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N/A 13900.00000000 NS 396407.31000000 0.027309736409 Long EC CORP JP N 2 N N N Nestle SA KY37LUS27QQX7BB93L28 Nestle SA (Registered) N/A 12022.00000000 NS 1388654.42000000 0.095668735710 Long EC CORP CH N 2 N N N Elevance Health, Inc. 8MYN82XMYQH89CTMTH67 Elevance Health, Inc. 036752103 14390.00000000 NS USD 7381638.30000000 0.508544093809 Long EC CORP US N 1 N N N Intuitive Surgical, Inc. 54930052SRG011710797 Intuitive Surgical, Inc. 46120E602 5370.00000000 NS USD 1424929.50000000 0.098167839152 Long EC CORP US N 1 N N N Omnicom Group, Inc. 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I1BZKREC126H0VB1BL91 Duke Energy Corp. 26441C204 1650.00000000 NS USD 169933.50000000 0.011707249021 Long EC CORP US N 1 N N N UnitedHealth Group, Inc. 549300GHBMY8T5GXDE41 UnitedHealth Group, Inc. 91324P102 14559.00000000 NS USD 7718890.62000000 0.531778458389 Long EC CORP US N 1 N N N Synopsys, Inc. QG7T915N9S0NY5UKNE63 Synopsys, Inc. 871607107 6162.00000000 NS USD 1967464.98000000 0.135544801125 Long EC CORP US N 1 N N N Novartis AG 5493007HIVTX6SY6XD66 Novartis AG (Registered) N/A 20069.00000000 NS 1816193.42000000 0.125123231377 Long EC CORP CH N 2 N N N Incyte Corp. 549300Z4WN6JVZ3T4680 Incyte Corp. 45337C102 1373.00000000 NS USD 110279.36000000 0.007597489191 Long EC CORP US N 1 N N N AerCap Holdings NV 549300SZYINBBLJQU475 AerCap Holdings NV N/A 21493.00000000 NS USD 1253471.76000000 0.086355580482 Long EC CORP NL N 1 N N N Visa, Inc. 549300JZ4OKEHW3DPJ59 Visa, Inc., Class A 92826C839 27513.00000000 NS USD 5716100.88000000 0.393800024330 Long EC CORP US N 1 N N U-Haul Holding Co. 5493003WIDMLDHYC6Y24 U-Haul Holding Co. 023586506 4860.00000000 NS USD 267202.80000000 0.018408434586 Long EC CORP US N 1 N N N McDonald's Corp. UE2136O97NLB5BYP9H04 McDonald's Corp. 580135101 7071.00000000 NS USD 1863420.63000000 0.128376861227 Long EC CORP US N 1 N N N Aflac, Inc. 549300N0B7DOGLXWPP39 Aflac, Inc. 001055102 12168.00000000 NS USD 875365.92000000 0.060306689442 Long EC CORP US N 1 N N N DT Midstream, Inc. N/A DT Midstream, Inc. 23345M107 883.00000000 NS USD 48794.58000000 0.003361610859 Long EC CORP US N 1 N N Accenture plc N/A Accenture plc, Class A N/A 19060.00000000 NS USD 5085970.40000000 0.350388369504 Long EC CORP IE N 1 N N N AQR Large Cap Defensive Style Fund 549300U8SCLX3D8VIY95 AQR Large Cap Defensive Style Fund, Class R6 00191K831 2996274.75800000 NS USD 74787017.96000000 5.152311008948 Long RF US N 1 N N N Capgemini SE 96950077L0TN7BAROX36 Capgemini SE N/A 7942.00000000 NS 1327713.38000000 0.091470317323 Long EC CORP FR N 2 N N N Electronic Arts, Inc. 549300O7A67PUEYKDL45 Electronic Arts, Inc. 285512109 10755.00000000 NS USD 1314045.90000000 0.090528721982 Long EC CORP US N 1 N N N Novartis AG 5493007HIVTX6SY6XD66 Novartis AG 66987V109 4401.00000000 NS USD 399258.72000000 0.027506178941 Long EC CORP CH N 1 N N N Lam Research Corp. 549300I4GMO6D34U1T02 Lam Research Corp. 512807108 6549.00000000 NS USD 2752544.70000000 0.189631392550 Long EC CORP US N 1 N N N Shin-Etsu Chemical Co. 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N/A 37000.00000000 NS 847516.25000000 0.058388038783 Long EC CORP SG N 2 N N N Embecta Corp. 549300RPG8GXVDHNXZ62 Embecta Corp. 29082K105 142.00000000 NS USD 3591.18000000 0.000247407594 Long EC CORP US N 1 N N Palo Alto Networks, Inc. 549300QXR2YVZV231H43 Palo Alto Networks, Inc. 697435105 1276.00000000 NS USD 178053.04000000 0.012266629465 Long EC CORP US N 1 N N N 2023-01-30 Aspiriant Trust Ben Schmidt Ben Schmidt Director XXXX NPORT-EX 2 fp0082394-1_nportex.htm

 

ASPIRIANT DEFENSIVE ALLOCATION FUND 

SCHEDULE OF INVESTMENTS 

As of December 31, 2022 (Unaudited)

 

 

Number
of Shares
      Value 
     FOREIGN COLLECTIVE INVESTMENT FUNDS — 14.5%     
     ALTERNATIVE DIVERSIFIERS — 14.5%     
 3,734,280   GMO Equity Dislocation Investment Fund - Class A1 2  $79,876,244 
 1,272,493   Managed Fund/Bridgewater Fund Limited2 3   110,072,975 
     TOTAL FOREIGN COLLECTIVE INVESTMENT FUNDS     
     (Cost $200,506,549)   189,949,219 
     OPEN-END MUTUAL FUNDS — 48.3%     
     ALTERNATIVE DIVERSIFIERS — 11.0%     
 7,361,993   BlackRock Event Driven Equity Fund - Institutional Shares   71,190,475 
 7,573,485   Eaton Vance Global Macro Absolute Return Advantage Fund - Class R6   72,402,514 
         143,592,989 
     CORE/ALTERNATIVE DIVERSIFIERS — 37.3%     
 14,682,683   GMO Benchmark-Free Allocation Fund - Class IV2 4   354,880,445 
 7,806,463   JPMorgan Global Allocation Fund - Class R6   132,475,675 
         487,356,120 
     TOTAL OPEN-END MUTUAL FUNDS     
     (Cost $671,145,065)   630,949,109 
     EXCHANGE-TRADED FUND — 5.1%     
     REAL ASSET — 5.1%     
 1,913,834   iShares Gold Trust*   66,199,518 
     TOTAL EXCHANGE-TRADED FUND     
     (Cost $62,330,186)   66,199,518 
     PRIVATE FUNDS5 — 13.9%     
     ALTERNATIVE DIVERSIFIERS — 9.1%     
     Elliott Associates, LP* 6   35,065,879 
     Millennium International, Ltd. - Class GG* 7   37,479,054 
     Millennium International, Ltd. - Sub-Class GG-C* 8   46,769,311 
         119,314,244 
     CORE DIVERSIFIERS — 4.8%     
     All Weather Portfolio Limited* 9   63,007,127 
         63,007,127 
     TOTAL PRIVATE FUNDS     
     (Cost $152,272,958)   182,321,371 
     SHORT-TERM INVESTMENT — 17.2%     
 224,613,701   JPMorgan Prime Money Market Fund - Institutional Shares, 4.42%10   224,726,007 
     TOTAL SHORT-TERM INVESTMENT     
     (Cost $224,665,229)   224,726,007 

 

 

ASPIRIANT DEFENSIVE ALLOCATION FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Number of
Shares
      Value 
     TOTAL INVESTMENTS — 99.0%     
     (Cost $1,310,919,987)   1,294,145,224 
           
     Other assets less liabilities — 1.0%   12,872,561 
     TOTAL NET ASSETS — 100.0%  $1,307,017,785 

 

*Non-income producing security.
1Domiciled in Ireland.
2Affiliated investments for which ownership exceeds 5% of the investment’s capital.
3Domiciled in Jersey.
4Fair value of this security exceeds 25% of the Fund’s net assets. Additional information for this security, including the financial statements is available from the SEC’s EDGAR database at www.sec.gov.
5The Private Funds are generally offered in private placement transactions and as such are often illiquid and generally restricted as to resale.
6The investment was acquired on 1/2/2020. The cost is $31,679,600.
7The investment was acquired on 1/1/2020. The cost is $23,605,278.
8The investment was acquired on 10/1/2020. The cost is $38,137,780.
9The investment was acquired on 5/1/2018. The cost is $58,850,300.
10The rate is the annualized seven-day yield at period end.

 

LP — Limited Partnership

Ltd. — Limited

 

 

ASPIRIANT RISK-MANAGED EQUITY ALLOCATION FUND 

SCHEDULE OF INVESTMENTS 

As of December 31, 2022 (Unaudited)

 

 

Number
of Shares 

     

Value 

 
     COMMON STOCKS — 22.3%     
     AUSTRALIA — 0.1%     
 30,102   Woodside Energy Group Ltd.  $729,016 
           
     BERMUDA — 0.4%     
 58,984   Arch Capital Group Ltd.*   3,703,015 
 2,589   Everest Re Group Ltd.   857,658 
 2,873   RenaissanceRe Holdings Ltd.   529,293 
         5,089,966 
     BRAZIL — 0.0%1     
 18,244   TIM S.A./Brazil - ADR2   212,543 
           
     CANADA — 0.3%     
 4,984   Agnico Eagle Mines Ltd.   259,118 
 664   Brookfield Asset Management Ltd. - Class A*   18,999 
 21,862   Dollarama, Inc.   1,278,620 
 14,988   Franco-Nevada Corp.   2,045,562 
         3,602,299 
     CAYMAN ISLANDS — 0.6%     
 115,095   Alibaba Group Holding Ltd.*   1,262,927 
 273,500   CK Hutchison Holdings Ltd.   1,638,498 
 120,923   ENN Energy Holdings Ltd.   1,689,059 
 309,000   Kingboard Holdings Ltd.   979,880 
 140,500   Li Ning Co., Ltd.   1,208,160 
 54,300   Tencent Holdings Ltd.   2,302,340 
         9,080,864 
     CHINA — 0.2%     
 336,500   Anhui Conch Cement Co., Ltd. - Class H   1,172,524 
 447,500   China Shenhua Energy Co., Ltd.   1,289,104 
 1,327,000   Industrial & Commercial Bank of China Ltd. - Class H   680,605 
         3,142,233 
     CURACAO — 0.1%     
 36,337   Schlumberger Ltd.   1,942,576 
           
     DENMARK — 0.2%     
 1,744   Genmab A/S*   737,354 
 15,654   Novo Nordisk A/S - ADR   2,118,612 
         2,855,966 
     FRANCE — 1.0%     
 7,942   Capgemini S.E.   1,327,713 
 24,714   Edenred   1,345,069 
 542   L'Oreal S.A.   194,089 

 

 

ASPIRIANT RISK-MANAGED EQUITY ALLOCATION FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Number
of Shares 

    

Value 

     COMMON STOCKS (Continued)     
     FRANCE (Continued)     
 1,911   LVMH Moet Hennessy Louis Vuitton S.E.  $1,390,622 
 255   Pernod Ricard S.A.   50,164 
 27,622   Publicis Groupe S.A.   1,764,558 
 39,579   Safran S.A.   4,957,428 
 12,515   Thales S.A.   1,599,027 
 14,845   Vinci S.A.   1,479,854 
         14,108,524 
     GERMANY — 0.5%     
 7,790   Knorr-Bremse A.G.   423,795 
 1,191   Muenchener Rueckversicherungs-Gesellschaft A.G.   385,254 
 7,996   Rheinmetall A.G.   1,591,814 
 30,105   SAP S.E.   3,108,062 
 10,943   Siemens A.G.   1,508,507 
         7,017,432 
     GUERNSEY — 0.1%     
 22,196   Amdocs Ltd.   2,017,616 
           
     HONG KONG — 0.1%     
 124,000   Beijing Enterprises Holdings Ltd.   395,907 
 140,000   China Merchants Port Holdings Co., Ltd.   204,398 
 21,000   Power Assets Holdings Ltd.   114,775 
 57,000   Sun Hung Kai Properties Ltd.   778,584 
 137,800   Swire Properties Ltd.   349,033 
         1,842,697 
     INDIA — 0.2%     
 12,425   Dr Reddy's Laboratories Ltd. - ADR   642,994 
 87,492   Infosys Ltd. - ADR   1,575,731 
         2,218,725 
     IRELAND — 0.7%     
 19,060   Accenture PLC - Class A   5,085,971 
 4,694   Aon PLC - Class A   1,408,857 
 20,967   Johnson Controls International PLC   1,341,888 
 26,168   Medtronic PLC   2,033,777 
         9,870,493 
     ISRAEL — 0.1%     
 2,131   Elbit Systems Ltd.2   349,569 
 8,039   Nice Ltd. - ADR*   1,545,900 
         1,895,469 

 

 

ASPIRIANT RISK-MANAGED EQUITY ALLOCATION FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Number
of Shares 

    

Value 

     COMMON STOCKS (Continued)     
     JAPAN — 0.7%     
 13,300   Asahi Kasei Corp.  $94,677 
 1,400   Bandai Namco Holdings, Inc.   87,751 
 8,371   FUJIFILM Holdings Corp.   418,562 
 6,200   Honda Motor Co., Ltd.   141,416 
 10,000   Itochu Corp.   313,728 
 2,800   Itochu Techno-Solutions Corp.   64,948 
 12,800   Japan Tobacco, Inc.   258,051 
 43,087   KDDI Corp.   1,306,695 
 25,600   MEIJI Holdings Co., Ltd.   1,312,210 
 221,500   Mitsubishi UFJ Financial Group, Inc.   1,487,022 
 118,800   Nippon Steel Corp.   2,061,315 
 13,900   Nippon Telegraph & Telephone Corp.   396,407 
 52,019   Nippon Telegraph & Telephone Corp. - ADR   1,469,537 
 5,800   Nissin Foods Holdings Co., Ltd.   459,328 
 34   Shin-Etsu Chemical Co., Ltd.   4,152 
 30   Toyota Motor Corp.   409 
 14,500   Trend Micro, Inc.   678,127 
         10,554,335 
     JERSEY — 0.1%     
 259,940   Glencore PLC   1,733,448 
           
     NETHERLANDS — 0.6%     
 21,493   AerCap Holdings N.V.*   1,253,472 
 14,708   Airbus S.E.   1,748,818 
 107,437   CNH Industrial N.V.   1,723,504 
 34,843   Koninklijke Ahold Delhaize N.V.   1,001,781 
 8,495   NXP Semiconductors N.V.   1,342,465 
 99,314   Stellantis N.V.2   1,410,259 
         8,480,299 
     NEW ZEALAND — 0.0%1     
 101,544   Spark New Zealand Ltd.   347,664 
           
