NPORT-EX 2 MondrianScheduleF.htm


Gallery Trust
Mondrian International Value Equity Fund
 
July 31, 2020 (Unaudited)


SCHEDULE OF INVESTMENTS
           
COMMON STOCK — 98.3%
           
   
Number of
Shares
   
Value
(U.S. $)
 
AUSTRALIA — 1.1%
           
QBE Insurance Group Ltd 
   
763,308
   
$
5,404,366
 
Total Australia
           
5,404,366
 
                 
CHINA — 2.1%
               
China Mobile Ltd 
   
1,516,000
     
10,386,643
 
Total China
           
10,386,643
 
                 
DENMARK — 1.2%
               
ISS A/S * 
   
379,918
     
5,840,269
 
Total Denmark
           
5,840,269
 
                 
FRANCE — 7.9%
               
Cie de Saint-Gobain SA * 
   
446,429
     
16,391,448
 
Sanofi SA 
   
161,084
     
16,802,314
 
Societe Generale SA * 
   
338,830
     
5,182,251
 
Total France
           
38,376,013
 
                 
GERMANY — 9.0%
               
Allianz SE 
   
68,258
     
14,168,924
 
Continental AG 
   
160,440
     
15,603,085
 
Deutsche Telekom AG 
   
262,535
     
4,380,583
 
Evonik Industries AG 
   
353,306
     
9,517,991
 
Total Germany
           
43,670,583
 
                 
HONG KONG — 6.7%
               
CK Hutchison Holdings Ltd 
   
2,232,000
     
14,557,837
 
Jardine Matheson Holdings Ltd 
   
137,915
     
5,652,624
 
WH Group Ltd 
   
13,927,500
     
12,381,517
 
Total Hong Kong
           
32,591,978
 
                 
ITALY — 4.6%
               
Enel SpA 
   
1,496,071
     
13,620,832
 

1

Gallery Trust
Mondrian International Value Equity Fund
 
July 31, 2020 (Unaudited)



COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
ITALY (continued)
               
Eni SpA 
   
969,343
   
$
8,610,622
 
Total Italy
           
22,231,454
 
                 
JAPAN — 27.3%
               
Coca-Cola Bottlers Japan Holdings Inc
   
447,900
     
6,664,234
 
FUJIFILM Holdings Corp * 
   
293,800
     
13,092,009
 
Fujitsu Ltd 
   
69,200
     
9,230,589
 
Honda Motor Co Ltd * 
   
530,200
     
12,642,056
 
Isuzu Motors Ltd * 
   
426,000
     
3,458,948
 
Kyocera Corp 
   
265,000
     
14,630,013
 
Mitsubishi Electric Corp 
   
740,200
     
9,583,337
 
Nippon Telegraph & Telephone Corp
   
294,900
     
6,807,313
 
Otsuka Holdings Co Ltd 
   
260,600
     
10,758,320
 
Sekisui Chemical Co Ltd 
   
587,900
     
7,953,076
 
Sony Corp 
   
111,200
     
8,483,786
 
Takeda Pharmaceutical Co Ltd 
   
382,700
     
13,579,153
 
Tokio Marine Holdings Inc 
   
207,352
     
8,689,372
 
Toyota Industries Corp 
   
146,600
     
7,395,437
 
Total Japan
           
132,967,643
 
                 
NETHERLANDS — 3.4%
               
Ahold Delhaize NV 
   
149,437
     
4,307,450
 
Royal Dutch Shell PLC Class B 
   
882,591
     
12,486,640
 
Total Netherlands
           
16,794,090
 
                 
SINGAPORE — 3.9%
               
Singapore Telecommunications Ltd
   
3,159,902
     
5,729,304
 
United Overseas Bank Ltd 
   
935,040
     
13,160,525
 
Total Singapore
           
18,889,829
 
                 
SPAIN — 2.5%
               
Banco Santander SA * 
   
4,049,030
     
8,626,242
 

2

Gallery Trust
Mondrian International Value Equity Fund
 
July 31, 2020 (Unaudited)

COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
SPAIN (continued)
               
Naturgy Energy Group SA 
   
186,292
   
$
3,454,038
 
Total Spain
           
12,080,280
 
                 
SWEDEN — 2.7%
               
Telia Co AB 
   
3,393,112
     
13,170,080
 
Total Sweden
           
13,170,080
 
                 
SWITZERLAND — 5.7%
               
ABB Ltd 
   
549,700
     
13,686,150
 
Novartis AG 
   
119,597
     
9,869,319
 
Zurich Insurance Group AG 
   
11,242
     
4,132,700
 
Total Switzerland
           
27,688,169
 
                 
TAIWAN — 2.6%
               
Taiwan Semiconductor Manufacturing Co Ltd
   
825,000
     
11,983,051
 
Taiwan Semiconductor Manufacturing Co Ltd ADR
   
9,859
     
777,777
 
Total Taiwan
           
12,760,828
 
                 
UNITED KINGDOM — 17.6%
               
BP PLC 
   
2,687,362
     
9,679,133
 
GlaxoSmithKline PLC 
   
673,803
     
13,492,995
 
Kingfisher PLC 
   
3,755,970
     
11,893,200
 
Lloyds Banking Group PLC * 
   
28,082,402
     
9,662,355
 
SSE PLC 
   
929,291
     
15,825,949
 
Tesco PLC 
   
4,473,083
     
12,711,814
 
Travis Perkins PLC 
   
230,449
     
3,343,884
 
WPP PLC 
   
1,186,508
     
8,821,852
 
Total United Kingdom
           
85,431,182
 
                 
Total Common Stock
               
(Cost $546,770,341)  
           
478,283,407
 


3

Gallery Trust
Mondrian International Value Equity Fund
 
July 31, 2020 (Unaudited)

 PREFERRED STOCK — 0.1%
               
   
Number of
Shares
   
Value
(U.S. $)
 
GERMANY — 0.1%
               
Bayerische Motoren Werke AG, 4.66%
   
13,304
   
$
682,650
 
                 
Total Preferred Stock
               
(Cost $963,310)  
           
682,650
 
Total Value of Securities — 98.4%
               
(Cost $547,733,651) 
         
$
478,966,057
 

Percentages are based on Net Assets of $486,738,517.
*
Non-income producing security.

ADR — American Depositary Receipt
Ltd. — Limited
PLC — Public Limited Company

The following is a list of the inputs used as of July 31, 2020, in valuing the Fund’s investments carried at market value:
Investments in Securities
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Common Stock
                       
Australia
 
$
5,404,366
   
$
   
$
   
$
5,404,366
 
China
   
10,386,643
     
     
     
10,386,643
 
Denmark
   
5,840,269
     
     
     
5,840,269
 
France
   
38,376,013
     
     
     
38,376,013
 
Germany
   
43,670,583
     
     
     
43,670,583
 
Hong Kong
   
26,939,354
     
5,652,624
     
     
32,591,978
 
Italy
   
22,231,454
     
     
     
22,231,454
 
Japan
   
132,967,643
     
     
     
132,967,643
 
Netherlands
   
16,794,090
     
     
     
16,794,090
 
Singapore
   
     
18,889,829
     
     
18,889,829
 
Spain
   
12,080,280
     
     
     
12,080,280
 
Sweden
   
13,170,080
     
     
     
13,170,080
 
Switzerland
   
27,688,169
     
     
     
27,688,169
 
Taiwan
   
12,760,828
     
     
     
12,760,828
 
United Kingdom
   
85,431,182
     
     
     
85,431,182
 
Total Common Stock
   
453,740,954
     
24,542,453
     
     
478,283,407
 
Preferred Stock
   
682,650
     
     
     
682,650
 
Total Investments in Securities
 
$
454,423,604
   
$
24,542,453
   
$
   
$
478,966,057
 



4


Gallery Trust
Mondrian International Value Equity Fund
 
July 31, 2020 (Unaudited)


For the period ended July 31, 2020, there were no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to Note 2 of the Fund’s most recent financial statements.

