0001752724-23-123853.txt : 20230530 0001752724-23-123853.hdr.sgml : 20230530 20230530093606 ACCESSION NUMBER: 0001752724-23-123853 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230331 FILED AS OF DATE: 20230530 DATE AS OF CHANGE: 20230530 PERIOD START: 20231231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Natixis ETF Trust CENTRAL INDEX KEY: 0001526787 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23146 FILM NUMBER: 23971814 BUSINESS ADDRESS: STREET 1: 888 BOYLSTON STREET STREET 2: 8TH FLOOR CITY: BOSTON STATE: MA ZIP: 02199 BUSINESS PHONE: 617-449-2810 MAIL ADDRESS: STREET 1: 888 BOYLSTON STREET STREET 2: 8TH FLOOR CITY: BOSTON STATE: MA ZIP: 02199 0001526787 S000060082 Natixis Loomis Sayles Short Duration Income ETF C000196706 Natixis Loomis Sayles Short Duration Income ETF LSST NPORT-P 1 primary_doc.xml NPORT-P false 0001526787 XXXXXXXX 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14913R3B1 35000.00000000 PA USD 35574.88000000 0.096734413744 Long DBT CORP US N 2 2026-01-06 Fixed 4.80000000 N N N N N N Chicago Board of Trade 549300EX04Q2QBFQTQ27 US 10YR NOTE (CBT)JUN23 000000000 -25.00000000 NC USD -74166.59000000 -0.20167212378 N/A DIR US N 1 Chicago Board of Trade 549300EX04Q2QBFQTQ27 Short CBOT 10 Year U.S. Treasury Notes TYM3 Comdty 2023-06-21 -2798880.29000000 USD -74166.59000000 N N N Chicago Board of Trade 549300EX04Q2QBFQTQ27 US 10YR ULTRA FUT JUN23 000000000 -3.00000000 NC USD -12117.89000000 -0.03295069400 N/A DIR US N 1 Chicago Board of Trade 549300EX04Q2QBFQTQ27 Short CBOT Ultra 10-Year U.S. Treasury Notes Futures UXYM3 Comdty 2023-06-21 -351303.99000000 USD -12117.89000000 N N N Toyota Auto Receivables Owner Trust N/A Toyota Auto Receivables 2021-C Owner Trust 89239BAC5 95000.00000000 PA USD 90994.57000000 0.247430388602 Long ABS-O CORP US N 2 2026-01-15 Fixed 0.43000000 N N N N N N Avis Budget Rental Car Funding AESOP LLC IHXLB8SL0QWSSG2VG640 Avis Budget Rental Car Funding AESOP LLC 05377RFV1 105000.00000000 PA USD 107462.69000000 0.292210130197 Long ABS-O CORP US N 2 2027-04-20 Fixed 6.12000000 N N N N N N Canadian Pacer Auto Receivables Trust N/A Canadian Pacer Auto Receivables Trust 2021-1 13646CAD8 73722.00000000 PA USD 71085.55000000 0.193294229100 Long ABS-O CORP CA N 2 2025-10-20 Fixed 0.50000000 N N N N N N CONSTELLATION EN GEN LLC S2PEWKCZFFECR4533P43 Constellation Energy Generation LLC 210385AB6 125000.00000000 PA USD 128638.03000000 0.349789638567 Long DBT CORP US N 2 2028-03-01 Fixed 5.60000000 N N N N N N FIVE CORNERS FND TR III N/A Five Corners Funding Trust III 33830GAA9 100000.00000000 PA USD 102602.62000000 0.278994737138 Long DBT CORP US N 2 2033-02-15 Fixed 5.79100000 N N N N N N Ford Credit Auto Lease Trust N/A Ford Credit Auto Lease Trust 2023-A 345287AD8 75000.00000000 PA USD 74923.73000000 0.203730921849 Long ABS-O CORP US N 2 2026-03-15 Fixed 4.94000000 N N N N N N SKYWORKS SOLUTIONS INC 549300WZ3ORQ2BVKBD96 Skyworks Solutions Inc 83088MAJ1 80000.00000000 PA USD 79327.89000000 0.215706614688 Long DBT CORP US N 2 2023-06-01 Fixed 0.90000000 N N N N N N CENTERPOINT ENER HOUSTON 549300S8SEQBOJLKHW63 CenterPoint Energy Houston Electric LLC 15189XBB3 40000.00000000 PA USD 40848.61000000 0.111074621773 Long DBT CORP US N 2 2033-04-01 Fixed 4.95000000 N N N N N N BRIGHTHSE FIN GLBL FUND 549300BLFX3KJ2IFOA78 Brighthouse Financial Global Funding 10921U2H0 120000.00000000 PA USD 112216.19000000 0.305135740508 Long DBT CORP US N 2 2025-01-13 Fixed 1.75000000 N N N N N N GOLUB CAPITAL BDC 2549005WE0QLGK9APF78 Golub Capital BDC Inc 38173MAB8 80000.00000000 PA USD 68575.81000000 0.186469800527 Long DBT CORP US N 2 2026-08-24 Fixed 2.50000000 N N N N N N BARCLAYS PLC 213800LBQA1Y9L22JB70 Barclays PLC 06738ECD5 200000.00000000 PA USD 211988.66000000 0.576434797406 Long DBT CORP GB N 2 2028-11-02 Fixed 7.38500000 N N N N N N GM Financial Automobile Leasing Trust N/A GM Financial Automobile Leasing Trust 2021-1 36261RAC2 15962.45000000 PA USD 15918.33000000 0.043284764989 Long ABS-O CORP US N 2 2024-02-20 Fixed 0.26000000 N N N N N N GOLDMAN SACHS GROUP INC 784F5XWPLTWKTBV3E584 Goldman Sachs Group Inc/The 38141GYM0 15000.00000000 PA USD 13395.45000000 0.036424606424 Long DBT CORP US N 2 2027-10-21 Fixed 1.94800000 N N N N N N HSBC HOLDINGS PLC MLU0ZO3ML4LN2LL2TL39 HSBC Holdings PLC 404280CX5 205000.00000000 PA USD 181789.54000000 0.494318029372 Long DBT CORP GB N 2 2027-11-22 Fixed 2.25100000 N N N N N N FHLMC Multifamily Structured Pass Through Certs. S6XOOCT0IEG5ABCC6L87 Freddie Mac Multifamily Structured Pass Through Certificates 3137FUZS6 12328.94000000 PA USD 12276.87000000 0.033382988841 Long ABS-MBS USGSE US N 2 2027-06-25 Floating 4.92600000 N N N N N N RYDER SYSTEM INC ZXJ6Y2OSPZXIVGRILD15 Ryder System Inc 78355HKV0 125000.00000000 PA USD 126647.65000000 0.344377442028 Long DBT CORP US N 2 2028-03-01 Fixed 5.65000000 N N N N N N Santander Drive Auto Receivables Trust N/A Santander Drive Auto Receivables Trust 2021-3 80287EAD7 33160.89000000 PA USD 33004.92000000 0.089746236301 Long ABS-O CORP US N 2 2025-12-15 Fixed 0.60000000 N N N N N N HARLEY-DAVIDSON FINL SER RLUFFFFW4GRYU77BTS24 Harley-Davidson Financial Services Inc 41283LAY1 25000.00000000 PA USD 23873.30000000 0.064915740535 Long DBT CORP US N 2 2025-06-08 Fixed 3.35000000 N N N N N N GM Financial Securitized Term Auto Receivables Tr N/A GM Financial Consumer Automobile Receivables Trust 2022-2 362585AB7 37308.31000000 PA USD 36894.60000000 0.100322966692 Long ABS-O CORP US N 2 2025-05-16 Fixed 2.52000000 N N N N N N Glencore Funding LLC 213800STG1QDNBY87K49 Glencore Funding LLC 378272AT5 65000.00000000 PA USD 64295.75000000 0.174831557619 Long DBT CORP US N 2 2024-03-12 Fixed 4.12500000 N N N N N N DTE ELECTRIC CO 9N0FWODEJVKHC2DYLO03 DTE Electric Co 23338VAS5 50000.00000000 PA USD 51606.45000000 0.140327098395 Long DBT CORP US N 2 2033-04-01 Fixed 5.20000000 N N N N N N Government National Mortgage Association 549300M8ZYFG0OCMTT87 Government National Mortgage Association 38375BK84 520.84000000 PA USD 474.01000000 0.001288917333 Long ABS-MBS USGA US N 3 2063-02-20 Fixed 1.65000000 N N N N N N Government National Mortgage Association 549300M8ZYFG0OCMTT87 Government National Mortgage Association 38380LNW9 20990.64000000 PA USD 20762.78000000 0.056457684495 Long ABS-MBS USGA US N 3 2068-09-20 Floating 4.86600000 N N N N N N Drive Auto Receivables Trust N/A Drive Auto Receivables Trust 2021-3 262081AD4 50000.00000000 PA USD 48897.01000000 0.132959650073 Long ABS-O CORP US N 2 2026-05-15 Fixed 1.11000000 N N N N N N MORGAN STANLEY IGJSJL3JD5P30I6NJZ34 Morgan Stanley 6174468W2 120000.00000000 PA USD 119630.40000000 0.325296293621 Long DBT CORP US N 2 2024-01-25 Variable 5.10800000 N N N N N N SOUTHERN CO 549300FC3G3YU2FBZD92 Southern Co/The 842587DG9 85000.00000000 PA USD 81310.18000000 0.221096813081 Long DBT CORP US N 2 2024-02-26 Fixed 0.60000000 N N N N N N Foursight Capital Automobile Receivables Trust N/A Foursight Capital Automobile Receivables Trust 2022-2 34660DAB7 106921.04000000 PA USD 106082.09000000 0.288456033721 Long ABS-O CORP US N 2 2026-03-16 Fixed 4.49000000 N N N N N N GM Financial Automobile Leasing Trust N/A GM Financial Automobile Leasing Trust 2021-2 380144AC9 35040.68000000 PA USD 34694.72000000 0.094341102464 Long ABS-O CORP US N 2 2024-05-20 Fixed 0.34000000 N N N N N N AMERICAN EXPRESS CO R4PP93JZOLY261QX3811 American Express Co 025816DC0 105000.00000000 PA USD 105975.53000000 0.288166278166 Long DBT CORP US N 2 2026-02-13 Fixed 4.90000000 N N N N N N NUTRIEN LTD 5493002QQ7GD21OWF963 Nutrien Ltd 67077MAZ1 75000.00000000 PA USD 76068.30000000 0.206843210856 Long DBT CORP CA N 2 2024-11-07 Fixed 5.90000000 N N N N N N OneMain Financial Issuance Trust N/A OneMain Financial Issuance Trust 2020-A 68269LAA4 32935.26000000 PA USD 32710.12000000 0.088944622770 Long ABS-O CORP US N 2 2032-05-14 Fixed 3.84000000 N N N N N N SOUTHERN CAL EDISON 9R1Z5I36FERIBVKW4P77 Southern California Edison Co 842400HU0 40000.00000000 PA USD 41003.46000000 0.111495686411 Long DBT CORP US N 2 2028-03-01 Fixed 5.30000000 N N N N N N HYATT HOTELS CORP T27JQIMTYSH41TCD5186 Hyatt Hotels Corp 448579AL6 65000.00000000 PA USD 63630.22000000 0.173021863408 Long DBT CORP US N 2 2023-10-01 Fixed 1.30000000 N N N N N N EASTMAN CHEMICAL CO FDPVHDGJ1IQZFK9KH630 Eastman Chemical Co 277432AX8 35000.00000000 PA USD 35598.93000000 0.096799809963 Long DBT CORP US N 2 2033-03-08 Fixed 5.75000000 N N N N N N CNH INDUSTRIAL CAP LLC 549300PNSJ5B81UMVO28 CNH Industrial Capital LLC 12592BAK0 80000.00000000 PA USD 79225.10000000 0.215427110431 Long DBT CORP US N 2 2023-07-02 Fixed 1.95000000 N N N N N N United Auto Credit Securitization Trust N/A United Auto Credit Securitization Trust 2022-2 90944KAD7 55000.00000000 PA