0001752724-23-251835.txt : 20231116 0001752724-23-251835.hdr.sgml : 20231116 20231116104933 ACCESSION NUMBER: 0001752724-23-251835 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230930 FILED AS OF DATE: 20231116 DATE AS OF CHANGE: 20231116 PERIOD START: 20240630 FILER: COMPANY DATA: COMPANY CONFORMED NAME: AGF Investments Trust CENTRAL INDEX KEY: 0001479599 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22540 FILM NUMBER: 231412938 BUSINESS ADDRESS: STREET 1: 53 STATE STREET STREET 2: SUITE 1308 CITY: BOSTON STATE: MA ZIP: 02109 BUSINESS PHONE: 617-292-9801 MAIL ADDRESS: STREET 1: 53 STATE STREET STREET 2: SUITE 1308 CITY: BOSTON STATE: MA ZIP: 02109 FORMER COMPANY: FORMER CONFORMED NAME: FQF Trust DATE OF NAME CHANGE: 20091229 0001479599 S000033013 AGF U.S. Market Neutral Anti-Beta Fund C000101802 AGF U.S. Market Neutral Anti-Beta Fund BTAL NPORT-P 1 primary_doc.xml NPORT-P false 0001479599 XXXXXXXX S000033013 C000101802 AGF Investments Trust 811-22540 0001479599 549300LZ7H1IZJQS6J67 99 High Street Suite 2802 Boston 02110 617-292-9801 AGF U.S. Market Neutral Anti-Beta Fund S000033013 549300YBDDPCJBGJCO29 2024-06-30 2023-09-30 N 521830816.49 221833446.74 299997369.75 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 283546153.52999997 N N/A N/A Radian Group, Inc. 54930005OUP720S5U385 Radian Group, Inc. 750236101 44238.00000000 NS USD 1110816.18000000 0.370275306388 Long EC CORP US N 1 N N N Agree Realty Corp. 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PUSS41EMO3E6XXNV3U28 Public Service Enterprise Group, Inc. 744573106 -19089.00000000 NS USD -1086354.99000000 -0.36212150490 Short EC CORP US N 1 N N N Tesla, Inc. 54930043XZGB27CTOV49 Tesla, Inc. 88160R101 -4848.00000000 NS USD -1213066.56000000 -0.40435906521 Short EC CORP US N 1 N N N Cirrus Logic, Inc. 549300NKSJEM5ZZSSV18 Cirrus Logic, Inc. 172755100 15150.00000000 NS USD 1120494.00000000 0.373501274672 Long EC CORP US N 1 N N N Texas Roadhouse, Inc. 5299002Y1CNRPDGXTQ75 Texas Roadhouse, Inc. 882681109 11514.00000000 NS USD 1106495.40000000 0.368835033761 Long EC CORP US N 1 N N N Leidos Holdings, Inc. 549300IUTGTP6EJP8124 Leidos Holdings, Inc. 525327102 12423.00000000 NS USD 1144903.68000000 0.381637906010 Long EC CORP US N 1 N N N Yum! Brands, Inc. 549300JE8XHZZ7OHN517 Yum! Brands, Inc. 988498101 9393.00000000 NS USD 1173561.42000000 0.391190569763 Long EC CORP US N 1 N N N ONE Gas, Inc. 549300HXDWI0LATTX840 ONE Gas, Inc. 68235P108 16059.00000000 NS USD 1096508.52000000 0.365506044574 Long EC CORP US N 1 N N N Dominion Energy, Inc. ILUL7B6Z54MRYCF6H308 Dominion Energy, Inc. 25746U109 24543.00000000 NS USD 1096335.81000000 0.365448474069 Long EC CORP US N 1 N N N Silgan Holdings, Inc. KAF673KJXD92C8KSLU49 Silgan Holdings, Inc. 827048109 26664.00000000 NS USD 1149485.04000000 0.383165039399 Long EC CORP US N 1 N N N DaVita, Inc. M2XHYMU3TZNEZURC6H66 DaVita, Inc. 23918K108 11817.00000000 NS USD 1117061.01000000 0.372356934639 Long EC CORP US N 1 N N N Electronic Arts, Inc. 549300O7A67PUEYKDL45 Electronic Arts, Inc. 285512109 9999.00000000 NS USD 1203879.60000000 0.401296718368 Long EC CORP US N 1 N N N FMC Corp. CKDHZ2X64EEBQCSP7013 FMC Corp. 302491303 13635.00000000 NS USD 913135.95000000 0.304381318663 Long EC CORP US N 1 N N N Schlumberger NV 213800ZUA17OK3QLGM62 Schlumberger NV 806857108 -20301.00000000 NS USD -1183548.30000000 -0.39451955895 Short EC CORP CW N 1 N N N Celanese Corp. 549300FHJQTDPPN41627 Celanese Corp. 150870103 -9696.00000000 NS USD -1217041.92000000 -0.40568419683 Short EC CORP US N 1 N N N Avis Budget Group, Inc. 529900E95812SYWMCE44 Avis Budget Group, Inc. 053774105 -5151.00000000 NS USD -925583.19000000 -0.30853043504 Short EC CORP US N 1 N N N ZoomInfo Technologies, Inc. 2549008GSAHW4UWFEM58 ZoomInfo Technologies, Inc., Class A 98980F104 -65448.00000000 NS USD -1073347.20000000 -0.35778553688 Short EC CORP US N 1 N N N NOV, Inc. 549300EHF3IW1AR6U008 NOV, Inc. 62955J103 -56358.00000000 NS USD -1177882.20000000 -0.39263084239 Short EC CORP US N 1 N N N Lockheed Martin Corp. DPRBOZP0K5RM2YE8UU08 Lockheed Martin Corp. 539830109 2727.00000000 NS USD 1115233.92000000 0.371747899299 Long EC CORP US N 1 N N N Estee Lauder Cos., Inc. (The) 549300VFZ8XJ9NUPU221 Estee Lauder Cos., Inc. (The), Class A 518439104 -7575.00000000 NS USD -1094966.25000000 -0.36499195006 Short EC CORP US N 1 N N N Jones Lang LaSalle, Inc. 6SYKCME112RT8TQUO411 Jones Lang LaSalle, Inc. 48020Q107 -6969.00000000 NS USD -983883.42000000 -0.32796401542 Short EC CORP US N 1 N N N Alcoa Corp. 549300T12EZ1F6PWWU29 Alcoa Corp. 013872106 -40905.00000000 NS USD -1188699.30000000 -0.39623657400 Short EC CORP US N 1 N N N DocuSign, Inc. 549300Q7PVDWRZ39JG09 DocuSign, Inc. 256163106 -24543.00000000 NS USD -1030806.00000000 -0.34360501255 Short EC CORP US N 1 N N N EMCOR Group, Inc. 529900X0SQJB2J7YDU43 EMCOR Group, Inc. 29084Q100 5454.00000000 NS USD 1147467.06000000 0.382492373501 Long EC CORP US N 1 N N N Booz Allen Hamilton Holding Corp. 529900JPV47PIUWMA015 Booz Allen Hamilton Holding Corp. 099502106 10302.00000000 NS USD 1125699.54000000 0.375236469885 Long EC CORP US N 1 N N N Coherent Corp. 549300O5C25A0MMHHU33 Coherent Corp. 19247G107 -32421.00000000 NS USD -1058221.44000000 -0.35274357267 Short EC CORP US N 1 N N N Wayfair, Inc. 54930027N9ZAVYFDHK53 Wayfair, Inc., Class A 94419L101 -18180.00000000 NS USD -1101162.60000000 -0.36705741817 Short EC CORP US N 1 N N N Floor & Decor Holdings, Inc. 549300M5FR3N688XGQ36 Floor & Decor Holdings, Inc., Class A 339750101 -12120.00000000 NS USD -1096860.00000000 -0.36562320560 Short EC CORP US N 1 N N N National Storage Affiliates Trust 529900FS06O8GOYNR108 National Storage Affiliates Trust 637870106 -34845.00000000 NS USD -1105980.30000000 -0.36866333225 Short EC CORP US N 1 N N N Alkermes plc N/A Alkermes plc N/A 43935.00000000 NS USD 1230619.35000000 0.410210046516 Long EC CORP IE N 1 N N N Tetra Tech, Inc. 549300UJ1LP7JGJC5P32 Tetra Tech, Inc. 88162G103 -7272.00000000 NS USD -1105562.16000000 -0.36852395103 Short EC CORP US N 1 N N N Performance Food Group Co. 549300EUK8GR9IT1YK57 Performance Food Group Co. 71377A103 -18786.00000000 NS USD -1105743.96000000 -0.36858455156 Short EC CORP US N 1 N N N Skechers USA, Inc. 529900D2R54KZPA4XR56 Skechers USA, Inc., Class A 830566105 24846.00000000 NS USD 1216211.70000000 0.405407454409 Long EC CORP US N 1 N N N H&R Block, Inc. 549300CE3KUCWLZBG404 H&R Block, Inc. 093671105 29997.00000000 NS USD 1291670.82000000 0.430560714941 Long EC CORP US N 1 N N N Service Corp. International 549300RKVM2ME20JHZ15 Service Corp. International 817565104 18786.00000000 NS USD 1073432.04000000 0.357813817132 Long EC CORP US N 1 N N N FTI Consulting, Inc. 549300K17GM8EQD0FQ48 FTI Consulting, Inc. 302941109 6363.00000000 NS USD 1135222.83000000 0.378410927717 Long EC CORP US N 1 N N N UGI Corp. DX6GCWD4Q1JO9CRE5I40 UGI Corp. 902681105 -50601.00000000 NS USD -1163823.00000000 -0.38794440130 Short EC CORP US N 1 N N N Sysco Corp. 5RGWIFLMGH3YS7KWI652 Sysco Corp. 871829107 -16665.00000000 NS USD -1100723.25000000 -0.36691096689 Short EC CORP US N 1 N N N Lazard Ltd. 254900RIBCDJSUFG1A11 Lazard Ltd., Class A N/A -34845.00000000 NS USD -1080543.45000000 -0.36018430791 Short EC CORP BM N 1 N N N Linde plc 5299003QR1WT0EF88V51 Linde plc N/A 3030.00000000 NS USD 1128220.50000000 0.376076797253 Long EC CORP IE N 1 N N N 2023-10-30 AGF Investments Trust Joshua Hunter Joshua Hunter Principal Financial Officer and Treasurer XXXX NPORT-EX 2 agfetf-partf_093023.htm

