0001145549-24-017079.txt : 20240325 0001145549-24-017079.hdr.sgml : 20240325 20240325114614 ACCESSION NUMBER: 0001145549-24-017079 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240131 FILED AS OF DATE: 20240325 DATE AS OF CHANGE: 20240325 PERIOD START: 20240430 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Morningstar Funds Trust CENTRAL INDEX KEY: 0001699360 ORGANIZATION NAME: IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 0430 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23235 FILM NUMBER: 24777616 BUSINESS ADDRESS: STREET 1: 22 W. WASHINGTON STREET CITY: CHICAGO STATE: IL ZIP: 60602 BUSINESS PHONE: 312-696-6000 MAIL ADDRESS: STREET 1: 22 W. 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N/A FHMS K092 A2 3137FLYV0 100000 PA USD 95133.55 0.0708220182 Long ABS-O USGSE US N 2 2029-04-25 Fixed 3.298000000000 N N N N N N Federal Home Loan Mortgage Corp. N/A FHMS K093 A2 3137FMCR1 100000 PA USD 93679.82 0.0697397912 Long ABS-O USGSE US N 2 2029-05-25 Fixed 2.982000000000 N N N N N N Northern Inst Fds 549300Y178DO5JBR1S04 Northern Inst Fds TREAS PRT PRMR 665279873 5676141.3 NS USD 5676141.3 4.2255942560 Long STIV RF US N 1 N N N Federal Home Loan Mortgage Corp. S6XOOCT0IEG5ABCC6L87 FHMS K094 A2 3137FMTY8 532000 PA USD 495266.52 0.3687003638 Long ABS-O USGSE US N 2 2029-06-25 Fixed 2.903000000000 N N N N N N VCAT LLC N/A VCAT 2021-NPL2 A1 91822YAA8 163739.5 PA USD 162745.98 0.1211559829 Long ABS-O CORP US Y 2 2051-03-27 Floating 2.115000000000 N N N N N N Frontier Communications N/A Frontier Communications Term Loan B 375 2027-10-01 35906EAQ3 359825 PA USD 354801.84 0.2641316588 Long LON CORP US N 2 2027-10-01 Floating 3.950000000000 N N N N N N VCP RRL ABS I LTD N/A VCRRL 2021-1A B 92243RAC8 243833.26 PA USD 223242.52 0.1661925347 Long ABS-CBDO CORP KY Y 2 2031-10-20 Fixed 2.848000000000 N N N N N N Schwab Strategic Trust 549300NAZEQOIX80E226 Schwab Strategic Trust SHORT-TERM US TREASURY ETF 808524862 940430 NS USD 45733110.9 34.0459408102 Long EC RF US N 1 N N N Schwab Strategic Trust 549300NAZEQOIX80E226 Schwab Strategic Trust INTERMED-TERM US TREAS ETF 808524854 108837 NS USD 5424436.08 4.0382127101 Long EC RF US N 1 N N N GreatAmerica Leasing Receivables Funding LLC 549300JFP7GIDD4UWO79 GALC 2023-1 A4 39154TCD8 137000 PA USD 136646.95 0.1017266020 Long ABS-O CORP US Y 2 2030-03-15 Fixed 5.060000000000 N N N N N N CERBERUS LOAN FUNDING XLI LLC N/A CERB 2023-2A A1 15674VAA2 419000 PA USD 405275.95 0.3017070288 Long ABS-CBDO CORP US Y 2 2035-07-16 Floating 7.943870000000 N N N N N N Avis Budget Rental Car Funding AESOP LLC IHXLB8SL0QWSSG2VG640 AESOP 2023-6A A 05377RHG2 423000 PA USD 435927.56 0.3245255705 Long ABS-O CORP US Y 2 2029-12-20 Fixed 5.810000000000 N N N N N N MMAF EQUIPMENT FINANCE LLC 2023-A N/A MMAF 2023-A A4 55317WAD3 217000 PA USD 220715.91 0.1643116040 Long ABS-O CORP US Y 2 2038-12-13 Fixed 5.500000000000 N N N N N N Golub Capital Partners Clo Ltd N/A GOCAP 2018-38A C 38175DAE0 507000 PA USD 498857.28 0.3713734993 Long ABS-CBDO CORP KY Y 2 2030-07-20 Floating 8.477430100000 N N N N N N GOLUB CAPITAL PARTNERS ABS FUNDING LLC N/A GCPAF 2021-1A B 38178HAC2 370672.12 PA USD 343733.56 0.2558918956 Long DBT CORP KY Y 2 2029-04-15 Fixed 3.816000000000 N N N N N N GOLUB CAPITAL PARTNERS ABS FUNDING LLC N/A GCPAF 2021-1A A2 38178HAA6 139305.24 PA USD 130885.94 0.0974378274 Long DBT CORP KY Y 2 2029-04-15 Fixed 2.773000000000 N N N N N N SLG OFFICE TRUST N/A SLG 2021-OVA A 78449RAA3 455000 PA USD 381999.66 0.2843790321 Long ABS-O CORP US Y 2 2041-07-17 Fixed 2.585400000000 N N N N N N NISSAN AUTO RECEIVABLES 2023-A OWNER TRUST N/A NAROT 2023-A A4 65480WAE1 126000 PA USD 126246.82 0.0939842420 Long ABS-O CORP US N 2 2030-06-17 Fixed 4.850000000000 N N N N N N United States Treasury Notes 254900HROIFWPRGM1V77 T 4.625 09/30/30 91282CHZ7 883000 PA USD 918906.36 0.6840783609 Long DBT UST US N 2 2030-09-30 Fixed 4.625000000000 N N N N N N Wepco Environmental Trust Finance I Llc N/A WEPCO 2021-1 A 950739AA0 81676.07 PA USD 70226.74 0.0522801836 Long ABS-O CORP US N 2 2035-12-15 Fixed 1.578000000000 N N N N N N Solera 254900LEPDAG7EDOA064 Solera Term Loan B 400 2028-05-15 73108RAB4 322575 PA USD 314107.41 0.2338367559 Long LON CORP US N 2 2028-05-15 Floating 4.130000000000 N N N N N N PRETIUM MORTGAGE CREDIT PARTNERS I 2021-NPL2,LLC N/A PRET 2021-NPL2 A1 741386AA4 285682.31 PA USD 277436.52 0.2065371708 Long ABS-O CORP US Y 2 2060-06-29 Floating 1.991700100000 N N N N N N Federal Home Loan Mortgage Corp. S6XOOCT0IEG5ABCC6L87 FH 841463 31288QTU4 717308.56 PA USD 634093.91 0.4720501908 Long ABS-MBS USGSE US N 2 2052-07-01 Variable 2.155000000000 N N N N N N Blue Owl Credit Income Corp. 5493003I42XBWPE05N35 OCINCC 7.95 06/13/28 69120VAR2 468000 PA USD 490856.55 0.3654173687 Long DBT CORP US Y 2 2028-06-13 Fixed 7.950000000000 N N N N N N FORD CREDIT AUTO OWNER TRUST 2023-B N/A FORDO 2023-B A4 344930AE2 100000 PA USD 100980.21 0.0751745548 Long ABS-O CORP US N 2 2029-02-15 Fixed 5.060000000000 N N N N N N Northern Inst Fds 549300Y178DO5JBR1S04 Northern Inst Fds LIQ ASET PORTF 665279105 115702.5 NS USD 115702.5 0.0861345399 Long STIV RF US N 1 N N 2024-02-29 Morningstar Funds Trust Jaime Dubon Jaime Dubon Assistant Treasurer XXXX NPORT-EX 2 edgar.htm
Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments
Morningstar U.S. Equity Fund
    Number
of Shares
Value
Common Stocks – 89.4%
Advertising & Marketing – 0.0%(a)
Interpublic Group of Cos. (The), Inc.   4,710 $155,383
Omnicom Group, Inc.   2,157 194,950
      350,333
Aerospace & Defense – 2.4%
Boeing (The) Co.*   15,623 3,297,078
General Dynamics Corp.   32,511 8,615,090
L3Harris Technologies, Inc.   12,582 2,622,341
Lockheed Martin Corp.   2,130 914,643
Mercury Systems, Inc.*   25,663 761,165
Moog, Inc., Class A   10,389 1,452,382
Northrop Grumman Corp.   17,853 7,976,006
RTX Corp.   141,124 12,859,219
      38,497,924
Apparel & Textile Products – 0.4%
Crocs, Inc.*   205 20,803
Deckers Outdoor Corp.*   206 155,268
NIKE, Inc., Class B   57,755 5,863,865
Ralph Lauren Corp.   704 101,144
Skechers USA, Inc., Class A*   1,657 103,463
Tapestry, Inc.   2,117 82,119
VF Corp.   1,850 30,451
      6,357,113
Asset Management – 1.0%
Ameriprise Financial, Inc.   388 150,090
BlackRock, Inc.   5,858 4,535,908
Charles Schwab (The) Corp.   13,840 870,813
Cohen & Steers, Inc.   37,594 2,647,370
Franklin Resources, Inc.   3,387 90,196
Hamilton Lane, Inc., Class A   27,709 3,212,581
Invesco Ltd.   3,741 59,220
KKR & Co., Inc.   39,338 3,405,884
LPL Financial Holdings, Inc.   336 80,368
Stifel Financial Corp.   13,413 978,478
T. Rowe Price Group, Inc.   549 59,539
      16,090,447
Automotive – 0.7%
Aptiv PLC*   40,771 3,315,905
Autoliv, Inc. (Sweden)   1,163 124,580
BorgWarner, Inc.   18,963 642,846
Fox Factory Holding Corp.*   19,713 1,242,707
Gentex Corp.   6,663 220,745
Lear Corp.   8,354 1,110,247
Phinia, Inc.   682 20,624
    Number
of Shares
Value
Automotive (Continued)
Tesla, Inc.*   13,200 $2,472,228
XPEL, Inc.*   29,526 1,578,165
      10,728,047
Banking – 4.6%
Atlantic Union Bankshares Corp.   46,694 1,595,067
Bank of America Corp.   77,743 2,644,039
Bank OZK(b)   80,484 3,630,633
Banner Corp.   17,297 805,694
BOK Financial Corp.   17,441 1,462,253
Citigroup, Inc.   128,644 7,225,934
Citizens Financial Group, Inc.   42,312 1,383,602
City Holding Co.(b)   15,269 1,560,645
Comerica, Inc.   10,030 527,377
Cullen/Frost Bankers, Inc.   7,609 807,467
Fifth Third Bancorp   45,524 1,558,742
First Bancorp   46,206 1,596,879
Huntington Bancshares, Inc.   139,001 1,769,483
JPMorgan Chase & Co.   110,152 19,206,103
KeyCorp   79,516 1,155,368
M&T Bank Corp.   12,400 1,712,440
National Bank Holdings Corp., Class A   22,647 792,645
Pinnacle Financial Partners, Inc.   12,812 1,132,325
PNC Financial Services Group (The), Inc.   41,040 6,205,658
Provident Financial Services, Inc.   50,245 831,555
Regions Financial Corp.   34,234 639,149
Renasant Corp.   48,974 1,549,048
Seacoast Banking Corp. of Florida   58,577 1,438,651
Triumph Financial, Inc.(b)*   20,322 1,435,749
Truist Financial Corp.   53,103 1,967,997
U.S. Bancorp   51,861 2,154,306
Veritex Holdings, Inc.   38,104 800,565
Webster Financial Corp.   62,108 3,073,104
Wells Fargo & Co.   66,657 3,344,848
      74,007,326
Beverages – 1.3%
Brown-Forman Corp., Class B   3,240 177,876
Coca-Cola (The) Co.   20,330 1,209,432
Constellation Brands, Inc., Class A   2,639 646,766
Diageo PLC (United Kingdom)   134,188 4,846,584
 
1

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar U.S. Equity Fund
    Number
of Shares
Value
Beverages (Continued)
Duckhorn Portfolio (The), Inc.*   91,002 $785,347
Keurig Dr. Pepper, Inc.   31,543 991,712
Monster Beverage Corp.*   123,920 6,818,079
PepsiCo, Inc.   33,480 5,642,384
      21,118,180
Biotechnology & Pharmaceuticals – 2.9%
AbbVie, Inc.   33,780 5,553,432
Amgen, Inc.   3,650 1,147,049
Biogen, Inc.*   1,865 460,021
Bristol-Myers Squibb Co.   14,606 713,795
Certara, Inc.*   66,233 1,070,325
Eli Lilly & Co.   7,300 4,712,953
Exelixis, Inc.*   6,771 147,337
Gilead Sciences, Inc.   10,200 798,252
Intra-Cellular Therapies, Inc.*   17,107 1,151,985
Johnson & Johnson   53,894 8,563,757
Merck & Co., Inc.   45,463 5,491,021
Pfizer, Inc.   230,100 6,231,108
Prestige Consumer Healthcare, Inc.*   25,655 1,578,809
Regeneron Pharmaceuticals, Inc.*   706 665,603
Roche Holding A.G. (Genusschein)   3,994 1,137,157
United Therapeutics Corp.*   550 118,129
Zoetis, Inc.   34,240 6,430,614
      45,971,347
Cable & Satellite – 1.4%
Charter Communications, Inc., Class A*   7,320 2,713,597
Comcast Corp., Class A   421,508 19,616,982
Sirius XM Holdings, Inc.(b)   33,005 167,996
      22,498,575
Chemicals – 2.3%
Albemarle Corp.(b)   217 24,899
Ashland Global Holdings, Inc.   51,392 4,811,319
Axalta Coating Systems Ltd.*   3,367 109,158
Balchem Corp.   22,653 3,175,044
CF Industries Holdings, Inc.   1,265 95,520
Corteva, Inc.   39,290 1,786,909
DuPont de Nemours, Inc.   71,120 4,395,216
Eastman Chemical Co.   1,137 94,996
Ecovyst, Inc.*   89,731 830,909
Innospec, Inc.   29,764 3,455,898
    Number
of Shares
Value
Chemicals (Continued)
LyondellBasell Industries N.V., Class A   1,290 $121,415
PPG Industries, Inc.   19,518 2,752,819
Sherwin-Williams (The) Co.   34,266 10,429,885
Stepan Co.   17,822 1,590,970
Valvoline, Inc.*   82,661 3,016,300
Westlake Corp.   648 89,651
      36,780,908
Commercial Support Services – 0.2%
Insperity, Inc.   11,372 1,304,255
Legalzoom.com, Inc.*   78,894 813,397
Robert Half, Inc.   1,640 130,445
Waste Management, Inc.   6,138 1,139,397
      3,387,494
Construction Materials – 0.3%
Owens Corning   882 133,650
Summit Materials, Inc., Class A*   23,232 840,534
Trex Co., Inc.*   41,305 3,365,531
      4,339,715
Containers & Packaging – 0.1%
AptarGroup, Inc.   1,984 257,682
Berry Global Group, Inc.   2,395 156,777
Crown Holdings, Inc.   1,116 98,766
Graphic Packaging Holding Co.   6,408 163,468
International Paper Co.   3,300 118,239
Packaging Corp. of America   1,067 176,994
Sealed Air Corp.   2,575 88,966
TriMas Corp.   32,643 805,629
Westrock Co.   3,069 123,558
      1,990,079
Diversified Industrials – 1.2%
3M Co.   5,011 472,788
Dover Corp.   1,246 186,626
Emerson Electric Co.   6,380 585,237
Honeywell International, Inc.   36,104 7,302,395
Illinois Tool Works, Inc.   19,039 4,967,275
Parker-Hannifin Corp.   11,856 5,507,112
      19,021,433
E-Commerce Discretionary – 2.8%
Amazon.com, Inc.*   288,868 44,832,313
eBay, Inc.   2,067 84,892
Etsy, Inc.*   302 20,101
      44,937,306
 
2

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar U.S. Equity Fund
    Number
of Shares
Value
Electric Utilities – 2.4%
Ameren Corp.   2,500 $173,925
American Electric Power Co., Inc.   29,037 2,268,951
Avista Corp.   45,875 1,560,209
CMS Energy Corp.   3,618 206,805
Consolidated Edison, Inc.   2,764 251,248
Dominion Energy, Inc.   94,997 4,343,263
DTE Energy Co.   2,055 216,638
Duke Energy Corp.   79,360 7,605,069
Evergy, Inc.   3,666 186,123
Eversource Energy   2,505 135,821
Exelon Corp.   72,192 2,513,003
NextEra Energy, Inc.   71,891 4,214,969
Northwestern Energy Group, Inc.   31,916 1,535,798
NRG Energy, Inc.   2,294 121,674
OGE Energy Corp.   6,197 205,988
PG&E Corp.   160,267 2,703,704
Southern (The) Co.   106,396 7,396,650
Xcel Energy, Inc.   54,217 3,245,972
      38,885,810
Electrical Equipment – 1.8%
A.O. Smith Corp.   1,370 106,326
Allegion PLC   1,029 127,483
AMETEK, Inc.   1,593 258,146
Amphenol Corp., Class A   7,781 786,659
Carrier Global Corp.   6,195 338,928
Eaton Corp. PLC   60,174 14,807,618
Generac Holdings, Inc.*   266 30,236
Hubbell, Inc.   384 128,859
Johnson Controls International PLC   42,119 2,219,250
Lennox International, Inc.   285 122,026
Novanta, Inc.*   15,995 2,472,027
Otis Worldwide Corp.   13,998 1,237,983
Rockwell Automation, Inc.   407 103,085
Sensata Technologies Holding PLC   42,648 1,542,578
TE Connectivity Ltd.   1,161 165,083
Trane Technologies PLC   15,343 3,867,203
      28,313,490
Engineering & Construction – 0.1%
EMCOR Group, Inc.   742 169,258
Installed Building Products, Inc.   6,079 1,184,493
      1,353,751
Entertainment Content – 0.7%
Electronic Arts, Inc.   15,043 2,069,616
    Number
of Shares
Value
Entertainment Content (Continued)
Paramount Global, Class B   1,915 $27,940
Walt Disney (The) Co.   88,794 8,528,663
      10,626,219
Food – 1.5%
BellRing Brands, Inc.*   55,457 3,065,108
Campbell Soup Co.   4,396 196,193
Conagra Brands, Inc.   8,157 237,777
General Mills, Inc.   9,439 612,685
Hershey (The) Co.   3,594 695,583
Ingredion, Inc.   1,919 206,427
J&J Snack Foods Corp.   9,507 1,513,800
J.M. Smucker (The) Co.   1,934 254,418
Kellanova   4,038 221,121
Lamb Weston Holdings, Inc.   1,783 182,650
Lancaster Colony Corp.   19,187 3,526,187
Mondelez International, Inc., Class A   26,921 2,026,344
Nestle S.A.(c)   49,853 5,680,780
Post Holdings, Inc.(b)*   65,208 6,055,867
Tyson Foods, Inc., Class A   4,336 237,439
      24,712,379
Forestry, Paper & Wood Products – 0.1%
Boise Cascade Co.   11,606 1,572,149
Gas & Water Utilities – 0.1%
American Water Works Co., Inc.   1,282 158,993
UGI Corp.   70,913 1,570,014
      1,729,007
Health Care Facilities & Services – 3.3%
Cardinal Health, Inc.   2,248 245,459
Catalent, Inc.*   723 37,336
Charles River Laboratories International, Inc.*   275 59,477
Cigna Group (The)   35,972 10,825,773
CVS Health Corp.   11,828 879,648
DaVita, Inc.*   1,214 131,306
Elevance Health, Inc.   6,248 3,083,013
Encompass Health Corp.   2,345 166,589
Ensign Group (The), Inc.   32,151 3,640,136
HCA Healthcare, Inc.   2,038 621,386
HealthEquity, Inc.*   53,238 4,023,728
Henry Schein, Inc.*   2,345 175,500
ICON PLC(b)*   11,072 2,888,353
Laboratory Corp. of America Holdings   1,146 254,756
McKesson Corp.   18,445 9,220,471
Medpace Holdings, Inc.*   7,914 2,307,564
 
3

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar U.S. Equity Fund
    Number
of Shares
Value
Health Care Facilities & Services (Continued)
Patterson Cos., Inc.   55,118 $1,645,824
Quest Diagnostics, Inc.   1,995 256,218
Tenet Healthcare Corp.*   679 56,180
UnitedHealth Group, Inc.   23,918 12,239,797
Universal Health Services, Inc., Class B   855 135,783
      52,894,297
Home & Office Products – 0.1%
Arhaus, Inc.(b)*   70,170 820,287
Tempur Sealy International, Inc.   1,935 96,537
Whirlpool Corp.(b)   746 81,702
      998,526
Home Construction – 0.5%
Century Communities, Inc.   9,063 785,762
DR Horton, Inc.   973 139,051
Fortune Brands Innovations, Inc.   12,353 958,469
Lennar Corp., Class A   1,007 150,899
Masco Corp.   1,732 116,546
Masonite International Corp.*   17,986 1,655,611
Mohawk Industries, Inc.*   515 53,689
NVR, Inc.*   592 4,188,572
PulteGroup, Inc.   1,319 137,915
Toll Brothers, Inc.   1,651 164,027
      8,350,541
Household Products – 1.0%
Central Garden & Pet Co., Class A*   17,975 742,008
Clorox (The) Co.   990 143,798
Colgate-Palmolive Co.   12,705 1,069,761
Estee Lauder (The) Cos., Inc., Class A   38,200 5,042,018
Kenvue, Inc.   198,847 4,128,064
Kimberly-Clark Corp.   30,565 3,697,448
Reckitt Benckiser Group PLC (United Kingdom)   17,450 1,261,650
      16,084,747
Industrial Intermediate Products – 0.3%
AZZ, Inc.   15,739 982,901
RBC Bearings, Inc.(b)*   15,071 4,047,166
      5,030,067
Industrial Support Services – 1.3%
Fastenal Co.   3,021 206,123
Ferguson PLC   9,286 1,744,468
United Rentals, Inc.   201 125,706
W.W. Grainger, Inc.   11,899 10,657,220
    Number
of Shares
Value
Industrial Support Services (Continued)
Watsco, Inc.   251 $98,136
WESCO International, Inc.   47,975 8,324,622
      21,156,275
Institutional Financial Services – 1.9%
Bank of New York Mellon (The) Corp.   27,039 1,499,583
CME Group, Inc.   4,716 970,741
Goldman Sachs Group (The), Inc.   4,949 1,900,465
Intercontinental Exchange, Inc.   30,013 3,821,555
Moelis & Co., Class A(b)   66,812 3,672,656
Morgan Stanley   101,081 8,818,306
Nasdaq, Inc.   99,110 5,725,585
Northern Trust Corp.   14,544 1,158,284
Piper Sandler Cos.   8,891 1,542,500
SEI Investments Co.   3,807 240,755
State Street Corp.   6,526 482,076
      29,832,506
Insurance – 4.2%
Allstate (The) Corp.   20,886 3,242,552
American International Group, Inc.   83,104 5,776,559
AMERISAFE, Inc.   17,799 887,102
Aon PLC, Class A   27,758 8,283,820
BRP Group, Inc., Class A*   63,738 1,430,281
Chubb Ltd.   31,053 7,607,985
Goosehead Insurance, Inc., Class A*   11,827 913,044
Hartford Financial Services Group (The), Inc.   27,005 2,348,355
Loews Corp.   10,257 747,325
Marsh & McLennan Cos., Inc.   78,960 15,305,606
Progressive (The) Corp.   66,648 11,880,006
Travelers (The) Cos., Inc.   32,128 6,790,574
Willis Towers Watson PLC   10,174 2,505,856
      67,719,065
Internet Media & Services – 8.2%
Alphabet, Inc., Class A*   381,934 53,508,953
Booking Holdings, Inc.*   108 378,807
GoDaddy, Inc., Class A*   13,258 1,414,098
Meta Platforms, Inc., Class A*   118,735 46,323,273
Netflix, Inc.*   37,532 21,172,177
Uber Technologies, Inc.*   124,679 8,137,798
VeriSign, Inc.*   991 197,090
      131,132,196
 
4

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar U.S. Equity Fund
    Number
of Shares
Value
Leisure Facilities & Services – 1.2%
Chipotle Mexican Grill, Inc.*   144 $346,863
Chuy's Holdings, Inc.*   24,264 820,366
Domino's Pizza, Inc.   304 129,571
Marriott International, Inc., Class A   24,392 5,847,494
McDonald's Corp.   4,893 1,432,279
Papa John's International, Inc.(b)   20,393 1,498,477
Red Rock Resorts, Inc., Class A(b)   147,007 8,038,343
TKO Group Holdings, Inc.   793 66,366
Vail Resorts, Inc.   4,288 951,936
Wingstop, Inc.   291 81,803
      19,213,498
Leisure Products – 0.1%
Brunswick Corp.   990 79,873
Hasbro, Inc.   886 43,370
Polaris, Inc.   1,000 89,960
YETI Holdings, Inc.*   28,249 1,242,108
      1,455,311
Machinery – 1.3%
Alamo Group, Inc.   7,378 1,566,202
Albany International Corp., Class A   16,470 1,464,348
Caterpillar, Inc.   2,124 637,858
CSW Industrials, Inc.   9,193 1,944,963
Esab Corp.   34,244 2,944,641
Federal Signal Corp.   21,160 1,628,897
Graco, Inc.   1,682 143,475
Helios Technologies, Inc.   25,599 1,056,215
IDEX Corp.   924 195,426
Kadant, Inc.   11,373 3,252,678
Middleby (The) Corp.*   667 94,094
Regal Rexnord Corp.(b)   34,927 4,661,357
Snap-on, Inc.   712 206,430
Stanley Black & Decker, Inc.   748 69,788
Veralto Corp.   2,351 180,298
Xylem, Inc.   1,206 135,603
      20,182,273
Medical Equipment & Devices – 3.6%
Abbott Laboratories   35,436 4,009,583
Alcon, Inc. (Switzerland)(b)   74,214 5,574,214
Align Technology, Inc.*   92 24,593
Avanos Medical, Inc.*   52,139 1,000,547
Baxter International, Inc.   1,715 66,353
Boston Scientific Corp.*   93,930 5,942,012
CONMED Corp.   14,288 1,365,933
    Number
of Shares
Value
Medical Equipment & Devices (Continued)
Enovis Corp.(b)*   57,121 $3,353,003
Envista Holdings Corp.*   45,640 1,072,540
Inspire Medical Systems, Inc.*   6,192 1,305,707
Intuitive Surgical, Inc.*   24,715 9,347,707
Medtronic PLC   29,336 2,568,074
Merit Medical Systems, Inc.*   18,877 1,478,069
Neogen Corp.*   16,639 257,905
QuidelOrtho Corp.*   620 42,476
Silk Road Medical, Inc.*   28,669 433,762
Stryker Corp.   24,460 8,205,841
Thermo Fisher Scientific, Inc.   20,208 10,891,708
Waters Corp.*   364 115,646
      57,055,673
Metals & Mining – 0.5%
Constellium S.E.*   41,356 775,425
Encore Wire Corp.(b)   7,305 1,647,277
Freeport-McMoRan, Inc.   122,923 4,878,814
      7,301,516
Oil & Gas Producers – 4.3%
Antero Midstream Corp.   88,535 1,083,668
Cheniere Energy, Inc.   33,045 5,419,050
Chevron Corp.   22,637 3,337,373
ConocoPhillips   88,046 9,849,706
Coterra Energy, Inc.   128,690 3,201,807
Diamondback Energy, Inc.   660 101,468
Enbridge, Inc. (Canada)   154,680 5,492,523
Enerplus Corp. (Canada)   110,894 1,610,181
EOG Resources, Inc.   30,216 3,438,279
Equitrans Midstream Corp.   210,260 2,142,549
Kinder Morgan, Inc.   275,955 4,669,159
Northern Oil and Gas, Inc.   48,105 1,611,518
ONEOK, Inc.   69,546 4,746,514
Pembina Pipeline Corp. (Canada)   44,353 1,527,753
Pioneer Natural Resources Co.   26,167 6,013,962
Sitio Royalties Corp., Class A(b)   72,838 1,553,635
SM Energy Co.   36,476 1,352,530
Targa Resources Corp.   23,889 2,029,609
TC Energy Corp. (Canada)   101,172 3,991,344
Texas Pacific Land Corp.   45 65,760
Williams (The) Cos., Inc.   133,215 4,617,232
      67,855,620
 
5

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar U.S. Equity Fund
    Number
of Shares
Value
Oil, Gas Services & Equipment – 0.1%
Weatherford International PLC*   9,301 $832,905
Publishing & Broadcasting – 0.1%
Liberty Media Corp.-Liberty Formula One, Class C*   27,911 1,877,015
Nexstar Media Group, Inc.(b)   600 106,626
      1,983,641
Real Estate Investment Trusts – 2.8%
Boston Properties, Inc.   1,391 92,502
Brixmor Property Group, Inc.   7,276 163,273
COPT Defense Properties   62,778 1,479,050
Crown Castle, Inc.   3,334 360,905
CubeSmart   104,408 4,512,514
Douglas Emmett, Inc.   52,905 716,863
Easterly Government Properties, Inc.(b)   31,663 388,822
Equinix, Inc.   7,129 5,915,430
Extra Space Storage, Inc.   11,489 1,659,471
Four Corners Property Trust, Inc.   67,046 1,569,547
Kimco Realty Corp.   6,749 136,330
Mid-America Apartment Communities, Inc.   12,730 1,608,817
National Storage Affiliates Trust(b)   69,344 2,589,998
NNN REIT, Inc.   6,676 269,310
Plymouth Industrial REIT, Inc.   69,690 1,542,937
PotlatchDeltic Corp.   32,741 1,464,505
Prologis, Inc.   53,198 6,739,655
Public Storage   5,958 1,687,246
Rayonier, Inc.   56,820 1,721,646
Ryman Hospitality Properties, Inc.   27,668 3,040,713
SBA Communications Corp.   8,811 1,972,430
Simon Property Group, Inc.   1,143 158,431
Sunstone Hotel Investors, Inc.   73,412 783,306
UDR, Inc.   65,357 2,354,159
Urban Edge Properties   89,673 1,548,653
      44,476,513
Real Estate Services – 0.1%
Jones Lang LaSalle, Inc.*   11,164 1,976,698
    Number
of Shares
Value
Renewable Energy – 0.0%(a)
Enphase Energy, Inc.*   162 $16,869
SolarEdge Technologies, Inc.(b)*   97 6,451
      23,320
Retail - Consumer Staples – 1.0%
Dollar General Corp.   2,494 329,383
Five Below, Inc.*   14,806 2,657,085
Kroger (The) Co.   4,796 221,287
Ollie's Bargain Outlet Holdings, Inc.*   19,091 1,373,216
Target Corp.   82,178 11,429,316
      16,010,287
Retail - Discretionary – 1.2%
Academy Sports & Outdoors, Inc.   23,945 1,502,070
Advance Auto Parts, Inc.   820 54,817
AutoNation, Inc.*   527 73,601
AutoZone, Inc.*   303 836,925
Avis Budget Group, Inc.   257 42,074
Bath & Body Works, Inc.   943 40,228
Best Buy Co., Inc.(b)   1,072 77,709
Boot Barn Holdings, Inc.*   10,618 761,735
Builders FirstSource, Inc.*   543 94,335
CarMax, Inc.(b)*   17,519 1,247,002
Dick's Sporting Goods, Inc.   389 57,988
Floor & Decor Holdings, Inc., Class A*   18,208 1,830,997
Freshpet, Inc.*   16,961 1,460,342
Lithia Motors, Inc.   242 71,354
Lowe's Cos., Inc.   37,999 8,087,707
Lululemon Athletica, Inc.*   511 231,902
Mister Car Wash, Inc.(b)*   128,623 1,067,571
O'Reilly Automotive, Inc.*   893 913,584
Sonic Automotive, Inc. Class A   14,013 708,497
Tractor Suppy Co.   731 164,183
Ulta Beauty, Inc.*   467 234,457
Williams-Sonoma, Inc.   463 89,540
      19,648,618
Semiconductors – 4.5%
Advanced Micro Devices, Inc.*   1,396 234,095
Analog Devices, Inc.   39,696 7,635,923
Applied Materials, Inc.   1,588 260,908
ASML Holding N.V. (Netherlands)(c)   9,620 8,367,668
Intel Corp.   111,738 4,813,673
KLA Corp.   10,912 6,482,165
Lam Research Corp.   278 229,397
 
6

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar U.S. Equity Fund
    Number
of Shares
Value
Semiconductors (Continued)
Monolithic Power Systems, Inc.   2,196 $1,323,573
Nova Ltd. (Israel)(b)*   14,481 2,096,994
NVIDIA Corp.   47,171 29,022,901
NXP Semiconductors N.V. (China)   25,110 5,287,413
QUALCOMM, Inc.   2,051 304,594
Skyworks Solutions, Inc.   672 70,197
Teradyne, Inc.(b)   757 73,119
Texas Instruments, Inc.   35,748 5,723,970
      71,926,590
Software – 8.5%
Adobe, Inc.*   16,206 10,011,743
Akamai Technologies, Inc.*   1,448 178,437
Atlassian Corp., Class A*   22,780 5,689,761
Check Point Software Technologies Ltd. (Israel)*   12,159 1,932,430
Clearwater Analytics Holdings, Inc., Class A*   134,758 2,540,188
CyberArk Software Ltd.(b)*   8,890 2,075,637
Five9, Inc.*   17,065 1,294,551
Guidewire Software, Inc.*   35,154 3,925,999
Intuit, Inc.   9,800 6,187,034
Microsoft Corp.   155,781 61,935,410
Palo Alto Networks, Inc.*   35,177 11,907,766
Paylocity Holding Corp.*   13,505 2,139,327
PowerSchool Holdings, Inc., Class A(b)*   65,335 1,537,986
Q2 Holdings, Inc.*   31,180 1,326,709
Roper Technologies, Inc.   1,544 829,128
Salesforce, Inc.*   34,578 9,719,530
SS&C Technologies Holdings, Inc.   59,388 3,623,856
Verra Mobility Corp.*   32,583 779,059
Workday, Inc., Class A*   24,660 7,177,786
Zoom Video Communications, Inc., Class A*   565 36,505
      134,848,842
Specialty Finance – 0.8%
American Express Co.   39,377 7,904,539
Capital One Financial Corp.   12,948 1,752,124
Credit Acceptance Corp.(b)*   87 47,073
Mr. Cooper Group, Inc.*   46,873 3,157,365
Synchrony Financial   2,153 83,687
      12,944,788
Steel – 0.0%(a)
Cleveland-Cliffs, Inc.*   2,461 49,343
Nucor Corp.   445 83,184
      132,527
    Number
of Shares
Value
Technology Hardware – 3.2%
Apple, Inc.   215,195 $39,681,958
Arista Networks, Inc.*   1,882 486,836
Arrow Electronics, Inc.*   9,863 1,096,272
Ciena Corp.*   62,531 3,314,143
Cisco Systems, Inc.   15,241 764,793
F5, Inc.*   914 167,902
Fabrinet (Thailand)*   12,241 2,613,576
Garmin Ltd.   1,633 195,127
Hewlett Packard Enterprise Co.   9,009 137,748
HP, Inc.   3,972 114,036
Juniper Networks, Inc.   5,908 218,360
NetApp, Inc.   1,853 161,581
Seagate Technology Holdings PLC   1,057 90,564
TD SYNNEX Corp.   1,509 150,870
Viavi Solutions, Inc.*   162,272 1,595,134
      50,788,900
Technology Services – 3.6%
Accenture PLC, Class A   23,535 8,563,916
Amdocs Ltd.   3,126 286,592
Automatic Data Processing, Inc.   2,720 668,522
Booz Allen Hamilton Holding Corp.   2,432 342,353
CDW Corp.   655 148,502
Cognizant Technology Solutions Corp., Class A   1,433 110,513
Equifax, Inc.   13,586 3,319,603
FactSet Research Systems, Inc.   399 189,892
Fidelity National Information Services, Inc.   29,051 1,808,715
FleetCor Technologies, Inc.*   400 115,972
Globant S.A.*   12,583 2,967,197
ICF International, Inc.   1,471 204,528
Jack Henry & Associates, Inc.   633 104,970
MarketAxess Holdings, Inc.   8,061 1,817,836
Mastercard, Inc., Class A   1,951 876,448
Moody's Corp.   930 364,597
Open Lending Corp.*   110,254 809,264
Paychex, Inc.   1,413 172,005
PayPal Holdings, Inc.*   77,609 4,761,312
S&P Global, Inc.   16,928 7,589,669
Shift4 Payments, Inc., Class A(b)*   28,379 2,037,896
 
7

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar U.S. Equity Fund
    Number
of Shares
Value
Technology Services (Continued)
Verisk Analytics, Inc.   716 $172,935
Visa, Inc., Class A(b)   72,448 19,797,140
      57,230,377
Telecommunications – 0.9%
AT&T, Inc.   28,393 502,272
Cogent Communications Holdings, Inc.   10,443 806,200
T-Mobile U.S., Inc.   21,347 3,441,777
Verizon Communications, Inc.   235,244 9,962,583
      14,712,832
Tobacco & Cannabis – 0.1%
Altria Group, Inc.   22,595 906,511
Transportation & Logistics – 2.0%
Alaska Air Group, Inc.*   41,655 1,492,499
Allegiant Travel Co.   18,746 1,469,686
ArcBest Corp.   12,745 1,518,312
C.H. Robinson Worldwide, Inc.   1,081 90,901
Canadian National Railway Co. (Canada)(b)   17,906 2,221,060
CSX Corp.   16,007 571,450
Expeditors International of Washington, Inc.   936 118,245
FedEx Corp.   1,546 373,034
JB Hunt Transport Services, Inc.   579 116,367
Kirby Corp.*   8,073 635,022
Knight-Swift Transportation Holdings, Inc.   1,507 86,472
Landstar System, Inc.   895 171,589
Norfolk Southern Corp.   2,290 538,700
Old Dominion Freight Line, Inc.   730 285,445
Saia, Inc.*   6,012 2,708,887
Union Pacific Corp.   60,967 14,871,680
United Parcel Service, Inc., Class B   28,784 4,084,450
      31,353,799
Transportation Equipment – 0.2%
Blue Bird Corp.*   11,246 327,596
Cummins, Inc.   817 195,508
PACCAR, Inc.   33,646 3,377,722
      3,900,826
Wholesale - Consumer Staples – 0.0%(a)
Archer-Daniels-Midland Co.   13,860 770,339
    Number
of Shares
Value
Wholesale - Discretionary – 0.2%
Pool Corp.   7,426 $2,756,903
Total Common Stocks
(Cost $1,124,304,897)
1,426,756,359
Master Limited Partnerships – 0.8%
Oil & Gas Producers – 0.8%
Energy Transfer L.P.   250,633 3,584,052
Enterprise Products Partners L.P.   196,313 5,253,336
MPLX L.P.   49,876 1,922,720
Plains All American Pipeline L.P.   134,090 2,070,349
Total Master Limited Partnerships
(Cost $10,707,401)
12,830,457
Investment Companies – 8.7%
Materials Select Sector SPDR® Fund ETF   268,006 22,032,773
Vanguard Consumer Staples ETF   188,727 36,379,017
Vanguard Health Care ETF(b)   312,268 80,140,459
Total Investment Companies
(Cost $128,848,527)
138,552,249
    
    Par(d)/Number
of Shares
 
Short-Term Investments – 1.6%
Money Market Funds – 1.5%
Northern Institutional Funds - Treasury Portfolio (Premier), 5.21%(e)   16,199,044 16,199,044
Northern Institutional Funds - Liquid Assets Portfolio (Shares), 5.37%(e)(f)   6,575,455 6,575,455
      22,774,499
U.S. Government Agencies – 0.1%(g)
Federal Home Loan Bank Discount Notes, 0.00%, 2/1/24(h)   $1,966,000 1,966,000
Total Short-Term Investments
(Cost $24,740,499)
24,740,499
Total Investments – 100.5%
(Cost $1,288,601,324)
1,602,879,564
Liabilities less Other Assets – (0.5)% (7,320,645)
NET ASSETS – 100.0% $1,595,558,919
 
8

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar U.S. Equity Fund
Percentages shown are based on Net Assets.
    
All securities are United States companies, unless noted otherwise in parentheses.
(a) Amount rounds to less than 0.05%.    
(b) Security either partially or fully on loan. As of January 31, 2024, the total value of securities on loan is $52,278,522.    
(c) Security sold outside United States without registration under the Securities Act of 1933.    
(d) Par value is in USD unless otherwise indicated.    
(e) 7-day current yield as of January 31, 2024 is disclosed.    
(f) Security purchased with the cash proceeds from securities loaned. As of January 31, 2024, total cash collateral has a value of $6,575,455 and total non-cash collateral has a value of $47,983,009.    
(g) The obligations of certain U.S. government-sponsored entities are neither issued nor guaranteed by the United States Treasury.    
(h) Zero coupon bond.    
* Non-Income Producing Security    
    
Abbreviations:
    
ETF Exchange-Traded Fund
L.P. Limited Partnership
PLC Public Limited Company
REIT Real Estate Investment Trust
S&P Standards & Poor's
SPDR Standard & Poor's Depositary Receipt
Valuation Hierarchy
The following is a summary of the inputs used, as of January 31, 2024, in valuing the Fund's investments carried at fair value:
Morningstar U.S. Equity Fund Level 1 Level 2 Level 3 Totals
Investments        
Assets:        
Common Stocks $1,413,830,188 $12,926,171 $— $1,426,756,359
Master Limited Partnerships 12,830,457 12,830,457
Investment Companies 138,552,249 138,552,249
Short-Term Investments 22,774,499 1,966,000 24,740,499
Total Investments $1,587,987,393 $14,892,171 $— $1,602,879,564
9

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments
Morningstar International Equity Fund
    Number
of Shares
Value
Common Stocks – 96.0%
Advertising & Marketing – 0.8%
Dentsu Group, Inc. (Japan)   14,394 $382,035
Publicis Groupe S.A. (France)   18,878 1,891,454
WPP PLC (United Kingdom)   411,346 3,977,919
      6,251,408
Aerospace & Defense – 0.1%
BAE Systems PLC (United Kingdom)   72,270 1,076,568
Apparel & Textile Products – 1.7%
adidas A.G. (Germany)   14,277 2,695,326
Cie Financiere Richemont S.A., Class A (Switzerland)(a)   14,624 2,172,170
Kering S.A. (France)   14,095 5,789,856
Swatch Group (The) A.G. (Bearer) (Switzerland)   9,398 2,206,265
Titan Co. Ltd. (India)   7,395 329,061
      13,192,678
Asset Management – 1.4%
EXOR N.V. (Netherlands)   32,151 3,110,691
HDFC Asset Management Co. Ltd. (India)(b)   12,367 533,461
Sanlam Ltd. (South Africa)   283,088 1,080,036
Schroders PLC (United Kingdom)   782,024 4,000,916
St. James's Place PLC (United Kingdom)   31,615 260,264
XP, Inc., Class A (Brazil)   85,929 2,112,135
      11,097,503
Automotive – 4.5%
Bayerische Motoren Werke A.G. (Germany)   42,055 4,375,952
Bridgestone Corp. (Japan)   45,300 1,962,971
Continental A.G. (Germany)   59,475 4,858,554
Denso Corp. (Japan)   56,400 885,934
Fuyao Glass Industry Group Co. Ltd., Class A (China)   270,400 1,433,220
Honda Motor Co. Ltd. (Japan)   216,900 2,424,522
Huayu Automotive Systems Co. Ltd., Class A (China)   341,800 773,288
Hyundai Mobis Co. Ltd. (South Korea)   4,803 752,887
Kia Corp. (South Korea)   9,015 692,452
Li Auto, Inc. ADR (China)(c)*   36,654 1,014,583
    Number
of Shares
Value
Automotive (Continued)
Mercedes-Benz Group A.G. (Germany)   85,190 $5,751,415
Nissan Motor Co. Ltd. (Japan)   226,676 889,891
Stanley Electric Co. Ltd. (Japan)   46,800 893,904
Sumitomo Electric Industries Ltd. (Japan)   40,600 539,640
Toyota Motor Corp. (Japan)   282,600 5,642,906
Valeo (France)   165,736 2,163,277
      35,055,396
Banking – 11.1%
Al Rajhi Bank (Saudi Arabia)   15,342 342,478
Axis Bank Ltd. (India)   215,825 2,774,930
Banco Bilbao Vizcaya Argentaria S.A. (Spain)   558,852 5,230,543
Banco do Brasil S.A. (Brazil)   185,500 2,116,940
Bank Central Asia Tbk PT (Indonesia)   1,903,700 1,151,789
Bank for Foreign Trade of Vietnam JSC (Vietnam)*   101,100 365,961
Bank Mandiri Persero Tbk PT (Indonesia)   5,272,600 2,219,848
Barclays PLC (United Kingdom)   290,611 540,051
BDO Unibank, Inc. (Philippines)   271,014 697,668
BNP Paribas S.A. (France)   91,298 6,133,781
Capitec Bank Holdings Ltd. (South Africa)   7,481 796,779
China Construction Bank Corp., Class H (China)   3,835,000 2,277,467
China Merchants Bank Co. Ltd., Class H (China)   245,113 893,532
CIMB Group Holdings Bhd. (Malaysia)   293,300 386,318
Commercial International Bank Egypt S.A.E. GDR (Egypt)(a)   409,324 483,002
Credicorp Ltd. (Peru)   18,352 2,723,987
DBS Group Holdings Ltd. (Singapore)   257,352 6,095,460
First Abu Dhabi Bank PJSC (United Arab Emirates)   110,087 438,883
Grupo Financiero Banorte S.A.B. de C.V., Class O (Mexico)   156,581 1,592,147
HDFC Bank Ltd. (India)   39,669 697,614
HDFC Bank Ltd. ADR (India)   60,180 3,339,388
HSBC Holdings PLC (United Kingdom)   364,295 2,844,307
 
10

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar International Equity Fund
    Number
of Shares
Value
Banking (Continued)
ICICI Bank Ltd. (India)   83,118 $1,029,428
ICICI Bank Ltd. ADR (India)   114,807 2,801,291
Intesa Sanpaolo S.p.A. (Italy)   1,577,139 4,859,633
Kasikornbank PCL (Thailand)(a)   202,900 686,294
KB Financial Group, Inc. (South Korea)   33,466 1,420,221
Kotak Mahindra Bank Ltd. (India)   47,688 1,048,126
Lloyds Banking Group PLC (United Kingdom)   13,455,682 7,212,997
Mitsubishi UFJ Financial Group, Inc. (Japan)   156,900 1,469,612
Mizuho Financial Group, Inc. (Japan)   30,700 557,560
National Bank of Greece S.A. (Greece)*   118,254 899,095
NatWest Group PLC (United Kingdom)   146,191 412,571
Nedbank Group Ltd. (South Africa)   110,999 1,289,480
OTP Bank Nyrt. (Hungary)   54,275 2,514,495
Qatar National Bank QPSC (Qatar)   222,273 945,433
Resona Holdings, Inc. (Japan)   102,800 567,483
Saudi Awwal Bank (Saudi Arabia)   34,986 334,234
Saudi National Bank (The) (Saudi Arabia)   144,607 1,561,688
Sberbank of Russia PJSC (Russia)(d)   405,212
Shinhan Financial Group Co. Ltd. (South Korea)   42,718 1,308,883
Skandinaviska Enskilda Banken AB, Class A (Sweden)   451,166 6,407,522
Standard Bank Group Ltd. (South Africa)   97,920 1,044,654
Standard Chartered PLC (United Kingdom)   62,271 470,616
Sumitomo Mitsui Financial Group, Inc. (Japan)   44,900 2,335,401
Sumitomo Mitsui Trust Holdings, Inc. (Japan)   74,200 1,520,601
      86,840,191
Beverages – 2.2%
Ambev S.A. ADR (Brazil)*   890,016 2,331,842
Anheuser-Busch InBev S.A./N.V. (Belgium)   40,100 2,480,490
Asahi Group Holdings Ltd. (Japan)   13,200 490,617
    Number
of Shares
Value
Beverages (Continued)
Becle S.A.B. de C.V. (Mexico)   71,800 $133,742
Budweiser Brewing Co. APAC Ltd. (China)(b)   246,100 387,889
Diageo PLC (United Kingdom)   48,488 1,751,283
Fomento Economico Mexicano S.A.B. de C.V. ADR (Mexico)(c)   49,240 6,673,990
Kirin Holdings Co. Ltd. (Japan)   93,000 1,336,779
Kweichow Moutai Co. Ltd., Class A (China)   1,700 379,982
Nongfu Spring Co. Ltd., Class H (China)(b)   77,200 418,976
Tingyi Cayman Islands Holding Corp. (China)   1,020,000 1,015,653
      17,401,243
Biotechnology & Pharmaceuticals – 5.5%
Astellas Pharma, Inc. (Japan)   61,400 714,848
AstraZeneca PLC (United Kingdom)   29,881 3,961,529
Bayer A.G. (Germany)(a)   165,530 5,150,734
BioNTech S.E. ADR (Germany)*   30,095 2,860,229
China Medical System Holdings Ltd. (China)   422,000 603,052
Chugai Pharmaceutical Co. Ltd. (Japan)   265,500 9,550,094
Daiichi Sankyo Co. Ltd. (Japan)   50,000 1,496,952
Genmab A/S (Denmark)*   9,271 2,563,637
GSK PLC   84,608 1,673,355
Hypera S.A. (Brazil)*   59,255 379,971
Novartis A.G. (Switzerland)(a)   19,700 2,037,252
Ono Pharmaceutical Co. Ltd. (Japan)   22,500 405,543
Roche Holding A.G. (Genusschein)   24,184 6,885,580
Shionogi & Co. Ltd. (Japan)   55,300 2,654,202
Takeda Pharmaceutical Co. Ltd. (Japan)   60,400 1,775,185
      42,712,163
Cable & Satellite – 0.3%
Liberty Global Ltd., Class A (Belgium)*   110,499 2,176,830
Chemicals – 2.9%
Air Liquide S.A. (France)   14,847 2,778,370
Akzo Nobel N.V. (Netherlands)   25,400 1,951,037
 
11

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar International Equity Fund
    Number
of Shares
Value
Chemicals (Continued)
Asian Paints Ltd. (India)   16,493 $585,857
Brenntag S.E. (Germany)   26,600 2,351,707
LG Chem Ltd. (South Korea)   3,756 1,218,015
Linde PLC   8,756 3,544,691
Nitto Denko Corp. (Japan)   12,700 1,053,565
Novozymes A/S, Class B (Denmark)(c)   33,924 1,738,290
Saudi Basic Industries Corp. (Saudi Arabia)   34,433 713,782
Shin-Etsu Chemical Co. Ltd. (Japan)   64,200 2,527,053
Symrise A.G. (Germany)   26,475 2,731,524
Toray Industries, Inc. (Japan)   91,000 454,675
UPL Ltd. (India)   149,529 967,606
      22,616,172
Commercial Support Services – 1.8%
Bidvest Group (The) Ltd. (South Africa)   65,535 863,987
Brambles Ltd. (Australia)   30,900 294,624
Compass Group PLC (United Kingdom)   80,161 2,207,937
Edenred (France)   40,600 2,424,978
Eurofins Scientific S.E. (France)   43,435 2,615,516
Recruit Holdings Co. Ltd. (Japan)   102,900 4,064,418
Rentokil Initial PLC (United Kingdom)   75,786 390,279
Secom Co. Ltd. (Japan)   13,800 1,001,609
      13,863,348
Construction Materials – 0.5%
Anhui Conch Cement Co. Ltd., Class H (China)   354,500 710,040
CRH PLC   6,654 472,046
Holcim Ltd.*   27,615 2,109,202
Siam Cement (The) PCL (Thailand)(a)   39,700 302,135
      3,593,423
Containers & Packaging – 0.1%
Klabin S.A. (Brazil)   99,297 428,301
Diversified Industrials – 1.1%
Alfa Laval AB (Sweden)   106,437 3,905,475
Hitachi Ltd. (Japan)   18,900 1,484,601
Siemens A.G. (Germany)(a)   18,457 3,304,244
      8,694,320
    Number
of Shares
Value
E-Commerce Discretionary – 2.1%
Alibaba Group Holding Ltd. (China)   1,001,656 $8,983,831
Alibaba Group Holding Ltd. ADR (China)   21,553 1,555,480
JD.com, Inc. ADR (China)   21,261 479,435
JD.com, Inc., Class A (China)   193,650 2,183,624
MercadoLibre, Inc. (Brazil)*   536 917,530
PDD Holdings, Inc. ADR (China)*   20,422 2,590,939
      16,710,839
Electric Utilities – 0.3%
Chubu Electric Power Co., Inc. (Japan)   39,581 513,472
Engie Brasil Energia S.A. (Brazil)   80,500 659,189
National Grid PLC (United Kingdom)   64,599 860,401
SSE PLC (United Kingdom)   17,453 371,713
      2,404,775
Electrical Equipment – 1.8%
Assa Abloy AB, Class B (Sweden)   98,915 2,712,816
Daikin Industries Ltd. (Japan)   6,900 1,105,603
Mitsubishi Electric Corp. (Japan)   132,500 1,966,340
Schindler Holding A.G. (Switzerland)   6,295 1,568,014
Schneider Electric S.E.   27,116 5,326,942
Shenzhen Inovance Technology Co. Ltd., Class A (China)   21,600 168,227
Voltas Ltd. (India)   68,251 897,785
      13,745,727
Engineering & Construction – 0.2%
Indus Towers Ltd. (India)*   495,010 1,322,601
Larsen & Toubro Ltd. (India)   13,029 545,463
      1,868,064
Entertainment Content – 0.4%
NetEase, Inc. (China)   74,700 1,452,027
NetEase, Inc. ADR (China)   6,232 608,492
Nexon Co. Ltd. (Japan)   22,300 355,887
Square Enix Holdings Co. Ltd. (Japan)   10,500 410,301
      2,826,707
Food – 1.1%
Chacha Food Co. Ltd., Class A (China)   79,600 337,793
Danone S.A. (France)   39,600 2,638,296
 
12

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar International Equity Fund
    Number
of Shares
Value
Food (Continued)
Gruma S.A.B. de C.V., Class B (Mexico)   27,870 $521,404
MEIJI Holdings Co. Ltd. (Japan)   50,300 1,216,486
Nestle S.A. ADR   23,880 2,719,932
Universal Robina Corp. (Philippines)   8,870 17,591
Want Want China Holdings Ltd. (China)   1,048,000 577,758
Yamazaki Baking Co. Ltd. (Japan)   24,300 576,210
      8,605,470
Gas & Water Utilities – 0.4%
ENN Energy Holdings Ltd. (China)   204,800 1,524,501
ENN Natural Gas Co. Ltd., Class A (China)   258,076 627,158
Osaka Gas Co. Ltd. (Japan)   31,100 654,868
Severn Trent PLC (United Kingdom)   8,494 279,207
      3,085,734
Health Care Facilities & Services – 1.7%
Alfresa Holdings Corp. (Japan)   30,800 505,088
Bangkok Dusit Medical Services PCL NVDR (Thailand)   510,600 395,785
Bumrungrad Hospital PCL (Thailand)(a)   60,500 409,274
Fresenius Medical Care A.G. & Co. KGaA (Germany)   128,600 4,970,340
Fresenius S.E. & Co. KGaA (Germany)   149,900 4,208,119
Life Healthcare Group Holdings Ltd. (South Africa)   973,529 961,440
Nahdi Medical Co. (Saudi Arabia)   5,649 211,832
Sinopharm Group Co. Ltd., Class H (China)   579,123 1,522,795
      13,184,673
Home & Office Products – 0.7%
Coway Co. Ltd. (South Korea)   17,025 706,193
Gree Electric Appliances, Inc. of Zhuhai, Class A (China)   234,700 1,152,689
Haier Smart Home Co. Ltd., Class A (China)   862,300 2,682,581
Midea Group Co. Ltd., Class A (China)   151,100 1,224,569
      5,766,032
    Number
of Shares
Value
Home Construction – 0.1%
Berkeley Group Holdings (The) PLC (United Kingdom)   8,867 $536,938
Sekisui House Ltd. (Japan)   24,869 561,398
      1,098,336
Household Products – 3.8%
Haleon PLC   1,377,232 5,593,994
Hengan International Group Co. Ltd. (China)   288,000 891,789
Henkel A.G. & Co. KGaA (Germany)   30,300 2,072,238
Hindustan Unilever Ltd. (India)   20,363 608,888
Kao Corp. (Japan)   44,200 1,748,887
Kimberly-Clark de Mexico S.A.B. de C.V., Series A (Mexico)   449,507 1,020,639
L'Oreal S.A. (France)   12,577 6,018,779
Reckitt Benckiser Group PLC (United Kingdom)   51,766 3,742,728
Shiseido Co. Ltd. (Japan)   50,000 1,393,835
Unicharm Corp. (Japan)   81,100 2,790,520
Unilever PLC (United Kingdom)   53,063 2,582,058
Unilever PLC (London Exchange) (United Kingdom)   23,090 1,125,583
      29,589,938
Industrial Intermediate Products – 0.4%
SKF AB, Class B (Sweden)   154,900 3,052,325
Industrial Support Services – 0.4%
Ashtead Group PLC (United Kingdom)   41,534 2,715,989
Institutional Financial Services – 0.4%
B3 S.A. - Brasil Bolsa Balcao (Brazil)   308,533 814,551
Daiwa Securities Group, Inc. (Japan)   91,200 653,618
Japan Exchange Group, Inc. (Japan)   25,900 573,212
London Stock Exchange Group PLC (United Kingdom)   8,393 949,366
Moscow Exchange MICEX PJSC (Russia)(d)   83,130
      2,990,747
Insurance – 4.7%
AIA Group Ltd. (Hong Kong)   587,000 4,603,500
Allianz S.E. (Germany)(a)   38,996 10,418,798
 
13

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar International Equity Fund
    Number
of Shares
Value
Insurance (Continued)
Aviva PLC (United Kingdom)   53,582 $292,481
BB Seguridade Participacoes S.A. (Brazil)   309,900 2,151,736
Dai-ichi Life Holdings, Inc. (Japan)   41,200 903,630
HDFC Life Insurance Co. Ltd. (India)(b)   117,771 817,776
Legal & General Group PLC (United Kingdom)   94,894 305,221
Manulife Financial Corp. (Canada)   280,100 6,191,805
MS&AD Insurance Group Holdings, Inc. (Japan)   25,900 1,069,534
Ping An Insurance Group Co. of China Ltd., Class H (China)   536,000 2,253,099
Prudential PLC (Hong Kong)   579,679 5,954,792
Sompo Holdings, Inc. (Japan)   10,300 534,070
Tokio Marine Holdings, Inc. (Japan)   40,200 1,059,971
      36,556,413
Internet Media & Services – 3.5%
Baidu, Inc., Class A (China)*   195,500 2,531,181
Meituan, Class B (China)(b)*   246,990 1,986,597
NAVER Corp. (South Korea)   21,015 3,133,802
Prosus N.V. (China)*   185,367 5,514,978
Tencent Holdings Ltd. (China)   285,500 9,910,082
Tencent Music Entertainment Group ADR (China)*   159,435 1,498,689
Trip.com Group Ltd. (China)*   44,750 1,628,875
Trip.com Group Ltd. ADR (China)*   35,958 1,314,625
      27,518,829
Leisure Facilities & Services – 1.3%
Accor S.A. (France)   90,719 3,582,813
Entain PLC (United Kingdom)   20,529 250,051
InterContinental Hotels Group PLC (United Kingdom)   6,376 604,146
Jiumaojiu International Holdings Ltd. (China)(b)   374,000 220,291
Jollibee Foods Corp. (Philippines)   130,510 588,854
Las Vegas Sands Corp.   32,229 1,576,643
OPAP S.A. (Greece)   34,253 593,016
    Number
of Shares
Value
Leisure Facilities & Services (Continued)
Yum China Holdings, Inc. (China)   6,950 $239,121
Yum China Holdings, Inc. (New York Stock Exchange) (China)   62,784 2,171,698
      9,826,633
Leisure Products – 0.3%
Shimano, Inc. (Japan)   18,000 2,584,356
Machinery – 4.9%
Atlas Copco AB, Class A (Sweden)   270,026 4,309,459
CNH Industrial N.V.   583,766 7,005,192
Daifuku Co. Ltd. (Japan)   106,400 2,098,208
Doosan Bobcat, Inc. (South Korea)   7,344 279,689
Epiroc AB, Class A (Sweden)   163,809 2,894,300
FANUC Corp. (Japan)   55,500 1,535,262
Hangcha Group Co. Ltd., Class A (China)   119,000 380,136
Hongfa Technology Co. Ltd., Class A (China)   77,600 242,104
Keyence Corp. (Japan)   9,600 4,295,020
Komatsu Ltd. (Japan)   229,300 6,523,576
Nabtesco Corp. (Japan)   23,666 454,882
Sandvik AB (Sweden)   74,700 1,569,888
SMC Corp. (Japan)   2,500 1,391,611
Smiths Group PLC (United Kingdom)   74,744 1,531,776
Sumitomo Heavy Industries Ltd. (Japan)   21,164 549,089
WEG S.A. (Brazil)   69,063 450,253
Zhejiang Dingli Machinery Co. Ltd., Class A (China)   38,393 275,745
Zhejiang Sanhua Intelligent Controls Co. Ltd., Class A (China)   951,200 2,778,756
      38,564,946
Medical Equipment & Devices – 1.5%
Alcon, Inc. (Switzerland)(c)   48,639 3,653,275
FUJIFILM Holdings Corp. (Japan)   16,700 1,058,528
Hoya Corp. (Japan)   8,100 1,028,937
Olympus Corp. (Japan)   57,600 852,691
Shenzhen Mindray Bio-Medical Electronics Co. Ltd., Class A (China)   11,400 426,195
Smith & Nephew PLC (United Kingdom)   30,066 420,473
 
14

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar International Equity Fund
    Number
of Shares
Value
Medical Equipment & Devices (Continued)
Sonova Holding A.G. (Switzerland)(a)   8,084 $2,583,619
Sysmex Corp. (Japan)   33,900 1,836,441
      11,860,159
Metals & Mining – 2.7%
Anglo American PLC (South Africa)   53,328 1,271,216
BHP Group Ltd. ADR (Australia)(c)   74,562 4,564,686
Cameco Corp. (Canada)   7,295 348,295
China Shenhua Energy Co. Ltd., Class H (China)   178,000 675,276
Glencore PLC (Australia)   798,703 4,225,904
Grupo Mexico S.A.B. de C.V., Series B (Mexico)   205,425 1,058,903
Hindalco Industries Ltd. (India)   84,555 588,889
Rio Tinto PLC (Australia)   88,175 6,103,424
Sumitomo Metal Mining Co. Ltd. (Japan)   15,300 422,872
United Tractors Tbk PT (Indonesia)   431,700 627,091
Vale S.A. ADR (Brazil)   106,821 1,462,379
      21,348,935
Oil & Gas Producers – 6.2%
BP PLC (United Kingdom)   934,721 5,459,160
Canadian Natural Resources Ltd. (Canada)   26,646 1,705,249
Cenovus Energy, Inc. (Canada)   20,829 337,428
Chevron Corp.   5,184 764,277
China Petroleum & Chemical Corp., Class H (China)   1,067,092 555,105
Ecopetrol S.A. ADR (Colombia)(c)   13,677 164,534
ENEOS Holdings, Inc. (Japan)   144,000 581,552
Eni S.p.A. (Italy)   74,026 1,180,074
Equinor ASA (Norway)   27,585 789,402
Exxon Mobil Corp.   17,338 1,782,520
Galp Energia SGPS S.A. (Portugal)   142,749 2,247,119
Gazprom PJSC (Russia)(d)*   421,794
Imperial Oil Ltd. (Canada)   4,733 273,007
Inpex Corp. (Japan)   85,100 1,156,719
LUKOIL PJSC (Russia)(d)   61,010
MOL Hungarian Oil & Gas PLC (Hungary)   103,284 846,469
Neste OYJ (Finland)   23,474 809,255
OMV A.G. (Austria)   6,107 271,831
    Number
of Shares
Value
Oil & Gas Producers (Continued)
Petroleo Brasileiro S.A. ADR (Brazil)   241,816 $4,127,799
PTT Exploration & Production PCL (Thailand)(a)   183,500 775,691
Reliance Industries Ltd. (India)   65,864 2,262,858
Repsol S.A. (Spain)   35,377 522,458
Rosneft Oil Co. PJSC (Russia)(d)   210,931
Santos Ltd. (Australia)   51,994 262,775
Shell PLC (Netherlands)   473,156 14,668,938
Suncor Energy, Inc. (Canada)   32,366 1,071,765
TotalEnergies S.E. (France)   66,838 4,336,154
Vibra Energia S.A. (Brazil)*   211,000 1,013,604
Woodside Energy Group Ltd. (Australia)   22,524 471,117
      48,436,860
Publishing & Broadcasting – 0.2%
Informa PLC (United Kingdom)   172,311 1,692,361
Real Estate Owners & Developers – 0.4%
China Vanke Co. Ltd., Class H (China)   494,295 388,910
Mitsubishi Estate Co. Ltd. (Japan)   115,100 1,594,816
Mitsui Fudosan Co. Ltd. (Japan)   23,300 584,918
Sumitomo Realty & Development Co. Ltd. (Japan)   17,800 559,795
Wharf Real Estate Investment Co. Ltd. (Hong Kong)   64,000 187,509
      3,315,948
Real Estate Services – 0.1%
KE Holdings, Inc. ADR (China)   57,969 821,421
Renewable Energy – 0.2%
LONGi Green Energy Technology Co. Ltd., Class A (China)   641,500 1,726,999
Retail - Consumer Staples – 1.6%
Alibaba Health Information Technology Ltd. (China)(c)*   2,090,000 767,983
Alimentation Couche-Tard, Inc. (Canada)   65,973 3,865,784
Clicks Group Ltd. (South Africa)   40,570 652,111
 
15

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar International Equity Fund
    Number
of Shares
Value
Retail - Consumer Staples (Continued)
Jeronimo Martins SGPS S.A. (Portugal)   15,571 $354,136
Raia Drogasil S.A. (Brazil)   251,429 1,283,940
Seven & i Holdings Co. Ltd. (Japan)   22,800 900,482
Sumber Alfaria Trijaya Tbk PT (Indonesia)   2,080,700 349,213
Tesco PLC (United Kingdom)   229,653 832,175
Wal-Mart de Mexico S.A.B. de C.V. (Mexico)   378,463 1,563,195
Woolworths Holdings Ltd. (South Africa)   117,117 433,938
Yifeng Pharmacy Chain Co. Ltd., Class A (China)   236,456 1,248,054
      12,251,011
Retail - Discretionary – 0.7%
Associated British Foods PLC (United Kingdom)   13,869 410,791
Astra International Tbk PT (Indonesia)   2,820,000 913,794
Fast Retailing Co. Ltd. (Japan)   4,500 1,201,396
Jardine Matheson Holdings Ltd. (Hong Kong)   16,700 670,574
Kingfisher PLC (United Kingdom)   98,393 273,565
Localiza Rent a Car S.A. (Brazil)*   121,168 1,330,686
Zhongsheng Group Holdings Ltd. (China)   507,500 856,673
      5,657,479
Semiconductors – 4.8%
ASE Technology Holding Co. Ltd. (Taiwan)   608,000 2,628,855
ASMPT Ltd. (Hong Kong)   65,100 628,240
Globalwafers Co. Ltd. (Taiwan)   48,000 886,782
Infineon Technologies A.G. (Germany)   184,692 6,733,301
MediaTek, Inc. (Taiwan)   78,000 2,406,895
Novatek Microelectronics Corp. (Taiwan)   62,000 1,009,962
SK Hynix, Inc. (South Korea)   18,398 1,842,388
Taiwan Semiconductor Manufacturing Co. Ltd. (Taiwan)   535,945 10,728,815
    Number
of Shares
Value
Semiconductors (Continued)
Taiwan Semiconductor Manufacturing Co. Ltd. ADR (Taiwan)   79,180 $8,944,173
Tokyo Electron Ltd. (Japan)   10,300 1,911,396
      37,720,807
Software – 1.8%
Dassault Systemes S.E. (France)   68,303 3,540,711
Open Text Corp. (Canada)   80,848 3,525,693
SAP S.E. (Germany)   13,100 2,269,530
SAP S.E. ADR (Germany)   25,621 4,434,995
ZWSOFT Co. Ltd. (Guangzhou), Class A (China)   23,986 241,175
      14,012,104
Specialty Finance – 0.2%
Chailease Holding Co. Ltd. (Taiwan)   110,080 609,351
Jio Financial Services Ltd. (India)*   42,276 126,224
ORIX Corp. (Japan)   36,500 704,788
      1,440,363
Steel – 0.5%
Mitsui & Co. Ltd. (Japan)   40,800 1,654,736
Ternium S.A. ADR (Mexico)   13,951 539,346
thyssenkrupp A.G. (Germany)   214,400 1,323,210
      3,517,292
Technology Hardware – 4.7%
Casio Computer Co. Ltd. (Japan)   53,100 457,845
Hon Hai Precision Industry Co. Ltd. (Taiwan)   204,000 667,330
Kyocera Corp. (Japan)   68,800 1,007,237
Lenovo Group Ltd. (China)   1,672,000 1,750,703
Murata Manufacturing Co. Ltd. (Japan)   96,600 1,950,559
Nidec Corp. (Japan)   24,900 928,691
Nintendo Co. Ltd. (Japan)   53,600 2,994,681
Panasonic Holdings Corp. (Japan)   99,300 935,285
Samsung Electronics Co. Ltd. (South Korea)   103,461 5,621,744
Samsung Electronics Co. Ltd. GDR (South Korea)(a)   6,004 8,204,878
Sony Group Corp. (Japan)   97,400 9,551,862
TDK Corp. (Japan)   36,100 1,796,150
Yageo Corp. (Taiwan)   57,000 1,002,579
      36,869,544
 
16

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar International Equity Fund
    Number
of Shares
Value
Technology Services – 2.6%
Adyen N.V. (Netherlands)(b)*   2,381 $2,986,221
Amadeus IT Group S.A. (Spain)   38,700 2,712,111
Arabian Internet & Communications Services Co. (Saudi Arabia)   1,689 147,367
Capgemini S.E. (France)   13,455 2,991,334
Experian PLC   17,040 709,246
Fujitsu Ltd. (Japan)   18,500 2,560,665
Globant S.A.*   3,264 769,684
Infosys Ltd. (India)   86,172 1,717,940
Infosys Ltd. ADR (India)(c)   47,975 952,783
RELX PLC (United Kingdom)   35,687 1,472,948
Tata Consultancy Services Ltd. (India)   26,845 1,233,021
Worldline S.A. (France)(b)*   157,600 2,130,514
      20,383,834
Telecommunications – 1.7%
America Movil S.A.B. de C.V. ADR (Mexico)   51,081 922,012
BT Group PLC (United Kingdom)   155,181 219,850
KDDI Corp. (Japan)   66,900 2,216,735
KT Corp. (South Korea)   39,738 1,052,580
Mobile TeleSystems PJSC ADR (Russia)(d)*   138,416
Nippon Telegraph & Telephone Corp. (Japan)   1,047,500 1,315,403
Softbank Corp. (Japan)   37,500 498,219
SoftBank Group Corp. (Japan)   49,200 2,123,996
Telkom Indonesia Persero Tbk PT (Indonesia)   11,093,400 2,782,523
Telkom Indonesia Persero Tbk PT ADR (Indonesia)(c)   40,196 1,011,331
Vodacom Group Ltd. (South Africa)   194,365 969,204
Vodafone Group PLC (United Kingdom)   559,077 475,295
      13,587,148
Tobacco & Cannabis – 0.4%
British American Tobacco PLC (United Kingdom)   53,879 1,588,547
Japan Tobacco, Inc. (Japan)   17,700 466,526
KT&G Corp. (South Korea)   9,237 627,324
      2,682,397
    Number
of Shares
Value
Transportation & Logistics – 1.5%
Canadian National Railway Co. (Canada)(c)   21,365 $2,650,115
CCR S.A. (Brazil)   358,560 953,140
DSV A/S (Denmark)   14,700 2,629,974
East Japan Railway Co. (Japan)   31,000 1,772,972
Grupo Aeroportuario del Pacifico S.A.B. de C.V. ADR (Mexico)(c)   1,228 191,433
Ryanair Holdings PLC ADR (Italy)   24,691 3,298,718
ZTO Express Cayman, Inc. ADR (China)   28,032 458,603
      11,954,955
Transportation Equipment – 1.0%
Daimler Truck Holding A.G. (Germany)   110,039 3,932,482
Volvo AB, Class B (Sweden)   111,300 2,667,341
Weichai Power Co. Ltd., Class H (China)   847,000 1,495,349
      8,095,172
Wholesale - Consumer Staples – 0.6%
Bid Corp. Ltd. (South Africa)   18,194 441,311
ITOCHU Corp. (Japan)   51,800 2,350,898
Mitsubishi Corp. (Japan)   96,900 1,670,066
      4,462,275
Wholesale - Discretionary – 0.1%
Bunzl PLC (United Kingdom)   22,426 911,388
Total Common Stocks
(Cost $730,896,260)
750,444,529
Preferred Stocks – 0.5%
Chemicals – 0.1%
Sociedad Quimica y Minera de Chile S.A. ADR, 1.18% (Chile)(c)(e)   13,234 556,754
Technology Hardware – 0.4%
Samsung Electronics Co. Ltd., 2.46% (South Korea)(e)   73,900 3,233,558
Total Preferred Stocks
(Cost $4,724,594)
3,790,312
 
17

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar International Equity Fund
    Number
of Shares
Value
Rights – 0.0%(f)
Retail - Discretionary – 0.0%(f)
Localiza Rent a Car S.A. (Brazil)*   363 $733
Total Rights
(Cost $—)
733
    
    Number
of Shares
 
Short-Term Investments – 3.6%
Money Market Funds – 3.6%
Northern Institutional Funds - Treasury Portfolio (Premier), 5.17%(g)   24,839,212 24,839,212
    Number
of Shares
Value
Money Market Funds (Continued)
Northern Institutional Funds - Liquid Assets Portfolio (Shares), 5.37%(g)(h)   3,000,567 $3,000,567
Total Short-Term Investments
(Cost $27,839,779)
27,839,779
Total Investments – 100.1%
(Cost $763,460,633)
782,075,353
Liabilities less Other Assets – (0.1)% (583,281)
NET ASSETS – 100.0% $781,492,072
 
Percentages shown are based on Net Assets.
    
All securities are United States companies, unless noted otherwise in parentheses.
(a) Security sold outside United States without registration under the Securities Act of 1933.    
(b) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.    
(c) Security either partially or fully on loan. As of January 31, 2024, the total value of securities on loan is $9,818,979.    
(d) Investment is valued using significant unobservable inputs (Level 3).    
(e) Current yield is disclosed. Dividends are calculated based on a percentage of the issuer’s net income.    
(f) Amount rounds to less than 0.05%.    
(g) 7-day current yield as of January 31, 2024 is disclosed.    
(h) Security purchased with the cash proceeds from securities loaned. As of January 31, 2024, total cash collateral has a value of $3,000,567 and total non-cash collateral has a value of $7,232,266.    
* Non-Income Producing Security    
    
Abbreviations:
    
ADR American Depositary Receipt
GDR Global Depositary Receipt
JSC Joint Stock Company
MICEX Moscow Interbank Currency Exchange
NVDR Non-Voting Depositary Receipt
PCL Public Company Limited
PJSC Public Joint Stock Company
PLC Public Limited Company
QPSC Qatari Public Shareholding Company
18

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar International Equity Fund
Concentration by Currency (%)(a)  
Euro 20.3
Japanese Yen 17.6
U.S. Dollar 13.2
British Pound 12.6
Hong Kong Dollar 6.9
All other currencies less than 5% 29.4
Total 100.0
(a) Percentages shown are based on Net Assets.  
Country Diversification (%)(a)  
Japan 17.6
China 10.6
Germany 9.5
United Kingdom 7.6
France 6.3
United States 5.2
All other countries less than 5%(b) 43.2
Total 100.0
    
(a) Percentages shown are based on Net Assets.
(b) Includes Other.
 
Valuation Hierarchy
The following is a summary of the inputs used, as of January 31, 2024, in valuing the Fund's investments carried at fair value:
Morningstar International Equity Fund Level 1 Level 2 Level 3 Totals
Investments        
Assets:        
Common Stocks $147,177,805 $603,266,724 $—* $750,444,529
Preferred Stocks 556,754 3,233,558 3,790,312
Rights 733 733
Short-Term Investments 27,839,779 27,839,779
Total Investments $175,575,071 $606,500,282 $— $782,075,353
    
*Includes securities determined to have no value as of January 31, 2024.
19

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments
Morningstar Global Income Fund
    Par(a) Value
Asset-Backed Securities – 4.4%
Other – 4.1%
AGL CLO 12 Ltd., Series 2021-12A, Class D, (3M CME Term SOFR + 3.11%, 2.85% Floor), 8.43%, 7/20/34(b)(c)   $250,000 $243,973
Aimco CLO 12 Ltd., Series 2020-12A, Class DR, (3M CME Term SOFR + 2.90%, 2.90% Floor), 8.22%, 1/17/32(b)(c)   250,000 250,300
Ameriquest Mortgage Securities, Inc. Asset-Backed Pass-Through Certificates, Series 2005-R3, Class M4, (1M CME Term SOFR + 1.04%, 0.93% Floor), 6.38%, 5/25/35(c)   89,856 88,460
Apex Credit CLO Ltd., Series 2022-1A, Class D, (3M CME Term SOFR + 4.40%, 4.40% Floor), 9.72%, 4/22/33(b)(c)   130,000 129,095
Bain Capital Credit CLO Ltd., Series 2022-2A, Class D1, (3M CME Term SOFR + 3.65%, 3.65% Floor), 8.97%, 4/22/35(b)(c)   250,000 251,038
Barings CLO Ltd.,      
Series 2016-2A, Class ER2, (3M CME Term SOFR + 6.76%, 6.50% Floor), 12.08%, 1/20/32(b)(c)   390,000 382,185
Series 2018-3A, Class D, (3M CME Term SOFR + 3.16%), 8.48%, 7/20/29(b)(c)   260,000 258,703
BlueMountain CLO XXIX Ltd., Series 2020-29A, Class ER, (3M CME Term SOFR + 7.12%, 6.86% Floor), 12.45%, 7/25/34(b)(c)   250,000 245,589
Bristol Park CLO Ltd., Series 2016-1A, Class DR, (3M CME Term SOFR + 3.21%, 2.95% Floor), 8.53%, 4/15/29(b)(c)   250,000 246,883
Canyon CLO Ltd., Series 2020-1A, Class BR, (3M CME Term SOFR + 1.96%, 1.70% Floor), 7.28%, 7/15/34(b)(c)   250,000 249,449
    Par(a) Value
Other (Continued)
CarVal CLO VII-C Ltd., Series 2023-1A, Class A1, (3M CME Term SOFR + 2.20%, 2.20% Floor), 7.52%, 1/20/35(b)(c)   $240,000 $240,948
Cook Park CLO Ltd., Series 2018-1A, Class D, (3M CME Term SOFR + 2.86%), 8.18%, 4/17/30(b)(c)   250,000 238,809
GoodLeap Sustainable Home Solutions Trust, Series 2021-3CS, Class C, 3.50%, 5/20/48(b)   466,476 305,603
Greenwood Park CLO Ltd., Series 2018-1A, Class E, (3M CME Term SOFR + 5.21%), 10.53%, 4/15/31(b)(c)   250,000 238,909
Hildene Community Funding CDO Ltd., Series 2015-1A, Class ARR, 2.60%, 11/01/35(b)   233,012 188,062
KKR CLO 40 Ltd., Series 40A, Class D, (3M CME Term SOFR + 3.90%, 3.90% Floor), 9.22%, 10/20/34(b)(c)   300,000 299,567
Magnetite VII Ltd., Series 2012-7A, Class DR2, (3M CME Term SOFR + 4.76%), 10.08%, 1/15/28(b)(c)   250,000 248,549
National Collegiate Student Loan Trust, Series 2007-2, Class A4, (1M CME Term SOFR + 0.40%), 5.74%, 1/25/33(c)   336,981 314,622
Neuberger Berman Loan Advisers CLO 33 Ltd., Series 2019-33A, Class DR, (3M CME Term SOFR + 3.16%, 2.90% Floor), 8.48%, 10/16/33(b)(c)   250,000 249,397
Oaktree CLO Ltd., Series 2022-1A, Class E, (3M CME Term SOFR + 7.76%, 7.76% Floor), 13.14%, 5/15/33(b)(c)   487,000 485,287
Ocean Trails CLO IX, Series 2020-9A, Class DR, (3M CME Term SOFR + 4.01%, 3.75% Floor), 9.33%, 10/15/34(b)(c)   280,000 270,994
 
20

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Other (Continued)
Ocean Trails CLO XIV Ltd., Series 2023-14A, Class A1, (3M CME Term SOFR + 2.00%, 2.00% Floor), 7.32%, 1/20/35(b)(c)   $220,000 $220,980
Octagon Investment Partners 32 Ltd., Series 2017-1A, Class D, (3M CME Term SOFR + 3.66%), 8.98%, 7/15/29(b)(c)   250,000 246,251
OHA Loan Funding Ltd., Series 2013-1A, Class DR2, (3M CME Term SOFR + 3.31%), 8.63%, 7/23/31(b)(c)   200,000 199,003
Palmer Square Loan Funding Ltd., Series 2022-3A, Class C, (3M CME Term SOFR + 5.40%, 5.40% Floor), 10.71%, 4/15/31(b)(c)   210,000 211,645
Pioneer Aircraft Finance Ltd., Series 2019-1, Class A, 3.97%, 6/15/44(b)   187,663 165,151
RAD CLO 21 Ltd., Series 2023-21A, Class D, (3M CME Term SOFR + 4.40%, 4.40% Floor), 9.77%, 1/25/33(b)(c)   160,000 160,000
SMB Private Education Loan Trust, Series 2021-A, Class D1, 3.86%, 1/15/53(b)   199,088 174,993
Stonepeak ABS, Series 2021-1A, Class A, 2.68%, 2/28/33(b)   258,297 234,882
Sycamore Tree CLO Ltd., Series 2023-2A, Class A, (3M CME Term SOFR + 2.33%, 2.33% Floor), 7.65%, 4/20/35(b)(c)   250,000 252,354
Symphony CLO XXV Ltd., Series 2021-25A, Class D, (3M CME Term SOFR + 3.86%, 3.60% Floor), 9.17%, 4/19/34(b)(c)   250,000 245,205
Trinitas Clo XXVI Ltd., Series 2023-26A, Class C, (3M CME Term SOFR + 2.95%, 2.95% Floor), 8.27%, 1/20/35(b)(c)   170,000 169,914
    Par(a) Value
Other (Continued)
Valley Stream Park CLO Ltd., Series 2022-1A, Class DR, (3M CME Term SOFR + 4.15%, 4.15% Floor), 9.47%, 10/20/34(b)(c)   $110,000 $110,006
Voya CLO Ltd., Series 2020-3A, Class DR, (3M CME Term SOFR + 3.51%, 3.25% Floor), 8.83%, 10/20/34(b)(c)   260,000 256,548
      8,073,354
Specialty Finance – 0.3%
MF1 LLC, Series 2022-FL9, Class A, (1M CME Term SOFR + 2.15%, 2.15% Floor), 7.49%, 6/19/37(b)(c)   240,000 240,884
Whitebox CLO IV Ltd., Series 2023-4A, Class A1, (3M CME Term SOFR + 2.15%, 2.15% Floor), 7.47%, 4/20/36(b)(c)   260,000 261,603
      502,487
Total Asset-Backed Securities
(Cost $8,607,058)
8,575,841
    
    Number
of Shares
 
Common Stocks – 44.1%
Advertising & Marketing – 0.0%(d)
WPP PLC (United Kingdom)   2,106 20,366
Aerospace & Defense – 1.8%
BAE Systems PLC (United Kingdom)   235,041 3,501,282
Asset Management – 1.5%
BlackRock, Inc.   431 333,728
Blackstone, Inc.   1,672 208,080
Macquarie Korea Infrastructure Fund (South Korea)   224,573 2,093,774
St. James's Place PLC (United Kingdom)   1,461 12,027
T. Rowe Price Group, Inc.   2,999 325,242
      2,972,851
Automotive – 0.6%
Mercedes-Benz Group A.G. (Germany)   17,212 1,162,030
 
21

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Number
of Shares
Value
Banking – 3.7%
Barclays PLC (United Kingdom)   14,482 $26,912
BNP Paribas S.A. (France)   30,051 2,018,952
Grupo Financiero Banorte S.A.B. de C.V., Class O (Mexico)   165,800 1,685,888
HSBC Holdings PLC (United Kingdom)   17,402 135,870
JPMorgan Chase & Co.   14,130 2,463,707
Lloyds Banking Group PLC (United Kingdom)   82,968 44,475
NatWest Group PLC (United Kingdom)   7,139 20,147
PNC Financial Services Group (The), Inc.   1,738 262,803
Standard Chartered PLC (United Kingdom)   2,976 22,491
Truist Financial Corp.   3,253 120,556
U.S. Bancorp   8,096 336,308
      7,138,109
Beverages – 2.1%
Arca Continental S.A.B. de C.V. (Mexico)   243,102 2,763,861
Coca-Cola (The) Co.   12,946 770,158
Diageo PLC (United Kingdom)   2,332 84,227
PepsiCo, Inc.   3,174 534,914
      4,153,160
Biotechnology & Pharmaceuticals – 2.8%
AbbVie, Inc.   4,274 702,645
Amgen, Inc.   1,593 500,616
AstraZeneca PLC (United Kingdom)   1,449 192,104
Bristol-Myers Squibb Co.   7,349 359,146
Gilead Sciences, Inc.   5,403 422,839
GSK PLC   4,051 80,119
Johnson & Johnson   5,552 882,213
Novartis A.G. ADR (Switzerland)   17,806 1,842,387
Pfizer, Inc.   17,623 477,231
      5,459,300
Cable & Satellite – 0.5%
Comcast Corp., Class A   19,316 898,967
Chemicals – 0.3%
Air Products and Chemicals, Inc.   2,040 521,648
    Number
of Shares
Value
Commercial Support Services – 0.0%(d)
Compass Group PLC (United Kingdom)   1,603 $44,153
Rentokil Initial PLC (United Kingdom)   3,454 17,787
      61,940
Construction Materials – 0.7%
Cie de Saint-Gobain (France)   18,457 1,305,031
CRH PLC   320 22,701
      1,327,732
Containers & Packaging – 0.2%
Amcor PLC   45,635 430,338
Diversified Industrials – 1.4%
Emerson Electric Co.   4,632 424,894
Illinois Tool Works, Inc.   829 216,286
Siemens A.G. (Germany)(e)   11,260 2,015,809
      2,656,989
Electric Utilities – 0.9%
American Electric Power Co., Inc.   4,636 362,257
Dominion Energy, Inc.   7,050 322,326
Duke Energy Corp.   5,752 551,214
Edison International   5,418 365,607
National Grid PLC (United Kingdom)   3,165 42,155
SSE PLC (United Kingdom)   917 19,530
      1,663,089
Electrical Equipment – 0.5%
Johnson Controls International PLC   19,250 1,014,283
Food – 0.2%
Mondelez International, Inc., Class A   6,042 454,781
Forestry, Paper & Wood Products – 0.9%
UPM-Kymmene OYJ (Finland)   49,338 1,794,533
Gas & Water Utilities – 0.1%
NiSource, Inc.   8,206 213,110
Severn Trent PLC (United Kingdom)   433 14,233
      227,343
Health Care Facilities & Services – 0.2%
CVS Health Corp.   4,163 309,602
 
22

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Number
of Shares
Value
Home Construction – 0.0%(d)
Berkeley Group Holdings (The) PLC (United Kingdom)   359 $21,739
Household Products – 0.7%
Haleon PLC   6,276 25,492
Kimberly-Clark Corp.   2,712 328,071
Procter & Gamble (The) Co.   5,303 833,313
Reckitt Benckiser Group PLC (United Kingdom)   911 65,866
Unilever PLC (United Kingdom)   2,481 120,726
      1,373,468
Industrial Support Services – 0.0%(d)
Ashtead Group PLC (United Kingdom)   261 17,067
Institutional Financial Services – 1.4%
CME Group, Inc.   3,059 629,665
London Stock Exchange Group PLC (United Kingdom)   397 44,906
Morgan Stanley   21,232 1,852,280
Northern Trust Corp.   3,282 261,378
      2,788,229
Insurance – 1.2%
Aviva PLC (United Kingdom)   2,717 14,831
Legal & General Group PLC (United Kingdom)   5,377 17,295
Prudential PLC (Hong Kong)   3,125 32,102
Zurich Insurance Group A.G. (Switzerland)   4,600 2,337,211
      2,401,439
Leisure Facilities & Services – 2.3%
Entain PLC (United Kingdom)   1,382 16,833
InterContinental Hotels Group PLC (United Kingdom)   266 25,205
McDonald's Corp.   1,196 350,093
OPAP S.A. (Greece)   225,386 3,902,066
Starbucks Corp.   2,494 232,017
      4,526,214
Leisure Products – 0.1%
Hasbro, Inc.   3,461 169,416
Machinery – 0.0%(d)
Smiths Group PLC (United Kingdom)   756 15,493
    Number
of Shares
Value
Medical Equipment & Devices – 0.3%
Medtronic PLC   6,600 $577,764
Smith & Nephew PLC (United Kingdom)   1,606 22,460
      600,224
Metals & Mining – 2.5%
Anglo American PLC (South Africa)   1,284 30,608
BHP Group Ltd. (Australia)   70,201 2,147,732
Glencore PLC (Australia)   66,774 353,299
Rio Tinto Ltd. (Australia)   27,009 2,324,054
Rio Tinto PLC (Australia)   1,104 76,418
      4,932,111
Oil & Gas Producers – 2.8%
BP PLC (United Kingdom)   16,366 95,584
Exxon Mobil Corp.   4,424 454,832
Gazprom PJSC (Russia)(f)*   33,780
Kinder Morgan, Inc.   12,609 213,344
LUKOIL PJSC (Russia)(f)   1,232
ONEOK, Inc.   4,662 318,182
Petroleo Brasileiro S.A. (Brazil)   445,490 3,822,416
Rosneft Oil Co. PJSC (Russia)(f)   17,410
Shell PLC (Netherlands)   5,969 185,053
Williams (The) Cos., Inc.   9,227 319,808
      5,409,219
Publishing & Broadcasting – 0.0%(d)
Informa PLC (United Kingdom)   1,645 16,156
Real Estate Investment Trusts – 3.6%
Crown Castle, Inc.   3,831 414,706
Federal Realty Investment Trust   3,265 332,149
PowerGrid Infrastructure Investment Trust (India)(b)   968,453 1,126,662
Realty Income Corp.   4,031 219,246
Simon Property Group, Inc.   2,210 306,328
TF Administradora Industrial S. de R.L. de C.V. (Mexico)   1,390,018 2,996,233
VICI Properties, Inc.   55,770 1,679,792
      7,075,116
Retail - Consumer Staples – 0.0%(d)
Tesco PLC (United Kingdom)   10,392 37,657
 
23

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Number
of Shares
Value
Retail - Discretionary – 0.0%(d)
Associated British Foods PLC (United Kingdom)   695 $20,586
Kingfisher PLC (United Kingdom)   4,984 13,857
      34,443
Semiconductors – 4.1%
Broadcom, Inc.   3,356 3,960,080
MediaTek, Inc. (Taiwan)   113,000 3,486,911
Texas Instruments, Inc.   3,848 616,142
      8,063,133
Technology Hardware – 1.6%
NetApp, Inc.   2,475 215,820
Unimicron Technology Corp. (Taiwan)   504,620 2,831,060
      3,046,880
Technology Services – 0.4%
Experian PLC   838 34,880
International Business Machines Corp.   3,314 608,649
RELX PLC (United Kingdom)   1,652 68,185
      711,714
Telecommunications – 2.9%
BCE, Inc. (Canada)   3,483 140,539
BT Group PLC (United Kingdom)   9,736 13,793
Nippon Telegraph & Telephone Corp. (Japan)   1,388,000 1,742,988
Softbank Corp. (Japan)   228,775 3,039,470
Verizon Communications, Inc.   17,561 743,708
Vodafone Group PLC (United Kingdom)   25,777 21,914
      5,702,412
Tobacco & Cannabis – 0.8%
British American Tobacco PLC (United Kingdom)   2,762 81,434
British American Tobacco PLC ADR (United Kingdom)   21,925 648,980
Philip Morris International, Inc.   8,227 747,423
      1,477,837
Transportation & Logistics – 0.2%
United Parcel Service, Inc., Class B   2,810 398,739
Transportation Equipment – 0.8%
Volvo AB, Class B (Sweden)   67,829 1,625,544
    Number
of Shares
Value
Wholesale - Discretionary – 0.0%(d)
Bunzl PLC (United Kingdom)   562 $22,840
Total Common Stocks
(Cost $77,569,867)
86,235,433
    
    Par(a)  
Convertible Bonds – 0.2%
Cable & Satellite – 0.1%
DISH Network Corp., 0.00%, 12/15/25(g)   $320,000 227,680
Publishing & Broadcasting – 0.0%(d)
Gannett Co., Inc., 6.00%, 12/01/27(b)   20,000 16,500
Technology Services – 0.1%
Multiplan Corp., 6.00%, 10/15/27(b)   130,000 90,201
Total Convertible Bonds
(Cost $319,506)
334,381
    
    Number
of Shares
 
Convertible Preferred Stocks – 0.0%
Oil & Gas Producers – 0.0%(d)
Equitrans Midstream Corp., 9.75%(c)(h)   1,292 28,760
Total Convertible Preferred Stocks
(Cost $28,424)
28,760
    
    Par(a)  
Corporate Bonds – 14.1%
Aerospace & Defense – 0.4%
Boeing (The) Co., 3.25%, 2/01/35   $240,000 198,870
TransDigm, Inc.,      
6.25%, 3/15/26(b)   40,000 39,728
6.75%, 8/15/28(b)   150,000 152,454
7.13%, 12/01/31(b)   190,000 198,033
Triumph Group, Inc., 9.00%, 3/15/28(b)   160,000 168,824
      757,909
Automotive – 0.7%
Clarios Global L.P./Clarios U.S. Finance Co., 8.50%, 5/15/27(b)   250,000 249,315
 
