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Association 3135G0W66 5550000.00000000 PA USD 5823220.56000000 0.454835599952 Long DBT USGSE US N 2 2024-10-15 Fixed 1.63000000 N N N N N N Austin Community College District N/A AUSTIN TX CMNTY CLG DIST 052403GY2 2120000.00000000 PA USD 2361892.00000000 0.184480830456 Long DBT MUN US N 2 2023-08-01 Fixed 5.00000000 N N N N N N HUNTINGTON BANCSHARES 549300XTVCVV9I7B5T19 Huntington Bancshares Inc/OH 446150AS3 5000000.00000000 PA USD 5330811.95000000 0.416374929736 Long DBT CORP US N 2 2030-02-04 Fixed 2.55000000 N N N N N N 2021-02-17 COMMERCE FUNDS Bill Schuetter Bill Schuetter President XXXX NPORT-EX 2 NPORT_3361319058410303.htm The Commerce Funds

COMMERCE GROWTH FUND

 

Schedule of Investments

January 31, 2021 (Unaudited)

 

Shares      Description   Value
Common Stocks – 99.7%
Automobiles* – 2.5%
  6,705      Tesla, Inc.   $    5,320,619

 

 

Beverages – 2.0%
  17,825      PepsiCo., Inc.   2,434,360
  2,105      The Boston Beer Co., Inc.*   1,930,054
    

 

     4,364,414

 

 

Biotechnology – 1.3%
  11,545      Amgen, Inc.   2,787,309

 

 

Capital Markets – 2.4%
  22,945      Intercontinental Exchange, Inc.   2,531,981
  17,410      T. Rowe Price Group, Inc.   2,724,317
    

 

     5,256,298

 

 

Chemicals – 2.1%
  24,960      RPM International, Inc.   2,058,451
  3,550      The Sherwin-Williams Co.   2,455,890
    

 

     4,514,341

 

 

Commercial Services & Supplies – 2.9%
  17,305      Copart, Inc.*   1,899,224
  54,120      Rollins, Inc.   1,949,402
  22,140      Waste Management, Inc.   2,464,625
    

 

     6,313,251

 

 

Electrical Equipment – 2.2%
  9,180      Generac Holdings, Inc.*   2,262,135
  10,375      Rockwell Automation, Inc.   2,578,499
    

 

     4,840,634

 

 

Electronic Equipment & Instruments – 2.1%
  19,990      Amphenol Corp. Class A   2,496,351
  26,320      Cognex Corp.   2,161,662
    

 

     4,658,013

 

 

Entertainment* – 2.2%
  5,000      Netflix, Inc.   2,661,950
  217,135      Zynga, Inc. Class A   2,151,808
    

 

     4,813,758

 

 

Equity Real Estate Investment Trusts (REITs) – 1.2%
  11,340      Public Storage   2,581,211

 

 

Health Care Equipment & Supplies – 2.5%
  23,955      Abbott Laboratories   2,960,598
  10,890      Stryker Corp.   2,406,799
    

 

     5,367,397

 

 

Health Care Providers & Services – 2.3%
  7,320      Amedisys, Inc.*   2,103,109
  8,340      UnitedHealth Group, Inc.   2,782,057
    

 

     4,885,166

 

 

Hotels, Restaurants & Leisure – 2.3%
  12,140      McDonald’s Corp.   2,523,178
  25,220      Starbucks Corp.   2,441,548
    

 

     4,964,726

 

 

Industrial Conglomerates – 1.1%
  6,135      Roper Technologies, Inc.   2,410,503

 

 

Interactive Media & Services* – 7.3%
  5,065      Alphabet, Inc. Class A   9,255,578

 

 

Shares      Description   Value
Common Stocks – (continued)
Interactive Media & Services* – (continued)
  25,600      Facebook, Inc. Class A   $    6,613,248
    

 

     15,868,826

 

 

Internet & Catalog Retail – 8.4%
  4,835      Amazon.com, Inc.*   15,501,977
  50,345      eBay, Inc.   2,844,996
    

 

     18,346,973

 

 

IT Services – 8.0%
  14,625      Broadridge Financial Solutions, Inc.   2,066,659
  23,265      Fiserv, Inc.*   2,389,083
  13,825      Jack Henry & Associates, Inc.   2,001,722
  9,355      Mastercard, Inc. Class A   2,958,893
  10,750      PayPal Holdings, Inc.*   2,518,833
  10,075      VeriSign, Inc.*   1,955,255
  17,790      Visa, Inc. Class A   3,437,917
    

 

     17,328,362

 

 

Life Sciences Tools & Services – 3.6%
  21,945      Agilent Technologies, Inc.   2,637,131
  1,910      Mettler-Toledo International, Inc.*   2,231,071
  5,615      Thermo Fisher Scientific, Inc.   2,861,965
    

 

     7,730,167

 

 

Machinery – 1.1%
  12,740      Illinois Tool Works, Inc.   2,474,235

 

 

Multiline Retail – 1.1%
  12,190      Dollar General Corp.   2,372,296

 

 

Personal Products – 1.1%
  9,910      The Estee Lauder Cos., Inc. Class A   2,345,202

 

 

Pharmaceuticals – 2.4%
  16,940      Johnson & Johnson   2,763,422
  16,375      Zoetis, Inc.   2,525,844
    

 

     5,289,266

 

 

Road & Rail – 1.2%
  12,795      Union Pacific Corp.   2,526,629

 

 

Semiconductors & Semiconductor Equipment – 6.1%
  22,510      Entegris, Inc.   2,214,759
  10,180      KLA Corp.   2,851,113
  6,090      Monolithic Power Systems, Inc.   2,163,716
  6,465      NVIDIA Corp.   3,359,149
  15,990      Texas Instruments, Inc.   2,649,383
    

 

     13,238,120

 

 

Software – 15.8%
  7,105      ANSYS, Inc.*   2,517,799
  19,345      Cadence Design Systems, Inc.*   2,522,394
  16,360      Citrix Systems, Inc.   2,180,952
  48,920      Duck Creek Technologies, Inc.*   2,364,793
  87,200      Microsoft Corp.   20,226,912
  7,055      Palo Alto Networks, Inc.*   2,474,541
  15,795      Proofpoint, Inc.*   2,038,819
    

 

     34,326,210

 

 

Specialty Retail – 2.2%
  20,880      Best Buy Co., Inc.   2,272,161
  9,540      The Home Depot, Inc.   2,583,623
    

 

     4,855,784

 

 

 


COMMERCE GROWTH FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Shares      Description   Value
Common Stocks – (continued)
Technology Hardware, Storage & Peripherals – 11.2%
  185,140      Apple, Inc.   $  24,431,074

 

 

Textiles, Apparel & Luxury Goods – 1.1%
  18,155      Nike, Inc. Class B   2,425,326

 

 

 
TOTAL COMMON STOCKS
(Cost $128,360,293)
  $216,636,110

 

 

Exchange Traded Fund – 0.2%
  2,275      iShares Russell 1000 Growth ETF   $       544,271
(Cost $547,577)    

 

 

Shares     

Dividend

Rate

  Value
Investment Company – 0.1%
 
State Street Institutional US Government Money Market Fund -
Premier Class
  215,653      0.030%   $       215,653
(Cost $215,653)

 

 

 
TOTAL INVESTMENTS – 100.0%
(Cost $129,123,523)
  $217,396,034

 

 

 
LIABILITIES IN EXCESS OF
    OTHER ASSETS – 0.0%
  (21,425)

 

 

  NET ASSETS – 100.0%   $217,374,609

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
*   Non-income producing security.

 

    

 


COMMERCE VALUE FUND

 

Schedule of Investments

January 31, 2021 (Unaudited)

 

Shares      Description   Value
Common Stocks – 94.7%
Aerospace & Defense – 3.6%
  35,000      General Dynamics Corp.   $    5,133,800
  15,000      Lockheed Martin Corp.   4,827,300
    

 

     9,961,100

 

 

Air Freight & Logistics – 1.8%
  32,000      United Parcel Service, Inc. Class B   4,960,000

 

 

Beverages – 3.1%
  37,000      PepsiCo., Inc.   5,053,090
  76,000      The Coca-Cola Co.   3,659,400
    

 

     8,712,490

 

 

Biotechnology – 2.6%
  29,500      Amgen, Inc.   7,122,185

 

 

Capital Markets – 7.3%
  22,000      CME Group, Inc.   3,998,280
  84,000      Morgan Stanley   5,632,200
  58,000      Northern Trust Corp.   5,173,020
  35,500      T. Rowe Price Group, Inc.   5,555,040
    

 

     20,358,540

 

 

Chemicals – 1.8%
  52,000      Eastman Chemical Co.   5,114,200

 

 

Commercial Banks – 6.8%
  67,000      JPMorgan Chase & Co.   8,620,890
  112,500      Truist Financial Corp.   5,397,750
  117,500      U.S. Bancorp.   5,034,875
    

 

     19,053,515

 

 

Communications Equipment – 1.9%
  120,500      Cisco Systems, Inc.   5,371,890

 

 

Containers & Packaging – 3.8%
  109,000      International Paper Co.   5,483,790
  87,500      Sonoco Products Co.   5,067,125
    

 

     10,550,915

 

 

Distributors – 1.9%
  55,000      Genuine Parts Co.   5,163,400

 

 

Diversified Telecommunication Services – 4.3%
  171,500      AT&T, Inc.   4,910,045
  131,500      Verizon Communications, Inc.   7,199,625
    

 

     12,109,670

 

 

Electric Utilities – 3.0%
  88,500      Duke Energy Corp.   8,319,000

 

 

Electrical Equipment – 3.8%
  45,750      Eaton Corp. PLC   5,384,775
  66,000      Emerson Electric Co.   5,237,100
    

 

     10,621,875

 

 

Equity Real Estate Investment Trusts (REITs) – 2.9%
  18,500      Public Storage   4,210,970
  58,000      WP Carey, Inc.   3,851,200
    

 

     8,062,170

 

 

Food Products – 3.4%
  108,000      Archer-Daniels-Midland Co.   5,401,080
  68,000      General Mills, Inc.   3,950,800
    

 

     9,351,880

 

 

Shares      Description   Value
Common Stocks – (continued)
Health Care Providers & Services – 3.7%
  96,000      Cardinal Health, Inc.   $    5,158,080
  73,500      CVS Health Corp.   5,266,275
    

 

     10,424,355

 

 

Hotels, Restaurants & Leisure – 1.9%
  26,000      McDonald’s Corp.   5,403,840

 

 

Household Products – 1.8%
  39,500      The Procter & Gamble Co.   5,064,295

 

 

Industrial Conglomerates – 2.0%
  31,000      3M Co.   5,445,460

 

 

Insurance – 3.9%
  113,000      MetLife, Inc.   5,440,950
  108,000      Principal Financial Group, Inc.   5,321,160
    

 

     10,762,110

 

 

IT Services – 3.6%
  42,500      International Business Machines Corp.   5,062,175
  58,000      Paychex, Inc.   5,064,560
    

 

     10,126,735

 

 

Machinery – 3.8%
  30,000      Caterpillar, Inc.   5,485,200
  26,000      Illinois Tool Works, Inc.   5,049,460
    

 

     10,534,660

 

 

Media – 2.0%
  228,000      The Interpublic Group of Cos., Inc.   5,487,960

 

 

Multi-Utilities – 2.9%
  109,000      Dominion Energy, Inc.   7,945,010

 

 

Oil, Gas & Consumable Fuels – 3.6%
  119,000      Chevron Corp.   10,138,800

 

 

Pharmaceuticals – 7.4%
  53,000      Johnson & Johnson   8,645,890
  64,500      Merck & Co., Inc.   4,971,015
  193,000      Pfizer, Inc.   6,928,700
    

 

     20,545,605

 

 

Semiconductors & Semiconductor Equipment – 2.0%
  33,000      Texas Instruments, Inc.   5,467,770

 

 

Specialty Retail – 2.0%
  20,500      The Home Depot, Inc.   5,551,810

 

 

Textiles, Apparel & Luxury Goods – 2.1%
  380,000      Hanesbrands, Inc.   5,810,200

 

 

 
TOTAL COMMON STOCKS
(Cost $228,965,286)
  $263,541,440

 

 

Exchange Traded Fund – 3.7%
  75,000      iShares Russell 1000 Value Index Fund   $  10,158,000
(Cost $9,191,883)    

 

 

 


COMMERCE VALUE FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Shares     

Dividend

Rate

  Value
Investment Company – 1.4%
 

State Street Institutional US Government Money Market Fund -
Premier Class

  3,807,084      0.030%   $    3,807,084
(Cost $3,807,084)

 

 

 
TOTAL INVESTMENTS – 99.8%
(Cost $241,964,253)
  $277,506,524

 

 

 
OTHER ASSETS IN EXCESS OF
    LIABILITIES – 0.2%
  666,279

 

 

  NET ASSETS – 100.0%   $278,172,803

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.

 

    

 


COMMERCE MIDCAP GROWTH FUND

 

Schedule of Investments

January 31, 2021 (Unaudited)

 

Shares      Description   Value
Common Stocks – 98.8%
Air Freight & Logistics – 1.1%
  41,670      CH Robinson Worldwide, Inc.   $    3,565,285

 

 

Biotechnology* – 2.5%
  29,460      Alnylam Pharmaceuticals, Inc.   4,433,141
  21,545      Seagen, Inc.   3,539,197
    

 

     7,972,338

 

 

Capital Markets – 4.8%
  11,345      FactSet Research Systems, Inc.   3,430,047
  18,880      Morningstar, Inc.   4,340,323
  9,165      MSCI, Inc.   3,622,925
  26,035      T. Rowe Price Group, Inc.   4,073,957
    

 

     15,467,252

 

 

Chemicals – 3.7%
  32,280      FMC Corp.   3,495,601
  43,785      RPM International, Inc.   3,610,949
  22,535      The Scotts Miracle-Gro Co.   4,989,475
    

 

     12,096,025

 

 

Commercial Services & Supplies – 1.2%
  104,590      Rollins, Inc.   3,767,332

 

 

Communications Equipment – 2.4%
  44,135      Lumentum Holdings, Inc.*   4,139,863
  22,485      Motorola Solutions, Inc.   3,767,362
    

 

     7,907,225

 

 

Distributors – 1.2%
  11,245      Pool Corp.   3,982,754

 

 

Electrical Equipment – 1.2%
  15,460      Rockwell Automation, Inc.   3,842,274

 

 

Electronic Equipment & Instruments – 6.1%
  29,340      Amphenol Corp. Class A   3,663,979
  29,070      CDW Corp.   3,827,356
  50,595      Cognex Corp.   4,155,367
  18,515      IPG Photonics Corp.*   4,136,807
  10,470      Zebra Technologies Corp. Class A*   4,060,580
    

 

     19,844,089

 

 

Entertainment* – 2.5%
  21,035      Take-Two Interactive Software, Inc.   4,216,466
  397,710      Zynga, Inc. Class A   3,941,306
    

 

     8,157,772

 

 

Equity Real Estate Investment Trusts (REITs) – 2.5%
  31,595      CoreSite Realty Corp.   4,247,632
  34,235      Extra Space Storage, Inc.   3,895,600
    

 

     8,143,232

 

 

Food Products – 2.2%
  37,270      McCormick & Co., Inc.   3,337,156
  25,555      The Hershey Co.   3,716,719
    

 

     7,053,875

 

 

Health Care Equipment & Supplies – 4.1%
  18,585      Penumbra, Inc.*   4,852,358
  11,395      The Cooper Cos., Inc.   4,148,236
  13,850      West Pharmaceutical Services, Inc.   4,147,936
    

 

     13,148,530

 

 

Health Care Providers & Services – 5.3%
  68,545      Cardinal Health, Inc.   3,682,923

 

 

Shares      Description   Value
Common Stocks – (continued)
Health Care Providers & Services – (continued)
  8,000      Chemed Corp.   $    4,143,200
  31,880      Guardant Health, Inc.*   4,957,340
  19,180      Laboratory Corp. of America Holdings*   4,390,494
    

 

     17,173,957

 

 

Health Care Technology – 1.2%
  50,540      Cerner Corp.   4,048,759

 

 

Hotels, Restaurants & Leisure – 2.3%
  2,860      Chipotle Mexican Grill, Inc.*   4,232,800
  8,440      Domino’s Pizza, Inc.   3,129,214
    

 

     7,362,014

 

 

Household Products – 3.6%
  44,220      Church & Dwight Co., Inc.   3,733,495
  126,855      Reynolds Consumer Products, Inc.   3,805,650
  18,910      The Clorox Co.   3,960,888
    

 

     11,500,033

 

 

Interactive Media & Services* – 1.2%
  27,455      Match Group, Inc.   3,839,856

 

 

IT Services – 13.9%
  36,865      Akamai Technologies, Inc.*   4,093,121
  42,635      Black Knight, Inc.*   3,482,853
  43,080      Booz Allen Hamilton Holding Corp.   3,669,124
  25,905      Broadridge Financial Solutions, Inc.   3,660,635
  11,785      EPAM Systems, Inc.*   4,059,107
  14,455      FleetCor Technologies, Inc.*   3,508,951
  93,170      Genpact Ltd.   3,566,548
  23,840      Jack Henry & Associates, Inc.   3,451,794
  36,995      Leidos Holdings, Inc.   3,923,690
  16,565      Okta, Inc.*   4,290,501
  41,095      Paychex, Inc.   3,588,415
  19,045      VeriSign, Inc.*   3,696,063
    

 

     44,990,802

 

 

Life Sciences Tools & Services – 6.2%
  33,290      Agilent Technologies, Inc.   4,000,459
  12,785      Bio-Techne Corp.   4,153,974
  22,430      IQVIA Holdings, Inc.*   3,988,054
  3,345      Mettler-Toledo International, Inc.*   3,907,295
  20,395      Repligen Corp.*   4,079,000
    

 

     20,128,782

 

 

Machinery – 4.9%
  71,780      Donaldson Co., Inc.   4,266,603
  57,230      Graco, Inc.   3,945,436
  19,310      Nordson Corp.   3,456,297
  42,865      The Toro Co.   4,040,027
    

 

     15,708,363

 

 

Professional Services* – 1.2%
  4,390      CoStar Group, Inc.   3,949,727

 

 

Road & Rail – 2.5%
  28,485      JB Hunt Transport Services, Inc.   3,835,790
  29,460      Landstar System, Inc.   4,106,724
    

 

     7,942,514

 

 

Semiconductors & Semiconductor Equipment – 5.1%
  41,270      Entegris, Inc.   4,060,555
  15,005      KLA Corp.   4,202,450
  11,985      Monolithic Power Systems, Inc.   4,258,151

 

 

 


COMMERCE MIDCAP GROWTH FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Shares      Description   Value
Common Stocks – (continued)
Semiconductors & Semiconductor Equipment – (continued)
  33,750      Teradyne, Inc.   $    3,829,950
    

 

     16,351,106

 

 

Software – 13.5%
  11,385      ANSYS, Inc.*   4,034,502
  32,760      Cadence Design Systems, Inc.*   4,271,576
  29,960      Citrix Systems, Inc.   3,993,968
  189,680      Dropbox, Inc. Class A*   4,292,458
  13,115      Palo Alto Networks, Inc.*   4,600,086
  35,710      Proofpoint, Inc.*   4,609,447
  35,560      PTC, Inc.*   4,726,280
  16,970      Synopsys, Inc.*   4,334,987
  179,230      Teradata Corp.*   4,821,287
  9,120      Tyler Technologies, Inc.*   3,855,845
    

 

     43,540,436

 

 

Specialty Retail – 2.4%
  35,785      Best Buy Co., Inc.   3,894,124
  28,120      Tractor Supply Co.   3,985,729
    

 

     7,879,853

 

 

 
TOTAL COMMON STOCKS
(Cost $227,629,948)
  $319,364,185

 

 

Exchange Traded Fund – 0.9%
  28,585      iShares Russell Midcap Growth Index Fund   $    2,923,102
 
(Cost $2,405,953)

 

 

Shares     

Dividend

Rate

  Value
Investment Company – 0.3%
 
State Street Institutional US Government Money Market Fund -
Premier Class
  906,302      0.030%   $       906,302
(Cost $906,302)

 

 

 
TOTAL INVESTMENTS – 100.0%
(Cost $230,942,203)
  $323,193,589

 

 

 
OTHER ASSETS IN EXCESS OF
    LIABILITIES – 0.0%
  29,227

 

 

  NET ASSETS – 100.0%   $323,222,816

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
*   Non-income producing security.

 

    

 


COMMERCE BOND FUND

 

Schedule of Investments

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – 48.6%
Advertising(a) – 0.3%
WPP Finance 2010
$  4,149,000     3.625   09/07/22   $       4,349,734

 

Aerospace/Defense – 0.7%
Boeing Co.(b)
5,000,000     5.805     05/01/50   6,574,137
United Technologies Corp.
2,000,000     5.700     04/15/40   2,826,888
     

 

      9,401,025

 

Auto Manufacturers – 2.3%
BMW Finance NV(b)(c)
4,000,000     2.400     08/14/24   4,236,309
BorgWarner, Inc.(b)
1,000,000     3.375     03/15/25   1,099,236
Ford Motor Co.(b)
2,000,000     4.346     12/08/26   2,138,380
Ford Motor Credit Co. LLC
2,500,000     4.134     08/04/25   2,625,288
General Motors Co.(b)
3,450,000     6.600     04/01/36   4,752,204
General Motors Financial Co., Inc.(b)
2,000,000     3.950     04/13/24   2,177,060
PACCAR Financial Corp.
5,000,000     2.150     08/15/24   5,291,650
Toyota Motor Credit Corp.
1,800,000     0.350     10/14/22   1,801,607
Volkswagen Group of America Finance LLC(c)
4,000,000     4.750     11/13/28   4,811,260
     

 

      28,932,994

 

Banks – 7.7%
Bank of America Corp.
3,000,000     4.000     01/22/25   3,342,700
(3M USD LIBOR + 1.040%),
6,749,000     3.419 (b)(d)    12/20/28   7,559,198
Citigroup, Inc.
3,000,000     5.500     09/13/25   3,566,938
3,500,000     4.450     09/29/27   4,077,036
Cooperatieve Rabobank UA
3,100,000     2.750     01/10/23   3,247,121
Credit Suisse AG
3,000,000     3.000     10/29/21   3,058,407
HSBC Holdings PLC
3,130,000     6.100     01/14/42   4,568,324
HSBC USA, Inc.
1,052,000     9.300     06/01/21   1,082,089
Huntington Bancshares, Inc.(b)
5,000,000     2.550     02/04/30   5,330,812
JPMorgan Chase & Co.
2,520,000     5.600     07/15/41   3,626,129
(3M USD LIBOR + 1.000%),
150,000     1.215 (d)    04/26/23   150,966
(3M USD LIBOR + 1.160%),
1,650,000     3.702 (b)(d)    05/06/30   1,883,628

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)
Banks – (continued)
JPMorgan Chase & Co. (continued)
(3M USD LIBOR + 1.330%),
$  2,000,000     4.452 %(b)(d)    12/05/29   $       2,397,305
(3M USD LIBOR + 3.470%),
2,222,000     3.682 (b)(d)    04/30/49   2,209,657
KeyBank NA
5,700,000     3.400     05/20/26   6,349,956
Mitsubishi UFJ Financial Group, Inc.
3,000,000     3.777     03/02/25   3,345,702
Northern Trust Corp.(b)
5,438,000     3.150     05/03/29   6,126,384
PNC Bank NA
2,500,000     2.950 (b)    01/30/23   2,619,423
3,830,000     4.050     07/26/28   4,502,638
The PNC Financial Services Group, Inc.(b)(d)
(3M USD LIBOR + 3.678%)
2,500,000     6.750     08/01/49   2,540,625
Truist Financial Corp.(b)
5,455,000     2.500     08/01/24   5,811,713
2,265,000     1.125     08/03/27   2,266,467
U.S. Bancorp(b)
2,050,000     3.600     09/11/24   2,263,827
UBS Group AG(b)(c)(d)
(3M USD LIBOR + 0.954%)
2,750,000     2.859     08/15/23   2,849,974
Wells Fargo & Co.
2,500,000     4.100     06/03/26   2,855,500
1,500,000     4.650     11/04/44   1,829,811
5,000,000     4.750     12/07/46   6,321,488
Wells Fargo Bank NA(e)
2,000,000     6.180     02/15/36   2,716,523
     

 

      98,500,341

 

Beverages – 1.0%
Anheuser-Busch InBev Worldwide, Inc.(b)
6,000,000     4.439     10/06/48   7,174,152
PepsiCo, Inc.(b)
2,190,000     4.450     04/14/46   2,892,806
The Coca Cola Co.
2,325,000     1.450     06/01/27   2,378,627
     

 

      12,445,585

 

Biotechnology(b)(c) – 0.2%
Amgen, Inc.
3,175,000     2.770     09/01/53   3,043,989

 

Chemicals(b) – 0.5%
Air Products and Chemicals, Inc.
2,000,000     1.850     05/15/27   2,098,871
Linde, Inc.
2,000,000     3.200     01/30/26   2,221,767
PPG Industries, Inc.
2,355,000     2.400     08/15/24   2,486,087
     

 

      6,806,725

 

 


COMMERCE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)
Commercial Services – 1.1%
Emory University(b)
$  2,000,000     1.566   09/01/25   $       2,068,761
Henry J. Kaiser Family Foundation
6,250,000     3.356     12/01/25   6,557,503
Northwestern University
1,000,000     4.643     12/01/44   1,330,192
The Corp. of Gonzaga University
3,500,000     4.158     04/01/46   3,812,120
     

 

      13,768,576

 

Distribution/Wholesale(b) – 0.3%
WW Grainger, Inc.
3,260,000     4.600     06/15/45   4,242,763

 

Diversified Financial Services – 3.7%
Air Lease Corp.(b)
2,500,000     3.000     09/15/23   2,628,698
Aircastle Ltd.(b)
1,000,000     4.250     06/15/26   1,072,338
American Express Co.(b)
3,115,000     3.125     05/20/26   3,458,128
Blackstone Secured Lending Fund(b)(c)
4,200,000     3.625     01/15/26   4,320,298
Brookfield Finance, Inc.(b)
2,100,000     4.700     09/20/47   2,596,745
Capital One Bank USA NA(b)(d)
(SOFR + 0.911%)
4,000,000     2.280     01/28/26   4,178,450
CDP Financial, Inc.(c)
1,000,000     3.150     07/24/24   1,092,187
CME Group, Inc.
1,685,000     3.000     09/15/22   1,757,904
Franklin Resources, Inc.
5,000,000     2.850     03/30/25   5,428,720
Invesco Finance PLC
6,509,000     3.125     11/30/22   6,832,073
Janus Capital Group, Inc.(b)
3,000,000     4.875     08/01/25   3,441,657
Legg Mason, Inc.
3,895,000     5.625     01/15/44   5,453,808
Owl Rock Capital Corp.(b)
2,000,000     3.400     07/15/26   2,049,074
The Charles Schwab Corp.
2,500,000     3.225     09/01/22   2,614,230
     

 

      46,924,310

 

Electrical Equipment – 4.0%
Arizona Public Service Co.
2,150,000     6.875     08/01/36   3,250,313
Consumers Energy Co.(b)
3,290,000     3.950     07/15/47   4,059,653
Duke Energy Progress LLC(b)
2,000,000     2.800     05/15/22   2,051,748

