0001752724-23-074330.txt : 20230330 0001752724-23-074330.hdr.sgml : 20230330 20230330151449 ACCESSION NUMBER: 0001752724-23-074330 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230131 FILED AS OF DATE: 20230330 DATE AS OF CHANGE: 20230330 PERIOD START: 20231031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Catholic Responsible Investments Funds CENTRAL INDEX KEY: 0001872555 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23718 FILM NUMBER: 23780235 BUSINESS ADDRESS: STREET 1: ONE FREEDOM VALLEY DRIVE CITY: OAKS STATE: PA ZIP: 19456 BUSINESS PHONE: 610-676-1000 MAIL ADDRESS: STREET 1: ONE FREEDOM VALLEY DRIVE CITY: OAKS STATE: PA ZIP: 19456 0001872555 S000073786 CATHOLIC RESPONSIBLE INVESTMENTS EQUITY INDEX FUND C000230953 Institutional Shares CRQSX NPORT-P 1 primary_doc.xml NPORT-P false 0001872555 XXXXXXXX S000073786 C000230953 Catholic Responsible Investments Funds 811-23718 0001872555 549300NTV87BU611VE10 ONE FREEDOM VALLEY DRIVE OAKS 19456 6106761000 Catholic Responsible Investments Equity Index Fund S000073786 549300IUHX0LKM92NU68 2023-10-31 2023-01-31 N 3040383499.89 531198.20 3039852301.69 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 N PUBLIC SERVICE ENTERPRISE GROUP INCORPORATED PUSS41EMO3E6XXNV3U28 PUBLIC SERVICE ENTERPRISE GP COMMON STOCK 744573106 43746.00000000 NS USD 2709189.78000000 0.089122414878 Long EC US N 1 N N N STARBUCKS CORPORATION OQSJ1DU9TAOC51A47K68 STARBUCKS CORP COMMON STOCK 855244109 100600.00000000 NS USD 10979484.00000000 0.361184784994 Long EC US N 1 N N N SBA Communications Corporation 5299001HX8ZN8Y8QIT49 SBA COMMUNICATIONS CORP REIT 78410G104 9462.00000000 NS USD 2815228.86000000 0.092610711988 Long EC US N 1 N N N EXTRA SPACE STORAGE INC. 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N/A PULTEGROUP INC COMMON STOCK 745867101 19961.00000000 NS USD 1135581.29000000 0.037356462660 Long EC US N 1 N N N DXC TECHNOLOGY COMPANY 549300DOVZ3EDJB7O259 DXC TECHNOLOGY CO COMMON STOCK 23355L106 20128.00000000 NS USD 578277.44000000 0.019023208452 Long EC US N 1 N N N NVR, Inc. 529900RWXR4JI3JYTV70 NVR INC COMMON STOCK 62944T105 263.00000000 NS USD 1386010.00000000 0.045594649425 Long EC US N 1 N N N EXELON CORPORATION 3SOUA6IRML7435B56G12 EXELON CORP COMMON STOCK 30161N101 87113.00000000 NS USD 3675297.47000000 0.120903817200 Long EC US N 1 N N N METLIFE, INC. C4BXATY60WC6XEOZDX54 METLIFE INC COMMON STOCK 59156R108 57729.00000000 NS USD 4215371.58000000 0.138670276107 Long EC US N 1 N N N THE SOUTHERN COMPANY 549300FC3G3YU2FBZD92 SOUTHERN CO/THE COMMON STOCK 842587107 183443.00000000 NS USD 12415422.24000000 0.408421890533 Long EC US N 1 N N N STRYKER CORPORATION 5493002F0SC4JTBU5137 STRYKER CORP COMMON STOCK 863667101 64925.00000000 NS USD 16478614.25000000 0.542086016509 Long EC US N 1 N N N STEEL DYNAMICS, INC. 549300HGGKEL4FYTTQ83 STEEL DYNAMICS INC COMMON STOCK 858119100 21700.00000000 NS USD 2617888.00000000 0.086118920927 Long EC US N 1 N N N FEDEX CORPORATION 549300E707U7WNPZN687 FEDEX CORP COMMON STOCK 31428X106 20981.00000000 NS USD 4067376.66000000 0.133801785624 Long EC US N 1 N N N CMS ENERGY CORPORATION 549300IA9XFBAGNIBW29 CMS ENERGY CORP COMMON STOCK 125896100 25437.00000000 NS USD 1607364.03000000 0.052876385773 Long EC US N 1 N N N AMERICAN AIRLINES GROUP INC. N/A AMERICAN AIRLINES GROUP INC COMMON STOCK 02376R102 56976.00000000 NS USD 919592.64000000 0.030251227649 Long EC US N 1 N N N FISERV, INC. GI7UBEJLXYLGR2C7GV83 FISERV INC COMMON STOCK 337738108 55653.00000000 NS USD 5937062.04000000 0.195307582434 Long EC US N 1 N N N TARGET CORPORATION 8WDDFXB5T1Z6J0XC1L66 TARGET CORP COMMON STOCK 87612E106 40337.00000000 NS USD 6943611.18000000 0.228419360247 Long EC US N 1 N N N DOMINO'S PIZZA, INC. 25490005ZWM1IF9UXU57 DOMINO'S PIZZA INC COMMON STOCK 25754A201 3102.00000000 NS USD 1095006.00000000 0.036021684322 Long EC US N 1 N N N INTEL CORPORATION KNX4USFCNGPY45LOCE31 INTEL CORP COMMON STOCK 458140100 361666.00000000 NS USD 10220681.16000000 0.336222952487 Long EC US N 1 N N N FOX CORPORATION 549300DDU6FDRBIELS05 FOX CORP - CLASS A COMMON STOCK 35137L105 26486.00000000 NS USD 898934.84000000 0.029571661738 Long EC US N 1 N N N DOLLAR TREE, INC. 549300PMSTQITB1WHR43 DOLLAR TREE INC COMMON STOCK 256746108 18448.00000000 NS USD 2770520.64000000 0.091139975401 Long EC US N 1 N N N The Travelers Companies, Inc. 549300Y650407RU8B149 TRAVELERS COS INC/THE COMMON STOCK 89417E109 20538.00000000 NS USD 3925222.56000000 0.129125436713 Long EC US N 1 N N N ANSYS, INC. 549300VJV8H15Z5FJ571 ANSYS INC COMMON STOCK 03662Q105 7634.00000000 NS USD 2033392.24000000 0.066891152536 Long EC US N 1 N N N DIAMONDBACK ENERGY, INC. 549300R22LSX6OHWEN64 DIAMONDBACK ENERGY INC COMMON STOCK 25278X109 15424.00000000 NS USD 2253754.88000000 0.074140275787 Long EC US N 1 N N N ARISTA NETWORKS, INC. 635400H1WKBLOQERUU95 ARISTA NETWORKS INC COMMON STOCK 040413106 21692.00000000 NS USD 2733625.84000000 0.089926271696 Long EC US N 1 N N N ENPHASE ENERGY, INC. 5493008U7KIGMI59Z314 ENPHASE ENERGY INC COMMON STOCK 29355A107 11912.00000000 NS USD 2637078.56000000 0.086750220020 Long EC US N 1 N N N IDEX CORPORATION 549300U5Y5EL6PHYLF13 IDEX CORP COMMON STOCK 45167R104 6610.00000000 NS USD 1584284.80000000 0.052117163689 Long EC US N 1 N N N WEYERHAEUSER COMPANY 08IRJODWFYBI7QWRGS31 WEYERHAEUSER CO REIT 962166104 64469.00000000 NS USD 2219667.67000000 0.073018931504 Long EC US N 1 N N N MARATHON OIL CORPORATION 1FRVQX2CRLGC1XLP5727 MARATHON OIL CORP COMMON STOCK 565849106 55641.00000000 NS USD 1528458.27000000 0.050280675450 Long EC US N 1 N N N LINDE PUBLIC LIMITED COMPANY 8945002PAZHZLBGKGF02 LINDE PLC COMMON STOCK G5494J103 57465.00000000 NS USD 19017467.10000000 0.625604970656 Long EC US N 1 N N N SOUTHWEST AIRLINES CO. UDTZ87G0STFETI6HGH41 SOUTHWEST AIRLINES CO COMMON STOCK 844741108 52071.00000000 NS USD 1862579.67000000 0.061272044992 Long EC US N 1 N N N TARGA RESOURCES CORP. 5493003QENHHS261UR94 TARGA RESOURCES CORP COMMON STOCK 87612G101 19800.00000000 NS USD 1485396.00000000 0.048864084586 Long EC US N 1 N N N CHEVRON CORPORATION N/A CHEVRON CORP COMMON STOCK 166764100 169793.00000000 NS USD 29547377.86000000 0.972000443691 Long EC US N 1 N N N CADENCE DESIGN SYSTEMS, INC. GCT7RXJOGLXPV0NXZY22 CADENCE DESIGN SYS INC COMMON STOCK 127387108 24041.00000000 NS USD 4395416.03000000 0.144593078668 Long EC US N 1 N N N REGIONS FINANCIAL CORPORATION CW05CS5KW59QTC0DG824 REGIONS FINANCIAL CORP COMMON STOCK 7591EP100 81880.00000000 NS USD 1927455.20000000 0.063406212167 Long EC US N 1 N N N MASTERCARD INCORPORATED. AR5L2ODV9HN37376R084 MASTERCARD INC - A COMMON STOCK 57636Q104 75313.00000000 NS USD 27910997.80000000 0.918169536871 Long EC US N 1 N N N THE PROGRESSIVE CORPORATION 529900TACNVLY9DCR586 PROGRESSIVE CORP COMMON STOCK 743315103 75775.00000000 NS USD 10331921.25000000 0.339882343765 Long EC US N 1 N N N M&T BANK CORPORATION 549300WYXDDBYRASEG81 M & T BANK CORP COMMON STOCK 55261F104 15128.00000000 NS USD 2359968.00000000 0.077634298175 Long EC US N 1 N N N ETSY, INC. 54930089Q7XT501AEA40 ETSY INC COMMON STOCK 29786A106 11015.00000000 NS USD 1515443.70000000 0.049852543794 Long EC US N 1 N N N DAVITA INC. M2XHYMU3TZNEZURC6H66 DAVITA INC COMMON STOCK 23918K108 4848.00000000 NS USD 399426.72000000 0.013139675232 Long EC US N 1 N N N BEST BUY CO., INC. HL5XPTVRV0O8TUN5LL90 BEST BUY CO INC COMMON STOCK 086516101 17595.00000000 NS USD 1561028.40000000 0.051352113361 Long EC US N 1 N N N CENTERPOINT ENERGY, INC. 21TPXMRRHFKOBHDC8J74 CENTERPOINT ENERGY INC COMMON STOCK 15189T107 55186.00000000 NS USD 1662202.32000000 0.054680364538 Long EC US N 1 N N N AMERIPRISE FINANCIAL, INC. 6ZLKQF7QB6JAEKQS5388 AMERIPRISE FINANCIAL INC COMMON STOCK 03076C106 9326.00000000 NS USD 3265219.12000000 0.107413742377 Long EC US N 1 N N N FASTENAL COMPANY 529900PP0C7H2HHPSJ32 FASTENAL CO COMMON STOCK 311900104 50229.00000000 NS USD 2539075.95000000 0.083526293319 Long EC US N 1 N N N ESSEX PROPERTY TRUST, INC. 549300TR2H2VEFX0NC60 ESSEX PROPERTY TRUST INC REIT 297178105 5675.00000000 NS USD 1282947.25000000 0.042204262663 Long EC US N 1 N N N KEURIG DR PEPPER INC. DYTQ8KRTKO7Y2BVU5K74 KEURIG DR PEPPER INC COMMON STOCK 49271V100 74500.00000000 NS USD 2628360.00000000 0.086463411348 Long EC US N 1 N N N Carnival Corporation F1OF2ZSX47CR0BCWA982 CARNIVAL CORP COMMON STOCK 143658300 87722.00000000 NS USD 949152.04000000 0.031223623577 Long EC US N 1 N N N V.F. CORPORATION CWAJJ9DJ5Z7P057HV541 VF CORP COMMON STOCK 918204108 28970.00000000 NS USD 896331.80000000 0.029486031262 Long EC US N 1 N N N ARCH CAPITAL GROUP LTD. 549300AYR4P8AFKDCE43 ARCH CAPITAL GROUP LTD COMMON STOCK G0450A105 32400.00000000 NS USD 2084940.00000000 0.068586884923 Long EC US N 1 N N N BORGWARNER INC. 549300DSFX2IE88NSX47 BORGWARNER INC COMMON STOCK 099724106 20542.00000000 NS USD 971225.76000000 0.031949768068 Long EC US N 1 N N N BANK OF AMERICA CORPORATION 9DJT3UXIJIZJI4WXO774 BANK OF AMERICA CORP COMMON STOCK 060505104 611669.00000000 NS USD 21702016.12000000 0.713916794836 Long EC US N 1 N N N CONSOLIDATED EDISON, INC. 54930033SBW53OO8T749 CONSOLIDATED EDISON INC COMMON STOCK 209115104 44685.00000000 NS USD 4258927.35000000 0.140103101312 Long EC US N 1 N N N EQUITY RESIDENTIAL 5493008RACSH5EP3PI59 EQUITY RESIDENTIAL REIT 29476L107 29782.00000000 NS USD 1895624.30000000 0.062359092214 Long EC US N 1 N N N AMERICAN EXPRESS COMPANY R4PP93JZOLY261QX3811 AMERICAN EXPRESS CO COMMON STOCK 025816109 52389.00000000 NS USD 9164407.77000000 0.301475429082 Long EC US N 1 N N N 2023-01-31 Catholic Responsible Investments Funds Paul Ainslie Paul Ainslie CCO XXXX NPORT-EX 2 CBIS_Schedule_F.htm SCHEDULE F HTML
Catholic Responsible Investments  

Ultra Short Bond Fund

January 31, 2023

(Unaudited)

 

SCHEDULE OF INVESTMENTS

 

U.S. GOVERNMENT AGENCY OBLIGATIONS — 38.7%

 

     Face
      Amount      
            Value          

FFCB

    

4.345%, U.S. SOFR + 0.035%, 07/12/23(A)

    $ 600,000       $ 600,089   

FHLB DN

    

4.825%, 07/21/23(B)

     2,250,000       2,199,713  

FHLB DN

    

4.719%, 06/06/23(B)

     1,400,000       1,377,102  

FHLB DN

    

4.699%, 04/28/23(B)

     1,500,000       1,483,335  

FHLB DN

    

4.689%, 04/26/23(B)

     1,300,000       1,285,891  

FHLB DN

    

4.676%, 04/10/23(B)

     2,175,000       2,155,870  

FHLB DN

    

4.669%, 04/21/23(B)

     1,100,000       1,088,563  

FHLB DN

    

4.654%, 04/19/23(B)

     2,200,000       2,178,102  

FHLB DN

    

4.511%, 03/24/23(B)

     3,000,000       2,980,612  

FHLB DN

    

4.484%, 03/22/23(B)

     1,975,000       1,962,735  

FHLB DN

    

4.478%, 03/08/23(B)

     1,386,000       1,379,847  

FHLB DN

    

4.447%, 03/17/23(B)

     3,000,000       2,983,266  

FHLB DN

    

4.427%, 03/03/23(B)

     2,825,000       2,814,018  

FHLB DN

    

4.404%, 02/24/23(B)

     2,000,000       1,994,152  

FHLB

    

4.375%, 04/27/23

     850,000       849,750  

FHLB DN

    

0.000%, 05/03/23(B)

     750,000       741,184  
    

 

 

 

Total U.S. Government Agency Obligations
(Cost $28,078,150)

       28,074,229  
    

 

 

 

ASSET-BACKED SECURITIES — 19.6%

 

     Face
      Amount      
            Value          

Automotive — 16.7%

    

Ally Auto Receivables Trust,

    

Ser 2022-3, Cl A2

    

5.290%, 06/16/25

    $ 95,000      $ 95,143  

American Credit Acceptance Receivables Trust, Ser 2022-2, Cl A

    

2.660%, 02/13/26 (C)

     80,339       79,820  

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

American Credit Acceptance Receivables Trust, Ser 2022-3, Cl A

    

4.120%, 02/13/26 (C)

    $ 29,089       $ 28,894   

American Credit Acceptance Receivables Trust, Ser 2023-1, Cl A

    

5.450%, 09/14/26 (C)

     235,000       234,990  

AmeriCredit Automobile Receivables Trust, Ser 2018-2, Cl D

    

4.010%, 07/18/24

     501,128       500,021  

AmeriCredit Automobile Receivables Trust, Ser 2019-2, Cl C

    

2.740%, 04/18/25

     245,467       243,124  

AmeriCredit Automobile Receivables Trust, Ser 2020-3, Cl A3

    

0.530%, 06/18/25

     81,613       80,576  

AmeriCredit Automobile Receivables Trust, Ser 2021-1, Cl A3

    

0.370%, 08/18/25

     145,323       142,748  

AmeriCredit Automobile Receivables Trust, Ser 2021-3, Cl A2

    

0.410%, 02/18/25

     48,232       47,951  

AmeriCredit Automobile Receivables Trust, Ser 2022-1, Cl A2

    

2.050%, 01/20/26

     369,064       365,002  

AmeriCredit Automobile Receivables Trust, Ser 2022-2, Cl A2A

    

4.200%, 12/18/25

     81,060       80,502  

ARI Fleet Lease Trust, Ser 2021-A, Cl A2

    

0.370%, 03/15/30 (C)

     163,299       160,852  

BMW Vehicle Lease Trust, Ser 2021-1, Cl A4

    

0.370%, 07/25/24

     325,000       318,445  

BMW Vehicle Owner Trust, Ser 2022-A, Cl A2B

    

4.830%, SOFR30A + 0.520%, 12/26/24 (A)

     51,003       51,010  

CarMax Auto Owner Trust, Ser 2022-2, Cl A2B

    

4.879%, SOFR30A + 0.600%, 05/15/25 (A)

     41,453       41,464  

CarMax Auto Owner Trust, Ser 2023-1, Cl A1

    

4.964%, 02/15/24

     165,000       165,000  
 


Catholic Responsible Investments  

Ultra Short Bond Fund

January 31, 2023

(Unaudited)

 

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount       
            Value           

Carvana Auto Receivables Trust, Ser 2019-4A, Cl C

    

2.720%, 01/15/25 (C)

    $ 7,832       $ 7,821   

Carvana Auto Receivables Trust, Ser 2021-N2, Cl A1

    

0.320%, 03/10/28

     7,232       7,131  

Chase Auto Owner Trust, Ser 2022-AA, Cl A1

    

2.983%, 08/25/23 (C)

     21,129       21,096  

Chesapeake Funding II, Ser 2020-1A, Cl A1

    

0.870%, 08/15/32 (C)

     479,319       475,068  

CPS Auto Receivables Trust, Ser 2019-D, Cl D

    

2.720%, 09/15/25 (C)

     197,221       195,392  

CPS Auto Receivables Trust, Ser 2022-C, Cl A

    

4.180%, 04/15/30 (C)

     73,195       72,634  

CPS Auto Receivables Trust, Ser 2023-A, Cl A

    

5.540%, 03/16/26 (C)

     230,000       229,992  

Donlen Fleet Lease Funding 2, Ser 2021-2, Cl A1

    

4.732%, ICE LIBOR USD 1 Month + 0.330%,
12/11/34 (A)(C)

     120,061       119,700  

Drive Auto Receivables Trust, Ser 2020-1, Cl C

    

2.360%, 03/16/26

     25,451       25,425  

Drive Auto Receivables Trust, Ser 2020-2, Cl C

    

2.280%, 08/17/26

     78,039       77,386  

Drive Auto Receivables Trust, Ser 2021-1, Cl C

    

1.020%, 06/15/27

     158,782       155,601  

DT Auto Owner Trust, Ser 2020-3A, Cl B

    

0.910%, 12/16/24 (C)

     13,262       13,237  

DT Auto Owner Trust, Ser 2021-1A, Cl B

    

0.620%, 09/15/25 (C)

     123,986       123,265  

DT Auto Owner Trust, Ser 2021-2A, Cl A

    

0.410%, 03/17/25 (C)

     5,204       5,194  

DT Auto Owner Trust, Ser 2021-3A, Cl A

    

0.330%, 04/15/25 (C)

     78,807       78,255  

Enterprise Fleet Financing, Ser 2019-3, Cl A3

    

2.190%, 05/20/25 (C)

     375,000       373,749  

Exeter Automobile Receivables Trust, Ser 2020-2A, Cl C

    

3.280%, 05/15/25 (C)

     45,620       45,445  

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

Exeter Automobile Receivables Trust, Ser 2021-3A, Cl B

    

0.690%, 01/15/26

    $ 80,500       $ 79,369   

Exeter Automobile Receivables Trust, Ser 2022-3A, Cl A2

    

3.450%, 08/15/24

     46,071       45,985  

Exeter Automobile Receivables Trust, Ser 2022-4A, Cl A2

    

3.990%, 08/15/24

     44,739       44,669  

Exeter Automobile Receivables Trust, Ser 2022-5A, Cl A2

    

5.290%, 01/15/25

     175,000       174,863  

Exeter Automobile Receivables Trust, Ser 2022-6A, Cl A1

    

4.457%, 12/15/23

     57,212       57,204  

First Investors Auto Owner Trust, Ser 2021-1A, Cl A

    

0.450%, 03/16/26 (C)

     65,808       65,170  

Flagship Credit Auto Trust, Ser 2020-3, Cl B

    

1.410%, 09/15/26 (C)

     220,270       217,822  

Flagship Credit Auto Trust, Ser 2021-1, Cl A

    

0.310%, 06/16/25 (C)

     40,253       40,090  

Flagship Credit Auto Trust, Ser 2021-2, Cl A

    

0.370%, 12/15/26 (C)

     140,412       138,483  

Flagship Credit Auto Trust, Ser 2023-1, Cl A1

    

4.922%, 02/15/24 (C)

     270,000        

Ford Credit Auto Lease Trust, Ser 2021-A, Cl B

    

0.470%, 05/15/24

     350,000       344,894  

Ford Credit Auto Lease Trust, Ser 2021-B, Cl A3

    

0.370%, 10/15/24

     491,000       481,283  

Ford Credit Auto Lease Trust, Ser 2022-A, Cl A2B

    

4.879%, SOFR30A + 0.600%, 10/15/24 (A)

     30,193       30,217  

Ford Credit Auto Lease Trust, Ser 2023-A, Cl A1

    

4.959%, 02/15/24

     155,000       155,025  

Ford Credit Auto Owner Trust, Ser 2022-C, Cl A1

    

3.633%, 10/15/23

     55,817       55,771  

Ford Credit Auto Owner Trust, Ser 2022-D, Cl A1

    

4.594%, 12/15/23

     199,613       199,581  

Foursight Capital Automobile Receivables Trust, Ser 2022-2, Cl A1

    

3.312%, 08/15/23 (C)

     10,025       10,018  
 


Catholic Responsible Investments  

Ultra Short Bond Fund

January 31, 2023

(Unaudited)

 

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount       
            Value           

Foursight Capital Automobile Receivables Trust, Ser 2023-1, Cl A1

    

4.974%, 02/15/24 (C)

    $ 228,000       $   

GLS Auto Receivables Issuer Trust, Ser 2021-2A, Cl B

    

0.770%, 09/15/25 (C)

     150,217       149,166  

GLS Auto Receivables Issuer Trust, Ser 2021-3A, Cl A

    

0.420%, 01/15/25 (C)

     120,072       119,580  

GM Financial Automobile Leasing Trust, Ser 2021-1, Cl A3

    

0.260%, 02/20/24

     73,289       72,792  

GM Financial Automobile Leasing Trust, Ser 2021-2, Cl A4

    

0.410%, 05/20/25

     200,000       193,990  

GM Financial Automobile Leasing Trust, Ser 2021-3, Cl A3

    

0.390%, 10/21/24

     300,000       292,602  

GM Financial Consumer Automobile Receivables Trust, Ser 2023-1, Cl A1

    

4.890%, 01/16/24

     483,000       483,000  

Honda Auto Receivables Owner Trust, Ser 2020-1, Cl A3

    

1.610%, 04/22/24

     82,038       81,370  

Hyundai Auto Lease Securitization Trust, Ser 2022-B, Cl A2B

    

4.899%, SOFR30A + 0.620%, 10/15/24 (A)(C)

     80,911       80,915  

Hyundai Auto Lease Securitization Trust, Ser 2023-A, Cl A2A

    

5.200%, 04/15/25 (C)

     100,000       99,991  

Mercedes-Benz Auto Lease Trust, Ser 2021-B, Cl A3

    

0.400%, 11/15/24

     260,000       253,476  

Nissan Auto Receivables Owner Trust, Ser 2020-A, Cl A3

    

1.380%, 12/16/24

     230,880       228,075  

Santander Drive Auto Receivables Trust, Ser 2020-2, Cl C

    

1.460%, 09/15/25

     54,495       54,353  

Santander Drive Auto Receivables Trust, Ser 2021-1, Cl C

    

0.750%, 02/17/26

     198,499       195,571  

Santander Drive Auto Receivables Trust, Ser 2022-4, Cl A2

    

4.050%, 07/15/25

     120,455       120,126  

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

Santander Drive Auto Receivables Trust, Ser 2022-5, Cl A2

    

3.980%, 01/15/25

    $ 83,571       $ 83,256   

Santander Drive Auto Receivables Trust, Ser 2022-5, Cl A3

    

4.110%, 08/17/26

     225,000       222,515  

Santander Drive Auto Receivables Trust, Ser 2022-6, Cl A2

    

4.370%, 05/15/25

     85,000       84,694  

Santander Drive Auto Receivables Trust, Ser 2023-1, Cl A2

    

5.360%, 05/15/26

     355,000       355,009  

Toyota Lease Owner Trust, Ser 2021-B, Cl A3

    

0.420%, 10/21/24 (C)

     300,000       292,494  

United Auto Credit Securitization Trust, Ser 2022-1, Cl A

    

1.110%, 07/10/24 (C)

     12,053       12,021  

United Auto Credit Securitization Trust, Ser 2022-2, Cl A

    

4.390%, 04/10/25 (C)

     96,847       96,450  

United Auto Credit Securitization Trust, Ser 2023-1, Cl A

    

5.570%, 07/10/25 (C)

     176,000       176,034  

Westlake Automobile Receivables Trust, Ser 2019-3A, Cl D

    

2.720%, 11/15/24 (C)

     180,597       179,325  

Westlake Automobile Receivables Trust, Ser 2021-1A, Cl A2A

    

0.390%, 10/15/24 (C)

     3,938       3,931  

Westlake Automobile Receivables Trust, Ser 2021-2A, Cl A2A

    

0.320%, 04/15/25 (C)

     130,912       129,720  

Westlake Automobile Receivables Trust, Ser 2021-3A, Cl A2

    

0.570%, 09/16/24 (C)

     184,688       183,560  

Westlake Automobile Receivables Trust, Ser 2022-3A, Cl A1

    

4.005%, 10/16/23 (C)

     152,001       151,816  

Westlake Automobile Receivables Trust, Ser 2023-1A, Cl A1

    

5.046%, 01/16/24 (C)

     416,000       416,101  
 


Catholic Responsible Investments  

Ultra Short Bond Fund

January 31, 2023

(Unaudited)

 

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

World Omni Auto Receivables Trust, Ser 2019-A, Cl A4

    

3.220%, 06/16/25

    $ 118,967       $ 118,875   

World Omni Auto Receivables Trust, Ser 2022-B, Cl A2B

    

4.849%, SOFR30A + 0.570%, 10/15/25 (A)

     55,271       55,262  

World Omni Automobile Lease Securitization Trust, Ser 2020-B, Cl A4

    

0.520%, 02/17/26

     147,000       145,420  

World Omni Select Auto Trust, Ser 2020-A, Cl A3

    

0.550%, 07/15/25

     182,017       180,660  
    

 

 

 

       12,114,527  
    

 

 

 

Other Asset-Backed Securities — 2.9%

 

BHG Securitization Trust, Ser 2022-C, Cl A

    

5.320%, 10/17/35 (C)

     87,505       86,890  

CNH Equipment Trust, Ser 2019-B, Cl A4

    

2.640%, 05/15/26

     150,000       149,559  

Dell Equipment Finance Trust, Ser 2021-2, Cl A3

    

0.530%, 12/22/26 (C)

     375,000       361,746  

Dell Equipment Finance Trust, Ser 2022-2, Cl A1

    

3.062%, 07/24/23 (C)

     51,330       51,266  

DLL, Ser 2019-DA1, Cl A4

    

2.920%, 04/20/27 (C)

     54,510       54,355  

DLLAD, Ser 2021-1A, Cl A2

    

0.350%, 09/20/24 (C)

     82,976       81,872  

DLLAD, Ser 2023-1A, Cl A1

    

5.014%, 02/20/24 (C)

     234,667       234,667  

GreatAmerica Leasing Receivables Funding Series, Ser 2022-1, Cl A1

    

4.335%, 10/16/23 (C)

     89,638       89,498  

Hpefs Equipment Trust, Ser 2020-1A, Cl D

    

2.260%, 02/20/30 (C)

     350,000       348,383  

Hpefs Equipment Trust, Ser 2022-2A, Cl A1

    

1.905%, 05/22/23 (C)

     9,706       9,690  

Hpefs Equipment Trust, Ser 2022-3A, Cl A1

    

4.331%, 10/20/23 (C)

     143,341       143,160  

Kubota Credit Owner Trust, Ser 2022-2A, Cl A1

    

3.052%, 07/17/23 (C)

     35,293       35,242  

Marlin Receivables, Ser 2022-1A, Cl A1

    

3.372%, 07/20/23 (C)

     56,371       56,208  

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

MMAF Equipment Finance, Ser 2022-B, Cl A1

    

4.924%, 12/01/23 (C)

    $ 152,343       $ 152,275   

SCF Equipment Leasing, Ser 2022-2A, Cl A1

    

4.556%, 11/20/23 (C)

     75,951       75,924  

Verizon Owner Trust, Ser 2020-A, Cl B

    

1.980%, 07/22/24

     190,000       188,612  
    

 

 

 

       2,119,347  
    

 

 

 

Total Asset-Backed Securities
(Cost $14,719,331)

       14,233,874  
    

 

 

 

U.S. TREASURY OBLIGATIONS — 18.1%

 

     Face
      Amount      
            Value          

U.S. Cash Management Bill

    

3.940%, 02/14/23(B)

    $ 402,500      $ 401,877  

U.S. Treasury Bill

    

4.678%, 06/08/23(B)

     1,400,000       1,377,466  

4.628%, 04/27/23(B)

     2,250,000       2,226,110  

4.609%, 05/02/23(B)

     2,000,000       1,977,208  

4.462%, 04/04/23(B)

     3,150,000       3,125,805  

4.381%, 03/21/23(B)

     1,000,000       994,013  

4.263%, 02/28/23(B)

     1,500,000       1,495,000  

4.114%, 04/13/23(B)

     1,050,000       1,040,632  

4.107%, 02/02/23(B)

     484,700       484,646  
    

 

 

 

Total U.S. Treasury Obligations
(Cost $13,124,318)

       13,122,757  
    

 

 

 

CORPORATE OBLIGATIONS — 11.3%

 

     Face
      Amount      
            Value          

COMMUNICATION SERVICES — 0.3%

 

Warnermedia Holdings

    

6.098%, SOFRINDX + 1.780%, 03/15/24(A)(C)

    $ 215,000      $ 215,649  
    

 

 

 

CONSUMER DISCRETIONARY — 0.6%

 

Cargill

    

3.250%, 03/01/23(C)

     250,000       249,763  

Starbucks

    

4.551%, SOFRINDX + 0.420%, 02/14/24(A)

     175,000       174,573  
    

 

 

 

       424,336  
    

 

 

 

CONSUMER STAPLES — 0.3%

 

Daimler Trucks Finance North America

    

5.331%, U.S. SOFR + 1.000%, 04/05/24(A)(C)

     175,000       175,063  
    

 

 

 

 


Catholic Responsible Investments  

Ultra Short Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

ENERGY — 0.4%

 

Enbridge

    

4.787%, SOFRINDX + 0.630%, 02/16/24(A)

    $ 250,000       $ 249,126   
    

 

 

 

FINANCIALS — 7.2%

 

American Express

    

5.053%, SOFRINDX + 0.720%, 05/03/24(A)

     150,000       150,351  

Bank of Montreal MTN

    

4.988%, SOFRINDX + 0.710%, 03/08/24(A)

     300,000       300,472  

Canadian Imperial Bank of Commerce

    

5.129%, U.S. SOFR + 0.800%, 03/17/23(A)

     175,000       175,111  

0.450%, 06/22/23

     525,000       516,179  

Cooperatieve Rabobank UA

    

4.840%, U.S. SOFR + 0.530%, 06/28/23(A)

     300,000       300,318  

Credit Suisse NY

    

4.496%, SOFRINDX + 0.380%, 08/09/23(A)

     300,000       296,075  

Deutsche Bank NY

    

4.605%, U.S. SOFR + 0.500%, 11/08/23(A)

     225,000       224,324  

0.962%, 11/08/23

     250,000       242,410  

Equitable Financial Life Global Funding

    

4.721%, U.S. SOFR + 0.390%, 04/06/23(A)(C)

     450,000       450,046  

New York Life Global Funding MTN

    

4.686%, SOFRINDX + 0.430%, 06/06/24(A)(C)

     300,000       300,221  

Nordea Bank Abp

    

1.000%, 06/09/23(C)

     350,000       345,244  

Pacific Life Global Funding II

    

5.056%, SOFRINDX + 0.800%, 12/06/24(A)(C)

     300,000       300,219  

Svenska Handelsbanken

    

0.625%, 06/30/23(C)

     350,000       343,841  

Swedbank

    

1.300%, 06/02/23(C)

     350,000       345,716  

Truist Bank

    

4.531%, U.S. SOFR + 0.200%, 01/17/24(A)

     650,000       648,326  

UBS

    

4.559%, U.S. SOFR + 0.320%, 06/01/23(A)(C)

     375,000       375,004  
    

 

 

 

       5,313,857  
    

 

 

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount       
            Value           

HEALTH CARE — 0.5%

 

Elevance Health

    

0.450%, 03/15/23

    $ 350,000       $ 348,155   
    

 

 

 

INDUSTRIALS — 0.7%

 

Caterpillar Financial Services MTN

    

4.575%, U.S. SOFR + 0.450%, 11/13/23(A)

     200,000       200,126  

4.501%, U.S. SOFR + 0.170%, 01/10/24(A)

     175,000       174,930  

Protective Life Global Funding

    

5.340%, U.S. SOFR + 1.050%, 12/11/24(A)(C)

     150,000       150,133  
    

 

 

 

       525,189  
    

 

 

 

UTILITIES — 1.3%

 

Florida Power & Light

    

4.372%, SOFRINDX + 0.250%, 05/10/23(A)

     200,000       199,796  

National Rural Utilities Cooperative Finance MTN

    

4.494%, U.S. SOFR + 0.400%, 08/07/23(A)

     225,000       224,901  

NextEra Energy Capital Holdings

    

4.779%, SOFRINDX + 0.540%, 03/01/23(A)

     225,000       225,007  

Southern

    

4.492%, SOFRINDX + 0.370%, 05/10/23(A)

     300,000       299,769  
    

 

 

 

       949,473  
    

 

 

 

Total Corporate Obligations
(Cost $8,204,539)

       8,200,848  
    

 

 

 

COMMERCIAL PAPER — 10.9%

 

     Face
      Amount       
            Value           

Banco Santander

    

5.386%, 05/25/23(B)

    $ 200,000      $ 196,904  

Bank of Montreal

    

2.811%, 05/24/23(B)

     250,000       246,305  

Banner Health

    

4.477%, 02/08/23(B)

     350,000       349,651  

Bayerische Landesbank

    

4.840%, 02/16/23(B)

     250,000       249,499  

BofA Securities

    

5.203%, 05/19/23(B)

     300,000       295,693  

BPCE

    

4.402%, 02/03/23(B)

     525,000       524,809  

CDP Financial

    

4.957%, 05/31/23(B)

     250,000       246,044  
 


Catholic Responsible Investments  

Ultra Short Bond Fund

January 31, 2023

(Unaudited)

 

COMMERCIAL PAPER — continued

 

     Face
      Amount       
            Value           

Cooperatieve Rabobank UA

    

5.215%, 09/15/23(B)

    $ 375,000       $ 363,432   

Credit Agricole Corporate and Investment Bank

    

4.713%, 04/06/23(B)

     350,000       347,103  

DNB Bank

    

4.427%, 03/02/23(B)

     800,000       797,037  

Duke University Health System

    

4.527%, 02/08/23(B)

     300,000       299,796  

Jupiter Securitization

    

4.463%, 02/03/23(B)

     425,000       424,845  

MUFG Bank NY

    

4.387%, 02/03/23(B)

     350,000       349,874  

Natixis NY

    

4.484%, 02/13/23(B)

     350,000       349,434  

Old Line Funding

    

4.633%, 03/16/23(B)

     350,000       348,011  

Pacific Life Short Term Funding

    

4.647%, 03/03/23(B)

     280,000       278,905  

Santander UK

    

4.671%, 03/13/23(B)

     350,000       348,185  

Skandinaviska Enskilda Banken

    

4.621%, 03/13/23(B)

     350,000       348,203  

Societe Generale

    

5.320%, 09/15/23(B)

     250,000       242,154  

Sumitomo Mitsui Trust Bank

    

4.821%, 04/20/23(B)

     300,000       296,936  

Thunder Bay Funding

    

4.825%, 04/18/23(B)

     250,000       247,511  

4.762%, 03/15/23(B)

     450,000       447,544  

Westpac Banking

    

5.147%, 06/29/23(B)

     348,000       341,150  
    

 

 

 

Total Commercial Paper
(Cost $7,939,831)

       7,939,025  
    

 

 

 

CERTIFICATES OF DEPOSIT — 2.2%

 

     Face
      Amount       
            Value           

Bank of Nova Scotia

    

3.700%, 04/27/23

    $ 500,000      $ 500,599  

BofA Securities

    

1.320%, 06/16/23

     250,000       250,190  

Commonwealth Bank of Australia

    

3.380%, 04/27/23

     375,000       375,187  

Toronto-Dominion Bank

    

–%, 05/01/23

     500,000       500,741  
    

 

 

 

Total Certificates of Deposit
(Cost $1,625,000)

       1,626,717  
    

 

 

 

REPURCHASE AGREEMENTS — 1.4%

 

     Face
      Amount       
            Value           

Citi Treas

    

4.250%, dated 01/31/23, to be repurchased on 02/01/23, repurchase price $100,012, collateralized by U.S. Government Obligations, par value $100 - $102,200, 0.000%, 06/29/2023 – 07/20/2030, with a total market value of $102,030

    $ 100,000       $ 100,000   

Gold Triparty Mortgage

    

4.250%, dated 01/31/23, to be repurchased on 02/01/23, repurchase price $800,094, collateralized by U.S. Government Obligations, par value $1,000 - $10,000,000, 1.500% - 7.000%, 08/01/2025 – 01/01/2053, with a total market value of $816,000

     800,000       800,000  

Socgen Triparty Tsy

    

4.260%, dated 01/31/23, to be repurchased on 02/01/23, repurchase price $100,012, collateralized by U.S. Government Obligations, par value $100 - $115,700, 0.000% - 1.500%, 04/04/2023 – 02/15/2030, with a total market value of $102,007

     100,000       100,000  
    

 

 

 

Total Repurchase Agreements
(Cost $1,000,000)

       1,000,000  
    

 

 

 

Total Investments in Securities— 102.2%
(Cost $74,691,169)

 

   $ 74,197,450  
    

 

 

 

    

 

 

 

Percentages are based on Net Assets of $72,600,347.

 

(A)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(B)

Interest rate represents the security’s effective yield at the time of purchase.

(C)

Securities sold within the terms of a private placement memorandum, exempt from registration under section 144A of the Securities Act of 1933, as amended, and maybe sold only to dealers in the program or other “accredited investors”. The total value of these securities at January 31, 2023 was $15,976,746 and represented 22.0% of Net Assets.

 


Catholic Responsible Investments  

Ultra Short Bond Fund

January 31, 2023

(Unaudited)

 

Cl — Class

DN — Discount Note

FFCB — Federal Farm Credit Bank

FHLB — Federal Home Loan Bank

LIBOR— London Interbank Offered Rate

MTN — Medium Term Note

Ser — Series

SOFR — Secured Overnight Financing Rate

SOFRINDX — Secured Overnight Financing Rate Index

SOFR30A — Secured Overnight Financing Rate 30-day Average

USD — U.S. Dollar

For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund’s most recent financial statements.

