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N/A 3452.00000000 NS USD 3452.00000000 0.000880298457 Long EC CORP US N 3 N N N KAISER ALUMINUM CORP N/A Kaiser Aluminum Corp. 483007AK6 700000.00000000 PA USD 749000.00000000 0.191003344308 Long DBT CORP US N 2 2025-05-01 Fixed 6.50000000 N N N N N N MASONITE INTERNATIONAL C 549300H0H07ZFT4JYM32 Masonite International Corp. 575385AB5 1400000.00000000 PA USD 1463000.00000000 0.373081298696 Long DBT CORP CA N 2 2026-09-15 Fixed 5.75000000 N N N N N N KRAFT HEINZ FOODS CO 5493003STKEZ2S0RNU91 Kraft Heinz Foods Co. 50077LAB2 1200000.00000000 PA USD 1298333.87000000 0.331089601067 Long DBT CORP US N 2 2046-06-01 Fixed 4.37500000 N N N N N N BRUIN E&P PARTNERS LLC N/A Bruce Mansfield N/A 1008000.00000000 PA USD 504.00000000 0.000128525614 Long DBT CORP US Y 3 2023-08-01 Fixed 8.87500000 Y N N N N N PERFORMANCE FOOD GROUP I 549300OMUOGBYK0FFO76 Performance Food Group, Inc. 71376LAD2 1100000.00000000 PA USD 1177000.00000000 0.300148112485 Long DBT CORP US N 2 2025-05-01 Fixed 6.87500000 N N N N N N CIT GROUP INC N8O96ZZJQRFYQUJY7K79 CIT Group, Inc. 125581HA9 1100000.00000000 PA USD 1163250.00000000 0.296641709301 Long DBT CORP US N 2 2024-06-19 Variable 3.92900000 N N N N N N WMG ACQUISITION CORP 549300NAS11NXI33CP80 WMG Acquisition Corp. 92933BAR5 700000.00000000 PA USD 686000.00000000 0.174937642450 Long DBT CORP US N 2 2031-02-15 Fixed 3.00000000 N N N N N N Crimson Wine Group Ltd N/A Crimson Wine Group Ltd. 22662X100 8.00000000 NS USD 42.80000000 0.000010914476 Long EC CORP US N 1 N N N CCC Information Services, Inc. N/A CCC Information Services, Inc. N/A -487500.00000000 PA USD -1828.13000000 -0.00046619351 Short LON CORP NL N 3 2022-04-27 Variable 0.50000000 N N N N N N LCPR SR SECURED FIN DAC 549300LE5FM8IKMXSP90 LCPR Senior Secured Financing DAC 50201DAA1 1600000.00000000 PA USD 1722000.00000000 0.439129184111 Long DBT CORP US N 2 2027-10-15 Fixed 6.75000000 N N N N N N PRIME SECSRVC BRW/FINANC N/A Prime Security Services Borrower LLC / Prime Finance, Inc. 74166MAF3 1700000.00000000 PA USD 1687250.00000000 0.430267546975 Long DBT CORP US N 2 2027-08-31 Fixed 3.37500000 N N N N N N BOYD GAMING CORP 254900787YGRYS2A1Z35 Boyd Gaming Corp. 103304BS9 2025000.00000000 PA USD 2252184.75000000 0.574332201937 Long DBT CORP US N 2 2025-06-01 Fixed 8.62500000 N N N N N N FAGE INTL / FAGE USA N/A FAGE International S.A. / FAGE USA Dairy Industry, Inc. 30257WAA4 2540000.00000000 PA USD 2603500.00000000 0.663921504549 Long DBT CORP LU N 2 2026-08-15 Fixed 5.62500000 N N N N N N TENET HEALTHCARE CORP 0W9AIBT6U6ADJ2I8HK17 Tenet Healthcare Corp. 88033GDE7 1700000.00000000 PA USD 1857250.00000000 0.473619440877 Long DBT CORP US N 2 2025-04-01 Fixed 7.50000000 N N N N N N SandRidge Energy, Inc. W1MKPVGS6I5155L7VV67 SandRidge Energy, Inc. 80007P125 205.00000000 NS USD 2.67000000 0.000000680879 N/A DE US N 2 SandRidge Energy Inc N/A Call Purchased N/A SandRidge Energy Inc 205 42.03000000 USD 2022-10-04 XXXX -12957.21000000 N N N ONEMAIN FINANCE CORP 5493008I795YYBFWFU90 OneMain Finance Corp. 85172FAN9 1050000.00000000 PA USD 1241625.00000000 0.316628207446 Long DBT CORP US N 2 2026-03-15 Fixed 7.12500000 N N N N N N 2021-02-01 Guggenheim Funds Trust John Sullivan John Sullivan CFO XXXX NPORT-EX 2 fp0059932_nportex.htm GUGGENHEIM FUNDS TRUST NQ
Alpha Opportunity Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 107.1%
Consumer, Non-cyclical - 33.8%
Molson Coors Beverage Co. — Class B1   10,298   $465,367 
Philip Morris International, Inc.1   5,367    444,334 
Amgen, Inc.1   1,892    435,009 
Merck & Company, Inc.   5,176    423,397 
General Mills, Inc.1   6,780    398,664 
Colgate-Palmolive Co.1   4,544    388,558 
Johnson & Johnson1   2,444    384,637 
Kraft Heinz Co.   10,927    378,730 
Kimberly-Clark Corp.1   2,647    356,895 
McKesson Corp.1   2,022    351,666 
Procter & Gamble Co.1   2,438    339,223 
DaVita, Inc.*   2,868    336,703 
Cardinal Health, Inc.1   5,998    321,253 
Altria Group, Inc.1   7,794    319,554 
Campbell Soup Co.   6,405    309,682 
UnitedHealth Group, Inc.   851    298,429 
J M Smucker Co.1   2,565    296,514 
United Rentals, Inc.*,1   1,241    287,800 
United Therapeutics Corp.*   1,728    262,293 
Quanta Services, Inc.   3,344    240,835 
Ingredion, Inc.   2,929    230,424 
Conagra Brands, Inc.   6,195    224,631 
Laboratory Corporation of America Holdings*   1,045    212,710 
Jazz Pharmaceuticals plc*   1,267    209,118 
Tyson Foods, Inc. — Class A   3,195    205,886 
CVS Health Corp.   2,977    203,329 
Post Holdings, Inc.*   1,982    200,202 
Pfizer, Inc.1   5,349    196,897 
Gilead Sciences, Inc.   3,179    185,208 
Rent-A-Center, Inc.   4,713    180,461 
Humana, Inc.   426    174,775 
John B Sanfilippo & Son, Inc.   2,211    174,359 
Anthem, Inc.   534    171,462 
Mondelez International, Inc. — Class A   2,829    165,411 
Eli Lilly & Co.1   953    160,904 
Sprouts Farmers Market, Inc.*   7,778    156,338 
Cigna Corp.   742    154,470 
TreeHouse Foods, Inc.*   3,556    151,094 
Constellation Brands, Inc. — Class A   628    137,563 
Encompass Health Corp.   1,593    131,725 
Bristol-Myers Squibb Co.   2,077    128,836 
Vector Group Ltd.   11,021    128,395 
Alexion Pharmaceuticals, Inc.*,1   810    126,554 
Molina Healthcare, Inc.*   590    125,481 
Innoviva, Inc.*   9,698    120,158 
Ionis Pharmaceuticals, Inc.*   1,914    108,218 
Chemed Corp.   203    108,120 
Alkermes plc*   5,325    106,234 
Hill-Rom Holdings, Inc.   1,059    103,750 
Hologic, Inc.*   1,396    101,671 
AbbVie, Inc.   924    99,007 
Medtronic plc1   837    98,046 
USANA Health Sciences, Inc.*   1,260    97,146 
Clorox Co.   481    97,124 
Kellogg Co.   1,529    95,150 
Prestige Consumer Healthcare, Inc.*   2,628    91,638 
Total Consumer, Non-cyclical        12,402,038 
Industrial - 14.9%          
Hubbell, Inc.1   2,239    351,053 
TE Connectivity Ltd.   2,592    313,813 
AGCO Corp.1   2,987    307,930 
Snap-on, Inc.1   1,753    300,009 
Vishay Intertechnology, Inc.   13,701    283,748 
Masco Corp.1   4,457    244,823 
Oshkosh Corp.   2,489    214,228 
Timken Co.   2,722    210,574 
Arrow Electronics, Inc.*   2,154    209,584 
Caterpillar, Inc.1   1,122    204,226 
Waters Corp.*,1   787    194,720 
3M Co.   1,112    194,366 
General Dynamics Corp.   1,296    192,871 
Lincoln Electric Holdings, Inc.1   1,583    184,024 
Garmin Ltd.   1,537    183,917 
Lockheed Martin Corp.   494    175,360 
Regal Beloit Corp.   1,351    165,916 
Keysight Technologies, Inc.*   1,253    165,509 
Terex Corp.   4,059    141,619 
Owens Corning   1,848    140,004 
Acuity Brands, Inc.   1,067    129,203 
Energizer Holdings, Inc.   2,973    125,401 
Eaton Corporation plc   1,040    124,946 
National Instruments Corp.   2,577    113,233 
Pentair plc   2,065    109,631 
PerkinElmer, Inc.   752    107,912 
Dover Corp.   778    98,222 
A O Smith Corp.   1,776    97,360 
Trane Technologies plc   643    93,338 
Lennox International, Inc.   313    85,753 
Total Industrial        5,463,293 
Technology - 13.5%          
International Business Machines Corp.1   3,892    489,925 
Cerner Corp.1   5,572    437,291 
SS&C Technologies Holdings, Inc.1   5,971    434,390 
Seagate Technology plc   6,311    392,292 
NetApp, Inc.   5,118    339,016 
Texas Instruments, Inc.   2,023    332,035 
Intel Corp.1   6,628    330,207 
Oracle Corp.1   4,571    295,698 
HP, Inc.   10,602    260,703 
CDK Global, Inc.   4,572    236,967 
KLA Corp.   863    223,439 
Apple, Inc.   1,471    195,187 
Skyworks Solutions, Inc.   1,101    168,321 
Dell Technologies, Inc. — Class C*   2,194    160,798 
Cirrus Logic, Inc.*   1,870    153,714 
Applied Materials, Inc.   1,638    141,360 
Paychex, Inc.   1,372    127,843 
Kulicke & Soffa Industries, Inc.   3,898    123,995 
Microchip Technology, Inc.   855    118,084 
Total Technology        4,961,265 
Utilities - 12.1%          
IDACORP, Inc.   4,162    399,677 

 

 

 

Alpha Opportunity Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 107.1% (continued)
Utilities - 12.1% (continued)
Evergy, Inc.   6,924   $384,351 
Public Service Enterprise Group, Inc.1   6,473    377,376 
Ameren Corp.   4,522    352,987 
Exelon Corp.1   8,094    341,729 
PPL Corp.1   11,828    333,550 
Duke Energy Corp.   3,407    311,945 
Southern Co.   3,984    244,737 
OGE Energy Corp.1   6,868    218,814 
UGI Corp.   5,912    206,684 
NiSource, Inc.   7,862    180,354 
Consolidated Edison, Inc.   2,469    178,435 
ONE Gas, Inc.   2,221    170,506 
Southwest Gas Holdings, Inc.   2,571    156,188 
CenterPoint Energy, Inc.   7,099    153,622 
National Fuel Gas Co.   3,216    132,274 
NorthWestern Corp.   1,914    111,605 
Avista Corp.   2,601    104,404 
Portland General Electric Co.1   2,215    94,736 
Total Utilities        4,453,974 
Consumer, Cyclical - 11.7%          
Gentex Corp.1   13,457    456,596 
Best Buy Company, Inc.   3,798    379,003 
Gentherm, Inc.*   5,621    366,602 
Allison Transmission Holdings, Inc.1   7,380    318,299 
Genuine Parts Co.   3,051    306,412 
Autoliv, Inc.1   3,115    286,892 
Lowe's Companies, Inc.   1,625    260,829 
PACCAR, Inc.   2,614    225,536 
AutoZone, Inc.*   187    221,677 
Lear Corp.   1,310    208,329 
AutoNation, Inc.*   2,546    177,685 
PulteGroup, Inc.   3,840    165,581 
Brunswick Corp.1   2,147    163,687 
Lennar Corp. — Class A   2,140    163,132 
Cummins, Inc.   707    160,560 
Meritage Homes Corp.*   1,455    120,503 
MSC Industrial Direct Company, Inc. — Class A   1,418    119,665 
Dolby Laboratories, Inc. — Class A   1,062    103,152 
Hanesbrands, Inc.   6,829    99,567 
Total Consumer, Cyclical        4,303,707 
Communications - 11.1%          
Cisco Systems, Inc.1   11,375    509,031 
Verizon Communications, Inc.1   7,942    466,592 
Viavi Solutions, Inc.*   26,202    392,375 
T-Mobile US, Inc.*   2,752    371,107 
Juniper Networks, Inc.1   14,236    320,452 
Sirius XM Holdings, Inc.   48,019    305,881 
Cogent Communications Holdings, Inc.   4,218    252,532 
AT&T, Inc.1   8,635    248,343 
Omnicom Group, Inc.1   3,717    231,829 
Motorola Solutions, Inc.   1,192    202,712 
VeriSign, Inc.*   893    193,245 
Ciena Corp.*   3,285    173,612 
eBay, Inc.   3,401    170,900 
Discovery, Inc. — Class A*   4,563    137,301 
Alphabet, Inc. — Class C*   54    94,602 
Total Communications        4,070,514 
Financial - 10.0%          
Allstate Corp.1   4,613    507,107 
MetLife, Inc.1   9,976    468,373 
Highwoods Properties, Inc. REIT   8,160    323,381 
Berkshire Hathaway, Inc. — Class B*   1,371    317,894 
Equity Residential REIT   4,583    271,680 
Travelers Companies, Inc.   1,860    261,088 
Piedmont Office Realty Trust, Inc. — Class A REIT   13,833    224,510 
Western Union Co.   9,938    218,040 
Hartford Financial Services Group, Inc.   3,731    182,744 
Ameriprise Financial, Inc.   878    170,622 
Aflac, Inc.   3,731    165,918 
Synchrony Financial   4,321    149,982 
SEI Investments Co.   2,133    122,583 
Bank of America Corp.1   3,373    102,236 
JPMorgan Chase & Co.   789    100,258 
M&T Bank Corp.   781    99,421 
Total Financial        3,685,837 
Total Common Stocks          
(Cost $35,689,651)        39,340,628 
           
MONEY MARKET FUND - 2.7%          
Goldman Sachs Financial Square Treasury Instruments Fund — Institutional Shares, 0.01%2   981,698    981,698 
Total Money Market Fund          
(Cost $981,698)        981,698 
Total Investments - 109.8%          
(Cost $36,671,349)       $40,322,326 
Other Assets & Liabilities, net - (9.8)%        (3,591,224)
Total Net Assets - 100.0%       $36,731,102 

 

 

 

Alpha Opportunity Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Custom Basket Swap Agreements           
Counterparty  Reference
Obligation
  Financing
Rate Pay
(Receive)
  Payment
Frequency
  Maturity
Date
  Notional
Amount
   Value and
Unrealized
Appreciation
(Depreciation)
 
OTC Custom Basket Swap Agreements ††           
Morgan Stanley Capital Services LLC  MS Equity Custom Basket  0.49% (Federal Funds Rate + 0.40%)  At Maturity  02/01/24  $3,005,228   $375,688 
Goldman Sachs International  GS Equity Custom Basket  0.54% (Federal Funds Rate + 0.45%)  At Maturity  05/06/24   3,005,235    371,415 
               $6,010,463   $747,103 
OTC Custom Basket Swap Agreements Sold Short ††             
Goldman Sachs International  GS Equity Custom Basket  (0.11)% (Federal Funds Rate - 0.20%)  At Maturity  05/06/24  $14,402,838   $(2,069,596)
Morgan Stanley Capital Services LLC  MS Equity Custom Basket  (0.21)% (Federal Funds Rate - 0.30%)  At Maturity  02/01/24   14,402,838    (2,094,339)
               $28,805,676   $(4,163,935)

 

MS EQUITY LONG CUSTOM BASKET    
   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
Industrial          
TE Connectivity Ltd.  197  0.77%  $7,784 
AGCO Corp.  227  0.76%   7,216 
Snap-on, Inc.  133  0.76%   7,199 
Timken Co.  207  0.53%   5,988 
Vishay Intertechnology, Inc.  1,044  0.72%   5,736 
Caterpillar, Inc.  85  0.51%   5,709 
Regal Beloit Corp.  103  0.42%   5,489 
Owens Corning  140  0.35%   5,007 
Garmin Ltd.  117  0.47%   4,356 
Lincoln Electric Holdings, Inc.  120  0.46%   4,049 
Hubbell, Inc.  170  0.89%   3,777 
Terex Corp.  309  0.36%   3,621 
Waters Corp.  60  0.49%   3,012 
Arrow Electronics, Inc.  164  0.53%   2,791 
Oshkosh Corp.  189  0.54%   2,540 
Eaton Corporation plc  79  0.32%   1,981 
Acuity Brands, Inc.  81  0.33%   1,738 
National Instruments Corp.  196  0.29%   1,474 
Keysight Technologies, Inc.  95  0.42%   1,307 
Trane Technologies plc  49  0.24%   1,187 
Pentair plc  157  0.28%   1,144 
Dover Corp.  59  0.25%   1,043 
PerkinElmer, Inc.  57  0.27%   933 
A O Smith Corp.  135  0.25%   837 
Energizer Holdings, Inc.  226  0.32%   594 
Lennox International, Inc.  23  0.21%   176 
3M Co.  84  0.49%   (112)
Masco Corp.  339  0.62%   (302)
General Dynamics Corp.  98  0.49%   (406)
Lockheed Martin Corp.  37  0.44%   (1,082)
Total Industrial         84,786 
Utilities           
Southern Co.  303  0.62%   2,258 
Public Service Enterprise Group, Inc.  493  0.96%   2,052 
Exelon Corp.  617  0.87%   1,993 
CenterPoint Energy, Inc.  541  0.39%   1,555 
NorthWestern Corp.  145  0.28%   1,397 
IDACORP, Inc.  317  1.01%   1,338 
UGI Corp.  450  0.52%   1,205 
OGE Energy Corp.  523  0.55%   669 
Evergy, Inc.  527  0.97%   484 
Ameren Corp.  344  0.89%   328 
Avista Corp.  198  0.26%   54 
ONE Gas, Inc.  169  0.43%   (172)
PPL Corp.  901  0.85%   (230)
Portland General Electric Co.  168  0.24%   (463)
NiSource, Inc.  599  0.46%   (565)
Consolidated Edison, Inc.  188  0.45%   (839)
National Fuel Gas Co.  245  0.34%   (924)
Duke Energy Corp.  259  0.79%   (1,142)
Southwest Gas Holdings, Inc.  196  0.40%   (2,479)
Total Utilities         6,519 
Technology           
NetApp, Inc.  390  0.86%   9,465 
Texas Instruments, Inc.  154  0.84%   7,025 
CDK Global, Inc.  348  0.60%   5,639 
HP, Inc.  808  0.66%   5,514 
Seagate Technology plc  481  0.99%   5,508 
SS&C Technologies Holdings, Inc.  455  1.10%   5,469 
KLA Corp.  65  0.56%   4,830 
Applied Materials, Inc.  124  0.36%   4,158 
Oracle Corp.  348  0.75%   3,909 
Cerner Corp.  424  1.11%   3,889 
Cirrus Logic, Inc.  142  0.39%   2,675 
Microchip Technology, Inc.  65  0.30%   2,509 
Kulicke & Soffa Industries, Inc.  297  0.31%   2,280 
Apple, Inc.  112  0.49%   1,980 
Skyworks Solutions, Inc.  84  0.43%   1,152 
International Business Machines Corp.  296  1.24%   619 
Dell Technologies, Inc. — Class C  167  0.41%   498 
Paychex, Inc.  104  0.32%   (27)
Intel Corp.  505  0.84%   (2,692)
Total Technology         64,400 
Communications           
Viavi Solutions, Inc.  1,997  1.00%   6,667 
T-Mobile US, Inc.  209  0.94%   5,131 
Cisco Systems, Inc.  867  1.29%   3,729 
Ciena Corp.  250  0.44%   3,138 
Omnicom Group, Inc.  283  0.59%   2,918 
Verizon Communications, Inc.  605  1.18%   2,788 
Alphabet, Inc. — Class C  4  0.23%   2,401 
Motorola Solutions, Inc.  90  0.51%   1,327 
Discovery, Inc. — Class A  347  0.35%   1,015 
VeriSign, Inc.  68  0.49%   1,006 
Cogent Communications Holdings, Inc.  321  0.64%   821 
Sirius XM Holdings, Inc.  3,660  0.78%   258 
Juniper Networks, Inc.  1,085  0.81%   180 
eBay, Inc.  259  0.43%   (259)
AT&T, Inc.  857  0.82%   (7,111)
Total Communications         24,009 
Consumer, Non-cyclical           
United Rentals, Inc.  95  0.73%   10,097 
McKesson Corp.  154  0.89%   8,964 
Rent-A-Center, Inc.  359  0.46%   7,321 
DaVita, Inc.  218  0.85%   7,046 
Molson Coors Beverage Co. — Class B  785  1.18%   5,769 
United Therapeutics Corp.  131  0.66%   5,558 
Quanta Services, Inc.  254  0.61%   5,021 
Johnson & Johnson  186  0.97%   4,974 
Cardinal Health, Inc.  457  0.81%   4,814 
Amgen, Inc.  144  1.10%   4,526 
Eli Lilly & Co.  72  0.40%   4,483 
Colgate-Palmolive Co.  346  0.98%   4,120 
Jazz Pharmaceuticals plc  96  0.53%   3,606 
UnitedHealth Group, Inc.  64  0.75%   3,559 
Alexion Pharmaceuticals, Inc.  61  0.32%   3,330 
Procter & Gamble Co.  185  0.86%   3,242 
Philip Morris International, Inc.  409  1.13%   2,836 

 

 

 

Alpha Opportunity Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
Kraft Heinz Co.  833  0.96%  $2,783 
Anthem, Inc.  40  0.43%   2,626 
Cigna Corp.  56  0.39%   2,513 
Medtronic plc  63  0.25%   1,693 
Molina Healthcare, Inc.  44  0.31%   1,597 
Post Holdings, Inc.  151  0.51%   1,476 
Constellation Brands, Inc. — Class A  47  0.34%   1,441 
Pfizer, Inc.  407  0.50%   1,429 
Mondelez International, Inc. — Class A  215  0.42%   1,172 
Tyson Foods, Inc. — Class A  243  0.52%   1,003 
Chemed Corp.  15  0.27%   947 
Conagra Brands, Inc.  472  0.57%   704 
Kellogg Co.  116  0.24%   696 
Altria Group, Inc.  594  0.81%   605 
Innoviva, Inc.  739  0.30%   595 
Hill-Rom Holdings, Inc.  80  0.26%   578 
Hologic, Inc.  106  0.26%   563 
J M Smucker Co.  281  1.08%   555 
Alkermes plc  406  0.27%   523 
Ionis Pharmaceuticals, Inc.  145  0.27%   394 
Merck & Company, Inc.  394  1.07%   360 
Laboratory Corporation of America Holdings  79  0.54%   338 
USANA Health Sciences, Inc.  96  0.25%   228 
AbbVie, Inc.  70  0.25%   211 
Bristol-Myers Squibb Co.  158  0.33%   140 
Encompass Health Corp.  121  0.33%   96 
Clorox Co.  36  0.24%   62 
Campbell Soup Co.  488  0.79%   48 
Prestige Consumer Healthcare, Inc.  200  0.23%   (28)
CVS Health Corp.  227  0.52%   (44)
Vector Group Ltd.  840  0.33%   (52)
TreeHouse Foods, Inc.  271  0.38%   (106)
Humana, Inc.  32  0.44%   (123)
Sprouts Farmers Market, Inc.  592  0.40%   (554)
General Mills, Inc.  516  1.01%   (574)
John B Sanfilippo & Son, Inc.  168  0.44%   (796)
Kimberly-Clark Corp.  201  0.90%   (848)
Ingredion, Inc.  223  0.58%   (1,458)
Gilead Sciences, Inc.  242  0.47%   (3,094)
Total Consumer, Non-cyclical         106,965 
Consumer, Cyclical           
Gentherm, Inc.  428  0.93%   12,932 
Autoliv, Inc.  237  0.73%   8,570 
Gentex Corp.  1,025  1.16%   8,088 
Lear Corp.  99  0.52%   7,094 
Cummins, Inc.  53  0.40%   4,159 
Brunswick Corp.  163  0.41%   3,104 
Hanesbrands, Inc.  520  0.25%   2,775 
Dolby Laboratories, Inc. — Class A  80  0.26%   2,499 
Allison Transmission Holdings, Inc.  562  0.81%   2,443 
MSC Industrial Direct Company, Inc. — Class A  108  0.30%   2,420 
Genuine Parts Co.  232  0.78%   1,028 
AutoNation, Inc.  194  0.45%   935 
PACCAR, Inc.  199  0.57%   743 
Lowe's Companies, Inc.  123  0.66%   621 
AutoZone, Inc.  14  0.55%   546 
Lennar Corp. — Class A  163  0.41%   (157)
PulteGroup, Inc.  292  0.42%   (272)
Meritage Homes Corp.  110  0.30%   (859)
Best Buy Company, Inc.  289  0.96%   (2,534)
Total Consumer, Cyclical         54,135 
Financial           
MetLife, Inc.  761  1.19%   6,315 
Allstate Corp.  351  1.28%   4,757 
Travelers Companies, Inc.  141  0.66%   3,629 
Hartford Financial Services Group, Inc.  284  0.46%   3,442 
Synchrony Financial  329  0.38%   3,030 
Aflac, Inc.  284  0.42%   2,372 
Ameriprise Financial, Inc.  66  0.43%   2,310 
JPMorgan Chase & Co.  60  0.25%   1,872 
Western Union Co.  757  0.55%   1,584 
Equity Residential  349  0.69%   1,448 
Berkshire Hathaway, Inc. — Class B  104  0.80%   1,358 
M&T Bank Corp.  59  0.25%   1,311 
Bank of America Corp.  257  0.26%   966 
Highwoods Properties, Inc.  622  0.82%   830 
SEI Investments Co.  162  0.31%   120 
Piedmont Office Realty Trust, Inc. — Class A  1,054  0.57%   (470)
Total Financial         34,874 
Total MS Equity Long Custom Basket        $375,688 

 

MS EQUITY SHORT CUSTOM BASKET    
   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
Basic Materials           
Huntsman Corp.  5,096  (0.89)%  $4,878 
Newmont Corp.  1,133  (0.47)%   1,744 
Sherwin-Williams Co.  98  (0.50)%   205 
Ecolab, Inc.  253  (0.38)%   (9,750)
Ashland Global Holdings, Inc.  1,946  (1.07)%   (10,308)
Axalta Coating Systems Ltd.  3,360  (0.67)%   (13,824)
DuPont de Nemours, Inc.  2,805  (1.38)%   (14,068)
PPG Industries, Inc.  583  (0.58)%   (18,062)
Air Products and Chemicals, Inc.  983  (1.86)%   (25,464)
Celanese Corp. — Class A  1,089  (0.98)%   (32,433)
Freeport-McMoRan, Inc.  2,415  (0.44)%   (36,901)
Balchem Corp.  1,994  (1.60)%   (43,968)
RPM International, Inc.  2,395  (1.51)%   (47,105)
Linde plc  1,083  (1.98)%   (52,702)
Albemarle Corp.  1,076  (1.10)%   (84,403)
Quaker Chemical Corp.  734  (1.29)%   (85,289)
United States Steel Corp.  10,166  (1.18)%   (96,305)
Total Basic Materials         (563,755)

 

 

 

Alpha Opportunity Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
Financial          
UDR, Inc.  2,415  (0.64)%  $22,787 
Realty Income Corp.  3,550  (1.53)%   20,300 
Kilroy Realty Corp.  2,378  (0.95)%   19,927 
Global Net Lease, Inc.  4,453  (0.53)%   7,868 
JBG SMITH Properties  3,636  (0.79)%   7,358 
Douglas Emmett, Inc.  1,657  (0.34)%   6,851 
QTS Realty Trust, Inc. — Class A  1,226  (0.53)%   3,397 
Truist Financial Corp.  1,153  (0.38)%   804 
First Industrial Realty Trust, Inc.  2,447  (0.72)%   797 
Host Hotels & Resorts, Inc.  3,696  (0.38)%   547 
Agree Realty Corp.  3,340  (1.54)%   540 
Crown Castle International Corp.  277  (0.31)%   349 
Americold Realty Trust  2,124  (0.55)%   329 
American Tower Corp. — Class A  201  (0.31)%   (1)
Camden Property Trust  1,020  (0.71)%   (161)
Fulton Financial Corp.  4,226  (0.37)%   (2,093)
CyrusOne, Inc.  1,305  (0.66)%   (2,246)
Prologis, Inc.  1,459  (1.01)%   (2,335)
First Midwest Bancorp, Inc.  4,979  (0.55)%   (2,701)
Southside Bancshares, Inc.  2,891  (0.62)%   (3,385)
Duke Realty Corp.  2,271  (0.63)%   (3,873)
Howard Hughes Corp.  976  (0.53)%   (3,886)
Healthpeak Properties, Inc.  3,516  (0.74)%   (4,693)
TFS Financial Corp.  4,164  (0.51)%   (5,781)
STAG Industrial, Inc.  1,858  (0.40)%   (9,636)
Rayonier, Inc.  3,444  (0.70)%   (9,749)
First Financial Bankshares, Inc.  3,031  (0.76)%   (10,024)
Healthcare Trust of America, Inc. — Class A  3,892  (0.74)%   (10,480)
Alleghany Corp.  298  (1.25)%   (11,175)
SBA Communications Corp.  162  (0.32)%   (11,224)
Intercontinental Exchange, Inc.  1,024  (0.82)%   (12,171)
Loews Corp.  1,965  (0.61)%   (12,933)
Brookline Bancorp, Inc.  8,990  (0.75)%   (13,484)
Medical Properties Trust, Inc.  6,363  (0.96)%   (13,497)
EastGroup Properties, Inc.  802  (0.77)%   (16,128)
Equinix, Inc.  149  (0.74)%   (17,435)
Alexandria Real Estate Equities, Inc.  774  (0.96)%   (18,185)
Terreno Realty Corp.  1,606  (0.65)%   (26,911)
Sun Communities, Inc.  1,069  (1.13)%   (34,632)
Rexford Industrial Realty, Inc.  3,611  (1.23)%   (41,690)
First Republic Bank  1,320  (1.35)%   (54,611)
Total Financial         (263,266)
Technology           
Splunk, Inc.  533  (0.63)%   7,608 
NVIDIA Corp.  107  (0.39)%   (6,267)
salesforce.com, Inc.  347  (0.54)%   (7,212)
Appfolio, Inc. — Class A  254  (0.32)%   (8,549)
Clarivate plc  3,050  (0.63)%   (8,938)
Pegasystems, Inc.  860  (0.80)%   (10,831)
Tyler Technologies, Inc.  168  (0.51)%   (12,954)
Atlassian Corporation plc — Class A  262  (0.43)%   (14,856)
ANSYS, Inc.  355  (0.90)%   (15,761)
Rapid7, Inc.  990  (0.62)%   (17,407)
Coupa Software, Inc.  147  (0.35)%   (17,677)
Smartsheet, Inc. — Class A  724  (0.35)%   (17,972)
Workiva, Inc.  502  (0.32)%   (25,305)
Zscaler, Inc.  264  (0.37)%   (32,467)
HubSpot, Inc.  187  (0.51)%   (39,675)
Varonis Systems, Inc.  908  (1.03)%   (43,577)
Total Technology         (271,840)
Consumer, Non-cyclical           
Nevro Corp.  812  (0.98)%   (2,070)
Moody's Corp.  409  (0.82)%   (7,526)
Verisk Analytics, Inc. — Class A  504  (0.73)%   (9,252)
CoStar Group, Inc.  135  (0.87)%   (12,219)
WD-40 Co.  288  (0.53)%   (12,240)
Equifax, Inc.  799  (1.07)%   (22,563)
Avalara, Inc.  279  (0.32)%   (24,613)
Avery Dennison Corp.  557  (0.60)%   (25,849)
Total Consumer, Non-cyclical         (116,332)
Energy           
Williams Companies, Inc.  3,616  (0.50)%   1,636 
Cheniere Energy, Inc.  1,431  (0.60)%   (1,733)
Ovintiv, Inc.  6,873  (0.69)%   (6,742)
NOV, Inc.  4,001  (0.38)%   (9,062)
Phillips 66  2,745  (1.33)%   (9,092)
ChampionX Corp.  6,677  (0.71)%   (9,811)
Hess Corp.  2,125  (0.78)%   (13,059)
Schlumberger N.V.  8,394  (1.27)%   (24,345)
Total Energy         (72,208)
Consumer, Cyclical           
United Airlines Holdings, Inc.  1,709  (0.51)%   1,486 
Alaska Air Group, Inc.  2,397  (0.87)%   563 
JetBlue Airways Corp.  6,350  (0.64)%   (16,030)
Five Below, Inc.  415  (0.50)%   (18,921)
Delta Air Lines, Inc.  3,500  (0.98)%   (21,837)
Live Nation Entertainment, Inc.  1,134  (0.58)%   (24,338)
Southwest Airlines Co.  3,422  (1.11)%   (25,002)
Hilton Worldwide Holdings, Inc.  1,384  (1.07)%   (27,169)
TJX Companies, Inc.  2,266  (1.07)%   (29,170)
Copart, Inc.  1,315  (1.16)%   (38,722)
Burlington Stores, Inc.  644  (1.17)%   (39,818)
NIKE, Inc. — Class B  1,437  (1.41)%   (43,714)
Scotts Miracle-Gro Co. — Class A  576  (0.80)%   (43,828)
Starbucks Corp.  2,263  (1.68)%   (67,987)
Total Consumer, Cyclical         (394,487)
Communications           
Anaplan, Inc.  548  (0.27)%   (16,532)
Okta, Inc.  244  (0.43)%   (23,187)
Zendesk, Inc.  895  (0.89)%   (34,643)
Liberty Broadband Corp. — Class C  1,743  (1.92)%   (35,959)
Q2 Holdings, Inc.  1,006  (0.88)%   (46,494)
Total Communications         (156,815)

 

 

 

Alpha Opportunity Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
Industrial          
Raytheon Technologies Corp.  1,982  (0.98)%  $6,025 
US Ecology, Inc.  1,616  (0.41)%   1,934 
Boeing Co.  169  (0.25)%   957 
AMETEK, Inc.  567  (0.48)%   (360)
TransDigm Group, Inc.  152  (0.65)%   (12,732)
HEICO Corp.  427  (0.39)%   (13,809)
Eagle Materials, Inc.  562  (0.40)%   (15,061)
Martin Marietta Materials, Inc.  205  (0.40)%   (15,777)
Ingersoll Rand, Inc.  3,683  (1.17)%   (20,084)
Crown Holdings, Inc.  883  (0.61)%   (24,597)
Casella Waste Systems, Inc. — Class A  1,904  (0.82)%   (26,453)
AptarGroup, Inc.  2,180  (2.07)%   (28,358)
Vulcan Materials Co.  837  (0.86)%   (30,299)
Ball Corp.  2,147  (1.39)%   (35,654)
Tetra Tech, Inc.  1,493  (1.20)%   (44,010)
Total Industrial         (258,278)
Utilities           
American States Water Co.  725  (0.40)%   5,700 
California Water Service Group  2,262  (0.85)%   (3,058)
Total Utilities         2,642 
Total MS Equity Short Custom Basket        $(2,094,339)

 

 

 

Alpha Opportunity Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

GS EQUITY LONG CUSTOM BASKET    
   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
Communications          
Viavi Solutions, Inc.  1,997  0.98%  $6,447 
T-Mobile US, Inc.  209  0.92%   5,147 
Cisco Systems, Inc.  867  1.29%   3,735 
Ciena Corp.  250  0.44%   3,175 
Omnicom Group, Inc.  283  0.59%   2,920 
Alphabet, Inc. — Class C  4  0.23%   2,403 
Motorola Solutions, Inc.  90  0.51%   1,353 
Verizon Communications, Inc.  605  1.18%   1,162 
VeriSign, Inc.  68  0.49%   1,017 
Discovery, Inc. — Class A  347  0.35%   1,006 
Cogent Communications Holdings, Inc.  321  0.64%   903 
Juniper Networks, Inc.  1,085  0.81%   246 
Sirius XM Holdings, Inc.  3,660  0.78%   226 
eBay, Inc.  259  0.43%   (298)
AT&T, Inc.  857  0.82%   (7,176)
Total Communications         22,266 
Financial           
MetLife, Inc.  761  1.19%   6,344 
Allstate Corp.  351  1.28%   4,788 
Travelers Companies, Inc.  141  0.66%   3,599 
Hartford Financial Services Group, Inc.  284  0.46%   3,451 
Synchrony Financial  329  0.38%   3,023 
Aflac, Inc.  284  0.42%   2,354 
Ameriprise Financial, Inc.  66  0.43%   2,301 
JPMorgan Chase & Co.  60  0.25%   1,860 
Western Union Co.  757  0.55%   1,579 
Equity Residential  349  0.69%   1,472 
Berkshire Hathaway, Inc. — Class B  104  0.80%   1,352 
M&T Bank Corp.  59  0.25%   1,350 
Bank of America Corp.  257  0.26%   945 
Highwoods Properties, Inc.  622  0.82%   827 
SEI Investments Co.  162  0.31%   110 
Piedmont Office Realty Trust, Inc. — Class A  1,054  0.57%   (405)
Total Financial         34,950 
Utilities           
Southern Co.  303  0.62%   2,086 
Public Service Enterprise Group, Inc.  493  0.96%   2,056 
Exelon Corp.  617  0.87%   1,991 
CenterPoint Energy, Inc.  541  0.39%   1,569 
NorthWestern Corp.  145  0.28%   1,406 
IDACORP, Inc.  317  1.01%   1,359 
UGI Corp.  450  0.52%   1,206 
OGE Energy Corp.  523  0.55%   653 
Evergy, Inc.  527  0.97%   500 
Ameren Corp.  344  0.89%   326 
Avista Corp.  198  0.26%   68 
PPL Corp.  901  0.85%   (98)
ONE Gas, Inc.  169  0.43%   (118)
NiSource, Inc.  599  0.46%   (573)
Portland General Electric Co.  168  0.24%   (801)
Consolidated Edison, Inc.  188  0.45%   (858)
National Fuel Gas Co.  245  0.34%   (905)
Duke Energy Corp.  259  0.79%   (1,152)
Southwest Gas Holdings, Inc.  196  0.40%   (2,453)
Total Utilities         6,262 
Technology           
NetApp, Inc.  390  0.86%   9,481 
Texas Instruments, Inc.  154  0.84%   7,022 
CDK Global, Inc.  348  0.60%   5,632 
HP, Inc.  808  0.66%   5,530 
Seagate Technology plc  481  0.99%   5,523 
SS&C Technologies Holdings, Inc.  455  1.10%   5,466 
KLA Corp.  65  0.56%   4,815 
Applied Materials, Inc.  124  0.36%   4,168 
Cerner Corp.  424  1.11%   3,905 
Oracle Corp.  348  0.75%   3,666 
Cirrus Logic, Inc.  142  0.39%   2,717 
Microchip Technology, Inc.  65  0.30%   2,511 
Kulicke & Soffa Industries, Inc.  297  0.31%   2,308 
Apple, Inc.  112  0.49%   1,976 
Skyworks Solutions, Inc.  84  0.43%   1,163 
International Business Machines Corp.  296  1.24%   542 
Dell Technologies, Inc. — Class C  167  0.41%   497 
Paychex, Inc.  104  0.32%   (27)
Intel Corp.  505  0.84%   (2,670)
Total Technology         64,225 
Consumer, Cyclical           
Gentherm, Inc.  429  0.93%   12,951 
Autoliv, Inc.  237  0.73%   8,612 
Gentex Corp.  1,025  1.16%   8,100 
Lear Corp.  99  0.52%   7,101 
Cummins, Inc.  53  0.40%   4,165 
Brunswick Corp.  163  0.41%   3,089 
Hanesbrands, Inc.  520  0.25%   2,764 
Allison Transmission Holdings, Inc.  562  0.81%   2,620 
Dolby Laboratories, Inc. — Class A  80  0.26%   2,501 
MSC Industrial Direct Company, Inc. — Class A  108  0.30%   2,420 
Genuine Parts Co.  232  0.78%   1,058 
AutoNation, Inc.  194  0.45%   913 
PACCAR, Inc.  199  0.57%   730 
Lowe's Companies, Inc.  123  0.66%   626 
AutoZone, Inc.  14  0.55%   570 
Lennar Corp. — Class A  163  0.41%   (161)
PulteGroup, Inc.  292  0.42%   (258)
Meritage Homes Corp.  110  0.30%   (915)
Best Buy Company, Inc.  289  0.96%   (2,569)
Total Consumer, Cyclical         54,317 
Consumer, Non-cyclical           
United Rentals, Inc.  95  0.73%   10,113 
Rent-A-Center, Inc.  359  0.46%   7,345 
DaVita, Inc.  218  0.85%   7,074 
McKesson Corp.  154  0.89%   6,363 
Amgen, Inc.  144  1.10%   5,924 
Molson Coors Beverage Co. — Class B  785  1.18%   5,743 

 

 

 

Alpha Opportunity Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
United Therapeutics Corp.  131  0.66%  $5,615 
Quanta Services, Inc.  254  0.61%   4,989 
Johnson & Johnson  186  0.97%   4,969 
Cardinal Health, Inc.  457  0.81%   4,841 
Eli Lilly & Co.  72  0.40%   4,446 
Colgate-Palmolive Co.  346  0.98%   4,070 
Jazz Pharmaceuticals plc  96  0.53%   3,653 
UnitedHealth Group, Inc.  64  0.75%   3,559 
Alexion Pharmaceuticals, Inc.  61  0.32%   3,326 
Procter & Gamble Co.  185  0.86%   3,260 
Kraft Heinz Co.  833  0.96%   2,737 
Anthem, Inc.  40  0.43%   2,638 
Cigna Corp.  56  0.39%   2,568 
Philip Morris International, Inc.  409  1.13%   2,346 
Molina Healthcare, Inc.  44  0.31%   1,593 
Constellation Brands, Inc. — Class A  47  0.34%   1,450 
Post Holdings, Inc.  151  0.51%   1,439 
Medtronic plc  63  0.25%   1,234 
Mondelez International, Inc. — Class A  215  0.42%   1,167 
Tyson Foods, Inc. — Class A  243  0.52%   981 
Chemed Corp.  15  0.27%   919 
Pfizer, Inc.  407  0.50%   890 
Conagra Brands, Inc.  472  0.57%   707 
Kellogg Co.  116  0.24%   625 
Hologic, Inc.  106  0.26%   593 
Altria Group, Inc.  594  0.81%   581 
Hill-Rom Holdings, Inc.  80  0.26%   570 
Innoviva, Inc.  739  0.30%   545 
Alkermes plc  406  0.27%   528 
J M Smucker Co.  281  1.08%   528 
Ionis Pharmaceuticals, Inc.  145  0.27%   417 
Merck & Company, Inc.  394  1.07%   348 
Laboratory Corporation of America Holdings  79  0.54%   340 
USANA Health Sciences, Inc.  96  0.25%   221 
AbbVie, Inc.  70  0.25%   218 
Bristol-Myers Squibb Co.  158  0.33%   172 
Encompass Health Corp.  121  0.33%   104 
Clorox Co.  36  0.24%   56 
Campbell Soup Co.  488  0.79%   43 
Prestige Consumer Healthcare, Inc.  200  0.23%   (36)
CVS Health Corp.  227  0.52%   (44)
Vector Group Ltd.  840  0.33%   (56)
Humana, Inc.  32  0.44%   (97)
TreeHouse Foods, Inc.  271  0.38%   (105)
Ingredion, Inc.  223  0.58%   (415)
Sprouts Farmers Market, Inc.  592  0.40%   (583)
General Mills, Inc.  516  1.01%   (612)
John B Sanfilippo & Son, Inc.  168  0.44%   (744)
Kimberly-Clark Corp.  201  0.90%   (841)
Gilead Sciences, Inc.  242  0.47%   (3,097)
Total Consumer, Non-cyclical         105,218 
Industrial           
TE Connectivity Ltd.  197  0.79%   7,781 
AGCO Corp.  227  0.78%   7,215 
Snap-on, Inc.  133  0.76%   7,136 
Timken Co.  207  0.53%   5,997 
Caterpillar, Inc.  85  0.51%   5,719 
Vishay Intertechnology, Inc.  1,044  0.72%   5,698 
Regal Beloit Corp.  103  0.42%   5,441 
Owens Corning  140  0.35%   5,020 
Garmin Ltd.  117  0.47%   4,334 
Lincoln Electric Holdings, Inc.  120  0.46%   4,007 
Hubbell, Inc.  170  0.89%   3,772 
Terex Corp.  309  0.36%   3,636 
Waters Corp.  60  0.49%   3,027 
Arrow Electronics, Inc.  164  0.53%   2,744 
Oshkosh Corp.  189  0.54%   2,113 
Eaton Corporation plc  79  0.32%   1,981 
Acuity Brands, Inc.  81  0.33%   1,757 
National Instruments Corp.  196  0.29%   1,475 
Keysight Technologies, Inc.  95  0.42%   1,307 
Trane Technologies plc  49  0.24%   1,205 
Pentair plc  157  0.28%   1,146 
Dover Corp.  59  0.25%   1,056 
PerkinElmer, Inc.  57  0.27%   938 
A O Smith Corp.  135  0.25%   833 
Energizer Holdings, Inc.  226  0.32%   592 
Lennox International, Inc.  23  0.21%   184 
3M Co.  84  0.49%   (110)
Masco Corp.  339  0.62%   (308)
General Dynamics Corp.  98  0.49%   (407)
Lockheed Martin Corp.  37  0.44%   (1,112)
Total Industrial         84,177 
Total GS Equity Long Custom Basket        $371,415 

 

GS EQUITY SHORT CUSTOM BASKET    
   Shares  Percentage
Notional Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
Financial          
UDR, Inc.  2,415  (0.64)%  $22,727 
Kilroy Realty Corp.  2,378  (0.95)%   19,659 
Realty Income Corp.  3,550  (1.53)%   17,747 
Global Net Lease, Inc.  4,453  (0.53)%   7,830 
JBG SMITH Properties  3,636  (0.79)%   7,337 
Douglas Emmett, Inc.  1,657  (0.34)%   6,829 
Truist Financial Corp.  1,153  (0.38)%   929 
First Industrial Realty Trust, Inc.  2,447  (0.72)%   866 
Host Hotels & Resorts, Inc.  3,696  (0.38)%   643 
Crown Castle International Corp.  277  (0.31)%   252 
Agree Realty Corp.  3,340  (1.54)%   221 
American Tower Corp. — Class A  201  (0.31)%   35 
Camden Property Trust  1,020  (0.71)%   (158)
Prologis, Inc.  1,459  (1.01)%   (2,102)
Fulton Financial Corp.  4,226  (0.37)%   (2,308)
First Midwest Bancorp, Inc.  4,979  (0.55)%   (2,429)

 

 

 

Alpha Opportunity Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
CyrusOne, Inc.  1,305  (0.66)%  $(2,439)
Howard Hughes Corp.  976  (0.53)%   (3,623)
Southside Bancshares, Inc.  2,891  (0.62)%   (3,667)
Duke Realty Corp.  2,271  (0.63)%   (3,736)
Healthpeak Properties, Inc.  3,516  (0.74)%   (4,692)
TFS Financial Corp.  4,164  (0.51)%   (5,837)
QTS Realty Trust, Inc. — Class A  1,226  (0.53)%   (6,897)
SBA Communications Corp.  162  (0.32)%   (8,854)
Rayonier, Inc.  3,444  (0.70)%   (9,617)
STAG Industrial, Inc.  1,858  (0.40)%   (9,814)
First Financial Bankshares, Inc.  3,031  (0.76)%   (10,010)
Healthcare Trust of America, Inc. — Class A  3,892  (0.74)%   (10,607)
Alleghany Corp.  298  (1.25)%   (10,640)
Intercontinental Exchange, Inc.  1,024  (0.82)%   (12,163)
Loews Corp.  1,965  (0.61)%   (12,899)
Medical Properties Trust, Inc.  6,363  (0.96)%   (13,498)
Brookline Bancorp, Inc.  8,990  (0.75)%   (13,538)
Equinix, Inc.  149  (0.74)%   (13,981)
EastGroup Properties, Inc.  802  (0.77)%   (14,947)
Americold Realty Trust  2,124  (0.55)%   (15,201)
Terreno Realty Corp.  1,606  (0.65)%   (18,026)
Alexandria Real Estate Equities, Inc.  774  (0.96)%   (18,049)
Sun Communities, Inc.  1,069  (1.13)%   (24,874)
Rexford Industrial Realty, Inc.  3,611  (1.23)%   (31,092)
First Republic Bank  1,320  (1.35)%   (54,265)
Total Financial         (254,888)
Utilities           
American States Water Co.  725  (0.40)%   5,659 
California Water Service Group  2,262  (0.85)%   (2,857)
Total Utilities         2,802 
Industrial           
Raytheon Technologies Corp.  1,982  (0.98)%   6,229 
US Ecology, Inc.  1,616  (0.41)%   1,901 
Boeing Co.  169  (0.25)%   928 
AMETEK, Inc.  567  (0.48)%   (348)
TransDigm Group, Inc.  152  (0.65)%   (12,794)
HEICO Corp.  427  (0.39)%   (13,702)
Eagle Materials, Inc.  562  (0.40)%   (15,046)
Martin Marietta Materials, Inc.  205  (0.40)%   (15,801)
Ingersoll Rand, Inc.  3,683  (1.17)%   (20,092)
Crown Holdings, Inc.  883  (0.61)%   (24,634)
Casella Waste Systems, Inc. — Class A  1,904  (0.82)%   (26,602)
AptarGroup, Inc.  2,180  (2.07)%   (28,215)
Vulcan Materials Co.  837  (0.86)%   (30,435)
Ball Corp.  2,147  (1.39)%   (35,415)
Tetra Tech, Inc.  1,493  (1.20)%   (44,216)
Total Industrial         (258,242)
Basic Materials           
Huntsman Corp.  5,096  (0.89)%   4,997 
Newmont Corp.  1,133  (0.47)%   1,794 
Sherwin-Williams Co.  98  (0.50)%   187 
Ecolab, Inc.  253  (0.38)%   (9,976)
Ashland Global Holdings, Inc.  1,946  (1.07)%   (10,014)
Axalta Coating Systems Ltd.  3,360  (0.67)%   (13,696)
DuPont de Nemours, Inc.  2,805  (1.38)%   (14,024)
PPG Industries, Inc.  583  (0.58)%   (15,957)
Air Products and Chemicals, Inc.  983  (1.86)%   (25,564)
Celanese Corp. — Class A  1,089  (0.98)%   (32,506)
Freeport-McMoRan, Inc.  2,415  (0.44)%   (36,895)
Balchem Corp.  1,994  (1.60)%   (37,050)
RPM International, Inc.  2,395  (1.51)%   (49,858)
Linde plc  1,083  (1.98)%   (52,380)
Albemarle Corp.  1,076  (1.10)%   (84,600)
Quaker Chemical Corp.  734  (1.29)%   (85,675)
United States Steel Corp.  10,166  (1.18)%   (96,355)
Total Basic Materials         (557,572)
Energy           
Williams Companies, Inc.  3,616  (0.50)%   1,599 
Cheniere Energy, Inc.  1,431  (0.60)%   (1,576)
Ovintiv, Inc.  6,873  (0.69)%   (5,832)
ChampionX Corp.  6,677  (0.71)%   (8,777)
NOV, Inc.  4,001  (0.38)%   (9,095)
Phillips 66  2,745  (1.33)%   (9,202)
Hess Corp.  2,125  (0.78)%   (13,048)
Schlumberger N.V.  8,394  (1.27)%   (23,803)
Total Energy         (69,734)
Consumer, Cyclical           
United Airlines Holdings, Inc.  1,709  (0.51)%   1,400 
Alaska Air Group, Inc.  2,397  (0.87)%   39 
JetBlue Airways Corp.  6,350  (0.64)%   (15,802)
Five Below, Inc.  415  (0.50)%   (18,899)
Delta Air Lines, Inc.  3,500  (0.98)%   (21,619)
Live Nation Entertainment, Inc.  1,134  (0.58)%   (24,232)
Southwest Airlines Co.  3,422  (1.11)%   (24,997)
Hilton Worldwide Holdings, Inc.  1,384  (1.07)%   (26,999)
TJX Companies, Inc.  2,266  (1.07)%   (29,067)
Copart, Inc.  1,315  (1.16)%   (38,767)
Burlington Stores, Inc.  644  (1.17)%   (40,300)
NIKE, Inc. — Class B  1,437  (1.41)%   (43,777)
Scotts Miracle-Gro Co. — Class A  576  (0.80)%   (43,804)
Starbucks Corp.  2,263  (1.68)%   (68,080)
Total Consumer, Cyclical         (394,904)
Technology           
Splunk, Inc.  533  (0.63)%   7,610 
NVIDIA Corp.  107  (0.39)%   (6,530)
salesforce.com, Inc.  347  (0.54)%   (7,508)
Appfolio, Inc. — Class A  254  (0.32)%   (8,562)
Clarivate plc  3,050  (0.63)%   (8,982)
Pegasystems, Inc.  860  (0.80)%   (10,810)
Tyler Technologies, Inc.  168  (0.51)%   (12,912)
Atlassian Corporation plc — Class A  262  (0.43)%   (15,034)
ANSYS, Inc.  355  (0.90)%   (15,860)
Rapid7, Inc.  990  (0.62)%   (16,936)

 

 

 

Alpha Opportunity Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Depreciation
 
Coupa Software, Inc.  147  (0.35)%  $(17,651)
Smartsheet, Inc. — Class A  724  (0.35)%   (17,971)
Workiva, Inc.  502  (0.32)%   (25,358)
Zscaler, Inc.  264  (0.37)%   (32,466)
HubSpot, Inc.  187  (0.51)%   (37,957)
Varonis Systems, Inc.  908  (1.03)%   (43,207)
Total Technology         (270,134)
Consumer, Non-cyclical           
Nevro Corp.  812  (0.98)%   (1,314)
Moody's Corp.  409  (0.82)%   (7,589)
Verisk Analytics, Inc. — Class A  504  (0.73)%   (9,243)
WD-40 Co.  288  (0.53)%   (12,324)
CoStar Group, Inc.  135  (0.87)%   (12,384)
Avalara, Inc.  279  (0.32)%   (22,095)
Equifax, Inc.  799  (1.07)%   (22,694)
Avery Dennison Corp.  557  (0.60)%   (25,979)
Total Consumer, Non-cyclical         (113,622)
Communications           
Anaplan, Inc.  548  (0.27)%   (16,583)
Okta, Inc.  244  (0.43)%   (22,679)
Zendesk, Inc.  895  (0.89)%   (34,464)
Liberty Broadband Corp. — Class C  1,743  (1.92)%   (35,846)
Q2 Holdings, Inc.  1,006  (0.88)%   (43,730)
Total Communications         (153,302)
Total GS Equity Short Custom Basket        $(2,069,596)

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is pledged as custom basket swap collateral at December 31, 2020.
2 Rate indicated is the 7-day yield as of December 31, 2020.

 

GS — Goldman Sachs International

MS — Morgan Stanley Capital Services LLC

plc — Public Limited Company

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $39,340,628   $   $   $39,340,628 
Money Market Fund   981,698            981,698 
Equity Custom Basket Swap Agreements**       747,103        747,103 
Total Assets  $40,322,326   $747,103   $   $41,069,429 

 

Investments in Securities (Liabilities)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Equity Custom Basket Swap Agreements**  $   $4,163,935   $   $4,163,935 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

 

 

 

Capital Stewardship Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 100.0%
Technology - 24.4%
Apple, Inc.   89,717   $11,904,549 
Microsoft Corp.   49,254    10,955,075 
NVIDIA Corp.   6,810    3,556,182 
Texas Instruments, Inc.   20,223    3,319,201 
salesforce.com, Inc.*   11,114    2,473,198 
Advanced Micro Devices, Inc.*   25,995    2,384,002 
Micron Technology, Inc.*   31,112    2,339,000 
International Business Machines Corp.   18,420    2,318,710 
Adobe, Inc.*   3,653    1,826,938 
Intel Corp.   35,687    1,777,926 
Accenture plc — Class A   6,220    1,624,726 
Oracle Corp.   22,684    1,467,428 
Lam Research Corp.   2,778    1,311,966 
Twilio, Inc. — Class A*   3,597    1,217,584 
HP, Inc.   42,380    1,042,124 
RingCentral, Inc. — Class A*   2,748    1,041,410 
Dell Technologies, Inc. — Class C*   12,270    899,268 
QUALCOMM, Inc.   5,786    881,439 
ON Semiconductor Corp.*   20,087    657,448 
Citrix Systems, Inc.   4,932    641,653 
Applied Materials, Inc.   7,352    634,478 
Cognizant Technology Solutions Corp. — Class A   7,480    612,986 
Skyworks Solutions, Inc.   3,390    518,263 
Paychex, Inc.   5,482    510,813 
Total Technology        55,916,367 
Consumer, Non-cyclical - 23.3%          
Johnson & Johnson   23,001    3,619,897 
AbbVie, Inc.   32,086    3,438,015 
Amgen, Inc.   12,388    2,848,249 
Bristol-Myers Squibb Co.   42,478    2,634,910 
Gilead Sciences, Inc.   43,621    2,541,360 
Merck & Company, Inc.   26,887    2,199,357 
CVS Health Corp.   28,494    1,946,140 
UnitedHealth Group, Inc.   5,290    1,855,097 
PepsiCo, Inc.   12,240    1,815,192 
J M Smucker Co.   14,943    1,727,411 
Procter & Gamble Co.   11,699    1,627,799 
Vertex Pharmaceuticals, Inc.*   6,854    1,619,874 
Molson Coors Beverage Co. — Class B   35,010    1,582,102 
Pfizer, Inc.   41,918    1,543,002 
Humana, Inc.   3,537    1,451,125 
McKesson Corp.   7,159    1,245,093 
Illumina, Inc.*   3,133    1,159,210 
Eli Lilly & Co.   6,657    1,123,968 
S&P Global, Inc.   3,371    1,108,149 
Colgate-Palmolive Co.   12,249    1,047,412 
Boston Scientific Corp.*   29,126    1,047,080 
Kraft Heinz Co.   29,161    1,010,720 
General Mills, Inc.   17,116    1,006,421 
United Rentals, Inc.*   4,093    949,208 
Anthem, Inc.   2,851    915,428 
PayPal Holdings, Inc.*   3,841    899,562 
Kimberly-Clark Corp.   6,478    873,429 
Cigna Corp.   4,122    858,118 
Medtronic plc   7,002    820,214 
Abbott Laboratories   7,209    789,313 
Square, Inc. — Class A*   3,567    776,322 
Biogen, Inc.*   3,145    770,085 
Laboratory Corporation of America Holdings*   3,284    668,458 
Kroger Co.   17,374    551,798 
Campbell Soup Co.   10,581    511,591 
Zoetis, Inc.   2,979    493,024 
Becton Dickinson and Co.   1,953    488,680 
Quest Diagnostics, Inc.   3,591    427,940 
Intuitive Surgical, Inc.*   519    424,594 
Regeneron Pharmaceuticals, Inc.*   849    410,160 
IQVIA Holdings, Inc.*   1,607    287,926 
Moody's Corp.   921    267,311 
Total Consumer, Non-cyclical        53,380,744 
Communications - 17.8%          
Amazon.com, Inc.*   3,231    10,523,141 
Alphabet, Inc. — Class A*   2,988    5,236,888 
AT&T, Inc.   151,634    4,360,994 
Cisco Systems, Inc.   88,478    3,959,391 
Netflix, Inc.*   6,019    3,254,654 
Verizon Communications, Inc.   42,699    2,508,566 
Facebook, Inc. — Class A*   9,026    2,465,542 
eBay, Inc.   33,926    1,704,782 
Comcast Corp. — Class A   27,138    1,422,031 
Arista Networks, Inc.*   2,800    813,596 
Motorola Solutions, Inc.   4,274    726,836 
Discovery, Inc. — Class A*   17,979    540,988 
Corning, Inc.   14,230    512,280 
Omnicom Group, Inc.   7,980    497,713 
F5 Networks, Inc.*   2,776    488,409 
Discovery, Inc. — Class C*   17,074    447,168 
Walt Disney Co.*   2,227    403,488 
CDW Corp.   2,210    291,256 
Booking Holdings, Inc.*   100    222,727 
Etsy, Inc.*   1,166    207,443 
Okta, Inc.*   703    178,745 
Total Communications        40,766,638 
Consumer, Cyclical - 12.1%          
Home Depot, Inc.   13,157    3,494,762 
Cummins, Inc.   10,239    2,325,277 
Lowe's Companies, Inc.   12,824    2,058,380 
Costco Wholesale Corp.   4,752    1,790,458 
NIKE, Inc. — Class B   11,860    1,677,834 
PACCAR, Inc.   18,079    1,559,856 
Starbucks Corp.   13,818    1,478,250 
AutoZone, Inc.*   1,041    1,234,043 
Southwest Airlines Co.   23,100    1,076,691 
Tiffany & Co.   8,186    1,076,050 
Best Buy Company, Inc.   10,452    1,043,005 
Lear Corp.   6,336    1,007,614 
General Motors Co.   22,754    947,476 
Walgreens Boots Alliance, Inc.   23,552    939,254 
Domino's Pizza, Inc.   2,234    856,650 
Walmart, Inc.   5,586    805,222 
Kohl's Corp.   18,078    735,594 
Whirlpool Corp.   4,022    725,931 
Pool Corp.   1,942    723,395 
Ulta Beauty, Inc.*   1,808    519,185 
Chipotle Mexican Grill, Inc. — Class A*   296    410,466 

 

 

 

Capital Stewardship Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 100.0% (continued)
Consumer, Cyclical - 12.1% (continued)
BorgWarner, Inc.   10,043   $388,062 
WW Grainger, Inc.   820    334,839 
Ross Stores, Inc.   2,710    332,815 
Total Consumer, Cyclical        27,541,109 
Financial - 10.0%          
Mastercard, Inc. — Class A   9,365    3,342,743 
Bank of America Corp.   92,077    2,790,854 
Citigroup, Inc.   41,997    2,589,535 
Allstate Corp.   21,773    2,393,506 
MetLife, Inc.   49,318    2,315,480 
JPMorgan Chase & Co.   15,115    1,920,663 
Visa, Inc. — Class A   7,598    1,661,911 
Progressive Corp.   15,367    1,519,489 
Prudential Financial, Inc.   15,065    1,176,124 
Capital One Financial Corp.   10,043    992,751 
T. Rowe Price Group, Inc.   4,414    668,235 
Hartford Financial Services Group, Inc.   12,999    636,691 
Aflac, Inc.   14,248    633,609 
American Express Co.   2,410    291,393 
Total Financial        22,932,984 
Industrial - 7.8%          
3M Co.   19,451    3,399,840 
Caterpillar, Inc.   12,747    2,320,209 
Oshkosh Corp.   20,929    1,801,359 
Owens Corning   22,199    1,681,796 
Honeywell International, Inc.   6,228    1,324,696 
Expeditors International of Washington, Inc.   12,957    1,232,340 
FedEx Corp.   3,616    938,786 
Raytheon Technologies Corp.   12,052    861,839 
Teledyne Technologies, Inc.*   1,900    744,762 
Ryder System, Inc.   11,048    682,324 
Avnet, Inc.   18,078    634,719 
Keysight Technologies, Inc.*   3,989    526,907 
Waters Corp.*   2,108    521,561 
Emerson Electric Co.   6,351    510,430 
Illinois Tool Works, Inc.   1,574    320,907 
Waste Management, Inc.   1,966    231,850 
Norfolk Southern Corp.   803    190,801 
Total Industrial        17,925,126 
Basic Materials - 3.3%          
Steel Dynamics, Inc.   34,816    1,283,666 
FMC Corp.   9,579    1,100,915 
Air Products and Chemicals, Inc.   3,682    1,005,996 
Newmont Corp.   16,573    992,557 
International Flavors & Fragrances, Inc.   9,042    984,131 
Ecolab, Inc.   3,752    811,783 
Axalta Coating Systems Ltd.*   18,078    516,127 
Eastman Chemical Co.   5,022    503,606 
Celanese Corp. — Class A   2,511    326,279 
Total Basic Materials        7,525,060 
Utilities - 0.7%          
Exelon Corp.   26,490    1,118,408 
Consolidated Edison, Inc.   7,501    542,097 
Total Utilities        1,660,505 
Energy - 0.6%          
SolarEdge Technologies, Inc.*   2,913    929,596 
Chevron Corp.   3,804    321,248 
Total Energy        1,250,844 
Total Common Stocks          
(Cost $190,936,245)        228,899,377 
           
EXCHANGE-TRADED FUNDS - 1.0%          
SPDR S&P 500 ETF Trust   5,956    2,226,829 
Total Exchange-Traded Funds          
(Cost $2,040,335)        2,226,829 
           
MONEY MARKET FUND - 0.2%          
Dreyfus Treasury Securities Cash Management Fund — Institutional Shares, 0.01%1   509,378    509,378 
Total Money Market Fund          
(Cost $509,378)        509,378 
Total Investments - 101.2%          
(Cost $193,485,958)       $231,635,584 
Other Assets & Liabilities, net - (1.2)%        (2,698,577)
Total Net Assets - 100.0%       $228,937,007 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
1 Rate indicated is the 7-day yield as of December 31, 2020.

 

plc — Public Limited Company

 

See Sector Classification in Other Information section.

 

 

 

Capital Stewardship Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $228,899,377   $   $   $228,899,377 
Exchange-Traded Funds   2,226,829            2,226,829 
Money Market Fund   509,378            509,378 
Total Assets  $231,635,584   $   $   $231,635,584 

 

 

 

Diversified Income Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
MUTUAL FUNDS - 87.4%
Guggenheim High Yield Fund — R6-Class1   145,950   $1,582,098 
Guggenheim Floating Rate Strategies Fund — R6-Class1   53,684    1,326,005 
Guggenheim Investment Grade Bond Fund — Institutional Class1   64,438    1,320,986 
Guggenheim RBP Dividend Fund — Institutional Class1   59,478    735,737 
Guggenheim Risk Managed Real Estate Fund — Institutional Class1   21,926    674,885 
Guggenheim World Equity Income Fund — Institutional Class1   20,687    344,435 
Guggenheim Ultra Short Duration Fund — Institutional Class1   14,475    144,465 
Total Mutual Funds          
(Cost $5,641,360)        6,128,611 
           
CLOSED-END FUNDS - 11.0%          
AllianzGI Diversified Income & Convertible Fund   900    29,412 
Calamos Convertible Opportunities and Income Fund   1,944    26,322 
John Hancock Premium Dividend Fund   1,750    24,797 
Neuberger Berman High Yield Strategies Fund, Inc.   2,113    24,701 
Royce Value Trust, Inc.   1,500    24,210 
Western Asset High Income Fund II, Inc.   3,448    23,722 
Eaton Vance Enhanced Equity Income Fund II   1,058    22,948 
Eaton Vance Tax-Advantaged Dividend Income Fund   962    22,751 
Eaton Vance Tax-Managed Buy-Write Opportunities Fund   1,470    22,564 
First Trust Energy Income and Growth Fund   2,100    22,470 
Invesco High Income Trust II   1,650    22,424 
John Hancock Investors Trust   1,278    22,071 
Western Asset Premier Bond Fund   1,529    21,666 
Cohen & Steers REIT and Preferred and Income Fund, Inc.   940    21,460 
Ares Dynamic Credit Allocation Fund, Inc.   1,500    21,435 
PIMCO High Income Fund   3,500    21,175 
BlackRock Enhanced Equity Dividend Trust   2,500    21,175 
Eaton Vance Tax-Managed Buy-Write Income Fund   1,400    21,000 
John Hancock Preferred Income Fund II   1,100    20,911 
Tekla Life Sciences Investors   1,050    20,738 
Pioneer High Income Trust   2,284    20,373 
Reaves Utility Income Fund   600    19,674 
John Hancock Income Securities Trust   1,250    19,663 
BlackRock Limited Duration Income Trust   1,200    19,104 
Eaton Vance Limited Duration Income Fund   1,500    18,795 
PGIM High Yield Bond Fund, Inc.   1,242    18,630 
DoubleLine Income Solutions Fund   1,123    18,620 
Brookfield Real Assets Income Fund, Inc.   1,040    18,543 
Western Asset Emerging Markets Debt Fund, Inc.   1,330    18,487 
PIMCO Dynamic Income Fund   695    18,369 
KKR Income Opportunities Fund   1,266    18,268 
Western Asset Global Corporate Defined Opportunity Fund, Inc.   983    17,792 
BlackRock Credit Allocation Income Trust   1,205    17,726 
Blackstone Strategic Credit Fund   1,419    17,709 
Ivy High Income Opportunities Fund   1,308    17,370 
Apollo Senior Floating Rate Fund, Inc.   1,074    15,466 
Voya Infrastructure Industrials and Materials Fund   1,500    15,450 
Total Closed-End Funds          
(Cost $677,000)        767,991 
           
MONEY MARKET FUND - 1.1%          
Goldman Sachs Financial Square Treasury Instruments Fund — Institutional Shares, 0.01%2   78,677    78,677 
Total Money Market Fund          
(Cost $78,677)        78,677 
Total Investments - 99.5%          
(Cost $6,397,037)       $6,975,279 
Other Assets & Liabilities, net - 0.5%        36,890 
Total Net Assets - 100.0%       $7,012,169 

 

Value determined based on Level 1 inputs — See Note 3.
1 Affiliated issuer.
2 Rate indicated is the 7-day yield as of December 31, 2020.

 

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

 

 

Diversified Income Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Mutual Funds  $6,128,611   $   $   $6,128,611 
Closed-End Funds   767,991            767,991 
Money Market Fund   78,677            78,677 
Total Assets  $6,975,279   $   $   $6,975,279 

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments, result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

Transactions during the period ended December 31, 2020, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
09/30/20
   Additions   Reductions   Realized
Gain
(Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
   Value
12/31/20
   Shares
12/31/20
   Investment
Income
   Capital
Gain
Distributions
 
Mutual Funds                            
Guggenheim Floating Rate Strategies Fund — R6-Class  $1,051,568   $241,910   $   $   $32,527   $1,326,005    53,684   $11,632   $ 
Guggenheim High Yield Fund — R6-Class   1,501,803    251,289    (239,999)   (4,411)   73,416    1,582,098    145,950    20,624     
Guggenheim Investment Grade Bond Fund — Institutional Class   1,312,112    412,496    (399,983)   (1,270)   (2,369)   1,320,986    64,438    10,123    27,120 
Guggenheim RBP Dividend Fund — Institutional Class   614,550    8,963            112,224    735,737    59,478    8,963     
Guggenheim Risk Managed Real Estate Fund — Institutional Class   625,585    40,228            9,072    674,885    21,926    4,362    35,865 
Guggenheim Ultra Short Duration Fund — Institutional Class   343,979    554    (199,999)   3,207    (3,276)   144,465    14,475    545     
Guggenheim World Equity Income Fund — Institutional Class   307,075    2,214            35,146    344,435    20,687    2,214     
   $5,756,672   $957,654   $(839,981)  $(2,474)  $256,740   $6,128,611        $58,463   $62,985 

 

 

 

Floating Rate Strategies Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 0.3%
Consumer, Non-cyclical - 0.2%
Chef Holdings, Inc.*,†††   14,334   $1,212,423 
Targus Group International, Inc.*,†††,1   12,773    26,194 
Total Consumer, Non-cyclical        1,238,617 
Energy - 0.1%          
Unit Corp.*,†††   51,277    487,132 
Summit Midstream Partners, LP*   3,210    40,093 
Permian Production Partners LLC*,†††   401,481     
Total Energy        527,225 
Industrial - 0.0%          
API Heat Transfer Parent LLC*,†††   2,902,566    225,265 
BP Holdco LLC*,†††,1   244,278    86,130 
Vector Phoenix Holdings, LP*,†††   244,278    23,712 
Total Industrial        335,107 
Total Common Stocks          
(Cost $3,862,023)        2,100,949 
           
PREFERRED STOCKS††† - 0.1%          
Industrial - 0.1%          
API Heat Transfer Intermediate*   618    315,644 
Total Preferred Stocks          
(Cost $493,920)        315,644 
           
EXCHANGE-TRADED FUNDS - 5.7%          
Invesco Senior Loan ETF   1,845,000    41,106,600 
Total Exchange-Traded Funds          
(Cost $39,279,133)        41,106,600 
           
MONEY MARKET FUND - 6.8%          
Federated Hermes U.S. Treasury Cash Reserves Fund — Institutional Shares, 0.01%2   48,558,705    48,558,705 
Total Money Market Fund          
(Cost $48,558,705)        48,558,705 
           
    Face
Amount~
      
SENIOR FLOATING RATE INTERESTS††,7 - 83.6%          
Industrial - 17.6%          
Berry Global, Inc.          
2.15% (1 Month USD LIBOR + 2.00%, Rate Floor: 2.00%) due 07/01/26   7,930,737    7,884,184 
BWAY Holding Co.          
3.48% (3 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 04/03/24   7,775,138    7,493,289 
Genesee & Wyoming, Inc.          
2.25% (3 Month USD LIBOR + 2.00%, Rate Floor: 2.00%) due 12/30/26   7,481,156    7,458,937 
Alliance Laundry Systems LLC          
4.25% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.25%) due 10/08/27   7,350,000    7,340,812 
STS Operating, Inc. (SunSource)          
5.25% (1 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 12/11/24   7,524,029    7,169,797 
USIC Holding, Inc.          
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 12/08/23   6,884,578    6,875,972 
LTI Holdings, Inc.          
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 09/06/25   6,954,303    6,740,736 
Titan Acquisition Ltd. (Husky)          
3.27% (3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/28/25   6,923,736    6,737,279 
TransDigm, Inc.          
2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 12/09/25   3,581,910    3,505,436 
2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 05/30/25   2,944,873    2,882,295 
Duran Group Holding GMBH          
4.25% (6 Month EURIBOR + 4.25%, Rate Floor: 4.25%) due 03/29/24†††   EUR 3,928,562    4,629,458 
4.25% (6 Month EURIBOR + 4.25%, Rate Floor: 4.25%) due 12/20/24†††   EUR 1,276,721    1,504,501 
Altra Industrial Motion Corp.          
2.15% (1 Month USD LIBOR + 2.00%, Rate Floor: 2.00%) due 10/01/25   6,105,881    6,090,616 
VC GB Holdings, Inc.          
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 02/28/24†††   6,099,812    6,084,563 
Mileage Plus Holdings LLC          
6.25% (3 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 06/21/27   5,700,000    5,924,466 
Reynolds Group Holdings, Inc.          
3.40% (1 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 02/05/26   4,955,000    4,911,644 
Hillman Group, Inc.          
4.15% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 05/30/25   4,831,631    4,805,202 
Charter Nex US Holdings, Inc.          
5.00% (1 Month USD LIBOR + 4.25%, Rate Floor: 5.00%) due 12/01/27   4,700,000    4,718,800 
Pelican Products, Inc.          
4.50% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 05/01/25   4,662,675    4,561,635 

 

 

 

Floating Rate Strategies Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,7 - 83.6% (continued)
Industrial - 17.6% (continued)        
American Bath Group LLC        
5.25% (3 Month USD LIBOR + 4.50%, Rate Floor: 5.25%) due 11/23/27   4,000,000   $4,005,000 
Corialis Group Ltd.          
3.00% (1 Month EURIBOR + 3.00%, Rate Floor: 3.00%) due 03/29/24   EUR 3,075,000    3,736,516 
API Heat Transfer          
12.00% (3 Month USD LIBOR + 0.00%, Rate Floor: 1.00%) (in-kind rate was 11.00%) due 01/01/24†††,3   3,047,720    2,720,090 
12.00% (3 Month USD LIBOR + 0.00%, Rate Floor: 1.00%) (in-kind rate was 11.00%) due 10/02/23†††,3   543,746    494,809 
Cushman & Wakefield US Borrower LLC          
due 08/21/25   2,686,449    2,634,063 
Vertical (TK Elevator)          
4.57% (3 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 07/30/27   1,895,250    1,901,675 
YAK MAT (YAK ACCESS LLC)          
10.24% (3 Month USD LIBOR + 10.00%, Rate Floor: 10.00%) due 07/10/26   2,550,000    1,785,000 
SkyMiles IP Ltd.          
4.75% (3 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 10/20/27   1,664,359    1,723,178 
Total Industrial        126,319,953 
Communications - 15.7%          
GTT Communications BV          
3.25% (3 Month EURIBOR + 3.25%, Rate Floor: 3.25%) due 05/30/25   EUR 10,798,003    11,849,963 
due 12/31/21     727,687    665,834 
McGraw-Hill Global Education Holdings LLC          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 05/04/22   10,144,549    9,866,689 
Cengage Learning Acquisitions, Inc.          
5.25% (3 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 06/07/23   7,903,949    7,563,526 
UPC Financing Partnership          
3.68% (3 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 01/31/29   3,500,000    3,501,750 
3.67% (3 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 01/31/29   3,500,000    3,501,750 
Nielsen Finance LLC          
2.15% (1 Month USD LIBOR + 2.00%, Rate Floor: 2.00%) due 10/04/23   7,027,638    6,999,316 
ProQuest LLC          
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 10/23/26   6,982,711    6,965,254 
CSC Holdings LLC          
2.41% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 07/17/25   6,905,188    6,791,736 
Ziggo Financing Partnership          
2.66% (1 Month USD LIBOR + 2.50%, Rate Floor: 2.50%) due 04/28/28   6,685,000    6,636,935 
Zayo Group Holdings, Inc.          
3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/09/27   6,648,468    6,598,604 
Market Track LLC          
5.25% (3 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 06/05/24   6,926,884    6,407,368 
Virgin Media Bristol LLC          
2.66% (1 Month USD LIBOR + 2.50%, Rate Floor: 2.50%) due 01/31/28   6,116,233    6,053,970 
Authentic Brands          
4.50% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 09/27/24   5,606,376    5,558,330 
SFR Group S.A.          
3.85% (1 Month USD LIBOR + 3.69%, Rate Floor: 3.69%) due 01/31/26   3,397,396    3,358,122 
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 07/31/25   1,662,513    1,624,974 
GTT Communications, Inc.          
3.00% (3 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 05/31/25   6,142,500    4,781,445 
Titan US Finco LLC          
4.25% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 05/01/26   4,667,639    4,597,625 
Xplornet Communications, Inc.          
4.90% (1 Month USD LIBOR + 4.75%, Rate Floor: 4.75%) due 06/10/27   3,990,000    3,990,997 
Level 3 Financing, Inc.          
1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 03/01/27   3,339,546    3,280,402 
Radiate Holdco, LLC          
4.25% (1 Month USD LIBOR + 3.50%, Rate Floor: 4.25%) due 09/25/26   1,800,000    1,800,846 

 

 

 

Floating Rate Strategies Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,7 - 83.6% (continued)
Communications - 15.7% (continued)        
Total Communications       $112,395,436 
Consumer, Non-cyclical - 14.4%          
AI Aqua Zip Bidco Pty Ltd.          
4.25% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.25%) due 12/13/23   8,109,521    8,048,699 
Diamond (BC) BV          
3.21% (3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 09/06/24   3,959,184    3,896,510 
3.25% (3 Month EURIBOR + 3.25%, Rate Floor: 3.25%) due 09/06/24   EUR 2,867,921    3,456,118 
Dole Food Company, Inc.          
3.75% (1 Month USD LIBOR + 2.75%, Rate Floor: 3.75%) due 04/06/24   6,848,897    6,831,775 
Froneri US, Inc.          
2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 01/29/27   6,865,500    6,789,980 
US Foods, Inc.          
1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 06/27/23   5,937,824    5,842,700 
Hayward Industries, Inc.          
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 08/05/24   5,705,217    5,631,506 
Springs Window Fashions          
4.40% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 06/16/25   4,335,762    4,294,226 
8.65% (1 Month USD LIBOR + 8.50%, Rate Floor: 8.50%) due 06/15/26   1,350,000    1,285,038 
Recess Holdings, Inc.          
4.75% (3 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 09/30/24   5,622,617    5,313,373 
Weber-Stephen Products LLC          
4.00% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.00%) due 10/29/27   5,050,000    5,052,525 
Cidron New Bidco Ltd.          
3.00% (3 Month EURIBOR + 3.00%, Rate Floor: 3.00%) due 04/16/25   EUR 4,125,000    4,965,776 
DaVita, Inc.          
1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 08/12/26   4,987,406    4,939,776 
IQVIA Holdings, Inc.          
2.00% (3 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 06/11/25   4,866,959    4,825,395 
Endo Luxembourg Finance Co.          
5.00% (3 Month USD LIBOR + 4.25%, Rate Floor: 5.00%) due 04/29/24   3,958,974    3,889,692 
Sigma Holding BV (Flora Food)          
3.50% (1 Month EURIBOR + 3.50% and 6 Month EURIBOR + 3.50%, Rate Floor: 3.50%) due 07/02/25   EUR 3,000,000    3,598,717 
Grifols Worldwide Operations USA, Inc.          
2.10% (1 Week USD LIBOR + 2.00%, Rate Floor: 2.00%) due 11/15/27   3,528,042    3,494,985 
Kronos Acquisition Holdings, Inc.          
5.25% (3 Month USD LIBOR + 4.50%, Rate Floor: 5.25%) due 12/22/26   3,100,000    3,096,125 
Energizer Holdings, Inc.          
due 12/16/27   2,850,000    2,844,670 
CTI Foods Holding Co. LLC          
8.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) (in-kind rate was 3.00%) due 05/03/24†††,3   1,924,067    1,808,623 
10.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) (in-kind rate was 6.00%) due 05/03/24†††,3   545,337    496,257 
Elanco Animal Health, Inc.          
1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 08/02/27   2,289,154    2,266,743 
BCPE Eagle Buyer LLC          
5.25% (1 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 03/18/24   2,079,774    2,021,707 
Arctic Glacier Group Holdings, Inc.          
4.50% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 03/20/24   2,272,564    2,016,901 
Cambrex Corp.          
5.50% (1 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 12/04/26   1,900,000    1,914,250 
Aramark Services, Inc.          
1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 03/11/25   1,900,000    1,871,975 

 

 

 

Floating Rate Strategies Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,7 - 83.6% (continued)
Consumer, Non-cyclical - 14.4% (continued)        
Valeant Pharmaceuticals International, Inc.        
3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 06/02/25   1,643,039   $1,635,859 
Southern Veterinary Partners LLC          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 10/05/27†††   878,788    874,394 
Total Consumer, Non-cyclical        103,004,295 
Consumer, Cyclical - 13.7%          
American Tire Distributors, Inc.          
8.50% (1 Month USD LIBOR + 7.50% and 3 Month USD LIBOR + 7.50%, Rate Floor: 8.50%) due 09/02/24   18,888,203    17,953,237 
7.00% (3 Month USD LIBOR + 6.00%, Rate Floor: 7.00%) due 09/01/23   2,017,146    1,948,563 
Power Solutions (Panther)          
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 04/30/26   7,878,348    7,837,302 
IBC Capital Ltd.          
3.99% (3 Month USD LIBOR + 3.75%, Rate Floor: 3.75%) due 09/11/23   7,201,393    7,093,372 
Zephyr Bidco Ltd.          
4.52% (1 Month GBP LIBOR + 4.50%, Rate Floor: 4.50%) due 07/23/25   GBP 5,265,000    7,047,193 
CHG Healthcare Services, Inc.          
4.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 06/07/23   7,007,046    6,955,615 
Navistar, Inc.          
3.66% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 11/06/24   6,938,815    6,923,202 
Intrawest Resorts Holdings, Inc.          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 07/31/24   6,725,282    6,621,578 
Whatabrands LLC          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 07/31/26   6,493,682    6,427,706 
Party City Holdings, Inc.          
3.25% (3 Month USD LIBOR + 2.50%, Rate Floor: 3.25%) due 08/19/22   5,458,917    5,037,706 
EG Finco Ltd.          
4.00% (3 Month EURIBOR + 4.00%, Rate Floor: 4.00%) due 02/07/25   EUR 3,358,734    4,014,886 
4.25% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 02/07/25   777,586    767,384 
Packers Sanitation Services, Inc.          
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 12/04/24   4,495,003    4,472,528 
Mavis Tire Express Services Corp.          
3.50% (3 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 03/20/25   4,243,032    4,160,293 
CNT Holdings I Corp.          
4.50% (6 Month USD LIBOR + 3.75%, Rate Floor: 4.50%) due 11/08/27   3,800,000    3,793,464 
Burlington Stores, Inc.          
1.91% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 11/17/24   2,000,000    1,965,000 
Alexander Mann          
5.34% (6 Month GBP LIBOR + 5.25%, Rate Floor: 5.25%) due 06/16/25   GBP 1,540,000    1,912,559 
Playtika Holding Corp.          
7.00% (3 Month USD LIBOR + 6.00%, Rate Floor: 7.00%) due 12/09/24   1,833,501    1,842,467 
Belk, Inc.          
7.75% (3 Month USD LIBOR + 6.75%, Rate Floor: 7.75%) due 07/31/25   2,908,288    1,014,789 
SHO Holding I Corp.          
6.25% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) (in-kind rate was 2.25%) due 04/29/24†††,3   567,571    488,111 
6.23% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) (in-kind rate was 2.23%) due 04/29/24†††,3   6,166    5,303 
Total Consumer, Cyclical        98,282,258 
Financial - 8.4%          
USI, Inc.          
3.25% (3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 05/16/24   8,051,064    7,928,607 
Aretec Group, Inc.          
4.40% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 10/01/25   7,693,000    7,510,291 
Alliant Holdings Intermediate LLC          
3.40% (1 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 05/09/25   7,319,575    7,197,558 

 

 

 

Floating Rate Strategies Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,7 - 83.6% (continued)
Financial - 8.4% (continued)        
AmWINS Group, Inc.        
3.75% (1 Month USD LIBOR + 2.75%, Rate Floor: 3.75%) due 01/25/24   6,927,703   $6,913,501 
HarbourVest Partners, LP          
2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 03/03/25   6,388,727    6,314,171 
NFP Corp.          
3.40% (1 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 02/15/27   5,104,787    4,990,848 
Jefferies Finance LLC          
3.19% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 06/03/26   4,629,500    4,590,149 
Virtu Financial, Inc.          
3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/01/26   4,320,000    4,308,293 
Ryan Specialty Group LLC          
4.00% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.00%) due 09/01/27   3,591,000    3,577,534 
Duff & Phelps          
4.75% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 04/09/27   2,593,484    2,593,898 
Focus Financial Partners LLC          
due 07/03/24   2,493,606    2,473,857 
Citadel Securities, LP          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 02/27/26   2,129,248    2,128,354 
Total Financial        60,527,061 
Technology - 7.7%          
EIG Investors Corp.          
4.75% (3 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 02/09/23   7,138,256    7,129,333 
Informatica LLC          
3.40% (1 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 02/25/27   7,146,672    7,079,708 
Cologix Holdings, Inc.          
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 03/20/24   5,052,512    4,997,490 
Seattle SpinCo, Inc.          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 06/21/24   4,906,479    4,832,882 
Misys Ltd.          
4.50% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 06/13/24   4,721,839    4,620,036 
WEX, Inc.          
2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 05/15/26   4,616,518    4,581,155 
Emerald TopCo, Inc. (Press Ganey)          
3.71% (3 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 07/24/26   4,488,636    4,426,918 
Aspect Software, Inc.          
6.00% (3 Month USD LIBOR + 5.00%, Rate Floor: 6.00%) due 01/15/24   4,456,471    4,285,654 
Boxer Parent Co., Inc.          
4.40% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 10/02/25   3,357,868    3,340,105 
Brave Parent Holdings, Inc.          
4.15% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 04/18/25   3,176,692    3,156,837 
Sabre GLBL, Inc.          
2.15% (1 Month USD LIBOR + 2.00%, Rate Floor: 2.00%) due 02/22/24   2,298,085    2,239,002 
EXC Holdings III Corp.          
4.50% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 12/02/24   1,964,250    1,943,783 
TIBCO Software, Inc.          
3.90% (1 Month USD LIBOR + 3.75%, Rate Floor: 3.75%) due 06/30/26   1,795,489    1,757,891 
Miami Escrow Borrower LLC          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 06/21/24   725,629    714,745 
Total Technology        55,105,539 
Basic Materials - 4.6%          
Messer Industries USA, Inc.          
2.75% (3 Month USD LIBOR + 2.50%, Rate Floor: 2.50%) due 03/02/26   7,208,815    7,146,675 
Arch Coal, Inc.          
3.75% (1 Month USD LIBOR + 2.75%, Rate Floor: 3.75%) due 03/07/24   6,612,692    6,017,550 
Alpha 3 BV          
4.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 01/31/24   4,942,688    4,921,088 
PQ Corp.          
2.46% (3 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 02/08/27   4,840,863    4,797,005 
GrafTech Finance, Inc.          
4.50% (1 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 02/12/25   4,181,486    4,172,788 

 

 

 

Floating Rate Strategies Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,7 - 83.6% (continued)
Basic Materials - 4.6% (continued)        
Illuminate Buyer LLC        
4.15% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 06/30/27   3,600,000   $3,598,488 
HB Fuller Co.          
2.15% (1 Month USD LIBOR + 2.00%, Rate Floor: 2.00%) due 10/21/24   2,461,603    2,442,230 
Total Basic Materials        33,095,824 
Energy - 0.9%          
Penn Virginia Holding Corp.          
8.00% (1 Month USD LIBOR + 7.00%, Rate Floor: 8.00%) due 09/29/22†††   10,890,000    6,316,200 
Permian Production Partners LLC          
9.00% (1 Month USD LIBOR + 6.00%, Rate Floor: 7.00%) (in-kind rate was 2.00%) due 11/23/25†††,3   2,644,400    396,660 
Total Energy        6,712,860 
Utilities - 0.6%          
Hamilton Projects Acquiror LLC          
5.75% (3 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 06/17/27   3,970,050    3,972,551 
Total Senior Floating Rate Interests          
(Cost $614,815,087)        599,415,777 
           
CORPORATE BONDS†† - 2.6%          
Consumer, Non-cyclical - 0.8%          
Nathan's Famous, Inc.          
6.63% due 11/01/254   4,275,000    4,387,219 
HCA, Inc.          
4.50% due 02/15/27   1,500,000    1,744,803 
Total Consumer, Non-cyclical        6,132,022 
Energy - 0.8%          
Sabine Pass Liquefaction LLC          
5.63% due 04/15/23   4,200,000    4,614,243 
American Midstream Partners Limited Partnership / American Midstream Finance Corp.          
9.50% due 12/15/214   1,268,000    1,258,490 
Total Energy        5,872,733 
Communications - 0.7%          
Ziggo BV          
5.50% due 01/15/274   4,550,000    4,749,062 
Industrial - 0.1%          
Grinding Media, Inc. / MC Grinding Media Canada, Inc.          
7.38% due 12/15/234   750,000    761,250 
Consumer, Cyclical - 0.1%          
LBC Tank Terminals Holding Netherlands BV          
6.88% due 05/15/234   630,000    630,000 
Financial - 0.1%          
Lincoln Financing SARL          
3.88% due 04/01/24   EUR 350,000    426,894 
Basic Materials - 0.0%          
Mirabela Nickel Ltd.          
 due 06/24/195,6   1,279,819    63,991 
Total Corporate Bonds          
(Cost $18,694,464)        18,635,952 
           
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 2.3%          
Residential Mortgage Backed Securities - 2.3%          
RALI Series Trust          
2006-QO6, 0.51% (1 Month USD LIBOR + 0.36%, Rate Floor: 0.36%) due 06/25/467   11,664,119    4,092,244 
2006-QO2, 0.59% (1 Month USD LIBOR + 0.44%, Rate Floor: 0.44%) due 02/25/467   468,867    146,104 
Washington Mutual Mortgage Pass-Through Certificates Trust          
2007-OA6, 1.42% (1 Year CMT Rate + 0.81%, Rate Floor: 0.81%) due 07/25/477   3,228,013    2,775,794 
American Home Mortgage Assets Trust          
2006-4, 0.36% (1 Month USD LIBOR + 0.21%, Rate Floor: 0.21%) due 10/25/467   2,993,874    1,989,544 
Washington Mutual Mortgage Pass-Through Certificates WMALT Series Trust          
2006-AR9, 1.45% (1 Year CMT Rate + 0.84%, Rate Floor: 0.84%) due 11/25/467   2,229,266    1,868,512 
Lehman XS Trust Series          
2006-16N, 0.34% (1 Month USD LIBOR + 0.19%, Rate Floor: 0.19%) due 11/25/467   1,738,381    1,586,011 
Wachovia Asset Securitization Issuance II LLC Trust          
2007-HE1, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 07/25/374,7   1,449,293    1,348,663 
Nomura Resecuritization Trust          
2015-4R, 1.71% (1 Month USD LIBOR + 0.43%, Rate Floor: 0.43%) due 03/26/364,7   1,266,706    1,259,384 

 

 

 

Floating Rate Strategies Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 2.3% (continued)
Residential Mortgage Backed Securities - 2.3% (continued)        
Alliance Bancorp Trust        
2007-OA1, 0.39% (1 Month USD LIBOR + 0.24%, Rate Floor: 0.24%) due 07/25/377   530,782   $477,897 
Morgan Stanley Re-REMIC Trust          
2010-R5, 1.57% due 06/26/364   449,689    404,555 
GSAA Home Equity Trust          
2007-7, 0.69% (1 Month USD LIBOR + 0.54%, Rate Floor: 0.54%) due 07/25/377   289,134    281,819 
New Century Home Equity Loan Trust          
2004-4, 0.94% (1 Month USD LIBOR + 0.80%, Rate Cap/Floor: 12.50%/0.80%) due 02/25/357   208,051    203,378 
Total Residential Mortgage Backed Securities        16,433,905 
Total Collateralized Mortgage Obligations          
(Cost $17,247,504)        16,433,905 
           
ASSET-BACKED SECURITIES†† - 1.6%          
Collateralized Loan Obligations - 1.6%          
Jamestown CLO V Ltd.          
2014-5A, 5.32% (3 Month USD LIBOR + 5.10%, Rate Floor: 0.00%) due 01/17/274,7   4,000,000    3,003,993 
Avery Point II CLO Ltd.          
2013-3X COM, due 01/18/258   3,930,722    2,745,769 
Treman Park CLO Ltd.          
2015-1A, due 10/20/284,8   3,000,000    2,404,257 
ACIS CLO Ltd.          
2015-6A, 3.58% (3 Month USD LIBOR + 3.37%, Rate Floor: 0.00%) due 05/01/274,7   1,000,000    996,710 
Newstar Commercial Loan Funding LLC          
2017-1A, 3.74% (3 Month USD LIBOR + 3.50%, Rate Floor: 0.00%) due 03/20/274,7   1,000,000    993,275 
Octagon Loan Funding Ltd.          
2014-1A, due 11/18/314,8   2,071,948    768,573 
Halcyon Loan Advisors Funding Ltd.          
2012-1A, 3.22% (3 Month USD LIBOR + 3.00%, Rate Floor: 0.00%) due 08/15/234,7   646,271    645,790 
OHA Credit Partners IX Ltd.          
2013-9A, due 10/20/254,8   1,808,219    23,199 
Total Collateralized Loan Obligations        11,581,566 
Transport-Aircraft - 0.0%          
Airplanes Pass Through Trust          
2001-1A, due 03/15/19†††,5,6   896,492    90 
Total Asset-Backed Securities          
(Cost $14,092,873)        11,581,656 
Total Investments - 103.0%          
(Cost $757,043,709)       $738,149,188 
Other Assets & Liabilities, net - (3.0)%        (21,203,831)
Total Net Assets - 100.0%       $716,945,357 

 

Forward Foreign Currency Exchange Contracts††
Counterparty  Contracts to Sell  Currency  Settlement Date  Settlement Value   Value at
December
31, 2020
   Unrealized
Depreciation
 
Bank of America, N.A.  6,632,000  GBP  01/15/21  $8,807,661   $9,070,440   $(262,779)
Goldman Sachs International  33,787,000  EUR  01/15/21   41,027,655    41,294,764    (267,109)
                      $(529,888)

 

~ The face amount is denominated in U.S. dollars unless otherwise indicated.
* Non-income producing security.
Value determined based on Level 1 inputs, unless otherwise noted — See Note 3.
†† Value determined based on Level 2 inputs, unless otherwise noted — See Note 3.
††† Value determined based on Level 3 inputs — See Note 3.
1 Affiliated issuer.
2 Rate indicated is the 7-day yield as of December 31, 2020.
3 Payment-in-kind security.

 

 

 

Floating Rate Strategies Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

4 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be liquid under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) securities is $23,634,420 (cost $25,031,887), or 3.3% of total net assets.
5 Security is in default of interest and/or principal obligations.
6 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be illiquid and restricted under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) illiquid and restricted securities is $64,081 (cost $1,883,995), or less than 0.1% of total net assets — See Note 6.
7 Variable rate security. Rate indicated is the rate effective at December 31, 2020. In some instances, the effective rate is limited by a minimum rate floor or a maximum rate cap established by the issuer. The settlement status of a position may also impact the effective rate indicated. In some cases, a position may be unsettled at period end and may not have a stated effective rate. In instances where multiple underlying reference rates and spread amounts are shown, the effective rate is based on a weighted average.
8 Security has no stated coupon. However, it is expected to receive residual cash flow payments on defined deal dates.

 

CMT — Constant Maturity Treasury

EURIBOR — European Interbank Offered Rate

EUR — Euro

GBP — British Pound

LIBOR — London Interbank Offered Rate

REMIC — Real Estate Mortgage Investment Conduit

SARL — Société à Responsabilité Limitée

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $40,093   $   $2,060,856   $2,100,949 
Preferred Stocks           315,644    315,644 
Exchange-Traded Funds   41,106,600            41,106,600 
Money Market Fund   48,558,705            48,558,705 
Senior Floating Rate Interests       573,596,808    25,818,969    599,415,777 
Corporate Bonds       18,635,952        18,635,952 
Collateralized Mortgage Obligations       16,433,905        16,433,905 
Asset-Backed Securities       11,581,566    90    11,581,656 
Total Assets  $89,705,398   $620,248,231   $28,195,559   $738,149,188 

 

Investments in Securities (Liabilities)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Forward Foreign Currency Exchange Contracts**  $   $529,888   $   $529,888 
Unfunded Loan Commitments (Note 5)           9,222    9,222 
Total Liabilities  $   $529,888   $9,222   $539,110 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

 

The following is summary of significant unobservable inputs used in the fair valuation of assets and liabilities categorized within the Level 3 of the fair value hierarchy:

 

Category  Ending Balance at December 31, 2020   Valuation Technique  Unobservable Inputs  Input Range  Weighted Average*
Assets:                 
Asset-Backed Securities  $90   Option Adjusted Spread off the prior month end broker quote  Broker Quote   
Common Stocks   1,573,724   Enterprise Value  Valuation Multiple  3.5x-19.2x  10.5x
Common Stocks   487,132   Option Adjusted Spread off the prior month end broker quote  Broker Quote   
Preferred Stocks   315,644   Yield Analysis  Yield  18.2% 
Senior Floating Rate Interests   14,165,231   Third Party Pricing  Broker Quote   
Senior Floating Rate Interests   6,133,959   Yield Analysis  Yield  5.2%  5.2%
Senior Floating Rate Interests   5,519,779   Enterprise Value  Valuation Multiple  9.4x-19.2x  15.1x
Total Assets  $28,195,559             
Liabilities:                 
Unfunded Loan Commitments  $9,222   Model Price  Purchase Price   

 

*Inputs are weighted by the fair value of the instruments.

 

Significant changes in a quote, yield or valuation multiple would generally result in significant changes in the fair value of the security.

 

The Fund’s fair valuation leveling guidelines classify a single daily broker quote, or a vendor price based on a single daily or monthly broker quote, as Level 3, if such a quote or price cannot be supported with other available market information.

 

Transfers between Level 2 and Level 3 may occur as markets fluctuate and/or the availability of data used in an investment’s valuation changes. For the period ended December 31, 2020, the Fund had securities with a total value of $493,414 transfer from Level 2 to Level 3 due to lack of observable inputs and had securities with a total market value of $6,314,171 transfer out of Level 3 to Level 2 due to the availability of current and reliable market-based data provided by a third-party pricing service which utilizes significant observable inputs.

 

 

 

Floating Rate Strategies Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Summary of Fair Value Level 3 Activity

Following is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value for the period ended December 31, 2020:

 

   Assets       Liabilities 
   Common
Stocks
   Senior
Floating
Rate
Interests
   Asset-
Backed
Securities
   Preferred
Stocks
   Total
Assets
   Unfunded
Loan
Commitments
 
Beginning Balance  $1,611,492   $50,579,979   $90   $313,772   $52,505,333   $(8,851)
Purchases/(Receipts)   474,312    4,905,852    -    -    5,380,164    (4,848)
(Sales, maturities and paydowns)/Fundings   -    (23,402,885)   -    -    (23,402,885)   1,636 
Amortization of premiums/discounts   -    32,292    -    -    32,292    3,636 
Total realized gains (losses) included in earnings   -    (6,906,471)   -    -    (6,906,471)   (1,636)
Total change in unrealized appreciation (depreciation) included in earnings   (24,948)   6,430,959    -    1,872    6,407,883    841 
Transfers into Level 3   -    493,414    -    -    493,414    - 
Transfers out of Level 3   -    (6,314,171)   -    -    (6,314,171)   - 
Ending Balance  $2,060,856   $25,818,969   $90   $315,644   $28,195,559   $(9,222)
Net change in unrealized appreciation (depreciation) for investments in Level 3 securities still held at December 31, 2020  $(24,948)  $(1,708,351)  $-   $1,872   $(1,731,427)  $841 

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments, result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

Transactions during the period ended December 31, 2020, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
09/30/20
   Additions   Reductions   Realized
Gain
(Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
   Value
12/31/20
   Shares
12/31/20
 
Common Stocks                    
 BP Holdco LLC*  $86,130   $   $   $   $   $86,130    244,278 
 Targus Group International, Inc.*   26,242                (48)   26,194    12,773 
   $112,372   $   $   $   $(48)  $112,324      

 

* Non-income producing security.