24

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Automotive (Continued)
Ford Motor Co., 3.25%, 2/12/32(h)   $540,000 $447,024
Ford Motor Credit Co. LLC, 3.63%, 6/17/31   270,000 232,339
PM General Purchaser LLC, 9.50%, 10/01/28(b)   460,000 465,216
      1,393,894
Biotechnology & Pharmaceuticals – 0.1%
Bausch Health Cos., Inc.,      
5.50%, 11/01/25(b)   110,000 101,090
6.13%, 2/01/27(b)(h)   90,000 56,948
      158,038
Cable & Satellite – 1.0%
CCO Holdings LLC/CCO Holdings Capital Corp.,      
4.25%, 2/01/31(b)   400,000 338,218
4.50%, 5/01/32   80,000 66,741
Charter Communications Operating LLC/Charter Communications Operating Capital, 5.13%, 7/01/49   70,000 55,754
CSC Holdings LLC,      
7.50%, 4/01/28(b)(h)   640,000 426,034
11.25%, 5/15/28(b)   200,000 202,655
11.75%, 1/31/29(b)   250,000 253,933
Directv Financing LLC/Directv Financing Co-Obligor, Inc., 5.88%, 8/15/27(b)   180,000 171,124
DISH DBS Corp.,      
5.25%, 12/01/26(b)   80,000 63,000
5.75%, 12/01/28(b)   150,000 100,909
DISH Network Corp., 11.75%, 11/15/27(b)   160,000 166,993
Time Warner Cable LLC, 6.75%, 6/15/39   90,000 89,403
      1,934,764
Commercial Support Services – 0.3%
Allied Universal Holdco LLC/Allied Universal Finance Corp., 6.63%, 7/15/26(b)   130,000 128,097
Clean Harbors, Inc., 5.13%, 7/15/29(b)   100,000 95,656
CoreCivic, Inc., 8.25%, 4/15/26(h)   180,000 184,500
RR Donnelley & Sons Co., 9.75%, 7/31/28(b)   80,000 79,900
    Par(a) Value
Commercial Support Services (Continued)
TKC Holdings, Inc., 6.88%, 5/15/28(b)   $50,000 $45,625
ZipRecruiter, Inc., 5.00%, 1/15/30(b)   60,000 53,443
      587,221
Construction Materials – 0.3%
Advanced Drainage Systems, Inc.,      
5.00%, 9/30/27(b)   160,000 154,086
6.38%, 6/15/30(b)(h)   110,000 110,911
Smyrna Ready Mix Concrete LLC,      
6.00%, 11/01/28(b)   160,000 156,392
8.88%, 11/15/31(b)   190,000 199,607
      620,996
Consumer Services – 0.1%
Carriage Services, Inc., 4.25%, 5/15/29(b)   140,000 121,450
WW International, Inc., 4.50%, 4/15/29(b)(h)   120,000 56,383
      177,833
Containers & Packaging – 0.1%
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC, 6.00%, 6/15/27(b)(h)   210,000 207,623
Sealed Air Corp./Sealed Air Corp. U.S., 6.13%, 2/01/28(b)   60,000 60,212
      267,835
Electrical Equipment – 0.1%
Vertiv Group Corp., 4.13%, 11/15/28(b)(h)   220,000 204,148
Engineering & Construction – 0.2%
TopBuild Corp.,      
3.63%, 3/15/29(b)   150,000 135,701
4.13%, 2/15/32(b)   10,000 8,738
Tutor Perini Corp., 6.88%, 5/01/25(b)(h)   310,000 303,744
      448,183
Food – 0.1%
Darling Ingredients, Inc., 6.00%, 6/15/30(b)   160,000 159,013
Health Care Facilities & Services – 0.7%
Akumin, Inc.,      
7.00%, 11/01/25(b)(i)   250,000 203,750
7.50%, 8/01/28(b)(i)   10,000 7,662
 
25

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Health Care Facilities & Services (Continued)
CHS/Community Health Systems, Inc.,      
5.63%, 3/15/27(b)   $20,000 $18,476
6.00%, 1/15/29(b)   380,000 343,341
6.13%, 4/01/30(b)   220,000 143,192
10.88%, 1/15/32(b)   120,000 125,531
HCA, Inc., 7.50%, 11/06/33   90,000 101,476
LifePoint Health, Inc., 9.88%, 8/15/30(b)   260,000 265,868
Option Care Health, Inc., 4.38%, 10/31/29(b)   210,000 191,638
U.S. Renal Care, Inc., 10.63%, 6/28/28(b)   52,500 42,525
      1,443,459
Home & Office Products – 0.1%
Newell Brands, Inc.,      
5.20%, 4/01/26   210,000 204,429
6.38%, 9/15/27   20,000 19,644
      224,073
Home Construction – 0.0%(d)
MDC Holdings, Inc., 6.00%, 1/15/43   50,000 50,725
Industrial Intermediate Products – 0.1%
Park-Ohio Industries, Inc., 6.63%, 4/15/27(h)   220,000 201,351
Industrial Support Services – 0.4%
H&E Equipment Services, Inc., 3.88%, 12/15/28(b)   90,000 81,719
PECF USS Intermediate Holding III Corp., 8.00%, 11/15/29(b)   220,000 106,150
United Rentals North America, Inc.,      
5.50%, 5/15/27(h)   100,000 99,744
6.00%, 12/15/29(b)   540,000 547,409
      835,022
Institutional Financial Services – 0.3%
Jane Street Group/JSG Finance, Inc., 4.50%, 11/15/29(b)(h)   180,000 164,555
LPL Holdings, Inc., 4.00%, 3/15/29(b)   110,000 101,378
State Street Corp., (5Y US Treasury CMT + 2.61%), 6.70%, 3/15/29(j)(k)   80,000 79,800
StoneX Group, Inc., 8.63%, 6/15/25(b)   180,000 181,893
      527,626
    Par(a) Value
Insurance – 0.2%
Highlands Holdings Bond Issuer Ltd./Highlands Holdings Bond Co-Issuer, Inc., (100% Cash), 7.63%, 10/15/25(b)(l)   $400,000 $403,005
Internet Media & Services – 0.1%
Ziff Davis, Inc., 4.63%, 10/15/30(b)(h)   210,000 192,296
Leisure Facilities & Services – 1.4%
AMC Entertainment Holdings, Inc., 7.50%, 2/15/29(b)(h)   110,000 70,400
Boyne USA, Inc., 4.75%, 5/15/29(b)   120,000 109,919
Caesars Entertainment, Inc.,      
7.00%, 2/15/30(b)   100,000 102,765
6.50%, 2/15/32(b)(m)   320,000 323,540
Carnival Corp.,      
5.75%, 3/01/27(b)   230,000 226,596
4.00%, 8/01/28(b)   90,000 83,251
Carnival Holdings Bermuda Ltd., 10.38%, 5/01/28(b)   80,000 87,517
Full House Resorts, Inc., 8.25%, 2/15/28(b)(h)   200,000 189,586
Mohegan Tribal Gaming Authority,      
8.00%, 2/01/26(b)   203,000 190,637
13.25%, 12/15/27(b)   60,000 64,500
NCL Corp. Ltd.,      
5.88%, 3/15/26(b)   170,000 165,762
8.13%, 1/15/29(b)   70,000 73,478
Royal Caribbean Cruises Ltd.,      
4.25%, 7/01/26(b)   280,000 269,424
5.50%, 8/31/26(b)   340,000 336,554
11.63%, 8/15/27(b)   40,000 43,510
8.25%, 1/15/29(b)   60,000 63,651
9.25%, 1/15/29(b)   80,000 85,930
Viking Cruises Ltd.,      
5.88%, 9/15/27(b)   70,000 67,467
9.13%, 7/15/31(b)   150,000 160,500
VOC Escrow Ltd., 5.00%, 2/15/28(b)   20,000 19,098
      2,734,085
Leisure Products – 0.1%
Winnebago Industries, Inc., 6.25%, 7/15/28(b)   200,000 196,680
 
26

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Machinery – 0.2%
Titan International, Inc., 7.00%, 4/30/28   $290,000 $289,121
Medical Equipment & Devices – 0.1%
Medline Borrower L.P., 5.25%, 10/01/29(b)   260,000 242,426
Metals & Mining – 0.0%(d)
Freeport-McMoRan, Inc., 5.45%, 3/15/43   60,000 57,714
Oil & Gas Producers – 3.7%
Berry Petroleum Co. LLC, 7.00%, 2/15/26(b)   540,000 528,055
Blue Racer Midstream LLC/Blue Racer Finance Corp., 7.63%, 12/15/25(b)   220,000 222,128
Chord Energy Corp., 6.38%, 6/01/26(b)   200,000 199,987
Continental Resources, Inc., 5.75%, 1/15/31(b)   150,000 149,295
Crescent Energy Finance LLC, 9.25%, 2/15/28(b)   110,000 114,196
Devon Energy Corp., 5.00%, 6/15/45   150,000 133,433
Endeavor Energy Resources L.P./EER Finance, Inc., 5.75%, 1/30/28(b)   160,000 159,258
Energy Transfer L.P.,      
(5Y US Treasury CMT + 5.31%), 7.13%, 5/15/30(j)(k)   70,000 67,665
5.35%, 5/15/45   90,000 83,696
EQM Midstream Partners L.P.,      
7.50%, 6/01/30(b)   100,000 107,253
4.75%, 1/15/31(b)(h)   150,000 139,832
EQT Corp., 3.13%, 5/15/26(b)   20,000 19,008
Hilcorp Energy I L.P./Hilcorp Finance Co.,      
6.25%, 4/15/32(b)   120,000 115,200
8.38%, 11/01/33(b)   120,000 128,969
Howard Midstream Energy Partners LLC,      
6.75%, 1/15/27(b)   130,000 129,448
8.88%, 7/15/28(b)   110,000 115,530
Northern Oil & Gas, Inc., 8.13%, 3/01/28(b)   220,000 223,424
Occidental Petroleum Corp.,      
7.15%, 5/15/28   180,000 189,109
    Par(a) Value
Oil & Gas Producers (Continued)
Occidental Petroleum Corp.,      
6.45%, 9/15/36   $240,000 $256,020
7.95%, 6/15/39   400,000 467,066
4.40%, 8/15/49   60,000 44,650
Permian Resources Operating LLC,      
5.88%, 7/01/29(b)   340,000 332,547
9.88%, 7/15/31(b)   150,000 166,156
7.00%, 1/15/32(b)   70,000 72,268
Range Resources Corp., 8.25%, 1/15/29(h)   500,000 518,420
Rockies Express Pipeline LLC, 7.50%, 7/15/38(b)   100,000 100,500
SilverBow Resources, Inc., (3M CME Term SOFR + 7.75%), 13.13%, 12/15/28(b)(c)(f)(n)   480,000 469,147
Southwestern Energy Co., 4.75%, 2/01/32   300,000 277,871
Summit Midstream Holdings LLC/Summit Midstream Finance Corp., 9.00%, 10/15/26(b)   120,000 120,012
Tallgrass Energy Partners L.P./Tallgrass Energy Finance Corp., 6.00%, 12/31/30(b)   80,000 74,361
Transcontinental Gas Pipe Line Co. LLC, 4.60%, 3/15/48   80,000 71,962
Venture Global Calcasieu Pass LLC,      
6.25%, 1/15/30(b)   190,000 190,151
4.13%, 8/15/31(b)   220,000 194,551
3.88%, 11/01/33(b)   150,000 127,038
Venture Global LNG, Inc.,      
8.38%, 6/01/31(b)   130,000 131,279
9.88%, 2/01/32(b)   100,000 105,163
Western Midstream Operating L.P.,      
5.45%, 4/01/44   290,000 263,039
5.30%, 3/01/48   410,000 359,448
Williams (The) Cos., Inc., 8.75%, 3/15/32   30,000 36,429
      7,203,564
Oil, Gas Services & Equipment – 0.1%
Nabors Industries Ltd., 7.25%, 1/15/26(b)   50,000 48,753
Noble Finance II LLC, 8.00%, 4/15/30(b)(h)   90,000 93,460
      142,213
 
27

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Publishing & Broadcasting – 0.2%
Clear Channel Outdoor Holdings, Inc., 5.13%, 8/15/27(b)   $100,000 $94,179
McClatchy (The) Co. LLC, (100% Cash), 11.00%, 7/15/27(b)(h)(l)   139,380 152,621
Nexstar Media, Inc., 5.63%, 7/15/27(b)   120,000 116,869
      363,669
Real Estate Investment Trusts – 0.1%
MPT Operating Partnership L.P./MPT Finance Corp.,      
5.25%, 8/01/26(h)   70,000 59,218
5.00%, 10/15/27   80,000 60,551
Service Properties Trust,      
5.50%, 12/15/27   90,000 84,656
8.63%, 11/15/31(b)   20,000 21,206
      225,631
Real Estate Owners & Developers – 0.0%(d)
Five Point Operating Co. L.P./Five Point Capital Corp., 10.50%, 1/15/28(b)   75,562 77,073
Real Estate Services – 0.1%
Cushman & Wakefield U.S. Borrower LLC, 8.88%, 9/01/31(b)   110,000 114,820
Renewable Energy – 0.2%
Sunnova Energy Corp., 5.88%, 9/01/26(b)   450,000 373,500
Retail - Discretionary – 0.6%
Bath & Body Works, Inc.,      
5.25%, 2/01/28   60,000 58,726
6.63%, 10/01/30(b)(h)   100,000 101,315
Builders FirstSource, Inc., 4.25%, 2/01/32(b)   160,000 143,079
Foot Locker, Inc., 4.00%, 10/01/29(b)(h)   260,000 219,627
Michaels (The) Cos., Inc., 5.25%, 5/01/28(b)   140,000 109,966
QVC, Inc.,      
4.45%, 2/15/25   240,000 232,307
4.38%, 9/01/28   40,000 29,649
Sally Holdings LLC/Sally Capital, Inc., 5.63%, 12/01/25   320,000 317,265
      1,211,934
Software – 0.4%
athenahealth Group, Inc., 6.50%, 2/15/30(b)   130,000 116,124
    Par(a) Value
Software (Continued)
Central Parent, Inc./CDK Global, Inc., 7.25%, 6/15/29(b)   $260,000 $264,909
Crowdstrike Holdings, Inc., 3.00%, 2/15/29   100,000 89,373
Gen Digital, Inc., 7.13%, 9/30/30(b)(h)   220,000 228,226
Rackspace Technology Global, Inc., 3.50%, 2/15/28(b)   30,000 11,748
      710,380
Specialty Finance – 0.6%
Burford Capital Global Finance LLC, 9.25%, 7/01/31(b)   200,000 208,500
FirstCash, Inc., 5.63%, 1/01/30(b)   180,000 171,560
Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp.,      
4.25%, 2/01/27(b)   20,000 18,512
4.75%, 6/15/29(b)   80,000 71,609
Midcap Financial Issuer Trust, 6.50%, 5/01/28(b)   200,000 182,658
Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc., 3.63%, 3/01/29(b)   460,000 408,874
      1,061,713
Technology Hardware – 0.1%
CommScope, Inc.,      
6.00%, 3/01/26(b)   20,000 17,324
4.75%, 9/01/29(b)(h)   140,000 92,557
NCR Voyix Corp., 5.13%, 4/15/29(b)   160,000 149,700
      259,581
Technology Services – 0.2%
GTCR W-2 Merger Sub LLC, 7.50%, 1/15/31(b)   210,000 218,152
MPH Acquisition Holdings LLC, 5.75%, 11/01/28(b)   30,000 23,870
Paysafe Finance PLC/Paysafe Holdings U.S. Corp., 4.00%, 6/15/29(b)   120,000 107,036
      349,058
Tobacco & Cannabis – 0.0%(d)
Altria Group, Inc., 5.95%, 2/14/49   80,000 80,217
 
28

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Transportation & Logistics – 0.6%
American Airlines Pass Through Trust, Series 2017-1, Class B, 4.95%, 2/15/25   $102,000 $99,822
American Airlines, Inc., 8.50%, 5/15/29(b)   120,000 127,202
American Airlines, Inc./AAdvantage Loyalty IP Ltd., 5.75%, 4/20/29(b)   170,000 166,945
Carriage Purchaser, Inc., 7.88%, 10/15/29(b)(h)   130,000 110,500
RXO, Inc., 7.50%, 11/15/27(b)(h)   50,000 51,500
Spirit Loyalty Cayman Ltd./Spirit IP Cayman Ltd.,      
8.00%, 9/20/25(b)   100,000 65,250
8.00%, 9/20/25(b)   250,000 163,125
United Airlines Pass Through Trust, Series 2020-1, Class B, 4.88%, 1/15/26   33,360 32,584
United Airlines, Inc., 4.63%, 4/15/29(b)   110,000 101,754
XPO, Inc.,      
6.25%, 6/01/28(b)   100,000 100,119
7.13%, 2/01/32(b)   80,000 81,551
      1,100,352
Transportation Equipment – 0.1%
JB Poindexter & Co., Inc., 8.75%, 12/15/31(b)   100,000 102,375
Total Corporate Bonds
(Cost $27,777,148)
27,483,497
Foreign Issuer Bonds – 6.5%
Angola – 0.1%
Angolan Government International Bond, 8.75%, 4/14/32(b)   210,000 180,212
Argentina – 0.3%
Provincia de Buenos Aires, (Step to 6.63% on 9/01/24), 6.38%, 9/01/37(b)(o)   600,000 233,606
Provincia de Cordoba, 6.99%, 6/01/27(b)   200,000 162,000
YPF S.A., 8.50%, 7/28/25(b)   200,000 192,797
      588,403
Brazil – 0.3%
MercadoLibre, Inc., 3.13%, 1/14/31   270,000 227,037
    Par(a) Value
Brazil (Continued)
Suzano Austria GmbH, 3.13%, 1/15/32   $160,000 $131,999
Vale Overseas Ltd., 6.25%, 8/10/26   130,000 132,675
      491,711
Canada – 1.0%
Air Canada, 3.88%, 8/15/26(b)   250,000 237,770
Bank of Nova Scotia (The), (5Y US Treasury CMT + 4.02%), 8.00%, 1/27/84(k)   250,000 253,961
Bombardier, Inc., 7.88%, 4/15/27(b)   200,000 199,744
GFL Environmental, Inc.,      
5.13%, 12/15/26(b)   60,000 58,580
4.75%, 6/15/29(b)(h)   300,000 281,624
6.75%, 1/15/31(b)   110,000 112,506
Hudbay Minerals, Inc., 6.13%, 4/01/29(b)   90,000 88,852
MEG Energy Corp.,      
7.13%, 2/01/27(b)   200,000 202,462
5.88%, 2/01/29(b)   40,000 39,030
Superior Plus L.P./Superior General Partner, Inc., 4.50%, 3/15/29(b)   50,000 45,316
TransAlta Corp., 6.50%, 3/15/40   380,000 375,406
      1,895,251
China – 0.1%
Prosus N.V., 3.06%, 7/13/31(b)   270,000 219,778
Colombia – 0.1%
Ecopetrol S.A., 8.38%, 1/19/36   200,000 202,540
Denmark – 0.1%
Danske Bank A/S, (1Y US Treasury CMT + 2.10%), 6.47%, 1/09/26(b)(k)   270,000 272,129
Dominican Republic – 0.2%
Dominican Republic International Bond, 4.88%, 9/23/32   310,000 276,310
France – 0.2%
BNP Paribas S.A., (5Y US Treasury CMT + 4.90%), 7.75%, 8/16/29(b)(j)(k)   200,000 202,009
Credit Agricole S.A., (5Y USD Swap Rate + 6.19%), 8.13%, 12/23/25(b)(j)(k)   200,000 205,000
      407,009
 
29

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Germany – 0.1%
ZF North America Capital, Inc., 7.13%, 4/14/30(b)(h)   $160,000 $168,796
Guatemala – 0.1%
Millicom International Cellular S.A., 4.50%, 4/27/31(b)   250,000 210,625
Hong Kong – 0.1%
Melco Resorts Finance Ltd., 5.38%, 12/04/29(b)   200,000 177,968
Indonesia – 0.3%
Indonesia Treasury Bond, 6.50%, 2/15/31 IDR 8,192,000,000 514,904
Israel – 0.3%
Teva Pharmaceutical Finance Co. LLC, 6.15%, 2/01/36   140,000 134,252
Teva Pharmaceutical Finance Netherlands III B.V.,      
3.15%, 10/01/26   50,000 46,514
4.75%, 5/09/27   260,000 251,225
4.10%, 10/01/46   110,000 75,334
      507,325
Italy – 0.2%
Intesa Sanpaolo S.p.A., 7.80%, 11/28/53(b)   200,000 219,357
UniCredit S.p.A., (5Y US Treasury CMT + 4.75%), 5.46%, 6/30/35(b)(k)   210,000 196,942
      416,299
Ivory Coast – 0.2%
Ivory Coast Government International Bond,      
5.75%, 12/31/32   134,236 129,863
7.63%, 1/30/33(b)   200,000 198,100
      327,963
Jamaica – 0.0%(d)
Jamaica Government International Bond, 9.63%, 11/03/30 JMD 10,000,000 67,330
Jordan – 0.1%
Jordan Government International Bond, 7.75%, 1/15/28(b)   230,000 229,775
    Par(a) Value
Kazakhstan – 0.1%
KazMunayGas National Co. JSC, 4.75%, 4/19/27(b)   $250,000 $243,340
Kuwait – 0.1%
MEGlobal Canada ULC, 5.88%, 5/18/30(b)   210,000 212,781
Luxembourg – 0.4%
Altice Financing S.A., 5.75%, 8/15/29(b)   310,000 270,158
Altice France Holding S.A., 10.50%, 5/15/27(b)   620,000 356,276
ARD Finance S.A., (100% Cash), 6.50%, 6/30/27(b)(h)(l)   200,000 96,638
      723,072
Macau – 0.2%
Sands China Ltd., 3.10%, 3/08/29   450,000 388,785
Mexico – 0.6%
Banco Mercantil del Norte S.A., (10Y US Treasury CMT + 5.47%), 7.50%, 6/27/29(b)(j)(k)   250,000 238,285
Mexican Bonos,      
5.75%, 3/05/26 MXN 4,910,000 263,276
8.50%, 5/31/29 MXN 10,620,000 601,851
Mexico Government International Bond, 4.75%, 3/08/44   150,000 126,300
      1,229,712
Peru – 0.1%
Petroleos del Peru S.A., 5.63%, 6/19/47(b)   250,000 159,496
Supranational – 0.2%
Inter-American Development Bank, 7.35%, 10/06/30 INR 34,000,000 418,496
Sweden – 0.1%
Stena International S.A., 7.25%, 1/15/31(b)   210,000 210,128
Switzerland – 0.1%
VistaJet Malta Finance PLC/Vista Management Holding, Inc.,      
7.88%, 5/01/27(b)(h)   200,000 167,046
9.50%, 6/01/28(b)(h)   50,000 42,368
      209,414
 
30

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Turkey – 0.1%
Turk Telekomunikasyon AS, 6.88%, 2/28/25(b)   $250,000 $248,045
United Arab Emirates – 0.1%
DP World Ltd., 5.63%, 9/25/48(b)   290,000 269,245
United Kingdom – 0.3%
Global Auto Holdings Ltd./AAG FH UK Ltd., 8.75%, 1/15/32(b)   230,000 215,504
Mclaren Finance PLC, 7.50%, 8/01/26(b)(h)   200,000 175,328
Vmed O2 UK Financing I PLC, 4.75%, 7/15/31(b)   200,000 179,242
      570,074
Uruguay – 0.0%(d)
Uruguay Government International Bond, 3.88%, 7/02/40 UYU 1,530,000 52,835
Zambia – 0.3%
First Quantum Minerals Ltd.,      
7.50%, 4/01/25(b)   200,000 197,514
6.88%, 3/01/26(b)   200,000 190,509
6.88%, 10/15/27(b)   280,000 253,537
      641,560
Total Foreign Issuer Bonds
(Cost $13,459,592)
12,731,311
    
    Number
of Shares
 
Master Limited Partnerships – 3.4%
Oil & Gas Producers – 3.4%
Energy Transfer L.P.   236,935 3,388,170
Enterprise Products Partners L.P.   125,179 3,349,790
Total Master Limited Partnerships
(Cost $6,069,758)
6,737,960
    
    Par(a)  
Mortgage-Backed Securities – 6.0%
Commercial Mortgage-Backed Securities – 2.5%
Benchmark Mortgage Trust, Series 2023-V3, Class D, 4.00%, 7/15/56(b)   $250,000 199,192
    Par(a) Value
Commercial Mortgage-Backed Securities
(Continued)
BX Commercial Mortgage Trust,      
Series 2021-ACNT, Class A, (1M CME Term SOFR + 0.96%, 0.85% Floor), 6.30%, 11/15/38(b)(c)   $197,000 $195,461
Series 2021-VOLT, Class D, (1M CME Term SOFR + 1.76%, 1.65% Floor), 7.10%, 9/15/36(b)(c)   270,000 264,914
Series 2022-AHP, Class A, (1M CME Term SOFR + 0.99%, 0.99% Floor), 6.32%, 1/17/39(b)(c)   212,000 209,350
Series 2023-VLT2, Class E, (1M CME Term SOFR + 5.87%, 5.87% Floor), 11.20%, 6/15/40(b)(c)   170,000 171,042
BX Trust,      
Series 2021-ARIA, Class A, (1M CME Term SOFR + 1.01%, 0.90% Floor), 6.35%, 10/15/36(b)(c)   270,000 266,287
Series 2021-SDMF, Class F, (1M CME Term SOFR + 2.05%, 1.94% Floor), 7.38%, 9/15/34(b)(c)   201,443 192,882
Series 2022-CLS, Class A, 5.76%, 10/13/27(b)   230,000 233,686
BXHPP Trust, Series 2021-FILM, Class C, (1M CME Term SOFR + 1.21%, 1.10% Floor), 6.55%, 8/15/36(b)(c)   270,000 252,146
Citigroup Commercial Mortgage Trust, Series 2017-P8, Class A3, 3.20%, 9/15/50   250,000 235,451
Extended Stay America Trust,      
Series 2021-ESH, Class C, (1M CME Term SOFR + 1.81%, 1.70% Floor), 7.15%, 7/15/38(b)(c)   238,179 235,796
Series 2021-ESH, Class E, (1M CME Term SOFR + 2.96%, 2.85% Floor), 8.30%, 7/15/38(b)(c)   238,178 236,392
GS Mortgage Securities Trust,      
Series 2015-GC32, Class D, 3.35%, 7/10/48   220,000 188,935
 
31

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Commercial Mortgage-Backed Securities
(Continued)
GS Mortgage Securities Trust,      
Series 2017-GS6, Class A2, 3.16%, 5/10/50   $190,518 $180,024
JP Morgan Chase Commercial Mortgage Securities Trust,      
Series 2015-JP1, Class A5, 3.91%, 1/15/49   200,000 193,874
Series 2015-JP1, Class C, 4.88%, 1/15/49(p)   30,000 26,338
Series 2022-ACB, Class A, (30D Average SOFR + 1.40%, 1.40% Floor), 6.75%, 3/15/39(b)(c)   350,000 348,039
Series 2022-ACB, Class D, (30D Average SOFR + 2.90%, 2.90% Floor), 8.25%, 3/15/39(b)(c)   190,000 184,300
KREF Ltd., Series 2022-FL3, Class D, (1M CME Term SOFR + 2.80%, 2.80% Floor), 8.14%, 2/17/39(b)(c)   150,000 141,821
MF1 Ltd., Series 2020-FL4, Class A, (1M CME Term SOFR + 1.81%, 1.70% Floor), 7.15%, 11/15/35(b)(c)   111,347 111,162
MSWF Commercial Mortgage Trust, Series 2023-2, Class C, 7.25%, 12/15/56(p)   90,000 94,796
MTN Commercial Mortgage Trust,      
Series 2022-LPFL, Class A, (1M CME Term SOFR + 1.40%, 1.40% Floor), 6.74%, 3/15/39(b)(c)   260,000 254,475
Series 2022-LPFL, Class F, (1M CME Term SOFR + 5.29%, 5.29% Floor), 10.63%, 3/15/39(b)(c)   200,000 186,540
    Par(a) Value
Commercial Mortgage-Backed Securities
(Continued)
NCMF Trust, Series 2022-MFP, Class G, (1M CME Term SOFR + 5.13%, 5.13% Floor), 10.46%, 3/15/39(b)(c)   $195,000 $187,326
Wells Fargo Commercial Mortgage Trust, Series 2014-LC18, Class B, 3.96%, 12/15/47   190,000 182,291
      4,972,520
Whole Loan – 3.5%
Angel Oak Mortgage Trust, Series 2022-3, Class A3, 4.14%, 1/25/67(b)(p)   145,814 133,926
BRAVO Residential Funding Trust,      
Series 2022-NQM1, Class A1, 3.63%, 9/25/61(b)(p)   185,205 174,181
Series 2022-NQM2, Class A1, 4.27%, 11/25/61(b)(p)   154,362 152,323
Series 2022-NQM2, Class A3, 5.24%, 11/25/61(b)   192,952 189,351
CAFL Issuer LLC, Series 2023-RTL1, Class A1, (Step to 9.05% on 7/28/26), 7.55%, 12/28/30(b)(o)   160,000 160,236
Citigroup Mortgage Loan Trust, Series 2022-A, Class A1, (Step to 9.17% on 9/25/25), 6.17%, 9/25/62(b)(o)   224,672 225,546
COLT Mortgage Loan Trust,      
Series 2022-3, Class A1, 3.90%, 2/25/67(b)(p)   218,075 205,953
Series 2024-1, Class M1, 6.59%, 2/25/69(b)(m)   160,000 159,998
CSMC Trust, Series 2020-RPL4, Class A1, 2.00%, 1/25/60(b)   197,656 175,590
FNMA Connecticut Avenue Securities,      
Series 2017-C06, Class 1B1, (30D Average SOFR + 4.26%, 4.15% Floor), 9.61%, 2/25/30(c)   330,000 352,275
Series 2022-R03, Class 1M2, (30D Average SOFR + 3.50%), 8.84%, 3/25/42(b)(c)   250,000 263,110
 
32

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Whole Loan (Continued)
FNMA Connecticut Avenue Securities,      
Series 2022-R08, Class 1M2, (30D Average SOFR + 3.60%, 3.60% Floor), 8.94%, 7/25/42(b)(c)   $200,000 $211,330
Series 2024-R01, Class 1B1, (30D Average SOFR + 2.70%, 2.70% Floor), 8.04%, 1/25/44(b)(c)   190,000 190,416
Freddie Mac STACR REMIC Trust,      
Series 2020-DNA3, Class B1, (30D Average SOFR + 5.21%), 10.56%, 6/25/50(b)(c)   146,935 161,996
Series 2020-DNA5, Class B1, (30D Average SOFR + 4.80%), 10.14%, 10/25/50(b)(c)   180,000 202,999
Series 2020-DNA6, Class B1, (30D Average SOFR + 3.00%), 8.34%, 12/25/50(b)(c)   260,000 272,514
Series 2021-DNA1, Class B2, (30D Average SOFR + 4.75%), 10.09%, 1/25/51(b)(c)   240,000 247,077
Series 2021-DNA2, Class B1, (30D Average SOFR + 3.40%), 8.74%, 8/25/33(b)(c)   270,000 293,691
Series 2022-DNA2, Class M2, (30D Average SOFR + 3.75%), 9.09%, 2/25/42(b)(c)   225,000 234,134
Series 2022-DNA2, Class M1B, (30D Average SOFR + 2.40%), 7.74%, 2/25/42(b)(c)   210,000 214,461
GS Mortgage-Backed Securities Trust, Series 2022-NQM1, Class A4, 4.00%, 5/25/62(b)   202,897 186,681
Mill City Mortgage Loan Trust, Series 2018-2, Class M3, 3.75%, 5/25/58(b)(p)   209,684 188,556
New Residential Mortgage Loan Trust, Series 2022-NQM2, Class A1, 3.08%, 3/27/62(b)(p)   217,474 198,557
NYMT Loan Trust, Series 2024-BPL1, Class A1, (Step to 8.65% on 8/25/26), 7.15%, 2/25/29(b)(o)   160,000 159,848
    Par(a) Value
Whole Loan (Continued)
OBX Trust, Series 2022-NQM6, Class A1, (Step to 4.72% on 7/25/26), 4.70%, 7/25/62(b)(o)   $226,483 $223,205
Residential Mortgage Loan Trust, Series 2020-2, Class A2, 2.51%, 5/25/60(b)   360,000 345,421
Seasoned Credit Risk Transfer Trust, Series 2022-1, Class M, 4.50%, 11/25/61(b)   100,000 83,438
SG Residential Mortgage Trust, Series 2022-1, Class A1, 3.17%, 3/27/62(b)(p)   229,053 207,814
Towd Point Mortgage Trust,      
Series 2015-5, Class B3, 4.01%, 5/25/55(b)(p)   220,000 197,400
Series 2017-5, Class B1, (1M CME Term SOFR + 1.91%), 5.89%, 2/25/57(b)(c)   250,000 253,981
Series 2019-HY2, Class B1, (1M CME Term SOFR + 2.36%, 2.25% Floor), 7.70%, 5/25/58(b)(c)   190,000 198,207
Verus Securitization Trust,      
Series 2023-8, Class A3, (Step to 7.97% on 1/25/28), 6.97%, 12/25/68(b)(o)   98,292 99,223
Series 2024-1, Class A3, 6.12%, 1/25/69(b)(p)   200,000 200,212
      6,763,650
Total Mortgage-Backed Securities
(Cost $11,678,410)
11,736,170
Term Loans – 8.0%(c)
Advertising & Marketing – 0.1%
CB Poly US Holdings, Inc., Initial Term Loan, (3M USD CME Term SOFR + 5.50%, 0.75% Floor), 10.85%, 5/18/29   197,500 195,031
Asset Management – 0.1%
Osaic Holdings, Inc., Term B-2 Loan, (1M USD CME Term SOFR + 4.50%), 9.83%, 8/17/28   130,000 129,771
 
33

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Automotive – 0.1%
Clarios Global L.P., 2024 Refinancing Term Loan, (3M USD CME Term SOFR + 3.00%), 8.33%, 5/06/30   $129,675 $129,675
First Brands Group LLC, 2022-II Incremental Term Loan, (3M USD CME Term SOFR + 5.00%, 1.00% Floor), 10.57%, 3/30/27   138,947 138,688
      268,363
Beverages – 0.1%
Triton Water Holdings, Inc., Initial Term Loan, (3M USD CME Term SOFR + 3.25%, 0.50% Floor), 8.86%, 3/31/28   231,877 227,877
Cable & Satellite – 0.0%(d)
Virgin Media Bristol LLC, Facility Y, (6M USD CME Term SOFR + 3.25%), 8.79%, 3/31/31   100,000 98,588
Capital Goods – 0.1%
Thermostat Purchaser III, Inc., Initial Term Loan, (3M USD CME Term SOFR + 4.50%, 0.75% Floor), 10.04%, 8/31/28   209,467 207,372
Commercial Support Services – 0.7%
Allied Universal Holdco LLC, Initial U.S. Dollar Term Loan, (1M USD CME Term SOFR + 3.75%, 0.50% Floor), 9.18%, 5/12/28   195,990 193,419
Allied Universal Holdco LLC, Amendment No. 3 Term Loan, (1M USD CME Term SOFR + 4.75%, 0.50% Floor), 10.08%, 5/12/28   99,750 99,439
Garda World Security Corp., Term B-2 Loan, (3M USD CME Term SOFR + 4.25%), 9.72%, 10/30/26   360,000 360,057
GEO Group, Inc., The Tranche 1 Loan, (1M USD CME Term SOFR + 7.13%, 0.75% Floor), 12.46%, 3/23/27   127,485 130,035
LRS Holdings LLC, Initial Term Loan, (1M USD CME Term SOFR + 4.25%, 0.50% Floor), 9.70%, 8/31/28   231,917 228,438
    Par(a) Value
Commercial Support Services (Continued)
Prime Security Services Borrower LLC, 2023 Refinancing Term B-1 Loan, (3M USD CME Term SOFR + 2.50%), 7.83%, 10/13/30   $90,000 $90,012
Ryan LLC, Closing Date Initial Term Loan, (1M USD CME Term SOFR + 4.50%, 0.50% Floor), 9.83%, 11/14/30   190,000 189,941
Ryan LLC, Delayed Draw Term Loan, 11/14/30(q)(r)   20,000 19,994
      1,311,335
Construction Materials – 0.0%(d)
Smyrna Ready Mix Concrete LLC, 2023 Refinancing Term Loan, (1M USD CME Term SOFR + 3.50%), 8.84%, 4/02/29   97,701 97,579
Consumer Cyclical – 0.3%
DS Parent, Inc., Term Loan B, 12/13/30(r)   180,000 175,500
Flutter Entertainment PLC, Term B Loan, (3M USD CME Term SOFR + 2.25%, 0.50% Floor), 7.70%, 11/25/30   210,000 209,475
Four Seasons Holdings, Inc., Term Loan B, 11/30/29(r)   130,000 130,000
      514,975
Consumer Non-Cyclical – 0.1%
Aretec Group, Inc., Term B-1 Loan, (1M USD CME Term SOFR + 4.50%), 9.93%, 8/09/30   109,724 109,618
Topgolf Callaway Brands Corp., Initial Term Loan, (1M USD CME Term SOFR + 3.50%), 8.93%, 3/15/30   148,875 148,440
      258,058
 
34

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Consumer Services – 0.0%(d)
Adtalem Global Education, Inc., 2024 Repricing Term Loan, (1M USD CME Term SOFR + 3.50%, 0.75% Floor), 8.84%, 8/12/28   $24,514 $24,431
WW International, Inc., Initial Term Loan, (1M USD CME Term SOFR + 3.50%, 0.50% Floor), 8.95%, 4/13/28   20,000 11,650
      36,081
Electrical Equipment – 0.0%(d)
EMRLD Borrower L.P., Initial Term B Loan, (3M USD CME Term SOFR + 3.00%), 8.31%, 5/31/30   109,725 109,698
Entertainment Content – 0.1%
Allen Media LLC, Initial Term Loan, (3M USD CME Term SOFR + 5.50%), 11.00%, 2/10/27   330,946 295,230
Health Care Facilities & Services – 0.6%
Agiliti Health, Inc., Term Loan, (3M USD CME Term SOFR + 3.00%), 8.33%, 5/01/30   139,650 138,952
Cardinal Parent, Inc., Initial Term Loan, (3M USD CME Term SOFR + 4.50%, 0.75% Floor), 10.00%, 11/12/27   239,053 218,734
EyeCare Partners LLC, Initial Term Loan, (3M USD CME Term SOFR + 6.75%), 12.32%, 11/15/29   380,000 115,425
Gainwell Acquisition Corp., Term B Loan, (3M USD CME Term SOFR + 4.00%, 0.75% Floor), 9.45%, 10/01/27   252,648 245,321
LifePoint Health, Inc., 2023 Refinancing Term Loan, (3M USD CME Term SOFR + 5.50%), 11.09%, 11/16/28   301,289 300,443
PDS Holdco, Inc., Delayed Draw Term Loan, (3M USD CME Term SOFR + 4.50%), 10.15%, 8/18/28   31,797 15,898
PDS Holdco, Inc., Initial Term Loan, (3M USD CME Term SOFR + 4.50%), 10.15%, 8/18/28   311,241 155,620
      1,190,393
    Par(a) Value
Home & Office Products – 0.1%
Osmosis Buyer Ltd., 2023 Incremental Delayed Draw Term Loan, (1M USD CME Term SOFR + 4.25%, 0.50% Floor), 9.59%, 7/31/28   $240,000 $239,700
Industrial Support Services – 0.3%
Accession Risk Management Group, Inc., 2022 Delayed Draw Tranche 2 Term Loan,      
(3M USD CME Term SOFR + 5.50%, 0.75% Floor), 11.04%, 11/01/29   9,276 9,229
(3M USD CME Term SOFR + 5.50%, 0.75% Floor), 11.00%, 11/01/29   7,617 7,579
(3M USD CME Term SOFR + 5.50%, 0.75% Floor), 10.96%, 11/01/29   4,270 4,248
Accession Risk Management Group, Inc., 2023 Delayed Draw Term Loan, 11/01/29(q)   90,121 89,220
Accession Risk Management Group, Inc., 2023 Delayed Draw Tranche 2 Term Loan, (3M USD CME Term SOFR + 6.00%, 0.75% Floor), 11.39%, 11/01/29   19,878 19,680
Accession Risk Management Group, Inc., Initial Term Loan,      
(3M USD CME Term SOFR + 5.50%, 0.75% Floor), 11.04%, 11/01/29   1,054 1,049
(3M USD CME Term SOFR + 5.50%, 0.75% Floor), 11.00%, 11/01/29   2,008 1,998
(3M USD CME Term SOFR + 5.50%, 0.75% Floor), 10.96%, 11/01/29   27,474 27,337
Accession Risk Management Group, Inc., Tranche B Term Loan,      
(3M USD CME Term SOFR + 5.50%, 0.75% Floor), 11.00%, 11/01/29   6,001 5,971
(3M USD CME Term SOFR + 5.50%, 0.75% Floor), 10.96%, 11/01/29   13,617 13,549
(3M USD CME Term SOFR + 5.50%, 0.75% Floor), 11.04%, 11/01/29   1,300 1,293
 
35

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Industrial Support Services (Continued)
Accession Risk Management Group, Inc., Tranche C Term Loan,      
(3M USD CME Term SOFR + 5.50%, 0.75% Floor), 11.04%, 11/01/29   $1,431 $1,424
(3M USD CME Term SOFR + 5.50%, 0.75% Floor), 11.00%, 11/01/29   15,676 15,598
(3M USD CME Term SOFR + 5.50%, 0.75% Floor), 10.96%, 11/01/29   4,979 4,954
PECF USS Intermediate Holding III Corp., Initial Term Loan, (1M USD CME Term SOFR + 4.25%, 0.50% Floor), 9.70%, 12/15/28   449,650 333,240
      536,369
Institutional Financial Services – 0.7%
CTC Holdings L.P., Term Loan, (3M USD CME Term SOFR + 5.00%, 0.50% Floor), 10.52%, 2/20/29   422,327 418,104
Hudson River Trading LLC, Term Loan, (1M USD CME Term SOFR + 3.00%), 8.45%, 3/20/28   231,856 229,827
Jane Street Group LLC, 2024 Repricing Term Loan, (1M USD CME Term SOFR + 2.50%), 7.95%, 1/26/28   421,313 419,383
Mercury Borrower, Inc., Initial Term Loan, (1M USD CME Term SOFR + 3.50%, 0.50% Floor), 8.95%, 8/02/28   245,994 244,764
      1,312,078
Insurance – 0.7%
Acrisure LLC, 2023 Refinancing Term Loan, (3M USD CME Term SOFR + 4.50%), 9.89%, 11/06/30   198,500 198,913
Acrisure LLC, 2021-2 Additional Term Loan, (3M USD Syn LIBOR + 4.25%, 0.50% Floor), 9.90%, 2/15/27   333,200 332,783
AssuredPartners, Inc., 2023 Term Loan, (1M USD CME Term SOFR + 3.75%, 0.50% Floor), 9.08%, 2/12/27   119,656 119,357
    Par(a) Value
Insurance (Continued)
Asurion LLC, New B-4 Term Loan, (1M USD CME Term SOFR + 5.25%), 10.70%, 1/20/29   $300,000 $283,968
Asurion LLC, New B-9 Term Loan, (1M USD CME Term SOFR + 3.25%), 8.70%, 7/31/27   183,916 181,005
HIG Finance 2 Ltd., 2023 Term Loan, (1M USD CME Term SOFR + 4.00%, 0.50% Floor), 9.33%, 4/18/30   39,700 39,643
Sedgwick Claims Management Services, Inc. (Lightning Cayman Merger Sub, Ltd.), 2023 Term Loan, (1M USD CME Term SOFR + 3.75%), 9.08%, 2/24/28   138,950 138,933
      1,294,602
Internet Media & Services – 0.1%
MH Sub I LLC (Micro Holding Corp.), 2023 May Incremental Term Loan, (1M USD CME Term SOFR + 4.25%, 0.50% Floor), 9.58%, 5/03/28   170,000 166,308
Leisure Facilities & Services – 0.5%
1011778 B.C. Unlimited Liability Co., Term B-5 Loan, (1M USD CME Term SOFR + 2.25%), 7.58%, 9/20/30   130,000 129,258
Alterra Mountain Co., Series B-2 Term Loan, (1M USD CME Term SOFR + 3.50%, 0.50% Floor), 8.95%, 8/17/28   450,777 450,213
Caesars Entertainment, Inc., Term B1 Loan, 1/27/31(r)   150,000 149,625
Caesars Entertainment, Inc., Term Loan B, (3M USD CME Term SOFR + 3.25%, 0.50% Floor), 8.66%, 2/06/30   79,400 79,258
 
36

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Leisure Facilities & Services (Continued)
Carnival Corp., Initial Advance, (1M USD CME Term SOFR + 3.00%, 0.75% Floor), 8.34%, 8/09/27   $79,600 $79,540
UFC Holdings LLC, Term B-3 Loan, (3M USD CME Term SOFR + 2.75%, 0.75% Floor), 8.34%, 4/29/26   144,398 144,234
      1,032,128
Leisure Products – 0.3%
19th Holdings Golf LLC, Initial Term Loan, (1M USD CME Term SOFR + 3.25%, 0.50% Floor), 8.70%, 2/07/29   453,100 442,339
Hayward Industries, Inc., 2022 Incremental Term Loan, (1M USD CME Term SOFR + 3.25%), 8.68%, 5/30/28   88,875 88,820
      531,159
Medical Equipment & Devices – 0.1%
Sotera Health Holdings LLC, Term Loan, (1M USD CME Term SOFR + 3.75%, 0.50% Floor), 9.09%, 12/11/26   139,300 139,126
Other Financial – 0.1%
Nexus Buyer LLC, Amendment No. 5 Term Loan,      
12/13/28(r)   60,000 58,875
(1M USD CME Term SOFR + 4.50%), 9.83%, 12/13/28   200,000 196,250
      255,125
Publishing & Broadcasting – 0.1%
Learfield Communications LLC, 2023 Term Loan, (1M USD CME Term SOFR + 5.50%, 2.00% Floor), 10.83%, 6/30/28   139,650 139,214
Retail - Discretionary – 0.2%
Harbor Freight Tools USA, Inc., Initial Loan, (1M USD CME Term SOFR + 2.75%, 0.50% Floor), 8.20%, 10/19/27   273,062 270,708
    Par(a) Value
Retail - Discretionary (Continued)
Michaels Companies, Inc., The Term B Loan, (3M USD CME Term SOFR + 4.25%), 9.86%, 4/15/28   $19,949 $16,362
Peer Holding III B.V., Facility B4,      
10/28/30(r)   60,000 60,057
(3M USD CME Term SOFR + 3.25%), 8.60%, 10/28/30   60,000 60,056
      407,183
Software – 0.9%
athenahealth Group, Inc., Initial Term Loan, (1M USD CME Term SOFR + 3.25%, 0.50% Floor), 8.58%, 2/15/29   44,542 43,874
Cloudera, Inc., Initial Term Loan,      
(1M USD CME Term SOFR + 3.75%, 0.50% Floor), 9.18%, 10/08/28   371,561 365,987
(1M USD CME Term SOFR + 6.00%), 11.43%, 10/08/29   50,000 48,271
DCert Buyer, Inc., First Amendment Refinancing Loan, (1M USD CME Term SOFR + 7.00%), 12.33%, 2/19/29   340,000 310,491
DCert Buyer, Inc., Initial Term Loan, (1M USD CME Term SOFR + 4.00%), 9.33%, 10/16/26   313,111 310,941
Magenta Buyer LLC, Initial Term Loan, (3M USD CME Term SOFR + 5.00%, 0.75% Floor), 10.57%, 7/27/28   133,398 86,626
MRI Software LLC, Closing Date Term Loan, (3M USD CME Term SOFR + 5.50%, 1.00% Floor), 10.95%, 2/10/27   128,809 126,639
MRI Software LLC, Second Amendment Term Loan, (3M USD CME Term SOFR + 5.50%, 1.00% Floor), 10.95%, 2/10/27   39,753 39,083
 
37

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a) Value
Software (Continued)
Planview Parent, Inc., Closing Date Term Loan, (3M USD CME Term SOFR + 4.00%, 0.75% Floor), 9.61%, 12/17/27   $218,439 $216,482
Project Alpha Intermediate Holding, Inc., Initial Term Loan, (3M USD CME Term SOFR + 4.75%, 0.50% Floor), 10.06%, 10/28/30   150,000 150,188
      1,698,582
Specialty Finance – 0.2%
Apollo Commercial Real Estate Finance, Inc., Initial Term Loan, (1M USD CME Term SOFR + 2.75%), 8.20%, 5/15/26   74,502 73,570
Greystone Select Financial LLC, Initial Term Loan, (3M USD CME Term SOFR + 5.00%), 10.57%, 6/16/28   251,087 249,832
      323,402
Technology Services – 1.0%
Amentum Government Services Holdings LLC, Tranche 1 Term Loan, (1M USD CME Term SOFR + 4.00%), 9.45%, 1/29/27   450,660 450,380
Evertec Group LLC, Term Loan B, (1M USD CME Term SOFR + 3.50%, 0.50% Floor), 8.83%, 10/30/30   72,000 72,045
GTCR W Merger Sub LLC, Term Loan B, 9/20/30(r)   100,000 99,896
MPH Acquisition Holdings LLC, Initial Term Loan, (3M USD CME Term SOFR + 4.25%, 0.50% Floor), 9.90%, 9/01/28   139,288 132,908
Neptune BidCo US, Inc., Term A Loan, (3M USD CME Term SOFR + 4.75%, 0.50% Floor), 10.17%, 10/11/28   248,125 226,776
UST Global, Inc., Initial Term Loan, (1M USD CME Term SOFR + 3.50%), 8.96%, 11/20/28   450,800 448,172
Verscend Holding Corp., Term B-1 Loan, (1M USD CME Term SOFR + 4.00%), 9.45%, 8/27/25   460,513 460,348
      1,890,525
    Par(a) Value
Telecommunications – 0.1%
R.R. Donnelley & Sons Co., 2023 Replacement Term Loan, (1M USD CME Term SOFR + 7.25%, 0.75% Floor), 12.67%, 3/17/28   $200,816 $201,005
Transportation & Logistics – 0.3%
Brown Group Holding LLC, Incremental Term B-2 Facility,      
(3M USD CME Term SOFR + 3.75%, 0.50% Floor), 9.14%, 7/02/29   7,525 7,495
(3M USD CME Term SOFR + 3.75%, 0.50% Floor), 8.33%, 7/02/29   8,107 8,075
(3M USD CME Term SOFR + 3.75%, 0.50% Floor), 8.31%, 7/02/29   14,142 14,085
Brown Group Holding LLC, Initial Term Loan, (1M USD CME Term SOFR + 2.75%, 0.50% Floor), 8.18%, 6/07/28   303,347 300,944
WWEX UNI TopCo Holdings LLC, Initial Term Loan, (3M USD CME Term SOFR + 4.00%, 0.75% Floor), 9.61%, 7/26/28   242,921 238,393
      568,992
Total Term Loans
(Cost $16,306,696)
15,675,849
    
    Number
of Shares
 
Investment Companies – 8.7%
Schwab Short-Term U.S. Treasury ETF   204,234 9,931,899
Vanguard Intermediate-Term Treasury ETF   26,901 1,600,072
Vanguard Long-Term Treasury ETF   90,083 5,443,716
Total Investment Companies
(Cost $18,974,047)
16,975,687
    
    Par(a)/Number
of Shares(a)
 
Short-Term Investments – 4.9%
Corporate Bonds – 0.4%
DISH DBS Corp., 5.88%, 11/15/24   300,000 278,514
 
38

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
    Par(a)/Number
of Shares(a)
Value
Corporate Bonds (Continued)
Las Vegas Sands Corp., 3.20%, 8/08/24   250,000 $246,408
Occidental Petroleum Corp., 2.90%, 8/15/24   90,000 88,585
Plains All American Pipeline L.P., (3M CME Term SOFR + 4.37%), 9.75%, 3/04/24(c)(j)   180,000 177,980
      791,487
Foreign Issuer Bonds – 0.6%
Credit Suisse A.G.,      
4.75%, 8/09/24   260,000 258,594
7.95%, 1/09/25   250,000 255,808
Global Aircraft Leasing Co. Ltd., (100% Cash), 6.50%, 9/15/24(b)(l)   259,062 249,671
Petrobras Global Finance B.V., 5.30%, 1/27/25   150,000 149,021
Wynn Macau Ltd., 4.88%, 10/01/24(b)   280,000 277,339
      1,190,433
Money Market Funds – 3.9%
Northern Institutional Funds - Liquid Assets Portfolio (Shares), 5.37%(s)(t)   3,204,624 3,204,624
Northern Institutional Funds - Treasury Portfolio (Premier), 5.17%(s)   4,487,415 4,487,415
      7,692,039
Total Short-Term Investments
(Cost $9,632,282)
9,673,959
    
Number of
Contracts
Notional
Amount
 
Purchased Options – 0.0%(d)
Call Options - Over the Counter – 0.0%(d)
Canadian Dollar vs. U.S. Dollar, Strike Price CAD 1.37, Expires 3/22/24, Counterparty: BNP Paribas 1 560,000 936
U.S. Dollar vs. Australian Dollar, Strike Price USD 0.67, Expires 4/18/24, Counterparty: BNP Paribas 1 944,900(u) 6,157
      7,093
Number of
Contracts
Notional
Amount
Value
Put Options - Over the Counter – 0.0%(d)
Norwegian Kroner vs. U.S. Dollar, Strike Price NOK 10.13, Expires 2/19/24, Counterparty: Goldman Sachs 1 $960,000 $918
U.S. Dollar vs. Euro, Strike Price USD 1.06, Expires 2/05/24, Counterparty: JPMorgan Chase 1 456,193(v) 6
U.S. Dollar vs. Euro, Strike Price USD 1.06, Expires 2/05/24, Counterparty: Citibank 1 58,067(v) 1
U.S. Dollar vs. Euro, Strike Price USD 1.06, Expires 2/07/24, Counterparty: JPMorgan Chase 1 308,598(v) 40
U.S. Dollar vs. Euro, Strike Price USD 1.06, Expires 2/23/24, Counterparty: BNP Paribas 1 574,659(v) 767
      1,732
Total Purchased Options
(Premiums Paid $26,454)
8,825
    
Total Investments – 100.3%
(Cost $190,449,242)
196,197,673
Total Written Options — 0.0%(d)
(Premiums Received $4,376)
(38)
Liabilities less Other Assets – (0.3)%(w) (680,215)
NET ASSETS – 100.0% $195,517,458
 
Percentages shown are based on Net Assets.
    
All securities are United States companies, unless noted otherwise in parentheses.
(a) Par value is in USD unless otherwise indicated.    
39

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
(b) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.    
(c) Variable or floating rate security. Rate as of January 31, 2024 is disclosed.    
(d) Amount rounds to less than 0.05%.    
(e) Security sold outside United States without registration under the Securities Act of 1933.    
(f) Investment is valued using significant unobservable inputs (Level 3).    
(g) Zero coupon bond.    
(h) Security either partially or fully on loan. As of January 31, 2024, the total value of securities on loan is $3,705,468.    
(i) Issuer has defaulted on terms of debt obligation. Income is not being accrued.    
(j) Perpetual bond. Maturity date represents next call date.    
(k) Variable rate security. Security issued at a fixed coupon rate, which converts to a variable rate at a future date. Rate as of January 31, 2024 is disclosed.    
(l) Distributions from this security are made via payments in-kind (PIK) unless otherwise noted in the description.    
(m) When-Issued Security. Coupon rate was not yet in effect at January 31, 2024.    
(n) Restricted security that has been deemed illiquid. At January 31, 2024, the value of these restricted illiquid securities amounted to $469,147 or 0.24% of net assets. Additional information on these restricted illiquid securities is as follows:    
    
  Security Acquisition Date Acquisition Cost
  SilverBow Resources, Inc., 13.13%, 12/15/28 11/21/23 $470,400
    
 
(o) Step coupon bond. Rate as of January 31, 2024 is disclosed.
(p) Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. Rate as of January 31, 2024 is disclosed.
(q) Unfunded loan commitment. As of January 31, 2024, total value of unfunded loan commitment is $109,214.
(r) Position is unsettled. Contract rate was not determined at January 31, 2024 and does not take effect until settlement date.
(s) 7-day current yield as of January 31, 2024 is disclosed.
(t) Security purchased with the cash proceeds from securities loaned. As of January 31, 2024, total cash collateral has a value of $3,204,624 and total non-cash collateral has a value of $595,910.
(u) The notional amount is AUD.
(v) The notional amount is EUR.
(w) Includes appreciation/(depreciation) on forward foreign currency exchange, futures and swap contracts.
* Non-Income Producing Security
    
Abbreviations:
    
1M 1 Month
1Y 1 Year
3M 3 Month
5Y 5 Year
6M 6 Month
10Y 10 Year
30D 30 Day
ABS Asset-Backed Security
ADR American Depositary Receipt
AUD Australian Dollar
BANXICO Banco de Mexico
BRL Brazilian Real
BZDIO Brazil Interbank Rate
CAD Canadian Dollar
CDO Collateralized Debt Obligation
CLO Collateralized Loan Obligation
CME Chicago Mercantile Exchange
CMT Constant Maturity
ETF Exchange-Traded Fund
EUR Euro
40

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
FNMA Federal National Mortgage Association
Freddie Mac Federal Home Loan Mortgage Corporation
GBP British Pound
IDR Indonesian Rupiah
INR Indian Rupee
JMD Jamaica Dollar
JSC Joint Stock Company
L.P. Limited Partnership
LIBOR London Interbank Offered Rate
LLC Limited Liability Company
MTN Medium Term Note
MXN Mexican Peso
NOK Norwegian Kroner
PJSC Public Joint Stock Company
PLC Public Limited Company
REMIC Real Estate Mortgage Investment Conduit
SOFR United States Secured Overnight Financing Rate
SONIA Sterling Overnight Index Average
STACR Structured Agency Credit Risk
TIIE Tasa de Interés Interbancaria de Equilibrio
USD United States Dollar
UYU Uruguay Peso
Concentration by Currency (%)(a)  
U.S. Dollar 67.4
Euro 6.2
All other currencies less than 5% 26.4
Total 100.0
(a) Percentages shown are based on Net Assets.  
Country Diversification (%)(a)  
United States 57.0
All other countries less than 5%(b) 43.0
Total 100.0
    
(a) Percentages shown are based on Net Assets.
(b) Includes Other.
 
Futures Contracts outstanding at January 31, 2024:
Exchange Traded
           
Description Number of
Contracts
Expiration
Date
Trading
Currency
Notional
Amount
Value/
Unrealized
Appreciation
(Depreciation)
Long Contracts          
Euro-Bund 20 3/07/2024 EUR 2,936,262 $44,752
10-Year Australian Treasury Bond 8 3/15/2024 AUD 609,484 16,328
10-Year U.S. Treasury Note 50 3/19/2024 USD 5,616,406 164,267
U.S. Treasury Long Bond 35 3/19/2024 USD 4,282,031 239,055
Ultra U.S. Treasury Bond 31 3/19/2024 USD 4,005,781 239,431
3-Month SONIA 12 3/20/2024 GBP 3,603,631 34,978
Long Gilt 8 3/26/2024 GBP 1,013,536 44,881
2-Year U.S. Treasury Note 67 3/28/2024 USD 13,778,969 124,656
5-Year U.S. Treasury Note 83 3/28/2024 USD 8,996,422 161,936
41

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
Futures Contracts outstanding at January 31, 2024:
Exchange Traded(continued)
           
Description Number of
Contracts
Expiration
Date
Trading
Currency
Notional
Amount
Value/
Unrealized
Appreciation
(Depreciation)
3-Month SONIA 13 9/18/2024 GBP 3,923,910 $36,182
CME 3-Month SOFR 17 3/18/2025 USD 4,087,438 (19,037)
Total Long Contracts         $1,087,429
Short Contracts          
CME 3-Month SOFR (28) 3/19/2024 USD 6,625,150 $36,250
CME 3-Month SOFR (7) 6/18/2024 USD 1,661,013 (5,962)
Total Short Contracts         $30,288
          $1,117,717
    
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024:
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
             
4/19/24 U.S. Dollars 537,148 Indonesian Rupiahs 8,315,058,087 JPMorgan Chase $10,780
4/19/24 U.S. Dollars 658,985 Euro 598,000 Citibank 10,547
4/19/24 U.S. Dollars 424,840 Mexican Pesos 7,296,835 Morgan Stanley 6,394
4/19/24 U.S. Dollars 836,650 British Pounds 656,165 Citibank 4,616
4/19/24 U.S. Dollars 334,537 Chinese Offshore Yuan 2,380,000 JPMorgan Chase 1,722
4/19/24 U.S. Dollars 18,144 Mexican Pesos 310,000 JPMorgan Chase 367
Total Unrealized Appreciation $34,426
             
4/19/24 Norwegian Kroner 1,172 U.S. Dollars 114 BNP Paribas $(2)
4/19/24 Canadian Dollars 2,946 U.S. Dollars 2,201 Morgan Stanley (7)
4/19/24 Japanese Yen 4,025,808 U.S. Dollars 28,221 Morgan Stanley (527)
4/19/24 Mexican Pesos 4,140,432 U.S. Dollars 240,933 JPMorgan Chase (3,496)
4/19/24 Brazilian Reals 2,340,000 U.S. Dollars 473,435 Morgan Stanley (4,922)
4/19/24 Australian Dollars 2,318,982 U.S. Dollars 1,554,840 Citibank (29,619)
Total Unrealized Depreciation $(38,573)
Net Unrealized Depreciation $(4,147)
    
42

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
Written Put Option Contracts outstanding at January 31, 2024:
Over the Counter
                 
Description Counterparty Number of
Contracts
Notional
Amount
Exercise
Price
Expiration
Date
Value
Brazilian Real vs. U.S. Dollar Goldman Sachs 1 USD 520,000 BRL 4.71 2/16/2024 $(38)
Total Written OTC Put Options Contracts (Premiums Received $4,376) $(38)
    
Interest Rate Swap Contracts outstanding at January 31, 2024:
Centrally Cleared
               
Pay Rate Index/
Pay Rate
Receive Rate Index/
Receive Rate
Maturity
Date
  Notional
Amount
Value Upfront
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
28-Day MXN-TIIE-BANXICO (Monthly) 8.97% (Monthly) 3/1/2030 MXN 27,411,000 $23,624 $$23,624
2.60% (Annually) 2-Day USD SOFR (Annually) 2/15/2048 USD 168,000 30,605 19,688 10,917
3.05% (Annually) 2-Day USD SOFR (Annually) 2/15/2048 USD 964,000 102,044 36,751 65,293
3.15% (Annually) 2-Day USD SOFR (Annually) 5/15/2048 USD 979,000 82,647 8 82,639
Total         $238,920 $56,447 $182,473
    
Interest Rate Swap Contracts outstanding at January 31, 2024:
Over the Counter
                 
Pay Rate Index/
Pay Rate
Receive Rate Index/
Receive Rate
Counterparty Maturity
Date
  Notional
Amount
Value Upfront
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
1-Day BRL BZDIO (At Maturity) 10.23% (At Maturity) JPMorgan Chase 1/2/2029 BRL 4,416,982 $(3,024) $— $(3,024)
Total           $(3,024) $— $(3,024)
Valuation Hierarchy
The following is a summary of the inputs used, as of January 31, 2024, in valuing the Fund's investments carried at fair value:
Morningstar Global Income Fund Level 1 Level 2 Level 3 Totals
Investments        
Assets:        
Asset-Backed Securities $$8,575,841 $$8,575,841
Common Stocks 50,497,476 35,737,957 —* 86,235,433
Convertible Bonds 334,381 334,381
Convertible Preferred Stocks 28,760 28,760
Corporate Bonds 27,014,350 469,147 27,483,497
43

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Income Fund
Morningstar Global Income Fund Level 1 Level 2 Level 3 Totals
Foreign Issuer Bonds $$12,731,311 $$12,731,311
Master Limited Partnerships 6,737,960 6,737,960
Mortgage-Backed Securities 11,736,170 11,736,170
Term Loans 15,675,849 15,675,849
Investment Companies 16,975,687 16,975,687
Short-Term Investments 7,692,039 1,981,920 9,673,959
Purchased Options 8,825 8,825
Total Investments $81,903,162 $113,825,364 $469,147 $196,197,673
    
*Includes securities determined to have no value as of January 31, 2024.
    
Morningstar Global Income Fund Level 1 Level 2 Level 3 Totals
Derivative Financial Instruments        
Assets:        
Futures Contracts $1,142,716 $$— $1,142,716
Forward Foreign Currency Exchange Contracts 34,426 34,426
Swap Agreements 238,920 238,920
Total Assets - Derivative Financial Instruments $1,142,716 $273,346 $— $1,416,062
Liabilities:        
Futures Contracts $(24,999) $$— $(24,999)
Forward Foreign Currency Exchange Contracts (38,573) (38,573)
Written Options (38) (38)
Swap Agreements (3,024) (3,024)
Total Liabilities - Derivative Financial Instruments $(24,999) $(41,635) $— $(66,634)
Net Derivative Financial Instruments $1,117,717 $231,711 $— $1,349,428
44

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments
Morningstar Total Return Bond Fund
    Par(a) Value
Long Positions – 108.8%
Asset-Backed Securities – 3.8%
Other – 3.7%
522 Funding CLO Ltd., Series 2020-6A, Class A1R, (3M CME Term SOFR + 1.41%, 1.15% Floor), 6.73%, 10/23/34(b)(c)   $610,000 $609,610
ABPCI Direct Lending Fund CLO X L.P., Series 2020-10A, Class A1A, (3M CME Term SOFR + 2.21%, 1.95% Floor), 7.53%, 1/20/32(b)(c)   400,000 400,364
AGL CLO 13 Ltd., Series 2021-13A, Class A1, (3M CME Term SOFR + 1.42%, 1.16% Floor), 6.74%, 10/20/34(b)(c)   250,000 249,990
AIMCO CLO, Series 2017-AA, Class AR, (3M CME Term SOFR + 1.31%, 1.05% Floor), 6.63%, 4/20/34(b)(c)   270,000 269,188
Allegro CLO VII Ltd., Series 2018-1A, Class A, (3M CME Term SOFR + 1.36%, 1.10% Floor), 6.68%, 6/13/31(b)(c)   219,989 220,142
AMMC CLO 21 Ltd., Series 2017-21A, Class A, (3M CME Term SOFR + 1.51%), 6.83%, 11/02/30(b)(c)   174,693 174,706
Anchorage Capital CLO Ltd., Series 2013-1A, Class A1R, (3M CME Term SOFR + 1.51%), 6.83%, 10/13/30(b)(c)   250,741 251,014
Ares Loan Funding IV Ltd., Series 2023-ALF4A, Class A1, (3M CME Term SOFR + 1.75%, 1.75% Floor), 7.10%, 10/15/36(b)(c)   480,000 482,886
Ares LXIII CLO Ltd., Series 2022-63A, Class A1A, (3M CME Term SOFR + 1.38%, 1.38% Floor), 6.70%, 4/20/35(b)(c)   540,000 541,091
Ares XLII CLO Ltd., Series 2017-42A, Class BR, (3M CME Term SOFR + 1.76%, 1.50% Floor), 7.08%, 1/22/28(b)(c)   500,000 498,122
    Par(a) Value
Other (Continued)
ARES XLIV CLO Ltd., Series 2017-44A, Class A1R, (3M CME Term SOFR + 1.34%, 1.08% Floor), 6.66%, 4/15/34(b)(c)   $460,000 $459,581
Atrium IX, Series 9A, Class AR2, (3M CME Term SOFR + 1.25%, 0.99% Floor), 6.64%, 5/28/30(b)(c)   515,548 516,418
Avis Budget Rental Car Funding AESOP LLC, Series 2021-1A, Class A, 1.38%, 8/20/27(b)   770,000 705,523
Benefit Street Partners CLO V-B Ltd., Series 2018-5BA, Class A1A, (3M CME Term SOFR + 1.35%), 6.67%, 4/20/31(b)(c)   226,478 226,583
Birch Grove CLO 7 Ltd., Series 2023-7A, Class A1, (3M CME Term SOFR + 1.80%, 1.80% Floor), 7.18%, 10/20/36(b)(c)   270,000 271,031
BlueMountain CLO Ltd.,      
Series 2013-2A, Class A1R, (3M CME Term SOFR + 1.44%), 6.76%, 10/22/30(b)(c)   143,056 143,342
Series 2015-3A, Class A1R, (3M CME Term SOFR + 1.26%), 6.58%, 4/20/31(b)(c)   215,462 215,785
BlueMountain Fuji U.S. CLO I Ltd., Series 2017-1A, Class A1R, (3M CME Term SOFR + 1.24%, 0.98% Floor), 6.56%, 7/20/29(b)(c)   206,106 206,248
BlueMountain Fuji U.S. CLO II Ltd., Series 2017-2A, Class A1AR, (3M CME Term SOFR + 1.26%), 6.58%, 10/20/30(b)(c)   211,730 211,683
Brightwood Capital MM CLO Ltd., Series 2023-1A, Class A1A, (3M CME Term SOFR + 2.75%, 2.75% Floor), 8.11%, 10/15/35(b)(c)   320,000 320,246
Carbone CLO Ltd., Series 2017-1A, Class A1, (3M CME Term SOFR + 1.40%), 6.72%, 1/20/31(b)(c)   202,354 202,449
 
45

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Other (Continued)
Carlyle Global Market Strategies CLO Ltd.,      
Series 2014-1A, Class A1R2, (3M CME Term SOFR + 1.23%, 0.97% Floor), 6.55%, 4/17/31(b)(c)   $210,175 $210,440
Series 2014-2RA, Class A1, (3M CME Term SOFR + 1.31%), 6.69%, 5/15/31(b)(c)   678,869 679,887
Series 2014-3RA, Class A1A, (3M CME Term SOFR + 1.31%), 6.63%, 7/27/31(b)(c)   427,171 427,264
Cascade MH Asset Trust, Series 2021-MH1, Class A1, 1.75%, 2/25/46(b)   114,121 99,076
Cayuga Park CLO Ltd., Series 2020-1A, Class AR, (3M CME Term SOFR + 1.38%, 1.38% Floor), 6.70%, 7/17/34(b)(c)   690,000 691,168
CIFC Funding Ltd.,      
Series 2013-3RA, Class A1, (3M CME Term SOFR + 1.24%, 0.98% Floor), 6.56%, 4/24/31(b)(c)   233,840 233,991
Series 2014-2RA, Class A1, (3M CME Term SOFR + 1.31%, 1.05% Floor), 6.63%, 4/24/30(b)(c)   169,376 169,491
Series 2015-3A, Class AR, (3M CME Term SOFR + 1.13%), 6.44%, 4/19/29(b)(c)   146,484 146,419
Series 2017-3A, Class A1, (3M CME Term SOFR + 1.48%), 6.80%, 7/20/30(b)(c)   190,363 190,328
Series 2017-4A, Class A1R, (3M CME Term SOFR + 1.21%, 0.95% Floor), 6.53%, 10/24/30(b)(c)   190,436 190,407
Series 2017-5A, Class A1, (3M CME Term SOFR + 1.44%), 6.76%, 11/16/30(b)(c)   203,470 203,721
Citigroup Mortgage Loan Trust, Inc., Series 2007-WFH4, Class M3A, (1M CME Term SOFR + 2.61%, 2.50% Floor), 9.20%, 7/25/37(c)   500,000 473,754
    Par(a) Value
Other (Continued)
CLI Funding VIII LLC, Series 2023-1A, Class A, 6.31%, 6/18/48(b)   $284,228 $294,446
Dewolf Park CLO Ltd., Series 2017-1A, Class AR, (3M CME Term SOFR + 1.18%, 0.90% Floor), 6.50%, 10/15/30(b)(c)   215,631 215,747
Dryden 87 CLO Ltd., Series 2021-87A, Class A1, (3M CME Term SOFR + 1.36%, 1.10% Floor), 6.73%, 5/20/34(b)(c)   770,000 770,713
Dryden XXVI Senior Loan Fund, Series 2013-26A, Class AR, (3M CME Term SOFR + 1.16%), 6.48%, 4/15/29(b)(c)   170,599 170,685
Elmwood CLO IV Ltd., Series 2020-1A, Class A, (3M CME Term SOFR + 1.50%, 1.24% Floor), 6.82%, 4/15/33(b)(c)   290,000 290,335
Enterprise Fleet Financing LLC, Series 2023-1, Class A2, 5.51%, 1/22/29(b)   332,445 333,285
First Franklin Mortgage Loan Trust,      
Series 2003-FF4, Class M1, (1M CME Term SOFR + 1.91%, 1.80% Floor), 7.27%, 10/25/33(c)   226,880 216,603
Series 2006-FF13, Class A1, (1M CME Term SOFR + 0.35%, 0.24% Floor), 5.69%, 10/25/36(c)   27,233 17,799
Series 2006-FF13, Class A2C, (1M CME Term SOFR + 0.43%, 0.32% Floor), 5.77%, 10/25/36(c)   15,889 10,096
Flatiron CLO 17 Ltd., Series 2017-1A, Class AR, (3M CME Term SOFR + 1.24%, 0.98% Floor), 6.62%, 5/15/30(b)(c)   143,202 143,108
Ford Credit Auto Owner Trust, Series 2023-1, Class A, 4.85%, 8/15/35(b)   830,000 835,018
 
46

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Other (Continued)
Generate CLO 2 Ltd., Series 2015-1A, Class AR, (3M CME Term SOFR + 1.41%, 1.15% Floor), 6.73%, 1/22/31(b)(c)   $215,456 $215,658
GoldentTree Loan Management U.S. CLO 1 Ltd., Series 2021-11A, Class A, (3M CME Term SOFR + 1.39%, 1.13% Floor), 6.71%, 10/20/34(b)(c)   300,000 300,730
Golub Capital Partners CLO Ltd., Series 2015-25A, Class AR, (3M CME Term SOFR + 1.64%, 1.38% Floor), 7.03%, 5/05/30(b)(c)   195,971 195,763
GSAA Home Equity Trust, Series 2006-4, Class 1A1, 3.68%, 3/25/36(d)   43,964 29,999
Hardee's Funding LLC, Series 2021-1A, Class A2, 2.87%, 6/20/51(b)   409,500 345,338
Hertz Vehicle Financing LLC,      
Series 2021-1A, Class A, 1.21%, 12/26/25(b)   630,000 611,265
Series 2021-1A, Class C, 2.05%, 12/26/25(b)   420,000 407,000
Hildene Community Funding CDO Ltd., Series 2015-1A, Class ARR, 2.60%, 11/01/35(b)   428,742 346,034
JGWPT XXXIII LLC, Series 2014-3A, Class A, 3.50%, 6/15/77(b)   642,208 572,805
KKR CLO 32 Ltd., Series 32A, Class A1, (3M CME Term SOFR + 1.58%, 1.32% Floor), 6.90%, 1/15/32(b)(c)   150,000 150,297
Long Beach Mortgage Loan Trust, Series 2006-6, Class 2A3, (1M CME Term SOFR + 0.41%, 0.30% Floor), 5.75%, 7/25/36(c)   727,080 280,599
Madison Park Funding XIII Ltd., Series 2014-13A, Class AR2, (3M CME Term SOFR + 1.21%, 0.95% Floor), 6.52%, 4/19/30(b)(c)   292,734 292,853
    Par(a) Value
Other (Continued)
Madison Park Funding XVIII Ltd., Series 2015-18A, Class ARR, (3M CME Term SOFR + 1.20%, 0.94% Floor), 6.52%, 10/21/30(b)(c)   $486,976 $487,611
Madison Park Funding XXIII Ltd., Series 2017-23A, Class AR, (3M CME Term SOFR + 1.23%, 0.97% Floor), 6.55%, 7/27/31(b)(c)   240,728 240,940
Madison Park Funding XXX Ltd., Series 2018-30A, Class A, (3M CME Term SOFR + 1.01%, 1.01% Floor), 6.33%, 4/15/29(b)(c)   215,199 215,091
Merrill Lynch Mortgage Investors Trust, Series 2004-WMC5, Class M1, (1M CME Term SOFR + 1.04%, 0.93% Floor), 6.38%, 7/25/35(c)   148,126 146,637
Myers Park CLO Ltd., Series 2018-1A, Class B1, (3M CME Term SOFR + 1.86%, 1.60% Floor), 7.18%, 10/20/30(b)(c)   250,000 249,949
Navient Student Loan Trust,      
Series 2017-1A, Class A3, (30D Average SOFR + 1.26%), 6.61%, 7/26/66(b)(c)   185,854 185,687
Series 2017-2A, Class A, (30D Average SOFR + 1.16%), 6.51%, 12/27/66(b)(c)   88,554 88,059
Neuberger Berman Loan Advisers CLO 29 Ltd., Series 2018-29A, Class A1, (3M CME Term SOFR + 1.39%, 1.13% Floor), 6.70%, 10/19/31(b)(c)   256,834 257,114
NP SPE X L.P., Series 2021-1A, Class A1, 2.23%, 3/19/51(b)   775,881 700,683
OCP CLO Ltd., Series 2017-14A, Class A1A, (3M CME Term SOFR + 1.41%, 1.15% Floor), 6.78%, 11/20/30(b)(c)   206,060 206,444
Octagon 66 Ltd., Series 2022-1A, Class A1R, (3M CME Term SOFR + 1.75%, 1.75% Floor), 7.14%, 11/16/36(b)(c)   650,000 662,443
 
47

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Other (Continued)
Octagon Investment Partners 31 Ltd., Series 2017-1A, Class AR, (3M CME Term SOFR + 1.31%, 1.05% Floor), 6.63%, 7/20/30(b)(c)   $183,325 $183,454
Octagon Investment Partners XXI Ltd.,      
Series 2012-1A, Class AAR3, (3M CME Term SOFR + 1.26%, 1.00% Floor), 6.64%, 2/14/31(b)(c)   260,000 260,212
Series 2012-1A, Class AARR, (3M CME Term SOFR + 1.21%, 0.95% Floor), 6.53%, 7/15/29(b)(c)   691,340 692,377
OHA Credit Funding 7 Ltd., Series 2020-7A, Class AR, (3M CME Term SOFR + 1.30%, 1.30% Floor), 6.61%, 2/24/37(b)(c)   350,000 349,209
Option One Mortgage Loan Trust, Series 2004-3, Class M1, (1M CME Term SOFR + 0.89%, 0.78% Floor), 6.23%, 11/25/34(c)   72,174 71,195
Owl Rock CLO III Ltd., Series 2020-3A, Class A1L, (3M CME Term SOFR + 2.06%), 7.38%, 4/20/32(b)(c)   270,000 268,623
PFS Financing Corp., Series 2021-B, Class A, 0.77%, 8/15/26(b)   910,000 886,292
Point Au Roche Park CLO Ltd., Series 2021-1A, Class A, (3M CME Term SOFR + 1.34%, 1.08% Floor), 6.66%, 7/20/34(b)(c)   620,000 620,775
PRPM LLC, Series 2022-1, Class A1, (Step to 6.72% on 3/25/25), 3.72%, 2/25/27(b)(e)   308,437 298,280
Rad CLO 1 Ltd., Series 2018-1A, Class AR, (3M CME Term SOFR + 1.24%), 6.56%, 7/15/31(b)(c)   205,438 205,638
Rad CLO 22 Ltd., Series 2023-22A, Class A1, (3M CME Term SOFR + 1.83%, 1.83% Floor), 7.20%, 1/20/37(b)(c)   550,000 550,627
    Par(a) Value
Other (Continued)
Renaissance Home Equity Loan Trust, Series 2005-2, Class AV3, (1M CME Term SOFR + 0.85%, 0.74% Floor, 14.00% Cap), 6.19%, 8/25/35(c)   $285,690 $252,538
RR 3 Ltd., Series 2018-3A, Class A1R2, (3M CME Term SOFR + 1.35%, 1.09% Floor), 6.67%, 1/15/30(b)(c)   182,436 182,747
SBA Small Business Investment Cos., Series 2021-10A, Class 1, 1.67%, 3/10/31   210,181 184,614
Silver Rock CLO I Ltd., Series 2020-1A, Class AR, (3M CME Term SOFR + 1.78%, 1.78% Floor), 1.83%, 10/20/33(b)(c)   550,000 550,697
SLM Private Credit Student Loan Trust, Series 2006-B, Class A5, (3M CME Term SOFR + 0.53%), 5.92%, 12/15/39(c)   150,467 145,385
SMB Private Education Loan Trust,      
Series 2020-A, Class A2A, 2.23%, 9/15/37(b)   136,361 127,357
Series 2021-A, Class A2B, 1.59%, 1/15/53(b)   449,770 404,050
Series 2021-E, Class A1A, 1.68%, 2/15/51(b)   129,362 117,643
Storm King Park CLO Ltd., Series 2022-1A, Class A1, (3M CME Term SOFR + 2.05%, 2.05% Floor), 7.36%, 10/15/35(b)(c)   250,000 251,902
Sunrun Vulcan Issuer LLC, Series 2021-1A, Class A, 2.46%, 1/30/52(b)   550,814 456,900
Symphony CLO 40 Ltd., Series 2023-40A, Class A1, (3M CME Term SOFR + 1.64%, 1.64% Floor), 6.98%, 1/14/34(b)(c)   520,000 521,764
TCI-Symphony CLO Ltd., Series 2016-1A, Class AR2, (3M CME Term SOFR + 1.28%, 1.02% Floor), 6.60%, 10/13/32(b)(c)   244,987 245,037
 
48

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Other (Continued)
Trinitas CLO XXV Ltd., Series 2023-25A, Class A1, (3M CME Term SOFR + 1.85%, 1.85% Floor), 7.18%, 1/23/37(b)(c)   $180,000 $180,700
United States Small Business Administration,      
Series 2019-20D, Class 1, 2.98%, 4/01/39   32,045 29,392
Series 2019-25G, Class 1, 2.69%, 7/01/44   50,057 43,799
Voya CLO Ltd.,      
Series 2015-1A, Class A1R, (3M CME Term SOFR + 1.16%, 0.90% Floor), 6.46%, 1/18/29(b)(c)   58,798 58,827
Series 2017-3A, Class A1R, (3M CME Term SOFR + 1.30%), 6.62%, 4/20/34(b)(c)   230,000 230,301
Series 2018-2A, Class A1, (3M CME Term SOFR + 1.26%, 1.00% Floor), 6.58%, 7/15/31(b)(c)   471,953 472,661
Whitebox CLO II Ltd., Series 2020-2A, Class A1R, (3M CME Term SOFR + 1.48%, 1.22% Floor), 6.80%, 10/24/34(b)(c)   290,000 290,589
Whitebox CLO III Ltd., Series 2021-3A, Class A1, (3M CME Term SOFR + 1.48%, 1.22% Floor), 6.80%, 10/15/34(b)(c)   420,000 419,936
Woodmont Trust, Series 2023-12A, Class A1A, (3M CME Term SOFR + 2.50%, 2.50% Floor), 7.82%, 7/25/31(b)(c)   478,267 482,230
      31,414,533
Specialty Finance – 0.1%
Brazos Higher Education Authority, Inc., Series 2011-2, Class A3, (90D Average SOFR + 1.26%), 6.62%, 10/27/36(c)   128,546 128,531
    Par(a) Value
Specialty Finance (Continued)
SLM Private Education Loan Trust, Series 2010-C, Class A5, (1M CME Term SOFR + 4.86%), 10.20%, 10/15/41(b)(c)   $195,970 $207,135
Whitebox CLO IV Ltd., Series 2023-4A, Class A1, (3M CME Term SOFR + 2.15%, 2.15% Floor), 7.47%, 4/20/36(b)(c)   540,000 543,330
      878,996
Total Asset-Backed Securities
(Cost $32,919,946)
32,293,529
Corporate Bonds – 17.6%
Aerospace & Defense – 1.0%
Boeing (The) Co.,      
4.88%, 5/01/25   270,000 268,452
2.20%, 2/04/26   390,000 367,314
3.10%, 5/01/26   40,000 38,305
2.70%, 2/01/27   30,000 28,085
2.80%, 3/01/27   40,000 37,495
3.20%, 3/01/29   130,000 119,493
5.15%, 5/01/30   370,000 370,818
3.25%, 2/01/35   290,000 240,301
5.71%, 5/01/40   230,000 231,687
3.75%, 2/01/50   160,000 119,506
5.81%, 5/01/50   350,000 350,506
3.95%, 8/01/59   216,000 159,535
5.93%, 5/01/60   211,000 210,671
General Dynamics Corp.,      
4.25%, 4/01/40   10,000 9,262
4.25%, 4/01/50   70,000 62,950
Huntington Ingalls Industries, Inc.,      
3.48%, 12/01/27   314,000 297,443
4.20%, 5/01/30   253,000 241,763
L3Harris Technologies, Inc.,      
4.40%, 6/15/28(f)   36,000 35,534
4.40%, 6/15/28   132,000 130,292
1.80%, 1/15/31(f)   321,000 263,614
5.40%, 7/31/33   382,000 393,473
4.85%, 4/27/35   60,000 58,984
Lockheed Martin Corp.,      
4.45%, 5/15/28(f)   137,000 137,208
1.85%, 6/15/30(f)   40,000 34,292
3.90%, 6/15/32   90,000 86,029
5.25%, 1/15/33(f)   95,000 99,497
3.60%, 3/01/35   145,000 131,640
4.15%, 6/15/53   390,000 339,910
 
49

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Aerospace & Defense (Continued)
Northrop Grumman Corp.,      
3.25%, 1/15/28   $280,000 $266,920
4.70%, 3/15/33   195,000 194,052
4.03%, 10/15/47   100,000 84,600
5.25%, 5/01/50   651,000 659,780
4.95%, 3/15/53   92,000 89,407
RTX Corp.,      
6.70%, 8/01/28   179,000 191,913
7.00%, 11/01/28   168,000 180,719
4.13%, 11/16/28   580,000 565,349
2.25%, 7/01/30   100,000 86,509
6.00%, 3/15/31   150,000 159,623
5.15%, 2/27/33   248,000 251,319
6.10%, 3/15/34(f)   235,000 255,054
4.50%, 6/01/42(f)   30,000 27,453
4.15%, 5/15/45   150,000 129,180
4.63%, 11/16/48   40,000 36,183
3.13%, 7/01/50   120,000 84,232
3.03%, 3/15/52   344,000 234,256
Textron, Inc.,      
3.90%, 9/17/29   368,000 350,948
2.45%, 3/15/31   43,000 36,605
      8,748,161
Apparel & Textile Products – 0.0%(g)
NIKE, Inc.,      
2.75%, 3/27/27(f)   100,000 95,247
2.85%, 3/27/30   100,000 91,587
3.25%, 3/27/40   50,000 41,111
3.38%, 3/27/50   10,000 7,875
      235,820
Asset Management – 0.1%
Charles Schwab (The) Corp.,      
5.88%, 8/24/26   350,000 358,354
(SOFR + 2.01%), 6.14%, 8/24/34(h)   70,000 73,980
Nuveen LLC, 4.00%, 11/01/28(b)   100,000 98,020
Vanguard Group (The), Inc., 3.05%, 8/22/50(i)   170,000 108,950
      639,304
Automotive – 0.1%
Ford Motor Co., 6.10%, 8/19/32(f)   180,000 180,372
Ford Motor Credit Co. LLC, 7.12%, 11/07/33(f)   298,000 319,357
General Motors Co.,      
5.60%, 10/15/32(f)   60,000 60,853
    Par(a) Value
Automotive (Continued)
General Motors Co.,      
6.60%, 4/01/36   $10,000 $10,776
5.95%, 4/01/49(f)   10,000 9,844
      581,202
Banking – 3.1%
Bank of America Corp.,      
(SOFR + 1.15%), 1.32%, 6/19/26(h)   1,090,000 1,031,409
(SOFR + 1.58%), 4.38%, 4/27/28(h)   430,000 421,589
(3M CME Term SOFR + 1.63%), 3.59%, 7/21/28(h)   160,000 152,654
(3M CME Term SOFR + 1.30%), 3.42%, 12/20/28(h)   600,000 566,789
(SOFR + 1.57%), 5.82%, 9/15/29(f)(h)   1,278,000 1,321,340
(3M CME Term SOFR + 1.47%), 3.97%, 2/07/30(h)   620,000 591,562
(SOFR + 2.15%), 2.59%, 4/29/31(h)   990,000 857,295
(SOFR + 1.53%), 1.90%, 7/23/31(h)   200,000 164,650
(SOFR + 1.21%), 2.57%, 10/20/32(h)   380,000 316,794
(SOFR + 1.33%), 2.97%, 2/04/33(h)   574,000 489,682
(SOFR + 1.83%), 4.57%, 4/27/33(h)   171,000 163,624
(SOFR + 1.91%), 5.29%, 4/25/34(h)   129,000 129,793
(SOFR + 1.84%), 5.87%, 9/15/34(h)   1,287,000 1,347,679
(SOFR + 1.65%), 5.47%, 1/23/35(f)(h)   505,000 514,266
5.00%, 1/21/44   170,000 167,476
(3M CME Term SOFR + 1.78%), 4.33%, 3/15/50(f)(h)   30,000 26,379
(3M CME Term SOFR + 3.41%), 4.08%, 3/20/51(h)   330,000 275,465
Citigroup, Inc.,      
3.30%, 4/27/25   120,000 117,624
5.50%, 9/13/25   90,000 90,577
(SOFR + 2.84%), 3.11%, 4/08/26(h)   80,000 77,993
3.40%, 5/01/26   95,000 91,995
(SOFR + 0.77%), 1.46%, 6/09/27(h)   133,000 122,227
(SOFR + 1.28%), 3.07%, 2/24/28(h)   107,000 101,164
 
50

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Banking (Continued)
Citigroup, Inc.,      
(SOFR + 1.89%), 4.66%, 5/24/28(h)   $292,000 $290,081
(3M CME Term SOFR + 1.41%), 3.52%, 10/27/28(h)   1,083,000 1,027,392
(3M CME Term SOFR + 1.45%), 4.08%, 4/23/29(h)   150,000 144,893
(3M CME Term SOFR + 1.60%), 3.98%, 3/20/30(h)   550,000 524,165
(SOFR + 3.91%), 4.41%, 3/31/31(h)   290,000 279,049
(SOFR + 2.11%), 2.57%, 6/03/31(h)   270,000 232,566
(SOFR + 1.35%), 3.06%, 1/25/33(h)   436,000 373,468
(SOFR + 1.94%), 3.79%, 3/17/33(h)   340,000 306,749
(SOFR + 2.09%), 4.91%, 5/24/33(h)   210,000 205,738
(SOFR + 2.34%), 6.27%, 11/17/33(h)   616,000 661,099
8.13%, 7/15/39   460,000 596,470
4.65%, 7/23/48   30,000 27,728
Fifth Third Bancorp, (SOFR + 1.84%), 5.63%, 1/29/32(h)   85,000 85,799
JPMorgan Chase & Co.,      
(SOFR + 1.85%), 2.08%, 4/22/26(h)   200,000 192,330
(SOFR + 0.89%), 1.58%, 4/22/27(h)   410,000 380,558
3.63%, 12/01/27   190,000 182,161
(SOFR + 1.19%), 5.04%, 1/23/28(f)(h)   190,000 190,813
(3M CME Term SOFR + 1.59%), 4.45%, 12/05/29(h)   320,000 314,152
(SOFR + 1.75%), 4.57%, 6/14/30(h)   140,000 137,788
(SOFR + 2.04%), 2.52%, 4/22/31(h)   510,000 443,451
(3M Euribor + 1.28%), 4.46%, 11/13/31(h) EUR 220,000 250,272
(3M CME Term SOFR + 1.11%), 1.76%, 11/19/31(f)(h)   47,000 38,306
(3M CME Term SOFR + 1.25%), 2.58%, 4/22/32(h)   573,000 485,466
(SOFR + 1.18%), 2.55%, 11/08/32(h)   130,000 109,014
(SOFR + 1.26%), 2.96%, 1/25/33(h)   607,000 522,338
    Par(a) Value
Banking (Continued)
JPMorgan Chase & Co.,      
(SOFR + 1.85%), 5.35%, 6/01/34(h)   $340,000 $345,675
(SOFR + 1.81%), 6.25%, 10/23/34(h)   137,000 148,471
(SOFR + 1.62%), 5.34%, 1/23/35(h)   95,000 96,545
4.95%, 6/01/45   60,000 57,846
(SOFR + 2.44%), 3.11%, 4/22/51(h)   50,000 35,671
PNC Financial Services Group (The), Inc.,      
(SOFR + 1.32%), 5.81%, 6/12/26(h)   80,000 80,446
(SOFR + 1.84%), 5.58%, 6/12/29(h)   150,000 153,118
Santander Holdings USA, Inc., (SOFR + 2.50%), 6.17%, 1/09/30(f)(h)   332,000 333,901
Truist Financial Corp.,      
(SOFR + 2.05%), 6.05%, 6/08/27(h)   160,000 162,988
(SOFR + 1.62%), 5.44%, 1/24/30(h)   100,000 100,852
(SOFR + 1.92%), 5.71%, 1/24/35(h)   65,000 66,096
U.S. Bancorp,      
1.45%, 5/12/25   190,000 181,820
(SOFR + 0.73%), 2.22%, 1/27/28(h)   30,000 27,630
(SOFR + 2.02%), 5.78%, 6/12/29(h)   170,000 174,165
(SOFR + 1.56%), 5.38%, 1/23/30(h)   70,000 70,830
(SOFR + 2.26%), 5.84%, 6/12/34(h)   60,000 61,920
(SOFR + 1.86%), 5.68%, 1/23/35(h)   45,000 46,044
Wells Fargo & Co.,      
(SOFR + 2.00%), 2.19%, 4/30/26(h)   570,000 548,363
3.00%, 10/23/26   80,000 76,087
4.30%, 7/22/27   270,000 265,403
(3M CME Term SOFR + 1.57%), 3.58%, 5/22/28(h)   300,000 287,116
(SOFR + 2.10%), 2.39%, 6/02/28(h)   130,000 119,949
4.15%, 1/24/29   230,000 222,965
(SOFR + 1.74%), 5.57%, 7/25/29(h)   363,000 370,992
(SOFR + 1.79%), 6.30%, 10/23/29(h)   299,000 315,130
 
51

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Banking (Continued)
Wells Fargo & Co.,      
(SOFR + 1.50%), 5.20%, 1/23/30(f)(h)   $209,000 $210,625
0.63%, 3/25/30 EUR 101,000 91,484
(3M CME Term SOFR + 1.43%), 2.88%, 10/30/30(h)   250,000 222,649
(3M CME Term SOFR + 4.03%), 4.48%, 4/04/31(h)   300,000 291,135
(SOFR + 1.50%), 3.35%, 3/02/33(h)   80,000 70,219
(SOFR + 2.02%), 5.39%, 4/24/34(h)   94,000 94,845
(SOFR + 1.99%), 5.56%, 7/25/34(h)   526,000 537,016
(SOFR + 2.06%), 6.49%, 10/23/34(h)   683,000 745,116
(SOFR + 1.78%), 5.50%, 1/23/35(f)(h)   314,000 320,241
4.40%, 6/14/46   330,000 281,343
4.75%, 12/07/46   130,000 116,289
(3M CME Term SOFR + 4.50%), 5.01%, 4/04/51(h)   1,650,000 1,576,094
Wells Fargo Bank N.A., 5.45%, 8/07/26(f)   479,000 486,684
      26,535,635
Beverages – 0.0%(g)
Coca-Cola (The) Co., 2.50%, 6/01/40   50,000 37,345
Constellation Brands, Inc., 4.35%, 5/09/27(f)   130,000 128,883
PepsiCo, Inc.,      
2.63%, 3/19/27(f)   10,000 9,494
1.63%, 5/01/30(f)   40,000 33,846
      209,568
Biotechnology & Pharmaceuticals – 0.7%
AbbVie, Inc.,      
3.80%, 3/15/25   190,000 187,547
3.60%, 5/14/25   40,000 39,340
2.95%, 11/21/26   100,000 95,842
3.20%, 11/21/29   480,000 447,406
4.55%, 3/15/35   398,000 389,828
4.50%, 5/14/35   257,000 250,817
4.88%, 11/14/48   20,000 19,306
4.25%, 11/21/49   350,000 307,401
Amgen, Inc.,      
4.05%, 8/18/29   193,000 187,899
5.25%, 3/02/30   684,000 700,293
4.40%, 5/01/45   20,000 17,636
4.40%, 2/22/62   414,000 344,720
    Par(a) Value
Biotechnology & Pharmaceuticals (Continued)
Amgen, Inc.,      
5.75%, 3/02/63   $324,000 $333,867
Bristol-Myers Squibb Co.,      
3.40%, 7/26/29(f)   65,000 61,588
4.55%, 2/20/48   60,000 54,268
Gilead Sciences, Inc.,      
1.65%, 10/01/30(f)   151,000 126,131
2.60%, 10/01/40   133,000 96,792
4.80%, 4/01/44   78,000 74,543
4.50%, 2/01/45   268,000 245,891
4.75%, 3/01/46   120,000 113,397
Johnson & Johnson,      
3.63%, 3/03/37   70,000 63,677
2.10%, 9/01/40   260,000 183,451
Merck & Co., Inc.,      
1.45%, 6/24/30   70,000 58,499
2.75%, 12/10/51   250,000 167,809
Pfizer Investment Enterprises Pte. Ltd.,      
4.75%, 5/19/33   278,000 277,655
5.30%, 5/19/53   131,000 133,195
5.34%, 5/19/63   73,000 72,939
Pfizer, Inc.,      
2.63%, 4/01/30   160,000 144,130
1.70%, 5/28/30   100,000 85,118
2.55%, 5/28/40   240,000 173,977
4.13%, 12/15/46   108,000 95,250
4.20%, 9/15/48   119,000 105,091
4.00%, 3/15/49   105,000 89,826
2.70%, 5/28/50(f)   180,000 123,292
      5,868,421
Cable & Satellite – 0.7%
Charter Communications Operating LLC/Charter Communications Operating Capital,      
4.91%, 7/23/25   130,000 128,847
4.20%, 3/15/28   90,000 86,510
5.05%, 3/30/29   640,000 629,638
4.40%, 4/01/33(f)   400,000 361,614
5.38%, 4/01/38   60,000 54,398
3.50%, 6/01/41   300,000 209,439
3.50%, 3/01/42   60,000 41,243
5.38%, 5/01/47   161,000 134,777
5.75%, 4/01/48   171,000 149,084
5.13%, 7/01/49   70,000 55,754
4.80%, 3/01/50   30,000 22,902
3.70%, 4/01/51(f)   216,000 137,822
3.90%, 6/01/52   836,000 549,337
3.85%, 4/01/61   170,000 103,018
5.50%, 4/01/63   110,000 89,281
 