CRI-QH-001-0300

 


Catholic Responsible Investments  

Short Duration Bond Fund

January 31, 2023

(Unaudited)

 

SCHEDULE OF INVESTMENTS

 

CORPORATE OBLIGATIONS — 44.1%

 

     Face
      Amount      
            Value          

COMMUNICATION SERVICES — 1.0%

 

Comcast

    

5.250%, 11/07/25

    $ 610,000       $ 622,848   

Sprint Spectrum

    

4.738%, 03/20/25(A)

     1,440,000       1,428,159  

Warnermedia Holdings

    

3.428%, 03/15/24(A)

     2,625,000       2,568,554  
    

 

 

 

       4,619,561  
    

 

 

 

CONSUMER DISCRETIONARY — 2.6%

 

DR Horton

    

2.600%, 10/15/25

     2,575,000       2,423,364  

Ford Motor Credit

    

2.300%, 02/10/25

     2,500,000       2,318,084  

General Motors Financial

    

4.150%, 06/19/23

     1,975,000       1,969,014  

GSK Consumer Healthcare Capital UK

    

3.125%, 03/24/25

     625,000       600,894  

GSK Consumer Healthcare Capital US

    

3.024%, 03/24/24

     525,000       512,881  

Lennar

    

4.875%, 12/15/23

     2,000,000       1,996,287  

4.750%, 05/30/25

     1,825,000       1,802,408  
    

 

 

 

       11,622,932  
    

 

 

 

CONSUMER STAPLES — 1.2%

 

Bunge Finance

    

1.630%, 08/17/25

     2,200,000       2,025,150  

CVS Pass-Through Trust

    

6.036%, 12/10/28

     2,444,746       2,459,378  

General Mills

    

5.241%, 11/18/25

     800,000       804,050  
    

 

 

 

       5,288,578  
    

 

 

 

ENERGY — 2.1%

 

Continental Resources

    

3.800%, 06/01/24

     1,695,000       1,660,811  

Equities

    

5.678%, 10/01/25

     770,000       770,500  

Hydro-Quebec

    

8.050%, 07/07/24

     2,000,000       2,090,944  

MidAmerican Energy

    

3.100%, 05/01/27

     2,000,000       1,906,052  

Petroleos Mexicanos

    

2.830%, 02/15/24

     276,750       275,061  

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

ENERGY — continued

 

Plains All American Pipeline

    

4.650%, 10/15/25

    $ 2,250,000       $ 2,225,249   
    

 

 

 

       8,928,617  
    

 

 

 

FINANCIALS — 28.8%

 

ABN AMRO Bank

    

7.750%, 05/15/23(A)

     1,700,000       1,711,522  

Aflac

    

1.125%, 03/15/26

     900,000       811,277  

African Development Bank

    

0.750%, 04/03/23

     2,450,000       2,433,389  

AIB Group

    

7.583%, U.S. SOFR + 3.456%, 10/14/26(A)(B)

     750,000       775,757  

Asian Development Bank MTN

    

1.750%, 08/14/26

     2,387,000       2,214,065  

Athene Global Funding

    

2.800%, 05/26/23(A)

     1,000,000       993,083  

2.514%, 03/08/24(A)

     1,570,000       1,513,927  

Bank of America

    

5.080%, U.S. SOFR + 1.290%, 01/20/27(B)

     1,000,000       1,002,383  

1.530%, U.S. SOFR + 0.650%, 12/06/25(B)

     1,000,000       934,160  

0.810%, U.S. SOFR + 0.740%, 10/24/24(B)

     2,000,000       1,934,366  

Bank of Ireland Group

    

6.253%, H15T1Y + 2.650%, 09/16/26(A)(B)

     815,000       821,399  

Bank of Nova Scotia

    

4.750%, 02/02/26

     750,000       748,719  

Bank One Michigan

    

8.250%, 11/01/24

     1,925,000       2,023,445  

Banque Federative du Credit Mutuel

    

4.935%, 01/26/26(A)

     750,000       748,612  

4.524%, 07/13/25(A)

     1,225,000       1,210,655  

Barclays

    

5.304%, H15T1Y + 2.300%, 08/09/26(B)

     1,450,000       1,449,697  

BB Blue Financing DAC

    

4.395%, 09/20/29

     2,500,000       2,468,136  

BPCE

    

4.000%, 04/15/24

     1,050,000       1,037,857  

Brighthouse Financial Global Funding MTN

    

1.200%, 12/15/23(A)

     1,720,000       1,658,216  

1.000%, 04/12/24(A)

     594,000       562,506  
 


Catholic Responsible Investments  

Short Duration Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

FINANCIALS — continued

 

Caisse d’Amortissement de la Dette Sociale

    

3.000%, 05/17/25(A)

    $ 428,000       $ 415,387   

0.375%, 05/27/24(A)

     1,000,000       944,325  

Canadian Imperial Bank of Commerce

    

3.945%, 08/04/25

     1,000,000       983,636  

Capital One Financial

    

4.985%, U.S. SOFR + 2.160%, 07/24/26(B)

     825,000       817,259  

4.166%, U.S. SOFR + 1.370%, 05/09/25(B)

     1,185,000       1,165,369  

CDP Financial MTN

    

1.000%, 05/26/26(A)

     1,000,000       899,527  

Central American Bank for Economic Integration

    

5.000%, 02/09/26(A)

     500,000       499,900  

Citigroup

    

5.610%, U.S. SOFR + 1.546%, 09/29/26(B)

     1,250,000       1,269,364  

5.026%, U.S. SOFR + 0.694%, 01/25/26(B)

     2,117,000       2,092,415  

2.014%, U.S. SOFR + 0.694%, 01/25/26(B)

     1,000,000       940,161  

0.776%, U.S. SOFR + 0.686%, 10/30/24(B)

     1,000,000       966,639  

Council of Europe Development Bank

    

3.000%, 06/16/25

     1,000,000       971,900  

Credit Agricole MTN

    

1.907%, U.S. SOFR + 1.676%, 06/16/26(A)(B)

     2,525,000       2,330,618  

Credit Suisse Group

    

2.593%, U.S. SOFR + 1.560%, 09/11/25(A)(B)

     3,050,000       2,788,233  

Credit Suisse NY

    

4.750%, 08/09/24

     625,000       606,793  

Daimler Truck Finance North America

    

5.150%, 01/16/26(A)

     710,000       713,328  

Danske Bank

    

6.466%, H15T1Y + 2.100%, 01/09/26(A)(B)

     875,000       887,677  

Deutsche Bank NY

    

2.222%, U.S. SOFR + 2.159%, 09/18/24(B)

     2,605,000       2,549,673  

1.686%, 03/19/26

     1,000,000       910,936  

Equitable Financial Life Global Funding

    

1.100%, 11/12/24(A)

     2,670,000       2,499,745  

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

FINANCIALS — continued

 

European Investment Bank

    

2.875%, 06/13/25(A)

    $ 2,000,000       $ 1,941,980   

2.125%, 04/13/26

     447,000       421,485  

0.625%, 10/21/27

     2,000,000       1,731,707  

Federation des Caisses Desjardins du Quebec

    

0.700%, 05/21/24(A)

     1,500,000       1,416,804  

Fifth Third Bank

    

5.852%, U.S. SOFR + 1.230%, 10/27/25(B)

     1,130,000       1,147,330  

GATX Financial 2005-1 Pass Through Trust

    

5.697%, 01/02/25(A)

     156,537       155,693  

Goldman Sachs Group

    

5.700%, 11/01/24

     750,000       760,596  

4.387%, U.S. SOFR + 1.510%, 06/15/27(B)

     1,000,000       978,962  

0.855%, U.S. SOFR + 0.609%, 02/12/26(B)

     579,000       530,389  

HSBC Holdings

    

7.336%, U.S. SOFR + 3.030%, 11/03/26(B)

     1,000,000       1,054,905  

ING Bank

    

5.800%, 09/25/23(A)

     2,500,000       2,500,510  

ING Groep

    

1.400%, H15T1Y + 1.100%, 07/01/26(A)(B)

     1,000,000       910,453  

Inter-American Development Bank

    

0.500%, 05/24/23

     1,550,000       1,529,742  

International Bank for Reconstruction & Development MTN

    

4.701%, SOFRINDX + 0.390%, 06/17/24(B)

     1,000,000       1,003,180  

4.633%, U.S. SOFR + 0.300%, 08/06/24(B)

     1,500,000       1,504,905  

1.875%, 06/19/23

     1,000,000       988,399  

0.250%, 11/24/23

     500,000       481,755  

0.000%, 03/31/27(C)

     2,500,000       2,241,515  

International Finance

    

4.421%, U.S. SOFR + 0.090%, 04/03/24(B)

     2,000,000       1,998,441  

0.500%, 03/20/23

     1,000,000       994,800  

JPMorgan Chase

    

1.045%, U.S. SOFR + 0.800%, 11/19/26(B)

     1,500,000       1,341,592  

0.768%, U.S. SOFR + 0.490%, 08/09/25(B)

     1,000,000       931,241  
 


Catholic Responsible Investments  

Short Duration Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

FINANCIALS — continued

 

0.653%, TSFR3M + 0.600%, 09/16/24(B)

    $ 2,500,000       $ 2,429,411   

Kansas City Southern

    

3.850%, 11/15/23

     1,975,000       1,950,560  

KBC Group

    

5.796%, H15T1Y + 2.100%, 01/19/29(A)(B)

     295,000       298,845  

KeyBank

    

4.150%, 08/08/25

     1,165,000       1,150,997  

Macquarie Group

    

5.108%, U.S. SOFR + 2.208%, 08/09/26(A)(B)

     1,450,000       1,450,018  

Manufacturers & Traders Trust

    

5.400%, 11/21/25

     1,000,000       1,015,949  

4.650%, 01/27/26

     1,650,000       1,645,813  

Massachusetts Mutual Life Insurance

    

7.625%, 11/15/23(A)

     1,250,000       1,268,585  

Metropolitan Tower Life Insurance

    

7.625%, 01/15/24(A)

     2,000,000       2,035,966  

Mitsubishi UFJ Financial Group

    

5.063%, H15T1Y + 1.550%, 09/12/25(B)

     1,000,000       998,431  

4.788%, H15T1Y + 1.700%, 07/18/25(B)

     1,000,000       993,251  

2.527%, 09/13/23

     1,000,000       984,074  

Morgan Stanley

    

5.000%, 11/24/25

     3,425,000       3,441,953  

3.737%, ICE LIBOR USD 3 Month + 0.847%, 04/24/24(B)

     1,000,000       996,423  

0.864%, U.S. SOFR + 0.745%, 10/21/25(B)

     1,000,000       926,467  

National Australia Bank

    

4.966%, 01/12/26

     700,000       707,588  

National Bank of Canada MTN

    

0.550%, H15T1Y + 0.400%, 11/15/24(B)

     2,000,000       1,927,233  

NatWest Group

    

2.359%, H15T1Y + 2.150%, 05/22/24(B)

     1,000,000       989,214  

NatWest Markets

    

3.479%, 03/22/25(A)

     1,585,000       1,529,399  

OPEC Fund for International Development

    

4.500%, 01/26/26(A)

     450,000       448,442  

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

FINANCIALS — continued

 

PNC Financial Services Group

    

5.671%, SOFRINDX + 1.090%, 10/28/25(B)

    $ 725,000       $ 733,713   

Santander Holdings USA

    

5.807%, U.S. SOFR + 2.328%, 09/09/26(B)

     1,850,000       1,867,141  

Societe Generale MTN

    

6.447%, H15T1Y + 2.300%, 01/12/27(A)(B)

     875,000       897,029  

Standard Chartered

    

7.776%, H15T1Y + 3.100%, 11/16/25(A)(B)

     1,000,000       1,042,374  

6.170%, H15T1Y + 2.050%, 01/09/27(A)(B)

     700,000       716,391  

Toronto-Dominion Bank MTN

    

4.780%, U.S. SOFR + 0.450%, 09/28/23(B)

     2,000,000       2,000,800  

Truist Financial MTN

    

4.260%, U.S. SOFR + 1.456%, 07/28/26(B)

     1,025,000       1,013,045  

TTX MTN

    

3.600%, 01/15/25(A)

     2,500,000       2,420,247  

UBS Group

    

1.008%, H15T1Y + 0.830%, 07/30/24(A)(B)

     2,500,000       2,447,050  

USAA Capital

    

1.500%, 05/01/23(A)

     1,000,000       991,865  

0.500%, 05/01/24(A)

     2,500,000       2,373,784  

Wells Fargo MTN

    

2.406%, U.S. SOFR + 1.087%, 10/30/25(B)

     4,825,000       4,604,376  

0.805%, U.S. SOFR + 0.510%, 05/19/25(B)

     1,000,000       945,568  

WLB Asset II D Pte

    

6.500%, 12/21/26(A)

     1,000,000       1,002,081  
    

 

 

 

       129,116,523  
    

 

 

 

HEALTH CARE — 1.0%

 

Adventist Health System

    

2.433%, 09/01/24

     1,415,000       1,357,714  

CommonSpirit Health

    

1.547%, 10/01/25

     1,000,000       921,092  

Elevance Health

    

5.350%, 10/15/25

     330,000       335,093  

GE HealthCare Technologies

    

5.600%, 11/15/25(A)

     950,000       965,208  

Quest Diagnostics

    

3.450%, 06/01/26

     910,000       874,500  
    

 

 

 

       4,453,607  
    

 

 

 

 


Catholic Responsible Investments  

Short Duration Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

INDUSTRIALS — 1.8%

 

AerCap Ireland Capital DAC

    

4.875%, 01/16/24

    $ 1,000,000       $ 994,291   

4.125%, 07/03/23

     1,925,000       1,913,944  

Burlington Northern and Santa Fe Railway Pass Through Trust, Ser 2006-1

    

5.720%, 01/15/24

     180,734       183,900  

CNH Industrial

    

4.500%, 08/15/23

     2,375,000       2,365,906  

Mileage Plus Holdings

    

6.500%, 06/20/27(A)

     1,215,000       1,227,527  

Nature Conservancy

    

0.467%, 07/01/23

     425,000       416,473  

Protective Life Global Funding

    

5.366%, 01/06/26(A)

     700,000       712,118  

Regal Rexnord

    

6.050%, 02/15/26(A)

     715,000       725,790  
    

 

 

 

       8,539,949  
    

 

 

 

INFORMATION TECHNOLOGY — 1.2%

 

Apple

    

2.850%, 02/23/23

     2,000,000       1,998,113  

Flex

    

6.000%, 01/15/28

     550,000       570,423  

Global Payments

    

4.000%, 06/01/23

     2,000,000       1,991,410  

Open Text

    

6.900%, 12/01/27(A)

     570,000       584,250  

Oracle

    

5.800%, 11/10/25

     200,000       205,472  
    

 

 

 

       5,349,668  
    

 

 

 

MATERIALS — 1.9%

 

Berry Global

    

4.875%, 07/15/26(A)

     1,250,000       1,217,500  

0.950%, 02/15/24

     1,300,000       1,241,285  

Celanese US Holdings

    

6.050%, 03/15/25

     1,025,000       1,033,768  

Graphic Packaging International

    

0.821%, 04/15/24(A)

     1,025,000       972,340  

LG Chemical

    

4.375%, 07/14/25(A)

     570,000       559,854  

Nutrien

    

5.950%, 11/07/25

     370,000       380,881  

1.900%, 05/13/23

     1,175,000       1,164,596  

Steel Dynamics

    

5.000%, 12/15/26

     1,550,000       1,538,500  
    

 

 

 

       8,108,724  
    

 

 

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount       
            Value           

REAL ESTATE — 0.2%

 

Realty Income

    

5.050%, 01/13/26

    $ 1,000,000       $ 1,002,354   
    

 

 

 

UTILITIES — 2.3%

 

Avangrid

    

3.200%, 04/15/25

     2,500,000       2,402,911  

3.150%, 12/01/24

     1,000,000       965,456  

Edison International

    

4.700%, 08/15/25

     1,450,000       1,428,152  

Electricite de France

    

3.625%, 10/13/25(A)

     500,000       486,503  

NorthWestern

    

1.000%, 03/26/24

     2,600,000       2,465,208  

Southern

    

5.150%, 10/06/25

     750,000       757,512  

Southern Power

    

4.150%, 12/01/25

     1,000,000       983,966  

0.900%, 01/15/26

     1,000,000       897,326  
    

 

 

 

       10,387,034  
    

 

 

 

Total Corporate Obligations
(Cost $202,263,604)

       197,417,547  
    

 

 

 

U.S. TREASURY OBLIGATIONS — 29.5%

 

     Face
      Amount       
            Value           

U.S. Treasury Notes

    

4.250%, 10/15/25

    $ 7,000,000      $ 7,045,938  

4.125%, 01/31/25

     1,100,000       1,098,281  

4.000%, 12/15/25

     5,000,000       5,009,766  

3.875%, 01/15/26

     1,150,000       1,148,652  

3.000%, 10/31/25

     2,450,000       2,387,602  

2.875%, 06/15/25

     28,000,000       27,250,781  

2.750%, 02/28/25

     7,640,000       7,422,141  

2.625%, 03/31/25

     3,640,000       3,527,956  

2.500%, 05/31/24

     15,090,000       14,676,793  

2.250%, 11/15/24

     19,350,000       18,661,412  

2.250%, 12/31/24

     2,580,000       2,484,560  

1.875%, 08/31/24

     17,875,000       17,170,474  

1.750%, 12/31/24

     14,145,000       13,501,292  

1.125%, 02/28/25

     2,780,000       2,612,548  

0.250%, 06/30/25

     9,150,000       8,368,676  
    

 

 

 

Total U.S. Treasury Obligations
(Cost $137,070,519)

       132,366,872  
    

 

 

 

 


Catholic Responsible Investments  

Short Duration Bond Fund

January 31, 2023

(Unaudited)

 

ASSET-BACKED SECURITIES — 15.5%

 

     Face
      Amount      
            Value          

Automotive — 7.3%

 

American Credit Acceptance Receivables Trust, Ser 2022-3, Cl A

    

4.120%, 02/13/26 (A)

     $ 190,695       $ 189,414   

ARI Fleet Lease Trust, Ser 2022-A, Cl A2

    

3.120%, 01/15/31 (A)

     935,000       919,715  

Avis Budget Rental Car Funding AESOP, Ser 2017-2A, Cl A

    

2.970%, 03/20/24 (A)

     1,016,667       1,014,474  

CarMax Auto Owner Trust, Ser 2023-1, Cl A2A

    

5.230%, 01/15/26

     540,000       539,739  

CarMax Auto Owner Trust, Ser 2023-1, Cl A3

    

4.750%, 10/15/27

     500,000       499,851  

Carvana Auto Receivables Trust, Ser 2021-N3, Cl B

    

0.660%, 06/12/28

     217,806       199,580  

Carvana Auto Receivables Trust, Ser 2022-P3, Cl A2

    

4.420%, 12/10/25

     803,164       798,798  

CPS Auto Receivables Trust, Ser 2022-C, Cl A

    

4.180%, 04/15/30 (A)

     505,043       501,164  

Drive Auto Receivables Trust, Ser 2021-2, Cl C

    

0.870%, 10/15/27

     1,250,000       1,208,722  

Enterprise Fleet Financing, Ser 2022-3, Cl A2

    

4.380%, 07/20/29 (A)

     285,000       280,164  

Exeter Automobile Receivables Trust, Ser 2022-4A, Cl A2

    

3.990%, 08/15/24

     331,814       331,293  

Flagship Credit Auto Trust, Ser 2022-2, Cl A2

    

3.280%, 08/15/25 (A)

     1,557,169       1,545,553  

Flagship Credit Auto Trust, Ser 2022-3, Cl A2

    

4.060%, 10/15/25 (A)

     862,633       856,376  

Ford Credit Auto Lease Trust, Ser 2023-A, Cl A3

    

4.940%, 03/15/26

     1,495,000       1,492,421  

Foursight Capital Automobile Receivables Trust, Ser 2022-2, Cl A2

    

4.490%, 03/16/26 (A)

     1,895,000       1,880,642  

Foursight Capital Automobile Receivables Trust, Ser 2023-1, Cl A2

    

5.430%, 10/15/26 (A)

     515,000        

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

Foursight Capital Automobile Receivables Trust, Ser 2023-1, Cl A3

    

5.390%, 12/15/27 (A)

    $ 900,000       $   

Hertz Vehicle Financing, Ser 2021-1A, Cl A

    

1.210%, 12/26/25 (A)

     2,575,000       2,394,948  

Hyundai Auto Lease Securitization Trust, Ser 2022- B, Cl A3

    

3.350%, 06/16/25 (A)

     1,435,000       1,406,564  

Hyundai Auto Lease Securitization Trust, Ser 2023- A, Cl A3

    

5.050%, 01/15/26 (A)

     990,000       990,619  

Hyundai Auto Lease Securitization Trust, Ser 2023-A, Cl A4

    

4.940%, 11/16/26 (A)

     900,000       900,563  

Nissan Auto Lease Trust, Ser 2023-A, Cl A4

    

4.800%, 07/15/27

     895,000       893,244  

Santander Drive Auto Receivables Trust, Ser 2022-4, Cl A2

    

4.050%, 07/15/25

     873,301       870,937  

Santander Drive Auto Receivables Trust, Ser 2022-5, Cl A2

    

3.980%, 01/15/25

     549,807       547,754  

Tesla Auto Lease Trust, Ser 2021-A, Cl B

    

1.020%, 03/20/25 (A)

     1,000,000       961,861  

Tesla Auto Lease Trust, Ser 2021-B, Cl A3

    

0.600%, 09/22/25 (A)

     1,540,000       1,460,487  

Toyota Auto Receivables Owner Trust, Ser 2022-B, Cl A3

    

2.930%, 09/15/26

     935,000       907,540  

United Auto Credit Securitization Trust, Ser 2022-2, Cl A

    

4.390%, 04/10/25 (A)

     992,819       988,765  

United Auto Credit Securitization Trust, Ser 2023-1, Cl A

    

5.570%, 07/10/25 (A)

     831,000       831,160  

Westlake Automobile Receivables Trust, Ser 2021-3A, Cl A3

    

0.950%, 06/16/25 (A)

     1,908,000       1,860,614  

Westlake Automobile Receivables Trust, Ser 2022-3A, Cl A2

    

5.240%, 07/15/25 (A)

     1,250,000       1,248,730  
 


Catholic Responsible Investments  

Short Duration Bond Fund

January 31, 2023

(Unaudited)

 

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

Westlake Automobile Receivables Trust, Ser 2023-1A, Cl A2A

    

5.510%, 06/15/26 (A)

    $ 940,000       $ 940,614   

World Omni Auto Receivables Trust, Ser 2020-C, Cl A3

    

0.480%, 11/17/25

     876,316       851,849  

World Omni Select Auto Trust, Ser 2020-A, Cl B

    

0.840%, 06/15/26

     2,500,000       2,429,578  
    

 

 

 

       32,743,733  
    

 

 

 

Other Asset-Backed Securities — 8.2%

 

American Tower Trust #1, Ser 2013-13, Cl 2A

    

3.070%, 03/15/23 ‡(A)

     3,265,000       3,251,009  

Amur Equipment Finance Receivables XI, Ser 2022-2A, Cl A2

    

5.300%, 06/21/28 (A)

     455,000       452,331  

Apidos CLO XXII, Ser 2020-22A, Cl A1R

    

5.868%, ICE LIBOR USD 3 Month + 1.060%,
04/20/31 (A)(B)

     925,000        

BHG Securitization Trust, Ser 2022-C, Cl A

    

5.320%, 10/17/35 (A)

     323,768       321,488  

CIFC Funding, Ser 2017-5A, Cl A1

    

5.972%, ICE LIBOR USD 3 Month + 1.180%,
11/16/30 (A)(B)

     1,207,586       1,201,152  

CNH Equipment Trust, Ser 2022-B, Cl A2

    

3.940%, 12/15/25

     540,000       535,541  

Dell Equipment Finance Trust, Ser 2022-2, Cl A2

    

4.030%, 07/22/27 (A)

     875,000       866,702  

DLLAD, Ser 2023-1A, Cl A2

    

5.190%, 04/20/26 (A)

     605,000       604,967  

DLLAD, Ser 2023-1A, Cl A3

    

4.790%, 01/20/28 (A)

     685,000       684,834  

DLLST, Ser 2022-1A, Cl A2

    

2.790%, 01/22/24 (A)

     717,835       712,356  

Evergreen Credit Card Trust Series, Ser 2022-CRT1, Cl B

    

5.610%, 07/15/26 (A)

     2,000,000       1,972,560  

FCI Funding, Ser 2021-1A, Cl A

    

1.130%, 04/15/33 (A)

     357,922       351,538  

Flatiron CLO 17, Ser 2021-1A, Cl AR

    

5.586%, ICE LIBOR USD 3 Month + 0.980%,
05/15/30 (A)(B)

     1,372,444       1,361,264  

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

FREED ABS Trust, Ser 2022-2CP, Cl A

    

3.030%, 05/18/29 (A)

    $ 770,822       $ 766,609   

Golub Capital Partners CLO, Ser 2017-24A, Cl AR

    

6.132%, ICE LIBOR USD 3 Month + 1.600%, 11/05/29 (A)(B)

     2,600,000       2,566,260  

GoodLeap Sustainable Home Solutions Trust, Ser 2022-3CS, Cl B

    

5.500%, 07/20/49 (A)

     500,000       452,837  

GreatAmerica Leasing Receivables Funding Series, Ser 2022-1, Cl A2

    

4.920%, 05/15/25 (A)

     605,000       603,006  

Mariner Finance Issuance Trust, Ser 2020-AA, Cl A

    

2.190%, 08/21/34 (A)

     3,250,000       3,115,625  

Marlette Funding Trust, Ser 2022-2A, Cl A

    

4.250%, 08/15/32 (A)

     233,697       230,853  

Marlette Funding Trust, Ser 2022-3A, Cl A

    

5.180%, 11/15/32 (A)

     439,421       436,443  

MMAF Equipment Finance, Ser 2021-A, Cl A5

    

1.190%, 11/13/43 (A)

     620,000       555,200  

Mosaic Solar Loan Trust, Ser 2020-1A, Cl B

    

3.100%, 04/20/46 (A)

     176,818       152,017  

OCTAGON INVESTMENT PARTNERS 35, Ser 2018-1A, Cl A1A

    

5.868%, ICE LIBOR USD 3 Month + 1.060%, 01/20/31 (A)(B)

     1,500,000       1,489,405  

Octane Receivables Trust, Ser 2021-1A, Cl A

    

0.930%, 03/22/27 (A)

     706,149       683,922  

OnDeck Asset Securitization Trust III, Ser 2021-1A, Cl A

    

1.590%, 05/17/27 (A)

     1,910,000       1,761,939  

PFS Financing, Ser 2020-A, Cl A

    

1.270%, 06/15/25 (A)

     4,000,000       3,933,797  

RR 24, Ser 2022-24A, Cl A1

    

7.058%, TSFR3M + 2.400%, 01/15/32 (A)(B)

     1,736,693       1,740,571  

SCF Equipment Leasing, Ser 2019-2A, Cl B

    

2.760%, 08/20/26 (A)

     870,000       842,201  

SCF Equipment Leasing, Ser 2020-1A, Cl A3

    

1.190%, 10/20/27 (A)

     696,409       683,193  
 


Catholic Responsible Investments  

Short Duration Bond Fund

January 31, 2023

(Unaudited)

 

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

SCF Equipment Leasing, Ser 2022-2A, Cl A2

    

6.240%, 07/20/28 (A)

    $ 750,000       $ 753,491   

TCI-Flatiron CLO, Ser 2021-1A, Cl AR

    

5.610%, ICE LIBOR USD 3 Month + 0.960%, 11/18/30 (A)(B)

     785,000       773,488  

Transportation Finance Equipment Trust, Ser 2019-1, Cl A4

    

1.880%, 03/25/24 (A)

     1,507,367       1,495,879  

Vivint Solar Financing V, Ser 2018-1A, Cl A

    

4.730%, 04/30/48 (A)

     457,572       416,162  

Vivint Solar Financing V, Ser 2018-1A, Cl B

    

7.370%, 04/30/48 (A)

     316,522       294,722  

Vivint Solar Financing VII, Ser 2020-1A, Cl B

    

3.220%, 07/31/51 (A)

     915,428       714,380  
    

 

 

 

       36,777,742  
    

 

 

 

Total Asset-Backed Securities
(Cost $72,859,797)

       69,521,475  
    

 

 

 

MORTGAGE-BACKED SECURITIES — 7.0%

 

     Face
Amount
  Value

Agency Mortgage-Backed Obligation — 1.5%

 

FHLMC

    

5.000%, 07/01/35

    $ 127,487      $ 130,988  

FNMA

    

5.000%, 03/01/34

     101,725       104,409  

3.500%, 11/01/34

     1,769,285       1,727,628  

3.000%, 02/01/35

     2,103,188       2,046,377  

FNMA, Ser 2009-62, Cl WA

    

5.580%, 08/25/39 (B)

     30,980       31,398  

FNMA, Ser 2013-9, Cl AE

    

1.750%, 03/25/39

     69,302       68,422  

FNMA, Ser 2019-18, Cl A

    

3.500%, 05/25/49

     613,876       590,274  

FNMA, Ser 2022-29, Cl MG

    

4.500%, 11/25/42

     1,819,202       1,795,998  

GNMA, Ser 2011-57, Cl BA

    

3.000%, 05/20/40

     27,811       27,164  

GNMA, Ser 2016-131, Cl A

    

2.200%, 04/16/57

     95,339       94,066  

GNMA, Ser 2017-99, Cl WA

    

4.864%, 12/20/32 (B)

     277,003       276,987  

GNMA, Ser 2022-177, Cl LA

    

3.500%, 01/20/52

     301,127       294,693  
    

 

 

 

       7,188,404  
    

 

 

 

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount       
            Value           

Non-Agency Mortgage-Backed Obligation — 5.5%

 

BANK, Ser 2018-BN10, Cl ASB

    

3.641%, 02/15/61

    $ 414,995       $ 402,032   

BX Commercial Mortgage Trust, Ser 2022-AHP, Cl A

    

5.468%, TSFR1M + 0.990%, 01/17/39 (A)(B)

     492,000       480,458  

BX Commercial Mortgage Trust, Ser 2022-AHP, Cl AS

    

5.968%, TSFR1M + 1.490%, 01/17/39 (A)(B)

     2,500,000       2,428,841  

BX Trust, Ser 2022-CLS, Cl B

    

6.300%, 10/13/27 (A)

     2,200,000       2,182,318  

CHL Mortgage Pass-Through Trust, Ser 2004-29, Cl 1A1

    

5.401%, ICE LIBOR USD 1 Month + 0.540%, 02/25/35 (B)

     11,002       9,775  

COMM Mortgage Trust, Ser 2013-CR11, Cl A4

    

4.258%, 08/10/50

     1,500,000       1,484,992  

COMM Mortgage Trust, Ser 2014-UBS5, Cl ASB

    

3.548%, 09/10/47

     479,627       472,382  

COMM Mortgage Trust, Ser 2015-LC19, Cl A4

    

3.183%, 02/10/48

     1,275,000       1,226,676  

CSAIL Commercial Mortgage Trust, Ser 2015-C1, Cl ASB

    

3.351%, 04/15/50

     907,218       888,711  

CSAIL Commercial Mortgage Trust, Ser 2018-CX11, Cl A3

    

4.095%, 04/15/51

     1,448,046       1,424,716  

DBGS Mortgage Trust, Ser 2018-C1, Cl A1

    

3.409%, 10/15/51

     96,247       95,949  

DBUBS Mortgage Trust, Ser 2017-BRBK, Cl E

    

3.530%, 10/10/34 (A)(B)

     521,000       460,702  

Extended Stay America Trust, Ser 2021-ESH, Cl B

    

5.839%, ICE LIBOR USD 1 Month + 1.380%, 07/15/38 (A)(B)

     1,073,811       1,049,615  

GS Mortgage Securities II, Ser 2018-GS10, Cl WLSC

    

5.067%, 03/10/33 (A)(B)

     400,000       349,208  

GS Mortgage Securities Trust, Ser 2022-SHIP, Cl A

    

5.209%, TSFR1M + 0.731%, 08/15/36 (A)(B)

     115,000       114,440  

GSR Mortgage Loan Trust, Ser 2004-9, Cl 3A1

    

3.502%, 08/25/34 (B)

     16,576       15,510  
 


Catholic Responsible Investments  

Short Duration Bond Fund

January 31, 2023

(Unaudited)

 

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

Hudson Yards Mortgage Trust, Ser 2016-10HY, Cl A

    

2.835%, 08/10/38 (A)

    $ 1,000,000       $ 901,217   

JP Morgan Mortgage Trust, Ser 2006-A2, Cl 4A1

    

4.061%, 08/25/34 (B)

     14,312       14,198  

Life Mortgage Trust, Ser 2021- BMR, Cl A

    

5.159%, ICE LIBOR USD 1 Month + 0.700%,
03/15/38 (A)(B)

     1,867,643       1,826,713  

MHC Commercial Mortgage Trust, Ser 2021-MHC, Cl A

    

5.260%, ICE LIBOR USD 1 Month + 0.801%,
04/15/38 (A)(B)

     4,650,000       4,567,098  

Morgan Stanley Bank of America Merrill Lynch Trust, Ser 2015-C20, Cl ASB

    

3.069%, 02/15/48

     696,268       679,950  

One Market Plaza Trust, Ser 2017-1MKT, Cl B

    

3.845%, 02/10/32 (A)

     2,000,000       1,854,315  

One Market Plaza Trust, Ser 2017-1MKT, Cl C

    

4.016%, 02/10/32 (A)

     965,000       884,975  

Sequoia Mortgage Trust, Ser 2013-2, Cl A

    

1.874%, 02/25/43 (B)

     90,810       77,092  

STWD Mortgage Trust, Ser 2021-LIH, Cl D

    

6.764%, ICE LIBOR USD 1 Month + 2.305%,
11/15/36 (A)(B)

     450,000       422,997  
    

 

 

 

       24,314,880  
    

 

 

 

Total Mortgage-Backed Securities
(Cost $32,158,038)

       31,503,284  
    

 

 

 

MUNICIPAL BONDS — 2.6%

 

     Face
Amount
  Value

California — 0.6%

    

California Community Choice Financing Authority, RB

    

5.950%, 08/01/29

    $ 825,000      $ 833,088  

City of Union City California, RB

    
    

5.920%, 07/01/24

     1,730,000       1,750,124  
    

 

 

 

       2,583,212  
    

 

 

 

Florida — 0.2%

    

Florida Development Finance, RB

    

7.250%, 07/01/57 (A)(B)

     1,000,000       998,271  
    

 

 

 

MUNICIPAL BONDS — continued

 

     Face
      Amount       
            Value           

Hawaii — 0.2%

    

State of Hawaii Department of Business Economic Development & Tourism, Ser A-2, RB

    

3.242%, 01/01/31

    $ 1,072,517       $ 1,011,463   
    

 

 

 

Illinois — 0.1%

    

Chicago Housing Authority, Ser B, RB

    

3.822%, 01/01/26

     250,000       243,967  
    

 

 

 

Indiana — 0.1%

    

City of Fort Wayne Indiana, RB

    

10.750%, 12/01/29

     500,000       499,524  
    

 

 

 

Louisiana — 0.3%

    

Louisiana Local Government Environmental Facilities & Community Development Auth, RB

    

3.615%, 02/01/29

     1,145,000       1,123,870  
    

 

 

 

Michigan — 0.1%

    

City of Detroit Michigan, Ser B, GO

    

2.017%, 04/01/23

     375,000       372,754  
    

 

 

 

Montana — 0.1%

    

County of Gallatin Montana, RB

    

11.500%, 09/01/27 (A)

     250,000       263,083  
    

 

 

 

New Jersey — 0.4%

    

New Jersey Economic Development Authority, RB

    

4.984%, 03/01/27

     1,000,000       1,007,061  

4.927%, 03/01/26

     1,000,000       1,007,919  
    

 

 

 

       2,014,980  
    

 

 

 

New York — 0.4%

    

New York State Energy Research & Development Authority, Ser A, RB

    

4.480%, 04/01/25

     500,000       496,412  

4.336%, 04/01/24

     1,000,000       993,802  

Utility Debt Securitization Authority, Ser T, RB

    

3.435%, 12/15/25

     653,000       649,253  
    

 

 

 

       2,139,467  
    

 

 

 

South Dakota — 0.1%

    

South Dakota Housing Development Authority, Ser E, RB

    

5.460%, 05/01/53

     250,000       254,556  
    

 

 

 

Total Municipal Bonds
(Cost $11,560,671)

       11,505,147  
    

 

 

 

 


Catholic Responsible Investments  

Short Duration Bond Fund

January 31, 2023

(Unaudited)

 

U.S. GOVERNMENT AGENCY OBLIGATIONS — 1.2%

 

     Face
      Amount       
            Value           

Export-Import Bank of the United States

    

2.628%, 11/12/26

    $ 2,260,106       $ 2,199,737   

Export-Import Bank of the United States

    

1.900%, 07/12/24

     651,042       640,088  

United States International Development Finance

    

2.820%, 03/20/24

     1,950,000       1,929,034  

United States International Development Finance

    

1.790%, 10/15/29

     402,095       365,006  
    

 

 

 

Total U.S. Government Agency Obligations
(Cost $5,296,268)

       5,133,865  
    

 

 

 

REPURCHASE AGREEMENT — 0.1%

 

     Face
Amount
  Value

Socgen Triparty Tsy

    

4.260%, dated 01/31/23, to be repurchased on 02/01/23, repurchase price $500,060, collateralized by U.S. Government Treasury Bills, par value $300 - $534,400, 2.875% - 3.375%, 05/15/2032 – 08/15/2042, with a total market value of $510,065

    $ 500,000      $ 500,000  
    

 

 

 

Total Repurchase Agreements
(Cost $500,000)

       500,000  
    

 

 

 

Total Investments in Securities— 100.0%
(Cost $461,708,897)

   $ 447,948,190  
    

 

 

 

    

 

 

 

Percentages are based on Net Assets of $448,048,503.

A list of the open futures contracts held by the Fund at January 31, 2023, is as follows:

 

           

Type of

Contract

 

Number

of

Contracts

 

Expiration

Date

 

Notional

Amount

  Value  

Unrealized

Appreciation/

(Depreciation)

Long Contracts          

U.S. 2- Year Treasury Note

    208       Mar-2023     $ 42,659,787     $ 42,774,875     $ 115,088  
     

 

 

 

 

 

 

 

 

 

 

 

Short Contracts          

U.S. 5- Year Treasury Note

    (38)       Mar-2023       (4,107,011)       (4,151,203)       (44,192)  
     

 

 

 

 

 

 

 

 

 

 

 

      $ 38,552,776     $ 38,623,672     $ 70,896  
     

 

 

 

 

 

 

 

 

 

 

 

 

(A)

Securities sold within the terms of a private placement memorandum, exempt from registration under section 144A of the Securities Act of 1933, as amended, and maybe sold only to dealers in the program or other “accredited investors”. The total value of these securities at January 31, 2023 was $135,468,615 and represented 30.2% of Net Assets.

(B)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(C)

Zero coupon security.

AMT — Alternative Minimum Tax

Cl — Class

CLO — Collateralized Loan Obligation

DAC — Designated Activity Company

FHLMC — Federal Home Loan Mortgage Corporation

FNMA — Federal National Mortgage Association

GNMA — Government National Mortgage Association

GO — General Obligation

H15T1Y — US Treasury Yield Curve Rate T Note Constant Maturity 1 Year

LIBOR— London Interbank Offered Rate

MTN — Medium Term Note

NATL— National Public Finance Guarantee Corporation

RB — Revenue Bond

Ser — Series

SOFR — Secured Overnight Financing Rate

SOFRINDX — Secured Overnight Financing Rate Index

TSFR1M — Term Secured Overnight Financing Rate 1 Month

TSFR3M — Term Secured Overnight Financing Rate 3 Month

USD — U.S. Dollar

For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund’s most recent financial statements.

CRI-QH-001-0300

 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

SCHEDULE OF INVESTMENTS

 

MORTGAGE-BACKED SECURITIES — 33.7%

 

     Face
      Amount      
            Value          

Agency Mortgage-Backed Obligation — 27.6%

 

FHLMC

    

7.000%, 11/01/32

    $ 234,401       $ 243,325   

7.000%, 10/01/32

     6,671       6,994  

7.000%, 09/01/32

     12,911       13,495  

7.000%, 07/01/32

     2,815       2,965  

7.000%, 06/01/32

     47,677       50,340  

6.500%, 01/01/38

     832       877  

6.500%, 11/01/37

     1,211       1,248  

6.500%, 09/01/37

     24,858       25,955  

6.500%, 08/01/37

     2,123       2,202  

6.500%, 12/01/32

     75,492       79,643  

6.500%, 12/01/31

     2,081       2,175  

6.000%, 05/01/39

     38,825       41,083  

6.000%, 04/01/39

     15,781       16,316  

6.000%, 02/01/39

     16,215       17,110  

6.000%, 09/01/38

     9,722       10,252  

6.000%, 06/01/38

     3,189       3,187  

6.000%, 11/01/36

     27,510       28,713  

6.000%, 12/01/33

     10,814       11,322  

6.000%, 01/01/24

     7,593       7,565  

5.856%, ICE LIBOR USD 12 MONTH + 1.623%, 12/01/45 (A)

     125,667       128,382  

5.500%, 11/01/52

     20,124,552       20,455,698  

5.500%, 06/01/37

     522       531  

5.500%, 01/01/35

     81,198       84,994  

5.000%, 10/01/52

     0        

5.000%, 04/01/34

     5,698       5,793  

4.500%, 10/01/52

     4,922,856       4,862,245  

4.500%, 09/01/52

     8,263,278       8,168,128  

4.500%, 06/01/52

     1,619,186       1,606,013  

4.500%, 09/01/48

     698,549       704,108  

4.500%, 03/01/47

     483,757       487,807  

4.500%, 03/01/46

     88,063       88,800  

4.500%, 11/01/45

     183,199       184,768  

4.500%, 02/01/45

     618,267       617,879  

4.500%, 10/01/44

     26,285       26,451  

4.500%, 08/01/44

     478,812       482,819  

4.500%, 07/01/44

     166,369       167,762  

4.500%, 03/01/44

     10,893       10,984  

4.500%, 01/01/44

     105,351       106,215  

4.500%, 12/01/43

     86,913       87,458  

4.500%, 11/01/43

     11,784       11,988  

4.500%, 05/01/42

     44,004       44,766  

4.500%, 09/01/41

     141,132       143,576  

4.500%, 07/01/41

     20,821       21,182  

4.500%, 05/01/41

     45,168       45,940  

4.500%, 04/01/40

     59,441       60,455  

4.500%, 12/01/33

     19,858       20,120  

4.500%, 06/01/31

     20,179       20,544  

4.500%, 06/01/26

     2,924       2,960  

4.500%, 02/01/26

     5,411       5,482  

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

4.285%, ICE LIBOR USD 12 Month + 2.035%, 09/01/37 (A)

    $ 1,932       $ 1,898   

4.200%, ICE LIBOR USD 12 Month + 1.972%, 04/01/40 (A)

     4,342       4,292  

4.000%, 08/01/52

     1,358,600       1,320,426  

4.000%, 01/01/52

     1,285,800       1,242,912  

4.000%, 05/01/46

     768,131       757,615  

4.000%, 07/01/34

     68,355       67,773  

4.000%, 10/01/31

     41,038       40,891  

3.919%, ICE LIBOR USD 12 Month + 1.632%, 05/01/46 (A)

     26,114       26,709  

3.880%, ICE LIBOR USD 12 MONTH + 1.630%, 12/01/44 (A)

     32,256       32,166  

3.864%, ICE LIBOR USD 12 Month + 1.614%, 11/01/44 (A)

     32,799       33,013  

3.856%, ICE LIBOR USD 12 MONTH + 1.877%, 01/01/42 (A)

     33,442       33,943  

3.845%, ICE LIBOR USD 12 MONTH + 1.810%, 10/01/41 (A)

     7,889       7,983  

3.799%, ICE LIBOR USD 12 MONTH + 1.788%, 08/01/42 (A)

     3,108       3,149  

3.780%, ICE LIBOR USD 12 MONTH + 1.609%, 10/01/44 (A)

     53,499       53,990  

3.750%, ICE LIBOR USD 12 MONTH + 1.607%, 11/01/44 (A)

     357,907       360,697  

3.684%, ICE LIBOR USD 12 MONTH + 1.630%, 07/01/44 (A)

     28,968       29,214  

3.660%, ICE LIBOR USD 12 MONTH + 1.613%, 01/01/44 (A)

     27,820       27,889  

3.592%, ICE LIBOR USD 12 Month + 1.630%, 01/01/45 (A)

     23,721       23,879  

3.532%, ICE LIBOR USD 12 MONTH + 1.762%, 11/01/39 (A)

     96,173       97,666  

3.500%, 07/01/52

     9,988,570       9,406,736  

3.500%, 06/01/52

     2,353,020       2,213,117  

3.500%, 05/01/52

     5,593,551       5,268,276  

3.500%, 04/01/52

     15,910,684       14,963,664  

3.500%, 02/01/52

     589,241       553,103  

3.500%, 01/01/52

     1,820,600       1,707,818  

3.500%, 04/01/37

     422,535       414,523  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

3.467%, ICE LIBOR USD 12 MONTH + 1.630%, 01/01/45 (A)

    $ 175,653       $ 175,038   

3.169%, ICE LIBOR USD 12 Month + 1.630%, 02/01/45 (A)

     169,309       165,228  

3.005%, ICE LIBOR USD 12 MONTH + 1.630%, 05/01/44 (A)

     5,566       5,564  

3.000%, 03/01/52

     1,507,534       1,383,760  

3.000%, 02/01/50

     3,600,438       3,317,211  

2.888%, ICE LIBOR USD 12 MONTH + 1.650%, 04/01/43 (A)

     48,662       48,380  

2.824%, ICE LIBOR USD 12 MONTH + 1.655%, 08/01/44 (A)

     244,846       245,895  

2.756%, ICE LIBOR USD 12 MONTH + 1.630%, 02/01/45 (A)

     14,128       14,064  

2.528%, ICE LIBOR USD 12 MONTH + 1.702%, 04/01/38 (A)

     94,760       95,595  

2.500%, 09/01/52

     8,381,996       7,346,526  

2.500%, 02/01/51

     2,544,351       2,270,518  

2.500%, 11/01/50

     4,028,369       3,566,089  

2.500%, 10/01/50

     3,217,142       2,858,159  

2.500%, 07/01/50

     5,295,123       4,688,549  

2.500%, 01/01/36

     1,218,368       1,140,753  

2.472%, ICE LIBOR USD 12 MONTH + 1.630%, 02/01/45 (A)

     143,048       142,455  

2.224%, ICE LIBOR USD 12 Month + 1.724%, 04/01/36 (A)