 

AGF Investments Trust

AGF U.S. Market Neutral Anti-Beta Fund

Schedule of Investments

September 30, 2023 (Unaudited)

 

Investments

 

Shares

  

Value ($)

 
         
LONG POSITIONS - 77.7%
         
COMMON STOCKS - 77.7%
         
Aerospace & Defense - 2.7%          
BWX Technologies, Inc.(a)   16,470    1,234,921 
Curtiss-Wright Corp.(a)   5,795    1,133,676 
General Dynamics Corp.(a)   5,490    1,213,125 
Huntington Ingalls Industries, Inc.(a)   5,490    1,123,144 
Lockheed Martin Corp.(a)   2,745    1,122,595 
Northrop Grumman Corp.(a)   2,745    1,208,322 
RTX Corp.(a)   14,030    1,009,739 
         8,045,522 
Air Freight & Logistics - 0.4%          
CH Robinson Worldwide, Inc.(a)   12,810    1,103,325 
           
Banks - 2.6%          
Commerce Bancshares, Inc.(a)   24,095    1,156,078 
Cullen/Frost Bankers, Inc.(a)   12,505    1,140,581 
First Financial Bankshares, Inc.(a)   42,090    1,057,301 
First Horizon Corp.(a)   97,905    1,078,913 
Prosperity Bancshares, Inc.(a)   21,350    1,165,283 
UMB Financial Corp.(a)   18,910    1,173,366 
United Bankshares, Inc.(a)   40,870    1,127,603 
         7,899,125 
Biotechnology - 4.7%          
AbbVie, Inc.(a)   8,235    1,227,509 
Alkermes plc*(a)   44,225    1,238,742 
Amgen, Inc.(a)   4,575    1,229,577 
Apellis Pharmaceuticals, Inc.*(a)   28,060    1,067,402 
Biogen, Inc.*(a)   4,575    1,175,821 
Gilead Sciences, Inc.(a)   15,555    1,165,692 
Horizon Therapeutics plc*(a)   10,675    1,234,991 
Incyte Corp.*(a)   18,605    1,074,811 
Neurocrine Biosciences, Inc.*(a)   11,285    1,269,562 
Seagen, Inc.*(a)   5,795    1,229,409 
United Therapeutics Corp.*(a)   5,185    1,171,136 
Vertex Pharmaceuticals, Inc.*(a)   3,355    1,166,668 
         14,251,320 
Building Products - 0.4%          
Carlisle Cos., Inc.(a)   4,575    1,186,115 
           
Capital Markets - 0.8%          
Cboe Global Markets, Inc.(a)   7,930    1,238,745 
CME Group, Inc.(a)   5,795    1,160,275 
         2,399,020 
Chemicals - 2.3%          
Air Products and Chemicals, Inc.(a)   4,270    1,210,118 
CF Industries Holdings, Inc.(a)   15,860    1,359,836 
Corteva, Inc.(a)   23,790    1,217,096 
FMC Corp.(a)   13,725    919,163 
Linde plc(a)   3,050    1,135,668 
NewMarket Corp.(a)   2,745    1,249,085 
         7,090,966 

Investments

 

Shares 

  

Value ($)

 
Commercial Services & Supplies - 1.6%          
RB Global, Inc.   20,130    1,258,125 
Republic Services, Inc.(a)   8,235    1,173,570 
Rollins, Inc.(a)   30,195    1,127,179 
Waste Management, Inc.(a)   7,625    1,162,355 
         4,721,229 
Communications Equipment - 2.4%          
Arista Networks, Inc.*   6,710    1,234,171 
Ciena Corp.*(a)   28,670    1,354,944 
Cisco Systems, Inc.(a)   21,350    1,147,776 
Juniper Networks, Inc.(a)   42,700    1,186,633 
Lumentum Holdings, Inc.*(a)   23,485    1,061,052 
Motorola Solutions, Inc.(a)   4,270    1,162,465 
         7,147,041 
Construction & Engineering - 1.2%          
EMCOR Group, Inc.   5,490    1,155,041 
MDU Resources Group, Inc.(a)   60,085    1,176,465 
WillScot Mobile Mini Holdings Corp.*   29,585    1,230,440 
         3,561,946 
Consumer Staples Distribution & Retail - 0.4%          
Albertsons Cos., Inc., Class A(a)   54,290    1,235,097 
           