52

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Cable & Satellite (Continued)
Comcast Corp.,      
3.95%, 10/15/25   $10,000 $9,875
3.15%, 3/01/26   50,000 48,629
3.30%, 4/01/27   50,000 48,193
4.15%, 10/15/28   520,000 512,222
2.65%, 2/01/30   263,000 236,528
3.40%, 4/01/30   70,000 65,242
4.25%, 10/15/30   390,000 381,683
4.80%, 5/15/33(f)   136,000 136,391
3.25%, 11/01/39   20,000 16,131
3.75%, 4/01/40   223,000 190,999
3.40%, 7/15/46   20,000 15,340
4.00%, 8/15/47   30,000 25,117
3.97%, 11/01/47   140,000 115,858
4.00%, 3/01/48   20,000 16,590
4.00%, 11/01/49   170,000 140,475
3.45%, 2/01/50   60,000 45,178
2.80%, 1/15/51   190,000 124,390
2.89%, 11/01/51   120,000 79,444
2.94%, 11/01/56   315,000 203,570
4.95%, 10/15/58   20,000 19,249
2.99%, 11/01/63(f)   373,000 235,618
Time Warner Cable LLC,      
6.55%, 5/01/37   50,000 49,903
5.88%, 11/15/40   60,000 54,501
      5,524,790
Chemicals – 0.0%(g)
Eastman Chemical Co., 5.75%, 3/08/33   34,000 35,018
Commercial Support Services – 0.0%(g)
Cintas Corp. No. 2,      
3.70%, 4/01/27   20,000 19,569
4.00%, 5/01/32   120,000 115,028
Republic Services, Inc.,      
1.75%, 2/15/32(f)   46,000 36,933
2.38%, 3/15/33   53,000 43,686
5.00%, 4/01/34   34,000 34,345
Waste Management, Inc., 4.88%, 2/15/34   115,000 115,775
      365,336
Construction Materials – 0.0%(g)
Owens Corning, 3.95%, 8/15/29   40,000 38,189
Containers & Packaging – 0.0%(g)
Amcor Finance USA, Inc., 5.63%, 5/26/33   33,000 34,196
Berry Global, Inc., 1.57%, 1/15/26   45,000 42,007
      76,203
    Par(a) Value
Diversified Industrials – 0.1%
3M Co.,      
2.38%, 8/26/29   $290,000 $254,365
3.70%, 4/15/50   30,000 23,232
Emerson Electric Co., 2.80%, 12/21/51   460,000 307,570
      585,167
E-Commerce Discretionary – 0.2%
Amazon.com, Inc.,      
3.30%, 4/13/27   50,000 48,547
1.20%, 6/03/27   280,000 252,971
3.15%, 8/22/27   140,000 134,527
3.45%, 4/13/29(f)   110,000 106,133
1.50%, 6/03/30   70,000 59,155
2.10%, 5/12/31   80,000 68,430
3.60%, 4/13/32   320,000 301,961
3.88%, 8/22/37   200,000 184,251
2.50%, 6/03/50   700,000 453,949
4.25%, 8/22/57(f)   170,000 151,703
      1,761,627
Electric Utilities – 1.4%
AEP Texas, Inc.,      
3.95%, 6/01/28   451,000 435,596
3.45%, 5/15/51   267,000 188,311
5.25%, 5/15/52   89,000 85,800
AEP Transmission Co. LLC, 3.80%, 6/15/49   258,000 201,052
Alabama Power Co.,      
5.20%, 6/01/41   38,000 37,180
3.75%, 3/01/45   306,000 248,175
3.00%, 3/15/52   108,000 74,411
American Transmission Systems, Inc., 2.65%, 1/15/32(b)   336,000 282,460
Baltimore Gas and Electric Co.,      
3.75%, 8/15/47   322,000 255,600
2.90%, 6/15/50   227,000 151,351
CenterPoint Energy Houston Electric LLC, 3.35%, 4/01/51   114,000 84,841
Cleveland Electric Illuminating (The) Co., 3.50%, 4/01/28(b)   100,000 94,114
Commonwealth Edison Co.,      
4.00%, 3/01/49   42,000 34,703
3.13%, 3/15/51   63,000 43,721
2.75%, 9/01/51   147,000 94,153
5.30%, 2/01/53   101,000 101,793
 
53

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Electric Utilities (Continued)
Consolidated Edison Co. of New York, Inc.,      
3.35%, 4/01/30   $50,000 $46,652
6.30%, 8/15/37   34,000 37,349
3.95%, 4/01/50   20,000 16,568
Consumers Energy Co.,      
4.63%, 5/15/33   108,000 106,862
3.75%, 2/15/50   207,000 167,892
3.50%, 8/01/51   48,000 37,237
Dominion Energy South Carolina, Inc., 6.25%, 10/15/53   50,000 56,899
DTE Electric Co., 3.25%, 4/01/51   131,000 94,016
Duke Energy Carolinas LLC,      
3.75%, 6/01/45   120,000 95,417
3.88%, 3/15/46   65,000 52,176
3.95%, 3/15/48   236,000 191,552
3.20%, 8/15/49   46,000 32,871
5.40%, 1/15/54(f)   81,000 81,959
Duke Energy Florida LLC,      
2.50%, 12/01/29   62,000 55,154
1.75%, 6/15/30   195,000 162,858
3.00%, 12/15/51   241,000 160,737
5.95%, 11/15/52   202,000 218,998
Duke Energy Ohio, Inc., 5.65%, 4/01/53   36,000 37,235
Duke Energy Progress LLC,      
3.45%, 3/15/29   232,000 220,692
2.50%, 8/15/50   324,000 200,114
4.00%, 4/01/52   61,000 49,058
5.35%, 3/15/53   103,000 103,002
Edison International,      
4.95%, 4/15/25   124,000 123,227
5.75%, 6/15/27   235,000 240,134
5.25%, 11/15/28(f)   102,000 102,973
6.95%, 11/15/29(f)   246,000 267,187
Entergy Arkansas LLC, 5.30%, 9/15/33   37,000 37,980
Eversource Energy,      
5.45%, 3/01/28   152,000 154,752
4.25%, 4/01/29   50,000 48,153
FirstEnergy Corp.,      
2.05%, 3/01/25   22,000 21,116
1.60%, 1/15/26   40,000 37,220
4.15%, 7/15/27(f)   499,000 479,173
5.10%, 7/15/47   77,000 68,962
3.40%, 3/01/50   167,000 115,644
FirstEnergy Transmission LLC, 4.55%, 4/01/49(b)   215,000 183,944
    Par(a) Value
Electric Utilities (Continued)
Florida Power & Light Co.,      
3.99%, 3/01/49   $174,000 $145,677
3.15%, 10/01/49   52,000 37,527
Georgia Power Co., 4.95%, 5/17/33   139,000 139,045
MidAmerican Energy Co.,      
3.65%, 4/15/29   160,000 153,231
5.85%, 9/15/54   99,000 108,202
5.30%, 2/01/55   35,000 35,499
Mid-Atlantic Interstate Transmission LLC, 4.10%, 5/15/28(b)   40,000 38,677
Northern States Power Co.,      
2.90%, 3/01/50(f)   100,000 68,544
2.60%, 6/01/51   93,000 59,530
3.20%, 4/01/52(f)   212,000 152,591
4.50%, 6/01/52   79,000 71,326
5.10%, 5/15/53(f)   51,000 50,553
Ohio Power Co.,      
2.60%, 4/01/30   294,000 257,694
5.00%, 6/01/33   222,000 222,497
4.15%, 4/01/48   52,000 42,511
4.00%, 6/01/49   190,000 151,620
2.90%, 10/01/51   147,000 96,802
Pacific Gas and Electric Co.,      
2.10%, 8/01/27(f)   50,000 45,240
2.50%, 2/01/31   180,000 149,398
3.30%, 8/01/40   20,000 14,811
3.50%, 8/01/50   919,000 641,659
6.70%, 4/01/53   40,000 44,026
PECO Energy Co.,      
3.70%, 9/15/47   73,000 58,071
3.05%, 3/15/51   150,000 103,888
2.85%, 9/15/51   279,000 185,021
4.60%, 5/15/52   100,000 92,024
4.38%, 8/15/52(f)   59,000 51,952
Progress Energy, Inc., 7.75%, 3/01/31   70,000 80,468
Public Service Co. of New Hampshire, 5.15%, 1/15/53   173,000 172,329
Public Service Electric and Gas Co., 2.05%, 8/01/50(f)   169,000 100,442
San Diego Gas & Electric Co.,      
4.10%, 6/15/49(f)   180,000 149,348
3.32%, 4/15/50(f)   129,000 92,722
Southern California Edison Co.,      
5.65%, 10/01/28(f)   182,000 189,335
 
54

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Electric Utilities (Continued)
Southern California Edison Co.,      
2.25%, 6/01/30   $255,000 $219,453
2.50%, 6/01/31   208,000 177,285
5.95%, 11/01/32   485,000 516,978
Union Electric Co., 5.45%, 3/15/53   43,000 43,534
Virginia Electric and Power Co., 4.00%, 1/15/43   167,000 142,048
      11,620,582
Electrical Equipment – 0.0%(g)
Carrier Global Corp., 3.58%, 4/05/50   10,000 7,658
Otis Worldwide Corp.,      
2.06%, 4/05/25   50,000 48,196
5.25%, 8/16/28   109,000 111,467
      167,321
Entertainment Content – 0.2%
Fox Corp.,      
6.50%, 10/13/33   140,000 150,991
5.48%, 1/25/39   370,000 362,310
Paramount Global,      
5.85%, 9/01/43   86,000 76,428
4.90%, 8/15/44   21,000 16,615
4.60%, 1/15/45   30,000 22,883
Time Warner Cable Enterprises LLC, 8.38%, 7/15/33   170,000 194,962
Warnermedia Holdings, Inc.,      
6.41%, 3/15/26   30,000 30,004
3.76%, 3/15/27   80,000 76,851
4.05%, 3/15/29   140,000 132,556
4.28%, 3/15/32   110,000 100,717
5.05%, 3/15/42   30,000 26,592
5.14%, 3/15/52   80,000 68,765
      1,259,674
Food – 0.1%
Mars, Inc.,      
3.20%, 4/01/30(b)   80,000 73,656
2.38%, 7/16/40(b)   200,000 141,304
Mondelez International, Inc., 1.50%, 5/04/25   120,000 115,023
Nestle Finance International Ltd., 3.25%, 1/23/37 EUR 90,000 97,085
      427,068
    Par(a) Value
Gas & Water Utilities – 0.1%
Atmos Energy Corp.,      
4.13%, 3/15/49   $40,000 $33,979
3.38%, 9/15/49   48,000 35,633
CenterPoint Energy Resources Corp., 5.25%, 3/01/28   120,000 122,868
National Grid North America, Inc., 4.67%, 9/12/33 EUR 200,000 228,892
NiSource, Inc.,      
3.49%, 5/15/27   71,000 68,401
5.25%, 3/30/28(f)   396,000 403,929
5.40%, 6/30/33(f)   228,000 233,734
ONE Gas, Inc., 5.10%, 4/01/29(f)   51,000 52,059
Piedmont Natural Gas Co., Inc., 2.50%, 3/15/31   62,000 52,686
      1,232,181
Health Care Facilities & Services – 0.8%
Cigna Group (The),      
4.13%, 11/15/25   20,000 19,703
4.38%, 10/15/28   440,000 433,868
4.80%, 8/15/38   210,000 202,445
4.90%, 12/15/48(f)   60,000 55,875
CVS Health Corp.,      
3.63%, 4/01/27   40,000 38,719
4.30%, 3/25/28(f)   217,000 213,214
3.75%, 4/01/30   300,000 280,984
1.88%, 2/28/31(f)   40,000 32,809
2.13%, 9/15/31   130,000 107,130
4.78%, 3/25/38   400,000 375,247
4.13%, 4/01/40   40,000 33,970
2.70%, 8/21/40   158,000 111,283
5.05%, 3/25/48   370,000 339,222
5.88%, 6/01/53(f)   53,000 54,669
6.00%, 6/01/63   111,000 114,608
Elevance Health, Inc.,      
3.65%, 12/01/27   300,000 289,130
4.10%, 5/15/32   80,000 75,715
4.38%, 12/01/47   58,000 50,986
4.55%, 3/01/48   56,000 50,357
4.55%, 5/15/52   40,000 36,105
6.10%, 10/15/52   45,000 49,858
4.85%, 8/15/54   57,000 49,908
HCA, Inc.,      
5.25%, 4/15/25   191,000 190,790
5.25%, 6/15/26   229,000 229,656
4.13%, 6/15/29   202,000 192,906
3.50%, 9/01/30   674,000 611,562
Humana, Inc.,      
4.50%, 4/01/25   20,000 19,841
 
55

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Health Care Facilities & Services (Continued)
Humana, Inc.,      
3.95%, 3/15/27   $140,000 $136,650
3.70%, 3/23/29(f)   310,000 294,475
3.13%, 8/15/29   310,000 284,841
2.15%, 2/03/32   50,000 40,488
UnitedHealth Group, Inc.,      
1.25%, 1/15/26(f)   40,000 37,520
3.85%, 6/15/28   130,000 127,076
3.88%, 12/15/28   110,000 107,090
4.00%, 5/15/29   160,000 156,105
2.00%, 5/15/30   40,000 34,366
2.30%, 5/15/31   30,000 25,766
4.20%, 5/15/32   110,000 106,527
2.75%, 5/15/40   150,000 113,446
2.90%, 5/15/50   100,000 69,496
3.25%, 5/15/51(f)   512,000 375,629
4.75%, 5/15/52   182,000 172,385
3.88%, 8/15/59   233,000 186,779
6.05%, 2/15/63   44,000 50,224
      6,579,423
Household Products – 0.1%
Haleon U.S. Capital LLC, 3.38%, 3/24/29   480,000 452,532
Kenvue, Inc., 4.90%, 3/22/33   200,000 204,015
Kimberly-Clark Corp., 3.10%, 3/26/30   30,000 27,813
Procter & Gamble (The) Co., 3.00%, 3/25/30   60,000 55,964
      740,324
Institutional Financial Services – 1.4%
Bank of New York Mellon (The) Corp., 1.60%, 4/24/25   60,000 57,713
Goldman Sachs Group (The), Inc.,      
3.50%, 4/01/25   70,000 68,676
3.50%, 11/16/26   570,000 550,923
(SOFR + 1.85%), 3.62%, 3/15/28(h)   60,000 57,539
(SOFR + 1.73%), 4.48%, 8/23/28(h)   138,000 135,957
(3M CME Term SOFR + 1.42%), 3.81%, 4/23/29(h)   290,000 276,147
(3M CME Term SOFR + 1.56%), 4.22%, 5/01/29(h)   1,351,000 1,307,258
0.88%, 5/09/29 EUR 100,000 94,010
(SOFR + 1.77%), 6.48%, 10/24/29(f)(h)   922,000 978,946
2.60%, 2/07/30   166,000 146,009
    Par(a) Value
Institutional Financial Services (Continued)
Goldman Sachs Group (The), Inc.,      
3.80%, 3/15/30   $193,000 $181,642
(SOFR + 1.09%), 1.99%, 1/27/32(h)   269,000 218,928
(SOFR + 1.28%), 2.62%, 4/22/32(h)   168,000 141,756
(SOFR + 1.25%), 2.38%, 7/21/32(h)   110,000 90,700
(SOFR + 1.26%), 2.65%, 10/21/32(h)   491,000 410,743
(SOFR + 1.51%), 3.21%, 4/22/42(h)   80,000 61,722
(SOFR + 1.47%), 2.91%, 7/21/42(h)   160,000 118,312
5.15%, 5/22/45   160,000 157,389
4.75%, 10/21/45   230,000 218,263
Intercontinental Exchange, Inc., 4.60%, 3/15/33   60,000 58,918
Morgan Stanley,      
(SOFR + 1.99%), 2.19%, 4/28/26(h)   340,000 327,772
(3M CME Term SOFR + 1.40%), 3.77%, 1/24/29(h)   300,000 286,872
(SOFR + 1.59%), 5.16%, 4/20/29(h)   276,000 277,808
(SOFR + 1.63%), 5.45%, 7/20/29(h)   191,000 194,397
(SOFR + 1.83%), 6.41%, 11/01/29(f)(h)   1,379,000 1,461,433
(3M CME Term SOFR + 1.89%), 4.43%, 1/23/30(h)   10,000 9,746
(SOFR + 1.14%), 2.70%, 1/22/31(h)   741,000 651,077
(SOFR + 3.12%), 3.62%, 4/01/31(h)   340,000 313,704
(SOFR + 1.03%), 1.79%, 2/13/32(h)   146,000 117,209
(SOFR + 1.02%), 1.93%, 4/28/32(h)   391,000 315,442
(SOFR + 1.18%), 2.24%, 7/21/32(h)   602,000 493,579
(SOFR + 1.20%), 2.51%, 10/20/32(f)(h)   543,000 452,250
(SOFR + 1.29%), 2.94%, 1/21/33(h)   43,000 36,696
(SOFR + 1.87%), 5.25%, 4/21/34(h)   175,000 175,096
(SOFR + 1.88%), 5.42%, 7/21/34(h)   466,000 472,036
(SOFR + 2.05%), 6.63%, 11/01/34(f)(h)   580,000 642,026
 
56

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Institutional Financial Services (Continued)
Morgan Stanley,      
(SOFR + 1.73%), 5.47%, 1/18/35(h)   $65,000 $66,333
Nasdaq, Inc.,      
5.55%, 2/15/34   196,000 203,239
6.10%, 6/28/63   213,000 229,692
      12,057,958
Insurance – 0.1%
Aon Corp., 2.80%, 5/15/30   100,000 88,788
Aon Corp./Aon Global Holdings PLC, 5.00%, 9/12/32   52,000 52,039
Berkshire Hathaway Finance Corp., 4.25%, 1/15/49   150,000 136,691
Guardian Life Global Funding, 1.10%, 6/23/25(b)   50,000 47,463
Hartford Financial Services Group (The), Inc., 6.63%, 3/30/40   34,000 37,215
Marsh & McLennan Cos., Inc., 2.90%, 12/15/51   104,000 68,969
MetLife, Inc., 6.40%, 12/15/36   100,000 101,909
New York Life Global Funding, 0.95%, 6/24/25(b)   10,000 9,474
Principal Life Global Funding II, 1.25%, 6/23/25(b)   40,000 38,034
Teachers Insurance & Annuity Association of America, 4.90%, 9/15/44(b)   20,000 18,850
      599,432
Internet Media & Services – 0.0%(g)
Alphabet, Inc.,      
1.10%, 8/15/30(f)   60,000 49,675
1.90%, 8/15/40   70,000 47,876
Meta Platforms, Inc., 5.75%, 5/15/63   145,000 157,257
      254,808
Leisure Facilities & Services – 0.2%
Las Vegas Sands Corp., 2.90%, 6/25/25   380,000 366,924
McDonald's Corp.,      
1.45%, 9/01/25(f)   140,000 132,880
3.50%, 3/01/27   30,000 29,210
3.50%, 7/01/27   60,000 58,148
3.80%, 4/01/28   270,000 263,382
2.13%, 3/01/30   170,000 148,557
3.60%, 7/01/30   80,000 75,655
    Par(a) Value
Leisure Facilities & Services (Continued)
McDonald's Corp.,      
3.88%, 2/20/31 EUR $200,000 $223,920
4.88%, 12/09/45   30,000 29,053
4.20%, 4/01/50   240,000 205,995
      1,533,724
Machinery – 0.0%(g)
CNH Industrial Capital LLC, 5.45%, 10/14/25(f)   40,000 40,276
Deere & Co.,      
3.10%, 4/15/30   30,000 27,757
3.75%, 4/15/50   70,000 59,697
Eaton Corp., 4.15%, 11/02/42   30,000 27,050
      154,780
Medical Equipment & Devices – 0.1%
Abbott Laboratories, 4.75%, 11/30/36   40,000 40,486
Agilent Technologies, Inc., 2.10%, 6/04/30   43,000 36,905
Becton Dickinson & Co., 4.69%, 12/15/44   15,000 14,022
Thermo Fisher Scientific, Inc.,      
5.09%, 8/10/33(f)   345,000 356,612
5.20%, 1/31/34(f)   35,000 36,406
      484,431
Metals & Mining – 0.0%(g)
Freeport-McMoRan, Inc., 5.45%, 3/15/43   20,000 19,238
Newmont Corp., 2.25%, 10/01/30   120,000 102,798
      122,036
Oil & Gas Producers – 3.8%
Antero Resources Corp.,      
7.63%, 2/01/29(b)(f)   159,000 163,715
5.38%, 3/01/30(b)   185,000 176,408
Apache Corp.,      
5.10%, 9/01/40   169,000 144,958
4.75%, 4/15/43   197,000 155,010
4.25%, 1/15/44   380,000 272,848
BP Capital Markets America, Inc.,      
3.41%, 2/11/26   20,000 19,527
3.12%, 5/04/26   50,000 48,367
3.94%, 9/21/28   110,000 107,170
3.63%, 4/06/30   80,000 76,169
1.75%, 8/10/30   200,000 168,100
3.00%, 2/24/50   190,000 132,754
Cameron LNG LLC,      
2.90%, 7/15/31(b)   160,000 140,785
 
57

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Oil & Gas Producers (Continued)
Cameron LNG LLC,      
3.30%, 1/15/35(b)   $766,000 $650,740
3.40%, 1/15/38(b)   279,000 230,640
Cheniere Corpus Christi Holdings LLC,      
5.13%, 6/30/27   1,108,000 1,113,416
3.70%, 11/15/29(f)   276,000 259,889
2.74%, 12/31/39   83,000 66,261
Cheniere Energy Partners L.P.,      
4.50%, 10/01/29   682,000 650,615
3.25%, 1/31/32   615,000 522,073
5.95%, 6/30/33(b)   35,000 35,743
Chevron Corp.,      
2.00%, 5/11/27   40,000 37,164
3.08%, 5/11/50   230,000 167,976
Chevron USA, Inc., 3.85%, 1/15/28   110,000 108,684
Columbia Pipelines Operating Co. LLC,      
6.04%, 11/15/33(b)   340,000 356,953
6.54%, 11/15/53(b)   50,000 54,908
Continental Resources, Inc.,      
4.38%, 1/15/28   130,000 126,147
5.75%, 1/15/31(b)   20,000 19,906
4.90%, 6/01/44   520,000 425,529
Coterra Energy, Inc.,      
3.90%, 5/15/27   280,000 272,504
4.38%, 3/15/29   750,000 732,404
Devon Energy Corp.,      
5.25%, 10/15/27   12,000 12,083
4.50%, 1/15/30(f)   112,000 108,224
5.60%, 7/15/41(f)   291,000 280,541
4.75%, 5/15/42   440,000 384,586
5.00%, 6/15/45(f)   80,000 71,164
Diamondback Energy, Inc.,      
3.25%, 12/01/26   1,525,000 1,476,020
3.50%, 12/01/29   2,247,000 2,087,505
3.13%, 3/24/31   864,000 766,860
4.40%, 3/24/51   310,000 255,349
Energy Transfer L.P.,      
2.90%, 5/15/25   60,000 58,243
5.50%, 6/01/27   130,000 131,846
4.95%, 6/15/28   20,000 19,963
6.00%, 2/01/29(b)   5,000 5,024
5.25%, 4/15/29   60,000 60,628
3.75%, 5/15/30   430,000 397,594
7.38%, 2/01/31(b)   548,000 576,025
6.55%, 12/01/33(f)   45,000 48,522
5.55%, 5/15/34   130,000 130,744
4.95%, 1/15/43   66,000 57,427
    Par(a) Value
Oil & Gas Producers (Continued)
Energy Transfer L.P.,      
5.15%, 2/01/43   $139,000 $125,530
5.30%, 4/01/44   160,000 149,214
5.35%, 5/15/45   210,000 195,290
5.30%, 4/15/47   187,000 171,979
5.40%, 10/01/47   331,000 307,751
Enterprise Products Operating LLC,      
4.15%, 10/16/28   270,000 265,505
3.13%, 7/31/29   100,000 92,972
2.80%, 1/31/30   300,000 270,584
4.85%, 1/31/34   290,000 290,174
6.65%, 10/15/34   80,000 91,342
7.55%, 4/15/38   10,000 12,285
4.85%, 3/15/44   80,000 76,874
5.10%, 2/15/45   100,000 98,235
3.70%, 1/31/51   170,000 133,700
3.95%, 1/31/60(f)   70,000 55,996
(3M CME Term SOFR + 2.83%), 5.38%, 2/15/78(f)(h)   50,000 46,589
EOG Resources, Inc.,      
4.38%, 4/15/30   270,000 267,621
3.90%, 4/01/35   180,000 166,061
4.95%, 4/15/50(f)   390,000 380,287
EQT Corp.,      
3.13%, 5/15/26(b)   166,000 157,768
3.90%, 10/01/27   199,000 190,226
5.70%, 4/01/28   93,000 94,613
5.00%, 1/15/29   224,000 221,160
7.00%, 2/01/30(f)   150,000 160,835
3.63%, 5/15/31(b)   303,000 269,967
Exxon Mobil Corp.,      
2.44%, 8/16/29(f)   240,000 217,773
3.48%, 3/19/30   120,000 113,801
4.11%, 3/01/46   20,000 17,568
4.33%, 3/19/50(f)   10,000 8,935
3.45%, 4/15/51   300,000 231,267
Kinder Morgan Energy Partners L.P.,      
6.50%, 2/01/37   96,000 101,019
5.50%, 3/01/44   10,000 9,522
Kinder Morgan, Inc.,      
4.30%, 6/01/25   10,000 9,884
4.30%, 3/01/28   387,000 379,277
5.00%, 2/01/29   370,000 370,958
5.05%, 2/15/46(f)   40,000 35,909
MPLX L.P.,      
4.00%, 3/15/28   200,000 193,679
4.80%, 2/15/29   30,000 29,834
4.50%, 4/15/38   90,000 80,995
5.20%, 3/01/47   60,000 55,675
 
58

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Oil & Gas Producers (Continued)
MPLX L.P.,      
5.20%, 12/01/47   $100,000 $90,748
4.70%, 4/15/48   210,000 180,885
5.50%, 2/15/49   60,000 57,772
NGPL PipeCo LLC,      
4.88%, 8/15/27(b)   118,000 115,931
3.25%, 7/15/31(b)   489,000 424,033
7.77%, 12/15/37(b)   28,000 31,530
Northwest Pipeline LLC, 4.00%, 4/01/27   637,000 623,651
Occidental Petroleum Corp.,      
5.55%, 3/15/26   160,000 161,017
3.00%, 2/15/27   220,000 204,908
7.88%, 9/15/31   210,000 238,968
4.50%, 7/15/44   80,000 63,234
6.60%, 3/15/46   150,000 162,009
4.10%, 2/15/47   50,000 36,093
4.20%, 3/15/48   230,000 177,511
ONEOK, Inc.,      
5.55%, 11/01/26   70,000 71,180
5.80%, 11/01/30   100,000 103,939
6.05%, 9/01/33   170,000 178,500
4.45%, 9/01/49   44,000 36,150
6.63%, 9/01/53   416,000 458,119
Ovintiv, Inc., 5.38%, 1/01/26   47,000 47,029
Pioneer Natural Resources Co.,      
1.13%, 1/15/26   30,000 27,992
1.90%, 8/15/30   150,000 127,801
2.15%, 1/15/31(f)   380,000 323,704
Sabine Pass Liquefaction LLC,      
5.63%, 3/01/25(f)   898,000 899,619
5.88%, 6/30/26(f)   922,000 937,962
5.00%, 3/15/27   230,000 230,597
5.90%, 9/15/37   270,000 283,079
Southern Natural Gas Co. LLC, 8.00%, 3/01/32   80,000 93,997
Targa Resources Corp.,      
5.20%, 7/01/27   182,000 182,792
6.50%, 3/30/34   121,000 130,465
4.95%, 4/15/52   60,000 52,326
Targa Resources Partners L.P./Targa Resources Partners Finance Corp.,      
5.00%, 1/15/28   272,000 267,828
5.50%, 3/01/30   91,000 90,566
4.88%, 2/01/31   518,000 496,762
    Par(a) Value
Oil & Gas Producers (Continued)
Tennessee Gas Pipeline Co. LLC, 2.90%, 3/01/30(b)   $70,000 $61,600
Texas Eastern Transmission L.P., 3.50%, 1/15/28(b)   920,000 872,231
Transcontinental Gas Pipe Line Co. LLC,      
7.85%, 2/01/26   670,000 702,678
4.00%, 3/15/28   396,000 385,193
4.60%, 3/15/48   243,000 218,584
Viper Energy, Inc.,      
5.38%, 11/01/27(b)(f)   816,000 802,952
7.38%, 11/01/31(b)(f)   515,000 532,183
Western Midstream Operating L.P.,      
3.10%, 2/01/25   50,000 48,722
4.65%, 7/01/26   90,000 88,643
Williams (The) Cos., Inc.,      
4.90%, 1/15/45   440,000 401,303
5.10%, 9/15/45   140,000 133,255
4.85%, 3/01/48   40,000 36,387
      32,406,793
Real Estate Investment Trusts – 0.6%
American Tower Corp.,      
3.80%, 8/15/29   328,000 309,476
2.10%, 6/15/30(f)   83,000 69,712
2.70%, 4/15/31   302,000 258,844
Crown Castle, Inc.,      
3.30%, 7/01/30   649,000 579,891
2.50%, 7/15/31   45,000 37,501
Equinix, Inc., 2.15%, 7/15/30   130,000 109,805
Extra Space Storage L.P., 2.40%, 10/15/31   42,000 34,410
GLP Capital L.P./GLP Financing II, Inc.,      
5.75%, 6/01/28   769,000 774,228
4.00%, 1/15/30(f)   439,000 400,016
3.25%, 1/15/32   207,000 174,089
NNN REIT, Inc.,      
3.10%, 4/15/50   42,000 27,729
3.50%, 4/15/51(f)   160,000 117,504
Realty Income Corp.,      
4.85%, 3/15/30   37,000 36,991
3.25%, 1/15/31   111,000 100,046
VICI Properties L.P., 4.75%, 2/15/28   514,000 503,287
VICI Properties L.P./VICI Note Co., Inc.,      
4.50%, 9/01/26(b)   415,000 403,569
4.25%, 12/01/26(b)   135,000 129,971
 
59

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Real Estate Investment Trusts (Continued)
VICI Properties L.P./VICI Note Co., Inc.,      
5.75%, 2/01/27(b)   $181,000 $180,560
3.75%, 2/15/27(b)   63,000 59,601
4.63%, 12/01/29(b)   972,000 919,823
4.13%, 8/15/30(b)   98,000 89,186
      5,316,239
Retail - Consumer Staples – 0.0%(g)
Costco Wholesale Corp.,      
1.38%, 6/20/27   190,000 172,569
1.75%, 4/20/32   90,000 73,639
Walmart, Inc.,      
1.50%, 9/22/28(f)   60,000 53,552
2.38%, 9/24/29   20,000 18,213
1.80%, 9/22/31   40,000 33,564
      351,537
Retail - Discretionary – 0.1%
Home Depot (The), Inc.,      
2.50%, 4/15/27   60,000 56,621
3.90%, 12/06/28   10,000 9,822
2.70%, 4/15/30   80,000 72,481
3.30%, 4/15/40   160,000 131,388
3.90%, 6/15/47   20,000 16,941
3.35%, 4/15/50   210,000 160,140
Lowe's Cos., Inc.,      
1.70%, 9/15/28   180,000 159,036
4.50%, 4/15/30   217,000 215,528
2.63%, 4/01/31   42,000 36,531
2.80%, 9/15/41   284,000 208,068
4.65%, 4/15/42   43,000 40,005
      1,106,561
Semiconductors – 0.3%
Applied Materials, Inc., 1.75%, 6/01/30   210,000 179,061
Broadcom, Inc.,      
4.15%, 4/15/32(b)   89,000 83,940
2.60%, 2/15/33(b)(f)   97,000 79,680
3.42%, 4/15/33(b)   75,000 65,863
3.47%, 4/15/34(b)   66,000 57,327
3.14%, 11/15/35(b)   515,000 423,340
3.19%, 11/15/36(b)   160,000 129,974
4.93%, 5/15/37(b)   55,000 53,045
Intel Corp.,      
1.60%, 8/12/28   100,000 88,548
5.13%, 2/10/30   120,000 123,593
5.20%, 2/10/33   90,000 92,647
4.75%, 3/25/50(f)   80,000 74,113
3.05%, 8/12/51   132,000 91,313
    Par(a) Value
Semiconductors (Continued)
KLA Corp.,      
4.65%, 7/15/32   $70,000 $70,303
3.30%, 3/01/50   160,000 119,500
Micron Technology, Inc.,      
5.30%, 1/15/31   110,000 111,145
5.88%, 2/09/33(f)   70,000 73,098
NVIDIA Corp., 3.70%, 4/01/60   150,000 124,282
Texas Instruments, Inc.,      
2.90%, 11/03/27(f)   220,000 208,980
1.75%, 5/04/30   70,000 59,677
3.88%, 3/15/39   100,000 91,785
5.00%, 3/14/53(f)   44,000 43,967
      2,445,181
Software – 0.2%
Adobe, Inc., 2.30%, 2/01/30   200,000 178,861
Autodesk, Inc., 2.40%, 12/15/31   43,000 36,400
Microsoft Corp., 2.92%, 3/17/52   70,000 50,245
Oracle Corp.,      
1.65%, 3/25/26   310,000 289,714
2.95%, 4/01/30   30,000 27,024
4.65%, 5/06/30(f)   120,000 118,750
2.88%, 3/25/31   360,000 316,775
3.80%, 11/15/37(f)   162,000 138,282
3.60%, 4/01/40   54,000 43,185
4.13%, 5/15/45(f)   389,000 319,549
4.00%, 7/15/46   93,000 75,034
3.60%, 4/01/50   162,000 119,213
3.95%, 3/25/51   82,000 63,708
5.55%, 2/06/53(f)   65,000 64,594
4.38%, 5/15/55   81,000 66,722
Salesforce, Inc., 3.70%, 4/11/28   190,000 186,250
      2,094,306
Specialty Finance – 0.1%
Air Lease Corp.,      
3.38%, 7/01/25   70,000 67,889
5.30%, 2/01/28   160,000 161,265
American Express Co.,      
4.20%, 11/06/25   70,000 69,334
4.05%, 5/03/29   140,000 138,124
USAA Capital Corp., 2.13%, 5/01/30(b)   150,000 126,540
      563,152
 
60

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Technology Hardware – 0.1%
Dell International LLC/EMC Corp.,      
6.02%, 6/15/26   $105,000 $107,276
4.90%, 10/01/26   256,000 256,060
5.25%, 2/01/28   36,000 36,778
Hewlett Packard Enterprise Co., 5.25%, 7/01/28(f)   89,000 90,446
Motorola Solutions, Inc., 5.60%, 6/01/32(f)   311,000 319,713
      810,273
Technology Services – 0.2%
FactSet Research Systems, Inc., 3.45%, 3/01/32   310,000 276,505
Global Payments, Inc., 2.90%, 5/15/30   145,000 127,701
Mastercard, Inc.,      
3.35%, 3/26/30   120,000 113,527
3.85%, 3/26/50   280,000 239,414
Moody's Corp., 2.00%, 8/19/31   94,000 77,510
MSCI, Inc., 3.63%, 11/01/31(b)   372,000 326,639
PayPal Holdings, Inc.,      
1.65%, 6/01/25   10,000 9,575
2.30%, 6/01/30   80,000 69,400
4.40%, 6/01/32(f)   70,000 68,994
Visa, Inc., 4.30%, 12/14/45   170,000 156,393
      1,465,658
Telecommunications – 1.2%
AT&T, Inc.,      
3.80%, 2/15/27   170,000 165,602
2.30%, 6/01/27   170,000 157,573
4.30%, 2/15/30(b)   105,000 102,111
2.25%, 2/01/32   30,000 24,669
2.55%, 12/01/33   220,000 178,481
5.40%, 2/15/34(f)   442,000 453,404
5.35%, 9/01/40   50,000 49,523
5.55%, 8/15/41(f)   40,000 40,414
4.80%, 6/15/44   22,000 20,055
4.75%, 5/15/46(f)   84,000 76,035
3.65%, 6/01/51   109,000 81,286
3.50%, 9/15/53   297,000 212,112
3.55%, 9/15/55   460,000 327,737
3.80%, 12/01/57   207,000 152,410
3.65%, 9/15/59   538,000 379,717
Sprint LLC,      
7.63%, 2/15/25   1,042,000 1,059,921
7.63%, 3/01/26   578,000 603,196
    Par(a) Value
Telecommunications (Continued)
T-Mobile USA, Inc.,      
3.50%, 4/15/25   $90,000 $88,236
3.75%, 4/15/27   20,000 19,390
3.88%, 4/15/30   1,009,000 954,213
2.88%, 2/15/31   63,000 55,119
2.55%, 2/15/31   70,000 60,017
2.25%, 11/15/31   400,000 331,374
5.05%, 7/15/33   322,000 322,371
5.15%, 4/15/34   199,000 200,489
3.00%, 2/15/41   190,000 141,981
3.30%, 2/15/51   70,000 49,878
Verizon Communications, Inc.,      
2.63%, 8/15/26   10,000 9,525
4.13%, 3/16/27   60,000 59,008
3.00%, 3/22/27   30,000 28,526
2.10%, 3/22/28   200,000 180,845
4.33%, 9/21/28   250,000 246,466
3.88%, 2/08/29   30,000 29,015
3.15%, 3/22/30   90,000 81,987
1.75%, 1/20/31   423,000 345,668
2.55%, 3/21/31   380,000 326,650
2.36%, 3/15/32   299,000 248,314
5.05%, 5/09/33(f)   273,000 275,794
4.50%, 8/10/33   310,000 299,532
4.40%, 11/01/34   564,000 538,210
2.65%, 11/20/40   358,000 255,655
3.40%, 3/22/41   50,000 39,535
3.85%, 11/01/42   60,000 50,032
4.00%, 3/22/50   160,000 131,194
3.55%, 3/22/51   330,000 248,610
3.00%, 11/20/60(f)   113,000 71,578
      9,773,458
Tobacco & Cannabis – 0.2%
Altria Group, Inc.,      
2.35%, 5/06/25   30,000 28,993
4.40%, 2/14/26   52,000 51,502
4.80%, 2/14/29   298,000 298,579
2.45%, 2/04/32   180,000 147,172
6.88%, 11/01/33   625,000 688,341
5.80%, 2/14/39   70,000 71,561
3.40%, 2/04/41   100,000 74,008
4.25%, 8/09/42   244,000 200,009
4.50%, 5/02/43   71,000 60,510
5.95%, 2/14/49   195,000 195,529
6.20%, 2/14/59   24,000 24,780
Philip Morris International, Inc.,      
5.13%, 11/17/27   92,000 93,506
2.10%, 5/01/30   70,000 60,241
      1,994,731
 
61

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Transportation & Logistics – 0.3%
American Airlines Pass Through Trust,      
Series 2017-1, Class AA, 3.65%, 2/15/29(f)   $7,549 $7,025
Series 2019-1, Class AA, 3.15%, 2/15/32   54,279 47,966
Burlington Northern Santa Fe LLC,      
4.55%, 9/01/44   58,000 53,921
4.15%, 4/01/45   42,000 36,930
3.30%, 9/15/51   189,000 141,566
2.88%, 6/15/52   82,000 56,083
5.20%, 4/15/54(f)   84,000 85,614
CSX Corp.,      
3.35%, 9/15/49   174,000 128,982
4.50%, 11/15/52(f)   99,000 90,172
4.65%, 3/01/68   40,000 36,063
Delta Air Lines Pass Through Trust,      
Series 2019-1, Class AA, 3.20%, 10/25/25   137,000 136,039
Series 2015-1, Class AA, 3.63%, 7/30/27   47,216 44,750
Delta Air Lines, Inc./SkyMiles IP Ltd.,      
4.50%, 10/20/25(b)   128,598 127,079
4.75%, 10/20/28(b)   260,000 256,035
Norfolk Southern Corp.,      
3.05%, 5/15/50(f)   258,000 179,068
5.35%, 8/01/54(f)   138,000 140,723
3.16%, 5/15/55   96,000 66,028
Ryder System, Inc.,      
5.65%, 3/01/28   37,000 38,099
5.25%, 6/01/28   40,000 40,688
Union Pacific Corp.,      
2.15%, 2/05/27(f)   120,000 112,464
2.40%, 2/05/30   150,000 133,187
3.84%, 3/20/60   359,000 286,463
3.55%, 5/20/61(f)   51,000 38,000
2.97%, 9/16/62   74,000 48,290
3.75%, 2/05/70   183,000 139,716
3.80%, 4/06/71   74,000 57,086
United Airlines Pass Through Trust,      
Series 2020-1, Class B, 4.88%, 1/15/26   36,140 35,300
Series 2014-1, Class A, 4.00%, 4/11/26   74,908 72,471
Series 2016-2, Class B, 3.65%, 4/07/27   1,944 1,834
Series 2016-1, Class AA, 3.10%, 7/07/28   1,971 1,808
    Par(a) Value
Transportation & Logistics (Continued)
United Airlines Pass Through Trust,      
Series 2016-2, Class AA, 2.88%, 10/07/28   $15,133 $13,723
Series 2019-2, Class AA, 2.70%, 5/01/32   13,336 11,426
      2,664,599
Total Corporate Bonds
(Cost $155,638,364)
149,430,671
Foreign Issuer Bonds – 5.8%
Argentina – 0.0%(g)
Argentine Republic Government International Bond,      
(Step to 4.13% on 7/09/24), 3.63%, 7/09/35(e)   25,000 8,342
(Step to 5.00% on 7/09/24), 4.25%, 1/09/38(e)   23,000 8,854
YPF S.A., 9.50%, 1/17/31(b)   66,000 65,924
      83,120
Australia – 0.1%
BHP Billiton Finance USA Ltd., 5.00%, 9/30/43   160,000 159,436
Glencore Funding LLC,      
4.00%, 3/27/27(b)   160,000 155,669
3.88%, 10/27/27(b)   70,000 67,453
6.38%, 10/06/30(b)(f)   354,000 379,284
      761,842
Belgium – 0.1%
Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc., 4.90%, 2/01/46   200,000 194,377
Anheuser-Busch InBev Worldwide, Inc.,      
4.00%, 4/13/28   30,000 29,518
4.75%, 1/23/29   260,000 262,544
3.50%, 6/01/30   50,000 47,246
4.35%, 6/01/40   130,000 120,442
5.55%, 1/23/49   260,000 275,154
      929,281
Brazil – 0.3%
Brazilian Government International Bond, 6.13%, 3/15/34(f)   940,000 931,626
Petrorio Luxembourg Trading S.a.r.l., 6.13%, 6/09/26(b)   23,000 22,633
 
62

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Brazil (Continued)
Suzano Austria GmbH, 6.00%, 1/15/29   $850,000 $855,542
Vale Overseas Ltd.,      
6.25%, 8/10/26(f)   560,000 571,523
6.88%, 11/21/36   300,000 324,745
      2,706,069
Canada – 0.2%
Bank of Montreal,      
1.85%, 5/01/25   210,000 202,146
(5Y USD Swap Rate + 1.43%), 3.80%, 12/15/32(h)   40,000 37,152
Bank of Nova Scotia (The),      
3.45%, 4/11/25(f)   320,000 313,840
1.30%, 6/11/25   120,000 114,211
(5Y US Treasury CMT + 2.05%), 4.59%, 5/04/37(h)   140,000 127,081
Barrick North America Finance LLC, 5.75%, 5/01/43   190,000 200,829
Royal Bank of Canada,      
1.15%, 6/10/25   10,000 9,519
3.88%, 5/04/32(f)   340,000 315,760
5.15%, 2/01/34   130,000 130,298
Toronto-Dominion Bank (The),      
1.15%, 6/12/25(f)   110,000 104,593
4.46%, 6/08/32   70,000 67,408
      1,622,837
Chile – 0.0%(g)
Chile Government International Bond, 3.10%, 1/22/61   310,000 198,385
China – 0.1%
NXP B.V./NXP Funding LLC/NXP USA, Inc.,      
2.70%, 5/01/25   80,000 77,390
2.50%, 5/11/31(f)   160,000 134,600
Prosus N.V.,      
3.68%, 1/21/30(b)   600,000 522,616
4.03%, 8/03/50(b)   380,000 242,995
      977,601
Colombia – 0.4%
Avianca Midco 2 PLC, 9.00%, 12/01/28(b)   4,000 3,591
Colombia Government International Bond,      
3.13%, 4/15/31   200,000 159,837
3.25%, 4/22/32   620,000 485,295
5.00%, 6/15/45   1,070,000 778,867
    Par(a) Value
Colombia (Continued)
Colombian TES,      
7.50%, 8/26/26 COP $783,100,000 $195,123
5.75%, 11/03/27 COP 258,000,000 59,933
6.00%, 4/28/28 COP 500,200,000 116,026
7.75%, 9/18/30 COP 315,200,000 75,984
13.25%, 2/09/33 COP 149,100,000 46,597
Ecopetrol S.A.,      
8.38%, 1/19/36   50,000 50,635
5.88%, 5/28/45   1,220,000 906,940
Oleoducto Central S.A., 4.00%, 7/14/27(b)   20,000 18,510
      2,897,338
Czech Republic – 0.0%(g)
Czech Republic Government Bond,      
5.50%, 12/12/28 CZK 1,580,000 74,518
2.75%, 7/23/29 CZK 2,150,000 89,538
5.00%, 9/30/30 CZK 840,000 39,433
4.20%, 12/04/36 CZK 280,000 12,559
      216,048
Denmark – 0.0%(g)
Danske Bank A/S, (1Y US Treasury CMT + 0.55%), 0.98%, 9/10/25(b)(h)   220,000 213,635
Dominican Republic – 0.0%(g)
Dominican Republic International Bond, 4.88%, 9/23/32(b)   100,000 89,132
Egypt – 0.0%(g)
Egypt Government International Bond, 8.50%, 1/31/47   200,000 122,849
France – 0.4%
Banque Federative du Credit Mutuel S.A.,      
4.75%, 11/10/31 EUR 200,000 229,076
3.75%, 2/03/34 EUR 100,000 108,665
BNP Paribas S.A.,      
(SOFR + 2.07%), 2.22%, 6/09/26(b)(h)   600,000 574,903
(1Y US Treasury CMT + 1.45%), 5.13%, 1/13/29(b)(h)   500,000 502,482
(3M CME Term SOFR + 2.83%), 5.20%, 1/10/30(b)(f)(h)   300,000 301,358
(SOFR + 1.51%), 3.05%, 1/13/31(b)(h)   200,000 176,719
(SOFR + 1.87%), 5.89%, 12/05/34(b)(h)   240,000 251,005
BPCE S.A., 3.88%, 1/25/36 EUR 100,000 109,318
 
63

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
France (Continued)
Coentreprise de Transport d'Electricite S.A., 3.75%, 1/17/36 EUR $100,000 $108,941
Credit Agricole S.A.,      
(SOFR + 1.68%), 1.91%, 6/16/26(b)(h)   250,000 238,300
3.75%, 1/22/34 EUR 200,000 218,180
Danone S.A., 2.95%, 11/02/26(b)   200,000 191,502
Electricite de France S.A., 4.25%, 1/25/32 EUR 100,000 112,142
      3,122,591
Germany – 0.1%
Bayer U.S. Finance LLC, 6.38%, 11/21/30(b)(f)   311,000 317,458
Deutsche Bank A.G., 5.37%, 9/09/27   493,000 500,520
EnBW International Finance B.V., 3.85%, 5/23/30 EUR 24,000 26,677
Sartorius Finance B.V., 4.88%, 9/14/35 EUR 200,000 231,874
      1,076,529
Hungary – 0.0%(g)
Hungary Government International Bond, 5.38%, 9/12/33 EUR 6,000 6,758
India – 0.1%
Export-Import Bank of India, 3.38%, 8/05/26(b)   200,000 191,908
Reliance Industries Ltd.,      
2.88%, 1/12/32(b)(f)   250,000 213,454
3.63%, 1/12/52(b)   450,000 326,097
Vedanta Resources Finance II PLC, 13.88%, 12/09/28(b)   41,000 35,465
Vedanta Resources Ltd., 13.88%, 12/09/28(b)   13,000 10,879
      777,803
Indonesia – 0.2%
Indonesia Government International Bond,      
2.85%, 2/14/30   400,000 357,931
3.05%, 3/12/51   222,000 157,228
Indonesia Treasury Bond,      
5.50%, 4/15/26 IDR 412,000,000 25,722
8.38%, 9/15/26 IDR 684,000,000 45,488
7.00%, 5/15/27 IDR 1,859,000,000 120,202
Medco Maple Tree Pte. Ltd., 8.96%, 4/27/29(b)   13,000 13,309
    Par(a) Value
Indonesia (Continued)
Pertamina Persero PT, 6.00%, 5/03/42(b)   $280,000 $283,385
Perusahaan Perseroan Persero PT Perusahaan Listrik Negara, 5.45%, 5/21/28(b)   770,000 776,726
      1,779,991
Ireland – 0.1%
AerCap Ireland Capital DAC/AerCap Global Aviation Trust,      
2.45%, 10/29/26   400,000 371,007
3.00%, 10/29/28   400,000 362,921
3.30%, 1/30/32   150,000 128,568
      862,496
Israel – 0.1%
Israel Government International Bond,      
2.75%, 7/03/30   500,000 431,538
4.50%, 4/03/20(j)   220,000 164,340
      595,878
Italy – 0.1%
Eni S.p.A., 3.88%, 1/15/34 EUR 101,000 110,477
Italy Buoni Poliennali Del Tesoro, 4.15%, 10/01/39(b) EUR 111,000 120,360
Terna - Rete Elettrica Nazionale, 3.50%, 1/17/31 EUR 100,000 108,780
      339,617
Japan – 0.1%
Mitsubishi UFJ Financial Group, Inc., (1Y US Treasury CMT + 1.13%), 3.84%, 4/17/26(h)   200,000 196,669
Takeda Pharmaceutical Co. Ltd., 2.05%, 3/31/30   400,000 342,937
      539,606
Kazakhstan – 0.1%
Kazakhstan Government International Bond, 4.88%, 10/14/44   600,000 563,498
KazMunayGas National Co. JSC, 6.38%, 10/24/48(b)   420,000 386,439
      949,937
Kuwait – 0.1%
MEGlobal B.V.,      
4.25%, 11/03/26(b)   210,000 202,125
2.63%, 4/28/28(b)   450,000 401,825
      603,950
 
64

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Macau – 0.3%
Sands China Ltd.,      
5.38%, 8/08/25   $300,000 $296,857
4.30%, 1/08/26   1,000,000 962,877
4.63%, 6/18/30   900,000 821,293
      2,081,027
Mexico – 0.8%
Comision Federal de Electricidad, 3.88%, 7/26/33(b)   720,000 583,358
Grupo Posadas S.A.B. de C.V., (Step to 8.00% on 12/30/25), 7.00%, 12/30/27(e)   22,234 18,621
Mexican Bonos,      
7.50%, 6/03/27 MXN 1,500,000 82,575
8.50%, 3/01/29 MXN 10,080,000 569,485
8.50%, 5/31/29 MXN 17,954,000 1,017,478
8.50%, 11/18/38 MXN 1,561,600 85,259
Mexico Government International Bond,      
2.66%, 5/24/31   568,000 476,273
4.49%, 5/25/32 EUR 109,000 119,420
6.35%, 2/09/35   200,000 207,979
4.75%, 3/08/44   430,000 362,061
4.50%, 1/31/50(f)   420,000 333,188
4.40%, 2/12/52(f)   1,150,000 886,482
Orbia Advance Corp. S.A.B. de C.V.,      
1.88%, 5/11/26(b)   280,000 257,961
2.88%, 5/11/31(b)(f)   270,000 222,359
Petroleos Mexicanos,      
6.88%, 8/04/26   104,000 101,437
6.50%, 3/13/27   100,000 93,774
6.38%, 1/23/45   50,000 31,505
5.63%, 1/23/46(f)   560,000 331,051
Southern Copper Corp., 5.25%, 11/08/42   770,000 729,764
      6,510,030
Morocco – 0.0%(g)
OCP S.A., 4.50%, 10/22/25(b)   200,000 194,080
Netherlands – 0.2%
Cooperatieve Rabobank U.A.,      
4.38%, 8/04/25   440,000 433,132
(1Y US Treasury CMT + 1.22%), 3.65%, 4/06/28(b)(h)   250,000 239,019
(1Y US Treasury CMT + 1.42%), 3.76%, 4/06/33(b)(h)   250,000 225,711
    Par(a) Value
Netherlands (Continued)
ING Groep N.V., (3M Euribor + 1.90%), 4.75%, 5/23/34(h) EUR $100,000 $115,553
JDE Peet's N.V., 4.50%, 1/23/34 EUR 100,000 112,909
REWE International Finance B.V., 4.88%, 9/13/30 EUR 100,000 114,088
Shell International Finance B.V.,      
2.38%, 11/07/29   200,000 179,152
2.75%, 4/06/30(f)   150,000 135,993
4.38%, 5/11/45   80,000 72,903
4.00%, 5/10/46   80,000 68,774
3.25%, 4/06/50(f)   260,000 190,852
      1,888,086
Panama – 0.1%
Panama Government International Bond,      
3.88%, 3/17/28   400,000 364,903
3.16%, 1/23/30   200,000 167,172
4.50%, 4/01/56   247,000 157,710
      689,785
Peru – 0.1%
Peruvian Government International Bond,      
5.63%, 11/18/50   100,000 100,891
3.55%, 3/10/51(f)   220,000 160,756
2.78%, 12/01/60   10,000 5,922
3.60%, 1/15/72   120,000 80,968
Petroleos del Peru S.A.,      
4.75%, 6/19/32(b)   700,000 514,132
5.63%, 6/19/47(b)   200,000 127,597
      990,266
Philippines – 0.0%(g)
Philippine Government International Bond, 3.20%, 7/06/46   267,000 193,772
Poland – 0.0%(g)
Republic of Poland Government Bond, 2.75%, 10/25/29 PLN 721,000 161,001
Portugal – 0.0%(g)
EDP Servicios Financieros Espana S.A., 3.50%, 7/16/30 EUR 200,000 217,203
Qatar – 0.0%(g)
Qatar Government International Bond, 6.40%, 1/20/40   100,000 113,808
 
65

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Romania – 0.0%(g)
Romanian Government International Bond, 6.38%, 1/30/34(b)(f)   $116,000 $118,464
Russia – 0.0%(g)
Russian Federal Bond - OFZ, 6.10%, 7/18/35 RUB 6,245,000 26,632
Saudi Arabia – 0.0%(g)
Saudi Government International Bond, 4.75%, 1/16/30(b)   200,000 199,458
South Africa – 0.1%
Anglo American Capital PLC, 4.00%, 9/11/27(b)   400,000 385,447
Republic of South Africa Government Bond, 7.00%, 2/28/31 ZAR 3,124,800 140,138
      525,585
Spain – 0.1%
Banco de Sabadell S.A., (1Y EUR Swap Rate + 1.60%), 4.00%, 1/15/30(f)(h) EUR 200,000 218,574
Banco Santander S.A., 2.75%, 5/28/25   600,000 579,679
Telefonica Emisiones S.A.,      
4.10%, 3/08/27   150,000 146,899
4.06%, 1/24/36 EUR 100,000 110,911
      1,056,063
Switzerland – 0.9%
Credit Suisse A.G.,      
3.70%, 2/21/25   1,652,000 1,624,748
2.95%, 4/09/25   250,000 243,144
5.00%, 7/09/27   750,000 750,407
7.50%, 2/15/28   753,000 823,161
UBS Group A.G.,      
3.75%, 3/26/25   450,000 442,222
(SOFR + 1.56%), 2.59%, 9/11/25(b)(h)   250,000 245,379
(1Y US Treasury CMT + 1.55%), 4.49%, 5/12/26(b)(h)   250,000 246,645
4.25%, 3/23/28(b)   770,000 747,286
(Euribor ICE Swap Rate + 4.95%), 7.75%, 3/01/29(h) EUR 100,000 124,261
(SOFR + 3.73%), 4.19%, 4/01/31(b)(h)   250,000 234,209
(SOFR + 1.73%), 3.09%, 5/14/32(b)(h)   500,000 429,305
(1Y US Treasury CMT + 1.10%), 2.75%, 2/11/33(b)(h)   600,000 491,891
    Par(a) Value
Switzerland (Continued)
UBS Group A.G.,      
(SOFR + 5.02%), 9.02%, 11/15/33(b)(h)   $650,000 $799,032
(1Y US Treasury CMT + 2.00%), 6.30%, 9/22/34(b)(h)   442,000 468,179
      7,669,869
Taiwan – 0.1%
TSMC Arizona Corp., 2.50%, 10/25/31   1,020,000 873,611
Ukraine – 0.0%(g)
MHP Lux S.A., 6.25%, 9/19/29(b)   19,000 13,395
Ukraine Government International Bond, 7.75%, 8/01/41(c)(k)   30,000 13,931
VF Ukraine PAT via VFU Funding PLC, 6.20%, 2/11/25(b)   20,000 15,674
      43,000
United Arab Emirates – 0.1%
DP World Ltd., 5.63%, 9/25/48(b)   700,000 649,903
United Kingdom – 0.4%
BAE Systems PLC, 3.40%, 4/15/30(b)   427,000 393,543
Barclays PLC, (5Y USD SOFR ICE IBA Swap Rate + 5.78%), 9.63%, 12/15/29(h)(l)   266,000 273,965
BAT Capital Corp.,      
3.56%, 8/15/27   77,000 73,582
2.26%, 3/25/28   100,000 89,761
4.54%, 8/15/47   110,000 84,249
4.76%, 9/06/49   85,000 66,904
3.98%, 9/25/50(f)   326,000 227,210
7.08%, 8/02/53   271,000 287,580
BP Capital Markets PLC, 2.82%, 4/07/32 EUR 100,000 103,924
HSBC Holdings PLC,      
(SOFR + 1.93%), 2.10%, 6/04/26(h)   200,000 191,244
(3M CME Term SOFR + 1.81%), 4.04%, 3/13/28(h)   240,000 231,873
(3M CME Term SOFR + 1.87%), 3.97%, 5/22/30(h)   350,000 327,728
(3M Euribor + 1.94%), 4.86%, 5/23/33(h) EUR 100,000 115,227
Lloyds Banking Group PLC, 4.38%, 3/22/28   290,000 283,113
 
66

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
United Kingdom (Continued)
Motability Operations Group PLC, 3.88%, 1/24/34 EUR $100,000 $110,038
Natwest Group PLC, (3M USD LIBOR + 1.91%), 5.08%, 1/27/30(h)   200,000 197,662
Reynolds American, Inc., 5.85%, 8/15/45(f)   108,000 99,984
      3,157,587
Uruguay – 0.0%(g)
Uruguay Government International Bond, 5.10%, 6/18/50(f)   167,641 162,922
Total Foreign Issuer Bonds
(Cost $52,595,942)
48,995,445
Mortgage-Backed Securities – 33.2%
Commercial Mortgage-Backed Securities – 1.9%
245 Park Avenue Trust, Series 2017-245P, Class E, 3.78%, 6/05/37(b)(d)   740,000 605,447
Arbor Realty Commercial Real Estate Notes Ltd., Series 2022-FL1, Class A, (30D Average SOFR + 1.45%, 1.45% Floor), 6.80%, 1/15/37(b)(c)   378,000 376,880
AREIT Trust, Series 2022-CRE6, Class A, (30D Average SOFR + 1.25%, 1.25% Floor), 6.60%, 1/16/37(b)(c)   751,023 742,068
BANK,      
Series 2017-BNK5, Class A4, 3.13%, 6/15/60   330,000 311,830
Series 2017-BNK7, Class A5, 3.44%, 9/15/60   100,000 94,873
Series 2018-BN13, Class A5, 4.22%, 8/15/61   480,000 464,584
Series 2019-BN19, Class C, 4.16%, 8/15/61(d)   280,000 194,703
Bayview Commercial Asset Trust,      
Series 2006-1A, Class A1, (1M CME Term SOFR + 0.52%), 5.86%, 4/25/36(b)(c)   234,489 214,094
    Par(a) Value
Commercial Mortgage-Backed Securities
(Continued)
Bayview Commercial Asset Trust,      
Series 2007-4A, Class A1, (1M CME Term SOFR + 0.79%, 0.68% Floor), 6.13%, 9/25/37(b)(c)   $225,406 $206,372
Benchmark Mortgage Trust,      
Series 2018-B2, Class A5, 3.88%, 2/15/51   390,000 368,286
Series 2019-B10, Class A4, 3.72%, 3/15/62   500,000 472,110
Series 2019-B9, Class XA, 1.18%, 3/15/52(d)   1,680,566 64,027
Series 2020-IG1, Class AS, 2.91%, 9/15/43   720,000 533,139
Series 2021-B25, Class XA, 1.21%, 4/15/54(d)   6,689,921 371,551
Series 2021-B27, Class XA, 1.38%, 7/15/54(d)   5,216,576 318,240
BHMS, Series 2018-ATLS, Class A, (1M CME Term SOFR + 1.55%, 1.50% Floor), 6.88%, 7/15/35(b)(c)   190,000 188,590
BX Commercial Mortgage Trust,      
Series 2021-SOAR, Class A, (1M CME Term SOFR + 0.78%, 0.67% Floor), 6.12%, 6/15/38(b)(c)   622,031 615,617
Series 2021-XL2, Class A, (1M CME Term SOFR + 0.80%, 0.69% Floor), 6.14%, 10/15/38(b)(c)   828,846 817,987
Series 2023-XL3, Class A, (1M CME Term SOFR + 1.76%, 1.76% Floor), 7.09%, 12/09/40(b)(c)   300,000 301,875
BX Trust, Series 2021-BXMF, Class A, (1M CME Term SOFR + 0.75%, 0.64% Floor), 6.08%, 10/15/26(b)(c)   469,233 463,045
BXP Trust, Series 2017-GM, Class D, 3.54%, 6/13/39(b)(d)   370,000 326,658
 
67

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Commercial Mortgage-Backed Securities
(Continued)
CAMB Commercial Mortgage Trust,      
Series 2019-LIFE, Class A, (1M CME Term SOFR + 1.37%, 1.07% Floor), 6.70%, 12/15/37(b)(c)   $270,000 $270,000
Series 2019-LIFE, Class D, (1M CME Term SOFR + 2.05%, 1.75% Floor), 7.38%, 12/15/37(b)(c)   100,000 99,656
CFK Trust, Series 2019-FAX, Class D, 4.79%, 1/15/39(b)(d)   100,000 89,204
Citigroup Commercial Mortgage Trust,      
Series 2014-GC23, Class B, 4.18%, 7/10/47   240,000 231,329
Series 2016-P6, Class A4, 3.46%, 12/10/49   88,681 85,332
Series 2017-C4, Class A4, 3.47%, 10/12/50   420,000 397,738
Commercial Mortgage Trust, Series 2020-CX, Class A, 2.17%, 11/10/46(b)   290,000 237,550
DBGS Mortgage Trust, Series 2019-1735, Class X, 0.43%, 4/10/37(b)(d)   13,945,000 164,732
GS Mortgage Securities Trust, Series 2017-GS8, Class A4, 3.47%, 11/10/50   240,000 224,776
HGI CRE CLO Ltd., Series 2021-FL1, Class A, (1M CME Term SOFR + 1.16%, 1.16% Floor), 6.50%, 6/16/36(b)(c)   565,060 550,519
J.P. Morgan Chase Commercial Mortgage Securities Trust, Series 2022-NXSS, Class A, (1M CME Term SOFR + 2.18%, 2.18% Floor), 7.51%, 8/15/39(b)(c)   120,000 120,299
KSL Commercial Mortgage Trust, Series 2023-HT, Class D, (1M CME Term SOFR + 4.29%, 4.29% Floor), 9.62%, 12/15/36(b)(c)   171,000 172,069
LSTAR Commercial Mortgage Trust, Series 2015-3, Class AS, 3.29%, 4/20/48(b)(d)   28,193 27,551
    Par(a) Value
Commercial Mortgage-Backed Securities
(Continued)
MHC Commercial Mortgage Trust, Series 2021-MHC, Class A, (1M CME Term SOFR + 0.92%, 0.80% Floor), 6.25%, 4/15/38(b)(c)   $192,942 $191,796
Morgan Stanley Capital I Trust,      
Series 2019-BPR, Class A, (1M CME Term SOFR + 1.99%, 1.40% Floor), 7.35%, 5/15/36(b)(c)   310,737 306,007
Series 2019-L2, Class XA, 1.17%, 3/15/52(d)   2,492,020 97,665
MSWF Commercial Mortgage Trust,      
Series 2023-2, Class A5, 6.01%, 12/15/56   374,000 407,774
Series 2023-2, Class XA, 1.14%, 12/15/56(d)   999,940 65,943
NJ Trust, Series 2023-GSP, Class A, 6.70%, 1/06/29(b)(d)   270,000 283,632
OPG Trust, Series 2021-PORT, Class A, (1M CME Term SOFR + 0.60%, 0.48% Floor), 5.93%, 10/15/36(b)(c)   553,017 544,030
PFP Ltd., Series 2022-9, Class A, (1M CME Term SOFR + 2.27%, 2.27% Floor), 7.61%, 8/19/35(b)(c)   120,000 119,614
SFO Commercial Mortgage Trust, Series 2021-555, Class A, (1M CME Term SOFR + 1.26%, 1.15% Floor), 6.60%, 5/15/38(b)(c)   440,000 422,400
SMRT, Series 2022-MINI, Class A, (1M CME Term SOFR + 1.00%, 1.00% Floor), 6.33%, 1/15/39(b)(c)   790,000 781,274
Soho Trust, Series 2021-SOHO, Class A, 2.79%, 8/10/38(b)(d)   846,000 563,742
SREIT Trust, Series 2021-MFP, Class A, (1M CME Term SOFR + 0.85%, 0.73% Floor), 6.18%, 11/15/38(b)(c)   765,490 757,835
VASA Trust, Series 2021-VASA, Class A, (1M CME Term SOFR + 1.01%, 0.90% Floor), 6.35%, 7/15/39(b)(c)   410,000 377,242
 
68

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Commercial Mortgage-Backed Securities
(Continued)
Velocity Commercial Capital Loan Trust, Series 2024-1, Class A, 6.55%, 1/25/54(b)   $99,666 $101,697
Wells Fargo Commercial Mortgage Trust,      
Series 2016-BNK1, Class B, 2.97%, 8/15/49   300,000 237,751
Series 2017-C38, Class A5, 3.45%, 7/15/50   315,000 297,815
      16,278,948
Federal Home Loan Mortgage Corporation – 6.7%
Multiclass Certificates, Series 2020-RR07, Class BX, 2.61%, 10/27/28   4,160,000 382,736
Multifamily Structured Pass Through Certificates,      
Series K095, Class XAM, 1.37%, 6/25/29(d)   500,000 28,631
Series K124, Class X1, 0.81%, 12/25/30(d)   5,374,320 211,328
Series K-1517, Class X1, 1.44%, 7/25/35(d)   234,596 24,018
Series K736, Class X1, 1.41%, 7/25/26(d)   955,058 23,151
Series KG06, Class X1, 0.63%, 10/25/31(d)   3,096,296 99,521
Pool,      
3.50%, 1/01/34 - 4/01/52   1,239,837 1,152,191
2.00%, 9/01/35 - 2/01/52   14,909,179 12,442,803
1.50%, 4/01/36 - 2/01/51   2,800,753 2,305,372
3.00%, 9/01/37 - 8/01/52   7,375,877 6,577,775
2.00%, 12/01/41 - 4/01/42(m)   259,463 220,340
4.00%, 1/01/45 - 2/01/53   4,764,089 4,556,109
4.50%, 3/01/47 - 12/01/52   2,571,438 2,518,031
(1Y Refinitiv USD IBOR Consumer Cash Fallbacks + 1.62%, 1.62% Floor, 7.87% Cap), 2.87%, 11/01/47(c)   163,580 157,887
(1Y Refinitiv USD IBOR Consumer Cash Fallbacks + 1.63%, 1.63% Floor, 8.01% Cap), 3.01%, 11/01/48(c)   577,703 548,103
    Par(a) Value
Federal Home Loan Mortgage Corporation
(Continued)
Pool,      
5.00%, 11/01/49 - 6/01/53   $2,670,813 $2,648,283
(1Y Refinitiv USD IBOR Consumer Cash Fallbacks + 1.62%, 1.62% Floor, 8.10% Cap), 3.10%, 2/01/50(c)   281,839 267,485
2.50%, 7/01/50 - 4/01/52   11,996,082 10,247,047
2.50%, 1/01/52(n)   4,355,445 3,710,156
6.00%, 11/01/52 - 11/01/53   1,832,704 1,865,074
5.50%, 12/01/52 - 9/01/53   2,673,601 2,689,088
6.50%, 2/01/53 - 1/01/54   1,489,346 1,531,598
7.00%, 12/01/53 - 1/01/54   418,039 431,198
7.50%, 12/01/53 - 1/01/54   60,321 62,750
Real Estate Mortgage Investment Conduits,      
Series 2019-RR01, Class X, 1.53%, 6/25/28   2,500,000 134,985
Series 4391, Class MZ, 3.00%, 9/15/44   264,533 232,148
Series 5010, Class IK, 2.50%, 9/25/50   65,538 9,814
Series 5010, Class JI, 2.50%, 9/25/50   309,703 48,497
Series 5013, Class IN, 2.50%, 9/25/50   79,421 12,578
Series 5018, Class MI, 2.00%, 10/25/50   244,048 31,917
Series 5040, Class IB, 2.50%, 11/25/50   69,081 9,922
Series 5052, Class KI, 4.00%, 12/25/50   172,006 34,603
Series 5059, Class IB, 2.50%, 1/25/51   327,140 51,041
Series 5069, Class MI, 2.50%, 2/25/51   73,134 10,561
Series 5081, Class AI, 3.50%, 3/25/51   82,487 14,454
Series 5081, Class PI, 3.00%, 3/25/51   188,905 30,636
Series 5092, Class AP, 2.00%, 4/25/41   77,599 66,896
Series 5112, Class KI, 3.50%, 6/25/51   398,291 72,657
Series 5127, Class AI, 3.00%, 6/25/51   156,175 25,678
Series 5140, Class NI, 2.50%, 5/25/49   346,883 47,399
Series 5148, Class BI, 2.50%, 1/25/49   801,708 107,698
 
69

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Federal Home Loan Mortgage Corporation
(Continued)
Real Estate Mortgage Investment Conduits,      
Series 5148, Class CI, 2.00%, 6/25/49   $451,588 $51,864
Series 5152, Class EI, 3.50%, 10/25/51   224,859 40,529
Series 5155, Class NI, 3.00%, 10/25/51   147,892 20,612
Series 5161, Class LI, 3.00%, 11/25/51   144,198 18,634
Series 5164, Class IB, 3.00%, 11/25/51   70,577 11,017
Series 5196, Class DI, 3.00%, 2/25/52   257,980 39,883
Series 5200, Class KQ, 3.00%, 9/25/49   78,173 71,453
Series 5224, Class HL, 4.00%, 4/25/52   500,000 456,467
Series 5230, Class PE, 2.00%, 12/25/51   300,000 237,987
Series 5274, Class IO, 2.50%, 1/25/51   649,595 102,571
Strips,      
Series 334, Class S7, (5.99% - 30D Average SOFR, 6.10% Cap), 0.64%, 8/15/44(c)   114,531 13,099
Series 389, Class C45, 3.00%, 10/15/52   639,050 105,789
      56,812,064
Federal Home Loan Mortgage Corporation Gold –
0.4%
Pool,      
3.00%, 10/01/32 - 12/01/32   503,987 481,839
3.50%, 6/01/46 - 4/01/49   2,152,817 2,012,913
4.50%, 4/01/47 - 4/01/49   539,390 533,397
4.00%, 6/01/48   627,341 603,068
5.00%, 11/01/48   28,882 29,018
      3,660,235
Federal National Mortgage Association – 10.7%
Alternative Credit Enhancement Securities,      
Series 2013-M6, Class 1AC, 3.49%, 2/25/43(d)   44,007 41,796
Series 2019-M23, Class 3A3, 2.72%, 10/25/31(d)   91,645 81,333
Series 2019-M6, Class A2, 3.45%, 1/01/29   44,980 43,535
Series 2020-M36, Class X1, 1.55%, 9/25/34(d)   525,285 26,134
    Par(a) Value
Federal National Mortgage Association (Continued)
Interest Strip,      
Series 409, Class C18, 4.00%, 4/25/42   $7,420 $1,358
Series 427, Class C21, 2.00%, 3/25/50   826,519 98,505
Series 427, Class C71, 3.00%, 10/25/49   445,798 73,969
Series 427, Class C85, 3.50%, 8/25/49   176,567 31,433
Series 428, Class C16, 3.00%, 3/25/50   277,256 47,469
Series 437, Class C11, 3.00%, 7/25/52   968,083 162,477
Pool,      
3.00%, 9/01/28 - 12/01/54   10,119,440 9,128,214
5.34%, 9/01/28   100,000 103,575
5.05%, 10/01/28   100,000 102,416
3.78%, 1/01/29   194,028 188,260
2.93%, 6/01/30   34 31
2.15%, 2/01/32(d)   19,879 16,771
3.35%, 6/01/32   100,000 92,036
3.84%, 7/01/32   100,000 95,388
3.89%, 7/01/32   200,000 188,268
4.06%, 7/01/32   100,000 95,280
4.84%, 10/01/32   98,619 100,853
5.18%, 11/01/32   100,000 104,602
2.50%, 12/01/33 - 9/01/61   20,096,080 17,239,574
5.10%, 12/01/33   100,000 104,452
3.50%, 1/01/34 - 6/01/52   6,125,383 5,673,222
2.00%, 9/01/35 - 3/01/52   21,481,434 17,777,475
1.50%, 3/01/36 - 3/01/51   4,882,842 3,961,929
2.00%, 12/01/41 - 2/01/42(m)   425,277 361,481
4.50%, 11/01/43 - 1/01/59   4,792,095 4,705,406
4.00%, 4/01/44 - 7/01/52   12,741,898 12,179,231
5.00%, 8/01/48 - 7/01/53   3,731,594 3,726,217
3.50%, 1/01/51(n)   1,986,959 1,829,143
5.50%, 11/01/52 - 9/01/53   3,958,819 3,980,138
6.00%, 11/01/52 - 1/01/54   3,261,488 3,321,127
6.50%, 1/01/53 - 1/01/54   1,242,185 1,277,929
6.00%, 11/01/53(m)   196,931 200,846
6.50%, 12/01/53(m)   34,996 35,832
 
70

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Federal National Mortgage Association (Continued)
Pool,      
7.00%, 12/01/53 - 1/01/54   $938,860 $970,243
7.50%, 12/01/53 - 1/01/54   116,897 121,563
Real Estate Mortgage Investment Conduits,      
Series 2012-118, Class VZ, 3.00%, 11/25/42   128,083 114,646
Series 2013-54, Class BS, (6.04% - 30D Average SOFR, 6.15% Cap), 0.69%, 6/25/43(c)   16,690 2,106
Series 2014-6, Class Z, 2.50%, 2/25/44   256,738 219,084
Series 2015-65, Class CZ, 3.50%, 9/25/45   268,398 232,413
Series 2018-74, Class AB, 3.50%, 10/25/48   162,516 150,925
Series 2020-32, Class PI, 4.00%, 5/25/50   81,324 16,713
Series 2020-47, Class GZ, 2.00%, 7/25/50   214,847 128,048
Series 2020-56, Class AQ, 2.00%, 8/25/50   700,000 550,081
Series 2020-56, Class DI, 2.50%, 8/25/50   75,544 11,706
Series 2020-57, Class TA, 2.00%, 4/25/50   195,193 169,809
Series 2020-74, Class EI, 2.50%, 10/25/50   73,591 11,762
Series 2020-77, Class HI, 4.00%, 11/25/50   258,041 51,567
Series 2020-89, Class DI, 2.50%, 12/25/50   219,961 33,591
Series 2020-97, Class AI, 2.00%, 1/25/51   430,856 56,444
Series 2021-1, Class IG, 2.50%, 2/25/51   164,418 26,610
Series 2021-3, Class MI, 3.50%, 2/25/51   151,696 27,181
Series 2021-3, Class QI, 2.50%, 2/25/51   841,816 127,599
Series 2021-31, Class IB, 4.00%, 6/25/51   228,089 44,347
Series 2021-50, Class IO, 4.00%, 8/25/51   250,433 47,168
Series 2021-61, Class KI, 2.50%, 4/25/49   521,660 71,071
Series 2021-65, Class JA, 2.00%, 1/25/46   72,446 63,930
Series 2021-69, Class IJ, 2.50%, 1/25/49   806,345 108,724
    Par(a) Value
Federal National Mortgage Association (Continued)
Real Estate Mortgage Investment Conduits,      
Series 2022-22, Class IO, 2.50%, 10/25/51   $632,595 $108,369
Series 2022-57, Class BC, 4.00%, 9/25/52   86,235 82,784
Series 2023-2, Class CI, 2.00%, 10/25/50   938,246 114,261
Series 2023-39, Class IO, 3.00%, 10/25/52   867,688 140,261
      91,000,711
Government National Mortgage Association – 2.8%
Pool,      
2.00%, 2/01/54(m)   2,973,900 2,476,345
2.50%, 2/01/54(m)   2,244,488 1,940,380
3.00%, 2/01/54(m)   1,837,271 1,641,056
3.50%, 2/01/54(m)   2,318,000 2,138,165
4.00%, 2/01/54(m)   1,594,000 1,514,264
4.50%, 2/01/54(m)   600,000 584,144
5.00%, 2/01/54(m)   4,411,000 4,381,674
5.50%, 2/01/54(m)   1,261,000 1,269,066
6.00%, 2/01/54(m)   958,000 972,612
6.50%, 2/01/54(m)   790,000 807,453
Series 2013-107, Class AD, 2.84%, 11/16/47(d)   73,103 65,166
Series 2014-17, Class AM, 3.54%, 6/16/48(d)   7,609 7,178
Series 2014-H20, Class FA, (1M CME Term SOFR + 0.54%, 0.43% Floor), 5.89%, 10/20/64(c)   123,810 123,115
Series 2018-168, Class PA, 4.00%, 8/20/48   83,980 79,875
Series 2019-18, Class TP, 3.50%, 2/20/49   89,207 81,620
Series 2020-103, Class AD, 1.45%, 1/16/63   580,409 441,955
Series 2020-123, Class IL, 2.50%, 8/20/50   69,054 8,906
Series 2020-123, Class NI, 2.50%, 8/20/50   146,835 19,659
Series 2020-127, Class IN, 2.50%, 8/20/50   71,599 9,696
Series 2020-129, Class IE, 2.50%, 9/20/50   75,173 10,181
Series 2020-146, Class DI, 2.50%, 10/20/50   68,146 9,112
Series 2020-151, Class MI, 2.50%, 10/20/50   136,440 18,288
Series 2020-160, Class IH, 2.50%, 10/20/50   77,855 10,531
Series 2020-160, Class VI, 2.50%, 10/20/50   74,439 10,544
 
71

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Government National Mortgage Association
(Continued)
Series 2020-160, Class YI, 2.50%, 10/20/50   $227,034 $29,716
Series 2020-181, Class WI, 2.00%, 12/20/50   358,470 38,783
Series 2020-185, Class MI, 2.50%, 12/20/50   71,519 9,522
Series 2020-190, Class IO, 1.05%, 11/16/62(d)   3,019,542 222,402
Series 2020-47, Class MI, 3.50%, 4/20/50   241,681 40,691
Series 2020-47, Class NI, 3.50%, 4/20/50   68,374 11,289
Series 2020-H04, Class FP, (1M CME Term SOFR + 0.61%, 0.50% Floor), 5.96%, 6/20/69(c)   162,043 161,074
Series 2020-H09, Class FL, (1M CME Term SOFR + 1.26%, 1.15% Floor), 6.61%, 5/20/70(c)   122,328 121,964
Series 2020-H13, Class FA, (1M CME Term SOFR + 0.56%, 0.45% Floor, 7.50% Cap), 5.91%, 7/20/70(c)   683,135 662,096
Series 2020-H13, Class FM, (1M CME Term SOFR + 0.51%, 0.40% Floor, 11.00% Cap), 5.86%, 8/20/70(c)   112,980 111,384
Series 2021-14, Class AB, 1.34%, 6/16/63   287,698 216,637
Series 2021-176, Class IA, 3.50%, 10/20/51   64,065 10,588
Series 2021-188, Class PA, 2.00%, 10/20/51   906,534 732,099
Series 2021-21, Class AH, 1.40%, 6/16/63   432,773 326,799
Series 2021-214, Class AI, 4.00%, 12/20/51   92,366 16,048
Series 2021-215, Class LI, 3.00%, 12/20/51   80,415 11,216
Series 2021-29, Class AG, 5.00%, 2/20/51   72,878 72,368
Series 2021-29, Class TI, 2.50%, 2/20/51   450,946 80,339
Series 2021-5, Class IO, 1.11%, 1/16/61(d)   3,211,604 247,992
Series 2021-58, Class IY, 3.00%, 2/20/51   717,768 109,243
Series 2021-67, Class QI, 3.00%, 4/20/51   73,025 11,052
Series 2021-76, Class JI, 3.00%, 8/20/50   74,997 11,263
Series 2021-78, Class IP, 3.00%, 5/20/51   681,049 100,541
    Par(a) Value
Government National Mortgage Association
(Continued)
Series 2021-8, Class AQ, 5.00%, 1/20/51   $72,700 $73,788
Series 2021-83, Class PI, 3.00%, 5/20/51   244,931 37,845
Series 2021-96, Class MI, 3.00%, 6/20/51   131,135 19,808
Series 2021-96, Class VI, 2.50%, 6/20/51   1,515,812 204,857
Series 2021-97, Class LI, 3.00%, 8/20/50   870,650 132,699
Series 2022-139, Class AL, 4.00%, 7/20/51   200,000 180,351
Series 2022-189, Class PT, 2.50%, 10/20/51   92,996 77,190
Series 2022-196, Class BE, 3.00%, 10/16/64(d)   100,000 74,751
Series 2022-220, Class E, 3.00%, 10/16/64   200,000 150,954
Series 2022-3, Class IO, 0.64%, 2/16/61(d)   96,300 4,808
Series 2022-4, Class Z, 1.90%, 3/16/64   207,740 101,577
Series 2022-63, Class LM, 3.50%, 10/20/50   400,000 336,786
Series 2022-78, Class IO, 3.00%, 8/20/51   78,258 12,054
Series 2022-82, Class Z, 2.00%, 2/16/64   930,480 520,192
Series 2022-85, Class IK, 3.00%, 5/20/51   400,180 60,150
      23,963,901
Government National Mortgage Association II – 3.2%
Pool,      
3.00%, 9/15/42 - 4/20/52   5,202,270 4,642,142
3.50%, 3/20/45 - 6/20/52   2,584,064 2,398,880
4.00%, 8/20/46 - 6/20/52   2,456,735 2,355,131
4.50%, 4/20/47 - 9/20/52   2,111,987 2,078,283
5.00%, 5/20/48 - 8/20/53   2,227,725 2,228,170
2.50%, 10/20/49 - 1/20/53   5,921,015 5,105,994
2.00%, 8/20/50 - 3/20/51   3,661,161 3,037,698
2.00%, 2/20/51(m)   1,555,104 1,296,260
5.50%, 11/20/52 - 8/20/53   2,228,555 2,253,040
6.00%, 7/20/53   1,833 1,862
6.00%, 9/20/53(m)   389,576 401,405
6.50%, 9/20/53 - 11/20/53   198,882 205,723
0.00%, 1/01/54(m)   700,000 718,391
      26,722,979
 
72

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Uniform Mortgage-Backed Securities – 5.7%
Pool,      
1.50%, 2/01/39 - 2/01/54(m)   $679,318 $550,953
2.00%, 2/01/39 - 2/01/53(m)   6,201,235 5,061,927
2.50%, 2/01/39(m)   436,000 401,495
3.00%, 2/01/39 - 2/01/53(m)   2,916,947 2,555,414
3.50%, 2/01/39 - 3/01/53(m)   4,964,000 4,521,829
4.00%, 2/01/39 - 2/01/53(m)   230,000 222,768
4.50%, 2/01/39 - 2/01/54(m)   9,773,000 9,457,148
5.00%, 2/01/53(m)   5,238,860 5,170,235
5.50%, 2/01/53(m)   10,853,172 10,884,064
7.00%, 2/01/54 - 3/01/54(m)   9,017,600 9,295,801
      48,121,634
Whole Loan – 1.8%
Adjustable Rate Mortgage Trust, Series 2005-9, Class 5A1, (1M CME Term SOFR + 0.65%, 0.54% Floor, 11.00% Cap), 5.99%, 11/25/35(c)   53,020 52,298
Angel Oak Mortgage Trust,      
Series 2022-3, Class A1, 4.00%, 1/10/67(b)   677,587 645,338
Series 2023-7, Class A1, (Step to 4.88% on 1/25/28), 4.80%, 11/25/67(b)(e)   117,905 115,437
CIM Trust, Series 2021-R6, Class A1, 1.43%, 7/25/61(b)   229,413 201,026
COLT Mortgage Loan Trust, Series 2022-2, Class A1, (Step to 3.96% on 3/25/26), 2.99%, 2/25/67(b)(e)   155,061 142,155
Cross Mortgage Trust, Series 2023-H2, Class A1A, (Step to 8.14% on 11/25/27), 7.14%, 11/25/68(b)(e)   97,973 99,773
CSMC,      
Series 2019-NQM1, Class A2, 3.86%, 10/25/59(b)   188,550 183,353
Series 2021-NQM2, Class A3, 1.54%, 2/25/66(b)   77,334 66,780
Series 2021-NQM6, Class A3, 1.59%, 7/25/66(b)   562,014 456,125
    Par(a) Value
Whole Loan (Continued)
CSMC,      
Series 2021-NQM7, Class A1, 1.76%, 10/25/66(b)   $136,176 $114,732
Series 2022-NQM1, Class A1, 2.27%, 11/25/66(b)(d)   642,454 560,166
CSMC Trust,      
Series 2021-RPL2, Class A1, 2.00%, 1/25/60(b)   107,668 93,218
Series 2021-RPL4, Class A1, 1.80%, 12/27/60(b)(d)   141,899 138,401
Series 2021-RPL6, Class A1, 2.00%, 10/25/60(b)   132,686 116,888
Series 2022-NQM3, Class A1B, 4.27%, 3/25/67(b)(d)   111,000 102,906
Series 2022-NQM6, Class PT, 8.85%, 12/25/67(b)   139,345 141,771
Deephaven Residential Mortgage Trust, Series 2022-1, Class A1, 2.21%, 1/25/67(b)   355,881 321,307
Ellington Financial Mortgage Trust,      
Series 2021-2, Class A1, 0.93%, 6/25/66(b)   288,123 234,133
Series 2022-1, Class A1, 2.21%, 1/25/67(b)   172,949 148,670
FNMA Connecticut Avenue Securities, Series 2016-C03, Class 1M2, (30D Average SOFR + 5.41%), 10.76%, 10/25/28(c)   128,869 136,029
Freddie Mac STACR REMIC Trust,      
Series 2021-DNA2, Class M2, (30D Average SOFR + 2.30%), 7.64%, 8/25/33(b)(c)   165,125 168,221
Series 2021-DNA6, Class M2, (30D Average SOFR + 1.50%), 6.84%, 10/25/41(b)(c)   580,000 579,451
Series 2022-DNA2, Class M1A, (30D Average SOFR + 1.30%), 6.64%, 2/25/42(b)(c)   364,100 365,240
Series 2022-DNA3, Class M1B, (30D Average SOFR + 2.90%), 8.24%, 4/25/42(b)(c)   550,000 570,625
 
73

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Whole Loan (Continued)
Freddie Mac STACR REMIC Trust,      
Series 2022-DNA4, Class M1A, (30D Average SOFR + 2.20%), 7.54%, 5/25/42(b)(c)   $173,044 $176,173
Series 2022-DNA5, Class M1B, (30D Average SOFR + 4.50%), 9.84%, 6/25/42(b)(c)   240,000 259,707
Series 2022-DNA2, Class M1B, (30D Average SOFR + 2.40%), 7.74%, 2/25/42(b)(c)   200,000 204,249
GS Mortgage-Backed Securities Trust, Series 2022-NQM1, Class A4, 4.00%, 5/25/62(b)   78,037 71,800
GSR Mortgage Loan Trust, Series 2007-1F, Class 2A4, 5.50%, 1/25/37   97,265 129,968
HarborView Mortgage Loan Trust,      
Series 2005-9, Class 2A1B, (1M CME Term SOFR + 0.85%, 0.74% Floor, 11.00% Cap), 6.19%, 6/20/35(c)   128,270 115,763
Series 2005-9, Class 2A1C, (1M CME Term SOFR + 1.01%, 0.90% Floor, 11.00% Cap), 6.35%, 6/20/35(c)   472,840 424,200
Impac CMB Trust, Series 2007-A, Class A, (1M CME Term SOFR + 0.61%, 0.50% Floor, 11.50% Cap), 5.95%, 5/25/37(b)(c)   154,196 143,629
Legacy Mortgage Asset Trust,      
Series 2021-GS2, Class A1, (Step to 4.75% on 5/25/24), 1.75%, 4/25/61(b)(e)   253,144 245,369
Series 2021-GS5, Class A1, (Step to 5.25% on 12/25/24), 2.25%, 7/25/67(b)(e)   152,392 147,435
MASTR Asset Securitization Trust,      
Series 2007-1, Class 1A4, 6.50%, 11/25/37   568,118 134,555
Series 2007-2, Class A2, 6.25%, 1/25/38   322,543 182,044
Merrill Lynch Mortgage Investors Trust, Series 2004-A1, Class 2A2, 5.16%, 2/25/34(d)   192,552 173,851
    Par(a) Value
Whole Loan (Continued)
Mill City Mortgage Loan Trust, Series 2019-1, Class A1, 3.25%, 10/25/69(b)   $233,587 $224,570
Morgan Stanley Resecuritization Trust, Series 2015-R2, Class 2A1, (12MTA + 1.09%, 1.09% Floor), 5.11%, 12/26/46(b)(c)   16,087 15,954
New Residential Mortgage Loan Trust,      
Series 2015-2A, Class A1, 3.75%, 8/25/55(b)   184,830 173,745
Series 2017-2A, Class B2, 4.75%, 3/25/57(b)(d)   219,849 206,106
Series 2018-3A, Class A1, 4.50%, 5/25/58(b)(d)   530,707 512,347
Series 2018-RPL1, Class M2, 3.50%, 12/25/57(b)   280,000 233,509
Series 2019-6A, Class A1B, 3.50%, 9/25/59(b)(d)   501,498 468,551
Series 2019-6A, Class B3C, 3.75%, 9/25/59(b)(d)   511,953 460,997
Series 2019-NQM4, Class A1, 2.49%, 9/25/59(b)   79,176 73,509
Series 2021-NQM3, Class A1, 1.16%, 11/27/56(b)   154,906 131,568
Series 2022-NQM4, Class A1, (Step to 4.99% on 10/25/24), 5.00%, 6/25/62(b)(e)   217,592 216,239
OBX Trust,      
Series 2021-NQM2, Class A1, 1.10%, 5/25/61(b)   483,666 385,275
Series 2021-NQM3, Class A1, 1.05%, 7/25/61(b)   162,662 128,369
Series 2022-NQM1, Class A1, 2.31%, 11/25/61(b)   625,876 541,067
PRKCM Trust, Series 2021-AFC2, Class A1, 2.07%, 11/25/56(b)   171,269 145,246
Residential Mortgage Loan Trust,      
Series 2019-2, Class A1, 2.91%, 5/25/59(b)   9,605 9,518
Series 2020-2, Class A1, 1.65%, 5/25/60(b)   31,101 30,641
 