     PHILIPPINES — 0.0%1     
 3,208   PLDT, Inc. - ADR   73,142 
           
     SINGAPORE — 0.1%     
 12,622   DBS Group Holdings Ltd.   319,483 
 6,072   DBS Group Holdings Ltd. - ADR   615,519 
 37,000   United Overseas Bank Ltd.   847,516 
         1,782,518 

 

 

ASPIRIANT RISK-MANAGED EQUITY ALLOCATION FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Number
of Shares 

    

Value 

     COMMON STOCKS (Continued)     
     SOUTH KOREA — 0.0%1     
 8,778   POSCO - ADR  $478,138 
 1   Woori Financial Group, Inc. - ADR   27 
         478,165 
     SPAIN — 0.0%1     
 12,172   Amadeus IT Group S.A.*   631,456 
           
     SWITZERLAND — 0.6%     
 88   Alcon, Inc.   6,032 
 6,065   Garmin Ltd.   559,739 
 12,022   Nestle S.A.   1,388,654 
 7,504   Nestle S.A. - ADR   865,511 
 20,069   Novartis A.G.   1,816,193 
 4,401   Novartis A.G. - ADR   399,259 
 6,369   Roche Holding A.G.   2,001,379 
 90,470   UBS Group A.G.   1,681,496 
 227   Zurich Insurance Group A.G.   108,524 
 2,010   Zurich Insurance Group A.G. - ADR   96,169 
         8,922,956 
     TAIWAN — 0.5%     
 40,799   Chunghwa Telecom Co., Ltd. - ADR   1,492,835 
 71,297   Taiwan Semiconductor Manufacturing Co., Ltd. - ADR   5,310,914 
 66,650   United Microelectronics Corp. - ADR2   435,224 
         7,238,973 
     UNITED KINGDOM — 1.0%     
 44,157   Anglo American PLC   1,729,183 
 15,565   AstraZeneca PLC   2,106,246 
 1   AstraZeneca PLC - ADR   68 
 37,705   British American Tobacco PLC   1,491,540 
 123,283   Compass Group PLC   2,846,855 
 18,390   London Stock Exchange Group PLC   1,580,091 
 240,195   Standard Chartered PLC   1,791,499 
 47,838   Unilever PLC   2,415,238 
         13,960,720 
     UNITED STATES — 14.1%     
 14,394   Abbott Laboratories   1,580,317 
 5,851   Adobe, Inc.*   1,969,037 
 7,272   Adtalem Global Education, Inc.* 2   258,156 
 12,168   Aflac, Inc.   875,366 
 796   Allstate Corp.   107,938 
 41,180   Alphabet, Inc. - Class A*   3,633,311 

 

 

ASPIRIANT RISK-MANAGED EQUITY ALLOCATION FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Number
of Shares 

    

Value 

     COMMON STOCKS (Continued)     
     UNITED STATES (Continued)     
 28,495   Alphabet, Inc. - Class C*  $2,528,361 
 38,726   Amazon.com, Inc.*   3,252,984 
 7,842   American Electric Power Co., Inc.   744,598 
 19,958   American Express Co.   2,948,795 
 11,848   Analog Devices, Inc.   1,943,427 
 66,549   Apple, Inc.   8,646,712 
 24,851   Ares Management Corp. - Class A   1,700,802 
 6,897   Arthur J. Gallagher & Co.   1,300,360 
 417   Atmos Energy Corp.2   46,733 
 711   Becton, Dickinson and Co.   180,807 
 1,736   Bio-Rad Laboratories, Inc. - Class A*   729,971 
 60,258   Brixmor Property Group, Inc. - REIT   1,366,049 
 21,240   Builders FirstSource, Inc.*   1,378,051 
 7,138   CDW Corp.   1,274,704 
 27,183   Charles Schwab Corp.   2,263,257 
 2,871   Chemed Corp.   1,465,445 
 5,174   Church & Dwight Co., Inc.   417,076 
 16,098   Ciena Corp.*   820,676 
 3,610   Cigna Corp.   1,196,137 
 28,313   Cisco Systems, Inc.   1,348,831 
 5,859   CNX Resources Corp.*   98,666 
 51,725   Coca-Cola Co.   3,290,227 
 3,107   Consolidated Edison, Inc.   296,128 
 6,135   Constellation Brands, Inc. - Class A   1,421,786 
 3,127   Constellation Energy Corp.   269,579 
 2,941   Corteva, Inc.   172,872 
 3,112   Costco Wholesale Corp.   1,420,628 
 54,811   Coterra Energy Inc.2   1,346,706 
 18,802   Dolby Laboratories, Inc. - Class A   1,326,293 
 883   DT Midstream, Inc.2   48,795 
 1,766   DTE Energy Co.   207,558 
 1,650   Duke Energy Corp.   169,934 
 10,755   Electronic Arts, Inc.   1,314,046 
 14,390   Elevance Health, Inc.   7,381,638 
 20,351   Eli Lilly & Co.   7,445,210 
 142   Embecta Corp.2   3,591 
 120   EOG Resources, Inc.   15,542 
 9,381   Exelon Corp.   405,541 
 6,989   ExlService Holdings, Inc.*   1,184,146 
 4,786   Expeditors International of Washington, Inc.   497,361 

 

 

ASPIRIANT RISK-MANAGED EQUITY ALLOCATION FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Number
of Shares 

    

Value 

     COMMON STOCKS (Continued)     
     UNITED STATES (Continued)     
 2,407   First Financial Corp.  $110,915 
 14,641   Flowers Foods, Inc.   420,782 
 18,898   Gaming and Leisure Properties, Inc. - REIT   984,397 
 6,449   Gartner, Inc.*   2,167,767 
 21,510   GoDaddy, Inc.*   1,609,378 
 1,177   Grand Canyon Education, Inc.*   124,362 
 29,375   H&R Block, Inc.   1,072,481 
 1,395   Hanover Insurance Group, Inc.   188,506 
 2,212   Home Depot, Inc.   698,682 
 17,694   Hormel Foods Corp.   805,962 
 5,694   Humana, Inc.   2,916,410 
 1,373   Incyte Corp.*   110,279 
 3,946   Intuit, Inc.   1,535,862 
 5,370   Intuitive Surgical, Inc.*   1,424,930 
 12,683   JM Smucker Co.   2,009,748 
 33,833   Johnson & Johnson   5,976,599 
 4,544   KLA Corp.   1,713,224 
 24,918   Knight-Swift Transportation Holdings, Inc.   1,305,952 
 6,549   Lam Research Corp.   2,752,545 
 9,882   Lancaster Colony Corp.   1,949,719 
 11,968   Life Storage, Inc. - REIT   1,178,848 
 7,838   Lowe's Cos., Inc.   1,561,643 
 5,857   LPL Financial Holdings, Inc.   1,266,108 
 6,448   Mastercard, Inc. - Class A   2,242,163 
 842   McCormick & Co., Inc.   69,793 
 7,071   McDonald's Corp.   1,863,421 
 4,853   McKesson Corp.   1,820,457 
 50,602   Merck & Co., Inc.   5,614,292 
 18,326   Meta Platforms, Inc. - Class A*   2,205,351 
 18,077   MetLife, Inc.   1,308,232 
 52,419   Microsoft Corp.   12,571,125 
 375   Monster Beverage Corp.*   38,074 
 18,174   Morgan Stanley   1,545,153 
 2,858   Motorola Solutions, Inc.   736,535 
 19,515   NetApp, Inc.   1,172,071 
 506   NIKE, Inc. - Class B   59,207 
 38   NVR, Inc.*   175,278 
 19,067   Omnicom Group, Inc.   1,555,295 
 37,963   Oracle Corp.   3,103,096 
 27,060   Otis Worldwide Corp.   2,119,069 
 1,570   PDC Energy, Inc.2   99,664 

 

 

ASPIRIANT RISK-MANAGED EQUITY ALLOCATION FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Number
of Shares 

    

Value 

     COMMON STOCKS (Continued)     
     UNITED STATES (Continued)     
 6,841   PepsiCo, Inc.  $1,235,895 
 28,279   Pfizer, Inc.   1,449,016 
 16,978   Philip Morris International, Inc.   1,718,343 
 6,463   Procter & Gamble Co.   979,532 
 13,143   Quest Diagnostics, Inc.   2,056,091 
 16,078   Raymond James Financial, Inc.   1,717,934 
 10,706   Republic Services, Inc.   1,380,967 
 2,143   ResMed, Inc.   446,023 
 11,709   Ross Stores, Inc.   1,359,064 
 3,545   Royal Gold, Inc.2   399,592 
 12,018   Salesforce.com, Inc.*   1,593,467 
 5,344   Stryker Corp.   1,306,555 
 6,162   Synopsys, Inc.*   1,967,465 
 20,182   Texas Instruments, Inc.   3,334,470 
 59,943   TJX Cos., Inc.   4,771,463 
 10,168   T-Mobile US, Inc.*   1,423,520 
 11,510   Tootsie Roll Industries, Inc.2   489,981 
 27,067   Trustmark Corp.2   944,909 
 77,193   U.S. Bancorp   3,366,387 
 5,400   U-Haul Holding Co.2   299,706 
 3,068   Ulta Beauty, Inc.*   1,439,107 
 4,755   United Therapeutics Corp.*   1,322,318 
 14,559   UnitedHealth Group, Inc.   7,718,891 
 4,781   Vertex Pharmaceuticals, Inc.*   1,380,657 
 40,318   VICI Properties, Inc. - REIT2   1,306,303 
 27,513   Visa, Inc. - Class A2   5,716,101 
 16,200   Walmart, Inc.   2,296,998 
 2,132   WEC Energy Group, Inc.   199,896 
 59,852   Wells Fargo & Co.   2,471,289 
 34,736   Werner Enterprises, Inc.   1,398,471 
 28,636   WillScot Mobile Mini Holdings Corp.* 2   1,293,488 
 45,897   ZoomInfo Technologies, Inc.*   1,381,959 
         204,643,381 
     TOTAL COMMON STOCKS     
     (Cost $262,652,936)   324,473,476 
           
     EXCHANGE-TRADED FUNDS — 17.0%     
 1,571,202   iShares Edge MSCI Min Vol Global ETF2   149,295,614 
 3,913,890   Schwab Fundamental Emerging Markets Large Co. Index ETF2   96,986,194 
     TOTAL EXCHANGE-TRADED FUNDS     
     (Cost $231,766,674)   246,281,808 

 

 

ASPIRIANT RISK-MANAGED EQUITY ALLOCATION FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Number
of Shares 

    

Value 

     FOREIGN COLLECTIVE INVESTMENT FUND — 6.0%     
 4,050,832   GMO Equity Dislocation Investment Fund - Class A3 4  $86,647,291 
     TOTAL FOREIGN COLLECTIVE INVESTMENT FUND     
     (Cost $84,563,280)   86,647,291 
           
     OPEN-END MUTUAL FUNDS — 30.7%     
 2,996,275   AQR Large Cap Defensive Style Fund - Class R6   74,787,018 
 3,419,913   Baillie Gifford Emerging Markets Equities Fund - Class K   58,275,330 
 13,582,431   GMO Quality Fund - Class VI5    313,210,859 
     TOTAL OPEN-END MUTUAL FUNDS     
     (Cost $430,293,705)   446,273,207 
           
     PREFERRED STOCK — 0.1%     
     BRAZIL — 0.1%     
 441,100   Banco Bradesco S.A.   1,265,716 
     TOTAL PREFERRED STOCK     
     (Cost $1,695,309)   1,265,716 
           
     PRIVATE FUNDS6 — 13.9%     
     Bridgewater All Weather China, Ltd.7   59,121,594 
     RIEF Strategic Partners Fund LLC8   142,421,832 
     TOTAL PRIVATE FUNDS     
     (Cost $186,362,244)   201,543,426 
           
     SHORT-TERM INVESTMENTS — 10.0%     
     COLLATERAL POOL INVESTMENTS FOR SECURITIES ON LOAN — 0.1%     
     Collateral Investments   1,589,592 
           
     MONEY MARKET FUND — 9.9%     
 143,557,596   JPMorgan Prime Money Market Fund - Institutional Shares, 4.42%9   143,629,375 
     TOTAL SHORT-TERM INVESTMENTS     
     (Cost $145,174,257)   145,218,967 
           
     TOTAL INVESTMENTS — 100.0%     
     (Cost $1,342,508,405)   1,451,703,891 
           
     Other assets less liabilities — 0.0%1   285,121 
     TOTAL NET ASSETS — 100.0%  $1,451,989,012 

 

 

ASPIRIANT RISK-MANAGED EQUITY ALLOCATION FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

*Non-income producing security.
1Rounds to less than 0.05%.
2Certain shares or principal amounts are temporarily on loan to unaffiliated brokers-dealers. At period end, the aggregate market value of these securities was $12,969,558.
3Domiciled in Ireland.
4Affiliated investments for which ownership exceeds 5% of the investment's capital.
5Global equity fund.
6The Private Funds are generally offered in private placement transactions and as such are often illiquid and generally restricted as to resale.
7The investment was acquired on 3/1/2021. The cost is $64,000,000.
8The investment was acquired on 7/2/2018. The cost is $122,362,244.
9The rate is the annualized seven-day yield at period end.

