0001752724-24-107011.txt : 20240520 0001752724-24-107011.hdr.sgml : 20240520 20240520125716 ACCESSION NUMBER: 0001752724-24-107011 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240331 FILED AS OF DATE: 20240520 DATE AS OF CHANGE: 20240520 PERIOD START: 20241231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SCHWARTZ INVESTMENT TRUST CENTRAL INDEX KEY: 0000891160 ORGANIZATION NAME: IRS NUMBER: 316456713 STATE OF INCORPORATION: OH FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-07148 FILM NUMBER: 24963454 BUSINESS ADDRESS: STREET 1: C/O ULTIMUS FUND SOLUTIONS, LLC STREET 2: 225 PICTORIA DRIVE, SUITE 450 CITY: CINCINNATI STATE: OH ZIP: 45246 BUSINESS PHONE: 513-587-3400 MAIL ADDRESS: STREET 1: C/O ULTIMUS FUND SOLUTIONS, LLC STREET 2: 225 PICTORIA DRIVE, SUITE 450 CITY: CINCINNATI STATE: OH ZIP: 45246 0000891160 S000028831 Ave Maria World Equity Fund C000088418 Ave Maria World Equity Fund AVEWX NPORT-P 1 primary_doc.xml NPORT-P false 0000891160 XXXXXXXX S000028831 C000088418 Schwartz Investment Trust 811-07148 0000891160 549300TMUIREL25T6R98 801 West Ann Arbor Trail Suite 244 Plymouth 48170 248-644-8500 AVE MARIA WORLD EQUITY FUND S000028831 5493008CSIYYGXQ76787 2024-12-31 2024-03-31 N 112962752.86 789642.41 112173110.45 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 34998.64 N B&M European Value Retail SA 213800UK7ZRLY2K1X530 B & M European Value Retail SA L1175H106 324800.00000000 NS 2239031.00000000 1.996049669138 Long EC CORP GB N 2 N N N Diamondback Energy Inc 549300R22LSX6OHWEN64 Diamondback Energy, Inc. 25278X109 14200.00000000 NS USD 2814014.00000000 2.508635080823 Long EC CORP US N 1 N N N Bowlero Corp. 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G8068L108 50700.00000000 NS USD 3158103.00000000 2.815383283329 Long EC CORP US N 1 N N N HDFC Bank Ltd. 335800ZQ6I4E2JXENC50 HDFC Bank Ltd. ADR 40415F101 47150.00000000 NS USD 2638985.50000000 2.352600805499 Long EC CORP IN N 1 N N N S&P Global Inc Y6X4K52KMJMZE7I7MY94 S&P Global, Inc. 78409V104 6400.00000000 NS USD 2722880.00000000 2.427391011158 Long EC CORP US N 1 N N N Franchise Brands Plc 213800CFRX6CJ8LCKN37 Franchise Brands PLC G3656B109 141000.00000000 NS 317651.74000000 0.283179933876 Long EC CORP GB N 1 N N N Taiwan Semiconductor Manufacturing Co., Ltd. 549300KB6NK5SBD14S87 Taiwan Semiconductor Manufacturing Company Ltd. ADR 874039100 21000.00000000 NS USD 2857050.00000000 2.547000781683 Long EC CORP TW N 1 N N N Accenture PLC 5493000EWHDSR3MZWH98 Accenture plc Class A G1151C101 10500.00000000 NS USD 3639405.00000000 3.244454027707 Long EC CORP US N 1 N N N Inmode Limited 984500DD95A35E9BD358 InMode Ltd. M5425M103 69900.00000000 NS USD 1510539.00000000 1.346614169777 Long EC CORP US N 1 N N N Lowes Companies, Inc. WAFCR4OKGSC504WU3E95 Lowe's Companies, Inc. 548661107 7000.00000000 NS USD 1783110.00000000 1.589605559520 Long EC CORP US N 1 N N N Nidec Corp. 353800IF171MZTNL6Y31 NIDEC CORP. J52968104 14200.00000000 NS 588828.44000000 0.524928334105 Long EC CORP JP N 2 N N N TE Connectivity Ltd 894500ZRIX9K13RHXR17 TE Connectivity Ltd. 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J51699106 45300.00000000 NS 2471630.26000000 2.203407082218 Long EC CORP JP N 2 N N N ITOCHU Corp. J48DJYXDTLHM30UMYI18 Itochu Corporation J2501P104 28000.00000000 NS 1202797.28000000 1.072268813064 Long EC CORP JP N 2 N N N Partners Group Holding AG 549300I3IVVWZWDHI788 Partners Group Holding AG H6120A101 1720.00000000 NS 2457022.75000000 2.190384790207 Long EC CORP CH N 2 N N N Texas Instruments Incorporated WDJNR2L6D8RWOEB8T652 Texas Instruments, Inc. 882508104 8500.00000000 NS USD 1480785.00000000 1.320089096272 Long EC CORP US N 1 N N N Alsea SAB de CV 4469000001BZ368XFI90 Alsea SAB de CV P4959P100 623920.00000000 NS 3076777.32000000 2.742883127388 Long EC CORP MX N 1 N N N F&G Annuities & Life Inc. N/A F&G ANNUITIES & LIFE-WI 30190A104 96384.00000000 NS USD 3908371.20000000 3.484231813061 Long EC CORP US N 1 N N N 2024-04-22 Ave Maria World Equity Fund Daniel D. Bauer Daniel D. Bauer VP, Fund Accounting XXXX NPORT-EX 2 fp0088191-1_nportex_-_408.htm AVE MARIA SOI 03-31-24

AVE MARIA VALUE FUND

SCHEDULE OF INVESTMENTS

March 31, 2024 (Unaudited) 

 

COMMON STOCKS - 98.2%  Shares   Fair Value 
Consumer Discretionary - 5.1%
Leisure Products - 2.6%
YETI Holdings, Inc. *   265,000   $10,215,750 
           
