holdco LLC

     
 

6.63%, 07/15/26 (a)

 

71,000

 

69,978

 
 

9.75%, 07/15/27 (a)

 

79,000

 

74,396

 
 

Aramark Services, Inc.

     
 

4.75%, 06/01/26 (b)

 

152,000

 

142,949

 
 

Asbury Automotive Group, Inc.

     
 

4.50%, 03/01/28 (a)

 

17,000

 

14,515

 
 

4.75%, 03/01/30 (a)

 

17,000

 

14,547

 
 

Beazer Homes USA, Inc.

     
 

6.75%, 03/15/25

 

75,000

 

62,555

 
 

5.88%, 10/15/27 (b)

 

80,000

 

60,349

 
 

7.25%, 10/15/29

 

47,000

 

36,660

 
 

Churchill Downs Incorporated

     
 

4.75%, 01/15/28 (a) (b)

 

81,000

 

71,349

 
 

Dana Corporation

     
 

5.38%, 11/15/27

 

35,000

 

28,571

 
 

Fiat Chrysler Automobiles N.V.

     
 

5.25%, 04/15/23

 

94,000

 

89,580

 
 

Ford Motor Company

     
 

7.45%, 07/16/31

 

79,000

 

56,642

 
 

Hilton Domestic Operating Company Inc.

     
 

4.25%, 09/01/24

 

156,000

 

145,883

 
 

IHOL Verwaltungs GmbH

     
 

6.38%, 05/15/29 (a) (f)

 

41,000

 

31,981

 

Abbreviations and additional footnotes are defined on page 33

18


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Jaguar Land Rover Automotive PLC

     
 

5.63%, 02/01/23 (a) (b)

 

28,000

 

24,333

 
 

KB Home

     
 

7.63%, 05/15/23

 

201,000

 

203,031

 
 

4.80%, 11/15/29

 

181,000

 

154,084

 
 

L Brands, Inc.

     
 

7.50%, 06/15/29 (b)

 

305,000

 

242,411

 
 

Lennar Corporation

     
 

4.75%, 11/29/27

 

113,000

 

112,837

 
 

M.D.C. Holdings, Inc.

     
 

3.85%, 01/15/30

 

140,000

 

126,383

 
 

6.00%, 01/15/43

 

80,000

 

75,513

 
 

Marriott Ownership Resorts, Inc.

     
 

6.50%, 09/15/26

 

90,000

 

77,550

 
 

4.75%, 01/15/28 (a)

 

64,000

 

48,664

 
 

Mattel, Inc.

     
 

6.75%, 12/31/25 (a) (b)

 

52,000

 

53,004

 
 

5.88%, 12/15/27 (a) (b)

 

164,000

 

168,726

 
 

MCE Finance Limited

     
 

5.38%, 12/04/29 (a)

 

79,000

 

67,150

 
 

MGM Resorts International

     
 

5.75%, 06/15/25

 

49,000

 

43,855

 
 

Mohegan Tribal Gaming Authority

     
 

7.88%, 10/15/24 (a)

 

106,000

 

79,201

 
 

New Golden Nugget Inc.

     
 

8.75%, 10/01/25 (a)

 

70,000

 

36,161

 
 

Newell Brands Inc.

     
 

4.20%, 04/01/26 (g)

 

131,000

 

128,052

 
 

PetSmart, Inc.

     
 

5.88%, 06/01/25 (a)

 

322,000

 

320,751

 
 

QVC, Inc.

     
 

4.75%, 02/15/27

 

37,000

 

32,768

 
 

Restaurant Brands International Limited Partnership

     
 

5.00%, 10/15/25 (a)

 

250,000

 

240,986

 
 

Sally Holdings, LLC

     
 

5.63%, 12/01/25 (b)

 

177,000

 

144,352

 
 

Scientific Games International, Inc.

     
 

5.00%, 10/15/25 (a)

 

291,000

 

255,738

 
 

8.25%, 03/15/26 (a)

 

80,000

 

51,225

 
 

7.00%, 05/15/28 (a)

 

38,000

 

23,544

 
 

Shea Homes Limited Partnership, A California Limited Partnership

     
 

4.75%, 02/15/28 (a)

 

140,000

 

120,491

 
 

Staples, Inc.

     
 

7.50%, 04/15/26 (a)

 

122,000

 

107,726

 
 

10.75%, 04/15/27 (a)

 

128,000

 

98,243

 
 

Stars Group Holdings B.V.

     
 

7.00%, 07/15/26 (a)

 

136,000

 

128,847

 
 

Station Casinos LLC

     
 

4.50%, 02/15/28 (a) (b)

 

139,000

 

112,170

 
 

Stena International S.A R.L.

     
 

6.13%, 02/01/25 (a)

 

56,000

 

45,954

 
 

Taylor Morrison Communities, Inc.

     
 

5.88%, 06/15/27 (a)

 

73,000

 

67,840

 
 

The TJX Companies, Inc.

     
 

3.50%, 04/15/25

 

56,000

 

57,277

 
 

Viking Cruises Limited

     
 

5.88%, 09/15/27 (a)

 

36,000

 

21,538

 
 

VOC Escrow Ltd.

     
 

5.00%, 02/15/28 (a) (b)

 

139,000

 

101,796

 
 

Williams Scotsman International, Inc.

     
 

6.88%, 08/15/23 (a)

 

119,000

 

109,457

 
 

Wyndham Destinations, Inc.

     
 

5.40%, 04/01/24 (h)

 

100,000

 

84,913

 
 

5.75%, 04/01/27 (b) (g)

 

65,000

 

54,814

 
 

Yum! Brands, Inc.

     
 

7.75%, 04/01/25 (a)

 

32,000

 

33,618

 
 

4,775,808

 

Industrials 8.0%

 

ACCO Brands Corporation

     
 

5.25%, 12/15/24 (a)

 

120,000

 

114,229

 
 

Aircastle Limited

     
 

4.25%, 06/15/26

 

130,000

 

111,466

 
 

Ashtead Capital, Inc.

     
 

4.13%, 08/15/25 (a)

 

33,000

 

31,240

 
 

5.25%, 08/01/26 (a)

 

139,000

 

132,921

 
 

4.38%, 08/15/27 (a)

 

66,000

 

61,050

 
 

4.00%, 05/01/28 (a)

 

9,000

 

8,175

 
 

Bombardier Inc.

     
 

6.13%, 01/15/23 (a)

 

169,000

 

119,120

 
 

7.50%, 03/15/25 (a)

 

177,000

 

124,363

 
 

7.88%, 04/15/27 (a)

 

31,000

 

21,375

 
 

Cargo Aircraft Management, Inc.

     
 

4.75%, 02/01/28 (a)

 

192,000

 

177,986

 
 

Foxtrot Escrow Issuer LLC

     
 

12.25%, 11/15/26 (a)

 

96,000

 

74,988

 
 

General Electric Company

     
 

5.00%, (callable at 100 beginning 01/21/21) (b) (c)

 

53,000

 

43,844

 
 

Hertz Vehicle Financing II LP

     
 

7.63%, 06/01/22 (a)

 

28,000

 

22,642

 
 

5.50%, 10/15/24 (a)

 

200,000

 

114,373

 
 

Howmet Aerospace Inc.

     
 

5.40%, 04/15/21

 

70,000

 

68,600

 
 

Masonite International Corporation

     
 

5.38%, 02/01/28 (a)

 

60,000

 

59,034

 
 

Navistar International Corporation

     
 

6.63%, 11/01/25 (a)

 

200,000

 

169,050

 
 

Park Aerospace Holdings Limited

     
 

4.50%, 03/15/23 (a)

 

45,000

 

37,493

 
 

Prime Security Services Borrower, LLC

     
 

5.25%, 04/15/24 (a)

 

52,000

 

50,984

 
 

5.75%, 04/15/26 (a)

 

278,000

 

272,458

 
 

Reynolds Group Holdings Inc.

     
 

5.13%, 07/15/23 (a)

 

276,000

 

275,810

 
 

7.00%, 07/15/24 (a)

 

50,000

 

50,894

 
 

Sensata Technologies B.V.

     
 

5.00%, 10/01/25 (a)

 

125,000

 

119,066

 
 

Standard Industries Inc.

     
 

4.75%, 01/15/28 (a)

 

170,000

 

156,561

 
 

Tempo Acquisition, LLC

     
 

6.75%, 06/01/25 (a)

 

235,000

 

217,941

 
 

The Nielsen Company (Luxembourg) S.A R.L.

     
 

5.00%, 02/01/25 (a) (b)

 

72,000

 

67,810

 
 

TransDigm Inc.

     
 

6.50%, 07/15/24 - 05/15/25

 

155,000

 

147,280

 
 

6.25%, 03/15/26 (a)

 

321,000

 

319,487

 
 

5.50%, 11/15/27 (a)

 

110,000

 

98,857

 
 

Transdigm UK Holdings PLC

     
 

6.88%, 05/15/26

 

51,000

 

47,897

 
 

United Rentals (North America), Inc.

     
 

3.88%, 11/15/27

 

356,000

 

338,596

 
 

4.88%, 01/15/28

 

174,000

 

169,918

 
 

Univar Solutions USA Inc.

     
 

5.13%, 12/01/27 (a)

 

35,000

 

31,023

 
 

3,856,531

 

Energy 6.7%

 

Antero Midstream Partners LP

     
 

5.38%, 09/15/24

 

65,000

 

45,568

 
 

5.75%, 03/01/27 (a)

 

35,000

 

22,599

 
 

Archrock Partners, L.P.

     
 

6.25%, 04/01/28 (a)

 

60,000

 

42,298

 
 

Ascent Resources - Utica, LLC

     
 

10.00%, 04/01/22 (a)

 

126,000

 

67,405

 
 

7.00%, 11/01/26 (a)

 

70,000

 

20,076

 
 

Baytex Energy Corp.

     
 

8.75%, 04/01/27 (a)

 

62,000

 

23,625

 
 

Buckeye Partners, L.P.

     
 

4.50%, 03/01/28 (a)

 

97,000

 

79,698

 
 

Callon Petroleum Company

     
 

6.38%, 07/01/26

 

162,000

 

25,933

 
 

Chaparral Energy, Inc.

     
 

8.75%, 07/15/23 (a)

 

165,000

 

7,508

 
 

Cheniere Energy Partners, L.P.

     
 

5.25%, 10/01/25

 

119,000

 

109,480

 
 

5.63%, 10/01/26 (b)

 

248,000

 

228,160

 
 

4.50%, 10/01/29 (a)

 

248,000

 

220,324

 
 

Chesapeake Energy Corporation

     
 

4.88%, 04/15/22

 

40,000

 

5,072

 

Abbreviations and additional footnotes are defined on page 33

19


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

CVR Energy, Inc.

     
 

5.25%, 02/15/25 (a) (b)

 

110,000

 

85,452

 
 

Endeavor Energy Resources, L.P.

     
 

5.50%, 01/30/26 (a)

 

81,000

 

55,857

 
 

5.75%, 01/30/28 (a)

 

52,000

 

35,142

 
 

Energy Transfer LP

     
 

6.63%, (callable at 100 beginning 02/15/28) (c)

 

42,000

 

20,790

 
 

6.75%, (callable at 100 beginning 05/15/25) (c)

 

139,000

 

84,687

 
 

7.13%, (callable at 100 beginning 05/15/30) (c)

 

155,000

 

94,291

 
 

5.25%, 04/15/29

 

94,000

 

79,521

 
 

Enlink Midstream, LLC

     
 

5.38%, 06/01/29

 

52,000

 

27,736

 
 

EQM Midstream Partners, LP

     
 

4.13%, 12/01/26 (b)

 

60,000

 

34,686

 
 

EQT Corporation

     
 

6.13%, 02/01/25 (g)

 

115,000

 

86,802

 
 

Everest Acquisition, LLC

     
 

0.00%, 11/29/24 - 05/15/26 (a) (i) (j)

 

120,000

 

11,693

 
 

Hess Infrastructure Partners LP

     
 

5.63%, 02/15/26 (a)

 

91,000

 

65,273

 
 

Hess Midstream Operations LP

     
 

5.13%, 06/15/28 (a)

 

46,000

 

32,441

 
 

MEG Energy Corp.

     
 

7.13%, 02/01/27 (a)

 

143,000

 

71,123

 
 

Murphy Oil Corporation

     
 

5.75%, 08/15/25

 

135,000

 

72,239

 
 

Murphy Oil USA, Inc.

     
 

4.75%, 09/15/29

 

21,000

 

19,663

 
 

Noble Corporation

     
 

7.88%, 02/01/26 (a)

 

106,000

 

26,488

 
 

Parsley Energy, LLC

     
 

5.25%, 08/15/25 (a)

 

150,000

 

113,969

 
 

PBF Holding Company LLC

     
 

6.00%, 02/15/28 (a)

 

85,000

 

57,139

 
 

PBF Logistics LP

     
 

6.88%, 05/15/23

 

200,000

 

123,924

 
 

Seven Generations Energy Ltd.

     
 

5.38%, 09/30/25 (a)

 

30,000

 

16,582

 
 

Shelf Drilling Management Services DMCC

     
 

8.25%, 02/15/25 (a)

 

204,000

 

87,234

 
 

SM Energy Company

     
 

6.63%, 01/15/27

 

61,000

 

18,357

 
 

Southwestern Energy Company

     
 

7.50%, 04/01/26 (b)

 

98,000

 

64,816

 
 

Targa Resource Corporation

     
 

5.88%, 04/15/26

 

165,000

 

137,041

 
 

5.00%, 01/15/28

 

167,000

 

136,275

 
 

5.50%, 03/01/30 (a)

 

228,000

 

176,481

 
 

Transocean Inc

     
 

7.50%, 01/15/26 (a)

 

203,000

 

93,880

 
 

Transocean Poseidon Limited

     
 

6.88%, 02/01/27 (a)

 

69,000

 

55,279

 
 

Transocean Proteus Limited

     
 

6.25%, 12/01/24 (a)

 

196,000

 

158,640

 
 

Valaris PLC

     
 

7.75%, 02/01/26

 

91,000

 

8,358

 
 

Viper Energy Partners LP

     
 

5.38%, 11/01/27 (a)

 

44,000

 

36,743

 
 

Whiting Petroleum Corporation

     
 

1.25%, 06/05/20 (k)

 

20,000

 

9,995

 
 

WPX Energy, Inc.

     
 

5.25%, 09/15/24 - 10/15/27

 

105,000

 

60,994

 
 

5.75%, 06/01/26

 

47,000

 

27,061

 
 

4.50%, 01/15/30

 

50,000

 

27,096

 
 

3,211,494

 

Consumer Staples 5.7%

 

Albertsons Companies, Inc.

