0001145549-22-069732.txt : 20221123 0001145549-22-069732.hdr.sgml : 20221123 20221123152117 ACCESSION NUMBER: 0001145549-22-069732 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220930 FILED AS OF DATE: 20221123 DATE AS OF CHANGE: 20221123 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: 221415850 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 S000061238 PPM High Yield Core Fund C000198336 PPM High Yield Core Fund (Inst) NPORT-P 1 primary_doc.xml NPORT-P false 0001722478 XXXXXXXX S000061238 C000198336 PPM Funds 811-23308 0001722478 549300UPJLTA0X102E93 225 W. 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BW4532OH033VURR0IT68 Marriott Ownership Resorts, Inc. 57164PAF3 76000 PA USD 63460 0.1202788047 Long DBT CORP US N 2 2028-01-15 Fixed 4.75 N N N N N N Masonite International Corporation 549300H0H07ZFT4JYM32 Masonite International Corporation 575385AD1 71000 PA USD 62803.4 0.1190343190 Long DBT CORP US N 2 2028-02-01 Fixed 5.38 N N N N N N Matterhorn Merger Sub, LLC 549300JY2LK0EQ95YT44 Matterhorn Merger Sub, LLC 577088AA5 247000 PA USD 158564.08 0.3005341635 Long DBT CORP US N 2 2026-06-01 Fixed 8.5 N N N N N N MCE Finance Limited N/A MCE Finance Limited 58547DAD1 198000 PA USD 121706.9 0.2306769691 Long DBT CORP US N 2 2029-12-04 Fixed 5.38 N N N N N N Midas Opco Holdings LLC N/A Midas Opco Holdings LLC 59565JAA9 520000 PA USD 427847.7 0.8109204216 Long DBT CORP US N 2 2029-08-15 Fixed 5.63 N N N N N N Midwest Gaming Borrower, LLC 5493005826VXDUREHL94 Midwest Gaming Borrower, LLC 59833DAB6 180000 PA USD 148409.69 0.2812880574 Long DBT CORP US N 2 2029-05-01 Fixed 4.88 N N N N N N Mileage Plus Holdings, LLC N/A Mileage Plus Holdings, LLC 599191AA1 166300.35 PA USD 162883.51 0.3087209879 Long DBT CORP US N 2 2027-06-20 Fixed 6.5 N N N N N N Mozart Debt Merger Sub Inc. 254900QT3R363TVK6F09 Mozart Debt Merger Sub Inc. 62482BAA0 215000 PA USD 172654.39 0.3272402089 Long DBT CORP US N 2 2029-04-01 Fixed 3.88 N N N N N N Mozart Debt Merger Sub Inc. 254900QT3R363TVK6F09 Mozart Debt Merger Sub Inc. 62482BAB8 308000 PA USD 232536.67 0.4407379880 Long DBT CORP US N 2 2029-10-01 Fixed 5.25 N N N N N Murphy Oil Corporation QBKYQD0ODE7DC7PDIN91 Murphy Oil Corporation 626717AJ1 35000 PA USD 34132.99 0.0646939054 Long DBT CORP US N 2 2025-08-15 Fixed 5.75 N N N N N N Murphy Oil Corporation QBKYQD0ODE7DC7PDIN91 Murphy Oil Corporation 626717AM4 187000 PA USD 175071 0.3318205266 Long DBT CORP US N 2 2027-12-01 Fixed 5.88 N N N N N N NAC Aviation 29 Designated Activity Company 213800F6E89RCASJ7E83 NAC Aviation 29 Designated Activity Company 62877CAA1 105878 PA USD 88725.76 0.1681662206 Long DBT CORP US N 2 2026-06-30 Fixed 4.75 N N N N N N NMG Holding Company, Inc. N/A NMG Holding Company, Inc. 62929RAC2 290000 PA USD 268035 0.5080196883 Long DBT CORP US N 2 2026-04-01 Fixed 7.13 N N N N N N Nabors Industries Ltd 549300VFQWRKICUFNU92 Nabors Industries Ltd 629571AB6 177000 PA USD 145097.83 0.2750109291 Long DBT CORP US N 2 2028-01-15 Fixed 7.5 N N N N N N Nabors Industries, Inc. 549300VFQWRKICUFNU92 Nabors Industries, Inc. 62957HAJ4 147000 PA USD 135821.3 0.2574286735 Long DBT CORP US N 2 2027-05-15 Fixed 7.38 N N N N N N Navient Corporation 54930067J0ZNOEBRW338 Navient Corporation 63938CAJ7 112000 PA USD 101786.76 0.1929213651 Long DBT CORP US N 2 2026-06-15 Fixed 6.75 N N N N N N Navient Corporation 54930067J0ZNOEBRW338 Navient Corporation 63938CAL2 130000 PA USD 99456.86 0.1885053930 Long DBT CORP US N 2 2028-03-15 Fixed 4.88 N N N N N N Nemak, S.A.B. de C.V. 5493000MY3DAIB0BP706 Nemak, S.A.B. de C.V. 64045DAC8 118000 PA USD 79808.77 0.1512654186 Long DBT CORP US N 2 2031-06-28 Fixed 3.63 N N N N N N Newell Brands Inc. 549300LWGYFM1TVO1Z12 Newell Brands Inc. 651229BD7 90000 PA USD 87957.68 0.1667104415 Long DBT CORP US N 2 2029-09-15 Fixed 6.63 N N N N N N News Corporation 549300ITS31QK8VRBQ14 News Corporation 65249BAA7 89000 PA USD 75537.76 0.1431703669 Long DBT CORP US N 2 2029-05-15 Fixed 3.88 N N N N N N News Corporation 549300ITS31QK8VRBQ14 News Corporation 65249BAB5 59000 PA USD 52262.43 0.0990555092 Long DBT CORP US N 2 2032-02-15 Fixed 5.13 N N N N N N NFP Corp. VO2L9FZNXDJNQNEYH039 NFP Corp. 65342RAD2 156000 PA USD 121680 0.2306259842 Long DBT CORP US N 2 2028-08-15 Fixed 6.88 N N N N N N NFP Corp. VO2L9FZNXDJNQNEYH039 NFP Corp. 65342RAF7 93000 PA USD 88651.04 0.1680246002 Long DBT CORP US N 2 2030-10-01 Fixed 7.5 N N N N N N Nielsen Finance LLC UJ76Y189LDMPCOCW7204 Nielsen Finance LLC 65409QBF8 140000 PA USD 139070.6 0.2635872288 Long DBT CORP US N 2 2030-10-01 Fixed 5.88 N N N N N N Nielsen Finance LLC UJ76Y189LDMPCOCW7204 Nielsen Finance LLC 65409QBK7 215000 PA USD 211455.57 0.4007819604 Long DBT CORP US N 2 2031-07-15 Fixed 4.75 N N N N N Nordstrom, Inc. 549300S3IZB5P35KNV16 Nordstrom, Inc. 655664AS9 84000 PA USD 70381.5 0.1333974581 Long DBT CORP US N 2 2027-03-15 Fixed 4 N N N N N N NOVA Chemicals Corporation 5493007M1XGU5E55ZJ25 NOVA Chemicals Corporation 66977WAQ2 86000 PA USD 80869.7 0.1532762505 Long DBT CORP US N 2 2024-06-01 Fixed 4.88 N N N N N N NOVA Chemicals Corporation 5493007M1XGU5E55ZJ25 NOVA Chemicals Corporation 66977WAR0 93000 PA USD 79131.22 0.1499812253 Long DBT CORP US N 2 2027-06-01 Fixed 5.25 N N N N N N NuStar Logistics, L.P. N62BF2PKP51FIIOIUN20 NuStar Logistics, L.P. 67059TAE5 172000 PA USD 150338.89 0.2849445634 Long DBT CORP US N 2 2027-04-28 Fixed 5.63 N N N N N N NuStar Logistics, L.P. N62BF2PKP51FIIOIUN20 NuStar Logistics, L.P. 67059TAF2 85000 PA USD 78215.96 0.1482464888 Long DBT CORP US N 2 2026-06-01 Fixed 6 N N N N N N NuStar Logistics, L.P. N62BF2PKP51FIIOIUN20 NuStar Logistics, L.P. 67059TAH8 134000 PA USD 115060.17 0.2180791005 Long DBT CORP US N 2 2030-10-01 Fixed 6.38 N N N N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599CG8 35000 PA USD 33715.09 0.0639018394 Long DBT CORP US N 2 2025-06-15 Fixed 3.5 N N N N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599DB8 198000 PA USD 203484.11 0.3856732671 Long DBT CORP US N 2 2024-07-01 Fixed 6.95 N N N N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599DF9 106000 PA USD 105538.09 0.2000314421 Long DBT CORP US N 2 2036-09-15 Fixed 6.45 N N N N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599DH5 55000 PA USD 61600.91 0.1167551816 Long DBT CORP US N 2 2039-06-15 Fixed 7.95 N N N N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599DL6 78000 PA USD 79535.31 0.1507471166 Long DBT CORP US N 2 2046-03-15 Fixed 6.6 N N N N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599EA9 80000 PA USD 88790.62 0.1682891529 Long DBT CORP US N 2 2030-07-15 Fixed 8.88 N N N N N N Olin Corporation 549300GKK294V7W57P06 Olin Corporation 680665AL0 200000 PA USD 177588.29 0.3365916680 Long DBT CORP US N 2 2029-08-01 Fixed 5.63 N N N N N N Open Text Corporation 549300HP7ONDQODZJV16 Open Text Corporation 683715AC0 112000 PA USD 92224.63 0.1747977980 Long DBT CORP US N 2 2028-02-15 Fixed 3.88 N N N N N N Open Text Corporation 549300HP7ONDQODZJV16 Open Text Corporation 683715AD8 157000 PA USD 120897.71 0.2291432722 Long DBT CORP US N 2 2029-12-01 Fixed 3.88 N N N N N N Open Text Corporation 549300HP7ONDQODZJV16 Open Text Corporation 683720AA4 215000 PA USD 171856.88 0.3257286497 Long DBT CORP US N 2 2030-02-15 Fixed 4.13 N N N N N N Organon & Co. 549300AMCKY57OK2CO56 Organon & Co. 68622TAB7 152000 PA USD 124676.98 0.2363063052 Long DBT CORP US N 2 2031-04-30 Fixed 5.13 N N N N N N Owens & Minor, Inc. 549300LMT5KQQXCEZ733 Owens & Minor, Inc. 690732AG7 184000 PA USD 161905.9 0.3068680764 Long DBT CORP US N 2 2030-04-01 Fixed 6.63 N N N N N N PM General Purchaser LLC N/A PM General Purchaser LLC 69356MAA4 211000 PA USD 176796.37 0.3350907038 Long DBT CORP US N 2 2028-10-01 Fixed 9.5 N N N N N N Pacific Gas And Electric Company 1HNPXZSMMB7HMBMVBS46 Pacific Gas And Electric Company 694308JT5 170000 PA USD 129516.66 0.2454791846 Long DBT CORP US N 2 2031-06-01 Fixed 3.25 N N N N N N Pacific Gas And Electric Company 1HNPXZSMMB7HMBMVBS46 Pacific Gas And Electric Company 694308KG1 85000 PA USD 77573.18 0.1470281968 Long DBT CORP US N 2 2032-06-15 Fixed 5.9 N N N N N N Clarios Global LP 549300474L1ZLXZY2P98 Clarios Global LP 69867DAC2 230000 PA USD 219820.94 0.4166372505 Long DBT CORP US N 2 2027-05-15 Fixed 8.5 N N N N N Pearl Merger Sub Inc. N/A Pearl Merger Sub Inc. 70478JAA2 159000 PA USD 122436.37 0.2320595688 Long DBT CORP US N 2 2028-10-01 Fixed 6.75 N N N N N N PennyMac Financial Services, Inc. 549300W1D516HBDEU871 PennyMac Financial Services, Inc. 70932MAC1 87000 PA USD 62767.1 0.1189655179 Long DBT CORP US N 2 2031-09-15 Fixed 5.75 N N N N N N PetSmart, Inc. N/A PetSmart, Inc. 71677KAB4 145000 PA USD 129671.4 0.2457724708 Long DBT CORP US N 2 2029-02-15 Fixed 7.75 N N N N N N Pilgrim's Pride Corporation 549300ZSLGV64ZL3HD75 Pilgrim's Pride Corporation 72147KAE8 131000 PA USD 127364.02 0.2413991820 Long DBT CORP US N 2 2027-09-30 Fixed 5.88 N N N N N N Pilgrim's Pride Corporation 549300ZSLGV64ZL3HD75 Pilgrim's Pride Corporation 72147KAF5 426000 PA USD 341729.63 0.6476966819 Long DBT CORP US N 2 2031-04-15 Fixed 4.25 N N N N N N Pilgrim's Pride Corporation 549300ZSLGV64ZL3HD75 Pilgrim's Pride Corporation 72147KAG3 48000 PA USD 36202.51 0.0686163667 Long DBT CORP US N 2 2032-03-01 Fixed 3.5 N N N N N N Pitney Bowes Inc. 549300N2O26NW4ST6W55 Pitney Bowes Inc. 724479AP5 217000 PA USD 134170.36 0.2542995671 Long DBT CORP US N 2 2027-03-15 Fixed 6.88 N N N N N N Prime Security Services Borrower, LLC 549300O6QPZVWXV2DC15 Prime Security Services Borrower, LLC 74166MAB2 52000 PA USD 50663.84 0.0960256243 Long DBT CORP US N 2 2024-04-15 Fixed 5.25 N N N N N N Prime Security Services Borrower, LLC 549300O6QPZVWXV2DC15 Prime Security Services Borrower, LLC 74166MAC0 152000 PA USD 142997.87 0.2710307734 Long DBT CORP US N 2 2026-04-15 Fixed 5.75 N N N N N N Prime Security Services Borrower, LLC 549300O6QPZVWXV2DC15 Prime Security Services Borrower, LLC 74166MAE6 198000 PA USD 169556.97 0.3213695191 Long DBT CORP US N 2 2028-01-15 Fixed 6.25 N N N N N N Prime Security Services Borrower, LLC 549300O6QPZVWXV2DC15 Prime Security Services Borrower, LLC 74166MAF3 55000 PA USD 46264.57 0.0876874753 Long DBT CORP US N 2 2027-08-31 Fixed 3.38 N N N N N N QVC, Inc. 549300WBLU5NKPX5X472 QVC, Inc. 747262AW3 140000 PA USD 86052.4 0.1630992722 Long DBT CORP US N 2 2034-08-15 Fixed 5.45 N N N N N N Radiate HoldCo, LLC 5493000GQJ5RDX9DNJ71 Radiate HoldCo, LLC 75026JAE0 367000 PA USD 254666.54 0.4826818001 Long DBT CORP US N 2 2028-09-15 Fixed 6.5 N N N N N N Rocket Mortgage, LLC 549300FGXN1K3HLB1R50 Rocket Mortgage, LLC 77313LAB9 93000 PA USD 64284.47 0.1218414625 Long DBT CORP US N 2 2033-10-15 Fixed 4 N N N N N N Royal Caribbean Cruises Ltd. K2NEH8QNVW44JIWK7Z55 Royal Caribbean Cruises Ltd. 780153AY8 177000 PA USD 180881.38 0.3428332206 Long DBT CORP US N 2 2023-06-01 Fixed 10.88 N N N N N N Royal Caribbean Cruises Ltd. K2NEH8QNVW44JIWK7Z55 Royal Caribbean Cruises Ltd. 780153BC5 240000 PA USD 245120.83 0.4645893546 Long DBT CORP US N 2 2023-06-15 Fixed 9.13 N N N N N N Royal Caribbean Cruises Ltd. K2NEH8QNVW44JIWK7Z55 Royal Caribbean Cruises Ltd. 780153BG6 43000 PA USD 30228.16 0.0572928924 Long DBT CORP US N 2 2028-04-01 Fixed 5.5 N N N N N N Royal Caribbean Cruises Ltd. K2NEH8QNVW44JIWK7Z55 Royal Caribbean Cruises Ltd. 780153BH4 124000 PA USD 91544.34 0.1735084115 Long DBT CORP US N 2 2026-07-01 Fixed 4.25 N N N N N N Navient Corporation 54930067J0ZNOEBRW338 Navient Corporation 78442FAZ1 107000 PA USD 72027.18 0.1365165950 Long DBT CORP US N 2 2033-08-01 Fixed 5.63 N N N N N N Navient Corporation 54930067J0ZNOEBRW338 Navient Corporation 78442FET1 140000 PA USD 136315.33 0.2583650324 Long DBT CORP US N 2 2024-03-25 Fixed 6.13 N N N N N N Scientific Games International, Inc. RLTHESQ0RNFQJWPBJN60 Scientific Games International, Inc. 80874YBC3 91000 PA USD 85730 0.1624882119 Long DBT CORP US N 2 2028-05-15 Fixed 7 N N N N N N Seagate HDD Cayman 529900BD50TRWEG1SF63 Seagate HDD Cayman 81180WAN1 29000 PA USD 22932.04 0.0434642036 Long DBT CORP US N 2 2034-12-01 Fixed 5.75 N N N N N N Seaworld Entertainment, Inc. 549300UZV72O3371JJ53 Seaworld Entertainment, Inc. 81282UAG7 186000 PA USD 154893.27 0.2935766999 Long DBT CORP US N 2 2029-08-15 Fixed 5.25 N N N N N N Shea Homes Limited Partnership, A California Limited Partnership N/A Shea Homes Limited Partnership, A California Limited Partnership 82088KAE8 140000 PA USD 113831.7 0.2157507219 Long DBT CORP US N 2 2028-02-15 Fixed 4.75 N N N N N N Shea Homes Limited Partnership, A California Limited Partnership N/A Shea Homes Limited Partnership, A California Limited Partnership 82088KAG3 19000 PA USD 14822.85 0.0280944639 Long DBT CORP US N 2 2029-04-01 Fixed 4.75 N N N N N N Shelf Drilling Management Services DMCC 54930078ZJ3XP4MRYB68 Shelf Drilling Management Services DMCC 822538AG9 189000 PA USD 185590.36 0.3517583780 Long DBT CORP US N 2 2024-11-15 Fixed 8.88 N N N N N Sigma Holdco B.V. 254900RAPCKVT00GAO59 Sigma Holdco B.V. 82660CAA0 187000 PA USD 123391.72 0.2338702898 Long DBT CORP NL N 2 2026-05-15 Fixed 7.88 N N N N N Sirius XM Radio Inc. WP5O65E6BMU84LNO4227 Sirius XM Radio Inc. 82967NBA5 59000 PA USD 54137.93 0.1026102350 Long DBT CORP US N 2 2027-08-01 Fixed 5 N N N N N N Sirius XM Radio Inc. WP5O65E6BMU84LNO4227 Sirius XM Radio Inc. 82967NBM9 184000 PA USD 143031.99 0.2710954427 Long DBT CORP US N 2 2031-09-01 Fixed 3.88 N N N N N N SkyMiles IP Ltd. Q2CCMS6R0AS67HJMBN42 SkyMiles IP Ltd. 830867AB3 42000 PA USD 39134.71 0.0741739071 Long DBT CORP US N 2 2028-10-20 Fixed 4.75 N N N N N N Southwestern Energy Company EFWMP121W54QV9MGOP87 Southwestern Energy Company 845467AN9 90000 PA USD 91619.99 0.1736517946 Long DBT CORP US N 2 2027-10-01 Fixed 7.75 N N N N N N Southwestern Energy Company EFWMP121W54QV9MGOP87 Southwestern Energy Company 845467AP4 96000 PA USD 99724.41 0.1890124935 Long DBT CORP US N 2 2028-09-15 Fixed 8.38 N N N N N N Southwestern Energy Company EFWMP121W54QV9MGOP87 Southwestern Energy Company 845467AR0 60000 PA USD 54508.28 0.1033121772 Long DBT CORP US N 2 2029-02-01 Fixed 5.38 N N N N N N Southwestern Energy Company EFWMP121W54QV9MGOP87 Southwestern Energy Company 845467AS8 173000 PA USD 155491.12 0.2947098339 Long DBT CORP US N 2 2030-03-15 Fixed 5.38 N N N N N N Southwestern Energy Company EFWMP121W54QV9MGOP87 Southwestern Energy Company 845467AT6 211000 PA USD 177357.81 0.3361548281 Long DBT CORP US N 2 2032-02-01 Fixed 4.75 N N N N N N Onemain Finance Corporation 5493008I795YYBFWFU90 Onemain Finance Corporation 85172FAP4 195000 PA USD 188026.4 0.3563755223 Long DBT CORP US N 2 2024-03-15 Fixed 6.13 N N N N N N Onemain Finance Corporation 5493008I795YYBFWFU90 Onemain Finance Corporation 85172FAR0 130000 PA USD 100612.88 0.1906964536 Long DBT CORP US N 2 2029-11-15 Fixed 5.38 N N N N N N Sprint Capital Corporation 549300L17W0GQBR1PO80 Sprint Capital Corporation 852060AD4 94000 PA USD 96610.68 0.1831108905 Long DBT CORP US N 2 2028-11-15 Fixed 6.88 N N N N N N Sprint Corporation 549300ZTTY7CXOLJ6539 Sprint Corporation 85207UAF2 25000 PA USD 25349.1 0.0480453742 Long DBT CORP US N 2 2023-09-15 Fixed 7.88 N N N N N N Sprint Corporation 549300ZTTY7CXOLJ6539 Sprint Corporation 85207UAH8 331000 PA USD 336459.09 0.6377071727 Long DBT CORP US N 2 2024-06-15 Fixed 7.13 N N N N N N Sprint Corporation 549300ZTTY7CXOLJ6539 Sprint Corporation 85207UAK1 25000 PA USD 25938.75 0.0491629664 Long DBT CORP US N 2 2026-03-01 Fixed 7.63 N N N N N N Staples, Inc. XQM2JINI1UL7642TU573 Staples, Inc. 855030AN2 149000 PA USD 125095.56 0.2370996601 Long DBT CORP US N 2 2026-04-15 Fixed 7.5 N N N N N N Stena International S.A R.L. 213800A4LTGG4W55QP46 Stena International S.A R.L. 85858EAB9 282000 PA USD 268838.21 0.5095420511 Long DBT CORP US N 2 2025-02-01 Fixed 6.13 N N N N N N Summit Materials, LLC 549300C97P3BW8QROE16 Summit Materials, LLC 86614RAN7 150000 PA USD 131985.15 0.2501578330 Long DBT CORP US N 2 2029-01-15 Fixed 5.25 N N N N N N TKC Holdings, Inc. N/A TKC Holdings, Inc. 87256YAA1 150000 PA USD 114982.1 0.2179311307 Long DBT CORP US N 2 2029-05-15 Fixed 10.5 N N N N N N TKC Holdings, Inc. N/A TKC Holdings, Inc. 87256YAC7 97000 PA USD 79249.17 0.1502047816 Long DBT CORP US N 2 2028-05-15 Fixed 6.88 N N N N N N T-Mobile USA, Inc. 549300V2JRLO5DIFGE82 T-Mobile USA, Inc. 87264ABV6 149000 PA USD 128685.69 0.2439042070 Long DBT CORP US N 2 2029-04-15 Fixed 3.38 N N N N N N Tap Rock Resources, LLC 549300Y3SDS1HPFQ6H17 Tap Rock Resources, LLC 87602LAA0 134000 PA USD 122599.25 0.2323682832 Long DBT CORP US N 2 2026-10-01 Fixed 7 N N N N N N Targa Resource Corporation 6OQWTZ1SPC04IFT4T704 Targa Resource Corporation 87612BBS0 56000 PA USD 48143.57 0.0912488348 Long DBT CORP US N 2 2031-02-01 Fixed 4.88 N N N N N N Telecom Italia Capital 549300777DJZOR5C4L39 Telecom Italia Capital 87927VAM0 97000 PA USD 72347.17 0.1371230875 Long DBT CORP US N 2 2034-09-30 Fixed 6 N N N N N N Telecom Italia SPA 549300W384M3RI3VXU42 Telecom Italia SPA 87927YAA0 85000 PA USD 80224.8 0.1520539403 Long DBT CORP US N 2 2024-05-30 Fixed 5.3 N N N N N N Telesat Canada 5493004V5GLBY6SO5Y34 Telesat Canada 87952VAM8 201000 PA USD 74790.78 0.1417545796 Long DBT CORP US Y 2 2027-10-15 Fixed 6.5 N N N N N N Telesat Canada 5493004V5GLBY6SO5Y34 Telesat Canada 87952VAR7 193000 PA USD 92724.67 0.1757455480 Long DBT CORP US N 2 2026-12-06 Fixed 5.63 N N N N N N Tenet Healthcare Corporation 0W9AIBT6U6ADJ2I8HK17 Tenet Healthcare Corporation 88033GCY4 178000 PA USD 165294.43 0.3132905211 Long DBT CORP US N 2 2026-01-01 Fixed 4.88 N N N N N N Tenet Healthcare Corporation 0W9AIBT6U6ADJ2I8HK17 Tenet Healthcare Corporation 88033GDA5 263000 PA USD 236407.34 0.4480742559 Long DBT CORP US N 2 2027-11-01 Fixed 5.13 N N N 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 3097687.5 NS USD 3097687.5 5.8711968150 Long STIV RF US N 1 N N 2022-11-23 PPM Funds Andrew Tedeschi Andrew Tedeschi Principal Financial Officer XXXX NPORT-EX 2 ppmfunds09302022.htm PPM FUNDS PART F - 09/30/2022 Untitled Document

PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

        
  

Shares/Par1

 

Value ($)

 

PPM Core Plus Fixed Income Fund

GOVERNMENT AND AGENCY OBLIGATIONS 45.6%

U.S. Treasury Note 20.8%

 

Treasury, United States Department of

     
 

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

 

342,000

 

310,025

 
 

1.50%, 10/31/24 - 02/15/30

 

1,466,000

 

1,305,874

 
 

2.88%, 06/15/25 - 05/15/32

 

3,342,600

 

3,111,453

 
 

2.25%, 11/15/25

 

980,000

 

922,731

 
 

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

 

1,500,000

 

1,323,555

 
 

0.88%, 09/30/26

 

200,000

 

175,969

 
 

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

 

1,245,000

 

1,069,364

 
 

0.63%, 03/31/27

 

335,000

 

287,367

 
 

2.63%, 05/31/27

 

904,000

 

848,630

 
 

1.38%, 11/15/31

 

403,000

 

327,563

 
 

1.88%, 02/15/32

 

82,000

 

69,495

 
 

2.75%, 08/15/32

 

310,000

 

283,553

 
 

10,035,579

 

Mortgage-Backed Securities 20.3%

 

Federal Home Loan Mortgage Corporation

     
 

2.00%, 04/01/36 - 03/01/52

 

914,008

 

747,885

 
 

3.50%, 08/01/37 - 04/01/50

 

558,618

 

515,197

 
 

4.00%, 10/01/45 - 10/01/52

 

483,752

 

451,674

 
 

3.00%, 11/01/46 - 05/01/52

 

281,246

 

245,786

 
 

4.50%, 11/01/48 - 08/01/52

 

183,086

 

174,598

 
 

2.50%, 05/01/50 - 11/01/51

 

515,562

 

435,711

 
 

Federal National Mortgage Association, Inc.

     
 

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

 

1,118,115

 

995,856

 
 

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

 

1,257,663

 

1,087,477

 
 

2.00%, 05/01/36 - 01/01/52

 

1,807,333

 

1,489,254

 
 

3.50%, 08/01/37 - 06/01/52

 

607,588

 

556,931

 
 

TBA, 3.00%, 10/15/37 (a)

 

275,000

 

255,148

 
 

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

 

338,222

 

317,841

 
 

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

 

274,463

 

266,020

 
 

TBA, 3.50%, 10/15/52 (a)

 

145,000

 

130,387

 
 

Government National Mortgage Association

     
 

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

 

593,490

 

528,845

 
 

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

 

474,723

 

435,995

 
 

4.00%, 07/20/47

 

133,047

 

125,774

 
 

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

 

54,992

 

53,215

 
 

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

 

558,651

 

483,303

 
 

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

 

299,018

 

249,753

 
 

TBA, 4.00%, 10/15/52 (a)

 

220,000

 

205,234

 
 

9,751,884

 

U.S. Treasury Bond 3.9%

 

Treasury, United States Department of

     
 

3.75%, 08/15/41

 

461,000

 

441,624

 
 

2.00%, 11/15/41

 

125,000

 

89,395

 
 

3.13%, 11/15/41

 

316,000

 

274,722

 
 

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

 

756,000

 

574,500

 
 

3.00%, 02/15/48

 

444,000

 

373,515

 
 

1.63%, 11/15/50

 

81,000

 

50,233

 
 

2.88%, 05/15/52

 

80,000

 

67,062

 
 

1,871,051

 

U.S. Government Agency Obligations 0.4%

 

Federal National Mortgage Association, Inc.