Retail - Discretionary - 2.5%
Winmark Corporation   26,600    9,621,220 
           
Energy - 18.8%
Oil & Gas Producers - 14.6%
Chesapeake Energy Corporation   75,000    6,662,250 
ConocoPhillips   110,000    14,000,800 
Occidental Petroleum Corporation   185,000    12,023,150 
Permian Basin Royalty Trust   867,976    10,502,510 
Pioneer Natural Resources Company   50,700    13,308,750 
         56,497,460 
Oil & Gas Services & Equipment - 4.2%
Schlumberger Ltd.   294,000    16,114,140 
           
Financials - 13.6%
Banking - 3.7%
Hingham Institution For Savings (The)   81,087    14,146,438 
           
Institutional Financial Services - 5.2%
CME Group, Inc.   30,000    6,458,700 
Intercontinental Exchange, Inc.   100,000    13,743,000 
         20,201,700 
Insurance - 4.7%
Brown & Brown, Inc.   167,150    14,632,311 
Markel Group, Inc. *   2,450    3,727,626 
         18,359,937 
Health Care - 12.8%
Health Care Facilities & Services - 3.0%
Chemed Corporation   18,300    11,747,319 
           
Medical Equipment & Devices - 9.8%
Alcon, Inc.   110,000    9,161,900 
Haemonetics Corporation *   151,000    12,887,850 
Mirion Technologies, Inc. *   1,390,000    15,804,300 
         37,854,050 
Industrials - 14.8%
Aerospace & Defense - 1.6%
HEICO Corporation - Class A   40,000    6,157,600 
           
Electrical Equipment - 7.4%
A.O. Smith Corporation   113,000    10,108,980 
Allegion plc   76,000    10,237,960 
Otis Worldwide Corporation   85,000    8,437,950 
         28,784,890 

 

AVE MARIA VALUE FUND

SCHEDULE OF INVESTMENTS (Continued)

 

COMMON STOCKS - 98.2% (Continued)   Shares   Fair Value 
Industrials - 14.8% (Continued)
Industrial Intermediate Products - 4.1%
Armstrong World Industries, Inc.   90,000   $11,179,800 
Distribution Solutions Group, Inc. *   126,000    4,470,480 
         15,650,280 
Industrial Support Services - 1.7%
U-Haul Holding Company   97,200    6,481,296 
           
Materials - 8.1%
Chemicals - 2.3%
Valvoline, Inc. *   200,000    8,914,000 
           
Metals & Mining - 5.8%
Franco-Nevada Corporation   100,000    11,916,000 
Wheaton Precious Metals Corporation   225,000    10,604,250 
         22,520,250 
Real Estate - 14.7%
Real Estate Owners & Developers - 14.7%
St. Joe Company (The)   215,800    12,509,926 
Texas Pacific Land Corporation   76,500    44,256,015 
         56,765,941 
Technology - 10.3%
Technology Services - 10.3%
CDW Corporation   66,250    16,945,425 
Jack Henry & Associates, Inc.   65,350    11,353,255 
TD SYNNEX Corporation   102,500    11,592,750 
         39,891,430 
           
Total Common Stocks (Cost $258,735,613)       $379,923,701 

 

MONEY MARKET FUNDS - 1.9%  Shares   Fair Value 
Federated Hermes Government Obligations Tax-Managed Fund - Institutional Shares, 5.18% (a) (Cost $7,461,264)   7,461,264   $7,461,264 
           
Total Investments at Fair Value - 100.1% (Cost $266,196,877)       $387,384,965 
           
Liabilities in Excess of Other Assets - (0.1%)        (644,955)
           
Net Assets - 100.0%       $386,740,010 

 

* Non-income producing security.
(a) The rate shown is the 7-day effective yield as of March 31, 2024.

 

AVE MARIA GROWTH FUND

SCHEDULE OF INVESTMENTS

March 31, 2024 (Unaudited)

 

COMMON STOCKS - 98.7%  Shares   Fair Value 
Consumer Discretionary - 19.9%
Automotive - 1.8%
XPEL, Inc. *   350,000   $18,907,000 
           
Leisure Facilities & Services - 1.3%
Atlanta Braves Holdings, Inc. - Series C *   350,786    13,701,701 
           
Retail - Discretionary - 8.5%
Lowe's Companies, Inc.   131,000    33,369,630 
O'Reilly Automotive, Inc. *   51,000    57,572,880 
         90,942,510 
Wholesale - Discretionary - 8.3%
Copart, Inc. *   1,540,000    89,196,800 
           
Consumer Staples - 1.5%
Food - 1.5%
McCormick & Company, Inc.   200,000    15,362,000 
           
Energy - 1.8%
Oil & Gas Producers - 1.8%
Chesapeake Energy Corporation   220,000    19,542,600 
           
Financials - 2.2%
Asset Management - 2.2%
Brookfield Asset Management Ltd. - Class A   554,353    23,293,913 
           
Health Care - 5.8%
Health Care Facilities & Services - 5.8%
Chemed Corporation   29,000    18,615,970 
IQVIA Holdings, Inc. *   172,000    43,497,080 
         62,113,050 
Industrials - 11.4%
Aerospace & Defense - 4.3%
HEICO Corporation - Class A   299,377    46,086,095 
           
Commercial Support Services - 6.6%
API Group Corporation *   1,795,000    70,489,650 
           
Industrial Support Services - 0.5%
Watsco, Inc.   12,000    5,183,640 
           
Materials - 7.3%
Chemicals - 2.9%
Valvoline, Inc. *   700,000    31,199,000 
           
Containers & Packaging - 4.4%
AptarGroup, Inc.   325,000    46,764,250 

 

AVE MARIA GROWTH FUND

SCHEDULE OF INVESTMENTS (Continued)

 

COMMON STOCKS - 98.7% (Continued)  Shares   Fair Value 
Real Estate - 3.8%
Real Estate Owners & Developers - 0.8%
Texas Pacific Land Corporation   15,000   $8,677,650 
           