74

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
Whole Loan (Continued)
SG Residential Mortgage Trust,      
Series 2022-1, Class A1, 3.17%, 3/27/62(b)(d)   $695,969 $631,433
Series 2022-2, Class A1, (Step to 5.30% on 10/25/24), 5.35%, 8/25/62(b)(e)   668,644 674,906
Towd Point Mortgage Trust,      
Series 2016-3, Class B1, 4.13%, 4/25/56(b)(d)   190,000 181,471
Series 2017-4, Class B2, 3.63%, 6/25/57(b)(d)   330,000 274,759
Series 2019-HY2, Class A1, (1M CME Term SOFR + 1.11%, 1.00% Floor), 6.45%, 5/25/58(b)(c)   486,654 492,721
Series 2020-2, Class M1B, 3.00%, 4/25/60(b)(d)   240,000 183,422
Series 2022-4, Class A1, 3.75%, 9/25/62(b)   471,774 442,499
Voyager OPTONE Delaware Trust, Series 2009-1, Class SAA7, 2.42%, 2/25/38(b)(d)   167,790 38,505
WaMu Mortgage Pass-Through Certificates, Series 2006-AR13, Class 1A, (12MTA + 0.88%, 0.88% Floor), 5.94%, 10/25/46(c)   258,825 213,332
      15,253,045
Total Mortgage-Backed Securities
(Cost $295,633,683)
281,813,517
Municipal Bonds – 0.3%
California – 0.1%
Bay Area Toll Authority Toll Bridge Subordinate Revenue Bonds, Series S1, Build America Bonds, 7.04%, 4/01/50   170,000 213,168
California State Taxable GO Unlimited Refunding Bonds, 4.60%, 4/01/38   215,000 206,950
California State Various Purpose Taxable GO Unlimited Bonds, Build America Bonds,      
7.50%, 4/01/34   65,000 79,233
7.55%, 4/01/39   20,000 25,286
    Par(a) Value
California (Continued)
Los Angeles Community College District GO Unlimited Bonds, Build America Bonds, 6.60%, 8/01/42   $45,000 $54,018
Los Angeles Unified School District GO Unlimited Bonds, Series RY, Build America Bonds, 6.76%, 7/01/34   215,000 243,213
University of California Taxable General Revenue Bonds, Series AD, 4.86%, 5/15/12(o)   25,000 23,568
      845,436
Georgia – 0.0%(g)
Municipal Electric Authority of Georgia Taxable Revenue Bonds, Build America Bonds, 6.64%, 4/01/57   39,000 44,160
Illinois – 0.1%
Illinois State Taxable GO Unlimited Pension Bonds, 5.10%, 6/01/33   460,000 456,917
Louisiana – 0.0%(g)
Louisiana State Local Government Environmental Facilities & Community Development Authority Taxable Revenue Bonds, Louisiana Utilities Restoration Corp. Project, 4.15%, 2/01/33   70,000 68,536
New Jersey – 0.0%(g)
New Jersey State Turnpike Authority Taxable Revenue Bonds, Build America Bonds, 7.41%, 1/01/40   106,000 131,847
New York – 0.1%
MTA Revenue Bonds, Build America Bonds,      
6.67%, 11/15/39   70,000 78,614
5.87%, 11/15/39   45,000 47,297
New York City Municipal Water Finance Authority Water & Sewer System Second General Resolution Taxable Revenue Bonds, 5.88%, 6/15/44   30,000 33,241
 
75

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
New York (Continued)
New York City Municipal Water Finance Authority Water & Sewer System Taxable Revenue Bonds, Build America Bonds, 6.01%, 6/15/42   $95,000 $106,514
New York State Dormitory Authority Personal Income TRB, Build America Bonds, 5.39%, 3/15/40   30,000 30,541
Port Authority of New York & New Jersey Consolidated 164th Taxable Revenue Bonds, 5.65%, 11/01/40   65,000 69,097
Port Authority of New York & New Jersey Consolidated 168th Revenue Bonds, 4.93%, 10/01/51   85,000 84,343
Port Authority of New York & New Jersey Consolidated Taxable Revenue Bonds, Series 181, 4.96%, 8/01/46   60,000 56,989
      506,636
Ohio – 0.0%(g)
American Municipal Power-Ohio, Inc., Taxable Revenue Bonds, Series B, Combined Hydroelectric Projects, 8.08%, 2/15/50   75,000 101,079
Texas – 0.0%(g)
San Antonio Electric & Gas Junior Lien Revenue Bonds, Build America Bonds, 5.81%, 2/01/41   75,000 80,608
Texas State Taxable GO Unlimited Bonds, Build America Bonds, 5.52%, 4/01/39   155,000 165,754
      246,362
Total Municipal Bonds
(Cost $2,694,274)
2,400,973
Term Loans – 0.0%(c)(g)
Construction Materials – 0.0%(g)
CP Iris Holdco I, Inc., Delayed Draw Term Loan, 10/02/28(p)(q)   99 99
    Par(a) Value
Publishing & Broadcasting – 0.0%(g)
Gray Television, Inc., Term D Loan, (1M USD CME Term SOFR + 3.00%), 8.47%, 12/01/28   $90 $89
Software – 0.0%(g)
ConnectWise LLC, Initial Term Loan, (3M USD CME Term SOFR + 3.50%, 0.50% Floor), 9.11%, 9/29/28   23,088 23,036
Total Term Loans
(Cost $23,197)
23,224
U.S. Government Obligations – 13.7%
U.S. Treasury Bonds – 5.3%
4.25%, 5/15/39   53,000 53,843
4.50%, 8/15/39   53,000 55,292
4.38%, 11/15/39   53,000 54,437
4.63%, 2/15/40   382,000 402,876
1.13%, 5/15/40   1,144,000 726,127
3.88%, 8/15/40   382,000 366,959
1.13%, 8/15/40   1,144,000 718,888
4.25%, 11/15/40   1,093,700 1,099,211
1.38%, 11/15/40   1,144,000 747,354
4.75%, 2/15/41(n)   2,020,900 2,151,311
4.38%, 5/15/41   595,500 605,433
2.00%, 11/15/41   6,010,000 4,291,985
2.75%, 8/15/42   2,960,000 2,368,116
4.00%, 11/15/42   876,100 841,022
3.13%, 2/15/43   204,000 172,276
3.88%, 2/15/43   775,500 730,030
2.88%, 5/15/43(f)   204,000 165,224
3.88%, 5/15/43   2,750,000 2,587,578
3.63%, 8/15/43   1,168,000 1,059,641
4.38%, 8/15/43   1,350,000 1,359,703
3.75%, 11/15/43   1,168,000 1,076,704
4.75%, 11/15/43(f)   1,050,000 1,111,524
3.00%, 11/15/44   3,040,000 2,479,856
2.50%, 2/15/45(n)   3,298,000 2,457,783
3.00%, 5/15/45   2,450,000 1,989,955
2.88%, 11/15/46   199,000 156,277
2.75%, 11/15/47(n)   3,448,000 2,624,655
3.00%, 2/15/48(n)   1,194,000 951,376
2.25%, 8/15/49(n)   1,192,000 809,908
1.38%, 8/15/50   2,715,700 1,461,174
1.63%, 11/15/50   135,000 77,736
2.38%, 5/15/51   7,000 4,845
2.00%, 8/15/51   810,000 511,756
1.88%, 11/15/51   970,000 592,723
2.25%, 2/15/52(f)   1,238,200 831,093
3.00%, 8/15/52   22,000 17,446
 
76

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Par(a) Value
U.S. Treasury Bonds (Continued)
4.00%, 11/15/52   $964,000 $926,193
3.63%, 2/15/53   895,000 803,542
3.63%, 5/15/53   1,772,500 1,592,757
4.13%, 8/15/53   2,629,000 2,585,046
4.75%, 11/15/53   831,000 907,348
1.50%, 2/15/53   440,000 407,070
      44,934,073
U.S. Treasury Notes – 8.4%
2.00%, 2/15/25   503,000 489,089
3.88%, 3/31/25   1,477,000 1,464,711
0.38%, 4/30/25(n)   8,537,000 8,107,816
3.88%, 4/30/25   246,000 243,982
2.13%, 5/15/25   433,000 420,179
2.88%, 6/15/25   1,920,000 1,879,575
0.25%, 6/30/25   1,788,000 1,686,098
3.00%, 7/15/25   154,000 150,926
0.25%, 7/31/25   1,874,000 1,761,706
4.75%, 7/31/25   30,000 30,141
3.13%, 8/15/25   213,000 208,981
3.50%, 9/15/25   528,000 520,905
5.00%, 10/31/25(f)   282,000 285,206
4.50%, 11/15/25   456,000 457,514
0.38%, 11/30/25   11,000 10,252
4.00%, 12/15/25   2,475,000 2,463,108
3.88%, 1/15/26   90,000 89,395
0.50%, 2/28/26   1,986,800 1,841,826
4.63%, 3/15/26   70,000 70,604
3.75%, 4/15/26   614,000 608,699
3.63%, 5/15/26   282,000 278,916
0.75%, 5/31/26   387,000 358,292
0.88%, 6/30/26   1,927,000 1,786,690
0.63%, 7/31/26   1,192,000 1,095,057
1.50%, 8/15/26   576,000 540,428
4.38%, 8/15/26   126,000 126,881
4.63%, 9/15/26   50,000 50,684
4.63%, 10/15/26   44,000 44,638
2.00%, 11/15/26   1,604,000 1,518,725
1.63%, 11/30/26   2,383,000 2,232,108
1.88%, 2/28/27   3,000 2,817
0.50%, 4/30/27   641,000 573,770
2.38%, 5/15/27   634,000 602,993
0.50%, 5/31/27   573,000 511,626
2.75%, 7/31/27   2,000 1,922
2.25%, 8/15/27(n)   2,642,000 2,494,729
3.13%, 8/31/27   5,000 4,863
0.38%, 9/30/27   808,000 710,724
4.13%, 10/31/27   37,000 37,231
0.63%, 11/30/27   10,000 8,836
3.88%, 11/30/27   2,184,000 2,178,796
3.88%, 12/31/27   31,000 30,939
    Par(a) Value
U.S. Treasury Notes (Continued)
3.50%, 1/31/28   $7,000 $6,891
4.00%, 2/29/28   12,000 12,034
3.50%, 4/30/28   51,000 50,181
4.13%, 7/31/28   255,000 257,421
4.38%, 8/31/28   20,000 20,404
1.25%, 9/30/28   87,000 77,277
4.88%, 10/31/28   247,000 257,420
3.13%, 11/15/28   340,000 328,791
1.38%, 12/31/28(f)   3,000 2,667
3.75%, 12/31/28   270,000 268,460
2.63%, 2/15/29   565,000 532,380
2.38%, 3/31/29(f)   87,000 80,862
2.38%, 5/15/29   565,000 524,479
3.88%, 9/30/29   1,320,800 1,318,014
4.00%, 10/31/29(n)   335,000 336,439
3.88%, 12/31/29(n)   6,120,000 6,106,373
3.50%, 1/31/30   61,000 59,649
1.50%, 2/15/30   896,000 780,955
4.00%, 2/28/30   17,000 17,074
3.75%, 5/31/30   872,000 863,621
4.00%, 7/31/30   146,000 146,656
4.13%, 8/31/30   40,000 40,456
4.63%, 9/30/30   10,000 10,407
4.88%, 10/31/30   2,381,300 2,513,760
3.75%, 12/31/30   11,000 10,888
4.00%, 1/31/31(f)   4,460,000 4,482,997
1.63%, 5/15/31   1,623,000 1,390,962
1.25%, 8/15/31   3,233,000 2,675,813
2.88%, 5/15/32   36,600 33,849
2.75%, 8/15/32   2,143,700 1,958,387
4.13%, 11/15/32   356,000 360,673
1.13%, 1/15/33   2,980,000 2,922,335
3.38%, 5/15/33   1,014,000 969,162
1.38%, 7/15/33(n)   758,300 746,884
3.88%, 8/15/33(f)   1,106,000 1,099,433
4.50%, 11/15/33   1,846,000 1,927,628
      71,174,060
Total U.S. Government Obligations
(Cost $122,337,974)
116,108,133
    
    Number
of Shares
 
Investment Companies – 29.0%
BlackRock Allocation Target Shares - BATS, Series A   6,455,775 60,555,165
iShares U.S. Treasury Bond ETF   6,282,837 144,505,251
 
77

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
    Number
of Shares
Value
Schwab Short-Term U.S. Treasury ETF   835,514 $40,631,046
Total Investment Companies
(Cost $250,242,069)
245,691,462
    
    Par(a)/Number
of Shares
 
Short-Term Investments – 5.3%
Corporate Bonds – 0.4%
AbbVie, Inc., 2.60%, 11/21/24   $490,000 479,762
American Express Co.,      
3.38%, 5/03/24   170,000 169,038
2.50%, 7/30/24   350,000 345,099
Becton Dickinson & Co., 3.36%, 6/06/24   7,000 6,943
Boeing (The) Co., 1.43%, 2/04/24   110,000 109,957
Bristol-Myers Squibb Co., 2.90%, 7/26/24(f)   62,000 61,270
Constellation Brands, Inc., 3.60%, 5/09/24   90,000 89,543
Continental Resources, Inc., 3.80%, 6/01/24   130,000 129,046
Goldman Sachs Group (The), Inc.,      
3.63%, 2/20/24   120,000 119,870
3.85%, 7/08/24   30,000 29,783
(SOFR + 0.51%), 5.86%, 9/10/24(c)   561,000 560,588
International Business Machines Corp., 3.00%, 5/15/24   410,000 407,098
Kinder Morgan Energy Partners L.P., 4.25%, 9/01/24   10,000 9,920
Las Vegas Sands Corp., 3.20%, 8/08/24   100,000 98,563
Northrop Grumman Corp., 2.93%, 1/15/25   40,000 39,209
Occidental Petroleum Corp., 6.95%, 7/01/24   4,000 4,016
RTX Corp., 3.15%, 12/15/24   50,000 49,063
Sprint LLC, 7.13%, 6/15/24   898,000 901,862
      3,610,630
Foreign Issuer Bonds – 0.2%
Credit Suisse A.G.,      
4.75%, 8/09/24   306,000 304,346
7.95%, 1/09/25   370,000 378,595
    Par(a)/Number
of Shares
Value
Foreign Issuer Bonds (Continued)
Glencore Funding LLC, 4.13%, 3/12/24(b)   $330,000 $329,441
Kenbourne Invest S.A., 6.88%, 11/26/24(b)(f)   203,000 147,175
Mexico Cetes, 0.00%, 11/28/24(r) MXN 51,700,000 274,806
Petroleos Mexicanos, 7.19%, 9/12/24   403,000 22,511
      1,456,874
Money Market Funds – 3.7%
Northern Institutional Funds - Liquid Assets Portfolio (Shares), 5.37%(s)(t)   15,233,802 15,233,802
Northern Institutional Funds - Treasury Portfolio (Premier), 5.17%(s)   16,284,526 16,284,526
      31,518,328
Mortgage-Backed Securities – 0.0%(g)
CSMC, Series 2022-NWPT, Class A, (1M CME Term SOFR + 3.14%, 3.14% Floor), 8.48%, 9/09/24(b)(c)   100,000 100,562
U.S. Government Obligations – 0.8%
U.S. Treasury Notes,      
2.50%, 4/30/24   142,000 141,018
1.75%, 7/31/24   683,000 671,768
2.13%, 7/31/24(f)   404,000 398,082
3.00%, 7/31/24   314,000 310,737
3.25%, 8/31/24(f)   595,000 588,562
4.25%, 9/30/24   185,000 184,090
4.38%, 10/31/24   143,000 142,430
4.50%, 11/30/24   128,000 127,575
1.75%, 12/31/24(n)   2,933,000 2,853,603
4.25%, 12/31/24(f)   919,000 914,477
      6,332,342
U.S. Treasury Bills – 0.2%
U.S. Treasury Bills,      
5.06%, 4/25/24(u)   1,110,000 1,096,519
4.94%, 5/28/24(u)   820,000 806,206
      1,902,725
Total Short-Term Investments
(Cost $45,098,985)
44,921,461
    
 
78

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Number of
Contracts
Notional
Amount
Value
Purchased Options – 0.1%
Call Options - Exchange Traded – 0.1%
10-Year U.S. Treasury Note Future, Strike Price USD 102.50, Expires 2/23/24 8 $1,645,250 $1,625
10-Year U.S. Treasury Note Future, Strike Price USD 111.75, Expires 2/23/24 19 2,134,234 19,891
10-Year U.S. Treasury Note Future, Strike Price USD 112.00, Expires 2/23/24 53 5,953,391 47,203
10-Year U.S. Treasury Note Future, Strike Price USD 112.25, Expires 2/23/24 26 2,920,531 19,906
10-Year U.S. Treasury Note Future, Strike Price USD 112.50, Expires 2/23/24 34 3,819,156 21,782
3-Month SOFR Future, Strike Price USD 94.94, Expires 3/15/24 334 79,254,025 52,188
5-Year U.S. Treasury Note Future, Strike Price USD 107.75, Expires 2/23/24 28 3,034,937 25,156
5-Year U.S. Treasury Note Future, Strike Price USD 108.00, Expires 2/23/24 37 4,010,452 27,461
5-Year U.S. Treasury Note Future, Strike Price USD 108.25, Expires 2/23/24 53 6,282,090 31,883
5-Year U.S. Treasury Note Future, Strike Price USD 108.50, Expires 2/23/24 17 1,842,640 8,234
      255,329
Call Options - Over the Counter – 0.0%(g)
Chinese Yuan vs. U.S. Dollar, Strike Price CNH 1.13, Expires 4/05/24, Counterparty: Standard Chartered Bank 1 93,000 445
Chinese Yuan vs. U.S. Dollar, Strike Price CNH 7.50, Expires 10/23/24, Counterparty: Barclays 1 14,000 1,422
      1,867
Number of
Contracts
Notional
Amount
Value
Call Swaptions - Over the Counter – 0.0%(g)
Pay 1-Day USD SOFR (Annually); Receive 4.24% (Semi-Annually): Interest Rate Swap Maturing 3/28/29, Strike Price USD 4.24, Expires 3/26/24, Counterparty: Citibank 1 $6,751,000 $204,174
Put Options - Exchange Traded – 0.0%(g)
10-Year U.S. Treasury Note Future, Strike Price USD 110.75, Expires 2/02/24 442 49,649,031 6,908
3-Month SOFR Future, Strike Price USD 94.50, Expires 3/15/24 121 28,711,787 756
3-Month SOFR Future, Strike Price USD 94.75, Expires 4/12/24 121 28,855,475 2,269
3-Month SOFR Future, Strike Price USD 95.25, Expires 5/10/24 135 32,194,125 38,813
3-Month SOFR Future, Strike Price USD 95.81, Expires 12/13/24 57 13,704,938 38,475
3-Month SOFR Future, Strike Price USD 96.00, Expires 12/13/24 73 17,551,938 65,244
      152,465
Put Options - Over the Counter – 0.0%(g)
Brazilian Real vs. U.S. Dollar, Strike Price BRL 1.13, Expires 6/03/24, Counterparty: Bank of America 1 93,000 209
Polish Zloty vs. Euro, Strike Price PLN $4.28, Expires 2/02/24, Counterparty: Bank of America 2 8,000 96
South Korean Won vs. U.S. Dollar, Strike Price KRW $1,280.00, Expires 2/22/24, Counterparty: Goldman Sachs 1 47,000 26
U.S. Dollar vs. Euro, Strike Price USD 1.05, Expires 3/27/24, Counterparty: Bank of America 1 8,000(v) 1,195
      1,526
 
79

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Number of
Contracts
Notional
Amount
Value
Put Swaptions - Over the Counter – 0.0%(g)
Pay 2.83% (Annually); Receive 6M EUR EURIBOR (Semi-Annually): Interest Rate Swap Maturing 3/14/34, Strike Price EUR 2.83, Expires 3/12/24, Counterparty: JPMorgan Chase 1 $5,473,000 $15,094
Pay 4.24% (Semi-Annually); Receive 1-Day USD SOFR (Annually): Interest Rate Swap Maturing 3/28/29, Strike Price USD 4.24, Expires 3/26/24, Counterparty: Citibank 1 6,751,000 4,720
      19,814
Total Purchased Options
(Premiums Paid $867,930)
635,175
    
Total Long Positions108.8%
(Cost $958,052,364)
922,313,590
    
    Par(a) Value
Short Positions – (2.9)%(w)
Mortgage-Backed Securities – (2.9)%
Uniform Mortgage-Backed Securities – (2.7)%
Pool,      
2.50%, 2/01/53(m)   (2,846,400) (2,393,358)
3.50%, 2/01/53(m)   (1,900,000) (1,729,141)
4.00%, 2/01/53 - 3/01/53(m)   (9,969,300) (9,385,248)
6.00%, 2/01/54(m)   (790,700) (801,526)
6.50%, 2/01/54 - 3/01/54(m)   (8,431,300) (8,629,968)
      (22,939,241)
    Par(a) Value
Government National Mortgage Association – (0.2)%
Pool,      
3.50%, 2/01/54(m)   $(1,000,000) $(922,418)
4.50%, 2/01/54(m)   (1,161,000) (1,130,319)
      (2,052,737)
Total Mortgage-Backed Securities
(Proceeds $24,913,670)
(24,991,978)
Total Written Options(0.2)%
(Premiums Received $1,504,827)
(1,254,172)
Liabilities less Other Assets – (5.7)%(x) (48,046,663)
NET ASSETS – 100.0% $848,020,777
Percentages shown are based on Net Assets.
 
 
80

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
(a) Par value is in USD unless otherwise indicated.
(b) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(c) Variable or floating rate security. Rate as of January 31, 2024 is disclosed.
(d) Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. Rate as of January 31, 2024 is disclosed.
(e) Step coupon bond. Rate as of January 31, 2024 is disclosed.
(f) Security either partially or fully on loan. As of January 31, 2024, the total value of securities on loan is $26,656,462.
(g) Amount rounds to less than 0.05%.
(h) Variable rate security. Security issued at a fixed coupon rate, which converts to a variable rate at a future date. Rate as of January 31, 2024 is disclosed.
(i) Investment is valued using significant unobservable inputs (Level 3).
(j) Century bond maturing in 2120.
(k) These securities are remarketed by an agent, and the interest rate is determined by general market conditions and supply and demand.
(l) Perpetual bond. Maturity date represents next call date.
(m) When-Issued Security. Coupon rate was not yet in effect at January 31, 2024.
(n) All or a portion of the security was held as collateral for open futures, options, securities sold short and/or swap agreements.
(o) Century bond maturing in 2112.
(p) Unfunded loan commitment. As of January 31, 2024, total value of unfunded loan commitment is $99.
(q) Position is unsettled. Contract rate was not determined at January 31, 2024 and does not take effect until settlement date.
(r) Zero coupon bond.
(s) 7-day current yield as of January 31, 2024 is disclosed.
(t) Security purchased with the cash proceeds from securities loaned. As of January 31, 2024, total cash collateral has a value of $15,233,802 and total non-cash collateral has a value of $11,946,695.
(u) Discount rate at the time of purchase.
(v) The notional amount is EUR.
(w) Securities sold short are not owned by the Fund.
(x) Includes appreciation/(depreciation) on forward foreign currency exchange, futures, swap and written options contracts.
    
Abbreviations:
    
1M 1 Month
1Y 1 Year
3M 3 Month
5Y 5 Year
6M 6 Month
12MTA 12 Month Treasury Average
30D 30 Day
AUD Australian Dollar
BANXICO Banco de Mexico
BATS Better Alternative Trading System
BRL Brazilian Real
BTP Buoni del Tesoro Poliennali
BZDIO Brazil Interbank Rate
CAD Canadian Dollar
CDO Collateralized Debt Obligation
CDX Credit Default Swap Index
CLICP Sinacofi Chile Interbank Rate
CLO Collateralized Loan Obligation
CME Chicago Mercantile Exchange
CMT Constant Maturity
CNH Chinese Yuan Renminbi
COOVI Columbian Overnight Index Average
COP Colombian Peso
CZK Czech Republic Koruna
81

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
ESTR Euro Short Term Rate
ETF Exchange-Traded Fund
EUR Euro
EURIBOR Euro Interbank Offered Rate
FNMA Federal National Mortgage Association
Freddie Mac Federal Home Loan Mortgage Corporation
GBP British Pound
GO Government Obligation
IBA ICE Benchmark Administration
ICE Intercontinental Exchange
IDR Indonesian Rupiah
IO Interest Only
JSC Joint Stock Company
KRW South Korean Won
KSDA Korea Securities Dealers Association
L.P. Limited Partnership
LIBOR London Interbank Offered Rate
LLC Limited Liability Company
MSCI Morgan Stanley Capital International
MTA Metropolitan Transportation Authority
MXN Mexican Peso
PLC Public Limited Company
PLN Polish Zloty
PRBOR Prague Interbank Offered Rate
REIT Real Estate Investment Trust
REMIC Real Estate Mortgage Investment Conduit
RUB Russian Ruble
SOFR United States Secured Overnight Financing Rate
SONIA Sterling Overnight Index Average
STACR Structured Agency Credit Risk
Strip Separate Trading of Registered Interest and Principal
TIIE Tasa de Interés Interbancaria de Equilibrio
TRB Tax Revenue Bonds
USD United States Dollar
WIBOR Warsaw Interbank Offered Rate
ZAR South African Rand
82

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Futures Contracts outstanding at January 31, 2024:
Exchange Traded
           
Description Number of
Contracts
Expiration
Date
Trading
Currency
Notional
Amount
Value/
Unrealized
Appreciation
(Depreciation)
Long Contracts          
Euro-BTP Italian Government Bond 5 3/07/2024 EUR 642,908 $(29)
10-Year Australian Treasury Bond 4 3/15/2024 AUD 304,742 7,354
U.S. Treasury Long Bond 120 3/19/2024 USD 14,681,249 160,095
Ultra U.S. Treasury Bond 177 3/19/2024 USD 22,871,719 828,955
5-Year U.S. Treasury Note 627 3/28/2024 USD 67,960,922 393,433
CME 3-Month SOFR 112 3/18/2025 USD 26,929,000 120,250
3-Month SONIA 1 3/19/2025 GBP 304,184 (396)
3-Month Euro-Euribor 6 12/15/2025 EUR 1,588,062 632
CME 3-Month SOFR 240 3/17/2026 USD 58,080,000 399,963
Total Long Contracts         $1,910,257
Short Contracts          
30-Year Euro Buxl (3) 3/07/2024 EUR 445,983 $(6,733)
Euro-Bund (25) 3/07/2024 EUR 3,670,328 (23,472)
Euro-Bobl (7) 3/11/2024 EUR 896,668 (443)
10-Year Canadian Government Bond (19) 3/19/2024 CAD 1,719,461 (48,849)
10-Year U.S. Treasury Note (56) 3/19/2024 USD 6,290,375 (35,517)
CME 3-Month SOFR (136) 3/19/2024 USD 32,179,300 33,501
Ultra 10-Year U.S. Treasury Note (51) 3/19/2024 USD 5,960,625 (195,102)
2-Year U.S. Treasury Note (105) 3/28/2024 USD 21,593,906 (19,718)
CME 3-Month SOFR (30) 6/18/2024 USD 7,118,625 (21,904)
CME 3-Month SOFR (1) 9/17/2024 USD 238,475 (1,063)
Total Short Contracts         $(319,300)
          $1,590,957
    
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024:
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
             
3/21/24 U.S. Dollars 599,692 Japanese Yen 85,000,000 Morgan Stanley $17,566
3/20/24 U.S. Dollars 1,091,871 Euro 995,000 Morgan Stanley 14,327
3/20/24 U.S. Dollars 904,182 Euro 822,000 State Street 13,991
3/21/24 Euro 274,698 Japanese Yen 42,000,000 Bank of America 9,861
3/20/24 U.S. Dollars 925,627 Euro 847,000 RBS 8,360
3/20/24 U.S. Dollars 546,045 Euro 497,000 BNY Mellon 7,815
3/21/24 U.S. Dollars 300,819 Japanese Yen 43,000,000 Goldman Sachs 6,332
3/21/24 Euro 277,720 Japanese Yen 43,000,000 UBS 6,285
83

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024: (continued)
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
3/21/24 Euro 169,948 Japanese Yen 26,000,000 Deutsche Bank $5,992
2/22/24 U.S. Dollars 703,185 Mexican Pesos 12,046,476 Goldman Sachs 5,914
8/15/24 Colombian Pesos 329,926,000 U.S. Dollars 76,319 Morgan Stanley 5,431
3/20/24 U.S. Dollars 895,104 Euro 822,000 Toronto-Dominion Bank 4,911
8/15/24 Colombian Pesos 234,306,720 U.S. Dollars 54,186 BNP Paribas 3,871
10/23/24 Colombian Pesos 728,359,000 U.S. Dollars 175,092 BNP Paribas 3,553
3/20/24 British Pounds 241,884 Euro 280,000 Morgan Stanley 3,430
3/20/24 U.S. Dollars 349,168 Euro 320,000 Barclays 2,622
4/19/24 U.S. Dollars 194,567 Indonesian Rupiahs 3,032,514,930 Bank of America 2,599
3/21/24 U.S. Dollars 152,848 Japanese Yen 22,000,000 Toronto-Dominion Bank 2,180
3/21/24 U.S. Dollars 77,053 Japanese Yen 11,000,000 Deutsche Bank 1,719
3/04/24 U.S. Dollars 89,614 Czech Republic Koruna 2,028,081 Toronto-Dominion Bank 1,423
3/21/24 Japanese Yen 46,000,000 Euro 289,616 UBS 1,378
2/22/24 Colombian Pesos 298,408,000 U.S. Dollars 75,000 Citibank 1,315
3/20/24 U.S. Dollars 393,296 Euro 362,000 UBS 1,265
2/02/24 U.S. Dollars 93,075 Euro 85,000 BNP Paribas 1,216
2/22/24 U.S. Dollars 161,044 Polish Zloty 640,167 Citibank 1,209
8/15/24 Colombian Pesos 91,119,280 U.S. Dollars 21,393 Barclays 1,185
3/04/24 U.S. Dollars 66,710 Czech Republic Koruna 1,507,339 Bank of America 1,164
3/20/24 U.S. Dollars 152,701 Euro 140,000 Deutsche Bank 1,087
2/02/24 U.S. Dollars 102,000 Brazilian Reals 500,973 Morgan Stanley 883
3/04/24 U.S. Dollars 96,276 Czech Republic Koruna 2,196,159 HSBC 777
2/22/24 U.S. Dollars 61,000 Taiwan Dollars 1,880,362 Citibank 744
2/22/24 Colombian Pesos 141,274,000 British Pounds 28,000 Morgan Stanley 638
4/22/24 U.S. Dollars 118,828 Euro 109,000 Deutsche Bank 619
2/22/24 U.S. Dollars 32,000 Czech Republic Koruna 721,974 Barclays 598
3/20/24 U.S. Dollars 76,400 Euro 70,000 BNP Paribas 593
2/22/24 Japanese Yen 6,907,803 Euro 43,000 Barclays 588
3/20/24 U.S. Dollars 184,687 Euro 170,000 JPMorgan Chase 584
3/04/24 Czech Republic Koruna 727,964 U.S. Dollars 31,074 HSBC 581
2/22/24 U.S. Dollars 43,850 Euro 40,000 Morgan Stanley 581
2/22/24 U.S. Dollars 92,418 Euro 85,000 RBS 471
2/22/24 U.S. Dollars 19,000 Hungarian Forints 6,615,245 Citibank 417
2/22/24 South African Rand 615,857 Euro 30,000 State Street 380
3/20/24 U.S. Dollars 68,810 Canadian Dollars 92,000 Morgan Stanley 337
2/22/24 U.S. Dollars 56,777 Australian Dollars 86,000 Barclays 314
84

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024: (continued)
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
2/02/24 U.S. Dollars 32,000 Brazilian Reals 157,104 Citibank $290
2/22/24 Mexican Pesos 643,877 U.S. Dollars 37,000 Morgan Stanley 268
3/20/24 Colombian Pesos 53,331,236 U.S. Dollars 13,307 Barclays 267
1/27/25 U.S. Dollars 91,000 Chinese Offshore Yuan 637,637 Morgan Stanley 267
2/22/24 Hungarian Forints 10,097,880 Euro 26,000 UBS 241
2/02/24 U.S. Dollars 19,000 Brazilian Reals 93,399 BNP Paribas 148
2/22/24 U.S. Dollars 27,977 South African Rand 522,051 BNP Paribas 146
2/22/24 Japanese Yen 4,127,567 U.S. Dollars 28,000 BNP Paribas 144
3/04/24 U.S. Dollars 16,000 Brazilian Reals 78,787 Morgan Stanley 143
2/22/24 Australian Dollars 43,047 Euro 26,000 Goldman Sachs 137
2/22/24 Mexican Pesos 330,258 U.S. Dollars 19,000 Barclays 116
2/22/24 Australian Dollars 43,000 U.S. Dollars 28,116 Barclays 115
2/22/24 U.S. Dollars 54,000 Chinese Offshore Yuan 386,914 Barclays 110
3/20/24 Euro 360,000 U.S. Dollars 389,756 Morgan Stanley 109
3/20/24 Euro 140,000 U.S. Dollars 151,510 Barclays 104
3/20/24 Colombian Pesos 102,903,288 U.S. Dollars 26,104 Citibank 86
2/22/24 U.S. Dollars 27,966 British Pounds 22,000 Deutsche Bank 80
2/22/24 U.S. Dollars 27,115 Euro 25,000 JPMorgan Chase 72
2/22/24 British Pounds 37,000 U.S. Dollars 46,840 BNP Paribas 59
2/22/24 Japanese Yen 1,317,611 Canadian Dollars 12,000 Barclays 56
3/14/24 U.S. Dollars 6,903 Euro 6,351 BNY Mellon 28
2/22/24 South African Rand 628,826 U.S. Dollars 33,500 State Street 23
2/22/24 U.S. Dollars 19,036 British Pounds 15,000 BNP Paribas 23
2/22/24 Indian Rupees 4,158,450 U.S. Dollars 50,000 Deutsche Bank 22
2/22/24 Chilean Pesos 8,386,560 U.S. Dollars 9,000 Citibank 3
Total Unrealized Appreciation $150,163
             
2/22/24 U.S. Dollars 6,500 South African Rand 122,044 Deutsche Bank $(6)
3/20/24 Euro 100,000 U.S. Dollars 108,310 Toronto-Dominion Bank (14)
2/22/24 Canadian Dollars 12,000 Japanese Yen 1,311,772 UBS (16)
2/22/24 Canadian Dollars 49,697 U.S. Dollars 37,000 HSBC (25)
2/22/24 U.S. Dollars 37,000 Canadian Dollars 49,766 Barclays (26)
2/22/24 U.S. Dollars 9,000 Chilean Pesos 8,423,913 BNP Paribas (43)
2/22/24 U.S. Dollars 28,000 Japanese Yen 4,113,058 Barclays (45)
2/22/24 U.S. Dollars 37,000 Japanese Yen 5,433,542 BNP Paribas (49)
2/22/24 Mexican Pesos 327,171 U.S. Dollars 19,000 Barclays (63)
2/22/24 Euro 34,000 Mexican Pesos 636,617 Toronto-Dominion Bank (70)
2/02/24 U.S. Dollars 19,000 Brazilian Reals 94,535 Citibank (81)
85

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024: (continued)
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
2/22/24 U.S. Dollars 28,000 Chilean Pesos 26,173,000 Morgan Stanley $(97)
3/04/24 Brazilian Reals 138,600 U.S. Dollars 28,000 Citibank (104)
2/22/24 Mexican Pesos 481,629 U.S. Dollars 28,000 Citibank (122)
2/22/24 British Pounds 34,000 U.S. Dollars 43,220 RBS (124)
2/02/24 Brazilian Reals 187,627 U.S. Dollars 38,000 BNP Paribas (129)
2/22/24 Mexican Pesos 325,975 U.S. Dollars 19,000 BNP Paribas (132)
2/22/24 U.S. Dollars 56,000 Mexican Pesos 970,004 Goldman Sachs (146)
2/22/24 Norwegian Kroner 487,370 Euro 43,000 State Street (148)
2/22/24 Hungarian Forints 6,707,262 U.S. Dollars 19,000 Goldman Sachs (159)
2/02/24 Brazilian Reals 137,886 U.S. Dollars 28,000 Citibank (169)
2/22/24 U.S. Dollars 28,000 South Korean Won 37,592,800 Citibank (204)
1/27/25 Chinese Yuan Renminbi 636,090 U.S. Dollars 91,000 Morgan Stanley (205)
2/22/24 Chilean Pesos 17,505,650 U.S. Dollars 19,000 Citibank (208)
3/20/24 Euro 140,000 U.S. Dollars 151,837 UBS (223)
2/06/24 U.S. Dollars 21,601 Euro 20,216 Toronto-Dominion Bank (253)
2/22/24 Hungarian Forints 11,458,226 Euro 30,000 BNP Paribas (264)
3/20/24 Euro 210,000 U.S. Dollars 227,693 JPMorgan Chase (272)
2/06/24 Euro 20,216 U.S. Dollars 22,128 Nomura (274)
2/22/24 Euro 43,000 Japanese Yen 6,869,103 UBS (324)
2/22/24 Hungarian Forints 6,647,464 U.S. Dollars 19,000 Bank of America (327)
3/20/24 Euro 100,000 U.S. Dollars 108,678 Barclays (382)
2/22/24 Chilean Pesos 18,264,489 U.S. Dollars 20,000 Goldman Sachs (393)
2/22/24 Polish Zloty 254,715 U.S. Dollars 64,000 Goldman Sachs (403)
2/22/24 Euro 60,000 Polish Zloty 261,580 HSBC (408)
2/22/24 Polish Zloty 254,611 U.S. Dollars 64,000 Morgan Stanley (429)
12/04/24 Turkish Lira 645,344 U.S. Dollars 16,118 Barclays (469)
2/22/24 U.S. Dollars 19,000 South African Rand 365,601 UBS (491)
3/20/24 U.S. Dollars 151,118 Euro 140,000 HSBC (496)
2/22/24 Japanese Yen 5,352,939 U.S. Dollars 37,000 Barclays (500)
3/20/24 U.S. Dollars 151,033 Euro 140,000 RBS (581)
2/22/24 Chilean Pesos 24,602,940 U.S. Dollars 27,000 Morgan Stanley (589)
2/22/24 South Korean Won 64,456,560 U.S. Dollars 49,000 JPMorgan Chase (642)
2/22/24 Hungarian Forints 11,501,612 U.S. Dollars 33,000 Barclays (691)
2/22/24 U.S. Dollars 61,000 Colombian Pesos 241,529,500 Toronto-Dominion Bank (769)
2/22/24 Euro 68,000 British Pounds 58,642 HSBC (773)
2/22/24 Thai Baht 3,372,240 U.S. Dollars 96,000 Barclays (780)
2/22/24 U.S. Dollars 47,000 Colombian Pesos 186,899,000 Citibank (798)
2/22/24 U.S. Dollars 47,000 Colombian Pesos 187,201,000 Standard Chartered Bank (875)
86

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024: (continued)
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
2/22/24 Japanese Yen 12,482,900 U.S. Dollars 86,000 Toronto-Dominion Bank $(884)
2/22/24 Australian Dollars 123,000 U.S. Dollars 81,639 UBS (885)
3/04/24 Brazilian Reals 502,268 U.S. Dollars 102,000 Morgan Stanley (909)
3/20/24 U.S. Dollars 89,378 Colombian Pesos 354,981,249 Barclays (969)
2/22/24 Malaysian Ringgit 315,744 U.S. Dollars 68,000 Barclays (1,022)
2/22/24 Mexican Pesos 1,606,326 U.S. Dollars 94,000 State Street (1,023)
2/22/24 Indonesian Rupiahs 1,463,862,000 U.S. Dollars 94,000 Citibank (1,234)
2/02/24 Brazilian Reals 518,932 U.S. Dollars 106,000 Morgan Stanley (1,259)
3/20/24 U.S. Dollars 34,400 Colombian Pesos 140,564,943 JPMorgan Chase (1,376)
3/20/24 Indonesian Rupiahs 1,715,949,628 U.S. Dollars 110,250 Citibank (1,552)
2/05/24 U.S. Dollars 134,532 South African Rand 2,549,322 Toronto-Dominion Bank (1,573)
3/20/24 Euro 210,000 U.S. Dollars 229,548 Standard Chartered Bank (2,127)
12/04/24 Turkish Lira 1,498,656 U.S. Dollars 38,542 Goldman Sachs (2,202)
3/21/24 Japanese Yen 21,000,000 U.S. Dollars 146,266 HSBC (2,447)
3/20/24 Euro 280,000 British Pounds 241,422 BNP Paribas (2,844)
3/20/24 U.S. Dollars 181,704 Colombian Pesos 728,359,000 BNP Paribas (3,675)
3/21/24 Japanese Yen 25,000,000 Euro 162,651 Goldman Sachs (4,938)
3/21/24 Japanese Yen 33,000,000 U.S. Dollars 231,250 Goldman Sachs (5,248)
3/20/24 Euro 570,000 U.S. Dollars 622,719 Morgan Stanley (5,433)
3/20/24 U.S. Dollars 175,037 Colombian Pesos 713,799,775 Goldman Sachs (6,636)
3/20/24 U.S. Dollars 174,940 Colombian Pesos 713,799,776 Toronto-Dominion Bank (6,733)
3/21/24 Japanese Yen 42,000,000 U.S. Dollars 294,818 Barclays (7,179)
3/21/24 Japanese Yen 65,000,000 U.S. Dollars 461,748 Deutsche Bank (16,592)
3/21/24 Japanese Yen 86,000,000 Euro 559,508 Barclays (16,975)
Total Unrealized Depreciation $(110,506)
Net Unrealized Appreciation $39,657
    
Written Call Option Contracts outstanding at January 31, 2024:
Exchange Traded
             
Description Number of
Contracts
Notional
Amount
Exercise
Price
Expiration
Date
Value
10-Year U.S. Treasury Note Future 2 USD 411,313 104.50 2/23/2024 $(31)
10-Year U.S. Treasury Note Future 4 USD 822,625 103.25 2/23/2024 (813)
10-Year U.S. Treasury Note Future 9 USD 1,010,953 116.50 2/23/2024 (281)
10-Year U.S. Treasury Note Future 27 USD 3,032,859 113.25 2/23/2024 (10,125)
10-Year U.S. Treasury Note Future 38 USD 4,268,469 112.75 2/23/2024 (20,188)
10-Year U.S. Treasury Note Future 58 USD 6,515,031 116.00 2/23/2024 (2,719)
87

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Written Call Option Contracts outstanding at January 31, 2024:
Exchange Traded(continued)
             
Description Number of
Contracts
Notional
Amount
Exercise
Price
Expiration
Date
Value
3-Month SOFR 1-Year Mid Curve Future 167 USD 39,627,012 96.50 3/15/2024 $(79,325)
3-Month SOFR Future 73 USD 17,551,937 97.13 12/13/2024 (33,762)
5-Year U.S. Treasury Note Future 28 USD 3,034,937 109.25 2/23/2024 (6,563)
5-Year U.S. Treasury Note Future 45 USD 4,877,577 109.00 2/23/2024 (13,711)
5-Year U.S. Treasury Note Future 51 USD 5,527,921 109.50 2/23/2024 (9,562)
U.S. Treasury Long Bond Future 12 USD 1,468,126 122.00 2/23/2024 (19,313)
Total Written Call Options Contracts (Premiums Received $205,199) $(196,393)
    
Written Put Option Contracts outstanding at January 31, 2024:
Exchange Traded
             
Description Number of
Contracts
Notional
Amount
Exercise
Price
Expiration
Date
Value
10-Year U.S. Treasury Note Future 27 USD 3,032,859 111.00 2/2/2024 $(422)
10-Year U.S. Treasury Note Future 442 USD 49,649,031 110.00 2/2/2024 (442)
3-Month SOFR 1-Year Mid Curve Future 57 USD 13,704,938 96.25 12/13/2024 (34,556)
3-Month SOFR Future 135 USD 32,194,125 94.88 5/10/2024 (5,906)
3-Month SOFR Future 135 USD 32,194,125 95.06 5/10/2024 (16,031)
3-Month SOFR Future 73 USD 17,551,938 95.50 12/13/2024 (27,832)
Total Written Put Options Contracts (Premiums Received $161,856) $(85,189)
    
Written Call Option Contracts outstanding at January 31, 2024:
Over the Counter
                 
Description Counterparty Number of
Contracts
Notional
Amount
Exercise
Price
Expiration
Date
Value
Chinese Yuan vs. U.S. Dollar Standard Chartered Bank 1 USD 139,000 CNH 7.26 4/5/2024 $(360)
South Korean Won vs. U.S. Dollar Goldman Sachs 1 USD 47,000 KRW 1,330.00 2/22/2024 (460)
Total Written OTC Call Options Contracts (Premiums Received $653) $(820)
    
Written Call Interest Rate Swaption Contracts outstanding at January 31, 2024:
Over the Counter
               
Description Pay Rate Index/
Pay Rate
Receive Rate Index/
Receive Rate
Counterparty Expiration
Date
Exercise
Rate
Notional
Amount
Value
Interest Rate Swap Maturing 10/22/2035 4.48% (Semi-Annually) 1-Day USD SOFR (Annually) JPMorgan Chase 10/20/2025 4.48% 254,486 $(23,893)
Interest Rate Swap Maturing 11/18/2029 3.90% (Semi-Annually) 1-Day USD SOFR (Annually) Deutsche Bank 11/14/2024 3.90 4,599,034 (144,803)
88

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Written Call Interest Rate Swaption Contracts outstanding at January 31, 2024:
Over the Counter(continued)
               
Description Pay Rate Index/
Pay Rate
Receive Rate Index/
Receive Rate
Counterparty Expiration
Date
Exercise
Rate
Notional
Amount
Value
Interest Rate Swap Maturing 11/19/2035 3.96% (Semi-Annually) 1-Day USD SOFR (Annually) Deutsche Bank 11/17/2025 3.96% 162,744 $(10,393)
Interest Rate Swap Maturing 11/19/2035 4.00% (Semi-Annually) 1-Day USD SOFR (Annually) Bank of America 11/17/2025 4.00 465,776 (30,832)
Interest Rate Swap Maturing 11/24/2035 3.97% (Semi-Annually) 1-Day USD SOFR (Annually) Citibank 11/20/2025 3.97 392,500 (25,263)
Interest Rate Swap Maturing 12/02/2035 3.84% (Semi-Annually) 1-Day USD SOFR (Annually) Bank of America 11/28/2025 3.84 333,455 (19,351)
Interest Rate Swap Maturing 12/02/2035 3.96% (Semi-Annually) 1-Day USD SOFR (Annually) Citibank 11/28/2025 3.96 310,954 (19,897)
Interest Rate Swap Maturing 12/15/2035 3.71% (Annually) 1-Day USD SOFR (Annually) Bank of America 12/11/2025 3.71 54,399 (2,897)
Interest Rate Swap Maturing 12/17/2035 3.40% (Annually) 1-Day USD SOFR (Annually) Morgan Stanley 12/15/2025 3.40 125,736 (5,000)
Interest Rate Swap Maturing 3/18/2029 3.96% (Semi-Annually) 1-Day USD SOFR (Annually) Barclays 3/14/2024 3.96 350,500 (123,615)
Interest Rate Swap Maturing 6/14/2029 3.75% (Annually) 1-Day USD SOFR (Annually) Citibank 6/12/2024 3.75 16,876,250 (329,338)
Total Written OTC Call Swaptions Contracts (Premiums Received $563,819) $(735,282)
    
Written Put Interest Rate Swaption Contracts outstanding at January 31, 2024:
Over the Counter
                 
Description Pay Rate Index/
Pay Rate
Receive Rate Index/
Receive Rate
Counterparty Expiration
Date
Exercise
Rate
Notional
Amount
Value
Interest Rate Swap Maturing 10/22/2035 1-Day USD SOFR (Annually) 4.48% (Semi-Annually) JPMorgan Chase 10/20/2025 4.48% USD 254,486 $(4,497)
Interest Rate Swap Maturing 11/18/2029 1-Day USD SOFR (Annually) 3.90% (Semi-Annually) Deutsche Bank 11/14/2024 3.90 USD 4,599,034 (40,786)
Interest Rate Swap Maturing 11/19/2035 1-Day USD SOFR (Annually) 3.96% (Semi-Annually) Deutsche Bank 11/17/2025 3.96 USD 162,744 (4,745)
Interest Rate Swap Maturing 11/19/2035 1-Day USD SOFR (Annually) 4.00% (Semi-Annually) Bank of America 11/17/2025 4.00 USD 465,776 (13,071)
Interest Rate Swap Maturing 11/24/2035 1-Day USD SOFR (Annually) 3.97% (Semi-Annually) Citibank 11/20/2025 3.97 USD 392,500 (11,398)
Interest Rate Swap Maturing 12/02/2035 1-Day USD SOFR (Annually) 3.96% (Semi-Annually) Citibank 11/28/2025 3.96 USD 310,954 (9,171)
Interest Rate Swap Maturing 12/02/2035 1-Day USD SOFR (Annually) 3.84% (Semi-Annually) Bank of America 11/28/2025 3.84 USD 333,455 (10,871)
89

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Written Put Interest Rate Swaption Contracts outstanding at January 31, 2024:
Over the Counter(continued)
                 
Description Pay Rate Index/
Pay Rate
Receive Rate Index/
Receive Rate
Counterparty Expiration
Date
Exercise
Rate
Notional
Amount
Value
Interest Rate Swap Maturing 12/15/2035 1-Day USD SOFR (Annually) 3.71% (Annually) Bank of America 12/11/2025 3.71% USD 54,399 $(1,978)
Interest Rate Swap Maturing 12/17/2035 1-Day USD SOFR (Annually) 3.40% (Annually) Morgan Stanley 12/15/2025 3.40 USD 125,736 (5,924)
Interest Rate Swap Maturing 3/14/2034 6M EUR EURIBOR (Semi-Annually) 3.23% (Annually) JPMorgan Chase 3/12/2024 3.23 EUR 5,473,000 (1,864)
Interest Rate Swap Maturing 3/18/2029 1-Day USD SOFR (Annually) 3.96% (Semi-Annually) Barclays 3/14/2024 3.96 USD 6,750,500 (11,365)
Interest Rate Swap Maturing 5/02/2029 6M EUR EURIBOR (Semi-Annually) 2.85% (Annually) JPMorgan Chase 4/29/2024 2.85 EUR 260,000 (641)
Interest Rate Swap Maturing 6/14/2029 1-Day USD SOFR (Annually) 3.75% (Annually) Citibank 6/12/2024 3.75 USD 16,876,250 (120,177)
Total Written OTC Put Swaptions Contracts (Premiums Received $573,300) $(236,488)
    
Interest Rate Swap Contracts outstanding at January 31, 2024:
Centrally Cleared
               
Pay Rate Index/
Pay Rate
Receive Rate Index/
Receive Rate
Maturity
Date
  Notional
Amount
Value Upfront
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
11.25% (Monthly) 28-Day MXN-TIIE-BANXICO (Monthly) 11/7/2024 MXN 8,134,000 $(794) $$(794)
10.95% (Monthly) 28-Day MXN-TIIE-BANXICO (Monthly) 12/3/2024 MXN 8,842,000 (115) (115)
10.76% (Monthly) 28-Day MXN-TIIE-BANXICO (Monthly) 1/23/2025 MXN 4,537,000 79 79
4.68% (Quarterly) 3M CZK PRBOR (Quarterly) 3/20/2025 CZK 6,582,000 (459) (459)
5.14% (Semi-Annually) 6M PLN WIBOR (Semi-Annually) 12/20/2025 PLN 456,000 10 10
1-Day GBP SONIA Rate (At Maturity) 3.62% (At Maturity) 1/31/2026 GBP 660,000 (29) (29)
1-Day GBP SONIA Rate (At Maturity) 3.73% (At Maturity) 1/31/2026 GBP 660,000 808 808
4.10% (Semi-Annually) 6M CZK PRBOR (Semi-Annually) 3/20/2026 CZK 2,700,000 (491) (491)
3M KRW KSDA (Quarterly) 3.38% (Quarterly) 9/20/2026 KRW 181,949,097 343 343
3M KRW KSDA (Quarterly) 3.33% (Quarterly) 9/20/2026 KRW 90,960,903 78 78
28-Day MXN-TIIE-BANXICO (Monthly) 9.21% (Monthly) 1/18/2027 MXN 3,130,000 69 69
3.23% (At Maturity) 1-Day GBP SONIA Rate (At Maturity) 2/1/2028 GBP 710,000 (155) (155)
3.31% (At Maturity) 1-Day GBP SONIA Rate (At Maturity) 2/1/2028 GBP 700,000 (774) (774)
1-Day EUR ESTR (Annually) 2.09% (Annually) 2/3/2028 EUR 770,000 1,865 1,207 658
6M EUR EURIBOR (Semi-Annually) 3.15% (Annually) 7/21/2028 EUR 111,000 4,974 4,974
90

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Interest Rate Swap Contracts outstanding at January 31, 2024:
Centrally Cleared(continued)
               
Pay Rate Index/
Pay Rate
Receive Rate Index/
Receive Rate
Maturity
Date
  Notional
Amount
Value Upfront
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
28-Day MXN-TIIE-BANXICO (Monthly) 9.69% (Monthly) 10/25/2028 MXN 1,851,000 $3,956 $$3,956
28-Day MXN-TIIE-BANXICO (Monthly) 8.67% (Monthly) 1/18/2029 MXN 2,012,000 (208) (208)
2-Day USD SOFR (Annually) 3.41% (Annually) 6/17/2029 USD 2,027,600 (5,531) (5,531)
2-Day USD SOFR (Annually) 3.47% (Annually) 6/17/2029 USD 1,757,270 361 361
2-Day USD SOFR (Annually) 3.33% (Annually) 6/17/2029 USD 1,351,730 (8,379) (8,379)
2-Day USD SOFR (Annually) 3.44% (Annually) 6/17/2029 USD 1,013,791 (1,358) (1,358)
2-Day USD SOFR (Annually) 3.36% (Annually) 6/17/2029 USD 1,013,774 (4,831) (4,831)
2-Day USD SOFR (Annually) 3.42% (Annually) 6/17/2029 USD 760,342 (1,512) (1,512)
3.53% (Annually) 2-Day USD SOFR (Annually) 6/17/2029 USD 675,860 (1,876) (1,876)
3.59% (Annually) 2-Day USD SOFR (Annually) 6/17/2029 USD 1,351,626 (7,475) (7,475)
3.68% (Annually) 2-Day USD SOFR (Annually) 6/17/2029 USD 1,687,988 (15,799) (15,799)
3.53% (Annually) 2-Day USD SOFR (Annually) 10/31/2030 USD 5,438,000 8,132 23,449 (15,317)
3.54% (Annually) 2-Day USD SOFR (Annually) 10/31/2030 USD 7,148,000 6,492 7,994 (1,502)
3.15% (Annually) 2-Day USD SOFR (Annually) 5/15/2048 USD 11,701,000 987,797 (28,640) 1,016,437
Total         $965,178 $4,010 $961,168
    
Interest Rate Swap Contracts outstanding at January 31, 2024:
Over the Counter
                 
Pay Rate Index/
Pay Rate
Receive Rate Index/
Receive Rate
Counterparty Maturity
Date
  Notional
Amount
Value Upfront
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
1-Day BRL BZDIO (At Maturity) 11.07% (At Maturity) Barclays 1/2/2025 BRL 928,000 $1,245 $— $1,245
1-Day BRL BZDIO (At Maturity) 11.87% (At Maturity) Bank of America 1/2/2025 BRL 616,569 1,276 1,276
10.30% (At Maturity) 1-Day COP COOVI (At Maturity) Citibank 1/29/2025 COP 588,103,000 (234) (234)
10.18% (At Maturity) 1-Day COP COOVI (At Maturity) Citibank 6/20/2025 COP 522,129,224 (835) (835)
8.62% (At Maturity) 1-Day COP COOVI (At Maturity) JPMorgan Chase 11/5/2025 COP 781,128,000 (3,034) (3,034)
1-Day BRL BZDIO (At Maturity) 9.65% (At Maturity) Citibank 1/2/2026 BRL 1,272,000 11 11
1-Day BRL BZDIO (At Maturity) 10.58% (At Maturity) Citibank 1/2/2026 BRL 980,000 2,846 2,846
1-Day BRL BZDIO (At Maturity) 10.02% (At Maturity) HSCB Bank 1/2/2026 BRL 737,000 (339) (339)
1-Day BRL BZDIO (At Maturity) 11.80% (At Maturity) Citibank 1/2/2026 BRL 578,798 3,954 3,954
1-Day BRL BZDIO (At Maturity) 11.75% (At Maturity) Citibank 1/2/2026 BRL 563,000 3,662 3,662
91

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Interest Rate Swap Contracts outstanding at January 31, 2024:
Over the Counter(continued)
                 
Pay Rate Index/
Pay Rate
Receive Rate Index/
Receive Rate
Counterparty Maturity
Date
  Notional
Amount
Value Upfront
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
1-Day BRL BZDIO (At Maturity) 10.11% (At Maturity) Goldman Sachs 1/2/2026 BRL 231,260 $19 $— $19
1-Day BRL BZDIO (At Maturity) 9.79% (At Maturity) BNP Paribas 1/4/2027 BRL 837,000 169 169
4.40% (Semi-Annually) 1-Day CLP CLICP (Semi-Annually) Goldman Sachs 1/26/2028 CLP 282,051,000 (921) (921)
4.44% (Semi-Annually) 1-Day CLP CLICP (Semi-Annually) Goldman Sachs 1/26/2028 CLP 200,540,000 (790) (790)
Total           $7,029 $— $7,029
Credit Default Swap Contracts outstanding - Buy Protection as of January 31, 2024:
Centrally Cleared
Reference Obligation Fixed
Deal
Pay Rate
Maturity
Date
    Notional
Amount
Value Upfront
Premiums
Paid/
(Received)
Unrealized
Appreciation
(Depreciation)
Markit iTraxx Europe Main Index Series (Pay Quarterly) 5.00% 12/20/2028   EUR 288,276 $(23,861) $(21,791) $(2,070)
Total           $(23,861) $(21,791) $(2,070)
    
Credit Default Swap Contracts outstanding - Sell Protection as of January 31, 2024:
Centrally Cleared
                 
Reference Obligation Implied
Credit
Spread
Fixed
Deal
Receive Rate
Maturity
Date
  Notional
Amount
Value Upfront
Premiums
Paid/
(Received)
Unrealized
Appreciation
(Depreciation)
Markit CDX North America High Yield Index Series 41 (Pay Quarterly) 3.59% 5.00% 12/20/2028 USD 1,679,319 $104,684 $81,707 $22,977
Markit CDX North America Investment Grade Index Series 41 (Pay Quarterly) 0.56% 1.00% 12/20/2028 USD 20,787,900 427,117 248,937 178,180
Total           $531,801 $330,644 $201,157
    
Credit Default Swap Contracts outstanding - Buy Protection at January 31, 2024:
Over the Counter
                 
Reference Obligation Fixed
Deal
Pay Rate
Maturity
Date
Counterparty   Notional
Amount
Value Upfront
Premiums
Paid/
(Received)
Unrealized
Appreciation
(Depreciation)
Federal Republic of Brazil, 4.25%, Due: 1/07/2025 (Pay Quarterly) 1.00% 12/20/2024 Barclays USD 336,000 $(2,388) $1,485 $(3,873)
92

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Credit Default Swap Contracts outstanding - Buy Protection at January 31, 2024:
Over the Counter(continued)
                 
Reference Obligation Fixed
Deal
Pay Rate
Maturity
Date
Counterparty   Notional
Amount
Value Upfront
Premiums
Paid/
(Received)
Unrealized
Appreciation
(Depreciation)
Abbott Laboratories 3.40% 11/30/2023 (Pay Quarterly) 1.00% 12/20/2028 JPMorgan Chase USD 129,000 $(3,400) $(2,379) $(1,021)
American Electric Power, 3.20%, Due: 11/13/2027 (Pay Quarterly) 1.00% 12/20/2028 Goldman Sachs USD 360,000 (10,558) (8,505) (2,053)
American Electric Power, 3.20%, Due: 11/13/2027 (Pay Quarterly) 1.00% 12/20/2028 Deutsche Bank USD 190,770 (5,595) (3,763) (1,832)
American Electric Power, 3.20%, Due: 11/13/2027 (Pay Quarterly) 1.00% 12/20/2028 Bank of America USD 152,230 (4,464) (3,403) (1,061)
American Express Co., 4.05%, Due: 5/03/2029 (Pay Quarterly) 1.00% 12/20/2028 Citibank USD 360,000 (10,613) (7,545) (3,068)
Dominion Energy, Inc., 4.25%, Due: 6/01/2028 (Pay Quarterly) 1.00% 12/20/2028 Bank of America USD 231,920 (4,948) (3,601) (1,347)
Dominion Energy, Inc., 4.25%, Due: 6/01/2028 (Pay Quarterly) 1.00% 12/20/2028 Citibank USD 75,658 (1,614) (1,101) (513)
Dominion Energy, Inc., 4.25%, Due: 6/01/2028 (Pay Quarterly) 1.00% 12/20/2028 Barclays USD 38,422 (820) (589) (231)
Federal Republic of Brazil, 4.25%, Due: 1/07/2025 (Pay Quarterly) 1.00% 12/20/2028 Goldman Sachs USD 36,100 543 1,452 (909)
Republic of Colombia, 10.38%, Due: 1/28/2033 (Pay Quarterly) 1.00% 12/20/2028 JPMorgan Chase USD 95,000 2,774 4,487 (1,713)
Republic of South Africa, 5.88%, Due: 9/16/2025 (Pay Quarterly) 1.00% 12/20/2028 Citibank USD 113,000 6,124 5,947 177
Republic of South Africa, 5.88%, Due: 9/16/2025 (Pay Quarterly) 1.00% 12/20/2028 Barclays USD 98,000 5,256 7,473 (2,217)
United Mexican States, 4.15%, Due: 3/28/2027 (Pay Quarterly) 1.00% 12/20/2028 BNP Paribas USD 111,000 (622) 1,116 (1,738)
United Mexican States, 4.15%, Due: 3/28/2027 (Pay Quarterly) 1.00% 12/20/2028 Barclays USD 76,506 (428) 588 (1,016)
United Mexican States, 4.15%, Due: 3/28/2027 (Pay Quarterly) 1.00% 12/20/2028 JPMorgan Chase USD 28,800 (161) 279 (440)
Total           $(30,914) $(8,059) $(22,855)
    
Inflation Swap Contracts outstanding at January 31, 2024:
Centrally Cleared
               
Pay Rate Index/
Pay Rate
Receive Rate Index/
Receive Rate
Maturity
Date
  Notional
Amount
Value Upfront
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
1-Day Eurozone Inflation Index (At Maturity) 2.51% (At Maturity) 12/15/2053 EUR 280,000 $10,023 $— $10,023
3.16% (At Maturity) 1-Day UK Retail Price Index (At Maturity) 1/15/2054 GBP 147,500 582 582
3.17% (At Maturity) 1-Day UK Retail Price Index (At Maturity) 1/15/2054 GBP 147,500 47 47
93

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Inflation Swap Contracts outstanding at January 31, 2024:
Centrally Cleared(continued)
               
Pay Rate Index/
Pay Rate
Receive Rate Index/
Receive Rate
Maturity
Date
  Notional
Amount
Value Upfront
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
1-Day U.S. Consumer Price Index (At Maturity) 2.50% (At Maturity) 1/19/2054 USD 215,000 $1,851 $— $1,851
1-Day U.S. Consumer Price Index (At Maturity) 2.51% (At Maturity) 1/22/2054 USD 215,000 2,301 2,301
Total         $14,804 $— $14,804
Valuation Hierarchy
The following is a summary of the inputs used, as of January 31, 2024, in valuing the Fund's investments carried at fair value:
Morningstar Total Return Bond Fund Level 1 Level 2 Level 3 Totals
Investments        
Assets:        
Asset-Backed Securities $$32,293,529 $$32,293,529
Corporate Bonds 149,321,721 108,950 149,430,671
Foreign Issuer Bonds 48,995,445 48,995,445
Mortgage-Backed Securities 281,813,517 281,813,517
Municipal Bonds 2,400,973 2,400,973
Term Loans 23,224 23,224
U.S. Government Obligations 116,108,133 116,108,133
Investment Companies 245,691,462 245,691,462
Short-Term Investments 31,518,328 13,403,133 44,921,461
Purchased Options 407,794 227,381 635,175
Total Assets – Investments at value $277,617,584 $644,587,056 $108,950 $922,313,590
Liabilities:        
Mortgage-Backed Securities $$(24,991,978) $$(24,991,978)
Total Liabilities – Investments at value $$(24,991,978) $$(24,991,978)
Net Investments $277,617,584 $619,595,078 $108,950 $897,321,612
    
Morningstar Total Return Bond Fund Level 1 Level 2 Level 3 Totals
Derivative Financial Instruments        
Assets:        
Futures Contracts $1,944,183 $$— $1,944,183
Forward Foreign Currency Exchange Contracts 150,163 150,163
Swap Agreements 1,589,448 1,589,448
Total Assets - Derivative Financial Instruments $1,944,183 $1,739,611 $— $3,683,794
94

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Total Return Bond Fund
Morningstar Total Return Bond Fund Level 1 Level 2 Level 3 Totals
Liabilities:        
Futures Contracts $(353,226) $$— $(353,226)
Forward Foreign Currency Exchange Contracts (110,506) (110,506)
Written Options (281,582) (972,590) (1,254,172)
Swap Agreements (125,411) (125,411)
Total Liabilities - Derivative Financial Instruments $(634,808) $(1,208,507) $— $(1,843,315)
Net Derivative Financial Instruments $1,309,375 $531,104 $— $1,840,479
95

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments
Morningstar Municipal Bond Fund
    Par Value
Municipal Bonds – 86.0%
Alabama – 3.2%
Alabama State Corrections Institution Finance Authority Revenue Bonds, 5.25%, 7/01/47   $500,000 $548,479
Black Belt Energy Gas District Gas Prepay Revenue Bonds, Series A-1, Project No. 4, 4.00%, 6/01/25   990,000 991,087
Black Belt Energy Gas District Gas Project Revenue Bonds, Series C, 5.50%, 6/01/32(a)(b)(c)   1,250,000 1,377,934
Black Belt Energy Gas District Gas Project Revenue Bonds, Series C-1, 5.25%, 6/01/29(a)(b)(c)   1,030,000 1,098,288
Black Belt Energy Gas District Gas Supply Revenue Refunding Bonds, 4.00%, 12/01/31(a)(b)(c)   500,000 502,814
Black Belt Energy Gas District Project Variable Revenue Bonds, Series B-2, (SIFMA Municipal Swap Index Yield + 0.65%), 4.39%, 10/01/27(a)(c)   250,000 243,089
Black Belt Energy Gas District Revenue Bonds, Project No. 7, 4.00%, 12/01/26(a)(b)(c)   2,110,000 2,113,267
Lower Alabama Gas District Gas Project Revenue Bonds, 4.00%, 12/01/25(a)(b)(c)   500,000 500,476
Mobile Industrial Development Board PCR Bonds, Alabama Power Company Barry Plant Project, 1.00%, 6/26/25(a)(b)(c)   1,000,000 965,094
Southeast Energy Authority Commodity Supply Revenue Bonds, Series B, Project No. 6,      
5.00%, 6/01/30   475,000 508,856
5.00%, 6/01/30(a)(b)(c)   500,000 530,721
Southeast Energy Authority Commodity Supply Revenue Bonds, Series B-1, Project No. 4, 5.00%, 8/01/28(a)(b)(c)   150,000 156,321
    Par Value
Alabama (Continued)
Tuscaloosa County IDA Gulf Opportunity Zone Revenue Refunding Bonds, Series A, Hunt Refining Project, 5.25%, 5/01/44(d)   $260,000 $251,482
University of South Alabama University Revenue Bonds (BAM Insured), 5.00%, 4/01/27   375,000 397,398
University of West Alabama University Revenue Refunding Bonds (AGM Insured), 5.00%, 1/01/27   505,000 528,108
      10,713,414
Alaska – 0.2%
Alaska State Municipal Bond Bank Authority Revenue Bonds, Series 2 (AMT), 5.00%, 12/01/29   590,000 640,229
Arizona – 0.8%
Arizona State IDA Education Revenue Bonds, Series B, Jerome Facilities Project, Social Bonds, 4.00%, 7/01/51   175,000 153,405
Arizona State IDA National Charter School Revolving Loan Fund Sustainable Revenue Bonds, Equitable School, 5.25%, 11/01/53   1,000,000 1,049,420
Maricopa County IDA Revenue Bonds, Series A, Banner Health, 4.00%, 1/01/41   250,000 251,107
Maricopa County IDA Variable Revenue Bonds, Series A-3, Banner Health, 5.00%, 11/01/30(a)(b)(c)   300,000 331,863
Pima County IDA Education Revenue Facility Revenue Bonds, Paideia Academies Project, 6.13%, 7/01/45(d)   240,000 240,643
Salt River Project Agricultural Improvement & Power District Electric System Revenue Refunding Bonds, Series A, 5.00%, 12/01/45   500,000 512,525
      2,538,963
 
96

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Arkansas – 0.1%
Bentonville Sales & Use Tax Revenue Refunding Bonds, Series B, 1.05%, 11/01/46   $25,000 $24,812
Springdale Sales & Use Revenue Bonds, Series B (BAM Insured),      
5.00%, 8/01/28   125,000 136,031
5.00%, 8/01/29   120,000 132,807
      293,650
California – 6.4%
Bay Area Toll Bridge Authority Variable Revenue Refunding Bonds, San Francisco Bay, (SIFMA Municipal Swap Index Yield + 0.45%), 4.19%, 4/01/26(a)(c)   2,000,000 1,975,118
California Community Choice Financing Authority Variable Revenue Bonds, Clean Energy Project, Green Bonds, 5.00%, 10/01/30   450,000 470,299
California Housing Finance Agency Municipal Certificates Revenue Bonds, Series 2, Class A, 4.00%, 3/20/33   233,361 234,622
California PFA Revenue Refunding Bonds, Henry Mayo Newhall Hospital, 5.00%, 10/15/47   580,000 582,176
California State GO Unlimited Bonds, 4.25%, 9/01/52   125,000 128,392
California State Health Facilities Financing Authority Revenue Bonds, Episcopal Communities & Services, 5.00%, 11/15/30   200,000 220,682
California State Infrastructure & Economic Development Bank National Charter Equitable School Revolving Fund Revenue Bonds, 5.00%, 11/01/57   100,000 103,602
    Par Value
California (Continued)
California State Infrastructure & Economic Development Bank Revenue Refunding Bonds, Los Angeles County Museum of Natural History Foundation, 3.00%, 7/01/50   $1,250,000 $974,719
California State Municipal Finance Authority Refunding COPS, Series A, Palomar Health (AGM Insured), 5.25%, 11/01/52   110,000 124,083
California State Municipal Finance Authority Revenue Bonds, Charter School John Adams Academies-Lincoln Project, 5.00%, 10/01/57(d)   330,000 296,917
California State Municipal Finance Authority Revenue Refunding Bonds, Series A, Eisenhower Medical Center, 5.00%, 7/01/25   650,000 660,834
California State Municipal Finance Authority Senior Living Revenue Bonds, Mt. San Antonio Garden, 2.13%, 11/15/26   250,000 249,090
California State Municipal Finance Authority Senior Living Revenue Refunding Bonds, Mt. San Antonio Gardens Project, 5.00%, 11/15/39   300,000 300,575
California State Municipal Finance Authority Student Housing Revenue Bonds, CHF-Davis I, LLC-West Village, 5.00%, 5/15/36   1,130,000 1,195,261
California State Municipal Finance Authority Student Housing Revenue Bonds, Series A-P3, Claremont Colleges Project, 5.00%, 7/01/30(d)   320,000 322,364
California State Municipal Finance Authority Student Housing Revenue Bonds, UCR North District Phase 1 (BAM Insured), 5.00%, 5/15/28   500,000 536,262
 
97

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
California (Continued)
California State School Finance Authority Charter School Revenue Bonds, Series A, John Adams Academies, 5.00%, 7/01/52(d)   $520,000 $477,869
California Statewide Communities Development Authority Revenue Bonds, Lancer Educational Standard Housing Project, 5.00%, 6/01/34(d)   375,000 381,996
California Statewide Communities Development Authority Revenue Bonds, Loma Linda University Medical, 5.50%, 12/01/58(d)   500,000 510,049
California Statewide Communities Development Authority Revenue Bonds, Series A, Enloe Medical Center (AGM Insured), 5.25%, 8/15/52   450,000 495,289
California Statewide Communities Development Authority Revenue Bonds, Series A, Loma Linda University Medical Center, 5.25%, 12/01/56(d)   250,000 251,579
California Statewide Communities Development Authority Special Assessment Bonds, Statewide Community Infrastructure Program,      
5.00%, 9/02/34   100,000 107,188
5.25%, 9/02/43   200,000 206,165
California Tobacco Securitization Agency Tobacco Settlement Senior Revenue Refunding Bonds, Series A, 4.00%, 6/01/40   300,000 301,674
Cathedral City Redevelopment Agency Successor Agency Tax Allocation Revenue Refunding Bonds, Merged Redevelopment Project Area (BAM Insured), 4.00%, 8/01/26   250,000 255,380
    Par Value
California (Continued)
Compton Community Redevelopment Agency Successor Agency Tax Allocation Revenue Refunding Bonds, Series A (AGM Insured), 5.00%, 8/01/42   $250,000 $273,959
CSCDA Community Improvement Authority Essential Housing Mezzanine Lien Revenue Bonds, City of Orange, 4.00%, 3/01/57(d)   200,000 143,646
Foothill Eastern Transportation Corridor Agency Toll Road Junior Lien Revenue Bonds, Series C, 5.00%, 1/15/26   200,000 205,240
Foothill Eastern Transportation Corridor Agency Toll Road Junior Lien Revenue Refunding Bonds, Series C, 4.00%, 1/15/43   250,000 246,284
Lodi Unified School District GO Unlimited Bonds, 3.00%, 8/01/46   400,000 332,872
Los Angeles Department of Airports Airport Subordinate Revenue Bonds (AMT), Los Angeles International Airport, 5.00%, 5/15/34   510,000 525,891
Los Angeles Department of Airports Airport Subordinate Revenue Bonds, Series C (AMT), Los Angeles International Airport, 5.00%, 5/15/29   1,000,000 1,056,054
Los Angeles Department of Airports Subordinate Revenue Bonds, Series A (AMT), Private Activity, 4.00%, 5/15/41   1,000,000 999,544
Los Angeles Department of Airports Subordinate Revenue Refunding Bonds (AMT), 5.00%, 5/15/43   500,000 524,224
Mesa Water District COPS, 4.00%, 3/15/39   300,000 311,504
Newman-Crows Landing Unified School District GO Unlimited CABS, 0.00%, 8/01/25(e)   250,000 237,285
 
98

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
California (Continued)
Orange County Community Facilities District No. 2023-1 Special Tax Bonds, Rienda Phase 2B, 5.50%, 8/15/53   $500,000 $522,720
Pittsburg Public Financing Authority Water Revenue Bonds, Series A (AGM Insured), 4.13%, 8/01/47   250,000 256,771
Port of Oakland Intermediate Lien Revenue Refunding Bonds (AMT), 5.00%, 11/01/29   250,000 272,717
Rocklin Community Facilities District No. 10 Special Tax Bonds, 5.00%, 9/01/34   150,000 154,810
Sacramento Railyards Community Facilities District No. 2018 Special Tax Bonds, 5.25%, 9/01/47(d)   550,000 569,276
San Diego County Regional Airport Authority Subordinate Revenue Refunding Bonds, Series A, 4.00%, 7/01/37   300,000 314,006
San Diego County Regional Airport Authority Subordinate Revenue Refunding Bonds, Series B (AMT), 5.00%, 7/01/39   525,000 553,482
San Francisco Bay Area Rapid Transit District Sustainable GO Unlimited Bonds, Series C-1, 4.00%, 8/01/45   200,000 201,420
San Francisco City & County Airports Commission International Airport Revenue Bonds, Series A (AMT), 5.00%, 5/01/44   250,000 260,328
San Mateo Foster City School District GO Unlimited Bonds, Series B, 4.00%, 8/01/48   500,000 510,169
Susanville Natural Gas Revenue Refunding Bonds, Natural Gas Enterprise (AGM Insured), 3.00%, 6/01/26   595,000 597,094
    Par Value
California (Continued)
Tobacco Securitization Authority of Southern California Tobacco Settlement Revenue Refunding Bonds, San Diego Asset Securities, 5.00%, 6/01/35   $100,000 $108,614
Washington Township Health Care District 2020 Election GO Unlimited Bonds, Series B, 5.50%, 8/01/53   750,000 851,686
      21,391,781
Colorado – 3.6%
Aurora Crossroads Metropolitan District No. 2 Senior Lien GO Limited Bonds, Series A, 5.00%, 12/01/40   500,000 482,824
Colorado Educational & Cultural Authority Revenue Refunding Bonds, Prospect Ridge Academy Project (Moral Obligation Insured),      
5.00%, 3/15/25   485,000 492,476
5.00%, 3/15/26   510,000 526,828
5.00%, 3/15/29   590,000 638,111
5.00%, 3/15/30   310,000 339,507
5.00%, 3/15/35   590,000 639,545
Colorado High Performance Transportation Enterprise Revenue Bonds, C-470 Express Lane, 5.00%, 12/31/56   1,000,000 1,001,814
Colorado State COPS,      
6.00%, 12/15/40   1,000,000 1,217,628
6.00%, 12/15/41   500,000 605,910
Colorado State COPS, Series A,      
4.00%, 12/15/35   1,250,000 1,330,075
4.00%, 12/15/36   200,000 211,779
Colorado State Health Facilities Authority Revenue Bonds, Commonspirit Health, Series B-2, 5.00%, 8/01/26(a)(b)(c)   615,000 633,969
Colorado State Health Facilities Authority Revenue Refunding Bonds, Parkview Medical Center, Inc., Project, Series B, 5.00%, 9/01/29   1,000,000 1,031,947
 
99

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Colorado (Continued)
Colorado State Health Facilities Authority Revenue Refunding Bonds, Series A, Sanford Health, 4.00%, 11/01/39   $200,000 $198,965
Denver City & County Airport Revenue Refunding Bonds, Series D (AMT), 5.75%, 11/15/41   325,000 374,217
Denver City & County Airport System Subordinate Revenue Refunding Bonds, Series A (AMT), 5.25%, 12/01/43   500,000 523,519
Denver Convention Center Hotel Authority Senior Revenue Refunding Bonds,      
5.00%, 12/01/36   500,000 506,960
5.00%, 12/01/40   250,000 251,911
Denver Health & Hospital Authority Healthcare Revenue Bonds, Series A, 4.00%, 12/01/27   180,000 180,040
Park Creek Metropolitan District Revenue Refunding Bonds, Series A (NATL, IBC Insured), 5.00%, 12/01/45   500,000 506,541
Public Authority for Colorado State Energy Natural Gas Purchase Revenue Bonds, 6.50%, 11/15/38   250,000 314,696
      12,009,262
Connecticut – 0.6%
Connecticut State Health & Educational Facilities Authority Revenue Bonds, Series K, Sacred Heart University, 5.00%, 7/01/27   400,000 424,701
Connecticut State Health & Educational Facilities Authority Revenue Refunding Bonds, Forward Delivery, Stamford Hospital Issue, 4.00%, 7/01/42   250,000 240,236
Connecticut State Health & Educational Facilities Authority Revenue Refunding Bonds, Series F, Masonicare Issue, 5.00%, 7/01/27   220,000 221,331
    Par Value
Connecticut (Continued)
Connecticut State Health & Educational Facilities Authority Revenue Refunding Bonds, University of Hartford,      
5.00%, 7/01/25   $260,000 $259,673
5.00%, 7/01/31   500,000 503,986
4.00%, 7/01/39   120,000 101,051
4.00%, 7/01/49   100,000 74,356
Hamden Revenue Refunding Bonds, Whitney Center Project, 5.00%, 1/01/40   125,000 114,572
      1,939,906
Delaware – 0.1%
Kent County Student Housing & Dining Facilities Revenue Bonds, CHF-Dover LLC-Delaware State University Project,      
5.00%, 7/01/32   250,000 256,143
5.00%, 7/01/48   100,000 98,771
      354,914
District of Columbia – 1.3%
District of Columbia Hospital Revenue Refunding Bonds, Children's Hospital, 5.00%, 7/15/44   300,000 304,524
District of Columbia Revenue Bonds, Ingleside Rock Creek Project, 5.00%, 7/01/52   400,000 336,684
District of Columbia Revenue Bonds, KIPP DC Project, 4.00%, 7/01/39   100,000 96,985
District of Columbia University Revenue Refunding Bonds, Georgetown University, 5.00%, 4/01/29   350,000 369,666
Metropolitan Washington Airports Authority Airport System Revenue Refunding Bonds, Series A (AMT), 5.25%, 10/01/48   1,000,000 1,082,924
Metropolitan Washington Airports Authority Dulles Toll Road Revenue Refunding Bonds, Dulles Metrorail & Capital (AGM Insured), 4.00%, 10/01/52   280,000 269,348
 
100

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
District of Columbia (Continued)
Metropolitan Washington Airports Authority Dulles Toll Road Subordinate Lien Revenue Refunding Bonds, Dulles Metrorail & Capital Improvement Projects, Series B, 4.00%, 10/01/35   $350,000 $356,044
Metropolitan Washington Airports Authority System Revenue Refunding Bonds, Series A (AMT), 5.00%, 10/01/46   500,000 532,109
Washington Metropolitan Area Transit Authority Dedicated Revenue Bonds, Series A, Green Bonds, 5.50%, 7/15/51   525,000 599,108
Washington Metropolitan Area Transit Authority Dedicated Revenue Bonds, Sustainability Financed, 5.25%, 7/15/53   450,000 502,631
      4,450,023
Florida – 3.9%
Alachua County Health Facilities Authority Revenue Bonds, Shands Teaching Hospital & Clinics, 5.00%, 12/01/44   500,000 502,666
Broward County Airport System Revenue Bonds, Series A (AMT), 5.00%, 10/01/36   750,000 803,007
Central Florida Expressway Authority Senior Lien Revenue Refunding Bonds, 5.00%, 7/01/42   350,000 366,512
Collier County Water-Sewer District Revenue Bonds, 4.00%, 7/01/40   500,000 512,352
Florida State Development Finance Corp., Solid Waste Disposal Variable Revenue Bonds, Waste Pro USA, Inc. (AMT), 6.13%, 7/01/26(a)(b)(c)(d)   200,000 202,706
Florida State Municipal Power Agency Revenue Refunding Bonds, Series A, 5.00%, 10/01/31   300,000 312,644
Greater Orlando Aviation Authority Airport Facilities Revenue Bonds, Series A (AMT), 5.00%, 10/01/40   500,000 505,486
    Par Value
Florida (Continued)
JEA Electric System Revenue Refunding Bonds, Series Three A, 4.00%, 10/01/37   $1,395,000 $1,412,728
Lakeland Hospital System Revenue Refunding Bonds, Lakeland Regional Health Systems, 5.00%, 11/15/26   425,000 445,843
Lakewood Ranch Stewardship District Utility Revenue Bonds, System Acquisition Project (AGM Insured), 5.25%, 10/01/48   350,000 386,172
Lee County IDA Healthcare Facilities Revenue Bonds, Shell Point/Waterside Health Project, 5.00%, 11/15/39   300,000 303,432
Lee County Local Optional Gas TRB, 5.25%, 8/01/49   355,000 382,748
Leon County School District Sales TRB, 4.00%, 9/01/26   800,000 800,668
Miami-Dade County Aviation Revenue Bonds, Series A (AMT), 5.00%, 10/01/49   500,000 514,488
Miami-Dade County Aviation Revenue Refunding Bonds, Series A (AMT), 5.00%, 10/01/33   500,000 501,653
Miami-Dade County Educational Facilities Authority Revenue Refunding Bonds, Series A, University of Miami, 5.00%, 4/01/30   250,000 254,217
Miami-Dade County Expressway Authority Toll System Revenue Bonds, Series A, 5.00%, 7/01/28   250,000 251,625
Miami-Dade County GO Unlimited Bonds, Public Health Trust Program, 4.00%, 7/01/42   250,000 251,499
Miami-Dade County Seaport Revenue Refunding Bonds, Series A (AMT), Senior Bonds, 5.25%, 10/01/52   500,000 531,792
Miami-Dade County, Florida Aviation Revenue Refunding Bonds, Series A (AMT), 5.00%, 10/01/34   290,000 290,899
 
101

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Florida (Continued)
Osceola County Florida Transportation Revenue Refunding CABS, Series A-2,      
0.00%, 10/01/25(e)   $125,000 $116,207
0.00%, 10/01/26(e)   275,000 245,297
0.00%, 10/01/27(e)   360,000 308,611
Polk County Utility System Revenue Refunding Bonds, 4.00%, 10/01/43   400,000 402,588
Sarasota County Public Hospital District Revenue Bonds, Sarasota Memorial Hospital Project, 5.00%, 7/01/52   250,000 264,510
Tampa Hospital Revenue Bonds, H. Lee Moffitt Cancer Center,      
5.00%, 7/01/25   150,000 153,290
5.00%, 7/01/26   125,000 129,948
5.00%, 7/01/27   125,000 132,178
Village Community Development District No. 14 Special Assessment Revenue Bonds, 5.50%, 5/01/53   240,000 246,908
Volusia County Educational Facilities Authority Revenue Refunding Bonds, Embry-Riddle Aeronautical, 5.00%, 10/15/44   500,000 528,992
Wildwood Utility Dependent District Senior Lien Revenue Bonds, South Sumter Utility Project (BAM Insured), 5.00%, 10/01/41   465,000 505,188
Wildwood Utility Dependent District Subordinate Revenue Bonds, South Sumter Utility Project (BAM Insured), 5.00%, 10/01/36   400,000 449,975
      13,016,829
Georgia – 2.8%
Atlanta Airport Passenger Facility Charge Subordinate Revenue Bonds, Series C, 5.00%, 7/01/40   365,000 412,948
Atlanta Development Authority Senior Lien Revenue Bonds, Series A-1, 5.00%, 7/01/30   200,000 205,427
    Par Value
Georgia (Continued)
Bartow County Development Authority Revenue Refunding Bonds, Georgia Power Company Plant Bowen Project, 1.80%, 9/01/29(b)(c)   $250,000 $214,748
City of Atlanta Airport Passenger Facility Charge Subordinate Lien Green Revenue Bonds (AMT), 5.25%, 7/01/41   500,000 556,774
Fulton County Development Authority Transportation Corp., Toll Revenue Refunding Bonds, Robert W. Woodruff Arts Center, Inc., Project, 5.00%, 3/15/32   200,000 217,976
Gainesville & Hall County Hospital Authority Revenue Refunding Bonds, Northeast Georgia Health System, Inc., Project, 5.00%, 2/15/37   500,000 522,955
Geo L. Smith II Congress Authority Convention Center Hotel Revenue Bonds, 4.00%, 1/01/36   500,000 501,508
Georgia State GO Unlimited Bonds, Bidding Group 2, Series A, 4.00%, 7/01/42   1,000,000 1,048,035
Glynn-Brunswick Memorial Hospital Authority Revenue Refunding Anticipation Certificates Bonds, Southeast Georgia Health System, 5.00%, 8/01/34   530,000 537,593
Griffin-Spalding County Hospital Authority Revenue Anticipation Certificates Bonds, Wellstar, 5.00%, 4/01/35   150,000 157,626
Main Street Natural Gas, Inc., Gas Supply Revenue Bonds, Series A,      
4.00%, 9/01/27(a)(b)(c)   1,125,000 1,130,007
5.00%, 9/01/31(a)(b)(c)   250,000 267,528
Main Street Natural Gas, Inc., Gas Supply Revenue Bonds, Series B,      
5.00%, 6/01/29(a)(b)(c)   700,000 735,028
5.00%, 3/01/30(a)(b)(c)   335,000 355,184
 
102

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Georgia (Continued)
Main Street Natural Gas, Inc., Gas Supply Revenue Bonds, Series C, 4.00%, 11/01/27(a)(b)(c)(d)   $1,350,000 $1,303,188
Main Street Natural Gas, Inc., Gas Supply Revenue Bonds, Series D, 5.00%, 12/01/30(a)(b)(c)   250,000 264,656
Main Street Natural Gas, Inc., Gas Supply Revenue Bonds, Series E-1, 5.00%, 6/01/31(a)(b)(c)   150,000 160,427
Municipal Electric Authority of Georgia Power Revenue Refunding Bonds, Series HH, 5.00%, 1/01/29   500,000 534,394
Municipal Electric Authority of Georgia Revenue Bonds, Plant Vogtle Units 3&4 Project (AGM Insured), 5.00%, 7/01/55   250,000 262,148
      9,388,150
Guam – 0.1%
Guam Government Business Privilege Tax Revenue Refunding Bonds, Series F, 4.00%, 1/01/42   250,000 241,322
Hawaii – 0.0%(f)
Honolulu City & County Multifamily Variable Revenue Bonds, Maunakea Tower Apartments (Housing & Urban Development Sector 8 Program), 5.00%, 6/01/26(a)(b)(c)   135,000 139,727
Illinois – 7.2%
Chicago Board of Education GO Unlimited Bonds, Series A,      
5.00%, 12/01/38   500,000 515,015
5.00%, 12/01/42   250,000 249,680
Chicago Board of Education GO Unlimited Bonds, Series D, 5.00%, 12/01/46   350,000 347,152
Chicago Board Of Education GO Unlimited Refunding Bonds, Dedicated, Series D, 5.00%, 12/01/31   750,000 766,273
    Par Value
Illinois (Continued)
Chicago City Colleges Capital Appreciation GO Unlimited Bonds (NATL Insured), 0.00%, 1/01/30(e)   $750,000 $594,642
Chicago GO Unlimited Bonds, Series A, 5.50%, 1/01/49   100,000 103,075
Chicago GO Unlimited Bonds, Series A, Chicago Works, 5.50%, 1/01/39   250,000 272,904
Chicago Heights Multifamily Variable Revenue Bonds, Olympic Village Apartments Project (FHA Insured, Housing & Urban Development Sector 8 Program), 2.88%, 8/01/25(a)(b)(c)   500,000 491,684
Chicago O'Hare International Airport Passenger Facility Charge Revenue Refunding Bonds (AMT), 5.00%, 1/01/32   500,000 500,026
Chicago O'Hare International Airport Senior Lien General Revenue Bonds, Series D (AMT), 5.00%, 1/01/26   140,000 143,917
Chicago O'Hare International Airport Senior Lien Revenue Refunding Bonds (AMT), 5.00%, 1/01/28   680,000 720,869
Chicago O'Hare International Airport Senior Lien Revenue Refunding Bonds, Series A (AMT), 5.00%, 1/01/31   250,000 268,331
Chicago Park District GO Limited Tax Refunding Bonds, Series B, 5.00%, 1/01/26   395,000 395,000
Chicago Special Assessment Refunding Bonds, Lakeshore East Project, 2.87%, 12/01/27(d)   254,000 242,609
Chicago Transit Authority Sales Tax Receipts Revenue Bonds, 5.25%, 12/01/49   495,000 497,325
Chicago Wastewater Transmission Second Lien Revenue Bonds, 5.00%, 1/01/39   550,000 551,645
 
103

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Illinois (Continued)
City of Chicago GO Unlimited Refunding Bonds, Series A, 5.00%, 1/01/27   $250,000 $260,760
City of Chicago O'Hare International Airport Senior Lien Revenue Refunding Bonds, Customer Facility (BAM Insured), 5.00%, 1/01/28   220,000 235,726
Cook County Community College District No. 508 GO Unlimited Refunding Bonds, City Colleges of Chicago (BAM Insured), 5.00%, 12/01/42   250,000 273,564
Illinois State Finance Authority Revenue Bonds, Series A, The University of Chicago, 5.25%, 5/15/48   100,000 111,730
Illinois State Finance Authority Revenue Refunding Bonds, Series A, 4.00%, 7/15/39   250,000 254,399
Illinois State Finance Authority Revenue Refunding Bonds, Series A, Bradley University Project, 4.00%, 8/01/43   250,000 236,575
Illinois State Finance Authority Revenue Refunding Bonds, Series A, Lutheran Communities, 5.00%, 11/01/40   350,000 308,251
Illinois State Finance Authority Revenue Refunding Bonds, Series A, The Carle Foundation, 5.00%, 2/15/45   250,000 254,369
Illinois State Finance Authority Variable Revenue Bonds, Series B-2, 5.00%, 11/15/26(a)(b)(c)   925,000 958,110
Illinois State GO Unlimited Bonds,      
5.50%, 5/01/25   845,000 867,316
5.00%, 5/01/30   350,000 351,142
Illinois State GO Unlimited Bonds, Series B,      
5.00%, 10/01/31   250,000 278,371
5.50%, 5/01/47   100,000 110,380
Illinois State GO Unlimited Refunding Bonds, Series A, 5.00%, 10/01/25   110,000 113,106
    Par Value
Illinois (Continued)
Illinois State GO Unlimited Refunding Bonds, Series B, 5.00%, 10/01/28   $250,000 $270,516
Illinois State HDA MFH Variable Revenue Bonds, 6900 Crandon (FHA Insured, Housing & Urban Development Sector 8 Program), 5.00%, 2/01/26(a)(b)(c)   400,000 410,080
Illinois State HDA MFH Variable Revenue Bonds, South Shore HHDC (Housing & Urban Development Sector 8 Program), 5.00%, 2/01/26(a)(b)(c)   670,000 686,883
Illinois State HDA Revenue Refunding Bonds, Series H, Social Bonds (GNMA, FNMA, FHLMC Insured), 5.75%, 10/01/53   250,000 267,835
Illinois State Housing Development Authority MFH Variable Revenue Bonds, Marshall Field Garden (FNMA LOC), (SIFMA Municipal Swap Index Yield + 1.00%), 4.74%, 5/15/25(a)(c)   500,000 498,648
Illinois State Sales Tax Revenue Refunding Bonds, Subseries D (BAM, TCRS Insured), 3.00%, 6/15/31   390,000 375,513
Illinois State Sports Facilities Authority State Tax Supported Revenue CABS (AMBAC Insured), 0.00%, 6/15/25(e)   95,000 89,619
Illinois State Sports Facilities Authority State Tax Supported Revenue Refunding Bonds (AGM Insured), 5.00%, 6/15/27   400,000 401,140
Illinois State Toll Highway Authority Revenue Bonds, Series A,      
5.00%, 1/01/46   750,000 820,986
4.00%, 1/01/46   250,000 245,914
Illinois State Toll Highway Authority Senior Revenue Bonds, Series A,      
5.00%, 1/01/40   500,000 552,564
5.00%, 1/01/45   250,000 270,460
Illinois State Toll Highway Authority Senior Revenue Refunding Bonds, Series A, 5.00%, 1/01/31   525,000 581,558
 
104

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Illinois (Continued)
Metropolitan Pier & Exposition Authority Dedicated Capital Appreciation Tax Revenue Refunding Bonds, Series B, McCormick Project (AGM Insured), 0.00%, 6/15/26(e)   $250,000 $230,506
Metropolitan Pier & Exposition Authority Revenue Refunding Bonds, McCormick Place Expansion,      
4.00%, 12/15/42   375,000 365,796
4.00%, 6/15/52   245,000 224,375
Metropolitan Pier & Exposition Authority Revenue Refunding Bonds, McCormick Place Expansion Project,      
5.00%, 6/15/42   500,000 528,853
5.00%, 6/15/50   500,000 516,047
Metropolitan Pier & Exposition Authority Revenue Refunding CABS, McCormick Place Expansion, 0.00%, 12/15/35(e)   150,000 94,886
Northern Illinois University Board of Trustees Auxiliary Facilities System Revenue Bonds (BAM Insured), 5.00%, 10/01/27   350,000 369,693
Northern University Board of Trustees Revenue Bonds, Auxiliary Facilities System (BAM Insured),      
5.00%, 10/01/25   325,000 334,390
5.00%, 10/01/26   250,000 260,004
Peoria County School District No. 150 GO Unlimited Refunding Bonds, Series A (AGM Insured), 4.00%, 12/01/26   390,000 402,318
Regional Transportation Authority Revenue Bonds, Series B (NATL Insured), 5.50%, 6/01/27   350,000 368,162
Sales Tax Securitization Corp., Second Lien Revenue Refunding Bonds, Series A, 4.00%, 1/01/38   250,000 253,478
    Par Value
Illinois (Continued)
Sangamon Logan & Menard Counties Community Unit School District No. 15 GO Unlimited Bonds, Series B (BAM Insured),      
5.00%, 12/01/25   $300,000 $309,136
4.00%, 12/01/39   250,000 251,819
Springfield Illinois Electric Senior Lien Revenue Refunding Bonds, 5.00%, 3/01/29   590,000 598,782
Waukegan City Lake County Water & Sewer System Revenue Refunding Bonds (AGM Insured),      
5.00%, 12/30/26   200,000 212,109
4.00%, 12/30/38   500,000 508,439
4.00%, 12/30/40   500,000 503,496
Waukegan GO Unlimited Bonds, Series A (AGM Insured), 5.00%, 12/30/32   250,000 254,244
Will County Community High School District No. 210 Lincoln-Way Refunding GO Unlimited Refunding Bonds (AGM Insured), 4.00%, 1/01/34   650,000 662,970
      23,995,165
Indiana – 2.1%
Fort Wayne Redevelopment Authority Lease Rental Revenue Refunding Bonds, Grand Wayne Center Project (State Intercept Program), 4.00%, 2/01/26   760,000 775,668
Indiana Bond Bank Revenue CABS, Hamilton Co., Projects,      
0.00%, 7/15/25(e)   450,000 426,912
0.00%, 7/15/28(e)   900,000 767,600
0.00%, 1/15/29(e)   560,000 468,691
Indiana Finance Authority Educational Facilities Revenue Refunding Bonds, Series A, Depauw University Project, 5.50%, 7/01/52   255,000 266,598
 