     
 

0.88%, 08/05/30 (b)

 

229,000

 

178,931

 

Municipal 0.2%

 

Dallas/Fort Worth International Airport

     
 

2.84%, 11/01/46

 

55,000

 

38,544

 
 

The Dormitory Authority of the State of New York

     
 

3.19%, 02/15/43

 

100,000

 

73,325

 
 

111,869

 
 

Total Government And Agency Obligations (cost $24,825,643)

21,949,314

 

CORPORATE BONDS AND NOTES 39.5%

Financials 15.5%

 

AerCap Ireland Capital Designated Activity Company

     
 

2.45%, 10/29/26

 

165,000

 

139,499

 
 

3.00%, 10/29/28

 

163,000

 

131,414

 
 

3.30%, 01/30/32

 

73,000

 

55,064

 
 

Ares Finance Co. IV LLC

     
 

3.65%, 02/01/52 (c)

 

66,000

 

41,158

 
 

Bank of America Corporation

     
 

3.56%, 04/23/27

 

65,000

 

59,998

 
 

1.73%, 07/22/27

 

103,000

 

88,362

 
 

3.59%, 07/21/28

 

90,000

 

81,204

 
 

4.95%, 07/22/28

 

170,000

 

163,491

 
 

4.27%, 07/23/29

 

333,000

 

303,628

 
 

2.59%, 04/29/31

 

100,000

 

79,445

 
 

2.30%, 07/21/32

 

140,000

 

104,758

 
 

2.68%, 06/19/41

 

65,000

 

42,014

 
 

Barclays PLC

     
 

3.56%, 09/23/35 (d)

 

95,000

 

69,896

 
 

Berkshire Hathaway Finance Corporation

     
 

2.85%, 10/15/50

 

95,000

 

61,208

 
 

BlackRock, Inc.

     
 

2.10%, 02/25/32

 

268,000

 

205,332

 
 

Blackstone Holdings Finance Co. L.L.C.

     
 

2.00%, 01/30/32 (c)

 

142,000

 

105,041

 
 

Blackstone Private Credit Fund

     
 

1.75%, 09/15/24

 

52,000

 

47,388

 
 

2.63%, 12/15/26

 

99,000

 

81,401

 
 

3.25%, 03/15/27

 

141,000

 

116,995

 
 

4.00%, 01/15/29

 

5,000

 

4,005

 
 

Blackstone Secured Lending Fund

     
 

2.85%, 09/30/28

 

135,000

 

102,383

 
 

BNP Paribas

     
 

2.59%, 08/12/35 (c) (d)

 

90,000

 

64,175

 
 

Citigroup Inc.

     
 

5.00%, (100, 09/12/24) (e)

 

83,000

 

74,426

 
 

3.52%, 10/27/28

 

131,000

 

116,941

 
 

2.67%, 01/29/31

 

224,000

 

179,230

 
 

2.57%, 06/03/31

 

72,000

 

56,726

 
 

CNO Global Funding

     
 

1.75%, 10/07/26 (c)

 

23,000

 

19,876

 
 

2.65%, 01/06/29 (c)

 

116,000

 

96,429

 
 

Cooperatieve Rabobank U.A.

     
 

3.88%, 08/22/24

 

250,000

 

245,153

 
 

Credit Suisse Group AG

     
 

5.25%, (100, 02/11/27) (c) (e)

 

130,000

 

91,718

 
 

7.50%, (100, 12/11/23) (c) (d) (e)

 

150,000

 

138,375

 
 

6.50%, 08/08/23 (c) (d)

 

75,000

 

74,100

 
 

Credit Suisse Holdings (USA), Inc.

     
 

4.75%, 08/09/24

 

350,000

 

340,836

 
 

Deutsche Bank Aktiengesellschaft

     
 

3.73%, 01/14/32 (d)

 

100,000

 

67,188

 
 

F&G Global Funding

     
 

2.00%, 09/20/28 (c)

 

120,000

 

95,803

 
 

Ford Motor Credit Company LLC

     
 

5.13%, 06/16/25

 

75,000

 

70,778

 
 

4.13%, 08/17/27

 

13,000

 

11,193

 
 

3.82%, 11/02/27

 

155,000

 

130,200

 
 

FS KKR Capital Corp.

     
 

3.40%, 01/15/26

 

102,000

 

89,969

 
 

3.13%, 10/12/28

 

90,000

 

69,854

 
 

Icahn Enterprises L.P.

     
 

4.75%, 09/15/24

 

100,000

 

93,747

 
 

Intercontinental Exchange, Inc.

     
 

4.35%, 06/15/29

 

41,000

 

38,780

 
 

4.95%, 06/15/52

 

25,000

 

22,239

 
 

JPMorgan Chase & Co.

     
 

2.01%, 03/13/26

 

132,000

 

120,886

 
 

2.07%, 06/01/29

 

114,000

 

92,550

 
 

2.74%, 10/15/30

 

215,000

 

175,026

 
 

KKR Group Finance Co. XII LLC

     
 

4.85%, 05/17/32 (c)

 

66,000

 

60,728

 
 

Lloyds Banking Group PLC

     
 

7.50%, (100, 09/27/25) (d) (e)

 

109,000

 

99,462

 
 

3.87%, 07/09/25 (d)

 

110,000

 

106,427

 
 

LSEGA Financing PLC

     
 

2.50%, 04/06/31 (c)

 

90,000

 

72,966

 
 

3.20%, 04/06/41 (c)

 

28,000

 

19,944

 
 

Morgan Stanley

     
 

0.99%, 12/10/26

 

200,000

 

172,657

 
 

3.59%, 07/22/28

 

110,000

 

99,430

 
 

3.62%, 04/01/31

 

32,000

 

27,629

 
 

2.51%, 10/20/32

 

62,000

 

47,457

 

Abbreviations and additional footnotes are defined on page 13

1


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

        
  

Shares/Par1

 

Value ($)

 
 

2.48%, 09/16/36

 

90,000

 

64,678

 
 

National Rural Utilities Cooperative Finance Corporation

     
 

4.15%, 12/15/32

 

95,000

 

86,933

 
 

NatWest Group PLC

     
 

3.07%, 05/22/28 (d)

 

124,000

 

106,234

 
 

5.52%, 09/30/28 (d)

 

41,000

 

38,947

 
 

NatWest Markets PLC

     
 

1.60%, 09/29/26 (c) (f)

 

242,000

 

205,319

 
 

New York Life Global Funding

     
 

1.85%, 08/01/31 (c)

 

119,000

 

91,734

 
 

Owl Rock Capital Corporation

     
 

3.40%, 07/15/26

 

87,000

 

74,760

 
 

The Goldman Sachs Group, Inc.

     
 

2.64%, 02/24/28

 

183,000

 

158,962

 
 

3.80%, 03/15/30

 

211,000

 

184,967

 
 

2.62%, 04/22/32

 

39,000

 

30,234

 
 

2.38%, 07/21/32

 

170,000

 

128,417

 
 

The Hartford Financial Services Group, Inc.

     
 

2.90%, 09/15/51 (f)

 

66,000

 

40,622

 
 

The Toronto-Dominion Bank

     
 

4.69%, 09/15/27 (d) (f)

 

250,000

 

241,730

 
 

Toyota Motor Credit Corporation

     
 

4.55%, 09/20/27

 

170,000

 

166,016

 
 

Transocean Poseidon Limited

     
 

6.88%, 02/01/27 (c)

 

42,875

 

39,146

 
 

U.S. Bancorp

     
 

4.97%, 07/22/33

 

73,000

 

68,481

 
 

UBS Group AG

     
 

4.99%, 08/05/33 (c) (d)

 

67,000

 

60,064

 
 

Wells Fargo & Company

     
 

4.90%, 07/25/33

 

271,000

 

249,529

 
 

Westpac Banking Corporation

     
 

2.67%, 11/15/35 (d)

 

48,000

 

35,526

 
 

7,438,881

 

Energy 4.2%

 

Antero Midstream Partners LP

     
 

5.38%, 06/15/29 (c)

 

18,000

 

15,850

 
 

Cheniere Energy Partners, L.P.

     
 

4.50%, 10/01/29

 

125,000

 

110,368

 
 

3.25%, 01/31/32

 

20,000

 

15,363

 
 

Continental Resources, Inc.

     
 

5.75%, 01/15/31 (c)

 

95,000

 

85,858

 
 

Devon Energy Corporation

     
 

5.88%, 06/15/28

 

39,000

 

39,074

 
 

4.50%, 01/15/30

 

34,000

 

31,105

 
 

Energy Transfer LP

     
 

6.50%, (100, 08/15/26) (e)

 

20,000

 

17,089

 
 

6.75%, (100, 05/15/25) (e)

 

102,000

 

88,081

 
 

7.13%, (100, 05/15/30) (e)

 

119,000

 

98,651

 
 

3.75%, 05/15/30

 

142,000

 

120,536

 
 

5.80%, 06/15/38

 

45,000

 

39,611

 
 

6.25%, 04/15/49

 

40,000

 

35,728

 
 

EQM Midstream Partners, LP

     
 

4.13%, 12/01/26

 

113,000

 

95,980

 
 

4.50%, 01/15/29 (c)

 

31,000

 

25,139

 
 

Helmerich & Payne, Inc.

     
 

2.90%, 09/29/31

 

45,000

 

35,163

 
 

Marathon Oil Corporation

     
 

4.40%, 07/15/27

 

103,000

 

96,250

 
 

ONEOK, Inc.

     
 

4.50%, 03/15/50

 

60,000

 

43,201

 
 

Pioneer Natural Resources Company

     
 

1.90%, 08/15/30

 

90,000

 

68,937

 
 

Rattler Midstream LP

     
 

5.63%, 07/15/25 (c)

 

15,000

 

15,187

 
 

Sabine Pass Liquefaction, LLC

     
 

4.20%, 03/15/28

 

300,000

 

272,946

 
 

4.50%, 05/15/30

 

80,000

 

72,901

 
 

Santos Finance Ltd

     
 

3.65%, 04/29/31 (c)

 

153,000

 

120,272

 
 

Southwestern Energy Company

     
 

4.75%, 02/01/32 (f)

 

121,000

 

101,708

 
 

Targa Resources Corp.

     
 

5.50%, 03/01/30

 

60,000

 

54,058

 
 

4.88%, 02/01/31

 

56,000

 

48,144

 
 

4.20%, 02/01/33

 

60,000

 

50,597

 
 

The Williams Companies, Inc.

     
 

4.65%, 08/15/32

 

113,000

 

102,342

 
 

Transocean Pontus Limited

     
 

6.13%, 08/01/25 (c)

 

11,200

 

10,410

 
 

Transocean Proteus Limited

     
 

6.25%, 12/01/24 (c)

 

78,750

 

74,023

 
 

Venture Global Calcasieu Pass, LLC

     
 

3.88%, 08/15/29 (c)

 

8,000

 

6,876

 
 

3.88%, 11/01/33 (c) (f)

 

51,000

 

40,384

 
 

2,031,832

 

Consumer Discretionary 3.5%

 

Amazon.com, Inc.

     
 

2.10%, 05/12/31

 

115,000

 

93,271

 
 

3.88%, 08/22/37

 

90,000

 

78,267

 
 

3.10%, 05/12/51

 

55,000

 

38,425

 
 

Booking Holdings Inc.

     
 

4.63%, 04/13/30

 

149,000

 

140,291

 
 

Carnival Corporation

     
 

4.00%, 08/01/28 (c)

 

51,000

 

41,165

 
 

Ford Motor Company

     
 

6.10%, 08/19/32

 

52,000

 

45,839

 
 

General Motors Company

     
 

5.60%, 10/15/32

 

106,000

 

94,551

 
 

General Motors Financial Company, Inc.

     
 

3.10%, 01/12/32 (f)

 

161,000

 

121,070

 
 

Hyatt Hotels Corporation

     
 

5.63%, 04/23/25 (g) (h)

 

45,000

 

44,566

 
 

Kohl's Corporation

     
 

3.38%, 05/01/31 (f) (g) (h)

 

41,000

 

25,322

 
 

Lowe`s Companies, Inc.

     
 

3.00%, 10/15/50

 

36,000

 

22,014

 
 

M.D.C. Holdings, Inc.

     
 

6.00%, 01/15/43 (h)

 

11,000

 

8,381

 
 

Macys Retail Holdings

     
 

5.88%, 03/15/30 (c) (f)

 

69,000

 

54,576

 
 

6.13%, 03/15/32 (c) (f)

 

40,000

 

30,667

 
 

Magallanes, Inc.

     
 

5.05%, 03/15/42 (c)

 

255,000

 

190,866

 
 

Mileage Plus Holdings, LLC

     
 

6.50%, 06/20/27 (c)

 

33,275

 

32,591

 
 

Newell Brands Inc.

     
 

6.38%, 09/15/27 (f)

 

52,000

 

51,479

 
 

6.63%, 09/15/29

 

55,000

 

53,752

 
 

Prosus N.V.

     
 

4.19%, 01/19/32 (c)

 

53,000

 

39,142

 
 

Resorts World Las Vegas LLC

     
 

4.63%, 04/06/31 (c) (f)

 

200,000

 

135,245

 
 

SkyMiles IP Ltd.

     
 

4.50%, 10/20/25 (c)

 

10,000

 

9,718

 
 

4.75%, 10/20/28 (c)

 

16,000

 

14,908

 
 

Toll Brothers Finance Corp.

     
 

3.80%, 11/01/29 (f)

 

160,000

 

129,928

 
 

ZF North America Capital, Inc.

     
 

4.75%, 04/29/25 (c)

 

186,000

 

168,856

 
 

1,664,890

 

Utilities 3.2%

 

Baltimore Gas and Electric Company

     
 

4.55%, 06/01/52

 

45,000

 

38,981

 
 

Commonwealth Edison Company

     
 

3.75%, 08/15/47

 

79,000

 

61,128

 
 

Consolidated Edison Company of New York, Inc.

     
 

4.20%, 03/15/42

 

57,000

 

44,878

 
 

DPL Inc.

     
 

4.13%, 07/01/25

 

47,000

 

43,482

 
 

Duke Energy Corporation

     
 

4.50%, 08/15/32

 

170,000

 

153,758

 
 

Duquesne Light Holdings, Inc.

     
 

2.53%, 10/01/30 (c)

 

61,000

 

46,967

 
 

Enel Finance International N.V.

     
 

2.25%, 07/12/31 (c)

 

93,000

 

64,964

 
 

Eversource Energy

     
 

3.38%, 03/01/32

 

80,000

 

67,496

 

Abbreviations and additional footnotes are defined on page 13

2


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

        
  

Shares/Par1

 

Value ($)

 
 

Nevada Power Company

     
 

3.70%, 05/01/29

 

140,000

 

127,795

 
 

Pacific Gas And Electric Company

     
 

3.30%, 12/01/27

 

46,000

 

38,820

 
 

3.25%, 06/01/31

 

58,000

 

44,188

 
 

5.90%, 06/15/32

 

104,000

 

94,913

 
 

4.50%, 07/01/40

 

181,000

 

131,876

 
 

Public Service Electric And Gas Company Inc.

