0001145549-20-032002.txt : 20200529 0001145549-20-032002.hdr.sgml : 20200529 20200529121320 ACCESSION NUMBER: 0001145549-20-032002 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 6 CONFORMED PERIOD OF REPORT: 20200331 FILED AS OF DATE: 20200529 PERIOD START: 20201231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CLEARWATER INVESTMENT TRUST CENTRAL INDEX KEY: 0000811161 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-05038 FILM NUMBER: 20925498 BUSINESS ADDRESS: STREET 1: 2000 WELLS FARGO PLACE STREET 2: 30 EAST 7TH STREET CITY: ST PAUL STATE: MN ZIP: 55101-4930 BUSINESS PHONE: 6122280935 MAIL ADDRESS: STREET 1: 2000 WELLS FARGO PLACE STREET 2: 30 EAST 7TH STREET CITY: ST PAUL STATE: MN ZIP: 55101 0000811161 S000000698 Clearwater Small Companies Fund C000002051 Clearwater Small Companies Fund QWVOX NPORT-P 1 primary_doc.xml NPORT-P false 0000811161 XXXXXXXX S000000698 C000002051 Clearwater Investment Trust 811-05038 0000811161 549300DJTRHSZ8F9UE31 2000 Wells Fargo Place 30 East 7th Street St. Paul 55101 612-228-0935 Clearwater Small Companies Fund S000000698 549300JPAPXQ14UDMS55 2020-12-31 2020-03-31 N 246022850.860000000000 1821948.130000000000 244200902.730000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 N FIRST NORTHWEST BANCORP 549300YDR3VSTKB9DQ65 FIRST NORTHWEST BANCORP COM 335834107 7289 NS USD 79231.43 0.0324451831 Long EC CORP US N 1 N N N Pioneer Pwr Soluti N/A Pioneer Pwr Soluti COM NEW 723836300 110865 NS USD 171840.75 0.0703685974 Long EC CORP US N 1 N N N NANOVIBRONIX INC 5493008114LTFZQ2I595 NANOVIBRONIX INC COM 63008J108 27231 NS USD 56368.17 0.0230827034 Long EC CORP US N 1 N N N Biotelemetry Inc 549300E1RQ91KHELWN02 Biotelemetry Inc COM 090672106 4385 NS USD 168866.35 0.0691505838 Long EC CORP US N 1 N N N Potbelly Corporation 54930027NUULUR2P5W11 Potbelly Corporation COM 73754Y100 192936 NS USD 596172.24 0.2441318739 Long EC CORP US N 1 N N N Bankwell Financial Group, Inc. 5493004NUBQXPY84NX67 Bankwell Financial Group, Inc. 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YG3575C4DSHJPA5KET68 Euronet Worldwide, Inc. COM 298736109 8732 NS USD 748507.04 0.3065128063 Long EC CORP US N 1 N N N Entravision Communications Corporation 549300SKHY2ALCLKV539 Entravision Communications Corporation CL A 29382R107 64340 NS USD 130610.2 0.0534847327 Long EC CORP US N 1 N N N Flushing Financial Corporation N/A Flushing Financial Corporation COM 343873105 42444 NS USD 567051.84 0.2322071023 Long EC CORP US N 1 N N N Harvard Bioscience 549300VLGB1D47GGC642 Harvard Bioscience COM 416906105 149202 NS USD 329736.42 0.1350266999 Long EC CORP US N 1 N N N Harsco Corporation KAO98FK89NPNNPQGUZ43 Harsco Corporation COM 415864107 54152 NS USD 377439.44 0.1545610339 Long EC CORP US N 1 N N N Helen Of Troy Corp N/A Helen Of Troy Corp COM STK USD0.10 G4388N106 6740 NS USD 970762.2 0.3975260489 Long EC CORP US N 1 N N N ISHARES TRUST 5493000860OXIC4B5K91 ISHARES TRUST RUSSELL 2000 ETF 464287655 5400 NS USD 618084 0.2531047155 Long EC RF US N 1 N N N FTI Consulting, Inc. 549300K17GM8EQD0FQ48 FTI Consulting, Inc. COM 302941109 6949 NS USD 832281.73 0.3408184494 Long EC CORP US N 1 N N N Surmodics Inc 549300H76KXCAAGUS878 Surmodics Inc COM 868873100 4124 NS USD 137411.68 0.0562699312 Long EC CORP US N 1 N N N Invacare Corporation 549300NNUTG7HCZICS76 Invacare Corporation COM 461203101 16233 NS USD 120611.19 0.0493901491 Long EC CORP US N 1 N N N Jabil Inc 5493000CGCQY2OQU7669 Jabil Inc COM 466313103 20401 NS USD 501456.58 0.2053459158 Long EC CORP US N 1 N N N Kennametal Inc 549300GZDSG25XUV0Y08 Kennametal Inc COM 489170100 22475 NS USD 418484.5 0.1713689406 Long EC CORP US N 1 N N N Lakeland Bancorp, Inc. 549300NF90LR9ETZDR73 Lakeland Bancorp, Inc. 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COM 12621E103 105364 NS USD 1305459.96 0.5345844120 Long EC CORP US N 1 N N N Northern Inst Fds 549300Y178DO5JBR1S04 Northern Inst Fds GOVT SELECT PT 665278701 3866061.06 NS USD 3866061.06 1.5831477348 Long STIV RF US N 1 N N N Northern Inst Fds 549300Y178DO5JBR1S04 Northern Inst Fds GOVT SELECT PT 665278701 7.46 NS USD 7.46 0.0000030549 Long STIV RF US N 1 N N N Northern Inst Fds 549300Y178DO5JBR1S04 Northern Inst Fds GOVT SELECT PT 665278701 6056492.95 NS USD 6056492.95 2.4801271749 Long STIV RF US N 1 N N N HomeStreet, Inc. N/A HomeStreet, Inc. 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'+,, NPORT-EX 6 edgar.htm
CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Common Stocks:            
Communication Services:            
18,471   ACTIVISION BLIZZARD, INC.   $462,604   1,098,655    
5,787   ALPHABET, INC., CLASS A(b)   2,477,356   6,724,205    
4,279   ALPHABET, INC., CLASS C(b)   1,763,252   4,975,664    
2,000   ALTICE U.S.A., INC., CLASS A(b)   43,775   44,580    
10,315   AMC NETWORKS, INC., CLASS A(b)   390,292   250,758    
152,447   AT&T, INC.   4,129,526   4,443,830    
300   CABLE ONE, INC.   113,966   493,203    
66,413   CENTURYLINK, INC.   652,342   628,267    
690   CHARTER COMMUNICATIONS, INC., CLASS A(b)   138,385   301,054    
3,700   CINEMARK HOLDINGS, INC.   43,054   37,703    
57,795   COMCAST CORP., CLASS A   632,884   1,986,992    
99,420   DISCOVERY, INC., CLASS A(b)   2,523,687   1,932,725    
385   DISH NETWORK CORP., CLASS A(b)   4,926   7,696    
11,266   ELECTRONIC ARTS, INC.(b)   280,102   1,128,515    
31,804   FACEBOOK, INC., CLASS A(b)   1,885,863   5,304,907    
1,360   GCI LIBERTY, INC., CLASS A(b)   51,149   77,479    
300   IAC/INTERACTIVECORP(b)   37,278   53,769    
15,600   INTERPUBLIC GROUP OF (THE) COS., INC.   40,950   252,564    
5,832   LIBERTY GLOBAL PLC, CLASS A(b)(c)   42,377   96,286    
7,374   LIBERTY GLOBAL PLC, CLASS C(b)(c)   51,974   115,845    
1,800   LIBERTY MEDIA CORP.-LIBERTY FORMULA ONE, CLASS C(b)   45,464   49,014    
1,100   MATCH GROUP, INC.(b)   31,366   72,644    
4,111   NETFLIX, INC.(b)   1,369,837   1,543,680    
2,375   NEWS CORP., CLASS A   7,170   21,316    
700   NEXSTAR MEDIA GROUP, INC., CLASS A   44,492   40,411    
5,434   OMNICOM GROUP, INC.   271,408   298,327    
1,200   SPOTIFY TECHNOLOGY S.A.(b)(c)   149,087   145,728    
9,840   SPRINT CORP.(b)   21,187   84,821    
1,544   TEGNA, INC.   7,743   16,768    
26,727   T-MOBILE U.S., INC.(b)   1,937,915   2,242,395    
8,700   TWITTER, INC.(b)   197,336   213,672    
51,083   VERIZON COMMUNICATIONS, INC.   2,028,534   2,744,690    
1   VIACOMCBS, INC., CLASS B   49   14    
27,007   WALT DISNEY (THE) CO.   679,844   2,608,876    
        22,557,174   40,037,053   9.54%
Consumer Discretionary:            
1,500   ADVANCE AUTO PARTS, INC.   53,557   139,980    
5,281   AMAZON.COM, INC.(b)   4,484,503   10,296,471    
2,400   ARAMARK   47,393   47,928    
1,100   AUTOLIV, INC.(c)   13,982   50,611    
13,006   AUTONATION, INC.(b)   343,345   364,948    
1,662   AUTOZONE, INC.(b)   1,304,598   1,406,052    
53,291   BEST BUY CO., INC.   2,951,617   3,037,587    
1,400   BIG LOTS, INC.   15,477   19,908    
555   BOOKING HOLDINGS, INC.(b)   661,638   746,653    
4,400   BORGWARNER, INC.   51,799   107,228    
831   BURLINGTON STORES, INC.(b)   85,265   131,680    
3,068   CARMAX, INC.(b)   33,093   165,150    
3,800   CARNIVAL CORP.   59,114   50,046    
4,600   D.R. HORTON, INC.   22,057   156,400    
2,326   DARDEN RESTAURANTS, INC.   108,803   126,674    
5,977   DICK'S SPORTING GOODS, INC.   173,600   127,071    
3,389   DOLLAR GENERAL CORP.   248,398   511,773    
5,224   DOLLAR TREE, INC.(b)   52,773   383,807    
1,100   DOMINO'S PIZZA, INC.   154,333   356,477    
72,891   EBAY, INC.   2,246,259   2,191,104    
1,200   ETSY, INC.(b)   49,559   46,128    
922   EXPEDIA GROUP, INC.   23,373   51,881    
1,391   FLOOR & DECOR HOLDINGS, INC., CLASS A(b)   42,485   44,637    
20,696   FOOT LOCKER, INC.   738,397   456,347    
22,163   FORD MOTOR CO.   72,511   107,047    
1,300   FRONTDOOR, INC.(b)   30,171   45,214    
18,795   GAP (THE), INC.   316,742   132,317    
5,273   GARMIN LTD.(c)   188,068   395,264    
3,833   GENERAL MOTORS CO.   117,673   79,650    
1 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Consumer Discretionary (Cont'd):            
15,000   GENTEX CORP.   $106,860   332,400    
3,450   GENUINE PARTS CO.   102,424   232,289    
2,000   HANESBRANDS, INC.   10,096   15,740    
400   HASBRO, INC.   10,206   28,620    
1,600   HILTON WORLDWIDE HOLDINGS, INC.   115,613   109,184    
13,972   HOME DEPOT (THE), INC.   2,047,064   2,608,712    
7,200   INTERNATIONAL GAME TECHNOLOGY PLC   51,017   42,840    
9,297   KOHL'S CORP.   120,812   135,643    
971   KONTOOR BRANDS, INC.   5,113   18,614    
3,290   L BRANDS, INC.   38,158   38,032    
2,338   LAS VEGAS SANDS CORP.   14,654   99,295    
19,688   LENNAR CORP., CLASS A   826,491   752,082    
58   LENNAR CORP., CLASS B   652   1,677    
1,200   LKQ CORP.(b)   14,970   24,612    
4,767   LULULEMON ATHLETICA, INC.(b)(c)   606,562   903,585    
12,078   MACY'S, INC.   181,820   59,303    
3,038   MARRIOTT INTERNATIONAL, INC., CLASS A   63,603   227,273    
294   MARRIOTT VACATIONS WORLDWIDE CORP.   4,103   16,341    
10,620   MCDONALD'S CORP.   433,348   1,756,017    
6,600   MGM RESORTS INTERNATIONAL   54,921   77,880    
600   MOHAWK INDUSTRIES, INC.(b)   26,796   45,744    
600   MURPHY U.S.A., INC.(b)   4,392   50,616    
4,915   NEWELL BRANDS, INC.   52,223   65,271    
17,800   NIKE, INC., CLASS B   268,854   1,472,772    
4,300   NORDSTROM, INC.   45,233   65,962    
7,189   NORWEGIAN CRUISE LINE HOLDINGS LTD.(b)   354,599   78,791    
103   NVR, INC.(b)   133,164   264,618    
900   O'REILLY AUTOMOTIVE, INC.(b)   27,058   270,945    
900   PLANET FITNESS, INC., CLASS A(b)   45,306   43,830    
370   POOL CORP.   34,226   72,805    
22,302   PULTEGROUP, INC.   322,088   497,781    
20,045   QURATE RETAIL, INC., CLASS A(b)   77,825   122,375    
1,500   RALPH LAUREN CORP.   31,320   100,245    
4,543   ROSS STORES, INC.   175,795   395,105    
4,560   ROYAL CARIBBEAN CRUISES LTD.   97,679   146,695    
3,200   SIX FLAGS ENTERTAINMENT CORP.   48,149   40,128    
8,454   SKECHERS U.S.A., INC., CLASS A(b)   276,155   200,698    
36,969   STARBUCKS CORP.   1,239,447   2,430,342    
4,800   TAPESTRY, INC.   14,970   62,160    
22,005   TARGET CORP.   2,265,472   2,045,805    
1,203   TESLA, INC.(b)   484,298   630,372    
1,900   THOR INDUSTRIES, INC.   22,316   80,142    
1,400   TIFFANY & CO.   35,210   181,300    
20,188   TJX (THE) COS., INC.   86,033   965,188    
1,466   TOPBUILD CORP.(b)   11,809   105,024    
553   ULTA BEAUTY, INC.(b)   73,007   97,162    
8,340   URBAN OUTFITTERS, INC.(b)   174,368   118,762    
1,100   VEONEER, INC.(b)(c)   5,428   8,052    
6,800   VF CORP.   81,950   367,744    
3,000   WENDY'S (THE) CO.   43,280   44,640    
2,559   WHIRLPOOL CORP.   147,290   219,562    
2,107   WILLIAMS-SONOMA, INC.   92,334   89,590    
1,400   WYNDHAM HOTELS & RESORTS, INC.   46,408   44,114    
1,600   WYNN RESORTS LTD.   32,322   96,304    
900   YUM CHINA HOLDINGS, INC.(c)   40,023   38,367    
        26,415,897   40,815,183   9.73%
Consumer Staples:            
8,800   ALTRIA GROUP, INC.   564,326   340,296    
10,300   ARCHER-DANIELS-MIDLAND CO.   188,618   362,354    
700   BEYOND MEAT, INC.(b)   51,107   46,620    
7,290   BROWN-FORMAN CORP., CLASS B   57,343   404,668    
10,068   CHURCH & DWIGHT CO., INC.   241,887   646,164    
3,772   CLOROX (THE) CO.   567,267   653,499    
56,139   COCA-COLA (THE) CO.   844,179   2,484,151    
1,280   COLGATE-PALMOLIVE CO.   36,019   84,941    
1,900   CONAGRA BRANDS, INC.   26,152   55,746    
1,600   CONSTELLATION BRANDS, INC., CLASS A   202,589   229,376    
2 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Consumer Staples (Cont'd):            
7,712   COSTCO WHOLESALE CORP.   $631,991   2,198,923    
6,448   ESTEE LAUDER (THE) COS., INC., CLASS A   538,773   1,027,424    
2,796   FLOWERS FOODS, INC.   59,994   57,374    
22,764   GENERAL MILLS, INC.   832,581   1,201,256    
5,300   HERBALIFE NUTRITION LTD.(b)   36,401   154,548    
12,516   HERSHEY (THE) CO.   1,672,186   1,658,370    
4,800   HORMEL FOODS CORP.   43,206   223,872    
16,650   INGREDION, INC.   1,224,758   1,257,075    
13,592   JM SMUCKER (THE) CO.   1,399,653   1,508,712    
1,643   KEURIG DR. PEPPER, INC.   -   39,876    
3,533   KIMBERLY-CLARK CORP.   343,818   451,765    
3,714   KRAFT HEINZ (THE) CO.   26,692   91,884    
67,822   KROGER (THE) CO.   1,281,471   2,042,799    
633   LAMB WESTON HOLDINGS, INC.   7,452   36,144    
700   MCCORMICK & CO., INC. (NON VOTING)   21,613   98,847    
1,300   MOLSON COORS BEVERAGE CO., CLASS B   37,841   50,713    
6,969   MONDELEZ INTERNATIONAL, INC., CLASS A   94,887   349,007    
7,364   MONSTER BEVERAGE CORP.(b)   206,981   414,299    
232   NU SKIN ENTERPRISES, INC., CLASS A   8,194   5,069    
29,337   PEPSICO, INC.   2,522,685   3,523,374    
8,329   PHILIP MORRIS INTERNATIONAL, INC.   456,643   607,684    
29,290   PILGRIM'S PRIDE CORP.(b)   489,068   530,735    
700   POST HOLDINGS, INC.(b)   43,421   58,079    
37,696   PROCTER & GAMBLE (THE) CO.   1,193,744   4,146,560    
7,700   SYSCO CORP.   117,906   351,351    
23,537   TYSON FOODS, INC., CLASS A   1,394,110   1,362,086    
2,700   US FOODS HOLDING CORP.(b)   45,757   47,817    
27,978   WALGREENS BOOTS ALLIANCE, INC.   906,255   1,279,993    
15,004   WALMART, INC.   1,236,594   1,704,754    
        19,654,162   31,788,205   7.58%
Energy:            
17,200   ANTERO MIDSTREAM CORP.   38,791   36,120    
7,500   APACHE CORP.   44,218   31,350    
6,200   BAKER HUGHES CO.   72,080   65,100    
20,075   CABOT OIL & GAS CORP.   334,981   345,089    
2,200   CHENIERE ENERGY, INC.(b)   73,298   73,700    
28,175   CHEVRON CORP.   1,278,870   2,041,561    
2,700   CIMAREX ENERGY CO.   45,271   45,441    
1,700   CONCHO RESOURCES, INC.   49,631   72,845    
23,044   CONOCOPHILLIPS   383,142   709,755    
2,000   CONTINENTAL RESOURCES, INC.   20,765   15,280    
9,794   ENBRIDGE, INC.(c)   137,797   284,907    
4,500   EOG RESOURCES, INC.   174,791   161,640    
16,551   EXXON MOBIL CORP.   628,157   628,441    
3,100   HELMERICH & PAYNE, INC.   39,003   48,515    
2,600   HESS CORP.   90,342   86,580    
18,112   KINDER MORGAN, INC.   209,947   252,119    
7,200   NOBLE ENERGY, INC.   44,105   43,488    
5,994   OCCIDENTAL PETROLEUM CORP.   53,941   69,411    
3,900   ONEOK, INC.   59,690   85,059    
6,900   PBF ENERGY, INC., CLASS A   45,787   48,852    
1,000   PHILLIPS 66   50,510   53,650    
2,230   PIONEER NATURAL RESOURCES CO.   225,620   156,435    
9,633   SCHLUMBERGER LTD.   108,848   129,949    
23,559   VALERO ENERGY CORP.   1,036,930   1,068,636    
11,500   WILLIAMS (THE) COS., INC.   154,047   162,725    
        5,400,562   6,716,648   1.60%
Financials:            
6,805   AFLAC, INC.   218,918   233,003    
500   ALLEGHANY CORP.   140,685   276,175    
16,433   ALLSTATE (THE) CORP.   920,850   1,507,399    
19,826   ALLY FINANCIAL, INC.   404,611   286,089    
3,633   AMERICAN EXPRESS CO.   111,938   311,021    
3,100   AMERICAN FINANCIAL GROUP, INC.   190,545   217,248    
5,500   AMERICAN INTERNATIONAL GROUP, INC.   129,086   133,375    
17,714   AMERIPRISE FINANCIAL, INC.   1,850,664   1,815,331    
13,600   ANNALY CAPITAL MANAGEMENT, INC.   80,993   68,952    
3 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Financials (Cont'd):            
848   AON PLC(c)   $32,575   139,954    
22,433   ARCH CAPITAL GROUP LTD.(b)(c)   513,989   638,443    
2,300   ARTHUR J. GALLAGHER & CO.   80,002   187,473    
4,900   ASSURANT, INC.   218,575   510,041    
23,567   ASSURED GUARANTY LTD.(c)   785,244   607,793    
11,289   ATHENE HOLDING LTD., CLASS A(b)(c)   434,631   280,193    
1,000   AXIS CAPITAL HOLDINGS LTD.(c)   28,371   38,650    
160,639   BANK OF AMERICA CORP.   2,274,054   3,410,366    
10,000   BANK OF NEW YORK MELLON (THE) CORP.   206,454   336,800    
23,506   BERKSHIRE HATHAWAY, INC., CLASS B(b)   2,744,558   4,297,602    
7,031   BRIGHTHOUSE FINANCIAL, INC.(b)   235,812   169,939    
620   CANNAE HOLDINGS, INC.(b)   2,893   20,764    
8,416   CAPITAL ONE FINANCIAL CORP.   280,817   424,335    
17,900   CHARLES SCHWAB (THE) CORP.   156,088   601,798    
6,250   CHUBB LTD.(c)   587,621   698,063    
102,035   CITIGROUP, INC.   5,578,377   4,297,714    
1,965   CME GROUP, INC.   203,851   339,768    
500   CREDIT ACCEPTANCE CORP.(b)   86,421   127,845    
11,776   DISCOVER FINANCIAL SERVICES   330,143   420,050    
3,601   E*TRADE FINANCIAL CORP.   49,884   123,586    
978   EVERCORE, INC., CLASS A   74,397   45,047    
869   EVEREST RE GROUP LTD.(c)   250,643   167,213    
469   FAIRFAX FINANCIAL HOLDINGS LTD.(c)   86,576   143,964    
1,863   FIDELITY NATIONAL FINANCIAL, INC.   15,560   46,351    
10,565   FIFTH THIRD BANCORP   109,297   156,890    
1,108   FIRST AMERICAN FINANCIAL CORP.   53,359   46,990    
400   FIRST CITIZENS BANCSHARES, INC., CLASS A   57,523   133,148    
30,500   FIRST HORIZON NATIONAL CORP.   193,065   245,830    
2,468   GLOBE LIFE, INC.   145,321   177,622    
12,368   GOLDMAN SACHS GROUP (THE), INC.   1,432,986   1,911,969    
3,000   HANOVER INSURANCE GROUP (THE), INC.   215,948   271,740    
13,312   HARTFORD FINANCIAL SERVICES GROUP (THE), INC.   484,859   469,115    
35,000   HUNTINGTON BANCSHARES, INC.   169,771   287,350    
505   INTERCONTINENTAL EXCHANGE, INC.   12,819   40,779    
18,668   JANUS HENDERSON GROUP PLC(c)   277,820   285,994    
59,862   JPMORGAN CHASE & CO.   2,584,346   5,389,376    
5,904   KEYCORP   30,107   61,225    
1,852   LEGG MASON, INC.   25,956   90,470    
200   MARKEL CORP.(b)   67,789   185,578    
5,684   MARSH & MCLENNAN COS., INC.   240,120   491,439    
1,300   MERCURY GENERAL CORP.   38,019   52,936    
1,800   METLIFE, INC.   42,684   55,026    
1,474   MGIC INVESTMENT CORP.   18,102   9,360    
2,000   MOODY'S CORP.   70,550   423,000    
84,073   MORGAN STANLEY   2,840,624   2,858,482    
1,600   MSCI, INC.   51,168   462,336    
5,900   NASDAQ, INC.   240,309   560,205    
2,485   PACWEST BANCORP   28,898   44,531    
8,825   PNC FINANCIAL SERVICES GROUP (THE), INC.   325,194   844,729    
14,827   POPULAR, INC.   741,766   518,945    
4,747   PRINCIPAL FINANCIAL GROUP, INC.   143,565   148,771    
21,894   PROGRESSIVE (THE) CORP.   1,246,564   1,616,653    
5,900   PRUDENTIAL FINANCIAL, INC.   182,565   307,626    
16,006   RAYMOND JAMES FINANCIAL, INC.   1,016,976   1,011,579    
17,302   REGIONS FINANCIAL CORP.   116,601   155,199    
3,371   REINSURANCE GROUP OF AMERICA, INC.   296,860   283,636    
800   RENAISSANCERE HOLDINGS LTD.(c)   81,779   119,456    
3,151   ROYAL BANK OF CANADA(c)   75,539   193,944    
735   S&P GLOBAL, INC.   24,183   180,112    
7,500   SEI INVESTMENTS CO.   108,537   347,550    
10,100   SLM CORP.   36,679   72,619    
20,278   STATE STREET CORP.   1,042,261   1,080,209    
4,737   SYNCHRONY FINANCIAL   128,601   76,218    
3,657   SYNOVUS FINANCIAL CORP.   49,372   64,217    
3,549   T. ROWE PRICE GROUP, INC.   106,978   346,560    
2,946   TCF FINANCIAL CORP.   51,834   66,756    
1,300   TD AMERITRADE HOLDING CORP.   45,798   45,058    
4 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Financials (Cont'd):            
19,022   TRAVELERS (THE) COS., INC.   $1,767,703   1,889,836    
15,442   TRUIST FINANCIAL CORP.   315,841   476,231    
16,200   TWO HARBORS INVESTMENT CORP.   75,902   61,722    
17,585   US BANCORP   318,503   605,803    
9,900   VOYA FINANCIAL, INC.   521,505   401,445    
9,159   W.R. BERKLEY CORP.   273,043   477,825    
1,800   WASHINGTON FEDERAL, INC.   23,535   46,728    
47,427   WELLS FARGO & CO.   593,148   1,361,155    
2,568   WESTERN ALLIANCE BANCORP   59,789   78,607    
2,600   ZIONS BANCORP N.A.   49,361   69,576    
        38,557,248   50,582,501   12.06%
Health Care:            
12,487   ABBOTT LABORATORIES   246,035   985,349    
28,373   ABBVIE, INC.   1,407,552   2,161,739    
300   ABIOMED, INC.(b)   44,070   43,548    
1,800   ADAPTIVE BIOTECHNOLOGIES CORP.(b)   45,536   50,004    
1,457   AGILENT TECHNOLOGIES, INC.   63,335   104,350    
1,200   AGIOS PHARMACEUTICALS, INC.(b)   44,843   42,576    
6,964   ALEXION PHARMACEUTICALS, INC.(b)   537,224   625,298    
2,191   ALIGN TECHNOLOGY, INC.(b)   327,961   381,124    
2,233   ALLERGAN PLC   259,023   395,464    
34,100   AMERISOURCEBERGEN CORP.   2,402,692   3,017,850    
18,814   AMGEN, INC.   3,435,339   3,814,162    
7,050   ANTHEM, INC.   381,518   1,600,632    
193   AVANOS MEDICAL, INC.(b)   3,014   5,197    
3,700   AVANTOR, INC.(b)   41,168   46,213    
9,039   BAXTER INTERNATIONAL, INC.   441,749   733,876    
2,765   BECTON DICKINSON AND CO.   227,292   635,314    
6,792   BIOGEN, INC.(b)   1,848,819   2,148,853    
32,800   BOSTON SCIENTIFIC CORP.(b)   182,160   1,070,264    
47,070   BRISTOL-MYERS SQUIBB CO.   2,055,080   2,623,682    
2,145   BRUKER CORP.   43,219   76,920    
20,122   CARDINAL HEALTH, INC.   921,069   964,649    
1,500   CATALENT, INC.(b)   72,507   77,925    
2,772   CENTENE CORP.(b)   79,676   164,684    
3,600   CERNER CORP.   40,604   226,764    
6,542   CIGNA CORP.   228,194   1,159,112    
200   COOPER (THE) COS., INC.   50,902   55,134    
12,401   CVS HEALTH CORP.   507,356   735,751    
9,229   DANAHER CORP.   272,153   1,277,386    
22,007   DAVITA, INC.(b)   1,626,845   1,673,852    
5,332   DENTSPLY SIRONA, INC.   141,306   207,042    
1,500   DEXCOM, INC.(b)   87,311   403,905    
8,226   EDWARDS LIFESCIENCES CORP.(b)   228,593   1,551,588    
3,800   ELANCO ANIMAL HEALTH, INC.(b)   74,580   85,082    
25,679   ELI LILLY & CO.   2,508,504   3,562,191    
44,036   EXELIXIS, INC.(b)   786,642   758,300    
20,487   GILEAD SCIENCES, INC.   381,470   1,531,608    
3,800   HENRY SCHEIN, INC.(b)   67,547   191,976    
6,608   HOLOGIC, INC.(b)   92,603   231,941    
5,942   HORIZON THERAPEUTICS PLC(b)   137,546   176,002    
2,378   HUMANA, INC.   820,169   746,740    
2,299   IDEXX LABORATORIES, INC.(b)   98,745   556,910    
2,300   ILLUMINA, INC.(b)   98,233   628,176    
1,900   INCYTE CORP.(b)   120,835   139,137    
1,462   INTUITIVE SURGICAL, INC.(b)   560,949   723,997    
5,634   IQVIA HOLDINGS, INC.(b)   560,732   607,683    
6,984   JAZZ PHARMACEUTICALS PLC(b)(c)   915,001   696,584    
24,558   JOHNSON & JOHNSON   1,573,363   3,220,290    
842   LABORATORY CORP. OF AMERICA HOLDINGS(b)   53,269   106,420    
7,292   MCKESSON CORP.   421,610   986,316    
12,348   MEDTRONIC PLC(c)   1,077,575   1,113,543    
43,496   MERCK & CO., INC.   1,385,905   3,346,582    
1,317   METTLER-TOLEDO INTERNATIONAL, INC.(b)   123,051   909,402    
2,100   MODERNA, INC.(b)   56,988   62,895    
939   MOLINA HEALTHCARE, INC.(b)   122,169   131,188    
44,680   MYLAN N.V.(b)   841,743   666,179    
5 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Health Care (Cont'd):            
800   NEUROCRINE BIOSCIENCES, INC.(b)   $72,192   69,240    