     5,646       5,536  

2.000%, 06/01/52

     3,779,394       3,181,869  

2.000%, 04/01/52

     1,878,772       1,580,839  

2.000%, 02/01/52

     1,817,849       1,529,920  

2.000%, 01/01/52

     1,526,535       1,294,428  

2.000%, 12/01/50

     3,904,133       3,328,247  

2.000%, 11/01/50

     1,448,680       1,238,918  

2.000%, 09/01/50

     1,305,319       1,106,650  

2.000%, 07/01/50

     5,980,846       5,124,411  

2.000%, 02/01/42

     1,852,193       1,610,773  

FHLMC Multifamily ML Certificates, Ser ML13, Cl ACA

    

2.875%, 07/25/36

     2,489,965       2,205,793  

FHLMC Multifamily Variable Rate Certificate, Ser M069, Cl A

    

4.013%, 04/15/37

     1,240,000       1,201,089  

FHLMC STACR REMIC Trust 2021-DNA3, Ser 2021-DNA3, Cl M2

    

6.410%, SOFR30A + 2.100%, 10/25/33 (A)(B)

     945,000       939,982  

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

FHLMC STACR REMIC Trust 2021-DNA6, Ser 2021-DNA6, Cl M2

    

5.810%, SOFR30A + 1.500%, 10/25/41 (A)(B)

    $ 2,470,000       $ 2,365,142   

FHLMC Structured Pass-Through Certificates, Ser 2002-41, Cl 2A

    

4.770%, 07/25/32 (A)

     21,393       21,208  

FHLMC Structured Pass-Through Certificates, Ser 2002-48, Cl 1A

    

4.425%, 07/25/33 (A)

     193,727       187,624  

FHLMC Structured Pass-Through Certificates, Ser 2002-51, Cl 1A

    

6.500%, 09/25/43 (A)

     114,558       120,059  

FHLMC Structured Pass-Through Certificates, Ser 2002-51, Cl 2A

    

7.500%, 08/25/42 (A)

     45,893       48,459  

FHLMC Structured Pass-Through Certificates, Ser 2003-54, Cl 3A

    

7.000%, 02/25/43

     354,297       370,048  

FHLMC Structured Pass-Through Certificates, Ser 2003-57, Cl 1A2

    

7.000%, 07/25/43

     21,921       23,536  

FHLMC, Ser 1998-2084, Cl ZC

    

6.500%, 08/15/28

     48,852       50,001  

FHLMC, Ser 2001-2295, Cl BD

    

6.000%, 03/15/31

     11,684       12,152  

FHLMC, Ser 2003-2676, Cl PZ

    

5.500%, 09/15/33

     44,821       45,724  

FHLMC, Ser 2005-2944, Cl OH

    

5.500%, 03/15/35

     150,317       155,602  

FHLMC, Ser 2005-2957, Cl VZ

    

5.000%, 02/15/35

     44,844       45,303  

FHLMC, Ser 2006-3143, Cl BC

    

5.500%, 02/15/36

     128,311       132,799  

FHLMC, Ser 2006-3185, Cl GT

    

6.000%, 07/15/26

     40,142       40,425  

FHLMC, Ser 2007-3330, Cl GZ

    

5.500%, 06/15/37

     2,658       2,680  

FHLMC, Ser 2013-299, Cl F1

    

4.959%, ICE LIBOR USD 1 MONTH + 0.500%, 01/15/43 (A)

     168,309       165,212  

FHLMC, Ser 2013-4283, Cl EW

    

4.500%, 12/15/43 (A)

     125,344       125,654  

FHLMC, Ser 2014-4319, Cl MA

    

4.500%, 03/15/44 (A)

     219,822       221,206  

FHLMC, Ser 2021-5092, Cl BC

    

2.500%, 06/25/36

     482,004       467,297  

FNMA

    

7.000%, 12/01/37

     288       311  

7.000%, 08/01/32

     137,321       142,430  

7.000%, 11/01/29

     43,480       44,773  

6.500%, 01/01/49

     6,166       6,539  

6.500%, 10/01/39

     40,224       42,664  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

6.500%, 08/01/39

    $ 16,423       $ 17,576   

6.500%, 10/01/38

     14,112       15,048  

6.500%, 03/01/38

     5,611       5,841  

6.500%, 02/01/38

     3,814       4,058  

6.500%, 12/01/37

     15,554       16,510  

6.500%, 11/01/37

     889       944  

6.500%, 03/01/35

     181,126       189,913  

6.500%, 05/01/33

     2,641       2,747  

6.500%, 12/01/32

     9,523       10,036  

6.500%, 08/01/32

     23,374       24,332  

6.000%, 07/01/39

     66,245       68,052  

6.000%, 05/01/38

     33,761       35,591  

6.000%, 08/01/37

     90,076       94,234  

6.000%, 07/01/37

     20,760       21,664  

6.000%, 03/01/37

     10,934       11,482  

6.000%, 09/01/36

     69,073       72,244  

6.000%, 03/01/36

     9,041       9,454  

6.000%, 11/01/35

     12,365       12,936  

6.000%, 07/01/35

     5,286       5,507  

6.000%, 04/01/35

     52,919       55,316  

6.000%, 04/01/34

     13,015       13,613  

6.000%, 03/01/34

     185,500       194,055  

6.000%, 12/01/33

     3,429       3,586  

6.000%, 11/01/33

     3,281       3,432  

6.000%, 12/01/32

     4,291       4,488  

6.000%, 06/01/23

     67       67  

5.500%, 02/01/38

     2,669       2,726  

5.500%, 04/01/37

     121,365       126,536  

5.500%, 09/01/36

     10,270       10,723  

5.500%, 10/01/35

     51,652       53,885  

5.500%, 04/01/35

     172,154       179,228  

5.500%, 11/01/33

     6,430       6,707  

5.500%, 06/01/33

     35,475       36,988  

5.500%, 11/01/29

     6,190       6,342  

5.500%, 01/01/25

     853       851  

5.500%, 05/01/24

     309       308  

5.500%, 03/01/24

     425       423  

5.500%, 01/01/24

     2       2  

5.500%, 11/01/23

     5       5  

5.000%, 11/01/52

     23,387,098       23,476,095  

5.000%, 06/01/52

     1,605,186       1,614,818  

5.000%, 03/01/49

     201,827       204,785  

5.000%, 12/01/48

     173,923       177,854  

5.000%, 08/01/40

     13,877       14,263  

5.000%, 09/01/39

     45,829       47,089  

5.000%, 09/01/25

     6,494       6,601  

5.000%, 04/01/25

     15       15  

4.500%, 09/01/52

     10,017,268       9,893,932  

4.500%, 08/01/52

     3,388,317       3,362,848  

4.500%, 03/01/52

     366,342       368,611  

4.500%, 06/01/48

     308,254       309,816  

4.500%, 07/01/47

     96,812       98,387  

4.500%, 02/01/46

     640,521       650,487  

4.500%, 09/01/45

     49,857       50,222  

4.500%, 02/01/45

     225,554       227,205  

4.500%, 10/01/44

     24,991       25,174  

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
             Value          

4.500%, 09/01/43

   $ 8,363      $ 8,425  

4.500%, 01/01/43

     557,679        561,486  

4.500%, 07/01/42

     204,870        208,204  

4.500%, 01/01/42

     64,183        64,866  

4.500%, 12/01/41

     28,287        28,667  

4.500%, 11/01/41

     28,286        28,747  

4.500%, 09/01/41

     14,702        14,796  

4.500%, 08/01/41

     12,777        12,985  

4.500%, 05/01/41

     1,043,663        1,058,671  

4.500%, 06/01/36

     22,944        23,274  

4.500%, 09/01/31

     45,778        46,561  

4.500%, 06/01/31

     13,534        13,765  

4.500%, 01/01/31

     122,400        124,486  

4.500%, 08/01/26

     65,952        66,730  

4.500%, 10/01/24

     15,690        15,869  

4.078%, H15T1Y + 1.999%, 09/01/34 (A)

     886        899  

4.028%, ICE LIBOR USD 12 MONTH + 1.778%, 12/01/39 (A)

     13,524        13,477  

4.000%, 10/01/52

     2,689,749        2,614,172  

4.000%, 08/01/52

     1,441,786        1,393,245  

4.000%, 07/01/52

     1,848,259        1,785,465  

4.000%, 06/01/52

     39,742,843        38,392,604  

4.000%, 04/01/52

     1,676,758        1,632,968  

4.000%, 10/01/51

     1,772,094        1,714,998  

4.000%, 04/01/48

     1,630,779        1,603,221  

4.000%, 03/01/46

     3,878,208        3,823,501  

4.000%, 01/01/37

     344,562        340,337  

4.000%, 11/01/35

     71,510        70,693  

4.000%, 01/01/35

     1,128,279        1,117,544  

4.000%, 10/01/34

     618,073        614,861  

4.000%, 06/01/34

     666,142        663,091  

4.000%, 03/01/34

     265,130        263,915  

4.000%, 11/01/33

     406,054        404,193  

4.000%, 10/01/33

     51,987        51,749  

4.000%, 10/01/32

     56,714        56,454  

4.000%, 09/01/31

     154,732        154,024  

4.000%, 12/01/30

     235,974        234,894  

4.000%, 11/01/30

     168,416        167,645  

3.977%, H15T1Y + 2.290%, 08/01/34 (A)

     12,337        12,250  

3.878%, ICE LIBOR USD 12 Month + 1.815%, 07/01/41 (A)

     50,919        52,057  

3.872%, ICE LIBOR USD 12 Month + 1.685%, 06/01/42 (A)

     12,857        12,877  

3.850%, ICE LIBOR USD 12 MONTH + 1.600%, 12/01/44 (A)

     33,762        34,001  

3.845%, ICE LIBOR USD 12 MONTH + 1.790%, 06/01/38 (A)

     4,981        5,098  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
             Value          

3.840%, ICE LIBOR USD 12 MONTH + 1.590%, 12/01/44 (A)

    $ 163,456        $ 164,345   

3.830%, ICE LIBOR USD 12 Month + 1.580%, 11/01/44 (A)

     22,254        22,438  

3.830%, ICE LIBOR USD 12 MONTH + 1.580%, 09/01/44 (A)

     2,271        2,296  

3.827%, ICE LIBOR USD 12 MONTH + 1.577%, 10/01/44 (A)

     151,242        152,604  

3.815%, ICE LIBOR USD 12 MONTH + 1.564%, 01/01/44 (A)

     55,065        54,490  

3.775%, ICE LIBOR USD 12 Month + 1.681%, 11/01/36 (A)

     6,227        6,158  

3.728%, ICE LIBOR USD 12 MONTH + 1.576%, 08/01/43 (A)

     3,133        3,124  

3.694%, SOFR30A + 2.238%, 10/01/52 (A)

     3,637,235        3,527,499  

3.671%, ICE LIBOR USD 12 MONTH + 1.620%, 11/01/48 (A)

     289,372        284,894  

3.611%, ICE LIBOR USD 12 MONTH + 1.698%, 04/01/44 (A)

     84,963        85,970  

3.579%, ICE LIBOR USD 12 MONTH + 1.590%, 07/01/44 (A)

     134,837        136,828  

3.528%, ICE LIBOR USD 12 MONTH + 1.470%, 06/01/35 (A)

     2,828        2,796  

3.500%, 05/01/52

     1,218,665        1,147,798  

3.500%, 04/01/52

     7,588,902        7,160,753  

3.500%, 03/01/52

     2,070,961        1,942,717  

3.500%, 01/01/52

     2,357,429        2,213,089  

3.500%, 11/01/51

     1,453,549        1,365,358  

3.500%, 04/01/37

     375,093        367,765  

3.500%, 02/01/31

     549,548        541,190  

3.500%, 12/01/29

     210,119        206,638  

3.213%, ICE LIBOR USD 12 Month + 1.563%, 06/01/44 (A)

     48,763        49,330  

3.147%, ICE LIBOR USD 12 Month + 1.557%, 01/01/45 (A)

     29,201        29,457  

3.079%, ICE LIBOR USD 12 Month + 1.603%, 10/01/48 (A)

     128,414        125,142  

3.053%, ICE LIBOR USD 12 Month + 1.653%, 05/01/46 (A)

     47,296        47,076  

3.000%, 05/01/52

     1,011,984        927,758  

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

3.000%, 03/01/52

    $ 1,705,996       $ 1,563,504   

3.000%, 11/01/51

     2,343,277       2,152,300  

3.000%, 10/01/51

     2,972,267       2,704,934  

3.000%, 08/01/50

     1,970,044       1,844,854  

3.000%, 07/01/50

     1,162,036       1,072,305  

3.000%, 01/01/31

     1,304,394       1,259,168  

2.961%, ICE LIBOR USD 12 MONTH + 1.610%, 10/01/47 (A)

     200,920       195,537  

2.953%, ICE LIBOR USD 12 MONTH + 1.568%, 05/01/45 (A)

     258,228       257,940  

2.924%, ICE LIBOR USD 12 Month + 1.460%, 05/01/35 (A)

     23,522       23,756  

2.911%, ICE LIBOR USD 12 MONTH + 1.580%, 09/01/47 (A)

     199,776       197,522  

2.774%, ICE LIBOR USD 12 MONTH + 1.580%, 04/01/44 (A)

     114,445       115,429  

2.679%, ICE LIBOR USD 12 MONTH + 1.565%, 05/01/44 (A)

     63,770       64,230  

2.500%, 04/01/52

     1,782,048       1,569,909  

2.500%, 03/01/52

     1,859,579       1,651,225  

2.500%, 02/01/52

     6,493,606       5,721,156  

2.500%, 12/01/51

     4,245,695       3,749,092  

2.500%, 10/01/51

     1,811,440       1,596,482  

2.500%, 08/01/51

     5,634,500       4,994,968  

2.500%, 02/01/51

     8,053,384       7,156,926  

2.500%, 01/01/51

     1,485,438       1,311,240  

2.500%, 11/01/50

     6,290,743       5,611,901  

2.500%, 10/01/50

     6,541,339       5,794,240  

2.500%, 07/01/50

     10,124,002       8,952,154  

2.500%, 10/01/41

     1,428,018       1,297,744  

2.500%, 05/01/41

     983,283       892,985  

2.500%, 07/01/36

     1,193,166       1,117,128  

2.500%, 03/01/35

     1,753,462       1,646,723  

2.437%, ICE LIBOR USD 12 MONTH + 1.551%, 02/01/44 (A)

     14,174       14,222  

2.143%, H15T1Y + 2.143%, 08/01/34 (A)

     875       870  

2.050%, ICE LIBOR USD 12 MONTH + 1.550%, 02/01/44 (A)

     665       655  

2.000%, 04/01/52

     3,571,053       3,017,815  

2.000%, 03/01/52

     1,943,740       1,639,617  

2.000%, 11/01/51

     3,760,147       3,177,515  

2.000%, 10/01/51

     2,057,656       1,761,289  

2.000%, 09/01/51

     1,777,418       1,509,158  

2.000%, 08/01/51

     1,920,912       1,622,868  

2.000%, 02/01/51

     1,271,698       1,080,535  

2.000%, 01/01/51

     3,348,988       2,845,544  

2.000%, 12/01/50

     542,626       461,058  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

2.000%, 08/01/50

    $ 777,771       $ 660,864   

2.000%, 09/01/36

     1,585,252       1,444,517  

2.000%, 01/01/36

     1,404,203       1,279,534  

1.954%, ICE LIBOR USD 12 MONTH + 1.580%, 02/01/44 (A)

     23,989       24,105  

1.500%, 10/01/50

     1,919,797       1,538,187  

FNMA Grantor Trust 2000-T6, Ser 2000-T6, Cl A1

    

7.500%, 11/25/40

     15,988       15,799  

FNMA Grantor Trust 2001-T1, Ser 2001-T1, Cl A1

    

7.500%, 10/25/40

     134,741       137,292  

FNMA Grantor Trust 2001-T10, Ser 2001-T10, Cl A1

    

7.000%, 12/25/41

     91,810       94,909  

FNMA Grantor Trust 2001-T12, Ser 2001-T12, Cl A1

    

6.500%, 08/25/41

     3,214       3,288  

FNMA Grantor Trust 2001-T3, Ser 2001-T3, Cl A1

    

7.500%, 11/25/40

     8,624       8,770  

FNMA Grantor Trust 2001-T4, Ser 2001-T4, Cl A1

    

7.500%, 07/25/41

     38,619       38,740  

FNMA Grantor Trust 2001-T7, Ser 2001-T7, Cl A1

    

7.500%, 02/25/41

     1,694       1,823  

FNMA Grantor Trust 2001-T8, Ser 2001-T8, Cl A1

    

7.500%, 07/25/41

     5,139       5,198  

FNMA Grantor Trust 2004-T1, Ser 2004-T1, Cl 1A2

    

6.500%, 01/25/44

     1,430       1,485  

FNMA REMIC Trust 2001-W3, Ser 2001-W3, Cl A

    

7.000%, 09/25/41 (A)

     75,817       74,786  

FNMA REMIC Trust 2002-W6, Ser 2002-W6, Cl 2A

    

7.500%, 06/25/42 (A)

     6,142       6,103  

FNMA REMIC Trust 2002-W6, Ser 2002-W6, Cl 2A1

    

7.000%, 06/25/42 (A)

     6,142       6,039  

FNMA REMIC Trust 2003-W4, Ser 2003-W4, Cl 3A

    

5.059%, 10/25/42 (A)

     65,590       67,534  

FNMA REMIC Trust 2003-W4, Ser 2003-W4, Cl 4A

    

5.692%, 10/25/42 (A)

     26,263       27,045  

FNMA Trust 2003-W2, Ser 2003-W2, Cl 1A3

    

7.500%, 07/25/42

     8,054       8,619  

FNMA Trust 2004-W2, Ser 2004-W2, Cl 2A2

    

7.000%, 02/25/44

     15,102       15,879  

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

FNMA Trust 2004-W2, Ser 2004-W2, Cl 5A

    

7.500%, 03/25/44

    $ 5,763       $ 6,076   

FNMA, Ser 2001-2, Cl ZK

    

6.500%, 02/25/31

     38,450       39,671  

FNMA, Ser 2001-79, Cl BA

    

7.000%, 03/25/45

     12,884       13,330  

FNMA, Ser 2002-33, Cl A1

    

7.000%, 06/25/32

     66,984       69,402  

FNMA, Ser 2007-104, Cl ZE

    

6.000%, 08/25/37

     17,398       18,049  

FNMA, Ser 2007-21, Cl MT

    

5.750%, 03/25/37

     4,934       5,073  

FNMA, Ser 2009-11, Cl MP

    

7.000%, 03/25/49

     5,311       5,603  

FNMA, Ser 2010-136, Cl BA

    

3.500%, 12/25/30

     195,716       190,638  

FNMA, Ser 2010-49, Cl ZJ

    

4.500%, 05/25/40

     51,224       50,909  

FNMA, Ser 2013-128, Cl CF

    

5.106%, ICE LIBOR USD 1 Month + 0.600%, 12/25/43 (A)

     269,617       265,839  

FNMA, Ser 2014-1, Cl KF

    

5.106%, ICE LIBOR USD 1 MONTH + 0.600%, 02/25/44 (A)

     398,616       392,614  

FNMA, Ser M1G, Cl A2

    

1.467%, 11/25/30 (A)

     3,100,000       2,553,976  

FNMA, Ser M3G, Cl A2

    

1.246%, 01/25/31 (A)

     2,000,000       1,618,862  

Freddie Mac Multifamily ML Certificates

    

1.219%, 07/25/41 (B)

     10,052,854       1,051,270  

FREMF 2016-K55 Mortgage Trust, Ser K55, Cl C

    

4.167%, 04/25/49 (A)(B)

     1,410,000       1,345,644  

FREMF 2016-K57 Mortgage Trust, Ser K57, Cl C

    

3.918%, 08/25/49 (A)(B)

     3,470,000       3,273,926  

FREMF 2017-K69 Mortgage Trust, Ser K69, Cl C

    

3.727%, 10/25/49 (A)(B)

     2,788,000       2,575,777  

FREMF 2018-K732 Mortgage Trust, Ser K732, Cl C

    

4.053%, 05/25/25 (A)(B)

     3,525,000       3,378,226  

FREMF 2018-K74 Mortgage Trust, Ser K74, Cl C

    

4.094%, 02/25/51 (A)(B)

     3,095,000       2,897,804  

FREMF 2018-K83 Mortgage Trust, Ser K83, Cl C

    

4.279%, 11/25/51 (A)(B)

     2,890,000       2,713,719  

FREMF 2018-K86 Mortgage Trust, Ser K86, Cl C

    

4.294%, 11/25/51 (A)(B)

     2,062,000       1,936,858  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

FREMF 2019-K89 Mortgage Trust, Ser K89, Cl C

    

4.287%, 01/25/51 (A)(B)

    $ 5,621,042       $ 5,238,362   

FREMF 2019-K96 Mortgage Trust, Ser K96, Cl C

    

3.812%, 08/25/56 (A)(B)

     1,910,000       1,720,034  

FREMF 2020-K737 Mortgage Trust, Ser K737, Cl C

    

3.305%, 01/25/53 (A)(B)

     640,000       591,428  

FREMF K-100 Mortgage Trust, Ser K100, Cl C

    

3.495%, 11/25/52 (A)(B)

     130,000       114,533  

FREMF Mortgage Trust, Ser 2017-K62, Cl C

    

3.880%, 01/25/50 (A)(B)

     2,661,000       2,489,900  

FREMF Mortgage Trust, Ser 2018-K75, Cl C

    

3.977%, 04/25/51 (A)(B)

     145,000       134,907  

GNMA

    

7.000%, 12/15/29

     804       843  

6.500%, 05/15/29

     1,437       1,490  

4.500%, 08/20/52

     6,637,163       6,585,628  

4.000%, 08/20/52

     13,361,502       12,967,378  

4.000%, 04/20/52

     120,784       117,254  

4.000%, 03/20/52

     128,767       125,003  

4.000%, 02/20/52

     1,771,678       1,719,896  

4.000%, 01/20/52

     1,414,733       1,373,384  

3.500%, 08/20/52

     11,532,165       10,898,201  

3.500%, 07/20/52

     1,986,137       1,880,639  

3.500%, 03/20/52

     2,127,933       2,011,695  

3.500%, 02/20/52

     1,567,691       1,483,998  

3.500%, 01/20/52

     1,671,518       1,580,215  

3.500%, 06/20/51

     1,676,743       1,599,429  

3.000%, 06/20/52

     13,761,539       12,630,687  

3.000%, 10/20/51

     2,056,202       1,888,733  

3.000%, 07/20/51

     2,853,236       2,633,244  

3.000%, 05/20/51

     1,308,181       1,206,103  

2.500%, 07/20/52

     1,642,361       1,464,269  

2.500%, 04/20/52

     9,449,361       8,418,895  

2.500%, 03/20/52

     1,787,121       1,586,593  

2.500%, 11/20/51

     1,915,248       1,708,715  

2.500%, 08/20/51

     1,712,082       1,529,223  

2.500%, 05/20/51

     890,308       795,986  

2.500%, 03/20/51

     2,094,248       1,874,576  

2.500%, 12/20/50

     1,750,941       1,508,942  

2.000%, 05/20/52

     8,753,253       7,559,745  

2.000%, 04/20/52

     1,473,045       1,272,251  

2.000%, 10/20/51

     1,884,061       1,632,320  

2.000%, 12/20/50

     1,687,097       1,448,618  

2.000%, 11/20/50

     3,404,960       2,961,769  

GNMA, Ser 2002-49, Cl ZG

    

6.000%, 07/20/32

     374,849       373,812  

GNMA, Ser 2012-98, Cl BM

    

4.903%, 08/20/42 (A)

     201,208       199,290  

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

GNMA, Ser 2017-H17, Cl FQ

    

3.978%, ICE LIBOR USD 12 MONTH + 0.270%, 09/20/67 (A)

    $ 1,446,574       $ 1,426,161   

GNMA, Ser 2017-H22, Cl FH

    

5.001%, ICE LIBOR USD 12 MONTH + 0.220%, 11/20/67 (A)

     939,667       929,325  

GNMA, Ser 2017-H24, Cl FQ

    

5.645%, ICE LIBOR USD 12 MONTH + 0.200%, 11/20/67 (A)

     1,004,110       992,128  

GNMA, Ser 2018-H04, Cl FK

    

0.988%, ICE LIBOR USD 12 MONTH + 0.040%, 03/20/68 (A)

     879,295       852,489  

GNMA, Ser 2018-H05, Cl CF

    

1.008%, ICE LIBOR USD 12 MONTH + 0.060%, 03/20/68 (A)

     981,029       950,720  

GNMA, Ser 2018-H05, Cl FE

    

1.018%, ICE LIBOR USD 12 Month + 0.070%, 02/20/68 (A)

     370,917       363,646  

GNMA, Ser 2019-H09, Cl FG

    

2.522%, ICE LIBOR USD 12 MONTH + 0.350%, 05/20/69 (A)

     404,431       396,585  

GNMA, Ser 2019-H16, Cl CF

    

3.804%, ICE LIBOR USD 1 Month + 0.700%, 10/20/69 (A)

     316,970       312,560  

GNMA, Ser 2020-H01, Cl FV

    

4.835%, ICE LIBOR USD 1 MONTH + 0.650%, 01/20/70 (A)

     3,618,637       3,527,962  

GNMA, Ser 2020-H02, Cl FB

    

2.933%, ICE LIBOR USD 1 Month + 0.600%, 01/20/70 (A)

     474,785       464,252  

GNMA, Ser 2022-H04, Cl FG

    

0.883%, SOFR30A + 0.550%, 02/20/67 (A)

     2,163,088       2,136,196  

GNMA, Ser 2022-H08, Cl FE

    

4.576%, SOFR30A + 0.750%, 03/20/72 (A)

     1,922,418       1,901,893  

GNMA, Ser 2022-H09, Cl FA

    

4.980%, SOFR30A + 0.670%, 04/20/72 (A)

     1,984,488       1,953,588  

GNMA, Ser 2022-H11, Cl EF

    

5.280%, SOFR30A + 0.970%, 05/20/72 (A)

     2,569,008       2,563,169  

Vendee Mortgage Trust 1993-1, Ser 1993-1, Cl ZB

    

7.250%, 02/15/23

     1,543       1,540  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

Vendee Mortgage Trust 1995-1, Ser 1995-1, Cl 2

    

7.793%, 02/15/25

    $ 1,865       $ 1,874   

Vendee Mortgage Trust 1995-2, Ser 1995-2C, Cl 3A

    

8.793%, 06/15/25

     1,511       1,561  

Vendee Mortgage Trust 1998-2, Ser 1998-2, Cl 2A

    

8.609%, 08/15/27 (A)

     388       393  
    

 

 

 

       492,096,284  
    

 

 

 

Non-Agency Mortgage-Backed Obligation — 6.1%

 

BANK 2017-BNK5, Ser BNK5, Cl D

    

3.078%, 06/15/60 (A)(B)

     386,000       283,465  

Benchmark 2019-B10 Mortgage Trust, Ser B10, Cl E

    

3.000%, 03/15/62 (B)

     1,260,000       782,805  

Benchmark 2020-B16 Mortgage Trust, Ser B16, Cl D

    

2.500%, 02/15/53 (B)

     5,470,000       3,547,613  

Benchmark 2022-B35 Mortgage Trust, Ser B35, Cl D

    

2.500%, 05/15/55 (B)

     4,000,000       2,267,181  

BIG Commercial Mortgage Trust 2022-BIG, Ser BIG, Cl D

    

7.517%, TSFR1M + 3.039%, 02/15/39 (A)(B)

     3,800,000       3,610,513  

BX Commercial Mortgage Trust, Ser 2022-AHP, Cl AS

    

5.968%, TSFR1M + 1.490%, 01/17/39 (A)(B)

     2,500,000       2,428,841  

BX Trust, Ser 2022-CLS, Cl B

    

6.300%, 10/13/27 (B)

     2,100,000       2,083,122  

Century Plaza Towers 2019-CPT, Ser CPT, Cl C

    

2.997%, 11/13/39 (A)(B)

     500,000       377,711  

Century Plaza Towers 2019-CPT, Ser CPT, Cl E

    

2.997%, 11/13/39 (A)(B)

     2,500,000       1,717,611  

Century Plaza Towers, Ser 2019-CPT, Cl B

    

2.997%, 11/13/39 (A)(B)

     733,000       571,707  

CFCRE Commercial Mortgage Trust 2016-C6, Ser C6, Cl D

    

4.191%, 11/10/49 (A)(B)

     2,525,000       1,922,532  

Citigroup Commercial Mortgage Trust 2014-GC21, Ser GC21, Cl D

    

4.941%, 05/10/47 (A)(B)

     3,185,000       2,363,085  

Citigroup Commercial Mortgage Trust 2022-GC48, Ser GC48, Cl C

    

4.875%, 05/15/54 (A)

     3,000,000       2,496,611  

COMM 2014-CCRE20 Mortgage Trust, Ser CR20, Cl C

    

4.462%, 11/10/47 (A)

     2,980,000       2,774,791  

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

COMM 2015-CCRE24 Mortgage Trust, Ser CR24, Cl D

    

3.463%, 08/10/48 (A)

    $ 55,000       $ 45,174   

COMM Mortgage Trust, Ser 2022-HC, Cl A

    

2.819%, 01/10/39 (B)

     1,390,000       1,218,908  

COMM Mortgage Trust, Ser 2022-HC, Cl C

    

3.376%, 01/10/39 (B)

     1,570,000       1,344,369  

Commercial Mortgage Trust 2022-LPFL, Ser LPFL, Cl C

    

6.872%, TSFR1M + 2.394%, 03/15/39 (A)(B)

     2,560,000       2,476,731  

CSMC 2014-USA OA, Ser USA, Cl C

    

4.336%, 09/15/37 (B)

     3,550,000       2,915,879  

CSMC 2021-NQM5 Trust, Ser 2021-NQM5, Cl M1

    

2.168%, 05/25/66 (A)(B)

     1,310,000       715,184  

CSMC OA, Ser 2014-USA, Cl A2

    

3.953%, 09/15/37 (B)

     565,000       515,653  

CSMC Trust, Ser 2016-NXSR, Cl AS

    

4.049%, 12/15/49 (A)

     4,145,000       3,856,154  

FASST 2021-JR1 A2

    

2.000%, 04/25/51

     2,611,395       2,363,260  

FASST 2021-S2 A2 09/2051

    

1.750%, 09/25/51

     2,503,845       2,326,188  

FASST 21-S1-A2 07/25/2051

    

1.750%, 07/25/51

     5,175,990       4,706,867  

FIN AMER 19-JR3 09/25/69

    

2.000%, 09/25/69

     77,213       79,780  

GS Mortgage Securities Trust 2017-GS8, Ser GS8, Cl D

    

2.700%, 11/10/50 (B)

     2,570,000       1,887,073  

Hudson Yards 2019-55HY Mortgage Trust, Ser 55HY, Cl A

    

2.943%, 12/10/41 (A)(B)

     1,000,000       873,369  

Hudson Yards Mortgage Trust, Ser 2016-10HY, Cl A

    

2.835%, 08/10/38 (B)

     2,085,000       1,879,038  

JPMBB Commercial Mortgage Securities Trust 2014-C26, Ser C26, Cl D

    

3.874%, 01/15/48 (A)(B)

     625,000       507,506  

JPMBB Commercial Mortgage Securities Trust 2015-C28, Ser C28, Cl C

    

4.145%, 10/15/48 (A)

     5,170,000       4,742,775  

JPMBB Commercial Mortgage Securities Trust 2015-C29, Ser C29, Cl C

    

4.187%, 05/15/48 (A)

     5,750,000       5,160,480  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

JPMBB Commercial Mortgage Securities Trust, Ser 2014-C26, Cl AS

    

3.800%, 01/15/48

    $ 5,885,000       $ 5,595,192   

NCMF Trust 2022-MFP, Ser MFP, Cl E

    

8.311%, TSFR1M + 3.833%, 03/15/39 (A)(B)

     2,500,000       2,416,339  

New Residential Mortgage Loan Trust 2021-NQM2R, Ser 2021-NQ2R, Cl M1

    

2.201%, 10/25/58 (A)(B)

     1,954,000       1,668,657  

NW RE-REMIC TRUST 2021-FRR1, Ser FRR1, Cl AK88

    

2.812%, 12/18/51 (A)(B)

     2,500,000       2,140,636  

OBX 2022-NQM1 Trust, Ser 2022-NQM1, Cl M1

    

3.504%, 11/25/61 (A)(B)

     1,010,000       701,272  

One Bryant Park Trust, Ser 2019-OBP, Cl A

    

2.516%, 09/15/54 (B)

     3,385,000       2,862,502  

One Market Plaza Trust, Ser 2017-1MKT, Cl B

    

3.845%, 02/10/32 (B)

     400,000       370,863  

One Market Plaza Trust, Ser 2017-1MKT, Cl C

    

4.016%, 02/10/32 (B)

     1,000,000       917,073  

Onslow Bay Mortgage Loan Trust, Ser 2021-NQM4, Cl M1

    

3.248%, 10/25/61 (B)

     1,750,000       1,179,126  

Palisades Center Trust 2016-PLSD, Ser PLSD, Cl A

    

2.713%, 04/13/33 (B)

     4,705,000       2,940,627  

Residential Mortgage Loan Trust, Ser 2019-3, Cl A1

    

2.633%, 09/25/59 (A)(B)

     469,613       459,838  

SFAVE Commercial Mortgage Securities Trust 2015-5AVE, Ser 5AVE, Cl A2B

    

4.144%, 01/05/43 (A)(B)

     1,995,000       1,430,343  

SFAVE Commercial Mortgage Securities Trust, Ser 2015-5AVE, Cl A1

    

3.872%, 01/05/43 (A)(B)

     3,045,000       2,188,242  

Shops at Crystals Trust 2016-CSTL, Ser CSTL, Cl C

    

3.731%, 07/05/36 (A)(B)

     2,800,000       2,344,044  

SLG Office Trust 2021-OVA, Ser OVA, Cl C

    

2.851%, 07/15/41 (B)

     2,500,000       1,992,147  

SPGN Mortgage Trust, Ser 2022-TFLM, Cl D

    

7.978%, TSFR1M + 3.500%, 02/15/39 (A)(B)

     2,500,000       2,346,312  

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

Taubman Centers Commercial Mortgage Trust 2022-DPM, Ser DPM, Cl C

    

8.255%, TSFR1M + 3.777%, 05/15/37 (A)(B)

    $ 1,225,000       $ 1,171,030   

Taubman Centers Commercial Mortgage Trust 2022-DPM, Ser DPM, Cl D

    

9.249%, TSFR1M + 4.771%, 05/15/37 (A)(B)

     1,690,000       1,605,298  

Verus Securitization Trust 2021-2, Ser 2021-2, Cl M1

    

2.187%, 02/25/66 (A)(B)

     2,910,000       2,093,684  

Verus Securitization Trust 2021-3, Ser 2021-3, Cl M1

    

2.397%, 06/25/66 (A)(B)

     1,555,000       1,023,144  

Verus Securitization Trust 2021-4, Ser 2021-4, Cl M1

    

2.195%, 07/25/66 (A)(B)

     1,400,000       850,514  

Verus Securitization Trust 2021-R3, Ser 2021-R3, Cl M1

    

2.411%, 04/25/64 (A)(B)

     2,745,000       2,040,721  

Wells Fargo Commercial Mortgage Trust 2015-C28, Ser C28, Cl D

    

4.083%, 05/15/48 (A)

     1,685,000       1,438,071  

Wells Fargo Commercial Mortgage Trust, Ser 2019-C49, Cl D

    

3.000%, 03/15/52 (B)

     3,100,000       2,027,394  
    

 

 

 

       108,645,045  
    

 

 

 

Total Mortgage-Backed Securities
(Cost $638,754,314)

       600,741,329  
    

 

 

 

CORPORATE OBLIGATIONS — 32.5%

 

     Face
Amount
  Value

COMMUNICATION SERVICES — 4.1%

 

Alphabet

    

1.100%, 08/15/30

    $ 2,500,000      $ 2,024,733  

America Movil

    

4.375%, 04/22/49

     1,700,000       1,537,038  

AT&T

    

4.500%, 03/09/48

     471,000       413,401  

4.350%, 06/15/45

     2,720,000       2,378,472  

3.800%, 12/01/57

     750,000       570,194  

3.650%, 09/15/59

     1,861,000       1,364,317  

3.550%, 09/15/55

     1,238,000       905,823  

2.750%, 06/01/31

     725,000       625,262  

2.550%, 12/01/33

     150,000       121,286  

CCO Holdings

    

4.500%, 05/01/32

     975,000       806,812  

4.500%, 06/01/33(B)

     975,000       792,187  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

COMMUNICATION SERVICES — continued

 

4.250%, 01/15/34(B)

    $ 825,000       $ 643,129   

Charter Communications Operating

    

6.484%, 10/23/45

     3,360,000       3,305,384  

5.750%, 04/01/48

     950,000       845,764  

5.375%, 05/01/47

     800,000       682,932  

5.250%, 04/01/53

     525,000       440,888  

4.400%, 04/01/33

     250,000       224,583  

Comcast

    

5.500%, 11/15/32

     850,000       915,027  

4.400%, 08/15/35

     2,340,000       2,291,640  

3.450%, 02/01/50

     905,000       716,572  

2.800%, 01/15/51

     225,000       155,966  

Cox Communications

    

3.850%, 02/01/25(B)

     800,000       778,797  

3.500%, 08/15/27(B)

     1,025,000       975,670  

3.350%, 09/15/26(B)

     575,000       546,073  

1.800%, 10/01/30(B)

     650,000       515,208  

Meta Platforms

    

4.450%, 08/15/52(B)

     7,820,000       6,829,164  

Paramount Global

    

4.950%, 01/15/31

     1,350,000       1,244,959  

Prosus

    

4.987%, 01/19/52(B)

     2,200,000       1,697,228  

4.850%, 07/06/27(B)

     500,000       479,704  

4.193%, 01/19/32(B)

     700,000       601,731  

3.680%, 01/21/30(B)

     1,400,000       1,210,999  

3.061%, 07/13/31(B)

     3,875,000       3,101,636  

Rogers Communications

    

3.800%, 03/15/32(B)

     1,360,000       1,224,170  

Telecom Italia

    

5.303%, 05/30/24(B)

     2,300,000       2,231,483  

Telecom Italia Capital

    

7.721%, 06/04/38

     1,345,000       1,159,901  

7.200%, 07/18/36

     175,000       148,669  

Tencent Holdings MTN

    

3.975%, 04/11/29(B)

     2,000,000       1,894,437  

Time Warner Cable

    

6.750%, 06/15/39

     800,000       822,490  

T-Mobile USA

    

5.650%, 01/15/53

     2,998,000       3,127,568  

4.500%, 04/15/50

     475,000       419,483  

4.375%, 04/15/40

     300,000       271,450  

3.875%, 04/15/30

     3,695,000       3,460,668  

3.500%, 04/15/31

     1,000,000       894,850  

3.400%, 10/15/52

     100,000       72,990  

3.375%, 04/15/29

     1,000,000       911,431  

Verizon Communications

    

4.400%, 11/01/34

     3,130,000       3,009,612  

4.272%, 01/15/36

     900,000       842,700  

3.875%, 03/01/52

     3,500,000       2,853,276  

3.550%, 03/22/51

     460,000       356,713  

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

COMMUNICATION SERVICES — continued

 

2.987%, 10/30/56

    $ 345,000       $ 229,626   

2.850%, 09/03/41

     2,500,000       1,843,823  

2.650%, 11/20/40

     1,905,000       1,375,932  

2.100%, 03/22/28

     515,000       459,280  

1.500%, 09/18/30

     2,500,000       2,016,640  

Vodafone Group

    

7.000%, USD Swap Semi 30/360 5 Yr Curr + 4.873%, 04/04/79(A)

     1,550,000       1,596,360  

Walt Disney

    

6.650%, 11/15/37

     555,000       655,689  
    

 

 

 

       71,621,820  
    

 

 

 

CONSUMER DISCRETIONARY — 1.8%

 

Aptiv

    

3.250%, 03/01/32

     250,000       215,831  

Ford Motor

    

6.100%, 08/19/32

     1,000,000       980,824  

3.250%, 02/12/32

     2,500,000       1,983,928  

Ford Motor Credit

    

7.350%, 11/04/27

     525,000       550,594  

5.125%, 06/16/25

     350,000       344,004  

4.542%, 08/01/26

     425,000       403,431  

4.389%, 01/08/26

     650,000       623,890  

4.375%, 08/06/23

     625,000       620,819  

4.140%, 02/15/23

     525,000       522,716  

4.134%, 08/04/25

     400,000       381,988  

4.063%, 11/01/24

     2,000,000       1,936,978  

3.810%, 01/09/24

     700,000       685,587  

3.375%, 11/13/25

     450,000       419,063  

General Motors

    

5.600%, 10/15/32

     6,708,000       6,620,458  

5.400%, 10/15/29

     1,350,000       1,337,977  

5.200%, 04/01/45

     2,370,000       2,070,234  

Lowe’s

    

5.625%, 04/15/53

     5,694,000       5,876,594  

Nordstrom

    

6.950%, 03/15/28

     865,000       839,915  

Starbucks

    

4.450%, 08/15/49

     2,500,000       2,271,156  

2.550%, 11/15/30

     994,000       866,362  

Warnermedia Holdings

    

5.050%, 03/15/42(B)

     85,000       72,576  

3.755%, 03/15/27(B)

     85,000       79,663  

Whirlpool

    

2.400%, 05/15/31

     2,500,000       2,067,285  
    

 

 

 

       31,771,873  
    

 

 

 

CONSUMER STAPLES — 0.8%

 

Anheuser-Busch InBev Worldwide

    

5.450%, 01/23/39

     1,510,000       1,581,221  

4.900%, 02/01/46

     400,000       390,433  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

CONSUMER STAPLES — continued

 

 

4.350%, 06/01/40

    $ 275,000       $ 254,655   

Coca-Cola

    

3.450%, 03/25/30

     350,000       334,052  

1.650%, 06/01/30

     525,000       441,844  

1.450%, 06/01/27

     25,000       22,545  

Elanco Animal Health

    

6.400%, 08/28/28

     1,110,000       1,083,582  

Keurig Dr Pepper

    

4.417%, 05/25/25

     89,000       88,322  

Mather Foundation

    

2.675%, 10/01/31

     2,500,000       2,101,545  

PepsiCo

    

3.900%, 07/18/32

     3,000,000       2,922,921  

2.875%, 10/15/49

     3,340,000       2,549,846  

RELX Capital

    

4.000%, 03/18/29

     375,000       357,813  

3.000%, 05/22/30

     50,000       44,406  

Sysco

    

2.400%, 02/15/30

     2,500,000       2,162,380  
    

 

 

 

       14,335,565  
    

 

 

 

ENERGY — 3.1%

    

Azure Power Energy

    

3.575%, 08/19/26(B)

     1,861,000       1,404,497  

BP Capital Markets America

    

3.060%, 06/17/41

     1,925,000       1,535,134  

Cameron LNG

    

3.701%, 01/15/39(B)

     1,520,000       1,295,522  

ConocoPhillips

    

4.150%, 11/15/34

     455,000       421,239  

Devon Energy

    

7.875%, 09/30/31

     830,000       972,753  

Diamondback Energy

    

6.250%, 03/15/53

     1,640,000       1,714,987  

6.250%, 03/15/33

     4,050,000       4,310,256  

Energy Transfer

    

4.400%, 03/15/27

     2,945,000       2,873,843  

2.900%, 05/15/25

     1,935,000       1,846,037  

Exxon Mobil

    

2.610%, 10/15/30

     575,000       518,521  

Hess

    

7.875%, 10/01/29

     290,000       329,686  

7.300%, 08/15/31

     510,000       571,443  

Hydro-Quebec

    

8.050%, 07/07/24

     2,500,000       2,613,680  

Kinder Morgan

    

5.550%, 06/01/45

     3,285,000       3,201,127  

5.200%, 03/01/48

     450,000       418,702  

4.800%, 02/01/33

     230,000       222,404  

4.300%, 06/01/25

     625,000       618,262  

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

ENERGY — continued

 

 

Kinder Morgan Energy Partners

    