     
 

3.10%, 03/15/32 (f)

 

36,000

 

30,667

 
 

San Diego Gas & Electric Company

     
 

1.70%, 10/01/30

 

72,000

 

55,544

 
 

2.95%, 08/15/51

 

60,000

 

39,186

 
 

Southern California Edison Company

     
 

4.13%, 03/01/48

 

46,000

 

34,213

 
 

3.65%, 02/01/50

 

67,000

 

45,953

 
 

Southwest Gas Corporation

     
 

4.05%, 03/15/32

 

50,000

 

42,150

 
 

Tampa Electric Company

     
 

3.45%, 03/15/51

 

87,000

 

61,825

 
 

The AES Corporation

     
 

3.30%, 07/15/25 (c)

 

133,000

 

122,461

 
 

Vistra Operations Company LLC

     
 

3.55%, 07/15/24 (c)

 

71,000

 

67,631

 
 

3.70%, 01/30/27 (c)

 

110,000

 

97,284

 
 

1,556,160

 

Health Care 2.9%

 

AbbVie Inc.

     
 

3.20%, 11/21/29

 

135,000

 

118,195

 
 

4.50%, 05/14/35

 

55,000

 

48,815

 
 

Amgen Inc.

     
 

3.15%, 02/21/40

 

134,000

 

96,637

 
 

4.20%, 02/22/52 (f)

 

37,000

 

29,086

 
 

Ascension Health

     
 

2.53%, 11/15/29

 

28,000

 

23,676

 
 

Bausch Health Companies Inc.

     
 

6.13%, 02/01/27 (c) (f)

 

62,000

 

43,007

 
 

Baylor Scott & White Holdings

     
 

2.84%, 11/15/50

 

54,000

 

34,549

 
 

Centene Corporation

     
 

3.00%, 10/15/30

 

168,000

 

132,708

 
 

2.50%, 03/01/31

 

285,000

 

215,643

 
 

Cigna Corporation

     
 

4.38%, 10/15/28

 

50,000

 

47,153

 
 

CVS Health Corporation

     
 

4.78%, 03/25/38

 

190,000

 

166,065

 
 

HCA Inc.

     
 

5.38%, 02/01/25

 

130,000

 

128,470

 
 

5.88%, 02/15/26

 

30,000

 

29,607

 
 

3.50%, 09/01/30

 

57,000

 

47,101

 
 

Indiana University Health, Inc.

     
 

2.85%, 11/01/51 (f)

 

51,000

 

32,844

 
 

Northwestern Memorial HealthCare

     
 

2.63%, 07/15/51

 

55,000

 

34,538

 
 

Piedmont Healthcare, Inc.

     
 

2.04%, 01/01/32

 

43,000

 

32,665

 
 

Trinity Healthcare Group Pte. Ltd.

     
 

2.63%, 12/01/40

 

11,000

 

7,507

 
 

UnitedHealth Group Incorporated

     
 

4.75%, 05/15/52

 

155,000

 

139,130

 
 

1,407,396

 

Communication Services 2.9%

 

AT&T Inc.

     
 

2.55%, 12/01/33

 

190,000

 

141,393

 
 

4.90%, 08/15/37

 

16,000

 

14,191

 
 

4.85%, 03/01/39

 

150,000

 

130,206

 
 

Charter Communications Operating, LLC

     
 

5.38%, 04/01/38

 

45,000

 

36,644

 
 

4.80%, 03/01/50

 

50,000

 

36,139

 
 

6.83%, 10/23/55

 

51,000

 

46,810

 
 

Comcast Corporation

     
 

3.75%, 04/01/40

 

35,000

 

27,467

 
 

3.40%, 07/15/46

 

50,000

 

35,186

 
 

2.89%, 11/01/51

 

65,000

 

40,777

 
 

DIRECTV Financing, LLC

     
 

5.88%, 08/15/27 (c)

 

37,000

 

31,971

 
 

Meta Platforms, Inc.

     
 

3.85%, 08/15/32 (c)

 

130,000

 

114,542

 
 

4.45%, 08/15/52 (c)

 

130,000

 

106,199

 
 

Netflix, Inc.

     
 

5.88%, 11/15/28

 

90,000

 

87,416

 
 

The Walt Disney Company

     
 

4.63%, 03/23/40

 

80,000

 

72,015

 
 

T-Mobile USA, Inc.

     
 

2.63%, 04/15/26

 

236,000

 

213,385

 
 

Verizon Communications Inc.

     
 

4.33%, 09/21/28

 

105,000

 

98,768

 
 

3.15%, 03/22/30

 

130,000

 

110,391

 
 

2.55%, 03/21/31

 

74,000

 

59,119

 
 

1,402,619

 

Consumer Staples 2.8%

 

Anheuser-Busch Companies, LLC

     
 

4.70%, 02/01/36

 

200,000

 

180,309

 
 

Anheuser-Busch InBev Worldwide Inc.

     
 

5.45%, 01/23/39

 

141,000

 

132,922

 
 

B. A. T. Capital Corporation

     
 

4.39%, 08/15/37

 

45,000

 

32,103

 
 

3.73%, 09/25/40

 

55,000

 

35,299

 
 

JBS USA Food Company

     
 

5.50%, 01/15/30 (c)

 

50,000

 

46,180

 
 

3.63%, 01/15/32 (c)

 

94,000

 

73,952

 
 

5.75%, 04/01/33 (c)

 

112,000

 

101,316

 
 

6.50%, 12/01/52 (c)

 

170,000

 

150,811

 
 

Kraft Heinz Foods Company

     
 

4.63%, 10/01/39

 

20,000

 

16,498

 
 

Mars, Incorporated

     
 

3.88%, 04/01/39 (c)

 

200,000

 

164,873

 
 

Northwestern University

     
 

2.64%, 12/01/50

 

38,000

 

25,311

 
 

Pilgrim's Pride Corporation

     
 

3.50%, 03/01/32 (c)

 

180,000

 

135,759

 
 

Safeway Inc.

     
 

3.50%, 02/15/23 (c) (f)

 

100,000

 

99,110

 
 

The Trustees of Princeton University

     
 

4.20%, 03/01/52

 

78,000

 

70,387

 
 

University of Washington

     
 

4.35%, 04/15/22

 

76,000

 

58,858

 
 

1,323,688

 

Industrials 2.5%

 

Air Canada

     
 

3.88%, 08/15/26 (c)

 

35,000

 

30,031

 
 

Aircastle Limited

     
 

5.25%, 08/11/25 (c)

 

108,000

 

101,837

 
 

American Airlines, Inc.

     
 

5.50%, 04/20/26 (c)

 

31,000

 

29,133

 
 

5.75%, 04/20/29 (c)

 

11,000

 

9,600

 
 

Ardagh Packaging Finance Public Limited Company

     
 

4.13%, 08/15/26 (c)

 

165,000

 

137,255

 
 

Burlington Northern Santa FE, LLC

     
 

4.45%, 01/15/53

 

117,000

 

101,385

 
 

Delta Air Lines, Inc.

     
 

7.00%, 05/01/25 (c)

 

134,000

 

135,005

 
 

General Electric Company

     
 

6.62%, (3 Month USD LIBOR + 3.33%), (100, 12/15/22) (e) (i)

 

419,000

 

394,023

 
 

NAC Aviation 29 Designated Activity Company

     
 

4.75%, 06/30/26

 

68,901

 

57,739

 
 

Siemens Financieringsmaatschappij N.V.

     
 

2.15%, 03/11/31 (c)

 

46,000

 

36,685

 
 

The Boeing Company

     
 

5.15%, 05/01/30 (h)

 

160,000

 

147,858

 
 

United Airlines Pass Through Certificates, Series 2015-1

     
 

4.63%, 04/15/29 (c)

 

37,000

 

30,725

 
 

1,211,276

 

Abbreviations and additional footnotes are defined on page 13

3


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

        
  

Shares/Par1

 

Value ($)

 

Real Estate 0.9%

 

EPR Properties

     
 

3.60%, 11/15/31

 

61,000

 

43,574

 
 

Essential Properties, L.P.

     
 

2.95%, 07/15/31

 

78,000

 

57,248

 
 

GLP Financing, LLC

     
 

5.75%, 06/01/28

 

15,000

 

14,102

 
 

3.25%, 01/15/32

 

37,000

 

27,761

 
 

Sun Communities Operating Limited Partnership

     
 

2.30%, 11/01/28

 

65,000

 

52,195

 
 

2.70%, 07/15/31

 

57,000

 

43,013

 
 

VICI Properties Inc.

     
 

4.25%, 12/01/26 (c)

 

55,000

 

49,400

 
 

3.75%, 02/15/27 (c) (f)

 

63,000

 

55,083

 
 

4.13%, 08/15/30 (c)

 

94,000

 

78,465

 
 

420,841

 

Materials 0.6%

 

Anglo American Capital PLC

     
 

2.63%, 09/10/30 (c)

 

50,000

 

38,609

 
 

Celanese US Holdings LLC

     
 

6.33%, 07/15/29 (h)

 

115,000

 

107,371

 
 

Glencore Funding LLC

     
 

4.88%, 03/12/29 (c)

 

75,000

 

69,061

 
 

Ineos Quattro Finance 2 PLC

     
 

3.38%, 01/15/26 (c)

 

110,000

 

91,635

 
 

306,676

 

Information Technology 0.5%

 

Apple Inc.

     
 

2.70%, 08/05/51

 

28,000

 

18,497

 
 

Broadcom Inc.

     
 

3.47%, 04/15/34 (c)

 

60,000

 

45,075

 
 

Dell International L.L.C.

     
 

8.35%, 07/15/46 (h)

 

25,000

 

27,034

 
 

Microsoft Corporation

     
 

3.50%, 02/12/35

 

90,000

 

80,796

 
 

VMware, Inc.

     
 

2.20%, 08/15/31

 

76,000

 

55,170

 
 

226,572

 
 

Total Corporate Bonds And Notes (cost $22,403,206)

18,990,831

 

NON-U.S. GOVERNMENT AGENCY ASSET-BACKED SECURITIES 11.2%

 

Air Canada

     
 

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

 

21,909

 

20,543

 
 

Alaska Air Pass Through Trust 2020-1A

     
 

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

 

79,263

 

74,717

 
 

American Airlines, Inc.

     
 

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

 

148,400

 

128,864

 
 

American Tower Trust #1

     
 

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

 

265,000

 

263,009

 
 

Americredit Automobile Receivables Trust 2019-3

     
 

Series 2019-B-3, 2.13%, 07/18/25

 

216,777

 

216,376

 
 

Avid Automobile Receivables Trust 2021-1

     
 

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

 

16,755

 

16,705

 
 

BX Trust 2022-PSB

     
 

Series 2022-A-PSB, REMIC, 4.76%, 08/15/39

 

157,000

 

156,639

 
 

Capital One Prime Auto Receivables Trust 2022-2

     
 

Series 2022-A2A-2, 3.74%, 09/15/25

 

246,000

 

244,686

 
 

CCG Receivables Trust 2019-2

     
 

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

 

6,695

 

6,678

 
 

CCG Receivables Trust 2021-2

     
 

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

 

204,444

 

194,760

 
 

Chase Issuance Trust

     
 

Series 2022-A-A1, 3.97%, 09/15/25

 

160,000

 

156,973

 
 

CIM Trust 2021-J2

     
 

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

 

151,394

 

120,524

 
 

CNH Equipment Trust 2022-A

     
 

Series 2022-A2-A, 2.39%, 01/16/24

 

150,000

 

147,074

 
 

CNH Equipment Trust 2022-B

     
 

Series 2022-A2-B, 3.94%, 12/15/25

 

181,000

 

179,511

 
 

COMM 2014-UBS3 Mortgage Trust

     
 

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

 

49,000

 

47,455

 
 

Dell Equipment Finance Trust 2022-1

     
 

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

 

84,000

 

82,957

 
 

DLLAA 2021-1 LLC

     
 

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

 

190,000

 

178,813

 
 

DLLMT 2021-1 LLC

     
 

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

 

223,000

 

210,411

 
 

DLLST 2022-1 LLC

     
 

Series 2022-A3-1A, 3.40%, 01/21/25

 

102,662

 

99,591

 
 

First Investors Auto Owner Trust 2021-1

     
 

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

 

34,594

 

34,168

 
 

First Investors Auto Owner Trust 2021-2

     
 

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

 

69,910

 

67,957

 
 

GM Financial Automobile Leasing Trust 2022-3

     
 

Series 2022-A2A-3, 4.01%, 01/22/24

 

143,000

 

142,349

 
 

GM Financial Consumer Automobile Receivables Trust 2021-4

     
 

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

 

85,000

 

77,325

 
 

GM Financial Consumer Automobile Receivables Trust 2022-2

     
 

Series 2022-A3-2, 3.10%, 02/16/27

 

104,000

 

100,819

 
 

Series 2022-B-2, 3.77%, 04/17/28

 

107,000

 

102,637

 
 

Grace Trust

     
 

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

 

177,000

 

138,676

 
 

Hilton Grand Vacations Trust 2019-A

     
 

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

 

54,288

 

52,050

 
 

Hilton Grand Vacations Trust 2020-A

     
 

Series 2020-A-AA, 2.74%, 02/25/39

 

62,613

 

59,416

 
 

Honda Auto Receivables 2022-2 Owner Trust

     
 

Series 2022-A2-2, 3.81%, 03/18/24

 

126,000

 

125,253

 
 

Hudson Yards 2019-30HY Mortgage Trust

     
 

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

 

150,000

 

129,102

 
 

Hyundai Auto Lease Securitization Trust 2021-B

     
 

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

 

265,000

 

258,494

 
 

Hyundai Auto Lease Securitization Trust 2022-C

     
 

Series 2022-A3-C, 4.38%, 12/16/24

 

100,000

 

99,001

 
 

Hyundai Auto Receivables Trust 2021-C

     
 

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

 

53,000

 

48,199

 
 

J.P. Morgan Mortgage Trust 2022-4

     
 

Series 2022-A3-4, REMIC, 3.00%, 09/25/43 (i)

 

179,249

 

148,161

 
 

Kubota Credit Owner Trust 2020-1

     
 

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

 

100,000

 

95,267

 
 

Manhattan West 2020-OMW Mortgage Trust

     
 

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

 

201,074

 

168,500

 
 

OPG Trust 2021-PORT

     
 

Series 2021-A-PORT, REMIC, 2.87%, (1 Month USD LIBOR + 0.48%), 10/16/23 (i)

 

113,087

 

106,977

 
 

Prestige Auto Receivables Trust 2021-1

     
 

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

 

266,000

 

259,570

 
 

Santander Retail Auto Lease Trust 2021-B

     
 

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

 

101,000

 

97,638

 
 

Sequoia Mortgage Trust 2020-4

     
 

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

 

82,859

 

66,482

 
 

United Airlines, Inc.