300   PENUMBRA, INC.(b)   36,663   48,399    
1,200   PERRIGO CO. PLC(c)   53,711   57,708    
116,885   PFIZER, INC.   3,131,597   3,815,126    
2,600   PPD, INC.(b)   45,518   46,306    
1,000   QIAGEN N.V.(b)(c)   39,870   41,600    
292   REGENERON PHARMACEUTICALS, INC.(b)   144,299   142,581    
8,022   RESMED, INC.   644,542   1,181,560    
700   SAREPTA THERAPEUTICS, INC.(b)   66,178   68,474    
10,110   STERIS PLC   1,183,076   1,415,097    
1,800   TELEFLEX, INC.   195,858   527,148    
6,072   THERMO FISHER SCIENTIFIC, INC.   1,007,478   1,722,019    
830   UNITED THERAPEUTICS CORP.(b)   72,357   78,705    
14,091   UNITEDHEALTH GROUP, INC.   1,941,198   3,514,014    
3,477   UNIVERSAL HEALTH SERVICES, INC., CLASS B   211,964   344,501    
1,880   VAREX IMAGING CORP.(b)   19,829   42,695    
5,199   VARIAN MEDICAL SYSTEMS, INC.(b)   193,000   533,729    
699   VEEVA SYSTEMS, INC., CLASS A(b)   45,879   109,303    
2,400   VERTEX PHARMACEUTICALS, INC.(b)   337,589   571,080    
8,978   WATERS CORP.(b)   1,428,708   1,634,445    
4,304   ZIMMER BIOMET HOLDINGS, INC.   233,961   435,048    
559   ZOETIS, INC.   40,258   65,789    
        42,319,099   66,703,916   15.90%
Industrials:            
6,987   3M CO.   417,187   953,795    
923   ACCO BRANDS CORP.   3,137   4,661    
11,607   ADT, INC.   45,143   50,142    
4,642   AGCO CORP.   225,963   219,334    
900   AIR LEASE CORP.   17,685   19,926    
1,533   ALLEGION PLC(c)   40,913   141,067    
300   AMERCO   88,798   87,165    
3,100   AMERICAN AIRLINES GROUP, INC.   47,729   37,789    
5,175   AMETEK, INC.   73,220   372,703    
5,100   BOEING (THE) CO.   215,200   760,614    
1,200   BWX TECHNOLOGIES, INC.   54,215   58,452    
5,604   CARLISLE COS., INC.   470,886   702,069    
10,504   CATERPILLAR, INC.   272,491   1,218,884    
3,200   CINTAS CORP.   258,101   554,304    
2,000   COPART, INC.(b)   143,195   137,040    
6,700   CORELOGIC, INC.   76,313   204,618    
5,739   CRANE CO.   189,222   282,244    
4,524   CSX CORP.   181,824   259,225    
14,665   CUMMINS, INC.   2,331,857   1,984,468    
7,300   DEERE & CO.   199,160   1,008,568    
10,100   DELTA AIR LINES, INC.   100,965   288,153    
1,525   DOVER CORP.   32,899   128,009    
19,882   EATON CORP. PLC   752,240   1,544,633    
2,280   EXPEDITORS INTERNATIONAL OF WASHINGTON, INC.   112,692   152,122    
5,753   FEDEX CORP.   113,466   697,609    
3,325   FORTIVE CORP.   43,068   183,507    
39,301   FORTUNE BRANDS HOME & SECURITY, INC.   1,900,757   1,699,768    
1,400   GATX CORP.   24,276   87,584    
2,128   GENERAL DYNAMICS CORP.   296,250   281,556    
875   HEICO CORP.   61,334   65,284    
2,156   HEICO CORP., CLASS A   109,365   137,768    
360   HERC HOLDINGS, INC.(b)   5,808   7,366    
9,188   HONEYWELL INTERNATIONAL, INC.   265,803   1,229,263    
1,200   HUBBELL, INC.   43,310   137,688    
1,423   HUNTINGTON INGALLS INDUSTRIES, INC.   192,370   259,285    
1,500   IAA, INC.(b)   45,883   44,940    
2,271   IDEX CORP.   140,770   313,648    
4,865   IHS MARKIT LTD.(c)   341,988   291,900    
4,824   ILLINOIS TOOL WORKS, INC.   155,812   685,587    
2,382   INGERSOLL RAND, INC.(b)   18,866   59,074    
1,468   JACOBS ENGINEERING GROUP, INC.   29,713   116,368    
2,100   JB HUNT TRANSPORT SERVICES, INC.   40,530   193,683    
13,203   JETBLUE AIRWAYS CORP.(b)   81,151   118,167    
6 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Industrials (Cont'd):            
13,073   JOHNSON CONTROLS INTERNATIONAL PLC   $341,983   352,448    
4,274   L3HARRIS TECHNOLOGIES, INC.   274,846   769,833    
600   LENNOX INTERNATIONAL, INC.   17,874   109,074    
1,400   LINCOLN ELECTRIC HOLDINGS, INC.   28,970   96,600    
2,538   LOCKHEED MARTIN CORP.   689,956   860,255    
1,800   LYFT, INC., CLASS A(b)   50,324   48,330    
1,200   MANITOWOC (THE) CO., INC.(b)   10,053   10,200    
3,509   MANPOWERGROUP, INC.   170,600   185,942    
15,263   MASCO CORP.   139,724   527,642    
577   NORDSON CORP.   57,299   77,935    
760   NORFOLK SOUTHERN CORP.   14,546   110,960    
4,673   NORTHROP GRUMMAN CORP.   480,108   1,413,816    
2,519   NVENT ELECTRIC PLC(c)   24,113   42,496    
3,666   OLD DOMINION FREIGHT LINE, INC.   488,884   481,199    
7,480   OSHKOSH CORP.   303,782   481,188    
1,100   OWENS CORNING   22,578   42,691    
1,067   PACCAR, INC.   47,468   65,226    
4,628   PARKER-HANNIFIN CORP.   350,966   600,390    
2,519   PENTAIR PLC(c)   49,295   74,965    
5,225   QUANTA SERVICES, INC.   97,933   165,789    
1,157   RAYTHEON CO.   32,516   151,741    
12,257   REPUBLIC SERVICES, INC.   732,074   920,010    
5,250   ROCKWELL AUTOMATION, INC.   73,987   792,277    
2,580   ROLLINS, INC.   67,194   93,241    
700   ROPER TECHNOLOGIES, INC.   94,317   218,267    
2,015   SNAP-ON, INC.   191,097   219,272    
16,780   SOUTHWEST AIRLINES CO.   560,041   597,536    
5,900   SPIRIT AEROSYSTEMS HOLDINGS, INC., CLASS A   238,478   141,187    
2,557   STANLEY BLACK & DECKER, INC.   72,048   255,700    
600   STERICYCLE, INC.(b)   18,858   29,148    
5,162   TIMKEN (THE) CO.   171,352   166,939    
1,596   TORO (THE) CO.   76,510   103,884    
10,505   TRANE TECHNOLOGIES PLC(c)   490,333   867,608    
200   TRANSDIGM GROUP, INC.   60,439   64,038    
12,944   UBER TECHNOLOGIES, INC.(b)   398,810   361,396    
7,843   UNION PACIFIC CORP.   124,750   1,106,177    
1,928   UNITED AIRLINES HOLDINGS, INC.(b)   38,137   60,828    
3,540   UNITED PARCEL SERVICE, INC., CLASS B   166,527   330,707    
11,099   UNITED RENTALS, INC.(b)   1,158,398   1,142,087    
10,640   UNITED TECHNOLOGIES CORP.   359,144   1,003,671    
3,634   VERISK ANALYTICS, INC.   459,914   506,507    
180   VERITIV CORP.(b)   1,653   1,415    
700   W.W. GRAINGER, INC.   30,601   173,950    
975   WASTE CONNECTIONS, INC.   42,575   75,563    
17,554   WASTE MANAGEMENT, INC.   879,219   1,624,798    
1,200   WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP.   21,945   57,756    
1,600   XYLEM, INC.   30,618   104,208    
        20,514,392   35,466,920   8.45%
Information Technology:            
2,200   2U, INC.(b)   40,782   46,684    
4,949   ACCENTURE PLC, CLASS A(c)   304,426   807,974    
6,754   ADOBE, INC.(b)   802,976   2,149,393    
10,700   ADVANCED MICRO DEVICES, INC.(b)   115,242   486,636    
12,626   AKAMAI TECHNOLOGIES, INC.(b)   715,662   1,155,153    
1,100   ALLIANCE DATA SYSTEMS CORP.   47,178   37,015    
1,236   ALTERYX, INC., CLASS A(b)   140,231   117,630    
4,065   AMDOCS LTD.   200,086   223,453    
8,600   ANALOG DEVICES, INC.   120,368   770,990    
1,400   ANAPLAN, INC.(b)   47,612   42,364    
1,200   ANSYS, INC.(b)   30,630   278,964    
70,583   APPLE, INC.   6,404,827   17,948,551    
7,400   APPLIED MATERIALS, INC.   134,145   339,068    
4,877   ARROW ELECTRONICS, INC.(b)   267,343   252,970    
1,300   ATLASSIAN CORP. PLC, CLASS A(b)(c)   116,368   178,438    
2,586   AUTODESK, INC.(b)   163,995   403,675    
6,766   AUTOMATIC DATA PROCESSING, INC.   361,211   924,777    
7,371   BLACK KNIGHT, INC.(b)   272,636   427,960    
7 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Information Technology (Cont'd):            
9,493   BOOZ ALLEN HAMILTON HOLDING CORP.   $296,190   651,599    
3,991   BROADCOM, INC.   183,141   946,266    
3,413   BROADRIDGE FINANCIAL SOLUTIONS, INC.   106,898   323,655    
1,209   CACI INTERNATIONAL, INC., CLASS A(b)   249,365   255,280    
33,619   CADENCE DESIGN SYSTEMS, INC.(b)   1,583,883   2,220,199    
1,522   CDK GLOBAL, INC.   19,712   49,998    
7,000   CDW CORP.   292,424   652,890    
27,277   CERENCE, INC.(b)   633,070   420,066    
84,983   CISCO SYSTEMS, INC.   1,929,611   3,340,682    
18,076   CITRIX SYSTEMS, INC.   2,088,263   2,558,658    
1,000   COGNEX CORP.   44,753   42,220    
2,700   COGNIZANT TECHNOLOGY SOLUTIONS CORP., CLASS A   25,751   125,469    
4,600   COMMSCOPE HOLDING CO., INC.(b)   41,842   41,906    
15,600   CORNING, INC.   85,176   320,424    
900   COUPA SOFTWARE, INC.(b)   111,897   125,757    
923   DELL TECHNOLOGIES, INC., CLASS C(b)   21,056   36,505    
1,600   DOCUSIGN, INC.(b)   101,517   147,840    
2,000   DOLBY LABORATORIES, INC., CLASS A   43,420   108,420    
2,300   DROPBOX, INC., CLASS A(b)   42,360   41,630    
4,992   DXC TECHNOLOGY CO.   158,627   65,146    
1,640   ECHOSTAR CORP., CLASS A(b)   21,050   52,431    
954   EPAM SYSTEMS, INC.(b)   163,143   177,120    
300   EURONET WORLDWIDE, INC.(b)   25,458   25,716    
1,300   F5 NETWORKS, INC.(b)   30,063   138,619    
300   FAIR ISAAC CORP.(b)   80,682   92,307    
12,959   FIDELITY NATIONAL INFORMATION SERVICES, INC.   538,426   1,576,333    
3,900   FIREEYE, INC.(b)   44,602   41,262    
9,784   FISERV, INC.(b)   172,685   929,382    
200   FLEETCOR TECHNOLOGIES, INC.(b)   33,618   37,308    
5,523   FORTINET, INC.(b)   393,491   558,762    
5,708   GLOBAL PAYMENTS, INC.   297,530   823,265    
800   GODADDY, INC., CLASS A(b)   39,006   45,688    
18,800   HEWLETT PACKARD ENTERPRISE CO.   102,062   182,548    
11,910   HP, INC.   179,763   206,758    
400   HUBSPOT, INC.(b)   54,548   53,276    
68,231   INTEL CORP.   1,023,945   3,692,662    
11,178   INTERNATIONAL BUSINESS MACHINES CORP.   1,160,467   1,239,975    
5,000   INTUIT, INC.   103,285   1,150,000    
13,175   JABIL, INC.   259,881   323,841    
400   KEYSIGHT TECHNOLOGIES, INC.(b)   32,788   33,472    
9,185   LAM RESEARCH CORP.   803,602   2,204,400    
27,189   LEIDOS HOLDINGS, INC.   2,191,927   2,491,872    
827   LOGMEIN, INC.   17,893   68,873    
1,721   MANHATTAN ASSOCIATES, INC.(b)   112,154   85,740    
3,770   MARVELL TECHNOLOGY GROUP LTD.   20,234   85,315    
8,053   MASTERCARD, INC., CLASS A   1,701,115   1,945,283    
1,900   MEDALLIA, INC.(b)   44,418   38,076    
4,200   MICROCHIP TECHNOLOGY, INC.   38,962   284,760    
46,725   MICRON TECHNOLOGY, INC.(b)   1,063,489   1,965,253    
113,888   MICROSOFT CORP.   4,940,620   17,961,276    
500   MKS INSTRUMENTS, INC.   32,310   40,725    
900   MONGODB, INC.(b)   115,074   122,886    
900   NEW RELIC, INC.(b)   42,264   41,616    
36,573   NORTONLIFELOCK, INC.   432,755   684,281    
8,184   NVIDIA CORP.   1,200,803   2,157,302    
18,025   NXP SEMICONDUCTORS N.V.(c)   1,630,731   1,494,813    
1,597   OKTA, INC.(b)   180,600   195,249    
64,269   ORACLE CORP.   3,416,256   3,106,121    
2,800   PALO ALTO NETWORKS, INC.(b)   116,508   459,088    
466   PAYCHEX, INC.   27,642   29,321    
1,553   PAYCOM SOFTWARE, INC.(b)   217,948   313,721    
7,600   PAYPAL HOLDINGS, INC.(b)   595,521   727,624    
907   PERSPECTA, INC.   8,504   16,544    
3,800   PLURALSIGHT, INC., CLASS A(b)   42,888   41,724    
600   PROOFPOINT, INC.(b)   56,232   61,554    
2,400   PTC, INC.(b)   82,674   146,904    
3,588   QORVO, INC.(b)   317,244   289,300    
8 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Information Technology (Cont'd):            
7,921   QUALCOMM, INC.   $619,767   535,856    
3,800   RINGCENTRAL, INC., CLASS A(b)   432,566   805,258    
8,372   SALESFORCE.COM, INC.(b)   147,727   1,205,400    
65,456   SEAGATE TECHNOLOGY PLC   2,607,966   3,194,253    
2,100   SERVICENOW, INC.(b)   273,110   601,818    
6,675   SKYWORKS SOLUTIONS, INC.   640,777   596,611    
900   SMARTSHEET, INC., CLASS A(b)   39,015   37,359    
1,400   SPLUNK, INC.(b)   162,032   176,722    
3,000   SQUARE, INC., CLASS A(b)   111,050   157,140    
1,938   SS&C TECHNOLOGIES HOLDINGS, INC.   86,602   84,923    
10,981   SYNNEX CORP.   1,048,564   802,711    
10,032   SYNOPSYS, INC.(b)   913,224   1,292,021    
4,600   TERADYNE, INC.   82,730   249,182    
27,940   TEXAS INSTRUMENTS, INC.   943,662   2,792,044    
7,720   TRIMBLE, INC.(b)   113,413   245,728    
200   VERISIGN, INC.(b)   23,200   36,018    
18,278   VISA, INC., CLASS A   562,267   2,944,951    
7,800   VISHAY INTERTECHNOLOGY, INC.   48,931   112,398    
3,772   VMWARE, INC., CLASS A(b)   190,784   456,789    
5,845   WESTERN DIGITAL CORP.   90,457   243,269    
208,267   WESTERN UNION (THE) CO.   4,265,673   3,775,881    
1,000   WORKDAY, INC., CLASS A(b)   137,260   130,220    
6,688   XEROX HOLDINGS CORP.   243,629   126,671    
6,750   XILINX, INC.   47,180   526,095    
2,685   ZEBRA TECHNOLOGIES CORP., CLASS A(b)   397,763   492,966    
1,300   ZENDESK, INC.(b)   79,215   83,213    
700   ZSCALER, INC.(b)   41,398   42,602    
        56,901,497   109,254,750   26.05%
Materials:            
1,075   AIR PRODUCTS & CHEMICALS, INC.   43,205   214,581    
1,300   ALBEMARLE CORP.   29,152   73,281    
13,770   AMCOR PLC(c)   60,200   111,812    
700   ASHLAND GLOBAL HOLDINGS, INC.   12,006   35,049    
3,165   AVERY DENNISON CORP.   207,899   322,419    
25,813   CELANESE CORP.   2,239,726   1,894,416    
4,500   CHEMOURS (THE) CO.   49,032   39,915    
7,262   CORTEVA, INC.   88,857   170,657    
1,800   CROWN HOLDINGS, INC.(b)   57,831   104,472    
7,262   DOW, INC.   147,036   212,341    
10,454   DUPONT DE NEMOURS, INC.   408,910   356,481    
7,160   EASTMAN CHEMICAL CO.   255,445   333,513    
3,891   ECOLAB, INC.   133,579   606,335    
15,800   FREEPORT-MCMORAN, INC.   103,648   106,650    
238   INTERNATIONAL FLAVORS & FRAGRANCES, INC.   5,120   24,295    
19,791   INTERNATIONAL PAPER CO.   619,259   616,094    
4,450   LINDE PLC(c)   723,931   769,850    
4,476   LYONDELLBASELL INDUSTRIES N.V., CLASS A   176,907   222,144    
700   MARTIN MARIETTA MATERIALS, INC.   27,965   132,461    
24,755   NEWMONT CORP.   929,653   1,120,906    
5,844   NUCOR CORP.   99,313   210,501    
4,000   OLIN CORP.   47,145   46,680    
10,294   PACKAGING CORP. OF AMERICA   771,550   893,828    
5,172   PPG INDUSTRIES, INC.   123,888   432,379    
6,625   RELIANCE STEEL & ALUMINUM CO.   325,929   580,284    
600   ROYAL GOLD, INC.   22,314   52,626    
2,400   RPM INTERNATIONAL, INC.   24,657   142,800    
500   SCOTTS MIRACLE-GRO (THE) CO.   37,765   51,200    
1,400   SEALED AIR CORP.   24,528   34,594    
257   SHERWIN-WILLIAMS (THE) CO.   12,489   118,097    
3,600   SONOCO PRODUCTS CO.   74,519   166,860    
3,234   SOUTHERN COPPER CORP.(c)   38,445   91,069    
8,200   STEEL DYNAMICS, INC.   89,708   184,828    
4,392   VALVOLINE, INC.   24,184   57,491    
2,100   VULCAN MATERIALS CO.   63,441   226,947    
2,242   WESTROCK CO.   24,357   63,359    
        8,123,593   10,821,215   2.58%
9 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Real Estate:            
2,100   ALEXANDRIA REAL ESTATE EQUITIES, INC.   $106,066   287,826    
9,773   AMERICAN TOWER CORP.   1,576,410   2,128,071    
3,529   APARTMENT INVESTMENT & MANAGEMENT CO., CLASS A   39,963   124,044    
734   AVALONBAY COMMUNITIES, INC.   31,138   108,023    
3,388   BOSTON PROPERTIES, INC.   171,468   312,475    
900   CAMDEN PROPERTY TRUST   24,065   71,316    
24,200   COLONY CAPITAL, INC.   47,800   42,350    
500   CORESITE REALTY CORP.   43,021   57,950    
4,700   CROWN CASTLE INTERNATIONAL CORP.   190,955   678,680    
900   CYRUSONE, INC.   45,900   55,575    
2,500   DIGITAL REALTY TRUST, INC.   269,780   347,275    
5,200   DOUGLAS EMMETT, INC.   44,883   158,652    
1,700   DUKE REALTY CORP.   28,435   55,046    
2,140   EQUINIX, INC.   817,154   1,336,580    
10,892   EQUITY LIFESTYLE PROPERTIES, INC.   502,076   626,072    
5,416   EQUITY RESIDENTIAL   174,162   334,221    
675   ESSEX PROPERTY TRUST, INC.   73,174   148,662    
900   FEDERAL REALTY INVESTMENT TRUST   48,326   67,149    
1,046   FOUR CORNERS PROPERTY TRUST, INC.   8,684   19,571    
2,000   GAMING AND LEISURE PROPERTIES, INC.   53,895   55,420    
7,000   HEALTHPEAK PROPERTIES, INC.   72,217   166,950    
41,198   HOST HOTELS & RESORTS, INC.   501,809   454,826    
678   HOWARD HUGHES (THE) CORP.(b)   20,502   34,252    
700   JBG SMITH PROPERTIES   17,888   22,281    
700   JONES LANG LASALLE, INC.   39,951   70,686    
4,001   KIMCO REALTY CORP.   33,139   38,690    
3,900   LAMAR ADVERTISING CO., CLASS A   43,876   199,992    
1,800   MID-AMERICA APARTMENT COMMUNITIES, INC.   132,698   185,454    
3,700   OUTFRONT MEDIA, INC.   47,754   49,876    
10,911   PROLOGIS, INC.   282,240   876,917    
1,424   PUBLIC STORAGE   135,843   282,821    
6,972   RAYONIER, INC.   74,591   164,191    
2,600   REALTY INCOME CORP.   49,031   129,636    
3,900   REGENCY CENTERS CORP.   85,344   149,877    
6,422   SBA COMMUNICATIONS CORP.   1,163,408   1,733,747    
1,594   SIMON PROPERTY GROUP, INC.   75,050   87,447    
1,100   SUN COMMUNITIES, INC.   83,011   137,335    
2,100   TAUBMAN CENTERS, INC.   53,754   87,948    
4,100   UDR, INC.   63,318   149,814    
1,727   VENTAS, INC.   83,361   46,284    
10,100   VEREIT, INC.   51,263   49,389    
4,300   VICI PROPERTIES, INC.   66,375   71,552    
2,100   WEINGARTEN REALTY INVESTORS   29,916   30,303    
4,916   WEYERHAEUSER CO.   64,713   83,326    
        7,568,407   12,318,552   2.94%
Utilities:            
3,000   AES CORP.   32,870   40,800    
2,000   ALLIANT ENERGY CORP.   24,835   96,580    
1,600   AMEREN CORP.   40,872   116,528    
8,554   AMERICAN ELECTRIC POWER CO., INC.   477,380   684,149    
13,200   AVANGRID, INC.   502,113   577,896    
5,800   CENTERPOINT ENERGY, INC.   66,308   89,610    
13,300   CMS ENERGY CORP.   259,708   781,375    
4,989   CONSOLIDATED EDISON, INC.   319,712   389,142    
12,073   DOMINION ENERGY, INC.   450,978   871,550    
5,743   DTE ENERGY CO.   462,041   545,413    
12,117   DUKE ENERGY CORP.   582,142   980,023    
8,325   EDISON INTERNATIONAL   179,967   456,127    
3,164   ENTERGY CORP.   68,368   297,321    
1,735   ESSENTIAL UTILITIES, INC.   22,973   70,615    
2,974   EVERGY, INC.   67,407   163,719    
4,961   EVERSOURCE ENERGY   125,492   388,000    
36,566   EXELON CORP.   1,375,912   1,345,994    
5,500   FIRSTENERGY CORP.   176,693   220,385    
900   NATIONAL FUEL GAS CO.   20,790   33,561    
4,400   NEXTERA ENERGY, INC.   204,691   1,058,728    
6,900   NISOURCE, INC.   43,973   172,293    
10 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Utilities (Cont'd):            
10,933   OGE ENERGY CORP.   $282,750   335,971    
5,000   PG&E CORP.(b)   46,280   44,950    
12,903   PINNACLE WEST CAPITAL CORP.   1,006,821   977,918    
700   PPL CORP.   10,384   17,276    
1,200   PUBLIC SERVICE ENTERPRISE GROUP, INC.   51,552   53,892    
3,200   SEMPRA ENERGY   174,758   361,568    
8,600   SOUTHERN (THE) CO.   176,010   465,604    
5,426   UGI CORP.   80,112   144,711    
1,600   WEC ENERGY GROUP, INC.   91,440   141,008    
968   XCEL ENERGY, INC.   36,241   58,370    
        7,461,573   11,981,077   2.86%
    Sub-total Common Stocks:   255,473,604   416,486,020   99.29%
Short-Term Investments:            
2,538,487   NORTHERN INSTITUTIONAL FUNDS - U.S. GOVERNMENT SELECT PORTFOLIO, 0.37%(d)   2,538,487   2,538,487    
    Sub-total Short-Term Investments:   2,538,487   2,538,487   0.60%
    Grand total   $258,012,091   419,024,507   99.89%
    
Notes to Schedule of Investments:
(a) Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market where the securities are traded. Foreign security values are stated in U.S. dollars.
(b) Non-income producing assets.
(c) Foreign security values are stated in U.S. dollars. As of March 31, 2020, the value of foreign stocks or depositary receipts of companies based outside of the United States represented 2.89% of net assets.
(d) The short-term investment is a money market portfolio of the investment company, Northern Institutional Funds. At December 31, 2019, the value of the Clearwater Core Equity Fund's investment in the U.S. Government Select Portfolio of the Northern Institutional Funds was $2,916,876 with net sales of $378,389 during the three months ended March 31, 2020.
11 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
March 31, 2020 (unaudited)
Fair value is an estimate of the price the Clearwater Core Equity Fund would receive upon selling a security in a timely transaction to an independent buyer in the principal or most advantageous market for the security. This guidance establishes a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Various inputs are used in determining the value of the Clearwater Core Equity Fund's investments, as described below. These inputs are summarized in the three broad levels listed below.
Level 1 – Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 – Other significant observable inputs including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc. or quoted prices for identical or similar assets in markets that are not active. Inputs that are derived principally from or corroborated by observable market data are also considered Level 2 measurements. An adjustment to any observable input that is significant to the fair value may render the measurement a Level 3 measurement.
Level 3 – Valuations based on unobservable inputs, which may include the Adviser’s own assumptions in determining the fair value of an investment.
Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market in which such securities are traded, with foreign security values stated in U.S. dollars. Equity securities which have not traded on the date of valuation or securities for which sales prices are not generally reported are valued at the mean between the last bid and asked prices. Security transactions are accounted for as of trade date. Wherever possible, the Clearwater Core Equity Fund uses independent pricing services approved by the Board of Trustees of Clearwater Investment Trust to value its investments. When prices are not readily available (including those for which trading has been suspended), are determined not to reflect fair value, or when the Adviser becomes aware that a significant event impacting the value of a security or group of securities has occurred after the closing of the exchange on which the security or securities principally trade, but before the calculation of the daily net asset value, the Clearwater Core Equity Fund may value these securities at fair value as determined in good faith using procedures established by the Board of Trustees.
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following is a summary of the inputs used in valuing the Clearwater Core Equity Fund’s investments and other financial instruments, if any, which are carried at fair value, as of March 31, 2020.
  Level 1   Level 2   Level 3   Total
Common Stocks $416,486,020   $   $   $416,486,020
Short-Term Investments 2,538,487       2,538,487
Total $419,024,507   $   $   $419,024,507
For the Clearwater Core Equity Fund, the investment value is comprised of equity securities and short-term investments. See the Clearwater Core Equity Fund’s Schedule of Investments for industry classification. Investments in equity and short-term securities generally are valued at the last sales price or the regular trading session closing price on the principal exchange or market where they are traded.