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)
Electrical Equipment – (continued)
Emerson Electric Co.
$  2,545,000     0.875 %(b)    10/15/26   $       2,537,192
2,000,000     1.800 (b)    10/15/27   2,089,372
1,000,000     6.125     04/15/39   1,394,795
Entergy Louisiana LLC(b)
3,000,000     3.780     04/01/25   3,309,458
Gulf Power Co.(b)
1,250,000     4.550     10/01/44   1,470,449
Louisville Gas & Electric Co.(b)
1,850,000     4.650     11/15/43   2,329,999
National Grid USA
3,375,000     8.000     11/15/30   4,847,406
Ohio Power Co.
2,870,000     5.850     10/01/35   4,060,327
Pacific Gas and Electric Co.(b)
1,000,000     4.550     07/01/30   1,140,043
1,000,000     4.950     07/01/50   1,132,732
PacifiCorp
1,900,000     6.100     08/01/36   2,720,451
PPL Electric Utilities Corp.(b)
1,025,000     4.750     07/15/43   1,336,614
Public Service Enterprise Group, Inc.(b)(c)
5,500,000     8.625     04/15/31   8,421,516
Southern California Edison Co.
1,000,000     5.550     01/15/37   1,264,907
Wisconsin Public Service Corp.(b)
3,000,000     3.300     09/01/49   3,346,373
     

 

      50,763,348

 

Electronics(b) – 0.2%
PerkinElmer, Inc.
2,410,000     3.300     09/15/29   2,683,738

 

Food(b)(c) – 0.3%
Nestle Holdings, Inc.
3,870,000     0.625     01/15/26   3,849,017

 

Gas(b) – 0.6%
Atmos Energy Corp.
1,400,000     4.125     03/15/49   1,767,640
Boston Gas Co.(c)
1,000,000     3.001     08/01/29   1,091,528
Northwest Natural Gas Co.
4,650,000     3.869     06/15/49   5,362,889
     

 

      8,222,057

 

Healthcare-Services – 2.5%
Adventist Health System(b)
7,000,000     2.952     03/01/29   7,604,133
Ascension Health
3,000,000     2.532 (b)    11/15/29   3,217,365
1,500,000     3.945     11/15/46   1,884,730
Baptist Health South Florida, Inc.
3,695,000     4.342     11/15/41   4,370,973

 

 


COMMERCE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)
Healthcare-Services – (continued)
Community Health Network, Inc.
$  2,225,000     4.237   05/01/25   $       2,538,042
Mayo Clinic
2,600,000     3.774     11/15/43   3,094,376
SSM Health Care Corp.(b)
3,000,000     3.688     06/01/23   3,206,217
4,990,000     3.823     06/01/27   5,819,342
     

 

      31,735,178

 

Insurance – 4.8%
Arch Capital Group Ltd.
2,149,000     7.350     05/01/34   3,246,085
AXIS Specialty Finance LLC(b)
3,000,000     3.900     07/15/29   3,370,521
Berkshire Hathaway Finance Corp.(b)
4,220,000     4.200     08/15/48   5,306,144
Equitable Financial Life Global Funding(c)
5,000,000     1.750     11/15/30   4,942,080
Guardian Life Global Funding(c)
2,000,000     2.000     04/26/21   2,008,475
Jackson National Life Global Funding(a)(c)
2,600,000     3.250     01/30/24   2,806,328
Loews Corp.
3,000,000     6.000     02/01/35   4,129,491
MassMutual Global Funding II(c)
6,150,000     2.950     01/11/25   6,684,483
MetLife, Inc.(b)
2,055,000     10.750     08/01/39   3,483,822
Metropolitan Life Global Funding I(c)
1,360,000     2.400     06/17/22   1,398,681
Principal Life Global Funding II(c)
1,340,000     0.500     01/08/24   1,341,010
Prudential Financial, Inc.(b)(d)
(3M USD LIBOR + 4.175%)
2,000,000     5.875     09/15/42   2,117,076
Reinsurance Group of America, Inc.
2,100,000     5.000     06/01/21   2,131,728
2,000,000     3.950 (b)    09/15/26   2,296,572
2,500,000     3.150 (b)    06/15/30   2,710,644
Reliance Standard Life Global Funding II(c)
1,750,000     2.750     01/21/27   1,863,345
Teachers Insurance & Annuity Association of America(b)(c)
3,000,000     4.270     05/15/47   3,649,750
The Prudential Insurance Co. of America(c)
2,775,000     8.300     07/01/25   3,583,829
The Travelers Cos., Inc.(b)
2,000,000     4.100     03/04/49   2,551,916
Travelers Property Casualty Corp.
1,493,000     7.750     04/15/26   2,001,137
     

 

      61,623,117

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)
Internet(b) – 0.3%
Booking Holdings, Inc.
$  1,750,000     3.600   06/01/26   $       1,967,778
TD Ameritrade Holding Corp.
1,225,000     2.750     10/01/29   1,332,966
     

 

      3,300,744

 

Machinery-Diversified(b) – 0.3%
Rockwell Automation, Inc.
3,000,000     3.500     03/01/29   3,455,452

 

Media – 0.7%
Comcast Corp.
1,250,000     6.400     05/15/38   1,881,962
1,500,000     2.450 (b)    08/15/52   1,384,192
The Walt Disney Co.
1,000,000     3.700     03/23/27   1,150,094
1,000,000     7.125     04/08/28   1,348,908
ViacomCBS, Inc.
2,500,000     7.875     09/01/23   2,915,866
     

 

      8,681,022

 

Metals & Mining – 0.6%
Caterpillar Financial Services Corp.
4,680,000     0.450     09/14/23   4,687,310
The Timken Co.
2,750,000     6.875     05/08/28   3,368,215
     

 

      8,055,525

 

Miscellaneous Manufacturing – 0.6%
General Electric Co.
1,500,000     4.500     03/11/44   1,782,730
(3M USD LIBOR + 3.330%),
3,748,000     3.554 (b)(d)    03/15/49   3,540,136
Siemens Financieringsmaatschappij NV(c)
3,000,000     2.700     03/16/22   3,078,544
     

 

      8,401,410

 

Oil-Field Services – 3.9%
Apache Corp.
2,835,000     5.100 (b)    09/01/40   2,870,608
1,360,000     7.375     08/15/47   1,394,000
BP Capital Markets America, Inc.
3,250,000     2.750     05/10/23   3,419,113
4,000,000     3.543 (b)    04/06/27   4,531,521
Equinor ASA
1,795,000     6.800     01/15/28   2,347,197
Exxon Mobil Corp.(b)
3,000,000     2.726     03/01/23   3,140,341
Halliburton Co.(b)
5,000,000     5.000     11/15/45   5,745,801
HollyFrontier Corp.(b)
3,850,000     5.875     04/01/26   4,357,094
Phillips 66(b)
3,000,000     4.650     11/15/34   3,575,529
Saudi Arabian Oil Co.(c)
5,000,000     3.500     04/16/29   5,497,490

 

 


COMMERCE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)
Oil-Field Services – (continued)
Schlumberger Investment SA(b)
$  3,600,000     2.650   06/26/30   $       3,756,996
Tosco Corp.
2,095,000     8.125     02/15/30   3,128,461
Valero Energy Corp.(b)
6,000,000     2.850     04/15/25   6,367,520
     

 

      50,131,671

 

Paper and Forest Products – 1.0%
Georgia-Pacific LLC(c)
2,225,000     0.625     05/15/24   2,230,169
5,000,000     2.100 (b)    04/30/27   5,274,381
International Paper Co.
2,925,000     8.700     06/15/38   4,858,290
     

 

      12,362,840

 

Pharmaceuticals – 1.5%
Bristol-Myers Squibb Co.(b)
3,250,000     3.900     02/20/28   3,807,645
CVS Pass-Through Trust(c)
2,474,221     7.507     01/10/32   3,165,115
Johnson & Johnson
4,970,000     5.950     08/15/37   7,542,641
Pfizer, Inc.
2,900,000     7.200     03/15/39   4,852,590
     

 

      19,367,991

 

Pipelines – 2.1%
DCP Midstream Operating LP
3,397,000     8.125     08/16/30   4,488,932
Energy Transfer Operating LP(b)
3,000,000     4.900     03/15/35   3,258,216
Kinder Morgan Energy Partners LP
4,175,000     5.800     03/15/35   5,330,693
Magellan Midstream Partners LP(b)
2,635,000     3.950     03/01/50   2,798,534
Tennessee Gas Pipeline Co. LLC
628,000     8.375     06/15/32   882,186
1,450,000     7.625     04/01/37   1,986,491
TransCanada PipeLines Ltd.(b)
2,500,000     4.875     01/15/26   2,938,691
Transcanada Trust(b)(d)
(3M USD LIBOR + 3.208%)
4,660,000     5.300     03/15/77   4,927,950
     

 

      26,611,693

 

Real Estate – 4.0%
Columbia Property Trust Operating Partnership LP(b)
2,485,000     4.150     04/01/25   2,638,606
ERP Operating LP(b)
1,505,000     2.850     11/01/26   1,641,235
Healthcare Realty Trust, Inc.(b)
1,075,000     2.050     03/15/31   1,064,235
Mid-America Apartments LP(b)
1,860,000     4.300     10/15/23   2,025,988

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)
Real Estate – (continued)
Mid-America Apartments LP(b) (continued)
$  1,700,000     3.600   06/01/27   $       1,923,197
National Retail Properties, Inc.(b)
1,000,000     3.900     06/15/24   1,087,949
Office Properties Income Trust(b)
4,000,000     4.250     05/15/24   4,213,476
Omega Healthcare Investors, Inc.(b)
4,500,000     4.750     01/15/28   5,112,013
Piedmont Operating Partnership LP(b)
1,290,000     3.400     06/01/23   1,345,948
2,800,000     4.450     03/15/24   3,045,619
Post Apartment Homes LP(b)
1,500,000     3.375     12/01/22   1,561,241
Realty Income Corp.(b)
2,400,000     0.750     03/15/26   2,376,303
SBA Tower Trust(c)
3,520,000     3.448     03/15/23   3,739,462
1,575,000     2.836     01/15/25   1,687,367
Scentre Group Trust 1/Scentre Group Trust 2(b)(c)
4,000,000     3.750     03/23/27   4,356,176
Simon Property Group LP(b)
2,815,000     3.750     02/01/24   3,048,947
STORE Capital Corp.(b)
2,000,000     4.500     03/15/28   2,263,356
Ventas Realty LP(b)
2,910,000     3.500     02/01/25   3,192,774
VEREIT Operating Partnership LP(b)
2,400,000     3.950     08/15/27   2,730,780
Washington Real Estate Investment Trust(b)
1,580,000     3.950     10/15/22   1,649,748
Weingarten Realty Investors(b)
1,000,000     3.850     06/01/25   1,097,843
     

 

      51,802,263

 

Retail(b) – 0.1%
Advance Auto Parts, Inc.
1,135,000     1.750     10/01/27   1,157,470

 

Semiconductors(b) – 1.3%
Broadcom, Inc.
3,500,000     4.250     04/15/26   3,967,950
1,000,000     1.950 (c)    02/15/28   1,003,602
Maxim Integrated Products, Inc.
5,016,000     3.375     03/15/23   5,275,178
QUALCOMM, Inc.
2,930,000     3.250     05/20/27   3,312,272
Texas Instruments, Inc.
2,925,000     3.875     03/15/39   3,554,117
     

 

      17,113,119

 

Software(b) – 0.2%
Adobe, Inc.
2,000,000     2.150     02/01/27   2,132,806

 

 


COMMERCE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)
Telecommunications – 0.6%
Sprint Spectrum Co. LLC/Sprint Spectrum Co. II LLC/Sprint Spectrum Co. III LLC(c)
$  2,000,000     4.738   03/20/25   $       2,170,800
Verizon Communications, Inc.
4,748,000     4.329     09/21/28   5,641,434
     

 

      7,812,234

 

Transportation – 1.2%
Burlington Northern Santa Fe LLC(b)
1,220,000     4.950     09/15/41   1,628,427
Canadian National Railway Co.
1,190,000     6.200     06/01/36   1,774,368
1,310,000     2.450 (b)    05/01/50   1,274,378
Canadian Pacific Railway Co.
1,980,000     5.750     01/15/42   2,812,297
2,500,000     6.125 (b)(f)    09/15/15   4,057,150
Kansas City Southern(b)
1,000,000     4.950     08/15/45   1,270,483
1,500,000     4.700     05/01/48   1,871,463
The Kansas City Southern Railway Co.(b)
500,000     4.950     08/15/45   635,242
     

 

      15,323,808

 

TOTAL CORPORATE OBLIGATIONS
(Cost $569,066,350)
  $   623,002,545

 

Asset-Backed Securities – 15.8%
Automotive(c) – 2.9%
Avis Budget Rental Car Funding AESOP LLC Series 2017-2A, Class A
2,180,000     2.970   03/20/24   2,273,770
Avis Budget Rental Car Funding AESOP LLC Series 2018-1A, Class A
4,150,000     3.700     09/20/24   4,441,575
Avis Budget Rental Car Funding AESOP LLC Series 2019-3A, Class A
11,100,000     2.360     03/20/26   11,710,602
Avis Budget Rental Car Funding AESOP LLC Series 2020-2A, Class A
2,080,000     2.020     02/20/27   2,172,809
Ford Credit Auto Owner Trust Series 2016-1, Class A
7,000,000     2.310     08/15/27   7,005,634
Ford Credit Auto Owner Trust Series 2017-1, Class A
2,500,000     2.620     08/15/28   2,561,907
Ford Credit Auto Owner Trust Series 2018-1, Class A
5,000,000     3.190     07/15/31   5,492,517
Hertz Vehicle Financing II LP Series 2018-1A, Class A
606,861     3.290     02/25/24   608,192
Hertz Vehicle Financing II LP Series 2019-1A, Class A
942,729     3.710     03/25/23   945,731
     

 

      37,212,737

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Asset-Backed Securities – (continued)
Home Equity – 0.4%
Accredited Mortgage Loan Trust Series 2004-4, Class A1B(d)
(1M USD LIBOR + 0.780%)
$     732,848     0.910   01/25/35   $          729,473
Ameriquest Mortgage Securities, Inc. Series 2004-FR1W, Class A6(g)
478,395     4.108     05/25/34   490,421
EquiFirst Mortgage Loan Trust Series 2003-2, Class 2A2(g)
195,038     4.250     09/25/33   205,875
Morgan Stanley ABS Capital I, Inc. Trust Series 2005-HE1,
Class M1(d)
(1M USD LIBOR + 0.675%)
2,651,941     0.805     12/25/34   2,584,389
Renaissance Home Equity Loan Trust Series 2005-3, Class AF4(g)
791,578     5.140     11/25/35   832,348
Southern Pacific Secured Asset Corp. Series 1998-2, Class A7(g)
1,137,533     7.490     07/25/29   1,188,557
     

 

      6,031,063

 

Manufactured Housing – 0.0%
Green Tree Financial Corp. Series 1998-3, Class A5
154,247     6.220     03/01/30   155,985
Green Tree Financial Corp. Series 1998-3, Class A6(d)(h)
19,266     6.760     03/01/30   19,478
Mid-State Trust Series 2011, Class A1
149,941     4.864     07/15/38   160,489
     

 

      335,952

 

Other – 10.5%
AFN LLC Series 2019-1A, Class A1(c)
4,916,667     3.780     05/20/49   5,088,841
ARL Second LLC Series 2014-1A, Class A1(c)
952,990     2.920     06/15/44   953,852
CAL Funding IV Ltd. Series 2020-1A, Class A(c)
5,830,000     2.220     09/25/45   5,930,148
Chase Funding Mortgage Loan Asset-Backed Certificates Series 2002-3, Class 1A5(g)
1,034,152     5.907     06/25/32   1,042,436
Chase Funding Mortgage Loan Asset-Backed Certificates Series 2004-1, Class 2A2(d)
(1M USD LIBOR + 0.460%)
3,907,236     0.590     12/25/33   3,734,565
Countrywide Asset-Backed Certificates Series 2007-QH1,
Class A1(c)(d)
(1M USD LIBOR + 0.200%)
450,150     0.330     02/25/37   427,917
Domino’s Pizza Master Issuer LLC Series 2017-1A, Class A23(c)
6,305,000     4.118     07/25/47   6,761,482
Global SC Finance VII S.r.l. Series 2020-2A, Class A(c)
5,157,964     2.260     11/19/40   5,242,988

 

 


COMMERCE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Asset-Backed Securities – (continued)
Other – (continued)
Harvest SBA Loan Trust Series 2018-1, Class A(c)(d)
(1M USD LIBOR + 2.250%)
$  2,794,358     2.380   08/25/44   $       2,704,670
Home Partners of America Trust Series 2019-1, Class A(c)
7,568,911     2.908     09/17/39   8,016,437
Invitation Homes Trust Series 2018-SFR2, Class A(c)(d)
(1M USD LIBOR + 0.900%)
4,064,334     1.026     06/17/37   4,066,881
Long Beach Mortgage Loan Trust Series 2003-4, Class AV1(d)
(1M USD LIBOR + 0.620%)
175,274     0.750     08/25/33   171,594
Longtrain Leasing III LLC Series 2015-1A, Class A1(c)
2,442,362     2.980     01/15/45   2,503,351
Longtrain Leasing III LLC Series 2015-1A, Class A2(c)
4,900,951     4.060     01/15/45   5,017,329
NP SPE II LLC Series 2016-1A, Class A1(c)
2,183,212     4.164     04/20/46   2,300,205
PEAR Series 2020-1, Class A(c)
5,000,000     3.750     12/15/32   5,003,820
Progress Residential Trust Series 2020-SFR2, Class A(c)
1,000,000     2.078     06/17/37   1,034,494
ServiceMaster Funding LLC Series 2020-1, Class A2I(c)
4,000,000     2.841     01/30/51   4,089,560
Sofi Consumer Loan Program Trust Series 2018-3, Class A2(c)
1,112,159     3.670     08/25/27   1,118,466
State of Hawaii Department of Business Economic Development & Tourism Series 2014-A, Class A2
7,394,320     3.242     01/01/31   7,933,440
Structured Asset Investment Loan Trust Series 2003-BC5,
Class M1(d)
(1M USD LIBOR + 1.125%)
300,724     1.255     06/25/33   300,839
Structured Asset Securities Corp. Series 2005-9XS, Class 1A3A(g)
159,841     5.750     06/25/35   165,510
Tif Funding II LLC Series 2020-1A, Class A(c)
2,228,125     2.090     08/20/45   2,267,729
Towd Point Mortgage Trust Series 2015-1, Class 1A2(c)(d)(h)
5,000,000     3.250     11/25/60   5,089,577
Towd Point Mortgage Trust Series 2015-4, Class A1B(c)(d)(h)
468,277     2.750     04/25/55   468,899
Towd Point Mortgage Trust Series 2016-2, Class A1(c)(d)(h)
445,844     3.000     08/25/55   452,048
Towd Point Mortgage Trust Series 2016-3, Class A1(c)(d)(h)
1,110,517     2.250     04/25/56   1,116,780
Towd Point Mortgage Trust Series 2017-3, Class A2(c)(d)(h)
1,850,000     3.000     07/25/57   1,955,067
Towd Point Mortgage Trust Series 2018-2,Class A2(c)(d)(h)
5,500,000     3.500     03/25/58   6,006,378
Trafigura Securitisation Finance PLC Series 2018-1A, Class A2(c)
4,335,000     3.730     03/15/22   4,409,048

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Asset-Backed Securities – (continued)
Other – (continued)
Trinity Rail Leasing 2020 LLC Series 2020-2A, Class A2(c)
$10,315,000     2.560   11/19/50   $     10,485,789
Trinity Rail Leasing LLC Series 2019-1A, Class A(c)
4,631,184     3.820     04/17/49   4,842,604
Trinity Rail Leasing LLC Series 2019-2A, Class A2(c)
3,000,000     3.100     10/18/49   3,126,767
Triton Container Finance VIII LLC Series 2020-1A, Class A(c)
6,072,901     2.110     09/20/45   6,183,120
Vantage Data Centers LLC Series 2020-1A, Class A2(c)
8,250,000     1.645     09/15/45   8,281,037
Wendy’s Funding LLC Series 2019-1A, Class A2I(c)
2,895,000     3.783     06/15/49   3,066,413
Wendys Funding LLC Series 2018-1A, Class A2I(c)
2,910,000     3.573     03/15/48   2,992,178
     

 

      134,352,259

 

Student Loan – 2.0%
DRB Prime Student Loan Trust Series 2016-B, Class A2(c)
664,596     2.890     06/25/40   678,849
DRB Prime Student Loan Trust Series 2017-A, Class A2B(c)
1,655,591     2.850     05/27/42   1,675,039
Massachusetts Educational Financing Authority Series 2018-A, Class A
2,769,307     3.850     05/25/33   2,920,234
Navient Private Education Loan Trust Series 2015-AA, Class A2A(c)
2,629,597     2.650     12/15/28   2,698,353
Navient Private Education Refi Loan Trust Series 2018-A, Class A2(c)
677,811     3.190     02/18/42   691,286
Navient Private Education Refi Loan Trust Series 2020-HA, Class A(c)
4,683,754     1.310     01/15/69   4,743,591
Sofi Professional Loan Program LLC Series 2016-B, Class A2B(c)
825,010     2.740     10/25/32   841,453
Sofi Professional Loan Program LLC Series 2016-E, Class A2B(c)
1,284,524     2.490     01/25/36   1,300,901
Sofi Professional Loan Program Trust Series 2018-C, Class A2FX(c)
5,759,075     3.590     01/25/48   5,996,211
South Carolina Student Loan Corp. Series 2015-A, Class A(d)
(1M USD LIBOR + 1.500%)
2,034,801     1.630     01/25/36   2,054,877

 

 


COMMERCE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Asset-Backed Securities – (continued)
Student Loan – (continued)
Towd Point Asset Trust Series 2018-SL1, Class A(c)(d)
(1M USD LIBOR + 0.600%)
$  1,674,316     0.749   01/25/46   $       1,663,190
     

 

      25,263,984

 

TOTAL ASSET-BACKED SECURITIES
(Cost $195,725,777)
  $   203,195,995

 

Mortgage-Backed Obligations – 11.1%
Collateralized Mortgage Obligations – 9.4%
Adjustable Rate Mortgage Trust Series 2004-5, Class 3A1(d)(h)
$         4,729     2.594   04/25/35   $              4,722
Agate Bay Mortgage Loan Trust Series 2014-3, Class A2(c)(d)(h)
    1,122,676     3.500     11/25/44   1,142,830
Agate Bay Mortgage Loan Trust Series 2016-2, Class A3(c)(d)(h)
       450,645     3.500     03/25/46   458,651
Banc of America Alternative Loan Trust Series 2005-10, Class 6A1
6,853     5.500     11/25/20   6,092
Bear Stearns Alt-A Trust Series 2005-9, Class 25A1(d)(h)
    1,092,421     3.041     11/25/35   900,213
Bear Stearns Asset Backed Securities Trust Series 2003-AC7,
Class A2(g)
       213,140     5.750     01/25/34   219,083
Citicorp Mortgage Securities Trust, Inc. Series 2006-4, Class 3A1
           1,395     5.500     08/25/21   1,395
Citigroup Mortgage Loan Trust, Inc. Series 2004-NCM2,
Class 1CB2
       520,944     6.750     08/25/34   566,168
Citigroup Mortgage Loan Trust, Inc. Series 2005-10,
Class 1A5A(d)(h)
         99,434     2.928     12/25/35   92,805
Citigroup Mortgage Loan Trust, Inc. Series 2007-AR5,
Class 1A3A(d)(h)
         60,283     2.897     04/25/37   57,837
Citigroup Mortgage Loan Trust, Inc. Series 2015-A,
Class A1(c)(d)(h)
       454,502     3.500     06/25/58   462,988
Countrywide Alternative Loan Trust Series 2004-18CB, Class 3A1
         23,518     5.250     09/25/19   23,551
Countrywide Alternative Loan Trust Series 2005-J1, Class 3A1
         13,514     6.500     08/25/32   13,803
Countrywide Alternative Loan Trust Series 2007-J2, Class 2A1
           6,331     6.000     07/25/37   6,488
Countrywide Home Loans Trust Series 2005-27, Class 2A1
       519,295     5.500     12/25/35   373,961

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)
Collateralized Mortgage Obligations – (continued)
Countrywide Home Loans Trust Series 2005-6, Class 2A1
$       91,159     5.500   04/25/35   $            87,145
Countrywide Home Loans Trust Series 2005-7, Class 1A1(d)
(1M USD LIBOR + 0.540%)
614,209     0.670     03/25/35   602,011
CS First Boston Mortgage Securities Corp. Series 2003-19, Class 1A4
136,554     5.250     07/25/33   142,245
CSMC Trust Series 2013-6, Class 1A1(c)(d)(h)
7,129,664     2.500     07/25/28   7,273,146
CSMC Trust Series 2014-WIN2, Class A3(c)(d)(h)
1,005,543     3.500     10/25/44   1,023,578
CSMC Trust Series 2017-HL2, Class A1(c)(d)(h)
1,499,489     3.500     10/25/47   1,542,546
CSMC Trust Series 2017-HL2, Class A3(c)(d)(h)
319,346     3.500     10/25/47   319,258
EverBank Mortgage Loan Trust Series 2013-2, Class A(c)(d)(h)
1,305,806     3.000     06/25/43   1,342,694
FHLMC REMIC Series 1579, Class PM
23,979     6.700     09/15/23   25,387
FHLMC REMIC Series 2103, Class TE
31,814     6.000     12/15/28   36,436
FHLMC REMIC Series 2110, Class PG
164,096     6.000     01/15/29   186,061
FHLMC REMIC Series 2391, Class Z
435,815     6.000     12/15/31   499,522
FHLMC REMIC Series 2603, Class C
75,045     5.500     04/15/23   77,421
FHLMC REMIC Series 2866, Class DH
8,190     4.000     09/15/34   8,202
FHLMC REMIC Series 4088, Class EP
1,225,454     2.750     09/15/41   1,261,600
FHLMC REMIC Series 4272, Class DG
552,689     3.000     04/15/43   569,316
FHLMC REMIC Series 4370, Class PA
442,462     3.500     09/15/41   464,781
FHLMC REMIC Series 4679, Class DY
264,429     3.500     07/15/42   268,174
FHLMC REMIC Series 4710, Class WA
154,830     3.500     03/15/44   156,590
FHLMC REMIC Series 4729, Class AG
2,365,000     3.000     01/15/44   2,396,645
FHLMC REMIC Series 4770, Class JH
626,788     4.500     10/15/45   646,520
FHLMC REMIC Series 4792, Class AC
475,876     3.500     05/15/48   498,942
FHLMC REMIC Series 4840, Class MB
8,505,855     4.500     09/15/46   8,947,815
FHLMC REMIC Series 4841, Class VH
4,217,000     4.500     10/15/37   4,483,283
FHLMC REMIC Series 5020, Class KW
6,000,000     2.000     09/25/45   6,163,237

 

 