USD 54708.34000000 0.148761687933 Long ABS-O CORP US N 2 2027-05-10 Fixed 5.81000000 N N N N N N DT Auto Owner Trust N/A DT Auto Owner Trust 2021-2 23345EAC9 20505.37000000 PA USD 20269.66000000 0.055116803679 Long ABS-O CORP US N 2 2027-01-15 Fixed 0.81000000 N N N N N N MAIN STREET CAPITAL CORP 5493001FS9QJLJNF3E20 Main Street Capital Corp 56035LAE4 90000.00000000 PA USD 78455.81000000 0.213335274362 Long DBT CORP US N 2 2026-07-14 Fixed 3.00000000 N N N N N N COLGATE-PALMOLIVE CO YMEGZFW4SBUSS5BQXF88 Colgate-Palmolive Co 194162AR4 180000.00000000 PA USD 184551.32000000 0.501827799446 Long DBT CORP US N 2 2028-03-01 Fixed 4.60000000 N N N N N N CONSOLIDATED EDISON INC 54930033SBW53OO8T749 Consolidated Edison Inc 209115AE4 85000.00000000 PA USD 82453.48000000 0.224205648732 Long DBT CORP US N 2 2023-12-01 Fixed 0.65000000 N N N N N N TRUSTAGE FINANCIAL GROUP 549300X7YNHNZXTI6F10 Trustage Financial Group Inc 89787EAA9 35000.00000000 PA USD 31323.96000000 0.085175407668 Long DBT CORP US N 2 2032-04-15 Fixed 4.62500000 N N N N N N HYUNDAI CAPITAL AMERICA 549300RIPPWJB5Z0FK07 Hyundai Capital America 44891ABV8 75000.00000000 PA USD 70999.25000000 0.193059564081 Long DBT CORP US N 2 2024-06-14 Fixed 0.87500000 N N N N N N Exeter Automobile Receivables Trust N/A Exeter Automobile Receivables Trust 2021-4 30165JAD8 79127.48000000 PA USD 77929.97000000 0.211905422058 Long ABS-O CORP US N 2 2026-05-15 Fixed 1.05000000 N N N N N N BHP BILLITON FIN USA LTD 5493003NUVITP3TMY274 BHP Billiton Finance USA Ltd 055451AY4 125000.00000000 PA USD 125842.58000000 0.342188313787 Long DBT CORP AU N 2 2026-02-27 Fixed 4.87500000 N N N N N N SOUTHWEST AIRLINES CO UDTZ87G0STFETI6HGH41 Southwest Airlines Co 844741BJ6 55000.00000000 PA USD 54955.38000000 0.149433433546 Long DBT CORP US N 2 2025-05-04 Fixed 5.25000000 N N N N N N PACIFIC GAS & ELECTRIC 1HNPXZSMMB7HMBMVBS46 Pacific Gas and Electric Co 694308KA4 110000.00000000 PA USD 107724.65000000 0.292922445938 Long DBT CORP US N 2 2024-02-16 Fixed 3.25000000 N N N N N N Seagate HDD Cayman 529900BD50TRWEG1SF63 Seagate HDD Cayman 81180WAT8 65000.00000000 PA USD 64187.50000000 0.174537206653 Long DBT CORP KY N 2 2024-03-01 Fixed 4.87500000 N N N N N N NORTHWESTERN MUTUAL GLBL 635400LZXFVELZDVP257 Northwestern Mutual Global Funding 66815L2B4 145000.00000000 PA USD 138676.55000000 0.377086156421 Long DBT CORP US N 2 2024-03-25 Fixed 0.60000000 N N N N N N DNB BANK ASA 549300GKFG0RYRRQ1414 DNB Bank ASA 23341CAC7 200000.00000000 PA USD 201518.00000000 0.547963214182 Long DBT CORP NO N 2 2026-10-09 Fixed 5.89600000 N N N N N N Flagship Credit Auto Trust N/A Flagship Credit Auto Trust 2020-4 33845XAC1 15000.00000000 PA USD 14334.48000000 0.038977995684 Long ABS-O CORP US N 2 2027-02-16 Fixed 1.28000000 N N N N N N RAYTHEON TECH CORP I07WOS4YJ0N7YRFE7309 Raytheon Technologies Corp 913017DB2 2000.00000000 PA USD 1983.26000000 0.005392835995 Long DBT CORP US N 2 2023-08-16 Fixed 3.65000000 N N N N N N WEC ENERGY GROUP INC 549300IGLYTZUK3PVP70 WEC Energy Group Inc 92939UAF3 110000.00000000 PA USD 105324.03000000 0.286394734016 Long DBT CORP US N 2 2024-03-15 Fixed 0.80000000 N N N N N N Western Union Co/The 28ID94QU1140NC23S047 Western Union Co/The 959802AX7 55000.00000000 PA USD 54708.78000000 0.148762884371 Long DBT CORP US N 2 2023-06-09 Fixed 4.25000000 N N N N N N CENTERPOINT ENERGY RES 2JADVB0458J06WCD4N56 CenterPoint Energy Resources Corp 15189YAG1 180000.00000000 PA USD 184541.31000000 0.501800580479 Long DBT CORP US N 2 2028-03-01 Fixed 5.25000000 N N N N N N Flagship Credit Auto Trust N/A Flagship Credit Auto Trust 2021-2 33844WAC4 30000.00000000 PA USD 28770.61000000 0.078232395764 Long ABS-O CORP US N 2 2027-06-15 Fixed 0.93000000 N N N N N N Prestige Auto Receivables Trust N/A Prestige Auto Receivables Trust 2021-1 74113XAE6 45000.00000000 PA USD 41653.26000000 0.113262607959 Long ABS-O CORP US N 2 2028-02-15 Fixed 1.53000000 N N N N N N CAPITAL ONE FINANCIAL CO ZUE8T73ROZOF6FLBAR73 Capital One Financial Corp 14040HCK9 160000.00000000 PA USD 154508.70000000 0.420136582693 Long DBT CORP US N 2 2024-12-06 Fixed 1.34300000 N N N N N N ALLIANT ENERGY FINANCE 54930033ER6EOI5DL570 Alliant Energy Finance LLC 01882YAA4 25000.00000000 PA USD 24915.61000000 0.067749966449 Long DBT CORP US N 2 2023-06-15 Fixed 3.75000000 N N N N N N Prestige Auto Receivables Trust N/A Prestige Auto Receivables Trust 2020-1 74114BAG8 33517.85000000 PA USD 33318.32000000 0.090598426534 Long ABS-O CORP US N 2 2026-11-16 Fixed 1.31000000 N N N N N N SECURITY BENEFIT GL FUND 5493003C0JW6BY7YFF93 Security Benefit Global Funding 81412DAA1 70000.00000000 PA USD 66382.09000000 0.180504686432 Long DBT CORP US N 2 2024-05-17 Fixed 1.25000000 N N N N N N WELLS FARGO & COMPANY PBLD0EJDB5FWOLXP3B76 Wells Fargo & Co 95000U3C5 60000.00000000 PA USD 58910.40000000 0.160187834996 Long DBT CORP US N 2 2026-08-15 Fixed 4.54000000 N N N N N N AmeriCredit Automobile Receivables Trust N/A AmeriCredit Automobile Receivables Trust 2021-2 03066RAD7 20000.00000000 PA USD 18855.26000000 0.051270799004 Long ABS-O CORP US N 2 2027-01-19 Fixed 0.69000000 N N N N N N United States Treasury 254900HROIFWPRGM1V77 United States Treasury Note/Bond 91282CFQ9 1445000.00000000 PA USD 1446693.37000000 3.933816080754 Long DBT UST US N 2 2024-10-31 Fixed 4.37500000 N N N N N N EQUITABLE HOLDINGS INC 549300FIBAKMNHPZ4009 Equitable Holdings Inc 054561AC9 42000.00000000 PA USD 41940.77000000 0.114044398686 Long DBT CORP US N 2 2023-04-20 Fixed 3.90000000 N N N N N N BENCHMARK Mortgage Trust N/A Benchmark 2019-B10 Mortgage Trust 08162VAA6 64455.34000000 PA USD 63207.87000000 0.171873418785 Long ABS-MBS CORP US N 2 2062-03-15 Fixed 2.79300000 N N N N N N DTE ENERGY CO 549300IX8SD6XXD71I78 DTE Energy Co 233331BD8 90000.00000000 PA USD 88986.72000000 0.241970688031 Long DBT CORP US N 2 2024-11-01 Variable 4.22000000 N N N N N N OFFICE PPTY INCOME TRST N/A Office Properties Income Trust 67623CAF6 30000.00000000 PA USD 16645.05000000 0.045260845672 Long DBT US N 2 2031-10-15 Fixed 3.45000000 N N N N N N ENBRIDGE INC 98TPTUM4IVMFCZBCUR27 Enbridge Inc 29250NBR5 60000.00000000 PA USD 62408.63000000 0.169700143349 Long DBT CORP CA N 2 2033-03-08 Fixed 5.70000000 N N N N N N Verizon Master Trust 5493007MUBNP1GFMEB89 Verizon Master Trust 92348KAV5 60000.00000000 PA USD 59192.46000000 0.160954806205 Long ABS-O CORP US N 2 2027-07-20 Variable 3.72000000 N N N N N N AVOLON HOLDINGS FNDG LTD 635400ZRKEX9L1BKCH30 Avolon Holdings Funding Ltd 05401AAK7 35000.00000000 PA USD 34266.17000000 0.093175798940 Long DBT CORP KY N 2 2026-01-15 Fixed 5.50000000 N N N N N N Government National Mortgage Association 549300M8ZYFG0OCMTT87 Government National Mortgage Association 38376RUS3 7915.54000000 PA USD 7852.20000000 0.021351525672 Long ABS-MBS USGA US N 3 2066-05-20 Floating 5.14600000 N N N N N N WARNERMEDIA HOLDINGS INC 549300DXR29GD4N0A520 Warnermedia Holdings Inc 55903VAG8 70000.00000000 PA USD 65920.98000000 0.179250846489 Long DBT CORP US N 2 2027-03-15 Fixed 3.75500000 N N N N N N OneMain Direct Auto Receivables Trust N/A OneMain Direct Auto Receivables Trust 2022-1 68269DAB0 130000.00000000 PA USD 129655.67000000 0.352556782372 Long ABS-O CORP US N 2 2029-03-14 Floating 6.15800000 N N N N N N Flagship Credit Auto Trust N/A Flagship Credit Auto Trust 2020-2 33844QAE3 5278.20000000 PA USD 5252.67000000 0.014282942150 Long ABS-O CORP US N 2 2026-04-15 Fixed 3.80000000 N N N N N N Fixed Income Clearing Corp 549300H47WTHXPU08X20 FIXED INC CLEARING CORP.REPO 000000000 138963.60000000 PA USD 138963.60000000 0.377866696326 Long RA CORP US N 2 Repurchase N 2.10000000 2023-04-03 145400.00000000 USD 141747.99000000 USD UST N N N SANTANDER HOLDINGS USA 549300SMVCQN2P0O6I58 Santander Holdings USA Inc 80282KBF2 65000.00000000 PA USD 64940.07000000 0.176583578074 Long DBT CORP US N 2 2029-03-09 Fixed 6.49900000 N N N N N N BAIN CAPITAL SPECIALTY F 549300V2JL72R0EYBK64 Bain Capital Specialty Finance Inc 05684BAC1 60000.00000000 PA USD 50634.61000000 0.137684492921 Long DBT CORP US N 2 2026-10-13 Fixed 2.55000000 N N N N N N GUARDIAN LIFE GLOB FUND 635400NHILJ5JEKILC36 Guardian Life Global Funding 40139LAG8 40000.00000000 PA USD 36726.53000000 0.099865954527 Long DBT CORP US N 2 2025-06-23 Fixed 1.10000000 N N N N N N WELLS FARGO & COMPANY PBLD0EJDB5FWOLXP3B76 Wells Fargo & Co 95000U2X0 190000.00000000 PA USD 184416.90000000 0.501462287604 Long DBT CORP US N 2 2026-04-25 Fixed 3.90800000 N N N N N N WHIRLPOOL CORP WHENKOULSSK7WUM60H03 Whirlpool Corp 963320BA3 90000.00000000 PA USD 90290.62000000 0.245516223591 Long DBT CORP US N 2 2033-03-01 Fixed 5.50000000 N N N N N N 2023-04-28 Natixis ETF Trust John Sgroi John Sgroi Assistant Treasurer XXXX NPORT-EX 2 NPORT_IALA_30869254_0323.htm HTML