12 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
March 31, 2020 (unaudited)
Clearwater Core Equity Fund Portfolio Diversification
(as a percentage of net assets)
13 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Small Companies Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Common Stocks:            
Communication Services:            
149,248   ALASKA COMMUNICATIONS SYSTEMS GROUP, INC.(b)   $269,931   259,692    
66,393   ENTERCOM COMMUNICATIONS CORP., CLASS A   280,982   113,532    
64,340   ENTRAVISION COMMUNICATIONS CORP., CLASS A   186,398   130,610    
50,229   EW SCRIPPS (THE) CO., CLASS A   684,682   378,727    
1,669   GRAY TELEVISION, INC.(b)   18,266   17,925    
37,351   READING INTERNATIONAL, INC., CLASS A(b)   550,188   145,295    
34,648   SAGA COMMUNICATIONS, INC., CLASS A   1,052,124   953,166    
17,851   TOWNSQUARE MEDIA, INC., CLASS A   139,834   82,293    
        3,182,405   2,081,240   0.85%
Consumer Discretionary:            
189,700   AMERICAN EAGLE OUTFITTERS, INC.   3,387,557   1,508,115    
301,914   BBX CAPITAL CORP.   1,546,173   697,421    
121,936   BLUEGREEN VACATIONS CORP.(c)   1,147,451   704,790    
110,975   CALLAWAY GOLF CO.   1,850,286   1,134,165    
47,443   CARRIAGE SERVICES, INC.   916,790   766,205    
213,435   CLARUS CORP.   1,204,054   2,091,663    
7,935   CROWN CRAFTS, INC.   37,850   37,929    
160,862   DANA, INC.   1,858,997   1,256,332    
71,600   EXTENDED STAY AMERICA, INC.   1,391,461   523,396    
145,674   FIESTA RESTAURANT GROUP, INC.(b)   1,769,880   587,066    
281,942   FULL HOUSE RESORTS, INC.(b)   661,760   352,428    
111,300   GILDAN ACTIVEWEAR, INC.(d)   2,967,612   1,420,188    
67,200   HANESBRANDS, INC.   921,601   528,864    
21,340   HELEN OF TROY LTD.(b)   2,251,674   3,073,600    
60,338   HOOKER FURNITURE CORP.   1,390,880   941,876    
12,797   INSTALLED BUILDING PRODUCTS, INC.(b)   893,009   510,217    
26,692   J ALEXANDER'S HOLDINGS, INC.(b)   289,196   102,230    
230,067   LIFETIME BRANDS, INC.   2,211,304   1,299,879    
31,900   MALIBU BOATS, INC., CLASS A(b)   1,009,960   918,401    
54,781   MASTERCRAFT BOAT HOLDINGS, INC.(b)   1,238,281   399,901    
68,618   MOTORCAR PARTS OF AMERICA, INC.(b)   1,293,852   863,215    
389,261   OFFICE DEPOT, INC.   725,691   638,388    
192,936   POTBELLY CORP.(b)   1,515,946   596,172    
66,843   SKYLINE CHAMPION CORP.(b)   1,536,580   1,048,098    
40,940   STONERIDGE, INC.(b)   933,730   685,745    
20,633   UNIFI, INC.(b)   432,745   238,311    
9,365   VISTA OUTDOOR, INC.(b)   69,108   82,412    
71,310   WINNEBAGO INDUSTRIES, INC.   2,148,506   1,983,131    
27,837   WYNDHAM DESTINATIONS, INC.   1,356,040   604,063    
        38,957,974   25,594,201   10.48%
Consumer Staples:            
73,766   BJ'S WHOLESALE CLUB HOLDINGS, INC.(b)   1,834,460   1,878,820    
8,076   MEDIFAST, INC.(c)   457,836   504,750    
42,128   PERFORMANCE FOOD GROUP CO.(b)   1,448,301   1,041,404    
1,076   SENECA FOODS CORP., CLASS A(b)   39,193   42,803    
34,863   SPECTRUM BRANDS HOLDINGS, INC.   1,846,251   1,267,968    
566,028   SUNOPTA, INC.(b)(c)(d)   2,187,557   973,568    
26,365   UNIVERSAL CORP.   1,424,310   1,165,597    
        9,237,908   6,874,910   2.81%
Energy:            
124,386   MURPHY OIL CORP.(c)   2,248,376   762,486    
35,601   NATIONAL OILWELL VARCO, INC.   327,308   349,958    
420,962   NEXTIER OILFIELD SOLUTIONS, INC.(b)   2,237,589   492,526    
        4,813,273   1,604,970   0.66%
Financials:            
9,628   1ST CONSTITUTION BANCORP   183,798   127,571    
13,239   AMALGAMATED BANK, CLASS A   226,695   143,246    
36,821   AMBAC FINANCIAL GROUP, INC.(b)   697,268   454,371    
100,492   AMERICAN EQUITY INVESTMENT LIFE HOLDING CO.   2,577,857   1,889,250    
10,167   AMERICAN NATIONAL BANKSHARES, INC.   367,944   242,991    
34,353   AMERIS BANCORP   1,077,159   816,227    
13,813   ARGO GROUP INTERNATIONAL HOLDINGS LTD.(d)   723,465   511,910    
107,251   ASSOCIATED BANC-CORP   2,470,813   1,371,740    
46,550   AXIS CAPITAL HOLDINGS LTD.(d)   2,492,373   1,799,158    
47,860   BANCORP (THE), INC.(b)   434,951   290,510    
14 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Small Companies Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Financials (Cont'd):            
13,321   BANKWELL FINANCIAL GROUP, INC.   $368,487   203,278    
18,492   BCB BANCORP, INC.   226,527   196,940    
55,672   BLACKROCK TCP CAPITAL CORP.   765,630   347,950    
11,659   BRIDGE BANCORP, INC.   377,193   246,704    
4,166   BRYN MAWR BANK CORP.   155,490   118,231    
48,383   CANNAE HOLDINGS, INC.(b)   946,363   1,620,347    
25,487   CAROLINA FINANCIAL CORP.   904,017   659,349    
9,422   CB FINANCIAL SERVICES, INC.   253,743   181,939    
8,950   CITIZENS HOLDING CO.   184,838   180,074    
252,772   CNO FINANCIAL GROUP, INC.   4,426,849   3,131,845    
21,041   COMMERCE BANCSHARES, INC.   1,001,678   1,059,414    
14,606   COMMUNITY BANKERS TRUST CORP.   130,349   70,839    
69,074   CRAWFORD & CO., CLASS A   619,458   497,333    
22,696   CRAWFORD & CO., CLASS B   185,565   145,027    
101,211   DONEGAL GROUP, INC., CLASS A   1,520,565   1,538,407    
14,965   EAGLE BANCORP MONTANA, INC.   263,774   242,583    
33,111   EMPIRE BANCORP, INC.(b)   447,702   324,488    
27,247   ENTERPRISE FINANCIAL SERVICES CORP.   1,135,339   760,464    
84,144   ESSENT GROUP LTD.   3,453,322   2,216,353    
126,661   EXANTAS CAPITAL CORP.   1,119,731   349,584    
68,410   FIDUS INVESTMENT CORP.   951,978   452,874    
6,483   FIRST BANCSHARES (THE), INC.   217,375   123,631    
2,892   FIRST BANK/HAMILTON NJ   31,447   20,071    
10,051   FIRST HAWAIIAN, INC.   257,790   166,143    
30,410   FIRST MERCHANTS CORP.   1,250,782   805,561    
9,800   FIRST MID BANCSHARES, INC.   335,103   232,652    
77,252   FIRST MIDWEST BANCORP, INC.   1,720,204   1,022,430    
7,289   FIRST NORTHWEST BANCORP   122,410   79,231    
24,300   FIRSTCASH, INC.   1,737,314   1,743,282    
42,444   FLUSHING FINANCIAL CORP.   873,797   567,052    
53,400   GLACIER BANCORP, INC.   2,184,309   1,815,867    
28,584   HANCOCK WHITNEY CORP.   1,332,312   557,960    
16,511   HARBORONE BANCORP, INC.(b)   176,523   124,328    
25,460   HOMESTREET, INC.   590,299   565,976    
129,059   HOPE BANCORP, INC.   2,110,460   1,060,865    
100,551   INVESTCORP CREDIT MANAGEMENT BDC, INC.   712,315   246,350    
56,532   LAKELAND BANCORP, INC.   948,354   611,111    
30,705   LANDMARK BANCORP, INC.   719,534   626,382    
15,917   LCNB CORP.   282,661   200,554    
6,871   LENDINGTREE, INC.(b)   1,868,484   1,260,073    
34,906   LUTHER BURBANK CORP.   376,044   320,088    
54,205   MACKINAC FINANCIAL CORP.   802,885   566,442    
8,240   MAINSTREET BANCSHARES, INC.(b)   174,029   138,102    
57,317   MVC CAPITAL, INC.   498,739   250,475    
4,559   NATIONAL WESTERN LIFE GROUP, INC., CLASS A   1,450,448   784,148    
73,058   NEW MOUNTAIN FINANCE CORP.   958,968   496,794    
347,973   OAKTREE SPECIALTY LENDING CORP.   1,540,182   1,127,433    
157,730   OAKTREE STRATEGIC INCOME CORP.   1,338,491   873,824    
6,913   OCEANFIRST FINANCIAL CORP.   147,731   109,986    
1,581   OCONEE FEDERAL FINANCIAL CORP.   36,347   28,869    
2,239   ORRSTOWN FINANCIAL SERVICES, INC.   50,483   30,831    
14,538   PENNANTPARK FLOATING RATE CAPITAL LTD.   168,950   70,655    
118,720   PENNANTPARK INVESTMENT CORP.   766,165   307,485    
6,478   PENNS WOODS BANCORP, INC.   181,444   157,415    
12,936   PEOPLES BANCORP OF NORTH CAROLINA, INC.   293,270   263,377    
34,724   PIONEER BANCORP, INC.(b)   469,703   360,435    
18,500   PRA GROUP, INC.(b)   497,957   512,820    
3,881   SALISBURY BANCORP, INC.   147,544   120,311    
920   SB FINANCIAL GROUP, INC.   15,179   10,230    
28,956   SHORE BANCSHARES, INC.   437,007   314,173    
2,336   SIERRA BANCORP   40,971   41,067    
24,283   SIMMONS FIRST NATIONAL CORP., CLASS A   687,172   446,807    
53,648   SOLAR CAPITAL LTD.   1,098,683   624,463    
72,294   SOUTHERN NATIONAL BANCORP OF VIRGINIA, INC.   1,136,364   711,373    
3,671   SOUTHWEST GEORGIA FINANCIAL CORP.   75,193   67,039    
25,567   STIFEL FINANCIAL CORP.   1,248,890   1,055,406    
28,558   SUMMIT STATE BANK   363,303   228,178    
15 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Small Companies Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Financials (Cont'd):            
24,400   SYNOVUS FINANCIAL CORP.   $596,222   428,464    
123,290   TCF FINANCIAL CORP.   3,931,347   2,793,751    
216,518   UMPQUA HOLDINGS CORP.   3,322,747   2,360,046    
16,486   UNITED BANCORP, INC.   204,353   181,676    
5,970   UNITED BANCSHARES, INC.(b)   129,860   97,013    
39,315   UNITED SECURITY BANCSHARES   403,597   251,616    
50,770   UNITY BANCORP, INC.   993,903   594,009    
56,456   UNIVEST FINANCIAL CORP.   1,418,854   921,362    
28,400   WALKER & DUNLOP, INC.   485,825   1,143,668    
41,496   WEBSTER FINANCIAL CORP.   2,008,379   950,258    
18,716   WEST BANCORPORATION, INC.   392,649   306,007    
32,236   WSFS FINANCIAL CORP.   1,348,832   803,321    
        78,401,104   54,869,933   22.47%
Health Care:            
2,252   ADDUS HOMECARE CORP.(b)   149,121   152,235    
37,001   AMN HEALTHCARE SERVICES, INC.(b)   1,905,074   2,139,028    
174,179   AVID BIOSERVICES, INC.(b)   888,967   890,055    
35,981   BIODELIVERY SCIENCES INTERNATIONAL, INC.(b)   180,891   136,368    
54,445   BIOTELEMETRY, INC.(b)   2,092,647   2,096,677    
19,457   BRUKER CORP.   541,848   697,728    
17,924   CROSS COUNTRY HEALTHCARE, INC.(b)   120,486   120,808    
891   CRYOLIFE, INC.(b)   14,481   15,076    
21,949   CUTERA, INC.(b)   379,237   286,654    
22,421   EMERGENT BIOSOLUTIONS, INC.(b)   742,329   1,297,279    
18,632   GLOBUS MEDICAL, INC., CLASS A(b)   863,940   792,419    
149,202   HARVARD BIOSCIENCE, INC.(b)   277,134   329,736    
20,300   HILL-ROM HOLDINGS, INC.   1,669,613   2,042,180    
66,027   INFUSYSTEM HOLDINGS, INC.(b)   316,477   560,569    
52,241   INTEGRA LIFESCIENCES HOLDINGS CORP.(b)   3,029,139   2,333,605    
16,233   INVACARE CORP.   146,450   120,611    
2,558   LEMAITRE VASCULAR, INC.   58,604   63,745    
16,268   LHC GROUP, INC.(b)   1,144,737   2,280,774    
16,059   LIGAND PHARMACEUTICALS, INC.(b)(c)   1,259,328   1,167,810    
20,612   LIVANOVA PLC(b)(d)   1,881,932   932,693    
15,465   MAGELLAN HEALTH, INC.(b)   806,238   744,021    
52,420   MERIDIAN BIOSCIENCE, INC.(b)   393,523   440,328    
27,231   NANOVIBRONIX, INC.(b)   132,728   56,368    
110,956   NEXTGEN HEALTHCARE, INC.(b)   815,485   1,158,381    
31,887   OMNICELL, INC.(b)   1,583,959   2,091,149    
3,846   OPTIMIZERX CORP.(b)   27,303   34,845    
14,484   ORTHOFIX MEDICAL, INC.(b)   509,751   405,697    
17,948   OWENS & MINOR, INC.   102,910   164,224    
55,593   PREMIER, INC., CLASS A(b)   1,669,811   1,819,003    
30,685   PROVIDENCE SERVICE (THE) CORP.(b)   1,882,753   1,683,993    
55,204   PSYCHEMEDICS CORP.   705,029   333,984    
4,124   SURMODICS, INC.(b)   166,759   137,412    
32,640   SYNEOS HEALTH, INC.(b)   1,406,402   1,286,669    
93,545   TRIPLE-S MANAGEMENT CORP., CLASS B(b)   2,136,298   1,318,985    
131,119   VAREX IMAGING CORP.(b)   3,673,190   2,977,713    
        33,674,574   33,108,822   13.56%
Industrials:            
13,900   ACUITY BRANDS, INC.   1,580,104   1,190,674    
6,784   AEROVIRONMENT, INC.(b)   362,472   413,553    
53,320   AIR LEASE CORP.   1,690,020   1,180,505    
16,978   AIR TRANSPORT SERVICES GROUP, INC.(b)   328,342   310,358    
18,408   ALBANY INTERNATIONAL CORP., CLASS A   829,810   871,251    
18,840   AMERICAN WOODMARK CORP.(b)   1,456,760   858,539    
17,080   APOGEE ENTERPRISES, INC.   626,050   355,606    
44,580   ASGN, INC.(b)   2,140,756   1,574,566    
14,775   ASTRONICS CORP.(b)   239,051   135,635    
56,081   AVIS BUDGET GROUP, INC.(b)   1,813,050   779,526    
25,909   BRINK'S (THE) CO.   1,708,809   1,348,563    
29,750   BWX TECHNOLOGIES, INC.   1,584,869   1,449,122    
18,842   CECO ENVIRONMENTAL CORP.(b)   140,183   87,992    
28,028   CIRCOR INTERNATIONAL, INC.(b)   999,140   325,966    
101,200   COLFAX CORP.(b)   2,609,049   2,003,760    
7,511   COLUMBUS MCKINNON CORP.   202,004   187,775    
16 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Small Companies Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Industrials (Cont'd):            
18,300   DONALDSON CO., INC.   $820,016   706,929    
2,648   ECHO GLOBAL LOGISTICS, INC.(b)   57,248   45,228    
114,095   ENERPAC TOOL GROUP CORP.   2,866,437   1,888,272    
6,949   FTI CONSULTING, INC.(b)   793,122   832,282    
103,900   GATES INDUSTRIAL CORP. PLC(b)   1,479,172   766,782    
8,420   GORMAN-RUPP (THE) CO.   253,712   262,788    
103,975   GRAFTECH INTERNATIONAL LTD.   1,268,775   844,277    
20,028   GRAHAM CORP.   381,418   258,361    
54,152   HARSCO CORP.(b)   1,089,203   377,439    
35,742   HERC HOLDINGS, INC.(b)   1,666,880   731,281    
28,700   HEXCEL CORP.   1,854,128   1,067,353    
35,593   HILLENBRAND, INC.   846,473   680,182    
88,425   INTERFACE, INC.   1,562,056   668,493    
155,976   JELD-WEN HOLDING, INC.(b)   3,543,064   1,517,646    
15,450   KADANT, INC.   1,308,339   1,153,342    
22,475   KENNAMETAL, INC.   766,618   418,485    
13,943   KRATOS DEFENSE & SECURITY SOLUTIONS, INC.(b)   148,985   192,971    
239,178   LSI INDUSTRIES, INC.   1,296,441   904,093    
21,308   MASONITE INTERNATIONAL CORP.(b)   1,386,488   1,011,065    
32,963   MERCURY SYSTEMS, INC.(b)   1,570,847   2,351,580    
4,039   MSA SAFETY, INC.   368,240   408,747    
183,300   NOW, INC.(b)   2,005,233   945,828    
15,500   NV5 GLOBAL, INC.(b)   708,179   639,995    
192,000   PGT INNOVATIONS, INC.(b)   2,936,615   1,610,880    
110,865   PIONEER POWER SOLUTIONS, INC.(b)   640,160   171,841    
173,867   REV GROUP, INC.   1,963,728   725,025    
20,700   RUSH ENTERPRISES, INC., CLASS A   836,685   660,744    
51,493   RYDER SYSTEM, INC.   2,974,569   1,361,475    
28,558   SKYWEST, INC.   1,256,073   747,934    
143,744   STEELCASE, INC., CLASS A   2,071,806   1,418,753    
87,936   TEREX CORP.   3,115,428   1,262,761    
72,638   TITAN MACHINERY, INC.(b)   1,019,946   631,224    
46,280   TRIMAS CORP.(b)   1,203,803   1,069,068    
3,685   TRIUMPH GROUP, INC.   27,658   24,911    
8,628   VALMONT INDUSTRIES, INC.   1,190,710   914,395    
31,878   WOODWARD, INC.   1,940,747   1,894,828    
        67,529,471   44,240,649   18.11%
Information Technology:            
24,286   ASURE SOFTWARE, INC.(b)(c)   200,316   144,745    
69,627   AVIAT NETWORKS, INC.(b)   1,229,827   591,829    
34,488   AVNET, INC.   1,429,758   865,649    
17,332   AXT, INC.(b)   66,632   55,636    
36,281   BELDEN, INC.   1,399,520   1,309,018    
304,521   CELESTICA, INC.(b)(d)   2,814,905   1,065,823    
66,820   COHU, INC.   996,412   827,232    
98,463   DSP GROUP, INC.(b)   1,254,137   1,319,404    
7,400   ENTEGRIS, INC.   184,440   331,298    
8,732   EURONET WORLDWIDE, INC.(b)   421,875   748,507    
7,474   EVERBRIDGE, INC.(b)   652,130   794,935    
42,849   EVO PAYMENTS, INC., CLASS A(b)   1,023,972   655,590    
19,058   FARO TECHNOLOGIES, INC.(b)   919,749   848,081    
73,424   FIREEYE, INC.(b)   1,150,430   776,826    
133,620   FRANKLIN WIRELESS CORP.(b)   287,454   545,170    
117,743   FREQUENCY ELECTRONICS, INC.(b)   1,084,285   1,076,171    
58,372   HARMONIC, INC.(b)   409,900   336,223    
51,237   IDENTIV, INC.(b)   253,058   173,181    
72,197   IMMERSION CORP.(b)   535,499   386,976    
254,547   INFINERA CORP.(b)   1,409,410   1,349,099    
48,243   INSEEGO CORP.(b)   295,569   300,554    
5,384   INSIGHT ENTERPRISES, INC.(b)   213,013   226,828    
20,401   JABIL, INC.   346,167   501,457    
14,682   KBR, INC.   250,070   303,624    
63,064   LIMELIGHT NETWORKS, INC.(b)   275,188   359,465    
17,202   LUMENTUM HOLDINGS, INC.(b)   871,654   1,267,787    
6,478   MAXLINEAR, INC.(b)   67,883   75,598    
6,510   MKS INSTRUMENTS, INC.   480,406   530,239    
27,081   NETGEAR, INC.(b)   488,048   618,530    
17 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Small Companies Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Information Technology (Cont'd):            
19,379   NOVANTA, INC.(b)   $673,609   1,547,994    
1,819   OSI SYSTEMS, INC.(b)   123,758   125,365    
42,909   PERFICIENT, INC.(b)   814,428   1,162,405    
13,564   PFSWEB, INC.(b)   29,217   40,692    
7,283   PHOTRONICS, INC.(b)   74,325   74,724    
59,321   PLANTRONICS, INC.(c)   1,023,170   596,769    
19,880   PLEXUS CORP.(b)   1,070,588   1,084,653    
22,265   PROS HOLDINGS, INC.(b)   876,551   690,883    
65,846   SCANSOURCE, INC.(b)   2,514,326   1,408,446    
395,351   SERVICESOURCE INTERNATIONAL, INC.(b)   382,565   346,683    
325,211   STEEL CONNECT, INC.(b)   527,819   243,908    
65,575   SUPER MICRO COMPUTER, INC.(b)   1,361,339   1,395,436    
25,672   SYKES ENTERPRISES, INC.(b)   731,452   696,225    
38,529   SYNCHRONOSS TECHNOLOGIES, INC.(b)(c)   181,083   117,513    
14,555   SYNNEX CORP.   1,111,062   1,063,970    
161,416   TIVO CORP.   1,213,191   1,142,825    
63,816   UNISYS CORP.(b)   501,962   788,128    
1,094   UPLAND SOFTWARE, INC.(b)   27,205   29,341    
155,266   VERRA MOBILITY CORP.(b)   2,114,398   1,108,599    
14,757   VIRTUSA CORP.(b)   660,422   419,099    
8,792   WNS HOLDINGS LTD. ADR(b)(d)(e)   472,830   377,880    
41,460   XPERI CORP.   773,001   576,709    
        38,270,008   33,423,722   13.68%
Materials:            
12,052   AMERICAN VANGUARD CORP.   212,462   174,272    
46,800   AXALTA COATING SYSTEMS LTD.(b)   715,685   808,236    
43,920   H.B. FULLER CO.   2,345,404   1,226,686    
33,645   INGEVITY CORP.(b)   2,063,322   1,184,304    
30,157   KOPPERS HOLDINGS, INC.(b)   567,057   373,042    
89,193   OLIN CORP.   1,542,645   1,040,882    
13,600   RELIANCE STEEL & ALUMINUM CO.   981,254   1,191,224    
55,800   SCHWEITZER-MAUDUIT INTERNATIONAL, INC.   2,185,718   1,552,356    
        10,613,547   7,551,002   3.09%
Real Estate:            
43,309   ALPINE INCOME PROPERTY TRUST, INC.   779,567   533,134    
62,807   BLUEROCK RESIDENTIAL GROWTH REIT, INC.   531,539   349,835    
84,460   CITY OFFICE REIT, INC.(d)   1,080,022   610,646    
6,410   COMMUNITY HEALTHCARE TRUST, INC.   178,399   245,375    
19,249   CONDOR HOSPITALITY TRUST, INC.   137,767   79,113    
67,067   DIAMONDROCK HOSPITALITY CO.   728,909   340,700    
38,623   EMPIRE STATE REALTY TRUST, INC., CLASS A   570,007   346,062    
48,040   ESSENTIAL PROPERTIES REALTY TRUST, INC.   981,936   627,403    
154,248   INDEPENDENCE REALTY TRUST, INC.   1,873,094   1,378,977    
13,742   INNOVATIVE INDUSTRIAL PROPERTIES, INC.(c)   1,284,912   1,043,430    
1,335   INVESTORS REAL ESTATE TRUST   86,033   73,425    
24,794   ISTAR, INC.   255,670   263,064    
36,844   MARCUS & MILLICHAP, INC.(b)   1,011,318   998,473    
11,568   MONMOUTH REAL ESTATE INVESTMENT CORP.   137,703   139,394    
18,413   NEXPOINT RESIDENTIAL TRUST, INC.   501,531   464,192    
20,697   ONE LIBERTY PROPERTIES, INC.   528,182   288,309    
73,581   PHYSICIANS REALTY TRUST   1,213,857   1,025,719    
89,118   PLYMOUTH INDUSTRIAL REIT, INC.   1,471,789   994,557    
28,138   QTS REALTY TRUST, INC., CLASS A   1,340,491   1,632,285    
48,644   RAFAEL HOLDINGS, INC., CLASS B(b)   964,235   623,130    
69,283   REALOGY HOLDINGS CORP.(c)   1,827,617   208,542    
72,929   STRATUS PROPERTIES, INC.(b)   2,010,048   1,290,114    
43,355   UMH PROPERTIES, INC.   533,404   470,835    
18,076   XENIA HOTELS & RESORTS, INC.   368,750   186,183    
        20,396,780   14,212,897   5.82%
Utilities:            
15,530   ALLETE, INC.   773,168   942,361    
960   MIDDLESEX WATER CO.   52,791   57,715    
140,645   PURE CYCLE CORP.(b)   960,159   1,568,192    
24,152   SJW GROUP   1,508,208   1,395,261    
16,023   SPIRE, INC.   907,028   1,193,393    
1,923   UNITIL CORP.   80,410   100,611    
18 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Small Companies Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Utilities (Cont'd):            
805   YORK WATER (THE) CO.   $30,127   34,985    
        4,311,891   5,292,518   2.17%
    Sub-total Common Stocks:   309,388,935   228,854,864   93.70%
Convertible Bonds:            
Health Care:            
340,000   INVACARE CORP., 4.50%, 6/1/22   296,098   305,845    
        296,098   305,845   0.12%
    Sub-total Convertible Bonds:   296,098   305,845   0.12%
Convertible Preferred Stocks:            
Real Estate:            
6,041   WHEELER REAL ESTATE INVESTMENT TRUST, INC.(b)   61,499   40,475    
14,090   WHEELER REAL ESTATE INVESTMENT TRUST, INC. (Step to 10.75% on 9/21/2023), 8.75%(b)(f)   179,449   123,287    
        240,948   163,762   0.07%
    Sub-total Convertible Preferred Stocks:   240,948   163,762   0.07%
Investment Companies:            
Financials:            
5,400   ISHARES RUSSELL 2000 ETF   530,051   618,084    
        530,051   618,084   0.25%
    Sub-total Investment Companies:   530,051   618,084   0.25%
Master Limited Partnerships:            
Industrials:            
49,874   STEEL PARTNERS HOLDINGS L.P.(b)   613,881   270,487    
        613,881   270,487   0.11%
    Sub-total Master Limited Partnerships:   613,881   270,487   0.11%
Preferred Stocks:            
Industrials:            
145,341   STEEL PARTNERS HOLDINGS L.P., 6.00%   2,356,403   2,460,623    
        2,356,403   2,460,623   1.01%
    Sub-total Preferred Stocks:   2,356,403   2,460,623   1.01%
Rights:            
Consumer Discretionary:            
55,700   MEDIA GENERAL, INC. (CONTINGENT VALUE RIGHTS)(b)(g)   -   -    
        -   -   0.00%
    Sub-total Rights:   -   -   0.00%
Warrants:            
Health Care:            
19,977   NANOVIBRONIX, INC.(b)(g)   200   -    
        200   -   0.00%
    Sub-total Warrants:   200   -   0.00%
Short-Term Investments:            
4,668,267   FIDELITY INVESTMENTS MONEY MARKET GOVERNMENT PORTFOLIO(h)   4,668,267   4,668,267    
12,943,408   NORTHERN INSTITUTIONAL FUNDS - U.S. GOVERNMENT SELECT PORTFOLIO, 0.37%(i)   12,943,408   12,943,408    
    Sub-total Short-Term Investments:   17,611,675   17,611,675   7.21%
    Grand total   $331,038,191   250,285,340   102.47%
    
Notes to Schedule of Investments:
(a) Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market where the securities are traded. Foreign security values are stated in U.S. dollars.
(b) Non-income producing assets.
(c) Security is either wholly or partially on loan.
(d) Foreign security values are stated in U.S. dollars. As of March 31, 2020, the value of foreign stocks or depositary receipts of companies based outside of the United States represented 3.15% of net assets.
(e) Securities are American Depositary Receipts of companies based outside of the United States representing 0.15% of net assets as of March 31, 2020.
19 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Small Companies Fund
March 31, 2020 (unaudited)
(f) For step bonds, the coupon rate disclosed is the current rate in effect.
(g) Security has been deemed worthless and is a Level 3 investment.
(h) Investment relates to cash collateral received from portfolio securities loaned.
(i) The short-term investment is a money market portfolio of the investment company, Northern Institutional Funds. At December 31, 2019, the value of the Clearwater Small Companies Fund's investment in the U.S. Government Select Portfolio of the Northern Institutional Funds was $9,691,925 with net purchases of $3,251,483 during the three months ended March 31, 2020.
20 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Small Companies Fund
March 31, 2020 (unaudited)
Fair value is an estimate of the price the Clearwater Small Companies Fund would receive upon selling a security in a timely transaction to an independent buyer in the principal or most advantageous market for the security. This guidance establishes a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Various inputs are used in determining the value of the Clearwater Small Companies Fund's investments, as described below. These inputs are summarized in the three broad levels listed below.
Level 1 – Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 – Other significant observable inputs including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc. or quoted prices for identical or similar assets in markets that are not active. Inputs that are derived principally from or corroborated by observable market data are also considered Level 2 measurements. An adjustment to any observable input that is significant to the fair value may render the measurement a Level 3 measurement.
Level 3 – Valuations based on unobservable inputs, which may include the Adviser’s own assumptions in determining the fair value of an investment.
Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market in which such securities are traded, with foreign security values stated in U.S. dollars. Equity securities which have not traded on the date of valuation or securities for which sales prices are not generally reported are valued at the mean between the last bid and asked prices. Security transactions are accounted for as of trade date. Wherever possible, the Clearwater Small Companies Fund uses independent pricing services approved by the Board of Trustees of Clearwater Investment Trust to value its investments. When prices are not readily available (including those for which trading has been suspended), are determined not to reflect fair value, or when the Adviser becomes aware that a significant event impacting the value of a security or group of securities has occurred after the closing of the exchange on which the security or securities principally trade, but before the calculation of the daily net asset value, the Clearwater Small Companies Fund may value these securities at fair value as determined in good faith using procedures established by the Board of Trustees.
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following is a summary of the inputs used in valuing the Clearwater Small Companies Fund’s investments and other financial instruments, if any, which are carried at fair value, as of March 31, 2020.
  Level 1   Level 2   Level 3   Total
Common Stocks $228,854,864   $   $   $228,854,864
Convertible Bonds   305,845     305,845
Convertible Preferred Stocks 163,762       163,762
Investment Companies 618,084       618,084
Master Limited Partnerships 270,487       270,487
Preferred Stocks 2,460,623       2,460,623
Rights     —*   —*
Warrants     —*   —*
Short-Term Investments 17,611,675       17,611,675
Total $249,979,495   $305,845   $—*   $250,285,340
* Security has been deemed worthless and is a Level 3 investment.
For the Clearwater Small Companies Fund, the investment value is comprised of equity securities, convertible bonds, investment companies, master limited partnerships, rights, warrants and short-term investments. See the Clearwater Small Companies Fund’s Schedule of Investments for industry classification. Investments in equity and short-term securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market where the securities are traded.
There were no significant Level 3 valuations at March 31, 2020.