     
 

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

 

41,777

 

39,532

 
 

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

 

37,458

 

35,363

 
 

Verizon Master Trust

     
 

Series 2022-A1A-5, 3.72%, 01/22/24 (g)

 

114,000

 

112,847

 
 

Wells Fargo Commercial Mortgage Trust 2017-C38

     
 

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

 

57,000

 

51,002

 
 

Wells Fargo Mortgage Backed Securities Trust

     
 

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

 

40,105

 

34,373

 
 

Westlake Automobile Receivables Trust 2021-3

     
 

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

 

192,000

 

186,623

 
 

Total Non-U.S. Government Agency Asset-Backed Securities (cost $5,701,508)

5,384,067

 

SENIOR FLOATING RATE INSTRUMENTS 2.1%

Consumer Discretionary 0.8%

 

Adient US LLC

     
 

2021 Term Loan B, 5.77%, (1 Month USD LIBOR + 3.25%), 04/30/28 (i)

 

78,196

 

73,651

 
 

Caesars Resort Collection, LLC

     
 

2020 Term Loan B1, 6.02%, (1 Month USD LIBOR + 3.50%), 06/19/25 (i)

 

45,966

 

45,223

 

Abbreviations and additional footnotes are defined on page 13

4


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

        
  

Shares/Par1

 

Value ($)

 
 

Flutter Entertainment Public Limited Company

     
 

Term Loan, 0.00%, (SOFR + 3.25%), 07/04/28 (i) (j)

 

10,000

 

9,748

 
 

Marriott Ownership Resorts, Inc.

     
 

2019 Term Loan B, 4.27%, (1 Month USD LIBOR + 1.75%), 08/29/25 (i)

 

100,000

 

95,000

 
 

PCI Gaming Authority

     
 

Term Loan, 5.02%, (1 Month USD LIBOR + 2.50%), 05/15/26 (i)

 

109,653

 

106,363

 
 

UFC Holdings, LLC

     
 

2021 Term Loan B, 5.52%, (3 Month USD LIBOR + 2.75%), 04/29/26 (i)

 

52,887

 

50,727

 
 

380,712

 

Industrials 0.6%

 

Air Canada

     
 

2021 Term Loan B, 6.42%, (3 Month USD LIBOR + 3.50%), 07/27/28 (i)

 

23,940

 

22,722

 
 

American Airlines, Inc.

     
 

2021 Term Loan, 7.46%, (3 Month USD LIBOR + 4.75%), 03/10/28 (i)

 

21,000

 

20,307

 
 

Berry Global, Inc.

     
 

2021 Term Loan Z, 4.18%, (3 Month USD LIBOR + 1.75%), 07/01/26 (i)

 

116,169

 

112,330

 
 

Cimpress Public Limited Company

     
 

USD Term Loan B, 6.02%, (1 Month USD LIBOR + 3.50%), 04/29/28 (i)

 

35,848

 

32,802

 
 

Genesee & Wyoming Inc. (New)

     
 

Term Loan, 4.25%, (3 Month USD LIBOR + 2.00%), 10/29/26 (i)

 

49,725

 

48,267

 
 

Hertz Corporation, (The)

     
 

2021 Term Loan B, 5.78%, (1 Month USD LIBOR + 3.25%), 06/11/28 (i)

 

10,619

 

10,028

 
 

2021 Term Loan C, 5.78%, (1 Month USD LIBOR + 3.25%), 06/11/28 (i)

 

2,027

 

1,914

 
 

INEOS Styrolution US Holding LLC

     
 

2021 USD Term Loan B, 5.27%, (1 Month USD LIBOR + 2.75%), 01/21/26 (i)

 

26,662

 

24,807

 
 

273,177

 

Communication Services 0.4%

 

CenturyLink, Inc.

     
 

2020 Term Loan B, 4.77%, (1 Month USD LIBOR + 2.25%), 03/15/27 (i)

 

97,250

 

88,270

 
 

CSC Holdings, LLC

     
 

2017 Term Loan B1, 5.07%, (1 Month USD LIBOR + 2.25%), 07/15/25 (i)

 

42,744

 

40,634

 
 

DirecTV Financing, LLC

     
 

Term Loan, 7.52%, (1 Month USD LIBOR + 5.00%), 07/22/27 (i)

 

33,052

 

30,709

 
 

Nexstar Broadcasting, Inc.

     
 

2019 Term Loan B4, 5.02%, (1 Month USD LIBOR + 2.50%), 06/13/26 (i)

 

44,063

 

43,386

 
 

202,999

 

Information Technology 0.1%

 

Peraton Corp.

     
 

Term Loan B, 6.27%, (1 Month USD LIBOR + 3.75%), 02/22/28 (i)

 

68,607

 

64,902

 

Materials 0.1%

 

Sylvamo Corporation

     
 

Term Loan B, 7.02%, (1 Month USD LIBOR + 4.50%), 08/18/28 (i)

 

52,683

 

50,510

 

Energy 0.1%

 

Traverse Midstream Partners LLC

     
 

2017 Term Loan, 5.95%, (3 Month Term SOFR + 4.25%), 09/22/24 (i)

 

28,248

 

27,542

 
 

Total Senior Floating Rate Instruments (cost $1,044,387)

999,842

 

COMMON STOCKS 0.1%

Financials 0.1%

 

Nordic Aviation Capital Designated Activity Company (k) (l)

 

1,215

 

24,300

 
 

Total Common Stocks (cost $30,702)

24,300

 

SHORT TERM INVESTMENTS 5.1%

Securities Lending Collateral 2.8%

 

State Street Navigator Securities Lending Government Money Market Portfolio, 3.07% (m)

 

1,361,858

 

1,361,858

 

Investment Companies 2.3%

 

State Street U.S. Government Money Market Fund - Premier Class, 2.90% (m)

 

1,094,902

 

1,094,902

 
 

Total Short Term Investments (cost $2,456,760)

2,456,760

 

Total Investments 103.6% (cost $56,462,206)

 

49,805,114

 

Other Derivative Instruments(0.0)%

 

(15,688)

 

Other Assets and Liabilities, Net (3.6)%

 

(1,705,732)

 

Total Net Assets 100.0%

 

48,083,694

 

(a) All or a portion of the security was purchased on a delayed delivery basis. As of September 30, 2022, the total payable for investments purchased on a delayed delivery basis was $614,776.

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

(c) Security is exempt from registration under the Securities Act of 1933, as amended. As of September 30, 2022, the value and the percentage of net assets of these securities was $4,792,935 and 10.0% of the Fund.

(d) Convertible security.

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

(f) All or a portion of the security was on loan as of September 30, 2022.

(g) 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 September 30, 2022.

(h) 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 September 30, 2022.

(i) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of September 30, 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.

(j) This senior floating rate interest will settle after September 30, 2022. If a reference rate and spread is presented, it will go into effect upon settlement.

(k) Non-income producing security.

(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) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of September 30, 2022.

                

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

 

21

 

December 2022

  

2,465,157

 

(8,203)

  

(111,844)

 

United States 2 Year Note

 

5

 

January 2023

  

1,043,709

 

(742)

  

(16,756)

 

Abbreviations and additional footnotes are defined on page 13

5


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

                

PPM Core Plus Fixed Income Fund — Futures Contracts (continued)

Reference Entity

 

Contracts1

 

Expiration

 

Notional1

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

United States 5 Year Note

 

5

 

January 2023

  

553,330

 

(1,328)

  

(15,791)

 

United States Long Bond

 

12

 

December 2022

  

1,635,368

 

(7,875)

  

(118,494)

 

United States Ultra Bond

 

11

 

December 2022

  

1,632,122

 

(16,040)

  

(125,121)

 
         

(34,188)

  

(388,006)

 

Short Contracts

United States 10 Year Ultra Bond

 

(37)

 

December 2022

  

(4,650,578)

 

18,500

  

266,656

 
              

Abbreviations and additional footnotes are defined on page 13

6


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

        
  

Shares/Par1

 

Value ($)

 

PPM High Yield Core Fund

CORPORATE BONDS AND NOTES 91.7%

Consumer Discretionary 17.6%

 

Bath & Body Works, Inc.

     
 

7.50%, 06/15/29

 

140,000

 

128,100

 
 

6.88%, 11/01/35

 

165,000

 

137,837

 
 

Beazer Homes USA, Inc.

     
 

6.75%, 03/15/25

 

75,000

 

69,596

 
 

Boyd Gaming Corporation

     
 

4.75%, 06/15/31 (a) (b)

 

241,000

 

195,128

 
 

Carnival Corporation

     
 

7.63%, 03/01/26 (b)

 

248,000

 

188,480

 
 

5.75%, 03/01/27 (b)

 

316,000

 

221,568

 
 

9.88%, 08/01/27 (b)

 

105,000

 

102,900

 
 

4.00%, 08/01/28 (b)

 

40,000

 

32,286

 
 

CDI Escrow Issuer Inc

     
 

5.75%, 04/01/30 (b)

 

228,000

 

199,446

 
 

Churchill Downs Incorporated

     
 

4.75%, 01/15/28 (b)

 

45,000

 

39,117

 
 

Clarios Global LP

     
 

8.50%, 05/15/27 (a) (b)

 

230,000

 

219,821

 
 

Dana Incorporated

     
 

5.38%, 11/15/27

 

43,000

 

36,433

 
 

5.63%, 06/15/28

 

93,000

 

77,488

 
 

4.25%, 09/01/30

 

13,000

 

9,557

 
 

4.50%, 02/15/32

 

140,000

 

101,397

 
 

Eldorado Resorts, Inc.

     
 

6.25%, 07/01/25 (b)

 

195,000

 

187,931

 
 

8.13%, 07/01/27 (a) (b)

 

186,000

 

177,902

 
 

Ford Motor Company

     
 

4.35%, 12/08/26 (a)

 

72,000

 

66,082

 
 

6.63%, 10/01/28

 

83,000

 

81,155

 
 

9.63%, 04/22/30

 

64,000

 

71,073

 
 

5.29%, 12/08/46

 

62,000

 

43,961

 
 

General Motors Company

     
 

5.60%, 10/15/32

 

226,000

 

201,590

 
 

Guitar Center Escrow Issuer II, Inc.

     
 

8.50%, 01/15/26 (b)

 

200,000

 

177,423

 
 

Hawaiian Brand Intellectual Property, Ltd.

     
 

5.75%, 01/20/26 (b)

 

330,000

 

291,617

 
 

Hilton Grand Vacations Borrower LLC

     
 

5.00%, 06/01/29 (b)

 

201,000

 

162,157

 
 

4.88%, 07/01/31 (b)

 

242,000

 

184,871

 
 

IHOL Verwaltungs GmbH

     
 

6.00%, 05/15/27 (b) (c)

 

88,000

 

77,221

 
 

6.38%, 05/15/29 (b) (c)

 

96,000

 

83,166

 
 

International Game Technology PLC

     
 

4.13%, 04/15/26 (b)

 

52,000

 

47,491

 
 

5.25%, 01/15/29 (b)

 

202,000

 

179,377

 
 

IRB Holding Corp.

     
 

7.00%, 06/15/25 (b)

 

101,000

 

100,559

 
 

Jacobs Entertainment, Inc.

     
 

6.75%, 02/15/29 (b)

 

331,000

 

284,291

 
 

Jaguar Land Rover Automotive PLC

     
 

5.63%, 02/01/23 (b)

 

111,000

 

108,502

 
 

7.75%, 10/15/25 (b)

 

145,000

 

134,248

 
 

5.88%, 01/15/28 (b)

 

60,000

 

42,198

 
 

5.50%, 07/15/29 (b)

 

240,000

 

166,993

 
 

KB Home

     
 

4.80%, 11/15/29

 

191,000

 

154,225

 
 

7.25%, 07/15/30

 

56,000

 

50,848

 
 

Life Time, Inc.

     
 

5.75%, 01/15/26 (b)

 

142,000

 

129,775

 
 

8.00%, 04/15/26 (b)

 

145,000

 

123,961

 
 

Lions Gate Capital Holdings LLC

     
 

5.50%, 04/15/29 (b)

 

251,000

 

187,024

 
 

Macys Retail Holdings

     
 

5.88%, 03/15/30 (b)

 

130,000

 

102,825

 
 

6.13%, 03/15/32 (a) (b)

 

193,000

 

147,968

 
 

Majordrive Holdings IV, LLC

     
 

6.38%, 06/01/29 (b)

 

216,000

 

149,736

 
 

Marriott Ownership Resorts, Inc.

     
 

4.75%, 01/15/28

 

76,000

 

63,460

 
 

MCE Finance Limited

     
 

5.38%, 12/04/29 (b)

 

198,000

 

121,707

 
 

Midwest Gaming Borrower, LLC

     
 

4.88%, 05/01/29 (b)

 

180,000

 

148,410

 
 

Mileage Plus Holdings, LLC

     
 

6.50%, 06/20/27 (b)

 

166,300

 

162,883

 
 

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

     
 

3.63%, 06/28/31 (b)

 

118,000

 

79,809

 
 

Newell Brands Inc.

     
 

6.63%, 09/15/29

 

90,000

 

87,958

 
 

NMG Holding Company, Inc.

     
 

7.13%, 04/01/26 (b)

 

290,000

 

268,035

 
 

Nordstrom, Inc.

     
 

4.00%, 03/15/27

 

84,000

 

70,381

 
 

PetSmart, Inc.

     
 

7.75%, 02/15/29 (b)

 

145,000

 

129,671

 
 

PM General Purchaser LLC

     
 

9.50%, 10/01/28 (b)

 

211,000

 

176,796

 
 

QVC, Inc.

     
 

5.45%, 08/15/34

 

140,000

 

86,052

 
 

Royal Caribbean Cruises Ltd.

     
 

10.88%, 06/01/23 (b)

 

177,000

 

180,881

 
 

9.13%, 06/15/23 (b)

 

240,000

 

245,121

 
 

4.25%, 07/01/26 (b)

 

124,000

 

91,544

 
 

5.50%, 04/01/28 (b)

 

43,000

 

30,228

 
 

Scientific Games International, Inc.

     
 

7.00%, 05/15/28 (b)

 

91,000

 

85,730

 
 

Seaworld Entertainment, Inc.

     
 

5.25%, 08/15/29 (b)

 

186,000

 

154,893

 
 

Shea Homes Limited Partnership, A California Limited Partnership

     
 

4.75%, 02/15/28 - 04/01/29 (b)

 

159,000

 

128,655

 
 

SkyMiles IP Ltd.