     
 

6.63%, 06/15/24

 

125,000

 

126,925

 
 

5.75%, 03/15/25 (b)

 

50,000

 

50,548

 
 

BAT Capital Corp.

     
 

4.70%, 04/02/27

 

118,000

 

120,304

 
 

Cott Holdings Inc.

     
 

5.50%, 04/01/25 (a)

 

161,000

 

155,923

 
 

Energizer Holdings, Inc.

     
 

6.38%, 07/15/26 (a) (b)

 

42,000

 

42,415

 
 

JBS Investments II GmbH

     
 

5.75%, 01/15/28 (a)

 

297,000

 

288,218

 
 

JBS USA Food Company

     
 

6.50%, 04/15/29 (a)

 

96,000

 

102,880

 
 

Kraft Foods Group, Inc.

     
 

5.00%, 06/04/42

 

122,000

 

115,297

 
 

Kraft Heinz Foods Company

     
 

4.63%, 10/01/39 (a)

 

218,000

 

199,266

 
 

4.88%, 10/01/49 (a)

 

153,000

 

141,143

 
 

Matterhorn Merger Sub, LLC

     
 

8.50%, 06/01/26 (a)

 

72,000

 

58,138

 
 

Pilgrim's Pride Corporation

     
 

5.75%, 03/15/25 (a)

 

159,000

 

159,778

 
 

5.88%, 09/30/27 (a)

 

104,000

 

104,565

 
 

Post Holdings, Inc.

     
 

5.63%, 01/15/28 (a) (b)

 

142,000

 

144,422

 
 

4.63%, 04/15/30 (a)

 

77,000

 

73,682

 
 

Safeway Inc.

     
 

3.50%, 02/15/23 (a)

 

54,000

 

53,238

 
 

4.63%, 01/15/27 (a)

 

100,000

 

99,461

 
 

5.88%, 02/15/28 (a)

 

259,000

 

263,819

 
 

Sigma Holdco B.V.

     
 

7.88%, 05/15/26 (a)

 

181,000

 

162,808

 
 

Spectrum Brands, Inc.

     
 

5.75%, 07/15/25

 

49,000

 

46,163

 
 

5.00%, 10/01/29 (a)

 

68,000

 

59,078

 
 

Sysco Corporation

     
 

5.65%, 04/01/25 (g)

 

44,000

 

45,776

 
 

Verscend Holding Corp.

     
 

9.75%, 08/15/26 (a)

 

147,000

 

146,913

 
 

2,760,760

 

Materials 5.7%

 

ARD Finance S.A.

     
 

6.50%, 06/30/27 (a) (f)

 

137,000

 

119,515

 
 

Berry Global Escrow Corporation

     
 

4.88%, 07/15/26 (a)

 

195,000

 

196,950

 
 

Berry Global, Inc.

     
 

5.13%, 07/15/23

 

125,000

 

125,433

 
 

Cascades Inc.

     
 

5.13%, 01/15/26 (a)

 

23,000

 

22,254

 
 

5.38%, 01/15/28 (a)

 

31,000

 

29,594

 
 

CEMEX S.A.B. de C.V.

     
 

5.70%, 01/11/25 (a)

 

250,000

 

213,827

 
 

5.45%, 11/19/29 (a) (b)

 

200,000

 

163,041

 
 

CF Industries, Inc.

     
 

5.38%, 03/15/44

 

50,000

 

47,581

 
 

FMG Resources (August 2006) Pty Ltd

     
 

5.13%, 03/15/23 - 05/15/24 (a)

 

315,000

 

313,627

 
 

4.50%, 09/15/27 (a)

 

134,000

 

121,269

 
 

Freeport-McMoRan Inc.

     
 

4.55%, 11/14/24

 

74,000

 

69,748

 
 

5.00%, 09/01/27 (b)

 

117,000

 

108,730

 
 

5.40%, 11/14/34

 

217,000

 

199,288

 
 

5.45%, 03/15/43

 

44,000

 

39,416

 
 

FXI Holdings, Inc.

     
 

7.88%, 11/01/24 (a)

 

83,000

 

57,043

 
 

Mauser Packaging Solutions Holding Company

     
 

7.25%, 04/15/25 (a) (b)

 

164,000

 

126,494

 
 

Mercer International Inc.

     
 

7.38%, 01/15/25

 

132,000

 

114,507

 
 

NOVA Chemicals Corporation

     
 

4.88%, 06/01/24 (a)

 

128,000

 

112,272

 
 

5.25%, 08/01/23 - 06/01/27 (a)

 

143,000

 

120,893

 
 

Novelis Corporation

     
 

4.75%, 01/30/30 (a)

 

85,000

 

76,213

 
 

Olin Corporation

     
 

5.63%, 08/01/29

 

38,000

 

34,920

 
 

5.00%, 02/01/30

 

99,000

 

85,842

 
 

Sealed Air Corporation

     
 

4.00%, 12/01/27 (a)

 

116,000

 

107,860

 
 

Silgan Holdings Inc.

     
 

4.13%, 02/01/28 (a)

 

101,000

 

94,324

 

Abbreviations and additional footnotes are defined on page 33

20


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

The Chemours Company

     
 

6.63%, 05/15/23

 

67,000

 

56,885

 
 

2,757,526

 

Information Technology 2.8%

 

Banff Merger Sub Inc.

     
 

9.75%, 09/01/26 (a)

 

51,000

 

44,671

 
 

CommScope Holding Company, Inc.

     
 

6.00%, 06/15/25 (a)

 

34,000

 

31,132

 
 

Dell Inc.

     
 

6.50%, 04/15/38

 

51,000

 

47,430

 
 

NCR Corporation

     
 

5.75%, 09/01/27 (a)

 

105,000

 

96,293

 
 

6.13%, 09/01/29 (a) (b)

 

53,000

 

49,748

 
 

Open Text Corporation

     
 

3.88%, 02/15/28 (a)

 

112,000

 

105,739

 
 

4.13%, 02/15/30 (a)

 

145,000

 

136,545

 
 

Presidio Holdings, Inc.

     
 

4.88%, 02/01/27 (a)

 

68,000

 

60,034

 
 

8.25%, 02/01/28 (a) (b)

 

72,000

 

63,450

 
 

Radiate HoldCo, LLC

     
 

6.88%, 02/15/23 (a)

 

88,000

 

79,391

 
 

6.63%, 02/15/25 (a)

 

165,000

 

138,004

 
 

SS&C Technologies, Inc.

     
 

5.50%, 09/30/27 (a)

 

126,000

 

131,265

 
 

ViaSat, Inc.

     
 

5.63%, 09/15/25 - 04/15/27 (a)

 

280,000

 

268,771

 
 

Western Digital Corporation

     
 

4.75%, 02/15/26 (b)

 

92,000

 

92,556

 
 

1,345,029

 

Utilities 2.5%

 

Calpine Corporation

     
 

5.25%, 06/01/26 (a) (b)

 

239,000

 

227,861

 
 

4.50%, 02/15/28 (a)

 

67,000

 

64,904

 
 

DPL Inc.

     
 

4.35%, 04/15/29 (a) (b)

 

198,000

 

189,307

 
 

The AES Corporation

     
 

4.00%, 03/15/21

 

69,000

 

68,352

 
 

4.50%, 03/15/23

 

52,000

 

50,957

 
 

5.50%, 04/15/25 (b)

 

369,000

 

361,023

 
 

5.13%, 09/01/27

 

185,000

 

185,704

 
 

Vistra Operations Company LLC

     
 

4.30%, 07/15/29 (a)

 

61,000

 

59,726

 
 

1,207,834

 

Real Estate 1.1%

 

CSL Capital, LLC

     
 

6.00%, 04/15/23 (a)

 

110,000

 

101,201

 
 

ESH Hospitality, Inc.

     
 

5.25%, 05/01/25 (a) (b)

 

281,000

 

237,661

 
 

MGM Growth Properties Operating Partnership LP

     
 

4.50%, 01/15/28

 

6,000

 

5,040

 
 

Service Properties Trust

     
 

4.95%, 10/01/29

 

16,000

 

12,177

 
 

Uniti Group Inc.

     
 

7.88%, 02/15/25 (a) (b)

 

55,000

 

51,173

 
 

VICI Properties Inc.

     
 

4.25%, 12/01/26 (a)

 

51,000

 

46,852

 
 

3.75%, 02/15/27 (a)

 

59,000

 

55,599

 
 

4.63%, 12/01/29 (a)

 

15,000

 

13,645

 
 

523,348

 
 

Total Corporate Bonds And Notes (cost $47,825,117)

43,344,287

 

SENIOR LOAN INTERESTS 3.9%

Health Care 0.8%

 

Alphabet Holding Company, Inc.

     
 

2017 1st Lien Term Loan, 5.10%, (1M LIBOR + 3.50%), 08/15/24 (l)

 

243,750

 

192,699

 
 

MPH Acquisition Holdings LLC

     
 

2016 Term Loan B, 4.20%, (3M LIBOR + 2.75%), 06/07/23 (l)

 

150,000

 

132,124

 
 

RegionalCare Hospital Partners Holdings, Inc.

     
 

2018 Term Loan B, 5.35%, (1M LIBOR + 3.75%), 11/09/25 (l)

 

69,390

 

64,918

 
 

389,741

 

Communication Services 0.7%

 

Ancestry.com Operations Inc.

     
 

Non-Extended Term Loan B, 5.36%, (1M LIBOR + 3.75%), 10/19/23 (l)

 

74,623

 

64,176

 
 

Frontier Communications Corp.

     
 

2017 Term Loan B1, 5.21%, (3M LIBOR + 3.75%), 05/31/24 (l)

 

325

 

307

 
 

2017 Term Loan B1, 5.35%, (3M LIBOR + 3.75%), 05/31/24 (l)

 

97,169

 

91,931

 
 

iHeartCommunications, Inc.

     
 

2020 Term Loan, 3.99%, (1M LIBOR + 3.00%), 05/01/26 (l)

 

52,867

 

44,277

 
 

Windstream Holdings Inc.

     
 

DIP Term Loan, 4.11%, (1M LIBOR + 2.50%), 03/08/21 (l)

 

77,000

 

74,690

 
 

Zayo Group Holdings, Inc.

     
 

USD Term Loan , 4.01%, (1M LIBOR + 3.00%), 02/20/27 (l)

 

68,000

 

63,920

 
 

339,301

 

Consumer Discretionary 0.7%

 

Adient US LLC

     
 

Term Loan B, 5.74%, (3M LIBOR + 4.00%), 05/03/24 (l)

 

18,423

 

15,936

 
 

Term Loan B, 5.94%, (3M LIBOR + 4.00%), 05/03/24 (l)

 

56,015

 

48,453

 
 

Bass Pro Group, LLC

     
 

Term Loan B, 5.99%, (1M LIBOR + 5.00%), 11/15/23 (l)

 

171,992

 

143,614

 
 

Mohegan Tribal Gaming Authority

     
 

2016 Term Loan B, 5.98%, (1M LIBOR + 4.38%), 10/30/23 (l)

 

79,578

 

56,102

 
 

Panther BF Aggregator 2 LP

     
 

USD Term Loan B, 4.44%, (1M LIBOR + 3.50%), 03/13/26 (l)

 

69,351

 

63,110

 
 

327,215

 

Information Technology 0.5%

 

Almonde, Inc.

     
 

USD 1st Lien Term Loan, 5.28%, (3M LIBOR + 3.50%), 04/26/24 (l)

 

133,387

 

113,379

 
 

Banff Merger Sub Inc

     
 

2018 USD Term Loan B, 5.85%, (1M LIBOR + 4.25%), 06/30/25 (l)

 

79,397

 

65,522

 
 

Verifone Systems, Inc.

     
 

2018 1st Lien Term Loan, 5.69%, (3M LIBOR + 4.00%), 08/09/25 (l)

 

128,771

 

79,409

 
 

258,310

 

Materials 0.5%

 

BWAY Holding Company

     
 

2017 Term Loan B, 5.08%, (3M LIBOR + 3.25%), 04/03/24 (l)

 

164,881

 

133,657

 
 

Flex Acquisition Company, Inc.

     
 

1st Lien Term Loan, 4.91%, (3M LIBOR + 3.00%), 12/15/23 (l)

 

53,932

 

48,808

 
 

1st Lien Term Loan, 4.58%, (1M LIBOR + 3.00%), 12/29/23 (l)

 

2,024

 

1,832

 
 

Proampac PG Borrower LLC

     
 

2016 1st Lien Term Loan, 4.50%, (1M LIBOR + 3.50%), 11/18/23 (l)

 

15,212

 

12,607

 
 

2016 1st Lien Term Loan, 5.19%, (3M LIBOR + 3.50%), 11/18/23 (l)

 

8,894

 

7,371

 
 

2016 1st Lien Term Loan, 5.26%, (3M LIBOR + 3.50%), 11/18/23 (l)

 

10,352

 

8,579

 
 

2016 1st Lien Term Loan, 5.29%, (3M LIBOR + 3.50%), 11/18/23 (l)

 

6,845

 

5,673

 
 

218,527

 

Financials 0.4%

 

Acrisure, LLC

     
 

2020 Term Loan B, 5.21%, (3M LIBOR + 3.50%), 01/30/27 (l)

 

97,750

 

86,020

 
 

UFC Holdings, LLC

     
 

2019 Term Loan, 4.86%, (1M LIBOR + 3.25%), 04/25/26 (l)

 

98,721

 

85,887

 
 

171,907

 

Abbreviations and additional footnotes are defined on page 33

21


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

Energy 0.2%

 

Chesapeake Energy Corporation

     
 

2019 Last Out Term Loan, 9.00%, (1M LIBOR + 8.00%), 06/09/24 (l)

 

125,000

 

48,125

 
 

Lower Cadence Holdings LLC

     
 

Term Loan B, 4.99%, (1M LIBOR + 4.00%), 05/10/26 (l)

 

113,145

 

67,887

 
 

116,012

 

Industrials 0.1%

 

Dynasty Acquisition Co., Inc.