PORTFOLIO OF INVESTMENTS – as of March 31, 2023 (Unaudited)

Natixis Loomis Sayles Short Duration Income ETF

 

Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – 98.8% of Net Assets

 
  

ABS Car Loan – 18.3%

 

$ 30,000     

Ally Auto Receivables Trust, Series 2022-3,Class A3,

5.070%, 4/15/2027

   $ 30,106  
  4,469     

American Credit Acceptance Receivables Trust, Series 2020-4, Class C,

1.310%, 12/14/2026, 144A

     4,393  
  76,111     

American Credit Acceptance Receivables Trust, Series 2021-3, Class C,

0.980%, 11/15/2027, 144A

     74,556  
  16,012     

American Credit Acceptance Receivables Trust, Series 2022-1, Class A,

0.990%, 12/15/2025, 144A

     15,971  
  20,000     

American Credit Acceptance Receivables Trust, Series 2022-4, Class C,

7.860%, 2/15/2029, 144A

     20,700  
  20,000     

AmeriCredit Automobile Receivables Trust, Series 2021-2, Class B,

0.690%, 1/19/2027

     18,855  
  55,000     

AmeriCredit Automobile Receivables Trust, Series 2021-3, Class C,

1.410%, 8/18/2027

     49,950  
  85,000     

AmeriCredit Automobile Receivables Trust, Series 2022-1, Class B,

2.770%, 4/19/2027

     80,756  
  40,000     

AmeriCredit Automobile Receivables Trust, Series 2022-2, Class A3,

4.380%, 4/18/2028

     39,438  
  105,000     

AmeriCredit Automobile Receivables Trust, Series 2023-1, Class B,

5.570%, 3/20/2028

     105,955  
  124,610     

Avid Automobile Receivables Trust, Series 2023-1, Class A,

6.630%, 7/15/2026, 144A

     124,809  
  100,000     

Avis Budget Rental Car Funding AESOP LLC, Series 2019-2A, Class A,

3.350%, 9/22/2025, 144A

     97,273  
  105,000     

Avis Budget Rental Car Funding AESOP LLC, Series 2022-5A, Class A,

6.120%, 4/20/2027, 144A

     107,463  
  20,000     

BMW Vehicle Lease Trust, Series 2023-1, Class A3,

5.160%, 11/25/2025

     20,051  
  73,722     

Canadian Pacer Auto Receivables Trust, Series 2021-1A, Class A3,

0.500%, 10/20/2025, 144A

     71,086  
  86,171     

Capital One Prime Auto Receivables Trust, Series 2022-2, Class A2A,

3.740%, 9/15/2025

     85,060  
  105,000     

Capital One Prime Auto Receivables Trust, Series 2023-1, Class A3,

4.870%, 2/15/2028

     105,574  
  822     

CarMax Auto Owner Trust, Series 2019-3, Class A3,

2.180%, 8/15/2024

     821  
  12,378     

CarMax Auto Owner Trust, Series 2021-1, Class A3,

0.340%, 12/15/2025

     11,966  
  133,264     

CarMax Auto Owner Trust, Series 2021-3, Class A3,

0.550%, 6/15/2026

     127,572  
  75,000     

CarMax Auto Owner Trust, Series 2023-1, Class A3,

4.750%, 10/15/2027

     74,999  
  8,861     

Carvana Auto Receivables Trust, Series 2020-P1, Class A3,

0.440%, 6/09/2025

     8,784  
  6,841     

Carvana Auto Receivables Trust, Series 2021-N2, Class B,

0.750%, 3/10/2028

     6,353  
  27,124     

Carvana Auto Receivables Trust, Series 2021-N4, Class C,

1.720%, 9/11/2028

     26,093  
  85,000     

Carvana Auto Receivables Trust, Series 2021-P3, Class A3,

0.700%, 11/10/2026

     80,449  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

ABS Car Loan – continued

 

$ 255,000     

Carvana Auto Receivables Trust, Series 2023-P1, Class A3,

5.980%, 12/10/2027, 144A

   $ 256,947  
  12,924     

CIG Auto Receivables Trust, Series 2021-1A, Class A,

0.690%, 4/14/2025, 144A

     12,828  
  26,404     

Drive Auto Receivables Trust, Series 2021-2, Class B,

0.580%, 12/15/2025

     26,228  
  50,000     

Drive Auto Receivables Trust, Series 2021-3, Class B,

1.110%, 5/15/2026

     48,897  
  9,031     

DT Auto Owner Trust, Series 2020-2A, Class C,

3.280%, 3/16/2026, 144A

     8,966  
  31,918     

DT Auto Owner Trust, Series 2020-3A, Class C,

1.470%, 6/15/2026, 144A

     31,168  
  20,505     

DT Auto Owner Trust, Series 2021-2A, Class B,

0.810%, 1/15/2027, 144A

     20,270  
  11,787     

DT Auto Owner Trust, Series 2021-3A, Class A,

0.330%, 4/15/2025, 144A

     11,742  
  50,000     

DT Auto Owner Trust, Series 2021-4A, Class C,

1.500%, 9/15/2027, 144A

     46,803  
  50,000     

DT Auto Owner Trust, Series 2022-3A, Class B,

6.740%, 7/17/2028, 144A

     50,710  
  160,602     

DT Auto Owner Trust, Series 2023-1A, Class A,

5.480%, 4/15/2027, 144A

     160,321  
  40,000     

DT Auto Owner Trust, Series 2023-1A, Class B,

5.190%, 10/16/2028, 144A

     39,702  
  54,050     

Enterprise Fleet Financing LLC, Series 2021-2, Class A2,

0.480%, 5/20/2027, 144A

     51,932  
  3,218     

Exeter Automobile Receivables Trust, Series 2020-2A, Class C,

3.280%, 5/15/2025, 144A

     3,212  
  8,345     

Exeter Automobile Receivables Trust, Series 2020-3A, Class C,

1.320%, 7/15/2025

     8,294  
  3,085     

Exeter Automobile Receivables Trust, Series 2021-2A, Class B,

0.570%, 9/15/2025

     3,079  
  79,127     

Exeter Automobile Receivables Trust, Series 2021-4A, Class B,

1.050%, 5/15/2026

     77,930  
  70,000     

Exeter Automobile Receivables Trust, Series 2022-3A, Class B,

4.860%, 12/15/2026

     69,251  
  50,000     

Exeter Automobile Receivables Trust, Series 2022-4A, Class A3,

4.330%, 2/17/2026

     49,658  
  80,000     

Exeter Automobile Receivables Trust, Series 2022-5A, Class B,

5.970%, 3/15/2027

     80,170  
  25,000     

Exeter Automobile Receivables Trust, Series 2022-6A, Class B,

6.030%, 8/16/2027

     25,142  
  90,000     

Exeter Automobile Receivables Trust, Series 2023-1A, Class B,

5.720%, 4/15/2027

     90,100  
  1,940     

First Investors Auto Owner Trust, Series 2021-1A, Class A,

0.450%, 3/16/2026, 144A

     1,926  
  90,000     

First Investors Auto Owner Trust, Series 2022-1A, Class C,

3.130%, 5/15/2028, 144A

     84,905  
  5,278     

Flagship Credit Auto Trust, Series 2020-2, Class C,

3.800%, 4/15/2026, 144A

     5,253  
  15,000     

Flagship Credit Auto Trust, Series 2020-4, Class C,

1.280%, 2/16/2027, 144A

     14,334  
  498     

Flagship Credit Auto Trust, Series 2021-1, Class A,

0.310%, 6/16/2025, 144A

     498  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

ABS Car Loan – continued

 