COMMERCE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)
Collateralized Mortgage Obligations – (continued)
First Horizon Alternative Mortgage Securities Series 2006-RE1, Class A1(d)(h)
$     877,075     5.500   05/25/35   $         767,588
Flagstar Mortgage Trust Series 2017-2, Class A5(c)(d)(h)
34,908     3.500     10/25/47   34,872
Flagstar Mortgage Trust Series 2018-2, Class A4(c)(d)(h)
2,510,262     3.500     04/25/48   2,546,759
Flagstar Mortgage Trust Series 2019-1INV, Class A3(c)(d)(h)
2,994,707     3.500     10/25/49   3,087,548
FNMA REMIC Series 2001-45, Class WG
35,466     6.500     09/25/31   39,889
FNMA REMIC Series 2003-117, Class KB
1,921,250     6.000     12/25/33   2,265,483
FNMA REMIC Series 2003-14, Class AP
16,306     4.000     03/25/33   17,036
FNMA REMIC Series 2004-53, Class NC
113,649     5.500     07/25/24   118,557
FNMA REMIC Series 2015-2, Class PA
2,252,913     2.250     03/25/44   2,326,144
FNMA REMIC Series 2015-30, Class JA
1,699,669     2.000     05/25/45   1,755,858
FNMA REMIC Series 2016-16, Class PD
1,721,329     3.000     12/25/44   1,788,874
FNMA REMIC Series 2017-110, Class A
5,301,518     3.500     03/25/38   5,319,235
FNMA REMIC Series 2019-78, Class VD
1,643,000     3.000     01/25/40   1,693,957
FNMA Series 2003-W6, Class 3A
70,934     6.500     09/25/42   83,171
GNMA REMIC Series 2015-167, Class KM
174,190     3.000     12/20/43   184,444
GNMA REMIC Series 2015-94, Class AT
734,641     2.250     07/16/45   769,022
GNMA REMIC Series 2016-129, Class W
489,620     2.500     07/20/46   506,578
GNMA REMIC Series 2018-160, Class GE
262,605     4.500     01/20/47   266,101
GNMA REMIC Series 2018-37, Class KT
953,985     3.500     03/20/48   1,023,261
GSR Mortgage Loan Trust Series 2004-12, Class 1A1(d)
(1M USD LIBOR + 0.340%)
346,926     0.470     12/25/34   344,645
GSR Mortgage Loan Trust Series 2004-7, Class 1A1(d)(h)
73,127     3.071     06/25/34   73,235
Impac CMB Trust Series 2003-2F, Class A(g)
161,683     5.730     01/25/33   169,623
Impac CMB Trust Series 2004-4, Class 1A1(d)
(1M USD LIBOR + 0.640%)
386,971     0.770     09/25/34   374,168
Impac CMB Trust Series 2004-4, Class 2A2(g)
1,479,217     5.092     09/25/34   1,524,869
Impac Secured Assets Corp. Series 2004-2, Class A6(g)
4,029     4.507     08/25/34   4,076

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)
Collateralized Mortgage Obligations – (continued)
JPMorgan Alternative Loan Trust Series 2006-S1, Class 1A16
$     929,875     6.000   03/25/36   $         708,787
JPMorgan Mortgage Trust Series 2007-A2, Class 4A2(d)(h)
177,895     3.473     04/25/37   165,060
JPMorgan Mortgage Trust Series 2013-3, Class A3(c)(d)(h)
1,036,918     3.396     07/25/43   1,069,886
JPMorgan Mortgage Trust Series 2014-2, Class 1A1(c)(d)(h)
1,170,663     3.000     06/25/29   1,200,034
JPMorgan Mortgage Trust Series 2015-6, Class A5(c)(d)(h)
418,641     3.500     10/25/45   420,390
JPMorgan Mortgage Trust Series 2017-3, Class 1A3(c)(d)(h)
3,459,794     3.500     08/25/47   3,537,802
JPMorgan Mortgage Trust Series 2017-4, Class A3(c)(d)(h)
837,815     3.500     11/25/48   853,885
JPMorgan Mortgage Trust Series 2017-4, Class A5(c)(d)(h)
143,968     3.500     11/25/48   143,956
JPMorgan Mortgage Trust Series 2017-6, Class A3(c)(d)(h)
2,666,154     3.500     12/25/48   2,719,953
JPMorgan Mortgage Trust Series 2018-4, Class A5(c)(d)(h)
761,883     3.500     10/25/48   764,118
Master Adjustable Rate Mortgages Trust Series 2003-2,
Class 6A1(d)(h)
228,191     3.240     07/25/33   227,204
Master Alternative Loans Trust Series 2004-4, Class 1A1
76,222     5.500     05/25/34   79,030
Master Alternative Loans Trust Series 2004-4, Class 8A1
517,207     6.500     05/25/34   541,495
Master Alternative Loans Trust Series 2004-9, Class A6(g)
493     5.643     08/25/34   495
Mello Mortgage Capital Acceptance Series 2018-MTG1,
Class A1(c)(d)(h)
958,458     3.500     03/25/48   977,681
Morgan Stanley Dean Witter Capital I, Inc. Trust Series 2003-HYB1, Class A3(d)(h)
115,470     1.694     03/25/33   117,055
Morgan Stanley Mortgage Loan Trust Series 2005-7, Class 2A1(d)(h)
554,446     5.371     11/25/35   453,542
Morgan Stanley Mortgage Loan Trust Series 2007-12, Class 3A22
641,616     6.000     08/25/37   415,461
New Residential Mortgage Loan Trust Series 2017-6A,
Class A1(c)(d)(h)
3,857,434     4.000     08/27/57   4,146,068
NRP Mortgage Trust Series 2013-1, Class A23(c)(d)(h)
479,477     3.250     07/25/43   482,084
OBX Trust Series 2019-INV2, Class A5(c)(d)(h)
575,987     4.000     05/27/49   592,446
PHH Mortgage Pass-Through Certificates Series 2008-CIM1, Class 11A1(d)
(1M USD LIBOR + 2.250%)
75,006     2.394     05/25/38   77,028

 

 


COMMERCE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)
Collateralized Mortgage Obligations – (continued)
RBSGC Mortgage Pass-Through Certificates Series 2007-B, Class 2A1(d)(h)
$     213,107     4.435   11/25/21   $         176,336
RBSGC Mortgage Pass-Through Certificates Series 2007-B, Class 3A1(d)(h)
10,103     4.171     07/25/35   10,275
Residential Accredit Loans, Inc. Series 2005-QS11, Class A2(d)
(1M USD LIBOR + 0.500%)
145,239     0.630     07/25/35   107,651
Residential Asset Securitization Trust Series 2004-A6, Class A1
5,837     5.000     08/25/19   5,859
Residential Funding Mortgage Securities I, Inc. Series 2005-S7, Class A5
90,596     5.500     11/25/35   85,904
Seasoned Credit Risk Transfer Trust Series 2017-3, Class MA
3,321,987     3.000     07/25/56   3,551,148
Seasoned Loans Structured Transaction Series 2018-1, Class A2
1,245,000     3.500     06/25/28   1,345,915
Sequoia Mortgage Trust Series 2004-10, Class A1A(d)
(1M USD LIBOR + 0.620%)
253,123     0.751     11/20/34   247,717
Sequoia Mortgage Trust Series 2012-2, Class A3(d)(h)
378,061     3.500     04/25/42   384,994
Sequoia Mortgage Trust Series 2013-2, Class A1(d)(h)
1,194,667     1.874     02/25/43   1,206,478
Sequoia Mortgage Trust Series 2013-6, Class A1(d)(h)
2,436,907     2.500     05/25/43   2,497,921
Sequoia Mortgage Trust Series 2015-2, Class A10(c)(d)(h)
656,955     3.500     05/25/45   655,469
Sequoia Mortgage Trust Series 2015-3, Class A4(c)(d)(h)
97,460     3.500     07/25/45   97,454
Sequoia Mortgage Trust Series 2015-3, Class A5(c)(d)(h)
69,614     3.000     07/25/45   69,626
Sequoia Mortgage Trust Series 2015-4, Class A1(c)(d)(h)
1,163,161     3.000     11/25/30   1,193,208
Sequoia Mortgage Trust Series 2016-3, Class A1(c)(d)(h)
1,469,518     3.500     11/25/46   1,510,120
Sequoia Mortgage Trust Series 2017-1, Class A4(c)(d)(h)
1,875,166     3.500     02/25/47   1,888,129
Sequoia Mortgage Trust Series 2017-5, Class A1(c)(d)(h)
1,326,220     3.500     08/25/47   1,357,496
Sequoia Mortgage Trust Series 2017-6, Class A1(c)(d)(h)
3,402,687     3.500     09/25/47   3,482,924
Sequoia Mortgage Trust Series 2018-2, Class A1(c)(d)(h)
1,226,296     3.500     02/25/48   1,254,972
Shellpoint Co-Originator Trust Series 2017-2, Class A1(c)(d)(h)
2,736,888     3.500     10/25/47   2,790,400
Structured Adjustable Rate Mortgage Loan Trust Series 2004-14, Class 1A(d)(h)
395,840     2.725     10/25/34   412,531

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)
Collateralized Mortgage Obligations – (continued)
Structured Adjustable Rate Mortgage Loan Trust Series 2004-4, Class 3A4(d)(h)
$       71,765     2.608   04/25/34   $            72,398
Structured Asset Securities Corp. Series 2003-31A, Class 2A7(d)(h)
167,553     2.384     10/25/33   170,376
Structured Asset Securities Corp. Series 2003-34A, Class 3A3(d)(h)
195,103     2.853     11/25/33   198,083
Structured Asset Securities Corp. Series 2003-34A, Class 6A(d)(h)
161,054     2.652     11/25/33   156,085
WinWater Mortgage Loan Trust Series 2015-5, Class A3(c)(d)(h)
3,692,193     3.500     08/20/45   3,759,650
WinWater Mortgage Loan Trust Series 2016-1, Class 1A5(c)(d)(h)
2,054,794     3.500     01/20/46   2,096,504

 

TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS
(Cost $118,442,930)
  $   120,917,218

 

Commercial Mortgage Obligations – 0.6%
Commercial Mortgage Pass-Through Certificates Series 2014-CR14, Class A2
$     937,761     3.147   02/10/47   $         944,029
GNMA REMIC Series 2013-68, Class B(d)(h)
1,040,000     2.500     08/16/43   1,077,288
JPMBB Commercial Mortgage Securities Trust Series 2014-C19, Class A2
13,578     3.046     04/15/47   13,579
LSTAR Commercial Mortgage Trust Series 2016-4, Class A2(c)
2,653,826     2.579     03/10/49   2,712,850
Morgan Stanley Bank of America Merrill Lynch Trust Series 2015-C22, Class A2
2,958,552     2.739     04/15/48   2,957,821

 

TOTAL COMMERCIAL MORTGAGE OBLIGATIONS
(Cost $7,638,220)
  $      7,705,567

 

Federal Agencies – 1.1%
FHLMC
$       94,156     7.000   05/01/26   $         102,738
15,436     7.500     12/01/30   18,337
23,071     7.500     01/01/31   27,490
45,651     7.000     08/01/31   53,254
517,803     5.000     05/01/33   600,050
838,822     4.000     06/01/42   936,065
816,678     3.000     06/01/45   847,697
(1 Year CMT + 2.229%),
74,826     3.669 (d)    05/01/34   79,082
(12M USD LIBOR + 1.600%),
1,628,988     2.755 (d)    07/01/45   1,702,603

 

 


COMMERCE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)
Federal Agencies – (continued)
FHLMC – (continued)
(12M USD LIBOR + 1.841%),
$       75,703     2.268 %(d)    01/01/36   $            75,973
FNMA
9,520     9.000     02/01/25   9,693
683,759     2.500     05/01/28   718,133
3,892     8.000     07/01/28   3,924
612,040     4.500     01/01/48   648,364
(12M USD LIBOR + 1.587%),
414,402     2.702 (d)    12/01/45   430,403
(12M USD LIBOR + 1.740%),
57,081     2.240 (d)    10/01/34   57,117
(12M USD LIBOR + 1.760%),
64,028     3.161 (d)    02/01/35   64,193
(6M USD LIBOR + 1.413%),
16,668     2.288 (d)    02/01/33   16,731
GNMA
8,997     8.000     02/15/22   9,092
13,423     7.500     08/20/25   14,579
56,266     7.500     07/20/26   63,043
32,046     6.500     04/15/31   35,724
75,111     6.500     05/15/31   83,731
1,926,536     2.500     06/20/31   1,986,338
239,244     5.000     02/20/49   255,704
UMBS
6,197     6.500     03/01/26   6,965
15,110     6.500     10/01/28   16,984
9,943     7.500     09/01/29   10,068
25,608     7.000     03/01/31   28,985
4,490     7.500     03/01/31   5,089
15,141     7.000     11/01/31   15,795
27,138     7.000     01/01/32   27,694
68,008     6.000     12/01/32   76,648
1,604,600     3.500     08/01/35   1,738,253
2,942,088     5.000     08/01/48   3,317,073
     

 

      14,083,612

 

TOTAL MORTGAGE-BACKED OBLIGATIONS
(Cost $139,624,827)
  $142,706,397

 

Municipal Bond Obligations – 9.2%
Alaska(b) – 0.1%
Anchorage AK Certificate Participation (Taxable) Series A
$  1,290,000     2.765   07/01/22   $       1,331,706

 

California – 1.8%
Anaheim California Public Financing Authority Revenue Bonds Build America Bonds(b)
4,000,000     5.685     10/01/40   5,850,760
Beverly Hills CA Unified School District GO Bonds (Capital Appreciation) (Refunding) Series 2016(b)(i)
5,000,000     0.000     08/01/38   3,028,050

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
California – (continued)
California State Municipal Finance Authority Refunding Revenue Bonds (Taxable-Refunding-University Of San Diego) Series B
$  3,130,000     2.536   10/01/29   $       3,262,524
Foothill-De Anza CA Community College District GO Bonds (Taxable - Election of 2006) Series E(b)
1,730,000     3.223     08/01/38   1,952,980
Napa Valley Unified School District GO Bonds (Build America Bonds-Taxable) Series B(b)
3,000,000     6.507     08/01/43   4,517,790
Poway CA Unified School District GO Bonds (Taxable-Refunding-Improvement Date 2002-1) Series 2019
3,750,000     2.414     08/01/27   3,947,850
     

 

      22,559,954

 

Colorado – 0.1%
County of El Paso, Colorado Revenue Bonds (Taxable-Refunding) Series 2020 B
730,000     0.800     06/01/23   735,344

 

Connecticut – 0.3%
Connecticut State GO Bonds Unlimited (Taxable) Series A
3,500,000     3.743     09/15/25   4,009,915

 

Hawaii(b) – 0.2%
State of Hawaii GO Bonds Series 2020
2,960,000     0.571     10/01/23   2,981,756

 

Idaho(b) – 0.4%
Idaho Housing & Finance Association Economic Development Revenue Bonds Taxable (Facilities Project) Series 2011(c)
4,100,000     7.000     01/01/31   4,182,779
Idaho State Building Authority Revenue Bonds Taxable (Idaho Board of Education Project) Series A
1,500,000     3.120     09/01/24   1,645,095
     

 

      5,827,874

 

Illinois – 0.4%
Will County Elementary School District No 122 GO Bonds (Taxable-Refunding) Series A
2,750,000     2.111     10/01/27   2,844,820
Will County Forest Preservation District GO Bonds Build America Bonds Direct Payment Series 2009
1,000,000     5.700     12/15/27   1,227,960
Winnebago County IL GO Bonds Series 2018
1,035,000     3.900     12/30/25   1,154,770
     

 

      5,227,550

 

Indiana(b) – 0.1%
Indiana University Revenue Bonds (Taxable-Refunding) Series B
1,000,000     2.767     06/01/37   1,085,520

 

 


COMMERCE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Kentucky – 0.7%
Kentucky State Property & Buildings Commission Revenue Bonds (Taxable-Refunding) Series D
$  5,000,000     2.522   11/01/27   $       5,320,900
River City, Inc. KY Parking Authority Revenue Bonds (Refunding) Series B(b)
2,890,000     2.750     12/01/33   3,072,995
     

 

      8,393,895

 

Michigan – 0.6%
Cedar Springs MI Public School District GO Bonds (Taxable-Refunding) Series B (Q-SBLF)
1,800,000     2.035     05/01/21   1,807,992
Dearborn MI GO Bonds (Taxable) Series B
1,750,000     3.879     05/01/27   1,953,595
Fraser MI Public School District GO Bonds (Taxable-Refunding) Series 2019 (Q-SBLF)
2,150,000     2.380     05/01/29   2,293,448
Utica Community Schools GO Bonds (Taxable-Qualified School Construction-Direct Payment) (Q-SBLF)(b)
1,500,000     5.875     05/01/22   1,505,730
     

 

      7,560,765

 

Mississippi(b) – 0.4%
Mississippi Medical Center Educational Building Corp. Revenue Bonds (Taxable-Refunding-University) Series B
1,465,000     3.000     06/01/23   1,548,564
State of Mississippi GO (Taxable-Refunding-Bonds) Series 2020
3,000,000     1.282     11/01/28   3,036,450
     

 

      4,585,014

 

Missouri(b) – 0.5%
Curators University of Missouri System Facilities Revenue Bonds Build America Bonds
2,500,000     5.792     11/01/41   3,907,600
Missouri State Highways & Transit Commission State Road Revenue Bonds Build America Bonds Series 2010
2,800,000     4.820     05/01/23   3,075,268
     

 

      6,982,868

 

Nebraska – 0.3%
University of Nebraska Facilities Corp. Revenue Bonds (Taxable-Refunding) Series A
3,750,000     2.175     10/01/26   3,982,275

 

New Jersey(b) – 0.3%
Rutgers New Jersey State University Revenue Bonds (Taxable-Refunding) Series R
4,000,000     2.588     05/01/27   4,279,520

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
New York(b) – 0.6%
New York GO Build America Bonds Series 2010
$  2,000,000     4.908   06/01/21   $       2,030,800
1,055,000     5.008     06/01/22   1,121,254
New York State Thruway Authority Revenue Bonds (Taxable-Refunding) Series M
2,755,000     2.500     01/01/27   2,937,877
New York State Urban Development Corp. Revenue Bonds Series B
1,950,000     3.350     03/15/26   2,190,220
     

 

      8,280,151

 

Ohio – 0.8%
City of Cincinnati OH GO Bonds (Taxable-Refunding) Series A(b)
2,865,000     1.880     12/01/31   2,967,882
Kent OH State University Revenue Bonds (Taxable-Refunding)
Series B(b)
1,700,000     2.221     05/01/26   1,816,246
South-Western City OH School District Franklin & Pickaway Countries GO Bonds (CABS-Taxable-Refunding) Series C(i)
2,740,000     0.000     12/01/28   2,341,357
University of Cincinnati Revenue Bonds (Taxable-Refunding)
Series B
3,000,000     1.775     06/01/29   3,009,120
     

 

      10,134,605

 

Oregon – 0.2%
Oregon Education Districts Full Faith & Credit Pension Obligations GO Bonds (Taxable) Series 2018(b)
495,000     4.220     06/30/30   591,644
Portland OR Community College District GO Bonds Series 2018
1,250,000     3.970     06/01/27   1,483,125
     

 

      2,074,769

 

Pennsylvania(b) – 0.4%
County of Allegheny PA GO (Taxable-Refunding-Bonds) Series C-79
1,650,000     0.973     11/01/25   1,672,225
State Public School Building Authority Revenue Bonds (Qualified School Construction Bonds)
3,000,000     6.495     09/15/28   3,950,550
     

 

      5,622,775

 

Rhode Island – 0.2%
Rhode Island State Student Loan Authority Loan Revenue Bonds (Taxable) Series 1
2,000,000     2.530     12/01/25   2,076,940

 

Texas – 0.6%
Austin TX Community College District GO (Taxable-Refunding) Series 2020
2,120,000     5.000     08/01/23   2,361,892

 

 


COMMERCE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Texas – (continued)
City of Houston TX GO Bonds (Taxable-Refunding) Series B(b)
$  5,000,000     2.130   03/01/26   $       5,326,100
     

 

      7,687,992

 

Washington(b) – 0.2%
Seattle Municipal Light & Power Revenue Bonds Taxable Clean Renewable Energy Bonds Series C
2,000,000     3.750     06/01/33   2,333,460

 

TOTAL MUNICIPAL BOND OBLIGATIONS
(Cost $105,357,232)
  $   117,754,648

 

U.S. Treasury Obligations – 8.4%
United States Treasury Bonds
$  9,000,000     2.750   11/15/42   $     10,729,688
10,000,000     2.500     02/15/46   11,442,578
United States Treasury Inflation Indexed Bonds
5,386,550     0.375     01/15/27   6,057,905
8,061,760     0.750     02/15/42   10,155,403
United States Treasury Notes
6,000,000     1.750     09/30/22   6,162,422
1,000,000     2.125     12/31/22   1,038,086
5,000,000     1.375     08/31/23   5,157,031
12,500,000     0.125     09/15/23   12,488,769
2,500,000     0.250     11/15/23   2,505,664
5,000,000     2.250     01/31/24   5,307,227
10,000,000     2.125     03/31/24   10,602,344
6,000,000     2.875     05/31/25   6,651,094
8,000,000     1.500     08/15/26   8,417,812
10,000,000     2.250     02/15/27   10,969,531

 

TOTAL U.S. TREASURY OBLIGATIONS
(Cost $102,326,666)
  $   107,685,554

 

Shares   Dividend
Rate
  Value
Investment Company – 4.4%
State Street Institutional US Government Money Market Fund - Premier Class
56,344,227     0.030%   $     56,344,227
(Cost $56,344,227)  

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Agency Debentures – 2.5%
FFCB
$   2,860,000     5.190   04/22/21   $       2,892,887
FHLMC
10,000,000     0.250     11/06/23   10,009,706
FNMA
5,550,000     1.625     10/15/24   5,823,221
6,400,000     0.420 (b)    11/18/24   6,397,798
1,500,000     0.400 (b)    11/25/24   1,500,912
5,000,000     0.750     10/08/27   4,982,422

 

TOTAL AGENCY DEBENTURES
(Cost $31,301,790)
  $     31,606,946

 

TOTAL INVESTMENTS – 100.0%
(Cost $1,199,746,869)
  $1,282,296,312

 

LIABILITIES IN EXCESS OF
    OTHER ASSETS – 0.0%
  (257,658)

 

NET ASSETS – 100.0%   $1,282,038,654

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   All or portion represents a forward commitment.
(b)   Security with “Call” features with resetting interest rates.
(c)   Exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers in transactions exempt from registration.
(d)   Variable rate security. The interest rate shown reflects the rate as of January 31, 2021.
(e)   Securities with “Put” features with resetting interest rates. Maturity dates disclosed are the next interest reset dates.
(f)   Actual maturity date is September 15, 2115.
(g)   Step-up Bond. Coupon rate increases in increments to maturity. Rate disclosed is as of January 31, 2021. Maturity date disclosed is the ultimate maturity.
(h)   Rate shown is that which is in effect on January 31, 2021. Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions.
(i)   Security issued with a zero coupon. The actual effective yield of this security is different than the stated coupon due to the accretion of discount.

 

 

Investment Abbreviations:
ASA  

— Allmennaksjeselskap (Norwegian Public Company)

AG  

— Aktiengesellschaft (German Corporation)

FFCB  

— Federal Farm Credit Bank

CMT  

— Constant Maturity Treasury Indexes

FHLMC  

— Federal Home Loan Mortgage Corp.

FNMA  

— Federal National Mortgage Association

GNMA  

— Government National Mortgage Association

GO  

— General Obligation

LIBOR  

— London Interbank Offered Rate

LLC  

— Limited Liability Company

LP  

— Limited Partnership

NA  

— National Association

NV  

— Naamloze Vennootschap (Dutch Public Company)

PLC  

— Public Limited Company

Q-SBLF  

— Qualified School Bond Loan Fund

REMIC  

— Real Estate Mortgage Investment Conduit

SOFR  

— Secured Overnight Funding Rate

UMBS  

— Uniform Mortgage Backed Securities

 

 


COMMERCE SHORT-TERM GOVERNMENT FUND

 

Schedule of Investments

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – 55.4%
Collateralized Mortgage Obligations – 37.5%
Adjustable Rate Mortgage Trust Series 2004-5, Class 3A1(a)(b)
$              678     2.594   04/25/35   $              677
Banc of America Funding Corp. Series 2004-A, Class 1A3(a)(b)
3,177     2.809     09/20/34   3,209
Banc of America Mortgage Securities, Inc. Series 2003-J,
Class 2A1(a)(b)
79,455     2.613     11/25/33   77,318
Bear Stearns Adjustable Rate Mortgage Trust Series 2004-9,
Class 24A1(a)(b)
32,985     3.342     11/25/34   32,279
Bunker Hill Loan Depositary Trust Series 2020-1, Class A1(a)(b)(c)
508,998     1.724     02/25/55   516,666
Citigroup Mortgage Loan Trust, Inc. Series 2004-HYB3,
Class A1(a)(b)
19,943     3.063     09/25/34   19,754
Fannie Mae Grantor Trust Series 2011-T2, Class A1
599,422     2.500     08/25/51   604,869
FHLMC REMIC Series 3753, Class AS
529,106     3.500     11/15/25   556,351
FHLMC REMIC Series 3786, Class HL
187,189     3.500     03/15/38   189,599
FHLMC REMIC Series 4636, Class EA
340,665     3.000     03/15/41   344,111
FHLMC REMIC PAC Series 2022, Class PE
8,381     6.500     01/15/28   9,445
FHLMC REMIC PAC Series 2109, Class PE
20,193     6.000     12/15/28   22,993
FHLMC REMIC PAC Series 23, Class PK
25,796     6.000     11/25/23   27,247
FHLMC REMIC PAC Series 4689, Class HA
182,171     3.500     06/15/43   184,487
FHLMC REMIC PAC Series 4974, Class AD
14,612     2.000     09/25/39   14,605
FHLMC REMIC Series 2010-109, Class M
578,504     3.000     09/25/40   613,774
FHLMC REMIC Series 2012-112, Class AP
270,469     2.000     09/25/40   272,849
FHLMC REMIC Series 3816, Class HA
1,193,994     3.500     11/15/25   1,263,397
FHLMC REMIC Series 4467, Class DA
15,382     3.000     11/15/41   15,387
FHLMC REMIC Series 4640, Class LD
214,896     4.000     09/15/43   219,932
FHLMC REMIC Series 4713, Class DV
478,762     3.500     11/15/28   487,198
FHLMC REMIC Series 4776, Class C
8,203     4.500     03/15/43   8,199
FHLMC REMIC Series 4879, Class A
108,010     4.000     10/15/46   109,242
FHLMC REMIC Series 5005, Class CA
768,255     2.000     04/25/41   778,655
FNMA REMIC PAC Series 1992-129, Class L
4,700     6.000     07/25/22   4,795
FNMA REMIC PAC Series 1992-89, Class MA(d)
785     0.000     06/25/22   783
FNMA REMIC Series 1991-137, Class H
1,288     7.000     10/25/21   1,302

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)
Collateralized Mortgage Obligations – (continued)
FNMA REMIC Series 1993-182, Class FA(a)
(10 Year CMT - 0.650%)
$           1,957     0.480   09/25/23   $           1,955
FNMA REMIC Series 2003-117, Class KB
356,072     6.000     12/25/33   419,870
FNMA REMIC Series 2003-14, Class AP
21,924     4.000     03/25/33   22,905
FNMA REMIC Series 2011-146, Class NB
256,121     4.000     09/25/41   267,993
FNMA REMIC Series 2012-100, Class WA
450,095     1.500     09/25/27   457,688
FNMA REMIC Series 2012-110, Class CA
407,737     3.000     10/25/42   435,375
FNMA REMIC Series 2012-118, Class EB
469,295     1.500     11/25/27   478,939
FNMA REMIC Series 2013-112, Class G
374,960     2.125     07/25/40   384,318
FNMA REMIC Series 2013-135, Class GA
735,551     3.000     07/25/32   764,756
FNMA REMIC Series 2013-74, Class YA
519,896     3.000     05/25/42   532,129
FNMA REMIC Series 2015-15, Class CA
677,068     3.500     04/25/35   739,697
FNMA REMIC Series 2015-19, Class CA
433,990     3.500     01/25/43   455,479
FNMA REMIC Series 2015-2, Class PA
350,333     2.250     03/25/44   361,721
FNMA REMIC Series 2016-104, Class BA
410,661     3.000     01/25/47   442,639
FNMA REMIC Series 2016-24, Class TA
305,514     3.000     04/25/42   311,589
FNMA REMIC Series 2016-53, Class BV
665,267     3.500     11/25/27   716,027
FNMA REMIC Series 2016-96, Class A
465,292     1.750     12/25/46   474,438
FNMA REMIC Series 2017-46, Class EA
448,609     3.500     12/25/50   463,356
FNMA REMIC Series 2017-51, Class EA
222,787     3.000     11/25/42   226,330
FNMA REMIC Series 2017-7, Class JA
320,817     2.000     02/25/47   325,601
FNMA REMIC Series 2019-10, Class PT
463,108     3.500     03/25/49   502,817
FNMA REMIC Series 2019-68, Class B
618,772     3.000     11/25/49   653,408
FNMA REMIC Series 2020-35, Class MA
642,402     2.000     12/25/43   654,146
FNMA REMIC Series 2020-56, Class AH
1,375,689     2.000     05/25/45   1,405,445
GNMA REMIC Series 2009-65, Class AF
30,798     4.000     07/20/39   32,132
GNMA REMIC Series 2010-14, Class PA
12,055     3.000     02/20/40   12,441
GNMA REMIC Series 2012-13, Class EG
741,548     2.000     10/20/40   756,894
GNMA REMIC Series 2013-188, Class LE
810,456     2.500     11/16/43   850,229