MON-QH-001-0900










5


Gallery Trust
Mondrian Emerging Markets Value Equity Fund
 
July 31, 2020 (Unaudited)



SCHEDULE OF INVESTMENTS
           
COMMON STOCK — 94.4%
           
   
Number of
Shares
   
Value
(U.S. $)
 
BRAZIL — 3.9%
           
Hypera SA * 
   
59,800
   
$
413,031
 
Itau Unibanco Holding SA ADR 
   
47,939
     
244,489
 
Suzano Papel e Celulose SA * 
   
34,400
     
278,547
 
Total Brazil
           
936,067
 
                 
CHINA — 40.3%
               
Alibaba Group Holding Ltd * 
   
63,392
     
2,012,107
 
Baidu ADR * 
   
4,216
     
503,390
 
China Medical System Holdings Ltd
   
301,000
     
364,681
 
China Merchants Bank Class H 
   
176,500
     
823,255
 
China Mobile Ltd 
   
57,000
     
390,527
 
CSPC Pharmaceutical Group 
   
291,200
     
610,933
 
Hangzhou Hikvision Digital Technology Class A
   
71,200
     
377,346
 
Hengan International Group Co Ltd
   
43,000
     
360,909
 
Jiangsu Yanghe Brewery Joint-Stock Class A
   
29,912
     
578,783
 
Midea Group Co Ltd Class A 
   
80,903
     
831,691
 
NetEase Inc Sponsored ADR 
   
482
     
220,959
 
Ping An Insurance Group Co of China Ltd Class H
   
111,500
     
1,181,135
 
Tencent Holdings 
   
15,100
     
1,040,398
 
Tingyi Cayman Islands Holding Corp Class H
   
264,000
     
491,873
 
Total China
           
9,787,987
 
                 
HONG KONG — 3.8%
               
NetEase Inc 
   
16,236
     
294,960
 
Sands China Ltd 
   
50,000
     
193,541
 
WH Group Ltd 
   
483,500
     
429,831
 
Total Hong Kong
           
918,332
 
                 
INDIA — 11.9%
               
Bajaj Auto Ltd 
   
5,219
     
209,628
 
HCL Technologies Ltd 
   
67,237
     
633,792
 
Housing Development Finance Corp Ltd
   
19,628
     
467,517
 


6


Gallery Trust
Mondrian Emerging Markets Value Equity Fund
 
July 31, 2020 (Unaudited)



COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
INDIA (continued)
               
Indiabulls Housing Finance Ltd 
   
51,313
   
$
130,319
 
Infosys Ltd Sponsored ADR 
   
43,412
     
557,844
 
Reliance Industries 
   
32,699
     
903,487
 
Total India
           
2,902,587
 
                 
INDONESIA — 1.5%
               
Bank Rakyat Indonesia Persero Tbk PT
   
1,718,900
     
371,133
 
Total Indonesia
           
371,133
 
                 
MEXICO — 2.1%
               
Fibra Uno Administracion SA de CV REIT
   
321,248
     
259,683
 
Grupo Financiero Banorte SAB de CV Class O *
   
70,145
     
251,236
 
Total Mexico
           
510,919
 
                 
NETHERLANDS — 1.3%
               
Unilever NV 
   
5,440
     
320,916
 
Total Netherlands
           
320,916
 
                 
PERU — 1.0%
               
Credicorp Ltd 
   
1,984
     
252,305
 
Total Peru
           
252,305
 
                 
RUSSIA — 3.8%
               
Gazprom PJSC Sponsored ADR 
   
100,385
     
491,886
 
LUKOIL PJSC Sponsored ADR 
   
6,180
     
423,145
 
Total Russia
           
915,031
 
                 
SOUTH AFRICA — 2.0%
               
Mondi PLC 
   
27,470
     
490,112
 
Total South Africa
           
490,112
 
                 
SOUTH KOREA — 8.7%
               
Korea Zinc Co Ltd 
   
422
     
146,641
 
LG Chem Ltd 
   
420
     
200,235
 

7


Gallery Trust
Mondrian Emerging Markets Value Equity Fund
 
July 31, 2020 (Unaudited)




COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
SOUTH KOREA (continued)
               
Samsung Electronics Co Ltd 
   
16,296
   
$
791,957
 
Samsung Electronics Co Ltd GDR
   
286
   
$
347,478
 
Samsung Fire & Marine Insurance Co Ltd
   
1,607
     
231,325
 
Shinhan Financial Group Co Ltd 
   
15,329
     
387,278
 
Total South Korea
           
2,104,914
 
                 
TAIWAN — 11.7%
               
ASE Technology Holding Co Ltd 
   
213,000
     
549,687
 
CTBC Financial Holding 
   
256,000
     
169,534
 
Hon Hai Precision Industry 
   
163,000
     
436,232
 
Taiwan Semiconductor Manufacturing Co Ltd ADR
   
21,554
     
1,700,395
 
Total Taiwan
           
2,855,848
 
                 
UNITED KINGDOM — 0.9%
               
Unilever PLC 
   
3,791
     
226,932
 
Total United Kingdom
           
226,932
 
                 
UNITED STATES — 1.5%
               
Consumer Discretionary — 1.2%
               
Yum China Holdings * 
   
5,651
     
289,557
 
                 
Information Technology — 0.3%
               
Micron Technology * 
   
1,257
     
62,919
 
                 
Total United States
           
352,476
 
                 
Total Common Stock
               
(Cost $19,440,650)  
           
22,945,559
 

8


Gallery Trust
Mondrian Emerging Markets Value Equity Fund
 
July 31, 2020 (Unaudited)




PREFERRED STOCK — 2.6%
               
   
Number of
Shares
   
Value
(U.S. $)
 
BRAZIL — 0.1%
               
Itausa 
   
11,500
   
$
23,522
 
                 
SOUTH KOREA — 2.5%
               
Samsung Electronics Co Ltd** 
   
14,598
     
606,514
 
                 
Total Preferred Stock
               
(Cost $492,620)  
           
630,036
 
Total Value of Securities — 97.0%
               
(Cost $19,933,270) 
         
$
23,575,595
 

Percentages are based on Net Assets of $24,314,245.
*
Non-income producing security.
**
There is currently no rate available.

ADR — American Depositary Receipt
CV — Convertible Security
GDR — Global Depositary Receipt
Ltd. — Limited
PLC — Public Limited Company
REIT — Real Estate Investment Trust






9


Gallery Trust
Mondrian Emerging Markets Value Equity Fund
 
July 31, 2020 (Unaudited)



The following is a list of the inputs used as of July 31, 2020, in valuing the Fund’s investments carried at market value:
Investments in Securities
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Common Stock
                       
Brazil
 
$
936,067
   
$
   
$
   
$
936,067
 
China
   
9,787,987
     
     
     
9,787,987
 
Hong Kong
   
918,332
     
     
     
918,332
 
India
   
2,902,587
     
     
     
2,902,587
 
Indonesia
   
     
371,133
     
     
371,133
 
Mexico
   
510,919
     
     
     
510,919
 
Netherlands
   
320,916
     
     
     
320,916
 
Peru
   
252,305
     
     
     
252,305
 
Russia
   
915,031
     
     
     
915,031
 
South Africa
   
490,112
     
     
     
490,112
 
South Korea
   
2,104,914
     
     
     
2,104,914
 
Taiwan
   
2,855,848
     
     
     
2,855,848
 
United Kingdom
   
226,932
     
     
     
226,932
 
United States
   
352,476
     
     
     
352,476
 
Total Common Stock
   
22,574,426
     
371,133
     
     
22,945,559
 
Preferred Stock
   
630,036
     
     
     
630,036
 
Total Investments in Securities
 
$
23,204,462
   
$
371,133
   
$
   
$
23,575,595
 

For the period ended July 31, 2020, there were no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to Note 2 of the Fund’s most recent financial statements.