Containers & Packaging - 2.0%          
Amcor plc(a)   126,880    1,162,221 
AptarGroup, Inc.   9,455    1,182,253 
Crown Holdings, Inc.(a)   13,420    1,187,402 
Graphic Packaging Holding Co.   55,205    1,229,967 
Silgan Holdings, Inc.   26,840    1,157,072 
         5,918,915 
Distributors - 0.4%          
Genuine Parts Co.(a)   7,930    1,144,933 
           
Diversified Consumer Services - 1.2%          
Grand Canyon Education, Inc.*(a)   10,675    1,247,694 
H&R Block, Inc.(a)   30,195    1,300,197 
Service Corp. International(a)   18,910    1,080,517 
         3,628,408 
Diversified REITs - 0.3%          
WP Carey, Inc., REIT(a)   18,605    1,006,158 
           
Diversified Telecommunication Services - 0.8%          
AT&T, Inc.(a)   85,095    1,278,127 
GCI Liberty, Inc.‡   (6,956)    
Verizon Communications, Inc.(a)   35,990    1,166,436 
         2,444,563 
Electric Utilities - 1.9%          
American Electric Power Co., Inc.(a)   15,250    1,147,105 
Duke Energy Corp.(a)   13,420    1,184,449 
Evergy, Inc.   21,350    1,082,445 
PNM Resources, Inc.(a)   27,450    1,224,544 
Southern Co. (The)(a)   17,690    1,144,897 
         5,783,440 
Electrical Equipment - 0.4%          
Eaton Corp. plc   5,185    1,105,857 


 

 

 

AGF Investments Trust

AGF U.S. Market Neutral Anti-Beta Fund

Schedule of Investments (continued)

September 30, 2023 (Unaudited)

 

Investments 

 

Shares

  

Value ($)

 
Electronic Equipment, Instruments & Components - 2.7%          
Arrow Electronics, Inc.*(a)   9,150    1,145,946 
Avnet, Inc.(a)   24,400    1,175,836 
CDW Corp.(a)   5,795    1,169,199 
Corning, Inc.(a)   36,905    1,124,496 
Crane NXT Co.(a)   20,130    1,118,624 
Jabil, Inc.(a)   10,675    1,354,551 
Teledyne Technologies, Inc.*(a)   2,745    1,121,552 
         8,210,204 
Entertainment - 1.2%          
Activision Blizzard, Inc.(a)   13,115    1,227,957 
Electronic Arts, Inc.(a)   10,065    1,211,826 
Madison Square Garden Sports Corp., Class A(a)   6,710    1,182,973 
         3,622,756 
Financial Services - 0.4%          
Radian Group, Inc.(a)   44,530    1,118,148 
           
Food Products - 3.4%          
Campbell Soup Co.(a)   28,670    1,177,764 
Conagra Brands, Inc.(a)   39,955    1,095,566 
Flowers Foods, Inc.   50,935    1,129,738 
General Mills, Inc.(a)   17,690    1,131,983 
Hershey Co. (The)(a)   5,490    1,098,439 
J M Smucker Co. (The)(a)   8,540    1,049,652 
Kellogg Co.(a)   19,520    1,161,635 
Kraft Heinz Co. (The)(a)   35,685    1,200,443 
Lancaster Colony Corp.(a)   7,320    1,208,020 
         10,253,240 
Gas Utilities - 0.7%          
ONE Gas, Inc.(a)   16,165    1,103,746 
Southwest Gas Holdings, Inc.(a)   18,910    1,142,353 
         2,246,099 
Ground Transportation - 0.7%          
Knight-Swift Transportation Holdings, Inc.(a)   22,265    1,116,590 
Landstar System, Inc.(a)   6,405    1,133,300 
         2,249,890 
Health Care Equipment & Supplies - 0.4%          
Hologic, Inc.*(a)   15,860    1,100,684 
           
Health Care Providers & Services - 2.8%          
Chemed Corp.(a)   2,440    1,268,068 
DaVita, Inc.*(a)   11,895    1,124,434 
HealthEquity, Inc.*(a)   17,690    1,292,255 
Humana, Inc.(a)   2,440    1,187,109 
McKesson Corp.   2,745    1,193,663 
Premier, Inc., Class A(a)   55,205    1,186,907 
UnitedHealth Group, Inc.   2,440    1,230,224 
         8,482,660 
Health Care REITs - 0.8%          
Omega Healthcare Investors, Inc., REIT(a)   39,345    1,304,680 
Physicians Realty Trust, REIT(a)   88,755    1,081,924 
         2,386,604 

Investments

   

Shares

  

Value ($)

 
Hotels, Restaurants & Leisure - 3.0%          
Choice Hotels International, Inc.(a)   9,455    1,158,332 
Darden Restaurants, Inc.(a)   7,625    1,092,052 
McDonald’s Corp.(a)   4,270    1,124,889 
Starbucks Corp.(a)   12,505    1,141,331 
Texas Roadhouse, Inc.(a)   11,590    1,113,799 
Wendy’s Co. (The)(a)   59,475    1,213,885 
Wyndham Hotels & Resorts, Inc.(a)   16,165    1,124,114 
Yum! Brands, Inc.(a)   9,455    1,181,308 
         9,149,710 
Household Durables - 0.6%          
NVR, Inc.*   305    1,818,807 
           
Independent Power and Renewable Electricity Producers - 0.4%          
Vistra Corp.   40,260    1,335,827 
           
Industrial Conglomerates - 0.4%          
Honeywell International, Inc.(a)   6,405    1,183,260 
           
Insurance - 8.6%          
Allstate Corp. (The)(a)   11,285    1,257,262 
Arch Capital Group Ltd.*(a)   16,165    1,288,512 
Assurant, Inc.   8,845    1,269,965 
Axis Capital Holdings Ltd.(a)   21,960    1,237,885 
Chubb Ltd.(a)   6,100    1,269,898 
Enstar Group Ltd.*(a)   4,880    1,180,960 
Erie Indemnity Co., Class A(a)   4,270    1,254,483 
Everest Group Ltd.(a)   3,355    1,246,953 
Globe Life, Inc.(a)   10,675    1,160,693 
Hanover Insurance Group, Inc. (The)(a)   11,285    1,252,409 
Hartford Financial Services Group, Inc. (The)(a)   16,775    1,189,515 
Progressive Corp. (The)   9,150    1,274,595 
Reinsurance Group of America, Inc.(a)   8,540    1,239,923 
RenaissanceRe Holdings Ltd.(a)   6,710    1,328,043 
RLI Corp.(a)   9,455    1,284,840 
Ryan Specialty Holdings, Inc., Class A*(a)   25,620    1,240,008 
Selective Insurance Group, Inc.(a)   12,200    1,258,674 
Travelers Cos., Inc. (The)(a)   7,625    1,245,239 
Unum Group   24,400    1,200,236 
W R Berkley Corp.(a)   19,825    1,258,689 
White Mountains Insurance Group Ltd.(a)   610    912,371 
         25,851,153 
IT Services - 1.2%          
Amdocs Ltd.(a)   13,725    1,159,625 
Gartner, Inc.*(a)   3,355    1,152,812 
International Business Machines Corp.(a)   8,235    1,155,370 
         3,467,807 
Machinery - 1.6%          
Chart Industries, Inc.*(a)   7,015    1,186,377 
Donaldson Co., Inc.   19,825    1,182,363 
PACCAR, Inc.(a)   14,030    1,192,831 