     
 

2020 CAD Term Loan B2, 5.21%, (3M LIBOR + 3.50%), 04/06/26 (l)

 

24,005

 

18,994

 
 

2020 Term Loan B1, 5.21%, (3M LIBOR + 3.50%), 04/06/26 (l)

 

44,650

 

35,329

 
 

54,323

 
 

Total Senior Loan Interests (cost $2,298,173)

1,875,336

 

INVESTMENT COMPANIES 2.0%

 

Eaton Vance Senior Floating-Rate Trust

 

3,750

 

37,050

 
 

SPDR Bloomberg Barclays High Yield Bond ETF

 

9,910

 

938,872

 
 

Total Investment Companies (cost $1,102,490)

975,922

 

COMMON STOCKS 0.1%

Energy 0.1%

 

Chaparral Energy, Inc. - Class A (i)

 

6,908

 

3,247

 
 

MPLX LP

 

2,200

 

25,564

 
 

28,811

 

Communication Services 0.0%

 

Clear Channel Outdoor Holdings, Inc. (i)

 

8,143

 

5,212

 
 

iHeartMedia, Inc. - Class A (i)

 

386

 

2,822

 
 

8,034

 
 

Total Common Stocks (cost $242,030)

36,845

 

WARRANTS 0.0%

 

iHeartMedia, Inc. (i) (m)

 

2,897

 

19,059

 
 

Total Warrants (cost $53,585)

19,059

 

SHORT TERM INVESTMENTS 13.8%

Securities Lending Collateral 11.0%

 

State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (n)

 

5,302,253

 

5,302,253

 

Investment Companies 2.8%

 

State Street Institutional U.S. Government Money Market Fund - Premier Class, 0.31% (n)

 

1,330,064

 

1,330,064

 
 

Total Short Term Investments (cost $6,632,317)

6,632,317

 

Total Investments 109.7% (cost $58,153,712)

 

52,883,766

 

Other Derivative Instruments 0.0%

 

647

 

Other Assets and Liabilities, Net (9.7)%

 

(4,658,870)

 

Total Net Assets 100.0%

 

48,225,543

 

(a) The Adviser has deemed this security, which is exempt from registration under the Securities Act of 1933, as amended, to be liquid based on procedures approved by the Board of Trustees. As of March 31, 2020, the value and the percentage of net assets of these liquid securities was $27,875,365 and 57.8% of the Fund.

(b) All or a portion of the security was on loan as of March 31, 2020.

(c) Perpetual security. Next contractual call date presented, if applicable.

(d) Security fair valued in good faith as a Level 3 security in accordance with the procedures approved by the Board of Trustees. Good faith fair valued securities are classified for Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820 "Fair Value Measurement" based on the applicable valuation inputs. See FASB ASC Topic 820 in the Schedules of Investments.

(e) Security is restricted to resale to institutional investors. See Restricted Securities table following the Schedules of Investments.

(f) Pay-in-kind security. Stated coupon is the pay-in-kind rate. The interest earned by the security may be paid in cash or additional par.

(g) The interest rate for this security is inversely affected by upgrades or downgrades to the credit rating of the issuer.

(h) Security is a step-up bond where the coupon may increase or step up at a future date or as the result of an upgrade or downgrade to the credit rating of the issuer. Rate stated was the coupon as of March 31, 2020.

(i) Non-income producing security.

(j) As of March 31, 2020, issuer was in bankruptcy and/or was in default relating to principal and/or interest. Partial or no payments were paid on the last interest or dividend date.

(k) Convertible security.

(l) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of March 31, 2020. For securities based on a published reference rate and spread, the reference rate and spread are presented. Certain variable rate securities do not indicate a reference rate and spread because they are determined by the issuer, remarketing agent, or offering documents and are based on current market conditions. The coupon rate for securities with certain features outlined in the offering documents may vary from the stated reference rate and spread. This includes, but is not limited to, securities with deferred rates, contingent distributions, caps, floors, and fixed-rate to float-rate features. In addition, variable rates for government and agency collateralized mortgage obligations (“CMO”) and mortgage-backed securities (“MBS”) are determined by tranches of underlying mortgage-backed security pools’ cash flows into securities and pass-through rates which reflect the rate earned on the asset pool after management and guarantee fees are paid to the securitizing corporation. CMO and MBS variable rates are determined by a formula set forth in the security’s offering documents.

(m) Security fair valued in good faith as a Level 2 security in accordance with the procedures approved by the Board of Trustees. Good faith fair valued securities are classified for Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820 "Fair Value Measurement" based on the applicable valuation inputs. See FASB ASC Topic 820 in the Schedules of Investments.

(n) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

          

PPM High Yield Core Fund — Restricted Securities

  

Initial Acquisition

 

Cost ($)

 

Value ($)

 

Percent of

Net Assets (%)

 
 

Nordic Aviation Capital DAC, 3.79%, 02/27/23

02/06/20

 

80,000

 

63,396

 

0.1

 
 

Nordic Aviation Capital DAC, 5.83%, 03/14/26

02/27/19

 

125,000

 

114,319

 

0.3

 
    

205,000

 

177,715

 

0.4

 
                

PPM High Yield Core Fund — Futures Contracts

Reference Entity

 

Contracts1

 

Expiration

 

Notional1

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

Short Contracts

United States 10 Year Note

 

(3)

 

June 2020

  

(403,668)

 

319

  

(12,395)

 

United States 5 Year Note

 

(7)

 

July 2020

  

(850,982)

 

328

  

(26,534)

 
         

647

  

(38,929)

 

Abbreviations and additional footnotes are defined on page 33

22


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

PPM Long Short Credit Fund

CORPORATE BONDS AND NOTES 78.5%

Financials 21.4%

 

Acrisure, LLC

     
 

7.00%, 11/15/25 (a)

 

88,000

 

74,473

 
 

AFLAC Incorporated

     
 

3.60%, 04/01/30

 

43,000

 

43,529

 
 

Athene Global Funding

     
 

3.14%, (3M USD LIBOR + 1.23%), 07/01/22 (a) (b)

 

183,000

 

178,691

 
 

2.50%, 01/14/25 (a)

 

130,000

 

122,715

 
 

Avolon Holdings Funding Limited

     
 

3.63%, 05/01/22 (a)

 

125,000

 

107,409

 
 

5.25%, 05/15/24 (a)

 

342,000

 

275,672

 
 

Bank of America Corporation

     
 

6.30%, (callable at 100 beginning 03/10/26) (c)

 

40,000

 

41,850

 
 

2.80%, (3M USD LIBOR + 1.00%), 04/24/23 (b)

 

166,000

 

159,430

 
 

4.00%, 01/22/25

 

209,000

 

219,968

 
 

4.25%, 10/22/26

 

105,000

 

110,480

 
 

3.59%, 07/21/28

 

41,000

 

42,613

 
 

4.33%, 03/15/50 (d)

 

1,199,000

 

1,415,738

 
 

4.08%, 03/20/51

 

93,000

 

104,835

 
 

Capital One Financial Corporation

     
 

3.75%, 03/09/27

 

40,000

 

39,118

 
 

Citigroup Inc.

     
 

5.00%, (callable at 100 beginning 09/12/24) (c)

 

52,000

 

47,791

 
 

2.75%, (3M USD LIBOR + 0.96%), 04/25/22 (b) (d)

 

249,000

 

238,110

 
 

4.45%, 09/29/27

 

123,000

 

127,816

 
 

3.89%, 01/10/28 (b)

 

67,000

 

69,474

 
 

4.13%, 07/25/28

 

10,000

 

10,154

 
 

4.41%, 03/31/31

 

68,000

 

74,702

 
 

Credit Suisse Group AG

     
 

7.50%, (callable at 100 beginning 07/17/23) (a) (c)

 

200,000

 

187,760

 
 

6.50%, 08/08/23 (a)

 

175,000

 

177,337

 
 

Diamond Finance International Limited

     
 

8.35%, 07/15/46 (a)

 

99,000

 

116,529

 
 

Ford Motor Credit Company LLC

     
 

5.01%, (3M USD LIBOR + 3.14%), 01/07/22 (b)

 

250,000

 

222,009

 
 

Glencore Funding LLC

     
 

4.88%, 03/12/29 (a)

 

125,000

 

121,381

 
 

HSBC Holdings PLC

     
 

2.69%, (3M USD LIBOR + 1.00%), 05/18/24 (b)

 

150,000

 

139,301

 
 

Icahn Enterprises L.P.

     
 

6.25%, 05/15/26

 

89,000

 

83,955

 
 

JPMorgan Chase & Co.

     
 

4.60%, (callable at 100 beginning 02/01/25) (c)

 

132,000

 

116,220

 
 

5.00%, (callable at 100 beginning 08/01/24) (c)

 

70,000

 

67,379

 
 

5.30%, (callable at 100 beginning 05/01/20) (c)

 

150,000

 

140,436

 
 

3.54%, 05/01/28

 

9,000

 

9,439

 
 

3.51%, 01/23/29

 

66,000

 

68,774

 
 

2.74%, 10/15/30

 

116,000

 

116,182

 
 

Metropolitan Life Global Funding I

     
 

3.60%, 01/11/24 (a)

 

160,000

 

176,672

 
 

Mitsubishi UFJ Financial Group Inc

     
 

2.56%, 02/25/30

 

200,000

 

191,347

 
 

Morgan Stanley

     
 

2.73%, (3M USD LIBOR + 0.93%), 07/22/22 (b)

 

125,000

 

121,521

 
 

4.10%, 05/22/23

 

225,000

 

232,263

 
 

3.62%, 04/01/31

 

143,000

 

148,826

 
 

Nordic Aviation Capital DAC

     
 

5.58%, 03/14/24 (e) (f)

 

135,000

 

109,867

 
 

Rassman, Joel H.

     
 

3.80%, 11/01/29

 

138,000

 

120,902

 
 

Springleaf Finance Corporation

     
 

5.38%, 11/15/29

 

34,000

 

31,312

 
 

The Goldman Sachs Group, Inc.

     
 

2.91%, 07/24/23 (d)

 

20,000

 

20,184

 
 

3.50%, 04/01/25

 

115,000

 

116,694

 
 

3.80%, 03/15/30

 

176,000

 

183,121

 
 

The Guardian Life Insurance Company of America

     
 

3.70%, 01/22/70 (a)

 

46,000

 

40,190

 
 

U.S. Bancorp

     
 

3.00%, 07/30/29

 

66,000

 

65,710

 
 

USA Compression Finance Corp.

     
 

6.88%, 09/01/27

 

67,000

 

42,479

 
 

Wells Fargo & Company

     
 

2.41%, 10/30/25

 

189,000

 

186,000

 
 

3.20%, 06/17/27

 

25,000

 

25,878

 
 

3.58%, 05/22/28 (b)

 

26,000

 

26,988

 
 

2.88%, 10/30/30

 

214,000

 

209,747

 
 

Wells Fargo Bank, National Association

     
 

2.08%, 09/09/22 (d)

 

750,000

 

746,088

 
 

7,867,059

 

Communication Services 11.2%

 

AT&T Inc.

     
 

1.96%, (3M USD LIBOR + 1.18%), 06/12/24 (b)

 

350,000

 

326,451

 
 

5.25%, 03/01/37

 

80,000

 

93,235

 
 

CB Escrow Corp.

     
 

8.00%, 10/15/25 (a)

 

95,000

 

97,366

 
 

CCO Holdings, LLC

     
 

4.75%, 03/01/30 (a)

 

84,000

 

83,681

 
 

CenturyLink, Inc.

     
 

4.00%, 02/15/27 (a)

 

47,000

 

45,590

 
 

Charter Communications Operating, LLC

     
 

4.91%, 07/23/25

 

250,000

 

268,466

 
 

6.83%, 10/23/55

 

40,000

 

48,052

 
 

Comcast Corporation

     
 

3.30%, 04/01/27

 

110,000

 

116,455

 
 

4.60%, 10/15/38

 

32,000

 

38,917

 
 

3.75%, 04/01/40

 

25,000

 

27,383

 
 

4.95%, 10/15/58

 

44,000

 

60,600

 
 

Connect Finco SARL

     
 

6.75%, 10/01/26 (a)

 

50,000

 

41,492

 
 

DISH DBS Corporation

     
 

7.75%, 07/01/26

 

66,000

 

67,839

 
 

Hughes Satellite Systems Corporation

     
 

5.25%, 08/01/26

 

83,000

 

82,128

 
 

iHeartCommunications, Inc.

     
 

6.38%, 05/01/26

 

14,918

 

14,218

 
 

8.38%, 05/01/27

 

27,038

 

23,179

 
 

5.25%, 08/15/27 (a)

 

25,000

 

22,005

 
 

4.75%, 01/15/28 (a)

 

24,000

 

21,347

 
 

Intelsat Jackson Holdings S.A.

     
 

8.50%, 10/15/24 (a) (d)

 

38,000

 

23,931

 
 

Sirius XM Radio Inc.

     
 

5.50%, 07/01/29 (a)

 

46,000

 

46,894

 
 

Sprint Corporation

     
 

7.13%, 06/15/24

 

58,000

 

63,577

 
 

Sprint Spectrum Co LLC

     
 

3.36%, 09/20/21 (a)

 

87,500

 

87,071

 
 

TEGNA Inc.

     
 

5.00%, 09/15/29 (a)

 

64,000

 

57,656

 
 

Telesat Canada

     
 

6.50%, 10/15/27 (a)

 

40,000

 

38,758

 
 

The Walt Disney Company

     
 

1.83%, (3M USD LIBOR + 0.25%), 09/01/21 (b) (d)

 

500,000

 

492,103

 
 

Verizon Communications Inc.

     
 

3.00%, 03/22/27

 

24,000

 

25,317

 
 

4.02%, 12/03/29 (d)

 

1,510,000

 

1,700,342

 
 

4.00%, 03/22/50

 

25,000

 

29,494

 
 

Vodafone Group Public Limited Company

     
 

5.00%, 05/30/38

 

90,000

 

99,696

 
 

4,143,243

 

Energy 9.6%

 

Aker BP ASA

     
 

3.75%, 01/15/30 (a)

 

210,000

 

155,625

 
 

Baker Hughes, a GE Company, LLC

     
 

3.14%, 11/07/29

 

49,000

 

42,363

 
 

Callon Petroleum Company

     
 

6.38%, 07/01/26

 

125,000

 

20,010

 
 

Cheniere Corpus Christi Holdings, LLC

     
 

5.88%, 03/31/25

 

41,000

 

36,681

 
 

Cheniere Energy Partners, L.P.

     
 

4.50%, 10/01/29 (a)

 

110,000

 

97,725

 

Abbreviations and additional footnotes are defined on page 33

23


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Denbury Resources Inc.

     
 

9.25%, 03/31/22 (a) (d)

 

14,000

 

3,329

 
 

7.75%, 02/15/24 (a)

 

80,000

 

11,704

 
 

Endeavor Energy Resources, L.P.

     
 

5.75%, 01/30/28 (a)

 

69,000

 

46,631

 
 

Energy Transfer LP

     
 

6.75%, (callable at 100 beginning 05/15/25) (c)

 

83,000

 

50,568

 
 

7.13%, (callable at 100 beginning 05/15/30) (c)

 

96,000

 

58,399

 
 

4.25%, 03/15/23

 

192,000

 

172,403

 
 

3.75%, 05/15/30

 

57,000

 

44,571

 
 

5.80%, 06/15/38

 

95,000

 

83,233

 
 

Energy Transfer Operating, L.P.