REITs - 3.0%
SBA Communications Corporation - Class A   149,000    32,288,300 
           
Technology - 45.0%
Semiconductors - 16.1%
Alphawave IP Group plc *   1,600,000    3,533,881 
BE Semiconductor Industries N.V.   10,000    1,531,642 
Intel Corporation   440,000    19,434,800 
NVIDIA Corporation   62,000    56,020,720 
Silicon Laboratories, Inc. *   195,000    28,025,400 
Silicon Motion Technology Corporation - ADR   150,000    11,541,000 
SiTime Corporation *   110,045    10,259,496 
Texas Instruments, Inc.   240,000    41,810,400 
         172,157,339 
Software - 10.7%
ANSYS, Inc. *   80,000    27,772,800 
BlackLine, Inc. *   410,000    26,477,800 
Roper Technologies, Inc.   71,500    40,100,060 
Verra Mobility Corporation *   785,000    19,601,450 
         113,952,110 
Technology Services - 18.2%
Accenture plc - Class A   108,000    37,433,880 
Broadridge Financial Solutions, Inc.   169,000    34,621,340 
Mastercard, Inc. - Class A   142,000    68,382,940 
Moody's Corporation   35,000    13,756,050 
S&P Global, Inc.   96,000    40,843,200 
         195,037,410 
           
Total Common Stocks (Cost $564,268,302)       $1,054,895,018 

 

MONEY MARKET FUNDS - 1.2%  Shares   Fair Value 
Federated Hermes Government Obligations Tax-Managed Fund - Institutional Shares, 5.18% (a) (Cost $12,308,412)   12,308,412   $12,308,412 
           
Total Investments at Fair Value - 99.9% (Cost $576,576,714)       $1,067,203,430 
           
Other Assets in Excess of Liabilities - 0.1%        1,541,646 
           
Net Assets - 100.0%       $1,068,745,076 

 

ADR - American Depositary Receipt.

 

* Non-income producing security.
(a) The rate shown is the 7-day effective yield as of March 31, 2024.

 

AVE MARIA RISING DIVIDEND FUND

SCHEDULE OF INVESTMENTS

March 31, 2024 (Unaudited)

 

COMMON STOCKS - 98.8%  Shares   Fair Value 
Communications - 1.4%
Internet Media & Services - 1.4%
Booking Holdings, Inc.   4,000   $14,511,520 
           
Consumer Discretionary - 12.1%
Leisure Products - 0.5%
Thor Industries, Inc.   50,000    5,867,000 
           
Retail - Discretionary - 11.6%
Genuine Parts Company   200,000    30,986,000 
Lowe's Companies, Inc.   155,000    39,483,150 
TJX Companies, Inc. (The)   300,000    30,426,000 
Tractor Supply Company   79,500    20,806,740 
         121,701,890 
Consumer Staples - 2.5%
Beverages - 2.5%
Coca-Cola Europacific Partners plc   375,000    26,231,250 
           
Energy - 7.3%
Oil & Gas Producers - 7.3%
Chevron Corporation   200,000    31,548,000 
Diamondback Energy, Inc.   230,000    45,579,100 
         77,127,100 
Financials - 15.5%
Asset Management - 2.2%
Brookfield Corporation   550,000    23,028,500 
           
Banking - 2.7%
Truist Financial Corporation   737,000    28,728,260 
           
Insurance - 7.2%
Brown & Brown, Inc.   352,000    30,814,080 
Chubb Ltd.   175,000    45,347,750 
         76,161,830 
Specialty Finance - 3.4%
Fidelity National Financial, Inc.   670,000    35,577,000 
           
Health Care - 5.5%
Health Care Facilities & Services - 5.5%
Chemed Corporation   70,000    44,935,100 
Quest Diagnostics, Inc.   95,000    12,645,450 
         57,580,550 
Industrials - 13.7%
Aerospace & Defense - 6.1%
HEICO Corporation - Class A   137,120    21,108,253 
L3Harris Technologies, Inc.   51,000    10,868,100 
Lockheed Martin Corporation   70,000    31,840,900 
         63,817,253 

 

AVE MARIA RISING DIVIDEND FUND

SCHEDULE OF INVESTMENTS (Continued)

 

COMMON STOCKS - 98.8% (Continued)  Shares   Fair Value 
Industrials - 13.7% (Continued)
Commercial Support Services - 2.4%
Rentokil Initial plc   4,222,000   $25,100,968 
           
Electrical Equipment - 1.5%
A.O. Smith Corporation   180,000    16,102,800 
           
Industrial Support Services - 3.7%
Fastenal Company   400,000    30,856,000 
Watsco, Inc.   20,000    8,639,400 
         39,495,400 
Materials - 3.6%
Construction Materials - 3.6%
Carlisle Companies, Inc.   95,500    37,421,675 
           
Real Estate - 6.0%
Real Estate Owners & Developers - 3.9%
Texas Pacific Land Corporation   72,000    41,652,720 
           
REITs - 2.1%
SBA Communications Corporation - Class A   100,000    21,670,000 
           
Technology - 31.2%
Semiconductors - 3.6%
Texas Instruments, Inc.   215,000    37,455,150 
           
Software - 7.1%
ANSYS, Inc. *   70,000    24,301,200 
Roper Technologies, Inc.   41,000    22,994,440 
SS&C Technologies Holdings, Inc.   425,000    27,357,250 
         74,652,890 
Technology Services - 20.5%
Accenture plc - Class A   110,000    38,127,100 
Broadridge Financial Solutions, Inc.   200,000    40,972,000 
Jack Henry & Associates, Inc.   200,000    34,746,000 
Mastercard, Inc. - Class A   85,000    40,933,450 
Moody's Corporation   90,000    35,372,700 
S&P Global, Inc.   60,000    25,527,000 
         215,678,250 
           
Total Common Stocks (Cost $667,498,564)       $1,039,562,006 

 

AVE MARIA RISING DIVIDEND FUND

SCHEDULE OF INVESTMENTS (Continued)

 

MONEY MARKET FUNDS - 1.3%  Shares   Fair Value 
Federated Hermes Government Obligations Tax-Managed Fund - Institutional Shares, 5.18% (a) (Cost $14,123,726)   14,123,726   $14,123,726 
           
Total Investments at Fair Value - 100.1% (Cost $681,622,290)       $1,053,685,732 
           
Liabilities in Excess of Other Assets - (0.1%)        (932,927)
           
Net Assets - 100.0%       $1,052,752,805 

 

* Non-income producing security.
(a) The rate shown is the 7-day effective yield as of March 31, 2024.