 

ADR – American Depository Receipt

ETF – Exchange-Traded Fund

LLC – Limited Liability Company

PLC – Public Limited Company

REIT – Real Estate Investment Trust

 

 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS 

As of December 31, 2022 (Unaudited)

 

  

Principal
Amount
      Value 
     MUNICIPAL BONDS — 81.3%     
     ALABAMA — 1.5%     
     Black Belt Energy Gas District     
$2,000,000   4.00%, 06/1/2051, Call 09/1/20311  $1,950,500 
 1,000,000   4.00%, 10/1/2052, Call 09/1/20261   988,423 
 1,950,000   5.25%, 02/1/2053, Call 03/1/20291   2,033,787 
 500,000   4.31% (SIFMA Municipal Swap Index Yield+ 65 basis points), 04/1/2053, Call 07/1/20272   475,433 
 500,000   County of Jefferson Sewer Revenue, AGM, 5.25%, 10/1/2048, Call 10/1/2023   513,895 
 1,080,000   Hoover Industrial Development Board, 5.75%, 10/1/2049, Call 10/1/20293   1,115,785 
 2,520,000   Jacksonville Public Educational Building Authority, 5.00%, 07/1/2044, Call 07/1/2027   2,578,187 
 1,710,000   Southeast Alabama Gas Supply District, 3.61% (1-Month USD Libor+ 85 basis points), 06/1/2049, Call 03/1/20242   1,682,615 
 1,900,000   UAB Medicine Finance Authority, 5.00%, 09/1/2033, Call 09/1/2029   2,084,112 
         13,422,737 
     ARIZONA — 1.2%     
 500,000   Arizona Health Facilities Authority, 5.00%, 02/1/2043, Call 02/1/2023   500,201 
     Arizona Industrial Development Authority     
 985,000   4.00%, 03/1/20274   946,231 
 600,000   4.00%, 07/1/2041, Call 07/1/2026   522,126 
 530,000   5.00%, 07/1/2047, Call 07/1/20274   485,257 
 350,000   4.00%, 07/1/2061, Call 07/1/2026   269,353 
 213,315   Cahava Springs Revitalization District, 7.00%, 07/1/2041, Call 07/1/20274 5   164,253 
 1,250,000   City of Peoria, 3.00%, 07/15/2033, Call 07/15/2031   1,241,500 
 696,000   Eastmark Community Facilities District #1, 5.20%, 07/1/2039, Call 07/1/20254   654,986 
 645,000   Industrial Development Authority of the City of Phoenix, 5.00%, 10/1/2036, Call 10/1/2026   670,031 
 500,000   Industrial Development Authority of the County of Pima, 6.75%, 03/1/2034, Call 03/1/2024   501,922 
 340,000   Industrial Development Authority of the County of Yavapai, 5.13%, 03/1/2042, Call 02/6/20234   313,267 
 1,000,000   La Paz County Industrial Development Authority, 5.75%, 06/15/2038, Call 06/15/20274   948,980 
 120,000   Maricopa County Industrial Development Authority, 5.00%, 07/1/2039, Call 07/1/20294   113,923 
 500,000   Maricopa County Pollution Control Corp., 2.40%, 06/1/2035, Call 12/1/2031   380,716 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     ARIZONA (Continued)     
$1,995,000   Salt Verde Financial Corp., 5.00%, 12/1/2032  $2,086,304 
 785,000   Westpark Community Facility District, 5.00%, 07/15/2032, Call 07/15/2026   805,927 
         10,604,977 
     ARKANSAS — 0.3%     
     Arkansas Development Finance Authority     
 1,800,000   4.50%, 09/1/2049, Call 09/1/20263 4   1,574,661 
 500,000   5.45%, 09/1/2052, Call 09/1/20253 4   485,651 
 500,000   State of Arkansas, 3.00%, 10/1/2024, Call 01/20/2023   499,950 
         2,560,262 
     CALIFORNIA — 7.3%     
 640,000   Anaheim Public Financing Authority, 5.00%, 05/1/2046, Call 05/1/2024   659,147 
 1,000,000   Bay Area Toll Authority, 4.91% (SIFMA Municipal Swap Index Yield+ 125 basis points), 04/1/2036, Call 10/1/20262   1,008,617 
 1,325,000   Calexico Unified School District, BAM, 3.00%, 08/1/2052, Call 08/1/2031   969,826 
     California Community Choice Financing Authority     
 500,000   4.00%, 05/1/2053, Call 05/1/20281   497,659 
 1,000,000   4.83% (SOFR Rate+ 195 basis points), 12/1/2053, Call 05/1/20292   1,005,559 
 95,000   California County Tobacco Securitization Agency, 4.00%, 06/1/2049, Call 06/1/2030   81,277 
     California Health Facilities Financing Authority     
 155,000   5.00%, 08/15/2036, Call 08/15/2027   160,970 
 1,000,000   4.00%, 05/15/2046, Call 05/15/2032   963,188 
 3,000,000   5.00%, 11/15/2048, Call 11/15/2027   3,065,723 
     California Municipal Finance Authority     
 905,000   5.00%, 10/1/2035, Call 02/6/2023   859,884 
 1,000,000   5.00%, 02/1/2037, Call 02/1/2027   1,034,895 
 50,000   5.00%, 10/1/2039, Call 10/1/20274   47,598 
 850,000   5.00%, 06/1/2046, Call 06/1/2026   854,459 
 1,000,000   4.00%, 12/31/2047, Call 06/30/20283   870,563 
 1,000,000   California Pollution Control Financing Authority, 5.00%, 07/1/2037, Call 07/1/20233 4   999,945 
     California School Finance Authority     
 50,000   5.00%, 08/1/2036, Call 08/1/20254   52,930 
 650,000   5.00%, 08/1/2036, Call 08/1/20254   658,243 
 1,250,000   5.00%, 06/1/2040, Call 06/1/20274   1,210,408 
 100,000   5.00%, 08/1/2041, Call 08/1/20254   105,860 
 900,000   5.00%, 08/1/2041, Call 08/1/20254   903,809 
 350,000   6.75%, 11/1/2045, Call 11/1/20244   355,945 
 1,000,000   California State Public Works Board, 5.00%, 10/1/2039, Call 10/1/2024   1,030,992 
     California Statewide Communities Development Authority     
 850,000   5.25%, 10/1/2043, Call 10/1/2024   887,126 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     CALIFORNIA (Continued)     
$1,500,000   5.25%, 12/1/2044, Call 12/1/2024  $1,500,803 
 1,000,000   5.50%, 12/1/2054, Call 12/1/2024   1,004,714 
 640,000   City of Fresno Airport Revenue, BAM, 4.75%, 07/1/2027, Call 07/1/20233   643,865 
 200,000   City of Irvine, 5.00%, 09/2/2042, Call 09/2/2025   202,565 
     City of Lathrop     
 500,000   5.00%, 09/2/2040, Call 09/2/2025   507,231 
 1,000,000   5.60%, 09/1/2049, Call 09/1/2026   934,871 
     City of Los Angeles Department of Airports     
 1,500,000   5.00%, 05/15/2034, Call 05/15/20283   1,580,250 
 1,000,000   5.50%, 05/15/2035, Call 11/15/20313   1,120,548 
 1,895,000   Coachella Valley Water District, 5.00%, 08/1/2051, Call 08/1/2031   2,038,843 
 700,000   County of San Bernardino, 4.00%, 09/1/2042, Call 09/1/2024   634,955 
 1,250,000   Foothill-Eastern Transportation Corridor Agency, 4.00%, 01/15/2043, Call 01/15/2031   1,177,831 
     Foothill-Eastern Transportation Corridor Agency, AGM     
 2,000,000   0.00%, 01/15/2035   1,254,859 
 1,000,000   5.00%, 01/15/2042, Call 01/15/2024   1,021,356 
 500,000   Golden State Tobacco Securitization Corp., 5.00%, 06/1/2051, Call 12/1/2031   513,726 
 1,000,000   Independent Cities Finance Authority, 5.00%, 09/15/2036, Call 09/15/2025   978,585 
 1,000,000   Jurupa Public Financing Authority, 5.00%, 09/1/2042, Call 09/1/2024   1,025,410 
 1,250,000   Lodi Unified School District, 3.00%, 08/1/2046, Call 08/1/2030   959,595 
 1,000,000   Los Angeles Department of Water & Power Water System Revenue, 5.00%, 07/1/2042, Call 01/1/2031   1,098,599 
 300,000   M-S-R Energy Authority, 7.00%, 11/1/2034   371,029 
 5,000,000   Palomar Health, AGC, 0.00%, 08/1/2032   3,483,201 
 850,000   Peralta Community College District, AGM, 4.00%, 08/1/2039, Call 08/1/2025   850,240 
 1,000,000   Perris Union High School District, 3.00%, 09/1/2037, Call 09/1/2029   880,217 
 1,510,000   Pico Rivera Water Authority, NATL-RE, 5.50%, 05/1/2029   1,610,271 
 1,000,000   Poway Unified School District Public Financing Authority, BAM, 5.00%, 10/1/2041, Call 10/1/2023   1,013,963 
 695,000   Riverside County Redevelopment Successor Agency, AGM, 5.00%, 10/1/2030, Call 10/1/2024   719,608 
 750,000   Sacramento Area Flood Control Agency, 5.00%, 10/1/2041, Call 10/1/2026   789,857 
 2,500,000   Sacramento City Financing Authority, AMBAC, 5.25%, 12/1/2026   2,740,195 
 950,000   Sacramento City Unified School District, BAM, 5.50%, 08/1/2047, Call 08/1/2030   1,065,093 
 1,660,000   San Bernardino County Financing Authority, NATL, 5.50%, 06/1/2037   1,687,650 
 1,000,000   San Francisco City & County Airport Commission-San Francisco International Airport, 5.00%, 05/1/2039, Call 05/1/20293   1,036,325 
 2,100,000   San Joaquin Hills Transportation Corridor Agency, 5.00%, 01/15/2044, Call 01/15/2025   2,200,188 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     CALIFORNIA (Continued)     
$475,000   San Joaquin Hills Transportation Corridor Agency, NATL-RE, 0.00%, 01/15/2034  $298,522 
 965,000   San Marcos Public Facilities Authority, AGM, 5.00%, 09/1/2033, Call 09/1/2024   995,037 
     Santa Ana Financing Authority, NATL-RE     
 215,000   6.25%, 07/1/2024   222,071 
 215,000   6.25%, 07/1/2024   222,202 
 500,000   Santa Monica-Malibu Unified School District, 3.00%, 08/1/2044, Call 08/1/2029   395,981 
 1,000,000   South Tahoe Joint Powers Financing Authority, AGM, 4.00%, 10/1/2034, Call 10/1/2024   1,013,308 
     Southern California Public Power Authority     
 565,000   5.00%, 11/1/2029   603,205 
 1,390,000   5.00%, 11/1/2033   1,493,161 
     State of California     
 1,155,000   5.00%, 12/1/2028   1,308,213 
 855,000   5.00%, 04/1/2042, Call 04/1/2032   951,130 
 500,000   5.00%, 09/1/2042, Call 09/1/2032   558,349 
 1,000,000   5.00%, 09/1/2052, Call 09/1/2032   1,094,999 
 100,000   Temecula Public Financing Authority, 5.75%, 09/1/2032, Call 09/1/20274   106,732 
         64,193,976 
     COLORADO — 4.8%     
 500,000   Broadway Station Metropolitan District No. 3, 5.00%, 12/1/2039, Call 06/1/2024   427,371 
     Cathedral Pines Metropolitan District     
 580,000   5.00%, 12/1/2031, Call 12/1/2026   602,357 
 2,005,000   5.00%, 12/1/2046, Call 12/1/2026   2,029,747 
     Central Platte Valley Metropolitan District     
 625,000   5.63%, 12/1/2038, Call 12/1/2023   639,396 
 500,000   5.00%, 12/1/2043, Call 12/1/2023   507,838 
     City & County of Denver Airport System Revenue     
 1,000,000   5.50%, 11/15/2038, Call 11/15/20323   1,102,434 
 2,000,000   5.25%, 12/1/2043, Call 12/1/20283   2,072,994 
 1,000,000   City & County of Denver Co. Airport System Revenue, 5.75%, 11/15/2041, Call 11/15/20323   1,100,164 
 2,000,000   City of Colorado Springs Co. Utilities System Revenue, 5.00%, 11/15/2044, Call 11/15/2024   2,054,557 
     Colorado Educational & Cultural Facilities Authority     
 500,000   5.00%, 12/15/2028, Call 12/15/20254   516,207 
 550,000   4.75%, 04/1/2030, Call 02/6/2023   550,404 
 1,000,000   6.00%, 12/15/2037, Call 12/15/2024   1,055,765 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount

      Value 
     MUNICIPAL BONDS (Continued)     
     COLORADO (Continued)     
$460,000   5.00%, 10/1/2039, Call 10/1/20274  $435,967 
 500,000   4.00%, 07/1/2041, Call 07/1/20314   402,637 
     Colorado Educational & Cultural Facilities Authority, MORAL OBLG     
 100,000   5.00%, 08/15/2034, Call 08/15/2024   102,689 
 1,000,000   5.00%, 03/15/2035, Call 03/15/2030   1,068,350 
 500,000   4.00%, 10/1/2039, Call 10/1/2024   480,118 
     Colorado Health Facilities Authority     
 500,000   5.00%, 01/15/2035, Call 01/15/2026   514,242 
 500,000   5.00%, 06/1/2036, Call 06/1/2027   545,552 
 1,000,000   4.00%, 08/1/2039, Call 08/1/2029   910,721 
 500,000   8.00%, 08/1/2043, Call 02/1/2024   506,438 
 2,000,000   5.00%, 05/15/2045, Call 05/15/2025   2,010,083 
 2,000,000   4.00%, 08/1/2049, Call 08/1/2029   1,679,990 
 500,000   5.25%, 11/1/2052, Call 11/1/2032   514,101 
 500,000   Copper Ridge Metropolitan District, 5.00%, 12/1/2039, Call 12/1/2024   450,109 
 500,000   Denver Convention Center Hotel Authority, 5.00%, 12/1/2034, Call 12/1/2026   506,558 
 1,470,000   Denver Health & Hospital Authority, 5.00%, 12/1/2039, Call 12/1/2023   1,473,346 
 1,000,000   E-470 Public Highway Authority, NATL, 0.00%, 09/1/2037, Call 09/1/2026   494,412 
 480,000   E-470 Public Highway Authority, NATL-RE, 0.00%, 09/1/2030   370,006 
 2,000,000   Grand River Hospital District, AGM, 5.25%, 12/1/2030, Call 12/1/2028   2,188,764 
 1,010,000   Harvest JCT Metropolitan District, 5.38%, 12/1/2037, Call 02/6/2023   1,010,182 
 750,000   Heritage Todd Creek Metropolitan District, 6.13%, 12/1/2044, Call 12/1/2024   750,815 
 1,790,000   Lincoln Park Metropolitan District, AGM, 5.00%, 12/1/2042, Call 12/1/2027   1,910,733 
 770,000   North Range Metropolitan District No. 1, 5.00%, 12/1/2038, Call 12/1/2025   798,002 
 1,000,000   Painted Prairie Public Improvement Authority, 5.00%, 12/1/2039, Call 12/1/2024   939,340 
 425,000   Rampart Range Metropolitan District No. 1, AGM, 5.00%, 12/1/2042, Call 12/1/2027   452,285 
 4,000,000   Regional Transportation District, 5.00%, 11/1/2041, Call 11/1/2026   4,198,966 
 1,500,000   State of Colorado, 6.00%, 12/15/2040, Call 12/15/2032   1,770,430 
 125,000   Sterling Hills West Metropolitan District, 5.00%, 12/1/2039, Call 12/1/2027   131,164 
 1,000,000   Verve Metropolitan District No. 1, 5.00%, 12/1/2041, Call 03/1/2026   933,829 
 575,000   Water Valley Metropolitan District No. 02, 5.25%, 12/1/2040, Call 12/1/2026   556,124 
 1,000,000   Westminster Public Schools, AGM, 5.00%, 12/1/2048, Call 12/1/2028   1,061,182 
         41,826,369 
     CONNECTICUT — 0.9%     
 1,685,000   City of Bridgeport, 5.00%, 06/1/2029   1,876,026 
 500,000   Connecticut State Development Authority, 7.95%, 04/1/2026, Call 02/6/20233   499,925 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     CONNECTICUT (Continued)     
     Connecticut State Health & Educational Facilities Authority     
$375,000   5.00%, 06/1/2033, Call 06/1/2030  $417,381 
 1,500,000   4.00%, 07/1/2042, Call 07/1/2032   1,328,118 
 1,000,000   Harbor Point Infrastructure Improvement District, 5.00%, 04/1/2039, Call 04/1/20274   971,015 
 1,500,000   State of Connecticut Special Tax Revenue, 4.00%, 11/1/2039, Call 11/1/2031   1,475,342 
 1,250,000   State of Connecticut Special Tax Revenue, AGM, 4.00%, 05/1/2038, Call 05/1/2031   1,238,705 
         7,806,512 
     DELAWARE — 0.4%     
     Delaware River & Bay Authority     
 300,000   5.00%, 01/1/2035, Call 01/1/2032   344,740 
 375,000   5.00%, 01/1/2036, Call 01/1/2032   425,867 
 1,000,000   Delaware State Economic Development Authority, 6.75%, 09/1/2035, Call 03/1/20254   1,031,993 
 1,500,000   Delaware Transportation Authority, 5.00%, 06/1/2055, Call 06/1/2025   1,521,918 
         3,324,518 
     DISTRICT OF COLUMBIA — 1.5%     
     District of Columbia     
 1,000,000   4.00%, 04/1/2033, Call 04/1/2026   1,042,220 
 1,500,000   5.00%, 06/1/2041, Call 06/1/2026   1,571,524 
 1,465,000   5.00%, 10/15/2044, Call 04/15/2029   1,567,615 
     Metropolitan Washington Airports Authority     
 1,520,000   4.00%, 10/1/2036, Call 10/1/20263   1,467,749 
 1,820,000   5.00%, 10/1/2042, Call 10/1/20273   1,858,276 
 655,000   5.00%, 10/1/2044, Call 10/1/20243   657,904 
 500,000   Metropolitan Washington Airports Authority Aviation Revenue, 5.00%, 10/1/2046, Call 10/1/20313   512,787 
     Metropolitan Washington Airports Authority Dulles Toll Road Revenue     
 750,000   4.00%, 10/1/2035, Call 10/1/2029   730,168 
 615,000   6.50%, 10/1/2041, Call 10/1/2026   697,032 
 2,130,000   4.00%, 10/1/2049, Call 10/1/2029   1,843,940 
     Washington Convention & Sports Authority     
 500,000   4.00%, 10/1/2035, Call 10/1/2030   508,436 
 875,000   4.00%, 10/1/2036, Call 10/1/2030   873,623 
         13,331,274 
     FLORIDA — 5.8%     
 1,335,000   Alachua County Health Facilities Authority, 5.00%, 12/1/2044, Call 12/1/2024   1,342,477 
           