MON-QH-001-0900

10


Gallery Trust
Mondrian International Government Fixed Income Fund
 
July 31, 2020 (Unaudited)



SCHEDULE OF INVESTMENTS
           
GLOBAL BONDS — 96.7%
           

Face Amount
(Local Currency)
   
Value
(U.S. $)
 
AUSTRALIA — 3.9%
           
Australia Government Bond
           
5.750%, 05/15/21 
AUD
155,000
   
$
115,503
 
4.750%, 04/21/27 
AUD
350,000
     
319,244
 
3.250%, 04/21/25 
AUD
226,000
     
183,002
 
3.000%, 03/21/47 
AUD
370,000
     
340,308
 
Total Australia
         
958,057
 
               
AUSTRIA — 4.3%
             
Republic of Austria Government Bond
             
6.250%, 07/15/27 
EUR
610,000
     
1,060,278
 
Total Austria
         
1,060,278
 
               
BELGIUM — 4.7%
             
Kingdom of Belgium Government Bond
             
1.000%, 06/22/26 (A) 
EUR
900,000
     
1,153,699
 
Total Belgium
         
1,153,699
 
               
CANADA — 2.0%
             
Canadian Government Bond
             
5.000%, 06/01/37 
CAD
224,000
     
280,518
 
1.500%, 06/01/26 
CAD
200,000
     
159,458
 
0.750%, 09/01/21 
CAD
50,000
     
37,545
 
Total Canada
         
477,521
 
               
FINLAND — 4.1%
             
Finland Government Bond
             
0.500%, 09/15/27 (A) 
EUR
799,000
     
1,008,099
 
Total Finland
         
1,008,099
 
               
FRANCE — 3.7%
             
French Republic Government Bond OAT
             
1.500%, 05/25/31 
EUR
300,000
     
418,720
 
0.500%, 05/25/25 
EUR
195,000
     
241,845
 


11


Gallery Trust
Mondrian International Government Fixed Income Fund
 
July 31, 2020 (Unaudited)

 


GLOBAL BONDS — continued
             
 
Face Amount
(Local Currency)
   
Value
(U.S. $)
 
FRANCE (continued)
             
Total Capital International
             
0.750%, 07/12/28 
EUR
200,000
   
$
244,745
 
Total France
         
905,310
 
               
GERMANY — 7.2%
             
Bundesrepublik Deutschland Bundesanleihe
             
2.500%, 07/04/44 
EUR
250,000
     
491,420
 
0.250%, 02/15/29 
EUR
125,000
     
158,605
 
Kreditanstalt fuer Wiederaufbau
             
2.050%, 02/16/26 
JPY
105,000,000
     
1,118,892
 
Total Germany
         
1,768,917
 
               
ITALY — 11.8%
             
Italy Buoni Poliennali Del Tesoro
             
4.750%, 09/01/44 (A) 
EUR
200,000
     
367,710
 
2.950%, 09/01/38 (A) 
EUR
600,000
     
855,081
 
2.000%, 02/01/28 
EUR
650,000
     
832,603
 
1.450%, 05/15/25 
EUR
308,000
     
379,535
 
0.050%, 04/15/21 
EUR
385,000
     
454,419
 
Total Italy
         
2,889,348
 
               
JAPAN — 19.8%
             
Japan Government Ten Year Bond
             
0.100%, 06/20/26 
JPY
20,000,000
     
191,433
 
Japan Government Thirty Year Bond
             
2.400%, 12/20/34 
JPY
90,000,000
     
1,112,419
 
0.300%, 06/20/46 
JPY
140,100,000
     
1,263,448
 
Japan Government Twenty Year Bond
             
1.600%, 06/20/30 
JPY
107,000,000
     
1,169,050
 
0.200%, 06/20/36 
JPY
120,000,000
     
1,119,841
 
Total Japan
         
4,856,191
 
               
KUWAIT — 1.1%
             
Kuwait International Government Bond
             
3.500%, 03/20/27 
USD
240,000
     
271,608
 
Total Kuwait
         
271,608
 
               


12


Gallery Trust
Mondrian International Government Fixed Income Fund
 
July 31, 2020 (Unaudited)

 


GLOBAL BONDS — continued
             
 
Face Amount
(Local Currency)
   
Value
(U.S. $)
 
MALAYSIA — 2.1%
             
Malaysia Government Bond
             
4.254%, 05/31/35 
MYR
900,000
   
$
239,868
 
4.181%, 07/15/24 
MYR
1,113,000
     
283,670
 
Total Malaysia
         
523,538
 
               
MEXICO — 2.8%
             
Mexican Bonos
             
8.500%, 11/18/2038 
MXN
423,000
     
22,940
 
8.500%, 05/31/29 
MXN
3,000,000
     
160,890
 
8.000%, 11/07/47 
MXN
10,000,000
     
511,593
 
Total Mexico
         
695,423
 
               
NETHERLANDS — 4.7%
             
Netherlands Government Bond
             
5.500%, 01/15/28 
EUR
94,056
     
161,597
 
2.750%, 01/15/47 (A) 
EUR
250,000
     
518,794
 
0.500%, 01/15/40 (A) 
EUR
250,000
     
331,406
 
0.250%, 07/15/29 (A) 
EUR
100,000
     
125,497
 
Total Netherlands
         
1,137,294
 
               
NEW ZEALAND — 4.7%
             
New Zealand Government Bond
             
5.500%, 04/15/23 
NZD
650,000
     
491,082
 
4.500%, 04/15/27 
NZD
550,000
     
461,064
 
2.750%, 04/15/37 
NZD
250,000
     
207,383
 
Total New Zealand
         
1,159,529
 
               
SUPRANATIONAL — 13.7%
             
Asian Development Bank
             
2.350%, 06/21/27 
JPY
100,000,000
     
1,109,646
 
European Financial Stability Facility
             
0.950%, 02/14/28 
EUR
890,000
     
1,158,324
 
European Investment Bank
             
2.150%, 01/18/27 
JPY
100,000,000
     
1,083,377
 
Total Supranational
         
3,351,347
 


13


Gallery Trust
Mondrian International Government Fixed Income Fund
 
July 31, 2020 (Unaudited)

 


GLOBAL BONDS — continued
             
 
Face Amount
(Local Currency)
   
Value
(U.S. $)
 
               
UNITED ARAB EMIRATES — 1.1%
             
MDGH - GMTN BV
             
2.875%, 11/07/29 
USD
256,000
   
$
277,998
 
Total United Arab Emirates
         
277,998
 
               
UNITED KINGDOM — 5.0%
             
HSBC Holdings
             
4.583%, 06/19/29 (B) 
USD
230,000
     
268,393
 
United Kingdom Gilt
             
4.500%, 09/07/34 
GBP
90,000
     
185,495
 
4.250%, 09/07/39 
GBP
350,000
     
769,436
 
Total United Kingdom
         
1,223,324
 
               
Total Global Bonds
             
(Cost $21,549,289)  
         