 

 

 

AGF Investments Trust

AGF U.S. Market Neutral Anti-Beta Fund

Schedule of Investments (continued)

September 30, 2023 (Unaudited)

 

Investments

   

Shares

  

Value ($)

 
Snap-on, Inc.(a)   4,575    1,166,899 
         4,728,470 
Media - 1.1%          
Comcast Corp., Class A(a)   26,230    1,163,038 
Fox Corp., Class A(a)   36,905    1,151,436 
TEGNA, Inc.(a)   74,115    1,079,856 
         3,394,330 
Multi-Utilities - 0.7%          
Consolidated Edison, Inc.   13,420    1,147,813 
Dominion Energy, Inc.(a)   24,705    1,103,572 
         2,251,385 
Office REITs - 0.8%          
COPT Defense Properties, REIT(a)   47,580    1,133,831 
Equity Commonwealth, REIT(a)   63,745    1,170,996 
         2,304,827 
Oil, Gas & Consumable Fuels - 2.8%          
Cheniere Energy, Inc.(a)   7,320    1,214,827 
Chesapeake Energy Corp.   14,030    1,209,807 
Chevron Corp.(a)   7,625    1,285,728 
HF Sinclair Corp.(a)   21,350    1,215,455 
Marathon Petroleum Corp.(a)   8,540    1,292,444 
Range Resources Corp.   38,125    1,235,631 
Texas Pacific Land Corp.(a)   610    1,112,372 
         8,566,264 
Pharmaceuticals - 1.5%          
Bristol-Myers Squibb Co.(a)   19,520    1,132,941 
Johnson & Johnson(a)   7,320    1,140,090 
Merck & Co., Inc.(a)   10,980    1,130,391 
Perrigo Co. plc(a)   33,245    1,062,178 
         4,465,600 
Professional Services - 3.4%          
Booz Allen Hamilton Holding Corp.(a)   10,370    1,133,130 
CACI International, Inc., Class A*(a)   3,660    1,148,984 
FTI Consulting, Inc.*(a)   6,405    1,142,716 
Genpact Ltd.(a)   32,635    1,181,387 
Insperity, Inc.(a)   11,895    1,160,952 
KBR, Inc.(a)   19,825    1,168,485 
Leidos Holdings, Inc.(a)   12,505    1,152,461 
Maximus, Inc.(a)   14,945    1,116,093 
Science Applications International Corp.(a)   10,065    1,062,260 
         10,266,468 
Residential REITs - 1.1%          
AvalonBay Communities, Inc., REIT   6,710    1,152,375 
Equity LifeStyle Properties, Inc., REIT(a)   17,995    1,146,462 
Essex Property Trust, Inc., REIT   5,185    1,099,687 
         3,398,524 
Retail REITs - 1.1%          
Agree Realty Corp., REIT(a)   19,520    1,078,285 
NNN REIT, Inc., REIT(a)   30,805    1,088,649 
Realty Income Corp., REIT(a)   21,350    1,066,219 
         3,233,153 
Semiconductors & Semiconductor Equipment - 1.1%          
Analog Devices, Inc.(a)   6,710    1,174,854 

Investments

   

Shares

  

Value ($)

 
Cirrus Logic, Inc.*(a)   15,250    1,127,890 
First Solar, Inc.*(a)   6,710    1,084,269 
         3,387,013 
Software - 2.7%          
ACI Worldwide, Inc.*(a)   50,935    1,149,094 
Aspen Technology, Inc.*(a)   6,100    1,245,986 
Blackbaud, Inc.*(a)   16,470    1,158,170 
Dolby Laboratories, Inc., Class A(a)   14,335    1,136,192 
Gen Digital, Inc.(a)   59,170    1,046,126 
Nutanix, Inc., Class A*(a)   39,345    1,372,353 
PTC, Inc.*(a)   8,235    1,166,735 
         8,274,656 
Specialized REITs - 0.8%          
Gaming and Leisure Properties, Inc., REIT(a)   26,230    1,194,777 
VICI Properties, Inc., REIT(a)   39,345    1,144,939 
         2,339,716 
Specialty Retail - 3.6%          
AutoNation, Inc.*(a)   7,625    1,154,425 
AutoZone, Inc.*(a)   610    1,549,394 
Dick’s Sporting Goods, Inc.   10,370    1,125,975 
Murphy USA, Inc.(a)   3,660    1,250,732 
O’Reilly Automotive, Inc.*(a)   1,220    1,108,809 
Penske Automotive Group, Inc.(a)   7,320    1,222,879 
TJX Cos., Inc. (The)   13,420    1,192,770 
Tractor Supply Co.(a)   5,490    1,114,744 
Ulta Beauty, Inc.*(a)   3,050    1,218,322 
         10,938,050 
Technology Hardware, Storage & Peripherals - 0.4%          
Pure Storage, Inc., Class A*(a)   33,550    1,195,051 
           
Textiles, Apparel & Luxury Goods - 0.8%          
Deckers Outdoor Corp.*   2,440    1,254,380 
Skechers USA, Inc., Class A*   25,010    1,224,239 
         2,478,619 
Wireless Telecommunication Services - 0.4%          
T-Mobile US, Inc.*   8,845    1,238,742 
           
TOTAL COMMON STOCKS
(Cost $245,569,580)
        234,610,697 
           
TOTAL LONG POSITIONS
 (Cost $245,569,580)
        234,610,697 
           
SHORT POSITIONS - (73.8)%          
           
COMMON STOCKS - (73.8)%          
           
Aerospace & Defense - (0.4)%          
Axon Enterprise, Inc.   (5,795)   (1,153,147)
           
Air Freight & Logistics - (0.4)%          
GXO Logistics, Inc.   (19,215)   (1,126,960)


 

 

 

AGF Investments Trust

AGF U.S. Market Neutral Anti-Beta Fund

Schedule of Investments (continued)

September 30, 2023 (Unaudited)

 

Investments

   

Shares

  

Value ($)

 
           
Automobile Components - (0.7)%          
Fox Factory Holding Corp.   (10,980)   (1,087,898)
QuantumScape Corp.   (171,410)   (1,146,733)
         (2,234,631)
Automobiles - (0.9)%          
Rivian Automotive, Inc., Class A   (57,340)   (1,392,215)
Tesla, Inc.   (4,880)   (1,221,074)
         (2,613,289)
Banks - (0.4)%          
Western Alliance Bancorp   (23,485)   (1,079,605)
           