 

 


COMMERCE SHORT-TERM GOVERNMENT FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)
Collateralized Mortgage Obligations – (continued)
GNMA REMIC Series 2014-131, Class DM
$   213,596     3.000   02/20/44   $       222,355
GNMA REMIC Series 2015-65, Class BD
422,935     2.250     05/20/45   443,508
GNMA REMIC Series 2015-94, Class AT
328,190     2.250     07/16/45   343,549
GNMA REMIC Series 2019-21, Class MA
568,066     3.500     09/20/47   613,103
GSR Mortgage Loan Trust Series 2003-6F, Class A1
957     3.000     09/25/32   956
GSR Mortgage Loan Trust Series 2005-AR3, Class 2A1(a)
(1M USD LIBOR + 0.440%)
40,977     0.570     05/25/35   38,061
GSR Mortgage Loan Trust Series 2006-AR1, Class 2A4(a)(b)
262,738     2.987     01/25/36   265,444
Impac CMB Trust Series 2003-2F, Class A(e)
100,090     5.730     01/25/33   105,005
Impac CMB Trust Series 2003-8, Class 2A1(a)
(1M USD LIBOR + 0.900%)
4,779     1.030     10/25/33   4,790
Impac CMB Trust Series 2004-7, Class 1A1(a)
(1M USD LIBOR + 0.740%)
43,234     0.870     11/25/34   43,857
Impac CMB Trust Series 2005-2, Class 2A2(a)
(1M USD LIBOR + 0.800%)
49,381     0.930     04/25/35   47,930
Impac Secured Assets Corp. Series 2006-1, Class 2A1(a)
(1M USD LIBOR + 0.350%)
314,410     0.480     05/25/36   313,010
IndyMac Index Mortgage Loan Trust Series 2004-AR6,
Class 6A1(a)(b)
41,855     2.972     10/25/34   41,185
JPMorgan Mortgage Trust Series 2016-4, Class A3(a)(b)(c)
308,850     3.500     10/25/46   314,094
JPMorgan Mortgage Trust Series 2018-4, Class A5(a)(b)(c)
37,332     3.500     10/25/48   37,442
Lehman XS Trust Series 2005-7N, Class 1A1A(a)
(1M USD LIBOR + 0.540%)
91,687     0.670     12/25/35   89,455
Master Adjustable Rate Mortgages Trust Series 2004-13,
Class 2A1(a)(b)
47,933     2.996     04/21/34   48,425
Master Alternative Loans Trust Series 2004-9, Class A6(e)
105     5.643     08/25/34   105
MortgageIT Trust Series 2005-1, Class 1A1(a)
(1M USD LIBOR + 0.640%)
316,594     0.770     02/25/35   324,254
MortgageIT Trust Series 2005-1, Class 1A2(a)
(1M USD LIBOR + 0.780%)
272,317     0.910     02/25/35   278,395
Residential Accredit Loans, Inc. Series 2004-QA4, Class NB21(a)(b)
14,187     3.240     09/25/34   14,496
Securitized Asset Sales, Inc. Series 1993-7, Class TA6
472     6.250     12/25/23   471
Sequoia Mortgage Trust Series 10, Class 1A(a)
(1M USD LIBOR + 0.800%)
18,070     0.931     10/20/27   18,168

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)
Collateralized Mortgage Obligations – (continued)
Sequoia Mortgage Trust Series 2003-2, Class A1(a)
(1M USD LIBOR + 0.660%)
$     34,494     0.791   06/20/33   $       34,098
Sequoia Mortgage Trust Series 2013-1, Class 2A1(a)(b)
637,724     1.855     02/25/43   639,532
Sequoia Mortgage Trust Series 2017-1, Class A4(a)(b)(c)
57,571     3.500     02/25/47   57,969
Structured Asset Securities Corp. Series 2003-31A, Class 2A7(a)(b)
152,000     2.384     10/25/33   154,561
Vendee Mortgage Trust Series 1996-2, Class 1Z
38,179     6.750     06/15/26   42,932

 

TOTAL COLLATERALIZED MORTGAGE
OBLIGATIONS
(Cost $23,191,283)   $24,066,590

 

Commercial Mortgage Obligations – 0.5%
GNMA REMIC Series 2010-141, Class B
$   192,289     2.717   02/16/44   $     195,123
GNMA REMIC Series 2014-47, Class BC
136,457     3.574     06/16/45   137,669

 

TOTAL COMMERCIAL MORTGAGE
OBLIGATIONS
(Cost $327,724)   $     332,792

 

Federal Agencies – 17.4%
FHLMC
$       3,670     6.000   10/01/23   $         4,122
16,417     5.000     05/01/27   18,145
208,881     2.500     04/01/28   219,410
1,000,000     1.000     12/25/50   1,001,563
(12M USD LIBOR + 1.593%),
330,905     2.634 (a)    07/01/46   343,063
(12M USD LIBOR + 1.600%),
328,838     2.755 (a)    07/01/45   343,698
FNMA
672,302     3.500     10/01/26   708,610
372,746     3.500     12/01/27   397,628
358,254     2.500     03/01/28   376,255
729,565     2.500     05/01/28   766,227
444,173     2.500     07/01/28   462,108
388,753     3.000     09/01/28   407,706
268,712     2.500     01/01/30   278,312
299,928     3.500     10/01/32   325,119
469,130     3.000     08/01/33   488,547
(12M USD LIBOR + 1.587%),
210,891     2.702 (a)    12/01/45   219,034
(12M USD LIBOR + 1.740%),
26,616     2.240 (a)    10/01/34   26,633
GNMA,
(1 Year CMT + 1.500%)
55     3.125 (a)    11/20/24   57
138     3.125 (a)    12/20/24   139
3,022     2.875 (a)    04/20/26   3,071
1,915     2.250 (a)    08/20/26   1,937
3,550     3.000 (a)    01/20/28   3,672
UMBS
428,509     3.000     11/01/26   452,919
372,123     3.000     12/01/26   393,478
699,640     2.500     01/01/28   736,280
4,588     7.000     11/01/31   4,786
405,917     5.000     02/01/32   455,849
96,293     6.000     07/01/33   108,719
638,612     3.500     07/01/34   691,035

 

 


COMMERCE SHORT-TERM GOVERNMENT FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)
Federal Agencies – (continued)
UMBS (continued)
$1,422,600     2.500   07/01/35   $  1,495,664
368,874     3.500     08/01/35   399,598
     

 

TOTAL FEDERAL AGENCIES
(Cost $10,909,248)   $11,133,384

 

TOTAL MORTGAGE-BACKED OBLIGATIONS
(Cost $34,428,255)   $35,532,766

 

U.S. Treasury Obligations – 28.6%
United States Treasury Bill(d)
$2,500,000     0.000   04/22/21   $  2,499,667
United States Treasury Inflation Indexed Notes
1,123,563     0.125     04/15/22   1,152,574
1,047,680     0.625     04/15/23   1,109,613
1,115,300     0.625     01/15/24   1,205,512
United States Treasury Notes
1,500,000     1.375     10/15/22   1,531,875
1,000,000     2.250     11/15/24   1,073,984
1,000,000     1.500     11/30/24   1,045,898
1,750,000     2.125     11/30/24   1,872,090
500,000     1.125     02/28/25   516,211
1,000,000     0.375     04/30/25   1,001,367
1,000,000     0.250     05/31/25   995,586
1,275,000     0.250     06/30/25   1,268,575
1,000,000     2.875     07/31/25   1,111,602
1,000,000     0.250     09/30/25   993,047
United States Treasury Note/Bond-When issued
1,000,000     0.125     01/15/24   998,281

 

TOTAL U.S. TREASURY OBLIGATIONS
(Cost $18,159,765)   $18,375,882

 

U.S. Government Agency Obligations – 14.6%
FHLB
$   600,000     3.000   12/09/22   $     632,597
1,775,000     0.500     04/14/25   1,785,872
FHLMC
1,000,000     0.250     06/08/22   1,002,480
1,000,000     0.375     07/21/25   997,582
1,000,000     0.375     09/23/25   995,657
FNMA
900,000     2.075 (f)    02/28/22   919,312
500,000     2.000     10/05/22   515,666
1,000,000     0.625     04/22/25   1,009,734
1,500,000     0.500     06/17/25   1,504,922

 

TOTAL U.S. GOVERNMENT AGENCY
OBLIGATIONS
(Cost $9,279,494)   $  9,363,822

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Asset-Backed Securities(a) – 1.6%
Home Equity – 0.9%
Morgan Stanley Capital, Inc. Series 2002-HE3, Class A2
(1M USD LIBOR + 1.080%)
$   301,327     1.210   03/25/33   $     298,073

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Asset-Backed Securities(a) – (continued)
Home Equity – (continued)
Terwin Mortgage Trust Series 2004-7HE, Class A3(c)
(1M USD LIBOR + 1.400%)
$   204,655     1.530   07/25/34   $     204,090
Terwin Mortgage Trust Series 2004-9HE, Class A1(c)
(1M USD LIBOR + 0.800%)
75,392     0.930     09/25/34   74,249
     

 

      576,412

 

Other — 0.7%
Countrywide Asset-Backed Certificates Series 2004-6, Class 2A4
(1M USD LIBOR + 0.900%)
170,907     1.030     11/25/34   166,941
Towd Point Mortgage Trust Series 2016-3, Class A1(b)(c)(f)
277,629     2.250     04/25/56   279,195
     

 

      446,136

 

TOTAL ASSET-BACKED SECURITIES
(Cost $961,578)   $  1,022,548

 

Agency Debenture – 1.2%
FNMA
$   750,000     1.625   10/15/24   $     786,921

 

TOTAL AGENCY DEBENTURE
(Cost $748,717)   $     786,921

 

TOTAL INVESTMENTS – 101.4%
(Cost $63,577,809)   $65,081,939

 

LIABILITIES IN EXCESS OF
OTHER ASSETS – (1.4)%

  (870,653)

 

NET ASSETS – 100.0%

  $64,211,286

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Variable rate security. The interest rate shown reflects the rate as of October 31, 2020.
(b)   Rate shown is that which is in effect on January 31, 2021. Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions.
(c)   Exempt from registration under Rule 144A of the Securities Act 1933. Such securities may be resold, normally to qualified institutional buyers in transactions exempt from registration.
(d)   Security issued with a zero coupon. The actual effective yield of this security is different than the stated coupon due to the accretion of discount.
(e)   Step-up Bond. Coupon rate increases in increments to maturity. Rate disclosed is as of January 31, 2021. Maturity date disclosed is the ultimate maturity.
(f)  

Security with “Call” features with resetting interest rates.

 

 

 


COMMERCE SHORT-TERM GOVERNMENT FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

 

Investment Abbreviations:
FHLB  

— Federal Home Loan Bank

FHLMC  

— Federal Home Loan Mortgage Corp.

FNMA  

— Federal National Mortgage Association

GNMA  

— Government National Mortgage Association

LIBOR  

— London Interbank Offered Rate

PAC  

— Planned Amortization Class

UMBS  

— Uniform Mortgage-Backed Securities

REMIC  

— Real Estate Mortgage Investment Conduit

 

 


COMMERCE NATIONAL TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – 90.7%
Alabama – 0.9%
Millbrook AL GO Bonds (Refunding) Series 2019 (AA-/NR)
$  1,625,000     5.000   09/01/25   $    1,957,231
1,705,000     5.000     09/01/26   2,119,980
     

 

      4,077,211

 

Alaska – 1.1%
Alaska State Housing Finance Corp. Revenue Bonds (Refunding) Series A (AA+/Aa2)(a)
1,000,000     5.000     12/01/29   1,236,640
Alaska State Municipal Bond Bank Authority Revenue Bonds (Master Resolution) Series A (A+/NR)
1,000,000     4.000     10/01/24   1,119,030
1,000,000     5.000     10/01/25   1,192,680
1,000,000     5.000 (a)    10/01/28   1,246,980
Alaska State Municipal Bond Bank Authority Revenue Bonds Series B (AMT) (A+/NR)(a)
450,000     5.000     03/01/27   525,987
     

 

      5,321,317

 

Arizona – 2.0%
Arizona Industrial Development Authority Revenue Bonds Series 2020 (NR/Aa2)
1,650,000     5.000     02/01/31   2,259,065
1,000,000     5.000     05/01/31   1,375,970
Goodyear Community Facilities Utilities District No 1 GO Bonds (Refunding) Series 2016 (A-/A1)(a)
880,000     4.000     07/15/32   999,935
McAllister Academic Village LLC AZ Revenue Bonds (Arizona State University) (Refunding) Series 2016 (AA-/Aa3)(a)
1,000,000     5.000     07/01/27   1,235,910
Pima County AZ Regional Transportation Excise Tax Revenue Bonds (Pima County Regional Transportation Fund) (AA+/NR)
1,000,000     5.000     06/01/22   1,064,580
1,000,000     5.000     06/01/23   1,112,410
Yuma AZ Municipal Property Corp. Excise Tax Revenue Bonds (Refunding-Senior Lien) Series 2015 (AA-/A1)(a)
1,050,000     4.000     07/01/26   1,213,023
     

 

      9,260,893

 

Arkansas – 1.8%
Arkansas State Development Finance Authority State Agency Facilities Revenue Bonds (Department of Community Correction Project) Series 2018 (AA-/NR)(a)
1,095,000     4.000     11/01/34   1,298,889
1,000,000     4.000     11/01/35   1,182,870
Arkansas State Development Finance Authority State Agency Facilities Revenue Bonds (Department of Community Correction Project) Series 2018 (NR/NR)(a)
980,000     4.000     11/01/31   1,180,390
City of Benton AR Public Utilities Revenue Bonds (Taxable-Refunding) Series 2020 (NR/A1)
375,000     1.950     09/01/23   386,981
650,000     2.050     09/01/24   678,236
500,000     2.280     09/01/26   529,850
250,000     2.400 (a)    09/01/27   265,410
Fort Smith AR Water & Sewer Revenue Bonds (Refunding) Series 2018 (NR/NR)(a)
500,000     5.000     10/01/31   642,950
National Park AR Community College District GO Bonds (Refunding) Series 2018 (A+/NR)(a)
645,000     4.000     03/01/30   736,113
500,000     4.000     03/01/36   559,195

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Arkansas – (continued)
National Park AR Community College District GO Bonds (Refunding) Series 2018 (NR/NR)(a)
$     635,000     4.000   03/01/32   $       717,436
     

 

      8,178,320

 

California – 0.9%
Corona-Norca CA Unified School District GO Bonds Series E (AA-/Aa3)
450,000     5.400     08/01/26   556,425
San Francisco City & County Airports Commission Revenue Bonds Refunding Second Series H (AMT) (A/A1)
2,000,000     5.000     05/01/21   2,023,200
State of California (AA-/Aa2)(a)
1,395,000     5.000     10/01/27   1,538,490
University of California CA Revenue Bonds (Unrefunded-General) Series Q (AA/NR)(a)
235,000     5.250     05/15/22   235,973
     

 

      4,354,088

 

Colorado – 2.1%
Colorado State Board for Community Colleges & Occupational Educational System Revenue Bonds (Refunding-Arapahoe Community College - Castle Rock Collaboration Campus) Series A (NR/Aa3)(a)
450,000     4.000     11/01/31   531,261
850,000     4.000     11/01/32   998,537
Colorado State Health Facilities Authority Revenue Bonds Series A (A+/NR)
1,000,000     5.000     11/01/23   1,128,040
Colorado State Housing & Finance Authority Revenue Bonds (Taxable) Series C-1 (GNMA) (AAA/Aaa)
310,000     2.025     05/01/24   321,526
280,000     2.075     11/01/24   291,612
250,000     2.125     05/01/25   261,028
250,000     2.175     11/01/25   261,400
300,000     2.336     05/01/26   315,642
350,000     2.386     11/01/26   368,189
470,000     2.436     05/01/27   494,839
470,000     2.466     11/01/27   494,158
590,000     2.539     05/01/28   621,488
545,000     2.589     11/01/28   574,027
Colorado State School of Mines Institutional Enterprise (Refunding) Series 2018-A (NR/A1)(a)(b)(c)
2,460,000     0.596     02/01/23   2,454,342
Denver City & County School District No. 1 GO Bonds Series 2021 (AA+/Aa1)(a)
500,000     3.000     12/01/36   580,635
     

 

      9,696,724

 

Connecticut – 1.9%
Connecticut State Health & Educational Facilities Authority Revenue Bonds (Connecticut State University System) Series 2019 (AA/A1)(a)
1,115,000     3.125     11/01/38   1,221,538
Connecticut State Health & Educational Facilities Authority Revenue Bonds (Refunding Fairfield University) Series S (A-/A3)
1,000,000     5.000     07/01/28   1,288,830
1,000,000     5.000 (a)    07/01/29   1,280,140
Connecticut State Higher Education Supplement Loan Authority Revenue Bonds (Chesla Loan Program) Series A (AMT) (NR/A1)(a)
750,000     3.250     11/15/24   790,747
1,115,000     3.750     11/15/27   1,184,409

 

 


COMMERCE NATIONAL TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Connecticut – (continued)
Connecticut State Housing Finance Authority Housing Finance Mortgage Program Revenue Bonds (Taxable Refunding) Series A-4 (AAA/Aaa)
$     770,000     1.810   05/15/24   $       794,270
330,000     1.860     11/15/24   339,016
530,000     1.900     05/15/25   545,100
765,000     1.950     11/15/25   787,254
500,000     2.090     05/15/26   516,965
     

 

      8,748,269

 

Florida – 2.8%
County of Broward FL Airport System Revenue Bonds Series A (AMT) (A/A1)(a)
2,755,000     5.000     10/01/36   3,498,823
County of Broward FL Port Facilities Revenue Bond (Refunding) Series A (A/A1)
870,000     5.000     09/01/24   995,384
County of Broward FL Port Facilities Revenue Bond Series A (A/A1)
620,000     5.000     09/01/28   788,572
Florida State Housing Finance Corp. Revenue Bonds Series 1 (GNMA/FNMA/FHLMC) (NR/Aaa)
860,000     2.000     07/01/27   916,708
795,000     2.050     01/01/28   853,154
825,000     2.100     07/01/28   889,367
840,000     2.125 (a)    01/01/29   903,899
Jupiter County FL (Community Center Project) GO Bonds Series 2001 (AAA/Aaa)
20,000     5.500     07/01/21   20,428
Lake County FL School Board Certificates of Participation (Refunding-Master Lease Program) Series A (A/NR)(a)
725,000     5.000     06/01/24   799,327
Miami-Dade County FL Educational Facilities Authority Revenue Bonds (Refunding-University of Miami) Series B (AMBAC) (A-/A3)(a)
685,000     5.250     04/01/21   690,110
Orange County FL Tourist Development Tax Revenue Bonds (Refunding) Series 2010 (AA-/NR)
2,000,000     5.000     10/01/23   2,247,900
Seminole County FL School Board Certificates of Participation Series B (AA-/Aa3)(a)
500,000     5.000     07/01/24   532,120
     

 

      13,135,792

 

Georgia – 0.3%
Cherokee County GA Water & Sewer Authority Revenue Bonds (Refunding & Improvement) Series 1993 (NPFG) (NR/Aa1)
35,000     5.500     08/01/23   37,467
Fulton County GA Development Authority Revenue Bonds (Refunding-Robert W Woodruff Arts Center, Inc.) Series A (NR/A2)
1,000,000     5.000     03/15/26   1,147,410
     

 

      1,184,877

 

Illinois – 10.9%
Champaign County IL Community Unit School District No. 4 GO Bonds (Refunding) Series 2019 (AA/Aa2)
630,000     4.000     06/01/28   766,899
Cook County IL School District No. 111 Burbank GO Bonds (Refunding) Series 2018 (A+/NR)(a)
1,500,000     4.000     12/01/37   1,695,810

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Illinois – (continued)
Cook County IL School District No. 63 East Maine GO Bonds (Refunding) Series 2019 (NR/Aa2)(a)
$  1,460,000     4.000   12/01/34   $    1,696,870
Cook County IL Township High School District No. 208 Riverside-Brookfield GO Bonds (Refunding) Series B (AA+/NR)
1,090,000     5.000     12/15/25   1,315,129
Countryside IL GO Bonds (Taxable-Refunding) Series 2014 (NR/Aa2)
500,000     3.300     01/01/24   540,715
DeKalb, Kane & Lasalle Counties Community College District No. 523 GO Bonds Series A (AA-/NR)(a)(d)
400,000     5.000     02/01/21   400,000
Du Page & Cook County Community School District No. 181 GO Bonds (School Building) Series 2017 (AAA/Aaa)(a)
2,220,000     4.000     01/15/30   2,634,851
Du Page & Will County Community School District No. 204 Indian Prairie (Refunding) Series 2016 (NR/Aa1)
5,000,000     2.000     12/30/22   5,169,650
Elk Grove Village GO Bonds Series 2017 (AA+/NR)
530,000     3.000     01/01/24   568,298
550,000     3.000     01/01/25   602,520
1,140,000     5.000     01/01/26   1,385,499
525,000     5.000 (a)    01/01/28   662,356
Hoffman Estates IL GO Bonds (Taxable-Refunding) Series A (AA+/Aa3)(a)
1,200,000     4.200     12/01/25   1,321,236
Illinois Finance Authority Revenue Bonds (Refunding-OSF Healthcare System) Series A (A/A3)(a)
1,000,000     4.000     11/15/33   1,107,360
Illinois Finance Authority Revenue Bonds (Rush University Medical Center Obligated Group) Series A (A+/A1)
500,000     5.000     11/15/24   583,920
Kane County IL Forest Preservation District GO Bonds Series A (AA+/NR)(a)
1,695,000     3.000     12/15/26   1,899,671
Kendall Kane & Will Counties IL Community Unit School District No. 308 GO Bonds (Refunding) Series 2016 (NR/A2)
1,115,000     5.000     02/01/24   1,250,562
1,000,000     5.000     02/01/25   1,160,010
Lake County IL Community Consolidated School District No. 46 Grayslake GO Bonds (Refunding) Series 2015 (AA+/NR)
1,000,000     5.000     11/01/23   1,122,470
Lake County IL Community Consolidated School District No. 73 Hawthorn GO Bonds (Refunding) Series B (AA+/NR)(a)
2,450,000     4.000     01/01/33   2,850,844
Mount Prospect IL GO Bonds (Refunding) Series A (AA+/NR)(a)
1,000,000     3.000     12/01/28   1,097,690
Peoria IL GO Bonds (Refunding) Series B (A+/A2)
1,205,000     5.000     01/01/24   1,340,165
Rolling Meadows IL GO Bonds Series 2019 (AA+/NR)(a)
495,000     4.000     12/15/34   585,966
515,000     4.000     12/15/35   607,000
535,000     4.000     12/15/36   629,010
555,000     4.000     12/15/37   650,399
580,000     4.000     12/15/38   678,478
600,000     4.000     12/15/39   700,560
Round Lake IL GO Bonds (Refunding) Series 2019 (NR/Aa2)
815,000     4.000     01/01/24   896,687
765,000     4.000     01/01/25   865,728

 

 


COMMERCE NATIONAL TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Illinois – (continued)
Saint Clair County IL High School District No. 203 O’Fallon GO Bonds (Refunding) Series 2017 (NR/Aa2)
$     845,000     4.000   12/01/23   $       928,089
685,000     4.000     12/01/24   774,208
735,000     4.000     12/01/25   853,070
Will County IL Community Unit School District No. 365 Valley View GO Bonds (Prerefunded-Capital Appreciation) Series 2003 (AGM) (AA/Aa2)(e)
4,770,000     0.000     11/01/23   4,737,373
Winnebago County IL GO Bonds (Refunding) Series C (NR/Aa2)
765,000     5.000     12/30/25   925,933
905,000     5.000     12/30/28   1,195,387
960,000     5.000     12/30/29   1,279,219
Woodford Lasalle Livingston Etc. Counties Community Unit School District GO Bonds Series A (AA/NR)(a)
650,000     4.000     12/01/30   783,536
700,000     4.000     12/01/31   835,247
700,000     4.000     12/01/32   831,887
725,000     4.000     12/01/33   859,285
     

 

      50,789,587

 

Indiana – 4.7%
Carmel IN Local Public Improvement Bank Revenue Bonds Series B-1 (AA/NR)(a)
1,810,000     4.000     01/15/34   2,101,138
Carmel IN Local Public Improvement Bond Bank Revenue Bonds Series B-1 (AA/NR)(a)
1,000,000     4.000     01/15/35   1,158,780
Decatur Township IN Multi-School Building Corp. Revenue Bonds (Refunding-First Mortgage) (Multi Purpose) Series 2015 (AA+/NR)
2,315,000     5.000     07/15/23   2,580,183
Eastern Pulaski IN Multi-School Building Corp. Revenue Bonds (First Mortgage) Series 2015 (AA+/NR)(a)
840,000     4.000     07/15/28   909,880
Greater Clark In Building Corp. Revenue bonds (1st Mortgage) Series 2018 (AA+/NR)(a)
1,000,000     4.000     07/15/32   1,206,520
Indiana Finance Authority Revenue Bonds (Educational Facilities-Butler University Project) Series A (A-/NR)(a)
540,000     5.000     02/01/25   597,802
425,000     5.000     02/01/27   469,855
700,000     5.000     02/01/28   771,470
600,000     5.000     02/01/29   659,394
Indiana State Finance Authority Revenue Bond (Refunding-Educational Facilities-Indianapolis Museum of Art) Series B (NR/A2)(a)
815,000     5.000     02/01/28   879,418
Indiana State University Revenue Bonds (Build America Bonds) (NR/A1)(a)
530,000     5.310     04/01/25   531,314
Lake Central Multi-District School Building Corp. Revenue Bonds (Refunding-First Mortgage) Series B (AA+/NR)
1,000,000     5.000     07/15/24   1,146,150
Plainfield IN High School Building Corp. Revenue Bonds (Refunding-First Mortgage) Series 2014 (AA+/NR)(a)
1,000,000     4.000     01/15/26   1,122,470
Portage IN Redevelopment Authority Lease Rent Revenue Bonds Series 2015 (A/NR)(a)
1,665,000     4.000     08/01/30   1,855,642