 

 

 

High Yield Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 0.9%
Consumer, Non-cyclical - 0.3%
Chef Holdings, Inc.*,†††   7,502   $634,547 
ATD New Holdings, Inc.*,††   21,488    501,380 
Targus Group International Equity, Inc.*,†††,1   12,825    26,300 
Cengage Learning Holdings II, Inc.*,††   2,107    16,329 
Spectrum Brands Holdings, Inc.   2    158 
Crimson Wine Group Ltd.*   8    43 
Save-A-Lot*,†††   17,185     
Total Consumer, Non-cyclical        1,178,757 
Utilities - 0.2%          
TexGen Power LLC††   26,665    902,157 
Energy - 0.2%          
Unit Corp.*,†††   80,851    768,085 
Summit Midstream Partners, LP*   1,760    21,982 
Legacy Reserves, Inc.*,†††   3,452    3,452 
Permian Production Partners LLC*,†††   57,028     
Total Energy        793,519 
Consumer, Cyclical - 0.2%          
Metro-Goldwyn-Mayer, Inc.*,††   7,040    604,264 
Industrial - 0.0%          
BP Holdco LLC*,†††,1   23,711    8,360 
Vector Phoenix Holdings, LP*,†††   23,711    2,302 
Total Industrial        10,662 
Financial - 0.0%          
Jefferies Financial Group, Inc.   81    1,993 
Total Common Stocks          
(Cost $4,046,567)        3,491,352 
           
PREFERRED STOCKS†† - 1.3%          
Financial - 1.3%          
Bank of America Corp., 4.38%*   57,000    1,513,350 
American Equity Investment Life Holding Co., 5.95%   54,000    1,405,080 
First Republic Bank, 4.13%   53,000    1,401,320 
Assurant, Inc., 5.25% due 01/15/61*   30,000    820,800 
Total Financial        5,140,550 
Industrial - 0.0%          
U.S. Shipping Corp.*,†††   14,718     
Total Preferred Stocks          
(Cost $5,225,000)        5,140,550 
           
WARRANTS†† - 0.0%          
SandRidge Energy, Inc.          
$41.34, 10/04/22*   488    5 
SandRidge Energy, Inc.          
$42.03, 10/04/22*   205    3 
Total Warrants          
(Cost $43,811)        8 
           
MONEY MARKET FUND - 1.2%          
Dreyfus Treasury Securities Cash Management Fund — Institutional Shares, 0.01%2   4,723,336    4,723,336 
Total Money Market Fund          
(Cost $4,723,336)        4,723,336 
           
    Face
Amount~
      
CORPORATE BONDS†† - 88.3%          
Consumer, Non-cyclical - 15.4%          
Kraft Heinz Foods Co.          
5.00% due 06/04/42  $3,500,000    4,106,457 
4.88% due 10/01/493   1,750,000    2,041,591 
4.38% due 06/01/464   1,200,000    1,298,334 
5.20% due 07/15/45   325,000    386,443 
5.50% due 06/01/503   275,000    346,432 
DaVita, Inc.          
3.75% due 02/15/313,4   3,075,000    3,122,232 
4.63% due 06/01/303   850,000    902,062 
Vector Group Ltd.          
6.13% due 02/01/253   3,565,000    3,624,785 
Sabre GLBL, Inc.          
9.25% due 04/15/253   1,500,000    1,785,000 
7.38% due 09/01/253   1,550,000    1,681,750 
Nielsen Finance LLC / Nielsen Finance Co.          
5.88% due 10/01/303   2,500,000    2,828,125 
5.00% due 04/15/223   617,000    618,623 
Prime Security Services Borrower LLC / Prime Finance, Inc.          
5.75% due 04/15/263   1,600,000    1,752,000 
3.38% due 08/31/273   1,700,000    1,687,250 
US Foods, Inc.          
6.25% due 04/15/253   2,748,000    2,936,925 
AMN Healthcare, Inc.          
4.63% due 10/01/273   1,800,000    1,885,626 
4.00% due 04/15/293   1,000,000    1,022,500 
Centene Corp.          
3.00% due 10/15/30   1,700,000    1,801,830 
4.25% due 12/15/27   1,000,000    1,060,000 
Kronos Acquisition Holdings, Inc. / KIK Custom Products, Inc.          
7.00% due 12/31/273   2,225,000    2,329,620 
5.00% due 12/31/263   350,000    365,124 
FAGE International S.A. / FAGE USA Dairy Industry, Inc.          
5.63% due 08/15/263   2,540,000    2,603,500 
Tenet Healthcare Corp.          
7.50% due 04/01/253   1,700,000    1,857,250 
5.13% due 11/01/273   400,000    423,500 
Cheplapharm Arzneimittel GmbH          
5.50% due 01/15/283   2,150,000    2,246,750 
KeHE Distributors LLC / KeHE Finance Corp.          
8.63% due 10/15/263   1,750,000    1,964,375 
Carriage Services, Inc.          
6.63% due 06/01/263   1,670,000    1,784,812 
Molina Healthcare, Inc.          
5.38% due 11/15/22   900,000    952,875 
3.88% due 11/15/303   750,000    804,375 
Par Pharmaceutical, Inc.          
7.50% due 04/01/273   1,510,000    1,638,350 
Nathan's Famous, Inc.          
6.63% due 11/01/253   1,500,000    1,539,375 
Central Garden & Pet Co.          
4.13% due 10/15/30   1,125,000    1,172,812 

 

 

 

High Yield Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 88.3% (continued)
Consumer, Non-cyclical - 15.4% (continued)        
Syneos Health, Inc.        
3.63% due 01/15/293   1,125,000   $1,128,111 
Bausch Health Companies, Inc.          
7.00% due 03/15/243   1,075,000    1,105,906 
Sotheby's          
7.38% due 10/15/273   975,000    1,044,469 
WEX, Inc.          
4.75% due 02/01/233   750,000    750,937 
Endo Dac / Endo Finance LLC / Endo Finco, Inc.          
9.50% due 07/31/273   271,000    302,504 
6.00% due 06/30/283   342,000    290,700 
Gartner, Inc.          
4.50% due 07/01/283   550,000    580,250 
Lamb Weston Holdings, Inc.          
4.88% due 05/15/283   325,000    362,781 
TreeHouse Foods, Inc.          
4.00% due 09/01/28   325,000    336,172 
Acadia Healthcare Company, Inc.          
5.00% due 04/15/293   150,000    160,125 
Total Consumer, Non-cyclical        60,632,638 
Communications - 14.9%          
CCO Holdings LLC / CCO Holdings Capital Corp.          
4.50% due 05/01/323   5,750,000    6,139,390 
4.25% due 02/01/313   700,000    737,702 
CSC Holdings LLC          
6.50% due 02/01/293   1,825,000    2,060,516 
4.13% due 12/01/303   1,700,000    1,777,520 
4.63% due 12/01/303   1,425,000    1,487,344 
3.38% due 02/15/313   1,250,000    1,226,563 
Altice France S.A.          
7.38% due 05/01/263   2,700,000    2,841,750 
5.13% due 01/15/293   1,450,000    1,500,750 
8.13% due 02/01/273   1,350,000    1,488,388 
Level 3 Financing, Inc.          
3.63% due 01/15/293,4   2,700,000    2,693,250 
4.25% due 07/01/283   2,525,000    2,594,438 
EIG Investors Corp.          
10.88% due 02/01/24   4,644,000    4,804,218 
Virgin Media Secured Finance plc          
4.50% due 08/15/303   3,075,000    3,213,375 
5.50% due 05/15/293   900,000    975,375 
Cengage Learning, Inc.          
9.50% due 06/15/243   3,564,000    3,332,340 
Sirius XM Radio, Inc.          
4.13% due 07/01/303   1,650,000    1,756,219 
5.50% due 07/01/293   1,050,000    1,155,328 
Vmed O2 UK Financing I plc          
4.25% due 01/31/313   2,300,000    2,346,000 
McGraw-Hill Global Education Holdings LLC / McGraw-Hill Global Education Finance          
7.88% due 05/15/243   2,349,000    2,137,590 
Virgin Media Finance plc          
5.00% due 07/15/303   1,950,000    2,023,125 
LCPR Senior Secured Financing DAC          
6.75% due 10/15/273   1,600,000    1,722,000 
Telenet Finance Lux Note          
5.50% due 03/01/28   1,600,000    1,706,400 
Lamar Media Corp.          
4.88% due 01/15/29   900,000    956,250 
3.75% due 02/15/28   575,000    590,927 
Houghton Mifflin Harcourt Publishers, Inc.          
9.00% due 02/15/253   1,500,000    1,526,250 
QualityTech Limited Partnership / QTS Finance Corp.          
3.88% due 10/01/283   1,450,000    1,479,000 
T-Mobile USA, Inc.          
3.30% due 02/15/513,4   1,200,000    1,234,596 
Radiate Holdco LLC / Radiate Finance, Inc.          
4.50% due 09/15/263   950,000    979,687 
Match Group Holdings II LLC          
4.63% due 06/01/283   900,000    943,313 
Zayo Group Holdings, Inc.          
4.00% due 03/01/273   900,000    902,250 
TripAdvisor, Inc.          
7.00% due 07/15/253   275,000    297,000 
Total Communications        58,628,854 
Consumer, Cyclical - 13.8%          
LBC Tank Terminals Holding Netherlands BV          
6.88% due 05/15/233   4,590,000    4,590,000 
Suburban Propane Partners Limited Partnership/Suburban Energy Finance Corp.          
5.75% due 03/01/25   1,950,000    1,989,000 
5.88% due 03/01/27   1,460,000    1,525,700 
1011778 BC ULC / New Red Finance, Inc.          
4.00% due 10/15/303   2,175,000    2,204,210 
3.50% due 02/15/293   1,275,000    1,273,406 
JB Poindexter & Company, Inc.          
7.13% due 04/15/263   2,975,000    3,146,062 
Hilton Domestic Operating Company, Inc.          
4.00% due 05/01/313   2,250,000    2,373,998 
5.75% due 05/01/283   600,000    652,500 
Live Nation Entertainment, Inc.          
6.50% due 05/15/273   1,650,000    1,845,558 
3.75% due 01/15/283   925,000    934,620 
Clarios Global, LP          
6.75% due 05/15/253   2,300,000    2,478,250 
Boyd Gaming Corp.          
8.63% due 06/01/253   2,025,000    2,252,185 
Aramark Services, Inc.          
6.38% due 05/01/253   2,075,000    2,217,656 
Boyne USA, Inc.          
7.25% due 05/01/253   2,107,000    2,209,716 
Wolverine World Wide, Inc.          
6.38% due 05/15/253   1,950,000    2,076,750 

 

 

 

High Yield Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 88.3% (continued)
Consumer, Cyclical - 13.8% (continued)        
Hanesbrands, Inc.        
5.38% due 05/15/253   1,900,000   $2,010,238 
Titan International, Inc.          
6.50% due 11/30/23   1,985,000    1,836,125 
Delta Air Lines, Inc.          
7.00% due 05/01/253,4   1,575,000    1,818,420 
Superior Plus Limited Partnership / Superior General Partner, Inc.          
7.00% due 07/15/263   1,500,000    1,603,125 
Cedar Fair, LP / Canada's Wonderland Co. / Magnum Management Corp. / Millennium Operations LLC          
5.50% due 05/01/253   1,500,000    1,563,750 
Williams Scotsman International, Inc.          
4.63% due 08/15/283   1,500,000    1,552,500 
Wabash National Corp.          
5.50% due 10/01/253   1,435,000    1,463,700 
Allison Transmission, Inc.          
3.75% due 01/30/313   1,150,000    1,176,594 
4.75% due 10/01/273   200,000    210,500 
Performance Food Group, Inc.          
6.88% due 05/01/253   1,100,000    1,177,000 
CD&R Smokey Buyer, Inc.          
6.75% due 07/15/253   950,000    1,015,313 
Picasso Finance Sub, Inc.          
6.13% due 06/15/253   875,000    936,250 
Yum! Brands, Inc.          
3.63% due 03/15/31   925,000    935,018 
Vail Resorts, Inc.          
6.25% due 05/15/253   800,000    854,000 
Six Flags Theme Parks, Inc.          
7.00% due 07/01/253   675,000    729,000 
Powdr Corp.          
6.00% due 08/01/253   675,000    710,438 
WMG Acquisition Corp.          
3.00% due 02/15/313   700,000    686,000 
Mileage Plus Holdings LLC / Mileage Plus Intellectual Property Assets Ltd.          
6.50% due 06/20/273   600,000    645,000 
Burlington Coat Factory Warehouse Corp.          
6.25% due 04/15/253   600,000    637,500 
Clarios Global Limited Partnership / Clarios US Finance Co.          
8.50% due 05/15/273   575,000    624,685 
Wyndham Hotels & Resorts, Inc.          
4.38% due 08/15/283   425,000    441,596 
Total Consumer, Cyclical        54,396,363 
Financial - 13.7%          
Iron Mountain, Inc.          
5.63% due 07/15/323   4,000,000    4,410,000 
5.25% due 07/15/303   700,000    756,000 
4.88% due 09/15/293   530,000    559,150 
Hunt Companies, Inc.          
6.25% due 02/15/263   4,715,000    4,832,875 
NFP Corp.          
6.88% due 08/15/283   4,050,000    4,324,104 
Fidelity & Guaranty Life Holdings, Inc.          
5.50% due 05/01/253   3,400,000    3,967,800 
OneMain Finance Corp.          
4.00% due 09/15/30   1,300,000    1,348,893 
7.13% due 03/15/26   1,050,000    1,241,625 
6.63% due 01/15/28   450,000    534,375 
8.88% due 06/01/25   425,000    480,781 
Quicken Loans LLC / Quicken Loans Company-Issuer, Inc.          
3.88% due 03/01/313   3,200,000    3,320,000 
Newmark Group, Inc.          
6.13% due 11/15/23   2,900,000    3,150,730 
United Shore Financial Services LLC          
5.50% due 11/15/253   2,850,000    3,006,750 
Jefferies Finance LLC / JFIN Company-Issuer Corp.          
6.25% due 06/03/263   2,650,000    2,743,584 
AmWINS Group, Inc.          
7.75% due 07/01/263   1,825,000    1,959,868 
Cushman & Wakefield US Borrower LLC          
6.75% due 05/15/285   1,650,000    1,819,125 
American Equity Investment Life Holding Co.          
5.00% due 06/15/274   1,322,000    1,493,147 
SLM Corp.          
4.20% due 10/29/25   1,400,000    1,478,750 
Greystar Real Estate Partners LLC          
5.75% due 12/01/253   1,400,000    1,426,600 
Charles Schwab Corp.          
4.00%6,7   1,325,000    1,394,563 
Bank of New York Mellon Corp.          
3.70%6,7   1,175,000    1,215,713 
USI, Inc.          
6.88% due 05/01/253   1,150,000    1,178,750 
CIT Group, Inc.          
3.93% due 06/19/247   1,100,000    1,163,250 
CNO Financial Group, Inc.          
5.25% due 05/30/294   900,000    1,086,521 
Assurant, Inc.          
7.00% due 03/27/487   950,000    1,068,750 
Goldman Sachs Group, Inc.          
5.30%6,7   950,000    1,037,609 
HUB International Ltd.          
7.00% due 05/01/263   850,000    888,922 
Wilton Re Finance LLC          
5.88% due 03/30/333,4,7   650,000    681,394 
Alliant Holdings Intermediate LLC / Alliant Holdings Company-Issuer          
4.25% due 10/15/273   425,000    434,562 

 

 

 

High Yield Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 88.3% (continued)
Financial - 13.7% (continued)        
Quicken Loans LLC        
5.25% due 01/15/283   400,000   $427,000 
LPL Holdings, Inc.          
4.63% due 11/15/273   400,000    414,000 
Total Financial        53,845,191 
Industrial - 13.3%          
Great Lakes Dredge & Dock Corp.          
8.00% due 05/15/22   4,400,000    4,512,552 
Grinding Media Inc. / MC Grinding Media Canada Inc.          
7.38% due 12/15/233   3,900,000    3,958,500 
New Enterprise Stone & Lime Company, Inc.          
6.25% due 03/15/263   1,925,000    1,973,125 
9.75% due 07/15/283   1,700,000    1,861,500 
TransDigm, Inc.          
6.25% due 03/15/263   2,350,000    2,502,750 
8.00% due 12/15/253,4   950,000    1,050,035 
Cleaver-Brooks, Inc.          
7.88% due 03/01/233   3,325,000    3,283,437 
Howmet Aerospace, Inc.          
5.95% due 02/01/374   2,700,000    3,253,500 
Harsco Corp.          
5.75% due 07/31/273   2,925,000    3,093,188 
Standard Industries, Inc.          
3.38% due 01/15/313   1,625,000    1,633,125 
4.38% due 07/15/303,4   850,000    909,270 
5.00% due 02/15/273   525,000    548,625 
PowerTeam Services LLC          
9.03% due 12/04/253   2,750,000    3,059,678 
Masonite International Corp.          
5.38% due 02/01/283   1,375,000    1,476,406 
5.75% due 09/15/263   1,400,000    1,463,000 
Signature Aviation US Holdings, Inc.          
4.00% due 03/01/283   2,400,000    2,415,960 
Trinity Industries, Inc.          
4.55% due 10/01/24   1,915,000    1,998,934 
GrafTech Finance, Inc.          
4.63% due 12/15/283   1,975,000    1,997,219 
Amsted Industries, Inc.          
4.63% due 05/15/303   1,600,000    1,676,000 
EnerSys          
4.38% due 12/15/273   1,250,000    1,321,875 
EnPro Industries, Inc.          
5.75% due 10/15/26   1,200,000    1,275,000 
Summit Materials LLC / Summit Materials Finance Corp.          
5.25% due 01/15/293   625,000    656,250 
6.50% due 03/15/273   525,000    557,813 
Ardagh Packaging Finance plc / Ardagh Holdings USA, Inc.          
4.13% due 08/15/263   1,100,000    1,149,500 
JELD-WEN, Inc.          
6.25% due 05/15/253   1,050,000    1,134,000 
Hillenbrand, Inc.          
5.75% due 06/15/254   825,000    891,000 
American Woodmark Corp.          
4.88% due 03/15/263   850,000    871,250 
Moog, Inc.          
4.25% due 12/15/273   625,000    648,438 
Vertical US Newco, Inc.          
5.25% due 07/15/273   550,000    583,000 
Ball Corp.          
2.88% due 08/15/30   400,000    399,000 
Total Industrial        52,153,930 
Basic Materials - 6.3%          
Carpenter Technology Corp.          
6.38% due 07/15/28   3,200,000    3,531,340 
4.45% due 03/01/23   600,000    628,331 
Alcoa Nederland Holding BV          
6.75% due 09/30/243   2,200,000    2,291,410 
6.13% due 05/15/283   650,000    710,125 
7.00% due 09/30/263   600,000    639,000 
United States Steel Corp.          
12.00% due 06/01/253   1,925,000    2,223,375 
6.88% due 08/15/25   850,000    811,750 
Kaiser Aluminum Corp.          
4.63% due 03/01/283   1,790,000    1,857,125 
6.50% due 05/01/253   700,000    749,000 
Valvoline, Inc.          
3.63% due 06/15/313   2,100,000    2,155,125 
4.25% due 02/15/303   375,000    397,500 
Minerals Technologies, Inc.          
5.00% due 07/01/283   1,950,000    2,040,480 
Ingevity Corp.          
3.88% due 11/01/283   1,000,000    1,007,500 
4.50% due 02/01/263   750,000    764,063 
Arconic Corp.          
6.00% due 05/15/253   1,175,000    1,254,312 
WR Grace & Company-Conn          
4.88% due 06/15/273   1,025,000    1,087,033 
Novelis Corp.          
5.88% due 09/30/263   1,000,000    1,045,000 
HB Fuller Co.          
4.25% due 10/15/28   425,000    435,625 
Clearwater Paper Corp.          
4.75% due 08/15/283   400,000    414,000 
Yamana Gold, Inc.          
4.63% due 12/15/274   256,000    279,902 
Compass Minerals International, Inc.          
6.75% due 12/01/273   250,000    270,625 
Mirabela Nickel Ltd.          
 due 06/24/195,8   278,115    13,906 
Total Basic Materials        24,606,527 
Energy - 6.1%          
Indigo Natural Resources LLC          
6.88% due 02/15/263   3,550,000    3,629,875 
NuStar Logistics, LP          
5.63% due 04/28/27   1,510,000    1,608,150 
6.38% due 10/01/30   1,125,000    1,274,400 
6.00% due 06/01/26   525,000    567,793 

 

 

 

High Yield Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 88.3% (continued)
Energy - 6.1% (continued)        
American Midstream Partners Limited Partnership / American Midstream Finance Corp.        
9.50% due 12/15/213   3,440,000   $3,414,200 
PDC Energy, Inc.          
6.13% due 09/15/24   2,750,000    2,825,927 
Exterran Energy Solutions Limited Partnership / EES Finance Corp.          
8.13% due 05/01/25   3,092,000    2,581,820 
Global Partners Limited Partnership / GLP Finance Corp.          
7.00% due 08/01/27   1,500,000    1,605,000 
6.88% due 01/15/293   625,000    676,562 
CVR Energy, Inc.          
5.75% due 02/15/283   1,375,000    1,302,813 
Crestwood Midstream Partners Limited Partnership / Crestwood Midstream Finance Corp.          
5.63% due 05/01/273   1,250,000    1,237,500 
Parkland Corp.          
6.00% due 04/01/263   1,075,000    1,128,750 
Range Resources Corp.          
5.00% due 03/15/23   905,000    882,375 
Rattler Midstream, LP          
5.63% due 07/15/253   575,000    607,344 
TransMontaigne Partners Limited Partnership / TLP Finance Corp.          
6.13% due 02/15/26   425,000    427,125 
Basic Energy Services, Inc.          
10.75% due 10/15/235   1,225,000    220,500 
SandRidge Energy, Inc.          
7.50% due 03/15/21†††   250,000     
Total Energy        23,990,134 
Technology - 3.3%          
NCR Corp.          
8.13% due 04/15/253   2,950,000    3,285,238 
5.25% due 10/01/303   2,200,000    2,359,500 
6.13% due 09/01/293   1,200,000    1,329,000 
Boxer Parent Company, Inc.          
7.13% due 10/02/253   2,025,000    2,198,031 
Qorvo, Inc.          
3.38% due 04/01/313   900,000    929,250 
Open Text Holdings, Inc.          
4.13% due 02/15/303   750,000    797,850 
BY Crown Parent LLC / BY Bond Finance, Inc.          
4.25% due 01/31/263   700,000    717,500 
Presidio Holdings, Inc.          
4.88% due 02/01/273   650,000    689,507 
CDK Global, Inc.          
5.25% due 05/15/293   500,000    553,960 
PTC, Inc.          
4.00% due 02/15/283   250,000    262,031 
Total Technology        13,121,867 
Utilities - 1.5%          
Terraform Global Operating LLC          
6.13% due 03/01/263   4,280,000    4,376,300 
Clearway Energy Operating LLC          
5.75% due 10/15/25   1,200,000    1,263,000 
AmeriGas Partners Limited Partnership / AmeriGas Finance Corp.          
5.75% due 05/20/27   375,000    426,634 
Bruce Mansfield          
 due 08/01/23†††,5,8   1,008,000    504 
Total Utilities        6,066,438 
Total Corporate Bonds          
(Cost $334,064,900)        347,441,942 
           
SENIOR FLOATING RATE INTERESTS††,11 - 9.3%          
Consumer, Cyclical - 2.6%          
American Tire Distributors, Inc.          
8.50% (1 Month USD LIBOR + 7.50% and 3 Month USD LIBOR + 7.50%, Rate Floor: 8.50%) due 09/02/24   1,313,429    1,248,414 
7.00% (3 Month USD LIBOR + 6.00%, Rate Floor: 7.00%) due 09/01/23   330,924    319,672 
Alexander Mann          
5.34% (6 Month GBP LIBOR + 5.25%, Rate Floor: 5.25%) due 06/16/25   GBP 1,100,000    1,366,113 
BBB Industries LLC          
4.65% (1 Month USD LIBOR + 4.50%, Rate Floor: 4.50%) due 08/01/25   1,241,596    1,198,141 
Playtika Holding Corp.          
7.00% (3 Month USD LIBOR + 6.00%, Rate Floor: 7.00%) due 12/09/24   855,000    859,181 
NES Global Talent          
6.50% (3 Month USD LIBOR + 5.50%, Rate Floor: 6.50%) due 05/11/23†††   877,728    794,344 
ScribeAmerica Intermediate Holdco LLC (Healthchannels)          
4.65% (1 Month USD LIBOR + 4.50%, Rate Floor: 4.50%) due 04/03/25   785,517    748,205 
PT Intermediate Holdings III LLC          
6.50% (3 Month USD LIBOR + 5.50%, Rate Floor: 6.50%) due 10/15/25   742,500    690,525 
Wabash National Corporation          
4.00% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.00%) due 09/28/27   637,500    633,516 
Accuride Corp.          
6.25% (3 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 11/17/23   645,208    579,074 
EnTrans International LLC          
6.15% (1 Month USD LIBOR + 6.00%, Rate Floor: 6.00%) due 11/01/24   532,500    508,537 

 

 

 

High Yield Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,11 - 9.3% (continued)
Consumer, Cyclical - 2.6% (continued)        
Sotheby's        
6.50% (1 Month USD LIBOR + 5.50%, Rate Floor: 6.50%) due 01/15/27   418,351   $419,397 
Blue Nile, Inc.          
7.50% (3 Month USD LIBOR + 6.50%, Rate Floor: 7.50%) due 02/17/23   430,369    307,714 
Apro LLC          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 11/14/26   209,471    209,209 
Belk, Inc.          
7.75% (3 Month USD LIBOR + 6.75%, Rate Floor: 7.75%) due 07/31/25   353,825    123,460 
Total Consumer, Cyclical        10,005,502 
Industrial - 2.4%          
Bhi Investments LLC          
5.50% (3 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 08/28/24   1,851,294    1,830,467 
9.75% (3 Month USD LIBOR + 8.75%, Rate Floor: 9.75%) due 02/28/25†††   1,500,000    1,470,000 
Diversitech Holdings, Inc.          
8.50% (3 Month USD LIBOR + 7.50%, Rate Floor: 8.50%) due 06/02/25†††   1,783,737    1,761,440 
American Residential Services LLC          
4.25% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.25%) due 10/15/27   1,175,000    1,172,062 
JetBlue Airways Corp.          
6.25% (3 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 06/17/24   1,072,500    1,100,825 
SkyMiles IP Ltd.          
4.75% (3 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 10/20/27   805,565    834,034 
YAK MAT (YAK ACCESS LLC)          
10.24% (3 Month USD LIBOR + 10.00%, Rate Floor: 10.00%) due 07/10/26   950,000    665,000 
Avison Young (Canada), Inc.          
5.23% (3 Month USD LIBOR + 5.00%, Rate Floor: 5.00%) due 01/31/26   539,000    510,255 
Total Industrial        9,344,083 
Communications - 2.2%          
Cengage Learning Acquisitions, Inc.          
5.25% (3 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 06/07/23   2,364,996    2,263,135 
Resource Label Group LLC          
5.50% (3 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 05/26/23   1,219,389    1,134,032 
9.50% (3 Month USD LIBOR + 8.50%, Rate Floor: 9.50%) due 11/26/23†††   1,009,662    888,503 
McGraw-Hill Global Education Holdings LLC          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 05/04/22   1,811,227    1,761,618 
Market Track LLC          
5.25% (3 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 06/05/24   1,628,081    1,505,975 
GTT Communications, Inc.          
3.00% (3 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 05/31/25   1,413,750    1,100,491 
GTT Communications BV          
due 12/31/21   167,352    153,127 
Total Communications        8,806,881 
Consumer, Non-cyclical - 1.6%          
Endo Luxembourg Finance Co.          
5.00% (3 Month USD LIBOR + 4.25%, Rate Floor: 5.00%) due 04/29/24   1,580,299    1,552,644 
HAH Group Holding Co LLC          
6.00% (3 Month USD LIBOR + 5.00%, Rate Floor: 6.00%) due 10/29/27   1,180,000    1,169,675 
Quirch Foods Holdings LLC          
6.25% (3 Month USD LIBOR + 5.25% and 6 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 10/27/27   975,000    967,687 
CTI Foods Holding Co. LLC          
8.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) (in-kind rate was 3.00%) due 05/03/24†††,9   600,843    564,792 
10.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) (in-kind rate was 6.00%) due 05/03/24†††,9   321,623    292,677 
Springs Window Fashions          
8.65% (1 Month USD LIBOR + 8.50%, Rate Floor: 8.50%) due 06/15/26   689,936    656,736 
Moran Foods LLC          
11.75% (3 Month USD LIBOR + 0.00%, Rate Floor: 1.00%) (in-kind rate was 10.75%) due 10/01/24†††,9   356,565    310,212 
8.00% (3 Month USD LIBOR + 0.00%, Rate Floor: 1.00%) (in-kind rate was 7.00%) due 04/01/249   293,476    292,375 

 

 

 

High Yield Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,11 - 9.3% (continued)
Consumer, Non-cyclical - 1.6% (continued)        
Kronos Acquisition Holdings, Inc.        
5.25% (3 Month USD LIBOR + 4.50%, Rate Floor: 5.25%) due 12/22/26   500,000   $499,375 
Total Consumer, Non-cyclical        6,306,173 
Financial - 0.2%          
Jefferies Finance LLC          
4.50% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.50%) due 09/30/27   773,063    771,130 
Utilities - 0.2%          
RS Ivy Holdco, Inc.          
6.50% (3 Month USD LIBOR + 5.50%, Rate Floor: 6.50%) due 12/23/27   750,000    742,500 
Technology - 0.1%          
Planview Parent, Inc.          
4.75% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.75%) due 12/10/27   430,000    428,925 
Energy - 0.0%          
Permian Production Partners LLC          
9.00% (1 Month USD LIBOR + 6.00%, Rate Floor: 7.00%) (in-kind rate was 2.00%) due 11/23/25†††,9   375,625    56,344 
Total Senior Floating Rate Interests          
(Cost $37,873,446)        36,461,538 
           
U.S. TREASURY BILLS†† - 0.7%          
U.S. Treasury Bills          
0.10% due 03/04/2110   2,920,000    2,919,665 
Total U.S. Treasury Bills          
(Cost $2,919,497)        2,919,665 
           
ASSET-BACKED SECURITIES†† - 0.5%          
Collateralized Loan Obligations - 0.5%          
Barings Middle Market CLO Ltd.          
2019-IA, 1.99% (3 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 10/15/313,11   1,500,000    1,485,803 
WhiteHorse X Ltd.          
2015-10A, 5.52% (3 Month USD LIBOR + 5.30%, Rate Floor: 5.30%) due 04/17/273,11   750,000    557,345 
Total Collateralized Loan Obligations        2,043,148 
Total Asset-Backed Securities          
(Cost $2,140,653)        2,043,148 
Total Investments - 102.2%          
(Cost $391,037,210)       $402,221,539 
Other Assets & Liabilities, net - (2.2)%        (8,611,645)
Total Net Assets - 100.0%       $393,609,894 

 

Centrally Cleared Credit Default Swap Agreements Protection Sold††        
Counterparty  Exchange  Index  Protection
Premium
Rate
  Payment
Frequency
  Maturity
Date
  Notional
Amount
   Value   Upfront
Premiums
Paid
   Unrealized
Appreciation**
 
BofA Securities, Inc.  ICE  CDX.NA.HY.35.V1  5.00%  Quarterly  12/20/25  $24,700,000   $2,303,790   $926,835   $1,376,955 

 

Forward Foreign Currency Exchange Contracts††
Counterparty  Contracts to Sell  Currency  Settlement Date  Settlement Value   Value at
December
31, 2020
   Unrealized
Depreciation
 
Bank of America, N.A.  1,017,000  GBP  01/15/21  $1,350,632   $1,390,928   $(40,296)

 

~ The face amount is denominated in U.S. dollars unless otherwise indicated.
* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs, unless otherwise noted — See Note 3.
†† Value determined based on Level 2 inputs, unless otherwise noted — See Note 3.
††† Value determined based on Level 3 inputs — See Note 3.
1 Affiliated issuer.
2 Rate indicated is the 7-day yield as of December 31, 2020.

 

 

 

High Yield Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

3 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be liquid under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) securities is $273,798,629 (cost $261,752,321), or 69.6% of total net assets.
4 All or a portion of this security has been physically segregated or earmarked in connection with reverse repurchase agreements. At December 31, 2020, the total market value of segregated or earmarked security was $19,811,601 — See Note 2.
5 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be illiquid and restricted under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) illiquid and restricted securities is $2,054,035 (cost $4,131,612), or 0.5% of total net assets — See Note 6.
6 Perpetual maturity.
7 Security has a fixed rate coupon which will convert to a floating or variable rate coupon on a future date.
8 Security is in default of interest and/or principal obligations.
9 Payment-in-kind security.
10 Rate indicated is the effective yield at the time of purchase.
11 Variable rate security. Rate indicated is the rate effective at December 31, 2020. In some instances, the effective rate is limited by a minimum rate floor or a maximum rate cap established by the issuer. The settlement status of a position may also impact the effective rate indicated. In some cases, a position may be unsettled at period end and may not have a stated effective rate. In instances where multiple underlying reference rates and spread amounts are shown, the effective rate is based on a weighted average.

 

BofA — Bank of America

CDX.NA.HY.35.V1 — Credit Default Swap North American High Yield Series 35 Index Version 1

GBP — British Pound

ICE — Intercontinental Exchange

LIBOR — London Interbank Offered Rate

plc — Public Limited Company

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $24,176   $2,024,130   $1,443,046   $3,491,352 
Preferred Stocks       5,140,550    *   5,140,550 
Warrants       8        8 
Money Market Fund   4,723,336            4,723,336 
Corporate Bonds       347,441,438    504    347,441,942 
Senior Floating Rate Interests       30,323,226    6,138,312    36,461,538 
U.S. Treasury Bills       2,919,665        2,919,665 
Asset-Backed Securities       2,043,148        2,043,148 
Credit Default Swap Agreements**       1,376,955        1,376,955 
Total Assets  $4,747,512   $391,269,120   $7,581,862   $403,598,494 

 

Investments in Securities (Liabilities)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Forward Foreign Currency Exchange Contracts**  $   $40,296   $   $40,296 
Unfunded Loan Commitments (Note 5)           6,653    6,653 
Total Liabilities       $40,296   $6,653   $46,949 

 

* Security has a market value of $0.
** This derivative is reported as unrealized appreciation/depreciation at period end.

 

The Fund may hold assets and/or liabilities in which the fair value approximates the carrying amount for financial statement purposes. As of the period end, reverse repurchase agreements of $11,829,789 are categorized as Level 2 within the disclosure hierarchy — See Note 2.

 

 

 

High Yield Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

The following is summary of significant unobservable inputs used in the fair valuation of assets and liabilities categorized within the Level 3 of the fair value hierarchy:

 

Category  Ending Balance at December 31, 2020   Valuation Technique  Unobservable Inputs  Input Range  Weighted Average*
Assets:                 
Common Stocks  $768,085   Option Adjusted Spread off the prior month end broker quote  Broker Quote   
Common Stocks   674,961   Enterprise Value  Valuation Multiple  2.9x-11.5x  9.2x
Corporate Bonds   504   Option Adjusted Spread off the prior month end broker quote  Broker Quote   
Senior Floating Rate Interests   3,810,843   Third Party Pricing  Broker Quote   
Senior Floating Rate Interests   1,470,000   Model Price  Market Comparable Yields  10.7% 
Senior Floating Rate Interests   857,469   Enterprise Value  Valuation Multiple  9.4x  9.4x
Total Assets  $7,581,862             
Liabilities:                 
Unfunded Loan Commitments  $6,653   Model Price  Purchase Price   

 

*Inputs are weighted by the fair value of the instruments.

 

Significant changes in a quote, market comparable yields or valuation multiple would generally result in significant changes in the fair value of the security. Any remaining Level 3 securities held by the Fund and excluded from the table above, were not considered material to the Fund.

 

The Fund’s fair valuation leveling guidelines classify a single daily broker quote, or a vendor price based on a single daily or monthly broker quote, as Level 3, if such a quote or price cannot be supported with other available market information.

 

Transfers between Level 2 and Level 3 may occur as markets fluctuate and/or the availability of data used in an investment’s valuation changes. For the period ended December 31, 2020, the Fund had securities with a total value of $1,761,944 transfer from Level 2 to Level 3 due to lack of observable inputs and had securities with a total market value of $1,194,532 transfer out of Level 3 to Level 2 due to the availability of current and reliable market-based data provided by a third-party pricing service which utilizes significant observable inputs.

 

Summary of Fair Value Level 3 Activity

Following is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value for the period ended December 31, 2020:

 

   Assets       Liabilities 
   Common
Stocks
   Senior
Floating
Rate
Interests
   Corporate
Bonds
   Total
Assets
   Unfunded
Loan
Commitments
 
Beginning Balance  $2,790,320   $7,980,655   $-*  $10,770,975   $(61,765)
Purchases/(Receipts)   747,872    233,894    -    981,766    (49,278)
(Sales, maturities and paydowns)/Fundings   (442,960)   (3,723,171)   -    (4,166,131)   5,769 
Amortization of premiums/discounts   -    19,310    -    19,310    - 
Total realized gains (losses) included in earnings   282,387    (1,021,628)   -    (739,241)   390,625 
Total change in unrealized appreciation (depreciation) included in earnings   (1,032,416)   1,180,187    -    147,771    (292,004)
Transfers into Level 3   -    1,761,440    504    1,761,944    - 
Transfers out of Level 3   (902,157)   (292,375)   -    (1,194,532)   - 
Ending Balance  $1,443,046   $6,138,312   $504   $7,581,862   $(6,653)
Net change in unrealized appreciation (depreciation) for investments in Level 3 securities still held at December 31, 2020  $11,583   $24,363   $-   $35,946   $3,736 

 

*Security has a market value of $0.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments, result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

Transactions during the period ended December 31, 2020, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
09/30/20
   Additions   Reductions   Realized
Gain
(Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
   Value
12/31/20
   Shares
12/31/20
 
Common Stocks                    
 BP Holdco LLC*  $8,360   $   $   $   $   $8,360    23,711 
 Targus Group International Equity, Inc.*   26,349                (49)   26,300    12,825 
   $34,709   $   $   $   $(49)  $34,660      

 

* Non-income producing security.

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 1.1%
Diversified - 1.1%
Pershing Square Tontine Holdings, Ltd. — Class A*   622,890   $17,266,511 
Industrial - 0.0%          
Constar International Holdings LLC*,†††   68     
Total Common Stocks          
(Cost $12,064,756)        17,266,511 
           
PREFERRED STOCKS†† - 1.1%          
Financial - 1.1%          
Public Storage          
4.63%   118,400    3,213,376 
4.13%   30,400    824,752 
Wells Fargo & Co., 4.70%,   148,000    3,904,240 
Bank of America Corp., 4.38%*   106,000    2,814,300 
American Financial Group, Inc., 4.50% due 09/15/60   86,800    2,419,116 
First Republic Bank, 4.13%   53,200    1,406,608 
CNO Financial Group, Inc., 5.13% due 11/25/60*   48,000    1,260,960 
Assurant, Inc., 5.25% due 01/15/61*   38,000    1,039,680 
W R Berkley Corp., 4.25% due 09/30/60   25,600    672,768 
Total Financial        17,555,800 
Industrial - 0.0%          
Constar International Holdings LLC*,†††   7     
Total Preferred Stocks          
(Cost $16,360,000)        17,555,800 
           
WARRANTS - 0.0%          
Pershing Square Tontine Holdings, Ltd.          
$23.00, 07/24/25*   69,210    664,416 
Total Warrants          
(Cost $393,043)        664,416 
           
EXCHANGE-TRADED FUNDS - 4.4%          
iShares iBoxx $ Investment Grade Corporate Bond ETF   437,910    60,488,508 
iShares iBoxx High Yield Corporate Bond ETF   141,850    12,383,505 
Total Exchange-Traded Funds          
(Cost $65,811,372)        72,872,013 
           
CLOSED-END FUNDS - 0.2%          
BlackRock MuniHoldings California Quality Fund, Inc.   115,186    1,727,790 
BlackRock MuniYield California Quality Fund, Inc.   98,958    1,480,906 
Total Closed-End Funds          
(Cost $3,166,966)        3,208,696 
           
MONEY MARKET FUND - 0.5%          
Dreyfus Treasury Securities Cash Management Fund — Institutional Shares, 0.01%2   7,672,314    7,672,314 
Total Money Market Fund          
(Cost $7,672,314)        7,672,314 
           
    Face
Amount~
      
CORPORATE BONDS†† - 46.5%          
Financial - 17.7%          
Charles Schwab Corp.          
4.00%1,3   8,000,000    8,420,000 
5.38%1,3   3,050,000    3,396,938 
American International Group, Inc.          
3.40% due 06/30/30   5,120,000    5,866,761 
4.38% due 06/30/50   4,280,000    5,604,096 
Wells Fargo & Co.          
3.07% due 04/30/413   8,550,000    9,300,682 
2.57% due 02/11/313   1,180,000    1,252,056 
JPMorgan Chase & Co.          
3.11% due 04/22/413   3,530,000    3,945,715 
2.52% due 04/22/313   2,210,000    2,375,445 
2.96% due 05/13/313   1,870,000    2,050,625 
4.49% due 03/24/313   1,600,000    1,968,205 
Bank of America Corp.          
2.59% due 04/29/313   6,900,000    7,395,133 
2.68% due 06/19/413   2,650,000    2,761,026 
Citizens Financial Group, Inc.          
3.25% due 04/30/30   8,070,000    9,094,079 
2.50% due 02/06/30   607,000    645,066 
Nationwide Mutual Insurance Co.          
4.35% due 04/30/504   7,410,000    8,704,691 
Five Corners Funding Trust II          
2.85% due 05/15/304   6,540,000    7,234,620 
Pershing Square Holdings Ltd.          
3.25% due 11/15/304   4,500,000    4,535,908 
5.50% due 07/15/224   2,000,000    2,112,100 
Macquarie Bank Ltd.          
3.62% due 06/03/304   6,030,000    6,601,428 
Wilton RE Ltd.          
6.00% †††,1,3,4   6,350,000    6,578,790 
Reliance Standard Life Global Funding II          
2.75% due 05/07/254   6,170,000    6,544,465 
GLP Capital Limited Partnership / GLP Financing II, Inc.          
4.00% due 01/15/31   3,600,000    3,928,392 
5.30% due 01/15/29   1,900,000    2,198,205 
Reinsurance Group of America, Inc.          
3.15% due 06/15/30   5,350,000    5,849,781 
Markel Corp.          
6.00%1,3   5,210,000    5,763,563 
Fidelity National Financial, Inc.          
3.40% due 06/15/30   3,630,000    3,986,365 
2.45% due 03/15/31   1,210,000    1,230,716 
Lincoln National Corp.          
3.40% due 01/15/31   3,170,000    3,632,589 
4.38% due 06/15/50   1,200,000    1,546,549 
Intercontinental Exchange, Inc.          
3.00% due 06/15/50   2,430,000    2,575,513 
2.65% due 09/15/40   2,400,000    2,463,180 
Citigroup, Inc.          
2.57% due 06/03/313   4,690,000    4,998,884 
Prudential plc          
3.13% due 04/14/30   4,365,000    4,948,754 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 46.5% (continued)
Financial - 17.7% (continued)        
Equitable Holdings, Inc.        
4.95%1,3   4,650,000   $4,946,437 
BlackRock, Inc.          
1.90% due 01/28/31   4,400,000    4,605,614 
Iron Mountain, Inc.          
5.25% due 07/15/304   2,350,000    2,538,000 
5.63% due 07/15/324   1,000,000    1,102,500 
4.50% due 02/15/314   850,000    890,375 
Standard Chartered plc          
4.64% due 04/01/313,4   3,550,000    4,294,434 
Aflac, Inc.          
3.60% due 04/01/30   3,350,000    3,943,027 
OneAmerica Financial Partners, Inc.          
4.25% due 10/15/504   3,620,000    3,907,238 
Host Hotels & Resorts, LP          
3.50% due 09/15/30   3,685,000    3,882,306 
Ares Finance Company II LLC          
3.25% due 06/15/304   3,660,000    3,874,559 
KKR Group Finance Company VI LLC          
3.75% due 07/01/294   3,230,000    3,758,439 
MetLife, Inc.          
3.85%1,3   3,520,000    3,713,600 
NFP Corp.          
6.88% due 08/15/284   1,875,000    2,001,900 
7.00% due 05/15/254   1,550,000    1,666,250 
First American Financial Corp.          
4.00% due 05/15/30   3,180,000    3,645,142 
Deloitte LLP          
3.56% due 05/07/30†††   3,400,000    3,580,994 
Bank of New York Mellon Corp.          
3.70%1,3   2,250,000    2,327,962 
4.70%1,3   1,060,000    1,168,968 
Arch Capital Group Ltd.          
3.64% due 06/30/50   2,900,000    3,374,939 
Quicken Loans LLC / Quicken Loans Company-Issuer, Inc.          
3.88% due 03/01/314   3,150,000    3,268,125 
Loews Corp.          
3.20% due 05/15/30   2,870,000    3,260,372 
Alleghany Corp.          
3.63% due 05/15/30   2,850,000    3,206,148 
KKR Group Finance Company VIII LLC          
3.50% due 08/25/504   2,660,000    2,952,076 
Everest Reinsurance Holdings, Inc.          
3.50% due 10/15/50   2,560,000    2,903,936 
Visa, Inc.          
2.00% due 08/15/50   3,000,000    2,865,161 
Belrose Funding Trust          
2.33% due 08/15/304   2,780,000    2,861,068 
Jefferies Group LLC          
2.75% due 10/15/32   2,720,000    2,854,617 
Teachers Insurance & Annuity Association of America          
3.30% due 05/15/504   2,500,000    2,724,308 
Massachusetts Mutual Life Insurance Co.          
3.38% due 04/15/504   2,450,000    2,676,409 
Liberty Mutual Group, Inc.          
3.95% due 05/15/604   2,150,000    2,566,241 
Goldman Sachs Group, Inc.          
3.50% due 04/01/25   2,250,000    2,499,727 
Brookfield Finance, Inc.          
3.50% due 03/30/51   2,210,000    2,360,190 
Cushman & Wakefield US Borrower LLC          
6.75% due 05/15/285   2,075,000    2,287,688 
PricewaterhouseCoopers LLP          
3.43% due 09/13/30†††   2,000,000    2,091,488 
Aon Corp.          
2.80% due 05/15/30   1,840,000    2,007,389 
HS Wildcat LLC          
3.83% due 12/31/50†††   2,000,000    2,000,000 
Manulife Financial Corp.          
2.48% due 05/19/27   1,800,000    1,953,391 
Fifth Third Bancorp          
2.55% due 05/05/27   1,750,000    1,904,552 
Australia & New Zealand Banking Group Ltd.          
2.57% due 11/25/353,4   1,800,000    1,836,307 
Dyal Capital Partners III          
4.40% due 06/15/40†††   1,750,000    1,827,785 
Credit Suisse Group AG          
4.19% due 04/01/313,4   1,500,000    1,765,460 
Kemper Corp.          
2.40% due 09/30/30   1,510,000    1,537,269 
National Australia Bank Ltd.          
2.33% due 08/21/304   1,500,000    1,524,941 
Allianz SE          
3.50%1,3,4   1,400,000    1,426,250 
Alexandria Real Estate Equities, Inc.          
4.90% due 12/15/30   1,050,000    1,336,205 
Crown Castle International Corp.          
3.30% due 07/01/30   1,149,000    1,286,052 
CNA Financial Corp.          
2.05% due 08/15/30   1,250,000    1,274,433 
Prudential Financial, Inc.          
3.70% due 10/01/503   1,160,000    1,227,025 
Camden Property Trust          
2.80% due 05/15/30   1,100,000    1,221,615 
Westpac Banking Corp.          
2.96% due 11/16/40   1,100,000    1,171,361 
United Shore Financial Services LLC          
5.50% due 11/15/254   1,100,000    1,160,500 
Central Storage Safety Project Trust          
4.82% due 02/01/385   1,000,000    1,107,651 
QBE Insurance Group Ltd.          
5.88%1,3,4   1,000,000    1,092,500 
Weyerhaeuser Co.          
4.00% due 04/15/30   911,000    1,078,828 
W R Berkley Corp.          
4.00% due 05/12/50   850,000    1,036,889 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 46.5% (continued)
Financial - 17.7% (continued)        
PartnerRe Finance B LLC        
4.50% due 10/01/503   940,000   $984,793 
CIT Group, Inc.          
3.93% due 06/19/243   925,000    978,188 
Apollo Management Holdings, LP          
2.65% due 06/05/304   930,000    950,587 
Nasdaq, Inc.          
3.25% due 04/28/50   850,000    933,992 
Brown & Brown, Inc.          
2.38% due 03/15/31   800,000    837,291 
Protective Life Corp.          
3.40% due 01/15/304   740,000    797,923 
Ameriprise Financial, Inc.          
3.00% due 04/02/25   690,000    751,181 
New York Life Insurance Co.          
3.75% due 05/15/504   600,000    717,740 
Aviation Capital Group LLC          
2.88% due 01/20/224   700,000    708,799 
Alliant Holdings Intermediate LLC / Alliant Holdings Company-Issuer          
4.25% due 10/15/274   550,000    562,375 
American Equity Investment Life Holding Co.          
5.00% due 06/15/27   486,000    548,918 
Hanover Insurance Group, Inc.          
2.50% due 09/01/30   480,000    500,989 
Fidelity & Guaranty Life Holdings, Inc.          
5.50% due 05/01/254   400,000    466,800 
SBA Communications Corp.          
3.88% due 02/15/274   350,000    367,605 
Assurant, Inc.          
1.50% (3 Month USD LIBOR + 1.25%) due 03/26/216   289,000    289,004 
KKR Group Finance Company III LLC          
5.13% due 06/01/444   100,000    131,265 
LPL Holdings, Inc.          
5.75% due 09/15/254   100,000    103,442 
Total Financial        291,517,853 
Consumer, Non-cyclical - 7.3%          
Sysco Corp.          
5.95% due 04/01/30   6,860,000    9,014,350 
CoStar Group, Inc.          
2.80% due 07/15/304   5,810,000    6,036,800 
DaVita, Inc.          
4.63% due 06/01/304   2,963,000    3,144,484 
3.75% due 02/15/314   2,777,000    2,819,655 
Altria Group, Inc.          
3.40% due 05/06/30   3,110,000    3,489,408 
2.35% due 05/06/25   1,180,000    1,253,732 
4.45% due 05/06/50   390,000    461,069 
Quanta Services, Inc.          
2.90% due 10/01/30   4,740,000    5,082,022 
BAT Capital Corp.          
3.98% due 09/25/50   2,800,000    2,921,910 
4.70% due 04/02/27   1,410,000    1,657,983 
Kraft Heinz Foods Co.          
4.38% due 06/01/46   1,260,000    1,363,251 
5.50% due 06/01/504   875,000    1,102,283 
4.25% due 03/01/314   700,000    780,540 
4.88% due 10/01/494   625,000    729,140 
5.00% due 06/04/42   500,000    586,637 
Zimmer Biomet Holdings, Inc.          
3.55% due 03/20/30   3,850,000    4,359,672 
Royalty Pharma plc          
3.55% due 09/02/504   2,690,000    2,866,061 
2.20% due 09/02/304   1,410,000    1,447,957 
Constellation Brands, Inc.          
2.88% due 05/01/30   2,680,000    2,936,689 
3.75% due 05/01/50   950,000    1,118,575 
Alcon Finance Corp.          
2.60% due 05/27/304   3,290,000    3,505,177 
RELX Capital, Inc.          
3.00% due 05/22/30   2,930,000    3,253,543 
Nielsen Finance LLC / Nielsen Finance Co.          
5.63% due 10/01/284   2,600,000    2,825,030 
Keurig Dr Pepper, Inc.          
3.20% due 05/01/30   2,361,000    2,673,182 
Centene Corp.          
3.00% due 10/15/30   2,500,000    2,649,750 
Anheuser-Busch InBev Worldwide, Inc.          
3.50% due 06/01/30   2,225,000    2,577,358 
McCormick & Company, Inc.          
2.50% due 04/15/30   2,350,000    2,516,499 
Boston Scientific Corp.          
2.65% due 06/01/30   2,070,000    2,217,182 
Yale-New Haven Health Services Corp.          
2.50% due 07/01/50   2,250,000    2,200,882 
Emory University          
2.97% due 09/01/50   2,000,000    2,134,656 
Becton Dickinson and Co.          
2.82% due 05/20/30   1,890,000    2,077,289 
California Institute of Technology          
3.65% due 09/01/19   1,600,000    1,816,847 
Global Payments, Inc.          
2.90% due 05/15/30   1,620,000    1,763,974 
Universal Health Services, Inc.          
2.65% due 10/15/304   1,320,000    1,370,310 
5.00% due 06/01/264   300,000    309,750 
US Foods, Inc.          
6.25% due 04/15/254   1,550,000    1,656,562 
Quest Diagnostics, Inc.          
2.80% due 06/30/31   1,510,000    1,655,690 
Ascension Health          
2.53% due 11/15/29   1,500,000    1,643,406 
Duke University          
2.83% due 10/01/55   1,500,000    1,622,930 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 46.5% (continued)
Consumer, Non-cyclical - 7.3% (continued)        
Health Care Service Corporation A Mutual Legal Reserve Co.        
3.20% due 06/01/504   1,480,000   $1,600,902 
Johnson & Johnson          
2.45% due 09/01/60   1,500,000    1,560,292 
Kimberly-Clark de Mexico SAB de CV          
2.43% due 07/01/314   1,500,000    1,549,530 
Transurban Finance Company Pty Ltd.          
2.45% due 03/16/314   1,300,000    1,363,745 
AMN Healthcare, Inc.          
4.63% due 10/01/274   750,000    785,677 
4.00% due 04/15/294   500,000    511,250 
Hologic, Inc.          
3.25% due 02/15/294   1,250,000    1,271,875 
Cheplapharm Arzneimittel GmbH          
4.38% due 01/15/28  EUR1,000,000    1,250,464 
Thermo Fisher Scientific, Inc.          
4.50% due 03/25/30   1,000,000    1,249,772 
Avantor Funding, Inc.          
4.63% due 07/15/284   1,050,000    1,110,375 
OhioHealth Corp.          
3.04% due 11/15/50   1,000,000    1,094,650 
Wisconsin Alumni Research Foundation          
3.56% due 10/01/49   1,000,000    1,085,750 
Memorial Sloan-Kettering Cancer Center          
2.96% due 01/01/50   1,000,000    1,064,084 
Johns Hopkins University          
2.81% due 01/01/60   1,000,000    1,054,543 
Smithfield Foods, Inc.          
3.00% due 10/15/304   970,000    1,026,334 
Children's Hospital Corp.          
2.59% due 02/01/50   1,000,000    999,785 
Children's Health System of Texas          
2.51% due 08/15/50   1,000,000    974,298 
Sabre GLBL, Inc.          
7.38% due 09/01/254   875,000    949,375 
Prime Security Services Borrower LLC / Prime Finance, Inc.          
3.38% due 08/31/274   925,000    918,063 
Gartner, Inc.          
3.75% due 10/01/304   650,000    684,944 
4.50% due 07/01/284   150,000    158,250 
Service Corporation International          
3.38% due 08/15/30   750,000    780,158 
Moody's Corp.          
3.25% due 05/20/50   700,000    776,948 
Central Garden & Pet Co.          
4.13% due 10/15/30   625,000    651,563 
Post Holdings, Inc.          
4.63% due 04/15/304   600,000    631,176 
Tenet Healthcare Corp.          
4.63% due 06/15/284   475,000    497,562 
Jaguar Holding Company II / PPD Development, LP          
4.63% due 06/15/254   400,000    421,844 
Acadia Healthcare Company, Inc.          
5.00% due 04/15/294   150,000    160,125 
Total Consumer, Non-cyclical        119,825,569 
Industrial - 6.0%          
Boeing Co.          
5.15% due 05/01/30   8,000,000    9,682,012 
5.71% due 05/01/40   4,380,000    5,684,017 
5.81% due 05/01/50   3,440,000    4,740,819 
5.04% due 05/01/27   2,150,000    2,513,504 
3.63% due 02/01/31   1,450,000    1,586,852 
FedEx Corp.          
4.25% due 05/15/30   5,415,000    6,579,297 
WRKCo, Inc.          
3.00% due 06/15/33   5,370,000    5,899,840 
Sonoco Products Co.          
3.13% due 05/01/30   4,808,000    5,343,353 
Textron, Inc.          
2.45% due 03/15/31   3,600,000    3,706,358 
3.00% due 06/01/30   1,355,000    1,460,621 
Snap-on, Inc.          
3.10% due 05/01/50   3,860,000    4,359,595 
Berry Global, Inc.          
1.57% due 01/15/264   4,100,000    4,137,105 
National Basketball Association          
2.51% due 12/16/24   4,000,000    4,014,604 
Acuity Brands Lighting, Inc.          
2.15% due 12/15/30   3,000,000    3,043,591 
BAE Systems plc          
3.40% due 04/15/304   2,659,000    3,012,314 
Owens Corning          
3.88% due 06/01/30   2,380,000    2,745,243 
GATX Corp.          
4.00% due 06/30/30   2,110,000    2,493,597 
Carrier Global Corp.          
2.70% due 02/15/31   2,210,000    2,374,472 
Standard Industries, Inc.          
3.38% due 01/15/314   1,175,000    1,180,875 
4.38% due 07/15/304   750,000    802,298 
5.00% due 02/15/274   350,000    365,750 
Ball Corp.          
2.88% due 08/15/30   2,154,000    2,148,615 
Ardagh Packaging Finance plc / Ardagh Holdings USA, Inc.          
4.13% due 08/15/264   2,050,000    2,142,250 
CNH Industrial Capital LLC          
1.88% due 01/15/26   1,880,000    1,968,823 
Trinity Industries, Inc.          
4.55% due 10/01/24   1,775,000    1,852,798 
Vulcan Materials Co.          
3.50% due 06/01/30   1,510,000    1,734,404 
Flowserve Corp.          
3.50% due 10/01/30   1,550,000    1,654,530 
Ryder System, Inc.          
3.35% due 09/01/25   1,470,000    1,634,011 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 46.5% (continued)
Industrial - 6.0% (continued)        
IDEX Corp.        
3.00% due 05/01/30   1,450,000   $1,596,336 
FLIR Systems, Inc.          
2.50% due 08/01/30   1,340,000    1,406,483 
Bemis Company, Inc.          
2.63% due 06/19/30   1,230,000    1,332,020 
Xylem, Inc.          
2.25% due 01/30/31   1,100,000    1,158,501 
Graphic Packaging International LLC          
3.50% due 03/01/294   1,125,000    1,150,312 
Vertical US Newco, Inc.          
5.25% due 07/15/274   850,000    901,000 
Howmet Aerospace, Inc.          
6.88% due 05/01/25   675,000    789,750 
Great Lakes Dredge & Dock Corp.          
8.00% due 05/15/22   450,000    461,511 
TransDigm, Inc.          
8.00% due 12/15/254   300,000    331,590 
Oshkosh Corp.          
3.10% due 03/01/30   240,000    261,755 
EnerSys          
5.00% due 04/30/234   50,000    52,313 
Total Industrial        98,303,119 
Consumer, Cyclical - 5.0%          
Delta Air Lines, Inc.          
7.00% due 05/01/254   8,800,000    10,160,060 
Marriott International, Inc.          
3.50% due 10/15/32   3,300,000    3,608,828 
4.63% due 06/15/30   2,830,000    3,320,946 
5.75% due 05/01/25   1,900,000    2,222,433 
Walgreens Boots Alliance, Inc.          
4.10% due 04/15/50   4,510,000    4,773,750 
3.20% due 04/15/30   2,254,000    2,448,533 
Hyatt Hotels Corp.          
5.38% due 04/23/25   3,950,000    4,463,962 
5.75% due 04/23/30   1,510,000    1,856,226 
Starbucks Corp.          
2.55% due 11/15/30   4,600,000    4,974,876 
Smithsonian Institution          
2.70% due 09/01/44   4,000,000    4,119,664 
VF Corp.          
2.95% due 04/23/30   3,306,000    3,657,934 
1011778 BC ULC / New Red Finance, Inc.          
4.00% due 10/15/304   2,850,000    2,888,276 
5.75% due 04/15/254   450,000    481,500 
Delta Air Lines Inc. / SkyMiles IP Ltd.          
4.50% due 10/20/254   3,150,000    3,366,906 
Choice Hotels International, Inc.          
3.70% due 01/15/31   2,860,000    3,167,507 
Ferguson Finance plc          
3.25% due 06/02/304   2,840,000    3,166,909 
Mileage Plus Holdings LLC / Mileage Plus Intellectual Property Assets Ltd.          
6.50% due 06/20/274   2,550,000    2,741,250 
Steelcase, Inc.          
5.13% due 01/18/29   2,224,000    2,582,143 
BorgWarner, Inc.          
2.65% due 07/01/27   2,310,000    2,483,913 
WMG Acquisition Corp.          
3.00% due 02/15/314   1,925,000    1,886,500 
3.88% due 07/15/304   500,000    531,385 
Lowe's Companies, Inc.          
4.50% due 04/15/30   1,850,000    2,302,820 
Whirlpool Corp.          
4.60% due 05/15/50   1,430,000    1,850,327 
Northern Group Housing LLC          
6.80% due 08/15/534   1,100,000    1,659,394 
Aramark Services, Inc.          
6.38% due 05/01/254   1,400,000    1,496,250 
5.00% due 02/01/284   85,000    89,569 
Hilton Domestic Operating Company, Inc.          
5.38% due 05/01/254   1,450,000    1,540,625 
Six Flags Theme Parks, Inc.          
7.00% due 07/01/254   1,060,000    1,144,800 
Dollar General Corp.          
3.50% due 04/03/30   700,000    803,581 
American Airlines Class AA Pass Through Trust          
3.20% due 06/15/28   809,500    789,338 
Cedar Fair, LP / Canada's Wonderland Co. / Magnum Management Corp. / Millennium Operations LLC          
5.50% due 05/01/254   650,000    677,625 
Williams Scotsman International, Inc.          
4.63% due 08/15/284   450,000    465,750 
Hanesbrands, Inc.          
5.38% due 05/15/254   420,000    444,369 
Performance Food Group, Inc.          
6.88% due 05/01/254   275,000    294,250 
JB Poindexter & Company, Inc.          
7.13% due 04/15/264   200,000    211,500 
Total Consumer, Cyclical        82,673,699 
Communications - 3.8%          
ViacomCBS, Inc.          
4.95% due 01/15/31   4,478,000    5,620,464 
4.95% due 05/19/50   2,490,000    3,225,348 
4.75% due 05/15/25   2,260,000    2,623,821 
2.90% due 01/15/27   450,000    493,786 
Level 3 Financing, Inc.          
3.63% due 01/15/294   2,850,000    2,842,875 
4.25% due 07/01/284   2,650,000    2,722,875 
3.88% due 11/15/294   1,150,000    1,277,098 
T-Mobile USA, Inc.          
3.88% due 04/15/304   4,750,000    5,501,450 
Walt Disney Co.          
2.65% due 01/13/31   2,490,000    2,729,818 
3.80% due 05/13/60   2,000,000    2,541,040 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 46.5% (continued)
Communications - 3.8% (continued)        
Charter Communications Operating LLC / Charter Communications Operating Capital        
2.80% due 04/01/31   4,525,000   $4,786,004 
AT&T, Inc.          
2.75% due 06/01/31   3,200,000    3,419,594 
Booking Holdings, Inc.          
4.63% due 04/13/30   2,370,000    2,944,913 
4.50% due 04/13/27   390,000    463,849 
Virgin Media Secured Finance plc          
4.50% due 08/15/304   2,350,000    2,455,750 
CCO Holdings LLC / CCO Holdings Capital Corp.          
4.50% due 05/01/324   1,700,000    1,815,124 
4.25% due 02/01/314   425,000    447,891 
CSC Holdings LLC          
3.38% due 02/15/314   1,000,000    981,250 
4.13% due 12/01/304   600,000    627,360 
5.50% due 05/15/264   550,000    572,000 
Amazon.com, Inc.          
2.70% due 06/03/60   1,610,000    1,721,640 
Fox Corp.          
3.50% due 04/08/30   931,000    1,057,525 
3.05% due 04/07/25   450,000    491,043 
Sirius XM Radio, Inc.          
4.13% due 07/01/304   1,400,000    1,490,125 
Altice France S.A.          
7.38% due 05/01/264   950,000    999,875 
5.13% due 01/15/294   450,000    465,750 
Radiate Holdco LLC / Radiate Finance, Inc.          
4.50% due 09/15/264   1,300,000    1,340,625 
Zayo Group Holdings, Inc.          
4.00% due 03/01/274   1,225,000    1,228,062 
QualityTech Limited Partnership / QTS Finance Corp.          
3.88% due 10/01/284   1,150,000    1,173,000 
Virgin Media Vendor Financing Notes IV DAC          
5.00% due 07/15/284   1,100,000    1,144,000 
Verizon Communications, Inc.          
3.15% due 03/22/30   1,000,000    1,121,411 
Match Group Holdings II LLC          
4.63% due 06/01/284   900,000    943,313 
LCPR Senior Secured Financing DAC          
6.75% due 10/15/274   500,000    538,125 
Telenet Finance Lux Note          
5.50% due 03/01/28   400,000    426,600 
Lamar Media Corp.          
4.00% due 02/15/30   375,000    389,062 
Switch Ltd.          
3.75% due 09/15/284   300,000    304,500 
Virgin Media Finance plc          
5.00% due 07/15/304   200,000    207,500 
Total Communications        63,134,466 
Energy - 2.7%          
Exxon Mobil Corp.          
2.61% due 10/15/30   9,450,000    10,322,069 
BP Capital Markets plc          
4.88% 1,3   7,530,000    8,401,221 
Galaxy Pipeline Assets Bidco Ltd.          
3.25% due 09/30/404   6,250,000    6,594,496 
Sabine Pass Liquefaction LLC          
4.50% due 05/15/304   4,190,000    4,966,313 
Magellan Midstream Partners, LP          
3.95% due 03/01/50   2,000,000    2,253,982 
3.25% due 06/01/30   1,500,000    1,695,028 
Valero Energy Corp.          
2.15% due 09/15/27   950,000    970,676 
2.85% due 04/15/25   750,000    798,781 
4.00% due 04/01/29   500,000    562,505 
Chevron USA, Inc.          
2.34% due 08/12/50   1,850,000    1,830,324 
Equinor ASA          
2.38% due 05/22/30   1,210,000    1,295,123 
Florida Gas Transmission Company LLC          
2.55% due 07/01/304   1,000,000    1,053,996 
NuStar Logistics, LP          
6.38% due 10/01/30   700,000    792,960 
6.00% due 06/01/26   200,000    216,302 
Midwest Connector Capital Company LLC          
4.63% due 04/01/294   910,000    953,912 
Baker Hughes a GE Company LLC / Baker Hughes Co-Obligor, Inc.          
4.49% due 05/01/30   410,000    492,681 
Phillips 66          
3.70% due 04/06/23   250,000    267,745 
Total Energy        43,468,114 
Technology - 1.7%          
NetApp, Inc.          
2.70% due 06/22/30   8,100,000    8,703,306 
Broadcom, Inc.          
4.15% due 11/15/30   4,230,000    4,897,334 
Leidos, Inc.          
2.30% due 02/15/314   2,350,000    2,392,768 
3.63% due 05/15/254   600,000    670,854 
4.38% due 05/15/304   200,000    239,490 
Qorvo, Inc.          
4.38% due 10/15/29   1,380,000    1,518,303 
3.38% due 04/01/314   650,000    671,125 
NCR Corp.          
5.00% due 10/01/284   2,050,000    2,162,750 
MSCI, Inc.          
3.88% due 02/15/314   1,925,000    2,035,687 
Apple, Inc.          
2.55% due 08/20/60   1,550,000    1,594,147 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 46.5% (continued)
Technology - 1.7% (continued)        
CDW LLC / CDW Finance Corp.        
3.25% due 02/15/29   810,000   $825,957 
Boxer Parent Company, Inc.          
7.13% due 10/02/254   750,000    814,086 
Analog Devices, Inc.          
2.95% due 04/01/25   400,000    436,578 
Black Knight InfoServ LLC          
3.63% due 09/01/284   400,000    409,500 
Booz Allen Hamilton, Inc.          
3.88% due 09/01/284   300,000    309,000 
Entegris, Inc.          
4.38% due 04/15/284   100,000    106,625 
Total Technology        27,787,510 
Basic Materials - 1.3%          
Newcrest Finance Pty Ltd.          
3.25% due 05/13/304   3,600,000    3,976,416 
4.20% due 05/13/504   1,700,000    2,077,967 
Anglo American Capital plc          
5.63% due 04/01/304   3,400,000    4,320,142 
3.95% due 09/10/504   970,000    1,088,321 
2.63% due 09/10/304   250,000    261,422 
Nucor Corp.          
2.70% due 06/01/30   3,000,000    3,298,890 
Carpenter Technology Corp.          
6.38% due 07/15/28   1,425,000    1,572,550 
WR Grace & Company-Conn          
4.88% due 06/15/274   1,241,000    1,316,105 
Minerals Technologies, Inc.          
5.00% due 07/01/284   1,100,000    1,151,040 
Reliance Steel & Aluminum Co.          
2.15% due 08/15/30   810,000    832,215 
Corporation Nacional del Cobre de Chile          
3.75% due 01/15/314   680,000    768,244 
Alcoa Nederland Holding BV          
5.50% due 12/15/274   425,000    465,065 
6.13% due 05/15/284   225,000    245,812 
Steel Dynamics, Inc.          
3.25% due 01/15/31   490,000    547,940 
Total Basic Materials        21,922,129 
Utilities - 1.0%          
Cheniere Corpus Christi Holdings LLC          
3.52% due 12/31/39†††   6,700,000    6,642,213 
Puget Energy, Inc.          
6.00% due 09/01/21   2,180,000    2,256,074 
AES Corp.          
3.95% due 07/15/304   1,760,000    1,989,522 
NRG Energy, Inc.          
2.45% due 12/02/274   1,750,000    1,842,444 
Arizona Public Service Co.          
3.35% due 05/15/50   1,300,000    1,509,553 
Black Hills Corp.          
2.50% due 06/15/30   940,000    987,257 
Alexander Funding Trust          
1.84% due 11/15/234   950,000    960,813 
Clearway Energy Operating LLC          
4.75% due 03/15/284   225,000    241,312 
Total Utilities        16,429,188 
Total Corporate Bonds          
(Cost $701,909,222)        765,061,647 
           
ASSET-BACKED SECURITIES†† - 22.3%          
Collateralized Loan Obligations - 14.0%          
Octagon Investment Partners 49 Ltd.          
2021-5A, 1.77% (3 Month USD LIBOR + 1.55%, Rate Floor: 1.55%) due 01/15/334,6   8,500,000    8,500,000 
2021-5A, 2.28% (3 Month USD LIBOR + 2.28%, Rate Floor: 2.28%) due 01/15/334,6   7,450,000    7,450,000 
Woodmont Trust          
2020-7A, 2.13% (3 Month USD LIBOR + 1.90%, Rate Floor: 0.00%) due 01/15/324,6   12,000,000    12,000,000 
2020-7A, 2.83% (3 Month USD LIBOR + 2.60%, Rate Floor: 0.00%) due 01/15/324,6   3,750,000    3,750,000 
Cerberus Loan Funding XXX, LP          
2020-3A, 2.07% (3 Month USD LIBOR + 1.85%, Rate Floor: 1.85%) due 01/15/334,6   13,500,000    13,500,000 
2020-3A, 2.72% (3 Month USD LIBOR + 2.50%, Rate Floor: 2.50%) due 01/15/334,6   2,000,000    2,000,000 
Dryden 33 Senior Loan Fund          
2020-33A, 2.24% (3 Month USD LIBOR + 2.00%, Rate Floor: 2.00%) due 04/15/294,6   8,000,000    8,000,000 
2020-33A, 1.24% (3 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 04/15/294,6   4,250,000    4,250,000 
2020-33A, 1.64% (3 Month USD LIBOR + 1.40%, Rate Floor: 1.40%) due 04/15/294,6   3,000,000    3,000,000 
Ares LVIII CLO Ltd.          
2020-58A, 1.76% (3 Month USD LIBOR + 1.55%, Rate Floor: 1.55%) due 01/15/334,6   7,600,000    7,600,000 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 22.3% (continued)
Collateralized Loan Obligations - 14.0% (continued)        
2020-58A, 2.36% (3 Month USD LIBOR + 2.15%, Rate Floor: 2.15%) due 01/15/334,6   3,750,000   $3,750,000 
BXMT Ltd.          
2020-FL2, 1.05% (1 Month USD LIBOR + 0.90%, Rate Floor: 0.90%) due 02/16/374,6   4,250,000    4,228,831 
2020-FL2, 1.55% (1 Month USD LIBOR + 1.40%, Rate Floor: 1.40%) due 02/16/374,6   2,000,000    1,962,558 
2020-FL2, 1.30% (1 Month USD LIBOR + 1.15%, Rate Floor: 1.15%) due 02/16/374,6   1,500,000    1,479,316 
2020-FL3, 1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 03/15/374,6   1,250,000    1,251,730 
2020-FL3, 2.70% (1 Month USD LIBOR + 2.55%, Rate Floor: 2.55%) due 03/15/374,6   1,000,000    1,001,455 
2020-FL3, 2.30% (1 Month USD LIBOR + 2.15%, Rate Floor: 2.15%) due 03/15/374,6   1,000,000    1,001,441 
Benefit Street Partners CLO XXII Ltd.          
2020-22A, 1.76% (3 Month USD LIBOR + 1.55%, Rate Floor: 1.55%) due 01/20/324,6   8,700,000    8,700,000 
2020-22A, 2.36% (3 Month USD LIBOR + 2.15%, Rate Floor: 2.15%) due 01/20/324,6   1,000,000    1,000,000 
Dryden 36 Senior Loan Fund          
2020-36A, 2.20% (3 Month USD LIBOR + 2.05%, Rate Floor: 2.05%) due 04/15/294,6   8,000,000    8,000,000 
KREF Funding V LLC          
1.90% due 06/25/26†††   8,000,000    7,699,450 
0.15% due 06/25/26†††   21,818,182    18,764 
ABPCI Direct Lending Fund IX LLC          
2020-9A, 2.19% (3 Month USD LIBOR + 1.95%, Rate Floor: 1.95%) due 11/18/314,6   5,000,000    5,009,207 
2020-9A, 2.84% (3 Month USD LIBOR + 2.60%, Rate Floor: 2.60%) due 11/18/314,6   1,000,000    1,002,510 
MidOcean Credit CLO VII          
2020-7A, 1.28% (3 Month USD LIBOR + 1.04%, Rate Floor: 0.00%) due 07/15/294,6   3,000,000    2,975,714 
2020-7A, 1.84% (3 Month USD LIBOR + 1.60%, Rate Floor: 0.00%) due 07/15/294,6   2,000,000    1,956,172 
2020-7A, 1.69% (3 Month USD LIBOR + 1.45%, Rate Floor: 0.00%) due 07/15/294,6   1,000,000    997,560 
Palmer Square Loan Funding Ltd.          
2018-4A, 1.12% (3 Month USD LIBOR + 0.90%, Rate Floor: 0.00%) due 11/15/264,6   2,947,949    2,945,161 
2019-3A, 1.07% (3 Month USD LIBOR + 0.85%, Rate Floor: 0.85%) due 08/20/274,6   1,060,515    1,059,257 
2018-4A, 1.67% (3 Month USD LIBOR + 1.45%, Rate Floor: 0.00%) due 11/15/264,6   1,000,000    991,869 
Parliament Funding II Ltd.          
2020-1A, 2.76% (3 Month USD LIBOR + 2.45%, Rate Floor: 2.45%) due 08/12/304,6   4,000,000    3,999,934 
2020-1A, 3.51% (3 Month USD LIBOR + 3.20%, Rate Floor: 3.20%) due 08/12/304,6   1,000,000    994,674 
Venture XIV CLO Ltd.          
2020-14A, 1.25% (3 Month USD LIBOR + 1.03%, Rate Floor: 1.03%) due 08/28/294,6   4,250,000    4,221,979 
Golub Capital Partners CLO Ltd.          
2018-36A, 1.53% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 02/05/314,6   4,100,000    4,052,865 
GoldenTree Loan Management US CLO 1 Ltd.          
2020-1A, 1.17% (3 Month USD LIBOR + 0.95%, Rate Floor: 0.95%) due 04/20/294,6   3,000,000    2,994,068 
2020-1A, 1.67% (3 Month USD LIBOR + 1.45%, Rate Floor: 1.45%) due 04/20/294,6   1,000,000    985,655 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 22.3% (continued)
Collateralized Loan Obligations - 14.0% (continued)        
STWD Ltd.        
2019-FL1, 1.56% (1 Month USD LIBOR + 1.40%, Rate Floor: 1.40%) due 07/15/384,6   2,883,000   $2,873,171 
2019-FL1, 1.76% (1 Month USD LIBOR + 1.60%, Rate Floor: 1.60%) due 07/15/384,6   1,000,000    988,392 
Wellfleet CLO Ltd.          
2020-2A, 1.28% (3 Month USD LIBOR + 1.06%, Rate Floor: 0.00%) due 10/20/294,6   3,250,000    3,230,795 
Whitebox CLO II Ltd.          
2020-2A, 1.99% (3 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 10/24/314,6   2,000,000    2,000,341 
2020-2A, 2.49% (3 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 10/24/314,6   1,000,000    1,001,953 
Denali Capital CLO XI Ltd.          
2018-1A, 1.35% (3 Month USD LIBOR + 1.13%, Rate Floor: 0.00%) due 10/20/284,6   3,000,000    2,986,018 
GPMT Ltd.          
2019-FL2, 1.45% (1 Month USD LIBOR + 1.30%, Rate Floor: 1.30%) due 02/22/364,6   2,000,000    1,988,138 
2019-FL2, 2.05% (1 Month USD LIBOR + 1.90%, Rate Floor: 1.90%) due 02/22/364,6   1,000,000    988,539 
NXT Capital CLO LLC          
2017-1A, 1.92% (3 Month USD LIBOR + 1.70%, Rate Floor: 0.00%) due 04/20/294,6   1,800,000    1,791,641 
2018-1A, 1.81% (3 Month USD LIBOR + 1.60%, Rate Floor: 0.00%) due 04/21/274,6   1,000,000    999,931 
Lake Shore MM CLO III LLC          
2020-1A, 2.53% (3 Month USD LIBOR + 2.30%, Rate Floor: 2.30%) due 10/15/294,6   2,750,000    2,751,431 
KREF Ltd.          
2018-FL1, 1.25% (1 Month USD LIBOR + 1.10%, Rate Floor: 1.10%) due 06/15/364,6   2,500,000    2,487,626 
Crown Point CLO III Ltd.          
2017-3A, 1.69% (3 Month USD LIBOR + 1.45%, Rate Floor: 0.00%) due 12/31/274,6   2,000,000    1,982,312 
2017-3A, 1.15% (3 Month USD LIBOR + 0.91%, Rate Floor: 0.00%) due 12/31/274,6   421,639    420,632 
Wind River CLO Ltd.          
2017-2A, 1.11% (3 Month USD LIBOR + 0.87%, Rate Floor: 0.00%) due 10/15/274,6   2,293,405    2,284,313 
Marathon CLO V Ltd.          
2017-5A, 1.08% (3 Month USD LIBOR + 0.87%, Rate Floor: 0.00%) due 11/21/274,6   1,300,656    1,292,399 
2017-5A, 1.66% (3 Month USD LIBOR + 1.45%, Rate Floor: 0.00%) due 11/21/274,6   1,000,000    986,423 
Venture XII CLO Ltd.          
2018-12A, 1.02% (3 Month USD LIBOR + 0.80%, Rate Floor: 0.80%) due 02/28/264,6   1,059,586    1,052,776 
2018-12A, 1.42% (3 Month USD LIBOR + 1.20%, Rate Floor: 1.20%) due 02/28/264,6   1,000,000    976,257 
Ares LVII CLO Ltd.          
2020-57A, 1.99% (3 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 10/25/314,6   2,000,000    2,005,871 
TCW CLO Ltd.          
2020-1A, 1.86% (3 Month USD LIBOR + 1.65%, Rate Floor: 1.65%) due 10/20/314,6   2,000,000    1,999,995 
Apres Static CLO Ltd.          
2020-1A, 3.44% (3 Month USD LIBOR + 1.70%, Rate Floor: 0.00%) due 10/15/284,6   2,000,000    1,996,577 
Golub Capital Partners CLO 16 Ltd.          
2017-16A, 2.07% (3 Month USD LIBOR + 1.85%, Rate Floor: 0.00%) due 07/25/294,6   2,000,000    1,991,978 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 22.3% (continued)
Collateralized Loan Obligations - 14.0% (continued)        
Fortress Credit Opportunities XI CLO Ltd.        
2018-11A, 1.54% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 04/15/314,6   2,000,000   $1,976,799 
BDS Ltd.          
2020-FL5, 1.51% (1 Month USD LIBOR + 1.35%, Rate Floor: 1.35%) due 02/16/374,6   1,000,000    983,691 
2020-FL5, 1.96% (1 Month USD LIBOR + 1.80%, Rate Floor: 1.80%) due 02/16/374,6   1,000,000    977,150 
Shackleton CLO Ltd.          
2018-6RA, 1.24% (3 Month USD LIBOR + 1.02%, Rate Floor: 1.02%) due 07/17/284,6   1,956,807    1,951,250 
MP CLO VIII Ltd.          
2018-2A, 1.13% (3 Month USD LIBOR + 0.91%, Rate Floor: 0.00%) due 10/28/274,6   1,927,289    1,916,096 
Canyon Capital CLO 2014-1 Ltd.          
2018-1A, 1.71% (3 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 01/30/314,6   1,900,000    1,885,769 
LoanCore Issuer Ltd.          
2019-CRE2, 1.66% (1 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 05/15/364,6   1,000,000    996,133 
2018-CRE1, 1.29% (1 Month USD LIBOR + 1.13%, Rate Floor: 1.13%) due 05/15/284,6   793,619    792,834 
Hunt CRE Ltd.          
2018-FL2, 1.24% (1 Month USD LIBOR + 1.08%, Rate Floor: 1.08%) due 08/15/284,6   1,750,000    1,732,453 
KVK CLO Ltd.          
2018-1A, 1.15% (3 Month USD LIBOR + 0.93%, Rate Floor: 0.00%) due 05/20/294,6   860,600    858,467 
2017-1A, 1.13% (3 Month USD LIBOR + 0.90%, Rate Floor: 0.00%) due 01/14/284,6   829,786    826,166 
Newfleet CLO Ltd.          
2018-1A, 1.17% (3 Month USD LIBOR + 0.95%, Rate Floor: 0.00%) due 04/20/284,6   1,663,535    1,655,002 
Carlyle Global Market Strategies CLO Ltd.          
2018-2A, 1.00% (3 Month USD LIBOR + 0.78%, Rate Floor: 0.00%) due 04/27/274,6   1,531,850    1,521,243 
Canyon CLO Ltd.          
2020-1A, 2.98% (3 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 07/15/284,6   1,500,000    1,502,430 
Allegro CLO IX Ltd.          
2018-3A, 1.40% (3 Month USD LIBOR + 1.17%, Rate Floor: 1.17%) due 10/16/314,6   1,500,000    1,489,066 
OCP CLO Ltd.          
2020-4A, 1.67% (3 Month USD LIBOR + 1.45%, Rate Floor: 1.45%) due 04/24/294,6   1,500,000    1,467,240 
NewStar Clarendon Fund CLO LLC          
2019-1A, 1.52% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 01/25/274,6   1,428,981    1,427,589 
610 Funding CLO 3 Ltd.          
2018-3A, 1.47% (3 Month USD LIBOR + 1.25%, Rate Floor: 0.00%) due 07/17/284,6   1,272,173    1,270,734 
Owl Rock CLO IV Ltd.          
2020-4A, 3.17% (3 Month USD LIBOR + 2.62%, Rate Floor: 2.62%) due 05/20/294,6   1,250,000    1,250,375 
Voya CLO Ltd.          
2020-1A, 1.30% (3 Month USD LIBOR + 1.06%, Rate Floor: 1.06%) due 04/15/314,6   1,250,000    1,245,077 
Halcyon Loan Advisors Funding Ltd.          
2017-3A, 1.12% (3 Month USD LIBOR + 0.90%, Rate Floor: 0.00%) due 10/18/274,6   1,114,009    1,108,821 
FDF II Ltd.          
2016-2A, 4.29% due 05/12/314   1,000,000    1,009,541 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 22.3% (continued)
Collateralized Loan Obligations - 14.0% (continued)        
FDF I Ltd.        
2015-1A, 4.40% due 11/12/304   1,000,000   $1,007,564 
Apres Static CLO 2 Ltd.          
2020-1A, 3.99% (3 Month USD LIBOR + 3.75%, Rate Floor: 3.75%) due 04/15/284,6   1,000,000    1,001,809 
TCP Waterman CLO Ltd.          
2016-1A, 2.27% (3 Month USD LIBOR + 2.05%, Rate Floor: 0.00%) due 12/15/284,6   1,000,000    1,000,364 
Monroe Capital BSL CLO Ltd.          
2017-1A, 1.96% (3 Month USD LIBOR + 1.75%, Rate Floor: 0.00%) due 05/22/274,6   1,000,000    998,894 
Diamond CLO Ltd.          
2018-1A, 1.72% (3 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 07/22/304,6   1,000,000    996,153 
THL Credit Lake Shore MM CLO I Ltd.          
2019-1A, 1.94% (3 Month USD LIBOR + 1.70%, Rate Floor: 1.70%) due 04/15/304,6   1,000,000    994,448 
Owl Rock CLO I Ltd.          
2019-1A, 2.02% (3 Month USD LIBOR + 1.80%, Rate Floor: 1.80%) due 05/20/314,6   1,000,000    994,219 
Northwoods Capital XII-B Ltd.          
2018-12BA, 2.07% (3 Month USD LIBOR + 1.85%, Rate Floor: 1.85%) due 06/15/314,6   1,000,000    984,666 
NewStar Fairfield Fund CLO Ltd.          
2018-2A, 1.49% (3 Month USD LIBOR + 1.27%, Rate Floor: 1.27%) due 04/20/304,6   989,329    977,179 
Dryden 37 Senior Loan Fund          
2015-37A, due 01/15/314,7   1,000,000    857,449 
Mountain View CLO Ltd.          
2018-1A, 1.04% (3 Month USD LIBOR + 0.80%, Rate Floor: 0.80%) due 10/15/264,6   802,710    799,856 
Golub Capital Partners CLO 17 Ltd.          
2017-17A, 1.87% (3 Month USD LIBOR + 1.65%, Rate Floor: 0.00%) due 10/25/304,6   750,000    747,463 
Cerberus Loan Funding XXVI, LP          
2019-1A, 1.99% (3 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 04/15/314,6   750,000    744,180 
BSPRT Issuer Ltd.          
2018-FL3, 1.21% (1 Month USD LIBOR + 1.05%, Rate Floor: 1.05%) due 03/15/284,6   705,203    700,705 
Fortress Credit Opportunities IX CLO Ltd.          
2017-9A, 1.77% (3 Month USD LIBOR + 1.55%, Rate Floor: 0.00%) due 11/15/294,6   636,000    633,553 
Treman Park CLO Ltd.          
2015-1A, due 10/20/284,7   500,000    400,709 
Avery Point V CLO Ltd.          
2017-5A, 1.20% (3 Month USD LIBOR + 0.98%, Rate Floor: 0.00%) due 07/17/264,6   290,908    290,907 
THL Credit Wind River CLO Ltd.          
2019-1A, 1.12% (3 Month USD LIBOR + 0.88%, Rate Floor: 0.00%) due 01/15/264,6   188,741    188,701 
Monroe Capital CLO Ltd.          
2017-1A, 1.57% (3 Month USD LIBOR + 1.35%, Rate Floor: 0.00%) due 10/22/264,6   156,741    156,709 
Babson CLO Ltd.          
2014-IA, due 07/20/254,7   650,000    48,165 
Copper River CLO Ltd.          
2007-1A, due 01/20/215,7   700,000    20,580 
Total Collateralized Loan Obligations        229,795,878 
Financial - 2.7%          
Station Place Securitization Trust          
2020-9, 1.64% (1 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 02/15/21†††,5,6   13,000,000    13,000,000 
2020-12, 1.64% (1 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 06/09/21†††,4,6   2,250,000    2,250,000 
2020-16, 1.14% (1 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 12/22/214,6   11,500,000    11,500,000 
2020-WL1, 2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 0.00%) due 06/25/51†††,5,6   1,000,000    1,000,000 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 22.3% (continued)
Financial - 2.7% (continued)        
2020-14, 1.29% (1 Month USD LIBOR + 1.15%, Rate Floor: 0.00%) due 03/10/21†††,4,6   1,000,000   $1,000,000 
Aesf Vi Verdi LP          
2.15% due 11/25/24†††   EUR 5,000,000    6,082,474 
Strategic Partners Fund VIII LP          
3.15% due 03/10/25†††   3,500,000    3,561,779 
Madison Avenue Secured Funding Trust Series          
2020-1, 1.77% (1 Month USD LIBOR + 1.63%, Rate Floor: 0.00%) due 12/13/21†††,4,6   3,000,000    3,000,000 
Oxford Finance Funding          
2020-1A, 3.10% due 02/15/284   1,500,000    1,535,249 
Nassau LLC          
2019-1, 3.98% due 08/15/344   1,076,667    1,095,883 
Total Financial        44,025,385 
Whole Business - 1.7%          
Domino's Pizza Master Issuer LLC          
2017-1A, 4.12% due 07/25/474   6,790,000    7,274,127 
2017-1A, 1.47% (3 Month USD LIBOR + 1.25%, Rate Floor: 0.00%) due 07/25/474,6   970,000    970,951 
Arbys Funding LLC          
2020-1A, 3.24% due 07/30/504   6,733,125    6,879,974 
ServiceMaster Funding LLC          
2020-1, 2.84% due 01/30/514   4,000,000    4,073,400 
Taco Bell Funding LLC          
2016-1A, 4.97% due 05/25/464   3,618,750    3,902,822 
Wendy's Funding LLC          
2019-1A, 3.78% due 06/15/494   1,412,760    1,496,862 
2015-1A, 4.50% due 06/15/454   426,375    432,613 
Wingstop Funding LLC          
2020-1A, 2.84% due 12/05/504   1,800,000    1,836,486 
Applebee's Funding LLC / IHOP Funding LLC          
2019-1A, 4.72% due 06/07/494   997,500    970,657 
Total Whole Business        27,837,892 
Transport-Aircraft - 0.9%          
AASET US Ltd.          
2018-2A, 4.45% due 11/18/384   2,852,481    2,694,794 
Castlelake Aircraft Securitization Trust          
2018-1, 4.13% due 06/15/434   1,315,537    1,250,423 
2017-1, 3.97% due 07/15/42   1,310,714    1,227,428 
AASET Trust          
2020-1A, 3.35% due 01/16/404   1,901,727    1,790,113 
2017-1A, 3.97% due 05/16/424   419,010    388,592 
Sapphire Aviation Finance II Ltd.          
2020-1A, 3.23% due 03/15/404   2,119,364    2,051,777 
MAPS Ltd.          
2018-1A, 4.21% due 05/15/434   1,987,250    1,893,795 
Sapphire Aviation Finance I Ltd.          
2018-1A, 4.25% due 03/15/404   1,820,826    1,761,960 
WAVE LLC          
2019-1, 3.60% due 09/15/444   935,759    912,512 
AIM Aviation Finance Ltd.          
2015-1A, 4.21% due 02/15/404   762,781    591,650 
Falcon Aerospace Ltd.          
2017-1, 4.58% due 02/15/424   480,026    459,851 
Raspro Trust          
2005-1A, 1.14% (3 Month USD LIBOR + 0.93%, Rate Floor: 0.93%) due 03/23/244,6   405,814    395,274 
Turbine Engines Securitization Ltd.          
2013-1A, 5.13% due 12/13/485   422,684    342,404 
Total Transport-Aircraft        15,760,573 
Net Lease - 0.8%          
Capital Automotive REIT          
2020-1A, 3.81% due 02/15/504   2,249,062    2,352,366 
2020-1A, 3.48% due 02/15/504   1,249,479    1,308,619 
Capital Automotive LLC          
2017-1A, 3.87% due 04/15/474   2,758,225    2,762,400 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 22.3% (continued)
Net Lease - 0.8% (continued)        
Store Master Funding I-VII        
2016-1A, 3.96% due 10/20/464  $,673,073   $2,746,302 
Oak Street Investment Grade Net Lease Fund Series          
2020-1A, 2.26% due 11/20/504   2,500,000    2,517,526 
STORE Master Funding LLC          
2014-1A, 5.00% due 04/20/444   1,450,625    1,521,864 
CF Hippolyta LLC          
2020-1, 2.28% due 07/15/604   715,784    726,857 
2020-1, 2.60% due 07/15/604   238,595    240,911 
Total Net Lease        14,176,845 
Transport-Container - 0.8%          
Textainer Marine Containers VII Ltd.          
2020-1A, 2.73% due 08/21/454   4,487,642    4,616,104 
CLI Funding VI LLC          
2020-3A, 2.07% due 10/18/454   1,945,000    1,961,667 
2020-1A, 2.08% due 09/18/454   1,930,000    1,950,331 
CAL Funding IV Ltd.          
2020-1A, 2.22% due 09/25/454   1,957,500    1,982,388 
Global SC Finance II SRL          
2014-1A, 3.19% due 07/17/294   1,254,167    1,254,182 
Textainer Marine Containers VIII Ltd.          
2020-2A, 2.10% due 09/20/454   976,723    990,367 
Total Transport-Container        12,755,039 
Infrastructure - 0.7%          
SBA Tower Trust          
2.33% due 01/15/284   9,250,000    9,323,237 
Secured Tenant Site Contract Revenue Notes Series          
2018-1A, 3.97% due 06/15/484   1,050,692    1,075,145 
Diamond Issuer LLC          
2020-1A, 2.74% due 07/20/504   1,000,000    1,000,215 
Total Infrastructure        11,398,597 
Collateralized Debt Obligations - 0.5%          
Anchorage Credit Funding Ltd.          
2016-4A, 3.50% due 02/15/354   3,750,000    3,765,694 
2016-3A, 3.85% due 10/28/334   1,000,000    1,010,657 
Anchorage Credit Funding 3 Ltd.          
2021-3A, 2.87% due 01/28/394   3,750,000    3,754,058 
Putnam Structured Product Funding Ltd.          
2003-1A, 1.18% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 10/15/385,6   77,680    77,432 
Total Collateralized Debt Obligations        8,607,841 
Insurance - 0.1%          
JGWPT XXV LLC          
2012-1A, 4.21% due 02/16/654   1,401,226    1,642,029 
Chesterfield Financial Holdings LLC          
2014-1A, 4.50% due 12/15/344   357,750    367,862 
Total Insurance        2,009,891 
Diversified Payment Rights - 0.1%          
Bib Merchant Voucher Receivables Ltd.          
4.18% due 04/07/28†††   1,000,000    1,075,422 
Total Asset-Backed Securities          
(Cost $366,743,670)        367,443,363 
           