6.500%, 09/01/39

    $ 50,000       $ 53,481   

5.500%, 03/01/44

     370,000       355,790  

MPLX

    

5.500%, 02/15/49

     1,410,000       1,345,580  

Occidental Petroleum

    

2.900%, 08/15/24

     1,750,000       1,677,482  

Petrobras Global Finance BV

    

7.250%, 03/17/44

     500,000       489,315  

6.900%, 03/19/49

     100,000       90,707  

6.750%, 06/03/50

     1,450,000       1,290,790  

5.500%, 06/10/51

     375,000       293,437  

Petroleos Mexicanos

    

7.690%, 01/23/50

     6,525,000       4,871,573  

6.700%, 02/16/32

     2,219,000       1,841,915  

6.625%, 06/15/35

     1,200,000       942,048  

6.375%, 01/23/45

     655,000       440,765  

6.350%, 02/12/48

     306,000       201,164  

Rio Oil Finance Trust Series 2014-1

    

9.250%, 07/06/24(B)

     976,677       986,443  

Rio Oil Finance Trust Series 2014-3

    

9.750%, 01/06/27(B)

     1,351,116       1,397,984  

Rio Oil Finance Trust Series 2018-1

    

8.200%, 04/06/28(B)

     787,550       791,488  

Sweihan PV Power PJSC

    

3.625%, 01/31/49(B)

     2,483,025       2,071,543  

Topaz Solar Farms

    

5.750%, 09/30/39(B)

     2,500,000       2,402,100  

TransCanada PipeLines

    

4.625%, 03/01/34

     1,345,000       1,295,229  

Transcanada Trust

    

5.875%, ICE LIBOR USD 3 MONTH + 4.640%, 08/15/76(A)

     975,000       947,993  

5.625%, ICE LIBOR USD 3 MONTH + 3.528%, 05/20/75(A)

     275,000       264,676  

5.600%, H15T5Y + 3.986%, 03/07/82(A)

     375,000       335,625  

5.500%, U.S. SOFR + 4.416%, 09/15/79(A)

     1,100,000       992,691  

5.300%, ICE LIBOR USD 3 MONTH + 3.208%, 03/15/77(A)

     3,150,000       2,815,312  

Ultrapar International

    

5.250%, 06/06/29(B)

     229,000       217,550  

5.250%, 10/06/26(B)

     625,000       604,540  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

ENERGY — continued

 

Williams

    

3.500%, 11/15/30

    $ 575,000       $ 526,555   
    

 

 

 

       54,411,869  
    

 

 

 

FINANCIALS — 15.6%

 

ABN AMRO Bank

    

2.470%, H15T1Y + 1.100%, 12/13/29(A)(B)

     2,500,000       2,106,482  

AerCap Ireland Capital DAC

    

3.300%, 01/30/32

     1,655,000       1,389,553  

3.000%, 10/29/28

     225,000       198,347  

Aflac

    

1.125%, 03/15/26

     2,500,000       2,253,547  

African Development Bank

    

0.750%, 04/03/23

     2,000,000       1,986,440  

American International Group

    

3.900%, 04/01/26

     483,000       473,126  

Ares Capital

    

4.250%, 03/01/25

     1,370,000       1,321,151  

Aviation Capital Group

    

4.125%, 08/01/25(B)

     496,000       468,202  

Avolon Holdings Funding

    

4.375%, 05/01/26(B)

     1,445,000       1,373,294  

Bank Hapoalim

    

3.255%, H15T5Y + 2.155%, 01/21/32(A)(B)

     2,500,000       2,201,445  

Bank of America MTN

    

6.204%, U.S. SOFR + 1.990%, 11/10/28(A)

     325,000       342,726  

4.875%, 04/01/44

     50,000       49,182  

4.450%, 03/03/26

     1,275,000       1,263,485  

4.250%, 10/22/26

     725,000       710,834  

4.200%, 08/26/24

     440,000       435,172  

4.183%, 11/25/27

     1,275,000       1,251,988  

3.846%, H15T5Y + 2.000%, 03/08/37(A)

     1,875,000       1,633,939  

3.705%, ICE LIBOR USD 3 MONTH + 1.512%, 04/24/28(A)

     1,545,000       1,473,223  

3.093%, ICE LIBOR USD 3 MONTH + 1.090%, 10/01/25(A)

     1,645,000       1,591,481  

2.676%, U.S. SOFR + 1.930%, 06/19/41(A)

     1,870,000       1,378,564  

2.496%, ICE LIBOR USD 3 Month + 0.990%, 02/13/31(A)

     50,000       42,531  

1.530%, U.S. SOFR + 0.650%, 12/06/25(A)

     3,000,000       2,802,480  

Bank of New York Mellon MTN

    

5.834%, SOFRINDX + 2.074%, 10/25/33(A)

     650,000       703,971  

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

FINANCIALS — continued

 

Barclays

    

5.501%, H15T1Y + 2.650%, 08/09/28(A)

    $ 450,000       $ 453,043   

4.836%, 05/09/28

     725,000       700,373  

4.375%, 09/11/24

     1,375,000       1,356,313  

2.894%, H15T1Y + 1.300%, 11/24/32(A)

     1,000,000       816,359  

1.007%, H15T1Y + 0.800%, 12/10/24(A)

     2,540,000       2,444,054  

BB Blue Financing DAC

    

4.395%, 09/20/37

     2,500,000       2,518,020  

Belrose Funding Trust

    

2.330%, 08/15/30(B)

     1,990,000       1,568,858  

BGC Partners

    

5.375%, 07/24/23

     4,125,000       4,128,918  

Blackstone Private Credit Fund

    

2.625%, 12/15/26

     2,845,000       2,436,363  

Blue Owl Finance

    

3.125%, 06/10/31(B)

     2,800,000       2,178,957  

BNP Paribas

    

4.625%, 03/13/27(B)

     1,275,000       1,245,176  

4.375%, 09/28/25(B)

     1,275,000       1,249,721  

4.375%, 05/12/26(B)

     250,000       243,768  

4.250%, 10/15/24

     2,150,000       2,118,798  

1.675%, U.S. SOFR + 0.912%, 06/30/27(A)(B)

     2,450,000       2,174,351  

BPCE

    

2.045%, U.S. SOFR + 1.087%, 10/19/27(A)(B)

     2,500,000       2,209,036  

Brookfield Finance

    

4.850%, 03/29/29

     1,435,000       1,426,731  

Caisse d’Amortissement de la Dette Sociale

    

2.125%, 01/26/32(B)

     2,500,000       2,165,561  

1.000%, 10/21/30(B)

     2,500,000       2,018,250  

0.375%, 05/27/24(B)

     2,500,000       2,360,813  

Cantor Fitzgerald

    

4.875%, 05/01/24(B)

     215,000       211,944  

Capital One Financial

    

5.268%, U.S. SOFR + 2.370%, 05/10/33(A)

     1,770,000       1,735,556  

4.927%, U.S. SOFR + 2.057%, 05/10/28(A)

     675,000       666,374  

4.200%, 10/29/25

     1,050,000       1,027,436  

3.750%, 04/24/24

     275,000       270,988  

3.500%, 06/15/23

     503,000       500,667  

2.636%, U.S. SOFR + 1.290%, 03/03/26(A)

     50,000       47,349  

CDP Financial MTN 1.000%, 05/26/26(B)

     2,500,000       2,248,818  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

FINANCIALS — continued

 

Central American Bank for Economic Integration

    

5.000%, 02/09/26(B)

    $ 500,000       $ 499,900   

Citigroup

    

8.125%, 07/15/39

     785,000       1,039,906  

6.625%, 06/15/32

     525,000       575,428  

5.026%, U.S. SOFR + 0.694%, 01/25/26(A)

     2,261,000       2,234,743  

4.650%, 07/23/48

     495,000       472,367  

4.600%, 03/09/26

     40,000       39,766  

4.450%, 09/29/27

     1,920,000       1,883,737  

4.412%, U.S. SOFR + 3.914%, 03/31/31(A)

     600,000       575,518  

3.785%, U.S. SOFR + 1.939%, 03/17/33(A)

     4,150,000       3,759,606  

3.700%, 01/12/26

     55,000       53,724  

3.400%, 05/01/26

     330,000       317,835  

2.666%, U.S. SOFR + 1.146%, 01/29/31(A)

     1,590,000       1,368,521  

2.014%, U.S. SOFR + 0.694%, 01/25/26(A)

     2,500,000       2,350,403  

1.281%, U.S. SOFR + 0.528%, 11/03/25(A)

     2,500,000       2,330,346  

0.776%, U.S. SOFR + 0.686%, 10/30/24(A)

     2,500,000       2,416,597  

Colombia Government International Bond

    

5.625%, 02/26/44

     1,200,000       912,851  

Community Preservation

    

2.867%, 02/01/30

     2,400,000       2,077,661  

Conservation Fund A Nonprofit

    

3.474%, 12/15/29

     2,116,000       1,859,628  

Cooperatieve Rabobank UA

    

1.004%, H15T1Y + 0.730%, 09/24/26(A)(B)

     444,000       395,955  

Corebridge Financial

    

3.900%, 04/05/32(B)

     80,000       72,867  

Council of Europe Development Bank

    

3.000%, 06/16/25

     2,500,000       2,429,750  

Deutsche Bank NY

    

1.686%, 03/19/26

     2,500,000       2,277,341  

Enel Finance International

    

7.500%, 10/14/32(B)

     600,000       675,765  

5.000%, 06/15/32(B)

     1,100,000       1,048,148  

European Investment Bank

    

3.250%, 11/15/27

     1,800,000       1,757,448  

2.875%, 06/13/25(B)

     2,500,000       2,427,475  

2.125%, 04/13/26

     1,000,000       942,920  

0.875%, 05/17/30

     3,500,000       2,881,025  

0.625%, 10/21/27

     5,000,000       4,329,268  

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

FINANCIALS — continued

 

Fairfax Financial Holdings

    

4.850%, 04/17/28

    $ 900,000       $ 874,172   

Goldman Sachs Group

    

5.700%, 11/01/24

     7,330,000       7,437,435  

4.387%, U.S. SOFR + 1.510%, 06/15/27(A)

     2,500,000       2,447,405  

4.017%, ICE LIBOR USD 3 MONTH + 1.373%, 10/31/38(A)

     2,795,000       2,479,184  

3.615%, U.S. SOFR + 1.846%, 03/15/28(A)

     3,075,000       2,928,277  

3.272%, ICE LIBOR USD 3 MONTH + 1.201%, 09/29/25(A)

     1,330,000       1,288,770  

Golub Capital BDC

    

2.500%, 08/24/26

     3,530,000       3,095,732  

HSBC Holdings

    

8.113%, U.S. SOFR + 4.250%, 11/03/33(A)

     1,000,000       1,147,171  

6.800%, 06/01/38

     250,000       270,034  

6.500%, 09/15/37

     1,525,000       1,670,770  

6.500%, 05/02/36

     510,000       549,677  

4.950%, 03/31/30

     725,000       727,269  

4.762%, U.S. SOFR + 2.530%, 03/29/33(A)

     1,275,000       1,176,511  

4.375%, 11/23/26

     420,000       413,452  

4.300%, 03/08/26

     2,900,000       2,840,050  

3.950%, ICE LIBOR USD 3 MONTH + 0.987%, 05/18/24(A)

     1,025,000       1,020,403  

2.848%, U.S. SOFR + 2.387%, 06/04/31(A)

     675,000       571,167  

2.357%, U.S. SOFR + 1.947%, 08/18/31(A)

     700,000       566,377  

0.976%, U.S. SOFR + 0.708%, 05/24/25(A)

     850,000       798,346  

ING Groep

    

1.400%, H15T1Y + 1.100%, 07/01/26(A)(B)

     3,765,000       3,427,856  

Inter-American Development Bank

    

4.603%, U.S. SOFR + 0.280%, 04/12/27(A)

     1,500,000       1,500,116  

1.125%, 01/13/31

     2,500,000       2,055,549  

0.500%, 05/24/23

     1,500,000       1,480,395  

Intercontinental Exchange

    

2.650%, 09/15/40

     2,245,000       1,649,898  

International Bank for Reconstruction & Development

    

4.696%, SOFRINDX + 0.390%, 06/17/24(A)

     2,500,000       2,507,950  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

FINANCIALS — continued

 

4.075%, U.S. SOFR + 0.300%, 08/06/24(A)

    $ 2,028,000       $ 2,034,632   

1.875%, 06/19/23

     1,215,000       1,200,905  

1.625%, 11/03/31

     5,000,000       4,213,938  

0.750%, 08/26/30

     2,500,000       2,009,800  

0.000%, 03/31/27(F)

     2,500,000       2,241,515  

International Finance MTN

    

4.423%, U.S. SOFR + 0.090%, 04/03/24(A)

     2,500,000       2,498,051  

Jackson National Life Global Funding

    

5.480%, U.S. SOFR + 1.150%, 06/28/24(A)(B)

     8,360,000       8,396,366  

JPMorgan Chase

    

8.750%, 09/01/30

     945,000       1,121,189  

7.625%, 10/15/26

     75,000       82,753  

5.717%, U.S. SOFR + 2.580%, 09/14/33(A)

     350,000       361,106  

4.912%, U.S. SOFR + 2.080%, 07/25/33(A)

     4,340,000       4,324,105  

4.493%, U.S. SOFR + 3.790%, 03/24/31(A)

     850,000       829,791  

4.250%, 10/01/27

     699,000       692,116  

4.032%, ICE LIBOR USD 3 MONTH + 1.460%, 07/24/48(A)

     830,000       725,186  

4.023%, ICE LIBOR USD 3 MONTH + 1.000%, 12/05/24(A)

     1,730,000       1,712,940  

3.897%, ICE LIBOR USD 3 MONTH + 1.220%, 01/23/49(A)

     270,000       230,531  

3.797%, ICE LIBOR USD 3 MONTH + 0.890%, 07/23/24(A)

     2,235,000       2,220,069  

3.625%, 12/01/27

     240,000       230,544  

3.328%, U.S. SOFR + 1.580%, 04/22/52(A)

     2,075,000       1,574,308  

2.956%, U.S. SOFR + 2.515%, 05/13/31(A)

     3,325,000       2,884,609  

2.522%, U.S. SOFR + 2.040%, 04/22/31(A)

     725,000       619,606  

0.768%, U.S. SOFR + 0.490%, 08/09/25(A)

     2,500,000       2,328,103  

Kreditanstalt fuer Wiederaufbau

    

1.750%, 09/14/29

     2,500,000       2,212,693  

Liberty Utilities Finance GP 1

    

2.050%, 09/15/30(B)

     2,500,000       1,972,653  

Lloyds Banking Group

    

7.953%, H15T1Y + 3.750%, 11/15/33(A)

     425,000       485,527  

4.650%, 03/24/26

     1,000,000       983,570  

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

FINANCIALS — continued

 

4.582%, 12/10/25

    $ 1,463,000       $ 1,428,242   

4.500%, 11/04/24

     325,000       321,813  

Macquarie Group

    

6.207%, 11/22/24(B)

     9,100,000       9,277,597  

1.340%, U.S. SOFR + 1.069%, 01/12/27(A)(B)

     825,000       733,235  

Massachusetts Higher Education Assistance

    

2.673%, 07/01/31

     500,000       423,786  

Mitsubishi UFJ Financial Group

    

1.538%, H15T1Y + 0.750%, 07/20/27(A)

     2,105,000       1,863,072  

Morgan Stanley

    

4.431%, ICE LIBOR USD 3 MONTH + 1.628%, 01/23/30(A)

     475,000       462,879  

3.950%, 04/23/27

     2,205,000       2,131,461  

3.875%, 04/29/24

     1,630,000       1,614,725  

3.217%, U.S. SOFR + 1.485%, 04/22/42(A)

     940,000       750,835  

3.125%, 07/27/26

     250,000       236,939  

0.864%, U.S. SOFR + 0.745%, 10/21/25(A)

     3,000,000       2,779,401  

National Bank of Canada MTN

    

0.550%, H15T1Y + 0.400%, 11/15/24(A)

     2,500,000       2,409,041  

NatWest Group

    

6.000%, 12/19/23

     2,275,000       2,283,430  

5.125%, 05/28/24

     100,000       99,776  

4.269%, ICE LIBOR USD 3 MONTH + 1.762%, 03/22/25(A)

     1,930,000       1,905,100  

2.359%, H15T1Y + 2.150%, 05/22/24(A)

     2,500,000       2,473,034  

1.642%, H15T1Y + 0.900%, 06/14/27(A)

     1,750,000       1,555,557  

Nederlandse Waterschapsbank

    

1.000%, 05/28/30(B)

     2,500,000       2,042,177  

OMERS Finance Trust

    

4.000%, 04/19/52(B)

     2,000,000       1,704,740  

OPEC Fund for International Development

    

4.500%, 01/26/26(B)

     900,000       896,883  

Owl Rock Capital

    

3.400%, 07/15/26

     1,140,000       1,029,373  

2.875%, 06/11/28

     1,190,000       986,595  

OWS Cre Funding I

    

9.269%, ICE LIBOR USD 1 MONTH + 4.900%, 09/01/23(A)(B)

     3,500,000       3,364,885  

Prudential Financial MTN

    

1.500%, 03/10/26

     2,500,000       2,280,300  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

FINANCIALS — continued

 

Santander Holdings USA

    

5.807%, U.S. SOFR + 2.328%, 09/09/26(A)

    $ 1,950,000       $ 1,968,068   

3.244%, 10/05/26

     3,020,000       2,841,092  

Shell International Finance BV

    

3.750%, 09/12/46

     945,000       805,786  

Toronto-Dominion Bank MTN

    

4.773%, U.S. SOFR + 0.450%, 09/28/23(A)

     1,250,000       1,250,500  

Truist Bank

    

2.636%, H15T5Y + 1.150%, 09/17/29(A)

     2,735,000       2,578,718  

UBS Group

    

5.959%, H15T1Y + 2.200%, 01/12/34(A)(B)

     1,725,000       1,817,014  

1.494%, H15T5Y + 0.850%, 08/10/27(A)(B)

     495,000       435,883  

UniCredit MTN

    

7.296%, USD ICE Swap 5 Yr + 4.914%, 04/02/34(A)(B) .

     2,000,000       1,944,531  

5.459%, H15T5Y + 4.750%, 06/30/35(A)(B)

     925,000       809,247  

Unum Group

    

6.750%, 12/15/28

     465,000       494,718  

USAA Capital

    

2.125%, 05/01/30(B)

     2,500,000       2,122,068  

1.500%, 05/01/23(B)

     1,750,000       1,735,764  

Wells Fargo MTN

    

5.013%, U.S. SOFR +

    

4.502%, 04/04/51(A)

     2,075,000       2,045,759  

4.897%, U.S. SOFR + 2.100%, 07/25/33(A)

     600,000       597,674  

4.300%, 07/22/27

     1,225,000       1,211,313  

4.100%, 06/03/26

     425,000       417,731  

3.068%, U.S. SOFR + 2.530%, 04/30/41(A)

     680,000       530,190  

2.572%, U.S. SOFR + 1.262%, 02/11/31(A)

     50,000       43,089  

2.188%, U.S. SOFR + 2.000%, 04/30/26(A)

     670,000       630,304  

2.164%, ICE LIBOR USD 3 MONTH + 0.750%, 02/11/26(A)

     1,010,000       953,038  

WLB Asset II D Pte

    

6.500%, 12/21/26(B)

     2,500,000       2,505,202  
    

 

 

 

       279,883,394  
    

 

 

 

HEALTH CARE — 0.7%

 

Cigna

    

7.875%, 05/15/27

     651,000       728,443  

4.125%, 11/15/25

     250,000       247,171  

3.750%, 07/15/23

     498,000       495,259  

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

HEALTH CARE — continued

 

CVS Health

    

5.050%, 03/25/48

    $ 3,725,000       $ 3,541,423   

4.780%, 03/25/38

     1,050,000       1,005,058  

4.125%, 04/01/40

     225,000       196,493  

3.750%, 04/01/30

     175,000       163,967  

1.875%, 02/28/31

     5,530,000       4,482,785  

Royalty Pharma

    

1.750%, 09/02/27

     1,135,000       986,444  

Zoetis

    

4.500%, 11/13/25

     600,000       598,285  
    

 

 

 

       12,445,328  
    

 

 

 

INDUSTRIALS — 0.8%

 

BNSF Railway 2007-1 Pass Through Trust

    

5.996%, 04/01/24

     10,932       10,905  

Burlington Northern and Santa Fe Railway Pass Through Trust, Ser 2006-1

    

5.720%, 01/15/24

     5,271       5,364  

Burlington Northern Santa Fe

    

4.375%, 09/01/42

     25,000       23,641  

3.750%, 04/01/24

     1,025,000       1,013,738  

Cemex

    

7.375%, 06/05/27(B)

     1,000,000       1,028,000  

5.450%, 11/19/29(B)

     275,000       265,508  

5.200%, 09/17/30(B)

     1,925,000       1,800,602  

CRH America

    

3.875%, 05/18/25(B)

     700,000       683,129  

Family Forest Impact Foundation

    

5.500%, 07/01/32

     1,250,000       1,279,911  

FedEx

    

5.250%, 05/15/50

     800,000       784,155  

Mileage Plus Holdings

    

6.500%, 06/20/27(B)

     4,945,500       4,996,488  

Nature Conservancy

    

3.957%, 03/01/52

     2,485,000       2,086,019  

Union Pacific

    

3.500%, 02/14/53

     1,010,000       816,436  

Union Pacific Railroad 2005 Pass Through Trust

    

5.082%, 01/02/29

     43,821       44,336  

Union Pacific Railroad 2007-3 Pass Through Trust

    

6.176%, 01/02/31

     17,994       18,991  
    

 

 

 

       14,857,223  
    

 

 

 

INFORMATION TECHNOLOGY — 1.6%

 

Apple

    

3.950%, 08/08/52

     485,000       435,547  

3.000%, 06/20/27

     2,500,000       2,389,985  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

INFORMATION TECHNOLOGY — continued

 

2.650%, 02/08/51

    $ 680,000       $ 481,073   

2.400%, 08/20/50

     1,635,000       1,102,736  

Arrow Electronics

    

3.875%, 01/12/28

     1,977,000       1,858,884  

3.250%, 09/08/24

     1,875,000       1,814,189  

Broadcom

    

4.150%, 11/15/30

     435,000       405,782  

4.110%, 09/15/28

     525,000       506,298  

3.875%, 01/15/27

     2,030,000       1,955,994  

Dell International

    

8.350%, 07/15/46

     362,000       436,921  

6.020%, 06/15/26

     275,000       282,837  

5.450%, 06/15/23

     19,000       19,023  

3.375%, 12/15/41(B)

     3,540,000       2,548,911  

Intel

    

4.150%, 08/05/32(C)

     2,500,000       2,383,230  

International Business Machines

    

2.950%, 05/15/50

     810,000       571,689  

Mastercard

    

1.900%, 03/15/31

     2,500,000       2,104,110  

Microchip Technology

    

0.983%, 09/01/24

     975,000       913,087  

NXP BV

    

4.875%, 03/01/24

     280,000       279,376  

3.875%, 06/18/26

     250,000       241,338  

Oracle

    

3.950%, 03/25/51

     650,000       505,214  

3.900%, 05/15/35

     2,445,000       2,162,408  

3.600%, 04/01/40

     545,000       431,822  

PayPal Holdings

    

3.250%, 06/01/50

     2,940,000       2,184,413  

VMware

    

4.650%, 05/15/27

     1,920,000       1,900,233  

1.400%, 08/15/26

     525,000       464,895  

0.600%, 08/15/23

     400,000       390,914  
    

 

 

 

       28,770,909  
    

 

 

 

MATERIALS — 0.3%

 

Dow Chemical

    

9.400%, 05/15/39

     166,000       230,713  

7.375%, 11/01/29

     430,000       492,511  

5.550%, 11/30/48

     35,000       35,477  

FMG Resources August 2006 Pty

    

6.125%, 04/15/32(B)

     2,500,000       2,437,500  

Glencore Funding

    

1.625%, 09/01/25(B)

     230,000       210,855  

LG Chemical

    

4.375%, 07/14/25(B)

     1,150,000       1,129,530  

LYB International Finance III

    

3.375%, 10/01/40

     1,255,000       965,169  

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

MATERIALS — continued

 

2.250%, 10/01/30

    $ 100,000       $ 83,219   
    

 

 

 

       5,584,974  
    

 

 

 

REAL ESTATE — 0.7%

 

Boston Properties

    

3.250%, 01/30/31

     1,450,000       1,246,580  

3.125%, 09/01/23

     910,000       899,093  

Corporate Office Properties

    

2.750%, 04/15/31

     1,040,000       811,738  

Equinix

    

2.500%, 05/15/31

     4,293,000       3,587,496  

ERP Operating

    

4.150%, 12/01/28

     3,672,000       3,541,518  

Host Hotels & Resorts

    

2.900%, 12/15/31

     1,581,000       1,256,838  

Spirit Realty

    

3.400%, 01/15/30

     1,570,000       1,358,950  
    

 

 

 

       12,702,213  
    

 

 

 

UTILITIES — 3.0%

 

Alabama Power

    

3.700%, 12/01/47

     1,845,000       1,509,829  

Avangrid

    

3.800%, 06/01/29

     2,500,000       2,342,959  

3.150%, 12/01/24

     2,545,000       2,457,085  

Berkshire Hathaway Energy

    

6.125%, 04/01/36

     74,000       82,129  

CenterPoint Energy Houston Electric

    

3.350%, 04/01/51

     1,100,000       868,122  

CenterPoint Energy Resources

    

1.750%, 10/01/30

     1,320,000       1,085,654  

Commonwealth Edison

    

4.000%, 03/01/48

     570,000       500,410  

Consolidated Edison of New York

    

4.450%, 03/15/44

     965,000       890,777  

Dominion Energy

    

5.750%, ICE LIBOR USD 3 MONTH + 3.057%, 10/01/54(A)

     1,450,000       1,399,606  

Duke Energy Florida

    

3.850%, 11/15/42

     520,000       442,986  

3.200%, 01/15/27

     710,000       681,717  

Electricite de France

    

3.625%, 10/13/25(B)

     1,000,000       973,006  

Enel Finance International

    

6.000%, 10/07/39(B)

     850,000       845,020  

Exelon

    

3.950%, 06/15/25

     1,270,000       1,249,851  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

UTILITIES — continued

 

Georgia Power

    

5.125%, 05/15/52

    $ 2,500,000       $ 2,488,759   

3.250%, 03/15/51

     368,000       269,250  

MidAmerican Energy

    

5.800%, 10/15/36

     420,000       463,079  

3.950%, 08/01/47

     2,500,000       2,185,401  

2.700%, 08/01/52

     1,588,000       1,101,118  

National Rural Utilities Cooperative Finance

    

4.150%, 12/15/32

     2,500,000       2,388,552  

NextEra Energy Capital Holdings

    

4.625%, 07/15/27

     100,000       100,161  

4.255%, 09/01/24

     500,000       495,706  

Niagara Mohawk Power

    

1.960%, 06/27/30(B)

     2,500,000       2,044,754  

NSTAR Electric

    

3.100%, 06/01/51

     175,000       129,341  

Pacific Gas and Electric

    

4.950%, 07/01/50

     1,390,000       1,160,455  

PacifiCorp

    

6.350%, 07/15/38

     720,000       816,128  

2.900%, 06/15/52

     3,564,000       2,527,060  

PECO Energy

    

4.150%, 10/01/44

     1,015,000       912,625  

3.000%, 09/15/49

     1,005,000       735,875  

Public Service Electric and Gas MTN

    

3.100%, 03/15/32

     2,500,000       2,257,291  

San Diego Gas & Electric

    

2.950%, 08/15/51

     2,500,000       1,803,299  

Solar Star Funding

    

3.950%, 06/30/35(B)

     977,025       867,707  

Southern

    

5.113%, 08/01/27

     1,025,000       1,042,690  

4.475%, 08/01/24 (D)

     700,000       692,597  

4.000%, H15T5Y + 3.733%, 01/15/51(A)

     1,550,000       1,474,562  

3.750%, H15T5Y + 2.915%, 09/15/51(A)

     1,450,000       1,262,002  

Southern California Edison

    

3.650%, 06/01/51

     3,000,000       2,348,932  

3.450%, 02/01/52

     2,530,000       1,914,679  

2.750%, 02/01/32

     2,500,000       2,158,916  

Southern Power

    

0.900%, 01/15/26

     1,160,000       1,040,898  

Union Electric

    

3.900%, 04/01/52

     2,195,000       1,892,571  

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

UTILITIES — continued

 

Virginia Electric and Power

    

4.650%, 08/15/43

    $ 775,000       $ 725,546   
    

 

 

 

       52,629,105  
    

 

 

 

Total Corporate Obligations
(Cost $604,386,523)

       579,014,273  
    

 

 

 

U.S. TREASURY OBLIGATIONS — 23.0%

 

     Face
      Amount      
            Value          

U.S. Treasury Bonds

    

4.000%, 11/15/42

    $ 618,000      $ 636,154  

3.375%, 08/15/42

     8,500,000       8,036,484  

3.250%, 05/15/42

     80,000       74,225  

3.000%, 08/15/48

     1,295,000       1,141,674  

3.000%, 02/15/49

     985,000       870,763  

3.000%, 08/15/52

     38,852,000       34,377,949  

2.875%, 05/15/52

     56,585,000       48,760,355  

2.500%, 02/15/45

     15,310,000       12,351,462  

2.500%, 02/15/46

     1,775,000       1,426,171  

2.500%, 05/15/46

     1,735,000       1,393,490  

2.375%, 02/15/42

     870,000       703,816  

2.375%, 11/15/49

     395,000       307,221  

2.250%, 08/15/46

     1,805,000       1,378,216  

2.250%, 02/15/52

     21,710,000       16,311,334  

2.000%, 11/15/41

     1,305,000       991,698  

2.000%, 02/15/50

     4,745,000       3,388,783  

2.000%, 08/15/51

     6,755,000       4,789,453  

1.875%, 02/15/41

     935,000       702,821  

1.875%, 02/15/51

     325,000       223,907  

1.875%, 11/15/51

     32,870,000       22,562,173  

1.625%, 11/15/50

     4,615,000       2,984,968  

1.375%, 11/15/40

     2,815,000       1,947,958  

1.250%, 05/15/50

     625,000       367,261  

1.125%, 05/15/40

     605,000       403,507  

1.125%, 08/15/40

     3,655,000       2,425,150  

U.S. Treasury Notes

    

4.666%, US Treasury 3 Month Bill Money Market Yield + 0.037%, 07/31/24(A)

     26,900,000       26,890,579  

4.250%, 12/31/24

     925,000       925,000  

4.125%, 01/31/25

     2,600,000       2,595,938  

4.125%, 11/15/32

     700,000       734,344  

4.000%, 10/31/29

     1,827,000       1,872,532  

3.875%, 01/15/26

     1,050,000       1,048,770  

3.875%, 12/31/27

     4,950,000       5,006,074  

3.875%, 12/31/29

     300,000       305,109  

3.500%, 01/31/28

     6,095,000       6,062,513  

2.875%, 05/15/32

     14,020,000       13,351,859  

2.750%, 04/30/27

     1,676,000       1,614,459  

2.750%, 05/31/29

     3,860,000       3,676,952  

2.750%, 08/15/32

     4,860,000       4,572,956  

2.375%, 03/31/29

     5,640,000       5,260,842  

2.375%, 05/15/29

     918,000       855,605  

1.875%, 02/15/32

     1,730,000       1,518,007  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

U.S. TREASURY OBLIGATIONS — continued

 

     Face
      Amount      
            Value          

1.750%, 11/15/29

    $ 1,050,000       $ 941,104   

1.625%, 08/15/29

     1,340,000       1,193,438  

1.625%, 05/15/31

     1,485,000       1,292,008  

1.500%, 02/15/30

     265,000       232,620  

1.375%, 12/31/28

     6,335,000       5,595,834  

1.375%, 11/15/31

     13,805,000       11,638,801  

1.250%, 08/15/31

     10,810,000       9,070,688  

1.125%, 02/29/28

     4,795,000       4,245,073  

1.125%, 08/31/28

     505,000       441,993  

1.125%, 02/15/31

     4,625,000       3,893,491  

0.875%, 09/30/26

     107,950,000       97,370,057  

0.875%, 11/15/30

     16,360,000       13,521,284  

0.750%, 01/31/28

     1,450,000       1,261,670  

0.625%, 11/30/27

     3,350,000       2,908,480  

0.625%, 12/31/27

     7,560,000       6,550,622  

0.625%, 05/15/30

     595,000       486,715  

0.625%, 08/15/30

     295,000       240,183  

0.500%, 04/30/27

     5,860,000       5,136,198  
    

 

 

 

Total U.S. Treasury Obligations
(Cost $449,856,530)

       410,868,791  
    

 

 

 

ASSET-BACKED SECURITIES — 5.6%

 

     Face
      Amount      
            Value          

Automotive — 2.5%

 

American Credit Acceptance Receivables Trust, Ser 2022-2, Cl D

    

4.850%, 06/13/28 (B)

    $ 2,555,000      $ 2,440,963  

CAL Receivables 2022-1, Ser 2022-1, Cl B

    

8.645%, SOFR30A + 4.350%, 10/15/26 (A)(B)

     2,520,000       2,462,693  

Carmax Auto Owner Trust 2019- 2, Ser 2019-2, Cl D

    

3.410%, 10/15/25

     2,010,000       1,985,714  

Carvana Auto Receivables Trust 2019-2, Ser 2019-2A, Cl D

    

3.280%, 01/15/25 (B)

     1,768,660       1,755,409  

Credit Acceptance Auto Loan Trust 2020-3, Ser 2020-3A, Cl C

    

2.280%, 02/15/30 (B)

     1,200,000       1,132,972  

Drive Auto Receivables Trust 2019-3, Ser 2019-3, Cl D

    

3.180%, 10/15/26

     94,609       93,725  

Drive Auto Receivables Trust 2020-2, Ser 2020-2, Cl D

    

3.050%, 05/15/28

     2,200,000       2,149,705  

Exeter Automobile Receivables Trust, Ser 2021-3A, Cl D

    

1.550%, 06/15/27

     5,200,000       4,773,733  

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

Exeter Automobile Receivables Trust, Ser 2022-2A, Cl D

    

4.560%, 07/17/28

    $ 3,200,000       $ 3,068,688   

Exeter Automobile Receivables Trust, Ser 2022-3A, Cl D

    

6.760%, 09/15/28

     3,000,000       2,996,773  

Exeter Automobile Receivables Trust, Ser 2022-5A, Cl D

    

7.400%, 02/15/29

     3,945,000       4,060,699  

Flagship Credit Auto Trust, Ser 2019-3, Cl E

    

3.840%, 12/15/26 (B)

     3,825,000       3,592,298  

Flagship Credit Auto Trust, Ser 2022-2, Cl D

    

5.800%, 04/17/28 (B)

     190,000       181,696  

Ford Credit Auto Owner Trust 2021-REV1, Ser 2021-1, Cl D

    

2.310%, 10/17/33 (B)

     1,750,000       1,537,869  

GLS Auto Receivables Issuer Trust 2021-4, Ser 2021-4A, Cl D

    

2.480%, 10/15/27 (B)

     3,500,000       3,146,391  

GLS Auto Receivables Issuer Trust, Ser 2022-2A, Cl D

    

6.150%, 04/17/28 (B)

     2,500,000       2,438,214  

Santander Drive Auto Receivables Trust 2019-1, Ser 2019-1, Cl D

    

3.650%, 04/15/25

     336,702       336,144  

Santander Drive Auto Receivables Trust, Ser 2022-7, Cl C

    

6.690%, 03/17/31

     3,340,000       3,502,107  

Tesla Auto Lease Trust, Ser 2021-A, Cl B

    

1.020%, 03/20/25 (B)

     1,000,000       961,861  

Westlake Automobile Receivables Trust 2022-1, Ser 2022-1A, Cl D

    

3.490%, 03/15/27 (B)

     345,000       321,834  

Westlake Automobile Receivables Trust 2023-1, Ser 2023-1A, Cl D

    

6.790%, 11/15/28 (B)

     1,400,000       1,414,974  
    

 

 

 

       44,354,462  
    

 

 

 

Other Asset-Backed Securities — 3.1%

 

AEP Texas Central Transition Funding III, Ser 2012-1, Cl A3

    

2.845%, 03/01/26

     59,182       57,744  

Barclays Commercial Mortgage Trust 2019-C4, Ser C4, Cl C

    

3.469%, 08/15/52

     1,300,000       1,033,448  

Benchmark 2019-B10 Mortgage Trust, Ser B10, Cl C

    

3.750%, 03/15/62

     1,200,000       982,384  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

Benchmark 2022-B35 Mortgage Trust, Ser B35, Cl C

    

4.445%, 05/15/55 (A)

    $ 1,000,000       $ 808,618   

BMO 2023-C4 Mortgage Trust, Ser C4, Cl C

    

5.864%, 02/15/56 (A)

     960,000       877,364  

DRIVEN BRANDS FUNDING, Ser 2019-1A, Cl A2

    

4.641%, 04/20/49 (B)

     3,513,600       3,296,164  

Finance of America 2022-S4

    

3.000%, 01/25/57

     3,012,416       2,737,361  

GoodLeap Sustainable Home Solutions Trust 2021-5, Ser 2021-5CS, Cl B

    

2.560%, 10/20/48 (B)

     2,384,661       1,809,215  

GoodLeap Sustainable Home Solutions Trust 2023-1, Ser 2023-1GS, Cl A

    

5.520%, 02/22/55 (B)

     1,815,000       1,814,445  

GoodLeap Sustainable Home Solutions Trust, Ser 2022-3CS, Cl B

    

5.500%, 07/20/49 (B)

     1,250,000       1,132,092  

GoodLeap Sustainable Home Solutions Trust, Ser 2022-4CS, Cl B

    

5.550%, 11/20/54 (B)

     1,118,000       995,666  

KKR CLO 41, Ser 2022-41A, Cl C

    

6.882%, TSFR3M + 2.250%, 04/15/35 (A)(B)

     3,500,000       3,312,288  

Morgan Stanley Capital I Trust 2019-H7, Ser H7, Cl C

    

4.128%, 07/15/52

     1,809,000       1,459,379  

Mosaic Solar Loan Trust, Ser 2022-1A, Cl B

    

3.160%, 01/20/53 (B)

     1,349,038       1,130,072  

Navient Student Loan Trust 2016-1, Ser 2016-1A, Cl A

    

5.206%, ICE LIBOR USD 1 Month + 0.700%,
02/25/70 (A)(B)

     409,365       401,084  

Navient Student Loan Trust 2016-5, Ser 2016-5A, Cl A

    

5.756%, ICE LIBOR USD 1 MONTH + 1.250%,
06/25/65 (A)(B)

     516,072       504,146  

Navient Student Loan Trust 2016-6, Ser 2016-6A, Cl A3

    

5.806%, ICE LIBOR USD 1 Month + 1.300%,
03/25/66 (A)(B)

     115,000       114,788  

Navient Student Loan Trust 2018-2, Ser 2018-2A, Cl A3

    

5.256%, ICE LIBOR USD 1 MONTH + 0.750%,
03/25/67 (A)(B)

     5,597,201       5,482,600  

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

Navient Student Loan Trust 2021-1, Ser 2021-1A, Cl A1B

    

5.106%, ICE LIBOR USD 1 MONTH + 0.600%, 12/26/69 (A)(B)

    $ 5,414,498       $ 5,262,490   

Neuberger Berman Loan Advisers CLO, Ser 2022-47A, Cl C

    

6.682%, TSFR3M + 2.050%, 04/14/35 (A)(B)

     6,000,000       5,611,818  

SBAP 2004-20K 1

    

4.880%, 11/01/24

     1,544       1,520  

SBAP 2006-20B 1

    

5.350%, 02/01/26

     1,555       1,537  

SBAP 2006-20C 1

    

5.570%, 03/01/26

     1,400       1,387  

SBAP 2007-20C 1

    

5.230%, 03/01/27

     1,456       1,378  

SLM Student Loan Trust 2004-3, Ser 2014-3A, Cl A6B

    

5.368%, ICE LIBOR USD 3 MONTH + 0.550%,
10/25/64 (A)(B)

     3,103,992       3,009,935  

SLM Student Loan Trust 2009-3, Ser 2009-3, Cl A

    

5.256%, ICE LIBOR USD 1 MONTH + 0.750%,
01/25/45 (A)(B)

     1,972,116       1,905,955  

SMB Private Education Loan Trust 2017-B, Ser 2017-B, Cl A2A

    

2.820%, 10/15/35 (B)

     100,564       96,183  

SMB Private Education Loan Trust 2018-A, Ser 2018-A, Cl A2A

    

3.500%, 02/15/36 (B)

     1,016,967       974,763  

SOUND POINT CLO XXII, Ser 2021-1A, Cl CR

    

7.058%, ICE LIBOR USD 3 MONTH + 2.250%,
01/20/32 (A)(B)

     3,480,000       3,344,047  

United States Small Business Administration

    

5.090%, 10/01/25

     7,865       7,701  

United States Small Business Administration, Ser 2003-20B, Cl 1

    

4.840%, 02/01/23

     512       512  

United States Small Business Administration, Ser 2003-20J, Cl 1

    

4.920%, 10/01/23

     644       639  

United States Small Business Administration, Ser 2003-20K, Cl 1

    

4.980%, 11/01/23

     3,176       3,151  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

United States Small Business Administration, Ser 2004-20L, Cl 1

    

4.870%, 12/01/24

    $ 1,459       $ 1,450   

United States Small Business Administration, Ser 2005-20A, Cl 1

    

4.860%, 01/01/25

     550       543  

United States Small Business Administration, Ser 2005-20E, Cl 1

    

4.840%, 05/01/25

     494       487  

United States Small Business Administration, Ser 2005-20G, Cl 1

    

4.750%, 07/01/25

     2,443       2,411  

United States Small Business Administration, Ser 2005-20H, Cl 1

    

5.110%, 08/01/25

     5,535       5,490  

United States Small Business Administration, Ser 2006-20F, Cl 1

    

5.820%, 06/01/26

     733       722  

United States Small Business Administration, Ser 2006-20G, Cl 1

    

6.070%, 07/01/26

     2,140       2,127  

United States Small Business Administration, Ser 2006-20H, Cl 1

    

5.700%, 08/01/26

     1,594       1,592  

United States Small Business Administration, Ser 2007-20D, Cl 1

    

5.320%, 04/01/27

     4,983       4,917  

United States Small Business Administration, Ser 2007-20E, Cl 1

    

5.310%, 05/01/27

     1,661       1,645  

United States Small Business Administration, Ser 2007-20F, Cl 1

    

5.710%, 06/01/27

     3,512       3,470  

Vivint Solar Financing V, Ser 2018-1A, Cl B

    

7.370%, 04/30/48 (B)

     633,043       589,443  

Vivint Solar Financing VII, Ser 2020-1A, Cl A

    

2.210%, 07/31/51 (B)

     1,337,886       1,052,962  

Wellfleet CLO X, Ser 2021-XA, Cl BR

    

7.008%, ICE LIBOR USD 3 MONTH + 2.200%,
07/20/32 (A)(B)

     2,000,000       1,917,370  

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount      
            Value          

Wells Fargo Commercial Mortgage Trust 2018-C47, Ser C47, Cl C

    

4.930%, 09/15/61 (A)

    $ 610,000       $ 543,403   

Wells Fargo Commercial

    

Mortgage Trust 2019-C50, Ser C50, Cl C

    

4.345%, 05/15/52

     2,000,000       1,680,011  

Wells Fargo Commercial Mortgage Trust 2019-C52, Ser C52, Cl C

    

3.561%, 08/15/52

     1,100,000       850,155  

Wells Fargo Commercial Mortgage Trust 2022-C62, Ser C62, Cl C

    

4.351%, 04/15/55 (A)

     875,000       666,963  
    

 

 

 

       55,497,035  
    

 

 

 

Total Asset-Backed Securities
(Cost $101,952,590)

       99,851,497  
    

 

 

 

MUNICIPAL BONDS — 2.4%

 

     Face
      Amount      
            Value          

Alaska — 0.2%

 

City of Port Lions Alaska

    

7.500%, 10/01/52

    $ 3,025,000      $ 3,131,878  
    

 

 

 

California — 1.0%

 

California Health Facilities Financing Authority

    

3.034%, 06/01/34

     1,865,000       1,584,644  

2.984%, 06/01/33

     3,090,000       2,650,598  

City & County of San Francisco California Community Facilities District No. 2014-1

    

6.332%, 09/01/51

     1,250,000       1,330,697  

3.482%, 09/01/50

     2,500,000       1,832,742  

City of Los Angeles California, Ser A

    

5.000%, 09/01/42

     2,500,000       2,514,274  

City of Los Angeles Department of Airports Customer Facility Charge Revenue, RB

    

3.258%, 05/15/30

     2,250,000       2,051,406  

3.158%, 05/15/29

     1,000,000       919,165  

City of San Francisco California Public Utilities Commission Water Revenue, Ser E

    

2.825%, 11/01/41

     1,000,000       782,260  

Los Angeles Unified School District, Ser RY

    

6.758%, 07/01/34

     100,000       117,036  

Regents of the University of California Medical Center Pooled Revenue

    

4.563%, 05/15/53

     600,000       581,689  
 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

MUNICIPAL BONDS — continued

 

     Face
      Amount      
            Value          

State of California

    

7.625%, 03/01/40

    $ 40,000       $ 52,995   

7.550%, 04/01/39

     100,000       133,164  

7.500%, 04/01/34

     675,000       851,219  

7.300%, 10/01/39

     625,000       796,432  

Tuolumne Wind Project Authority

    

6.918%, 01/01/34

     1,100,000       1,237,294  
    

 

 

 

       17,435,615  
    

 

 

 

Connecticut — 0.1%

 

Connecticut Green Bank

    

2.900%, 11/15/35

     2,500,000       2,096,578  

Hartford County Metropolitan District Clean Water Project Revenue, Ser S

    

2.952%, 11/01/42

     270,000       208,558  
    

 

 

 

       2,305,136  
    

 

 

 

District of Columbia — 0.1%

 

District of Columbia

    

2.932%, 04/01/33

     1,590,000       1,332,727  
    

 

 

 

Florida — 0.1%

 

Florida Development Finance, RB

    

7.250%, 07/01/57 (A)(B)

     2,500,000       2,495,677  
    

 

 

 

Hawaii — 0.1%

 

State of Hawaii Department of Business Economic Development & Tourism, Ser A- 2, RB

    

3.242%, 01/01/31

     1,072,517       1,011,464  
    

 

 

 

Illinois — 0.1%

    

State of Illinois

    

5.100%, 06/01/33

     1,850,000       1,837,037  
    

 

 

 

Massachusetts — 0.0%

 

Massachusetts Housing Finance Agency, Ser 226-SOCIAL

    

5.562%, 12/01/52

     500,000       508,042  
    

 

 

 

Montana — 0.0%

    

County of Gallatin Montana, RB

    

11.500%, 09/01/27 (B)

     500,000       526,166  
    

 

 

 

New Jersey — 0.2%

 

New Jersey Economic Development Authority

    

4.934%, 03/01/25

     750,000       754,022  

New Jersey Housing & Mortgage Finance Agency, Ser C

    

3.100%, 11/01/40

     3,100,000       2,463,982  

New Jersey Turnpike Authority

    

7.414%, 01/01/40

     275,000       359,197  

7.102%, 01/01/41

     925,000       1,175,768  
    

 

 

 

       4,752,969  
    

 

 

 

    

New York — 0.3%

 

Metropolitan Transportation Authority, Ser C2

    

5.175%, 11/15/49

     1,250,000       1,153,013  

MUNICIPAL BONDS — continued

 

     Face
      Amount      
            Value          

New York State Energy Research & Development Authority, Ser A

    

4.871%, 04/01/37

    $ 3,330,000       $ 3,115,474   
    

 

 

 

       4,268,487  
    

 

 

 

Pennsylvania — 0.1%

 

Redevelopment Authority of the City of Philadelphia, Ser A

    

3.172%, 09/01/41

     2,000,000       1,532,362  
    

 

 

 

South Dakota — 0.0%

 

South Dakota Housing Development Authority, Ser E, RB

    

5.460%, 05/01/53

     300,000       305,467  
    

 

 

 

Wisconsin — 0.1%

 

County of Fond Du Lac Wisconsin

    

5.569%, 11/01/51 (B)

     2,350,000       2,362,035  
    

 

 

 

Total Municipal Bonds
(Cost $43,571,466)

       43,805,062  
    

 

 

 

PREFERRED STOCK — 0.2%

 

           Shares                   Value          

PREFERRED STOCK — 0.2%

 

Citigroup Capital XIII, 11.172%, ICE LIBOR USD 3 MONTH + 6.370%, 10/30/40 (A)

     108,715      $ 3,122,295  
    

 

 

 

Total Preferred Stock
(Cost $2,861,568)

       3,122,295  
    

 

 

 

U.S. GOVERNMENT AGENCY OBLIGATION — 0.0%

 

     Face
      Amount      
            Value          

United States International Development Finance

    

1.790%, 10/15/29

    $ 402,095      $ 365,006  
    

 

 

 

Total U.S. Government Agency Obligations
(Cost $375,972)

       365,006  
    

 

 

 

SHORT-TERM INVESTMENT — 0.1%

 

     Face
      Amount      
            Value          

State Street Institutional US Government Money Market Fund, Premier Class, 2.960%, (E)

    $ 963,389      $ 963,389  
    

 

 

 

Total Short-Term Investments
(Cost $963,389)

       963,389  
    

 

 

 

Total Investments in Securities— 97.5%
(Cost $1,842,722,352)

 

   $ 1,738,731,642  
    

 

 

 

    

 

 

 

 


Catholic Responsible Investments  

Bond Fund

January 31, 2023

(Unaudited)

 

Percentages are based on Net Assets of $1,782,660,977.

