0001145549-22-031045.txt : 20220525 0001145549-22-031045.hdr.sgml : 20220525 20220525143804 ACCESSION NUMBER: 0001145549-22-031045 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220331 FILED AS OF DATE: 20220525 PERIOD START: 20221231 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: 22962046 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 S000061235 PPM Core Plus Fixed Income Fund C000198333 PPM Core Plus Fixed Income Fund (Inst) NPORT-P 1 primary_doc.xml NPORT-P false 0001722478 XXXXXXXX S000061235 C000198333 PPM Funds 811-23308 0001722478 549300UPJLTA0X102E93 225 W. 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0.2598938725 Long DBT UST US N 2 2030-11-15 Fixed 0.88 N N N N N N Treasury, United States Department of 254900HROIFWPRGM1V77 Treasury, United States Department of 91282CBC4 655000 PA USD 604749.19 1.0819346246 Long DBT UST US N 2 2025-12-31 Fixed 0.38 N N N N N N Treasury, United States Department of 254900HROIFWPRGM1V77 Treasury, United States Department of 91282CBH3 845000 PA USD 778588.24 1.3929437014 Long DBT UST US N 2 2026-01-31 Fixed 0.38 N N N N N N Treasury, United States Department of 254900HROIFWPRGM1V77 Treasury, United States Department of 91282CBR1 90000 PA USD 86456.25 0.1546757101 Long DBT UST US N 2 2024-03-15 Fixed 0.25 N N N N N N Treasury, United States Department of 254900HROIFWPRGM1V77 Treasury, United States Department of 91282CBZ3 290000 PA USD 270153.13 0.4833210695 Long DBT UST US N 2 2028-04-30 Fixed 1.25 N N N N N N Treasury, United States Department of 254900HROIFWPRGM1V77 Treasury, United States Department of 91282CCH2 905000 PA USD 841932.81 1.5062711513 Long DBT UST US N 2 2028-06-30 Fixed 1.25 N N N N N N Treasury, United States Department of 254900HROIFWPRGM1V77 Treasury, United States Department of 91282CCZ2 200000 PA USD 186187.5 0.3331012364 Long DBT UST US N 2 2026-09-30 Fixed 0.88 N N N N N N Treasury, United States Department of 254900HROIFWPRGM1V77 Treasury, United States Department of 91282CDJ7 429000 PA USD 393674.51 0.7043086460 Long DBT UST US N 2 2031-11-15 Fixed 1.38 N N N N N N Treasury, United States Department of 254900HROIFWPRGM1V77 Treasury, United States Department of 91282CDK4 50000 PA USD 47296.88 0.0846171156 Long DBT UST US N 2 2026-11-30 Fixed 1.25 N N N N N N Treasury, United States Department of 254900HROIFWPRGM1V77 Treasury, United States Department of 91282CDY4 85000 PA USD 81613.28 0.1460113298 Long DBT UST US N 2 2032-02-15 Fixed 1.88 N N N N N N Treasury, United States Department of 254900HROIFWPRGM1V77 Treasury, United States Department of 91282CDZ1 85000 PA USD 82635.94 0.1478409334 Long DBT UST US N 2 2025-02-15 Fixed 1.5 N N N N N N AT&T Inc. 549300Z40J86GGSTL398 AT&T Inc. 00206RBH4 155000 PA USD 156562.62 0.2801004487 Long DBT CORP US N 2 2042-12-15 Fixed 4.3 N N N N N N AT&T Inc. 549300Z40J86GGSTL398 AT&T Inc. 00206RDR0 116000 PA USD 131703.71 0.2356262834 Long DBT CORP US N 2 2037-03-01 Fixed 5.25 N N N N N N AT&T Inc. 549300Z40J86GGSTL398 AT&T Inc. 00206RFW7 16000 PA USD 17401.06 0.0311315991 Long DBT CORP US N 2 2037-08-15 Fixed 4.9 N N N N N AT&T Inc. 549300Z40J86GGSTL398 AT&T Inc. 00206RKD3 131000 PA USD 113428.52 0.2029308104 Long DBT CORP US N 2 2043-02-01 Fixed 3.1 N N N N N N BMW US Capital, LLC KK5MZM9DIXLXZL9DZL15 BMW US Capital, LLC 05565ECB9 97000 PA USD 98032.54 0.1753864265 Long DBT CORP US Y 2 2032-04-01 Fixed 3.7 N N N N N N CCO Holdings, LLC N/A CCO Holdings, LLC 1248EPCD3 295000 PA USD 283553.6 0.5072953595 Long DBT CORP US N 2 2030-03-01 Fixed 4.75 N N N N N N COMM 2014-UBS3 Mortgage Trust N/A COMM 2014-UBS3 Mortgage Trust 12591YBC8 49000 PA USD 49581.79 0.0887049644 Long ABS-MBS CORP US N 2 2024-05-10 Fixed 3.82 N N N N N N Cheniere Corpus Christi Holdings, LLC 549300I7CIEWU1BBLQ53 Cheniere Corpus Christi Holdings, LLC 16412XAC9 54000 PA USD 57152.77 0.1022499274 Long DBT CORP US N 2 2025-03-31 Fixed 5.88 N N N N N N Macys Retail Holdings N/A Macys Retail Holdings 55617LAQ5 69000 PA USD 68104.43 0.1218431411 Long DBT CORP US N 2 2030-03-15 Fixed 5.88 N N N N N Macys Retail Holdings N/A Macys Retail Holdings 55617LAR3 65000 PA USD 64192.32 0.1148441284 Long DBT CORP US N 2 2032-03-15 Fixed 6.13 N N N N N N Mattel, Inc. 549300VELLG24KHTJ564 Mattel, Inc. 577081BE1 63000 PA USD 61780.22 0.1105287287 Long DBT CORP US N 2 2026-04-01 Fixed 3.38 N N N N N N Prime Security Services Borrower, LLC 549300O6QPZVWXV2DC15 Prime Security Services Borrower, LLC 74166MAF3 57000 PA USD 52267.58 0.0935100129 Long DBT CORP US N 2 2027-08-31 Fixed 3.38 N N N N N N Devon Energy Corporation 54930042348RKR3ZPN35 Devon Energy Corporation 25179MBE2 39000 PA USD 41196.76 0.0737036143 Long DBT CORP US N 2 2028-06-15 Fixed 5.88 N N N N N N Devon Energy Corporation 54930042348RKR3ZPN35 Devon Energy Corporation 25179MBF9 34000 PA USD 34904.92 0.0624471138 Long DBT CORP US N 2 2030-01-15 Fixed 4.5 N N N N N N GLP Financing, LLC 2549005PXW31DRW8EC44 GLP Financing, LLC 361841AK5 15000 PA USD 16136.78 0.0288697220 Long DBT CORP US N 2 2028-06-01 Fixed 5.75 N N N N N N GLP Financing, LLC 2549005PXW31DRW8EC44 GLP Financing, LLC 361841AL3 100000 PA USD 105032.5 0.1879097985 Long DBT CORP US N 2 2029-01-15 Fixed 5.3 N N N N N N GLP Financing, LLC 2549005PXW31DRW8EC44 GLP Financing, LLC 361841AR0 37000 PA USD 33543 0.0600105527 Long DBT CORP US N 2 2032-01-15 Fixed 3.25 N N N N N N GM Financial Consumer Automobile Receivables Trust 2021-4 N/A GM Financial Consumer Automobile Receivables Trust 2021-4 362554AE7 85000 PA USD 80321.16 0.1436996453 Long ABS-CBDO CORP US N 2 2027-10-18 Fixed 1.25 N N N N N N Grace Trust N/A Grace Trust 38406JAA6 177000 PA USD 160359.5 0.2868933077 Long ABS-MBS CORP US N 2 2030-12-12 Fixed 2.35 N N N N N N Hyatt Hotels Corporation T27JQIMTYSH41TCD5186 Hyatt Hotels Corporation 448579AH5 45000 PA USD 47162.4 0.0843765223 Long DBT CORP US N 2 2025-04-23 Fixed 5.38 N N N N N N Hyundai Auto Receivables Trust 2021-C N/A Hyundai Auto Receivables Trust 2021-C 44935FAF1 53000 PA USD 50681.11 0.0906717175 Long ABS-CBDO CORP US N 2 2025-11-15 Fixed 1.49 N N N N N N LSEGA Financing PLC 2138009YFYTGEHZNNZ09 LSEGA Financing PLC 50220PAD5 90000 PA USD 82234.62 0.1471229465 Long DBT CORP US N 2 2031-04-06 Fixed 2.5 N N N N N N LSEGA Financing PLC 2138009YFYTGEHZNNZ09 LSEGA Financing PLC 50220PAE3 28000 PA USD 25282.04 0.0452311717 Long DBT CORP US N 2 2041-04-06 Fixed 3.2 N N N N N N Pacific Gas And Electric Company 1HNPXZSMMB7HMBMVBS46 Pacific Gas And Electric Company 694308HW0 46000 PA USD 43463.22 0.0777584549 Long DBT CORP US N 2 2027-12-01 Fixed 3.3 N N N N N N Pacific Gas And Electric Company 1HNPXZSMMB7HMBMVBS46 Pacific Gas And Electric Company 694308JQ1 181000 PA USD 165016.54 0.2952250473 Long DBT CORP US N 2 2040-07-01 Fixed 4.5 N N N N N N Santander Retail Auto Lease Trust 2021-B N/A Santander Retail Auto Lease Trust 2021-B 80286DAC2 101000 PA USD 97880.88 0.1751150971 Long ABS-CBDO CORP US N 2 2024-08-20 Fixed 0.51 N N N N N N Targa Resources Corp. 5493003QENHHS261UR94 Targa Resources Corp. 87612GAA9 46000 PA USD 46426.88 0.0830606304 Long DBT CORP US N 2 2033-02-01 Fixed 4.2 N N N N N N Targa Resources Corp. 5493003QENHHS261UR94 Targa Resources Corp. 87612GAB7 64000 PA USD 63360 0.1133550552 Long DBT CORP US N 2 2052-04-15 Fixed 4.95 N N N N N N United Airlines Pass Through Certificates, Series 2015-1 K1OQBWM7XEOO08LDNP29 United Airlines Pass Through Certificates, Series 2015-1 90932LAG2 52000 PA USD 51199.22 0.0915986491 Long DBT CORP US N 2 2026-04-15 Fixed 4.38 N N N N N N United Airlines Pass Through Certificates, Series 2015-1 K1OQBWM7XEOO08LDNP29 United Airlines Pass Through Certificates, Series 2015-1 90932LAH0 37000 PA USD 35223.96 0.0630178966 Long DBT CORP US N 2 2029-04-15 Fixed 4.63 N N N N N N AerCap Ireland Capital Designated Activity Company 549300TI38531ODB1G63 AerCap Ireland Capital Designated Activity Company 00774MAN5 50000 PA USD 53026.41 0.0948676078 Long DBT CORP US N 2 2025-07-15 Fixed 6.5 N N N N N N AerCap Ireland Capital Designated Activity Company 549300TI38531ODB1G63 AerCap Ireland Capital Designated Activity Company 00774MAV7 165000 PA USD 152531.04 0.2728876966 Long DBT CORP US N 2 2026-10-29 Fixed 2.45 N N N N N N AerCap Ireland Capital Designated Activity Company 549300TI38531ODB1G63 AerCap Ireland Capital Designated Activity Company 00774MAW5 163000 PA USD 150259.58 0.2688239107 Long DBT CORP US N 2 2028-10-29 Fixed 3 N N N N N N AerCap Ireland Capital Designated Activity Company 549300TI38531ODB1G63 AerCap Ireland Capital Designated Activity Company 00774MAX3 195000 PA USD 176259.82 0.3153399878 Long DBT CORP US N 2 2032-01-30 Fixed 3.3 N N N N N N Ares Finance Co. IV LLC N/A Ares Finance Co. IV LLC 039936AA7 66000 PA USD 56102.04 0.1003701048 Long DBT CORP US N 2 2052-02-01 Fixed 3.65 N N N N N N Cigna Corporation 549300VIWYMSIGT1U456 Cigna Corporation 125523AJ9 50000 PA USD 54948.22 0.0983058477 Long DBT CORP US N 2 2038-08-15 Fixed 4.8 N N N N N N Cigna Corporation 549300VIWYMSIGT1U456 Cigna Corporation 125523CB4 114000 PA USD 114983.2 0.2057122314 Long DBT CORP US N 2 2027-03-01 Fixed 3.4 N N N N N N DLLMT 2021-1 LLC N/A DLLMT 2021-1 LLC 23345FAC6 223000 PA USD 216029.27 0.3864900540 Long ABS-CBDO CORP US N 2 2025-07-20 Fixed 1 N N N N N N HSBC Holdings PLC MLU0ZO3ML4LN2LL2TL39 HSBC Holdings PLC 404280CT4 200000 PA USD 182079.48 0.3257517283 Long DBT CORP US N 2 2032-05-24 Fixed 2.8 N N N N N N Kubota Credit Owner Trust 2020-1 N/A Kubota Credit Owner Trust 2020-1 50117TAC5 100000 PA USD 96790.18 0.1731637657 Long ABS-CBDO CORP US N 2 2025-08-15 Fixed 0.62 N N N N N N Microsoft Corporation INR2EJN1ERAN0W5ZP974 Microsoft Corporation 594918BC7 90000 PA USD 93921.13 0.1680308535 Long DBT CORP US N 2 2035-02-12 Fixed 3.5 N N N N N N Prosus N.V. 635400Z5LQ5F9OLVT688 Prosus N.V. 74365PAH1 73000 PA USD 64004.64 0.1145083570 Long DBT CORP US N 2 2032-01-19 Fixed 4.19 N N N N N N State Street U.S. Government Money Market Fund N/A State Street U.S. Government Money Market Fund 857492706 1407895.64 NS USD 1407895.64 2.5188145199 Long STIV RF US N 1 N N N Verizon Communications Inc. 2S72QS2UO2OESLG6Y829 Verizon Communications Inc. 92343VER1 105000 PA USD 110753.17 0.1981444397 Long DBT CORP US N 2 2028-09-21 Fixed 4.33 N N N N N N Verizon Communications Inc. 2S72QS2UO2OESLG6Y829 Verizon Communications Inc. 92343VGH1 175000 PA USD 163472.89 0.2924633597 Long DBT CORP US N 2 2028-03-22 Fixed 2.1 N N N N N N Verizon Communications Inc. 2S72QS2UO2OESLG6Y829 Verizon Communications Inc. 92343VGJ7 74000 PA USD 68710.21 0.1229269199 Long DBT CORP US N 2 2031-03-21 Fixed 2.55 N N N N N N Verizon Communications Inc. 2S72QS2UO2OESLG6Y829 Verizon Communications Inc. 92343VGK4 58000 PA USD 54697.56 0.0978574011 Long DBT CORP US N 2 2041-03-22 Fixed 3.4 N N N N N N Amgen Inc. 62QBXGPJ34PQ72Z12S66 Amgen Inc. 031162CR9 64000 PA USD 58599.02 0.1048373603 Long DBT CORP US N 2 2040-02-21 Fixed 3.15 N N N N N N Amgen Inc. 62QBXGPJ34PQ72Z12S66 Amgen Inc. 031162DE7 97000 PA USD 96197.21 0.1721029048 Long DBT CORP US N 2 2032-02-22 Fixed 3.35 N N N N N Amgen Inc. 62QBXGPJ34PQ72Z12S66 Amgen Inc. 031162DF4 37000 PA USD 38319.84 0.0685566221 Long DBT CORP US N 2 2052-02-22 Fixed 4.2 N N N N N N Berkshire Hathaway Finance Corporation 549300RLHFT5RU20WM87 Berkshire Hathaway Finance Corporation 084664CV1 123000 PA USD 106629.76 0.1907673979 Long DBT CORP US N 2 2050-10-15 Fixed 2.85 N N N N N N Deutsche Bank Aktiengesellschaft 7LTWFZYICNSX8D621K86 Deutsche Bank Aktiengesellschaft 251526CF4 100000 PA USD 88702.3 0.1586940359 Long DBT CORP US N 2 2032-01-14 Fixed 3.73 N N N N Y Deutsche Bank Aktiengesellschaft Deutsche Bank Aktiengesellschaft USD XXXX N N Deutsche Bank Aktiengesellschaft 7LTWFZYICNSX8D621K86 Deutsche Bank Aktiengesellschaft 251526CK3 110000 PA USD 98351.55 0.1759571556 Long DBT CORP US N 2 2032-05-28 Fixed 3.04 N N N N Y Deutsche Bank Aktiengesellschaft Deutsche Bank Aktiengesellschaft USD XXXX N N N General Electric Company 3C7474T6CDKPR9K6YT90 General Electric Company 369604BQ5 419000 PA USD 402501.88 0.7201013703 Long DBT CORP US N 2 2500-12-31 Floating 4.16 N N N N N N Live Nation Entertainment, Inc. 5493007B9BM9ZXJINO78 Live Nation Entertainment, Inc. 538034AV1 60000 PA USD 63860.88 0.1142511613 Long DBT CORP US N 2 2027-05-15 Fixed 6.5 N N N N N N OPG Trust 2021-PORT N/A OPG Trust 2021-PORT 67118AAA3 165000 PA USD 159173.37 0.2847712459 Long ABS-MBS CORP US N 2 2023-10-16 Floating 0.88 N N N N N N Restaurant Brands International Limited Partnership 549300RHSHNRWI5LLA86 Restaurant Brands International Limited Partnership 68245XAH2 19000 PA USD 18021.69 0.0322419455 Long DBT CORP US N 2 2028-01-15 Fixed 3.88 N N N N N N Restaurant Brands International Limited Partnership 549300RHSHNRWI5LLA86 Restaurant Brands International Limited Partnership 68245XAP4 16000 PA USD 14783.87 0.0264492803 Long DBT CORP US N 2 2029-02-15 Fixed 3.5 N N N N N N Pilgrim's Pride Corporation 549300ZSLGV64ZL3HD75 Pilgrim's Pride Corporation 72147KAG3 89000 PA USD 77809.07 0.1392053571 Long DBT CORP US N 2 2032-03-01 Fixed 3.5 N N N N N Royalty Pharma PLC 549300FGFN7VOK8BZR03 Royalty Pharma PLC 78081BAL7 309000 PA USD 264250.34 0.4727606041 Long DBT CORP US N 2 2040-09-02 Fixed 3.3 N N N N N N S&P Global Inc. Y6X4K52KMJMZE7I7MY94 S&P Global Inc. 78409VAZ7 73000 PA USD 76815.55 0.1374278868 Long DBT CORP US N 2 2029-05-01 Fixed 4.25 N N N N N N Sabine Pass Liquefaction, LLC 549300KJYBG7C6WJYZ11 Sabine Pass Liquefaction, LLC 785592AU0 300000 PA USD 308168.7 0.5513333333 Long DBT CORP US N 2 2028-03-15 Fixed 4.2 N N N N N N Sabine Pass Liquefaction, LLC 549300KJYBG7C6WJYZ11 Sabine Pass Liquefaction, LLC 785592AX4 80000 PA USD 83835.36 0.1499867718 Long DBT CORP US N 2 2030-05-15 Fixed 4.5 N N N N N N STERIS Irish FinCo Unlimited Company N/A STERIS Irish FinCo Unlimited Company 85917PAB3 56000 PA USD 52365.25 0.0936847507 Long DBT CORP US N 2 2051-03-15 Fixed 3.75 N N N N N N Nordic Aviation Capital DAC N/A Nordic Aviation Capital DAC N/A 139295.25 PA USD 107675.23 0.1926378100 Long DBT CORP US N 3 2025-03-14 Fixed 0 Y N Y N N N State Street Navigator Securities Lending Government Money Market Portfolio N/A State Street Navigator Securities Lending Government Money Market Portfolio N/A 2560315 NS USD 2560315 4.5805657851 Long STIV RF US N 1 N N CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 FUTURE - PHYSICALLY DELIVERED N/A 34 NC USD -87858.12 -0.1571837443 N/A DIR CORP US N 1 CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 Long United States 5 Year Note United States 5 Year Note 2022-07-06 3987233.12 USD -87858.12 N N N CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 FUTURE - PHYSICALLY DELIVERED N/A 11 NC USD -28162.81 -0.0503850518 N/A DIR CORP US N 1 CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 Long United States 2 Year Note United States 2 Year Note 2022-07-06 2359303.45 USD -28162.81 N N N CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 FUTURE - PHYSICALLY DELIVERED N/A 13 NC USD -33425.25 -0.0597998904 N/A DIR CORP US N 1 CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 Long United States 10 Year Note United States 10 Year Note 2022-06-30 1630800.25 USD -33425.25 N N N CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 FUTURE - PHYSICALLY DELIVERED N/A 11 NC USD -45347.43 -0.0811294260 N/A DIR CORP US N 1 CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 Long United States Long Bond United States Long Bond 2022-06-30 1696034.93 USD -45347.43 N N N CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 FUTURE - PHYSICALLY DELIVERED N/A -43 NC USD 179704.97 0.3215035794 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 2022-06-30 -6004861.22 USD 179704.97 N N N CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 FUTURE - PHYSICALLY DELIVERED N/A 7 NC USD -48786.91 -0.0872828737 N/A DIR CORP US N 1 CHICAGO BOARD OF TRADE 549300EX04Q2QBFQTQ27 Long United States Ultra Bond United States Ultra Bond 2022-06-30 1288661.91 USD -48786.91 N N N 2022-05-25 PPM Funds Andrew Tedeschi Andrew Tedeschi Principal Financial Officer XXXX NPORT-EX 2 ppmfunds033122.htm PPM FUNDS PART F - 03.31.2022 Untitled Document

PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

        
  

Shares/Par1 

 

Value ($) 

 

PPM Core Plus Fixed Income Fund

CORPORATE BONDS AND NOTES 49.5%

Financials 19.6%

 

AerCap Ireland Capital Designated Activity Company

     
 

6.50%, 07/15/25

 

50,000

 

53,026

 
 

2.45%, 10/29/26

 

165,000

 

152,531

 
 

3.00%, 10/29/28

 

163,000

 

150,260

 
 

3.30%, 01/30/32

 

195,000

 

176,260

 
 

Aon Corporation

     
 

3.90%, 02/28/52

 

49,000

 

48,311

 
 

Ares Finance Co. IV LLC

     
 

3.65%, 02/01/52 (a)

 

66,000

 

56,102

 
 

Bank of America Corporation

     
 

6.30%, (100, 03/10/26) (b) (c)

 

45,000

 

47,855

 
 

4.00%, 01/22/25

 

46,000

 

46,842

 
 

4.25%, 10/22/26

 

165,000

 

169,653

 
 

3.56%, 04/23/27

 

115,000

 

115,415

 
 

1.73%, 07/22/27

 

103,000

 

95,745

 
 

3.59%, 07/21/28

 

150,000

 

150,274

 
 

4.27%, 07/23/29

 

333,000

 

343,684

 
 

2.59%, 04/29/31

 

100,000

 

92,376

 
 

2.30%, 07/21/32

 

265,000

 

235,837

 
 

2.68%, 06/19/41

 

65,000

 

55,073

 
 

Barclays PLC

     
 

3.56%, 09/23/35 (d)

 

295,000

 

270,080

 
 

Berkshire Hathaway Finance Corporation

     
 

2.85%, 10/15/50

 

123,000

 

106,630

 
 

BlackRock, Inc.

     
 

2.10%, 02/25/32

 

268,000

 

242,045

 
 

Blackstone Holdings Finance Co. L.L.C.

     
 

2.00%, 01/30/32 (a)

 

142,000

 

123,666

 
 

Blackstone Private Credit Fund

     
 

1.75%, 09/15/24 (a)

 

52,000

 

48,823

 
 

2.63%, 12/15/26 (a)

 

99,000

 

88,846

 
 

3.25%, 03/15/27 (a)

 

141,000

 

129,455

 
 

4.00%, 01/15/29 (a)

 

60,000

 

55,477

 
 

Blackstone Secured Lending Fund

     
 

2.85%, 09/30/28 (a)

 

135,000

 

117,146

 
 

BNP Paribas

     
 

2.16%, 09/15/29 (a)

 

110,000

 

98,088

 
 

2.59%, 08/12/35 (a) (d)

 

150,000

 

130,034

 
 

Canadian Imperial Bank of Commerce

     
 

3.60%, 04/07/32 (d)

 

110,000

 

109,532

 
 

Citigroup Inc.

     
 

5.00%, (100, 09/12/24) (c)

 

83,000

 

82,260

 
 

4.45%, 09/29/27

 

76,000

 

78,376

 
 

3.52%, 10/27/28

 

131,000

 

129,983

 
 

2.67%, 01/29/31

 

224,000

 

207,043

 
 

2.57%, 06/03/31

 

142,000

 

129,606

 
 

3.06%, 01/25/33

 

135,000

 

126,359

 
 

3.79%, 03/17/33

 

78,000

 

77,513

 
 

CNO Global Funding

     
 

1.75%, 10/07/26 (a)

 

150,000

 

138,566

 
 

Credit Suisse Group AG

     
 

5.25%, (100, 02/11/27) (a) (c)

 

200,000

 

184,697

 
 

7.50%, (100, 12/11/23) (a) (b) (c) (d)

 

150,000

 

154,901

 
 

6.50%, 08/08/23 (a) (d)

 

250,000

 

256,400

 
 

Deutsche Bank Aktiengesellschaft

     
 

3.73%, 01/14/32 (b) (d)

 

100,000

 

88,702

 
 

3.04%, 05/28/32 (d)

 

90,000

 

80,469

 
 

F&G Global Funding

     
 

2.00%, 09/20/28 (a)

 

120,000

 

107,380

 
 

Ford Motor Credit Company LLC

     
 

5.13%, 06/16/25

 

75,000

 

76,878

 
 

4.95%, 05/28/27

 

128,000

 

130,137

 
 

FS KKR Capital Corp.

     
 

3.40%, 01/15/26

 

102,000

 

98,878

 
 

3.13%, 10/12/28 (b)

 

90,000

 

80,401

 
 

Glencore Funding LLC

     
 

4.88%, 03/12/29 (a)

 

75,000

 

79,049

 
 

HSBC Holdings PLC

     
 

2.80%, 05/24/32

 

200,000

 

182,079

 
 

Icahn Enterprises L.P.

     
 

4.75%, 09/15/24

 

100,000

 

100,502

 
 

6.25%, 05/15/26

 

69,000

 

70,808

 
 

Jane Street Group, LLC

     
 

4.50%, 11/15/29 (a)

 

34,000

 

32,207

 
 

JBS Finance Luxembourg S.a r.l.

     
 

2.50%, 01/15/27 (a)

 

68,000

 

63,351

 
 

JPMorgan Chase & Co.

     
 

2.01%, 03/13/26

 

132,000

 

127,267

 
 

2.95%, 02/24/28

 

86,000

 

83,945

 
 

2.07%, 06/01/29

 

174,000

 

159,591

 
 

2.74%, 10/15/30

 

215,000

 

203,217

 
 

Lloyds Banking Group PLC

     
 

7.50%, (100, 09/27/25) (c) (d)

 

109,000

 

116,630

 
 

3.87%, 07/09/25 (d)

 

200,000

 

201,718

 
 

LSEGA Financing PLC

     
 

2.50%, 04/06/31 (a)

 

90,000

 

82,235

 
 

3.20%, 04/06/41 (a)

 

28,000

 

25,282

 
 

Macquarie Group Limited

     
 

2.87%, 01/14/33 (a)

 

82,000

 

72,743

 
 

Markel Corporation

     
 

6.00%, (100, 06/01/25) (b) (c)

 

78,000

 

81,378

 
 

Morgan Stanley

     
 

0.99%, 12/10/26

 

200,000

 

184,032

 
 

1.51%, 07/20/27

 

135,000

 

124,351

 
 

3.62%, 04/01/31

 

206,000

 

205,210

 
 

2.51%, 10/20/32

 

300,000

 

271,656

 
 

2.94%, 01/21/33

 

64,000

 

59,969

 
 

2.48%, 09/16/36

 

90,000

 

77,230

 
 

NatWest Group PLC

     
 

3.07%, 05/22/28 (d)

 

124,000

 

118,939

 
 

3.03%, 11/28/35 (d)

 

100,000

 

88,507

 
 

NatWest Markets PLC

     
 

1.60%, 09/29/26 (a)

 

242,000

 

221,608

 
 

New York Life Global Funding

     
 

1.85%, 08/01/31 (a)

 

119,000

 

104,282

 
 

Nordic Aviation Capital

     
 

0.00%, 03/14/25 (e) (f) (g) (h) (i)

 

139,295

 

105,586

 
 

Owl Rock Capital Corporation

     
 

3.40%, 07/15/26

 

87,000

 

81,790

 
 

Rassman, Joel H.

     
 

3.80%, 11/01/29 (b)

 

190,000

 

184,022

 
 

S&P Global Inc.

     
 

4.25%, 05/01/29 (a)

 

73,000

 

76,816

 
 

The Goldman Sachs Group, Inc.

     
 

3.50%, 04/01/25

 

82,000

 

82,548

 
 

2.64%, 02/24/28

 

183,000

 

175,145

 
 

3.80%, 03/15/30

 

211,000

 

212,668

 
 

2.62%, 04/22/32

 

39,000

 

35,449

 
 

2.38%, 07/21/32

 

170,000

 

151,066

 
 

3.10%, 02/24/33

 

127,000

 

119,837

 
 

6.75%, 10/01/37

 

70,000

 

87,978

 
 

The Hartford Financial Services Group, Inc.

     
 

2.90%, 09/15/51 (b)

 

66,000

 

54,540

 
 

The Toronto-Dominion Bank

     
 

3.20%, 03/10/32 (d)

 

96,000

 

94,321

 
 

UBS Group AG

     
 

4.88%, (100, 02/12/27) (a) (c)

 

200,000

 

192,437

 
 

Wells Fargo & Company

     
 

3.53%, 03/24/28

 

239,000

 

238,684

 
 

Westpac Banking Corporation

     
 

2.67%, 11/15/35 (d)

 

48,000

 

41,780

 
 

ZF North America Capital, Inc.