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Indiana – (continued)
St. Joseph County IN Economic Development Revenue Bonds (Refunding Saint Marys College) Series 2017 (A-/NR)
$    1,500,000     5.000   04/01/27   $    1,833,570
Vinton-Tecumseh IN School Building Corporation Revenue Bonds (First Mortgage) Series A (AA+/NR)(a)
625,000     5.000     07/15/30   780,687
500,000     5.000     07/15/31   621,280
500,000     5.000     07/15/32   617,790
Westfield High School 1995 Building Corp. Revenue Bonds (1st Mortgage) Series B (AA+/NR)(a)
1,000,000     5.000     01/15/31   1,201,720
750,000     5.000     07/15/31   900,795
     

 

      21,945,858

 

Iowa(a) – 1.8%
Iowa State Finance Authority Single Family Revenue Bonds Series B (GNMA/FNMA/FHLMC) (NR/NR)(b)(c)
5,000,000     0.040     07/01/47   5,000,000
Iowa State University of Science And Technology Athletic Facilities Revenue Bonds Series 2020 (NR/Aa3)
2,825,000     3.000     07/01/31   3,201,064
     

 

      8,201,064

 

Kansas(a) – 1.7%
Geary County KS Unified School District No. 475 GO Bonds Series A (NR/Aa2)
700,000     4.000     09/01/33   796,278
700,000     4.000     09/01/34   795,634
Lawrence KS Hospital Revenue Bonds (Refunding) (Lawrence Memorial Hospital) Series A (A/NR)
1,500,000     4.000     07/01/36   1,728,960
Scott County KS Unified School District No. 466 GO Bonds Series A (NR/A2)
1,015,000     5.000     09/01/30   1,204,277
910,000     5.000     09/01/34   1,066,102
Wichita KS Sales Tax Special Obligation Revenue Bonds (River District Stadium Star Bond Project) Series 2018 (NR/A1)
1,000,000     5.000     09/01/30   1,224,050
1,000,000     5.000     09/01/31   1,216,130
     

 

      8,031,431

 

Kentucky – 2.6%
Barren County KY School District Finance Corp. Revenue Bonds (Refunding) Series 2015 (NR/A1)(a)
1,000,000     5.000     08/01/26   1,169,910
Kentucky State Property & Building Commission Revenue Bonds (Project No. 112) Series B (A-/A1)(a)
400,000     5.000     11/01/27   490,756
Kentucky State Property & Building Commission Revenue Bonds (Project No. 117) Series B (NR/A1)
1,000,000     5.000     05/01/26   1,217,450
750,000     5.000 (a)    05/01/28   929,258
915,000     5.000 (a)    05/01/29   1,126,621
Kentucky State Property & Building Commission Revenue Bonds (Project No. 117) Series D (NR/A1)
750,000     5.000     05/01/27   934,822
Kentucky State Property & Building Commission Series 2018 (AA/A2)
885,000     5.000     04/01/28   1,127,720
Kentucky State Property & Building Commission Series A (AA/A1)
960,000     5.000     02/01/26   1,167,926

 

 


COMMERCE NATIONAL TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Kentucky – (continued)
Oldham County KY School District Finance Corp. (Refunding) Series 2016 (NR/A1)
$     595,000     5.000   06/01/21   $       604,270
590,000     5.000     06/01/22   626,792
610,000     5.000     06/01/23   668,652
690,000     5.000     06/01/24   782,557
Owensboro KY GO Bonds Series A (NR/A1)(a)
1,200,000     5.000     05/01/25   1,324,404
     

 

      12,171,138

 

Louisiana – 1.5%
Iberia Parish LA Parish wide School District GO Bonds Series 2017 (AA-/NR)
510,000     3.000     03/01/24   549,515
530,000     4.000     03/01/25   605,599
550,000     4.000     03/01/26   645,106
570,000     4.000     03/01/27   680,962
450,000     4.000 (a)    03/01/28   534,362
Louisiana Public Facilities Authority Revenue Bonds (Refunding-Ochsner Clinic Foundation Project) Series 2015 (A/A3)(a)
800,000     5.000     05/15/30   933,424
Louisiana State GO Bonds Series A (AA-/Aa3)(a)
1,655,000     4.000     04/01/35   1,925,741
St. Tammany LA Parish Wide School District No 12 GO Bonds (Refunding) Series 2017 (AA/NR)(a)
980,000     4.000     03/01/28   1,184,408
     

 

      7,059,117

 

Maine – 3.0%
Maine State Governmental Facilities Authority Revenue Bonds Series A (AA-/Aa3)(a)
2,485,000     4.000     10/01/32   2,986,697
Maine State Health & Higher Educational Facilities Authority Revenue Bonds (Refunding) Series B (NR/A1)(a)
1,000,000     4.000     07/01/33   1,146,550
Maine State Health & Higher Educational Facilities Authority Revenue Bonds Series A (A+/A1)(a)
1,000,000     5.000     07/01/35   1,244,980
Maine State Health & Higher Educational Facilities Authority Revenue Bonds Series A (NR/A1)(a)
115,000     5.000     07/01/24   117,134
Maine State Health & Higher Educational Facilities Authority Revenue Bonds Series A (NR/NR)(a)(d)
885,000     5.000     07/01/21   902,523
Maine State Housing Authority Mortgage Purchase Revenue Bonds Series B (AA+/Aa1)
1,300,000     1.950     11/15/24   1,363,232
835,000     2.050     11/15/25   888,048
1,000,000     2.100     11/15/26   1,073,470
Maine State Housing Authority Mortgage Purchase Revenue Bonds Series E (AA+/Aa1)(a)
840,000     2.150     11/15/29   892,324
870,000     2.250     11/15/30   922,043
905,000     2.350     11/15/31   957,400
Portland ME Airport Revenue Bonds (Refunding-General) Series 2016 (BBB+/Baa1)
145,000     5.000     01/01/23   156,024
470,000     5.000     01/01/24   524,012
215,000     5.000 (a)    01/01/34   245,762
330,000     5.000 (a)    01/01/35   376,688
     

 

      13,796,887

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Maryland(a) – 0.5%
Maryland State Water Quality Financing Administration Bay Restoration Fund Revenue Bonds Series 2015 (AA/Aa2)
$  2,000,000     2.800   03/01/26   $    2,140,160

 

Massachusetts – 0.2%
Massachusetts Educational Financing Authority Education Loan Revenue Bonds (Issue I) Series A (AA/NR)(a)
130,000     5.100     01/01/25   130,658
Massachusetts State Housing Finance Agency Revenue Bonds Series B (AMT) (AA/Aa2)
290,000     2.700     06/01/21   291,755
300,000     3.050     06/01/22   308,607
310,000     3.250     06/01/23   322,384
     

 

      1,053,404

 

Michigan – 5.4%
Comstock Park MI Public Schools GO Bonds (Refunding) Series 2015 (Q-SBLF) (AA/NR)
730,000     5.000     05/01/24   838,755
Grand Traverse County MI Hospital Finance Authority Revenue Bonds (Munson Healthcare Obligated Group) Series A (NR/A1)(a)
445,000     5.000     07/01/30   563,846
495,000     5.000     07/01/32   621,953
Grand Traverse County MI Hospital Finance Authority Revenue Bonds (Munson Healthcare Obligated Group) Series B (NR/A1)(a)
380,000     5.000     07/01/31   479,568
Grand Valley MI State University Revenue Bonds (Refunding) Series A (A+/A1)(a)
1,500,000     4.000     12/01/29   1,708,950
1,375,000     4.000     12/01/30   1,561,299
Jackson College MI GO Bonds (Refunding) Series 2016 (NR/Aa2)
940,000     3.000     05/01/25   1,033,558
Jenison MI Public Schools GO Bonds (Refunding) Series 2017 (NR/Aa3)
1,110,000     4.000     05/01/23   1,201,819
Kalamazoo MI Public Schools GO Bonds Series 2018 (NR/Aa3)(a)
2,370,000     4.000     05/01/31   2,834,212
Kenowa Hills MI Public School GO Bonds (School Building & Site) Series II (Q-SBLF) (AA/NR)(a)
1,000,000     4.000     11/01/30   1,203,680
Mattawan MI Consolidated School District GO Bonds Series I (Q-SBLF) (AA/NR)(a)
750,000     5.000     05/01/26   900,697
Michigan State Building Authority Revenue Bonds (Refunding) Series I (AA-/Aa2)(a)
1,300,000     4.000     10/15/36   1,485,731
Michigan State Finance Authority Limited Obligation Revenue Bonds (Refunding) (Kalamazoo College Project) Series 2018 (NR/A2)(a)
1,590,000     4.000     12/01/36   1,775,251
Michigan State Housing Development Authority Revenue Bond Series B (AA+/Aa2)(a)
1,750,000     3.000     06/01/29   1,925,682
Michigan State Housing Development Authority Revenue Bonds (Taxable-Refunding) Series B (AA/NR)
500,000     2.816     04/01/25   538,665
1,000,000     2.866     10/01/25   1,082,860
Michigan State Housing Development Authority Revenue Bonds Series A (AA/NR)
400,000     2.150     04/01/25   423,604
470,000     2.550 (a)    04/01/28   502,444

 

 


COMMERCE NATIONAL TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Michigan – (continued)
Michigan State Housing Development Authority Revenue Bonds Series A (AA/NR) (continued)
$     410,000     2.600 %(a)    10/01/28   $       438,261
Northwest Community Schools GO Bonds (School Building & Site) Series 2013 (Q-SBLF) (AA/NR)(a)
1,000,000     4.000     05/01/24   1,085,650
Portland MI Public Schools GO Bonds (Refunding) Series 2016 (Q-SBLF) (AA/NR)(a)
1,150,000     4.000     05/01/27   1,356,862
Saginaw Township MI Community School District (Refunding) Series 2015 (Q-SBLF) (NR/Aa1)(a)
750,000     4.000     05/01/28   874,583
Washtenaw MI Community College GO Bonds (Refunding) Series 2015 (NR/Aa1)
645,000     4.000     04/01/25   741,673
     

 

      25,179,603

 

Minnesota – 0.1%
Minnesota State Housing & Finance Agency Revenue Bonds Series A (GNMA/FNMA/FHLMC) (AA+/Aa1)
340,000     1.700     07/01/26   354,637

 

Mississippi – 1.4%
Alcorn State University Educational Building Corp. (Refunding-Facilities) (Re-Financing Project) Series 2016 (NR/Aa2)(a)
1,560,000     4.000     09/01/33   1,737,372
Mississippi State Development Bank Special Obligation (Pearl Public School District) Series 2016 (NR/Aa3)(a)
600,000     4.000     04/01/34   677,682
Mississippi State Development Bank Special Obligation (Vicksburg Warren School District) Series 2018 (A+/NR)(a)
490,000     5.250     03/01/34   614,857
Mississippi State Development Bank Special Obligation Revenue Bonds (Hinds County Project) Series 2017 (NR/Aa3)(a)
300,000     5.000     11/01/29   378,591
400,000     5.000     11/01/30   502,612
500,000     5.000     11/01/31   625,905
400,000     5.000     11/01/32   498,596
Mississippi State Gaming Tax Revenue Bonds Series 2015-E (A-/A3)
1,055,000     5.000     10/15/25   1,258,267
     

 

      6,293,882

 

Missouri – 1.1%
Greene County MO GO Bonds Limited-Wilson Creek Marketplace NID Project (Refunding) Series A (NR/Aa2)(a)(d)
500,000     5.000     04/01/22   528,490
Jackson County MO Special Obligation Revenue Bonds (Harry S. Truman Sports Complex) Series 2014 (NR/Aa3)(a)
2,300,000     5.000     12/01/26   2,636,191
Joplin Industrial Development Authority Health Facilities Revenue Bonds (Freeman Health Systems ) Series 2011 (NR/NR)
515,000     4.250     02/15/21   515,731
Kansas City MO Industrial Development Authority Apartments Special Obligation Revenue Bonds(Kansas City International Apartments Terminal Modified Project) Series B (A-/A2)
1,155,000     5.000     03/01/27   1,428,285
     

 

      5,108,697

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Nebraska – 0.4%
Nebraska Public Power Generation Agency Revenue Bonds (Refunding) (Whelan Energy Center Unit 2) Series A (NR/A2)
$  1,750,000     5.000   01/01/23   $    1,903,668
Sarpy County NE Hospital Authority No.1 Revenue Bonds (Refunding-Nebraska Medicine) Series 2016 (AA-/NR)(a)
35,000     3.000     05/15/46   36,619
     

 

      1,940,287

 

Nevada – 1.4%
City of Las Vegas NV GO Series C (AA/Aa2)(a)
1,335,000     4.000     06/01/29   1,579,051
Clark County NV School District GO Bonds (Refunding) Series C (AGM) (AA/A1)
4,010,000     5.000     06/15/27   5,081,111
     

 

      6,660,162

 

New Jersey – 3.1%
Middlesex County NJ Cops Certificates of Participation (Refunding) Series 2017 (AA+/NR)
705,000     4.000     06/15/26   833,966
500,000     4.000     06/15/27   604,200
500,000     4.000 (a)    06/15/28   603,265
760,000     4.000 (a)    06/15/29   910,928
New Jersey Housing & Mortgage Finance Agency MF Conduit Revenue Bonds (Lexington Manor Apartments Project) Series B (NR/Aaa)
700,000     3.150     06/15/25   743,001
New Jersey State Transportation Trust Fund Authority Revenue Bonds (Capital Appreciation) Transportation System Series 2006 (AMBAC) (AA+/Aa1)(e)
1,255,000     0.000     12/15/26   1,204,022
New Jersey Transportation Trust Fund Authority Revenue Bonds (Refunding-Highway Reimbursment-Garvee NTS) Series A (A+/Baa1)(a)
1,500,000     5.000     06/15/31   1,781,700
Passaic County NJ GO Bonds (Refunding-Taxable Pension) Series 2003 (AGM) (NR/Aa1)
35,000     5.750     02/15/21   35,066
Union City NJ GO Bonds (Refunding) Series 2017 (NR/Baa1)
1,830,000     5.000     11/01/22   1,950,396
Ventnor City NJ GO Bonds (Refunding) Series 2017 (AA/NR)
1,470,000     4.000     12/01/22   1,574,546
1,530,000     4.000     12/01/23   1,688,202
690,000     4.000     12/01/26   822,342
705,000     4.000     12/01/27   854,411
730,000     4.000 (a)    12/01/28   879,205
     

 

      14,485,250

 

New Mexico(a) – 2.2%
Las Cruces NM Joint Utility Revenue Bonds (Subordinate Line System Improvement) Series 2018 (NR/Aa3)
845,000     4.000     06/01/29   987,686
500,000     4.000     06/01/30   581,735
1,000,000     4.000     06/01/32   1,153,300
500,000     4.000     06/01/33   574,775
The University of New Mexico Series 2001 (AA-/Aa3)(b)(c)
5,000,000     0.050     06/01/26   5,000,000

 

 


COMMERCE NATIONAL TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
New Mexico(a) – (continued)
University of New Mexico NM Revenue Bonds (Refunding & Improvement-Subordinate Lien) Series A (AA-/Aa3)
$  1,685,000     2.250   06/01/27   $    1,823,305
     

 

      10,120,801

 

New York(a) – 0.2%
Monroe Country NY Development Corp. Revenue Bonds (Refunding John Fisher College) Series A (A-/NR)
500,000     5.000     06/01/29   548,740
New York City Housing Development Corp. Revenue Bonds (Multi Family Development) Series G (AA+/Aa2)
250,000     3.800     11/01/37   253,378
     

 

      802,118

 

North Carolina – 0.6%
North Carolina State Housing Finance Agency Homeownership Revenue Bonds Series 39-B (GNMA/FNMA/FHLMC) (AA+/Aa1)(a)
1,125,000     3.200     01/01/29   1,262,340
Western Carolina University Revenue Bonds (Refunding-Limited Obligation-Student Housing) (A/NR)
420,000     3.000     06/01/21   423,280
330,000     4.000     06/01/22   344,619
350,000     4.000     06/01/23   376,943
480,000     4.000 (a)    06/01/25   516,269
     

 

      2,923,451

 

Ohio – 6.2%
Akron OH Certificates of Participation (District Energy Project) Series 2018 (A/NR)(a)
885,000     4.000     12/01/29   1,015,130
960,000     4.000     12/01/31   1,096,349
Akron OH GO Bonds (Refunding) (A+/NR)(a)
545,000     5.000     12/01/26   638,413
Elyria OH Library Improvement Revenue Bonds Series 2018 (A+/NR)(a)
1,060,000     4.000     12/01/34   1,190,846
Kent OH State University Revenue Bonds (Taxable-Refunding) Series B (A+/Aa3)(a)
880,000     2.321     05/01/27   943,862
1,295,000     2.447     05/01/28   1,378,774
Licking Heights OH Local School District GO Bonds (Refunding) Series C (NR/Aa3)
765,000     5.000     10/01/27   982,451
1,115,000     5.000 (a)    10/01/28   1,423,253
Mahoning County OH Career & Technical Center Board of Education Certificates of Participation (Refunding) Series 2017 (AA-/NR)(a)
630,000     4.000     12/01/26   706,079
665,000     4.000     12/01/28   739,593
Mahoning County OH Career & Technical Center Board of Education Certificates of Participation (Refunding) Series 2017 (NR/NR)(a)
650,000     4.000     12/01/27   726,876
500,000     4.000     12/01/29   553,890
Miami Valley Career Technology Center OH GO Bonds Series 2018 (NR/Aa2)(a)
725,000     4.000     12/01/34   860,734
2,245,000     4.000     12/01/36   2,650,065
2,170,000     4.000     12/01/37   2,555,262
Middletown OH GO Bonds (Refunding-Various Purpose) Series 2017 (NR/A1)
1,095,000     4.000     12/01/25   1,281,150
1,045,000     5.000     12/01/27   1,347,820

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Ohio – (continued)
Northeast Ohio Regional Sewer District Revenue Bonds (Refunding) Series 2019 (AA+/Aa1)(a)
$  2,000,000     3.000   11/15/38   $    2,291,460
Ohio State Higher Educational Facility Commission Revenue Bonds (Xavier University-Refunding) Series C (NR/A3)(a)
1,000,000     5.000     05/01/27   1,175,020
1,000,000     5.000     05/01/28   1,170,070
750,000     5.000     05/01/29   874,020
Ohio State Hospital Refunding Revenue Bonds (Cleveland Clinic Health System Obligated Group) Series A (AA/Aa2)
1,000,000     5.000     01/01/24   1,139,420
Ohio State Hospital Revenue Bonds (University Hospitals Health System, Inc.) Series A (A/A2)(a)
1,000,000     5.000     01/15/24   1,092,890
University of Toledo OH Revenue Bonds (Refunding-General Receipt) Series A (A/A2)(a)
700,000     4.000     06/01/36   790,482
     

 

      28,623,909

 

Oklahoma – 1.5%
Bryan County School Finance Authority (A/NR)
895,000     4.000     09/01/24   1,008,388
Leflore County OK Public Facility Authority Educational Facility Lease Revenue Bonds (Poteau Public School Project) Series 2019 (A-/NR)
1,350,000     4.000     12/01/28   1,643,260
1,795,000     4.000 (a)    12/01/30   2,191,964
Oklahoma State Capitol Improvement Authority Facility Revenue Bonds (Department of Correction) Series D (AA-/NR)(a)
2,000,000     4.000     07/01/38   2,351,060
     

 

      7,194,672

 

Pennsylvania – 10.9%
Avon Grove School District Chester County GO Bonds Series A (AA/NR)(a)(f)
3,410,000     3.000     11/15/34   3,850,742
Brandywine Heights PA Area School District GO Bonds (Refunding) Series A (AA-/NR)
1,650,000     5.000     02/01/26   2,004,651
Brandywine Heights PA Area School District GO Bonds (Refunding) Series B (AA-/NR)
1,365,000     4.000     02/01/23   1,460,960
Centre County PA Hospital Authority Revenue Bonds (Refunding Hospital Mount Nittany Medical Center Project) Series A (A+/NR)
1,000,000     5.000     11/15/26   1,243,530
Columbia Borough PA School District GO Bonds (Refunding) Series 2019 (A+/NR)
1,500,000     4.000     02/15/22   1,556,730
1,790,000     4.000     02/15/23   1,914,870
Delaware Valley PA Regional Financial Authority Revenue Bonds Series A (CNTY-GTD) (A+/A1)
2,100,000     5.000     09/01/33   2,973,348
Pennsylvania State Commonwealth GO Bonds (Refunding) Series 3 (A+/Aa3)
1,895,000     5.375     07/01/21   1,936,519
Pennsylvania State Economic Development Financing Authority Governmental Lease Revenue Bonds (Taxable-Refunding-Forum Place Project) Series 2020 (A/A2)
1,250,000     2.082     03/01/24   1,281,863
1,550,000     2.132     03/01/25   1,595,632

 

 


COMMERCE NATIONAL TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Pennsylvania – (continued)
Pennsylvania State Housing Finance Agency SF Mortgage Revenue Bonds Series 130A (AA+/Aa2)(a)
$     795,000     2.100   10/01/30   $       834,337
Pennsylvania State Turnpike Commission Turnpike Revenue Bonds (Refunding-Subordinated) Series B (NR/A3)(a)
1,500,000     5.000     06/01/29   1,823,610
Pennsylvania State Turnpike Commission Turnpike Revenue Bonds (Taxable-Refunding-1st) Series 2020 (NR/A1)
335,000     2.355     12/01/26   353,341
400,000     2.533     12/01/27   429,412
325,000     2.583     12/01/28   348,722
350,000     2.633     12/01/29   376,131
530,000     2.733 (a)    12/01/30   560,358
Pennsylvania State Turnpike Commission Turnpike Revenue Bonds Series A-2 (NR/A1)(a)
3,000,000     5.000     12/01/35   3,871,530
Pennsylvania State Turnpike Commission Turnpike Revenue Bonds Series C (A+/A1)(a)
500,000     5.000     12/01/26   589,580
Peters Township PA School District Washington County GO Bonds Series C (NR/Aa2)(a)
1,000,000     4.000     09/01/36   1,187,980
Phoenixville Area School District GO Bonds (Refunding) Series 2020 (NR/Aa2)
1,045,000     3.000     11/15/21   1,067,050
Plum Boro PA Municipal Authority Sewer Revenue Bonds (Refunding) Series C (AA/NR)
1,175,000     3.000     11/15/27   1,351,250
Salisbury Township PA School District GO Bonds Series A (A+/NR)(a)
1,390,000     4.000     02/15/27   1,567,642
Scranton PA School District GO Bonds (Refunding) Series E (AA/A2)(a)
1,000,000     5.000     12/01/32   1,247,470
Shikellamy School District PA GO Bonds Series 2020 (AA/NR)(a)
1,945,000     2.000     09/01/28   2,031,961
1,610,000     2.000     09/01/29   1,674,915
Southcentral PA General Authority Revenue Bond (AICUP Financing Program-York College Of Pennsylvania Project) Series PP4 (A-/NR)(a)
915,000     5.000     11/01/31   1,060,970
State Public School Building Authority Revenue Bonds (Refunding-Montgomery County Community College) (NR/A1)(a)
1,065,000     5.000     05/01/29   1,233,408
Wayne County PA Hospital & Health Facilities Authority Revenue Bond (Memorial Hospital Project) Series A (CNTY-GTD) (AA-/NR)
520,000     4.000     07/01/27   633,682
400,000     5.000 (a)    07/01/28   507,828
500,000     4.000 (a)    07/01/33   578,895
Wayne County PA Hospital & Health Facilities Authority Revenue Bond (Memorial Hospital Project) Series A (CNTY-GTD) (NR/NR)
550,000     4.000     07/01/25   638,721
Wilkes-Barre PA Finance Authority Revenue Bonds (Refunding-University of Scranton) Series A (A-/NR)
1,000,000     5.000     11/01/24   1,159,720
2,205,000     4.000 (a)    11/01/29   2,474,076
Wilson PA School District GO Bonds Series A (AA/NR)
650,000     4.000     05/15/26   765,967
840,000     4.000 (a)    05/15/27   995,845

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Pennsylvania – (continued)
York PA GO Bonds (Refunding) Series A (NR/NR)
$  1,640,000     5.000   11/15/26   $    1,737,072
     

 

      50,920,318

 

Rhode Island – 1.8%
Rhode Island State & Providence Plantations Lease Certificates of Participation (Eleanor Slater Hospital Project) Series B (AA-/Aa3)(a)
1,600,000     5.000     11/01/30   2,064,720
1,685,000     5.000     11/01/31   2,165,208
760,000     4.000     11/01/32   910,913
980,000     4.000     11/01/33   1,170,022
Rhode Island State & Providence Plantations Lease Certificates of Participation (Refunding) (School Deafening Project) Series D (AA-/Aa3)(a)
1,000,000     5.000     04/01/29   1,247,140
Rhode Island State Health & Educational Building Corp. Higher Education Facility Revenue Bonds (Bryant University Project) (A/A2)
950,000     5.000     06/01/21   963,519
     

 

      8,521,522

 

South Carolina – 0.5%
Laurens County SC School District No. 055 Installment Purchase Revenue Bonds (Refunding) Series 2015 (A-/A2)
1,000,000     5.000     12/01/24   1,159,820
Scago Educational Facilities Corp. for Colleton School District Revenue Bonds (Refunding) (A-/A3)(a)
1,000,000     5.000     12/01/26   1,169,420
     

 

      2,329,240

 

South Dakota – 1.5%
South Dakota Board of Regents Housing & Auxiliary Facilities System Series 2017 (NR/Aa3)(a)
2,000,000     5.000     04/01/30   2,512,120
1,250,000     5.000     04/01/33   1,552,000
South Dakota Housing Development Authority Revenue Bonds (Home Ownership Mortgage) Series D (AAA/Aaa)
445,000     2.700     05/01/25   474,192
South Dakota State Health & Educational Facilities Authority Revenue Bonds Series 2017 (NR/A1)
750,000     5.000     09/01/23   839,895
825,000     5.000     09/01/24   957,841
605,000     5.000     09/01/25   728,384
     

 

      7,064,432

 

Tennessee – 0.6%
Greeneville TN Health & Educational Facilities Board Hospital Revenue Bonds (Refunding-Ballad Health Obligated Group) Series A (A-/Baa1)
500,000     5.000     07/01/28   645,240
600,000     5.000 (a)    07/01/29   752,526
500,000     5.000 (a)    07/01/30   623,495
Tennessee Housing Development Agency Revenue Bonds Homeownership Program Series 1C (Non-AMT) (GO of Agency) (AA+/Aa1)(a)
530,000     3.500     07/01/27   540,998

 

 


COMMERCE NATIONAL TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Tennessee – (continued)
Tennessee Housing Development Agency Revenue Bonds Residential Financing Program Series 1C (Non-AMT-Non ACE-Issue) (AA+/Aa1)(a)
$     265,000     4.050   01/01/38   $       286,470
     

 

      2,848,729

 