$ 30,000     

Flagship Credit Auto Trust, Series 2021-2, Class B,

0.930%, 6/15/2027, 144A

   $ 28,771  
  65,000     

Flagship Credit Auto Trust, Series 2021-2, Class C,

1.270%, 6/15/2027, 144A

     60,670  
  80,000     

Flagship Credit Auto Trust, Series 2022-3, Class A3,

4.550%, 4/15/2027, 144A

     79,100  
  110,000     

Flagship Credit Auto Trust, Series 2022-4, Class A3,

6.320%, 6/15/2027, 144A

     111,811  
  55,000     

Flagship Credit Auto Trust, Series 2023-1, Class A3,

5.010%, 8/16/2027, 144A

     55,073  
  75,000     

Ford Credit Auto Lease Trust, Series 2023-A, Class A3,

4.940%, 3/15/2026

     74,924  
  34,285     

Ford Credit Auto Owner Trust, Series 2021-A, Class A3,

0.300%, 8/15/2025

     33,347  
  50,000     

Ford Credit Auto Owner Trust, Series 2023-A, Class A3,

4.650%, 2/15/2028

     50,059  
  85,582     

Foursight Capital Automobile Receivables Trust, Series 2021-2, Class A3,

0.810%, 5/15/2026, 144A

     83,819  
  106,921     

Foursight Capital Automobile Receivables Trust, Series 2022-2, Class A2,

4.490%, 3/16/2026, 144A

     106,082  
  105,000     

GLS Auto Receivables Issuer Trust, Series 2021-4A, Class B,

1.530%, 4/15/2026, 144A

     101,124  
  120,000     

GLS Auto Receivables Issuer Trust, Series 2023-1A, Class B,

6.190%, 6/15/2027, 144A

     121,617  
  15,962     

GM Financial Automobile Leasing Trust, Series 2021-1, Class A3,

0.260%, 2/20/2024

     15,918  
  35,041     

GM Financial Automobile Leasing Trust, Series 2021-2, Class A3,

0.340%, 5/20/2024

     34,695  
  55,910     

GM Financial Automobile Leasing Trust, Series 2022-2, Class A2,

2.930%, 10/21/2024

     55,295  
  80,000     

GM Financial Automobile Leasing Trust, Series 2023-1, Class A3,

5.160%, 4/20/2026

     80,196  
  11,223     

GM Financial Consumer Automobile Receivables Trust, Series 2021-1, Class A3,

0.350%, 10/16/2025

     10,922  
  13,564     

GM Financial Consumer Automobile Receivables Trust, Series 2021-4, Class A2,

0.280%, 11/18/2024

     13,470  
  37,308     

GM Financial Consumer Automobile Receivables Trust, Series 2022-2, Class A2,

2.520%, 5/16/2025

     36,895  
  45,000     

GM Financial Consumer Automobile Receivables Trust, Series 2023-1, Class A3,

4.660%, 2/16/2028

     45,152  
  18,043     

Harley-Davidson Motorcycle Trust, Series 2021-A, Class A3,

0.370%, 4/15/2026

     17,548  
  11,029     

Harley-Davidson Motorcycle Trust, Series 2022-A, Class A2A,

2.450%, 5/15/2025

     10,943  
  160,000     

Harley-Davidson Motorcycle Trust, Series 2023-A, Class A3,

5.050%, 12/15/2027

     160,747  
  25,828     

Honda Auto Receivables Owner Trust, Series 2020-2, Class A3,

0.820%, 7/15/2024

     25,570  
  25,093     

Honda Auto Receivables Owner Trust, Series 2020-3, Class A3,

0.370%, 10/18/2024

     24,613  
  16,479     

Honda Auto Receivables Owner Trust, Series 2021-1, Class A3,

0.270%, 4/21/2025

     16,018  
  54,756     

Mercedes-Benz Auto Lease Trust, Series 2021-B, Class A3,

0.400%, 11/15/2024

     53,524  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

ABS Car Loan – continued

 

$ 25,000     

Mercedes-Benz Auto Receivables Trust, Series 2023-1, Class A2,

5.090%, 1/15/2026

   $ 24,953  
  145,000     

NextGear Floorplan Master Owner Trust, Series 2021-1A, Class A,

0.850%, 7/15/2026, 144A

     136,597  
  135,000     

NextGear Floorplan Master Owner Trust, Series 2023-1A, Class A2,

5.740%, 3/15/2028, 144A

     134,241  
  70,000     

Nissan Auto Lease Trust, Series 2023-A, Class A3,

4.910%, 1/15/2026

     69,926  
  130,000     

OneMain Direct Auto Receivables Trust, Series 2022-1A, Class A2,

30 day USD SOFR Average + 1.600%, 6.158%, 3/14/2029, 144A(a)

     129,656  
  130,000     

OneMain Direct Auto Receivables Trust, Series 2023-1A, Class A,

5.410%, 11/14/2029, 144A

     129,872  
  25,000     

PenFed Auto Receivables Owner Trust, Series 2022-A, Class A4,

4.180%, 12/15/2028, 144A

     24,468  
  33,518     

Prestige Auto Receivables Trust, Series 2020-1A, Class C,

1.310%, 11/16/2026, 144A

     33,318  
  45,000     

Prestige Auto Receivables Trust, Series 2021-1A, Class C,

1.530%, 2/15/2028, 144A

     41,653  
  25,000     

Santander Consumer Auto Receivables Trust, Series 2020-AA, Class C,

3.710%, 2/17/2026, 144A

     24,853  
  13,510     

Santander Drive Auto Receivables Trust, Series 2020-3, Class C,

1.120%, 1/15/2026

     13,448  
  15,016     

Santander Drive Auto Receivables Trust, Series 2020-4, Class C,

1.010%, 1/15/2026

     14,894  
  33,161     

Santander Drive Auto Receivables Trust, Series 2021-3, Class B,

0.600%, 12/15/2025

     33,005  
  80,000     

Santander Drive Auto Receivables Trust, Series 2022-3, Class B,

4.130%, 8/16/2027

     78,401  
  135,000     

Santander Drive Auto Receivables Trust, Series 2022-4, Class B,

4.420%, 11/15/2027

     132,630  
  25,000     

Santander Drive Auto Receivables Trust, Series 2022-7, Class A3,

5.750%, 4/15/2027

     25,234  
  85,000     

Santander Drive Auto Receivables Trust, Series 2023-1, Class A2,

5.360%, 5/15/2026

     84,817  
  25,000     

Santander Drive Auto Receivables Trust, Series 2023-1, Class C,

5.090%, 5/15/2030

     24,710  
  144,057     

Santander Retail Auto Lease Trust, Series 2021-B, Class A3,

0.510%, 8/20/2024, 144A

     140,862  
  18,536     

Santander Retail Auto Lease Trust, Series 2022-A, Class A2,

0.970%, 3/20/2025, 144A

     18,210  
  95,000     

Toyota Auto Receivables Owner Trust, Series 2021-C, Class A3,

0.430%, 1/15/2026

     90,995  
  121,103     

Toyota Lease Owner Trust, Series 2021-B, Class A3,

0.420%, 10/21/2024, 144A

     118,883  
  53,711     

United Auto Credit Securitization Trust, Series 2022-1, Class B,

2.100%, 3/10/2025, 144A

     53,285  
  55,000     

United Auto Credit Securitization Trust, Series 2022-2, Class C,

5.810%, 5/10/2027, 144A

     54,708  
  210,000     

Volkswagen Auto Loan Enhanced Trust, Series 2021-1, Class A3,

1.020%, 6/22/2026

     200,802  
  140,000     

Westlake Automobile Receivables Trust, Seies 2023-2A, Class A3,

5.800%, 2/16/2027, 144A

     140,885  
  10,475     

Westlake Automobile Receivables Trust, Series 2020-2A, Class C,

2.010%, 7/15/2025, 144A

     10,421  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

ABS Car Loan – continued

 

$ 15,000     

Westlake Automobile Receivables Trust, Series 2020-3A, Class C,

1.240%, 11/17/2025, 144A

   $ 14,738  
  9,903     

Westlake Automobile Receivables Trust, Series 2021-2A, Class A2A,

0.320%, 4/15/2025, 144A

     9,837  
  45,000     

Westlake Automobile Receivables Trust, Series 2021-2A, Class B,

0.620%, 7/15/2026, 144A

     43,854  
  115,000     

Westlake Automobile Receivables Trust, Series 2021-3A, Class C,

1.580%, 1/15/2027, 144A

     108,712  
  30,000     

Westlake Automobile Receivables Trust, Series 2023-1A, Class C,

5.740%, 8/15/2028, 144A

     30,113  
  57,071     

World Omni Auto Receivables Trust, Series 2021-B, Class A3,

0.420%, 6/15/2026

     54,415  
  1,497     

World Omni Auto Receivables Trust, Series 2021-C, Class A2,

0.220%, 9/16/2024

     1,494  
  105,000     

World Omni Auto Receivables Trust, Series 2022-D, Class A2A,

5.510%, 3/16/2026

     105,177  
  140,000     

World Omni Auto Receivables Trust, Series 2023-A, Class A3,

4.830%, 5/15/2028

     139,627  
  30,000     

World Omni Automobile Lease Securitization Trust, Series 2022-A, Class A3,

3.210%, 2/18/2025

     29,435  
  4,218     

World Omni Select Auto Trust, Series 2020-A, Class A3,

0.550%, 7/15/2025

     4,200  
  40,000     

World Omni Select Auto Trust, Series 2021-A, Class B,

0.850%, 8/16/2027

     37,018  
        6,741,549  
  

ABS Credit Card – 0.8%

 

  170,000     

Capital One Multi-Asset Execution Trust, Series 2021-A1, Class A1,

0.550%, 7/15/2026

     160,968  
  125,000     

Mercury Financial Credit Card Master Trust, Series 2022-1A, Class A,

2.500%, 9/21/2026, 144A

     117,471  
        278,439  
  

ABS Other – 2.4%

 

  93,932     

Daimler Trucks Retail Trust, Series 2022-1, Class A2,

5.070%, 9/16/2024

     93,341  
  85,000     

Enterprise Fleet Financing LLC, Series 2022-4, Class A2,

5.760%, 10/22/2029, 144A

     85,626  
  100,000     

FREED ABS Trust, Series 2022-4FP, Class B,

7.580%, 12/18/2029, 144A

     99,704  
  180,000     

HPEFS Equipment Trust, Series 2023-1A, Class A3,

5.410%, 2/22/2028, 144A

     178,548  
  33,070     

Kubota Credit Owner Trust, Series 2021-2A, Class A2,

0.260%, 6/17/2024, 144A

     32,871  
  32,935     

OneMain Financial Issuance Trust, Series 2020-1A, Class A,

3.840%, 5/14/2032, 144A

     32,710  
  220,000     

OneMain Financial Issuance Trust, Series 2022-S1, Class A,

4.130%, 5/14/2035, 144A

     212,499  
  110,000     

SCF Equipment Leasing LLC, Series 2022-1A, Class A3,

2.920%, 7/20/2029, 144A

     105,003  
  60,000     

Verizon Master Trust, Series 2022-5, Class A1A,

3.720%, 7/20/2027(b)

     59,192  
        899,494  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

ABS Student Loan – 0.3%

 

$ 125,236     

Navient Private Education Refi Loan Trust, Series 2021-EA, Class A,

0.970%, 12/16/2069, 144A

     $106,178  
  

Aerospace & Defense – 0.2%

 