     
 

4.75%, 04/29/25 (a)

 

144,000

 

143,971

 
 

10,954,039

 

Energy 5.5%

 

Aker BP ASA

     
 

3.75%, 01/15/30 (a)

 

155,000

 

151,715

 
 

BP Capital Markets America Inc.

     
 

2.72%, 01/12/32

 

110,000

 

103,662

 
 

Cenovus Energy Inc.

     
 

2.65%, 01/15/32 (b)

 

217,000

 

196,182

 
 

Cheniere Corpus Christi Holdings, LLC

     
 

5.88%, 03/31/25

 

54,000

 

57,153

 

Abbreviations and additional footnotes are defined on page 13

1


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

        
  

Shares/Par1 

 

Value ($) 

 
 

Cheniere Energy Partners, L.P.

     
 

3.25%, 01/31/32 (a)

 

33,000

 

30,055

 
 

Cheniere Energy, Inc.

     
 

4.63%, 10/15/28

 

65,000

 

65,388

 
 

4.50%, 10/01/29

 

125,000

 

125,610

 
 

Continental Resources, Inc.

     
 

5.75%, 01/15/31 (a)

 

95,000

 

103,822

 
 

Devon Energy Corporation

     
 

5.88%, 06/15/28

 

39,000

 

41,197

 
 

4.50%, 01/15/30

 

34,000

 

34,905

 
 

Endeavor Energy Resources, L.P.

     
 

5.75%, 01/30/28 (a)

 

14,000

 

14,445

 
 

Energy Transfer LP

     
 

6.50%, (100, 08/15/26) (b) (c)

 

110,000

 

108,387

 
 

6.75%, (100, 05/15/25) (b) (c)

 

102,000

 

99,209

 
 

7.13%, (100, 05/15/30) (c)

 

119,000

 

115,992

 
 

3.75%, 05/15/30

 

142,000

 

139,918

 
 

5.80%, 06/15/38

 

45,000

 

48,760

 
 

6.25%, 04/15/49

 

40,000

 

45,881

 
 

Enlink Midstream, LLC

     
 

4.15%, 06/01/25

 

71,000

 

70,769

 
 

EQM Midstream Partners, LP

     
 

4.13%, 12/01/26 (b)

 

113,000

 

108,483

 
 

4.50%, 01/15/29 (a)

 

49,000

 

46,045

 
 

EQT Corporation

     
 

3.13%, 05/15/26 (a)

 

10,000

 

9,697

 
 

3.90%, 10/01/27

 

47,000

 

46,905

 
 

Helmerich & Payne, Inc.

     
 

2.90%, 09/29/31 (a)

 

45,000

 

41,312

 
 

Marathon Oil Corporation

     
 

4.40%, 07/15/27

 

103,000

 

106,504

 
 

NuStar Logistics, L.P.

     
 

5.75%, 10/01/25

 

11,000

 

11,234

 
 

Occidental Petroleum Corporation

     
 

4.30%, 08/15/39

 

20,000

 

18,876

 
 

Rattler Midstream LP

     
 

5.63%, 07/15/25 (a)

 

15,000

 

15,207

 
 

Sabine Pass Liquefaction, LLC

     
 

4.20%, 03/15/28

 

300,000

 

308,169

 
 

4.50%, 05/15/30

 

80,000

 

83,835

 
 

Santos Finance Ltd

     
 

3.65%, 04/29/31 (a)

 

153,000

 

143,598

 
 

Southwestern Energy Company

     
 

4.75%, 02/01/32

 

60,000

 

59,930

 
 

Targa Resources Corp.

     
 

5.50%, 03/01/30

 

140,000

 

145,465

 
 

4.88%, 02/01/31

 

56,000

 

56,434

 
 

4.20%, 02/01/33

 

46,000

 

46,427

 
 

4.95%, 04/15/52

 

64,000

 

63,360

 
 

Transocean Pontus Limited

     
 

6.13%, 08/01/25 (a)

 

12,300

 

12,222

 
 

Transocean Poseidon Limited

     
 

6.88%, 02/01/27 (a)

 

45,937

 

45,475

 
 

Transocean Proteus Limited

     
 

6.25%, 12/01/24 (a)

 

87,500

 

86,835

 
 

Venture Global Calcasieu Pass, LLC

     
 

3.88%, 11/01/33 (a)

 

70,000

 

66,906

 
 

3,075,969

 

Consumer Discretionary 5.1%

 

Amazon.com, Inc.

     
 

2.10%, 05/12/31

 

115,000

 

106,932

 
 

2.88%, 05/12/41

 

90,000

 

83,038

 
 

3.10%, 05/12/51

 

55,000

 

51,663

 
 

BMW US Capital, LLC

     
 

3.70%, 04/01/32 (a)

 

97,000

 

98,033

 
 

Booking Holdings Inc.

     
 

4.63%, 04/13/30

 

149,000

 

161,811

 
 

Carnival Corporation

     
 

4.00%, 08/01/28 (a)

 

51,000

 

47,538

 
 

Cedar Fair, L.P.

     
 

5.50%, 05/01/25 (a)

 

83,000

 

85,254

 
 

General Motors Company

     
 

6.80%, 10/01/27

 

39,000

 

44,021

 
 

General Motors Financial Company, Inc.

     
 

2.40%, 04/10/28

 

100,000

 

90,676

 
 

3.10%, 01/12/32 (b)

 

161,000

 

144,873

 
 

Hilton Domestic Operating Company Inc.

     
 

5.38%, 05/01/25 (a)

 

33,000

 

33,761

 
 

5.75%, 05/01/28 (a)

 

33,000

 

34,151

 
 

Hyatt Hotels Corporation

     
 

5.38%, 04/23/25 (j) (k)

 

45,000

 

47,162

 
 

Kohl's Corporation

     
 

3.38%, 05/01/31 (b) (k)

 

85,000

 

81,600

 
 

Lowe`s Companies, Inc.

     
 

3.00%, 10/15/50

 

36,000

 

30,606

 
 

M.D.C. Holdings, Inc.

     
 

6.00%, 01/15/43 (k)

 

11,000

 

11,430

 
 

Macys Retail Holdings

     
 

5.88%, 03/15/30 (a) (b)

 

69,000

 

68,104

 
 

6.13%, 03/15/32 (a)

 

65,000

 

64,192

 
 

Magallanes, Inc.

     
 

4.28%, 03/15/32 (a)

 

107,000

 

107,603

 
 

5.05%, 03/15/42 (a)

 

205,000

 

209,140

 
 

5.14%, 03/15/52 (a)

 

128,000

 

131,038

 
 

5.39%, 03/15/62 (a)

 

44,000

 

45,462

 
 

Marriott International, Inc.

     
 

3.75%, 03/15/25

 

60,000

 

60,553

 
 

5.75%, 05/01/25 (k)

 

6,000

 

6,371

 
 

Mattel, Inc.

     
 

3.38%, 04/01/26 (a)

 

63,000

 

61,780

 
 

Meritage Homes Corporation

     
 

3.88%, 04/15/29 (a) (b)

 

80,000

 

76,175

 
 

Mileage Plus Holdings, LLC

     
 

6.50%, 06/20/27 (a)

 

35,026

 

36,467

 
 

Newell Brands Inc.

     
 

4.88%, 06/01/25

 

46,000

 

47,522

 
 

NIKE, Inc.

     
 

3.25%, 03/27/40

 

74,000

 

71,918

 
 

NVR, Inc.

     
 

3.00%, 05/15/30

 

134,000

 

125,141

 
 

Prosus N.V.

     
 

4.19%, 01/19/32 (a)

 

73,000

 

64,005

 
 

Resorts World Las Vegas LLC

     
 

4.63%, 04/06/31 (a)

 

200,000

 

175,536

 
 

Restaurant Brands International Limited Partnership

     
 

3.88%, 01/15/28 (a)

 

19,000

 

18,022

 
 

3.50%, 02/15/29 (a)

 

16,000

 

14,784

 
 

Ross Stores, Inc.

     
 

4.60%, 04/15/25 (b)

 

99,000

 

102,954

 
 

Royal Caribbean Cruises Ltd.

     
 

11.50%, 06/01/25 (a)

 

13,000

 

14,284

 
 

Sands China Ltd.

     
 

2.55%, 03/08/27 (a) (j) (k)

 

200,000

 

170,743

 
 

2,824,343

 

Health Care 4.5%

 

AbbVie Inc.

     
 

3.20%, 11/21/29

 

135,000

 

133,420

 
 

4.50%, 05/14/35

 

55,000

 

59,010

 
 

Amgen Inc.

     
 

3.35%, 02/22/32 (b)

 

97,000

 

96,197

 
 

3.15%, 02/21/40

 

64,000

 

58,599

 
 

4.20%, 02/22/52

 

37,000

 

38,320

 
 

Ascension Health

     
 

2.53%, 11/15/29

 

28,000

 

26,975

 
 

Bausch Health Companies Inc.

     
 

5.50%, 11/01/25 (a)

 

22,000

 

21,953

 
 

8.50%, 01/31/27 (a) (b)

 

21,000

 

20,939

 
 

6.13%, 02/01/27 (a) (b)

 

77,000

 

77,568

 
 

4.88%, 06/01/28 (a)

 

78,000

 

74,699

 
 

Baylor Scott & White Holdings

     
 

2.84%, 11/15/50

 

54,000

 

46,815

 
 

Centene Corporation

     
 

4.63%, 12/15/29

 

60,000

 

60,584

 
 

3.38%, 02/15/30

 

238,000

 

224,363

 
 

3.00%, 10/15/30

 

192,000

 

176,726

 
 

Cigna Holding Company

     
 

3.40%, 03/01/27

 

114,000

 

114,983

 

Abbreviations and additional footnotes are defined on page 13

2


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

        
  

Shares/Par1 

 

Value ($) 

 
 

4.80%, 08/15/38

 

28,000

 

30,771

 
 

CVS Health Corporation

     
 

4.30%, 03/25/28

 

21,000

 

22,016

 
 

4.78%, 03/25/38

 

190,000

 

207,742

 
 

HCA Inc.

     
 

5.38%, 02/01/25

 

130,000

 

135,504

 
 

5.88%, 02/15/26

 

30,000

 

31,911

 
 

3.63%, 03/15/32 (a)

 

117,000

 

114,657

 
 

Indiana University Health, Inc.

     
 

2.85%, 11/01/51

 

51,000

 

43,529

 
 

McKesson Corporation

     
 

1.30%, 08/15/26 (k)

 

175,000

 

160,929

 
 

Northwestern Memorial HealthCare

     
 

2.63%, 07/15/51

 

55,000

 

46,019

 
 

Piedmont Healthcare, Inc.

     
 

2.04%, 01/01/32

 

43,000

 

37,753

 
 

Royalty Pharma PLC

     
 

3.30%, 09/02/40

 

309,000

 

264,250

 
 

STERIS Irish FinCo Unlimited Company

     
 

3.75%, 03/15/51

 

56,000

 

52,365

 
 

Tenet Healthcare Corporation

     
 

4.88%, 01/01/26 (a)

 

140,000

 

141,667

 
 

Trinity Healthcare Group Pte. Ltd.

     
 

2.63%, 12/01/40

 

11,000

 

9,175

 
 

2,529,439

 

Communication Services 4.1%

 

AT&T Inc.

     
 

5.25%, 03/01/37

 

116,000

 

131,704

 
 

4.90%, 08/15/37 (b)

 

16,000

 

17,401

 
 

4.30%, 12/15/42

 

155,000

 

156,563

 
 

3.10%, 02/01/43

 

131,000

 

113,429

 
 

CCO Holdings, LLC

     
 

4.75%, 03/01/30 (a)

 

295,000

 

283,554

 
 

Charter Communications Operating, LLC

     
 

4.91%, 07/23/25

 

140,000

 

145,032

 
 

2.25%, 01/15/29

 

45,000

 

40,446

 
 

5.38%, 04/01/38

 

45,000

 

46,360

 
 

4.80%, 03/01/50

 

50,000

 

47,547

 
 

6.83%, 10/23/55

 

51,000

 

60,495

 
 

Comcast Corporation

     
 

3.75%, 04/01/40

 

35,000

 

35,032

 
 

3.40%, 07/15/46

 

50,000

 

46,991

 
 

2.89%, 11/01/51 (a)

 

65,000

 

55,349

 
 

CSC Holdings, LLC

     
 

6.50%, 02/01/29 (a)

 

100,000

 

100,898

 
 

DIRECTV Financing, LLC

     
 

5.88%, 08/15/27 (a)

 

37,000

 

36,475

 
 

Live Nation Entertainment, Inc.

     
 

6.50%, 05/15/27 (a)

 

60,000

 

63,861

 
 

The Walt Disney Company

     
 

4.63%, 03/23/40

 

80,000

 

89,228

 
 

T-Mobile US, Inc.

     
 

2.63%, 04/15/26 (b)

 

306,000

 

292,739

 
 

Verizon Communications Inc.

     
 

2.10%, 03/22/28

 

175,000

 

163,473

 
 

4.33%, 09/21/28

 

105,000

 

110,753

 
 

2.55%, 03/21/31

 

74,000

 

68,710

 
 

3.40%, 03/22/41

 

58,000

 

54,698

 
 

Vodafone Group Public Limited Company

     
 

5.00%, 05/30/38

 

120,000

 

130,690

 
 

2,291,428

 

Utilities 3.1%

 

Commonwealth Edison Company

     
 

3.75%, 08/15/47

 

79,000

 

78,741

 
 

3.85%, 03/15/52

 

49,000

 

50,941

 
 

Consolidated Edison Company of New York, Inc.

     
 

4.20%, 03/15/42

 

57,000

 

57,837

 
 

DPL Inc.

     
 

4.13%, 07/01/25

 

102,000

 

101,368

 
 

Duquesne Light Holdings, Inc.

     
 

2.53%, 10/01/30 (a)

 

61,000

 

54,796

 
 

Enel Finance International N.V.

     
 

2.25%, 07/12/31 (a)

 

108,000

 

95,655

 
 

Eversource Energy

     
 

3.38%, 03/01/32

 

80,000

 

78,297

 
 

Exelon Corporation

     
 

5.10%, 06/15/45

 

75,000

 

83,591

 
 

FirstEnergy Corp.

     
 

4.40%, 07/15/27 (j) (k)

 

69,000

 

69,388

 
 

2.65%, 03/01/30

 

39,000

 

35,449

 
 

Nevada Power Company

     
 

3.70%, 05/01/29 (b)

 

140,000

 

144,085

 
 

Pacific Gas And Electric Company

     
 

3.30%, 12/01/27

 

46,000

 

43,463

 
 

4.50%, 07/01/40

 

181,000

 

165,017

 
 

Public Service Electric and Gas Company

     
 

3.10%, 03/15/32

 

36,000

 

35,612

 
 

San Diego Gas & Electric Company

     
 

1.70%, 10/01/30

 

72,000

 

63,440

 
 

2.95%, 08/15/51

 

60,000

 

52,709

 
 

Southern California Edison Company

     
 

4.13%, 03/01/48

 

46,000

 

45,153

 
 

3.65%, 02/01/50

 

67,000

 

62,588

 
 

Southwest Gas Corporation

     
 

4.05%, 03/15/32

 

50,000

 

49,843

 
 

Tampa Electric Company

     
 

3.45%, 03/15/51

 

87,000

 

81,311

 
 

The AES Corporation

     
 

3.30%, 07/15/25 (a)

 

133,000

 

130,671

 
 

Vistra Operations Company LLC

     
 

3.55%, 07/15/24 (a)

 

71,000

 

70,367

 
 

3.70%, 01/30/27 (a)

 

110,000

 

105,754

 
 

1,756,076

 

Consumer Staples 2.7%

 

Anheuser-Busch Companies, LLC

     
 

4.70%, 02/01/36

 

200,000

 

217,371

 
 

Anheuser-Busch InBev Worldwide Inc.