     
 

4.75%, 10/20/28 (b)

 

42,000

 

39,135

 
 

Staples, Inc.

     
 

7.50%, 04/15/26 (b)

 

149,000

 

125,096

 
 

Tenneco Inc.

     
 

7.88%, 01/15/29 (b)

 

50,000

 

49,521

 
 

5.13%, 04/15/29 (b)

 

470,000

 

465,258

 
 

TKC Holdings, Inc.

     
 

6.88%, 05/15/28 (b)

 

97,000

 

79,249

 
 

10.50%, 05/15/29 (b)

 

150,000

 

114,982

 
 

Travel + Leisure Co.

     
 

6.63%, 07/31/26 (b)

 

101,000

 

95,015

 
 

6.00%, 04/01/27 (d) (e)

 

65,000

 

58,709

 
 

4.50%, 12/01/29 (b)

 

124,000

 

96,205

 
 

4.63%, 03/01/30 (b)

 

95,000

 

75,650

 
 

ZF North America Capital, Inc.

     
 

4.75%, 04/29/25 (b)

 

86,000

 

78,073

 
 

9,264,431

 

Communication Services 16.6%

 

Advantage Sales & Marketing Inc.

     
 

6.50%, 11/15/28 (b)

 

193,000

 

152,783

 
 

Altice France

     
 

6.00%, 02/15/28 (a) (b)

 

69,000

 

44,242

 
 

Altice France Holding S.A.

     
 

5.50%, 01/15/28 - 10/15/29 (b)

 

398,000

 

304,670

 
 

5.13%, 07/15/29 (b)

 

172,000

 

128,546

 
 

AMC Entertainment Holdings, Inc.

     
 

10.00%, 06/15/26 (b) (c) (d)

 

68,000

 

46,417

 
 

7.50%, 02/15/29 (b)

 

205,000

 

159,361

 
 

Arches Buyer Inc.

     
 

6.13%, 12/01/28 (a) (b)

 

19,000

 

14,605

 
 

CCO Holdings, LLC

     
 

5.13%, 05/01/27 (b)

 

108,000

 

97,472

 
 

5.38%, 06/01/29 (b)

 

408,000

 

357,773

 
 

4.25%, 02/01/31 - 01/15/34 (b)

 

293,000

 

220,231

 
 

4.75%, 02/01/32 (b)

 

209,000

 

163,094

 
 

4.50%, 05/01/32

 

111,000

 

84,604

 
 

Clear Channel International B.V.

     
 

6.63%, 08/01/25 (b)

 

85,000

 

79,055

 
 

Clear Channel Outdoor Holdings, Inc.

     
 

7.75%, 04/15/28 (a) (b)

 

129,000

 

96,654

 
 

7.50%, 06/01/29 (a) (b)

 

264,000

 

191,770

 

Abbreviations and additional footnotes are defined on page 13

7


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

        
  

Shares/Par1

 

Value ($)

 
 

Connect Finco SARL

     
 

6.75%, 10/01/26 (b)

 

60,000

 

52,434

 
 

CSC Holdings, LLC

     
 

5.25%, 06/01/24

 

85,000

 

78,917

 
 

5.38%, 02/01/28 (b)

 

448,000

 

390,773

 
 

7.50%, 04/01/28 (b)

 

210,000

 

171,454

 
 

4.50%, 11/15/31 (b)

 

137,000

 

102,932

 
 

Cumulus Media New Holdings Inc.

     
 

6.75%, 07/01/26 (a) (b)

 

93,000

 

78,722

 
 

Diamond Sports Group, LLC

     
 

5.38%, 08/15/26 (b)

 

93,000

 

18,469

 
 

6.63%, 08/15/27 (b)

 

113,000

 

7,721

 
 

DIRECTV Financing, LLC

     
 

5.88%, 08/15/27 (b)

 

249,000

 

215,154

 
 

DISH DBS Corporation

     
 

7.75%, 07/01/26

 

204,000

 

156,447

 
 

5.25%, 12/01/26 (b)

 

102,000

 

84,188

 
 

Frontier Communications Holdings, LLC

     
 

8.75%, 05/15/30 (b)

 

118,000

 

118,204

 
 

Frontier Communications Parent, Inc.

     
 

5.88%, 10/15/27 (b)

 

13,000

 

11,667

 
 

5.00%, 05/01/28 (b)

 

93,000

 

79,772

 
 

6.75%, 05/01/29 (b)

 

202,000

 

166,698

 
 

Gray Television, Inc.

     
 

5.38%, 11/15/31 (b)

 

314,000

 

246,178

 
 

Hughes Satellite Systems Corporation

     
 

6.63%, 08/01/26

 

82,000

 

74,974

 
 

iHeartCommunications, Inc.

     
 

6.38%, 05/01/26

 

38,565

 

35,779

 
 

8.38%, 05/01/27 (a)

 

246,651

 

207,716

 
 

5.25%, 08/15/27 (b)

 

120,000

 

102,286

 
 

4.75%, 01/15/28 (b)

 

50,000

 

41,670

 
 

Iliad Holding

     
 

7.00%, 10/15/28 (b)

 

298,000

 

255,499

 
 

LCPR Senior Secured Financing Designated Activity Company

     
 

6.75%, 10/15/27 (b)

 

467,000

 

387,739

 
 

5.13%, 07/15/29 (b)

 

220,000

 

167,427

 
 

Level 3 Financing, Inc.

     
 

4.25%, 07/01/28 (b)

 

186,000

 

145,327

 
 

3.63%, 01/15/29 (b)

 

140,000

 

103,742

 
 

Liberty Media Corporation

     
 

8.25%, 02/01/30

 

245,000

 

158,025

 
 

Lumen Technologies Inc.

     
 

5.13%, 12/15/26 (b)

 

152,000

 

131,301

 
 

7.60%, 09/15/39

 

24,000

 

16,248

 
 

Midas Opco Holdings LLC

     
 

5.63%, 08/15/29 (b)

 

520,000

 

427,848

 
 

News Corporation

     
 

3.88%, 05/15/29 (b)

 

89,000

 

75,538

 
 

5.13%, 02/15/32 (b)

 

59,000

 

52,262

 
 

Radiate HoldCo, LLC

     
 

6.50%, 09/15/28 (b)

 

367,000

 

254,667

 
 

Sirius XM Radio Inc.

     
 

5.00%, 08/01/27 (b)

 

59,000

 

54,138

 
 

3.88%, 09/01/31 (b)

 

184,000

 

143,032

 
 

Sprint Capital Corporation

     
 

6.88%, 11/15/28

 

94,000

 

96,611

 
 

Sprint Corporation

     
 

7.88%, 09/15/23

 

25,000

 

25,349

 
 

7.13%, 06/15/24

 

331,000

 

336,459

 
 

7.63%, 03/01/26

 

25,000

 

25,939

 
 

Telecom Italia Capital

     
 

6.00%, 09/30/34

 

97,000

 

72,347

 
 

Telecom Italia SPA

     
 

5.30%, 05/30/24 (b)

 

85,000

 

80,225

 
 

Telenet Finance Luxembourg Notes S.A R.L.

     
 

5.50%, 03/01/28 (b)

 

200,000

 

175,000

 
 

Telesat Canada

     
 

5.63%, 12/06/26 (b)

 

193,000

 

92,725

 
 

6.50%, 10/15/27 (b)

 

201,000

 

74,791

 
 

Terrier Media Buyer, Inc.

     
 

8.88%, 12/15/27 (b)

 

414,000

 

316,386

 
 

T-Mobile USA, Inc.

     
 

3.38%, 04/15/29

 

149,000

 

128,686

 
 

Townsquare Media, Inc.

     
 

6.88%, 02/01/26 (b)

 

54,000

 

49,519

 
 

Virgin Media Secured Finance PLC

     
 

4.50%, 08/15/30 (b)

 

287,000

 

224,580

 
 

VMED O2 UK Financing I PLC

     
 

4.75%, 07/15/31 (b)

 

143,000

 

111,373

 
 

8,766,215

 

Energy 15.4%

 

Aethon United BR LP

     
 

8.25%, 02/15/26 (b)

 

272,000

 

262,950

 
 

Antero Midstream Partners LP

     
 

7.88%, 05/15/26 (b)

 

90,000

 

90,518

 
 

5.75%, 03/01/27 (b)

 

143,000

 

132,222

 
 

5.38%, 06/15/29 (b)

 

269,000

 

236,871

 
 

Ascent Resources - Utica, LLC

     
 

7.00%, 11/01/26 (b)

 

359,000

 

346,335

 
 

Baytex Energy Corp.

     
 

8.75%, 04/01/27 (a) (b)

 

129,000

 

129,685

 
 

Bip-V Chinook

     
 

5.50%, 06/15/31 (b)

 

301,000

 

254,905

 
 

Blue Racer Midstream, LLC

     
 

7.63%, 12/15/25 (b)

 

106,000

 

102,227

 
 

6.63%, 07/15/26 (b)

 

57,000

 

53,302

 
 

Buckeye Partners, L.P.

     
 

5.85%, 11/15/43

 

120,000

 

90,396

 
 

5.60%, 10/15/44

 

19,000

 

13,868

 
 

Callon Petroleum Company

     
 

6.38%, 07/01/26

 

316,000

 

284,802

 
 

7.50%, 06/15/30 (b)

 

28,000

 

24,533

 
 

Citgo Petroleum Corporation

     
 

7.00%, 06/15/25 (b)

 

146,000

 

139,462

 
 

6.38%, 06/15/26 (b)

 

266,000

 

249,033

 
 

Colgate Energy Partners III, LLC

     
 

5.88%, 07/01/29 (b)

 

199,000

 

177,751

 
 

DT Midstream, Inc.

     
 

4.38%, 06/15/31 (b)

 

26,000

 

21,440

 
 

Earthstone Energy Holdings, LLC

     
 

8.00%, 04/15/27 (b)

 

170,000

 

160,210

 
 

Endeavor Energy Resources, L.P.

     
 

5.75%, 01/30/28 (b)

 

93,000

 

88,464

 
 

Energean Israel Finance Ltd

     
 

4.88%, 03/30/26 (f)

 

397,000

 

350,352

 
 

Energy Transfer LP

     
 

6.50%, (100, 08/15/26) (g)

 

30,000

 

25,634

 
 

6.75%, (100, 05/15/25) (g)

 

106,000

 

91,536

 
 

7.13%, (100, 05/15/30) (g)

 

62,000

 

51,398

 
 

EQM Midstream Partners, LP

     
 

4.13%, 12/01/26

 

163,000

 

138,449

 
 

7.50%, 06/01/27 (b)

 

84,000

 

80,241

 
 

6.50%, 07/01/27 (b)

 

104,000

 

96,498

 
 

4.50%, 01/15/29 (b)

 

237,000

 

192,194

 
 

4.75%, 01/15/31 (b)

 

128,000

 

101,592

 
 

Hilcorp Energy I, L.P.

     
 

6.25%, 11/01/28 - 04/15/32 (b)

 

357,000

 

326,584

 
 

5.75%, 02/01/29 (b)

 

61,000

 

53,831

 
 

6.00%, 04/15/30 (b)

 

76,000

 

67,042

 
 

Husky Energy Inc.

     
 

13.00%, 02/15/25 (b) (c)

 

297,000

 

279,680

 
 

ITT Holdings LLC

     
 

6.50%, 08/01/29 (b)

 

313,000

 

243,798

 
 

Kinetik Holdings LP

     
 

5.88%, 06/15/30 (b)

 

182,000

 

166,565

 
 

Murphy Oil Corporation

     
 

5.75%, 08/15/25

 

35,000

 

34,133

 
 

5.88%, 12/01/27

 

187,000

 

175,071

 
 

Nabors Industries Ltd

     
 

7.50%, 01/15/28 (b)

 

177,000

 

145,098

 
 

Nabors Industries, Inc.

     
 

7.38%, 05/15/27 (b)

 

147,000

 

135,821

 
 

NuStar Logistics, L.P.

     
 

6.00%, 06/01/26

 

85,000

 

78,216

 
 

5.63%, 04/28/27

 

172,000

 

150,339

 
 

6.38%, 10/01/30

 

134,000

 

115,060

 

Abbreviations and additional footnotes are defined on page 13

8


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

        
  

Shares/Par1

 

Value ($)

 
 

Occidental Petroleum Corporation

     
 

6.95%, 07/01/24

 

198,000

 

203,484

 
 

3.50%, 06/15/25

 

35,000

 

33,715

 
 

8.88%, 07/15/30

 

80,000

 

88,791

 
 

6.45%, 09/15/36

 

106,000

 

105,538

 
 

7.95%, 06/15/39

 

55,000

 

61,601

 
 

6.60%, 03/15/46

 

78,000

 

79,535

 
 

PDV America, Inc.

     
 

9.25%, 08/01/24 (a) (b)

 

175,000

 

173,723

 
 

Shelf Drilling Management Services DMCC

     
 

8.88%, 11/15/24 (a) (b)

 

189,000

 

185,590

 
 

Southwestern Energy Company

     
 

7.75%, 10/01/27

 

90,000

 

91,620

 
 

8.38%, 09/15/28

 

96,000

 

99,724

 
 

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

 

233,000

 

209,999

 
 

4.75%, 02/01/32

 

211,000

 

177,358

 
 

Tap Rock Resources, LLC

     
 

7.00%, 10/01/26 (b)

 

134,000

 

122,599

 
 

Targa Resources Corp.

     
 

4.88%, 02/01/31

 

56,000

 

48,144

 
 

Transocean Proteus Limited

     
 

6.25%, 12/01/24 (b)

 

112,500

 

105,747

 
 

USA Compression Finance Corp.

     
 

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

 

384,000

 

350,391

 
 

Viper Energy Partners LP

     
 

5.38%, 11/01/27 (b)

 

44,000

 

40,726

 
 

8,136,391

 

Industrials 10.5%

 

American Airlines, Inc.

     
 

5.50%, 04/20/26 (b)

 

62,000

 

58,265

 
 

5.75%, 04/20/29 (b)

 

371,000

 

323,774

 
 

Ardagh Packaging Finance Public Limited Company

     
 

4.13%, 08/15/26 (b)

 

353,000

 

293,642

 
 

Berry Global, Inc.

     
 

4.50%, 02/15/26 (b)

 

114,000

 

105,517

 
 

Bombardier Inc.

     
 

7.50%, 03/15/25 (b)

 

80,000

 

77,805

 
 

7.13%, 06/15/26 (b)

 

232,000

 

213,021

 
 

6.00%, 02/15/28 (a) (b)

 

112,000

 

93,953

 
 

Builders FirstSource, Inc.

     
 

4.25%, 02/01/32 (b)

 

638,000

 

489,977

 
 

Cargo Aircraft Management, Inc.