21 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Small Companies Fund
March 31, 2020 (unaudited)
Clearwater Small Companies Fund Portfolio Diversification
(as a percentage of net assets)
22 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Closed-End Funds:                        
175,324   BLACKROCK LONG-TERM MUNICIPAL ADVANTAGE TRUST   $1,742,266   1,967,135    
54,180   BLACKROCK MUNICIPAL INCOME QUALITY TRUST   739,165   717,885    
17,900   BLACKROCK MUNIENHANCED FUND INC   188,128   190,814    
58,171   BLACKROCK MUNIHOLDINGS FUND II INC   822,154   799,270    
91,327   BLACKROCK MUNIHOLDINGS INVESTMENT QUALITY FUND   1,010,095   1,194,557    
34,402   BLACKROCK MUNIHOLDINGS NEW JERSEY QUALITY FUND INC   488,969   453,762    
83,977   BLACKROCK MUNIHOLDINGS QUALITY FUND II INC   1,060,121   1,007,724    
66,500   BLACKROCK MUNIHOLDINGS QUALITY FUND INC   860,392   794,675    
55,111   BLACKROCK MUNIYIELD INVESTMENT QUALITY FUND   701,111   751,163    
157,958   BLACKROCK MUNIYIELD MICHIGAN QUALITY FUND INC   2,064,776   2,092,944    
51,700   BLACKROCK MUNIYIELD PENNSYLVANIA QUALITY FUND   729,423   693,814    
102,096   BLACKROCK MUNIYIELD QUALITY FUND II INC   1,309,732   1,260,886    
118,472   BLACKROCK MUNIYIELD QUALITY FUND III INC   1,572,465   1,514,072    
164,449   DWS MUNICIPAL INCOME TRUST   1,858,569   1,772,760    
5,000   EATON VANCE MUNICIPAL BOND FUND   66,580   62,400    
178,050   INVESCO ADVANTAGE MUNICIPAL INCOME TRUST II   1,981,830   1,828,574    
123,205   INVESCO MUNICIPAL OPPORTUNITY TRUST   1,531,774   1,410,697    
91,614   INVESCO MUNICIPAL TRUST   1,151,022   1,071,884    
144,886   INVESCO QUALITY MUNICIPAL INCOME TRUST   1,749,794   1,696,615    
60,000   INVESCO TRUST FOR INVESTMENT GRADE MUNICIPALS   772,688   725,400    
16,234   INVESCO VALUE MUNICIPAL INCOME TRUST   200,500   229,549    
65,834   NUVEEN AMT-FREE MUNICIPAL CREDIT INCOME FUND   969,329   966,443    
300,875   NUVEEN AMT-FREE QUALITY MUNICIPAL INCOME FUND   4,065,667   4,073,848    
15,963   NUVEEN MICHIGAN QUALITY MUNICIPAL INCOME FUND   214,604   214,223    
52,779   NUVEEN PENNSYLVANIA QUALITY MUNICIPAL INCOME FUND   723,142   702,488    
190,984   NUVEEN QUALITY MUNICIPAL INCOME FUND   2,721,667   2,624,120    
28,000   PUTNAM MUNICIPAL OPPORTUNITIES TRUST   371,050   334,040    
    Sub-total Closed-End Funds:           31,667,013   31,151,742   5.29%
Municipal Bonds:                    
Alabama                    
1,000,000   PELL CITY AL SPL CARE FACS FING AUTH REVENUE   12/1/2031   5.00   1,018,706   1,052,160    
            1,018,706   1,052,160   0.18%
Alaska                    
200,000   ALASKA ST HSG FIN CORP MTGE REVENUE   12/1/2037   4.13   196,909   203,804    
1,000,000   ALASKA ST HSG FIN CORP MTGE REVENUE   12/1/2040   3.75   1,074,798   1,070,150    
350,000   ALASKA ST INDL DEV & EXPORT AUTH CMNTY PROVIDER REVENUE(b)   12/1/2010   5.40   350,000   17,500    
            1,621,707   1,291,454   0.22%
Arizona                    
500,000   ARIZONA ST INDL DEV AUTH EDU REVENUE(c)   7/15/2038   5.75   521,366   525,750    
1,000,000   ARIZONA ST INDL DEV AUTH MF HSG REVENUE   1/1/2038   5.38   1,000,000   912,860    
700,000   GLENDALE AZ INDL DEV AUTH   11/15/2036   5.00   723,315   656,348    
550,000   GLENDALE AZ INDL DEV AUTH   11/15/2046   5.25   557,638   523,490    
800,000   MARICOPA CNTY AZ INDL DEV AUTH EDU REVENUE   7/1/2035   5.00   840,716   763,760    
870,000   MARICOPA CNTY AZ INDL DEV AUTH EDU REVENUE(c)   7/1/2052   6.00   919,101   885,173    
750,000   MARICOPA CNTY AZ INDL DEV AUTH SENIOR LIVING FACS REVENUE(c)   1/1/2036   5.75   742,290   739,995    
500,000   NAVAJO NATION AZ(c)   12/1/2030   5.50   522,977   533,990    
1,000,000   PEORIA AZ INDL DEV AUTH   11/15/2029   5.25   1,000,000   938,760    
1,000,000   PHOENIX AZ INDL DEV AUTH EDU REVENUE(c)   7/1/2036   5.13   986,376   979,950    
2,500,000   PHOENIX AZ INDL DEV AUTH LEASE REVENUE   6/1/2034   5.25   2,512,669   2,626,275    
800,000   PIMA CNTY AZ INDL DEV AUTH EDU REVENUE(c)   12/1/2026   5.25   800,000   795,064    
10,000   PIMA CNTY AZ INDL DEV AUTH EDU REVENUE   7/1/2031   6.75   7,934   10,018    
1,370,000   PIMA CNTY AZ INDL DEV AUTH EDU REVENUE(c)   6/15/2035   5.38   1,454,260   1,346,847    
750,000   PIMA CNTY AZ INDL DEV AUTH EDU REVENUE(c)   6/15/2037   4.75   737,011   669,450    
23 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Arizona (Cont'd):                    
930,000   QUECHAN INDIAN TRIBE AZ FORT YUMA INDIAN RESERVATION   5/1/2025   9.75   $930,000   984,144    
500,000   TEMPE AZ INDL DEV AUTH REVENUE(c)   10/1/2024   4.70   498,972   494,025    
500,000   TEMPE AZ INDL DEV AUTH REVENUE(c)   10/1/2037   6.00   502,650   505,100    
            15,257,275   14,890,999   2.53%
Arkansas                    
525,000   SHERIDAN AR SCH DIST #37   2/1/2047   4.00   531,389   538,340    
1,000,000   SPRINGDALE AR SALES & USE REVENUE   4/1/2041   3.60   972,620   1,036,290    
            1,504,009   1,574,630   0.27%
California                    
2,350,000   ACALANES CA UNION HIGH SCH DIST (Step to 6.55% on 8/1/2024)(d)   8/1/2039   0.00   1,779,723   2,622,811    
1,000,000   ALVORD CA UNIF SCH DIST   8/1/2036   5.25   1,012,151   1,106,720    
1,000,000   ALVORD CA UNIF SCH DIST (Step to 7.35% on 8/1/2026)(d)   8/1/2046   0.00   636,070   1,185,370    
500,000   CALIFORNIA ST HLTH FACS FING AUTH REVENUE   8/15/2033   5.50   501,759   528,325    
1,500,000   CALIFORNIA ST SCH FACS FING AUTH REVENUE   8/1/2029   6.00   1,491,527   1,892,100    
1,000,000   CARLSBAD CA UNIF SCH DIST (Step to 6.13% on 8/1/2021)(d)   8/1/2031   0.00   920,851   1,287,420    
1,500,000   CLOVIS CA UNIF SCH DIST(e)   8/1/2030   0.00   804,504   943,950    
1,000,000   COLTON CA JT UNIF SCH DIST (Step to 5.80% on 8/1/2021)(d)   8/1/2035   0.00   926,592   1,163,620    
1,105,000   CORONA-NORCO CA UNIF SCH DIST   8/1/2039   6.80   1,103,966   1,494,557    
750,000   EL PASO DE ROBLES CA REDEV AGY TAX ALLOCATION REVENUE   7/1/2033   6.38   743,680   753,090    
1,000,000   ENCINITAS CA UNION SCH DIST (Step to 6.75% on 8/1/2022)(d)   8/1/2035   0.00   856,510   1,332,230    
1,155,000   ENTERPRISE CA ELEM SCH DIST (Step to 6.20% on 8/1/2021)(d)   8/1/2035   0.00   1,064,686   1,552,251    
600,000   ESCONDIDO CA SPL TAX   9/1/2036   5.00   632,518   697,134    
1,500,000   HARTNELL CA CMNTY CLG DIST (Step to 7.00% on 8/1/2022)(d)   8/1/2034   0.00   1,277,512   1,780,155    
3,500,000   HEALDSBURG CA UNIF SCH DIST (Step to 4.60% on 8/1/2022)(d)   8/1/2037   0.00   3,144,823   3,598,455    
1,000,000   HELENDALE CA SCH DIST   8/1/2034   6.25   998,941   1,370,990    
1,000,000   IMPERIAL CA CMNTY CLG DIST   8/1/2040   6.75   1,007,147   1,280,960    
750,000   MARTINEZ CA UNIF SCH DIST   8/1/2035   6.13   747,638   908,235    
2,000,000   OAK PARK CA UNIF SCH DIST (Step to 7.10% on 8/1/2021)(d)   8/1/2038   0.00   1,823,391   2,719,620    
2,625,000   PITTSBURG CALIF UNI SCH DIST FING AUTH REVENUE(e)   9/1/2031   0.00   1,313,730   1,259,160    
1,000,000   REDONDO BEACH CA UNIF SCH DIST   8/1/2034   6.38   997,450   1,273,690    
750,000   REEF-SUNSET CA UNIF SCH DIST (Step to 4.85% on 8/1/2021)(d)   8/1/2038   0.00   703,577   803,235    
1,000,000   RIVERSIDE CA CMNTY PPTYS DEV INC LEASE REVENUE   10/15/2038   6.00   1,011,391   1,163,800    
1,500,000   S TAHOE CA JT PWRS FING AUTH LEASE REVENUE   10/1/2030   5.00   1,582,662   1,703,850    
350,000   SACRAMENTO CNTY CA WTR FING AUTH REVENUE (Floating, ICE LIBOR USD 3M + 0.57%)(f)   6/1/2039   1.63   350,000   323,281    
500,000   SAN DIEGO CA HSG AUTH MF HSG REVENUE   5/1/2029   5.00   500,000   516,300    
1,500,000   SAN GABRIEL CA UNIF SCH DIST   8/1/2039   5.35   1,496,190   1,614,390    
1,000,000   SAN JOSE CA FING AUTH   6/1/2039   5.00   1,025,864   1,103,060    
500,000   SANTA MONICA CA REDEV AGY   7/1/2036   5.88   503,370   526,165    
2,250,000   SULPHUR SPRINGS CA UNION SCH DIST COPS   12/1/2037   6.50   2,248,272   2,747,072    
1,500,000   SUTTER BUTTE CA FLOOD AGY ASSMNT REVENUE   10/1/2038   4.00   1,484,456   1,593,540    
1,000,000   TRACY CA JT UNIF SCH DIST (Step to 7.30% on 8/1/2027)(d)   8/1/2041   0.00   684,981   1,025,530    
1,250,000   TUSTIN CA UNIF SCH DIST   8/1/2028   6.00   1,245,824   1,329,962    
            36,621,756   45,201,028   7.67%
Colorado                    
500,000   9TH AVENUE MET DIST #2 CO   12/1/2048   5.00   500,000   474,735    
24 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Colorado (Cont'd):                    
1,000,000   AEROTROPOLIS REGL TRANPRTN AUTH CO SPL REVENUE   12/1/2051   5.00   $1,014,895   914,180    
750,000   BROADWAY STATION MET DIST #2 CO   12/1/2048   5.13   750,000   722,160    
1,000,000   BROADWAY STATION MET DIST #3 CO   12/1/2049   5.00   1,023,327   912,260    
650,000   BUFFALO HIGHLANDS MET DIST   12/1/2038   5.25   651,775   604,747    
500,000   COLORADO SCIENCE AND TECH PARK MET DIST #1   12/1/2033   5.00   505,994   487,780    
1,000,000   COLORADO ST EDUCTNL & CULTURAL FACS AUTH REVENUE   7/1/2034   5.60   995,085   1,006,000    
1,000,000   COLORADO ST EDUCTNL & CULTURAL FACS AUTH REVENUE(c)   9/1/2046   5.00   1,004,056   912,590    
1,250,000   COLORADO ST HLTH FACS AUTH HOSP REVENUE   12/1/2048   5.00   1,309,561   1,312,125    
1,000,000   COLORADO ST HLTH FACS AUTH REVENUE   8/1/2033   7.63   989,633   1,055,460    
650,000   COPPER RIDGE MET DIST CO TAX INCR & SALES TAX SUPPORTED REVENUE   12/1/2043   5.00   669,139   589,674    
500,000   COPPERLEAF CO MET DIST #2   12/1/2030   5.25   500,000   504,125    
500,000   COPPERLEAF CO MET DIST #2   12/1/2045   5.75   500,000   502,575    
750,000   COPPERLEAF CO MET DIST #4   12/1/2049   5.00   781,369   667,403    
1,000,000   CREEKWALK MARKETPLACE BUSINESS IMPT DIST CO(c)   12/1/2039   5.50   1,000,000   874,740    
750,000   CRYSTAL CO CROSSING MET DIST   12/1/2040   5.25   750,000   708,457    
1,000,000   DENVER CO URBAN RENEWAL AUTH TAX INCR REVENUE(c)   12/1/2039   5.25   985,467   939,240    
1,000,000   DIATC MET DIST CO(c)   12/1/2049   5.00   1,063,828   931,340    
1,000,000   DOUGLAS CNTY CO MF REVENUE   10/1/2029   4.50   1,000,000   1,033,070    
500,000   HASKINS STATION CO MET DIST   12/1/2039   5.00   516,613   448,000    
500,000   HUNTERS OVERLOOK METRO DIST #5 CO   12/1/2049   5.00   528,010   462,910    
710,000   IRON MOUNTAIN MET DIST #2 CO   12/1/2049   5.00   723,907   602,591    
1,000,000   LAMBERTSON FARMS CO MET DIST #1 REVENUE   12/15/2025   5.00   991,140   904,110    
500,000   LAMBERTSON FARMS CO MET DIST #1 REVENUE   12/15/2035   5.50   500,000   422,010    
750,000   LEYDEN ROCK MET DIST #10   12/1/2045   5.00   766,369   719,730    
1,000,000   LITTLETON VLG MET DIST #2 COLO SPL REV   12/1/2045   5.38   996,514   961,800    
750,000   MIRABELLE MET DIST #2 CO   12/1/2049   5.00   794,041   656,865    
611,972   MOUNT CARBON CO MET DIST REVENUE (Step to 0.00% on 6/1/2033)(d)   6/1/2043   7.00   611,972   611,972    
200,000   MOUNT CARBON CO MET DIST REVENUE(b)   6/1/2043   8.00   -   44,000    
1,000,000   PAINTED PRAIRIE PUB IMPT AUTH CO   12/1/2039   5.00   1,032,848   918,890    
500,000   PALISADE CO MET DIST #2 LIMITED TAX   12/1/2046   5.00   510,853   458,850    
1,000,000   PROMENADE CASTLE ROCK CO MET DIST #1   12/1/2025   5.13   1,000,000   1,032,260    
500,000   ST VRAIN LAKES MET DIST #2   12/1/2037   5.00   500,000   475,735    
1,000,000   STC MET DIST #2 CO   12/1/2049   5.00   1,057,275   901,160    
500,000   TALLMAN GULCH MET DIST CO   12/1/2047   5.25   500,000   444,720    
1,000,000   THOMPSON CROSSING MET DIST #4 CO   12/1/2049   5.00   1,054,449   938,300    
700,000   VAUXMONT MET DIST CO   12/15/2050   3.25   700,000   726,922    
500,000   VELOCITY MET DIST #3 CO   12/1/2039   5.38   500,000   480,320    
1,000,000   WINDSHIRE PARK CO MET DIST #2   12/1/2047   6.50   1,080,447   1,016,800    
            30,358,567   28,380,606   4.82%
Connecticut                    
1,000,000   CONNECTICUT ST HSG FIN AUTH HSG FIN MTGE PROGRAM   11/15/2035   3.88   1,000,000   1,076,700    
515,000   CONNECTICUT ST HSG FIN AUTH HSG MTGE FIN PROGRAM   5/15/2038   3.95   515,000   536,908    
2,000,000   CONNECTICUT ST HSG FIN AUTH HSG MTGE FIN PROGRAM   5/15/2045   3.85   2,063,033   2,086,000    
5,000,000   CONNECTICUT ST HSG FIN AUTH HSG MTGE FIN PROGRAM   11/15/2047   3.65   5,000,000   5,063,750    
574,545   MASHANTUCKET WSTRN PEQUOT TRIBE CT   7/1/2031   6.05   589,641   21,546    
            9,167,674   8,784,904   1.49%
25 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
District of Columbia                    
500,000   DIST OF COLUMBIA HSG FIN AGY MF HSG REVENUE   7/1/2033   5.45   $500,000   519,195    
1,000,000   DIST OF COLUMBIA HSG FIN AGY MF HSG REVENUE   6/1/2040   4.90   1,000,000   1,049,850    
1,000,000   DIST OF COLUMBIA HSG FIN AGY MF HSG REVENUE   6/1/2041   5.00   1,000,000   1,057,760    
1,200,000   DIST OF COLUMBIA REVENUE   7/1/2037   5.00   1,200,000   1,146,468    
1,000,000   DISTRICT OF COLUMBIA HSG FIN AGY   9/1/2043   4.05   1,000,000   1,088,660    
            4,700,000   4,861,933   0.82%
Florida                    
1,000,000   ALACHUA CNTY FL HLTH FACS AUTH CCRC   10/1/2032   8.00   1,072,069   1,096,210    
500,000   ALTA LAKES CMNTY DEV DIST FL SPL ASSMNT   5/1/2039   4.40   497,424   464,530    
400,000   ASTURIA FL CMNTY DEV DIST SPL ASSMNT   5/1/2034   5.75   400,000   401,372    
1,265,000   BAY CNTY FL EDUCTNL FACS REVENUE   9/1/2030   5.25   1,180,874   1,279,396    
1,000,000   BELLALAGO FL EDUCTNL FACS BENEFIT DIST CAPITAL IMPT REVENUE   5/1/2030   4.38   987,538   1,101,040    
500,000   BLACKBURN CREEK CMNTY DEV DISTFL CAP IMPT REVENUE   5/1/2035   6.25   500,000   520,530    
220,000   BLACKBURN CREEK CMNTY DEV DISTFL CAP IMPT REVENUE   5/1/2045   6.25   220,000   227,086    
1,370,000   CAPITAL TRUST AGY FL CHRT SCH REVENUE   2/1/2035   5.38   1,370,000   1,289,115    
750,000   CAPITAL TRUST AGY FL REVENUE   4/1/2035   7.00   750,000   636,000    
1,750,000   CAPITAL TRUST AGY FL REVENUE(c)(g)   12/1/2035   6.75   1,745,953   1,120,332    
750,000   CAPITAL TRUST AGY FL REVENUE(c)(g)   7/1/2037   6.75   750,000   477,833    
750,000   CAPITAL TRUST AGY FL SENIOR LIVING REVENUE(c)   8/1/2027   5.00   750,000   675,413    
750,000   CAPITAL TRUST AGY FL SENIOR LIVING REVENUE(c)   8/1/2032   5.38   750,000   647,565    
500,000   CAPITAL TRUST AGY FL STUDENT HSG REVENUE(c)   12/1/2043   5.25   514,693   482,245    
750,000   CELEBRATION POINTE CMNTY DEV DIST #1 FL SPL ASSMNT REVENUE(c)   5/1/2032   5.00   754,423   762,285    
750,000   COLLIER CNTY FL INDL DEV AUTH   10/1/2039   6.25   737,547   782,978    
750,000   COLLIER CNTY FLA INDL DEV AUTH CONTINUING CARE CMNTY REV(b)(c)(g)   5/15/2026   7.25   750,000   653,438    
1,750,000   COLLIER CNTY FLA INDL DEV AUTH CONTINUING CARE CMNTY REV(b)(c)(g)   5/15/2044   8.13   1,913,765   1,524,687    
1,000,000   DAVIE FL EDUCTNL FACS REVENUE   4/1/2042   6.00   1,011,969   1,095,730    
500,000   DOWDEN WEST CMNTY DEV DIST FL SPL ASSMNT REVENUE(c)   5/1/2039   5.40   500,000   521,165    
1,000,000   ESCAMBIA CNTY FL HSG FIN AUTH SF MTGE REVENUE   10/1/2049   3.75   1,000,000   1,061,870    
715,000   FISHHAWK CCD IV FL SPL ASSMNT REVENUE   5/1/2033   7.00   715,000   777,298    
1,000,000   FLORIDA ST DEPT OF EDU CMNTY CLG CAPITAL IMPT REVENUE   7/1/2030   4.38   1,019,558   1,018,830    
1,000,000   FLORIDA ST DEV FIN CORP EDUCTNL FACS REVENUE(c)   6/15/2035   6.00   1,000,846   1,033,670    
120,000   FLORIDA ST HSG FIN CORP REVENUE   7/1/2026   5.00   120,015   120,991    
795,000   FLORIDA ST HSG FIN CORP REVENUE   7/1/2035   3.75   795,000   847,359    
540,000   FLORIDA ST HSG FIN CORP REVENUE   7/1/2039   4.20   540,000   556,065    
1,980,000   FLORIDA ST HSG FIN CORP REVENUE   1/1/2045   4.20   1,980,000   2,189,504    
1,000,000   FLORIDA ST HSG FIN CORP REVENUE   7/1/2049   3.30   1,000,000   1,027,820    
1,000,000   FRERC CDD FL   11/1/2040   5.38   1,000,000   933,340    
650,000   HARBOR BAY FL CDD CAPITAL IMPT REVENUE   5/1/2048   4.10   645,673   571,110    
800,000   HERITAGE HARBOUR FL N CDD SPL ASSMNT   5/1/2034   5.00   800,000   832,088    
240,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2025   4.25   239,669   241,574    
1,600,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2030   7.40   1,588,766   1,671,632    
26 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Florida (Cont'd):                    
730,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2033   6.70   $730,000   769,887    
1,100,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2034   5.35   1,112,185   1,149,775    
1,300,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2036   5.00   1,300,000   1,336,062    
750,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE(c)   5/1/2037   5.00   744,880   763,388    
750,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2037   5.25   745,761   779,145    
700,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2038   5.00   700,000   701,316    
1,000,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2039   5.30   1,000,000   1,023,840    
630,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2049   4.00   626,749   552,308    
500,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2049   4.50   492,801   481,680    
940,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2050   4.00   925,394   804,555    
465,000   LEXINGTON OAKS FL CDD SPL ASSMNT REVENUE   5/1/2033   5.65   465,000   480,280    
315,000   LONG LAKE RANCH CMNTY DEV DIST FLA CAP IMPT REVENUE   5/1/2024   5.63   315,000   318,830    
25,000   LONG LAKE RANCH CMNTY DEV DISTFLA CAP IMPT REV   5/1/2026   4.00   24,973   25,006    
500,000   LT RANCH CDD FL CAPITAL IMPT REVENUE   5/1/2040   4.00   506,198   455,420    
250,000   MAGNOLIA CREEK FL CDD CAPITAL IMPT REVENUE(b)   5/1/2014   5.60   250,000   45,000    
500,000   MANATEE CNTY FL SCH BRD COPS   7/1/2031   5.63   496,888   528,135    
740,000   MARSHALL CREEK FL CDD SPL ASSMNT   5/1/2032   5.00   751,582   734,013    
500,000   MIAMI BEACH FL HLTH FACS AUTH   11/15/2044   5.00   529,998   525,505    
135,000   MIAMI-DADE CNTY FL HLTH FACS AUTH HOSP REVENUE   8/1/2030   6.00   131,055   136,897    
350,000   N SPRINGS FL IMPT DIST   5/1/2027   6.00   350,000   360,745    
115,000   NEW RIVER FL CDD CAPITAL IMPT REVENUE(b)   5/1/2013   5.00   114,821   1    
500,000   NORTH SPRINGS FL IMPT DIST   5/1/2044   6.50   500,000   507,395    
1,400,000   NTHRN PALM BEACH CNTY FL IMPT DIST   8/1/2029   5.00   1,406,068   1,455,244    
500,000   NTHRN PALM BEACH CNTY FL IMPT DIST   8/1/2037   5.00   509,193   513,885    
1,000,000   ORANGE CNTY FL HLTH FACS AUTH REVENUE   8/1/2034   5.00   1,032,582   1,091,520    
750,000   ORANGE CNTY FL HLTH FACS AUTH REVENUE   8/1/2035   5.00   775,486   828,735    
1,000,000   ORANGE CNTY FL HLTH FACS AUTH REVENUE   8/1/2047   5.00   1,064,331   1,087,920    
560,000   ORANGE CNTY FL HSG FIN AUTH   9/1/2035   3.80   560,000   591,780    
500,000   PALM BEACH CNTY FL HLTH FACS AUTH REVENUE   6/1/2034   7.25   500,000   525,625    
1,200,000   PALM BEACH CNTY FL HLTH FACS AUTH REVENUE   5/15/2036   5.00   1,295,645   1,243,416    
1,000,000   PALM BEACH CNTY FL HLTH FACS AUTH REVENUE   6/1/2049   7.50   1,049,454   1,048,740    
1,935,000   PALM BEACH CNTY FL HLTH FACS AUTH REVENUE   5/15/2053   4.00   1,784,154   1,705,644    
500,000   PARKER ROAD FL CDD CAPITAL IMPT REVENUE   5/1/2050   4.10   498,258   414,810    
500,000   PINELLAS CNTY FL INDL DEV AUTH INDL DEV REVENUE   7/1/2039   5.00   553,599   499,960    
725,000   POINCIANA FL W CDD SPL ASSMNT   5/1/2030   5.38   717,998   742,038    
500,000   SEVEN OAKS FL CMNTY DEV DIST SPL ASSMNT REVENUE   5/1/2033   5.50   490,856   519,165    
175,000   SILVERLEAF FL CDD CAPITAL IMPT REVENUE   5/1/2044   6.75   171,914   182,915    
142,538   STERLING HILL FL CDD CAPITAL IMPT REVENUE(b)   11/1/2010   5.50   142,538   89,799    
1,100,000   TALLAHASSEE FL HLTH FACS REVENUE   12/1/2040   5.00   1,144,102   1,215,709    
27 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Florida (Cont'd):                    
500,000   TOLOMATO FL CDD   5/1/2037   4.25   $500,000   471,070    
50,000   TOLOMATO FL CDD (Step to 6.61% on 5/1/2022)(d)   5/1/2040   0.00   48,463   39,114    
185,000   TOLOMATO FL CDD (Step to 6.61% on 11/1/2021)(d)   5/1/2040   0.00   167,950   160,116    
115,000   TOLOMATO FL CDD (Step to 6.61% on 11/1/2024)(d)   5/1/2040   0.00   83,675   77,850    
1,490,000   TOLOMATO FL CDD   5/1/2040   3.75   1,432,893   1,638,091    
125,000   TOLOMATO FL CDD(b)   5/1/2040   6.61   -   1    
700,000   TROUT CREEK CDD FL CAPITAL IMPT REVENUE   5/1/2038   5.38   700,000   725,123    
500,000   TSR CDD FL SPL ASSMNT REVENUE   11/1/2035   5.38   498,688   521,075    
1,500,000   UNIVERSITY PARK RECREATION DIST FL ON-AD VALOREM ASSMNT   5/1/2050   3.50   1,500,000   1,616,985    
1,160,000   VLG FL CDD #7 SPL ASSMNT REVENUE   5/1/2036   4.00   1,153,191   1,230,772    
4,000   WATERS EDGE FL CDD CAPITAL IMPT REVENUE   5/1/2039   5.35   4,000   3,858    
105,000   WATERS EDGE FL CDD CAPITAL IMPT REVENUE   5/1/2039   6.60   104,239   92,062    
740,000   WIREGRASS FL CDD CAPITAL IMPT REVENUE   5/1/2035   5.38   736,161   763,702    
750,000   WYNNFIELD LAKES FL CDD   5/1/2036   4.50   745,349   793,290    
350,934   ZEPHYR RIDGE FL CDD CAPITAL IMPT REVENUE(b)   5/1/2013   5.25   351,276   154,411    
            64,136,130   63,165,709   10.72%
Georgia                    
500,000   ATHENS-CLARKE CNTY GA UNIF GOVT DEV AUTH REVENUE   6/15/2039   5.00   509,472   549,505    
500,000   ATLANTA GA ARPT REVENUE   1/1/2030   6.00   501,993   516,225    
1,350,000   COBB CNTY GA DEV AUTH(c)   12/1/2039   5.00   1,419,412   1,189,579    
845,000   FULTON CNTY GA DEV AUTH   11/1/2028   5.25   741,417   845,110    
3,500,000   GEORGIA ST HSG & FIN AUTH REVENUE   12/1/2037   3.80   3,500,000   3,604,125    
2,000,000   GEORGIA ST HSG & FIN AUTH REVENUE   12/1/2037   4.00   2,000,000   2,044,100    
925,000   GEORGIA ST HSG & FIN AUTH REVENUE   12/1/2038   3.85   925,000   995,393    
535,000   GEORGIA ST HSG & FIN AUTH REVENUE   12/1/2039   4.00   535,000   557,058    
2,500,000   GEORGIA ST HSG & FIN AUTH REVENUE   12/1/2040   3.80   2,500,000   2,629,500    
1,000,000   GEORGIA ST HSG & FIN AUTH REVENUE   12/1/2041   3.85   1,002,720   1,028,130    
1,950,000   GEORGIA ST HSG & FIN AUTH REVENUE   12/1/2043   3.90   1,941,160   2,002,240    
1,100,000   GEORGIA ST HSG & FIN AUTH REVENUE   12/1/2048   4.00   1,100,000   1,173,634    
1,500,000   GEORGIA ST HSG & FIN AUTH REVENUE   12/1/2048   4.20   1,506,538   1,632,465    
1,750,000   GEORGIA ST HSG & FIN AUTH REVENUE   12/1/2049   3.25   1,750,000   1,793,120    
            19,932,712   20,560,184   3.49%
Idaho                    
655,000   IDAHO ST HLTH FACS AUTH REVENUE   10/1/2024   7.00   655,000   672,934    
750,000   IDAHO ST HLTH FACS AUTH REVENUE   10/1/2029   7.38   743,623   771,990    
1,000,000   IDAHO ST HLTH FACS AUTH REVENUE   10/1/2044   8.00   1,041,840   1,030,530    
            2,440,463   2,475,454   0.42%
Illinois                    
1,195,000   BELLWOOD IL   12/1/2027   5.88   1,188,089   1,329,760    
1,495,000   BOLINGBROOK IL SPL SVC AREA SPL TAX   3/1/2030   4.00   1,545,152   1,691,458    
1,250,000   BURBANK IL EDUCTNL FACS REVENUE(c)   9/1/2035   6.00   1,260,671   1,298,388    
1,000,000   BUREAU CNTY TWP IL HIGH SCH DIST #502   10/1/2043   6.63   1,031,843   1,192,680    
1,000,000   CHICAGO HEIGHTS IL   12/1/2029   4.50   1,048,328   1,090,710    
1,000,000   CHICAGO IL MIDWAY ARPT REVENUE   1/1/2035   5.25   1,000,998   1,090,330    
1,000,000   CHICAGO IL PARK DIST   1/1/2028   5.00   1,078,524   1,077,080    
637,000   CORTLAND IL SPL TAX REVENUE(b)   3/1/2017   5.50   633,881   95,550    
28 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Illinois (Cont'd):                    
500,000   DECATUR IL   3/1/2034   5.00   $508,873   558,305    
1,000,000   DEKALB/KANE/LA SALLE CNTYS IL CMNTY CLG DIST #523(e)   2/1/2029   0.00   602,056   593,940    
1,500,000   ILLINOIS ST   2/1/2030   4.00   1,493,903   1,486,095    
500,000   ILLINOIS ST   7/1/2033   5.50   498,790   513,600    
1,000,000   ILLINOIS ST EDUCTNL FACS AUTH   11/1/2036   4.50   1,000,000   1,091,730    
675,000   ILLINOIS ST FIN AUTH EDUCTNL FAC REVENUE   2/1/2034   6.00   679,552   702,986    
500,000   ILLINOIS ST FIN AUTH REVENUE   5/15/2036   5.00   501,286   479,140    
750,000   ILLINOIS ST FIN AUTH REVENUE   12/1/2037   5.00   765,537   779,333    
500,000   ILLINOIS ST FIN AUTH REVENUE   5/1/2038   5.25   508,682   477,505    
1,450,000   ILLINOIS ST FIN AUTH REVENUE   5/15/2038   5.13   1,410,272   1,302,027    
1,000,000   ILLINOIS ST FIN AUTH REVENUE   5/15/2045   5.00   1,055,266   1,017,100    
2,000,000   ILLINOIS ST HSG DEV AUTH MF REVENUE   7/1/2044   3.15   2,000,000   2,083,020    
980,000   ILLINOIS ST HSG DEV AUTH REVENUE   4/1/2041   3.88   980,000   1,057,685    
1,000,000   ILLINOIS ST SALES TAX REVENUE   6/15/2033   5.00   1,069,328   1,013,990    
1,500,000   ILLINOIS ST SPORTS FACS AUTH   6/15/2031   5.25   1,565,371   1,709,145    
500,000   LAKE CNTY IL SCH DIST #33   12/1/2040   5.00   517,419   548,505    
1,000,000   MACON & MOULTRIE CNTYS IL CMNTY SCH DIST #3 MOUNT ZION   12/1/2041   5.50   1,015,199   1,102,660    
1,000,000   MACON CNTY IL SCH DIST #61   1/1/2037   5.25   1,003,414   1,027,580    
1,080,000   MACOUPIN SANGAMON & MONTGOMERY CNTYS IL CMNTY SCH DIST #34   12/1/2037   4.25   1,103,126   1,154,142    
1,000,000   MALTA IL TAX INCR REVENUE(b)   12/30/2025   5.75   1,000,000   320,000    
500,000   MET PIER & EXPOSITION AUTH IL REVENUE   6/15/2057   5.00   518,758   486,790    
1,000,000   NTHRN IL UNIV   4/1/2026   5.50   1,000,000   1,000,000    
500,000   RICHTON PARK IL PUBLIC LIBRARY DIST   12/15/2032   4.50   526,001   528,020    
395,000   S WSTRN IL DEV AUTH(b)   10/1/2022   7.00   395,000   229,100    
620,000   UPPER IL RIVER VLY DEV AUTH(c)   12/1/2022   4.00   616,895   609,218    
750,000   UPPER IL RIVER VLY DEV AUTH(c)   12/1/2037   5.25   766,888   728,925    
465,000   UPPER IL RIVER VLY DEV AUTH(c)   1/1/2045   5.00   496,796   439,127    
685,000   WESTMONT IL PARK DIST(e)   12/1/2031   0.00   346,054   392,676    
685,000   WESTMONT IL PARK DIST(e)   12/1/2033   0.00   301,758   343,500    
            33,033,710   32,641,800   5.54%
Indiana                    
233,864   CARMEL IN REVENUE(b)   11/15/2022   6.00   237,266   2,339    
331,723   CARMEL IN REVENUE(b)   11/15/2027   7.00   324,812   3,317    
500,000   DAVIESS CNTY IN HOSP ASSN LEASE RENTAL REVENUE   1/15/2029   5.25   493,063   511,675    
1,000,000   EAST CHICAGO IN SAN DIST REVENUE   7/15/2035   4.00   993,270   1,071,810    
750,000   EVANSVILLE IN MF HSG REVENUE   1/1/2038   5.45   750,000   677,197    
3,000,000   INDIANA ST FIN AUTH REVENUE   9/15/2030   6.50   3,016,412   3,233,730    
500,000   INDIANA ST FIN AUTH REVENUE   11/15/2031   5.50   494,487   514,155    
1,000,000   INDIANA ST FIN AUTH REVENUE   11/15/2033   6.50   988,821   1,063,650    
1,000,000   INDIANA ST FIN AUTH REVENUE   3/1/2041   5.00   1,018,255   1,073,650    
500,000   INDIANA ST FIN AUTH REVENUE   11/15/2041   5.88   522,732   530,930    
1,000,000   INDIANA ST FIN AUTH REVENUE   11/15/2041   6.00   987,972   1,067,760    
1,000,000   INDIANA ST FIN AUTH REVENUE   11/15/2046   5.25   1,029,802   1,034,370    
1,500,000   INDIANA ST HSG & CMNTY DEV AUTH MF HSG REVENUE   1/1/2036   5.75   1,500,000   1,325,220    
600,000   MERRILLVILLE IN ECON DEV REVENUE   4/1/2036   5.75   600,000   513,564    
1,000,000   MISHAWAKA IN MF HSG REVENUE(c)   1/1/2038   5.38   1,000,000   876,700    
615,000   MUNSTER IN ECON DEV TAX INCR REVENUE   7/15/2026   4.75   613,332   669,600    
1,000,000   SCHERERVILLE IN ECON DEV REVENUE   1/15/2030   6.00   1,007,601   1,123,970    
            15,577,825   15,293,637   2.59%
Iowa                    
1,500,000   IOWA ST FIN AUTH REVENUE   5/15/2036   5.00   1,619,556   1,554,270    
            1,619,556   1,554,270   0.26%
Kansas                    
1,000,000   FRANKLIN CNTY KS UNIF SCH DIST #290   9/1/2039   4.75   1,033,207   1,135,430    
700,000   WICHITA KS HLTH CARE FACS REVENUE   12/1/2036   5.25   711,409   675,829    
29 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Kansas (Cont'd):                    
935,000   WYANDOTTE CNTY KS KANSAS CITY UNIF GOVT SPL OBLG REVENUE   9/1/2032   5.75   $929,241   946,201    
            2,673,857   2,757,460   0.47%
Kentucky                    
735,000   KENTUCKY ST HSG CORP HSG REVENUE   7/1/2028   3.75   727,278   769,442    
            727,278   769,442   0.13%
Louisiana                    
1,000,000   LOUISIANA ST ENERGY & PWR AUTH PWR PROJ REVENUE   6/1/2038   5.25   1,008,668   1,113,500    
650,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH   11/15/2025   5.25   684,664   658,716    
1,000,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH   11/15/2030   6.00   1,011,808   1,040,950    
700,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVE(c)   11/1/2037   5.65   700,000   698,418    
1,000,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVE(c)   7/1/2039   5.00   1,065,486   985,340    
750,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVE(c)   11/1/2044   4.40   750,000   635,483    
700,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVENUE(c)   11/1/2039   5.50   700,000   668,878    
1,100,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVENUE(c)   11/1/2044   4.00   1,100,000   875,237    
500,000   LOUISIANA ST PUBLIC FACS AUTH HOSP REVENUE   7/1/2035   5.00   528,777   577,281    
750,000   LOUISIANA ST PUBLIC FACS AUTH REVENUE   5/1/2031   6.50   747,604   791,452    
385,000   LOUISIANA ST PUBLIC FACS AUTH REVENUE (Floating, ICE LIBOR USD 3M + 0.70%)(f)   2/15/2036   1.83   385,000   372,792    
750,000   SAINT TAMMANY LA PUBLIC TRUST FING AUTH   11/15/2037   5.25   757,621   760,380    
            9,439,628   9,178,427   1.56%
Maine                    
1,000,000   MAINE ST HSG AUTH MTGE PURCHASE   11/15/2035   4.00   1,000,000   1,062,990    
1,000,000   MAINE ST HSG AUTH MTGE PURCHASE   11/15/2036   3.90   1,000,000   1,073,920    
1,500,000   MAINE ST HSG AUTH MTGE PURCHASE   11/15/2040   3.85   1,500,000   1,580,745    
500,000   MAINE ST HSG AUTH MTGE PURCHASE   11/15/2042   4.05   500,000   534,135    
900,000   MAINE ST HSG AUTH MTGE PURCHASE   11/15/2044   3.10   900,000   917,829    
430,000   MAINE ST HSG AUTH MTGE REVENUE   11/15/2037   4.50   430,000   450,180    
            5,330,000   5,619,799   0.95%
Maryland                    
500,000   MARYLAND ST CMNTY DEV ADMIN DEPT HSG & CMNTY DEV   7/1/2031   4.50   500,000   517,455    
500,000   MONTGOMERY CNTY MD HSG OPPORTUNITIES COMMISSION MF REVENUE   7/1/2037   5.13   500,000   503,695    
890,000   MONTGOMERY CNTY MD HSG OPPORTUNITIES COMMISSION SF MTGE REVENUE   7/1/2038   4.00   890,000   900,956    
            1,890,000   1,922,106   0.33%
Massachusetts                    
730,000   MASSACHUSETTS ST DEV FIN AGY REVENUE   7/1/2030   6.38   723,211   738,942    
700,000   MASSACHUSETTS ST DEV FIN AGY REVENUE(c)   10/1/2047   5.00   744,980   687,680    
1,500,000   MASSACHUSETTS ST DEV FIN AGY REVENUE   6/1/2049   4.00   1,517,222   1,548,090    
250,000   MASSACHUSETTS ST EDUCTNL FING AUTH   1/1/2028   5.25   250,000   250,250    