 790,000   Boggy Creek Improvement District, 5.13%, 05/1/2043, Call 05/1/2023   790,364 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     FLORIDA (Continued)     
$100,000   Bonterra Community Development District, 4.13%, 05/1/2047, Call 05/1/2028  $92,613 
 500,000   Broward County FL Water & Sewer Utility Revenue, 4.00%, 10/1/2047, Call 10/1/2031   473,315 
     Capital Trust Agency, Inc.     
 400,000   4.38%, 06/15/20274   388,889 
 580,000   5.35%, 07/1/2029, Call 02/6/2023   580,650 
 95,000   Century Gardens at Tamiami Community Development District, 4.25%, 05/1/2037, Call 05/1/2026   89,802 
 500,000   City of Atlantic Beach, 5.63%, 11/15/2043, Call 11/15/2023   502,282 
 2,435,000   City of Lakeland, 5.00%, 11/15/2045, Call 11/15/2024   2,440,890 
 500,000   City of Lakeland Department of Electric Utilities, 5.00%, 10/1/2048   581,442 
 450,000   City of Orlando Tourist Development Tax Revenue, AGM, 5.00%, 11/1/2033, Call 11/1/2027   486,732 
 1,000,000   City of Tampa , 5.00%, 11/15/2046, Call 05/15/2026   1,013,219 
 500,000   County of Bay, 5.00%, 09/1/2043, Call 09/1/2023   501,903 
 1,000,000   County of Broward Airport System Revenue, 5.00%, 10/1/2036, Call 10/1/20253   1,022,424 
 2,350,000   County of Hillsborough, 5.00%, 10/1/2038, Call 10/1/2025   2,448,878 
 500,000   County of Miami-Dade Aviation Revenue, 5.00%, 10/1/2049, Call 10/1/20293   502,898 
 500,000   County of Miami-Dade Transit System, 5.00%, 07/1/2045, Call 07/1/2032   535,115 
 175,000   County of Palm Beach, 5.00%, 04/1/2039, Call 04/1/20294   163,173 
 1,325,000   County of Palm Beach FL Airport System Revenue, 5.00%, 10/1/20233   1,339,405 
 500,000   County of St. Lucie, 3.55%, 09/1/2028, Call 01/4/20231   500,000 
     Florida Development Finance Corp.     
 750,000   6.25%, 07/1/2034, Call 07/1/2024   755,921 
 500,000   8.50%, 06/15/2044, Call 06/15/2023   511,297 
 825,000   6.13%, 06/15/2046, Call 06/15/20254   825,612 
 1,710,000   6.50%, 01/1/2049, Call 02/6/20231 3 4   1,528,362 
 3,000,000   7.38%, 01/1/2049, Call 01/1/20243 4   2,625,028 
 2,000,000   7.25%, 07/1/2057, Call 02/6/20231 3 4   1,994,458 
 500,000   Florida Higher Educational Facilities Financial Authority, 4.50%, 06/1/2033, Call 06/1/20284   452,257 
 1,000,000   FSU Financial Assistance, Inc., 5.00%, 10/1/2030, Call 02/6/2023   1,001,529 
 500,000   Grand Bay at Doral Community Development District, 5.00%, 05/1/2039, Call 05/1/2024   490,985 
     Greater Orlando Aviation Authority     
 1,000,000   5.00%, 11/15/2036, Call 05/15/20233   1,000,411 
 1,665,000   5.00%, 10/1/2046, Call 10/1/20263   1,685,266 
 1,000,000   Hernando County School District, AGM, 5.00%, 07/1/2031, Call 07/1/2026   1,065,040 
 2,000,000   Hillsborough County Aviation Authority, 5.00%, 10/1/2043, Call 10/1/20283   2,046,109 
 2,000,000   Jacksonville Port Authority, 5.00%, 11/1/2044, Call 11/1/2028   2,119,170 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     FLORIDA (Continued)     
     Lake Ashton Community Development District     
$65,000   5.00%, 05/1/2025  $65,315 
 390,000   5.00%, 05/1/2037, Call 05/1/2025   379,931 
 1,675,000   Lakeside Community Development District, 5.50%, 05/1/2035, Call 05/1/2025   1,684,078 
     Lee County Industrial Development Authority     
 100,000   5.75%, 06/15/2042, Call 02/6/20234   99,996 
 2,000,000   5.00%, 11/15/2044, Call 11/15/2026   1,981,504 
 1,000,000   5.00%, 11/15/2049, Call 11/15/2026   975,400 
 870,000   Majorca Isles Community Development District, 5.38%, 05/1/2035, Call 05/1/2026   873,451 
 385,000   Mediterra South Community Development District, 5.00%, 05/1/2034, Call 05/1/2023   379,437 
 1,000,000   Miami Beach Health Facilities Authority, 5.00%, 11/15/2039, Call 11/15/2024   1,006,016 
     Miami-Dade County Industrial Development Authority     
 630,000   5.00%, 09/15/2034, Call 09/15/2024   642,032 
 320,000   5.25%, 09/15/2044, Call 09/15/2024   324,394 
 105,000   5.00%, 09/15/2044, Call 09/15/20274   105,440 
 1,000,000   North Sumter County Utility Dependent District, AGM, 5.00%, 10/1/2052, Call 10/1/2031   1,047,208 
 680,000   Putnam County Development Authority, 5.00%, 03/15/2042, Call 05/1/2028   727,055 
 1,500,000   Reedy Creek Improvement District, 5.00%, 06/1/2035, Call 06/1/2026   1,576,449 
 100,000   Stonebrier Community Development District, 4.00%, 05/1/2037, Call 05/1/2026   101,423 
 2,000,000   Town of Davie, 5.00%, 04/1/2048, Call 04/1/2028   2,013,379 
 135,000   Turtle Run Community Development District, 5.00%, 05/1/2037, Call 05/1/20284   133,916 
 485,000   Verandah West Community Development District, 5.00%, 05/1/2033, Call 05/1/2023   484,888 
     Wildwood Utility Dependent District, BAM     
 750,000   5.00%, 10/1/2036, Call 10/1/2031   842,821 
 1,000,000   5.00%, 10/1/2046, Call 10/1/2031   1,057,981 
 875,000   Windward at Lakewood Ranch Community Development District, 4.00%, 05/1/2042, Call 05/1/2032   719,941 
         51,119,971 
     GEORGIA — 1.9%     
 1,100,000   Board of Water Light & Sinking Fund Commissioners of The City of Dalton, 4.00%, 03/1/2039, Call 03/1/2030   1,062,286 
 1,000,000   Brookhaven Development Authority, 4.00%, 07/1/2044, Call 07/1/2029   961,264 
     Burke County Development Authority     
 500,000   2.25%, 10/1/20321   497,223 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     GEORGIA (Continued)     
$500,000   2.20%, 10/1/2032, Call 11/19/2026  $412,272 
 1,000,000   4.13%, 11/1/2045, Call 02/1/2028   856,148 
 1,000,000   3.00%, 11/1/20451   999,669 
     Fulton County Development Authority     
 500,000   5.00%, 04/1/2037, Call 04/1/2027   517,299 
 1,000,000   6.50%, 04/1/2043, Call 04/1/2023   1,007,772 
 500,000   George L Smith II Congress Center Authority, 5.00%, 01/1/2054, Call 01/1/20314   399,156 
 1,100,000   Georgia Municipal Association, Inc., 4.00%, 12/1/2024   1,125,853 
 750,000   Georgia Ports Authority, 5.00%, 07/1/2047, Call 07/1/2032   823,401 
 1,000,000   Georgia State Road & Tollway Authority, 5.00%, 06/1/2032, Call 06/1/2030   1,151,677 
 395,000   Macon-Bibb County Urban Development Authority, 5.00%, 06/15/20274   394,055 
     Main Street Natural Gas, Inc.     
 1,100,000   4.00%, 12/1/2026   1,093,853 
 1,470,000   5.00%, 05/15/2034, Call 05/15/2029   1,518,048 
 1,500,000   4.00%, 08/1/2052, Call 05/1/20271 4   1,410,880 
 200,000   Municipal Electric Authority of Georgia, 5.00%, 01/1/2056, Call 01/1/2030   198,584 
     Private Colleges & Universities Authority     
 1,325,000   5.00%, 04/1/2044, Call 04/1/2024   1,359,004 
 1,000,000   5.25%, 10/1/2051, Call 10/1/2032   1,053,917 
         16,842,361 
     GUAM — 0.2%     
     Guam Government Waterworks Authority     
 500,000   5.25%, 07/1/2033, Call 07/1/2023   505,587 
 1,000,000   5.00%, 07/1/2035, Call 07/1/2024   1,007,518 
 250,000   Territory of Guam, 4.00%, 01/1/2042, Call 01/1/2031   218,710 
         1,731,815 
     HAWAII — 0.1%     
 1,000,000   State of Hawaii Airports System Revenue, 5.00%, 07/1/2048, Call 07/1/20283   1,012,809 
           