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 15.1%          
Government Agency - 7.2%          
Fannie Mae          
2.24% due 01/01/51†††   6,000,000    6,074,087 
2.00% due 09/01/50   5,126,629    5,039,203 
2.43% due 01/01/30   4,500,000    4,869,673 
3.60% due 03/01/31   4,000,000    4,729,715 
2.36% due 08/01/50   4,500,000    4,592,813 
2.55% due 12/01/29   3,000,000    3,270,490 
2.20% due 11/01/27   2,596,635    2,783,647 
4.17% due 02/01/49   2,000,000    2,428,799 
3.59% due 02/01/29   2,025,000    2,292,682 
3.09% due 10/01/29   2,000,000    2,267,495 
2.81% due 09/01/39   2,000,000    2,256,600 
2.24% due 01/01/50   2,000,000    2,233,233 
3.11% due 04/01/30   1,951,779    2,187,854 
2.46% due 01/01/30   2,000,000    2,171,673 
2.30% due 11/01/29   2,000,000    2,163,659 
2.39% due 02/01/27   2,000,000    2,158,608 
2.40% due 03/01/40   2,000,000    2,132,308 
2.11% due 10/01/50   1,894,359    1,891,135 
2.27% due 01/01/51   1,750,000    1,763,290 
2.39% due 02/01/51   1,457,000    1,494,336 
due 12/25/438   1,508,267    1,382,247 
4.24% due 08/01/48   1,000,000    1,178,400 
4.27% due 12/01/33   970,345    1,177,239 
3.83% due 05/01/49   1,000,000    1,175,397 
3.74% due 02/01/30   1,000,000    1,174,039 
3.61% due 04/01/39   1,000,000    1,163,324 
2.99% due 01/01/40   1,000,000    1,156,684 
2.79% due 01/01/32   985,705    1,102,842 
3.46% due 08/01/49   979,347    1,096,336 
2.69% due 10/01/34   978,551    1,066,668 
2.68% due 04/01/50   987,648    1,066,166 
2.34% due 05/01/27   988,432    1,063,146 
1.68% due 09/01/37   989,056    1,011,141 
2.96% due 11/01/29   900,000    1,010,503 
1.83% due 08/01/40   989,032    1,004,488 
2.10% due 07/01/50   992,378    990,249 
1.76% due 08/01/40   1,000,000    977,772 
2.90% due 11/01/29   850,000    951,110 
4.07% due 05/01/49   783,206    922,954 
4.37% due 10/01/48   729,752    875,927 
4.25% due 05/01/48   646,034    751,121 
2.99% due 09/01/29   650,000    731,902 
3.05% due 10/01/29   500,000    557,645 
3.01% due 12/01/27   500,000    543,163 
3.94% due 10/01/36   339,081    411,034 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 15.1% (continued)
Government Agency - 7.2% (continued)        
Freddie Mac Multifamily Structured Pass Through Certificates          
2019-1513, 2.80% due 08/25/34   3,950,000   $4,509,059 
2017-KW03, 3.02% due 06/25/27   3,000,000    3,353,920 
2020-KJ28, 2.31% due 10/25/27   1,850,000    1,987,307 
2018-K073, 3.45% (WAC) due 01/25/286   1,200,000    1,394,285 
2019-KJ27, 2.59% due 03/25/25   1,150,000    1,235,036 
2018-K078, 3.92% due 06/25/28   1,000,000    1,191,529 
2018-K074, 3.60% due 02/25/28   1,000,000    1,167,604 
2017-K066, 3.20% due 06/25/27   1,000,000    1,139,550 
Fannie Mae-Aces          
2020-M23, 1.50% (WAC) due 03/25/356,9   26,168,678    3,598,541 
2020-M23, 1.74% due 03/25/35   3,220,000    3,302,451 
2017-M11, 2.98% due 08/25/29   2,500,000    2,839,383 
Freddie Mac Seasoned Credit Risk Transfer Trust          
2020-3, 2.00% due 05/25/60   4,870,083    5,016,655 
2020-2, 2.00% due 11/25/59   1,867,146    1,924,443 
Freddie Mac          
1.98% due 05/01/50   1,399,056    1,401,406 
2018-4762, 4.00% due 01/15/46   1,000,000    1,048,788 
Total Government Agency        118,452,754 
Residential Mortgage Backed Securities - 5.0%          
CSMC Trust          
2020-RPL5, 3.02% due 08/25/604   7,351,750    7,372,687 
2018-RPL9, 3.85% (WAC) due 09/25/574,6   1,885,714    2,016,602 
2020-NQM1, 1.72% due 05/25/654,10   890,039    891,907 
Verus Securitization Trust          
2020-1, 2.42% due 01/25/604,10   1,862,819    1,897,522 
2019-4, 2.85% due 11/25/594,10   1,540,170    1,575,029 
2019-4, 2.64% due 11/25/594,10   1,436,380    1,469,682 
Cascade Funding Mortgage Trust          
2018-RM2, 4.00% (WAC) due 10/25/685,6   3,239,311    3,344,554 
2019-RM3, 2.80% (WAC) due 06/25/695,6   842,591    852,593 
CIM Trust          
2018-R2, 3.69% (WAC) due 08/25/574,6   2,057,359    2,058,971 
2018-R4, 4.07% (WAC) due 12/26/574,6   2,027,872    2,036,819 
Starwood Mortgage Residential Trust          
2019-1, 2.94% (WAC) due 06/25/494,6   931,683    945,020 
2020-1, 2.41% (WAC) due 02/25/504,6   924,890    944,734 
2020-1, 2.56% (WAC) due 02/25/504,6   924,890    943,125 
2020-1, 2.28% (WAC) due 02/25/504,6   709,426    725,043 
JP Morgan Mortgage Acquisition Trust 2006-WMC4          
2006-WMC4, 0.28% (1 Month USD LIBOR + 0.13%, Rate Floor: 0.13%) due 12/25/366   4,316,777    3,328,828 
IXIS Real Estate Capital Trust          
2007-HE1, 0.31% (1 Month USD LIBOR + 0.16%, Rate Floor: 0.16%) due 05/25/376   6,286,477    2,166,317 
2006-HE1, 0.75% (1 Month USD LIBOR + 0.60%, Rate Floor: 0.60%) due 03/25/366   1,455,260    959,735 
Argent Securities Incorporated Asset-Backed Pass-Through Certificates Series          
2005-W2, 0.88% (1 Month USD LIBOR + 0.74%, Rate Floor: 0.74%) due 10/25/356   2,000,000    1,981,657 
2005-W4, 0.91% (1 Month USD LIBOR + 0.76%, Rate Floor: 0.76%) due 02/25/366   1,141,409    1,037,147 
BRAVO Residential Funding Trust          
2019-NQM1, 2.67% (WAC) due 07/25/594,6   1,523,140    1,558,934 
2019-NQM2, 2.75% (WAC) due 11/25/594,6   1,316,219    1,357,463 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 15.1% (continued)
Residential Mortgage Backed Securities - 5.0% (continued)        
GSAA Home Equity Trust        
2005-6, 0.79% (1 Month USD LIBOR + 0.65%, Rate Floor: 0.65%) due 06/25/356   2,870,963   $2,906,632 
New Residential Mortgage Loan Trust          
2018-2A, 3.50% (WAC) due 02/25/584,6   1,171,441    1,228,099 
2019-6A, 3.50% (WAC) due 09/25/594,6   812,422    862,032 
2018-1A, 4.00% (WAC) due 12/25/574,6   568,829    615,106 
NovaStar Mortgage Funding Trust Series          
2007-2, 0.35% (1 Month USD LIBOR + 0.20%, Rate Cap/Floor: 11.00%/0.20%) due 09/25/376   1,734,321    1,661,615 
2007-1, 0.28% (1 Month USD LIBOR + 0.13%, Rate Cap/Floor: 11.00%/0.13%) due 03/25/376   1,304,231    956,642 
Securitized Asset Backed Receivables LLC Trust 2006-WM4          
2006-WM4, 0.27% (1 Month USD LIBOR + 0.12%, Rate Floor: 0.12%) due 11/25/366   5,755,307    2,299,228 
Homeward Opportunities Fund I Trust          
2019-3, 2.68% (WAC) due 11/25/594,6   1,248,081    1,270,625 
2019-2, 2.70% (WAC) due 09/25/594,6   798,467    807,258 
Lehman XS Trust Series          
2007-4N, 0.35% (1 Month USD LIBOR + 0.20%, Rate Floor: 0.20%) due 03/25/476   2,091,111    2,074,491 
JP Morgan Mortgage Acquisition Trust          
2006-WMC4, 0.27% (1 Month USD LIBOR + 0.12%, Rate Floor: 0.12%) due 12/25/366   2,917,373    1,869,293 
Residential Mortgage Loan Trust          
2020-1, 2.38% (WAC) due 02/25/244,6   827,637    843,442 
2020-1, 2.68% (WAC) due 02/25/244,6   827,637    841,840 
Angel Oak Mortgage Trust          
2020-1, 2.77% (WAC) due 12/25/594,6   1,611,368    1,638,012 
American Home Mortgage Investment Trust          
2007-1, 2.08% due 05/25/479   7,984,061    1,334,575 
SPS Servicer Advance Receivables Trust          
2020-T2, 1.83% due 11/15/554   1,250,000    1,257,273 
LSTAR Securities Investment Ltd.          
2019-5, 1.66% (1 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 11/01/244,6   1,271,108    1,256,636 
SG Residential Mortgage Trust          
2019-3, 2.70% (WAC) due 09/25/594,6   1,203,080    1,219,613 
Citigroup Mortgage Loan Trust, Inc.          
2007-AMC1, 0.31% (1 Month USD LIBOR + 0.16%, Rate Floor: 0.16%) due 12/25/364,6   1,754,897    1,212,226 
ACE Securities Corporation Home Equity Loan Trust Series          
2006-NC1, 0.76% (1 Month USD LIBOR + 0.62%, Rate Floor: 0.62%) due 12/25/356   1,250,000    1,190,563 
Long Beach Mortgage Loan Trust          
2006-6, 0.40% (1 Month USD LIBOR + 0.25%, Rate Floor: 0.25%) due 07/25/366   1,969,517    1,044,113 
GSAMP Trust          
2007-NC1, 0.28% (1 Month USD LIBOR + 0.13%, Rate Floor: 0.13%) due 12/25/466   1,619,443    1,025,655 
Park Place Securities Incorporated Asset-Backed Pass Through Certificates Series          
2005-WHQ3, 1.09% (1 Month USD LIBOR + 0.95%, Rate Floor: 0.95%) due 06/25/356   1,000,000    995,899 
Asset-Backed Securities Corporation Home Equity Loan Trust Series AEG          
2006-HE1, 0.55% (1 Month USD LIBOR + 0.40%, Rate Floor: 0.40%) due 01/25/366   1,000,000    961,818 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 15.1% (continued)
Residential Mortgage Backed Securities - 5.0% (continued)        
Securitized Asset-Backed Receivables LLC Trust        
2006-HE2, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 07/25/366   1,667,688   $953,899 
GS Mortgage-Backed Securities Trust          
2020-NQM1, 1.79% (WAC) due 09/27/604,6   866,893    871,460 
Merrill Lynch Alternative Note Asset Trust Series          
2007-A1, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 01/25/376   1,938,168    866,194 
Citigroup Mortgage Loan Trust          
2019-IMC1, 2.72% (WAC) due 07/25/494,6   840,922    856,009 
Structured Asset Investment Loan Trust          
2005-11, 0.87% (1 Month USD LIBOR + 0.72%, Rate Floor: 0.72%) due 01/25/366   843,824    830,782 
Legacy Mortgage Asset Trust          
2018-GS3, 4.00% due 06/25/584,10   681,204    685,721 
HarborView Mortgage Loan Trust          
2006-14, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 01/25/476   751,388    685,117 
Bear Stearns Asset-Backed Securities I Trust          
2006-HE9, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 11/25/366   598,176    571,763 
Structured Asset Securities Corporation Mortgage Loan Trust          
2006-BC4, 0.32% (1 Month USD LIBOR + 0.17%, Rate Floor: 0.17%) due 12/25/366   553,253    543,273 
Nationstar HECM Loan Trust          
2019-2A, 2.27% (WAC) due 11/25/294,6   538,735    539,880 
RALI Series Trust          
2006-QO2, 0.59% (1 Month USD LIBOR + 0.44%, Rate Floor: 0.44%) due 02/25/466   1,673,199    521,386 
Deephaven Residential Mortgage Trust          
2019-3A, 2.96% (WAC) due 07/25/594,6   506,003    511,200 
Deutsche Alt-A Securities Mortgage Loan Trust Series          
2007-OA2, 1.38% (1 Year CMT Rate + 0.77%, Rate Floor: 0.77%) due 04/25/476   519,524    479,634 
CSMC Series          
2015-12R, 0.65% (WAC) due 11/30/374,6   425,952    424,563 
LSTAR Securities Investment Trust          
2019-1, 1.86% (1 Month USD LIBOR + 1.70%, Rate Floor: 0.00%) due 03/01/244,6   417,786    419,281 
Washington Mutual Mortgage Pass-Through Certificates WMALT Series Trust          
2006-AR9, 1.45% (1 Year CMT Rate + 0.84%, Rate Floor: 0.84%) due 11/25/466   345,623    289,692 
MASTR Adjustable Rate Mortgages Trust          
2003-5, 2.17% (WAC) due 11/25/336   301,061    280,806 
UCFC Manufactured Housing Contract          
1997-2, 7.38% due 10/15/28   85,913    90,001 
GreenPoint Mortgage Funding Trust          
2007-AR1, 0.23% (1 Month USD LIBOR + 0.08%, Rate Floor: 0.08%) due 02/25/47†††,6   74    74 
Total Residential Mortgage Backed Securities        81,257,790 
Commercial Mortgage Backed Securities - 1.8%          
GS Mortgage Securities Trust          
2020-GSA2, 2.34% due 12/12/53   8,000,000    8,019,923 
2020-GC45, 0.67% (WAC) due 02/13/536,9   18,979,442    942,747 
2019-GC42, 0.81% (WAC) due 09/01/526,9   14,953,809    857,442 
CD 2017-CD4 Mortgage Trust          
2017-CD4, 3.95% (WAC) due 05/10/506   4,750,000    5,303,784 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 15.1% (continued)
Commercial Mortgage Backed Securities - 1.8% (continued)        
GB Trust        
2020-FLIX, 1.76% (1 Month USD LIBOR + 1.60%, Rate Floor: 1.60%) due 08/15/374,6   2,000,000   $2,008,982 
2020-FLIX, 2.51% (1 Month USD LIBOR + 2.35%, Rate Floor: 2.35%) due 08/15/374,6   1,000,000    1,006,946 
GS Mortgage Securities Corporation Trust          
2020-UPTN, 3.25% (WAC) due 02/10/374,6   1,000,000    978,657 
2020-DUNE, 1.51% (1 Month USD LIBOR + 1.35%, Rate Floor: 1.35%) due 12/15/364,6   1,000,000    947,782 
BENCHMARK Mortgage Trust          
2019-B14, 0.79% (WAC) due 12/15/626,9   19,922,054    998,477 
2018-B6, 0.44% (WAC) due 10/10/516,9   31,252,070    744,290 
COMM Mortgage Trust          
2015-CR24, 0.76% (WAC) due 08/10/486,9   44,988,059    1,335,408 
2015-CR26, 0.93% (WAC) due 10/10/486,9   9,125,626    331,691 
Citigroup Commercial Mortgage Trust          
2019-GC43, 0.63% (WAC) due 11/10/526,9   19,965,291    919,498 
2016-GC37, 1.70% (WAC) due 04/10/496,9   3,438,866    244,662 
2016-C2, 1.75% (WAC) due 08/10/496,9   2,407,597    182,627 
2016-P5, 1.50% (WAC) due 10/10/496,9   1,913,946    112,172 
GRACE Mortgage Trust          
2014-GRCE, 3.37% due 06/10/284   1,000,000    999,888 
CSAIL Commercial Mortgage Trust          
2019-C15, 1.05% (WAC) due 03/15/526,9   12,449,328    807,516 
SG Commercial Mortgage Securities Trust          
2016-C5, 1.96% (WAC) due 10/10/486,9   9,519,272    663,867 
Bancorp Commercial Mortgage Trust          
2018-CR3, 1.41% (1 Month USD LIBOR + 1.25%, Rate Floor: 1.25%) due 01/15/334,6   583,524    581,971 
UBS Commercial Mortgage Trust          
2017-C2, 1.08% (WAC) due 08/15/506,9   10,425,564    513,619 
JPMDB Commercial Mortgage Securities Trust          
2016-C2, 1.57% (WAC) due 06/15/496,9   7,589,130    445,801 
Morgan Stanley Capital I Trust          
2016-UB11, 1.51% (WAC) due 08/15/496,9   6,887,383    417,468 
Wells Fargo Commercial Mortgage Trust          
2016-NXS5, 1.46% (WAC) due 01/15/596,9   3,879,523    224,046 
2016-C37, 0.96% (WAC) due 12/15/496,9   3,621,116    114,806 
CFCRE Commercial Mortgage Trust          
2016-C3, 1.00% (WAC) due 01/10/486,9   5,678,426    244,958 
CD Mortgage Trust          
2016-CD1, 1.39% (WAC) due 08/10/496,9   2,485,304    143,869 
Total Commercial Mortgage Backed Securities        30,092,897 
Military Housing - 1.1%          
Freddie Mac Military Housing Bonds Resecuritization Trust Certificates          
2015-R1, 1.93% (WAC) due 11/25/554,6   7,120,465    8,665,118 
2015-R1, 6.19% (WAC) due 11/25/524,6   2,949,389    3,487,405 
2015-R1, 0.29% (WAC) due 11/25/554,6,9   10,421,343    729,151 
Capmark Military Housing Trust          
2006-RILY, 6.15% due 07/10/514   2,318,759    2,640,441 
2007-ROBS, 6.06% due 10/10/524   465,109    539,411 
2007-AETC, 5.75% due 02/10/524   274,623    311,565 
GMAC Commercial Mortgage Asset Corp.          
2007-HCKM, 6.11% due 08/10/524   1,462,940    1,667,058 
Total Military Housing        18,040,149 
Total Collateralized Mortgage Obligations          
(Cost $239,888,209)        247,843,590 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,6 - 4.2%
Consumer, Non-cyclical - 0.9%        
US Foods, Inc.        
4.25% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.25%) due 04/24/25†††   3,434,375   $3,365,687 
Bombardier Recreational Products, Inc.          
6.00% (3 Month USD LIBOR + 5.00%, Rate Floor: 6.00%) due 05/24/27   3,291,750    3,351,001 
Packaging Coordinators Midco, Inc.          
4.50% (6 Month USD LIBOR + 3.75%, Rate Floor: 4.50%) due 11/30/27   2,250,000    2,250,000 
Avantor Funding, Inc.          
3.50% (1 Month USD LIBOR + 2.50%, Rate Floor: 3.50%) due 11/08/27   1,500,000    1,500,945 
Southern Veterinary Partners LLC          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 10/05/27†††   1,318,182    1,311,591 
HAH Group Holding Co LLC          
6.00% (3 Month USD LIBOR + 5.00%, Rate Floor: 6.00%) due 10/29/27   1,020,000    1,011,075 
WellSky Corp.          
due 02/09/24†††   800,000    798,000 
Dole Food Company, Inc.          
3.75% (1 Month USD LIBOR + 2.75%, Rate Floor: 3.75%) due 04/06/24   661,409    659,756 
Weber-Stephen Products LLC          
4.00% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.00%) due 10/29/27   600,000    600,300 
Elanco Animal Health, Inc.          
1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 08/02/27   389,643    385,829 
Callaway Golf Company          
4.65% (1 Month USD LIBOR + 4.50%, Rate Floor: 4.50%) due 01/02/26   199,459    199,709 
Total Consumer, Non-cyclical        15,433,893 
Financial - 0.7%          
Citadel Securities LP          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 02/27/26   3,012,393    3,011,128 
Jefferies Finance LLC          
4.50% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.50%) due 09/30/27   1,396,500    1,393,009 
USI, Inc.          
4.50% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.50%) due 12/02/26   1,197,000    1,193,265 
HUB International Ltd.          
2.96% (3 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 04/25/25   950,000    931,893 
AmWINS Group, Inc.          
3.75% (1 Month USD LIBOR + 2.75%, Rate Floor: 3.75%) due 01/25/24   895,328    893,493 
Nexus Buyer LLC          
3.90% (1 Month USD LIBOR + 3.75%, Rate Floor: 3.75%) due 11/09/26   897,733    890,255 
Cross Financial Corp.          
5.50% (1 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 09/15/27   800,000    800,000 
Virtu Financial, Inc.          
3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/01/26   780,998    778,881 
Alliant Holdings Intermediate LLC          
3.40% (1 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 05/09/25   497,449    489,156 
Jane Street Group LLC          
3.23% (3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 01/31/25   248,744    248,060 
Ryan Specialty Group LLC          
4.00% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.00%) due 09/01/27   49,875    49,688 
Total Financial        10,678,828 
Industrial - 0.6%          
Delta Air Lines, Inc.          
5.75% (3 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 05/01/23   2,487,500    2,522,599 
Mileage Plus Holdings LLC          
6.25% (3 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 06/21/27   1,950,000    2,026,791 
Pelican Products, Inc.          
4.50% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 05/01/25   1,050,000    1,027,246 
Alliance Laundry Systems LLC          
4.25% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.25%) due 10/08/27   1,000,000    998,750 
TransDigm, Inc.          
2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 12/09/25   885,528    866,622 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,6 - 4.2% (continued)
Industrial - 0.6% (continued)        
Vertical (TK Elevator)        
4.57% (3 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 07/30/27   847,875   $850,749 
Service Logic Acquisition, Inc.          
4.75% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.75%) due 10/29/27   669,851    669,013 
Diversitech Holdings, Inc.          
4.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 06/03/24   497,810    492,419 
American Residential Services LLC          
4.25% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.25%) due 10/15/27   400,000    399,000 
Berlin Packaging LLC          
3.16% (1 Month USD LIBOR + 3.00% and 3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 11/07/25   298,090    292,837 
Beacon Roofing Supply, Inc.          
2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 01/02/25   248,087    246,033 
CPG International LLC          
4.75% (3 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 05/06/24   58,070    57,983 
Total Industrial        10,450,042 
Consumer, Cyclical - 0.6%          
CHG Healthcare Services, Inc.          
4.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 06/07/23   3,030,062    3,007,822 
Samsonite IP Holdings SARL          
5.50% (1 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 04/25/25   2,437,750    2,421,003 
BGIS (BIFM CA Buyer, Inc.)          
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 06/01/26   2,135,006    2,127,000 
CNT Holdings I Corp.          
4.50% (6 Month USD LIBOR + 3.75%, Rate Floor: 4.50%) due 11/08/27   1,650,000    1,647,162 
Whatabrands, LLC          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 07/31/26   143,822    142,360 
Packers Sanitation Services, Inc.          
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 12/04/24   99,233    98,736 
Total Consumer, Cyclical        9,444,083 
Technology - 0.5%          
Ascend Learning LLC          
4.75% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 07/12/24   3,690,750    3,696,914 
Solera LLC          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 03/03/23   1,890,078    1,873,540 
Valkyr Purchaser, LLC          
4.75% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.75%) due 11/05/27   1,600,000    1,580,000 
RP Crown Parent LLC (Blue Yonder)          
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 02/02/26   796,000    794,010 
Navicure, Inc.          
4.75% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.75%) due 10/22/26   299,250    298,502 
Cologix Holdings, Inc.          
4.75% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 03/20/24   150,000    148,366 
Total Technology        8,391,332 
Basic Materials - 0.3%          
Illuminate Buyer LLC          
4.15% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 06/30/27   1,850,000    1,849,223 
GrafTech Finance, Inc.          
4.50% (1 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 02/12/25   1,758,229    1,754,572 
LSF11 Skyscraper HoldCo SARL          
5.74% (3 Month USD LIBOR + 5.50%, Rate Floor: 5.50%) due 09/29/27   1,271,773    1,265,414 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,6 - 4.2% (continued)
Basic Materials - 0.3% (continued)        
PQ Corp.        
4.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 02/08/27   463,641   $463,159 
Total Basic Materials        5,332,368 
Communications - 0.3%          
UPC Financing Partnership          
3.68% (3 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 01/31/29   1,525,000    1,525,762 
3.67% (3 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 01/31/29   1,525,000    1,525,763 
Xplornet Communications Inc.          
4.90% (1 Month USD LIBOR + 4.75%, Rate Floor: 4.75%) due 06/10/27   1,346,875    1,347,212 
Alchemy Copyrights LLC          
4.00% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.00%) due 08/16/27†††   400,000    401,000 
Liberty Cablevision of Puerto Rico LLC          
5.16% (1 Month USD LIBOR + 5.00%, Rate Floor: 5.00%) due 10/15/26   150,000    150,406 
Radiate Holdco, LLC          
4.25% (1 Month USD LIBOR + 3.50%, Rate Floor: 4.25%) due 09/25/26   150,000    150,071 
Total Communications        5,100,214 
Utilities - 0.2%          
Hamilton Projects Acquiror LLC          
5.75% (3 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 06/17/27   3,092,231    3,094,179 
Energy - 0.1%          
Venture Global Calcasieu Pass LLC          
2.53% (1 Month USD LIBOR + 2.38% and 3 Month USD LIBOR + 2.38%, Rate Floor: 2.38%) due 08/19/26   938,757    882,432 
Total Senior Floating Rate Interests          
(Cost $67,666,019)        68,807,371 
           
FEDERAL AGENCY BONDS†† - 3.4%          
Residual Funding Corporation Principal Strips          
 due 04/15/308,11   7,530,000    6,690,469 
 due 01/15/308,11   6,645,000    5,910,336 
Fannie Mae Principal Strips          
 due 07/15/378,11   13,000,000    9,513,955 
 due 08/06/3811   250,000    177,047 
Federal Farm Credit Banks Funding Corp.          
3.51% due 06/11/40   3,300,000    4,174,474 
2.43% due 01/29/37   3,000,000    3,345,833 
2.70% due 01/30/45   1,053,000    1,195,187 
2.88% due 10/01/40   350,000    406,314 
Freddie Mac Principal Strips          
 due 07/15/3211   10,550,000    8,936,023 
Tennessee Valley Authority Principal Strips          
 due 01/15/488,11   9,700,000    4,901,939 
 due 01/15/3811   4,000,000    2,851,505 
 due 12/15/428,11   1,600,000    963,235 
Tennessee Valley Authority          
4.25% due 09/15/65   1,300,000    1,961,404 
5.38% due 04/01/56   600,000    1,032,108 
Freddie Mac          
 due 01/02/3411   1,850,000    1,500,617 
 due 09/15/3611   300,000    223,570 
due 01/15/2811        150,000    137,591 
U.S. International Development Finance Corp.          
 due 01/17/2611   800,000    873,776 
1.79% due 10/15/29   588,138    620,233 
Tennessee Valley Authority Principal          
 due 06/15/358,11   1,583,000    1,177,669 
Total Federal Agency Bonds          
(Cost $49,054,523)        56,593,285 
           
U.S. GOVERNMENT SECURITIES†† - 3.3%          
U.S. Treasury Strips          
 due 02/15/508,11,12   50,802,000    31,014,087 
U.S. Treasury Notes          
1.63% due 10/31/2612   15,753,000    16,800,329 
0.50% due 03/31/25   5,030,000    5,076,370 
1.50% due 09/30/24   1,192,000    1,248,201 
Total U.S. Government Securities          
(Cost $55,635,273)        54,138,987 
           
MUNICIPAL BONDS†† - 1.9%          
Texas - 0.6%          
Tarrant County Cultural Education Facilities Finance Corp. Revenue Bonds          
3.29% due 09/01/40   2,100,000    2,151,513 
2.78% due 09/01/34   700,000    707,917 
2.69% due 09/01/33   500,000    505,220 
2.57% due 09/01/32   475,000    478,510 
2.41% due 09/01/31   450,000    451,741 
2.08% due 09/01/28   300,000    301,398 
City of Dallas Texas Waterworks & Sewer System Revenue Bonds          
2.77% due 10/01/40   2,300,000    2,429,237 
Grand Parkway Transportation Corp. Revenue Bonds          
3.31% due 10/01/49   1,500,000    1,561,485 
North Texas Tollway Authority Revenue Bonds          
3.03% due 01/01/40   1,000,000    1,031,210 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
MUNICIPAL BONDS†† - 1.9% (continued)
Texas - 0.6% (continued)        
Dallas/Fort Worth International Airport Revenue Bonds        
2.92% due 11/01/50   1,000,000   $1,027,620 
Total Texas        10,645,851 
California - 0.5%          
State of California General Obligation Unlimited          
7.55% due 04/01/39   700,000    1,229,060 
7.35% due 11/01/39   650,000    1,079,611 
Newport Mesa Unified School District General Obligation Unlimited          
 due 08/01/4411   2,000,000    902,360 
 due 08/01/4111   1,540,000    794,517 
 due 08/01/4611   750,000    310,238 
Santa Monica Community College District General Obligation Unlimited          
2.70% due 08/01/40   1,100,000    1,128,985 
San Dieguito Union High School District General Obligation Unlimited          
2.68% due 08/01/36   1,000,000    1,046,770 
William S Hart Union High School District General Obligation Unlimited          
2.36% due 08/01/37   1,000,000    1,020,420 
Beverly Hills Unified School District California General Obligation Unlimited          
 due 08/01/3911   1,410,000    756,056 
Hillsborough City School District General Obligation Unlimited          
 due 09/01/3611   1,000,000    634,210 
Cypress School District General Obligation Unlimited          
 due 08/01/4811   1,000,000    417,970 
Hanford Joint Union High School District General Obligation Unlimited          
 due 08/01/3911   500,000    258,635 
Total California        9,578,832 
New York - 0.3%          
Westchester County Local Development Corp. Revenue Bonds          
3.85% due 11/01/50   2,700,000    2,822,094 
New York Power Authority Revenue Bonds          
2.82% due 11/15/39   1,000,000    1,071,080 
4.00% due 11/15/45   740,000    880,378 
Total New York        4,773,552 
Idaho - 0.1%          
Boise State University Revenue Bonds          
3.06% due 04/01/40   1,150,000    1,184,500 
Ohio - 0.1%          
County of Franklin Ohio Revenue Bonds          
2.88% due 11/01/50   1,000,000    1,030,990 
Colorado - 0.1%          
University of Colorado Revenue Bonds          
2.81% due 06/01/48   1,000,000    1,026,120 
Mississippi - 0.1%          
Medical Center Educational Building Corp. Revenue Bonds          
2.92% due 06/01/41   1,000,000    1,013,640 
Alabama - 0.1%          
Auburn University Revenue Bonds          
2.68% due 06/01/50   1,000,000    1,005,080 
Illinois - 0.0%          
State of Illinois General Obligation Unlimited          
5.65% due 12/01/38   500,000    594,650 
Cook County School District No. 155 Calumet City General Obligation Unlimited          
5.30% due 12/01/22   5,000    5,406 
Total Illinois        600,056 
Total Municipal Bonds          
(Cost $29,422,822)        30,858,621 
           
SENIOR FIXED RATE INTERESTS†† - 0.1%          
Industrial - 0.1%          
CTL Logistics          
2.65% due 06/10/42   1,332,369    1,332,369 
Total Senior Fixed Rate Interests          
(Cost $1,332,369)        1,332,369 
           
FOREIGN GOVERNMENT BONDS†† - 0.0%          
Bermuda Government International Bond          
3.38% due 08/20/50   500,000    538,750 
Total Foreign Government Bonds          
(Cost $498,605)        538,750 

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Notional
Value
   Value 
OTC OPTIONS PURCHASED†† - 0.3%
Call options on:        
Bank of America, N.A. 2Y-10 CMS CAP
Expiring July 2022 with strike price of $0.40
   557,500,000   $2,809,800 
Morgan Stanley Capital Services LLC 2Y-10 CMS CAP
Expiring July 2022 with strike price of $0.40
   227,800,000    1,148,112 
Goldman Sachs International 2Y-10 CMS CAP
Expiring July 2022 with strike price of $0.61
   232,600,000    818,752 
Goldman Sachs International 2Y-10 CMS CAP
Expiring July 2022 with strike price of $0.40
   54,700,000    275,688 
Bank of America, N.A. 2Y-10 CMS CAP
Expiring July 2022 with strike price of $0.61
   47,400,000    166,848 
Total OTC Options Purchased          
(Cost $2,535,362)        5,219,200 
Total Investments - 104.4%          
(Cost $1,620,154,525)       $1,717,076,933 
Other Assets & Liabilities, net - (4.4)%        (72,439,415)
Total Net Assets - 100.0%       $1,644,637,518 

 

Centrally Cleared Credit Default Swap Agreements Protection Sold††        
Counterparty  Exchange  Index  Protection
Premium
Rate
  Payment
Frequency
  Maturity Date  Notional
Amount
   Value   Upfront
Premiums
Paid
   Unrealized
Appreciation**
 
BofA Securities, Inc.  ICE  CDX.NA.HY.35.V1  5.00%  Quarterly  12/20/25  $7,650,000   $713,522   $309,860   $403,662 

 

Centrally Cleared Interest Rate Swap Agreements††        
Counterparty  Exchange  Floating
Rate
Type
  Floating
Rate Index
  Fixed
Rate
  Payment
Frequency
  Maturity
Date
  Notional
Amount
   Value   Upfront
Premiums
Paid
   Unrealized
Appreciation
(Depreciation)**
 
BofA Securities, Inc.  CME  Receive  3-Month USD LIBOR  0.99%  Quarterly  08/25/50  $10,000,000   $1,074,406   $469   $1,073,937 
BofA Securities, Inc.  CME  Receive  3-Month USD LIBOR  0.99%  Quarterly  08/20/50   8,200,000    866,446    438    866,008 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  0.52%  Annually  10/02/30   3,000,000    (71,989)   316    (72,305)
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  0.71%  Annually  11/18/30   20,000,000    (137,760)   454    (138,214)
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  0.68%  Annually  12/02/30   40,000,000    (411,560)   615    (412,175)
                          $1,319,543   $2,292   $1,317,251 

 

Forward Foreign Currency Exchange Contracts††
Counterparty  Contracts to Sell  Currency  Settlement Date  Settlement Value   Value at
December
31, 2020
   Unrealized
Appreciation
(Depreciation)
 
Morgan Stanley Capital Services LLC  4,995,000  EUR  03/30/21  $6,116,078   $6,115,323   $755 
Bank of America, N.A.  521,000  JPY  02/01/21   5,089    5,047    42 
Citibank N.A., New York  280,000  JPY  01/04/21   2,733    2,712    21 
Barclays Bank plc  259,000  JPY  01/04/21   2,523    2,508    15 
Morgan Stanley Capital Services LLC  260,000  JPY  02/01/21   2,525    2,519    6 
Citibank N.A., New York  594  ILS  02/01/21   168    185    (17)
Bank of America, N.A.  216,700  ILS  02/01/21   63,316    67,556    (4,240)
Goldman Sachs International  1,042,000  EUR  01/15/21   1,265,303    1,273,541    (8,238)
Goldman Sachs International  6,249,808  ILS  02/01/21   1,820,491    1,948,370    (127,879)
                      $(139,535)

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Counterparty  Contracts to Buy  Currency  Settlement Date  Settlement Value   Value at
December
31, 2020
   Unrealized
Appreciation
(Depreciation)
 
Goldman Sachs International  6,467,101  ILS  02/01/21  $1,805,123   $2,016,110   $210,987 
JPMorgan Chase Bank, N.A.  781,000  JPY  02/01/21   7,358    7,567    209 
JPMorgan Chase Bank, N.A.  539,000  JPY  01/04/21   5,233    5,220    (13)
                      $211,183 

 

~ The face amount is denominated in U.S. dollars unless otherwise indicated.
* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs, unless otherwise noted — See Note 3.
†† Value determined based on Level 2 inputs, unless otherwise noted — See Note 3.
††† Value determined based on Level 3 inputs — See Note 3.
1 Perpetual maturity.
2 Rate indicated is the 7-day yield as of December 31, 2020.
3 Security has a fixed rate coupon which will convert to a floating or variable rate coupon on a future date.
4 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be liquid under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) securities is $663,059,784 (cost $644,770,843), or 40.3% of total net assets.
5 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be illiquid and restricted under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) illiquid and restricted securities is $22,032,902 (cost $21,688,762), or 1.3% of total net assets — See Note 6.
6 Variable rate security. Rate indicated is the rate effective at December 31, 2020. In some instances, the effective rate is limited by a minimum rate floor or a maximum rate cap established by the issuer. The settlement status of a position may also impact the effective rate indicated. In some cases, a position may be unsettled at period end and may not have a stated effective rate. In instances where multiple underlying reference rates and spread amounts are shown, the effective rate is based on a weighted average.
7 Security has no stated coupon. However, it is expected to receive residual cash flow payments on defined deal dates.
8 Security is a principal-only strip.
9 Security is an interest-only strip.
10 Security is a step up/down bond. The coupon increases or decreases at regular intervals until the bond reaches full maturity. Rate indicated is the rate at December 31, 2020. See table below for additional step information for each security.
11 Zero coupon rate security.
12 All or a portion of this security has been physically segregated or earmarked in connection with reverse repurchase agreements. At December 31, 2020, the total market value of segregated or earmarked security was $47,814,416 — See Note 2.

 

BofA — Bank of America

CDX.NA.HY.35.V1 — Credit Default Swap North American High Yield Series 35 Index Version 1

CME — Chicago Mercantile Exchange

CMS — Constant Maturity Swap

CMT — Constant Maturity Treasury

EUR — Euro

ICE — Intercontinental Exchange

ILS — Israeli New Shekel

JPY — Japanese Yen

LIBOR — London Interbank Offered Rate

plc — Public Limited Company

REIT — Real Estate Investment Trust

SARL — Société à Responsabilité Limitée

WAC — Weighted Average Coupon

 

See Sector Classification in Other Information section.

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $17,266,511   $     $ — *  $17,266,511 
Preferred Stocks       17,555,800    *   17,555,800 
Warrants   664,416            664,416 
Exchange-Traded Funds   72,872,013            72,872,013 
Closed-End Funds   3,208,696            3,208,696 
Money Market Fund   7,672,314            7,672,314 
Corporate Bonds       742,340,377    22,721,270    765,061,647 
Asset-Backed Securities       328,755,474    38,687,889    367,443,363 
Collateralized Mortgage Obligations       241,769,429    6,074,161    247,843,590 
Senior Floating Rate Interests       62,931,093    5,876,278    68,807,371 
Federal Agency Bonds       56,593,285        56,593,285 
U.S. Government Securities       54,138,987        54,138,987 
Municipal Bonds       30,858,621        30,858,621 
Senior Fixed Rate Interests       1,332,369        1,332,369 
Foreign Government Bonds        538,750        538,750 
Options Purchased       5,219,200        5,219,200 
Credit Default Swap Agreements**       403,662        403,662 
Interest Rate Swap Agreements**       1,939,945        1,939,945 
Forward Foreign Currency Exchange Contracts**       212,035        212,035 
Total Assets  $101,683,950   $1,544,589,027   $73,359,598   $1,719,632,575 

 

Investments in Securities (Liabilities)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Interest Rate Swap Agreements**  $   $622,694   $   $622,694 
Forward Foreign Currency Exchange Contracts**       140,387        140,387 
Unfunded Loan Commitments (Note 5)           69,080    69,080 
Total Liabilities  $   $763,081   $69,080   $832,161 

 

* Security has a market value of $0.
** This derivative is reported as unrealized appreciation/depreciation at period end.

 

The Fund may hold assets and/or liabilities in which the fair value approximates the carrying amount for financial statement purposes. As of the period end, reverse repurchase agreements of $40,857,027 are categorized as Level 2 within the disclosure hierarchy — See Note 2.

 

The following is a summary of significant unobservable inputs used in the fair valuation of assets and liabilities categorized within level 3 of the fair value hierarchy:

 

Category  Ending Balance at
December 31, 2020
   Valuation Technique  Unobservable Inputs  Input Range  Weighted Average*
Assets:             
Asset-Backed Securities  $22,968,214   Option Adjusted Spread off the prior month end broker quote  Broker Quote   
Asset-Backed Securities   10,719,675   Yield Analysis  Yield  2.0%-2.3%  2.2%
Asset-Backed Securities   5,000,000   Model Price  Purchase Price   
Collateralized Mortgage Obligations   6,074,087   Option Adjusted Spread off the prior month end broker quote  Broker Quote   
Collateralized Mortgage Obligations   74   Model Price  Purchase Price   
Corporate Bonds   20,721,270   Option Adjusted Spread off the prior month end broker quote  Broker Quote   
Corporate Bonds   2,000,000   Model Price  Purchase Price   
Senior Floating Rate Interests   5,876,278   Third Party Pricing  Broker Quote   
Total Assets  $73,359,598             
Liabilities:                 
Unfunded Loan Commitments  $69,080   Model Price  Purchase Price   

 

*Inputs are weighted by the fair value of the instruments.

 

Significant changes in a quote or yield would generally result in significant changes in the fair value of the security.

 

The Fund’s fair valuation leveling guidelines classify a single daily broker quote, or a vendor price based on a single daily or monthly broker quote, as Level 3, if such a quote or price cannot be supported with other available market information.

 

Transfers between Level 2 and Level 3 may occur as markets fluctuate and/or the availability of data used in an investment’s valuation changes. For the period ended December 31, 2020, the Fund had securities with a total value of $17,277,916 transfer into Level 2 from Level 3 due to a lack of observable inputs and had securities with a total value of $1,000,215 transfer into Level 2 from Level 3 due to the availability of current and reliable market-based data provided by a third-party pricing service which utilizes significant observable inputs.

 

 

 

Investment Grade Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Summary of Fair Value Level 3 Activity

 

Following is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value for the period ended December 31, 2020.

 

   Assets       Liabilities 
   Asset -
Backed
Securities
   Collateralized
Mortgage
Obligations
   Corporate
Bonds
   Senior
Floating
Rate
Interests
   Total
Assets
   Unfunded
Loan
Commitments
 
Beginning Balance  $33,401,467   $10,687,442   $14,037,846   $-   $58,126,755   $(163,932)
Purchases/(Receipts)   4,000,000    6,123,831    8,350,000    2,093,000    20,566,831    (5,671)
(Sales, maturities and paydowns)/Fundings   (11,500,000)   (10,592,120)   -    -    (22,092,120)   77,549 
Amortization of premiums/discounts   -    (12)   -    394    382    - 
Total realized gains (losses) included in earnings   -    (7)   -    -    (7)   - 
Total change in unrealized appreciation (depreciation) included in earnings   275,408    (144,973)   333,424    16,197    480,056    22,974 
Transfers into Level 3   13,511,229    -    -    3,766,687    17,277,916    - 
Transfers out of Level 3   (1,000,215)   -    -    -    (1,000,215)   - 
Ending Balance  $38,687,889   $6,074,161   $22,721,270   $5,876,278   $73,359,598   $(69,080)
Net change in unrealized appreciation (depreciation) for investments in Level 3 securities still held at December 31, 2020  $273,012   $(49,664)  $333,424   $16,197   $572,969   $22,974 

 

Step Coupon Bonds

 

The following table discloses additional information related to step coupon bonds held by the Fund. Certain securities are subject to multiple rate changes prior to maturity. For those securities, a range of rates and corresponding dates have been provided. Rates for all step coupon bonds held by the Fund are scheduled to increase, none are scheduled to decrease.

 

Name Coupon Rate at
Next Reset Date
Next Rate
Reset Date
Future Reset Rate(s) Future Reset Date(s)
CSMC Trust 2020-NQM1, 1.72% due 05/25/65 2.72% 09/26/24
Legacy Mortgage Asset Trust 2018-GS3, 4.00% due 06/25/58 7.00% 07/25/21 8.00% 07/26/22
Verus Securitization Trust 2019-4, 2.85% due 11/25/59 3.85% 10/26/23
Verus Securitization Trust 2019-4, 2.64% due 11/25/59 3.64% 10/26/23
Verus Securitization Trust 2020-1, 2.42% due 01/25/60 3.42% 01/26/24

 

 

 

Large Cap Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 98.7%
Financial - 24.4%
JPMorgan Chase & Co.   6,526   $829,259 
Citigroup, Inc.   13,114    808,609 
Berkshire Hathaway, Inc. — Class B*   3,256    754,969 
Bank of America Corp.   18,761    568,646 
Allstate Corp.   3,930    432,025 
Morgan Stanley   6,187    423,995 
Wells Fargo & Co.   12,989    392,008 
MetLife, Inc.   7,360    345,552 
Voya Financial, Inc.   5,629    331,041 
Prudential Financial, Inc.   4,099    320,009 
Principal Financial Group, Inc.   6,393    317,157 
Synovus Financial Corp.   9,053    293,046 
Hartford Financial Services Group, Inc.   5,741    281,194 
Loews Corp.   6,167    277,638 
Medical Properties Trust, Inc. REIT   11,253    245,203 
Zions Bancorp North America   5,552    241,179 
Charles Schwab Corp.   4,430    234,967 
Regions Financial Corp.   12,450    200,694 
Mastercard, Inc. — Class A   531    189,535 
Park Hotels & Resorts, Inc. REIT   10,682    183,196 
Gaming and Leisure Properties, Inc. REIT   4,284    181,642 
KeyCorp   10,260    168,367 
Jones Lang LaSalle, Inc.*   926    137,391 
American International Group, Inc.   3,078    116,533 
BOK Financial Corp.   1,601    109,636 
Total Financial        8,383,491 
Consumer, Non-cyclical - 18.8%          
Johnson & Johnson   4,870    766,441 
Pfizer, Inc.   17,876    658,016 
HCA Healthcare, Inc.   3,443    566,236 
Humana, Inc.   1,174    481,657 
McKesson Corp.   2,560    445,235 
Archer-Daniels-Midland Co.   8,690    438,063 
Quest Diagnostics, Inc.   3,627    432,229 
Medtronic plc   3,632    425,452 
Tyson Foods, Inc. — Class A   5,849    376,910 
Encompass Health Corp.   4,310    356,394 
Zimmer Biomet Holdings, Inc.   2,098    323,281 
Merck & Company, Inc.   3,733    305,359 
Bunge Ltd.   4,271    280,092 
Amgen, Inc.   1,160    266,707 
Ingredion, Inc.   2,163    170,163 
Alexion Pharmaceuticals, Inc.*   1,087    169,833 
Total Consumer, Non-cyclical        6,462,068 
Communications - 10.0%          
Verizon Communications, Inc.   16,953    995,989 
Comcast Corp. — Class A   13,991    733,128 
F5 Networks, Inc.*   2,154    378,975 
Cisco Systems, Inc.   7,671    343,277 
Walt Disney Co.*   1,396    252,927 
Alphabet, Inc. — Class A*   144    252,380 
T-Mobile US, Inc.*   1,634    220,345 
Juniper Networks, Inc.   7,162    161,217 
AT&T, Inc.   3,982    114,522 
Total Communications        3,452,760 
Consumer, Cyclical - 9.9%          
Walmart, Inc.   4,354    627,629 
Southwest Airlines Co.   8,084    376,795 
Lear Corp.   2,052    326,330 
LKQ Corp.*   9,048    318,852 
PACCAR, Inc.   3,462    298,701 
DR Horton, Inc.   4,246    292,634 
Home Depot, Inc.   996    264,558 
Penske Automotive Group, Inc.   4,232    251,339 
Kohl's Corp.   5,457    222,045 
PVH Corp.   2,358    221,393 
Ralph Lauren Corp. — Class A   1,925    199,699 
Total Consumer, Cyclical        3,399,975 
Industrial - 8.2%          
Honeywell International, Inc.   2,769    588,966 
Owens Corning   5,181    392,512 
Johnson Controls International plc   7,830    364,800 
Knight-Swift Transportation Holdings, Inc.   7,758    324,440 
Curtiss-Wright Corp.   2,333    271,445 
Valmont Industries, Inc.   1,520    265,894 
FedEx Corp.   990    257,024 
General Electric Co.   16,349    176,569 
L3Harris Technologies, Inc.   913    172,575 
Total Industrial        2,814,225 
Technology - 7.8%          
Micron Technology, Inc.*   12,124    911,482 
Skyworks Solutions, Inc.   3,268    499,612 
Qorvo, Inc.*   2,268    377,100 
Apple, Inc.   2,661    353,088 
Amdocs Ltd.   2,777    196,973 
Intel Corp.   3,836    191,110 
Cerner Corp.   2,157    169,281 
Total Technology        2,698,646 
Utilities - 7.5%          
Exelon Corp.   13,360    564,059 
Public Service Enterprise Group, Inc.   8,648    504,178 
Edison International   7,992    502,058 
Duke Energy Corp.   3,801    348,020 
Pinnacle West Capital Corp.   4,002    319,960 
NiSource, Inc.   8,523    195,517 
PPL Corp.   5,782    163,052 
Total Utilities        2,596,844 
Basic Materials - 6.5%          
Huntsman Corp.   20,447    514,038 
Westlake Chemical Corp.   5,207    424,891 
Olin Corp.   15,161    372,354 
Nucor Corp.   6,947    369,511 
Reliance Steel & Aluminum Co.   1,872    224,172 
DuPont de Nemours, Inc.   2,932    208,494 
Dow, Inc.   2,118    117,549 
Total Basic Materials        2,231,009 
Energy - 5.6%          
Chevron Corp.   6,513    550,023 
ConocoPhillips   9,454    378,065 
Cabot Oil & Gas Corp. — Class A   15,688    255,401 
Parsley Energy, Inc. — Class A   13,541    192,282 
Marathon Oil Corp.   27,332    182,304 
Range Resources Corp.*   26,545    177,852 

 

 

 

Large Cap Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 98.7% (continued)
Energy - 5.6% (continued)
Exxon Mobil Corp.   4,271   $176,051 
Total Energy        1,911,978 
Total Common Stocks          
(Cost $28,333,049)        33,950,996 
           
MONEY MARKET FUND - 0.9%          
Dreyfus Treasury Securities Cash Management Fund — Institutional Shares, 0.01%1   322,435    322,435 
Total Money Market Fund          
(Cost $322,435)        322,435 
Total Investments - 99.6%          
(Cost $28,655,484)       $34,273,431 
Other Assets & Liabilities, net - 0.4%        143,864 
Total Net Assets - 100.0%       $34,417,295 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
1 Rate indicated is the 7-day yield as of December 31, 2020.

 

plc — Public Limited Company

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $33,950,996   $   $   $33,950,996 
Money Market Fund   322,435            322,435 
Total Assets  $34,273,431   $   $   $34,273,431 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
PREFERRED STOCKS†† - 0.1%
Financial - 0.1%
American Financial Group, Inc., 4.50% due 09/15/60   113,600   $3,166,032 
First Republic Bank, 4.13%   69,600    1,840,224 
Total Financial        5,006,256 
Total Preferred Stocks          
(Cost $4,580,000)        5,006,256 
           
EXCHANGE-TRADED FUNDS - 6.1%          
iShares Core U.S. Aggregate Bond ETF   1,526,500    180,417,035 
iShares iBoxx High Yield Corporate Bond ETF   550,850    48,089,205 
iShares iBoxx $ Investment Grade Corporate Bond ETF   265,600    36,687,328 
Total Exchange-Traded Funds          
(Cost $262,189,841)        265,193,568 
           
MUTUAL FUNDS - 2.0%          
Guggenheim Strategy Fund III1   1,182,663    29,684,832 
Guggenheim Strategy Fund II1   1,183,562    29,541,716 
Guggenheim Ultra Short Duration Fund — Institutional Class1   2,912,649    29,068,232 
Total Mutual Funds          
(Cost $86,789,862)        88,294,780 
           
MONEY MARKET FUND - 2.2%          
Dreyfus Treasury Securities Cash Management Fund — Institutional Shares, 0.01%2   96,879,914    96,879,914 
Total Money Market Fund          
(Cost $96,879,914)        96,879,914 
           
    Face
Amount~
      
CORPORATE BONDS†† - 30.7%          
Financial - 12.7%          
Wells Fargo & Co.          
1.14% (3 Month USD LIBOR + 0.93%) due 02/11/223   29,450,000    29,475,000 
2.88% due 10/30/304   25,000,000    27,274,755 
2.57% due 02/11/314   2,240,000    2,376,784 
Santander UK plc          
0.85% (3 Month USD LIBOR + 0.62%) due 06/01/213   30,740,000    30,810,326 
American International Group, Inc.          
2.50% due 06/30/25   26,630,000    28,627,159 
Citizens Bank North America/Providence RI          
2.25% due 04/28/25   20,000,000    21,221,401 
Bank of America Corp.          
2.59% due 04/29/314   19,650,000    21,060,052 
Reliance Standard Life Global Funding II          
2.75% due 05/07/255   17,890,000    18,975,767 
Barclays Bank plc          
1.70% due 05/12/22   18,450,000    18,776,291 
Intercontinental Exchange, Inc.          
0.87% (3 Month USD LIBOR + 0.65%) due 06/15/233   17,100,000    17,144,682 
Mitsubishi UFJ Financial Group, Inc.          
0.87% (3 Month USD LIBOR + 0.65%) due 07/26/213   11,450,000    11,484,600 
1.28% (3 Month USD LIBOR + 1.06%) due 09/13/213   5,068,000    5,101,612 
2.11% (3 Month USD LIBOR + 1.88%) due 03/01/213   247,000    247,683 
Citibank North America          
0.78% (3 Month USD LIBOR + 0.57%) due 07/23/213   16,390,000    16,437,513 
Equitable Financial Life Global Funding          
1.40% due 07/07/255   15,000,000    15,406,347 
Cooperatieve Rabobank UA          
1.34% due 06/24/264,5   15,000,000    15,317,104 
Regions Financial Corp.          
2.25% due 05/18/25   14,000,000    14,846,683 
Svenska Handelsbanken AB          
0.68% (3 Month USD LIBOR + 0.47%) due 05/24/213   13,500,000    13,524,015 
3.35% due 05/24/21   1,179,000    1,193,518 
Citigroup, Inc.          
2.57% due 06/03/314   12,850,000    13,696,303 
Lincoln National Corp.          
3.40% due 01/15/31   11,590,000    13,281,294 
BlackRock, Inc.          
1.90% due 01/28/31   12,600,000    13,188,804 
Societe Generale S.A.          
1.49% due 12/14/264,5   10,500,000    10,592,758 
3.88% due 03/28/245   350,000    381,601 
Standard Chartered plc          
1.32% due 10/14/234,5   10,150,000    10,251,500 
4.25% due 01/20/234,5   500,000    518,499 
BPCE S.A.          
1.65% due 10/06/264,5   9,500,000    9,721,660 
Charles Schwab Corp.          
5.38% 4,6   8,650,000    9,633,937 
Ares Finance Company LLC          
4.00% due 10/08/245   8,967,000    9,631,169 
First American Financial Corp.          
4.00% due 05/15/30   7,860,000    9,009,690 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 30.7% (continued)
Financial - 12.7% (continued)        
KKR Group Finance Company VI LLC        
3.75% due 07/01/295   7,040,000   $8,191,769 
Aviation Capital Group LLC          
2.88% due 01/20/225   8,000,000    8,100,563 
Markel Corp.          
6.00% 4,6   7,210,000    7,976,062 
Deloitte LLP          
4.35% due 11/17/23†††   7,300,000    7,751,092 
3.46% due 05/07/27†††   4,500,000    4,739,430 
Goldman Sachs Group, Inc.          
3.50% due 04/01/25   6,900,000    7,665,829 
Prudential plc          
3.13% due 04/14/30   6,640,000    7,528,001 
Morgan Stanley          
2.19% due 04/28/264   7,000,000    7,393,694 
Belrose Funding Trust          
2.33% due 08/15/305   7,100,000    7,307,045 
UBS Group AG          
2.00% (3 Month USD LIBOR + 1.78%, Rate Floor: 0.00%) due 04/14/213,5   5,700,000    5,726,428 
Fidelity National Financial, Inc.          
2.45% due 03/15/31   5,500,000    5,594,162 
Fifth Third Bancorp          
2.55% due 05/05/27   5,060,000    5,506,875 
Manulife Financial Corp.          
2.48% due 05/19/27   5,030,000    5,458,644 
Westpac Banking Corp.          
1.07% (3 Month USD LIBOR + 0.85%) due 01/11/223   5,000,000    5,037,697 
MetLife, Inc.          
3.85% 4,6   4,620,000    4,874,100 
Alexandria Real Estate Equities, Inc.          
4.90% due 12/15/30   3,500,000    4,454,016 
Iron Mountain, Inc.          
5.00% due 07/15/285   4,175,000    4,435,395 
Quicken Loans LLC / Quicken Loans Company-Issuer, Inc.          
3.88% due 03/01/315   4,100,000    4,253,750 
Apollo Management Holdings, LP          
4.00% due 05/30/245   1,846,000    2,044,155 
4.40% due 05/27/265   1,200,000    1,394,535 
Bank of New York Mellon Corp.          
4.70% 4,6   3,010,000    3,319,428 
Fidelity & Guaranty Life Holdings, Inc.          
5.50% due 05/01/255   2,400,000    2,800,800 
CNA Financial Corp.          
4.50% due 03/01/26   2,298,000    2,703,377 
Crown Castle International Corp.          
3.30% due 07/01/30   2,188,000    2,448,983 
Loews Corp.          
3.20% due 05/15/30   2,140,000    2,431,079 
NFP Corp.          
7.00% due 05/15/255   2,200,000    2,365,000 
Ameriprise Financial, Inc.          
3.00% due 04/02/25   2,060,000    2,242,655 
Sumitomo Mitsui Financial Group, Inc.          
1.91% (3 Month USD LIBOR + 1.68%) due 03/09/213   1,000,000    1,002,815 
1.36% (3 Month USD LIBOR + 1.14%) due 10/19/213   702,000    707,750 
Assurant, Inc.          
1.50% (3 Month USD LIBOR + 1.25%) due 03/26/213   1,592,000    1,592,022 
Mizuho Financial Group, Inc.          
1.36% (3 Month USD LIBOR + 1.14%) due 09/13/213   1,500,000    1,510,986 
SBA Communications Corp.          
4.00% due 10/01/22   1,000,000    1,010,000 
3.88% due 02/15/275   350,000    367,605 
Weyerhaeuser Co.          
4.00% due 04/15/30   912,000    1,080,012 
Trinity Acquisition plc          
4.40% due 03/15/26   881,000    1,026,442 
Old Republic International Corp.          
3.88% due 08/26/26   700,000    804,054 
RenaissanceRe Finance, Inc.          
3.70% due 04/01/25   400,000    438,541 
Credit Suisse Group AG          
2.59% due 09/11/254,5   250,000    263,068 
BBVA USA          
3.88% due 04/10/25   150,000    168,209 
CIT Group, Inc.          
3.93% due 06/19/244   100,000    105,750 
Total Financial        553,030,325 
Consumer, Non-cyclical - 4.6%          
Sysco Corp.          
5.65% due 04/01/25   20,550,000    24,433,981 
General Mills, Inc.          
0.77% (3 Month USD LIBOR + 0.54%) due 04/16/213   20,750,000    20,779,691 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 30.7% (continued)
Consumer, Non-cyclical - 4.6% (continued)        
Zimmer Biomet Holdings, Inc.        
0.99% (3 Month USD LIBOR + 0.75%) due 03/19/213   11,050,000   $11,049,999 
3.55% due 03/20/30   5,350,000    6,058,245 
3.05% due 01/15/26   400,000    441,054 
CoStar Group, Inc.          
2.80% due 07/15/305   15,280,000    15,876,471 
BAT International Finance plc          
1.67% due 03/25/26   13,000,000    13,307,046 
Constellation Brands, Inc.          
2.88% due 05/01/30   10,500,000    11,505,685 
Molina Healthcare, Inc.          
5.38% due 11/15/22   9,500,000    10,058,125 
CVS Health Corp.          
0.95% (3 Month USD LIBOR + 0.72%) due 03/09/213   9,200,000    9,210,655 
Altria Group, Inc.          
2.35% due 05/06/25   8,000,000    8,499,880 
Anheuser-Busch InBev Worldwide, Inc.          
3.50% due 06/01/30   6,550,000    7,587,278 
McCormick & Company, Inc.          
2.50% due 04/15/30   7,000,000    7,495,953 
BAT Capital Corp.          
4.70% due 04/02/27   4,220,000    4,962,188 
3.56% due 08/15/27   2,000,000    2,226,958 
Alcon Finance Corp.          
2.60% due 05/27/305   5,910,000    6,296,534 
Kraft Heinz Foods Co.          
4.25% due 03/01/315   5,000,000    5,575,288 
Royalty Pharma plc          
1.75% due 09/02/275   5,150,000    5,299,174 
WEX, Inc.          
4.75% due 02/01/235   5,250,000    5,256,563 
Thermo Fisher Scientific, Inc.          
4.13% due 03/25/25   4,200,000    4,775,557 
Spectrum Brands, Inc.          
5.75% due 07/15/25   4,180,000    4,316,268 
Cigna Corp.          
0.88% (3 Month USD LIBOR + 0.65%) due 09/17/213   4,100,000    4,100,648 
ADT Security Corp.          
3.50% due 07/15/22   3,096,000    3,177,270 
US Foods, Inc.          
6.25% due 04/15/255   2,200,000    2,351,250 
Bunge Limited Finance Corp.          
1.63% due 08/17/25   1,900,000    1,963,677 
Prime Security Services Borrower LLC / Prime Finance, Inc.          
3.38% due 08/31/275   1,400,000    1,389,500 
Nielsen Finance LLC / Nielsen Finance Co.          
5.00% due 04/15/225   149,000    149,392 
Total Consumer, Non-cyclical        198,144,330 
Industrial - 4.0%          
Boeing Co.          
4.88% due 05/01/25   50,000,000    56,995,383 
Siemens Financieringsmaatschappij N.V.          
0.83% (3 Month USD LIBOR + 0.61%) due 03/16/223,5   20,410,000    20,533,480 
Berry Global, Inc.          
1.57% due 01/15/265   10,000,000    10,090,500 
4.88% due 07/15/265   5,165,000    5,548,191 
FedEx Corp.          
3.80% due 05/15/25   9,100,000    10,272,564 
4.25% due 05/15/30   4,350,000    5,285,308 
CNH Industrial Capital LLC          
1.95% due 07/02/23   9,600,000    9,882,679 
1.88% due 01/15/26   4,960,000    5,194,342 
Ryder System, Inc.          
3.35% due 09/01/25   10,600,000    11,782,665 
3.75% due 06/09/23   1,350,000    1,453,030 
BAE Systems plc          
3.40% due 04/15/305   6,950,000    7,873,481 
Owens Corning          
3.88% due 06/01/30   5,910,000    6,816,970 
GATX Corp.          
3.85% due 03/30/27   2,900,000    3,287,027 
4.00% due 06/30/30   2,550,000    3,013,589 
IDEX Corp.          
3.00% due 05/01/30   4,100,000    4,513,779 
Textron, Inc.          
2.45% due 03/15/31   3,250,000    3,346,018 
Xylem, Inc.          
1.95% due 01/30/28   2,050,000    2,161,573 
National Basketball Association          
2.51% due 12/16/24   1,900,000    1,906,937 
Howmet Aerospace, Inc.          
6.88% due 05/01/25   900,000    1,053,000 
EnerSys          
5.00% due 04/30/235   125,000    130,781 
Total Industrial        171,141,297 
Consumer, Cyclical - 2.9%          
Marriott International, Inc.          
4.63% due 06/15/30   7,320,000    8,589,868 
5.75% due 05/01/25   5,610,000    6,562,024 
2.13% due 10/03/22   2,345,000    2,380,846 
Walgreens Boots Alliance, Inc.          
3.20% due 04/15/30   13,950,000    15,153,967 
Delta Air Lines, Inc.          
7.00% due 05/01/255   12,550,000    14,489,632 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 30.7% (continued)
Consumer, Cyclical - 2.9% (continued)        
Starbucks Corp.        
2.55% due 11/15/30   13,300,000   $14,383,882 
VF Corp.          
2.80% due 04/23/27   11,650,000    12,742,936 
Hyatt Hotels Corp.          
5.38% due 04/23/25   4,880,000    5,514,971 
5.75% due 04/23/30   4,320,000    5,310,528 
Delta Air Lines Inc. / SkyMiles IP Ltd.          
4.50% due 10/20/255   10,000,000    10,688,591 
Choice Hotels International, Inc.          
3.70% due 01/15/31   7,350,000    8,140,272 
Lowe's Companies, Inc.          
4.50% due 04/15/30   5,400,000    6,721,744 
BorgWarner, Inc.          
2.65% due 07/01/27   4,610,000    4,957,073 
Mileage Plus Holdings LLC / Mileage Plus Intellectual Property Assets Ltd.          
6.50% due 06/20/275   3,350,000    3,601,250 
Dollar General Corp.          
3.50% due 04/03/30   2,050,000    2,353,343 
Aramark Services, Inc.          
6.38% due 05/01/255   1,900,000    2,030,625 
5.00% due 02/01/285   275,000    289,781 
Tempur Sealy International, Inc.          
5.63% due 10/15/23   1,168,000    1,186,980 
Performance Food Group, Inc.          
6.88% due 05/01/255   375,000    401,250 
5.50% due 06/01/245   75,000    75,375 
Suburban Propane Partners Limited Partnership/Suburban Energy Finance Corp.          
5.75% due 03/01/25   200,000    204,000 
Total Consumer, Cyclical        125,778,938 
Communications - 2.4%          
ViacomCBS, Inc.          
4.95% due 01/15/31   13,560,000    17,019,537 
4.75% due 05/15/25   6,860,000    7,964,343 
4.20% due 05/19/32   4,100,000    4,941,102 
Walt Disney Co.          
2.65% due 01/13/31   12,720,000    13,945,093 
AT&T, Inc.          
2.30% due 06/01/27   9,000,000    9,598,842 
Level 3 Financing, Inc.          
3.63% due 01/15/295   5,400,000    5,386,500 
4.25% due 07/01/285   2,775,000    2,851,312 
5.38% due 01/15/24   1,300,000    1,310,140 
Netflix, Inc.          
5.50% due 02/15/22   8,400,000    8,788,500 
T-Mobile USA, Inc.          
3.50% due 04/15/255   5,000,000    5,524,900 
3.88% due 04/15/305   540,000    625,428 
Videotron Ltd.          
5.00% due 07/15/22   5,350,000    5,624,241 
Sirius XM Radio, Inc.          
3.88% due 08/01/225   3,527,000    3,579,905 
Charter Communications Operating LLC / Charter Communications Operating Capital          
2.80% due 04/01/31   3,250,000    3,437,462 
Booking Holdings, Inc.          
4.50% due 04/13/27   2,500,000    2,973,394 
Altice France S.A.          
7.38% due 05/01/265   2,650,000    2,789,125 
Fox Corp.          
3.05% due 04/07/25   1,360,000    1,484,042 
3.50% due 04/08/30   1,080,000    1,226,775 
Verizon Communications, Inc.          
3.00% due 03/22/27   2,100,000    2,329,833 
Virgin Media Vendor Financing Notes IV DAC          
5.00% due 07/15/285   1,850,000    1,924,000 
Thomson Reuters Corp.          
3.35% due 05/15/26   1,550,000    1,738,785 
AMC Networks, Inc.          
4.75% due 08/01/25   500,000    516,350 
Sprint Spectrum Company LLC / Sprint Spectrum Co II LLC / Sprint Spectrum Co III LLC          
3.36% due 09/20/215   305,625    308,498 
Total Communications        105,888,107 
Technology - 1.4%          
NetApp, Inc.          
2.38% due 06/22/27   17,800,000    19,026,024 
Microchip Technology, Inc.          
2.67% due 09/01/235   17,800,000    18,616,381 
Infor, Inc.          
1.75% due 07/15/255   13,800,000    14,334,607 
1.45% due 07/15/235   1,100,000    1,117,773 
Broadcom, Inc.          
4.15% due 11/15/30   5,790,000    6,703,443 
Leidos, Inc.          
3.63% due 05/15/255   1,950,000    2,180,275 
Total Technology        61,978,503 
Basic Materials - 1.1%          
Newcrest Finance Pty Ltd.          
3.25% due 05/13/305   14,960,000    16,524,216 
Anglo American Capital plc          
2.63% due 09/10/305   9,370,000    9,798,101 
4.00% due 09/11/275   750,000    861,225 
5.38% due 04/01/255   400,000    467,465 
Carpenter Technology Corp.          
4.45% due 03/01/23   8,405,000    8,801,869 
Valvoline, Inc.          
4.38% due 08/15/25   5,310,000    5,484,009 
Nucor Corp.          
2.00% due 06/01/25   5,000,000    5,295,100 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 30.7% (continued)
Basic Materials - 1.1% (continued)        
Steel Dynamics, Inc.        
2.40% due 06/15/25   1,050,000   $1,116,013 
Total Basic Materials        48,347,998 
Energy - 1.1%          
Sabine Pass Liquefaction LLC          
4.50% due 05/15/305   8,330,000    9,873,362 
5.63% due 03/01/25   500,000    583,161 
Phillips 66          
0.83% (3 Month USD LIBOR + 0.60%) due 02/26/213   8,700,000    8,701,004 
BP Capital Markets plc          
4.88%4,6   7,500,000    8,367,750 
Exxon Mobil Corp.          
2.61% due 10/15/30   7,100,000    7,755,205 
Valero Energy Corp.          
2.15% due 09/15/27   3,100,000    3,167,469 
2.85% due 04/15/25   1,750,000    1,863,823 
2.70% due 04/15/23   500,000    521,806 
Equinor ASA          
1.75% due 01/22/26   3,500,000    3,676,681 
Magellan Midstream Partners, LP          
3.25% due 06/01/30   2,120,000    2,395,639 
Cheniere Corpus Christi Holdings LLC          
7.00% due 06/30/24   550,000    642,276 
Total Energy        47,548,176 
Utilities - 0.5%          
Alexander Funding Trust          
1.84% due 11/15/235   19,050,000    19,266,837 
AES Corp.          
3.30% due 07/15/255   3,750,000    4,087,500 
Total Utilities        23,354,337 
Total Corporate Bonds          
(Cost $1,256,610,186)        1,335,212,011 
           
ASSET-BACKED SECURITIES†† - 26.5%          
Collateralized Loan Obligations - 16.3%          
Shackleton CLO Ltd.          
2017-8A, 1.14% (3 Month USD LIBOR + 0.92%, Rate Floor: 0.00%) due 10/20/273,5   65,793,953    65,668,991 
2018-6RA, 1.24% (3 Month USD LIBOR + 1.02%, Rate Floor: 1.02%) due 07/17/283,5   36,934,725    36,829,834 
BXMT Ltd.          
2020-FL2, 1.05% (1 Month USD LIBOR + 0.90%, Rate Floor: 0.90%) due 02/16/373,5   25,122,000    24,996,865 
2020-FL2, 1.30% (1 Month USD LIBOR + 1.15%, Rate Floor: 1.15%) due 02/16/373,5   6,950,000    6,854,164 
2020-FL3, 1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 03/15/373,5   3,500,000    3,504,845 
2020-FL3, 2.30% (1 Month USD LIBOR + 2.15%, Rate Floor: 2.15%) due 03/15/373,5   2,000,000    2,002,882 
2020-FL2, 1.55% (1 Month USD LIBOR + 1.40%, Rate Floor: 1.40%) due 02/16/373,5   2,000,000    1,962,558 
Carlyle Global Market Strategies CLO Ltd.          
2018-2A, 1.00% (3 Month USD LIBOR + 0.78%, Rate Floor: 0.00%) due 04/27/273,5   30,716,257    30,503,565 
2018-4A, 1.24% (3 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 01/15/313,5   4,681,009    4,634,490 
Wellfleet CLO Ltd.          
2019-1A, 1.36% (3 Month USD LIBOR + 1.15%, Rate Floor: 1.15%) due 04/20/293,5   28,847,632    28,727,161 
Golub Capital Partners CLO Ltd.          
2018-36A, 1.53% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 02/05/313,5   27,500,000    27,183,852 
MP CLO VIII Ltd.          
2018-2A, 1.13% (3 Month USD LIBOR + 0.91%, Rate Floor: 0.00%) due 10/28/273,5   26,544,019    26,389,868 
Palmer Square Loan Funding Ltd.          
2018-4A, 1.12% (3 Month USD LIBOR + 0.90%, Rate Floor: 0.00%) due 11/15/263,5   17,794,894    17,778,066 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 26.5% (continued)
Collateralized Loan Obligations - 16.3% (continued)        
2019-3A, 1.07% (3 Month USD LIBOR + 0.85%, Rate Floor: 0.85%) due 08/20/273,5   4,772,319   $4,766,655 
2018-4A, 1.67% (3 Month USD LIBOR + 1.45%, Rate Floor: 0.00%) due 11/15/263,5   3,500,000    3,471,541 
Marathon CLO V Ltd.          
2017-5A, 1.08% (3 Month USD LIBOR + 0.87%, Rate Floor: 0.00%) due 11/21/273,5   23,995,203    23,842,883 
MidOcean Credit CLO VII          
2020-7A, 1.28% (3 Month USD LIBOR + 1.04%, Rate Floor: 0.00%) due 07/15/293,5   20,500,000    20,334,046 
LoanCore Issuer Ltd.          
2019-CRE2, 1.66% (1 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 05/15/363,5   8,550,000    8,516,939 
2018-CRE1, 1.29% (1 Month USD LIBOR + 1.13%, Rate Floor: 1.13%) due 05/15/283,5   7,304,028    7,296,803 
2018-CRE1, 1.66% (1 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 05/15/283,5   3,500,000    3,491,669 
Dryden 33 Senior Loan Fund          
2020-33A, 1.24% (3 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 04/15/293,5   10,750,000    10,750,000 
2020-33A, 1.64% (3 Month USD LIBOR + 1.40%, Rate Floor: 1.40%) due 04/15/293,5   8,250,000    8,250,000 
Cerberus Loan Funding LP          
2020-3A, 2.07% (3 Month USD LIBOR + 1.85%, Rate Floor: 1.85%) due 01/15/333,5   18,000,000    18,000,000 
Woodmont Trust          
2020-7A, 2.13% (3 Month USD LIBOR + 1.90%, Rate Floor: 0.00%) due 01/15/323,5   16,250,000    16,250,000 
GPMT Ltd.          
2019-FL2, 1.45% (1 Month USD LIBOR + 1.30%, Rate Floor: 1.30%) due 02/22/363,5   16,100,000    16,004,509 
610 Funding CLO 3 Ltd.          
2018-3A, 1.47% (3 Month USD LIBOR + 1.25%, Rate Floor: 0.00%) due 07/17/283,5   15,432,433    15,414,984 
ABPCI Direct Lending Fund IX LLC          
2020-9A, 2.19% (3 Month USD LIBOR + 1.95%, Rate Floor: 1.95%) due 11/18/313,5   15,000,000    15,027,621 
Venture XIV CLO Ltd.          
2020-14A, 1.25% (3 Month USD LIBOR + 1.03%, Rate Floor: 1.03%) due 08/28/293,5   15,000,000    14,901,102 
AMMC CLO XI Ltd.          
2020-11A, 1.83% due 04/30/315   14,300,000    14,275,305 
Owl Rock CLO IV Ltd.          
2020-4A, 3.17% (3 Month USD LIBOR + 2.62%, Rate Floor: 2.62%) due 05/20/293,5   14,250,000    14,254,281 
Fortress Credit Opportunities XI CLO Ltd.          
2018-11A, 1.54% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 04/15/313,5   13,450,000    13,293,976 
Parliament Funding II Ltd.          
2020-1A, 2.76% (3 Month USD LIBOR + 2.45%, Rate Floor: 2.45%) due 08/12/303,5   12,500,000    12,499,792 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 26.5% (continued)
Collateralized Loan Obligations - 16.3% (continued)        
Halcyon Loan Advisors Funding Ltd.        
2017-3A, 1.12% (3 Month USD LIBOR + 0.90%, Rate Floor: 0.00%) due 10/18/273,5   12,170,551   $12,113,866 
2012-1A, 3.22% (3 Month USD LIBOR + 3.00%, Rate Floor: 0.00%) due 08/15/233,5   124,283    124,190 
GoldenTree Loan Management US CLO 1 Ltd.          
2020-1A, 1.17% (3 Month USD LIBOR + 0.95%, Rate Floor: 0.95%) due 04/20/293,5   12,000,000    11,976,274 
Venture XII CLO Ltd.          
2018-12A, 1.02% (3 Month USD LIBOR + 0.80%, Rate Floor: 0.80%) due 02/28/263,5   11,604,992    11,530,401 
Allegro CLO IX Ltd.          
2018-3A, 1.40% (3 Month USD LIBOR + 1.17%, Rate Floor: 1.17%) due 10/16/313,5   10,000,000    9,927,105 
KREF Funding V LLC          
1.90% due 06/25/26†††   10,000,000    9,624,314 
0.15% due 06/25/26†††   27,272,727    23,455 
Wind River CLO Ltd.          
2017-2A, 1.11% (3 Month USD LIBOR + 0.87%, Rate Floor: 0.00%) due 10/15/273,5   9,030,283    8,993,674 
Grand Avenue CRE Ltd.          
2020-FL2, 2.61% (1 Month USD LIBOR + 2.45%, Rate Floor: 2.45%) due 03/15/353,5   8,749,161    8,826,316 
Westcott Park CLO Ltd.          
2019-1A, 1.43% (3 Month USD LIBOR + 1.21%, Rate Floor: 0.00%) due 07/20/283,5   8,750,000    8,751,743 
NXT Capital CLO LLC          
2017-1A, 1.92% (3 Month USD LIBOR + 1.70%, Rate Floor: 0.00%) due 04/20/293,5   7,700,000    7,664,243 
KREF Ltd.          
2018-FL1, 1.25% (1 Month USD LIBOR + 1.10%, Rate Floor: 1.10%) due 06/15/363,5   7,500,000    7,462,878 
Mountain View CLO Ltd.          
2018-1A, 1.04% (3 Month USD LIBOR + 0.80%, Rate Floor: 0.80%) due 10/15/263,5   7,240,771    7,215,032 
NewStar Clarendon Fund CLO LLC          
2019-1A, 1.52% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 01/25/273,5   6,724,616    6,718,065 
NewStar Fairfield Fund CLO Ltd.          
2018-2A, 1.49% (3 Month USD LIBOR + 1.27%, Rate Floor: 1.27%) due 04/20/303,5   6,529,571    6,449,383 
Flagship CLO VIII Ltd.          
2018-8A, 1.08% (3 Month USD LIBOR + 0.85%, Rate Floor: 0.00%) due 01/16/263,5   6,402,458    6,402,450 
Diamond CLO Ltd.          
2018-1A, 1.72% (3 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 07/22/303,5   6,000,000    5,976,916 
BSPRT Issuer Ltd.          
2018-FL4, 1.21% (1 Month USD LIBOR + 1.05%, Rate Floor: 1.05%) due 09/15/353,5   3,248,691    3,210,703 
2018-FL3, 1.21% (1 Month USD LIBOR + 1.05%, Rate Floor: 1.05%) due 03/15/283,5   2,256,651    2,242,256 
Telos CLO Ltd.          
2017-6A, 1.49% (3 Month USD LIBOR + 1.27%, Rate Floor: 0.00%) due 01/17/273,5   4,680,814    4,677,477 
FDF I Ltd.          
2015-1A, 4.40% due 11/12/305   4,500,000    4,534,036 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 26.5% (continued)
Collateralized Loan Obligations - 16.3% (continued)        
Seneca Park CLO Limited        
2017-1A, 1.72% (3 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 07/17/263,5   4,000,000   $3,994,069 
2017-1A, 1.34% (3 Month USD LIBOR + 1.12%, Rate Floor: 0.00%) due 07/17/263,5   52,060    52,044 
FDF II Ltd.          
2016-2A, 4.29% due 05/12/315   4,000,000    4,038,162 
TCP Waterman CLO Ltd.          
2016-1A, 2.27% (3 Month USD LIBOR + 2.05%, Rate Floor: 0.00%) due 12/15/283,5   4,000,000    4,001,455 
Crown Point CLO III Ltd.          
2017-3A, 1.15% (3 Month USD LIBOR + 0.91%, Rate Floor: 0.00%) due 12/31/273,5   3,655,614    3,646,880 
Newstar Commercial Loan Funding LLC          
2017-1A, 2.74% (3 Month USD LIBOR + 2.50%, Rate Floor: 0.00%) due 03/20/273,5   3,000,000    2,995,592 
Marathon CLO VII Ltd.          
2017-7A, 1.87% (3 Month USD LIBOR + 1.65%, Rate Floor: 0.00%) due 10/28/253,5   3,000,000    2,992,471 
Fortress Credit Opportunities IX CLO Ltd.          
2017-9A, 1.77% (3 Month USD LIBOR + 1.55%, Rate Floor: 0.00%) due 11/15/293,5   2,982,000    2,970,526 
KVK CLO Ltd.          
2017-1A, 1.13% (3 Month USD LIBOR + 0.90%, Rate Floor: 0.00%) due 01/14/283,5   1,725,955    1,718,426 
2018-1A, 0.92% (3 Month USD LIBOR + 0.70%, Rate Floor: 0.00%) due 05/20/293,5   956,047    954,393 
Golub Capital Partners CLO 17 Ltd.          
2017-17A, 1.87% (3 Month USD LIBOR + 1.65%, Rate Floor: 0.00%) due 10/25/303,5   2,500,000    2,491,543 
Newfleet CLO Ltd.          
2018-1A, 1.17% (3 Month USD LIBOR + 0.95%, Rate Floor: 0.00%) due 04/20/283,5   2,495,302    2,482,502 
Avery Point V CLO Ltd.          
2017-5A, 1.20% (3 Month USD LIBOR + 0.98%, Rate Floor: 0.00%) due 07/17/263,5   1,832,720    1,832,717 
Northwoods Capital XII-B Ltd.          
2018-12BA, 0.97% (3 Month USD LIBOR + 0.75%, Rate Floor: 0.75%) due 06/15/313,5   1,750,000    1,737,569 
HPS Loan Management Ltd.          
2019-19, 0.82% (3 Month USD LIBOR + 0.60%, Rate Floor: 0.60%) due 07/25/303,5   1,714,286    1,710,327 
Oaktree CLO Ltd.          
2017-1A, 1.09% (3 Month USD LIBOR + 0.87%) due 10/20/273,5   1,542,523    1,535,900 
Dryden 37 Senior Loan Fund          
2015-37A, due 01/15/315,7   1,500,000    1,286,174 
Monroe Capital CLO Ltd.          
2017-1A, 1.57% (3 Month USD LIBOR + 1.35%, Rate Floor: 0.00%) due 10/22/263,5   1,269,599    1,269,346 
California Street CLO XII Ltd.          
2017-12A, 1.74% (3 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 10/15/253,5   1,250,000    1,244,310 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 26.5% (continued)
Collateralized Loan Obligations - 16.3% (continued)        
Cent CLO Ltd.        
2013-19A, 1.54% (3 Month USD LIBOR + 1.33%, Rate Floor: 0.00%) due 10/29/253,5   910,286   $910,449 
Treman Park CLO Ltd.          
2015-1A, due 10/20/285,7   1,000,000    801,419 
Hull Street CLO Ltd.          
2017-1A, 1.44% (3 Month USD LIBOR + 1.22%, Rate Floor: 0.00%) due 10/18/263,5   731,507    731,294 
LCM XXII Ltd.          
2018-22A, 0.82% (3 Month USD LIBOR + 0.60%, Rate Floor: 0.60%) due 10/20/283,5   361,111    360,052 
ACIS CLO Ltd.          
2014-4A, 1.63% (3 Month USD LIBOR + 1.42%, Rate Floor: 0.00%) due 05/01/263,5   256,515    256,495 
Copper River CLO Ltd.          
2007-1A, due 01/20/217,8   500,000    14,700 
OHA Credit Partners IX Ltd.          
2013-9A, due 10/20/255,7   301,370    3,867 
Total Collateralized Loan Obligations        708,156,706 
Financial - 3.7%          
Station Place Securitization Trust          
2020-5, 1.15% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 05/24/22†††,3,8   57,600,000    57,600,000 
2020-14, 1.29% (1 Month USD LIBOR + 1.15%, Rate Floor: 0.00%) due 03/10/21†††,3,5   17,000,000    17,000,000 
2020-12, 1.64% (1 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 06/09/21†††,3,5   10,000,000    10,000,000 
2020-9, 1.64% (1 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 02/15/21†††,3,8   2,000,000    2,000,000 
Station Place Securitization Trust Series          
2020-16, 1.14% (1 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 12/22/213,5   30,000,000    30,000,000 
2020-17, 1.14% (1 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 03/24/213,5   23,000,000    23,000,000 
Madison Avenue Secured Funding Trust Series          
2020-1, 1.77% (1 Month USD LIBOR + 1.63%, Rate Floor: 0.00%) due 12/13/21†††,3,5   8,000,000    8,000,000 
Aesf Vi Verdi LP          
2.15% due 11/25/24†††   EUR 5,000,000    6,082,474 
Strategic Partners Fund VIII LP          
3.15% due 03/10/25†††   4,000,000    4,070,605 
Total Financial        157,753,079 
Net Lease - 1.7%          
Oak Street Investment Grade Net Lease Fund Series          
2020-1A, 1.85% due 11/20/505   40,690,780    41,015,297 
Capital Automotive LLC          
2017-1A, 3.87% due 04/15/475   15,537,998    15,561,518 
STORE Master Funding I LLC          
2015-1A, 4.17% due 04/20/455   10,396,833    10,763,551 
CARS-DB4, LP          
2020-1A, 3.19% due 02/15/505   3,998,333    4,120,191 
Capital Automotive REIT          
2020-1A, 3.48% due 02/15/505   1,999,167    2,093,791 
2014-1A, 3.66% due 10/15/445   923,642    926,211 
Total Net Lease        74,480,559 
Transport-Aircraft - 1.7%          
AASET US Ltd.          
2018-2A, 4.45% due 11/18/385   17,244,542    16,291,255 
Castlelake Aircraft Securitization Trust          
2018-1, 4.13% due 06/15/435   8,660,619    8,231,952 
2017-1, 3.97% due 07/15/42   3,455,518    3,235,948 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 26.5% (continued)
Transport-Aircraft - 1.7% (continued)        
Sapphire Aviation Finance I Ltd.        
2018-1A, 4.25% due 03/15/405   11,123,592   $10,763,975 
KDAC Aviation Finance Ltd.          
2017-1A, 4.21% due 12/15/425   9,522,417    8,588,836 
MAPS Ltd.          
2018-1A, 4.21% due 05/15/435   8,346,450    7,953,938 
Sapphire Aviation Finance II Ltd.          
2020-1A, 3.23% due 03/15/405   7,440,321    7,203,048 
AIM Aviation Finance Ltd.          
2015-1A, 4.21% due 02/15/405   4,621,555    3,584,700 
AASET Trust          
2017-1A, 3.97% due 05/16/425   3,771,090    3,497,323 
Raspro Trust          
2005-1A, 1.14% (3 Month USD LIBOR + 0.93%, Rate Floor: 0.93%) due 03/23/243,5   2,434,885    2,371,641 
Falcon Aerospace Ltd.          
2017-1, 4.58% due 02/15/425   1,636,454    1,567,674 
Total Transport-Aircraft        73,290,290 
Infrastructure - 1.4%          
VB-S1 Issuer LLC          
2020-1A, 3.03% due 06/15/505   29,000,000    30,381,389 
SBA Tower Trust          
2.33% due 01/15/285   24,000,000    24,190,020 
Secured Tenant Site Contract Revenue Notes Series          
2018-1A, 3.97% due 06/15/485   7,163,811    7,330,538 
Total Infrastructure        61,901,947 
Transport-Container - 0.8%          
CLI Funding VI LLC          
2020-3A, 2.07% due 10/18/455   18,477,500    18,635,832 
2020-1A, 2.08% due 09/18/455   1,930,000    1,950,331 
Textainer Marine Containers VII Ltd.          
2020-1A, 2.73% due 08/21/455   5,597,489    5,757,721 
Textainer Marine Containers VIII Ltd.          
2020-2A, 2.10% due 09/20/455   4,883,613    4,951,834 
CAL Funding IV Ltd.          
2020-1A, 2.22% due 09/25/455   3,670,313    3,716,978 
Total Transport-Container        35,012,696 
Collateralized Debt Obligations - 0.6%          
Anchorage Credit Funding Ltd.          
2016-4A, 3.50% due 02/15/355   11,650,000    11,698,755 
2016-3A, 3.85% due 10/28/335   1,500,000    1,515,985 
Anchorage Credit Funding 3 Ltd.          
2021-3A, 2.87% due 01/28/395   9,750,000    9,760,551 
Putnam Structured Product Funding Ltd.          
2003-1A, 1.18% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 10/15/383,8   233,041    232,297 
Total Collateralized Debt Obligations        23,207,588 
Whole Business - 0.3%          
Arbys Funding LLC          
2020-1A, 3.24% due 07/30/505   7,231,875    7,389,602 
Domino's Pizza Master Issuer LLC          
2017-1A, 1.47% (3 Month USD LIBOR + 1.25%, Rate Floor: 0.00%) due 07/25/473,5   5,092,500    5,097,491 
Wendy's Funding LLC          
2018-1A, 3.57% due 03/15/485   1,633,480    1,683,856 
Total Whole Business        14,170,949 
Insurance - 0.0%          
Chesterfield Financial Holdings LLC          
2014-1A, 4.50% due 12/15/345   357,750    367,862 
Transport-Rail - 0.0%          
TRIP Rail Master Funding LLC          
2017-1A, 2.71% due 08/15/475   199,941    200,193 
Total Asset-Backed Securities          
(Cost $1,149,365,501)        1,148,541,869 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 15.8%
Residential Mortgage Backed Securities - 13.2%        
NRZ Advance Receivables Trust        
2020-T2, 1.48% due 09/15/535   28,950,000   $29,072,308 
2020-T3, 1.32% due 10/15/525   20,750,000    20,801,549 
CIM Trust          
2018-R4, 4.07% (WAC) due 12/26/573,5   21,922,946    22,019,670 
2018-R2, 3.69% (WAC) due 08/25/573,5   21,054,295    21,070,786 
Towd Point Mortgage Trust          
2017-6, 2.75% (WAC) due 10/25/573,5   19,043,136    19,606,508 
2018-2, 3.25% (WAC) due 03/25/583,5   9,684,629    10,137,334 
2017-5, 0.75% (1 Month USD LIBOR + 0.60%, Rate Floor: 0.00%) due 02/25/573,5   8,849,338    8,820,986 
2018-1, 3.00% (WAC) due 01/25/583,5   1,457,279    1,514,489 
CSMC Trust          
2020-RPL5, 3.02% due 08/25/605   19,359,609    19,414,742 
2018-RPL9, 3.85% (WAC) due 09/25/573,5   11,314,287    12,099,610 
2020-NQM1, 1.41% due 05/25/655,9   8,511,602    8,529,735 
Ocwen Master Advance Receivables Trust          
2020-T1, 1.28% due 08/15/525   33,150,000    33,219,976 
Verus Securitization Trust          
2020-5, 1.58% due 05/25/655,9   15,369,824    15,390,723 
2019-4, 2.64% due 11/25/595,9   11,012,245    11,267,565 
2020-1, 2.42% due 01/25/605,9   6,333,584    6,451,576 
Soundview Home Loan Trust          
2006-OPT5, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 07/25/363   17,344,404    16,861,785 
2005-OPT3, 0.62% (1 Month USD LIBOR + 0.47%, Rate Floor: 0.47%) due 11/25/353   4,000,000    3,978,934 
2006-1, 0.75% (1 Month USD LIBOR + 0.60%, Rate Floor: 0.60%) due 02/25/363   3,969,977    3,941,650 
New Residential Mortgage Loan Trust          
2018-2A, 3.50% (WAC) due 02/25/583,5   11,980,650    12,560,102 
2018-1A, 4.00% (WAC) due 12/25/573,5   3,299,206    3,567,615 
2019-6A, 3.50% (WAC) due 09/25/593,5   2,437,265    2,586,095 
2017-5A, 1.65% (1 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 06/25/573,5   1,202,945    1,217,212 
FKRT          
2020-C2A, 3.25% due 12/30/238   17,630,000    17,641,751 
Home Equity Loan Trust          
2007-FRE1, 0.34% (1 Month USD LIBOR + 0.19%, Rate Floor: 0.19%) due 04/25/373   17,138,067    16,048,894 
New Residential Advance Receivables Trust Advance Receivables Backed          
2020-T1, 1.43% due 08/15/535   15,750,000    15,800,539 
Cascade Funding Mortgage Trust          
2018-RM2, 4.00% (WAC) due 10/25/683,8   10,797,704    11,148,513 
2019-RM3, 2.80% (WAC) due 06/25/693,8   3,370,363    3,410,373 
Structured Asset Securities Corporation Mortgage Loan Trust          
2008-BC4, 0.78% (1 Month USD LIBOR + 0.63%, Rate Floor: 0.63%) due 11/25/373   11,390,332    11,148,028 
2006-BC4, 0.32% (1 Month USD LIBOR + 0.17%, Rate Floor: 0.17%) due 12/25/363   1,260,188    1,237,455 
2007-BC1, 0.28% (1 Month USD LIBOR + 0.13%, Rate Floor: 0.13%) due 02/25/373   197,831    192,648 
Starwood Mortgage Residential Trust          
2020-1, 2.28% (WAC) due 02/25/503,5   7,448,974    7,612,947 
2019-1, 2.94% (WAC) due 06/25/493,5   4,554,896    4,620,100 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 15.8% (continued)
Residential Mortgage Backed Securities - 13.2% (continued)        
NovaStar Mortgage Funding Trust Series        
2007-2, 0.35% (1 Month USD LIBOR + 0.20%, Rate Cap/Floor: 11.00%/0.20%) due 09/25/373   11,715,166   $11,224,046 
New Residential Advance Receivables Trust Advance Receivables Backed Notes          
2020-APT1, 1.04% due 12/16/525   10,900,000    10,902,950 
Banc of America Funding Trust          
2015-R2, 0.41% (1 Month USD LIBOR + 0.26%, Rate Floor: 0.26%) due 04/29/373,5   10,278,000    9,972,929 
2015-R4, 0.32% (1 Month USD LIBOR + 0.17%, Rate Floor: 0.17%) due 01/27/353,5   817,220    810,824 
Ameriquest Mortgage Securities Incorporated Asset-Backed Pass-Through Ctfs Series          
2005-R10, 0.79% (1 Month USD LIBOR + 0.65%, Rate Floor: 0.65%) due 01/25/363   10,011,412    9,975,570 
GS Mortgage-Backed Securities Trust          
2020-NQM1, 1.38% (WAC) due 09/27/603,5   9,519,981    9,570,385 
Alternative Loan Trust          
2007-OA7, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 05/25/473   7,098,675    6,595,644 
2007-OH3, 0.44% (1 Month USD LIBOR + 0.29%, Rate Cap/Floor: 10.00%/0.29%) due 09/25/473   2,926,794    2,726,722 
BRAVO Residential Funding Trust          
2019-NQM1, 2.67% (WAC) due 07/25/593,5   6,787,327    6,946,829 
2019-NQM2, 2.75% (WAC) due 11/25/593,5   1,974,329    2,036,194 
CIT Mortgage Loan Trust          
2007-1, 1.50% (1 Month USD LIBOR + 1.35%, Rate Floor: 1.35%) due 10/25/373,5   8,337,590    8,377,288 
2007-1, 1.60% (1 Month USD LIBOR + 1.45%, Rate Floor: 1.45%) due 10/25/373,5   477,274    479,962 
Homeward Opportunities Fund I Trust          
2019-3, 2.68% (WAC) due 11/25/593,5   4,680,303    4,764,843 
2019-2, 2.70% (WAC) due 09/25/593,5   3,619,716    3,659,572 
American Home Mortgage Investment Trust          
2006-3, 0.51% (1 Month USD LIBOR + 0.36%, Rate Cap/Floor: 10.50%/0.36%) due 12/25/463   7,900,468    7,421,932 
Argent Securities Incorporated Asset-Backed Pass-Through Certificates Series          
2005-W2, 0.88% (1 Month USD LIBOR + 0.74%, Rate Floor: 0.74%) due 10/25/353   7,250,000    7,183,507 
Park Place Securities Incorporated Asset Backed Pass Through Certificates Ser          
2005-WHQ3, 1.09% (1 Month USD LIBOR + 0.95%, Rate Floor: 0.95%) due 06/25/353   7,025,000    6,996,192 
Bear Stearns Asset Backed Securities I Trust          
2006-HE9, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 11/25/363   6,842,306    6,557,213 
Morgan Stanley Home Equity Loan Trust          
2006-2, 0.71% (1 Month USD LIBOR + 0.56%, Rate Floor: 0.56%) due 02/25/363   5,511,279    5,453,176 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 15.8% (continued)
Residential Mortgage Backed Securities - 13.2% (continued)        
Residential Mortgage Loan Trust        
2020-1, 2.38% (WAC) due 02/25/243,5   4,965,820   $5,060,653 
HarborView Mortgage Loan Trust          
2006-14, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 01/25/473   2,925,860    2,667,803 
2006-12, 0.34% (1 Month USD LIBOR + 0.19%, Rate Floor: 0.19%) due 01/19/383   2,513,486    2,343,070 
First NLC Trust          
2005-4, 0.93% (1 Month USD LIBOR + 0.78%, Rate Cap/Floor: 14.00%/0.78%) due 02/25/363   4,921,908    4,848,540 
Citigroup Mortgage Loan Trust          
2019-IMC1, 2.72% (WAC) due 07/25/493,5   2,803,074    2,853,364 
2007-WFH2, 0.55% (1 Month USD LIBOR + 0.40%, Rate Floor: 0.40%) due 03/25/373   1,940,031    1,928,374 
Countrywide Asset-Backed Certificates          
2006-6, 0.49% (1 Month USD LIBOR + 0.34%, Rate Floor: 0.34%) due 09/25/363   3,561,270    3,530,178 
2006-5, 0.73% (1 Month USD LIBOR + 0.58%, Rate Floor: 0.58%) due 08/25/363   1,040,471    1,033,481 
Ellington Financial Mortgage Trust          
2020-2, 1.64% (WAC) due 10/25/653,5   4,240,690    4,244,258 
Legacy Mortgage Asset Trust          
2018-GS3, 4.00% due 06/25/585,9   4,189,401    4,217,181 
Structured Asset Investment Loan Trust          
2006-3, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 06/25/363   3,702,156    3,624,328 
2005-2, 0.88% (1 Month USD LIBOR + 0.74%, Rate Floor: 0.74%) due 03/25/353   348,079    346,598 
2005-1, 0.87% (1 Month USD LIBOR + 0.72%, Rate Floor: 0.72%) due 02/25/353,5   113,961    113,458 
Nationstar Home Equity Loan Trust          
2007-B, 0.37% (1 Month USD LIBOR + 0.22%, Rate Floor: 0.22%) due 04/25/373   4,054,407    4,007,764 
SPS Servicer Advance Receivables Trust          
2020-T2, 1.83% due 11/15/555   3,750,000    3,771,820 
FBR Securitization Trust          
2005-2, 0.90% (1 Month USD LIBOR + 0.75%, Rate Cap/Floor: 14.00%/0.75%) due 09/25/353   3,626,468    3,618,211 
Nationstar HECM Loan Trust          
2019-2A, 2.27% (WAC) due 11/25/293,5   3,313,222    3,320,264 
JP Morgan Mortgage Acquisition Trust          
2006-HE2, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 07/25/363   3,261,219    3,231,511 
Asset Backed Securities Corporation Home Equity Loan Trust Series AEG          
2006-HE1, 0.55% (1 Month USD LIBOR + 0.40%, Rate Floor: 0.40%) due 01/25/363   3,350,000    3,222,091 
Deephaven Residential Mortgage Trust          
2019-3A, 2.96% (WAC) due 07/25/593,5   2,277,012    2,300,399 
2017-3A, 2.58% (WAC) due 10/25/473,5   721,663    729,575 
Credit-Based Asset Servicing and Securitization LLC          
2006-CB2, 0.53% (1 Month USD LIBOR + 0.38%, Rate Floor: 0.38%) due 12/25/363   2,915,937    2,819,935 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 15.8% (continued)
Residential Mortgage Backed Securities - 13.2% (continued)        
CSMC Series        
2015-12R, 0.65% (WAC) due 11/30/373,5   2,228,057   $2,220,791 
2014-2R, 0.35% (1 Month USD LIBOR + 0.20%, Rate Floor: 0.20%) due 02/27/463,5   154,264    151,182 
LSTAR Securities Investment Trust          
2019-1, 1.86% (1 Month USD LIBOR + 1.70%, Rate Floor: 0.00%) due 03/01/243,5   2,088,929    2,096,405 
ACE Securities Corporation Home Equity Loan Trust Series          
2005-HE2, 1.17% (1 Month USD LIBOR + 1.02%, Rate Floor: 1.02%) due 04/25/353   2,000,000    1,981,815 
Morgan Stanley ABS Capital I Incorporated Trust          
2006-NC1, 0.72% (1 Month USD LIBOR + 0.57%, Rate Floor: 0.57%) due 12/25/353   1,288,255    1,280,469 
Morgan Stanley Capital I Incorporated Trust          
2006-HE1, 0.73% (1 Month USD LIBOR + 0.58%, Rate Floor: 0.58%) due 01/25/363   1,266,737    1,239,443 
First Franklin Mortgage Loan Trust          
2004-FF10, 1.42% (1 Month USD LIBOR + 1.28%, Rate Floor: 1.28%) due 07/25/343   870,865    871,263 
Nomura Resecuritization Trust          
2015-4R, 1.71% (1 Month USD LIBOR + 0.43%, Rate Floor: 0.43%) due 03/26/363,5   844,471    839,589 
GE-WMC Asset-Backed Pass-Through Certificates Series          
2005-2, 0.65% (1 Month USD LIBOR + 0.50%, Rate Floor: 0.50%) due 12/25/353   585,061    583,602 
UCFC Manufactured Housing Contract          
1997-2, 7.38% due 10/15/28   219,937    230,404 
Encore Credit Receivables Trust          
2005-4, 0.81% (1 Month USD LIBOR + 0.66%, Rate Floor: 0.66%) due 01/25/363   200,811    200,713 
Morgan Stanley Re-REMIC Trust          
2010-R5, 1.57% due 06/26/365   79,945    71,921 
GSAMP Trust          
2005-HE6, 0.81% (1 Month USD LIBOR + 0.66%, Rate Floor: 0.66%) due 11/25/353   53,377    53,232 
GreenPoint Mortgage Funding Trust          
2007-AR1, 0.23% (1 Month USD LIBOR + 0.08%, Rate Floor: 0.08%) due 02/25/47†††,3   107    107 
Total Residential Mortgage Backed Securities        570,301,768 
Commercial Mortgage Backed Securities - 1.5%          
Morgan Stanley Capital I Trust          
2014-MP, 3.47% due 08/11/335   18,800,000    18,987,239 
2014-CPT, 3.45% (WAC) due 07/13/293,5   5,000,000    5,037,400 
2014-MP, 3.69% (WAC) due 08/11/333,5   2,365,000    2,390,963 
Wells Fargo Commercial Mortgage Trust          
2017-C38, 1.05% (WAC) due 07/15/503,10   24,747,426    1,268,189 
2016-C37, 0.96% (WAC) due 12/15/493,10   36,071,890    1,143,645 
2017-C42, 0.88% (WAC) due 12/15/503,10   14,785,501    753,015 
2015-LC22, 0.77% (WAC) due 09/15/583,10   21,665,021    641,612 
2017-RB1, 1.24% (WAC) due 03/15/503,10   9,688,160    600,650 
2016-NXS5, 1.46% (WAC) due 01/15/593,10   5,431,332    313,665 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 15.8% (continued)
Commercial Mortgage Backed Securities - 1.5% (continued)        
JPMDB Commercial Mortgage Securities Trust        
2016-C4, 0.79% (WAC) due 12/15/493,10   38,725,149   $1,497,753 
2018-C8, 0.64% (WAC) due 06/15/513,10   42,384,679    1,417,157 
2016-C2, 1.57% (WAC) due 06/15/493,10   7,589,130    445,801 
2017-C5, 0.93% (WAC) due 03/15/503,10   3,513,452    160,291 
COMM Mortgage Trust          
2015-CR24, 0.76% (WAC) due 08/10/483,10   62,661,939    1,860,032 
2018-COR3, 0.44% (WAC) due 05/10/513,10   35,476,218    1,038,059 
DBJPM Mortgage Trust          
2017-C6, 1.02% (WAC) due 06/10/503,10   62,060,706    2,877,519 
Banc of America Commercial Mortgage Trust          
2017-BNK3, 1.11% (WAC) due 02/15/503,10   32,900,277    1,673,246 
2016-UB10, 1.92% (WAC) due 07/15/493,10   18,053,900    1,181,016 
JP Morgan Chase Commercial Mortgage Securities Trust          
2016-JP2, 1.80% (WAC) due 08/15/493,10   35,796,130    2,839,943 
BENCHMARK Mortgage Trust          
2018-B2, 0.42% (WAC) due 02/15/513,10   122,721,623    2,600,275 
Morgan Stanley Bank of America Merrill Lynch Trust          
2015-C27, 0.91% (WAC) due 12/15/473,10   33,521,631    1,153,660 
2017-C34, 0.80% (WAC) due 11/15/523,10   24,288,708    1,038,347 
UBS Commercial Mortgage Trust          
2017-C2, 1.08% (WAC) due 08/15/503,10   28,844,061    1,421,011 
2017-C5, 1.00% (WAC) due 11/15/503,10   13,772,993    661,465 
GB Trust          
2020-FLIX, 1.76% (1 Month USD LIBOR + 1.60%, Rate Floor: 1.60%) due 08/15/373,5   2,000,000    2,008,982 
CSAIL Commercial Mortgage Trust          
2019-C15, 1.05% (WAC) due 03/15/523,10   19,918,925    1,292,025 
2016-C6, 1.92% (WAC) due 01/15/493,10   6,987,360    522,873 
BBCMS Mortgage Trust          
2018-C2, 0.77% (WAC) due 12/15/513,10   29,829,295    1,505,067 
BAMLL Commercial Mortgage Securities Trust          
2012-PARK, 2.96% due 12/10/305   1,300,000    1,355,980 
Bancorp Commercial Mortgage Trust          
2018-CR3, 1.41% (1 Month USD LIBOR + 1.25%, Rate Floor: 1.25%) due 01/15/333,5   1,283,753    1,280,336 
CD Commercial Mortgage Trust          
2017-CD4, 1.29% (WAC) due 05/10/503,10   16,848,111    984,877 
CD Mortgage Trust          
2017-CD6, 0.92% (WAC) due 11/13/503,10   14,183,559    585,755 
2016-CD1, 1.39% (WAC) due 08/10/493,10   6,786,791    392,872 
CGMS Commercial Mortgage Trust          
2017-B1, 0.83% (WAC) due 08/15/503,10   21,986,113    889,789 
Citigroup Commercial Mortgage Trust          
2016-C2, 1.75% (WAC) due 08/10/493,10   6,548,663    496,745 
2016-GC37, 1.70% (WAC) due 04/10/493,10   3,438,866    244,662 
GS Mortgage Securities Trust          
2017-GS6, 1.04% (WAC) due 05/10/503,10   11,456,791    638,504 
BANK          
2017-BNK6, 0.82% (WAC) due 07/15/603,10   15,001,122    597,063 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 15.8% (continued)
Commercial Mortgage Backed Securities - 1.5% (continued)        
JPMBB Commercial Mortgage Securities Trust        
2013-C17, 0.74% (WAC) due 01/15/473,10   22,504,072   $424,073 
Total Commercial Mortgage Backed Securities        66,221,556 
Government Agency - 1.1%          
Freddie Mac Multifamily Structured Pass Through Certificates          
2018-K074, 3.60% due 02/25/28   14,000,000    16,346,463 
2018-K078, 3.92% due 06/25/28   3,350,000    3,991,622 
2013-K035, 0.35% (WAC) due 08/25/233,10   101,732,402    837,421 
Fannie Mae          
3.59% due 02/01/29   10,200,000    11,548,324 
3.21% due 08/01/27   2,113,094    2,376,789 
Freddie Mac Seasoned Credit Risk Transfer Trust          
2020-3, 2.00% due 05/25/60   4,869,909    5,016,475 
2020-2, 2.00% due 11/25/59   2,800,718    2,886,664 
Fannie Mae-Aces          
2020-M23, 1.74% due 03/25/35   3,840,000    3,938,327 
2020-M23, 1.50% (WAC) due 03/25/353,10   8,989,241    1,236,140 
Total Government Agency        48,178,225 
Total Collateralized Mortgage Obligations          
(Cost $676,324,178)        684,701,549 
           
FOREIGN GOVERNMENT DEBT†† - 13.7%          
Government of Japan          
(0.13)% due 01/06/2111   JPY 12,423,550,000    120,318,600 
(0.16)% due 01/12/2111   JPY 4,452,850,000    43,125,344 
(0.17)% due 01/25/2111   JPY 2,175,000,000    21,065,509 
Republic of Portugal          
(0.56)% due 01/15/2111   EUR 84,765,000    103,594,627 
Kingdom of Spain          
(0.55)% due 01/15/2111   EUR 69,550,000    85,005,805 
Province of Nova Scotia          
0.12% due 01/14/2111   CAD 55,940,000    43,975,537 
0.14% due 01/05/2111   CAD 29,424,000    23,131,480 
State of Israel          
1.00% due 04/30/21   ILS 122,410,000    38,254,271 
Republic of Brazil          
 due 04/01/21   BRL 194,400,000    37,278,244 
Kingdom of Sweden          
(0.22)% due 01/20/2111   SEK 201,560,000    24,508,435 
(0.26)% due 03/17/2111   SEK 56,300,000    6,847,729 
Newfoundland          
0.15% due 02/04/2111   CAD 20,000,000    15,720,193 
0.15% due 01/28/2111   CAD 3,400,000    2,672,540 
Province of Manitoba Canada          
0.13% due 01/06/2111   CAD 13,850,000    10,888,085 
0.15% due 01/20/2111   CAD 3,750,000    2,947,860 
0.15% due 01/27/2111   CAD 750,000    589,548 
Province of Ontario          
0.13% due 01/20/2111   CAD 8,650,000    6,799,732 
0.13% due 01/27/2111   CAD 3,785,000    2,975,255 
United Mexican States          
4.28% due 01/07/2111   MXN 79,700,000    4,004,710 
Province of Quebec          
0.12% due 01/08/2111   CAD 908,000    713,811 
Total Foreign Government Debt          
(Cost $580,736,844)        594,417,315 
           
SENIOR FLOATING RATE INTERESTS††,3 - 1.5%          
Consumer, Non-cyclical - 0.3%          
US Foods, Inc.          
4.25% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.25%) due 04/24/25†††   4,906,250    4,808,125 
1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 06/27/23   398,956    392,564 
Bombardier Recreational Products, Inc.          
6.00% (3 Month USD LIBOR + 5.00%, Rate Floor: 6.00%) due 05/24/27   4,688,250    4,772,638 
National Mentor Holdings, Inc.          
4.25% due 03/09/26   2,228,700    2,223,597 
PAREXEL International Corp.          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 09/27/24   1,070,000    1,050,440 
Diamond (BC) BV          
3.21% (3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 09/06/24   972,494    957,099 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,3 - 1.5% (continued)
Consumer, Non-cyclical - 0.3% (continued)        
Civitas Solutions, Inc.        
4.43% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 03/09/26   307,576   $306,872 
4.51% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 03/09/26   13,724    13,693 
Total Consumer, Non-cyclical        14,525,028 
Industrial - 0.3%          
Filtration Group Corp.          
3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/31/25   5,146,244    5,086,033 
Delta Air Lines, Inc.          
5.75% (3 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 05/01/23   2,985,000    3,027,119 
Mileage Plus Holdings LLC          
6.25% (3 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 06/21/27   2,600,000    2,702,388 
Cushman & Wakefield US Borrower LLC          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 08/21/25   498,744    489,018 
JetBlue Airways Corp.          
6.25% (3 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 06/17/24   217,215    222,952 
VC GB Holdings, Inc.          
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 02/28/24†††   200,000    199,500 
Total Industrial        11,727,010 
Technology - 0.3%          
MACOM Technology Solutions Holdings, Inc.          
2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 05/17/24   8,522,304    8,300,724 
Ascend Learning LLC          
4.75% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 07/12/24   1,945,125    1,948,373 
Neustar, Inc.          
4.50% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 08/08/24   19,504    18,858 
Total Technology        10,267,955 
Consumer, Cyclical - 0.2%          
Samsonite IP Holdings SARL          
5.50% (1 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 04/25/25   7,064,500    7,015,967 
BGIS (BIFM CA Buyer, Inc.)          
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 06/01/26   2,435,496    2,426,363 
Intrawest Resorts Holdings, Inc.          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 07/31/24   249,357    245,512 
GVC Holdings PLC          
3.25% (3 Month USD LIBOR + 2.25%, Rate Floor: 3.25%) due 03/29/24   199,487    199,549 
Total Consumer, Cyclical        9,887,391 
Financial - 0.2%          
USI, Inc.          
3.25% (3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 05/16/24   4,844,292    4,770,611 
HUB International Ltd.          
2.96% (3 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 04/25/25   3,250,000    3,188,055 
Total Financial        7,958,666 
Basic Materials - 0.2%          
Invictus MD Strategies Corp.          
3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/28/25   6,460,037    6,337,748 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,3 - 1.5% (continued)
Basic Materials - 0.2% (continued)        
GrafTech Finance, Inc.        
4.50% (1 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 02/12/25   1,622,303   $1,618,929 
Total Basic Materials        7,956,677 
Energy - 0.0%          
Venture Global Calcasieu Pass LLC          
2.53% (1 Month USD LIBOR + 2.38% and 3 Month USD LIBOR + 2.38%, Rate Floor: 2.38%) due 08/19/26   938,757    882,432 
Total Senior Floating Rate Interests          
(Cost $62,231,185)        63,205,159 
           
MUNICIPAL BONDS†† - 0.3%          
California - 0.3%          
Eastern Municipal Water District Revenue Bonds          
0.07% due 07/01/463,12   11,000,000    11,000,000 
San Dieguito Union High School District General Obligation Unlimited          
2.68% due 08/01/36   2,500,000    2,616,925 
Total California        13,616,925 
Total Municipal Bonds          
(Cost $13,500,000)        13,616,925 
           
REPURCHASE AGREEMENTS†††,13 - 1.0%          
J.P. Morgan Securities LLC          
issued 12/31/20 at 0.06%
 due 01/01/21
   45,000,000    45,000,000 
Total Repurchase Agreements          
(Cost $45,000,000)        45,000,000 
           
    Notional
Value
      
OTC OPTIONS PURCHASED†† - 0.1%          
Call options on:          
Goldman Sachs International 2Y-10 CMS CAP
Expiring July 2022 with strike price of $0.40
   772,000,000    3,890,880 
Goldman Sachs International 2Y-10 CMS CAP
Expiring July 2022 with strike price of $0.61
   296,000,000    1,041,920 
Bank of America, N.A. 2Y-10 CMS CAP
Expiring July 2022 with strike price of $0.40
   115,000,000    579,600 
Total Call options        5,512,400 
Total OTC Options Purchased          
(Cost $2,446,140)        5,512,400 
Total Investments - 100.0%          
(Cost $4,236,653,651)       $4,345,581,746 
Other Assets & Liabilities, net - 0.0%        (972,169)
Total Net Assets - 100.0%       $4,344,609,577 

 

Centrally Cleared Credit Default Swap Agreements Protection Sold††        
Counterparty  Exchange  Index  Protection
Premium
Rate
  Payment
Frequency
  Maturity
Date
  Notional
Amount
   Value   Upfront
Premiums
Paid(Received)
   Unrealized
Appreciation**
 
BofA Securities, Inc.  ICE  CDX.NA.HY.35.V1  5.00%  Quarterly  12/20/25  $6,360,000   $593,203   $257,899   $335,304 

 

Centrally Cleared Interest Rate Swap Agreements††        
Counterparty  Exchange  Floating
Rate
Type
  Floating
Rate
Index
  Fixed
Rate
  Payment
Frequency
  Maturity
Date
  Notional
Amount
   Value   Upfront
Premiums
Paid
(Received)
   Unrealized
Appreciation**
 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  1.37%  Annually  12/04/21  $177,800,000   $2,175,141   $343   $2,174,798 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  1.31%  Annually  11/25/21   98,600,000    1,118,568    244    1,118,324 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  0.62%  Annually  03/04/22   110,305,000    719,052        719,052 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  1.40%  Annually  12/13/21   54,950,000    703,026    207    702,819 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  1.36%  Annually  12/09/21   46,500,000    572,559    194    572,365 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  1.37%  Annually  09/30/21   43,200,000    425,635    151    425,484 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  1.23%  Annually  08/22/21  44,400,000   335,560   130   335,430 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  1.46%  Annually  09/17/21   29,600,000    297,002    41    296,961 
                          $6,346,543   $1,310   $6,345,233 

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Total Return Swap Agreements              
Counterparty  Index  Financing
Rate Receive
  Payment
Frequency
  Maturity
Date
  Units  Notional
Amount
   Value and
Unrealized
Appreciation
(Depreciation)
 
OTC Fixed Income Index Swap Agreements Sold Short††              
BNP Paribas  iShares Core U.S. Aggregate Bond ETF  (0.55)% (1 Month USD LIBOR + 0.40%)  At Maturity  01/21/21  571,500  $67,545,585   $57,150 
JPMorgan Chase Bank, N.A.  iShares Core U.S. Aggregate Bond ETF  (0.54)% (2 Month USD LIBOR + 0.36%)  At Maturity  01/21/21  305,000   36,047,950    (73,200)
BNP Paribas  iShares Core U.S. Aggregate Bond ETF  (0.54)% (3 Month USD LIBOR + 0.40%)  At Maturity  01/20/21  327,250   38,677,678    (183,260)
JPMorgan Chase Bank, N.A.  iShares Core U.S. Aggregate Bond ETF  (0.45)% (3 Month USD LIBOR + 0.24%)  At Maturity  01/20/21  322,750   38,145,822    (219,470)
Goldman Sachs International  iShares iBoxx $ High Yield Corporate Bond ETF  (0.50)% (1 Month USD LIBOR + 0.35%)  At Maturity  01/27/21  430,200   37,556,460    (443,106)
Goldman Sachs International  iShares iBoxx $ Investment Grade Corporate Bond ETF  (0.47)% (1 Month USD LIBOR + 0.33%)  At Maturity  02/01/21  265,600   36,687,328    (1,168,640)
                  $254,660,823   $(2,030,526)

 

Forward Foreign Currency Exchange Contracts††
Counterparty  Contracts to Sell  Currency  Settlement Date  Settlement Value   Value at
December
31, 2020
   Unrealized
Appreciation
(Depreciation)
 
Citibank N.A., New York  121,120,000  BRL  07/01/21  $28,823,148   $23,240,671   $5,582,477 
Goldman Sachs International  40,300,000  BRL  07/01/21   9,441,256    7,732,819    1,708,437 
JPMorgan Chase Bank, N.A.  18,300,000  BRL  07/01/21   4,347,310    3,511,429    835,881 
Citibank N.A., New York  912,456,000  JPY  07/01/21   8,984,580    8,856,788    127,792 
Barclays Bank plc  843,421,500  JPY  07/01/21   8,292,415    8,186,702    105,713 
Citibank N.A., New York  51,080,000  CAD  01/14/21   40,178,870    40,158,553    20,317 
Goldman Sachs International  79,700,000  MXN  01/07/21   4,021,799    4,007,171    14,628 
BNP Paribas  8,650,000  CAD  01/20/21   6,802,748    6,800,758    1,990 
Morgan Stanley Capital Services LLC  4,995,000  EUR  03/30/21   6,116,078    6,115,323    755 
Citibank N.A., New York  3,750,000  CAD  01/20/21   2,948,896    2,948,306    590 
Barclays Bank plc  908,000  CAD  01/08/21   714,023    713,837    186 
Citibank N.A., New York  456,000  JPY  01/04/21   4,450    4,416    34 
Barclays Bank plc  421,500  JPY  01/04/21   4,106    4,082    24 
Citibank N.A., New York  1,875  ILS  02/01/21   531    584    (53)
BNP Paribas  3,400,000  CAD  01/28/21   2,672,432    2,673,246    (814)
BNP Paribas  4,535,000  CAD  01/27/21   3,564,075    3,565,619    (1,544)
Goldman Sachs International  4,860,000  CAD  01/14/21   3,819,238    3,820,880    (1,642)
Bank of America, N.A.  684,200  ILS  02/01/21   199,912    213,298    (13,386)
UBS AG  2,175,000,000  JPY  01/25/21   21,009,966    21,069,851    (59,885)
UBS AG  2,266,550,000  JPY  01/06/21   21,877,241    21,951,079    (73,838)
JPMorgan Chase Bank, N.A.  4,424,000  CAD  01/05/21   3,368,637    3,477,933    (109,296)
Bank of America, N.A.  5,454,000  ILS  04/30/21   1,586,157    1,703,784    (117,627)
Citibank N.A., New York  56,300,000  SEK  03/17/21   6,652,330    6,850,736    (198,406)
Citibank N.A., New York  17,585,000  EUR  01/15/21   21,275,643    21,492,539    (216,896)
Bank of America, N.A.  13,124,200  ILS  01/31/22   3,890,957    4,126,442    (235,485)
UBS AG  456,100,000  MXN  02/18/21   22,581,075    22,824,951    (243,876)
Citibank N.A., New York  12,524,000  ILS  04/30/21   3,658,245    3,912,392    (254,147)
UBS AG  4,452,850,000  JPY  01/12/21   42,815,866    43,128,453    (312,587)
UBS AG  20,000,000  CAD  02/04/21   15,388,238    15,725,570    (337,332)
JPMorgan Chase Bank, N.A.  23,240,000  CAD  01/27/21   17,834,189    18,272,323    (438,134)
Barclays Bank plc  13,850,000  CAD  01/06/21   10,441,876    10,888,252    (446,376)
UBS AG  467,000,000  MXN  01/28/21   22,736,523    23,423,597    (687,074)
Goldman Sachs International  42,231,650  ILS  01/31/22   12,500,228    13,278,255    (778,027)
Goldman Sachs International  11,989,250  EUR  07/30/21   13,927,012    14,719,081    (792,069)
Barclays Bank plc  25,000,000  CAD  01/05/21   18,839,587    19,653,779    (814,192)
Goldman Sachs International  194,400,000  BRL  04/01/21   36,483,062    37,408,165    (925,103)
UBS AG  201,560,000  SEK  01/20/21   23,567,626    24,511,447    (943,821)
JPMorgan Chase Bank, N.A.  1,207,000,000  MXN  01/14/21   59,633,504    60,637,252    (1,003,748)
Barclays Bank plc  34,670,000  EUR  01/15/21   41,077,109    42,373,974    (1,296,865)
JPMorgan Chase Bank, N.A.  21,006,375  EUR  07/30/21   24,244,928    25,789,315    (1,544,387)
UBS AG  1,199,400,000  MXN  02/25/21   58,245,638    59,978,293    (1,732,655)
Citibank N.A., New York  10,157,000,000  JPY  01/06/21   96,528,142    98,368,493    (1,840,351)
Goldman Sachs International  196,647,000  ILS  04/30/21   57,843,529    61,430,864    (3,587,335)
JPMorgan Chase Bank, N.A.  102,060,000  EUR  01/15/21   120,862,653    124,738,617    (3,875,964)
Goldman Sachs International  218,667,533  ILS  02/01/21   63,610,504    68,169,333    (4,558,829)
                      $(19,042,920)

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Forward Foreign Currency Exchange Contracts††

 

Counterparty  Contracts to Buy  Currency  Settlement Date  Settlement Value   Value at
December
31, 2020
   Unrealized
Appreciation
(Depreciation)
 
Barclays Bank plc  32,995,625  EUR  07/30/21  $35,907,159   $40,508,396   $4,601,237 
Goldman Sachs International  117,465,319  ILS  02/01/21   32,919,631    36,619,667    3,700,036 
Goldman Sachs International  55,355,850  ILS  01/31/22   15,359,559    17,404,697    2,045,138 
Goldman Sachs International  45,495,450  ILS  04/30/21   12,689,087    14,212,395    1,523,308 
JPMorgan Chase Bank, N.A.  45,495,450  ILS  04/30/21   12,819,231    14,212,395    1,393,164 
UBS AG  101,888,289  ILS  02/01/21   30,458,320    31,763,548    1,305,228 
UBS AG  1,199,400,000  MXN  02/25/21   59,048,402    59,978,293    929,891 
JPMorgan Chase Bank, N.A.  1,755,877,500  JPY  07/01/21   16,249,098    17,043,490    794,392 
UBS AG  467,000,000  MXN  01/28/21   23,074,217    23,423,597    349,380 
JPMorgan Chase Bank, N.A.  23,240,000  CAD  01/27/21   17,971,064    18,272,323    301,259 
BNP Paribas  456,100,000  MXN  02/18/21   22,697,188    22,824,951    127,763 
Citibank N.A., New York  119,515,000  BRL  07/01/21   22,919,925    22,932,701    12,776 
JPMorgan Chase Bank, N.A.  877,500  JPY  01/04/21   8,074    8,498    424 
UBS AG  1,207,000,000  MXN  01/14/21   60,688,979    60,637,252    (51,727)
JPMorgan Chase Bank, N.A.  60,205,000  BRL  07/01/21  11,667,635   11,552,217   (115,418)
                      $16,916,851 

 

~ The face amount is denominated in U.S. dollars unless otherwise indicated.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs, unless otherwise noted — See Note 3.
††† Value determined based on Level 3 inputs — See Note 3.
1 Affiliated issuer.
2 Rate indicated is the 7-day yield as of December 31, 2020.
3 Variable rate security. Rate indicated is the rate effective at December 31, 2020. In some instances, the effective rate is limited by a minimum rate floor or a maximum rate cap established by the issuer. The settlement status of a position may also impact the effective rate indicated. In some cases, a position may be unsettled at period end and may not have a stated effective rate. In instances where multiple underlying reference rates and spread amounts are shown, the effective rate is based on a weighted average.
4 Security has a fixed rate coupon which will convert to a floating or variable rate coupon on a future date.
5 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be liquid under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) securities is $1,849,724,816 (cost $1,830,312,074), or 42.6% of total net assets.
6 Perpetual maturity.
7 Security has no stated coupon. However, it is expected to receive residual cash flow payments on defined deal dates.
8 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be illiquid and restricted under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) illiquid and restricted securities is $92,047,634 (cost $92,179,625), or 2.1% of total net assets — See Note 6.
9 Security is a step up/down bond. The coupon increases or decreases at regular intervals until the bond reaches full maturity. Rate indicated is the rate at December 31, 2020. See table below for additional step information for each security.
10 Security is an interest-only strip.
11 Rate indicated is the effective yield at the time of purchase.
12 The rate is adjusted periodically by the counterparty, allows the holder to tender the security upon a rate reset, and is not based upon a set reference rate and spread. Rate indicated is the rate effective at December 31, 2020.
13 Repurchase Agreements - The interest rate on repurchase agreements is market driven and based on the underlying collateral obtained. See additional disclosure in the repurchase agreements table below for more information on repurchase agreements.