700,000   MASSACHUSETTS ST HSG FIN AGY   12/1/2033   5.00   700,000   755,034    
30 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Massachusetts (Cont'd):                    
700,000   MASSACHUSETTS ST HSG FIN AGY   12/1/2038   5.15   $700,000   752,192    
1,000,000   MASSACHUSETTS ST HSG FIN AGY   12/1/2043   5.00   1,000,000   1,066,210    
2,770,000   MASSACHUSETTS ST HSG FIN AGY HSG REVENUE   12/1/2043   4.00   2,770,000   2,841,937    
1,975,000   MASSACHUSETTS ST HSG FIN AGY HSG REVENUE   6/1/2046   4.20   1,975,000   2,116,588    
500,000   ROWLEY MA   5/1/2027   4.00   500,000   501,055    
            10,880,413   11,257,978   1.91%
Michigan                    
275,000   CHANDLER PARK ACADEMY MI PUBLIC SCH ACADEMY REVENUE   11/1/2022   5.00   253,087   275,344    
750,000   MICHIGAN ST FIN AUTH REVENUE   11/15/2035   5.25   746,007   771,240    
1,850,000   MICHIGAN ST HSG DEV AUTH   10/1/2035   4.10   1,850,000   1,976,003    
1,000,000   MICHIGAN ST HSG DEV AUTH   12/1/2036   3.70   1,000,000   1,060,960    
600,000   MICHIGAN ST HSG DEV AUTH   10/1/2042   3.75   600,000   636,774    
1,650,000   MICHIGAN ST HSG DEV AUTH   10/1/2043   4.00   1,650,000   1,789,870    
1,000,000   MICHIGAN ST HSG DEV AUTH   10/1/2054   3.50   1,000,000   1,039,000    
2,500,000   MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE   12/1/2038   4.13   2,500,000   2,758,700    
1,000,000   MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE   6/1/2049   4.00   1,003,420   1,073,710    
3,000,000   MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE   6/1/2050   3.15   3,000,000   3,037,740    
460,000   MICHIGAN ST PUBLIC EDUCTNL FACS AUTH   11/1/2028   6.35   460,000   460,782    
280,000   OAKLAND CNTY MI ECON DEV CORP LTD OBLG REVENUE   12/1/2020   6.50   279,837   280,454    
750,000   TAYLOR MI BROWNFIELD REDEV AUTH   5/1/2032   5.00   775,124   843,450    
410,000   UNIVERSAL ACADEMY MI PUBLIC SCH ACADEMY REVENUE   12/1/2023   6.50   406,712   416,499    
            15,524,187   16,420,526   2.79%
Minnesota                    
1,000,000   APPLE VLY MN SENIOR LIVING REVENUE   1/1/2047   5.00   978,335   647,440    
1,000,000   APPLE VY MN SENIOR HSG REVENUE   9/1/2058   5.00   980,000   998,260    
1,000,000   ROCHESTER MN   9/1/2038   5.13   1,000,000   911,000    
            2,958,335   2,556,700   0.43%
Mississippi                    
1,000,000   MISSISSIPPI ST DEV BANK SPL OBLG   10/1/2031   6.50   980,151   1,014,180    
1,000,000   MISSISSIPPI ST DEV BANK SPL OBLG(c)   11/1/2039   4.55   1,000,000   864,270    
            1,980,151   1,878,450   0.32%
Missouri                    
485,000   KANSAS CITY MO INDL DEV AUTH   9/1/2023   5.45   485,000   485,660    
1,300,000   KANSAS CITY MO INDL DEV AUTH SENIOR LIVING FACS REVENUE(b)(c)(g)   11/15/2036   5.75   1,300,000   905,333    
1,000,000   KIRKWOOD MO INDL DEV AUTH RETMNT CMNTY REVENUE   5/15/2037   5.25   1,017,768   1,029,850    
1,000,000   MISSOURI ST HLTH & EDUCTNL FACS AUTH   2/1/2042   5.00   907,323   1,029,300    
2,000,000   MISSOURI ST HLTH & EDUCTNL FACS AUTH   2/1/2048   4.00   2,081,512   1,795,240    
915,000   MISSOURI ST HSG DEV COMMISSION SF MTGE REVENUE   11/1/2048   3.80   915,000   970,403    
500,000   MISSOURI ST HSG DEV COMMISSION SF MTGE REVENUE   11/1/2049   3.35   500,000   516,050    
750,000   MISSOURI ST HSG DEV COMMISSION SF MTGE REVENUE   5/1/2050   2.85   750,000   737,610    
750,000   SAINT LOUIS CNTY MO INDL DEV AUTH SENIOR LIVING FACS   9/1/2042   5.00   757,635   751,822    
            8,714,238   8,221,268   1.39%
Montana                    
885,000   MONTANA ST BRD OF HSG   12/1/2038   3.75   885,000   907,329    
560,000   MONTANA ST BRD OF HSG   12/1/2038   5.20   560,000   602,599    
995,000   MONTANA ST BRD OF HSG   6/1/2045   4.00   995,000   1,078,550    
895,000   MONTANA ST BRD OF HSG SF MTGE   12/1/2037   3.95   895,000   966,457    
31 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Montana (Cont'd):                    
800,000   MONTANA ST BRD OF HSG SF MTGE   12/1/2038   4.00   $801,839   850,776    
            4,136,839   4,405,711   0.75%
Nebraska                    
160,000   MEAD NE TAX INCR REVENUE(b)   7/1/2012   5.13   160,000   6,640    
570,000   NEBRASKA ST INVESTMENT FIN AUTH SF HSG REVENUE   9/1/2035   3.75   570,000   613,633    
920,000   NEBRASKA ST INVESTMENT FIN AUTH SF HSG REVENUE   9/1/2042   3.05   920,000   937,057    
1,000,000   SCOTTS BLUFF CNTY NE HOSP AUTH   2/1/2037   5.25   1,041,268   1,098,240    
            2,691,268   2,655,570   0.45%
Nevada                    
900,000   NEVADA ST HSG DIV SF MTGE REVENUE   10/1/2039   3.85   900,000   939,168    
1,000,000   NEVADA ST HSG DIV SF MTGE REVENUE   10/1/2049   3.35   1,000,000   1,031,970    
515,000   NORTH LAS VEGAS NV LOCAL IMPT(c)   12/1/2027   4.00   504,339   498,015    
515,000   NORTH LAS VEGAS NV LOCAL IMPT(c)   12/1/2037   5.00   515,971   516,890    
            2,920,310   2,986,043   0.51%
New Hampshire                    
1,000,000   NEW HAMPSHIRE ST HLTH & EDU FACS AUTH REVENUE   1/1/2034   6.00   976,168   1,035,810    
1,000,000   NEW HAMPSHIRE ST HSG FIN AUTH MF REVENUE   7/1/2031   5.20   1,000,000   1,033,810    
1,500,000   NEW HAMPSHIRE ST HSG FIN AUTH MF REVENUE   7/1/2052   4.00   1,500,000   1,599,960    
175,000   NEW HAMPSHIRE ST HSG FIN AUTH SF REVENUE   7/1/2034   5.38   175,000   176,218    
            3,651,168   3,845,798   0.65%
New Jersey                    
750,000   NEW JERSEY ST ECON DEV AUTH   6/15/2037   5.00   777,816   795,533    
500,000   NEW JERSEY ST ECON DEV AUTH   6/15/2042   5.00   535,605   522,395    
750,000   NEW JERSEY ST ECON DEV AUTH REVENUE   7/15/2047   5.00   795,509   781,838    
1,000,000   NEW JERSEY ST HSG & MTGE FIN AGY MF CONDUIT REVENUE   1/1/2030   3.60   1,000,000   1,039,730    
820,000   NEW JERSEY ST HSG & MTGE FIN AGY REVENUE   10/1/2030   4.50   820,000   848,421    
3,350,000   NEW JERSEY ST HSG & MTGE FIN AGY REVENUE   10/1/2035   3.75   3,350,000   3,685,268    
955,000   NEW JERSEY ST HSG & MTGE FIN AGY REVENUE   4/1/2049   4.00   957,587   1,019,462    
500,000   NEW JERSEY ST TRANSPRTN TRUST FUND AUTH   12/15/2039   4.00   528,435   490,340    
500,000   NEW JERSEY ST TRANSPRTN TRUST FUND AUTH   6/15/2041   5.25   507,488   522,295    
700,000   TOBACCO SETTLEMENT FING CORP NJ   6/1/2046   5.00   704,626   672,805    
            9,977,066   10,378,087   1.76%
New Mexico                    
635,000   NEW MEXICO ST MTGE FIN AUTH   9/1/2042   3.90   635,000   648,354    
940,000   NEW MEXICO ST MTGE FIN AUTH   9/1/2042   4.13   940,000   963,688    
1,530,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2043   3.85   1,530,000   1,636,488    
835,000   NEW MEXICO ST MTGE FIN AUTH   9/1/2046   3.80   835,000   870,212    
765,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2048   3.90   765,000   812,736    
1,000,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2048   4.00   1,001,941   1,076,000    
1,000,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2049   3.10   1,000,000   1,013,970    
990,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2049   3.35   990,000   1,022,809    
985,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2049   4.00   985,000   1,062,618    
900,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2050   3.00   902,226   904,707    
            9,584,167   10,011,582   1.70%
New York                    
750,000   HEMPSTEAD TOWN NY LOCAL DEV CORP REVENUE   9/1/2038   5.00   753,013   828,405    
1,250,000   MONROE CNTY NY INDL DEV CORP REVENUE   1/1/2050   5.00   1,339,711   1,100,937    
1,000,000   NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE   11/1/2037   3.80   1,000,000   1,023,510    
32 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
New York (Cont'd):                    
1,000,000   NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE   11/1/2039   4.30   $1,000,000   1,047,190    
600,000   NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE   11/1/2042   3.85   601,534   634,782    
3,000,000   NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE   5/1/2045   3.90   2,838,750   3,095,370    
1,000,000   NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE   11/1/2047   3.65   1,000,000   1,035,790    
1,000,000   NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE   11/1/2049   3.95   1,000,000   1,063,070    
2,000,000   NEW YORK CITY NY MUNI WTR FIN AUTH WTR & SWR SYS REVENUE   6/15/2038   5.00   2,092,002   2,203,920    
1,000,000   NEW YORK ST HSG FIN AGY   11/1/2041   4.10   1,000,000   1,075,440    
1,000,000   NEW YORK ST HSG FIN AGY   11/1/2042   4.00   1,000,000   1,068,610    
1,000,000   NEW YORK ST HSG FIN AGY   11/1/2048   3.95   1,000,000   1,066,480    
1,500,000   NEW YORK ST HSG FIN AGY REVENUE   11/1/2034   3.65   1,500,000   1,569,735    
500,000   NEW YORK ST HSG FIN AGY REVENUE   11/1/2045   5.10   500,000   532,880    
4,000,000   NEW YORK ST HSG FIN AGY REVENUE   5/1/2048   4.10   4,000,000   4,096,680    
930,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   10/1/2036   3.90   930,000   999,890    
435,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   10/1/2042   3.75   435,000   444,122    
1,000,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   10/1/2043   4.20   1,000,000   1,101,810    
1,490,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   10/1/2048   3.80   1,490,000   1,574,140    
2,000,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   10/1/2049   2.95   2,000,000   2,004,340    
1,500,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   4/1/2050   2.55   1,500,000   1,386,150    
550,000   WESTCHESTER CO NY LOCAL DEV CORP REVENUE   1/1/2034   5.00   563,168   560,555    
            28,543,178   29,513,806   5.01%
North Carolina                    
1,750,000   MECKLENBURG CNTY NC MF HSG REVENUE   1/1/2036   5.38   1,750,000   1,764,455    
975,000   NORTH CAROLINA ST HSG FIN AGY HOME OWNERSHIP REVENUE   1/1/2041   3.95   986,518   1,048,447    
965,000   NORTH CAROLINA ST HSG FIN AGY HOME OWNERSHIP REVENUE   1/1/2048   4.00   965,000   1,034,605    
600,000   NORTH CAROLINA ST MED CARE COMMISSION RETMNT FACS REVENUE   10/1/2038   5.00   596,386   580,314    
            4,297,904   4,427,821   0.75%
Ohio                    
600,000   BRYAN OH CITY SCH DIST   12/15/2034   4.00   610,062   612,480    
750,000   BUTLER CNTY OH PORT AUTH PUBLIC INFRASTRUCTURE REVENUE   12/1/2041   5.00   764,760   762,165    
1,500,000   COLUMBUS-FRANKLIN CNTY OH FIN AUTH DEV REVENUE   5/15/2049   4.00   1,600,348   1,451,010    
500,000   COVENTRY OH LOCAL SCH DIST   11/1/2037   5.25   501,876   529,595    
1,000,000   DAYTON-MONTGOMERY CNTY OH PORT AUTH PROJ REVENUE   1/15/2040   7.00   1,000,000   880,680    
890,000   HAMILTON CNTY OH HLTH CARE REVENUE   1/1/2031   6.13   872,849   918,613    
750,000   LAKE CNTY OH PORT & ECON DEV AUTH LEASE REVENUE(c)   12/1/2037   6.50   750,000   600,593    
500,000   LUCAS CNTY OH HLTH CARE FACS REVENUE   8/15/2030   5.50   494,137   519,510    
1,500,000   LUCAS MET HSG AUTH OH COPS   11/1/2036   5.00   1,551,577   1,655,970    
2,000,000   OHIO ST HGR EDUCTNL FAC COMMISSION   11/1/2049   4.00   2,041,518   1,811,800    
870,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   9/1/2039   3.35   783,185   909,881    
1,420,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   9/1/2048   4.00   1,420,000   1,518,548    
1,490,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   3/1/2049   4.00   1,490,000   1,598,472    
1,000,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   9/1/2049   3.35   1,000,000   1,031,790    
33 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Ohio (Cont'd):                    
1,000,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   3/1/2050   3.00   $1,000,000   1,005,400    
1,000,000   REVERE OH LOCAL SCH DIST   12/1/2043   4.00   1,053,125   1,050,450    
            16,933,437   16,856,957   2.86%
Oklahoma                    
1,090,000   FORT SILL APACHE TRIBE OK ECONDEV AUTH GAMING ENTERPRISE REV(c)   8/25/2026   8.50   1,090,000   1,183,555    
2,000,000   OKLAHOMA ST DEV FIN AUTH   8/1/2049   5.00   2,230,268   2,146,440    
            3,320,268   3,329,995   0.56%
Oregon                    
1,000,000   CLACKAMAS CNTY OR HOSP FAC AUTH REVENUE   11/15/2052   5.00   1,041,867   1,031,900    
1,000,000   MEDFORD OR HOSP FACS AUTH REVENUE   10/1/2042   5.00   1,020,885   1,060,650    
500,000   MULTNOMAH CNTY OR HOSP FACS AUTH REVENUE   12/1/2029   5.00   512,521   512,490    
2,000,000   OREGON ST   12/1/2039   3.90   2,000,000   2,076,500    
575,000   OREGON ST HSG & CMNTY SVCS DEPT MTGE REVENUE   7/1/2035   3.75   575,000   624,019    
745,000   OREGON ST HSG & CMNTY SVCS DEPT MTGE REVENUE   7/1/2038   4.00   745,000   769,488    
1,265,000   OREGON ST HSG & CMNTY SVCS DEPT MTGE REVENUE   7/1/2048   3.75   1,265,000   1,330,641    
1,500,000   POLK CNTY OR HOSP FAC AUTH REVENUE   7/1/2035   5.13   1,528,757   1,342,290    
            8,689,030   8,747,978   1.48%
Pennsylvania                    
545,000   ALLEGHENY CNTY PA INDL DEV AUTH CHRT SCH REVENUE   8/15/2026   5.90   545,000   550,270    
380,000   BUTLER CNTY PA GEN AUTH REVENUE (Floating, ICE LIBOR USD 3M + 0.70%)(f)   10/1/2034   1.66   380,000   358,515    
1,000,000   CENTRL BRADFORD PROGRESS AUTH PA   12/1/2031   5.50   1,007,884   1,071,130    
650,000   CMWLTH FING AUTH PA TOBACCO MASTER SETTLEMENT PAYMENT REVENUE   6/1/2039   4.00   646,963   707,648    
600,000   DAUPHIN CNTY PA GEN AUTH UNIV REVENUE(c)   10/15/2022   4.00   599,234   596,562    
1,250,000   MONTGOMERY CNTY PA INDL DEV AUTH   11/15/2036   5.00   1,264,052   1,276,050    
2,500,000   PENNSYLVANIA HGR EDU ASSISTANCE AGY LOAN REVENUE   6/1/2041   2.45   2,500,000   2,176,700    
1,700,000   PENNSYLVANIA HGR EDU ASSISTANCE AGY LOAN REVENUE   6/1/2047   3.00   1,700,000   1,512,609    
500,000   PENNSYLVANIA ST HGR EDUCTNL FACS AUTH REVENUE (Floating, ICE LIBOR USD 3M + 0.65%)(f)   7/1/2039   1.61   500,000   463,840    
1,000,000   PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE   10/1/2038   3.95   1,000,000   1,081,220    
440,000   PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE   10/1/2038   4.00   440,000   454,049    
1,125,000   PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE   10/1/2040   4.05   1,125,000   1,125,000    
1,835,000   PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE   10/1/2042   3.65   1,835,000   1,931,026    
535,000   PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE   10/1/2042   3.70   535,000   542,292    
1,400,000   PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE   10/1/2046   3.00   1,400,000   1,413,188    
495,000   PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE   10/1/2047   4.00   495,000   521,676    
1,000,000   PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE   10/1/2049   3.40   1,000,000   1,035,700    
1,500,000   PENNSYLVANIA ST TURNPIKE COMMISSION TURNPIKE REVENUE (Step to 4.60% on 12/1/2021)(d)   12/1/2037   0.00   1,386,921   1,612,335    
300,000   PHILADELPHIA PA AUTH FOR INDL DEV REVENUES   6/15/2023   6.13   300,000   308,784    
34 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Pennsylvania (Cont'd):                    
750,000   PHILADELPHIA PA AUTH FOR INDL DEV REVENUES   8/1/2036   5.63   $740,105   755,685    
750,000   PHILADELPHIA PA AUTH FOR INDL DEV REVENUES   6/15/2049   5.00   780,352   701,910    
            20,180,511   20,196,189   3.43%
Puerto Rico                    
1,500,000   PUERTO RICO CMWLTH   7/1/2035   5.00   1,500,000   1,512,240    
            1,500,000   1,512,240   0.26%
Rhode Island                    
665,000   RHODE ISLAND ST HSG & MTGE FIN CORP   10/1/2028   4.00   662,609   677,409    
750,000   RHODE ISLAND ST HSG & MTGE FIN CORP   10/1/2037   3.90   750,000   772,942    
            1,412,609   1,450,351   0.25%
South Carolina                    
650,000   BERKELEY CNTY SC ASSMNT REVENUE   11/1/2040   4.25   647,331   545,662    
170,000   SOUTH CAROLINA ST EDU ASSISTANCE AUTH   10/1/2029   5.10   168,733   170,093    
665,000   SOUTH CAROLINA ST JOBS-ECON DEV AUTH ECON DEV REVENUE   4/1/2054   4.00   688,825   554,923    
1,000,000   SOUTH CAROLINA ST PUBLIC SVC AUTH REVENUE   12/1/2038   5.00   1,036,063   1,095,130    
1,400,000   SOUTH CAROLINA ST PUBLIC SVC AUTH REVENUE   12/1/2043   5.75   1,439,441   1,627,094    
            3,980,393   3,992,902   0.68%
South Dakota                    
500,000   SOUTH DAKOTA ST HLTH & EDUCTNL FACS AUTH   9/1/2032   5.00   499,500   505,605    
            499,500   505,605   0.09%
Tennessee                    
1,000,000   FRANKLIN TN HLTH & EDUCTNL FACS BRD REVENUE(c)   6/1/2027   6.50   1,000,000   1,048,800    
600,000   NASHVILLE MET DEV & HSG AGY TN TAX INCR REVENUE(c)   6/1/2036   5.13   600,000   611,382    
1,350,000   SHELBY CNTY TN HLTH EDUCTNL & HSG FACS BRD RETMNT FACS REV   10/1/2039   5.50   1,341,912   1,321,569    
150,000   SHELBY CNTY TN HLTH EDUCTNL & HSG FACS BRD REVENUE(b)   1/1/2019   5.35   134,966   375    
625,000   SHELBY CNTY TN HLTH EDUCTNL & HSG FACS BRD REVENUE(b)   1/1/2029   5.55   556,862   1,563    
130,000   SHELBY CNTY TN HLTH EDUCTNL & HSG FACS BRD REVENUE(b)   1/1/2029   6.00   -   1    
720,000   TENNESSEE HSG DEV AGY RSDL FING PROGRAM REVENUE   1/1/2031   3.60   724,866   745,783    
980,000   TENNESSEE HSG DEV AGY RSDL FING PROGRAM REVENUE   7/1/2042   3.85   980,000   1,073,276    
980,000   TENNESSEE HSG DEV AGY RSDL FING PROGRAM REVENUE   7/1/2042   3.90   980,000   1,062,937    
2,000,000   TENNESSEE HSG DEV AGY RSDL FING PROGRAM REVENUE   7/1/2044   4.00   2,013,894   2,213,520    
990,000   TENNESSEE HSG DEV AGY RSDL FING PROGRAM REVENUE   1/1/2049   3.95   990,000   1,054,301    
1,970,000   TENNESSEE HSG DEV AGY RSDL FING PROGRAM REVENUE   1/1/2049   4.05   1,970,000   2,125,039    
490,000   TENNESSEE ST HSG DEV AGY   1/1/2035   3.85   490,000   511,438    
            11,782,500   11,769,984   2.00%
Texas                    
1,750,000   ARLINGTON TX HGR EDU FIN CORP EDU REVENUE   8/15/2028   7.00   1,720,349   1,786,400    
500,000   ARLINGTON TX HGR EDU FIN CORP EDU REVENUE   6/15/2036   5.00   503,621   484,840    
650,000   ARLINGTON TX SPL TAX REVENUE   2/15/2041   5.00   693,288   726,044    
835,000   BEXAR CNTY TX HSG FIN CORP(f)(h)   2/1/2035   3.75   835,000   869,995    
2,000,000   BEXAR CNTY TX REVENUE   8/15/2039   5.00   2,048,028   2,147,980    
675,000   BRAZORIA CNTY TX MUNI UTILITYDIST #28   9/1/2032   4.00   700,721   694,697    
1,000,000   BRAZOS TX HGR EDU AUTH STUDENT LOAN PROGRAM REVENUE   4/1/2040   3.00   1,004,299   903,100    
35 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Texas (Cont'd):                    
4,000,000   CAPITAL AREA TX CULTURAL EDU FACS FIN CORP REVENUE(f)(h)   4/1/2045   6.13   $4,000,000   4,028,520    
1,000,000   DALLAS-FORT WORTH TX INTERNATIONAL ARPT REVENUE   11/1/2037   5.25   1,005,177   1,092,550    
1,350,000   DANBURY TX HGR EDU AUTH INC EDU REVENUE   8/15/2049   5.13   1,414,253   1,398,478    
1,500,000   EL PASO CNTY TX HOSP DIST   8/15/2043   5.00   1,595,564   1,612,020    
1,000,000   EL PASO TX DOWNTOWN DEV CORP SPL REVENUE   8/15/2038   7.25   1,039,194   1,190,530    
550,000   FALLBROOK TX UTILITY DIST   9/1/2024   4.00   554,550   550,044    
1,000,000   FORT BEND CNTY TX MUNI UTILITY DIST #23   9/1/2033   4.00   1,037,818   1,032,790    
610,000   FORT BEND CNTY TX MUNI UTILITY DIST #50   9/1/2029   4.00   633,069   627,013    
800,000   GILMER TX ECON DEV CORP SALES TAX REVENUE   7/15/2030   5.00   838,500   832,704    
1,500,000   GRAND PARKWAY TRANSPRTN CORP TX SYS TOLL REVENUE (Step to 5.50% on 10/1/2023)(d)   10/1/2035   0.00   1,239,498   1,658,430    
560,000   HARRIS CNTY TX MUNI UTILITY DIST #400   9/1/2033   4.00   581,185   577,567    
1,000,000   HIDALGO CNTY TX REGL MOBILITY AUTH VEHICLE REGISTRATION FEE   12/1/2038   5.25   1,015,292   1,132,780    
1,500,000   HOUSTON TX HGR EDU FIN CORP   9/1/2038   5.50   1,516,830   1,642,920    
750,000   LEWISVILLE TX COMB CONTRACT REVENUE   9/1/2024   3.00   745,391   771,600    
1,000,000   MEADOWHILL TX REGL MUNI UTILITY DIST   10/1/2034   4.00   1,063,717   1,051,190    
273,000   N CENTRL TEXAS ST HLTH FAC DEV CORP   2/15/2025   5.38   273,000   271,886    
1,000,000   N TX TOLLWAY AUTH REVENUE   1/1/2034   6.00   1,000,000   1,036,190    
1,000,000   N TX TOLLWAY AUTH REVENUE   1/1/2042   6.20   998,992   1,206,720    
1,000,000   NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE   10/1/2034   5.00   1,006,167   935,310    
750,000   NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE   1/1/2035   5.50   759,972   740,985    
1,100,000   NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE   1/1/2055   5.00   1,148,159   928,884    
750,000   NEW HOPE CULTURAL EDU FACS FIN CORP TX EDU REVENUE(c)   8/15/2036   5.00   752,645   702,128    
1,000,000   NEW HOPE CULTURAL EDU FACS FIN CORP TX EDU REVENUE   8/15/2036   5.50   1,002,192   1,011,090    
1,000,000   NEW HOPE CULTURAL EDU FACS FIN CORP TX EDU REVENUE(c)   8/15/2037   6.00   1,015,867   964,410    
670,000   NEW HOPE CULTURAL EDU FACS FIN CORP TX EDU REVENUE(c)   8/15/2049   5.00   696,634   646,965    
1,100,000   NEW HOPE CULTURAL EDU FACS FIN CORP TX STUDENT HSG REV   4/1/2046   5.00   1,131,243   1,209,802    
750,000   RED RIVER TX HLTH FACS DEV CORP RETIREMENT FAC REVENUE   11/15/2034   7.50   746,623   810,390    
1,000,000   SUGAR LAND TX DEV CORP SALES TAX REVENUE   2/15/2033   5.00   1,044,824   1,098,930    
1,000,000   TARRANT CNTY TX CULTURAL EDU FACS FIN CORP HOSP REVENUE   11/15/2038   5.00   1,039,471   1,083,510    
1,000,000   TARRANT CNTY TX CULTURAL EDU FACS FIN CORP RETMNT FAC REVENUE(b)   11/15/2022   5.50   1,000,000   700,000    
750,000   TARRANT CNTY TX CULTURAL EDU FACS FIN CORP RETMNT FAC REVENUE   11/15/2024   5.63   750,000   750,345    
750,000   TARRANT CNTY TX CULTURAL EDU FACS FIN CORP RETMNT FAC REVENUE   11/15/2035   5.00   770,306   669,000    
1,485,000   TARRANT CNTY TX CULTURAL EDU FACS FIN CORP RETMNT FAC REVENUE   11/15/2037   6.63   1,505,562   1,577,723    
970,000   TEXAS ST AFFORDABLE HSG CORP SF MTGE REVENUE   3/1/2050   4.00   993,370   1,046,892    
2,000,000   TEXAS ST DEPT OF HSG & CMNTY AFFAIRS   9/1/2044   3.63   2,045,916   2,166,620    
36 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Texas (Cont'd):                    
1,000,000   TEXAS ST DEPT OF HSG & CMNTY AFFAIRS   9/1/2048   4.25   $1,017,820   1,089,410    
            46,484,107   47,459,382   8.05%
Utah                    
1,000,000   UTAH ST CHRT SCH FIN AUTH CHRT SCH REVENUE(c)   7/15/2033   4.65   990,186   925,880    
1,000,000   UTAH ST CHRT SCH FIN AUTH CHRT SCH REVENUE   10/15/2033   6.50   1,000,000   1,002,080    
1,000,000   UTAH ST CHRT SCH FIN AUTH CHRT SCH REVENUE(c)   4/15/2045   6.00   1,000,349   1,000,150    
90,000   UTAH ST HSG CORP SF MTGE REVENUE   1/1/2033   5.75   90,000   90,977    
1,500,000   WEST VLY CITY UT MUNI BLDG AUTH LEASE REVENUE   2/1/2039   5.00   1,635,613   1,772,205    
            4,716,148   4,791,292   0.81%
Vermont                    
680,000   VERMONT ST HSG FIN AGY   5/1/2032   4.88   677,477   730,789    
500,000   VERMONT ST HSG FIN AGY   5/1/2046   2.65   500,000   475,550    
            1,177,477   1,206,339   0.20%
Virginia                    
500,000   FAIRFAX CNTY VA REDEV & HSG AUTH MF REVENUE   8/1/2039   5.60   500,000   501,270    
462,000   MARQUIS VA CMNTY DEV AUTH REVENUE(e)   9/1/2041   0.00   155,109   21,456    
349,000   MARQUIS VA CMNTY DEV AUTH REVENUE   9/1/2041   5.63   374,099   195,384    
1,000,000   VIRGINIA ST HSG DEV AUTH   7/1/2033   4.13   1,000,000   1,051,390    
3,500,000   VIRGINIA ST HSG DEV AUTH CMWLTH MTGE   1/1/2038   3.88   3,490,250   3,625,265    
            5,519,458   5,394,765   0.91%
Washington                    
700,000   KALISPEL TRIBE OF INDIANS PRIORITY DIST WA REVENUE(c)   1/1/2038   5.25   686,504   744,324    
550,000   KING CNTY WA HSG AUTH   5/1/2028   5.20   550,000   557,794    
1,500,000   KING CNTY WA HSG AUTH   11/1/2039   3.00   1,467,291   1,551,525    
1,000,000   PIKE PLACE MARKET WA PRESERVATION & DEV AUTH SPL OBLG   12/1/2040   5.00   1,048,183   1,152,190    
770,000   SEATTLE WA HSG AUTH POOLED HSG REVENUE   9/15/2033   5.75   777,177   860,814    
500,000   SNOHOMISH CNTY WA HSG AUTH   4/1/2044   4.00   508,320   540,835    
1,000,000   VANCOUVER WA HSG AUTH   8/1/2034   3.75   983,639   1,076,500    
1,500,000   VANCOUVER WA HSG AUTH   12/1/2051   3.30   1,500,000   1,537,620    
530,000   WASHINGTON ST HSG FIN COMMISSION(c)   7/1/2025   6.00   532,341   548,465    
1,000,000   WASHINGTON ST HSG FIN COMMISSION(c)   1/1/2031   5.00   1,001,379   1,014,220    
750,000   WASHINGTON ST HSG FIN COMMISSION(c)   7/1/2031   5.00   791,408   758,767    
675,000   WASHINGTON ST HSG FIN COMMISSION(c)   1/1/2035   5.75   675,000   676,877    
600,000   WASHINGTON ST HSG FIN COMMISSION(c)   7/1/2036   5.00   630,158   581,142    
500,000   WASHINGTON ST HSG FIN COMMISSION(c)   1/1/2038   5.00   539,581   529,690    
1,000,000   WASHINGTON ST HSG FIN COMMISSION(c)   1/1/2044   5.00   1,087,504   991,680    
1,000,000   WASHINGTON ST HSG FIN COMMISSION(c)   7/1/2048   5.00   1,096,866   890,680    
            13,875,351   14,013,123   2.38%
West Virginia                    
1,500,000   WEST VIRGINIA ST HSG DEV FUND   11/1/2032   3.75   1,500,000   1,603,275    
            1,500,000   1,603,275   0.27%
Wisconsin                    
200,000   PUBLIC FIN AUTH WI CCRC REVENUE(c)   6/1/2020   7.00   199,918   201,212    
1,500,000   PUBLIC FIN AUTH WI CCRC REVENUE(c)   6/1/2046   8.25   1,536,216   1,597,995    
16,520   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2046   0.00   1,048   410    
37 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Wisconsin (Cont'd):                    
18,299   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2047   0.00   $1,129   438    
17,930   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2048   0.00   1,084   425    
17,786   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2049   0.00   1,052   413    
17,496   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2050   0.00   1,013   391    
18,980   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2051   0.00   1,077   418    
446,246   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(f)(h)   7/1/2051   3.75   443,916   310,511    
19,357   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2052   0.00   1,075   411    
19,095   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2053   0.00   1,040   399    
18,909   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2054   0.00   1,011   385    
18,634   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2055   0.00   978   372    
18,360   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2056   0.00   947   361    
98,139   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)   7/1/2056   5.50   97,967   76,004    
18,454   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2057   0.00   1,720   354    
18,165   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2058   0.00   900   341    
17,992   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2059   0.00   877   332    
17,834   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2060   0.00   855   318    
17,573   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2061   0.00   829   305    
17,400   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2062   0.00   810   295    
17,125   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2063   0.00   785   284    
16,967   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2064   0.00   767   277    
16,823   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2065   0.00   750   266    
16,731   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2066   0.00   735   251    
215,987   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e)   1/1/2067   0.00   8,986   3,019    
535,000   PUBLIC FIN AUTH WI REVENUE   4/1/2025   5.00   537,341   549,868    
1,250,000   PUBLIC FIN AUTH WI REVENUE(c)   11/1/2028   6.25   1,250,000   1,385,862    
600,000   PUBLIC FIN AUTH WI REVENUE   4/1/2032   5.50   600,000   618,156    
1,000,000   PUBLIC FIN AUTH WI REVENUE(c)   1/1/2033   6.13   989,027   1,048,650    
341,645   PUBLIC FIN AUTH WI REVENUE(e)   10/1/2042   0.00   376,279   53,822    
515,000   PUBLIC FIN AUTH WI REVENUE   10/1/2042   7.00   529,819   456,929    
13,694   PUBLIC FIN AUTH WI REVENUE(c)   12/1/2048   5.50   13,694   13,694    
1,195,000   PUBLIC FIN AUTH WI SENIOR LIVING REVENUE(c)   11/15/2024   5.00   1,193,097   1,205,480    
520,000   PUBLIC FIN AUTH WIS ED REVENUE(c)   6/15/2049   5.00   526,890   493,220    
500,000   WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE   8/1/2032   5.00   543,095   477,790    
1,300,000   WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE   8/15/2032   5.00   1,380,979   1,486,160    
700,000   WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE   6/1/2037   5.00   732,375   656,950    
500,000   WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE   9/15/2040   5.00   513,698   497,450    
2,000,000   WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE   8/15/2043   5.00   2,053,020   2,142,020    
1,400,000   WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE   9/15/2045   5.00   1,436,082   1,366,484    
650,000   WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE   11/1/2046   5.00   673,483   614,380    
38 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Wisconsin (Cont'd):                    
2,000,000   WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE   10/1/2048   5.13   $1,963,239   1,943,100    
500,000   WISCONSIN ST HSG & ECON DEV AUTH   11/1/2035   3.88   500,000   531,530    
1,000,000   WISCONSIN ST HSG & ECON DEV AUTH   11/1/2040   4.00   1,000,000   1,063,030    
1,000,000   WISCONSIN ST HSG & ECON DEV AUTH   11/1/2042   3.90   1,003,926   1,074,010    
2,000,000   WISCONSIN ST HSG & ECON DEV AUTH   11/1/2049   3.20   2,000,000   2,087,960    
1,500,000   WISCONSIN ST HSG & ECON DEV AUTH   5/1/2055   4.15   1,500,000   1,603,935    
            23,623,529   23,566,667   4.00%
Wyoming                    
1,000,000   NATRONA CNTY WY HOSP REVENUE   9/15/2031   6.35   1,000,000   1,048,930    
630,000   WYOMING ST CMNTY DEV AUTH HSG REVENUE   12/1/2038   3.90   630,000   679,984    
1,645,000   WYOMING ST CMNTY DEV AUTH HSG REVENUE   12/1/2038   4.05   1,645,000   1,702,723    
            3,275,000   3,431,637   0.58%
    Sub-total Municipal Bonds:       531,379,395   540,364,023   91.69%
Short-Term Investments:                    
11,388,849   NORTHERN INSTITUTIONAL FUNDS - U.S. GOVERNMENT SELECT PORTFOLIO, 0.37%(i)   11,388,849   11,388,849    
    Sub-total Short-Term Investments:           11,388,849   11,388,849   1.93%
    Grand total           $574,435,257   582,904,614   98.91%
    
Notes to Schedule of Investments:
(a) Investments in U.S. and foreign securities generally are valued at the last sales price or the regular trading session closing price on the principal exchange or market in which such securities are traded. Foreign security values are stated in U.S. dollars. Debt securities are valued at the market price supplied by an independent pricing vendor provided such prices are believed to reflect the fair value of such securities.