     
 

6.25%, 04/15/49

 

40,000

 

33,855

 
 

Enlink Midstream, LLC

     
 

4.15%, 06/01/25

 

69,000

 

33,431

 
 

Enterprise Products Operating LLC

     
 

3.35%, 03/15/23

 

43,000

 

42,189

 
 

3.13%, 07/31/29

 

123,000

 

112,056

 
 

4.20%, 01/31/50

 

84,000

 

79,534

 
 

EQM Midstream Partners, LP

     
 

4.13%, 12/01/26

 

108,000

 

62,435

 
 

Everest Acquisition, LLC

     
 

0.00%, 11/29/24 (a) (d) (g) (h)

 

85,000

 

2,257

 
 

0.00%, 05/15/26 (a) (g) (h)

 

35,000

 

5,510

 
 

Exxon Mobil Corporation

     
 

3.48%, 03/19/30

 

186,000

 

205,786

 
 

MEG Energy Corp.

     
 

7.13%, 02/01/27 (a)

 

17,000

 

8,455

 
 

MPLX LP

     
 

1.90%, (3M USD LIBOR + 0.90%), 09/09/21 (b) (d)

 

500,000

 

482,500

 
 

4.00%, 03/15/28

 

97,000

 

82,127

 
 

5.20%, 12/01/47 (a)

 

44,000

 

35,290

 
 

Murphy Oil Corporation

     
 

5.88%, 12/01/27

 

66,000

 

34,741

 
 

National Oilwell Varco, Inc.

     
 

3.60%, 12/01/29

 

100,000

 

77,845

 
 

NGPL PipeCo LLC

     
 

4.88%, 08/15/27 (a)

 

23,000

 

20,461

 
 

Occidental Petroleum Corporation

     
 

2.96%, (3M USD LIBOR + 1.25%), 08/13/21 (b) (d)

 

300,000

 

223,500

 
 

3.50%, 08/15/29

 

103,000

 

48,410

 
 

4.30%, 08/15/39

 

19,000

 

8,075

 
 

4.40%, 08/15/49

 

21,000

 

9,072

 
 

ONEOK, Inc.

     
 

3.10%, 03/15/30

 

100,000

 

75,279

 
 

Parsley Energy, LLC

     
 

5.38%, 01/15/25 (a)

 

91,000

 

70,426

 
 

Patterson-UTI Energy, Inc.

     
 

5.15%, 11/15/29

 

130,000

 

48,699

 
 

Sabine Pass Liquefaction, LLC

     
 

5.63%, 03/01/25

 

88,000

 

80,603

 
 

4.20%, 03/15/28

 

165,000

 

143,126

 
 

SM Energy Company

     
 

1.50%, 07/01/21 (i)

 

48,000

 

17,513

 
 

Southwestern Energy Company

     
 

7.75%, 10/01/27

 

500,000

 

334,606

 
 

Summit Midstream Holdings, LLC

     
 

5.75%, 04/15/25

 

29,000

 

3,600

 
 

Summit Midstream Partners, LP

     
 

9.50%, (callable at 104 beginning 12/15/22) (c)

 

125,000

 

1,787

 
 

Targa Resource Corporation

     
 

5.50%, 03/01/30 (a)

 

108,000

 

83,596

 
 

Transocean Pontus Limited

     
 

6.13%, 08/01/25 (a) (d)

 

16,700

 

13,249

 
 

Transocean Poseidon Limited

     
 

6.88%, 02/01/27 (a)

 

49,000

 

39,256

 
 

Transocean Proteus Limited

     
 

6.25%, 12/01/24 (a)

 

156,100

 

126,345

 
 

Viper Energy Partners LP

     
 

5.38%, 11/01/27 (a)

 

26,000

 

21,712

 
 

Whiting Petroleum Corporation

     
 

1.25%, 06/05/20 (i)

 

13,000

 

6,497

 
 

WPX Energy, Inc.

     
 

4.50%, 01/15/30

 

43,000

 

23,302

 
 

3,520,367

 

Health Care 9.0%

 

AbbVie Inc.

     
 

2.95%, 11/21/26 (a)

 

121,000

 

123,816

 
 

4.30%, 05/14/36

 

36,000

 

39,048

 
 

4.05%, 11/21/39 (a)

 

94,000

 

98,079

 
 

4.25%, 11/21/49 (a)

 

133,000

 

142,765

 
 

Actavis LLC

     
 

3.25%, 10/01/22

 

233,000

 

233,396

 
 

Amgen Inc.

     
 

2.45%, 02/21/30

 

82,000

 

81,307

 
 

3.15%, 02/21/40

 

131,000

 

130,057

 
 

Bausch Health Companies Inc.

     
 

8.50%, 01/31/27 (a)

 

63,000

 

65,863

 
 

5.75%, 08/15/27 (a)

 

82,000

 

84,498

 
 

7.00%, 01/15/28 (a)

 

24,000

 

24,872

 
 

5.00%, 01/30/28 (a)

 

32,000

 

30,295

 
 

Baxter International Inc.

     
 

3.75%, 10/01/25 (a)

 

35,000

 

37,090

 
 

3.95%, 04/01/30 (a)

 

11,000

 

11,891

 
 

Becton, Dickinson and Company

     
 

2.25%, (3M USD LIBOR + 0.88%), 12/29/20 (b) (d)

 

300,000

 

295,089

 
 

Bristol-Myers Squibb Company

     
 

3.40%, 07/26/29 (a)

 

218,000

 

239,683

 
 

4.13%, 06/15/39 (a)

 

55,000

 

66,101

 
 

Centene Corporation

     
 

5.25%, 04/01/25 (a)

 

61,000

 

61,640

 
 

5.38%, 08/15/26 (a)

 

64,000

 

65,280

 
 

4.25%, 12/15/27 (a)

 

28,000

 

28,224

 
 

4.63%, 12/15/29 (a)

 

123,000

 

123,615

 
 

3.38%, 02/15/30 (a)

 

57,000

 

53,010

 
 

Centene Escrow I Corporation

     
 

5.38%, 06/01/26 (a)

 

65,000

 

66,929

 
 

Cigna Holding Company

     
 

3.40%, 03/01/27 (a)

 

50,000

 

50,980

 
 

4.38%, 10/15/28

 

120,000

 

129,017

 
 

2.40%, 03/15/30

 

45,000

 

42,287

 
 

3.20%, 03/15/40

 

36,000

 

33,395

 
 

3.40%, 03/15/50

 

75,000

 

72,040

 
 

Community Health Systems, Inc.

     
 

8.63%, 01/15/24 (a)

 

50,000

 

49,917

 
 

8.00%, 03/15/26 (a)

 

85,000

 

80,821

 
 

CVS Health Corporation

     
 

4.78%, 03/25/38

 

62,000

 

68,123

 
 

5.05%, 03/25/48

 

109,000

 

123,033

 
 

HCA Inc.

     
 

5.13%, 06/15/39

 

99,000

 

101,577

 
 

Legacy Lifepoint Health, LLC

     
 

9.75%, 12/01/26 (a)

 

125,000

 

119,835

 
 

Par Pharmaceutical, Inc.

     
 

7.50%, 04/01/27 (a) (d)

 

89,000

 

88,514

 
 

Providence St. Joseph Health

     
 

2.53%, 10/01/29

 

62,000

 

60,813

 
 

Quest Diagnostics Incorporated

     
 

2.95%, 06/30/30

 

40,000

 

39,366

 
 

Tenet Healthcare Corporation

     
 

4.88%, 01/01/26 (a)

 

130,000

 

124,041

 
 

Thermo Fisher Scientific Inc.

     
 

4.13%, 03/25/25

 

39,000

 

41,802

 
 

3,328,109

 

Consumer Staples 5.6%

 

Anheuser-Busch Companies, LLC

     
 

3.65%, 02/01/26

 

71,000

 

74,554

 
 

4.90%, 02/01/46

 

102,000

 

112,361

 
 

Archer-Daniels-Midland Company

     
 

2.75%, 03/27/25

 

13,000

 

13,161

 
 

3.25%, 03/27/30

 

48,000

 

50,811

 
 

BAT Capital Corp.

     
 

4.91%, 04/02/30

 

107,000

 

109,870

 
 

4.39%, 08/15/37

 

168,000

 

155,249

 

Abbreviations and additional footnotes are defined on page 33

24


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

JBS USA Finance, Inc.

     
 

6.75%, 02/15/28 (a)

 

100,000

 

106,919

 
 

JBS USA Food Company

     
 

5.88%, 07/15/24 (a)

 

15,000

 

15,198

 
 

6.50%, 04/15/29 (a)

 

74,000

 

79,303

 
 

Kimberly-Clark Corporation

     
 

3.10%, 03/26/30

 

12,000

 

12,865

 
 

Kraft Heinz Foods Company

     
 

2.30%, (3M USD LIBOR + 0.57%), 02/10/21 (b)

 

333,000

 

320,881

 
 

Mars, Incorporated

     
 

3.95%, 04/01/49 (a)

 

117,000

 

129,496

 
 

Matterhorn Merger Sub, LLC

     
 

8.50%, 06/01/26 (a)

 

100,000

 

80,747

 
 

PepsiCo, Inc.

     
 

3.63%, 03/19/50

 

80,000

 

94,199

 
 

Post Holdings, Inc.

     
 

5.63%, 01/15/28 (a)

 

82,000

 

83,399

 
 

Reynolds American Inc.

     
 

4.45%, 06/12/25

 

119,000

 

120,363

 
 

Safeway Inc.

     
 

3.50%, 02/15/23 (a)

 

67,000

 

66,055

 
 

Sigma Holdco B.V.

     
 

7.88%, 05/15/26 (a)

 

100,000

 

89,949

 
 

Spectrum Brands, Inc.

     
 

5.00%, 10/01/29 (a)

 

63,000

 

54,734

 
 

Sysco Corporation

     
 

5.65%, 04/01/25 (j)

 

33,000

 

34,332

 
 

5.95%, 04/01/30 (j)

 

23,000

 

24,266

 
 

6.60%, 04/01/40 (j)

 

16,000

 

17,205

 
 

The Procter & Gamble Company

     
 

3.60%, 03/25/50

 

23,000

 

28,367

 
 

Walmart Inc.

     
 

2.85%, 07/08/24

 

125,000

 

131,903

 
 

2.95%, 09/24/49

 

56,000

 

60,959

 
 

2,067,146

 

Utilities 5.5%

 

Ameren Illinois Company

     
 

4.50%, 03/15/49

 

104,000

 

123,947

 
 

Basin Electric Power Cooperative

     
 

4.75%, 04/26/47 (a)

 

100,000

 

110,064

 
 

Berkshire Hathaway Energy Company

     
 

4.05%, 04/15/25 (a)

 

88,000

 

94,911

 
 

Consolidated Edison Company of New York, Inc.

     
 

3.35%, 04/01/30

 

7,000

 

7,001

 
 

3.95%, 04/01/50

 

40,000

 

42,115

 
 

DPL Inc.

     
 

4.35%, 04/15/29 (a)

 

98,000

 

93,697

 
 

Edison International

     
 

4.95%, 04/15/25

 

15,000

 

14,964

 
 

Exelon Corporation

     
 

4.05%, 04/15/30

 

25,000

 

25,036

 
 

5.10%, 06/15/45

 

112,000

 

121,102

 
 

Florida Power & Light Company

     
 

2.14%, (3M USD LIBOR + 0.40%), 05/06/22 (b) (d)

 

500,000

 

469,175

 
 

2.85%, 04/01/25

 

47,000

 

49,048

 
 

Nevada Power Company

     
 

3.70%, 05/01/29

 

119,000

 

126,300

 
 

NSTAR Electric Company

     
 

3.95%, 04/01/30

 

31,000

 

33,665

 
 

Ohio Power Company

     
 

2.60%, 04/01/30

 

38,000

 

37,557

 
 

Sempra Energy

     
 

2.33%, (3M USD LIBOR + 0.50%), 01/15/21 (b)

 

333,000

 

319,897

 
 

Southern California Edison Company

     
 

4.13%, 03/01/48

 

46,000

 

47,780

 
 

3.65%, 02/01/50

 

50,000

 

48,556

 
 

The AES Corporation

     
 

4.00%, 03/15/21

 

140,000

 

138,686

 
 

Vistra Operations Company LLC

     
 

3.55%, 07/15/24 (a) (d)

 

69,000

 

64,913

 
 

4.30%, 07/15/29 (a)

 

60,000

 

58,747

 
 

2,027,161

 

Industrials 5.1%

 

Ashtead Capital, Inc.

     
 

5.25%, 08/01/26 (a)

 

124,000

 

118,577

 
 

Bombardier Inc.

     
 

5.75%, 03/15/22 (a)

 

34,000

 

25,751

 
 

7.50%, 03/15/25 (a)

 

65,000

 

45,670

 
 

7.88%, 04/15/27 (a)

 

35,000

 

24,133

 
 

Canadian Pacific Railway Limited

     
 

2.05%, 03/05/30

 

24,000

 

22,331

 
 

Carlisle Companies Incorporated

     
 

2.75%, 03/01/30

 

140,000

 

121,524

 
 

Caterpillar Inc.

     
 

3.25%, 09/19/49

 

100,000

 

100,791

 
 

Equifax Inc.

     
 

2.60%, 12/01/24

 

74,000

 

71,292

 
 

Foxtrot Escrow Issuer LLC

     
 

12.25%, 11/15/26 (a)

 

75,000

 

58,584

 
 

General Dynamics Corporation

     
 

4.25%, 04/01/40

 

70,000

 

83,188

 
 

General Electric Company

     
 

5.00%, (callable at 100 beginning 01/21/21) (c) (d)

 

379,000

 

313,526

 
 

Hillenbrand, Inc.

     
 

4.50%, 09/15/26 (j)

 

18,000

 

17,946

 
 

John Deere Capital Corporation

     
 

1.75%, 03/09/27

 

42,000

 

40,391

 
 

Northrop Grumman Corporation

     
 

4.40%, 05/01/30

 

33,000

 

36,543

 
 

Reynolds Group Holdings Inc.

     
 

5.33%, (3M USD LIBOR + 3.50%), 07/15/21 (a) (b)

 

161,000

 

156,664

 
 

Textron Inc.

     
 

3.00%, 06/01/30

 

130,000

 

118,652

 
 

United Parcel Service, Inc.

     
 

4.45%, 04/01/30

 

90,000

 

102,113

 
 

United Rentals (North America), Inc.