 

BofA — Bank of America

BRL — Brazilian Real

CAD — Canadian Dollar

CDX.NA.HY.35.V1 — Credit Default Swap North American High Yield Series 35 Index Version 1

CME — Chicago Mercantile Exchange

CMS — Constant Maturity Swap

EUR — Euro

ICE — Intercontinental Exchange

ILS — Israeli New Shekel

JPY — Japanese Yen

LIBOR — London Interbank Offered Rate

MXN — Mexican Peso

plc — Public Limited Company

REMIC — Real Estate Mortgage Investment Conduit

REIT — Real Estate Investment Trust

SARL — Société à Responsabilité Limitée

SEK — Swedish Krona

WAC — Weighted Average Coupon

 

See Sector Classification in Other Information section.

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Preferred Stocks  $   $5,006,256   $   $5,006,256 
Exchange-Traded Funds   265,193,568            265,193,568 
Mutual Funds   88,294,780            88,294,780 
Money Market Fund   96,879,914            96,879,914 
Corporate Bonds       1,322,721,489    12,490,522    1,335,212,011 
Asset-Backed Securities       1,034,141,021    114,400,848    1,148,541,869 
Collateralized Mortgage Obligations       684,701,442    107    684,701,549 
Foreign Government Debt       594,417,315        594,417,315 
Senior Floating Rate Interests       58,197,534    5,007,625    63,205,159 
Municipal Bonds       13,616,925        13,616,925 
Repurchase Agreements       45,000,000        45,000,000 
Options Purchased       5,512,400        5,512,400 
Credit Default Swap Agreements**       335,304        335,304 
Interest Rate Swap Agreements**       6,345,233        6,345,233 
Forward Foreign Currency Exchange Contracts**       25,482,820        25,482,820 
Fixed Income Index Swap Agreements**       57,150        57,150 
Total Assets  $450,368,262   $3,795,534,889   $131,899,102   $4,377,802,253 

 

Investments in Securities (Liabilities)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Forward Foreign Currency Exchange Contracts**  $   $27,608,889   $   $27,608,889 
Fixed Income Index Swap Agreements**       2,087,676        2,087,676 
Unfunded Loan Commitments (Note 5)           63,675    63,675 
Total Liabilities  $   $29,696,565   $63,675   $29,760,240 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

 

The following is a summary of significant unobservable inputs used in the fair valuation of assets and liabilities categorized within Level 3 of the fair value hierarchy:

 

Category  Ending Balance at December 31, 2020   Valuation Technique  Unobservable Inputs  Input Range  Weighted Average
Assets:                 
Asset-Backed Securities  $79,247,769   Option Adjusted Spread off the prior month end broker quote  Broker Quote   
Asset-Backed Securities   25,000,000   Model Price  Purchase Price   
Asset-Backed Securities   10,153,079   Yield Analysis  Yield  2.2%-2.3%  2.3%
Collateralized Mortgage Obligations   107   Model Price  Purchase Price   
Corporate Bonds   12,490,522   Option Adjusted Spread off the prior month end broker quote  Broker Quote   
Senior Floating Rate Interests   5,007,625   Third Party Pricing  Broker Quote   
Total Assets  $131,899,102             

 

Liabilities:                    
Unfunded Loan Commitments  $63,675    Model Price    Purchase Price         

 

Significant changes in a quote or yield would generally result in significant changes in the fair value of the security.

 

The Fund’s fair valuation leveling guidelines classify a single daily broker quote, or a vendor price based on a single daily or monthly broker quote, as Level 3, if such a quote or price cannot be supported with other available market information.

 

Transfers between Level 2 and Level 3 may occur as markets fluctuate and/or the availability of data used in an investment’s valuation changes. For the period ended December 31, 2020, the Fund had securities with a total value of $28,503,043 transfer into Level 3 from Level 2 due to lack of observable inputs.

 

Summary of Fair Value Level 3 Activity

Following is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value for the period ended December 31, 2020:

 

   Assets       Liabilities 
   Asset-
Backed
Securities
   Collateralized
Mortgage
Obligations
   Corporate
Bonds
   Senior
Floating
Rate
Interests
   Total
Assets
   Unfunded
Loan
Commitments
 
Beginning Balance  $98,361,270   $28,023,753   $4,682,550   $-   $131,067,573   $(163,932)
Purchases/(Receipts)   25,000,000    116    7,812,241    198,500    33,010,857    - 
(Sales, maturities and paydowns)/Fundings   (32,900,000)   (27,773,798)   -    -    (60,673,798)   77,447 
Amortization of premiums/discounts   -    (32)   (10,146)   27    (10,151)   - 
Total realized gains (losses) included in earnings   -    (19)   -    -    (19)   - 
Total change in unrealized appreciation (depreciation) included in earnings   244,660    (249,913)   5,877    973    1,597    22,810 
Transfers into Level 3   23,694,918    -    -    4,808,125    28,503,043    - 
Ending Balance  $114,400,848   $107   $12,490,522   $5,007,625   $131,899,102   $(63,675)
Net change in unrealized appreciation (depreciation) for investments in Level 3 securities still held at December 31, 2020  $244,660   $(3)  $5,877   $973   $251,507   $22,810 

 

Step Coupon Bonds

 

The following table discloses additional information related to step coupon bonds held by the Fund. Certain securities are subject to multiple rate changes prior to maturity. For those securities, a range of rates and corresponding dates have been provided. Rates for all step coupon bonds held by the Fund are scheduled to increase, none are scheduled to decrease.

 

Name Coupon Rate at
Next Reset Date
Next Rate
Reset Date
Future Reset Rate(s) Future Reset Date(s)
CSMC Trust 2020-NQM1, 1.41% due 05/25/65 2.41% 09/26/24
Legacy Mortgage Asset Trust 2018-GS3, 4.00% due 06/25/58 7.00% 07/25/21 8.00% 07/26/22
Verus Securitization Trust 2020-5, 1.58% due 05/25/65 2.58% 10/26/24
Verus Securitization Trust 2019-4, 2.64% due 11/25/59 3.64% 10/26/23
Verus Securitization Trust 2020-1, 2.42% due 01/25/60 3.42% 01/26/24

 

 

 

Limited Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Repurchase Agreements

The Fund may engage in repurchase agreements. Repurchase agreements are fixed income securities in the form of agreements backed by collateral. These agreements typically involve the acquisition by the Fund of securities from the selling institution coupled with the agreement that the selling institution will repurchase the underlying securities at a specified price and at a fixed time in the future. The Fund may accept a wide variety of underlying securities as collateral for the repurchase agreements entered into by the Fund. Any such securities serving as collateral are marked-to-market daily in order to maintain full collateralization.

 

In connection with transactions in repurchase agreements, it is the Fund’s policy that its custodian take possession of the underlying collateral. The collateral is in the possession of the Fund’s custodian and is evaluated to ensure that its market value exceeds, at a minimum, 102% of the original face amount of the repurchase agreements.

 

The use of repurchase agreements involves certain risks. For example, if the selling institution defaults on its obligation to repurchase the underlying securities at a time when the value of securities has declined, the Fund may incur a loss upon disposition of them. In the event of an insolvency or bankruptcy by the selling institution, the Fund’s right to control the collateral could be affected and result in certain costs and delays. In addition, the Fund could incur a loss if the value of the underlying collateral falls below the agreed upon repurchase price.

 

At December 31, 2020, the repurchase agreements in the account were as follows:

 

Counterparty and Terms
of Agreement
  Face Value   Repurchase
Price
   Collateral  Par Value   Fair Value 
J.P. Morgan Securities LLC            U.S. Treasury Note          
0.06%            2.88%          
01/04/21  $45,000,000   $45,000,300   4/30/2025  $446,100   $497,896 
                        
             U.S. Treasury Note          
             2.13%          
             5/15/2025   41,953,600    45,402,449 
                 42,399,700    45,900,345 

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments (“GI”), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III, (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles' annual report on Form N-CSR dated September 30, 2020, is available publicly or upon request. This information is available from the EDGAR database on the SEC's website at https://www.sec.gov/Archives/edgar/data/1601445/000182126820000133/gug81042-ncsr.htm.

 

Transactions during the period ended December 31, 2020, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
09/30/20
   Additions   Reductions   Realized
Gain
(Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
   Value
12/31/20
   Shares
12/31/20
   Investment
Income
 
Mutual Funds                                
Guggenheim Strategy Fund II  $29,379,083   $174,400   $   $   $(11,767)  $29,541,716    1,183,562   $171,531 
Guggenheim Strategy Fund III   29,499,318    150,135            35,379    29,684,832    1,182,663    146,725 
Guggenheim Ultra Short Duration Fund — Institutional Class   28,983,105    85,038            89    29,068,232    2,912,649    83,500 
   $87,861,506   $409,573   $   $   $23,701   $88,294,780        $401,756 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 4.0%
Financial - 3.9%
Pershing Square Tontine Holdings, Ltd. — Class A*   6,864,930   $190,295,859 
Gores Holdings VI, Inc.*   1,497,010    15,868,306 
Aequi Acquisition Corp.*   999,157    10,091,486 
Total Financial        216,255,651 
Utilities - 0.1%          
TexGen Power LLC††   180,169    6,095,658 
Consumer, Non-cyclical - 0.0%          
ATD New Holdings, Inc.*,††   42,478    991,139 
Chef Holdings, Inc.*,†††   9,061    766,413 
Cengage Learning Holdings II, Inc.*,††   21,660    167,865 
Targus Group International Equity, Inc.*,†††,1   12,773    26,194 
Save-A-Lot*,†††   22,703     
Total Consumer, Non-cyclical        1,951,611 
Energy - 0.0%          
Maverick Natural Resources, LLC*,†††   7,168    902,260 
Summit Midstream Partners, LP*   7,062    88,204 
Permian Production Partners LLC*,†††   563,442     
Total Energy        990,464 
Technology - 0.0%          
Qlik Technologies, Inc. - Class A*,†††   177    227,120 
Qlik Technologies, Inc. - Class B*,†††   43,738     
Total Technology        227,120 
Industrial - 0.0%          
API Heat Transfer Parent LLC*,†††   1,024,936    79,544 
BP Holdco LLC*,†††,1   37,539    13,236 
Vector Phoenix Holdings, LP*,†††   37,539    3,644 
Total Industrial        96,424 
Total Common Stocks          
(Cost $172,942,840)        225,616,928 
           
PREFERRED STOCKS†† - 2.8%          
Financial - 2.6%          
Public Storage, 4.63%   966,000    26,217,240 
Wells Fargo & Co., 4.70%   982,000    25,905,160 
Bank of America Corp., 4.38%*   736,000    19,540,800 
Prudential Financial, Inc., 4.13% due 09/01/60   686,800    18,186,464 
Public Storage, 4.13%   365,600    9,918,728 
First Republic Bank, 4.13%   369,600    9,772,224 
CNO Financial Group, Inc., 5.13% due 11/25/60*   324,000    8,511,480 
American Financial Group, Inc., 4.50% due 09/15/60   300,800    8,383,296 
Assurant, Inc., 5.25% due 01/15/61*   258,000    7,058,880 
W R Berkley Corp., 4.25% due 09/30/60   249,200    6,548,976 
Selective Insurance Group, Inc., 4.60%*   246,000    6,356,640 
Total Financial        146,399,888 
Government - 0.2%          
Farmer Mac, 5.75%   378,000    10,156,860 
Industrial - 0.0%          
API Heat Transfer Intermediate*,†††   218    111,460 
Total Preferred Stocks          
(Cost $146,724,412)        156,668,208 
           
WARRANTS - 0.1%          
Pershing Square Tontine Holdings, Ltd.          
$23.00, 07/24/25*   762,770    7,322,592 
Total Warrants          
(Cost $4,331,771)        7,322,592 
           
EXCHANGE-TRADED FUNDS - 0.6%          
iShares iBoxx $ Investment Grade Corporate Bond ETF   251,415    34,727,954 
Total Exchange-Traded Funds          
(Cost $34,529,756)        34,727,954 
           
MUTUAL FUNDS - 0.8%          
Guggenheim Alpha Opportunity Fund — Institutional Class1   1,003,137    25,429,535 
Guggenheim Risk Managed Real Estate Fund — Institutional Class1   615,156    18,934,487 
Total Mutual Funds          
(Cost $45,910,793)        44,364,022 
           
CLOSED-END FUNDS - 1.5%          
BlackRock Corporate High Yield Fund, Inc.   2,543,550    29,072,777 
BlackRock Credit Allocation Income Trust   845,406    12,435,922 
Blackstone Strategic Credit Fund   912,346    11,386,078 
Guggenheim Strategic Opportunities Fund1   527,233    10,228,320 
Eaton Vance Limited Duration Income Fund   687,996    8,620,590 
Ares Dynamic Credit Allocation Fund, Inc.   457,045    6,531,173 
BlackRock Debt Strategies Fund, Inc.   393,714    4,114,311 
Western Asset High Income Opportunity Fund, Inc.   351,176    1,738,321 
Total Closed-End Funds          
(Cost $63,488,757)        84,127,492 
           
MONEY MARKET FUNDS - 2.6%          
Federated Hermes U.S. Treasury Cash Reserves Fund — Institutional Shares, 0.01%3   144,720,879    144,720,879 
Western Asset Institutional U.S. Treasury Reserves Institutional Shares, 0.01%3   1,063,470    1,063,470 
Total Money Market Funds          
(Cost $145,784,349)        145,784,349 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 40.0%
Financial - 10.0%        
NFP Corp.        
7.00% due 05/15/254   21,300,000   $22,897,500 
6.88% due 08/15/284   17,500,000    18,684,400 
Markel Corp.          
6.00%2,5   32,370,000    35,809,312 
GLP Capital Limited Partnership / GLP Financing II, Inc.          
4.00% due 01/15/31   22,640,000    24,705,221 
5.30% due 01/15/29   6,950,000    8,040,802 
Wilton RE Ltd.          
6.00%†††,2,4,5   31,350,000    32,479,540 
Charles Schwab Corp.          
4.00%2,5   16,400,000    17,261,000 
5.38%2,5   12,950,000    14,423,062 
Iron Mountain, Inc.          
5.63% due 07/15/324   25,025,000    27,590,062 
4.50% due 02/15/314   2,025,000    2,121,188 
Equitable Holdings, Inc.          
4.95%2,5   24,550,000    26,115,062 
Host Hotels & Resorts, LP          
3.50% due 09/15/306   24,000,000    25,285,036 
Nationwide Mutual Insurance Co.          
4.35% due 04/30/504,6   21,150,000    24,845,373 
American International Group, Inc.          
4.38% due 06/30/506   18,150,000    23,765,032 
Cushman & Wakefield US Borrower LLC          
6.75% due 05/15/287   21,450,000    23,648,625 
Quicken Loans LLC / Quicken Loans Company-Issuer, Inc.          
3.88% due 03/01/314   21,650,000    22,461,875 
Hampton Roads PPV LLC          
6.62% due 06/15/534   16,900,000    19,779,817 
Pershing Square Holdings Ltd.          
3.25% due 11/15/304   15,100,000    15,259,758 
First American Financial Corp.          
4.00% due 05/15/306   11,760,000    13,480,148 
United Shore Financial Services LLC          
5.50% due 11/15/254   12,600,000    13,293,000 
MetLife, Inc.          
3.85%2,5   12,200,000    12,871,000 
Fidelity National Financial, Inc.          
3.40% due 06/15/306   11,450,000    12,574,071 
OneAmerica Financial Partners, Inc.          
4.25% due 10/15/504   11,550,000    12,466,465 
Citigroup, Inc.          
4.00%2,5   12,000,000    12,315,000 
OneMain Finance Corp.          
4.00% due 09/15/30   11,650,000    12,088,157 
Ares Finance Company II LLC          
3.25% due 06/15/304,6   11,000,000    11,644,850 
Allianz SE          
3.50%2,4,5   9,500,000    9,678,125 
QBE Insurance Group Ltd.          
5.88%2,4,5   7,550,000    8,248,375 
Atlas Mara Ltd.          
8.00% due 01/04/21†††   14,400,000    8,121,600 
CIT Group, Inc.          
3.93% due 06/19/245   7,150,000    7,561,125 
PartnerRe Finance B LLC          
4.50% due 10/01/505   6,460,000    6,767,836 
Lincoln National Corp.          
4.38% due 06/15/50   5,080,000    6,547,058 
American Equity Investment Life Holding Co.          
5.00% due 06/15/27   4,813,000    5,436,095 
Bank of New York Mellon Corp.          
4.70%2,5   4,500,000    4,962,600 
Macquarie Bank Ltd.          
3.62% due 06/03/304   4,350,000    4,762,225 
Alliant Holdings Intermediate LLC / Alliant Holdings Company-Issuer          
4.25% due 10/15/274   3,850,000    3,936,625 
SBA Communications Corp.          
3.88% due 02/15/274   3,650,000    3,833,595 
AmWINS Group, Inc.          
7.75% due 07/01/264   3,400,000    3,651,260 
Univest Financial Corp.          
3.76% (3 Month USD LIBOR + 3.54%) due 03/30/258   2,500,000    2,489,697 
HUB International Ltd.          
7.00% due 05/01/264   500,000    522,895 
Total Financial        562,424,467 
Consumer, Cyclical - 8.1%          
Delta Air Lines, Inc.          
7.00% due 05/01/254   41,320,000    47,706,103 
Marriott International, Inc.          
4.63% due 06/15/30   10,900,000    12,790,923 
5.75% due 05/01/25   8,440,000    9,872,279 
3.50% due 10/15/32   8,150,000    8,912,711 
Live Nation Entertainment, Inc.          
6.50% due 05/15/274   17,785,000    19,892,878 
3.75% due 01/15/284   7,500,000    7,578,000 
Delta Air Lines Inc. / SkyMiles IP Ltd.          
4.75% due 10/20/284   24,150,000    26,360,023 
Hilton Domestic Operating Company, Inc.          
4.00% due 05/01/314   23,200,000    24,478,552 
5.75% due 05/01/284   400,000    435,000 
Walgreens Boots Alliance, Inc.          
3.20% due 04/15/306   12,750,000    13,850,400 
4.10% due 04/15/50   9,957,000    10,539,298 
1011778 BC ULC / New Red Finance, Inc.          
4.00% due 10/15/304   22,200,000    22,498,146 
Mileage Plus Holdings LLC / Mileage Plus Intellectual Property Assets Ltd.          
6.50% due 06/20/274,6   19,700,000    21,177,500 
Hyatt Hotels Corp.          
5.38% due 04/23/25   7,350,000    8,306,360 
5.75% due 04/23/306   6,530,000    8,027,257 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 40.0% (continued)
Consumer, Cyclical - 8.1% (continued)        
Picasso Finance Sub, Inc.        
6.13% due 06/15/254   14,974,000   $16,022,180 
Wolverine World Wide, Inc.          
6.38% due 05/15/254   13,975,000    14,883,375 
VF Corp.          
2.95% due 04/23/30   13,230,000    14,638,376 
Aramark Services, Inc.          
6.38% due 05/01/254   11,950,000    12,771,563 
5.00% due 02/01/284   795,000    837,731 
JB Poindexter & Company, Inc.          
7.13% due 04/15/264   11,725,000    12,399,187 
JetBlue Class A Pass Through Trust          
4.00% due 11/15/326   11,320,000    12,218,272 
Choice Hotels International, Inc.          
3.70% due 01/15/31   10,540,000    11,673,261 
Six Flags Theme Parks, Inc.          
7.00% due 07/01/254   10,475,000    11,313,000 
Wyndham Hotels & Resorts, Inc.          
4.38% due 08/15/284   10,700,000    11,117,835 
Cedar Fair, LP / Canada's Wonderland Co. / Magnum Management Corp. / Millennium Operations LLC          
5.50% due 05/01/254   10,213,000    10,647,052 
Boyne USA, Inc.          
7.25% due 05/01/254   8,690,000    9,113,638 
British Airways Class A Pass Through Trust          
4.25% due 11/15/324   7,880,000    8,421,750 
Clarios Global, LP          
6.75% due 05/15/254   7,150,000    7,704,125 
Williams Scotsman International, Inc.          
4.63% due 08/15/284   7,376,000    7,634,160 
Whirlpool Corp.          
4.60% due 05/15/50   5,440,000    7,039,006 
WMG Acquisition Corp.          
3.88% due 07/15/304   3,900,000    4,144,803 
3.00% due 02/15/314   1,875,000    1,837,500 
Suburban Propane Partners Limited Partnership/Suburban Energy Finance Corp.          
5.50% due 06/01/24   5,010,000    5,116,463 
Powdr Corp.          
6.00% due 08/01/254   4,300,000    4,525,750 
Hanesbrands, Inc.          
5.38% due 05/15/254   3,810,000    4,031,056 
Air Canada 2020-2 Class A Pass Through Trust          
5.25% due 04/01/294   3,735,000    3,990,846 
CD&R Smokey Buyer, Inc.          
6.75% due 07/15/254   3,725,000    3,981,094 
Lithia Motors, Inc.          
4.38% due 01/15/314   3,175,000    3,405,187 
Performance Food Group, Inc.          
6.88% due 05/01/254   2,900,000    3,103,000 
Allison Transmission, Inc.          
3.75% due 01/30/314   2,800,000    2,864,750 
Boyd Gaming Corp.          
8.63% due 06/01/254   1,700,000    1,890,723 
Clarios Global Limited Partnership / Clarios US Finance Co.          
8.50% due 05/15/274   1,730,000    1,879,488 
Vail Resorts, Inc.          
6.25% due 05/15/254   1,075,000    1,147,563 
Total Consumer, Cyclical        452,778,164 
Consumer, Non-cyclical - 5.3%          
Kraft Heinz Foods Co.          
4.38% due 06/01/46   6,320,000    6,837,892 
5.20% due 07/15/45   5,725,000    6,807,337 
4.25% due 03/01/314   5,850,000    6,523,087 
5.50% due 06/01/504   4,825,000    6,078,306 
5.00% due 06/04/42   2,490,000    2,921,451 
DaVita, Inc.          
4.63% due 06/01/304   24,560,000    26,064,300 
Nielsen Finance LLC / Nielsen Finance Co.          
5.63% due 10/01/284   20,700,000    22,491,585 
5.00% due 04/15/224   959,000    961,522 
Kronos Acquisition Holdings Incorporated / KIK Custom Products Inc          
7.00% due 12/31/274   10,350,000    10,836,657 
5.00% due 12/31/264   5,500,000    5,737,655 
Gartner, Inc.          
4.50% due 07/01/284   11,625,000    12,264,375 
3.75% due 10/01/304   2,400,000    2,529,024 
US Foods, Inc.          
6.25% due 04/15/254   13,300,000    14,214,375 
Molina Healthcare, Inc.          
3.88% due 11/15/304   12,250,000    13,138,125 
Sotheby's          
7.38% due 10/15/274   11,780,000    12,619,325 
Acadia Healthcare Company, Inc.          
5.50% due 07/01/284   5,850,000    6,283,192 
5.00% due 04/15/294   4,190,000    4,472,825 
5.63% due 02/15/23   1,840,000    1,844,600 
Sabre GLBL, Inc.          
7.38% due 09/01/254   7,300,000    7,920,500 
5.25% due 11/15/234   2,500,000    2,531,250 
9.25% due 04/15/254   1,680,000    1,999,200 
AMN Healthcare, Inc.          
4.63% due 10/01/274   7,925,000    8,301,992 
4.00% due 04/15/294   4,050,000    4,141,125 
Post Holdings, Inc.          
4.63% due 04/15/304   11,525,000    12,123,839 
Avantor Funding, Inc.          
4.63% due 07/15/284   11,275,000    11,923,313 
Jaguar Holding Company II / PPD Development, LP          
4.63% due 06/15/254   8,645,000    9,117,103 
5.00% due 06/15/284   2,460,000    2,626,050 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 40.0% (continued)
Consumer, Non-cyclical - 5.3% (continued)        
Tenet Healthcare Corp.        
4.63% due 06/15/284   8,375,000   $8,772,813 
Cheplapharm Arzneimittel GmbH          
5.50% due 01/15/284   7,710,000    8,056,950 
TreeHouse Foods, Inc.          
4.00% due 09/01/28   7,575,000    7,835,391 
Smithfield Foods, Inc.          
3.00% due 10/15/304   7,000,000    7,406,537 
Spectrum Brands, Inc.          
5.50% due 07/15/304   5,600,000    6,034,000 
Service Corporation International          
3.38% due 08/15/30   5,275,000    5,487,108 
Vector Group Ltd.          
6.13% due 02/01/254   4,715,000    4,794,070 
Prime Security Services Borrower LLC / Prime Finance, Inc.          
3.38% due 08/31/274   2,650,000    2,630,125 
5.25% due 04/15/244   1,900,000    2,028,250 
Hologic, Inc.          
3.25% due 02/15/294   4,350,000    4,426,125 
Carriage Services, Inc.          
6.63% due 06/01/264   4,011,000    4,286,756 
Central Garden & Pet Co.          
4.13% due 10/15/30   4,000,000    4,170,000 
Altria Group, Inc.          
4.45% due 05/06/50   1,670,000    1,974,323 
KeHE Distributors LLC / KeHE Finance Corp.          
8.63% due 10/15/264   1,580,000    1,773,550 
Syneos Health, Inc.          
3.63% due 01/15/294   1,600,000    1,604,424 
WEX, Inc.          
4.75% due 02/01/234   1,110,000    1,111,388 
Par Pharmaceutical, Inc.          
7.50% due 04/01/274   1,000,000    1,085,000 
FAGE International S.A. / FAGE USA Dairy Industry, Inc.          
5.63% due 08/15/264   300,000    307,500 
Total Consumer, Non-cyclical        297,094,315 
Industrial - 4.7%          
Boeing Co.          
5.15% due 05/01/306   32,030,000    38,764,355 
5.81% due 05/01/506   16,010,000    22,064,102 
5.71% due 05/01/406   16,010,000    20,776,508 
Standard Industries, Inc.          
4.38% due 07/15/304   7,125,000    7,621,826 
3.38% due 01/15/314   6,400,000    6,432,000 
5.00% due 02/15/274   3,525,000    3,683,625 
Ardagh Packaging Finance plc / Ardagh Holdings USA, Inc.          
4.13% due 08/15/264   16,680,000    17,430,600 
BWX Technologies, Inc.          
4.13% due 06/30/284   14,400,000    14,994,000 
PowerTeam Services LLC          
9.03% due 12/04/254   12,060,000    13,418,077 
Adevinta ASA          
3.00% due 11/15/27   EUR 10,550,000    13,317,313 
New Enterprise Stone & Lime Company, Inc.          
9.75% due 07/15/284   10,175,000    11,141,625 
6.25% due 03/15/264   700,000    717,500 
Boxer Parent Co., Inc.          
6.50% due 10/02/25   EUR 8,500,000    10,965,249 
Flowserve Corp.          
3.50% due 10/01/306   10,270,000    10,962,594 
Howmet Aerospace, Inc.          
5.95% due 02/01/37   2,925,000    3,524,625 
6.88% due 05/01/25   2,875,000    3,363,750 
5.90% due 02/01/27   2,100,000    2,479,323 
6.75% due 01/15/28   900,000    1,100,556 
GrafTech Finance, Inc.          
4.63% due 12/15/284   9,875,000    9,986,094 
Reynolds Group Issuer Incorporated / Reynolds Group Issuer LLC / Reynolds Group Issuer Lu          
4.00% due 10/15/274   9,650,000    9,891,250 
Vertical US Newco, Inc.          
5.25% due 07/15/274   6,850,000    7,261,000 
Mauser Packaging Solutions Holding Co.          
8.50% due 04/15/244   6,550,000    6,779,250 
Summit Materials LLC / Summit Materials Finance Corp.          
5.25% due 01/15/294   4,825,000    5,066,250 
Harsco Corp.          
5.75% due 07/31/274   3,850,000    4,071,375 
Graphic Packaging International LLC          
3.50% due 03/01/294   3,950,000    4,038,875 
Grinding Media Inc. / MC Grinding Media Canada Inc.          
7.38% due 12/15/234   3,050,000    3,095,750 
Hillenbrand, Inc.          
5.75% due 06/15/25   2,525,000    2,727,000 
Crown Americas LLC / Crown Americas Capital Corporation VI          
4.75% due 02/01/26   1,923,000    1,995,112 
EnerSys          
5.00% due 04/30/234   1,325,000    1,386,281 
Princess Juliana International Airport Operating Company N.V.          
5.50% due 12/20/277   1,221,518    1,104,203 
EnPro Industries, Inc.          
5.75% due 10/15/26   790,000    839,375 
Waste Pro USA, Inc.          
5.50% due 02/15/264   400,000    409,000 
Hillman Group, Inc.          
6.38% due 07/15/224   340,000    337,450 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 40.0% (continued)
Industrial - 4.7% (continued)        
JELD-WEN, Inc.        
6.25% due 05/15/254   100,000   $108,000 
Yamana Gold, Inc.          
4.78% due 06/10/23†††   99,699    106,647 
Total Industrial        261,960,540 
Communications - 4.7%          
CSC Holdings LLC          
4.13% due 12/01/304   21,250,000    22,219,000 
4.63% due 12/01/304   8,270,000    8,631,813 
3.38% due 02/15/314   2,975,000    2,919,219 
Level 3 Financing, Inc.          
4.25% due 07/01/284   29,350,000    30,157,125 
3.88% due 11/15/294   2,600,000    2,887,352 
Virgin Media Finance plc          
5.00% due 07/15/304   21,150,000    21,943,125 
CCO Holdings LLC / CCO Holdings Capital Corp.          
4.25% due 02/01/314   20,000,000    21,077,200 
Altice France S.A.          
7.38% due 05/01/264   11,076,000    11,657,490 
5.13% due 01/15/294   6,250,000    6,468,750 
Booking Holdings, Inc.          
3.55% due 03/15/28   10,000,000    11,517,835 
4.63% due 04/13/30   3,500,000    4,349,027 
ViacomCBS, Inc.          
4.95% due 05/19/506   10,340,000    13,393,613 
Cable One, Inc.          
4.00% due 11/15/304   12,575,000    13,062,281 
Radiate Holdco LLC / Radiate Finance, Inc.          
4.50% due 09/15/264   12,100,000    12,478,125 
Switch Ltd.          
3.75% due 09/15/284   12,100,000    12,281,500 
Sirius XM Radio, Inc.          
4.13% due 07/01/304   11,500,000    12,240,313 
Lamar Media Corp.          
4.00% due 02/15/30   8,600,000    8,922,500 
4.88% due 01/15/29   3,070,000    3,261,875 
Virgin Media Secured Finance plc          
4.50% due 08/15/304   10,150,000    10,606,750 
Match Group Holdings II LLC          
4.63% due 06/01/284   7,700,000    8,070,562 
QualityTech Limited Partnership / QTS Finance Corp.          
3.88% due 10/01/284   7,750,000    7,905,000 
Virgin Media Vendor Financing Notes IV DAC          
5.00% due 07/15/284   5,650,000    5,876,000 
Cengage Learning, Inc.          
9.50% due 06/15/244   5,039,000    4,711,465 
McGraw-Hill Global Education Holdings LLC / McGraw-Hill Global Education Finance          
7.88% due 05/15/244    2,288,000    2,082,080 
TripAdvisor, Inc.          
7.00% due 07/15/254   1,800,000    1,944,000 
Telenet Finance Lux Note          
5.50% due 03/01/28   1,000,000    1,066,500 
Total Communications        261,730,500 
Basic Materials - 2.4%          
United States Steel Corp.          
12.00% due 06/01/254   21,540,000    24,878,700 
Alcoa Nederland Holding BV          
5.50% due 12/15/274   15,125,000    16,550,834 
6.13% due 05/15/284   7,450,000    8,139,125 
WR Grace & Company-Conn          
4.88% due 06/15/274   13,225,000    14,025,377 
Carpenter Technology Corp.          
6.38% due 07/15/28   12,005,000    13,248,044 
Minerals Technologies, Inc.          
5.00% due 07/01/284   11,575,000    12,112,080 
Ingevity Corp.          
3.88% due 11/01/284   9,625,000    9,697,187 
Newcrest Finance Pty Ltd.          
4.20% due 05/13/504   7,210,000    8,813,027 
HB Fuller Co.          
4.25% due 10/15/28   7,750,000    7,943,750 
Kaiser Aluminum Corp.          
6.50% due 05/01/254   6,050,000    6,473,500 
4.63% due 03/01/284   375,000    389,063 
Clearwater Paper Corp.          
4.75% due 08/15/284   6,575,000    6,805,125 
Illuminate Buyer LLC / Illuminate Holdings IV, Inc.          
9.00% due 07/01/284   2,925,000    3,217,500 
ArcelorMittal S.A.          
4.55% due 03/11/26   2,450,000    2,752,687 
Arconic Corp.          
6.00% due 05/15/254   2,225,000    2,375,187 
Mirabela Nickel Ltd.          
 due 06/24/197,9   1,885,418    94,271 
Total Basic Materials        137,515,457 
Energy - 1.8%          
BP Capital Markets plc          
4.88%2,5   39,360,000    43,913,952 
Sabine Pass Liquefaction LLC          
4.50% due 05/15/304,6   16,150,000    19,142,232 
NuStar Logistics, LP          
6.38% due 10/01/30   12,350,000    13,990,080 
Midwest Connector Capital Company LLC          
4.63% due 04/01/294   11,943,000    12,519,315 
Rattler Midstream, LP          
5.63% due 07/15/254   4,125,000    4,357,031 
Global Partners Limited Partnership / GLP Finance Corp.          
6.88% due 01/15/294   3,900,000    4,221,750 
Baker Hughes a GE Company LLC / Baker Hughes Co-Obligor, Inc.          
4.49% due 05/01/30   1,730,000    2,078,872 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 40.0% (continued)
Energy - 1.8% (continued)        
Basic Energy Services, Inc.        
10.75% due 10/15/237   1,500,000   $270,000 
Total Energy        100,493,232 
Technology - 1.6%          
NCR Corp.          
5.25% due 10/01/304   11,425,000    12,253,313 
8.13% due 04/15/254   6,189,000    6,892,318 
MSCI, Inc.          
3.88% due 02/15/314   15,900,000    16,814,250 
Qorvo, Inc.          
4.38% due 10/15/29   11,220,000    12,344,468 
3.38% due 04/01/314   1,900,000    1,961,750 
Black Knight InfoServ LLC          
3.63% due 09/01/284   12,000,000    12,285,000 
Booz Allen Hamilton, Inc.          
3.88% due 09/01/284   11,800,000    12,154,000 
BY Crown Parent LLC / BY Bond Finance, Inc.          
4.25% due 01/31/264   7,775,000    7,969,375 
CDW LLC / CDW Finance Corp.          
3.25% due 02/15/29   5,640,000    5,751,108 
Change Healthcare Holdings LLC / Change Healthcare Finance, Inc.          
5.75% due 03/01/254   2,750,000    2,805,000 
Total Technology        91,230,582 
Utilities - 1.4%          
Midcap Funding XLVI Trust          
5.65% due 10/29/24†††   32,750,000    32,754,566 
Cheniere Corpus Christi Holdings LLC          
3.52% due 12/31/39†††   21,800,000    21,611,975 
AES Corp.          
3.95% due 07/15/304   9,760,000    11,032,802 
Pattern Energy Operations Limited Partnership / Pattern Energy Operations, Inc.          
4.50% due 08/15/284   5,500,000    5,802,500 
Terraform Global Operating LLC          
6.13% due 03/01/264   5,385,000    5,506,162 
Clearway Energy Operating LLC          
4.75% due 03/15/284   2,250,000    2,413,125 
Total Utilities        79,121,130 
Total Corporate Bonds          
(Cost $2,089,845,601)        2,244,348,387 
           
SENIOR FLOATING RATE INTERESTS††,8 - 21.6%          
Industrial - 4.9%          
CapStone Acquisition Holdings, Inc.          
5.75% (3 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 11/12/27   21,242,400    21,384,087 
Mileage Plus Holdings LLC          
6.25% (3 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 06/21/27   15,250,000    15,850,545 
American Bath Group LLC          
5.25% (3 Month USD LIBOR + 4.50%, Rate Floor: 5.25%) due 11/23/27   15,400,000    15,419,251 
Vertical (TK Elevator)          
4.25% (3 Month EURIBOR + 4.25%, Rate Floor: 4.25%) due 07/30/27   EUR 7,000,000    8,598,179 
4.57% (3 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 07/30/27   6,533,625    6,555,774 
Fugue Finance BV          
3.25% (3 Month EURIBOR + 3.25%, Rate Floor: 3.25%) due 08/30/24   EUR 12,545,690    15,105,415 
TransDigm, Inc.          
2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 05/30/25   14,259,187    13,956,179 
AI Convoy Luxembourg SARL          
3.75% (3 Month EURIBOR + 3.75%, Rate Floor: 3.75%) due 01/18/27   EUR 11,402,143    13,896,013 
Charter Nex US Holdings, Inc.          
5.00% (1 Month USD LIBOR + 4.25%, Rate Floor: 5.00%) due 12/01/27   13,150,000    13,202,600 
DXP Enterprises, Inc.          
5.75% (1 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 12/16/27   13,250,000    13,150,625 
Galileo Global Education Finance SARL          
3.25% (3 Month EURIBOR + 3.25%, Rate Floor: 3.25%) due 11/06/26   EUR 10,800,000    13,104,897 
NA Rail Hold Co LLC (Patriot)          
5.50% (3 Month USD LIBOR + 5.25%, Rate Floor: 5.25%) due 10/19/26   12,935,014    12,951,183 
Pelican Products, Inc.          
4.50% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 05/01/25   12,691,054    12,416,038 
Gardner Denver, Inc.          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 03/01/27   10,795,750    10,784,954 
Filtration Group Corp.          
4.50% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.50%) due 03/31/25   5,667,771    5,667,771 
due 03/31/25   EUR 3,600,000    4,372,698 
Service Logic Acquisition, Inc.          
4.75% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.75%) due 10/29/27   9,771,940    9,759,725 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,8 - 21.6% (continued)
Industrial - 4.9% (continued)        
YAK MAT (YAK ACCESS LLC)        
10.24% (3 Month USD LIBOR + 10.00%, Rate Floor: 10.00%) due 07/10/26   10,290,199   $7,203,139 
Berlin Packaging LLC          
3.26% (3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 11/07/25   4,497,578    4,418,331 
3.16% (1 Month USD LIBOR + 3.00% and 3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 11/07/25   1,634,759    1,605,954 
Diversitech Holdings, Inc.          
4.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 06/03/24   4,149,450    4,104,511 
8.50% (3 Month USD LIBOR + 7.50%, Rate Floor: 8.50%) due 06/02/25†††   1,000,000    987,500 
BWAY Holding Co.          
3.48% (3 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 04/03/24   4,862,722    4,686,449 
JetBlue Airways Corp.          
6.25% (3 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 06/17/24   4,553,250    4,673,501 
MI Windows And Doors LLC          
4.50% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.50%) due 12/18/27   4,000,000    4,005,000 
STS Operating, Inc. (SunSource)          
5.25% (1 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 12/11/24   3,857,527    3,675,915 
Pro Mach Group, Inc.          
4.50% (1 Month USD LIBOR + 3.50% and 3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 03/07/25   3,521,077    3,468,261 
Delta Air Lines, Inc.          
5.75% (3 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 05/01/23   2,985,000    3,027,118 
Alliance Laundry Systems LLC          
4.25% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.25%) due 10/08/27   3,000,000    2,996,250 
Titan Acquisition Ltd. (Husky)          
3.27% (3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/28/25   2,995,738    2,915,063 
DG Investment Intermediate Holdings 2, Inc.          
3.75% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.75%) due 02/03/25   2,740,759    2,706,500 
Fortis Solutions Group LLC          
6.00% (1 Month USD LIBOR + 5.00%, Rate Floor: 6.00%) due 12/15/23†††   2,361,526    2,359,164 
Douglas Dynamics LLC          
4.75% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 06/08/26   1,599,136    1,607,132 
Tosca Services LLC          
5.25% (1 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 08/18/27   1,600,000    1,604,672 
Bhi Investments LLC          
5.50% (3 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 08/28/24   1,604,191    1,586,144 
SLR Consulting Ltd.          
4.27% (6 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 06/23/25†††   1,190,970    1,161,534 
6.48% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 06/23/25†††   311,616    303,914 
4.24% (6 Month USD LIBOR + 4.00% and 6 Month GBP LIBOR + 4.00%, Rate Floor: 4.00%) due 06/23/25†††   GBP 58,680    78,265 
LTI Holdings, Inc.          
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 09/06/25   1,466,250    1,421,222 
Klockner Pentaplast of America, Inc.          
4.75% (3 Month EURIBOR + 4.75%, Rate Floor: 4.75%) due 06/30/22   EUR 1,100,000    1,330,000 
API Heat Transfer          
12.00% (3 Month USD LIBOR, Rate Floor: 1.00%) (in-kind rate was 11.00%) due 01/01/24†††,10   1,076,191    960,501 
12.00% (3 Month USD LIBOR, Rate Floor: 1.00%) (in-kind rate was 11.00%) due 10/02/23†††,10   192,004    174,724 
Safety Bidco Ltd.          
4.65% (1 Month GBP LIBOR + 4.50%, Rate Floor: 4.50%) due 10/25/24†††   GBP 850,000    1,132,804 
ILPEA Parent, Inc.          
5.75% (1 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 03/02/23†††   955,062    939,542 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,8 - 21.6% (continued)
Industrial - 4.9% (continued)        
Duran Group Holding GMBH        
4.25% (6 Month EURIBOR + 4.25%, Rate Floor: 4.25%) due 03/29/24†††   EUR 431,184   $508,111 
4.25% (6 Month EURIBOR + 4.25%, Rate Floor: 4.25%) due 12/20/24†††   EUR 141,858    167,167 
Reynolds Group Holdings, Inc.          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 02/06/23   660,894    657,589 
Hillman Group, Inc.          
4.15% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 05/30/25   599,244    595,967 
Transcendia Holdings, Inc.          
4.50% (1 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 05/30/24   570,122    465,602 
Gates Global LLC          
3.75% (1 Month USD LIBOR + 2.75%, Rate Floor: 3.75%) due 04/01/24   122,225    121,784 
Total Industrial        273,825,264 
Consumer, Non-cyclical - 4.4%          
US Foods, Inc.          
4.25% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.25%) due 04/24/25†††   29,192,188    28,608,344 
WellSky Corp.          
due 02/09/24†††   12,500,000    12,468,750 
due 02/09/25†††   12,450,000    12,201,000 
Bombardier Recreational Products, Inc.          
6.00% (3 Month USD LIBOR + 5.00%, Rate Floor: 6.00%) due 05/24/27   20,997,375    21,375,328 
Diamond (BC) BV          
6.00% (3 Month USD LIBOR + 5.00%, Rate Floor: 6.00%) due 09/06/24†††   10,014,900    9,989,863 
3.21% (3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 09/06/24   6,698,063    6,592,032 
3.25% (3 Month EURIBOR + 3.25%, Rate Floor: 3.25%) due 09/06/24   EUR 397,949    479,566 
Packaging Coordinators Midco, Inc.          
4.50% (6 Month USD LIBOR + 3.75%, Rate Floor: 4.50%) due 11/30/27   17,050,000    17,050,000 
Nidda Healthcare Holding GmbH          
3.50% (3 Month EURIBOR + 3.50%, Rate Floor: 3.50%) due 08/21/26   EUR 11,387,239    13,771,964 
Sigma Holding BV (Flora Food)          
3.50% (1 Month EURIBOR + 3.50% and 6 Month EURIBOR + 3.50%, Rate Floor: 3.50%) due 07/02/25   EUR 11,219,549    13,458,661 
Quirch Foods Holdings LLC          
6.25% (3 Month USD LIBOR + 5.25% and 6 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 10/27/27   12,250,000    12,158,125 
Sunshine Investments BV          
3.25% (3 Month EURIBOR + 3.25%, Rate Floor: 3.25%) due 03/28/25   EUR 9,450,000    11,447,040 
Kronos Acquisition Holdings, Inc.          
5.25% (3 Month USD LIBOR + 4.50%, Rate Floor: 5.25%) due 12/22/26   11,100,000    11,086,125 
HAH Group Holding Co LLC          
6.00% (3 Month USD LIBOR + 5.00%, Rate Floor: 6.00%) due 10/29/27   10,970,000    10,874,013 
Southern Veterinary Partners LLC          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 10/05/27†††   10,721,212    10,667,606 
Cambrex Corp.          
5.50% (1 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 12/04/26   10,479,312    10,557,907 
Springs Window Fashions          
8.65% (1 Month USD LIBOR + 8.50%, Rate Floor: 8.50%) due 06/15/26   5,500,000    5,235,340 
4.40% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 06/16/25   3,146,005    3,115,867 
Zep, Inc.          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 08/12/24   7,420,762    7,220,401 
AI Aqua Zip Bidco Pty Ltd.          
4.25% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.25%) due 12/13/23   6,154,117    6,105,541 
6.25% (1 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 12/13/23†††   350,031    350,031 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,8 - 21.6% (continued)
Consumer, Non-cyclical - 4.4% (continued)        
Hearthside Group Holdings LLC        
3.83% (1 Month USD LIBOR + 3.69%, Rate Floor: 3.69%) due 05/23/25   5,414,181   $5,312,665 
4.15% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 05/23/25   1,116,456    1,098,659 
Civitas Solutions, Inc.          
4.43% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 03/09/26   3,111,520    3,104,395 
4.51% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 03/09/26   141,702    141,378 
BCPE Eagle Buyer LLC          
5.25% (1 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 03/18/24   2,797,054    2,718,960 
National Mentor Holdings, Inc.          
due 03/09/26   2,316,100    2,310,796 
Certara, Inc.          
3.75% (3 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 08/15/24†††   1,632,713    1,628,631 
CTI Foods Holding Co. LLC          
8.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) (in-kind rate was 3.00%) due 05/03/24†††,10   765,447    719,520 
10.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) (in-kind rate was 6.00%) due 05/03/24†††,10   384,905    350,264 
EyeCare Partners LLC          
3.90% (1 Month USD LIBOR + 3.75%, Rate Floor: 3.75%) due 02/18/27   1,093,311    1,062,840 
Recess Holdings, Inc.          
4.75% (3 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 09/30/24   1,073,995    1,014,925 
Moran Foods LLC          
11.75% (3 Month USD LIBOR, Rate Floor: 1.00%) (in-kind rate was 10.75%) due 10/01/24†††,10   471,048    409,812 
8.00% (3 Month USD LIBOR, Rate Floor: 1.00%) (in-kind rate was 7.00%) due 04/01/2410   387,702    386,248 
Blue Ribbon LLC          
5.00% (1 Month USD LIBOR + 4.00% and 3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 11/15/21   550,000    517,000 
Total Consumer, Non-cyclical        245,589,597 
Consumer, Cyclical - 3.7%          
Mavis Tire Express Services Corp.          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 03/20/25   15,798,000    15,837,495 
3.50% (3 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 03/20/25   7,484,803    7,338,850 
Samsonite IP Holdings SARL          
5.50% (1 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 04/25/25   20,845,250    20,702,043 
BGIS (BIFM CA Buyer, Inc.)          
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 06/01/26   18,177,264    18,109,099 
Alterra Mountain Co.          
5.50% (1 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 07/31/26   17,527,769    17,593,498 
CHG Healthcare Services, Inc.          
4.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 06/07/23   15,556,106    15,441,924 
BCPE Empire Holdings, Inc.          
5.00% (1 Month USD LIBOR + 4.25%, Rate Floor: 5.00%) due 06/11/26   13,450,000    13,374,411 
Packers Sanitation Services, Inc.          
4.75% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.75%) due 12/04/24   8,100,000    8,094,978 
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 12/04/24   5,300,136    5,273,636 
CNT Holdings I Corp.          
4.50% (6 Month USD LIBOR + 3.75%, Rate Floor: 4.50%) due 11/08/27   12,200,000    12,179,016 
Cast & Crew Payroll LLC          
3.90% (1 Month USD LIBOR + 3.75%, Rate Floor: 3.75%) due 02/09/26   10,963,208    10,665,118 
Verisure Holding AB          
4.00% (6 Month EURIBOR + 4.00%, Rate Floor: 4.00%) due 07/20/26   EUR 7,421,053    9,088,976 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,8 – 21.6% (continued)
Consumer, Cyclical - 3.7% (continued)        
Accuride Corp.        
6.25% (3 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 11/17/23   7,750,888   $6,956,422 
CPI Acquisition, Inc.          
5.50% (3 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 08/17/22   5,602,372    5,109,812 
ScribeAmerica Intermediate Holdco LLC (Healthchannels)          
4.65% (1 Month USD LIBOR + 4.50%, Rate Floor: 4.50%) due 04/03/25   4,933,224    4,698,896 
Galls LLC          
7.75% (3 Month USD LIBOR + 6.25%, Rate Floor: 7.25%) due 01/31/25†††   3,680,527    3,642,944 
7.69% (3 Month USD LIBOR + 6.25%, Rate Floor: 7.25%) due 01/31/24†††   323,760    302,100 
Alexander Mann          
5.34% (6 Month GBP LIBOR + 5.25%, Rate Floor: 5.25%) due 06/16/25   GBP 3,000,000    3,725,763 
EnTrans International, LLC          
6.15% (1 Month USD LIBOR + 6.00%, Rate Floor: 6.00%) due 11/01/24   3,884,332    3,709,537 
Intrawest Resorts Holdings, Inc.          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 07/31/24   3,758,099    3,700,149 
SHO Holding I Corp.          
6.25% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) (in-kind rate was 2.25%) due 04/29/24†††,10   3,661,946    3,149,274 
6.23% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) (in-kind rate was 2.23%) due 04/29/24†††,10   39,784    34,214 
Adevinta ASA          
due 10/22/27   EUR 2,600,000    3,179,123 
Checkers Drive-In Restaurants, Inc.          
5.25% (3 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 04/25/24   3,330,701    2,704,130 
WESCO          
5.25% (3 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 06/14/24†††   2,340,000    2,333,309 
Eyemart Express          
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 08/05/24   2,299,562    2,282,315 
Blue Nile, Inc.          
7.50% (3 Month USD LIBOR + 6.50%, Rate Floor: 7.50%) due 02/17/23   2,887,500    2,064,562 
Zephyr Bidco Ltd.          
7.52% (1 Month GBP LIBOR + 7.50%, Rate Floor: 7.50%) due 07/23/26   GBP 1,540,417    2,029,593 
SP PF Buyer LLC          
4.65% (1 Month USD LIBOR + 4.50%, Rate Floor: 4.50%) due 12/22/25   1,651,595    1,587,298 
EG Finco Ltd.          
4.78% (3 Month GBP LIBOR + 4.75%, Rate Floor: 4.75%) due 02/07/25   GBP 975,000    1,294,849 
Belk, Inc.          
7.75% (3 Month USD LIBOR + 6.75%, Rate Floor: 7.75%) due 07/31/25   2,630,022    917,694 
K & N Parent, Inc.          
5.75% (3 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 10/20/23   956,514    862,230 
Apro LLC          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 11/14/26   695,737    694,867 
Navistar Inc.          
3.66% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 11/06/24   496,173    495,057 
American Tire Distributors, Inc.          
7.00% (3 Month USD LIBOR + 6.00%, Rate Floor: 7.00%) due 09/01/23   249,634    241,146 
8.50% (1 Month USD LIBOR + 7.50% and 3 Month USD LIBOR + 7.50%, Rate Floor: 8.50%) due 09/02/24   163,109    155,035 
BBB Industries, LLC          
4.65% (1 Month USD LIBOR + 4.50%, Rate Floor: 4.50%) due 08/01/25   266,791    257,454 
Total Consumer, Cyclical        209,826,817 
Technology - 2.9%          
Planview Parent, Inc.          
4.75% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.75%) due 12/10/27   10,980,000    10,952,550 
due 12/10/27   9,950,000    9,850,500 
Transact Holdings, Inc.          
4.90% (1 Month USD LIBOR + 4.75%, Rate Floor: 4.75%) due 04/30/26   14,802,799    14,284,701 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,8 – 21.6% (continued)
Technology - 2.9% (continued)        
Provation Software Group, Inc.        
5.50% (6 Month USD LIBOR + 4.75%, Rate Floor: 5.50%) due 12/16/27   13,700,000   $13,494,500 
Sportradar Capital SARL          
4.25% (3 Month EURIBOR + 4.25%, Rate Floor: 4.25%) due 11/22/27   EUR 10,600,000    12,930,472 
Valkyr Purchaser, LLC          
4.75% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.75%) due 11/05/27   12,500,000    12,343,750 
Project Boost Purchaser LLC          
5.00% (1 Month USD LIBOR + 4.25%, Rate Floor: 5.00%) due 06/01/26   9,675,750    9,655,624 
Ascend Learning LLC          
4.75% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 07/12/24   9,625,875    9,641,950 
Datix Bidco Ltd.          
4.74% (6 Month USD LIBOR + 4.50%, Rate Floor: 4.50%) due 04/28/25†††   9,112,505    9,056,590 
7.99% (6 Month USD LIBOR + 7.75%, Rate Floor: 7.75%) due 04/27/26†††   461,709    458,400 
E2open LLC          
4.00% (1 Month USD LIBOR + 3.50%, Rate Floor: 4.00%) due 10/29/27   8,000,000    7,975,040 
Imprivata, Inc.          
4.25% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.25%) due 12/01/27   7,900,000    7,900,000 
Wrench Group LLC          
5.50% (3 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 04/30/26†††   6,750,000    6,733,125 
Sabre GLBL, Inc.          
due 12/10/27   5,550,000    5,556,938 
Epicor Software          
5.25% (1 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 07/30/27   5,436,375    5,462,415 
AVS Group GmbH          
due 07/17/26   EUR 3,750,000    4,544,309 
1A Smart Start LLC          
5.75% (3 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 08/19/27   4,289,250    4,291,052 
Greenway Health LLC          
4.75% (3 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 02/16/24   3,509,320    3,228,574 
Ministry Brands LLC          
5.00% (2 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 12/02/22†††   2,645,325    2,473,379 
Aspect Software, Inc.          
6.00% (3 Month USD LIBOR + 5.00%, Rate Floor: 6.00%) due 01/15/24   2,060,003    1,981,043 
Boxer Parent Co., Inc.          
4.40% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 10/02/25   1,787,337    1,777,882 
Misys Ltd.          
4.50% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 06/13/24   1,710,544    1,673,665 
Neustar, Inc.          
4.50% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 08/08/24   1,516,218    1,466,001 
Kar Finland Bidco Oy          
4.50% (6 Month EURIBOR + 4.50%, Rate Floor: 4.50%) due 11/27/23†††   EUR 1,000,000    1,200,513 
Cologix Holdings, Inc.          
4.75% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 03/20/24   1,200,000    1,186,932 
24-7 Intouch, Inc.          
4.90% (1 Month USD LIBOR + 4.75%, Rate Floor: 4.75%) due 08/25/25   1,153,253    1,086,941 
EIG Investors Corp.          
4.75% (3 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 02/09/23   840,167    839,117 
Brave Parent Holdings, Inc.          
4.15% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 04/18/25   322,519    320,503 
Evergood 4 ApS (Nets)          
3.25% (3 Month EURIBOR + 3.25%, Rate Floor: 3.25%) due 02/06/25   EUR 225,000    274,327 
Total Technology        162,640,793 
Communications - 1.9%          
Syndigo LLC          
5.25% (6 Month USD LIBOR + 4.50%, Rate Floor: 5.25%) due 12/10/27   27,550,000    27,343,375 
Xplornet Communications Inc.          
4.90% (1 Month USD LIBOR + 4.75%, Rate Floor: 4.75%) due 06/10/27   21,915,075    21,920,554 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,8 - 21.6% (continued)
Communications - 1.9% (continued)        
Trader Interactive        
7.25% (3 Month USD LIBOR + 6.25%, Rate Floor: 7.25%) due 06/17/24†††   10,734,261   $10,276,427 
7.25% (1 Month USD LIBOR + 6.25%, Rate Floor: 7.25%) due 06/15/23†††   138,462    129,968 
Liberty Cablevision of Puerto Rico LLC          
5.16% (1 Month USD LIBOR + 5.00%, Rate Floor: 5.00%) due 10/15/26   9,550,000    9,575,880 
McGraw-Hill Global Education Holdings LLC          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 05/04/22   9,329,337    9,073,807 
Cengage Learning Acquisitions, Inc.          
5.25% (3 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 06/07/23   8,019,529    7,674,128 
Zayo Group Holdings, Inc.          
3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/09/27   6,146,447    6,100,349 
Recorded Books, Inc.          
4.40% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 08/29/25   2,943,341    2,922,502 
4.75% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.75%) due 08/29/25   1,200,000    1,200,000 
Market Track LLC          
5.25% (3 Month USD LIBOR + 4.25%, Rate Floor: 5.25%) due 06/05/24   4,111,875    3,803,484 
Resource Label Group LLC          
5.50% (3 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 05/26/23   1,906,925    1,773,440 
9.50% (3 Month USD LIBOR + 8.50%, Rate Floor: 9.50%) due 11/26/23†††   1,500,000    1,320,000 
Flight Bidco, Inc.          
7.65% (1 Month USD LIBOR + 7.50%, Rate Floor: 7.50%) due 07/23/26†††   1,000,000    895,000 
Nielsen Finance LLC          
4.75% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 06/04/25   746,250    749,824 
Total Communications        104,758,738 
Financial - 1.8%          
Jefferies Finance LLC          
4.50% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.50%) due 09/30/27   24,488,625    24,427,404 
Duff & Phelps          
4.75% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 04/09/27   13,134,000    13,136,102 
PAI Holdco, Inc.          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 10/22/27   12,600,000    12,600,000 
GT Polaris, Inc.          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 09/24/27   11,521,125    11,552,808 
USI, Inc.          
4.50% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.50%) due 12/02/26   10,274,250    10,242,194 
Higginbotham          
6.50% (1 Month USD LIBOR + 5.75%, Rate Floor: 6.50%) due 11/25/26   10,105,491    9,953,909 
Teneo Holdings LLC          
6.25% (1 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 07/11/25   8,179,450    8,080,642 
HUB International Ltd.          
2.96% (3 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 04/25/25   5,199,702    5,100,595 
Camelia Bidco Banc Civica          
4.78% (3 Month GBP LIBOR + 4.75%, Rate Floor: 4.75%) due 10/14/24   GBP 3,000,000    3,977,052 
Aretec Group, Inc.          
4.40% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 10/01/25   3,822,000    3,731,228 
Cross Financial Corp.          
5.50% (1 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 09/15/27   1,000,000    1,000,000 
AmeriLife Holdings LLC          
4.15% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 03/18/27   223,876    220,518 
Total Financial        104,022,452 
Basic Materials - 1.1%          
Illuminate Buyer LLC          
4.15% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 06/30/27   12,757,625    12,752,267 
LSF11 Skyscraper HoldCo SARL          
5.74% (3 Month USD LIBOR + 5.50%, Rate Floor: 5.50%) due 09/29/27   11,700,314    11,641,812 
GrafTech Finance, Inc.          
4.50% (1 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 02/12/25   10,124,555    10,103,496 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,8 - 21.6% (continued)
Basic Materials - 1.1% (continued)        
Alpha 3 BV        
4.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 01/31/24   7,968,975   $7,934,150 
Barentz Midco BV          
due 11/25/27   EUR 2,400,000    2,936,950 
due 11/25/27   2,000,000    1,985,000 
Patriot Container Corp. (Wastequip)          
4.50% (1 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 03/20/25   4,453,904    4,351,820 
Pregis TopCo LLC          
5.00% (1 Month USD LIBOR + 4.25%, Rate Floor: 5.00%) due 07/31/26   3,800,000    3,771,500 
PQ Corp.          
4.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 02/08/27   3,670,492    3,666,675 
Invictus MD Strategies Corp.          
3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/28/25   2,002,341    1,964,437 
Vectra Co.          
3.40% (1 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 03/08/25   1,641,016    1,599,991 
Ascend Performance Materials Operations LLC          
6.25% (3 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 08/27/26   397,990    398,985 
DCG Acquisition Corp.          
4.65% (1 Month USD LIBOR + 4.50%, Rate Floor: 4.50%) due 09/30/26   344,209    339,046 
American Rock Salt Company LLC          
4.50% (1 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 03/21/25   225,000    224,663 
Total Basic Materials        63,670,792 
Utilities - 0.7%          
Hamilton Projects Acquiror LLC          
5.75% (3 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 06/17/27   24,578,221    24,593,705 
RS Ivy Holdco, Inc.          
6.50% (3 Month USD LIBOR + 5.50%, Rate Floor: 6.50%) due 12/23/27   13,700,000    13,563,000 
Panda Hummel          
7.00% (1 Month USD LIBOR + 6.00%, Rate Floor: 7.00%) due 10/27/22   1,216,888    1,155,605 
Panda Stonewall          
6.50% (3 Month USD LIBOR + 5.50%, Rate Floor: 6.50%) due 11/13/21   725,000    664,281 
Granite Generation LLC          
4.75% (3 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 11/09/26   526,532    526,753 
Total Utilities        40,503,344 
Energy - 0.2%          
Venture Global Calcasieu Pass LLC          
2.53% (1 Month USD LIBOR + 2.38% and 3 Month USD LIBOR + 2.38%, Rate Floor: 2.38%) due 08/19/26   6,101,923    5,735,807 
SeaPort Financing LLC          
5.65% (1 Month USD LIBOR + 5.50%, Rate Floor: 5.50%) due 10/31/25†††   3,077,227    2,831,049 
Permian Production Partners LLC          
9.00% (1 Month USD LIBOR + 6.00%, Rate Floor: 7.00%) (in-kind rate was 2.00%) due 11/23/25†††,10   3,711,175    556,676 
Total Energy        9,123,532 
Total Senior Floating Rate Interests          
(Cost $1,198,776,574)        1,213,961,329 
           
ASSET-BACKED SECURITIES†† - 18.3%          
Collateralized Loan Obligations - 10.2%          
Tralee CLO III Ltd.          
2017-3A, 1.67% (3 Month USD LIBOR + 1.45%, Rate Floor: 0.00%) due 10/20/274,8   31,000,000    30,684,662 
BXMT Ltd.          
2020-FL2, 1.80% (1 Month USD LIBOR + 1.65%, Rate Floor: 1.65%) due 02/16/374,8   15,640,000    15,394,776 
2020-FL2, 2.10% (1 Month USD LIBOR + 1.95%, Rate Floor: 1.95%) due 02/16/374,8   8,000,000    7,893,342 
2020-FL3, 2.95% (1 Month USD LIBOR + 2.80%, Rate Floor: 2.80%) due 03/15/374,8   7,350,000    7,361,066 
Diamond CLO Ltd.          
2018-1A, 2.82% (3 Month USD LIBOR + 2.60%, Rate Floor: 2.60%) due 07/22/304,8   13,500,000    13,126,536 
2018-1A, 2.02% (3 Month USD LIBOR + 1.80%, Rate Floor: 1.80%) due 07/22/304,8   11,000,000    10,903,330 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 18.3% (continued)
Collateralized Loan Obligations - 10.2% (continued)        
2018-1A, 3.92% (3 Month USD LIBOR + 3.70%, Rate Floor: 3.70%) due 07/22/304,8   5,000,000   $4,804,540 
2019-1A, 3.82% (3 Month USD LIBOR + 3.60%, Rate Floor: 3.60%) due 04/25/294,8   1,322,000    1,309,157 
KREF Funding V LLC          
 1.90% due 06/25/26†††   27,000,000    25,985,646 
 0.15% due 06/25/26†††   73,636,363    63,327 
NewStar Clarendon Fund CLO LLC          
2019-1A, 2.27% (3 Month USD LIBOR + 2.05%, Rate Floor: 0.00%) due 01/25/274,8   14,050,000    13,819,472 
2019-1A, 1.52% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 01/25/274,8   6,052,154    6,046,258 
2019-1A, 3.27% (3 Month USD LIBOR + 3.05%, Rate Floor: 0.00%) due 01/25/274,8   4,500,000    4,422,700 
2015-1A, 4.57% (3 Month USD LIBOR + 4.35%, Rate Floor: 0.00%) due 01/25/274,8   1,300,000    1,284,767 
Golub Capital Partners CLO Ltd.          
2018-36A, 2.33% (3 Month USD LIBOR + 2.10%, Rate Floor: 0.00%) due 02/05/314,8   20,000,000    18,642,856 
2018-39A, 2.42% (3 Month USD LIBOR + 2.20%, Rate Floor: 2.20%) due 10/20/284,8   5,000,000    4,856,175 
FDF I Ltd.          
2015-1A, 5.50% due 11/12/304   12,000,000    11,947,556 
2015-1A, 4.40% due 11/12/304   10,000,000    10,075,635 
Treman Park CLO Ltd.          
2015-1A, due 10/20/284,11   32,400,000    20,775,879 
MidOcean Credit CLO VII          
2020-7A, 2.44% (3 Month USD LIBOR + 2.20%, Rate Floor: 0.00%) due 07/15/294,8   21,000,000    20,606,800 
GoldenTree Loan Management US CLO 1 Ltd.          
2020-1A, 2.07% (3 Month USD LIBOR + 1.85%, Rate Floor: 1.85%) due 04/20/294,8   19,500,000    19,131,462 
BDS Ltd.          
2019-FL3, 2.45% (1 Month USD LIBOR + 2.30%, Rate Floor: 2.30%) due 12/15/354,8   18,300,000    17,963,708 
Crown Point CLO III Ltd.          
2017-3A, 1.69% (3 Month USD LIBOR + 1.45%, Rate Floor: 0.00%) due 12/31/274,8   15,000,000    14,867,337 
Cerberus Loan Funding XXX, LP          
2020-3A, 3.87% (3 Month USD LIBOR + 3.65%, Rate Floor: 3.65%) due 01/15/334,8   14,500,000    14,500,000 
LoanCore Issuer Ltd.          
2019-CRE2, 1.66% (1 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 05/15/364,8   12,850,000    12,800,312 
Avery Point II CLO Ltd.          
2013-3X COM, due 01/18/2511   18,099,521    12,643,252 
OZLM XIII Ltd.          
2018-13A, 2.31% (3 Month USD LIBOR + 2.10%, Rate Floor: 0.00%) due 07/30/274,8   12,650,000    12,377,883 
Lake Shore MM CLO III LLC          
2020-1A, 3.43% (3 Month USD LIBOR + 3.20%, Rate Floor: 3.20%) due 10/15/294,8   12,200,000    12,149,409 
Palmer Square Loan Funding Ltd.          
2018-4A, 2.12% (3 Month USD LIBOR + 1.90%, Rate Floor: 0.00%) due 11/15/264,8   9,050,000    8,945,911 
2018-5A, 2.12% (3 Month USD LIBOR + 1.90%, Rate Floor: 1.90%) due 01/20/274,8   3,000,000    2,970,649 
MP CLO VIII Ltd.          
2018-2A, 2.12% (3 Month USD LIBOR + 1.90%, Rate Floor: 0.00%) due 10/28/274,8   11,950,000    11,589,094 
Atlas Senior Loan Fund IX Ltd.          
2018-9A, 2.02% (3 Month USD LIBOR + 1.80%, Rate Floor: 1.80%) due 04/20/284,8   10,250,000    9,880,798 
2018-9A, due 04/20/284,11   9,600,000    1,235,069 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 18.3% (continued)
Collateralized Loan Obligations - 10.2% (continued)        
TCP Waterman CLO Ltd.        
2016-1A, 3.22% (3 Month USD LIBOR + 3.00%, Rate Floor: 0.00%) due 12/15/284,8   11,000,000   $10,964,137 
Mountain Hawk II CLO Ltd.          
2018-2A, 2.57% (3 Month USD LIBOR + 2.35%, Rate Floor: 0.00%) due 07/20/244,8   8,250,000    8,208,704 
2013-2A, 3.37% (3 Month USD LIBOR + 3.15%, Rate Floor: 0.00%) due 07/22/244,8   2,750,000    2,585,268 
Telos CLO Ltd.          
2017-6A, 2.82% (3 Month USD LIBOR + 2.60%, Rate Floor: 0.00%) due 01/17/274,8   7,500,000    7,471,703 
2017-6A, 1.49% (3 Month USD LIBOR + 1.27%, Rate Floor: 0.00%) due 01/17/274,8   2,022,864    2,021,422 
Carlyle Global Market Strategies CLO Ltd.          
2017-2A, 1.87% (3 Month USD LIBOR + 1.65%, Rate Floor: 0.00%) due 01/18/294,8   3,500,000    3,378,178 
2012-3A, due 01/14/324,11   6,400,000    2,143,962 
2013-3X SUB, due 10/15/3011   4,938,326    1,723,476 
2018-1A, 2.07% (3 Month USD LIBOR + 1.85%, Rate Floor: 1.85%) due 04/20/274,8   1,150,000    1,105,545 
Dryden 37 Senior Loan Fund          
2015-37A, due 01/15/314,11   9,500,000    8,145,770 
Marathon CLO V Ltd.          
2017-5A, 1.66% (3 Month USD LIBOR + 1.45%, Rate Floor: 0.00%) due 11/21/274,8   7,920,233    7,812,698 
2013-5A, due 11/21/274,11   5,500,000    312,950 
Flagship CLO VIII Ltd.          
2018-8A, 2.03% (3 Month USD LIBOR + 1.80%, Rate Floor: 0.00%) due 01/16/264,8   8,025,000    7,965,782 
Avery Point VI CLO Ltd.          
2018-6A, 2.23% (3 Month USD LIBOR + 2.00%, Rate Floor: 0.00%) due 08/05/274,8   8,000,000    7,895,291 
Venture XIV CLO Ltd.          
2020-14A, 2.47% (3 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 08/28/294,8   8,000,000    7,761,894 
Newstar Commercial Loan Funding LLC          
2017-1A, 3.74% (3 Month USD LIBOR + 3.50%, Rate Floor: 0.00%) due 03/20/274,8   7,500,000    7,449,561 
Octagon Loan Funding Ltd.          
2014-1A, due 11/18/314,11   19,435,737    7,209,535 
Voya CLO Ltd.          
2013-1A, due 10/15/304,11   28,970,307    7,159,953 
ACIS CLO Ltd.          
2014-4A, 2.76% (3 Month USD LIBOR + 2.55%, Rate Floor: 0.00%) due 05/01/264,8   3,600,000    3,586,441 
2015-6A, 3.58% (3 Month USD LIBOR + 3.37%, Rate Floor: 0.00%) due 05/01/274,8   3,250,000    3,239,308 
Marathon CRE Ltd.          
2018-FL1, 3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 06/15/284,8   6,000,000    5,680,890 
2018-FL1, 2.75% (1 Month USD LIBOR + 2.60%, Rate Floor: 2.60%) due 06/15/284,8   650,000    630,840 
Monroe Capital CLO Ltd.          
2017-1A, 3.82% (3 Month USD LIBOR + 3.60%, Rate Floor: 0.00%) due 10/22/264,8   3,000,000    2,909,486 
2017-1A, 1.57% (3 Month USD LIBOR + 1.35%, Rate Floor: 0.00%) due 10/22/264,8   2,899,701    2,899,124 
Silvermore CLO Ltd.          
2014-1A, 3.22% (3 Month USD LIBOR + 3.00%, Rate Floor: 0.00%) due 05/15/264,8   5,500,000    5,487,095 
Dryden 50 Senior Loan Fund          
2017-50A, due 07/15/304,11   7,895,000    5,249,378 
FDF II Ltd.          
2016-2A, 6.29% due 05/12/314   5,250,000    5,218,109 
Dryden 41 Senior Loan Fund          
2015-41A, due 04/15/314,11   11,700,000    5,182,740 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 18.3% (continued)
Collateralized Loan Obligations - 10.2% (continued)        
Sudbury Mill CLO Ltd.        
2017-1A, 2.67% (3 Month USD LIBOR + 2.45%, Rate Floor: 0.00%) due 01/17/264,8   5,000,000   $4,963,417 
Hull Street CLO Ltd.          
2014-1A, 3.82% (3 Month USD LIBOR + 3.60%, Rate Floor: 0.00%) due 10/18/264,8   5,785,000    4,679,912 
Jackson Mill CLO Ltd.          
2018-1A, 2.09% (3 Month USD LIBOR + 1.85%, Rate Floor: 1.85%) due 04/15/274,8   4,150,000    4,014,419 
Venture XIII CLO Ltd.          
2013-13A, due 09/10/294,11   13,790,000    4,001,237 
Madison Park Funding XVI Ltd.          
2016-16A, 2.87% (3 Month USD LIBOR + 2.65%, Rate Floor: 0.00%) due 04/20/264,8   4,000,000    3,990,681 
WhiteHorse X Ltd.          
2015-10A, 5.52% (3 Month USD LIBOR + 5.30%, Rate Floor: 5.30%) due 04/17/274,8   4,980,000    3,700,774 
Adams Mill CLO Ltd.          
2014-1A, 5.24% (3 Month USD LIBOR + 5.00%, Rate Floor: 0.00%) due 07/15/264,8   4,000,000    3,387,643 
KVK CLO Ltd.          
2013-1A, due 01/14/284,11   11,900,000    3,051,803 
Mountain Hawk III CLO Ltd.          
2014-3A, 3.02% (3 Month USD LIBOR + 2.80%, Rate Floor: 0.00%) due 04/18/254,8   3,000,000    2,989,567 
AMMC CLO XI Ltd.          
2012-11A, due 04/30/314,11   5,650,000    2,648,254 
BNPP IP CLO Ltd.          
2014-2A, 5.46% (3 Month USD LIBOR + 5.25%, Rate Floor: 0.00%) due 10/30/254,8   5,762,768    2,574,333 
Denali Capital CLO XI Ltd.          
2018-1A, 2.37% (3 Month USD LIBOR + 2.15%, Rate Floor: 0.00%) due 10/20/284,8   2,500,000    2,429,021 
Exantas Capital Corporation Ltd.          
2019-RSO7, 1.65% (1 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 04/15/364,8   1,500,000    1,479,006 
KKR CLO 19 Ltd.          
2017-19, 1.99% (3 Month USD LIBOR + 1.75%, Rate Floor: 0.00%) due 10/15/304,8   1,350,000    1,326,234 
Dryden Senior Loan Fund          
 due 01/15/3111   1,897,598    1,001,031 
Babson CLO Ltd.          
2014-IA, due 07/20/254,11   11,900,000    881,790 
Great Lakes CLO Ltd.          
2014-1A, due 10/15/294,11   1,500,000    650,488 
West CLO Ltd.          
2013-1A, due 11/07/254,11   5,300,000    402,800 
Halcyon Loan Advisors Funding Ltd.          
2012-1A, 3.22% (3 Month USD LIBOR + 3.00%, Rate Floor: 0.00%) due 08/15/234,8   248,566    248,381 
TICP CLO III-2 Ltd.          
2018-3R, 1.06% (3 Month USD LIBOR + 0.84%, Rate Floor: 0.84%) due 04/20/284,8   239,957    239,837 
Copper River CLO Ltd.          
2007-1A, due 01/20/217,11   8,150,000    239,610 
OHA Credit Partners IX Ltd.          
2013-9A, due 10/20/254,11   4,219,178    54,132 
Total Collateralized Loan Obligations        571,412,974 
Transport-Aircraft - 4.6%          
Castlelake Aircraft Securitization Trust          
2018-1, 4.13% due 06/15/434   22,729,557    21,604,533 
2017-1, 3.97% due 07/15/42   22,014,031    20,615,217 
2016-1, 4.45% due 08/15/41   11,119,258    10,574,071 
2019-1A, 3.97% due 04/15/394   3,894,425    3,703,574 
KDAC Aviation Finance Ltd.          
2017-1A, 4.21% due 12/15/424   50,354,543    45,417,764 
AASET Trust          
2017-1A, 3.97% due 05/16/424   28,241,274    26,191,065 
2020-1A, 4.34% due 01/16/404   6,611,667    5,669,519 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 18.3% (continued)
Transport-Aircraft - 4.6% (continued)        
Raspro Trust        
2005-1A, 1.14% (3 Month USD LIBOR + 0.93%, Rate Floor: 0.93%) due 03/23/244,8   29,279,491   $28,518,985 
Falcon Aerospace Ltd.          
2017-1, 4.58% due 02/15/424   22,823,071    21,863,815 
2017-1, 6.30% due 02/15/424   5,395,449    4,365,655 
Sapphire Aviation Finance I Ltd.          
2018-1A, 4.25% due 03/15/404   22,644,455    21,912,378 
AASET US Ltd.          
2018-2A, 4.45% due 11/18/384   17,719,955    16,740,387 
Sapphire Aviation Finance II Ltd.          
2020-1A, 4.34% due 03/15/404   9,117,555    7,422,551 
2020-1A, 3.23% due 03/15/404   676,393    654,822 
MAPS Ltd.          
2018-1A, 4.21% due 05/15/434   6,320,250    6,023,025 
JOL Air Ltd.          
2019-1, 3.97% due 04/15/444   5,177,238    4,998,110 
WAVE LLC          
2019-1, 3.60% due 09/15/444   4,201,557    4,097,181 
GAIA Aviation Ltd.          
2019-1, 3.97% due 12/15/444,12   4,331,647    3,956,825 
Stripes Aircraft Ltd.          
2013-1 A1, 3.66% due 03/20/23†††   3,393,530    3,012,284 
Turbine Engines Securitization Ltd.          
2013-1A, 5.13% due 12/13/487   1,972,901    1,598,190 
2013-1A, 6.38% due 12/13/487   1,467,369    892,559 
Airplanes Pass Through Trust          
2001-1A, due 03/15/19†††,7,9   2,097,481    210 
Total Transport-Aircraft        259,832,720 
Whole Business - 1.0%          
TSGE          
2017-1, 6.25% due 09/25/31†††   42,550,000    44,344,313 
Applebee's Funding LLC / IHOP Funding LLC          
2019-1A, 4.72% due 06/07/494   3,441,375    3,348,768 
2019-1A, 4.19% due 06/07/494   2,094,750    2,066,094 
Taco Bell Funding LLC          
2016-1A, 4.97% due 05/25/464   2,726,125    2,940,126 
Drug Royalty III Limited Partnership 1          
2017-1A, 2.74% (3 Month USD LIBOR + 2.50%, Rate Floor: 2.50%) due 04/15/274,8   801,469    801,282 
Wendy's Funding LLC          
2018-1A, 3.88% due 03/15/484   388,000    411,703 
2015-1A, 4.50% due 06/15/454   47,375    48,068 
Total Whole Business        53,960,354 
Financial - 0.8%          
Aesf Vi Verdi LP          
2.15% due 11/25/24†††   EUR 21,000,000    25,546,391 
Nassau LLC          
2019-1, 3.98% due 08/15/344   17,872,670    18,191,660 
Station Place Securitization Trust Series          
2020-WL1, 3.40% (1 Month USD LIBOR + 3.25%, Rate Floor: 0.00%) due 06/25/51†††,7,8   2,600,000    2,600,000 
Total Financial        46,338,051 
Infrastructure - 0.7%          
VB-S1 Issuer LLC          
2020-1A, 6.66% due 06/15/504   23,700,000    25,436,945 
2020-1A, 4.09% due 06/15/504   5,183,000    5,373,849 
Secured Tenant Site Contract Revenue Notes Series          
2018-1A, 4.70% due 06/15/487   6,686,223    6,763,229 
Total Infrastructure        37,574,023 
Collateralized Debt Obligations - 0.5%          
Anchorage Credit Funding 3 Ltd.          
2021-3A, 3.47% due 01/28/394   14,250,000    14,265,853 
Anchorage Credit Funding 4 Ltd.          
2016-4A, 4.50% due 02/15/354   9,200,000    9,182,206 
Putnam Structured Product Funding Ltd.          
2003-1A, 1.18% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 10/15/387,8   2,120,675    2,113,898 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 18.3% (continued)
Collateralized Debt Obligations - 0.5% (continued)        
Banco Bradesco SA        
2014-1, 5.44% due 03/12/26†††   1,864,895   $1,833,564 
Total Collateralized Debt Obligations        27,395,521 
Diversified Payment Rights - 0.3%          
Bib Merchant Voucher Receivables Ltd.          
4.18% due 04/07/28†††   15,300,000    16,453,958 
Net Lease - 0.2%          
CARS-DB4, LP          
2020-1A, 4.95% due 02/15/504   10,550,000    10,856,154 
Insurance - 0.0%          
J.G. Wentworth XLI LLC          
2018-1A, 4.70% due 10/15/744   400,000    432,564 
Total Asset-Backed Securities          
(Cost $1,039,299,009)        1,024,256,319 
           
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 11.1%          
Residential Mortgage Backed Securities - 9.9%          
JP Morgan Mortgage Acquisition Trust          
2006-WMC4, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 12/25/368   25,547,849    16,466,731 
2006-WMC3, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 08/25/368   11,140,962    8,953,414 
2006-HE3, 0.31% (1 Month USD LIBOR + 0.16%, Rate Floor: 0.16%) due 11/25/368   7,103,943    6,285,109 
2006-WMC4, 0.27% (1 Month USD LIBOR + 0.12%, Rate Floor: 0.12%) due 12/25/368   8,793,795    5,634,583 
2006-WMC4, 0.23% (1 Month USD LIBOR + 0.08%, Rate Floor: 0.08%) due 12/25/368   3,718,324    2,363,662 
Lehman XS Trust Series          
2006-16N, 0.36% (1 Month USD LIBOR + 0.21%, Rate Floor: 0.21%) due 11/25/468   18,087,931    17,892,141 
2006-18N, 0.33% (1 Month USD LIBOR + 0.18%, Rate Floor: 0.18%) due 12/25/368   14,626,051    14,660,070 
2006-10N, 0.36% (1 Month USD LIBOR + 0.21%, Rate Floor: 0.21%) due 07/25/468   4,001,682    3,947,481 
RALI Series Trust          
2006-QO6, 0.51% (1 Month USD LIBOR + 0.36%, Rate Floor: 0.36%) due 06/25/468   34,165,115    11,986,503 
2007-QO2, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 02/25/478   16,087,215    8,458,960 
2006-QO8, 0.35% (1 Month USD LIBOR + 0.20%, Rate Floor: 0.20%) due 10/25/468   6,517,944    6,248,277 
2006-QO6, 0.61% (1 Month USD LIBOR + 0.46%, Rate Floor: 0.46%) due 06/25/468   8,889,297    3,183,928 
2006-QO2, 0.69% (1 Month USD LIBOR + 0.54%, Rate Floor: 0.54%) due 02/25/468   6,691,716    2,164,525 
2006-QO6, 0.67% (1 Month USD LIBOR + 0.52%, Rate Floor: 0.52%) due 06/25/468   5,608,389    2,016,689 
2006-QO2, 0.83% (1 Month USD LIBOR + 0.68%, Rate Floor: 0.68%) due 02/25/468   3,580,636    1,216,590 
2006-QO2, 0.59% (1 Month USD LIBOR + 0.44%, Rate Floor: 0.44%) due 02/25/468   240,011    74,790 
WaMu Asset-Backed Certificates WaMu Series          
2007-HE2, 0.51% (1 Month USD LIBOR + 0.36%, Rate Floor: 0.36%) due 04/25/378   27,387,152    14,251,869 
2007-HE2, 0.34% (1 Month USD LIBOR + 0.19%, Rate Floor: 0.19%) due 04/25/378   20,868,768    10,527,221 
2007-HE4, 0.32% (1 Month USD LIBOR + 0.17%, Rate Floor: 0.17%) due 07/25/478   8,157,246    6,784,401 
2007-HE4, 0.40% (1 Month USD LIBOR + 0.25%, Rate Floor: 0.25%) due 07/25/478   2,565,741    1,899,210 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 11.1% (continued)
Residential Mortgage Backed Securities - 9.9% (continued)        
LSTAR Securities Investment Limited        
2019-5, 1.66% (1 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 11/01/244,8   32,685,628   $32,313,505 
Long Beach Mortgage Loan Trust          
2006-6, 0.40% (1 Month USD LIBOR + 0.25%, Rate Floor: 0.25%) due 07/25/368   15,812,409    8,382,734 
2006-8, 0.31% (1 Month USD LIBOR + 0.16%, Rate Floor: 0.16%) due 09/25/368   18,796,822    7,615,683 
2006-4, 0.47% (1 Month USD LIBOR + 0.32%, Rate Floor: 0.32%) due 05/25/368   11,618,381    5,175,795 
2006-1, 0.53% (1 Month USD LIBOR + 0.38%, Rate Floor: 0.38%) due 02/25/368   4,460,174    3,796,239 
2006-6, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 07/25/368   4,923,793    2,533,706 
2006-8, 0.24% (1 Month USD LIBOR + 0.09%, Rate Floor: 0.09%) due 09/25/368   5,093,585    2,013,328 
2006-6, 0.25% (1 Month USD LIBOR + 0.10%, Rate Floor: 0.10%) due 07/25/368   2,850,279    1,444,545 
Structured Asset Securities Corporation Mortgage Loan Trust          
2008-BC4, 0.78% (1 Month USD LIBOR + 0.63%, Rate Floor: 0.63%) due 11/25/378   30,630,336    29,978,743 
FKRT          
2020-C2A, 3.25% due 12/30/237   26,210,000    26,227,470 
American Home Mortgage Assets Trust          
2006-1, 0.53% (1 Month USD LIBOR + 0.38%, Rate Floor: 0.38%) due 05/25/468   10,599,988    9,843,791 
2006-6, 0.36% (1 Month USD LIBOR + 0.21%, Rate Floor: 0.21%) due 12/25/468   11,780,028    9,742,183 
2006-3, 1.55% (1 Year CMT Rate + 0.94%, Rate Floor: 0.94%) due 10/25/468   6,608,736    5,381,260 
CIM Trust          
2018-R2, 3.69% (WAC) due 08/25/574,8   24,882,392    24,901,883 
Legacy Mortgage Asset Trust          
2018-GS3, 4.00% due 06/25/584,12   24,506,295    24,668,794 
Ameriquest Mortgage Securities Trust          
2006-M3, 0.32% (1 Month USD LIBOR + 0.18%, Rate Floor: 0.18%) due 10/25/368   23,882,425    16,475,841 
2006-M3, 0.25% (1 Month USD LIBOR + 0.10%, Rate Floor: 0.10%) due 10/25/368   15,177,600    6,675,459 
Morgan Stanley IXIS Real Estate Capital Trust          
2006-2, 0.37% (1 Month USD LIBOR + 0.22%, Rate Floor: 0.22%) due 11/25/368   24,712,230    11,523,716 
2006-2, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 11/25/368   18,852,339    8,680,504 
Morgan Stanley ABS Capital I Incorporated Trust          
2006-HE8, 0.37% (1 Month USD LIBOR + 0.22%, Rate Floor: 0.22%) due 10/25/368   23,043,767    14,115,810 
2006-HE6, 0.25% (1 Month USD LIBOR + 0.10%, Rate Floor: 0.10%) due 09/25/368   4,887,024    2,326,876 
2007-HE4, 0.38% (1 Month USD LIBOR + 0.23%, Rate Floor: 0.23%) due 02/25/378   4,256,182    1,837,498 
IXIS Real Estate Capital Trust          
2007-HE1, 0.31% (1 Month USD LIBOR + 0.16%, Rate Floor: 0.16%) due 05/25/378   25,873,323    8,915,934 
2007-HE1, 0.38% (1 Month USD LIBOR + 0.23%, Rate Floor: 0.23%) due 05/25/378   18,330,885    6,421,747 
GSAA Home Equity Trust          
2006-3, 0.75% (1 Month USD LIBOR + 0.60%, Rate Floor: 0.60%) due 03/25/368   13,875,274    9,443,175 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 11.1% (continued)
Residential Mortgage Backed Securities - 9.9% (continued)        
2006-9, 0.63% (1 Month USD LIBOR + 0.48%, Rate Floor: 0.48%) due 06/25/368   9,079,522   $3,958,228 
2007-7, 0.69% (1 Month USD LIBOR + 0.54%, Rate Floor: 0.54%) due 07/25/378   1,091,482    1,063,865 
GSAMP Trust          
2007-NC1, 0.28% (1 Month USD LIBOR + 0.13%, Rate Floor: 0.13%) due 12/25/468   22,369,234    14,167,295 
Master Asset Backed Securities Trust          
2006-WMC3, 0.31% (1 Month USD LIBOR + 0.16%, Rate Floor: 0.16%) due 08/25/368   11,798,941    5,564,100 
2006-HE3, 0.35% (1 Month USD LIBOR + 0.20%, Rate Floor: 0.20%) due 08/25/368   10,436,080    4,303,693 
2006-HE3, 0.45% (1 Month USD LIBOR + 0.30%, Rate Floor: 0.30%) due 08/25/368   8,774,251    3,674,240 
Citigroup Mortgage Loan Trust, Inc.          
2007-AMC3, 0.40% (1 Month USD LIBOR + 0.25%, Rate Floor: 0.25%) due 03/25/378   13,636,404    12,345,805 
Nationstar Home Equity Loan Trust          
2007-C, 0.32% (1 Month USD LIBOR + 0.18%, Rate Floor: 0.18%) due 06/25/378   11,818,424    11,481,300 
Home Equity Loan Trust          
2007-FRE1, 0.34% (1 Month USD LIBOR + 0.19%, Rate Floor: 0.19%) due 04/25/378   10,670,465    9,992,327 
Alternative Loan Trust          
2007-OA7, 0.33% (1 Month USD LIBOR + 0.18%, Rate Floor: 0.18%) due 05/25/478   9,919,944    9,231,340 
First NLC Trust          
2007-1, 0.43% (1 Month USD LIBOR + 0.28%, Rate Floor: 0.28%) due 08/25/374,8   7,986,623    5,085,407 
2007-1, 0.22% (1 Month USD LIBOR + 0.07%, Rate Floor: 0.07%) due 08/25/374,8   6,056,512    3,730,376 
WaMu Asset-Backed Certificates WaMu Series Trust          
2007-HE1, 0.38% (1 Month USD LIBOR + 0.23%, Rate Floor: 0.23%) due 01/25/378   8,955,411    5,734,996 
2007-HE4, 0.32% (1 Month USD LIBOR + 0.17%, Rate Floor: 0.17%) due 07/25/478   3,593,474    2,630,005 
ACE Securities Corporation Home Equity Loan Trust Series          
2007-ASP1, 0.53% (1 Month USD LIBOR + 0.38%, Rate Floor: 0.38%) due 03/25/378   12,719,200    8,034,374 
HSI Asset Securitization Corporation Trust          
2007-HE1, 0.34% (1 Month USD LIBOR + 0.19%, Rate Floor: 0.19%) due 01/25/378   7,285,947    6,084,550 
Washington Mutual Mortgage Pass-Through Certificates WMALT Series Trust          
2006-AR9, 1.45% (1 Year CMT Rate + 0.84%, Rate Floor: 0.84%) due 11/25/468   5,426,275    4,548,161 
Morgan Stanley Mortgage Loan Trust          
2006-9AR, 0.45% (1 Month USD LIBOR + 0.30%, Rate Floor: 0.30%) due 08/25/368   9,890,648    4,047,082 
LSTAR Securities Investment Trust          
2019-1, 1.86% (1 Month USD LIBOR + 1.70%, Rate Floor: 0.00%) due 03/01/244,8   3,760,073    3,773,530 
Nomura Resecuritization Trust          
2015-4R, 1.71% (1 Month USD LIBOR + 0.43%, Rate Floor: 0.43%) due 03/26/364,8   3,261,193    3,242,342 
Alliance Bancorp Trust          
2007-OA1, 0.39% (1 Month USD LIBOR + 0.24%, Rate Floor: 0.24%) due 07/25/378   2,919,301    2,628,431 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 11.1% (continued)
Residential Mortgage Backed Securities - 9.9% (continued)        
Wachovia Asset Securitization Issuance II LLC Trust        
2007-HE1, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 07/25/374,8   1,117,016   $1,039,457 
Morgan Stanley Re-REMIC Trust          
2010-R5, 1.57% due 06/26/364   869,399    782,140 
Asset Backed Securities Corporation Home Equity Loan Trust          
2006-HE5, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 07/25/368   585,241    570,887 
GreenPoint Mortgage Funding Trust          
2007-AR1, 0.23% (1 Month USD LIBOR + 0.08%, Rate Floor: 0.08%) due 02/25/47†††,8   1,795    1,795 
Total Residential Mortgage Backed Securities        553,168,099 
Commercial Mortgage Backed Securities - 0.6%          
GS Mortgage Securities Corporation Trust          
2017-STAY, 2.56% (1 Month USD LIBOR + 2.40%, Rate Floor: 2.15%) due 07/15/324,8   16,531,000    15,545,853 
2020-UPTN, 3.25% (WAC) due 02/10/374,8   8,256,000    7,766,617 
2020-DUNE, 2.66% (1 Month USD LIBOR + 2.50%, Rate Floor: 2.50%) due 12/15/364,8   7,340,000    6,420,146 
2020-DUNE, 2.06% (1 Month USD LIBOR + 1.90%, Rate Floor: 1.90%) due 12/15/364,8   2,750,000    2,471,048 
BX Commercial Mortgage Trust          
2019-XL, 2.46% (1 Month USD LIBOR + 2.30%, Rate Floor: 2.30%) due 10/15/364,8   2,221,357    2,203,446 
Wells Fargo Commercial Mortgage Trust          
2015-NXS1, 2.63% due 05/15/48   1,019,831    1,019,439 
Total Commercial Mortgage Backed Securities        35,426,549 
Military Housing - 0.6%          
Freddie Mac Military Housing Bonds Resecuritization Trust Certificates          
2015-R1, 0.96% (WAC) due 11/25/524,8,13   163,350,763    9,767,935 
2015-R1, 0.29% (WAC) due 11/25/554,8,13   66,347,648    4,642,152 
GMAC Commercial Mortgage Asset Corp.          
2004-POKA, 6.36% due 09/10/44†††,4   9,000,000    11,516,761 
Capmark Military Housing Trust          
2007-AET2, 6.06% due 10/10/524   5,640,742    6,545,371 
Total Military Housing        32,472,219 
Total Collateralized Mortgage Obligations          
(Cost $659,362,097)        621,066,867 
           