23,717,481
 

U.S. TREASURY OBLIGATIONS — 1.5%
             
United States Treasury Bond
             
2.750%, 08/15/42 
 
175,000
     
233,078
 
United States Treasury Notes
             
1.625%, 02/15/26 
 
120,000
     
128,864
 
Total U.S. Treasury Obligations
             
(Cost $279,401)  
         
361,942
 
Total Value of Securities — 98.2%
             
(Cost $21,828,690) 
       
$
24,079,423
 







14


Gallery Trust
Mondrian International Government Fixed Income Fund
 
July 31, 2020 (Unaudited)

 

A list of the open forward foreign currency exchange contracts held by the Fund at July 31, 2020 is as follows:
Counterparty
Maturity Date

Currency to Deliver
 

Currency to Receive
   
Unrealized
Appreciation
(Depreciation)
 
Brown Brothers Harriman
10/30/20
USD
 
1,556,306
 
EUR
 
1,326,000
   
$
8,703
 
Brown Brothers Harriman
10/30/20
USD
 
1,508,751
 
GBP
 
1,171,500
     
25,459
 
Brown Brothers Harriman
10/30/20
USD
 
510,817
 
MXN
 
11,396,000
     
(4,655
)
Brown Brothers Harriman
10/30/20
USD
 
489,875
 
NOK
 
4,470,000
     
1,378
 
Brown Brothers Harriman
10/30/20
USD
 
488,007
 
PLN
 
1,834,000
     
1,997
 
Brown Brothers Harriman
10/30/20
AUD
 
1,331,500
 
USD
 
950,445
     
(1,124
)
Brown Brothers Harriman
10/30/20
JPY
 
114,260,500
 
USD
 
1,086,736
     
6,104
 
Brown Brothers Harriman
10/30/20
NZD
 
1,744,000
 
USD
 
1,158,513
     
1,864
 
Net Unrealized Appreciation on Forward Foreign Currency Exchange Contracts
                   
$
39,726
 

Percentages are based on Net Assets of $24,518,290.
(A)
Securities sold within terms of a private placement memorandum, exempt from registration under Section 144A of the Securities Act of 1933, as amended, and may be sold only to dealers in that program or other “accredited investors.” The total value of securities as of July 31, 2020 was 4,360,286 and represents 17.8% on Net Assets.
(B)
Floating rate security - Rate disclosed is the rate in effect on July 31, 2020.

AUD — Australian Dollar
CAD — Canadian Dollar
EUR — Euro
GBP — Pound Sterling
JPY — Japanese Yen
MXN — Mexican Peso
MYR — Malaysian Ringgit
NOK — Norwegian Krone
NZD — New Zealand Dollar
PLN — Polish Zloty
USD — United States Dollar

15


Gallery Trust
Mondrian International Government Fixed Income Fund
 
July 31, 2020 (Unaudited)

 

The following is a list of the inputs used as of July 31, 2020, in valuing the Fund’s’ investments carried at market value
Investments in Securities
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Global Bonds
 
$
   
$
23,717,481
   
$
   
$
23,717,481
 
U.S. Treasury Obligations
   
128,864
     
233,078
     
     
361,942
 
Total Investments in Securities
 
$
128,864
   
$
23,950,559
   
$
   
$
24,079,423
 


Other Financial Instruments
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Forwards Contracts*
                       
Unrealized Appreciation
 
$
   
$
45,505
   
$
   
$
45,505
 
Unrealized Depreciation
   
     
(5,779
)
   
     
(5,779
)
Total Other Financial Instruments
 
$
   
$
39,726
   
$
   
$
39,726
 


* Forward foreign currency exchange contracts are valued at the unrealized appreciation (depreciation) on the instrument.
Amounts designated as “”are $0 or have been rounded to $0.
For the period ended July 31, 2020, there were no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to Note 2 of the Fund’s most recent financial statements.

MON-QH-001-0900


16


Gallery Trust
Mondrian U.S. Small Cap Equity Fund
 
July 31, 2020 (Unaudited)

 

SCHEDULE OF INVESTMENTS
           
COMMON STOCK — 99.0%
           
   
Number of
Shares
   
Value
(U.S. $)
 
UNITED STATES — 99.0%
           
Energy — 3.5%
           
Enviva Partners 
   
1,042
   
$
39,815
 
                 
Financials — 5.4%
               
Houlihan Lokey Inc Class A 
   
688
     
37,702
 
Moelis & Company Class A 
   
752
     
22,402
 
             
60,104
 
Health Care — 6.1%
               
AMN Healthcare Services Inc * 
   
714
     
39,227
 
iRadimed Corp * 
   
1,295
     
28,853
 
             
68,080
 
Industrials — 35.8%
               
AAR Corp * 
   
1,424
     
24,521
 
Astronics Corp * 
   
3,007
     
26,161
 
Barnes Group Inc 
   
823
     
30,344
 
Donaldson Company Inc 
   
538
     
26,007
 
Douglas Dynamics Inc 
   
902
     
31,886
 
EnerSys 
   
505
     
33,966
 
GrafTech International Ltd 
   
5,145
     
31,230
 
Luxfer Holdings PLC 
   
2,670
     
33,909
 
McGrath RentCorp 
   
650
     
37,713
 
Regal Beloit Corp 
   
308
     
28,327
 
Tetra Tech Inc 
   
291
     
25,797
 
Timken Company 
   
811
     
37,030
 
US Ecology Inc 
   
944
     
32,738
 
             
399,629
 
Information Technology — 21.1%
               
Avnet Inc 
   
1,133
     
30,274
 
Cabot Microelectronics Corp 
   
270
     
40,694
 
Comtech Telecommunications Corp
   
1,478
     
24,269
 

17


Gallery Trust
Mondrian U.S. Small Cap Equity Fund
 
July 31, 2020 (Unaudited)

 

COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
UNITED STATES (continued)
               
Information Technology (continued)
               
FLIR Systems Inc 
   
745
   
$
31,036
 
Maximus Inc 
   
538
     
39,925
 
NIC Inc 
   
1,461
     
32,025
 
Vishay Intertechnology Inc 
   
2,388
     
37,468
 
             
235,691
 
Materials — 18.3%
               
AptarGroup Inc 
   
288
     
33,178
 
Avient Corp 
   
1,712
     
40,917
 
Graphic Packaging Holding Co 
   
1,928
     
26,876
 
Greif Class A 
   
948
     
32,981
 
Innospec Inc 
   
487
     
36,608
 
PH Glatfelter Co 
   
2,113
     
33,660
 
             
204,220
 
Real Estate — 8.8%
               
Global Medical REIT Inc 
   
2,397
     
28,500
 
Landmark Infrastructure Partners LP
   
3,258
     
33,688
 
Physicians Realty Trust 
   
2,036
     
36,730
 
             
98,918
 
Total United States
           
1,106,457
 
                 
Total Common Stock
               
(Cost $1,185,566)  
           
1,106,457
 
Total Value of Securities — 99.0%
               
(Cost $1,185,566) 
         
$
1,106,457
 

Percentages are based on Net Assets of $1,117,252.
*
Non-income producing security.

L.P. — Limited Partnership
Ltd. — Limited
PLC — Public Limited Company



18


Gallery Trust
Mondrian U.S. Small Cap Equity Fund
 
July 31, 2020 (Unaudited)

 
As of July 31, 2020, all of the Fund’s investments were considered Level 1, in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. GAAP.
For the period ended July 31, 2020, there were no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to Note 2 of the Fund’s most recent financial statements.