     
 

5.45%, 01/23/39 (b)

 

141,000

 

164,589

 
 

BAT Capital Corp.

     
 

2.26%, 03/25/28

 

76,000

 

68,326

 
 

2.73%, 03/25/31

 

75,000

 

66,169

 
 

4.39%, 08/15/37

 

45,000

 

41,836

 
 

JBS USA Food Company

     
 

6.50%, 04/15/29 (a)

 

84,000

 

89,018

 
 

5.50%, 01/15/30 (a)

 

50,000

 

50,987

 
 

3.00%, 05/15/32 (a)

 

144,000

 

128,694

 
 

Kraft Heinz Foods Company

     
 

3.88%, 05/15/27

 

69,000

 

70,071

 
 

4.63%, 10/01/39

 

20,000

 

20,257

 
 

Mars Inc.

     
 

3.88%, 04/01/39 (a)

 

200,000

 

203,711

 
 

Northwestern University

     
 

2.64%, 12/01/50

 

38,000

 

31,522

 
 

Pilgrim's Pride Corporation

     
 

3.50%, 03/01/32 (a) (b)

 

89,000

 

77,809

 
 

Prime Security Services Borrower, LLC

     
 

3.38%, 08/31/27 (a)

 

57,000

 

52,268

 
 

Safeway Inc.

     
 

3.50%, 02/15/23 (a)

 

100,000

 

100,093

 
 

United Rentals (North America), Inc.

     
 

3.75%, 01/15/32

 

30,000

 

27,980

 
 

University of Washington

     
 

4.35%, 04/15/22

 

76,000

 

77,100

 
 

1,487,801

 

Industrials 2.0%

 

Air Canada

     
 

3.88%, 08/15/26 (a)

 

35,000

 

33,075

 
 

Aircastle Limited

     
 

5.25%, 08/11/25 (a)

 

108,000

 

110,327

 
 

American Airlines, Inc.

     
 

5.50%, 04/20/26 (a)

 

31,000

 

30,977

 
 

5.75%, 04/20/29 (a)

 

11,000

 

10,962

 
 

Burlington Northern Santa FE, LLC

     
 

2.88%, 06/15/52 (b)

 

67,000

 

59,289

 
 

Delta Air Lines, Inc.

     
 

7.00%, 05/01/25 (a)

 

134,000

 

143,380

 

Abbreviations and additional footnotes are defined on page 13

3


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

        
  

Shares/Par1 

 

Value ($) 

 
 

Equifax Inc.

     
 

2.35%, 09/15/31

 

190,000

 

170,020

 
 

General Electric Company

     
 

4.16%, (3 Month USD LIBOR + 3.33%), (100, 06/15/22) (c) (l)

 

419,000

 

402,502

 
 

Howmet Aerospace Inc.

     
 

6.88%, 05/01/25

 

4,000

 

4,333

 
 

Siemens Financieringsmaatschappij N.V.

     
 

2.15%, 03/11/31 (a)

 

46,000

 

42,288

 
 

SkyMiles IP Ltd.

     
 

4.50%, 10/20/25 (a)

 

10,000

 

10,071

 
 

4.75%, 10/20/28 (a)

 

16,000

 

16,143

 
 

United Airlines Pass Through Trust

     
 

4.38%, 04/15/26 (a)

 

52,000

 

51,199

 
 

4.63%, 04/15/29 (a)

 

37,000

 

35,224

 
 

1,119,790

 

Materials 1.1%

 

Anglo American Capital PLC

     
 

2.63%, 09/10/30 (a)

 

50,000

 

45,392

 
 

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

     
 

5.45%, 11/19/29 (a)

 

130,000

 

131,668

 
 

5.20%, 09/17/30 (a)

 

75,000

 

74,601

 
 

Freeport-McMoRan Inc.

     
 

5.00%, 09/01/27

 

61,000

 

62,756

 
 

5.40%, 11/14/34

 

35,000

 

38,920

 
 

Ineos Quattro Finance 2 PLC

     
 

3.38%, 01/15/26 (a)

 

110,000

 

101,817

 
 

NOVA Chemicals Corporation

     
 

4.88%, 06/01/24 (a)

 

130,000

 

131,444

 
 

4.25%, 05/15/29 (a)

 

39,000

 

35,983

 
 

622,581

 

Information Technology 1.0%

 

Apple Inc.

     
 

2.65%, 02/08/51

 

70,000

 

60,724

 
 

2.70%, 08/05/51

 

28,000

 

24,397

 
 

Booz Allen Hamilton Inc.

     
 

4.00%, 07/01/29 (a)

 

22,000

 

21,487

 
 

Broadcom Inc.

     
 

2.45%, 02/15/31 (a)

 

90,000

 

79,927

 
 

3.47%, 04/15/34 (a)

 

160,000

 

148,113

 
 

Dell International L.L.C.

     
 

5.85%, 07/15/25 (k)

 

6,000

 

6,417

 
 

6.02%, 06/15/26 (k)

 

67,000

 

72,689

 
 

8.35%, 07/15/46 (k)

 

25,000

 

36,802

 
 

Microsoft Corporation

     
 

3.50%, 02/12/35

 

90,000

 

93,921

 
 

544,477

 

Real Estate 0.8%

 

EPR Properties

     
 

3.60%, 11/15/31

 

61,000

 

55,456

 
 

Essential Properties, L.P.

     
 

2.95%, 07/15/31

 

78,000

 

68,394

 
 

GLP Financing, LLC

     
 

5.75%, 06/01/28

 

15,000

 

16,137

 
 

5.30%, 01/15/29

 

100,000

 

105,033

 
 

3.25%, 01/15/32

 

37,000

 

33,543

 
 

Sun Communities Operating Limited Partnership

     
 

2.30%, 11/01/28

 

65,000

 

58,968

 
 

2.70%, 07/15/31

 

87,000

 

78,504

 
 

VICI Properties Inc.

     
 

4.25%, 12/01/26 (a)

 

55,000

 

54,824

 
 

470,859

 
 

Total Corporate Bonds And Notes (cost $29,082,850)

27,676,802

 

GOVERNMENT AND AGENCY OBLIGATIONS 38.4%

Mortgage-Backed Securities 22.5%

 

Federal Home Loan Mortgage Corporation

     
 

2.00%, 12/01/35 - 03/01/52

 

1,568,527

 

1,470,124

 
 

2.50%, 11/01/36 - 11/01/51

 

935,217

 

897,695

 
 

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

 

228,879

 

235,935

 
 

3.50%, 01/01/46 - 04/01/50

 

506,500

 

513,343

 
 

3.00%, 11/01/46 - 12/01/49

 

96,573

 

95,238

 
 

4.50%, 11/01/48

 

13,586

 

14,156

 
 

1.50%, 10/01/51 - 11/01/51

 

271,444

 

242,466

 
 

Federal National Mortgage Association, Inc.

     
 

3.00%, 09/01/32 - 03/01/52

 

1,242,142

 

1,227,977

 
 

2.50%, 10/01/35 - 01/01/52

 

1,157,173

 

1,116,026

 
 

1.50%, 11/01/35 - 11/01/36

 

242,428

 

230,405

 
 

2.00%, 05/01/36 - 04/01/51

 

1,768,648

 

1,656,900

 
 

TBA, 2.00%, 04/15/37 (m)

 

80,000

 

77,679

 
 

TBA, 2.50%, 04/15/37 (m)

 

305,000

 

301,307

 
 

TBA, 3.00%, 04/15/37 - 04/15/52 (m)

 

425,000

 

419,459

 
 

3.50%, 10/01/46 - 08/01/49

 

373,149

 

376,691

 
 

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

 

411,606

 

422,955

 
 

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

 

328,747

 

343,514

 
 

TBA, 3.50%, 04/15/52 (m)

 

185,000

 

185,332

 
 

Government National Mortgage Association

     
 

3.00%, 10/20/46 - 02/20/52

 

658,986

 

654,166

 
 

3.50%, 05/20/47 - 07/20/51

 

542,048

 

549,684

 
 

4.00%, 07/20/47

 

154,689

 

159,656

 
 

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

 

65,388

 

67,937

 
 

2.50%, 03/20/51 - 07/20/51

 

610,176

 

593,162

 
 

2.00%, 09/20/51 - 03/20/52

 

566,265

 

539,099

 
 

TBA, 2.50%, 04/15/52 (m)

 

200,000

 

193,967

 
 

12,584,873

 

U.S. Treasury Note 11.2%

 

Treasury, United States Department of

     
 

0.25%, 03/15/24 - 07/31/25

 

342,000

 

320,068

 
 

1.50%, 10/31/24 - 08/15/26

 

911,000

 

880,794

 
 

2.25%, 11/15/25

 

980,000

 

969,894

 
 

0.38%, 12/31/25 - 01/31/26

 

1,500,000

 

1,383,337

 
 

0.88%, 09/30/26 - 11/15/30

 

364,000

 

331,456

 
 

1.25%, 11/30/26 - 06/30/28

 

1,245,000

 

1,159,383

 
 

0.63%, 03/31/27

 

420,000

 

383,906

 
 

2.88%, 08/15/28

 

375,000

 

384,141

 
 

1.38%, 11/15/31

 

429,000

 

393,675

 
 

1.88%, 02/15/32

 

85,000

 

81,613

 
 

6,288,267

 

U.S. Treasury Bond 4.0%

 

Treasury, United States Department of

     
 

3.75%, 08/15/41

 

461,000

 

541,459

 
 

2.00%, 11/15/41

 

125,000

 

112,988

 
 

3.13%, 11/15/41

 

316,000

 

340,391

 
 

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

 

756,000

 

738,262

 
 

3.00%, 02/15/48

 

317,000

 

344,886

 
 

1.63%, 11/15/50

 

81,000

 

66,445

 
 

1.88%, 11/15/51

 

85,000

 

74,455

 
 

2,218,886

 

U.S. Government Agency Obligations 0.4%

 

Federal National Mortgage Association, Inc.

     
 

0.88%, 08/05/30 (n)

 

229,000

 

199,787

 

Municipal 0.3%

 

Dallas/Fort Worth International Airport

     
 

2.84%, 11/01/46

 

55,000

 

48,036

 
 

Dormitory Authority State of New York

     
 

3.19%, 02/15/43

 

100,000

 

94,095

 
 

142,131

 
 

Total Government And Agency Obligations (cost $22,360,504)

21,433,944

 

NON-U.S. GOVERNMENT AGENCY ASSET-BACKED SECURITIES 6.5%

 

Air Canada 2020-2 Class A Pass Through Trust

     
 

Series 2020-A-2, 5.25%, 04/01/29

 

23,606

 

24,333

 
 

Alaska Airlines 2020-1 Class A Pass Through Trust

     
 

Series 2020-A-1, 4.80%, 08/15/27

 

82,947

 

83,861

 
 

American Airlines, Inc.

     
 

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

 

152,900

 

145,107

 
 

American Tower Trust #1

     
 

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

 

265,000

 

265,062

 
 

Avid Automobile Receivables Trust 2021-1

     
 

Series 2021-A-1, 0.61%, 01/15/25

 

44,550

 

44,176

 
 

CCG Receivables Trust

     
 

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

 

18,369

 

18,400

 
 

CCG Receivables Trust 2021-2

     
 

Series 2021-A2-2, 0.54%, 03/14/29

 

192,000

 

186,863

 
 

CIM Trust 2021-J2

     
 

Series 2021-A1-J2, REMIC, 2.50%, 11/25/42 (l)

 

155,938

 

143,810

 
 

CNH Equipment Trust 2022-A

     
 

Series 2022-A2-A, 2.53%, 01/16/24

 

150,000

 

149,997

 

Abbreviations and additional footnotes are defined on page 13

4


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

        
  

Shares/Par1 

 

Value ($) 

 
 

COMM Mortgage Trust

     
 

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

 

49,000

 

49,582

 
 

Dell Equipment Finance Trust 2022-1

     
 

Series 2022-A2-1, REMIC, 2.11%, 11/22/23

 

84,000

 

83,562

 
 

DLLAA 2021-1 LLC

     
 

Series 2021-A3-1A, 0.67%, 04/17/26

 

190,000

 

183,201

 
 

DLLMT 2021-1 LLC

     
 

Series 2021-A3-1A, 1.00%, 07/20/25

 

223,000

 

216,029

 
 

First Investors Auto Owner Trust 2021-1

     
 

Series 2021-A-1A, 0.45%, 12/15/23

 

69,393

 

68,893

 
 

First Investors Auto Owner Trust 2021-2

     
 

Series 2021-A-2A, 0.48%, 10/15/24

 

107,233

 

104,757

 
 

Foundation Finance Trust

     
 

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

 

5,451

 

5,462

 
 

GM Financial Automobile Leasing Trust 2020-1

     
 

Series 2020-A3-1, 1.67%, 12/20/22

 

16,684

 

16,687

 
 

GM Financial Consumer Automobile Receivables Trust 2021-4

     
 

Series 2021-B-4, 1.25%, 10/18/27

 

85,000

 

80,321

 
 

Grace Trust

     
 

Series 2020-A-GRCE, REMIC, 2.35%, 12/12/30

 

177,000

 

160,360

 
 

Hilton Grand Vacations Trust 2019-A

     
 

Series 2019-A-AA, 2.34%, 07/25/33

 

66,411

 

65,941

 
 

Hudson Yards Mortgage Trust

     
 

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

 

150,000

 

145,644

 
 

Hyundai Auto Lease Securitization Trust 2021-B

     
 

Series 2021-A3-B, 0.33%, 06/17/24

 

265,000

 

259,294

 
 

Hyundai Auto Receivables Trust 2021-C

     
 

Series 2021-B-C, 1.49%, 11/15/25

 

53,000

 

50,681

 
 

Kubota Credit Owner Trust 2020-1

     
 

Series 2021-A3-1A, 0.62%, 08/15/25

 

100,000

 

96,790

 
 

Manhattan West 2020-1MW Mortgage Trust

     
 

Series 2020-A-OMW, REMIC, 2.13%, 09/10/27

 

201,074

 

186,255

 
 

OPG Trust 2021-PORT

     
 

Series 2021-A-PORT, REMIC, 0.88%, (1 Month USD LIBOR + 0.48%), 10/16/23 (l)

 

165,000

 

159,173

 
 

Prestige Auto Receivables Trust 2021-1

     
 

Series 2021-A3-1A, 0.83%, 07/15/25

 

95,000

 

92,543

 
 

Santander Retail Auto Lease Trust 2021-B

     
 

Series 2021-A3-B, 0.51%, 08/20/24

 

101,000

 

97,881

 
 

Sequoia Mortgage Trust 2020-4

     
 

Series 2020-A2-4, REMIC, 2.50%, 10/25/43 (l)

 

90,550

 

84,752

 
 

United Airlines, Inc.