U.S. TREASURY BILLS†† - 0.7%          
U.S. Treasury Bills          
0.08% due 03/18/2114   20,050,000    20,047,154 
0.09% due 01/07/2114   9,200,000    9,199,977 
0.10% due 03/04/2114   4,760,000    4,759,454 
0.09% due 02/11/2114   2,650,000    2,649,832 
0.10% due 01/21/2114   1,500,000    1,499,968 
0.09% due 01/14/2114   1,000,000    999,988 
Total U.S. Treasury Bills          
(Cost $39,155,159)        39,156,373 
           
SENIOR FIXED RATE INTERESTS††† - 0.1%          
Communications - 0.1%          
MHGE Parent LLC          
11.00% due 04/20/22   4,976,125    4,413,442 
Consumer, Cyclical - 0.0%          
WESCO          
5.25% due 06/14/24   CAD 3,930,000    3,080,740 
Total Senior Fixed Rate Interests          
(Cost $7,919,230)        7,494,182 
           
REPURCHASE AGREEMENTS††,15 - 1.2%          
J.P. Morgan Securities LLC          
issued 12/31/20 at 0.06%
 due 01/04/21
   65,000,000    65,000,000 
Total Repurchase Agreements          
(Cost $65,000,000)        65,000,000 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Notional
Value
   Value 
OTC OPTIONS PURCHASED†† - 0.4%
Call options on:        
Morgan Stanley Capital Services LLC 2Y-10 CMS CAP
Expiring July 2022 with strike price of $0.40
   2,186,900,000   $11,021,976 
Bank of America, N.A. 2Y-10 CMS CAP
Expiring July 2022 with strike price of $0.40
   1,067,900,000    5,382,216 
Goldman Sachs International 2Y-10 CMS CAP
Expiring July 2022 with strike price of $0.61
   1,157,800,000    4,075,456 
Goldman Sachs International 2Y-10 CMS CAP
Expiring July 2022 with strike price of $0.40
   463,200,000    2,334,528 
Bank of America, N.A. 2Y-10 CMS CAP
Expiring July 2022 with strike price of $0.61
   82,200,000    289,344 
Total OTC Options Purchased          
(Cost $10,589,112)        23,103,520 
Total Investments - 105.8%          
(Cost $5,723,659,460)       $5,936,998,522 
           
    Contracts      
OTC OPTIONS WRITTEN - 0.0%          
Call options on:          
Citibank N.A., New York Pershing Square Tontine Holdings Ltd. Expiring June 2021 with strike price of $35.00 (Notional Value $2,772)   1    (465)
Citibank N.A., New York Pershing Square Tontine Holdings Ltd. Expiring December 2021 with strike price of $35.00 (Notional Value $41,580)   15    (11,175)
Citibank N.A., New York Pershing Square Tontine Holdings Ltd. Expiring December 2021 with strike price of $30.00 (Notional Value $504,504)   182    (154,700)
Citibank N.A., New York Pershing Square Tontine Holdings Ltd. Expiring December 2021 with strike price of $40.00 (Notional Value $759,528)   274    (172,620)
Total OTC Options Written          
(Premiums received $283,563)        (338,960)
Other Assets & Liabilities, net - (5.8)%        (326,662,291)
Total Net Assets - 100.0%       $5,609,997,271 

 

Futures Contracts           
Description  Number of
Contracts
  Expiration
Date
  Notional
Amount
   Value and Unrealized
Appreciation (Depreciation)**
 
Commodity Futures Contracts Purchased    
Gold 100 oz. Futures Contracts  239  Feb 2021  $45,498,430   $2,910,149 
                 
Commodity Futures Contracts Sold Short                
WTI Crude Futures Contracts  1,020  Jan 2021   49,419,000    (784,580)

 

Centrally Cleared Credit Default Swap Agreements Protection Sold††        
Counterparty  Exchange  Index  Protection
Premium
Rate
  Payment
Frequency
  Maturity
Date
  Notional
Amount
   Value   Upfront
Premiums
Paid
   Unrealized
Appreciation**
 
BofA Securities, Inc.  ICE  CDX.NA.HY.35.V1  5.00%  Quarterly  12/20/25  $460,920,000   $42,990,405   $18,567,809   $24,422,596 

 

Centrally Cleared Interest Rate Swap Agreements††        
Counterparty  Exchange Floating
Rate
Type
  Floating
Rate
Index
  Fixed
Rate
  Payment
Frequency
  Maturity
Date
  Notional
Amount
   Value   Upfront
Premiums
Paid
(Received)
   Unrealized
Appreciation
 
J.P. Morgan Securities LLC  LCH Pay  3-Month ILS TELBOR  0.92%  Quarterly  11/15/27  ILS159,859,000   $50,177   $   $50,177 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Total Return Swap Agreements              
Counterparty  Reference
Obligation
  Financing
Rate Pay
  Payment
Frequency
  Maturity
Date
  Units  Notional
Amount
   Value and
Unrealized
Appreciation
(Depreciation)
 
OTC Credit Index Swap Agreements††              
BNP Paribas  iShares iBoxx $ High Yield Corporate Bond ETF  0.20% (1 Month USD LIBOR + 0.05%)  Monthly  05/06/21  1,205,000  $105,196,500   $3,446,300 
Barclays Bank plc  iShares iBoxx $ High Yield Corporate Bond ETF  0.45% (1 Month USD LIBOR + 0.30%)  Monthly  01/12/21  605,000   52,816,500    2,967,525 
Barclays Bank plc  iShares iBoxx $ High Yield Corporate Bond ETF  0.39% (1 Month USD LIBOR + 0.24%)  Monthly  04/15/21  756,920   66,079,116    1,740,916 
Citibank N.A., New York  iShares iBoxx $ High Yield Corporate Bond ETF  0.35% (1 Month USD LIBOR + 0.20%)  Monthly  05/12/21  1,058,620   92,417,526    1,503,240 
BNP Paribas  iShares iBoxx $ High Yield Corporate Bond ETF  0.40% (1 Month USD LIBOR + 0.25%)  Monthly  04/12/21  604,000   52,729,200    1,419,400 
BNP Paribas  iShares iBoxx $ High Yield Corporate Bond ETF  0.28% (1 Month USD LIBOR + 0.13%)  Monthly  05/06/21  600,000   52,380,000    1,242,000 
BNP Paribas  iShares iBoxx $ High Yield Corporate Bond ETF  0.35% (1 Month USD LIBOR + 0.20%)  Monthly  05/21/21  605,000   52,816,500    738,100 
                  $474,435,342   $13,057,481 
OTC Equity Index Swap Agreements††                
BNP Paribas  VanEck Vectors Gold Miners ETF  0.40% (1 Month USD LIBOR + 0.25%)  Monthly  04/16/21  1,053,640   37,952,113    (5,204,981)

 

Forward Foreign Currency Exchange Contracts††
Counterparty  Contracts to Sell  Currency  Settlement Date  Settlement Value   Value at
December
31, 2020
   Unrealized
Appreciation
(Depreciation)
 
JPMorgan Chase Bank, N.A.  178,600,000  BRL  07/01/21  $42,785,007   $34,270,011   $8,514,996 
Citibank N.A., New York  122,150,000  BRL  07/01/21   29,677,306    23,438,308    6,238,998 
Citibank N.A., New York  6,320,158,500  JPY  07/01/21   62,232,010    61,346,852    885,158 
Barclays Bank plc  6,018,007,500  JPY  07/01/21   59,168,297    58,414,012    754,285 
Goldman Sachs International  8,850,000  BRL  07/01/21   2,073,328    1,698,150    375,178 
Morgan Stanley Capital Services LLC  20,977,000  EUR  03/30/21   25,685,077    25,681,906    3,171 
Citibank N.A., New York  3,158,500  JPY  01/04/21   30,823    30,589    234 
Barclays Bank plc  3,007,500  JPY  01/04/21   29,300    29,127    173 
Citibank N.A., New York  1,052  ILS  02/01/21   298    328    (30)
Citibank N.A., New York  3,973,000  CAD  01/15/21   3,123,171    3,123,547    (376)
Morgan Stanley Capital Services LLC  176,450  ILS  01/25/21   54,356    54,997    (641)
Bank of America, N.A.  383,900  ILS  02/01/21   112,169    119,680    (7,511)
Barclays Bank plc  684,673  ILS  08/02/21   204,027    214,283    (10,256)
JPMorgan Chase Bank, N.A.  2,395,000  EUR  01/15/21   2,909,528    2,927,190    (17,662)
Bank of America, N.A.  7,363,900  ILS  01/31/22   2,183,190    2,315,319    (132,129)
Bank of America, N.A.  9,084,000  GBP  01/15/21   12,064,052    12,423,986    (359,934)
Goldman Sachs International  90,872,000  EUR  01/15/21   110,337,540    111,064,546    (727,006)
Goldman Sachs International  38,713,300  ILS  04/30/21   11,336,278    12,093,709    (757,431)
Goldman Sachs International  57,434,200  ILS  01/31/22   17,016,599    18,058,161    (1,041,562)
Barclays Bank plc  92,228,427  ILS  08/01/22   27,935,310    29,082,771    (1,147,461)
Bank of America, N.A.  79,971,800  ILS  04/30/21   23,698,472    24,982,516    (1,284,044)
Goldman Sachs International  72,830,756  ILS  02/01/21   21,256,016    22,704,897    (1,448,881)
Goldman Sachs International  32,149,325  EUR  07/30/21   37,345,459    39,469,402    (2,123,943)
JPMorgan Chase Bank, N.A.  29,016,000  EUR  07/30/21   33,489,397    35,622,651    (2,133,254)
Citibank N.A., New York  193,819,000  ILS  04/30/21   56,980,495    60,547,421    (3,566,926)
                      $2,013,146 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Counterparty  Contracts to Buy  Currency  Settlement Date  Settlement Value   Value at
December
31, 2020
   Unrealized
Appreciation
(Depreciation)
 
Goldman Sachs International  312,504,100  ILS  04/30/21  $87,609,812   $97,623,644   $10,013,832 
Goldman Sachs International  61,165,325  EUR  07/30/21   70,187,210    75,092,053    4,904,843 
Goldman Sachs International  92,228,427  ILS  08/01/22   24,775,937    29,082,771    4,306,834 
Goldman Sachs International  64,798,100  ILS  01/31/22   17,651,727    20,373,480    2,721,753 
Goldman Sachs International  73,215,708  ILS  02/01/21   20,494,850    22,824,906    2,330,056 
Goldman Sachs International  684,673  ILS  08/02/21   183,706    214,282    30,576 
Morgan Stanley Capital Services LLC  44,000  CAD  01/15/21   34,607    34,592    (15)
JPMorgan Chase Bank, N.A.  6,166,000  JPY  01/04/21   59,867    59,716    (151)
Citibank N.A., New York  309,600,000  BRL  07/01/21   59,488,074    59,406,470    (81,604)
JPMorgan Chase Bank, N.A.  12,338,166,000  JPY  07/01/21   120,472,255    119,760,865    (711,390)
                      $23,514,734 

 

~ The face amount is denominated in U.S. dollars unless otherwise indicated.
* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs, unless otherwise noted — See Note 3.
†† Value determined based on Level 2 inputs, unless otherwise noted — See Note 3.
††† Value determined based on Level 3 inputs — See Note 3.
1 Affiliated issuer.
2 Perpetual maturity.
3 Rate indicated is the 7-day yield as of December 31, 2020.
4 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be liquid under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) securities is $2,456,946,228 (cost $2,391,775,796), or 43.8% of total net assets.
5 Security has a fixed rate coupon which will convert to a floating or variable rate coupon on a future date.
6 All or a portion of this security has been physically segregated or earmarked in connection with reverse repurchase agreements. At December 31, 2020, the total market value of segregated or earmarked securities was $291,971,343 — See Note 2.
7 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be illiquid and restricted under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) illiquid and restricted securities is $65,552,265 (cost $68,714,687), or 1.2% of total net assets — See Note 6.
8 Variable rate security. Rate indicated is the rate effective at December 31, 2020. In some instances, the effective rate is limited by a minimum rate floor or a maximum rate cap established by the issuer. The settlement status of a position may also impact the effective rate indicated. In some cases, a position may be unsettled at period end and may not have a stated effective rate. In instances where multiple underlying reference rates and spread amounts are shown, the effective rate is based on a weighted average.
9 Security is in default of interest and/or principal obligations.
10 Payment-in-kind security.
11 Security has no stated coupon. However, it is expected to receive residual cash flow payments on defined deal dates.
12 Security is a step up/down bond. The coupon increases or decreases at regular intervals until the bond reaches full maturity. Rate indicated is the rate at December 31, 2020. See table below for additional step information for each security.
13 Security is an interest-only strip.
14 Rate indicated is the effective yield at the time of purchase.
15 Repurchase Agreements - The interest rate on repurchase agreements is market driven and based on the underlying collateral obtained. See additional disclosure in the repurchase agreements table below for more information on repurchase agreements.

 

BofA — Bank of America

BRL — Brazilian Real

CAD — Canadian Dollar

CDX.NA.HY.35.V1 — Credit Default Swap North American High Yield Series 35 Index Version 1

CMS — Constant Maturity Swap

CMT — Constant Maturity Treasury

EURIBOR — European Interbank Offered Rate

EUR — Euro

GBP — British Pound

ICE — Intercontinental Exchange

ILS — Israeli New Shekel

JPY — Japanese Yen

LCH — London Clearing House

LIBOR — London Interbank Offered Rate

 

 

 

plc — Public Limited Company

PPV — Public-Private Venture

REMIC — Real Estate Mortgage Investment Conduit

SARL — Société à Responsabilité Limitée

TELBOR — Tel Aviv Interbank Offered Rate

WAC — Weighted Average Coupon

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $216,343,855   $7,254,662   $2,018,411   $225,616,928 
Preferred Stocks       156,556,748    111,460    156,668,208 
Warrants   7,322,592            7,322,592 
Exchange-Traded Funds   34,727,954            34,727,954 
Mutual Funds   44,364,022            44,364,022 
Closed-End Funds   84,127,492            84,127,492 
Money Market Funds   145,784,349            145,784,349 
Corporate Bonds       2,149,274,059    95,074,328    2,244,348,387 
Senior Floating Rate Interests       1,082,401,314    131,560,015    1,213,961,329 
Asset-Backed Securities       904,416,626    119,839,693    1,024,256,319 
Collateralized Mortgage Obligations       609,548,311    11,518,556    621,066,867 
U.S. Treasury Bills       39,156,373        39,156,373 
Senior Fixed Rate Interests           7,494,182    7,494,182 
Repurchase Agreements       65,000,000        65,000,000 
Options Purchased       23,103,520        23,103,520 
Commodity Futures Contracts**   2,910,149            2,910,149 
Credit Default Swap Agreements**       24,422,596        24,422,596 
Interest Rate Swap Agreements**       50,177        50,177 
Credit Index Swap Agreements**       13,057,481        13,057,481 
Forward Foreign Currency Exchange Contracts**       41,080,087        41,080,087 
Total Assets  $535,580,413   $5,115,321,954   $367,616,645   $6,018,519,012 

 

Investments in Securities (Liabilities)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Options Written  $338,960   $   $   $338,960 
Commodity Futures Contracts**   784,580            784,580 
Equity Index Swap Agreements**       5,204,981        5,204,981 
Forward Foreign Currency Exchange Contracts**       15,552,207        15,552,207 
Unfunded Loan Commitments (Note 5)           727,572    727,572 
Total Liabilities  $1,123,540   $20,757,188   $727,572   $22,608,300 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

 

The Fund may hold assets and/or liabilities in which the fair value approximates the carrying amount for financial statement purposes. As of the period end, reverse repurchase agreements of $215,633,419 are categorized as Level 2 within the disclosure hierarchy — See Note 2.

 

The following is a summary of significant unobservable inputs used in the fair valuation of assets and liabilities categorized within Level 3 of the fair value hierarchy:

 

Category  Ending Balance at December 31, 2020   Valuation Technique  Unobservable Inputs  Input Range  Weighted Average*
Assets:                 
Asset-Backed Securities  $86,344,662   Yield Analysis  Yield  2.0%-3.7%  3.0%
Asset-Backed Securities   30,895,031   Option Adjusted Spread off the prior month end broker quote  Broker Quote   
Asset-Backed Securities   2,600,000   Model Price  Purchase Price   
Collateralized Mortgage Obligations   11,516,761   Option Adjusted Spread off the prior month end broker quote  Broker Quote   
Collateralized Mortgage Obligations   1,795   Model Price  Purchase Price   
Common Stocks   2,018,411   Enterprise Value  Valuation Multiple  2.5x-19.2x  7.4x
Corporate Bonds   86,952,728   Option Adjusted Spread off the prior month end broker quote  Broker Quote   
Corporate Bonds   8,121,600   Model Price  Purchase Price   
Preferred Stocks   111,460   Yield Analysis  Yield  18.2% 
Senior Fixed Rate Interests   4,413,442   Enterprise Value  Valuation Multiple  8.0x 
Senior Fixed Rate Interests   3,080,740   Yield Analysis  Yield  5.3% 
Senior Floating Rate Interests   83,692,765   Third Party Pricing  Broker Quote   
Senior Floating Rate Interests   18,843,038   Yield Analysis  Yield  4.7%-8.2%  5.6%
Senior Floating Rate Interests   13,401,513   Option Adjusted Spread off the prior month end broker quote  Broker Quote   
Senior Floating Rate Interests   10,862,380   Model Price  Market Comparable Yields  5.5%-5.9%  5.5%
Senior Floating Rate Interests   2,555,310   Model Price  Purchase Price   
Senior Floating Rate Interests   2,205,009   Enterprise Value  Valuation Multiple  9.4x-19.2x  14.4x
Total Assets  $367,616,645             
Liabilities:                 
Unfunded Loan Commitments  $727,572   Model Price  Purchase Price   

 

*Inputs are weighted by the fair value of the instruments.

 

Significant changes in a quote, yield, market comparable yields, liquidation value or valuation multiples would generally result in significant changes in the fair value of the security.

 

The Fund’s fair valuation leveling guidelines classify a single daily broker quote, or a vendor price based on a single daily or monthly broker quote, as Level, if such a quote or price cannot be supported with other available market information.

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Transfers between Level 2 and Level 3 may occur as markets fluctuate and/or the availability of data used in an investment’s valuation changes. For the period ended December 31, 2020, the Fund had securities with a total value of $101,269,775 transfer into Level 3 from Level 2 due to lack of observable inputs and had securities with a total value of $23,165,929 transfer into Level 2 from Level 3 due to the availability of current and reliable market-based data provided by a third-party pricing service which utilizes significant observable inputs.

 

Summary of Fair Value Level 3 Activity

Following is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value for the period ended December 31, 2020:

 

   Assets     Liabilities 
   Asset-
Backed
Securities
   Collateralized
Mortgage
Obligations
  Corporate
Bonds
   Senior
Floating
Rate
Interests
   Common
Stocks
  Preferred
Stocks
  Senior
Fixed
Rate
Interests
  Total
Assets
  Unfunded
Loan
Commitments
 
Beginning Balance  $136,219,530   $54,252,847  $22,823,465   $74,589,734   $8,060,143  $110,798  $6,285,245  $302,341,762  $(1,311,693)
Purchases/(Receipts)   -    1,828   31,350,000    44,145,316    -   -   276,125   75,773,269   (148,496)
(Sales, maturities and paydowns)/Fundings   (33,708,584)   (41,538,858)  (35,573)   (17,704,542)   -   -   (7,533)  (92,995,090)  533,023 
Amortization of premiums/discounts   1,890    (4,985)  208    28,860    -   -   8,062   34,035   (11,375)
Total realized gains (losses) included in earnings   -    (76)  -    (11,601,897)   -   -   (77)  (11,602,050)  32,780 
Total change in unrealized appreciation (depreciation) included in earnings   2,197,365    (1,192,200)  1,164,265    12,804,495    53,926   662   932,360   15,960,873   178,189 
Transfers into Level 3   25,985,646    -   40,876,166    34,407,963    -   -   -   101,269,775   - 
Transfers out of Level 3   (10,856,154)   -   (1,104,203)   (5,109,914)   (6,095,658)  -   -   (23,165,929)  - 
Ending Balance  $119,839,693   $11,518,556  $95,074,328   $131,560,015   $2,018,411  $111,460  $7,494,182  $367,616,645  $(727,572)
Net change in unrealized appreciation (depreciation) for investments in Level 3 securities still held at December 31, 2020  $2,301,773   $(818,431) $1,159,509   $(474,262)  $(6,071) $662  $(386,974) $1,776,206  $193,195 

 

Step Coupon Bonds

The following table discloses additional information related to step coupon bonds held by the Fund. Certain securities are subject to multiple rate changes prior to maturity. For those securities, a range of rates and corresponding dates have been provided.

 

Name Coupon Rate at
Next Reset Date
Next Rate
Reset Date
Future Reset Rate(s) Future Reset Date(s)
GAIA Aviation Ltd. 2019-1,
3.97% due 12/15/44
2.00% 11/15/26
Legacy Mortgage Asset Trust 2018-GS3,
4.00% due 06/25/58
7.00% 07/25/21 8.00% 07/26/22

 

Repurchase Agreements

The Fund may engage in repurchase agreements. Repurchase agreements are fixed income securities in the form of agreements backed by collateral. These agreements typically involve the acquisition by the Fund of securities from the selling institution coupled with the agreement that the selling institution will repurchase the underlying securities at a specified price and at a fixed time in the future. The Fund may accept a wide variety of underlying securities as collateral for the repurchase agreements entered into by the Fund. Any such securities serving as collateral are marked-to-market daily in order to maintain full collateralization.

 

In connection with transactions in repurchase agreements, it is the Fund’s policy that its custodian take possession of the underlying collateral. The collateral is in the possession of the Fund’s custodian and is evaluated to ensure that its market value exceeds, at a minimum, 102% of the original face amount of the repurchase agreements, subject to minimum amounts to initiate a margin call, with the exception of where securities are being sold short. The interest rate on repurchase agreements is market driven and based on the underlying collateral obtained.

 

The use of repurchase agreements involves certain risks. For example, if the selling institution defaults on its obligation to repurchase the underlying securities at a time when the value of securities has declined, the Fund may incur a loss upon disposition of them. In the event of an insolvency or bankruptcy by the selling institution, the Fund’s right to control the collateral could be affected and result in certain costs and delays. In addition, the Fund could incur a loss if the value of the underlying collateral falls below the agreed upon repurchase price.

 

At December 31, 2020, the repurchase agreements in the account were as follows:

 

Counterparty and Terms
of Agreement
  Face Value   Repurchase
Price
   Collateral  Par Value   Fair Value 
J.P. Morgan Securities LLC          U.S. Treasury Strip        
0.06%            0.00%          
01/04/21  $65,000,000   $65,000,433   5/15/2024  $66,869,862   $66,300,466 

 

 

 

Macro Opportunities Fund  
CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments, result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

Transactions during the period ended December 31, 2020, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
09/30/20
   Additions   Reductions   Realized
Gain
(Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
   Value
12/31/20
   Shares
12/31/20
   Investment
Income
   Capital
Gain
Distributions
 
Common Stocks                            
BP Holdco LLC*  $13,236   $   $   $   $   $13,236    37,539   $   $ 
Targus Group International Equity, Inc.*   26,242                (48)   26,194    12,773         
Closed-End Funds                                     
Guggenheim Strategic Opportunities Fund   9,279,301                949,019    10,228,320    527,233    288,027     
Mutual Funds                                     
Guggenheim Alpha Opportunity Fund — Institutional Class   24,454,689    280,945            693,901    25,429,535    1,003,137    280,945     
Guggenheim Risk Managed Real Estate Fund — Institutional Class   17,551,325    1,128,629            254,533    18,934,487    615,156    122,389    1,006,240 
   $51,324,793   $1,409,574   $   $   $1,897,405   $54,631,772        $691,361   $1,006,240 

 

* Non-income producing security.

 

 

 

Market Neutral Real Estate Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 57.5%
REITs - 54.0%
REITs-Diversified - 10.6%
Safehold, Inc.1   20,471   $1,483,943 
Gaming and Leisure Properties, Inc.1   34,770    1,474,248 
Apartment Income REIT Corp.*   36,539    1,403,463 
VICI Properties, Inc.1   44,142    1,125,621 
American Tower Corp. — Class A   4,503    1,010,743 
Colony Capital, Inc.   158,948    764,540 
Total REITs-Diversified        7,262,558 
REITs-Warehouse/Industries – 9.9%          
Innovative Industrial Properties, Inc.1   9,224    1,689,191 
Terreno Realty Corp.1   28,144    1,646,706 
Prologis, Inc.   13,742    1,369,528 
CyrusOne, Inc.   14,714    1,076,329 
First Industrial Realty Trust, Inc.   25,128    1,058,643 
Total REITsWarehouse/Industries        6,840,397 
REITs-Health Care - 8.2%          
Ventas, Inc.1   33,397    1,637,789 
Sabra Health Care REIT, Inc.1   79,718    1,384,702 
Welltower, Inc.   20,767    1,341,964 
Healthpeak Properties, Inc.1   42,391    1,281,480 
Total REITs-Health Care        5,645,935 
REITs-Office Property - 8.0%          
JBG SMITH Properties   43,877    1,372,034 
Kilroy Realty Corp.1   23,056    1,323,414 
Highwoods Properties, Inc.1   32,978    1,306,918 
Boston Properties, Inc.   8,461    799,818 
American Assets Trust, Inc.   23,167    669,063 
Total REITs-Office Property        5,471,247 
REITs-Apartments - 6.3%          
Equity Residential   22,283    1,320,936 
AvalonBay Communities, Inc.   8,072    1,294,991 
UDR, Inc.   26,254    1,008,941 
Invitation Homes, Inc.   23,002    683,159 
Total REITs-Apartments        4,308,027 
REITs-Manufactured Homes - 3.6%          
Sun Communities, Inc.1   11,881    1,805,318 
Equity LifeStyle Properties, Inc.   11,216    710,646 
Total REITs-Manufactured Homes        2,515,964 
REITs-Shopping Centers - 3.0%          
Weingarten Realty Investors1   66,954    1,450,893 
Urban Edge Properties   48,946    633,361 
Total REITs-Shopping Centers        2,084,254 
REITs-Single Tenant - 2.4%          
NETSTREIT Corp.   49,625    967,191 
National Retail Properties, Inc.   16,740    685,001 
Total REITs-Single Tenant        1,652,192 
REITs-Storage - 2.0%          
Public Storage   5,989    1,383,040 
Total REITs        37,163,614 
Lodging - 3.5%          
Casino Hotels - 3.5%          
Wynn Resorts Ltd.   12,238    1,380,813 
Las Vegas Sands Corp.1   17,278    1,029,769 
Total Casino Hotels        2,410,582 
Total Lodging        2,410,582 
Total Common Stocks          
(Cost $36,835,084)        39,574,196 
           
MONEY MARKET FUND - 49.1%          
Goldman Sachs Financial Square Treasury Instruments Fund — Institutional Shares, 0.01%2   33,756,379    33,756,379 
Total Money Market Fund          
(Cost $33,756,379)        33,756,379 
Total Investments - 106.6%          
(Cost $70,591,463)       $73,330,575 
Other Assets & Liabilities, net - (6.6)%        (4,556,056)
Total Net Assets - 100.0%       $68,774,519 

 

Custom Basket Swap Agreements           
Counterparty  Reference
Obligation
  Financing
Rate
Receive
  Payment
Frequency
  Maturity
Date
  Notional
Amount
   Value and
Unrealized
Depreciation
 
OTC Custom Basket Swap Agreements Sold Short ††           
Goldman Sachs International  GS Equity Custom Basket  (0.11)% (Federal Funds Rate - 0.20%)  At Maturity  05/06/24  $18,677,983   $(1,103,600)
Morgan Stanley Capital Services LLC  MS Equity Custom Basket  (0.21)% (Federal Funds Rate - 0.30%)  At Maturity  07/22/24   18,677,983    (1,108,118)
               $37,355,966   $(2,211,718)

 

 

 

Market Neutral Real Estate Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

MS EQUITY SHORT CUSTOM BASKET    
   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
Financial          
Crown Castle International Corp.  3,104  (2.65)%  $22,370 
Omega Healthcare Investors, Inc.  18,151  (3.53)%   21,263 
Equinix, Inc.  462  (1.77)%   13,529 
PS Business Parks, Inc.  3,793  (2.70)%   11,159 
Cousins Properties, Inc.  19,608  (3.52)%   9,212 
Retail Opportunity Investments Corp.  25,171  (1.80)%   6,976 
Duke Realty Corp.  17,059  (3.65)%   6,706 
Mid-America Apartment Communities, Inc.  5,530  (3.75)%   5,088 
American Campus Communities, Inc.  7,962  (1.82)%   4,150 
Spirit Realty Capital, Inc.  8,437  (1.81)%   1,987 
Camden Property Trust  6,892  (3.69)%   (1,150)
Independence Realty Trust, Inc.  25,297  (1.82)%   (2,975)
CoreSite Realty Corp.  4,197  (2.82)%   (4,080)
Physicians Realty Trust  29,155  (2.78)%   (4,224)
Brixmor Property Group, Inc.  21,319  (1.89)%   (5,327)
Global Net Lease, Inc.  14,118  (1.30)%   (9,871)
Life Storage, Inc.  5,806  (3.71)%   (11,562)
American Homes 4 Rent — Class A  23,180  (3.72)%   (14,415)
Easterly Government Properties, Inc.  18,352  (2.23)%   (15,592)
Four Corners Property Trust, Inc.  8,893  (1.42)%   (21,770)
Healthcare Trust of America, Inc. — Class A  19,754  (2.91)%   (24,369)
Industrial Logistics Properties Trust  14,438  (1.80)%   (34,402)
Hudson Pacific Properties, Inc.  14,688  (1.89)%   (36,138)
Paramount Group, Inc.  44,362  (2.15)%   (48,057)
Douglas Emmett, Inc.  11,781  (1.84)%   (61,849)
Columbia Property Trust, Inc.  18,583  (1.43)%   (63,156)
Essential Properties Realty Trust, Inc.  24,434  (2.77)%   (68,662)
Washington Real Estate Investment Trust  27,858  (3.23)%   (70,060)
VEREIT, Inc.  14,187  (2.87)%   (96,593)
Kennedy-Wilson Holdings, Inc.  33,585  (3.22)%   (109,288)
STORE Capital Corp.  16,648  (3.03)%   (136,552)
Retail Properties of America, Inc. — Class A  69,134  (3.17)%   (192,025)
Monmouth Real Estate Investment Corp.  58,970  (5.43)%   (196,255)
Total Financial         (1,125,932)
Exchange-Traded Funds           
Vanguard Real Estate ETF  12,177  (5.54)%   40,486 
Consumer, Cyclical           
Hyatt Hotels Corp. — Class A  6,704  (2.67)%   (8,866)
Choice Hotels International, Inc.  6,420  (3.67)%   (13,806)
Total Consumer, Cyclical         (22,672)
Total MS Equity Short Custom Basket        $(1,108,118)

 

 

 

Market Neutral Real Estate Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

GS EQUITY SHORT CUSTOM BASKET    
   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
Financial          
Crown Castle International Corp.  3,104  (2.65)%  $22,537 
Omega Healthcare Investors, Inc.  18,151  (3.53)%   21,249 
Equinix, Inc.  462  (1.77)%   12,670 
PS Business Parks, Inc.  3,793  (2.70)%   10,394 
Cousins Properties, Inc.  19,608  (3.52)%   9,199 
Retail Opportunity Investments Corp.  25,171  (1.80)%   7,365 
Duke Realty Corp.  17,059  (3.65)%   6,849 
Mid-America Apartment Communities, Inc.  5,530  (3.75)%   5,300 
American Campus Communities, Inc.  7,962  (1.82)%   4,281 
Spirit Realty Capital, Inc.  8,437  (1.81)%   2,256 
Camden Property Trust  6,892  (3.69)%   (1,094)
Independence Realty Trust, Inc.  25,297  (1.82)%   (3,022)
CoreSite Realty Corp.  4,197  (2.82)%   (4,012)
Physicians Realty Trust  29,155  (2.78)%   (4,127)
Brixmor Property Group, Inc.  21,319  (1.89)%   (5,129)
Global Net Lease, Inc.  14,118  (1.30)%   (9,167)
Life Storage, Inc.  5,806  (3.71)%   (11,427)
American Homes 4 Rent — Class A  23,180  (3.72)%   (14,272)
Easterly Government Properties, Inc.  18,352  (2.23)%   (15,552)
Four Corners Property Trust, Inc.  8,893  (1.42)%   (21,649)
Healthcare Trust of America, Inc. — Class A  19,754  (2.91)%   (24,211)
Industrial Logistics Properties Trust  14,438  (1.80)%   (34,301)
Hudson Pacific Properties, Inc.  14,688  (1.89)%   (35,788)
Paramount Group, Inc.  44,362  (2.15)%   (47,709)
Douglas Emmett, Inc.  11,781  (1.84)%   (61,752)
Columbia Property Trust, Inc.  18,583  (1.43)%   (63,017)
Essential Properties Realty Trust, Inc.  24,434  (2.77)%   (68,424)
Washington Real Estate Investment Trust  27,858  (3.23)%   (69,575)
VEREIT, Inc.  14,187  (2.87)%   (96,285)
Kennedy-Wilson Holdings, Inc.  33,585  (3.22)%   (109,351)
STORE Capital Corp.  16,648  (3.03)%   (136,515)
Retail Properties of America, Inc. — Class A  69,134  (3.17)%   (191,511)
Monmouth Real Estate Investment Corp.  58,970  (5.43)%   (195,669)
Total Financial         (1,121,459)
Consumer, Cyclical           
Hyatt Hotels Corp. — Class A  6,704  (2.67)%   (8,962)
Choice Hotels International, Inc.  6,420  (3.67)%   (13,739)
Total Consumer, Cyclical         (22,701)
Exchange-Traded Funds           
Vanguard Real Estate ETF  12,177  (5.54)%   40,560 
Total GS Equity Short Custom Basket        $(1,103,600)

 

 

 

Market Neutral Real Estate Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is pledged as custom basket swap collateral at December 31, 2020.
2 Rate indicated is the 7-day yield as of December 31, 2020.

 

GS — Goldman Sachs International

MS — Morgan Stanley Capital Services LLC

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $39,574,196   $   $   $39,574,196 
Money Market Fund   33,756,379            33,756,379 
Total Assets  $73,330,575   $   $   $73,330,575 

 

Investments in Securities (Liabilities)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Equity Custom Basket Swap Agreements**  $   $2,211,718   $   $2,211,718 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

 

 

 

Municipal Income Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
EXCHANGE-TRADED FUNDS - 3.8%
iShares Short-Term National Muni Bond ETF   26,950   $2,913,565 
Total Exchange-Traded Funds          
(Cost $2,913,103)        2,913,565 
           
CLOSED-END FUNDS - 12.7%          
BlackRock MuniEnhanced Fund, Inc.   66,207    793,160 
BlackRock Municipal Income Quality Trust   52,126    790,752 
BlackRock MuniVest Fund, Inc.   85,350    784,366 
Nuveen California Quality Municipal Income Fund   49,986    757,788 
DWS Municipal Income Trust   53,020    616,622 
BlackRock MuniHoldings Investment Quality Fund   39,210    552,077 
Eaton Vance Municipal Income Trust   40,499    541,877 
Invesco Trust for Investment Grade Municipals   38,486    508,400 
Nuveen AMT-Free Municipal Credit Income Fund   29,838    500,682 
BNY Mellon Strategic Municipals, Inc.   57,486    488,056 
Nuveen Quality Municipal Income Fund   30,461    468,185 
Nuveen AMT-Free Quality Municipal Income Fund   29,451    444,710 
Invesco Municipal Trust   34,522    442,572 
BlackRock MuniYield Quality Fund, Inc.   25,824    426,096 
Invesco Advantage Municipal Income Trust II   37,459    425,160 
BlackRock MuniHoldings California Quality Fund, Inc.   22,663    339,945 
BlackRock MuniYield California Quality Fund, Inc.   19,586    293,104 
Nuveen California AMT-Free Quality Municipal Income Fund   18,593    293,026 
Invesco Municipal Opportunity Trust   13,972    179,121 
BlackRock Municipal Income Trust   9,687    149,858 
Total Closed-End Funds          
(Cost $9,085,413)        9,795,557 
           
MONEY MARKET FUND - 0.3%          
Dreyfus AMT-Free Tax Exempt Cash Management Fund — Institutional Shares, 0.01%1   255,143    255,143 
Total Money Market Fund          
(Cost $255,143)        255,143 
           
    Face
Amount
      
MUNICIPAL BONDS†† - 81.9%          
California - 24.1%          
Stockton Unified School District General Obligation Unlimited          
 due 08/01/332  $2,000,000    1,599,720 
 due 08/01/372   810,000    578,794 
 due 08/01/422   250,000    152,587 
El Camino Healthcare District General Obligation Unlimited          
 due 08/01/292   2,500,000    2,250,375 
City of Los Angeles Department of Airports Revenue Bonds          
5.00% due 05/15/39   1,000,000    1,304,900 
5.00% due 05/15/44   100,000    125,240 
San Bernardino Community College District General Obligation Unlimited          
4.00% due 08/01/49   1,000,000    1,149,320 
Tustin Unified School District General Obligation Unlimited          
6.00% due 08/01/21   1,000,000    1,033,740 
Sierra Joint Community College District School Facilities District No. 1 General Obligation Unlimited          
 due 08/01/312   705,000    601,203 
 due 08/01/302   415,000    362,469 
College of the Sequoias Tulare Area Improvement District No. 3 General Obligation Unlimited          
due 08/01/423,4   1,000,000    955,080 
Newport Mesa Unified School District General Obligation Unlimited          
 due 08/01/392   1,300,000    736,190 
Sonoma Valley Unified School District General Obligation Unlimited          
4.00% due 08/01/44   600,000    707,808 
Compton Unified School District General Obligation Unlimited          
 due 06/01/402   1,000,000    575,730 
Stockton Public Financing Authority Revenue Bonds          
6.25% due 10/01/40   250,000    291,365 
5.00% due 10/01/33   200,000    251,580 
Los Angeles Department of Water & Power Power System Revenue Bonds          
5.00% due 07/01/43   500,000    533,770 
Kings Canyon Unified School District General Obligation Unlimited          
5.00% due 08/01/28   445,000    533,168 
San Diego Unified School District General Obligation Unlimited          
 due 07/01/392   1,000,000    520,290 
Riverside County Public Financing Authority Tax Allocation          
5.00% due 10/01/28   300,000    378,990 
Sacramento Municipal Utility District Revenue Bonds          
5.00% due 08/15/37   300,000    333,882 

 

 

 

Municipal Income Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount
   Value 
MUNICIPAL BONDS†† - 81.9% (continued)
California - 24.1% (continued)        
Oakland Unified School District/Alameda County General Obligation Unlimited        
5.00% due 08/01/22  $165,000   $172,974 
5.00% due 08/01/40   120,000    139,142 
Delhi Unified School District General Obligation Unlimited          
5.00% due 08/01/44   250,000    301,050 
Riverside County Redevelopment Successor Agency Tax Allocation          
due 10/01/373,4   250,000    284,978 
Freddie Mac Multifamily ML Certificates Revenue Bonds          
2.49% due 07/25/35   246,729    268,360 
Gustine Unified School District General Obligation Unlimited          
5.00% due 08/01/41   220,000    265,681 
M-S-R Energy Authority Revenue Bonds          
6.13% due 11/01/29   195,000    249,534 
Alameda Corridor Transportation Authority Revenue Bonds          
5.00% due 10/01/35   200,000    237,748 
Upland Unified School District General Obligation Unlimited          
 due 08/01/382   400,000    231,568 
Department of Veterans Affairs Veteran's Farm & Home Purchase Program Revenue Bonds          
3.45% due 12/01/39   200,000    220,542 
Stanton Redevelopment Agency Successor Agency Tax Allocation          
5.00% due 12/01/40   180,000    217,067 
Culver Redevelopment Agency Successor Agency Tax Allocation          
 due 11/01/232   195,000    191,966 
Westside Elementary School District General Obligation Unlimited          
5.00% due 08/01/48   155,000    189,979 
Rio Hondo Community College District General Obligation Unlimited          
 due 08/01/292   200,000    179,266 
Freddie Mac Multifamily VRD Certificates Revenue Bonds          
2.40% due 10/15/29   150,000    161,238 
Coast Community College District General Obligation Unlimited          
 due 08/01/402   250,000    147,522 
Buena Park School District General Obligation Unlimited          
5.00% due 08/01/47   100,000    120,570 
Roseville Joint Union High School District General Obligation Unlimited          
 due 08/01/302   100,000    87,508 
McKinleyville Union School District General Obligation Unlimited          
 due 08/01/212   40,000    3,724 
Total California        18,646,618 
Texas - 14.3%          
Denton County Housing Finance Corp. Revenue Bonds          
2.15% due 11/01/38   2,000,000    2,082,380 
Central Texas Regional Mobility Authority Revenue Bonds          
5.00% due 01/01/45   1,250,000    1,565,532 
5.00% due 01/01/27   200,000    240,464 
6.25% due 01/01/21   25,000    25,000 
Ysleta Independent School District General Obligation Unlimited          
4.00% due 08/15/52   1,400,000    1,676,626 
Cleveland Independent School District General Obligation Unlimited          
4.00% due 02/15/52   1,000,000    1,210,640 
North Texas Tollway Authority Revenue Bonds          
 due 01/01/362   1,000,000    732,140 
6.00% due 01/01/21   30,000    30,000 
Central Texas Turnpike System Revenue Bonds          
5.00% due 08/15/34   200,000    227,322 
5.00% due 08/15/22   35,000    37,588 
Bexar County Hospital District General Obligation Limited          
5.00% due 02/15/32   200,000    255,886 
United Independent School District General Obligation Unlimited          
5.00% due 08/15/49   200,000    252,662 
Lindale Independent School District General Obligation Unlimited          
5.00% due 02/15/49   200,000    248,726 
Clifton Higher Education Finance Corp. Revenue Bonds          
4.00% due 08/15/33   200,000    244,104 
Dallas Area Rapid Transit Revenue Bonds          
5.00% due 12/01/41   200,000    239,408 
Harris County-Houston Sports Authority Revenue Bonds          
 due 11/15/532   1,000,000    236,380 

 

 

 

Municipal Income Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount
   Value 
MUNICIPAL BONDS†† - 81.9% (continued)
Texas - 14.3% (continued)        
Bexar County Health Facilities Development Corp. Revenue Bonds        
5.00% due 07/15/22  $225,000   $233,964 
Arlington Higher Education Finance Corp. Revenue Bonds          
5.00% due 12/01/46   200,000    221,618 
Grand Parkway Transportation Corp. Revenue Bonds          
5.00% due 10/01/43   175,000    219,448 
Texas Tech University System Revenue Bonds          
5.00% due 08/15/32   200,000    205,960 
Texas Municipal Gas Acquisition and Supply Corporation I Revenue Bonds          
6.25% due 12/15/26   155,000    186,003 
City of Fort Worth Texas Water & Sewer System Revenue Bonds          
5.00% due 02/15/32   100,000    128,419 
Mansfield Independent School District General Obligation Unlimited          
5.00% due 02/15/44   100,000    125,723 
Hutto Independent School District General Obligation Unlimited          
5.00% due 08/01/49   100,000    124,176 
University of North Texas System Revenue Bonds          
5.00% due 04/15/44   100,000    122,957 
City of Arlington Texas Special Tax Revenue Special Tax          
5.00% due 02/15/48   100,000    116,686 
Manor Independent School District General Obligation Unlimited          
5.00% due 08/01/21   20,000    20,352 
Dallas Independent School District General Obligation Unlimited          
5.00% (VRDN) due 02/15/225   15,000    15,649 
Tarrant County Health Facilities Development Corp. Revenue Bonds          
6.00% due 09/01/24   10,000    11,154 
City of Austin Texas Water & Wastewater System Revenue Bonds          
5.00% due 11/15/21   10,000    10,306 
University of Houston Revenue Bonds          
5.00% due 02/15/21   10,000    9,952 
Leander Independent School District General Obligation Unlimited          
 due 08/15/222   5,000    3,071 
 due 08/15/242   5,000    2,899 
San Antonio Water System Revenue Bonds          
5.00% due 05/15/21   5,000    5,037 
Total Texas        11,068,232 
New York - 4.4%          
New York City Water & Sewer System Revenue Bonds          
5.00% due 06/15/49   1,000,000    1,278,940 
New York State Dormitory Authority Revenue Bonds          
5.00% due 10/01/41   350,000    353,710 
4.00% due 08/01/43   250,000    291,437 
5.00% due 05/01/21   5,000    5,079 
5.00% due 02/15/21   5,000    4,977 
New York City Industrial Development Agency Revenue Bonds          
4.00% due 03/01/32   500,000    613,305 
New York Transportation Development Corp. Revenue Bonds          
5.00% due 12/01/22   250,000    270,137 
5.00% due 07/01/34   200,000    221,150 
New York State Urban Development Corp. Revenue Bonds          
5.00% due 03/15/35   250,000    284,050 
New York Power Authority Revenue Bonds          
4.00% due 11/15/45   100,000    118,970 
Total New York        3,441,755 
Michigan - 3.5%          
Detroit Wayne County Stadium Authority Revenue Bonds          
5.00% due 10/01/26   1,000,000    1,073,270 
Detroit City School District General Obligation Unlimited          
5.00% due 05/01/32   500,000    529,410 
5.00% due 05/01/30   300,000    317,811 
Michigan State Hospital Finance Authority Revenue Bonds          
5.00% due 11/15/47   200,000    243,446 
Michigan State Housing Development Authority Revenue Bonds          
3.35% due 12/01/34   200,000    221,926 
City of Detroit Michigan Water Supply System Revenue Bonds          
5.00% due 07/01/21   200,000    204,768 
Flint Hospital Building Authority Revenue Bonds          
5.00% due 07/01/25   100,000    114,769 
Total Michigan        2,705,400 
Colorado - 2.9%          
E-470 Public Highway Authority Revenue Bonds          
5.00% due 09/01/36   650,000    859,131 

 

 

 

Municipal Income Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount
   Value 
MUNICIPAL BONDS†† - 81.9% (continued)
Colorado - 2.9% (continued)        
Auraria Higher Education Center Revenue Bonds        
5.00% due 04/01/28  $390,000   $461,452 
City & County of Denver Colorado Airport System Revenue Bonds          
5.00% due 12/01/28   200,000    256,758 
Board of Governors of Colorado State University System Revenue Bonds          
5.00% due 03/01/41   200,000    239,190 
City & County of Denver Colorado Revenue Bonds          
 due 08/01/302   200,000    162,654 
Colorado Educational & Cultural Facilities Authority Revenue Bonds          
5.00% due 03/01/47   110,000    128,372 
Colorado School of Mines Revenue Bonds          
5.00% due 12/01/47   100,000    118,503 
Total Colorado        2,226,060 
Oregon - 2.8%          
Clackamas & Washington Counties School District No. 3 General Obligation Unlimited          
 due 06/15/482   2,000,000    938,900 
 due 06/15/502   400,000    175,060 
 due 06/15/492   350,000    158,753 
Salem-Keizer School District No. 24J General Obligation Unlimited          
 due 06/15/402   1,250,000    803,463 
University of Oregon Revenue Bonds          
5.00% due 04/01/48   100,000    123,438 
Total Oregon        2,199,614 
Ohio - 2.8%          
Dayton-Montgomery County Port Authority Revenue Bonds          
1.84% due 09/01/38   1,600,000    1,609,456 
County of Miami Ohio Revenue Bonds          
5.00% due 08/01/33   200,000    251,978 
American Municipal Power, Inc. Revenue Bonds          
5.00% due 02/15/41   200,000    234,074 
City of Middleburg Heights Ohio Revenue Bonds          
5.00% due 08/01/22   15,000    15,992 
Ohio Higher Educational Facility Commission Revenue Bonds          
5.00% due 01/01/22   15,000    15,562 
State of Ohio Revenue Bonds          
4.63% due 01/01/21   5,000    4,950 
Total Ohio        2,132,012 
Washington - 2.6%          
Greater Wenatchee Regional Events Center Public Facilities District Revenue Bonds          
5.00% due 09/01/27   500,000    515,685 
5.25% due 09/01/32   500,000    514,255 
Yakima & Kittitas Counties School District No. 119 Selah General Obligation Unlimited          
5.00% due 12/01/42   200,000    248,496 
County of King Washington Sewer Revenue Bonds          
5.00% due 07/01/42   200,000    247,186 
Central Puget Sound Regional Transit Authority Revenue Bonds          
5.00% due 11/01/41   200,000    244,364 
Washington State Convention Center Public Facilities District Revenue Bonds          
5.00% due 07/01/48   200,000    233,552 
Washington Health Care Facilities Authority Revenue Bonds          
5.00% due 02/01/21   35,000    35,120 
Total Washington        2,038,658 
Arizona - 2.6%          
Arizona Industrial Development Authority Revenue Bonds          
2.12% due 07/01/37   1,192,783    1,222,912 
Maricopa County Industrial Development Authority Revenue Bonds          
5.00% due 01/01/41   250,000    308,932 
Salt Verde Financial Corp. Revenue Bonds          
5.00% due 12/01/32   200,000    268,892 
Pinal County Elementary School District No. 4 Casa Grande General Obligation Unlimited          
5.00% due 07/01/37   100,000    126,849 
Industrial Development Authority of the County of Pima Revenue Bonds          
7.13% due 06/01/21   75,000    77,050 
Total Arizona        2,004,635 
District of Columbia - 2.5%          
District of Columbia Revenue Bonds          
4.00% due 03/01/39   1,000,000    1,215,430 
5.00% due 04/01/21   25,000    25,290 
6.25% due 04/01/21   5,000    5,023 

 

 

 

Municipal Income Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount
   Value 
MUNICIPAL BONDS†† - 81.9% (continued)
District of Columbia - 2.5% (continued)        
District of Columbia General Obligation Unlimited        
5.00% due 06/01/41  $285,000   $345,936 
5.00% due 06/01/32   275,000    316,187 
Total District of Columbia        1,907,866 
Georgia - 2.0%          
Private Colleges & Universities Authority Revenue Bonds          
5.00% due 09/01/48   1,000,000    1,276,550 
Savannah Economic Development Authority Revenue Bonds          
5.00% due 12/01/28   200,000    238,172 
 due 12/01/212   20,000    19,758 
Richmond County Development Authority Revenue Bonds          
 due 12/01/212   10,000    9,881 
Total Georgia        1,544,361 
Pennsylvania - 1.8%          
Pennsylvania Economic Development Financing Authority Revenue Bonds          
5.00% due 02/01/27   500,000    578,430 
Reading School District General Obligation Unlimited          
5.00% due 02/01/27   300,000    355,398 
Pittsburgh Water & Sewer Authority Revenue Bonds          
5.25% due 09/01/36   300,000    336,756 
Allegheny County Hospital Development Authority Revenue Bonds          
5.00% due 07/15/32   100,000    130,385 
Township of Cheltenham Pennsylvania General Obligation Unlimited          
3.00% due 07/01/21   10,000    10,035 
City of Erie Pennsylvania General Obligation Unlimited          
3.10% due 11/15/22   5,000    5,211 
Armstrong School District General Obligation Limited          
6.95% due 03/15/21   5,000    5,065 
Total Pennsylvania        1,421,280 
Illinois - 1.8%          
City of Chicago Illinois Wastewater Transmission Revenue Bonds          
5.25% due 01/01/42   400,000    487,416 
Chicago O'Hare International Airport Revenue Bonds          
5.00% due 01/01/34   300,000    345,030 
Metropolitan Water Reclamation District of Greater Chicago General Obligation Unlimited          
5.00% due 12/01/25   200,000    243,056 
University of Illinois Revenue Bonds          
6.00% due 10/01/29   200,000    223,324 
Cook County School District No. 104 Summit General Obligation Unlimited          
 due 12/01/222   100,000    99,317 
Boone McHenry & DeKalb Counties Community Unit School District 100 General Obligation Unlimited          
 due 12/01/212   10,000    9,867 
Total Illinois        1,408,010 
Louisiana - 1.4%          
Louisiana Local Government Environmental Facilities & Community Development Authority Revenue Bonds          
5.00% due 10/01/37   500,000    575,435 
5.00% due 10/01/26   150,000    183,366 
City of Shreveport Louisiana Water & Sewer Revenue Bonds          
5.00% due 12/01/35   250,000    313,960 
State Tammany Parish Hospital Service District No. 2 General Obligation Unlimited          
4.50% due 03/01/21   10,000    9,965 
Louisiana Public Facilities Authority Revenue Bonds          
5.00% due 05/15/26   5,000    6,136 
Total Louisiana        1,088,862 
North Carolina - 1.2%          
North Carolina Turnpike Authority Revenue Bonds          
5.00% due 01/01/27   300,000    371,175 
North Carolina Central University Revenue Bonds          
5.00% due 04/01/44   300,000    363,261 
County of New Hanover North Carolina Revenue Bonds          
5.00% due 10/01/22   150,000    161,862 
North Carolina Eastern Municipal Power Agency Revenue Bonds          
4.50% due 01/01/22   15,000    15,011 
North Carolina Medical Care Commission Revenue Bonds          
6.63% due 07/01/21   10,000    10,210 
Total North Carolina        921,519 
West Virginia - 1.2%          
West Virginia Higher Education Policy Commission Revenue Bonds          
5.00% due 04/01/29   500,000    527,770 

 

 

 

Municipal Income Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount
   Value 
MUNICIPAL BONDS†† - 81.9% (continued)
West Virginia - 1.2% (continued)        
West Virginia Hospital Finance Authority Revenue Bonds        
5.00% due 06/01/42  $300,000   $360,132 
Total West Virginia        887,902 
New Jersey - 1.0%          
New Jersey Turnpike Authority Revenue Bonds          
5.00% due 01/01/31   300,000    380,709 
New Jersey Economic Development Authority Revenue Bonds          
5.00% due 06/01/28   250,000    308,707 
5.00% due 03/01/21   10,000    9,975 
North Hudson Sewerage Authority Revenue Bonds          
 due 12/15/212   50,000    49,854 
New Jersey Health Care Facilities Financing Authority Revenue Bonds          
5.25% due 07/01/21   35,000    35,868 
New Jersey Transportation Trust Fund Authority Revenue Bonds          
5.50% due 06/15/21   20,000    20,271 
Total New Jersey        805,384 
Virginia - 1.0%          
Virginia College Building Authority Revenue Bonds          
5.00% due 02/01/25   250,000    298,195 
University of Virginia Revenue Bonds          
5.00% due 04/01/38   200,000    248,780 
Loudoun County Economic Development Authority Revenue Bonds          
 due 07/01/492   500,000    210,355 
City of Norfolk Virginia General Obligation Unlimited          
2.50% due 10/01/464   5,000    5,149 
Total Virginia        762,479 
Mississippi - 1.0%          
Mississippi Development Bank Revenue Bonds          
6.50% due 10/01/31   500,000    508,785 
6.25% due 10/01/26   230,000    233,627 
Total Mississippi        742,412 
Oklahoma - 0.9%          
Oklahoma Development Finance Authority Revenue Bonds          
5.00% due 08/15/28   350,000    433,443 
Oklahoma City Airport Trust Revenue Bonds          
5.00% due 07/01/30   200,000    249,510 
Oklahoma Turnpike Authority Revenue Bonds          
5.00% due 01/01/21   10,000    9,900 
Total Oklahoma        692,853 
Arkansas - 0.8%          
County of Baxter Arkansas Revenue Bonds          
5.00% due 09/01/26   330,000    379,969 
University of Arkansas Revenue Bonds          
5.00% due 11/01/47   200,000    243,416 
Total Arkansas        623,385 
Puerto Rico - 0.8%          
Puerto Rico Highway & Transportation Authority Revenue Bonds          
5.25% due 07/01/41   250,000    301,188 
Puerto Rico Public Buildings Authority Revenue Bonds          
6.00% due 07/01/23   250,000    263,012 
Commonwealth of Puerto Rico General Obligation Unlimited          
5.25% due 07/01/24   45,000    45,870 
Total Puerto Rico        610,070 
Nebraska - 0.6%          
Central Plains Energy Project Revenue Bonds          
5.00% due 09/01/29   200,000    257,754 
Nebraska Investment Finance Authority Revenue Bonds          
3.40% due 09/01/39   200,000    217,924 
Total Nebraska        475,678 
Alaska - 0.4%          
University of Alaska Revenue Bonds          
5.00% due 10/01/40   260,000    292,425 
Nevada - 0.4%          
Las Vegas Valley Water District General Obligation Ltd.          
5.00% due 06/01/27   230,000    275,738 
Massachusetts - 0.3%          
Massachusetts Development Finance Agency Revenue Bonds          
5.00% due 10/01/34   150,000    197,389 
5.00% due 04/01/21   55,000    55,595 
3.00% due 10/01/21   15,000    15,167 
Total Massachusetts        268,151 
South Carolina - 0.3%          
Charleston County Airport District Revenue Bonds          
5.00% due 07/01/43   200,000    246,930 
Indiana - 0.3%          
Indiana Finance Authority Revenue Bonds          
5.00% due 10/01/41   100,000    119,920 
5.13% due 03/01/21   60,000    60,460 
5.00% due 03/01/21   10,000    9,975 

 

 

 

Municipal Income Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount
   Value 
MUNICIPAL BONDS†† - 81.9% (continued)
Indiana - 0.3% (continued)        
Jeffersonville Housing, Inc. Revenue Bonds        
7.25% due 11/15/21  $50,000   $52,891 
Total Indiana        243,246 
Vermont - 0.3%          
Vermont Educational & Health Buildings Financing Agency Revenue Bonds          
5.00% due 12/01/46   200,000    232,272 
Tennessee - 0.3%          
Metropolitan Government Nashville & Davidson County Health & Educational Facilities Board Revenue Bonds          
2.48% due 12/01/37   200,000    212,250 
Tennessee Housing Development Agency Revenue Bonds          
4.00% due 01/01/21   5,000    4,950 
Total Tennessee        217,200 
South Dakota - 0.2%          
South Dakota Board of Regents Housing & Auxiliary Facilities System Revenue Bonds          
5.00% due 04/01/34   150,000    185,796 
Kansas - 0.2%          
University of Kansas Hospital Authority Revenue Bonds          
5.00% due 09/01/48   100,000    124,082 
Riley County Unified School District No. 383 Manhattan-Ogden General Obligation Unlimited          
 due 09/01/212   25,000    16,391 
Total Kansas        140,473 
Idaho - 0.2%          
Idaho Housing & Finance Association Revenue Bonds          
5.00% due 07/15/30   100,000    131,984 
Florida - 0.2%          
Greater Orlando Aviation Authority Revenue Bonds          
5.00% due 10/01/32   100,000    129,390 
Rhode Island - 0.2%          
Rhode Island Health and Educational Building Corp. Revenue Bonds          
5.00% due 05/15/42   100,000    125,939 
Utah - 0.2%          
South Davis Metro Fire Service Area Revenue Bonds          
5.00% due 12/01/34   100,000    124,629 
Iowa - 0.2%          
PEFA, Inc. Revenue Bonds          
5.00% (VRDN) due 09/01/495   100,000    122,534 
Montana - 0.2%          
Montana State Board of Regents Revenue Bonds          
5.00% due 11/15/43   100,000    118,971 
Alabama - 0.0%          
Saraland Public Educational Building Authority Revenue Bonds          
4.25% due 06/01/21   30,000    30,486 
Phenix City Public Building Authority Revenue Bonds          
4.38% due 04/01/21   5,000    5,001 
Total Alabama        35,487 
New Mexico - 0.0%          
City of Albuquerque New Mexico Revenue Bonds          
5.00% due 07/01/25   30,000    34,068 
Total New Mexico        34,068 
Maryland - 0.0%          
Maryland Health & Higher Educational Facilities Authority Revenue Bonds          
4.25% due 07/01/22   10,000    10,479 
4.00% due 07/01/22   10,000    10,442 
5.00% due 07/01/27   5,000    5,788 
Total Maryland        26,709 
Missouri - 0.0%          
Joplin Industrial Development Authority Revenue Bonds          
5.00% due 02/15/21   15,000    14,930 
Kentucky - 0.0%          
City of Pikeville Kentucky Revenue Bonds          
6.25% due 03/01/21   5,000    4,997 
6.00% due 03/01/21   5,000    4,995 
Total Kentucky        9,992 
Total Municipal Bonds          
(Cost $59,697,459)        63,331,909 
           
U.S. TREASURY BILLS†† - 0.6%          
U.S. Treasury Bills          
0.07% due 01/26/216   500,000    499,985 
Total U.S. Treasury Bills          
(Cost $499,975)        499,985 
Total Investments - 99.3%          
(Cost $72,451,093)       $76,796,159 
Other Assets & Liabilities, net - 0.7%        575,018 
Total Net Assets - 100.0%       $77,371,177 

 

 

 

Municipal Income Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Centrally Cleared Interest Rate Swap Agreements††        
Counterparty  Exchange  Floating
Rate
Type
  Floating
Rate
Index
  Fixed
Rate
  Payment
Frequency
  Maturity
Date
  Notional
Amount
   Value   Upfront
Premiums
Paid
   Unrealized
Appreciation**
 
BofA Securities, Inc.  CME  Receive  3-Month USD LIBOR  1.21%  Quarterly  11/24/50  $1,600,000   $91,476   $327   $91,149 
BofA Securities, Inc.  CME  Receive  3-Month USD LIBOR  1.28%  Quarterly  11/04/50   1,200,000    49,035    319    48,716 
                          $140,511   $646   $139,865 

 

** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Rate indicated is the 7-day yield as of December 31, 2020.
2 Zero coupon rate security.
3 Security has no current coupon. However, a coupon rate will come into effect at a future rate reset date.
4 Security is a step up/down bond. The coupon increases or decreases at regular intervals until the bond reaches full maturity. Rate indicated is the rate at December 31, 2020. See table below for additional step information for each security.
5 The rate is adjusted periodically by the counterparty, allows the holder to tender the security upon a rate reset, and is not based upon a set reference rate and spread. Rate indicated is the rate effective at December 31, 2020.
6 Rate indicated is the effective yield at the time of purchase.

 

BofA — Bank of America

CME — Chicago Mercantile Exchange

LIBOR — London Interbank Offered Rate

VRDN — Variable Rate Demand Note

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Exchange-Traded Funds  $2,913,565   $   $   $2,913,565 
Closed-End Funds   9,795,557            9,795,557 
Money Market Fund   255,143            255,143 
Municipal Bonds       63,331,909        63,331,909 
U.S. Treasury Bills       499,985        499,985 
Interest Rate Swap Agreements**       139,865        139,865 
Total Assets  $12,964,265   $63,971,759   $   $76,936,024 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

 

Step Coupon Bonds

 

The following table discloses additional information related to step coupon bonds held by the Fund. Certain securities are subject to multiple rate changes prior to maturity. For those securities, a range of rates and corresponding dates have been provided. Rates for all step coupon bonds held by the Fund are scheduled to increase, none are scheduled to decrease.

 

Name Coupon Rate
at Next Reset Date
Next Rate
Reset Date
Future Reset Rate(s) Future Reset Date(s)
City of Norfolk Virginia General Obligation Unlimited, 2.50% due 10/01/46 3.00% 10/01/22 3.75% - 5.00%% 10/01/26 - 10/01/41
College of the Sequoias Tulare Area Improvement District No. 3 General Obligation Unlimited, due 08/01/42 6.85% 08/01/32
Riverside County Redevelopment Successor Agency Tax Allocation, due 10/01/37 5.00% 10/01/21

 

 

 

Risk Managed Real Estate Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 98.0%
REITs - 97.9%
REITs-Diversified - 20.2%
Equinix, Inc.1,2   30,038   $21,452,539 
Digital Realty Trust, Inc.1   93,049    12,981,266 
Safehold, Inc.   104,545    7,578,467 
VICI Properties, Inc.   280,259    7,146,604 
Gaming and Leisure Properties, Inc.1   157,567    6,680,841 
WP Carey, Inc.1   61,248    4,322,884 
Colony Capital, Inc.*   582,101    2,799,906 
Duke Realty Corp.1   59,413    2,374,738 
CoreSite Realty Corp.1   13,971    1,750,287 
Apartment Income REIT Corp.*   26,334    1,011,489 
American Tower Corp. — Class A   631    141,634 
Total REITs-Diversified        68,240,655 
REITs-Warehouse/Industries - 14.6%          
Prologis, Inc.1   248,763    24,791,721 
Innovative Industrial Properties, Inc.   26,855    4,917,956 
CyrusOne, Inc.1   58,897    4,308,316 
Terreno Realty Corp.1   69,600    4,072,296 
Rexford Industrial Realty, Inc.1   77,848    3,823,115 
First Industrial Realty Trust, Inc.   66,892    2,818,160 
Americold Realty Trust1   74,628    2,785,863 
EastGroup Properties, Inc.   13,980    1,930,079 
Total REITs-Warehouse/Industries        49,447,506 
REITs-Apartments - 14.1%          
AvalonBay Communities, Inc.1   65,237    10,465,972 
Equity Residential   171,950    10,193,196 
Invitation Homes, Inc.1   261,570    7,768,629 
UDR, Inc.   168,618    6,479,990 
Essex Property Trust, Inc.   26,756    6,352,409 
American Homes 4 Rent — Class A1   93,454    2,803,620 
Mid-America Apartment Communities, Inc.   21,992    2,786,166 
Camden Property Trust1   9,392    938,449 
Total REITs-Apartments        47,788,431 
REITs-Health Care - 13.4%          
Welltower, Inc.1   188,562    12,184,876 
Ventas, Inc.1   215,160    10,551,446 
Healthpeak Properties, Inc.1   312,658    9,451,651 
Sabra Health Care REIT, Inc.1   295,037    5,124,793 
Medical Properties Trust, Inc.1   194,424    4,236,499 
Omega Healthcare Investors, Inc.   107,175    3,892,596 
Total REITs-Health Care        45,441,861 
REITs-Office Property - 9.5%          
Alexandria Real Estate Equities, Inc.1,2   43,816    7,808,888 
Boston Properties, Inc.1   73,126    6,912,601 
Cousins Properties, Inc.   151,982    5,091,397 
Highwoods Properties, Inc.1   116,219    4,605,759 
Kilroy Realty Corp.   69,896    4,012,030 
SL Green Realty Corp.   29,029    1,729,548 
VEREIT, Inc.2   31,597    1,194,035 
Douglas Emmett, Inc.1   13,937    406,682 
JBG SMITH Properties   6,216    194,374 
American Assets Trust, Inc.   3,312    95,651 
Total REITs-Office Property        32,050,965 
REITs-Storage - 8.3%          
Public Storage1   47,969    11,077,481 
Extra Space Storage, Inc.1   57,893    6,707,483 
Iron Mountain, Inc.   163,701    4,825,905 
Life Storage, Inc.1   27,441    3,276,181 
CubeSmart1   68,539    2,303,596 
Total REITs-Storage        28,190,646 
REITs-Single Tenant - 4.7%          
Realty Income Corp.1   128,771    8,005,693 
National Retail Properties, Inc.   106,814    4,370,829 
Spirit Realty Capital, Inc.   82,595    3,317,841 
NETSTREIT Corp.   7,019    136,800 
Total REITs-Single Tenant        15,831,163 
REITs-Shopping Centers - 4.5%          
Regency Centers Corp.   100,578    4,585,351 
Kimco Realty Corp.   248,190    3,725,332 
Weingarten Realty Investors   171,806    3,723,036 
Brixmor Property Group, Inc.   109,045    1,804,695 
Urban Edge Properties   101,630    1,315,092 
Total REITs-Shopping Centers        15,153,506 
REITs-Hotels - 3.4%          
MGM Growth Properties LLC — Class A   80,234    2,511,324 
Sunstone Hotel Investors, Inc.   150,019    1,699,715 
Park Hotels & Resorts, Inc.   94,350    1,618,102 
Pebblebrook Hotel Trust   84,152    1,582,058 
Xenia Hotels & Resorts, Inc.*   93,769    1,425,289 
DiamondRock Hospitality Co.*   170,511    1,406,716 
Host Hotels & Resorts, Inc.   83,944    1,228,101 
Total REITs-Hotels        11,471,305 
REITs-Manufactured Homes - 2.8%          
Sun Communities, Inc.1   36,424    5,534,627 
Equity LifeStyle Properties, Inc.   64,446    4,083,299 
Total REITs-Manufactured Homes        9,617,926 
REITs-Regional Malls - 2.4%          
Simon Property Group, Inc.   94,560    8,064,077 
Total REITs        331,298,041 
Lodging - 0.1%          
Casino Hotels - 0.1%          
Wynn Resorts Ltd.   1,733    195,534 
Las Vegas Sands Corp.   2,442    145,543 
Total Casino Hotels        341,077 
Total Lodging        341,077 
Total Common Stocks          
(Cost $303,150,498)        331,639,118 
           
MONEY MARKET FUND - 3.6%          
Dreyfus Treasury Securities Cash Management Fund — Institutional Shares, 0.01%3   12,040,155    12,040,155 
Total Money Market Fund          
(Cost $12,040,155)        12,040,155 
Total Investments - 101.6%          
(Cost $315,190,653)       $343,679,273 

 

 

 

Risk Managed Real Estate Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS SOLD SHORT - (1.8)%
Real Estate - (0.1)%
Real Estate Oper/Develop - (0.1)%
Kennedy-Wilson Holdings, Inc.   9,602   $(171,780)
Lodging - (0.1)%          
Hotels & Motels - (0.1)%          
Hyatt Hotels Corp. — Class A   1,900    (141,075)
Choice Hotels International, Inc.   1,836    (195,956)
Total Hotels & Motels        (337,031)
Total Lodging        (337,031)
REITs - (1.5)%          
REITs-Storage - (0.1)%          
Life Storage, Inc.1   1,629    (194,486)
REITs-Shopping Centers - (0.1)%          
Retail Opportunity Investments Corp.   7,210    (96,542)
Brixmor Property Group, Inc.   6,127    (101,402)
Retail Properties of America, Inc. — Class A   19,608    (167,845)
Total REITs-Shopping Centers        (365,789)
REITs-Warehouse/Industries - (0.1)%          
Industrial Logistics Properties Trust   4,073    (94,860)
Monmouth Real Estate Investment Corp.   16,622    (287,893)
Total REITsWarehouse/Industries        (382,753)
REITs-Single Tenant - (0.1)%          
Four Corners Property Trust, Inc.   2,522    (75,080)
Spirit Realty Capital, Inc.   2,361    (94,841)
Essential Properties Realty Trust, Inc.   6,909    (146,471)
STORE Capital Corp.   4,716    (160,250)
Total REITs-Single Tenant        (476,642)
REITs-Health Care - (0.1)%          
Physicians Realty Trust   8,244    (146,743)
Healthcare Trust of America, Inc. — Class A   5,596    (154,114)
Omega Healthcare Investors, Inc.   5,154    (187,193)
Total REITs-Health Care        (488,050)
REITs-Apartments - (0.2)%          
American Campus Communities, Inc.   2,242    (95,890)
Independence Realty Trust, Inc.   7,158    (96,132)
Camden Property Trust1   1,939    (193,745)
American Homes 4 Rent — Class A1   6,548    (196,440)
Mid-America Apartment Communities, Inc.   1,560    (197,636)
Total REITs-Apartments        (779,843)
REITs-Office Property - (0.3)%          
Columbia Property Trust, Inc.   5,238    (75,113)
Douglas Emmett, Inc.1   3,305    (96,440)
Hudson Pacific Properties, Inc.   4,175    (100,284)
Paramount Group, Inc.   12,609    (113,985)
Easterly Government Properties, Inc.   5,165    (116,987)
VEREIT, Inc.   3,982    (150,480)
Cousins Properties, Inc.1   5,598    (187,533)
Total REITs-Office Property        (840,822)
REITs-Diversified - (0.6)%          
Equinix, Inc.1   129    (92,129)
Global Net Lease, Inc.   6,858    (117,546)
Crown Castle International Corp.   874    (139,132)
PS Business Parks, Inc.   1,069    (142,038)
CoreSite Realty Corp.1   1,170    (146,578)
Washington Real Estate Investment Trust   7,874    (170,315)
Duke Realty Corp.1   4,799    (191,816)
Digital Realty Trust, Inc.1   6,722    (937,786)
Total REITs-Diversified        (1,937,340)
Total REITS        (5,465,725)
Total Common Stocks Sold Short          
(Proceeds $5,625,789)        (5,974,536)
           
EXCHANGE-TRADED FUNDS SOLD SHORT - (0.1)%          
Vanguard Real Estate ETF   3,438    (291,989)
Total Exchange-Traded Funds Sold Short          
(Proceeds $287,505)        (291,989)
Total Securities Sold Short - (1.8)%          
(Proceeds $5,913,294)       $(6,266,525)
Other Assets & Liabilities, net - 0.3%        1,150,511 
Total Net Assets - 100.0%       $338,563,259 

 

Custom Basket Swap Agreements           
Counterparty  Reference
Obligation
  Financing
Rate Pay
(Receive)
  Payment
Frequency
  Maturity
Date
  Notional
Amount
   Value and
Unrealized
Appreciation
(Depreciation)
 
OTC Custom Basket Swap Agreements ††           
Morgan Stanley Capital Services LLC  MS Equity Custom Basket  0.49% (Federal Funds Rate + 0.40%)  At Maturity  06/12/24  $28,992,470   $2,412,920 

 

 

 

Risk Managed Real Estate Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Counterparty  Reference
Obligation
  Financing
Rate Pay
(Receive)
  Payment
Frequency
  Maturity
Date
  Notional
Amount
   Value and
Unrealized
Appreciation
(Depreciation)
 
OTC Custom Basket Swap Agreements †† (continued)           
Goldman Sachs International  GS Equity Custom Basket  0.54% (Federal Funds Rate + 0.45%)  At Maturity  05/06/24  $28,978,572   $2,412,854 
Goldman Sachs International  GS Equity Custom Basket  0.54% (Federal Funds Rate + 0.45%)  At Maturity  05/06/24   443    9 
Morgan Stanley Capital Services LLC  MS Equity Custom Basket  0.49% (Federal Funds Rate + 0.40%)  At Maturity  10/22/25   444    9 
               $57,971,929   $4,825,792 
OTC Custom Basket Swap Agreements Sold Short ††             
Goldman Sachs International  GS Equity Custom Basket  (0.11)% (Federal Funds Rate - 0.20%)  At Maturity  05/06/24  $27,352,406   $(1,571,525)
Morgan Stanley Capital Services LLC  MS Equity Custom Basket  (0.21)% (Federal Funds Rate - 0.30%)  At Maturity  06/12/24   27,364,267    (1,578,691)
               $54,716,673   $(3,150,216)

 

MS EQUITY LONG CUSTOM BASKET    
   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
 
Financial          
Equity LifeStyle Properties, Inc.  7  100.00%  $9 
Total MS Equity Long Custom Basket        $9 

 

 

 

Risk Managed Real Estate Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

MS EQUITY LONG CUSTOM BASKET    
   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
Financial          
Innovative Industrial Properties, Inc.  6,829  4.31%  $657,946 
Safehold, Inc.  14,952  3.74%   636,651 
Kilroy Realty Corp.  16,917  3.35%   167,937 
Ventas, Inc.  24,387  4.12%   164,897 
Weingarten Realty Investors  49,562  3.70%   162,322 
Sun Communities, Inc.  8,650  4.53%   134,640 
Gaming and Leisure Properties, Inc.  25,350  3.71%   128,286 
Terreno Realty Corp.  20,469  4.13%   120,283 
Sabra Health Care REIT, Inc.  58,547  3.51%   98,896 
Colony Capital, Inc.  116,744  1.94%   65,269 
NETSTREIT Corp.  36,400  2.45%   63,355 
VICI Properties, Inc.  32,522  2.86%   48,410 
Healthpeak Properties, Inc.  31,320  3.27%   39,798 
CyrusOne, Inc.  10,837  2.73%   31,568 
Equity LifeStyle Properties, Inc.  8,272  1.81%   23,838 
Public Storage  4,392  3.50%   15,137 
Invitation Homes, Inc.  16,961  1.74%   12,320 
First Industrial Realty Trust, Inc.  18,321  2.66%   12,278 
JBG SMITH Properties  32,239  3.48%   11,243 
Welltower, Inc.  15,317  3.41%   6,006 
National Retail Properties, Inc.  12,287  1.73%   3,953 
Apartment Income REIT Corp.  26,301  3.48%   (1,126)
UDR, Inc.  19,109  2.53%   (6,282)
Prologis, Inc.  10,077  3.46%   (6,344)
American Assets Trust, Inc.  17,178  1.71%   (13,872)
Urban Edge Properties  34,690  1.55%   (17,055)
Boston Properties, Inc.  6,178  2.01%   (20,462)
American Tower Corp. — Class A  3,273  2.53%   (21,181)
Equity Residential  16,266  3.33%   (38,880)
Highwoods Properties, Inc.  24,446  3.34%   (43,881)
AvalonBay Communities, Inc.  5,885  3.28%   (59,500)
Total Financial         2,376,450 
Consumer, Cyclical           
Las Vegas Sands Corp.  12,667  2.60%   24,389 
Wynn Resorts Ltd.  8,988  3.50%   12,081 
Total Consumer, Cyclical         36,470 
Total MS Equity Long Custom Basket        $2,412,920 

 

MS EQUITY SHORT CUSTOM BASKET    
   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
Financial          
Crown Castle International Corp.  4,530  (2.64)%  $32,763 
Omega Healthcare Investors, Inc.  26,728  (3.55)%   31,237 
Equinix, Inc.  665  (1.74)%   20,483 
PS Business Parks, Inc.  5,541  (2.69)%   16,907 
Cousins Properties, Inc.  29,029  (3.55)%   13,965 
Retail Opportunity Investments Corp.  37,386  (1.83)%   10,451 
Duke Realty Corp.  24,886  (3.64)%   9,676 
Mid-America Apartment Communities, Inc.  8,087  (3.74)%   8,192 
American Campus Communities, Inc.  11,623  (1.82)%   6,620 
Spirit Realty Capital, Inc.  12,243  (1.80)%   2,902 
Camden Property Trust  10,052  (3.67)%   (2,392)
Independence Realty Trust, Inc.  37,120  (1.82)%   (4,232)
CoreSite Realty Corp.  6,066  (2.78)%   (5,091)
Physicians Realty Trust  42,752  (2.78)%   (6,028)
Brixmor Property Group, Inc.  31,771  (1.92)%   (8,521)
Global Net Lease, Inc.  20,115  (1.26)%   (15,230)
Life Storage, Inc.  8,451  (3.69)%   (17,333)
American Homes 4 Rent — Class A  33,970  (3.72)%   (21,619)
Easterly Government Properties, Inc.  26,781  (2.22)%   (23,074)
Industrial Logistics Properties Trust  21,118  (1.80)%   (27,888)
Healthcare Trust of America, Inc. — Class A  29,020  (2.92)%   (35,460)
Four Corners Property Trust, Inc.  13,077  (1.42)%   (40,252)
Hudson Pacific Properties, Inc.  21,647  (1.90)%   (57,098)
Paramount Group, Inc.  65,390  (2.16)%   (75,229)
Columbia Property Trust, Inc.  27,161  (1.42)%   (92,277)
Douglas Emmett, Inc.  17,138  (1.83)%   (92,731)
Essential Properties Realty Trust, Inc.  35,828  (2.78)%   (102,189)
Washington Real Estate Investment Trust  40,833  (3.23)%   (103,424)
VEREIT, Inc.  20,648  (2.85)%   (145,066)
Kennedy-Wilson Holdings, Inc.  49,793  (3.26)%   (158,630)
Monmouth Real Estate Investment Corp.  86,198  (5.46)%   (236,717)
STORE Capital Corp.  24,457  (3.04)%   (238,162)
Retail Properties of America, Inc. — Class A  101,681  (3.16)%   (288,869)
Total Financial         (1,644,316)
Exchange Traded Funds           
Vanguard Real Estate ETF  17,825  (5.53)%   101,136 
Consumer, Cyclical           
Hyatt Hotels Corp. — Class A  9,853  (2.67)%   (14,044)
Choice Hotels International, Inc.  9,521  (3.71)%   (21,467)
Total Consumer, Cyclical         (35,511)
Total MS Equity Short Custom Basket        $(1,578,691)

 

GS EQUITY LONG CUSTOM BASKET    
   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
 
Financial          
Equity LifeStyle Properties, Inc.  7  100.00%  $9 
Total GS Equity Long Custom Basket        $9 

 

 

 

Risk Managed Real Estate Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

GS EQUITY LONG CUSTOM BASKET    
   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
Financial          
Innovative Industrial Properties, Inc.  6,829  4.32%  $665,710 
Safehold, Inc.  14,952  3.74%   635,679 
Kilroy Realty Corp.  16,917  3.35%   167,871 
Ventas, Inc.  24,387  4.13%   164,338 
Weingarten Realty Investors  49,562  3.71%   159,786 
Sun Communities, Inc.  8,650  4.54%   135,757 
Gaming and Leisure Properties, Inc.  25,022  3.66%   128,994 
Terreno Realty Corp.  20,469  4.13%   121,855 
Sabra Health Care REIT, Inc.  58,547  3.51%   96,295 
Colony Capital, Inc.  116,744  1.94%   66,458 
NETSTREIT Corp.  36,400  2.45%   61,018 
VICI Properties, Inc.  32,522  2.86%   47,037 
Healthpeak Properties, Inc.  31,320  3.27%   40,564 
CyrusOne, Inc.  10,837  2.74%   31,478 
Equity LifeStyle Properties, Inc.  8,272  1.81%   23,800 
Public Storage  4,392  3.50%   15,158 
Invitation Homes, Inc.  16,961  1.74%   12,629 
First Industrial Realty Trust, Inc.  18,321  2.66%   12,356 
JBG SMITH Properties  32,239  3.48%   11,710 
Welltower, Inc.  15,317  3.42%   5,876 
National Retail Properties, Inc.  12,287  1.74%   4,041 
Apartment Income REIT Corp.  26,301  3.49%   (644)
UDR, Inc.  19,109  2.53%   (5,923)
Prologis, Inc.  10,077  3.47%   (6,172)
American Assets Trust, Inc.  17,178  1.71%   (13,805)
Urban Edge Properties  34,690  1.55%   (16,376)
American Tower Corp. — Class A  3,273  2.54%   (21,237)
Boston Properties, Inc.  6,178  2.02%   (21,325)
Equity Residential  16,266  3.33%   (42,719)
Highwoods Properties, Inc.  24,446  3.34%   (44,482)
AvalonBay Communities, Inc.  5,885  3.21%   (59,537)
Total Financial         2,376,190 
Consumer, Cyclical           
Las Vegas Sands Corp.  12,667  2.61%   24,608 
Wynn Resorts Ltd.  8,988  3.50%   12,056 
Total Consumer, Cyclical         36,664 
Total GS Equity Long Custom Basket        $2,412,854 

 

GS EQUITY SHORT CUSTOM BASKET    
   Shares  Percentage
Notional
Amount
  Value and
Unrealized
Appreciation
(Depreciation)
 
Consumer, Cyclical          
Hyatt Hotels Corp. — Class A  9,853  (2.77)%   (14,256)
Choice Hotels International, Inc.  9,521  (3.85)%   (21,299)
Total Consumer, Cyclical         (35,555)
Financial           
Crown Castle International Corp.  4,530  (2.73)%   32,921 
Omega Healthcare Investors, Inc.  26,728  (3.68)%   31,236 
Equinix, Inc.  665  (1.80)%   19,127 
PS Business Parks, Inc.  5,541  (2.79)%   15,908 
Cousins Properties, Inc.  29,029  (3.69)%   13,977 
Retail Opportunity Investments Corp.  37,386  (1.90)%   11,040 
Duke Realty Corp.  24,886  (3.77)%   9,930 
Mid-America Apartment Communities, Inc.  8,087  (3.88)%   8,493 
American Campus Communities, Inc.  11,623  (1.88)%   6,898 
Spirit Realty Capital, Inc.  12,243  (1.86)%   3,301 
Camden Property Trust  10,052  (3.81)%   (2,162)
Independence Realty Trust, Inc.  37,120  (1.89)%   (4,296)
CoreSite Realty Corp.  6,066  (2.88)%   (5,100)
Physicians Realty Trust  42,752  (2.88)%   (5,822)
Brixmor Property Group, Inc.  31,771  (1.99)%   (8,207)
Global Net Lease, Inc.  19,423  (1.26)%   (14,275)
Life Storage, Inc.  8,451  (3.82)%   (17,140)
American Homes 4 Rent — Class A  33,970  (3.86)%   (21,391)
Easterly Government Properties, Inc.  26,781  (2.30)%   (23,042)
Industrial Logistics Properties Trust  21,118  (1.86)%   (27,624)
Healthcare Trust of America, Inc. — Class A  29,020  (3.03)%   (35,195)
Four Corners Property Trust, Inc.  13,077  (1.48)%   (40,053)
Hudson Pacific Properties, Inc.  21,647  (1.97)%   (56,494)
Paramount Group, Inc.  65,390  (2.24)%   (74,398)
Columbia Property Trust, Inc.  27,161  (1.48)%   (92,056)
Douglas Emmett, Inc.  17,138  (1.90)%   (92,592)
Essential Properties Realty Trust, Inc.  35,828  (2.88)%   (101,879)
Washington Real Estate Investment Trust  40,833  (3.35)%   (102,662)
VEREIT, Inc.  20,648  (2.96)%   (144,534)
Kennedy-Wilson Holdings, Inc.  49,793  (3.38)%   (158,758)
Monmouth Real Estate Investment Corp.  86,198  (5.66)%   (236,417)
STORE Capital Corp.  24,457  (3.15)%   (237,815)
Retail Properties of America, Inc. — Class A  101,681  (2.63)%   (288,096)
Total Financial         (1,637,177)
Exchange-Traded Funds           
Vanguard Real Estate ETF  17,825  (2.74)%   101,207 
Total GS Equity Short Custom Basket        $(1,571,525)

 

 

 

Risk Managed Real Estate Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is pledged as custom basket swap collateral at December 31, 2020.
2 All or a portion of this security is pledged as short security collateral at December 31, 2020.
3 Rate indicated is the 7-day yield as of December 31, 2020.

 

GS — Goldman Sachs International

MS — Morgan Stanley Capital Services LLC

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $331,639,118   $   $   $331,639,118 
Money Market Fund   12,040,155            12,040,155 
Equity Custom Basket Swap Agreements**       4,825,792        4,825,792 
Total Assets  $343,679,273   $4,825,792   $   $348,505,065 

 

Investments in Securities (Liabilities)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $5,974,536   $   $   $5,974,536 
Exchange-Traded Funds   291,989            291,989 
Equity Custom Basket Swap Agreements**       3,150,216        3,150,216 
Total Liabilities  $6,266,525   $3,150,216   $   $9,416,741 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

 

 

 

Small Cap Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 96.4%
Financial - 31.1%
Pinnacle Financial Partners, Inc.   1,877   $120,879 
Physicians Realty Trust REIT   6,281    111,802 
First Horizon National Corp.   8,381    106,942 
Synovus Financial Corp.   3,046    98,599 
Radian Group, Inc.   4,691    94,993 
Axis Capital Holdings Ltd.   1,793    90,349 
CNO Financial Group, Inc.   4,045    89,920 
Lexington Realty Trust REIT   8,172    86,787 
Hilltop Holdings, Inc.   2,806    77,193 
Investors Bancorp, Inc.   7,289    76,972 
Zions Bancorp North America   1,762    76,541 
Cathay General Bancorp   2,146    69,080 
BOK Financial Corp.   958    65,604 
Simmons First National Corp. — Class A   2,938    63,431 
MGIC Investment Corp.   4,838    60,717 
Heritage Insurance Holdings, Inc.   5,840    59,159 
Flagstar Bancorp, Inc.   1,277    52,050 
Stifel Financial Corp.   984    49,653 
Hancock Whitney Corp.   1,406    47,832 
Kennedy-Wilson Holdings, Inc.   2,301    41,165 
Independent Bank Group, Inc.   658    41,138 
WSFS Financial Corp.   916    41,110 
Hanmi Financial Corp.   3,541    40,155 
Sunstone Hotel Investors, Inc. REIT   3,446    39,043 
Apple Hospitality REIT, Inc.   2,954    38,136 
Piedmont Office Realty Trust, Inc. — Class A REIT   2,297    37,280 
Berkshire Hills Bancorp, Inc.   2,052    35,130 
Old Republic International Corp.   1,688    33,271 
Park Hotels & Resorts, Inc. REIT   1,923    32,979 
Heartland Financial USA, Inc.   764    30,843 
RMR Group, Inc. — Class A   797    30,780 
American National Group, Inc.   300    28,836 
Total Financial        1,968,369 
Industrial - 19.5%          
MDU Resources Group, Inc.   3,885    102,331 
Knight-Swift Transportation Holdings, Inc.   2,136    89,328 
Plexus Corp.*   1,036    81,026 
Valmont Industries, Inc.   454    79,418 
Owens Corning   1,036    78,488 
GATX Corp.   917    76,276 
Graphic Packaging Holding Co.   4,476    75,823 
Sanmina Corp.*   2,233    71,210 
PGT Innovations, Inc.*   3,280    66,715 
Rexnord Corp.   1,594    62,947 
Aerojet Rocketdyne Holdings, Inc.*   1,133    59,879 
EnerSys   695    57,727 
Colfax Corp.*   1,199    45,850 
Curtiss-Wright Corp.   394    45,842 
Kennametal, Inc.   1,077    39,030 
Kirby Corp.*   748    38,769 
Altra Industrial Motion Corp.   653    36,196 
Terex Corp.   905    31,576 
Park Aerospace Corp.   2,051    27,504 
Encore Wire Corp.   431    26,105 
Crane Co.   282    21,900 
Schneider National, Inc. — Class B   1,006    20,824 
Total Industrial        1,234,764 
Consumer, Cyclical - 11.8%          
MSC Industrial Direct Company, Inc. — Class A   834    70,381 
Abercrombie & Fitch Co. — Class A   3,302    67,229 
Alaska Air Group, Inc.   1,224    63,648 
UniFirst Corp.   282    59,697 
MDC Holdings, Inc.   1,184    57,542 
Hawaiian Holdings, Inc.   3,153    55,808 
Meritage Homes Corp.*   592    49,030 
Tapestry, Inc.*   1,502    46,682 
Penske Automotive Group, Inc.   717    42,583 
Wabash National Corp.   2,262    38,974 
International Game Technology plc   2,275    38,539 
Methode Electronics, Inc.   975    37,323 
Dick's Sporting Goods, Inc.   567    31,871 
Urban Outfitters, Inc.*   1,130    28,928 
Movado Group, Inc.*   1,265    21,024 
Dana, Inc.   944    18,427 
Tenneco, Inc. — Class A*   1,556    16,493 
Total Consumer, Cyclical        744,179 
Consumer, Non-cyclical - 8.7%          
Encompass Health Corp.   1,366    112,955 
Sabre Corp.*   5,711    68,646 
Ingredion, Inc.   834    65,611 
Emergent BioSolutions, Inc.*   699    62,630 
Central Garden & Pet Co. — Class A*   1,632    59,291 
US Foods Holding Corp.*   1,618    53,895 
Integer Holdings Corp.*   637    51,718 
MGP Ingredients, Inc.   1,051    49,460 
Perdoceo Education Corp.*   2,215    27,976 
Total Consumer, Non-cyclical        552,182 
Basic Materials - 6.8%          
Huntsman Corp.   3,448    86,683 
Ashland Global Holdings, Inc.   1,048    83,002 
Olin Corp.   2,616    64,249 
Reliance Steel & Aluminum Co.   412    49,337 
Commercial Metals Co.   2,201    45,208 
Element Solutions, Inc.   2,441    43,279 
Kraton Corp.*   1,088    30,235 
Verso Corp. — Class A   2,106    25,314 
Total Basic Materials        427,307 
Energy - 5.2%          
Parsley Energy, Inc. — Class A   9,262    131,520 
Range Resources Corp.*   13,806    92,500 
CNX Resources Corp.*   5,066    54,713 
Patterson-UTI Energy, Inc.   6,545    34,427 
Oil States International, Inc.*   3,362    16,877 
Total Energy        330,037 
Communications - 4.9%          
Infinera Corp.*   9,868    103,417 
Viavi Solutions, Inc.*   5,482    82,093 
Gray Television, Inc.*   2,644    47,301 
Ciena Corp.*   701    37,048 

 

 

 

Small Cap Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 96.4% (continued)
Communications - 4.9% (continued)
Tribune Publishing Co.   1,946   $26,660 
Entercom Communications Corp. — Class A   5,002    12,355 
Total Communications        308,874 
Utilities - 4.7%          
Black Hills Corp.   1,334    81,974 
Avista Corp.   1,751    70,285 
Southwest Gas Holdings, Inc.   856    52,002 
Spire, Inc.   714    45,724 
ALLETE, Inc.   710    43,978 
Total Utilities        293,963 
Technology - 3.7%          
Evolent Health, Inc. — Class A*   6,240    100,027 
Conduent, Inc.*   10,862    52,138 
Science Applications International Corp.   493    46,657 
Axcelis Technologies, Inc.*   1,202    35,003 
Total Technology        233,825 
Total Common Stocks          
(Cost $5,456,267)        6,093,500 
           
CONVERTIBLE PREFERRED STOCKS††† - 0.0%          
Industrial - 0.0%          
Thermoenergy Corp.*,1   6,250     
Total Convertible Preferred Stocks          
(Cost $5,968)         
           
RIGHTS - 0.2%          
Basic Materials - 0.2%          
Pan American Silver Corp.*   17,705    14,607 
Total Rights          
(Cost $–)        14,607 
           
EXCHANGE-TRADED FUNDS - 2.2%          
iShares Russell 2000 Value ETF   1,026    135,175 
Total Exchange-Traded Funds          
(Cost $111,453)        135,175 
           
MONEY MARKET FUND - 0.7%          
Dreyfus Treasury Securities Cash Management Fund — Institutional Shares, 0.01%2   47,196    47,196 
Total Money Market Fund          
(Cost $47,196)        47,196 
Total Investments - 99.5%          
(Cost $5,620,884)       $6,290,478 
Other Assets & Liabilities, net - 0.5%        30,899 
Total Net Assets - 100.0%       $6,321,377 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
††† Value determined based on Level 3 inputs — See Note 3.
1 PIPE (Private Investment in Public Equity) - Stock issued by a company in the secondary market as a means of raising capital more quickly and less expensively than through registration of a secondary public offering.
2 Rate indicated is the 7-day yield as of December 31, 2020.

 

plc — Public Limited Company

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $6,093,500   $   $   $6,093,500 
Convertible Preferred Stocks           *    
Rights   14,607            14,607 
Exchange-Traded Funds   135,175            135,175 
Money Market Fund   47,196            47,196 
Total Assets  $6,290,478   $   $   $6,290,478 

 

* Security has a market value of $0.

 

 

 

SMid Cap Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 99.0%
Financial - 29.4%
Alleghany Corp.   16,209   $9,785,211 
Voya Financial, Inc.   156,188    9,185,416 
First Horizon National Corp.   574,471    7,330,250 
Pinnacle Financial Partners, Inc.   108,970    7,017,668 
Physicians Realty Trust REIT   382,791    6,813,680 
Synovus Financial Corp.   196,044    6,345,944 
KeyCorp   369,478    6,063,134 
Alexandria Real Estate Equities, Inc. REIT   33,157    5,909,241 
Radian Group, Inc.   291,727    5,907,472 
Zions Bancorp North America   131,869    5,728,390 
Axis Capital Holdings Ltd.   107,781    5,431,085 
VICI Properties, Inc. REIT   165,679    4,224,815 
BOK Financial Corp.   61,596    4,218,094 
Sun Communities, Inc. REIT   24,554    3,730,980 
Hilltop Holdings, Inc.   114,190    3,141,367 
Stifel Financial Corp.   61,031    3,079,599 
Heritage Insurance Holdings, Inc.   280,423    2,840,685 
Medical Properties Trust, Inc. REIT   124,560    2,714,162 
WSFS Financial Corp.   58,857    2,641,502 
Apple Hospitality REIT, Inc.   191,498    2,472,239 
Old Republic International Corp.   109,037    2,149,119 
Park Hotels & Resorts, Inc. REIT   119,020    2,041,193 
Heartland Financial USA, Inc.   48,817    1,970,742 
Gaming and Leisure Properties, Inc. REIT   46,248    1,960,915 
American National Group, Inc.   18,227    1,751,979 
Total Financial        114,454,882 
Industrial - 19.7%          
MDU Resources Group, Inc.   248,591    6,547,887 
Plexus Corp.*   64,539    5,047,595 
Jacobs Engineering Group, Inc.   45,754    4,985,356 
Valmont Industries, Inc.   27,829    4,868,127 
Owens Corning   64,145    4,859,625 
Knight-Swift Transportation Holdings, Inc.   113,408    4,742,722 
Graphic Packaging Holding Co.   279,720    4,738,457 
PGT Innovations, Inc.*   202,963    4,128,267 
Rexnord Corp.   102,246    4,037,695 
Aerojet Rocketdyne Holdings, Inc.*   69,898    3,694,110 
EnerSys   43,436    3,607,794 
Johnson Controls International plc   76,754    3,575,969 
Colfax Corp.*   78,287    2,993,695 
Curtiss-Wright Corp.   25,342    2,948,542 
Kirby Corp.*   47,573    2,465,709 
Kennametal, Inc.   66,439    2,407,749 
Altra Industrial Motion Corp.   41,928    2,324,069 
GATX Corp.   27,068    2,251,516 
Terex Corp.   55,895    1,950,177 
Park Aerospace Corp.   143,193    1,920,218 
Crane Co.   17,560    1,363,709 
Schneider National, Inc. — Class B   65,740    1,360,818 
Total Industrial        76,819,806 
Consumer, Cyclical - 14.0%          
LKQ Corp.*   169,119    5,959,753 
MSC Industrial Direct Company, Inc. — Class A   52,550    4,434,694 
PVH Corp.   42,818    4,020,182 
Alaska Air Group, Inc.   75,819    3,942,588 
UniFirst Corp.   18,003    3,811,055 
Ralph Lauren Corp. — Class A   31,603    3,278,495 
DR Horton, Inc.   46,692    3,218,013 
Tapestry, Inc.*   96,928    3,012,522 
Lear Corp.   17,436    2,772,847 
Penske Automotive Group, Inc.   45,617    2,709,194 
Kohl's Corp.   60,871    2,476,841 
Methode Electronics, Inc.   62,648    2,398,165 
BorgWarner, Inc.   58,870    2,274,737 
Dick's Sporting Goods, Inc.   37,038    2,081,906 
Skechers USA, Inc. — Class A*   55,597    1,998,156 
Urban Outfitters, Inc.*   74,659    1,911,271 
Meritage Homes Corp.*   19,300    1,598,426 
Movado Group, Inc.*   80,698    1,341,201 
Dana, Inc.   61,074    1,192,165 
Total Consumer, Cyclical        54,432,211 
Consumer, Non-cyclical - 10.9%          
Bunge Ltd.   128,258    8,411,160 
Encompass Health Corp.   87,893    7,267,872 
Emergent BioSolutions, Inc.*   53,452    4,789,299 
Sabre Corp.*   353,636    4,250,705 
Ingredion, Inc.   53,258    4,189,807 
Central Garden & Pet Co. — Class A*   100,456    3,649,566 
US Foods Holding Corp.*   104,944    3,495,685 
Integer Holdings Corp.*   40,418    3,281,537 
MGP Ingredients, Inc.   64,898    3,054,100 
Total Consumer, Non-cyclical        42,389,731 
Basic Materials - 8.6%          
Huntsman Corp.   221,662    5,572,583 
Ashland Global Holdings, Inc.   64,211    5,085,511 
Westlake Chemical Corp.   59,218    4,832,189 
Reliance Steel & Aluminum Co.   36,971    4,427,278 
Olin Corp.   156,106    3,833,963 
Commercial Metals Co.   139,802    2,871,533 
Element Solutions, Inc.   156,948    2,782,688 
Nucor Corp.   39,296    2,090,154 
Kraton Corp.*   69,755    1,938,491 
Total Basic Materials        33,434,390 
Utilities - 4.7%          
Pinnacle West Capital Corp.   42,487    3,396,836 
Black Hills Corp.   54,696    3,361,069 
Avista Corp.   79,710    3,199,559 
Southwest Gas Holdings, Inc.   50,360    3,059,370 
Edison International   44,188    2,775,890 
Spire, Inc.   42,220    2,703,769 
Total Utilities        18,496,493 
Technology - 4.3%          
Evolent Health, Inc. — Class A*   384,621    6,165,474 
Qorvo, Inc.*   28,398    4,721,736 
Science Applications International Corp.   31,711    3,001,129 
Skyworks Solutions, Inc.   19,123    2,923,524 
Total Technology        16,811,863 
Communications - 4.0%          
Infinera Corp.*   866,923    9,085,353 

 

 

 

SMid Cap Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 99.0% (continued)
Communications - 4.0% (continued)
Viavi Solutions, Inc.*   282,669   $4,232,968 
Ciena Corp.*   43,648    2,306,797 
Total Communications        15,625,118 
Energy - 3.4%          
Parsley Energy, Inc. — Class A   579,782    8,232,905 
Range Resources Corp.*   418,464    2,803,709 
Patterson-UTI Energy, Inc.   401,712    2,113,005 
HydroGen Corp.*,†††,1   1,265,700    1 
Total Energy        13,149,620 
Total Common Stocks          
(Cost $325,093,142)        385,614,114 
           
CONVERTIBLE PREFERRED STOCKS††† - 0.0%          
Industrial - 0.0%          
Thermoenergy Corp.*,2   1,652,084    106 
Total Convertible Preferred Stocks          
(Cost $1,577,634)        106 
           
RIGHTS - 0.1%          
Basic Materials - 0.1%          
Pan American Silver Corp.   516,551    426,155 
Total Rights          
(Cost $–)        426,155 
           
EXCHANGE-TRADED FUNDS - 0.5%          
iShares Russell 2000 Value ETF   14,766    1,945,420 
Total Exchange-Traded Funds          
(Cost $1,262,585)        1,945,420 
           
MONEY MARKET FUND - 0.4%          
Dreyfus Treasury Securities Cash Management Fund — Institutional Shares, 0.01%3   1,644,769    1,644,769 
Total Money Market Fund          
(Cost $1,644,769)        1,644,769 
Total Investments - 100.0%          
(Cost $329,578,130)       $389,630,564 
Other Assets & Liabilities, net - 0.0%        (138,830)
Total Net Assets - 100.0%       $389,491,734 

 

* Non-income producing security.
Value determined based on Level 1 inputs, unless otherwise noted — See Note 3.
††† Value determined based on Level 3 inputs — See Note 3.
1 Affiliated issuer.
2 PIPE (Private Investment in Public Equity) - Stock issued by a company in the secondary market as a means of raising capital more quickly and less expensively than through registration of a secondary public offering.
3 Rate indicated is the 7-day yield as of December 31, 2020.