MON-QH-001-0900




19


Gallery Trust
Mondrian Global Listed Infrastructure Fund
 
July 31, 2020 (Unaudited)

 

SCHEDULE OF INVESTMENTS
           
COMMON STOCK — 98.6%
           
   
Number of
Shares
   
Value
(U.S. $)
 
CANADA — 8.3%
           
Emera Inc 
   
1,499
   
$
62,390
 
Enbridge Inc 
   
1,719
     
55,018
 
Total Canada
           
117,408
 
                 
CHILE — 3.6%
               
Enel Americas 
   
324,971
     
50,420
 
Total Chile
           
50,420
 
                 
CHINA — 3.0%
               
Jiangsu Expressway Co Ltd Class H
   
40,000
     
42,889
 
Total China
           
42,889
 
                 
FRANCE — 7.9%
               
Rubis SCA 
   
1,058
     
49,801
 
Veolia Environnement SA 
   
2,714
     
61,734
 
Total France
           
111,535
 
                 
INDIA — 4.1%
               
Power Grid Corp of India Ltd 
   
24,361
     
58,059
 
Total India
           
58,059
 
                 
ITALY — 7.7%
               
Atlantia SpA * 
   
3,297
     
52,236
 
Snam SpA 
   
10,735
     
56,904
 
Total Italy
           
109,140
 
                 
JAPAN — 2.7%
               
West Japan Railway Co 
   
900
     
38,498
 
Total Japan
           
38,498
 
                 
MEXICO — 6.5%
               
Aeroportuario Centro Norte SAB de CV B Class B *
   
9,506
     
39,660
 

20


Gallery Trust
Mondrian Global Listed Infrastructure Fund
 
July 31, 2020 (Unaudited)

 


COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
MEXICO (continued)
               
Promotora y Operadora de Infraestructura
   
7,114
   
$
52,149
 
Total Mexico
           
91,809
 
                 
PORTUGAL — 4.2%
               
EDP - Energias de Portugal SA 
   
11,750
     
59,308
 
Total Portugal
           
59,308
 
                 
SPAIN — 4.4%
               
Naturgy Energy Group SA 
   
3,335
     
61,834
 
Total Spain
           
61,834
 
                 
UNITED KINGDOM — 7.1%
               
National Grid PLC 
   
4,091
     
48,218
 
SSE PLC 
   
3,016
     
51,363
 
Total United Kingdom
           
99,581
 
                 
UNITED STATES — 39.1%
               
Energy — 3.7%
               
Williams Co Inc 
   
2,720
     
52,034
 
                 
Industrials — 4.6%
               
Kansas City Southern 
   
380
     
65,303
 
                 
Utilities — 30.8%
               
Dominion Energy 
   
595
     
48,213
 
Duke Energy Corp 
   
738
     
62,538
 
Edison International 
   
975
     
54,278
 
Evergy Inc 
   
829
     
53,744
 
OGE Energy 
   
1,524
     
50,140
 
Pinnacle West Capital 
   
641
     
53,254
 
PPL Corporation 
   
2,399
     
63,861
 

21


Gallery Trust
Mondrian Global Listed Infrastructure Fund
 
July 31, 2020 (Unaudited)

 


COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
UNITED STATES (continued)
               
Utilities (continued)
               
Xcel Energy Inc 
   
715
   
$
49,364
 
             
435,392
 
Total United States
           
552,729
 
                 
Total Common Stock
               
(Cost $1,391,344)  
           
1,393,210
 

 RIGHTS — 0.1%
               
   
Number of
Rights
   
Value
(U.S. $)
 
EDP - Energias de Portugal, Expires 08/10/20
   
14,191
     
1,441
 
                 
Total Rights
               
(Cost $–)  
           
1,441
 
Total Value of Securities — 98.7%
               
(Cost $1,391,344) 
         
$
1,394,651
 

Percentages are based on Net Assets of $1,412,383.
*
Non-income producing security.

CV — Convertible Security
Ltd. — Limited
PLC — Public Limited Company

As of July 31, 2020, all of the Fund’s investments in securities were considered level 1, in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. GAAP.

22


Gallery Trust
Mondrian Global Listed Infrastructure Fund
 
July 31, 2020 (Unaudited)

 

For the period ended July 31, 2020, there were no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to Note 2 of the Fund’s most recent financial statements.

MON-QH-001-0900







23


Gallery Trust
Mondrian Global All Countries World Equity Fund
 
July 31, 2020 (Unaudited)

 

SCHEDULE OF INVESTMENTS
           
COMMON STOCK — 97.8%
           
   
Number of
Shares
   
Value
(U.S. $)
 
BRAZIL — 1.8%
           
Hypera SA * 
   
6,900
   
$
47,657
 
Total Brazil
           
47,657
 
                 
CHINA — 5.2%
               
Alibaba Group Holding Ltd * 
   
2,000
     
63,482
 
Midea Group Co Ltd Class A 
   
4,400
     
45,232
 
Ping An Insurance Group Co of China Ltd Class H
   
2,500
     
26,483
 
Total China
           
135,197
 
                 
DENMARK — 0.9%
               
ISS A/S * 
   
1,537
     
23,627
 
Total Denmark
           
23,627
 
                 
FRANCE — 5.3%
               
Sanofi SA 
   
768
     
80,108
 
Thales 
   
790
     
57,101
 
Total France
           
137,209
 
                 
GERMANY — 2.0%
               
Continental AG 
   
548
     
53,294
 
Total Germany
           
53,294
 
                 
HONG KONG — 1.1%
               
WH Group Ltd 
   
31,500
     
28,003
 
Total Hong Kong
           
28,003
 
                 
INDIA — 1.9%
               
Infosys Ltd Sponsored ADR 
   
1,574
     
20,226
 
Reliance Industries GDR 
   
545
     
29,178
 
Total India
           
49,404
 


24


Gallery Trust
Mondrian Global All Countries World Equity Fund
 
July 31, 2020 (Unaudited)

 

COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
ITALY — 1.7%
               
Enel SpA 
   
4,886
   
$
44,484
 
Total Italy
           
44,484
 
                 
JAPAN — 12.9%
               
Isuzu Motors Ltd * 
   
2,600
     
21,111
 
Kyocera Corp 
   
1,100
     
60,728
 
Matsumotokiyoshi Holdings 
   
800
     
26,565
 
Mitsubishi Electric Corp 
   
4,700
     
60,851
 
Otsuka Holdings Co Ltd 
   
1,700
     
70,181
 
Sekisui Chemical Co Ltd 
   
1,900
     
25,703
 
Sundrug Co Ltd 
   
2,100
     
71,616
 
Total Japan
           
336,755
 
                 
NETHERLANDS — 2.9%
               
Unilever NV 
   
1,264
     
74,566
 
Total Netherlands
           
74,566
 
                 
SINGAPORE — 1.0%
               
Singapore Telecommunications Ltd
   
14,400
     
25,991
 
Total Singapore
           
25,991
 
                 
SOUTH AFRICA — 0.5%
               
Mondi PLC 
   
761
     
13,578
 
Total South Africa
           
13,578
 
                 
SPAIN — 2.0%
               
Naturgy Energy Group SA 
   
2,753
     
51,043
 
Total Spain
           
51,043
 
                 
TAIWAN — 2.2%
               
Taiwan Semiconductor Manufacturing Co Ltd
   
4,000
     
58,100
 
Total Taiwan
           
58,100
 


25


Gallery Trust
Mondrian Global All Countries World Equity Fund
 
July 31, 2020 (Unaudited)