     IDAHO — 0.2%     
 300,000   Idaho Health Facilities Authority, 4.38%, 07/1/2034, Call 07/1/20244   302,394 
     Idaho Housing & Finance Association     
 370,000   6.00%, 07/1/2039, Call 07/1/20284   388,300 
 415,000   6.00%, 07/1/2049, Call 07/1/20284   430,081 
 565,000   6.00%, 07/1/2054, Call 07/1/20284   584,172 
         1,704,947 
     ILLINOIS — 11.2%     
     Chicago Board of Education     
 100,000   5.75%, 04/1/2034, Call 04/1/2027   104,982 
 1,000,000   6.10%, 04/1/2036, Call 04/1/2027   1,058,992 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     ILLINOIS (Continued)     
$180,000   5.00%, 04/1/2037, Call 04/1/2027  $181,667 
 500,000   5.00%, 04/1/2038, Call 04/1/2028   504,341 
 500,000   5.25%, 12/1/2039, Call 12/1/2024   498,859 
 1,000,000   5.00%, 12/1/2040, Call 12/1/2030   979,522 
 575,000   5.00%, 12/1/2042, Call 02/6/2023   551,864 
 1,950,000   7.00%, 12/1/2044, Call 12/1/2025   2,065,794 
 1,100,000   6.00%, 04/1/2046, Call 04/1/2027   1,141,500 
     Chicago O'Hare International Airport     
 1,000,000   3.88%, 01/1/2032, Call 02/6/2023   1,000,295 
 500,000   5.00%, 07/1/2033, Call 07/1/20283   514,152 
 2,500,000   5.00%, 01/1/2046, Call 01/1/2025   2,522,612 
 1,000,000   Chicago O'Hare International Airport, AGM, 5.50%, 01/1/2053, Call 01/1/20313   1,049,778 
 680,000   Chicago Park District, 5.00%, 11/15/2024   697,806 
 2,500,000   Chicago Transit Authority, 5.00%, 12/1/2046, Call 12/1/2026   2,537,995 
 1,500,000   Chicago Transit Authority Sales Tax Receipts Fund, 5.00%, 12/1/2055, Call 12/1/2029   1,510,885 
 1,885,000   Chicago Transit Authority Sales Tax Receipts Fund, BAM, 5.00%, 12/1/2046, Call 12/1/2031   1,925,725 
     City of Chicago     
 1,000,000   5.00%, 01/1/2027   1,035,582 
 800,000   4.84%, 04/15/2028, Call 01/16/20234   800,435 
 1,000,000   5.50%, 01/1/2033, Call 01/1/2025   1,020,371 
 1,835,000   5.00%, 01/1/2034, Call 01/1/2031   1,934,967 
 1,250,000   4.00%, 01/1/2036, Call 01/1/2031   1,159,625 
 880,000   6.00%, 01/1/2038, Call 01/1/2027   928,722 
 500,000   5.50%, 01/1/2040, Call 01/1/2025   506,433 
     City of Chicago Wastewater Transmission Revenue     
 1,960,000   5.00%, 01/1/2028, Call 02/6/2023   1,961,402 
 665,000   5.00%, 01/1/2034, Call 01/1/2025   675,179 
 3,000,000   5.00%, 01/1/2039, Call 01/1/2024   3,006,993 
     City of Chicago Waterworks Revenue     
 1,000,000   5.00%, 11/1/2031, Call 11/1/2024   1,019,103 
 1,000,000   5.00%, 11/1/2044, Call 11/1/2024   1,004,648 
 1,000,000   City of Chicago Waterworks Revenue, AGM, 5.00%, 11/1/2028, Call 11/1/2024   1,036,207 
 1,270,000   County of Cook, 5.00%, 11/15/2032, Call 11/15/2030   1,416,335 
     County of Cook Sales Tax Revenue     
 1,200,000   5.00%, 11/15/2033, Call 11/15/2027   1,283,477 
 1,000,000   5.00%, 11/15/2038, Call 11/15/2030   1,073,203 
     Illinois Educational Facilities Authority     
 2,000,000   4.50%, 11/1/2036, Call 11/1/2024   2,022,218 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     ILLINOIS (Continued)     
$570,000   3.90%, 11/1/2036, Call 11/1/2027  $576,310 
     Illinois Finance Authority     
 700,000   5.00%, 08/1/2026   725,121 
 425,000   5.00%, 08/1/2027   442,959 
 500,000   5.00%, 08/1/2028, Call 08/1/2027   519,969 
 670,000   5.00%, 03/1/2033, Call 03/1/2027   703,092 
 315,000   5.00%, 02/15/2034, Call 02/15/2027   334,488 
 500,000   5.00%, 03/1/2034, Call 03/1/2027   523,437 
 2,000,000   4.00%, 07/1/2034, Call 01/1/2026   2,032,758 
 1,420,000   4.00%, 08/1/2036, Call 08/1/2031   1,312,724 
 225,000   5.00%, 02/15/2037, Call 08/15/2027   214,680 
 1,695,000   4.00%, 07/1/2038, Call 07/1/2029   1,716,379 
 1,000,000   4.00%, 07/15/2039, Call 07/15/2031   999,260 
 550,000   5.00%, 09/1/2042, Call 09/1/2024   569,379 
 1,000,000   4.00%, 08/1/2043, Call 08/1/2031   866,798 
 1,590,000   5.00%, 06/1/2044, Call 12/1/2032   1,687,225 
 1,925,000   5.00%, 09/1/2046, Call 09/1/2026   1,942,166 
 2,100,000   5.00%, 02/15/2047, Call 08/15/2027   1,878,150 
 1,000,000   5.00%, 12/1/2047, Call 12/1/2027   974,359 
 1,000,000   Illinois Municipal Electric Agency, 4.00%, 02/1/2034, Call 08/1/2025   1,008,604 
 1,000,000   Illinois Sports Facilities Authority, 5.25%, 06/15/2032, Call 06/15/2024   1,021,301 
     Illinois State Toll Highway Authority     
 1,000,000   5.00%, 01/1/2040, Call 01/1/2031   1,057,615 
 1,500,000   5.00%, 01/1/2046, Call 01/1/2032   1,586,814 
 1,000,000   Illinois State University, AGM, 5.00%, 04/1/2033, Call 04/1/2028   1,103,925 
 1,000,000   Macon County School District No. 61 Decatur, AGM, 4.00%, 01/1/2040, Call 01/1/2027   1,000,163 
     Metropolitan Pier & Exposition Authority     
 500,000   4.00%, 12/15/2042, Call 12/15/2031   436,210 
 1,355,000   5.00%, 06/15/2050, Call 12/15/2029   1,323,793 
 530,000   5.00%, 06/15/2057, Call 12/15/2027   512,245 
     Metropolitan Pier & Exposition Authority, NATL     
 1,000,000   0.00%, 06/15/2029   775,653 
 3,300,000   0.00%, 12/15/2030   2,395,961 
 1,905,000   Metropolitan Water Reclamation District of Greater Chicago, 5.00%, 12/1/2041, Call 12/1/2026   1,997,430 
 1,000,000   Round Lake Lakewood Grove Special Service Area No. 3 & 4, BAM, 4.00%, 03/1/2033, Call 03/1/2027   1,032,211 
     Sales Tax Securitization Corp.     
 735,000   5.00%, 01/1/2028   789,180 
 2,000,000   5.00%, 01/1/2034, Call 01/1/2028   2,106,262 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     ILLINOIS (Continued)     
$500,000   4.00%, 01/1/2038, Call 01/1/2030  $482,528 
 750,000   Sangamon Logan & Menard Counties Community Unit School Dist No. 15 Williamsville, BAM, 4.00%, 12/1/2039, Call 12/1/2029   742,152 
 1,000,000   Southwestern Illinois Development Authority, 7.13%, 11/1/2043, Call 11/1/2023   1,031,249 
     State of Illinois     
 1,000,000   5.00%, 03/1/2023   1,002,147 
 1,000,000   5.00%, 02/1/2025   1,020,692 
 1,500,000   5.50%, 07/1/2026, Call 07/1/2023   1,511,984 
 1,000,000   5.00%, 11/1/2026   1,031,149 
 1,000,000   5.00%, 10/1/2031, Call 10/1/2030   1,025,081 
 2,000,000   3.00%, 06/15/2033, Call 06/15/2026   1,770,816 
 660,000   5.00%, 03/1/2036, Call 03/1/2031   665,456 
 1,000,000   4.25%, 12/1/2037, Call 12/1/2027   923,780 
 1,500,000   5.00%, 02/1/2039, Call 02/1/2024   1,491,751 
 1,000,000   5.50%, 03/1/2042, Call 03/1/2032   1,031,770 
 500,000   5.00%, 03/1/2046, Call 03/1/2031   486,592 
 1,000,000   State of Illinois Sales Tax Revenue, 5.00%, 06/15/2030   1,069,873 
 2,000,000   State of Illinois, BAM, 4.00%, 06/15/2030, Call 06/15/2026   2,032,413 
 1,500,000   University of Illinois, AGM, 4.00%, 04/1/2036, Call 04/1/2028   1,462,387 
 615,000   Upper Illinois River Valley Development Authority, 5.00%, 01/1/2045, Call 01/1/20274   526,392 
 1,000,000   Will County Community High School District No. 210 Lincoln-Way, AGM-CR, 5.00%, 01/1/2027   1,000,000 
     Will County Community High School District No. 210 Lincoln-Way, BAM     
 550,000   0.00%, 01/1/2031   408,728 
 250,000   0.00%, 01/1/2032   177,605 
 750,000   Wonder Lake Village Special Service Area No. 1, 4.50%, 03/1/2034, Call 03/1/2025   674,665 
         98,467,500 
     INDIANA — 1.0%     
 1,450,000   City of Fishers Sewage Works Revenue, BAM, 4.00%, 07/1/2047, Call 07/1/2031   1,333,650 
     Indiana Finance Authority     
 1,000,000   3.00%, 11/1/2030   886,189 
 1,000,000   3.00%, 11/1/2030   886,189 
 3,000,000   4.00%, 11/1/2033, Call 11/1/2027   3,043,074 
 1,960,000   Michigan City School Building Corp., 5.00%, 01/15/2025   2,014,621 
 500,000   Town of Shoals, 7.25%, 11/1/2043, Call 11/1/20233   506,626 
         8,670,349 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     IOWA — 0.4%     
     Iowa Finance Authority     
$1,520,000   4.75%, 08/1/2042, Call 02/6/2023  $1,431,180 
 1,000,000   5.00%, 12/1/2050, Call 12/1/2029   934,436 
 4,655,000   Iowa Tobacco Settlement Authority, 0.00%, 06/1/2065, Call 06/1/2031   504,309 
 500,000   PEFA, Inc., 5.00%, 09/1/2049, Call 06/1/20261   512,100 
         3,382,025 
     KENTUCKY — 0.8%     
     Kentucky Economic Development Finance Authority     
 200,000   5.00%, 06/1/2037, Call 06/1/2027   205,226 
 1,100,000   5.00%, 07/1/2040, Call 07/1/2025   1,081,597 
 1,350,000   5.00%, 06/1/2045, Call 06/1/2027   1,354,739 
 765,000   Kentucky Municipal Power Agency, NATL, 5.00%, 09/1/2032, Call 09/1/2026   816,127 
 2,600,000   Kentucky Public Energy Authority, 4.00%, 01/1/2049, Call 10/1/20241   2,581,503 
 1,000,000   Paducah Electric Plant Board, AGM, 5.00%, 10/1/2035, Call 10/1/2026   1,077,794 
         7,116,986 
     LOUISIANA — 1.4%     
 1,165,000   Ascension Parish Industrial Development Board, Inc., 6.00%, 07/1/2036, Call 07/1/2023   1,169,117 
 1,500,000   Jefferson Sales Tax District, AGM, 5.00%, 12/1/2037, Call 12/1/2027   1,577,021 
 1,205,000   Louisiana Local Government Environmental Facilities & Community Development Authority, 5.00%, 10/1/2041, Call 10/1/2027   1,235,991 
 1,000,000   Louisiana Local Government Environmental Facilities & Community Development Authority, AGM, 5.00%, 10/1/2043, Call 10/1/2027   1,022,011 
     Louisiana Public Facilities Authority     
 500,000   8.13%, 12/15/2033, Call 12/15/2023   505,811 
 1,000,000   5.00%, 05/15/2035, Call 05/15/2025   1,028,229 
 885,000   6.50%, 07/1/2036, Call 07/1/20233 4   890,675 
 1,400,000   5.00%, 07/1/2042, Call 07/1/2027   1,432,699 
     New Orleans Aviation Board     
 500,000   5.00%, 10/1/2035, Call 10/1/2028   535,972 
 1,500,000   5.00%, 01/1/2048, Call 01/1/20273   1,482,632 
 1,260,000   Port New Orleans Board of Commissioners, AGM, 5.00%, 04/1/2038, Call 04/1/20283   1,286,148 
         12,166,306 
     MAINE — 0.8%     
     Maine Health & Higher Educational Facilities Authority     
 1,000,000   5.00%, 07/1/2028, Call 07/1/2027   1,075,214 
 1,615,000   5.00%, 07/1/2035, Call 07/1/2027   1,694,801 
 700,000   5.00%, 07/1/2035, Call 07/1/2027   734,588 
     Maine Health & Higher Educational Facilities Authority, AGM     
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     MAINE (Continued)     
$500,000   4.00%, 07/1/2036, Call 07/1/2031  $506,274 
 500,000   4.00%, 07/1/2039, Call 07/1/2031   496,057 
 1,510,000   Maine Municipal Bond Bank, 5.00%, 11/1/2031, Call 11/1/2027   1,661,606 
 500,000   Town of Rumford, 6.88%, 10/1/2026, Call 02/6/20233   502,255 
         6,670,795 
     MARYLAND — 1.7%     
     City of Baltimore     
 2,500,000   5.00%, 07/1/2036, Call 01/1/2027   2,656,236 
 1,500,000   5.00%, 09/1/2042, Call 09/1/2027   1,343,885 
 1,330,000   County of Prince George's, 7.00%, 08/1/2048, Call 11/1/2026   1,403,399 
 1,600,000   Howard County Housing Commission, 5.00%, 06/1/2044, Call 06/1/2024   1,614,488 
 1,000,000   Maryland Economic Development Corp., 5.00%, 06/1/2049, Call 06/1/20293   1,009,411 
     Maryland Health & Higher Educational Facilities Authority     
 2,700,000   5.00%, 08/15/2038, Call 08/15/2023   2,709,042 
 1,000,000   5.00%, 07/1/2040, Call 07/1/2025   1,008,945 
 1,065,000   5.00%, 05/15/2045, Call 05/15/2027   1,087,549 
 500,000   5.00%, 07/1/2045, Call 07/1/2025   500,933 
 1,000,000   4.00%, 07/1/2048, Call 01/1/2028   916,280 
 340,000   Maryland Stadium Authority, 5.00%, 05/1/2047, Call 05/1/2028   380,256 
         14,630,424 
     MASSACHUSETTS — 0.5%     
 120,000   Collegiate Charter School of Lowell, 5.00%, 06/15/2039, Call 06/15/2026   117,106 
 1,000,000   Commonwealth of Massachusetts Transportation Fund Revenue, 5.00%, 06/1/2049, Call 06/1/2029   1,062,583 
     Massachusetts Development Finance Agency     
 1,000,000   4.00%, 07/1/2044, Call 01/1/2029   846,955 
 1,000,000   5.00%, 08/15/2045, Call 08/15/2025   1,010,449 
     Massachusetts Educational Financing Authority     
 1,000,000   5.00%, 07/1/20283   1,066,412 
 200,000   4.25%, 07/1/2046, Call 07/1/20263   182,243 
         4,285,748 
     MICHIGAN — 2.5%     
 500,000   Detroit Downtown Development Authority, AGM, 5.00%, 07/1/2043, Call 07/1/2024   501,022 
 685,000   Grand Rapids Public Schools, AGM, 5.00%, 05/1/2024   704,047 
 1,000,000   Great Lakes Water Authority Sewage Disposal System Revenue, 5.00%, 07/1/2035, Call 07/1/2026   1,049,464 
     Michigan Finance Authority     
 275,000   5.00%, 06/1/2029, Call 02/6/2023   239,233 
 1,165,000   5.00%, 07/1/2031, Call 07/1/2024   1,178,183 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     MICHIGAN (Continued)     
$2,500,000   5.00%, 10/1/2033, Call 10/1/2024  $2,551,887 
 1,000,000   5.00%, 07/1/2034, Call 07/1/2025   1,030,033 
 500,000   5.00%, 07/1/2035, Call 07/1/2025   514,297 
 1,270,000   5.00%, 09/1/2038, Call 09/1/2031   1,351,673 
 1,000,000   5.00%, 07/1/2039, Call 07/1/2024   1,002,327 
 1,000,000   5.00%, 11/15/2041, Call 11/15/2026   1,021,351 
 2,000,000   4.00%, 02/15/2044, Call 08/15/2029   1,864,660 
 1,450,000   Michigan Finance Authority, NATL, 5.00%, 07/1/2036, Call 07/1/2024   1,481,639 
 1,000,000   Michigan Finance Authority, SAW, 4.00%, 11/1/2048, Call 11/1/2028   917,161 
 3,000,000   Michigan State Building Authority, 5.00%, 04/15/2041, Call 10/15/2026   3,116,744 
 250,000   Renaissance Public School Academy, 6.00%, 05/1/2037, Call 02/6/2023   249,262 
 890,000   State of Michigan Trunk Line Revenue, 4.00%, 11/15/2046, Call 11/15/2031   837,611 
 500,000   Summit Academy, 6.38%, 11/1/2035, Call 02/6/2023   449,170 
 1,500,000   Wayne County Airport Authority, 5.00%, 12/1/2037, Call 12/1/2027   1,579,079 
         21,638,843 
     MINNESOTA — 0.2%     
 250,000   City of Deephaven, 5.25%, 07/1/2040, Call 07/1/2025   246,472 
 70,000   City of Minneapolis, 5.00%, 12/1/2037, Call 12/1/20274   67,571 
 1,720,000   City of Shakopee Senior Housing Revenue, 5.85%, 11/1/2058, Call 05/1/20251 4   1,691,383 
         2,005,426 
     MISSOURI — 1.1%     
 75,000   Cape Girardeau County Industrial Development Authority, 4.00%, 03/1/2046, Call 03/1/2031   63,093 
 780,000   City of Kansas City, 5.00%, 09/1/2027   850,495 
     City of Kansas City Sanitary Sewer System Revenue     
 600,000   5.00%, 01/1/2030, Call 01/1/2028   664,813 
 685,000   5.00%, 01/1/2032, Call 01/1/2028   757,480 
 350,000   5.00%, 01/1/2034, Call 01/1/2028   386,484 
     Hannibal Industrial Development Authority     
 640,000   5.00%, 10/1/2042, Call 10/1/2027   650,999 
 445,000   5.00%, 10/1/2047, Call 10/1/2027   450,128 
     Health & Educational Facilities Authority of the State of Missouri     
 1,000,000   5.00%, 11/15/2043, Call 05/15/2028   1,028,435 
 350,000   4.00%, 11/15/2049, Call 11/15/2027   309,380 
 1,000,000   4.00%, 06/1/2053, Call 06/1/2030   885,682 
     Kansas City Industrial Development Authority     
 980,000   5.00%, 03/1/2037, Call 03/1/20293   1,016,105 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     MISSOURI (Continued)     
$1,020,000   5.00%, 03/1/2039, Call 03/1/20293  $1,050,641 
 1,400,000   Metropolitan St. Louis Sewer District, 5.00%, 05/1/2033, Call 05/1/2025   1,458,249 
         9,571,984 
     NEBRASKA — 0.3%     
 1,350,000   Central Plains Energy Project, 4.00%, 12/1/2049, Call 05/1/20251   1,346,805 
 1,000,000   Lyons-Decatur Northeast Schools, AGM, 5.50%, 12/15/2052, Call 07/15/2027   1,077,048 
 500,000   Omaha Public Power District, 5.25%, 02/1/2052, Call 02/1/2032   552,598 
         2,976,451 
     NEVADA — 1.5%     