 

AVE MARIA WORLD EQUITY FUND

SCHEDULE OF INVESTMENTS

March 31, 2024 (Unaudited)

 

COMMON STOCKS - 98.6%  Shares   Fair Value 
Communications - 4.2%
Entertainment Content - 2.2%
Nintendo Company Ltd.   45,300   $2,471,631 
           
Internet Media & Services - 2.0%
eDreams ODIGEO S.A. *   312,550    2,273,928 
           
Consumer Discretionary - 11.0%
Home & Office Products - 2.8%
SharkNinja, Inc.   50,700    3,158,103 
           
Leisure Facilities & Services - 3.8%
Alsea S.A.B. de C.V. *   623,920    3,076,777 
Bowlero Corporation - Class A   89,700    1,228,890 
         4,305,667 
Leisure Products - 0.8%
MIPS AB   27,800    910,587 
           
Retail - Discretionary - 1.6%
Lowe's Companies, Inc.   7,000    1,783,110 
           
Specialty Retail - 2.0%
Auto Partner S.A.   330,409    2,216,064 
           
Consumer Staples - 4.7%
Beverages - 2.7%
Coca-Cola Europacific Partners plc   43,500    3,042,825 
           
Retail - Consumer Staples - 2.0%
B & M European Value Retail S.A.   324,800    2,239,031 
           
Energy - 8.7%
Oil & Gas Producers - 8.7%
Canadian Natural Resources Ltd.   39,900    3,044,009 
Diamondback Energy, Inc.   14,200    2,814,014 
Hess Corporation   14,100    2,152,224 
Pioneer Natural Resources Company   6,610    1,735,125 
         9,745,372 
Financials - 12.2%
Asset Management - 2.2%
Partners Group Holding AG   1,720    2,457,023 
           
Banking - 2.3%
HDFC Bank Ltd. - ADR   47,150    2,638,985 
           
Insurance - 5.5%
Chubb Ltd.   8,750    2,267,388 
F&G Annuities & Life, Inc.   96,384    3,908,371 
         6,175,759 

 

AVE MARIA WORLD EQUITY FUND

SCHEDULE OF INVESTMENTS (Continued)

 

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
Financials - 12.2% (Continued)
Specialty Finance - 2.2%
International Money Express, Inc. *   107,500   $2,454,225 
           
Health Care - 9.1%
Health Care Facilities & Services - 1.5%
IQVIA Holdings, Inc. *   6,690    1,691,834 
           
Medical Equipment & Devices - 7.6%
Alcon, Inc.   25,500    2,123,895 
InMode Ltd. *   69,900    1,510,539 
Mirion Technologies, Inc. *   109,300    1,242,741 
Stevanato Group S.p.A.   112,481    3,610,640 
         8,487,815 
Industrials - 22.9%
Commercial Services - 2.1%
Karooooo Ltd.   51,685    1,295,226 
Teleperformance S.A.   10,285    998,937 
Teleperformance S.A. - ADR   551    26,680 
         2,320,843 
Commercial Support Services - 6.1%
Edenred SE   61,600    3,288,807 
Franchise Brands plc   141,000    317,652 
GFL Environmental, Inc.   94,700    3,267,150 
         6,873,609 
Diversified Industrials - 4.4%
Eaton Corporation plc   15,700    4,909,076 
           
Electrical Equipment - 5.5%
Hammond Power Solutions, Inc. - Class A   34,000    3,639,934 
TE Connectivity Ltd.   17,550    2,548,962 
         6,188,896 
Machinery - 1.6%
ITOCHU Corporation   28,000    1,202,797 
Nidec Corporation   14,200    588,829 
         1,791,626 
Transportation & Logistics - 3.2%
Canadian National Railway Company   8,000    1,053,680 
Grupo Aeroportuario del Pacifico S.A.B. de C.V. - Series B   161,400    2,592,330 
         3,646,010 
Materials - 0.3%
Construction Materials - 0.3%
SigmaRoc plc *   350,000    300,380 
           
Real Estate - 1.1%
Real Estate Services - 1.1%
FirstService Corporation   7,500    1,243,500 

 

AVE MARIA WORLD EQUITY FUND

SCHEDULE OF INVESTMENTS (Continued)

 

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
Technology - 24.4%
IT Services - 4.0%
StoneCo Ltd. - Class A *   267,700   $4,446,497 
           
Semiconductors - 3.9%
Taiwan Semiconductor Manufacturing Company Ltd. - ADR   21,000    2,857,050 
Texas Instruments, Inc.   8,500    1,480,785 
         4,337,835 
Software - 6.5%
SAP SE   26,000    5,062,219 
Sapiens International Corporation N.V.   71,452    2,297,896 
         7,360,115 
Technology Services - 10.0%
Accenture plc - Class A   10,500    3,639,405 
Mastercard, Inc. - Class A   10,000    4,815,700 
S&P Global, Inc.   6,400    2,722,880 
         11,177,985 
           
Total Common Stocks (Cost $73,832,321)       $110,648,331 

 

MONEY MARKET FUNDS - 1.8%  Shares   Fair Value 
Federated Hermes Government Obligations Tax-Managed Fund - Institutional Shares, 5.18% (a) (Cost $2,020,964)   2,020,964   $2,020,964 
           
Total Investments at Fair Value - 100.4% (Cost $75,853,285)       $112,669,295 
           
Liabilities in Excess of Other Assets - (0.4%)        (496,185)
           
Net Assets - 100.0%       $112,173,110 

 

ADR - American Depositary Receipt.

 

* Non-income producing security.
(a) The rate shown is the 7-day effective yield as of March 31, 2024.