     
 

4.75%, 02/01/28 (b)

 

166,000

 

143,181

 
 

Clydesdale Acquisition Holdings Inc

     
 

6.63%, 04/15/29 (b)

 

98,000

 

89,388

 
 

8.75%, 04/15/30 (b)

 

236,000

 

195,593

 
 

CP Atlas Buyer, Inc.

     
 

7.00%, 12/01/28 (a) (b)

 

98,000

 

72,882

 
 

Delta Air Lines, Inc.

     
 

7.00%, 05/01/25 (b)

 

111,000

 

111,832

 
 

Fortress Transportation And Infrastructure Investors LLC

     
 

6.50%, 10/01/25 (b)

 

243,000

 

228,564

 
 

9.75%, 08/01/27 (b)

 

55,000

 

53,850

 
 

5.50%, 05/01/28 (b)

 

161,000

 

129,172

 
 

Foxtrot Escrow Issuer LLC

     
 

12.25%, 11/15/26 (b)

 

103,000

 

81,692

 
 

FXI Holdings, Inc.

     
 

7.88%, 11/01/24 (b)

 

122,000

 

96,373

 
 

Graham Packaging Company Europe LLC

     
 

7.13%, 08/15/28 (a) (b)

 

166,000

 

134,335

 
 

Howmet Aerospace Inc.

     
 

6.88%, 05/01/25

 

4,000

 

4,024

 
 

Imola Merger Corporation

     
 

4.75%, 05/15/29 (b)

 

141,000

 

119,118

 
 

Intelligent Packaging Limited Purchaser Inc.

     
 

6.00%, 09/15/28 (b)

 

172,000

 

137,029

 
 

Masonite International Corporation

     
 

5.38%, 02/01/28 (b)

 

71,000

 

62,803

 
 

NAC Aviation 29 Designated Activity Company

     
 

4.75%, 06/30/26

 

105,878

 

88,726

 
 

Pitney Bowes Inc.

     
 

6.88%, 03/15/27 (b)

 

217,000

 

134,170

 
 

Summit Materials, LLC

     
 

5.25%, 01/15/29 (b)

 

150,000

 

131,985

 
 

Terex Corporation

     
 

5.00%, 05/15/29 (b)

 

191,000

 

163,892

 
 

TK Elevator U.S. Newco, Inc.

     
 

5.25%, 07/15/27 (b)

 

334,000

 

284,519

 
 

TransDigm Inc.

     
 

8.00%, 12/15/25 (b)

 

34,000

 

34,493

 
 

6.25%, 03/15/26 (b)

 

462,000

 

448,063

 
 

Transdigm UK Holdings PLC

     
 

6.88%, 05/15/26

 

51,000

 

48,507

 
 

Triumph Group, Inc.

     
 

8.88%, 06/01/24 (b)

 

65,000

 

64,263

 
 

Uber Technologies, Inc.

     
 

7.50%, 05/15/25 - 09/15/27 (b)

 

232,000

 

228,311

 
 

4.50%, 08/15/29 (b)

 

90,000

 

75,744

 
 

United Airlines Pass Through Certificates, Series 2015-1

     
 

4.38%, 04/15/26 (b)

 

70,000

 

62,456

 
 

4.63%, 04/15/29 (b)

 

368,000

 

305,586

 
 

Watco Companies, L.L.C.

     
 

6.50%, 06/15/27 (b)

 

171,000

 

156,064

 
 

5,542,569

 

Financials 10.0%

 

Acrisure, LLC

     
 

7.00%, 11/15/25 (b)

 

129,000

 

117,942

 
 

Advisor Group Holdings, Inc.

     
 

10.75%, 08/01/27 (b)

 

188,000

 

184,234

 
 

AG TTMT Escrow Issuer LLC

     
 

8.63%, 09/30/27 (b)

 

57,000

 

53,613

 
 

Barclays PLC

     
 

8.00%, (100, 03/15/29) (g) (h)

 

200,000

 

177,192

 
 

Citigroup Inc.

     
 

5.00%, (100, 09/12/24) (g)

 

166,000

 

148,852

 
 

Corebridge Financial, Inc.

     
 

6.88%, 12/15/52 (b)

 

141,000

 

128,923

 
 

Credit Suisse Group AG

     
 

6.25%, (100, 12/18/24) (b) (g)

 

395,000

 

338,219

 
 

6.44%, 08/11/28 (b) (h)

 

250,000

 

232,537

 
 

Dana Financing Luxembourg S.a r.l.

     
 

5.75%, 04/15/25 (b)

 

47,000

 

44,793

 
 

Deutsche Bank Aktiengesellschaft

     
 

4.88%, 12/01/32

 

485,000

 

386,323

 
 

3.74%, 01/07/33 (h)

 

80,000

 

52,321

 
 

EG Global Finance PLC

     
 

6.75%, 02/07/25 (b)

 

180,000

 

161,550

 
 

8.50%, 10/30/25 (b)

 

230,000

 

201,250

 
 

Ford Motor Credit Company LLC

     
 

5.13%, 06/16/25

 

132,000

 

124,569

 
 

4.27%, 01/09/27

 

29,000

 

25,375

 
 

Freedom Mortgage Corporation

     
 

7.63%, 05/01/26 (b)

 

159,000

 

118,701

 
 

HUB International Limited

     
 

7.00%, 05/01/26 (b)

 

129,000

 

122,413

 
 

Icahn Enterprises L.P.

     
 

6.25%, 05/15/26

 

319,000

 

297,999

 
 

5.25%, 05/15/27

 

316,000

 

277,414

 
 

Intelligent Packaging Holdco Issuer Ltd Partnership

     
 

9.00%, 01/15/26 (b) (c)

 

39,000

 

31,243

 
 

Markel Corporation

     
 

6.00%, (100, 06/01/25) (g)

 

157,000

 

153,180

 
 

Navient Corporation

     
 

6.13%, 03/25/24

 

140,000

 

136,315

 
 

6.75%, 06/15/26

 

112,000

 

101,787

 
 

4.88%, 03/15/28

 

130,000

 

99,457

 
 

5.63%, 08/01/33

 

107,000

 

72,027

 
 

NFP Corp.

     
 

6.88%, 08/15/28 (b)

 

156,000

 

121,680

 
 

7.50%, 10/01/30 (b)

 

93,000

 

88,651

 
 

Onemain Finance Corporation

     
 

6.13%, 03/15/24

 

195,000

 

188,026

 
 

5.38%, 11/15/29

 

130,000

 

100,613

 
 

PennyMac Financial Services, Inc.

     
 

5.75%, 09/15/31 (b)

 

87,000

 

62,767

 

Abbreviations and additional footnotes are defined on page 13

9


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

        
  

Shares/Par1

 

Value ($)

 
 

Rocket Mortgage, LLC

     
 

4.00%, 10/15/33 (b)

 

93,000

 

64,284

 
 

Stena International S.A R.L.

     
 

6.13%, 02/01/25 (b)

 

282,000

 

268,838

 
 

UBS Group AG

     
 

4.88%, (100, 02/12/27) (b) (g)

 

210,000

 

163,502

 
 

VistaJet Malta Finance P.L.C.

     
 

7.88%, 05/01/27 (b)

 

86,000

 

75,483

 
 

6.38%, 02/01/30 (b)

 

372,000

 

300,093

 
 

VMED O2 UK Financing I PLC

     
 

4.25%, 01/31/31 (b)

 

73,000

 

55,174

 
 

5,277,340

 

Consumer Staples 7.2%

 

Albion Financing 2 S.a r.l.

     
 

8.75%, 04/15/27 (b)

 

159,000

 

133,358

 
 

Allied Universal Holdco LLC

     
 

6.63%, 07/15/26 (b)

 

264,000

 

235,341

 
 

9.75%, 07/15/27 (b)

 

254,000

 

209,141

 
 

4.63%, 06/01/28 (b)

 

61,000

 

46,969

 
 

Ashtead Capital, Inc.

     
 

5.50%, 08/11/32 (b)

 

200,000

 

185,360

 
 

Edgewell Personal Care Colombia S A S

     
 

5.50%, 06/01/28 (b)

 

74,000

 

66,367

 
 

Hertz Vehicle Financing II LP

     
 

5.00%, 12/01/29 (b)

 

74,000

 

55,045

 
 

Kraft Heinz Foods Company

     
 

4.63%, 10/01/39

 

218,000

 

179,830

 
 

4.88%, 10/01/49

 

153,000

 

126,406

 
 

Marb Bondco PLC

     
 

3.95%, 01/29/31 (b)

 

327,000

 

236,474

 
 

Matterhorn Merger Sub, LLC

     
 

8.50%, 06/01/26 (b)

 

247,000

 

158,564

 
 

MPH Acquisition Holdings LLC

     
 

5.50%, 09/01/28 (b)

 

189,000

 

156,133

 
 

Muzinich U.S. High Yield Corporate Bond Fund

     
 

9.75%, 08/15/26 (b)

 

147,000

 

141,609

 
 

Nielsen Finance LLC

     
 

5.88%, 10/01/30 (b)

 

140,000

 

139,071

 
 

4.75%, 07/15/31 (a) (b)

 

215,000

 

211,456

 
 

Pilgrim's Pride Corporation

     
 

5.88%, 09/30/27 (b)

 

131,000

 

127,364

 
 

4.25%, 04/15/31 (b)

 

426,000

 

341,730

 
 

3.50%, 03/01/32 (b)

 

48,000

 

36,203

 
 

Prime Security Services Borrower, LLC

     
 

5.25%, 04/15/24 (b)

 

52,000

 

50,664

 
 

5.75%, 04/15/26 (b)

 

152,000

 

142,998

 
 

3.38%, 08/31/27 (b)

 

55,000

 

46,265

 
 

6.25%, 01/15/28 (b)

 

198,000

 

169,557

 
 

Safeway Inc.

     
 

5.88%, 02/15/28 (b)

 

282,000

 

260,147

 
 

Sigma Holdco B.V.

     
 

7.88%, 05/15/26 (a) (b)

 

187,000

 

123,392

 
 

United Natural Foods, Inc.

     
 

6.75%, 10/15/28 (b)

 

258,000

 

237,038

 
 

3,816,482

 

Health Care 4.4%

 

Avantor, Inc.

     
 

4.63%, 07/15/28 (b)

 

170,000

 

151,534

 
 

Bausch Health Companies Inc.

     
 

6.13%, 02/01/27 (a) (b)

 

117,000

 

81,158

 
 

4.88%, 06/01/28 (b)

 

41,000

 

26,414

 
 

Centene Corporation

     
 

2.50%, 03/01/31

 

48,000

 

36,319

 
 

Community Health Systems, Inc.

     
 

4.75%, 02/15/31 (b)

 

198,000

 

133,145

 
 

DaVita Inc.

     
 

3.75%, 02/15/31 (b)

 

185,000

 

131,850

 
 

HCA Inc.

     
 

5.38%, 02/01/25

 

109,000

 

107,717

 
 

IQVIA Inc.

     
 

5.00%, 05/15/27 (b)

 

125,000

 

117,596

 
 

Mozart Debt Merger Sub Inc.

     
 

3.88%, 04/01/29 (b)

 

215,000

 

172,654

 
 

5.25%, 10/01/29 (a) (b)

 

308,000

 

232,537

 
 

Organon & Co.

     
 

5.13%, 04/30/31 (b)

 

152,000

 

124,677

 
 

Owens & Minor, Inc.

     
 

6.63%, 04/01/30 (b)

 

184,000

 

161,906

 
 

Tenet Healthcare Corporation

     
 

4.88%, 01/01/26 (b)

 

178,000

 

165,294

 
 

5.13%, 11/01/27 (b)

 

263,000

 

236,407

 
 

6.13%, 10/01/28 (b)

 

212,000

 

187,028

 
 

4.38%, 01/15/30 (b)

 

80,000

 

66,722

 
 

6.13%, 06/15/30 (b)

 

196,000

 

180,274

 
 

2,313,232

 

Information Technology 3.6%

 

AMS-Osram AG

     
 

7.00%, 07/31/25 (a) (b)

 

582,000

 

530,384

 
 

Booz Allen Hamilton Inc.

     
 

4.00%, 07/01/29 (b)

 

67,000

 

57,449

 
 

Boxer Parent Company Inc.

     
 

7.13%, 10/02/25 (b)

 

46,000

 

45,102

 
 

Commscope Finance LLC

     
 

6.00%, 03/01/26 (b)

 

81,000

 

74,610

 
 

Entegris Escrow Corporation

     
 

4.75%, 04/15/29 (b)

 

115,000

 

102,018

 
 

5.95%, 06/15/30 (b)

 

241,000

 

219,927

 
 

Entegris, Inc.

     
 

4.38%, 04/15/28 (b)

 

94,000

 

79,650

 
 

Logan Merger Sub, Inc.

     
 

5.50%, 09/01/27 (b)

 

216,000

 

132,808

 
 

Open Text Corporation

     
 

3.88%, 02/15/28 (b)

 

112,000

 

92,225

 
 

3.88%, 12/01/29 (b)

 

157,000

 

120,898

 
 

4.13%, 02/15/30 (b)

 

215,000

 

171,857

 
 

Seagate HDD Cayman

     
 

5.75%, 12/01/34

 

29,000

 

22,932

 
 

ViaSat, Inc.

     
 

5.63%, 09/15/25 - 04/15/27 (b)

 

263,000

 

209,730

 
 

6.50%, 07/15/28 (b)

 

78,000

 

52,427

 
 

1,912,017

 

Materials 3.3%

 

Braskem Idesa, S.A.P.I.

     
 

6.99%, 02/20/32 (b)

 

87,000

 

58,036

 
 

Carpenter Technology Corporation

     
 

6.38%, 07/15/28

 

63,000

 

58,842

 
 

CVR Partners, LP

     
 

6.13%, 06/15/28 (b)

 

32,000

 

28,023

 
 

First Quantum Minerals Ltd

     
 

7.50%, 04/01/25 (b)

 

121,000

 

116,455

 
 

6.88%, 10/15/27 (b)

 

231,000

 

207,894

 
 

FMG Resources (August 2006) Pty Ltd

     
 

6.13%, 04/15/32 (b)

 

147,000

 

126,219

 
 

Freeport-McMoRan Inc.

     
 

5.00%, 09/01/27

 

117,000

 

113,456

 
 

Hudbay Minerals Inc.

     
 

6.13%, 04/01/29 (b)

 

277,000

 

223,694

 
 

Ineos Quattro Finance 2 PLC

     
 

3.38%, 01/15/26 (b)

 

95,000

 

79,139

 
 

LSF11 A5 Holdco LLC

     
 

6.63%, 10/15/29 (a) (b)

 

231,000

 

177,341

 
 

NOVA Chemicals Corporation

     
 

4.88%, 06/01/24 (b)

 

86,000

 

80,870

 
 

5.25%, 06/01/27 (b)

 

93,000

 

79,131

 
 

Olin Corporation

     
 

5.63%, 08/01/29

 

200,000

 

177,588

 
 

Pearl Merger Sub Inc.