 

plc — Public Limited Company

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $385,614,113   $   $1   $385,614,114 
Convertible Preferred Stocks           106    106 
Rights   426,155            426,155 
Exchange-Traded Funds   1,945,420            1,945,420 
Money Market Fund   1,644,769            1,644,769 
Total Assets  $389,630,457   $   $107   $389,630,564 

 

 

 

SMid Cap Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments, result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

Transactions during the period ended December 31, 2020, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
09/30/20
   Additions   Reductions   Realized
Gain
(Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
   Value
12/31/20
   Shares
12/31/20
 
Common Stock                    
HydroGen Corp. *  $2   $   $   $   $(1)  $1    1,265,700 

 

* Non-income producing security.

 

 

 

StylePlus—Large Core Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 15.6%
Consumer, Non-cyclical - 5.0%
Johnson & Johnson   5,494   $864,646 
Merck & Company, Inc.   7,148    584,706 
UnitedHealth Group, Inc.   1,468    514,798 
Bristol-Myers Squibb Co.   8,188    507,902 
Amgen, Inc.   2,201    506,054 
Pfizer, Inc.   12,776    470,285 
AbbVie, Inc.   4,008    429,457 
Philip Morris International, Inc.   4,895    405,257 
Altria Group, Inc.   8,263    338,783 
Procter & Gamble Co.   2,389    332,406 
Eli Lilly & Co.   1,957    330,420 
Kraft Heinz Co.   8,735    302,755 
Molson Coors Beverage Co. — Class B   6,439    290,978 
Gilead Sciences, Inc.   4,984    290,368 
CVS Health Corp.   4,195    286,518 
United Rentals, Inc.*   1,198    277,828 
McKesson Corp.   1,563    271,837 
AmerisourceBergen Corp. — Class A   2,779    271,675 
Anthem, Inc.   814    261,367 
Quanta Services, Inc.   3,618    260,568 
General Mills, Inc.   4,405    259,014 
Cigna Corp.   1,120    233,162 
Humana, Inc.   568    233,034 
Alexion Pharmaceuticals, Inc.*   1,480    231,235 
DaVita, Inc.*   1,868    219,303 
HCA Healthcare, Inc.   1,278    210,180 
PayPal Holdings, Inc.*   852    199,539 
Laboratory Corporation of America Holdings*   917    186,655 
Vertex Pharmaceuticals, Inc.*   704    166,383 
Tyson Foods, Inc. — Class A   2,384    153,625 
Cardinal Health, Inc.   2,851    152,699 
Becton Dickinson and Co.   585    146,379 
Kroger Co.   4,541    144,222 
Kimberly-Clark Corp.   1,056    142,380 
Universal Health Services, Inc. — Class B   959    131,863 
Biogen, Inc.*   529    129,531 
J M Smucker Co.   1,096    126,698 
Regeneron Pharmaceuticals, Inc.*   258    124,643 
Colgate-Palmolive Co.   1,424    121,766 
Conagra Brands, Inc.   3,221    116,793 
Campbell Soup Co.   2,210    106,854 
Quest Diagnostics, Inc.   857    102,129 
Viatris, Inc.*   1    18 
Total Consumer, Non-cyclical        11,436,713 
Technology - 4.0%          
Apple, Inc.   16,961    2,250,555 
Microsoft Corp.   8,012    1,782,029 
Intel Corp.   10,064    501,389 
International Business Machines Corp.   3,876    487,911 
Broadcom, Inc.   1,056    462,370 
Oracle Corp.   6,348    410,652 
Cerner Corp.   4,985    391,223 
Texas Instruments, Inc.   2,377    390,137 
Seagate Technology plc   5,551    345,050 
HP, Inc.   12,117    297,957 
NetApp, Inc.   4,338    287,349 
Applied Materials, Inc.   2,442    210,745 
Accenture plc — Class A   759    198,259 
QUALCOMM, Inc.   1,263    192,405 
NVIDIA Corp.   324    169,193 
KLA Corp.   631    163,372 
Cognizant Technology Solutions Corp. — Class A   1,914    156,852 
Micron Technology, Inc.*   2,058    154,720 
Microchip Technology, Inc.   901    124,437 
Advanced Micro Devices, Inc.*   758    69,516 
Total Technology        9,046,121 
Communications - 2.8%          
Amazon.com, Inc.*   442    1,439,563 
Alphabet, Inc. — Class C*   671    1,175,512 
Verizon Communications, Inc.   10,585    621,869 
Facebook, Inc. — Class A*   2,231    609,420 
Cisco Systems, Inc.   13,257    593,251 
Comcast Corp. — Class A   6,014    315,133 
AT&T, Inc.   10,757    309,371 
T-Mobile US, Inc.*   2,056    277,251 
Juniper Networks, Inc.   11,229    252,765 
Motorola Solutions, Inc.   1,079    183,495 
Walt Disney Co.*   948    171,759 
Corning, Inc.   3,824    137,664 
Omnicom Group, Inc.   2,206    137,588 
eBay, Inc.   2,511    126,178 
Total Communications        6,350,819 
Financial - 1.5%          
Berkshire Hathaway, Inc. — Class B*   2,488    576,892 
JPMorgan Chase & Co.   3,586    455,673 
Bank of America Corp.   13,506    409,367 
MetLife, Inc.   8,058    378,323 
Allstate Corp.   2,732    300,329 
Visa, Inc. — Class A   1,301    284,568 
Travelers Companies, Inc.   1,451    203,677 
Western Union Co.   9,097    199,588 
Mastercard, Inc. — Class A   491    175,257 
Ameriprise Financial, Inc.   806    156,630 
Hartford Financial Services Group, Inc.   2,907    142,385 
Aflac, Inc.   2,396    106,550 
Total Financial        3,389,239 
Consumer, Cyclical - 1.0%          
Lowe's Companies, Inc.   2,623    421,018 
Best Buy Company, Inc.   2,518    251,271 
AutoZone, Inc.*   205    243,015 
Walmart, Inc.   1,656    238,713 
Genuine Parts Co.   2,298    230,788 
PACCAR, Inc.   2,014    173,768 
Lennar Corp. — Class A   2,049    156,195 
PulteGroup, Inc.   3,519    151,739 
Cummins, Inc.   556    126,268 
LKQ Corp.*   3,263    114,988 
General Motors Co.   2,477    103,142 
Whirlpool Corp.   565    101,977 
Total Consumer, Cyclical        2,312,882 

 

 

 

StylePlus—Large Core Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 15.6% (continued)
Industrial - 1.0%
TE Connectivity Ltd.   3,108   $376,286 
Caterpillar, Inc.   1,275    232,075 
Lockheed Martin Corp.   634    225,057 
3M Co.   1,277    223,207 
General Dynamics Corp.   1,428    212,515 
Snap-on, Inc.   1,230    210,502 
Textron, Inc.   3,472    167,802 
General Electric Co.   13,852    149,601 
Waters Corp.*   600    148,452 
Northrop Grumman Corp.   413    125,850 
Huntington Ingalls Industries, Inc.   636    108,425 
Total Industrial        2,179,772 
Utilities - 0.3%          
Evergy, Inc.   5,317    295,147 
Public Service Enterprise Group, Inc.   3,530    205,799 
PPL Corp.   5,053    142,494 
Exelon Corp.   2,931    123,747 
Total Utilities        767,187 
Total Common Stocks          
(Cost $29,505,509)        35,482,733 
           
MUTUAL FUNDS - 78.5%          
Guggenheim Strategy Fund II1   2,820,802    70,407,215 
Guggenheim Strategy Fund III1   2,276,819    57,148,144 
Guggenheim Ultra Short Duration Fund — Institutional Class1   5,083,056    50,728,901 
Total Mutual Funds          
(Cost $177,073,653)        178,284,260 
           
MONEY MARKET FUND - 5.4%          
Dreyfus Treasury Securities Cash Management Fund — Institutional Shares, 0.01%2   12,155,402    12,155,402 
Total Money Market Fund          
(Cost $12,155,402)        12,155,402 
Total Investments - 99.5%          
(Cost $218,734,564)       $225,922,395 
Other Assets & Liabilities, net - 0.5%        1,118,811 
Total Net Assets - 100.0%       $227,041,206 

 

Futures Contracts           
Description  Number of
Contracts
  Expiration
Date
  Notional
Amount
   Value and Unrealized
Appreciation**
 
Equity Futures Contracts Purchased    
S&P 500 Index Mini Futures Contracts  17  Mar 2021  $3,182,613   $48,435 

 

Total Return Swap Agreements              
Counterparty  Index  Financing
Rate Pay
  Payment
Frequency
  Maturity
Date
  Units  Notional
Amount
   Value and
Unrealized
Appreciation
 
OTC Equity Index Swap Agreements††              
Wells Fargo Bank, N.A.  S&P 500 Total Return Index  0.39% (1 Month USD LIBOR + 0.24%)  At Maturity  12/02/21  24,306  $188,576,643   $24,879,695 

 

* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Affiliated issuer.
2 Rate indicated is the 7-day yield as of December 31, 2020.

 

LIBOR — London Interbank Offered Rate

plc — Public Limited Company

 

See Sector Classification in Other Information section.

 

 

 

StylePlus—Large Core Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $35,482,733   $   $   $35,482,733 
Mutual Funds   178,284,260            178,284,260 
Money Market Fund   12,155,402            12,155,402 
Equity Futures Contracts**   48,435            48,435 
Equity Index Swap Agreements**       24,879,695        24,879,695 
Total Assets  $225,970,830   $24,879,695   $   $250,850,525 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments (“GI”), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III, (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles' annual report on Form N-CSR dated September 30, 2020, is available publicly or upon request. This information is available from the EDGAR database on the SEC's website at https://www.sec.gov/Archives/edgar/data/1601445/000182126820000133/gug81042-ncsr.htm.

 

Transactions during the period ended December 31, 2020, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
09/30/20
   Additions   Reductions   Realized
Gain
(Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
   Value
12/31/20
   Shares
12/31/20
   Investment
Income
 
Mutual Funds                        
Guggenheim Strategy Fund II  $70,019,609   $415,649   $   $   $(28,043)  $70,407,215    2,820,802   $408,810 
Guggenheim Strategy Fund III   56,791,001    289,034            68,109    57,148,144    2,276,819    282,465 
Guggenheim Ultra Short Duration Fund — Institutional Class   42,225,877    12,423,413    (3,921,989)   82,284    (80,684)   50,728,901    5,083,056    130,733 
   $169,036,487   $13,128,096   $(3,921,989)  $82,284   $(40,618)  $178,284,260        $822,008 

 

 

 

StylePlus—Mid Growth Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 15.3%
Consumer, Non-cyclical - 4.4%
Chemed Corp.   554   $295,066 
Jazz Pharmaceuticals plc*   1,353    223,313 
Charles River Laboratories International, Inc.*   875    218,627 
Encompass Health Corp.   2,467    203,996 
Bio-Techne Corp.   555    176,240 
PRA Health Sciences, Inc.*   1,361    170,724 
Masimo Corp.*   628    168,543 
Amedisys, Inc.*   514    150,772 
Exelixis, Inc.*   7,016    140,811 
Integra LifeSciences Holdings Corp.*   2,017    130,944 
Repligen Corp.*   644    123,410 
Hill-Rom Holdings, Inc.   1,218    119,327 
LHC Group, Inc.*   549    117,113 
STERIS plc   604    114,482 
Syneos Health, Inc.*   1,664    113,368 
Post Holdings, Inc.*   1,092    110,303 
Quanta Services, Inc.   1,526    109,903 
Arrowhead Pharmaceuticals, Inc.*   1,400    107,422 
ICU Medical, Inc.*   493    105,743 
United Rentals, Inc.*   450    104,359 
Quidel Corp.*   575    103,299 
Globus Medical, Inc. — Class A*   1,576    102,787 
Boston Beer Company, Inc. — Class A*   101    100,423 
Kimberly-Clark Corp.   639    86,156 
WEX, Inc.*   422    85,890 
Darling Ingredients, Inc.*   1,464    84,444 
Emergent BioSolutions, Inc.*   879    78,758 
Service Corporation International   1,508    74,043 
Tyson Foods, Inc. — Class A   1,139    73,397 
Vertex Pharmaceuticals, Inc.*   297    70,193 
HealthEquity, Inc.*   988    68,873 
Dentsply Sirona, Inc.   1,308    68,487 
Campbell Soup Co.   1,372    66,336 
Haemonetics Corp.*   549    65,194 
Hologic, Inc.*   882    64,236 
LivaNova plc*   967    64,025 
Baxter International, Inc.   768    61,624 
McKesson Corp.   343    59,654 
Ligand Pharmaceuticals, Inc. — Class B*   597    59,372 
Molina Healthcare, Inc.*   241    51,256 
CoreLogic, Inc.   622    48,093 
Incyte Corp.*   550    47,839 
Cardinal Health, Inc.   859    46,008 
United Therapeutics Corp.*   276    41,894 
Regeneron Pharmaceuticals, Inc.*   86    41,548 
Helen of Troy Ltd.*   184    40,883 
Total Consumer, Non-cyclical        4,759,178 
Industrial - 3.6%          
Trimble, Inc.*   3,351    223,746 
Hubbell, Inc.   1,227    192,381 
AGCO Corp.   1,746    179,995 
Timken Co.   2,310    178,702 
ITT, Inc.   2,127    163,822 
Carlisle Companies, Inc.   1,020    159,304 
Lincoln Electric Holdings, Inc.   1,294    150,427 
Cognex Corp.   1,778    142,747 
Generac Holdings, Inc.*   598    135,991 
TE Connectivity Ltd.   1,039    125,792 
EMCOR Group, Inc.   1,208    110,484 
Waters Corp.*   430    106,391 
Knight-Swift Transportation Holdings, Inc.   2,509    104,926 
Trex Company, Inc.*   1,142    95,608 
PerkinElmer, Inc.   662    94,997 
Oshkosh Corp.   1,097    94,419 
Lennox International, Inc.   339    92,876 
Curtiss-Wright Corp.   798    92,847 
Woodward, Inc.   741    90,054 
TopBuild Corp.*   489    90,015 
Axon Enterprise, Inc.*   712    87,241 
II-VI, Inc.*   1,118    84,923 
Energizer Holdings, Inc.   2,007    84,655 
Owens Corning   1,039    78,715 
Jabil, Inc.   1,628    69,239 
Huntington Ingalls Industries, Inc.   402    68,533 
National Instruments Corp.   1,552    68,195 
Masco Corp.   1,221    67,069 
Clean Harbors, Inc.*   863    65,674 
Graco, Inc.   891    64,464 
Valmont Industries, Inc.   358    62,625 
MasTec, Inc.*   864    58,907 
Werner Enterprises, Inc.   1,332    52,241 
XPO Logistics, Inc.*   413    49,230 
Northrop Grumman Corp.   145    44,184 
Littelfuse, Inc.   163    41,510 
MSA Safety, Inc.   271    40,485 
Nordson Corp.   199    39,989 
Universal Display Corp.   169    38,836 
Eagle Materials, Inc.   328    33,243 
Toro Co.   333    31,582 
Total Industrial        3,857,064 
Technology - 2.3%          
Fair Isaac Corp.*   341    174,265 
Cerner Corp.   2,012    157,902 
Monolithic Power Systems, Inc.   415    151,986 
MKS Instruments, Inc.   999    150,300 
Lumentum Holdings, Inc.*   1,566    148,457 
CDK Global, Inc.   2,695    139,682 
Cree, Inc.*   1,284    135,976 
Seagate Technology plc   2,019    125,501 
J2 Global, Inc.*   1,225    119,670 
CACI International, Inc. — Class A*   472    117,684 
PTC, Inc.*   969    115,902 
NetApp, Inc.   1,710    113,270 
ACI Worldwide, Inc.*   2,852    109,602 
Cirrus Logic, Inc.*   1,332    109,490 
Perspecta, Inc.   4,019    96,777 
Teradata Corp.*   4,143    93,093 
Silicon Laboratories, Inc.*   712    90,666 
Manhattan Associates, Inc.*   716    75,309 
Synaptics, Inc.*   716    69,022 
NCR Corp.*   1,819    68,340 

 

 

 

StylePlus—Mid Growth Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 15.3% (continued)
Technology - 2.3% (continued)
Blackbaud, Inc.   1,153   $66,367 
Semtech Corp.*   569    41,019 
Ceridian HCM Holding, Inc.*   314    33,460 
Total Technology        2,503,740 
Consumer, Cyclical - 2.0%          
Gentex Corp.   6,043    205,039 
AutoZone, Inc.*   133    157,664 
Polaris, Inc.   1,404    133,773 
Deckers Outdoor Corp.*   465    133,353 
Williams-Sonoma, Inc.   1,216    123,837 
Caesars Entertainment, Inc.*   1,637    121,580 
Lithia Motors, Inc. — Class A   396    115,897 
Brunswick Corp.   1,396    106,431 
RH*   222    99,349 
Visteon Corp.*   757    95,019 
Tempur Sealy International, Inc.*   3,466    93,582 
PACCAR, Inc.   1,003    86,539 
Wyndham Hotels & Resorts, Inc.   1,396    82,978 
PulteGroup, Inc.   1,585    68,345 
O'Reilly Automotive, Inc.*   143    64,718 
LKQ Corp.*   1,710    60,260 
Leggett & Platt, Inc.   1,200    53,160 
IAA, Inc.*   759    49,320 
Scotts Miracle-Gro Co. — Class A   246    48,988 
Mattel, Inc.*   2,742    47,848 
Penn National Gaming, Inc.*   537    46,381 
Five Below, Inc.*   250    43,745 
Carter's, Inc.   456    42,896 
KB Home   1,241    41,598 
Texas Roadhouse, Inc. — Class A   500    39,080 
Total Consumer, Cyclical        2,161,380 
Financial - 1.2%          
Stifel Financial Corp.   2,667    134,577 
RenaissanceRe Holdings Ltd.   789    130,832 
Evercore, Inc. — Class A   1,038    113,806 
Primerica, Inc.   796    106,608 
Western Union Co.   4,153    91,117 
Brown & Brown, Inc.   1,743    82,636 
Ameriprise Financial, Inc.   405    78,704 
Medical Properties Trust, Inc. REIT   3,105    67,658 
CyrusOne, Inc. REIT   920    67,298 
PROG Holdings, Inc.   1,095    58,988 
Brighthouse Financial, Inc.*   1,417    51,302 
Interactive Brokers Group, Inc. — Class A   818    49,832 
SLM Corp.   3,304    40,936 
Essent Group Ltd.   899    38,837 
EastGroup Properties, Inc. REIT   235    32,444 
American Campus Communities, Inc. REIT   753    32,206 
STORE Capital Corp. REIT   908    30,854 
Commerce Bancshares, Inc.   462    30,354 
Camden Property Trust REIT   296    29,576 
Total Financial        1,268,565 
Communications - 0.8%          
Ciena Corp.*   2,974    157,176 
FactSet Research Systems, Inc.   413    137,322 
Cable One, Inc.   46    102,475 
Corning, Inc.   1,727    62,172 
Yelp, Inc. — Class A*   1,769    57,793 
Motorola Solutions, Inc.   327    55,610 
GrubHub, Inc.*   692    51,395 
New York Times Co. — Class A   988    51,149 
Interpublic Group of Companies, Inc.   2,035    47,863 
eBay, Inc.   894    44,924 
Omnicom Group, Inc.   717    44,719 
Total Communications        812,598 
Energy - 0.7%          
Enphase Energy, Inc.*   1,508    264,609 
SolarEdge Technologies, Inc.*   693    221,150 
Sunrun, Inc.*   1,940    134,597 
First Solar, Inc.*   888    87,841 
Murphy USA, Inc.   310    40,570 
Total Energy        748,767 
Utilities - 0.3%          
ONE Gas, Inc.   1,366    104,868 
Hawaiian Electric Industries, Inc.   2,664    94,279 
IDACORP, Inc.   939    90,172 
Total Utilities        289,319 
Basic Materials - 0.0%          
RPM International, Inc.   550    49,929 
Total Common Stocks          
(Cost $13,573,299)        16,450,540 
           
MUTUAL FUNDS - 80.9%          
Guggenheim Strategy Fund II1   1,269,161    31,678,266 
Guggenheim Ultra Short Duration Fund — Institutional Class1   3,149,882    31,435,827 
Guggenheim Strategy Fund III1   948,010    23,795,040 
Total Mutual Funds          
(Cost $86,308,250)        86,909,133 
           
MONEY MARKET FUND - 4.2%          
Dreyfus Treasury Securities Cash Management Fund — Institutional Shares, 0.01%2   4,471,068    4,471,068 
Total Money Market Fund          
(Cost $4,471,068)        4,471,068 
Total Investments - 100.4%          
(Cost $104,352,617)       $107,830,741 
Other Assets & Liabilities, net - (0.4)%        (390,420)
Total Net Assets - 100.0%       $107,440,321 

 

 

 

StylePlus—Mid Growth Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Futures Contracts           
Description  Number of
Contracts
  Expiration
Date
  Notional
Amount
   Value and
Unrealized
Appreciation**
 
Equity Futures Contracts Purchased    
NASDAQ-100 Index Mini Futures Contracts  1  Mar 2021  $257,385   $5,495 
S&P MidCap 400 Index Mini Futures Contracts  3  Mar 2021   690,780    5,480 
S&P 500 Index Mini Futures Contracts  1  Mar 2021   187,213    2,849 
         $1,135,378   $13,824 

 

Total Return Swap Agreements              
Counterparty  Index  Financing
Rate Pay
  Payment
Frequency
  Maturity
Date
  Units  Notional
Amount
   Value and
Unrealized
Appreciation
 
OTC Equity Index Swap Agreements††              
Citibank N.A., New York  Russell MidCap Growth Index Total Return  0.36% (1 Month USD LIBOR + 0.21%)  At Maturity  12/02/21  18,370  $91,053,477   $14,456,088 

 

* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Affiliated issuer.
2 Rate indicated is the 7-day yield as of December 31, 2020.

 

LIBOR — London Interbank Offered Rate

plc — Public Limited Company

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $16,450,540   $   $   $16,450,540 
Mutual Funds   86,909,133            86,909,133 
Money Market Fund   4,471,068            4,471,068 
Equity Futures Contracts**   13,824            13,824 
Equity Index Swap Agreements**       14,456,088        14,456,088 
Total Assets  $107,844,565   $14,456,088   $   $122,300,653 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

 

 

 

StylePlus—Mid Growth Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments (“GI”), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III, (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles' annual report on Form N-CSR dated September 30, 2020, is available publicly or upon request. This information is available from the EDGAR database on the SEC's website at https://www.sec.gov/Archives/edgar/data/1601445/000182126820000133/gug81042-ncsr.htm.

 

Transactions during the period ended December 31, 2020, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
09/30/20
   Additions   Reductions   Realized
Gain
(Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
   Value
12/31/20
   Shares
12/31/20
   Investment
Income
 
Mutual Funds                        
Guggenheim Strategy Fund II  $29,104,012   $2,585,911   $   $   $(11,657)  $31,678,266    1,269,161   $182,834 
Guggenheim Strategy Fund III   23,646,335    120,346            28,359    23,795,040    948,010    117,613 
Guggenheim Ultra Short Duration Fund — Institutional Class   20,960,246    11,547,632    (1,077,996)   34,634    (28,689)   31,435,827    3,149,882    72,993 
   $73,710,593   $14,253,889   $(1,077,996)  $34,634   $(11,987)  $86,909,133        $373,440 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 1.1%
Financial - 1.1%
Pershing Square Tontine Holdings, Ltd. — Class A*   9,249,470   $256,395,308 
Industrial - 0.0%          
API Heat Transfer Parent LLC*,†††   42,528    3,300 
BP Holdco LLC*,†††,1   532    188 
Vector Phoenix Holdings, LP*,†††   532    52 
Total Industrial        3,540 
Total Common Stocks          
(Cost $179,174,056)        256,398,848 
           
PREFERRED STOCKS†† - 1.2%          
Financial - 1.2%          
Public Storage,
4.63%
   1,842,400    50,002,736 
   4.13%   426,000    11,557,380 
Wells Fargo & Co.,
4.70%
   2,184,000    57,613,920 
Bank of America Corp.,
4.38%*
   1,552,000    41,205,600 
American Financial Group, Inc.,
4.50% due 09/15/60
   1,292,800    36,030,336 
First Republic Bank,
4.13%
   798,800    21,120,272 
CNO Financial Group, Inc.,
5.13% due 11/25/60*
   712,000    18,704,240 
Assurant, Inc.,
5.25% due 01/15/61*
   558,400    15,277,824 
Selective Insurance Group, Inc.,
4.60%*
   538,000    13,901,920 
W R Berkley Corp.,
4.25% due 09/30/60
   376,400    9,891,792 
Total Financial        275,306,020 
Industrial - 0.0%          
API Heat Transfer Intermediate*,†††   9    4,625 
Total Preferred Stocks          
(Cost $257,027,237)        275,310,645 
           
WARRANTS - 0.0%          
Pershing Square Tontine Holdings, Ltd.          
$23.00, 07/24/25*   1,027,719    9,866,101 
Total Warrants          
(Cost $5,836,416)        9,866,101 
           
EXCHANGE-TRADED FUNDS - 4.8%          
iShares iBoxx $ Investment Grade Corporate Bond ETF   6,910,385    954,531,480 
iShares iBoxx High Yield Corporate Bond ETF   2,322,190    202,727,187 
Total Exchange-Traded Funds          
(Cost $1,045,267,460)        1,157,258,667 
           
MUTUAL FUNDS - 0.3%          
Guggenheim Strategy Fund II1   1,078,161    26,910,894 
Guggenheim Ultra Short Duration Fund — Institutional Class1   2,668,312    26,629,752 
Guggenheim Strategy Fund III1   579,660    14,549,456 
Total Mutual Funds          
(Cost $67,927,941)        68,090,102 
           
CLOSED-END FUNDS - 0.1%          
BlackRock MuniHoldings California Quality Fund, Inc.   612,605    9,189,075 
BlackRock MuniYield California Quality Fund, Inc.   434,289    6,499,135 
Total Closed-End Funds          
(Cost $15,469,332)        15,688,210 
           
MONEY MARKET FUND - 0.8%          
Federated Hermes U.S. Treasury Cash Reserves Fund — Institutional Shares, 0.01%3   203,647,857    203,647,857 
Total Money Market Fund          
(Cost $203,647,857)        203,647,857 
           
    Face
Amount~
      
CORPORATE BONDS†† - 47.4%          
Financial -  18.2%          
American International Group, Inc.          
3.40% due 06/30/30   78,220,000    89,628,529 
4.38% due 06/30/50   65,480,000    85,737,426 
2.50% due 06/30/25   2,370,000    2,547,742 
Wells Fargo & Co.          
3.07% due 04/30/414   126,490,000    137,595,701 
2.57% due 02/11/314   18,410,000    19,534,190 
Bank of America Corp.          
2.59% due 04/29/314   100,240,000    107,433,061 
2.68% due 06/19/414   43,300,000    45,114,121 
0.81% (U.S. Secured Overnight Financing Rate + 0.73%, Rate Floor: 0.00%) due 10/24/245   1,660,000    1,672,440 
JPMorgan Chase & Co.          
3.11% due 04/22/414   55,390,000    61,913,071 
2.96% due 05/13/314   29,530,000    32,382,332 
4.49% due 03/24/314   25,750,000    31,675,795 
2.52% due 04/22/314   24,520,000    26,355,618 
Citizens Financial Group, Inc.          
3.25% due 04/30/30   124,980,000    140,839,903 
2.50% due 02/06/30   9,567,000    10,166,966 
Nationwide Mutual Insurance Co.          
4.35% due 04/30/506   116,750,000    137,148,808 
Charles Schwab Corp.          
4.00% 2,4   71,300,000    75,043,250 
5.38% 2,4   47,950,000    53,404,312 
Five Corners Funding Trust II          
2.85% due 05/15/306   100,083,000    110,712,913 
Citigroup, Inc.          
2.57% due 06/03/314   72,390,000    77,157,618 
4.00% 2,4   26,300,000    26,990,375 
Macquarie Bank Ltd.          
3.62% due 06/03/306   93,035,000    101,851,393 
Reliance Standard Life Global Funding II          
2.75% due 05/07/256   96,010,000    101,836,968 
Wilton RE Ltd.          
6.00% †††,2,4,6   93,150,000    96,506,194 
Reinsurance Group of America, Inc.          
3.15% due 06/15/30   84,319,000    92,195,831 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 47.4% (continued)
Financial -  18.2% (continued)        
Pershing Square Holdings Ltd.        
3.25% due 11/15/306   68,200,000   $68,917,674 
5.50% due 07/15/226   21,300,000    22,493,865 
Markel Corp.          
6.00% 2,4   82,170,000    90,900,562 
GLP Capital Limited Partnership / GLP Financing II, Inc.          
4.00% due 01/15/31   53,054,000    57,893,586 
5.30% due 01/15/29   28,165,000    32,585,497 
Lincoln National Corp.          
3.40% due 01/15/31   49,200,000    56,379,609 
4.38% due 06/15/50   18,680,000    24,074,617 
Prudential plc          
3.13% due 04/14/30   68,002,000    77,096,258 
Fidelity National Financial, Inc.          
3.40% due 06/15/30   52,430,000    57,577,163 
2.45% due 03/15/31   17,490,000    17,789,435 
Intercontinental Exchange, Inc.          
3.00% due 06/15/50   37,190,000    39,417,012 
2.65% due 09/15/40   34,550,000    35,459,529 
Equitable Holdings, Inc.          
4.95% 2,4   68,250,000    72,600,937 
BlackRock, Inc.          
1.90% due 01/28/31   68,550,000    71,753,373 
Iron Mountain, Inc.          
5.25% due 07/15/306   30,050,000    32,454,000 
5.63% due 07/15/326   13,350,000    14,718,375 
4.50% due 02/15/316   12,000,000    12,570,000 
5.00% due 07/15/286   5,275,000    5,604,002 
Standard Chartered plc          
4.64% due 04/01/314,6   51,325,000    62,087,835 
1.32% due 10/14/234,6   1,080,000    1,090,800 
Aflac, Inc.          
3.60% due 04/01/30   52,300,000    61,558,298 
KKR Group Finance Company VI LLC          
3.75% due 07/01/296   51,980,000    60,484,109 
OneAmerica Financial Partners, Inc.          
4.25% due 10/15/506   54,430,000    58,748,891 
Ares Finance Company II LLC          
3.25% due 06/15/306   54,415,000    57,604,956 
Host Hotels & Resorts, LP          
3.50% due 09/15/30   54,518,000    57,437,067 
MetLife, Inc.          
3.85% 2,4   53,040,000    55,957,200 
Deloitte LLP          
3.56% due 05/07/30†††    27,300,000    28,753,280 
3.76% due 05/07/35†††    10,200,000    10,707,529 
3.66% due 05/07/32†††   9,450,000    10,044,581 
7.33% due 11/20/26†††   4,800,000    5,985,225 
First American Financial Corp.          
4.00% due 05/15/30   46,550,000    53,358,918 
NFP Corp.          
6.88% due 08/15/286   25,275,000    26,985,612 
7.00% due 05/15/256   23,600,000    25,370,000 
Bank of New York Mellon Corp.          
3.70% 2,4   32,350,000    33,470,927 
4.70% 2,4   16,500,000    18,196,200 
Arch Capital Group Ltd.          
3.64% due 06/30/50   44,100,000    51,322,350 
Loews Corp.          
3.20% due 05/15/30   44,720,000    50,802,727 
Alleghany Corp.          
3.63% due 05/15/30   43,920,000    49,408,432 
Quicken Loans LLC / Quicken Loans Company-Issuer, Inc.          
3.88% due 03/01/316   46,650,000    48,399,375 
Visa, Inc.          
2.00% due 08/15/50   46,000,000    43,932,469 
Belrose Funding Trust          
2.33% due 08/15/306   41,850,000    43,070,398 
Everest Reinsurance Holdings, Inc.          
3.50% due 10/15/50   37,760,000    42,833,052 
Jefferies Group LLC          
2.75% due 10/15/32   40,440,000    42,441,442 
Teachers Insurance & Annuity Association of America          
3.30% due 05/15/506   38,500,000    41,954,345 
Massachusetts Mutual Life Insurance Co.          
3.38% due 04/15/506   37,950,000    41,457,027 
Liberty Mutual Group, Inc.          
3.95% due 05/15/606   33,870,000    40,427,244 
KKR Group Finance Company VIII LLC          
3.50% due 08/25/506   35,480,000    39,375,817 
Brookfield Finance, Inc.          
3.50% due 03/30/51   32,490,000    34,698,001 
4.85% due 03/29/29   1,410,000    1,727,304 
Cushman & Wakefield US Borrower LLC          
6.75% due 05/15/287   32,375,000    35,693,437 
PricewaterhouseCoopers LLP          
3.43% due 09/13/30†††   30,000,000    31,372,315 
Aon Corp.          
2.80% due 05/15/30   28,740,000    31,354,537 
Manulife Financial Corp.          
2.48% due 05/19/27   27,800,000    30,169,045 
Fifth Third Bancorp          
2.55% due 05/05/27   27,190,000    29,591,291 
Dyal Capital Partners III          
4.40% due 06/15/40†††   26,750,000    27,938,995 
Credit Suisse Group AG          
4.19% due 04/01/314,6   23,500,000    27,658,879 
Goldman Sachs Group, Inc.          
3.50% due 04/01/25   22,500,000    24,997,268 
0.63% (U.S. Secured Overnight Financing Rate + 0.54%) due 11/17/235   1,660,000    1,661,205 
Kemper Corp.          
2.40% due 09/30/30   22,380,000    22,784,156 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 47.4% (continued)
Financial -  18.2% (continued)        
National Australia Bank Ltd.        
2.33% due 08/21/306   22,400,000   $22,772,454 
Central Storage Safety Project Trust          
4.82% due 02/01/387   20,500,000    22,706,841 
Alexandria Real Estate Equities, Inc.          
4.90% due 12/15/30   17,450,000    22,206,453 
Allianz SE          
3.50%2,4,6   20,850,000    21,240,937 
Crown Castle International Corp.          
3.30% due 07/01/30   17,657,000    19,763,110 
Camden Property Trust          
2.80% due 05/15/30   17,000,000    18,879,503 
CNA Financial Corp.          
2.05% due 08/15/30   18,150,000    18,504,764 
Prudential Financial, Inc.          
3.70% due 10/01/504   17,050,000    18,035,149 
Australia & New Zealand Banking Group Ltd.          
2.57% due 11/25/354,6   17,400,000    17,750,970 
Westpac Banking Corp.          
2.96% due 11/16/40   16,600,000    17,676,909 
United Shore Financial Services LLC          
5.50% due 11/15/256   16,600,000    17,513,000 
Weyerhaeuser Co.          
4.00% due 04/15/30   14,424,000    17,081,245 
QBE Insurance Group Ltd.          
5.88%2,4,6   15,600,000    17,043,000 
W R Berkley Corp.          
4.00% due 05/12/50   13,105,000    15,986,394 
Apollo Management Holdings, LP          
2.65% due 06/05/306   14,407,000    14,725,925 
CIT Group, Inc.          
3.93% due 06/19/244   13,925,000    14,725,687 
PartnerRe Finance B LLC          
4.50% due 10/01/504   13,970,000    14,635,706 
Nasdaq, Inc.          
3.25% due 04/28/50   13,150,000    14,449,406 
Brown & Brown, Inc.          
2.38% due 03/15/31   11,960,000    12,517,496 
Protective Life Corp.          
3.40% due 01/15/306   11,440,000    12,335,459 
Ameriprise Financial, Inc.          
3.00% due 04/02/25   10,740,000    11,692,287 
New York Life Insurance Co.          
3.75% due 05/15/506   9,300,000    11,124,973 
Aviation Capital Group LLC          
2.88% due 01/20/226   10,691,000    10,825,390 
Fidelity & Guaranty Life Holdings, Inc.          
5.50% due 05/01/256   8,050,000    9,394,350 
American Equity Investment Life Holding Co.          
5.00% due 06/15/27   7,964,000    8,995,026 
Alliant Holdings Intermediate LLC / Alliant Holdings Company-Issuer          
4.25% due 10/15/276   7,975,000    8,154,437 
Hanover Insurance Group, Inc.          
2.50% due 09/01/30   7,070,000    7,379,155 
NFL Trust XI SPV          
3.53% due 10/05/35†††   7,000,000    6,878,034 
Assurant, Inc.          
1.50% (3 Month USD LIBOR + 1.25%) due 03/26/215   4,691,000    4,691,064 
6.75% due 02/15/34   1,450,000    1,763,540 
SBA Communications Corp.          
3.88% due 02/15/276   5,425,000    5,697,877 
HS Wildcat LLC           
3.83% due 12/31/50†††   5,000,000    5,000,000 
Atlas Mara Ltd.          
8.00% due 01/04/21†††   6,600,000    3,722,400 
KKR Group Finance Company III LLC          
5.13% due 06/01/446   2,710,000    3,557,269 
Fort Knox Military Housing Privatization Project          
5.82% due 02/15/526   1,896,322    2,314,148 
0.50% (1 Month USD LIBOR + 0.34%) due 02/15/525,6   1,701,357    1,051,292 
Western Group Housing, LP          
6.75% due 03/15/576   1,489,854    2,133,471 
Transatlantic Holdings, Inc.          
8.00% due 11/30/39   1,135,000    1,792,843 
Societe Generale S.A.          
1.49% due 12/14/264,6   1,650,000    1,664,576 
Equitable Financial Life Global Funding          
1.40% due 07/07/256   1,580,000    1,622,802 
Mid-Atlantic Military Family Communities LLC          
5.24% due 08/01/506   1,111,354    1,387,162 
Univest Financial Corp.          
3.76% (3 Month USD LIBOR + 3.54%) due 03/30/255   1,000,000    995,879 
Macquarie Group Ltd.          
5.03% due 01/15/304,6   800,000    966,626 
Atlantic Marine Corporations Communities LLC          
5.37% due 12/01/506   770,775    911,329 
Janus Capital Group, Inc.          
4.88% due 08/01/25   780,000    897,946 
Pacific Beacon LLC          
5.51% due 07/15/366   500,000    614,577 
Peachtree Corners Funding Trust          
3.98% due 02/15/256   215,000    238,396 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 47.4% (continued)
Financial -  18.2% (continued)        
Sompo International Holdings Ltd.        
4.70% due 10/15/22   140,000   $149,620 
Total Financial        4,384,809,467 
Consumer, Non-cyclical -  7.5%          
Sysco Corp.          
5.95% due 04/01/30   109,590,000    144,006,205 
6.60% due 04/01/40   1,440,000    2,106,369 
CoStar Group, Inc.          
2.80% due 07/15/306   90,690,000    94,230,182 
DaVita, Inc.          
4.63% due 06/01/306   47,150,000    50,037,938 
3.75% due 02/15/316   38,095,000    38,680,139 
Constellation Brands, Inc.          
2.88% due 05/01/30   59,320,000    65,001,640 
3.75% due 05/01/50   14,760,000    17,379,125 
Altria Group, Inc.          
3.40% due 05/06/30   47,320,000    53,092,857 
2.35% due 05/06/25   18,290,000    19,432,851 
4.45% due 05/06/50   6,120,000    7,235,242 
Quanta Services, Inc.          
2.90% due 10/01/30   71,770,000    76,948,673 
BAT Capital Corp.          
3.98% due 09/25/50   41,450,000    43,254,701 
4.70% due 04/02/27   22,390,000    26,327,820 
3.22% due 09/06/26   1,800,000    1,982,472 
Zimmer Biomet Holdings, Inc.          
3.55% due 03/20/30   60,550,000    68,565,749 
Kraft Heinz Foods Co.          
4.88% due 10/01/496   13,025,000    15,195,269 
4.38% due 06/01/46   13,090,000    14,162,659 
5.50% due 06/01/506   10,750,000    13,542,339 
4.25% due 03/01/316   10,850,000    12,098,375 
5.00% due 06/04/42   7,850,000    9,210,198 
5.20% due 07/15/45   1,930,000    2,294,875 
Royalty Pharma plc          
3.55% due 09/02/506   39,710,000    42,309,031 
2.20% due 09/02/306   20,800,000    21,359,927 
Alcon Finance Corp.          
2.60% due 05/27/306   50,650,000    53,962,677 
RELX Capital, Inc.          
3.00% due 05/22/30   47,873,000    53,159,342 
Nielsen Finance LLC / Nielsen Finance Co.          
5.63% due 10/01/286   38,800,000    42,158,140 
Keurig Dr Pepper, Inc.          
3.20% due 05/01/30   36,818,000    41,686,241 
Anheuser-Busch InBev Worldwide, Inc.          
3.50% due 06/01/30   35,920,000    41,608,405 
McCormick & Company, Inc.          
2.50% due 04/15/30   37,350,000    39,996,265 
Centene Corp.          
3.00% due 10/15/30   37,200,000    39,428,280 
Boston Scientific Corp.          
2.65% due 06/01/30   32,010,000    34,285,996 
Becton Dickinson and Co.          
2.82% due 05/20/30   29,400,000    32,313,391 
Emory University          
2.97% due 09/01/50   30,000,000    32,019,836 
Yale-New Haven Health Services Corp.          
2.50% due 07/01/50   32,350,000    31,643,796 
California Institute of Technology          
3.65% due 09/01/19   25,760,000    29,251,243 
Global Payments, Inc.          
2.90% due 05/15/30   24,810,000    27,014,940 
Quest Diagnostics, Inc.          
2.80% due 06/30/31   23,530,000    25,800,255 
US Foods, Inc.          
6.25% due 04/15/256   24,050,000    25,703,438 
Duke University          
2.83% due 10/01/55   23,400,000    25,317,707 
Health Care Service Corporation A Mutual Legal Reserve Co.          
3.20% due 06/01/506   23,030,000    24,911,333 
Ascension Health          
2.53% due 11/15/29   21,405,000    23,451,401 
Kimberly-Clark de Mexico SAB de CV          
2.43% due 07/01/316   22,650,000    23,397,903 
Johnson & Johnson          
2.45% due 09/01/60   22,250,000    23,144,331 
Universal Health Services, Inc.          
2.65% due 10/15/306   19,660,000    20,409,311 
Transurban Finance Company Pty Ltd.          
2.45% due 03/16/316   19,400,000    20,351,272 
Thermo Fisher Scientific, Inc.          
4.50% due 03/25/30   16,100,000    20,121,330 
Hologic, Inc.          
3.25% due 02/15/296   18,850,000    19,179,875 
AMN Healthcare, Inc.          
4.63% due 10/01/276   10,800,000    11,313,756 
4.00% due 04/15/296   7,200,000    7,362,000 
Cheplapharm Arzneimittel GmbH          
4.38% due 01/15/28  EUR13,750,000    17,193,884 
Avantor Funding, Inc.          
4.63% due 07/15/286   15,900,000    16,814,250 
Smithfield Foods, Inc.          
3.00% due 10/15/306   15,760,000    16,675,290 
Sabre GLBL, Inc.          
7.38% due 09/01/256   12,825,000    13,915,125 
Prime Security Services Borrower LLC / Prime Finance, Inc.          
3.38% due 08/31/276   13,450,000    13,349,125 
Gartner, Inc.          
3.75% due 10/01/306   9,830,000    10,358,461 
4.50% due 07/01/286   2,375,000    2,505,625 
Moody's Corp.          
3.25% due 05/20/50   11,180,000    12,408,973 
Service Corporation International          
3.38% due 08/15/30   11,225,000    11,676,357 
OhioHealth Corp.          
3.04% due 11/15/50   9,100,000    9,961,317 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 47.4% (continued)
Consumer, Non-cyclical -  7.5% (continued)        
Post Holdings, Inc.        
4.63% due 04/15/306   9,025,000   $9,493,939 
Central Garden & Pet Co.          
4.13% due 10/15/30   8,975,000    9,356,438 
Johns Hopkins University          
2.81% due 01/01/60   8,750,000    9,227,248 
University of Chicago          
2.76% due 04/01/45   8,000,000    8,323,426 
Tenet Healthcare Corp.          
4.63% due 06/15/286   7,106,000    7,443,535 
Children's Hospital Corp.          
2.59% due 02/01/50   7,100,000    7,098,477 
Syneos Health, Inc.          
3.63% due 01/15/296   7,000,000    7,019,355 
Kronos Acquisition Holdings, Inc. / KIK Custom Products, Inc.          
5.00% due 12/31/266   6,325,000    6,598,303 
Children's Health System of Texas          
2.51% due 08/15/50   6,500,000    6,332,935 
Jaguar Holding Company II / PPD Development, LP          
4.63% due 06/15/256   4,596,000    4,846,988 
5.00% due 06/15/286   1,300,000    1,387,750 
Wisconsin Alumni Research Foundation          
3.56% due 10/01/49   3,775,000    4,098,708 
Memorial Sloan-Kettering Cancer Center          
2.96% due 01/01/50   3,500,000    3,724,293 
McKesson Corp.          
4.88% due 03/15/44   1,650,000    2,080,475 
Acadia Healthcare Company, Inc.          
5.00% due 04/15/296   1,800,000    1,921,500 
HCA, Inc.          
3.50% due 09/01/30   1,600,000    1,700,122 
Cardinal Health, Inc.          
4.50% due 11/15/44   1,450,000    1,697,940 
Trustees of the University of Pennsylvania          
4.01% due 08/15/47   1,250,000    1,370,876 
Flowers Foods, Inc.          
3.50% due 10/01/26   500,000    557,361 
Total Consumer, Non-cyclical        1,826,585,176 
Industrial -  6.1%          
Boeing Co.          
5.15% due 05/01/30   124,700,000    150,918,357 
5.71% due 05/01/40   68,110,000    88,387,756 
5.81% due 05/01/50   53,550,000    73,799,667 
5.04% due 05/01/27   33,850,000    39,573,079 
3.63% due 02/01/31   21,400,000    23,419,754 
FedEx Corp.          
4.25% due 05/15/30   74,049,000    89,970,518 
3.80% due 05/15/25   11,750,000    13,264,025 
WRKCo, Inc.          
3.00% due 06/15/33   82,155,000    90,260,964 
Sonoco Products Co.          
3.13% due 05/01/30   73,763,000    81,976,233 
Textron, Inc.          
2.45% due 03/15/31   52,250,000    53,793,666 
3.00% due 06/01/30   23,395,000    25,218,624 
Snap-on, Inc.          
3.10% due 05/01/50   59,779,000    67,516,124 
BAE Systems plc          
3.40% due 04/15/306   42,797,000    48,483,650 
Acuity Brands Lighting, Inc.          
2.15% due 12/15/30   44,050,000    44,690,066 
Owens Corning          
3.88% due 06/01/30   36,890,000    42,551,273 
Standard Industries, Inc.          
4.38% due 07/15/306   13,600,000    14,548,328 
3.38% due 01/15/316   14,475,000    14,547,375 
5.00% due 02/15/276   7,300,000    7,628,500 
Carrier Global Corp.          
2.70% due 02/15/31   33,600,000    36,100,574 
GATX Corp.          
4.00% due 06/30/30   28,835,000    34,077,190 
4.70% due 04/01/29   400,000    487,623 
Ardagh Packaging Finance plc / Ardagh Holdings USA, Inc.          
4.13% due 08/15/266   31,850,000    33,283,250 
Ball Corp.          
2.88% due 08/15/30   31,641,000    31,561,897 
Xylem, Inc.          
2.25% due 01/30/31   16,950,000    17,851,441 
1.95% due 01/30/28   11,850,000    12,494,943 
CNH Industrial Capital LLC          
1.88% due 01/15/26   27,960,000    29,281,008 
Vulcan Materials Co.          
3.50% due 06/01/30   23,400,000    26,877,511 
Flowserve Corp.          
3.50% due 10/01/30   23,880,000    25,490,434 
Ryder System, Inc.          
3.35% due 09/01/25   22,380,000    24,876,986 
IDEX Corp.          
3.00% due 05/01/30   22,300,000    24,550,555 
FLIR Systems, Inc.          
2.50% due 08/01/30   19,920,000    20,908,313 
Bemis Company, Inc.          
2.63% due 06/19/30   18,580,000    20,121,076 
NFL Ventures, LP          
3.02% due 04/15/35†††   20,000,000    19,862,583 
Boxer Parent Co., Inc.          
6.50% due 10/02/25   EUR  13,500,000    17,415,396 
Graphic Packaging International LLC          
3.50% due 03/01/296   16,750,000    17,126,875 
Howmet Aerospace, Inc.          
6.88% due 05/01/25   7,083,000    8,287,110 
5.90% due 02/01/27   3,950,000    4,663,489 
6.75% due 01/15/28   1,988,000    2,431,006 
5.95% due 02/01/37   475,000    572,375 
Vertical US Newco, Inc.          
5.25% due 07/15/276   13,150,000    13,939,000 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 47.4% (continued)
Industrial -  6.1% (continued)        
TFI International, Inc.        
3.35% due 01/05/33†††   14,000,000   $13,919,945 
National Basketball Association          
2.51% due 12/16/24   10,500,000    10,538,335 
Airbus SE          
3.95% due 04/10/476   9,000,000    10,449,325 
Hardwood Funding LLC          
3.19% due 06/07/30†††   8,000,000    7,914,251 
Virgin Media          
4.88% due 07/15/28   GBP  5,000,000    6,975,575 
Great Lakes Dredge & Dock Corp.          
8.00% due 05/15/22   6,800,000    6,973,944 
Oshkosh Corp.          
3.10% due 03/01/30   3,880,000    4,231,701 
Berry Global, Inc.          
1.57% due 01/15/266   2,750,000    2,774,887 
PerkinElmer, Inc.          
3.30% due 09/15/29   1,560,000    1,758,918 
Burlington Northern Santa Fe LLC          
5.40% due 06/01/41   1,180,000    1,718,630 
Princess Juliana International Airport Operating Company N.V.          
5.50% due 12/20/277   1,846,481    1,669,145 
PowerTeam Services LLC          
9.03% due 12/04/256   1,500,000    1,668,915 
Adevinta ASA          
3.00% due 11/15/27   EUR  1,300,000    1,640,996 
American Woodmark Corp.          
4.88% due 03/15/266   1,205,000    1,235,125 
Crown Americas LLC / Crown Americas Capital Corporation VI          
4.75% due 02/01/26   1,150,000    1,193,125 
New Enterprise Stone & Lime Company, Inc.          
6.25% due 03/15/266   1,150,000    1,178,750 
TransDigm, Inc.          
6.25% due 03/15/266   1,075,000    1,144,875 
Tennant Co.          
5.63% due 05/01/25   975,000    1,015,219 
JELD-WEN, Inc.          
6.25% due 05/15/256   300,000    324,000 
Hexcel Corp.          
3.95% due 02/15/27   180,000    194,558 
Hillman Group, Inc.          
6.38% due 07/15/226   40,000    39,700 
Total Industrial        1,471,368,513 
Consumer, Cyclical -  4.8%          
Delta Air Lines, Inc.          
7.00% due 05/01/256   136,400,000    157,480,939 
Marriott International, Inc.          
4.63% due 06/15/30   43,685,000    51,263,440 
3.50% due 10/15/32   45,690,000    49,965,861 
5.75% due 05/01/25   29,691,000    34,729,600 
Walgreens Boots Alliance, Inc.          
4.10% due 04/15/50   72,535,000    76,776,937 
3.20% due 04/15/30   33,931,000    36,859,445 
Starbucks Corp.          
2.55% due 11/15/30   73,030,000    78,981,569 
Hyatt Hotels Corp.          
5.38% due 04/23/25   26,900,000    30,400,148 
5.75% due 04/23/30   23,885,000    29,361,567 
VF Corp.          
2.95% due 04/23/30   52,243,000    57,804,432 
Hilton Domestic Operating Company, Inc.          
3.75% due 05/01/296   44,400,000    46,295,436 
4.00% due 05/01/316   5,750,000    6,066,882 
5.38% due 05/01/256   1,744,000    1,853,000 
Delta Air Lines Inc. / SkyMiles IP Ltd.          
4.50% due 10/20/256   45,200,000    48,312,431 
4.75% due 10/20/286   3,800,000    4,147,747 
1011778 BC ULC / New Red Finance, Inc.          
4.00% due 10/15/306   39,300,000    39,827,799 
3.88% due 01/15/286   9,200,000    9,345,084 
Choice Hotels International, Inc.          
3.70% due 01/15/31   43,850,000    48,564,752 
Ferguson Finance plc          
3.25% due 06/02/306   42,620,000    47,525,932 
Mileage Plus Holdings LLC / Mileage Plus Intellectual Property Assets Ltd.          
6.50% due 06/20/276   38,950,000    41,871,250 
BorgWarner, Inc.          
2.65% due 07/01/27   36,010,000    38,721,084 
Lowe's Companies, Inc.          
4.50% due 04/15/30   29,315,000    36,490,358 
WMG Acquisition Corp.          
3.00% due 02/15/316   28,050,000    27,489,000 
3.88% due 07/15/306   7,560,000    8,034,541 
Whirlpool Corp.          
4.60% due 05/15/50   21,920,000    28,363,055 
Aramark Services, Inc.          
6.38% due 05/01/256   22,050,000    23,565,937 
5.00% due 02/01/286   1,325,000    1,396,219 
Allison Transmission, Inc.          
3.75% due 01/30/316   12,300,000    12,584,438 
Dollar General Corp.          
3.50% due 04/03/30   10,650,000    12,225,906 
Cedar Fair, LP / Canada's Wonderland Co. / Magnum Management Corp. / Millennium Operations LLC          
5.50% due 05/01/256   9,900,000    10,320,750 
Williams Scotsman International, Inc.          
4.63% due 08/15/286   6,775,000    7,012,125 
Six Flags Theme Parks, Inc.          
7.00% due 07/01/256   5,990,000    6,469,200 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 47.4% (continued)
Consumer, Cyclical -  4.8% (continued)        
Hanesbrands, Inc.        
5.38% due 05/15/256   6,095,000   $6,448,632 
American Airlines Class AA Pass Through Trust          
3.20% due 06/15/28   5,504,600    5,367,497 
Smithsonian Institution          
2.65% due 09/01/39   5,000,000    5,221,840 
Performance Food Group, Inc.          
6.88% due 05/01/256   4,074,000    4,359,180 
Tempur Sealy International, Inc.          
5.50% due 06/15/26   3,600,000    3,746,520 
JB Poindexter & Company, Inc.          
7.13% due 04/15/266   2,700,000    2,855,250 
HP Communities LLC          
5.86% due 09/15/536   1,420,000    1,871,372 
Hasbro, Inc.          
3.90% due 11/19/29   1,480,000    1,676,120 
Lear Corp.          
4.25% due 05/15/29   1,450,000    1,657,042 
Total Consumer, Cyclical        1,143,310,317 
Communications -  3.9%          
ViacomCBS, Inc.          
4.95% due 01/15/31   69,401,000    87,107,143 
4.95% due 05/19/50   39,600,000    51,294,690 
4.75% due 05/15/25   36,350,000    42,201,730 
2.90% due 01/15/27   6,570,000    7,209,275 
Level 3 Financing, Inc.          
4.25% due 07/01/286   41,950,000    43,103,625 
3.63% due 01/15/296   36,820,000    36,727,950 
3.88% due 11/15/296   20,300,000    22,543,556 
T-Mobile USA, Inc.          
3.88% due 04/15/306   74,705,000    86,523,331 
Walt Disney Co.          
2.65% due 01/13/31   39,920,000    43,764,789 
3.80% due 05/13/60   31,990,000    40,643,927 
Charter Communications Operating LLC / Charter Communications Operating Capital          
2.80% due 04/01/31   71,850,000    75,994,346 
AT&T, Inc.          
2.75% due 06/01/31   48,660,000    51,999,197 
2.30% due 06/01/27   6,000,000    6,399,228 
Booking Holdings, Inc.          
4.63% due 04/13/30   30,557,000    37,969,491 
4.50% due 04/13/27   11,700,000    13,915,482 
Virgin Media Secured Finance plc          
4.50% due 08/15/306   35,400,000    36,993,000 
5.50% due 08/15/266   1,200,000    1,246,500 
CCO Holdings LLC / CCO Holdings Capital Corp.          
4.50% due 05/01/326   18,275,000    19,512,583 
4.25% due 02/01/316   9,025,000    9,511,087 
CSC Holdings LLC          
3.38% due 02/15/316   14,175,000    13,909,219 
5.50% due 05/15/266   6,861,000    7,135,440 
4.13% due 12/01/306   5,741,000    6,002,790 
6.75% due 11/15/21   1,800,000    1,881,000 
Amazon.com, Inc.          
2.70% due 06/03/60   25,180,000    26,926,022 
Fox Corp.          
3.50% due 04/08/30   14,521,000    16,494,438 
3.05% due 04/07/25   7,100,000    7,747,573 
Sirius XM Radio, Inc.          
4.13% due 07/01/306   21,910,000    23,320,456 
Altice France S.A.          
7.38% due 05/01/266   14,800,000    15,577,000 
5.13% due 01/15/296   6,250,000    6,468,750 
Radiate Holdco LLC / Radiate Finance, Inc.          
4.50% due 09/15/266   19,750,000    20,367,188 
Verizon Communications, Inc.          
3.15% due 03/22/30   16,590,000    18,604,210 
QualityTech Limited Partnership / QTS Finance Corp.          
3.88% due 10/01/286   17,075,000    17,416,500 
Virgin Media Vendor Financing Notes IV DAC          
5.00% due 07/15/286   15,600,000    16,224,000 
LCPR Senior Secured Financing DAC          
6.75% due 10/15/276   5,633,000    6,062,516 
Lamar Media Corp.          
4.00% due 02/15/30   5,375,000    5,576,563 
Switch Ltd.          
3.75% due 09/15/286   4,200,000    4,263,000 
Telenet Finance Luxemburg Notes SARL          
5.50% due 03/01/28   2,800,000    2,986,200 
Thomson Reuters Corp.          
5.65% due 11/23/43   1,290,000    1,747,777 
Alibaba Group Holding Ltd.          
4.50% due 11/28/34   1,330,000    1,652,535 
Match Group Holdings II LLC          
4.13% due 08/01/306   1,250,000    1,300,000 
Virgin Media Finance plc          
5.00% due 07/15/306   850,000    881,875 
Juniper Networks, Inc.          
1.20% due 12/10/25   580,000    586,902 
Motorola Solutions, Inc.          
5.50% due 09/01/44   360,000    458,447 
Total Communications        938,251,331 
Energy -  2.6%          
Exxon Mobil Corp.          
2.61% due 10/15/30   143,370,000    156,600,532 
BP Capital Markets plc          
4.88% 2,4   114,600,000    127,859,220 
Galaxy Pipeline Assets Bidco Ltd.          
3.25% due 09/30/406   91,750,000    96,807,202 
1.75% due 09/30/276   2,050,000    2,080,782 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 47.4% (continued)
Energy -  2.6% (continued)        
Sabine Pass Liquefaction LLC        
4.50% due 05/15/306   63,355,000   $75,093,257 
Valero Energy Corp.          
2.15% due 09/15/27   13,920,000    14,222,955 
2.85% due 04/15/25   12,000,000    12,780,498 
4.00% due 04/01/29   7,450,000    8,381,329 
Chevron USA, Inc.          
2.34% due 08/12/50   27,250,000    26,960,174 
Equinor ASA          
2.38% due 05/22/30   18,770,000    20,090,468 
1.75% due 01/22/26   6,500,000    6,828,123 
Magellan Midstream Partners, LP          
3.25% due 06/01/30   23,260,000    26,284,229 
Florida Gas Transmission Company LLC          
2.55% due 07/01/306   15,100,000    15,915,333 
NuStar Logistics, LP          
6.38% due 10/01/30   12,500,000    14,160,000 
Midwest Connector Capital Company LLC          
4.63% due 04/01/296   13,440,000    14,088,554 
Baker Hughes a GE Company LLC / Baker Hughes Co-Obligor, Inc.          
4.49% due 05/01/30   6,300,000    7,570,458 
Phillips 66          
3.70% due 04/06/23   2,250,000    2,409,705 
TransCanada PipeLines Ltd.          
6.10% due 06/01/40   1,200,000    1,650,249 
Parkland Corp.          
6.00% due 04/01/266   1,025,000    1,076,250 
Total Energy        630,859,318 
Technology -  1.7%          
NetApp, Inc.          
2.70% due 06/22/30   123,550,000    132,752,283 
Broadcom, Inc.          
4.15% due 11/15/30   60,860,000    70,461,408 
5.00% due 04/15/30   1,440,000    1,750,481 
Leidos, Inc.          
2.30% due 02/15/316   34,450,000    35,076,956 
3.63% due 05/15/256   9,200,000    10,286,428 
4.38% due 05/15/306   2,650,000    3,173,242 
MSCI, Inc.          
3.88% due 02/15/316   31,175,000    32,967,563 
NCR Corp.          
5.00% due 10/01/286   30,050,000    31,702,750 
8.13% due 04/15/256   600,000    668,184 
Qorvo, Inc.          
4.38% due 10/15/29   21,000,000    23,104,620 
3.38% due 04/01/316   8,675,000    8,956,938 
Apple, Inc.          
2.55% due 08/20/60   22,850,000    23,500,807 
Analog Devices, Inc.          
2.95% due 04/01/25   6,100,000    6,657,812 
Black Knight InfoServ LLC          
3.63% due 09/01/286   5,600,000    5,733,000 
Booz Allen Hamilton, Inc.          
3.88% due 09/01/286   4,550,000    4,686,500 
Microchip Technology, Inc.          
0.97% due 02/15/246   1,650,000    1,654,039 
2.67% due 09/01/236   1,580,000    1,652,465 
Presidio Holdings, Inc.          
4.88% due 02/01/276   2,300,000    2,439,794 
Citrix Systems, Inc.          
3.30% due 03/01/30   1,500,000    1,657,192 
Entegris, Inc.          
4.38% due 04/15/286   900,000    959,625 
Open Text Holdings, Inc.          
4.13% due 02/15/306   210,000    223,398 
Total Technology        400,065,485 
Basic Materials -  1.6%          
Newcrest Finance Pty Ltd.          
3.25% due 05/13/306   55,600,000    61,413,531 
4.20% due 05/13/506   26,390,000    32,257,390 
Anglo American Capital plc          
5.63% due 04/01/306   39,500,000    50,189,883 
2.63% due 09/10/306   18,000,000    18,822,392 
3.95% due 09/10/506   14,140,000    15,864,804 
5.38% due 04/01/256   1,420,000    1,659,502 
Nucor Corp.          
2.70% due 06/01/30   45,300,000    49,813,238 
2.00% due 06/01/25   5,000,000    5,295,101 
United States Steel Corp.          
12.00% due 06/01/256   42,000,000    48,510,000 
Minerals Technologies, Inc.          
5.00% due 07/01/286   19,975,000    20,901,840 
Valvoline, Inc.          
3.63% due 06/15/316   18,300,000    18,780,375 
Steel Dynamics, Inc.          
3.25% due 01/15/31   9,200,000    10,287,856 
2.40% due 06/15/25   5,950,000    6,324,071 
Reliance Steel & Aluminum Co.          
2.15% due 08/15/30   12,040,000    12,370,197 
Corporation Nacional del Cobre de Chile          
3.75% due 01/15/316   10,430,000    11,783,501 
Alcoa Nederland Holding BV          
5.50% due 12/15/276   6,450,000    7,058,042 
6.13% due 05/15/286   2,800,000    3,059,000 
6.75% due 09/30/246   400,000    416,620 
Carpenter Technology Corp.          
6.38% due 07/15/28   2,015,000    2,223,641 
Southern Copper Corp.          
7.50% due 07/27/35   1,150,000    1,753,969 
Dow Chemical Co.          
4.25% due 10/01/34   1,420,000    1,714,567 
WR Grace & Company-Conn          
4.88% due 06/15/276   800,000    848,416 
Total Basic Materials        381,347,936 
Utilities -  0.9%          
Cheniere Corpus Christi Holdings LLC          
3.52% due 12/31/39†††   97,100,000    96,262,512 
AES Corp.          
3.95% due 07/15/306   26,390,000    29,831,520 
3.30% due 07/15/256   3,750,000    4,087,500 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 47.4% (continued)
Utilities -  0.9% (continued)        
NRG Energy, Inc.        
2.45% due 12/02/276   26,000,000   $27,373,455 
Arizona Public Service Co.          
3.35% due 05/15/50   23,140,000    26,870,036 
Black Hills Corp.          
2.50% due 06/15/30   14,360,000    15,081,927 
Alexander Funding Trust          
1.84% due 11/15/236   14,400,000    14,563,908 
Clearway Energy Operating LLC          
4.75% due 03/15/286   3,325,000    3,566,063 
Virginia Electric and Power Co.          
8.88% due 11/15/38   1,100,000    2,039,571 
Southern Power Co.          
5.25% due 07/15/43   1,350,000    1,659,709 
Dominion Energy, Inc.          
0.75% (3 Month USD LIBOR + 0.53%) due 09/15/235   1,030,000    1,031,895 
Indiana Michigan Power Co.          
6.05% due 03/15/37   720,000    1,026,870 
Total Utilities        223,394,966 
Total Corporate Bonds          
(Cost $10,421,604,796)        11,399,992,509 
           