 

AVE MARIA WORLD EQUITY FUND

SUMMARY OF COMMON STOCKS BY COUNTRY

March 31, 2024 (Unaudited)

 

Country  Value   % of Net Assets 
United States **  $42,285,445    37.7%
Canada   12,248,273    10.9%
Switzerland   6,848,306    6.1%
United Kingdom   5,899,888    5.3%
Mexico   5,669,107    5.1%
Germany   5,062,219    4.5%
Brazil   4,446,497    4.0%
France   4,314,424    3.8%
Japan   4,263,257    3.8%
Israel   3,808,435    3.4%
Italy   3,610,640    3.2%
Taiwan   2,857,050    2.5%
India   2,638,985    2.3%
Spain   2,273,928    2.0%
Poland   2,216,064    2.0%
Singapore   1,295,226    1.2%
Sweden   910,587    0.8%
Total  $110,648,331    98.6%

 

**Includes any company deemed to be a “non-U.S. company” as defined in the Fund’s Prospectus. According to the Fund’s Prospectus, a “non-U.S. company” is one that is headquartered outside the United States or has at least 50% of its revenues or operations outside of the United States during its most recent fiscal year, at the time of purchase.

 

AVE MARIA FOCUSED FUND

SCHEDULE OF INVESTMENTS

March 31, 2024 (Unaudited)

 

COMMON STOCKS - 99.8%  Shares   Fair Value 
Communications - 30.4%
Internet Media & Services - 16.1%
eDreams ODIGEO S.A. *   1,313,620   $9,557,118 
           
Telecommunications - 14.3%
DigitalBridge Group, Inc.   441,341    8,504,641 
           
Consumer Discretionary - 6.4%
Leisure Facilities & Services - 6.4%
Alsea S.A.B. de C.V. *   366,100    1,805,373 
First Watch Restaurant Group, Inc. *   80,724    1,987,425 
         3,792,798 
Energy - 4.8%
Oil & Gas Producers - 1.5%
Permian Basin Royalty Trust   70,693    855,385 
           
Renewable Energy - 3.3%
Green Plains, Inc. *   85,587    1,978,772 
           
Financials - 18.3%
Asset Management - 18.3%
Apollo Global Management, Inc.   32,628    3,669,019 
Brookfield Corporation   86,220    3,610,031 
Brookfield Reinsurance Ltd.   86,220    3,602,272 
         10,881,322 
Industrials - 25.1%
Commercial Support Services - 25.1%
API Group Corporation *   288,209    11,317,967 
GFL Environmental, Inc.   103,422    3,568,059 
         14,886,026 
Materials - 8.5%
Construction Materials - 4.7%
SigmaRoc plc *   3,279,177    2,814,282 
           
Metals & Mining - 3.8%
Ferroglobe plc   447,481    2,228,456 
           
Real Estate - 2.1%
Real Estate Owners & Developers - 2.1%
Texas Pacific Land Corporation   2,139    1,237,433 
           
Technology - 1.2%
Software - 1.2%
Cirata plc *   851,800    720,288 
           
Utilities - 3.0%
Gas & Water Utilities - 3.0%
Secure Energy Services, Inc.   218,810    1,801,311 
           
Total Common Stocks (Cost $50,296,301)       $59,257,832 

 

AVE MARIA FOCUSED FUND

SCHEDULE OF INVESTMENTS (Continued)

 

MONEY MARKET FUNDS - 0.3%  Shares   Fair Value 
Federated Hermes Government Obligations Tax-Managed Fund - Institutional Shares, 5.18% (a) (Cost $173,603)   173,603   $173,603 
           
Total Investments at Fair Value - 100.1% (Cost $50,469,904)       $59,431,435 
           
Liabilities in Excess of Other Assets - (0.1%)        (62,680)
           
Net Assets - 100.0%       $59,368,755 

 

* Non-income producing security.
(a) The rate shown is the 7-day effective yield as of March 31, 2024.

 

AVE MARIA BOND FUND

SCHEDULE OF INVESTMENTS

March 31, 2024 (Unaudited)

 

U.S. GOVERNMENT & AGENCIES - 22.4%  Par Value   Fair Value 
U.S. Treasury Inflation-Protected Notes - 9.4% (a)          
0.500%, due 04/15/24  $12,226,500   $12,233,486 
2.375%, due 01/15/25   4,907,730    4,902,899 
0.625%, due 01/15/26   6,488,800    6,303,785 
2.000%, due 01/15/26   4,660,920    4,640,683 
0.125%, due 04/15/26   5,879,200    5,632,296 
0.375%, due 01/15/27   4,978,545    4,750,812 
0.375%, due 07/15/27   8,193,835    7,801,085 
0.500%, due 01/15/28   6,250,650    5,918,481 
0.750%, due 07/15/28   3,071,150    2,936,247 
         55,119,774 
U.S. Treasury Notes - 13.0%          
2.125%, due 11/30/24   10,000,000    9,797,852 
1.375%, due 01/31/25   10,000,000    9,696,875 
2.875%, due 06/15/25   10,000,000    9,758,984 
4.500%, due 11/15/25   10,000,000    9,956,641 
3.250%, due 06/30/29   10,000,000    9,542,578 
1.500%, due 02/15/30   10,000,000    8,603,125 
1.625%, due 05/15/31   10,000,000    8,434,375 
4.500%, due 11/15/33   10,000,000    10,231,250 
         76,021,680 
           
Total U.S. Government & Agencies (Cost $136,254,689)       $131,141,454 

 

CORPORATE BONDS - 53.9%  Par Value   Fair Value 
Communications - 0.9%          
Electronic Arts, Inc., 4.800%, due 03/01/26  $5,500,000   $5,468,543 
           