(b) Non-income producing assets. For long-term debt securities, item identified is in default as to payment of interest and/or principal.
(c) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. The value of these securities is determined by valuations supplied by a pricing service or brokers, or, if not available, in accordance with procedures established by the Board of Trustees.
(d) For step bonds, the coupon rate disclosed is the current rate in effect.
(e) Zero coupon bond.
(f) Variable rate security. Rate as of March 31, 2020 is disclosed.
(g) Restricted security that has been deemed illiquid. At March 31, 2020, the value of these restricted illiquid securities amounted to $4,681,623 or 0.79% of net assets. Additional information on these restricted illiquid securities is as follows:
    
SECURITY AQUISITION DATE ACQUISITION COST
CAPITAL TRUST AGY FL REVENUE, 6.75%, 12/1/35 12/2/15-1/21/16 $ 1,748,875
CAPITAL TRUST AGY FL REVENUE, 6.75%, 7/1/37 6/28/17 750,000
COLLIER CNTY FLA INDL DEV AUTH CONTINUING CARE CMNTY REV, 7.25%, 5/15/26 12/16/13 750,000
COLLIER CNTY FLA INDL DEV AUTH CONTINUING CARE CMNTY REV, 8.13%, 5/15/44 6/27/17-4/12/18 1,961,290
KANSAS CITY MO INDL DEV AUTH SENIOR LIVING FACS REVENUE, 5.75%, 11/15/36 12/18/15 1,300,000
    
(h) These securities are remarketed by an agent, and the rate at which these securities are set are determined by general market conditions and supply and demand.
(i) The short-term investment is a money market portfolio of the investment company, Northern Institutional Funds. At December 31, 2019, the value of the Clearwater Tax-Exempt Bond Fund's investment in the U.S. Government Select Portfolio of the Northern Institutional Funds was $22,581,520 with net sales of $11,192,671 for the three months ended March 31, 2020.
39 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Diversification of investments representing geographic diversification, as a percentage of total investments at fair value, is as follows:
Geographical Diversification   Percent
Florida   10.84%
Illinois   9.60
Texas   8.14
California   7.75
New York   6.05
Colorado   4.87
Wisconsin   4.04
Georgia   3.98
Pennsylvania   3.47
Ohio   2.89
Other   38.37
    100.00%
     
Fair value is an estimate of the price the Clearwater Tax-Exempt Bond Fund would receive upon selling a security in a timely transaction to an independent buyer in the principal or most advantageous market for the security. This guidance establishes a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Various inputs are used in determining the value of the Clearwater Tax-Exempt Bond Fund's investments and other financial instruments, as described below. These inputs are summarized in the three broad levels listed below.
Level 1 – Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 – Other significant observable inputs including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc. or quoted prices for identical or similar assets in markets that are not active. Inputs that are derived principally from or corroborated by observable market data are also considered Level 2 measurements. An adjustment to any observable input that is significant to the fair value may render the measurement a Level 3 measurement.
Level 3 – Valuations based on unobservable inputs, which may include the Adviser’s own assumptions in determining the fair value of an investment.
Debt securities are valued at the market price supplied by an independent pricing vendor provided such prices are believed to reflect the fair value of such securities. Investments in closed-end funds are valued at the last sales price or the regular trading session closing price on the principal exchange or market in which the funds are traded. Equity securities which have not traded on the date of valuation or securities for which sales prices are not generally reported are valued at the mean between the last bid and asked prices. Security transactions are accounted for as of trade date. Wherever possible, the Clearwater Tax-Exempt Bond Fund uses independent pricing services approved by the Board of Trustees of Clearwater Investment Trust to value its investments. When prices are not readily available (including those for which trading has been suspended), are determined not to reflect fair value, or when the Adviser becomes aware that a significant event impacting the value of a security or group of securities has occurred after the closing of the exchange on which the security or securities principally trade, but before the calculation of the daily net asset value, the Clearwater Tax-Exempt Bond Fund may value these securities at fair value as determined in good faith using procedures established by the Board of Trustees.
40 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following is a summary of the inputs used in valuing the Clearwater Tax-Exempt Bond Fund’s investments and other financial instruments, if any, which are carried at fair value, as of March 31, 2020.
  Level 1   Level 2   Level 3   Total
Closed-End Funds $31,151,742   $   $   $31,151,742
Municipal Bonds              
Alabama   1,052,160     1,052,160
Alaska   1,291,454     1,291,454
Arizona   14,890,999     14,890,999
Arkansas   1,574,630     1,574,630
California   45,201,028     45,201,028
Colorado   28,380,606     28,380,606
Connecticut   8,784,904     8,784,904
District of Columbia   4,861,933     4,861,933
Florida   63,165,709     63,165,709
Georgia   20,560,184     20,560,184
Idaho   2,475,454     2,475,454
Illinois   32,641,800     32,641,800
Indiana   15,293,637     15,293,637
Iowa   1,554,270     1,554,270
Kansas   2,757,460     2,757,460
Kentucky   769,442     769,442
Louisiana   9,178,427     9,178,427
Maine   5,619,799     5,619,799
Maryland   1,922,106     1,922,106
Massachusetts   11,257,978     11,257,978
Michigan   16,420,526     16,420,526
Minnesota   2,556,700     2,556,700
Mississippi   1,878,450     1,878,450
Missouri   8,221,268     8,221,268
Montana   4,405,711     4,405,711
Nebraska   2,655,570     2,655,570
Nevada   2,986,043     2,986,043
New Hampshire   3,845,798     3,845,798
New Jersey   10,378,087     10,378,087
New Mexico   10,011,582     10,011,582
New York   29,513,806     29,513,806
North Carolina   4,427,821     4,427,821
Ohio   16,856,957     16,856,957
Oklahoma   3,329,995     3,329,995
Oregon   8,747,978     8,747,978
Pennsylvania   20,196,189     20,196,189
Puerto Rico   1,512,240     1,512,240
Rhode Island   1,450,351     1,450,351
South Carolina   3,992,902     3,992,902
South Dakota   505,605     505,605
Tennessee   11,769,984     11,769,984
Texas   47,459,382     47,459,382
Utah   4,791,292     4,791,292
Vermont   1,206,339     1,206,339
Virginia   5,394,765     5,394,765
Washington   14,013,123     14,013,123
West Virginia   1,603,275     1,603,275
Wisconsin   23,566,667     23,566,667
Wyoming   3,431,637     3,431,637
Short-Term Investments 11,388,849       11,388,849
Total $42,540,591   $540,364,023   $   $582,904,614
41 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
For the Clearwater Tax-Exempt Bond Fund, the investment value is comprised of closed-end funds, municipal bonds, and short-term investments. Investments in closed-end funds and short-term securities generally are valued at the last sales price or the regular trading session closing price on the principal exchange or market where they are traded. Investments in municipal bonds generally are based on valuations using adjusted evaluated prices provided by the primary pricing provider. The Board of Trustees has delegated to the Valuation Committee the responsibility to determine in good faith the fair value of securities for which no price quotation is available from an approved pricing service or broker-dealer at the time the Clearwater Tax-Exempt Bond Fund’s net asset value is calculated, including securities for which the prices do not represent fair value or for which a significant event occurs that materially affects the value of the security after the close of the market on which the security principally trades and before the time the Clearwater Tax-Exempt Bond Fund’s net asset value is calculated.
42 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
March 31, 2020 (unaudited)
Clearwater Tax-Exempt Bond Fund Portfolio Diversification
(as a percentage of net assets)
43 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Common Stocks:            
Argentina:            
9,190   GLOBANT S.A.(b)   $922,603   807,617    
6,780   MERCADOLIBRE, INC.(b)   4,384,923   3,312,573    
        5,307,526   4,120,190   0.75%
Australia:            
275,180   ADAIRS LTD.(c)   331,893   150,884    
75,391   AFTERPAY LTD.(b)   1,298,687   852,805    
102,780   ALLIANCE AVIATION SERVICES LTD.   167,434   107,306    
89,441   APA GROUP   554,557   571,225    
74,125   APPEN LTD.   1,097,710   921,304    
2,792   ASX LTD.   61,614   134,653    
41,875   AUSTRALIA & NEW ZEALAND BANKING GROUP LTD.   455,019   451,609    
155,819   AVENTUS GROUP   289,289   144,951    
250,708   BEACH ENERGY LTD.   466,720   183,588    
179,910   BGP HOLDINGS PLC(b)(d)   -   -    
19,642   BHP GROUP LTD.   286,016   357,090    
29,300   BLUESCOPE STEEL LTD.   232,964   159,803    
18,817   BRAMBLES LTD.   73,935   124,183    
49,542   CEDAR WOODS PROPERTIES LTD.   234,956   125,959    
971   COCHLEAR LTD.   35,893   111,553    
20,273   COLES GROUP LTD.   164,456   191,810    
11,157   COMMONWEALTH BANK OF AUSTRALIA   235,177   421,427    
44,677   CSL LTD.   3,226,710   8,104,541    
18,303   DEXUS   95,661   104,476    
97,180   FORTESCUE METALS GROUP LTD.   212,026   593,554    
20,886   GOODMAN GROUP   67,544   159,556    
191,776   HT&E LTD.   241,003   135,354    
26,377   INCITEC PIVOT LTD.   46,705   33,599    
49,039   INSURANCE AUSTRALIA GROUP LTD.   130,321   191,083    
13,263   LENDLEASE GROUP   90,966   83,426    
7,819   MACQUARIE GROUP LTD.   175,414   425,689    
25,670   MINERAL RESOURCES LTD.   246,214   218,981    
287,808   NANOSONICS LTD.(b)   1,244,379   1,015,505    
185,584   NEW HOPE CORP. LTD.   317,284   157,358    
7,157   NEWCREST MINING LTD.   59,115   100,561    
16,330   ORORA LTD.   16,763   24,834    
256,036   QANTAS AIRWAYS LTD.   746,678   502,205    
2,805   RAMSAY HEALTH CARE LTD.   60,296   98,273    
169,500   REGIS RESOURCES LTD.   501,445   378,967    
187,710   SANTOS LTD.   551,606   406,895    
55,104   SCENTRE GROUP   108,690   54,559    
5,884   SEEK LTD.   49,598   55,201    
39,820   SONIC HEALTHCARE LTD.   470,951   596,352    
107,718   SOUTH32 LTD.   80,546   116,107    
75,800   SUPER RETAIL GROUP LTD.   517,213   213,731    
12,092   SYDNEY AIRPORT   42,501   42,309    
19,031   TABCORP HOLDINGS LTD.   40,016   30,189    
39,578   TRANSURBAN GROUP   302,372   291,164    
13,884   TREASURY WINE ESTATES LTD.   59,042   85,179    
45,213   WASHINGTON H. SOUL PATTINSON & CO. LTD.   558,433   470,169    
10,244   WESFARMERS LTD.   249,189   220,595    
2,163   WOOLWORTHS GROUP LTD.   47,654   47,261    
374,133   ZIP CO. LTD.(b)(c)   924,155   381,119    
        17,466,810   20,348,942   3.72%
Austria:            
1,649   ANDRITZ A.G.   58,433   51,887    
8,998   BAWAG GROUP A.G.(b)(e)   357,978   252,817    
1,821   ERSTE GROUP BANK A.G.(b)   28,050   33,752    
93   IMMOFINANZ A.G.(b)   -   1,663    
31,621   RAIFFEISEN BANK INTERNATIONAL A.G.   553,176   464,154    
313   STRABAG S.E. (BEARER)   5,505   7,142    
34,691   TELEKOM AUSTRIA A.G.(b)   259,973   242,463    
631   UBM DEVELOPMENT A.G.   28,972   19,013    
21,794   VIENNA INSURANCE GROUP A.G. WIENER VERSICHERUNG GRUPPE   595,919   410,782    
44 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Austria (Cont'd):            
13,496   WIENERBERGER A.G.   $337,601   213,516    
        2,225,607   1,697,189   0.31%
Belgium:            
7,478   AGEAS   117,910   311,162    
10,113   ANHEUSER-BUSCH INBEV S.A./N.V.   285,546   449,101    
19,000   BPOST S.A.   195,697   134,307    
25,946   GROUPE BRUXELLES LAMBERT S.A.   2,315,088   2,041,587    
10,859   KBC GROUP N.V.   475,026   501,111    
21,394   ONTEX GROUP N.V.   501,601   373,969    
1,194   UCB S.A.   40,858   103,679    
1,757   UMICORE S.A.   55,904   61,441    
        3,987,630   3,976,357   0.73%
Brazil:            
125,000   GRUPO SBF S.A.(b)   637,402   578,799    
51,200   IOCHPE-MAXION S.A.   228,388   108,586    
100,293   NOTRE DAME INTERMEDICA PARTICIPACOES S.A.   841,639   867,800    
88,100   WIZ SOLUCOES E CORRETAGEM DE SEGUROS S.A.   235,725   152,934    
        1,943,154   1,708,119   0.31%
Canada:            
2,027   AGNICO EAGLE MINES LTD.   57,973   80,919    
12,428   ALIMENTATION COUCHE-TARD, INC., CLASS B   223,779   292,751    
785   BANK OF MONTREAL   34,168   39,638    
2,936   BANK OF NOVA SCOTIA (THE)   67,574   119,898    
40,918   BARRICK GOLD CORP.   384,639   751,893    
18,099   BROOKFIELD ASSET MANAGEMENT, INC., CLASS A   174,146   802,257    
11,000   BRP, INC. (SUB VOTING)   430,510   179,464    
85,785   CAE, INC.   1,798,537   1,084,428    
15,139   CANADIAN IMPERIAL BANK OF COMMERCE   709,664   882,113    
16,124   CANADIAN NATIONAL RAILWAY CO.   302,628   1,260,658    
3,659   CANADIAN PACIFIC RAILWAY LTD.   123,837   807,434    
22,574   CANADIAN PACIFIC RAILWAY LTD. (NEW YORK EXCHANGE)   3,102,265   4,957,025    
5,400   CANADIAN TIRE CORP. LTD., CLASS A   582,254   325,926    
1,803   CANADIAN UTILITIES LTD., CLASS A   44,280   43,099    
13,800   CARGOJET, INC.   1,027,116   991,682    
35,300   CASCADES, INC.   347,472   315,299    
45,100   CENTERRA GOLD, INC.(b)   366,388   268,235    
7,126   CGI, INC.(b)   64,938   385,795    
25,800   COMINAR REAL ESTATE INVESTMENT TRUST   273,247   148,680    
167   CONSTELLATION SOFTWARE, INC.   49,226   151,777    
52,400   CORUS ENTERTAINMENT, INC., CLASS B   212,483   93,458    
29,900   DESCARTES SYSTEMS GROUP (THE), INC.(b)   1,165,655   1,028,536    
6,582   DOLLARAMA, INC.   86,132   182,592    
25,600   DOREL INDUSTRIES, INC., CLASS B   175,448   27,286    
67,455   ECN CAPITAL CORP.   232,360   180,225    
1,320   ENBRIDGE, INC.   47,149   38,438    
39,600   ENERPLUS CORP.   318,702   58,248    
28,367   EQUINOX GOLD CORP.(b)   177,524   189,474    
211   FAIRFAX FINANCIAL HOLDINGS LTD.   52,589   64,685    
15,840   FIRSTSERVICE CORP.   1,607,156   1,221,457    
6,598   FORTIS, INC.   204,949   254,440    
2,389   FRANCO-NEVADA CORP.   109,265   238,696    
6,104   GILDAN ACTIVEWEAR, INC.   33,435   77,813    
40,966   H&R REAL ESTATE INVESTMENT TRUST   522,063   259,949    
208,410   HUSKY ENERGY, INC.   454,613   524,246    
19,500   IA FINANCIAL CORP., INC.   882,358   613,004    
134,997   IMPERIAL OIL LTD.   3,820,451   1,526,186    
415   INTACT FINANCIAL CORP.   33,776   35,868    
1,100   INTERNATIONAL PETROLEUM CORP.(b)   2,833   1,306    
2,356   KEYERA CORP.   50,239   21,898    
14,205   KINAXIS, INC.(b)   907,384   1,099,114    
35,289   KINROSS GOLD CORP.(b)   70,483   141,678    
2,077   LOBLAW COS. LTD.   71,240   107,075    
25,763   LULULEMON ATHLETICA, INC.(b)   5,164,095   4,883,377    
9,723   MAGNA INTERNATIONAL, INC.   71,598   310,282    
3,590   MANULIFE FINANCIAL CORP.   39,611   45,076    
45 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Canada (Cont'd):            
3,240   METRO, INC.   $63,839   131,023    
19,328   NATIONAL BANK OF CANADA   618,005   746,998    
18,700   NFI GROUP, INC.   423,076   200,115    
7,098   NUTRIEN LTD.   124,525   242,652    
2,755   ONEX CORP.   115,432   100,839    
6,564   OPEN TEXT CORP.   72,477   229,528    
4,522   PEMBINA PIPELINE CORP.   33,296   84,830    
23,400   PIZZA PIZZA ROYALTY CORP.   181,786   123,044    
6,239   PRAIRIESKY ROYALTY LTD.   34,530   32,939    
2,701   RITCHIE BROS. AUCTIONEERS, INC.   50,064   92,509    
9,552   ROGERS COMMUNICATIONS, INC., CLASS B   231,614   398,696    
27,218   ROYAL BANK OF CANADA   919,166   1,685,918    
5,209   SAPUTO, INC.   113,863   125,256    
40,500   SEVEN GENERATIONS ENERGY LTD., CLASS A(b)   277,351   44,607    
7,000   SHAW COMMUNICATIONS, INC., CLASS B   107,483   113,558    
1,352   SHOPIFY, INC., CLASS A(b)   360,074   566,451    
10,324   SHOPIFY, INC., CLASS A (NEW YORK EXCHANGE)(b)   1,601,792   4,304,385    
12,076   SUN LIFE FINANCIAL, INC.   245,644   388,461    
139,715   SUNCOR ENERGY, INC.   3,550,653   2,229,801    
6,628   TC ENERGY CORP.   226,669   294,593    
14,787   TECK RESOURCES LTD., CLASS B   50,839   112,113    
9,096   TELUS CORP.   59,716   143,812    
10,700   TFI INTERNATIONAL, INC.   328,109   236,080    
8,181   THOMSON REUTERS CORP.   216,295   557,375    
30,251   TORONTO-DOMINION BANK (THE)   567,816   1,286,092    
104   TRISURA GROUP LTD.(b)   490   3,028    
16,800   WAJAX CORP.   206,860   77,118    
20,600   WESTSHORE TERMINALS INVESTMENT CORP.(c)   319,282   191,464    
7,241   WHEATON PRECIOUS METALS CORP.   118,462   199,278    
25,967   YAMANA GOLD, INC.   47,753   72,146    
        37,945,193   42,128,087   7.70%
Chile:            
5,893,187   ENEL CHILE S.A.   532,931   399,351    
        532,931   399,351   0.07%
China:            
290,000   AGILE GROUP HOLDINGS LTD.   352,847   312,158    
13,337   ALIBABA GROUP HOLDING LTD. ADR(b)(f)   2,614,733   2,593,780    
225,500   ASIA CEMENT CHINA HOLDINGS CORP.   293,280   228,201    
31,598   BAIDU, INC. ADR(b)(f)   3,957,248   3,184,762    
656,000   CHINA BLUECHEMICAL LTD., CLASS H   177,444   100,945    
408,000   CHINA MEDICAL SYSTEM HOLDINGS LTD.   472,941   439,830    
1,191,000   CHINA SUNTIEN GREEN ENERGY CORP. LTD., CLASS H   329,834   206,781    
9,600   HANGZHOU TIGERMED CONSULTING CO. LTD., CLASS A   87,839   86,301    
67,857   HANGZHOU TIGERMED CONSULTING CO. LTD., CLASS A (SHENZEN-HONG KONG EXCHANGE)   587,456   610,107    
30,000   SILERGY CORP.   963,016   965,064    
97,555   TENCENT HOLDINGS LTD.   1,604,694   4,756,935    
95,539   TRIP.COM GROUP LTD. ADR(b)(f)   2,758,267   2,240,389    
302,000   ZHEJIANG EXPRESSWAY CO. LTD., CLASS H   271,689   208,362    
        14,471,288   15,933,615   2.91%
Czech Republic:            
88,400   MONETA MONEY BANK A.S.(e)   268,732   182,656    
701   PHILIP MORRIS CR A.S.   402,294   376,080    
        671,026   558,736   0.10%
Denmark:            
5,750   ALK-ABELLO A/S(b)   1,554,162   1,307,625    
54   AP MOLLER - MAERSK A/S, CLASS A   46,111   44,804    
65   AP MOLLER - MAERSK A/S, CLASS B   52,319   58,310    
1,537   CARLSBERG A/S, CLASS B   70,497   174,474    
1,044   CHR HANSEN HOLDING A/S   61,134   78,332    
1,500   COLOPLAST A/S, CLASS B   27,666   218,241    
6,700   DANSKE BANK A/S   54,825   75,942    
3,896   DEMANT A/S(b)   70,444   86,471    
70,870   DSV PANALPINA A/S   6,437,445   6,452,950    
851   GENMAB A/S(b)   111,852   172,734    
6,944   ISS A/S   96,080   95,713    
46 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Denmark (Cont'd):            
21,785   NOVO NORDISK A/S, CLASS B   $271,361   1,314,103    
2,681   NOVOZYMES A/S, CLASS B   48,997   122,252    
864   ORSTED A/S(e)   68,168   84,849    
9,400   PANDORA A/S   311,027   306,106    
27,182   ROYAL UNIBREW A/S   1,796,356   1,964,080    
6,185   SIMCORP A/S   568,867   520,554    
2,699   SOLAR A/S, CLASS B   116,641   79,711    
3,250   TOPDANMARK A/S   33,362   131,307    
3,346   VESTAS WIND SYSTEMS A/S   159,882   272,373    
        11,957,196   13,560,931   2.48%
Finland:            
2,942   ELISA OYJ   95,919   182,812    
1,396   KESKO OYJ, CLASS B   30,705   79,251    
5,273   KONE OYJ, CLASS B   105,699   299,287    
21,225   NESTE OYJ   67,704   718,922    
2,767   NOKIAN RENKAAT OYJ   41,495   67,148    
2,237   ORION OYJ, CLASS B   59,265   91,765    
1,822   SAMPO OYJ, CLASS A   60,714   53,293    
24,493   SANOMA OYJ   271,642   225,150    
18,590   STORA ENSO OYJ (REGISTERED)   105,291   188,679    
11,934   UPM-KYMMENE OYJ(c)   99,928   328,930    
1,849   VALMET OYJ   14,443   36,296    
        952,805   2,271,533   0.42%
France:            
1,275   ACCOR S.A.   29,826   34,876    
3,534   AEROPORTS DE PARIS   345,517   339,302    
22,200   AIR FRANCE-KLM(b)(c)   263,182   123,898    
640   AIR LIQUIDE S.A.   96,366   82,033    
10,877   AIRBUS S.E.   357,319   705,735    
13,633   ALSTOM S.A.   625,940   570,551    
4,199   ARKEMA S.A.   378,617   290,379    
30,830   AXA S.A.   412,796   533,881    
1,643   BOUYGUES S.A.   51,359   48,215    
3,171   CAPGEMINI S.E.   121,479   268,250    
1,357   CASINO GUICHARD PERRACHON S.A.(c)   49,882   52,326    
19,629   CIE DE SAINT-GOBAIN   442,086   477,257    
5,399   CIE DES ALPES   143,643   93,524    
3,489   CIE GENERALE DES ETABLISSEMENTS MICHELIN S.C.A.   190,890   310,540    
12,397   CIE PLASTIC OMNIUM S.A.   365,091   174,574    
10,002   CNP ASSURANCES   115,209   97,904    
37,390   COFACE S.A.   449,179   240,007    
8,241   COVIVIO   528,654   464,761    
16,517   CREDIT AGRICOLE S.A.   122,492   121,057    
25,864   DANONE S.A.   1,486,458   1,668,090    
1,983   EDENRED   35,944   82,995    
6,724   EIFFAGE S.A.   605,216   476,208    
18,910   ELECTRICITE DE FRANCE S.A.   200,389   149,130    
15,893   ESSILORLUXOTTICA S.A.   1,815,130   1,724,040    
16,693   ESSILORLUXOTTICA S.A. (EURONEXT PARIS EXCHANGE)   2,017,382   1,801,007    
3,111   EURAZEO S.E.   87,193   140,766    
181   EUROFINS SCIENTIFIC S.E.   81,271   89,725    
47,907   EUTELSAT COMMUNICATIONS S.A.   676,920   501,632    
1,392   FAURECIA S.E.   59,110   41,665    
767   GECINA S.A.   80,256   101,750    
10,019   GETLINK S.E.   82,448   121,099    
1,437   ICADE   128,243   113,900    
1,364   ILIAD S.A.   188,357   185,391    
3,399   INFOTEL S.A.   145,404   117,138    
7,198   KAUFMAN & BROAD S.A.   285,637   223,296    
1,026   KERING S.A.   174,510   535,362    
1,475   KLEPIERRE S.A.   35,732   28,484    
5,003   LEGRAND S.A.   121,278   321,491    
6,266   L'OREAL S.A.   661,338   1,644,738    
16,378   LVMH MOET HENNESSY LOUIS VUITTON S.E.   2,672,763   6,079,440    
14,296   MERSEN S.A.   465,081   262,063    
19,315   NATIXIS S.A.   58,304   62,801    
8,798   NEXITY S.A.   431,993   271,051    
47 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
France (Cont'd):            
34,547   ORANGE S.A.   $364,835   428,321    
23,147   PERNOD RICARD S.A.   3,600,879   3,292,403    
13,444   PEUGEOT S.A.   88,165   179,241    
2,019   RENAULT S.A.   37,809   39,210    
3,129   SAFRAN S.A.   182,264   275,027    
18,127   SANOFI   1,018,143   1,595,916    
278   SCHNEIDER ELECTRIC S.E.   8,838   23,716    
7,138   SCHNEIDER ELECTRIC S.E. (EURONEXT PARIS EXCHANGE)   267,356   614,572    
1,813   SCOR S.E.   36,441   39,947    
3,699   SOCIETE POUR L'INFORMATIQUE INDUSTRIELLE   108,264   72,364    
29,088   SODEXO S.A.   2,624,621   1,971,081    
13,115   SOITEC(b)   1,091,043   945,721    
3,954   SUEZ   55,366   40,286    
51,800   TELEVISION FRANCAISE 1   458,222   283,337    
1,413   THALES S.A.   81,763   118,600    
7,962   TOTAL S.A.   384,682   308,762    
3,269   VALEO S.A.   58,895   54,668    
13,992   VEOLIA ENVIRONNEMENT S.A.   155,531   299,329    
5,698   VICAT S.A.   265,667   144,950    
7,918   VINCI S.A.   325,957   655,176    
95,834   VIVENDI S.A.   2,001,171   2,056,276    
6,004   WENDEL S.E.   462,932   480,308    
        31,364,728   35,691,543   6.53%
Georgia:            
21,875   BANK OF GEORGIA GROUP PLC   355,261   250,591    
        355,261   250,591   0.05%
Germany:            
4,035   ADIDAS A.G.   203,310   928,243    
8,277   ALLIANZ S.E. (REGISTERED)   727,077   1,426,802    
168,658   ARCH CAPITAL GROUP LTD.(b)   3,134,252   4,800,007    
20,671   AROUNDTOWN S.A.   170,616   103,592    
6,098   AURUBIS A.G.   286,000   253,350    
13,725   BASF S.E.   463,447   663,378    
9,925   BAYER A.G. (REGISTERED)   473,075   582,600    
8,787   BAYERISCHE MOTOREN WERKE A.G.   501,991   461,318    
2,206   BEIERSDORF A.G.   146,950   224,468    
1,188   BRENNTAG A.G.   43,546   44,882    
916   CONTINENTAL A.G.   47,943   66,987    
1,712   DELIVERY HERO S.E.(b)(e)   76,872   129,821    
4,586   DEUTSCHE BOERSE A.G.   282,364   629,971    
15,996   DEUTSCHE EUROSHOP A.G.   435,440   184,929    
37,890   DEUTSCHE PFANDBRIEFBANK A.G.(e)   469,871   291,191    
18,215   DEUTSCHE POST A.G. (REGISTERED)   220,891   502,561    
45,533   DEUTSCHE TELEKOM A.G. (REGISTERED)   528,151   602,882    
5,610   DEUTSCHE WOHNEN S.E.   162,284   214,346    
82,454   E.ON S.E.   724,674   867,129    
7,720   ECKERT & ZIEGLER STRAHLEN- UND MEDIZINTECHNIK A.G.   1,145,003   1,213,562    
42,016   EVOTEC S.E.(b)(c)   958,370   951,716    