 240,000   City of Carson City, 5.00%, 09/1/2037, Call 09/1/2027   244,863 
 800,000   Clark County School District, AGM, 5.00%, 06/15/2031, Call 06/15/2030   907,920 
     County of Clark     
 500,000   2.10%, 06/1/2031   403,672 
 1,520,000   5.00%, 06/1/2043, Call 06/1/2028   1,613,097 
 1,000,000   Henderson Public Improvement Trust, 5.50%, 01/1/2034, Call 07/1/2024   1,037,153 
     Las Vegas Convention & Visitors Authority     
 1,000,000   5.00%, 07/1/2043, Call 07/1/2028   1,041,956 
 750,000   4.00%, 07/1/2049, Call 07/1/2028   669,467 
     Las Vegas Valley Water District     
 1,000,000   5.00%, 06/1/2033, Call 12/1/2024   1,038,184 
 2,025,000   5.00%, 06/1/2039, Call 12/1/2024   2,079,157 
 2,000,000   5.00%, 06/1/2041, Call 06/1/2026   2,086,864 
 1,000,000   State of Nevada, 4.00%, 05/1/2033, Call 05/1/2031   1,064,426 
 595,000   State of Nevada Department of Business & Industry, 5.00%, 12/15/2035, Call 12/15/20254   586,072 
         12,772,831 
     NEW HAMPSHIRE — 0.2%     
 478,944   New Hampshire Business Finance Authority, 4.13%, 01/20/2034   464,702 
     New Hampshire Health and Education Facilities Authority Act     
 1,120,000   5.00%, 07/1/2037, Call 07/1/2027   1,136,113 
 215,000   5.00%, 08/1/2037, Call 02/1/2028   227,193 
         1,828,008 
     NEW JERSEY — 3.4%     
     New Jersey Economic Development Authority     
 170,000   5.13%, 09/15/2023, Call 02/6/20233   170,431 
 890,000   3.13%, 07/1/2029, Call 07/1/2027   873,310 
 1,000,000   3.38%, 07/1/2030, Call 07/1/2027   967,021 
 100,000   5.00%, 07/15/2032, Call 07/15/2027   103,353 
 500,000   5.00%, 07/1/2033, Call 07/1/2027   521,332 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     NEW JERSEY (Continued)     
$280,000   6.00%, 10/1/2034, Call 10/1/20244  $282,174 
 880,000   5.00%, 06/15/2036, Call 12/15/2026   910,442 
 1,050,000   5.25%, 06/15/2040, Call 06/15/2025   1,066,190 
 350,000   6.30%, 10/1/2049, Call 10/1/20244   351,843 
 1,000,000   New Jersey Economic Development Authority, AMBAC, 5.50%, 09/1/2024   1,037,501 
 1,000,000   New Jersey Educational Facilities Authority, 5.00%, 06/15/2025, Call 06/15/2024   1,025,247 
 1,175,000   New Jersey Health Care Facilities Financing Authority, 5.00%, 07/1/2046, Call 07/1/2025   1,183,473 
     New Jersey Higher Education Student Assistance Authority     
 500,000   5.00%, 12/1/2028, Call 06/1/20283   538,846 
 855,000   4.25%, 12/1/2047, Call 12/1/20263   853,584 
 3,595,000   New Jersey Housing & Mortgage Finance Agency, 3.15%, 10/1/20243   3,561,556 
     New Jersey Transportation Trust Fund Authority     
 1,800,000   0.00%, 12/15/2030   1,311,988 
 1,850,000   5.00%, 12/15/2035, Call 12/15/2028   1,946,662 
 500,000   5.00%, 06/15/2040, Call 12/15/2030   518,037 
 500,000   4.00%, 06/15/2042, Call 06/15/2032   448,314 
 2,000,000   5.25%, 06/15/2043, Call 12/15/2028   2,078,727 
 805,000   5.00%, 06/15/2044, Call 06/15/2024   807,455 
 3,800,000   5.00%, 06/15/2048, Call 12/15/2032   3,864,776 
 250,000   5.50%, 06/15/2050, Call 12/15/2032   267,567 
 1,750,000   New Jersey Turnpike Authority, 5.25%, 01/1/2052, Call 01/1/2033   1,896,564 
 1,000,000   South Jersey Port Corp., 5.00%, 01/1/2037, Call 01/1/20283   1,016,703 
 350,000   South Jersey Transportation Authority, 5.00%, 11/1/2041, Call 11/1/2032   354,542 
 1,610,000   Tobacco Settlement Financing Corp., 5.00%, 06/1/2036, Call 06/1/2028   1,655,766 
         29,613,404 
     NEW MEXICO — 0.2%     
 810,000   Mesa Del Sol Public Improvement District No. 1, 7.00%, 10/1/2033, Call 10/1/2023   794,940 
 1,020,000   Volterra Public Improvement District, 6.75%, 10/1/2033, Call 10/1/2024   977,842 
         1,772,782 
     NEW YORK — 5.4%     
 450,000   Build New York City Resource Corp., 5.00%, 04/15/2043, Call 04/15/20234   417,477 
 1,035,000   City of Long Beach , 5.00%, 09/1/2027   1,089,306 
     City of New York     
 1,210,000   4.00%, 08/1/2042, Call 08/1/2031   1,160,285 
 1,000,000   5.25%, 09/1/2042, Call 09/1/2032   1,112,761 
     Hempstead Town Local Development Corp.     
 1,000,000   5.66%, 02/1/2044, Call 02/1/2030   967,703 
 1,000,000   6.24%, 02/1/2047, Call 02/1/2027   1,022,248 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     NEW YORK (Continued)     
$1,000,000   4.60%, 02/1/2051, Call 02/1/2030  $739,799 
     Metropolitan Transportation Authority     
 1,000,000   5.25%, 11/15/2031, Call 11/15/2025   1,027,299 
 2,000,000   5.00%, 11/15/2033, Call 05/15/2028   2,051,115 
 650,000   Nassau County Local Economic Assistance Corp., 5.00%, 07/1/2034, Call 07/1/2024   662,727 
     New York City Municipal Water Finance Authority     
 1,000,000   5.00%, 06/15/2048, Call 06/15/2030   1,058,400 
 1,000,000   5.25%, 06/15/2052, Call 12/15/2032   1,096,205 
     New York City Transitional Finance Authority Building Aid Revenue, SAW     
 1,000,000   4.00%, 07/15/2034, Call 07/15/2031   1,030,334 
 750,000   3.00%, 07/15/2047, Call 07/15/2030   584,844 
 1,000,000   New York City Transitional Finance Authority Future Tax Secured Revenue, 4.00%, 11/1/2041, Call 11/1/2029   957,558 
 2,025,000   New York City Water & Sewer System, 5.00%, 06/15/2048, Call 12/15/2027   2,109,284 
 615,000   New York Counties Tobacco Trust VI, 5.63%, 06/1/2035   626,202 
     New York Liberty Development Corp.     
 1,000,000   5.25%, 10/1/2035   1,099,535 
 2,000,000   5.38%, 11/15/2040, Call 11/15/20244   1,947,255 
 730,000   3.00%, 02/15/2042, Call 02/15/2030   567,081 
 1,000,000   5.00%, 11/15/2044, Call 11/15/20244   910,712 
 1,500,000   7.25%, 11/15/2044, Call 11/15/20244   1,507,558 
     New York State Dormitory Authority     
 1,000,000   4.00%, 07/1/2040, Call 07/1/2029   683,066 
 1,000,000   5.00%, 03/15/2041, Call 03/15/2029   1,058,761 
 1,000,000   5.00%, 02/15/2045, Call 02/15/2025   1,026,086 
 500,000   4.00%, 07/1/2048, Call 07/1/2031   456,557 
 560,000   New York State Dormitory Authority, NATL, 5.75%, 07/1/2027   598,475 
     New York Transportation Development Corp.     
 2,000,000   5.00%, 07/1/2046, Call 07/1/20243   1,917,376 
 1,750,000   5.25%, 01/1/2050, Call 07/1/20243   1,703,002 
 1,000,000   New York Transportation Development Corp., AGM, 4.00%, 07/1/2037, Call 07/1/20243   914,072 
     Onondaga Civic Development Corp.     
 235,000   5.00%, 07/1/2040, Call 07/1/2025   235,841 
 500,000   5.00%, 07/1/2045, Call 07/1/2025   497,370 
 1,200,000   Onondaga County Trust for Cultural Resources, 5.00%, 12/1/2043, Call 12/1/2029   1,302,827 
     Port Authority of New York & New Jersey     
 2,000,000   5.00%, 09/1/2032, Call 09/1/20243   2,037,855 
 4,535,000   5.00%, 10/15/2041, Call 10/15/2025   4,716,527 
 375,000   Suffolk County Water Authority, 3.00%, 06/1/2045, Call 06/1/2030   304,556 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     NEW YORK (Continued)     
     Triborough Bridge & Tunnel Authority     
$1,500,000   5.00%, 11/15/2045, Call 11/15/2025  $1,543,859 
 1,000,000   5.50%, 05/15/2052, Call 11/15/2032   1,134,812 
 1,000,000   Triborough Bridge & Tunnel Authority Sales Tax Revenue, 5.25%, 05/15/2052, Call 11/15/2032   1,096,373 
 970,000   TSASC, Inc., 5.00%, 06/1/2045, Call 06/1/2027   872,189 
 250,000   Utility Debt Securitization Authority, 5.00%, 12/15/2031, Call 12/15/2023   254,677 
 750,000   Westchester County Local Development Corp., 5.50%, 05/1/2042, Call 05/1/2024   752,777 
 810,000   Western Nassau County Water Authority, 4.00%, 04/1/2051, Call 04/1/2031   742,828 
 290,000   Yonkers Economic Development Corp., 5.00%, 10/15/2049, Call 10/15/2029   256,477 
         47,852,051 
     NORTH CAROLINA — 0.6%     
 1,380,000   City of Charlotte NC Water & Sewer System Revenue, 4.00%, 07/1/2035, Call 07/1/2028   1,426,537 
 1,000,000   Greater Asheville Regional Airport Authority, AGM, 5.50%, 07/1/2052, Call 07/1/20323   1,057,216 
     North Carolina Medical Care Commission     
 2,000,000   5.00%, 12/1/2033, Call 02/6/2023   2,000,170 
 715,000   4.00%, 09/1/2046, Call 09/1/2028   578,038 
         5,061,961 
     NORTH DAKOTA — 0.3%     
 500,000   County of Burleigh, 4.38%, 04/15/2026   489,732 
 2,000,000   County of Ward, 5.00%, 06/1/2053, Call 06/1/2028   1,727,019 
         2,216,751 
     OHIO — 1.3%     
 1,000,000   Buckeye Tobacco Settlement Financing Authority, 5.00%, 06/1/2055, Call 06/1/2030   869,287 
 830,000   City of Akron, 5.00%, 12/1/2026   858,325 
 1,000,000   City of Middleburg Heights, 4.00%, 08/1/2041, Call 08/1/2031   928,729 
 710,000   Cleveland-Cuyahoga County Port Authority, 5.00%, 12/1/2037, Call 12/1/2027   719,478 
     County of Hamilton     
 1,000,000   5.00%, 11/15/2041   1,124,185 
 2,000,000   5.00%, 09/15/2045, Call 03/15/2030   1,962,769 
 500,000   County of Tuscarawas, 6.00%, 03/1/2045, Call 03/1/2025   495,117 
 2,330,000   Indian Creek Local School District, School District Credit Program, 5.00%, 11/1/2055, Call 11/1/2028   2,419,899 
 1,500,000   Ohio Water Development Authority, 5.00%, 12/1/2034, Call 12/1/2026   1,618,123 
         10,995,912 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     OKLAHOMA — 0.7%     
$940,000   Coweta Public Works Authority, 4.00%, 08/1/2027, Call 08/1/2026  $972,407 
 1,000,000   Garfield County Educational Facilities Authority, 5.00%, 09/1/2031, Call 09/1/2026   1,060,780 
 1,040,000   Muskogee Industrial Trust, 4.00%, 09/1/2032, Call 09/1/2029   1,065,739 
 1,000,000   Oklahoma City Airport Trust, 5.00%, 07/1/2043, Call 07/1/20283   1,019,798 
 2,000,000   Oklahoma Development Finance Authority, AGM, 4.00%, 08/15/2048, Call 08/15/2028   1,868,319 
         5,987,043 
     OREGON — 0.5%     
 1,325,000   County of Clackamas, 3.00%, 06/1/2028, Call 02/6/2023   1,325,152 
 1,000,000   Medford Hospital Facilities Authority, 4.00%, 08/15/2039, Call 08/15/2030   982,550 
     Oregon State Facilities Authority     
 1,000,000   5.00%, 04/1/2045, Call 04/1/2025   1,012,836 
 45,000   5.00%, 10/1/2046, Call 10/1/2026   48,517 
 720,000   5.00%, 10/1/2046, Call 10/1/2026   724,341 
 450,000   Port of Portland Airport Revenue, 4.00%, 07/1/2040, Call 07/1/2030   435,910 
         4,529,306 
     PENNSYLVANIA — 3.0%     
 305,000   Allegheny County Higher Education Building Authority, 5.00%, 10/15/2037, Call 10/15/2027   304,302 
 95,000   Allegheny County Industrial Development Authority, 6.00%, 07/15/2038, Call 07/15/2023   95,812 
 250,000   Allentown Neighborhood Improvement Zone Development Authority, 5.00%, 05/1/2042, Call 05/1/2032   244,502 
 100,000   Chester County Industrial Development Authority, 5.00%, 10/1/2034, Call 10/1/2024   101,242 
 1,000,000   City of Philadelphia Airport Revenue, 4.00%, 07/1/2040, Call 07/1/20303   924,393 
     Commonwealth Financing Authority     
 1,825,000   5.00%, 06/1/2034, Call 06/1/2028   1,967,203 
 1,000,000   5.00%, 06/1/2035, Call 06/1/2028   1,070,047 
 315,000   Delaware Valley Regional Finance Authority, 5.75%, 07/1/2032   381,512 
 265,000   East Hempfield Township Industrial Development Authority, 5.00%, 12/1/2039, Call 12/1/2025   272,300 
 650,000   Montgomery County Higher Education & Health Authority, 5.00%, 09/1/2037, Call 09/1/2028   680,532 
 1,500,000   Moon Area School District, SAW, 5.00%, 11/15/2028, Call 11/15/2024   1,557,712 
     Pennsylvania Economic Development Financing Authority     
 250,000   6.40%, 12/1/2038, Call 09/1/20255   125,000 
 300,000   10.00%, 12/1/2040, Call 06/1/20304   268,363 
 300,000   10.00%, 12/1/2040, Call 06/1/20303 4   268,363 
 1,000,000   4.00%, 04/15/2045, Call 04/15/2030   888,935 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     PENNSYLVANIA (Continued)     
$1,000,000   Pennsylvania Economic Development Financing Authority, AGM, 5.75%, 12/31/2062, Call 12/31/20323  $1,048,784 
 1,000,000   Pennsylvania Higher Educational Facilities Authority, 5.00%, 08/15/2027   1,099,570 
     Pennsylvania Turnpike Commission     
 2,000,000   5.00%, 12/1/2037, Call 12/1/2027   2,088,136 
 500,000   5.00%, 12/1/2041, Call 06/1/2026   515,257 
 1,000,000   5.00%, 12/1/2043, Call 12/1/2028   1,045,804 
 1,000,000   4.00%, 12/1/2045, Call 12/1/2030   927,981 
 1,000,000   5.00%, 12/1/2047, Call 12/1/2027   1,034,031 
 500,000   5.25%, 12/1/2052, Call 12/1/2032   537,798 
     Philadelphia Authority for Industrial Development     
 795,000   5.00%, 05/1/2027, Call 05/1/2026   853,739 
 500,000   8.00%, 01/1/2033   500,000 
 500,000   6.88%, 06/15/2033, Call 06/15/2023   506,708 
 850,000   4.00%, 11/1/2037, Call 11/1/2029   822,094 
 1,000,000   6.60%, 11/1/2047, Call 11/1/2027   925,514 
     School District of Philadelphia, SAW     
 5,000   5.00%, 09/1/2038, Call 09/1/2026   5,410 
 995,000   5.00%, 09/1/2038, Call 09/1/2026   1,026,649 
 1,000,000   Scranton-Lackawanna Health & Welfare Authority, 5.00%, 06/1/2046, Call 06/1/2026   883,050 
 2,090,000   Southeastern Pennsylvania Transportation Authority, 5.00%, 06/1/2029, Call 06/1/2027   2,266,812 
 275,000   Susquehanna Area Regional Airport Authority, 5.00%, 01/1/2035, Call 01/1/20283   285,593 
 500,000   Upper Merion Area School District, SAW, 5.00%, 01/15/2034, Call 01/15/2026   535,049 
 500,000   Williamsport Area School District, AGM SAW, 4.00%, 03/1/2035, Call 09/1/2024   497,775 
         26,555,972 
     PUERTO RICO — 0.7%     
     Commonwealth of Puerto Rico     
 30,863   5.25%, 07/1/2023   30,867 
 18,548   0.00%, 07/1/2024   17,198 
 61,865   5.38%, 07/1/2025   62,375 
 61,305   5.63%, 07/1/2027   62,536 
 1,060,310   5.63%, 07/1/2029   1,086,682 
 1,558,579   5.75%, 07/1/2031   1,614,761 
 55,548   4.00%, 07/1/2033, Call 07/1/2031   48,283 
 71,485   0.00%, 07/1/2033, Call 07/1/2031   38,760 
 49,930   4.00%, 07/1/2035, Call 07/1/2031   42,139 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     PUERTO RICO (Continued)     
$42,853   4.00%, 07/1/2037, Call 07/1/2031  $35,166 
 263,008   0.00%, 11/1/20431   115,395 
 60,594   4.00%, 07/1/2046, Call 07/1/2031   45,613 
 2,000,000   Puerto Rico Electric Power Authority, 5.00%, 07/1/20425   1,465,000 
 2,000,000   Puerto Rico Sales Tax Financing Corp. Sales Tax Revenue, 5.00%, 07/1/2058, Call 07/1/2028   1,820,860 
         6,485,635 
     RHODE ISLAND — 0.4%     
 1,535,000   Rhode Island Commerce Corp., 5.00%, 07/1/2041, Call 07/1/2026   1,560,448 
 1,000,000   Rhode Island Health & Educational Building Corp., 6.00%, 09/1/2033, Call 09/1/2023   1,019,858 
 615,000   Rhode Island Health and Educational Building Corp., 4.00%, 11/1/2050, Call 11/1/2031   574,693 
         3,154,999 
     SOUTH CAROLINA — 1.2%     
 2,000,000   Lexington County Health Services District, Inc., 5.00%, 11/1/2041, Call 05/1/2026   2,033,424 
 500,000   South Carolina Jobs-Economic Development Authority, 6.00%, 02/1/2035, Call 02/6/20233 4 5   200,000 
 2,000,000   South Carolina Ports Authority, 5.00%, 07/1/2038, Call 07/1/20283   2,075,848 
     South Carolina Public Service Authority     
 1,500,000   5.75%, 12/1/2047, Call 12/1/2032   1,631,712 
 730,000   5.00%, 12/1/2055, Call 06/1/2025   707,716 
 1,015,000   5.25%, 12/1/2055, Call 12/1/2025   1,020,535 
 3,000,000   University of South Carolina, 5.00%, 05/1/2043, Call 05/1/2027   3,170,623 
         10,839,858 
     SOUTH DAKOTA — 0.1%     
 1,235,000   South Dakota Health & Educational Facilities Authority, 5.00%, 11/1/2045, Call 11/1/2025   1,202,237 
           