     
 

3.88%, 11/15/27

 

51,000

 

48,507

 
 

Westinghouse Air Brake Technologies Corporation

     
 

2.04%, (3M USD LIBOR + 1.30%), 09/15/21 (b) (d)

 

375,000

 

376,712

 
 

1,882,895

 

Materials 4.4%

 

Anglo American Capital PLC

     
 

5.38%, 04/01/25 (a)

 

200,000

 

202,219

 
 

4.88%, 05/14/25 (a)

 

121,000

 

117,802

 
 

4.75%, 04/10/27 (a)

 

135,000

 

130,197

 
 

ARD Finance S.A.

     
 

6.50%, 06/30/27 (a) (k)

 

130,000

 

113,409

 
 

Avery Dennison Corporation

     
 

2.65%, 04/30/30

 

36,000

 

33,461

 
 

CEMEX S.A.B. de C.V.

     
 

5.45%, 11/19/29 (a)

 

150,000

 

122,281

 
 

CF Industries, Inc.

     
 

4.50%, 12/01/26 (a)

 

287,000

 

301,758

 
 

Ecolab Inc.

     
 

4.80%, 03/24/30

 

27,000

 

30,713

 
 

FMG Resources (August 2006) Pty Ltd

     
 

4.75%, 05/15/22 (a)

 

105,000

 

105,126

 
 

Freeport-McMoRan Inc.

     
 

5.00%, 09/01/27

 

47,000

 

43,678

 
 

5.40%, 11/14/34

 

60,000

 

55,103

 
 

FXI Holdings, Inc.

     
 

7.88%, 11/01/24 (a)

 

75,000

 

51,545

 
 

LYB International Finance III, LLC

     
 

4.20%, 10/15/49

 

63,000

 

61,586

 
 

Martin Marietta Materials, Inc.

     
 

2.50%, 03/15/30

 

55,000

 

50,035

 
 

NOVA Chemicals Corporation

     
 

4.88%, 06/01/24 (a)

 

175,000

 

153,497

 
 

Olin Corporation

     
 

5.63%, 08/01/29

 

36,000

 

33,082

 
 

1,605,492

 

Abbreviations and additional footnotes are defined on page 33

25


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

Consumer Discretionary 2.9%

 

Adient US LLC

     
 

7.00%, 05/15/26 (a)

 

13,000

 

12,034

 
 

Asbury Automotive Group, Inc.

     
 

4.50%, 03/01/28 (a)

 

18,000

 

15,369

 
 

Dollar Tree, Inc.

     
 

2.54%, (3M USD LIBOR + 0.70%), 04/17/20 (b) (d)

 

133,000

 

133,007

 
 

Fiat Chrysler Automobiles N.V.

     
 

5.25%, 04/15/23

 

103,000

 

98,157

 
 

GLP Financing, LLC

     
 

5.75%, 06/01/28

 

14,000

 

12,184

 
 

5.30%, 01/15/29

 

110,000

 

91,270

 
 

KB Home

     
 

7.63%, 05/15/23

 

67,000

 

67,677

 
 

M.D.C. Holdings, Inc.

     
 

6.00%, 01/15/43

 

14,000

 

13,215

 
 

McDonald's Corporation

     
 

3.50%, 07/01/27

 

121,000

 

126,493

 
 

NCL Corporation Ltd.

     
 

3.63%, 12/15/24 (a)

 

75,000

 

47,908

 
 

NIKE, Inc.

     
 

3.25%, 03/27/40

 

51,000

 

53,356

 
 

Scientific Games International, Inc.

     
 

7.25%, 11/15/29 (a)

 

70,000

 

43,995

 
 

Starbucks Corporation

     
 

2.25%, 03/12/30

 

107,000

 

100,559

 
 

The Home Depot, Inc.

     
 

3.35%, 04/15/50

 

51,000

 

54,033

 
 

The TJX Companies, Inc.

     
 

3.50%, 04/15/25

 

85,000

 

86,939

 
 

4.50%, 04/15/50

 

30,000

 

32,153

 
 

VOC Escrow Ltd.

     
 

5.00%, 02/15/28 (a)

 

70,000

 

51,264

 
 

Yum! Brands, Inc.

     
 

7.75%, 04/01/25 (a)

 

24,000

 

25,213

 
 

1,064,826

 

Information Technology 2.2%

 

Broadcom Corporation

     
 

3.88%, 01/15/27

 

100,000

 

95,230

 
 

Broadcom Inc.

     
 

4.25%, 04/15/26 (a)

 

75,000

 

76,064

 
 

Corning Incorporated

     
 

5.85%, 11/15/68

 

58,000

 

64,019

 
 

Dell International L.L.C.

     
 

4.90%, 10/01/26 (a) (j)

 

30,000

 

29,868

 
 

MasterCard Incorporated

     
 

3.30%, 03/26/27

 

61,000

 

66,345

 
 

3.85%, 03/26/50

 

16,000

 

19,537

 
 

Microsoft Corporation

     
 

3.95%, 08/08/56

 

50,000

 

62,590

 
 

NXP B.V.

     
 

4.13%, 06/01/21 (a)

 

200,000

 

201,819

 
 

Paypal Holdings, Inc.

     
 

2.40%, 10/01/24

 

115,000

 

115,579

 
 

Radiate HoldCo, LLC

     
 

6.88%, 02/15/23 (a)

 

85,000

 

76,685

 
 

807,736

 

Real Estate 1.6%

 

Boston Properties Limited Partnership

     
 

2.75%, 10/01/26

 

36,000

 

34,405

 
 

2.90%, 03/15/30

 

110,000

 

100,858

 
 

Equinix, Inc.

     
 

2.63%, 11/18/24

 

125,000

 

117,662

 
 

Service Properties Trust

     
 

4.35%, 10/01/24

 

62,000

 

45,412

 
 

Simon Property Group, L.P.

     
 

2.45%, 09/13/29

 

250,000

 

232,312

 
 

VICI Properties Inc.

     
 

4.25%, 12/01/26 (a)

 

65,000

 

59,714

 
 

590,363

 
 

Total Corporate Bonds And Notes (cost $30,462,214)

28,904,397

 

SENIOR LOAN INTERESTS 17.4%

Consumer Discretionary 5.1%

 

1011778 B.C. Unlimited Liability Company

     
 

Term Loan B4, 3.35%, (1M LIBOR + 1.75%), 11/14/26 (b)

 

203,620

 

187,330

 
 

Adient US LLC

     
 

Term Loan B, 5.74%, (3M LIBOR + 4.00%), 05/03/24 (b)

 

18,423

 

15,936

 
 

Term Loan B, 5.94%, (3M LIBOR + 4.00%), 05/03/24 (b)

 

56,015

 

48,453

 
 

American Axle and Manufacturing, Inc.

     
 

Term Loan B, 3.18%, (1M LIBOR + 2.25%), 03/10/24 (b)

 

175,834

 

145,415

 
 

Aramark Services, Inc.

     
 

2018 Term Loan B3, 3.35%, (1M LIBOR + 1.75%), 03/01/25 (b)

 

187,000

 

173,910

 
 

Caesars Entertainment Operating Company

     
 

Exit Term Loan, 3.60%, (1M LIBOR + 2.00%), 04/03/24 (b)

 

183,354

 

148,211

 
 

Caesars Resort Collection, LLC

     
 

2017 1st Lien Term Loan B, 3.74%, (1M LIBOR + 2.75%), 12/23/24 (b)

 

76,188

 

61,256

 
 

CityCenter Holdings, LLC

     
 

2017 Term Loan B, 3.24%, (1M LIBOR + 2.25%), 04/14/24 (b)

 

96,976

 

84,175

 
 

Four Seasons Hotels Limited

     
 

New 1st Lien Term Loan, 2.99%, (1M LIBOR + 2.00%), 11/30/23 (b)

 

122,779

 

110,501

 
 

Golden Nugget, Inc.

     
 

2017 Incremental Term Loan B, 3.70%, (3M LIBOR + 2.50%), 09/07/23 (b)

 

83,829

 

64,968

 
 

Term Loan, 0.00%, (3M LIBOR + 2.50%), 10/04/23 (b) (l)

 

80,000

 

62,000

 
 

2017 Incremental Term Loan B, 4.10%, (1M LIBOR + 2.50%), 10/04/23 (b)

 

98,207

 

76,111

 
 

Marriott Ownership Resorts, Inc.

     
 

2019 Term Loan B, 3.35%, (1M LIBOR + 1.75%), 08/29/25 (b)

 

245,390

 

213,489

 
 

Mohegan Tribal Gaming Authority

     
 

2016 Term Loan B, 5.98%, (1M LIBOR + 4.38%), 10/30/23 (b)

 

196,353

 

138,429

 
 

Numericable Group SA

     
 

USD Term Loan B11, 3.74%, (1M LIBOR + 2.75%), 07/31/25 (b)

 

194,953

 

178,870

 
 

PCI Gaming Authority

     
 

Term Loan, 4.10%, (1M LIBOR + 2.50%), 05/15/26 (b)

 

206,393

 

167,179

 
 

1,876,233

 

Communication Services 4.5%

 

Ancestry.com Operations Inc.

     
 

2019 Extended Term Loan B, 5.86%, (1M LIBOR + 4.25%), 08/15/26 (b)

 

112,797

 

89,110

 
 

CenturyLink, Inc.

     
 

2020 Term Loan B, 3.24%, (1M LIBOR + 2.25%), 03/15/27 (b)

 

134,662

 

124,984

 
 

CSC Holdings, LLC

     
 

2017 1st Lien Term Loan, 2.86%, (1M LIBOR + 2.25%), 07/15/25 (b)

 

157,570

 

149,954

 
 

Diamond Sports Group, LLC

     
 

Term Loan, 4.18%, (1M LIBOR + 3.25%), 08/24/26 (b)

 

89,550

 

68,954

 
 

Frontier Communications Corp.

     
 

2017 Term Loan B1, 5.21%, (3M LIBOR + 3.75%), 05/31/24 (b)

 

407

 

385

 
 

2017 Term Loan B1, 5.35%, (3M LIBOR + 3.75%), 05/31/24 (b)

 

121,760

 

115,196

 
 

Level 3 Financing Inc.

     
 

2019 Term Loan B, 3.35%, (1M LIBOR + 1.75%), 03/01/27 (b)

 

168,664

 

156,857

 
 

Nexstar Broadcasting, Inc.

     
 

2019 Term Loan B4, 4.33%, (1M LIBOR + 2.75%), 07/15/26 (b)

 

239,342

 

221,870

 
 

Sprint Communications, Inc.

     
 

1st Lien Term Loan B, 4.12%, (1M LIBOR + 2.50%), 02/01/24 (b)

 

147,342

 

146,237

 

Abbreviations and additional footnotes are defined on page 33

26


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Terrier Media Buyer, Inc.

     
 

Term Loan B, 6.15%, (3M LIBOR + 4.25%), 10/04/26 (b)

 

38,902

 

34,331

 
 

Univision Communications Inc.

     
 

Term Loan C5, 3.75%, (1M LIBOR + 2.75%), 03/15/24 (b)

 

120,475

 

101,500

 
 

Virgin Media Bristol LLC

     
 

USD Term Loan N, 3.20%, (1M LIBOR + 2.50%), 10/03/27 (b)

 

150,000

 

138,000

 
 

Windstream Services, LLC

     
 

Repriced Term Loan B6, 8.25%, (3M PRIME + 5.00%), 03/29/21 (b)

 

149,237

 

91,781

 
 

Zayo Group Holdings, Inc.

     
 

USD Term Loan , 4.01%, (1M LIBOR + 3.00%), 02/20/27 (b)

 

222,619

 

209,262

 
 

1,648,421

 

Materials 2.6%

 

Berry Global, Inc.

     
 

Term Loan Y, 2.86%, (1M LIBOR + 2.00%), 07/01/26 (b)

 

195,398

 

184,652

 
 

BWAY Holding Company

     
 

2017 Term Loan B, 5.08%, (3M LIBOR + 3.25%), 04/03/24 (b)

 

285,785

 

231,666

 
 

Diamond (BC) B.V.

     
 

USD Term Loan , 4.78%, (3M LIBOR + 3.00%), 07/24/24 (b)

 

167,010

 

123,587

 
 

Flex Acquisition Company, Inc.

     
 

1st Lien Term Loan, 4.91%, (3M LIBOR + 3.00%), 12/15/23 (b)

 

66,763

 

60,421

 
 

1st Lien Term Loan, 4.58%, (1M LIBOR + 3.00%), 12/29/23 (b)

 

2,506

 

2,268

 
 

Hexion Inc

     
 

USD Exit Term Loan, 5.41%, (3M LIBOR + 3.50%), 06/27/26 (b)

 

121,241

 

100,933

 
 

Klockner-Pentaplast of America, Inc.

     
 

USD 2017 Term Loan B2, 6.01%, (1M LIBOR + 4.25%), 06/30/22 (b)

 

147,355

 

101,573

 
 

Messer Industries GmbH

     
 

2018 USD Term Loan, 4.44%, (3M LIBOR + 2.50%), 10/10/25 (b)

 

119,790

 

105,894

 
 

Proampac PG Borrower LLC

     
 

2016 1st Lien Term Loan, 4.50%, (1M LIBOR + 3.50%), 11/18/23 (b)

 

15,212

 

12,607

 
 

2016 1st Lien Term Loan, 5.19%, (3M LIBOR + 3.50%), 11/18/23 (b)

 

8,894

 

7,371

 
 

2016 1st Lien Term Loan, 5.26%, (3M LIBOR + 3.50%), 11/18/23 (b)

 

10,352

 

8,579

 
 

2016 1st Lien Term Loan, 5.29%, (3M LIBOR + 3.50%), 11/18/23 (b)

 

6,845

 

5,673

 
 

945,224

 

Health Care 1.4%

 

Air Methods Corporation

     
 

2017 Term Loan B, 5.44%, (3M LIBOR + 3.50%), 04/12/24 (b)

 

88,999

 

61,904

 
 

Alphabet Holding Company, Inc.

     
 

2017 1st Lien Term Loan, 5.10%, (1M LIBOR + 3.50%), 08/15/24 (b)

 

88,413

 

69,896

 
 

Endo Luxembourg Finance Company I S.a r.l.

     
 

2017 Term Loan B, 5.25%, (1M LIBOR + 4.25%), 04/12/24 (b)

 

132,614

 

118,358

 
 

Phoenix Guarantor Inc

     
 

2020 Term Loan B, 4.11%, (1M LIBOR + 3.25%), 03/05/26 (b)

 

165,419

 

149,290

 
 

RegionalCare Hospital Partners Holdings, Inc.