     
 

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

 

43,623

 

43,773

 
 

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

 

39,078

 

38,885

 
 

Wells Fargo Commercial Mortgage Trust

     
 

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

 

57,000

 

56,792

 
 

Wells Fargo Mortgage Backed Securities Trust

     
 

Series 2020-A1-3, REMIC, 3.00%, 12/25/42 (l)

 

43,644

 

42,702

 
 

Westlake Automobile Receivables Trust 2021-3

     
 

Series 2021-A3-3A, REMIC, 0.95%, 06/16/25

 

192,000

 

188,200

 
 

Total Non-U.S. Government Agency Asset-Backed Securities (cost $3,769,462)

3,639,769

 

SENIOR FLOATING RATE INSTRUMENTS 2.2%

Consumer Discretionary 0.7%

 

Adient US LLC

     
 

2021 Term Loan B, 3.46%, (1 Month USD LIBOR + 3.25%), 04/30/28 (l)

 

78,592

 

77,216

 
 

Caesars Resort Collection, LLC

     
 

2020 Term Loan B1, 3.71%, (1 Month USD LIBOR + 3.50%), 06/19/25 (l)

 

80,770

 

80,407

 
 

Marriott Ownership Resorts, Inc.

     
 

2019 Term Loan B, 1.96%, (1 Month USD LIBOR + 1.75%), 08/29/25 (l)

 

100,000

 

96,925

 
 

PCI Gaming Authority

     
 

Term Loan, 2.71%, (1 Month USD LIBOR + 2.50%), 05/15/26 (l)

 

109,653

 

108,676

 
 

UFC Holdings, LLC

     
 

2021 Term Loan B, 3.50%, (6 Month USD LIBOR + 2.75%), 04/29/26 (l)

 

53,177

 

52,579

 
 

415,803

 

Industrials 0.5%

 

AAdvantage Loyalty IP Ltd.

     
 

2021 Term Loan, 5.50%, (3 Month USD LIBOR + 4.75%), 03/10/28 (l)

 

21,000

 

21,243

 
 

Air Canada

     
 

2021 Term Loan B, 4.25%, (3 Month USD LIBOR + 3.50%), 07/27/28 (l)

 

24,000

 

23,750

 
 

Berry Global, Inc.

     
 

2021 Term Loan Z, 2.07%, (1 Month USD LIBOR + 1.75%), 07/01/26 (l)

 

116,168

 

114,371

 
 

Cimpress Public Limited Company

     
 

USD Term Loan B, 4.00%, (1 Month USD LIBOR + 3.50%), 04/29/28 (l)

 

36,030

 

35,602

 
 

Genesee & Wyoming Inc.

     
 

Term Loan, 2.22%, (3 Month USD LIBOR + 2.00%), 10/29/26 (l)

 

49,980

 

49,371

 
 

Hertz Corporation, (The)

     
 

2021 Term Loan B, 3.75%, (3 Month USD LIBOR + 3.50%), 06/11/28 (l)

 

2,027

 

2,008

 
 

2021 Term Loan B, 3.75%, (1 Month USD LIBOR + 3.25%), 06/11/28 (l)

 

10,699

 

10,603

 
 

INEOS Styrolution US Holding LLC

     
 

2021 USD Term Loan B, 3.25%, (1 Month USD LIBOR + 2.75%), 01/21/26 (l)

 

26,797

 

26,288

 
 

283,236

 

Communication Services 0.5%

 

CenturyLink, Inc.

     
 

2020 Term Loan B, 2.46%, (1 Month USD LIBOR + 2.25%), 03/15/27 (l)

 

97,750

 

95,032

 
 

CSC Holdings, LLC

     
 

2017 Term Loan B1, 2.65%, (1 Month USD LIBOR + 2.25%), 07/15/25 (l)

 

42,970

 

42,191

 
 

Diamond Sports Group, LLC

     
 

2022 2nd Lien Term Loan, 3.44%, (SOFR 90-Day Average + 3.25%), 08/24/26 (l)

 

33,235

 

11,238

 
 

DirecTV Financing, LLC

     
 

Term Loan, 5.75%, (1 Month USD LIBOR + 5.00%), 07/22/27 (l)

 

34,686

 

34,609

 
 

Nexstar Broadcasting, Inc.

     
 

2019 Term Loan B4, 2.73%, (1 Month USD LIBOR + 2.50%), 06/13/26 (l)

 

67,769

 

67,442

 
 

250,512

 

Consumer Staples 0.2%

 

JBS USA Lux S.A.

     
 

2019 Term Loan B, 2.80%, (6 Month USD LIBOR + 2.00%), 04/27/26 (l)

 

93,156

 

92,205

 

Materials 0.1%

 

Sylvamo Corporation

     
 

Term Loan B, 5.00%, (3 Month USD LIBOR + 4.50%), 08/18/28 (g) (l)

 

80,000

 

78,000

 

Information Technology 0.1%

 

Peraton Corp.

     
 

Term Loan B, 4.50%, (1 Month USD LIBOR + 3.75%), 02/22/28 (l)

 

68,962

 

68,380

 

Energy 0.1%

 

Traverse Midstream Partners LLC

     
 

2017 Term Loan, 5.25%, (SOFR 90-Day Average + 4.25%), 09/22/24 (l)

 

30,121

 

29,958

 

Financials 0.0%

 

NAC Aviation 29 DAC

     
 

2022 DIP Delayed Draw Term Loan, 0.00%, (3 Month USD LIBOR + 8.00%), 09/07/22 (l) (o)

 

2,352

 

2,399

 
 

2022 DIP Delayed Draw Term Loan, 9.00%, (3 Month USD LIBOR + 8.00%), 09/07/22 (l)

 

2,823

 

2,879

 
 

2022 DIP Delayed Draw Term Loan, 9.00%, (1 Month USD LIBOR + 8.00%), 09/07/22 (l)

 

2,823

 

2,879

 
 

8,157

 
 

Total Senior Floating Rate Instruments (cost $1,258,973)

1,226,251

 

SHORT TERM INVESTMENTS 7.1%

Securities Lending Collateral 4.6%

 

State Street Navigator Securities Lending Government Money Market Portfolio, 0.25% (p)

 

2,560,315

 

2,560,315

 

Abbreviations and additional footnotes are defined on page 13

5


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

       
  

Shares/Par1 

 

Value ($) 

 

Investment Companies 2.5%

 

State Street Institutional U.S. Government Money Market Fund - Premier Class, 0.25% (p)

 

1,407,896

 

1,407,896

 
 

Total Short Term Investments (cost $3,968,211)

3,968,211

 

Total Investments 103.7% (cost $60,440,000)

 

57,944,977

 

Other Derivative Instruments 0.0%

 

6,989

 

Other Assets and Liabilities, Net (3.7)%

 

(2,056,797)

 

Total Net Assets 100.0%

 

55,895,169

 

(a) Security is exempt from registration under the Securities Act of 1933, as amended. As of March 31, 2022, the value and the percentage of net assets of these securities was $8,567,313 and 15.3% of the Fund.

(b) All or a portion of the security was on loan as of March 31, 2022.

(c) Perpetual security. Next contractual call price and date are presented in parentheses, if applicable.

(d) Convertible security.

(e) Non-income producing security.

(f) As of March 31, 2022, 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.

(g) 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.

(h) 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.

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

(j) 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, 2022.

(k) The interest rate for this security is inversely affected by upgrades or downgrades to the credit rating of the issuer. Rate stated was the coupon as of March 31, 2022.

(l) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of March 31, 2022. 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) All or a portion of the security was purchased on a delayed delivery basis. As of March 31, 2022, the total payable for investments purchased on a delayed delivery basis was $1,186,942.

(n) The security is a direct debt of the agency and not collateralized by mortgages.

(o) This senior floating rate interest will settle after March 31, 2022. If a reference rate and spread is presented, it will go into effect upon settlement.

(p) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2022.

                 

PPM Core Plus Fixed Income Fund — Restricted Securities

  

Initial Acquisition

 

Cost ($)

 

Value ($)

 

Percent of

Net Assets (%)

 
 

Nordic Aviation Capital, 0.00%, 03/14/25

10/01/19

 

139,295

 

105,586

 

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 10 Year Note

 

17

 

June 2022

  

2,121,931

 

3,250

  

(33,056)

 

United States 2 Year Note

 

11

 

July 2022

  

2,359,304

 

1,805

  

(28,163)

 

United States 5 Year Note

 

34

 

July 2022

  

3,987,233

 

4,781

  

(87,858)

 

United States Long Bond

 

11

 

June 2022

  

1,696,035

 

6,875

  

(45,348)

 

United States Ultra Bond

 

8

 

June 2022

  

1,460,084

 

8,186

  

(43,084)

 
         

24,897

  

(237,509)

 

Short Contracts

United States 10 Year Ultra Bond

 

(42)

 

June 2022

  

(5,865,113)

 

(17,908)

  

175,426

 
              

Abbreviations and additional footnotes are defined on page 13

6


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

        
  

Shares/Par1 

 

Value ($) 

 

PPM High Yield Core Fund

CORPORATE BONDS AND NOTES 88.7%

Consumer Discretionary 17.0%

 

Asbury Automotive Group, Inc.

     
 

4.63%, 11/15/29 (a)

 

54,000

 

50,294

 
 

5.00%, 02/15/32 (a)

 

205,000

 

190,708

 
 

Beazer Homes USA, Inc.

     
 

6.75%, 03/15/25

 

75,000

 

75,782

 
 

7.25%, 10/15/29

 

47,000

 

47,342

 
 

Boyd Gaming Corporation

     
 

4.75%, 06/15/31 (a)

 

241,000

 

232,193

 
 

Carnival Corporation

     
 

7.63%, 03/01/26 (a)

 

153,000

 

154,034

 
 

5.75%, 03/01/27 (a)

 

216,000

 

205,885

 
 

4.00%, 08/01/28 (a)

 

40,000

 

37,285

 
 

6.00%, 05/01/29 (a)

 

108,000

 

101,769

 
 

CDI Escrow Issuer Inc

     
 

5.75%, 04/02/30 (a)

 

168,000

 

169,797

 
 

Churchill Downs Incorporated

     
 

4.75%, 01/15/28 (a)

 

45,000

 

43,651

 
 

Eldorado Resorts, Inc.

     
 

8.13%, 07/01/27 (a)

 

186,000

 

199,506

 
 

Ford Motor Company

     
 

4.35%, 12/08/26

 

72,000

 

72,397

 
 

6.63%, 10/01/28

 

83,000

 

90,729

 
 

9.63%, 04/22/30

 

64,000

 

83,447

 
 

3.25%, 02/12/32

 

159,000

 

141,989

 
 

5.29%, 12/08/46

 

62,000

 

60,263

 
 

Guitar Center Escrow Issuer II, Inc.

     
 

8.50%, 01/15/26 (a)

 

375,000

 

382,440

 
 

Hawaiian Brand Intellectual Property, Ltd.

     
 

5.75%, 01/20/26 (a)

 

254,000

 

254,166

 
 

Hilton Grand Vacations Borrower LLC

     
 

5.00%, 06/01/29 (a)

 

201,000

 

191,812

 
 

4.88%, 07/01/31 (a)

 

174,000

 

161,907

 
 

IHOL Verwaltungs GmbH

     
 

6.00%, 05/15/27 (a) (b)

 

88,000

 

86,246

 
 

6.38%, 05/15/29 (a) (b)

 

161,000

 

158,873

 
 

International Game Technology PLC

     
 

5.25%, 01/15/29 (a)

 

141,000

 

140,683

 
 

IRB Holding Corp.

     
 

7.00%, 06/15/25 (a)

 

90,000

 

93,955

 
 

6.75%, 02/15/26 (a)

 

115,000

 

117,045

 
 

Jacobs Entertainment, Inc.

     
 

6.75%, 02/15/29 (a)

 

204,000

 

206,792

 
 

Jaguar Land Rover Automotive PLC

     
 

5.63%, 02/01/23 (a)

 

83,000

 

82,523

 
 

5.88%, 01/15/28 (a)

 

60,000

 

54,934

 
 

5.50%, 07/15/29 (a)

 

200,000

 

177,979

 
 

KB Home

     
 

4.80%, 11/15/29

 

131,000

 

126,668

 
 

L Brands, Inc.

     
 

7.50%, 06/15/29

 

140,000

 

151,748

 
 

6.88%, 11/01/35

 

165,000

 

169,980

 
 

Life Time, Inc.

     
 

5.75%, 01/15/26 (a)

 

142,000

 

141,837

 
 

8.00%, 04/15/26 (a)

 

293,000

 

292,518

 
 

Macys Retail Holdings

     
 

5.88%, 03/15/30 (a) (c)

 

118,000

 

116,468

 
 

6.13%, 03/15/32 (a)

 

181,000

 

178,751

 
 

Majordrive Holdings IV, LLC

     
 

6.38%, 06/01/29 (a)

 

216,000

 

192,217

 
 

Marriott Ownership Resorts, Inc.

     
 

6.13%, 09/15/25 (a)

 

25,000

 

25,661

 
 

4.75%, 01/15/28

 

64,000

 

61,633

 
 

MCE Finance Limited

     
 

5.38%, 12/04/29 (a)

 

215,000

 

183,438

 
 

Meritage Homes Corporation

     
 

3.88%, 04/15/29 (a)

 

109,000

 

103,788

 
 

Midwest Gaming Borrower, LLC

     
 

4.88%, 05/01/29 (a)

 

212,000

 

195,729

 
 

Mileage Plus Holdings, LLC

     
 

6.50%, 06/20/27 (a)

 

115,053

 

119,786

 
 

Nemak, S.A.B. de C.V.

     
 

3.63%, 06/28/31 (a)

 

118,000

 

102,438

 
 

NMG Holding Company, Inc.

     
 

7.13%, 04/01/26 (a)

 

230,000

 

236,700

 
 

Nordstrom, Inc.

     
 

4.00%, 03/15/27

 

201,000

 

193,796

 
 

Panther BF Aggregator 2 LP

     
 

8.50%, 05/15/27 (a)

 

230,000

 

238,667

 
 

PetSmart, Inc.

     
 

7.75%, 02/15/29 (a)

 

220,000

 

227,190

 
 

PM General Purchaser LLC

     
 

9.50%, 10/01/28 (a)

 

296,000

 

290,769

 
 

QVC, Inc.

     
 

5.45%, 08/15/34

 

247,000

 

205,987

 
 

Royal Caribbean Cruises Ltd.

     
 

10.88%, 06/01/23 (a)

 

177,000

 

188,654

 
 

9.13%, 06/15/23 (a)

 

80,000

 

83,387

 
 

4.25%, 07/01/26 (a)

 

124,000

 

115,439

 
 

5.50%, 08/31/26 (a)

 

213,000

 

206,978

 
 

Scientific Games International, Inc.

     
 

5.00%, 10/15/25 (a)

 

107,000

 

109,675

 
 

7.00%, 05/15/28 (a)

 

91,000

 

94,367

 
 

Seaworld Entertainment, Inc.