ASSET-BACKED SECURITIES†† - 18.1%          
Collateralized Loan Obligations -  10.4%          
BXMT Ltd.          
2020-FL2, 1.05% (1 Month USD LIBOR + 0.90%, Rate Floor: 0.90%) due 02/16/375,6   76,225,000    75,845,316 
2020-FL3, 1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 03/15/375,6   19,800,000    19,827,407 
2020-FL3, 2.70% (1 Month USD LIBOR + 2.55%, Rate Floor: 2.55%) due 03/15/375,6   16,125,000    16,148,457 
2020-FL2, 1.55% (1 Month USD LIBOR + 1.40%, Rate Floor: 1.40%) due 02/16/375,6   14,250,000    13,983,227 
2020-FL3, 2.30% (1 Month USD LIBOR + 2.15%, Rate Floor: 2.15%) due 03/15/375,6   10,600,000    10,615,276 
2020-FL2, 1.80% (1 Month USD LIBOR + 1.65%, Rate Floor: 1.65%) due 02/16/375,6   5,360,000    5,275,959 
2020-FL2, 1.30% (1 Month USD LIBOR + 1.15%, Rate Floor: 1.15%) due 02/16/375,6   5,200,000    5,128,296 
Dryden 33 Senior Loan Fund          
2020-33A, 1.24% (3 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 04/15/295,6   56,722,408    56,722,408 
2020-33A, 1.64% (3 Month USD LIBOR + 1.40%, Rate Floor: 1.40%) due 04/15/295,6   48,700,000    48,700,000 
2020-33A, 2.24% (3 Month USD LIBOR + 2.00%, Rate Floor: 2.00%) due 04/15/295,6   27,000,000    27,000,000 
KREF Funding V LLC          
1.90% due 06/25/26†††   115,000,000    110,679,603 
0.15% due 06/25/26†††   313,636,364    269,727 
Cerberus Loan Funding XXX, LP          
2020-3A, 2.07% (3 Month USD LIBOR + 1.85%, Rate Floor: 1.85%) due 01/15/335,6   100,000,000    100,000,000 
2020-3A, 2.72% (3 Month USD LIBOR + 2.50%, Rate Floor: 2.50%) due 01/15/335,6   10,200,000    10,200,000 
Woodmont Trust          
2020-7A, 2.13% (3 Month USD LIBOR + 1.90%, Rate Floor: 0.00%) due 01/15/325,6   83,000,000    83,000,000 
2020-7A, 2.83% (3 Month USD LIBOR + 2.60%, Rate Floor: 0.00%) due 01/15/325,6   13,500,000    13,500,000 
2020-7A, 2.48% (3 Month USD LIBOR + 2.25%, Rate Floor: 0.00%) due 01/15/325,6   7,000,000    7,000,000 
MidOcean Credit CLO VII          
2020-7A, 1.28% (3 Month USD LIBOR + 1.04%, Rate Floor: 0.00%) due 07/15/295,6   52,000,000    51,579,044 
2020-7A, 1.84% (3 Month USD LIBOR + 1.60%, Rate Floor: 0.00%) due 07/15/295,6   27,500,000    26,897,362 
2020-7A, 1.69% (3 Month USD LIBOR + 1.45%, Rate Floor: 0.00%) due 07/15/295,6   14,800,000    14,763,885 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 18.1% (continued)
Collateralized Loan Obligations -  10.4% (continued)        
Venture XIV CLO Ltd.        
2020-14A, 1.25% (3 Month USD LIBOR + 1.03%, Rate Floor: 1.03%) due 08/28/295,6   69,000,000   $68,545,069 
2020-14A, 2.47% (3 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 08/28/295,6   22,725,000    22,048,629 
ABPCI Direct Lending Fund IX LLC          
2020-9A, 2.19% (3 Month USD LIBOR + 1.95%, Rate Floor: 1.95%) due 11/18/315,6   72,500,000    72,633,501 
2020-9A, 2.84% (3 Month USD LIBOR + 2.60%, Rate Floor: 2.60%) due 11/18/315,6   15,250,000    15,288,276 
GPMT Ltd.          
2019-FL2, 1.45% (1 Month USD LIBOR + 1.30%, Rate Floor: 1.30%) due 02/22/365,6   25,899,000    25,745,390 
2019-FL2, 1.75% (1 Month USD LIBOR + 1.60%, Rate Floor: 1.60%) due 02/22/365,6   24,300,000    24,079,470 
2019-FL2, 2.50% (1 Month USD LIBOR + 2.35%, Rate Floor: 2.35%) due 02/22/365,6   21,400,000    20,861,101 
2019-FL2, 2.05% (1 Month USD LIBOR + 1.90%, Rate Floor: 1.90%) due 02/22/365,6   12,500,000    12,356,740 
Parliament Funding II Ltd.          
2020-1A, 2.76% (3 Month USD LIBOR + 2.45%, Rate Floor: 2.45%) due 08/12/305,6   71,650,000    71,648,811 
2020-1A, 3.51% (3 Month USD LIBOR + 3.20%, Rate Floor: 3.20%) due 08/12/305,6   6,000,000    5,968,045 
Golub Capital Partners CLO Ltd.          
2018-36A, 1.53% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 02/05/315,6   76,300,000    75,422,832 
LoanCore Issuer Ltd.          
2019-CRE2, 1.66% (1 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 05/15/365,6   19,984,000    19,906,726 
2018-CRE1, 1.66% (1 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 05/15/285,6   17,747,000    17,704,755 
2019-CRE3, 1.21% (1 Month USD LIBOR + 1.05%, Rate Floor: 1.05%) due 04/15/345,6   14,158,189    13,910,738 
2019-CRE2, 1.86% (1 Month USD LIBOR + 1.70%, Rate Floor: 1.70%) due 05/15/365,6   11,575,000    11,167,670 
2019-CRE3, 1.76% (1 Month USD LIBOR + 1.60%, Rate Floor: 1.60%) due 04/15/345,6   4,607,500    4,387,440 
GoldenTree Loan Management US CLO 1 Ltd.          
2020-1A, 1.17% (3 Month USD LIBOR + 0.95%, Rate Floor: 0.95%) due 04/20/295,6   49,250,000    49,152,623 
2020-1A, 1.67% (3 Month USD LIBOR + 1.45%, Rate Floor: 1.45%) due 04/20/295,6   12,500,000    12,320,690 
Wellfleet CLO Ltd.          
2020-2A, 1.28% (3 Month USD LIBOR + 1.06%, Rate Floor: 0.00%) due 10/20/295,6   52,250,000    51,941,239 
2018-2A, 1.80% (3 Month USD LIBOR + 1.58%, Rate Floor: 1.58%) due 10/20/285,6   2,500,000    2,448,988 
Palmer Square Loan Funding Ltd.          
2019-3A, 1.07% (3 Month USD LIBOR + 0.85%, Rate Floor: 0.85%) due 08/20/275,6   18,912,524    18,890,079 
2018-4A, 1.12% (3 Month USD LIBOR + 0.90%, Rate Floor: 0.00%) due 11/15/265,6   15,669,691    15,654,872 
2018-4A, 1.67% (3 Month USD LIBOR + 1.45%, Rate Floor: 0.00%) due 11/15/265,6   12,000,000    11,902,426 
Fortress Credit Opportunities XI CLO Ltd.          
2018-11A, 1.54% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 04/15/315,6   44,300,000    43,786,107 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 18.1% (continued)
Collateralized Loan Obligations -  10.4% (continued)        
Whitebox CLO II Ltd.        
2020-2A, 1.99% (3 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 10/24/315,6   36,500,000   $36,506,230 
2020-2A, 2.49% (3 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 10/24/315,6   7,000,000    7,013,672 
MP CLO VIII Ltd.          
2018-2A, 1.13% (3 Month USD LIBOR + 0.91%, Rate Floor: 0.00%) due 10/28/275,6   43,451,596    43,199,255 
Denali Capital CLO XI Ltd.          
2018-1A, 1.35% (3 Month USD LIBOR + 1.13%, Rate Floor: 0.00%) due 10/20/285,6   42,800,000    42,600,518 
Marathon CLO V Ltd.          
2017-5A, 1.08% (3 Month USD LIBOR + 0.87%, Rate Floor: 0.00%) due 11/21/275,6   23,259,188    23,111,540 
2017-5A, 1.66% (3 Month USD LIBOR + 1.45%, Rate Floor: 0.00%) due 11/21/275,6   18,020,137    17,775,474 
Lake Shore MM CLO III LLC          
2020-1A, 2.53% (3 Month USD LIBOR + 2.30%, Rate Floor: 2.30%) due 10/15/295,6   38,900,000    38,920,240 
Wind River CLO Ltd.          
2017-2A, 1.11% (3 Month USD LIBOR + 0.87%, Rate Floor: 0.00%) due 10/15/275,6   38,622,379    38,465,881 
NXT Capital CLO LLC          
2017-1A, 1.92% (3 Month USD LIBOR + 1.70%, Rate Floor: 0.00%) due 04/20/295,6   34,100,000    33,941,650 
Telos CLO Ltd.          
2017-6A, 1.97% (3 Month USD LIBOR + 1.75%, Rate Floor: 0.00%) due 01/17/275,6   32,000,000    31,970,201 
Venture XII CLO Ltd.          
2018-12A, 1.02% (3 Month USD LIBOR + 0.80%, Rate Floor: 0.80%) due 02/28/265,6   24,219,114    24,063,446 
2018-12A, 1.42% (3 Month USD LIBOR + 1.20%, Rate Floor: 1.20%) due 02/28/265,6   6,250,000    6,101,605 
Halcyon Loan Advisors Funding Ltd.          
2017-3A, 1.12% (3 Month USD LIBOR + 0.90%, Rate Floor: 0.00%) due 10/18/275,6   29,187,042    29,051,103 
TCW CLO Ltd.          
2020-1A, 1.86% (3 Month USD LIBOR + 1.65%, Rate Floor: 1.65%) due 10/20/315,6   28,000,000    27,999,936 
NewStar Clarendon Fund CLO LLC          
2019-1A, 1.52% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 01/25/275,6   25,639,192    25,614,215 
2019-1A, 3.27% (3 Month USD LIBOR + 3.05%, Rate Floor: 0.00%) due 01/25/275,6   2,000,000    1,965,644 
610 Funding CLO 3 Ltd.          
2018-3A, 1.47% (3 Month USD LIBOR + 1.25%, Rate Floor: 0.00%) due 07/17/285,6   26,715,627    26,685,419 
FDF II Ltd.          
2016-2A, 4.29% due 05/12/316   21,500,000    21,705,121 
2016-2A, 5.29% due 05/12/316   5,000,000    4,952,169 
OCP CLO Ltd.          
2020-4A, 1.67% (3 Month USD LIBOR + 1.45%, Rate Floor: 1.45%) due 04/24/295,6   25,500,000    24,943,080 
2019-17A, 0.87% (3 Month USD LIBOR + 0.65%, Rate Floor: 0.65%) due 07/20/325,6   937,500    934,005 
Canyon CLO Ltd.          
2020-1A, 2.98% (3 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 07/15/285,6   22,500,000    22,536,445 
2020-1A, 4.02% (3 Month USD LIBOR + 3.78%, Rate Floor: 3.78%) due 07/15/285,6   2,000,000    1,994,033 
Ares LVII CLO Ltd.          
2020-57A, 2.74% (3 Month USD LIBOR + 2.50%, Rate Floor: 2.50%) due 10/25/315,6   13,500,000    13,542,112 
2020-57A, 1.99% (3 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 10/25/315,6   9,500,000    9,527,889 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 18.1% (continued)
Collateralized Loan Obligations -  10.4% (continued)        
Apres Static CLO Ltd.        
2020-1A, 3.44% (3 Month USD LIBOR + 1.70%, Rate Floor: 0.00%) due 10/15/285,6   21,750,000   $21,712,770 
Voya CLO Ltd.          
2020-1A, 1.30% (3 Month USD LIBOR + 1.06%, Rate Floor: 1.06%) due 04/15/315,6   18,850,000    18,775,765 
2013-1A,  due 10/15/306,8   10,575,071    2,613,608 
NewStar Fairfield Fund CLO Ltd.          
2018-2A, 1.49% (3 Month USD LIBOR + 1.27%, Rate Floor: 1.27%) due 04/20/305,6   21,171,638    20,911,635 
Allegro CLO IX Ltd.          
2018-3A, 1.40% (3 Month USD LIBOR + 1.17%, Rate Floor: 1.17%) due 10/16/315,6   20,400,000    20,251,294 
Owl Rock CLO IV Ltd.          
2020-4A, 3.17% (3 Month USD LIBOR + 2.62%, Rate Floor: 2.62%) due 05/20/295,6   18,000,000    18,005,407 
BSPRT Issuer Ltd.          
2018-FL3, 1.21% (1 Month USD LIBOR + 1.05%, Rate Floor: 1.05%) due 03/15/285,6   10,154,928    10,090,150 
2018-FL4, 1.21% (1 Month USD LIBOR + 1.05%, Rate Floor: 1.05%) due 09/15/355,6   7,996,778    7,903,269 
Diamond CLO Ltd.          
2018-1A, 1.72% (3 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 07/22/305,6   18,000,000    17,930,747 
Crown Point CLO III Ltd.          
2017-3A, 1.69% (3 Month USD LIBOR + 1.45%, Rate Floor: 0.00%) due 12/31/275,6   10,280,000    10,189,082 
2017-3A, 1.15% (3 Month USD LIBOR + 0.91%, Rate Floor: 0.00%) due 12/31/275,6   7,104,625    7,087,650 
BDS Ltd.          
2019-FL3, 2.15% (1 Month USD LIBOR + 2.00%, Rate Floor: 2.00%) due 12/15/355,6   9,900,000    9,789,064 
2020-FL5, 1.96% (1 Month USD LIBOR + 1.80%, Rate Floor: 1.80%) due 02/16/375,6   4,400,000    4,299,462 
2020-FL5, 1.51% (1 Month USD LIBOR + 1.35%, Rate Floor: 1.35%) due 02/16/375,6   3,200,000    3,147,811 
Mountain View CLO Ltd.          
2018-1A, 1.04% (3 Month USD LIBOR + 0.80%, Rate Floor: 0.80%) due 10/15/265,6   15,398,924    15,344,186 
Dryden 36 Senior Loan Fund          
2020-36A, 2.20% (3 Month USD LIBOR + 2.05%, Rate Floor: 2.05%) due 04/15/295,6   15,200,000    15,200,000 
FDF I Ltd.          
2015-1A, 4.40% due 11/12/306   15,000,000    15,113,452 
Shackleton CLO Ltd.          
2017-8A, 1.14% (3 Month USD LIBOR + 0.92%, Rate Floor: 0.00%) due 10/20/275,6   6,218,881    6,207,069 
2017-8A, 1.52% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 10/20/275,6   5,510,000    5,376,929 
2018-6RA, 1.24% (3 Month USD LIBOR + 1.02%, Rate Floor: 1.02%) due 07/17/285,6   3,424,412    3,414,687 
Monroe Capital CLO Ltd.          
2017-1A, 1.92% (3 Month USD LIBOR + 1.70%, Rate Floor: 0.00%) due 10/22/265,6   11,100,000    11,050,603 
2017-1A, 1.57% (3 Month USD LIBOR + 1.35%, Rate Floor: 0.00%) due 10/22/265,6   3,064,278    3,063,669 
KREF Ltd.          
2018-FL1, 1.25% (1 Month USD LIBOR + 1.10%, Rate Floor: 1.10%) due 06/15/365,6   13,471,000    13,404,324 
STWD Ltd.          
2019-FL1, 1.76% (1 Month USD LIBOR + 1.60%, Rate Floor: 1.60%) due 07/15/385,6   11,210,000    11,079,871 
2019-FL1, 1.56% (1 Month USD LIBOR + 1.40%, Rate Floor: 1.40%) due 07/15/385,6   2,200,000    2,192,500 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 18.1% (continued)
Collateralized Loan Obligations -  10.4% (continued)        
KVK CLO Ltd.        
2017-1A, 1.13% (3 Month USD LIBOR + 0.90%, Rate Floor: 0.00%) due 01/14/285,6   5,708,928   $5,684,025 
2018-1A, 1.87% (3 Month USD LIBOR + 1.65%, Rate Floor: 0.00%) due 05/20/295,6   3,850,000    3,826,201 
2018-1A, 1.15% (3 Month USD LIBOR + 0.93%, Rate Floor: 0.00%) due 05/20/295,6   3,442,400    3,433,869 
Seneca Park CLO Ltd.          
2017-1A, 1.72% (3 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 07/17/266   12,900,000    12,880,873 
Octagon Investment Partners 49 Ltd.          
due 01/15/335,6   12,800,000    12,800,000 
Newstar Commercial Loan Funding LLC          
2017-1A, 2.74% (3 Month USD LIBOR + 2.50%, Rate Floor: 0.00%) due 03/20/275,6   12,750,000    12,731,266 
Fortress Credit Opportunities IX CLO Ltd.          
2017-9A, 1.77% (3 Month USD LIBOR + 1.55%, Rate Floor: 0.00%) due 11/15/295,6   11,527,000    11,482,646 
2020-9A, 2.53% due 11/15/296   1,250,000    1,248,404 
Marathon CLO VII Ltd.          
2017-7A, 1.87% (3 Month USD LIBOR + 1.65%, Rate Floor: 0.00%) due 10/28/255,6   12,600,000    12,568,379 
Golub Capital Partners CLO 17 Ltd.          
2017-17A, 1.87% (3 Month USD LIBOR + 1.65%, Rate Floor: 0.00%) due 10/25/305,6   12,600,000    12,557,377 
Columbia Cent CLO 27 Ltd.          
2020-27A, 1.83% due 10/25/286   12,000,000    12,011,758 
Benefit Street Partners Clo XXII Ltd.          
2020-22A, 1.66% (3 Month USD LIBOR + 1.45%, Rate Floor: 1.45%) due 01/20/325,6   7,700,000    7,700,000 
2020-22A, 2.36% (3 Month USD LIBOR + 2.15%, Rate Floor: 2.15%) due 01/20/325,6   4,300,000    4,300,000 
Sudbury Mill CLO Ltd.          
2017-1A, 1.87% (3 Month USD LIBOR + 1.65%, Rate Floor: 0.00%) due 01/17/265,6   11,850,000    11,766,023 
Treman Park CLO Ltd.          
2015-1A,  due 10/20/286,8   13,600,000    9,392,496 
TCP Waterman CLO Ltd.          
2016-1A, 2.27% (3 Month USD LIBOR + 2.05%, Rate Floor: 0.00%) due 12/15/285,6   9,150,000    9,153,328 
Dryden 37 Senior Loan Fund          
2015-37A,  due 01/15/316,8   10,000,000    8,574,495 
Neuberger Berman CLO XVI-S Ltd.          
2018-16SA, 1.09% (3 Month USD LIBOR + 0.85%, Rate Floor: 0.00%) due 01/15/285,6   7,700,488    7,684,521 
ACIS CLO Ltd.          
2015-6A, 2.69% (3 Month USD LIBOR + 2.48%, Rate Floor: 0.00%) due 05/01/275,6   7,500,000    7,482,547 
THL Credit Lake Shore MM CLO I Ltd.          
2019-1A, 1.94% (3 Month USD LIBOR + 1.70%, Rate Floor: 1.70%) due 04/15/305,6   7,250,000    7,209,748 
Golub Capital Partners CLO 16 Ltd.          
2017-16A, 2.07% (3 Month USD LIBOR + 1.85%, Rate Floor: 0.00%) due 07/25/295,6   6,700,000    6,673,126 
Avery Point V CLO Ltd.          
2017-5A, 1.20% (3 Month USD LIBOR + 0.98%, Rate Floor: 0.00%) due 07/17/265,6   6,603,609    6,603,599 
California Street CLO XII Ltd.          
2017-12A, 1.74% (3 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 10/15/255,6   5,750,000    5,723,824 
Owl Rock CLO I Ltd.          
2019-1A, 2.02% (3 Month USD LIBOR + 1.80%, Rate Floor: 1.80%) due 05/20/315,6   5,650,000    5,617,340 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 18.1% (continued)
Collateralized Loan Obligations -  10.4% (continued)        
Apres Static CLO 2 Ltd.        
2020-1A, 3.99% (3 Month USD LIBOR + 3.75%, Rate Floor: 3.75%) due 04/15/285,6   2,800,000   $2,805,065 
2020-1A, 4.54% (3 Month USD LIBOR + 4.30%, Rate Floor: 4.30%) due 04/15/285,6   2,700,000    2,702,831 
Ivy Hill Middle Market Credit Fund X Ltd.          
2018-10A, 2.02% (3 Month USD LIBOR + 1.80%, Rate Floor: 0.00%) due 07/18/305,6   5,300,000    5,215,762 
GoldenTree Loan Opportunities IX Ltd.          
2018-9A, 1.32% (3 Month USD LIBOR + 1.11%, Rate Floor: 1.11%) due 10/29/295,6   5,152,000    5,147,062 
TICP CLO I Ltd.          
2018-1A, 1.02% (3 Month USD LIBOR + 0.80%, Rate Floor: 0.00%) due 07/20/275,6   4,849,975    4,843,401 
TICP CLO III-2 Ltd.          
2018-3R, 1.06% (3 Month USD LIBOR + 0.84%, Rate Floor: 0.84%) due 04/20/285,6   4,799,147    4,796,736 
Avery Point II CLO Ltd.          
2013-3X COM,  due 01/18/258   6,855,934    4,789,149 
Ready Capital Mortgage Financing LLC          
2019-FL3, 1.15% (1 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 03/25/345,6   4,703,730    4,669,676 
Atlas Senior Loan Fund III Ltd.          
2017-1A, 1.52% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 11/17/275,6   4,300,000    4,170,901 
Mountain Hawk II CLO Ltd.          
2018-2A, 1.82% (3 Month USD LIBOR + 1.60%, Rate Floor: 0.00%) due 07/20/245,6   3,979,054    3,977,153 
Northwoods Capital XII-B Ltd.          
2018-12BA, 2.07% (3 Month USD LIBOR + 1.85%, Rate Floor: 1.85%) due 06/15/315,6   4,000,000    3,938,665 
Newfleet CLO Ltd.          
2018-1A, 1.17% (3 Month USD LIBOR + 0.95%, Rate Floor: 0.00%) due 04/20/285,6   3,950,895    3,930,629 
Oaktree CLO Ltd.          
2017-1A, 1.09% (3 Month USD LIBOR + 0.87%) due 10/20/275,6   3,470,677    3,455,776 
THL Credit Wind River CLO Ltd.          
2019-1A, 1.12% (3 Month USD LIBOR + 0.88%, Rate Floor: 0.00%) due 01/15/265,6   3,338,994    3,338,286 
Golub Capital Partners CLO 39B Ltd.          
2018-39A, 1.62% (3 Month USD LIBOR + 1.40%, Rate Floor: 1.40%) due 10/20/285,6   3,100,000    3,094,023 
Monroe Capital BSL CLO Ltd.          
2017-1A, 1.96% (3 Month USD LIBOR + 1.75%, Rate Floor: 0.00%) due 05/22/275,6   3,000,000    2,996,681 
Carlyle Global Market Strategies CLO Ltd.          
2012-3A,  due 01/14/326,8   8,920,000    2,988,146 
Exantas Capital Corp.          
2020-RSO8, 1.60% (1 Month USD LIBOR + 1.45%, Rate Floor: 1.45%) due 03/15/355,6   3,000,000    2,985,344 
TRTX Issuer Ltd.          
2019-FL3, 1.30% (1 Month USD LIBOR + 1.15%, Rate Floor: 1.15%) due 10/15/345,6   2,600,000    2,577,030 
Ocean Trails CLO IV          
2017-4A, 2.02% (3 Month USD LIBOR + 1.80%, Rate Floor: 0.00%) due 08/13/255,6   2,500,000    2,500,368 
Allegro CLO VII Ltd.          
2018-1A, 2.14% (3 Month USD LIBOR + 1.90%, Rate Floor: 1.90%) due 06/13/315,6   2,500,000    2,443,526 
Grand Avenue CRE Ltd.          
2020-FL2, 4.42% (1 Month USD LIBOR + 4.26%, Rate Floor: 4.26%) due 03/15/355,6   1,100,000    1,124,080 
2020-FL2, 3.41% (1 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 03/15/355,6   900,000    913,366 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 18.1% (continued)
Collateralized Loan Obligations -  10.4% (continued)        
Cerberus Loan Funding XXVI, LP        
2019-1A, 1.99% (3 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 04/15/315,6   2,000,000   $1,984,479 
Tralee CLO III Ltd.          
2017-3A, 1.67% (3 Month USD LIBOR + 1.45%, Rate Floor: 0.00%) due 10/20/275,6   2,000,000    1,979,656 
Ivy Hill Middle Market Credit Fund IX Ltd.          
2017-9A, 1.97% (3 Month USD LIBOR + 1.75%, Rate Floor: 0.00%) due 01/18/305,6   1,000,000    981,189 
2017-9A, 2.57% (3 Month USD LIBOR + 2.35%, Rate Floor: 0.00%) due 01/18/305,6   1,000,000    951,809 
Catamaran CLO Ltd.          
2016-2A, 2.27% (3 Month USD LIBOR + 2.05%, Rate Floor: 2.05%) due 10/18/265,6   1,750,000    1,748,528 
Dryden XXV Senior Loan Fund          
2017-25A, 1.59% (3 Month USD LIBOR + 1.35%, Rate Floor: 0.00%) due 10/15/275,6   1,766,703    1,744,876 
Venture XIII CLO Ltd.          
2013-13A,  due 09/10/296,8   3,700,000    1,073,573 
Dryden 43 Senior Loan Fund          
2019-43A, 0.82% (3 Month USD LIBOR + 0.60%, Rate Floor: 0.60%) due 07/20/295,6   900,000    897,883 
Flagship VII Ltd.          
2017-7A, 1.77% (3 Month USD LIBOR + 1.55%, Rate Floor: 0.00%) due 01/20/265,6   355,486    355,395 
Great Lakes CLO Ltd.          
2014-1A,  due 10/15/296,8   461,538    200,150 
Atlas Senior Loan Fund IX Ltd.          
2018-9A,  due 04/20/286,8   1,200,000    154,384 
Babson CLO Ltd.          
2014-IA,  due 07/20/256,8   1,300,000    96,330 
Copper River CLO Ltd.          
2007-1A,  due 01/20/217,8   1,500,000    44,100 
OHA Credit Partners IX Ltd.          
2013-9A, due 10/20/256,8   1,808,219    23,199 
Total Collateralized Loan Obligations        2,504,929,123 
Financial -  2.7%          
Station Place Securitization Trust          
2020-9, 1.64% (1 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 02/15/21†††,5,7   153,000,000    153,000,000 
2020-16, 1.14% (1 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 12/22/215,6   114,400,000    114,400,000 
2020-17, 1.14% (1 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 03/24/215,6   89,900,000    89,900,000 
2020-12, 1.64% (1 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 06/09/21†††,5,6   35,500,000    35,500,000 
2020-14, 1.29% (1 Month USD LIBOR + 1.15%, Rate Floor: 0.00%) due 03/10/21†††,5,6   21,000,000    21,000,000 
2020-5, 1.15% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 05/24/22†††,5,7   20,000,000    20,000,000 
2020-WL1, 2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 0.00%) due 06/25/51†††,5,7   10,000,000    10,000,000 
2020-WL1, 2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 0.00%) due 06/25/51†††,5,7   3,000,000    3,000,000 
Aesf Vi Verdi LP          
2.15% due 11/25/24†††   EUR  49,186,383    59,834,980 
2.37% due 11/25/24†††   15,311,851    15,088,937 
Strategic Partners Fund VIII LP          
3.15% due 03/10/25†††   51,900,000    52,816,093 
Oxford Finance Funding          
2020-1A, 3.10% due 02/15/286   23,750,000    24,308,111 
Madison Avenue Secured Funding Trust Series          
2020-1, 1.77% (1 Month USD LIBOR + 1.63%, Rate Floor: 0.00%) due 12/13/21†††,5,6   20,050,000    20,050,000 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 18.1% (continued)
Financial -  2.7% (continued)        
Nassau LLC        
2019-1, 3.98% due 08/15/346   18,518,671   $18,849,190 
Industrial DPR Funding Ltd.          
2016-1A, 5.24% due 04/15/266   3,260,990    3,564,402 
Total Financial        641,311,713 
Transport-Aircraft -  1.2%          
AASET US Ltd.          
2018-2A, 4.45% due 11/18/386   46,071,883    43,525,006 
Castlelake Aircraft Securitization Trust          
2018-1, 4.13% due 06/15/436   26,493,455    25,182,132 
2017-1, 3.97% due 07/15/42   12,809,247    11,995,323 
2016-1, 4.45% due 08/15/41   459,202    436,687 
AASET Trust          
2020-1A, 3.35% due 01/16/406   27,337,328    25,732,868 
2017-1A, 3.97% due 05/16/426   7,479,329    6,936,358 
Sapphire Aviation Finance II Ltd.          
2020-1A, 3.23% due 03/15/406   33,594,175    32,522,853 
Sapphire Aviation Finance I Ltd.          
2018-1A, 4.25% due 03/15/406   33,602,517    32,516,175 
KDAC Aviation Finance Ltd.          
2017-1A, 4.21% due 12/15/426   34,280,703    30,919,809 
MAPS Ltd.          
2018-1A, 4.21% due 05/15/436   24,681,645    23,520,931 
AIM Aviation Finance Ltd.          
2015-1A, 4.21% due 02/15/406   14,851,794    11,519,765 
Raspro Trust          
2005-1A, 1.14% (3 Month USD LIBOR + 0.93%, Rate Floor: 0.93%) due 03/23/245,6   11,464,250    11,166,477 
WAVE LLC          
2019-1, 3.60% due 09/15/446   8,187,890    7,984,484 
Falcon Aerospace Ltd.          
2017-1, 4.58% due 02/15/426   7,549,506    7,232,199 
Stripes Aircraft Ltd.          
2013-1 A1, 3.66% due 03/20/23†††   744,982    661,287 
Turbine Engines Securitization Ltd.          
2013-1A, 5.13% due 12/13/487   704,848    570,977 
Airplanes Pass Through Trust          
2001-1A, due 03/15/19†††7,9   409,604    41 
Total Transport-Aircraft        272,423,372 
Whole Business -  1.0%          
Arbys Funding LLC          
2020-1A, 3.24% due 07/30/506   97,306,125    99,428,372 
ServiceMaster Funding LLC          
2020-1, 3.34% due 01/30/516   28,650,000    29,138,196 
2020-1, 2.84% due 01/30/516   9,800,000    9,979,830 
Domino's Pizza Master Issuer LLC          
2017-1A, 1.47% (3 Month USD LIBOR + 1.25%, Rate Floor: 0.00%) due 07/25/475,6   16,684,000    16,700,350 
2017-1A, 4.12% due 07/25/476   10,427,500    11,170,981 
Wingstop Funding LLC          
2020-1A, 2.84% due 12/05/506   25,500,000    26,016,885 
Wendy's Funding LLC          
2019-1A, 3.78% due 06/15/496   13,056,450    13,833,700 
2015-1A, 4.50% due 06/15/456   7,959,000    8,075,440 
2019-1A, 4.08% due 06/15/496   1,616,375    1,744,748 
Taco Bell Funding LLC          
2016-1A, 4.97% due 05/25/466   14,812,750    15,975,551 
Applebee's Funding LLC / IHOP Funding LLC          
2019-1A, 4.72% due 06/07/496   3,491,250    3,397,300 
DB Master Finance LLC          
2019-1A, 4.35% due 05/20/496   592,500    640,285 
Drug Royalty III Limited Partnership 1          
2017-1A, 3.60% due 04/15/276   521,438    522,446 
Total Whole Business        236,624,084 
Net Lease -  0.9%          
Capital Automotive REIT          
2020-1A, 3.48% due 02/15/506   22,236,731    23,289,237 
2020-1A, 3.81% due 02/15/506   20,061,637    20,983,105 
2014-1A, 3.66% due 10/15/446   10,991,339    11,021,905 
Capital Automotive LLC          
2017-1A, 3.87% due 04/15/476   49,969,834    50,045,473 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 18.1% (continued)
Net Lease -  0.9% (continued)        
2017-1A, 4.18% due 04/15/476   275,822   $280,476 
Oak Street Investment Grade Net Lease Fund Series          
2020-1A, 2.21% due 11/20/506   22,217,665    22,374,413 
2020-1A, 2.26% due 11/20/506   15,000,000    15,105,156 
Store Master Funding I-VII          
2016-1A, 3.96% due 10/20/466   28,758,576    29,546,425 
CF Hippolyta LLC          
2020-1, 2.28% due 07/15/606   10,498,167    10,660,564 
2020-1, 2.60% due 07/15/606   3,817,515    3,854,585 
STORE Master Funding I-VII          
2016-1A, 4.32% due 10/20/466   11,648,014    12,100,325 
STORE Master Funding I LLC          
2015-1A, 4.17% due 04/20/456   9,667,112    10,008,091 
STORE Master Funding LLC          
2014-1A, 5.00% due 04/20/446   4,351,875    4,565,591 
2013-3A, 5.21% due 11/20/436   658,310    678,688 
Total Net Lease        214,514,034 
Infrastructure -  0.7%          
SBA Tower Trust          
2.33% due 01/15/286   140,500,000    141,612,409 
Secured Tenant Site Contract Revenue Notes Series          
2018-1A, 3.97% due 06/15/486   21,921,261    22,431,446 
Diamond Issuer LLC          
2020-1A, 2.74% due 07/20/506   7,900,000    7,901,698 
Total Infrastructure        171,945,553 
Transport-Container -  0.6%          
Textainer Marine Containers VII Ltd.          
2020-1A, 2.73% due 08/21/456   66,349,543    68,248,846 
CLI Funding VI LLC          
2020-3A, 2.07% due 10/18/456   27,619,000    27,855,664 
2020-1A, 2.08% due 09/18/456   5,790,000    5,850,994 
CAL Funding IV Ltd.          
2020-1A, 2.22% due 09/25/456   21,532,500    21,806,273 
Global SC Finance II SRL          
2014-1A, 3.19% due 07/17/296   11,925,333    11,925,484 
Textainer Marine Containers VIII Ltd.          
2020-2A, 2.10% due 09/20/456   11,476,490    11,636,808 
Total Transport-Container        147,324,069 
Collateralized Debt Obligations -  0.5%          
Anchorage Credit Funding Ltd.          
2016-4A, 3.50% due 02/15/356   57,100,000    57,338,964 
2016-3A, 3.85% due 10/28/336   7,500,000    7,579,927 
Anchorage Credit Funding 3 Ltd.          
2021-3A, 2.87% due 01/28/396   54,000,000    54,058,438 
Putnam Structured Product Funding Ltd.          
2003-1A, 1.18% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 10/15/385,7   2,819,799    2,810,788 
Total Collateralized Debt Obligations        121,788,117 
Diversified Payment Rights -  0.1%          
Bib Merchant Voucher Receivables Ltd.          
4.18% due 04/07/28†††   21,400,000    23,014,033 
CCR Incorporated MT100 Payment Rights Master Trust          
2012-CA, 4.75% due 07/10/226   214,881    218,036 
Total Diversified Payment Rights        23,232,069 
Insurance -  0.0%          
Chesterfield Financial Holdings LLC          
2014-1A, 4.50% due 12/15/346   2,981,250    3,065,515 
321 Henderson Receivables VI LLC          
2010-1A, 5.56% due 07/15/596   1,190,936    1,330,936 
JGWPT XXV LLC          
2012-1A, 4.21% due 02/16/656   509,537    597,101 
JG Wentworth XXXV LLC          
2015-2A, 3.87% due 03/15/586   39,296    45,103 
Total Insurance        5,038,655 
Transport-Rail -  0.0%          
TRIP Rail Master Funding LLC          
2017-1A, 2.71% due 08/15/476   699,793    700,677 
Total Asset-Backed Securities          
(Cost $4,338,023,434)        4,339,831,466 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 14.6%
Residential Mortgage Backed Securities -  6.6%        
CSMC Trust        
2020-RPL5, 3.02% due 08/25/606   106,845,439   $107,149,713 
2018-RPL9, 3.85% (WAC) due 09/25/575,6   33,660,003    35,996,341 
2020-NQM1, 1.72% due 05/25/656,10   13,463,760    13,492,005 
FKRT          
2020-C2A, 3.25% due 12/30/237   114,051,000    114,127,018 
Home Equity Loan Trust          
2007-FRE1, 0.34% (1 Month USD LIBOR + 0.19%, Rate Floor: 0.19%) due 04/25/375   80,563,626    75,443,582 
Soundview Home Loan Trust          
2006-OPT5, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 07/25/365   61,811,741    60,091,793 
2005-OPT3, 0.62% (1 Month USD LIBOR + 0.47%, Rate Floor: 0.47%) due 11/25/355   12,125,000    12,061,142 
Starwood Mortgage Residential Trust          
2020-1, 2.28% (WAC) due 02/25/505,6   21,282,783    21,751,277 
2019-1, 2.94% (WAC) due 06/25/495,6   18,426,624    18,690,405 
2020-1, 2.56% (WAC) due 02/25/505,6   12,023,568    12,260,621 
2020-1, 2.41% (WAC) due 02/25/505,6   9,248,898    9,447,338 
JP Morgan Mortgage Acquisition Trust 2006-WMC4          
2006-WMC4, 0.28% (1 Month USD LIBOR + 0.13%, Rate Floor: 0.13%) due 12/25/365   78,177,386    60,285,498 
Verus Securitization Trust          
2020-1, 2.42% due 01/25/606,10   28,873,690    29,411,598 
2019-4, 2.64% due 11/25/596,10   24,418,455    24,984,600 
Citigroup Mortgage Loan Trust, Inc.          
2007-AMC1, 0.31% (1 Month USD LIBOR + 0.16%, Rate Floor: 0.16%) due 12/25/365,6   27,370,195    18,906,438 
2005-HE3, 0.88% (1 Month USD LIBOR + 0.74%, Rate Floor: 0.74%) due 09/25/355   9,851,155    9,813,453 
2007-AMC3, 0.33% (1 Month USD LIBOR + 0.18%, Rate Floor: 0.18%) due 03/25/375   8,324,800    7,483,160 
2006-WF1, 5.19% due 03/25/36   9,867,897    6,937,419 
NovaStar Mortgage Funding Trust Series          
2007-2, 0.35% (1 Month USD LIBOR + 0.20%, Rate Cap/Floor: 11.00%/0.20%) due 09/25/375   41,011,582    39,292,307 
2007-1, 0.28% (1 Month USD LIBOR + 0.13%, Rate Cap/Floor: 11.00%/0.13%) due 03/25/375   3,606,384    2,645,252 
Structured Asset Securities Corporation Mortgage Loan Trust          
2008-BC4, 0.78% (1 Month USD LIBOR + 0.63%, Rate Floor: 0.63%) due 11/25/375   36,422,897    35,648,080 
2006-BC4, 0.32% (1 Month USD LIBOR + 0.17%, Rate Floor: 0.17%) due 12/25/365   4,456,763    4,376,366 
2006-BC6, 0.32% (1 Month USD LIBOR + 0.17%, Rate Floor: 0.17%) due 01/25/375   544,134    533,885 
2006-OPT1, 0.41% (1 Month USD LIBOR + 0.26%, Rate Floor: 0.26%) due 04/25/365   123,767    122,423 
BRAVO Residential Funding Trust          
2019-NQM1, 2.67% (WAC) due 07/25/595,6   25,599,447    26,201,034 
2019-NQM2, 2.75% (WAC) due 11/25/595,6   13,162,193    13,574,626 
CIT Mortgage Loan Trust          
2007-1, 1.50% (1 Month USD LIBOR + 1.35%, Rate Floor: 1.35%) due 10/25/375,6   36,535,506    36,709,466 
Homeward Opportunities Fund I Trust          
2019-3, 2.68% (WAC) due 11/25/595,6   20,218,909    20,584,123 
2019-2, 2.70% (WAC) due 09/25/595,6   14,369,741    14,527,961 
CIM Trust          
2018-R4, 4.07% (WAC) due 12/26/575,6   23,418,092    23,521,412 
2018-R2, 3.69% (WAC) due 08/25/575,6   10,312,409    10,320,487 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 14.6% (continued)
Residential Mortgage Backed Securities -  6.6% (continued)        
Alternative Loan Trust        
2007-OA4, 0.32% (1 Month USD LIBOR + 0.17%, Rate Floor: 0.17%) due 05/25/475   23,009,973   $21,280,900 
2007-OH3, 0.44% (1 Month USD LIBOR + 0.29%, Rate Cap/Floor: 10.00%/0.29%) due 09/25/475   8,659,866    8,067,888 
2007-OA7, 0.33% (1 Month USD LIBOR + 0.18%, Rate Floor: 0.18%) due 05/25/475   3,680,390    3,424,912 
2007-OH3, 0.37% (1 Month USD LIBOR + 0.22%, Rate Cap/Floor: 10.00%/0.22%) due 09/25/475   860,822    796,990 
New Residential Mortgage Loan Trust          
2019-6A, 3.50% (WAC) due 09/25/595,6   13,811,166    14,654,541 
2018-1A, 4.00% (WAC) due 12/25/575,6   11,376,572    12,302,121 
2018-2A, 3.50% (WAC) due 02/25/585,6   2,981,851    3,126,070 
HSI Asset Securitization Corporation Trust          
2006-OPT2, 0.73% (1 Month USD LIBOR + 0.59%, Rate Floor: 0.59%) due 01/25/365   29,140,000    28,944,048 
Cascade Funding Mortgage Trust          
2018-RM2, 4.00% (WAC) due 10/25/685,7   15,656,671    16,165,344 
2019-RM3, 2.80% (WAC) due 06/25/695,7   12,217,566    12,362,601 
GSAMP Trust          
2007-NC1, 0.28% (1 Month USD LIBOR + 0.13%, Rate Floor: 0.13%) due 12/25/465   31,199,528    19,759,859 
2006-HE8, 0.38% (1 Month USD LIBOR + 0.23%, Rate Floor: 0.23%) due 01/25/375   10,107,000    8,620,741 
2005-HE6, 0.81% (1 Month USD LIBOR + 0.66%, Rate Floor: 0.66%) due 11/25/355   104,888    104,604 
American Home Mortgage Investment Trust          
2007-1, 2.08% due 05/25/4711   162,414,234    27,148,335 
ACE Securities Corporation Home Equity Loan Trust Series          
2006-NC1, 0.76% (1 Month USD LIBOR + 0.62%, Rate Floor: 0.62%) due 12/25/355   16,761,000    15,964,028 
2005-HE2, 1.17% (1 Month USD LIBOR + 1.02%, Rate Floor: 1.02%) due 04/25/355   7,700,000    7,629,988 
Residential Mortgage Loan Trust          
2020-1, 2.38% (WAC) due 02/25/245,6   17,794,187    18,134,008 
2020-1, 2.68% (WAC) due 02/25/245,6   4,427,856    4,503,846 
RALI Series Trust          
2007-QO4, 0.34% (1 Month USD LIBOR + 0.19%, Rate Floor: 0.19%) due 05/25/475   6,969,191    6,426,366 
2006-QO2, 0.59% (1 Month USD LIBOR + 0.44%, Rate Floor: 0.44%) due 02/25/465   18,604,109    5,797,238 
2007-QO2, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 02/25/475   9,274,481    4,876,697 
2006-QO2, 0.69% (1 Month USD LIBOR + 0.54%, Rate Floor: 0.54%) due 02/25/465   6,033,219    1,951,525 
2006-QO6, 0.51% (1 Month USD LIBOR + 0.36%, Rate Floor: 0.36%) due 06/25/465   5,251,887    1,842,574 
2007-QO3, 0.31% (1 Month USD LIBOR + 0.16%, Rate Floor: 0.16%) due 03/25/475   1,287,001    1,205,051 
IXIS Real Estate Capital Trust          
2007-HE1, 0.26% (1 Month USD LIBOR + 0.11%, Rate Floor: 0.11%) due 05/25/375   29,463,075    10,032,528 
2006-HE1, 0.75% (1 Month USD LIBOR + 0.60%, Rate Floor: 0.60%) due 03/25/365   13,821,194    9,114,996 
2007-HE1, 0.38% (1 Month USD LIBOR + 0.23%, Rate Floor: 0.23%) due 05/25/375   3,356,792    1,175,964 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 14.6% (continued)
Residential Mortgage Backed Securities -  6.6% (continued)        
2007-HE1, 0.21% (1 Month USD LIBOR + 0.06%, Rate Floor: 0.06%) due 05/25/375   2,746,355   $923,943 
Lehman XS Trust Series          
2007-4N, 0.35% (1 Month USD LIBOR + 0.20%, Rate Floor: 0.20%) due 03/25/475   11,750,196    11,656,802 
2007-2N, 0.33% (1 Month USD LIBOR + 0.18%, Rate Floor: 0.18%) due 02/25/375   6,683,947    6,359,098 
2007-15N, 0.40% (1 Month USD LIBOR + 0.25%, Rate Floor: 0.00%) due 08/25/375   2,816,621    2,607,680 
2006-10N, 0.36% (1 Month USD LIBOR + 0.21%, Rate Floor: 0.21%) due 07/25/465   505,476    498,629 
Bear Stearns Asset Backed Securities I Trust          
2006-HE9, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 11/25/365   21,427,823    20,533,538 
First NLC Trust          
2005-4, 0.93% (1 Month USD LIBOR + 0.78%, Rate Cap/Floor: 14.00%/0.78%) due 02/25/365   17,986,158    17,718,051 
2005-1, 0.61% (1 Month USD LIBOR + 0.46%, Rate Cap/Floor: 14.00%/0.46%) due 05/25/355   2,721,252    2,618,303 
SPS Servicer Advance Receivables Trust          
2020-T2, 1.83% due 11/15/556   20,000,000    20,116,376 
Deephaven Residential Mortgage Trust          
2019-3A, 2.96% (WAC) due 07/25/595,6   14,433,727    14,581,973 
2018-4A, 4.29% (WAC) due 10/25/585,6   4,470,258    4,424,510 
2018-1A, 3.03% (WAC) due 12/25/575,6   1,034,607    1,036,810 
SG Residential Mortgage Trust          
2019-3, 2.70% (WAC) due 09/25/595,6   18,527,435    18,782,041 
Angel Oak Mortgage Trust          
2020-1, 2.77% (WAC) due 12/25/595,6   10,924,270    11,104,900 
2020-1, 2.67% (WAC) due 12/25/595,6   7,246,323    7,365,108 
LSTAR Securities Investment Ltd.          
2019-5, 1.66% (1 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 11/01/245,6   17,977,095    17,772,428 
Argent Securities Incorporated Asset-Backed Pass-Through Certificates Series          
2005-W4, 0.91% (1 Month USD LIBOR + 0.76%, Rate Floor: 0.76%) due 02/25/365   12,538,039    11,392,749 
2005-W2, 0.88% (1 Month USD LIBOR + 0.74%, Rate Floor: 0.74%) due 10/25/355   6,435,000    6,375,981 
ABFC 2007-WMC1 Trust          
2007-WMC1, 1.40% (1 Month USD LIBOR + 1.25%, Rate Floor: 1.25%) due 06/25/375   19,475,650    16,939,239 
Washington Mutual Mortgage Pass-Through Certificates WMALT Series Trust          
2006-AR9, 1.44% (1 Year CMT Rate + 0.83%, Rate Floor: 0.83%) due 11/25/465   11,817,066    10,480,158 
2006-AR9, 1.45% (1 Year CMT Rate + 0.84%, Rate Floor: 0.84%) due 11/25/465   5,557,612    4,658,244 
2006-7, 4.18% due 09/25/36   2,389,819    997,401 
2006-8, 4.24% due 10/25/36   401,055    202,702 
HarborView Mortgage Loan Trust          
2006-14, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 01/25/475   9,682,662    8,828,662 
2006-12, 0.34% (1 Month USD LIBOR + 0.19%, Rate Floor: 0.19%) due 01/19/385   7,519,254    7,009,443 
Securitized Asset Backed Receivables LLC Trust          
2006-WM4, 0.23% (1 Month USD LIBOR + 0.08%, Rate Floor: 0.08%) due 11/25/365   33,344,052    13,156,539 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 14.6% (continued)
Residential Mortgage Backed Securities -  6.6% (continued)        
2006-HE2, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 07/25/365  $3,891,271   $2,225,763 
Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2006-AR10 Trust          
2006-AR10, 0.32% (1 Month USD LIBOR + 0.17%, Rate Floor: 0.17%) due 12/25/365   14,058,653    13,268,279 
Citigroup Mortgage Loan Trust          
2019-IMC1, 2.72% (WAC) due 07/25/495,6   12,810,048    13,039,872 
Morgan Stanley ABS Capital I Incorporated Trust          
2006-HE6, 0.39% (1 Month USD LIBOR + 0.24%, Rate Floor: 0.24%) due 09/25/365   26,344,637    13,036,997 
First Franklin Mortgage Loan Trust          
2006-FF3, 0.73% (1 Month USD LIBOR + 0.58%, Rate Floor: 0.58%) due 02/25/365   8,616,000    8,486,353 
2004-FF10, 1.42% (1 Month USD LIBOR + 1.28%, Rate Floor: 1.28%) due 07/25/345   4,445,766    4,447,796 
Legacy Mortgage Asset Trust          
2018-GS3, 4.00% due 06/25/586,10   12,704,445    12,788,686 
Credit-Based Asset Servicing and Securitization LLC          
2006-CB2, 0.53% (1 Month USD LIBOR + 0.38%, Rate Floor: 0.38%) due 12/25/365   13,017,576    12,588,998 
Asset Backed Securities Corporation Home Equity Loan Trust Series AEG          
2006-HE1, 0.55% (1 Month USD LIBOR + 0.40%, Rate Floor: 0.40%) due 01/25/365   10,072,000    9,687,434 
Morgan Stanley ABS Capital I Incorporated Trust          
2006-NC1, 0.72% (1 Month USD LIBOR + 0.57%, Rate Floor: 0.57%) due 12/25/355   6,698,926    6,658,438 
2007-HE6, 0.21% (1 Month USD LIBOR + 0.06%, Rate Floor: 0.06%) due 05/25/375   3,459,646    3,000,317 
Wachovia Asset Securitization Issuance II LLC Trust          
2007-HE2A, 0.28% (1 Month USD LIBOR + 0.13%, Rate Floor: 0.13%) due 07/25/375,6   5,476,590    5,112,027 
2007-HE1, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 07/25/375,6   4,461,086    4,151,337 
JP Morgan Mortgage Acquisition Trust          
2006-WMC4, 0.27% (1 Month USD LIBOR + 0.12%, Rate Floor: 0.12%) due 12/25/365   13,961,712    8,945,901 
WaMu Mortgage Pass-Through Certificates Series Trust          
2007-OA6, 1.42% (1 Year CMT Rate + 0.81%, Rate Floor: 0.81%) due 07/25/475   6,446,095    5,543,049 
2006-AR13, 1.49% (1 Year CMT Rate + 0.88%, Rate Floor: 0.88%) due 10/25/465   1,938,366    1,773,256 
2006-AR11, 1.53% (1 Year CMT Rate + 0.92%, Rate Floor: 0.92%) due 09/25/465   1,058,005    1,014,218 
WaMu Asset-Backed Certificates WaMu Series          
2007-HE4, 0.32% (1 Month USD LIBOR + 0.17%, Rate Floor: 0.17%) due 07/25/475   6,117,935    5,088,301 
2007-HE4, 0.40% (1 Month USD LIBOR + 0.25%, Rate Floor: 0.25%) due 07/25/475   4,342,115    3,214,116 
Impac Secured Assets CMN Owner Trust          
2005-2, 0.65% (1 Month USD LIBOR + 0.50%, Rate Floor: 0.50%) due 03/25/365   9,095,389    8,208,148 
American Home Mortgage Assets Trust          
2006-4, 0.34% (1 Month USD LIBOR + 0.19%, Rate Floor: 0.19%) due 10/25/465   9,218,302    5,866,301 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 14.6% (continued)
Residential Mortgage Backed Securities -  6.6% (continued)        
2006-6, 0.34% (1 Month USD LIBOR + 0.19%, Rate Floor: 0.19%) due 12/25/465  $2,093,498   $1,729,431 
Merrill Lynch Mortgage Investors Trust Series          
2006-HE6, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 11/25/375   10,510,614    7,176,427 
CSMC Series          
2015-12R, 0.65% (WAC) due 11/30/375,6   6,543,279    6,521,940 
LSTAR Securities Investment Trust          
2019-1, 1.86% (1 Month USD LIBOR + 1.70%, Rate Floor: 0.00%) due 03/01/245,6   6,371,234    6,394,037 
Long Beach Mortgage Loan Trust          
2006-8, 0.31% (1 Month USD LIBOR + 0.16%, Rate Floor: 0.16%) due 09/25/365   8,055,781    3,263,864 
2006-6, 0.40% (1 Month USD LIBOR + 0.25%, Rate Floor: 0.25%) due 07/25/365   5,233,288    2,774,357 
GSAMP Trust 2006-NC2          
2006-NC2, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 06/25/365   7,825,924    5,482,098 
Structured Asset Investment Loan Trust          
2005-11, 0.87% (1 Month USD LIBOR + 0.72%, Rate Floor: 0.72%) due 01/25/365   4,039,805    3,977,369 
2006-3, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 06/25/365   755,316    739,437 
2004-BNC2, 1.35% (1 Month USD LIBOR + 1.20%, Rate Floor: 1.20%) due 12/25/345   722,547    722,826 
ASG Resecuritization Trust          
2010-3, 0.73% (1 Month USD LIBOR + 0.29%, Rate Cap/Floor: 10.50%/0.29%) due 12/28/455,6   4,274,550    4,154,916 
Merrill Lynch Alternative Note Asset Trust Series          
2007-A1, 0.30% (1 Month USD LIBOR + 0.15%, Rate Floor: 0.15%) due 01/25/375   8,611,386    3,848,546 
CWABS Asset-Backed Certificates Trust          
2004-15, 1.50% (1 Month USD LIBOR + 1.35%, Rate Floor: 1.35%) due 04/25/355   3,490,000    3,480,159 
Morgan Stanley Capital I Incorporated Trust          
2006-HE1, 0.73% (1 Month USD LIBOR + 0.58%, Rate Floor: 0.58%) due 01/25/365   3,190,301    3,121,560 
Deutsche Alt-A Securities Mortgage Loan Trust Series          
2007-OA2, 1.38% (1 Year CMT Rate + 0.77%, Rate Floor: 0.77%) due 04/25/475   3,124,723    2,884,800 
Nationstar HECM Loan Trust          
2019-2A, 2.27% (WAC) due 11/25/295,6   2,693,676    2,699,401 
Morgan Stanley Resecuritization Trust          
2014-R9, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 11/26/465,6   2,604,961    2,500,097 
GE-WMC Asset-Backed Pass-Through Certificates Series          
2005-2, 0.65% (1 Month USD LIBOR + 0.50%, Rate Floor: 0.50%) due 12/25/355   2,037,449    2,032,368 
GSAA Home Equity Trust          
2005-6, 0.79% (1 Month USD LIBOR + 0.65%, Rate Floor: 0.65%) due 06/25/355   1,640,550    1,660,933 
2007-7, 0.69% (1 Month USD LIBOR + 0.54%, Rate Floor: 0.54%) due 07/25/375   144,567    140,909 
Nomura Resecuritization Trust          
2015-4R, 1.71% (1 Month USD LIBOR + 0.43%, Rate Floor: 0.43%) due 03/26/365,6   1,266,706    1,259,384 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 14.6% (continued)
Residential Mortgage Backed Securities -  6.6% (continued)        
2015-4R, 0.67% (1 Month USD LIBOR + 0.39%, Rate Floor: 0.39%) due 12/26/365,6   489,942   $480,738 
Countrywide Asset-Backed Certificates          
2005-15, 0.60% (1 Month USD LIBOR + 0.45%, Rate Floor: 0.45%) due 03/25/365   1,500,000    1,447,677 
Impac Secured Assets Trust          
2006-2, 0.32% (1 Month USD LIBOR + 0.17%, Rate Cap/Floor: 11.50%/0.17%) due 08/25/365   1,214,336    1,071,170 
Alliance Bancorp Trust          
2007-OA1, 0.39% (1 Month USD LIBOR + 0.24%, Rate Floor: 0.24%) due 07/25/375   796,173    716,845 
UCFC Manufactured Housing Contract          
1997-2, 7.38% due 10/15/28   371,143    388,806 
Morgan Stanley Re-REMIC Trust          
2010-R5, 1.57% due 06/26/366   199,862    179,802 
Irwin Home Equity Loan Trust          
2007-1, 6.35% due 08/25/376   27,123    27,639 
GreenPoint Mortgage Funding Trust          
2007-AR1, 0.23% (1 Month USD LIBOR + 0.08%, Rate Floor: 0.08%) due 02/25/47†††,5   161    161 
Total Residential Mortgage Backed Securities        1,588,969,178 
Government Agency -  6.0%          
Fannie Mae          
2.43% due 01/01/30   73,200,000    79,213,346 
3.59% due 02/01/29   38,601,855    43,651,867 
3.40% due 02/01/33   25,000,000    29,420,348 
3.60% due 03/01/31   24,586,000    29,071,192 
2.40% due 03/01/40   27,004,000    28,790,427 
2.90% due 11/01/29   21,378,000    23,920,985 
2.81% due 09/01/39   20,780,000    23,446,078 
3.83% due 05/01/49   19,000,000    22,332,542 
2.96% due 11/01/29   18,620,000    20,906,180 
2013-124,  due 12/25/4312   22,187,149    20,333,348 
4.17% due 02/01/49   16,500,000    20,037,594 
2.30% due 11/01/29   17,060,000    18,456,013 
2.46% due 01/01/30   14,500,000    15,744,629 
4.08% due 04/01/49   12,879,000    15,570,166 
3.42% due 09/01/47   12,809,650    14,732,606 
3.07% due 01/01/28   13,100,000    14,287,183 
2.55% due 12/01/29   12,478,000    13,603,059 
2.07% due 10/01/50   13,482,997    13,451,803 
3.59% due 04/01/33   11,197,493    12,868,873 
2.00% due 09/01/50   12,118,431    11,916,493 
4.21% due 10/01/48   9,750,000    11,856,459 
3.03% due 12/01/27   10,900,000    11,854,750 
3.05% due 10/01/29   9,600,000    10,706,787 
3.17% due 02/01/28   9,450,000    10,454,381 
2013-100,  due 10/25/4312   11,059,038    10,072,335 
3.04% due 01/01/28   8,900,000    9,689,612 
1.86% due 11/01/25   8,930,159    9,355,768 
3.43% due 03/01/33   8,100,000    9,288,118 
1.76% due 08/01/40   9,360,000    9,151,943 
3.01% due 12/01/27   7,500,000    8,147,440 
2.09% due 04/01/35   7,721,780    8,106,493 
2.10% due 07/01/50   7,690,933    7,674,427 
2.99% due 09/01/29   6,800,000    7,656,816 
3.29% due 03/01/33   6,700,000    7,575,700 
3.14% due 01/01/28   6,900,000    7,557,034 
4.04% due 08/01/48   6,100,000    7,316,586 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 14.6% (continued)
Government Agency -  6.0% (continued)        
2.79% due 01/01/32   6,505,653   $7,278,761 
3.61% due 04/01/39   6,193,000    7,204,463 
2.15% due 09/01/29   6,683,000    7,127,638 
3.56% due 02/01/38   6,381,039    7,117,262 
3.05% due 03/01/50   6,175,474    6,818,669 
3.13% due 02/01/28   5,900,000    6,264,565 
1.83% due 08/01/40   5,775,944    5,866,210 
2.50% due 04/01/35   5,474,270    5,706,552 
4.07% due 05/01/49   4,797,139    5,653,095 
4.27% due 12/01/33   4,609,140    5,591,883 
3.16% due 11/01/30   4,906,315    5,428,685 
2.17% due 10/01/50   5,304,913    5,338,124 
2.62% due 11/01/28   4,700,000    5,186,262 
2.99% due 01/01/40   4,429,000    5,122,952 
3.11% due 11/01/27   4,500,000    4,976,607 
3.71% due 04/01/31   4,200,000    4,930,530 
3.50% due 02/01/48   4,126,522    4,831,951 
3.76% due 03/01/37   4,000,000    4,662,435 
3.37% due 06/01/39   4,067,000    4,653,097 
2.39% due 02/01/27   4,307,000    4,648,562 
3.65% due 03/01/33   3,600,000    4,154,288 
3.69% due 03/01/29   3,500,000    4,050,580 
4.24% due 08/01/48   3,400,000    4,006,560 
3.92% due 04/01/39   3,198,000    3,862,019 
2.94% due 02/01/40   3,401,115    3,802,014 
3.33% due 04/01/30   2,922,343    3,339,343 
2.96% due 10/01/49   2,911,845    3,239,149 
3.94% due 06/01/35   2,600,000    3,015,463 
3.12% due 02/01/28   2,600,000    2,945,844 
3.50% due 12/01/47   2,681,924    2,911,194 
2.62% due 11/01/29   2,635,000    2,894,820 
2.86% due 01/01/33   2,524,000    2,815,462 
3.26% due 11/01/46   2,456,874    2,768,004 
2.92% due 03/01/50   2,411,257    2,669,123 
2.51% due 07/01/50   2,435,794    2,573,374 
3.58% due 12/01/27   2,229,725    2,545,724 
2.69% due 10/01/34   2,299,594    2,506,671 
3.51% due 11/01/37   2,150,000    2,475,873 
2.53% due 12/01/26   2,250,000    2,408,276 
1.68% due 09/01/37   2,175,923    2,224,511 
4.00% due 12/01/38   1,996,845    2,148,394 
2.68% due 04/01/50   1,975,296    2,132,332 
4.50% due 03/01/48   1,900,387    2,061,577 
2.77% due 02/01/36   1,774,470    1,952,894 
3.46% due 08/01/49   1,713,858    1,918,589 
3.50% due 12/01/46   1,772,108    1,886,859 
3.48% due 04/01/28   1,500,000    1,671,358 
4.00% due 01/01/46   1,407,420    1,526,674 
4.00% due 08/01/47   1,393,440    1,526,601 
3.74% due 02/01/48   1,272,534    1,505,965 
3.08% due 02/01/33   1,300,000    1,486,254 
3.27% due 08/01/34   1,292,609    1,471,816 
2.97% due 11/01/25   1,343,379    1,467,277 
2.32% due 07/01/50   1,402,976    1,440,567 
3.02% due 11/01/27   1,300,000    1,412,580 
4.05% due 09/01/48   1,173,904    1,378,407 
2.89% due 05/01/33   1,234,803    1,366,909 
2.50% due 01/01/35   1,298,872    1,354,100 
3.50% due 12/01/45   1,220,696    1,315,601 
2.25% due 10/01/50   1,296,357    1,300,920 
3.96% due 06/01/49   978,452    1,173,962 
2.34% due 05/01/27   1,070,472    1,151,387 
3.13% due 01/01/30   1,000,000    1,134,360 
3.00% due 07/01/46   1,071,409    1,127,140 
3.60% due 10/01/47   949,076    1,102,670 
3.18% due 09/01/42   881,440    937,508 
3.63% due 01/01/37   719,997    827,462 
3.36% due 12/01/39   700,000    798,357 
3.91% due 07/01/49   686,030    782,347 
4.50% due 02/01/45   640,571    716,027 
2.75% due 11/01/31   635,191    701,532 
3.99% due 06/01/49   538,955    620,633 
5.00% due 12/01/44   441,895    498,080 
5.00% due 05/01/44   427,221    478,326 
3.50% due 08/01/43   410,666    446,608 
4.50% due 05/01/47   400,875    440,650 
4.33% due 09/01/48   338,875    404,140 
4.22% due 04/01/49   315,000    374,748 
Freddie Mac Multifamily Structured Pass Through Certificates          
2019-1513, 2.80% due 08/25/34   68,400,000    78,080,926 
2017-KW03, 3.02% due 06/25/27   65,900,000    73,674,434 
2018-K074, 3.60% due 02/25/28   34,823,000    40,659,491 
2020-KJ28, 2.31% due 10/25/27   30,862,000    33,152,575 
2017-K066, 3.20% due 06/25/27   19,507,000    22,229,206 
2019-KJ27, 2.59% due 03/25/25   19,000,000    20,404,940 
2017-K061, 3.44% (WAC) due 11/25/265   15,000,000    17,155,262 
2016-K060, 3.30% (WAC) due 10/25/265   13,000,000    14,771,368 
2018-K073, 3.45% (WAC) due 01/25/285   11,600,000    13,478,084 
2018-K078, 3.92% due 06/25/28   10,150,000    12,094,019 
2017-K069, 3.25% (WAC) due 09/25/275   10,000,000    11,400,799 
2016-K057, 2.62% due 08/25/26   10,000,000    10,942,786 
2018-K154, 3.46% due 11/25/32   8,500,000    10,123,446 
2016-K152, 3.08% due 01/25/31   7,090,000    8,131,542 
2017-K070, 3.36% due 12/25/27   6,000,000    6,936,709 
2015-K151, 3.51% due 04/25/30   2,105,000    2,491,839 
2015-K043, 0.53% (WAC) due 12/25/245,11   43,181,577    808,791 
2014-K715, 2.86% due 01/25/21   48,311    48,296 
Fannie Mae-Aces          
2017-M11, 2.98% due 08/25/29   52,100,000    59,172,742 
2020-M23, 1.74% due 03/25/35   50,222,656    51,508,652 
2020-M23, 1.50% (WAC) due 03/25/355,11   300,353,159    41,302,554 
2018-M3, 3.09% (WAC) due 02/25/305   7,800,000    8,905,915 
Freddie Mac Seasoned Credit Risk Transfer Trust          
2020-2, 2.00% due 11/25/59   16,804,310    17,319,984 
2020-3, 2.00% due 05/25/60   13,633,317    14,043,630 
Freddie Mac          
3.55% due 10/01/33   4,572,409    5,250,305 
2018-4762, 4.00% due 01/15/46   4,673,889    4,901,920 
3.26% due 09/01/45   2,256,446    2,405,237 
3.50% due 01/01/44   1,599,436    1,730,917 
1.96% due 05/01/50   1,599,346    1,597,351 
4.00% due 02/01/46   1,402,155    1,521,058 
1.95% due 05/01/50   1,473,421    1,469,212 
4.00% due 11/01/45   1,104,977    1,200,717 
3.00% due 08/01/46   1,103,989    1,161,187 
3.40% due 04/01/31   991,979    1,149,392 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 14.6% (continued)
Government Agency -  6.0% (continued)        
4.50% due 06/01/48   911,545   $989,943 
FREMF Mortgage Trust          
2013-K29, 0.13% due 05/25/466,11   734,697,575    1,504,220 
Total Government Agency        1,433,597,036 
Military Housing -  1.1%          
Freddie Mac Military Housing Bonds Resecuritization Trust Certificates          
2015-R1, 1.93% (WAC) due 11/25/555,6   115,464,753    140,443,634 
2015-R1, 6.19% (WAC) due 11/25/525,6   22,197,554    25,924,408 
2015-R1, 4.32% (WAC) due 10/25/525,6   13,639,781    15,746,629 
2015-R1, 0.29% (WAC) due 11/25/555,6,11   173,861,961    12,164,617 
Capmark Military Housing Trust          
2006-RILY, 6.15% due 07/10/516   12,985,049    14,786,471 
2008-AMCW, 6.90% due 07/10/556   8,251,750    11,927,679 
2007-AETC, 5.75% due 02/10/526   7,375,589    8,367,733 
2007-ROBS, 6.06% due 10/10/526   4,651,090    5,394,114 
2006-RILY, 2.09% (1 Month USD LIBOR + 0.37%, Rate Floor: 0.37%) due 07/10/515,6   6,961,721    4,038,477 
2007-AET2, 6.06% due 10/10/526   3,055,402    3,545,410 
GMAC Commercial Mortgage Asset Corp.          
2007-HCKM, 6.11% due 08/10/526   22,085,680    25,167,196 
2005-DRUM, 5.47% due 05/10/50†††,6   4,513,969    4,942,883 
2005-BLIS, 5.25% due 07/10/506   2,500,000    2,811,241 
Total Military Housing        275,260,492 
Commercial Mortgage Backed Securities -  0.9%          
Citigroup Commercial Mortgage Trust          
2019-GC43, 0.63% (WAC) due 11/10/525,11   219,618,204    10,114,472 
2019-GC41, 1.06% (WAC) due 08/10/565,11   104,734,670    7,265,894 
2016-C2, 1.75% (WAC) due 08/10/495,11   33,321,137    2,527,555 
2016-P4, 1.96% (WAC) due 07/10/495,11   31,614,973    2,422,583 
2016-P5, 1.50% (WAC) due 10/10/495,11   30,623,133    1,794,758 
2016-GC37, 1.70% (WAC) due 04/10/495,11   20,754,674    1,476,612 
2015-GC35, 0.78% (WAC) due 11/10/485,11   30,579,518    874,262 
2015-GC29, 1.04% (WAC) due 04/10/485,11   19,504,724    745,190 
2016-C3, 1.14% (WAC) due 11/15/495,11   11,957,818    528,046 
2013-GC15, 4.37% (WAC) due 09/10/465   380,000    414,522 
GB Trust          
2020-FLIX, 2.51% (1 Month USD LIBOR + 2.35%, Rate Floor: 2.35%) due 08/15/375,6   23,300,000    23,461,849 
2020-FLIX, 1.76% (1 Month USD LIBOR + 1.60%, Rate Floor: 1.60%) due 08/15/375,6   2,000,000    2,008,982 
Wells Fargo Commercial Mortgage Trust          
2017-C38, 1.05% (WAC) due 07/15/505,11   71,386,805    3,658,238 
2016-BNK1, 1.74% (WAC) due 08/15/495,11   36,334,555    2,843,746 
2017-RB1, 1.24% (WAC) due 03/15/505,11   40,036,818    2,482,219 
2016-C35, 1.93% (WAC) due 07/15/485,11   26,100,305    2,076,133 
2017-C42, 0.88% (WAC) due 12/15/505,11   34,992,353    1,782,136 
2015-NXS4, 1.04% (WAC) due 12/15/485,11   40,194,474    1,701,042 
2017-RC1, 1.49% (WAC) due 01/15/605,11   25,686,230    1,613,910 
2016-C32, 4.73% (WAC) due 01/15/595   1,400,000    1,556,455 
2016-NXS5, 1.46% (WAC) due 01/15/595,11   24,053,044    1,389,087 
2015-P2, 0.92% (WAC) due 12/15/485,11   28,005,274    1,084,221 
2015-C30, 0.89% (WAC) due 09/15/585,11   30,459,152    1,065,330 
2016-C37, 0.96% (WAC) due 12/15/495,11   15,598,655    494,549 
2015-NXS1, 1.10% (WAC) due 05/15/485,11   8,927,661    329,341 
GS Mortgage Securities Trust          
2020-GC45, 0.67% (WAC) due 02/13/535,11   153,965,229    7,647,761 
2019-GC42, 0.81% (WAC) due 09/01/525,11   69,784,441    4,001,398 
2017-GS6, 1.04% (WAC) due 05/10/505,11   42,419,756    2,364,117 
2017-GS6, 3.87% due 05/10/50   521,000    577,829 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 14.6% (continued)
Commercial Mortgage Backed Securities -  0.9% (continued)        
2015-GC28, 1.00% (WAC) due 02/10/485,11   16,157,986   $540,902 
JPMDB Commercial Mortgage Securities Trust          
2017-C7, 0.88% (WAC) due 10/15/505,11   135,436,567    6,119,769 
2016-C4, 0.79% (WAC) due 12/15/495,11   85,195,328    3,295,057 
2016-C4, 3.64% (WAC) due 12/15/495   2,650,000    2,819,893 
2016-C2, 1.57% (WAC) due 06/15/495,11   28,109,458    1,651,209 
2017-C5, 0.93% (WAC) due 03/15/505,11   8,554,044    390,253 
COMM Mortgage Trust          
2018-COR3, 0.44% (WAC) due 05/10/515,11   197,583,653    5,781,436 
2015-CR26, 0.93% (WAC) due 10/10/485,11   83,919,975    3,050,256 
2015-CR24, 0.76% (WAC) due 08/10/485,11   47,130,347    1,398,998 
2015-CR23, 0.89% (WAC) due 05/10/485,11   40,881,422    1,212,032 
2015-CR27, 0.94% (WAC) due 10/10/485,11   27,225,095    1,009,487 
2015-CR23, 3.80% due 05/10/48   700,000    770,575 
2013-CR13, 0.76% (WAC) due 11/10/465,11   36,483,003    699,671 
2014-LC15, 1.09% (WAC) due 04/10/475,11   11,234,439    308,747 
BENCHMARK Mortgage Trust          
2019-B14, 0.79% (WAC) due 12/15/625,11   109,571,295    5,491,626 
2018-B2, 0.42% (WAC) due 02/15/515,11   131,508,609    2,786,457 
2018-B6, 0.44% (WAC) due 10/10/515,11   64,488,397    1,535,836 
2018-B6, 4.62% (WAC) due 10/10/515   750,000    860,087 
GS Mortgage Securities Corporation Trust          
2020-UPTN, 3.25% (WAC) due 02/10/375,6   5,350,000    5,235,813 
2020-DUNE, 1.51% (1 Month USD LIBOR + 1.35%, Rate Floor: 1.35%) due 12/15/365,6   3,750,000    3,554,182 
2020-DUNE, 2.06% (1 Month USD LIBOR + 1.90%, Rate Floor: 1.90%) due 12/15/365,6   1,000,000    898,563 
CSAIL Commercial Mortgage Trust          
2019-C15, 1.05% (WAC) due 03/15/525,11   97,104,759    6,298,623 
2015-C1, 0.83% (WAC) due 04/15/505,11   51,175,296    1,412,581 
2016-C6, 1.92% (WAC) due 01/15/495,11   5,589,888    418,298 
BANK          
2020-BN25, 0.44% (WAC) due 01/15/635,11   140,000,000    5,219,830 
2017-BNK6, 0.82% (WAC) due 07/15/605,11   42,695,502    1,699,332 
2017-BNK4, 1.40% (WAC) due 05/15/505,11   12,900,467    816,763 
BX Commercial Mortgage Trust          
2019-XL, 2.16% (1 Month USD LIBOR + 2.00%, Rate Floor: 2.00%) due 10/15/365,6   6,882,409    6,778,884 
GRACE Mortgage Trust          
2014-GRCE, 3.37% due 06/10/286   6,000,000    5,999,329 
UBS Commercial Mortgage Trust          
2017-C5, 1.00% (WAC) due 11/15/505,11   53,480,238    2,568,453 
2017-C2, 1.08% (WAC) due 08/15/505,11   50,650,865    2,495,330 
CD Mortgage Trust          
2016-CD1, 1.39% (WAC) due 08/10/495,11   34,507,488    1,997,559 
2017-CD6, 0.92% (WAC) due 11/13/505,11   45,387,388    1,874,417 
2016-CD2, 0.65% (WAC) due 11/10/495,11   34,145,774    880,544 
Bancorp Commercial Mortgage Trust          
2018-CR3, 1.41% (1 Month USD LIBOR + 1.25%, Rate Floor: 1.25%) due 01/15/335,6   4,128,432    4,117,444 
JP Morgan Chase Commercial Mortgage Securities Trust          
2016-JP3, 1.42% (WAC) due 08/15/495,11   68,149,616    4,083,580 
CD Commercial Mortgage Trust          
2017-CD4, 1.29% (WAC) due 05/10/505,11   31,845,851    1,861,587 
2017-CD3, 1.01% (WAC) due 02/10/505,11   34,287,376    1,662,835 
JPMBB Commercial Mortgage Securities Trust          
2015-C27, 1.16% (WAC) due 02/15/485,11   71,901,355    2,850,702 
2013-C12, 0.47% (WAC) due 07/15/455,11   34,820,335    303,814 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 14.6% (continued)
Commercial Mortgage Backed Securities -  0.9% (continued)        
BBCMS Mortgage Trust        
2018-C2, 0.77% (WAC) due 12/15/515,11   58,167,124   $2,934,880 
JPMCC Commercial Mortgage Securities Trust          
2017-JP6, 1.14% (WAC) due 07/15/505,11   57,667,637    2,870,747 
CGMS Commercial Mortgage Trust          
2017-B1, 0.83% (WAC) due 08/15/505,11   65,372,042    2,645,639 
Morgan Stanley Bank of America Merrill Lynch Trust          
2015-C27, 0.91% (WAC) due 12/15/475,11   70,042,114    2,410,527 
Cam Commercial Mortgage Corp.          
2002-CAM2, 6.16% due 12/14/216   2,273,524    2,350,687 
CFCRE Commercial Mortgage Trust          
2016-C3, 1.00% (WAC) due 01/10/485,11   38,802,580    1,673,877 
Banc of America Commercial Mortgage Trust          
2017-BNK3, 1.11% (WAC) due 02/15/505,11   23,874,537    1,214,214 
DBJPM Mortgage Trust          
2017-C6, 1.02% (WAC) due 06/10/505,11   24,686,588    1,144,623 
SG Commercial Mortgage Securities Trust          
2016-C5, 1.96% (WAC) due 10/10/485,11   6,063,776    422,884 
Morgan Stanley Capital I Trust          
2016-UBS9, 4.70% (WAC) due 03/15/495   275,000    268,287 
GS Mortgage Securities Corporation II          
2013-GC10, 2.94% due 02/10/46   225,000    233,480 
WFRBS Commercial Mortgage Trust          
2013-C12, 1.19% (WAC) due 03/15/485,6,11   8,581,688    169,480 
Total Commercial Mortgage Backed Securities        211,392,316 
Total Collateralized Mortgage Obligations          
(Cost $3,374,577,695)        3,509,219,022 
           
SENIOR FLOATING RATE INTERESTS††,5 - 6.1%          
Consumer, Non-cyclical -  1.4%          
US Foods, Inc.          
4.25% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.25%) due 04/24/25†††   53,232,813    52,168,156 
Bombardier Recreational Products, Inc.          
6.00% (3 Month USD LIBOR + 5.00%, Rate Floor: 6.00%) due 05/24/27   51,221,625    52,143,614 
Packaging Coordinators Midco, Inc.          
4.50% (6 Month USD LIBOR + 3.75%, Rate Floor: 4.50%) due 11/30/27   32,358,332    32,358,332 
Sunshine Investments BV          
3.25% (3 Month EURIBOR + 3.25%, Rate Floor: 3.25%) due 03/28/25   EUR  20,259,706    24,541,129 
Nidda Healthcare Holding GmbH          
3.50% (3 Month EURIBOR + 3.50%, Rate Floor: 3.50%) due 08/21/26   EUR  18,276,306    22,103,745 
Southern Veterinary Partners LLC          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 10/05/27†††   19,553,030    19,455,265 
HAH Group Holding Co LLC          
6.00% (3 Month USD LIBOR + 5.00%, Rate Floor: 6.00%) due 10/29/27   15,657,759    15,520,753 
Sigma Holding BV (Flora Food)          
3.50% (1 Month EURIBOR + 3.50% and 6 Month EURIBOR + 3.50%, Rate Floor: 3.50%) due 07/02/25   EUR  11,500,000    13,795,082 
National Mentor Holdings, Inc.          
due 03/09/26   12,192,300    12,164,380 
Quirch Foods Holdings LLC          
6.25% (3 Month USD LIBOR + 5.25% and 6 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 10/27/27   11,700,000    11,612,250 
WellSky Corp.          
due 02/09/24†††   11,550,000    11,521,125 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,5 - 6.1% (continued)
Consumer, Non-cyclical -  1.4% (continued)        
Weber-Stephen Products LLC        
4.00% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.00%) due 10/29/27   8,900,000   $8,904,450 
Energizer Holdings, Inc.          
due 12/16/27   7,500,000    7,485,975 
Avantor Funding, Inc.          
3.50% (1 Month USD LIBOR + 2.50%, Rate Floor: 3.50%) due 11/08/27   7,400,000    7,404,662 
Elanco Animal Health, Inc.          
1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 08/02/27   6,818,757    6,752,002 
IQVIA, Inc.          
2.00% (3 Month EURIBOR + 2.00%, Rate Floor: 2.00%) due 03/07/24   EUR  4,929,123    5,996,919 
Arterra Wines Canada, Inc.          
4.25% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.25%) due 11/24/27   5,400,000    5,423,652 
Dole Food Company, Inc.          
3.75% (1 Month USD LIBOR + 2.75%, Rate Floor: 3.75%) due 04/06/24   3,837,179    3,827,587 
B&G Foods, Inc.          
2.65% (1 Month USD LIBOR + 2.50%, Rate Floor: 2.50%) due 10/12/26   3,300,000    3,290,562 
Callaway Golf Company          
4.65% (1 Month USD LIBOR + 4.50%, Rate Floor: 4.50%) due 01/02/26   2,524,965    2,528,121 
Civitas Solutions, Inc.          
4.43% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 03/09/26   2,063,312    2,058,587 
4.51% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 03/09/26   92,456    92,244 
Hayward Industries, Inc.          
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 08/05/24   2,010,140    1,984,169 
Hostess Brands LLC          
3.00% (1 Month USD LIBOR + 2.25% and 3 Month USD LIBOR + 2.25%, Rate Floor: 3.00%) due 08/04/25   827,904    822,730 
Midwest Physician Administrative Services          
3.50% (1 Month USD LIBOR + 2.75%, Rate Floor: 3.50%) due 08/15/24   498,715    493,937 
Atkins Nutritionals, Inc.          
4.75% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 07/07/24   183,006    183,291 
Total Consumer, Non-cyclical        324,632,719 
Industrial -  1.2%          
American Bath Group LLC          
5.25% (3 Month USD LIBOR + 4.50%, Rate Floor: 5.25%) due 11/23/27   33,750,000    33,792,188 
Mileage Plus Holdings LLC          
6.25% (3 Month USD LIBOR + 5.25%, Rate Floor: 6.25%) due 06/21/27   30,500,000    31,701,090 
Delta Air Lines, Inc.          
5.75% (3 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 05/01/23   28,925,199    29,333,333 
IFCO Management GmbH          
3.50% (3 Month EURIBOR + 3.50%, Rate Floor: 3.50%) due 05/29/26   EUR  19,870,000    24,185,849 
Galileo Global Education Finance SARL          
3.25% (3 Month EURIBOR + 3.25%, Rate Floor: 3.25%) due 11/06/26   EUR  19,200,000    23,297,595 
AI Convoy Luxembourg SARL          
3.75% (3 Month EURIBOR + 3.75%, Rate Floor: 3.75%) due 01/18/27   EUR  18,618,000    22,690,119 
Vertical (TK Elevator)          
4.57% (3 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 07/30/27   12,817,875    12,861,328 
4.25% (3 Month EURIBOR + 4.25%, Rate Floor: 4.25%) due 07/30/27   EUR  3,000,000    3,684,934 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,5 - 6.1% (continued)
Industrial -  1.2% (continued)        
TransDigm, Inc.        
2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 12/09/25   14,914,578   $14,596,152 
2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 05/30/25   1,492,462    1,460,747 
Pelican Products, Inc.          
4.50% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 05/01/25   15,088,899    14,761,922 
Alliance Laundry Systems LLC          
4.25% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.25%) due 10/08/27   13,700,000    13,682,875 
Fugue Finance BV          
3.25% (3 Month EURIBOR + 3.25%, Rate Floor: 3.25%) due 08/30/24   EUR  10,500,000    12,642,339 
Service Logic Acquisition, Inc.          
4.75% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.75%) due 10/29/27   9,890,149    9,877,787 
CapStone Acquisition Holdings, Inc.          
5.75% (3 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 11/12/27   6,784,000    6,829,249 
DXP Enterprises, Inc.          
5.75% (1 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 12/16/27   6,000,000    5,955,000 
Diversitech Holdings, Inc.          
4.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 06/03/24   5,775,631    5,713,081 
YAK MAT (YAK ACCESS LLC)          
10.24% (3 Month USD LIBOR + 10.00%, Rate Floor: 10.00%) due 07/10/26   7,240,000    5,068,000 
American Residential Services LLC          
4.25% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.25%) due 10/15/27   5,000,000    4,987,500 
Consolidated Container Co. LLC          
3.75% (1 Month USD LIBOR + 2.75%, Rate Floor: 3.75%) due 05/22/24   4,789,496    4,772,541 
Berlin Packaging LLC          
3.16% (1 Month USD LIBOR + 3.00% and 3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 11/07/25   4,581,725    4,500,995 
Charter Nex US Holdings, Inc.          
5.00% (1 Month USD LIBOR + 4.25%, Rate Floor: 5.00%) due 12/01/27   4,300,000    4,317,200 
Filtration Group Corp.          
3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/31/25   1,661,120    1,641,685 
Anchor Packaging LLC          
4.15% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 07/20/26   1,368,246    1,364,825 
CPG International LLC          
4.75% (3 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 05/06/24   508,112    507,350 
CHI Overhead Doors, Inc.          
4.50% (1 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 07/31/25   448,875    449,436 
Gates Global LLC          
3.75% (1 Month USD LIBOR + 2.75%, Rate Floor: 3.75%) due 04/01/24   401,328    399,879 
Pike Corp.          
4.12% (1 Month USD LIBOR + 3.97%, Rate Floor: 3.97%) due 07/24/26   375,190    373,716 
Fly Funding II SARL          
2.50% (3 Month USD LIBOR + 1.75%, Rate Floor: 2.50%) due 08/11/25   306,294    289,319 
VC GB Holdings, Inc.          
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 02/28/24†††   200,000    199,500 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,5 - 6.1% (continued)
Industrial -  1.2% (continued)        
BWAY Holding Co.        
3.48% (3 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 04/03/24   124,036   $119,540 
API Heat Transfer          
12.00% (3 Month USD LIBOR, Rate Floor: 1.00%) (in–kind rate was 11.00%) due 01/01/24†††,13   44,655    39,855 
12.00% (3 Month USD LIBOR, Rate Floor: 1.00%) (in- kind rate was 11.00%) due 10/02/23†††,13   7,967    7,250 
Total Industrial        296,104,179 
Financial -  0.8%          
Citadel Securities LP          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 02/27/26   44,118,589    44,100,060 
USI, Inc.          
4.50% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.50%) due 12/02/26   19,002,375    18,943,088 
3.25% (3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 05/16/24   6,505,987    6,407,031 
Jefferies Finance LLC          
4.50% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.50%) due 09/30/27   20,548,500    20,497,129 
3.19% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 06/03/26   1,914,279    1,898,008 
Nexus Buyer LLC          
3.90% (1 Month USD LIBOR + 3.75%, Rate Floor: 3.75%) due 11/09/26   21,704,609    21,523,810 
Higginbotham          
6.50% (1 Month USD LIBOR + 5.75%, Rate Floor: 6.50%) due 11/25/26   18,806,358    18,524,263 
HUB International Ltd.          
2.96% (3 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 04/25/25   13,937,052    13,671,412 
Cross Financial Corp.          
5.50% (1 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 09/15/27   12,150,000    12,150,000 
Duff & Phelps          
4.75% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 04/09/27   10,274,185    10,275,829 
Alliant Holdings Intermediate LLC          
3.40% (1 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 05/09/25   7,594,702    7,468,098 
4.25% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.25%) due 11/05/27   897,058    896,501 
Ryan Specialty Group LLC          
4.00% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.00%) due 09/01/27   6,583,500    6,558,812 
GT Polaris, Inc.          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 09/24/27   5,436,375    5,451,325 
NFP Corp.          
3.40% (1 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 02/15/27   5,472,214    5,350,075 
PAI Holdco, Inc.          
5.00% (3 Month USD LIBOR + 4.00%, Rate Floor: 5.00%) due 10/22/27   5,150,000    5,150,000 
Jane Street Group LLC          
3.23% (3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 01/31/25   3,084,102    3,075,620 
AmeriLife Holdings LLC          
4.15% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 03/18/27   563,521    555,068 
Virtu Financial, Inc.          
3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/01/26   500,000    498,645 
Total Financial        202,994,774 
Consumer, Cyclical -  0.8%          
CHG Healthcare Services, Inc.          
4.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 06/07/23   44,420,237    44,094,192 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,5 - 6.1% (continued)
Consumer, Cyclical -  0.8% (continued)        
Samsonite IP Holdings SARL        
5.50% (1 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 04/25/25   37,890,595   $37,630,287 
BGIS (BIFM CA Buyer, Inc.)          
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 06/01/26   32,969,018    32,845,384 
CNT Holdings I Corp.          
4.50% (6 Month USD LIBOR + 3.75%, Rate Floor: 4.50%) due 11/08/27   24,250,000    24,208,290 
Adevinta ASA          
due 10/22/27   EUR  11,000,000    13,450,134 
3.75% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.75%) due 10/22/27   3,800,000    3,794,072 
Packers Sanitation Services, Inc.          
4.75% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.75%) due 12/04/24   5,900,000    5,896,342 
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 12/04/24   1,081,637    1,076,229 
BCPE Empire Holdings, Inc.          
5.00% (1 Month USD LIBOR + 4.25%, Rate Floor: 5.00%) due 06/11/26   6,000,000    5,966,280 
Power Solutions (Panther)          
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 04/30/26   4,509,814    4,486,318 
Wabash National Corporation          
4.00% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.00%) due 09/28/27   4,250,000    4,223,437 
Verisure Holding AB          
4.00% (6 Month EURIBOR + 4.00%, Rate Floor: 4.00%) due 07/20/26   EUR  3,000,000    3,674,267 
Cast & Crew Payroll LLC          
3.90% (1 Month USD LIBOR + 3.75%, Rate Floor: 3.75%) due 02/09/26   2,403,801    2,338,441 
Whatabrands, LLC          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 07/31/26   1,341,787    1,328,155 
1011778 BC Unlimited Liability Co.          
1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 11/19/26   1,041,113    1,025,173 
Total Consumer, Cyclical        186,037,001 
Technology -  0.7%          
Ascend Learning LLC          
4.75% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 07/12/24   54,638,063    54,729,308 
Planview Parent, Inc.          
4.75% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.75%) due 12/10/27   15,909,394    15,869,620 
due 12/10/27   10,350,000    10,246,500 
Valkyr Purchaser, LLC          
4.75% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.75%) due 11/05/27   23,250,000    22,959,375 
RP Crown Parent LLC (Blue Yonder)          
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 02/02/26   11,641,500    11,612,396 
Sabre GLBL, Inc.          
due 12/10/27   9,650,000    9,662,063 
Cloudera, Inc.          
3.25% (1 Month USD LIBOR + 2.50%, Rate Floor: 3.25%) due 12/22/27   8,000,000    7,980,000 
E2open LLC          
due 10/29/27   7,000,000    6,978,160 
Imprivata, Inc.          
4.25% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.25%) due 12/01/27   6,600,000    6,600,000 
Sportradar Capital SARL          
4.25% (3 Month EURIBOR + 4.25%, Rate Floor: 4.25%) due 11/22/27   EUR  5,300,000    6,465,236 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,5 - 6.1% (continued)
Technology -  0.7% (continued)        
Provation Software Group, Inc.        
5.50% (6 Month USD LIBOR + 4.75%, Rate Floor: 5.50%) due 12/16/27   6,500,000   $6,402,500 
Navicure, Inc.          
4.75% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.75%) due 10/22/26   4,688,250    4,676,529 
Cologix Holdings, Inc.          
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 03/20/24   2,396,447    2,370,350 
4.75% (1 Month USD LIBOR + 3.75%, Rate Floor: 4.75%) due 03/20/24   2,100,000    2,077,131 
Project Boost Purchaser LLC          
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 06/01/26   3,366,977    3,329,099 
Informatica LLC          
3.40% (1 Month USD LIBOR + 3.25%, Rate Floor: 3.25%) due 02/25/27   1,920,762    1,902,764 
Solera LLC          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 03/03/23   878,727    871,039 
Aston FinCo SARL          
4.40% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 10/09/26   644,130    634,668 
Neustar, Inc.          
4.50% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 08/08/24   17,770    17,181 
Aspect Software, Inc.          
6.00% (3 Month USD LIBOR + 5.00%, Rate Floor: 6.00%) due 01/15/24   9,708    9,336 
Total Technology        175,393,255 
Communications -  0.5%          
UPC Financing Partnership          
3.68% (3 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 01/31/29   22,575,000    22,586,287 
3.67% (3 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 01/31/29   22,575,000    22,586,288 
Syndigo LLC          
5.25% (6 Month USD LIBOR + 4.50%, Rate Floor: 5.25%) due 12/10/27   24,900,000    24,713,250 
Xplornet Communications Inc.          
4.90% (1 Month USD LIBOR + 4.75%, Rate Floor: 4.75%) due 06/10/27   21,251,000    21,256,313 
ProQuest, LLC          
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 10/23/26   19,650,000    19,600,875 
Alchemy Copyrights LLC          
4.00% (1 Month USD LIBOR + 3.25%, Rate Floor: 4.00%) due 08/16/27†††   6,050,000    6,065,125 
Radiate Holdco, LLC          
4.25% (1 Month USD LIBOR + 3.50%, Rate Floor: 4.25%) due 09/25/26   2,250,000    2,251,058 
Zayo Group Holdings, Inc.          
3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/09/27   1,652,094    1,639,703 
Authentic Brands          
4.50% (3 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 09/27/24   1,071,454    1,062,271 
Titan US Finco LLC          
4.25% (3 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 05/01/26   1,035,107    1,019,581 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,5 - 6.1% (continued)
Communications -  0.5% (continued)        
Internet Brands, Inc.        
3.65% (1 Month USD LIBOR + 3.50%, Rate Floor: 3.50%) due 09/13/24   297,692   $293,340 
Total Communications        123,074,091 
Basic Materials -  0.3%          
Illuminate Buyer LLC          
4.15% (1 Month USD LIBOR + 4.00%, Rate Floor: 4.00%) due 06/30/27   28,564,333    28,552,336 
GrafTech Finance, Inc.          
4.50% (1 Month USD LIBOR + 3.50%, Rate Floor: 4.50%) due 02/12/25   26,081,415    26,027,166 
LSF11 Skyscraper HoldCo SARL          
5.74% (3 Month USD LIBOR + 5.50%, Rate Floor: 5.50%) due 09/29/27   16,980,716    16,895,813 
PQ Corp.          
4.00% (3 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 02/08/27   7,340,985    7,333,350 
Pregis TopCo Corp.          
3.90% (1 Month USD LIBOR + 3.75%, Rate Floor: 3.75%) due 07/31/26   1,435,500    1,428,323 
Clearwater Paper Corp.          
3.25% (3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 07/24/26†††   540,257    541,608 
Total Basic Materials        80,778,596 
Utilities -  0.3%          
Hamilton Projects Acquiror LLC          
5.75% (3 Month USD LIBOR + 4.75%, Rate Floor: 5.75%) due 06/17/27   53,664,602    53,698,410 
RS Ivy Holdco, Inc.          
6.50% (3 Month USD LIBOR + 5.50%, Rate Floor: 6.50%) due 12/23/27   6,000,000    5,940,000 
Total Utilities        59,638,410 
Energy -  0.1%          
Venture Global Calcasieu Pass LLC          
2.53% (1 Month USD LIBOR + 2.38% and 3 Month USD LIBOR + 2.38%, Rate Floor: 2.38%) due 08/19/26   13,400,761    12,596,715 
Total Senior Floating Rate Interests          
(Cost $1,432,519,779)        1,461,249,740 
           
U.S. GOVERNMENT SECURITIES†† - 4.3%          
U.S. Treasury Notes          
0.25% due 05/31/2514   403,300,000    402,528,060 
2.00% due 04/30/24   12,460,000    13,206,627 
1.75% due 06/30/2414   9,101,000    9,591,601 
2.38% due 02/29/2414   7,749,000    8,283,257 
0.50% due 04/30/27   6,780,000    6,763,050 
1.38% due 02/15/23   4,500,000    4,618,652 
1.75% due 12/31/26   4,000,000    4,298,594 
1.50% due 10/31/24   3,820,000    4,003,688 
2.25% due 08/15/27   3,370,000    3,736,751 
0.50% due 05/31/27   2,600,000    2,590,859 
1.13% due 02/28/27   2,250,000    2,333,232 
2.13% due 05/15/25   880,000    949,781 
U.S. Treasury Strips          
due 02/15/5012,14,15   736,163,000    449,419,775 
U.S. Treasury Bonds          
due 08/15/5012,15   160,000,000    96,628,376 
8.00% due 11/15/21   5,600,000    5,980,625 
7.88% due 02/15/21   5,500,000    5,548,454 
8.13% due 08/15/21   3,900,000    4,092,563 
2.88% due 08/15/45   2,630,000    3,346,161 
2.38% due 11/15/49   2,300,000    2,701,871 
1.38% due 08/15/50   2,450,000    2,294,578 
2.75% due 11/15/42   700,000    867,262 
Total U.S. Government Securities          
(Cost $1,040,815,350)        1,033,783,817 
           
FEDERAL AGENCY BONDS†† - 2.8%          
Residual Funding Corporation Principal Strips          
due 01/15/3012,15   119,764,000    106,523,023 
due 04/15/3012,15   110,870,000    98,508,944 
Freddie Mac Principal Strips          
due 07/15/3214,15   123,250,000    104,394,773 
Fannie Mae Principal Strips          
due 07/15/3712,14,15   89,850,000    65,756,068 
due 11/15/3012,14,15   37,570,000    32,965,582 
due 08/06/3814,15   5,850,000    4,142,890 
Tennessee Valley Authority          
4.25% due 09/15/65   32,550,000    49,110,540 
5.38% due 04/01/56   8,960,000    15,412,808 
due 03/15/3311,15   3,000,000    2,413,561 
due 01/15/2811,15   2,011,000    1,844,639 
due 03/15/3511,15   1,142,000    857,536 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
FEDERAL AGENCY BONDS†† - 2.8% (continued)
due 09/15/5311,15   1,612,000   $704,506 
due 09/15/5511,15   1,612,000    669,129 
due 09/15/5611,15   1,612,000    652,059 
due 03/15/5711,15   1,612,000    643,333 
due 09/15/5711,15   1,612,000    634,702 
due 09/15/5811,15   1,612,000    617,752 
due 03/15/5911,15   1,612,000    609,432 
due 09/15/5911,15   1,612,000    601,202 
due 09/15/6011,15   1,612,000    584,733 
due 09/15/5411,15   1,020,000    434,448 
due 03/15/6111,15   1,020,000    365,107 
due 09/15/6111,15   1,020,000    360,179 
due 09/15/6211,15   1,020,000    350,506 
due 03/15/6311,15   1,020,000    345,759 
due 09/15/6311,15   1,020,000    341,065 
due 09/15/6411,15   1,020,000    331,851 
due 03/15/6511,15   1,020,000    327,332 
due 09/15/6511,15   1,020,000    322,767 
Freddie Mac          
due 01/02/3414,15   18,000,000    14,600,601 
due 03/15/3014,15   12,050,000    10,680,024 
due 07/15/3014,15   8,600,000    7,551,454 
due 01/15/3114,15   7,750,000    6,738,639 
due 09/15/3614,15   7,355,000    5,481,187 
due 11/15/3814,15   6,000,000    4,300,607 
due 09/15/3014,15   2,906,000    2,543,219 
due 03/15/3114,15   2,500,000    2,167,044 
2.05% due 08/19/50   2,010,000    1,932,436 
due 07/15/3114,15   1,800,000    1,550,605 
due 01/15/3014,15   1,050,000    930,947 
2.02% due 10/05/45   720,000    703,356 
Tennessee Valley Authority Principal Strips          
due 01/15/4812,15   38,400,000    19,405,615 
due 12/15/4212,15   23,785,000    14,319,095 
due 01/15/3815   15,800,000    11,263,444 
Federal Farm Credit Bank Funding Corp.          
2.43% due 01/29/3714   13,720,000    15,301,608 
2.00% due 05/14/40   3,000,000    2,984,325 
2.04% due 12/22/45   2,870,000    2,872,438 
2.59% due 02/26/35   2,150,000    2,157,277 
1.99% due 07/30/40   2,000,000    2,000,304 
3.11% due 08/05/48   1,500,000    1,828,658 
3.79% due 05/18/44   1,000,000    1,338,104 
2.88% due 10/01/40   100,000    116,090 
3.67% due 02/26/44   70,000    92,003 
U.S. International Development Finance Corp.          
3.17% due 10/05/34   11,176,953    12,883,190 
1.79% due 10/15/29   9,704,279    10,233,843 
Fannie Mae          
due 01/15/3214,15   9,413,000    8,042,666 
due 07/15/3215   3,963,000    3,345,351 
due 01/15/3515   2,250,000    1,776,125 
due 02/06/3314,15   1,456,000    1,211,872 
due 01/15/3315   1,450,000    1,208,704 
Federal Home Loan Bank          
3.63% due 06/22/4314   4,850,000    6,288,248 
3.25% due 06/10/3914   4,500,000    5,518,971 
2.69% due 09/26/34   1,350,000    1,395,181 
Federal Farm Credit Bank          
3.58% due 04/11/4714   4,900,000    6,432,374 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
FEDERAL AGENCY BONDS†† - 2.8% (continued)
Total Federal Agency Bonds    
(Cost $578,862,190)        682,021,831 
           
MUNICIPAL BONDS†† - 1.5%          
California -  0.6%          
State of California General Obligation Unlimited          
7.55% due 04/01/39   11,900,000    20,894,020 
7.35% due 11/01/39   10,135,000    16,833,627 
San Mateo Foster City School District General Obligation Unlimited          
3.06% due 08/01/44   6,125,000    6,265,263 
2.63% due 08/01/36   2,355,000    2,415,688 
2.73% due 08/01/37   2,100,000    2,156,196 
2.79% due 08/01/38   1,155,000    1,182,535 
2.39% due 08/01/33   1,000,000    1,034,550 
2.44% due 08/01/34   1,000,000    1,030,090 
2.51% due 08/01/35   1,000,000    1,026,030 
San Dieguito Union High School District General Obligation Unlimited          
2.58% due 08/01/35   5,000,000    5,231,100 
2.52% due 08/01/34   3,450,000    3,620,810 
2.77% due 08/01/37   3,250,000    3,393,618 
2.85% due 08/01/38   850,000    887,927 
2.68% due 08/01/36   650,000    680,400 
Poway Unified School District General Obligation Unlimited          
due 08/01/4015   10,000,000    6,571,200 
due 08/01/3815   8,460,000    5,907,195 
San Diego Unified School District General Obligation Unlimited          
due 07/01/3915   7,150,000    5,075,070 
2.60% due 07/01/33   3,000,000    3,163,260 
due 07/01/4615   2,200,000    1,262,008 
due 07/01/4215   1,600,000    1,039,136 
due 07/01/4315   1,350,000    850,905 
Newport Mesa Unified School District General Obligation Unlimited          
due 08/01/4515   8,565,000    3,700,508 
due 08/01/3915   4,000,000    2,265,200 
due 08/01/3815   2,000,000    1,445,960 
due 08/01/4015   2,500,000    1,352,625 
due 08/01/4115   2,000,000    1,031,840 
due 08/01/4315   1,900,000    896,192 
due 08/01/4615   800,000    330,920 
Cypress School District General Obligation Unlimited          
due 08/01/4815   14,450,000    6,039,666 
California State University Revenue Bonds          
2.98% due 11/01/51   5,000,000    5,340,000 
Beverly Hills Unified School District California General Obligation Unlimited          
due 08/01/3415   5,295,000    3,752,990 
Placentia-Yorba Linda Unified School District General Obligation Unlimited          
due 08/01/4115   5,325,000    3,415,987 
Palomar Community College District General Obligation Unlimited          
2.99% due 08/01/44   2,900,000    2,927,782 
San Bernardino Community College District General Obligation Unlimited          
due 08/01/4415   4,750,000    2,566,947 
Upland Unified School District General Obligation Unlimited          
due 08/01/5015   5,040,000    2,320,718 
Hanford Joint Union High School District General Obligation Unlimited          
due 08/01/4115   4,125,000    1,923,818 
San Marcos Unified School District General Obligation Unlimited          
due 08/01/4715   3,600,000    1,899,432 
Hillsborough City School District General Obligation Unlimited          
due 09/01/3315   1,000,000    720,660 
due 09/01/3715   1,000,000    604,420 
due 09/01/3915   1,000,000    555,800 
Antelope Valley Community College District General Obligation Unlimited          
due 02/15/2515   2,800,000    1,687,476 
Oakland Redevelopment Agency Successor Agency Tax Allocation          
4.00% due 09/01/39   1,100,000    1,167,617 
Wiseburn School District General Obligation Unlimited          
due 08/01/3415   900,000    697,599 
Santa Ana Unified School District General Obligation Unlimited          
 due 08/01/3515   700,000    528,178 
Total California        137,692,963 
New York -  0.3%          
Westchester County Local Development Corp. Revenue Bonds          
3.85% due 11/01/50   40,000,000    41,808,800 
New York Power Authority Revenue Bonds          
2.82% due 11/15/39   16,500,000    17,672,820 
4.00% due 11/15/45   11,460,000    13,633,962 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
MUNICIPAL BONDS†† - 1.5% (continued)
New York -  0.3% (continued)        
New York City Water & Sewer System Revenue Bonds        
5.00% due 06/15/49   650,000   $821,860 
Total New York        73,937,442 
Texas -  0.2%          
Dallas/Fort Worth International Airport Revenue Bonds          
3.09% due 11/01/40   13,800,000    14,475,786 
2.92% due 11/01/50   1,300,000    1,335,906 
City of San Antonio Texas Electric & Gas Systems Revenue Bonds          
2.91% due 02/01/48   10,500,000    11,066,265 
Denton County Housing Finance Corp. Revenue Bonds          
2.15% due 11/01/38   7,200,000    7,496,568 
Wylie Independent School District General Obligation Unlimited          
due 08/15/4615   8,885,000    3,531,610 
due 08/15/4315   3,555,000    1,612,975 
due 08/15/2515   1,560,000    668,388 
North Texas Tollway Authority Revenue Bonds          
3.03% due 01/01/40   5,000,000    5,156,050 
Central Texas Turnpike System Revenue Bonds          
3.03% due 08/15/41   3,150,000    3,173,877 
Harris County-Houston Sports Authority Revenue Bonds          
due 11/15/4515   2,850,000    1,045,922 
due 11/15/4115   1,500,000    679,890 
Harris County Cultural Education Facilities Finance Corp. Revenue Bonds          
3.34% due 11/15/37   1,500,000    1,604,430 
Grand Parkway Transportation Corp. Revenue Bonds          
3.31% due 10/01/49   1,000,000    1,040,990 
Total Texas        52,888,657 
Ohio -  0.1%          
Northeast Ohio Regional Sewer District Revenue Bonds          
3.30% due 11/15/49   10,750,000    11,552,595 
Ohio Turnpike & Infrastructure Commission Revenue Bonds          
3.20% due 02/15/48   5,200,000    5,350,696 
Dayton-Montgomery County Port Authority Revenue Bonds          
1.84% due 09/01/38   4,600,000    4,627,186 
County of Franklin Ohio Revenue Bonds          
2.88% due 11/01/50   4,000,000    4,123,960 
Total Ohio        25,654,437 
Illinois -  0.1%          
State of Illinois General Obligation Unlimited          
5.65% due 12/01/38   5,850,000    6,957,405 
6.63% due 02/01/35   1,820,000    2,277,020 
City of Chicago Illinois General Obligation Unlimited          
6.31% due 01/01/44   4,500,000    5,964,435 
Total Illinois        15,198,860 
Mississippi -  0.1%          
Medical Center Educational Building Corp. Revenue Bonds          
2.92% due 06/01/41   11,800,000    11,960,952 
Alabama -  0.1%          
Auburn University Revenue Bonds          
2.68% due 06/01/50   6,500,000    6,533,020 
2.53% due 06/01/40   4,100,000    4,197,621 
Total Alabama        10,730,641 
Colorado -  0.0%          
University of Colorado Revenue Bonds          
2.81% due 06/01/48   6,850,000    7,028,922 
2.61% due 06/01/42   1,000,000    1,017,610 
Total Colorado        8,046,532 
Oregon -  0.0%          
Washington & Multnomah Counties School District No. 48J Beaverton General Obligation Unlimited          
due 06/15/3315   3,850,000    2,775,504 
Salem-Keizer School District No. 24J General Obligation Unlimited          
 due 06/15/4015   4,000,000    2,571,080 
Total Oregon        5,346,584 
North Carolina -  0.0%          
Inlivian Revenue Bonds          
3.02% due 01/01/38   4,125,000    4,317,968 
Washington -  0.0%          
Central Washington University Revenue Bonds          
6.95% due 05/01/40   1,750,000    2,592,135 
Klickitat County Public Utility District No. 1 Revenue Bonds          
5.25% due 12/01/21   15,000    15,499 
Total Washington        2,607,634 
Arizona -  0.0%          
Northern Arizona University Revenue Bonds          
3.09% due 08/01/39   2,350,000    2,456,502 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
MUNICIPAL BONDS†† - 1.5% (continued)
Florida -  0.0%        
County of Miami-Dade Florida Revenue Bonds        
due 10/01/4115   4,100,000   $2,221,134 
Pennsylvania -  0.0%          
Pennsylvania Economic Development Financing Authority Revenue Bonds          
due 01/01/4115   995,000    611,288 
due 01/01/3715   570,000    396,235 
Armstrong School District General Obligation Limited          
6.88% due 03/15/21   25,000    25,320 
Total Pennsylvania        1,032,843 
Oklahoma -  0.0%          
Oklahoma Development Finance Authority Revenue Bonds          
4.65% due 08/15/30   450,000    533,061 
Idaho -  0.0%          
Boise State University Revenue Bonds          
3.06% due 04/01/40   250,000    257,500 
Virginia -  0.0%          
Montgomery County Economic Development Authority Revenue Bonds          
4.66% due 06/01/21   25,000    25,444 
Minnesota -  0.0%          
Dakota & Washington Counties Housing & Redevelopment Authority/City of Bloomington Minnesota Revenue Bonds          
8.38% due 09/01/21   5,000    5,203 
Total Municipal Bonds          
(Cost $325,367,690)        354,914,357 
           
FOREIGN GOVERNMENT DEBT†† - 0.0%          
Bermuda Government International Bond          
3.38% due 08/20/50   8,400,000    9,051,000 
Total Foreign Government Debt          
(Cost $8,376,563)        9,051,000 
           
SENIOR FIXED RATE INTERESTS†† - 0.0%          
Industrial -  0.0%          
CTL Logistics          
2.65% due 06/10/42   2,581,464    2,581,464 
Total Senior Fixed Rate Interests          
(Cost $2,581,464)        2,581,464 
           
    Notional
Value
      
OTC OPTIONS PURCHASED†† - 0.3%          
Call options on:          
Bank of America Merrill Lynch  2Y-10 CMS CAP Expiring July 2022 with strike price of $0.40   7,677,500,000    38,694,600 
Morgan Stanley Capital Services LLC 2Y-10 CMS CAP Expiring July 2022 with strike price of $0.40   3,979,800,000    20,058,192 
Goldman Sachs International 2Y-10 CMS CAP Expiring July 2022 with strike price of $0.61   3,552,900,000    12,506,208 
Goldman Sachs International 2Y-10 CMS CAP Expiring July 2022 with strike price of $0.40   893,700,000    4,504,248 
Bank of America Merrill Lynch  2Y-10 CMS CAP Expiring July 2022 with strike price of $0.61   630,100,000    2,217,952 
        77,981,200 
Total OTC Options Purchased          
(Cost $37,284,966)        77,981,200 
Total Investments - 103.4%          
(Cost $23,334,364,226)       $24,856,886,836 
Other Assets & Liabilities, net - (3.4)%        (806,111,852)
Total Net Assets - 100.0%       $24,050,774,984 

 

Centrally Cleared Credit Default Swap Agreements Protection Sold††        
Counterparty  Exchange  Index  Protection
Premium
Rate
  Payment
Frequency
  Maturity
Date
  Notional
Amount
   Value   Upfront
Premiums
Paid
   Unrealized
Appreciation**
 
BofA Securities, Inc.  ICE  CDX.NA.HY.35.V1  5.00%  Quarterly  12/20/25  $121,840,000   $11,364,122   $4,909,497   $6,454,625 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Centrally Cleared Interest Rate Swap Agreements††        
Counterparty  Exchange  Floating
Rate
Type
  Floating
Rate
Index
  Fixed
Rate
  Payment
Frequency
  Maturity
Date
  Notional
Amount
   Value   Upfront
Premiums
Paid
   Unrealized
Appreciation
(Depreciation)**
 
BofA Securities, Inc.  CME  Receive  3-Month USD LIBOR  0.99%  Quarterly  08/20/50  $127,000,000   $13,419,344   $2,491   $13,416,853 
BofA Securities, Inc.  CME  Receive  3-Month USD LIBOR  0.65%  Quarterly  08/13/30   463,000,000    10,960,200    3,848    10,956,352 
BofA Securities, Inc.  CME  Receive  3-Month USD LIBOR  0.99%  Quarterly  08/25/50   100,000,000    10,744,067    2,026    10,742,041 
BofA Securities, Inc.  CME  Receive  3-Month USD LIBOR  0.53%  Quarterly  08/06/30   243,000,000    8,521,353    2,152    8,519,201 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  0.47%  Annually  03/09/25   498,005,000    5,910,687    2,002    5,908,685 
BofA Securities, Inc.  CME  Receive  3-Month USD LIBOR  0.45%  Quarterly  07/13/27   300,000,000    3,179,820    1,956    3,177,864 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  1.37%  Annually  12/04/21   175,200,000    2,143,334    340    2,142,994 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  1.27%  Annually  02/07/23   82,400,000    2,099,482    354    2,099,128 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  1.34%  Annually  11/27/21   164,500,000    1,935,246    321    1,934,925 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  0.59%  Annually  03/07/22   150,000,000    930,833    396    930,437 
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  0.76%  Annually  01/05/31   650,000,000    5,493    5,500    (7)
BofA Securities, Inc.  CME  Receive  3-Month USD LIBOR  0.22%  Quarterly  07/13/23   500,000,000    (110,885)   1,303    (112,188)
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  0.52%  Annually  10/02/30   132,900,000    (3,189,092)   1,329    (3,190,421)
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  0.68%  Annually  12/02/30   400,000,000    (4,115,604)   3,470    (4,119,074)
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  0.56%  Annually  10/07/30  $226,000,000   (4,234,159)  2,058   (4,236,217)
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  0.55%  Annually  10/16/30   350,000,000    (7,491,757)   3,034    (7,494,791)
BofA Securities, Inc.  CME  Pay  Federal Funds Rate  0.51%  Annually  09/02/30   400,000,000    (8,173,232)   3,384    (8,176,616)
                          $32,535,130   $35,964   $32,499,166 

 

Forward Foreign Currency Exchange Contracts††
Counterparty  Contracts to Sell  Currency  Settlement Date  Settlement Value   Value at
December
31, 2020
   Unrealized
Appreciation
(Depreciation)
 
Citibank N.A., New York  436,650,000  BRL  07/01/21  $103,795,927   $83,784,997   $20,010,930 
Goldman Sachs International  149,210,000  BRL  07/01/21   34,956,074    28,630,618    6,325,456 
JPMorgan Chase Bank, N.A.  67,200,000  BRL  07/01/21   15,963,891    12,894,427    3,069,464 
Bank of America, N.A.  17,346,669,000  JPY  08/02/21   171,181,418    168,459,487    2,721,931 
Morgan Stanley Capital Services LLC  8,674,335,000  JPY  08/02/21   85,134,312    84,239,460    894,852 
JPMorgan Chase Bank, N.A.  10,005,000,000  JPY  07/01/21   97,867,554    97,113,903    753,651 
Goldman Sachs International  4,532,865,300  JPY  12/20/21   44,786,734    44,117,059    669,675 
Citibank N.A., New York  8,674,335,000  JPY  05/06/21   84,594,646    84,135,828    458,818 
Barclays Bank plc  3,469,734,000  JPY  06/01/21   33,963,723    33,665,833    297,890 
Barclays Bank plc  18,730,000  EUR  01/15/21   22,931,007    22,891,968    39,039 
Morgan Stanley Capital Services LLC  49,132,000  EUR  03/30/21   60,159,186    60,151,758    7,428 
Bank of America, N.A.  8,669,000  JPY  02/01/21   84,687    83,987    700 
Goldman Sachs International  2,265,300  JPY  06/21/21   22,154    21,985    169 
Morgan Stanley Capital Services LLC  4,335,000  JPY  02/01/21   42,095    41,998    97 
JPMorgan Chase Bank, N.A.  5,000,000  JPY  01/04/21   48,459    48,423    36 
Citibank N.A., New York  10,820  ILS  02/01/21   3,068    3,373    (305)
Goldman Sachs International  356,625  ILS  11/30/21   106,446    111,978    (5,532)
Morgan Stanley Capital Services LLC  2,980,000  EUR  01/15/21   3,634,144    3,642,182    (8,038)
Goldman Sachs International  499,481  ILS  07/30/21   148,223    156,310    (8,087)
Citibank N.A., New York  2,335,000  EUR  01/15/21   2,831,473    2,853,857    (22,384)
JPMorgan Chase Bank, N.A.  3,185,000  EUR  01/15/21   3,869,247    3,892,735    (23,488)
Bank of America, N.A.  3,949,000  ILS  02/01/21   1,153,835    1,231,096    (77,261)
Bank of America, N.A.  5,248,000  GBP  01/15/21   6,969,632    7,177,573    (207,941)
Goldman Sachs International  28,886,625  ILS  11/30/22   8,761,487    9,126,595    (365,108)
Bank of America, N.A.  33,128,000  ILS  04/30/21   9,634,434    10,348,908    (714,474)
Goldman Sachs International  93,465,000  EUR  01/15/21   113,456,509    114,233,733    (777,224)
Goldman Sachs International  67,282,219  ILS  08/01/22   20,296,296    21,216,381    (920,085)
Bank of America, N.A.  75,749,000  ILS  01/31/22   22,457,457    23,816,605    (1,359,148)
Citibank N.A., New York  75,123,800  ILS  04/30/21   21,943,566    23,468,041    (1,524,475)
Goldman Sachs International  112,111,771  ILS  02/01/21   32,654,345    34,950,705    (2,296,360)
Goldman Sachs International  164,231,850  ILS  01/31/22   48,573,459    51,636,920    (3,063,461)
Goldman Sachs International  108,769,700  EUR  07/30/21   126,349,602    133,535,464    (7,185,862)
JPMorgan Chase Bank, N.A.  107,510,325  EUR  07/30/21   124,085,191    131,989,342    (7,904,151)
Goldman Sachs International  427,522,900  ILS  04/30/21   125,180,154    133,554,547    (8,374,393)
                      $412,359 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Counterparty  Contracts to Buy  Currency  Settlement Date  Settlement Value   Value at
December
31, 2020
   Unrealized
Appreciation
(Depreciation)
 
Goldman Sachs International  216,280,025  EUR  07/30/21  $248,181,329   $265,524,807   $17,343,478 
Goldman Sachs International  239,980,850  ILS  01/31/22   65,373,467    75,453,524    10,080,057 
Goldman Sachs International  267,887,350  ILS  04/30/21   74,716,168    83,685,748    8,969,580 
JPMorgan Chase Bank, N.A.  267,887,350  ILS  04/30/21   75,482,488    83,685,748    8,203,260 
JPMorgan Chase Bank, N.A.  26,021,004,000  JPY  08/02/21   246,341,039    252,698,947    6,357,908 
Goldman Sachs International  116,071,591  ILS  02/01/21   32,426,110    36,185,174    3,759,064 
Goldman Sachs International  67,282,219  ILS  08/01/22   18,074,472    21,216,381    3,141,909 
Goldman Sachs International  8,674,335,000  JPY  05/06/21   81,311,727    84,135,828    2,824,101 
Goldman Sachs International  28,886,625  ILS  11/30/22   7,727,829    9,126,595    1,398,766 
JPMorgan Chase Bank, N.A.  3,469,734,000  JPY  06/01/21   32,564,373    33,665,833    1,101,460 
Barclays Bank plc  4,532,865,300  JPY  12/20/21   43,207,181    44,117,059    909,878 
Citibank N.A., New York  434,285,000  BRL  07/01/21   83,284,769    83,331,197    46,428 
Goldman Sachs International  499,481  ILS  07/30/21   134,017    156,310    22,293 
Goldman Sachs International  356,625  ILS  11/30/21   95,100    111,978    16,878 
JPMorgan Chase Bank, N.A.  13,004,000  JPY  02/01/21   122,506    125,985    3,479 
Barclays Bank plc  58,000  GBP  01/15/21   78,664    79,325    661 
Barclays Bank plc  2,265,300  JPY  06/21/21   21,468    21,985    517 
JPMorgan Chase Bank, N.A.  5,000,000  JPY  01/04/21   48,546    48,423    (123)
JPMorgan Chase Bank, N.A.  218,775,000  BRL  07/01/21   42,398,256    41,978,845    (419,411)
JPMorgan Chase Bank, N.A.  10,005,000,000  JPY  07/01/21   97,690,768    97,113,903    (576,865)
                      $63,183,318 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

~ The face amount is denominated in U.S. dollars unless otherwise indicated.
* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs, unless otherwise noted — See Note 3.
†† Value determined based on Level 2 inputs, unless otherwise noted — See Note 3.
††† Value determined based on Level 3 inputs — See Note 3.
1 Affiliated issuer.
2 Perpetual maturity.
3 Rate indicated is the 7-day yield as of December 31, 2020.
4 Security has a fixed rate coupon which will convert to a floating or variable rate coupon on a future date.
5 Variable rate security. Rate indicated is the rate effective at December 31, 2020. In some instances, the effective rate is limited by a minimum rate floor or a maximum rate cap established by the issuer. The settlement status of a position may also impact the effective rate indicated. In some cases, a position may be unsettled at period end and may not have a stated effective rate. In instances where multiple underlying reference rates and spread amounts are shown, the effective rate is based on a weighted average.
6 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be liquid under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) securities is $8,756,552,523 (cost $8,471,327,556), or 36.4% of total net assets.
7 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be illiquid and restricted under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) illiquid and restricted securities is $392,150,292 (cost $387,153,754), or 1.6% of total net assets — See Note 6.
8 Security has no stated coupon. However, it is expected to receive residual cash flow payments on defined deal dates.
9 Security is in default of interest and/or principal obligations.
10 Security is a step up/down bond. The coupon increases or decreases at regular intervals until the bond reaches full maturity. Rate indicated is the rate at December 31, 2020. See table below for additional step information for each security.
11 Security is an interest-only strip.
12 Security is a principal-only strip.
13 Payment-in-kind security.
14 All or a portion of this security has been physically segregated or earmarked in connection with reverse repurchase agreements. At December 31, 2020, the total market value of segregated or earmarked security was $1,176,422,072 — See Note 2.
15 Zero coupon rate security.

 

BofA — Bank of America

BRL — Brazilian Real

CDX.NA.HY.35.V1 — Credit Default Swap North American High Yield Series 35 Index Version 1

CME — Chicago Mercantile Exchange

CMS — Constant Maturity Swap

CMT — Constant Maturity Treasury

EURIBOR — European Interbank Offered Rate

EUR — Euro

GBP — British Pound

ICE — Intercontinental Exchange

ILS — Israeli New Shekel

JPY — Japanese Yen

LIBOR — London Interbank Offered Rate

plc — Public Limited Company

REMIC — Real Estate Mortgage Investment Conduit

REIT — Real Estate Investment Trust

SARL — Société à Responsabilité Limitée

WAC — Weighted Average Coupon

 

See Sector Classification in Other Information section.

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $256,395,308   $   $3,540   $256,398,848 
Preferred Stocks       275,306,020    4,625    275,310,645 
Warrants   9,866,101            9,866,101 
Exchange-Traded Funds   1,157,258,667            1,157,258,667 
Mutual Funds   68,090,102            68,090,102 
Closed-End Funds   15,688,210            15,688,210 
Money Market Fund   203,647,857            203,647,857 
Corporate Bonds       11,035,124,665    364,867,844    11,399,992,509 
Asset-Backed Securities       3,814,916,765    524,914,701    4,339,831,466 
Collateralized Mortgage Obligations       3,504,275,978    4,943,044    3,509,219,022 
Senior Floating Rate Interests       1,371,251,856    89,997,884    1,461,249,740 
U.S. Government Securities       1,033,783,817        1,033,783,817 
Federal Agency Bonds       682,021,831        682,021,831 
Municipal Bonds       354,914,357        354,914,357 
Foreign Government Debt       9,051,000        9,051,000 
Senior Fixed Rate Interests       2,581,464        2,581,464 
Options Purchased       77,981,200        77,981,200 
Credit Default Swap Agreements**       6,454,625        6,454,625 
Interest Rate Swap Agreements**       59,828,480        59,828,480 
Forward Foreign Currency Exchange Contracts**       99,429,853        99,429,853 
Total Assets  $1,710,946,245   $22,326,921,911   $984,731,638   $25,022,599,794 

 

Investments in Securities (Liabilities)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Interest Rate Swap Agreements**  $   $27,329,314   $   $27,329,314 
Forward Foreign Currency Exchange Contracts**       35,834,176        35,834,176 
Unfunded Loan Commitments (Note 5)           1,075,929    1,075,929 
Total Liabilities  $   $63,163,490   $1,075,929   $64,239,419 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

 

The Fund may hold assets and/or liabilities in which the fair value approximates the carrying amount for financial statement purposes. As of the period end, reverse repurchase agreements of $666,887,419 are categorized as Level 2 within the disclosure hierarchy — See Note 2.

 

The following is a summary of significant unobservable inputs used in the fair valuation of assets and liabilities categorized within Level 3 of the fair value hierarchy:

 

Category  Ending Balance at December 31, 2020   Valuation Technique  Unobservable Inputs  Input Range  Weighted Average*
Assets:                 
Asset-Backed Securities  $320,110,658   Option Adjusted Spread off the prior month end broker quote  Broker Quote   — 
Asset-Backed Securities   150,754,043   Yield Analysis  Yield  2.0%-3.2%  2.3%
Asset-Backed Securities   54,050,000   Model Price  Purchase Price   — 
Collateralized Mortgage Obligations   4,942,883   Option Adjusted Spread off the prior month end broker quote  Broker Quote   — 
Collateralized Mortgage Obligations   161   Model Price  Purchase Price   — 
Common Stocks   3,540   Enterprise Value  Valuation Multiple  3.5x-19.2x  18.3x
Corporate Bonds   356,145,444   Option Adjusted Spread off the prior month end broker quote  Broker Quote   — 
Corporate Bonds   8,722,400   Model Price  Purchase Price   — 
Preferred Stocks   4,625   Yield Analysis  Yield  18.2%   
Senior Floating Rate Interests   89,950,779   Third Party Pricing  Broker Quote   — 
Senior Floating Rate Interests   47,105   Enterprise Value  Valuation Multiple  19.2x  19.2x
Total Assets  $984,731,638             
Liabilities:                 
Unfunded Loan Commitments  $1,075,929   Model Price  Purchase Price   — 

 

*Inputs are weighted by the fair value of the instruments.

 

Significant changes in a quote, yield, or valuation multiples would generally result in significant changes in the fair value of the security.

 

The Fund’s fair valuation leveling guidelines classify a single daily broker quote, or a vendor price based on a single daily or monthly broker quote, as Level 3, if such a quote or price cannot be supported with other available market information.

 

Transfers between Level 2 and Level 3 may occur as markets fluctuate and/or the availability of data used in an investment’s valuation changes. For the period ended December 31, 2020, the Fund had assets with a total value of $260,951,377 transfer into Level 3 from Level 2 due to a lack of observable inputs and had assets with a total value of $11,660,251 transfer out of Level 3 into Level 2 due to changes in the securities valuation methods based on the availability of observable market inputs.

 

Summary of Fair Value Level 3 Activity

Following is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value for the period ended December 31, 2020:

 

   Assets       Liabilities 
    Asset-Backed Securities    Collateralized Mortgage Obligations    Corporate Bonds    Senior Floating Rate Interests    Common Stocks    Preferred Stocks    Total Assets    Unfunded Loan Commitments 
Beginning Balance  $466,869,292   $167,618,207   $244,694,520   $424,325   $3,870   $4,598   $879,614,812   $(2,340,507)
Purchases/(Receipts)   41,050,000    175    115,305,045    31,386,335    -    -    187,741,555    (173,524)
(Sales, maturities and paydowns)/Fundings   (176,907,766)   (161,294,595)   (53,771)   (292,596)   -    -    (338,548,728)   1,109,257 
Amortization of premiums/discounts   134    (1,116)   (18,395)   7,225    -    -    (12,152)   - 
Total realized gains (losses) included in earnings   (133)   (1,233)   -    -    -    -    (1,366)   - 
Total change in unrealized appreciation (depreciation) included in earnings   3,027,212    (1,378,394)   4,758,562    239,314    (330)   27    6,646,391    328,845 
Transfers into Level 3   198,995,696    -    3,722,400    58,233,281    -    -    260,951,377    - 
Transfers out of Level 3   (8,119,734)   -    (3,540,517)   -    -    -    (11,660,251)   - 
   Ending Balance  $524,914,701   $4,943,044   $364,867,844   $89,997,884   $3,540   $4,625    984,731,638   $(1,075,929)
Net change in unrealized appreciation (depreciation) for investments in Level 3 securities still held at December 31, 2020  $3,007,272   $72,819   $4,844,021   $239,314   $(330)  $27    8,163,123   $330,680 

 

 

 

Total Return Bond Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Step Coupon Bonds

 

The following table discloses additional information related to step coupon bonds held by the Fund. Certain securities are subject to multiple rate changes prior to maturity. For those securities, a range of rates and corresponding dates have been provided. Rates for all step coupon bonds held by the Fund are scheduled to increase, none are scheduled to decrease.

 

Name Coupon Rate
at Next Reset Date
Next Rate
Reset Date
Future Reset Rate(s) Future Reset Date(s)
CSMC Trust 2020-NQM1, 1.72% due 05/25/65 2.72% 09/26/24
Legacy Mortgage Asset Trust 2018-GS3, 4.00% due 06/25/58 7.00% 07/25/21 8.00% 07/26/22
Verus Securitization Trust 2020-1, 2.42% due 01/25/60 3.42% 01/26/24
Verus Securitization Trust 2019-4, 2.64% due 11/25/59 3.64% 10/26/23

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments (“GI”), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III, (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles' annual report on Form N-CSR dated September 30, 2020, is available publicly or upon request. This information is available from the EDGAR database on the SEC's website at https://www.sec.gov/Archives/edgar/data/1601445/000182126820000133/gug81042-ncsr.htm.

 

Transactions during the period ended December 31, 2020, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
09/30/20
   Additions   Reductions   Realized
Gain
(Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
   Value
12/31/20
   Shares
12/31/20
   Investment
Income
 
Common Stock                        
BP Holdco LLC*  $188   $   $   $   $   $188    532   $ 
Mutual Funds                                
Guggenheim Strategy Fund II   26,762,744    158,869            (10,719)   26,910,894    1,078,161    156,255 
Guggenheim Strategy Fund III   14,458,530    73,586            17,340    14,549,456    579,660    71,913 
Guggenheim Ultra Short Duration Fund — Institutional Class   26,551,766    77,904            82    26,629,752    2,668,312    76,494 
   $67,773,228   $310,359   $   $   $6,703   $68,090,290        $304,662 

 

* Non-income producing security.