Consumer Discretionary - 7.8%          
Genuine Parts Company, 1.875%, due 11/01/30   775,000    629,404 
Lowe's Companies, Inc., 3.125%, due 09/15/24   800,000    791,049 
Lowe's Companies, Inc., 3.375%, due 09/15/25   1,500,000    1,461,661 
Lowe's Companies, Inc., 2.500%, due 04/15/26   3,000,000    2,852,217 
Lowe's Companies, Inc., 3.100%, due 05/03/27   9,050,000    8,585,593 
Lowe's Companies, Inc., 1.300%, due 04/15/28   400,000    348,823 
Lowe's Companies, Inc., 1.700%, due 10/15/30   925,000    756,270 
Lowe's Companies, Inc., 3.750%, due 04/01/32   4,000,000    3,677,496 
O'Reilly Automotive, Inc., 3.900%, due 06/01/29   767,000    734,254 
O'Reilly Automotive, Inc., 4.200%, due 04/01/30   300,000    286,884 
O'Reilly Automotive, Inc., 4.700%, due 06/15/32   2,800,000    2,737,124 
Ross Stores, Inc., 3.375%, due 09/15/24   3,000,000    2,965,562 
Ross Stores, Inc., 0.875%, due 04/15/26   5,255,000    4,831,571 
Ross Stores, Inc., 4.700%, due 04/15/27   1,300,000    1,285,896 
TJX Companies, Inc. (The), 2.250%, due 09/15/26   3,226,000    3,041,421 
TJX Companies, Inc. (The), 1.150%, due 05/15/28   5,276,000    4,583,811 
TJX Companies, Inc. (The), 3.875%, due 04/15/30   2,402,000    2,288,625 
TJX Companies, Inc. (The), 1.600%, due 05/15/31   4,699,000    3,813,293 
         45,670,954 
Consumer Staples - 10.6%          
Coca-Cola Company (The), 1.450%, due 06/01/27   5,452,000    4,963,369 
Coca-Cola Company (The), 1.000%, due 03/15/28   1,000,000    877,332 

 

AVE MARIA BOND FUND

SCHEDULE OF INVESTMENTS (Continued)                

 

CORPORATE BONDS - 53.9% (Continued)  Par Value   Fair Value 
Consumer Staples - 10.6% (Continued)          
Coca-Cola Company (The), 2.125%, due 09/06/29  $1,550,000   $1,375,301 
Coca-Cola Company (The), 2.000%, due 03/05/31   1,000,000    846,472 
Colgate-Palmolive Company, 3.100%, due 08/15/27   5,000,000    4,786,444 
Colgate-Palmolive Company, 3.250%, due 08/15/32   2,750,000    2,485,140 
Colgate-Palmolive Company, 4.600%, due 03/01/33   2,720,000    2,729,487 
Hershey Company (The), 2.050%, due 11/15/24   3,200,000    3,134,492 
Hershey Company (The), 0.900%, due 06/01/25   7,450,000    7,095,282 
Hershey Company (The), 3.200%, due 08/21/25   645,000    630,255 
Hershey Company (The), 2.300%, due 08/15/26   2,000,000    1,886,109 
Hershey Company (The), 4.250%, due 05/04/28   1,350,000    1,338,336 
Hershey Company (The), 2.450%, due 11/15/29   4,875,000    4,361,125 
Hormel Foods Corporation, 1.700%, due 06/03/28   2,645,000    2,344,785 
Hormel Foods Corporation, 1.800%, due 06/11/30   6,363,000    5,328,796 
J.M. Smucker Company (The), 3.375%, due 12/15/27   3,750,000    3,547,504 
J.M. Smucker Company (The), 2.125%, due 03/15/32   1,450,000    1,174,530 
Kimberly-Clark Corporation, 2.650%, due 03/01/25   1,115,000    1,088,765 
Kimberly-Clark Corporation, 2.750%, due 02/15/26   2,648,000    2,550,098 
Kimberly-Clark Corporation, 1.050%, due 09/15/27   1,900,000    1,681,399 
Kimberly-Clark Corporation, 3.950%, due 11/01/28   1,300,000    1,270,739 
Kimberly-Clark Corporation, 3.200%, due 04/25/29   1,397,000    1,304,167 
Kimberly-Clark Corporation, 3.100%, due 03/26/30   609,000    558,425 
Kimberly-Clark Corporation, 2.000%, due 11/02/31   5,530,000    4,583,757 
         61,942,109 
Energy - 3.8%          
Chevron Corporation, 3.900%, due 11/15/24   550,000    545,020 
Chevron Corporation, 8.000%, due 04/01/27   2,600,000    2,830,526 
Chevron Corporation, 1.995%, due 05/11/27   1,500,000    1,387,182 
Chevron Corporation, 1.018%, due 08/12/27   1,150,000    1,021,656 
Chevron Corporation, 3.250%, due 10/15/29   7,685,000    7,197,353 
Exxon Mobil Corporation, 2.019%, due 08/16/24   2,650,000    2,617,838 
Exxon Mobil Corporation, 2.709%, due 03/06/25   998,000    975,649 
Exxon Mobil Corporation, 2.610%, due 10/15/30   180,000    159,555 
Pioneer Natural Resources, 1.125%, due 01/15/26   2,578,000    2,399,771 
Pioneer Natural Resources, 7.200%, due 01/15/28   1,936,000    2,061,765 
Pioneer Natural Resources, 1.900%, due 08/15/30   1,530,000    1,285,512 
         22,481,827 
Financials - 3.1%          
Chubb INA Holdings, Inc., 3.150%, due 03/15/25   4,309,000    4,219,633 
Chubb INA Holdings, Inc., 3.350%, due 05/03/26   650,000    628,062 
Chubb INA Holdings, Inc., 1.375%, due 09/15/30   5,700,000    4,639,319 
Chubb INA Holdings, Inc., 5.000%, due 03/15/34   1,700,000    1,705,409 
PNC Financial Services Group, Inc. (The), 3.250%, due 06/01/25   1,528,000    1,489,675 
PNC Financial Services Group, Inc. (The), 3.150%, due 05/19/27   400,000    378,902 
PNC Financial Services Group, Inc. (The), 3.250%, due 01/22/28   4,380,000    4,096,467 
Truist Financial Corporation, 2.250%, due 03/11/30   900,000    749,316 
         17,906,783 
Health Care - 1.9%          
Stryker Corporation, 3.375%, due 05/15/24   5,500,000    5,484,175 
Stryker Corporation, 3.375%, due 11/01/25   1,026,000    996,383 
Stryker Corporation, 3.500%, due 03/15/26   1,404,000    1,361,642 

 

AVE MARIA BOND FUND

SCHEDULE OF INVESTMENTS (Continued)               