  20,000     

Boeing Co.,

4.875%, 5/01/2025

     19,962  
  20,000     

Huntington Ingalls Industries, Inc.,

3.844%, 5/01/2025

     19,543  
  2,000     

Raytheon Technologies Corp.,

3.650%, 8/16/2023

     1,983  
  45,000     

Raytheon Technologies Corp.,

5.000%, 2/27/2026

     45,683  
        87,171  
  

Agency Commercial Mortgage-Backed Securities – 0.1%

 

  16,952     

Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates, Series KF81, Class AL,

1 mo. USD LIBOR + 0.360%, 5.029%, 6/25/2027(a)

     16,881  
  12,329     

Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates, Series KF81, Class AS,

30 day USD SOFR Average + 0.400%, 4.926%, 6/25/2027(a)

     12,277  
  111     

Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates, Series KJ28, Class A1,

1.766%, 2/25/2025

     111  
        29,269  
  

Airlines – 0.2%

 

  55,000     

Southwest Airlines Co.,

5.250%, 5/04/2025

     54,955  
  15,000     

United Airlines, Inc.,

4.375%, 4/15/2026, 144A

     14,351  
        69,306  
  

Automotive – 2.0%

 

  55,000     

American Honda Finance Corp.,

4.750%, 1/12/2026

     55,437  
  40,000     

American Honda Finance Corp., MTN,

0.650%, 9/08/2023

     39,206  
  55,000     

BMW U.S. Capital LLC,

3.450%, 4/12/2023, 144A

     54,976  
  145,000     

General Motors Financial Co., Inc.,

6.050%, 10/10/2025

     147,368  
  25,000     

Harley-Davidson Financial Services, Inc.,

3.350%, 6/08/2025, 144A

     23,873  
  125,000     

Harley-Davidson Financial Services, Inc.,

6.500%, 3/10/2028, 144A

     126,364  
  75,000     

Hyundai Capital America,

0.875%, 6/14/2024, 144A

     70,999  
  95,000     

Hyundai Capital America,

5.800%, 4/01/2030, 144A

     95,821  
  130,000     

PACCAR Financial Corp., MTN,

4.450%, 3/30/2026

     130,161  
        744,205  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

Banking – 10.2%

 

$ 80,000     

Ally Financial, Inc.,

7.100%, 11/15/2027

   $ 81,259  
  105,000     

American Express Co.,

4.900%, 2/13/2026

     105,976  
  110,000     

Bank of America Corp., (fixed rate to 4/02/2025, variable rate thereafter), MTN,

3.384%, 4/02/2026

     105,464  
  35,000     

Bank of Montreal,

SOFR Index + 0.350%, 5.149%, 12/08/2023(a)

     34,849  
  35,000     

Bank of New York Mellon Corp., MTN,

1.600%, 4/24/2025

     32,532  
  145,000     

Bank of Nova Scotia,

0.700%, 4/15/2024

     138,316  
  75,000     

Bank of Nova Scotia,

4.850%, 2/01/2030

     74,076  
  200,000     

Barclays PLC, (fixed rate to 11/02/2027, variable rate thereafter),

7.385%, 11/02/2028

     211,989  
  15,000     

Canadian Imperial Bank of Commerce,

0.950%, 6/23/2023

     14,849  
  190,000     

Canadian Imperial Bank of Commerce,

3.945%, 8/04/2025

     184,674  
  160,000     

Capital One Financial Corp., (fixed rate to 12/06/2023, variable rate thereafter),

1.343%, 12/06/2024

     154,509  
  120,000     

Capital One Financial Corp., (fixed rate to 2/01/2028, variable rate thereafter),

5.468%, 2/01/2029

     116,949  
  15,000     

Citigroup, Inc., (fixed rate to 5/01/2024, variable rate thereafter),

0.981%, 5/01/2025

     14,250  
  95,000     

Citizens Financial Group, Inc., (fixed rate to 5/21/2032, variable rate thereafter),

5.641%, 5/21/2037

     86,860  
  75,000     

Comerica, Inc.,

3.700%, 7/31/2023

     71,911  
  150,000     

Deutsche Bank AG,

5.371%, 9/09/2027

     147,001  
  200,000     

DNB Bank ASA, (fixed rate to 10/09/2025, variable rate thereafter),

5.896%, 10/09/2026, 144A

     201,518  
  205,000     

HSBC Holdings PLC, (fixed rate to 11/22/2026, variable rate thereafter),

2.251%, 11/22/2027

     181,790  
  200,000     

HSBC USA, Inc.,

5.625%, 3/17/2025

     200,376  
  265,000     

JPMorgan Chase & Co., (fixed rate to 12/15/2024, variable rate thereafter),

5.546%, 12/15/2025

     266,813  
  200,000     

Lloyds Banking Group PLC, (fixed rate to 3/18/2025, variable rate thereafter),

3.511%, 3/18/2026

     190,294  
  120,000     

Macquarie Group Ltd., (fixed rate to 10/14/2024, variable rate thereafter),

1.201%, 10/14/2025, 144A

     111,818  
  235,000     

Mitsubishi UFJ Financial Group, Inc., (fixed rate to 1/19/2027, variable rate thereafter),

2.341%, 1/19/2028

     211,022  
  120,000     

Morgan Stanley, MTN,

SOFR + 0.455%, 5.108%, 1/25/2024(a)

     119,630  
  55,000     

Royal Bank of Canada,

6.000%, 11/01/2027

     57,372  
  20,000     

Royal Bank of Canada, GMTN,

0.750%, 10/07/2024

     18,750  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

Banking – continued

 

$ 60,000     

Royal Bank of Canada, GMTN,

SOFR Index + 0.300%, 4.907%, 1/19/2024(a)

   $ 59,599  
  55,000     

Santander Holdings USA, Inc.,

3.450%, 6/02/2025

     51,487  
  65,000     

Santander Holdings USA, Inc., (fixed rate to 3/09/2028, variable rate thereafter),

6.499%, 3/09/2029

     64,940  
  125,000     

Synchrony Financial,

4.875%, 6/13/2025

     115,711  
  190,000     

Wells Fargo & Co., (fixed rate to 4/25/2025, variable rate thereafter), MTN,

3.908%, 4/25/2026

     184,417  
  60,000     

Wells Fargo & Co., (fixed rate to 8/15/2025, variable rate thereafter), MTN,

4.540%, 8/15/2026

     58,910  
  75,000     

Westpac Banking Corp., (fixed rate to 8/10/2032, variable rate thereafter),

5.405%, 8/10/2033

     71,675  
        3,741,586  
  

Brokerage – 0.1%

 

  50,000     

Ameriprise Financial, Inc.,

5.150%, 5/15/2033

     49,853  
  

Building Materials – 0.2%

 

  70,000     

Stanley Black & Decker, Inc.,

6.000%, 3/06/2028

     72,145  
  

Chemicals – 0.7%

 

  130,000     

Celanese U.S. Holdings LLC,

6.165%, 7/15/2027

     130,742  
  35,000     

Eastman Chemical Co.,

5.750%, 3/08/2033

     35,599  
  75,000     

Nutrien Ltd.,

5.900%, 11/07/2024

     76,068  
        242,409  
  

Collateralized Mortgage Obligations – 0.7%

 

  930     

Government National Mortgage Association, Series 2011-H23, Class HA,

3.000%, 12/20/2061(c)

     861  
  388     

Government National Mortgage Association, Series 2012-H28, Class FA,

1 mo. USD LIBOR + 0.580%, 4.981%, 9/20/2062(a)(c)

     373  
  521     

Government National Mortgage Association, Series 2013-H04, Class BA,

1.650%, 2/20/2063(c)

     474  
  3,321     

Government National Mortgage Association, Series 2013-H11, Class JA,

3.500%, 4/20/2063(c)

     3,201  
  7,916     

Government National Mortgage Association, Series 2016-H13, Class FT,

1 mo. USD LIBOR + 0.580%, 5.146%, 5/20/2066(a)(c)

     7,852  
  1,878     

Government National Mortgage Association, Series 2018-H02, Class FJ,

1 mo. USD LIBOR + 0.200%, 4.766%, 10/20/2064(a)(c)

     1,864  
  20,991     

Government National Mortgage Association, Series 2019-H01, Class FJ,

1 mo. USD LIBOR + 0.300%, 4.866%, 9/20/2068(a)(c)

     20,763  
  20,804     

Government National Mortgage Association, Series 2019-H01, Class FT,

1 mo. USD LIBOR + 0.400%, 4.966%, 10/20/2068(a)

     20,710  
  31,443     

Government National Mortgage Association, Series 2019-H05, Class FT,

1 yr. CMT + 0.430%, 5.120%, 4/20/2069(a)

     31,427  
  59,336     

Government National Mortgage Association, Series 2019-H13, Class FT,

1 yr. CMT + 0.450%, 5.140%, 8/20/2069(a)

     59,256  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

Collateralized Mortgage Obligations – continued

 

$ 104,489     

Government National Mortgage Association, Series 2020-HO1, Class FT,

1 yr. CMT + 0.500%, 5.190%, 1/20/2070(a)

     $104,003  
        250,784  
  

Construction Machinery – 0.8%

 

  35,000     

Caterpillar Financial Services Corp.,

4.800%, 1/06/2026

     35,575  
  150,000     

Caterpillar Financial Services Corp., MTN,

5.400%, 3/10/2025

     152,782  
  80,000     

CNH Industrial Capital LLC,

1.950%, 7/02/2023

     79,225  
  35,000     

CNH Industrial Capital LLC,

5.450%, 10/14/2025

     35,390  
        302,972  
  

Consumer Cyclical Services – 0.1%

 

  31,000     

Expedia Group, Inc.,

6.250%, 5/01/2025, 144A

     31,376  
  

Consumer Products – 0.7%

 

  160,000     

Kenvue, Inc.,

5.050%, 3/22/2028, 144A

     165,359  
  90,000     

Whirlpool Corp.,

5.500%, 3/01/2033

     90,291  
        255,650  
  

Diversified Manufacturing – 0.0%

 

  15,000     

Amphenol Corp.,

4.750%, 3/30/2026

     15,059  
  

Electric – 5.9%

 

  45,000     

AES Corp.,

3.300%, 7/15/2025, 144A

     42,651  
  25,000     

Alliant Energy Finance LLC,

3.750%, 6/15/2023, 144A

     24,916  
  60,000     

American Electric Power Co., Inc.,

2.031%, 3/15/2024

     58,042  
  65,000     

American Electric Power Co., Inc., Series A,

3 mo. USD LIBOR + 0.480%, 5.294%, 11/01/2023(a)

     64,709  
  25,000     

Black Hills Corp.,

5.950%, 3/15/2028

     25,896  
  40,000     

CenterPoint Energy Houston Electric LLC,

4.950%, 4/01/2033

     40,849  
  60,000     

Consolidated Edison Co. of New York, Inc.,

5.200%, 3/01/2033

     61,879  
  85,000     

Consolidated Edison, Inc., Series A,

0.650%, 12/01/2023

     82,453  
  125,000     

Constellation Energy Generation LLC,

5.600%, 3/01/2028

     128,638  
  30,000     

Dominion Energy, Inc.,

3.071%, 8/15/2024

     29,095  
  65,000     

Dominion Energy, Inc., Series D,

3 mo. USD LIBOR + 0.530%, 5.396%, 9/15/2023(a)