     
 

5.25%, 08/15/29 (a) (c)

 

186,000

 

177,635

 
 

Shea Homes Limited Partnership, A California Limited Partnership

     
 

4.75%, 02/15/28 - 04/01/29 (a)

 

304,000

 

287,364

 
 

Staples, Inc.

     
 

7.50%, 04/15/26 (a)

 

149,000

 

144,622

 
 

10.75%, 04/15/27 (a) (c)

 

161,000

 

143,314

 
 

Stena International S.A R.L.

     
 

6.13%, 02/01/25 (a)

 

142,000

 

142,108

 
 

Tenneco Inc.

     
 

7.88%, 01/15/29 (a)

 

50,000

 

52,686

 
 

5.13%, 04/15/29 (a)

 

412,000

 

408,659

 
 

The Gap, Inc.

     
 

3.63%, 10/01/29 (a)

 

26,000

 

23,031

 
 

3.88%, 10/01/31 (a)

 

188,000

 

164,100

 
 

TKC Holdings, Inc.

     
 

10.50%, 05/15/29 (a)

 

150,000

 

154,493

 
 

Travel + Leisure Co.

     
 

4.50%, 12/01/29 (a)

 

124,000

 

115,181

 
 

Wyndham Destinations, Inc.

     
 

6.63%, 07/31/26 (a)

 

101,000

 

105,817

 
 

6.00%, 04/01/27 (d) (e)

 

65,000

 

67,217

 
 

4.63%, 03/01/30 (a)

 

95,000

 

88,359

 
 

10,495,281

 

Communication Services 16.4%

 

Advantage Sales & Marketing Inc.

     
 

6.50%, 11/15/28 (a)

 

292,000

 

277,174

 
 

Altice France Holding S.A.

     
 

5.13%, 07/15/29 (a)

 

202,000

 

180,962

 
 

5.50%, 10/15/29 (a)

 

200,000

 

179,645

 
 

Altice France S.A.

     
 

6.00%, 02/15/28 (a) (c)

 

84,000

 

72,451

 
 

AMC Entertainment Holdings, Inc.

     
 

10.00%, 06/15/26 (a) (b) (d)

 

85,000

 

76,265

 
 

7.50%, 02/15/29 (a) (c)

 

154,000

 

149,746

 
 

Audacy, Inc.

     
 

6.75%, 03/31/29 (a) (c)

 

233,000

 

217,584

 
 

CCO Holdings, LLC

     
 

5.13%, 05/01/27 (a)

 

108,000

 

108,198

 
 

5.00%, 02/01/28 (a)

 

203,000

 

201,018

 
 

5.38%, 06/01/29 (a)

 

351,000

 

350,358

 
 

4.75%, 02/01/32 (a)

 

74,000

 

68,962

 
 

4.50%, 05/01/32

 

111,000

 

101,578

 
 

4.25%, 01/15/34 (a)

 

125,000

 

108,392

 
 

CenturyLink, Inc.

     
 

5.13%, 12/15/26 (a)

 

112,000

 

106,678

 
 

7.60%, 09/15/39

 

24,000

 

23,135

 
 

Clear Channel International B.V.

     
 

6.63%, 08/01/25 (a)

 

85,000

 

86,927

 
 

Clear Channel Outdoor Holdings, Inc.

     
 

7.75%, 04/15/28 (a)

 

144,000

 

144,735

 
 

7.50%, 06/01/29 (a)

 

264,000

 

263,476

 

Abbreviations and additional footnotes are defined on page 13

7


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

        
  

Shares/Par1 

 

Value ($) 

 
 

Connect Finco SARL

     
 

6.75%, 10/01/26 (a)

 

60,000

 

61,163

 
 

Consolidated Communications, Inc.

     
 

6.50%, 10/01/28 (a)

 

241,000

 

222,332

 
 

CSC Holdings, LLC

     
 

5.38%, 02/01/28 (a)

 

448,000

 

435,011

 
 

7.50%, 04/01/28 (a)

 

300,000

 

294,799

 
 

4.50%, 11/15/31 (a)

 

305,000

 

273,342

 
 

Cumulus Media New Holdings Inc.

     
 

6.75%, 07/01/26 (a) (c)

 

326,000

 

326,020

 
 

Diamond Sports Group, LLC

     
 

5.38%, 08/15/26 (a)

 

93,000

 

35,637

 
 

6.63%, 08/15/27 (a)

 

113,000

 

23,365

 
 

DIRECTV Financing, LLC

     
 

5.88%, 08/15/27 (a)

 

189,000

 

186,320

 
 

DISH DBS Corporation

     
 

5.88%, 11/15/24

 

86,000

 

85,928

 
 

7.75%, 07/01/26

 

156,000

 

154,839

 
 

5.25%, 12/01/26 (a)

 

102,000

 

97,325

 
 

5.75%, 12/01/28 (a)

 

70,000

 

66,456

 
 

Embarq Corporation

     
 

8.00%, 06/01/36

 

144,000

 

138,777

 
 

Frontier Communications Parent, Inc.

     
 

5.88%, 10/15/27 (a)

 

13,000

 

12,925

 
 

5.00%, 05/01/28 (a)

 

93,000

 

89,499

 
 

6.75%, 05/01/29 (a)

 

331,000

 

318,188

 
 

Gray Television, Inc.

     
 

5.38%, 11/15/31 (a)

 

203,000

 

194,171

 
 

Hughes Satellite Systems Corporation

     
 

6.63%, 08/01/26

 

82,000

 

85,078

 
 

iHeartCommunications, Inc.

     
 

6.38%, 05/01/26

 

38,565

 

39,703

 
 

8.38%, 05/01/27

 

326,651

 

337,679

 
 

5.25%, 08/15/27 (a)

 

120,000

 

118,751

 
 

4.75%, 01/15/28 (a)

 

50,000

 

47,857

 
 

Iliad Holding

     
 

7.00%, 10/15/28 (a)

 

298,000

 

298,542

 
 

LCPR Senior Secured Financing Designated Activity Company

     
 

6.75%, 10/15/27 (a)

 

319,000

 

327,395

 
 

5.13%, 07/15/29 (a)

 

220,000

 

210,217

 
 

Level 3 Financing, Inc.

     
 

4.25%, 07/01/28 (a)

 

122,000

 

112,019

 
 

3.63%, 01/15/29 (a)

 

140,000

 

122,508

 
 

Liberty Media Corporation

     
 

8.25%, 02/01/30 (c)

 

172,000

 

157,380

 
 

Midas Opco Holdings LLC

     
 

5.63%, 08/15/29 (a)

 

396,000

 

373,789

 
 

News Corporation

     
 

5.13%, 02/15/32 (a)

 

38,000

 

38,209

 
 

Radiate HoldCo, LLC

     
 

6.50%, 09/15/28 (a) (c)

 

378,000

 

357,798

 
 

Sirius XM Radio Inc.

     
 

3.88%, 09/01/31 (a)

 

285,000

 

259,370

 
 

Sprint Corporation

     
 

7.88%, 09/15/23

 

25,000

 

26,577

 
 

7.13%, 06/15/24

 

331,000

 

355,116

 
 

7.63%, 03/01/26

 

25,000

 

28,233

 
 

6.88%, 11/15/28

 

94,000

 

108,846

 
 

SSL Robotics LLC

     
 

9.75%, 12/31/23 (a)

 

32,000

 

34,094

 
 

Telecom Italia SpA

     
 

6.00%, 09/30/34

 

109,000

 

100,762

 
 

Telesat Canada

     
 

5.63%, 12/06/26 (a)

 

98,000

 

74,803

 
 

6.50%, 10/15/27 (a)

 

201,000

 

98,583

 
 

Terrier Media Buyer, Inc.

     
 

8.88%, 12/15/27 (a)

 

429,000

 

439,978

 
 

T-Mobile US, Inc.

     
 

3.38%, 04/15/29

 

149,000

 

142,010

 
 

Townsquare Media, Inc.

     
 

6.88%, 02/01/26 (a)

 

54,000

 

55,588

 
 

Virgin Media Secured Finance PLC

     
 

4.50%, 08/15/30 (a)

 

39,000

 

36,353

 
 

10,120,619

 

Energy 15.3%

 

Aethon United BR LP

     
 

8.25%, 02/15/26 (a)

 

250,000

 

260,144

 
 

Antero Midstream Partners LP

     
 

7.88%, 05/15/26 (a)

 

90,000

 

97,431

 
 

5.75%, 03/01/27 (a)

 

203,000

 

206,964

 
 

5.38%, 06/15/29 (a)

 

269,000

 

268,652

 
 

Archrock Partners, L.P.

     
 

6.25%, 04/01/28 (a)

 

180,000

 

177,565

 
 

Ascent Resources - Utica, LLC

     
 

7.00%, 11/01/26 (a)

 

264,000

 

271,011

 
 

8.25%, 12/31/28 (a)

 

56,000

 

58,775

 
 

Baytex Energy Corp.

     
 

8.75%, 04/01/27 (a)

 

153,000

 

164,868

 
 

Bip-V Chinook

     
 

5.50%, 06/15/31 (a)

 

395,000

 

389,497

 
 

Blue Racer Midstream, LLC

     
 

7.63%, 12/15/25 (a)

 

35,000

 

36,664

 
 

6.63%, 07/15/26 (a)

 

57,000

 

57,918

 
 

Buckeye Partners, L.P.

     
 

4.50%, 03/01/28 (a)

 

167,000

 

160,116

 
 

5.85%, 11/15/43

 

120,000

 

101,889

 
 

5.60%, 10/15/44

 

19,000

 

15,931

 
 

Callon Petroleum Company

     
 

6.38%, 07/01/26

 

199,000

 

197,752

 
 

Cheniere Energy Partners, L.P.

     
 

3.25%, 01/31/32 (a)

 

58,000

 

52,824

 
 

Citgo Petroleum Corporation

     
 

7.00%, 06/15/25 (a)

 

135,000

 

136,574

 
 

6.38%, 06/15/26 (a)

 

255,000

 

256,635

 
 

Colgate Energy Partners III, LLC

     
 

5.88%, 07/01/29 (a)

 

132,000

 

136,171

 
 

DT Midstream, Inc.

     
 

4.13%, 06/15/29 (a)

 

101,000

 

96,907

 
 

4.38%, 06/15/31 (a)

 

74,000

 

70,839

 
 

Endeavor Energy Resources, L.P.

     
 

6.63%, 07/15/25 (a)

 

85,000

 

88,489

 
 

5.75%, 01/30/28 (a)

 

93,000

 

95,957

 
 

Energean Israel Finance Ltd

     
 

4.88%, 03/30/26 (f)

 

265,000

 

255,725

 
 

Energy Transfer LP

     
 

6.50%, (100, 08/15/26) (g)

 

30,000

 

29,560

 
 

6.75%, (100, 05/15/25) (g)

 

106,000

 

103,099

 
 

7.13%, (100, 05/15/30) (g)

 

62,000

 

60,433

 
 

EQM Midstream Partners, LP

     
 

4.13%, 12/01/26

 

163,000

 

156,485

 
 

6.50%, 07/01/27 (a)

 

104,000

 

108,576

 
 

4.50%, 01/15/29 (a)

 

248,000

 

233,044

 
 

4.75%, 01/15/31 (a)

 

206,000

 

193,152

 
 

Hilcorp Energy I, L.P.

     
 

6.25%, 11/01/28 (a)

 

264,000

 

267,175

 
 

5.75%, 02/01/29 (a)

 

61,000

 

61,025

 
 

Husky Energy Inc.

     
 

13.00%, 02/15/25 (a) (b)

 

297,000

 

308,880

 
 

ITT Holdings LLC

     
 

6.50%, 08/01/29 (a)

 

249,000

 

229,139

 
 

MEG Energy Corp.

     
 

6.50%, 01/15/25 (a)

 

27,000

 

27,439

 
 

7.13%, 02/01/27 (a)

 

91,000

 

95,330

 
 

Murphy Oil Corporation

     
 

5.75%, 08/15/25

 

90,000

 

91,835

 
 

5.88%, 12/01/27

 

170,000

 

172,984

 
 

Nabors Industries Ltd

     
 

7.50%, 01/15/28 (a)

 

237,000

 

231,009

 
 

Nabors Industries, Inc.

     
 

7.38%, 05/15/27 (a)

 

147,000

 

152,702

 
 

NuStar Logistics, L.P.

     
 

6.00%, 06/01/26

 

85,000

 

86,013

 
 

5.63%, 04/28/27

 

115,000

 

112,644

 
 

6.38%, 10/01/30

 

194,000

 

196,567

 
 

Occidental Petroleum Corporation

     
 

6.95%, 07/01/24

 

198,000

 

212,562

 
 

3.50%, 06/15/25

 

35,000

 

35,081

 
 

3.20%, 08/15/26

 

231,000

 

227,211

 

Abbreviations and additional footnotes are defined on page 13

8


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

        
  

Shares/Par1 

 

Value ($) 

 
 

8.88%, 07/15/30

 

80,000

 

102,868

 
 

6.45%, 09/15/36

 

234,000

 

274,994

 
 

7.95%, 06/15/39

 

55,000

 

69,758

 
 

6.60%, 03/15/46

 

139,000

 

164,616

 
 

PDV America, Inc.

     
 

9.25%, 08/01/24 (a) (c)

 

150,000

 

151,544

 
 

Shelf Drilling Management Services DMCC

     
 

8.88%, 11/15/24 (a)

 

79,000

 

80,397

 
 

Southwestern Energy Company

     
 

7.75%, 10/01/27 (c)

 

90,000

 

95,286

 
 

8.38%, 09/15/28

 

96,000

 

105,669

 
 

5.38%, 02/01/29 - 03/15/30

 

288,000

 

292,648

 
 

4.75%, 02/01/32

 

211,000

 

210,754

 
 

Tap Rock Resources LLC

     
 

7.00%, 10/01/26 (a)

 

154,000

 

159,382

 
 

Targa Resources Corp.

     
 

5.50%, 03/01/30

 

83,000

 

86,240

 
 

4.88%, 02/01/31

 

56,000

 

56,434

 
 

Transocean Inc

     
 

11.50%, 01/30/27 (a)

 

94,000

 

97,641

 
 

Transocean Proteus Limited

     
 

6.25%, 12/01/24 (a)

 

125,000

 

124,050

 
 

Venture Global Calcasieu Pass, LLC

     
 

3.88%, 08/15/29 - 11/01/33 (a)

 

257,000

 

249,213

 
 

4.13%, 08/15/31 (a)

 

23,000

 

22,579

 
 

Viper Energy Partners LP

     
 

5.38%, 11/01/27 (a)

 

44,000

 

44,846

 
 

9,436,162

 

Industrials 11.0%

 

Allied Universal Holdco LLC

     
 

6.63%, 07/15/26 (a)

 

207,000

 

209,601

 
 

9.75%, 07/15/27 (a)

 

254,000

 

262,512

 
 

4.63%, 06/01/28 (a)

 

61,000

 

57,610

 
 

American Airlines, Inc.

     
 

11.75%, 07/15/25 (a)

 

112,000

 

130,821

 
 

5.50%, 04/20/26 (a)

 

207,000

 

206,845

 
 

5.75%, 04/20/29 (a)

 

292,000

 

291,000

 
 

APX Group, Inc.