 

CORPORATE BONDS - 53.9% (Continued)  Par Value   Fair Value 
Health Care - 1.9% (Continued)          
Stryker Corporation, 3.650%, due 03/07/28  $500,000   $478,677 
Stryker Corporation, 1.950%, due 06/15/30   3,200,000    2,701,246 
         11,022,123 
Industrials - 7.9%          
Amphenol Corporation, 4.350%, due 06/01/29   5,950,000    5,796,056 
Amphenol Corporation, 2.200%, due 09/15/31   2,000,000    1,656,882 
Honeywell International, Inc., 1.100%, due 03/01/27   650,000    587,706 
Honeywell International, Inc., 2.700%, due 08/15/29   650,000    589,502 
Honeywell International, Inc., 1.750%, due 09/01/31   600,000    486,957 
Honeywell International, Inc., 5.000%, due 02/15/33   1,700,000    1,717,275 
Hubbell, Inc., 3.150%, due 08/15/27   5,632,000    5,310,958 
Hubbell, Inc., 2.300%, due 03/15/31   470,000    392,353 
Illinois Tool Works, Inc., 2.650%, due 11/15/26   10,601,000    10,056,206 
Lockheed Martin Corporation, 3.550%, due 01/15/26   3,848,000    3,757,041 
Lockheed Martin Corporation, 5.100%, due 11/15/27   3,057,000    3,093,598 
Lockheed Martin Corporation, 4.450%, due 05/15/28   1,000,000    990,844 
Lockheed Martin Corporation, 1.850%, due 06/15/30   1,000,000    843,022 
Lockheed Martin Corporation, 5.250%, due 01/15/33   1,000,000    1,028,046 
Lockheed Martin Corporation, 4.750%, due 02/15/34   650,000    641,729 
PACCAR Financial Corporation, 1.800%, due 02/06/25   350,000    339,890 
PACCAR Financial Corporation, 1.100%, due 05/11/26   835,000    772,320 
PACCAR Financial Corporation, 2.000%, due 02/04/27   500,000    462,318 
PACCAR Financial Corporation, 4.600%, due 01/10/28   1,050,000    1,045,973 
United Parcel Service, Inc., 2.200%, due 09/01/24   3,410,000    3,362,166 
United Parcel Service, Inc., 2.800%, due 11/15/24   1,000,000    984,028 
United Parcel Service, Inc., 2.400%, due 11/15/26   1,869,000    1,759,133 
United Parcel Service, Inc., 4.450%, due 04/01/30   740,000    733,694 
         46,407,697 
Materials - 3.2%          
Carlisle Companies, Inc., 2.200%, due 03/01/32   4,500,000    3,614,435 
Ecolab, Inc., 2.700%, due 11/01/26   6,438,000    6,115,046 
Ecolab, Inc., 3.250%, due 12/01/27   3,676,000    3,489,461 
Ecolab, Inc., 4.800%, due 03/24/30   1,745,000    1,754,763 
Ecolab, Inc., 1.300%, due 01/30/31   1,450,000    1,158,972 
Ecolab, Inc., 2.125%, due 02/01/32   1,775,000    1,475,264 
RPM International, Inc., 3.750%, due 03/15/27   1,250,000    1,196,922 
         18,804,863 
Technology - 14.7%          
Broadridge Financial Solutions, Inc., 3.400%, due 06/27/26   600,000    576,188 
Broadridge Financial Solutions, Inc., 2.900%, due 12/01/29   6,800,000    6,024,175 
Broadridge Financial Solutions, Inc., 2.600%, due 05/01/31   3,200,000    2,695,269 
Cisco Systems, Inc., 3.500%, due 06/15/25   5,000,000    4,916,276 
Cisco Systems, Inc., 2.950%, due 02/28/26   2,770,000    2,673,977 
Cisco Systems, Inc., 2.500%, due 09/20/26   3,080,000    2,918,422 
Mastercard, Inc., 3.375%, due 04/01/24   3,855,000    3,855,000 
Mastercard, Inc., 2.000%, due 03/03/25   5,625,000    5,463,167 
Mastercard, Inc., 2.950%, due 11/21/26   2,000,000    1,910,110 
Mastercard, Inc., 3.300%, due 03/26/27   2,150,000    2,069,826 
Mastercard, Inc., 3.500%, due 02/26/28   450,000    434,371 
Mastercard, Inc., 2.000%, due 11/18/31   2,417,000    1,996,160 

 

AVE MARIA BOND FUND

SCHEDULE OF INVESTMENTS (Continued)

 

CORPORATE BONDS - 53.9% (Continued)  Par Value   Fair Value 
Technology - 14.7% (Continued)          
Mastercard, Inc., 4.850%, due 03/09/33  $1,000,000   $1,008,371 
Moody's Corporation, 3.250%, due 01/15/28   6,206,000    5,899,805 
Moody's Corporation, 4.250%, due 02/01/29   5,289,000    5,155,277 
Moody's Corporation, 4.250%, due 08/08/32   2,328,000    2,216,103 
S&P Global, Inc., 2.950%, due 01/22/27   3,675,000    3,492,355 
S&P Global, Inc., 2.450%, due 03/01/27   3,000,000    2,808,656 
S&P Global, Inc., 4.750%, due 08/01/28   1,115,000    1,114,064 
S&P Global, Inc., 4.250%, due 05/01/29   427,000    416,148 
S&P Global, Inc., 2.500%, due 12/01/29   700,000    620,097 
S&P Global, Inc., 1.250%, due 08/15/30   2,600,000    2,101,637 
S&P Global, Inc., 2.900%, due 03/01/32   2,200,000    1,916,956 
Texas Instruments, Inc., 1.375%, due 03/12/25   1,160,000    1,119,573 
Texas Instruments, Inc., 2.250%, due 09/04/29   1,112,000    985,477 
Texas Instruments, Inc., 1.750%, due 05/04/30   4,880,000    4,124,100 
Texas Instruments, Inc., 1.900%, due 09/15/31   2,000,000    1,666,468 
Texas Instruments, Inc., 3.650%, due 08/16/32   1,293,000    1,200,960 
Texas Instruments, Inc., 4.900%, due 03/14/33   1,400,000    1,414,645 
Visa, Inc., 3.150%, due 12/14/25   3,905,000    3,797,979 
Visa, Inc., 1.900%, due 04/15/27   3,854,000    3,565,988 
Visa, Inc., 2.750%, due 09/15/27   6,051,000    5,690,612 
         85,848,212 
           