     64,759  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

  
  

Electric – continued

 

$ 50,000     

DTE Electric Co.,

5.200%, 4/01/2033

   $ 51,606  
  90,000     

DTE Energy Co.,

4.220%, 11/01/2024

     88,987  
  125,000     

Edison International,

4.700%, 8/15/2025

     123,264  
  200,000     

Entergy Louisiana LLC,

0.950%, 10/01/2024

     188,399  
  45,000     

Eversource Energy, Series N,

3.800%, 12/01/2023

     44,433  
  25,000     

Louisville Gas & Electric Co., Series LOU,

5.450%, 4/15/2033

     25,980  
  180,000     

NextEra Energy Capital Holdings, Inc.,

4.900%, 2/28/2028

     181,190  
  45,000     

NextEra Energy Capital Holdings, Inc.,

6.051%, 3/01/2025

     45,779  
  55,000     

NRG Energy, Inc.,

7.000%, 3/15/2033, 144A

     56,976  
  110,000     

Pacific Gas & Electric Co.,

3.250%, 2/16/2024

     107,725  
  25,000     

Pennsylvania Electric Co.,

5.150%, 3/30/2026, 144A

     25,109  
  40,000     

Southern California Edison Co.,

5.300%, 3/01/2028

     41,003  
  85,000     

Southern Co., Series 21-A,

0.600%, 2/26/2024

     81,310  
  85,000     

Vistra Operations Co. LLC,

5.125%, 5/13/2025, 144A

     82,953  
  110,000     

WEC Energy Group, Inc.,

0.800%, 3/15/2024

     105,324  
  180,000     

WEC Energy Group, Inc.,

4.750%, 1/09/2026

     180,045  
  30,000     

Wisconsin Power & Light Co.,

4.950%, 4/01/2033

     30,186  
  90,000     

Xcel Energy, Inc.,

0.500%, 10/15/2023

     87,802  
        2,171,958  
  

Environmental – 0.2%

 

  60,000     

Waste Management, Inc.,

4.625%, 2/15/2030

     60,032  
  

Finance Companies – 2.6%

 

  80,000     

Air Lease Corp.,
0.800%, 8/18/2024

     74,604  
  40,000     

Air Lease Corp., MTN,
0.700%, 2/15/2024

     38,248  
  40,000     

Aircastle Ltd.,
2.850%, 1/26/2028, 144A

     34,417  
  30,000     

Ares Capital Corp.,
2.875%, 6/15/2028

     24,669  
  70,000     

Aviation Capital Group LLC,
3.875%, 5/01/2023, 144A

     69,709  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

Finance Companies – continued

 

$ 35,000     

Avolon Holdings Funding Ltd.,

5.500%, 1/15/2026, 144A

   $ 34,266  
  60,000     

Bain Capital Specialty Finance, Inc.,

2.550%, 10/13/2026

     50,635  
  20,000     

Barings BDC, Inc.,

3.300%, 11/23/2026

     17,701  
  125,000     

Blackstone Private Credit Fund,

2.625%, 12/15/2026

     104,966  
  70,000     

Blackstone Secured Lending Fund,

2.850%, 9/30/2028

     57,437  
  45,000     

FS KKR Capital Corp.,

3.250%, 7/15/2027

     38,126  
  15,000     

FS KKR Capital Corp.,

4.250%, 2/14/2025, 144A

     14,083  
  80,000     

Golub Capital BDC, Inc.,

2.500%, 8/24/2026

     68,576  
  70,000     

Hercules Capital, Inc.,

3.375%, 1/20/2027

     60,055  
  90,000     

Main Street Capital Corp.,

3.000%, 7/14/2026

     78,456  
  40,000     

Morgan Stanley Direct Lending Fund,

4.500%, 2/11/2027

     37,528  
  30,000     

Owl Rock Capital Corp.,

3.750%, 7/22/2025

     27,357  
  25,000     

Owl Rock Core Income Corp.,

5.500%, 3/21/2025

     24,344  
  10,000     

Owl Rock Core Income Corp.,

7.750%, 9/16/2027, 144A

     9,851  
  110,000     

Owl Rock Technology Finance Corp.,

4.750%, 12/15/2025, 144A

     98,832  
        963,860  
  

Food & Beverage – 0.8%

 

  25,000     

Archer-Daniels-Midland Co.,

4.500%, 8/15/2033

     25,027  
  30,000     

Brown-Forman Corp.,

4.750%, 4/15/2033

     30,344  
  175,000     

JBS USA LUX SA/JBS USA Food Co./JBS USA Finance, Inc.,

5.125%, 2/01/2028, 144A

     169,003  
  60,000     

Keurig Dr Pepper, Inc.,

0.750%, 3/15/2024

     57,460  
        281,834  
  

Gaming – 0.2%

 

  65,000     

GLP Capital LP/GLP Financing II, Inc.,

5.250%, 6/01/2025

     63,457  
  

Government Owned—No Guarantee – 0.5%

 

  200,000     

NBN Co. Ltd.,

0.875%, 10/08/2024, 144A

     187,598  
  

Health Insurance – 0.6%

 

  125,000     

Humana, Inc.,

0.650%, 8/03/2023

     123,231  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

  
  

Health Insurance – continued

 

$ 95,000     

UnitedHealth Group, Inc.,

5.150%, 10/15/2025

     $96,792  
        220,023  
  

Healthcare – 0.7%

 

  55,000     

Cigna Group,

3.750%, 7/15/2023

     54,733  
  165,000     

GE HealthCare Technologies, Inc.,

5.550%, 11/15/2024, 144A

     165,978  
  45,000     

Medtronic Global Holdings SCA,

4.250%, 3/30/2028

     44,928  
        265,639  
  

Home Construction – 0.0%

 

  20,000     

Forestar Group, Inc.,

3.850%, 5/15/2026, 144A

     17,993  
  

Independent Energy – 0.6%

 

  55,000     

EQT Corp.,

6.125%, 2/01/2025

     55,327  
  50,000     

Pioneer Natural Resources Co.,

0.550%, 5/15/2023

     49,721  
  110,000     

Pioneer Natural Resources Co.,

5.100%, 3/29/2026

     110,458  
        215,506  
  

Life Insurance – 5.8%

 

  50,000     

Athene Global Funding,

2.500%, 3/24/2028, 144A

     42,093  
  20,000     

Brighthouse Financial Global Funding,

1.200%, 12/15/2023, 144A

     19,341  
  120,000     

Brighthouse Financial Global Funding,

1.750%, 1/13/2025, 144A

     112,216  
  25,000     

Corebridge Global Funding,

0.650%, 6/17/2024, 144A

     23,705  
  95,000     

Equitable Financial Life Global Funding,

0.500%, 4/06/2023, 144A

     94,972  
  140,000     

Equitable Financial Life Global Funding,

5.500%, 12/02/2025, 144A

     140,766  
  42,000     

Equitable Holdings, Inc.,

3.900%, 4/20/2023

     41,941  
  30,000     

F&G Annuities & Life, Inc.,

7.400%, 1/13/2028, 144A

     30,207  
  120,000     

F&G Global Funding,

5.150%, 7/07/2025, 144A

     118,299  
  100,000     

Five Corners Funding Trust III,

5.791%, 2/15/2033, 144A

     102,603  
  40,000     

Guardian Life Global Funding,

1.100%, 6/23/2025, 144A

     36,727  
  45,000     

Guardian Life Global Funding,

3.400%, 4/25/2023, 144A

     44,951  
  35,000     

Guardian Life Global Funding,

5.550%, 10/28/2027, 144A

     36,327  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

Life Insurance – continued

 

$ 20,000     

Jackson National Life Global Funding,

3.875%, 6/11/2025, 144A

   $ 18,963  
  180,000     

Jackson National Life Global Funding,

5.500%, 1/09/2026, 144A

     181,990  
  150,000     

Met Tower Global Funding,

0.700%, 4/05/2024, 144A

     142,379  
  115,000     

New York Life Global Funding,

4.700%, 4/02/2026, 144A

     115,090  
  100,000     

New York Life Global Funding,

4.850%, 1/09/2028, 144A

     101,450  
  145,000     

Northwestern Mutual Global Funding,

0.600%, 3/25/2024, 144A

     138,677  
  175,000     

Principal Life Global Funding II,

0.500%, 1/08/2024, 144A

     168,585  
  150,000     

Protective Life Global Funding,

0.502%, 4/12/2023, 144A

     149,837  
  130,000     

Reliance Standard Life Global Funding II,

5.243%, 2/02/2026, 144A

     129,039  
  90,000     

RGA Global Funding,

2.700%, 1/18/2029, 144A

     78,581  
  70,000     

Security Benefit Global Funding,

1.250%, 5/17/2024, 144A

     66,382  
        2,135,121  
  

Lodging – 0.3%

 

  65,000     

Hyatt Hotels Corp.,

1.300%, 10/01/2023

     63,630  
  30,000     

Hyatt Hotels Corp.,

5.625%, 4/23/2025

     29,842  
  15,000     

Marriott International, Inc.,

4.900%, 4/15/2029

     14,869  
        108,341  
  

Media Entertainment – 0.5%

 

  125,000     

Take-Two Interactive Software, Inc.,

3.300%, 3/28/2024

     122,261  
  70,000     

Warnermedia Holdings, Inc.,

3.755%, 3/15/2027, 144A

     65,921  
        188,182  
  

Metals & Mining – 0.7%

 

  125,000     

BHP Billiton Finance USA Ltd.,

4.875%, 2/27/2026

     125,843  
  65,000     

Glencore Funding LLC,

4.125%, 3/12/2024, 144A

     64,296  
  35,000     

Northern Star Resources Ltd.,

6.125%, 4/11/2033, 144A

     34,718  
  45,000     

Nucor Corp.,

3.950%, 5/23/2025

     44,275  
        269,132  
  

Midstream – 1.4%

 

  125,000     

Crestwood Midstream Partners LP/Crestwood Midstream Finance Corp.,

7.375%, 2/01/2031, 144A

     125,000  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

Midstream – continued

 

$ 60,000     

Enbridge, Inc.,

5.700%, 3/08/2033

   $ 62,409  
  55,000     

Gray Oak Pipeline LLC,

2.600%, 10/15/2025, 144A

     50,972  
  60,000     

TransCanada PipeLines Ltd.,

1.000%, 10/12/2024

     56,264  
  125,000     

TransCanada PipeLines Ltd.,

SOFR Index + 1.520%, 6.322%, 3/09/2026(a)

     125,026  
  5,000     

Western Midstream Operating LP,

6.150%, 4/01/2033

     5,068  
  75,000     

Williams Cos., Inc.,

5.400%, 3/02/2026

     76,407  
        501,146  
  

Natural Gas – 0.7%

 