 

(A)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(B)

Securities sold within the terms of a private placement memorandum, exempt from registration under section 144A of the Securities Act of 1933, as amended, and maybe sold only to dealers in the program or other “accredited investors”. The total value of these securities at January 31, 2023 was $305,363,211 and represented 17.1% of Net Assets.

(C)

This security or a partial position of this security is on loan at January 31, 2023. The total market value of securities on loan at January 31, 2023 was $921,830.

(D)

Step coupon security. Coupon rate will either increase (step-up bond) or decrease (step-down bond) at regular intervals until maturity. Interest rate shown reflects the rate currently in effect.

(E)

This security was purchased with cash collateral received from securities lending. The total was of such securities as of January 31, 2023, was $963,389.

(F)

Zero coupon security.

Cl — Class

CLO — Collateralized Loan Obligation

DAC — Designated Activity Company

FHLMC — Federal Home Loan Mortgage Corporation

FNMA — Federal National Mortgage Association

GNMA — Government National Mortgage Association

H15T1Y — US Treas Yield Curve Rate T Note Const Mat 1 Yr

H15T5Y — US Treas Yield Curve Rate T Note Const Mat 5 Yr

LIBOR — London Interbank Offered Rate

MTN — Medium Term Note

REMIC — Real Estate Mortgage Investment Conduit

RB — Revenue Bond

Ser — Series

SOFR — Secured Overnight Financing Rate

SOFR30A — Secured Overnight Financing Rate 30-day Average

SOFRINDX — Secured Overnight Financing Rate Index

STACR — Structured Agency Credit Risk

TSFR1M — Term Structured Financing Rate 1 Month Average

TSFR3M — Term Structured Financing Rate 3 Month Average

USD — United States Dollar

For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund’s most recent financial statements.

CRI-QH-001-0300

 


Catholic Responsible Investments  

Opportunistic Bond Fund

January 31, 2023

(Unaudited)

 

SCHEDULE OF INVESTMENTS

 

CORPORATE OBLIGATIONS — 30.3%

 

     Face
      Amount      
            Value          

COMMUNICATION SERVICES — 1.0%

 

Meta Platforms

    

4.450%, 08/15/52

    $ 3,114,000       $ 2,719,439   

Time Warner Cable Enterprises

    

8.375%, 03/15/23

     1,500,000       1,506,189  

T-Mobile USA

    

5.650%, 01/15/53

     1,197,000       1,248,732  
    

 

 

 

       5,474,360  
    

 

 

 

CONSUMER DISCRETIONARY — 2.3%

 

General Motors

    

5.600%, 10/15/32

     2,671,000       2,636,321  

5.400%, 10/15/29

     1,175,000       1,164,536  

5.200%, 04/01/45

     970,000       847,311  

General Motors Financial

    

4.300%, 07/13/25

     1,577,000       1,545,473  

Lennar

    

5.250%, 06/01/26

     1,500,000       1,512,384  

Lowe’s

    

5.625%, 04/15/53

     2,272,000       2,344,858  

Marriott International

    

4.650%, 12/01/28

     1,500,000       1,484,131  

Starbucks

    

2.550%, 11/15/30

     413,000       359,967  
    

 

 

 

       11,894,981  
    

 

 

 

CONSUMER STAPLES — 0.6%

    

CVS Pass-Through Trust

    

6.036%, 12/10/28

     1,574,296       1,583,718  

Delta Air Lines

    

4.750%, 10/20/28(A)

     500,000       486,443  

Kraft Heinz Foods

    

3.000%, 06/01/26

     1,388,000       1,319,042  
    

 

 

 

       3,389,203  
    

 

 

 

ENERGY — 1.2%

    

Continental Resources

    

3.800%, 06/01/24

     980,000       960,233  

Devon Energy

    

7.875%, 09/30/31

     340,000       398,477  

Diamondback Energy

    

6.250%, 03/15/33

     1,690,000       1,798,601  

Equities

    

5.700%, 04/01/28

     500,000       505,905  

5.678%, 10/01/25

     250,000       250,162  

Hess

    

7.875%, 10/01/29

     120,000       136,422  

7.300%, 08/15/31

     210,000       235,300  

Hydro-Quebec

    

8.050%, 07/07/24

     500,000       522,736  

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount       
            Value           

ENERGY — continued

    

MidAmerican Energy

    

3.100%, 05/01/27

    $ 1,292,000       $ 1,231,310   
    

 

 

 

       6,039,146  
    

 

 

 

FINANCIALS — 20.1%

    

ABN AMRO Bank

    

2.470%, H15T1Y +

    

1.100%, 12/13/29(A)(B)

     1,000,000       842,592  

Aflac

    

1.125%, 03/15/26

     1,500,000       1,352,128  

African Development Bank

    

0.750%, 04/03/23

     2,700,000       2,681,694  

Bank of America MTN

    

4.827%, U.S. SOFR + 1.750%, 07/22/26(B)

     945,000       942,476  

3.559%, ICE LIBOR USD 3 Month + 1.060%, 04/23/27(B)

     1,750,000       1,673,684  

1.530%, U.S. SOFR + 0.650%, 12/06/25(B)

     1,000,000       934,160  

Barclays

    

1.007%, H15T1Y + 0.800%, 12/10/24(B)

     1,370,000       1,316,582  

BB Blue Financing DAC

    

4.395%, 09/20/29

     2,500,000       2,468,136  

Blackstone Private Credit Fund

    

2.625%, 12/15/26

     2,625,000       2,246,800  

2.350%, 11/22/24

     3,000,000       2,807,319  

Blue Owl Finance

    

3.125%, 06/10/31(A)

     1,325,000       1,031,114  

BPCE

    

2.045%, U.S. SOFR + 1.087%, 10/19/27(A)(B)

     1,000,000       883,615  

Caisse d’Amortissement de la

    

Dette Sociale

    

3.000%, 05/17/25(A)

     1,000,000       970,530  

0.375%, 05/27/24(A)

     1,000,000       944,325  

Cantor Fitzgerald

    

4.875%, 05/01/24(A)

     1,140,000       1,123,492  

Capital One Financial

    

4.166%, U.S. SOFR + 1.370%, 05/09/25(B)

     2,805,000       2,758,533  

CDP Financial MTN

    

1.000%, 05/26/26(A)

     1,000,000       899,527  

Central American Bank for Economic Integration

    

5.000%, 02/09/26(A)

     500,000       499,900  

Citigroup

    

5.026%, U.S. SOFR + 0.694%, 01/25/26(B)

     1,000,000       988,387  

3.785%, U.S. SOFR + 1.939%, 03/17/33(B)

     1,380,000       1,250,182  
 


Catholic Responsible Investments  

Opportunistic Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount       
            Value           

FINANCIALS — continued

    

2.014%, U.S. SOFR + 0.694%, 01/25/26(B)

    $ 1,284,000       $ 1,207,167   

1.281%, U.S. SOFR + 0.528%, 11/03/25(B)

     1,000,000       932,138  

0.776%, U.S. SOFR + 0.686%, 10/30/24(B)

     1,000,000       966,639  

Conservation Fund A Nonprofit

    

3.474%, 12/15/29

     1,000,000       878,841  

Council of Europe Development Bank

    

3.000%, 06/16/25

     1,000,000       971,900  

Deutsche Bank NY

    

1.686%, 03/19/26

     1,000,000       910,936  

European Investment Bank

    

3.250%, 11/15/27

     700,000       683,452  

2.875%, 06/13/25(A)

     2,000,000       1,941,980  

2.375%, 05/24/27

     1,253,000       1,182,732  

2.125%, 04/13/26

     500,000       471,460  

0.625%, 10/21/27

     2,000,000       1,731,707  

Goldman Sachs Group

    

5.700%, 11/01/24

     2,940,000       2,983,091  

4.387%, U.S. SOFR + 1.510%, 06/15/27(B)

     1,000,000       978,962  

0.855%, U.S. SOFR + 0.609%, 02/12/26(B)

     1,100,000       1,007,648  

Golub Capital BDC

    

2.500%, 08/24/26

     1,610,000       1,411,934  

HSBC Holdings

    

4.292%, ICE LIBOR USD 3 Month + 1.348%, 09/12/26(B)

     1,750,000       1,702,823  

ING Groep

    

1.400%, H15T1Y + 1.100%, 07/01/26(A)(B)

     1,000,000       910,453  

Inter-American Development Bank

    

4.611%, U.S. SOFR + 0.280%, 04/12/27(B)

     1,000,000       1,000,077  

International Bank for Reconstruction & Development

    

4.701%, SOFRINDX + 0.390%, 06/17/24(B)

     1,000,000       1,003,180  

4.633%, U.S. SOFR + 0.300%, 08/06/24(B)

     1,500,000       1,504,905  

1.875%, 06/19/23

     1,000,000       988,399  

0.000%, 03/31/27(C)

     2,500,000       2,241,515  

International Finance

    

4.421%, U.S. SOFR + 0.090%, 04/03/24(B)

     2,000,000       1,998,441  

0.500%, 03/20/23

     1,000,000       994,800  
CORPORATE OBLIGATIONS — continued

 

     Face
      Amount       
            Value           

FINANCIALS — continued

    

Jackson National Life Global Funding

    

5.480%, U.S. SOFR + 1.150%, 06/28/24(A)(B)

    $ 3,390,000       $ 3,404,747   

John Hancock Life Insurance

    

7.375%, 02/15/24(A)

     1,500,000       1,531,059  

JPMorgan Chase

    

4.912%, U.S. SOFR + 2.080%, 07/25/33(B)

     1,760,000       1,753,554  

3.559%, ICE LIBOR USD 3 Month + 0.730%, 04/23/24(B)

     2,000,000       1,992,507  

0.768%, U.S. SOFR + 0.490%, 08/09/25(B)

     1,000,000       931,241  

0.563%, U.S. SOFR + 0.420%, 02/16/25(B)

     1,168,000       1,110,394  

Kansas City Southern

    

3.850%, 11/15/23

     435,000       429,617  

Kreditanstalt fuer Wiederaufbau

    

1.750%, 09/14/29

     1,000,000       885,077  

Liberty Mutual Insurance

    

7.875%, 10/15/26(A)

     1,250,000       1,354,397  

Liberty Utilities Finance GP 1

    

2.050%, 09/15/30(A)

     1,000,000       789,061  

Macquarie Group MTN

    

6.207%, 11/22/24(A)

     3,630,000       3,700,844  

Morgan Stanley MTN

    

1.512%, U.S. SOFR + 0.858%, 07/20/27(B)

     2,750,000       2,450,423  

0.864%, U.S. SOFR + 0.745%, 10/21/25(B)

     1,000,000       926,467  

National Bank of Canada MTN

    

0.550%, H15T1Y + 0.400%, 11/15/24(B)

     2,000,000       1,927,233  

NatWest Group

    

2.359%, H15T1Y + 2.150%, 05/22/24(B)

     1,000,000       989,214  

Nederlandse Waterschapsbank

    

1.000%, 05/28/30(A)

     1,000,000       816,871  

OPEC Fund for International Development

    

4.500%, 01/26/26(A)

     450,000       448,442  

Owl Rock Capital

    

3.750%, 07/22/25

     2,075,000       1,945,094  

OWS Cre Funding I

    

9.470%, ICE LIBOR USD 1 MONTH + 4.900%, 09/01/23(A)(B)

     1,300,000       1,249,814  
 


Catholic Responsible Investments  

Opportunistic Bond Fund

January 31, 2023

(Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount       
            Value           

FINANCIALS — continued

    

Prudential Financial MTN

    

5.700%, ICE LIBOR USD 3 Month + 2.665%, 09/15/48(B)

    $ 2,115,000       $ 2,056,838   

1.500%, 03/10/26

     1,000,000       912,120  

Prudential Insurance of America

    

8.300%, 07/01/25(A)

     800,000       847,089  

Santander Holdings USA

    

5.807%, U.S. SOFR + 2.328%, 09/09/26(B)

     825,000       832,644  

Santander UK Group Holdings

    

1.532%, H15T1Y + 1.250%, 08/21/26(B)

     1,300,000       1,165,593  

Societe Generale

    

5.000%, 01/17/24(A)

     1,500,000       1,488,565  

Synchrony Financial

    

4.875%, 06/13/25

     1,200,000       1,176,985  

Toronto-Dominion Bank MTN

    

4.780%, U.S. SOFR + 0.450%, 09/28/23(B)

     2,000,000       2,000,800  

Truist Bank

    

2.636%, H15T5Y + 1.150%, 09/17/29(B)

     2,000,000       1,885,026  

UBS Group

    

4.490%, H15T1Y + 1.600%, 08/05/25(A)(B)

     765,000       757,317  

USAA Capital

    

1.500%, 05/01/23(A)

     1,000,000       991,865  

WLB Asset II D Pte

    

6.500%, 12/21/26(A)

     1,000,000       1,002,081  
    

 

 

 

       102,973,335  
    

 

 

 

INDUSTRIALS — 1.9%

    

AerCap Ireland Capital DAC

    

1.650%, 10/29/24

     2,500,000       2,337,954  

Delta Air Lines

    

4.500%, 10/20/25(A)

     1,375,000       1,358,156  

Mileage Plus Holdings

    

6.500%, 06/20/27(A)

     3,033,000       3,064,270  

Nature Conservancy

    

0.467%, 07/01/23

     425,000       416,473  

Spirit Airlines Pass Through Trust

    

3.650%, 02/15/30

     979,958       814,943  

Weir Group

    

2.200%, 05/13/26(A)

     1,000,000       895,176  

Westinghouse Air Brake Technologies

    

3.200%, 06/15/25

     1,075,000       1,016,555  
    

 

 

 

       9,903,527  
    

 

 

 

CORPORATE OBLIGATIONS — continued

 

     Face
      Amount       
             Value           

INFORMATION TECHNOLOGY — 1.1%

 

Apple

     

3.000%, 06/20/27

   $ 1,665,000      $ 1,591,730  

2.850%, 02/23/23

     2,000,000        1,998,114  

Dell International

     

3.375%, 12/15/41(A)

     1,370,000        986,443  

Intel

     

4.150%, 08/05/32

     1,000,000        953,292  
     

 

 

 

        5,529,579  
     

 

 

 

MATERIALS — 0.4%

     

Celanese US Holdings

     

5.900%, 07/05/24

     295,000        296,604  

Dow Chemical

     

7.375%, 03/01/23

     600,000        601,093  

LG Chemical

     

4.375%, 07/14/25(A)

     570,000        559,854  

3.250%, 10/15/24(A)

     700,000        676,623  
     

 

 

 

        2,134,174  
     

 

 

 

REAL ESTATE — 0.2%

     

ERP Operating

     

4.150%, 12/01/28

     1,000,000        964,466  
     

 

 

 

UTILITIES — 1.5%

     

Avangrid

     

3.800%, 06/01/29

     2,000,000        1,874,367  

3.150%, 12/01/24

     1,000,000        965,456  

Electricite de France

     

3.625%, 10/13/25(A)

     500,000        486,503  

Enel Finance International

     

6.800%, 10/14/25(A)

     2,200,000        2,278,456  

Solar Star Funding

     

3.950%, 06/30/35(A)

     706,465        627,420  

Southern Power

     

4.150%, 12/01/25

     1,000,000        983,966  

0.900%, 01/15/26

     1,000,000        897,326  
     

 

 

 

        8,113,494  
     

 

 

 

Total Corporate Obligations
(Cost $159,161,424)

        156,416,265  
     

 

 

 

U.S. TREASURY OBLIGATIONS — 25.8%

 

     Face
      Amount       
         Value      

U.S. Treasury Bonds

     

3.000%, 08/15/52

   $ 11,230,000      $ 9,936,795  

2.875%, 05/15/52

     10,330,000        8,901,555  

2.250%, 02/15/52

     4,020,000        3,020,339  

U.S. Treasury Notes

     

4.686%, US Treasury 3 Month Bill Money Market Yield + 0.037%, 07/31/24(B)

     15,930,000        15,924,421  
 


Catholic Responsible Investments  

Opportunistic Bond Fund

January 31, 2023

(Unaudited)

 

U.S. TREASURY OBLIGATIONS — continued

 

     Face
      Amount       
            Value           

4.574%, US Treasury 3 Month Bill Money Market Yield + - 0.075%, 04/30/24(B)

    $ 42,935,000       $ 42,879,545   

4.125%, 01/31/25

     6,370,000       6,360,047  

4.125%, 11/15/32

     10,280,000       10,814,881  

3.875%, 01/15/26

     150,000       149,824  

3.875%, 11/30/27

     2,575,000       2,600,348  

3.125%, 08/31/27

     5,975,000       5,836,362  

2.750%, 07/31/27

     11,250,000       10,811,865  

2.625%, 05/31/27

     16,654,000       15,931,893  
    

 

 

 

Total U.S. Treasury Obligations
(Cost $134,753,575)

       133,167,875  
    

 

 

 

MORTGAGE-BACKED SECURITIES — 24.6%

 

     Face
      Amount       
        Value      

Agency Mortgage-Backed Obligation — 10.1%

 

FHLMC

    

5.500%, 11/01/52

    $ 8,588,434       $ 8,729,755   

4.500%, 10/01/52

     1,992,585       1,968,051  

4.500%, 09/01/52

     2,839,142       2,804,186  

4.000%, 07/01/52

     4,257,757       4,111,784  

FNMA

    

5.500%, 12/01/52

     444,644       451,923  

5.000%, 11/01/52

     9,327,290       9,362,784  

4.500%, 09/01/52

     4,055,535       4,005,602  

4.000%, 10/01/52

     492,350       475,470  

4.000%, 07/01/52

     957,998       925,450  

4.000%, 06/01/52

     11,643,787       11,248,196  

FREMF Mortgage Trust, Ser 2015-K48, Cl C

    

3.646%, 08/25/48 (A)(B)

     1,500,000       1,425,044  

FREMF Mortgage Trust, Ser 2016-K58, Cl C

    

3.738%, 09/25/49 (A)(B)

     1,080,000       1,011,048  

FREMF Mortgage Trust, Ser 2017-K62, Cl C

    

3.880%, 01/25/50 (A)(B)

     495,000       462,513  

FREMF Mortgage Trust, Ser 2017-K63, Cl C

    

3.878%, 02/25/50 (A)(B)

     1,055,000       985,629  

FREMF Mortgage Trust, Ser 2017-K65, Cl C

    

4.077%, 07/25/50 (A)(B)

     1,600,000       1,504,816  

FREMF Mortgage Trust, Ser 2017-K729, Cl B

    

3.673%, 11/25/49 (A)(B)

     1,111,948       1,070,930  

FREMF Mortgage Trust, Ser 2018-K75, Cl C

    

3.977%, 04/25/51 (A)(B)

     200,000       185,749  

FREMF Mortgage Trust, Ser 2018-K80, Cl C

    

4.231%, 08/25/50 (A)(B)

     270,000       253,018  

FREMF Mortgage Trust, Ser 2019-K91, Cl C

    

4.256%, 04/25/51 (A)(B)

     770,000       711,175  
MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount       
            Value           

FREMF Mortgage Trust, Ser 2019-K93, Cl C

    

4.119%, 05/25/52 (A)(B)

    $ 505,000       $ 463,019   
    

 

 

 

       52,156,142  
    

 

 

 

Non-Agency Mortgage-Backed Obligation — 14.5%

 

BBCMS Mortgage Trust, Ser 2018-TALL, Cl A

    

5.181%, ICE LIBOR USD 1

    

Month + 0.722%, 03/15/37 (A)(B)

     2,000,000       1,857,760  

BBCMS Mortgage Trust, Ser 2018-TALL, Cl C

    

5.580%, ICE LIBOR USD 1

    

Month + 1.121%, 03/15/37 (A)(B)

     1,900,000       1,606,454  

BX Commercial Mortgage Trust, Ser 2021-VOLT, Cl C

    

5.559%, ICE LIBOR USD 1

    

Month + 1.100%, 09/15/36 (A)(B)

     1,250,000       1,198,761  

BX Commercial Mortgage Trust, Ser 2022-AHP, Cl AS

    

5.968%, TSFR1M + 1.490%, 01/17/39 (A)(B)

     2,500,000       2,428,841  

BX Trust, Ser 2022-CLS, Cl B

    

6.300%, 10/13/27 (A)

     2,200,000       2,182,318  

Century Plaza Towers, Ser 2019-CPT, Cl A

    

2.865%, 11/13/39 (A)

     530,000       436,471  

Century Plaza Towers, Ser 2019-CPT, Cl B

    

2.997%, 11/13/39 (A)(B)

     1,000,000       779,955  

CFCRE Commercial Mortgage Trust, Ser 2016-C6, Cl AM

    

3.502%, 11/10/49 (B)

     3,005,000       2,737,303  

CFCRE Commercial Mortgage Trust, Ser 2016-C7, Cl A3

    

3.839%, 12/10/54

     1,750,000       1,654,677  

CHNGE Mortgage Trust, Ser 2022-NQM1, Cl A3

    

5.820%, 06/25/67 (A)

     1,086,548       1,068,928  

Citigroup Commercial Mortgage Trust, Ser 2014-GC21, Cl AS

    

4.026%, 05/10/47

     2,365,000       2,280,310  

Citigroup Commercial Mortgage Trust, Ser 2014-GC21, Cl C

    

4.780%, 05/10/47 (B)

     3,400,000       3,110,130  

Citigroup Commercial Mortgage Trust, Ser 2014-GC25, Cl A4

    

3.635%, 10/10/47

     750,000       730,450  

Citigroup Commercial Mortgage Trust, Ser 2016-P6, Cl AS

    

4.032%, 12/10/49 (B)

     1,400,000       1,314,736  

COMM Mortgage Trust, Ser 2013-CR12, Cl AM

    

4.300%, 10/10/46

     1,500,000       1,380,033  
 


Catholic Responsible Investments  

Opportunistic Bond Fund

January 31, 2023

(Unaudited)

 

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount       
            Value           

COMM Mortgage Trust, Ser 2015-CR24, Cl B

    

4.344%, 08/10/48 (B)

    $ 2,500,000       $ 2,347,865   

COMM Mortgage Trust, Ser 2020-CBM, Cl A2

    

2.896%, 02/10/37 (A)

     600,000       561,097  

COMM Mortgage Trust, Ser 2020-CBM, Cl D

    

3.633%, 02/10/37 (A)(B)

     275,000       247,881  

COMM Mortgage Trust, Ser 2022-HC, Cl A

    

2.819%, 01/10/39 (A)

     386,000       338,488  

COMM Mortgage Trust, Ser 2022-HC, Cl C

    

3.376%, 01/10/39 (A)

     500,000       428,143  

CSMC OA, Ser 2014-USA, Cl A2

    

3.953%, 09/15/37 (A)

     1,000,000       911,931  

CSMC Trust, Ser 2016-NXSR, Cl AS

    

4.049%, 12/15/49 (B)

     1,455,000       1,353,608  

Extended Stay America Trust, Ser 2021-ESH, Cl B

    

5.839%, ICE LIBOR USD 1

    

Month + 1.380%, 07/15/38 (A)(B)

     439,287       429,388  

GAM RE-REMIC TRUST, Ser 2021-FRR2, Cl BK44

    

1.730%, 09/27/51 (A)(B)

     1,570,000       1,391,170  

GS Mortgage Securities Corporation Trust, Ser 2021-IP, Cl A

    

5.409%, ICE LIBOR USD 1 Month + 0.950%,
10/15/36 (A)(B)

     2,000,000       1,889,865  

GS Mortgage Securities II, Ser 2012-BWTR, Cl A

    

%, 11/05/34 (A)

     1,750,000       1,340,008  

GS Mortgage Securities II, Ser 2018-GS10, Cl WLSA

    

5.067%, 03/10/33 (A)(B)

     148,000       138,580  

GS Mortgage Securities II, Ser 2018-GS10, Cl WLSB

    

5.067%, 03/10/33 (A)(B)

     294,000       263,574  

GS Mortgage Securities Trust, Ser 2014-GC22, Cl B

    

4.391%, 06/10/47 (B)

     2,300,000       2,180,259  

Hudson Yards Mortgage Trust, Ser 2016-10HY, Cl A

    

2.835%, 08/10/38 (A)

     1,500,000       1,351,826  

JP Morgan Chase Commercial Mortgage Securities Trust, Ser 2013-C10, Cl B

    

3.674%, 12/15/47 (B)

     3,900,000       3,790,887  
MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount       
            Value           

JP Morgan Chase Commercial Mortgage Securities Trust, Ser 2014-C20, Cl AS

    

4.043%, 07/15/47

    $ 1,170,000       $ 1,131,564   

JPMBB Commercial Mortgage Securities Trust, Ser 2014-C19, Cl D

    

4.653%, 04/15/47 (A)(B)

     850,000       780,271  

JPMBB Commercial Mortgage Securities Trust, Ser 2014-C26, Cl AS

    

3.800%, 01/15/48

     2,089,000       1,986,127  

JPMBB Commercial Mortgage Securities Trust, Ser 2015-C28, Cl B

    

3.986%, 10/15/48

     3,095,000       2,878,366  

JPMDB Commercial Mortgage Securities Trust, Ser 2017-C5, Cl AS

    

3.858%, 03/15/50 (B)

     2,500,000       2,325,756  

Life Mortgage Trust, Ser 2021-BMR, Cl C

    

5.559%, ICE LIBOR USD 1 Month + 1.100%, 03/15/38 (A)(B)

     737,228       711,378  

LUXE Trust, Ser 2021-TRIP, Cl E

    

7.209%, ICE LIBOR USD 1 Month + 2.750%, 10/15/38 (A)(B)

     1,500,000       1,415,131  

MHC Commercial Mortgage Trust, Ser 2021-MHC, Cl A

    

5.260%, ICE LIBOR USD 1 Month + 0.801%, 04/15/38 (A)(B)

     2,500,000       2,455,429  

One Bryant Park Trust, Ser 2019-OBP, Cl A

    

2.516%, 09/15/54 (A)

     1,000,000       845,643  

One Market Plaza Trust, Ser 2017-1MKT, Cl A

    

3.614%, 02/10/32 (A)

     2,372,000       2,229,122  

One Market Plaza Trust, Ser 2017-1MKT, Cl B

    

3.845%, 02/10/32 (A)

     250,000       231,789  

One Market Plaza Trust, Ser 2017-1MKT, Cl C

    

4.016%, 02/10/32 (A)

     500,000       458,537  

One Market Plaza Trust, Ser 2017-1MKT, Cl D

    

4.146%, 02/10/32 (A)

     1,000,000       889,355  

Residential Mortgage Loan Trust, Ser 2019-3, Cl A1

    

2.633%, 09/25/59 (A)(B)

     154,478       151,263  

SFAVE Commercial Mortgage

    

Securities Trust, Ser 2015-5AVE, Cl A1 3.872%, 01/05/43 (A)(B)

     530,000       379,754  
 


Catholic Responsible Investments  

Opportunistic Bond Fund

January 31, 2023

(Unaudited)

 

MORTGAGE-BACKED SECURITIES — continued

 

     Face
      Amount       
            Value           

SPGN Mortgage Trust, Ser 2022-TFLM, Cl D

    

7.978%, TSFR1M + 3.500%, 02/15/39 (A)(B)

    $ 530,000       $ 497,418   

STWD Mortgage Trust, Ser 2021-LIH, Cl D

    

6.764%, ICE LIBOR USD 1 Month + 2.305%,
11/15/36 (A)(B)

     450,000       422,997  

SUMIT Mortgage Trust, Ser 2022-BVUE, Cl A

    

2.789%, 02/12/41 (A)

     660,000       560,717  

Wells Fargo Commercial Mortgage Trust, Ser 2017-RB1, Cl D

    

3.401%, 03/15/50 (A)

     3,000,000       2,170,808  

Wells Fargo Commercial Mortgage Trust, Ser 2019-C49, Cl D

    

3.000%, 03/15/52 (A)

     950,000       621,298  

Wells Fargo Commercial Mortgage Trust, Ser 2022-C62, Cl D

    

2.500%, 04/15/55 (A)

     2,000,000       1,039,699  

WFRBS Commercial Mortgage Trust, Ser 2013-C15, Cl B

    

4.531%, 08/15/46 (B)

     1,000,000       843,954  

WFRBS Commercial Mortgage Trust, Ser 2014-C19, Cl B

    

4.723%, 03/15/47 (B)

     2,093,258       2,015,652  

WFRBS Commercial Mortgage Trust, Ser 2014-C21, Cl B

    

4.213%, 08/15/47 (B)

     2,500,000       2,347,779  

WFRBS Commercial Mortgage Trust, Ser 2014-LC14, Cl D

    

4.586%, 03/15/47 (A)(B)

     2,000,000       1,848,527  
    

 

 

 

       74,970,031  
    

 

 

 

Total Mortgage-Backed Securities (Cost $130,433,143)

       127,126,173  
    

 

 

 

ASSET-BACKED SECURITIES — 14.8%

 

     Face
      Amount       
        Value      

Automotive — 11.2%

    

American Credit Acceptance Receivables Trust, Ser 2021-3, Cl D

    

1.340%, 11/15/27 (A)

    $ 2,200,000       $ 2,068,739   

American Credit Acceptance Receivables Trust, Ser 2021-4, Cl D

    

1.820%, 02/14/28 (A)

     500,000       466,289  
ASSET-BACKED SECURITIES — continued

 

     Face
      Amount       
            Value           

American Credit Acceptance Receivables Trust, Ser 2022-2, Cl D

    

4.850%, 06/13/28 (A)

    $ 3,400,000       $ 3,246,089   

American Credit Acceptance Receivables Trust, Ser 2022-3, Cl D

    

5.830%, 10/13/28 (A)

     2,895,000       2,820,257  

American Credit Acceptance Receivables Trust, Ser 2023-1, Cl D

    

6.350%, 04/12/29 (A)

     2,345,000       2,342,083  

Cajun Global, Ser 2021-1, Cl A2

    

3.931%, 11/20/51 (A)

     1,477,500       1,271,083  

Carvana Auto Receivables Trust, Ser 2021-N2, Cl C

    

1.070%, 03/10/28

     416,299       383,001  

CPS Auto Receivables Trust, Ser 2021-D, Cl D

    

2.310%, 12/15/27 (A)

     1,000,000       927,505  

CPS Auto Receivables Trust, Ser 2022-C, Cl D

    

6.450%, 04/15/30 (A)

     500,000       498,558  

CPS Auto Receivables Trust, Ser 2023-A, Cl D

    

6.440%, 04/16/29 (A)

     1,800,000       1,798,115  

Drive Auto Receivables Trust, Ser 2021-1, Cl D

    

1.450%, 01/16/29

     1,520,000       1,431,350  

Drive Auto Receivables Trust, Ser 2021-2, Cl D

    

1.390%, 03/15/29

     2,845,000       2,661,438  

Exeter Automobile Receivables Trust, Ser 2019-2A, Cl E

    

4.680%, 05/15/26 (A)

     2,000,000       1,964,305  

Exeter Automobile Receivables Trust, Ser 2020-1A, Cl E

    

3.740%, 01/15/27 (A)

     575,000       556,391  

Exeter Automobile Receivables Trust, Ser 2020-3A, Cl E

    

3.440%, 08/17/26 (A)

     3,000,000       2,881,582  

Exeter Automobile Receivables Trust, Ser 2021-3A, Cl D

    

1.550%, 06/15/27

     3,360,000       3,083,689  

Exeter Automobile Receivables Trust, Ser 2022-2A, Cl D

    

4.560%, 07/17/28

     500,000       479,064  

Exeter Automobile Receivables Trust, Ser 2022-3A, Cl D

    

6.760%, 09/15/28

     2,070,000       2,065,714  

Exeter Automobile Receivables Trust, Ser 2022-4A, Cl D

    

5.980%, 12/15/28

     505,000       496,764  

Exeter Automobile Receivables Trust, Ser 2022-5A, Cl D

    

7.400%, 02/15/29

     2,830,000       2,909,780  
 


Catholic Responsible Investments  

Opportunistic Bond Fund

January 31, 2023

(Unaudited)

 

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount       
            Value           

Exeter Automobile Receivables Trust, Ser 2022-6A, Cl D

    

8.030%, 04/06/29

    $ 2,450,000       $ 2,575,243   

Flagship Credit Auto Trust, Ser 2019-3, Cl E

    

3.840%, 12/15/26 (A)

     1,175,000       1,103,516  

Flagship Credit Auto Trust, Ser 2022-1, Cl D

    

3.640%, 03/15/28 (A)

     1,000,000       923,267  

Flagship Credit Auto Trust, Ser 2022-2, Cl D

    

5.800%, 04/17/28 (A)

     740,000       706,821  

GLS Auto Receivables Issuer Trust, Ser 2020-2A, Cl D

    

7.480%, 04/15/27 (A)

     2,000,000       2,026,650  

GLS Auto Receivables Issuer Trust, Ser 2021-1A, Cl D

    

1.680%, 01/15/27 (A)

     1,340,000       1,258,486  

GLS Auto Receivables Issuer Trust, Ser 2021-1A, Cl E

    

3.140%, 01/18/28 (A)

     2,000,000       1,861,034  

GLS Auto Receivables Issuer Trust, Ser 2022-1A, Cl D

    

3.970%, 01/18/28 (A)

     1,200,000       1,135,438  

GLS Auto Receivables Issuer Trust, Ser 2022-2A, Cl D

    

6.150%, 04/17/28 (A)

     1,000,000       974,307  

GLS Auto Receivables Issuer Trust, Ser 2022-3A, Cl D

    

6.420%, 06/15/28 (A)

     500,000       498,048  

Hertz Vehicle Financing III, Ser 2022-1A, Cl A

    

1.990%, 06/25/26 (A)

     1,000,000       929,575  

Hertz Vehicle Financing, Ser 2021-1A, Cl B

    

1.560%, 12/26/25 (A)

     1,500,000       1,388,846  

Santander Drive Auto Receivables Trust, Ser 2020-4, Cl D

    

1.480%, 01/15/27

     2,000,000       1,920,645  

Santander Drive Auto Receivables Trust, Ser 2021-1, Cl D

    

1.130%, 11/16/26

     800,000       761,861  

Santander Drive Auto Receivables Trust, Ser 2022-4, Cl C

    

5.000%, 11/15/29

     2,500,000       2,454,882  

Santander Drive Auto Receivables Trust, Ser 2022-7, Cl C

    

6.690%, 03/17/31

     1,200,000       1,256,701  

Tesla Auto Lease Trust, Ser 2021-A, Cl B

    

1.020%, 03/20/25 (A)

     750,000       721,396  
ASSET-BACKED SECURITIES — continued

 

     Face
      Amount       
            Value           

Westlake Automobile Receivables Trust, Ser 2022-2A, Cl D

    

5.480%, 09/15/27 (A)

    $ 1,255,000       $ 1,212,055   
    

 

 

 

       58,060,567  
    

 

 

 

Other Asset-Backed Securities — 3.6%

 

CIFC Funding, Ser 2021-4A, Cl C

    

6.642%, ICE LIBOR USD 3 Month + 1.850%, 07/15/33 (A)(B)

     3,170,000       3,011,284  

CLI Funding VI, Ser 2020-1A, Cl A

    

2.080%, 09/18/45 (A)

     1,516,000       1,341,494  

Commonbond Student Loan Trust, Ser 2021-AGS, Cl B

    

1.400%, 03/25/52 (A)

     602,781       466,043  

GoodLeap Sustainable Home Solutions Trust, Ser 2022-3CS, Cl B

    

5.500%, 07/20/49 (A)

     500,000       452,837  

GoodLeap Sustainable Home Solutions Trust, Ser 2022-4CS, Cl B

    

5.550%, 11/20/54 (A)

     500,000       445,289  

Guggenheim MM CLO, Ser 2021-3A, Cl A

    

6.365%, ICE LIBOR USD 3 Month + 1.550%, 01/21/34 (A)(B)

     2,000,000       1,933,692  

Hardee’s Funding, Ser 2021-1A,

    

Cl A2

    

2.865%, 06/20/51 (A)

     1,354,375       1,122,277  

Home Equity Loan Trust, Ser 2006-HSA2, Cl AI3

    

4.705%, 03/25/36 (B)

     40,889       1,865  

Jersey Mike’s Funding, Ser 2019-1A, Cl A2

    

4.433%, 02/15/50 (A)

     1,637,625       1,509,047  

ME Funding, Ser 2019-1, Cl A2

    

6.448%, 07/30/49 (A)

     1,475,438       1,433,185  

Mosaic Solar Loan Trust, Ser 2022-1A, Cl B

    

3.160%, 01/20/53 (A)

     1,349,038       1,130,071  

Octane Receivables Trust, Ser 2021-2A, Cl A

    

1.210%, 09/20/28 (A)

     517,439       493,229  

Oportun Issuance Trust, Ser 2022-3, Cl A

    

7.451%, 01/08/30 (A)

     1,642,859       1,645,468  

ServiceMaster Funding, Ser 2020-1, Cl A2I

    

2.841%, 01/30/51 (A)

     982,500       822,222  

SERVPRO Master Issuer, Ser 2019-1A, Cl A2

    

3.882%, 10/25/49 (A)

     1,741,500       1,587,569  
 


Catholic Responsible Investments  

Opportunistic Bond Fund

January 31, 2023

(Unaudited)

 

ASSET-BACKED SECURITIES — continued

 

     Face
      Amount       
  Value

SOFI PROFESSIONAL LOAN PROGRAM, Ser 2017-F, Cl A2FX

    

2.840%, 01/25/41 (A)

    $ 458,531       $ 442,428   

Vivint Solar Financing V, Ser 2018-1A, Cl B

    

7.370%, 04/30/48 (A)

     316,522       294,722  
    

 

 

 

       18,132,722  
    

 

 

 

Total Asset-Backed Securities
(Cost $78,078,621)

       76,193,289  
    

 

 

 

MUNICIPAL BONDS — 1.5%

    
     Face
      Amount       
            Value           

Alaska — 0.1%

    

City of Port Lions Alaska, RB

    

7.000%, 10/01/32

    $ 500,000       $ 507,667   
    

 

 

 

California — 0.4%

    

California Community Choice Financing Authority, RB

    

5.950%, 08/01/29

     825,000       833,088  

City of Los Angeles Department of Airports Customer Facility Charge Revenue, RB

    

3.258%, 05/15/30

     1,000,000       911,736  
    

 

 

 

       1,744,824  
    

 

 

 

Florida — 0.2%

    

Florida Development Finance, RB

    

7.250%, 07/01/57 (A)(B)

     1,000,000       998,271  
    

 

 

 

Hawaii — 0.2%

    

State of Hawaii Department of Business Economic Development & Tourism, Ser A-2, RB

    

3.242%, 01/01/31

     1,072,517       1,011,463  
    

 

 

 

Illinois — 0.1%

    

Chicago Housing Authority, Ser B, RB

    

3.822%, 01/01/26

     500,000       487,934  
    

 

 

 

Indiana — 0.2%

    

City of Fort Wayne Indiana, RB

    

10.750%, 12/01/29

     1,000,000       999,047  
    

 

 

 

Montana — 0.0%

    

County of Gallatin Montana, RB

    

11.500%, 09/01/27 (A)

     250,000       263,083  
    

 

 

 

New York — 0.3%

    

New York State Energy Research & Development Authority, Ser A, RB

    

4.621%, 04/01/27

     820,000       809,439  

4.480%, 04/01/25

     500,000       496,412  
    

 

 

 

       1,305,851  
    

 

 

 

MUNICIPAL BONDS — continued

 

     Face
      Amount       
        Value      

South Dakota — 0.0%

    

South Dakota Housing Development Authority, Ser E, RB

    

5.460%, 05/01/53

    $ 250,000       $ 254,556   
    

 

 

 

Total Municipal Bonds
(Cost $7,607,563)

       7,572,696  
    

 

 

 

U.S. GOVERNMENT AGENCY OBLIGATION — 0.0%

 

     Face
      Amount       
            Value           

United States International Development Finance

    

1.790%, 10/15/29

    $ 321,676       $ 292,005   
    

 

 

 

Total U.S. Government Agency Obligations
(Cost $300,777)

       292,005  
    

 

 

 

Total Investments in Securities— 97.0%
(Cost $510,335,103)

   $ 500,768,303  
    

 

 

 

    

 

 

 

Percentages are based on Net Assets of $516,001,521.