     
 

5.75%, 07/15/29 (a) (c)

 

200,000

 

182,718

 
 

Bombardier Inc.

     
 

7.50%, 03/15/25 (a)

 

80,000

 

80,423

 
 

7.13%, 06/15/26 (a)

 

97,000

 

95,057

 
 

6.00%, 02/15/28 (a)

 

112,000

 

104,940

 
 

Builders FirstSource, Inc.

     
 

6.75%, 06/01/27 (a)

 

112,000

 

116,151

 
 

4.25%, 02/01/32 (a)

 

478,000

 

445,125

 
 

Cargo Aircraft Management, Inc.

     
 

4.75%, 02/01/28 (a)

 

166,000

 

161,835

 
 

Clydesdale Acquisition Holdings Inc

     
 

6.63%, 04/15/29 (a)

 

98,000

 

99,308

 
 

8.75%, 04/15/30 (a)

 

236,000

 

222,135

 
 

CP Atlas Buyer, Inc.

     
 

7.00%, 12/01/28 (a) (c)

 

178,000

 

151,926

 
 

Delta Air Lines, Inc.

     
 

7.00%, 05/01/25 (a)

 

111,000

 

118,770

 
 

Fortress Transportation And Infrastructure Investors LLC

     
 

6.50%, 10/01/25 (a)

 

100,000

 

99,298

 
 

9.75%, 08/01/27 (a)

 

55,000

 

57,524

 
 

5.50%, 05/01/28 (a)

 

371,000

 

337,723

 
 

Foxtrot Escrow Issuer LLC

     
 

12.25%, 11/15/26 (a)

 

148,000

 

160,169

 
 

General Electric Company

     
 

4.16%, (3 Month USD LIBOR + 3.33%), (100, 06/15/22) (g) (h)

 

53,000

 

50,913

 
 

Graham Packaging Company Europe LLC

     
 

7.13%, 08/15/28 (a)

 

166,000

 

151,333

 
 

Howmet Aerospace Inc.

     
 

6.88%, 05/01/25

 

4,000

 

4,333

 
 

Intelligent Packaging Limited Purchaser Inc.

     
 

6.00%, 09/15/28 (a)

 

172,000

 

170,111

 
 

Masonite International Corporation

     
 

5.38%, 02/01/28 (a)

 

60,000

 

60,452

 
 

MIWD Holdco II LLC

     
 

5.50%, 02/01/30 (a)

 

52,000

 

48,627

 
 

Pitney Bowes Inc.

     
 

6.88%, 03/15/27 (a) (c)

 

217,000

 

205,477

 
 

Prime Security Services Borrower, LLC

     
 

5.25%, 04/15/24 (a)

 

52,000

 

53,277

 
 

5.75%, 04/15/26 (a)

 

81,000

 

82,612

 
 

6.25%, 01/15/28 (a)

 

233,000

 

228,192

 
 

Rolls-Royce Plc

     
 

5.75%, 10/15/27 (a)

 

239,000

 

245,164

 
 

SkyMiles IP Ltd.

     
 

4.75%, 10/20/28 (a)

 

42,000

 

42,375

 
 

Summit Materials, LLC

     
 

5.25%, 01/15/29 (a)

 

138,000

 

136,319

 
 

Terex Corporation

     
 

5.00%, 05/15/29 (a)

 

191,000

 

183,494

 
 

TransDigm Inc.

     
 

8.00%, 12/15/25 (a)

 

34,000

 

35,461

 
 

6.25%, 03/15/26 (a)

 

296,000

 

304,780

 
 

TransDigm UK Holdings PLC

     
 

6.88%, 05/15/26

 

51,000

 

52,027

 
 

Triumph Group, Inc.

     
 

8.88%, 06/01/24 (a)

 

65,000

 

68,654

 
 

Uber Technologies, Inc.

     
 

7.50%, 05/15/25 - 09/15/27 (a)

 

232,000

 

246,300

 
 

4.50%, 08/15/29 (a)

 

90,000

 

84,376

 
 

United Airlines Pass Through Trust

     
 

4.38%, 04/15/26 (a)

 

41,000

 

40,369

 
 

4.63%, 04/15/29 (a)

 

308,000

 

293,216

 
 

Vertical Holdco GmbH

     
 

7.63%, 07/15/28 (a) (c)

 

186,000

 

186,103

 
 

Vertical U.S. Newco Inc.

     
 

5.25%, 07/15/27 (a)

 

88,000

 

87,332

 
 

Watco Companies, L.L.C.

     
 

6.50%, 06/15/27 (a)

 

171,000

 

168,268

 
 

6,821,056

 

Financials 10.8%

 

Acrisure, LLC

     
 

7.00%, 11/15/25 (a)

 

129,000

 

128,715

 
 

6.00%, 08/01/29 (a)

 

187,000

 

173,087

 
 

Advisor Group Holdings, Inc.

     
 

10.75%, 08/01/27 (a)

 

188,000

 

202,224

 
 

Albion Financing 2 S.a r.l.

     
 

8.75%, 04/15/27 (a)

 

125,000

 

120,237

 
 

Aretec Escrow Issuer Inc

     
 

7.50%, 04/01/29 (a)

 

85,000

 

81,784

 
 

Castlelake Aviation Finance Designated Activity Company

     
 

5.00%, 04/15/27 (a) (c)

 

157,000

 

140,176

 
 

Citigroup Inc.

     
 

5.00%, (100, 09/12/24) (g)

 

166,000

 

164,520

 
 

Credit Suisse Group AG

     
 

6.25%, (100, 12/18/24) (a) (g) (i)

 

120,000

 

120,900

 
 

EG Global Finance PLC

     
 

6.75%, 02/07/25 (a)

 

180,000

 

178,875

 
 

8.50%, 10/30/25 (a)

 

230,000

 

235,411

 
 

Ford Motor Credit Company LLC

     
 

3.09%, 01/09/23

 

200,000

 

200,250

 
 

5.13%, 06/16/25

 

132,000

 

135,305

 
 

Freedom Mortgage Corporation

     
 

7.63%, 05/01/26 (a)

 

319,000

 

304,733

 
 

Hertz Vehicle Financing II LP

     
 

5.00%, 12/01/29 (a)

 

74,000

 

67,312

 
 

HUB International Limited

     
 

7.00%, 05/01/26 (a)

 

129,000

 

130,583

 
 

Icahn Enterprises L.P.

     
 

6.25%, 05/15/26

 

319,000

 

327,361

 
 

5.25%, 05/15/27

 

196,000

 

192,516

 
 

IHS Luxembourg S.A R.L.

     
 

5.75%, 04/15/25 (a)

 

35,000

 

35,357

 
 

Intelligent Packaging Holdco Issuer Ltd Partnership

     
 

9.00%, 01/15/26 (a) (b)

 

39,000

 

38,613

 
 

Jane Street Group, LLC

     
 

4.50%, 11/15/29 (a)

 

38,000

 

35,997

 
 

JBS Finance Luxembourg S.a r.l.

     
 

3.63%, 01/15/32 (a)

 

300,000

 

276,144

 

Abbreviations and additional footnotes are defined on page 13

9


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

        
  

Shares/Par1 

 

Value ($) 

 
 

Lions Gate Capital Holdings LLC

     
 

5.50%, 04/15/29 (a)

 

316,000

 

304,569

 
 

LSF11 A5 Holdco LLC

     
 

6.63%, 10/15/29 (a)

 

243,000

 

226,060

 
 

Markel Corporation

     
 

6.00%, (100, 06/01/25) (g)

 

129,000

 

134,586

 
 

Navient Corporation

     
 

6.75%, 06/25/25 - 06/15/26

 

220,000

 

226,070

 
 

4.88%, 03/15/28

 

30,000

 

27,610

 
 

5.50%, 03/15/29

 

112,000

 

104,668

 
 

NFP Corp.

     
 

6.88%, 08/15/28 (a)

 

236,000

 

225,349

 
 

Nielsen Finance LLC

     
 

5.88%, 10/01/30 (a)

 

140,000

 

140,323

 
 

4.75%, 07/15/31 (a)

 

215,000

 

214,693

 
 

Nordic Aviation Capital

     
 

0.00%, 02/27/24 - 03/14/27 (b) (f) (j) (k) (l)

 

210,915

 

162,242

 
 

Rocket Mortgage, LLC

     
 

4.00%, 10/15/33 (a)

 

160,000

 

140,333

 
 

SLM Corporation

     
 

6.13%, 03/25/24

 

140,000

 

143,552

 
 

5.63%, 08/01/33

 

190,000

 

159,868

 
 

Springleaf Finance Corporation

     
 

8.88%, 06/01/25

 

51,000

 

53,763

 
 

Telenet Finance Luxembourg Notes S.A R.L.

     
 

5.50%, 03/01/28 (a)

 

200,000

 

193,250

 
 

UBS Group AG

     
 

4.88%, (100, 02/12/27) (a) (g)

 

210,000

 

202,059

 
 

USA Compression Finance Corp.

     
 

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

 

429,000

 

432,038

 
 

VistaJet Malta Finance P.L.C.

     
 

6.38%, 02/01/30 (a)

 

310,000

 

291,731

 
 

6,672,864

 

Health Care 4.8%

 

Bausch Health Companies Inc.

     
 

9.25%, 04/01/26 (a)

 

272,000

 

278,627

 
 

8.50%, 01/31/27 (a) (c)

 

142,000

 

141,585

 
 

7.00%, 01/15/28 (a)

 

51,000

 

45,697

 
 

5.00%, 01/30/28 (a)

 

40,000

 

32,937

 
 

4.88%, 06/01/28 (a)

 

41,000

 

39,265

 
 

6.25%, 02/15/29 (a)

 

203,000

 

167,706

 
 

Centene Corporation

     
 

3.38%, 02/15/30

 

88,000

 

82,958

 
 

Community Health Systems, Inc.

     
 

6.88%, 04/15/29 (a) (c)

 

112,000

 

109,647

 
 

4.75%, 02/15/31 (a)

 

213,000

 

201,285

 
 

Endo Designated Activity Company

     
 

9.50%, 07/31/27 (a) (c)

 

187,000

 

164,448

 
 

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

     
 

6.13%, 04/01/29 (a)

 

118,000

 

107,639

 
 

HCA Inc.

     
 

5.38%, 02/01/25

 

109,000

 

113,615

 
 

IQVIA Inc.

     
 

5.00%, 05/15/27 (a)

 

125,000

 

126,454

 
 

Mozart Debt Merger Sub Inc.

     
 

3.88%, 04/01/29 (a)

 

215,000

 

198,865

 
 

5.25%, 10/01/29 (a) (c)

 

243,000

 

226,085

 
 

Ortho-Clinical Diagnostics, Inc.

     
 

7.38%, 06/01/25 (a)

 

90,000

 

92,859

 
 

7.25%, 02/01/28 (a)

 

27,000

 

27,802

 
 

Owens & Minor, Inc.

     
 

6.63%, 04/01/30 (a)

 

98,000

 

100,834

 
 

Par Pharmaceutical, Inc.

     
 

7.50%, 04/01/27 (a)

 

89,000

 

83,080

 
 

Tenet Healthcare Corporation

     
 

6.75%, 06/15/23

 

76,000

 

79,190

 
 

4.88%, 01/01/26 (a)

 

93,000

 

94,107

 
 

5.13%, 11/01/27 (a)

 

183,000

 

183,944

 
 

4.63%, 06/15/28 (a)

 

140,000

 

137,879

 
 

4.38%, 01/15/30 (a)

 

160,000

 

153,722

 
 

2,990,230

 

Consumer Staples 4.3%

 

APi Escrow Corp.

     
 

4.75%, 10/15/29 (a)

 

157,000

 

146,007

 
 

Edgewell Personal Care Colombia S A S

     
 

5.50%, 06/01/28 (a)

 

74,000

 

73,659

 
 

JBS USA Food Company

     
 

6.50%, 04/15/29 (a)

 

48,000

 

50,868

 
 

Kraft Heinz Foods Company

     
 

4.63%, 10/01/39

 

218,000

 

220,805

 
 

4.88%, 10/01/49

 

153,000

 

161,309

 
 

Marb Bondco PLC

     
 

3.95%, 01/29/31 (a)

 

290,000

 

256,765

 
 

Matterhorn Merger Sub, LLC

     
 

8.50%, 06/01/26 (a)

 

247,000

 

237,356

 
 

MPH Acquisition Holdings LLC

     
 

5.50%, 09/01/28 (a)

 

189,000

 

181,297

 
 

Pilgrim's Pride Corporation

     
 

5.88%, 09/30/27 (a)

 

131,000

 

132,431

 
 

4.25%, 04/15/31 (a)

 

210,000

 

194,193

 
 

3.50%, 03/01/32 (a)

 

53,000

 

46,336

 
 

Prime Security Services Borrower, LLC

     
 

3.38%, 08/31/27 (a)

 

55,000

 

50,434

 
 

Safeway Inc.

     
 

5.88%, 02/15/28 (a)

 

157,000

 

156,754

 
 

Sigma Holdco B.V.

     
 

7.88%, 05/15/26 (a) (c)

 

328,000

 

272,258

 
 

United Natural Foods, Inc.

     
 

6.75%, 10/15/28 (a)

 

198,000

 

202,906

 
 

United Rentals (North America), Inc.

     
 

3.75%, 01/15/32

 

155,000

 

144,564

 
 

Verscend Holding Corp.

     
 

9.75%, 08/15/26 (a)

 

147,000

 

153,004

 
 

2,680,946

 

Materials 3.6%

 

Braskem Idesa, S.A.P.I.

     
 

6.99%, 02/20/32 (a)

 

155,000

 

152,347

 
 

Carpenter Technology Corporation

     
 

6.38%, 07/15/28

 

63,000

 

63,232

 
 

CVR Partners, LP

     
 

6.13%, 06/15/28 (a)

 

76,000

 

76,289

 
 

EverArc Escrow

     
 

5.00%, 10/30/29 (a)

 

158,000

 

144,269

 
 

First Quantum Minerals Ltd

     
 

7.50%, 04/01/25 (a)

 

110,000

 

111,803

 
 

6.88%, 10/15/27 (a)

 

140,000

 

146,412

 
 

Flex Acquisition Company, Inc.

     
 

6.88%, 01/15/25 (a)

 

155,000

 

155,592

 
 

Freeport-McMoRan Inc.

     
 

5.00%, 09/01/27

 

117,000

 

120,368

 
 

FXI Holdings, Inc.

     
 

7.88%, 11/01/24 (a)

 

148,000

 

147,340

 
 

Hexion Inc.

     
 

7.88%, 07/15/27 (a) (c)

 

163,000

 

172,542

 
 

Hudbay Minerals Inc.

     
 

6.13%, 04/01/29 (a)

 

277,000

 

285,371

 
 

NOVA Chemicals Corporation

     
 

5.25%, 06/01/27 (a)

 

185,000

 

184,395

 
 

Pearl Merger Sub Inc.