Texas – 6.1%
Arlington TX Higher Education Finance Corp. Revenue Bonds (KIPP Texas, Inc.) Series 2018 (PSF-GTD) (AAA/NR)(a)
1,000,000     4.000     08/15/30   1,215,740
1,000,000     4.000     08/15/31   1,210,660
Arlington TX Higher Education Finance Corp. Revenue Bonds (Responsive Education Solutions) Series A (PSF-GTD) (AAA/NR)
725,000     5.000     08/15/25   874,386
Arlington TX Higher Education Finance Corp. Revenue Bonds (Uplift Education) Series B (PSF-GTD) (AAA/NR)(a)
485,000     4.000     12/01/32   573,260
Arlington TX Higher Education Finance Corp. Revenue Bonds (Uplift Education) Series B (PSF-GTD) (NR/NR)(a)
540,000     4.000     12/01/30   643,280
Austin TX Community College District Public Facility Corp. Lease Revenue Bonds Series C (AA/Aa2)(a)
745,000     4.000     08/01/32   875,077
Austin TX Community College District Public Facility Corp. Lease Revenue Bonds Series C (NR/Aa2)(a)
500,000     4.000     08/01/33   585,145
Celina TX GO Bonds (Certificates of Obligation) (Waterworks & Sewer System) Series 2015 (AA/Aa3)(a)
930,000     5.000     09/01/27   1,117,795
980,000     5.000     09/01/28   1,175,432
City of Dallas TX GO Bonds (Refunding & Improvement) Series 2017 (AA-/NR)
2,000,000     5.000     02/15/26   2,463,860
Clifton TX Higher Education Finance Corp. Revenue Bond (Refunding-Idea Public Schools) Series 2017 (PSF-GTD) (AAA/NR)(a)
2,500,000     4.000     08/15/28   3,030,150
El Paso County TX Community College District Revenue Bonds Series 2016 (AGM) (AA/NR)(a)
2,000,000     4.000     04/01/31   2,287,720
El Paso Independent School District Public Facility Corp. Lease Revenue Bonds Series 2018 (NR/Aa3)(a)
815,000     4.000     02/15/36   944,390
EL Paso TX GO Bonds Series 2016 (AA/NR)(a)
5,000,000     5.000     08/15/28   6,233,700
Katy TX Independent School District GO Bonds (Refunding) Series A (PSF-GTD) (AAA/Aaa)
300,000     5.000     02/15/25   357,249
Kyle TX GO Bonds (Refunding) Series 2015 (AA-/NR)(a)
1,000,000     4.000     08/15/26   1,142,450
McGregor TX Independent School District GO Bonds (Capital Appreciation) Series 2001 (PSF-GTD) (AAA/NR)(e)
1,000,000     0.000     02/15/25   901,730
Wichita Falls TX GO Bonds Series A (AA/Aa2)(a)
880,000     4.000     09/01/31   1,042,527
870,000     4.000     09/01/32   1,023,390
750,000     4.000     09/01/33   876,480
     

 

      28,574,421

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Utah – 0.4%
Salt Lake City UT Airport Revenue Bonds Series A (A/A2)
$  1,000,000     5.000   07/01/26   $    1,228,410
Salt Lake City UT Airport Revenue Bonds Series B (A/A2)(a)
500,000     5.000     07/01/34   621,485
     

 

      1,849,895

 

Vermont – 0.5%
Vermont State Student Assistance Corp. Education Loan Revenue Bonds Series A (A/NR)
300,000     5.000     06/15/24   342,519
400,000     5.000     06/15/25   470,760
400,000     5.000     06/15/26   481,604
780,000     5.000     06/15/27   953,503
     

 

      2,248,386

 

Washington(a) – 2.0%
Chelan County Public Utility District No 1 Revenue Bonds (Variable Refunding) Series B (AA+/Aa3)(b)(c)
1,505,000     0.040     07/01/32   1,505,000
Grays Harbor County WA Public Utility District No. 1 Revenue Bonds (Refunding) Series A (A/A1)
250,000     4.000     01/01/40   273,617
Port of Seattle WA Revenue Bonds (Refunding-Intermediate) Series A (A+/A1)
3,000,000     5.000     08/01/29   3,194,190
Port of Seattle WA Special Facilities Revenue Bonds (Refunding) Series 2013 (A-/A1)
900,000     3.600     06/01/26   954,108
Washington State GO Bonds (Built America) Series D (AA+/Aaa)
1,485,000     4.586     08/01/21   1,517,017
Washington State Health Care Facilities Authority Revenue Bonds (Multicare Health System) Series A (AA-/Aa3)
495,000     5.000     08/15/27   595,955
Washington State Health Care Facilities Authority Revenue Bonds (Refunding-Providence St. Joseph Health) Series B (AA-/Aa3)
150,000     5.000     10/01/30   193,310
Washington State Housing Finance Commission Revenue Bonds (Refunding-Non-AMT-Single Family Program) Series 1N (NR/Aaa)
775,000     3.450     12/01/30   841,983
     

 

      9,075,180

 

West Virginia(a) – 0.6%
West Virginia State Higher Education Policy Commission Revenue Bonds (Refunding Community & Technical College Capital Improvement) Series 2017 (AAA/A1)
2,065,000     5.000     07/01/30   2,557,916

 

Wisconsin(a) – 1.5%
City of Waukesha Revenue Bonds Series C (NR/NR)
2,000,000     3.000     07/01/21   2,010,440
Luxemburg-Casco WI School District Brown & Kewaunee Counties GO Notes (Refunding) Series 2018 (AA-/NR)
520,000     4.000     03/01/30   615,144
765,000     4.000     03/01/31   893,566
540,000     4.000     03/01/32   627,113
Wisconsin Public Finance Authority Revenue Bonds (Taxable Refunding Hawai Pacific Health Obligated Group) Series A (NR/A1)
1,440,000     4.082     07/01/29   1,675,382

 

 


COMMERCE NATIONAL TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Wisconsin(a) – (continued)

Wisconsin State Health & Educational Facilities Authority Revenue Bonds (Refunding-Ascension Health Credit Group) Series A (AA+/Aa2)

$  1,000,000

    4.000%     11/15/34   $    1,146,780
     

 

      6,968,425

 

TOTAL MUNICIPAL BOND OBLIGATIONS
(Cost $392,181,782)
  $421,792,070

 

Principal

Amount

  Interest
Rate
    Maturity
Date
  Value
Corporate Obligations(a) – 1.2%
Healthcare-Services – 1.2%
Sutter Health (A+/A1)
$  4,700,000     3.695%     08/15/28   $    5,355,346
(Cost $5,055,038 )  

 

Shares    Dividend
Rate
  Value
Investment Company – 8.3%

State Street Institutional US Government Money Market Fund - Premier Class

  38,748,085    0.030%   $  38,748,086
(Cost $38,748,086)

 

TOTAL INVESTMENTS – 100.2%  
(Cost $435,984,906)   $465,895,502

 

LIABILITIES IN EXCESS OF OTHER

    ASSETS – (0.2)%

  (703,429)

 

NET ASSETS – 100.0%   $465,192,072

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security with “Call” features with resetting interest rates.
(b)   Variable rate security. The interest rate shown reflects the rate as of January 31, 2021.
(c)   Rate shown is that which is in effect on January 31, 2021. Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions.
(d)   Prerefunded security. Maturity date disclosed is prerefunding date.
(e)   Security issued with a zero coupon. The actual effective yield of this security is different than the stated coupon due to the accretion of discount.
(f)   All or portion represents a forward commitment.
Security ratings disclosed, if any, are issued by Standard & Poor’s Ratings Services/Moody’s Investors Service and are unaudited. A description of the ratings is available in the Fund’s Statement of Additional Information.

 

 

 

Investment Abbreviations:
AGM  

— Insured by Assured Guaranty Municipal Corp.

AMBAC  

— Insured by American Municipal Bond Assurance Corp.

AMT  

— Alternative Minimum Tax

FHLMC  

— Federal Home Loan Mortgage Corp.

FNMA  

— Federal National Mortgage Association

GNMA  

— Government National Mortgage Association

GO  

— General Obligation

NR  

— Not Rated

PSF-GTD  

— Guaranteed by Permanent School Fund

Q-SBLF  

— Qualified School Bond Loan Fund

 

 


COMMERCE MISSOURI TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – 95.9%
California(a) – 1.8%
Burbank CA Unified School District GO Bonds Capital Appreciation Election of 1997 Series C (NPFG) (A+/Baa2)
$2,000,000     0.000   07/01/27   $    1,864,260
Manteca CA Unified School District GO Bonds Capital Appreciation Election 2004 Series 2006 (NPFG) (NR/Aa2)
3,180,000     0.000     08/01/28   2,902,068
Washington CA Unified School District GO Bonds Capital Appreciation Election of 2004 (Yolo County) Series A (NPFG) (A+/Baa2)
2,400,000     0.000     08/01/29   2,137,104
     

 

      6,903,432

 

Florida(b) – 0.6%
Orange County FL Tourist Development Tax Revenue Bonds Series A (AA-/Aa2)
2,000,000     4.000     10/01/33   2,327,120

 

Illinois(b) – 2.6%
Illinois Finance Authority Revenue Bonds (OSF Healthcare System) Series 2016 (A/A3)
2,500,000     3.250     05/15/39   2,641,950
Illinois Housing Development Authority Revenue Bonds (Refunding Homeowner Mortgage) Series C (AA/Aa2)
3,000,000     2.900     08/01/31   3,210,630
Kendall Kane & Will Counties IL Community Unit School District No. 308 Series 2014 (NR/A2)
2,000,000     4.125     02/01/30   2,163,360
Woodford Lasalle Livingston Etc. Counties IL Community Unit School District GO Bonds Series A (AA/NR)
500,000     4.000     12/01/34   591,550
500,000     4.000     12/01/35   589,645
500,000     4.000     12/01/36   588,035
515,000     4.000     12/01/37   603,940
     

 

      10,389,110

 

Indiana(b) – 0.6%
Carmel IN Local Public Improvement Bond Bank Revenue Bonds Series B-1 (AA/NR)
2,000,000     4.000     01/15/35   2,317,560

 

Kansas(b) – 0.4%
Dickinson County KS Public Building Commission Revenue Bonds Series 2018 (AA-/NR)
1,280,000     5.000     08/01/44   1,547,981

 

Maine(b) – 0.8%
Maine Governmental Facilities Authority Revenue Bonds Series A (AA-/Aa3)
2,640,000     4.000     10/01/33   3,160,344

 

Michigan(b) – 1.3%
Michigan State Housing Development Authority Revenue Bonds (Non-ACE) Series B (AA+/Aa2)
1,705,000     2.950     12/01/28   1,879,882
Michigan State Housing Development Authority Revenue Bonds (Non-AMT) (Non-ACE) Series B (AA+/Aa2)
2,920,000     2.550     06/01/27   3,171,879
     

 

      5,051,761

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Missouri – 85.8%
Arnold MO Certificates of Participation (Refunding) Series 2019 (A+/NR)(b)
$   760,000     4.000   08/15/28   $       905,624
645,000     4.000     08/15/29   759,333
825,000     4.000     08/15/30   965,910
555,000     4.000     08/15/31   646,653
Bi-State Development Agency MO Metro District Revenue Bonds (Refunding-Combined Lien) Series A (AA-/Aa2)(b)(c)
1,000,000     5.000     10/01/22   1,081,440
Branson MO Reorganized School District No. R-4 GO Bonds Series 2012 (A+/NR)(b)
2,000,000     4.000     03/01/27   2,079,100
Brentwood MO Certificates of Participation Series 2018 (AA-/NR)(b)
2,070,000     4.000     10/01/33   2,307,160
1,655,000     4.000     10/01/34   1,841,005
Cape Girardeau County MO Industrial Development Authority Revenue Bonds (St. Francis Medical Center) Series A (A+/NR)(b)
750,000     5.000     06/01/26   793,208
Cape Girardeau County MO Reorganized School District No. R-2 GO Bonds (Kearney Direct Deposit Program) Series 2018 (AA+/NR)(b)
900,000     4.000     03/01/31   1,085,346
750,000     4.000     03/01/37   880,343
Chesterfield MO Certificates of Participation (AMBAC) (NR/Aa1)
600,000     5.000     02/15/22   629,856
City of Brentwood MO Certificates of Participation Series 2019 (AA-/NR)(b)
1,415,000     4.000     10/01/36   1,571,117
1,735,000     4.000     10/01/38   1,920,177
City of Columbia MO Water & Electric System Revenue Bonds (Refunding) Series B (A+/NR)
3,015,000     5.000     10/01/27   3,881,119
1,850,000     4.000 (b)    10/01/30   2,217,965
Clay County MO Public School District No. 53 Liberty GO Bonds (Refunding) Series 2016 (AA/NR)(b)
1,000,000     4.000     03/01/34   1,131,260
1,000,000     4.000     03/01/35   1,129,610
1,000,000     4.000     03/01/36   1,125,160
Clay County MO Public School District No. 53 Liberty GO Bonds Series 2018 (AA/NR)(b)
1,000,000     4.000     03/01/33   1,137,060
1,000,000     4.000     03/01/34   1,131,260
Clay County MO Public School District No. R-II GO Bonds (Refunding) Series A (AA+/NR)(b)
1,735,000     4.000     03/01/30   2,078,582
Clay Jackson & Platte County MO Consolidated Public Library District No. 3 Certificates of Participation Series 2018 (NR/Aa3)
3,125,000     5.000     03/01/23   3,433,531
Columbia MO Water & Electric Revenue Bonds (Refunding & Improvement System) Series 2015 (A+/NR)(b)
500,000     4.000     10/01/42   529,860
County of Cass MO GO Bonds (Refunding) Series A (AA/NR)
515,000     5.000     09/01/24   599,125
505,000     5.000     09/01/25   608,500
County of Cole MO Reorganized School District No. 2 GO Series 2019 (AA+/NR)(b)
3,370,000     5.000     03/01/36   3,959,851
County of Franklin MO Certificates of Participation (Refunding) Series B (A+/NR)
1,075,000     4.000     04/01/27   1,286,409
1,100,000     4.000 (b)    04/01/28   1,305,458
County of St Charles MO Special Obligation Revenue Bonds (Refunding) Series 2020 (AA/NR)
1,485,000     3.000     10/01/25   1,660,720

 

 


COMMERCE MISSOURI TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Missouri – (continued)
County of St Charles MO Special Obligation Revenue Bonds (Refunding) Series 2020 (AA/NR) (continued)
$1,240,000     3.000   10/01/26   $    1,407,450
Duckett Creek MO Sewer District Revenue Bonds (Refunding-System) Series 2015 (NR/Aa3)
1,300,000     5.000     12/01/24   1,524,991
1,215,000     5.000     12/01/25   1,477,610
Fenton MO Fire Protection District GO Bonds Series 2019 (AA+/NR)(b)
1,150,000     4.000     03/01/32   1,344,327
1,200,000     4.000     03/01/33   1,393,380
625,000     4.000     03/01/34   723,738
Festus MO School District No. R-VI Lease Certificates of Participation (School District Project) Series 2019 (A+/NR)
700,000     5.000     04/01/28   898,667
830,000     5.000 (b)    04/01/30   1,081,623
905,000     5.000 (b)    04/01/31   1,174,328
Great Rivers Greenway Metropolitan Park & Recreation District (Gateway Arch Project) Series 2014 (A+/A1)(b)
1,000,000     5.000     12/30/26   1,128,990
Greene County MO Certificates of Participation Series 2018 (NR/Aa3)(b)
1,130,000     5.000     09/01/36   1,422,557
1,000,000     5.000     09/01/37   1,255,590
Greene County MO GO Bonds Limited-Jamestown NID Project Series B (NR/Aa2)(b)(c)
4,280,000     5.000     04/01/22   4,523,874
Greene County MO Reorganized School District No. R-2 GO Bonds Series 2018 (Liberty School Building Direct Deposit Program) (AA+/NR)(b)
875,000     5.000     03/01/38   1,074,701
Greene County MO Reorganized School District No. R-3 GO Bonds Series B (Direct Deposit Program) (AA+/NR)(b)
905,000     4.000     03/01/30   1,068,235
985,000     4.000     03/01/32   1,148,293
Greenwood MO GO Build America Bonds Taxable Series B (AA-/NR)(b)
425,000     5.625     03/01/25   426,594
Hannibal MO Industrial Development Authority Revenue Bonds (Hannibal Regional Hospital Healthcare System, Inc.) Series 2017 (BBB+/NR)(b)
3,225,000     5.000     10/01/37   3,919,246
Hazelwood MO School District GO Bonds (Direct Deposit Program) (Refunding) Series A (AA+/NR)(b)
2,000,000     4.000     03/01/28   2,340,660
Independence MO School District (Refunding) (Direct Deposit Program) Series 2016 (AA+/NR)(b)
1,500,000     4.000     03/01/30   1,733,565
Independence MO School District Lease Certificates of Participation (Refunding) Series 2016 (A+/NR)
600,000     3.000     04/01/22   616,602
875,000     3.000     04/01/23   918,881
500,000     3.000     04/01/24   536,465
960,000     3.000 (b)    04/01/26   1,029,139
Jackson County MO Reorganized School District No. 7 Certificates of Participation Series 2016 (AA/NR)
500,000     4.000     05/01/24   556,305
900,000     4.000     05/01/25   1,030,500
700,000     4.000 (b)    05/01/27   824,327
630,000     4.000 (b)    05/01/29   734,372
675,000     4.000 (b)    05/01/30   783,095
Jackson County MO Reorganized School District No. 7 GO Bonds (Refunding) (AA+/NR)(b)
840,000     4.000     03/01/28   1,012,964

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Missouri – (continued)
Jackson County MO Reorganized School District No. 7 GO Bonds (Refunding) (AA+/NR)(b) (continued)
$   580,000     4.000   03/01/30   $       689,144
Jackson County MO Reorganized School District No.4 Blue Springs GO Bonds (Direct Deposit Program) Series A (AA+/NR)(b)
1,000,000     5.500     03/01/35   1,349,260
1,000,000     5.500     03/01/36   1,345,110
Jackson County MO Revenue Bonds (Refunding) Series 2014 (NR/Aa3)
550,000     5.000     12/01/23   610,962
Jackson County MO School District Hickman Mills C-1 Certificates of Participation (Energy Conservation Project) Series 2015 (BBB+/NR)(b)
475,000     3.000     04/15/28   488,846
575,000     3.250     04/15/30   592,147
550,000     3.300     04/15/31   566,187
700,000     3.375     04/15/32   720,755
Jackson County MO School District Hickman Mills C-1 GO Bonds (Refunding) Series 2020 (AA+/NR)
550,000     4.000     03/01/22   571,753
525,000     4.000     03/01/23   564,349
480,000     4.000     03/01/24   532,325
100,000     3.000     03/01/27   113,529
200,000     4.000 (b)    03/01/30   240,296
165,000     4.000 (b)    03/01/31   197,484
180,000     4.000 (b)    03/01/32   214,549
200,000     4.000 (b)    03/01/33   237,302
Jackson County MO School District No. 58 GO Bonds Series B (NR/Aa3)
2,020,000     4.000     03/01/26   2,398,285
1,365,000     4.000 (b)    03/01/28   1,652,442
Jackson County MO Special Obligation Revenue Bonds (Refunding-Truman Sports Complex Project) Series 2014 (NR/Aa3)(b)
1,000,000     5.000     12/01/25   1,147,130
Jackson County MO Special Obligation Revenue Bonds (Right of Way Project) (NR/Aa3)(b)
1,345,000     4.000     12/01/26   1,557,322
1,455,000     4.000     12/01/28   1,669,423
Jackson County MO Special Obligation Revenue Bonds (Truman Medical Center Projects) (NR/Aa2)(b)
595,000     4.250     12/01/23   636,882
Jackson County MO Special Obligation Revenue Bonds (Truman Medical Control Project) Series B (NR/Aa2)(b)
500,000     4.350     12/01/23   516,415
820,000     4.500     12/01/24   847,716
Jasper County MO Reorganized School District No. R-9 Carthage GO Bonds (Refunding) Series B (AA+/NR)(b)
675,000     4.000     03/01/31   819,443
1,575,000     4.000     03/01/32   1,909,924
Jefferson City MO School District GO Bonds (Direct Deposit Program) Series 2017 (AA+/NR)(b)
15,000     4.000     03/01/30   17,393
Jefferson City MO School District GO Bonds (Direct Deposit Program) Series 2018 (AA+/NR)(b)
1,525,000     4.000     03/01/29   1,825,730
Joplin MO Industrial Development Authority Health Facilities Revenue Bonds (Freeman Health System Project) (NR/NR)(b)(c)
1,000,000     5.500     02/15/21   1,001,930
Joplin MO Industrial Development Authority Health Facilities Revenue Bonds (Refunding-Freeman Health System Project) Series 2014 (A/NR)(b)
1,895,000     5.000     02/15/27   2,128,540

 

 


COMMERCE MISSOURI TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Missouri – (continued)
Joplin MO Industrial Development Authority Health Facilities Revenue Bonds (Taxable-Refunding-Freeman Health System Project) Series B (A/NR)
$   480,000     2.200   02/15/23   $       491,578
450,000     2.318     02/15/24   466,421
500,000     2.378     02/15/25   522,080
1,020,000     2.558     02/15/26   1,074,652
815,000     2.844     02/15/28   866,443
825,000     2.894     02/15/29   873,634
Joplin MO Schools GO Buildings - Series 2020 (AA+/NR)(b)
3,285,000     3.000     03/01/35   3,647,138
Kansas City MO GO Bonds (Refunding & Improvement) Series A (AA/Aa2)(b)
5,425,000     4.500     02/01/24   5,652,741
Kansas City MO Industrial Development Authority Apartments Special Obligation Revenue Bonds(Kansas City International Apartments Terminal Modified Project) Series B (A-/A2)
2,540,000     5.000     03/01/28   3,204,743
1,370,000     5.000     03/01/29   1,760,847
Kansas City MO Industrial Development Authority Revenue Bonds (Refunding & Downtown Redevelopment District) Series A (AA-/A1)(b)
2,130,000     5.500     09/01/29   2,194,198
Kansas City MO Sanitary Sewer System Revenue Bonds (Refunding) Series A (AA/Aa2)(b)
1,895,000     4.000     01/01/33   2,110,348
Kansas City MO Special Obligation Revenue Bonds (Downtown Streetcar Project) Series A (AA-/A1)(b)
760,000     5.000     09/01/31   762,728
Kansas City MO Special Obligation Revenue Bonds (Refunding) Series C (AA-/A1)
1,000,000     5.000     09/01/27   1,259,410
1,000,000     5.000 (b)    09/01/31   1,242,290
Liberty MO Public School District No. 53 Lease Participation Certificates (Refunding) (School Board Association) Series 2016 (AA-/NR)(b)
1,040,000     3.000     04/01/27   1,114,339
Maplewood Richmond Heights Mosch District GO Bonds (Refunding) Series 2019 (AA-/NR)(b)
940,000     4.000     03/01/28   1,118,685
1,055,000     4.000     03/01/29   1,247,865
500,000     4.000     03/01/30   586,635
Maplewood-Richmond Heights MO School District GO Bonds (Refunding) Series A (AA-/NR)(b)
1,000,000     3.000     03/01/40   1,085,010
Metropolitan St. Louis MO Sewer District Wastewater System Revenue Bonds (Taxable-Refunding) Series C (AAA/NR)(b)
3,000,000     2.514     05/01/28   3,305,370
Metropolitan St. Louis MO Sewer District Wastewater System Revenue Bonds Series A (AAA/Aa1)(b)(c)
485,000     5.000     05/01/22   514,614
Missouri Development Finance Board Annual Appropriation Revenue Bonds (Fulton State Hospital Project) Series 2014 (AA+/Aa1)
1,000,000     5.000     10/01/22   1,080,740
Missouri Development Finance Board Cultural Facilities Revenue Bonds (VAR-Nelson Gallery Foundation) Series A
(AAA/Aaa)(b)(d)(e)
5,000,000     0.010     12/01/33   5,000,000
Missouri Joint Municipal Electric Utility Commission Power Project Revenue Bonds (Refunding) Series 2014 (A-/A3)
640,000     5.000     01/01/25   750,355

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Missouri – (continued)
Missouri Joint Municipal Electric Utility Commission Power Project Revenue Bonds (Refunding-Iatan 2 Project) Series A (NR/A2)(b)
$3,115,000     5.000   01/01/31   $    3,486,121
Missouri School Board Association Lease Certificates of Participation for Liberty Public School District No. 53 (AA-/NR)(b)
400,000     4.000     04/01/28   415,320
425,000     5.000     04/01/31   446,310
475,000     5.000     04/01/32   498,494
500,000     5.000     04/01/33   524,305
500,000     5.000     04/01/34   524,020
Missouri State Board of Public Buildings Special Obligation Revenue Bonds Series A (AA+/Aa1)(b)
1,015,000     4.000     04/01/26   1,135,409
635,000     2.000     04/01/27   670,401
Missouri State Board of Public Buildings Special Obligation Revenue Bonds Series B (AA+/Aa1)(b)
800,000     4.000     04/01/28   888,312
Missouri State Environmental Improvement & Energy Resources Authority Revenue Bonds (Tri-County Water Authority Project) (NR/Aa3)(b)
595,000     5.000     01/01/30   692,431
775,000     5.000     01/01/31   901,426
Missouri State Health & Educational Facilities Authority Educational Facilities Revenue Bonds (A.T. Still University of Health Sciences) Series 2011 (A-/NR)
400,000     3.500     10/01/21   409,076
1,850,000     5.250 (b)(c)    10/01/21   1,913,714
Missouri State Health & Educational Facilities Authority Educational Facilities Revenue Bonds (Ascension Health Credit Group) Series 2003 (AA+/Aa2)(d)(e)
8,230,000     0.020     11/15/39   8,230,000
Missouri State Health & Educational Facilities Authority Educational Facilities Revenue Bonds (Kansas City University of Medicine And Biosciences) Series A (NR/A1)(b)
1,440,000     4.500     06/01/28   1,569,182
Missouri State Health & Educational Facilities Authority Educational Facilities Revenue Bonds (Refunding- Southeast MO State University) Series 2019 (A/NR)
600,000     5.000     10/01/25   697,350
640,000     5.000     10/01/26   761,824
2,030,000     5.000     10/01/27   2,465,090
Missouri State Health & Educational Facilities Authority Educational Facilities Revenue Bonds (Refunding-Kansas City Art Institute) Series 2018 (A-/NR)(b)
670,000     5.000     09/01/33   794,345
800,000     5.000     09/01/38   936,336
Missouri State Health & Educational Facilities Authority Educational Facilities Revenue Bonds (University of Central Missouri) Series C (A+/NR)(b)
2,400,000     5.000     10/01/26   2,693,376
Missouri State Health & Educational Facilities Authority Health Facilities Revenue Bonds (Refunding-Cox Health) Series A
(NR/A2)(b)
2,500,000     5.000     11/15/35   2,918,550
Missouri State Health & Educational Facilities Authority Health Facilities Revenue Bonds (Refunding-St. Luke’s Episcopal-Presbyterian Hospitals) Series B (A/NR)(b)
1,000,000     5.000     12/01/33   1,144,430
Missouri State Health & Educational Facilities Authority Health Facilities Revenue Bonds (St. Lukes Episcopal) Series 2011
(NR/NR)(b)(c)
2,270,000     5.000     12/01/21   2,359,597

 

 