 

COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
UNITED KINGDOM — 6.3%
               
GlaxoSmithKline PLC 
   
3,428
   
$
68,646
 
Kingfisher PLC 
   
17,776
     
56,287
 
Lloyds Banking Group PLC * 
   
111,255
     
38,280
 
Total United Kingdom
           
163,213
 
                 
UNITED STATES — 50.0%
               
Consumer Discretionary — 1.4%
               
Tractor Supply 
   
249
     
35,542
 
                 
Consumer Staples — 5.1%
               
Colgate-Palmolive 
   
787
     
60,756
 
PepsiCo Inc 
   
518
     
71,308
 
             
132,064
 
Energy — 1.3%
               
Exxon Mobil 
   
799
     
33,622
 
                 
Financials — 4.3%
               
New York Community Bancorp 
   
4,276
     
45,026
 
Synchrony Financial 
   
1,045
     
23,126
 
Wells Fargo 
   
1,814
     
44,008
 
             
112,160
 
Health Care — 10.5%
               
AbbVie Inc 
   
376
     
35,687
 
Centene Corp* 
   
1,134
     
73,994
 
Gilead Sciences 
   
265
     
18,425
 
Johnson & Johnson 
   
577
     
84,104
 
Waters Corp* 
   
288
     
61,387
 
             
273,597
 
Industrials — 2.5%
               
Stericycle Inc* 
   
1,066
     
64,424
 


26


Gallery Trust
Mondrian Global All Countries World Equity Fund
 
July 31, 2020 (Unaudited)

 

COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
UNITED STATES (continued)
               
Information Technology — 15.3%
               
Apple Inc 
   
113
   
$
48,030
 
Check Point Software Technologies *
   
569
     
71,324
 
Cisco Systems 
   
1,647
     
77,574
 
Maximus Inc 
   
880
     
65,304
 
Microsoft Corp 
   
376
     
77,083
 
Visa Class A 
   
314
     
59,786
 
             
399,101
 
Materials — 4.9%
               
Amcor PLC US 
   
5,839
     
60,142
 
DuPont de Nemours 
   
1,289
     
68,936
 
             
129,078
 
Utilities — 4.7%
               
Duke Energy Corp 
   
822
     
69,656
 
PPL Corporation 
   
1,990
     
52,974
 
             
122,630
 
Total United States
           
1,302,218
 
                 
Total Common Stock
               
(Cost $2,446,710)  
           
2,544,339
 


27


Gallery Trust
Mondrian Global All Countries World Equity Fund
 
July 31, 2020 (Unaudited)

 

PREFERRED STOCK — 1.7%
               
   
Number of
Shares
   
Value
(U.S. $)
 
SOUTH KOREA — 1.7%
               
Samsung Electronics Co Ltd** 
   
1,089
   
$
45,246
 
Total Preferred Stock
(Cost $42,298)  
           
45,246
 
Total Value of Securities — 99.5%
               
(Cost $2,489,008) 
         
$
2,589,585
 

Percentages are based on Net Assets of $2,603,063.
*
Non-income producing security.
**
There is currently no rate available.

ADR — American Depositary Receipt
GDR — Global Depositary Receipt
Ltd. — Limited
PLC — Public Limited Company
As of July 31, 2020, all of the Fund’s investments in securities were considered Level 1, in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. GAAP.
For the period ended July 31, 2020, there were no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to Note 2 of the Fund’s most recent financial statements.

MON-QH-001-0900



28


Gallery Trust
Rothko Emerging Markets Equity Fund
 
July 31, 2020 (Unaudited)

 

SCHEDULE OF INVESTMENTS
           
COMMON STOCK — 98.2%
           
   
Number of
Shares
   
Value
(U.S. $)
 
BRAZIL — 5.8%
           
BB Seguridade Participacoes SA 
   
7,100
   
$
37,905
 
CCR SA 
   
4,500
     
12,983
 
Cielo SA 
   
23,100
     
23,647
 
Cogna Educacao SA 
   
3,700
     
5,915
 
Hypera SA * 
   
6,200
     
42,823
 
LOG Commercial Properties e Participacoes SA
   
259
     
1,846
 
MRV Engenharia e Participacoes SA
   
3,600
     
13,209
 
Odontoprev SA 
   
3,600
     
9,593
 
Porto Seguro SA 
   
2,200
     
22,744
 
Qualicorp SA 
   
11,400
     
61,408
 
Smiles Fidelidade SA 
   
3,600
     
10,483
 
Wiz Solucoes e Corretagem de Seguros SA
   
23,700
     
47,113
 
Total Brazil
           
289,669
 
                 
CHILE — 1.0%
               
Aguas Andinas SA Class A 
   
84,443
     
29,686
 
CAP SA * 
   
1,310
     
9,863
 
Enel Chile SA 
   
119,374
     
10,249
 
Total Chile
           
49,798
 
                 
CHINA — 30.3%
               
361 Degrees International Ltd 
   
118,000
     
16,595
 
Agricultural Bank of China Ltd Class H
   
54,000
     
19,161
 
Anhui Expressway Co Ltd Class H
   
22,000
     
10,560
 
Atlas Corp 
   
3,654
     
25,980
 
Bank of China Ltd Class H 
   
80,000
     
26,837
 
Beijing Enterprises Water Group Ltd
   
26,000
     
11,037
 
Beijing Jingneng Clean Energy Co Ltd Class H
   
234,000
     
64,612
 
China Communications Services Corp Ltd Class H
   
24,000
     
15,545
 
China Construction Bank Corp Class H
   
26,000
     
19,055
 
China Dongxiang Group Co Ltd 
   
299,000
     
37,809
 
China Everbright Ltd 
   
4,000
     
6,400
 

29


Gallery Trust
Rothko Emerging Markets Equity Fund
 
July 31, 2020 (Unaudited)

 

COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
CHINA (continued)
               
China Galaxy Securities Co Ltd Class H
   
24,000
   
$
14,337
 
China Lilang Ltd 
   
55,000
     
29,521
 
China Merchants Port Holdings Co Ltd
   
6,444
     
7,375
 
China Mobile Ltd 
   
1,500
     
10,277
 
China Pioneer Pharma Holdings Ltd
   
106,000
     
15,455
 
China Sanjiang Fine Chemicals Co Ltd
   
188,000
     
65,494
 
China Suntien Green Energy Corp Ltd Class H *
   
111,000
     
32,225
 
Chongqing Machinery & Electric Co Ltd Class H
   
156,000
     
10,064
 
Chu Kong Shipping Enterprises Group Co Ltd
   
62,000
     
7,520
 
COSCO Shipping International Hong Kong Co Ltd
   
38,000
     
10,591
 
CPMC Holdings Ltd 
   
28,000
     
12,861
 
Dongfeng Motor Group Co Ltd Class H
   
14,000
     
10,025
 
Fufeng Group Ltd 
   
27,000
     
9,789
 
Great Wall Motor Co Ltd Class H 
   
15,500
     
15,139
 
Greatview Aseptic Packaging Co Ltd
   
99,000
     
37,555
 
Guangdong Investment Ltd 
   
10,000
     
16,154
 
Guangzhou RF Properties Class H
   
40,800
     
47,010
 
Guorui Properties Ltd 
   
183,000
     
27,154
 
Hengan International Group Co Ltd
   
1,500
     
12,590
 
Hisense Home Appliances Group Co Ltd Class H
   
26,000
     
28,213
 
Huabao International Holdings Ltd
   
129,000
     
146,804
 
Industrial & Commercial Bank of China Ltd Class H
   
35,000
     
20,683
 
Jiangsu Expressway Co Ltd Class H
   
12,000
     
12,866
 
Kingboard Holdings Ltd 
   
20,500
     
59,910
 
Kingboard Laminates Holdings Ltd
   
57,500
     
64,619
 
Lee Man Paper Manufacturing Ltd
   
47,000
     
28,927
 
Lenovo Group Ltd 
   
120,000
     
72,307
 
Qingling Motors Co Ltd Class H 
   
178,000
     
32,154
 
Shanghai Industrial Holdings Ltd 
   
7,000
     
10,206
 
Shanghai Industrial Urban Development Group
   
7,000
     
768
 
Sichuan Expressway Co Ltd Class H
   
46,000
     
10,446
 
Sihuan Pharmaceutical Holdings Group Ltd
   
223,000
     
22,731
 


30


Gallery Trust
Rothko Emerging Markets Equity Fund
 
July 31, 2020 (Unaudited)