Beverages - (0.8)%          
Boston Beer Co., Inc. (The), Class A   (3,355)   (1,306,873)
Celsius Holdings, Inc.   (6,405)   (1,099,098)
         (2,405,971)
Biotechnology - (1.1)%          
Blueprint Medicines Corp.   (24,095)   (1,210,051)
Exact Sciences Corp.   (14,640)   (998,741)
Intellia Therapeutics, Inc.   (31,110)   (983,698)
         (3,192,490)
Broadline Retail - (0.7)%          
Etsy, Inc.   (16,165)   (1,043,936)
Kohl’s Corp.   (50,325)   (1,054,812)
         (2,098,748)
Building Products - (1.4)%          
Advanced Drainage Systems, Inc.   (9,455)   (1,076,263)
Builders FirstSource, Inc.   (8,845)   (1,101,114)
Fortune Brands Innovations, Inc.   (17,690)   (1,099,611)
Trex Co., Inc.   (17,080)   (1,052,640)
         (4,329,628)
Capital Markets - (6.2)%          
Affiliated Managers Group, Inc.   (8,845)   (1,152,857)
Ares Management Corp.   (11,590)   (1,192,263)
BlackRock, Inc.   (1,830)   (1,183,077)
Blackstone, Inc., Class A   (11,590)   (1,241,753)
Blue Owl Capital, Inc.   (104,920)   (1,359,763)
Carlyle Group, Inc. (The)   (38,735)   (1,168,248)
Coinbase Global, Inc., Class A   (15,860)   (1,190,769)
Franklin Resources, Inc.   (45,445)   (1,117,038)
Invesco Ltd.   (76,555)   (1,111,579)
Janus Henderson Group plc   (43,920)   (1,134,014)
Jefferies Financial Group, Inc.   (33,550)   (1,228,936)
KKR & Co., Inc.   (19,520)   (1,202,432)
Lazard Ltd., Class A   (35,075)   (1,087,676)
Moody’s Corp.   (3,660)   (1,157,182)
MSCI, Inc.   (2,135)   (1,095,426)
T. Rowe Price Group, Inc.   (10,675)   (1,119,487)
         (18,742,500)
Chemicals - (1.5)%          
Albemarle Corp.   (6,100)   (1,037,244)
Celanese Corp., Series A   (9,760)   (1,225,075)
Chemours Co. (The)   (35,075)   (983,854)
Scotts Miracle-Gro Co. (The)   (22,265)   (1,150,655)
         (4,396,828)

Investments

   

Shares

  

Value ($)

 
Commercial Services & Supplies - (0.4)%          
Tetra Tech, Inc.   (7,320)   (1,112,860)
           
Consumer Finance - (1.9)%          
Ally Financial, Inc.   (45,140)   (1,204,335)
Capital One Financial Corp.   (11,590)   (1,124,809)
Credit Acceptance Corp.   (2,440)   (1,122,693)
OneMain Holdings, Inc.   (29,280)   (1,173,835)
SoFi Technologies, Inc.   (142,740)   (1,140,493)
         (5,766,165)
Consumer Staples Distribution & Retail - (2.3)%          
Costco Wholesale Corp.   (2,135)   (1,206,189)
Performance Food Group Co.   (18,910)   (1,113,043)
Sprouts Farmers Market, Inc.   (29,585)   (1,266,238)
Sysco Corp.   (16,775)   (1,107,989)
Target Corp.   (9,455)   (1,045,439)
US Foods Holding Corp.   (29,280)   (1,162,416)
         (6,901,314)
Electric Utilities - (1.8)%          
ALLETE, Inc.   (21,045)   (1,111,176)
Edison International   (16,775)   (1,061,690)
Exelon Corp.   (29,280)   (1,106,491)
NextEra Energy, Inc.   (17,385)   (995,986)
NRG Energy, Inc.   (31,415)   (1,210,106)
         (5,485,449)
Electrical Equipment - (1.8)%          
Generac Holdings, Inc.   (9,760)   (1,063,450)
Rockwell Automation, Inc.   (3,965)   (1,133,474)
Shoals Technologies Group, Inc., Class A   (60,695)   (1,107,684)
Sunrun, Inc.   (84,180)   (1,057,301)
Vertiv Holdings Co.   (30,805)   (1,145,946)
         (5,507,855)
Electronic Equipment, Instruments & Components - (0.3)%          
Coherent Corp.   (32,635)   (1,065,206)
           
Energy Equipment & Services - (1.6)%          
Baker Hughes Co.   (32,635)   (1,152,668)
Halliburton Co.   (30,500)   (1,235,250)
NOV, Inc.   (56,730)   (1,185,657)
Schlumberger NV   (20,435)   (1,191,361)
         (4,764,936)
Entertainment - (0.8)%          
ROBLOX Corp., Class A   (43,310)   (1,254,258)
Roku, Inc.   (15,250)   (1,076,497)
         (2,330,755)
Financial Services - (2.7)%          
Affirm Holdings, Inc.   (65,575)   (1,394,780)
Apollo Global Management, Inc.   (14,030)   (1,259,333)
Block, Inc., Class A   (21,045)   (931,452)
Global Payments, Inc.   (9,455)   (1,091,012)
PayPal Holdings, Inc.   (19,215)   (1,123,309)
Shift4 Payments, Inc., Class A   (21,045)   (1,165,262)
Toast, Inc., Class A   (56,120)   (1,051,127)
         (8,016,275)


 

 

 

AGF Investments Trust

AGF U.S. Market Neutral Anti-Beta Fund

Schedule of Investments (continued)

September 30, 2023 (Unaudited)

 

Investments

   

Shares

  

Value ($)

 
Gas Utilities - (0.4)%          
UGI Corp.   (50,935)   (1,171,505)
           
Ground Transportation - (1.1)%          
Avis Budget Group, Inc.   (5,185)   (931,693)
Lyft, Inc., Class A   (114,375)   (1,205,512)
XPO, Inc.   (16,775)   (1,252,422)
         (3,389,627)
Health Care Equipment & Supplies - (2.1)%          
Align Technology, Inc.   (3,355)   (1,024,349)
Dentsply Sirona, Inc.   (31,110)   (1,062,718)
ICU Medical, Inc.   (8,540)   (1,016,345)
Intuitive Surgical, Inc.   (3,965)   (1,158,930)
Novocure Ltd.   (63,135)   (1,019,630)
STAAR Surgical Co.   (27,450)   (1,102,941)
         (6,384,913)
Health Care Providers & Services - (0.3)%          
Guardant Health, Inc.   (30,805)   (913,060)
           
Health Care REITs - (0.3)%          
Medical Properties Trust, Inc., REIT   (166,530)   (907,589)
           
Health Care Technology - (1.1)%          
Doximity, Inc., Class A   (50,020)   (1,061,425)
Teladoc Health, Inc.   (53,070)   (986,571)
Veeva Systems, Inc., Class A   (6,100)   (1,241,045)
         (3,289,041)
Hotel & Resort REITs - (0.4)%          
Host Hotels & Resorts, Inc., REIT   (74,420)   (1,195,929)
           
Hotels, Restaurants & Leisure - (3.0)%          
Airbnb, Inc., Class A   (9,455)   (1,297,321)
Caesars Entertainment, Inc.   (22,570)   (1,046,120)
Carnival Corp.   (74,725)   (1,025,227)
DoorDash, Inc., Class A   (14,945)   (1,187,679)
DraftKings, Inc., Class A   (41,785)   (1,230,150)
MGM Resorts International   (29,280)   (1,076,333)
Norwegian Cruise Line Holdings Ltd.   (70,455)   (1,161,098)
Royal Caribbean Cruises Ltd.   (11,895)   (1,096,005)
         (9,119,933)
Household Durables - (0.7)%          
Mohawk Industries, Inc.   (11,895)   (1,020,710)
Newell Brands, Inc.   (117,425)   (1,060,348)
         (2,081,058)
Independent Power and Renewable Electricity Producers - (0.7)%          
AES Corp. (The)   (65,575)   (996,740)
Clearway Energy, Inc., Class C   (46,665)   (987,431)
         (1,984,171)
Industrial REITs - (0.3)%          
Prologis, Inc., REIT   (9,455)   (1,060,946)
           