     
 

2018 Term Loan B, 5.35%, (1M LIBOR + 3.75%), 11/09/25 (b)

 

130,936

 

122,496

 
 

521,944

 

Energy 1.2%

 

Buckeye Partners, L.P.

     
 

2019 Term Loan B, 4.27%, (1M LIBOR + 2.75%), 10/10/26 (b)

 

250,000

 

228,000

 
 

California Resources Corporation

     
 

2017 1st Lien Term Loan, 6.36%, (3M LIBOR + 4.75%), 11/08/22 (b)

 

125,000

 

27,500

 
 

Chesapeake Energy Corporation

     
 

2019 Last Out Term Loan, 9.00%, (1M LIBOR + 8.00%), 06/09/24 (b)

 

50,000

 

19,250

 
 

Lower Cadence Holdings LLC

     
 

Term Loan B, 4.99%, (1M LIBOR + 4.00%), 05/10/26 (b)

 

193,227

 

115,936

 
 

Traverse Midstream Partners LLC

     
 

2017 Term Loan, 5.61%, (1M LIBOR + 4.00%), 09/22/24 (b)

 

98,500

 

54,175

 
 

444,861

 

Utilities 0.8%

 

Calpine Corporation

     
 

Term Loan B5, 4.20%, (1M LIBOR + 2.25%), 05/23/22 (b)

 

196,392

 

188,143

 
 

PG&E Corp

     
 

DIP Term Loan, 3.12%, (1M LIBOR + 2.25%), 12/31/20 (b)

 

100,000

 

96,833

 
 

284,976

 

Industrials 0.7%

 

Genesee & Wyoming Inc. (New)

     
 

Term Loan, 3.96%, (3M LIBOR + 2.00%), 10/29/26 (b)

 

76,000

 

72,438

 
 

Tempo Acquisition LLC

     
 

Term Loan, 3.74%, (1M LIBOR + 2.75%), 04/20/24 (b)

 

225,934

 

201,082

 
 

273,520

 

Consumer Staples 0.6%

 

BJ's Wholesale Club, Inc.

     
 

2017 1st Lien Term Loan, 3.05%, (1M LIBOR + 2.25%), 01/26/24 (b)

 

100,129

 

95,623

 
 

JBS USA Lux S.A.

     
 

2019 Term Loan B, 3.60%, (6M LIBOR + 2.00%), 04/27/26 (b)

 

145,896

 

135,787

 
 

231,410

 

Information Technology 0.4%

 

Radiate Holdco, LLC

     
 

1st Lien Term Loan, 4.60%, (1M LIBOR + 3.00%), 12/09/23 (b)

 

152,254

 

139,567

 

Financials 0.1%

 

BCP Renaissance Parent LLC

     
 

2017 Term Loan B, 5.44%, (3M LIBOR + 3.50%), 09/20/24 (b)

 

100,327

 

49,662

 
 

Total Senior Loan Interests (cost $7,573,692)

6,415,818

 

NON-U.S. GOVERNMENT AGENCY ASSET-BACKED SECURITIES 13.7%

 

American Airlines, Inc.

     
 

Series 2013-B-2, 5.60%, 07/15/20

 

43,548

 

43,222

 
 

AmeriCredit Automobile Receivables Trust

     
 

Series 2018-A3-1, 3.07%, 01/19/21 (d)

 

589,272

 

579,610

 
 

Ascentium Equipment Receivables Trust

     
 

Series 2017-A3-2A, 2.31%, 12/10/21

 

56,044

 

55,194

 
 

BX Commercial Mortgage Trust

     
 

Series 2018-A-IND, 1.46%, (1M USD LIBOR + 0.75%), 10/15/20 (b) (d)

 

424,093

 

400,767

 
 

Series 2020-A-BXLP, REMIC, 1.50%, (1M USD LIBOR + 0.80%), 12/15/21 (b) (d)

 

800,000

 

741,984

 
 

Capital One Prime Auto Receivables Trust

     
 

Series 2020-A2-1, 1.64%, 06/15/23

 

186,000

 

184,322

 
 

CCG Receivables Trust

     
 

Series 2018-A2-1, 2.50%, 02/14/21

 

28,122

 

28,069

 
 

CIG Auto Receivables Trust

     
 

Series 2017-A-1A, 2.71%, 05/15/23

 

6,746

 

6,587

 
 

Citibank Credit Card Issuance Trust

     
 

Series 2017-A4-A4, 1.23%, (1M USD LIBOR + 0.22%), 04/07/22 (b) (d)

 

500,000

 

499,634

 
 

COMM Mortgage Trust

     
 

Series 2014-A3-CR21, REMIC, 3.53%, 12/12/24

 

231,437

 

240,091

 
 

Dell Equipment Finance Trust

     
 

Series 2018-A2A-1, 2.97%, 10/22/20

 

2,361

 

2,361

 
 

DLL LLC

     
 

Series 2018-A3-ST2, 3.46%, 04/20/21

 

103,524

 

103,693

 
 

Series 2019-A2-MT3, 2.13%, 01/20/22

 

250,000

 

244,838

 
 

GLS Auto Receivables Trust

     
 

Series 2019-A-1A, 3.37%, 03/15/21

 

58,688

 

58,147

 
 

Series 2018-A-3A, 3.35%, 08/15/22

 

19,121

 

18,879

 
 

GreatAmerica Financial Services Corporation

     
 

Series 2019-A2-1, 2.97%, 09/15/20

 

90,533

 

88,536

 

Abbreviations and additional footnotes are defined on page 33

27


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

GS Mortgage Securities Corp Trust

     
 

Series 2017-B-SLP, REMIC, 3.77%, 10/12/22

 

175,000

 

173,214

 
 

HPEFS Equipment Trust

     
 

Series 2019-A2-1A, 2.19%, 09/20/29

 

100,000

 

97,999

 
 

John Deere Owner Trust

     
 

Series 2019-A2-B, 2.28%, 04/15/21 (d)

 

393,586

 

382,040

 
 

Prestige Auto Receivables Trust

     
 

Series 2019-A2-1A, 2.44%, 12/15/20 (d)

 

531,561

 

524,217

 
 

Verizon Owner Trust

     
 

Series 2018-A1A-1A, 2.82%, 03/22/21 (d)

 

500,000

 

493,953

 
 

Volvo Financial Equipment LLC

     
 

Series 2019-A2-1A, 2.90%, 10/15/20

 

75,347

 

73,726

 
 

Total Non-U.S. Government Agency Asset-Backed Securities (cost $5,181,509)

5,041,083

 

INVESTMENT COMPANIES 2.4%

 

Kayne Anderson MLP Investment Co.

 

2,582

 

9,373

 
 

SPDR Bloomberg Barclays High Yield Bond ETF (d)

 

9,300

 

881,081

 
 

Total Investment Companies (cost $1,040,179)

890,454

 

GOVERNMENT AND AGENCY OBLIGATIONS 0.2%

Municipal 0.2%

 

Dormitory Authority State of New York

     
 

3.19%, 02/15/43

 

80,000

 

79,166

 
 

Total Government And Agency Obligations (cost $80,000)

79,166

 

WARRANTS 0.1%

 

iHeartMedia, Inc. (g) (m)

 

2,328

 

15,316

 
 

Total Warrants (cost $42,970)

15,316

 

COMMON STOCKS 0.1%

Communication Services 0.1%

 

Clear Channel Outdoor Holdings, Inc. (g)

 

6,438

 

4,120

 
 

iHeartMedia, Inc. - Class A (g)

 

310

 

2,266

 
 

6,386

 

Energy 0.0%

 

Chaparral Energy, Inc. - Class A (g)

 

8,604

 

4,044

 
 

Total Common Stocks (cost $196,887)

10,430

 

SHORT TERM INVESTMENTS 0.0%

Investment Companies 0.0%

 

State Street Institutional U.S. Government Money Market Fund - Premier Class, 0.31% (n)

 

9,440

 

9,440

 
 

Total Short Term Investments (cost $9,440)

9,440

 

Total Investments 112.4% (cost $44,586,891)

 

41,366,104

 

Total Securities Sold Short (15.2)% (proceeds $5,162,158)

 

(5,610,870)

 

Other Derivative Instruments 0.2%

 

58,623

 

Other Assets and Liabilities, Net 2.6%

 

1,000,536

 

Total Net Assets 100.0%

 

36,814,393

 

(a) The Adviser has deemed this security, which is exempt from registration under the Securities Act of 1933, as amended, to be liquid based on procedures approved by the Board of Trustees. As of March 31, 2020, the value and the percentage of net assets of these liquid securities was $8,219,228 and 22.3% of the Fund.

(b) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of March 31, 2020. For securities based on a published reference rate and spread, the reference rate and spread are presented. Certain variable rate securities do not indicate a reference rate and spread because they are determined by the issuer, remarketing agent, or offering documents and are based on current market conditions. The coupon rate for securities with certain features outlined in the offering documents may vary from the stated reference rate and spread. This includes, but is not limited to, securities with deferred rates, contingent distributions, caps, floors, and fixed-rate to float-rate features. In addition, variable rates for government and agency collateralized mortgage obligations (“CMO”) and mortgage-backed securities (“MBS”) are determined by tranches of underlying mortgage-backed security pools’ cash flows into securities and pass-through rates which reflect the rate earned on the asset pool after management and guarantee fees are paid to the securitizing corporation. CMO and MBS variable rates are determined by a formula set forth in the security’s offering documents.

(c) Perpetual security. Next contractual call date presented, if applicable.

(d) All or a portion of the security is pledged or segregated as collateral.

(e) Security fair valued in good faith as a Level 3 security in accordance with the procedures approved by the Board of Trustees. Good faith fair valued securities are classified for Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820 "Fair Value Measurement" based on the applicable valuation inputs. See FASB ASC Topic 820 in the Schedules of Investments.

(f) Security is restricted to resale to institutional investors. See Restricted Securities table following the Schedules of Investments.

(g) Non-income producing security.

(h) As of March 31, 2020, issuer was in bankruptcy and/or was in default relating to principal and/or interest. Partial or no payments were paid on the last interest or dividend date.

(i) Convertible security.

(j) The interest rate for this security is inversely affected by upgrades or downgrades to the credit rating of the issuer.

(k) Pay-in-kind security. Stated coupon is the pay-in-kind rate. The interest earned by the security may be paid in cash or additional par.

(l) This senior loan will settle after March 31, 2020. If a reference rate and spread is presented, it will go into effect upon settlement.

(m) Security fair valued in good faith as a Level 2 security in accordance with the procedures approved by the Board of Trustees. Good faith fair valued securities are classified for Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820 "Fair Value Measurement" based on the applicable valuation inputs. See FASB ASC Topic 820 in the Schedules of Investments.

(n) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

        
  

Shares/Par1

 

Value ($)

 

SECURITIES SOLD SHORT (15.2%)

CORPORATE BONDS AND NOTES (13.5%)

Financials (5.4%)

 

Bank of America Corporation

     
 

3.95%, 01/23/49

 

(1,250,000)

 

(1,408,359)

 
 

Tanger Properties Limited Partnership

     
 

3.13%, 09/01/26

 

(600,000)

 

(583,656)

 
 

(1,992,015)

 

Communication Services (3.9%)

 

Verizon Communications Inc.

     
 

4.52%, 09/15/48

 

(1,123,000)

 

(1,444,080)

 

Materials (1.4%)

 

International Paper Company

     
 

3.00%, 02/15/27

 

(500,000)

 

(518,482)

 

Consumer Discretionary (1.1%)

 

Harley-Davidson, Inc.

     
 

3.50%, 07/28/25

 

(400,000)

 

(379,387)

 

Information Technology (0.9%)

 

Intel Corporation

     
 

4.10%, 05/11/47

 

(275,000)

 

(339,229)

 

Energy (0.8%)

 

Southwestern Energy Company

     
 

6.20%, 01/23/25 (a)

 

(432,000)

 

(294,927)

 
 

Total Corporate Bonds And Notes (proceeds $4,506,208)

(4,968,120)

 

GOVERNMENT AND AGENCY OBLIGATIONS (1.7%)

Sovereign (1.7%)

 

El Gobierno De La Republica Oriental Del Uruguay

     
 

4.38%, 10/27/27

 

(600,000)

 

(642,750)

 
 

Total Government And Agency Obligations (proceeds $655,950)

(642,750)

 
 

Total Securities Sold Short (15.2%) (proceeds $5,162,158)

 

(5,610,870)

 

(a) Security is a step-up bond where the coupon may increase or step up at a future date or as the result of an upgrade or downgrade to the credit rating of the issuer. Rate stated was the coupon as of March 31, 2020.

Abbreviations and additional footnotes are defined on page 33

28


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

                 

PPM Long Short Credit Fund — Restricted Securities

  

Initial Acquisition

 

Cost ($)

 

Value ($)

 

Percent of

Net Assets (%)

 
 

Nordic Aviation Capital DAC, 5.58%, 03/14/24

02/27/19

 

135,000

 

109,867

 

0.3

 
             
                

PPM Long Short Credit Fund — Futures Contracts

Reference Entity

 

Contracts1

 

Expiration

 

Notional1

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

Short Contracts

United States 10 Year Note

 

(17)

 

June 2020

  

(2,289,033)

 

2,732

  

(68,654)

 

United States 10 Year Ultra Bond

 

(35)

 

June 2020

  

(5,222,836)

 

11,484

  

(238,258)

 

United States 2 Year Note

 

(5)

 

July 2020

  

(1,086,572)

 

156

  

(15,342)

 

United States 5 Year Note

 

(39)

 

July 2020

  

(4,744,326)

 

1,828

  

(144,690)

 

United States Long Bond

 

(12)

 

June 2020

  

(2,028,041)

 

19,875

  

(120,709)

 

United States Ultra Bond

 

(4)

 

June 2020

  

(808,120)

 

13,000

  

(79,380)

 
         

49,075

  

(667,033)

 
                   

PPM Long Short Credit Fund — Centrally Cleared Credit Default Swap Agreements

Reference Entity2

 

Fixed

Receive/

Pay Rate

(%)

 

Expiration

 

Notional1

 

Value ($)

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

Credit default swap agreements - purchase protection

CDX.NA.IG.34 (Q)

 

1.00

  

06/20/25

  

3,380,000

  

22,960

  

9,548

  

(44,284)

 
                   

Abbreviations and additional footnotes are defined on page 33

29


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 

PPM Large Cap Value Fund

COMMON STOCKS 99.1%

Health Care 18.3%

 

AbbVie Inc.

 

2,000

 

152,380

 
 

Cigna Holding Company

 

950

 

168,321

 
 

CVS Health Corporation

 

2,300

 

136,459

 
 

Johnson & Johnson

 

1,100

 

144,243

 
 

McKesson Corporation

 

1,100

 

148,786

 
 

Merck & Co., Inc.