105

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Indiana (Continued)
Indiana State Finance Authority Variable Revenue Refunding Bonds, Deaconess Health System, (SIFMA Municipal Swap Index Yield + 0.30%), 4.04%, 3/01/27(a)(c)   $1,390,000 $1,347,876
Knox Middle School Building Corp., Revenue Bonds (State Intercept Program), 5.00%, 1/15/27   440,000 466,959
Tippecanoe County School Building Corp., Revenue Bonds, Series B (State Intercept Program), 5.00%, 7/15/29   195,000 216,878
Vinton-Tecumseh School Building Corp., Ad Valorem Property Tax First Mortgage Revenue Bonds (State Intercept Program),      
4.00%, 7/15/26   530,000 542,765
4.00%, 1/15/27   540,000 556,653
4.00%, 7/15/27   550,000 570,338
Whiting Environmental Facilities Revenue Refunding Bonds (AMT), BP Products North America, 5.00%, 6/05/26(a)(b)(c)   440,000 448,437
      6,855,375
Kansas – 0.4%
City of Valley Center GO Unlimited Temporary Notes, Series 1, 4.38%, 12/01/25   500,000 501,305
Dodge City GO Unlimited Temporary Notes, Series 2023-1, 4.13%, 9/01/25   1,000,000 1,005,133
      1,506,438
Kentucky – 1.5%
Fayette County School District Finance Corp., Revenue Bonds, Series A (State Intercept Program), 4.00%, 5/01/38   250,000 250,998
Kenton County Airport Board Revenue Refunding Bonds, 5.00%, 1/01/32   400,000 413,730
    Par Value
Kentucky (Continued)
Kentucky Bond Development Corp., Educational Facilities Revenue Refunding Bonds, Transylvania University Project, 5.00%, 3/01/27   $155,000 $162,975
Kentucky State Economic Development Finance Authority Revenue Bonds, Owensboro Health, 5.25%, 6/01/50   250,000 250,735
Kentucky State Economic Development Finance Authority Revenue Refunding Bonds, Masonic Home Independent Living,      
5.00%, 5/15/36   200,000 171,665
5.00%, 5/15/46   100,000 75,480
Kentucky State Economic Development Finance Authority Revenue Refunding Bonds, Series B, Owensboro Health, 5.00%, 6/01/40   300,000 304,241
Kentucky State Interlocal School Transportation Association Equipment Lease COPS (State Intercept Program), 4.00%, 3/01/29   310,000 316,596
Kentucky State Public Energy Authority Gas Supply Revenue Bonds, Series A-1, 4.00%, 6/01/25(a)(b)(c)   500,000 500,782
Kentucky State Public Energy Authority Gas Supply Revenue Refunding Bonds, Series A-1, 5.25%, 2/01/32(a)(b)(c)   775,000 841,765
Louisville & Jefferson County Metro Government PCR Refunding Bonds (AMT), Louisville Gas & Electric, 1.35%, 11/01/27   1,500,000 1,366,427
Owen County Water Facilities Variable Revenue Refunding Bonds, American Water Company Project, 3.88%, 9/01/28(a)(b)(c)   500,000 507,101
      5,162,495
 
106

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Louisiana – 1.4%
East Baton Rouge Parish Sewerage Commission Revenue Refunding Bonds, Series A,      
5.00%, 2/01/25   $475,000 $484,538
5.00%, 2/01/26   100,000 104,205
East Baton Rouge Parish Sewerage Commission Variable Revenue Refunding Bonds, Series A, 1.30%, 2/01/28(a)(b)(c)   500,000 444,686
Louisiana Public Facilities Authority Revenue Refunding Bonds, Loyola University Project,      
5.00%, 10/01/25   250,000 255,753
5.00%, 10/01/26   215,000 224,440
Louisiana State Local Government Environmental Facilities & Community Development Authority Subordinate Revenue Refunding Bonds, East Baton Rouge, 5.00%, 2/01/27   400,000 421,521
Louisiana State Offshore Terminal Authority Deepwater Port Variable Revenue Refunding bonds, Series C, Loop LLC Project, 4.20%, 9/01/28(a)(b)(c)   300,000 308,453
Louisiana State Public Facilities Authority Revenue Refunding Bonds, Ochsner Clinic Foundation Project, 5.00%, 5/15/26   400,000 408,775
Louisiana State Public Facilities Authority Solid Waste Disposal Variable Revenue Bonds (AMT), Waste Pro USA Inc., Project, 6.75%, 10/01/28(a)(b)(c)(d)   200,000 204,492
Saint James Parish Variable Revenue Bonds, Nustar Logistics, 5.85%, 6/01/25(a)(b)(c)(d)   525,000 535,379
    Par Value
Louisiana (Continued)
Saint John The Baptist Parish Revenue Refunding Bonds, Marathon Oil Corp., Project, 4.05%, 7/01/26(a)(b)(c)   $1,250,000 $1,237,510
Saint John The Baptist Parish Variable Revenue Refunding Bonds, Marathon Oil Corp., Project, 2.38%, 7/01/26(a)(b)(c)   125,000 119,013
      4,748,765
Maine – 0.3%
Maine Health & Higher Educational Facilities Authority Revenue Bonds, Series A, 5.00%, 7/01/27   215,000 227,633
Maine State Health & Higher Educational Facilities Authority Revenue Refunding Bonds, Series A (State Intercept State Resource Fund Guaranty Program), Prerefunded, 5.00%, 7/01/27(g)   30,000 32,114
Maine State Health & Higher Educational Facilities Authority Revenue Refunding Bonds, Series A (State Intercept State Resource Fund Guaranty Program), Unrefunded Balance, 5.00%, 7/01/28   620,000 656,634
      916,381
Maryland – 2.5%
Baltimore Convention Center Hotel Revenue Refunding Bonds, Convention Center Hotel, 5.00%, 9/01/39   500,000 495,249
Maryland State Community Development Administration Department Housing & Community Development Revenue Bonds, Social Bonds (GNMA, FNMA, FHLMC Insured), 5.05%, 3/01/47   500,000 513,993
 
107

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Maryland (Continued)
Maryland State Department of Transportation Revenue Bonds (AMT), Baltimore Washington International, 4.00%, 8/01/37   $270,000 $271,095
Maryland State Economic Development Corp., Private Activity Revenue Bonds (AMT), Purple Line Light Rail Project, Green Bonds,      
5.00%, 11/12/28   500,000 512,852
5.25%, 6/30/55   1,000,000 1,024,094
Maryland State Economic Development Corp., Revenue Bonds (AMT), Seagirt Marine Terminal Projects, 5.00%, 6/01/44   500,000 517,082
Maryland State Economic Development Corp., Senior Lien Revenue Bonds, Annapolis Mobility & Resilience, 5.00%, 12/31/42   145,000 151,791
Maryland State Health & Higher Educational Facilities Authority Revenue Bonds, Adventist Healthcare Obligated, 5.50%, 1/01/31   400,000 420,631
Maryland State Health & Higher Educational Facilities Authority Revenue Bonds, Peninsula Regional Health System, 5.00%, 7/01/27   1,320,000 1,391,866
Maryland State Health & Higher Educational Facilities Authority Revenue Refunding Bonds, Adventist Healthcare, 4.00%, 1/01/26   875,000 878,422
Maryland State Health & Higher Educational Facilities Authority Revenue Refunding Bonds, Series A, Broadmead Issue, 4.00%, 7/01/35   285,000 284,992
    Par Value
Maryland (Continued)
Maryland State Health & Higher Educational Facilities Authority Revenue Refunding Bonds, Series A, Mercy Medical Center, 4.00%, 7/01/42   $120,000 $113,125
Maryland State Health & Higher Educational Facilities Authority Revenue Refunding Bonds, Stevenson University Project, 4.00%, 6/01/51   500,000 426,884
Maryland State Health & Higher Educational Facilities Authority Variable Revenue Refunding Bonds, University of Maryland, 5.00%, 7/01/27(a)(b)(c)   200,000 210,288
Montgomery County GO Unlimited Refunding Bonds, Series A, Consolidated Public Improvement Project, 2.00%, 8/01/41   1,000,000 702,788
Montgomery County Housing Opportunities Commission Multifamily & Reconstruction Development Revenue Bonds, Series C (FHA 542 (C) Insured), 2.85%, 1/01/51   250,000 186,232
Washington County Economic Development Revenue Refunding Bonds, Homewood Maryland Obligated Group Project, 4.00%, 5/01/42   225,000 171,347
      8,272,731
Massachusetts – 1.2%
Massachusetts State Development Finance Agency Revenue Bonds, UMass Boston Student Housing Project, 5.00%, 10/01/48   500,000 498,560
Massachusetts State Development Finance Agency Revenue Refunding Bonds, Lasell University,      
4.00%, 7/01/25   235,000 232,420
4.00%, 7/01/26   240,000 236,469
 
108

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Massachusetts (Continued)
Massachusetts State Development Finance Agency Revenue Refunding Bonds, Series F, Lahey Clinic Obligated Group, 5.00%, 8/15/45   $250,000 $252,359
Massachusetts State Development Financing Agency Variable Revenue Bonds, Partners Healthcare System, (SIFMA Municipal Swap Index Yield + 0.60%), 4.34%, 1/29/26(a)(c)(d)   1,000,000 995,446
Massachusetts State GO Limited Refunding Bonds, Series B, 5.00%, 7/01/34   1,350,000 1,539,286
Massachusetts State Port Authority Revenue Bonds, Series E (AMT), 5.00%, 7/01/27   365,000 384,631
      4,139,171
Michigan – 2.5%
Detroit Downtown Development Authority Tax Allocation Increment Revenue Refunding Bonds, Series A, Catalyst Development Project (AGM Insured),      
5.00%, 7/01/43   100,000 100,194
5.00%, 7/01/48   200,000 198,535
Detroit GO Unlimited Bonds, 5.00%, 4/01/27   50,000 51,822
Detroit GO Unlimited Bonds, Series A, Social Bonds, 4.00%, 4/01/40   250,000 234,419
Gerald R. Ford International Airport Authority Revenue Bonds (AMT) (County Gtd), 5.00%, 1/01/51   525,000 553,547
Great Lakes Water Authority Sewage Disposal System Second Lien Revenue Refunding Bonds, Series C, 5.00%, 7/01/36   495,000 513,124
Michigan State Finance Authority Limited Obligation Revenue Refunding Bonds, Lawrence Technological University, 4.00%, 2/01/27   185,000 181,286
    Par Value
Michigan (Continued)
Michigan State Finance Authority Limited Obligation Revenue Refunding Bonds, University Of Detroit Mercy, 5.63%, 11/01/52   $300,000 $304,924
Michigan State Finance Authority Local Government Loan Program Revenue Refunding Bonds,      
5.00%, 7/01/29   425,000 434,825
4.50%, 10/01/29   250,000 250,966
Michigan State Finance Authority Revenue Bonds, Local Government Loan Program, 5.00%, 7/01/33   350,000 355,508
Michigan State Finance Authority Revenue Refunding Bonds, Trinity Health Credit Group, 4.00%, 12/01/35   515,000 533,751
Michigan State Finance Authority Variable Revenue Refunding Bonds, Beaumont Spectrum, (SIFMA Municipal Swap Index Yield + 0.75%), 4.49%, 4/15/27(a)(c)   1,500,000 1,486,496
Michigan State Hospital Finance Authority Revenue Refunding Bonds, Ascenion Senior, 5.00%, 11/15/47   420,000 427,781
Michigan State Strategic Fund Limited Obligation Variable Revenue Bonds (AMT), Green Bonds, 4.00%, 10/01/26(a)(b)(c)   100,000 98,950
Michigan State Strategic Fund Variable Limited Obligation Revenue Bonds (AMT), DTE Electric Company Exempt, 3.88%, 6/03/30(a)(b)(c)   1,000,000 990,603
Michigan State Trunk Line Revenue Bonds, Rebuilding Michagan Program, 5.50%, 11/15/49   1,000,000 1,157,726
Wayne State University Revenue Refunding Bonds, Series A (BAM, TCRS Insured), 5.00%, 11/15/27   300,000 313,636
      8,188,093
 
109

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Minnesota – 1.4%
City of Shakopee Senior Housing Revenue Bonds, Benedictine Living Community of Shakopee LLC Project, 5.85%, 11/01/25(a)(b)(c)(d)   $250,000 $243,169
Gibbon Independent School District No. 2365 GO Unlimited Bonds, Series A (School District Credit Program), 6.00%, 2/01/28   200,000 224,585
Minneapolis Health Care System Revenue Refunding Bonds, Fairview Health Services, Series A, 5.00%, 11/15/27   585,000 596,310
Minneapolis Health Care System Variable Revenue Bonds, Series B, Allina Health System, 5.00%, 11/15/30(a)(b)(c)   1,000,000 1,100,216
Minnesota State Agricultural & Economic Development Board Revenue Bonds, HealthPartners Obligated Group, 5.25%, 1/01/54   300,000 330,308
Saint Francis Independent School District No. 15 GO Unlimited Bonds, Series A (School District Credit Program), 4.00%, 2/01/33   410,000 410,047
Saint Paul Housing & Redevelopment Authority Health Care Facilities Revenue Refunding Bonds, HealthPartners Obligated Group, 5.00%, 7/01/31   1,635,000 1,665,892
      4,570,527
Mississippi – 0.1%
Mississippi State Hospital Equipment & Facilities Authority Adjustable Revenue Refunding Bonds, North Mississippi Health, 5.00%, 3/01/27(a)(b)(c)   265,000 276,995
Missouri – 1.1%
Central Southwest Community College District COPS,      
5.00%, 3/01/26   225,000 234,108
5.00%, 3/01/27   225,000 239,023
    Par Value
Missouri (Continued)
Missouri State Health & Educational Facilities Authority Health Facilities Revenue Bonds, Mercy Health, 3.00%, 6/01/53   $970,000 $710,932
Missouri State Health & Educational Facilities Authority Health Facilities Revenue Refunding Bonds, Series A, St. Luke's Health System, Inc., 5.00%, 11/15/30   250,000 260,155
Missouri State Health & Educational Facilities Authority Revenue Refunding Bonds,      
5.00%, 2/15/26   200,000 203,153
5.00%, 2/15/27   215,000 220,447
5.00%, 2/15/28   250,000 258,286
Missouri State Health & Educational Facilities Authority Revenue Refunding Bonds, Bethesda Health Group, Inc., 4.00%, 8/01/26   200,000 194,948
Missouri State Health & Educational Facilities Authority Revenue Refunding Bonds, Series C, 5.00%, 5/01/28(a)(b)(c)   500,000 537,346
Missouri State Health & Educational Facilities Authority Revenue Refunding Bonds, Webster University Project, 5.00%, 4/01/26   500,000 490,447
Saint Louis County IDA Senior Living Facilities Revenue Refunding Bonds, Friendship Village St. Louis, 5.00%, 9/01/48   500,000 451,554
      3,800,399
Nebraska – 0.9%
Central Plains Energy Gas Project Variable Revenue Refunding Bonds, Series A, Project No. 4, 5.00%, 11/01/29(a)(b)(c)   500,000 528,343
 
110

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Nebraska (Continued)
Douglas County Educational Facilities Variable Revenue Refunding Bonds, Creighton University Project, (SIFMA Municipal Swap Index Yield + 0.53%), 4.27%, 9/01/26(a)(c)   $735,000 $723,431
Douglas County Hospital Authority No. 2 Revenue Bonds, Children's Hospital Obligated Group, 5.00%, 11/15/25(a)(b)(c)   600,000 612,946
Douglas County Hospital Authority No. 3 Nebraska Health Facilities Revenue Refunding Bonds, Nebraska Methodist Health, 5.00%, 11/01/27   500,000 514,386
Gretna COPS, 5.00%, 12/15/25   500,000 507,886
      2,886,992
Nevada – 0.9%
Clark County PCR Refunding Bonds, Southern California Edison Company, 2.10%, 6/01/31   250,000 213,991
Clark County Stadium Improvement GO Limited Bonds, Series A, 5.00%, 5/01/48   500,000 527,188
Las Vegas Convention & Visitors Authority Convention Center Expansion Revenue Bonds, Series B, 5.00%, 7/01/43   250,000 263,834
Las Vegas New Convention & Visitors Authority Revenue Bonds, Series B, 5.00%, 7/01/37   1,000,000 1,088,717
Las Vegas Special Improvement District No. 814 Summerlin Village 21 & 24A Special Assessment Bonds, 4.00%, 6/01/49   95,000 77,266
    Par Value
Nevada (Continued)
Las Vegas Valley Water District GO Limited Bonds, Series A, 4.00%, 6/01/46   $250,000 $248,015
Reno Sales Tax First Lien Revenue Refunding Bonds, Retrac-Reno Transportation Rail Access Corridor Project, 5.00%, 6/01/48   500,000 516,784
      2,935,795
New Hampshire – 0.4%
National Finance Authority Municipal Certificates Revenue Bonds, Series 1-A, 4.13%, 1/20/34   869,452 851,554
National Finance Authority Revenue Bonds, Series A, 4.00%, 7/01/51   250,000 243,750
New Hampshire State Health & Education Facilities Authority Revenue Refunding Bonds, Kendal at Hanover Issue, 5.00%, 10/01/36   180,000 183,039
      1,278,343
New Jersey – 2.5%
Atlantic City Board Of Education GO Unlimited Refunding Bonds (AGM School Board Resource Fund Insured), 4.00%, 4/01/25   350,000 353,556
Garden State Preservation Trust Open Space & Farmland Preservation Revenue Bonds, Series A (AGM Insured), 5.75%, 11/01/28   400,000 425,894
New Jersey State EDA Energy Facility Revenue Bonds, Series A (AMT), UMM Energy Partners,      
5.00%, 6/15/37   190,000 190,060
5.13%, 6/15/43   350,000 350,084
New Jersey State EDA Motor Vehicle Surcharge Revenue Refunding Bonds, Subseries A, 3.38%, 7/01/30   250,000 246,472
New Jersey State EDA Private Activity Revenue Bonds (AMT), The Goethals Project, 5.38%, 1/01/43   100,000 100,298
 
111

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
New Jersey (Continued)
New Jersey State EDA Revenue Bonds, Portal North Bridge Project NJ Transit, 5.25%, 11/01/41   $235,000 $265,872
New Jersey State EDA Revenue Bonds, Provident Group Rowan Properties LLC, 5.00%, 1/01/48   125,000 116,735
New Jersey State EDA Revenue Refunding Bonds, Cranes Mill Project, 5.00%, 1/01/49   260,000 220,073
New Jersey State EDA Special Facility Revenue Refunding Bonds (AMT), Port Newark Container, 5.00%, 10/01/47   300,000 302,275
New Jersey State EDA Water Facilities Revenue Refunding Bonds (AMT), New Jersey American Water Co., Inc. Project, 2.20%, 12/03/29(a)(b)(c)   775,000 691,398
New Jersey State Health Care Facilities Financing Authority Revenue Bonds, Valley Health System Obligated Group Series, 5.00%, 7/01/33   1,000,000 1,094,600
New Jersey State Health Care Facilities Financing Authority Revenue Refunding Bonds, Inspira Health Obligated Group, 5.00%, 7/01/30   1,000,000 1,039,541
New Jersey State Health Care Facilities Financing Authority Revenue Refunding Bonds, RWJ Barnabas Health Obligated Group, 5.00%, 7/01/26(a)(b)(c)   400,000 415,361
New Jersey State Transportation Trust Fund Authority Revenue Bonds, Series A, 4.00%, 6/15/42   250,000 250,535
New Jersey State Transportation Trust Fund Authority Revenue Bonds, Series AA, 5.00%, 6/15/40   500,000 548,434
New Jersey State Transportation Trust Fund Authority Revenue Bonds, Transportation Program, 5.25%, 6/15/43   625,000 664,240
    Par Value
New Jersey (Continued)
New Jersey State Transportation Trust Fund Authority Revenue Refunding Bonds, Series A, 4.00%, 6/15/34   $175,000 $183,892
New Jersey State Transportation Trust Fund Authority Transportation System Revenue Refunding Bonds, 5.00%, 12/15/25   100,000 103,777
New Jersey State Turnpike Authority Revenue Bonds, Series A, 5.00%, 1/01/33   230,000 231,261
New Jersey State Turnpike Authority Revenue Bonds, Series B, 5.25%, 1/01/52   350,000 388,805
      8,183,163
New Mexico – 0.3%
Farmington Pollution Control Variable Revenue Refunding Bonds, Public Service Company of New Mexico San Juan, 3.90%, 6/01/28(a)(b)(c)   1,000,000 1,005,385
New York – 7.1%
Build Resource Corp., Revenue Bonds, Friends of Hellenic Classical Charter Schools, Inc., 4.00%, 12/01/31(d)   500,000 461,474
Hempstead Town Local Develop Corp., Education Revenue Refunding Bonds, Academy Charter School Project, 5.66%, 2/01/44   250,000 230,616
Hempstead Town Local Development Corp., Education Revenue Bonds, Academy Charter School Project, 4.60%, 2/01/51   250,000 187,114
Hempstead Town Local Development Corp., Revenue Refunding Bonds, Adelphi University Project, 5.00%, 6/01/27   300,000 317,747
Hudson Yards Infrastructure Corp., Revenue Refunding Bonds, Second Indenture Series, Fiscal 2022, Green Bonds, 4.00%, 2/15/43   1,000,000 1,007,106
 
112

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
New York (Continued)
Monroe County Industrial Development Agency School Facility Revenue Bonds, Rochester Schools Modernization Project (State Aid Withholding), 5.00%, 5/01/35   $800,000 $906,820
Monroe County Industrial Development Corp., Revenue Bonds, University of Rochester Project, 4.00%, 7/01/50   1,600,000 1,566,117
MTA, New York Transportation Variable Revenue Refunding Bonds, Subseries G-3, (SIFMA Municipal Swap Index Yield + 0.43%), 4.17%, 2/01/25(a)(c)   1,000,000 990,057
New York City Housing Development Corp., MFH Variable Revenue Bonds, Sustainable Development, 3.70%, 12/30/27(a)(b)(c)   500,000 502,351
New York City Municipal Water Finance Authority Water & Sewer System Revenue Bonds, Second General Resolution, Series CC-1, 5.00%, 6/15/49   250,000 267,608
New York City Municipal Water Finance Authority Water & Sewer System Revenue Bonds, Series AA-1, 5.25%, 6/15/52   250,000 280,167
New York City Transitional Finance Authority Future Tax Subordinate Revenue Bonds, 4.00%, 5/01/36   1,000,000 1,055,968
New York City Transitional Finance Authority Subordinate Revenue Bonds, Series F-1, 5.00%, 2/01/47   625,000 685,000
New York GO Unlimited Bonds, Series A-1, 5.25%, 9/01/42   250,000 284,979
New York GO Unlimited Bonds, Series D, Subseries D1, 5.00%, 12/01/42   250,000 267,794
New York State Convention Center Development Corp., Revenue Refunding Bonds, Hotel Unit Fee Secured, 5.00%, 11/15/40   600,000 609,303
    Par Value
New York (Continued)
New York State Dormitory Authority Non State Supported Debt Revenue Refunding Bonds, Series A, Barnard College, 4.00%, 7/01/49   $300,000 $283,643
New York State Dormitory Authority Personal Income Tax Revenue Refunding Bonds, Series A, 5.00%, 3/15/41   2,000,000 2,252,007
New York State Dormitory Authority Revenues Non State Supported Debt Revenue Refunding Bonds, Memorial Sloan Kettering Cancer Center, 5.00%, 7/01/42   200,000 209,238
New York State Dormitory Authority Revenues Non State Supported Debt Revenue Refunding Bonds, Series A, Montefiore Obligated Group, 4.00%, 9/01/50   500,000 443,493
New York State Dormitory Authority State Personal Income Tax Revenue Refunding Bonds, Series E, Unrefunded Balance, 5.00%, 2/15/44   425,000 428,858
New York State Energy Research & Development Authority PCR Refunding Bonds, New York Electric & Gas, Series C, 4.00%, 4/01/34   250,000 257,088
New York State Housing Finance Agency Affordable Housing Sustainability Revenue Bonds, Series L-2 (SonyMA Insured), 0.75%, 11/01/25   420,000 393,066
New York State Liberty Development Corp., Revenue Refunding Bonds, 4 World Trade Center Project, Green Bonds, 1.20%, 11/15/28   500,000 439,839
New York State Liberty Development Corp., Revenue Refunding Bonds, Class 2, 3 World Trade Center Project,      
5.15%, 11/15/34(d)   500,000 500,876
5.38%, 11/15/40(d)   150,000 150,107
 
113

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
New York (Continued)
New York State Transportation Development Corp. Special Facilities Revenue Bonds (AMT), John F. Kennedy International Airport (AGM Insured), Sustainable Bonds, 5.00%, 6/30/49   $250,000 $262,372
New York State Transportation Development Corp., Special Facilities Revenue Bonds (AMT), Delta Air Lines, Inc., Laguardia Airport Terminal C&D Redevelopment Project, 5.00%, 10/01/35   500,000 523,978
New York State Transportation Development Corp., Special Facilities Revenue Bonds, Delta Air Lines, Inc. (AMT), 5.00%, 1/01/30   345,000 355,607
New York State Transportation Development Corp., Special Facility Revenue Refunding Bonds (AMT), John F. Kennedy International Airport Project, 5.38%, 8/01/36   250,000 260,089
New York State Transportation Development Corp., Special Facility Revenue Refunding Bonds (AMT), Terminal 4 John F. Kennedy International Airport Project, 5.00%, 12/01/33   250,000 269,413
New York State Urban Development Corp., Personal Income TRB, Series A,      
4.00%, 3/15/38   500,000 518,868
5.00%, 3/15/41   250,000 275,495
New York State Urban Development Corp., Revenue Refunding Bonds, Series E Group 3, 4.00%, 3/15/43   500,000 501,868
    Par Value
New York (Continued)
Niagara Frontier Transportation Authority Revenue Refunding Bonds (AMT), Buffalo Niagara International Airport, 5.00%, 4/01/26   $250,000 $256,604
Onondaga County Trust Cultural Resources Revenue Refunding Bonds, Syracuse University Project, 4.00%, 12/01/41   250,000 253,693
Port Authority of New York & New Jersey Consolidated 211th Revenue Refunding Bonds, 5.00%, 9/01/48   830,000 876,439
Port Authority of New York & New Jersey Consolidated Revenue Bonds, Series 218 (AMT), 5.00%, 11/01/31   1,065,000 1,162,799
Port Authority of New York & New Jersey Consolidated Revenue Bonds, Series 221 (AMT), 4.00%, 7/15/40   500,000 495,465
Port Authority of New York & New Jersey Consolidated Revenue Refunding Bonds (AMT), 5.50%, 8/01/52   600,000 659,085
Poughkeepsie City GO Limited Refunding Bonds, 4.00%, 4/15/25   440,000 437,917
Triborough Bridge & Tunnel Authority General Revenue Bonds, Series A, MTA Bridges & Tunnels, 4.00%, 11/15/54   1,000,000 974,634
Triborough Bridge & Tunnel Authority Payroll Mobility Tax Revenue Refunding Bonds, Series A, MTA Bridges & Tunnels, 5.00%, 5/15/47   250,000 274,169
Troy Capital Resource Corp., Revenue Bonds, Rensselaer Polytechnic Institute Project, 4.00%, 9/01/33   100,000 102,336
 
114

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
New York (Continued)
Yonkers Economic Development Corp., Educational Revenue Bonds, Charter School Educational Excellence Project, 5.00%, 10/15/49   $100,000 $95,268
Yonkers GO Limited Bonds, Series F (BAM Insured), 5.00%, 11/15/27   100,000 108,612
      23,643,147
North Carolina – 2.0%
Forsyth County GO Unlimited Bonds, Series B, 2.00%, 3/01/37   1,000,000 792,527
Greater Asheville Regional Airport Authority Airport System Revenue Bonds (AMT) (AGM Insured), 5.25%, 7/01/48   250,000 270,588
Greater Asheville Regional Airport Authority Airport System Revenue Bonds, Series A (AMT) (AGM Insured), 5.50%, 7/01/47   1,000,000 1,097,444
North Carolina State Capital Facilities Finance Agency Educational Facilities Revenue Refunding Bonds, High Point University,      
5.00%, 5/01/25   240,000 244,442
5.00%, 5/01/26   275,000 284,828
North Carolina State Capital Facilities Finance Agency Revenue Refunding Bonds, The Arc Of North Carolina (Housing & Urban Development Sector 8 Program),      
5.00%, 10/01/28   300,000 301,274
5.00%, 10/01/34   250,000 248,555
North Carolina State Medical Care Commission Retirement Facilities Revenue Bonds, The Forest At Duke Project,      
4.00%, 9/01/33   180,000 169,832
4.00%, 9/01/34   185,000 173,266
North Carolina State Medical Care Commission Retirement Facilities Revenue Refunding Bonds, Series A, Sharon Towers, 5.00%, 7/01/49   100,000 85,993
    Par Value
North Carolina (Continued)
North Carolina State Turnpike Authority Senior Lien Revenue Bonds, Triangle Expressway, 4.00%, 1/01/55   $425,000 $389,935
North Carolina State Turnpike Authority Senior Lien Revenue Bonds, Triangle Expressway (AGM Insured), 5.00%, 1/01/49   500,000 527,566
North Carolina State Turnpike Authority Senior Lien Revenue Bonds, Triangle Expressway System (AGM Insured), 5.00%, 1/01/58   1,000,000 1,072,141
North Carolina State Turnpike Authority Senior Lien Revenue Refunding Bonds, 5.00%, 1/01/40   550,000 577,404
Union County GO Unlimited Bonds, Series C, 2.50%, 9/01/38   590,000 487,299
      6,723,094
North Dakota – 0.2%
City of Grand Forks Health Care System Revenue Bonds, Altru Health System, Series A (AGM Insured), 5.00%, 12/01/29   125,000 137,657
University of North Dakota COPS, Infrastructure Energy Improvement, 5.00%, 4/01/48   500,000 519,604
      657,261
Ohio – 2.2%
Akron Bath Copley Joint Township Hospital District Revenue Refunding Bonds, Summa Health Obligated Group Hospital,      
5.00%, 11/15/26   350,000 363,748
5.00%, 11/15/27   370,000 389,154
Buckeye Tobacco Settlement Financing Authority Revenue Refunding Bonds, Senior-Class 2, Series B-2, 5.00%, 6/01/55   900,000 849,710
 
115

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Ohio (Continued)
Cleveland-Cuyahoga County Port Authority Cultural Facilities Revenue Refunding Bonds, Playhouse Square Foundation Project, 5.50%, 12/01/43   $175,000 $177,129
Cleveland-Cuyahoga County Port Authority Cultural Facility Revenue Bonds, Cleveland Museum Of Natural History Project,      
5.00%, 7/01/25   125,000 128,090
5.00%, 7/01/26   125,000 130,539
5.00%, 7/01/27   125,000 132,969
5.00%, 7/01/28   155,000 168,002
Cleveland-Cuyahoga County Port Authority Financing Senior Tax Allocation Increment Revenue Refunding Bonds, Flats East Bank Project, 4.00%, 12/01/55(d)   250,000 206,363
Conotton Valley Union Local School District COPS, School Facilities Project (FHLMC Insured), 4.00%, 12/01/42   500,000 500,579
Cuyahoga Metropolitan Housing Authority Multifamily Housing Variable Revenue Bonds, Wade Park Apartments (FHA Insured, Housing & Urban Development Sector 8 Program), 4.75%, 12/01/25(a)(b)(c)   350,000 355,375
Franklin County Convention Facilities Authority Hotel Project Revenue Bonds, Greater Columbus Convention Center,      
5.00%, 12/01/34   170,000 171,375
5.00%, 12/01/36   305,000 303,589
Franklin County Health Care Facilities Revenue Refunding Bonds, Ohio Living Communities, 5.00%, 7/01/31   255,000 256,417
Hamilton County Hospital Facilities Revenue Bonds, Cincinnati Children's Hospital Project, 5.00%, 11/15/41   250,000 299,206
    Par Value
Ohio (Continued)
Lancaster Port Authority Gas Revenue Refunding Bonds, Series A, 5.00%, 2/01/25(a)(b)(c)   $225,000 $227,629
Marion County Health Care Facilities Revenue Refunding Bonds, United Church Homes, Inc., 5.13%, 12/01/49   100,000 78,426
Miami Valley Career Technology Center GO Unlimited Bonds, 4.00%, 12/01/37   250,000 255,673
Middleburg Heights Hospital Revenue Refunding Bonds, Southwest General Health Center, 4.00%, 8/01/41   500,000 473,643
Ohio State Air Quality Development Authority Revenue Refunding Bonds, Ohio Valley Electric Corp., 3.25%, 9/01/29   50,000 47,966
Ohio State Air Quality Development Authority Variable Revenue Refunding Bonds (AMT), Duke Energy Corp., Project, 4.25%, 6/01/27(a)(b)(c)   250,000 252,425
Ohio State Higher Educational Facilities Commission Revenue Refunding Bonds, Xavier University 2020 Project, 5.00%, 5/01/35   880,000 977,823
Ohio State Higher Educational Facility Commission Healthcare Revenue Bonds, Ashtabula County Medical Center Obligated Group, 5.00%, 1/01/26   100,000 101,813
Ohio State Higher Educational Facility Commission Revenue Refunding Bonds, Otterbein University 2022 Project, 4.00%, 12/01/46   500,000 436,845
Ohio State Hospital Revenue Refunding Bonds, Premier Health Partners Obligated Group, 5.00%, 11/15/26   145,000 149,877
      7,434,365
 
116

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Oklahoma – 0.9%
Carter County Public Facilities Authority Educational Facilities Lease Revenue Bonds, 5.00%, 9/01/27   $500,000 $522,977
Comanche County Hospital Authority Revenue Refunding Bonds, 5.00%, 7/01/29   570,000 569,147
Muskogee Industrial Trust Educational Facilities Lease Revenue Bonds, Muskogee Public Schools Project, 5.00%, 9/01/26   150,000 154,582
Oklahoma County Finance Authority Revenue Bonds, Exchange-Epworth Villa Project, 2.00%, 12/01/47   8,975 453
Oklahoma County Finance Authority Revenue Bonds, Exchange-Epworth Villa Project-B, 5.88%, 12/01/47   43,620 35,619
Oklahoma State Turnpike Authority Senior Lien Revenue Bonds, 5.50%, 1/01/53   475,000 528,847
Oklahoma State Water Resources Board Revolving Fund Revenue Bonds, Drinking Water Program 2019 Master Trust, 4.00%, 4/01/48   300,000 297,336
Tulsa County Industrial Authority Educational Facilities Lease Revenue Bonds, Berryhill Public Schools Project, 4.00%, 9/01/26   500,000 508,011
Washington County Educational Facilities Authority Lease Revenue Bonds, Dewey Public Schools Project, 5.00%, 9/01/29   435,000 468,906
      3,085,878
Oregon – 1.4%
Klamath Falls Intercommunity Hospital Authority Revenue Refunding Bonds, Sky Lakes Medical Center Project, 4.00%, 9/01/25   550,000 552,954
Medford Hospital Facilities Authority Revenue Refunding Bonds, Series A, Asante Projects, 5.00%, 8/15/45   500,000 526,820
    Par Value
Oregon (Continued)
Multnomah County Hospital Facilities Authority Revenue Refunding Bonds, Adventist Health System, 5.00%, 3/01/25(a)(b)(c)   $500,000 $503,297
Multnomah County Hospital Facilities Authority Revenue Refunding Bonds, Terwilliger Plaza-Parkview Project, Green Bonds, 0.95%, 6/01/27   155,000 139,448
Oregon State Business Development Commission Variable Revenue Bonds, Series 232, Intel Corp. Project, 3.80%, 6/15/28(a)(b)(c)   500,000 507,549
Oregon State Facilities Authority Revenue Refunding Bonds, Samaritan Health Services, 5.00%, 10/01/30   300,000 324,387
Oregon State Facilities Authority Revenue Refunding Bonds, Series A, Legacy Health Project, 5.00%, 6/01/46   500,000 505,949
Port of Morrow GO Limited Refunding Bonds, Series D,      
4.00%, 12/01/26   170,000 174,250
4.00%, 12/01/27   240,000 248,323
Port of Portland Airport Revenue Refunding Bonds, Portland International Airport (AMT), 5.00%, 7/01/25   750,000 766,032
Salem Hospital Facility Authority Revenue Refunding Bonds, Capital Manor Project, 5.00%, 5/15/27   260,000 262,568
      4,511,577
Pennsylvania – 3.3%
Allentown Neighborhood Improvement Zone Development Authority Tax Revenue Refunding Bonds, Forward Delivery, 5.00%, 5/01/42   250,000 256,450
 
117

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Pennsylvania (Continued)
Commonwealth Financing Authority Taxable Revenue Refunding Bonds, Series B-1, 5.00%, 6/01/26   $300,000 $307,380
Cumberland County Municipal Authority Revenue Refunding Bonds, Asbury Pennsylvania Obligated, 4.50%, 1/01/40(d)   185,000 160,567
Lancaster County Hospital Authority Revenue Refunding Bonds, Masonic Villages Project, 5.00%, 11/01/30   470,000 498,089
Laurel Highlands School District GO Limited Refunding Bonds (BAM State Aid Withholding), 4.00%, 2/01/26   350,000 356,465
Luzerne County IDA Revenue Refunding Bonds (AMT), Pennsylvania-American Water Co., Project, 2.45%, 12/03/29(a)(b)(c)   750,000 685,756
Montgomery County IDA Revenue Bonds, Acts Retirement-Life Communities, 5.00%, 11/15/45   1,500,000 1,543,340
Pennsylvania State Economic Development Financing Authority Tax-Exempt Private Activity Revenue Bonds (AMT), The Penndot Major Bridges, 5.75%, 6/30/48   575,000 638,870
Pennsylvania State Economic Development Financing Authority UPMC Revenue Bonds, Series A-1,      
5.00%, 4/15/25   200,000 204,363
4.00%, 4/15/45   500,000 486,537
Pennsylvania State Economic Development Financing Authority UPMC Revenue Bonds, Series A-2, 4.00%, 5/15/48   250,000 240,146
    Par Value
Pennsylvania (Continued)
Pennsylvania State Higher Educational Facilities Authority Revenue Refunding Bonds, Thomas Jefferson University,      
5.00%, 9/01/39   $500,000 $504,399
5.00%, 9/01/45   250,000 251,376
Pennsylvania State Housing Finance Agency SFM Revenue Refunding Bonds (AMT), Series 125A, 2.38%, 10/01/25   485,000 478,280
Pennsylvania State Turnpike Commission Registration Fee Variable Revenue Refunding Bonds, (SIFMA Municipal Swap Index Yield + 0.85%), 3.74%, 7/15/26(a)(c)   1,000,000 999,036
Pennsylvania State Turnpike Commission Revenue Refunding Bonds, Series B, 5.25%, 12/01/52   250,000 276,100
Pennsylvania State Turnpike Commission Subordinate Revenue Bonds, Series A (AGM Insured), 4.00%, 12/01/49   350,000 349,046
Philadelphia Airport Revenue Refunding Bonds, Series B (AMT),      
5.00%, 7/01/30   510,000 534,682
5.00%, 7/01/33   400,000 417,618
5.00%, 7/01/35   155,000 161,258
Philadelphia Airport Revenue Refunding Bonds, Series C (AMT), 4.00%, 7/01/40   250,000 245,974
Southcentral General Authority Revenue Bonds, York College of Pennsylvania Project,      
5.00%, 5/01/27   300,000 315,376
5.00%, 5/01/28   215,000 229,733
Southeastern Pennsylvania Transportation Authority Revenue Bonds, Asset Improvement Program, 5.25%, 6/01/47   250,000 277,001
 
118

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Pennsylvania (Continued)
West Cornwall Township Municipal Authority Healthcare Facilities Revenue Refunding Bonds, Lebanon Valley Brethren Home Project,      
4.00%, 11/15/25   $115,000 $113,920
4.00%, 11/15/26   125,000 123,053
4.00%, 11/15/27   130,000 127,090
4.00%, 11/15/28   105,000 101,876
      10,883,781
Puerto Rico – 1.1%
Puerto Rico Commonwealth Aqueduct & Sewer Authority Senior Lien Revenue Refunding Bonds, Series A, 5.00%, 7/01/30(d)   250,000 257,730
Puerto Rico Commonwealth Notes,      
3.04%, 11/01/43(b)(c)   21,189 11,733
2.09%, 11/01/51(b)(c)   431,249 243,117
Puerto Rico Commonwealth Restructured GO Unlimited Bonds, Series A1,      
5.38%, 7/01/25   160,394 162,971
5.63%, 7/01/27   309,847 327,171
5.63%, 7/01/29   1,058,875 1,146,671
5.75%, 7/01/31   57,185 63,704
4.00%, 7/01/33   54,226 52,608
4.00%, 7/01/35   48,742 46,500
4.00%, 7/01/37   106,285 99,646
4.00%, 7/01/41   56,878 51,861
Puerto Rico Commonwealth Restructured GO Unlimited CABS, Series A, 0.00%, 7/01/33(e)   69,785 44,378
Puerto Rico Sales Tax Financing Corp., Restructured TRB, Series A-1, 4.75%, 7/01/53   527,000 516,338
Puerto Rico Sales Tax Financing Corp., Revenue CABS, Series A-1, Restructured Bonds, 0.00%, 7/01/33(e)   500,000 342,811
    Par Value
Puerto Rico (Continued)
Puerto Rico Sales Tax Financing Corp., Sales Tax Revenue CABS, Series A-1,      
0.00%, 7/01/27(e)   $225,000 $197,784
0.00%, 7/01/46(e)   875,000 271,855
      3,836,878
Rhode Island – 0.2%
Rhode Island Commerce Corp., First Lien Special Facility Revenue Refunding Bonds, Rhode Island Airport Corp., International, 5.00%, 7/01/31   500,000 539,918
South Carolina – 0.8%
Connector 2000 Association, Inc., Toll Road Revenue CABS, Senior Series A-1,      
0.00%, 1/01/32(e)   409,302 242,406
0.00%, 1/01/42(e)   228,148 66,748
0.00%, 7/22/51(e)   265,293 35,218
South Carolina State Jobs EDA Hospital Revenue Refunding Bonds, Prisma Health Obligated Group, 5.00%, 5/01/38   400,000 415,802
South Carolina State Jobs EDA Hospital Variable Revenue Bonds, Bon Secours Mercy Health, 5.00%, 10/01/25(a)(b)(c)   850,000 871,221
South Carolina State Public Service Authority Revenue Bonds, Series E, Santee Cooper, 5.75%, 12/01/47   250,000 279,161
South Carolina State Public Service Authority Revenue Obligation Bonds, Series A, Unrefunded Balance , 5.50%, 12/01/54   275,000 275,572
South Carolina State Public Service Authority Revenue Refunding Bonds, Series A, 4.00%, 12/01/36   350,000 355,194
      2,541,322
 
119

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
South Dakota – 0.1%
South Dakota State Board of Regents Housing & Auxiliary Facilities System Revenue Refunding Bonds, 4.00%, 4/01/26   $375,000 $382,427
Tennessee – 1.5%
Knox County Health Educational & Housing Facility Board Student Housing Revenue Bonds, University of Tennessee Project, Series A-1 (BAM Insured), 5.50%, 7/01/54   250,000 274,916
Metropolitan Government Nashville & Davidson County Health & Educational Facilities Board Revenue Bonds, Vanderbilt University Medical Center, 5.00%, 7/01/40   400,000 406,447
Metropolitan Nashville Airport Authority Revenue Bonds, Series B (AMT), 5.00%, 7/01/26   600,000 623,042
Metropolitan Nashville Airport Authority Subordinate Revenue Bonds, Series B (AMT), 5.00%, 7/01/39   1,000,000 1,067,784
Tennergy Corp., Gas Revenue Bonds, Series A, 4.00%, 9/01/28(a)(b)(c)   1,500,000 1,502,750
Tennergy Corp., Gas Supply Revenue Bonds, Series A, 5.50%, 12/01/30(a)(b)(c)   1,000,000 1,066,973
      4,941,912
Texas – 6.3%
Arlington Higher Education Finance Corp., Revenue Bonds, Riverwalk Education Foundation (PSF, Gtd), 5.00%, 8/15/47   500,000 543,527
Austin Convention Enterprises, Inc., Convention Center Revenue Refunding Bonds, First Tier, 5.00%, 1/01/32   625,000 641,028
Board of Managers Joint Guadalupe County-City of Seguin Hospital Mortgage Revenue Refunding Bonds, 5.00%, 12/01/40   200,000 192,800
    Par Value
Texas (Continued)
Central Texas Regional Mobility Authority Revenue Bonds, Series C, 5.00%, 1/01/27   $275,000 $283,296
Central Texas Regional Mobility Authority Senior Lien Revenue Refunding Bonds, Series A, 5.00%, 1/01/49   500,000 525,144
Dallas Area Rapid Transit Senior Lien Sales Tax Revenue Refunding Bonds, Series B, 4.00%, 12/01/51   500,000 488,342
Dallas Senior Lien Special Tax Variable Revenue Bonds, Fair Park Venue Project, 6.25%, 8/15/28(a)(b)(c)(d)   250,000 253,445
Dallas-Fort Worth International Airport Revenue Refunding Bonds, Series B, 5.00%, 11/01/25   400,000 414,157
El Paso Texas Airport Revenue Bonds (AMT), 5.00%, 8/15/27   375,000 395,188
Fort Bend Independent School District Variable GO Unlimited Refunding Bonds, Series B (PSF, Gtd), 0.72%, 8/01/26(a)(b)(c)   840,000 786,004
Grand Parkway Transportation Corp., System Toll Revenue Refunding Bonds, Grand Parkway System - First, 4.00%, 10/01/45   265,000 264,885
Greater Texoma Utility Authority Contract Revenue Bonds, Series A, City of Sherman Project (BAM Insured),      
5.00%, 10/01/29   350,000 390,498
4.00%, 10/01/43   250,000 249,714
Harris County Cultural Education Facilities Finance Corp., Variable Revenue Refunding Bonds, Memorial Hermann Health, 5.00%, 12/01/28(a)(b)(c)   570,000 613,500
Harris County Cultural Educational Facilities Finance Corp., Revenue Refunding Bonds, Texas Children's Hospital, 4.00%, 10/01/38   350,000 351,378
 
120

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Texas (Continued)
Harris County Flood Control District GO Limited Bonds, Sustainability Bond, Series A, 4.00%, 9/15/43   $250,000 $252,061
Houston Airport System Revenue Bonds, Subseries A (AMT), 5.00%, 7/01/25   500,000 509,301
Houston Airport System Revenue Refunding Bonds (AMT), United Airlines, Inc., Improvement Projects, 5.00%, 7/15/27   175,000 176,942
Houston Airport System Revenue Refunding Bonds (AMT), United Airlines, Inc., Terminal, 5.00%, 7/01/27   125,000 126,360
Houston Airport System Subordinate Lien Revenue Refunding Bonds, Series A (AMT) (AGM Insured), 5.25%, 7/01/43   400,000 439,759
Houston Hotel Occupancy Tax & Special Revenue Refunding Bonds, Convention & Entertainment, 5.00%, 9/01/36   510,000 548,951
Kermit Independent School District GO Unlimited Bonds (PSF, Gtd), 5.00%, 2/15/26   325,000 338,178
Kilgore Independent School District GO Unlimited Bonds (PSF, Gtd), 3.00%, 2/15/41   730,000 632,321
Lower Colorado River Authority Transmission Contract Revenue Refunding Bonds, LCRA Transmission Services Corp., Project, 5.00%, 5/15/35   250,000 275,844
Matagorda County Navigation District No. 1 Revenue Refunding Bonds (AMBAC Insured), 4.40%, 5/01/30   1,500,000 1,529,337
Montgomery County Toll Road Authority Senior Lien Revenue Bonds, 5.00%, 9/15/37   500,000 506,400
    Par Value
Texas (Continued)
New Hope Cultural Educational Facilities Finance Corp., Retirement Facilities Revenue Refunding Bonds, Presbyterian Village North Project, 5.25%, 10/01/49   $100,000 $80,780
New Hope Cultural Educational Facilities Finance Corp., Retirement Facilities Revenue Refunding Bonds, Westminster Manor Project, 5.00%, 11/01/31   250,000 254,862
Odessa Junior College District Consolidated Revenue Bonds (AGM Insured), 4.00%, 7/01/27   435,000 451,160
Pasadena Independent School District GO Unlimited Bonds, Series A (PSF, Gtd), 4.00%, 2/15/32   700,000 700,294
Port Arthur Certificates GO Limited Bonds (BAM Insured), 5.00%, 2/15/27   345,000 366,390
Port Beaumont Navigation District Dock & Wharf Facility Revenue Refunding Bonds (AMT), Jefferson Gulf Coast Energy Project, 4.00%, 1/01/50(d)   375,000 274,645
San Antonio Airport System Subordinate Lien Revenue Refunding Bonds, Series A (AMT), 5.00%, 7/01/30   250,000 269,965
San Antonio Water Junior Lien Revenue Refunding Bonds, Series A, 5.00%, 5/15/43   500,000 526,414
Tarrant County Cultural Educational Facilities Finance Corp., Revenue Refunding Bonds, Texas Health Resources System Obligation, 5.00%, 2/15/34   400,000 418,620
Texas City Industrial Development Corp., Revenue Bonds, Series 2012, NRG Energy Project, 4.13%, 12/01/45   545,000 506,465
Texas State PFA Lease Revenue Refunding Bonds, 4.00%, 2/01/36   250,000 256,536
 
121

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Texas (Continued)
Texas State Private Activity Bond Surface Transportation Corp., Revenue Bonds (AMT), Segment 3C Project, 5.00%, 6/30/58   $1,100,000 $1,112,407
Texas State Private Activity Bond Surface Transportation Corp., Senior Lien Revenue Bonds (AMT), Blueridge Transportation,      
5.00%, 12/31/45   500,000 501,666
5.00%, 12/31/55   200,000 198,841
Texas State Private Activity Bond Surface Transportation Corp., Senior Lien Revenue Refunding Bonds, North Tarrant Express, 4.00%, 12/31/38   750,000 753,045
Texas State Private Activity Surface Transportation Corp., Senior Lien Revenue Refunding Bonds (AMT), 5.50%, 6/30/42   1,000,000 1,071,317
Texas State Transportation Commission First Tier Toll Revenue Bonds, State Highway, 5.00%, 8/01/57   100,000 101,650
Texas State Transportation Commission First Tier Toll Revenue CABS, 0.00%, 8/01/29(e)   480,000 388,250
Texas State Water Development Board Revenue Bonds, State Water Implementation Fund, 4.00%, 10/15/38   510,000 524,962
University of Houston Revenue Refunding Bonds, Series A, 5.00%, 2/15/47   250,000 272,249
Waller Independent School District GO Unlimited Bonds (BAM Insured), 5.00%, 2/15/44   235,000 257,950
      21,016,828
Utah – 0.7%
Cache County School District Building GO Unlimited Refunding Bonds (School Board Guaranty Program), 4.00%, 6/15/30   925,000 945,224
    Par Value
Utah (Continued)
Salt Lake City Airport Revenue Bonds, Series A (AMT), 5.00%, 7/01/51   $1,000,000 $1,038,517
Utah State Charter School Finance Authority Revenue Refunding Bonds, Series A ut Csce, 5.00%, 4/15/28   280,000 299,086
      2,282,827
Virginia – 2.9%
Arlington County IDA Hospital Facilities Revenue Refunding Bonds, Virginia Hospital Center, 3.75%, 7/01/50   500,000 462,606
Chesapeake Bay Bridge & Tunnel District Revenue Bonds, First Tier General Resolution (AGM Insured), 5.00%, 7/01/41   1,000,000 1,031,749
Chesapeake Bay Bridge & Tunnel District Revenue First Tier General Resolution Revenue Bonds, 5.00%, 7/01/51   750,000 751,737
Chesapeake Hospital Authority Hospital Facilities Revenue Refunding Bonds, Chesapeake Regional Medical Center, 5.00%, 7/01/31   500,000 545,571
Chesapeake Transportation System Senior Toll Road Revenue Bonds, Series A, 5.00%, 7/15/47   500,000 500,229
Fairfax County GO Unlimited Bonds, Series A (State Aid Withholding), 2.00%, 10/01/41   1,000,000 713,721
Fairfax County IDA Health Care Revenue Refunding Bonds, Inova Health System Project, 3.50%, 5/15/39   525,000 500,962
Newport News EDA Residential Care Facilities Revenue Refunding Bonds, Lifespire of Virginia, 5.00%, 12/01/38   560,000 564,148
Virginia State Commonwealth Transportation Board Capital Projects Revenue Bonds, 3.00%, 5/15/37   1,000,000 920,805
 
122

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Virginia (Continued)
Virginia State Small Business Financing Authority Senior Lien Revenue Bonds (AMT), Elizabeth River Crossings OpCo, LLC Project,      
4.00%, 7/01/32   $275,000 $277,066
4.00%, 1/01/37   660,000 651,530
Virginia State Small Business Financing Authority Senior Lien Revenue Refunding Bonds (AMT), 95 Express Lanes,      
5.00%, 7/01/38   910,000 976,300
4.00%, 7/01/39   240,000 235,692
4.00%, 1/01/40   280,000 273,353
4.00%, 1/01/48   225,000 212,009
Virginia State Small Business Financing Authority Senior Lien Revenue Refunding Bonds (AMT), I-495 Hot Lanes, 5.00%, 12/31/57   1,000,000 1,017,490
      9,634,968
Washington – 2.7%
Energy Northwest Electric Revenue Refunding Bonds, Columbia Generating Station , 4.00%, 7/01/42   1,515,000 1,523,627
King County Public Hospital District No. 1 GO Limited Tax Refunding Bonds, Valley Medical Center, 5.00%, 12/01/26   550,000 580,077
King County Sewer Revenue Refunding Bonds, 5.00%, 7/01/42   250,000 261,643
Port of Seattle Airport Intermediate Lien Revenue Bonds (AMT), 5.00%, 4/01/44   500,000 519,230
Port of Seattle Intermediate Lien Revenue Refunding Bonds (AMT), 5.00%, 8/01/47   250,000 263,898
Seattle Housing Authority Revenue Refunding Bonds, Northgate Plaza Project, 1.00%, 6/01/26   500,000 467,546
Seattle Municipal Light & Power Revenue Refunding Bonds, 4.00%, 9/01/40   500,000 501,152
    Par Value
Washington (Continued)
Seattle Municipal Light & Power Variable Revenue Refunding Bonds, Series B, (SIFMA Municipal Swap Index Yield + 0.25%), 3.99%, 11/01/26(a)(c)   $750,000 $730,111
Skagit County Public Hospital District No. 1 Revenue Improvement & Refunding Bonds, Skagit Regional Health,      
5.00%, 12/01/27   500,000 506,103
5.00%, 12/01/28   440,000 446,068
Washington State GO Unlimited Bonds, Series C, 5.00%, 2/01/40   2,000,000 2,202,361
Washington State Health Care Facilities Authority Revenue Bonds, Series A, Providence Health & Services, 4.00%, 10/01/34   500,000 489,720
Washington State Higher Educational Facilities Authority Revenue Bonds, Seattle University Project, 4.00%, 5/01/50   250,000 229,409
Washington State Housing Finance Commission Nonprofit Revenue Refunding Bonds, Emerald Heights Project, Series A, 5.00%, 7/01/26   285,000 292,742
      9,013,687
Wisconsin – 2.7%
Clayton Town NANS, Series B, 2.00%, 6/01/25   225,000 218,181
Milwaukee Corp., Purpose GO Unlimited Bonds, Series B3, 4.00%, 4/01/26   1,000,000 1,001,473
Milwaukee GO Unlimited Bonds, Promissory Notes, Series N3 (AGM Insured), 5.00%, 4/01/31   500,000 563,325
Milwaukee Metropolitan Sewerage District GO Unlimited Bonds, Green Bonds, Climate Bond Certified, 4.00%, 10/01/43   500,000 506,969
Monroe School District GO Unlimited Refunding Bonds (AGM Insured), 5.00%, 3/01/25   300,000 306,046
Park Falls NANS, Series B, 3.00%, 3/01/25   975,000 965,665
 
123

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par Value
Wisconsin (Continued)
PFA Education Revenue Bonds, North Carolina Leadership Academy, 5.00%, 6/15/49(d)   $100,000 $90,046
PFA Educational Revenue Bonds, Piedmont Community Charter School,      
5.00%, 6/15/39   490,000 491,832
5.00%, 6/15/49   150,000 143,450
PFA Exempt Facilities Revenue Refunding Bonds (AMT), National Gypsum Co., 4.00%, 8/01/35   370,000 329,864
PFA Pollution Control Variable Revenue Refunding Bonds, Duke Energy Progress Project, 3.30%, 10/01/26(a)(b)(c)   500,000 498,169
PFA Project Revenue Bonds, CFP3 - Eastern Michigan University Housing Project (BAM Insured), 5.50%, 7/01/52   250,000 275,715
PFA Revenue Bonds, Roseman University, Unrefunded Balance, 5.00%, 4/01/50(d)   250,000 227,914
PFA Variable Revenue Refunding Bonds, Providence St. Joseph, 4.00%, 10/01/30(a)(b)(c)   370,000 373,100
Public Financial Authority Solid Waste Disposal Revenue Refunding Bonds (AMT), Waste Management, Inc., Project, 2.88%, 5/01/27   495,000 471,649
Wisconsin Center District Appropriation Revenue Bonds, Milwaukee Arena Project, 5.00%, 12/15/27   200,000 209,412
Wisconsin Center District TRB, CABS, Junior Dedicated, Series D (AGM Moral Obligation Insured), 0.00%, 12/15/45(e)   250,000 93,995
Wisconsin State Health & Educational Facilities Authority Revenue Bonds, Series A, Unitypoint Health, 5.00%, 12/01/28   590,000 594,531
    Par Value
Wisconsin (Continued)
Wisconsin State Health & Educational Facilities Authority Revenue Bonds, Three Pillars Senior Living Communities, 4.00%, 8/15/31   $375,000 $355,300
Wisconsin State Health & Educational Facilities Authority Revenue Refunding Bonds, Ascension Health Credit Group, 4.00%, 11/15/39   290,000 290,729
Wisconsin State Health & Educational Facilities Authority Revenue Refunding Bonds, Benevolent Corp., Cedar Community, 5.00%, 6/01/41   250,000 225,263
Wisconsin State Health & Educational Facilities Authority Revenue Refunding Bonds, Fort Healthcare, Inc., 5.00%, 5/01/25   350,000 351,546
Wisconsin State Health & Educational Facilities Authority Revenue Refunding Bonds, Rogers Memorial Hospital, Inc., 5.00%, 7/01/25   385,000 387,498
      8,971,672
Wyoming – 0.1%
Sublette County Hospital District Revenue Bonds, Series A, Hospital Construction Project, 5.00%, 6/15/26   500,000 501,309
Total Municipal Bonds
(Cost $297,182,932)
286,443,234
    
    Par/Number
of Shares
 
Short-Term Investments – 13.3%
Money Market Fund – 4.3%
Northern Institutional Funds - Treasury Portfolio (Premier), 5.17%(h)   14,263,159 14,263,159
 
124

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par/Number
of Shares
Value
Municipal – 9.0%
Bay Area Toll Bridge Authority Variable Revenue Refunding Bonds, San Francisco Bay, (SIFMA Municipal Swap Index Yield + 0.28%), 4.02%, 4/01/24(a)(c)   250,000 $249,717
Capital Trust Agency Sustainability Revenue Bonds, The Marie, 4.00%, 6/15/24(d)   105,000 104,586
Cass County Joint Water Resource District GO Unlimited Bonds, Series A, 0.48%, 5/01/24   600,000 594,400
Clayton Town NANS, Series B, 2.00%, 6/01/24   100,000 99,116
Colorado State Bridge Enterprise Revenue Bonds (AMT), Central 70 Project, 4.00%, 12/31/24   630,000 631,519
Connecticut State Health & Educational Facilities Authority Revenue Refunding Bonds, Series B-1, 5.00%, 1/01/25(a)(b)(c)   500,000 505,565
Connecticut State Health & Educational Facilities Authority Revenue Refunding Bonds, University of Hartford, 5.00%, 7/01/24   240,000 239,745
Connecticut State HFA Mortgage Finance Program Variable Revenue Bonds, Series A-4, Social Bonds, (SIFMA Municipal Swap Index Yield + 0.30%), 4.04%, 11/15/24(a)(c)   1,000,000 997,175
County Square Redevelopment Corp., Installment Purchase Revenue BANS, Greenville County South Carolina Project, 5.00%, 2/09/24   2,000,000 2,000,702
Denver City & County Airport Revenue Refunding Bonds, Series D (AMT), 5.00%, 11/15/24   500,000 505,510
    Par/Number
of Shares
Value
Municipal (Continued)
Fairfax County EDA Residential Care Facilities Revenue Refunding Bonds, Series A, Goodwin House, Inc., Prerefunded, 5.00%, 10/01/24(g)   150,000 $154,600
Farmington PCR Refunding Bonds, Public Service Company of New Mexico San Juan Project, 1.15%, 6/01/24(a)(b)(c)   250,000 247,066
Fort Bend Independent School District Variable GO Unlimited Bonds, Series B (PSF, Gtd), 3.65%, 8/01/24(a)(b)(c)   500,000 500,221
Glendale IDA Revenue Refunding Bonds, Midwestern University, 5.00%, 5/15/24   250,000 251,249
Hamden GO Unlimited Refunding Bonds, Series A (BAM Insured), 5.00%, 8/01/24   500,000 503,838
Harris County Cultural Education Facilities Finance Corp., Variable Revenue Refunding Bonds, Methodist Hospital, 2.65%, 2/01/24(a)(c)(i)   300,000 300,000
Houston Housing Finance Corp., MFH Variable Revenue Bonds, Temenos Place Apartments, 4.08%, 2/01/24(a)(b)(c)   450,000 450,000
Idaho State Health Facilities Authority Hospital Variable Revenue Bonds, Che Trinity Health Credit Group, 3.70%, 5/01/24(a)(b)(c)   500,000 500,122
Illinois State GO Unlimited Bonds, Series B, 5.00%, 3/01/24   250,000 250,284
Kentucky State Economic Development Finance Authority Health System Revenue Bonds, Norton Healthcare, Inc., Series B (NATL Insured), 0.00%, 10/01/24(e)   280,000 272,486
 
125

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par/Number
of Shares
Value
Municipal (Continued)
Kentucky State Public Energy Authority Gas Supply Revenue Bonds, Series A, 4.00%, 4/01/24(a)(b)(c)   475,000 $475,628
Kentucky State Public Energy Authority Revenue Bonds, Series B, Gas Supply, 4.00%, 1/01/25(a)(b)(c)   650,000 650,705
Kentucky State University COPS, Kentucky State University Project (BAM Insured), 5.00%, 11/01/24   230,000 232,890
Kingfisher Special Projects Authority Educational Facilities Lease Revenue Bonds, Kingfisher Public Schools Project, 4.00%, 3/01/24   600,000 600,291
Lehigh County General Purpose Authority Revenue Refunding Bonds, Muhlenberg College Project, (SIFMA Municipal Swap Index Yield + 0.58%), 4.32%, 11/01/24(a)(c)   395,000 394,902
Long Island Power Authority Electric System Variable Revenue Bonds, Series B, 1.65%, 9/01/24(a)(b)(c)   1,650,000 1,627,437
Lowville GO Limited BANS, Series A, 4.63%, 8/22/24   500,000 500,169
Main Street Natural Gas, Inc., Gas Supply Variable Revenue Bonds, Series B, 4.00%, 12/02/24(a)(b)(c)   100,000 100,162
Maine State Finance Authority Student Loan Revenue Refunding Bonds (AMT) (AGM Insured), 5.00%, 12/01/24   500,000 505,855
Maryland State Community Development Administration Housing Revenue Bonds, Series I, Rosemont L.P., 4.38%, 1/01/25(d)   1,000,000 1,002,088
    Par/Number
of Shares
Value
Municipal (Continued)
Maryland State Health & Higher Educational Facilities Authority Revenue Bonds, Peninsula Regional Health System, 5.00%, 7/01/24   350,000 $351,972
Metropolitan Government Nashville & Davidson County Health & Educational Facility Board Revenue Refunding Bonds, Trevecca Nazarene University, 3.00%, 10/01/24   110,000 108,809
Miami-Dade County COPS, Series A, Prerefunded, 5.00%, 5/01/24(b)(c)(g)   515,000 517,082
Michigan State Strategic Fund Limited Obligation Variable Revenue Bonds (AMT), Consumers Energy Co., 1.80%, 10/01/24(a)(b)(c)   500,000 492,566
Missouri State Health & Educational Facilities Authority Revenue Refunding Bonds, Bethesda Health Group, Inc., 4.00%, 8/01/24   320,000 318,462
MTA Variable Revenue Bonds, Subseries D-1, (SOFR + 0.33%), 3.89%, 4/01/24(a)(c)   845,000 844,531
Neshannock Township School District GO Limited Refunding Bonds, Series B (State Aid Withholding), 2.00%, 9/01/24   190,000 187,768
New Jersey State EDA Revenue Refunding Bonds, Series A, United Methodist Homes, Prerefunded, 5.00%, 7/01/24(g)   100,000 100,551
New Jersey State Higher Education Assistance Authority Student Loan Revenue Bonds, Series B (AMT), 5.00%, 12/01/24   570,000 577,517
New Jersey Transportation Trust Fund Authority Revenue Refunding Bonds, Series AA, 5.00%, 6/15/24   600,000 603,899
 
126

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par/Number
of Shares
Value
Municipal (Continued)
New Orleans Sewarage Service Revenue Refunding Bonds, 5.00%, 6/01/24   500,000 $502,491
New York State Dormitory Authority Revenues Non State Supported Debt Revenue Bonds, Northwell Health Obligated Group, 5.00%, 5/01/24(a)(b)(c)   250,000 250,303
North Carolina State Capital Facilities Finance Agency Educational Facilities Revenue Refunding Bonds, High Point University, 4.00%, 5/01/24   240,000 240,238
North Carolina State Housing Fiance Agency MFH Variable Revenue Bonds, Wind Creek Senior Living, 4.50%, 6/01/24(j)   481,000 481,228
North Carolina State Medical Care Commission Retirement Facilities Revenue Refunding Bonds, First Mortgage, 4.00%, 1/01/25   250,000 247,653
North Carolina State Medical Care Commission Retirement Facilities Revenue Refunding Bonds, First Mortgage, United Church Services, Prerefunded, 5.00%, 9/01/24(g)   155,000 156,628
North Carolina State Turnpike Authority Triangle Expressway System Revenue BANS, Escrowed to Maturity, 5.00%, 2/01/24   200,000 200,000
Northside Texas Independent School District GO Unlimited Refunding Bonds (PSF, Gtd), 1.60%, 8/01/24(a)(b)(c)   335,000 332,036
Ohio State Air Quality Development Authority Revenue Refunding Bonds (AMT), American Electric Power Company Project, 2.10%, 10/01/24(a)(b)(c)   500,000 488,860
    Par/Number
of Shares
Value
Municipal (Continued)
Oil City GO Unlimited Bonds, Series A (AGM Insured), 4.00%, 12/01/24   150,000 $150,982
Oklahoma State Development Finance Authority Revenue Refunding Bonds, Oklahoma City University Project, 5.00%, 8/01/24   590,000 590,918
Pima County IDA Education Revenue Refunding Bonds, Series A, 4.00%, 12/15/24(d)   140,000 139,251
PMA Levy & Aid Anticipation Notes Program Revenue Notes, Series A, 5.00%, 9/25/24   1,000,000 1,009,893
PMA Levy & Aid Anticipation Program Note Participations Revenue Bonds, Series B, 5.00%, 4/03/24   400,000 400,983
Providence GO Unlimited Refunding Bonds, Series A, 5.00%, 1/15/25   400,000 406,210
Puerto Rico Commonwealth Restructured GO Unlimited CABS, Series A, 0.00%, 7/01/24(e)   8,821 8,669
Salem Hospital Facility Authority Revenue Refunding Bonds, Capital Manor Project, 5.00%, 5/15/24   110,000 109,996
San Antonio Water Junior Lien Variable Revenue Bonds, Series A, 2.63%, 5/01/24(a)(b)(c)   1,125,000 1,121,306
Southeast Alabama State Gas Supply District Revenue Bonds, Series A, Project No. 2, 4.00%, 6/01/24(a)(b)(c)   600,000 600,193
Tennergy Corp., Gas Revenue Bonds, Series A, 5.00%, 10/01/24(a)(b)(c)   500,000 503,796
Texas State Municipal Gas Acquisition & Supply Corp., III Gas Supply Revenue Refunding Bonds, 5.00%, 12/15/24   1,000,000 1,007,701
 
127

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
    Par/Number
of Shares
Value
Municipal (Continued)
Village Community Development District No. 13 Special Assessment Bonds, Limited Offering, 2.63%, 5/01/24   125,000 $124,576
West Cornwall Township Municipal Authority Healthcare Facilities Revenue Refunding Bonds, Lebanon Valley Brethren Home Project, 4.00%, 11/15/24   115,000 114,554
Wisconsin State Health & Educational Facilities Authority Revenue Refunding Bonds, Series B5, 5.00%, 12/03/24(a)(b)(c)   855,000 865,301
Wisconsin State Health & Educational Facilities Authority Variable Revenue Refunding Bonds, Advocate Aurora Health Credit Group, 5.00%, 1/29/25(a)(b)(c)   500,000 507,232
      30,112,183
Total Short-Term Investments
(Cost $44,568,266)
44,375,342
Total Investments – 99.3%
(Cost $341,751,198)
330,818,576
Other Assets less Liabilities – 0.7% 2,339,040
NET ASSETS – 100.0% $333,157,616
Percentages shown are based on Net Assets.
    
 
(a) Maturity date represents the puttable date.    
(b) These securities are remarketed by an agent, and the interest rate is determined by general market conditions and supply and demand.    
(c) Variable or floating rate security. Rate as of January 31, 2024 is disclosed.    
(d) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.    
(e) Zero coupon bond.    
(f) Amount rounds to less than 0.05%.    
(g) Maturity date represents the prerefunded date.    
(h) 7-day current yield as of January 31, 2024 is disclosed.    
(i) Rate is determined by a Remarketing Agent which, in its judgment, on the basis of prevailing financial markets, will be the lowest interest rate necessary to enable the remarketing agent to sell the bonds at a price equal to 100% of the principal amount.    
(j) Security has converted to a fixed rate as of June 1, 2023, and will continue at a fixed rate going forward.    
    
Abbreviations:
    
AGM Assured Guarantee Municipal Corporation
AMBAC American Municipal Bond Assurance Corporation
AMT Alternative Minimum Tax
128

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
BAM Build America Mutual
BANS Bond Anticipation Notes
CABS Capital Appreciation Bonds
COPS Certificates of Participation
EDA Economic Development Administration
FHA Federal Housing Administration
FHLMC Federal Home Loan Mortgage Corporation
FNMA Federal National Mortgage Association
GNMA Government National Mortgage Association
GO Government Obligation
Gtd Guaranteed
HFA Housing Finance Authority
IBC Insured Bond Certificates
IDA Industrial Development Association
L.P. Limited Partnership
LLC Limited Liability Company
LOC Letter of Credit
MFH Multifamily Housing
MTA Metropolitan Transportation Authority
NATL National Interstate Insurance
PCR Pollution Control Revenue
PFA Public Finance Authority
PSF Permanent School Fund
SFM Single Family Mortgage
SIFMA Securities Industry and Financial Markets Association
SOFR United States Secured Overnight Financing Rate
SonyMA State of New York Mortgage Agency
TCRS Transferable Custodial Receipts
TRB Tax Revenue Bonds
Municipal Issue Type (%)(a),(b)  
Revenue Bonds 80.0
General Obligation Unlimited Bonds 9.0
Certificates of Participation 2.1
General Obligation Limited Bonds 1.8
Revenue Notes 1.0
Special Tax Bonds 0.4
Tax Allocation Bonds 0.3
Special Assessment Bonds 0.3
General Obligation Limited Notes 0.1
Total 95.0
    
(a)Percentages shown are based on Net Assets.
(b)Excludes Short-Term Money Market Fund Investments and Other.
Sector Diversification (%)(a)  
General 17.7
Medical 14.3
Transportation 10.1
Airport 8.2
General Obligation 7.2
Development 5.5
Higher Education 5.2
All other sectors less than 5%(b) 31.8
Total 100.0
    
(a)Percentages shown are based on Net Assets.
(b)Includes Other.
 
129

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Municipal Bond Fund
Valuation Hierarchy
The following is a summary of the inputs used, as of January 31, 2024, in valuing the Fund's investments carried at fair value:
Morningstar Municipal Bond Fund Level 1 Level 2 Level 3 Totals
Investments        
Municipal Bonds $$286,443,234 $— $286,443,234
Short-Term Investments 14,263,159 30,112,183 44,375,342
Total Investments $14,263,159 $316,555,417 $— $330,818,576
130

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments
Morningstar Defensive Bond Fund
    Par Value
Asset-Backed Securities – 24.2%
Banking – 0.3%
Chase Issuance Trust, Series 2023-A2, Class A, 5.08%, 9/15/30   $409,000 $420,327
Consumer Services – 0.9%
Avis Budget Rental Car Funding AESOP LLC,      
Series 2023-1A, Class A, 5.25%, 4/20/29(a)   101,000 101,441
Series 2023-4A, Class A, 5.49%, 6/20/29(a)   300,000 303,748
Series 2023-6A, Class A, 5.81%, 12/20/29(a)   423,000 435,927
Series 2023-8A, Class A, 6.02%, 2/20/30(a)   306,000 318,180
Series 2024-1A, Class A, 5.36%, 6/20/30(a)   125,000 126,560
      1,285,856
Other – 22.0%
ABPCI Direct Lending Fund ABS I Ltd., Series 2020-1A, Class B, 4.94%, 12/20/30(a)(b)   775,372 727,639
ABPCI Direct Lending Fund ABS II LLC,      
Series 2022-2A, Class A1, (3M CME Term SOFR + 2.10%, 2.10% Floor), 7.42%, 3/01/32(a)(b)(c)   224,000 223,998
Series 2022-2A, Class C, 8.24%, 3/01/32(a)   935,000 864,774
ABPCI Direct Lending Fund CLO II LLC, Series 2017-1A, Class ER, (3M CME Term SOFR + 7.86%, 7.60% Floor), 13.18%, 4/20/32(a)(c)   746,000 718,799
ABPCI Direct Lending Fund CLO X L.P., Series 2020-10A, Class A1A, (3M CME Term SOFR + 2.21%, 1.95% Floor), 7.53%, 1/20/32(a)(c)   250,000 250,227
American Express Credit Account Master Trust,      
Series 2023-2, Class A, 4.80%, 5/15/30   590,000 599,471
Series 2023-4, Class A, 5.15%, 9/15/30   667,000 686,446
BMW Vehicle Owner Trust, Series 2023-A, Class A4, 5.25%, 11/26/29   100,000 101,426
    Par Value
Other (Continued)
CARS-DB4 L.P., Series 2020-1A, Class A1, 2.69%, 2/15/50(a)   $143,857 $138,923
Cascade Funding Mortgage Trust, Series 2021-HB6, Class A, 0.90%, 6/25/36(a)   75,844 72,431
Cerberus Loan Funding XL LLC, Series 2023-1A, Class A, (3M CME Term SOFR + 2.40%, 2.40% Floor), 7.71%, 3/22/35(a)(c)   250,000 250,235
Cerberus Loan Funding XLI LLC, Series 2023-2A, Class A1, (3M CME Term SOFR + 2.55%, 2.55% Floor), 7.86%, 7/15/35(a)(c)   419,000 405,276
Cerberus Loan Funding XLIII LLC, Series 2023-4A, Class A, (3M CME Term SOFR + 2.43%, 2.43% Floor), 7.82%, 10/15/35(a)(c)   451,000 451,361
Cerberus Loan Funding XXVIII L.P., Series 2020-1A, Class D, (3M CME Term SOFR + 5.56%, 5.30% Floor), 10.88%, 10/15/31(a)(c)   764,000 762,744
CFMT LLC,      
Series 2021-HB7, Class A, 1.15%, 10/27/31(a)   99,519 96,256
Series 2021-HB7, Class M1, 2.12%, 10/27/31(a)   192,000 181,416
Chase Issuance Trust, Series 2024-A2, Class A, 4.63%, 1/15/31   198,000 199,689
CNH Equipment Trust, Series 2023-B, Class A4, 5.46%, 3/17/31   154,000 156,879
Coinstar Funding LLC, Series 2017-1A, Class A2, 5.22%, 4/25/47(a)   865,360 766,593
Cologix Data Centers U.S. Issuer LLC, Series 2021-1A, Class A2, 3.30%, 12/26/51(a)   412,000 374,754
Diamond Infrastructure Funding LLC, Series 2021-1A, Class C, 3.48%, 4/15/49(a)   104,000 90,270
Diamond Issuer, Series 2021-1A, Class C, 3.79%, 11/20/51(a)   282,000 236,357
 
131

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Defensive Bond Fund
    Par Value
Other (Continued)
Elm Trust,      
Series 2020-3A, Class A2, 2.95%, 8/20/29(a)   $70,149 $67,040
Series 2020-3A, Class B, 4.48%, 8/20/29(a)   187,871 174,995
Series 2020-4A, Class A2, 2.29%, 10/20/29(a)   67,074 63,678
Series 2020-4A, Class B, 3.87%, 10/20/29(a)   238,879 220,918
Enterprise Fleet Financing LLC, Series 2023-3, Class A3, 6.41%, 6/20/30(a)   305,000 318,245
FCI Funding LLC, Series 2021-1A, Class A, 1.13%, 4/15/33(a)   15,479 15,264
Flagship Credit Auto Trust, Series 2021-4, Class B, 1.49%, 2/15/27(a)   73,000 70,463
Ford Credit Auto Owner Trust, Series 2023-B, Class A4, 5.06%, 2/15/29   100,000 100,980
Ford Credit Floorplan Master Owner Trust, Series 2018-4, Class A, 4.06%, 11/15/30   696,000 679,870
Fortress Credit Opportunities IX CLO Ltd., Series 2017-9A, Class A1TR, (3M CME Term SOFR + 1.81%, 1.55% Floor), 7.13%, 10/15/33(a)(c)   954,000 947,222
GM Financial Revolving Receivables Trust,      
Series 2021-1, Class A, 1.17%, 6/12/34(a)   302,000 275,920
Series 2023-1, Class A, 5.12%, 4/11/35(a)   437,000 443,995
Series 2023-2, Class A, 5.77%, 8/11/36(a)   109,000 114,070
GMF Floorplan Owner Revolving Trust, Series 2023-2, Class A, 5.34%, 6/15/30(a)   165,000 168,734
Golub Capital Partners ABS Funding Ltd.,      
Series 2020-1A, Class A2, 3.21%, 1/22/29(a)   428,336 403,871
Series 2020-1A, Class B, 4.50%, 1/22/29(a)   294,542 272,852
Series 2021-1A, Class A2, 2.77%, 4/20/29(a)   139,305 130,886
    Par Value
Other (Continued)
Golub Capital Partners ABS Funding Ltd.,      
Series 2021-1A, Class B, 3.82%, 4/20/29(a)   $370,672 $343,734
Series 2021-2A, Class A, 2.94%, 10/19/29(a)   796,000 732,593
Series 2021-2A, Class B, 3.99%, 10/19/29(a)   926,000 788,073
Golub Capital Partners CLO Ltd., Series 2018-38A, Class C, (3M CME Term SOFR + 3.06%, 2.80% Floor), 8.38%, 7/20/30(a)(c)   507,000 498,857
Great America Leasing Receivables, Series 2023-1, Class A4, 5.06%, 3/15/30(a)   137,000 136,647
Helios Issuer LLC, Series 2023-GRID1, Class 1A, 5.75%, 12/20/50(a)   98,186 100,839
Hertz Vehicle Financing III LLC, Series 2023-4A, Class A, 6.15%, 3/25/30(a)   285,000 297,287
Hertz Vehicle Financing LLC,      
Series 2022-2A, Class A, 2.33%, 6/26/28(a)   298,000 273,667
Series 2022-5A, Class A, 3.89%, 9/25/28(a)   614,000 590,146
Hotwire Funding LLC, Series 2023-1A, Class A2, 5.69%, 5/20/53(a)   115,000 113,937
Ivy Hill Middle Market Credit Fund XVIII Ltd., Series 18A, Class E, (3M CME Term SOFR + 8.01%, 7.75% Floor), 13.33%, 4/22/33(a)(c)   970,000 909,390
Kubota Credit Owner Trust, Series 2023-2A, Class A4, 5.23%, 6/15/28(a)   116,000 117,095
Lake Shore MM CLO III LLC, Series 2019-2A, Class A2R, 2.52%, 10/17/31(a)   91,171 88,072
M&T Equipment, Series 2023-1A, Class A4, 5.75%, 7/15/30(a)   100,000 101,000
MMAF Equipment Finance LLC,      
Series 2020-A, Class A5, 1.56%, 10/09/42(a)   100,000 88,809
Series 2023-A, Class A4, 5.50%, 12/13/38(a)   217,000 220,716
 
132

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Defensive Bond Fund
    Par Value
Other (Continued)
MMAF Equipment Finance LLC,      
Series 2024-A, Class A4, 5.10%, 7/13/49(a)   $132,000 $133,601
Monroe Capital ABS Funding Ltd.,      
Series 2021-1A, Class A2, 2.82%, 4/22/31(a)(b)   357,170 345,531
Series 2021-1A, Class B, 3.91%, 4/22/31(a)(b)   215,849 209,848
Nissan Auto Receivables Owner Trust, Series 2023-A, Class A4, 4.85%, 6/17/30   126,000 126,247
Oportun Funding XIV LLC, Series 2021-A, Class A, 1.21%, 3/08/28(a)   66,359 63,718
Oportun Issuance Trust,      
Series 2021-B, Class A, 1.47%, 5/08/31(a)   230,000 217,491
Series 2021-C, Class A, 2.18%, 10/08/31(a)   803,000 745,730
Owl Rock CLO III Ltd., Series 2020-3A, Class A1L, (3M CME Term SOFR + 2.06%), 7.38%, 4/20/32(a)(c)   400,000 397,960
Owl Rock CLO VI Ltd., Series 2021-6A, Class A, (3M CME Term SOFR + 1.71%, 1.45% Floor), 7.08%, 6/21/32(a)(c)   915,000 915,688
PRET LLC,      
Series 2021-NPL5, Class A1, (Step to 5.49% on 11/25/24), 2.49%, 10/25/51(a)(d)   676,523 663,535
Series 2021-NPL6, Class A1, (Step to 5.49% on 12/25/24), 2.49%, 7/25/51(a)(d)   134,505 133,356
Pretium Mortgage Credit Partners I LLC,      
Series 2021-NPL2, Class A1, (Step to 3.49% on 7/27/24), 1.99%, 6/27/60(a)(d)   283,761 275,570
Series 2021-NPL4, Class A1, (Step to 3.31% on 11/27/24), 2.36%, 10/27/60(a)(d)   527,336 515,811
Progress Residential Trust,      
Series 2021-SFR11, Class A, 2.28%, 1/17/39(a)   121,730 107,250
    Par Value
Other (Continued)
Progress Residential Trust,      
Series 2021-SFR7, Class A, 1.69%, 8/17/40(a)   $112,794 $98,114
Series 2023-SFR2, Class A, 4.50%, 10/17/28(a)   246,000 240,019
PRPM LLC,      
Series 2021-10, Class A1, (Step to 5.49% on 11/25/24), 2.49%, 10/25/26(a)(d)   302,079 291,778
Series 2021-11, Class A1, (Step to 5.49% on 12/25/24), 2.49%, 11/25/26(a)(d)   342,385 337,568
Series 2021-2, Class A1, 2.12%, 3/25/26(a)(e)   178,902 177,561
Series 2021-9, Class A1, (Step to 5.36% on 11/25/24), 2.36%, 10/25/26(a)(d)   295,852 287,703
Santander Retail Auto Lease Trust, Series 2022-A, Class B, 1.61%, 1/20/26(a)   86,000 83,599
SpringCastle America Funding LLC, Series 2020-AA, Class A, 1.97%, 9/25/37(a)   228,345 211,693
Toyota Auto Loan Extended Note Trust, Series 2022-1A, Class A, 3.82%, 4/25/35(a)   429,000 419,562
TVEST LLC, Series 2020-A, Class A, 4.50%, 7/15/32(a)   20,055 19,955
Vantage Data Centers Issuer LLC, Series 2020-1A, Class A2, 1.65%, 9/15/45(a)   140,000 130,211
VCAT LLC,      
Series 2021-NPL1, Class A1, (Step to 5.29% on 2/25/24), 2.29%, 12/26/50(a)(d)   27,889 27,787
Series 2021-NPL2, Class A1, (Step to 5.12% on 4/25/24), 2.12%, 3/27/51(a)(d)   163,740 162,746
VCP CLO II Ltd., Series 2021-2A, Class E, (3M CME Term SOFR + 8.67%), 13.99%, 4/15/31(a)(b)(c)   1,119,000 1,122,508
VCP RRL ABS I Ltd.,      
Series 2021-1A, Class A, 2.15%, 10/20/31(a)   272,741 246,338
 
133

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Defensive Bond Fund
    Par Value
Other (Continued)
VCP RRL ABS I Ltd.,      
Series 2021-1A, Class B, 2.85%, 10/20/31(a)(b)   $243,833 $223,243
Verizon Master Trust,      
Series 2023-3, Class A, 4.73%, 4/21/31(a)   526,000 529,026
Series 2023-6, Class A, 5.35%, 9/22/31(a)   689,000 710,225
Series 2024-2, Class A, 4.83%, 12/22/31(a)   338,000 341,842
VOLT C LLC, Series 2021-NPL9, Class A1, (Step to 4.99% on 5/25/24), 1.99%, 5/25/51(a)(d)   172,123 165,337
VOLT XCIV LLC, Series 2021-NPL3, Class A1, (Step to 5.24% on 2/25/24), 2.24%, 2/27/51(a)(d)   217,326 212,468
VOLT XCV LLC, Series 2021-NPL4, Class A1, (Step to 5.24% on 3/25/24), 2.24%, 3/27/51(a)(d)   207,742 203,064
WEPCO Environmental Trust Finance I LLC, Series 2021-1, Class A, 1.58%, 12/15/35   81,676 70,227
World Omni Auto Receivables Trust,      
Series 2020-C, Class C, 1.39%, 5/17/27   50,000 48,348
Series 2023-C, Class A4, 5.03%, 11/15/29   100,000 100,823
      29,538,910
Specialty Finance – 1.0%
CarMax Auto Owner Trust, Series 2023-3, Class A4, 5.26%, 2/15/29   183,000 185,450
GM Financial Consumer Automobile Receivables Trust, Series 2023-3, Class A4, 5.34%, 12/18/28   121,000 122,992
Hyundai Auto Receivables Trust, Series 2023-B, Class A4, 5.31%, 8/15/29   100,000 101,829
Mercedes-Benz Auto Receivables Trust, Series 2024-1, Class A4, 4.79%, 7/15/31   100,000 100,517
Toyota Auto Loan Extended Note Trust, Series 2023-1A, Class A, 4.93%, 6/25/36(a)   387,000 391,064
    Par Value
Specialty Finance (Continued)
Toyota Auto Receivables, Series 2023-C, Class A4, 5.01%, 2/15/29   $228,000 $230,257
Toyota Auto Receivables Owner Trust, Series 2023-B, Class A4, 4.66%, 9/15/28   163,000 162,896
      1,295,005
Total Asset-Backed Securities
(Cost $33,255,854)
32,540,098
    
    Number
of Shares
 
Common Stocks – 0.9%
Real Estate Services – 0.2%
Copper Property CTL Pass Through Trust   25,536 258,169
Telecommunications – 0.0%(f)
Windstream Corp.(g)*   3,665 34,817
Transportation & Logistics – 0.7%
PHI Group, Inc.   44,387 976,514
Total Common Stocks
(Cost $1,040,620)
1,269,500
    
    Par  
Corporate Bonds – 4.6%
Asset Management – 1.4%
Ares Capital Corp., 2.88%, 6/15/28(h)   $398,000 353,483
Blue Owl Credit Income Corp.,      
4.70%, 2/08/27   660,000 631,205
7.95%, 6/13/28(a)   468,000 490,857
HPS Corporate Lending Fund, 6.75%, 1/30/29(a)   102,000 102,402
Oaktree Strategic Credit Fund, 8.40%, 11/14/28(a)   313,000 334,688
      1,912,635
Commercial Support Services – 0.1%
VT Topco, Inc., 8.50%, 8/15/30(a)   100,000 104,507
Electric Utilities – 0.6%
Consumers 2023 Securitization Funding LLC, 5.21%, 9/01/30   197,000 201,848
 
134

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Defensive Bond Fund
    Par Value
Electric Utilities (Continued)
DTE Electric Securitization Funding II LLC, 5.97%, 3/01/32   $261,000 $273,018
PG&E Recovery Funding LLC, 5.05%, 7/15/32   311,232 314,171
      789,037
Gas & Water Utilities – 0.3%
Kansas Gas Service Securitization I LLC, 5.49%, 8/01/32(h)   429,762 440,806
Health Care Facilities & Services – 0.3%
Heartland Dental LLC/Heartland Dental Finance Corp., 10.50%, 4/30/28(a)(h)   359,000 374,283
Home & Office Products – 0.2%
CD&R Smokey Buyer, Inc., 6.75%, 7/15/25(a)   315,000 308,722
Real Estate Investment Trusts – 0.7%
American Tower Trust #1, 5.49%, 3/15/28(a)   685,000 694,261
SBA Tower Trust,      
1.63%, 11/15/26(a)   117,000 104,794
2.33%, 1/15/28(a)   151,000 133,950
      933,005
Specialty Finance – 0.5%
Midcap Financial Issuer Trust, 6.50%, 5/01/28(a)   761,000 695,014
Telecommunications – 0.5%
Consolidated Communications, Inc., 6.50%, 10/01/28(a)(h)   381,000 327,660
Frontier Communications Holdings LLC,      
5.88%, 10/15/27(a)   137,000 131,771
6.00%, 1/15/30(a)   214,000 181,465
      640,896
Total Corporate Bonds
(Cost $6,248,076)
6,198,905
Foreign Issuer Bonds – 0.5%
Canada – 0.4%
Air Canada Pass Through Trust, Series 2020-1, Class C, 10.50%, 7/15/26(a)   470,000 508,916
    Par Value
Ireland – 0.1%
Cimpress PLC, 7.00%, 6/15/26(h)   $175,000 $172,375
Total Foreign Issuer Bonds
(Cost $621,122)
681,291
Mortgage-Backed Securities – 14.8%
Commercial Mortgage-Backed Securities – 2.2%
Arbor Multifamily Mortgage Securities Trust, Series 2020-MF1, Class A5, 2.76%, 5/15/53(a)   540,000 483,815
BX Commercial Mortgage Trust,      
Series 2021-VOLT, Class E, (1M CME Term SOFR + 2.11%, 2.00% Floor), 7.45%, 9/15/36(a)(c)   242,000 237,404
Series 2021-VOLT, Class F, (1M CME Term SOFR + 2.51%, 2.40% Floor), 7.85%, 9/15/36(a)(c)   370,000 362,657
BX Trust, Series 2019-OC11, Class A, 3.20%, 12/09/41(a)   418,000 376,528
Hawaii Hotel Trust, Series 2019-MAUI, Class C, (1M CME Term SOFR + 1.70%, 1.65% Floor), 7.03%, 5/15/38(a)(c)   616,000 609,840
Manhattan West Mortgage Trust, Series 2020-1MW, Class A, 2.13%, 9/10/39(a)   407,000 364,985
SLG Office Trust, Series 2021-OVA, Class A, 2.59%, 7/15/41(a)   455,000 382,000
VMC Finance LLC, Series 2021-HT1, Class A, (1M CME Term SOFR + 1.76%, 1.65% Floor), 7.10%, 1/18/37(a)(c)   172,297 169,933
      2,987,162
Federal Home Loan Mortgage Corporation – 7.4%
Multifamily Structured Pass Through Certificates,      
Series K068, Class A2, 3.24%, 8/25/27   100,000 96,245
Series K072, Class A2, 3.44%, 12/25/27   100,000 96,641
Series K073, Class A2, 3.35%, 1/25/28   261,000 251,651
 
135

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Defensive Bond Fund
    Par Value
Federal Home Loan Mortgage Corporation
(Continued)
Multifamily Structured Pass Through Certificates,      
Series K076, Class A2, 3.90%, 4/25/28   $144,000 $141,331
Series K077, Class A2, 3.85%, 5/25/28   100,000 97,912
Series K079, Class A2, 3.93%, 6/25/28   273,000 267,958
Series K080, Class A2, 3.93%, 7/25/28   219,000 215,119
Series K081, Class A2, 3.90%, 8/25/28   556,000 545,555
Series K082, Class A2, 3.92%, 9/25/28   413,000 404,905
Series K083, Class A2, 4.05%, 9/25/28   209,000 206,960
Series K084, Class A2, 3.78%, 10/25/28   489,000 477,153
Series K085, Class A2, 4.06%, 10/25/28   244,000 240,328
Series K088, Class A2, 3.69%, 1/25/29   100,000 97,032
Series K089, Class A2, 3.56%, 1/25/29   239,000 230,561
Series K090, Class A2, 3.42%, 2/25/29   365,000 349,756
Series K091, Class A2, 3.51%, 3/25/29   215,000 206,766
Series K092, Class A2, 3.30%, 4/25/29   100,000 95,134
Series K093, Class A2, 2.98%, 5/25/29   100,000 93,680
Series K094, Class A2, 2.90%, 6/25/29   532,000 495,267
Series K095, Class A2, 2.79%, 6/25/29   725,000 671,225
Series K096, Class A2, 2.52%, 7/25/29   774,000 706,858
Series K097, Class A2, 2.51%, 7/25/29   359,000 326,701
Series K103, Class A2, 2.65%, 11/25/29   100,000 91,233
Series K104, Class A2, 2.25%, 1/25/30   100,000 89,067
Series K105, Class A2, 1.87%, 1/25/30   100,000 87,151
Series K109, Class A2, 1.56%, 4/25/30   151,000 128,102
Series K114, Class A2, 1.37%, 6/25/30   100,000 83,171
Pool,      
6.00%, 11/01/35 - 10/01/36   1,602,363 1,407,999
1.00%, 7/01/36   76,655 65,677
    Par Value
Federal Home Loan Mortgage Corporation
(Continued)
Pool,      
4.00%, 5/01/42 - 8/01/42   $616,950 $525,397
(2.13% - 30D Average SOFR, 2.13% Floor, 6.68% Cap), 1.68%, 9/01/51(c)   89,113 76,166
(30D Average SOFR + 2.13%, 2.13% Floor, 7.57% Cap), 2.57%, 3/01/52(c)   114,340 102,094
(30D Average SOFR + 2.14%, 2.14% Floor, 7.55% Cap), 2.55%, 5/01/52(c)   72,606 64,826
4.32%, 7/01/52 - 5/01/53(c)   824,325 727,986
Real Estate Mortgage Investment Conduits, Series 4162, Class P, 3.00%, 2/15/33   104,470 100,916
      9,864,523
Federal National Mortgage Association – 4.5%
Interest Strip, Series 284, Class 1, 0.00%, 7/25/27(i)   42,261 39,494
Pool,      
10.50%, 12/01/35 - 11/01/41   3,562,663 3,045,458
3.00%, 4/01/36 - 3/01/37   2,070,989 1,769,819
6.00%, 11/01/40 - 8/01/42   355,553 302,992
2.50%, 5/01/41   145,483 126,520
3.50%, 4/01/44   301,005 282,914
(2.08% - 30D Average SOFR, 2.08% Floor, 6.97% Cap), 1.97%, 8/01/51(c)   231,545 203,684
(2.33% - 30D Average SOFR, 2.33% Floor, 6.89% Cap), 1.89%, 4/01/52(c)   204,057 178,100
Real Estate Mortgage Investment Conduits, Series 2012-144, Class PD, 3.50%, 4/25/42   84,338 81,342
      6,030,323
Government National Mortgage Association – 0.3%
Series 2012-150, Class IO, 0.44%, 11/16/52(e)   649,198 5,868
Series 2015-108, Class IO, 0.34%, 10/16/56(e)   40,062 635
Series 2015-7, Class IO, 0.45%, 1/16/57(e)   1,478,285 29,917
Series 2020-42, Class IO, 0.94%, 3/16/62(e)   1,402,569 85,445
 
136

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Defensive Bond Fund
    Par Value
Government National Mortgage Association
(Continued)
Series 2020-43, Class IO, 1.26%, 11/16/61(e)   $949,903 $67,860
Series 2020-71, Class IO, 1.10%, 1/16/62(e)   1,211,884 82,378
Series 2020-75, Class IO, 0.87%, 2/16/62(e)   2,235,870 131,647
      403,750
Whole Loan – 0.4%
GS Mortgage-Backed Securities Trust, Series 2021-PJ7, Class A8, 2.50%, 1/25/52(a)(e)   156,579 137,349
Towd Point Mortgage Trust,      
Series 2018-2, Class A1, 3.25%, 3/25/58(a)   162,827 157,645
Series 2020-4, Class A1, 1.75%, 10/25/60(a)   65,311 57,911
Series 2023-1, Class A1, 3.75%, 1/25/63(a)   178,512 167,012
      519,917
Total Mortgage-Backed Securities
(Cost $20,171,352)
19,805,675
Municipal Bonds – 0.1%
Texas – 0.1%
Texas Natural Gas Securitization Finance Corp., Taxable Customer Rate Relief Revenue Bonds, 5.10%, 4/01/35   100,000 102,133
Total Municipal Bonds
(Cost $100,000)
102,133
Term Loans – 1.0%(c)
Retail - Discretionary – 0.0%(f)
J.C. Penney Corp., Inc., Term Loan(j)   233,386 23
Software – 0.5%
Azalea TopCo, Inc., Initial Term Loan, (1M USD CME Term SOFR + 3.50%), 8.95%, 7/24/26   324,557 321,243
Polaris Newco LLC, Dollar Term Loan, (3M USD CME Term SOFR + 4.00%, 0.50% Floor), 9.57%, 6/02/28   322,575 314,107
      635,350
    Par Value
Telecommunications – 0.5%
Frontier Communications Corp., TLB, (1M USD CME Term SOFR + 3.75%, 0.75% Floor), 9.20%, 10/08/27   $359,825 $354,802
Windstream Services II LLC, Initial Term Loan, (1M USD CME Term SOFR + 6.25%, 1.00% Floor), 11.68%, 9/21/27   304,801 286,404
      641,206
Total Term Loans
(Cost $1,299,660)
1,276,579
    
       
U.S. Government Obligations – 2.6%
U.S. Treasury Notes – 2.6%
4.38%, 11/30/28   2,458,000 2,511,961
4.63%, 9/30/30   883,000 918,906
Total U.S. Government Obligations
(Cost $3,338,470)
3,430,867
    
    Number
of Shares
 
Investment Companies – 43.0%
Schwab Intermediate-Term U.S. Treasury ETF   108,837 5,424,436
Schwab Short-Term U.S. Treasury ETF   940,430 45,733,111
Vanguard Short-Term Corporate Bond ETF(h)   35,486 2,754,423
Vanguard Short-Term Inflation-Protected Securities ETF   81,711 3,899,249
Total Investment Companies
(Cost $59,480,608)
57,811,219
    
    Par/Number
of Shares
 
Short-Term Investments – 11.1%
Corporate Bonds – 0.4%
Golub Capital BDC, Inc., 3.38%, 4/15/24   513,000 510,213
Money Market Funds – 5.3%
Northern Institutional Funds - Liquid Assets Portfolio (Shares), 5.37%(k)(l)   115,703 115,703
 
137

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Defensive Bond Fund
    Par/Number
of Shares
Value
Money Market Funds (Continued)
Northern Institutional Funds - Treasury Portfolio (Premier), 5.17%(k)   7,000,250 $7,000,250
      7,115,953
U.S. Treasury Bills – 5.4%
U.S. Treasury Bills,      
4.55%, 2/01/24(m)   3,714,000 3,714,000
4.51%, 2/08/24(m)   3,615,000 3,611,311
      7,325,311
Total Short-Term Investments
(Cost $14,954,327)
14,951,477
Total Investments – 102.8%
(Cost $140,510,089)
138,067,744
Liabilities less Other Assets – (2.8)% (3,759,200)
NET ASSETS – 100.0% $134,308,544
Percentages shown are based on Net Assets.
    