23,600   FREENET A.G.   557,311   422,484    
59,104   FRESENIUS MEDICAL CARE A.G. & CO. KGAA   4,524,100   3,942,449    
7,057   FRESENIUS S.E. & CO. KGAA   160,477   265,193    
17,795   HAMBURGER HAFEN UND LOGISTIK A.G.   443,620   249,044    
4,367   HANNOVER RUECK S.E.   392,130   638,487    
3,671   HEIDELBERGCEMENT A.G.   131,196   160,109    
19,743   HELLA GMBH & CO. KGAA   897,893   576,664    
671   HENKEL A.G. & CO. KGAA   49,267   50,564    
2,600   HOCHTIEF A.G.   108,936   172,898    
21,990   INFINEON TECHNOLOGIES A.G.   127,235   329,380    
6,898   JOST WERKE A.G.(e)   220,852   167,192    
1,043   LANXESS A.G.   58,218   41,755    
2,159   MERCK KGAA   96,589   223,872    
3,131   MUENCHENER RUECKVERSICHERUNGS-GESELLSCHAFT A.G. IN MUENCHEN (REGISTERED)   392,193   632,914    
2,170   OSRAM LICHT A.G.(b)(c)   64,123   96,497    
19,095   PROSIEBENSAT.1 MEDIA S.E.   286,490   154,209    
48 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Germany (Cont'd):            
5,998   PUBLITY A.G.(c)   $216,077   223,487    
3,999   RHEINMETALL A.G.   520,402   285,418    
4,035   RWE A.G.   88,431   108,013    
17,205   SAP S.E.   694,475   1,976,049    
13,214   SIEMENS A.G. (REGISTERED)   805,411   1,137,308    
3,600   SILTRONIC A.G.   264,192   269,783    
188,717   TELEFONICA DEUTSCHLAND HOLDING A.G.   459,389   469,022    
115,327   TUI A.G. - CDI   451,686   516,488    
4,559   UNIPER S.E.   57,712   114,417    
469   VOLKSWAGEN A.G.   50,214   63,562    
2,861   VONOVIA S.E.   107,859   141,022    
1,371   ZALANDO S.E.(b)(e)   56,198   53,420    
        23,484,803   28,625,435   5.23%
Greece:            
6,746   HELLENIC TELECOMMUNICATIONS ORGANIZATION S.A.   54,075   81,947    
        54,075   81,947   0.02%
Hong Kong:            
682,400   AIA GROUP LTD.   3,940,137   6,139,076    
482,000   AUSNUTRIA DAIRY CORP. LTD.(b)   648,824   761,856    
181,500   BOC HONG KONG HOLDINGS LTD.   447,601   500,141    
1,462,000   CITIC TELECOM INTERNATIONAL HOLDINGS LTD.   547,331   483,305    
58,044   CK ASSET HOLDINGS LTD.   177,137   315,773    
46,044   CK HUTCHISON HOLDINGS LTD.   255,415   308,785    
10,000   CK INFRASTRUCTURE HOLDINGS LTD.   46,496   52,966    
35,500   CLP HOLDINGS LTD.   245,345   326,303    
722,000   FIRST PACIFIC CO. LTD.   288,855   133,304    
20,000   GALAXY ENTERTAINMENT GROUP LTD.   52,153   105,938    
15,800   HANG SENG BANK LTD.   184,668   269,211    
27,331   HENDERSON LAND DEVELOPMENT CO. LTD.   52,934   103,799    
113,364   HONG KONG & CHINA GAS CO. LTD.   169,115   186,427    
12,100   HONG KONG EXCHANGES & CLEARING LTD.   212,819   363,378    
40,500   LINK REIT   84,195   342,117    
32,500   MTR CORP. LTD.   99,572   167,345    
43,500   NWS HOLDINGS LTD.   52,824   44,521    
190,000   PCCW LTD.   77,804   104,407    
392,000   PERFECT SHAPE MEDICAL LTD.   140,251   93,966    
9,000   POWER ASSETS HOLDINGS LTD.   49,197   53,618    
133,000   SHENZHEN INTERNATIONAL HOLDINGS LTD.   256,636   241,939    
25,400   SINO LAND CO. LTD.   27,320   32,134    
185,000   SITC INTERNATIONAL HOLDINGS CO. LTD.   196,112   172,464    
58,500   SUN HUNG KAI PROPERTIES LTD.   691,750   768,100    
20,000   SWIRE PACIFIC LTD., CLASS A   137,259   128,127    
9,000   TECHTRONIC INDUSTRIES CO. LTD.   60,369   57,978    
600,000   UNITED LABORATORIES INTERNATIONAL HOLDINGS (THE) LTD.(c)   352,686   482,016    
469,800   VALUETRONICS HOLDINGS LTD.   216,550   167,827    
83,500   WH GROUP LTD.(e)   45,547   77,541    
19,000   WHEELOCK & CO. LTD.   30,489   129,061    
232,000   XINYI GLASS HOLDINGS LTD.   260,215   264,316    
358,000   YUEXIU TRANSPORT INFRASTRUCTURE LTD.   311,883   216,899    
        10,359,489   13,594,638   2.49%
India:            
480,827   BHARTI INFRATEL LTD.   2,067,707   1,007,180    
83,635   CREDITACCESS GRAMEEN LTD.(b)   977,718   372,083    
386,194   HCL TECHNOLOGIES LTD.   2,483,490   2,212,424    
75,694   HDFC BANK LTD. ADR(f)   2,505,428   2,911,191    
114,700   HINDUSTAN PETROLEUM CORP. LTD.   431,628   286,008    
469,390   INDIAN ENERGY EXCHANGE LTD.(e)   1,194,914   793,721    
40,400   JUBILANT LIFE SCIENCES LTD.   314,717   131,619    
322,000   NMDC LTD.   521,633   335,458    
735,500   SJVN LTD.   264,878   199,959    
260,962   SYNGENE INTERNATIONAL LTD.(e)   1,154,921   821,901    
25,733   WNS HOLDINGS LTD. ADR(b)(f)   1,526,688   1,106,004    
        13,443,722   10,177,548   1.86%
Indonesia:            
4,097,000   ADARO ENERGY TBK PT   470,816   247,287    
49 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Indonesia (Cont'd):            
4,115,000   BANK TABUNGAN PENSIUNAN NASIONAL SYARIAH TBK PT(b)   $1,146,657   535,763    
1,069,100   MATAHARI DEPARTMENT STORE TBK PT   209,704   86,966    
        1,827,177   870,016   0.16%
Ireland:            
28,272   ACCENTURE PLC, CLASS A   3,522,256   4,615,687    
306,800   AIB GROUP PLC(b)   558,157   344,038    
238,940   BANK OF IRELAND GROUP PLC   458,736   451,409    
100,693   CRH PLC   3,047,743   2,744,783    
65,382   DALATA HOTEL GROUP PLC   368,686   177,360    
171,467   EXPERIAN PLC   3,197,677   4,773,331    
890   FLUTTER ENTERTAINMENT PLC   76,739   80,682    
14,505   ICON PLC(b)   1,088,213   1,972,680    
12,259   JAMES HARDIE INDUSTRIES PLC - CDI   114,907   142,982    
3,255   KERRY GROUP PLC, CLASS A   214,085   373,163    
49,841   KEYWORDS STUDIOS PLC   843,317   893,216    
        13,490,516   16,569,331   3.03%
Isle of Man:            
9,687   GVC HOLDINGS PLC   75,251   67,244    
        75,251   67,244   0.01%
Israel:            
1,274   AZRIELI GROUP LTD.   75,106   73,677    
94,185   BANK HAPOALIM B.M.   477,257   566,202    
6,868   BANK LEUMI LE-ISRAEL B.M.   35,031   37,974    
2,203   CHECK POINT SOFTWARE TECHNOLOGIES LTD.(b)   171,232   221,490    
10,119   CYBERARK SOFTWARE LTD.(b)   1,034,896   865,782    
412   ELBIT SYSTEMS LTD.   53,251   53,693    
1,038   ISRACARD LTD.   3,373   2,785    
5,900   MIZRAHI TEFAHOT BANK LTD.   51,135   110,220    
3,008   NICE LTD.(b)   158,715   435,491    
8,170   WIX.COM LTD.(b)   1,015,634   823,700    
        3,075,630   3,191,014   0.58%
Italy:            
285,200   A2A S.P.A.   555,841   354,822    
67,826   AMPLIFON S.P.A.   1,657,871   1,391,701    
26,383   ASSICURAZIONI GENERALI S.P.A.   324,085   359,414    
2,647   ATLANTIA S.P.A.   35,699   33,180    
10,697   AVIO S.P.A.   142,834   134,567    
25,272   BANCA MEDIOLANUM S.P.A.   87,322   128,923    
11,397   EL.EN. S.P.A.   291,927   200,355    
93,436   ENEL S.P.A.   368,517   650,354    
4,500   ENI S.P.A.   39,200   45,497    
18,801   FERRARI N.V.   2,450,666   2,922,169    
1,022   FERRARI N.V. (NEW YORK EXCHANGE)   7,571   155,927    
35,634   INTERPUMP GROUP S.P.A.   503,758   859,870    
65,001   INTESA SANPAOLO S.P.A.   105,892   106,098    
173,553   IREN S.P.A.   474,559   429,338    
12,059   LEONARDO S.P.A.   61,595   80,225    
4,518   MONCLER S.P.A.   161,368   164,930    
4,277   PRYSMIAN S.P.A.   79,787   68,494    
1,642   RECORDATI S.P.A.   68,970   69,560    
695   RIZZOLI CORRIERE DELLA SERA MEDIAGROUP S.P.A.   460   555    
78,337   SNAM S.P.A.   286,070   361,810    
49,687   SOCIETA CATTOLICA DI ASSICURAZIONI S.C.   431,869   246,421    
163,162   TENARIS S.A.   1,598,924   998,082    
24,707   TENARIS S.A. ADR(f)   546,314   297,719    
57,919   TERNA RETE ELETTRICA NAZIONALE S.P.A.   295,368   367,034    
71,681   UNIPOL GRUPPO S.P.A.   376,844   246,503    
95,230   UNIPOLSAI ASSICURAZIONI S.P.A.   153,826   234,308    
        11,107,137   10,907,856   1.99%
Japan:            
1,500   ABC-MART, INC.   57,724   75,232    
30,600   ADEKA CORP.   390,224   383,106    
4,700   AEON CO. LTD.   52,433   104,464    
5,400   AEON FINANCIAL SERVICE CO. LTD.   59,706   57,761    
400   AEON REIT INVESTMENT CORP.   511,339   383,102    
50 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Japan (Cont'd):            
2,700   AGC, INC.   $80,413   66,359    
3,300   AISIN SEIKI CO. LTD.   68,452   81,263    
15,600   AJINOMOTO CO., INC.   126,117   290,669    
2,500   ALFRESA HOLDINGS CORP.   24,420   46,632    
1,400   ANA HOLDINGS, INC.   35,110   34,187    
15,600   ARCS CO. LTD.   325,913   281,548    
5,900   ASAHI GROUP HOLDINGS LTD.   94,464   191,567    
38,700   ASAHI INTECC CO. LTD.   962,102   958,017    
31,000   ASAHI KASEI CORP.   147,138   219,102    
22,100   ASAHI YUKIZAI CORP.   276,792   285,558    
9,300   ASANUMA CORP.   324,412   324,785    
37,000   ASTELLAS PHARMA, INC.   236,149   572,766    
2,100   BANDAI NAMCO HOLDINGS, INC.   43,790   101,920    
7,700   BANK OF KYOTO (THE) LTD.   268,658   245,029    
14,100   BRIDGESTONE CORP.   215,234   433,902    
19,200   BROTHER INDUSTRIES LTD.   297,392   293,477    
48,400   BUNKA SHUTTER CO. LTD.   363,296   352,426    
4,900   CENTRAL JAPAN RAILWAY CO.   570,576   785,484    
4,600   CHUGAI PHARMACEUTICAL CO. LTD.   92,729   532,456    
1,900   DAI NIPPON PRINTING CO. LTD.   35,234   40,468    
9,700   DAIICHI SANKYO CO. LTD.   150,922   667,376    
4,600   DAIKIN INDUSTRIES LTD.   136,302   560,952    
600   DAITO TRUST CONSTRUCTION CO. LTD.   57,148   55,962    
15,200   DAITRON CO. LTD.   266,276   208,844    
13,900   DAIWA HOUSE INDUSTRY CO. LTD.   202,390   344,259    
46   DAIWA HOUSE REIT INVESTMENT CORP.   103,607   112,385    
17,500   DAIWA SECURITIES GROUP, INC.   60,410   67,880    
5,600   DAIWABO HOLDINGS CO. LTD.   223,879   268,897    
8,500   DENSO CORP.   195,702   274,568    
3,300   DENTSU GROUP, INC.   56,753   63,624    
7,100   EAST JAPAN RAILWAY CO.   400,441   538,000    
13,700   ECO'S CO. LTD.   210,388   211,107    
3,500   EISAI CO. LTD.   121,009   256,899    
17,900   ELEMATEC CORP.   175,861   127,551    
7,700   FAMILYMART CO. LTD.   62,427   137,869    
2,600   FANUC CORP.   182,941   352,581    
1,300   FAST RETAILING CO. LTD.   188,734   531,200    
97,300   FEED ONE CO. LTD.   148,765   136,169    
37,700   FERROTEC HOLDINGS CORP.   322,172   192,535    
34,200   FJ NEXT CO. LTD.   337,056   258,988    
39,500   FREEE K.K.(b)(c)   885,531   1,253,290    
4,700   FUJI ELECTRIC CO. LTD.   61,631   106,325    
10,400   FUJIBO HOLDINGS, INC.   287,084   276,369    
9,000   FUJIFILM HOLDINGS CORP.   174,752   451,747    
2,300   FUJITSU LTD.   106,202   207,550    
35,800   FURUNO ELECTRIC CO. LTD.   322,070   279,127    
13,500   GMO PAYMENT GATEWAY, INC.   891,303   947,260    
19,400   HAKUTO CO. LTD.   213,407   173,882    
3,200   HAMAMATSU PHOTONICS K.K.   60,109   130,981    
2,700   HANKYU HANSHIN HOLDINGS, INC.   66,428   90,916    
29,900   HENNGE K.K.(b)   766,691   721,465    
441   HIROSE ELECTRIC CO. LTD.   38,709   45,740    
19,000   HITACHI LTD.   295,895   553,087    
6,000   HITACHI METALS LTD.   45,405   63,179    
5,300   HOYA CORP.   112,594   450,812    
5,700   HULIC CO. LTD.   48,487   57,875    
27,500   IDEMITSU KOSAN CO. LTD.   706,964   630,453    
14,500   INNOTECH CORP.   120,909   115,359    
87,100   INPEX CORP.   600,038   489,595    
13,800   INTAGE HOLDINGS, INC.   121,039   102,183    
1,300   INVINCIBLE INVESTMENT CORP.   761,926   290,293    
22,100   ITOCHU CORP.   274,565   458,533    
47,800   IWAKI & CO. LTD.   220,919   190,616    
54,800   J FRONT RETAILING CO. LTD.   439,863   455,238    
21,900   JACCS CO. LTD.   467,646   371,161    
30,400   JAPAN AVIATION ELECTRONICS INDUSTRY LTD.   458,316   365,367    
50,300   JAPAN ELEVATOR SERVICE HOLDINGS CO. LTD.   1,147,911   1,155,800    
51 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Japan (Cont'd):            
7,600   JAPAN EXCHANGE GROUP, INC.   $66,552   134,289    
88,100   JAPAN MATERIAL CO. LTD.   1,061,575   1,155,391    
42,600   JAPAN POST BANK CO. LTD.(c)   383,307   393,603    
11   JAPAN REAL ESTATE INVESTMENT CORP.   56,230   64,487    
6,000   JTEKT CORP.   47,136   40,742    
7,500   KAJIMA CORP.   55,030   76,970    
55,774   KANDENKO CO. LTD.   535,792   444,962    
12,300   KANEKA CORP.   387,968   294,592    
2,600   KANSAI PAINT CO. LTD.   22,872   49,577    
10,200   KAO CORP.   223,500   835,167    
30,162   KDDI CORP.   247,590   891,531    
1,400   KEIO CORP.   47,016   82,888    
2,800   KEISEI ELECTRIC RAILWAY CO. LTD.   31,995   80,855    
15,724   KEYENCE CORP.   1,873,825   5,074,378    
6,000   KIKKOMAN CORP.   52,867   255,481    
1,400   KINTETSU GROUP HOLDINGS CO. LTD.   43,933   64,901    
10,500   KIRIN HOLDINGS CO. LTD.   113,208   207,966    
10,000   KIRINDO HOLDINGS CO. LTD.   194,672   160,339    
67,600   KITZ CORP.   466,295   408,623    
35,600   KOBE BUSSAN CO. LTD.   1,420,974   1,404,686    
2,300   KONAMI HOLDINGS CORP.   50,313   70,513    
21,800   KUBOTA CORP.   139,630   278,853    
4,200   KYOCERA CORP.   144,387   249,071    
49,000   KYOSAN ELECTRIC MANUFACTURING CO. LTD.   177,172   211,311    
5,000   KYOWA KIRIN CO. LTD.   54,616   112,112    
44,100   LASERTEC CORP.   1,320,058   2,061,498    
1,000   LAWSON, INC.   47,394   55,002    
1,200   LINE CORP.(b)   58,995   57,983    
13,100   LINTEC CORP.   259,789   276,089    
5,100   M3, INC.   59,204   150,713    
2,300   MAKITA CORP.   59,690   70,523    
40,800   MARUBENI CORP.   224,957   203,413    
6,500   MARUI GROUP CO. LTD.   32,287   109,111    
14,600   MATSUMOTOKIYOSHI HOLDINGS CO. LTD.   542,531   535,096    
9,900   MEIJI HOLDINGS CO. LTD.   518,863   705,335    
9,400   MINEBEA MITSUMI, INC.   95,642   140,163    
597   MIRAI CORP.   328,940   202,571    
38,200   MITSUBISHI CHEMICAL HOLDINGS CORP.   159,738   227,281    
17,500   MITSUBISHI CORP.   230,376   371,432    
40,800   MITSUBISHI ELECTRIC CORP.   332,426   503,540    
15,000   MITSUBISHI ESTATE CO. LTD.   173,227   221,128    
9,200   MITSUBISHI GAS CHEMICAL CO., INC.   84,078   99,933    
2,800   MITSUBISHI HEAVY INDUSTRIES LTD.   84,656   70,817    
28,800   MITSUBISHI UFJ LEASE & FINANCE CO. LTD.   93,354   141,626    
14,000   MITSUI & CO. LTD.   128,045   195,022    
7,400   MITSUI CHEMICALS, INC.   87,469   140,435    
39,200   MONOTARO CO. LTD.   1,023,964   1,041,600    
8,280   MS&AD INSURANCE GROUP HOLDINGS, INC.   177,615   231,917    
37,400   MUGEN ESTATE CO. LTD.   216,786   145,212    
11,000   MURATA MANUFACTURING CO. LTD.   171,994   556,764    
20,200   NANTO BANK (THE) LTD.   470,557   416,997    
3,800   NGK SPARK PLUG CO. LTD.   38,830   53,488    
3,200   NH FOODS LTD.   80,613   111,518    
16,700   NICHIAS CORP.   297,341   312,840    
7,800   NIDEC CORP.   129,234   404,596    
50,200   NIHON M&A CENTER, INC.   1,413,914   1,372,733    
2,600   NINTENDO CO. LTD.   285,625   1,002,804    
24   NIPPON BUILDING FUND, INC.   106,735   161,253    
1,900   NIPPON EXPRESS CO. LTD.   71,280   93,041    
30   NIPPON PROLOGIS REIT, INC.   65,858   75,579    
30,800   NIPPON TELEGRAPH & TELEPHONE CORP.   352,733   730,891    
3,100   NIPPON YUSEN K.K.   39,009   36,852    
5,200   NISSAN CHEMICAL CORP.   59,853   189,385    
4,270   NISSHIN SEIFUN GROUP, INC.   41,530   71,273    
1,400   NISSIN FOODS HOLDINGS CO. LTD.   59,926   116,848    
2,700   NITORI HOLDINGS CO. LTD.   87,310   364,960    
3,400   NITTO DENKO CORP.   88,425   151,776    
52 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Japan (Cont'd):            
3,500   NITTO FUJI FLOUR MILLING CO. LTD.   $211,323   187,690    
167,400   NOMURA HOLDINGS, INC.   624,178   709,147    
33,600   NOMURA REAL ESTATE HOLDINGS, INC.   689,033   545,003    
51   NOMURA REAL ESTATE MASTER FUND, INC.   73,868   64,359    
10,301   NOMURA RESEARCH INSTITUTE LTD.   53,983   217,653    
8,400   NSK LTD.   59,809   53,882    
8,300   NTT DATA CORP.   48,334   79,830    
24,100   NTT DOCOMO, INC.   371,443   757,588    
13,300   OBAYASHI CORP.   58,485   113,931    
33,200   OLYMPUS CORP.   211,415   479,157    
1,100   OMRON CORP.   31,828   57,226    
5,000   ONO PHARMACEUTICAL CO. LTD.   43,040   115,093    
4,900   ORIENTAL LAND CO. LTD.   125,270   627,072    
10,700   ORIX CORP.   118,187   128,671    
6,100   OTSUKA HOLDINGS CO. LTD.   177,230   238,812    
24,900   PANASONIC CORP.   163,053   190,080    
20,600   RAKSUL, INC.(b)   693,328   447,059    
61,900   RAKUS CO. LTD.   907,501   913,521    
9,600   RAKUTEN, INC.   50,776   72,833    
2,400   RECRUIT HOLDINGS CO. LTD.   31,274   61,972    
184,100   RESONA HOLDINGS, INC.   558,258   553,972    
1,400   RINNAI CORP.   66,808   99,239    
4,400   ROHM CO. LTD.   177,627   240,956    
34,600   SANKI ENGINEERING CO. LTD.   423,298   388,409    
13,700   SANTEN PHARMACEUTICAL CO. LTD.   96,738   235,969    
14,220   SBI HOLDINGS, INC.   122,160   207,449    
3,500   SECOM CO. LTD.   142,392   290,998    
7,900   SEGA SAMMY HOLDINGS, INC.   77,338   96,190    
49,400   SEIKITOKYU KOGYO CO. LTD.   333,527   373,441    
13,600   SEKISUI CHEMICAL CO. LTD.   75,858   180,376    
6,600   SEKISUI HOUSE LTD.   53,502   109,074    
55,500   SEVEN & I HOLDINGS CO. LTD.   1,818,469   1,832,741    
7,300   SHARP CORP.   70,607   76,487    
4,400   SHIMADZU CORP.   35,702   115,821    
1,100   SHIMAMURA CO. LTD.   68,208   66,438    
1,500   SHIMANO, INC.   58,204   214,838    
9,200   SHIN-ETSU CHEMICAL CO. LTD.   461,684   911,802    
2,800   SHINSEI BANK LTD.   33,686   37,373    
4,000   SHIONOGI & CO. LTD.   67,679   196,824    
6,000   SHISEIDO CO. LTD.   94,950   354,431    
28,700   SHOWA CORP.   405,945   601,251    
20,200   SK-ELECTRONICS CO. LTD.   355,639   176,083    
1,100   SMC CORP.   183,450   469,559    
7,000   SOFTBANK CORP.   83,164   89,103    
37,200   SOFTBANK GROUP CORP.   425,837   1,302,633    
5,700   SOMPO HOLDINGS, INC.   114,918   176,315    
46,400   SONY CORP.   1,763,595   2,758,165    
3,300   STANLEY ELECTRIC CO. LTD.   41,403   65,024    
4,600   STARZEN CO. LTD.   186,228   189,577    
6,100   SUBARU CORP.   35,134   117,118    
7,800   SUMITOMO CORP.   67,035   89,441    
4,000   SUMITOMO DAINIPPON PHARMA CO. LTD.   45,511   51,901    
9,700   SUMITOMO ELECTRIC INDUSTRIES LTD.   85,546   102,032    
17,600   SUMITOMO HEAVY INDUSTRIES LTD.   504,849   317,438    
1,431   SUMITOMO MITSUI TRUST HOLDINGS, INC.   37,029   41,340    
9,600   SUZUKI MOTOR CORP.   212,708   229,708    
2,600   SYSMEX CORP.   51,707   187,985    
13,700   T RAD CO. LTD.   264,171   157,650    
36,400   T&D HOLDINGS, INC.   381,317   297,185    
3,700   TAISEI CORP.   65,354   113,110    
109,800   TAKARA LEBEN CO. LTD.   430,207   354,396    
23,097   TAKEDA PHARMACEUTICAL CO. LTD.   787,062   706,828    
74,100   TATSUTA ELECTRIC WIRE AND CABLE CO. LTD.   327,189   315,399    
1,100   TDK CORP.   52,815   85,119    
5,800   TEIJIN LTD.   67,529   98,262    
11,900   TERUMO CORP.   125,995   409,235    
2,000   THK CO. LTD.   29,290   40,834    
53 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Japan (Cont'd):            
1,800   TOHO CO. LTD.   $35,914   55,033    
3,600   TOHO GAS CO. LTD.   88,559   164,387    
8,300   TOHOKU ELECTRIC POWER CO., INC.   66,731   80,131    
14,400   TOKIO MARINE HOLDINGS, INC.   359,676   660,420    
30,600   TOKYO ELECTRIC POWER CO. HOLDINGS, INC.(b)   114,476   106,925    
3,300   TOKYO ELECTRON LTD.   135,391   620,530    
6,500   TOKYO GAS CO. LTD.   114,327   153,998    
7,100   TOKYO SEIMITSU CO. LTD.   212,364   201,920    
13,100   TOKYU CORP.   113,351   206,358    
22,600   TOKYU FUDOSAN HOLDINGS CORP.   81,378   108,173    
9,500   TORAY INDUSTRIES, INC.   37,219   41,194    
3,300   TOTO LTD.   41,050   109,847    
75,200   TOYO CONSTRUCTION CO. LTD.   312,593   305,057    
3,000   TOYO SUISAN KAISHA LTD.   74,690   145,247    
4,200   TOYOTA INDUSTRIES CORP.   112,791   201,537    
46,662   TOYOTA MOTOR CORP.   1,594,403   2,809,135    
2,100   TOYOTA TSUSHO CORP.   24,930   49,441    
1,100   TREND MICRO, INC.   35,989   54,333    
19,200   UBE INDUSTRIES LTD.   387,205   294,232    
8,000   UNICHARM CORP.   75,859   300,379    
67   UNITED URBAN INVESTMENT CORP.   96,045   66,479    
5,500   USS CO. LTD.   64,763   75,758    
1,500   WELCIA HOLDINGS CO. LTD.   54,205   105,608    
4,300   WEST JAPAN RAILWAY CO.   147,370   294,478    
2,500   YAKULT HONSHA CO. LTD.   74,984   148,052    
20,700   YAMADA DENKI CO. LTD.   77,049   82,654    
46,400   YAMAGUCHI FINANCIAL GROUP, INC.   326,523   262,783    
5,400   YAMAHA MOTOR CO. LTD.   59,297   65,228    
4,500   YAMAZAKI BAKING CO. LTD.   53,763   94,223    
5,000   YASKAWA ELECTRIC CORP.   48,019   137,401    
10,100   YUASA TRADING CO. LTD.   293,394   267,276    
28,500   Z HOLDINGS CORP.   75,341   91,673    
        59,159,029   80,713,443   14.76%
Jersey:            
116,287   SANNE GROUP PLC   812,583   897,753    
217,400   XLMEDIA PLC   170,743   41,962    
        983,326   939,715   0.17%
Macau:            
172,800   SANDS CHINA LTD.   551,191   628,882    
        551,191   628,882   0.11%
Malaysia:            
274,300   RHB BANK BHD.   377,864   295,237    
        377,864   295,237   0.05%
Mexico:            
201,200   BANCO DEL BAJIO S.A.(e)   360,811   173,699    
64,700   QUALITAS CONTROLADORA S.A.B. DE C.V.   232,833   166,179    
270,000   REGIONAL S.A.B. DE C.V.   1,129,181   711,236    
1,053,734   WAL-MART DE MEXICO S.A.B. DE C.V.   2,681,393   2,476,369    
        4,404,218   3,527,483   0.64%
Netherlands:            
60,054   ABN AMRO BANK N.V. - C.V.A.(e)   566,761   492,963    
13,958   AEGON N.V.   36,098   35,407    
3,963   AKZO NOBEL N.V.   194,171   261,266    
154,274   ALTICE EUROPE N.V.(b)   611,279   596,359    
7,205   ASML HOLDING N.V.   116,865   1,914,805    
14,743   ASML HOLDING N.V. (REGISTERED)   2,939,685   3,857,359    
3,763   EXOR N.V.   99,990   193,831    
22,294   FORFARMERS N.V.   142,814   138,490    
2,765   HEINEKEN HOLDING N.V.   148,540   212,208    
3,662   HEINEKEN N.V.   128,663   306,502    
14,208   IMCD N.V.   1,081,212   1,010,440    
600,732   ING GROEP N.V.   5,817,329   3,146,672    
19,595   INTERTRUST N.V.(e)   321,331   245,301    
19,620   JUST EAT TAKEAWAY.COM N.V.(b)(e)   1,617,085   1,479,060    
17,656   KONINKLIJKE AHOLD DELHAIZE N.V.   203,381   413,209    
54 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Netherlands (Cont'd):            
3,368   KONINKLIJKE DSM N.V.   $132,647   382,720    
117,294   KONINKLIJKE KPN N.V.   252,901   280,559    
20,095   KONINKLIJKE PHILIPS N.V.   343,642   813,340    
29,636   NXP SEMICONDUCTORS N.V.   2,603,622   2,457,713    
8,117   QIAGEN N.V.(b)   119,394   329,407    
3,238   RANDSTAD N.V.   99,928   114,404    
53,444   ROYAL DUTCH SHELL PLC, CLASS A   1,152,323   935,259    
79,900   ROYAL DUTCH SHELL PLC, CLASS B   1,756,032   1,339,676    
12,197   SIGNIFY N.V.(b)(e)   353,260   236,922    
6,329   WOLTERS KLUWER N.V.   110,613   449,991    
        20,949,566   21,643,863   3.96%
New Zealand:            
18,572   AUCKLAND INTERNATIONAL AIRPORT LTD.   59,924   54,734    
31,147   HALLENSTEIN GLASSON HOLDINGS LTD.   115,879   49,887    
        175,803   104,621   0.02%
Norway:            
21,245   BAKKAFROST P/F   1,516,425   1,009,729    
9,200   DNB ASA   37,422   103,180    
74,772   KITRON ASA   79,048   61,626    
10,286   ORKLA ASA   69,398   88,022    
57,040   STOREBRAND ASA   364,066   228,742    
9,490   TGS NOPEC GEOPHYSICAL CO. ASA   257,799   106,493    
2,780   YARA INTERNATIONAL ASA   67,549   87,957    
        2,391,707   1,685,749   0.31%
Philippines:            
573,800   FIRST GEN CORP.   286,157   185,192    
9,000   GLOBE TELECOM, INC.   319,161   342,131    
        605,318   527,323   0.10%
Portugal:            
85,477   ALTRI SGPS S.A.   583,770   339,875    
20,567   EDP - ENERGIAS DE PORTUGAL S.A.   48,529   82,643    
4,422   GALP ENERGIA SGPS S.A.   68,836   50,487    
10,043   JERONIMO MARTINS SGPS S.A.   116,594   181,653    
        817,729   654,658   0.12%
Russia:            
11,528   EVRAZ PLC   58,858   32,898    
42,330   HEADHUNTER GROUP PLC ADR(f)   869,588   676,010    
257,400   RUSHYDRO PJSC ADR(c)(f)   218,665   185,521    
        1,147,111   894,429   0.16%
Singapore:            
302,700   AEM HOLDINGS LTD.   265,969   353,000    
529,900   ASCOTT RESIDENCE TRUST   504,028   291,890    
128,700   CAPITALAND LTD.   257,399   256,915    
41,800   CAPITALAND MALL TRUST   43,789   52,681    
7,200   CITY DEVELOPMENTS LTD.   27,082   36,499    
29,000   DBS GROUP HOLDINGS LTD.   169,797   379,180    
374,800   FRENCKEN GROUP LTD.   253,379   150,106    
23,500   KEPPEL CORP. LTD.   63,825   87,512    
7,840   KEPPEL REIT   3,183   5,245    
8,000   OVERSEA-CHINESE BANKING CORP. LTD.   47,249   48,665    
13,000   SINGAPORE EXCHANGE LTD.   40,226   83,706    