     TENNESSEE — 1.0%     
 1,220,000   Chattanooga-Hamilton County Hospital Authority, 5.00%, 10/1/2044, Call 10/1/2024   1,131,792 
     Knox County Health Educational & Housing Facility Board     
 365,000   0.00%, 05/1/2025, Call 11/1/20244 5   171,550 
 45,000   0.00%, 05/1/20345   21,150 
 1,000,000   Metropolitan Nashville Airport Authority, 5.25%, 07/1/2047, Call 07/1/20323   1,045,295 
     Tennergy Corp.     
 1,500,000   4.00%, 12/1/2051, Call 06/1/20281   1,466,675 
 1,000,000   5.50%, 10/1/2053, Call 09/1/20301   1,058,552 
     Tennessee Energy Acquisition Corp.     
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     TENNESSEE (Continued)     
$1,000,000   5.63%, 09/1/2026  $1,046,966 
 2,500,000   4.00%, 11/1/2049, Call 08/1/20251   2,482,311 
         8,424,291 
     TEXAS — 6.7%     
 85,000   Arlington Higher Education Finance Corp., 5.00%, 08/15/2048, Call 08/15/2027   74,953 
 320,000   Austin Convention Enterprises, Inc., 5.00%, 01/1/2034, Call 01/1/2027   327,067 
     Central Texas Regional Mobility Authority     
 1,070,000   0.00%, 01/1/2027   919,420 
 2,000,000   5.00%, 01/1/2043, Call 01/1/2028   2,055,234 
 1,000,000   City of Austin Airport System Revenue, 5.00%, 11/15/2035, Call 11/15/20263   1,033,452 
 1,000,000   City of El Paso, 5.00%, 08/15/2036, Call 08/15/2026   1,058,668 
 1,255,000   City of Garland TX Electric Utility System Revenue, 4.00%, 03/1/2038, Call 03/1/2031   1,235,380 
 250,000   City of Hackberry, 4.50%, 09/1/2038, Call 09/1/2027   235,252 
 1,000,000   City of Houston, 4.00%, 03/1/2033, Call 03/1/2027   1,035,765 
     City of Houston Airport System Revenue     
 600,000   4.75%, 07/1/20243   598,771 
 750,000   5.00%, 07/15/2035, Call 07/15/20253   723,164 
 1,500,000   4.00%, 07/15/2041, Call 07/15/20293   1,275,731 
 1,100,000   City of Houston Combined Utility System Revenue, 5.00%, 11/15/2029   1,252,128 
 1,280,000   City of Mesquite Waterworks & Sewer System Revenue, 3.00%, 03/1/2033, Call 03/1/2030   1,214,456 
 750,000   City of Sugar Land, 5.00%, 02/15/2029, Call 02/15/2027   814,984 
     Clifton Higher Education Finance Corp.     
 500,000   5.00%, 08/15/2042, Call 02/6/2023   500,296 
 100,000   4.40%, 12/1/2047, Call 02/6/2023   91,183 
 1,500,000   4.60%, 12/1/2049, Call 12/1/2024   1,399,803 
 1,000,000   Dallas Fort Worth International Airport, 4.00%, 11/1/2036, Call 11/1/2030   1,003,941 
 1,000,000   Danbury Higher Education Authority, Inc., 6.50%, 08/15/2043, Call 08/15/2023   1,019,548 
 260,000   Decatur Hospital Authority, 6.63%, 09/1/2031, Call 09/1/2023   265,853 
 1,065,000   El Paso Downtown Development Corp., 5.00%, 08/15/2026   1,136,505 
 1,000,000   Grand Parkway Transportation Corp., 5.00%, 10/1/2038, Call 04/1/2028   1,062,888 
 1,050,000   Hale Center Education Facilities Corp., 5.00%, 03/1/2032   1,110,381 
 1,300,000   Harlandale Independent School District, PSF, 5.25%, 08/15/2042, Call 08/15/2032   1,476,260 
 3,000,000   Harris County Cultural Education Facilities Finance Corp., 4.00%, 10/1/2036, Call 10/1/2029   3,047,017 
 1,110,000   Harris County Toll Road Authority, 5.00%, 08/15/2043, Call 02/15/2028   1,166,174 
 500,000   Mission Economic Development Corp., 4.63%, 10/1/2031, Call 01/25/20233 4   482,013 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     TEXAS (Continued)     
     New Hope Cultural Education Facilities Finance Corp.     
$600,000   4.75%, 04/1/2034, Call 04/1/2024  $613,583 
 1,000,000   5.00%, 04/1/2039, Call 04/1/2024   1,025,664 
 2,505,000   5.00%, 07/1/2047, Call 07/1/20255   2,129,250 
     New Hope Cultural Education Facilities Finance Corp., AGM     
 375,000   5.00%, 07/1/2038, Call 07/1/2027   383,480 
 1,500,000   5.00%, 04/1/2046, Call 04/1/2024   1,506,520 
 2,200,000   5.00%, 07/1/2048, Call 07/1/2027   2,212,963 
 500,000   North Texas Tollway Authority, 4.13%, 01/1/2039, Call 01/1/2032   496,465 
 1,000,000   Port of Corpus Christi Authority of Nueces County, 5.00%, 12/1/2036, Call 12/1/2028   1,088,505 
 1,000,000   Red River Health Facilities Development Corp., 7.25%, 12/15/2047, Call 02/6/20235   610,000 
 290,000   SA Energy Acquisition Public Facility Corp., 5.50%, 08/1/2027   306,277 
 1,750,000   San Antonio Independent School District, PSF, 5.00%, 08/15/2048, Call 08/15/2025   1,816,405 
     San Antonio Water System     
 1,000,000   5.00%, 05/15/2043, Call 05/15/2028   1,050,361 
 1,000,000   5.25%, 05/15/2052, Call 05/15/2032   1,091,534 
 500,000   Southwest Higher Education Authority, Inc., 4.00%, 10/1/2042, Call 10/1/2023   478,743 
 1,000,000   Tarrant County Cultural Education Facilities Finance Corp., 4.20%, 09/1/2025, Call 09/1/2023   1,007,633 
 1,620,000   Texas City Industrial Development Corp., 4.13%, 12/1/2045, Call 02/4/2025   1,418,005 
     Texas Municipal Gas Acquisition & Supply Corp. I     
 555,000   5.25%, 12/15/2025   579,696 
 1,060,000   6.25%, 12/15/2026   1,116,100 
     Texas Private Activity Bond Surface Transportation Corp.     
 500,000   4.00%, 12/31/2037, Call 12/31/2029   461,556 
 1,110,000   5.00%, 12/31/2040, Call 12/31/20253   1,112,265 
 4,000,000   Texas Public Finance Authority, 4.00%, 02/1/2037, Call 02/1/2029   4,073,090 
 1,125,000   Texas Transportation Commission, 0.00%, 08/1/2040, Call 02/1/2029   440,589 
     Texas Water Development Board     
 1,500,000   4.00%, 10/15/2037, Call 10/15/2027   1,515,460 
 2,000,000   4.00%, 08/1/2038, Call 08/1/2030   2,023,566 
 1,000,000   5.00%, 08/1/2041, Call 08/1/2032   1,110,660 
     Town of Westlake     
 175,000   5.50%, 09/1/2025   173,830 
 200,000   6.13%, 09/1/2035, Call 09/1/2025   200,004 
 1,200,000   Uptown Development Authority, 5.00%, 09/1/2036, Call 09/1/2026   1,218,427 
         58,876,918 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     UTAH — 0.4%     
 1,000,000   City of Salt Lake City UT Airport Revenue, BAM, 4.00%, 07/1/2039, Call 07/1/20313  939,326 
 750,000   Intermountain Power Agency, 4.00%, 07/1/2036, Call 07/1/2031   773,970 
 1,000,000   Salt Lake City Corp. Airport Revenue, 5.25%, 07/1/2048, Call 07/1/20283   1,023,805 
     Utah Charter School Finance Authority     
 800,000   4.50%, 07/15/20274   774,820 
 500,000   5.38%, 06/15/2048, Call 06/15/20274   458,252 
         3,970,173 
     VIRGIN ISLANDS — 0.1%     
 1,000,000   Matching Fund Special Purpose Securitization Corp., 5.00%, 10/1/2039, Call 10/1/2032   1,002,984 
     VIRGINIA — 1.0%     
 715,000   Celebrate North Community Development Authority, 4.69%, 03/1/20185   464,750 
 1,000,000   Chesapeake Bay Bridge & Tunnel District, 5.00%, 07/1/2046, Call 07/1/2026   1,002,858 
 1,000,000   Chesapeake Hospital Authority, 4.00%, 07/1/2037, Call 07/1/2029   984,708 
 1,000,000   Fairfax County Industrial Development Authority, 3.50%, 05/15/2039, Call 05/15/2032   907,104 
 30,000   Federal Home Loan Mortgage Corporation Multifamily Variable Rate Demand Certificates, 4.15%, 04/15/2025, Call 02/6/20233 4   30,017 
 1,000,000   Hampton Roads Transportation Accountability Commission, 5.50%, 07/1/2057, Call 01/1/2028   1,137,818 
     Virginia Small Business Financing Authority     
 2,225,000   4.00%, 01/1/2038, Call 01/1/20323   2,068,051 
 500,000   4.00%, 01/1/2040, Call 01/1/20323   447,673 
 1,750,000   5.00%, 12/31/2052, Call 06/30/20273   1,656,509 
         8,699,488 
     WASHINGTON — 3.1%     
 2,000,000   Clark County School District No. 114 Evergreen, School Bond Gty, 4.00%, 12/1/2034, Call 06/1/2028   2,085,581 
 1,500,000   County of King Sewer Revenue, 5.00%, 07/1/2047, Call 01/1/2025   1,567,855 
 705,000   King County Public Hospital District No. 4, 5.00%, 12/1/2038, Call 12/1/2025   695,910 
 2,215,000   King County School District No. 210 Federal Way, School Bond Gty, 4.00%, 12/1/2033, Call 12/1/2027   2,305,582 
     King County School District No. 406 Tukwila, School Bond Gty     
 2,190,000   4.00%, 12/1/2030, Call 06/1/2026   2,285,057 
 1,560,000   4.00%, 12/1/2031, Call 06/1/2026   1,626,318 
 65,000   Ocean Shores Local Improvement District, 7.25%, 02/1/2031   71,746 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
    