     
 

6.75%, 10/01/28 (b)

 

159,000

 

122,436

 
 

Trinseo Materials Operating S.C.A.

     
 

5.13%, 04/01/29 (b)

 

195,000

 

115,056

 
 

1,764,180

 

Utilities 2.2%

 

Calpine Corporation

     
 

4.50%, 02/15/28 (b)

 

217,000

 

190,010

 
 

5.13%, 03/15/28 (b)

 

212,000

 

183,325

 
 

3.75%, 03/01/31 (b)

 

72,000

 

56,617

 
 

DPL Inc.

     
 

4.13%, 07/01/25

 

114,000

 

105,466

 

Abbreviations and additional footnotes are defined on page 13

10


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

        
  

Shares/Par1

 

Value ($)

 
 

Pacific Gas And Electric Company

     
 

3.25%, 06/01/31

 

170,000

 

129,517

 
 

5.90%, 06/15/32

 

85,000

 

77,573

 
 

Vistra Operations Company LLC

     
 

5.50%, 09/01/26 (b)

 

95,000

 

88,730

 
 

5.00%, 07/31/27 (b)

 

229,000

 

206,761

 
 

4.38%, 05/01/29 (b)

 

105,000

 

87,760

 
 

4.30%, 07/15/29 (b)

 

34,000

 

29,005

 
 

1,154,764

 

Real Estate 0.9%

 

Cushman & Wakefield U.S. Borrower, LLC

     
 

6.75%, 05/15/28 (b)

 

93,000

 

86,355

 
 

Service Properties Trust

     
 

5.25%, 02/15/26

 

353,000

 

281,546

 
 

VICI Properties Inc.

     
 

4.25%, 12/01/26 (b)

 

90,000

 

80,836

 
 

448,737

 
 

Total Corporate Bonds And Notes (cost $56,023,387)

48,396,358

 

SENIOR FLOATING RATE INSTRUMENTS 4.2%

Consumer Discretionary 1.5%

 

888 Acquisitions Limited

     
 

USD Term Loan B, 8.28%, (3 Month Term SOFR + 5.25%), 07/18/28 (i)

 

150,000

 

128,500

 
 

Flutter Entertainment Public Limited Company

     
 

Term Loan, 0.00%, (SOFR + 3.25%), 07/04/28 (i) (j)

 

150,000

 

146,226

 
 

Great Canadian Gaming Corporation

     
 

2021 Term Loan, 7.60%, (3 Month USD LIBOR + 4.00%), 11/01/26 (i)

 

155,000

 

147,637

 
 

Great Outdoors Group, LLC

     
 

2021 Term Loan B1, 6.27%, (1 Month USD LIBOR + 3.75%), 02/26/28 (i)

 

147,964

 

136,349

 
 

Groupe Solmax Inc.

     
 

Term Loan, 8.39%, (3 Month USD LIBOR + 4.75%), 12/30/24 (i)

 

113,801

 

100,430

 
 

Michaels Companies, Inc.

     
 

2021 Term Loan B, 6.50%, (3 Month USD LIBOR + 4.25%), 04/08/28 (i)

 

122,252

 

98,047

 
 

Mileage Plus Holdings LLC

     
 

2020 Term Loan B, 8.78%, (3 Month USD LIBOR + 5.25%), 12/31/23 (i)

 

46,740

 

46,848

 
 

804,037

 

Communication Services 1.1%

 

Allen Media, LLC

     
 

2021 Term Loan B, 7.70%, (3 Month USD LIBOR + 5.50%), 02/10/27 (i)

 

172,593

 

148,646

 
 

GOGO Intermediate Holdings LLC

     
 

Term Loan B, 6.56%, (3 Month USD LIBOR + 3.75%), 04/21/28 (i)

 

151,419

 

146,612

 
 

Intelsat Jackson Holdings S.A.

     
 

2021 Exit Term Loan B, 7.44%, (SOFR + 4.50%), 01/25/29 (i)

 

139,149

 

130,278

 
 

Securus Technologies Holdings, Inc.

     
 

2017 1st Lien Term Loan, 6.75%, (3 Month USD LIBOR + 4.50%), 06/20/24 (i)

 

158,236

 

138,431

 
 

563,967

 

Information Technology 0.6%

 

CoreLogic, Inc.

     
 

Term Loan, 6.06%, (1 Month USD LIBOR + 3.50%), 04/14/28 (i)

 

90,090

 

67,342

 
 

Cornerstone OnDemand, Inc.

     
 

2021 Term Loan, 6.27%, (1 Month USD LIBOR + 3.75%), 09/08/26 (i)

 

69,527

 

58,055

 
 

Peraton Corp.

     
 

Term Loan B, 6.27%, (1 Month USD LIBOR + 3.75%), 02/22/28 (i)

 

141,198

 

133,574

 
 

Verifone Systems, Inc.

     
 

2018 1st Lien Term Loan, 7.00%, (3 Month USD LIBOR + 4.00%), 08/09/25 (i)

 

61,996

 

55,216

 
 

314,187

 

Industrials 0.5%

 

American Airlines, Inc.

     
 

2021 Term Loan, 7.46%, (3 Month USD LIBOR + 4.75%), 03/10/28 (i)

 

187,000

 

180,829

 
 

United Airlines, Inc.

     
 

2021 Term Loan B, 6.53%, (3 Month USD LIBOR + 3.75%), 04/14/28 (i)

 

53,424

 

50,894

 
 

231,723

 

Health Care 0.3%

 

Advisor Group, Inc.

     
 

2021 Term Loan, 7.02%, (1 Month USD LIBOR + 4.50%), 07/31/26 (i)

 

83,078

 

78,852

 
 

Lonza Group AG

     
 

USD Term Loan B, 6.25%, (3 Month USD LIBOR + 4.00%), 04/29/28 (i)

 

81,055

 

71,936

 
 

150,788

 

Materials 0.2%

 

PMHC II, Inc.

     
 

2022 Term Loan B, 0.00%, (3 Month Term SOFR + 4.25%), 02/03/29 (i) (j)

 

150,000

 

120,445

 

Financials 0.0%

 

NAC Aviation 8 Limited (Nordic Aviation)

     
 

2022 1st Lien Revolver, 0.00%, 03/31/26 (j) (k)

 

18,222

 

18,222

 
 

Total Senior Floating Rate Instruments (cost $2,388,568)

2,203,369

 

INVESTMENT COMPANIES 1.0%

 

iShares Broad USD High Yield Corporate Bond ETF

 

15,247

 

512,604

 
 

Total Investment Companies (cost $586,552)

512,604

 

COMMON STOCKS 0.3%

Energy 0.1%

 

MPLX LP

 

2,200

 

66,022

 

Financials 0.1%

 

Nordic Aviation Capital Designated Activity Company (k) (l)

 

1,868

 

37,360

 

Communication Services 0.1%

 

Clear Channel Outdoor Holdings, Inc. (l)

 

8,143

 

11,156

 
 

iHeartMedia, Inc. - Class A (l)

 

3,283

 

24,064

 
 

35,220

 
 

Total Common Stocks (cost $222,417)

138,602

 

SHORT TERM INVESTMENTS 7.9%

Securities Lending Collateral 5.9%

 

State Street Navigator Securities Lending Government Money Market Portfolio, 3.07% (m)

 

3,097,688

 

3,097,688

 

Investment Companies 1.5%

 

State Street U.S. Government Money Market Fund - Premier Class, 2.90% (m)

 

811,725

 

811,725

 

U.S. Treasury Bill 0.5%

 

Treasury, United States Department of

     
 

3.73%, 03/16/23 (n)

 

280,000

 

275,255

 
 

Total Short Term Investments (cost $4,184,662)

4,184,668

 

Total Investments 105.1% (cost $63,405,586)

 

55,435,601

 

Other Assets and Liabilities, Net (5.1)%

 

(2,674,851)

 

Total Net Assets 100.0%

 

52,760,750

 

(a) All or a portion of the security was on loan as of September 30, 2022.

(b) Security is exempt from registration under the Securities Act of 1933, as amended. As of September 30, 2022, the value and the percentage of net assets of these securities was $38,253,302 and 72.5% of the Fund.

(c) 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.

(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 September 30, 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 September 30, 2022.

(f) Security is restricted to resale to institutional investors or subject to trading restrictions due to sanctions on foreign issuers. 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) Convertible security.

(i) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of September 30, 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

Abbreviations and additional footnotes are defined on page 13

11


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

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.

(j) This senior floating rate interest will settle after September 30, 2022. If a reference rate and spread is presented, it will go into effect upon settlement.

(k) 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.

(l) Non-income producing security.

(m) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of September 30, 2022.

(n) The coupon rate represents the yield to maturity.

                 

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

 

387,388

 

350,352

 

0.7

 
             

Abbreviations and additional footnotes are defined on page 13

12


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

Currency Abbreviations:

 

USD - United States Dollar

Abbreviations:

  

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)

September 30, 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 (“the 1940 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 (“Valuation Policies and Procedures”), the Trust’s Board of Trustees (“Board” or “Trustees”), on behalf of each Fund, has designated to Jackson National Asset Management LLC (“JNAM” or the “the Administrator”) the responsibility for carrying out certain functions relating to the valuation of portfolio securities for the purpose of determining the net asset value (“NAV”) of each Fund. Further, the Board has designated the Adviser as the Valuation Designee. As the Valuation Designee, the Adviser has established a Valuation Committee (the “Valuation Committee”) and adopted valuation procedures and guidelines (the “Valuation Procedures”) pursuant to which the Adviser determines the “fair value” of a security for which market quotations are not readily available, or are determined to be not reflective of market value.

The 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). The NAV of a Fund’s shares may also not be determined on days designated by the Board or on days designated by the SEC. Consistent with legal requirements, calculation of a 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. In the event that the NYSE is closed unexpectedly or opens for trading but closes earlier than scheduled, the Fund’s Valuation Committee will evaluate if trading activity on other U.S. exchanges and markets for equity securities is considered reflective of normal market activity. To the extent a NYSE closure is determined to be accompanied by a disruption of normal market activity, the Valuation Committee may utilize the time the NYSE closed for purposes of measuring and calculating the Funds’ NAVs. 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.

The NAV per share of each Fund is calculated by adding the value of all securities and other assets of a Fund, deducting its liabilities, and dividing by the number of shares outstanding. 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. Investments in mutual funds are valued at the NAV per share determined as of the close of the NYSE on each valuation date. Pricing services are generally used to evaluate debt securities. 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. Exchange-traded options are valued by approved pricing sources at the last traded price prior to the close of business on the local exchange. In the event that current day trades are unavailable, or the trade price falls outside of the current bid ask spread, exchange traded options are valued at the current day’s mid-price. Forward foreign currency contracts are generally valued at the foreign currency exchange rate as of the close of the NYSE, unless an unexpected disruption on the NYSE and the Funds’ valuation policies require the Administrator to determine the “fair value” of the contracts.

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. Under the Trust’s valuation procedures, a “significant event” affecting a single issuer might include, but is not limited to, an announcement by the issuer, a competitor, a creditor, a major holder of the issuer’s securities, a major customer or supplier, or a governmental, regulatory or self-regulatory authority relating to the issuer, the issuer’s products or services, or the issuer’s securities. A “significant event” affecting multiple issuers might include, but is not limited to, a substantial price movement in other securities markets, an announcement by a governmental, regulatory or self-regulatory authority relating to securities markets, political or economic matters, or monetary or credit policies, a natural disaster such as an earthquake, flood or storm, or the outbreak of civil strife or military hostilities. 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 Valuation Committee, 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

14


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

forces which influence the market in which the security is traded; the type of security; the financial statements of the issuer, or other financial information about the issuer; the cost of the security at its date of purchase; the size of the Fund’s holding; the discount from market value of unrestricted securities of the same class, if applicable, at the time of purchase or at a later date; reports prepared by analysts; information as to any transactions in or offers for the security; the existence of any merger proposal, tender offer or other extraordinary event relating to the security; the price and extent of public or dealer trading in similar securities or derivatives of the issuer or of comparable companies; trading in depositary receipts; foreign currency exchange activity; changes in the interest rate environment; trading prices of financial products that are tied to baskets of foreign securities; and any other matters considered relevant.

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.

The Valuation Committee reviews fair value determinations pursuant to the Valuation Procedures. The Valuation Committee will also review the value of restricted securities, securities and assets for which a current market price is not readily available, and securities and assets for which there is reason to believe that the most recent market price is not reflective of the market value (e.g. disorderly market transactions).

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 September 30, 2022, by valuation level.

         
 

. Level 1 ($) .

 

. Level 2 ($) .

 

. Level 3 ($) .

 

. Total ($) .

 

PPM Core Plus Fixed Income Fund

Assets - Securities

        

Government And Agency Obligations

 

21,949,314

 

 

21,949,314

 

Corporate Bonds And Notes

 

18,990,831

 

 

18,990,831

 

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

 

5,384,067

 

 

5,384,067

 

Senior Floating Rate Instruments

 

999,842

 

 

999,842

 

Common Stocks

 

 

24,300

 

24,300

 

Short Term Investments

2,456,760

 

 

 

2,456,760

 
 

2,456,760

 

47,324,054

 

24,300

 

49,805,114

 

Assets - Investments in Other Financial Instruments1

        

Futures Contracts

266,656

 

 

 

266,656

 
 

266,656

 

 

 

266,656

 

Liabilities - Investments in Other Financial Instruments1

        

Futures Contracts

(388,006

)

 

 

(388,006

)

 

(388,006

)

 

 

(388,006

)

15


PPMFunds

Schedules of Investments (Unaudited)

September 30, 2022

         
 

. Level 1 ($) .

 

. Level 2 ($) .

 

. Level 3 ($) .

 

. Total ($) .

 

PPM High Yield Core Fund

Assets - Securities

        

Corporate Bonds And Notes

 

48,396,358

 

 

48,396,358

 

Senior Floating Rate Instruments

 

2,185,147

 

18,222

 

2,203,369

 

Investment Companies

512,604

 

 

 

512,604

 

Common Stocks

101,242

 

 

37,360

 

138,602

 

Short Term Investments

3,909,413

 

275,255

 

 

4,184,668

 
 

4,523,259

 

50,856,760

 

55,582

 

55,435,601

 

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

Significant changes in unobservable valuation inputs to a different amount might result in a significantly higher or lower fair value measurement than the one used in a security’s valuation. 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 September 30, 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