 
(a) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.    
(b) Restricted security that has been deemed illiquid. At January 31, 2024, the value of these restricted illiquid securities amounted to $2,852,767 or 2.12% of net assets. Additional information on these restricted illiquid securities is as follows:    
    
  Security Acquisition Date Acquisition Cost
  ABPCI Direct Lending Fund ABS I Ltd., 4.94%, 12/20/30 12/16/20 $775,372
  ABPCI Direct Lending Fund ABS II LLC, 7.42%, 3/1/32 2/15/22 224,000
  Monroe Capital ABS Funding Ltd., 2.82%, 4/22/31 2/18/21-3/25/21 356,955
  Monroe Capital ABS Funding Ltd., 3.91%, 4/22/31 2/18/21 215,849
  VCP CLO II Ltd., 13.99%, 4/15/31 2/05/21 1,085,430
  VCP RRL ABS I Ltd., 2.85%, 10/20/31 7/28/21 243,833
    
 
(c) Variable or floating rate security. Rate as of January 31, 2024 is disclosed.
(d) Step coupon bond. Rate as of January 31, 2024 is disclosed.
(e) Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. Rate as of January 31, 2024 is disclosed.
(f) Amount rounds to less than 0.05%.
(g) Investment is valued using significant unobservable inputs (Level 3).
(h) Security either partially or fully on loan. As of January 31, 2024, the total value of securities on loan is $3,704,963.
(i) Zero coupon bond.
(j) Issuer has defaulted on terms of debt obligation. Income is not being accrued.
(k) 7-day current yield as of January 31, 2024 is disclosed.
(l) Security purchased with the cash proceeds from securities loaned. As of January 31, 2024, total cash collateral has a value of $115,703 and total non-cash collateral has a value of $3,701,726.
(m) Discount rate at the time of purchase.
* Non-Income Producing Security
    
Abbreviations:
    
1M 1 Month
3M 3 Month
138

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Defensive Bond Fund
30D 30 Day
ABS Asset-Backed Security
BDC Business Development Company
CLO Collateralized Loan Obligation
CME Chicago Mercantile Exchange
ETF Exchange-Traded Fund
IO Interest Only
L.P. Limited Partnership
LLC Limited Liability Company
PLC Public Limited Company
SOFR United States Secured Overnight Financing Rate
Strip Separate Trading of Registered Interest and Principal
USD United States Dollar
Country Diversification (%)(a)  
United States 87.0
All other countries less than 5% 13.0
Total 100.0
    
(a) Percentages shown are based on Net Assets.
Sector Diversification (%)(a)  
Investment Companies 43.0
Asset-Backed Securities 24.2
Mortgage-Backed Securities 14.8
Short-Term Investments 11.1
All other sectors less than 5%(b) 6.9
Total 100.0
(a) Percentages shown are based on Net Assets.  
(b) Includes Other.  
 
Valuation Hierarchy
The following is a summary of the inputs used, as of January 31, 2024, in valuing the Fund's investments carried at fair value:
Morningstar Defensive Bond Fund Level 1 Level 2 Level 3 Totals
Investments        
Assets:        
Asset-Backed Securities $$32,540,098 $$32,540,098
Common Stocks 976,514 258,169 34,817 1,269,500
Corporate Bonds 6,198,905 6,198,905
Foreign Issuer Bonds 681,291 681,291
Mortgage-Backed Securities 19,805,675 19,805,675
Municipal Bonds 102,133 102,133
Term Loans 1,276,579 1,276,579
U.S. Government Obligations 3,430,867 3,430,867
Investment Companies 57,811,219 57,811,219
Short-Term Investments 7,115,953 7,835,524 14,951,477
Total Investments $65,903,686 $72,129,241 $34,817 $138,067,744
139

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments
Morningstar Multisector Bond Fund
    Par(a) Value
Asset-Backed Securities – 0.3%
Other – 0.3%
Clover CLO LLC, Series 2021-2A, Class E, (3M CME Term SOFR + 6.76%, 6.50% Floor), 12.08%, 7/20/34(b)(c)   $250,000 $248,897
Pikes Peak CLO 4, Series 2019-4A, Class ER, (3M CME Term SOFR + 6.87%, 6.61% Floor), 12.19%, 7/15/34(b)(c)   250,000 242,331
PRPM LLC, Series 2022-5, Class A1, (Step to 9.90% on 9/25/25), 6.90%, 9/27/27(b)(d)   112,992 113,385
Total Asset-Backed Securities
(Cost $610,765)
604,613
    
    Number
of Shares
 
Common Stocks – 0.2%
Biotechnology & Pharmaceuticals – 0.1%
AbbVie, Inc.   590 96,996
Cable & Satellite – 0.0%(e)
Altice USA, Inc., Class A*   16,055 39,174
Engineering & Construction – 0.0%(e)
Mcdermott International Ltd.*   1,932 406
Oil & Gas Producers – 0.1%
Battalion Oil Corp.*   363 2,487
Canadian Natural Resources Ltd. (Canada)   1,464 93,681
Diamondback Energy, Inc.   558 85,787
      181,955
Technology Services – 0.0%(e)
Clarivate PLC*   78 697
Total Common Stocks
(Cost $594,347)
319,228
    
    Par(a)  
Convertible Bonds – 1.3%
Biotechnology & Pharmaceuticals – 0.2%
BioMarin Pharmaceutical, Inc., 1.25%, 5/15/27   $335,000 333,526
Livongo Health, Inc., 0.88%, 6/01/25   120,000 112,728
      446,254
    Par(a) Value
Cable & Satellite – 0.5%
DISH Network Corp.,      
0.00%, 12/15/25(f)   $240,000 $170,760
3.38%, 8/15/26   1,185,000 687,300
      858,060
Health Care Facilities & Services – 0.2%
Teladoc Health, Inc., 1.25%, 6/01/27   460,000 385,848
Internet Media & Services – 0.0%(e)
Zillow Group, Inc., 1.38%, 9/01/26   30,000 40,810
Leisure Facilities & Services – 0.1%
NCL Corp. Ltd., 1.13%, 2/15/27   150,000 133,035
Penn Entertainment, Inc., 2.75%, 5/15/26   30,000 35,382
      168,417
Medical Equipment & Devices – 0.1%
Envista Holdings Corp., 1.75%, 8/15/28(b)   155,000 140,430
Real Estate Owners & Developers – 0.0%(e)
Sunac China Holdings Ltd., 1.00%, 9/30/32(b)(g)(h)   21,682 1,084
Semiconductors – 0.1%
Wolfspeed, Inc.,      
0.25%, 2/15/28   15,000 8,880
1.88%, 12/01/29   175,000 100,625
      109,505
Transportation & Logistics – 0.1%
Southwest Airlines Co., 1.25%, 5/01/25   210,000 215,565
Total Convertible Bonds
(Cost $2,910,810)
2,365,973
    
    Number
of Shares
 
Convertible Preferred Stocks – 0.1%
Technology Services – 0.1%
Clarivate PLC, 5.25%   4,753 175,005
Total Convertible Preferred Stocks
(Cost $266,943)
175,005
    
 
140

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Corporate Bonds – 43.3%
Advertising & Marketing – 0.2%
Outfront Media Capital LLC/Outfront Media Capital Corp.,      
5.00%, 8/15/27(b)   $75,000 $71,791
7.38%, 2/15/31(b)   55,000 57,616
Stagwell Global LLC, 5.63%, 8/15/29(b)   270,000 247,066
      376,473
Aerospace & Defense – 0.8%
Boeing (The) Co.,      
3.25%, 2/01/28   64,000 60,048
5.71%, 5/01/40   108,000 108,792
5.93%, 5/01/60   52,000 51,919
HEICO Corp.,      
5.25%, 8/01/28   66,000 67,208
5.35%, 8/01/33   94,000 95,530
L3Harris Technologies, Inc., 5.40%, 7/31/33   49,000 50,472
Lockheed Martin Corp., 5.20%, 2/15/64   63,000 63,872
Northrop Grumman Corp.,      
4.90%, 6/01/34   45,000 45,269
5.15%, 5/01/40   52,000 51,967
RTX Corp.,      
5.75%, 11/08/26   51,000 52,316
3.50%, 3/15/27   109,000 105,122
4.45%, 11/16/38   65,000 60,130
4.80%, 12/15/43   7,000 6,540
5.38%, 2/27/53   46,000 46,578
TransDigm, Inc.,      
6.25%, 3/15/26(b)   200,000 198,640
6.75%, 8/15/28(b)   300,000 304,909
6.88%, 12/15/30(b)   85,000 86,990
      1,456,302
Apparel & Textile Products – 0.0%(e)
Crocs, Inc., 4.13%, 8/15/31(b)   20,000 17,047
Asset Management – 0.9%
Ameriprise Financial, Inc., 5.70%, 12/15/28   51,000 53,409
Blackstone Holdings Finance Co. LLC, 2.00%, 1/30/32(b)   66,000 52,032
Blackstone Secured Lending Fund,      
3.63%, 1/15/26   140,000 134,181
2.75%, 9/16/26   30,000 27,658
Blue Owl Capital Corp., 3.40%, 7/15/26   160,000 149,812
    Par(a) Value
Asset Management (Continued)
Blue Owl Credit Income Corp.,      
7.75%, 9/16/27   $57,000 $59,076
6.65%, 3/15/31(b)   36,000 35,696
Charles Schwab (The) Corp.,      
(10Y US Treasury CMT + 3.08%), 4.00%, 12/01/30(i)(j)   80,000 66,412
(SOFR + 2.01%), 6.14%, 8/24/34(j)   76,000 80,321
Golub Capital BDC, Inc., 6.00%, 7/15/29   52,000 51,383
Icahn Enterprises L.P./Icahn Enterprises Finance Corp.,      
6.38%, 12/15/25   15,000 14,758
5.25%, 5/15/27   630,000 566,685
NFP Corp.,      
6.88%, 8/15/28(b)   100,000 100,560
4.88%, 8/15/28(b)   35,000 34,717
8.50%, 10/01/31(b)   85,000 93,535
      1,520,235
Automotive – 0.9%
American Axle & Manufacturing, Inc., 5.00%, 10/01/29   70,000 61,281
American Honda Finance Corp.,      
5.13%, 7/07/28   37,000 37,833
5.65%, 11/15/28   44,000 45,986
5.85%, 10/04/30   71,000 75,764
4.90%, 1/10/34   41,000 40,980
Ford Motor Credit Co. LLC,      
6.95%, 6/10/26   220,000 225,731
4.13%, 8/17/27   200,000 189,966
General Motors Financial Co., Inc.,      
(3M USD LIBOR + 3.60%), 5.75%, 9/30/27(i)(j)   260,000 234,385
(3M USD LIBOR + 3.44%), 6.50%, 9/30/28(i)(j)   60,000 56,076
5.80%, 1/07/29   66,000 67,756
5.85%, 4/06/30   34,000 34,914
Hyundai Capital America,      
5.68%, 6/26/28(b)   65,000 66,749
6.10%, 9/21/28(b)   103,000 107,560
5.40%, 1/08/31(b)   36,000 36,692
Toyota Motor Credit Corp.,      
5.40%, 11/20/26   103,000 105,257
4.45%, 6/29/29   60,000 60,034
5.55%, 11/20/30   80,000 84,013
4.80%, 1/05/34   101,000 100,905
 
141

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Automotive (Continued)
Wheel Pros, Inc., 6.50%, 5/15/29(b)   $65,000 $16,413
      1,648,295
Banking – 2.8%
Bank of America Corp.,      
(3M CME Term SOFR + 1.30%), 3.42%, 12/20/28(j)   128,000 120,915
(SOFR + 1.63%), 5.20%, 4/25/29(j)   56,000 56,458
(SOFR + 1.06%), 2.09%, 6/14/29(j)   6,000 5,318
(3M CME Term SOFR + 1.57%), 4.27%, 7/23/29(j)   103,000 99,804
(3M CME Term SOFR + 1.44%), 3.19%, 7/23/30(j)   85,000 77,550
(SOFR + 2.15%), 2.59%, 4/29/31(j)   41,000 35,504
(SOFR + 1.53%), 1.90%, 7/23/31(j)   121,000 99,613
(SOFR + 1.22%), 2.65%, 3/11/32(j)   51,000 43,268
(SOFR + 1.32%), 2.69%, 4/22/32(j)   137,000 116,302
(SOFR + 1.22%), 2.30%, 7/21/32(j)   122,000 100,160
(SOFR + 1.33%), 2.97%, 2/04/33(j)   128,000 109,198
(SOFR + 1.83%), 4.57%, 4/27/33(j)   76,000 72,722
(SOFR + 1.91%), 5.29%, 4/25/34(j)   44,000 44,270
(SOFR + 1.84%), 5.87%, 9/15/34(j)   258,000 270,164
(SOFR + 1.65%), 5.47%, 1/23/35(j)   115,000 117,110
(5Y US Treasury CMT + 2.00%), 3.85%, 3/08/37(j)   47,000 41,750
(SOFR + 1.93%), 2.68%, 6/19/41(j)   7,000 5,052
Citizens Financial Group, Inc.,      
(SOFR + 2.01%), 5.84%, 1/23/30(j)   40,000 40,278
(5Y US Treasury CMT + 2.75%), 5.64%, 5/21/37(j)   69,000 65,301
Comerica, Inc., (SOFR + 2.16%), 5.98%, 1/30/30(j)   80,000 79,760
First Horizon Bank, 5.75%, 5/01/30   250,000 242,155
    Par(a) Value
Banking (Continued)
Huntington Bancshares, Inc.,      
(SOFR Index + 1.87%), 5.71%, 2/02/35(j)   $217,000 $218,553
(5Y US Treasury CMT + 1.17%), 2.49%, 8/15/36(j)   25,000 19,071
JPMorgan Chase & Co.,      
(3M CME Term SOFR + 0.58%), 0.97%, 6/23/25(j)   137,000 134,398
(SOFR + 1.16%), 2.30%, 10/15/25(j)   118,000 115,402
(3M CME Term SOFR + 1.51%), 3.96%, 1/29/27(j)   58,000 56,948
(3M CME Term SOFR + 0.70%), 1.04%, 2/04/27(j)   179,000 165,259
(SOFR + 0.89%), 1.58%, 4/22/27(j)   67,000 62,189
(SOFR + 0.77%), 1.47%, 9/22/27(j)   79,000 72,111
(SOFR + 1.33%), 6.07%, 10/22/27(j)   138,000 142,151
(SOFR + 1.17%), 2.95%, 2/24/28(j)   106,000 100,038
(SOFR + 1.89%), 2.18%, 6/01/28(j)   42,000 38,547
(3M CME Term SOFR + 1.21%), 3.51%, 1/23/29(j)   136,000 129,275
(SOFR + 1.02%), 2.07%, 6/01/29(j)   64,000 57,021
(3M CME Term SOFR + 1.59%), 4.45%, 12/05/29(j)   202,000 198,308
(SOFR + 1.07%), 1.95%, 2/04/32(j)   45,000 36,732
(SOFR + 1.62%), 5.34%, 1/23/35(j)   335,000 340,447
KeyCorp, (SOFR Index + 2.06%), 4.79%, 6/01/33(j)   32,000 29,388
PNC Financial Services Group (The), Inc., (SOFR + 1.90%), 5.68%, 1/22/35(j)   119,000 122,118
Truist Financial Corp.,      
(3M CME Term SOFR + 0.91%), 6.30%, 3/15/28(c)   106,000 99,684
(SOFR + 2.24%), 4.92%, 7/28/33(j)   35,000 32,919
(SOFR + 1.92%), 5.71%, 1/24/35(j)   205,000 208,456
 
142

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Banking (Continued)
U.S. Bancorp,      
(SOFR + 2.11%), 4.97%, 7/22/33(j)   $41,000 $38,935
(SOFR + 1.86%), 5.68%, 1/23/35(j)   40,000 40,928
Wells Fargo & Co.,      
(SOFR + 2.02%), 5.39%, 4/24/34(j)   95,000 95,854
(SOFR + 1.99%), 5.56%, 7/25/34(j)   26,000 26,545
(SOFR + 1.78%), 5.50%, 1/23/35(j)   119,000 121,365
(SOFR + 2.53%), 3.07%, 4/30/41(j)   21,000 15,928
(3M CME Term SOFR + 4.50%), 5.01%, 4/04/51(j)   48,000 45,850
(SOFR + 2.13%), 4.61%, 4/25/53(j)   150,000 134,415
Zions Bancorp N.A., 3.25%, 10/29/29   250,000 208,269
      4,949,756
Beverages – 0.0%(e)
Constellation Brands, Inc., 4.80%, 1/15/29   50,000 50,228
Biotechnology & Pharmaceuticals – 1.6%
AbbVie, Inc.,      
3.20%, 5/14/26   68,000 65,992
3.20%, 11/21/29   205,000 191,080
4.50%, 5/14/35   83,000 81,003
4.05%, 11/21/39   66,000 59,709
4.63%, 10/01/42   17,000 16,025
Amgen, Inc.,      
2.45%, 2/21/30   36,000 31,885
5.25%, 3/02/30   41,000 41,977
2.30%, 2/25/31   22,000 18,781
3.15%, 2/21/40   96,000 74,722
5.60%, 3/02/43   77,000 79,225
5.65%, 3/02/53   165,000 170,002
4.40%, 2/22/62   54,000 44,964
5.75%, 3/02/63   53,000 54,614
Bausch Health Cos., Inc.,      
6.13%, 2/01/27(b)   65,000 41,129
4.88%, 6/01/28(b)   520,000 294,021
6.25%, 2/15/29(b)   120,000 51,343
5.00%, 2/15/29(b)   5,000 2,095
5.25%, 1/30/30(b)   140,000 56,806
Bristol-Myers Squibb Co.,      
3.40%, 7/26/29   11,000 10,423
6.25%, 11/15/53   31,000 35,081
6.40%, 11/15/63   60,000 68,959
    Par(a) Value
Biotechnology & Pharmaceuticals (Continued)
Eli Lilly & Co., 5.55%, 3/15/37   $53,000 $57,565
Johnson & Johnson,      
3.63%, 3/03/37   61,000 55,490
5.85%, 7/15/38   43,000 48,872
2.10%, 9/01/40   40,000 28,223
Merck & Co., Inc., 4.90%, 5/17/44   34,000 33,975
Mylan, Inc., 5.20%, 4/15/48   22,000 18,417
Organon & Co./Organon Foreign Debt Co-Issuer B.V., 5.13%, 4/30/31(b)   240,000 206,190
Pfizer Investment Enterprises Pte. Ltd.,      
4.65%, 5/19/30   43,000 43,132
4.75%, 5/19/33   130,000 129,839
5.11%, 5/19/43   81,000 80,517
5.30%, 5/19/53   67,000 68,123
5.34%, 5/19/63   270,000 269,776
Prestige Brands, Inc., 3.75%, 4/01/31(b)   45,000 39,023
Royalty Pharma PLC,      
1.75%, 9/02/27   101,000 90,845
3.30%, 9/02/40   116,000 87,386
Utah Acquisition Sub, Inc., 5.25%, 6/15/46   84,000 71,304
Viatris, Inc., 3.85%, 6/22/40   47,000 35,574
      2,854,087
Cable & Satellite – 2.9%
Block Communications, Inc., 4.88%, 3/01/28(b)   25,000 22,462
CCO Holdings LLC/CCO Holdings Capital Corp.,      
4.75%, 3/01/30(b)   620,000 550,936
4.25%, 2/01/31(b)   25,000 21,139
4.50%, 6/01/33(b)   305,000 250,160
4.25%, 1/15/34(b)   1,140,000 906,417
Charter Communications Operating LLC/Charter Communications Operating Capital,      
6.65%, 2/01/34   81,000 84,349
4.80%, 3/01/50   165,000 125,962
3.85%, 4/01/61   32,000 19,392
3.95%, 6/30/62   67,000 41,047
Comcast Corp.,      
5.65%, 6/15/35   72,000 76,724
6.50%, 11/15/35   11,000 12,457
3.20%, 7/15/36   81,000 68,162
3.90%, 3/01/38   26,000 23,152
 
143

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Cable & Satellite (Continued)
Comcast Corp.,      
3.25%, 11/01/39   $88,000 $70,976
5.50%, 5/15/64   152,000 156,754
Cox Communications, Inc., 5.80%, 12/15/53(b)   53,000 53,492
CSC Holdings LLC,      
5.75%, 1/15/30(b)   900,000 476,361
4.63%, 12/01/30(b)   1,000,000 511,131
3.38%, 2/15/31(b)   200,000 136,956
Directv Financing LLC/Directv Financing Co-Obligor, Inc., 5.88%, 8/15/27(b)   495,000 470,592
DISH DBS Corp.,      
7.75%, 7/01/26   315,000 185,606
5.25%, 12/01/26(b)   285,000 224,439
7.38%, 7/01/28   80,000 35,200
5.75%, 12/01/28(b)   190,000 127,818
5.13%, 6/01/29   610,000 233,660
DISH Network Corp., 11.75%, 11/15/27(b)   55,000 57,404
Radiate Holdco LLC/Radiate Finance, Inc., 6.50%, 9/15/28(b)   130,000 55,958
Sirius XM Radio, Inc., 3.88%, 9/01/31(b)   265,000 220,930
      5,219,636
Chemicals – 0.3%
Ashland, Inc., 3.38%, 9/01/31(b)   35,000 29,536
ASP Unifrax Holdings, Inc., 5.25%, 9/30/28(b)   165,000 109,527
Dow Chemical (The) Co.,      
6.30%, 3/15/33   20,000 21,989
4.38%, 11/15/42   71,000 62,195
Olympus Water US Holding Corp., 9.75%, 11/15/28(b)   200,000 211,595
RPM International, Inc., 2.95%, 1/15/32   86,000 73,766
Sherwin-Williams (The) Co., 4.50%, 6/01/47   31,000 27,865
Westlake Corp., 3.13%, 8/15/51   61,000 39,967
WR Grace Holdings LLC, 5.63%, 8/15/29(b)   15,000 13,226
      589,666
Commercial Support Services – 0.6%
ADT Security (The) Corp., 4.13%, 8/01/29(b)   265,000 244,543
Aramark Services, Inc., 5.00%, 2/01/28(b)   25,000 24,158
    Par(a) Value
Commercial Support Services (Continued)
Clean Harbors, Inc.,      
5.13%, 7/15/29(b)   $5,000 $4,783
6.38%, 2/01/31(b)   50,000 50,653
Covanta Holding Corp., 4.88%, 12/01/29(b)   255,000 220,241
Prime Security Services Borrower LLC/Prime Finance, Inc., 3.38%, 8/31/27(b)   30,000 27,635
Republic Services, Inc.,      
2.90%, 7/01/26   35,000 33,639
4.88%, 4/01/29   76,000 76,955
VT Topco, Inc., 8.50%, 8/15/30(b)   80,000 83,606
Waste Management, Inc.,      
4.88%, 2/15/29   24,000 24,431
2.00%, 6/01/29   47,000 41,455
4.63%, 2/15/30   34,000 34,169
4.63%, 2/15/33   23,000 22,835
4.88%, 2/15/34   120,000 120,809
      1,009,912
Construction Materials – 0.1%
Advanced Drainage Systems, Inc., 6.38%, 6/15/30(b)   85,000 85,704
Standard Industries, Inc., 4.38%, 7/15/30(b)   80,000 72,700
Summit Materials LLC/Summit Materials Finance Corp., 7.25%, 1/15/31(b)   80,000 83,114
      241,518
Containers & Packaging – 0.1%
Graham Packaging Co., Inc., 7.13%, 8/15/28(b)   75,000 66,940
Packaging Corp. of America, 5.70%, 12/01/33   52,000 54,597
Sealed Air Corp./Sealed Air Corp. U.S., 6.13%, 2/01/28(b)   60,000 60,213
WRKCo, Inc., 4.65%, 3/15/26   20,000 19,857
      201,607
Diversified Industrials – 0.1%
Honeywell International, Inc., 5.00%, 2/15/33   25,000 25,744
Parker-Hannifin Corp., 4.25%, 9/15/27   116,000 114,749
      140,493
 
144

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
E-Commerce Discretionary – 0.1%
Amazon.com, Inc.,      
2.10%, 5/12/31   $17,000 $14,541
4.70%, 12/01/32   31,000 31,561
3.10%, 5/12/51   60,000 43,905
3.25%, 5/12/61   25,000 18,021
      108,028
Electric Utilities – 2.9%
AES (The) Corp.,      
5.45%, 6/01/28   52,000 52,683
2.45%, 1/15/31   41,000 34,218
Alabama Power Co.,      
5.85%, 11/15/33   36,000 38,505
3.75%, 3/01/45   33,000 26,764
4.30%, 7/15/48   38,000 32,569
3.45%, 10/01/49   26,000 19,593
Alliant Energy Finance LLC, 3.60%, 3/01/32(b)   28,000 24,550
Ameren Corp.,      
5.70%, 12/01/26   101,000 103,237
5.00%, 1/15/29   77,000 77,439
American Electric Power Co., Inc., 5.63%, 3/01/33   41,000 42,299
Appalachian Power Co., 4.50%, 3/01/49   33,000 27,660
Calpine Corp., 4.50%, 2/15/28(b)   145,000 137,890
CMS Energy Corp., (5Y US Treasury CMT + 4.12%), 4.75%, 6/01/50(j)   97,000 87,818
Commonwealth Edison Co., 5.90%, 3/15/36   73,000 78,633
Consolidated Edison Co. of New York, Inc.,      
5.50%, 3/15/34   33,000 34,444
5.90%, 11/15/53   46,000 50,143
Consumers Energy Co., 4.90%, 2/15/29   87,000 88,420
Dominion Energy South Carolina, Inc., 6.25%, 10/15/53   51,000 58,037
DTE Electric Co., 5.40%, 4/01/53   19,000 19,545
Duke Energy Carolinas LLC,      
6.45%, 10/15/32   34,000 37,443
4.25%, 12/15/41   18,000 15,814
4.00%, 9/30/42   32,000 27,104
3.75%, 6/01/45   6,000 4,771
Duke Energy Corp., 3.15%, 8/15/27   32,000 30,266
Duke Energy Florida LLC,      
2.40%, 12/15/31   35,000 29,415
    Par(a) Value
Electric Utilities (Continued)
Duke Energy Florida LLC,      
5.88%, 11/15/33   $29,000 $31,005
5.95%, 11/15/52   29,000 31,440
6.20%, 11/15/53   25,000 27,977
Duke Energy Ohio, Inc.,      
5.25%, 4/01/33   22,000 22,409
3.70%, 6/15/46   44,000 33,976
4.30%, 2/01/49   49,000 40,864
5.65%, 4/01/53   15,000 15,515
Duke Energy Progress LLC,      
5.25%, 3/15/33   21,000 21,514
4.10%, 5/15/42   62,000 52,726
4.10%, 3/15/43   42,000 35,578
4.20%, 8/15/45   61,000 51,975
5.35%, 3/15/53   41,000 41,001
Entergy Arkansas LLC,      
4.00%, 6/01/28   10,000 9,708
5.15%, 1/15/33   23,000 23,470
4.20%, 4/01/49   23,000 19,549
2.65%, 6/15/51   14,000 8,727
3.35%, 6/15/52   34,000 24,251
Entergy Louisiana LLC, 3.25%, 4/01/28   5,000 4,717
Entergy Mississippi LLC, 5.00%, 9/01/33   51,000 50,936
Entergy Texas, Inc., 5.80%, 9/01/53   20,000 21,290
Evergy Kansas Central, Inc.,      
5.90%, 11/15/33   27,000 28,859
5.70%, 3/15/53   37,000 38,555
Eversource Energy,      
1.40%, 8/15/26   119,000 108,933
2.90%, 3/01/27   68,000 64,106
5.45%, 3/01/28   51,000 51,923
5.95%, 2/01/29   61,000 63,442
5.13%, 5/15/33   34,000 33,479
5.50%, 1/01/34   52,000 52,596
Exelon Corp.,      
5.15%, 3/15/28   82,000 83,200
4.95%, 6/15/35   97,000 93,320
Florida Power & Light Co.,      
4.63%, 5/15/30   33,000 33,174
4.80%, 5/15/33   23,000 23,105
5.40%, 9/01/35   31,000 32,032
5.65%, 2/01/37   20,000 21,176
2.88%, 12/04/51   4,000 2,709
Indiana Michigan Power Co.,      
3.85%, 5/15/28   22,000 21,331
6.05%, 3/15/37   12,000 12,825
 
145

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Electric Utilities (Continued)
IPALCO Enterprises, Inc., 4.25%, 5/01/30   $66,000 $61,954
Kentucky Utilities Co., 5.45%, 4/15/33   25,000 25,831
Liberty Utilities Co., 5.87%, 1/31/34(b)   95,000 96,102
Louisville Gas and Electric Co., 5.45%, 4/15/33   25,000 25,842
Metropolitan Edison Co.,      
4.00%, 4/15/25(b)   71,000 69,292
5.20%, 4/01/28(b)   43,000 43,480
MidAmerican Energy Co.,      
4.80%, 9/15/43   15,000 14,043
4.40%, 10/15/44   95,000 84,050
4.25%, 5/01/46   59,000 51,070
Mississippi Power Co.,      
4.75%, 10/15/41   11,000 9,780
4.25%, 3/15/42   26,000 22,234
Monongahela Power Co., 5.85%, 2/15/34(b)   66,000 68,855
National Rural Utilities Cooperative Finance Corp.,      
5.60%, 11/13/26   96,000 98,434
3.40%, 2/07/28   22,000 21,149
5.00%, 2/07/31(k)   48,000 48,331
2.75%, 4/15/32   32,000 27,385
4.02%, 11/01/32   41,000 38,339
4.15%, 12/15/32   50,000 47,078
5.80%, 1/15/33   29,000 30,609
(3M USD LIBOR + 3.63%), 5.25%, 4/20/46(j)   97,000 93,845
(5Y US Treasury CMT + 3.53%), 7.13%, 9/15/53(j)   32,000 33,191
Nevada Power Co., 6.00%, 3/15/54   24,000 25,803
NextEra Energy Capital Holdings, Inc.,      
4.45%, 6/20/25   51,000 50,557
1.88%, 1/15/27   70,000 64,591
5.25%, 3/15/34   63,000 63,396
Niagara Mohawk Power Corp.,      
1.96%, 6/27/30(b)   58,000 48,291
5.66%, 1/17/54(b)   78,000 78,777
NRG Energy, Inc.,      
5.25%, 6/15/29(b)   10,000 9,589
3.88%, 2/15/32(b)   9,000 7,718
Pacific Gas and Electric Co.,      
3.25%, 6/01/31   31,000 26,923
    Par(a) Value
Electric Utilities (Continued)
Pacific Gas and Electric Co.,      
4.45%, 4/15/42   $52,000 $43,000
4.30%, 3/15/45   46,000 36,704
6.75%, 1/15/53   32,000 35,185
PacifiCorp.,      
5.45%, 2/15/34   29,000 29,392
4.10%, 2/01/42   90,000 73,801
5.80%, 1/15/55   63,000 63,116
PECO Energy Co., 4.90%, 6/15/33   46,000 46,412
PG&E Corp.,      
5.00%, 7/01/28   105,000 101,463
5.25%, 7/01/30   15,000 14,323
PPL Electric Utilities Corp., 4.85%, 2/15/34   83,000 83,252
Public Service Co. of New Hampshire, 5.15%, 1/15/53   12,000 11,953
Public Service Co. of Oklahoma, 3.15%, 8/15/51   45,000 30,819
Public Service Electric and Gas Co.,      
3.00%, 5/15/27   14,000 13,392
5.20%, 8/01/33   57,000 59,065
3.80%, 3/01/46   5,000 4,094
Public Service Enterprise Group, Inc.,      
5.85%, 11/15/27   54,000 56,214
2.45%, 11/15/31   90,000 74,854
Southern California Edison Co.,      
4.05%, 3/15/42   60,000 50,474
4.00%, 4/01/47   33,000 26,816
3.65%, 2/01/50   15,000 11,406
Southwestern Electric Power Co., 5.30%, 4/01/33   34,000 34,128
Talen Energy Supply LLC, 8.63%, 6/01/30(b)   45,000 47,759
Tucson Electric Power Co., 4.00%, 6/15/50   27,000 21,166
Union Electric Co., 5.45%, 3/15/53   19,000 19,236
Virginia Electric and Power Co.,      
3.80%, 4/01/28   104,000 101,069
5.45%, 4/01/53   47,000 47,825
5.70%, 8/15/53   15,000 15,675
 
146

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Electric Utilities (Continued)
WEC Energy Group, Inc.,      
5.00%, 9/27/25   $15,000 $15,001
5.15%, 10/01/27   20,000 20,271
      5,087,057
Electric, Gas Marketing & Trading – 0.1%
New York State Electric & Gas Corp., 3.25%, 12/01/26(b)   95,000 89,706
Electrical Equipment – 0.3%
Carrier Global Corp.,      
5.80%, 11/30/25(b)   74,000 75,064
2.49%, 2/15/27   29,000 27,204
2.72%, 2/15/30   16,000 14,290
6.20%, 3/15/54(b)   62,000 70,153
Sensata Technologies, Inc.,      
4.38%, 2/15/30(b)   20,000 18,429
3.75%, 2/15/31(b)   125,000 108,510
Trane Technologies Financing Ltd.,      
3.50%, 3/21/26   25,000 24,366
3.80%, 3/21/29   20,000 19,331
5.25%, 3/03/33   60,000 61,996
Trane Technologies Global Holding Co. Ltd., 3.75%, 8/21/28   20,000 19,411
      438,754
Engineering & Construction – 0.0%(e)
Installed Building Products, Inc., 5.75%, 2/01/28(b)   30,000 29,400
Entertainment Content – 0.3%
Diamond Sports Group LLC/Diamond Sports Finance Co.,      
5.38%, 8/15/26(b)(l)   215,000 14,244
6.63%, 8/15/27(b)(l)   115,000 8,050
Paramount Global,      
4.20%, 5/19/32   33,000 29,365
5.50%, 5/15/33   18,000 16,987
4.38%, 3/15/43   4,000 2,897
5.85%, 9/01/43   49,000 43,546
4.95%, 5/19/50   116,000 92,517
Playtika Holding Corp., 4.25%, 3/15/29(b)   60,000 51,529
Time Warner Cable Enterprises LLC, 8.38%, 7/15/33   37,000 42,433
Walt Disney (The) Co., 2.00%, 9/01/29   20,000 17,615
    Par(a) Value
Entertainment Content (Continued)
Warnermedia Holdings, Inc.,      
3.76%, 3/15/27   $107,000 $102,788
5.05%, 3/15/42   79,000 70,026
5.14%, 3/15/52   99,000 85,097
5.39%, 3/15/62   34,000 29,257
      606,351
Food – 0.5%
Cargill, Inc.,      
2.13%, 4/23/30(b)   34,000 29,465
1.70%, 2/02/31(b)   39,000 31,734
2.13%, 11/10/31(b)   18,000 14,941
Fiesta Purchaser, Inc., 7.88%, 3/01/31(b)(k)   120,000 120,000
HLF Financing S.a.r.l. LLC/Herbalife International, Inc., 4.88%, 6/01/29(b)   70,000 54,688
J M Smucker (The) Co., 2.75%, 9/15/41   40,000 27,535
Kraft Heinz Foods Co.,      
5.00%, 6/04/42   29,000 27,750
5.20%, 7/15/45   29,000 28,112
Lamb Weston Holdings, Inc., 4.38%, 1/31/32(b)   180,000 161,535
Mars, Inc., 2.38%, 7/16/40(b)   99,000 69,946
Mondelez International, Inc., 2.63%, 3/17/27   30,000 28,331
Post Holdings, Inc., 4.63%, 4/15/30(b)   165,000 151,742
Simmons Foods, Inc., 4.63%, 3/01/29(b)   65,000 55,885
      801,664
Gas & Water Utilities – 0.1%
Essential Utilities, Inc., 5.38%, 1/15/34   42,000 42,260
Ferrellgas L.P./Ferrellgas Finance Corp., 5.38%, 4/01/26(b)   65,000 64,039
South Jersey Industries, Inc., 5.02%, 4/15/31   146,000 118,889
      225,188
Health Care Facilities & Services – 1.7%
AdaptHealth LLC,      
4.63%, 8/01/29(b)   35,000 27,477
5.13%, 3/01/30(b)   185,000 144,661
Centene Corp.,      
2.45%, 7/15/28   122,000 108,560
 
147

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Health Care Facilities & Services (Continued)
Centene Corp.,      
3.00%, 10/15/30   $241,000 $208,479
2.50%, 3/01/31   62,000 51,537
2.63%, 8/01/31   40,000 33,202
CHS/Community Health Systems, Inc., 5.25%, 5/15/30(b)   270,000 223,539
Cigna Group (The),      
4.13%, 11/15/25   23,000 22,659
4.80%, 8/15/38   130,000 125,323
3.20%, 3/15/40   27,000 20,837
CVS Health Corp.,      
5.00%, 1/30/29   41,000 41,482
4.78%, 3/25/38   204,000 191,376
2.70%, 8/21/40   34,000 23,947
5.05%, 3/25/48   53,000 48,591
5.88%, 6/01/53   30,000 30,945
6.00%, 6/01/63   38,000 39,235
DaVita, Inc., 3.75%, 2/15/31(b)   215,000 177,244
Elevance Health, Inc., 2.88%, 9/15/29   54,000 49,433
Encompass Health Corp., 4.75%, 2/01/30   105,000 98,476
Fortrea Holdings, Inc., 7.50%, 7/01/30(b)   25,000 25,408
HCA, Inc.,      
5.88%, 2/01/29   15,000 15,471
3.38%, 3/15/29   35,000 32,332
4.13%, 6/15/29   75,000 71,624
3.50%, 9/01/30   31,000 28,128
2.38%, 7/15/31   32,000 26,521
5.13%, 6/15/39   64,000 61,285
5.25%, 6/15/49   77,000 71,270
Humana, Inc.,      
5.75%, 3/01/28   41,000 42,373
5.75%, 12/01/28   51,000 52,849
LifePoint Health, Inc., 5.38%, 1/15/29(b)   205,000 162,078
Molina Healthcare, Inc.,      
3.88%, 11/15/30(b)   15,000 13,148
3.88%, 5/15/32(b)   135,000 115,554
Quest Diagnostics, Inc.,      
2.95%, 6/30/30   20,000 17,889
2.80%, 6/30/31   25,000 21,834
RP Escrow Issuer LLC, 5.25%, 12/15/25(b)   50,000 45,000
Star Parent, Inc., 9.00%, 10/01/30(b)   205,000 215,558
U.S. Acute Care Solutions LLC, 6.38%, 3/01/26(b)   50,000 43,690
    Par(a) Value
Health Care Facilities & Services (Continued)
UnitedHealth Group, Inc.,      
3.50%, 8/15/39   $32,000 $27,053
2.75%, 5/15/40   78,000 58,992
3.05%, 5/15/41   35,000 27,220
3.75%, 10/15/47   9,000 7,334
4.45%, 12/15/48   9,000 8,168
3.25%, 5/15/51   42,000 30,813
4.75%, 5/15/52   16,000 15,155
5.20%, 4/15/63   53,000 53,120
      2,956,870
Home & Office Products – 0.1%
Newell Brands, Inc., 5.20%, 4/01/26   155,000 150,888
Tempur Sealy International, Inc., 3.88%, 10/15/31(b)   70,000 59,069
      209,957
Home Construction – 0.2%
ACProducts Holdings, Inc., 6.38%, 5/15/29(b)   35,000 26,090
Camelot Return Merger Sub, Inc., 8.75%, 8/01/28(b)   20,000 20,503
Cornerstone Building Brands, Inc., 6.13%, 1/15/29(b)   120,000 106,662
Fortune Brands Innovations, Inc., 5.88%, 6/01/33   44,000 45,883
MIWD Holdco II LLC/MIWD Finance Corp., 5.50%, 2/01/30(b)   90,000 81,900
Mohawk Industries, Inc., 5.85%, 9/18/28   141,000 146,131
      427,169
Household Products – 0.5%
Coty, Inc./HFC Prestige Products, Inc./HFC Prestige International U.S. LLC,      
4.75%, 1/15/29(b)   70,000 66,724
6.63%, 7/15/30(b)   125,000 127,321
Energizer Holdings, Inc., 4.38%, 3/31/29(b)   410,000 371,136
Estee Lauder (The) Cos., Inc., 4.65%, 5/15/33   33,000 32,879
Kenvue, Inc.,      
5.05%, 3/22/28   35,000 35,788
4.90%, 3/22/33   68,000 69,365
5.10%, 3/22/43   48,000 49,197
 
148

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Household Products (Continued)
Kenvue, Inc.,      
5.05%, 3/22/53   $35,000 $35,294
5.20%, 3/22/63   47,000 47,776
      835,480
Industrial Support Services – 0.1%
Resideo Funding, Inc., 4.00%, 9/01/29(b)   190,000 164,638
WW Grainger, Inc., 3.75%, 5/15/46   76,000 63,110
      227,748
Institutional Financial Services – 1.4%
Bank of New York Mellon (The) Corp., (SOFR + 1.03%), 4.95%, 4/26/27(j)   61,000 61,106
Coinbase Global, Inc.,      
3.38%, 10/01/28(b)   45,000 36,882
3.63%, 10/01/31(b)   50,000 37,500
Goldman Sachs Capital I, 6.35%, 2/15/34   82,000 86,202
Goldman Sachs Group (The), Inc.,      
3.50%, 4/01/25   38,000 37,281
3.85%, 1/26/27   130,000 126,803
(3M CME Term SOFR + 2.01%), 7.33%, 10/28/27(c)   43,000 43,965
(SOFR + 1.73%), 4.48%, 8/23/28(j)   203,000 199,995
(SOFR + 1.25%), 2.38%, 7/21/32(j)   8,000 6,596
6.25%, 2/01/41   8,000 8,910
Intercontinental Exchange, Inc.,      
4.00%, 9/15/27   167,000 163,719
2.10%, 6/15/30   131,000 112,065
4.25%, 9/21/48   31,000 26,958
Morgan Stanley,      
(SOFR + 1.15%), 2.72%, 7/22/25(j)   58,000 57,199
(SOFR + 0.88%), 1.59%, 5/04/27(j)   74,000 68,531
(SOFR + 0.86%), 1.51%, 7/20/27(j)   300,000 275,338
(SOFR + 1.00%), 2.48%, 1/21/28(j)   29,000 27,031
3.59%, 7/22/28(c)   22,000 21,029
(SOFR + 2.24%), 6.30%, 10/18/28(j)   17,000 17,777
(SOFR + 1.59%), 5.16%, 4/20/29(j)   72,000 72,472
(SOFR + 1.20%), 2.51%, 10/20/32(j)   18,000 14,992
    Par(a) Value
Institutional Financial Services (Continued)
Morgan Stanley,      
(SOFR + 1.87%), 5.25%, 4/21/34(j)   $139,000 $139,076
(SOFR + 1.88%), 5.42%, 7/21/34(j)   20,000 20,259
(SOFR + 2.05%), 6.63%, 11/01/34(j)   57,000 63,096
(SOFR + 1.73%), 5.47%, 1/18/35(j)   240,000 244,920
(5Y US Treasury CMT + 2.43%), 5.95%, 1/19/38(j)   201,000 205,231
Northern Trust Corp., (3M USD LIBOR + 1.13%), 3.38%, 5/08/32(j)   38,000 35,394
State Street Corp.,      
(SOFR + 1.72%), 5.82%, 11/04/28(j)   44,000 45,600
(5Y US Treasury CMT + 2.61%), 6.70%, 3/15/29(i)(j)   25,000 24,937
(SOFR + 1.48%), 5.68%, 11/21/29(j)   66,000 68,252
(SOFR + 1.96%), 6.12%, 11/21/34(j)   164,000 173,412
      2,522,528
Insurance – 1.6%
Acrisure LLC/Acrisure Finance, Inc.,      
8.25%, 2/01/29(b)   145,000 145,372
4.25%, 2/15/29(b)   90,000 80,702
Alleghany Corp.,      
4.90%, 9/15/44   86,000 83,314
3.25%, 8/15/51   59,000 44,112
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer,      
6.75%, 10/15/27(b)   90,000 87,869
7.00%, 1/15/31(b)   140,000 141,484
American International Group, Inc.,      
4.20%, 4/01/28   75,000 73,487
3.40%, 6/30/30   62,000 57,206
5.13%, 3/27/33   150,000 151,811
AmWINS Group, Inc., 4.88%, 6/30/29(b)   125,000 116,668
Aon Global Ltd., 4.75%, 5/15/45   21,000 19,183
AssuredPartners, Inc., 5.63%, 1/15/29(b)   100,000 94,442
BroadStreet Partners, Inc., 5.88%, 4/15/29(b)   95,000 90,082
Corebridge Financial, Inc.,      
3.85%, 4/05/29   61,000 57,610
 
149

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Insurance (Continued)
Corebridge Financial, Inc.,      
3.90%, 4/05/32   $101,000 $90,982
6.05%, 9/15/33(b)   55,000 57,588
5.75%, 1/15/34   68,000 69,749
(5Y US Treasury CMT + 3.85%), 6.88%, 12/15/52(j)   65,000 65,189
Hartford Financial Services Group (The), Inc.,      
5.95%, 10/15/36   44,000 46,830
(3M CME Term SOFR + 2.39%), 7.77%, 2/12/47(b)(c)   87,000 75,218
HUB International Ltd., 7.25%, 6/15/30(b)   455,000 468,043
Liberty Mutual Group, Inc.,      
3.95%, 5/15/60(b)   44,000 32,352
4.30%, 2/01/61(b)   190,000 123,563
Marsh & McLennan Cos., Inc.,      
5.40%, 9/15/33   81,000 84,790
5.70%, 9/15/53   47,000 50,583
New York Life Global Funding, 5.00%, 1/09/34(b)   109,000 109,281
New York Life Insurance Co., 3.75%, 5/15/50(b)   81,000 63,741
Northwestern Mutual Global Funding, 0.80%, 1/14/26(b)   92,000 85,226
Northwestern Mutual Life Insurance (The) Co.,      
3.45%, 3/30/51(b)   66,000 48,451
3.63%, 9/30/59(b)   26,000 19,063
PartnerRe Finance B LLC, (5Y US Treasury CMT + 3.82%), 4.50%, 10/01/50(j)   126,000 112,455
Teachers Insurance & Annuity Association of America,      
4.90%, 9/15/44(b)   29,000 27,333
3.30%, 5/15/50(b)   20,000 14,431
      2,888,210
Internet Media & Services – 1.1%
ANGI Group LLC, 3.88%, 8/15/28(b)   80,000 68,793
Arches Buyer, Inc.,      
4.25%, 6/01/28(b)   50,000 44,718
6.13%, 12/01/28(b)   50,000 43,190
Meta Platforms, Inc.,      
3.50%, 8/15/27   33,000 32,017
4.45%, 8/15/52   25,000 22,502
    Par(a) Value
Internet Media & Services (Continued)
Meta Platforms, Inc.,      
5.75%, 5/15/63   $93,000 $100,862
Netflix, Inc., 5.88%, 11/15/28   118,000 124,089
Newfold Digital Holdings Group, Inc., 11.75%, 10/15/28(b)   190,000 205,437
Uber Technologies, Inc.,      
8.00%, 11/01/26(b)   165,000 168,006
7.50%, 9/15/27(b)   95,000 97,063
4.50%, 8/15/29(b)   1,025,000 970,204
Ziff Davis, Inc., 4.63%, 10/15/30(b)   98,000 89,738
      1,966,619
Leisure Facilities & Services – 2.7%
Bloomin' Brands, Inc./OSI Restaurant Partners LLC, 5.13%, 4/15/29(b)   90,000 83,700
Carnival Corp.,      
5.75%, 3/01/27(b)   335,000 330,043
6.00%, 5/01/29(b)   280,000 271,202
7.00%, 8/15/29(b)   20,000 20,799
Everi Holdings, Inc., 5.00%, 7/15/29(b)   50,000 45,951
Hilton Domestic Operating Co., Inc., 3.63%, 2/15/32(b)   45,000 38,632
Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow,      
5.00%, 6/01/29(b)   205,000 189,425
4.88%, 7/01/31(b)   305,000 270,474
6.63%, 1/15/32(b)   125,000 125,263
KFC Holding Co./Pizza Hut Holdings LLC/Taco Bell of America LLC, 4.75%, 6/01/27(b)   180,000 176,132
Light & Wonder International, Inc.,      
7.00%, 5/15/28(b)   280,000 279,670
7.25%, 11/15/29(b)   35,000 35,941
7.50%, 9/01/31(b)   50,000 52,028
Marriott Ownership Resorts, Inc., 4.50%, 6/15/29(b)   425,000 382,067
McDonald's Corp.,      
5.70%, 2/01/39   23,000 24,629
5.45%, 8/14/53   40,000 41,651
NCL Corp. Ltd.,      
5.88%, 3/15/26(b)   335,000 326,648
5.88%, 3/15/26   5,000 4,875
 
150

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Leisure Facilities & Services (Continued)
NCL Corp. Ltd.,      
8.13%, 1/15/29(b)   $115,000 $120,713
NCL Finance Ltd., 6.13%, 3/15/28(b)   55,000 52,601
Papa John's International, Inc., 3.88%, 9/15/29(b)   165,000 146,475
Penn Entertainment, Inc., 4.13%, 7/01/29(b)   5,000 4,275
Royal Caribbean Cruises Ltd.,      
4.25%, 7/01/26(b)   160,000 153,957
11.63%, 8/15/27(b)   115,000 125,091
3.70%, 3/15/28   115,000 105,992
5.50%, 4/01/28(b)   320,000 315,928
Speedway Motorsports LLC/Speedway Funding II, Inc., 4.88%, 11/01/27(b)   70,000 66,417
Travel + Leisure Co.,      
6.63%, 7/31/26(b)   145,000 146,441
6.00%, 4/01/27   10,000 10,002
4.50%, 12/01/29(b)   55,000 50,182
4.63%, 3/01/30(b)   95,000 85,532
Viking Cruises Ltd.,      
5.88%, 9/15/27(b)   110,000 106,020
7.00%, 2/15/29(b)   60,000 59,906
Viking Ocean Cruises Ship VII Ltd., 5.63%, 2/15/29(b)   105,000 102,244
VOC Escrow Ltd., 5.00%, 2/15/28(b)   100,000 95,490
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp., 5.13%, 10/01/29(b)   150,000 141,706
Yum! Brands, Inc.,      
3.63%, 3/15/31   90,000 79,428
4.63%, 1/31/32   95,000 88,123
      4,755,653
Machinery – 0.5%
CNH Industrial Capital LLC,      
5.45%, 10/14/25   20,000 20,138
4.55%, 4/10/28   72,000 71,394
Deere & Co., 3.10%, 4/15/30   44,000 40,710
GrafTech Finance, Inc., 4.63%, 12/15/28(b)   170,000 112,562
GrafTech Global Enterprises, Inc., 9.88%, 12/15/28(b)   170,000 127,043
Ingersoll Rand, Inc.,      
5.40%, 8/14/28   53,000 54,363
5.70%, 8/14/33   83,000 86,683
    Par(a) Value
Machinery (Continued)
John Deere Capital Corp.,      
4.95%, 7/14/28   $45,000 $45,991
4.50%, 1/16/29   49,000 49,048
3.35%, 4/18/29   68,000 64,891
Madison IAQ LLC, 5.88%, 6/30/29(b)   80,000 71,087
Xylem, Inc., 3.25%, 11/01/26   87,000 84,064
      827,974
Medical Equipment & Devices – 0.5%
Bausch & Lomb Escrow Corp., 8.38%, 10/01/28(b)   280,000 290,520
Becton Dickinson & Co., 4.69%, 2/13/28   73,000 72,999
Garden Spinco Corp., 8.63%, 7/20/30(b)   90,000 96,300
Hologic, Inc.,      
4.63%, 2/01/28(b)   60,000 57,900
3.25%, 2/15/29(b)   45,000 40,463
Medline Borrower L.P., 3.88%, 4/01/29(b)   120,000 108,648
Thermo Fisher Scientific, Inc.,      
5.00%, 1/31/29   75,000 76,730
5.09%, 8/10/33   73,000 75,457
5.40%, 8/10/43   42,000 43,946
Zimmer Biomet Holdings, Inc., 5.35%, 12/01/28   56,000 57,657
      920,620
Metals & Mining – 0.1%
Newmont Corp./Newcrest Finance Pty. Ltd.,      
3.25%, 5/13/30(b)   36,000 32,915
4.20%, 5/13/50(b)   41,000 35,039
Novelis Corp., 4.75%, 1/30/30(b)   175,000 162,312
      230,266
Oil & Gas Producers – 4.6%
Antero Midstream Partners L.P./Antero Midstream Finance Corp.,      
7.88%, 5/15/26(b)   60,000 61,393
5.38%, 6/15/29(b)   90,000 86,408
6.63%, 2/01/32(b)   145,000 144,113
Antero Resources Corp., 5.38%, 3/01/30(b)   115,000 109,659
Ascent Resources Utica Holdings LLC/ARU Finance Corp., 7.00%, 11/01/26(b)   155,000 154,909
 
151

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Oil & Gas Producers (Continued)
BP Capital Markets America, Inc.,      
3.94%, 9/21/28   $64,000 $62,353
4.89%, 9/11/33   29,000 29,139
4.99%, 4/10/34   20,000 20,136
3.00%, 2/24/50   43,000 30,044
2.94%, 6/04/51   38,000 25,918
Buckeye Partners L.P.,      
5.85%, 11/15/43   55,000 44,911
5.60%, 10/15/44   30,000 23,121
Cameron LNG LLC, 2.90%, 7/15/31(b)   78,000 68,633
Cheniere Corpus Christi Holdings LLC, 3.70%, 11/15/29   11,000 10,358
Cheniere Energy Partners L.P.,      
4.50%, 10/01/29   35,000 33,389
5.95%, 6/30/33(b)   71,000 72,507
Chesapeake Energy Corp.,      
5.50%, 2/01/26(b)   240,000 238,741
6.75%, 4/15/29(b)   50,000 50,579
Civitas Resources, Inc.,      
8.38%, 7/01/28(b)   195,000 205,084
8.63%, 11/01/30(b)   60,000 63,994
Columbia Pipelines Holding Co. LLC, 6.04%, 8/15/28(b)   33,000 34,163
ConocoPhillips Co.,      
5.30%, 5/15/53   53,000 53,575
5.55%, 3/15/54   84,000 87,750
5.70%, 9/15/63   85,000 89,913
Crescent Energy Finance LLC,      
7.25%, 5/01/26(b)   110,000 109,587
9.25%, 2/15/28(b)   130,000 134,959
CVR Energy, Inc.,      
5.25%, 2/15/25(b)   155,000 154,806
8.50%, 1/15/29(b)   155,000 155,194
Diamondback Energy, Inc.,      
6.25%, 3/15/33   11,000 11,724
4.40%, 3/24/51   57,000 46,951
4.25%, 3/15/52   105,000 84,337
Energy Transfer L.P.,      
(5Y US Treasury CMT + 5.69%), 6.50%, 11/15/26(i)(j)   82,000 79,235
6.00%, 2/01/29(b)   100,000 100,487
5.55%, 5/15/34   108,000 108,618
5.95%, 10/01/43   55,000 54,576
5.40%, 10/01/47   46,000 42,769
6.00%, 6/15/48   92,000 92,595
    Par(a) Value
Oil & Gas Producers (Continued)
Energy Transfer L.P.,      
5.95%, 5/15/54   $90,000 $90,256
EnLink Midstream LLC, 6.50%, 9/01/30(b)   105,000 107,149
EnLink Midstream Partners L.P.,      
5.60%, 4/01/44   45,000 39,940
5.05%, 4/01/45   20,000 16,255
5.45%, 6/01/47   130,000 113,008
Enterprise Products Operating LLC,      
3.70%, 1/31/51   14,000 11,011
3.95%, 1/31/60   105,000 83,994
(3M CME Term SOFR + 3.29%), 5.25%, 8/16/77(j)   10,000 9,630
EQM Midstream Partners L.P.,      
7.50%, 6/01/27(b)   170,000 174,912
6.50%, 7/01/27(b)   140,000 141,708
5.50%, 7/15/28   30,000 29,727
7.50%, 6/01/30(b)   35,000 37,538
6.50%, 7/15/48   30,000 30,959
Exxon Mobil Corp.,      
3.00%, 8/16/39   34,000 27,320
4.23%, 3/19/40   103,000 94,925
Global Partners L.P./GLP Finance Corp., 8.25%, 1/15/32(b)   55,000 56,416
Gulfport Energy Corp., 8.00%, 5/17/26(b)   55,000 55,275
Hess Corp., 4.30%, 4/01/27   85,000 83,981
Hess Midstream Operations L.P.,      
5.63%, 2/15/26(b)   114,000 113,282
5.13%, 6/15/28(b)   85,000 82,456
4.25%, 2/15/30(b)   175,000 160,974
HF Sinclair Corp., 5.00%, 2/01/28(b)   45,000 43,673
Kinetik Holdings L.P.,      
6.63%, 12/15/28(b)   160,000 162,191
5.88%, 6/15/30(b)   140,000 137,516
Marathon Petroleum Corp.,      
6.50%, 3/01/41   64,000 69,698
5.00%, 9/15/54   65,000 57,371
Matador Resources Co.,      
5.88%, 9/15/26   150,000 148,652
6.88%, 4/15/28(b)   75,000 76,802
Murphy Oil Corp., 5.88%, 12/01/42   120,000 106,349
Murphy Oil USA, Inc., 4.75%, 9/15/29   25,000 23,680
 
152

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Oil & Gas Producers (Continued)
Northern Oil & Gas, Inc.,      
8.13%, 3/01/28(b)   $60,000 $60,934
8.75%, 6/15/31(b)   225,000 235,160
Occidental Petroleum Corp.,      
8.50%, 7/15/27   35,000 38,242
6.13%, 1/01/31   25,000 25,951
7.50%, 5/01/31   26,000 28,949
6.20%, 3/15/40   86,000 88,049
6.60%, 3/15/46   58,000 62,643
Ovintiv, Inc.,      
5.65%, 5/15/28   20,000 20,349
6.25%, 7/15/33   27,000 28,162
7.10%, 7/15/53   29,000 32,267
PBF Holding Co. LLC/PBF Finance Corp., 7.88%, 9/15/30(b)   60,000 62,149
Permian Resources Operating LLC,      
6.88%, 4/01/27(b)   90,000 89,457
5.88%, 7/01/29(b)   60,000 58,685
7.00%, 1/15/32(b)   110,000 113,564
Plains All American Pipeline L.P./PAA Finance Corp.,      
3.55%, 12/15/29   31,000 28,528
4.30%, 1/31/43   8,000 6,488
4.90%, 2/15/45   15,000 13,121
Range Resources Corp., 8.25%, 1/15/29   55,000 57,026
Sabine Pass Liquefaction LLC, 4.20%, 3/15/28   85,000 83,222
Sitio Royalties Operating Partnership L.P./Sitio Finance Corp., 7.88%, 11/01/28(b)   290,000 297,388
SM Energy Co.,      
5.63%, 6/01/25   80,000 79,225
6.75%, 9/15/26   75,000 74,899
Southwestern Energy Co., 5.38%, 2/01/29   50,000 48,820
Sunoco L.P./Sunoco Finance Corp., 4.50%, 5/15/29   60,000 55,899
Targa Resources Corp.,      
6.50%, 3/30/34   126,000 135,856
4.95%, 4/15/52   24,000 20,930
6.25%, 7/01/52   41,000 42,379
Targa Resources Partners L.P./Targa Resources Partners Finance Corp., 4.88%, 2/01/31   95,000 91,105
    Par(a) Value
Oil & Gas Producers (Continued)
Transcontinental Gas Pipe Line Co. LLC, 3.25%, 5/15/30   $29,000 $26,456
Venture Global Calcasieu Pass LLC,      
4.13%, 8/15/31(b)   175,000 154,756
3.88%, 11/01/33(b)   290,000 245,607
Venture Global LNG, Inc., 8.38%, 6/01/31(b)   140,000 141,377
Vital Energy, Inc., 9.75%, 10/15/30   5,000 5,312
Western Midstream Operating L.P., 4.75%, 8/15/28   38,000 37,240
Williams (The) Cos., Inc.,      
4.90%, 3/15/29   71,000 71,120
5.10%, 9/15/45   67,000 63,772
      8,088,363
Oil, Gas Services & Equipment – 0.7%
Diamond Foreign Asset Co./Diamond Finance LLC, 8.50%, 10/01/30(b)   75,000 77,090
Nabors Industries, Inc., 9.13%, 1/31/30(b)   80,000 81,404
Oceaneering International, Inc., 6.00%, 2/01/28   35,000 34,192
Schlumberger Investment S.A., 2.65%, 6/26/30   40,000 35,848
Solaris Midstream Holdings LLC, 7.63%, 4/01/26(b)   90,000 90,146
Transocean Aquila Ltd., 8.00%, 9/30/28(b)   75,000 76,770
Transocean Poseidon Ltd., 6.88%, 2/01/27(b)   317,250 317,272
Transocean Titan Financing Ltd., 8.38%, 2/01/28(b)   70,000 72,351
Transocean, Inc.,      
7.50%, 1/15/26(b)   115,000 113,852
8.00%, 2/01/27(b)   145,000 143,852
Weatherford International Ltd., 8.63%, 4/30/30(b)   135,000 137,938
      1,180,715
Publishing & Broadcasting – 0.2%
iHeartCommunications, Inc.,      
6.38%, 5/01/26   35,000 30,060
5.25%, 8/15/27(b)   175,000 135,775
4.75%, 1/15/28(b)   315,000 235,462
      401,297
 
153

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Real Estate Investment Trusts – 1.9%
Alexandria Real Estate Equities, Inc.,      
3.55%, 3/15/52   $9,000 $6,474
5.15%, 4/15/53   8,000 7,547
American Homes 4 Rent L.P.,      
3.63%, 4/15/32   15,000 13,392
5.50%, 2/01/34   123,000 124,263
3.38%, 7/15/51   57,000 38,812
American Tower Corp.,      
4.40%, 2/15/26   26,000 25,726
3.65%, 3/15/27   35,000 33,795
3.60%, 1/15/28   48,000 45,834
1.50%, 1/31/28   98,000 85,997
5.25%, 7/15/28   27,000 27,388
2.70%, 4/15/31   66,000 56,569
5.65%, 3/15/33   32,000 33,052
Camden Property Trust,      
5.85%, 11/03/26   52,000 53,569
2.80%, 5/15/30   79,000 70,614
4.90%, 1/15/34   78,000 76,853
Crown Castle, Inc.,      
4.45%, 2/15/26   78,000 76,993
4.80%, 9/01/28   106,000 104,702
5.60%, 6/01/29   46,000 46,870
3.30%, 7/01/30   41,000 36,634
2.10%, 4/01/31   80,000 65,123
2.50%, 7/15/31   58,000 48,334
5.80%, 3/01/34   35,000 36,069
CubeSmart L.P., 2.50%, 2/15/32   64,000 52,916
Extra Space Storage L.P.,      
3.90%, 4/01/29   45,000 42,624
4.00%, 6/15/29   20,000 19,003
2.40%, 10/15/31   60,000 49,157
Healthpeak OP LLC, 5.25%, 12/15/32   70,000 70,166
Highwoods Realty L.P., 2.60%, 2/01/31   62,000 49,206
Invitation Homes Operating Partnership L.P.,      
2.30%, 11/15/28   85,000 75,280
2.00%, 8/15/31   94,000 74,357
5.50%, 8/15/33   20,000 20,144
2.70%, 1/15/34   42,000 33,641
Iron Mountain, Inc.,      
5.25%, 3/15/28(b)   60,000 58,188
4.88%, 9/15/29(b)   190,000 177,547
5.25%, 7/15/30(b)   55,000 51,876
4.50%, 2/15/31(b)   85,000 76,215
    Par(a) Value
Real Estate Investment Trusts (Continued)
Kilroy Realty L.P.,      
2.50%, 11/15/32   $15,000 $11,485
2.65%, 11/15/33   35,000 26,473
Mid-America Apartments L.P.,      
3.60%, 6/01/27   45,000 43,520
5.00%, 3/15/34   60,000 59,950
MPT Operating Partnership L.P./MPT Finance Corp., 3.50%, 3/15/31   145,000 88,891
NNN REIT, Inc., 5.60%, 10/15/33   50,000 51,141
Prologis L.P.,      
3.88%, 9/15/28   71,000 68,862
5.00%, 3/15/34   39,000 39,177
5.25%, 3/15/54   64,000 64,583
Realty Income Corp.,      
5.05%, 1/13/26   34,000 34,001
4.13%, 10/15/26   70,000 68,938
3.95%, 8/15/27   62,000 60,346
Regency Centers L.P., 5.25%, 1/15/34   100,000 100,079
Rexford Industrial Realty L.P., 2.15%, 9/01/31   130,000 104,564
Service Properties Trust,      
7.50%, 9/15/25   110,000 111,658
4.75%, 10/01/26   80,000 74,220
3.95%, 1/15/28   30,000 25,306
8.63%, 11/15/31(b)   160,000 169,647
STORE Capital Corp., 2.70%, 12/01/31   73,000 57,206
Uniti Group L.P./Uniti Group Finance, Inc./CSL Capital LLC, 4.75%, 4/15/28(b)   125,000 106,532
Welltower OP LLC, 2.75%, 1/15/31   55,000 47,574
Weyerhaeuser Co., 4.00%, 3/09/52   27,000 21,909
      3,400,992
Real Estate Services – 0.1%
Jones Lang LaSalle, Inc., 6.88%, 12/01/28   53,000 56,152
Realogy Group LLC/Realogy Co-Issuer Corp.,      
5.75%, 1/15/29(b)   120,000 89,133
5.25%, 4/15/30(b)   65,000 45,700
      190,985
Retail - Consumer Staples – 0.0%(e)
Dollar General Corp., 5.20%, 7/05/28   35,000 35,601
 
154

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Retail - Discretionary – 1.2%
Asbury Automotive Group, Inc.,      
4.50%, 3/01/28   $94,000 $88,374
4.63%, 11/15/29(b)   160,000 147,406
4.75%, 3/01/30   27,000 24,984
AutoZone, Inc., 6.25%, 11/01/28   27,000 28,670
Bath & Body Works, Inc.,      
5.25%, 2/01/28   40,000 39,151
6.63%, 10/01/30(b)   10,000 10,132
6.88%, 11/01/35   35,000 34,900
6.75%, 7/01/36   75,000 73,895
Beacon Roofing Supply, Inc., 6.50%, 8/01/30(b)   145,000 147,124
Builders FirstSource, Inc.,      
5.00%, 3/01/30(b)   55,000 52,795
4.25%, 2/01/32(b)   70,000 62,597
Foundation Building Materials, Inc., 6.00%, 3/01/29(b)   240,000 210,900
Home Depot (The), Inc.,      
4.90%, 4/15/29   71,000 72,696
2.70%, 4/15/30   273,000 247,340
3.30%, 4/15/40   65,000 53,376
3.63%, 4/15/52   21,000 16,611
4.95%, 9/15/52   20,000 19,743
Ken Garff Automotive LLC, 4.88%, 9/15/28(b)   60,000 56,104
LBM Acquisition LLC, 6.25%, 1/15/29(b)   105,000 95,288
Lithia Motors, Inc., 4.38%, 1/15/31(b)   55,000 49,316
Lowe's Cos., Inc.,      
4.65%, 4/15/42   33,000 30,701
5.75%, 7/01/53   36,000 38,073
4.45%, 4/01/62   28,000 23,485
5.80%, 9/15/62   24,000 25,156
5.85%, 4/01/63   36,000 37,923
Michaels (The) Cos., Inc., 7.88%, 5/01/29(b)   70,000 44,772
Nordstrom, Inc., 4.25%, 8/01/31   15,000 12,456
Patrick Industries, Inc., 4.75%, 5/01/29(b)   105,000 96,739
Sonic Automotive, Inc.,      
4.63%, 11/15/29(b)   130,000 117,756
4.88%, 11/15/31(b)   45,000 39,056
    Par(a) Value
Retail - Discretionary (Continued)
Specialty Building Products Holdings LLC/SBP Finance Corp., 6.38%, 9/30/26(b)   $150,000 $147,453
Victoria's Secret & Co., 4.63%, 7/15/29(b)   5,000 4,227
      2,149,199
Semiconductors – 0.6%
Advanced Micro Devices, Inc., 4.39%, 6/01/52   31,000 28,425
Analog Devices, Inc., 1.70%, 10/01/28   43,000 38,137
Broadcom, Inc.,      
3.19%, 11/15/36(b)   260,000 211,208
4.93%, 5/15/37(b)   64,000 61,725
Intel Corp.,      
3.70%, 7/29/25   32,000 31,516
5.13%, 2/10/30   60,000 61,797
2.80%, 8/12/41   132,000 98,014
5.70%, 2/10/53   82,000 86,260
KLA Corp.,      
4.70%, 2/01/34   41,000 40,852
3.30%, 3/01/50   41,000 30,622
4.95%, 7/15/52   90,000 88,431
5.25%, 7/15/62   40,000 40,638
Micron Technology, Inc., 5.30%, 1/15/31   50,000 50,521
QUALCOMM, Inc., 6.00%, 5/20/53   96,000 109,124
Texas Instruments, Inc.,      
3.88%, 3/15/39   90,000 82,607
5.00%, 3/14/53   25,000 24,981
5.05%, 5/18/63   55,000 54,744
      1,139,602
Software – 0.9%
Cloud Software Group, Inc., 6.50%, 3/31/29(b)   180,000 168,072
Concentrix Corp.,      
6.60%, 8/02/28   37,000 38,039
6.85%, 8/02/33   129,000 131,043
GoTo Group, Inc., 5.50%, 9/01/27(b)   165,000 67,904
Intuit, Inc.,      
5.20%, 9/15/33   107,000 110,988
5.50%, 9/15/53   136,000 145,088
Microsoft Corp.,      
2.53%, 6/01/50   14,000 9,343
2.50%, 9/15/50(b)   48,000 31,691
Oracle Corp.,      
2.50%, 4/01/25   120,000 116,408
 
155

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Software (Continued)
Oracle Corp.,      
2.95%, 5/15/25   $37,000 $36,020
3.25%, 11/15/27   122,000 115,865
2.30%, 3/25/28   68,000 61,737
6.15%, 11/09/29   47,000 50,158
4.30%, 7/08/34   58,000 53,988
3.80%, 11/15/37   16,000 13,657
4.00%, 11/15/47   33,000 26,336
3.60%, 4/01/50   51,000 37,530
3.95%, 3/25/51   26,000 20,200
6.90%, 11/09/52   39,000 45,798
4.38%, 5/15/55   24,000 19,770
3.85%, 4/01/60   131,000 95,106
UKG, Inc., 6.88%, 2/01/31(b)(k)   190,000 192,137
VMware LLC, 2.20%, 8/15/31   35,000 28,904
      1,615,782
Specialty Finance – 2.0%
Air Lease Corp., 5.10%, 3/01/29   29,000 28,846
Aircastle Ltd.,      
(5Y US Treasury CMT + 4.41%), 5.25%, 6/15/26(b)(i)(j)   55,000 48,194
6.50%, 7/18/28(b)   65,000 66,583
American Express Co.,      
(SOFR + 1.00%), 4.99%, 5/01/26(j)   27,000 26,975
(SOFR + 1.33%), 6.34%, 10/30/26(j)   109,000 111,237
(SOFR Index + 1.28%), 5.28%, 7/27/29(j)   74,000 75,357
(SOFR + 1.94%), 6.49%, 10/30/31(j)   46,000 49,835
Capital One Financial Corp., (SOFR + 2.26%), 6.05%, 2/01/35(j)   52,000 52,843
Discover Financial Services,      
4.10%, 2/09/27   34,000 32,690
(SOFR Index + 3.37%), 7.96%, 11/02/34(j)   77,000 85,860
Freedom Mortgage Holdings LLC, 9.25%, 2/01/29(b)(k)   55,000 55,693
GATX Corp.,      
3.50%, 6/01/32   83,000 72,834
6.90%, 5/01/34   94,000 103,942
Nationstar Mortgage Holdings, Inc.,      
5.00%, 2/01/26(b)   100,000 97,460
6.00%, 1/15/27(b)   175,000 171,591
    Par(a) Value
Specialty Finance (Continued)
Nationstar Mortgage Holdings, Inc.,      
5.13%, 12/15/30(b)   $80,000 $71,905
5.75%, 11/15/31(b)   35,000 32,260
Navient Corp.,      
5.00%, 3/15/27   75,000 71,539
4.88%, 3/15/28   340,000 308,876
OneMain Finance Corp.,      
6.88%, 3/15/25   100,000 100,375
7.13%, 3/15/26   140,000 141,909
3.50%, 1/15/27   155,000 141,814
3.88%, 9/15/28   15,000 13,164
5.38%, 11/15/29   40,000 37,010
4.00%, 9/15/30   170,000 143,969
PennyMac Financial Services, Inc., 7.88%, 12/15/29(b)   120,000 123,594
Penske Truck Leasing Co. L.P./PTL Finance Corp., 4.20%, 4/01/27(b)   92,000 89,521
Provident Funding Associates L.P./PFG Finance Corp., 6.38%, 6/15/25(b)   105,000 98,260
Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc.,      
2.88%, 10/15/26(b)   110,000 100,933
2.88%, 10/15/26   15,000 13,763
3.63%, 3/01/29(b)   40,000 35,554
3.63%, 3/01/29   80,000 71,109
3.88%, 3/01/31(b)   290,000 253,405
4.00%, 10/15/33(b)   565,000 479,578
Synchrony Financial, 2.88%, 10/28/31   77,000 61,254
      3,469,732
Steel – 0.2%
ATI, Inc.,      
4.88%, 10/01/29   50,000 46,197
7.25%, 8/15/30   95,000 97,762
Commercial Metals Co., 4.13%, 1/15/30   120,000 109,193
Nucor Corp., 4.30%, 5/23/27   39,000 38,721
United States Steel Corp., 6.88%, 3/01/29   22,000 22,293
      314,166
Technology Hardware – 0.8%
Avnet, Inc.,      
6.25%, 3/15/28   45,000 46,608
5.50%, 6/01/32   52,000 51,259
 
156

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Technology Hardware (Continued)
CommScope Technologies LLC, 5.00%, 3/15/27(b)   $550,000 $202,744
CommScope, Inc.,      
6.00%, 3/01/26(b)   65,000 56,302
4.75%, 9/01/29(b)   90,000 59,501
NCR Atleos Corp., 9.50%, 4/01/29(b)   260,000 278,876
NCR Voyix Corp.,      
5.00%, 10/01/28(b)   255,000 240,406
5.13%, 4/15/29(b)   70,000 65,494
Seagate HDD Cayman,      
4.88%, 6/01/27   25,000 24,507
4.09%, 6/01/29   70,000 64,515
8.25%, 12/15/29(b)   95,000 102,285
9.63%, 12/01/32   3,825 4,394
Viasat, Inc., 6.50%, 7/15/28(b)   65,000 50,168
Western Digital Corp.,      
4.75%, 2/15/26   40,000 38,909
2.85%, 2/01/29   60,000 51,305
3.10%, 2/01/32   25,000 19,882
      1,357,155
Technology Services – 1.1%
Booz Allen Hamilton, Inc.,      
3.88%, 9/01/28(b)   66,000 62,457
4.00%, 7/01/29(b)   216,000 202,316
Fiserv, Inc.,      
5.45%, 3/02/28   39,000 40,011
3.50%, 7/01/29   111,000 104,116
2.65%, 6/01/30   15,000 13,191
5.63%, 8/21/33   80,000 83,321
Gartner, Inc., 3.75%, 10/01/30(b)   90,000 80,517
Global Payments, Inc.,      
4.45%, 6/01/28   162,000 158,025
5.95%, 8/15/52   55,000 56,011
GTCR W-2 Merger Sub LLC, 7.50%, 1/15/31(b)   201,000 208,803
IBM International Capital Pte. Ltd.,      
4.90%, 2/05/34   101,000 101,350
5.25%, 2/05/44   201,000 200,882
International Business Machines Corp., 4.15%, 7/27/27   36,000 35,518
Moody's Corp., 3.75%, 3/24/25   50,000 49,340
Neptune Bidco U.S., Inc., 9.29%, 4/15/29(b)   120,000 114,625
    Par(a) Value
Technology Services (Continued)
PayPal Holdings, Inc.,      
2.85%, 10/01/29   $12,000 $10,927
2.30%, 6/01/30   60,000 52,050
5.25%, 6/01/62   26,000 25,508
Paysafe Finance PLC/Paysafe Holdings U.S. Corp., 4.00%, 6/15/29(b)   60,000 53,518
Presidio Holdings, Inc.,      
4.88%, 2/01/27(b)   30,000 29,057
8.25%, 2/01/28(b)   30,000 29,749
S&P Global, Inc.,      
2.70%, 3/01/29   34,000 31,289
1.25%, 8/15/30   32,000 26,048
Sabre GLBL, Inc.,      
8.63%, 6/01/27(b)   35,000 32,725
11.25%, 12/15/27(b)   65,000 65,081
      1,866,435
Telecommunications – 1.2%
AT&T, Inc.,      
3.50%, 6/01/41   127,000 100,899
3.50%, 9/15/53   54,000 38,566
3.55%, 9/15/55   50,000 35,623
3.80%, 12/01/57   259,000 190,697
3.65%, 9/15/59   122,000 86,107
Frontier Communications Holdings LLC,      
5.88%, 10/15/27(b)   185,000 177,939
5.00%, 5/01/28(b)   235,000 216,876
8.75%, 5/15/30(b)   60,000 61,463
Level 3 Financing, Inc.,      
4.25%, 7/01/28(b)   45,000 15,075
3.63%, 1/15/29(b)   125,000 36,875
Lumen Technologies, Inc., 4.00%, 2/15/27(b)   85,000 44,307
Sprint Capital Corp.,      
6.88%, 11/15/28   61,000 65,906
8.75%, 3/15/32   157,000 192,445
T-Mobile USA, Inc.,      
2.25%, 2/15/26   97,000 91,965
2.63%, 4/15/26   45,000 42,840
2.63%, 2/15/29   24,000 21,597
3.38%, 4/15/29   60,000 55,663
2.88%, 2/15/31   63,000 55,119
2.55%, 2/15/31   23,000 19,720
3.50%, 4/15/31   209,000 190,372
5.75%, 1/15/54   23,000 24,185
6.00%, 6/15/54   47,000 51,365
5.50%, 1/15/55   51,000 51,603
 
157

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Telecommunications (Continued)
Verizon Communications, Inc.,      
1.75%, 1/20/31   $26,000 $21,247
2.55%, 3/21/31   27,000 23,209
4.40%, 11/01/34   107,000 102,107
4.27%, 1/15/36   80,000 75,051
4.81%, 3/15/39   31,000 30,021
6.55%, 9/15/43   78,000 89,645
      2,208,487
Tobacco & Cannabis – 0.0%(e)
Altria Group, Inc., 6.20%, 11/01/28   60,000 63,292
Transportation & Logistics – 1.5%
Allegiant Travel Co., 7.25%, 8/15/27(b)   80,000 78,200
American Airlines Pass Through Trust,      
Series 2015-2, Class AA, 3.60%, 9/22/27   21,920 20,598
Series 2015-2, Class A, 4.00%, 9/22/27   43,840 40,578
Series 2016-1, Class AA, 3.58%, 1/15/28   3,216 3,004
Series 2016-2, Class AA, 3.20%, 6/15/28   18,212 16,696
Series 2016-2, Class A, 3.65%, 6/15/28   6,745 6,108
Series 2017-2, Class AA, 3.35%, 10/15/29   224,745 206,384
Series 2019-1, Class AA, 3.15%, 2/15/32   4,861 4,295
American Airlines, Inc./AAdvantage Loyalty IP Ltd., 5.75%, 4/20/29(b)   580,000 569,577
Burlington Northern Santa Fe LLC,      
4.40%, 3/15/42   68,000 62,767
4.38%, 9/01/42   12,000 11,022
4.45%, 3/15/43   7,000 6,502
5.15%, 9/01/43   31,000 31,550
4.55%, 9/01/44   36,000 33,468
3.90%, 8/01/46   61,000 51,031
5.20%, 4/15/54   64,000 65,229
CSX Corp.,      
4.50%, 11/15/52   52,000 47,363
4.65%, 3/01/68   67,000 60,406
Delta Air Lines Pass Through Trust,      
Series 2015-1, Class A, 3.88%, 7/30/27   7,555 6,949
Series 2020-1, Class A, 2.50%, 6/10/28   36,922 32,882
    Par(a) Value
Transportation & Logistics (Continued)
FedEx Corp., 4.55%, 4/01/46   $23,000 $20,464
FedEx Corp. Pass Through Trust, Series 2020-1, Class AA, 1.88%, 2/20/34   35,262 29,527
Hawaiian Brand Intellectual Property Ltd./HawaiianMiles Loyalty Ltd., 5.75%, 1/20/26(b)   70,000 65,863
Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets Ltd., 6.50%, 6/20/27(b)   16,800 16,825
Norfolk Southern Corp.,      
2.55%, 11/01/29   24,000 21,527
5.05%, 8/01/30   39,000 39,800
3.95%, 10/01/42   61,000 51,682
2.90%, 8/25/51   24,000 16,032
5.95%, 3/15/64   129,000 141,474
Rand Parent LLC, 8.50%, 2/15/30(b)   395,000 391,076
Ryder System, Inc.,      
6.30%, 12/01/28   49,000 51,937
6.60%, 12/01/33   61,000 66,572
Spirit Loyalty Cayman Ltd./Spirit IP Cayman Ltd.,      
8.00%, 9/20/25(b)   55,000 35,888
8.00%, 9/20/25(b)   30,000 19,575
U.S. Airways Pass Through Trust,      
Series 2012-2, Class A, 4.63%, 6/03/25   19,702 19,288
Series 2013-1, Class A, 3.95%, 11/15/25   51,949 50,317
Union Pacific Corp.,      
3.38%, 2/01/35   13,000 11,406
3.60%, 9/15/37   14,000 12,373
3.55%, 8/15/39   59,000 50,502
3.35%, 8/15/46   7,000 5,246
3.80%, 10/01/51   22,000 18,031
3.88%, 2/01/55   9,000 7,232
3.95%, 8/15/59   34,000 27,667
3.84%, 3/20/60   17,000 13,565
3.55%, 5/20/61   19,000 14,157
3.75%, 2/05/70   7,000 5,344
 
158

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Transportation & Logistics (Continued)
United Airlines Pass Through Trust,      
Series 2020-1, Class A, 5.88%, 10/15/27   $38,933 $39,269
Series 2016-2, Class AA, 2.88%, 10/07/28   2,751 2,495
      2,599,743
Transportation Equipment – 0.1%
Allison Transmission, Inc., 4.75%, 10/01/27(b)   155,000 149,080
Wholesale - Consumer Staples – 0.1%
Sysco Corp., 5.75%, 1/17/29   91,000 94,914
Total Corporate Bonds
(Cost $78,629,988)
76,756,037
Foreign Issuer Bonds – 47.2%
Angola – 0.3%
Angolan Government International Bond,      
8.25%, 5/09/28(b)   460,000 415,058
8.00%, 11/26/29   200,000 174,327
      589,385
Argentina – 0.4%
Argentine Republic Government International Bond,      
(Step to 1.75% on 7/09/27), 0.75%, 7/09/30(d)   407,000 164,454
(Step to 4.13% on 7/09/24), 3.63%, 7/09/35(d)   640,380 213,687
(Step to 5.00% on 7/09/24), 4.25%, 1/09/38(d)   204,592 78,755
(Step to 4.88% on 7/09/29), 3.50%, 7/09/41(d)   751,974 250,476
      707,372
Australia – 0.5%
BHP Billiton Finance USA Ltd.,      
5.25%, 9/08/30   62,000 63,961
4.90%, 2/28/33   52,000 52,674
5.25%, 9/08/33   80,000 82,186
5.50%, 9/08/53   19,000 20,150
CSL Finance PLC, 4.95%, 4/27/62(b)   31,000 28,996
Mineral Resources Ltd.,      
8.13%, 5/01/27(b)   110,000 111,100
    Par(a) Value
Australia (Continued)
Mineral Resources Ltd.,      
8.00%, 11/01/27(b)   $90,000 $92,040
9.25%, 10/01/28(b)   125,000 132,031
NBN Co. Ltd., 2.50%, 1/08/32(b)   200,000 167,483
Rio Tinto Finance USA Ltd., 2.75%, 11/02/51   35,000 23,179
Rio Tinto Finance USA PLC, 5.13%, 3/09/53   63,000 63,422
      837,222
Bahrain – 0.4%
Bahrain Government International Bond,      
6.75%, 9/20/29   600,000 604,317
5.63%, 5/18/34   200,000 178,079
      782,396
Belgium – 0.2%
Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc., 4.90%, 2/01/46   197,000 191,461
Anheuser-Busch InBev Worldwide, Inc., 4.38%, 4/15/38   93,000 88,450
      279,911
Brazil – 3.6%
Acu Petroleo Luxembourg S.a.r.l., 7.50%, 1/13/32(b)   242,425 232,289
Aegea Finance S.a.r.l., 9.00%, 1/20/31(b)   200,000 210,350
Brazil Notas do Tesouro Nacional, Serie F,      
10.00%, 1/01/27 BRL 5,982,000 1,209,658
10.00%, 1/01/29 BRL 8,232,000 1,646,293
10.00%, 1/01/31 BRL 5,999,000 1,183,096
Brazilian Government International Bond,      
6.00%, 10/20/33   200,000 197,383
6.13%, 3/15/34   200,000 198,218
5.00%, 1/27/45   200,000 158,720
CSN Resources S.A.,      
8.88%, 12/05/30(b)   200,000 205,108
4.63%, 6/10/31(b)   200,000 162,761
Embraer Netherlands Finance B.V., 7.00%, 7/28/30(b)   200,000 210,287
Minerva Luxembourg S.A., 8.88%, 9/13/33(b)   200,000 209,567
 
159

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Brazil (Continued)
Samarco Mineracao S.A., 9.50%, 6/30/31(b)(g)   $396,257 $329,509
Vale Overseas Ltd., 6.13%, 6/12/33   200,000 204,279
      6,357,518
Canada – 1.5%
1011778 B.C. ULC/New Red Finance, Inc.,      
3.88%, 1/15/28(b)   390,000 367,024
3.50%, 2/15/29(b)   40,000 36,601
Bank of Montreal, 3.70%, 6/07/25   68,000 66,800
Bank of Nova Scotia (The),      
4.85%, 2/01/30   44,000 43,927
5.65%, 2/01/34   99,000 102,390
(5Y US Treasury CMT + 2.05%), 4.59%, 5/04/37(j)   121,000 109,835
Baytex Energy Corp.,      
8.75%, 4/01/27(b)   165,000 171,703
8.50%, 4/30/30(b)   110,000 114,212
Bombardier, Inc.,      
7.13%, 6/15/26(b)   380,000 383,167
6.00%, 2/15/28(b)   35,000 34,099
8.75%, 11/15/30(b)   60,000 62,967
Brookfield Residential Properties, Inc./Brookfield Residential U.S. LLC, 4.88%, 2/15/30(b)   70,000 62,076
Canadian Pacific Railway Co., 2.88%, 11/15/29   68,000 61,543
Element Fleet Management Corp., 6.32%, 12/04/28(b)   143,000 148,603
GFL Environmental, Inc.,      
4.00%, 8/01/28(b)   80,000 73,381
6.75%, 1/15/31(b)   50,000 51,139
Husky Injection Molding Systems Ltd./Titan Co-Borrower LLC, 9.00%, 2/15/29(b)(k)   45,000 45,000
MEG Energy Corp., 5.88%, 2/01/29(b)   30,000 29,273
Nutrien Ltd.,      
5.95%, 11/07/25   24,000 24,400
4.90%, 3/27/28   19,000 19,095
2.95%, 5/13/30   179,000 161,216
5.88%, 12/01/36   7,000 7,379
5.80%, 3/27/53   9,000 9,371
Open Text Corp., 6.90%, 12/01/27(b)   130,000 134,859
    Par(a) Value
Canada (Continued)
Open Text Holdings, Inc., 4.13%, 2/15/30(b)   $5,000 $4,526
Parkland Corp.,      
5.88%, 7/15/27(b)   95,000 94,255
4.50%, 10/01/29(b)   85,000 78,167
Royal Bank of Canada, 5.15%, 2/01/34   36,000 36,083
Strathcona Resources Ltd., 6.88%, 8/01/26(b)   60,000 59,423
Telesat Canada/Telesat LLC, 5.63%, 12/06/26(b)   80,000 48,400
Toronto-Dominion Bank (The), 5.52%, 7/17/28   57,000 58,621
Triton Container International Ltd., 3.15%, 6/15/31(b)   49,000 39,366
      2,738,901
Chile – 0.9%
Bonos de la Tesoreria de la Republica en pesos,      
5.00%, 10/01/28(b) CLP 95,000,000 100,941
6.00%, 4/01/33(b) CLP 75,000,000 84,599
5.00%, 3/01/35 CLP 100,000,000 103,630
Chile Government International Bond,      
2.55%, 7/27/33   200,000 164,684
4.95%, 1/05/36   600,000 588,109
5.33%, 1/05/54   200,000 194,128
Corp. Nacional del Cobre de Chile, 3.00%, 9/30/29   200,000 176,787
Empresa Nacional del Petroleo, 6.15%, 5/10/33(b)   200,000 199,476
      1,612,354
China – 0.8%
Agile Group Holdings Ltd., 6.05%, 10/13/25   205,000 29,715
China Evergrande Group, 8.75%, 6/08/25(l)   200,000 1,750
China Government Bond,      
3.27%, 11/19/30 CNY 2,860,000 420,595
2.60%, 9/01/32 CNY 4,390,000 616,221
Fantasia Holdings Group Co. Ltd., 11.88%, 6/01/23(l)   200,000 2,000
NXP B.V./NXP Funding LLC/NXP USA, Inc.,      
4.30%, 6/18/29   63,000 61,019
5.00%, 1/15/33   62,000 61,121
3.25%, 5/11/41   66,000 50,121
3.13%, 2/15/42   23,000 16,966
 