WASHINGTON (Continued) 

     
     Port of Seattle     
$1,500,000   5.00%, 04/1/2044, Call 04/1/20293  $1,538,070 
 500,000   5.00%, 08/1/2047, Call 08/1/20323   514,779 
 1,360,000   Port of Tacoma, 5.00%, 12/1/20313   1,527,606 
     State of Washington     
 1,695,000   5.00%, 08/1/2036, Call 08/1/2029   1,868,058 
 1,630,000   5.00%, 07/1/2042, Call 07/1/2029   1,736,680 
 1,710,000   5.00%, 07/1/2043, Call 07/1/2029   1,818,168 
 1,500,000   5.00%, 07/1/2044, Call 07/1/2029   1,591,405 
 195,000   Tacoma Consolidated Local Improvement Districts, 5.75%, 04/1/2043, Call 01/20/2023   183,222 
     Washington Health Care Facilities Authority     
 500,000   5.00%, 08/15/2032, Call 08/15/2027   523,155 
 1,820,000   5.00%, 03/1/2038, Call 03/1/2025   1,845,551 
 500,000   5.00%, 08/1/2038, Call 08/1/2029   517,267 
     Washington State Convention Center Public Facilities District     
 1,210,000   3.00%, 07/1/2043, Call 07/1/2031   906,026 
 1,550,000   3.00%, 07/1/2058, Call 07/1/2031   988,749 
 1,000,000   Yakima County School District No. 208 West Valley, School Bond Gty, 4.00%, 12/1/2034, Call 12/1/2028   1,042,009 
         27,238,794 
     WEST VIRGINIA — 0.2%     
 1,000,000   Monongalia County Commission Special District, 5.50%, 06/1/2037, Call 06/1/20274   1,007,718 
 1,000,000   West Virginia Parkways Authority, 5.00%, 06/1/2037, Call 06/1/2028   1,079,875 
         2,087,593 
     WISCONSIN — 1.3%     
     Public Finance Authority     
 665,000   4.00%, 07/1/2027, Call 07/1/2024   660,160 
 500,000   5.75%, 02/1/2035, Call 02/1/2025   471,319 
 535,000   5.00%, 07/1/2037, Call 07/1/2024   536,968 
 1,000,000   6.50%, 12/1/2037, Call 12/1/20274   830,493 
 500,000   5.00%, 06/15/2039, Call 06/15/20264   455,969 
 500,000   5.00%, 02/1/2042, Call 02/1/2032   483,226 
 1,000,000   5.00%, 07/1/2042, Call 02/6/20233   968,430 
 165,000   6.00%, 07/15/2042, Call 01/25/2023   165,060 
 450,000   5.50%, 03/1/2045, Call 03/1/20254   453,608 
 1,000,000   5.63%, 07/1/2045, Call 07/1/20254   1,004,251 
 345,000   6.38%, 01/1/2048, Call 01/1/20284   212,175 
     Public Finance Authority, ACA     
 7,186   0.00%, 01/1/20464 5   162 
 7,085   0.00%, 01/1/20474 5   149 
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Principal
Amount
      Value 
     MUNICIPAL BONDS (Continued)     
     WISCONSIN (Continued)     
$7,034   0.00%, 01/1/20484 5  $141 
 6,984   0.00%, 01/1/20494 5   133 
 6,882   0.00%, 01/1/20504 5   122 
 7,540   0.00%, 01/1/20514 5   128 
 194,116       0.00%, 07/1/20514 5   89,895 
 7,490   0.00%, 01/1/20524 5   119 
 7,388   0.00%, 01/1/20534 5   112 
 7,338   0.00%, 01/1/20544 5   105 
 7,237   0.00%, 01/1/20554 5   98 
 7,135   0.00%, 01/1/20564 5   93 
 7,085   0.00%, 01/1/20574 5   87 
 6,984   0.00%, 01/1/20584 5   82 
 6,933   0.00%, 01/1/20594 5   77 
 6,882   0.00%, 01/1/20604 5   72 
 6,781   0.00%, 01/1/20614 5   68 
 6,730   0.00%, 01/1/20624 5   64 
 6,629   0.00%, 01/1/20634 5   60 
 6,579   0.00%, 01/1/20644 5   57 
 6,528   0.00%, 01/1/20654 5   53 
 6,427   0.00%, 01/1/20664 5   48 
 83,706   0.00%, 01/1/20674 5   573 
 500,000   Public Finance Authority, BAM, 5.38%, 07/1/2047, Call 07/1/2032   536,924 
 1,000,000   University of Wisconsin Hospitals & Clinics, 5.00%, 04/1/2043, Call 10/1/2028   1,034,804 
           
 3,000,000   Village of Mount Pleasant, MORAL OBLIG, 5.00%, 04/1/2048, Call 04/1/2028   3,107,062 
         11,012,947 
     TOTAL MUNICIPAL BONDS     
     (Cost $739,439,775)   713,247,303 
     COMMON STOCK — 0.3%     
 32,339   Energy Harbor Corp.*   2,554,781 
     TOTAL COMMON STOCK     
     (Cost $965,130)   2,554,781 
           
     EXCHANGE-TRADED FUND — 1.6%     
 136,576   iShares National Muni Bond ETF   14,411,499 
     TOTAL EXCHANGE-TRADED FUND     
     (Cost $14,621,617)   14,411,499 

 

Number
of Shares
        
     CLOSED-END MUTUAL FUNDS — 0.6%     
 18,027   BlackRock Long-Term Municipal Advantage Trust   169,454 
 41,753   BlackRock MuniVest Fund, Inc.   292,689 

 

 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

Number

 of Shares

      Value 
     CLOSED-END MUTUAL FUNDS (Continued)     
 29,817   BlackRock MuniYield Quality Fund, Inc.  $345,877 
 55,299   BNY Mellon Municipal Income, Inc.   346,172 
 127,431   BNY Mellon Strategic Municipal Bond Fund, Inc.   736,551 
 20,359   BNY Mellon Strategic Municipals, Inc.   124,394 
 11,444   DTF Tax-Free Income, Inc.   124,854 
 66,923   DWS Municipal Income Trust   576,207 
 17,462   Invesco Advantage Municipal Income Trust II   149,999 
 17,008   Invesco Municipal Opportunity Trust   168,549 
 21,119   Invesco Municipal Trust   209,078 
 10,819   Invesco Trust for Investment Grade Municipals   108,731 
 6,391   Neuberger Berman Municipal Fund, Inc.   66,594 
 37,184   Pioneer Municipal High Income Advantage Fund, Inc.   301,190 
 111,999   Pioneer Municipal High Income Fund, Inc.   960,951 
 78,923   Western Asset Managed Municipals Fund, Inc.   794,755 
 6,466   Western Asset Municipal Partners Fund, Inc.   75,264 
     TOTAL CLOSED-END MUTUAL FUNDS     
     (Cost $7,760,733)   5,551,309 
     PRIVATE FUNDS6 — 12.7%     
     MacKay Municipal Credit Opportunities Fund, LP* 7   25,438,326 
     MacKay Municipal Opportunities Fund, LP* 8   85,979,230 
     TOTAL PRIVATE FUNDS     
     (Cost $94,657,836)   111,417,556 
     SHORT-TERM INVESTMENT — 2.4%     
 20,973,718   JPMorgan Prime Money Market Fund - Institutional Shares, 4.42%9   20,984,205 
     TOTAL SHORT-TERM INVESTMENT     
     (Cost $20,981,382)   20,984,205 
           
     TOTAL INVESTMENTS — 98.9%     
     (Cost $878,426,473)   868,166,653 
           
     Other assets less liabilities — 1.1%   9,752,456 
     TOTAL NET ASSETS — 100.0%  $877,919,109 

 

*Non-income producing security.
1Term rate bond subject to mandatory purchase at the end of the initial term, which then may be converted into another term or interest rate.  The rate is the coupon as of the end of the reporting period.
2Floating rate security.
3Alternative Minimum Tax eligible security.
4Investment is exempt from registration under Rule 144A of the Securities Act of 1933, as amended. These investments may only be resold in transactions exempt from registration, which are normally those transactions with qualified institutional buyers.
5Defaulted security.  A security whose issuer has failed to fully pay principal and/or interest when due, or is under the protection of bankruptcy.
6The Private Funds are generally offered in private placement transactions and as such are often illiquid and generally restricted as to resale.
7The investment was acquired on 3/1/2016. The cost is $19,752,111.
8The investment was acquired on 3/1/2016. The cost is $74,905,725.
9The rate is the annualized seven-day yield at period end.
 
 

ASPIRIANT RISK-MANAGED MUNICIPAL BOND FUND 

SCHEDULE OF INVESTMENTS - Continued 

As of December 31, 2022 (Unaudited)

 

 

AGC — Assured Guaranty Corporation

AGM — Assured Guaranty Municipal

AGM-CR — Assured Guaranty Municipal Custodial Receipts

AMBAC — American Municipal Bond Assurance Corporation

BAM — Build America Mutual Assurance Company

ETF — Exchange-Traded Fund

LP — Limited Partnership

NATL — National Public Finance Guarantee Corporation

NATL-RE — National Rural Utilities Cooperative Finance Corporation Reinsurance

OBLG — Obligation

PSF — Permanent School Fund Guaranteed

SAW — State Aid Withholding

SIFMA — Securities Industry and Financial Markets Association

 

At December 31, 2022, the Aspiriant Risk-Managed Municipal Bond Fund had futures contracts as set forth below:

 

Interest Rate Futures Contracts:             Unrealized 
   Number of      Notional       Appreciation 
Expiration Date  Contracts   Description  Amount   Value   (Depreciation) 
Short Futures Contracts:                       
March 2023   5   U.S. Treasury Long Bond  $(654,519)  $(626,719)  $27,800 
March 2023   40   U.S. Treasury Ultra Futures Bond   (4,877,169)   (4,731,250)   145,919 
           $(5,531,688)  $(5,357,969)  $173,719 

 

 

 

ASPIRIANT RISK-MANAGED TAXABLE BOND FUND 

SCHEDULE OF INVESTMENTS 

As of December 31, 2022 (Unaudited)

 

 

Number
of Shares
      Value 
     OPEN-END MUTUAL FUNDS — 91.8%     
     CORE — 81.2%     
 3,798,396   DoubleLine Total Return Bond Fund - I Class  $33,311,931 
 6,946,362   MetWest Total Return Bond Fund - Plan Class1   58,905,148 
 2,719,248   PIMCO Income Fund - Institutional Class   28,144,221 
 2,003,930   River Canyon Total Return Bond Fund - Institutional Class2   19,959,149 
 183,685   Vanguard Total Bond Market Index Fund - Admiral Shares   1,741,334 
         142,061,783 
     OPPORTUNISTIC — 10.6%     
 960,646   GMO Emerging Country Debt Fund, Class VI   16,657,603 
 369,816   Vanguard High-Yield Corporate Fund - Admiral Shares   1,904,551 
         18,562,154 
     TOTAL OPEN-END MUTUAL FUNDS     
     (Cost $190,151,131)   160,623,937 
     PRIVATE FUND3 — 5.6%     
     OPPORTUNISTIC — 5.6%     
     AG Direct Lending Fund IV Annex, LP4   9,733,240 
     TOTAL PRIVATE FUND     
     (Cost $9,434,233)   9,733,240 
     SHORT-TERM INVESTMENT — 2.6%     
 4,609,586   JPMorgan Prime Money Market Fund - Institutional Shares, 4.42%5   4,611,891 
     TOTAL SHORT-TERM INVESTMENT     
     (Cost $4,609,981)   4,611,891 
     TOTAL INVESTMENTS — 100.0%     
     (Cost $204,195,345)   174,969,068 
     Other assets less liabilities — 0.0%6   61,683 
     TOTAL NET ASSETS — 100.0%  $175,030,751 

 

1Fair value of this security exceeds 25% of the Fund's net assets. Additional information for this security, including the financial statements is available from the SEC’s EDGAR database at www.sec.gov.
2Affiliated investments for which ownership exceeds 5% of the investment's capital.
3The Private Funds are generally offered in private placement transactions and as such are often illiquid and generally restricted as to resale.
4The investment was acquired on 4/8/2022. The cost is $9,434,233.
5The rate is the annualized seven-day yield at period end.
6Rounds to less than 0.05%.

 

LP — Limited Partnership