Insurance - (0.4)%          
Lincoln National Corp.   (46,360)   (1,144,628)

Investments

   

Shares

  

Value ($)

 
Interactive Media & Services - (1.1)%          
Match Group, Inc.   (26,535)   (1,039,509)
Snap, Inc., Class A   (124,440)   (1,108,760)
ZoomInfo Technologies, Inc., Class A   (65,880)   (1,080,432)
         (3,228,701)
IT Services - (1.6)%          
Cloudflare, Inc., Class A   (18,910)   (1,192,086)
MongoDB, Inc.   (3,355)   (1,160,360)
Okta, Inc.   (16,470)   (1,342,470)
Twilio, Inc., Class A   (20,130)   (1,178,209)
         (4,873,125)
Leisure Products - (0.7)%          
Peloton Interactive, Inc., Class A   (200,690)   (1,013,485)
YETI Holdings, Inc.   (25,010)   (1,205,982)
         (2,219,467)
Life Sciences Tools & Services - (2.8)%          
10X Genomics, Inc., Class A   (25,010)   (1,031,662)
Azenta, Inc.   (21,960)   (1,102,172)
Charles River Laboratories International, Inc.   (5,795)   (1,135,704)
Illumina, Inc.   (7,320)   (1,004,890)
IQVIA Holdings, Inc.   (5,185)   (1,020,149)
Medpace Holdings, Inc.   (4,575)   (1,107,745)
Mettler-Toledo International, Inc.   (915)   (1,013,884)
Repligen Corp.   (7,015)   (1,115,455)
         (8,531,661)
Machinery - (1.1)%          
ITT, Inc.   (11,895)   (1,164,639)
Pentair plc   (17,385)   (1,125,679)
Stanley Black & Decker, Inc.   (12,810)   (1,070,660)
         (3,360,978)
Media - (1.1)%          
DISH Network Corp., Class A   (194,590)   (1,140,298)
Paramount Global, Class B   (79,910)   (1,030,839)
Trade Desk, Inc. (The), Class A   (15,555)   (1,215,623)
         (3,386,760)
Metals & Mining - (2.8)%          
Alcoa Corp.   (41,175)   (1,196,545)
Cleveland-Cliffs, Inc.   (80,215)   (1,253,760)
Freeport-McMoRan, Inc.   (30,195)   (1,125,972)
MP Materials Corp.   (59,170)   (1,130,147)
Nucor Corp.   (7,015)   (1,096,795)
Steel Dynamics, Inc.   (11,590)   (1,242,680)
United States Steel Corp.   (39,345)   (1,277,926)
         (8,323,825)
Mortgage Real Estate Investment Trusts (REITs) - (0.4)%          
Annaly Capital Management, Inc.   (57,950)   (1,090,040)
           
Multi-Utilities - (0.4)%          
Public Service Enterprise Group, Inc.   (19,215)   (1,093,526)
           
Office REITs - (0.7)%          
Cousins Properties, Inc., REIT   (52,460)   (1,068,610)
Vornado Realty Trust, REIT   (50,630)   (1,148,289)
         (2,216,899)


 

 

 

AGF Investments Trust

AGF U.S. Market Neutral Anti-Beta Fund

Schedule of Investments (continued)

September 30, 2023 (Unaudited)

 

Investments

   

Shares

  

Value ($)

 
Oil, Gas & Consumable Fuels - (1.1)%          
Equitrans Midstream Corp.   (122,000)   (1,143,140)
Matador Resources Co.   (19,215)   (1,142,908)
Ovintiv, Inc.   (25,010)   (1,189,726)
         (3,475,774)
Passenger Airlines - (1.7)%          
American Airlines Group, Inc.   (79,910)   (1,023,647)
Delta Air Lines, Inc.   (27,755)   (1,026,935)
JetBlue Airways Corp.   (193,675)   (890,905)
Joby Aviation, Inc.   (162,870)   (1,050,512)
United Airlines Holdings, Inc.   (23,790)   (1,006,317)
         (4,998,316)
Personal Care Products - (0.7)%          
Coty, Inc., Class A   (104,310)   (1,144,280)
Estee Lauder Cos., Inc. (The), Class A   (7,625)   (1,102,194)
         (2,246,474)
Pharmaceuticals - (0.7)%          
Catalent, Inc.   (25,925)   (1,180,365)
Elanco Animal Health, Inc.   (92,415)   (1,038,745)
         (2,219,110)
Professional Services - (2.5)%          
Alight, Inc., Class A   (156,770)   (1,111,499)
Ceridian HCM Holding, Inc.   (16,470)   (1,117,489)
Clarivate plc   (163,175)   (1,094,904)
Equifax, Inc.   (5,795)   (1,061,528)
Paycom Software, Inc.   (3,965)   (1,028,006)
Paylocity Holding Corp.   (5,795)   (1,052,952)
TransUnion   (14,640)   (1,051,006)
         (7,517,384)
Real Estate Management & Development - (1.3)%          
CoStar Group, Inc.   (14,335)   (1,102,218)
Jones Lang LaSalle, Inc.   (7,015)   (990,378)
Opendoor Technologies, Inc.   (335,805)   (886,525)
Zillow Group, Inc., Class C   (23,180)   (1,069,989)
         (4,049,110)
Semiconductors & Semiconductor Equipment - (1.1)%          
Entegris, Inc.   (12,200)   (1,145,702)
Lam Research Corp.   (1,830)   (1,146,989)
SolarEdge Technologies, Inc.   (7,320)   (948,013)
         (3,240,704)
Software - (7.8)%          
AppLovin Corp., Class A   (28,975)   (1,157,841)
Asana, Inc., Class A   (55,510)   (1,016,388)
Atlassian Corp., Class A   (6,100)   (1,229,211)
BILL Holdings, Inc.   (10,980)   (1,192,099)
Confluent, Inc., Class A   (36,905)   (1,092,757)
DocuSign, Inc.   (24,705)   (1,037,610)
Elastic NV   (20,435)   (1,660,139)
Five9, Inc.   (16,775)   (1,078,632)
Gitlab, Inc., Class A   (26,230)   (1,186,121)
HashiCorp, Inc., Class A   (41,785)   (953,952)
HubSpot, Inc.   (2,440)   (1,201,700)
MicroStrategy, Inc., Class A   (3,355)   (1,101,379)
Rapid7, Inc.   (24,400)   (1,117,032)
RingCentral, Inc., Class A   (39,955)   (1,183,867)

Investments

   

Shares

  

Value ($)