 

1,600

 

123,104

 
 

Pfizer Inc.

 

4,100

 

133,824

 
 

1,007,117

 

Information Technology 17.4%

 

ADS Alliance Data Systems, Inc.

 

1,000

 

33,650

 
 

Apple Inc.

 

600

 

152,574

 
 

Avnet, Inc.

 

2,000

 

50,200

 
 

Cisco Systems, Inc.

 

2,800

 

110,068

 
 

Cognizant Technology Solutions Corp. - Class A

 

1,300

 

60,411

 
 

Intel Corporation

 

1,400

 

75,768

 
 

Leidos Holdings Inc.

 

1,800

 

164,970

 
 

Microsoft Corporation

 

800

 

126,168

 
 

Nuance Communications, Inc. (a)

 

4,800

 

80,544

 
 

Qualcomm Incorporated

 

1,500

 

101,475

 
 

955,828

 

Financials 16.9%

 

Bank of America Corporation

 

3,100

 

65,813

 
 

Citigroup Inc.

 

2,500

 

105,300

 
 

Huntington Bancshares Incorporated

 

9,900

 

81,279

 
 

JPMorgan Chase & Co.

 

1,600

 

144,048

 
 

Morgan Stanley

 

3,800

 

129,200

 
 

Synovus Financial Corp.

 

4,600

 

80,776

 
 

The Allstate Corporation

 

1,600

 

146,768

 
 

The Hartford Financial Services Group, Inc.

 

3,200

 

112,768

 
 

The PNC Financial Services Group, Inc.

 

700

 

67,004

 
 

932,956

 

Consumer Staples 9.2%

 

Altria Group, Inc.

 

3,800

 

146,946

 
 

Archer-Daniels-Midland Company

 

3,700

 

130,166

 
 

Campbell Soup Company

 

2,100

 

96,936

 
 

The Kroger Co.

 

4,500

 

135,540

 
 

509,588

 

Industrials 7.9%

 

Caterpillar Inc.

 

1,100

 

127,644

 
 

Delta Air Lines Inc.

 

4,350

 

124,105

 
 

Robert Half International Inc.

 

2,050

 

77,387

 
 

Spirit Aerosystems Holdings Inc. - Class A

 

1,600

 

38,288

 
 

Textron Inc.

 

2,500

 

66,675

 
 

434,099

 

Utilities 7.8%

 

Exelon Corporation

 

3,900

 

143,559

 
 

The AES Corporation

 

10,400

 

141,440

 
 

Vistra Energy Corp.

 

9,000

 

143,640

 
 

428,639

 

Communication Services 6.6%

 

AT&T Inc.

 

4,700

 

137,005

 
 

Comcast Corporation - Class A

 

4,400

 

151,272

 
 

ViacomCBS Inc. - Class B

 

5,300

 

74,253

 
 

362,530

 

Consumer Discretionary 6.5%

 

Best Buy Co., Inc.

 

1,000

 

57,000

 
 

Foot Locker, Inc.

 

3,000

 

66,150

 
 

General Motors Company

 

5,200

 

108,056

 
 

Newell Brands Inc.

 

6,000

 

79,680

 
 

Royal Caribbean Cruises Ltd.

 

1,450

 

46,647

 
 

357,533

 

Energy 4.2%

 

Chevron Corporation

 

1,600

 

115,936

 
 

Exxon Mobil Corporation

 

2,100

 

79,737

 
 

Halliburton Company

 

5,500

 

37,675

 
 

233,348

 

Materials 3.3%

 

Berry Global Group, Inc. (a)

 

3,100

 

104,501

 
 

Nucor Corporation

 

2,100

 

75,642

 
 

180,143

 

Real Estate 1.0%

 

Simon Property Group, Inc.

 

1,000

 

54,860

 
 

Total Common Stocks (cost $7,404,728)

5,456,641

 

SHORT TERM INVESTMENTS 0.7%

Investment Companies 0.7%

 

State Street Institutional U.S. Government Money Market Fund - Premier Class, 0.31% (b)

 

39,921

 

39,921

 
 

Total Short Term Investments (cost $39,921)

39,921

 

Total Investments 99.8% (cost $7,444,649)

 

5,496,562

 

Other Assets and Liabilities, Net 0.2%

 

9,372

 

Total Net Assets 100.0%

 

5,505,934

 

(a) Non-income producing security.

(b) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

Abbreviations and additional footnotes are defined on page 33

30


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 

PPM Mid Cap Value Fund

COMMON STOCKS 99.3%

Financials 19.8%

 

American Financial Group, Inc.

 

1,300

 

91,104

 
 

Home BancShares, Inc.

 

4,600

 

55,154

 
 

Huntington Bancshares Incorporated

 

6,800

 

55,828

 
 

Janus Henderson Group PLC

 

6,000

 

91,920

 
 

Reinsurance Group of America, Incorporated

 

900

 

75,726

 
 

Sterling Bancorp

 

2,700

 

28,215

 
 

Synovus Financial Corp.

 

3,900

 

68,484

 
 

TCF Financial Corporation

 

3,200

 

72,512

 
 

The Allstate Corporation

 

1,200

 

110,076

 
 

The Hartford Financial Services Group, Inc.

 

2,400

 

84,576

 
 

733,595

 

Information Technology 15.5%

 

Avnet, Inc.

 

1,800

 

45,180

 
 

Belden Inc.

 

1,600

 

57,728

 
 

CACI International Inc. - Class A (a)

 

300

 

63,345

 
 

Cognizant Technology Solutions Corp. - Class A

 

900

 

41,823

 
 

Leidos Holdings Inc.

 

1,000

 

91,650

 
 

Nuance Communications, Inc. (a)

 

4,200

 

70,476

 
 

Semtech Corp. (a)

 

2,000

 

75,000

 
 

Teradata Corporation (a)

 

1,800

 

36,882

 
 

Teradyne Inc.

 

1,000

 

54,170

 
 

Western Digital Corporation

 

900

 

37,458

 
 

573,712

 

Industrials 11.4%

 

Delta Air Lines Inc.

 

2,450

 

69,898

 
 

Kennametal Inc.

 

4,000

 

74,480

 
 

MasTec Inc. (a)

 

2,400

 

78,552

 
 

Robert Half International Inc.

 

1,200

 

45,300

 
 

Spirit Aerosystems Holdings Inc. - Class A

 

1,200

 

28,716

 
 

Terex Corp.

 

3,450

 

49,542

 
 

Textron Inc.

 

2,800

 

74,676

 
 

421,164

 

Utilities 10.9%

 

Exelon Corporation

 

2,100

 

77,301

 
 

PNM Resources, Inc.

 

2,500

 

95,000

 
 

Sempra Energy

 

400

 

45,196

 
 

The AES Corporation

 

7,500

 

102,000

 
 

Vistra Energy Corp.

 

5,400

 

86,184

 
 

405,681

 

Consumer Discretionary 9.7%

 

Best Buy Co., Inc.

 

1,000

 

57,000

 
 

Foot Locker, Inc.

 

2,000

 

44,100

 
 

Helen of Troy Ltd (a)

 

700

 

100,821

 
 

Newell Brands Inc.

 

5,500

 

73,040

 
 

Penske Automotive Group, Inc.

 

1,700

 

47,600

 
 

Royal Caribbean Cruises Ltd.

 

1,200

 

38,604

 
 

361,165

 

Health Care 8.4%

 

Cigna Holding Company

 

600

 

106,308

 
 

Magellan Health Services Inc. (a)

 

1,400

 

67,354

 
 

McKesson Corporation

 

800

 

108,208

 
 

Mednax, Inc. (a)

 

2,400

 

27,936

 
 

309,806

 

Consumer Staples 8.1%

 

Campbell Soup Company

 

2,100

 

96,936

 
 

Ingredion Inc.

 

1,500

 

113,250

 
 

The Kroger Co.

 

3,000

 

90,360

 
 

300,546

 

Materials 7.8%

 

Berry Global Group, Inc. (a)

 

1,800

 

60,678

 
 

Huntsman Corp.

 

4,700

 

67,821

 
 

Reliance Steel & Aluminum Co.

 

1,100

 

96,349

 
 

Steel Dynamics Inc.

 

2,800

 

63,112

 
 

287,960

 

Real Estate 4.2%

 

Physicians Realty Trust

 

5,600

 

78,064

 
 

Regency Centers Corp.

 

2,000

 

76,860

 
 

154,924

 

Communication Services 1.9%

 

Meredith Corporation (b)

 

1,600

 

19,552

 
 

ViacomCBS Inc. - Class B

 

3,577

 

50,114

 
 

69,666

 

Energy 1.6%

 

National Oilwell Varco, Inc.

 

2,700

 

26,541

 
 

PBF Energy Inc. - Class A

 

4,500

 

31,860

 
 

58,401

 
 

Total Common Stocks (cost $5,473,467)

3,676,620

 

SHORT TERM INVESTMENTS 0.6%

Investment Companies 0.6%

 

State Street Institutional U.S. Government Money Market Fund - Premier Class, 0.31% (c)

 

19,962

 

19,962

 
 

Total Short Term Investments (cost $19,962)

19,962

 

Total Investments 99.9% (cost $5,493,429)

 

3,696,582

 

Other Assets and Liabilities, Net 0.1%

 

4,612

 

Total Net Assets 100.0%

 

3,701,194

 

(a) Non-income producing security.

(b) All or a portion of the security was on loan as of March 31, 2020.

(c) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

Abbreviations and additional footnotes are defined on page 33

31


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 

PPM Small Cap Value Fund

COMMON STOCKS 99.2%

Financials 26.9%

 

Ameris Bancorp

 

5,000

 

118,800

 
 

Axos Financial, Inc. (a)

 

9,500

 

172,235

 
 

Banc of California, Inc.

 

11,300

 

90,400

 
 

Hancock Whitney Co.

 

4,200

 

81,984

 
 

Home BancShares, Inc.

 

13,500

 

161,865

 
 

Houlihan Lokey Inc. - Class A

 

3,500

 

182,420

 
 

Independent Bank Corp.

 

2,800

 

180,236

 
 

Janus Henderson Group PLC

 

9,000

 

137,880

 
 

National General Holdings Corp.

 

7,500

 

124,125

 
 

Renasant Corporation

 

8,000

 

174,720

 
 

Sterling Bancorp

 

11,000

 

114,950

 
 

TCF Financial Corporation

 

6,300

 

142,758

 
 

Western Alliance Bancorp

 

3,100

 

94,891

 
 

1,777,264

 

Information Technology 17.5%

 

Avaya Holdings Corp. (a) (b)

 

12,700

 

102,743

 
 

Belden Inc.

 

2,500

 

90,200

 
 

Benchmark Electronics, Inc.

 

5,200

 

103,948

 
 

CACI International Inc. - Class A (a)

 

800

 

168,920

 
 

CSG Systems International, Inc.

 

2,100

 

87,885

 
 

KBR, Inc.

 

5,500

 

113,740

 
 

Photronics Inc. (a)

 

8,000

 

82,080

 
 

Semtech Corp. (a)

 

4,500

 

168,750

 
 

SYNNEX Corporation

 

900

 

65,790

 
 

Teradata Corporation (a)

 

4,000

 

81,960

 
 

Verint Systems Inc. (a)

 

2,000

 

86,000

 
 

1,152,016

 

Industrials 15.5%

 

Aerojet Rocketdyne Holdings, Inc. (a)

 

3,300

 

138,039

 
 

Apogee Enterprises, Inc.

 

6,500

 

135,330

 
 

GATX Corporation

 

3,200

 

200,192

 
 

Kennametal Inc.

 

8,300

 

154,546

 
 

MasTec Inc. (a)

 

2,200

 

72,006

 
 

SkyWest Inc.

 

4,300

 

112,617

 
 

Steelcase Inc. - Class A

 

7,000

 

69,090

 
 

Terex Corp.

 

10,000

 

143,600

 
 

1,025,420

 

Health Care 9.0%

 

Integer Holdings Corporation (a)

 

2,800

 

176,008

 
 

Magellan Health Services Inc. (a)

 

3,700

 

178,007

 
 

Mednax, Inc. (a)

 

6,000

 

69,840

 
 

Premier Healthcare Solutions, Inc. - Class A (a)

 

5,300

 

173,416

 
 

597,271

 

Consumer Discretionary 8.6%

 

American Axle & Manufacturing Holdings, Inc. (a)

 

19,500

 

70,395

 
 

Helen of Troy Ltd (a)

 

1,500

 

216,045

 
 

Penske Automotive Group, Inc.

 

5,200

 

145,600

 
 

Skechers U.S.A. Inc. - Class A (a)

 

5,700

 

135,318

 
 

567,358

 

Real Estate 6.9%

 

Brandywine Realty Trust

 

10,400

 

109,408

 
 

DiamondRock Hospitality Co.

 

18,800

 

95,504

 
 

Kite Realty Naperville, LLC

 

11,800

 

111,746

 
 

Physicians Realty Trust

 

10,000

 

139,400

 
 

456,058

 

Materials 4.8%

 

Allegheny Technologies Incorporated (a)

 

10,500

 

89,250

 
 

Olin Corporation

 

9,700

 

113,199

 
 

Reliance Steel & Aluminum Co.

 

1,300

 

113,867

 
 

316,316

 

Consumer Staples 4.4%

 

Ingredion Inc.

 

1,200

 

90,600

 
 

Primo Water Corporation

 

16,000

 

144,960

 
 

Sanderson Farms Inc.

 

450

 

55,494

 
 

291,054

 

Utilities 3.2%

 

PNM Resources, Inc.

 

5,500

 

209,000

 

Energy 1.4%

 

Helix Energy Solutions Group, Inc. (a)

 

25,000

 

41,000

 
 

PBF Energy Inc. - Class A

 

6,800

 

48,144

 
 

89,144

 

Communication Services 1.0%

 

Meredith Corporation

 

5,500

 

67,210

 
 

Total Common Stocks (cost $10,242,483)

6,548,111

 

SHORT TERM INVESTMENTS 2.5%

Securities Lending Collateral 1.7%

 

State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (c)

 

114,300

 

114,300

 

Investment Companies 0.8%

 

State Street Institutional U.S. Government Money Market Fund - Premier Class, 0.31% (c)

 

51,735

 

51,735

 
 

Total Short Term Investments (cost $166,035)

166,035

 

Total Investments 101.7% (cost $10,408,518)

 

6,714,146

 

Other Assets and Liabilities, Net (1.7)%

 

(113,102)

 

Total Net Assets 100.0%

 

6,601,044

 

(a) Non-income producing security.

(b) All or a portion of the security was on loan as of March 31, 2020.