  180,000     

CenterPoint Energy Resources Corp.,

5.250%, 3/01/2028

     184,541  
  30,000     

NiSource, Inc.,

5.250%, 3/30/2028

     30,517  
  40,000     

Sempra Energy,

3.700%, 4/01/2029

     37,138  
  20,000     

Southwest Gas Corp.,

5.450%, 3/23/2028

     20,189  
        272,385  
  

Non-Agency Commercial Mortgage-Backed Securities – 1.2%

 

  64,455     

Benchmark Mortgage Trust, Series 2019-B10, Class A1,

2.793%, 3/15/2062

     63,208  
  95,000     

BPR Trust, Series 2022-SSP, Class A,

1 mo. USD SOFR + 3.000%, 7.827%, 5/15/2039, 144A(a)

     94,328  
  100,000     

Credit Suisse Mortgage Trust, Series 2014-USA, Class A2,

3.953%, 9/15/2037, 144A

     90,827  
  100,000     

Morgan Stanley Bank of America Merrill Lynch Trust, Series 2013-C11, Class A4,

4.168%, 8/15/2046(b)

     98,967  
  116,379     

MSBAM Commercial Mortgage Securities Trust, Series 2012-CKSV, Class A2,

3.277%, 10/15/2030, 144A

     92,644  
        439,974  
  

Office REITs – 0.3%

 

  85,000     

Hudson Pacific Properties LP,

5.950%, 2/15/2028

     64,374  
  30,000     

Office Properties Income Trust,

3.450%, 10/15/2031

     16,645  
  55,000     

Office Properties Income Trust,

4.500%, 2/01/2025

     47,481  
        128,500  
  

Other REITs – 0.4%

 

  20,000     

Extra Space Storage LP,

5.700%, 4/01/2028

     20,136  
  95,000     

Starwood Property Trust, Inc.,

3.750%, 12/31/2024, 144A

     87,527  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

Other REITs – continued

 

$ 45,000     

Starwood Property Trust, Inc.,

5.500%, 11/01/2023, 144A

     $45,084  
        152,747  
  

Packaging – 0.5%

 

  40,000     

Amcor Flexibles North America, Inc.,

4.000%, 5/17/2025

     39,169  
  165,000     

Sonoco Products Co.,

1.800%, 2/01/2025

     155,297  
        194,466  
  

Pharmaceuticals – 1.0%

 

  180,000     

Amgen, Inc.,

5.250%, 3/02/2030

     184,101  
  95,000     

AstraZeneca PLC,

3.500%, 8/17/2023

     94,385  
  80,000     

Bayer U.S. Finance II LLC,

3.375%, 7/15/2024, 144A

     78,294  
        356,780  
  

Property & Casualty Insurance – 0.2%

 

  25,000     

Aon Corp./Aon Global Holdings PLC,

5.350%, 2/28/2033

     25,895  
  7,000     

Assurant, Inc.,

4.200%, 9/27/2023

     6,955  
  35,000     

Trustage Financial Group, Inc.,

4.625%, 4/15/2032, 144A

     31,324  
        64,174  
  

Railroads – 0.6%

 

  100,000     

Canadian Pacific Railway Co.,

1.350%, 12/02/2024

     94,218  
  110,000     

Union Pacific Corp.,

4.750%, 2/21/2026

     111,305  
        205,523  
  

Refining – 0.2%

 

  65,000     

Phillips 66,

4.950%, 12/01/2027

     65,289  
  

Retail REITs – 0.1%

 

  40,000     

Federal Realty Investment Trust,

3.950%, 1/15/2024

     39,498  
  

Retailers – 1.0%

 

  65,000     

Advance Auto Parts, Inc.,

5.900%, 3/09/2026

     66,329  
  85,000     

Lowe’s Cos., Inc.,

4.400%, 9/08/2025

     84,583  
  70,000     

Lowe’s Cos., Inc.,

5.150%, 7/01/2033

     70,667  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

Retailers – continued

 

$ 135,000     

Walgreens Boots Alliance, Inc.,

0.950%, 11/17/2023

     $131,360  
        352,939  
  

Technology – 4.5%

 

  125,000     

Avnet, Inc.,

6.250%, 3/15/2028

     127,235  
  60,000     

Broadcom, Inc.,

4.000%, 4/15/2029, 144A

     56,125  
  80,000     

Dell International LLC/EMC Corp.,

5.850%, 7/15/2025

     81,312  
  120,000     

Fidelity National Information Services, Inc.,

4.500%, 7/15/2025

     118,612  
  45,000     

Flex Ltd.,

6.000%, 1/15/2028

     46,108  
  60,000     

Global Payments, Inc.,

1.500%, 11/15/2024

     56,521  
  115,000     

Hewlett Packard Enterprise Co.,

5.900%, 10/01/2024

     116,450  
  80,000     

Infor, Inc.,

1.450%, 7/15/2023, 144A

     78,895  
  180,000     

International Business Machines Corp.,

4.500%, 2/06/2028

     180,012  
  90,000     

Marvell Technology, Inc.,

4.200%, 6/22/2023

     89,616  
  75,000     

Microchip Technology, Inc.,

2.670%, 9/01/2023

     73,948  
  85,000     

Micron Technology, Inc.,

6.750%, 11/01/2029

     90,297  
  35,000     

NXP BV/NXP Funding LLC/NXP USA, Inc.,

3.150%, 5/01/2027

     32,421  
  25,000     

Qorvo, Inc.,

1.750%, 12/15/2024, 144A

     23,208  
  65,000     

Seagate HDD Cayman,

4.875%, 3/01/2024

     64,187  
  80,000     

Skyworks Solutions, Inc.,

0.900%, 6/01/2023

     79,328  
  70,000     

Texas Instruments, Inc.,

4.900%, 3/14/2033

     72,818  
  40,000     

Trimble, Inc.,

6.100%, 3/15/2033

     40,380  
  175,000     

VMware, Inc.,

0.600%, 8/15/2023

     171,705  
  55,000     

Western Union Co.,

4.250%, 6/09/2023

     54,709  
        1,653,887  
  

Tobacco – 0.9%

 

  225,000     

BAT International Finance PLC,

4.448%, 3/16/2028

     213,864  
  100,000     

Philip Morris International, Inc.,

5.125%, 2/15/2030

     101,283  
        315,147  


Principal
Amount
    

Description

   Value (†)  
               
 

Bonds and Notes – continued

 
  

Transportation Services – 1.3%

 

$ 50,000     

Element Fleet Management Corp.,

3.850%, 6/15/2025, 144A

   $ 47,733  
  30,000     

Penske Truck Leasing Co. LP/PTL Finance Corp.,

4.125%, 8/01/2023, 144A

     29,831  
  95,000     

Penske Truck Leasing Co. LP/PTL Finance Corp.,

5.550%, 5/01/2028, 144A

     94,838  
  125,000     

Ryder System, Inc., MTN,

5.650%, 3/01/2028

     126,648  
  100,000     

Triton Container International Ltd.,

0.800%, 8/01/2023, 144A

     97,661  
  80,000     

United Parcel Service, Inc.,

4.875%, 3/03/2033

     82,100  
        478,811  
  

Treasuries – 27.0%

 

  2,240,000     

U.S. Treasury Notes,

2.500%, 5/31/2024

     2,189,775  
  935,000     

U.S. Treasury Notes,

3.000%, 6/30/2024

     918,236  
  310,000     

U.S. Treasury Notes,

3.250%, 8/31/2024

     305,302  
  575,000     

U.S. Treasury Notes,

4.000%, 2/29/2028

     585,377  
  3,110,000     

U.S. Treasury Notes,

4.125%, 1/31/2025

     3,109,150  
  1,390,000     

U.S. Treasury Notes,

4.250%, 9/30/2024

     1,388,425  
  1,445,000     

U.S. Treasury Notes,

4.375%, 10/31/2024

     1,446,693  
        9,942,958  
  

Wirelines – 0.3%

 

  85,000     

Bell Telephone Co. of Canada/Bell Canada, Series US-3,

0.750%, 3/17/2024

     81,214  
  50,000     

Verizon Communications, Inc.,

3.000%, 3/22/2027

     47,502  
        128,716  
  

Total Bonds and Notes

(Identified Cost $37,019,792)

     36,359,061  
 

Short-Term Investments – 0.4%

 
  138,964     

Tri-Party Repurchase Agreement with Fixed Income Clearing Corporation, dated 3/31/2023 at 2.100% to be repurchased at $138,988 on 4/03/2023 collateralized by $145,400 U.S. Treasury Note, 2.875% due 6/15/2025 valued at $141,748 including accrued interest(d)

(Identified Cost $138,964)

     138,964  
  

Total Investments – 99.2%

(Identified Cost $37,158,756)

     36,498,025  
  

Other assets less liabilities – 0.8%

     277,460  
  

Net Assets – 100.0%

   $ 36,775,485  


(†)

Registered investment companies are required to value portfolio investments using an unadjusted, readily available market quotation. The Fund obtains readily available market quotations from independent pricing services. Fund investments for which readily available market quotations are not available are priced at fair value pursuant to the Fund’s Valuation Procedures. The Board of Trustees has approved a valuation designee who is subject to the Board’s oversight.

Unadjusted readily available market quotations that are utilized for exchange traded equity securities (including shares of closed-end investment companies and exchange-traded funds) include the last sale price quoted on the exchange where the security is traded most extensively. Futures contracts are valued at the closing settlement price on the exchange on which the valuation designee believes that, over time, they are traded most extensively. Shares of open-end investment companies are valued at net asset value per share.

Exchange traded equity securities for which there is no reported sale during the day are fair valued at the closing bid quotation as reported by an independent pricing service. Unlisted equity securities (except unlisted preferred equity securities) are fair valued at the last sale price quoted in the market where they are traded most extensively or, if there is no reported sale during the day, the closing bid quotation as reported by an independent pricing service. If there is no last sale price or closing bid quotation available, unlisted equity securities will be fair valued using evaluated bids furnished by an independent pricing service, if available.

Debt securities and unlisted preferred equity securities are fair valued based on evaluated bids furnished to the Fund by an independent pricing service or bid prices obtained from broker-dealers. Broker-dealer bid prices may be used to fair value debt and unlisted equities where an independent pricing service is unable to price an investment or where an independent pricing service does not provide a reliable price for the investment.

The Fund may also fair value investments in other circumstances such as when extraordinary events occur after the close of a foreign market, but prior to the close of the New York Stock Exchange. This may include situations relating to a single issuer (such as a declaration of bankruptcy or a delisting of the issuer’s security from the primary market on which it has traded) as well as events affecting the securities markets in general (such as market disruptions or closings and significant fluctuations in U.S. and/or foreign markets). When fair valuing a Fund’s investments, the valuation designee may, among other things, use modeling tools or other processes that may take into account factors such as issuer specific information, or other related market activity and/or information that occurred after the close of the foreign market but before the time the Fund’s net asset value (“NAV”) is calculated. Fair valuation by the Fund’s valuation designee may require subjective determinations about the value of the investment, and fair values used to determine a Fund’s NAV may differ from quoted or published prices, or from prices that are used by others, for the same investments. In addition, the use of fair value pricing may not always result in adjustments to the prices of investments held by a Fund.