 

COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
CHINA (continued)
               
Sinopec Shanghai Petrochemical Co Ltd Class H
   
136,000
   
$
30,358
 
Texhong Textile Group Ltd 
   
11,000
     
8,402
 
Wasion Group Holdings Ltd 
   
82,000
     
24,864
 
Xingda International Holdings Ltd 
   
146,909
     
29,949
 
Xinhua Winshare Publishing and Media Co Ltd Class H
   
72,000
     
47,658
 
Xinyi Solar Holdings Ltd 
   
87,316
     
95,537
 
Xtep International Holdings Ltd 
   
60,299
     
18,050
 
Yuexiu REIT 
   
84,000
     
37,609
 
Yuexiu Transport Infrastructure Ltd
   
22,000
     
13,965
 
Yuzhou Properties Co Ltd 
   
103,917
     
46,660
 
Zhejiang Expressway Co Ltd Class H
   
14,000
     
10,405
 
Total China
           
1,518,818
 
                 
CZECH REPUBLIC — 0.3%
               
O2 Czech Republic AS 
   
1,271
     
12,208
 
Total Czech Republic
           
12,208
 
                 
INDIA — 4.8%
               
HDFC Bank Ltd Sponsored ADR *
   
1,182
     
55,259
 
ICICI Bank Ltd Sponsored ADR * 
   
6,688
     
62,800
 
Infosys Ltd Sponsored ADR 
   
6,636
     
85,273
 
Mahindra and Mahindra Ltd Sponsored GDR
   
4,501
     
36,486
 
Total India
           
239,818
 
                 
INDONESIA — 2.4%
               
Bank Pembangunan Daerah Jawa Timur Tbk PT Class B
   
1,179,200
     
44,419
 
Bukit Asam Tbk PT 
   
301,800
     
41,811
 
Tunas Baru Lampung Tbk PT * 
   
432,900
     
21,637
 
Waskita Beton Precast Tbk PT 
   
993,700
     
13,494
 
Total Indonesia
           
121,361
 

31


Gallery Trust
Rothko Emerging Markets Equity Fund
 
July 31, 2020 (Unaudited)

 

COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
MALAYSIA — 2.8%
               
AirAsia Group Bhd * 
   
58,700
   
$
8,935
 
Alliance Bank Malaysia Group Bhd
   
14,100
     
7,102
 
CIMB Group Holdings Bhd 
   
20,569
     
17,448
 
Gas Malaysia Bhd 
   
20,700
     
13,370
 
Inari Amertron Bhd 
   
32,300
     
16,283
 
Lingkaran Trans Kota Holdings Bhd
   
10,300
     
9,797
 
Malaysian Pacific Industries Bhd 
   
7,400
     
23,037
 
OSK Holdings Bhd 
   
78,000
     
14,436
 
Petronas Chemicals Group Bhd 
   
7,100
     
10,389
 
Syarikat Takaful Malaysia Keluarga Bhd
   
18,300
     
20,869
 
Total Malaysia
           
141,666
 
                 
MEXICO — 3.0%
               
Banco Santander SA Mexico Line *
   
11,918
     
27,312
 
Bolsa Mexicana de Valores SAB 
   
8,851
     
17,964
 
Concentradora Fibra Danhos SA de CV REIT
   
17,324
     
16,752
 
Concentradora Hipotecaria SAPI de CV
   
50,495
     
38,753
 
Gentera SAB de CV * 
   
19,052
     
6,677
 
Grupo Aeroportuario Pacifico Class B
   
1,463
     
9,859
 
Grupo Financiero Banorte SAB de CV Class O *
   
4,597
     
16,465
 
Wal-Mart de Mexico SAB de CV 
   
5,824
     
13,708
 
Total Mexico
           
147,490
 
                 
PHILIPPINES — 2.1%
               
Globe Telecom 
   
1,975
     
82,968
 
Manila Electric Co 
   
4,520
     
24,417
 
Total Philippines
           
107,385
 
                 
POLAND — 2.3%
               
Asseco Poland SA 
   
4,355
     
74,417
 
Budimex SA 
   
312
     
19,410
 

32


Gallery Trust
Rothko Emerging Markets Equity Fund
 
July 31, 2020 (Unaudited)

 

COMMON STOCK — continued
               
   
Number of Shares
   
Value
(U.S. $)
 
POLAND (continued)
               
Polskie Gornictwo Naftowe i Gazownictwo SA
   
16,538
   
$
22,599
 
Total Poland
           
116,426
 
                 
QATAR — 1.3%
               
Almeera Consumer Goods Co QSC
   
12,250
     
64,429
 
Total Qatar
           
64,429
 
                 
SOUTH AFRICA — 4.8%
               
Absa Group Ltd 
   
5,997
     
27,813
 
AECI Ltd 
   
1,654
     
8,408
 
Astral Foods Ltd 
   
2,089
     
16,741
 
AVI Ltd Class Y 
   
5,415
     
22,375
 
EOH Holdings Ltd * 
   
11,717
     
3,331
 
FirstRand Ltd 
   
6,388
     
14,507
 
Foschini Group Ltd 
   
916
     
3,731
 
Investec Ltd 
   
1,812
     
3,524
 
JSE Ltd 
   
2,855
     
19,374
 
Liberty Holdings Ltd 
   
5,559
     
22,358
 
Metair Investments Ltd 
   
9,296
     
9,789
 
Nedbank Group Ltd 
   
645
     
3,961
 
Ninety One Ltd ZA Line * 
   
906
     
2,597
 
Peregrine Holdings Ltd 
   
28,763
     
33,974
 
RMB Holdings Ltd 
   
2,463
     
196
 
Sanlam Ltd 
   
2,364
     
8,410
 
Spar Group Ltd 
   
860
     
8,301
 
Telkom SA SOC Ltd 
   
12,408
     
21,014
 
Truworths International Ltd 
   
1,893
     
3,614
 
Tsogo Sun Gaming Ltd 
   
8,611
     
1,637
 
Tsogo Sun Hotels Ltd * 
   
8,611
     
907
 
Woolworths Holdings Ltd 
   
2,930
     
5,439
 
Total South Africa
           
242,001
 
                 

33


Gallery Trust
Rothko Emerging Markets Equity Fund
 
July 31, 2020 (Unaudited)

 

COMMON STOCK — continued
               
   
Number of Shares
   
Value
(U.S. $)
 