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
EXCHANGE-TRADED FUNDS - 6.8%
iShares Core U.S. Aggregate Bond ETF   243,050   $28,726,079 
iShares iBoxx $ Investment Grade Corporate Bond ETF   141,090    19,488,762 
iShares iBoxx High Yield Corporate Bond ETF   68,700    5,997,510 
Total Exchange-Traded Funds          
(Cost $53,560,743)        54,212,351 
           
MONEY MARKET FUND - 8.5%          
Dreyfus Treasury Securities Cash Management Fund — Institutional Shares, 0.01%1   67,822,297    67,822,297 
Total Money Market Fund          
(Cost $67,822,297)        67,822,297 
           
    Face
Amount~
      
FOREIGN GOVERNMENT DEBT†† - 28.7%          
Government of Japan          
(0.13)% due 01/06/2110   JPY 3,723,450,000    36,060,569 
(0.16)% due 02/01/2110   JPY 2,085,000,000    20,194,313 
(0.16)% due 01/12/2110   JPY 322,550,000    3,123,860 
Government of United Kingdom          
(0.20)% due 01/11/2110   GBP 20,000,000    27,351,265 
(0.10)% due 01/29/2110   GBP 5,230,000    7,152,427 
Kingdom of Sweden          
(0.26)% due 03/17/2110   SEK 160,900,000    19,570,153 
(0.22)% due 01/20/2110   SEK 32,950,000    4,006,514 
Republic of France          
(0.77)% due 01/06/2110   EUR 18,940,000    23,142,718 
Kingdom of Spain          
(0.58)% due 01/15/2110   EUR 16,040,000    19,604,502 
Republic of Portugal          
 (0.56)% due 01/15/2110   EUR 15,690,000    19,175,364 
Province of Quebec          
0.13% due 01/08/2110   CAD 8,142,000    6,400,715 
0.15% due 01/22/2110   CAD 7,760,000    6,100,045 
Province of Newfoundland          
0.12% due 01/14/2110   CAD 11,000,000    8,647,317 
0.16% due 01/04/2110   CAD 2,600,000    2,043,972 
0.15% due 01/28/2110   CAD 600,000    471,625 
Province of Nova Scotia          
0.12% due 01/14/2110   CAD 9,935,000    7,810,099 
Federative Republic of Brazil          
 due 04/01/212   BRL 29,700,000    5,695,287 
Province of New Brunswick          
0.15% due 01/07/2110   CAD 5,003,000    3,933,075 
Province of Manitoba Canada          
0.15% due 01/27/2110   CAD 2,600,000    2,043,768 
0.14% due 01/06/2110   CAD 700,000    550,300 
0.15% due 01/20/2110   CAD 625,000    491,310 
Abu Dhabi Government International Bond          
0.75% due 09/02/23   2,200,000    2,205,500 
Province of Ontario          
0.13% due 01/20/2110   CAD 1,550,000    1,218,449 
0.13% due 01/27/2110   CAD 660,000    518,803 
0.13% due 01/06/2110   CAD 580,000    455,963 
United Mexican States          
4.28% due 01/07/2110   MXN 12,800,000    643,165 
Total Foreign Government Debt          
(Cost $224,461,451)        228,611,078 
           
ASSET-BACKED SECURITIES†† - 24.5%          
Collateralized Loan Obligations - 18.3%          
Shackleton CLO Ltd.          
2017-8A, 1.14% (3 Month USD LIBOR + 0.92%, Rate Floor: 0.00%) due 10/20/273,4   10,815,444    10,794,903 
2018-6RA, 1.24% (3 Month USD LIBOR + 1.02%, Rate Floor: 1.02%) due 07/17/283,4   5,136,617    5,122,030 
Carlyle Global Market Strategies CLO Ltd.          
2018-2A, 1.00% (3 Month USD LIBOR + 0.78%, Rate Floor: 0.00%) due 04/27/273,4   6,660,218    6,614,099 
2018-4A, 1.24% (3 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 01/15/313,4   4,927,378    4,878,410 
BXMT Ltd.          
2020-FL2, 1.05% (1 Month USD LIBOR + 0.90%, Rate Floor: 0.90%) due 02/16/373,4   5,000,000    4,975,094 
2020-FL3, 1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 03/15/373,4   2,500,000    2,503,460 
2020-FL2, 1.30% (1 Month USD LIBOR + 1.15%, Rate Floor: 1.15%) due 02/16/373,4   1,000,000    986,211 
Halcyon Loan Advisors Funding Ltd.          
2017-3A, 1.12% (3 Month USD LIBOR + 0.90%, Rate Floor: 0.00%) due 10/18/273,4   8,160,118    8,122,112 
Dryden 33 Senior Loan Fund          
2020-33A, 1.24% (3 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 04/15/293,4   8,000,000    8,000,000 
CIFC Funding 2015-III Ltd.          
2018-3A, 1.09% (3 Month USD LIBOR + 0.87%, Rate Floor: 0.00%) due 04/19/293,4   6,475,000    6,439,650 
Wellfleet CLO Ltd.          
2019-1A, 1.36% (3 Month USD LIBOR + 1.15%, Rate Floor: 1.15%) due 04/20/293,4   3,978,984    3,962,367 

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 24.5% (continued)
Collateralized Loan Obligations - 18.3% (continued)        
2020-2A, 1.28% (3 Month USD LIBOR + 1.06%, Rate Floor: 0.00%) due 10/20/293,4   2,000,000   $1,988,181 
GPMT Ltd.          
2019-FL2, 1.45% (1 Month USD LIBOR + 1.30%, Rate Floor: 1.30%) due 02/22/363,4   5,250,000    5,218,862 
2018-FL1, 1.05% (1 Month USD LIBOR + 0.90%, Rate Floor: 0.90%) due 11/21/353,4   170,831    169,766 
Westcott Park CLO Ltd.          
2019-1A, 1.43% (3 Month USD LIBOR + 1.21%, Rate Floor: 0.00%) due 07/20/283,4   5,000,000    5,000,996 
Crown Point CLO III Ltd.          
2017-3A, 1.15% (3 Month USD LIBOR + 0.91%, Rate Floor: 0.00%) due 12/31/273,4   4,469,378    4,458,700 
Marathon CLO V Ltd.          
2017-5A, 1.08% (3 Month USD LIBOR + 0.87%, Rate Floor: 0.00%) due 11/21/273,4   3,991,985    3,966,644 
MidOcean Credit CLO VII          
2020-7A, 1.28% (3 Month USD LIBOR + 1.04%, Rate Floor: 0.00%) due 07/15/293,4   3,500,000    3,471,666 
LoanCore Issuer Ltd.          
2019-CRE2, 1.66% (1 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 05/15/363,4   1,300,000    1,294,973 
2018-CRE1, 1.29% (1 Month USD LIBOR + 1.13%, Rate Floor: 1.13%) due 05/15/283,4   1,094,646    1,093,564 
2018-CRE1, 1.66% (1 Month USD LIBOR + 1.50%, Rate Floor: 1.50%) due 05/15/283,4   1,000,000    997,620 
TICP CLO VII Ltd.          
2020-7A, 0.79% (3 Month USD LIBOR + 0.55%, Rate Floor: 0.55%) due 04/15/333,4   3,375,000    3,355,669 
OZLM XII Ltd.          
2018-12A, 1.26% (3 Month USD LIBOR + 1.05%, Rate Floor: 0.00%) due 04/30/273,4   3,056,312    3,051,237 
MP CLO VIII Ltd.          
2018-2A, 1.13% (3 Month USD LIBOR + 0.91%, Rate Floor: 0.00%) due 10/28/273,4   3,022,339    3,004,787 
Cerberus Loan Funding XXX, LP          
2020-3A, 2.07% (3 Month USD LIBOR + 1.85%, Rate Floor: 1.85%) due 01/15/333,4   3,000,000    3,000,000 
Woodmont Trust          
2020-7A, 2.13% (3 Month USD LIBOR + 1.90%, Rate Floor: 0.00%) due 01/15/323,4   2,750,000    2,750,000 
Venture XIV CLO Ltd.          
2020-14A, 1.25% (3 Month USD LIBOR + 1.03%, Rate Floor: 1.03%) due 08/28/293,4   2,500,000    2,483,517 
Greywolf CLO III Ltd.          
2020-3RA, 0.72% (3 Month USD LIBOR + 0.50%, Rate Floor: 0.50%) due 04/15/333,4   2,333,333    2,318,792 
ABPCI Direct Lending Fund IX LLC          
2020-9A, 2.19% (3 Month USD LIBOR + 1.95%, Rate Floor: 1.95%) due 11/18/313,4   2,000,000    2,003,683 
Owl Rock CLO IV Ltd.          
2020-4A, 3.17% (3 Month USD LIBOR + 2.62%, Rate Floor: 2.62%) due 05/20/293,4   2,000,000    2,000,601 
Parliament Funding II Ltd.          
2020-1A, 2.76% (3 Month USD LIBOR + 2.45%, Rate Floor: 2.45%) due 08/12/303,4   2,000,000    1,999,967 
GoldenTree Loan Management US CLO 1 Ltd.          
2020-1A, 1.17% (3 Month USD LIBOR + 0.95%, Rate Floor: 0.95%) due 04/20/293,4   2,000,000    1,996,046 
California Street CLO IX, LP          
2019-9A, 0.93% (3 Month USD LIBOR + 0.70%, Rate Floor: 0.00%) due 07/16/323,4   2,000,000    1,988,560 
Wind River CLO Ltd.          
2017-2A, 1.11% (3 Month USD LIBOR + 0.87%, Rate Floor: 0.00%) due 10/15/273,4   1,863,392    1,855,854 

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 24.5% (continued)
Collateralized Loan Obligations - 18.3% (continued)        
Fortress Credit Opportunities XI CLO Ltd.        
2018-11A, 1.54% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 04/15/313,4   1,800,000   $1,779,119 
Palmer Square Loan Funding Ltd.          
2018-4A, 1.12% (3 Month USD LIBOR + 0.90%, Rate Floor: 0.00%) due 11/15/263,4   1,071,982    1,070,968 
2019-3A, 1.07% (3 Month USD LIBOR + 0.85%, Rate Floor: 0.85%) due 08/20/273,4   707,010    706,171 
610 Funding CLO 3 Ltd.          
2018-3A, 1.47% (3 Month USD LIBOR + 1.25%, Rate Floor: 0.00%) due 07/17/283,4   1,712,540    1,710,604 
Mountain View CLO Ltd.          
2018-1A, 1.04% (3 Month USD LIBOR + 0.80%, Rate Floor: 0.80%) due 10/15/263,4   1,670,947    1,665,007 
Newfleet CLO Ltd.          
2018-1A, 1.17% (3 Month USD LIBOR + 0.95%, Rate Floor: 0.00%) due 04/20/283,4   1,663,535    1,655,001 
Allegro CLO IX Ltd.          
2018-3A, 1.40% (3 Month USD LIBOR + 1.17%, Rate Floor: 1.17%) due 10/16/313,4   1,500,000    1,489,066 
Hunt CRE Ltd.          
2018-FL2, 1.24% (1 Month USD LIBOR + 1.08%, Rate Floor: 1.08%) due 08/15/283,4   1,500,000    1,484,960 
BSPRT Issuer Ltd.          
2018-FL4, 1.21% (1 Month USD LIBOR + 1.05%, Rate Floor: 1.05%) due 09/15/353,4   999,597    987,909 
2018-FL3, 1.21% (1 Month USD LIBOR + 1.05%, Rate Floor: 1.05%) due 03/15/283,4   423,122    420,423 
Grand Avenue CRE Ltd.          
2020-FL2, 2.61% (1 Month USD LIBOR + 2.45%, Rate Floor: 2.45%) due 03/15/353,4   1,249,880    1,260,902 
Neuberger Berman CLO XX Ltd.          
2017-20A, 1.04% (3 Month USD LIBOR + 0.80%, Rate Floor: 0.00%) due 01/15/283,4   1,248,778    1,245,265 
KVK CLO Ltd.          
2017-1A, 1.13% (3 Month USD LIBOR + 0.90%, Rate Floor: 0.00%) due 01/14/283,4   1,194,892    1,189,680 
Voya CLO Ltd.          
2019-2A, 0.87% (3 Month USD LIBOR + 0.65%, Rate Floor: 0.65%) due 07/20/323,4   1,125,000    1,114,276 
BlueMountain CLO XXV Ltd.          
2019-25A, 0.89% (3 Month USD LIBOR + 0.65%, Rate Floor: 0.65%) due 07/15/323,4   1,093,750    1,089,993 
KREF Ltd.          
2018-FL1, 1.25% (1 Month USD LIBOR + 1.10%, Rate Floor: 1.10%) due 06/15/363,4   1,000,000    995,050 
Neuberger Berman CLO XVI-S Ltd.          
2018-16SA, 1.09% (3 Month USD LIBOR + 0.85%, Rate Floor: 0.00%) due 01/15/283,4   865,223    863,429 
NewStar Clarendon Fund CLO LLC          
2019-1A, 1.52% (3 Month USD LIBOR + 1.30%, Rate Floor: 0.00%) due 01/25/273,4   756,519    755,782 
TICP CLO I Ltd.          
2018-1A, 1.02% (3 Month USD LIBOR + 0.80%, Rate Floor: 0.00%) due 07/20/273,4   746,150    745,139 
Mountain Hawk II CLO Ltd.          
2018-2A, 1.82% (3 Month USD LIBOR + 1.60%, Rate Floor: 0.00%) due 07/20/243,4   539,533    539,275 
Fortress Credit Opportunities IX CLO Ltd.          
2017-9A, 1.77% (3 Month USD LIBOR + 1.55%, Rate Floor: 0.00%) due 11/15/293,4   382,000    380,530 

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
ASSET-BACKED SECURITIES†† - 24.5% (continued)
Collateralized Loan Obligations - 18.3% (continued)        
Golub Capital Partners CLO 17 Ltd.        
2017-17A, 1.87% (3 Month USD LIBOR + 1.65%, Rate Floor: 0.00%) due 10/25/303,4   350,000   $348,816 
Venture XVI CLO Ltd.          
2018-16A, 1.09% (3 Month USD LIBOR + 0.85%, Rate Floor: 0.85%) due 01/15/283,4   314,198    311,822 
THL Credit Wind River CLO Ltd.          
2019-1A, 1.12% (3 Month USD LIBOR + 0.88%, Rate Floor: 0.00%) due 01/15/263,4   102,949    102,928 
Seneca Park CLO Limited          
2017-1A, 1.34% (3 Month USD LIBOR + 1.12%, Rate Floor: 0.00%) due 07/17/263,4   96,682    96,653 
Babson CLO Limited          
2017-IA, 1.37% (3 Month USD LIBOR + 1.15%, Rate Floor: 0.00%) due 07/20/253,4   16,627    16,626 
Total Collateralized Loan Obligations        145,893,415 
Financial - 3.4%          
Station Place Securitization Trust          
2020-5, 1.15% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 05/24/22†††,4,5   8,100,000    8,100,000 
2020-9, 1.64% (1 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 02/15/21†††,4,5   2,000,000    2,000,000 
2020-12, 1.64% (1 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 06/09/21†††,3,4   1,000,000    1,000,000 
Station Place Securitization Trust Series          
2020-16, 1.14% (1 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 12/22/213,4   6,700,000    6,700,000 
2020-17, 1.14% (1 Month USD LIBOR + 1.00%, Rate Floor: 1.00%) due 03/24/213,4   3,800,000    3,800,000 
Madison Avenue Secured Funding Trust Series          
2020-1, 1.77% (1 Month USD LIBOR + 1.63%, Rate Floor: 0.00%) due 12/13/21†††,3,4   5,250,000    5,250,000 
Total Financial        26,850,000 
Infrastructure - 1.1%          
VB-S1 Issuer LLC          
2020-1A, 3.03% due 06/15/503   4,050,000    4,242,918 
SBA Tower Trust          
2.33% due 01/15/283   4,000,000    4,031,670 
Total Infrastructure        8,274,588 
Net Lease - 0.9%          
Oak Street Investment Grade Net Lease Fund Series          
2020-1A, 1.85% due 11/20/503   6,740,191    6,793,945 
Transport-Container - 0.4%          
Global SC Finance II SRL          
2014-1A, 3.19% due 07/17/293   2,329,167    2,329,196 
Textainer Marine Containers VII Ltd.          
2020-1A, 2.73% due 08/21/453   868,576    893,439 
Total Transport-Container        3,222,635 
Collateralized Debt Obligations - 0.2%          
Anchorage Credit Funding 3 Ltd.          
2021-3A, 2.87% due 01/28/393   1,750,000    1,751,894 
Transport-Aircraft - 0.1%          
AIM Aviation Finance Ltd.          
2015-1A, 4.21% due 02/15/403   897,389    696,058 
Raspro Trust          
2005-1A, 1.14% (3 Month USD LIBOR + 0.93%, Rate Floor: 0.93%) due 03/23/243,4   405,814    395,274 
Total Transport-Aircraft        1,091,332 
Whole Business - 0.1%          
Taco Bell Funding LLC          
2018-1A, 4.32% due 11/25/483   784,000    795,204 
DB Master Finance LLC          
2019-1A, 3.79% due 05/20/493   281,438    288,400 
Total Whole Business        1,083,604 
Total Asset-Backed Securities          
(Cost $194,524,663)        194,961,413 

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 14.1%
Financial - 5.0%        
Sompo International Holdings Ltd.        
4.70% due 10/15/22   5,120,000   $5,471,813 
Barclays Bank plc          
1.70% due 05/12/22   4,600,000    4,681,352 
Citizens Bank North America/Providence RI          
1.04% (3 Month USD LIBOR + 0.81%) due 05/26/224   4,215,000    4,248,845 
Wells Fargo & Co.          
1.14% (3 Month USD LIBOR + 0.93%) due 02/11/224   2,800,000    2,802,377 
4.13% due 08/15/23   800,000    873,861 
Intercontinental Exchange, Inc.          
0.87% (3 Month USD LIBOR + 0.65%) due 06/15/234   1,600,000    1,604,181 
2.35% due 09/15/22   1,000,000    1,031,766 
Svenska Handelsbanken AB          
0.68% (3 Month USD LIBOR + 0.47%) due 05/24/214   2,250,000    2,254,002 
American Express Co.          
0.75% (3 Month USD LIBOR + 0.53%) due 05/17/214   2,150,000    2,153,225 
Mitsubishi UFJ Financial Group, Inc.          
1.01% (3 Month USD LIBOR + 0.79%) due 07/25/224   950,000    957,732 
2.11% (3 Month USD LIBOR + 1.88%) due 03/01/214   672,000    673,858 
1.28% (3 Month USD LIBOR + 1.06%) due 09/13/214   339,000    341,248 
Synchrony Bank          
3.65% due 05/24/21   1,720,000    1,737,054 
UBS Group AG          
2.00% (3 Month USD LIBOR + 1.78%, Rate Floor: 0.00%) due 04/14/213,4   1,400,000    1,406,491 
Standard Chartered plc          
1.32% due 10/14/233,6   1,350,000    1,363,500 
Sumitomo Mitsui Financial Group, Inc.          
1.91% (3 Month USD LIBOR + 1.68%) due 03/09/214   1,350,000    1,353,801 
Aviation Capital Group LLC          
2.88% due 01/20/223   1,200,000    1,215,084 
Willis Towers Watson plc          
5.75% due 03/15/21   1,200,000    1,212,084 
Goldman Sachs Group, Inc.          
1.98% (3 Month USD LIBOR + 1.77%) due 02/25/214   1,050,000    1,052,537 
Santander UK plc          
0.85% (3 Month USD LIBOR + 0.62%) due 06/01/214   980,000    982,242 
Nordea Bank Abp          
1.16% (3 Month USD LIBOR + 0.94%) due 08/30/233,4   550,000    554,689 
Markel Corp.          
3.63% due 03/30/23   450,000    478,628 
Apollo Management Holdings, LP          
4.00% due 05/30/243   350,000    387,570 
Swedbank AB          
2.65% due 03/10/213   300,000    301,258 
Australia & New Zealand Banking Group Ltd.          
1.22% (3 Month USD LIBOR + 0.99%) due 06/01/213,4   300,000    301,134 
Citigroup, Inc.          
1.60% (3 Month USD LIBOR + 1.38%) due 03/30/214   250,000    250,793 
Marsh & McLennan Cos., Inc.          
4.80% due 07/15/21   200,000    202,757 
Assurant, Inc.          
1.50% (3 Month USD LIBOR + 1.25%) due 03/26/214   194,000    194,003 
Total Financial        40,087,885 
Consumer, Non-cyclical - 2.4%          
Sysco Corp.          
5.65% due 04/01/25   3,350,000    3,983,155 
General Mills, Inc.          
0.77% (3 Month USD LIBOR + 0.54%) due 04/16/214   2,450,000    2,453,506 
1.23% (3 Month USD LIBOR + 1.01%) due 10/17/234   200,000    203,257 
Bayer US Finance II LLC          
0.88% (3 Month USD LIBOR + 0.63%) due 06/25/213,4   1,700,000    1,703,452 
Molina Healthcare, Inc.          
5.38% due 11/15/22   1,550,000    1,641,062 
Zimmer Biomet Holdings, Inc.          
0.99% (3 Month USD LIBOR + 0.75%) due 03/19/214   1,400,000    1,400,000 

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
CORPORATE BONDS†† - 14.1% (continued)
Consumer, Non-cyclical - 2.4% (continued)        
AbbVie, Inc.        
0.56% (3 Month USD LIBOR + 0.35%) due 05/21/214   1,300,000   $1,301,255 
Global Payments, Inc.          
3.80% due 04/01/21   1,200,000    1,206,605 
Altria Group, Inc.          
4.75% due 05/05/21   1,154,000    1,170,630 
CVS Health Corp.          
0.95% (3 Month USD LIBOR + 0.72%) due 03/09/214   1,050,000    1,051,216 
WEX, Inc.          
4.75% due 02/01/233   850,000    851,062 
Bunge Limited Finance Corp.          
3.00% due 09/25/22   800,000    830,545 
Spectrum Brands, Inc.          
5.75% due 07/15/25   700,000    722,820 
Keurig Dr Pepper, Inc.          
3.55% due 05/25/21   500,000    506,236 
Acadia Healthcare Company, Inc.          
5.63% due 02/15/23   140,000    140,350 
Nielsen Company Luxembourg SARL          
5.50% due 10/01/213   75,000    75,188 
Total Consumer, Non-cyclical        19,240,339 
Industrial - 2.1%          
Boeing Co.          
1.95% due 02/01/24   6,000,000    6,179,271 
Ryder System, Inc.          
3.75% due 06/09/23   2,650,000    2,852,244 
CNH Industrial Capital LLC          
1.95% due 07/02/23   2,480,000    2,553,025 
Siemens Financieringsmaatschappij N.V.          
0.83% (3 Month USD LIBOR + 0.61%) due 03/16/223,4   1,870,000    1,881,314 
Penske Truck Leasing Company LP / PTL Finance Corp.          
3.65% due 07/29/213   1,294,000    1,313,971 
2.70% due 11/01/243   500,000    535,662 
Tyco Electronics Group S.A.          
4.88% due 01/15/21   1,200,000    1,201,549 
Northrop Grumman Corp.          
3.50% due 03/15/21   250,000    251,547 
Total Industrial        16,768,583 
Communications - 1.4%          
ViacomCBS, Inc.          
4.25% due 09/01/23   2,200,000    2,395,095 
4.75% due 05/15/25   940,000    1,091,324 
Sprint Spectrum Company LLC / Sprint Spectrum Co II LLC / Sprint Spectrum Co III LLC          
3.36% due 09/20/213   1,972,500    1,991,041 
Netflix, Inc.          
5.50% due 02/15/22   1,350,000    1,412,438 
Level 3 Financing, Inc.          
5.38% due 01/15/24   1,250,000    1,259,750 
Telefonica Emisiones S.A.          
5.46% due 02/16/21   1,125,000    1,131,301 
Videotron Ltd.          
5.00% due 07/15/22   900,000    946,134 
Sirius XM Radio, Inc.          
3.88% due 08/01/223   600,000    609,000 
Total Communications        10,836,083 
Energy - 1.1%          
Phillips 66          
0.90% due 02/15/24   3,400,000    3,408,235 
0.83% (3 Month USD LIBOR + 0.60%) due 02/26/214   350,000    350,040 
Valero Energy Corp.          
1.20% due 03/15/24   3,000,000    3,027,612 
Halliburton Co.          
3.25% due 11/15/21   1,130,000    1,149,373 
Marathon Petroleum Corp.          
5.13% due 03/01/21   310,000    312,193 
Total Energy        8,247,453 
Utilities - 0.9%          
Alexander Funding Trust          
1.84% due 11/15/233   3,150,000    3,185,855 
PPL WEM Limited / Western Power Distribution plc          
5.38% due 05/01/213   2,596,000    2,605,354 
Puget Energy, Inc.          
6.00% due 09/01/21   1,300,000    1,345,365 
Eversource Energy          
2.50% due 03/15/21   250,000    250,601 
Total Utilities        7,387,175 
Technology - 0.7%          
Microchip Technology, Inc.          
2.67% due 09/01/233   2,570,000    2,687,870 
0.97% due 02/15/243   500,000    501,224 
Infor, Inc.          
1.45% due 07/15/233   2,600,000    2,642,010 
Total Technology        5,831,104 
Basic Materials - 0.4%          
Carpenter Technology Corp.          
4.45% due 03/01/23   1,350,000    1,413,745 
Reliance Steel & Aluminum Co.          
4.50% due 04/15/23   1,300,000    1,402,591 
Total Basic Materials        2,816,336 
Consumer, Cyclical - 0.1%          
Marriott International, Inc.          
0.88% (3 Month USD LIBOR + 0.65%) due 03/08/214   700,000    700,266 
Total Corporate Bonds          
(Cost $110,420,359)        111,915,224 

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 12.1%
Residential Mortgage Backed Securities - 10.6%        
Verus Securitization Trust        
2020-5, 1.22% due 05/25/653,7   5,081,010   $5,088,098 
2020-1, 2.42% due 01/25/603,7   2,607,946    2,656,531 
2019-4, 2.64% due 11/25/593,7   1,595,977    1,632,980 
2019-4, 2.85% due 11/25/593,7   1,188,131    1,215,022 
CSMC Trust          
2020-NQM1, 1.21% due 05/25/653,7   4,539,174    4,553,025 
2020-RPL5, 3.02% due 08/25/603   3,185,758    3,194,831 
SPS Servicer Advance Receivables Trust II          
2020-T1, 1.28% due 11/15/523   7,000,000    7,023,660 
NRZ Advance Receivables Trust          
2020-T2, 1.48% due 09/15/533   4,150,000    4,167,533 
2020-T3, 1.32% due 10/15/523   2,750,000    2,756,832 
Ocwen Master Advance Receivables Trust          
2020-T1, 1.28% due 08/15/523   5,150,000    5,160,871 
New Residential Advance Receivables Trust Advance Receivables Backed Notes          
2020-APT1, 1.04% due 12/16/523   4,000,000    4,001,083 
CSMC Series          
2014-2R, 0.35% (1 Month USD LIBOR + 0.20%, Rate Floor: 0.20%) due 02/27/463,4   2,227,287    2,182,797 
2014-7R, 0.30% (WAC) due 10/27/363,4   1,588,177    1,567,971 
New Residential Mortgage Loan Trust          
2019-1A, 3.50% (WAC) due 10/25/593,4   2,057,416    2,196,219 
2018-2A, 3.50% (WAC) due 02/25/583,4   1,384,431    1,451,390 
FKRT          
2020-C2A, 3.25% due 12/30/235   3,070,000    3,072,046 
Towd Point Mortgage Trust          
2018-2, 3.25% (WAC) due 03/25/583,4   1,088,161    1,139,026 
2017-6, 2.75% (WAC) due 10/25/573,4   961,385    989,827 
2017-5, 0.75% (1 Month USD LIBOR + 0.60%, Rate Floor: 0.00%) due 02/25/573,4   503,454    501,841 
Ellington Financial Mortgage Trust          
2020-2, 1.49% (WAC) due 10/25/653,4   1,635,964    1,637,358 
2020-2, 1.64% (WAC) due 10/25/653,4   942,376    943,168 
CIM Trust          
2018-R4, 4.07% (WAC) due 12/26/573,4   2,466,331    2,477,213 
Soundview Home Loan Trust          
2006-OPT5, 0.29% (1 Month USD LIBOR + 0.14%, Rate Floor: 0.14%) due 07/25/364   2,532,030    2,461,575 
Residential Mortgage Loan Trust          
2020-1, 2.38% (WAC) due 02/25/243,4   2,276,001    2,319,466 
Morgan Stanley ABS Capital I Incorporated Trust          
2006-NC1, 0.72% (1 Month USD LIBOR + 0.57%, Rate Floor: 0.57%) due 12/25/354   2,190,034    2,176,797 
Deephaven Residential Mortgage Trust          
2019-3A, 2.96% (WAC) due 07/25/593,4   2,150,511    2,172,599 
New Residential Advance Receivables Trust Advance Receivables Backed          
2020-T1, 1.43% due 08/15/533   2,000,000    2,006,418 
Starwood Mortgage Residential Trust          
2020-1, 2.28% (WAC) due 02/25/503,4   1,241,496    1,268,825 
2019-1, 2.94% (WAC) due 06/25/493,4   517,602    525,011 
CIT Mortgage Loan Trust          
2007-1, 1.50% (1 Month USD LIBOR + 1.35%, Rate Floor: 1.35%) due 10/25/373,4   1,770,567    1,778,997 
Homeward Opportunities Fund I Trust          
2019-3, 2.68% (WAC) due 11/25/593,4   1,154,475    1,175,328 
2019-2, 2.70% (WAC) due 09/25/593,4   532,311    538,172 

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
COLLATERALIZED MORTGAGE OBLIGATIONS†† - 12.1% (continued)
Residential Mortgage Backed Securities - 10.6% (continued)        
Argent Securities Incorporated Asset-Backed Pass-Through Certificates Series        
2005-W2, 0.88% (1 Month USD LIBOR + 0.74%, Rate Floor: 0.74%) due 10/25/354   1,550,000   $1,535,784 
GS Mortgage-Backed Securities Trust          
2020-NQM1, 1.38% (WAC) due 09/27/603,4   1,473,681    1,481,484 
Citigroup Mortgage Loan Trust          
2007-WFH2, 0.55% (1 Month USD LIBOR + 0.40%, Rate Floor: 0.40%) due 03/25/374   776,012    771,350 
2019-IMC1, 2.72% (WAC) due 07/25/493,4   560,615    570,673 
Ameriquest Mortgage Securities Incorporated Asset-Backed Pass-Through Certificates Series          
2005-R10, 0.79% (1 Month USD LIBOR + 0.65%, Rate Floor: 0.65%) due 01/25/364   1,201,369    1,197,068 
Banc of America Funding Trust          
2015-R2, 0.41% (1 Month USD LIBOR + 0.26%, Rate Floor: 0.26%) due 04/29/373,4   1,200,000    1,164,382 
BRAVO Residential Funding Trust          
2019-NQM1, 2.67% (WAC) due 07/25/593,4   828,375    847,841 
Nationstar HECM Loan Trust          
2019-2A, 2.27% (WAC) due 11/25/293,4   538,735    539,880 
Cascade Funding Mortgage Trust          
2019-RM3, 2.80% (WAC) due 06/25/694,5   421,295    426,297 
GE-WMC Asset-Backed Pass-Through Certificates Series          
2005-2, 0.65% (1 Month USD LIBOR + 0.50%, Rate Floor: 0.50%) due 12/25/354   359,248    358,352 
Total Residential Mortgage Backed Securities        84,925,621 
Commercial Mortgage Backed Securities - 1.5%          
Morgan Stanley Capital I Trust          
2018-H3, 0.83% (WAC) due 07/15/514,8   46,375,148    2,220,850 
2014-MP, 3.69% due 08/11/333   1,669,000    1,686,867 
2014-CPT, 3.35% due 07/13/293   1,000,000    1,007,146 
GRACE Mortgage Trust          
2014-GRCE, 3.37% due 06/10/283   2,000,000    1,999,776 
BENCHMARK Mortgage Trust          
2019-B14, 0.79% (WAC) due 12/15/624,8   34,863,594    1,747,336 
Citigroup Commercial Mortgage Trust          
2019-GC41, 1.06% (WAC) due 08/10/564,8   24,936,826    1,729,975 
JPMDB Commercial Mortgage Securities Trust          
2018-C8, 0.64% (WAC) due 06/15/514,8   29,515,793    986,878 
Wells Fargo Commercial Mortgage Trust          
2015-NXS1, 2.63% due 05/15/48   391,506    391,355 
Total Commercial Mortgage Backed Securities        11,770,183 
Total Collateralized Mortgage Obligations          
(Cost $96,015,531)        96,695,804 
           
MUNICIPAL BONDS†† - 1.5%          
New York - 1.0%          
City of New York New York General Obligation Unlimited          
0.09% (VRDN) due 04/01/429   7,505,000    7,505,000 

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
MUNICIPAL BONDS†† - 1.5% (continued)
New York - 1.0% (continued)        
New York City Transitional Finance Authority Future Tax Secured Revenue Bonds        
0.10% (VRDN) due 08/01/429   350,000   $350,000 
Total New York        7,855,000 
California - 0.4%          
Metropolitan Water District of Southern California Revenue Bonds          
0.07% (VRDN) due 07/01/479   3,420,000    3,420,000 
McKinleyville Union School District General Obligation Unlimited          
 due 08/01/212   210,000    19,551 
City of Fairfield California Revenue Bonds          
8.38% due 06/01/21   10,000    10,228 
Total California        3,449,779 
Nevada - 0.1%          
Las Vegas Valley Water District General Obligation Limited          
5.13% due 06/01/21   120,000    122,362 
Texas - 0.0%          
West Travis County Public Utility Agency Revenue Bonds          
5.00% due 08/15/21   50,000    51,475 
Houston Higher Education Finance Corp. Revenue Bonds          
5.00% due 09/01/22   25,000    26,960 
North Texas Tollway Authority Revenue Bonds          
5.00% due 09/01/21   25,000    25,791 
Central Texas Turnpike System Revenue Bonds          
 due 08/15/212   10,000    9,888 
Total Texas        114,114 
Virginia - 0.0%          
Virginia College Building Authority Revenue Bonds          
3.00% due 09/01/21   60,000    61,064 
City of Suffolk Virginia General Obligation Unlimited          
5.00% due 02/01/21   20,000    19,870 
Montgomery County Economic Development Authority Revenue Bonds          
4.71% due 06/01/21   5,000    5,040 
Total Virginia        85,974 
Connecticut - 0.0%          
Connecticut State Health & Educational Facility Authority Revenue Bonds          
5.00% due 07/01/21   50,000    51,155 
Connecticut State Health & Educational Facilities Authority Revenue Bonds          
4.13% due 07/01/21   10,000    10,093 
4.00% due 07/01/21   10,000    10,085 
5.00% due 07/01/21   5,000    5,065 
Total Connecticut        76,398 
Colorado - 0.0%          
Colorado Health Facilities Authority Revenue Bonds          
5.00% due 02/01/21   75,000    75,060 
Pennsylvania - 0.0%          
Armstrong School District General Obligation Limited          
6.95% due 03/15/21   15,000    15,194 
7.00% due 03/15/21   15,000    15,045 
Central Bucks School District General Obligation Limited          
5.10% due 05/15/21   15,000    15,111 
County of Montgomery Pennsylvania General Obligation Unlimited          
5.20% due 04/01/21   15,000    15,024 
City of Erie Pennsylvania General Obligation Unlimited          
 due 11/15/222   5,000    4,917 
Total Pennsylvania        65,291 
Kansas - 0.0%          
City of Wichita Kansas Water & Sewer Utility Revenue Bonds          
5.00% due 10/01/21   50,000    51,744 
Arizona - 0.0%          
Industrial Development Authority of the County of Pima Revenue Bonds          
8.25% due 06/01/21   30,000    30,961 
City of Mesa Arizona Excise Tax Revenue Bonds          
5.00% due 07/01/22   5,000    5,307 
Total Arizona        36,268 
Maryland - 0.0%          
Maryland Health & Higher Educational Facilities Authority Revenue Bonds          
4.00% due 07/01/22   30,000    31,671 
New Jersey - 0.0%          
New Jersey Health Care Facilities Financing Authority Revenue Bonds          
5.25% due 07/01/21   10,000    10,148 

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
MUNICIPAL BONDS†† - 1.5% (continued)
New Jersey - 0.0% (continued)        
New Jersey Economic Development Authority Revenue Bonds        
 due 07/01/212   10,000   $9,881 
Total New Jersey        20,029 
Georgia - 0.0%          
Marion County School District General Obligation Unlimited          
5.52% due 02/01/21   20,000    19,875 
Illinois - 0.0%          
City of Moline Illinois General Obligation Unlimited          
5.20% due 06/01/21   10,000    10,096 
Illinois Finance Authority Revenue Bonds          
4.00% due 05/15/22   5,000    5,177 
Total Illinois        15,273 
Massachusetts - 0.0%          
Commonwealth of Massachusetts Transportation Fund Revenue Bonds          
4.00% due 06/01/21   15,000    15,087 
Oregon - 0.0%          
Oregon State Lottery Revenue Bonds          
5.25% due 04/01/21   15,000    15,031 
Puerto Rico - 0.0%          
Puerto Rico Highway & Transportation Authority Revenue Bonds          
5.25% due 07/01/22   10,000    10,635 
Indiana - 0.0%          
Indiana Finance Authority Revenue Bonds          
4.50% due 03/01/21   10,000    9,967 
Alabama - 0.0%          
University of West Alabama Revenue Bonds          
6.50% due 01/01/21   10,000    9,900 
North Carolina - 0.0%          
Inlivian Revenue Bonds          
6.00% due 12/01/21   5,000    5,241 
Missouri - 0.0%          
Health & Educational Facilities Authority of the State of Missouri Revenue Bonds          
5.00% due 11/15/21   5,000    5,159 
South Carolina - 0.0%          
South Carolina Jobs-Economic Development Authority Revenue Bonds          
6.00% due 08/01/21   5,000    5,116 
Total Municipal Bonds          
(Cost $12,097,810)        12,094,974 
           
SENIOR FLOATING RATE INTERESTS††,4 - 1.3%          
Industrial - 0.4%          
Reynolds Group Holdings, Inc.          
2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 02/06/23   1,000,000    995,000 
Filtration Group Corp.          
3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/31/25   846,130    836,230 
Gates Global LLC          
3.75% (1 Month USD LIBOR + 2.75%, Rate Floor: 3.75%) due 04/01/24   696,181    693,668 
VC GB Holdings, Inc.          
4.00% (1 Month USD LIBOR + 3.00%, Rate Floor: 4.00%) due 02/28/24†††   500,000    498,750 
Total Industrial        3,023,648 
Financial - 0.3%          
AlixPartners, LLP          
2.50% (1 Month USD LIBOR + 2.50%, Rate Floor: 2.50%) due 04/04/24   1,296,632    1,280,632 
USI, Inc.          
3.25% (3 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 05/16/24   797,938    785,801 
HUB International Ltd.          
2.96% (3 Month USD LIBOR + 2.75%, Rate Floor: 2.75%) due 04/25/25   450,000    441,423 
Focus Financial Partners, LLC          
2.15% (1 Month USD LIBOR + 2.00%, Rate Floor: 2.00%) due 07/03/24   99,744    98,954 
Total Financial        2,606,810 
Consumer, Cyclical - 0.2%          
Samsonite IP Holdings SARL          
5.50% (1 Month USD LIBOR + 4.50%, Rate Floor: 5.50%) due 04/25/25   1,144,250    1,136,389 
Go Daddy Operating Company LLC          
1.90% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 02/15/24   498,279    497,656 

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Face
Amount~
   Value 
SENIOR FLOATING RATE INTERESTS††,4 - 1.3% (continued)
Consumer, Cyclical - 0.2% (continued)        
Burlington Stores, Inc.        
1.91% (1 Month USD LIBOR + 1.75%, Rate Floor: 1.75%) due 11/17/24   100,000   $98,250 
Total Consumer, Cyclical        1,732,295 
Technology - 0.2%          
MACOM Technology Solutions Holdings, Inc.          
2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 05/17/24   1,346,644    1,311,631 
Consumer, Non-cyclical - 0.1%          
Dole Food Company, Inc.          
3.75% (1 Month USD LIBOR + 2.75%, Rate Floor: 3.75%) due 04/06/24   397,279    396,286 
National Mentor Holdings, Inc.          
due 03/09/26   349,600    348,799 
Nomad Foods Lux SARL          
2.41% (1 Month USD LIBOR + 2.25%, Rate Floor: 2.25%) due 05/15/24   300,000    296,025 
Civitas Solutions, Inc.          
4.43% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 03/09/26   48,247    48,137 
4.51% (1 Month USD LIBOR + 4.25%, Rate Floor: 4.25%) due 03/09/26   2,153    2,148 
Total Consumer, Non-cyclical        1,091,395 
Basic Materials - 0.1%          
Invictus MD Strategies Corp.          
3.15% (1 Month USD LIBOR + 3.00%, Rate Floor: 3.00%) due 03/28/25   548,590    538,205 
HB Fuller Co.          
2.15% (1 Month USD LIBOR + 2.00%, Rate Floor: 2.00%) due 10/21/24   139,180    138,084 
Total Basic Materials        676,289 
Communications - 0.0%          
WMG Acquisition Corp.          
2.27% (1 Month USD LIBOR + 2.13%, Rate Floor: 2.13%) due 11/01/23   200,000    199,468 
Total Senior Floating Rate Interests          
(Cost $10,564,778)        10,641,536 
           
U.S. TREASURY BILLS†† - 0.1%          
U.S. Treasury Bills          
0.07% due 02/02/2110   600,000    599,963 
Total U.S. Treasury Bills          
(Cost $599,960)        599,963 
           
REPURCHASE AGREEMENTS††,11 - 2.9%          
J.P. Morgan Securities LLC          
issued 12/31/20 at 0.06%
 due 01/04/21
   23,000,000    23,000,000 
Total Repurchase Agreements          
(Cost $23,000,000)        23,000,000 
Total Investments - 100.5%          
(Cost $793,067,592)       $800,554,640 
Other Assets & Liabilities, net - (0.5)%        (4,161,319)
Total Net Assets - 100.0%       $796,393,321 

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Total Return Swap Agreements              
Counterparty  Index  Financing
Rate Receive
  Payment
Frequency
  Maturity
Date
  Units  Notional
Amount
   Value and
Unrealized
Depreciation
 
OTC Fixed Income Index Swap Agreements Sold Short††              
JPMorgan Chase Bank, N.A.  iShares Core U.S. Aggregate Bond ETF  (0.54)% (2 Month USD LIBOR + 0.36%)  At Maturity  01/21/21  62,500  $7,386,875   $(15,000)
BNP Paribas  iShares Core U.S. Aggregate Bond ETF  (0.54)% (3 Month USD LIBOR + 0.40%)  At Maturity  01/20/21  40,600   4,798,514    (22,736)
JPMorgan Chase Bank, N.A.  iShares Core U.S. Aggregate Bond ETF  (0.45)% (3 Month USD LIBOR + 0.24%)  At Maturity  01/20/21  42,500   5,023,075    (28,900)
BNP Paribas  iShares Core U.S. Aggregate Bond ETF  (0.47)% (1 Month USD LIBOR + 0.32%)  At Maturity  01/21/21  97,450   11,517,615    (44,827)
Goldman Sachs International  iShares iBoxx $ High Yield Corporate Bond ETF  (0.50)% (1 Month USD LIBOR + 0.35%)  At Maturity  01/27/21  68,700   5,997,510    (70,761)
Goldman Sachs International  iShares iBoxx $ Investment Grade Corporate Bond ETF  (0.47)% (1 Month USD LIBOR + 0.33%)  At Maturity  02/01/21  42,400   5,856,712    (186,560)
Goldman Sachs International  iShares iBoxx $ Investment Grade Corporate Bond ETF  (0.48)% (1 Month USD LIBOR + 0.33%)  At Maturity  01/29/21  98,690   13,632,050    (365,153)
                  $54,212,351   $(733,937)

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Forward Foreign Currency Exchange Contracts††
Counterparty  Contracts to Sell  Currency  Settlement Date  Settlement Value   Value at
December
31, 2020
   Unrealized
Appreciation
(Depreciation)
 
JPMorgan Chase Bank, N.A.  9,900,000  BRL  07/01/21  $2,372,110   $1,899,626   $472,484 
Citibank N.A., New York  8,240,000  BRL  07/01/21   1,997,146    1,581,103    416,043 
Citibank N.A., New York  464,232,000  JPY  07/01/21   4,571,102    4,506,085    65,017 
Barclays Bank plc  429,214,500  JPY  07/01/21   4,219,983    4,166,186    53,797 
Goldman Sachs International  860,000  BRL  07/01/21   201,476    165,018    36,458 
Citibank N.A., New York  9,095,000  CAD  01/14/21   7,154,010    7,150,392    3,618 
Goldman Sachs International  12,800,000  MXN  01/07/21   645,910    643,561    2,349 
BNP Paribas  1,550,000  CAD  01/20/21   1,218,990    1,218,633    357 
Citibank N.A., New York  625,000  CAD  01/20/21   491,482    491,384    98 
Barclays Bank plc  162,000  CAD  01/08/21   127,392    127,359    33 
Citibank N.A., New York  232,000  JPY  01/04/21   2,264    2,247    17 
Barclays Bank plc  214,500  JPY  01/04/21   2,089    2,077    12 
Citibank N.A., New York  92  ILS  02/01/21   26    29    (3)
BNP Paribas  600,000  CAD  01/28/21   471,605    471,749    (144)
Goldman Sachs International  840,000  CAD  01/14/21   660,115    660,399    (284)
BNP Paribas  910,000  CAD  01/27/21   715,151    715,482    (331)
Bank of America, N.A.  33,550  ILS  02/01/21   9,803    10,459    (656)
Barclays Bank plc  63,277  ILS  08/02/21   18,856    19,804    (948)
Morgan Stanley Capital Services LLC  125,000  CAD  01/07/21   96,824    98,270    (1,446)
UBS AG  103,450,000  JPY  01/06/21   1,000,237    1,001,892    (1,655)
JPMorgan Chase Bank, N.A.  580,000  CAD  01/06/21   453,869    455,970    (2,101)
UBS AG  20,000,000  MXN  01/14/21   1,001,382    1,004,760    (3,378)
Goldman Sachs International  700,000  CAD  01/06/21   545,888    550,309    (4,421)
Citibank N.A., New York  2,350,000  CAD  01/27/21   1,842,747    1,847,675    (4,928)
Bank of America, N.A.  643,550  ILS  01/31/22   190,795    202,342    (11,547)
UBS AG  322,550,000  JPY  01/12/21   3,101,442    3,124,085    (22,643)
Barclays Bank plc  179,895,000  HUF  04/21/21   583,509    606,444    (22,935)
UBS AG  73,750,000  MXN  02/18/21   3,651,292    3,690,726    (39,434)
BNP Paribas  7,760,000  CAD  01/22/21   6,053,056    6,101,093    (48,037)
JPMorgan Chase Bank, N.A.  16,900,000  SEK  03/17/21   2,004,797    2,056,438    (51,641)
Goldman Sachs International  3,270,500  ILS  01/31/22   968,615    1,028,293    (59,678)
Bank of America, N.A.  3,949,100  ILS  04/30/21   1,169,117    1,233,665    (64,548)
JPMorgan Chase Bank, N.A.  3,530,000  CAD  01/27/21   2,708,893    2,775,443    (66,550)
Citibank N.A., New York  4,100,600  ILS  04/30/21   1,211,791    1,280,992    (69,201)
Goldman Sachs International  4,191,500  ILS  04/30/21   1,227,224    1,309,390    (82,166)
JPMorgan Chase Bank, N.A.  2,600,000  CAD  01/04/21   1,957,712    2,043,993    (86,281)
Barclays Bank plc  2,804,000,000  JPY  01/06/21   27,068,250    27,156,174    (87,924)
Barclays Bank plc  8,523,623  ILS  08/01/22   2,581,742    2,687,789    (106,047)
JPMorgan Chase Bank, N.A.  4,878,000  CAD  01/07/21   3,723,841    3,834,887    (111,046)
JPMorgan Chase Bank, N.A.  7,980,000  CAD  01/08/21   6,161,083    6,273,587    (112,504)
UBS AG  80,200,000  MXN  01/28/21   3,904,645    4,022,639    (117,994)
Goldman Sachs International  29,700,000  BRL  04/01/21   5,573,801    5,715,136    (141,335)
Goldman Sachs International  2,216,500  EUR  07/30/21   2,574,742    2,721,175    (146,433)
Citibank N.A., New York  816,000,000  JPY  01/06/21   7,754,944    7,902,795    (147,851)
UBS AG  32,950,000  SEK  01/20/21   3,852,715    4,007,006    (154,291)
Citibank N.A., New York  18,940,000  EUR  01/06/21   22,984,071    23,143,309    (159,238)
JPMorgan Chase Bank, N.A.  195,330,000  MXN  01/14/21   9,650,548    9,812,986    (162,438)
Goldman Sachs International  2,085,000,000  JPY  02/01/21   20,026,299    20,199,910    (173,611)
JPMorgan Chase Bank, N.A.  2,407,925  EUR  07/30/21   2,779,155    2,956,185    (177,030)
JPMorgan Chase Bank, N.A.  5,230,000  GBP  01/29/21   6,972,719    7,153,827    (181,108)
UBS AG  11,000,000  CAD  01/14/21   8,459,632    8,648,083    (188,451)
JPMorgan Chase Bank, N.A.  6,430,000  EUR  01/15/21   7,611,738    7,858,802    (247,064)
UBS AG  206,200,000  MXN  02/25/21   10,013,549    10,311,426    (297,877)
Citibank N.A., New York  10,920,000  EUR  01/15/21   13,016,371    13,346,518    (330,147)
Citibank N.A., New York  144,000,000  SEK  03/17/21   17,014,841    17,522,309    (507,468)
UBS AG  14,380,000  EUR  01/15/21   17,017,379    17,575,361    (557,982)
Barclays Bank plc  34,471,970  ILS  02/01/21   10,046,528    10,746,594    (700,066)
Citibank N.A., New York  20,000,000  GBP  01/11/21   26,629,424    27,352,605    (723,181)
Goldman Sachs International  34,828,865  ILS  02/01/21   10,133,222    10,857,856    (724,634)
                      $(5,850,393)

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Counterparty  Contracts to Buy  Currency  Settlement Date  Settlement Value   Value at
December
31, 2020
   Unrealized
Appreciation
(Depreciation)
 
UBS AG  51,039,621  ILS  02/01/21  $15,257,702   $15,911,539   $653,837 
Goldman Sachs International  18,294,856  ILS  02/01/21   5,128,073    5,703,399    575,326 
Goldman Sachs International  4,624,425  EUR  07/30/21   5,306,528    5,677,360    370,832 
Barclays Bank plc  8,523,623  ILS  08/01/22   2,345,521    2,687,789    342,268 
Goldman Sachs International  6,120,600  ILS  04/30/21   1,707,090    1,912,024    204,934 
JPMorgan Chase Bank, N.A.  6,120,600  ILS  04/30/21   1,724,599    1,912,024    187,425 
UBS AG  206,200,000  MXN  02/25/21   10,151,560    10,311,426    159,866 
Goldman Sachs International  3,914,050  ILS  01/31/22   1,086,029    1,230,635    144,606 
UBS AG  80,200,000  MXN  01/28/21   3,962,638    4,022,639    60,001 
JPMorgan Chase Bank, N.A.  3,530,000  CAD  01/27/21   2,729,684    2,775,443    45,759 
BNP Paribas  73,750,000  MXN  02/18/21   3,670,067    3,690,726    20,659 
Barclays Bank plc  63,277  ILS  07/30/21   17,339    19,802    2,463 
Citibank N.A., New York  12,635,000  BRL  07/01/21   2,423,070    2,424,421    1,351 
JPMorgan Chase Bank, N.A.  446,500  JPY  01/04/21   4,335    4,324    (11)
Citibank N.A., New York  179,895,000  HUF  04/21/21   611,285    606,444    (4,841)
UBS AG  215,330,000  MXN  01/14/21   10,826,974    10,817,746    (9,228)
JPMorgan Chase Bank, N.A.  6,365,000  BRL  07/01/21   1,233,527    1,221,325    (12,202)
JPMorgan Chase Bank, N.A.  893,446,500  JPY  07/01/21   8,723,785    8,672,271    (51,514)
                      $2,691,531 

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

~ The face amount is denominated in U.S. dollars unless otherwise indicated.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs, unless otherwise noted — See Note 3.
††† Value determined based on Level 3 inputs — See Note 3.
1 Rate indicated is the 7-day yield as of December 31, 2020.
2 Zero coupon rate security.
3 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be liquid under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) securities is $290,799,783 (cost $289,484,818), or 36.5% of total net assets.
4 Variable rate security. Rate indicated is the rate effective at December 31, 2020. In some instances, the effective rate is limited by a minimum rate floor or a maximum rate cap established by the issuer. The settlement status of a position may also impact the effective rate indicated. In some cases, a position may be unsettled at period end and may not have a stated effective rate. In instances where multiple underlying reference rates and spread amounts are shown, the effective rate is based on a weighted average.
5 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be illiquid and restricted under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) illiquid and restricted securities is $13,598,343 (cost $13,593,118), or 1.7% of total net assets — See Note 6.
6 Security has a fixed rate coupon which will convert to a floating or variable rate coupon on a future date.
7 Security is a step up/down bond. The coupon increases or decreases at regular intervals until the bond reaches full maturity. Rate indicated is the rate at December 31, 2020. See table below for additional step information for each security.
8 Security is an interest-only strip.
9 The rate is adjusted periodically by the counterparty, allows the holder to tender the security upon a rate reset, and is not based upon a set reference rate and spread. Rate indicated is the rate effective at December 31, 2020.
10 Rate indicated is the effective yield at the time of purchase.
11 Repurchase Agreements - The interest rate on repurchase agreements is market driven and based on the underlying collateral obtained. See additional disclosure in the repurchase agreements table below for more information on repurchase agreements.

 

BRL — Brazilian Real

CAD — Canadian Dollar

EUR — Euro

GBP — British Pound

HUF — Hungarian Forint

ILS — Israeli New Shekel

JPY — Japanese Yen

LIBOR — London Interbank Offered Rate

MXN — Mexican Peso

plc — Public Limited Company

SARL — Société à Responsabilité Limitée

SEK — Swedish Krona

VRDN — Variable Rate Demand Note

WAC — Weighted Average Coupon

 

See Sector Classification in Other Information section.

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Exchange-Traded Funds  $54,212,351   $   $   $54,212,351 
Money Market Fund   67,822,297            67,822,297 
Foreign Government Debt       228,611,078        228,611,078 
Asset-Backed Securities       178,611,413    16,350,000    194,961,413 
Corporate Bonds       111,915,224        111,915,224 
Collateralized Mortgage Obligations       96,695,804        96,695,804 
Municipal Bonds       12,094,974        12,094,974 
Senior Floating Rate Interests       10,142,786    498,750    10,641,536 
U.S. Treasury Bills       599,963        599,963 
Repurchase Agreements       23,000,000        23,000,000 
Forward Foreign Currency Exchange Contracts**       3,819,610        3,819,610 
Total Assets  $122,034,648   $665,490,852   $16,848,750   $804,374,250 

 

Investments in Securities (Liabilities)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Fixed Income Index Swap Agreements**  $   $733,937   $   $733,937 
Forward Foreign Currency Exchange Contracts**       6,978,472        6,978,472 
Total Liabilities  $   $7,712,409   $   $7,712,409 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

 

The following is a summary of significant unobservable inputs used in the fair valuation of assets and liabilities categorized within Level 3 of the fair value hierarchy:

 

Category  Ending Balance at December 31, 2020   Valuation Technique  Unobservable Inputs  Input Range  Weighted Average
Assets:                 
Asset-Backed Securities  $11,100,000   Option Adjusted Spread off the prior month end broker quote  Broker Quote    — 
Asset-Backed Securities   5,250,000   Model Price  Purchase Price    — 
Senior Floating Rate Interests   498,750   Third Party Pricing  Broker Quote    — 
Total Assets  $16,848,750             

 

Significant changes in a quote would generally result in significant changes in the fair value of the security.

 

The Fund’s fair valuation leveling guidelines classify a single daily broker quote, or a vendor price based on a single daily or monthly broker quote, as Level 3, if such a quote or price cannot be supported with other available market information.

 

Transfers between Level 2 and Level 3 may occur as markets fluctuate and/or the availability of data used in an investment’s valuation changes. For the period ended December 31, 2020, the Fund had assets with a total value of $1,000,000 transfer into Level 3 from Level 2 due to a lack of observable inputs.

 

Summary of Fair Value Level 3 Activity

Following is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value for the period ended December 31, 2020:

 

   Assets     
   Asset-
Backed
Securities
   Collateralized
Mortgage
Obligations
   Senior
Floating
Rate
Interests
   Total Assets 
Beginning Balance  $15,400,000   $4,875,837   $-   $20,275,837 
Purchases/(Receipts)   5,250,000    -    494,000    5,744,000 
(Sales, maturities and paydowns)/Fundings   (5,300,000)   (4,832,346)   -    (10,132,346)
Amortization of premiums/discounts   -    (6)   81    75 
Total realized gains (losses) included in earnings   -    (3)   -    (3)
Total change in unrealized appreciation (depreciation) included in earnings   -    (43,482)   4,669    (38,813)
Transfers into Level 3   1,000,000    -    -    1,000,000 
Transfers out of Level 3   -    -    -    - 
Ending Balance  $16,350,000   $-   $498,750   $16,848,750 
Net change in unrealized appreciation (depreciation) for investments in Level 3 securities still held at December 31, 2020  $-   $-   $4,669   $4,669 

 

 

 

Ultra Short Duration Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

Step Coupon Bonds

 

The following table discloses additional information related to step coupon bonds held by the Fund. Certain securities are subject to multiple rate changes prior to maturity. For those securities, a range of rates and corresponding dates have been provided. Rates for all step coupon bonds held by the Fund are scheduled to increase, none are scheduled to decrease.

 

Name Coupon Rate
at Next Reset Date
Next Rate
Reset Date
CSMC Trust 2020-NQM1, 1.21% due 05/25/65 2.21% 09/26/24
Verus Securitization Trust 2020-1, 2.42% due 01/25/60 3.42% 01/26/24
Verus Securitization Trust 2020-5, 1.22% due 05/25/65 2.22% 10/26/24
Verus Securitization Trust 2019-4, 2.64% due 11/25/59 3.64% 10/26/23
Verus Securitization Trust 2019-4, 2.85% due 11/25/59 3.85% 10/26/23

 

Repurchase Agreements

The Fund may engage in repurchase agreements. Repurchase agreements are fixed income securities in the form of agreements backed by collateral. These agreements typically involve the acquisition by the Fund of securities from the selling institution coupled with the agreement that the selling institution will repurchase the underlying securities at a specified price and at a fixed time in the future. The Fund may accept a wide variety of underlying securities as collateral for the repurchase agreements entered into by the Fund. Any such securities serving as collateral are marked-to-market daily in order to maintain full collateralization.

 

In connection with transactions in repurchase agreements, it is the Fund’s policy that its custodian take possession of the underlying collateral. The collateral is in the possession of the Fund’s custodian and is evaluated to ensure that its market value exceeds, at a minimum, 102% of the original face amount of the repurchase agreements.

 

The use of repurchase agreements involves certain risks. For example, if the selling institution defaults on its obligation to repurchase the underlying securities at a time when the value of securities has declined, the Fund may incur a loss upon disposition of them. In the event of an insolvency or bankruptcy by the selling institution, the Fund’s right to control the collateral could be affected and result in certain costs and delays. In addition, the Fund could incur a loss if the value of the underlying collateral falls below the agreed upon repurchase price.

 

At December 31, 2020, the repurchase agreements in the account were as follows:

 

Counterparty and Terms
of Agreement
  Face Value   Repurchase
Price
   Collateral  Par Value   Fair Value 
J.P. Morgan Securities LLC          U.S. Treasury Note        
0.06%            3.00%          
01/04/21  $23,000,000   $23,000,153   10/31/25  $20,600,800   $23,329,773 
                        
             U.S. Treasury Note          
             2.63%          
             12/15/21   59,100    60,572 
                        
             U.S. Treasury Bond          
             7.65%          
             11/15/22   11,100    12,759 
                        
             U.S. Treasury Bond          
             1.13%          
             08/15/40   12,800    12,152 
                        
             U.S. Treasury Bond          
             6.13%          
             11/15/27   6,200    8,555 
                        
             U.S. Treasury Bill          
             0.00%          
             01/07/21   7,200    7,200 
                        
             U.S. Treasury Strip          
             0.00%          
             05/15/49   10,000    6,194 
                        
             U.S. Treasury Bond          
             6.63%          
             02/15/27   4,400    6,133 
                        
             U.S. Cash Management Bill          
             0.00%          
             06/01/21   3,600    3,599 
                        
             U.S. Treasury Note          
             2.13%          
             02/29/24   2,400    2,563 
                        
             U.S. Treasury Inflation Indexed Bond          
             0.63%          
             01/15/24   1,786    1,921 
                        
             U.S. Treasury Note          
             2.50%          
             08/15/23   1,600    1,713 
                        
             U.S. Treasury Note          
             2.13%          
             07/31/24   1,300    1,400 
                        
             U.S. Treasury Note          
             2.88%          
             05/31/25   800    892 
                        
             U.S. Treasury Note          
             1.88%          
             08/31/24   800    853 
                        
             U.S. Treasury Bond          
             7.63%          
             11/15/22   600    690 
                        
             U.S. Treasury Note          
             2.75%          
             11/15/23   400    431 
                        
             U.S. Treasury Note          
             2.50%          
             03/31/23   400    424 
                        
             U.S. Treasury Note          
             1.50%          
             01/31/22   400    408 
                        
             U.S. Treasury Bill          
             0.00%          
             05/20/21   400    400 
                        
             U.S. Treasury Bond          
             7.13%          
             02/15/23   200    235 
                        
             U.S. Treasury Strip          
             0.00%          
             02/15/22   205    205 
                        
             U.S. Treasury Note          
             2.00%          
             08/31/21   200    204 
                        
             U.S. Treasury Strip          
             0.00%          
             05/15/24   205    203 
                        
             U.S. Treasury Strip          
             0.00%          
             02/15/43   205    142 
                        
             U.S. Treasury Strip          
             0.00%          
             05/15/42   198    140 
                        
             U.S. Treasury Strip          
             0.00%          
             08/15/44   205    137 
                        
             U.S. Treasury Strip          
             0.00%          
             11/15/44   160    107 
                        
             U.S. Treasury Strip          
             0.00%          
             02/15/33   102    88 
                        
             U.S. Treasury Strip          
             0.00%          
             11/15/47   100    64 
                 20,727,866    23,460,157 

 

 

 

World Equity Income Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 96.5%
Financial - 20.5%
Mastercard, Inc. — Class A   1,782   $636,067 
Citigroup, Inc.   7,900    487,114 
Wells Fargo & Co.   15,900    479,862 
Legal & General Group plc††   120,900    440,463 
DBS Group Holdings Ltd.††   23,100    438,170 
Oversea-Chinese Banking Corporation Ltd.††   53,500    408,076 
Prudential Financial, Inc.   4,700    366,929 
Simon Property Group, Inc. REIT   4,200    358,176 
United Overseas Bank Ltd.††   20,300    346,324 
Sumitomo Mitsui Financial Group, Inc.††   11,100    344,076 
Medical Properties Trust, Inc. REIT   14,928    325,281 
Annaly Capital Management, Inc. REIT   37,415    316,157 
BOC Hong Kong Holdings Ltd.††   98,800    299,499 
Zurich Insurance Group AG††   673    283,664 
Admiral Group plc††   7,000    276,710 
VEREIT, Inc.    7,100    268,309 
Mitsubishi UFJ Financial Group, Inc.††   60,000    265,655 
AGNC Investment Corp. REIT   17,000    265,200 
Daiwa House REIT Investment Corp.††   100    247,384 
Synchrony Financial   7,100    246,441 
AvalonBay Communities, Inc. REIT   1,500    240,645 
Banque Cantonale Vaudoise††   2,200    239,508 
Vornado Realty Trust REIT   6,100    227,774 
Citizens Financial Group, Inc.   6,100    218,136 
Goldman Sachs Group, Inc.   800    210,968 
Hang Seng Bank Ltd.††   11,100    191,573 
Equity Residential REIT   3,200    189,696 
NN Group N.V.††   4,000    172,956 
KeyCorp   10,100    165,741 
Capital One Financial Corp.   1,300    128,505 
New World Development Company Ltd.††   27,600    128,412 
Tryg A/S††   4,000    125,813 
AXA S.A.††   5,100    122,335 
Bank of America Corp.   4,000    121,240 
Public Storage REIT   408    94,220 
Allstate Corp.   700    76,951 
Total Financial        9,754,030 
Consumer, Non-cyclical - 18.2%          
PepsiCo, Inc.   3,505    519,792 
Merck & Company, Inc.   6,300    515,340 
Philip Morris International, Inc.   5,800    480,182 
AbbVie, Inc.   3,800    407,170 
Roche Holding AG††   1,168    406,882 
DexCom, Inc.*   1,100    406,692 
Genmab A/S*,††   1,000    405,520 
Square, Inc. — Class A*   1,800    391,752 
Vertex Pharmaceuticals, Inc.*   1,400    330,876 
Recruit Holdings Company Ltd.††   7,300    306,619 
Tyson Foods, Inc. — Class A   4,700    302,868 
Kimberly-Clark Corp.   2,191    295,413 
Procter & Gamble Co.   2,103    292,611 
Sysco Corp.   3,900    289,614 
Kraft Heinz Co.   8,100    280,746 
Boston Scientific Corp.*   7,100    255,245 
Johnson & Johnson   1,600    251,808 
WH Group Ltd.††,2   294,500    246,965 
Colgate-Palmolive Co.   2,882    246,440 
Novo Nordisk A/S — Class B††   3,530    246,265 
CVS Health Corp.   3,600    245,880 
Jazz Pharmaceuticals plc*   1,200    198,060 
ABIOMED, Inc.*   600    194,520 
CoStar Group, Inc.*   200    184,856 
Humana, Inc.   400    164,108 
Archer-Daniels-Midland Co.   3,200    161,312 
Kellogg Co.   2,156    134,168 
Bristol-Myers Squibb Co.   1,900    117,857 
HCA Healthcare, Inc.   600    98,676 
Baxter International, Inc.   1,200    96,288 
Incyte Corp.*   1,000    86,980 
S&P Global, Inc.   210    69,033 
Total Consumer, Non-cyclical        8,630,538 
Technology - 16.1%          
Apple, Inc.   11,236    1,490,905 
Microsoft Corp.   5,542    1,232,651 
ASML Holding N.V.††   1,300    629,557 
NVIDIA Corp.   800    417,760 
Texas Instruments, Inc.   2,498    409,997 
Micron Technology, Inc.*   5,300    398,454 
Advanced Micro Devices, Inc.*   4,300    394,353 
Twilio, Inc. — Class A*   1,100    372,350 
Seagate Technology plc   5,823    361,958 
ASM Pacific Technology Ltd.††   22,100    291,881 
International Business Machines Corp.   2,200    276,936 
salesforce.com, Inc.*   1,200    267,036 
Lam Research Corp.   500    236,135 
Western Digital Corp.   4,200    232,638 
SAP AG††   1,400    181,363 
Oracle Corporation Japan††   1,100    143,389 
Hewlett Packard Enterprise Co.   10,100    119,685 
Tokyo Electron Ltd.††   300    112,068 
Square Enix Holdings Company Ltd.††   1,700    103,071 
Total Technology        7,672,187 
Industrial - 9.7%          
3M Co.   2,647    462,669 
Atlas Copco AB — Class A††   7,900    406,169 
DSV PANALPINA A/S††   2,300    386,567 
Lockheed Martin Corp.   1,000    354,980 
Kone Oyj — Class B††   4,165    339,433 
Northrop Grumman Corp.   1,000    304,720 
Husqvarna AB — Class B††   21,200    275,225 
Illinois Tool Works, Inc.   1,121    228,550 
Keyence Corp.††   400    225,005 
Investment AB Latour — Class B††   9,100    220,501 
CRH plc ADR††   5,100    216,930 
Venture Corporation Ltd.††   13,200    194,271 
Deutsche Post AG††   3,800    188,274 
Waste Management, Inc.   1,446    170,527 
Packaging Corporation of America   1,119    154,321 

 

 

 

World Equity Income Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

   Shares   Value 
COMMON STOCKS - 96.5% (continued)
Industrial - 9.7% (continued)
Komatsu Ltd.††   4,900   $135,230 
Siemens AG††   800    115,260 
ROCKWOOL International A/S — Class B††   300    112,284 
SKF AB — Class B††   4,000    104,112 
Total Industrial        4,595,028 
Basic Materials - 8.0%          
Rio Tinto plc††   7,800    587,048 
LyondellBasell Industries N.V. — Class A   4,800    439,968 
Givaudan S.A.††   100    423,154 
FMC Corp.   2,900    333,297 
UPM-Kymmene Oyj††   8,900    331,962 
Nucor Corp.   5,900    313,821 
Boliden AB††   8,000    283,915 
Steel Dynamics, Inc.   7,000    258,090 
Fortescue Metals Group Ltd.††   13,300    240,286 
Koninklijke DSM N.V.††   900    154,805 
Arkema S.A.††   1,000    114,445 
Covestro AG††,2   1,800    110,927 
Novozymes A/S — Class B††   1,900    108,231 
Johnson Matthey plc††   3,000    99,355 
Total Basic Materials        3,799,304 
Communications - 7.8%          
Amazon.com, Inc.*   401    1,306,029 
Alphabet, Inc. — Class C*   424    742,797 
ViacomCBS, Inc. — Class B   8,700    324,162 
Facebook, Inc. — Class A*   1,150    314,134 
Lumen Technologies, Inc.   22,200    216,450 
Kakaku.com, Inc.††   7,900    216,248 
ZOZO, Inc.††   7,900    194,609 
HKT Trust & HKT Ltd.††   125,748    163,094 
Twitter, Inc.*   2,000    108,300 
Netflix, Inc.*   200    108,146 
Total Communications        3,693,969 
Utilities - 7.2%          
Southern Co.   6,500    399,295 
FirstEnergy Corp.   12,530    383,543 
PPL Corp.   12,200    344,040 
Exelon Corp.   7,000    295,540 
Orsted A/S††,2   1,360    278,281 
Duke Energy Corp.   2,800    256,368 
Sempra Energy   2,000    254,820 
Vistra Corp.   12,900    253,614 
Fortum Oyj††   9,900    239,234 
UGI Corp.   6,100    213,256 
NRG Energy, Inc.   5,100    191,505 
CLP Holdings Ltd.††   19,700    182,168 
Enagas S.A.††   6,100    134,225 
Total Utilities        3,425,889 
Consumer, Cyclical - 5.6%          
Costco Wholesale Corp.   1,400    527,492 
Evolution Gaming Group AB††,2   3,900    392,217 
Walgreens Boots Alliance, Inc.   7,800    311,064 
Berkeley Group Holdings plc††   4,100    265,175 
Carnival Corp.   12,100    262,086 
Autoliv, Inc.   2,500    230,250 
Home Depot, Inc.   781    207,449 
Electrolux AB††   8,100    188,526 
Persimmon plc††   3,000    113,192 
Cie Generale des Etablissements Michelin SCA — Class B††   600    77,270 
Tesla, Inc.*   100    70,567 
Total Consumer, Cyclical        2,645,288 
Energy - 2.7%          
Marathon Petroleum Corp.   10,100    417,736 
Schlumberger N.V.   19,000    414,770 
Valero Energy Corp.   5,100    288,507 
BP plc††   40,400    139,389 
Total Energy        1,260,402 
Diversified - 0.7%          
CK Hutchison Holdings Ltd.††   49,501    345,624 
Total Common Stocks          
(Cost $38,049,836)        45,822,259 
           
PREFERRED STOCKS - 1.3%          
Consumer, Cyclical - 1.3%          
Volkswagen AG ††   1,800    336,459 
Porsche Automobil Holding SE   4,400    303,999 
Total Consumer, Cyclical        640,458 
Total Preferred Stocks          
(Cost $614,922)        640,458 
           
EXCHANGE-TRADED FUNDS - 1.2%          
iShares MSCI EAFE ETF   4,081    297,750 
SPDR S&P 500 ETF Trust   780    291,626 
Total Exchange-Traded Funds          
(Cost $579,752)        589,376 
           
MONEY MARKET FUND - 0.6%          
Goldman Sachs Financial Square Treasury Instruments Fund Institutional Shares, 0.01%1   263,540    263,540 
Total Money Market Fund          
(Cost $263,540)        263,540 
Total Investments - 99.6%          
(Cost $39,508,050)       $47,315,633 
Other Assets & Liabilities, net - 0.4%        197,775 
Total Net Assets - 100.0%       $47,513,408 

 

* Non-income producing security.
Value determined based on Level 1 inputs, unless otherwise noted — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Rate indicated is the 7-day yield as of December 31, 2020.
2 Security is a 144A or Section 4(a)(2) security. These securities have been determined to be liquid under guidelines established by the Board of Trustees. The total market value of 144A or Section 4(a)(2) securities is $1,028,390 (cost $780,219), or 2.2% of total net assets.

 

ADR — American Depositary Receipt

plc — Public Limited Company

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

 

 

World Equity Income Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2020
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2020 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $30,115,420   $15,706,839   $   $45,822,259 
Preferred Stocks   303,999    336,459        640,458 
Exchange-Traded Funds   589,376            589,376 
Money Market Fund   263,540            263,540 
Total Assets  $31,272,335   $16,043,298   $   $47,315,633 

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

Note 1 – Organization, Consolidation of Subsidiary and Significant Accounting Policies

Organization

Guggenheim Funds Trust (the "Trust"), a Delaware statutory trust, is registered with the SEC under the Investment Company Act of 1940 (“1940 Act”), as an open-ended investment company of the series type. Each series, in effect, is representing a separate fund (each, a "Fund"). The Trust may issue an unlimited number of authorized shares. The Trust accounts for the assets of each Fund separately.

 

This report covers the following funds (collectively, the “Funds”):

 

Fund Name Investment Company Type
Alpha Opportunity Fund Diversified
Capital Stewardship Fund Diversified
Diversified Income Fund Diversified
Floating Rate Strategies Fund Diversified
High Yield Fund Diversified
Investment Grade Bond Fund Diversified
Large Cap Value Fund Diversified
Limited Duration Fund Diversified
Macro Opportunities Fund Diversified
Market Neutral Real Estate Fund Non-diversified
Municipal Income Fund Diversified
Risk Managed Real Estate Fund Diversified
Small Cap Value Fund Diversified
SMid Cap Value Fund Diversified
StylePlus—Large Core Fund Diversified
StylePlus—Mid Growth Fund Diversified
Total Return Bond Fund Diversified
Ultra Short Duration Fund Diversified
World Equity Income Fund Diversified

 

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

 

Consolidation of Subsidiary

The Consolidated Schedule of Investments of the Macro Opportunities Fund includes the accounts of a wholly-owned and controlled Cayman Islands subsidiary (the“Subsidiary”). Inter-company accounts and transactions have been eliminated in consolidation for the Fund.

 

The Fund may invest up to 25% of its toal assets in its Subsidiary which acts as an investment vehicle in order to effect certain investments consisten with the Fund’s investment objectives and policies.

 

Significant Accounting Policies

The Funds operate as investment companies and, accordingly, follow the investment company accounting and reporting guidance of the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification Topic 946 Financial Services – Investment Companies.

 

The following significant accounting policies are in conformity with U.S. generally accepted accounting principles (“U.S. GAAP”) and are consistently followed by the Trust. This requires management to make estimates and assumptions that affect the reported amount of assets and liabilities, contingent assets and liabilities at the date of the financial statements, and the reported amounts of revenues and expenses during the reporting period. Actual results could differ from these estimates. All time references are based on Eastern Time.

 

(a) Valuation of Investments

The Board of Trustees of the Funds (the “Board”) has adopted policies and procedures for the valuation of the Funds’ investments (the “Valuation Procedures”). Pursuant to the Valuation Procedures, the Board has delegated to a valuation committee, consisting of representatives from Guggenheim’s investment management, fund administration, legal and compliance departments (the “Valuation Committee”), the day-to-day responsibility for implementing the Valuation Procedures, including, under most circumstances, the responsibility for determining the fair value of the Funds' securities and/or other assets.

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

Valuations of the Funds’ securities and other assets are supplied primarily by pricing services appointed pursuant to the processes set forth in the Valuation Procedures. The Valuation Committee convenes monthly, or more frequently as needed, to review the valuation of all assets which have been fair valued for reasonableness. The Funds’ officers, through the Valuation Committee and consistent with the monitoring and review responsibilities set forth in the Valuation Procedures, regularly review procedures used and valuations provided by the pricing services.

 

If the pricing service cannot or does not provide a valuation for a particular investment or such valuation is deemed unreliable, such investment is fair valued by the Valuation Committee.

 

Equity securities listed or traded on a recognized U.S. securities exchange or the National Association of Securities Dealers Automated Quotations (“NASDAQ”) National Market System shall generally be valued on the basis of the last sale price on the primary U.S. exchange or market on which the security is listed or traded; provided, however, that securities listed on NASDAQ will be valued at the NASDAQ Official Closing Price, which may not necessarily represent the last sale price. If there is no sale on the valuation date, exchange-traded U.S. equity securities will be valued on the basis of the last bid price.

 

Generally, trading in foreign securities markets is substantially completed each day at various times prior to the close of the New York Stock Exchange ("NYSE"). The values of foreign securities are determined as of the close of such foreign markets or the close of the NYSE, if earlier. All investments quoted in foreign currencies are valued in U.S. dollars on the basis of the foreign currency exchange rates prevailing at the close of U.S. business at 4:00 p.m. Investments in foreign securities may involve risks not present in domestic investments. The Valuation Committee will determine the current value of such foreign securities by taking into consideration certain factors which may include those discussed above, as well as the following factors, among others: the value of the securities traded on other foreign markets, ADR trading, closed-end fund trading, foreign currency exchange activity, and the trading prices of financial products that are tied to foreign securities. In addition, under the Valuation Procedures, the Valuation Committee and Guggenheim Investment (“GI”) are authorized to use prices and other information supplied by a third party pricing vendor in valuing foreign securities.

 

Open-end investment companies are valued at their net asset value as of the close of business, on the valuation date. Exchange-traded funds and closed-end investment companies are valued at the last quoted sale price.

 

U.S. Government securities are valued by independent pricing services, the last traded fill price, or at the reported bid price at the close of business.

 

Repurchase agreements are generally valued at amortized cost, provided such amounts approximate market value.

 

Debt securities with a maturity of greater than 60 days at acquisition are valued at prices that reflect broker-dealer supplied valuations or are obtained from independent pricing services, which may consider the trade activity, treasury spreads, yields or price of bonds of comparable quality, coupon, maturity, and type, as well as prices quoted by dealers who make markets in such securities. Short-term debt securities with a maturity of 60 days or less at acquisition are valued at amortized cost, provided such amount approximates market value.

 

Typically, loans are valued using information provided by an independent third party pricing service that uses broker quotes, among other inputs. If the pricing service cannot or does not provide a valuation for a particular loan or such valuation is deemed unreliable, such investment is valued based on a quote from a broker-dealer or is fair valued by the Valuation Committee.

 

Exchange-traded options are valued at the mean of the bid and ask prices on the principal exchange on which they are traded. Over-the-counter (“OTC”) options are valued using a price provided by a pricing service.

 

The value of futures contracts is accounted for using the unrealized appreciation or depreciation on the contracts that is determined by marking the contracts to their current realized settlement prices. Financial futures contracts are valued at the 4:00 p.m. price on the valuation date. In the event that the exchange for a specific futures contract closes earlier than 4:00 p.m., the futures contract is valued at the official settlement price of the exchange. However, the underlying securities from which the futures contract value is derived are monitored until 4:00 p.m. to determine if fair valuation would provide a more accurate valuation.

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

The value of interest rate swap agreements entered into by a fund is accounted for using the unrealized appreciation or depreciation on the agreements that is determined using the previous day’s Chicago Mercantile Exchange close price, adjusted for the current day's spreads.

 

The values of other swap agreements entered into by a fund are accounted for using the unrealized appreciation or depreciation on the agreements that are determined by marking the agreements to the last quoted value of the index or other underlying position that the swaps pertain to at the close of the NYSE.

 

Forward foreign currency exchange contracts are valued daily based on the applicable exchange rate of the underlying currency.

 

Investments for which market quotations are not readily available are fair-valued as determined in good faith by GI, subject to review and approval by the Valuation Committee, pursuant to methods established or ratified by the Board. Valuations in accordance with these methods are intended to reflect each security’s (or asset’s or liability’s) “fair value". Each such determination is based on a consideration of all relevant factors, which are likely to vary from one pricing context to another. Examples of such factors may include, but are not limited to market prices; sale prices; broker quotes; and models which derive prices based on inputs such as prices of securities with comparable maturities and characteristics, or based on inputs such as anticipated cash flows or collateral, spread over U.S. Treasury securities, and other information analysis. In connection with futures contracts and other derivative investments, such factors may include obtaining information as to how (a) these contracts and other derivative investments trade in the futures or other derivative markets, respectively, and (b) the securities underlying these contracts and other derivative investments trade in the cash market.

 

Note 2 – Financial Instruments and Derivatives

As part of their investment strategy, the Funds utilize short sales and a variety of derivative instruments. These investments involve, to varying degrees, elements of market risk. Valuation and accounting treatment of these instruments can be found under Significant Accounting Policies in Note 1 of these Notes to Schedule of Investments.

 

Short Sales

A short sale is a transaction in which a Fund sells a security it does not own. If the security sold short decreases in price between the time the Fund sells the security and closes its short position, the Fund will realize a gain on the transaction. Conversely, if the security increases in price during the period, the Fund will realize a loss on the transaction. The risk of such price increases is the principal risk of engaging in short sales.

 

Derivatives

Derivatives are instruments whose values depend on, or are derived from, in whole or in part, the value of one or more other assets, such as securities, currencies, commodities or indices. Derivative instruments may be used to increase investment flexibility (including to maintain cash reserves while maintaining exposure to certain other assets), for risk management (hedging) purposes, to facilitate trading, to reduce transaction costs and to pursue higher investment returns. Derivative instruments may also be used to mitigate certain investment risks, such as foreign currency exchange rate risk, interest rate risk and credit risk. U.S. GAAP requires disclosures to enable investors to better understand how and why a Fund uses derivative instruments, how these derivative instruments are accounted for and their effects on the Fund’s financial position and results of operations.

 

The Funds may utilize derivatives for the following purposes:

 

Duration: the use of an instrument to manage the interest rate risk of a portfolio.

 

Hedge: an investment made in order to reduce the risk of adverse price movements in a security, by taking an offsetting position to protect against broad market moves.

 

Income: the use of any instrument that distributes cash flows typically based upon some rate of interest.

 

Index Exposure: the use of an instrument to obtain exposure to a listed or other type of index.

 

Leverage: gaining total exposure to equities or other assets on the long and short sides at greater than 100% of invested capital.

 

Liquidity: the ability to buy or sell exposure with little price/market impact.

 

Speculation: the use of an instrument to express macro-economic and other investment views.

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

For any Fund whose investment strategy consistently involves applying leverage, the value of the Fund’s shares will tend to increase or decrease more than the value of any increase or decrease in the underlying index or other asset. In addition, because an investment in derivative instruments generally requires a small investment relative to the amount of investment exposure assumed, an opportunity for increased net income is created; but, at the same time, leverage risk will increase. The Fund’s use of leverage, through borrowings or instruments such as derivatives, may cause the Fund to be more volatile and riskier than if they had not been leveraged.

 

Options Purchased and Written

A call option on a security gives the purchaser of the option the right to buy, and the writer of a call option the obligation to sell, the underlying security. The purchaser of a put option has the right to sell, and the writer of the put option the obligation to buy, the underlying security at any time during the option period. The risk associated with purchasing options is limited to the premium originally paid.

 

Futures Contracts

A futures contract is an agreement to purchase (long) or sell (short) an agreed amount of securities or other instruments at a set price for delivery at a future date. There are significant risks associated with a Fund's use of futures contracts, including (i) there may be an imperfect or no correlation between the changes in market value of the underlying asset and the prices of futures contracts; (ii) there may not be a liquid secondary market for a futures contract; (iii) trading restrictions or limitations may be imposed by an exchange; and (iv) government regulations may restrict trading in futures contracts. When investing in futures, there is minimal counterparty credit risk to a Fund because futures are exchange-traded and the exchange’s clearinghouse, as counterparty to all exchange-traded futures, guarantees against default. Securities held as collateral are noted on the Schedules of Investments.

 

Swap Agreements

A swap is an agreement that obligates two parties to exchange a series of cash flows at specified intervals based upon or calculated by reference to changes in specified prices or rates for a specified amount of an underlying asset. When utilizing OTC swaps, a fund bears the risk of loss of the amount expected to be received under a swap agreement in the event of the default or bankruptcy of a swap agreement counterparty or if the underlying asset declines in value. Certain standardized swaps are subject to mandatory central clearing and are executed on a multi-lateral or other trade facility platform, such as a registered exchange. There is limited counterparty credit risk with respect to centrally-cleared swaps as the transaction is facilitated through a central clearinghouse, much like exchange-traded futures contracts. For a fund utilizing centrally-cleared swaps, the exchange bears the risk of loss resulting from a counterparty not being able to pay. There is no guarantee that a fund or an underlying fund could eliminate its exposure under an outstanding swap agreement by entering into an offsetting swap agreement with the same or another party.

 

Total return swaps and custom basket swaps involve commitments where single or multiple cash flows are exchanged based on the price of an underlying reference asset (such as an index or custom basket of securities) or a fixed or variable interest rate. Total return and custom basket swaps will usually be computed based on the current value of the reference asset as of the close of regular trading on the NYSE or other exchange, with the swap value being adjusted to include dividends accrued, financing charges and/or interest associated with the swap agreement. When utilizing total return or custom basket swaps, a Fund bears the risk of loss of the amount expected to be received under a swap agreement in the event of the default or bankruptcy of a swap agreement counterparty or if the underlying reference asset declines in value.

 

Interest rate swaps involve the exchange by the Funds with another party for their respective commitment to pay or receive a fixed or variable interest rate on a notional amount of principal. Interest rate swaps are generally centrally-cleared, but central clearing does not make interest rate swap transactions risk free.

 

Credit default swaps are instruments which allow for the full or partial transfer of third party credit risk, with respect to a particular entity or entities, from one counterparty to the other. A fund enters into credit default swaps as a "seller" or "buyer" of protection primarily to gain or reduce exposure similar to the investment grade and/or high yield bond market. A seller of credit default swaps is selling credit protection or assuming credit risk with respect to the underlying entity or entities. The buyer in a credit default swap is obligated to pay the seller a periodic stream of payments over the term of the contract provided that no event of default on an underlying reference obligation has occurred. If a credit event occurs, as defined under the terms of the swap agreement, the seller will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index. The notional amount reflects the maximum potential amount the seller of credit protection could be required to pay to the buyer if a credit event occurs. The seller of protection receives periodic premium payments from the buyer and may also receive or pay an upfront premium adjustment to the stated periodic payments. In the event a credit default occurs on a credit default swap referencing an index, a factor adjustment will take place and the buyer of protection will receive a payment reflecting the par less the default recovery rate of the defaulted index component based on its weighting in the index. If no default occurs, the counterparty will pay the stream of payments and have no further obligations to the fund selling the credit protection. For a fund utilizing centrally cleared credit default swaps, the exchange bears the risk of loss resulting from a counterparty not being able to pay. For OTC credit default swaps, a fund bears the risk of loss of the amount expected to be received under a swap agreement in the event of the default or bankruptcy of a swap agreement counterparty, or in the case of a credit default swap in which a fund is selling credit protection, the default of a third party issuer.

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

The quoted market prices and resulting market values for credit default swap agreements on securities and credit indices serve as an indicator of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative had the notional amount of the swap agreement been closed/sold as of the period end. Increasing market values, in absolute terms when compared to the notional amount of the swap, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

 

Forward Foreign Currency Exchange Contracts

A forward foreign currency exchange contract is an agreement between two parties to exchange two designated currencies at a specific time in the future. Certain types of contracts may be cash settled, in an amount equal to the change in exchange rates during the term of the contract. The contracts can be used to hedge or manage exposure to foreign currency risks with portfolio investments or to gain exposure to foreign currencies.

 

The market value of a forward foreign currency exchange contract changes with fluctuations in foreign currency exchange rates. Furthermore, the Funds may be exposed to risk if the counterparties cannot meet the contract terms or if the currency value changes unfavorably as compared to the U.S. dollar.

 

In conjunction with the use of short sales and derivative instruments, the Funds are required to maintain collateral in various forms. Depending on the financial instrument utilized and the broker involved, the Funds use margin deposits at the broker, cash and/or securities segregated at the custodian bank, discount notes or repurchase agreements allocated to the Funds as collateral.

 

Foreign Investments

There are several risks associated with exposure to foreign currencies, foreign issuers and emerging markets. A fund’s indirect and direct exposure to foreign currencies subjects the Fund to the risk that those currencies will decline in value relative to the U.S. dollar, or in the case of short positions, that the U.S. dollar will decline in value relative to the currency being hedged. Currency rates in foreign countries may fluctuate significantly over short periods of time for a number of reasons, including changes in interest rates and the imposition of currency controls or other political developments in the U.S. or abroad. In addition, the Fund may incur transaction costs in connection with conversions between various currencies. The Fund may, but is not obligated to, engage in currency hedging transactions, which generally involve buying currency forward, options or futures contracts. However, not all currency risks may be effectively hedged, and in some cases the costs of hedging techniques may outweigh expected benefits. In such instances, the value of securities denominated in foreign currencies can change significantly when foreign currencies strengthen or weaken relative to the U.S. dollar.

 

The Funds may invest in securities of foreign companies directly, or in financial instruments, such as ADRs and exchange-traded funds, which are indirectly linked to the performance of foreign issuers. Foreign markets can be more volatile than the U.S. market due to increased risks of adverse issuer, political, regulatory, market, or economic developments and can perform differently from the U.S. market. Investing in securities of foreign companies directly, or in financial instruments that are indirectly linked to the performance of foreign issuers, may involve risks not typically associated with investing in U.S. issuers. The value of securities denominated in foreign currencies, and of dividends from such securities, can change significantly when foreign currencies strengthen or weaken relative to the U.S. dollar. Foreign securities markets generally have less trading volume and less liquidity than U.S. markets, and prices in some foreign markets may fluctuate more than those of securities traded on U.S. markets. Many foreign countries lack accounting and disclosure standards comparable to those that apply to U.S. companies, and it may be more difficult to obtain reliable information regarding a foreign issuer’s financial condition and operations. Transaction costs and costs associated with custody services are generally higher for foreign securities than they are for U.S. securities. Some foreign governments levy withholding taxes against dividend and interest income. Although in some countries portions of these taxes are recoverable, the non-recovered portion will reduce the income received by the Funds.

 

The Trust has established counterparty credit guidelines and enters into transactions only with financial institutions of investment grade or better. The Trust monitors the counterparty credit risk.

 

Reverse Repurchase Agreements

Each of the Funds may enter into reverse repurchase agreements. Under a reverse repurchase agreement, a Fund sells securities and agrees to repurchase them at a particular price at a future date. In the event the buyer of securities under a reverse repurchase agreement files for bankruptcy or becomes insolvent, such buyer or its trustee or receiver may receive an extension of time to determine whether to enforce the Fund’s obligation to repurchase the securities, and the Fund’s use of the proceeds of the reverse repurchase agreement may effectively be restricted pending such decision.

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

Note 3 – Fair Value Measurement

In accordance with U.S. GAAP, fair value is defined as the price that the Funds would receive to sell an investment or pay to transfer a liability in an orderly transaction with an independent buyer in the principal market, or in the absence of a principal market, the most advantageous market for the investment or liability. U.S. GAAP establishes a three-tier fair value hierarchy based on the types of inputs used to value assets and liabilities and requires corresponding disclosure. The hierarchy and the corresponding inputs are summarized below:

 

Level 1 — quoted prices in active markets for identical assets or liabilities.

 

Level 2 — significant other observable inputs (for example quoted prices for securities that are similar based on characteristics such as interest rates, prepayment speeds, credit risk, etc.).

 

Level 3 — significant unobservable inputs based on the best information available under the circumstances, to the extent observable inputs are not available, which may include assumptions.

 

The types of inputs available depend on a variety of factors, such as the type of security and the characteristics of the markets in which it trades, if any. Fair valuation determinations that rely on fewer or no observable inputs require greater judgment. Accordingly, fair value determinations for Level 3 securities require the greatest amount of judgment.

 

Independent pricing services are used to value a majority of the Funds’ investments. When values are not available from a pricing service, they will be determined using a variety of sources and techniques, including: market prices; broker quotes; and models which derive prices based on inputs such as prices of securities with comparable maturities and characteristics or based on inputs such as anticipated cash flows or collateral, spread over U.S. Treasury securities, and other information and analysis. A significant portion of the Funds’ assets and liabilities are categorized as Level 2, as indicated in this report.

 

Quotes from broker-dealers, adjusted for fluctuations in criteria such as credit spreads and interest rates, may also be used to value the Funds' assets and liabilities, i.e. prices provided by a broker-dealer or other market participant who has not committed to trade at that price. Although quotes are typically received from established market participants, the Funds may not have the transparency to view the underlying inputs which support the market quotations. Significant changes in a quote would generally result in significant changes in the fair value of the security.

 

Certain fixed income securities are valued by obtaining a monthly quote from a broker-dealer, adjusted for fluctuations in criteria such as credit spreads and interest rates.

 

Certain loans and other securities are valued using a single daily broker quote or a price from a third party vendor based on a single daily or monthly broker quote.

 

The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. The suitability of the techniques and sources employed to determine fair valuation are regularly monitored and subject to change.

 

Note 4 – Federal Income Tax Information

The Funds intend to comply with the provisions of Subchapter M of the Internal Revenue Code applicable to regulated investment companies and will distribute substantially all taxable net investment income and capital gains sufficient to relieve the Funds from all, or substantially all, federal income, excise and state income taxes. Therefore, no provision for federal or state income tax or federal excise tax is required.

 

Tax positions taken or expected to be taken in the course of preparing the Funds' tax returns are evaluated to determine whether the tax positions are “more-likely-than-not” of being sustained by the applicable tax authority. Tax positions not deemed to meet the more-likely-than-not threshold would be recorded as a tax benefit or expense in the current year. Management has analyzed the Funds' tax positions taken, or to be taken, on U.S. federal income tax returns for all open tax years, and has concluded that no provision for income tax is required in the Funds' financial statements. The Funds' U.S. federal income tax returns are subject to examination by the Internal Revenue Service ("IRS") for a period of three years after they are filed.

 

The Macro Opportunities Fund intends to invest up to 25% of its assets in the Subsidiary which is expected to provide the Fund with exposure to the commodities markets within the limitations of the U.S. federal income tax requirements under Subchapter M of the Internal Revenue Code. The Fund has received a private letter ruling from the IRS that concludes that the income the Fund receives from the Subsidiary will constitute qualifying income for purposes of Subchapter M of the Internal Revenue Code. The Subsidiary will be classified as a corporation for U.S. federal income tax purposes. A foreign corporation, such as the Subsidiary, will generally not be subject to U.S. federal income taxation unless it is deemed to be engaged in a U.S. trade or business. If, during a taxable year, the Subsidiary’s taxable losses (and other deductible items) exceed its income and gains, the net loss will not pass through to the Fund as a deductible amount for U.S. federal income tax purposes and cannot be carried forward to reduce future income from the Subsidiary in subsequent years.

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

At December 31, 2020, the cost of investments for U.S. federal income tax purposes, the aggregate gross unrealized appreciation for all investments for which there was an excess of value over tax cost, and the aggregate gross unrealized depreciation for all investments for which there was an excess of tax cost over value, were as follows:

 

Fund  Tax Cost   Tax Unrealized Appreciation   Tax Unrealized Depreciation   Net Tax Unrealized Appreciation (Depreciation) 
Alpha Opportunity Fund  $36,859,327   $4,833,746   $(4,787,579)  $46,167 
Capital Stewardship Fund   195,860,904    37,999,840    (2,225,160)   35,774,680 
Diversified Income Fund   6,447,451    550,055    (22,227)   527,828 
Floating Rate Strategies Fund   757,713,084    7,127,707    (27,221,491)   (20,093,784)
High Yield Fund   391,241,075    19,530,288    (7,213,165)   12,317,123 
Investment Grade Bond Fund   1,620,154,525    106,513,342    (7,798,373)   98,714,969 
Large Cap Value Fund   28,655,484    7,470,796    (1,852,849)   5,617,947 
Limited Duration Fund   4,236,654,412    151,942,748    (40,491,472)   111,451,276 
Macro Opportunities Fund   5,723,463,815    408,391,645    (135,217,176)   273,174,469 
Market Neutral Real Estate Fund   70,755,006    2,854,617    (2,490,766)   363,851 
Municipal Income Fund   72,453,668    4,513,012    (30,656)   4,482,356 
Risk Managed Real Estate Fund   323,052,168    24,978,548    (8,942,392)   16,036,156 
Small Cap Value Fund   5,620,884    1,159,152    (489,558)   669,594 
SMid Cap Value Fund   329,578,130    77,214,734    (17,162,300)   60,052,434 
StylePlus—Large Core Fund   219,203,274    31,996,503    (349,252)   31,647,251 
StylePlus—Mid Growth Fund   104,619,041    17,788,088    (106,476)   17,681,612 
Total Return Bond Fund   23,334,364,226    1,772,818,783    (147,746,705)   1,625,072,078 
Ultra Short Duration Fund   793,067,592    11,976,326    (8,382,077)   3,594,249 
World Equity Income Fund   39,732,322    7,970,957    (387,646)   7,583,311 

 

Note 5 – Unfunded Loan Commitments

Pursuant to the terms of certain loan agreements, certain Funds held unfunded loan commitments as of December 31, 2020. The Funds are obligated to fund these loan commitments at the borrower’s discretion.

 

The unfunded loan commitments as of December 31, 2020, were as follows:

 

Fund  Borrower  Maturity Date  Face Amount*   Value 
Limited Duration Fund           
   Venture Global Calcasieu Pass LLC  08/19/26   1,061,243   $63,675 
Floating Rate Strategies Fund             
   Aspect Software, Inc.  07/15/23   939,012   $8,051 
   Southern Veterinary Partners LLC  10/05/27   121,212    1,171 
          1,060,224   $9,222 
High Yield Fund             
   Aspect Software, Inc.  07/15/23  91,145   $782 
   CCC Information Services, Inc.  04/27/22   750,000    2,812 
   HAH Group Holding Co LLC  10/29/27   145,000    2,115 
   Planview Parent, Inc.  12/10/27   95,000    944 
          1,081,145   $6,653 
Investment Grade Bond Fund             
   CTL Logistics  08/10/42   2,667,631   $ 
   HAH Group Holding Co LLC  10/29/27   130,000    1,897 
   Service Logic Acquisition, Inc.  10/22/27   180,149    1,753 
   Southern Veterinary Partners LLC  10/05/27   181,818    1,756 
   Venture Global Calcasieu Pass LLC  08/19/26   1,061,243    63,674 
          4,220,841   $69,080 
Macro Opportunities Fund             
   AI Aqua Zip Bidco Pty Ltd.  12/13/23   49,969   $ 
   Aspect Software, Inc.  07/15/23   144,301    1,237 
   CapStone Acquisition Holdings, Inc.  10/29/27   3,807,600    37,196 
   Fortis Solutions Group LLC  12/15/23   503,680    504 
   Galls LLC  01/31/24   199,301    13,333 
   HAH Group Holding Co LLC  10/29/27   1,380,000    20,133 
   Higginbotham  11/25/22   2,844,509    20,105 
   MB2 Dental Solutions LLC  03/22/21   28,300,000    1 
   Planview Parent, Inc.  12/10/27   2,570,000    25,529 
   Pro Mach Group, Inc.  03/07/25   1,164,154    17,462 
   Service Logic Acquisition, Inc.  10/22/27   2,628,060    25,573 
   Solera LLC  12/02/22   7,940,287    118,509 
   Southern Veterinary Partners LLC  10/05/27   1,478,788    14,284 
   Trader Interactive  06/15/23   323,077    19,818 
   Venture Global Calcasieu Pass LLC  08/19/26   6,898,077    413,885 
   Zephyr Bidco Ltd.  01/20/21GBP  20,850,000    3 
              $727,572 
Total Return Bond Fund             
   Aspect Software, Inc.  07/15/23   2,046   $17 
   CapStone Acquisition Holdings, Inc.  10/29/27   1,216,000    11,879 
   CTL Logistics  08/10/42   5,168,536     
   HAH Group Holding Co LLC  10/29/27   1,992,241    29,065 
   Higginbotham  11/25/22   5,293,642    37,415 
   MB2 Dental Solutions LLC  03/22/21   28,918,421    2 
   Planview Parent, Inc.  12/10/27   3,690,606    36,660 
   Service Logic Acquisition, Inc.  10/22/27   2,659,851    25,882 
   Southern Veterinary Partners LLC  10/05/27   2,696,970    26,052 
   Venture Global Calcasieu Pass LLC  08/19/26   15,149,239    908,954 
   Zephyr Bidco Ltd.  01/20/21GBP   23,950,000    3 
              $1,075,929 

 

* The face amount is denominated in U.S. dollars unless otherwise indicated.

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

Note 6 – Restricted Securities

The securities below are considered illiquid and restricted under guidelines established by the Board:

 

Fund  Restricted Securities  Acquisition Date  Cost   Value 
Limited Duration Fund           
   Cascade Funding Mortgage Trust           
   2018-RM2, 4.00% (WAC) due 10/25/681  11/02/18  $10,767,858   $11,148,513 
   Cascade Funding Mortgage Trust             
   2019-RM3, 2.80% (WAC) due 06/25/691  06/25/19   3,369,747    3,410,373 
   Copper River CLO Ltd.             
   2007-1A, due 01/20/212  05/09/14   585,000    14,700 
   FKRT             
   2020-C2A, 3.25% due 12/30/23  12/03/20   17,640,911    17,641,751 
   Putnam Structured Product Funding Ltd.             
   2003-1A, 1.18% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 10/15/381  06/01/16   216,109    232,297 
   Station Place Securitization Trust             
   2020-5, 1.15% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 05/24/221  05/13/20   57,600,000    57,600,000 
   2020-9, 1.64% (1 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 02/15/211  08/14/20   2,000,000    2,000,000 
         $92,179,625   $92,047,634 
Floating Rate Strategies Fund             
   Airplanes Pass Through Trust             
   2001-1A, due 03/15/193  12/27/11   723,184    90 
   Mirabela Nickel Ltd.             
   due 06/24/193  12/31/13   1,160,811    63,991 
         $1,883,995   $64,081 
High Yield Fund             
   Basic Energy Services, Inc.             
   10.75% due 10/15/23  09/25/18   1,216,967    220,500 
   Bruce Mansfield             
   due 08/01/233  11/07/18   983,014    504 
   Cushman & Wakefield US Borrower LLC             
   6.75% due 05/15/28  05/19/20   1,679,262    1,819,125 
   Mirabela Nickel Ltd.             
   due 06/24/193  12/31/13   252,369    13,906 
         $4,131,612   $2,054,035 
Investment Grade Bond Fund             
   Cascade Funding Mortgage Trust             
   2018-RM2, 4.00% (WAC) due 10/25/681  11/02/18   3,230,357    3,344,554 
   Cascade Funding Mortgage Trust             
   2019-RM3., 2.80% (WAC) due 06/25/691  06/25/19   842,437    852,593 
   Central Storage Safety Project Trust             
   4.82% due 02/01/38  03/20/18   1,024,315    1,107,651 
   Copper River CLO Ltd.             
   2014-1A, due 01/20/212  05/09/14   20,020    20,580 
   Cushman & Wakefield US Borrower LLC             
   6.75% due 05/15/28  05/19/20   2,079,071    2,287,688 
   Putnam Structured Product Funding Ltd.             
   2003-1A, 1.18% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 10/15/381  06/01/16   72,036    77,432 
   Station Place Securitization Trust             
   2020-9, 1.64% (1 Month USD LIBOR +1.50%, Rate Floor: 0.00%) due 02/15/211  08/14/20   13,000,000    13,000,000 
   Station Place Securitization Trust             
   2020–WL1., 2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 0.00%) due 06/25/511  07/15/20   1,000,000    1,000,000 
   Turbine Engines Securitization Ltd.             
   2013-1A, 5.13% due 12/13/48  11/27/13   420,526    342,404 
         $21,688,762   $22,032,902 

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

Fund  Restricted Securities  Acquisition Date  Cost   Value 
Macro Opportunities Fund           
   Airplanes Pass Through Trust           
   2001-1A, due 03/15/193  01/18/12  $1,691,717   $210 
   Basic Energy Services, Inc.             
   10.75% due 10/15/23  09/25/18   1,490,164    270,000 
   Copper River CLO Ltd.             
   2007-1A, due 01/20/212  05/09/14   233,090    239,610 
   Cushman & Wakefield US Borrower LLC             
   6.75% due 05/15/28  05/19/20   21,450,000    23,648,625 
   FKRT             
   2020-C2A, 3.25% due 12/30/23  12/03/20   26,226,221    26,227,470 
   Mirabela Nickel Ltd.             
   due 06/24/193  12/31/13   1,710,483    94,271 
   Princess Juliana International Airport Operating Company N.V.             
   5.50% due 12/20/27  12/17/12   1,218,057    1,104,203 
   Putnam Structured Product Funding Ltd.             
   2003-1A, 1.18% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 10/15/381  06/01/16   1,993,101    2,113,898 
   Secured Tenant Site Contract Revenue Notes Series             
   2018-1A, 4.70% due 06/15/48  05/25/18   6,685,051    6,763,229 
   Station Place Securitization Trust Series             
   2020-WL1, 3.40% (1 Month USD LIBOR + 3.25%, Rate Floor: 0.00%) due 06/25/511  07/15/20   2,600,000    2,600,000 
   Turbine Engines Securitization Ltd.             
   2013-1A, 5.13% due 12/13/48  11/27/13   1,962,829    1,598,190 
   Turbine Engines Securitization Ltd.             
   2013-1A, 6.38% due 12/13/48  11/27/13   1,453,974    892,559 
         $68,714,687   $65,552,265 
Total Return Bond Fund             
   Airplanes Pass Through Trust             
   2001-1A, due 03/15/193  11/30/11   335,966    41 
   Cascade Funding Mortgage Trust             
   2019-RM3, 2.80% (WAC) due 06/25/691  06/25/19   12,217,441    12,362,601 
   Cascade Funding Mortgage Trust             
   2018-RM2, 4.00% (WAC) due 10/25/681  11/02/18   15,613,394    16,165,344 
   Central Storage Safety Project Trust             
    4.82% due 02/01/38  02/02/18   21,189,539    22,706,841 
   Copper River CLO Ltd.             
   2007-1A, due 01/20/212  05/09/14   42,900    44,100 
   Cushman & Wakefield US Borrower LLC             
    6.75% due 05/15/28  05/19/20   32,470,563    35,693,437 
   FKRT             
   2020-C2A, 3.25% due 12/30/23  12/03/20   114,121,583    114,127,018 
   Princess Juliana International Airport Operating Company N.V.             
    5.50% due 12/20/27  12/17/12   1,841,252    1,669,145 
   Putnam Structured Product Funding Ltd.             
   2003-1A, 1.18% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 10/15/381  06/01/16   2,619,866    2,810,788 
   Station Place Securitization Trust             
   2020-5, 1.15% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 05/24/221  05/13/20   20,000,000    20,000,000 
   Station Place Securitization Trust             
   2020-9, 1.64% (1 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 02/15/211  08/14/20   153,000,000    153,000,000 
   Station Place Securitization Trust             
   2020-WL1, 2.40% (1 Month USD LIBOR + 2.25%, Rate Floor: 0.00%) due 06/25/511  07/15/20   3,000,000    3,000,000 
   Station Place Securitization Trust             
   2020-WL1, 2.90% (1 Month USD LIBOR + 2.75%, Rate Floor: 0.00%) due 06/25/511  07/15/20   10,000,000    10,000,000 
   Turbine Engines Securitization Ltd.             
   2013-1A, 5.13% due 12/13/48  11/27/13   701,250    570,977 
         $387,153,754   $392,150,292 

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

Fund  Restricted Securities  Acquisition Date  Cost   Value 
Ultra Short Duration Fund           
   Cascade Funding Mortgage Trust           
   2019-RM3, 2.80% (WAC) due 06/25/691  06/25/19  $421,218   $426,297 
   FKRT             
   2020-C2A, 3.25% due 12/30/23  12/03/20   3,071,900    3,072,046 
   Station Place Securitization Trust             
   2020-5, 1.15% (1 Month USD LIBOR + 1.00%, Rate Floor: 0.00%) due 05/24/221  05/13/20   8,100,000    8,100,000 
   Station Place Securitization Trust             
   2020-9, 1.64% (1 Month USD LIBOR + 1.50%, Rate Floor: 0.00%) due 02/15/211  08/14/20   2,000,000    2,000,000 
         $13,593,118   $13,598,343 

 

1 Variable rate security. Rate indicated is the rate effective at December 31, 2020. In some instances, the effective rate is limited by a minimum rate floor or a maximum rate cap established by the issuer. The settlement status of a position may also impact the effective rate indicated. In some cases, a position may be unsettled at period end and may not have a stated effective rate. In instances where multiple underlying reference rates and spread amounts are shown, the effective rate is based on a weighted average.
2 Security has no stated coupon. However, it is expected to receive residual cash flow payments on defined deal dates.
3 Security is in default of interest and/or principal obligations.

 

Note 7 – COVID-19 and Recent Developments

The global ongoing crisis caused by the outbreak of COVID-19 is causing materially reduced consumer demand and economic output, disrupting supply chains, resulting in market closures, travel restrictions and quarantines, and adversely impacting local and global economies. Investors should be aware that in light of the current uncertainty, volatility and distress in economies, financial markets, and labor and health conditions all over the world, the Funds’ investments and a shareholder’s investment in a Fund are subject to sudden and substantial losses, increased volatility and other adverse events. Firms through which investors invest with the Funds, the Funds, their service providers, the markets in which they invest and market intermediaries are also impacted by quarantines and similar measures intended to contain the ongoing pandemic, which can obstruct their functioning and subject them to heightened operational risks.

 

 

 

OTHER INFORMATION (Unaudited)

 

Sector Classification

Information in the Schedule of Investments is categorized by sectors using sector-level classifications defined by the Bloomberg Industry Classification System, a widely recognized industry classification system provider. Each Fund’s registration statement has investment policies relating to concentration in specific sectors/industries. For purposes of these investment policies, the Funds usually classify sectors/industries based on industry-level Classifications used by widely recognized industry classification system providers such as Bloomberg Industry Classification System, Global Industry Classification Standards and Barclays Global Classification Scheme.