 

(A)

Securities sold within the terms of a private placement memorandum, exempt from registration under section 144A of the Securities Act of 1933, as amended, and maybe sold only to dealers in the program or other “accredited investors”. The total value of these securities at January 31, 2023 was $141,455,186 and represented 27.4% of Net Assets.

(B)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(C)

Zero coupon security.

AGM— Assured Guaranty Municipal

AMT — Alternative Minimum Tax

Cl — Class

CLO — Collateralized Loan Obligation

DAC — Designated Activity Company

FHLMC — Federal Home Loan Mortgage Corporation

FNMA — Federal National Mortgage Association

GNMA — Government National Mortgage Association

H15T1Y — US Treasury Yield Curve Rate T Note Constant Maturity 1 Year

H15T5Y — US Treasury Yield Curve Rate T Note Constant Maturity 5 Year

LIBOR— London Interbank Offered Rate

MTN — Medium Term Note

RB — Revenue Bond

REMIC — Real Estate Mortgage Investment Conduit

Ser — Series

SOFR — Secured Overnight Financing Rate

SOFRINDX — Secured Overnight Financing Rate Index

 


Catholic Responsible Investments  

Opportunistic Bond Fund

January 31, 2023

(Unaudited)

 

TSFR1M — Term Secured Overnight Financing Rate 1 Month

USD — U.S. Dollar

For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund’s most recent financial statements.

CRI-QH-001-0300

    

 


Catholic Responsible Investments  

Equity Index Fund

January 31, 2023

(Unaudited)

 

SCHEDULE OF INVESTMENTS     

COMMON STOCK — 99.0%

    
           Shares                   Value          

COMMUNICATION SERVICES — 8.1%

 

Activision Blizzard

     62,415       $ 4,779,117   

Alphabet, Cl A *

     523,447       51,737,502  

Alphabet, Cl C *

     464,025       46,342,177  

AT&T

     774,621       15,779,030  

Charter Communications, Cl A * .

     9,414       3,617,894  

Comcast, Cl A

     378,105       14,878,432  

DISH Network, Cl A *

     22,036       317,098  

Electronic Arts

     22,985       2,957,710  

Fox

     12,242       388,071  

Fox

     26,486       898,935  

Interpublic Group of

     34,079       1,242,520  

Lumen Technologies

     83,377       437,729  

Match Group *

     24,504       1,326,156  

Meta Platforms, Cl A *

     197,069       29,357,369  

Netflix *

     39,001       13,800,894  

News

     33,532       679,358  

News

     10,337       211,288  

Omnicom Group

     17,890       1,538,361  

Paramount Global, Cl B

     44,280       1,025,525  

Take-Two Interactive Software *

     13,825       1,565,405  

T-Mobile US *

     100,558       15,014,315  

Verizon Communications

     466,295       19,383,883  

Walt Disney *

     159,728       17,328,891  

Warner Bros Discovery *

     193,627       2,869,552  
    

 

 

 

       247,477,212  
    

 

 

 

CONSUMER DISCRETIONARY — 10.2%

 

 

Advance Auto Parts

     5,269       802,363  

Amazon.com *

     777,801       80,214,617  

Aptiv *

     23,726       2,683,173  

AutoZone *

     1,664       4,058,247  

Bath & Body Works

     20,027       921,442  

Best Buy

     17,595       1,561,028  

Booking Holdings *

     3,399       8,273,506  

BorgWarner

     20,542       971,226  

CarMax *

     13,861       976,508  

Carnival *

     87,722       949,152  

Chipotle Mexican Grill, Cl A *

     2,429       3,999,057  

Darden Restaurants

     10,726       1,587,126  

Dollar General

     19,769       4,618,039  

Dollar Tree *

     18,448       2,770,521  

Domino’s Pizza

     3,102       1,095,006  

DR Horton

     27,416       2,705,685  

eBay

     47,575       2,354,963  

Etsy *

     11,015       1,515,444  

COMMON STOCK — continued

 

           Shares                   Value          

CONSUMER DISCRETIONARY— continued

 

Expedia Group *

     13,154       $ 1,503,502   

Ford Motor

     346,117       4,676,041  

Garmin

     13,417       1,326,673  

General Motors

     124,516       4,895,969  

Genuine Parts

     12,354       2,073,248  

Hasbro

     11,385       673,650  

Hilton Worldwide Holdings

     23,702       3,438,923  

Home Depot

     89,717       29,083,560  

Lennar, Cl A

     22,350       2,288,640  

LKQ

     22,220       1,310,091  

Lowe’s

     54,397       11,328,175  

Marriott International, Cl A

     23,580       4,107,164  

McDonald’s

     64,188       17,163,871  

Mohawk Industries *

     4,621       554,797  

NIKE, Cl B

     110,397       14,056,850  

Norwegian Cruise Line Holdings *

     36,971       562,329  

NVR *

     263       1,386,010  

O’Reilly Automotive *

     5,484       4,345,247  

Pool

     3,422       1,319,558  

PulteGroup

     19,961       1,135,581  

Ralph Lauren, Cl A

     3,601       445,984  

Ross Stores

     30,416       3,594,867  

Starbucks

     100,600       10,979,484  

Tapestry

     21,110       961,983  

Target

     40,337       6,943,611  

Tesla *

     235,229       40,746,367  

TJX

     101,798       8,333,184  

Tractor Supply

     9,681       2,207,171  

Ulta Beauty *

     4,489       2,307,167  

VF

     28,970       896,332  

Whirlpool

     4,774       742,787  

Yum! Brands

     24,687       3,221,900  
    

 

 

 

       310,667,819  
    

 

 

 

CONSUMER STAPLES — 7.7%

    

Archer-Daniels-Midland

     49,249       4,080,280  

Brown-Forman, Cl B

     16,073       1,070,140  

Campbell Soup

     17,587       913,293  

Clorox

     10,813       1,564,533  

Coca-Cola

     533,528       32,715,937  

Colgate-Palmolive

     73,160       5,452,615  

Conagra Brands

     42,010       1,562,352  

Constellation Brands, Cl A

     14,226       3,293,604  

Costco Wholesale

     43,729       22,351,641  

Estee Lauder, Cl A

     20,268       5,615,857  
 


Catholic Responsible Investments  

Equity Index Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued  
           Shares                   Value           

CONSUMER STAPLES— continued

 

 

General Mills

     80,860       $ 6,336,190   

Hershey

     12,880       2,892,848  

Hormel Foods

     25,417       1,151,644  

J M Smucker

     9,338       1,426,846  

Kellogg

     22,394       1,535,780  

Keurig Dr Pepper

     74,500       2,628,360  

Kimberly-Clark

     29,577       3,845,306  

Kraft Heinz

     69,756       2,827,211  

Kroger

     57,042       2,545,785  

Lamb Weston Holdings

     12,636       1,262,210  

McCormick

     21,961       1,649,710  

Molson Coors Beverage, Cl B

     16,428       863,784  

Mondelez International, Cl A

     119,728       7,835,000  

Monster Beverage *

     33,379       3,474,086  

PepsiCo

     190,933       32,653,362  

Procter & Gamble

     247,345       35,216,981  

Sysco

     44,418       3,440,618  

Tyson Foods, Cl A

     25,377       1,668,538  

Walgreens Boots Alliance

     62,937       2,319,858  

Walmart

     271,864       39,113,074  
    

 

 

 

       233,307,443  
    

 

 

 

ENERGY — 5.2%

    

APA

     28,152       1,247,978  

Baker Hughes, Cl A

     87,731       2,784,582  

Chevron

     169,793       29,547,378  

ConocoPhillips

     109,203       13,308,570  

Coterra Energy

     69,139       1,730,549  

Devon Energy

     57,280       3,622,387  

Diamondback Energy

     15,424       2,253,755  

EOG Resources

     51,478       6,807,965  

Equities

     32,200       1,051,974  

Exxon Mobil

     411,593       47,748,904  

Halliburton

     79,613       3,281,648  

Hess

     24,318       3,651,591  

Kinder Morgan

     173,314       3,171,646  

Marathon Oil

     55,641       1,528,458  

Marathon Petroleum

     41,073       5,278,702  

Occidental Petroleum

     63,687       4,126,281  

ONEOK

     39,196       2,684,142  

Phillips 66

     41,421       4,153,284  

Pioneer Natural Resources

     20,823       4,796,578  

Schlumberger

     124,242       7,079,309  

Targa Resources

     19,800       1,485,396  

Valero Energy

     33,787       4,731,194  

COMMON STOCK — continued

 

           Shares                   Value          

ENERGY— continued

    

Williams

     106,747       $ 3,441,523   
    

 

 

 

       159,513,794  
    

 

 

 

FINANCIALS — 12.0%

    

Aflac

     55,044       4,045,734  

Allstate

     23,243       2,986,028  

American Express

     52,389       9,164,408  

American International Group

     65,126       4,117,266  

Ameriprise Financial

     9,326       3,265,219  

Aon, Cl A

     18,128       5,777,031  

Arch Capital Group *

     32,400       2,084,940  

Arthur J Gallagher

     18,478       3,616,514  

Assurant

     4,630       613,892  

Bank of America

     611,669       21,702,016  

Bank of New York Mellon

     64,495       3,261,512  

Berkshire Hathaway, Cl B *

     176,370       54,942,782  

BlackRock, Cl A

     13,163       9,993,481  

Brown & Brown

     20,600       1,206,336  

Capital One Financial

     33,460       3,981,740  

Cboe Global Markets

     9,297       1,142,415  

Charles Schwab

     133,649       10,347,106  

Chubb

     43,562       9,909,919  

Cincinnati Financial

     13,775       1,558,641  

Citigroup

     169,781       8,865,964  

Citizens Financial Group

     43,149       1,869,215  

CME Group, Cl A

     31,526       5,569,383  

Comerica

     11,457       839,913  

Discover Financial Services

     23,968       2,797,785  

Everest Re Group

     3,432       1,200,136  

Eversource Energy

     30,569       2,516,746  

FactSet Research Systems

     3,339       1,412,197  

Fifth Third Bancorp

     60,126       2,181,973  

First Republic Bank

     16,031       2,258,447  

Franklin Resources

     24,860       775,632  

Globe Life

     7,928       958,099  

Goldman Sachs Group

     29,677       10,856,143  

Hartford Financial Services Group

     27,849       2,161,361  

Huntington Bancshares

     126,451       1,918,262  

Intercontinental Exchange

     48,950       5,264,572  

Invesco

     39,886       738,290  

JPMorgan Chase

     257,061       35,978,258  

KeyCorp

     81,767       1,569,109  

Lincoln National

     13,453       476,640  

Loews

     17,243       1,060,100  

M&T Bank

     15,128       2,359,968  
 


Catholic Responsible Investments  

Equity Index Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

 
           Shares                   Value          

FINANCIALS— continued

    

MarketAxess Holdings

     3,298       $ 1,199,977   

Marsh & McLennan

     43,469       7,603,163  

MetLife

     57,729       4,215,372  

Moody’s

     13,808       4,456,532  

Morgan Stanley

     115,515       11,243,075  

MSCI, Cl A

     7,007       3,724,641  

Nasdaq

     29,717       1,788,666  

Northern Trust

     18,236       1,768,345  

PNC Financial Services Group

     35,346       5,847,289  

Principal Financial Group

     19,939       1,845,354  

Progressive

     75,775       10,331,921  

Prudential Financial

     32,282       3,387,673  

Raymond James Financial

     16,966       1,913,256  

Regions Financial

     81,880       1,927,455  

S&P Global

     29,184       10,942,249  

Signature Bank NY

     5,515       711,159  

State Street

     32,176       2,938,634  

SVB Financial Group *

     5,180       1,566,639  

Synchrony Financial

     39,461       1,449,403  

T Rowe Price Group

     19,584       2,280,949  

Travelers

     20,538       3,925,223  

Truist Financial

     116,234       5,740,797  

US Bancorp

     118,538       5,903,192  

W R Berkley

     17,945       1,258,662  

Wells Fargo

     333,935       15,651,533  

Willis Towers Watson

     9,486       2,411,246  

Zions Bancorp

     13,109       696,874  
    

 

 

 

       364,074,452  
    

 

 

 

HEALTH CARE — 12.5%

    

Align Technology *

     6,366       1,717,101  

AmerisourceBergen, Cl A

     66,406       11,219,958  

Baxter International

     55,500       2,535,795  

Boston Scientific *

     326,945       15,121,206  

Cardinal Health

     91,479       7,066,753  

Cigna

     78,010       24,703,427  

CVS Health

     252,299       22,257,818  

DaVita *

     4,848       399,427  

DENTSPLY SIRONA

     18,840       693,877  

Dexcom *

     33,851       3,625,104  

Edwards Lifesciences *

     77,534       5,946,858  

Elevance Health

     46,612       23,305,534  

Gilead Sciences

     368,800       30,957,072  

Henry Schein *

     38,350       3,303,852  

Hologic *

     81,751       6,652,079  

Humana

     29,085       14,882,794  

COMMON STOCK — continued

 

 
           Shares                   Value          

HEALTH CARE— continued

    

IDEXX Laboratories *

     8,480       $ 4,074,640   

Incyte *

     206,258       17,560,806  

Intuitive Surgical *

     38,209       9,387,569  

IQVIA Holdings *

     91,605       21,015,103  

Laboratory Corp of America

    

Holdings

     18,660       4,704,559  

McKesson

     52,906       20,034,444  

Medtronic

     235,390       19,699,789  

Mettler-Toledo International *

     11,079       16,983,221  

Molina Healthcare *

     17,618       5,493,821  

Quest Diagnostics

     23,724       3,522,539  

ResMed

     24,745       5,651,016  

STERIS

     13,165       2,718,704  

Stryker

     64,925       16,478,614  

Teleflex

     4,387       1,067,884  

Waters *

     38,086       12,514,298  

West Pharmaceutical Services

     40,929       10,870,742  

Zimmer Biomet Holdings

     51,757       6,590,736  

Zoetis, Cl A

     160,116       26,497,597  
    

 

 

 

       379,254,737  
    

 

 

 

INDUSTRIALS — 7.4%

    

3M

     66,194       7,617,605  

A O Smith

     11,156       755,261  

Alaska Air Group *

     11,123       571,055  

Allegion

     7,699       905,017  

American Airlines Group *

     56,976       919,593  

AMETEK

     29,113       4,219,056  

Carrier Global

     73,286       3,336,712  

Caterpillar

     63,110       15,922,022  

CH Robinson Worldwide

     10,300       1,031,751  

Cintas

     7,564       3,356,449  

Copart *

     37,596       2,504,270  

CoStar Group *

     35,600       2,773,240  

CSX

     184,282       5,697,999  

Cummins

     24,226       6,045,356  

Deere

     46,756       19,770,307  

Delta Air Lines *

     56,194       2,197,185  

Dover

     12,300       1,867,509  

Eaton

     56,286       9,130,152  

Emerson Electric

     105,183       9,489,610  

Equifax

     10,731       2,384,428  

Expeditors International of Washington

     13,946       1,508,260  

Fastenal

     50,229       2,539,076  

FedEx

     20,981       4,067,377  
 


Catholic Responsible Investments  

Equity Index Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

 
           Shares                   Value          

INDUSTRIALS— continued

    

Fortive

     31,050       $ 2,112,331   

Generac Holdings *

     5,558       670,295  

Howmet Aerospace

     32,309       1,314,653  

IDEX

     6,610       1,584,285  

Illinois Tool Works

     40,390       9,533,656  

Ingersoll Rand

     35,443       1,984,808  

JB Hunt Transport Services

     7,259       1,372,314  

Johnson Controls International

     60,324       4,196,741  

Masco

     19,791       1,052,881  

Nordson

     4,713       1,146,673  

Norfolk Southern

     20,289       4,987,239  

Old Dominion Freight Line

     7,940       2,645,926  

Otis Worldwide

     38,800       3,190,524  

PACCAR

     80,400       8,788,524  

Parker-Hannifin

     13,379       4,361,554  

Pentair

     14,388       796,807  

Quanta Services

     21,406       3,257,779  

Republic Services, Cl A

     18,001       2,246,885  

Robert Half International

     9,519       799,215  

Rockwell Automation

     10,065       2,838,632  

Rollins

     20,270       737,828  

Snap-on

     4,658       1,158,585  

Southwest Airlines

     52,071       1,862,580  

Stanley Black & Decker

     12,947       1,156,297  

Trane Technologies

     22,383       4,009,243  

TransDigm Group

     4,693       3,368,401  

Union Pacific

     53,880       11,001,757  

United Airlines Holdings *

     28,638       1,402,116  

United Parcel Service, Cl B

     63,960       11,847,311  

United Rentals

     6,074       2,678,330  

Verisk Analytics, Cl A

     13,706       2,491,614  

Waste Management

     46,509       7,196,338  

Westinghouse Air Brake

    

Technologies

     19,068       1,979,449  

WW Grainger

     6,184       3,645,344  

Xylem

     15,794       1,642,734  
    

 

 

 

       223,668,939  
    

 

 

 

INFORMATION TECHNOLOGY — 27.4%

 

 

Accenture, Cl A

     55,219       15,408,862  

Adobe *

     40,743       15,088,763  

Advanced Micro Devices *

     141,292       10,618,094  

Akamai Technologies *

     13,792       1,226,798  

Amphenol, Cl A

     52,164       4,161,122  

Analog Devices

     48,110       8,249,422  

ANSYS *

     7,634       2,033,392  

COMMON STOCK — continued

 

 
           Shares                   Value          

INFORMATION TECHNOLOGY— continued

 

Apple

     1,369,787       $ 197,646,566   

Applied Materials

     75,369       8,402,890  

Arista Networks *

     21,692       2,733,626  

Autodesk *

     18,918       4,070,397  

Automatic Data Processing

     36,355       8,209,323  

Broadcom

     42,160       24,664,022  

Broadridge Financial Solutions

     10,311       1,550,362  

Cadence Design Systems *

     24,041       4,395,416  

CDW

     11,865       2,325,896  

Ceridian HCM Holding *

     13,470       973,612  

Cisco Systems

     359,850       17,513,900  

Cognizant Technology Solutions, Cl A

     45,001       3,003,817  

DXC Technology *

     20,128       578,277  

Enphase Energy *

     11,912       2,637,079  

EPAM Systems *

     5,040       1,676,556  

F5 *

     5,246       774,624  

Fidelity National Information Services

     52,027       3,904,106  

First Solar *

     8,689       1,543,166  

Fiserv *

     55,653       5,937,062  

FleetCor Technologies *

     6,464       1,349,748  

Fortinet *

     56,815       2,973,697  

Gartner *

     6,926       2,341,958  

Gen Digital

     50,848       1,170,013  

Global Payments

     23,697       2,671,126  

Hewlett Packard Enterprise

     112,719       1,818,157  

HP

     77,623       2,261,934  

Intel

     361,666       10,220,681  

International Business Machines

     79,236       10,675,466  

Intuit

     24,703       10,441,217  

Jack Henry & Associates

     6,393       1,151,315  

Juniper Networks

     28,399       917,288  

Keysight Technologies *

     15,669       2,810,235  

KLA

     12,420       4,874,602  

Lam Research

     11,952       5,977,195  

Mastercard, Cl A

     75,313       27,910,998  

Microchip Technology

     48,228       3,743,457  

Micron Technology

     95,246       5,743,334  

Microsoft

     729,237       180,712,221  

Monolithic Power Systems

     3,908       1,666,996  

Motorola Solutions

     14,653       3,765,968  

NetApp

     19,015       1,259,363  

NVIDIA

     218,219       42,633,446  

NXP Semiconductors

     22,710       4,185,680  

ON Semiconductor *

     37,900       2,783,755  
 


Catholic Responsible Investments  

Equity Index Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

 
           Shares                   Value          

INFORMATION TECHNOLOGY— continued

 

Oracle

     134,726       $ 11,917,862   

Paychex

     28,110       3,256,825  

Paycom Software *

     4,260       1,379,984  

PayPal Holdings *

     99,899       8,140,770  

PTC *

     9,265       1,249,663  

Qorvo *

     8,894       966,422  

QUALCOMM

     98,242       13,086,817  

Roper Technologies

     9,294       3,966,214  

Salesforce *

     87,638       14,720,555  

Seagate Technology Holdings

     16,813       1,139,585  

ServiceNow *

     17,703       8,057,166  

Skyworks Solutions

     14,087       1,544,921  

SolarEdge Technologies *

     4,899       1,563,418  

Synopsys *

     13,401       4,740,604  

TE Connectivity

     27,876       3,544,434  

Teledyne Technologies *

     4,108       1,742,860  

Teradyne

     13,672       1,390,442  

Texas Instruments

     120,790       21,405,196  

Trimble *

     21,600       1,254,096  

Tyler Technologies *

     3,649       1,177,788  

VeriSign *

     8,083       1,762,498  

Visa, Cl A

     151,744       34,932,986  

Western Digital *

     27,847       1,223,876  

Zebra Technologies, Cl A *

     4,525       1,430,714  
    

 

 

 

       830,982,696  
    

 

 

 

MATERIALS — 3.1%

    

Air Products and Chemicals

     24,992       8,010,186  

Albemarle

     10,267       2,889,647  

Amcor

     130,535       1,574,252  

Avery Dennison

     7,096       1,344,266  

Ball

     27,468       1,599,736  

Celanese, Cl A

     8,742       1,077,014  

CF Industries Holdings

     24,904       2,109,369  

Corteva

     124,939       8,052,319  

Dow

     61,628       3,657,622  

DuPont de Nemours

     43,565       3,221,632  

Eastman Chemical

     10,537       929,047  

Ecolab

     21,717       3,362,443  

FMC

     11,039       1,469,622  

Freeport-McMoRan

     125,251       5,588,700  

International Flavors &

    

Fragrances

     22,344       2,512,806  

International Paper

     31,130       1,301,857  

Linde

     57,465       19,017,467  

LyondellBasell Industries, Cl A

     22,262       2,152,513  

COMMON STOCK — continued

 

 
           Shares                   Value          

MATERIALS— continued

    

Martin Marietta Materials

     5,442       $ 1,957,161   

Mosaic

     29,866       1,479,561  

Newmont

     69,515       3,679,429  

Nucor

     22,483       3,800,077  

Packaging Corp of America

     8,110       1,157,297  

PPG Industries

     20,597       2,684,613  

Sealed Air

     12,678       694,247  

Sherwin-Williams

     20,667       4,889,605  

Steel Dynamics

     21,700       2,617,888  

Vulcan Materials

     11,648       2,135,428  

Westrock

     22,241       872,737  
    

 

 

 

       95,838,541  
    

 

 

 

REAL ESTATE — 2.5%

    

Alexandria Real Estate Equities ‡

     13,086       2,103,444  

American Tower ‡

     40,805       9,115,429  

AvalonBay Communities ‡

     12,260       2,175,414  

Boston Properties ‡

     12,472       929,663  

Camden Property Trust ‡

     9,336       1,150,289  

CBRE Group, Cl A *

     27,668       2,365,891  

Crown Castle International ‡

     37,952       5,621,071  

Digital Realty Trust ‡

     25,198       2,888,195  

Equinix ‡

     8,110       5,986,234  

Equity Residential ‡

     29,782       1,895,624  

Essex Property Trust ‡

     5,675       1,282,947  

Extra Space Storage ‡

     11,737       1,852,451  

Federal Realty Investment Trust ‡

     6,405       714,350  

Host Hotels & Resorts ‡

     62,691       1,181,725  

Invitation Homes ‡

     50,900       1,654,250  

Iron Mountain ‡

     25,460       1,389,607  

Kimco Realty ‡

     54,155       1,216,321  

Mid-America Apartment Communities ‡

     10,120       1,687,206  

Prologis ‡

     80,897       10,458,364  

Public Storage ‡

     13,853       4,216,022  

Realty Income ‡

     54,930       3,725,902  

Regency Centers ‡

     13,487       898,639  

SBA Communications, Cl A ‡

     9,462       2,815,229  

Simon Property Group ‡

     28,653       3,680,764  

UDR ‡

     26,783       1,140,688  

Welltower ‡

     41,412       3,107,556  

Weyerhaeuser ‡

     64,469       2,219,668  
    

 

 

 

       77,472,943  
    

 

 

 

UTILITIES — 2.9%

    

American Water Works

     15,935       2,493,668  
 


Catholic Responsible Investments  

Equity Index Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

    
           Shares                   Value           

UTILITIES— continued

    

Atmos Energy

     12,260        $ 1,441,041   

CenterPoint Energy

     55,186       1,662,202  

CMS Energy

     25,437       1,607,364  

Consolidated Edison

     44,685       4,258,927  

Constellation Energy

     118,704       10,132,602  

Dominion Energy

     73,027       4,647,438  

Edison International

     33,487       2,307,254  

Entergy

     17,833       1,930,957  

Exelon

     87,113       3,675,298  

FirstEnergy

     47,557       1,947,459  

NextEra Energy

     287,828       21,480,604  

NRG Energy

     20,178       690,491  

PG&E *

     141,100       2,243,490  

Pinnacle West Capital

     9,904       738,343  

Public Service Enterprise Group .

     43,746       2,709,190  

Sempra Energy

     66,614       10,680,223  

Southern

     183,443       12,415,422  
    

 

 

 

       87,061,973  
    

 

 

 

Total Common Stock
(Cost $2,000,045,891)

       3,009,320,549  
    

 

 

 

RIGHTS — 0.0%

    
     Number Of
Rights
   

Abiomed (A)(B)

     5,594         
    

 

 

 

Total Rights
(Cost $–)

        
    

 

 

 

Total Investments in Securities— 99.0%
(Cost $2,000,045,891)

 

    $ 3,009,320,549  
    

 

 

 

    

 

 

 

Percentages are based on Net Assets of $3,039,852,302.

A list of the open futures contracts held by the Fund at January 31, 2023 is as follows:

 

           

Type of

Contract

 

Number of

Contracts

 

Expiration

Date

 

Notional

Amount

  Value  

Unrealized

Appreciation/

(Depreciation)

Long

         

Contracts

         

S&P

         

500

         

Index

         

E-MINI

    140       Mar-2023     $ 27,483,288     $ 28,630,000     $ 1,146,712   
     

 

 

 

 

 

 

 

 

 

 

 

 

*

Non-income producing security.

Real Estate Investment Trust.

(A)

Level 3 security in accordance with fair value hierarchy.

(B)

Expiration date not available.

Cl — Class

For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund’s most recent financial statements.

CRI-QH-001-0300

 


Catholic Responsible Investments  

Small-Cap Fund

January 31, 2023

(Unaudited)

 

SCHEDULE OF INVESTMENTS

 

COMMON STOCK — 99.0%

 

           Shares                   Value          

COMMUNICATION SERVICES — 2.1%

 

AMC Networks, Cl A *

      14,488       $ 268,173   

ATN International

     6,196       302,860  

Cars.com *

     32,722       559,546  

Cinemark Holdings *

     56,721       677,249  

Cogent Communications Holdings

     22,451       1,539,465  

Consolidated Communications Holdings *

     41,839       182,000  

EW Scripps, Cl A *

     29,662       443,447  

Gannett *

     79,957       180,703  

Gogo *

     35,281       591,662  

Marcus

     12,851       194,564  

QuinStreet *

     26,915       412,607  

Scholastic

     15,490       685,278  

Shenandoah Telecommunications

     26,913       526,149  

Shutterstock

     12,349       929,509  

TechTarget *

     13,968       691,835  

Telephone and Data Systems

     52,294       699,171  

Thryv Holdings *

     15,766       352,685  

Yelp, Cl A *

     35,790       1,127,743  
    

 

 

 

       10,364,646  
    

 

 

 

CONSUMER DISCRETIONARY — 13.2%

 

Aaron’s

     15,752       230,767  

Abercrombie & Fitch, Cl A *

     25,654       742,940  

Academy Sports & Outdoors

     41,075       2,399,601  

Adtalem Global Education *

     24,352       929,759  

American Axle & Manufacturing Holdings *

     60,062       532,750  

American Eagle Outfitters

     89,621       1,446,483  

America’s Car-Mart *

     2,966       255,491  

Asbury Automotive Group *

     11,327       2,491,940  

Bed Bath & Beyond * (A)

     40,262       113,539  

Big Lots

     14,986       245,171  

BJ’s Restaurants *

     13,176       415,966  

Bloomin’ Brands

     47,338       1,147,947  

Boot Barn Holdings *

     15,256       1,273,723  

Brinker International *

     23,793       938,872  

Buckle

     15,389       677,116  

Caleres

     18,661       485,559  

Cavco Industries *

     4,646       1,236,301  

Century Communities

     16,000       979,200  

Cheesecake Factory

     25,716       1,009,353  

Chico’s FAS *

     66,138       348,547  

Children’s Place *

     6,706       304,251  

COMMON STOCK — continued

 

           Shares                   Value          

CONSUMER DISCRETIONARY— continued

 

Chuy’s Holdings *

      10,470       $ 358,388   

Dave & Buster’s Entertainment *

     22,700       984,045  

Designer Brands, Cl A

     26,567       273,906  

Dine Brands Global

     8,657       669,273  

Dorman Products *

     14,471       1,404,555  

El Pollo Loco Holdings

     12,092       148,369  

Ethan Allen Interiors

     15,510       445,757  

Frontdoor *

     42,720       1,161,130  

Genesco *

     6,354       306,835  

Gentherm *

     16,993       1,264,789  

G-III Apparel Group *

     24,709       418,076  

Green Brick Partners *

     16,521       515,455  

Group 1 Automotive

     7,462       1,595,749  

Guess?

     15,606       361,591  

Haverty Furniture

     6,765       236,234  

Hibbett

     6,681       443,351  

Installed Building Products

     13,136       1,446,142  

iRobot *

     15,170       682,650  

Jack in the Box

     11,281       857,130  

Kontoor Brands

     27,715       1,323,668  

La-Z-Boy, Cl Z

     24,897       707,822  

LCI Industries

     13,014       1,460,431  

Leslie’s *

     75,868       1,175,195  

LGI Homes *

     11,247       1,280,471  

M *

     15,796       944,601  

MarineMax *

     11,020       344,375  

Meritage Homes *

     19,908       2,143,893  

Mister Car Wash *

     43,436       446,088  

Monro

     16,097       819,337  

Motorcar Parts of America *

     9,917       144,392  

Movado Group

     9,921       350,807  

National Vision Holdings *

     40,675       1,671,743  

ODP *

     20,884       1,077,614  

Oxford Industries

     9,018       1,057,090  

Patrick Industries

     11,019       782,018  

Perdoceo Education *

     37,462       560,806  

PetMed Express

     10,786       231,683  

Rent-A-Center, Cl A

     26,053       700,565  

Ruth’s Hospitality Group

     17,315       299,723  

Sally Beauty Holdings *

     54,766       853,254  

Shake Shack, Cl A *

     19,802       1,126,338  

Shoe Carnival

     8,762       239,290  

Signet Jewelers

     23,827       1,830,152  

Six Flags Entertainment *

     39,104       1,049,942  

Sleep Number *

     11,422       392,688  
 


Catholic Responsible Investments  

Small-Cap Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

CONSUMER DISCRETIONARY— continued

 

Sonic Automotive, Cl A

      8,543       $ 458,845   

Sonos *

     68,982       1,272,028  

Standard Motor Products

     9,604       388,578  

Steven Madden

     41,275       1,479,709  

Strategic Education

     12,128       1,132,149  

Stride *

     22,210       953,475  

Tri Pointe Homes *

     55,623       1,228,712  

Universal Electronics *

     8,346       195,547  

Urban Outfitters *

     30,680       840,325  

Winnebago Industries

     15,604       993,663  

Wolverine World Wide

     44,274       714,140  

WW International *

     31,867       158,379  

XPEL *

     10,221       777,511  

Zumiez *

     7,971       205,891  
    

 

 

 

       65,591,639  
    

 

 

 

CONSUMER STAPLES — 4.9%

 

Andersons

     16,765       616,617  

B&G Foods (A)

     38,227       535,943  

Calavo Growers

     10,060       322,423  

Cal-Maine Foods

     21,190       1,212,492  

Central Garden & Pet *

     5,321       223,163  

Central Garden & Pet, Cl A *

     21,814       864,489  

Chefs’ Warehouse *

     19,280       737,074  

Edgewell Personal Care

     27,288       1,169,564  

elf Beauty *

     28,468       1,638,333  

Fresh Del Monte Produce

     16,892       483,111  

Hain Celestial Group *

     46,797       960,274  

Hostess Brands, Cl A *

     71,699       1,658,398  

Inter Parfums

     9,703       1,147,089  

J & J Snack Foods

     8,072       1,156,718  

John B Sanfilippo & Son

     5,040       425,930  

Medifast

     5,809       647,413  

MGP Ingredients

     8,751       853,573  

National Beverage *

     13,100       579,020  

Nu Skin Enterprises, Cl A

     26,171       1,122,212  

PriceSmart

     13,419       997,166  

Seneca Foods, Cl A *

     3,288       205,500  

Simply Good Foods *

     44,938       1,631,249  

SpartanNash

     19,940       631,699  

Tootsie Roll Industries

     10,447       467,294  

TreeHouse Foods *

     27,025       1,308,821  

United Natural Foods *

     30,843       1,283,686  

USANA Health Sciences *

     5,701       333,167  

WD-40

     7,088       1,237,139  
    

 

 

 

       24,449,557  
    

 

 

 

COMMON STOCK — continued

 

           Shares                   Value           

ENERGY — 4.4%

 

Archrock

      68,485       $ 678,686   

Bristow Group *

     12,043       367,793  

Callon Petroleum *

     26,169       1,113,491  

Civitas Resources

     26,587       1,769,365  

CONSOL Energy

     17,201       994,734  

Core Laboratories

     23,848       610,509  

DMC Global *

     9,514       216,348  

Dorian LPG

     16,313       323,813  

Dril-Quip *

     17,443       535,675  

Green Plains *

     30,513       1,060,937  

Helix Energy Solutions Group * .

     76,593       607,382  

Helmerich & Payne

     54,400       2,635,136  

Nabors Industries *

     4,702       834,793  

Oceaneering International *

     52,181       1,114,064  

Oil States International *

     33,617       287,762  

Par Pacific Holdings *

     28,398       759,079  

Patterson-UTI Energy

     112,795       1,894,956  

ProPetro Holding *

     49,934       496,843  

Ranger Oil, Cl A

     9,816       412,272  

REX American Resources *

     7,944       259,928  

RPC

     44,473       441,172  

SM Energy

     62,841       2,065,584  

Talos Energy *

     34,282       679,126  

US Silica Holdings *

     39,503       483,517  

Vital Energy *

     8,605       484,289  

World Fuel Services

     31,687       896,742  
    

 

 

 

       22,023,996  
    

 

 

 

FINANCIALS — 17.5%

 

Ambac Financial Group *

     23,998       399,807  

American Equity Investment Life Holding

     35,525       1,692,766  

Ameris Bancorp

     33,361       1,573,305  

AMERISAFE

     10,197       561,651  

Apollo Commercial Real Estate Finance ‡

     66,571       810,169  

ARMOUR Residential REIT ‡ (A)

     67,622       424,666  

Assured Guaranty

     31,223       1,954,560  

Avantax *

     26,912       784,216  

Axos Financial *

     27,327       1,314,975  

B Riley Financial (A)

     8,714       372,349  

Banc of California

     28,631       498,752  

BancFirst

     9,463       815,048  

Bancorp *

     29,279       993,436  

BankUnited

     39,543       1,488,399  

Banner

     17,497       1,134,331  
 


Catholic Responsible Investments  

Small-Cap Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

FINANCIALS— continued

 

Berkshire Hills Bancorp

      23,042       $ 715,454   

Bread Financial Holdings

     25,627       1,051,476  

Brightsphere Investment Group .

     17,104       401,089  

Brookline Bancorp

     45,124       590,222  

Capitol Federal Financial

     66,087       553,148  

Central Pacific Financial

     13,934       314,908  

City Holding

     7,603       720,688  

Columbia Banking System

     40,247       1,244,035  

Community Bank System

     27,498       1,586,910  

Customers Bancorp *

     15,641       475,017  

CVB Financial

     67,254       1,628,892  

Dime Community Bancshares

     16,582       494,475  

Donnelley Financial Solutions *

     13,494       615,461  

Eagle Bancorp

     16,335       775,749  

Ellington Financial ‡ (A)

     30,115       413,479  

Employers Holdings

     14,398       631,640  

Encore Capital Group *

     11,968       666,857  

Enova International *

     16,296       743,912  

EZCORP, Cl A *

     29,968       273,009  

FB Financial

     18,012       676,531  

First Bancorp

     18,276       728,299  

First BanCorp

     94,475       1,270,689  

First Commonwealth Financial

     47,785       702,917  

First Financial Bancorp

     48,534       1,229,366  

First Hawaiian

     65,340       1,792,930  

Franklin BSP Realty Trust ‡

     44,224       641,248  

Genworth Financial, Cl A *

     258,616       1,427,560  

Granite Point Mortgage Trust ‡

     27,869       186,165  

Green Dot, Cl A *

     23,943       432,889  

Hanmi Financial

     15,601       363,347  

HCI Group

     3,912       196,421  

Heritage Financial

     17,954       512,228  

Hilltop Holdings

     23,469       767,436  

HomeStreet

     9,103       250,970  

Hope Bancorp

     61,145       788,159  

Horace Mann Educators

     21,060       749,947  

Independent Bank

     23,357       1,861,319  

Independent Bank Group

     18,131       1,111,430  

Invesco Mortgage Capital ‡

     18,329       269,253  

James River Group Holdings

     19,891       450,730  

KKR Real Estate Finance Trust ‡ .

     29,361       467,721  

Lakeland Financial

     12,973       917,321  

LendingTree *

     5,799       229,988  

Mercury General

     14,054       502,149  

Mr Cooper Group *

     36,112       1,660,791  

COMMON STOCK — continued

 

           Shares                   Value          

FINANCIALS— continued

 

National Bank Holdings, Cl A

      19,289       $ 814,574   

NBT Bancorp

     21,923       861,793  

New York Mortgage Trust ‡

     194,660       607,339  

NMI Holdings, Cl A *

     42,772       993,594  

Northfield Bancorp

     21,513       321,619  

Northwest Bancshares

     64,986       918,902  

OFG Bancorp

     24,340       689,065  

Pacific Premier Bancorp

     48,622       1,572,435  

Palomar Holdings *

     13,445       687,174  

Park National

     7,408       927,852  

Pathward Financial

     14,732       731,002  

PennyMac Mortgage Investment Trust ‡

     46,680       711,870  

Piper Sandler

     7,406       1,052,393  

PRA Group *

     19,947       802,667  

Preferred Bank

     6,760       480,839  

ProAssurance

     28,107       544,995  

PROG Holdings *

     25,957       578,582  

Provident Financial Services

     38,522       903,726  

Ready Capital ‡

     50,691       670,642  

Redwood Trust ‡

     59,520       497,587  

Renasant

     28,634       1,018,798  

S&T Bancorp

     19,960       726,145  

Safety Insurance Group

     7,733       652,588  

Seacoast Banking Corp of Florida

     36,401       1,168,836  

ServisFirst Bancshares

     25,020       1,705,864  

Simmons First National, Cl A

     64,977       1,449,637  

SiriusPoint *

     45,738       347,152  

Southside Bancshares

     15,608       591,231  

Stellar Bancorp

     22,750       639,500  

Stewart Information Services

     13,882       663,143  

StoneX Group *

     9,342       820,975  

Tompkins Financial

     6,449       485,803  

Triumph Financial *

     11,723       653,323  

Trupanion *

     18,485       1,090,985  

TrustCo Bank NY

     9,750       350,123  

Trustmark

     31,193       908,340  

Two Harbors Investment ‡

     44,410       796,706  

United Community Banks

     54,332       1,767,963  

United Fire Group

     11,583       364,749  

Universal Insurance Holdings

     15,212       193,801  

Veritex Holdings

     27,637       777,982  

Virtus Investment Partners

     3,527       757,882  

Walker & Dunlop

     15,711       1,498,515  

Westamerica BanCorp

     13,772       765,172  
 


Catholic Responsible Investments  

Small-Cap Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

FINANCIALS— continued

 

WisdomTree

      56,985       $ 328,234   

World Acceptance *

     1,725       165,117  

WSFS Financial

     31,517       1,522,586  
    

 

 

 

       86,482,455  
    

 

 

 

HEALTH CARE — 10.6%

 

AdaptHealth, Cl A *

     41,144       881,716  

Addus HomeCare *

     8,904       957,358  

Agiliti *

     19,339       356,805  

AMN Healthcare Services *

     22,823       2,187,356  

AngioDynamics *

     22,014       286,622  

Anika Therapeutics *

     9,836       305,014  

Apollo Medical Holdings *

     21,255       757,528  

Arcus Biosciences *

     28,985       626,946  

Artivion *

     23,133       301,654  

Avanos Medical *

     25,067       768,053  

Avid Bioservices *

     35,354       559,654  

Cara Therapeutics *

     27,500       321,200  

Cardiovascular Systems *

     23,915       333,375  

Catalyst Pharmaceuticals *

     56,369       873,156  

Coherus Biosciences *

     38,790       328,939  

Collegium Pharmaceutical *

     20,653       579,936  

Computer Programs and Systems *

     8,556       251,375  

CONMED

     16,189       1,550,259  

CorVel *

     5,030       896,145  

Cross Country Healthcare *

     20,157       559,357  

Cutera *

     10,443       363,730  

Cytokinetics *

     50,562       2,147,874  

Dynavax Technologies *

     66,236       753,766  

Eagle Pharmaceuticals *

     7,381       250,511  

Embecta

     31,277       825,400  

Emergent BioSolutions *

     25,948       342,254  

Enanta Pharmaceuticals *

     10,922       583,016  

Enhabit *

     27,844       427,684  

Ensign Group

     29,512       2,751,994  

Fulgent Genetics *

     10,751       363,169  

Glaukos *

     25,330       1,242,436  

Harmony Biosciences Holdings *

     17,501       843,023  

HealthStream *

     14,116       341,325  

Heska *

     5,547       496,124  

Innoviva *

     39,490       499,548  

Inogen *

     12,996       303,197  

Integer Holdings *

     17,683       1,163,718  

Ironwood Pharmaceuticals, Cl A *

     79,529       916,174  

COMMON STOCK — continued

 

           Shares                   Value          

HEALTH CARE— continued

 

LeMaitre Vascular

      11,074       $ 522,471   

Ligand Pharmaceuticals *

     8,907       620,818  

Merit Medical Systems *

     30,458       2,173,178  

Mesa Laboratories

     2,727       530,511  

ModivCare *

     6,879       737,842  

Myriad Genetics *

     44,308       873,754  

Nektar Therapeutics, Cl A *

     112,107       304,931  

NeoGenomics *

     68,555       814,433  

NextGen Healthcare *

     31,258       594,527  

NuVasive *

     27,714       1,263,758  

OmniAB *(B)

     3,296        

OmniAB *(B)

     3,296        

OptimizeRx *

     10,084       181,008  

OraSure Technologies *

     41,621       232,245  

Organogenesis Holdings, Cl A * .