SOUTH KOREA — 9.9%
               
Cheil Worldwide Inc 
   
3,239
   
$
52,198
 
Coway Co Ltd 
   
182
     
11,717
 
Daekyo Co Ltd 
   
2,109
     
7,107
 
DB Insurance Co Ltd 
   
262
     
10,358
 
GS Home Shopping Inc 
   
149
     
13,257
 
Hana Financial Group Inc 
   
561
     
13,891
 
Huchems Fine Chemical Corp 
   
2,335
     
32,631
 
Hyosung Advanced Materials Corp *
   
25
     
2,770
 
Hyosung Chemical Corp 
   
18
     
1,617
 
Hyosung Corp 
   
378
     
21,670
 
Hyosung Heavy Industries Corp * 
   
53
     
1,931
 
Hyosung TNC Co Ltd 
   
24
     
2,286
 
Hyundai Marine & Fire Insurance Co Ltd
   
1,626
     
31,799
 
Kangwon Land Inc 
   
558
     
10,702
 
KB Financial Group Inc 
   
598
     
17,693
 
Korea Autoglass Corp 
   
1,619
     
19,568
 
KT&G Corp 
   
624
     
42,372
 
Kyobo Securities Co Ltd 
   
1,644
     
9,259
 
Lotte Food Co Ltd 
   
23
     
6,361
 
Meritz Fire & Marine Insurance Co Ltd
   
3,893
     
40,518
 
Mirae Asset Life Insurance Co Ltd
   
3,026
     
8,128
 
Poongsan Holdings Corp 
   
342
     
7,578
 
Samsung Fire & Marine Insurance Co Ltd
   
61
     
8,781
 
Seah Besteel Corp 
   
639
     
5,873
 
SFA Engineering Corp 
   
496
     
14,654
 
Shinhan Financial Group Co Ltd 
   
352
     
8,893
 
SK Telecom Co Ltd 
   
273
     
50,526
 
Tongyang Life Insurance Co Ltd 
   
7,260
     
18,220
 
Woori Financial Group Inc 
   
3,554
     
25,356
 
Total South Korea
           
497,714
 

34


Gallery Trust
Rothko Emerging Markets Equity Fund
 
July 31, 2020 (Unaudited)

 

COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
TAIWAN — 23.8%
               
Cayman Engley Industrial Co Ltd 
   
3,000
   
$
7,384
 
Charoen Pokphand Enterprise Co Ltd
   
22,000
     
50,316
 
Chunghwa Telecom Co Ltd 
   
5,000
     
18,690
 
First Financial Holding Co Ltd 
   
82,820
     
66,721
 
Flytech Technology Co Ltd 
   
11,000
     
24,257
 
Getac Technology Corp 
   
40,000
     
57,553
 
Hiroca Holdings Ltd 
   
4,000
     
7,387
 
Inventec Corp 
   
74,000
     
63,152
 
Lien Hwa Industrial Holdings Corp
   
51,450
     
82,370
 
Merry Electronics Co Ltd 
   
12,193
     
66,179
 
Mitac Holdings Corp 
   
75,992
     
76,655
 
Namchow Holdings Co Ltd 
   
21,000
     
30,108
 
Pegatron Corp 
   
25,000
     
52,655
 
Quanta Computer Inc 
   
31,000
     
86,561
 
Rechi Precision Co Ltd 
   
40,000
     
26,217
 
San Fang Chemical Industry Co Ltd
   
14,000
     
9,725
 
Senao International Co Ltd 
   
21,000
     
20,144
 
Sitronix Technology Corp 
   
10,000
     
51,204
 
Supreme Electronics Co Ltd 
   
43,000
     
43,595
 
Systex Corp 
   
21,000
     
58,066
 
Taiwan Mobile Co Ltd 
   
16,000
     
57,349
 
Taiwan Styrene Monomer Corp 
   
42,000
     
21,148
 
TXC Corp 
   
25,000
     
64,005
 
TYC Brother Industrial Co Ltd 
   
15,000
     
11,393
 
United Integrated Services Co Ltd
   
16,000
     
112,239
 
Zeng Hsing Industrial Co Ltd 
   
6,000
     
27,138
 
Total Taiwan
           
1,192,211
 
                 
THAILAND — 1.6%
               
Bangchak Corp PCL Foreign 
   
47,100
     
29,303
 
Siamgas & Petrochemicals PCL Foreign
   
61,700
     
17,610
 

35


Gallery Trust
Rothko Emerging Markets Equity Fund
 
July 31, 2020 (Unaudited)

 

COMMON STOCK — continued
               
   
Number of
Shares
   
Value
(U.S. $)
 
THAILAND (continued)
               
Thai Vegetable Oil PCL Foreign 
   
36,600
   
$
34,332
 
Total Thailand
           
81,245
 
                 
TURKEY — 1.2%
               
Borusan Mannesmann Boru Sanayi *
   
5,673
     
11,331
 
Petkim Petrokimya Holding AS * 
   
11,713
     
6,578
 
Soda Sanayii AS 
   
13,460
     
12,613
 
Tofas Turk Otomobil Fabrikasi AS
   
2,400
     
8,778
 
Turk Traktor ve Ziraat Makineleri AS
   
1,362
     
21,143
 
Total Turkey
           
60,443
 
                 
UNITED ARAB EMIRATES — 0.8%
               
Dubai Islamic Bank PJSC 
   
38,793
     
39,909
 
Total United Arab Emirates
           
39,909
 
                 
Total Common Stock
               
(Cost $5,282,469)  
           
4,922,591
 

RIGHTS — 0.0%
               
   
Number of
Rights
   
Value
(U.S. $)
 
Foschini Group, Expires 08/12/20
   
366
     
587
 
                 
Total Rights
               
(Cost $–)  
           
587
 
Total Value of Securities — 98.2%
               
(Cost $5,282,469) 
         
$
4,923,178
 

Percentages are based on Net Assets of $5,012,787.
*
Non-income producing security.

ADR — American Depositary Receipt
CV — Convertible Security


36


Gallery Trust
Rothko Emerging Markets Equity Fund
 
July 31, 2020 (Unaudited)

 

GDR — Global Depositary Receipt
Ltd. — Limited
REIT — Real Estate Investment Trust

The following is a list of the inputs used as of July 31, 2020, in valuing the Fund’s investments carried at market value:
Investments in Securities
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Common Stock
                       
Brazil
 
$
289,669
   
$
   
$
   
$
289,669
 
Chile
   
49,798
     
     
     
49,798
 
China
   
1,500,768
     
18,050
     
     
1,518,818
 
Czech Republic
   
12,208
     
     
     
12,208
 
India
   
239,818
     
     
     
239,818
 
Indonesia
   
     
121,361
     
     
121,361
 
Malaysia
   
23,037
     
118,629
     
     
141,666
 
Mexico
   
147,490
     
     
     
147,490
 
Philippines
   
     
107,385
     
     
107,385
 
Poland
   
116,426
     
     
     
116,426
 
Qatar
   
64,429
     
     
     
64,429
 
South Africa
   
242,001
     
     
     
242,001
 
South Korea
   
497,714
     
     
     
497,714
 
Taiwan
   
1,192,211
     
     
     
1,192,211
 
Thailand
   
81,245
     
     
     
81,245
 
Turkey
   
     
60,443
     
     
60,443
 
United Arab Emirates
   
     
39,909
     
     
39,909
 
Total Common Stock
   
4,456,814
     
465,777
     
     
4,922,591
 
Rights
   
587
     
     
     
587
 
Total Investments in Securities
 
$
4,457,401
   
$
465,777
   
$
   
$
4,923,178
 

For the period ended July 31, 2020, there were no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to Note 2 of the Fund’s most recent financial statements.

MON-QH-002-0300

37