The books and records of the Fund are maintained in U.S. dollars. The values of securities, currencies and other assets and liabilities denominated in currencies other than U.S. dollars are translated into U.S. dollars based upon foreign exchange rates prevailing at the end of the period.

 

(a)

Variable rate security. Rate as of March 31, 2023 is disclosed.

(b)

Variable rate security. The interest rate adjusts periodically based on; (i) changes in current interest rates and/or prepayments on underlying pools of assets, if applicable, (ii) reference to a base lending rate plus or minus a margin, and/or (iii) reference to a base lending rate adjusted by a multiplier and/or subject to certain floors or caps. Rate as of March 31, 2023 is disclosed.

(c)

Level 3 security. Value has been determined using significant unobservable inputs.

(d)

The Fund may enter into repurchase agreements, under the terms of a Master Repurchase Agreement, under which the Fund acquires securities as collateral and agrees to resell the securities at an agreed upon time and at an agreed upon price. It is the Fund’s policy that the market value of the collateral for repurchase agreements be at least equal to 102% of the repurchase price, including interest. Certain repurchase agreements are tri-party arrangements whereby the collateral is held in a segregated account for the benefit of the Fund and on behalf of the counterparty. Repurchase agreements could involve certain risks in the event of default or insolvency of the counterparty, including possible delays or restrictions upon the Fund’s ability to dispose of the underlying securities. As of March 31, 2023, the Fund had an investment in a repurchase agreement for which the value of the related collateral exceeded the value of the repurchase agreement.

 

144A

All or a portion of these securities are exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At March 31, 2023, the value of Rule 144A holdings amounted to $9,748,807 or 26.5% of net assets.

ABS

Asset-Backed Securities

CMT

Constant Maturity Treasury

GMTN

Global Medium Term Note

LIBOR

London Interbank Offered Rate

MTN

Medium Term Note

REITs

Real Estate Investment Trusts

SOFR

Secured Overnight Financing Rate


Futures Contracts

The Fund may enter into futures contracts. Futures contracts are agreements between two parties to buy and sell a particular instrument or index for a specified price on a specified future date.

When the Fund enters into a futures contract, it is required to deposit with (or for the benefit of) its broker an amount of cash or short-term high-quality securities as “initial margin.” As the value of the contract changes, the value of the futures contract position increases or declines. Subsequent payments, known as “variation margin,” are made or received by the Fund, depending on the price fluctuations in the fair value of the contract and the value of cash or securities on deposit with the broker. Realized gain or loss on a futures position is equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed, minus brokerage commissions. When the Fund enters into a futures contract certain risks may arise, such as illiquidity in the futures market, which may limit the Fund’s ability to close out a futures contract prior to settlement date, and unanticipated movements in the value of securities or interest rates.

Futures contracts are exchange-traded. Exchange-traded futures contracts are standardized and are settled through a clearing house with fulfillment supported by the credit of the exchange. Therefore, counterparty credit risks to the Fund are reduced; however, in the event that a counterparty enters into bankruptcy, the Fund’s claim against initial/variation margin on deposit with the counterparty may be subject to terms of a final settlement in bankruptcy court.

At March 31, 2023, open long futures contracts were as follows:

 

Financial Futures

   Expiration
Date
     Contracts      Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

2 Year U.S. Treasury Note

     6/30/2023        44      $ 8,991,526      $ 9,083,937      $ 92,411  
              

 

 

 

At March 31, 2023, open short futures contracts were as follows:

 

Financial Futures

   Expiration
Date
     Contracts      Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

5 Year U.S. Treasury Note

     6/30/2023        12      $ 1,285,113      $ 1,314,094      $ (28,981

10 Year U.S. Treasury Note

     6/21/2023        25        2,798,880        2,873,046        (74,166

Ultra 10 Year U.S. Treasury Note

     6/21/2023        3        351,304        363,422        (12,118
              

 

 

 

Total

               $ (115,265
              

 

 

 


Fair Value Measurements

In accordance with accounting standards related to fair value measurements and disclosures, the Fund has categorized the inputs utilized in determining the value of the Fund’s assets or liabilities. These inputs are summarized in the three broad levels listed below:

 

   

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

 

   

Level 2 — prices determined using other significant inputs that are observable either directly, or indirectly through corroboration with observable market data (which could include quoted prices for similar assets or liabilities, interest rates, credit risk, etc.); and

 

   

Level 3 — prices determined using significant unobservable inputs when quoted prices or observable inputs are unavailable such as when there is little or no market activity for an asset or liability (unobservable inputs reflect the Fund’s own assumptions in determining the fair value of assets or liabilities and would be based on the best information available).

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

The Fund’s pricing policies have been approved by the Board of Trustees. Investments for which market quotations are readily available are categorized in Level 1. Other investments for which an independent pricing service is utilized are categorized in Level 2. Broker-dealer bid prices for which the Fund has knowledge of the inputs used by the broker-dealer are categorized in Level 2. All other investments, including broker-dealer bid prices for which the Fund does not have knowledge of the inputs used by the broker-dealer, as well as investments fair valued by the valuation designee, are categorized in Level 3. All Level 2 and 3 securities are defined as being fair valued.

Under certain conditions and based upon specific facts and circumstances, the Fund’s valuation designee may determine that a fair valuation should be made for portfolio investment(s). These valuation designee fair valuations will be based upon a significant amount of Level 3 inputs.


The following is a summary of the inputs used to value the Fund’s investments as of March 31, 2023, at value:

Asset Valuation Inputs

 

Description

   Level 1      Level 2      Level 3      Total  

Bonds and Notes

           

Collateralized Mortgage Obligations

   $ —        $ 215,396      $ 35,388      $ 250,784  

All Other Bonds and Notes*

     —          36,108,277        —          36,108,277  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Bonds and Notes

     —          36,323,673        35,388        36,359,061  
  

 

 

    

 

 

    

 

 

    

 

 

 

Short-Term Investments

     —          138,964        —          138,964  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Investments

     —          36,462,637        35,388        36,498,025  
  

 

 

    

 

 

    

 

 

    

 

 

 

Futures Contracts (unrealized appreciation)

     92,411        —          —          92,411  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $ 92,411      $ 36,462,637      $ 35,388      $ 36,590,436  
  

 

 

    

 

 

    

 

 

    

 

 

 

Liability Valuation Inputs

 

Description

   Level 1      Level 2      Level 3      Total  

Futures Contracts (unrealized depreciation)

   $ (115,265    $ —        $ —        $ (115,265
  

 

 

    

 

 

    

 

 

    

 

 

 

 

*

Details of the major categories of the Fund’s investments are reflected within the Portfolio of Investments.


The Fund’s pricing policies and procedures are recommended by the adviser and approved by the Board of Trustees. Debt securities are valued based on evaluated bids furnished to the Fund by an independent pricing service. Broker-dealer bid prices may be used if an independent pricing service either is unable to price a security or does not provide a reliable price for a security. The Fund’s adviser may use internally developed models to validate broker-dealer bid prices that are only available from a single broker or market maker. Such securities are considered and classified as fair valued. Broker-dealer bid prices for which the Fund does not have knowledge of the inputs used by the broker-dealer are categorized in Level 3. Securities for which market quotations are not readily available are valued at fair value as determined in good faith by the Fund’s adviser pursuant to procedures approved by the Board of Trustees. Fair valued securities may be categorized in Level 3.


The following is a reconciliation of Level 3 investments for which significant unobservable inputs were used to determine fair value as of December 31, 2022 and/or March 31, 2023:

Asset Valuation Inputs

 

Investments in Securities

   Balance as of
December
31, 2022
     Accrued
Discounts
(Premiums)
     Realized
Gain
(Loss)
     Change in
Unrealized
Appreciation
(Depreciation)
     Purchases      Sales     Transfers into
Level 3
     Transfers out of
Level 3
     Balance as of
March 31,
2023
     Change in
Unrealized
Appreciation
(Depreciation)
from Investments
Still Held at
March 31, 2023
 

Bonds and Notes

                            

Collateralized Mortgage

Obligations

   $ 42,945      $ —        $  —        $ 176      $ 34      $ (7,767   $ —        $ —        $ 35,388      $ 86  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

    

 

 

    

 

 

 


Derivatives

Derivative instruments are defined as financial instruments whose value and performance are based on the value and performance of an underlying asset, reference rate or index. Derivative instruments that the Fund used at period end include futures contracts.

The Fund is subject to the risk that changes in interest rates will affect the value of the Fund’s investments in fixed-income securities. The Fund will be subject to increased interest rate risk to the extent that it invests in fixed-income securities with longer maturities or durations, as compared to investing in fixed-income securities with shorter maturities or durations. The Fund may use futures contracts to hedge against changes in interest rates and to manage duration without having to buy or sell portfolio securities. As of March 31, 2023, the Fund used futures contracts to manage duration.

The following is a summary of derivative instruments for the Fund, as of March 31, 2023:

 

Assets

   Unrealized
appreciation on
futures contracts
 

Exchange-traded asset derivatives

  

Interest rate contracts

   $ 92,411  

 

Liabilities

  

 

Unrealized

depreciation on
futures contracts

 

Exchange-traded liability derivatives

  

Interest rate contracts

   $ (115,265

The Fund’s derivatives do not qualify for hedge accounting under authoritative guidance for derivative instruments. The Fund’s investments in derivatives may represent an economic hedge; however, they are considered to be non-hedge transactions for the purpose of this disclosure.

Counterparty risk is managed based on policies and procedures established by the Fund’s adviser. Such policies and procedures may include, but are not limited to, minimum counterparty credit rating requirements, monitoring of counterparty credit default swap spreads and posting of collateral. With exchange-traded derivatives, there is minimal counterparty credit risk to the Fund because the exchange’s clearing house, as counterparty to these instruments, stands between the buyer and the seller of the contract. Credit risk still exists in exchange-traded derivatives with respect to initial and variation margin that is held in a broker’s customer accounts. While brokers typically are required to segregate customer margin for exchange-traded derivatives from their own assets, in the event that a broker becomes insolvent or goes into bankruptcy and at that time there is a shortfall in the aggregate amount of margin held by the broker for all its customers, U.S. bankruptcy laws will typically allocate that shortfall on a pro rata basis across all of the broker’s customers, potentially resulting in losses to the Fund.


Industry Summary at March 31, 2023 (Unaudited)

 

Treasuries

     27.0

ABS Car Loan

     18.3  

Banking

     10.2  

Electric

     5.9  

Life Insurance

     5.8  

Technology

     4.5  

Finance Companies

     2.6  

ABS Other

     2.4  

Automotive

     2.0  

Other Investments, less than 2% each

     20.1  

Short-Term Investments

     0.4  
  

 

 

 

Total Investments

     99.2  

Other assets less liabilities (including futures contracts)

     0.8  
  

 

 

 

Net Assets

     100.0