 
Smartsheet, Inc., Class A   (29,585)   (1,197,009)
Splunk, Inc.   (10,065)   (1,472,006)
UiPath, Inc., Class A   (78,080)   (1,335,949)
Unity Software, Inc.   (33,855)   (1,062,708)
Varonis Systems, Inc.   (37,515)   (1,145,708)
Zscaler, Inc.   (8,235)   (1,281,284)
         (23,703,392)
Specialized REITs - (1.5)%          
Digital Realty Trust, Inc., REIT   (9,150)   (1,107,333)
Iron Mountain, Inc., REIT   (18,910)   (1,124,199)
Lamar Advertising Co., Class A, REIT   (13,115)   (1,094,709)
National Storage Affiliates Trust, REIT   (35,075)   (1,113,281)
         (4,439,522)
Specialty Retail - (1.3)%          
Chewy, Inc., Class A   (45,140)   (824,256)
Floor & Decor Holdings, Inc., Class A   (12,200)   (1,104,100)
RH   (3,355)   (886,928)
Wayfair, Inc., Class A   (18,300)   (1,108,431)
         (3,923,715)
Textiles, Apparel & Luxury Goods - (1.1)%          
PVH Corp.   (14,945)   (1,143,442)
Under Armour, Inc., Class A   (156,160)   (1,069,696)
VF Corp.   (61,000)   (1,077,870)
         (3,291,008)
Trading Companies & Distributors - (1.1)%          
SiteOne Landscape Supply, Inc.   (7,625)   (1,246,306)
United Rentals, Inc.   (2,440)   (1,084,751)
WESCO International, Inc.   (7,320)   (1,052,762)
         (3,383,819)
Water Utilities - (0.3)%          
American Water Works Co., Inc.   (8,540)   (1,057,508)
           
TOTAL COMMON STOCKS
(Proceeds $(260,870,247))
        (222,837,830)
           
TOTAL SHORT POSITIONS
(Proceeds $(260,870,247))
        (222,837,830)
           
Total Investments - 3.9%
(Net Cost and Proceeds $(15,300,667))
        11,772,867 
Other assets less liabilities - 96.1%        290,203,492 
Net Assets - 100.0%        301,976,359 
           
* Non-income producing security.
(a) All or a portion of this security is segregated in connection with obligations for securities sold short with a total value of $117,871,295.
Security fair valued as of September 30, 2023 in accordance with procedures approved by the Board of Trustees. Total value of all such securities at September 30, 2023 amounted to $0, which represents approximately 0.00% of net assets of the Fund.


 

 

 

AGF Investments Trust 

AGF U.S. Market Neutral Anti-Beta Fund 

Schedule of Investments (continued) 

September 30, 2023 (Unaudited)

 

OTC Total return swap contracts outstanding as of September 30, 2023

 

                          
Notional Amount 

Termination Date(1) 

   Counterparty 

Rate Paid (Received)(2) 

   Payment Frequency 

Underlying Instrument(3) 

  Value and Unrealized Appreciation/ (Depreciation) ($) 
USD   41,869,151   10/1/2025   Morgan Stanley   5.68%  Monthly  Dow Jones U.S. Low Beta Total Return Index(4)   (225,750)
USD   (39,220,584)  10/1/2025   Morgan Stanley   4.93%  Monthly  Dow Jones U.S. High Beta Total Return Index(5)   (102,072)
                           (327,822)

 

(1) Agreements may be terminated at will by either party without penalty. Payment is due at termination/maturity.
(2) Reflects the floating financing rate (based on the U.S. effective federal funds rate), as of September 30, 2023, on the notional amount of the swap agreement paid to the counterparty or received from the counterparty, excluding any commissions. Payments may be made at the conclusion of the agreement or periodically during its term.
(3) The 50 largest components of the referenced underlying Swap Index can be found at www.agf.com/us/resources
(4) The Dow Jones U.S. Low Beta Total Return Index (DJTLABT) is designed to measure the performance of 200 companies ranked as having the lowest beta. Beta is calculated using weekly returns for the previous 52 weeks. Dividends are reinvested.
(5) The Dow Jones U.S. High Beta Total Return Index (DJTSABT) is designed to measure the performance of 200 companies ranked as having the highest beta. Beta is calculated using weekly returns for the previous 52 weeks. Dividends are reinvested.

 

Abbreviations 

 

USD US Dollar

 

 

 

 

AGF Investments Trust 

AGF Global Infrastructure ETF 

Schedule of Investments  

September 30, 2023 (Unaudited) 

 

Investments 

 

Shares

  

Value ($)

 
         
COMMON STOCKS - 98.3%
         
Broadline Retail - 0.5%          
Amazon.com, Inc.*   140    17,797 
           
Commercial Services & Supplies - 1.1%          
Republic Services, Inc.   130    18,526 
Waste Connections, Inc.   144    19,335 
         37,861 
Construction & Engineering - 7.1%          
Quanta Services, Inc.   348    65,100 
Vinci SA   1,696    187,759 
         252,859 
Diversified Telecommunication Services - 0.6%          
Cellnex Telecom SA   601    20,898 
           
Electric Utilities - 15.6%          
American Electric Power Co., Inc.   363    27,305 
Contact Energy Ltd.   2,886    13,907 
Duke Energy Corp.   456    40,247 
Edison International   929    58,796 
Endesa SA   1,383    28,109 
Enel SpA   4,527    27,779 
Evergy, Inc.   333    16,883 
Eversource Energy   477    27,738 
Exelon Corp.   768    29,023 
Fortis, Inc.   774    29,399 
Hydro One Ltd.   581    14,792 
Iberdrola SA   1,119    12,494 
NextEra Energy, Inc.   1,366    78,258 
OGE Energy Corp.   438    14,598 
Redeia Corp. SA   1,080    16,962 
Southern Co. (The)   548    35,467 
SSE plc   770    15,088 
Terna - Rete Elettrica Nazionale   3,506    26,375 
Xcel Energy, Inc.   691    39,539 
         552,759 
Electrical Equipment - 2.0%          
Emerson Electric Co.   472    45,581 
EnerSys   141    13,349 
GS Yuasa Corp.   700    12,462 
         71,392 
Electronic Equipment, Instruments & Components - 0.3%          
Badger Meter, Inc.   82    11,797 
           
Gas Utilities - 7.5%          
APA Group   2,168    11,554 
Atmos Energy Corp.   249    26,377 
China Gas Holdings Ltd.   15,800    14,861 
China Resources Gas Group Ltd.   7,200    20,939 
Enagas SA   3,074    50,870 
ENN Energy Holdings Ltd.   1,676    13,852 

Investments 

 

Shares

  

Value ($)

 
Italgas SpA   2,927    14,970 
New Jersey Resources Corp.   299    12,148 
ONE Gas, Inc.   342    23,352 
Snam SpA   7,355    34,529 
Spire, Inc.   534    30,214 
UGI Corp.   598    13,754 
         267,420 
Ground Transportation - 3.2%          
Canadian National Railway Co.   200    21,659 
CSX Corp.   765    23,524 
Kyushu Railway Co.   800    17,014 
Union Pacific Corp.   167    34,006 
West Japan Railway Co.   400    16,550 
         112,753 
Independent Power and Renewable Electricity Producers - 1.7%          
Atlantica Sustainable Infrastructure plc   185    3,534 
Capital Power Corp.   300    8,375 
Clearway Energy, Inc.   585    12,379 
Engie Brasil Energia SA   1,500    12,363 
Innergex Renewable Energy, Inc.   2,011    15,058 
Northland Power, Inc.   617    10,048 
         61,757 
Industrial Conglomerates - 0.7%          
DCC plc   437    24,499 
           