COMMERCE MISSOURI TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Missouri – (continued)
Missouri State Health & Educational Facilities Authority Health Facllities Revenue Bonds (Refunding-St. Luke’s Episcopal-Presbyterian Hospitals) Series B (A/NR)(b)
$1,375,000     5.000   12/01/31   $    1,581,607
Missouri State Health & Educational Facilities Authority Revenue Bonds (Kansas City University of Medicine & Biosciences) Series A (NR/A1)(b)
950,000     5.000     06/01/34   1,165,023
1,100,000     5.000     06/01/37   1,332,331
Missouri State Health & Educational Facilities Authority Revenue Bonds (Refunding & Improvement-Webster University Project) Series 2011 (NR/Baa1)(b)(c)
2,000,000     5.000     04/01/21   2,015,880
Missouri State Health & Educational Facilities Authority Revenue Bonds (Refunding-Children’s Mercy Hospital) Series 2016
(A+/NR)(b)
1,250,000     4.000     05/15/33   1,409,512
Missouri State Health & Educational Facilities Authority Revenue Bonds (Refunding-The Children’s Mercy Hospital) Series 2016 (A+/NR)(b)
1,250,000     4.000     05/15/39   1,393,475
Missouri State Health & Educational Facilities Authority Revenue Bonds (Variable-St. Louis University) Series B-REMK
(AA-/Aa1)(b)(d)(e)
2,500,000     0.010     10/01/24   2,500,000
Missouri State Housing Development Commission Multi Family Housing Revenue Bonds (Samantha Heights Apartments Project) Series 2 (FHA) (AA+/NR)(b)
500,000     4.375     07/01/30   501,330
Missouri State Housing Development Commission Single Family Mortgage Revenue Bonds (First Place Homeownership Loan Program) Series B (GNMA/FNMA/FHLMC) (AA+/NR)(b)
530,000     2.400     11/01/30   569,125
520,000     2.500     05/01/31   557,783
540,000     2.550     11/01/31   579,879
Missouri State Housing Development Commission Single Family Mortgage Revenue Bonds (Homeownership Loan Program) Series B-2 (GNMA/FNMA/FHLMC) (AA+/NR)(b)
720,000     3.550     11/01/30   777,989
Missouri State Housing Development Commission Single Family Mortgage Revenue Bonds (Homeownership Loan Program) Series D (GNMA/FNMA/FHLMC) (AA+/NR)
465,000     2.000     11/01/21   469,878
415,000     3.050 (b)    11/01/28   459,783
365,000     3.150 (b)    11/01/29   402,891
415,000     3.250 (b)    11/01/30   458,637
Missouri State Housing Development Commission Single Family Mortgage Revenue Bonds (Special Homeownership Loan Program) (Non-AMT) Series E-4 (GNMA/FNMA/FHLMC) (AA+/NR)(b)(c)
155,000     3.600     05/01/21   156,352
220,000     3.750     05/01/21   222,000
180,000     3.800     05/01/21   181,660
Missouri State of Health & Educational Facilities Authority Revenue Bonds (Refunding) Series A (NR/A2)(b)
3,750,000     5.000     11/15/32   4,406,887
Missouri State University Auxiliary Enterprise System Revenue Bonds (Refunding) Series A (A+/A1)(b)
2,835,000     4.000     04/01/26   2,927,619
Nixa MO Public Schools GO Bonds (Direct Deposit Program) (Refunding) Series 2019 (AA+/NR)(b)
500,000     4.000     03/01/33   587,620
800,000     4.000     03/01/34   937,624

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Missouri – (continued)
Nodaway County MO Industrial Development Authority Educational Facilities Revenue Bonds (Variable-Northwest Foundation, Inc.) Series 2008 (AA-/NR)(b)(d)(e)
$1,805,000     0.030   11/01/28   $    1,805,000
North Kansas City MO School District No. 74 GO Bonds Series 2020 (AA+/Aa1)(b)
2,445,000     3.000     03/01/30   2,807,129
Northwest Missouri State University Revenue Bonds (Housing System) (NR/A3)(b)
2,750,000     4.000     06/01/26   2,835,607
2,925,000     4.000     06/01/27   3,011,931
1,000,000     4.000     06/01/28   1,028,420
O’Fallon MO Special Obligation Revenue Bonds Series 2012 (AA-/NR)(b)(c)
1,135,000     4.000     11/01/21   1,167,790
Ozark MO Certificates of Participation Series 2014 (A+/NR)(b)
500,000     5.000     09/01/44   545,930
Ozark MO Reorganized School District No. R-6 GO Bonds (Direct Deposit Program) (Refunding & Improvement) Series 2015 (AA+/NR)(b)
1,000,000     4.000     03/01/30   1,070,600
1,000,000     4.000     03/01/34   1,063,750
1,500,000     4.000     03/01/35   1,593,975
Platte County MO R-3 School District Building Corp. Leasehold Revenue Bonds (School Project) (AA-/NR)(b)
1,000,000     4.000     04/01/23   1,042,460
550,000     4.000     04/01/28   573,821
800,000     4.000     04/01/29   831,944
1,475,000     4.000     04/01/30   1,538,882
Rolla MO Certificates of Participation Series B (A+/NR)(b)
225,000     3.150     07/01/27   231,811
410,000     3.450     07/01/32   420,426
Saint Louis MO Airport Revenue Bonds (Lambert-St. Louis International Airport) Series 2005 (NPFG) (A-/A2)
2,135,000     5.500     07/01/28   2,845,891
Saint Louis MO Airport Revenue Bonds (Refunding -St. Louis Lambert International Airport) Series C (A-/A2)
500,000     5.000     07/01/27   632,870
1,000,000     5.000     07/01/28   1,292,970
Saint Louis MO Special Administrative Board of the Transitional School District GO Bonds (Direct Deposit Program) Series 2012 (AA+/NR)(b)
3,000,000     4.000     04/01/23   3,133,830
Saint Louis MO Special Administrative Board of the Transitional School District GO Bonds (Direct Deposit Program) Series A (AA+/NR)(b)
1,300,000     4.000     04/01/23   1,357,993
Saint Louis MO Special Administrative Board of the Transitional School District GO Bonds (Direct Deposit Program) Series B (AA+/NR)(b)(c)
1,000,000     4.000     04/01/21   1,006,390
Southern Platte MO Fire Protection District Series 2018 (NR/Aa2)(b)
540,000     4.000     03/01/38   606,690
Springfield MO Public Utility Revenue Bonds (Refunding) Series 2015 (AA+/NR)(b)
1,310,000     4.000     08/01/31   1,492,391
Springfield MO Special Obligation Revenue Bonds (Refunding) Series A (NR/Aa2)
925,000     2.000     05/01/21   929,385
Springfield MO Special Obligation Revenue Bonds (Refunding) Series B (AMT) (NR/Aa2)
2,275,000     5.000     07/01/27   2,845,570

 

 


COMMERCE MISSOURI TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Missouri – (continued)
Springfield MO Special Obligation Revenue Bonds (Refunding) Series B (AMT) (NR/Aa2) (continued)
$1,220,000     5.000 %(b)    07/01/28   $    1,521,974
1,400,000     5.000 (b)    07/01/30   1,723,470
Springfield MO Special Obligation Revenue Bonds (Refunding) Series B (NR/Aa3)
1,335,000     2.000     05/01/21   1,341,007
1,000,000     4.000 (b)    05/01/26   1,080,350
1,405,000     4.000 (b)    05/01/27   1,515,068
Springfield MO Special Obligation Revenue Bonds (Sewer Systems Improvement Project) Series 2012 (NR/Aa2)
1,275,000     5.000     04/01/22   1,347,802
1,340,000     5.000 (b)    04/01/23   1,414,678
Springfield MO Special Obligation Revenue Bonds Series 2020 (NR/Aa2)(b)
470,000     4.000     11/01/34   553,369
475,000     4.000     11/01/35   557,688
815,000     4.000     11/01/36   953,900
845,000     4.000     11/01/37   986,428
920,000     4.000     11/01/38   1,071,349
St. Charles County MO Public Water Supply District No. 2 Certificates of Participation (Refunding) Series 2016 (AA+/NR)(b)
1,000,000     4.000     12/01/31   1,141,090
St. Charles MO Certificates of Participation Series 2012 (NR/A1)(b)
1,000,000     3.000     05/01/22   1,002,030
St. Joseph MO Industrial Development Authority Special Obligation Revenue Bonds (Refunding) (Sewer System Improvements Project) Series B (A+/NR)(b)
1,085,000     5.000     04/01/26   1,290,673
St. Louis County MO Community College District Certificates of Participation Series 2017 (AA/NR)(b)
1,000,000     4.000     04/01/35   1,155,880
2,000,000     4.000     04/01/36   2,304,700
St. Louis County MO Community College District Certificates of Participation Series 2017 (NR/NR)(b)
2,515,000     4.000     04/01/37   2,889,408
St. Louis County MO Library District Certificates of Participation (AA/Aa2)(b)
1,855,000     4.000     04/01/25   1,999,171
1,930,000     4.000     04/01/26   2,078,475
2,010,000     4.000     04/01/27   2,160,268
St. Louis County MO Parkway School District No. C-2 GO Bonds Series B (AAA/NR)(b)
1,000,000     4.000     03/01/32   1,124,460
St. Louis County MO Special School District Certificates of Participation (Lease) Series B (AA/NR)(b)
1,735,000     4.000     04/01/26   1,809,223
St. Louis MO Airport Revenue Bonds (Refunding-Lambert International Airport) Series 2012 (AMT) (A-/A2)(b)
1,280,000     5.000     07/01/23   1,356,966
St. Louis MO Junior College District Building Corp. Leasehold Revenue Bonds (Refunding) (AA/NR)
750,000     3.000     04/01/21   753,450
800,000     3.000     04/01/22   826,024
800,000     3.000 (b)    04/01/23   823,544
St. Louis MO Muni Finance Corp. (Refunding-Carnahan Court House) Series A (A/NR)
2,710,000     5.000     02/15/27   3,285,468
St. Louis MO Municipal Finance Corporation Revenue Bonds
Series A (A/NR)
1,320,000     5.000     04/15/25   1,514,990
1,390,000     5.000     04/15/26   1,638,740

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Missouri – (continued)
St. Louis MO Municipal Finance Corporation Sales Tax Leasehold Revenue Bonds (Refunding) Series 2016 (A/NR)
$1,000,000     5.000   02/15/24   $    1,115,100
2,595,000     4.000 (b)    02/15/35   2,826,889
St. Louis MO Municipal Library District Revenue Bonds (Refunding) Series 2020 (AA/NR)(b)
1,900,000     3.000     03/15/39   2,011,321
St. Louis MO Special Administrative Board of the Transitional School District GO Bonds (Direct Deposit Program) Series 2017 (AA+/NR)(b)
1,000,000     4.000     04/01/29   1,171,910
1,000,000     4.000     04/01/30   1,165,640
Stone County MO Reorganized School District No. 4 (Refunding -MO Direct Deposit Program) Series 2016 (AA+/NR)(b)
1,725,000     4.000     03/01/33   1,968,742
1,840,000     4.000     03/01/34   2,092,190
Truman MO State University Housing Society Revenue Bonds (Refunding-Revenue) Series 2016 (NR/A2)(b)
865,000     3.000     06/01/25   917,592
University MO School District GO Bonds (Refunding) (Direct Deposit Program) Series 2017 (AA+/NR)
1,760,000     4.000     02/15/26   2,082,344
Valley Park MO Fire Protection District GO Bonds Series 2019 (AA/NR)
360,000     4.000     03/01/25   413,240
535,000     4.000     03/01/26   631,337
555,000     4.000     03/01/27   670,385
450,000     4.000 (b)    03/01/35   520,200
500,000     4.000 (b)    03/01/37   575,145
755,000     4.000 (b)    03/01/39   865,079
Warrensburg MO School District No R-VI GO Bonds (Direct Deposit Program) Series 2020 (AA+/NR)(b)
500,000     3.000     03/01/36   549,335
560,000     3.000     03/01/37   613,698
Webster County MO Marshfield School District No. R-1 GO Bonds (Direct Deposit Program) Series A (AA+/NR)(b)
500,000     4.000     03/01/32   603,895
890,000     4.000     03/01/33   1,065,998
Wentzville MO Certificates of Participation (Refunding) Series 2015 (NR/A1)
1,160,000     4.000     08/01/25   1,337,573
1,000,000     4.000 (b)    08/01/26   1,148,540
Wentzville MO School District No. 4 (Refunding) (Direct Deposit Program) Series 2016 (NR/NR)(a)(b)
2,000,000     0.000     03/01/26   1,851,600
2,095,000     0.000     03/01/27   1,869,662
Wentzville MO School District No. 4 (Refunding) (Direct Deposit Program) Series 2017 (AA+/Aa1)(b)
3,200,000     4.000     03/01/29   3,743,008
Wentzville R-IV School District MO Lease Certificates of Participation (Refunding & Improvement Certificates) Series 2016 (NR/Aa3)(b)
1,810,000     4.000     04/01/32   2,009,462
1,800,000     4.000     04/01/33   1,985,202
1,800,000     4.000     04/01/34   1,981,530
Wentzville R-IV School District MO Lease Certificates of Participation Series 2015 (NR/Aa3)
565,000     5.000     04/01/24   647,078
990,000     4.000 (b)    04/01/25   1,099,642
     

 

      336,026,988

 

 


COMMERCE MISSOURI TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
North Dakota(b) – 0.7%
North Dakota State Housing Finance Agency Homeownership Revenue Bonds (Home Mortgage Finance Program) Series C (NR/Aa2)
$2,310,000     2.600   07/01/28   $    2,462,114
395,000     3.150     01/01/36   419,794
     

 

      2,881,908

 

Ohio(b) – 0.6%
Northeast Ohio Regional Sewer District Revenue Bonds (Refunding) Series 2019 (AA+/Aa1)
2,000,000     3.000     11/15/38   2,291,460

 

Washington(b) – 0.7%
Port of Seattle WA Revenue Bonds (Refunding-Intermediate) Series A (A+/A1)
2,500,000     5.000     08/01/29   2,661,825

 

TOTAL MUNICIPAL BOND OBLIGATIONS
(Cost $353,597,160)
  $375,559,489

 

Shares   

Dividend

Rate

  Value
Investment Company – 3.1%
State Street Institutional US Government Money Market Fund - Premier Class
12,211,704    0.030%   $  12,211,704
    (Cost $12,211,704)  

 

TOTAL INVESTMENTS – 99.0%
(Cost $365,808,864)
  $387,771,193

 

OTHER ASSETS IN EXCESS OF
    LIABILITIES – 1.0%
  3,786,166

 

NET ASSETS – 100.0%   $391,557,359

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security issued with a zero coupon. The actual effective yield of this security is different than the stated coupon due to the accretion of discount.
(b)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(c)   Prerefunded security. Maturity date disclosed is prerefunding date.
(d)   Variable rate security. The interest rate shown reflects the rate as of October 31, 2020.
(e)   Rate shown is that which is in effect on January 31, 2021. Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions.
Security ratings disclosed, if any, are issued by S&P Global Ratings/Moody’s Investors Service and are unaudited. A description of the ratings is available in the Fund’s Statement of Additional Information.

 

 

 

Investment Abbreviations:
AMBAC  

— Insured by American Municipal Bond Assurance Corp.

AMT  

— Alternative Minimum Tax

FHA  

— Insured by Federal Housing Administration

FHLMC  

— Federal Home Loan Mortgage Corp.

FNMA  

— Federal National Mortgage Association

GNMA  

— Government National Mortgage Association

GO  

— General Obligation

NR  

— Not Rated

 

 


COMMERCE KANSAS TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – 95.3%
Alabama(a) – 0.6%
Homewood AL Educational Building Authority Revenue Bonds (Refunding Educational Facilities Samford University) Series A (NR/A3)
$1,000,000     4.000   12/01/35   $    1,137,140

 

California(b) – 2.5%
Burbank CA Unified School District GO Bonds Capital Appreciation Election of 1997 Series C (NPFG) (A+/Baa2)
670,000     0.000     07/01/27   624,527
Manteca CA Unified School District GO Bonds Capital Appreciation Election 2004 Series 2006 (NPFG) (NR/Aa2)
2,000,000     0.000     08/01/28   1,825,200
San Marcos Unified School District GO Bonds (Capital Appreciation) (AA-/Aa3)
2,275,000     0.000     08/01/24   2,232,685
     

 

      4,682,412

 

Illinois(a) – 0.9%
Illinois State Housing Development Authority Revenue Bonds (Homeowner Mortgage) Subseries A-1 (GNMA/FNMA/FHLMC) (AA/Aa2)
510,000     3.500     08/01/31   557,435
Lake County IL Community Consolidated School District No. 73 Hawthorn GO Bonds (Refunding) Series B (AA+/NR)
1,000,000     4.000     01/01/33   1,163,610
     

 

      1,721,045

 

Indiana(a) – 1.0%
Carmel IN Local Public Improvement Bond Bank Revenue Bonds Series B-1 (AA/NR)
440,000     4.000     01/15/35   509,863
Wabash City IN Schools Building Corp. Revenue Bonds Series 2019 (AA+/NR)
1,050,000     4.000     07/15/30   1,270,353
     

 

      1,780,216

 

Kansas – 84.8%
Allen County KS Public Building Community Revenue Bonds (Allen County Hospital Project) Series 2012 (A/NR)(a)(c)
3,425,000     5.000     12/01/22   3,728,524
Arkansas City KS Public Building Commission Revenue Bonds (Refunding) Series 2019 (A/NR)
560,000     5.000     09/01/27   705,270
585,000     5.000     09/01/28   751,374
415,000     5.000 (a)    09/01/29   527,581
Blue Valley KS Recreation Commission Certificates of Participation (Recreation Facilities) (AGM) (AA/Aa2)(a)
800,000     4.000     10/01/27   926,248
Bourbon County KS Unified School District No. 234-Fort Scott GO Bonds Series 2014 (A/NR)
900,000     5.000     09/01/23   1,004,913
Butler County KS Unified School District No. 385 GO Bonds (Refunding-School Building) Series 2017 (AA-/Aa3)(a)
1,000,000     4.000     09/01/30   1,198,260
500,000     4.000     09/01/31   590,605
Chisholm Creek Utility Authority KS Water and Wastewater Facilities Revenue Bonds (Refunding - Bel Aire & Park City Project) Series 2017 (AGM) (AA/NR)
1,315,000     5.000     09/01/26   1,627,707
1,305,000     4.000 (a)    09/01/28   1,559,971

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Kansas – (continued)
Chisholm Creek Utility Authority KS Water and Wastewater Facilities Revenue Bonds (Refunding) (AMBAC) (NR/WR)
$1,000,000     5.250   09/01/24   $    1,162,130
City of Abilene KS Public Building Commission Revenue Bonds (Refunding-Hospital District No. 1) Series 2017 (AA-/NR)(a)
560,000     5.000     12/01/28   718,732
600,000     4.000     12/01/29   719,982
650,000     4.000     12/01/30   776,704
City of Dodge KS GO Bonds (Refunding) Series B (A+/NR)
670,000     4.000     09/01/26   793,883
740,000     4.000 (a)    09/01/28   885,625
City of Emporia KS GO Bonds (Refunding) Series 2020 (AA/NR)
300,000     3.000     09/01/21   304,836
305,000     3.000     09/01/22   318,072
525,000     3.000     09/01/23   560,690
City of Garden KS GO Bonds (Refunding) Series 2020-A (NR/Aa3)(a)
1,255,000     3.000     11/01/29   1,431,792
1,000,000     3.000     11/01/30   1,132,670
City of Manhattan KS Hospital Revenue Bonds (Refunding-Mercy Regional Hospital Center, Inc.) Series 2013 (A+/NR)(a)
2,000,000     5.000     11/15/29   2,136,720
City of Mulvane KS GO Bonds (Refunding) Series A (AA-/NR)
500,000     5.000     09/01/25   609,585
City of Salina KS Water & Sewage System Revenue Bonds (Refunding) Series A (NR/Aa3)(a)
495,000     3.000     10/01/27   557,043
350,000     3.000     10/01/28   391,104
300,000     3.000     10/01/29   333,327
City of Topeka KS Combined Utility Revenue Bonds (Refunding) Series A (NR/Aa3)(a)
545,000     4.000     08/01/27   647,722
445,000     3.000     08/01/28   509,485
525,000     3.000     08/01/29   595,135
City of Topeka KS GO Bonds (Refunding) Series A (AA/NR)(a)
2,000,000     2.000     08/15/28   2,096,140
City of Wichita KS GO Bonds (Refunding & Improvement) Series 2020-32 (NR/NR)
3,000,000     3.500     10/15/21   3,071,910
Dickinson County KS Public Building Commission Revenue Bonds Series 2018 (AA-/NR)(a)
1,550,000     3.250     08/01/33   1,730,962
1,000,000     5.000     08/01/44   1,209,360
Dickinson County KS Unified School District No. 435 GO Bonds (Taxable-Refunding) Series 2019 (A+/NR)(a)
375,000     2.950     09/01/32   415,271
Douglas County KS Unified School District No. 491 GO Bonds (Edora-Refunding) Series B-2019 BAM (AA/A2)
1,010,000     4.000     09/01/29   1,263,308
Finney County Unified School District No. 457 GO Bonds (Refunding) Series A (A+/NR)(a)
1,530,000     4.000     09/01/30   1,776,605
Franklin County KS Unified School District No. 290 GO Bonds Series A (NR/A1)(a)(c)
2,470,000     5.000     09/01/25   2,997,715
Geary Country KS GO Bonds (Refunding) Series 2016 (A/NR)(a)
1,000,000     4.000     09/01/29   1,168,390
Geary County KS Unified Government GO Bonds (Refunding & Improvement) Series B (AA-/NR)(a)
380,000     4.000     12/01/26   443,931
310,000     5.000     12/01/37   366,575

 

 


COMMERCE KANSAS TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Kansas – (continued)
Geary County KS Unified School District No. 475 (Taxable) Series C (NR/Aa2)(a)
$   865,000     3.661   09/01/32   $       960,202
Goddard KS GO Bonds Series 2019-1 (NR/NR)(a)
1,000,000     3.000     12/01/22   1,020,780
Johnson & Miami Counties KS Unified School District No. 230 GO Bonds Series A (NR/Aa3)(a)
1,000,000     4.000     09/01/32   1,204,380
Johnson & Miami County KS Unified School District No. 230 GO Bonds (Refunding) Series 2016 (NR/Aa3)
1,000,000     5.000     09/01/26   1,250,880
1,000,000     3.500 (a)    09/01/30   1,121,410
Johnson & Miami County KS Unified School District No. 230 GO Bonds Series B (NR/Aa3)(a)
1,000,000     4.000     09/01/33   1,174,530
Johnson County KS Improvement GO Bond Series A (AAA/Aaa)(a)
2,000,000     4.000     09/01/34   2,380,480
Johnson County KS Park & Recreation District Certificates of Participation Series A (NR/Aa2)(a)
1,000,000     4.000     09/01/23   1,050,620
Johnson County KS Unified School District No. 231 GO Bonds (Improvement) Series 2013-A (AA-/NR)
2,395,000     5.000     10/01/22   2,590,049
Johnson County KS Unified School District No. 231 GO Bonds (Refunding & Improvement) Series A (AA-/NR)(a)
1,500,000     4.000     10/01/36   1,684,590
Johnson County KS Unified School District No. 233 GO Bonds (Refunding & Improvement) Series C (AA/Aa2)(a)
500,000     5.000     09/01/27   513,830
Johnson County KS Unified School District No. 233 GO Bonds (Refunding) Series B (AA/Aa2)(a)
1,000,000     4.000     09/01/31   1,178,230
Johnson County KS Unified School District No. 233 GO Bonds (Refunding) Series C (AA/Aa2)(a)
1,000,000     4.000     09/01/29   1,180,930
Johnson County KS Unified School District No. 512 Shawnee Mission GO Bonds (Refunding & Improvement) Series B
(NR/Aaa)(a)
630,000     4.000     10/01/30   743,469
Johnson County KS Unified School District No. 512 Shawnee Mission GO Bonds (Refunding) Series A (NR/Aaa)(a)
1,000,000     4.000     10/01/35   1,135,010
Junction City KS GO Bonds (Refunding Water & Sewer System) Series B (NR/NR)(a)(c)
825,000     5.500     09/01/21   850,550
Junction City KS GO Bonds (Refunding) Series A (A+/NR)(a)
600,000     5.000     09/01/33   614,490
600,000     5.000     09/01/34   614,418
Kansas City KS Community College District Certificates of Participation (Refunding) Series A (AA-/NR)
500,000     4.000     04/01/21   503,045
700,000     4.000     04/01/22   730,149
945,000     4.000     04/01/23   1,017,973
545,000     4.000     04/01/24   605,408
1,000,000     4.000     04/01/25   1,141,410
350,000     4.000     04/01/26   410,333
Kansas City KS Community College District Certificates of Participation (Taxable-Refunding) Series B (AA-/NR)
605,000     2.450     04/01/27   644,555

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Kansas – (continued)
Kansas Development Finance Authority Hospital Revenue Bonds (Refunding-Adventist Health Sunbelt Obligation Group) Series A (AA/Aa2)(a)
$2,770,000     5.000   11/15/32   $    2,924,400
Kansas Development Finance Authority Revenue Bonds (Refunding-State of Kansas University Project) Series A (NR/Aa3)(a)
1,910,000     2.000     05/01/31   2,033,844
Kansas Development Finance Authority Revenue Bonds (Wichita University Union Corporation Student Housing Project) Series F-1 (NR/Aa3)(a)
1,000,000     5.000     06/01/24   1,014,530
790,000     5.250     06/01/42   799,433
Kansas Economic Development Authority Revenue Bonds Series 2020-T (A+/A1)
4,000,000     5.000     12/01/21   4,159,240
Kansas State Department of Transportation Highway Revenue Bonds Series 2015 (AA/Aa2)(a)
1,250,000     5.000     09/01/29   1,508,862
1,110,000     5.000     09/01/34   1,320,634
Kansas State Development Finance Authority Health Facilities Revenue Bonds (KU Health System) Series J (AAA/NR)(a)(d)(e)
7,230,000     0.010     03/01/41   7,230,000
Kansas State Development Finance Authority Revenue Bonds (Refunding-State of Kansas Project) Series F (A+/Aa3)(a)
1,895,000     3.000     11/01/32   2,064,337
Kansas State Development Finance Authority Revenue Bonds (University Projects) Series A (A+/Aa3)(a)
2,000,000     4.000     03/01/31   2,178,880
Kansas State Development Finance Authority Revenue Bonds Series G (A+/Aa3)(a)
1,000,000     5.000     04/01/30   1,087,750
Lawrence KS Hospital Revenue Bonds (Refunding) (Lawrence Memorial Hospital) Series A (A/NR)(a)
1,335,000     4.000     07/01/37   1,534,569
Lawrence KS Hospital Revenue Bonds (Refunding) (Lawrence Memorial Hospital) Series II (NR/NR)
2,770,000     4.000     05/01/21   2,796,287
Leavenworth County KS Unified School District No. 453 GO Bonds Series A (NR/Aa3)(a)
1,165,000     4.000     09/01/31   1,353,940
500,000     4.000     09/01/38   566,210
Leavenworth County KS Unified School District No. 464 GO Bonds (Refunding & Improvement) Series B (NR/A1)(a)(c)
500,000     4.000     09/01/22   529,970
Leavenworth County KS Unified School District No. 469 Lansing GO Bonds (Refunding) Series 2016 (NR/A1)
1,000,000     4.000     09/01/26   1,178,880
Lyon County KS Unified School District No. 253 Emporia GO Bonds Series 2019 (NR/A1)(a)
1,050,000     4.000     09/01/33   1,241,593
Miami County Unified School District No. 416 GO Bonds (Refunding) Series 2020 (AA-/NR)(a)
500,000     3.000     09/01/38   554,070
250,000     3.000     09/01/39   276,275
380,000     3.000     09/01/40   418,730
400,000     3.000     09/01/41   439,176
Newton KS GO Bonds (Refunding) Series A (AA-/NR)(a)
1,555,000     3.000     09/01/27   1,643,946
1,180,000     3.000     09/01/28   1,245,797

 

 