160

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
China (Continued)
Prosus N.V., 3.83%, 2/08/51   $200,000 $123,654
Sunac China Holdings Ltd.,      
6.00%, 9/30/25(b)(g)   17,540 2,289
6.25%, 9/30/26(b)(g)(h)   17,540 2,081
6.50%, 9/30/27(b)(g)(h)   35,081 3,420
6.75%, 9/30/28(b)(g)(h)   52,622 4,604
7.00%, 9/30/29(b)(g)(h)   52,622 4,078
7.25%, 9/30/30(b)(g)(h)   24,724 1,743
Times China Holdings Ltd., 6.20%, 3/22/26(l)   215,000 6,988
Yuzhou Group Holdings Co. Ltd., 6.35%, 1/13/27(l)   200,000 15,500
Zhenro Properties Group Ltd., 6.63%, 1/07/26(l)   200,000 1,842
      1,425,707
Colombia – 1.4%
Colombia Government International Bond,      
3.88%, 4/25/27   200,000 189,377
7.50%, 2/02/34   400,000 408,896
8.75%, 11/14/53   200,000 217,977
Colombian TES,      
6.00%, 4/28/28 COP 226,800,000 52,608
7.75%, 9/18/30 COP 1,803,600,000 434,783
7.00%, 6/30/32 COP 2,029,800,000 451,035
6.25%, 7/09/36 COP 500,100,000 97,084
Ecopetrol S.A.,      
8.88%, 1/13/33   183,000 193,234
8.38%, 1/19/36   190,000 192,413
5.88%, 5/28/45   190,000 141,245
Gran Tierra Energy, Inc., 9.50%, 10/15/29(b)   200,000 177,000
      2,555,652
Costa Rica – 0.2%
Costa Rica Government International Bond,      
6.55%, 4/03/34(b)   200,000 204,601
7.30%, 11/13/54(b)   200,000 209,280
      413,881
Czech Republic – 1.3%
Czech Republic Government Bond,      
1.25%, 2/14/25 CZK 8,090,000 340,682
1.00%, 6/26/26 CZK 6,500,000 264,880
0.25%, 2/10/27 CZK 6,000,000 235,453
5.50%, 12/12/28 CZK 3,810,000 179,694
2.75%, 7/23/29 CZK 8,230,000 342,743
0.95%, 5/15/30 CZK 8,670,000 321,016
    Par(a) Value
Czech Republic (Continued)
Czech Republic Government Bond,      
1.75%, 6/23/32 CZK $5,220,000 $195,636
2.00%, 10/13/33 CZK 10,070,000 375,518
      2,255,622
Dominican Republic – 0.7%
Dominican Republic International Bond,      
5.50%, 2/22/29(b)   200,000 193,471
4.50%, 1/30/30(b)   830,000 754,990
4.88%, 9/23/32(b)   400,000 356,529
      1,304,990
Ecuador – 0.2%
Ecuador Government International Bond,      
(Step to 6.90% on 7/31/24), 6.00%, 7/31/30(d)   135,164 70,599
(Step to 5.50% on 7/31/24), 3.50%, 7/31/35(b)(d)   381,291 154,966
(Step to 5.00% on 7/31/24), 2.50%, 7/31/40(d)   400,000 145,500
      371,065
Egypt – 0.8%
Egypt Government International Bond,      
5.88%, 2/16/31   400,000 262,012
7.05%, 1/15/32(b)   535,000 358,471
7.30%, 9/30/33   280,000 185,350
8.50%, 1/31/47   500,000 307,123
7.50%, 2/16/61   500,000 288,957
      1,401,913
El Salvador – 0.3%
El Salvador Government International Bond,      
6.38%, 1/18/27   30,000 26,700
8.25%, 4/10/32   110,000 94,050
7.12%, 1/20/50   450,000 320,625
      441,375
France – 0.2%
Altice France S.A.,      
8.13%, 2/01/27(b)   200,000 178,762
5.13%, 1/15/29(b)   290,000 214,621
      393,383
Gabon – 0.3%
Gabon Government International Bond, 6.63%, 2/06/31   600,000 492,081
 
161

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Germany – 0.5%
Deutsche Bank A.G., (5Y USD Swap Rate + 2.55%), 4.88%, 12/01/32(j)   $400,000 $377,323
Deutsche Telekom International Finance B.V., 4.38%, 6/21/28(b)   150,000 147,885
Volkswagen Group of America Finance LLC, 6.45%, 11/16/30(b)   200,000 213,271
ZF North America Capital, Inc., 6.88%, 4/14/28(b)   150,000 154,515
      892,994
Ghana – 0.2%
Ghana Government International Bond,      
7.63%, 5/16/29   200,000 89,318
8.13%, 3/26/32   325,000 144,651
8.63%, 4/07/34   200,000 89,375
      323,344
Guatemala – 0.5%
Central American Bottling Corp./CBC Bottling Holdco SL/Beliv Holdco SL, 5.25%, 4/27/29(b)   110,000 102,754
Guatemala Government Bond,      
4.90%, 6/01/30   400,000 380,240
5.38%, 4/24/32   200,000 191,206
3.70%, 10/07/33(b)   200,000 163,693
      837,893
Hong Kong – 0.2%
Melco Resorts Finance Ltd.,      
5.38%, 12/04/29(b)   200,000 177,969
5.38%, 12/04/29   220,000 195,765
      373,734
Hungary – 1.1%
Hungary Government Bond,      
5.50%, 6/24/25 HUF 45,250,000 126,864
2.75%, 12/22/26 HUF 77,250,000 198,626
3.00%, 10/27/27 HUF 62,670,000 160,387
3.25%, 10/22/31 HUF 59,400,000 140,780
2.25%, 4/20/33 HUF 208,510,000 438,424
Hungary Government International Bond,      
6.13%, 5/22/28(b)   210,000 216,006
6.75%, 9/25/52(b)   200,000 214,580
    Par(a) Value
Hungary (Continued)
Magyar Export-Import Bank Zrt., 6.13%, 12/04/27(b)   $200,000 $201,549
MVM Energetika Zrt, 7.50%, 6/09/28   200,000 208,125
      1,905,341
Indonesia – 3.5%
Freeport Indonesia PT, 5.32%, 4/14/32(b)   400,000 389,058
Indonesia Asahan Aluminium PT/Mineral Industri Indonesia Persero PT, 4.75%, 5/15/25(b)   200,000 196,954
Indonesia Government International Bond,      
4.40%, 3/10/29   300,000 295,576
4.70%, 2/10/34   200,000 197,260
5.65%, 1/11/53   200,000 209,098
Indonesia Treasury Bond,      
6.50%, 6/15/25 IDR 11,034,000,000 701,599
8.38%, 9/15/26 IDR 5,700,000,000 379,065
9.00%, 3/15/29 IDR 4,814,000,000 338,186
6.88%, 4/15/29 IDR 7,360,000,000 474,472
7.00%, 9/15/30 IDR 3,482,000,000 225,904
6.38%, 4/15/32 IDR 3,817,000,000 238,638
7.50%, 8/15/32 IDR 5,944,000,000 397,876
7.00%, 2/15/33 IDR 5,421,000,000 353,334
6.63%, 2/15/34 IDR 10,757,000,000 683,352
8.38%, 3/15/34 IDR 2,453,000,000 175,102
7.50%, 6/15/35 IDR 2,678,000,000 180,395
8.38%, 4/15/39 IDR 1,562,000,000 113,307
Perusahaan Penerbit SBSN Indonesia III,      
4.70%, 6/06/32(b)   200,000 196,950
5.60%, 11/15/33(b)   200,000 209,536
Perusahaan Perseroan Persero PT Perusahaan Listrik Negara, 4.88%, 7/17/49   200,000 168,824
      6,124,486
Israel – 1.1%
Energian Israel Finance Ltd.,      
4.88%, 3/30/26(b)   354,568 327,479
5.38%, 3/30/28(b)   156,582 137,072
Leviathan Bond Ltd., 6.75%, 6/30/30(b)   215,000 193,493
Teva Pharmaceutical Finance Co. LLC, 6.15%, 2/01/36   60,000 57,536
 
162

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Israel (Continued)
Teva Pharmaceutical Finance Netherlands III B.V.,      
3.15%, 10/01/26   $500,000 $465,146
7.88%, 9/15/29   200,000 215,723
4.10%, 10/01/46   787,000 538,980
      1,935,429
Italy – 0.4%
Intesa Sanpaolo S.p.A., 6.63%, 6/20/33(b)   400,000 411,360
Telecom Italia Capital S.A.,      
6.38%, 11/15/33   70,000 67,847
6.00%, 9/30/34   10,000 9,373
7.20%, 7/18/36   59,000 59,238
UniCredit S.p.A., (5Y US Treasury CMT + 4.75%), 5.46%, 6/30/35(b)(j)   200,000 187,564
      735,382
Ivory Coast – 0.2%
Ivory Coast Government International Bond,      
6.13%, 6/15/33   200,000 180,546
8.25%, 1/30/37(b)   200,000 198,700
      379,246
Jamaica – 0.1%
Jamaica Government International Bond, 8.00%, 3/15/39   100,000 118,880
Japan – 0.3%
SoftBank Group Corp., 4.63%, 7/06/28   405,000 376,133
Takeda Pharmaceutical Co. Ltd., 5.00%, 11/26/28   200,000 202,836
      578,969
Jordan – 0.2%
Jordan Government International Bond,      
7.75%, 1/15/28(b)   200,000 199,805
7.50%, 1/13/29(b)   200,000 195,501
      395,306
Kazakhstan – 0.4%
KazMunayGas National Co. JSC,      
4.75%, 4/19/27   200,000 195,199
5.38%, 4/24/30   200,000 196,609
5.75%, 4/19/47   300,000 261,667
      653,475
    Par(a) Value
Kenya – 0.2%
Republic of Kenya Government International Bond,      
7.00%, 5/22/27   $200,000 $184,568
6.30%, 1/23/34   205,000 160,168
      344,736
Luxembourg – 0.1%
Altice Financing S.A., 5.00%, 1/15/28(b)   240,000 215,672
Macau – 0.4%
Sands China Ltd., 5.65%, 8/08/28   200,000 196,307
Studio City Finance Ltd., 5.00%, 1/15/29(b)   200,000 170,750
Wynn Macau Ltd.,      
5.50%, 1/15/26(b)   200,000 194,288
5.13%, 12/15/29(b)   200,000 177,927
      739,272
Malaysia – 2.0%
Malaysia Government Bond,      
3.88%, 3/14/25 MYR 2,554,000 543,648
3.73%, 6/15/28 MYR 3,553,000 755,318
3.89%, 8/15/29 MYR 3,048,000 652,444
4.76%, 4/07/37 MYR 2,369,000 540,154
4.89%, 6/08/38 MYR 2,185,000 508,219
3.76%, 5/22/40 MYR 778,000 158,316
Malaysia Government Investment Issue, 3.47%, 10/15/30 MYR 1,720,000 356,063
      3,514,162
Mexico – 3.8%
Buffalo Energy Mexico Holdings/Buffalo Energy Infrastructure/Buffalo Energy, 7.88%, 2/15/39(b)   200,000 206,780
Cemex S.A.B. de C.V.,      
(5Y US Treasury CMT + 4.53%), 5.13%, 6/08/26(b)(i)(j)   200,000 190,497
(5Y US Treasury CMT + 5.16%), 9.13%, 3/14/28(b)(i)(j)   275,000 292,798
Mexican Bonos,      
5.75%, 3/05/26 MXN 7,445,100 399,209
8.50%, 5/31/29 MXN 4,754,500 269,444
7.75%, 5/29/31 MXN 11,900,900 639,834
7.50%, 5/26/33 MXN 12,932,800 672,313
7.75%, 11/23/34 MXN 13,448,300 702,001
10.00%, 11/20/36 MXN 1,224,400 75,454
8.50%, 11/18/38 MXN 10,499,200 573,227
 
163

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Mexico (Continued)
Mexican Bonos,      
7.75%, 11/13/42 MXN $5,936,800 $296,631
Mexico Government International Bond,      
6.35%, 2/09/35   800,000 831,915
6.34%, 5/04/53   330,000 328,945
Petroleos Mexicanos,      
5.95%, 1/28/31   757,000 597,330
6.70%, 2/16/32   510,000 416,405
6.63%, 6/15/35   327,000 246,138
      6,738,921
Morocco – 0.2%
Morocco Government International Bond, 5.95%, 3/08/28(b)   400,000 407,635
Mozambique – 0.1%
Mozambique International Bond, 9.00%, 9/15/31   200,000 173,710
Netherlands – 0.4%
Cooperatieve Rabobank U.A., (1Y US Treasury CMT + 1.75%), 4.66%, 8/22/28(b)(j)   250,000 246,986
Shell International Finance B.V.,      
4.13%, 5/11/35   23,000 21,770
2.88%, 11/26/41   29,000 21,765
4.00%, 5/10/46   26,000 22,352
3.00%, 11/26/51   53,000 36,893
Ziggo Bond Co. B.V., 6.00%, 1/15/27(b)   345,000 338,481
      688,247
Nigeria – 0.6%
IHS Holding Ltd., 6.25%, 11/29/28   200,000 169,416
Nigeria Government International Bond,      
6.13%, 9/28/28(b)   200,000 173,663
7.38%, 9/28/33   400,000 329,880
7.70%, 2/23/38(b)   390,000 306,743
      979,702
Oman – 0.6%
Oman Government International Bond,      
6.00%, 8/01/29   400,000 410,028
6.25%, 1/25/31(b)   700,000 723,926
      1,133,954
    Par(a) Value
Pakistan – 0.4%
Pakistan Government International Bond,      
6.00%, 4/08/26(b)   $600,000 $465,000
6.88%, 12/05/27   335,000 243,944
      708,944
Panama – 0.5%
Panama Government International Bond,      
3.16%, 1/23/30   400,000 334,344
2.25%, 9/29/32   200,000 141,676
6.40%, 2/14/35   450,000 424,537
      900,557
Paraguay – 0.1%
Paraguay Government International Bond, 3.85%, 6/28/33   300,000 259,750
Peru – 1.0%
Peru Government Bond,      
6.15%, 8/12/32 PEN 417,000 107,940
7.30%, 8/12/33(b) PEN 400,000 111,012
5.40%, 8/12/34 PEN 525,000 125,635
Peruvian Government International Bond,      
2.78%, 1/23/31   526,000 456,501
7.30%, 8/12/33(b)   270,000 74,933
3.00%, 1/15/34   740,000 617,009
6.90%, 8/12/37 PEN 1,134,000 300,860
Volcan Cia Minera S.A.A., 4.38%, 2/11/26(b)   35,000 20,387
      1,814,277
Philippines – 0.5%
Philippine Government International Bond,      
3.56%, 9/29/32   600,000 544,908
2.95%, 5/05/45   200,000 141,416
3.20%, 7/06/46   350,000 254,008
      940,332
Poland – 1.8%
Republic of Poland Government Bond,      
3.25%, 7/25/25 PLN 1,011,000 246,511
2.50%, 7/25/26 PLN 1,665,000 393,252
2.50%, 7/25/27 PLN 981,000 226,757
2.75%, 10/25/29 PLN 1,005,000 224,419
1.25%, 10/25/30 PLN 2,014,000 397,809
1.75%, 4/25/32 PLN 2,257,000 438,904
6.00%, 10/25/33 PLN 3,161,000 836,422
 
164

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Poland (Continued)
Republic of Poland Government International Bond,      
4.88%, 10/04/33   $282,000 $281,069
5.50%, 4/04/53   213,000 214,944
      3,260,087
Qatar – 0.3%
QatarEnergy,      
2.25%, 7/12/31   350,000 293,562
3.30%, 7/12/51   400,000 279,010
      572,572
Romania – 1.2%
Romania Government Bond,      
4.75%, 2/24/25 RON 360,000 77,299
3.25%, 6/24/26 RON 1,710,000 351,131
5.00%, 2/12/29 RON 470,000 96,967
7.35%, 4/28/31 RON 1,605,000 368,646
6.70%, 2/25/32 RON 2,280,000 511,385
Romanian Government International Bond,      
6.63%, 2/17/28(b)   100,000 103,515
5.88%, 1/30/29(b)   100,000 100,994
7.13%, 1/17/33(b)   280,000 302,019
6.38%, 1/30/34(b)   40,000 40,850
7.63%, 1/17/53(b)   170,000 189,762
      2,142,568
Saudi Arabia – 1.0%
Gaci First Investment Co., 5.13%, 2/14/53   200,000 170,850
Greensaif Pipelines Bidco S.a.r.l., 6.51%, 2/23/42   600,000 614,579
Saudi Government International Bond,      
4.75%, 1/16/30(b)   604,000 602,363
5.75%, 1/16/54(b)   406,000 401,673
      1,789,465
South Africa – 2.8%
Eskom Holdings SOC Ltd.,      
8.45%, 8/10/28   400,000 400,766
6.35%, 8/10/28   300,000 291,559
Republic of South Africa Government Bond,      
10.50%, 12/21/26 ZAR 3,654,517 204,222
7.00%, 2/28/31 ZAR 1,611,193 72,257
8.25%, 3/31/32 ZAR 12,846,227 598,965
8.88%, 2/28/35 ZAR 24,604,861 1,108,254
8.50%, 1/31/37 ZAR 15,024,445 626,376
9.00%, 1/31/40 ZAR 10,406,227 432,923
8.75%, 1/31/44 ZAR 19,949,000 787,891
    Par(a) Value
South Africa (Continued)
Republic of South Africa Government International Bond, 5.65%, 9/27/47   $200,000 $148,500
Sasol Financing USA LLC, 8.75%, 5/03/29(b)   200,000 203,348
      4,875,061
Spain – 0.3%
Banco Santander S.A., 6.94%, 11/07/33   200,000 221,669
CaixaBank S.A., (SOFR + 2.77%), 6.84%, 9/13/34(b)(j)   200,000 212,726
Iberdrola International B.V., 5.81%, 3/15/25   33,000 33,209
      467,604
Sri Lanka – 0.1%
Sri Lanka Government International Bond, 6.75%, 4/18/28   400,000 204,165
Switzerland – 0.3%
Swiss Re Treasury U.S. Corp., 4.25%, 12/06/42(b)   64,000 54,052
UBS A.G., 5.65%, 9/11/28   200,000 206,725
UBS Group A.G., (1Y US Treasury CMT + 1.75%), 4.75%, 5/12/28(b)(j)   200,000 197,137
      457,914
Thailand – 1.5%
Thailand Government Bond,      
2.25%, 3/17/27 THB 18,076,000 509,282
1.60%, 12/17/29 THB 19,701,000 530,252
2.00%, 12/17/31 THB 8,427,000 228,418
3.35%, 6/17/33 THB 16,023,000 478,494
1.59%, 12/17/35 THB 5,110,000 127,613
3.30%, 6/17/38 THB 11,699,000 345,594
3.45%, 6/17/43 THB 15,170,000 451,417
      2,671,070
Turkey – 1.4%
Hazine Mustesarligi Varlik Kiralama AS, 8.51%, 1/14/29(b)   400,000 414,416
Istanbul Metropolitan Municipality, 10.50%, 12/06/28(b)   200,000 211,000
Turkiye Government Bond,      
12.60%, 10/01/25 TRY 7,200,000 164,571
26.20%, 10/05/33 TRY 9,623,260 319,190
 
165

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Turkey (Continued)
Turkiye Government International Bond,      
9.38%, 3/14/29   $200,000 $214,908
9.13%, 7/13/30   400,000 426,000
5.75%, 5/11/47   625,000 454,975
Yapi ve Kredi Bankasi A.S., (5Y US Treasury CMT + 5.28%), 9.25%, 1/17/34(b)(j)   200,000 200,750
      2,405,810
Ukraine – 0.2%
Ukraine Government International Bond,      
7.75%, 9/01/27   300,000 77,688
7.25%, 3/15/35   600,000 138,000
7.75%, 8/01/41(c)(m)   191,000 88,695
      304,383
United Arab Emirates – 0.7%
Abu Dhabi Government International Bond, 3.13%, 9/30/49   200,000 140,190
Finance Department Government of Sharjah, 6.50%, 11/23/32(b)   400,000 412,293
Galaxy Pipeline Assets Bidco Ltd.,      
2.63%, 3/31/36(b)   350,000 284,241
2.94%, 9/30/40(b)   209,952 168,075
MDGH GMTN RSC Ltd., 5.08%, 5/22/53   200,000 190,501
      1,195,300
United Kingdom – 1.0%
BAT Capital Corp.,      
6.42%, 8/02/33   50,000 52,444
7.08%, 8/02/43   54,000 57,290
7.08%, 8/02/53   75,000 79,589
Coca-Cola Europacific Partners PLC, 1.50%, 1/15/27(b)   200,000 181,649
Global Auto Holdings Ltd./AAG FH UK Ltd., 8.38%, 1/15/29(b)   200,000 188,576
Jaguar Land Rover Automotive PLC, 5.50%, 7/15/29(b)   200,000 191,704
Lloyds Banking Group PLC, (1Y US Treasury CMT + 1.75%), 5.68%, 1/05/35(j)   200,000 202,694
LSEGA Financing PLC, 1.38%, 4/06/26(b)   200,000 185,347
    Par(a) Value
United Kingdom (Continued)
NatWest Group PLC, (1Y US Treasury CMT + 1.95%), 5.81%, 9/13/29(j)   $200,000 $204,686
RELX Capital, Inc., 4.00%, 3/18/29   39,000 37,985
Reynolds American, Inc., 5.85%, 8/15/45   16,000 14,812
Virgin Media Secured Finance PLC, 5.50%, 5/15/29(b)   250,000 240,452
Vodafone Group PLC,      
5.13%, 6/19/59   22,000 20,085
5.75%, 2/10/63   28,000 28,378
(5Y US Treasury CMT + 3.07%), 5.13%, 6/04/81(j)   15,000 11,322
      1,697,013
Uruguay – 0.3%
Uruguay Government International Bond,      
5.75%, 10/28/34   375,000 400,656
5.10%, 6/18/50   140,000 136,059
      536,715
Zambia – 0.7%
First Quantum Minerals Ltd.,      
6.88%, 3/01/26(b)   910,000 866,815
8.63%, 6/01/31(b)   200,000 185,500
Zambia Government International Bond, 5.38%, 9/20/22(l)   300,000 170,943
      1,223,258
Total Foreign Issuer Bonds
(Cost $84,287,094)
83,578,063
Mortgage-Backed Securities – 0.6%
Commercial Mortgage-Backed Securities – 0.6%
Citigroup Commercial Mortgage Trust, Series 2014-GC21, Class D, 5.10%, 5/10/47(b)(n)   175,000 117,440
Commercial Mortgage Trust, Series 2012-CR3, Class B, 3.92%, 10/15/45(b)   100,000 87,778
GS Mortgage Securities Trust,      
Series 2011-GC5, Class C, 5.30%, 8/10/44(b)(n)   35,000 25,859
Series 2011-GC5, Class D, 5.30%, 8/10/44(b)(n)   315,000 113,645
 
166

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Commercial Mortgage-Backed Securities
(Continued)
GS Mortgage Securities Trust,      
Series 2013-GC13, Class C, 3.96%, 7/10/46(b)(n)   $320,000 $258,122
Series 2014-GC22, Class D, 4.84%, 6/10/47(b)(n)   50,000 21,984
JP Morgan Chase Commercial Mortgage Securities Trust, Series 2011-C3, Class C, 5.36%, 2/15/46(b)   100,000 88,009
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2013-C11, Class B, 4.21%, 8/15/46(n)   110,000 66,771
MSBAM Commercial Mortgage Securities Trust, Series 2012-CKSV, Class C, 4.42%, 10/15/30(b)(n)   100,000 61,011
Wells Fargo Commercial Mortgage Trust,      
Series 2014-LC16, Class C, 4.46%, 8/15/50   75,000 29,418
Series 2016-C36, Class C, 4.26%, 11/15/59(n)   45,000 34,469
WFRBS Commercial Mortgage Trust,      
Series 2011-C3, Class D, 6.05%, 3/15/44(b)(n)   56,647 15,719
Series 2012-C10, Class C, 4.48%, 12/15/45(n)   120,000 85,350
Total Mortgage-Backed Securities
(Cost $1,570,845)
1,005,575
Term Loans – 1.2%(c)
Advertising & Marketing – 0.1%
Planet US Buyer LLC, Term B Loan, 1/31/31(o)   114,000 113,715
Aerospace & Defense – 0.1%
TransDigm, Inc., Tranche J Term Loan, (3M USD CME Term SOFR + 3.25%), 8.60%, 2/28/31   200,000 200,164
Chemicals – 0.0%
Chemours Co., The Tranche B-3 US$ Term Loan, (1M USD CME Term SOFR + 3.50%, 0.50% Floor), 8.83%, 8/18/28   100,747 100,319
    Par(a) Value
Consumer Non-Cyclical – 0.0%(e)
IVC Acquisition Ltd., Facility B9, (3M USD CME Term SOFR + 5.50%, 0.50% Floor), 10.87%, 11/17/28   $97,000 $97,000
Electric Utilities – 0.0%(e)
Talen Energy Supply LLC, Initial Term B Loan, (3M USD CME Term SOFR + 4.50%, 0.50% Floor), 9.87%, 5/17/30   36,815 36,851
Food – 0.1%
Chobani LLC, 2023 Additional Term Loan, (1M USD CME Term SOFR + 3.75%), 9.08%, 10/25/27   125,000 125,000
Health Care Facilities & Services – 0.1%
Star Parent, Inc., Term Loan, (3M USD CME Term SOFR + 4.00%), 9.35%, 9/27/30   165,740 161,714
Insurance – 0.2%
Acrisure LLC, 2020 Term Loan, (3M USD Syn LIBOR + 3.50%), 9.15%, 2/15/27   197,473 196,332
AssuredPartners, Inc., 2023 Term Loan, (1M USD CME Term SOFR + 3.75%, 0.50% Floor), 9.08%, 2/12/27   13,960 13,925
USI, Inc., 2023 Second Funding New Term Loan, (3M USD CME Term SOFR + 3.25%), 8.60%, 9/27/30   17,239 17,199
USI, Inc., 2023-B Term Loan, (3M USD CME Term SOFR + 3.00%), 8.35%, 11/22/29   71,459 71,331
      298,787
Internet Media & Services – 0.1%
MH Sub I LLC (Micro Holding Corp.), 2023 May Incremental Term Loan, (1M USD CME Term SOFR + 4.25%, 0.50% Floor), 9.58%, 5/03/28   145,883 142,715
 
167

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a) Value
Leisure Facilities & Services – 0.2%
Carnival Corp., 2021 Incremental Term B Advance, (1M USD CME Term SOFR + 3.25%, 0.75% Floor), 8.70%, 10/18/28   $249,346 $249,111
Carnival Corp., Initial Advance, (1M USD CME Term SOFR + 3.00%, 0.75% Floor), 8.34%, 8/09/27   67,243 67,193
      316,304
Real Estate Investment Trusts – 0.0%(e)
Iron Mountain Information Management LLC, Amendment No.1 Incremental Term B Loan, (1M USD CME Term SOFR + 2.25%), 7.59%, 1/31/31   75,000 74,485
Retail - Discretionary – 0.0%(e)
Edelman Financial Engines Center LLC, The Initial Term Loan,      
4/07/28(o)   49,872 49,505
(1M USD CME Term SOFR + 3.50%), 8.95%, 4/07/28   34,911 34,654
      84,159
Software – 0.1%
CT Technologies Intermediate Holdings, Inc. (Smart Holdings Corp.), 2021 Term Loan, 12/16/25(o)   150,000 146,785
Technology Services – 0.1%
Neptune BidCo US, Inc., Dollar Term B Loan, (3M USD CME Term SOFR + 5.00%, 0.50% Floor), 10.42%, 4/11/29   131,912 121,043
Transportation & Logistics – 0.1%
PODS LLC, Initial Term Loan, (1M USD CME Term SOFR + 3.00%, 0.75% Floor), 8.45%, 3/31/28   148,128 143,832
Total Term Loans
(Cost $2,155,273)
2,162,873
    
    Par(a) Value
U.S. Government Obligations – 0.5%
U.S. Treasury Bonds – 0.1%
4.75%, 11/15/43   $42,500 $44,990
4.13%, 8/15/53   150,300 147,787
      192,777
U.S. Treasury Notes – 0.4%
4.25%, 1/31/26   20,000 20,009
4.00%, 1/15/27   44,000 43,990
4.00%, 1/31/29   298,300 300,095
4.00%, 1/31/31   81,000 81,418
4.50%, 11/15/33   247,300 258,235
      703,747
Total U.S. Government Obligations
(Cost $890,120)
896,524
    
    Number
of Shares
 
Warrants – 0.0%(e)
Engineering & Construction – 0.0%(e)
Mcdermott International Ltd., Class A(p)*   3,868
Mcdermott International Ltd., Class B(p)*   4,298
Total Warrants
(Cost $6,000)
    
    Par(a)/Number
of Shares
 
Short-Term Investments – 4.2%
Corporate Bonds – 0.4%
Avangrid, Inc., 3.15%, 12/01/24   47,000 45,982
Dominion Energy, Inc., 3.07%, 8/15/24   38,000 37,440
Energy Transfer L.P., (3M USD LIBOR + 4.03%), 9.67%, 2/20/24(c)(i)   315,000 308,250
Phillips 66, 0.90%, 2/15/24   42,000 41,922
QVC, Inc., 4.85%, 4/01/24   5,000 4,974
Trane Technologies Financing Ltd., 3.55%, 11/01/24   257,000 253,412
U.S. Airways Pass Through Trust, Series 2012-1, Class A, 5.90%, 10/01/24   26,509 26,501
      718,481
 
168

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
    Par(a)/Number
of Shares
Value
Foreign Issuer Bonds – 1.3%
Brazil Notas do Tesouro Nacional, Serie F, 10.00%, 1/01/25 BRL 5,295,000 $1,066,932
Global Aircraft Leasing Co. Ltd., (100% Cash), 6.50%, 9/15/24(b)(g)   92,718 89,357
Hungary Government Bond, 2.50%, 10/24/24 HUF 25,460,000 69,668
Kaisa Group Holdings Ltd., 9.38%, 6/30/24(l)   200,000 5,500
Republic of Poland Government Bond,      
2.50%, 4/25/24 PLN 1,152,000 286,252
2.25%, 10/25/24 PLN 2,539,000 622,583
UBS A.G., 5.13%, 5/15/24   200,000 199,185
      2,339,477
    Par(a)/Number
of Shares
Value
Money Market Fund – 1.8%
Northern Institutional Funds - Treasury Portfolio (Premier), 5.17%(q)   3,293,260 $3,293,260
U.S. Treasury Bills – 0.7%
U.S. Treasury Bill, 5.12%, 4/09/24(r)   1,180,000 1,168,376
Total Short-Term Investments
(Cost $7,452,350)
7,519,594
Total Investments – 98.9%
(Cost $179,374,535)
175,383,485
Other Assets less Liabilities – 1.1%(s) 1,884,514
NET ASSETS – 100.0% $177,267,999
 
Percentages shown are based on Net Assets.
    
 
(a) Par value is in USD unless otherwise indicated.    
(b) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.    
(c) Variable or floating rate security. Rate as of January 31, 2024 is disclosed.    
(d) Step coupon bond. Rate as of January 31, 2024 is disclosed.    
(e) Amount rounds to less than 0.05%.    
(f) Zero coupon bond.    
(g) Distributions from this security are made via payments in-kind (PIK) unless otherwise noted in the description.    
(h) Restricted security that has been deemed illiquid. At January 31, 2024, the value of these restricted illiquid securities amounted to $17,011 or 0.01% of net assets. Additional information on these restricted illiquid securities is as follows:    
    
  Security Acquisition Date Acquisition Cost
  Sunac China Holdings Ltd., 1.00%, 9/30/32 11/20/23 $2,336
  Sunac China Holdings Ltd., 6.25%, 9/30/26 11/20/23 1,882
  Sunac China Holdings Ltd., 6.50%, 9/30/27 11/20/23 3,815
  Sunac China Holdings Ltd., 6.75%, 9/30/28 11/20/23 4,526
  Sunac China Holdings Ltd., 7.00%, 9/30/29 11/20/23 4,210
  Sunac China Holdings Ltd., 7.25%, 9/30/30 11/20/23 1,820
    
 
(i) Perpetual bond. Maturity date represents next call date.
(j) Variable rate security. Security issued at a fixed coupon rate, which converts to a variable rate at a future date. Rate as of January 31, 2024 is disclosed.
(k) When-Issued Security. Coupon rate was not yet in effect at January 31, 2024.
(l) Issuer has defaulted on terms of debt obligation. Income is not being accrued.
(m) These securities are remarketed by an agent, and the interest rate is determined by general market conditions and supply and demand.
(n) Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. Rate as of January 31, 2024 is disclosed.
(o) Position is unsettled. Contract rate was not determined at January 31, 2024 and does not take effect until settlement date.
(p) Investment is valued using significant unobservable inputs (Level 3).
(q) 7-day current yield as of January 31, 2024 is disclosed.
(r) Discount rate at the time of purchase.
(s) Includes appreciation/(depreciation) on forward foreign currency exchange and futures contracts.
* Non-Income Producing Security
    
169

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
Abbreviations:
    
1Y 1 Year
1M 1 Month
3M 3 Month
5Y 5 Year
10Y 10 Year
BDC Business Development Company
BRL Brazilian Real
CLO Collateralized Loan Obligation
CLP Chilean Peso
CME Chicago Mercantile Exchange
CMT Constant Maturity
CNY Chinese Offshore Yuan
COP Colombian Peso
CZK Czech Republic Koruna
GMTN Global Medium Term Note
HUF Hungarian Forint
IDR Indonesian Rupiah
JSC Joint Stock Company
L.P. Limited Partnership
LIBOR London Interbank Offered Rate
LLC Limited Liability Company
MXN Mexican Peso
MYR Malaysian Ringgit
PEN Peruvian Nuevo Sole
PLC Public Limited Company
PLN Polish Zloty
REIT Real Estate Investment Trust
RON Romania New Leu
S&P Standards & Poor's
SOFR United States Secured Overnight Financing Rate
THB Thai Baht
TRY Turkish Lira
USD United States Dollar
ZAR South African Rand
Concentration by Currency (%)(a)  
U.S. Dollar 76.0
All other currencies less than 5% 24.0
Total 100.0
(a) Percentages shown are based on Net Assets.  
Sector Diversification (%)(a)  
Foreign Issuer Bonds 47.2
Corporate Bonds 43.3
All other sectors less than 5%(b) 9.5
Total 100.0
(a) Percentages shown are based on Net Assets.  
(b) Includes Other.  
 
170

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
Futures Contracts outstanding at January 31, 2024:
Exchange Traded
           
Description Number of
Contracts
Expiration
Date
Trading
Currency
Notional
Amount
Value/
Unrealized
Appreciation
(Depreciation)
Long Contracts          
10-Year U.S. Treasury Note 1 3/19/2024 USD 112,328 $172
Ultra U.S. Treasury Bond 8 3/19/2024 USD 1,033,750 40,500
2-Year U.S. Treasury Note 23 3/28/2024 USD 4,730,094 38,607
Total Long Contracts         $79,279
Short Contracts          
Ultra 10-Year U.S. Treasury Note (42) 3/19/2024 USD 4,908,750 $(162,872)
5-Year U.S. Treasury Note (1) 3/28/2024 USD 108,391 (16)
Total Short Contracts         $(162,888)
          $(83,609)
    
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024:
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
             
12/11/24 U.S. Dollars 276,299 Egyptian Pounds 13,915,762 JPMorgan Chase $61,460
2/09/24 U.S. Dollars 2,453,202 Thai Baht 84,931,791 Morgan Stanley 57,525
3/18/24 Colombian Pesos 3,712,152,000 U.S. Dollars 903,200 Morgan Stanley 41,925
2/09/24 U.S. Dollars 1,234,598 Thai Baht 43,068,964 Barclays 19,749
3/18/24 Colombian Pesos 1,184,175,000 U.S. Dollars 285,000 Deutsche Bank 16,495
3/18/24 U.S. Dollars 540,000 Peruvian Nuevo Soles 2,020,140 Citibank 9,583
2/29/24 U.S. Dollars 718,018 Indonesian Rupiahs 11,200,000,000 Bank of America 8,263
3/18/24 Euro 335,461 U.S. Dollars 358,946 Barclays 4,314
2/29/24 Indian Rupees 60,582,700 U.S. Dollars 724,400 Deutsche Bank 4,099
2/20/24 Polish Zloty 1,179,588 U.S. Dollars 292,484 Bank of America 2,040
2/09/24 Thai Baht 128,000,755 U.S. Dollars 3,608,654 Barclays 1,872
4/15/24 Turkish Lira 6,363,000 U.S. Dollars 193,120 Barclays 1,371
2/20/24 U.S. Dollars 217,657 Hungarian Forints 77,313,959 Goldman Sachs 424
2/20/24 U.S. Dollars 146,116 Hungarian Forints 51,863,036 BNP Paribas 393
Total Unrealized Appreciation $229,513
             
4/22/24 Chilean Pesos 42,255,670 U.S. Dollars 45,699 Citibank $(488)
3/06/24 Turkish Lira 3,430,350 U.S. Dollars 110,000 BNP Paribas (683)
3/06/24 Turkish Lira 2,704,297 U.S. Dollars 86,907 Bank of America (727)
3/19/24 Malaysian Ringgit 625,793 U.S. Dollars 135,000 Barclays (1,957)
3/18/24 U.S. Dollars 361,300 Euro 335,461 BNP Paribas (1,960)
2/20/24 U.S. Dollars 292,107 Polish Zloty 1,179,588 Bank of America (2,417)
10/28/24 Turkish Lira 16,133,789 U.S. Dollars 406,700 JPMorgan Chase (2,774)
3/18/24 U.S. Dollars 585,400 Colombian Pesos 2,318,769,400 Citibank (4,966)
2/20/24 Hungarian Forints 129,176,995 U.S. Dollars 368,044 BNP Paribas (5,089)
4/22/24 Chilean Pesos 410,569,051 U.S. Dollars 444,700 JPMorgan Chase (5,415)
2/26/24 Chinese Offshore Yuan 19,010,202 U.S. Dollars 2,654,500 BNP Paribas (6,027)
171

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024: (continued)
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
3/08/24 South Korean Won 457,660,000 U.S. Dollars 350,000 Bank of America $(6,348)
3/15/24 South Korean Won 718,232,160 U.S. Dollars 547,600 Barclays (8,080)
9/18/24 Turkish Lira 6,561,000 U.S. Dollars 180,000 Morgan Stanley (8,893)
3/18/24 Peruvian Nuevo Soles 2,454,562 U.S. Dollars 656,300 Standard Chartered Bank (11,819)
9/18/24 Turkish Lira 9,794,664 U.S. Dollars 268,200 JPMorgan Chase (12,761)
4/11/24 Thai Baht 31,857,421 U.S. Dollars 920,894 JPMorgan Chase (17,884)
12/11/24 Egyptian Pounds 4,938,536 U.S. Dollars 102,396 Bank of America (26,152)
12/11/24 Egyptian Pounds 8,977,226 U.S. Dollars 184,312 JPMorgan Chase (45,717)
Total Unrealized Depreciation $(170,157)
Net Unrealized Appreciation $59,356
Valuation Hierarchy
The following is a summary of the inputs used, as of January 31, 2024, in valuing the Fund's investments carried at fair value:
Morningstar Multisector Bond Fund Level 1 Level 2 Level 3 Totals
Investments        
Assets:        
Asset-Backed Securities $$604,613 $— $604,613
Common Stocks 319,228 319,228
Convertible Bonds 2,365,973 2,365,973
Convertible Preferred Stocks 175,005 175,005
Corporate Bonds 76,756,037 76,756,037
Foreign Issuer Bonds 83,578,063 83,578,063
Mortgage-Backed Securities 1,005,575 1,005,575
Term Loans 2,162,873 2,162,873
U.S. Government Obligations 896,524 896,524
Warrants —*
Short-Term Investments 3,293,260 4,226,334 7,519,594
Total Investments $3,787,493 $171,595,992 $— $175,383,485
    
*Includes securities determined to have no value as of January 31, 2024.
    
Morningstar Multisector Bond Fund Level 1 Level 2 Level 3 Totals
Derivative Financial Instruments        
Assets:        
Futures Contracts $79,279 $$— $79,279
Forward Foreign Currency Exchange Contracts 229,513 229,513
Total Assets - Derivative Financial Instruments $79,279 $229,513 $— $308,792
172

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Multisector Bond Fund
Morningstar Multisector Bond Fund Level 1 Level 2 Level 3 Totals
Liabilities:        
Futures Contracts $(162,888) $$— $(162,888)
Forward Foreign Currency Exchange Contracts (170,157) (170,157)
Total Liabilities - Derivative Financial Instruments $(162,888) $(170,157) $— $(333,045)
Net Derivative Financial Instruments $(83,609) $59,356 $— $(24,253)
173

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments
Morningstar Global Opportunistic Equity Fund
    Number
of Shares
Value
Common Stocks – 53.3%
Advertising & Marketing – 1.9%
Dentsu Group, Inc. (Japan)   1,900 $50,428
Omnicom Group, Inc.   60,277 5,447,835
WPP PLC (United Kingdom)   7,613 73,622
      5,571,885
Aerospace & Defense – 0.1%
BAE Systems PLC (United Kingdom)   10,926 162,759
Asset Management – 0.1%
Charles Schwab (The) Corp.   5,070 319,004
Schroders PLC (United Kingdom)   1 3
St. James's Place PLC (United Kingdom)   6,942 57,149
      376,156
Automotive – 0.8%
Bridgestone Corp. (Japan)   7,700 333,662
Denso Corp. (Japan)   9,600 150,797
Honda Motor Co. Ltd. (Japan)   43,500 486,246
Nissan Motor Co. Ltd. (Japan)   37,400 146,826
Stanley Electric Co. Ltd. (Japan)   8,400 160,444
Sumitomo Electric Industries Ltd. (Japan)   5,700 75,762
Toyota Motor Corp. (Japan)   49,400 986,411
      2,340,148
Banking – 4.8%
Bank of America Corp.   37,544 1,276,871
Barclays PLC (United Kingdom)   43,410 80,670
Citigroup, Inc.   14,895 836,652
Citizens Financial Group, Inc.   19,363 633,170
Comerica, Inc.   4,331 227,724
Cullen/Frost Bankers, Inc.   3,710 393,705
Fifth Third Bancorp   18,611 637,241
HSBC Holdings PLC (United Kingdom)   53,788 419,961
Huntington Bancshares, Inc.   62,189 791,666
JPMorgan Chase & Co.   5,722 997,688
KeyCorp   33,714 489,864
Lloyds Banking Group PLC (United Kingdom)   277,733 148,880
M&T Bank Corp.   6,165 851,387
Mitsubishi UFJ Financial Group, Inc. (Japan)   30,800 288,490
    Number
of Shares
Value
Banking (Continued)
Mizuho Financial Group, Inc. (Japan)   4,900 $88,992
NatWest Group PLC (United Kingdom)   23,329 65,839
PNC Financial Services Group (The), Inc.   6,342 958,974
Regions Financial Corp.   17,861 333,465
Resona Holdings, Inc. (Japan)   12,500 69,003
Standard Chartered PLC (United Kingdom)   9,164 69,257
Sumitomo Mitsui Financial Group, Inc. (Japan)   9,000 468,120
Sumitomo Mitsui Trust Holdings, Inc. (Japan)   12,800 262,314
Truist Financial Corp.   23,466 869,650
U.S. Bancorp   22,666 941,546
Wells Fargo & Co.   31,144 1,562,806
      13,763,935
Beverages – 0.2%
Asahi Group Holdings Ltd. (Japan)   2,100 78,053
Diageo PLC (United Kingdom)   7,795 281,539
Kirin Holdings Co. Ltd. (Japan)   15,000 215,609
      575,201
Biotechnology & Pharmaceuticals – 0.7%
Astellas Pharma, Inc. (Japan)   11,400 132,724
AstraZeneca PLC (United Kingdom)   4,804 636,899
Chugai Pharmaceutical Co. Ltd. (Japan)   7,700 276,971
Daiichi Sankyo Co. Ltd. (Japan)   8,400 251,488
GSK PLC   13,518 267,356
Ono Pharmaceutical Co. Ltd. (Japan)   3,300 59,480
Takeda Pharmaceutical Co. Ltd. (Japan)   9,200 270,392
      1,895,310
Cable & Satellite – 0.3%
Comcast Corp., Class A   16,241 755,856
Chemicals – 0.2%
Nitto Denko Corp. (Japan)   2,000 165,916
Shin-Etsu Chemical Co. Ltd. (Japan)   10,000 393,622
Toray Industries, Inc. (Japan)   11,800 58,958
      618,496
 
174

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Opportunistic Equity Fund
    Number
of Shares
Value
Commercial Support Services – 3.0%
Compass Group PLC (United Kingdom)   5,566 $153,309
H&R Block, Inc.   108,540 5,084,014
Recruit Holdings Co. Ltd. (Japan)   9,000 355,488
Rentokil Initial PLC (United Kingdom)   584,218 3,008,576
Secom Co. Ltd. (Japan)   2,100 152,419
      8,753,806
Construction Materials – 0.0%(a)
CRH PLC   1,069 75,837
Diversified Industrials – 0.1%
Hitachi Ltd. (Japan)   3,000 235,651
E-Commerce Discretionary – 3.5%
Alibaba Group Holding Ltd. (China)   332,600 2,983,082
eBay, Inc.   121,463 4,988,485
JD.com, Inc., Class A (China)   104,400 1,177,229
PDD Holdings, Inc. ADR (China)*   7,645 969,921
      10,118,717
Electric Utilities – 1.6%
Chubu Electric Power Co., Inc. (Japan)   6,500 84,323
National Grid PLC (United Kingdom)   330,653 4,404,002
SSE PLC (United Kingdom)   3,341 71,156
      4,559,481
Electrical Equipment – 0.2%
Daikin Industries Ltd. (Japan)   1,500 240,349
Mitsubishi Electric Corp. (Japan)   24,100 357,651
      598,000
Engineering & Construction – 0.6%
Ferrovial S.E.   47,293 1,803,530
Entertainment Content – 0.6%
Electronic Arts, Inc.   1,160 159,593
NetEase, Inc. (China)   39,600 769,749
Nexon Co. Ltd. (Japan)   3,200 51,069
Square Enix Holdings Co. Ltd. (Japan)   1,900 74,245
Walt Disney (The) Co.   7,338 704,815
      1,759,471
    Number
of Shares
Value
Food – 1.8%
Kerry Group PLC, Class A (Ireland)   36,320 $3,237,348
Kraft Heinz (The) Co.   47,780 1,774,071
MEIJI Holdings Co. Ltd. (Japan)   6,600 159,618
Yamazaki Baking Co. Ltd. (Japan)   4,086 96,889
      5,267,926
Gas & Water Utilities – 2.4%
Osaka Gas Co. Ltd. (Japan)   3,700 77,910
Severn Trent PLC (United Kingdom)   52,697 1,732,206
Snam S.p.A. (Italy)   335,628 1,639,189
United Utilities Group PLC (United Kingdom)(b)   251,254 3,384,083
      6,833,388
Health Care Facilities & Services – 4.1%
Alfresa Holdings Corp. (Japan)   5,400 88,554
CVS Health Corp.   73,756 5,485,234
Fresenius Medical Care A.G. & Co. KGaA (Germany)   60,738 2,347,500
Henry Schein, Inc.*   52,219 3,908,070
      11,829,358
Home & Office Products – 0.3%
Scotts Miracle-Gro (The) Co.   13,686 769,974
Home Construction – 0.1%
Berkeley Group Holdings (The) PLC (United Kingdom)   1,334 80,780
Sekisui House Ltd. (Japan)   3,961 89,416
      170,196
Household Products – 0.3%
Haleon PLC   20,894 84,867
Kao Corp. (Japan)   6,700 265,103
Reckitt Benckiser Group PLC (United Kingdom)   2,882 208,371
Unilever PLC (United Kingdom)   8,187 398,381
      956,722
Industrial Support Services – 0.0%(a)
Ashtead Group PLC (United Kingdom)   870 56,891
Institutional Financial Services – 1.3%
Bank of New York Mellon (The) Corp.   11,783 653,485
 
175

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Opportunistic Equity Fund
    Number
of Shares
Value
Institutional Financial Services (Continued)
Daiwa Securities Group, Inc. (Japan)   14,300 $102,486
Goldman Sachs Group (The), Inc.   2,320 890,903
Japan Exchange Group, Inc. (Japan)   4,600 101,806
London Stock Exchange Group PLC (United Kingdom)   1,336 151,120
Morgan Stanley   11,561 1,008,582
Northern Trust Corp.   6,811 542,428
State Street Corp.   3,532 260,909
      3,711,719
Insurance – 0.3%
Aviva PLC (United Kingdom)   10,465 57,124
Dai-ichi Life Holdings, Inc. (Japan)   5,700 125,017
Legal & General Group PLC (United Kingdom)   18,468 59,401
MS&AD Insurance Group Holdings, Inc. (Japan)   4,100 169,309
Prudential PLC (Hong Kong)   10,640 109,300
Sompo Holdings, Inc. (Japan)   1,600 82,962
Tokio Marine Holdings, Inc. (Japan)   6,700 176,662
      779,775
Internet Media & Services – 4.8%
Alphabet, Inc., Class A*   27,502 3,853,030
Baidu, Inc., Class A (China)*   101,350 1,312,200
Meituan, Class B (China)(c)*   151,870 1,221,525
Meta Platforms, Inc., Class A*   5,299 2,067,352
Netflix, Inc.*   710 400,518
Tencent Holdings Ltd. (China)   76,400 2,651,945
Tencent Music Entertainment Group ADR (China)*   88,333 830,330
Trip.com Group Ltd. (China)*   42,750 1,556,076
      13,892,976
Leisure Facilities & Services – 1.6%
Entain PLC (United Kingdom)   4,874 59,367
    Number
of Shares
Value
Leisure Facilities & Services (Continued)
InterContinental Hotels Group PLC (United Kingdom)   918 $86,983
International Game Technology PLC   170,115 4,416,186
      4,562,536
Leisure Products – 0.0%(a)
Shimano, Inc. (Japan)   1,000 143,575
Machinery – 0.4%
FANUC Corp. (Japan)   9,500 262,792
Keyence Corp. (Japan)   600 268,439
Komatsu Ltd. (Japan)   5,300 150,785
Nabtesco Corp. (Japan)   3,038 58,393
SMC Corp. (Japan)   500 278,322
Smiths Group PLC (United Kingdom)   2,599 53,263
Sumitomo Heavy Industries Ltd. (Japan)   2,800 72,645
      1,144,639
Medical Equipment & Devices – 1.6%
DENTSPLY SIRONA, Inc.(b)   85,072 2,956,252
FUJIFILM Holdings Corp. (Japan)   2,600 164,801
Hoya Corp. (Japan)   1,300 165,138
Medtronic PLC   10,955 959,001
Olympus Corp. (Japan)   11,900 176,163
Smith & Nephew PLC (United Kingdom)   5,327 74,498
      4,495,853
Metals & Mining – 0.3%
Anglo American PLC (South Africa)   4,402 104,933
Cameco Corp. (Canada)   2,678 127,860
Glencore PLC (Australia)   36,826 194,845
Rio Tinto PLC (Australia)   3,741 258,950
Sumitomo Metal Mining Co. Ltd. (Japan)   2,000 55,277
      741,865
Oil & Gas Producers – 3.7%
BP PLC (United Kingdom)   257,617 1,504,590
Canadian Natural Resources Ltd. (Canada)   9,614 615,262
Cenovus Energy, Inc. (Canada)   7,892 127,850
Chevron Corp.   2,036 300,167
China Petroleum & Chemical Corp., Class H (China)   460,250 239,424
Ecopetrol S.A. ADR (Colombia)(b)   6,719 80,830
 
176

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Opportunistic Equity Fund
    Number
of Shares
Value
Oil & Gas Producers (Continued)
ENEOS Holdings, Inc. (Japan)   17,600 $71,079
Eni S.p.A. (Italy)   24,827 395,776
Equinor ASA (Norway)   9,118 260,931
Exxon Mobil Corp.   6,750 693,967
Galp Energia SGPS S.A. (Portugal)   6,650 104,683
Gazprom PJSC (Russia)(d)*   100,532
Imperial Oil Ltd. (Canada)   1,610 92,867
Inpex Corp. (Japan)   19,300 262,334
LUKOIL PJSC (Russia)(d)   3,271
Neste OYJ (Finland)   8,225 283,553
OMV A.G. (Austria)   1,876 83,503
Petroleo Brasileiro S.A. ADR (Brazil)   39,838 680,035
Repsol S.A. (Spain)   13,802 203,832
Rosneft Oil Co. PJSC (Russia)(d)   48,304
Santos Ltd. (Australia)   17,507 88,479
Shell PLC (Netherlands)   84,395 2,616,442
Suncor Energy, Inc. (Canada)   12,518 414,520
TotalEnergies S.E. (France)   22,921 1,487,013
Woodside Energy Group Ltd. (Australia)   8,573 179,315
      10,786,452
Publishing & Broadcasting – 0.0%(a)
Informa PLC (United Kingdom)   5,609 55,089
Real Estate Owners & Developers – 0.1%
Mitsubishi Estate Co. Ltd. (Japan)   16,700 231,394
Mitsui Fudosan Co. Ltd. (Japan)   3,500 87,863
Sumitomo Realty & Development Co. Ltd. (Japan)   2,900 91,203
      410,460
Retail - Consumer Staples – 0.2%
Alibaba Health Information Technology Ltd. (China)(b)*   1,174,000 431,393
Seven & i Holdings Co. Ltd. (Japan)   4,100 161,929
Tesco PLC (United Kingdom)   35,929 130,193
      723,515
Retail - Discretionary – 0.1%
Associated British Foods PLC (United Kingdom)   2,229 66,021
    Number
of Shares
Value
Retail - Discretionary (Continued)
Fast Retailing Co. Ltd. (Japan)   800 $213,582
Kingfisher PLC (United Kingdom)   18,575 51,645
      331,248
Semiconductors – 0.1%
Tokyo Electron Ltd. (Japan)   1,700 315,473
Specialty Finance – 0.3%
Capital One Financial Corp.   5,583 755,491
ORIX Corp. (Japan)   5,900 113,925
      869,416
Steel – 0.1%
Mitsui & Co. Ltd. (Japan)   7,800 316,347
Technology Hardware – 1.4%
Casio Computer Co. Ltd. (Japan)   6,300 54,321
Cisco Systems, Inc.   35,045 1,758,558
Kyocera Corp. (Japan)   11,600 169,825
Murata Manufacturing Co. Ltd. (Japan)   15,900 321,055
Nidec Corp. (Japan)   4,300 160,376
Nintendo Co. Ltd. (Japan)   8,700 486,077
Panasonic Holdings Corp. (Japan)   18,200 171,422
Sony Group Corp. (Japan)   6,200 608,024
TDK Corp. (Japan)   5,900 293,553
      4,023,211
Technology Services – 4.9%
Cognizant Technology Solutions Corp., Class A   45,281 3,492,071
Experian PLC   2,668 111,049
Fiserv, Inc.*   25,648 3,638,682
Nexi SpA (Italy)(c)*   530,453 4,068,820
RELX PLC (United Kingdom)   5,635 232,579
Visa, Inc., Class A(b)   10,040 2,743,530
      14,286,731
Telecommunications – 1.8%
BT Group PLC (United Kingdom)   29,677 42,044
KDDI Corp. (Japan)   11,400 377,740
Nippon Telegraph & Telephone Corp. (Japan)   164,600 206,697
SES S.A. (France)   479,186 2,940,062
Softbank Corp. (Japan)   5,900 78,387
SoftBank Group Corp. (Japan)   8,200 353,999
T-Mobile U.S., Inc.   2,064 332,779
 
177

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Opportunistic Equity Fund
    Number
of Shares
Value
Telecommunications (Continued)
Verizon Communications, Inc.   18,172 $769,584
Vodafone Group PLC (United Kingdom)   89,884 76,414
      5,177,706
Tobacco & Cannabis – 0.1%
British American Tobacco PLC (United Kingdom)   8,905 262,552
Japan Tobacco, Inc. (Japan)   2,900 76,436
      338,988
Transportation & Logistics – 0.7%
East Japan Railway Co. (Japan)   5,300 303,121
Norfolk Southern Corp.   7,412 1,743,599
      2,046,720
Transportation Equipment – 1.5%
Knorr-Bremse A.G. (Germany)   67,860 4,191,452
Wholesale - Consumer Staples – 0.3%
ITOCHU Corp. (Japan)   9,100 412,996
Mitsubishi Corp. (Japan)   19,500 336,081
      749,077
Wholesale - Discretionary – 0.0%(a)
Bunzl PLC (United Kingdom)   1,937 78,719
Total Common Stocks
(Cost $141,927,351)
154,022,236
Preferred Stocks – 0.9%
Household Products – 0.9%
Henkel A.G. & Co. KGaA, 2.61%(e)   33,145 2,540,846
Total Preferred Stocks
(Cost $2,349,719)
2,540,846
Investment Companies – 40.4%
Franklin FTSE Brazil ETF   72,987 1,443,938
    Number
of Shares
Value
iShares Core DAX UCITS ETF DE (Germany)* EUR 28,861 $4,413,397
iShares Global Consumer Staples ETF   168,014 9,971,631
iShares MSCI South Korea ETF(b)   135,523 8,059,553
Materials Select Sector SPDR® Fund ETF   50,763 4,173,226
Schwab Fundamental Emerging Markets Large Company Index ETF(b)   687,359 18,173,772
Utilities Select Sector SPDR® Fund ETF   73,927 4,542,814
Vanguard Consumer Staples ETF   22,658 4,367,556
Vanguard Health Care ETF(b)   28,288 7,259,832
Vanguard Total Stock Market ETF   226,149 54,246,361
Total Investment Companies
(Cost $108,249,087)
116,652,080
    
    Number
of Shares
 
Short-Term Investments – 8.2%
Money Market Funds – 8.2%
Northern Institutional Funds - Liquid Assets Portfolio (Shares), 5.37%(f)(g)   7,773,939 7,773,939
Northern Institutional Funds - Treasury Portfolio (Premier), 5.17%(f)   15,831,887 15,831,887
Total Short-Term Investments
(Cost $23,605,826)
23,605,826
Total Investments – 102.8%
(Cost $276,131,983)
296,820,988
Liabilities less Other Assets – (2.8)% (8,147,376)
NET ASSETS – 100.0% $288,673,612
 
Percentages shown are based on Net Assets.
    
All securities are United States companies, unless noted otherwise in parentheses.
(a) Amount rounds to less than 0.05%.    
(b) Security either partially or fully on loan. As of January 31, 2024, the total value of securities on loan is $12,844,784.    
(c) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.    
(d) Investment is valued using significant unobservable inputs (Level 3).    
(e) Current yield is disclosed. Dividends are calculated based on a percentage of the issuer’s net income.    
(f) 7-day current yield as of January 31, 2024 is disclosed.    
178

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Global Opportunistic Equity Fund
(g) Security purchased with the cash proceeds from securities loaned. As of January 31, 2024, total cash collateral has a value of $7,773,939 and total non-cash collateral has a value of $5,497,965.    
* Non-Income Producing Security    
    
Abbreviations:
    
ADR American Depositary Receipt
DAX Deutscher Aktienindex
ETF Exchange-Traded Fund
EUR Euro
FTSE Financial Times Stock Exchange
MSCI Morgan Stanley Capital International
PJSC Public Joint Stock Company
PLC Public Limited Company
SPDR Standard & Poor's Depositary Receipt
UCITS Undertakings for Collective Investment in Transferable Securities
Concentration by Currency (%)(a)  
U.S. Dollar 66.4
Euro 10.3
British Pound 7.7
Japanese Yen 5.8
All other currencies less than 5% 9.8
Total 100.0
(a) Percentages shown are based on Net Assets.  
Country Diversification (%)(a)  
United States 65.8
United Kingdom 6.4
Japan 5.8
All other countries less than 5%(b) 22.0
Total 100.0
    
(a) Percentages shown are based on Net Assets.
(b) Includes Other.
 
Valuation Hierarchy
The following is a summary of the inputs used, as of January 31, 2024, in valuing the Fund's investments carried at fair value:
Morningstar Global Opportunistic Equity Fund Level 1 Level 2 Level 3 Totals
Investments        
Assets:        
Common Stocks $79,375,909 $74,646,327 $—* $154,022,236
Preferred Stocks 2,540,846 2,540,846
Investment Companies 116,652,080 116,652,080
Short-Term Investments 23,605,826 23,605,826
Total Investments $219,633,815 $77,187,173 $— $296,820,988
    
*Includes securities determined to have no value as of January 31, 2024.
179

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments
Morningstar Alternatives Fund
    Par(a) Value
Long Positions – 100.4%
Asset-Backed Securities – 1.2%
Other – 1.2%
Affirm Asset Securitization Trust,      
Series 2022-A, Class 1A, 4.30%, 5/17/27(b)   $550,000 $544,909
Series 2023-A, Class 1A, 6.61%, 1/18/28(b)   474,000 477,503
Series 2023-B, Class B, 7.44%, 9/15/28(b)   300,000 306,058
Series 2023-X1, Class A, 7.11%, 11/15/28(b)   339,248 340,216
Series 2023-X1, Class B, 7.77%, 11/15/28(b)   100,000 101,319
Avant Loans Funding Trust, Series 2021-REV1, Class A, 1.21%, 7/15/30(b)   56,400 56,124
Carvana Auto Receivables Trust, Series 2021-N2, Class B, 0.75%, 3/10/28   40,048 37,572
Drive Auto Receivables Trust, Series 2021-3, Class C, 1.47%, 1/15/27   569,942 559,126
JPMorgan Chase Bank NA - CACLN,      
Series 2021-2, Class B, 0.89%, 12/26/28(b)   52,765 51,674
Series 2021-3, Class B, 0.76%, 2/26/29(b)   167,794 162,370
Santander Bank NA - SBCLN, Series 2021-1A, Class B, 1.83%, 12/15/31(b)   48,809 47,649
Upstart Securitization Trust, Series 2021-5, Class A, 1.31%, 11/20/31(b)   37,991 37,792
      2,722,312
Total Asset-Backed Securities
(Cost $2,704,846)
2,722,312
    
    Number
of Shares
 
Common Stocks – 29.2%
Advertising & Marketing – 0.0%(c)
Omnicom Group, Inc.   85 7,682
Aerospace & Defense – 0.1%
General Dynamics Corp.   510 135,145
Lockheed Martin Corp.   282 121,093
      256,238
    Number
of Shares
Value
Apparel & Textile Products – 0.9%
Capri Holdings Ltd.*   40,817 $1,989,421
Beverages – 0.1%
PepsiCo, Inc.   650 109,544
Biotechnology & Pharmaceuticals – 5.1%
AbbVie, Inc.   802 131,849
Amgen, Inc.   417 131,046
Bristol-Myers Squibb Co.   2,192 107,123
Cerevel Therapeutics Holdings, Inc.*   43,301 1,814,312
Gilead Sciences, Inc.   1,542 120,677
Harpoon Therapeutics, Inc.(d)*   22,766 508,365
Icosavax, Inc.*   54,479 834,074
ImmunoGen, Inc.*   74,475 2,183,607
Johnson & Johnson   802 127,438
Karuna Therapeutics, Inc.(d)*   8,157 2,556,567
Merck & Co., Inc.   1,103 133,220
Olink Holding AB ADR (Sweden)*   124,611 3,050,477
      11,698,755
Chemicals – 0.0%(c)
LyondellBasell Industries N.V., Class A   153 14,400
Commercial Support Services – 2.1%
Applus Services S.A. (Spain)   31,467 380,532
H&R Block, Inc.   1,507 70,588
Sovos Brands, Inc.(d)*   155,986 3,439,491
SP Plus Corp.*   19,745 1,021,409
      4,912,020
Containers & Packaging – 0.0%(c)
Amcor PLC   2,409 22,717
Packaging Corp. of America   159 26,375
      49,092
Electric Utilities – 0.7%
Alliant Energy Corp.   266 12,944
Ameren Corp.   101 7,027
Brookfield Renewable Corp., Class A   468 13,067
CenterPoint Energy, Inc.   911 25,453
CMS Energy Corp.   1,135 64,877
Consolidated Edison, Inc.   1,380 125,442
DTE Energy Co.   402 42,379
Duke Energy Corp.   1,303 124,866
Evergy, Inc.   763 38,737
Exelon Corp.   802 27,918
 
180

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Number
of Shares
Value
Electric Utilities (Continued)
OGE Energy Corp.   852 $28,320
Pinnacle West Capital Corp.   1,582 109,000
PNM Resources, Inc.   15,463 560,224
Public Service Enterprise Group, Inc.   1,296 75,155
Sempra   225 16,101
Southern (The) Co.   1,772 123,189
WEC Energy Group, Inc.   1,513 122,190
Xcel Energy, Inc.   2,037 121,955
      1,638,844
Food – 0.3%
Campbell Soup Co.   2,948 131,569
Conagra Brands, Inc.   1,646 47,981
Flowers Foods, Inc.   4,745 108,186
General Mills, Inc.   2,003 130,015
Hershey (The) Co.   187 36,192
Ingredion, Inc.   391 42,060
Kellanova   2,290 125,400
Kraft Heinz (The) Co.   3,386 125,722
      747,125
Gas & Water Utilities – 0.1%
Atmos Energy Corp.   1,090 124,195
New Jersey Resources Corp.   238 9,718
NiSource, Inc.   566 14,699
ONE Gas, Inc.   28 1,718
      150,330
Health Care Facilities & Services – 1.7%
Amedisys, Inc.(d)*   36,403 3,431,711
Cardinal Health, Inc.   1,231 134,413
CVS Health Corp.   527 39,193
Patterson Cos., Inc.   2,211 66,021
Quest Diagnostics, Inc.   915 117,513
      3,788,851
Home Construction – 1.6%
MDC Holdings, Inc.   27,281 1,707,245
PGT Innovations, Inc.(d)*   49,748 2,050,613
      3,757,858
Household Products – 0.1%
Kimberly-Clark Corp.   1,051 127,139
Procter & Gamble (The) Co.   871 136,869
      264,008
Industrial Support Services – 1.2%
MSC Industrial Direct Co., Inc., Class A   272 26,841
    Number
of Shares
Value
Industrial Support Services (Continued)
Smart Metering Systems PLC (United Kingdom)   57,976 $698,728
Textainer Group Holdings Ltd. (China)   41,252 2,048,162
      2,773,731
Insurance – 0.4%
Aflac, Inc.   1,563 131,823
American Financial Group, Inc.   338 40,695
Axis Capital Holdings Ltd.   272 16,190
Everest Re Group Ltd.   199 76,609
Hartford Financial Services Group (The), Inc.   1,579 137,310
Old Republic International Corp.   4,368 122,479
Reinsurance Group of America, Inc.   587 102,073
Travelers (The) Cos., Inc.   673 142,245
Unum Group   2,565 123,992
      893,416
Internet Media & Services – 0.9%
Adevinta ASA (France)*   200,157 2,150,538
Leisure Facilities & Services – 0.1%
Darden Restaurants, Inc.   790 128,438
Texas Roadhouse, Inc.   175 22,001
Wendy's (The) Co.   4,205 80,232
      230,671
Machinery – 0.0%(c)
Snap-on, Inc.   11 3,189
Medical Equipment & Devices – 1.3%
Abbott Laboratories   1,045 118,242
Axonics, Inc.(d)*   40,019 2,716,490
Medtronic PLC   573 50,160
      2,884,892
Oil & Gas Producers – 3.3%
APA Corp.(d)   4,679 146,593
Chevron Corp.   866 127,674
Exxon Mobil Corp.   1,283 131,905
Hess Corp.(d)   19,622 2,757,480
Phillips 66   92 13,277
Pioneer Natural Resources Co.(d)   18,757 4,310,921
Williams (The) Cos., Inc.   3,633 125,920
      7,613,770
Real Estate Owners & Developers – 0.8%
McGrath RentCorp   13,808 1,734,975
 
181

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Number
of Shares
Value
Real Estate Services – 0.7%
Tricon Residential, Inc. (Canada)   155,045 $1,710,146
Retail - Consumer Staples – 0.8%
Albertsons Cos., Inc., Class A   80,885 1,716,380
Kroger (The) Co.   2,817 129,976
      1,846,356
Semiconductors – 0.6%
Silicon Motion Technology Corp. ADR (Taiwan)   19,953 1,256,640
Software – 3.7%
Alteryx, Inc., Class A(d)*   50,186 2,381,828
ANSYS, Inc.(d)*   6,022 1,974,192
Splunk, Inc.*   27,758 4,257,244
      8,613,264
Steel – 0.5%
United States Steel Corp.(d)   23,219 1,091,757
Technology Hardware – 1.1%
Cisco Systems, Inc.   2,566 128,762
Juniper Networks, Inc.(d)   66,388 2,453,701
NetApp, Inc.   152 13,254
      2,595,717
Technology Services – 0.8%
Amdocs Ltd.   1,453 133,211
Automatic Data Processing, Inc.   547 134,442
International Business Machines Corp.   804 147,663
Network International Holdings PLC (United Arab Emirates)(b)*   279,199 1,370,733
      1,786,049
Telecommunications – 0.0%(c)
GCI Liberty Escrow, Inc., Class A(e)*   31,520
Tobacco & Cannabis – 0.0%(c)
Philip Morris International, Inc.   368 33,433
Transportation & Logistics – 0.2%
Hawaiian Holdings, Inc.(f)*   27,087 385,990
Union Pacific Corp.   538 131,234
      517,224
    Number
of Shares
Value
Wholesale - Consumer Staples – 0.0%(c)
Bunge Global S.A.   99 $8,721
Total Common Stocks
(Cost $67,733,864)
67,128,657
    
    Par(a)  
Convertible Bonds – 24.8%
Asset Management – 1.4%
RWT Holdings, Inc., 5.75%, 10/01/25(d)   $2,186,000 2,105,000
WisdomTree, Inc., 5.75%, 8/15/28(b)(d)   1,056,000 1,086,624
      3,191,624
Biotechnology & Pharmaceuticals – 1.9%
Bridgebio Pharma, Inc., 2.25%, 2/01/29(d)   720,000 593,067
Coherus Biosciences, Inc., 1.50%, 4/15/26(d)   657,000 414,961
Collegium Pharmaceutical, Inc., 2.88%, 2/15/29(b)(d)   1,151,000 1,281,638
Halozyme Therapeutics, Inc., 0.25%, 3/01/27(d)   867,000 741,285
Immunocore Holdings PLC, 2.50%, 2/01/30(b)   115,000 123,453
Mirum Pharmaceuticals, Inc., 4.00%, 5/01/29(b)(d)   548,000 625,816
Revance Therapeutics, Inc., 1.75%, 2/15/27(d)   808,000 557,015
      4,337,235
Cable & Satellite – 0.9%
Cable One, Inc., 1.13%, 3/15/28(d)   1,343,000 1,024,038
Liberty Media Corp., 3.75%, 3/15/28(b)(d)   843,000 1,043,212
      2,067,250
Consumer Services – 0.4%
Chegg, Inc., 0.13%, 3/15/25(d)   1,075,000 995,988
E-Commerce Discretionary – 0.4%
Wayfair, Inc., 1.00%, 8/15/26(d)   1,029,000 884,940
Electric Utilities – 1.0%
CenterPoint Energy, Inc., 4.25%, 8/15/26(b)   409,000 407,978
Duke Energy Corp., 4.13%, 4/15/26(b)(d)   596,000 593,616
 
182

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Electric Utilities (Continued)
NRG Energy, Inc., 2.75%, 6/01/48(d)   $498,000 $656,115
PG&E Corp., 4.25%, 12/01/27(b)(d)   605,000 615,587
      2,273,296
Electrical Equipment – 0.4%
Itron, Inc., 0.00%, 3/15/26(d)(g)   499,000 456,834
Mesa Laboratories, Inc., 1.38%, 8/15/25(d)   622,000 570,312
      1,027,146
Entertainment Content – 0.2%
Sphere Entertainment Co., 3.50%, 12/01/28(b)(d)   332,000 393,852
Health Care Facilities & Services – 0.1%
UpHealth, Inc.,      
(SOFR + 9.00%), 14.32%, 12/15/25(b)(h)   91,000 78,260
6.25%, 6/15/26(b)   66,000 49,500
      127,760
Household Products – 0.5%
Beauty Health (The) Co., 1.25%, 10/01/26(b)(d)   1,394,000 1,031,560
Industrial Intermediate Products – 0.1%
Xometry, Inc., 1.00%, 2/01/27(d)   275,000 248,113
Internet Media & Services – 1.6%
Airbnb, Inc., 0.00%, 3/15/26(d)(g)   486,000 441,045
Liberty TripAdvisor Holdings, Inc., 0.50%, 6/30/51(b)(d)   1,969,000 1,773,281
Snap, Inc., 0.00%, 5/01/27(d)(g)   1,353,000 1,088,353
Ziff Davis, Inc., 1.75%, 11/01/26   417,000 393,023
      3,695,702
Leisure Facilities & Services – 1.3%
Cheesecake Factory (The), Inc., 0.38%, 6/15/26(d)   1,492,000 1,281,329
Live Nation Entertainment, Inc., 3.13%, 1/15/29   527,000 580,109
Marcus (The) Corp., 5.00%, 9/15/25   316,000 433,868
Marriott Vacations Worldwide Corp., 3.25%, 12/15/27   883,000 777,040
      3,072,346
    Par(a) Value
Medical Equipment & Devices – 1.2%
CONMED Corp., 2.25%, 6/15/27   $698,000 $663,100
Enovis Corp., 3.88%, 10/15/28(b)(d)   377,000 465,030
Haemonetics Corp., 0.00%, 3/01/26(d)(g)   1,109,000 987,010
Integer Holdings Corp., 2.13%, 2/15/28(b)(d)   509,000 661,191
      2,776,331
Metals & Mining – 0.4%
Equinox Gold Corp., 4.75%, 10/15/28(b)(d) CAD 547,000 549,735
MP Materials Corp., 0.25%, 4/01/26(b)   333,000 285,747
      835,482
Oil, Gas Services & Equipment – 0.3%
Helix Energy Solutions Group, Inc., 6.75%, 2/15/26(d)   488,000 722,874
Real Estate Investment Trusts – 1.4%
HAT Holdings I LLC/HAT Holdings II LLC, 0.00%, 5/01/25(b)(g)   928,000 938,486
Pebblebrook Hotel Trust, 1.75%, 12/15/26(d)   1,469,000 1,306,529
Summit Hotel Properties, Inc., 1.50%, 2/15/26(d)   1,139,000 1,002,890
      3,247,905
Real Estate Services – 0.2%
Realogy Group LLC/Realogy Co-Issuer Corp., 0.25%, 6/15/26(d)   711,000 560,837
Renewable Energy – 0.4%
Sunnova Energy International, Inc.,      
0.25%, 12/01/26   1,027,000 587,820
2.63%, 2/15/28   860,000 440,750
      1,028,570
Software – 3.3%
Bentley Systems, Inc., 0.38%, 7/01/27(d)   684,000 603,972
BILL Holdings, Inc., 0.00%, 12/01/25(d)(g)   194,000 181,390
Ceridian HCM Holding, Inc., 0.25%, 3/15/26(d)   1,038,000 938,767
DigitalOcean Holdings, Inc., 0.00%, 12/01/26(g)   467,000 382,660
 
183

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Software (Continued)
Envestnet, Inc., 2.63%, 12/01/27(d)   $758,000 $750,420
Evolent Health, Inc., 3.50%, 12/01/29(b)(d)   374,000 408,408
i3 Verticals LLC, 1.00%, 2/15/25(d)   1,035,000 947,646
Jamf Holding Corp., 0.13%, 9/01/26(d)   725,000 630,750
MicroStrategy, Inc., 0.00%, 2/15/27(d)(g)   550,000 440,000
Mitek Systems, Inc., 0.75%, 2/01/26(d)   825,000 763,620
Q2 Holdings, Inc., 0.75%, 6/01/26(d)   359,000 326,259
Splunk, Inc., 1.13%, 6/15/27   223,000 216,756
Verint Systems, Inc., 0.25%, 4/15/26(d)   1,102,000 977,336
      7,567,984
Specialty Finance – 3.6%
Blackstone Mortgage Trust, Inc., 5.50%, 3/15/27   462,000 413,259
EZCORP, Inc.,      
2.38%, 5/01/25   521,000 487,812
3.75%, 12/15/29(b)(d)   398,000 397,602
LendingTree, Inc., 0.50%, 7/15/25   1,842,000 1,610,645
PennyMac Corp., 5.50%, 3/15/26   923,000 860,698
SoFi Technologies, Inc., 0.00%, 10/15/26(b)(d)(g)   1,950,000 1,618,500
Two Harbors Investment Corp., 6.25%, 1/15/26(d)   1,835,000 1,724,900
Upstart Holdings, Inc., 0.25%, 8/15/26   1,499,000 1,098,917
      8,212,333
Technology Hardware – 0.6%
Lumentum Holdings, Inc., 0.50%, 12/15/26(d)   764,000 688,364
Western Digital Corp., 3.00%, 11/15/28(b)(d)   492,000 638,124
      1,326,488
Technology Services – 1.5%
Affirm Holdings, Inc., 0.00%, 11/15/26(g)   1,162,000 920,188
Block, Inc., 0.25%, 11/01/27(d)   647,000 528,275
CSG Systems International, Inc., 3.88%, 9/15/28(b)(d)   388,000 381,443
    Par(a) Value
Technology Services (Continued)
Perficient, Inc., 0.13%, 11/15/26   $1,266,000 $1,062,680
Repay Holdings Corp., 0.00%, 2/01/26(b)(g)   632,000 534,862
      3,427,448
Transportation & Logistics – 1.2%
Air Transport Services Group, Inc., 3.88%, 8/15/29(b)(d)   1,014,000 874,114
American Airlines Group, Inc., 6.50%, 7/01/25(d)   796,000 895,500
CryoPort, Inc., 0.75%, 12/01/26(b)(d)   1,341,000 1,098,011
      2,867,625
Transportation Equipment – 0.5%
Greenbrier (The) Cos., Inc., 2.88%, 4/15/28(d)   1,106,000 1,129,226
Total Convertible Bonds
(Cost $58,273,596)
57,049,915
    
    Number
of Shares
 
Convertible Preferred Stocks – 1.3%
Asset Management – 0.1%
Apollo Global Management, Inc., 6.75%   4,097 239,347
Banking – 0.4%
New York Community Capital Trust V, 6.00%   22,090 817,109
Chemicals – 0.2%
Lyondellbasell Advanced Polymers, Inc., 6.00%   669 545,235
Industrial Intermediate Products – 0.3%
Chart Industries, Inc., 6.75%   12,078 601,726
Technology Hardware – 0.3%
NCR Voyix Corp., (100% Cash), 5.50%(i)   556 625,072
Total Convertible Preferred Stocks
(Cost $3,172,361)
2,828,489
    
 
184

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Corporate Bonds – 18.9%
Advertising & Marketing – 0.0%(c)
Advantage Sales & Marketing, Inc., 6.50%, 11/15/28(b)   $35,000 $32,915
Interpublic (The) Group of Cos., Inc, 2.40%, 3/01/31   5,000 4,221
      37,136
Aerospace & Defense – 0.6%
Boeing (The) Co.,      
2.20%, 2/04/26   30,000 28,255
5.15%, 5/01/30   55,000 55,122
General Dynamics Corp.,      
3.50%, 4/01/27   130,000 126,501
3.75%, 5/15/28   70,000 68,390
Hexcel Corp., 4.20%, 2/15/27   60,000 57,623
Lockheed Martin Corp.,      
5.10%, 11/15/27   40,000 41,055
3.90%, 6/15/32   105,000 100,368
5.25%, 1/15/33   170,000 178,047
4.75%, 2/15/34   320,000 322,141
RTX Corp.,      
5.75%, 1/15/29   15,000 15,658
6.00%, 3/15/31   30,000 31,925
Spirit AeroSystems, Inc., 9.75%, 11/15/30(b)   30,000 31,487
TransDigm, Inc.,      
5.50%, 11/15/27   54,000 52,537
6.75%, 8/15/28(b)   114,000 115,865
4.88%, 5/01/29   29,000 27,104
6.88%, 12/15/30(b)   12,000 12,281
Triumph Group, Inc.,      
7.75%, 8/15/25   4,000 4,002
9.00%, 3/15/28(b)   4,000 4,221
      1,272,582
Apparel & Textile Products – 0.1%
Tapestry, Inc.,      
7.35%, 11/27/28   70,000 73,320
7.70%, 11/27/30   60,000 63,594
3.05%, 3/15/32   130,000 103,973
      240,887
Asset Management – 0.4%
Ameriprise Financial, Inc.,      
5.70%, 12/15/28   100,000 104,723
5.15%, 5/15/33   85,000 86,997
Ares Capital Corp.,      
2.15%, 7/15/26   48,000 43,817
7.00%, 1/15/27   90,000 92,351
2.88%, 6/15/27   60,000 55,085
2.88%, 6/15/28   40,000 35,526
    Par(a) Value
Asset Management (Continued)
Barings BDC, Inc., 3.30%, 11/23/26   $35,000 $32,413
Charles Schwab (The) Corp.,      
1.15%, 5/13/26   50,000 46,012
5.88%, 8/24/26   75,000 76,790
(SOFR + 1.88%), 6.20%, 11/17/29(j)   40,000 41,835
Compass Group Diversified Holdings LLC, 5.25%, 4/15/29(b)   33,000 31,424
FS KKR Capital Corp.,      
2.63%, 1/15/27   105,000 95,449
3.25%, 7/15/27   10,000 9,179
3.13%, 10/12/28   20,000 17,605
7.88%, 1/15/29   20,000 21,222
Golub Capital BDC, Inc., 2.50%, 8/24/26   10,000 9,123
Main Street Capital Corp., 6.95%, 3/01/29   55,000 55,905
NFP Corp.,      
6.88%, 8/15/28(b)   31,000 31,174
8.50%, 10/01/31(b)   20,000 22,008
      908,638
Automotive – 0.2%
Adient Global Holdings Ltd., 8.25%, 4/15/31(b)   9,000 9,505
Ford Motor Credit Co. LLC, 6.80%, 11/07/28   230,000 240,263
General Motors Financial Co., Inc., 2.35%, 2/26/27   170,000 157,347
Lear Corp., 3.80%, 9/15/27   60,000 57,932
Tenneco, Inc., 8.00%, 11/17/28(b)   18,000 15,680
      480,727
Banking – 1.9%
Bank of America Corp.,      
(3M CME Term SOFR + 1.07%), 3.37%, 1/23/26(j)   25,000 24,484
(SOFR + 1.33%), 3.38%, 4/02/26(j)   495,000 483,853
(SOFR + 1.15%), 1.32%, 6/19/26(j)   210,000 198,712
(SOFR + 1.75%), 4.83%, 7/22/26(j)   105,000 104,445
(SOFR + 2.04%), 4.95%, 7/22/28(j)   110,000 110,213
(SOFR + 1.99%), 6.20%, 11/10/28(j)   125,000 130,687
 
185

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Banking (Continued)
Bank of America Corp.,      
(3M CME Term SOFR + 1.25%), 2.50%, 2/13/31(j)   $80,000 $69,165
(SOFR + 1.22%), 2.65%, 3/11/32(j)   50,000 42,420
(SOFR + 1.21%), 2.57%, 10/20/32(j)   30,000 25,010
(SOFR + 1.91%), 5.29%, 4/25/34(j)   80,000 80,491
(SOFR + 1.65%), 5.47%, 1/23/35(j)   70,000 71,284
Citigroup, Inc.,      
(SOFR + 1.37%), 4.14%, 5/24/25(j)   110,000 109,452
(SOFR + 0.77%), 1.46%, 6/09/27(j)   375,000 344,624
4.45%, 9/29/27   100,000 98,039
(SOFR + 1.94%), 3.79%, 3/17/33(j)   140,000 126,309
Fifth Third Bancorp, (SOFR + 2.34%), 6.34%, 7/27/29(j)   30,000 31,233
JPMorgan Chase & Co.,      
(3M CME Term SOFR + 1.59%), 2.01%, 3/13/26(j)   300,000 288,848
(SOFR + 0.80%), 1.05%, 11/19/26(j)   180,000 167,363
(3M CME Term SOFR + 0.70%), 1.04%, 2/04/27(j)   205,000 189,263
(SOFR + 0.77%), 1.47%, 9/22/27(j)   95,000 86,715
(SOFR + 1.99%), 4.85%, 7/25/28(j)   245,000 244,670
(SOFR + 1.31%), 5.01%, 1/23/30(j)   25,000 25,125
(SOFR + 2.08%), 4.91%, 7/25/33(j)   90,000 88,843
(SOFR + 1.85%), 5.35%, 6/01/34(j)   120,000 122,003
Popular, Inc., 7.25%, 3/13/28   44,000 45,628
Santander Holdings USA, Inc.,      
(SOFR Index + 1.38%), 4.26%, 6/09/25(j)   70,000 69,367
(SOFR + 2.36%), 6.50%, 3/09/29(j)   10,000 10,349
(SOFR + 2.50%), 6.17%, 1/09/30(j)   90,000 90,515
Truist Financial Corp.,      
(SOFR + 1.46%), 4.26%, 7/28/26(j)   88,000 86,712
    Par(a) Value
Banking (Continued)
Truist Financial Corp.,      
(SOFR + 0.86%), 1.89%, 6/07/29(j)   $36,000 $31,385
(SOFR + 1.92%), 5.71%, 1/24/35(j)   65,000 66,096
U.S. Bancorp, (SOFR + 1.66%), 4.55%, 7/22/28(j)   20,000 19,735
Wells Fargo & Co.,      
(SOFR + 1.32%), 3.91%, 4/25/26(j)   104,000 102,238
(SOFR + 1.51%), 3.53%, 3/24/28(j)   161,000 154,303
(3M CME Term SOFR + 1.57%), 3.58%, 5/22/28(j)   1,000 957
(SOFR + 1.98%), 4.81%, 7/25/28(j)   241,000 239,542
4.15%, 1/24/29   20,000 19,388
(SOFR + 1.74%), 5.57%, 7/25/29(j)   80,000 81,761
(SOFR + 1.79%), 6.30%, 10/23/29(j)   23,000 24,241
(3M CME Term SOFR + 1.43%), 2.88%, 10/30/30(j)   1,000 891
(3M CME Term SOFR + 4.03%), 4.48%, 4/04/31(j)   3,000 2,911
(SOFR + 1.99%), 5.56%, 7/25/34(j)   90,000 91,885
(SOFR + 1.78%), 5.50%, 1/23/35(j)   50,000 50,994
      4,452,149
Beverages – 0.0%(c)
Constellation Brands, Inc., 4.35%, 5/09/27   65,000 64,442
Biotechnology & Pharmaceuticals – 0.4%
Amgen, Inc., 5.25%, 3/02/30   108,000 110,573
Bausch Health Americas, Inc., 8.50%, 1/31/27(b)   2,000 1,100
Bausch Health Cos., Inc.,      
6.13%, 2/01/27(b)   82,000 51,886
11.00%, 9/30/28(b)   84,000 57,145
Biogen, Inc., 2.25%, 5/01/30   15,000 12,786
Bristol-Myers Squibb Co., 1.45%, 11/13/30   50,000 40,945
Eli Lilly & Co., 4.70%, 2/27/33   8,000 8,150
Jazz Securities DAC, 4.38%, 1/15/29(b)   42,000 38,740
 
186

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Biotechnology & Pharmaceuticals (Continued)
Merck & Co., Inc., 4.50%, 5/17/33   $240,000 $238,904
Perrigo Finance Unlimited Co., 4.65%, 6/15/30   40,000 36,640
Pfizer Investment Enterprises Pte. Ltd., 4.45%, 5/19/28   30,000 29,937
Regeneron Pharmaceuticals, Inc., 1.75%, 9/15/30   230,000 189,996
Zoetis, Inc.,      
3.00%, 9/12/27   140,000 133,006
2.00%, 5/15/30   20,000 17,079
      966,887
Cable & Satellite – 0.5%
Cable One, Inc., 4.00%, 11/15/30(b)   9,000 7,245
CCO Holdings LLC/CCO Holdings Capital Corp.,      
5.38%, 6/01/29(b)   5,000 4,649
6.38%, 9/01/29(b)   40,000 38,947
7.38%, 3/01/31(b)   115,000 116,222
4.75%, 2/01/32(b)   135,000 115,798
4.50%, 6/01/33(b)   32,000 26,246
Charter Communications Operating LLC/Charter Communications Operating Capital,      
2.25%, 1/15/29   15,000 12,953
2.30%, 2/01/32   100,000 78,225
Comcast Corp.,      
3.40%, 4/01/30   50,000 46,601
4.80%, 5/15/33   110,000 110,316
CSC Holdings LLC, 11.25%, 5/15/28(b)   35,000 35,465
Directv Financing LLC, 8.88%, 2/01/30(b)   20,000 20,401
Directv Financing LLC/Directv Financing Co-Obligor, Inc., 5.88%, 8/15/27(b)   155,000 147,357
DISH Network Corp., 11.75%, 11/15/27(b)   51,000 53,229
GCI LLC, 4.75%, 10/15/28(b)   52,000 47,670
Sirius XM Radio, Inc.,      
5.00%, 8/01/27(b)   80,000 76,898
5.50%, 7/01/29(b)   134,000 127,300
4.13%, 7/01/30(b)   30,000 26,250
      1,091,772
    Par(a) Value
Chemicals – 0.6%
Air Products and Chemicals, Inc., 1.85%, 5/15/27   $50,000 $46,053
Celanese U.S. Holdings LLC, 6.35%, 11/15/28   65,000 67,733
Chemours (The) Co.,      
5.38%, 5/15/27   61,000 59,339
5.75%, 11/15/28(b)   92,000 86,774
CVR Partners L.P./CVR Nitrogen Finance Corp., 6.13%, 6/15/28(b)   69,000 65,032
Ecolab, Inc., 2.13%, 2/01/32   20,000 16,751
LYB International Finance II B.V., 3.50%, 3/02/27   30,000 28,927
PPG Industries, Inc., 1.20%, 3/15/26   165,000 153,179
Rain Carbon, Inc., 12.25%, 9/01/29(b)   32,000 31,679
Tronox, Inc., 4.63%, 3/15/29(b)   19,000 16,775
Valvoline, Inc., 4.25%, 2/15/30(b)   735,000 730,082
      1,302,324
Commercial Support Services – 0.1%
Allied Universal Holdco LLC/Allied Universal Finance Corp., 9.75%, 7/15/27(b)   25,000 24,445
APX Group, Inc.,      
6.75%, 2/15/27(b)   7,000 7,000
5.75%, 7/15/29(b)   42,000 39,887
Cintas Corp. No. 2, 4.00%, 5/01/32   60,000 57,514
Prime Security Services Borrower LLC/Prime Finance, Inc., 6.25%, 1/15/28(b)   33,000 32,703
VT Topco, Inc., 8.50%, 8/15/30(b)   15,000 15,676
Waste Connections, Inc.,      
2.60%, 2/01/30   5,000 4,488
3.20%, 6/01/32   55,000 48,938
Williams Scotsman, Inc., 4.63%, 8/15/28(b)   46,000 43,542
ZipRecruiter, Inc., 5.00%, 1/15/30(b)   9,000 8,017
      282,210
Construction Materials – 0.1%
AmeriTex HoldCo Intermediate LLC, 10.25%, 10/15/28(b)   15,000 15,404
Eagle Materials, Inc., 2.50%, 7/01/31   88,000 74,386
 
187

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Construction Materials (Continued)
Eco Material Technologies, Inc., 7.88%, 1/31/27(b)   $20,000 $19,988
Smyrna Ready Mix Concrete LLC,      
6.00%, 11/01/28(b)   28,000 27,369
8.88%, 11/15/31(b)   50,000 52,528
Standard Industries, Inc., 4.38%, 7/15/30(b)   135,000 122,681
      312,356
Consumer Services – 0.0%(c)
Adtalem Global Education, Inc., 5.50%, 3/01/28(b)   31,000 29,258
Containers & Packaging – 0.1%
Graham Packaging Co., Inc., 7.13%, 8/15/28(b)   50,000 44,627
Mauser Packaging Solutions Holding Co.,      
7.88%, 8/15/26(b)   32,000 32,335
9.25%, 4/15/27(b)   21,000 20,270
Packaging Corp. of America, 5.70%, 12/01/33   95,000 99,745
      196,977
Diversified Industrials – 0.0%(c)
Honeywell International, Inc., 4.50%, 1/15/34   80,000 79,095
E-Commerce Discretionary – 0.0%(c)
eBay, Inc., 1.90%, 3/11/25   50,000 48,241
Electric Utilities – 1.0%
AEP Texas, Inc., 3.95%, 6/01/28   50,000 48,292
AES (The) Corp., 5.45%, 6/01/28   30,000 30,394
Alabama Power Co., 3.05%, 3/15/32   35,000 31,000
Appalachian Power Co., 4.50%, 8/01/32   50,000 47,777
Arizona Public Service Co., 2.20%, 12/15/31   50,000 40,814
Black Hills Corp., 3.15%, 1/15/27   20,000 19,018
Calpine Corp., 5.00%, 2/01/31(b)   53,000 48,082
CenterPoint Energy Houston Electric LLC, 4.45%, 10/01/32   30,000 29,325
CenterPoint Energy, Inc., 5.25%, 8/10/26   22,000 22,320
    Par(a) Value
Electric Utilities (Continued)
Constellation Energy Generation LLC, 3.25%, 6/01/25   $50,000 $48,662
Dominion Energy, Inc., 3.38%, 4/01/30   50,000 45,724
DTE Electric Co., 5.20%, 4/01/33   50,000 51,507
Duke Energy Carolinas LLC, 4.95%, 1/15/33   20,000 20,153
Duke Energy Corp.,      
2.65%, 9/01/26   100,000 95,083
3.40%, 6/15/29   50,000 46,825
5.75%, 9/15/33   26,000 27,169
Duke Energy Progress LLC,      
3.40%, 4/01/32   20,000 18,046
5.25%, 3/15/33   10,000 10,245
Entergy Louisiana LLC, 1.60%, 12/15/30   90,000 72,364
Evergy Kansas Central, Inc., 5.90%, 11/15/33   10,000 10,689
Eversource Energy, 5.13%, 5/15/33   50,000 49,234
Exelon Corp., 5.15%, 3/15/28   40,000 40,585
Florida Power & Light Co.,      
2.45%, 2/03/32   30,000 25,580
4.80%, 5/15/33   95,000 95,432
Georgia Power Co.,      
4.65%, 5/16/28   30,000 30,054
4.70%, 5/15/32   20,000 19,749
Interstate Power and Light Co., 5.70%, 10/15/33   14,000 14,662
ITC Holdings Corp., 3.35%, 11/15/27   10,000 9,532
National Rural Utilities Cooperative Finance Corp.,      
1.00%, 6/15/26   85,000 77,987
2.40%, 3/15/30   50,000 43,700
NextEra Energy Capital Holdings, Inc.,      
4.45%, 6/20/25   60,000 59,479
5.75%, 9/01/25   30,000 30,303
5.25%, 3/15/34   50,000 50,315
NRG Energy, Inc., 7.00%, 3/15/33(b)   110,000 116,110
Oncor Electric Delivery Co. LLC,      
4.30%, 5/15/28   25,000 24,679
5.65%, 11/15/33   10,000 10,594
 