Total Corporate Bonds (Cost $326,028,064)       $315,553,111 

 

COMMON STOCKS - 19.4%  Shares   Fair Value 
Consumer Discretionary - 1.0%
Retail - Discretionary - 1.0%
Genuine Parts Company   40,000   $6,197,200 
           
Consumer Staples - 1.8%
Beverages - 1.8%
Coca-Cola Europacific Partners plc   150,000    10,492,500 
           
Energy - 4.6%
Oil & Gas Producers - 4.6%
Chevron Corporation   50,000    7,887,000 
Diamondback Energy, Inc.   37,000    7,332,290 
Exxon Mobil Corporation   100,000    11,624,000 
         26,843,290 
Financials - 3.8%
Banking - 2.2%
Truist Financial Corporation   325,000    12,668,500 
           
Specialty Finance - 1.6%
Fidelity National Financial, Inc.   180,000    9,558,000 
           
Health Care - 0.5%
Medical Equipment & Devices - 0.5%
Medtronic plc   34,000    2,963,100 

 

AVE MARIA BOND FUND

SCHEDULE OF INVESTMENTS (Continued) 

 

COMMON STOCKS - 19.4% (Continued)  Shares   Fair Value 
Industrials - 5.4%
Aerospace & Defense - 1.6%
Lockheed Martin Corporation   20,000   $9,097,400 
           
Industrial Support Services - 3.2%
Fastenal Company   106,000    8,176,840 
Watsco, Inc.   24,000    10,367,280 
         18,544,120 
Transportation & Logistics - 0.6%
United Parcel Service, Inc. - Class B   25,000    3,715,750 
           
Real Estate - 1.2%
Real Estate Owners & Developers - 1.2%
Texas Pacific Land Corporation   12,000    6,942,120 
           
Technology - 1.1%
Semiconductors - 1.1%
Texas Instruments, Inc.   37,000    6,445,770 
           
Total Common Stocks (Cost $69,943,946)       $113,467,750 

 

MONEY MARKET FUNDS - 5.6%  Shares   Fair Value 
Federated Hermes Government Obligations Tax-Managed Fund - Institutional Shares, 5.18% (b)   18,401,569   $18,401,569 
Federated Hermes Treasury Obligations Fund - Institutional Shares, 5.17% (b)   14,083,111    14,083,111 
Total Money Market Funds (Cost $32,484,680)       $32,484,680 
           
Total Investments at Fair Value - 101.3% (Cost $564,711,379)       $592,646,995 
           
Liabilities in Excess of Other Assets - (1.3%)        (7,700,910)
           
Net Assets - 100.0%       $584,946,085 

 

(a) Interest rate for this investment is the stated rate.  Interest payments are determined based on the inflation adjusted principal.
(b) The rate shown is the 7-day effective yield as of March 31, 2024.

 

SCHWARTZ VALUE FOCUSED FUND

SCHEDULE OF INVESTMENTS

March 31, 2024 (Unaudited)

 

COMMON STOCKS - 98.2%  Shares   Fair Value 
Consumer Discretionary - 11.4%
Home Construction - 6.0%
Masco Corporation   24,800   $1,956,224 
           
Leisure Facilities & Services - 3.6%
Madison Square Garden Sports Corporation *   6,400    1,180,928 
           
Leisure Products - 1.8%
YETI Holdings, Inc. *   15,300    589,815 
           
Energy - 19.9%
Oil & Gas Producers - 14.9%
ConocoPhillips   9,000    1,145,520 
Devon Energy Corporation   20,000    1,003,600 
Occidental Petroleum Corporation   6,000    389,940 
Pioneer Natural Resources Company   9,000    2,362,500 
         4,901,560 
Oil & Gas Services & Equipment - 5.0%
Schlumberger Ltd.   29,800    1,633,338 
           
Financials - 11.3%
Institutional Financial Services - 7.4%
CME Group, Inc.   5,100    1,097,979 
Intercontinental Exchange, Inc.   9,800    1,346,814 
         2,444,793 
Insurance - 3.9%
Berkshire Hathaway, Inc. - Class A *   2    1,268,880 
           
Industrials - 2.9%
Electrical Equipment - 2.9%
A.O. Smith Corporation   10,600    948,276 
           
Materials - 2.9%
Metals & Mining - 2.9%
Franco-Nevada Corporation   2,200    262,152 
Pan American Silver Corporation   45,500    686,140 
         948,292 
Real Estate - 38.4%
Real Estate Owners & Developers - 38.4%
St. Joe Company (The)   52,600    3,049,222 

 

 

SCHWARTZ VALUE FOCUSED FUND

SCHEDULE OF INVESTMENTS (Continued)

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
Real Estate - 38.4% (Continued)
Real Estate Owners & Developers - 38.4% (Continued)
Texas Pacific Land Corporation   16,500   $9,545,415 
         12,594,637 
Technology - 11.4%
Technology Services - 11.4%
Mastercard, Inc. - Class A   4,500    2,167,065 
Moody's Corporation   4,000    1,572,120 
         3,739,185 
           
Total Common Stocks (Cost $15,380,409)       $32,205,928 

 

MONEY MARKET FUNDS - 1.9%  Shares   Fair Value 
Federated Hermes Government Obligations Tax-Managed Fund - Institutional Shares, 5.18% (a) (Cost $633,051)   633,051   $633,051 
           
Total Investments at Fair Value - 100.1% (Cost $16,013,460)       $32,838,979 
           
Liabilities in Excess of Other Assets - (0.1%)        (32,433)
           
Net Assets - 100.0%       $32,806,546 

 

*Non-income producing security.
(a)The rate shown is the 7-day effective yield as of March 31, 2024.