(c) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

Abbreviations and additional footnotes are defined on page 33

32


PPMFunds

Schedules of Investments

March 31, 2020

Currency Abbreviations:

 

USD - United States Dollar

CAD - Canadian Dollar

 

Abbreviations:

  

CDX.NA.IG - Credit Derivatives Index - North American - Investment Grade

 

DIP - Debtor-in-Possession

 

ETF - Exchange Traded Fund

 

PRIME - Wall Street Journal Prime Rate

 

REMIC - Real Estate Mortgage Investment Conduit

 

SPDR - Standard & Poor Depositary Receipt

 

U.S. or US - United States

 
  

1Par and notional amounts are listed in USD unless otherwise noted. Futures are quoted in contracts.

2For Funds with derivatives that received or paid periodic payments, the frequency of periodic payments are defined as follows: (A) - Annually; (E) - Expiration Date; (M) - Monthly; (Q) - Quarterly; (S) - Semi-Annually.

33


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

Securities Lending and Securities Lending Collateral. All Funds are approved to participate in agency based securities lending with State Street Bank and Trust Company (“State Street” or “Custodian”). Per the securities lending agreements, State Street is authorized to loan securities on behalf of the Funds to approved borrowers and is required to maintain collateral. Each Fund receives either cash or non-cash collateral against the loaned securities in an amount equal to at least 100% of the market value of the loaned securities. Generally, cash and non-cash collateral received for the following types of securities on loan are as follows: US equities – 102%; US corporate fixed income – 102%; US government fixed income – 102%; international equities – 105%; international corporate fixed income – 105%; sovereign fixed income – 102%; and asset backed investments – 102%. Collateral requirements are evaluated at the close of each business day; any additional collateral required is typically delivered to the Fund on the next business day. The duration of each loan is determined by the agent and borrower and generally may be terminated at any time. Certain loans may be negotiated to mature on a specified date. State Street has agreed to indemnify the Funds in the event of default by a third party borrower. A Fund may experience a delay in the recovery of its securities or incur a loss if the borrower breaches its agreement with the Fund or becomes insolvent. For cash collateral, the Fund receives income from the investment of cash collateral, in addition to lending fees and rebates negotiated with the borrower. The Funds bear the market risk with respect to the collateral investment and securities loaned. The Funds also bear the risk that State Street may default on its obligations to the Funds. Non-cash collateral may include US government securities; US government agencies’ debt securities; and US government-sponsored agencies’ debt securities and mortgage-backed securities. For non-cash collateral, the Funds receive lending fees negotiated with the borrower. State Street has agreed to indemnify the Funds with respect to the market risk related to the non-cash collateral investments.

The cash collateral is invested in the State Street Navigator Securities Lending Government Money Market Portfolio, a money market fund and a series of State Street Navigator Securities Lending Trust, which is an open-end management company registered under the Investment Company Act of 1940, as amended (“the1940 Act”). The Funds also bear the risk of any deficiency in the amount of collateral available for return to a borrower due to a decline in value of the State Street Navigator Securities Lending Government Money Market Portfolio.

Security Valuation. Under the Trust’s valuation policy and procedures, the Board of Trustees (“Board” or “Trustees”) has delegated the daily operational oversight of the securities valuation function to the Jackson National Asset Management LLC ("JNAM" or "Administrator") Valuation Committee (“Valuation Committee”), which consists of certain officers of the Trust and certain members of JNAM management. The Valuation Committee is responsible for determining fair valuations for any security for which market quotations are not readily available or are determined to be not reflective of market value. For those securities fair valued under procedures adopted by the Board, the Valuation Committee reviews and affirms the reasonableness of the fair valuation determinations after considering all relevant information that is reasonably available. The Valuation Committee’s fair valuation determinations are subject to review by the Board at its next regularly scheduled meeting covering the calendar quarter in which the fair valuation was determined. For fair valuation determinations that are deemed material, the Board is promptly notified of the fair valuation.

The net asset value ("NAV") of a Fund's shares is generally determined once each day on which the New York Stock Exchange (“NYSE”) is open, at the close of the regular trading session of the NYSE (normally, 4:00 PM Eastern Time, Monday through Friday). Equity securities are generally valued at the official closing price of the exchange where the security is principally traded. If there is no official closing price for the security on the valuation date, the security may be valued at the most recent sale or quoted bid price prior to close. Stocks not listed on a national or foreign stock exchange may be valued at the closing bid price on the over the counter (“OTC”) market. Investments in mutual funds are valued at the NAV per share determined as of the close of the NYSE on each valuation date. Short-term securities maturing within sixty (60) days are valued at amortized cost, unless it is determined that such practice does not approximate market value. Debt securities are generally valued by independent pricing services approved by the Board. Pricing services utilized to value debt and derivative instruments may use various pricing techniques which take into account appropriate factors such as: yield; credit quality; coupon rate; maturity; type of issue; trading characteristics; call features; credit ratings; broker quotes; and other relevant data. Term loans are generally valued at the composite bid prices provided by approved pricing services. Futures contracts traded on an exchange are generally valued at the exchange’s settlement price. If the settlement price is not available, exchange traded futures are valued at the last sales price as of the close of business on the primary exchange. If the last trade is determined to not be representative of fair value, exchange traded options are valued at the current day’s mid-price. Centrally cleared swap agreements, listed on a multilateral or trade facility platform, such as a registered exchange, are valued by the respective exchange. The exchange determines a daily settlement price via pricing models which use, as appropriate, its members’ actionable levels across complete term structures along with information obtained from external third party price providers.

Market quotations may not be readily available for certain investments or it may be determined that a quotation of an investment does not represent fair value. In such instances, the investment is valued as determined in good faith using procedures approved by the Board. Situations that may require an investment to be fair valued may include instances where a security is thinly traded, halted or restricted as to resale. In addition, investments may be fair valued based on the occurrence of a significant event. Significant events may be specific to a particular issuer, such as mergers, restructurings or defaults. Alternatively, significant events may affect an entire market, such as natural disasters, government actions, and significant changes in the value of US securities markets. Securities are fair valued based on observable and unobservable inputs, including the Administrator's or Valuation Committee’s own assumptions in determining the fair value of an investment. Under the procedures approved by the Board, the Administrator may utilize pricing services or other sources in determining the fair value of an investment. Factors considered to determine fair value may include fundamental analytical data relating to the security; the nature and duration of restrictions, if any, on the disposition of the security; trading volume on markets, exchanges, or among dealers; evaluation of the forces which influence the market in which the security is traded; the type of security; the financial statements of the issuer, or other financial information about the issuer; the cost of the security at its date of purchase; the size of the Fund’s holding; the discount from market value of unrestricted securities of the same class, if applicable, at the time of purchase or at a later date; reports prepared by analysts; information as to any transactions in or offers for the security; the existence of any merger proposal, tender offer or other extraordinary event relating to the security; the price and extent of public or dealer trading in similar securities or derivatives of the issuer or of comparable companies; trading in depositary receipts; foreign currency exchange activity; changes in the interest rate environment; trading prices of financial products that are tied to baskets of foreign securities; and any other matters considered relevant.

34


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

If an investment is valued at a fair value for purposes of calculating a Fund’s NAV, the value may be different from the last quoted price for the investment depending on the source and method used to determine the value. Although there can be no assurance, in general, the fair value of the investment is the amount the owner of such investment might reasonably expect to receive in an orderly transaction between market participants upon its current sale.

Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820, "Fair Value Measurement". This standard establishes a single authoritative definition of fair value, sets out a framework for measuring fair value and requires additional disclosures about fair value measurements. Various inputs are used in determining the value of a Fund’s investments under FASB ASC Topic 820 guidance. The inputs are summarized into three broad categories:

Level 1 includes valuations based on quoted prices of identical securities in active markets, including valuations for securities listed on a national or foreign stock exchange or investments in mutual funds.

Level 2 includes valuations determined from significant direct or indirect observable inputs. Direct observable inputs include broker quotes, third party prices, closing prices of similar securities in active markets, closing prices for identical or similar securities in non-active markets or corporate action or reorganization entitlement values. Indirect significant observable inputs include factors such as interest rates, yield curves, prepayment speeds or credit ratings. Level 2 includes valuations for fixed income securities, including certain term loans, OTC derivatives, centrally cleared swap agreements, broker quotes in active markets, securities subject to corporate actions, securities valued at amortized cost, swap agreements valued by pricing services, ADRs and GDRs for which quoted prices in active markets are not available or securities limited by foreign ownership.

Level 3 includes valuations determined from significant unobservable inputs including the Administrator's own assumptions in determining the fair value of the investment. Inputs used to determine the fair value of Level 3 securities include security specific inputs such as: credit quality, credit rating spreads, issuer news, trading characteristics, call features, maturity or anticipated cash flows; or industry specific inputs such as: trading activity of similar markets or securities, changes in the security’s underlying index or changes in comparable securities’ models. Level 3 valuations include securities; term loans that do not meet certain liquidity thresholds; securities where prices may be unavailable due to halted trading, restricted to resale due to market events, or newly issued; private placements; or investments for which reliable quotes are otherwise not available.

To assess the continuing appropriateness of security valuation, the Administrator regularly compares current day prices with prior day prices, transaction prices and alternative vendor prices. When the comparison results exceed pre-defined thresholds, the Administrator challenges the prices exceeding tolerance levels with the pricing service or broker. To verify Level 3 unobservable inputs, the Administrator uses a variety of techniques as appropriate to substantiate these valuation approaches including a regular review of key inputs and assumptions, transaction back-testing or disposition analysis and review of related market activity. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

The following table summarizes each Fund’s investments in securities and other financial instruments as of March 31, 2020, by valuation level.

         
 

. Level 1 ($) .

 

. Level 2 ($) .

 

. Level 3 ($) .

 

. Total ($) .

 

PPM Core Plus Fixed Income Fund

Assets - Securities

        

Corporate Bonds And Notes

 

23,294,296

 

109,867

 

23,404,163

 

Government And Agency Obligations

 

20,295,338

 

 

20,295,338

 

Non-U.S. Government Agency Asset-Backed Securities

 

5,926,514

 

 

5,926,514

 

Senior Loan Interests

 

843,826

 

 

843,826

 

Short Term Investments

3,365,677

 

 

 

3,365,677

 
 

3,365,677

 

50,359,974

 

109,867

 

53,835,518

 

Assets - Investments in Other Financial Instruments1

        

Futures Contracts

304,359

 

 

 

304,359

 
 

304,359

 

 

 

304,359

 

Liabilities - Investments in Other Financial Instruments1

        

Futures Contracts

(151,519

)

 

 

(151,519

)

Centrally Cleared Credit Default Swap Agreements

 

(6,551

)

 

(6,551

)

 

(151,519

)

(6,551

)

 

(158,070

)

PPM Floating Rate Income Fund

Assets - Securities

        

Senior Loan Interests

 

41,480,134

 

1,360,540

 

42,840,674

 

Corporate Bonds And Notes

 

1,266,559

 

 

1,266,559

 

Warrants

 

4,625

 

 

4,625

 

Common Stocks

1,887

 

 

 

1,887

 

Short Term Investments

1,834,726

 

 

 

1,834,726

 
 

1,836,613

 

42,751,318

 

1,360,540

 

45,948,471

 

Liabilities - Investments in Other Financial Instruments1

        

Futures Contracts

(16,881

)

 

 

(16,881

)

 

(16,881

)

 

 

(16,881

)

35


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2020

         
 

. Level 1 ($) .

 

. Level 2 ($) .

 

. Level 3 ($) .

 

. Total ($) .

 

PPM High Yield Core Fund

Assets - Securities

        

Corporate Bonds And Notes

 

43,166,572

 

177,715

 

43,344,287

 

Senior Loan Interests

 

1,875,336

 

 

1,875,336

 

Investment Companies

975,922

 

 

 

975,922

 

Common Stocks

36,845

 

 

 

36,845

 

Warrants

 

19,059

 

 

19,059

 

Short Term Investments

6,632,317

 

 

 

6,632,317

 
 

7,645,084

 

45,060,967

 

177,715

 

52,883,766

 

Liabilities - Investments in Other Financial Instruments1

        

Futures Contracts

(38,929

)

 

 

(38,929

)

 

(38,929

)

 

 

(38,929

)

PPM Long Short Credit Fund

Assets - Securities

        

Corporate Bonds And Notes

 

28,794,530

 

109,867

 

28,904,397

 

Senior Loan Interests

 

6,415,818

 

 

6,415,818

 

Non-U.S. Government Agency Asset-Backed Securities

 

5,041,083

 

 

5,041,083

 

Investment Companies

890,454

 

 

 

890,454

 

Government And Agency Obligations

 

79,166

 

 

79,166

 

Warrants

 

15,316

 

 

15,316

 

Common Stocks

10,430

 

 

 

10,430

 

Short Term Investments

9,440

 

 

 

9,440

 
 

910,324

 

40,345,913

 

109,867

 

41,366,104

 

Liabilities - Securities

Corporate Bonds And Notes

 

(4,968,120

)

 

(4,968,120

)

Government And Agency Obligations

 

(642,750

)

 

(642,750

)

 

 

(5,610,870

)

 

(5,610,870

)

Liabilities - Investments in Other Financial Instruments1

        

Futures Contracts

(667,033

)

 

 

(667,033

)

Centrally Cleared Credit Default Swap Agreements

 

(44,284

)

 

(44,284

)

 

(667,033

)

(44,284

)

 

(711,317

)

PPM Large Cap Value Fund

Assets - Securities

        

Common Stocks

5,456,641

 

 

 

5,456,641

 

Short Term Investments

39,921

 

 

 

39,921

 
 

5,496,562

 

 

 

5,496,562

 

PPM Mid Cap Value Fund

Assets - Securities

        

Common Stocks

3,676,620

 

 

 

3,676,620

 

Short Term Investments

19,962

 

 

 

19,962

 
 

3,696,582

 

 

 

3,696,582

 

PPM Small Cap Value Fund

Assets - Securities

        

Common Stocks

6,548,111

 

 

 

6,548,111

 

Short Term Investments

166,035

 

 

 

166,035

 
 

6,714,146

 

 

 

6,714,146

 

1 Derivatives are reflected at the unrealized appreciation (depreciation) on the instrument.

Significant changes in unobservable valuation inputs to a different amount might result in a significantly higher or lower fair value measurement than the one used in a security’s valuation. The Funds recognize transfers between levels as of the beginning of the year for financial reporting purposes. There were no significant transfers into or out of Level 3 for the period. There were no significant Level 3 valuations for which unobservable valuation inputs were developed at March 31, 2020.

For additional information on the Funds’ policies regarding valuation of investments and other significant accounting matters, please refer to the Funds’ most recent annual or semi-annual report.

36