COMMERCE KANSAS TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Kansas – (continued)
Reno County KS Unified School District No. 313 GO Bonds Series A (NR/A2)(a)
$1,930,000     4.000   09/01/26   $    2,036,729
Riley County KS Unified School District No. 383 GO Bonds (Prerefunded-Refunding) Series 2016 (NR/NR)(a)(c)
170,000     3.000     09/01/26   194,874
Riley County KS Unified School District No. 383 GO Bonds (Unrerefunded-Refunding) Series 2016 (NR/Aa2)(a)
1,830,000     3.000     09/01/30   2,015,470
Scott County KS Unified School District No. 466 GO Bonds Series A (NR/A2)(a)
920,000     5.000     09/01/28   1,097,928
965,000     5.000     09/01/29   1,147,433
Sedgwick County KS Unified School District No. 260 GO Bonds (Refunding) Series 2016 (NR/Aa3)
1,000,000     4.000     10/01/30   1,266,600
1,000,000     4.000     10/01/31   1,281,810
Sedgwick County KS Unified School District No. 261 GO Bonds Series 2016 (NR/A1)(a)
985,000     3.000     11/01/32   1,068,469
Sedgwick County KS Unified School District No. 262 GO Bonds (Refunding) Series 2015 (A+/NR)(a)
800,000     4.000     09/01/25   899,184
1,500,000     4.000     09/01/26   1,683,030
Sedgwick County KS Unified School District No. 262 GO Bonds Series 2016 (A+/NR)(a)(c)
1,425,000     5.000     09/01/24   1,664,457
Sedgwick County KS Unified School District No. 265 GO Bonds (Refunding) Series B (NR/Aa3)(a)
1,300,000     4.000     10/01/29   1,531,582
Sedgwick County KS Unified School District No. 266 GO Bonds Series A (AA/NR)
300,000     3.000     09/01/26   337,989
715,000     4.000 (a)    09/01/29   866,001
Seward County KS Unified School District No. 480 GO Bonds (Refunding & Improvement) (A+/A1)(a)(c)
1,000,000     5.000     09/01/22   1,077,370
Seward County KS Unified School District No. 480 GO Bonds (Refunding) Series 2017 (NR/A1)(a)
1,000,000     4.000     09/01/28   1,191,860
Seward County KS Unified School District No. 480 GO Bonds (Refunding) Series B (A+/A1)(a)
700,000     4.000     09/01/30   798,133
Shawnee County KS Certificates of Participation Series 2015 (NR/Aa2)(a)
485,000     4.000     09/01/30   552,992
1,000,000     4.000     09/01/31   1,134,260
1,065,000     5.000     09/01/32   1,261,301
Shawnee County KS GO Bonds (Refunding) Series 2015 (NR/Aa1)
435,000     3.000     09/01/22   454,919
450,000     3.000     09/01/23   480,591
490,000     3.000     09/01/25   546,781
Shawnee County KS Public Building Commission Revenue Bond (Expocentre Project) Series 2018 (NR/Aa1)(a)
600,000     4.000     09/01/29   706,434
650,000     4.000     09/01/30   760,727
Shawnee County KS Unified School District No. 345 Seaman GO Bonds (Commercial Mortgage Backed Securities-Refunding-Improvement) Series A (NR/Aa3)(a)(b)
2,000,000     0.000     09/01/23   1,935,800

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Kansas – (continued)
Shawnee County KS Unified School District No. 437 GO Bonds (Refunding) Series 2015 (AA/NR)(a)
$   910,000     4.000   09/01/27   $    1,046,145
State of Kansas Department of Transportation High Way Revenue Bonds Series A (AA/Aa2)
1,000,000     5.000     09/01/27   1,287,420
1,250,000     5.000 (a)    09/01/32   1,564,500
University of Kansas Hospital Authority (Health Facilities) Revenue Bonds Series A (AA-/NR)
1,500,000     5.000     03/01/28   1,955,430
1,930,000     5.000 (a)    09/01/48   2,397,311
Washburn University KS Revenue Bonds Series 2014 (Refunding) (NR/A1)
460,000     3.000     07/01/22   476,183
Wichita KS GO Bonds (AMT-Airport) Series C (AA+/Aa2)
590,000     5.000     12/01/25   725,458
Wichita KS GO Bonds Series B (AMT) (AA+/Aa2)(a)
940,000     4.000     12/01/42   1,074,063
Wichita KS Sales Tax Special Obligation Revenue Bonds (River District Stadium Star Bond Project) Series 2018 (NR/A1)(a)
1,000,000     5.000     09/01/32   1,205,660
Wichita KS Water & Sewer Utility Revenue Bonds (Refunding) Series B (AA-/NR)(a)
415,000     4.000     10/01/26   469,394
Wichita KS Water & Sewer Utility Revenue Bonds Series A (AA-/NR)(a)
1,560,000     4.000     10/01/29   1,865,542
Wyandotte County Kansas City KS Unified Government Utility System Revenue Bonds (Public Utilities) Series A (A/A2)(a)(c)
525,000     5.000     09/01/22   565,184
Wyandotte County Kansas City KS Unified Government Utility System Revenue Bonds (Refunding & Improvement) Series A
(A/A2)(a)
1,000,000     5.000     09/01/26   1,158,970
1,000,000     4.250     09/01/39   1,094,910
Wyandotte County KS School District No. 204 GO Bonds Series A (NR/Aa3)(a)
1,000,000     3.000     09/01/37   1,078,660
Wyandotte County KS School District No. 500 GO Bonds Series A (AA-/Aa3)(a)(c)
500,000     5.500     09/01/26   639,635
     

 

      156,766,120

 

Massachusetts(a) – 0.0%
Massachusetts Educational Financing Authority Education Loan Revenue Bonds (Issue I) Series A (AA/NR)
30,000     5.300     01/01/30   30,227

 

Michigan(a) – 1.0%
Michigan State Housing Development Authority, SF Mortgage Revenue Bonds (Non-ACE) Series B (AA+/Aa2)
1,665,000     2.900     06/01/28   1,837,078

 

Nevada(a) – 0.6%
Clark County NV GO Bonds (Refunding Las Vegas Convention & Visitors Authority) Series C (AA+/Aa1)
1,000,000     3.000     07/01/35   1,098,690

 

 


COMMERCE KANSAS TAX-FREE INTERMEDIATE BOND FUND

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

Principal
Amount
  Interest
Rate
    Maturity
Date
  Value
Municipal Bond Obligations – (continued)
Ohio(a) – 0.6%
Elyria OH Library Improvement Revenue Bonds Series 2018 (A+/NR)
$1,000,000     4.000   12/01/42   $    1,096,620

 

Texas(a) – 1.4%
Arlington TX Higher Education Finance Corp. Revenue Bonds (KIPP Texas, Inc.) Series 2018 (PSF-GTD) (AAA/NR)
1,000,000     4.000     08/15/32   1,205,030
Austin TX Community College District Public Facility Corp. Lease Revenue Bonds Series C (AA/Aa2)
1,090,000     4.000     08/01/35   1,269,817
     

 

      2,474,847

 

Utah(a) – 0.7%
Unified Fire Service Area Local Building Authority Lease Revenue Bonds (Refunding) Series 2016 (NR/Aa2)
675,000     3.000     04/01/34   719,098
Utah State Building Ownership Authority Lease Revenue Bonds (State Facilities Master Lease Program) Series 2016 (AA+/Aa1)
500,000     3.000     05/15/34   533,240
     

 

      1,252,338

 

Washington(a) – 0.6%
Port of Seattle WA Revenue Bonds (Refunding-Intermediate) Series A (A+/A1)
1,000,000     5.000     08/01/29   1,064,730

 

Wisconsin(a) – 0.6%
Wisconsin State Health & Educational Facilities Authority Revenue Bonds (Refunding-Ascension Health Credit Group) Series A (AA+/Aa2)
1,000,000     4.000     11/15/34   1,146,780

 

TOTAL MUNICIPAL BOND OBLIGATIONS
(Cost $164,927,131)
  $176,088,243

 

Shares   

Dividend

Rate

  Value
Investment Company – 3.7%
State Street Institutional US Government Money Market Fund - Premier Class
6,890,501    0.030%   $    6,890,501
(Cost $6,890,501)  

 

TOTAL INVESTMENTS – 99.0%

(Cost $171,817,632)

  $182,978,744

 

OTHER ASSETS IN EXCESS OF
LIABILITIES – 1.0%

  1,827,258

 

NET ASSETS – 100.0%   $184,806,002

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security with “Call” features with resetting interest rates.
(b)   Security issued with a zero coupon. The actual effective yield of this security is different than the stated coupon due to the accretion of discount.
(c)   Prerefunded security. Maturity date disclosed is prerefunding date.
(d)   Rate shown is that which is in effect on January 31, 2021. Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions.
(e)   Variable rate security. The interest rate shown reflects the rate as of January 31, 2021.
Security ratings disclosed, if any, are issued by Standard & Poor’s Ratings Services/Moody’s Investors Service and are unaudited. A description of the ratings is available in the Fund’s Statement of Additional Information.

 

 

Investment Abbreviations:
AGM  

— Insured by Assured Guaranty Municipal Corp.

AMBAC  

— Insured by American Municipal Bond Assurance Corp.

AMT  

— Alternative Minimum Tax

FHLMC  

— Federal Home Loan Mortgage Corp.

FNMA  

— Federal National Mortgage Association

GNMA  

— Government National Mortgage Association

GO  

— General Obligation

NR  

— Not Rated

PSF-GTD  

— Guaranteed by Permanent School Fund

WR  

— Withdrawn Rating

 

 


COMMERCE FUNDS

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS

 

Investment Valuation — The Funds’ valuation policy is to value investments at fair value.

Investments and Fair Value Measurements — U.S. GAAP defines the fair value of a financial instrument as the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (i.e., the exit price). GAAP establishes a fair value hierarchy that prioritizes the inputs to valuation techniques used to measure fair value. The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). The levels used for classifying investments are not necessarily an indication of the risk associated with investing in these investments. The three levels of the fair value hierarchy are described below:

Level 1 — Unadjusted quoted prices in active markets that are accessible at the measurement date for identical, unrestricted assets or liabilities;

Level 2 — Quoted prices in markets that are not active or financial instruments for which significant inputs     are observable (including, but not limited to, quoted prices for similar investments, interest rates, prepayment speeds and credit risk), either directly or indirectly;

Level 3 — Prices or valuations that require significant unobservable inputs (including the Adviser’s assumptions in determining fair value measurement).

The Trust’s Board of Trustees (the “Board”) has adopted valuation procedures (“Valuation Procedures”) that govern the valuation of the portfolio investments held by the Funds, including investments for which market quotations are not readily available. The Board has delegated to Commerce day-to-day responsibility for implementing and maintaining internal controls and procedures related to the valuation of the Funds’ portfolio investments. To assess the continuing appropriateness of pricing sources and methodologies, Commerce regularly performs price verifications and issues challenges as necessary to third party pricing vendors or brokers, and any differences are reviewed in accordance with the Valuation Procedures.

A. Level 1 and Level 2 Fair Value Investments — The valuation techniques and significant inputs used in determining the fair values for investments classified as Level 1 and Level 2 are as follows:

Equity Securities — Equity securities traded on a U.S. securities exchange or the NASDAQ system, or those located on certain foreign exchanges, including but not limited to the Americas, are valued daily at their last sale price or official closing price on the principal exchange or system on which they are traded. If there is no sale or official closing price or such price is believed by the Adviser to not represent fair value, equity securities may be valued at the closing bid price. To the extent these investments are actively traded, they are classified as Level 1 of the fair value hierarchy, otherwise they are generally classified as Level 2. Certain equity securities containing unique attributes may be classified as Level 2.

Unlisted equity securities for which market quotations are available are valued at the last sale price on the valuation date, or if no sale occurs, at the last bid price, and are generally classified as Level 2.

Underlying Funds (including Money Market Funds) — Underlying Funds (“Underlying Funds”) include other investment companies in which the Funds may invest. Investments in the Underlying Funds are valued at the NAV per share on the day of valuation. Because the Funds invests in Underlying Funds that fluctuate in value, the Funds’ shares will correspondingly fluctuate in value. To the extent these investments are actively traded, they are classified as Level 1 of the fair value hierarchy, otherwise they are generally classified as Level 2. For information regarding an Underlying Fund’s accounting policies and investment holdings, please see the Underlying Fund’s shareholder report.

Debt Securities — Debt securities for which market quotations are readily available are valued daily on the basis of quotations furnished by an independent pricing service or provided by securities dealers. The pricing services may use valuation models or matrix pricing, which consider yield or price with respect to comparable bonds, quotations from bond dealers or by reference to other securities that are considered comparable in characteristics such as rating, interest rate and maturity date, to determine current value.


COMMERCE FUNDS

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

i. Mortgage-Backed and Asset-Backed Securities — Mortgage-backed securities represent direct or indirect participations in, or are collateralized by and payable from, mortgage loans secured by residential and/or commercial real estate property. Asset-backed securities include securities whose principal and interest payments are collateralized by pools of other assets or receivables. The value of certain mortgage-backed and asset-backed securities (including adjustable rate mortgage loans) may be particularly sensitive to changes in prevailing interest rates. The value of these securities may also fluctuate in response to the market’s perception of the creditworthiness of the issuers.

Asset-backed securities may present credit risks that are not presented by mortgage-backed securities because they generally do not have the benefit of a security interest in collateral that is comparable to mortgage assets. Some asset-backed securities may only have a subordinated claim on collateral.

Collateralized mortgage-backed securities (“CMOs”) may exhibit even more price volatility and interest rate risk than other mortgage-backed securities. They may lose liquidity as CMO market makers may choose not to repurchase, or may offer prices, based on current market conditions, that are unacceptable to a Fund based on the Adviser’s analysis of the market value of the security.

ii. Treasury Inflation Indexed Securities —These are treasury securities in which the principal amount is adjusted daily to keep pace with inflation, as measured by the U.S. Consumer Pricing Index for Urban Consumers. The repayment of the original bond principal upon maturity is guaranteed by the full faith and credit of the U.S. Government. The value of U.S. Treasury inflation protected public obligations will generally fluctuate in response to changes in real interest rates, generally decreasing when real interest rates rise and increasing when real interest rates fall. Inflation-protected bonds typically have lower yields than conventional fixed-rate bonds because of their inflation adjustment feature.

Short Term Investments — Short-term investments, except for Government obligations, having a maturity of 60 days or less are generally valued at amortized cost, which approximates fair market value. Government obligations maturing in less than 60 days shall be valued at their market price. With the exception of treasury securities, which are generally classified as Level 1, these investments are classified as Level 2 of the fair value hierarchy.

When-Issued Securities and Forward Commitments — When-issued securities, including TBA (“To Be Announced”) securities, are securities that are authorized but not yet issued in the market and purchased in order to secure what is considered to be an advantageous price or yield to a Fund. A forward commitment involves entering into a contract to purchase or sell securities, typically on an extended settlement basis, for a fixed price at a future date. The purchase of securities on a when-issued or forward commitment basis involves a risk of loss if the value of the security to be purchased declines before the settlement date. Conversely, the sale of securities on a forward commitment basis involves the risk that the value of the securities sold may increase before the settlement date. Although a Fund will generally purchase securities on a when-issued or forward commitment basis with the intention of acquiring the securities for its portfolio, the Fund may dispose of when-issued securities or forward commitments prior to settlement, which may result in a realized gain or loss. For financial reporting purposes, cash collateral that has been pledged to cover obligations of a Fund and cash collateral received, if any, is reported separately on the Statements of Assets and Liabilities as receivables/payables for collateral on certain contracts. Non-cash collateral pledged by a Fund, if any, is noted in the Schedules of Investments.

B. Level 3 Fair Value Investments — The valuation techniques and significant inputs used in determining the fair values for investments classified as Level 3 are as follows:

To the extent that the aforementioned significant inputs are unobservable, or if quotations are not readily available, or if Commerce believes that such quotations do not accurately reflect fair value, the fair value of a Fund’s investments may be determined under valuation procedures approved by the Trust’s Board of Trustees. Commerce, consistent with the Funds’ procedures and applicable regulatory guidance, may make an adjustment to the most recent valuation prices of either domestic or foreign securities in light of significant events to reflect what it believes to be the fair value of the securities at the time of determining a Fund’s NAV. Significant events that could affect a large number of securities in a particular market may include, but are not limited to: significant fluctuations in U.S. or foreign markets; market dislocations; market disruptions; or unscheduled market closings. Significant events that could also affect a single issuer may include, but are not limited to: corporate actions such as reorganizations, mergers and buyouts; ratings downgrades; and bankruptcies.

 


COMMERCE FUNDS

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

C. Fair Value Hierarchy — The following is a summary of the Funds’ investments classified in the fair value hierarchy as of January 31, 2021:

 

GROWTH

Investment Type

     Level 1        Level 2        Level 3  

Assets

              

Common Stock and/or Other Equity Investments

       $216,636,110          $                  —        $         —  

Exchange Traded Fund

       544,271                    

Investment Company

       215,653                    

Total

       $217,396,034          $                   —        $  
              

VALUE FUND

Investment Type

     Level 1        Level 2        Level 3  

Assets

              

Common Stock and/or Other Equity Investments

       $263,541,440          $                  —        $  

Exchange Traded Fund

       10,158,000                    

Investment Company

       3,807,084                    

Total

       $277,506,524          $                   —        $  
              

MIDCAP GROWTH

Investment Type

     Level 1        Level 2        Level 3  

Assets

              

Common Stock and/or Other Equity Investments

       $319,364,185          $                  —        $         —  

Exchange Traded Fund

       2,923,102                    

Investment Company

       906,302                    

Total

       $323,193,589          $                   —        $  
              

BOND

Investment Type

     Level 1        Level 2        Level 3  

Assets

 

Fixed Income

              

Corporate Obligations

       $    1,092,187          $   621,910,358        $  

Mortgage-Backed Obligations

                142,706,397           

Asset-Backed Securities

                203,195,995           

Municipal Bond Obligations

                117,754,648           

U.S. Treasury Obligations and/or Other U.S. Government Agencies

       107,685,554          31,606,946           

Investment Company

       56,344,227                    

Total

       $165,121,968          $1,117,174,344        $  
              

SHORT-TERM GOVERNMENT

Investment Type

     Level 1        Level 2        Level 3  

Assets

              

Fixed Income

              

Asset-Backed Securities

       $                —          $      1,022,548        $  

Mortgage-Backed Obligations

                35,532,766           

U.S. Treasury Obligations and/or Other U.S. Government Agencies

       18,375,882          10,150,743           

Total

       $  18,375,882          $    46,706,057        $  


COMMERCE FUNDS

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

NATIONAL TAX-FREE INTERMEDIATE BOND

Investment Type

     Level 1        Level 2        Level 3  

Assets

              

Fixed Income

              

Municipal Bond Obligations

       $                —          $  421,792,070          $        —  

Corporate Obligations

                5,355,346           

Investment Company

       38,748,086                    

Total

       $  38,748,086          $  427,147,416          $        —  
              

MISSOURI TAX-FREE INTERMEDIATE BOND

Investment Type

     Level 1        Level 2        Level 3  

Assets

              

Fixed Income

              

Municipal Bond Obligations

       $                —          $  375,559,489          $        —  

Investment Company

       12,211,704                    

Total

       $  12,211,704          $  375,559,489          $        —  
              

KANSAS TAX-FREE INTERMEDIATE BOND

Investment Type

     Level 1        Level 2        Level 3  

Assets

              

Fixed Income

              

Municipal Bond Obligations

       $                —          $  176,088,243          $        —  

Investment Company

       6,890,501                    

Total

       $    6,890,501          $  176,088,243          $        —  

For further information regarding security characteristics, see the Schedules of Investments.

The Funds’ risks include, but are not limited to, the following:

Credit Risk — The fixed income Funds are subject to credit risk because an issuer or guarantor of a fixed income security may be unable or unwilling to make interest and principal payments when due. A bond’s value could decline because of concerns about an issuer’s willingness to make such payments.

High Yield Risk — The Bond Fund is subject to high yield risk. High yield securities are subject to greater levels of credit and liquidity risk. High yield securities are considered speculative with respect to an issuer’s ability to make principal and interest payments and may be more volatile than higher-rated securities of similar maturity.

Interest Rate Risk — The fixed income Funds are subject to interest rate risk. Interest rate risk is the risk that the value of the Fund’s portfolio will decline because of rising interest rates. The magnitude of this decline will often be greater for longer-term, fixed-income securities than shorter-term securities. Changing interest rates may have unpredictable effects on the markets and on a Fund’s investments. Recent and any future declines in interest rate levels could cause a Fund’s earnings to fall below the Fund’s expense ratio, resulting in a negative yield and a decline in the Fund’s share price.

Investment Companies Risk — The Funds may invest, consistent with their respective investment objectives and strategies, in securities of other investment companies subject to statutory limitations prescribed by the Act. These limitations include a prohibition on any Fund acquiring more than 3% of the voting shares of any other investment company, and a prohibition on investing more than 5% of the Fund’s total assets in securities of any one investment company or more than 10% of its total assets in securities of all investment companies (except money market funds). The Funds will indirectly bear their proportionate share of any management fees and other expenses paid by such other investment companies.


COMMERCE FUNDS

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

LIBOR Risk — The London Interbank Offered Rate (“LIBOR”) is used extensively in the U.S. and globally as a “benchmark” or “reference rate” for various commercial and financial contracts, including corporate and municipal bonds, bank loans, asset-backed and mortgage-related securities, interest rate swaps and other derivatives.

On July 27, 2017, the head of the UK Financial Conduct Authority announced a desire to phase out the use of LIBOR by the end of 2021. Such announcement indicates that the continuation of LIBOR on the current basis cannot and will not be guaranteed after 2021. Regulators and industry working groups have suggested alternative reference rates, but global consensus is lacking and the process for amending existing contracts or instruments to transition away from LIBOR remains unclear. There also remains uncertainty and risk regarding the willingness and ability of issuers to include enhanced provisions in new and existing contracts or instruments. As such, the transition away from LIBOR may lead to increased volatility and illiquidity in markets that are tied to LIBOR, reduced values of LIBOR-related investments, and reduced effectiveness of hedging strategies, adversely affecting a Fund’s performance or NAV. In addition, the alternative reference rate may be an ineffective substitute resulting in prolonged adverse market conditions for a Fund.

Liquidity Risk — The fixed income Funds are subject to liquidity risk. Each fixed income Fund may not be able to pay redemption proceeds within the time periods described in the Funds’ prospectus because of unusual market conditions, an unusually high number of redemption requests or other reasons. Liquidity risk may result from the lack of an active market or reduced number and capacity of traditional market participants to make a market in fixed income securities, and may be magnified in a rising interest rate environment or other circumstances where investor redemptions from fixed income mutual funds may be higher than normal, causing increased supply in the market due to selling activity. Certain portfolio securities held by the fixed income funds may be less liquid than others, which may make those securities difficult or impossible to sell at an advantageous time or price.

Market Risk — Certain securities and other investments held by the Fund may experience increased volatility, illiquidity, or other potentially adverse effects in response to changing market conditions, inflation, changes in interest rates, lack of liquidity in the bond or equity markets, volatility. in the equity markets, market disruptions caused by local or regional events such as war, acts of terrorism, the spread of infectious illness (including epidemics and pandemics) or’ other public health issues, recessions or other events or adverse investor sentiment. There is also a risk that a particular style of investing, such as growth, may underperform other styles of investing or the market generally.

General economic conditions and/or the activities of individual companies may cause the value of the securities in a Fund to increase or decrease, sometimes rapidly or unpredictably. Your shares at redemption may be worth more or less than your initial investment. The value of a security may decline due to general market conditions that are not specifically related to a particular company, such as real or perceived adverse economic conditions, changes in the general outlook for corporate earnings, changes in interest or currency rates, adverse changes to credit markets or adverse investor sentiment generally. The value of a security may also decline due to factors that affect a particular industry or industries such as labor shortages or increased production costs and competitive conditions within an industry. During a general downturn in the securities markets, multiple asset classes may decline in value simultaneously. Equity securities generally have greater price volatility than fixed income securities.

Credit ratings downgrades may also negatively affect securities held by a Fund. Even when markets perform well, there is no assurance that the investments held by a Fund will increase in value along with the broader market. In addition, market risk includes the risk that geopolitical events will disrupt the economy on a national or global level. For instance, local or regional events such as war, terrorism, market manipulation, government defaults, government shutdowns, natural/environmental disasters, the spread of infectious illness (including epidemics or pandemics) or other public health issues, recessions or other events can, all negatively impact the securities markets, which could cause the Funds to lose value. Any market disruptions could also prevent a Fund from executing advantageous investment decisions in a timely manner. Funds that have focused their investments in a region enduring geopolitical market disruption will face higher risks of loss. Thus, investors should closely monitor current market conditions to determine whether a specific Fund meets their individual financial needs and tolerance for risk.


COMMERCE FUNDS

 

Schedule of Investments (continued)

January 31, 2021 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

Mid-Cap and Small-Cap Risk — The Growth, Value and MidCap Growth Funds are subject to the risks associated with investing in equity securities of mid- and small-cap companies. Investing in securities of smaller and mid-sized companies may be riskier than investing in larger, more established companies. Smaller and mid-sized companies are more vulnerable to adverse developments because of more limited product lines, markets or financial resources. Also, these stocks may trade less often and in limited volume compared to larger cap stocks trading on a national securities exchange. The prices of these stocks may be more volatile than the prices of larger company stocks. As a result, the Fund’s net asset value may be subject to rapid and substantial changes.

Non-Diversified Risk — Non-diversified funds typically hold fewer securities than diversified funds do. Consequently, the change in value of any one security may affect the overall value of a non-diversified portfolio more than it would a diversified portfolio.

Portfolio Concentration Risk — The Missouri Tax-Free Intermediate Bond and Kansas Tax-Free Intermediate Bond Funds invest a large percentage of their assets in obligations of issuers within Missouri and Kansas, respectively. Therefore, they are subject to possible concentration risks associated with economic, political or legal developments or industrial or regional matters specifically affecting those states.

Under normal market conditions, the Missouri Tax-Free Intermediate Bond Fund and the Kansas Tax-Free Intermediate Bond Fund invest at least 80% of their assets plus any borrowings for investment purposes (measured at the time of purchase) in Missouri and Kansas municipal securities, respectively, the income from which, in the opinion of bond counsel, is exempt from regular federal income tax, federal alternative minimum taxes and Missouri and Kansas state taxes, respectively. Alternatively, at least 80% of a Fund’s distributed income must be exempt from such taxes. For each of the Missouri and Kansas Tax-Free Funds, the actual payment of principal and interest on Missouri and Kansas municipal securities is dependent on the Missouri General Assembly and the Kansas legislature, respectively, allotting money each fiscal year for these payments.

The investments of the Growth, Value and MidCap Growth Funds may be concentrated in securities of technology companies. At times, securities of technology companies may experience significant price fluctuations. The Value Fund’s performance may be adversely affected by events affecting the financial sectors, if it invests a relatively large percentage of its assets in those sectors. The financial sectors can be significantly affected by changes in interest rates, government regulation, the rate of corporate and consumer debt defaulted, price competition, and the availability and cost of capital. The MidCap Growth Fund concentrates in mid-cap stocks. Investing in smaller and mid-sized companies may be riskier than investing in larger, more established companies.

The Bond and Short-Term Government Funds may invest 80% and 100%, respectively, of their total assets in mortgage-related securities and the Bond Fund may invest 80% of its total assets in asset-backed securities. Mortgage-backed securities, especially collateralized mortgage-backed securities, may be subject to risks that include price volatility, liquidity, and enhanced sensitivity to interest rates. As a result, mortgage-backed securities may be more difficult to value and liquidate, if necessary. Mortgage-backed securities are also subject to prepayment risk, which may result in a decreased rate of return and a decline in the value of the securities. Asset-backed securities are dependent upon payment of the underlying consumer loans or receivables by individuals, and the certificate holder frequently has no recourse against the entity that originated the loans or receivables. Asset backed securities have a greater risk of default during periods of economic downturn than other securities. Also, asset-backed securities may be less liquid than other securities and therefore more difficult to value and liquidate, if necessary.

Quantitative Model Risk – The Growth, Value and MidCap Growth Funds are subject to the risk that securities selected using quantitative models may perform differently from the market as a whole for many reasons, including the factors used in building the model and the weights placed on each factor, among others. The quantitative models used by the Adviser to manage the Growth, Value and MidCap Growth Funds may not perform as expected, particularly in volatile markets.