Industrial REITs - 1.0%          
CapitaLand Ascendas REIT, REIT   7,000    14,070 
STAG Industrial, Inc., REIT   606    20,913 
         34,983 
Interactive Media & Services - 1.1%          
Alphabet, Inc., Class C*   299    39,423 
           
Machinery - 1.7%          
Alfa Laval AB   701    23,984 
Hitachi Zosen Corp.   2,400    13,463 
Pentair plc   360    23,310 
         60,757 
Multi-Utilities - 10.6%          
A2A SpA   20,010    35,570 
CenterPoint Energy, Inc.   264    7,088 
Consolidated Edison, Inc.   181    15,481 
E.ON SE   1,502    17,792 
Engie SA   921    14,122 
National Grid plc   9,551    114,008 
REN - Redes Energeticas Nacionais SGPS SA   7,079    18,095 
Sempra   1,905    129,597 
Veolia Environnement SA   878    25,401 
         377,154 
Oil, Gas & Consumable Fuels - 20.5%          
Cheniere Energy, Inc.   709    117,666 
Enbridge, Inc.   6,702    222,290 
Keyera Corp.   1,743    40,923 

 

 

 

AGF Investments Trust 

AGF Global Infrastructure ETF 

Schedule of Investments (continued) 

September 30, 2023 (Unaudited) 

 

Investments 

 

Shares

  

Value ($)

 
Kinder Morgan, Inc.   7,480    124,018 
ONEOK, Inc.   1,842    116,838 
Pembina Pipeline Corp.   673    20,236 
Williams Cos., Inc. (The)   2,569    86,550 
         728,521 
Software - 1.5%          
Microsoft Corp.   114    35,995 
Oracle Corp.   167    17,689 
         53,684 
Specialized REITs - 6.0%          
American Tower Corp., REIT   511    84,034 
Crown Castle, Inc., REIT   197    18,130 
Equinix, Inc., REIT   59    42,849 
Iron Mountain, Inc., REIT   831    49,403 
Keppel DC REIT, REIT   12,700    19,343 
         213,759 
Transportation Infrastructure - 12.5%          
Aena SME SA   881    132,517 
Atlas Arteria Ltd.   5,633    20,019 
Flughafen Zurich AG (Registered)   141    26,885 
Getlink SE   673    10,723 
Grupo Aeroportuario del Centro Norte SAB de CV, ADR   299    25,986 
Grupo Aeroportuario del Pacifico SAB de CV, ADR   161    26,463 
Grupo Aeroportuario del Sureste SAB de CV, ADR   122    29,977 
Kamigumi Co. Ltd.   912    18,786 
Qube Holdings Ltd.   4,299    7,929 
Salik Co. PJSC   26,481    23,872 
Shenzhen Expressway Corp. Ltd., Class H   14,000    11,433 
Transurban Group   8,881    72,322 
Yuexiu Transport Infrastructure Ltd.   40,000    21,132 
Zhejiang Expressway Co. Ltd., Class H   22,000    16,390 
         444,434 
Water Utilities - 3.1%          
American Water Works Co., Inc.   703    87,052 
Cia de Saneamento Basico do Estado de Sao Paulo SABESP, ADR*   993    12,035 
Essential Utilities, Inc.   263    9,029 
         108,116 
TOTAL COMMON STOCKS
(Cost $3,652,750)
        3,492,623 
           
MASTER LIMITED PARTNERSHIPS - 1.7%          
           
Multi-Utilities - 0.9%          
Brookfield Infrastructure Partners LP (Cost $34,838)   1,022    30,047 
           
Oil, Gas & Consumable Fuels - 0.8%          
Energy Transfer LP (Cost $19,868)   2,014    28,256 

Investments 

 

Shares

  

Value ($)

 
           
TOTAL MASTER LIMITED PARTNERSHIPS
(Cost $54,706)
        58,303 
Total Investments - 100.0%
 (Cost $3,707,456)
        3,550,926 
Other assets less liabilities - 0.0%(a)        1,379 
Net Assets - 100.0%        3,552,305 

 

* Non-income producing security.
(a) Represents less than 0.05% of net assets.

 

Abbreviations
ADR American Depositary Receipt
PJSC Public Joint Stock Company

 

AGF Global Infrastructure ETF invested, as a percentage of net assets, in the following countries as of September 30, 2023:
Australia   3.2%
Brazil   0.7%
Canada   11.6%
China   2.8%
France   6.7%
Germany   0.5%
Italy   3.9%
Japan   2.2%
Mexico   2.3%
New Zealand   0.4%
Portugal   0.5%
Singapore   0.9%
Spain   7.5%
Sweden   0.7%
Switzerland   0.8%
United Arab Emirates   0.7%
United Kingdom   4.3%
United States   50.3%
    100.0%

 


 

 

 

AGF Investments Trust 

Notes to Quarterly Schedules of Investments  

September 30, 2023 (Unaudited) 

 

Investment Valuation

 

The Funds disclose the fair value of their investments in a hierarchy that distinguishes between: (1) market participant assumptions developed based on market data obtained from sources independent of the Funds (observable inputs) and (2) the Funds’ own assumptions about market participant assumptions developed based on the best information available under the circumstances (unobservable inputs). The three levels defined by the hierarchy are as follows:

 

Level 1 — Quoted prices in active markets for identical assets that the Funds have the ability to access.

 

Level 2 — Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).

 

Level 3 — Significant unobservable inputs (including each Fund’s own assumptions in determining the fair value of investments).

 

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

 

The following is a summary of the valuations as of September 30, 2023 for each Fund based upon the three levels defined above:

 

AGF U.S. Market Neutral Anti-Beta Fund 

Level 1 —

Quoted Prices

   Level 2 — Other
Significant
Observable
Inputs
   Level 3 —
Significant
Unobservable
Inputs
   Total 
Investments                    
Assets                    
Common Stocks**  $234,610,697   $   $*  $234,610,697 
Liabilities                    
Common Stocks**   (222,837,830)           (222,837,830)
Total Investments  $11,772,867   $   $   $11,772,867 
Other Financial Instruments                    
Swap Agreements***       (327,822)       (327,822)
Total Other Financial Instruments  $   $(327,822)  $   $(327,822)
                     
AGF Global Infrastructure ETF                    
Investments                    
Common Stocks                    
Construction & Engineering  $65,100   $187,759   $   $252,859 
Diversified Telecommunication Services       20,898        20,898 
Electric Utilities   412,045    140,714        552,759 
Electrical Equipment   58,930    12,462        71,392 
Gas Utilities   105,845    161,575        267,420 
Ground Transportation   79,189    33,564        112,753 
Industrial Conglomerates       24,499        24,499 
Industrial REITs   20,913    14,070        34,983 
Machinery   23,310    37,447        60,757 
Multi-Utilities   152,166    224,988        377,154 
Specialized REITs   194,416    19,343        213,759 
Transportation Infrastructure   82,426    362,008        444,434 
Other**   1,058,956            1,058,956 
Master Limited Partnerships   58,303            58,303 
Total Investments  $2,311,599   $1,239,327   $   $3,550,926 

 

*Security has zero value.
**See Schedules of Investments for segregation by industry.
***The tables above are based on market values or unrealized appreciation/(depreciation) rather than the notional amounts of derivatives.
The uncertainties surrounding the valuation inputs for a derivative are likely to be more significant to a Fund’s NAV than the uncertainties surrounding inputs for a non-derivative security with the same market value.