116,400   SINGAPORE TELECOMMUNICATIONS LTD.   194,101   208,146    
5,300   UNITED OVERSEAS BANK LTD.   36,806   72,581    
23,900   UOL GROUP LTD.   89,591   110,039    
42,700   WILMAR INTERNATIONAL LTD.   88,324   96,582    
        2,084,748   2,232,747   0.41%
South Africa:            
33,591   AFRICAN RAINBOW MINERALS LTD.   339,096   188,344    
26,593   BARLOWORLD LTD.   218,512   95,912    
79,610   INVESTEC PLC   490,976   149,623    
117,469   METAIR INVESTMENTS LTD.   184,301   91,854    
55 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
South Africa (Cont'd):            
83,378   TELKOM S.A. SOC LTD.   $425,342   95,419    
        1,658,227   621,152   0.11%
South Korea:            
3,487   DAELIM INDUSTRIAL CO. LTD.   294,468   208,950    
17,418   DAEWON PHARMACEUTICAL CO. LTD.   218,165   202,343    
20,489   DB HITEK CO. LTD.   270,468   359,559    
15,574   DOUZONE BIZON CO. LTD.   852,089   1,024,866    
5,830   GS HOLDINGS CORP.   245,188   174,942    
2,154   HYUNDAI GLOVIS CO. LTD.   274,512   158,801    
46,124   HYUNDAI GREENFOOD CO. LTD.   465,431   246,896    
13,688   KC TECH CO. LTD.   209,922   183,153    
30,770   LG UPLUS CORP.   348,896   271,260    
10,183   LOTTE FINE CHEMICAL CO. LTD.   404,389   257,144    
4,775   MAEIL DAIRIES CO. LTD.   380,764   267,187    
28,475   NAVER CORP.   3,584,789   3,917,117    
148,811   SAMSUNG ELECTRONICS CO. LTD.   4,614,835   5,783,407    
14,251   SAMSUNG SECURITIES CO. LTD.   434,059   338,555    
21,239   UNITEST, INC.   237,890   199,163    
8,433   VIEWORKS CO. LTD.   182,467   210,745    
        13,018,332   13,804,088   2.52%
Spain:            
1,260   ACCIONA S.A.   78,312   134,535    
25   ACS ACTIVIDADES DE CONSTRUCCION Y SERVICIOS S.A.   727   489    
583   AENA S.M.E. S.A.(e)   50,200   63,624    
49,316   AMADEUS IT GROUP S.A.   3,658,172   2,338,833    
284,591   BANCO DE SABADELL S.A.   262,572   146,227    
424,628   BANCO SANTANDER S.A.   1,333,535   1,033,523    
1,007,762   BANKIA S.A.(c)   2,809,970   1,125,080    
5,084   ENAGAS S.A.   87,894   101,135    
5,249   FERROVIAL S.A.   86,954   126,044    
15,282   GRIFOLS S.A.   273,864   520,507    
55,459   IBERDROLA S.A.   276,479   547,602    
2,620   INDUSTRIA DE DISENO TEXTIL S.A.   26,761   68,020    
53,086   MEDIASET ESPANA COMUNICACION S.A.   352,561   196,960    
13,196   MIQUEL Y COSTAS & MIQUEL S.A.   241,236   167,101    
16,974   NATURGY ENERGY GROUP S.A.(c)   274,071   300,486    
33,279   RED ELECTRICA CORP. S.A.   472,607   599,248    
        10,285,915   7,469,414   1.37%
Sweden:            
22,200   ASSA ABLOY AB, CLASS B   89,466   419,691    
103,153   ATLAS COPCO AB, CLASS A   2,864,139   3,466,749    
4,297   ATLAS COPCO AB, CLASS B   32,617   126,711    
154,830   AVANZA BANK HOLDING AB   1,337,232   1,292,005    
47,216   BEIJER REF AB   1,132,925   850,326    
75,639   BIOTAGE AB   837,243   760,527    
18,403   BOLIDEN AB   471,820   335,501    
29,631   CELLAVISION AB   978,881   731,904    
7,501   ELECTROLUX AB, CLASS B   79,015   93,408    
7,501   ELECTROLUX PROFESSIONAL AB, CLASS B(b)   16,773   21,610    
10,554   EPIROC AB, CLASS A   27,811   104,626    
4,228   EPIROC AB, CLASS B   10,062   41,930    
8,915   ESSITY AB, CLASS B   71,883   274,915    
15,209   HENNES & MAURITZ AB, CLASS B   232,613   195,694    
3,872   HEXAGON AB, CLASS B   66,930   165,155    
41,907   HUMANA AB   223,180   164,677    
19,832   HUSQVARNA AB, CLASS B   75,097   99,711    
8,821   INDUSTRIVARDEN AB, CLASS C   96,124   172,198    
33,924   INDUTRADE AB   1,025,117   922,347    
11,210   INVESTOR AB, CLASS B   160,645   515,597    
56,909   INWIDO AB   320,042   327,850    
3,000   KINNEVIK AB, CLASS B   51,225   49,855    
7,801   KNOW IT AB   144,665   106,999    
30,690   LUNDIN PETROLEUM AB   503,538   587,681    
77,305   MEDICOVER AB, CLASS B(b)   670,793   662,645    
77,913   NOBIA AB   452,973   277,493    
46,408   NOBINA AB(e)   300,038   252,683    
56 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Sweden (Cont'd):            
65,911   RESURS HOLDING AB(e)   $404,333   226,507    
18,295   SANDVIK AB   146,769   259,813    
15,975   SECTRA AB, CLASS B(b)   518,996   605,422    
13,348   SECURITAS AB, CLASS B   106,689   144,471    
35,236   SKANDINAVISKA ENSKILDA BANKEN AB, CLASS A(b)   139,725   238,353    
3,212   SKANSKA AB, CLASS B(b)   33,704   48,955    
8,600   SVENSKA CELLULOSA AB S.C.A., CLASS B(b)   15,915   86,940    
27,723   SVENSKA HANDELSBANKEN AB, CLASS A(b)   171,321   232,159    
50,278   SWEDBANK AB, CLASS A   589,549   561,441    
60,732   TELEFONAKTIEBOLAGET LM ERICSSON, CLASS B   314,960   495,657    
35,506   TETHYS OIL AB   259,465   170,632    
70,205   VITEC SOFTWARE GROUP AB, CLASS B   1,210,148   1,264,242    
25,829   VOLVO AB, CLASS B   172,562   310,586    
        16,356,983   17,665,666   3.23%
Switzerland:            
342,392   ABB LTD. (REGISTERED)(c)   6,730,131   6,020,125    
2,903   ADECCO GROUP A.G. (REGISTERED)   90,512   114,540    
80,419   ALCON, INC.(b)   4,368,499   4,103,945    
484   BALOISE HOLDING A.G. (REGISTERED)   26,452   63,529    
1,098   BUCHER INDUSTRIES A.G. (REGISTERED)   236,188   291,647    
35   CHOCOLADEFABRIKEN LINDT & SPRUENGLI A.G. (PARTICIPATION CERTIFICATE)   50,308   295,699    
3   CHOCOLADEFABRIKEN LINDT & SPRUENGLI A.G. (REGISTERED)   75,352   262,447    
28,752   CHUBB LTD.   2,743,388   3,211,311    
69,363   CIE FINANCIERE RICHEMONT S.A. (REGISTERED)   4,792,799   3,801,412    
4,900   DKSH HOLDING A.G.   291,993   243,661    
3,300   DUFRY A.G. (REGISTERED)(b)   287,546   102,295    
5,722   GEBERIT A.G. (REGISTERED)   1,904,795   2,524,182    
143   GIVAUDAN S.A. (REGISTERED)   85,811   443,361    
1,807   IDORSIA LTD.(b)   18,603   47,027    
18,285   JULIUS BAER GROUP LTD.(b)   565,062   624,268    
74,673   LAFARGEHOLCIM LTD. (REGISTERED)(b)   3,694,675   2,729,803    
8,089   LANDIS+GYR GROUP A.G.(b)   568,369   557,534    
921   LONZA GROUP A.G. (REGISTERED)(b)   60,743   383,183    
97,494   NESTLE S.A. (REGISTERED)   4,521,359   10,048,533    
70,311   NOVARTIS A.G. (REGISTERED)   3,816,442   5,810,855    
18,713   PARGESA HOLDING S.A. (BEARER)   1,319,388   1,242,209    
52   PARTNERS GROUP HOLDING A.G.   37,486   35,967    
12,434   ROCHE HOLDING A.G.   1,624,059   4,042,468    
1,423   SCHINDLER HOLDING A.G. (PARTICIPATION CERTIFICATE)   118,492   312,781    
636   SCHINDLER HOLDING A.G. (REGISTERED)   78,480   134,550    
125   SGS S.A. (REGISTERED)   140,156   289,955    
26,267   SIKA A.G. (REGISTERED)   3,223,112   4,346,044    
1,300   SONOVA HOLDING A.G. (REGISTERED)   84,464   234,697    
32,211   STMICROELECTRONICS N.V.   517,002   701,030    
635   SULZER A.G. (REGISTERED)   30,609   40,148    
743   SWISS LIFE HOLDING A.G. (REGISTERED)   101,194   252,969    
858   SWISS PRIME SITE A.G. (REGISTERED)   75,149   84,223    
214   SWISSCOM A.G. (REGISTERED)   59,601   115,369    
3,929   TECAN GROUP A.G. (REGISTERED)   765,790   1,180,203    
445,055   UBS GROUP A.G. (REGISTERED)(b)   6,443,619   4,159,684    
9,681   VAT GROUP A.G.(b)(e)   1,322,294   1,341,230    
100   VETROPACK HOLDING A.G. (BEARER)   256,087   265,713    
31,570   WIZZ AIR HOLDINGS PLC(b)(e)   1,279,610   900,232    
4,693   ZEHNDER GROUP A.G. (REGISTERED)   178,951   179,648    
4,517   ZURICH INSURANCE GROUP A.G.   878,484   1,603,350    
        53,463,054   63,141,827   11.54%
Taiwan:            
57,000   AIRTAC INTERNATIONAL GROUP   685,745   835,689    
305,000   ASIA CEMENT CORP.   434,632   397,439    
50,000   BIOTEQUE CORP.   216,137   154,361    
125,000   CHC HEALTHCARE GROUP   178,135   135,375    
124,000   CHIPBOND TECHNOLOGY CORP.   239,179   203,009    
419,000   CHIPMOS TECHNOLOGIES, INC.   449,603   363,563    
179,000   ESON PRECISION IND CO. LTD.   236,267   153,937    
38,000   GLOBALWAFERS CO. LTD.   372,583   420,593    
57 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Taiwan (Cont'd):            
145,000   JARLLYTEC CO. LTD.   $327,630   284,530    
241,000   MIRLE AUTOMATION CORP.   311,936   242,317    
90,000   RADIANT OPTO-ELECTRONICS CORP.   361,908   231,738    
1,260,000   SINOPAC FINANCIAL HOLDINGS CO. LTD.   492,562   460,488    
95,662   TAIWAN SEMICONDUCTOR MANUFACTURING CO. LTD. ADR(f)   2,063,336   4,571,687    
82,000   TOPCO SCIENTIFIC CO. LTD.   252,353   242,234    
644,000   WISTRON CORP.   522,109   521,889    
90,000   ZHEN DING TECHNOLOGY HOLDING LTD.   335,681   271,968    
        7,479,796   9,490,817   1.74%
Thailand:            
432,100   PRUKSA HOLDING PCL (REGISTERED)   233,658   121,792    
        233,658   121,792   0.02%
Turkey:            
53,800   COCA-COLA ICECEK A.S.   315,265   281,031    
        315,265   281,031   0.05%
United Arab Emirates:            
187,397   NETWORK INTERNATIONAL HOLDINGS PLC(b)(e)   1,324,742   919,685    
        1,324,742   919,685   0.17%
United Kingdom:            
26,524   3I GROUP PLC   99,606   259,580    
19,372   ADMIRAL GROUP PLC   489,866   534,536    
38,656   AGGREKO PLC   408,897   232,870    
52,849   ANGLO AMERICAN PLC   411,011   923,498    
26,375   ASTRAZENECA PLC   983,695   2,356,028    
15,575   AUTO TRADER GROUP PLC(e)   78,207   84,645    
15,941   AVIVA PLC   45,428   52,923    
43,051   BABCOCK INTERNATIONAL GROUP PLC   300,400   204,065    
46,467   BAE SYSTEMS PLC   230,164   299,835    
113,471   BAKKAVOR GROUP PLC(e)   166,389   147,667    
5,800   BELLWAY PLC   292,883   154,712    
2,391   BERKELEY GROUP HOLDINGS PLC   71,739   106,880    
453,510   BP PLC   2,040,501   1,929,309    
34,817   BRITISH AMERICAN TOBACCO PLC   1,045,079   1,188,944    
5,069   BUNZL PLC   39,524   102,206    
8,202   BURBERRY GROUP PLC   40,549   134,186    
124,415   CNH INDUSTRIAL N.V.   1,051,535   711,855    
36,506   CNH INDUSTRIAL N.V. (NEW YORK EXCHANGE)   332,085   204,799    
342,817   COMPASS GROUP PLC   4,352,929   5,356,383    
48,485   CRANEWARE PLC   1,207,076   1,147,492    
2,451   CRODA INTERNATIONAL PLC   92,559   129,622    
43,200   DART GROUP PLC   431,313   294,565    
28,991   DECHRA PHARMACEUTICALS PLC   1,073,544   844,226    
41,868   DIAGEO PLC   517,924   1,340,977    
54,776   EASYJET PLC   636,989   394,201    
4,078   FERGUSON PLC   79,827   255,001    
58,240   FEVERTREE DRINKS PLC   1,475,371   872,627    
25,347   FIAT CHRYSLER AUTOMOBILES N.V.   171,523   182,655    
10,222   FIAT CHRYSLER AUTOMOBILES N.V. (NEW YORK EXCHANGE)   17,872   73,496    
17,745   GB GROUP PLC   121,770   128,054    
61,328   GLAXOSMITHKLINE PLC   953,826   1,150,351    
395,060   HSBC HOLDINGS PLC   2,533,787   2,224,813    
88,917   IMI PLC   1,163,353   822,442    
2,562   IMPERIAL BRANDS PLC   54,148   47,489    
187,520   INTEGRAFIN HOLDINGS PLC   1,227,170   1,012,493    
1,626   INTERCONTINENTAL HOTELS GROUP PLC   74,220   69,618    
32,745   INTERNATIONAL CONSOLIDATED AIRLINES GROUP S.A.   90,834   87,276    
255,328   J SAINSBURY PLC   671,494   664,951    
112,511   JOHN WOOD GROUP PLC   883,286   215,949    
2,532   JOHNSON MATTHEY PLC   46,137   56,269    
202,670   KINGFISHER PLC   498,371   365,058    
9,725   LAND SECURITIES GROUP PLC   61,351   67,003    
5,744,223   LLOYDS BANKING GROUP PLC   4,145,362   2,265,199    
6,030   LONDON STOCK EXCHANGE GROUP PLC   69,795   543,313    
157,221   MAN GROUP PLC   205,784   242,131    
58 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
United Kingdom (Cont'd):            
300,257   MARKS & SPENCER GROUP PLC   $724,735   368,685    
300,659   MARSTON'S PLC   477,602   155,202    
7,217   MEGGITT PLC   16,687   26,145    
40,126   MELROSE INDUSTRIES PLC   61,460   45,314    
91,046   MICRO FOCUS INTERNATIONAL PLC   384,177   450,374    
145,235   MORGAN ADVANCED MATERIALS PLC   467,561   333,255    
21,838   NATIONAL GRID PLC   132,913   255,952    
2,292   NEXT PLC   46,205   115,450    
39,805   NINETY ONE PLC(b)   72,784   85,485    
103,083   ONESAVINGS BANK PLC   483,067   319,777    
12,212   RECKITT BENCKISER GROUP PLC   510,135   937,242    
62,559   REDDE NORTHGATE PLC   266,694   107,605    
57,235   REDROW PLC   447,916   254,915    
47,054   RELX PLC   574,911   1,012,626    
171,457   RELX PLC (LONDON EXCHANGE)   2,011,204   3,675,545    
19,426   RIO TINTO LTD.   611,119   1,028,288    
34,005   RIO TINTO PLC   893,599   1,560,923    
111,924   ROLLS-ROYCE HOLDINGS PLC(b)   883,296   471,021    
586,609   ROYAL BANK OF SCOTLAND GROUP PLC   1,596,793   818,237    
77,712   ROYAL MAIL PLC   220,280   120,390    
21,874   SAGE GROUP (THE) PLC   84,121   160,205    
17,077   SEGRO PLC   76,884   161,495    
114,270   SENIOR PLC   287,158   99,259    
13,084   SEVERN TRENT PLC   276,407   369,027    
243,129   SMITH & NEPHEW PLC   5,253,279   4,314,466    
3,071   SMITHS GROUP PLC   37,103   46,492    
95,570   SOFTCAT PLC   1,202,253   1,228,250    
9,489   SPECTRIS PLC   300,454   288,295    
297,861   SPEEDY HIRE PLC   207,072   182,354    
10,183   SPIRAX-SARCO ENGINEERING PLC   1,034,348   1,028,664    
13,997   SSE PLC   244,706   225,899    
82,413   STHREE PLC   315,585   235,414    
62,229   TATE & LYLE PLC   582,881   505,387    
912,988   TESCO PLC   2,339,832   2,585,365    
97,889   TP ICAP PLC   415,366   410,552    
66,425   TYMAN PLC   194,645   127,779    
9,697   UNILEVER N.V.   242,933   477,771    
24,427   UNILEVER PLC   554,792   1,233,161    
8,137   UNITED UTILITIES GROUP PLC   56,989   90,864    
4,916   WHITBREAD PLC   158,643   184,090    
9,973   WILLIS TOWERS WATSON PLC   1,544,340   1,693,914    
26,031   WPP PLC   171,266   177,367    
        57,449,368   58,450,693   10.69%
United States:            
183,492   DIVERSIFIED GAS & OIL PLC   265,564   199,715    
19,837   ELASTIC N.V.(b)   1,752,954   1,107,103    
45,410   FAR POINT ACQUISITION CORP., CLASS A(b)   491,724   459,549    
3,424   FIDELITY NATIONAL INFORMATION SERVICES, INC.   289,873   416,495    
4,277   METTLER-TOLEDO INTERNATIONAL, INC.(b)   2,543,268   2,953,311    
3,157   NEWMONT CORP.   101,845   141,238    
32,180   RESMED, INC.   3,548,292   4,739,792    
177,606   SCHLUMBERGER LTD.   2,965,447   2,395,905    
19,579   STERIS PLC   3,199,804   2,740,473    
        15,158,771   15,153,581   2.77%
    Sub-total Common Stocks:   476,490,676   527,698,109   96.47%
Preferred Stocks:            
Brazil:            
53,893   AZUL S.A. ADR(b)(f)   1,391,689   549,170    
263,400   CIA DE SANEAMENTO DO PARANA, 1.49%(g)   350,151   243,828    
259,574   TELEFONICA BRASIL S.A. ADR, 2.57%(f)(g)   3,256,219   2,473,740    
        4,998,059   3,266,738   0.60%
Germany:            
1,734   BAYERISCHE MOTOREN WERKE A.G., 6.55%(g)   59,510   75,863    
1,333   HENKEL A.G. & CO. KGAA, 2.52%(g)   111,001   108,705    
10,197   JUNGHEINRICH A.G., 3.57%(g)   253,285   158,397    
272   SARTORIUS A.G., 0.32%(g)   45,992   66,480    
59 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Germany (Cont'd):            
2,299   STO S.E. & CO. KGAA, 0.37%(g)   $248,295   210,076    
770   VOLKSWAGEN A.G., 6.56%(g)   99,997   91,741    
        818,080   711,262   0.13%
South Korea:            
48,493   SAMSUNG ELECTRONICS CO. LTD., 3.60%(g)   1,439,460   1,582,932    
        1,439,460   1,582,932   0.29%
    Sub-total Preferred Stocks:   7,255,599   5,560,932   1.02%
Warrants:            
Ireland:            
110,509   RYANAIR HOLDINGS PLC(b)   1,086,788   1,119,942    
        1,086,788   1,119,942   0.20%
    Sub-total Warrants:   1,086,788   1,119,942   0.20%
Short-Term Investments:            
11,316,575   FIDELITY INVESTMENTS MONEY MARKET GOVERNMENT PORTFOLIO(h)   11,316,575   11,316,575    
8,575,753   NORTHERN INSTITUTIONAL FUNDS - U.S. GOVERNMENT SELECT PORTFOLIO, 0.37%(i)   8,575,753   8,575,753    
    Sub-total Short-Term Investments:   19,892,328   19,892,328   3.64%
    Grand total   $504,725,391   554,271,311   101.33%
    
Notes to Schedule of Investments:
(a) Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market where the securities are traded. Foreign security values are stated in U.S. dollars.
(b) Non-income producing assets.
(c) Security is either wholly or partially on loan.
(d) Security has been deemed worthless and is a Level 3 investment.
(e) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. The value of these securities is determined by valuations supplied by a pricing service or brokers, or, if not available, in accordance with procedures established by the Board of Trustees.
(f) Securities are American Depositary Receipts of companies based outside of the United States representing 3.80% of net assets as of March 31,2020.
(g) Current yield is disclosed. Dividends are calculated based on a percentage of the issuer’s net income.
(h) Investment relates to cash collateral received from portfolio securities loaned.
(i) The short-term investment is a money market portfolio of the investment company, Northern Institutional Funds. At December 31, 2019, the value of the Clearwater International Fund's investment in the U.S. Government Select Portfolio of the Northern Institutional Funds was $32,652,940 with net sales of $24,077,187 during the three months ended March 31,2020.
At March 31, 2020, the industry sectors for the Clearwater International Fund were:
Industry Sector   Percent of
Long-Term
Investments
Communication Services   5.67%
Consumer Discretionary   11.72
Consumer Staples   9.06
Energy   3.45
Financials   14.91
Health Care   14.43
Industrials   16.36
Information Technology   15.16
Materials   5.40
Real Estate   2.02
Utilities   1.82
    100.00%
60 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
At March 31, 2020, the Clearwater International Fund’s investments were denominated in the following currencies:
Concentration by Currency   Percent of
Long-Term
Investments
Euro   19.97%
Japanese Yen   15.10
United States Dollar   14.96
British Pound   12.14
Swiss Franc   10.92
Canadian Dollar   5.26
Other currencies   21.65
    100.00%
At March 31, 2020, the Clearwater International Fund had outstanding forward foreign currency exchange contracts as follows:
Counterparty   Contract
Settlement
Date
Contract Amount   Unrealized
Appreciation
(Depreciation)
      Deliver Receive    
Northern Trust   05/14/2020 CNY 39,614,968 USD 5,650,143   $67,341
Northern Trust   04/28/2020 JPY 19,990,453 USD 191,371   5,174
                $72,515
Northern Trust   04/28/2020 USD 195,907 JPY 20,995,389   $(350)
Northern Trust   05/14/2020 USD 514,374 CNY 3,605,887   (6,209)
Northern Trust   04/28/2020 JPY 167,660,704 USD 1,534,807   (26,833)
                $(33,392)
                $39,123
61 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Fair value is an estimate of the price the Clearwater International Fund would receive upon selling a security in a timely transaction to an independent buyer in the principal or most advantageous market for the security. This guidance establishes a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Various inputs are used in determining the value of the Clearwater International Fund's investments and other financial instruments, as described below. These inputs are summarized in the three broad levels listed below.
Level 1 – Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 – Other significant observable inputs including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc. or quoted prices for identical or similar assets in markets that are not active. Inputs that are derived principally from or corroborated by observable market data are also considered Level 2 measurements. An adjustment to any observable input that is significant to the fair value may render the measurement a Level 3 measurement.
Level 3 – Valuations based on unobservable inputs, which may include the Adviser’s own assumptions in determining the fair value of an investment.
Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market in which such securities are traded, with foreign security values stated in U.S. dollars. Equity securities which have not traded on the date of valuation or securities for which sales prices are not generally reported are valued at the mean between the last bid and asked prices. Security transactions are accounted for as of trade date. Wherever possible, the Clearwater International Fund uses independent pricing services approved by the Board of Trustees of Clearwater Investment Trust to value its investments. When prices are not readily available (including those for which trading has been suspended), are determined not to reflect fair value, or when the Adviser becomes aware that a significant event impacting the value of a security or group of securities has occurred after the closing of the exchange on which the security or securities principally trade, but before the calculation of the daily net asset value, the Clearwater International Fund may value these securities at fair value as determined in good faith using procedures established by the Board of Trustees.
62 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following is a summary of the inputs used in valuing the Clearwater International Fund’s investments and other financial instruments, if any, which are carried at fair value, as of March 31, 2020.
  Level 1   Level 2   Level 3   Total
Common Stocks              
Australia $   $20,348,942   $   $20,348,942
Austria   1,697,189     1,697,189
Belgium   3,976,357     3,976,357
Canada 42,126,781   1,306     42,128,087
China 8,018,931   7,914,684     15,933,615
Czech Republic   558,736     558,736
Denmark   13,560,931     13,560,931
Finland   2,271,533     2,271,533
France   35,691,543     35,691,543
Georgia   250,591     250,591
Germany 4,800,007   23,825,428     28,625,435
Greece   81,947     81,947
Hong Kong   13,594,638     13,594,638
India 4,017,195   6,160,353     10,177,548
Indonesia   870,016     870,016
Ireland 6,588,367   9,980,964     16,569,331
Isle Of Man   67,244     67,244
Israel 1,910,971   1,280,043     3,191,014
Italy 453,646   10,454,210     10,907,856
Japan   80,713,443     80,713,443
Jersey   939,715     939,715
Macau   628,882     628,882
Malaysia   295,237     295,237
Netherlands 6,315,072   15,328,791     21,643,863
New Zealand   104,621     104,621
Norway   1,685,749     1,685,749
Philippines   527,323     527,323
Portugal   654,658     654,658
Russia 676,010   218,419     894,429
Singapore   2,232,747     2,232,747
South Africa   621,152     621,152
South Korea   13,804,088     13,804,088
Spain   7,469,414     7,469,414
Sweden 21,610   17,644,056     17,665,666
Switzerland 3,211,311   59,930,516     63,141,827
Taiwan 4,571,687   4,919,130     9,490,817
Turkey   281,031     281,031
United Arab Emirates   919,685     919,685
United Kingdom 2,057,694   56,392,999     58,450,693
United States 14,953,867   199,714     15,153,581
All other countries 9,876,935       9,876,935
Preferred Stocks              
Brazil 3,266,738       3,266,738
Germany   711,262     711,262
South Korea   1,582,932     1,582,932
Warrants 1,119,942       1,119,942
Short-Term Investments 19,892,328       19,892,328
Total $133,879,092   $420,392,219   $   $554,271,311
63 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
For the Clearwater International Fund, the investment value is comprised of equity securities, warrants and short-term investments. See the Clearwater International Fund’s Schedule of Investments for additional information on industry sector and currency concentration information. Investments in equity securities and short-term securities generally are valued at the last sales price or the regular trading session closing price on the principal exchange or market where the securities are traded.
There were no significant Level 3 valuations for which significant unobservable inputs were used at March 31, 2020.
Other Financial Instruments Level 1   Level 2   Level 3   Total
Assets              
Forward foreign currency exchange contracts $   $72,515   $   $72,515
Liabilities              
Forward foreign currency exchange contracts   (33,392)     (33,392)
Net Other Financial Instruments $   $39,123   $   $39,123
The forward foreign currency exchange contracts outstanding at March 31, 2020 are considered Level 2 investments due to the contracts being marked-to-market daily at the applicable exchange rates that have been adjusted from the initial quoted rate. Forward foreign currency exchange contracts are shown on a gross basis in the above table.
64 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
March 31, 2020 (unaudited)
Clearwater International Fund Portfolio Diversification
(as a percentage of net assets)
65 (Continued)