     52,714       134,948  

Orthofix Medical *

     18,763       405,844  

Owens & Minor *

     40,336       796,233  

Pacira BioSciences *

     25,802       1,013,245  

Pediatrix Medical Group *

     44,195       678,393  

Pennant Group *

     17,011       220,122  

Phibro Animal Health, Cl A

     14,664       225,826  

Prestige Consumer Healthcare *

     27,284       1,794,196  

RadNet *

     27,090       570,244  

Select Medical Holdings

     55,632       1,617,222  

Simulations Plus

     9,152       376,513  

Supernus Pharmaceuticals *

     31,057       1,273,648  

Surmodics *

     8,497       238,851  

US Physical Therapy

     7,169       710,806  

Vanda Pharmaceuticals *

     34,954       268,447  

Varex Imaging *

     21,912       470,889  

Veradigm *

     58,728       1,051,818  

Vericel *

     26,547       729,246  

Vir Biotechnology *

     40,936       1,209,659  

Xencor *

     33,273       1,095,347  

Zimvie *

     14,165       138,959  

Zynex *

     15,030       212,374  
    

 

 

 

       52,379,697  
    

 

 

 

INDUSTRIALS — 17.3%

    

AAON

     23,186       1,769,556  

AAR *

     19,357       995,724  

ABM Industries

     34,609       1,623,508  

Alamo Group

     5,987       936,786  

Albany International, Cl A

     17,482       1,960,606  

Allegiant Travel *

     8,102       697,015  

American Woodmark *

     10,034       574,848  
 


Catholic Responsible Investments  

Small-Cap Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

INDUSTRIALS— continued

 

Apogee Enterprises

      13,449       $ 629,951   

Applied Industrial Technologies .

     21,431       3,069,134  

ArcBest

     12,687       1,058,730  

Arcosa

     26,703       1,582,687  

Astec Industries

     12,908       569,759  

Atlas Air Worldwide Holdings *

     13,438       1,373,498  

AZZ

     14,930       634,226  

Barnes Group

     28,002       1,239,369  

Boise Cascade

     21,873       1,639,819  

Brady, Cl A

     24,010       1,283,815  

CIRCOR International *

     13,176       364,316  

Comfort Systems USA

     19,528       2,363,669  

CoreCivic *

     61,465       653,988  

Deluxe

     22,101       441,799  

DXP Enterprises *

     10,531       319,089  

Encore Wire

     10,094       1,629,474  

Enerpac Tool Group, Cl A

     33,227       881,845  

EnPro Industries

     11,702       1,416,761  

ESCO Technologies

     14,450       1,422,458  

Exponent

     26,455       2,712,696  

Federal Signal

     33,893       1,804,802  

Forrester Research *

     5,806       215,170  

Forward Air

     13,818       1,490,271  

Franklin Electric

     21,480       1,939,644  

GEO Group * (A)

     67,388       774,962  

Gibraltar Industries *

     17,362       930,082  

GMS *

     23,914       1,418,579  

Granite Construction

     24,678       1,050,789  

Greenbrier

     18,769       580,337  

Griffon

     26,371       1,078,047  

Harsco *

     43,011       341,507  

Hawaiian Holdings *

     27,514       338,972  

Healthcare Services Group

     39,057       526,098  

Heartland Express

     23,780       399,980  

Heidrick & Struggles International

     10,164       312,645  

Hillenbrand

     38,291       1,794,316  

HNI

     21,168       672,507  

Hub Group, Cl A *

     16,829       1,435,009  

Insteel Industries

     11,928       357,721  

Interface, Cl A

     31,066       353,531  

John Bean Technologies

     17,310       1,934,046  

KAR Auction Services *

     57,400       835,744  

Kelly Services, Cl A

     18,450       333,945  

Korn Ferry

     27,594       1,489,800  

COMMON STOCK — continued

 

           Shares                   Value          

INDUSTRIALS— continued

 

Lindsay

      6,362       $ 996,416   

Liquidity Services *

     14,468       216,875  

Marten Transport

     30,628       676,573  

Masterbrand *

     72,507       667,064  

Matson

     19,564       1,293,572  

Matthews International, Cl A

     16,556       613,234  

MillerKnoll

     39,378       940,347  

Mueller Industries

     31,289       2,050,994  

MYR Group *

     9,571       948,103  

NOW *

     65,517       919,859  

NV5 Global *

     6,746       899,174  

Park Aerospace

     15,009       208,775  

PGT Innovations *

     34,811       755,399  

Pitney Bowes

     88,514       381,495  

Powell Industries

     6,230       247,331  

Proto Labs *

     15,340       469,404  

Quanex Building Products

     20,949       542,370  

Resideo Technologies *

     78,919       1,517,612  

Resources Connection

     16,457       284,212  

RXO *

     60,422       1,106,931  

SkyWest *

     25,894       537,559  

SPX Technologies *

     25,169       1,887,927  

Standex International

     7,092       819,622  

Sun Country Airlines Holdings * .

     17,488       326,501  

Tennant

     10,877       762,804  

Titan International *

     31,265       521,813  

Trinity Industries

     45,514       1,309,438  

Triumph Group *

     37,694       429,335  

TrueBlue *

     16,705       327,919  

UFP Industries

     32,898       3,077,608  

UniFirst

     7,872       1,562,120  

Veritiv

     7,596       949,804  

Viad *

     11,361       335,718  

Wabash National

     28,060       722,826  
    

 

 

 

       85,560,364  
    

 

 

 

INFORMATION TECHNOLOGY — 13.0%

 

8x8 *

     61,943       291,752  

A10 Networks

     35,827       554,602  

Adeia

     57,258       626,975  

ADTRAN Holdings

     38,571       727,835  

Advanced Energy Industries

     19,707       1,827,627  

Alarm.com Holdings *

     26,257       1,407,375  

Alpha & Omega Semiconductor *

     11,709       385,929  

Arlo Technologies *

     50,910       190,912  

Avid Technology *

     18,050       547,095  
 


Catholic Responsible Investments  

Small-Cap Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

INFORMATION TECHNOLOGY— continued

 

Axcelis Technologies *

      17,258       $ 1,897,517   

Badger Meter

     15,555       1,802,824  

Benchmark Electronics

     19,041       532,958  

Cerence *

     21,268       521,491  

CEVA *

     12,137       401,977  

Clearfield *

     6,644       474,780  

Cohu *

     24,640       889,011  

Comtech Telecommunications

     15,502       245,862  

Consensus Cloud Solutions *

     9,626       565,720  

Corsair Gaming *

     21,848       343,669  

CSG Systems International

     16,406       978,946  

CTS

     17,281       769,177  

Digi International *

     20,139       684,525  

Digital Turbine *

     47,778       829,426  

Diodes *

     23,504       2,096,322  

DoubleVerify Holdings, Cl Rights *

     35,000       951,650  

Ebix

     13,227       252,107  

ePlus *

     14,381       715,886  

EVERTEC

     34,333       1,268,261  

Extreme Networks *

     70,213       1,265,940  

Fabrinet *

     19,196       2,527,345  

FARO Technologies *

     10,385       285,380  

FormFactor *

     39,417       1,109,194  

Harmonic *

     57,414       756,142  

Ichor Holdings *

     14,827       501,153  

Insight Enterprises *

     16,019       1,805,662  

InterDigital

     15,728       1,100,174  

Itron *

     23,786       1,366,981  

Knowles *

     48,283       928,482  

Kulicke & Soffa Industries

     30,064       1,536,270  

LivePerson *

     38,028       489,801  

LiveRamp Holdings *

     35,202       942,006  

MaxLinear, Cl A *

     37,465       1,543,558  

Methode Electronics

     19,453       928,686  

NETGEAR *

     15,845       316,425  

NetScout Systems *

     36,296       1,165,102  

OneSpan *

     20,184       278,741  

Onto Innovation *

     25,482       2,004,159  

OSI Systems *

     8,304       786,472  

Payoneer Global *

     108,748       648,138  

PC Connection

     6,573       322,274  

PDF Solutions *

     16,046       509,942  

Perficient *

     18,279       1,355,205  

Photronics *

     32,537       589,570  

COMMON STOCK — continued

 

           Shares                   Value          

INFORMATION TECHNOLOGY— continued

 

Plexus *

      14,820       $ 1,422,572   

Progress Software

     23,272       1,234,347  

Rambus *

     56,503       2,286,676  

Sabre *

     173,514       1,181,630  

Sanmina *

     30,894       1,882,371  

ScanSource *

     13,502       444,621  

Semtech *

     32,504       1,073,607  

SMART Global Holdings *

     25,331       435,440  

SPS Commerce *

     18,914       2,573,817  

TTEC Holdings

     10,284       522,839  

TTM Technologies *

     54,645       859,019  

Ultra Clean Holdings *

     23,715       798,010  

Unisys *

     38,153       206,408  

Veeco Instruments *

     26,317       522,656  

Viavi Solutions *

     117,935       1,332,666  

Xperi *

     24,320       251,712  
    

 

 

 

       64,873,404  
    

 

 

 

MATERIALS — 5.7%

 

AdvanSix

     14,233       615,435  

American Vanguard

     15,070       340,431  

Arconic *

     52,409       1,232,136  

ATI *

     67,460       2,454,869  

Balchem

     16,445       2,148,210  

Carpenter Technology

     25,406       1,226,856  

Century Aluminum *

     26,700       300,108  

Clearwater Paper *

     8,567       330,772  

Compass Minerals International

     17,666       824,296  

FutureFuel

     14,135       131,031  

Hawkins

     9,728       379,392  

Haynes International

     6,763       376,631  

HB Fuller

     27,318       1,887,674  

Innospec

     12,725       1,438,180  

Kaiser Aluminum

     8,282       724,841  

Koppers Holdings

     10,695       370,154  

Livent *

     92,750       2,404,080  

Materion

     10,505       948,076  

Mativ Holdings

     28,117       774,905  

Mercer International

     20,705       263,575  

Minerals Technologies

     16,606       1,153,287  

Myers Industries

     19,430       467,874  

O-I Glass, Cl I *

     79,909       1,538,248  

Olympic Steel

     5,391       238,498  

Quaker Chemical

     6,974       1,372,971  

Rayonier Advanced Materials *

     36,424       252,418  

Stepan

     10,807       1,187,041  
 


Catholic Responsible Investments  

Small-Cap Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

MATERIALS— continued

 

SunCoke Energy

      43,844       $ 399,419   

Sylvamo

     17,653       839,047  

TimkenSteel *

     21,224       417,476  

Tredegar

     12,876       156,186  

Trinseo

     17,898       496,670  

Warrior Met Coal

     26,821       1,015,979  
    

 

 

 

       28,706,766  
    

 

 

 

REAL ESTATE — 7.9%

 

Acadia Realty Trust ‡

     49,862       774,357  

Agree Realty ‡

     46,196       3,447,607  

Alexander & Baldwin ‡

     38,179       764,344  

American Assets Trust ‡

     26,680       759,313  

Anywhere Real Estate *

     56,026       475,100  

Armada Hoffler Properties ‡

     34,866       442,101  

Brandywine Realty Trust ‡

     87,800       575,968  

CareTrust REIT ‡

     51,577       1,068,675  

Centerspace ‡

     7,796       527,166  

Chatham Lodging Trust ‡

     26,960       383,102  

Cushman & Wakefield *

     83,182       1,200,316  

DiamondRock Hospitality ‡

     110,417       1,063,316  

Douglas Elliman

     37,733       175,836  

Easterly Government Properties, Cl A ‡

     46,453       754,397  

Elme Communities ‡

     45,117       866,246  

Essential Properties Realty Trust ‡

     74,358       1,894,642  

Four Corners Property Trust ‡

     44,075       1,267,597  

Franklin Street Properties ‡

     47,436       146,103  

Getty Realty ‡

     23,361       851,041  

Global Net Lease ‡

     55,231       825,703  

Hersha Hospitality Trust, Cl A ‡

     16,944       155,885  

Hudson Pacific Properties ‡

     65,627       747,492  

Industrial Logistics Properties Trust ‡

     33,862       149,331  

Innovative Industrial Properties, Cl A ‡

     14,476       1,299,655  

iStar ‡

     45,490       422,147  

LTC Properties ‡

     21,621       824,841  

LXP Industrial Trust ‡

     141,100       1,629,705  

Marcus & Millichap

     12,783       463,256  

NexPoint Residential Trust ‡

     11,941       603,020  

Office Properties Income Trust ‡

     24,854       426,495  

Orion Office REIT ‡

     29,779       287,367  

Outfront Media ‡

     75,741       1,507,246  

RE, Cl A

     9,337       212,977  

Retail Opportunity Investments ‡

     64,664       1,023,631  

COMMON STOCK — continued

 

           Shares                   Value          

REAL ESTATE— continued

 

RPT Realty ‡

      45,586       $ 477,741   

Safehold ‡

     12,712       444,418  

Saul Centers ‡

     6,992       299,328  

Service Properties Trust ‡

     89,140       794,237  

SITE Centers ‡

     96,867       1,322,235  

St. Joe

     18,187       856,608  

Summit Hotel Properties ‡

     57,315       488,324  

Sunstone Hotel Investors ‡

     108,705       1,194,668  

Tanger Factory Outlet Centers ‡

     56,246       1,074,861  

Uniti Group ‡

     123,698       815,170  

Urban Edge Properties ‡

     60,920       959,490  

Urstadt Biddle Properties, Cl A ‡

     16,032       301,081  

Veris Residential *‡

     43,083       745,336  

Whitestone REIT, Cl B ‡

     25,251       262,863  

Xenia Hotels & Resorts ‡

     60,208       897,099  
    

 

 

 

       38,949,437  
    

 

 

 

UTILITIES — 2.4%

 

American States Water

     19,012       1,790,360  

Avista

     37,755       1,506,425  

California Water Service Group .

     28,179       1,723,709  

Chesapeake Utilities

     9,079       1,144,680  

Middlesex Water

     9,144       766,816  

Northwest Natural Holding

     17,962       900,615  

SJW Group

     13,851       1,072,206  

South Jersey Industries

     64,132       2,314,524  

Unitil

     8,302       433,115  
    

 

 

 

       11,652,450  
    

 

 

 

Total Common Stock
(Cost $417,200,950)

       491,034,411  
    

 

 

 

RIGHTS — 0.0%

 

     Number Of
Rights
   

Progenics Pharmaceuticals (B)(C)

     61,398      $  

Toriba Therapeutics (B)(C)

     2,044        
    

 

 

 

        
    

 

 

 

Total Rights
(Cost $123)

        
    

 

 

 

 


Catholic Responsible Investments  

Small-Cap Fund

January 31, 2023

(Unaudited)

 

SHORT-TERM INVESTMENT — 0.5%

 

     Face
      Amount      
            Value          

State Street Institutional US Government Money Market Fund, Premier Class, 2.960% (D)

    $ 2,363,187       $ 2,363,187   
    

 

 

 

Total Short-Term Investments
(Cost $2,363,187)

       2,363,187  
    

 

 

 

Total Investments in Securities— 99.5%
(Cost $419,564,260)

 

   $ 493,397,598  
    

 

 

 

    

 

 

 

Percentages are based on Net Assets of $495,670,413.

A list of the open futures contracts held by the Fund at January 31, 2023 is as follows:

 

           

Type of

Contract

 

Number

of

Contracts

 

Expiration

Date

 

Notional

Amount

  Value  

Unrealized

Appreciation

Long Contracts          

Russell 2000 Index E-MINI

    43       Mar-2023     $ 3,999,134     $ 4,169,710     $ 170,576  
     

 

 

 

 

 

 

 

 

 

 

 

 

*

Non-income producing security.

Real Estate Investment Trust.

(A)

This security or a partial position of this security is on loan at January 31, 2023. The total market value of securities on loan at January 31, 2023 was $2,301,483.

(B)

Level 3 security in accordance with fair value hierarchy.

(C)

Expiration date not available.

(D)

This security was purchased with cash collateral received from securities lending. The total was of such securities as of January 31, 2023, was $2,363,187.

Cl — Class

For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund’s most recent financial statements.

CRI-QH-001-0300

 


Catholic Responsible Investments  

Multi-Style US Equity Fund

January 31, 2023

(Unaudited)

 

SCHEDULE OF INVESTMENTS

 

COMMON STOCK — 97.1%

 

           Shares                   Value          

COMMUNICATION SERVICES — 9.1%

 

Alphabet, Cl A *

     22,000       $ 2,174,480   

Alphabet, Cl C *

     277,691       27,733,000  

Charter Communications, Cl A * .

     13,500       5,188,185  

Comcast, Cl A

     160,000       6,296,000  

DISH Network, Cl A *

     74,500       1,072,055  

Electronic Arts

     11,611       1,494,103  

Fox

     63,000       2,138,220  

Fox

     55,033       1,744,546  

Match Group *

     14,350       776,622  

Meta Platforms, Cl A *

     19,700       2,934,709  

News

     29,775       603,242  

T-Mobile US *

     25,000       3,732,750  

Walt Disney *

     56,994       6,183,279  

ZoomInfo Technologies, Cl A *

     118,899       3,356,519  
    

 

 

 

       65,427,710  
    

 

 

 

CONSUMER DISCRETIONARY — 8.9%

 

Airbnb, Cl A *

     32,100       3,566,631  

Amazon.com *

     234,582       24,192,442  

Booking Holdings *

     1,400       3,407,740  

Etsy *

     24,573       3,380,753  

Gap

     88,000       1,194,160  

Hilton Worldwide Holdings

     33,326       4,835,269  

Honda Motor ADR

     96,000       2,382,720  

Lululemon Athletica *

     10,504       3,223,468  

NIKE, Cl B

     72,443       9,224,167  

Qurate Retail *

     128,500       331,530  

Starbucks

     29,648       3,235,783  

TJX

     49,947       4,088,661  

Wingstop

     7,002       1,109,607  
    

 

 

 

       64,172,931  
    

 

 

 

CONSUMER STAPLES — 2.4%

 

Anheuser-Busch InBev ADR

     55,000       3,315,950  

Constellation Brands, Cl A

     8,179       1,893,602  

Freshpet *

     20,963       1,327,587  

Haleon ADR *

     226,000       1,830,600  

Molson Coors Beverage, Cl B

     60,000       3,154,800  

PepsiCo

     32,696       5,591,670  
    

 

 

 

       17,114,209  
    

 

 

 

ENERGY — 3.3%

 

Cheniere Energy

     5,532       845,234  

ConocoPhillips

     40,000       4,874,800  

Occidental Petroleum

     142,000       9,200,180  

Schlumberger

     71,599       4,079,711  

COMMON STOCK — continued

 

           Shares                   Value          

ENERGY — continued

 

Williams

     134,300       $ 4,329,832  
    

 

 

 

       23,329,757  
    

 

 

 

FINANCIALS — 17.2%

 

Aegon

     240,169       1,316,126   

American Express

     29,193       5,106,732  

Ares Management, Cl A

     13,864       1,150,573  

Bank of America

     73,000       2,590,040  

Bank of New York Mellon

     105,000       5,309,850  

Berkshire Hathaway, Cl B *

     26,200       8,161,824  

Brighthouse Financial *

     18,208       1,024,564  

Capital One Financial

     65,000       7,735,000  

Charles Schwab

     299,938       23,221,200  

First Republic Bank

     56,134       7,908,158  

Goldman Sachs Group

     14,000       5,121,340  

Hamilton Lane, Cl A

     20,481       1,594,651  

Lincoln National

     9,000       318,870  

Markel *

     7,916       11,153,486  

MetLife

     102,500       7,484,550  

Moody’s

     26,784       8,644,536  

S&P Global

     8,226       3,084,400  

State Street

     44,000       4,018,520  

Truist Financial

     36,000       1,778,040  

UBS Group

     87,500       1,877,750  

US Bancorp

     81,980       4,082,604  

Wells Fargo

     217,000       10,170,790  
    

 

 

 

       122,853,604  
    

 

 

 

HEALTH CARE — 10.5%

    

Align Technology *

     3,608       973,186  

Alnylam Pharmaceuticals *

     18,000       4,075,200  

BioMarin Pharmaceutical *

     37,000       4,267,950  

Boston Scientific *

     82,543       3,817,614  

Cigna

     32,000       10,133,440  

CVS Health

     45,000       3,969,900  

Elanco Animal Health *

     145,000       1,990,850  

Elevance Health

     12,759       6,379,372  

Gilead Sciences

     65,000       5,456,100  

ICON *

     19,627       4,528,145  

IDEXX Laboratories *

     2,827       1,358,373  

Incyte *

     41,000       3,490,740  

Medtronic

     94,539       7,911,969  

Mettler-Toledo International *

     5,213       7,991,112  

Omnicell *

     15,448       856,901  

Seagen *

     8,837       1,232,585  

Zimmer Biomet Holdings

     15,000       1,910,100  
 


Catholic Responsible Investments  

Multi-Style US Equity Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

HEALTH CARE— continued

    

Zoetis, Cl A

     29,676       $ 4,911,081   
    

 

 

 

       75,254,618  
    

 

 

 

INDUSTRIALS — 8.9%

    

AMETEK

     43,154       6,253,878  

Carrier Global

     70,500       3,209,865  

Equifax

     11,846       2,632,181  

FedEx

     34,000       6,591,240  

Fortive

     82,473       5,610,638  

GXO Logistics *

     128,480       6,723,358  

Hexcel

     17,659       1,246,372  

Johnson Controls International

     124,000       8,626,680  

Mercury Systems *

     28,909       1,445,016  

Otis Worldwide

     20,000       1,644,600  

TransDigm Group

     16,275       11,681,381  

TransUnion

     71,002       5,094,394  

Uber Technologies *

     97,364       3,011,469  
    

 

 

 

       63,771,072  
    

 

 

 

INFORMATION TECHNOLOGY — 31.7%

 

Adobe *

     23,989       8,884,086  

Advanced Micro Devices *

     14,797       1,111,995  

Amphenol, Cl A

     75,633       6,033,244  

Apple

     200,413       28,917,592  

ASML Holding, Cl G

     3,900       2,577,276  

Atlassian, Cl A *

     12,589       2,034,634  

Autodesk *

     9,053       1,947,844  

Block, Cl A *

     31,816       2,600,004  

CDW

     8,269       1,620,972  

Ceridian HCM Holding *

     17,456       1,261,720  

Cisco Systems

     88,000       4,282,960  

Cognizant Technology Solutions, Cl A

     47,000       3,137,250  

Coherent *

     29,500       1,280,300  

Dell Technologies, Cl C

     48,000       1,949,760  

Fidelity National Information Services

     66,458       4,987,008  

Fiserv *

     67,300       7,179,564  

FleetCor Technologies *

     21,510       4,491,503  

Gartner *

     5,255       1,776,926  

Global Payments

     39,050       4,401,716  

Hewlett Packard Enterprise

     155,000       2,500,150  

HP

     115,000       3,351,100  

Intuit

     10,432       4,409,293  

Juniper Networks

     84,000       2,713,200  

KLA

     1,826       716,668  

Mastercard, Cl A

     22,498       8,337,759  

COMMON STOCK — continued

 

           Shares                   Value          

INFORMATION TECHNOLOGY— continued

 

Microchip Technology

     240,620       $ 18,676,924   

Microsoft

     155,374       38,503,231  

MongoDB, Cl A *

     13,986       2,995,941  

NVIDIA

     34,501       6,740,460  

ON Semiconductor *

     12,608       926,058  

Palo Alto Networks *

     3,809       604,260  

Roper Technologies

     11,518       4,915,307  

Salesforce *

     38,060       6,392,938  

SAP ADR

     61,772       7,321,835  

ServiceNow *

     6,477       2,947,877  

Shift4 Payments, Cl A *

     11,656       746,450  

Synaptics *

     6,590       823,948  

TE Connectivity

     25,000       3,178,750  

VeriSign *

     13,065       2,848,823  

Visa, Cl A

     50,914       11,720,912  

VMware, Cl A *

     48,501       5,939,897  
    

 

 

 

       227,788,135  
    

 

 

 

MATERIALS — 3.0%

    

Air Products and Chemicals

     29,245       9,373,315  

Celanese, Cl A

     16,500       2,032,800  

Linde

     18,376       6,081,354  

LyondellBasell Industries, Cl A

     33,000       3,190,770  
    

 

 

 

       20,678,239  
    

 

 

 

REAL ESTATE — 2.1%

    

American Tower ‡

     54,458       12,165,373  

Equinix ‡

     3,664       2,704,508  
    

 

 

 

       14,869,881  
    

 

 

 

Total Common Stock
(Cost $680,961,766)

       695,260,156  
    

 

 

 

WARRANTS — 0.0%

 

     Number Of
Warrants
  Value

Occidental Petroleum,
Expires 8/6/2027

     7,000      $ 300,440  

Total Warrants
(Cost $90,720)

       300,440  
    

 

 

 

Total Investments in Securities — 97.1%
(Cost $681,052,486)

 

   $ 695,560,596  
    

 

 

 

    

 

 

 

 


Catholic Responsible Investments  

Multi-Style US Equity Fund

January 31, 2023

(Unaudited)

 

Percentages are based on Net Assets of $716,116,303.

 

*

Non-income producing security.

Real Estate Investment Trust.

ADR — American Depositary Receipt

Cl — Class

For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund’s most recent financial statements.

CRI-QH-001-0300

        

 


Catholic Responsible Investments  

International Equity Fund

January 31, 2023

(Unaudited)

 

SCHEDULE OF INVESTMENTS

 

COMMON STOCK — 97.1%

 

           Shares                   Value           

AUSTRALIA — 0.4%

    

Rio Tinto

     69,054       $ 5,399,352   
    

 

 

 

BELGIUM — 0.4%

    

Anheuser-Busch InBev

     87,299       5,264,178  
    

 

 

 

BRAZIL — 1.0%

    

Arezzo Industria e Comercio

     45,800       789,803  

Banco BTG Pactual

     280,700       1,190,843  

Banco do Brasil

     279,800       2,243,808  

Gerdau ADR

     164,995       1,072,467  

Localiza Rent a Car

     176,070       2,047,917  

Marfrig Global Foods

     302,900       459,872  

MercadoLibre *

     847       1,000,891  

Minerva

     240,400       662,918  

Movida Participacoes

     81,000       119,795  

Petro Rio *

     87,100       721,407  

Petroleo Brasileiro ADR, Cl A

     95,647       987,077  

SLC Agricola

     42,260       425,634  

Suzano

     59,300       541,002  

Vamos Locacao de Caminhoes Maquinas e Equipamentos

     307,500       876,337  
    

 

 

 

       13,139,771  
    

 

 

 

CANADA — 5.5%

    

Alimentation Couche-Tard

     219,605       9,999,775  

Canadian National Railway

     104,808       12,440,133  

Canadian Pacific Railway

     215,728       17,020,939  

Canadian Pacific Railway

     73,500       5,784,817  

Dollarama

     32,700       1,949,967  

Franco-Nevada

     29,400       4,300,220  

Gildan Activewear

     99,900       3,123,489  

Northland Power

     66,200       1,773,139  

Nutrien

     32,000       2,641,346  

TFI International

     15,800       1,754,713  

Thomson Reuters

     71,135       8,438,002  
    

 

 

 

       69,226,540  
    

 

 

 

CHINA — 6.8%

    

360 DigiTech ADR

     73,922       1,783,738  

Alibaba Group Holding ADR *

     46,690       5,145,238  

Anhui Conch Cement, Cl H

     315,141       1,196,806  

Autohome ADR

     7,010       244,369  

Bank of China, Cl H

     2,598,000       989,295  

Beijing New Building Materials, Cl A

     174,400       739,461  

Bosideng International Holdings

     2,436,000       1,357,977  

BYD, Cl H

     42,500       1,346,317  

COMMON STOCK — continued

 

           Shares                   Value          

CHINA — continued

    

Chengxin Lithium Group, Cl A

     51,300      $ 326,286  

China Construction Bank, Cl H

     6,114,921       3,959,445  

China Everbright Environment Group

     643,000       286,027  

China Galaxy Securities, Cl H

     1,613,500        870,052   

China Petroleum & Chemical, Cl H

     2,892,000       1,562,110  

China Railway Group, Cl H

     1,865,000       1,017,759  

China State Construction Engineering, Cl A

     1,291,586       1,061,429  

CITIC

     833,000       975,077  

COSCO SHIPPING Holdings, Cl H

     1,206,700       1,252,102  

Daqo New Energy ADR *

     20,422       929,405  

Dongfeng Motor Group, Cl H

     754,000       449,696  

FinVolution Group ADR

     88,120       483,779  

Ganfeng Lithium Group, Cl H (A)

     107,440       981,595  

Greentown China Holdings

     213,500       314,883  

Guangzhou Automobile Group, Cl H

     436,000       313,776  

Haier Smart Home, Cl H

     650,400       2,399,550  

Hangzhou Binjiang Real Estate Group, Cl A

     374,900       591,001  

Hello Group ADR

     24,574       251,884  

Industrial & Commercial Bank of China, Cl H

     2,625,000       1,404,628  

JD.com, Cl A

     129,500       3,846,568  

JD.com ADR

     35,911       2,137,782  

Jiangxi Copper, Cl H

     456,000       785,517  

Kweichow Moutai, Cl A

     5,300       1,453,102  

Lenovo Group

     896,000       718,892  

Li Ning

     1,213,322       11,998,472  

Meituan, Cl B *

     73,669       1,647,490  

NARI Technology, Cl A

     257,659       1,009,685  

PetroChina, Cl H

     3,898,000       2,085,928  

PICC Property & Casualty, Cl H .

     1,550,000       1,457,720  

Pinduoduo ADR *

     59,547       5,834,415  

Ping An Insurance Group of China, Cl H

     161,000       1,251,015  

Pop Mart International Group (A)

     148,600       482,000  

Sinopharm Group, Cl H

     510,800       1,252,382  

Tencent Holdings

     203,894       9,938,830  

Tencent Music Entertainment Group ADR *

     145,406       1,219,956  

Tongwei, Cl A

     176,100       1,104,590  

Vipshop Holdings ADR *

     95,005       1,469,727  

Want Want China Holdings

     1,029,000       670,410  
 


Catholic Responsible Investments  

International Equity Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

CHINA — continued

    

Yum China Holdings

     46,170       $ 2,844,534   

Zhejiang Expressway, Cl H

     608,000       525,200  
    

 

 

 

       85,967,900  
    

 

 

 

DENMARK — 1.0%

    

Coloplast, Cl B

     14,168       1,708,793  

DSV

     35,579       5,879,738  

GN Store Nord

     24,425       601,607  

Pandora

     15,848       1,318,309  

Tryg

     66,062       1,514,426  

Vestas Wind Systems

     62,843       1,836,980  
    

 

 

 

       12,859,853  
    

 

 

 

FINLAND — 0.2%

    

Nordea Bank Abp

     165,072       1,927,507  
    

 

 

 

FRANCE — 11.3%

    

Air Liquide

     80,589       12,818,781  

Alstom

     390,604       11,602,900  

AXA

     316,032       9,849,892  

BNP Paribas

     45,829       3,144,429  

Capgemini

     21,554       4,086,490  

Carrefour

     275,338       5,231,885  

Danone

     283,743       15,544,485  

Dassault Systemes

     55,627       2,066,720  

Hermes International

     3,047       5,696,704  

Ipsen

     14,690       1,541,400  

Kering

     1,378       858,941  

L’Oreal

     16,549       6,826,345  

LVMH Moet Hennessy Louis Vuitton

     29,598       25,812,125  

Pernod Ricard

     70,711       14,624,457  

Publicis Groupe

     22,321       1,572,919  

Remy Cointreau

     7,976       1,500,271  

Rexel

     3,488       77,085  

Teleperformance

     10,915       3,031,151  

TotalEnergies

     66,582       4,111,978  

Valeo

     111,042       2,424,336  

Vinci

     95,099       10,734,299  
    

 

 

 

       143,157,593  
    

 

 

 

GERMANY — 4.4%

    

Bayerische Motoren Werke

     28,766       2,927,268  

Carl Zeiss Meditec

     18,408       2,653,917  

CompuGroup Medical & KgaA

     19,138       896,036  

Deutsche Boerse

     15,975       2,855,704  

Deutsche Telekom

     592,375       13,184,018  

Infineon Technologies

     93,175       3,351,871  

COMMON STOCK — continued

 

           Shares                   Value          

GERMANY — continued

    

Muenchener Rueckversicherungs- Gesellschaft in Muenchen

     9,799       $ 3,535,883   

Nemetschek

     18,299       977,352  

RWE

     168,512       7,494,361  

SAP

     129,578       15,344,603  

Siemens Healthineers

     46,628       2,498,061  
    

 

 

 

       55,719,074  
    

 

 

 

GREECE — 0.0%

    

FF Group *(B)

     8,921       4,651  
    

 

 

 

HONG KONG — 2.3%

    

AIA Group

     887,139       10,034,783  

China Lumena New Materials *(B)

     15,350        

Prudential

     1,106,869       18,364,641  

Skyworth Group

     700,000       448,589  

WH Group

     998,034       614,858  
    

 

 

 

       29,462,871  
    

 

 

 

INDIA — 3.1%

    

APL Apollo Tubes

     102,688       1,439,224  

Axis Bank

     86,373       923,131  

Bank of Baroda

     607,200       1,252,007  

GAIL India

     655,864       764,972  

HCL Technologies

     82,794       1,141,697  

HDFC Bank ADR

     14,357       967,088  

Hindalco Industries

     176,422       1,018,349  

ICICI Bank ADR

     776,991       16,184,722  

Info Edge India

     6,459       291,488  

Infosys ADR

     118,873       2,234,812  

Kotak Mahindra Bank

     71,634       1,520,882  

Mahindra & Mahindra

     63,829       1,078,938  

MakeMyTrip *

     50,412       1,460,940  

Oil & Natural Gas

     1,057,204       1,883,787  

Page Industries

     986       483,253  

REC

     615,254       918,099  

Shriram Finance

     37,078       584,930  

State Bank of India

     101,994       692,645  

Trent

     33,470       490,857  

UPL

     112,388       1,042,397  

Varun Beverages

     33,176       465,937  

Vedanta

     217,696       889,495  

WNS Holdings ADR *

     15,405       1,305,266  
    

 

 

 

       39,034,916  
    

 

 

 

 


Catholic Responsible Investments  

International Equity Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

INDONESIA — 0.9%

    

Astra International

     2,875,900       $ 1,155,399   

Bank Central Asia

     3,382,900       1,919,826  

Bank Mandiri Persero

     1,344,600       895,956  

Bank Negara Indonesia Persero .

     3,152,600       1,932,515  

Bank Rakyat Indonesia Persero

     12,320,800       3,778,394  

Indofood Sukses Makmur

     1,014,200       455,781  

Perusahaan Gas Negara

     6,125,300       634,037  
    

 

 

 

       10,771,908  
    

 

 

 

IRELAND — 1.1%

    

Bank of Ireland Group

     261,094       2,786,658  

CRH

     62,925       2,937,034  

Ryanair Holdings ADR *

     97,485       8,825,317  
    

 

 

 

       14,549,009  
    

 

 

 

ISRAEL — 0.2%

    

Nice ADR *

     12,385       2,569,021  
    

 

 

 

ITALY — 4.4%

    

Amplifon

     47,150       1,300,644  

Enel

     2,314,381       13,613,533  

Ferrari

     74,262       18,538,076  

FinecoBank Banca Fineco

     81,184       1,455,926  

UniCredit

     1,042,643       20,343,348  
    

 

 

 

       55,251,527  
    

 

 

 

JAPAN — 8.1%

    

Daifuku

     22,500       1,240,077  

FANUC

     89,200       15,775,264  

GMO Payment Gateway

     10,800       1,000,268  

Harmonic Drive Systems

     22,900       772,005  

Hoya

     42,100       4,634,091  

Keyence

     36,515       16,825,884  

Lasertec

     47,855       9,068,408  

M3

     39,500       1,081,042  

MatsukiyoCocokara

     24,500       1,223,295  

Mitsubishi Electric

     178,200       1,965,711  

MS&AD Insurance Group Holdings

     46,300       1,486,383  

Murata Manufacturing

     147,400       8,430,282  

Nexon

     65,800       1,588,070  

Nintendo

     110,400       4,791,119  

Nippon Telegraph & Telephone

     122,300       3,670,613  

Nomura Research Institute

     61,800       1,485,038  

Obic

     9,600       1,540,556  

Renesas Electronics *

     186,500       1,920,128  

Seven & i Holdings

     50,500       2,386,452  

COMMON STOCK — continued

 

           Shares                   Value          

JAPAN — continued

    

Shimadzu

     74,900       $ 2,303,881   

Shimano

     12,300       2,195,551  

Shin-Etsu Chemical

     22,600       3,334,838  

Sumitomo Mitsui Financial Group

     143,200       6,229,372  

Sundrug

     36,000       1,019,500  

TIS

     44,000       1,269,926  

Tokyo Electron

     12,200       4,268,132  

TOPPAN INC

     99,700       1,607,866  
    

 

 

 

       103,113,752  
    

 

 

 

LUXEMBOURG — 0.1%

    

ArcelorMittal

     53,591       1,660,864  
    

 

 

 

MEXICO — 0.7%

    

Alfa, Cl A

     441,900       320,377  

Arca Continental

     62,400       551,311  

Grupo Aeroportuario del Pacifico, Cl B

     41,700       719,392  

Grupo Bimbo, Ser A

     94,800       471,428  

Grupo Financiero Banorte, Cl O

     313,900       2,604,702  

Wal-Mart de Mexico

     1,143,066       4,471,942  
    

 

 

 

       9,139,152  
    

 

 

 

NETHERLANDS — 6.1%

    

Adyen *

     7,385       11,154,112  

Akzo Nobel

     138,958       10,339,792  

ASM International

     37,469       12,659,384  

ASML Holding, Cl G

     18,261       12,067,599  

ASML Holding

     18,699       12,359,601  

BE Semiconductor Industries

     18,372       1,312,749  

ING Groep

     561,162       8,117,533  

Koninklijke Philips

     478,566       8,254,278  

Shell

     52,494       1,538,923  
    

 

 

 

       77,803,971  
    

 

 

 

NEW ZEALAND — 0.1%

    

Fisher & Paykel Healthcare

     78,823       1,293,279  
    

 

 

 

NORWAY — 0.2%

    

Equinor

     68,443       2,084,526  

Nordic Semiconductor *

     50,551       805,552  
    

 

 

 

       2,890,078  
    

 

 

 

POLAND — 0.2%

    

Dino Polska *

     18,997       1,717,618  

Jastrzebska Spolka Weglowa *

     17,060       265,852  
    

 

 

 

       1,983,470  
    

 

 

 

 


Catholic Responsible Investments  

International Equity Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

QATAR — 0.1%

    

Industries Qatar QSC

     77,541       $ 300,425   

Ooredoo QPSC

     177,388       435,869  
    

 

 

 

       736,294  
    

 

 

 

RUSSIA — –%

    

Gazprom PJSC (B)

     597,226        

LUKOIL PJSC ADR *(B)

     20,777        

Sberbank of Russia PJSC ADR *(B)

     55,964        
    

 

 

 

        
    

 

 

 

SAUDI ARABIA — 0.2%

    

Bawan

     30,224       261,908  

Etihad Etisalat

     38,334       362,149  

SABIC Agri-Nutrients

     21,512       788,741  

Sahara International Petrochemical

     25,837       257,060  

Saudi Electricity

     112,764       694,849  
    

 

 

 

       2,364,707  
    

 

 

 

SINGAPORE — 0.4%

    

DBS Group Holdings

     186,700       5,109,011  
    

 

 

 

SOUTH AFRICA — 0.4%

    

Anglo American

     37,407       1,611,093  

Sasol

     30,966       561,666  

Sibanye Stillwater

     527,428       1,391,925  

Truworths International

     150,154       571,321  

Woolworths Holdings

     113,632       492,105  
    

 

 

 

       4,628,110  
    

 

 

 

SOUTH KOREA — 2.3%

    

BH

     11,774       197,782  

Daeduck Electronics

     12,086       212,241  

DB Insurance *

     5,010       266,989  

DL E&C *

     7,849       243,871  

Fila Holdings

     9,024       285,023  

GS Holdings

     17,023       611,685  

Hana Financial Group

     43,185       1,715,621  

Hyosung TNC *

     1,600       541,217  

Hyundai Electric & Energy System

     14,755       482,128  

Hyundai Marine & Fire Insurance

     12,211       307,430  

KB Financial Group ADR

     26,332       1,206,795  

Kia

     64,910       3,536,424  

Korea Gas *

     8,914       242,095  

LG Innotek

     3,348       745,898  

LS *

     7,973       458,297  

COMMON STOCK — continued

 

           Shares                   Value          

SOUTH KOREA — continued

    

LX INTERNATIONAL CORP *

     27,400       $ 784,367   

LX Semicon

     5,846       384,409  

Neowiz *

     16,429       563,449  

OCI

     6,872       504,683  

POSCO Holdings ADR

     14,085       872,002  

Posco International

     46,677       893,750  

Samsung Electronics

     122,077       6,080,686  

Samsung Electronics GDR

     3,175       3,934,979  

Samsung Securities

     7,164       195,016  

SD Biosensor

     18,396       429,591  

Seegene

     6,289       140,370  

SIMMTECH

     16,487       408,878  

SK Hynix

     26,029       1,883,039  

Woori Financial Group

     94,384       984,502  

Youngone *

     18,251       649,062  
    

 

 

 

       29,762,279  
    

 

 

 

SPAIN — 3.0%

    

Aena SME *

     55,808       8,376,589  

Amadeus IT Group *

     184,970       11,642,023  

Bankinter

     190,717       1,374,629  

CaixaBank

     243,015       1,077,154  

Iberdrola (A)

     672,156       7,877,584  

Industria de Diseno Textil

     241,754       7,540,104  
    

 

 

 

       37,888,083  
    

 

 

 

SWEDEN — 1.5%

    

Atlas Copco, Cl A

     854,880       10,132,240  

Boliden

     32,250       1,445,597  

Nibe Industrier, Cl B

     229,839       2,480,348  

Swedbank

     264,441       5,080,973  
    

 

 

 

       19,139,158  
    

 

 

 

SWITZERLAND — 3.0%

    

Alcon

     234,779       17,653,417  

Sika

     47,395       13,419,502  

Straumann Holding

     12,550       1,637,447  

Swatch Group

     2,471       891,507  

Zurich Insurance Group

     9,600       4,730,684  
    

 

 

 

       38,332,557  
    

 

 

 

TAIWAN — 2.8%

    

Asia Vital Components

     127,000       452,675  

Evergreen Marine Taiwan

     63,400       323,894  

Fulgent Sun International Holding

     115,000       510,401  

Hon Hai Precision Industry

     697,000       2,324,310  

Lite-On Technology

     302,000       671,074  
 


Catholic Responsible Investments  

International Equity Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

TAIWAN — continued

    

Makalot Industrial

     61,000       $ 445,339   

MediaTek

     69,000       1,667,107  

Novatek Microelectronics

     112,000       1,333,682  

Radiant Opto-Electronics

     68,000       233,104  

Sitronix Technology

     65,000       462,468  

Taiwan Semiconductor Manufacturing

     44,000       776,459  

Taiwan Semiconductor Manufacturing ADR

     246,111       22,821,873  

Unimicron Technology

     150,000       690,599  

United Microelectronics ADR (A) .