     
 

6.75%, 10/01/28 (a)

 

182,000

 

182,574

 
 

United States Steel Corporation

     
 

6.88%, 03/01/29 (c)

 

293,000

 

304,896

 
 

2,247,430

 

Information Technology 3.2%

 

ams AG

     
 

7.00%, 07/31/25 (a)

 

462,000

 

469,741

 
 

Arches Buyer Inc.

     
 

6.13%, 12/01/28 (a)

 

19,000

 

17,527

 
 

Booz Allen Hamilton Inc.

     
 

4.00%, 07/01/29 (a)

 

67,000

 

65,437

 
 

Boxer Parent Company Inc.

     
 

7.13%, 10/02/25 (a)

 

46,000

 

47,660

 
 

Commscope Finance LLC

     
 

6.00%, 03/01/26 (a)

 

95,000

 

96,066

 
 

8.25%, 03/01/27 (a)

 

93,000

 

90,468

 
 

CommScope Holding Company, Inc.

     
 

6.00%, 06/15/25 (a)

 

85,000

 

80,476

 

Abbreviations and additional footnotes are defined on page 13

10


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

        
  

Shares/Par1 

 

Value ($) 

 
 

Entegris, Inc.

     
 

4.38%, 04/15/28 (a)

 

82,000

 

80,007

 
 

LogMeIn, Inc.

     
 

5.50%, 09/01/27 (a)

 

202,000

 

189,034

 
 

Minerva Merger Sub Inc

     
 

6.50%, 02/15/30 (a)

 

98,000

 

95,075

 
 

Open Text Corporation

     
 

3.88%, 02/15/28 (a)

 

112,000

 

107,281

 
 

3.88%, 12/01/29 (a)

 

157,000

 

149,165

 
 

4.13%, 02/15/30 (a)

 

150,000

 

142,359

 
 

ViaSat, Inc.

     
 

5.63%, 09/15/25 - 04/15/27 (a)

 

275,000

 

269,789

 
 

6.50%, 07/15/28 (a)

 

91,000

 

87,364

 
 

1,987,449

 

Utilities 1.3%

 

Calpine Corporation

     
 

4.50%, 02/15/28 (a)

 

217,000

 

211,749

 
 

5.13%, 03/15/28 (a)

 

212,000

 

202,241

 
 

3.75%, 03/01/31 (a)

 

72,000

 

64,516

 
 

Vistra Operations Company LLC

     
 

5.00%, 07/31/27 (a)

 

218,000

 

214,382

 
 

4.38%, 05/01/29 (a)

 

139,000

 

131,336

 
 

824,224

 

Real Estate 1.0%

 

Cushman & Wakefield PLC

     
 

6.75%, 05/15/28 (a)

 

93,000

 

97,182

 
 

EPR Properties

     
 

3.75%, 08/15/29

 

136,000

 

128,374

 
 

Service Properties Trust

     
 

5.25%, 02/15/26

 

373,000

 

352,737

 
 

Uniti Group Inc.

     
 

7.88%, 02/15/25 (a)

 

55,000

 

57,170

 
 

635,463

 
 

Total Corporate Bonds And Notes (cost $56,495,976)

54,911,724

 

SENIOR FLOATING RATE INSTRUMENTS 4.2%

Communication Services 1.2%

 

Allen Media, LLC

     
 

2021 Term Loan B, 5.72%, (3 Month USD LIBOR + 5.50%), 02/10/27 (h)

 

113,768

 

112,659

 
 

GOGO Intermediate Holdings LLC

     
 

Term Loan B, 4.50%, (3 Month USD LIBOR + 3.75%), 04/21/28 (h)

 

152,569

 

151,234

 
 

Intelsat Jackson Holdings S.A.

     
 

2021 Exit Term Loan B, 0.00%, (SOFR + 4.25%), 01/25/29 (h) (m)

 

70,119

 

68,870

 
 

2021 Exit Term Loan B, 4.92%, (SOFR 180-Day Average + 4.25%), 01/25/29 (h)

 

84,269

 

82,768

 
 

Securus Technologies Holdings, Inc.

     
 

2017 1st Lien Term Loan, 5.50%, (3 Month USD LIBOR + 4.50%), 06/20/24 (h)

 

159,067

 

151,113

 
 

Zacapa S.a. r.l.

     
 

2022 Term Loan, 0.00%, (SOFR + 4.25%), 02/10/29 (h) (m)

 

152,874

 

151,690

 
 

718,334

 

Information Technology 0.9%

 

Almonde, Inc.

     
 

USD 1st Lien Term Loan, 4.50%, (3 Month USD LIBOR + 3.50%), 04/26/24 (h)

 

65,253

 

64,349

 
 

CoreLogic, Inc.

     
 

Term Loan, 4.00%, (1 Month USD LIBOR + 3.50%), 04/14/28 (h)

 

90,773

 

89,582

 
 

Cornerstone OnDemand, Inc.

     
 

2021 Term Loan, 4.25%, (3 Month USD LIBOR + 3.75%), 09/08/26 (h)

 

69,876

 

69,090

 
 

Peraton Corp.

     
 

Term Loan B, 4.50%, (1 Month USD LIBOR + 3.75%), 02/22/28 (h)

 

141,928

 

140,731

 
 

Redstone Holdco 2 LP

     
 

2021 Term Loan, 5.50%, (3 Month USD LIBOR + 4.75%), 04/27/28 (h)

 

149,250

 

145,519

 
 

Verifone Systems, Inc.

     
 

2018 1st Lien Term Loan, 4.50%, (3 Month USD LIBOR + 4.00%), 08/09/25 (h)

 

62,318

 

61,325

 
 

570,596

 

Consumer Discretionary 0.7%

 

Great Outdoors Group, LLC

     
 

2021 Term Loan B1, 4.50%, (1 Month USD LIBOR + 3.75%), 02/26/28 (h)

 

148,712

 

147,968

 
 

Michaels Companies, Inc.

     
 

2021 Term Loan B, 5.00%, (3 Month USD LIBOR + 4.25%), 04/08/28 (h)

 

122,872

 

115,004

 
 

Mileage Plus Holdings LLC

     
 

2020 Term Loan B, 6.25%, (3 Month USD LIBOR + 5.25%), 12/31/23 (h)

 

49,200

 

50,984

 
 

TGP Holdings III, LLC

     
 

2021 Delayed Draw Term Loan , 0.00%, 06/24/28 (h) (m)

 

13,393

 

12,790

 
 

2021 Term Loan, 4.00%, (1 Month USD LIBOR + 3.25%), 06/24/28 (h)

 

101,571

 

97,001

 
 

423,747

 

Health Care 0.5%

 

Advisor Group, Inc.

     
 

2021 Term Loan, 4.71%, (1 Month USD LIBOR + 4.50%), 07/31/26 (h)

 

83,505

 

83,062

 
 

Illuminate Merger Sub Corp.

     
 

Term Loan, 4.00%, (3 Month USD LIBOR + 3.50%), 06/30/28 (h)

 

154,000

 

148,610

 
 

Lonza Group AG

     
 

USD Term Loan B, 4.75%, (6 Month USD LIBOR + 4.00%), 04/29/28 (h)

 

81,462

 

79,323

 
 

310,995

 

Industrials 0.5%

 

AAdvantage Loyalty IP Ltd.

     
 

2021 Term Loan, 5.50%, (3 Month USD LIBOR + 4.75%), 03/10/28 (h)

 

187,000

 

189,162

 
 

Dynasty Acquisition Co., Inc.

     
 

2020 CAD Term Loan B2, 3.72%, (3 Month USD LIBOR + 3.50%), 04/06/26 (h)

 

23,523

 

23,072

 
 

2020 Term Loan B1, 3.72%, (3 Month USD LIBOR + 3.50%), 04/06/26 (h)

 

43,752

 

42,914

 
 

United Airlines, Inc.

     
 

2021 Term Loan B, 4.50%, (3 Month USD LIBOR + 3.75%), 04/14/28 (h)

 

53,694

 

52,979

 
 

308,127

 

Financials 0.4%

 

Acrisure, LLC

     
 

2020 Term Loan B, 3.72%, (1 Month USD LIBOR + 3.50%), 01/30/27 (h)

 

95,795

 

94,279

 
 

NAC Aviation 29 DAC

     
 

2022 DIP Delayed Draw Term Loan, 0.00%, (3 Month USD LIBOR + 8.00%), 09/07/22 (h) (m)

 

3,610

 

3,682

 
 

2022 DIP Delayed Draw Term Loan, 9.00%, (3 Month USD LIBOR + 8.00%), 09/07/22 (h)

 

4,332

 

4,419

 
 

2022 DIP Delayed Draw Term Loan, 9.00%, (1 Month USD LIBOR + 8.00%), 09/07/22 (h)

 

4,332

 

4,419

 
 

Raptor Acquisition Corp.

     
 

2021 Term Loan, 4.93%, (3 Month USD LIBOR + 4.00%), 11/01/26 (h)

 

154,612

 

153,598

 
 

260,397

 
 

Total Senior Floating Rate Instruments (cost $2,627,165)

2,592,196

 

INVESTMENT COMPANIES 0.9%

 

iShares Broad USD High Yield Corporate Bond ETF

 

15,247

 

592,498

 
 

Total Investment Companies (cost $586,552)

592,498

 

COMMON STOCKS 0.3%

Communication Services 0.2%

 

Clear Channel Outdoor Holdings, Inc. (j)

 

8,143

 

28,175

 
 

iHeartMedia, Inc. - Class A (j)

 

3,283

 

62,147

 
 

90,322

 

Energy 0.1%

 

MPLX LP

 

2,200

 

72,996

 
 

Total Common Stocks (cost $175,217)

163,318

 

SHORT TERM INVESTMENTS 9.6%

Securities Lending Collateral 6.4%

 

State Street Navigator Securities Lending Government Money Market Portfolio, 0.25% (n)

 

3,956,135

 

3,956,135

 

Abbreviations and additional footnotes are defined on page 13

11


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

       
  

Shares/Par1 

 

Value ($) 

 

Investment Companies 3.2%

 

State Street Institutional U.S. Government Money Market Fund - Premier Class, 0.25% (n)

 

1,979,899

 

1,979,899

 
 

Total Short Term Investments (cost $5,936,034)

5,936,034

 

Total Investments 103.7% (cost $65,820,944)

 

64,195,770

 

Other Assets and Liabilities, Net (3.7)%

 

(2,315,716)

 

Total Net Assets 100.0%

 

61,880,054

 

(a) Security is exempt from registration under the Securities Act of 1933, as amended. As of March 31, 2022, the value and the percentage of net assets of these securities was $43,618,397 and 70.5% of the Fund.

(b) 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.

(c) All or a portion of the security was on loan as of March 31, 2022.

(d) 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, 2022.

(e) The interest rate for this security is inversely affected by upgrades or downgrades to the credit rating of the issuer. Rate stated was the coupon as of March 31, 2022.

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

(g) Perpetual security. Next contractual call price and date are presented in parentheses, if applicable.

(h) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of March 31, 2022. 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.

(i) Convertible security.

(j) Non-income producing security.

(k) As of March 31, 2022, 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.

(l) 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.

(m) This senior floating rate interest will settle after March 31, 2022. If a reference rate and spread is presented, it will go into effect upon settlement.

(n) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2022.

          

PPM High Yield Core Fund — Restricted Securities

  

Initial Acquisition

 

Cost ($)

 

Value ($)

 

Percent of

Net Assets (%)

 
 

Energean Israel Finance Ltd, 4.88%, 03/30/26

03/09/21

 

262,655

 

255,725

 

0.4

 
 

Nordic Aviation Capital, 0.00%, 02/27/24

02/06/20

 

81,782

 

57,902

 

0.1

 
 

Nordic Aviation Capital, 0.00%, 03/14/27

10/01/19

 

129,133

 

104,340

 

0.2

 
    

473,570

 

417,967

 

0.7

 

Abbreviations and additional footnotes are defined on page 13

12


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

Currency Abbreviations:

 

USD - United States Dollar

CAD - Canadian Dollar

Abbreviations:

  

DIP - Debtor-in-Possession

 

ETF - Exchange Traded Fund

 

LIBOR – London Interbank Offered Rate

 

MBS - Mortgage-Backed Security

 

REMIC - Real Estate Mortgage Investment Conduit

 

TBA - To Be Announced (Securities purchased on a delayed delivery basis)

 

U.S. or US - United States

 
  

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

13


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

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. The Board is promptly notified of any matters significantly impacting the application of the Funds' valuation policies and procedures. The Board also receives monthly reports on other fair valuation determinations deemed material.

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). However, consistent with legal requirements, calculation of the Fund’s NAV may be suspended on days determined by the Board during times of NYSE market closure, which may include times during which the SEC issues policies or protocols associated with such closure pursuant to Section 22(e) of the 1940 Act. To the extent an NYSE closure is determined to not have resulted in a disruption of normal market activity, the Valuation Committee may utilize the time the NYSE was scheduled to close for purposes of measuring and calculating the Funds’ NAVs. 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. Debt and derivative securities are generally valued by independent pricing services approved by the Board. If a valuation from a third-party pricing service is unavailable or it is determined that such valuation does not approximate fair value, debt obligations with remaining maturities of sixty (60) days or less may be valued at their amortized cost, unless it is determined that such practice also does not approximate fair value. 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.

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

14


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

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.

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, American Depositary Receipts and Global Depositary Receipts 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.

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, 2022, by valuation level.

         
 

. Level 1 ($) .

 

. Level 2 ($) .

 

. Level 3 ($) .

 

. Total ($) .

 

PPM Core Plus Fixed Income Fund

Assets - Securities

        

Corporate Bonds And Notes

 

27,571,216

 

105,586

 

27,676,802

 

Government And Agency Obligations

 

21,433,944

 

 

21,433,944

 

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

 

3,639,769

 

 

3,639,769

 

Senior Floating Rate Instruments

 

1,148,251

 

78,000

 

1,226,251

 

Short Term Investments

3,968,211

 

 

 

3,968,211

 
 

3,968,211

 

53,793,180

 

183,586

 

57,944,977

 

Assets - Investments in Other Financial Instruments1

        

Futures Contracts

175,426

 

 

 

175,426

 
 

175,426

 

 

 

175,426

 

Liabilities - Investments in Other Financial Instruments1

        

Futures Contracts

(237,509

)

 

 

(237,509

)

 

(237,509

)

 

 

(237,509

)

PPM High Yield Core Fund

Assets - Securities

        

Corporate Bonds And Notes

 

54,749,482

 

162,242

 

54,911,724

 

Senior Floating Rate Instruments

 

2,592,196

 

 

2,592,196

 

Investment Companies

592,498

 

 

 

592,498

 

Common Stocks

163,318

 

 

 

163,318

 

Short Term Investments

5,936,034

 

 

 

5,936,034

 
 

6,691,850

 

57,341,678

 

162,242

 

64,195,770

 

1 All derivatives, except for purchased and written options, are reflected at the unrealized appreciation (depreciation) on the instrument. Purchased and written options are reflected at value.

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. 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, 2022.

15


PPMFunds

Schedules of Investments (Unaudited)

March 31, 2022

Unfunded Commitments. Certain Funds may enter into certain credit agreements, all or a portion of which may be unfunded. The Fund is obligated to fund these loan commitments at the borrowers’ discretion. Unfunded loan commitments and funded portions of credit agreements are marked-to-market daily.

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.

16