     135,522       1,101,794  

Yang Ming Marine Transport

     387,000       812,839  

Zhen Ding Technology Holding

     120,000       443,116  
    

 

 

 

       35,070,734  
    

 

 

 

THAILAND — 0.4%

    

AP Thailand

     1,520,500       549,672  

Banpu

     1,463,000       516,355  

Kasikornbank

     240,000       1,058,506  

Kiatnakin Phatra Bank

     306,300       635,547  

Krung Thai Bank

     1,588,300       845,017  

PTT Exploration & Production

     153,600       801,804  

Thai Union Group, Cl F

     800,700       388,770  
    

 

 

 

       4,795,671  
    

 

 

 

TURKEY — 0.1%

    

KOC Holding

     177,721       724,534  

Turk Hava Yollari AO *

     122,531       898,293  
    

 

 

 

       1,622,827  
    

 

 

 

UNITED ARAB EMIRATES — 0.2%

    

Abu Dhabi Ports PJSC *

     295,831       476,737  

Dubai Islamic Bank PJSC

     597,270       905,439  

Emaar Properties PJSC

     150,762       229,088  

Fertiglobe

     372,194       406,022  
    

 

 

 

       2,017,286  
    

 

 

 

UNITED KINGDOM — 10.3%

    

3i Group

     250,380       4,877,927  

Ashtead Group

     37,822       2,487,759  

Barclays

     5,078,931       11,658,857  

Berkeley Group Holdings

     48,278       2,468,701  

BP

     1,002,164       6,044,746  

Burberry Group

     77,230       2,349,163  

CNH Industrial

     138,782       2,452,752  

Compass Group

     531,646       12,681,971  

Dechra Pharmaceuticals

     35,893       1,271,183  

Diageo

     98,100       4,283,451  

COMMON STOCK — continued

 

           Shares                   Value          

UNITED KINGDOM — continued

 

Experian

     385,899       $ 14,092,133   

Halma

     47,506       1,263,009  

Howden Joinery Group

     125,092       1,065,870  

JD Sports Fashion

     1,562,940       3,145,831  

Linde

     20,150       6,659,256  

Lloyds Banking Group

     2,840,118       1,845,717  

London Stock Exchange Group .

     22,714       2,076,406  

RELX

     175,745       5,223,796  

RELX

     170,496       5,058,076  

SSE

     71,399       1,521,829  

SSP Group *

     3,142,258       10,045,883  

Tate & Lyle

     805,140       7,486,893  

Taylor Wimpey

     1,397,662       2,025,027  

Unilever

     270,170       13,731,924  

WH Smith

     265,019       5,226,063  
    

 

 

 

       131,044,223  
    

 

 

 

UNITED STATES — 13.9%

    

Accenture, Cl A

     44,276       12,355,218  

Aon, Cl A

     46,540       14,831,367  

Atlassian, Cl A *

     74,920       12,108,571  

CSL

     61,995       13,068,065  

EPAM Systems *

     32,805       10,912,583  

Ferguson

     61,260       8,619,000  

ICON *

     68,632       15,834,089  

JBS

     233,000       921,667  

Lululemon Athletica *

     26,725       8,201,368  

Mettler-Toledo International *

     6,337       9,714,114  

Nestle

     190,561       23,167,922  

ResMed

     34,486       7,875,568  

Schneider Electric

     122,016       19,772,827  

STERIS

     49,664       10,256,112  

Tenaris

     97,471       1,725,508  

Waste Connections

     55,580       7,386,582  
    

 

 

 

       176,750,561  
    

 

 

 

Total Common Stock

 

(Cost $1,060,832,769)

       1,231,451,738  
    

 

 

 

 


Catholic Responsible Investments  

International Equity Fund

January 31, 2023

(Unaudited)

 

RIGHTS — 0.0%

 

     Number of
      Rights      
            Value          

Iberdrola (A)(B)(C)

     275,921       $ 56,337   

Localiza Rent a Car,
Expires 2/7/2023

     769       2,562  

Thai Union Group (B)(C)

     11,592        
    

 

 

 

Total Rights
(Cost $–)

       58,899  
    

 

 

 

SHORT-TERM INVESTMENT — 0.2%

 

     Face
Amount
  Value

State Street Institutional US Government Money Market Fund, Premier Class, 2.960%, (D)

    $ 1,910,658      $ 1,910,658  
    

 

 

 

Total Short-Term Investments
(Cost $1,910,658)

       1,910,658  
    

 

 

 

Total Investments in Securities— 97.3%
(Cost $1,062,743,427)

 

   $ 1,233,421,295  
    

 

 

 

    

 

 

 

Percentages are based on Net Assets of $1,267,265,702.

 

*

Non-income producing security.

(A)

This security or a partial position of this security is on loan at January 31, 2023. The total market value of securities on loan at January 31, 2023 was $1,827,702.

(B)

Level 3 security in accordance with fair value hierarchy.

(C)

Expiration date not available.

(D)

This security was purchased with cash collateral received from securities lending. The total was of such securities as of January 31, 2023, was $1,910,658.

ADR — American Depositary Receipt

Cl — Class

GDR — Global Depositary Receipt

PJSC — Public Joint-Stock Company

QPSC — Qatari Joint-Stock Company

For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund’s most recent financial statements.

CRI-QH-001-0300

        

 


Catholic Responsible Investments  

International Small-Cap Fund

January 31, 2023

(Unaudited)

 

SCHEDULE OF INVESTMENTS

 

COMMON STOCK — 96.1%

 

           Shares                   Value          

AUSTRALIA — 6.6%

 

Accent Group

      121,468       $ 188,571   

Aeris Resources *

     70,266        

Allkem *

     4,776       44,265  

ALS

     125,114       1,158,834  

Alumina

     556,607       618,152  

Charter Hall Group ‡

     21,327       209,642  

Eclipx Group *

     50,421       72,706  

Emeco Holdings

     85,896       45,963  

Grange Resources

     339,742       244,739  

Ingenia Communities Group ‡

     34,643       113,895  

JB Hi-Fi

     9,435       323,849  

Lovisa Holdings

     7,962       149,302  

Myer Holdings

     172,156       118,995  

Orora

     340,404       719,049  

Perenti

     241,945       214,607  

Pilbara Minerals *

     74,509       253,043  

Ridley

     160,752       219,481  

Technology One

     9,063       93,547  

West African Resources *

     273,822       216,618  

Yancoal Australia

     37,052       154,013  
    

 

 

 

       5,159,271  
    

 

 

 

AUSTRIA — 2.4%

 

ANDRITZ

     4,274       255,332  

AT&S Austria Technologie & Systemtechnik

     3,828       131,212  

Palfinger

     18,840       569,977  

Schoeller-Bleckmann Oilfield Equipment

     9,819       719,528  

Strabag

     2,116       89,324  

Telekom Austria, Cl A

     14,187       95,264  
    

 

 

 

       1,860,637  
    

 

 

 

BELGIUM — 0.4%

 

Bekaert

     5,235       220,614  

Telenet Group Holding

     4,126       71,048  
    

 

 

 

       291,662  
    

 

 

 

BRAZIL — 0.9%

 

Cia de Saneamento do Parana

     50,200       170,474  

Cury Construtora e Incorporadora

     47,900       126,631  

Jalles Machado

     52,800       76,222  

Mills Estruturas e Servicos de Engenharia

     96,300       199,354  

Petroreconcavo

     13,100       81,433  

COMMON STOCK — continued

 

           Shares                   Value          

BRAZIL — continued

 

Portobello

      58,500       $ 94,332   
    

 

 

 

       748,446  
    

 

 

 

CANADA — 3.0%

 

Absolute Software

     3,722       43,235  

AGF Management, Cl B

     9,224       58,551  

Aritzia *

     1,358       48,841  

Artis Real Estate Investment Trust ‡

     20,277       144,363  

Boardwalk Real Estate Investment Trust ‡ (A)

     5,039       212,308  

Bombardier, Cl B *

     2,396       115,405  

Chemtrade Logistics Income Fund (A)

     35,041       265,759  

Crescent Point Energy

     12,632       94,100  

Element Fleet Management

     13,501       190,219  

Enerplus

     5,088       90,027  

goeasy

     569       52,911  

H&R Real Estate Investment Trust ‡

     10,275       100,182  

iA Financial

     1,977       121,685  

Interfor *

     1,938       38,648  

MTY Food Group

     988       50,964  

Parex Resources

     14,144       240,088  

Pason Systems

     13,794       163,128  

Pet Valu Holdings

     2,494       74,370  

Stelco Holdings

     2,828       109,720  

Tricon Residential

     16,720       144,727  

Yangarra Resources *

     12,333       22,460  
    

 

 

 

       2,381,691  
    

 

 

 

CHINA — 3.0%

 

Bairong, Cl B *

     91,000       138,734  

Beijing Enterprises Holdings

     86,000       292,137  

Chaoju Eye Care Holdings

     81,000       57,905  

China BlueChemical

     238,000       65,449  

China Taiping Insurance Holdings

     47,000       65,118  

China World Trade Center, Cl A

     77,100       193,995  

E-Commodities Holdings, Cl New Shares

     224,000       47,152  

Excellence Commercial Property & Facilities Management Group

     169,000       85,224  

Fufeng Group

     442,000       310,281  

G-bits Network Technology Xiamen, Cl A

     600       31,480  
 


Catholic Responsible Investments  

International Small-Cap Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

CHINA — continued

 

Gemdale Properties & Investment

      1,930,000       $ 167,369   

HUTCHMED China ADR *

     2,426       43,716  

ISDN Holdings

     185,100       85,202  

Jiangsu Bioperfectus Technologies, Cl A

     1,683       23,050  

Jiutian Chemical Group

     2,233,700       140,143  

Kerry Logistics Network

     167,023       326,265  

Morimatsu International Holdings *

     27,000       39,396  

NetDragon Websoft Holdings

     33,500       77,841  

Newborn Town *

     160,000       40,899  

Seazen Group

     282,000        

Theme International Holdings * .

     500,000       65,206  

West China Cement

     286,000       35,074  
    

 

 

 

       2,331,636  
    

 

 

 

DENMARK — 1.7%

 

Bavarian Nordic *

     1,273       40,724  

D

     6,510       350,560  

Dfds

     19,917       750,001  

Per Aarsleff Holding

     1,565       64,886  

Solar A/S, Cl B, Cl B

     1,707       157,550  
    

 

 

 

       1,363,721  
    

 

 

 

EGYPT — 0.1%

 

Centamin

     33,387       45,704  
    

 

 

 

FINLAND — 0.1%

 

Uponor

     3,742       66,576  
    

 

 

 

FRANCE — 6.7%

 

Biosynex

     7,736       101,942  

Coface

     6,660       93,032  

Elis

     2,228       39,091  

Genfit *

     11,679       49,539  

IPSOS

     14,966       968,927  

LISI

     22,864       508,156  

Mersen

     1,786       79,204  

Rothschild

     25,714       1,085,007  

SCOR

     8,434       207,959  

Societe BIC

     3,748       271,851  

Sopra Steria Group

     8,110       1,347,512  

Technip Energies

     1,896       36,721  

Television Francaise 1

     6,011       48,027  

Verallia

     8,871       327,201  

Virbac

     418       126,724  
    

 

 

 

       5,290,893  
    

 

 

 

COMMON STOCK — continued

 

           Shares                   Value           

GEORGIA — 0.1%

 

TBC Bank Group

      3,282       $ 96,163   
    

 

 

 

GERMANY — 2.2%

 

Atoss Software

     877       155,009  

Aurubis

     6,690       706,796  

Cliq Digital

     5,410       172,776  

Eckert & Ziegler Strahlen- und Medizintechnik

     1,113       64,698  

HUGO BOSS

     853       57,869  

Immatics *

     14,947       121,220  

Krones

     1,449       169,019  

METRO

     9,439       92,912  

Nemetschek

     1,154       61,635  

Sirius Real Estate

     50,678       52,842  

Synlab

     6,140       67,383  
    

 

 

 

       1,722,159  
    

 

 

 

GREECE — 0.1%

 

Danaos

     1,010       59,772  
    

 

 

 

HONG KONG — 1.1%

 

Cowell e Holdings

     26,000       51,113  

Tam Jai International

     172,000       58,715  

United Laboratories International Holdings

     162,000       107,287  

Vitasoy International Holdings

     288,000       612,042  
    

 

 

 

       829,157  
    

 

 

 

INDIA — 0.9%

 

Azure Power Global *

     19,649       79,775  

MakeMyTrip *

     15,490       448,900  

WNS Holdings ADR *

     2,536       214,875  
    

 

 

 

       743,550  
    

 

 

 

INDONESIA — 0.6%

 

Ciputra Development

     426,400       27,766  

Delta Dunia Makmur

     1,402,000       27,365  

Dharma Satya Nusantara

     3,918,700       178,205  

First Pacific

     322,000       112,329  

Industri Jamu Dan Farmasi Sido Muncul

     1,385,900       69,803  

Link Net

     204,000       28,987  
    

 

 

 

       444,455  
    

 

 

 

IRELAND — 0.4%

 

AIB Group

     32,907       138,089  

Glenveagh Properties *

     164,175       168,033  
    

 

 

 

       306,122  
    

 

 

 

 


Catholic Responsible Investments  

International Small-Cap Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

ISRAEL — 1.0%

 

Africa Israel Residences

      3,736       $ 175,236   

AudioCodes

     14,710       284,617  

Aura Investments

     106,365       182,297  

Bezeq The Israeli Telecommunication

     67,297       111,403  
    

 

 

 

       753,553  
    

 

 

 

ITALY — 2.8%

 

Banco BPM

     64,878       291,706  

BPER Banca

     47,605       130,643  

Buzzi Unicem

     5,204       117,066  

Carel Industries

     1,276       31,530  

De’ Longhi

     28,006       645,838  

doValue

     67,496       549,270  

El.En.

     16,071       250,450  

Orsero

     4,508       74,770  

Stevanato Group

     3,272       64,393  

Zignago Vetro

     2,273       38,759  
    

 

 

 

       2,194,425  
    

 

 

 

JAPAN — 24.3%

 

77 Bank

     3,900       69,716  

Advance Residence Investment ‡

     171       418,098  

Aichi Financial Group

     5,723       102,309  

Ain Holdings

     11,636       503,597  

Aisan Industry

     5,600       32,510  

Aoyama Trading

     4,800       33,590  

Ariake Japan

     10,478       353,756  

Asics

     50,300       1,198,271  

ASKA Pharmaceutical Holdings

     3,500       33,722  

Bell System24 Holdings

     7,600       87,566  

Charm Care

     40,100       361,134  

CMIC Holdings

     2,500       33,900  

Cosmo Energy Holdings

     1,500       42,105  

Daiken

     8,400       142,062  

Daiseki

     8,520       287,379  

Daishinku

     11,100       63,594  

DMG Mori

     56,200       859,204  

Electric Power Development

     11,300       182,534  

FIDEA Holdings

     3,100       35,439  

Fuji Seal International

     35,900       467,009  

Goldcrest

     9,500       119,290  

Greens

     4,100       37,581  

H.U. Group Holdings

     10,600       225,193  

Honeys Holdings

     3,600       40,676  

Horiba

     12,300       566,971  

Hulic Reit ‡

     36       43,069  

COMMON STOCK — continued

 

           Shares                   Value          

JAPAN — continued

 

IDOM

      27,700       $ 178,705   

Internet Initiative Japan

     47,500       892,197  

Inui Global Logistics

     21,000       323,882  

ISB

     4,900       45,115  

Ishihara Sangyo Kaisha

     19,200       163,607  

Itfor

     7,500       50,038  

Itoham Yonekyu Holdings

     17,300       95,072  

Iwatani

     16,100       694,570  

J Trust

     22,000       96,717  

Jaccs

     2,100       67,809  

JINUSHI

     5,300       75,816  

J-Lease

     3,400       68,373  

JSB

     2,400       75,005  

Juroku Financial Group

     3,100       74,670  

JVCKenwood

     47,400       132,402  

Kawasaki Kisen Kaisha (A)

     5,400       112,861  

Kobe Steel

     21,200       114,321  

Komeri

     4,500       92,398  

Komori

     26,500       179,166  

Konoike Transport

     2,900       34,437  

KPP Group Holdings

     11,900       81,232  

Kurita Water Industries

     11,883       537,825  

KYB

     2,000       56,731  

Lawson

     3,200       128,074  

Leopalace21 *

     23,900       59,372  

Lintec

     20,500       355,327  

Look Holdings

     7,500       150,364  

M&A Capital Partners *

     7,902       267,888  

Mabuchi Motor

     19,800       567,602  

Macnica Holdings

     3,900       103,745  

Maruzen Showa Unyu

     1,900       46,082  

Matsuda Sangyo

     5,600       102,125  

Mazda Motor

     27,000       215,118  

Menicon

     32,262       713,549  

Miroku Jyoho Service

     1,800       22,581  

Mitachi

     5,100       45,346  

Mitsubishi Motors

     7,700       29,695  

Mitsui-Soko Holdings

     6,200       178,421  

Mizuho Medy

     2,900       72,173  

MTG

     6,400       79,520  

Namura Shipbuilding

     47,400        

Nihon Chouzai

     2,900       26,228  

Nihon Dempa Kogyo

     2,600       30,682  

Nihon Kohden

     2,500       65,738  

Nippon Sheet Glass

     47,000       227,720  
 


Catholic Responsible Investments  

International Small-Cap Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

JAPAN — continued

 

Nippon Shokubai

      2,200       $ 93,223   

Nippon Thompson

     29,500       135,328  

Nishi-Nippon Financial Holdings .

     15,000       124,967  

Nisshinbo Holdings

     26,600       199,016  

Nissui

     20,400       84,845  

Oita Bank

     2,100       35,363  

Okamoto Machine Tool Works

     2,200       79,313  

Onamba

     12,300       72,502  

Pressance

     4,800       61,470  

Qol Holdings

     11,100       100,425  

Remixpoint * (A)

     30,000       65,082  

Riken

     1,400       26,185  

Sakai Chemical Industry

     4,700       66,106  

Sakata Seed

     11,300       361,346  

Sanko Gosei

     6,700       27,331  

Sanyo Shokai

     1,700       18,554  

SCREEN Holdings

     700       52,210  

Seikagaku

     12,400       79,328  

Seiren

     30,328       557,507  

Senshu Electric

     4,300       114,713  

Seven Bank

     376,000       773,378  

Shidax

     17,300       87,432  

Shikoku Bank

     5,400       41,421  

SK-Electronics

     5,700       52,846  

SKY Perfect JSAT Holdings

     42,500       164,215  

Starts

     1,300       25,875  

Stella Chemifa

     2,800       55,878  

Sun Frontier Fudousan

     11,900       102,676  

Takaoka Toko

     4,300       69,919  

Takara Leben Real Estate Investment ‡

     219       164,330  

Take And Give Needs

     2,600       25,863  

THK

     14,700       312,256  

Tokyo Rope Manufacturing

     4,600       37,092  

Tokyu REIT ‡

     178       268,462  

Tomen Devices

     1,400       65,999  

Toyo Tire

     4,900       58,675  

Transcosmos

     1,900       49,647  

Unitika *

     15,100       28,508  

Wealth Management

     4,300       43,443  

Xebio Holdings

     17,800       127,151  

Yamaichi Electronics

     2,000       28,005  

Yamazaki Baking

     5,000       58,553  
    

 

 

 

       19,067,012  
    

 

 

 

COMMON STOCK — continued

 

           Shares                   Value           

LUXEMBOURG — 1.2%

 

L’Occitane International

      349,000       $ 971,334   
    

 

 

 

MALAYSIA — 0.5%

 

Bumi Armada *

     1,155,700       156,733  

Heineken Malaysia

     31,100       204,388  
    

 

 

 

       361,121  
    

 

 

 

MAURITIUS — 0.1%

 

Capital

     76,542       97,058  
    

 

 

 

MEXICO — 0.5%

 

Alfa, Cl A

     262,800       190,530  

FIBRA Macquarie Mexico ‡

     61,400       104,315  

Nemak *

     202,600       65,198  
    

 

 

 

       360,043  
    

 

 

 

NETHERLANDS — 0.8%

 

ASR Nederland

     4,064       192,160  

Eurocommercial Properties ‡

     3,027       75,731  

Heijmans

     1,966       23,823  

Ordina

     26,600       120,676  

Pharming Group *

     26,725       37,029  

Van Lanschot Kempen

     7,013       201,587  
    

 

 

 

       651,006  
    

 

 

 

NEW ZEALAND — 0.2%

 

Air New Zealand *

     307,820       154,722  
    

 

 

 

NIGERIA — 0.2%

 

Airtel Africa

     85,110       122,696  
    

 

 

 

NORWAY — 2.4%

 

2020 Bulkers

     3,068       30,150  

Belships

     57,686       102,116  

DNO

     147,593       181,965  

Hexagon Composites *

     129,428       436,125  

Hoegh Autoliners

     3,821       23,773  

Norske Skog

     8,950       61,591  

PhotoCure *

     19,900       215,967  

Rana Gruber, Cl A

     17,997       110,382  

Salmar

     14,130       656,607  

Stolt-Nielsen

     3,442       90,440  
    

 

 

 

       1,909,116  
    

 

 

 

PHILIPPINES — 0.2%

 

DMCI Holdings

     651,600       131,554  
    

 

 

 

SAUDI ARABIA — 0.1%

 

Alamar Foods

     2,736       102,252  
    

 

 

 

 


Catholic Responsible Investments  

International Small-Cap Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

SINGAPORE — 0.5%

 

Golden Energy & Resources *

      64,500       $ 38,688   

Hour Glass

     26,000       41,237  

Samudera Shipping Line

     156,300       143,428  

Sasseur Real Estate Investment Trust ‡

     142,900       88,721  

UMS Holdings

     47,700       48,221  
    

 

 

 

       360,295  
    

 

 

 

SOUTH AFRICA — 0.2%

 

Astral Foods

     7,706       71,265  

Fortress Real Estate Investments, Cl B ‡

     253,876       68,905  

Motus Holdings

     3,981       28,152  

Resilient REIT ‡

     8,813       26,750  
    

 

 

 

       195,072  
    

 

 

 

SOUTH KOREA — 2.5%

 

ABLBio *

     3,742       59,880  

AfreecaTV *

     937       60,916  

Daewon Pharmaceutical *

     3,360       46,195  

DB HiTek *

     3,713       137,733  

DB Insurance *

     2,428       129,391  

Hanmi Pharm *

     334       69,683  

Hanwha General Insurance *

     37,962       133,195  

HFR *

     2,462       69,425  

Humasis *

     3,004       38,285  

Hwa Shin *

     5,604       39,566  

JB Financial Group

     18,382       151,876  

JVM *

     11,763       188,624  

LabGenomics *

     6,993       39,055  

LF

     6,394       89,476  

Lutronic

     3,729       71,204  

MegaStudyEdu

     945       57,336  

Meritz Financial Group

     1,981       69,369  

Samchully *

     965       382,926  

Sangsin Energy Display Precision *

     10,366       147,517  
    

 

 

 

       1,981,652  
    

 

 

 

SPAIN — 3.1%

 

Banco de Sabadell

     80,343       104,931  

Energia Innovacion y Desarrollo Fotovoltaico

     7,854       239,296  

Fluidra

     22,034       388,595  

Gestamp Automocion

     18,584       81,971  

Laboratorios Farmaceuticos Rovi

     4,967       210,253  

Melia Hotels International

     204,448       1,360,003  

COMMON STOCK — continued

 

           Shares                   Value          

SPAIN — continued

 

Viscofan

      469       $ 30,197   
    

 

 

 

       2,415,246  
    

 

 

 

SWEDEN — 3.7%

 

BioGaia, Cl B

     56,064       492,411  

Castellum

     11,025       151,098  

Hemnet Group

     11,627       161,927  

HMS Networks

     1,456       54,217  

Hoist Finance *

     15,750       48,365  

Inwido

     3,241       35,280  

Loomis, Cl B

     36,644       1,088,429  

New Wave Group, Cl B

     6,137       137,929  

Sectra, Cl B

     2,644       37,400  

Securitas, Cl B

     4,124       37,705  

SkiStar

     6,524       70,569  

SSAB, Cl B

     41,718       283,963  

Transtema Group *

     1,830       6,513  

Trelleborg, Cl B

     10,251       256,022  

Truecaller, Cl B *

     4,923       17,474  
    

 

 

 

       2,879,302  
    

 

 

 

SWITZERLAND — 3.5%

 

Basilea Pharmaceutica *

     952       51,240  

Bucher Industries

     1,345       610,704  

Burkhalter Holding

     851       78,797  

Comet Holding

     579       133,369  

Implenia

     1,642       68,731  

Inficon Holding

     174       181,534  

IWG *

     310,938       712,335  

Landis+Gyr Group

     7,666       562,770  

Leonteq

     1,147       63,509  

Schweiter Technologies

     120       105,545  

Swissquote Group Holding

     1,140       205,163  
    

 

 

 

       2,773,697  
    

 

 

 

TAIWAN — 3.1%

 

Advanced International Multitech

     39,000       129,357  

ASPEED Technology

     1,000       70,818  

Compeq Manufacturing

     51,000       78,043  

Continental Holdings

     285,000       280,214  

Depo Auto Parts Industries

     94,000       236,617  

Faraday Technology

     10,000       57,201  

Farglory Land Development

     28,000       54,534  

Fitipower Integrated Technology

     12,000       57,552  

Fusheng Precision *

     7,000       51,845  

Genius Electronic Optical

     8,000       98,606  
 


Catholic Responsible Investments  

International Small-Cap Fund

January 31, 2023

(Unaudited)

 

COMMON STOCK — continued

 

           Shares                   Value          

TAIWAN — continued

 

Global Unichip

      13,000       $ 343,115   

Grape King Bio

     8,000       46,093  

Lotes

     3,000       76,263  

M31 Technology

     3,000       53,056  

Ruentex Development

     44,000       65,894  

Sitronix Technology

     26,000       184,987  

Standard Chemical & Pharmaceutical

     68,000       126,432  

TaiDoc Technology

     17,000       101,972  

Via Technologies

     58,000       136,000  

WinWay Technology

     8,000       122,250  

Wiwynn *

     3,000       75,353  
    

 

 

 

       2,446,202  
    

 

 

 

THAILAND — 0.7%

 

AP Thailand NVDR

     883,700       319,464  

Ichitan Group

     496,700       182,700  

Sappe

     17,600       25,143  
    

 

 

 

       527,307  
    

 

 

 

TURKEY — 0.7%

 

Haci Omer Sabanci Holding

     151,605       315,305  

Migros Ticaret *

     15,565       114,281  

Sinpas Gayrimenkul Yatirim Ortakligi *‡

     205,052       33,544  

Sok Marketler Ticaret

     78,895       110,727  
    

 

 

 

       573,857  
    

 

 

 

UNITED KINGDOM — 10.0%

 

4imprint Group

     3,473       196,233  

Big Yellow Group ‡

     8,268       123,144  

Bloomsbury Publishing

     5,338       29,277  

Bytes Technology Group

     31,300       149,125  

CentralNic Group *

     32,778       58,108  

Centrica

     71,814       89,339  

Coats Group

     769,542       690,990  

Craneware

     15,600       278,344  

CVS Group

     39,895       990,633  

Drax Group

     14,495       115,600  

EnQuest *

     281,496       76,000  

Future

     5,921       110,097  

Global Ship Lease, Cl A

     3,014       55,849  

Greggs

     1,313       43,782  

Harbour Energy

     13,397       51,744  

Howden Joinery Group

     15,706       133,826  

IMI

     12,482       223,175  

Investec

     44,958       287,119  

Man Group

     86,572       265,958  

COMMON STOCK — continued

 

           Shares                   Value          

UNITED KINGDOM — continued

 

Marks & Spencer Group

      20,305       $ 36,575   

Mitie Group

     55,659       53,587  

Morgan Advanced Materials

     28,785       111,558  

Next Fifteen Communications Group

     24,361       301,361  

OSB Group

     118,469       797,573  

Pagegroup

     5,531       31,093  

Pets at Home Group

     11,083       48,145  

Rightmove

     9,412       68,290  

RS GROUP

     5,329       61,866  

Safestore Holdings ‡

     54,982       683,649  

Saga *

     14,792       33,926  

Savills

     88,404       1,062,044  

Serco Group

     130,666       235,015  

SThree

     20,044       104,627  

Wise, Cl A *

     26,550       177,729  

Yu Group *

     3,075       24,872  
    

 

 

 

       7,800,253  
    

 

 

 

UNITED STATES — 3.5%

 

Adaptimmune Therapeutics ADR *

     17,099       31,975  

BRP

     5,274       438,845  

GXO Logistics *

     78       4,082  

Inmode *

     769       26,954  

Ormat Technologies

     12,632       1,161,084  

Reliance Worldwide

     170,800       427,037  

Samsonite International

     210,405       627,001  
    

 

 

 

       2,716,978  
    

 

 

 

Total Common Stock
(Cost $72,185,391)

       75,287,368  
    

 

 

 

PREFERRED STOCK — 0.6%

 

           Shares                   Value          

BRAZIL — 0.3%

 

Gol Linhas Aereas Inteligentes * (B)

     52,900      $ 79,691  

Unipar Carbocloro (B)

     7,330       123,322  
    

 

 

 

       203,013  
    

 

 

 

GERMANY — 0.3%

 

Schaeffler (B)

     36,579       262,280  
    

 

 

 

Total Preferred Stock
(Cost $482,524)

       465,293  
    

 

 

 

 


Catholic Responsible Investments  

International Small-Cap Fund

January 31, 2023

(Unaudited)

 

SHORT-TERM INVESTMENT — 0.7%

 

     Face
      Amount      
            Value          

State Street Institutional US Government Money Market Fund, Premier Class, 2.960%, (C)

    $ 562,604       $ 562,604   
    

 

 

 

Total Short-Term Investments
(Cost $562,604)

       562,604  
    

 

 

 

Total Investments in Securities— 97.4%
(Cost $73,230,519)

 

  $ 76,315,265  
    

 

 

 

    

 

 

 

Percentages are based on Net Assets of $78,315,981.

 

*

Non-income producing security.

Real Estate Investment Trust.

(A)

This security or a partial position of this security is on loan at January 31, 2023. The total market value of securities on loan at January 31, 2023 was $527,065.

(B)

There is currently no rate available.

(C)

This security was purchased with cash collateral received from securities lending. The total was of such securities as of October 31, 2022, was $562,604.

ADR — American Depositary Receipt

Cl — Class

NVDR — Non-Voting Depositary Receipt

For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund’s most recent financial statements.

CRI-QH-001-0300

 


Catholic Responsible Investments  

Magnus 45/55 Fund

January 31, 2023

(Unaudited)

 

 SCHEDULE OF INVESTMENTS     

OPEN-END MUTUAL FUNDS — 99.6%

 

           Shares                   Value           

Catholic Responsible
Investments Bond Fund†

     3,393,176        $ 29,486,698   

Catholic Responsible
Investments Equity Index Fund†

     2,697,849       23,902,940  

Catholic Responsible
Investments International Equity Fund†

     1,056,461       9,413,066  

Catholic Responsible
Investments International Small-Cap Fund†

     259,973       2,352,756  

Catholic Responsible
Investments Multi-Style US Equity Fund†

     832,794       7,278,623  

Catholic Responsible
Investments Opportunistic Bond Fund†

     1,660,031       15,405,086  

Catholic Responsible
Investments Short Duration Bond Fund†

     1,639,594       15,559,748  

Catholic Responsible
Investments Small-Cap Fund†

     546,206       4,970,475  
    

 

 

 

       108,369,392  
    

 

 

 

Total Open-End Mutual Funds
(Cost $103,429,102)

 

    108,369,392  
    

 

 

 

Total Investments in Securities— 99.6%
(Cost $103,429,102)

    $ 108,369,392  
    

 

 

 

    

 

 

 

Percentages are based on Net Assets of $108,758,126.

† Investment in Affiliated Security.

For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 


Catholic Responsible Investments  

Magnus 45/55 Fund

January 31, 2023

(Unaudited)

 

The following is a summary of the transactions with affiliates for the period ended January 31, 2023:

 

 

                       Change in               
     Value    Purchases    Proceeds   Realized   Unrealized    Value         Capital
Security Description    10/31/2022    at Cost    from Sales   Gain   Depreciation    1/31/2023    Income    Gains

Catholic Responsible Investments Bond Fund

   $  19,561,268    $  8,858,864    $  (181,338)   $  (31,870)   $  1,279,774    $  29,486,698    $  253,104    $  —

Catholic Responsible Investments Equity Index Fund

   15,587,465    7,128,422    (146,719)   (2,222)   1,335,994    23,902,940    92,543    -

Catholic Responsible Investments International Equity Fund

   5,235,036    2,867,565    (59,347)   (3,092)   1,372,904    9,413,066    21,592    -

Catholic Responsible Investments International Small-Cap  Fund

   1,334,556    719,065    (14,837)   171   313,801    2,352,756    7,572    -

Catholic Responsible Investments Multi- Style US Equity Fund

   4,495,211    2,224,475    (46,159)   (3,314)   608,410    7,278,623    10,940    -

Catholic Responsible Investments Opportunistic Bond Fund

   10,736,189    4,440,751    (90,669)   (9,209)   328,024    15,405,086    145,696    -

Catholic Responsible Investments Short Duration Bond Fund

   11,148,864    4,415,514    (90,669)   (5,943)   91,982    15,559,748    104,393    -

Catholic Responsible Investments Small- Cap Fund

   3,234,709    1,603,038    (191,425)   159,875   164,278    4,970,475    18,300    161,752
  

 

Totals

   $71,333,298    $32,257,694    $(821,163)   $104,396   $5,495,167    $108,369,392    $654,140    $161,752
  

 

Amounts designated as “—” are $0 or have been rounded to $0.

CRI-QH-001-0300


Catholic Responsible Investments  

Magnus 60/40 Alpha Plus Fund

January 31, 2023

(Unaudited)

 

 SCHEDULE OF INVESTMENTS

 

OPEN-END MUTUAL FUNDS — 99.8%

 

           Shares                   Value           

Catholic Responsible Investments Bond Fund†

     23,776,155        $ 206,614,784   

Catholic Responsible Investments Equity Index Fund†

     19,266,477       170,700,987  

Catholic Responsible Investments International Equity Fund†

     13,747,848       122,493,323  

Catholic Responsible Investments International Small-Cap Fund†

     3,505,408       31,723,946  

Catholic Responsible Investments Multi-Style US Equity Fund†

     29,477,880       257,636,671  

Catholic Responsible Investments Opportunistic Bond Fund†

     11,689,466       108,478,242  

Catholic Responsible Investments Short Duration Bond Fund†

     11,501,735       109,151,465  

Catholic Responsible Investments Small-Cap Fund†

     7,131,956       64,900,803  
    

 

 

 

       1,071,700,221  
    

 

 

 

Total Open-End Mutual Funds
(Cost $1,006,972,893)

 

    1,071,700,221  
    

 

 

 

Total Investments in Securities— 99.8%
(Cost $1,006,972,893)

 

    $ 1,071,700,221  
    

 

 

 

    

 

 

 

Percentages are based on Net Assets of $1,073,431,778.

 

Investment in Affiliated Security.

For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 


Catholic Responsible Investments  

Magnus 60/40 Alpha Plus Fund

January 31, 2023

(Unaudited)

 

The following is a summary of the transactions with affiliates for the period ended January 31, 2023:

 

 

 

                       Change in               
Security    Value    Purchases    Proceeds from   Realized   Unrealized    Value         Capital
Description    10/31/2022    at Cost    Sales   Gain   Appreciation    1/31/2023    Income    Gains
Catholic Responsible Investments Bond Fund    $  195,347,648    $  1,716,250    $  (1,390,987)   $(206,927)   $  11,148,800    $  206,614,784    $  1,967,086    $  —
Catholic Responsible Investments Equity Index Fund    161,916,277    945,994    (1,043,240)   (212,203)   9,094,159    170,700,987    659,776   
Catholic Responsible Investments International Equity Fund    102,020,700    509,533    (834,592)   (206,729)   21,004,411    122,493,323    280,560   
Catholic Responsible Investments International Small- Cap Fund    26,578,242    159,176    (208,648)   (39,998)   5,235,174    31,723,946    101,932   
Catholic Responsible Investments Multi-Style US Equity Fund    237,507,961    844,536    (1,669,185)   (368,923)   21,322,282    257,636,671    386,588   
Catholic Responsible Investments Opportunistic Bond Fund    105,424,072    943,469    (695,494)   (54,753)   2,860,948    108,478,242    1,125,557   
Catholic Responsible Investments Short Duration Bond Fund    108,187,317    738,163    (695,494)   (36,236)   957,715    109,151,465    806,145   
Catholic Responsible Investments Small- Cap Fund    61,436,749    2,462,728    (2,526,934)   2,038,697   1,489,563    64,900,803    238,603    2,109,638
  

 

Totals

   $998,418,966    $8,319,849    $(9,064,574)   $912,928   $73,113,052    $1,071,700,221    $5,566,247    $2,109,638
  

 

Amounts designated as “—” are $0 or have been rounded to $0.

CRI-QH-001-0300


Catholic Responsible Investments  

Magnus 60/40 Beta Fund

January 31, 2023

(Unaudited)

 

 SCHEDULE OF INVESTMENTS

 

OPEN-END MUTUAL FUNDS — 99.8%

 

           Shares                   Value           

Catholic Responsible Investments Bond Fund†

     9,210,458       $ 80,038,876   

Catholic Responsible Investments Equity Index Fund†

     17,591,691       155,862,379  

Catholic Responsible Investments International Equity Fund†

     5,309,689       47,309,333  

Catholic Responsible Investments International Small-Cap Fund†

     1,300,445       11,769,028  

Catholic Responsible Investments Opportunistic Bond Fund†

     4,520,206       41,947,516  

Catholic Responsible Investments Short Duration Bond Fund†

     4,474,936       42,467,141  

Catholic Responsible Investments Small-Cap Fund†

     2,710,574       24,666,226  
    

 

 

 

       404,060,499  
    

 

 

 

Total Open-End Mutual Funds
(Cost $368,603,553)

 

    404,060,499  
    

 

 

 

Total Investments in Securities— 99.8%
(Cost $368,603,553)

   $ 404,060,499  
    

 

 

 

    

 

 

 

Percentages are based on Net Assets of $404,944,114.

Investment in Affiliated Security.

For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 


Catholic Responsible Investments  

Magnus 60/40 Beta Fund

January 31, 2023

(Unaudited)

 

The following is a summary of the transactions with affiliates for the period ended January 31, 2023:

 

 

 

                       Change in               
Security    Value    Purchases    Proceeds from   Realized   Unrealized    Value         Capital
Description    10/31/2022    at Cost    Sales   Loss   Depreciation    1/31/2023    Income    Gains
Catholic Responsible Investments Bond Fund      $  77,381,202        $  633,022        $  (2,284,987)       $  (336,892)       $  4,646,531        $  80,038,876        $  766,985        $  —  
Catholic Responsible Investments Equity Index Fund      151,269,825        820,038        (4,455,724)       (441,309)       8,669,549        155,862,379        603,501        -  
Catholic Responsible Investments International Equity Fund      40,357,185        175,148        (1,370,992)       (290,142)       8,438,134        47,309,333        108,521        -  
Catholic Responsible Investments International Small- Cap Fund      10,100,702        54,535        (342,748)       (59,165)       2,015,704        11,769,028        37,879        -  
Catholic Responsible Investments Opportunistic Bond Fund      41,639,070        349,150        (1,142,493)       (93,448)       1,195,237        41,947,516        437,829        -  
Catholic Responsible Investments Short Duration Bond Fund      42,973,197        270,391        (1,142,493)       (61,652)       427,698        42,467,141        315,558        -  
Catholic Responsible Investments Small- Cap Fund      23,878,020        927,370        (1,488,730)       740,788       608,778        24,666,226        90,823        803,234  
  

 

 

 

Totals

     $387,599,201        $3,229,654        $(12,228,167)       $(541,820)       $26,001,631        $404,060,499        $2,361,096        $803,234  
  

 

 

 

Amounts designated as “—” are $0 or have been rounded to $0.

CRI-QH-001-0300


Catholic Responsible Investments  

Magnus 75/25 Fund

January 31, 2023

(Unaudited)

 

 SCHEDULE OF INVESTMENTS

 

 
 OPEN-END MUTUAL FUNDS — 99.8%

 

           Shares                   Value           

Catholic Responsible Investments Bond Fund†

     3,502,126        $ 30,433,473   

Catholic Responsible Investments Equity Index Fund†

     9,293,079       82,336,678  

Catholic Responsible Investments International Equity Fund†

     3,945,599       35,155,288  

Catholic Responsible Investments International Small-Cap Fund†

     975,659       8,829,711  

Catholic Responsible Investments Multi-Style US Equity Fund†

     3,917,659       34,240,342  

Catholic Responsible Investments Opportunistic Bond Fund†

     1,724,567       16,003,984  

Catholic Responsible Investments Short Duration Bond Fund†

     1,708,155       16,210,388  

Catholic Responsible Investments Small-Cap Fund†

     2,058,865       18,735,673  
    

 

 

 

       241,945,537  
    

 

 

 

Total Open-End Mutual Funds
(Cost $217,042,431)

       241,945,537  
    

 

 

 

Total Investments in Securities—99.8%
(Cost $217,042,431)

    $ 241,945,537  
    

 

 

 

    

 

 

 

Percentages are based on Net Assets of $242,371,710.

 

Investment in Affiliated Security.

For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 


Catholic Responsible Investments  

Magnus 75/25 Fund

January 31, 2023

(Unaudited)

 

The following is a summary of the transactions with affiliates for the period ended January 31, 2023:

 

 

 

                       Change in               
     Value    Purchases at    Proceeds   Realized   Unrealized    Value         Capital
Security Description    10/31/2022    Cost    from Sales   Gain   Depreciation    1/31/2023    Income    Gains
Catholic Responsible Investments Bond Fund    $  28,221,528    $  1,095,169    $  (493,879)   $  (64,263)   $  1,674,918    $  30,433,473    $  288,132    $  —
Catholic Responsible Investments Equity Index Fund    76,616,648    2,745,165    (1,333,475)   (113,173)   4,421,513    82,336,678    314,625   
Catholic Responsible Investments International Equity Fund    28,654,565    1,159,784    (592,656)   (112,248)   6,045,843    35,155,288    79,544   
Catholic Responsible Investments International Small-Cap Fund    7,244,380    298,095    (148,164)   (21,187)   1,456,587    8,829,711    28,035   
Catholic Responsible Investments Multi-Style US Equity Fund    30,912,545    1,130,988    (592,655)   (54,717)   2,844,181    34,240,342    50,748   
Catholic Responsible Investments Opportunistic Bond Fund    15,276,824    560,268    (246,939)   (17,786)   431,617    16,003,984    165,185   
Catholic Responsible Investments Short Duration Bond Fund    15,789,944    530,771    (246,939)   (14,169)   150,781    16,210,388    119,107   
Catholic Responsible Investments Small-Cap Fund    17,402,612    1,210,076    (898,192)   579,602   441,575    18,735,673    68,092    601,864
  

 

Totals

   $220,119,046    $8,730,316    $  (4,552,899)   $182,059   $17,467,015    $241,945,537    $1,113,468    $601,864
  

 

Amounts designated as “—” are $0 or have been rounded to $0.

CRI-QH-001-0300