188

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Electric Utilities (Continued)
Pacific Gas and Electric Co.,      
2.50%, 2/01/31   $80,000 $66,399
6.40%, 6/15/33   29,000 30,785
PacifiCorp, 5.30%, 2/15/31   10,000 10,145
PECO Energy Co., 4.90%, 6/15/33   40,000 40,358
PG&E Corp., 5.25%, 7/01/30   46,000 43,925
PPL Capital Funding, Inc., 3.10%, 5/15/26   20,000 19,240
PPL Electric Utilities Corp.,      
5.00%, 5/15/33   10,000 10,184
4.85%, 2/15/34   25,000 25,076
Public Service Co. of Colorado, 4.10%, 6/01/32   25,000 23,693
Public Service Electric and Gas Co.,      
4.65%, 3/15/33   10,000 9,925
5.20%, 8/01/33   20,000 20,725
Public Service Enterprise Group, Inc., 1.60%, 8/15/30   10,000 8,172
San Diego Gas & Electric Co., 4.95%, 8/15/28   45,000 45,671
Sempra, 5.50%, 8/01/33   10,000 10,193
Southern (The) Co., 5.20%, 6/15/33   50,000 50,597
Southern California Edison Co.,      
5.95%, 11/01/32   21,000 22,385
2.95%, 2/01/51   6,000 3,970
5.88%, 12/01/53   10,000 10,491
Southwestern Electric Power Co., 5.30%, 4/01/33   10,000 10,038
Talen Energy Supply LLC, 8.63%, 6/01/30(b)   53,000 56,250
Union Electric Co., 2.95%, 3/15/30   70,000 63,319
Virginia Electric and Power Co., 2.30%, 11/15/31   45,000 37,670
Vistra Operations Co. LLC,      
5.50%, 9/01/26(b)   25,000 24,771
5.63%, 2/15/27(b)   84,000 82,745
5.00%, 7/31/27(b)   50,000 48,440
7.75%, 10/15/31(b)   50,000 51,940
WEC Energy Group, Inc., 5.60%, 9/12/26   15,000 15,326
Wisconsin Electric Power Co., 1.70%, 6/15/28   10,000 8,907
    Par(a) Value
Electric Utilities (Continued)
Wisconsin Power and Light Co., 1.95%, 9/16/31   $5,000 $4,044
Xcel Energy, Inc., 4.60%, 6/01/32   10,000 9,701
      2,326,569
Electrical Equipment – 0.1%
Atkore, Inc., 4.25%, 6/01/31(b)   7,000 6,172
BWX Technologies, Inc., 4.13%, 6/30/28(b)   115,000 107,964
      114,136
Engineering & Construction – 0.1%
Brand Industrial Services, Inc., 10.38%, 8/01/30(b)   15,000 15,844
Quanta Services, Inc., 2.35%, 1/15/32   140,000 114,236
Tutor Perini Corp., 6.88%, 5/01/25(b)   13,000 12,737
      142,817
Entertainment Content – 0.2%
Lions Gate Capital Holdings LLC, 5.50%, 4/15/29(b)   38,000 28,894
Paramount Global, 4.20%, 5/19/32   65,000 57,840
ROBLOX Corp., 3.88%, 5/01/30(b)   13,000 11,421
TEGNA, Inc.,      
4.63%, 3/15/28   53,000 49,433
5.00%, 9/15/29   200,000 184,716
Univision Communications, Inc.,      
6.63%, 6/01/27(b)   23,000 22,751
8.00%, 8/15/28(b)   35,000 35,615
7.38%, 6/30/30(b)   116,000 113,727
      504,397
Food – 0.1%
BellRing Brands, Inc., 7.00%, 3/15/30(b)   37,000 37,881
Chobani LLC/Chobani Finance Corp., Inc., 7.63%, 7/01/29(b)   15,000 15,187
General Mills, Inc.,      
4.00%, 4/17/25   30,000 29,630
4.95%, 3/29/33   35,000 35,035
Hershey (The) Co., 4.50%, 5/04/33   52,000 52,221
 
189

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Food (Continued)
JBS USA LUX S.A./JBS USA Food Co./JBS USA Finance, Inc., 5.75%, 4/01/33   $43,000 $42,572
Mondelez International, Inc., 2.63%, 3/17/27   40,000 37,775
      250,301
Forestry, Paper & Wood Products – 0.0%(c)
Boise Cascade Co., 4.88%, 7/01/30(b)   7,000 6,492
Domtar Corp., 6.75%, 10/01/28(b)   21,000 19,273
      25,765
Gas & Water Utilities – 0.2%
American Water Capital Corp., 4.45%, 6/01/32   30,000 29,488
AmeriGas Partners L.P./AmeriGas Finance Corp.,      
5.50%, 5/20/25   32,000 31,432
5.88%, 8/20/26   29,000 28,106
5.75%, 5/20/27   42,000 40,175
9.38%, 6/01/28(b)   48,000 49,349
Essential Utilities, Inc., 5.38%, 1/15/34   25,000 25,155
NiSource, Inc., 0.95%, 8/15/25   100,000 93,958
ONE Gas, Inc., 4.25%, 9/01/32   25,000 24,182
Piedmont Natural Gas Co., Inc., 5.40%, 6/15/33   10,000 10,231
Southern California Gas Co., 5.20%, 6/01/33   30,000 30,664
Southern Co. Gas Capital Corp., 5.75%, 9/15/33   10,000 10,473
Southwest Gas Corp., 4.05%, 3/15/32   25,000 23,395
Suburban Propane Partners L.P./Suburban Energy Finance Corp., 5.00%, 6/01/31(b)   26,000 23,369
      419,977
Health Care Facilities & Services – 0.6%
Cencora, Inc., 2.70%, 3/15/31   90,000 78,443
DaVita, Inc., 4.63%, 6/01/30(b)   102,000 90,247
Fortrea Holdings, Inc., 7.50%, 7/01/30(b)   48,000 48,783
    Par(a) Value
Health Care Facilities & Services (Continued)
HCA, Inc.,      
3.50%, 9/01/30   $50,000 $45,368
3.63%, 3/15/32   91,000 81,118
Heartland Dental LLC/Heartland Dental Finance Corp., 10.50%, 4/30/28(b)   20,000 20,851
Humana, Inc.,      
4.50%, 4/01/25   57,000 56,548
5.75%, 3/01/28   70,000 72,345
IQVIA, Inc., 6.25%, 2/01/29(b)   25,000 26,018
LifePoint Health, Inc., 11.00%, 10/15/30(b)   25,000 26,602
McKesson Corp., 0.90%, 12/03/25   75,000 69,877
Molina Healthcare, Inc., 4.38%, 6/15/28(b)   50,000 46,869
Star Parent, Inc., 9.00%, 10/01/30(b)   10,000 10,515
Tenet Healthcare Corp., 6.13%, 10/01/28   124,000 123,544
UnitedHealth Group, Inc.,      
2.00%, 5/15/30   125,000 107,393
4.50%, 4/15/33   231,000 227,488
Universal Health Services, Inc.,      
2.65%, 10/15/30   112,000 94,488
2.65%, 1/15/32   98,000 80,269
      1,306,766
Home & Office Products – 0.0%(c)
Steelcase, Inc., 5.13%, 1/18/29   17,000 16,287
Tempur Sealy International, Inc.,      
4.00%, 4/15/29(b)   25,000 22,555
3.88%, 10/15/31(b)   43,000 36,286
      75,128
Home Construction – 0.2%
Interface, Inc., 5.50%, 12/01/28(b)   18,000 16,845
Lennar Corp., 5.00%, 6/15/27   35,000 35,068
LGI Homes, Inc., 8.75%, 12/15/28(b)   25,000 26,393
Masco Corp., 3.50%, 11/15/27   45,000 42,822
MDC Holdings, Inc., 2.50%, 1/15/31   90,000 75,573
Meritage Homes Corp., 5.13%, 6/06/27   30,000 29,405
NVR, Inc., 3.00%, 5/15/30   135,000 120,906
 
190

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Home Construction (Continued)
PulteGroup, Inc., 6.38%, 5/15/33   $50,000 $54,055
Toll Brothers Finance Corp.,      
4.35%, 2/15/28   60,000 58,426
3.80%, 11/01/29   50,000 46,718
      506,211
Household Products – 0.0%(c)
Energizer Holdings, Inc., 6.50%, 12/31/27(b)   4,000 3,982
Industrial Support Services – 0.0%(c)
EquipmentShare.com, Inc., 9.00%, 5/15/28(b)   15,000 15,220
NESCO Holdings II, Inc., 5.50%, 4/15/29(b)   2,000 1,875
      17,095
Institutional Financial Services – 0.9%
Bank of New York Mellon (The) Corp., (SOFR + 1.17%), 4.54%, 2/01/29(j)   50,000 49,727
Coinbase Global, Inc.,      
3.38%, 10/01/28(b)   42,000 34,423
3.63%, 10/01/31(b)   79,000 59,249
Goldman Sachs Group (The), Inc.,      
(3M CME Term SOFR + 1.46%), 3.27%, 9/29/25(j)   25,000 24,620
(SOFR + 0.61%), 0.86%, 2/12/26(j)   90,000 85,706
3.50%, 11/16/26   50,000 48,327
(SOFR + 0.79%), 1.09%, 12/09/26(j)   450,000 417,698
(SOFR + 0.80%), 1.43%, 3/09/27(j)   110,000 101,799
(3M CME Term SOFR + 1.42%), 3.81%, 4/23/29(j)   50,000 47,611
3.80%, 3/15/30   50,000 47,058
(SOFR + 1.28%), 2.62%, 4/22/32(j)   10,000 8,438
(SOFR + 1.25%), 2.38%, 7/21/32(j)   75,000 61,841
Intercontinental Exchange, Inc., 1.85%, 9/15/32   20,000 15,819
Jefferies Financial Group, Inc., 5.88%, 7/21/28   25,000 25,841
Morgan Stanley,      
(SOFR + 1.99%), 2.19%, 4/28/26(j)   20,000 19,281
(SOFR + 1.67%), 4.68%, 7/17/26(j)   164,000 162,893
    Par(a) Value
Institutional Financial Services (Continued)
Morgan Stanley,      
3.95%, 4/23/27   $12,000 $11,678
(SOFR + 0.88%), 1.59%, 5/04/27(j)   35,000 32,413
(SOFR + 0.86%), 1.51%, 7/20/27(j)   5,000 4,589
(3M CME Term SOFR + 1.40%), 3.77%, 1/24/29(j)   1,000 956
(SOFR + 1.73%), 5.12%, 2/01/29(j)   1,000 1,004
(SOFR + 1.59%), 5.16%, 4/20/29(j)   11,000 11,072
(SOFR + 1.63%), 5.45%, 7/20/29(j)   16,000 16,284
(3M CME Term SOFR + 1.89%), 4.43%, 1/23/30(j)   53,000 51,653
(SOFR + 3.12%), 3.62%, 4/01/31(j)   146,000 134,708
(SOFR + 1.03%), 1.79%, 2/13/32(j)   350,000 280,980
(SOFR + 1.18%), 2.24%, 7/21/32(j)   40,000 32,796
(SOFR + 1.87%), 5.25%, 4/21/34(j)   160,000 160,088
      1,948,552
Insurance – 0.7%
Aflac, Inc., 1.13%, 3/15/26   30,000 27,734
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 6.75%, 10/15/27(b)   11,000 10,740
Aon Corp., 2.80%, 5/15/30   20,000 17,758
Arthur J Gallagher & Co.,      
2.40%, 11/09/31   20,000 16,445
5.50%, 3/02/33   125,000 126,965
6.50%, 2/15/34   75,000 82,274
Assurant, Inc., 4.90%, 3/27/28   65,000 63,964
Assured Guaranty U.S. Holdings, Inc., 6.13%, 9/15/28   70,000 73,403
AssuredPartners, Inc., 5.63%, 1/15/29(b)   3,000 2,833
Brown & Brown, Inc.,      
4.50%, 3/15/29   90,000 88,505
4.20%, 3/17/32   50,000 46,219
Corebridge Financial, Inc., 3.50%, 4/04/25   10,000 9,784
Enstar Group Ltd., 3.10%, 9/01/31   197,000 164,321
 
191

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Insurance (Continued)
Marsh & McLennan Cos., Inc.,      
2.38%, 12/15/31   $410,000 $347,216
5.75%, 11/01/32   100,000 106,832
5.40%, 9/15/33   46,000 48,152
Principal Financial Group, Inc., 5.38%, 3/15/33   20,000 20,558
Progressive (The) Corp.,      
2.50%, 3/15/27   90,000 84,799
3.20%, 3/26/30   60,000 55,708
Unum Group, 4.00%, 6/15/29   135,000 128,191
      1,522,401
Internet Media & Services – 0.4%
Booking Holdings, Inc., 4.63%, 4/13/30   23,000 23,063
GrubHub Holdings, Inc., 5.50%, 7/01/27(b)   24,000 20,940
Meta Platforms, Inc.,      
3.50%, 8/15/27   130,000 126,129
4.60%, 5/15/28   50,000 50,513
4.80%, 5/15/30   40,000 40,735
3.85%, 8/15/32   235,000 222,211
4.95%, 5/15/33   163,000 166,775
VeriSign, Inc.,      
4.75%, 7/15/27   100,000 99,220
2.70%, 6/15/31   150,000 127,641
      877,227
Leisure Facilities & Services – 0.9%
Affinity Interactive, 6.88%, 12/15/27(b)   9,000 8,145
Boyne USA, Inc., 4.75%, 5/15/29(b)   10,000 9,160
Carnival Corp.,      
7.63%, 3/01/26(b)   49,000 49,773
5.75%, 3/01/27(b)   66,000 65,023
6.00%, 5/01/29(b)   23,000 22,277
10.50%, 6/01/30(b)   86,000 94,427
Carnival Holdings Bermuda Ltd., 10.38%, 5/01/28(b)   63,000 68,920
Carrols Restaurant Group, Inc., 5.88%, 7/01/29(b)   632,000 647,171
Choice Hotels International, Inc., 3.70%, 12/01/29   5,000 4,448
Churchill Downs, Inc., 6.75%, 5/01/31(b)   53,000 53,603
Darden Restaurants, Inc., 6.30%, 10/10/33   30,000 31,940
    Par(a) Value
Leisure Facilities & Services (Continued)
Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow,      
5.00%, 6/01/29(b)   $90,000 $83,162
4.88%, 7/01/31(b)   88,000 78,038
6.63%, 1/15/32(b)   10,000 10,021
Hyatt Hotels Corp., 5.75%, 1/30/27   30,000 30,685
Marriott International, Inc.,      
5.75%, 5/01/25   9,000 9,066
5.00%, 10/15/27   35,000 35,337
5.55%, 10/15/28   30,000 30,905
2.85%, 4/15/31   100,000 86,829
McDonald's Corp., 4.60%, 9/09/32   284,000 284,983
Midwest Gaming Borrower LLC/Midwest Gaming Finance Corp., 4.88%, 5/01/29(b)   10,000 9,226
NCL Corp. Ltd.,      
5.88%, 3/15/26(b)   71,000 69,230
8.13%, 1/15/29(b)   15,000 15,745
7.75%, 2/15/29(b)   48,000 48,465
Raising Cane's Restaurants LLC, 9.38%, 5/01/29(b)   15,000 16,073
Resorts World Las Vegas LLC/RWLV Capital, Inc., 8.45%, 7/27/30(b)   65,000 67,679
Royal Caribbean Cruises Ltd.,      
5.50%, 8/31/26(b)   36,000 35,635
11.63%, 8/15/27(b)   60,000 65,265
Station Casinos LLC, 4.63%, 12/01/31(b)   15,000 13,463
Travel + Leisure Co.,      
6.63%, 7/31/26(b)   35,000 35,348
6.00%, 4/01/27   34,000 34,008
4.50%, 12/01/29(b)   35,000 31,934
4.63%, 3/01/30(b)   18,000 16,206
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp., 7.13%, 2/15/31(b)   12,000 12,375
      2,174,565
Leisure Products – 0.0%(c)
Thor Industries, Inc., 4.00%, 10/15/29(b)   24,000 21,241
 
192

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Machinery – 0.2%
Eaton Corp., 4.15%, 3/15/33   $20,000 $19,291
IDEX Corp., 2.63%, 6/15/31   60,000 51,325
Ingersoll Rand, Inc.,      
5.40%, 8/14/28   90,000 92,314
5.70%, 8/14/33   60,000 62,663
Oshkosh Corp., 3.10%, 3/01/30   103,000 92,620
Pentair Finance S.a.r.l., 4.50%, 7/01/29   60,000 58,167
Titan International, Inc., 7.00%, 4/30/28   51,000 50,845
      427,225
Medical Equipment & Devices – 0.1%
Agilent Technologies, Inc., 2.30%, 3/12/31   30,000 25,687
Bausch & Lomb Escrow Corp., 8.38%, 10/01/28(b)   70,000 72,630
Edwards Lifesciences Corp., 4.30%, 6/15/28   70,000 69,008
Embecta Corp., 5.00%, 2/15/30(b)   18,000 14,729
Zimmer Biomet Holdings, Inc., 5.35%, 12/01/28   30,000 30,888
      212,942
Metals & Mining – 0.0%(c)
Arsenal AIC Parent LLC, 8.00%, 10/01/30(b)   15,000 15,646
Freeport-McMoRan, Inc., 4.13%, 3/01/28   35,000 33,663
SunCoke Energy, Inc., 4.88%, 6/30/29(b)   20,000 18,062
      67,371
Oil & Gas Producers – 2.4%
Callon Petroleum Co., 8.00%, 8/01/28(b)   955,000 987,729
Cheniere Corpus Christi Holdings LLC, 5.13%, 6/30/27   41,000 41,200
Cheniere Energy, Inc., 4.63%, 10/15/28   110,000 106,427
Chevron USA, Inc., 3.25%, 10/15/29   20,000 18,977
Civitas Resources, Inc.,      
5.00%, 10/15/26(b)   32,000 31,166
8.38%, 7/01/28(b)   109,000 114,637
8.75%, 7/01/31(b)   32,000 34,019
CNX Resources Corp.,      
7.25%, 3/14/27(b)   12,000 12,035
    Par(a) Value
Oil & Gas Producers (Continued)
CNX Resources Corp.,      
6.00%, 1/15/29(b)   $40,000 $38,650
7.38%, 1/15/31(b)   26,000 26,405
Columbia Pipeline Group, Inc., 4.50%, 6/01/25   15,000 14,836
Comstock Resources, Inc., 6.75%, 3/01/29(b)   8,000 7,346
ConocoPhillips Co., 5.05%, 9/15/33   20,000 20,342
CQP Holdco L.P./BIP-V Chinook Holdco LLC, 5.50%, 6/15/31(b)   60,000 55,977
Crescent Energy Finance LLC,      
7.25%, 5/01/26(b)   36,000 35,865
9.25%, 2/15/28(b)   30,000 31,144
CVR Energy, Inc., 8.50%, 1/15/29(b)   41,000 41,051
DCP Midstream Operating L.P., 3.25%, 2/15/32   5,000 4,340
Delek Logistics Partners L.P./Delek Logistics Finance Corp., 7.13%, 6/01/28(b)   22,000 20,962
Energy Transfer L.P.,      
4.05%, 3/15/25   30,000 29,598
2.90%, 5/15/25   40,000 38,829
5.75%, 2/15/33   10,000 10,241
6.55%, 12/01/33   25,000 26,957
EQT Corp., 3.90%, 10/01/27   45,000 43,016
FTAI Infra Escrow Holdings LLC, 10.50%, 6/01/27(b)   15,000 15,713
Global Partners L.P./GLP Finance Corp.,      
6.88%, 1/15/29   100,000 98,250
8.25%, 1/15/32(b)   25,000 25,644
Harvest Midstream I L.P., 7.50%, 9/01/28(b)   35,000 35,354
Hess Corp., 4.30%, 4/01/27   50,000 49,401
Hilcorp Energy I L.P./Hilcorp Finance Co.,      
6.25%, 11/01/28(b)   20,000 19,927
6.00%, 2/01/31(b)   63,000 60,483
6.25%, 4/15/32(b)   40,000 38,400
8.38%, 11/01/33(b)   20,000 21,495
Howard Midstream Energy Partners LLC, 8.88%, 7/15/28(b)   15,000 15,754
Kinder Morgan, Inc.,      
1.75%, 11/15/26   60,000 55,244
 
193

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Oil & Gas Producers (Continued)
Kinder Morgan, Inc.,      
7.75%, 1/15/32   $20,000 $22,879
5.20%, 6/01/33   10,000 9,921
Marathon Petroleum Corp., 4.70%, 5/01/25   50,000 49,653
MPLX L.P.,      
4.88%, 6/01/25   735,000 731,592
4.13%, 3/01/27   180,000 176,352
4.25%, 12/01/27   90,000 88,156
2.65%, 8/15/30   50,000 43,367
5.00%, 3/01/33   210,000 205,456
New Fortress Energy, Inc.,      
6.75%, 9/15/25(b)   115,000 113,626
6.50%, 9/30/26(b)   25,000 24,221
NGL Energy Operating LLC/NGL Energy Finance Corp.,      
8.13%, 2/15/29(b)(k)   15,000 15,075
8.13%, 2/15/29(b)   9,000 9,045
8.38%, 2/15/32(b)(k)   20,000 20,147
8.38%, 2/15/32(b)   29,000 29,214
Northern Oil & Gas, Inc.,      
8.13%, 3/01/28(b)   35,000 35,545
8.75%, 6/15/31(b)   42,000 43,897
ONEOK, Inc.,      
2.20%, 9/15/25   80,000 76,379
5.85%, 1/15/26   77,000 78,100
4.00%, 7/13/27   255,000 247,999
6.05%, 9/01/33   110,000 115,500
Ovintiv, Inc., 5.38%, 1/01/26   10,000 10,006
PBF Holding Co. LLC/PBF Finance Corp.,      
6.00%, 2/15/28   38,000 37,140
7.88%, 9/15/30(b)   19,000 19,681
Plains All American Pipeline L.P./PAA Finance Corp., 3.55%, 12/15/29   62,000 57,056
Sunoco L.P./Sunoco Finance Corp., 7.00%, 9/15/28(b)   30,000 30,664
Tallgrass Energy Partners L.P./Tallgrass Energy Finance Corp., 7.38%, 2/15/29(b)   20,000 19,950
Talos Production, Inc.,      
9.00%, 2/01/29(b)(k)   10,000 10,133
9.38%, 2/01/31(b)(k)   10,000 10,225
Targa Resources Corp.,      
5.20%, 7/01/27   160,000 160,696
6.15%, 3/01/29   130,000 135,862
    Par(a) Value
Oil & Gas Producers (Continued)
Targa Resources Partners L.P./Targa Resources Partners Finance Corp.,      
6.50%, 7/15/27   $17,000 $17,302
5.00%, 1/15/28   46,000 45,294
5.50%, 3/01/30   25,000 24,881
4.88%, 2/01/31   20,000 19,180
Transcontinental Gas Pipe Line Co. LLC,      
7.85%, 2/01/26   105,000 110,121
3.25%, 5/15/30   30,000 27,369
Venture Global Calcasieu Pass LLC, 6.25%, 1/15/30(b)   71,000 71,056
Venture Global LNG, Inc.,      
8.13%, 6/01/28(b)   60,000 60,641
9.50%, 2/01/29(b)   47,000 49,916
8.38%, 6/01/31(b)   35,000 35,344
9.88%, 2/01/32(b)   47,000 49,426
Williams (The) Cos., Inc., 5.15%, 3/15/34   30,000 30,076
      5,395,557
Oil, Gas Services & Equipment – 0.3%
CSI Compressco L.P./CSI Compressco Finance, Inc., 7.50%, 4/01/25(b)   421,000 421,000
Diamond Foreign Asset Co./Diamond Finance LLC, 8.50%, 10/01/30(b)   46,000 47,282
Helix Energy Solutions Group, Inc., 9.75%, 3/01/29(b)   19,000 19,936
Kodiak Gas Services LLC, 7.25%, 2/15/29(b)   10,000 10,120
Noble Finance II LLC, 8.00%, 4/15/30(b)   45,000 46,730
Transocean, Inc.,      
7.50%, 1/15/26(b)   10,000 9,900
8.00%, 2/01/27(b)   9,000 8,929
8.75%, 2/15/30(b)   63,650 65,962
USA Compression Partners L.P./USA Compression Finance Corp.,      
6.88%, 4/01/26   25,000 24,853
6.88%, 9/01/27   43,000 42,970
Valaris Ltd., 8.38%, 4/30/30(b)   60,000 61,515
      759,197
Publishing & Broadcasting – 0.1%
Belo Corp., 7.25%, 9/15/27   14,000 14,173
Nexstar Media, Inc.,      
5.63%, 7/15/27(b)   100,000 97,390
 
194

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Publishing & Broadcasting (Continued)
Nexstar Media, Inc.,      
4.75%, 11/01/28(b)   $33,000 $30,227
Sinclair Television Group, Inc., 4.13%, 12/01/30(b)   22,000 16,995
Townsquare Media, Inc., 6.88%, 2/01/26(b)   46,000 45,026
      203,811
Real Estate Investment Trusts – 0.7%
American Tower Corp., 5.80%, 11/15/28   55,000 57,029
Brookfield Property REIT, Inc./BPR Cumulus LLC/BPR Nimbus LLC/GGSI Sellco LL, 5.75%, 5/15/26(b)   70,000 67,577
Crown Castle, Inc.,      
3.65%, 9/01/27   80,000 76,166
3.80%, 2/15/28   17,000 16,165
5.60%, 6/01/29   10,000 10,189
EPR Properties, 4.75%, 12/15/26   20,000 19,293
Equinix, Inc., 1.45%, 5/15/26   70,000 64,929
Essential Properties L.P., 2.95%, 7/15/31   30,000 23,845
Iron Mountain Information Management Services, Inc., 5.00%, 7/15/32(b)   60,000 54,112
Iron Mountain, Inc.,      
5.00%, 7/15/28(b)   75,000 71,751
5.25%, 7/15/30(b)   40,000 37,728
5.63%, 7/15/32(b)   50,000 46,956
Omega Healthcare Investors, Inc.,      
4.50%, 4/01/27   80,000 77,817
4.75%, 1/15/28   41,000 39,828
Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co-Issuer,      
5.88%, 10/01/28(b)   17,000 16,532
4.88%, 5/15/29(b)   2,000 1,832
Prologis L.P.,      
4.88%, 6/15/28   20,000 20,271
4.75%, 6/15/33   40,000 39,802
Public Storage Operating Co.,      
1.95%, 11/09/28   125,000 111,552
3.39%, 5/01/29   25,000 23,725
2.25%, 11/09/31   80,000 67,293
5.10%, 8/01/33   25,000 25,477
    Par(a) Value
Real Estate Investment Trusts (Continued)
Realty Income Corp.,      
4.75%, 2/15/29   $90,000 $89,778
5.13%, 2/15/34   120,000 119,147
RLJ Lodging Trust L.P., 4.00%, 9/15/29(b)   40,000 35,401
Service Properties Trust, 7.50%, 9/15/25   46,000 46,693
Simon Property Group L.P.,      
3.50%, 9/01/25   65,000 63,723
1.38%, 1/15/27   10,000 9,155
5.50%, 3/08/33   40,000 41,354
Tanger Properties L.P., 2.75%, 9/01/31   60,000 49,221
Uniti Group L.P./Uniti Group Finance, Inc./CSL Capital LLC,      
10.50%, 2/15/28(b)   67,000 68,203
6.50%, 2/15/29(b)   48,000 33,859
VICI Properties L.P./VICI Note Co., Inc., 4.13%, 8/15/30(b)   50,000 45,503
Welltower OP LLC, 4.00%, 6/01/25   57,000 56,067
XHR L.P., 4.88%, 6/01/29(b)   15,000 13,835
      1,641,808
Real Estate Owners & Developers – 0.0%(c)
Five Point Operating Co. L.P./Five Point Capital Corp., 10.50%, 1/15/28(b)   15,398 15,706
Greystar Real Estate Partners LLC, 7.75%, 9/01/30(b)   10,000 10,511
Howard Hughes (The) Corp.,      
5.38%, 8/01/28(b)   46,000 44,069
4.13%, 2/01/29(b)   16,000 14,429
4.38%, 2/01/31(b)   26,000 22,506
      107,221
Real Estate Services – 0.0%(c)
Anywhere Real Estate Group LLC/Anywhere Co-Issuer Corp., 7.00%, 4/15/30(b)   32,000 28,920
Newmark Group, Inc., 7.50%, 1/12/29(b)   6,000 6,126
      35,046
Retail - Discretionary – 0.3%
Academy Ltd., 6.00%, 11/15/27(b)   23,000 22,724
AutoZone, Inc.,      
5.05%, 7/15/26   120,000 120,556
 
195

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Retail - Discretionary (Continued)
AutoZone, Inc.,      
4.50%, 2/01/28   $40,000 $39,634
Bath & Body Works, Inc., 5.25%, 2/01/28   25,000 24,469
Carvana Co., 12.00%, 12/01/28(b)(i)   56,000 49,748
Foot Locker, Inc., 4.00%, 10/01/29(b)   47,000 39,702
Gap (The), Inc., 3.63%, 10/01/29(b)   19,000 16,273
Genuine Parts Co., 1.75%, 2/01/25   90,000 86,967
LCM Investments Holdings II LLC, 8.25%, 8/01/31(b)   10,000 10,263
Lowe's Cos., Inc.,      
3.35%, 4/01/27   25,000 24,132
3.10%, 5/03/27   45,000 43,116
2.63%, 4/01/31   10,000 8,698
Macy's Retail Holdings LLC,      
5.88%, 4/01/29(b)   27,000 26,190
5.88%, 3/15/30(b)   37,000 35,085
6.13%, 3/15/32(b)   70,000 66,052
Nordstrom, Inc.,      
4.38%, 4/01/30   23,000 19,957
4.25%, 8/01/31   26,000 21,590
      655,156
Semiconductors – 0.5%
Analog Devices, Inc.,      
1.70%, 10/01/28   40,000 35,476
2.10%, 10/01/31   30,000 25,382
Broadcom Corp./Broadcom Cayman Finance Ltd., 3.88%, 1/15/27   220,000 214,299
Broadcom, Inc.,      
3.46%, 9/15/26   70,000 67,753
4.00%, 4/15/29(b)   145,000 139,574
4.15%, 4/15/32(b)   40,000 37,725
2.60%, 2/15/33(b)   270,000 221,790
3.42%, 4/15/33(b)   140,000 122,945
Intel Corp., 3.75%, 3/25/27   50,000 49,004
Marvell Technology, Inc., 5.95%, 9/15/33   40,000 42,352
Micron Technology, Inc., 5.30%, 1/15/31   80,000 80,833
Texas Instruments, Inc.,      
1.90%, 9/15/31   54,000 45,465
4.90%, 3/14/33   25,000 25,697
      1,108,295
Software – 0.4%
athenahealth Group, Inc., 6.50%, 2/15/30(b)   35,000 31,264
    Par(a) Value
Software (Continued)
Central Parent LLC/CDK Global II LLC/CDK Financing Co., Inc., 8.00%, 6/15/29(b)   $10,000 $10,263
Cloud Software Group, Inc.,      
6.50%, 3/31/29(b)   48,000 44,819
9.00%, 9/30/29(b)   47,000 44,483
Fortinet, Inc., 2.20%, 3/15/31   10,000 8,385
Intuit, Inc.,      
1.65%, 7/15/30   106,000 88,667
5.20%, 9/15/33   100,000 103,728
McAfee Corp., 7.38%, 2/15/30(b)   22,000 19,937
MicroStrategy, Inc., 6.13%, 6/15/28(b)   40,000 38,162
Oracle Corp.,      
1.65%, 3/25/26   180,000 168,221
4.65%, 5/06/30   25,000 24,740
2.88%, 3/25/31   220,000 193,585
RingCentral, Inc., 8.50%, 8/15/30(b)   15,000 15,469
Roper Technologies, Inc., 1.00%, 9/15/25   45,000 42,233
VMware LLC, 4.50%, 5/15/25   10,000 9,923
      843,879
Specialty Finance – 0.7%
Ally Financial, Inc., (SOFR + 2.82%), 6.85%, 1/03/30(j)   70,000 72,265
American Express Co.,      
3.95%, 8/01/25   70,000 68,950
4.20%, 11/06/25   50,000 49,524
4.05%, 5/03/29   43,000 42,424
(SOFR + 1.84%), 5.04%, 5/01/34(j)   180,000 180,089
Apollo Commercial Real Estate Finance, Inc., 4.63%, 6/15/29(b)   35,000 29,315
Bread Financial Holdings, Inc., 9.75%, 3/15/29(b)   30,000 29,964
Burford Capital Global Finance LLC,      
6.88%, 4/15/30(b)   5,000 4,844
9.25%, 7/01/31(b)   5,000 5,213
Capital One Financial Corp.,      
(SOFR + 1.37%), 4.17%, 5/09/25(j)   85,000 84,620
(SOFR + 2.64%), 6.31%, 6/08/29(j)   80,000 82,472
 
196

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Specialty Finance (Continued)
Capital One Financial Corp.,      
(SOFR + 2.60%), 5.25%, 7/26/30(j)   $7,000 $6,911
(SOFR + 2.26%), 6.05%, 2/01/35(j)   60,000 60,972
Credit Acceptance Corp.,      
6.63%, 3/15/26   2,000 2,000
9.25%, 12/15/28(b)   30,000 31,500
Discover Financial Services, 6.70%, 11/29/32   20,000 20,949
FirstCash, Inc.,      
4.63%, 9/01/28(b)   3,000 2,804
5.63%, 1/01/30(b)   27,000 25,734
Fortress Transportation and Infrastructure Investors LLC,      
9.75%, 8/01/27(b)   120,000 124,468
7.88%, 12/01/30(b)   20,000 21,096
Freedom Mortgage Corp.,      
12.00%, 10/01/28(b)   10,000 10,977
12.25%, 10/01/30(b)   20,000 22,296
Freedom Mortgage Holdings LLC, 9.25%, 2/01/29(b)(k)   5,000 5,063
Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp., 4.25%, 2/01/27(b)   38,000 35,172
LD Holdings Group LLC,      
6.50%, 11/01/25(b)   22,000 20,707
6.13%, 4/01/28(b)   36,000 29,364
Nationstar Mortgage Holdings, Inc.,      
5.00%, 2/01/26(b)   108,000 105,257
6.00%, 1/15/27(b)   25,000 24,513
5.50%, 8/15/28(b)   25,000 23,741
5.13%, 12/15/30(b)   80,000 71,905
7.13%, 2/01/32(b)   15,000 14,878
Navient Corp., 6.75%, 6/15/26   6,000 6,027
OneMain Finance Corp.,      
7.13%, 3/15/26   98,000 99,336
6.63%, 1/15/28   41,000 40,856
9.00%, 1/15/29   45,000 47,397
PennyMac Financial Services, Inc.,      
4.25%, 2/15/29(b)   10,000 9,065
7.88%, 12/15/29(b)   10,000 10,300
5.75%, 9/15/31(b)   26,000 24,081
Rithm Capital Corp., 6.25%, 10/15/25(b)   21,000 20,755
    Par(a) Value
Specialty Finance (Continued)
United Wholesale Mortgage LLC,      
5.50%, 11/15/25(b)   $48,000 $47,406
5.75%, 6/15/27(b)   42,000 41,213
5.50%, 4/15/29(b)   51,000 48,162
      1,704,585
Steel – 0.1%
Carpenter Technology Corp.,      
6.38%, 7/15/28   9,000 8,989
7.63%, 3/15/30   4,000 4,137
Cleveland-Cliffs, Inc., 6.75%, 4/15/30(b)   78,000 78,684
Nucor Corp., 3.13%, 4/01/32   50,000 44,673
Reliance Steel & Aluminum Co., 1.30%, 8/15/25   40,000 37,651
      174,134
Technology Hardware – 0.6%
Apple, Inc., 3.35%, 8/08/32   25,000 23,262
CDW LLC/CDW Finance Corp.,      
2.67%, 12/01/26   9,000 8,416
3.57%, 12/01/31   110,000 96,501
CommScope, Inc., 6.00%, 3/01/26(b)   52,000 45,041
Dell International LLC/EMC Corp., 5.85%, 7/15/25   80,000 80,842
Flex Ltd., 4.88%, 6/15/29   90,000 88,741
Imola Merger Corp., 4.75%, 5/15/29(b)   33,000 30,728
Jabil, Inc.,      
1.70%, 4/15/26   65,000 60,393
4.25%, 5/15/27   70,000 68,510
5.45%, 2/01/29   30,000 30,628
Motorola Solutions, Inc.,      
4.60%, 5/23/29   290,000 287,662
2.75%, 5/24/31   100,000 85,208
5.60%, 6/01/32   60,000 61,681
NCR Atleos Corp., 9.50%, 4/01/29(b)   30,000 32,178
Seagate HDD Cayman,      
8.25%, 12/15/29(b)   103,000 110,898
8.50%, 7/15/31(b)   3,000 3,259
9.63%, 12/01/32   96,000 110,288
Teledyne FLIR LLC, 2.50%, 8/01/30   40,000 34,477
 
197

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Technology Hardware (Continued)
Teledyne Technologies, Inc., 2.75%, 4/01/31   $30,000 $25,962
Western Digital Corp.,      
4.75%, 2/15/26   70,000 68,091
3.10%, 2/01/32   20,000 15,906
Xerox Holdings Corp., 5.00%, 8/15/25(b)   25,000 24,420
      1,393,092
Technology Services – 0.7%
ASGN, Inc., 4.63%, 5/15/28(b)   7,000 6,620
Broadridge Financial Solutions, Inc., 2.60%, 5/01/31   10,000 8,504
Conduent Business Services LLC/Conduent State & Local Solutions, Inc., 6.00%, 11/01/29(b)   26,000 23,804
FactSet Research Systems, Inc.,      
2.90%, 3/01/27   150,000 141,591
3.45%, 3/01/32   72,000 64,221
Fidelity National Information Services, Inc., 4.50%, 7/15/25   50,000 49,722
Fiserv, Inc.,      
5.38%, 8/21/28   30,000 30,759
5.60%, 3/02/33   150,000 155,489
GTCR W-2 Merger Sub LLC, 7.50%, 1/15/31(b)   25,000 25,971
International Business Machines Corp.,      
2.20%, 2/09/27   100,000 93,343
4.15%, 7/27/27   285,000 281,187
Kyndryl Holdings, Inc.,      
2.70%, 10/15/28   5,000 4,400
3.15%, 10/15/31   40,000 33,304
Mastercard, Inc.,      
3.30%, 3/26/27   130,000 126,124
1.90%, 3/15/31   22,000 18,765
Neptune Bidco U.S., Inc., 9.29%, 4/15/29(b)   29,000 27,701
S&P Global, Inc.,      
2.45%, 3/01/27   150,000 141,192
1.25%, 8/15/30   110,000 89,540
2.90%, 3/01/32   90,000 79,279
Sabre GLBL, Inc.,      
8.63%, 6/01/27(b)   26,000 24,310
11.25%, 12/15/27(b)   47,000 47,059
    Par(a) Value
Technology Services (Continued)
Verisk Analytics, Inc., 4.00%, 6/15/25   $83,000 $81,888
      1,554,773
Telecommunications – 0.5%
AT&T, Inc.,      
1.70%, 3/25/26   373,000 349,504
4.35%, 3/01/29   2,000 1,967
Consolidated Communications, Inc., 6.50%, 10/01/28(b)   57,000 49,020
Frontier Communications Holdings LLC,      
5.88%, 10/15/27(b)   10,000 9,618
6.75%, 5/01/29(b)   59,000 52,287
8.75%, 5/15/30(b)   10,000 10,244
8.63%, 3/15/31(b)   114,000 115,678
Hughes Satellite Systems Corp., 5.25%, 8/01/26   50,000 42,329
Intelsat Jackson Holdings S.A., 6.50%, 3/15/30(b)   48,000 45,341
Level 3 Financing, Inc., 10.50%, 5/15/30(b)   55,000 54,725
Sprint Capital Corp., 8.75%, 3/15/32   30,000 36,773
T-Mobile USA, Inc.,      
3.50%, 4/15/25   125,000 122,549
2.88%, 2/15/31   99,000 86,616
5.15%, 4/15/34   45,000 45,337
Verizon Communications, Inc., 3.00%, 3/22/27   100,000 95,088
Windstream Escrow LLC/Windstream Escrow Finance Corp., 7.75%, 8/15/28(b)   11,000 9,644
      1,126,720
Tobacco & Cannabis – 0.6%
Altria Group, Inc.,      
2.35%, 5/06/25   260,000 251,274
2.63%, 9/16/26   260,000 246,899
3.40%, 5/06/30   30,000 27,356
2.45%, 2/04/32   190,000 155,348
6.88%, 11/01/33   110,000 121,148
Philip Morris International, Inc.,      
3.38%, 8/15/29   15,000 14,041
5.63%, 11/17/29   274,000 285,959
2.10%, 5/01/30   60,000 51,635
5.75%, 11/17/32   25,000 26,166
5.38%, 2/15/33   80,000 81,648
5.63%, 9/07/33   90,000 93,298
 
198

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Tobacco & Cannabis (Continued)
Vector Group Ltd., 5.75%, 2/01/29(b)   $60,000 $55,333
      1,410,105
Transportation & Logistics – 0.3%
American Airlines, Inc.,      
7.25%, 2/15/28(b)   2,000 2,027
8.50%, 5/15/29(b)   25,000 26,500
American Airlines, Inc./AAdvantage Loyalty IP Ltd.,      
5.50%, 4/20/26(b)   15,000 14,835
5.75%, 4/20/29(b)   99,000 97,221
GN Bondco LLC, 9.50%, 10/15/31(b)   47,000 46,354
Hawaiian Brand Intellectual Property Ltd./HawaiianMiles Loyalty Ltd., 5.75%, 1/20/26(b)   28,286 26,614
Rand Parent LLC, 8.50%, 2/15/30(b)   23,000 22,771
Ryder System, Inc.,      
5.65%, 3/01/28   50,000 51,485
6.60%, 12/01/33   80,000 87,308
Spirit Loyalty Cayman Ltd./Spirit IP Cayman Ltd.,      
8.00%, 9/20/25(b)   29,920 19,523
8.00%, 9/20/25(b)   19,000 12,398
United Airlines, Inc.,      
4.38%, 4/15/26(b)   83,000 80,065
4.63%, 4/15/29(b)   150,000 138,755
United Parcel Service, Inc., 4.45%, 4/01/30   15,000 15,039
XPO, Inc., 7.13%, 2/01/32(b)   15,000 15,291
      656,186
Transportation Equipment – 0.0%(c)
JB Poindexter & Co., Inc., 8.75%, 12/15/31(b)   35,000 35,831
Wholesale - Consumer Staples – 0.0%(c)
United Natural Foods, Inc., 6.75%, 10/15/28(b)   5,000 4,200
Total Corporate Bonds
(Cost $43,641,304)
43,519,945
Foreign Issuer Bonds – 2.6%
Australia – 0.3%
BHP Billiton Finance USA Ltd.,      
4.75%, 2/28/28   270,000 272,332
    Par(a) Value
Australia (Continued)
BHP Billiton Finance USA Ltd.,      
4.90%, 2/28/33   $65,000 $65,842
FMG Resources August 2006 Pty. Ltd.,      
5.88%, 4/15/30(b)   30,000 29,628
6.13%, 4/15/32(b)   116,000 114,751
Mineral Resources Ltd.,      
8.13%, 5/01/27(b)   59,000 59,590
8.00%, 11/01/27(b)   8,000 8,181
9.25%, 10/01/28(b)   28,000 29,575
8.50%, 5/01/30(b)   60,000 61,729
Rio Tinto Finance USA Ltd., 7.13%, 7/15/28   8,000 8,814
      650,442
Austria – 0.0%(c)
Benteler International A.G., 10.50%, 5/15/28(b)   15,000 16,008
Bermuda – 0.0%(c)
RenaissanceRe Holdings Ltd., 5.75%, 6/05/33   81,000 82,167
Canada – 0.7%
1011778 B.C. ULC/New Red Finance, Inc.,      
4.38%, 1/15/28(b)   32,000 30,436
4.00%, 10/15/30(b)   116,000 103,680
Bank of Montreal,      
3.70%, 6/07/25   215,000 211,205
5.72%, 9/25/28   50,000 51,893
Bank of Nova Scotia (The),      
1.05%, 3/02/26   65,000 60,141
1.35%, 6/24/26   156,000 144,119
Baytex Energy Corp., 8.75%, 4/01/27(b)   75,000 78,047
Canadian Imperial Bank of Commerce, 3.95%, 8/04/25   50,000 49,323
Canadian National Railway Co., 3.85%, 8/05/32   60,000 56,586
Canadian Natural Resources Ltd., 2.05%, 7/15/25   80,000 76,524
Enbridge, Inc., 4.25%, 12/01/26   60,000 59,260
Fairfax Financial Holdings Ltd.,      
3.38%, 3/03/31   25,000 21,958
5.63%, 8/16/32   70,000 70,088
goeasy Ltd., 9.25%, 12/01/28(b)   18,000 19,120
 
199

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Canada (Continued)
MEG Energy Corp., 5.88%, 2/01/29(b)   $41,000 $40,006
Methanex Corp., 5.25%, 12/15/29   42,000 40,119
Royal Bank of Canada,      
1.20%, 4/27/26   70,000 64,785
2.05%, 1/21/27   100,000 93,233
5.20%, 8/01/28   40,000 40,752
Strathcona Resources Ltd., 6.88%, 8/01/26(b)   13,000 12,875
Taseko Mines Ltd., 7.00%, 2/15/26(b)   50,000 49,125
Toronto-Dominion Bank (The),      
3.77%, 6/06/25   62,000 61,079
0.75%, 1/06/26   100,000 92,832
4.69%, 9/15/27   40,000 39,933
Vermilion Energy, Inc., 6.88%, 5/01/30(b)   48,000 46,198
      1,613,317
France – 0.0%(c)
Calderys Financing LLC, 11.25%, 6/01/28(b)   4,000 4,252
Iliad Holding SASU,      
6.50%, 10/15/26(b)   20,000 19,605
7.00%, 10/15/28(b)   20,000 19,841
      43,698
Germany – 0.0%(c)
IHO Verwaltungs GmbH, 4.75%, 9/15/26(b)(i)   25,000 24,441
Hong Kong – 0.0%(c)
Melco Resorts Finance Ltd., 5.75%, 7/21/28(b)   45,000 41,927
Ireland – 0.1%
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 6.10%, 1/15/27   150,000 153,395
Cimpress PLC, 7.00%, 6/15/26   20,000 19,700
GGAM Finance Ltd., 8.00%, 2/15/27(b)   15,000 15,453
      188,548
Italy – 0.0%(c)
UniCredit S.p.A., (5Y USD Swap Rate + 4.91%), 7.30%, 4/02/34(b)(j)   25,000 25,858
    Par(a) Value
Japan – 0.5%
Honda Motor Co. Ltd., 2.53%, 3/10/27   $70,000 $65,991
Mitsubishi UFJ Financial Group, Inc.,      
(1Y US Treasury CMT + 1.70%), 4.79%, 7/18/25(j)   200,000 199,153
(1Y US Treasury CMT + 0.83%), 2.34%, 1/19/28(j)   275,000 255,206
Mizuho Financial Group, Inc., (1Y US Treasury CMT + 1.90%), 5.75%, 7/06/34(j)   200,000 206,994
Nomura Holdings, Inc., 1.85%, 7/16/25   200,000 190,188
Sumitomo Mitsui Financial Group, Inc., 1.40%, 9/17/26   200,000 182,974
      1,100,506
Jersey, C.I. – 0.0%(c)
Aston Martin Capital Holdings Ltd., 10.50%, 11/30/25(b)   50,000 50,501
Mexico – 0.0%(c)
Southern Copper Corp., 3.88%, 4/23/25   5,000 4,901
Netherlands – 0.1%
Sunrise FinCo I B.V., 4.88%, 7/15/31(b)   50,000 43,874
Ziggo Bond Co. B.V.,      
6.00%, 1/15/27(b)   30,000 29,433
5.13%, 2/28/30(b)   30,000 25,310
      98,617
Norway – 0.0%(c)
Seadrill Finance Ltd., 8.38%, 8/01/30(b)   50,000 52,024
Spain – 0.2%
Banco Santander S.A.,      
1.85%, 3/25/26   200,000 186,522
6.92%, 8/08/33   200,000 211,251
      397,773
Sweden – 0.0%(c)
Stena International S.A., 7.25%, 1/15/31(b)   25,000 25,015
 
200

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Switzerland – 0.0%(c)
Novartis Capital Corp., 2.20%, 8/14/30   $10,000 $8,804
VistaJet Malta Finance PLC/Vista Management Holding, Inc., 9.50%, 6/01/28(b)   20,000 16,947
      25,751
United Kingdom – 0.7%
BAT Capital Corp., 6.34%, 8/02/30   96,000 101,081
BAT International Finance PLC, 4.45%, 3/16/28   20,000 19,563
Diageo Capital PLC, 5.50%, 1/24/33   260,000 273,927
HSBC Holdings PLC,      
(SOFR + 1.43%), 3.00%, 3/10/26(j)   200,000 194,453
(SOFR + 4.25%), 8.11%, 11/03/33(j)   200,000 229,785
Lloyds Banking Group PLC, 4.58%, 12/10/25   200,000 196,745
Macquarie Airfinance Holdings Ltd., 8.13%, 3/30/29(b)   15,000 15,563
nVent Finance S.a.r.l., 5.65%, 5/15/33   100,000 102,638
Santander UK Group Holdings PLC, (SOFR + 0.79%), 1.09%, 3/15/25(j)   300,000 298,127
Virgin Media Secured Finance PLC, 5.50%, 5/15/29(b)   50,000 48,090
Virgin Media Vendor Financing Notes IV DAC, 5.00%, 7/15/28(b)   50,000 47,068
Vodafone Group PLC, (5Y US Treasury CMT + 3.07%), 5.13%, 6/04/81(j)   69,000 52,081
      1,579,121
Total Foreign Issuer Bonds
(Cost $6,030,462)
6,020,615
    
       
Mortgage-Backed Securities – 11.3%
Federal Home Loan Mortgage Corporation – 0.3%
Pool,      
3.00%, 3/01/30 - 8/01/50   $511,834 465,505
2.50%, 4/01/32 - 7/01/50   240,979 219,711
4.50%, 4/01/49   37,506 36,782
2.00%, 10/01/50   54,362 44,492
      766,490
    Par(a) Value
Federal Home Loan Mortgage Corporation Gold –
0.1%
Pool,
3.00%, 3/01/46 - 12/01/46
  $212,564 $190,476
Federal National Mortgage Association – 1.1%
Pool,      
2.50%, 10/01/35 - 12/01/51   549,947 472,122
3.50%, 8/01/45 - 1/01/49   79,750 74,052
4.00%, 9/01/48 - 3/01/51   542,235 515,596
3.00%, 11/01/48   17,047 15,188
4.50%, 1/01/49 - 2/01/50   354,211 346,110
2.00%, 2/01/51 - 11/01/51   753,448 613,811
5.00%, 2/01/53 - 4/01/53   333,061 329,058
5.50%, 2/01/53   187,476 190,337
      2,556,274
Government National Mortgage Association – 0.7%
Pool,      
2.00%, 2/01/54(k)   1,075,000 895,145
2.50%, 2/01/54(k)   200,000 172,902
3.00%, 2/01/54(k)   325,000 290,291
4.50%, 2/01/54(k)   25,000 24,339
5.00%, 2/01/54(k)   100,000 99,335
5.50%, 2/01/54(k)   100,000 100,640
      1,582,652
Government National Mortgage Association II – 0.6%
Pool,      
2.50%, 12/20/46 - 2/20/51   280,963 239,916
3.50%, 1/20/48 - 8/20/48   818,508 762,643
4.50%, 9/20/48 - 1/20/50   105,593 104,071
3.00%, 1/20/50 - 7/20/50   254,066 228,349
2.00%, 2/20/51   109,564 91,327
      1,426,306
Uniform Mortgage-Backed Securities – 1.3%
Pool,      
2.00%, 2/01/39 - 2/01/53(k)   600,000 501,966
2.50%, 2/01/39 - 2/01/53(k)   1,265,000 1,091,667
3.50%, 2/01/39 - 2/01/53(k)   575,000 524,576
4.00%, 2/01/39 - 2/01/53(k)   200,000 190,986
3.00%, 2/01/53(k)   25,000 21,879
6.00%, 2/01/54(k)   425,000 430,819
6.50%, 2/01/54(k)   100,000 102,366
      2,864,259
 
201

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Whole Loan – 7.2%
First Lien,
0.00%, 11/15/29(k)
  $12,405 $12,405
FNMA Connecticut Avenue Securities,      
Series 2018-C03, Class 1EB2, (30D Average SOFR + 0.96%, 0.85% Floor), 6.31%, 10/25/30(h)   195,120 195,096
Series 2018-R07, Class 1M2, (30D Average SOFR + 2.51%), 7.86%, 4/25/31(b)(h)   13,363 13,363
Series 2018-R07, Class 1M2C, (30D Average SOFR + 2.51%), 7.86%, 4/25/31(b)(h)   15,429 15,429
Series 2019-R01, Class 2M2, (30D Average SOFR + 2.56%), 7.91%, 7/25/31(b)(h)   40,962 41,129
Series 2019-R01, Class 2M2C, (30D Average SOFR + 2.56%), 7.91%, 7/25/31(b)(h)   72,154 72,254
Series 2020-R01, Class 1B1, (30D Average SOFR + 3.36%, 3.25% Floor), 8.71%, 1/25/40(b)(h)   100,870 103,644
Series 2020-R01, Class 1M2, (30D Average SOFR + 2.16%), 7.51%, 1/25/40(b)(h)   826,562 838,448
Series 2020-R02, Class 2M2, (30D Average SOFR + 2.11%), 7.46%, 1/25/40(b)(h)   794,264 803,199
Series 2020-SBT1, Class 1M2, (30D Average SOFR + 3.76%), 9.11%, 2/25/40(b)(h)   275,000 289,738
Series 2020-SBT1, Class 2M2, (30D Average SOFR + 3.76%), 9.11%, 2/25/40(b)(h)   245,000 258,052
Series 2021-R01, Class 1B1, (30D Average SOFR + 3.10%), 8.44%, 10/25/41(b)(h)   380,200 389,587
Series 2021-R01, Class 1M2, (30D Average SOFR + 1.55%), 6.89%, 10/25/41(b)(h)   190,000 191,070
Series 2021-R02, Class 2B1, (30D Average SOFR + 3.30%), 8.64%, 11/25/41(b)(h)   500,000 514,665
    Par(a) Value
Whole Loan (Continued)
FNMA Connecticut Avenue Securities,      
Series 2021-R02, Class 2M1, (30D Average SOFR + 0.90%), 6.24%, 11/25/41(b)(h)   $331,793 $331,906
Series 2021-R02, Class 2M2, (30D Average SOFR + 2.00%), 7.34%, 11/25/41(b)(h)   275,000 277,060
Series 2021-R03, Class 1B1, (30D Average SOFR + 2.75%, 2.75% Floor), 8.09%, 12/25/41(b)(h)   250,000 254,667
Series 2022-R01, Class 1B1, (30D Average SOFR + 3.15%), 8.49%, 12/25/41(b)(h)   550,000 563,397
Series 2022-R02, Class 2B1, (30D Average SOFR + 4.50%), 9.84%, 1/25/42(b)(h)   536,000 565,811
Series 2022-R02, Class 2M1, (30D Average SOFR + 1.20%), 6.54%, 1/25/42(b)(h)   117,648 117,747
Series 2022-R02, Class 2M2, (30D Average SOFR + 3.00%), 8.34%, 1/25/42(b)(h)   700,000 717,500
Series 2022-R03, Class 1B1, (30D Average SOFR + 6.25%), 11.59%, 3/25/42(b)(h)   250,000 278,261
Series 2022-R05, Class 2M2, (30D Average SOFR + 3.00%), 8.34%, 4/25/42(b)(h)   200,000 205,876
Series 2022-R07, Class 1M1, (30D Average SOFR + 2.95%), 8.29%, 6/25/42(b)(h)   415,474 428,302
Series 2022-R08, Class 1M1, (30D Average SOFR + 2.55%, 2.55% Floor), 7.89%, 7/25/42(b)(h)   180,595 185,800
Freddie Mac STACR Debt Notes,      
Series 2016-DNA4, Class M3, (30D Average SOFR + 3.91%), 9.26%, 3/25/29(h)   362,676 378,318
Series 2017-HQA3, Class M2, (30D Average SOFR + 2.46%), 7.81%, 4/25/30(h)   446,766 457,922
 
202

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a) Value
Whole Loan (Continued)
Freddie Mac STACR REMIC Trust,      
Series 2020-DNA5, Class M2, (30D Average SOFR + 2.80%), 8.14%, 10/25/50(b)(h)   $137,229 $139,202
Series 2021-DNA1, Class B1, (30D Average SOFR + 2.65%), 7.99%, 1/25/51(b)(h)   200,000 208,126
Series 2021-DNA2, Class B1, (30D Average SOFR + 3.40%), 8.74%, 8/25/33(b)(h)   200,000 217,549
Series 2021-DNA3, Class B1, (30D Average SOFR + 3.50%), 8.84%, 10/25/33(b)(h)   250,000 274,533
Series 2021-DNA3, Class M2, (30D Average SOFR + 2.10%), 7.44%, 10/25/33(b)(h)   30,000 30,356
Series 2021-DNA5, Class B1, (30D Average SOFR + 3.05%), 8.39%, 1/25/34(b)(h)   150,000 158,057
Series 2021-DNA5, Class M2, (30D Average SOFR + 1.65%), 6.99%, 1/25/34(b)(h)   552,081 554,322
Series 2021-DNA6, Class B1, (30D Average SOFR + 3.40%), 8.74%, 10/25/41(b)(h)   400,000 411,242
Series 2021-DNA6, Class M1, (30D Average SOFR + 0.80%), 6.14%, 10/25/41(b)(h)   122,057 122,130
Series 2021-DNA7, Class B1, (30D Average SOFR + 3.65%), 8.99%, 11/25/41(b)(h)   510,000 527,834
Series 2021-DNA7, Class M1, (30D Average SOFR + 0.85%), 6.19%, 11/25/41(b)(h)   415,532 415,275
Series 2021-HQA1, Class B1, (30D Average SOFR + 3.00%), 8.34%, 8/25/33(b)(h)   379,000 402,204
Series 2021-HQA3, Class B1, (30D Average SOFR + 3.35%), 8.69%, 9/25/41(b)(h)   150,000 153,636
Series 2021-HQA3, Class M2, (30D Average SOFR + 2.10%), 7.44%, 9/25/41(b)(h)   355,000 356,543
    Par(a) Value
Whole Loan (Continued)
Freddie Mac STACR REMIC Trust,      
Series 2021-HQA4, Class B1, (30D Average SOFR + 3.75%), 9.09%, 12/25/41(b)(h)   $750,000 $773,400
Series 2022-DNA2, Class M2, (30D Average SOFR + 3.75%), 9.09%, 2/25/42(b)(h)   300,000 312,179
Series 2022-DNA3, Class M1A, (30D Average SOFR + 2.00%), 7.34%, 4/25/42(b)(h)   639,125 647,481
Series 2022-DNA5, Class M1A, (30D Average SOFR + 2.95%), 8.29%, 6/25/42(b)(h)   686,538 706,276
Series 2022-DNA6, Class M1A, (30D Average SOFR + 2.15%), 7.49%, 9/25/42(b)(h)   336,354 340,350
Series 2022-DNA7, Class M2, (30D Average SOFR + 7.00%), 12.34%, 3/25/52(b)(h)   250,000 285,759
Series 2022-HQA1, Class M1A, (30D Average SOFR + 2.10%), 7.44%, 3/25/42(b)(h)   459,281 464,497
Series 2022-HQA1, Class M2, (30D Average SOFR + 5.25%), 10.59%, 3/25/42(b)(h)   282,000 303,599
Series 2022-HQA2, Class M1A, (30D Average SOFR + 2.65%), 7.99%, 7/25/42(b)(h)   268,533 275,740
Freddie Mac STACR Trust,
Series 2019-DNA4, Class M2, (30D Average SOFR + 2.06%), 7.41%, 10/25/49(b)(h)
  2,080 2,081
      16,583,017
Total Mortgage-Backed Securities
(Cost $26,169,107)
25,969,474
    
    Number
of Shares
 
Preferred Stocks – 2.0%
Specialty Finance – 2.0%
AGNC Investment Corp., 6.50%(h)   3,228 78,408
AGNC Investment Corp., 6.13%(h)   21,599 498,721
 
203

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Number
of Shares
Value
Specialty Finance (Continued)
Annaly Capital Management, Inc., 6.75%(h)   16,561 $413,694
Arbor Realty Trust, Inc., 6.25%(h)   39,458 729,973
Granite Point Mortgage Trust, Inc., 7.00%(h)   23,230 412,333
MFA Financial, Inc., 6.50%(h)   41,438 880,557
New York Mortgage Trust, Inc., 7.88%(h)   2,103 48,495
New York Mortgage Trust, Inc., 6.88%(h)   21,682 421,281
Redwood Trust, Inc., 10.00%(h)   7,133 172,619
Rithm Capital Corp., 7.13%(h)   2,335 55,456
Rithm Capital Corp., 6.38%(h)   43,302 948,747
Total Preferred Stocks
(Cost $5,140,375)
4,660,284
Rights – 0.1%
Biotechnology & Pharmaceuticals – 0.1%
Albireo Pharma CVR(e)*   21,904 51,365
Amryt Pharma CVR(e)*   130,430 3,380
Amryt Pharma CVR (London Exchange)(e)*   130,430 26,086
CinCor Pharma CVR(e)*   24,888 83,265
Concert Pharmaceuticals, Inc. CVR(e)*   97,290 39,237
      203,333
Forestry, Paper & Wood Products – 0.0%(c)
Resolute Forest CVR(e)*   44,100 68,320
Medical Equipment & Devices – 0.0%(c)
Abiomed, Inc. CVR(e)*   8,954 15,669
Total Rights
(Cost $—)
287,322
Investment Companies – 0.2%
ProShares Short 20+ Year Treasury ETF   16,963 387,265
Total Investment Companies
(Cost $339,055)
387,265
    
    Par(a)/Number
of Shares
Value
Short-Term Investments – 8.8%
Convertible Bonds – 4.7%
8x8, Inc., 0.50%, 2/01/24(d)   $1,045,000 $1,044,845
Alteryx, Inc., 0.50%, 8/01/24   159,000 155,423
Herbalife Ltd., 2.63%, 3/15/24   1,149,000 1,141,782
Jazz Investments I Ltd., 1.50%, 8/15/24(d)   853,000 832,528
Kaman Corp., 3.25%, 5/01/24(d)   705,000 698,020
Liberty Latin America Ltd., 2.00%, 7/15/24   327,000 317,190
MFA Financial, Inc., 6.25%, 6/15/24(d)   2,354,000 2,353,993
NextEra Energy Partners L.P., 0.00%, 6/15/24(b)(g)   665,000 646,380
PennyMac Corp., 5.50%, 11/01/24(d)   1,900,000 1,847,750
Turning Point Brands, Inc., 2.50%, 7/15/24   524,000 513,844
Uniti Fiber Holdings, Inc., 4.00%, 6/15/24(b)   1,023,000 1,005,170
Viavi Solutions, Inc., 1.00%, 3/01/24   296,000 293,774
      10,850,699
Corporate Bonds – 0.3%
Aetna, Inc., 3.50%, 11/15/24   40,000 39,426
American Tower Corp., 2.95%, 1/15/25   105,000 102,613
Black Hills Corp., 1.04%, 8/23/24   10,000 9,742
Blackstone Private Credit Fund, 2.70%, 1/15/25   60,000 58,236
Boeing (The) Co., 1.43%, 2/04/24   10,000 9,996
CDW LLC/CDW Finance Corp., 5.50%, 12/01/24   40,000 39,805
Charles Schwab (The) Corp., 0.75%, 3/18/24   30,000 29,820
Eversource Energy,      
4.20%, 6/27/24   85,000 84,482
2.90%, 10/01/24   50,000 49,098
MPLX L.P., 4.88%, 12/01/24   12,000 11,953
Omega Healthcare Investors, Inc., 4.50%, 1/15/25   50,000 49,461
ONEOK, Inc., 2.75%, 9/01/24   50,000 49,150
VMware LLC, 1.00%, 8/15/24   65,000 63,388
 
204

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Par(a)/Number
of Shares
Value
Corporate Bonds (Continued)
Welltower OP LLC, 3.63%, 3/15/24   $50,000 $49,874
Williams (The) Cos., Inc., 4.30%, 3/04/24   75,000 74,920
      721,964
Foreign Issuer Bonds – 0.1%
BAT Capital Corp., 3.22%, 8/15/24   57,000 56,262
Brookfield Corp., 4.00%, 1/15/25   50,000 49,325
Canadian Natural Resources Ltd., 3.80%, 4/15/24   150,000 149,354
      254,941
Money Market Fund – 2.9%
Northern Institutional Funds - Treasury Portfolio (Premier), 5.17%(l)   6,563,927 6,563,927
Mortgage-Backed Securities – 0.2%
FNMA Connecticut Avenue Securities, Series 2014-C03, Class 1M2, (30D Average SOFR + 3.11%, 3.00% Floor), 8.46%, 7/25/24(h)   489,989 494,889
U.S. Treasury Bills – 0.6%
U.S. Treasury Bills,      
5.13%, 2/20/24(m)   52,000 51,855
4.98%, 3/19/24(m)   1,100,000 1,092,426
5.12%, 4/09/24(m)   100,000 99,015
4.98%, 4/18/24(m)   100,000 98,887
      1,342,183
Total Short-Term Investments
(Cost $20,272,747)
20,228,603
    
Number of
Contracts
Notional
Amount
 
Purchased Options – 0.0%(c)
Call Options - Over the Counter – 0.0%(c)
Japanese Yen vs. U.S. Dollar, Strike Price $146.00, Expires 5/17/24, Counterparty: Morgan Stanley 1 76,100 1,230
Number of
Contracts
Notional
Amount
Value
Put Options - Exchange Traded – 0.0%(c)
Hawaiian Holdings, Inc.,      
Strike Price $12.00, Expires 4/19/24 128 $182,400 $6,400
Strike Price $11.00, Expires 4/19/24 128 182,400 2,560
      8,960
Put Options - Over the Counter – 0.0%(c)
U.S. Dollar vs. Euro, Strike Price $1.07, Expires 5/24/24, Counterparty: Bank of America 1 139,676 1,337
Total Purchased Options
(Premiums Paid $23,926)
11,527
Total Long Positions – 100.4%
(Cost $233,501,643)
230,814,408
    
    Number
of Shares
Value
Short Positions – (9.8)%(n)
Common Stocks – (9.8)%
Asset Management – (0.3)%
Apollo Global Management, Inc.   (1,793) (180,017)
WisdomTree, Inc.   (64,509) (436,726)
      (616,743)
Banking – (0.1)%
New York Community Bancorp, Inc.   (19,101) (123,583)
Biotechnology & Pharmaceuticals – (0.7)%
Bridgebio Pharma, Inc.   (3,323) (113,946)
Coherus Biosciences, Inc.   (9,715) (20,887)
Collegium Pharmaceutical, Inc.   (24,244) (799,082)
Halozyme Therapeutics, Inc.   (2,982) (100,941)
Immunocore Holdings PLC ADR (United Kingdom)   (657) (47,494)
Jazz Pharmaceuticals PLC   (95) (11,658)
Mirum Pharmaceuticals, Inc.   (13,799) (365,122)
Revance Therapeutics, Inc.   (8,726) (43,892)
      (1,503,022)
Cable & Satellite – (0.0)%(c)
Cable One, Inc.   (63) (34,583)
E-Commerce Discretionary – (0.0)%(c)
Wayfair, Inc., Class A   (2,085) (104,771)
 
205

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Number
of Shares
Value
Electric Utilities – (0.4)%
CenterPoint Energy, Inc.   (2,943) $(82,227)
Duke Energy Corp.   (1,447) (138,666)
NRG Energy, Inc.   (10,116) (536,553)
PG&E Corp.   (14,009) (236,332)
      (993,778)
Electrical Equipment – (0.0)%(c)
Itron, Inc.   (1,374) (99,120)
Mesa Laboratories, Inc.   (58) (5,314)
      (104,434)
Entertainment Content – (0.1)%
Sphere Entertainment Co.   (7,661) (271,046)
Household Products – (0.0)%(c)
Beauty Health (The) Co.   (4,250) (12,453)
Industrial Intermediate Products – (0.2)%
Chart Industries, Inc.   (3,840) (448,205)
Xometry, Inc., Class A   (2,200) (70,796)
      (519,001)
Industrial Support Services – (0.3)%
WillScot Mobile Mini Holdings Corp.   (15,581) (736,981)
Internet Media & Services – (0.1)%
Airbnb, Inc., Class A   (377) (54,341)
Snap, Inc., Class A   (1,592) (25,297)
TripAdvisor, Inc.   (2,628) (56,765)
Ziff Davis, Inc.   (1,748) (117,815)
      (254,218)
Leisure Facilities & Services – (0.4)%
Cheesecake Factory (The), Inc.   (3,546) (121,876)
Live Nation Entertainment, Inc.   (3,369) (299,336)
Marcus (The) Corp.   (26,038) (353,596)
Marriott Vacations Worldwide Corp.   (1,331) (111,657)
      (886,465)
Medical Equipment & Devices – (0.5)%
CONMED Corp.   (2,228) (212,997)
Enovis Corp.   (5,057) (296,846)
Haemonetics Corp.   (849) (64,914)
Integer Holdings Corp.   (4,708) (477,015)
      (1,051,772)
Metals & Mining – (0.1)%
Equinox Gold Corp. (Canada)   (60,955) (268,202)
MP Materials Corp.   (1,498) (23,683)
      (291,885)
    Number
of Shares
Value
Oil & Gas Producers – (3.3)%
Callon Petroleum Co.   (4,489) $(144,187)
Chevron Corp.   (20,113) (2,965,259)
Exxon Mobil Corp.   (43,564) (4,478,815)
      (7,588,261)
Oil, Gas Services & Equipment – (0.2)%
Helix Energy Solutions Group, Inc.   (61,479) (577,903)
Publishing & Broadcasting – (0.3)%
Liberty Media Corp., Class A   (21,971) (667,699)
Real Estate Investment Trusts – (0.3)%
Pebblebrook Hotel Trust   (27,375) (416,647)
Summit Hotel Properties, Inc.   (33,264) (215,551)
      (632,198)
Real Estate Services – (0.0)%(c)
Anywhere Real Estate, Inc.   (4,356) (31,015)
Renewable Energy – (0.2)%
Sunnova Energy International, Inc.   (35,114) (369,399)
Software – (1.1)%
Bentley Systems, Inc., Class B   (3,200) (161,280)
BILL Holdings, Inc.   (291) (22,713)
Ceridian HCM Holding, Inc.   (1,776) (123,467)
Envestnet, Inc.   (5,851) (298,986)
Evolent Health, Inc., Class A   (7,313) (215,075)
Jamf Holding Corp.   (3,016) (55,917)
MicroStrategy, Inc., Class A   (199) (99,741)
Mitek Systems, Inc.   (14,969) (188,609)
Q2 Holdings, Inc.   (1,149) (48,890)
Synopsys, Inc.   (2,079) (1,108,835)
Verint Systems, Inc.   (3,855) (114,455)
      (2,437,968)
Specialty Finance – (0.2)%
EZCORP, Inc., Class A   (26,720) (229,792)
SoFi Technologies, Inc.   (24,871) (194,740)
      (424,532)
Technology Hardware – (0.4)%
Lumentum Holdings, Inc.   (2,909) (159,821)
NCR Voyix Corp.   (18,292) (268,892)
Western Digital Corp.   (6,888) (394,338)
      (823,051)
 
206

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
    Number
of Shares
Value
Technology Services – (0.1)%
Block, Inc.   (400) $(26,004)
CSG Systems International, Inc.   (2,913) (146,553)
I3 Verticals, Inc., Class A   (1,704) (31,933)
Perficient, Inc.   (1,418) (96,608)
      (301,098)
Transportation & Logistics – (0.3)%
Air Transport Services Group, Inc.   (17,138) (265,468)
American Airlines Group, Inc.   (24,726) (351,851)
CryoPort, Inc.   (1,138) (16,512)
      (633,831)
Transportation Equipment – (0.2)%
Greenbrier (The) Cos., Inc.   (11,945) (543,020)
Total Common Stocks
(Proceeds $22,600,855)
(22,534,710)
Rights – 0.0%(c)
Biotechnology & Pharmaceuticals — 0.0%(c)
Ligand Pharmaceuticals, Inc. CVR (Switzerland Exchange)(e)   (52)
Ligand Pharmaceuticals, Inc. CVR(e)   (52)
Total Rights
(Proceeds $—)
Total Short Positions – (9.8)%
(Proceeds $22,600,855)
(22,534,710)
Other Assets less Liabilities – 9.4%(o) 21,628,614
NET ASSETS – 100.0% $229,908,312
Percentages shown are based on Net Assets.
All securities are United States companies, unless noted otherwise in parentheses.
(a) Par value is in USD unless otherwise indicated.
(b) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(c) Amount rounds to less than 0.05%.
(d) All or a portion of the security was held as collateral for open futures, options, securities sold short and/or swap agreements.
(e) Investment is valued using significant unobservable inputs (Level 3).
(f) Security represents underlying investment on open options contracts.
(g) Zero coupon bond.
(h) Variable or floating rate security. Rate as of January 31, 2024 is disclosed.
(i) Distributions from this security are made via payments in-kind (PIK) unless otherwise noted in the description.
207

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
(j) Variable rate security. Security issued at a fixed coupon rate, which converts to a variable rate at a future date. Rate as of January 31, 2024 is disclosed.
(k) When-Issued Security. Coupon rate was not yet in effect at January 31, 2024.
(l) 7-day current yield as of January 31, 2024 is disclosed.
(m) Discount rate at the time of purchase.
(n) Securities sold short are not owned by the Fund.
(o) Includes appreciation/(depreciation) on forward foreign currency exchange, futures and swap contracts.
* Non-Income Producing Security
    
Abbreviations:
    
1Y 1 Year
3M 3 Month
5Y 5 Year
30D 30 Day
ADR American Depositary Receipt
AUD Australian Dollar
BDC Business Development Company
CAD Canadian Dollar
CDX Credit Default Swap Index
CME Chicago Mercantile Exchange
CMT Constant Maturity
CVR Contingent Value Rights
ETF Exchange-Traded Fund
EUR Euro
FNMA Federal National Mortgage Association
Freddie Mac Federal Home Loan Mortgage Corporation
GBP British Pound
L.P. Limited Partnership
LLC Limited Liability Company
OAT Obligations Assimilables du Trésor
PLC Public Limited Company
REIT Real Estate Investment Trust
REMIC Real Estate Mortgage Investment Conduit
S&P Standards & Poor's
SASU Société par Actions Simplifiée Unipersonnelle
SOFR United States Secured Overnight Financing Rate
STACR Structured Agency Credit Risk
USD United States Dollar
Concentration by Currency (%)(a)  
U.S. Dollar 78.9
All other currencies less than 5% 21.1
Total 100.0
(a) Percentages shown are based on Net Assets.  
Country Diversification (%)(a)  
United States 73.4
All other countries less than 5%(b) 26.6
Total 100.0
    
(a) Percentages shown are based on Net Assets.
(b) Includes Other.
 
208

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Futures Contracts outstanding at January 31, 2024:
Exchange Traded
           
Description Number of
Contracts
Expiration
Date
Trading
Currency
Notional
Amount
Value/
Unrealized
Appreciation
(Depreciation)
Long Contracts          
Euro-Bund 9 3/07/2024 EUR 1,321,318 $1,052
10-Year Canadian Government Bond 11 3/19/2024 CAD 995,478 (4,600)
Ultra 10-Year U.S. Treasury Note 15 3/19/2024 USD 1,753,125 19,830
Ultra U.S. Treasury Bond 32 3/19/2024 USD 4,135,000 220,964
Long Gilt 1 3/26/2024 GBP 126,692 1,572
2-Year U.S. Treasury Note 83 3/28/2024 USD 17,069,469 144,972
Total Long Contracts         $383,790
Short Contracts          
Euro-OAT (7) 3/07/2024 EUR 986,312 $(26,140)
10-Year Australian Treasury Bond (3) 3/15/2024 AUD 228,557 (3,378)
10-Year U.S. Treasury Note (151) 3/19/2024 USD 16,961,547 (250,795)
U.S. Treasury Long Bond (36) 3/19/2024 USD 4,404,375 (233,146)
5-Year U.S. Treasury Note (36) 3/28/2024 USD 3,902,062 (64,523)
Total Short Contracts         $(577,982)
          $(194,192)
    
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024:
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
             
3/20/24 South African Rand 9,400,000 U.S. Dollars 487,808 Morgan Stanley $12,190
3/20/24 U.S. Dollars 455,071 Euro 410,000 Barclays 11,058
3/20/24 U.S. Dollars 736,573 Czech Republic Koruna 16,700,000 Morgan Stanley 10,552
3/20/24 Colombian Pesos 890,000,000 U.S. Dollars 217,847 Morgan Stanley 8,671
3/20/24 U.S. Dollars 599,015 Indonesian Rupiahs 9,330,000,000 Deutsche Bank 7,997
3/20/24 U.S. Dollars 373,761 Swedish Kronor 3,800,000 Goldman Sachs 7,889
3/20/24 U.S. Dollars 276,869 Australian Dollars 410,000 Bank of America 7,456
3/15/24 U.S. Dollars 975,678 British Pounds 764,800 Morgan Stanley 6,107
3/20/24 U.S. Dollars 417,606 Euro 380,000 Morgan Stanley 6,081
3/20/24 U.S. Dollars 173,708 Chilean Pesos 157,000,000 Goldman Sachs 5,480
3/20/24 U.S. Dollars 602,701 Philippine Pesos 33,600,000 Bank of America 5,422
3/21/24 U.S. Dollars 251,958 Japanese Yen 36,000,000 Morgan Stanley 5,410
3/20/24 U.S. Dollars 343,176 Swiss Francs 290,000 Goldman Sachs 5,322
3/20/24 Colombian Pesos 850,000,000 U.S. Dollars 211,998 Goldman Sachs 4,340
3/20/24 U.S. Dollars 180,828 Hungarian Forints 63,000,000 Barclays 4,296
209

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024: (continued)
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
3/20/24 U.S. Dollars 67,260 Chilean Pesos 58,780,000 Morgan Stanley $4,276
3/20/24 U.S. Dollars 229,611 South Korean Won 300,000,000 JPMorgan Chase 4,196
3/20/24 U.S. Dollars 231,580 Euro 210,000 Goldman Sachs 4,158
3/20/24 U.S. Dollars 285,567 Euro 260,000 Bank of America 3,998
3/20/24 Swiss Francs 260,000 U.S. Dollars 298,916 Barclays 3,988
3/20/24 U.S. Dollars 207,635 Australian Dollars 310,000 Goldman Sachs 3,934
3/20/24 Mexican Pesos 3,500,000 U.S. Dollars 197,805 Citibank 3,886
3/20/24 Polish Zloty 1,600,000 U.S. Dollars 396,247 JPMorgan Chase 3,101
3/20/24 U.S. Dollars 180,482 Australian Dollars 270,000 Citibank 3,065
3/20/24 U.S. Dollars 111,718 Czech Republic Koruna 2,500,000 Barclays 3,032
3/20/24 U.S. Dollars 289,440 New Zealand Dollars 468,940 Goldman Sachs 2,784
3/20/24 U.S. Dollars 137,568 Swedish Kronor 1,400,000 Barclays 2,773
3/20/24 U.S. Dollars 96,661 South Korean Won 125,000,000 Goldman Sachs 2,738
3/20/24 Indian Rupees 51,200,000 U.S. Dollars 612,347 Goldman Sachs 2,666
3/20/24 U.S. Dollars 197,446 Euro 180,000 Deutsche Bank 2,515
3/20/24 U.S. Dollars 44,283 Chilean Pesos 39,000,000 JPMorgan Chase 2,494
3/20/24 U.S. Dollars 383,463 Singapore Dollars 510,000 Barclays 2,457
3/20/24 U.S. Dollars 145,313 Hungarian Forints 51,000,000 JPMorgan Chase 2,406
3/20/24 U.S. Dollars 158,031 Thai Baht 5,500,000 Goldman Sachs 2,405
3/20/24 U.S. Dollars 100,956 Australian Dollars 150,000 Barclays 2,390
3/20/24 U.S. Dollars 165,312 Swiss Francs 140,000 Deutsche Bank 2,210
3/20/24 U.S. Dollars 188,257 Canadian Dollars 250,000 Goldman Sachs 2,190
3/20/24 U.S. Dollars 376,418 Australian Dollars 570,000 JPMorgan Chase 1,869
3/15/24 U.S. Dollars 270,161 Norwegian Kroner 2,819,700 Morgan Stanley 1,772
3/20/24 U.S. Dollars 55,820 Euro 50,000 Citibank 1,672
3/20/24 U.S. Dollars 158,123 Czech Republic Koruna 3,600,000 Deutsche Bank 1,615
3/20/24 U.S. Dollars 124,516 New Zealand Dollars 201,060 Barclays 1,611
3/20/24 U.S. Dollars 134,530 Indonesian Rupiahs 2,100,000,000 Morgan Stanley 1,503
3/20/24 U.S. Dollars 66,826 Chilean Pesos 61,000,000 Citibank 1,464
3/20/24 U.S. Dollars 59,312 Taiwan Dollars 1,800,000 Deutsche Bank 1,427
3/20/24 U.S. Dollars 63,044 Hungarian Forints 22,000,000 Morgan Stanley 1,396
3/20/24 U.S. Dollars 141,187 Swiss Francs 120,000 Morgan Stanley 1,385
3/15/24 British Pounds 378,300 U.S. Dollars 478,219 Morgan Stanley 1,369
3/20/24 Swedish Kronor 6,000,000 U.S. Dollars 576,343 Morgan Stanley 1,349
3/20/24 U.S. Dollars 142,821 Mexican Pesos 2,455,000 JPMorgan Chase 1,349
3/20/24 U.S. Dollars 83,894 Czech Republic Koruna 1,900,000 Bank of America 1,293
3/20/24 Polish Zloty 1,000,000 U.S. Dollars 248,342 Deutsche Bank 1,250
3/20/24 British Pounds 130,000 U.S. Dollars 163,638 Morgan Stanley 1,176
3/20/24 U.S. Dollars 165,522 Singapore Dollars 220,000 Goldman Sachs 1,166
3/20/24 U.S. Dollars 68,554 Swedish Kronor 700,000 Citibank 1,156
210

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024: (continued)
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
3/20/24 U.S. Dollars 61,213 South Korean Won 80,000,000 Bank of America $1,103
3/20/24 Colombian Pesos 570,000,000 U.S. Dollars 144,078 Barclays 996
3/20/24 U.S. Dollars 710,561 Australian Dollars 1,080,000 Deutsche Bank 890
3/20/24 U.S. Dollars 276,844 Australian Dollars 420,000 Morgan Stanley 859
3/20/24 U.S. Dollars 262,235 Singapore Dollars 350,000 Morgan Stanley 758
3/20/24 U.S. Dollars 104,466 Mexican Pesos 1,800,000 Deutsche Bank 740
3/20/24 U.S. Dollars 389,175 Singapore Dollars 520,000 JPMorgan Chase 699
3/20/24 U.S. Dollars 51,129 Hungarian Forints 18,000,000 Goldman Sachs 691
3/21/24 Japanese Yen 44,000,000 U.S. Dollars 300,653 Barclays 683
3/20/24 Thai Baht 5,600,000 U.S. Dollars 157,774 Barclays 681
3/20/24 U.S. Dollars 70,581 Swiss Francs 60,000 Citibank 680
3/20/24 Mexican Pesos 800,000 U.S. Dollars 45,459 Bank of America 641
3/20/24 U.S. Dollars 114,852 Norwegian Kroner 1,200,000 Morgan Stanley 620
3/21/24 Japanese Yen 20,000,000 U.S. Dollars 136,374 Goldman Sachs 597
3/20/24 U.S. Dollars 127,357 British Pounds 100,000 Barclays 577
3/20/24 Thai Baht 7,200,000 U.S. Dollars 203,154 Goldman Sachs 576
3/20/24 U.S. Dollars 37,999 Polish Zloty 150,000 Goldman Sachs 560
3/21/24 Japanese Yen 16,000,000 U.S. Dollars 109,019 Morgan Stanley 557
3/20/24 U.S. Dollars 53,143 South Korean Won 70,000,000 Morgan Stanley 546
3/20/24 U.S. Dollars 25,853 Indonesian Rupiahs 400,000,000 JPMorgan Chase 515
3/20/24 U.S. Dollars 104,402 New Zealand Dollars 170,000 Deutsche Bank 483
3/20/24 Swiss Francs 30,000 U.S. Dollars 34,476 Morgan Stanley 475
3/20/24 U.S. Dollars 32,958 Euro 30,000 JPMorgan Chase 470
3/20/24 U.S. Dollars 226,641 New Zealand Dollars 370,000 Morgan Stanley 464
3/20/24 Swedish Kronor 2,345,316 U.S. Dollars 225,352 Goldman Sachs 461
3/20/24 British Pounds 50,000 U.S. Dollars 62,949 Barclays 440
3/20/24 U.S. Dollars 30,658 Philippine Pesos 1,700,000 Goldman Sachs 439
3/20/24 U.S. Dollars 40,037 Thai Baht 1,400,000 Barclays 423
3/20/24 Swiss Francs 50,000 U.S. Dollars 57,847 JPMorgan Chase 403
3/20/24 U.S. Dollars 54,646 Brazilian Reals 270,000 Goldman Sachs 402
3/20/24 U.S. Dollars 83,660 Mexican Pesos 1,445,000 Goldman Sachs 391
3/20/24 South Korean Won 159,415,170 U.S. Dollars 119,401 Bank of America 381
3/15/24 U.S. Dollars 39,563 Euro 36,190 Morgan Stanley 380
3/20/24 U.S. Dollars 24,445 Indonesian Rupiahs 380,000,000 Goldman Sachs 374
3/20/24 U.S. Dollars 50,287 Polish Zloty 200,000 Morgan Stanley 369
3/21/24 Japanese Yen 14,000,000 U.S. Dollars 95,529 JPMorgan Chase 350
3/20/24 U.S. Dollars 52,407 Canadian Dollars 70,000 Morgan Stanley 309
3/20/24 U.S. Dollars 22,844 South Korean Won 30,000,000 Citibank 303
3/21/24 Japanese Yen 12,000,000 U.S. Dollars 81,888 Citibank 294
3/20/24 U.S. Dollars 40,628 Mexican Pesos 700,000 Morgan Stanley 290
3/20/24 U.S. Dollars 48,161 South African Rand 900,000 Morgan Stanley 289
3/20/24 U.S. Dollars 76,356 British Pounds 60,000 JPMorgan Chase 288
3/20/24 Mexican Pesos 500,000 U.S. Dollars 28,527 JPMorgan Chase 286
211

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024: (continued)
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
3/20/24 U.S. Dollars 33,908 Hungarian Forints 12,000,000 Deutsche Bank $282
3/20/24 U.S. Dollars 25,159 Philippine Pesos 1,400,000 Barclays 272
3/20/24 U.S. Dollars 95,906 Czech Republic Koruna 2,200,000 Goldman Sachs 263
3/20/24 South Korean Won 135,584,830 U.S. Dollars 101,615 Barclays 261
3/20/24 U.S. Dollars 21,977 Czech Republic Koruna 500,000 Citibank 239
3/20/24 Hungarian Forints 78,000,000 U.S. Dollars 218,329 JPMorgan Chase 235
3/20/24 U.S. Dollars 9,852 Swedish Kronor 100,000 Bank of America 224
3/20/24 U.S. Dollars 21,646 Chilean Pesos 20,000,000 Barclays 215
3/20/24 U.S. Dollars 11,724 Mexican Pesos 200,000 Barclays 199
3/20/24 U.S. Dollars 38,755 Taiwan Dollars 1,200,000 Bank of America 166
3/20/24 U.S. Dollars 28,600 Philippine Pesos 1,600,000 JPMorgan Chase 158
3/20/24 Hungarian Forints 27,000,000 U.S. Dollars 75,503 Deutsche Bank 154
3/20/24 U.S. Dollars 82,010 Canadian Dollars 110,000 Citibank 141
3/20/24 U.S. Dollars 56,487 Hong Kong Dollars 440,000 JPMorgan Chase 132
3/20/24 U.S. Dollars 119,194 Canadian Dollars 160,000 Barclays 111
3/21/24 Japanese Yen 4,000,000 U.S. Dollars 27,290 Bank of America 104
3/20/24 Polish Zloty 100,000 U.S. Dollars 24,858 Barclays 101
3/20/24 U.S. Dollars 22,424 Canadian Dollars 30,000 Deutsche Bank 96
3/20/24 Brazilian Reals 40,000 U.S. Dollars 7,956 Barclays 81
3/20/24 Hungarian Forints 11,000,000 U.S. Dollars 30,745 Morgan Stanley 78
3/20/24 Singapore Dollars 50,000 U.S. Dollars 37,302 Barclays 51
3/15/24 U.S. Dollars 58,613 New Zealand Dollars 95,800 Morgan Stanley 51
3/20/24 U.S. Dollars 96,520 Taiwan Dollars 3,000,000 Morgan Stanley 46
3/20/24 Mexican Pesos 400,000 U.S. Dollars 23,007 Goldman Sachs 44
3/20/24 Taiwan Dollars 2,900,000 U.S. Dollars 93,216 Morgan Stanley 42
3/20/24 British Pounds 90,000 U.S. Dollars 114,060 Goldman Sachs 41
3/20/24 Indian Rupees 7,000,000 U.S. Dollars 84,055 Deutsche Bank 28
3/20/24 U.S. Dollars 42,575 South African Rand 800,000 Goldman Sachs 22
3/20/24 Canadian Dollars 110,000 U.S. Dollars 81,850 JPMorgan Chase 20
3/20/24 U.S. Dollars 26,681 Philippine Pesos 1,500,000 Citibank 17
3/20/24 Swedish Kronor 54,684 U.S. Dollars 5,252 Bank of America 13
3/20/24 Canadian Dollars 60,000 U.S. Dollars 44,649 Morgan Stanley 7
Total Unrealized Appreciation $228,382
             
3/20/24 U.S. Dollars 37,901 Euro 35,000 Goldman Sachs $(3)
3/20/24 U.S. Dollars 21,503 Philippine Pesos 1,209,863 Bank of America (4)
3/20/24 U.S. Dollars 23,552 Australian Dollars 35,854 Barclays (7)
3/20/24 Indian Rupees 4,200,000 U.S. Dollars 50,458 Goldman Sachs (8)
3/20/24 U.S. Dollars 42,030 Indian Rupees 3,500,000 Morgan Stanley (11)
3/20/24 U.S. Dollars 52,283 Singapore Dollars 70,000 Morgan Stanley (11)
212

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024: (continued)
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
3/20/24 U.S. Dollars 18,322 New Zealand Dollars 30,000 Barclays $(17)
3/20/24 U.S. Dollars 19,021 Norwegian Kroner 200,000 JPMorgan Chase (17)
3/20/24 U.S. Dollars 7,418 Canadian Dollars 10,000 Morgan Stanley (25)
3/20/24 U.S. Dollars 34,919 Swiss Francs 30,000 Citibank (32)
3/20/24 South African Rand 400,000 U.S. Dollars 21,314 Morgan Stanley (38)
3/20/24 U.S. Dollars 54,977 New Zealand Dollars 90,000 Deutsche Bank (39)
3/20/24 U.S. Dollars 36,386 Hungarian Forints 13,000,000 Goldman Sachs (41)
3/20/24 Singapore Dollars 80,000 U.S. Dollars 59,812 Goldman Sachs (46)
3/20/24 Australian Dollars 180,000 U.S. Dollars 118,328 Barclays (50)
3/20/24 U.S. Dollars 76,386 Philippine Pesos 4,300,000 Goldman Sachs (52)
3/20/24 U.S. Dollars 50,172 Brazilian Reals 250,000 Goldman Sachs (55)
3/20/24 Hungarian Forints 17,000,000 U.S. Dollars 47,694 Morgan Stanley (58)
3/20/24 U.S. Dollars 11,463 Mexican Pesos 200,000 Goldman Sachs (62)
3/20/24 U.S. Dollars 76,807 Indian Rupees 6,400,000 Barclays (70)
3/20/24 U.S. Dollars 52,522 South Korean Won 70,000,000 Barclays (75)
3/20/24 U.S. Dollars 64,896 Euro 60,000 Morgan Stanley (81)
3/20/24 U.S. Dollars 27,935 Hungarian Forints 10,000,000 Morgan Stanley (86)
3/20/24 U.S. Dollars 28,179 Philippine Pesos 1,590,137 Citibank (88)
3/20/24 British Pounds 40,000 U.S. Dollars 50,811 JPMorgan Chase (99)
3/20/24 U.S. Dollars 88,634 British Pounds 70,000 Barclays (111)
3/20/24 Thai Baht 2,300,000 U.S. Dollars 65,206 Goldman Sachs (126)
3/20/24 U.S. Dollars 48,009 Swedish Kronor 500,000 Morgan Stanley (132)
3/20/24 U.S. Dollars 70,611 Taiwan Dollars 2,200,000 Bank of America (137)
3/20/24 Indonesian Rupiahs 310,000,000 U.S. Dollars 19,777 Goldman Sachs (139)
3/20/24 U.S. Dollars 33,469 Indian Rupees 2,800,000 Goldman Sachs (165)
3/20/24 Hungarian Forints 32,000,000 U.S. Dollars 89,833 JPMorgan Chase (166)
3/20/24 U.S. Dollars 179,977 Australian Dollars 274,147 Goldman Sachs (167)
3/20/24 U.S. Dollars 51,114 Indonesian Rupiahs 810,000,000 Deutsche Bank (196)
3/20/24 Norwegian Kroner 400,000 U.S. Dollars 38,277 Citibank (200)
3/20/24 Canadian Dollars 260,000 U.S. Dollars 193,711 Goldman Sachs (201)
3/20/24 U.S. Dollars 24,753 Polish Zloty 100,000 Citibank (206)
3/20/24 U.S. Dollars 89,104 Canadian Dollars 120,000 JPMorgan Chase (209)
3/20/24 Canadian Dollars 110,000 U.S. Dollars 82,082 Deutsche Bank (212)
3/20/24 U.S. Dollars 80,144 Brazilian Reals 400,000 Citibank (218)
3/20/24 Canadian Dollars 60,000 U.S. Dollars 44,880 Citibank (224)
3/20/24 U.S. Dollars 48,676 New Zealand Dollars 80,000 JPMorgan Chase (227)
3/20/24 Taiwan Dollars 700,000 U.S. Dollars 22,744 Barclays (234)
3/20/24 Indian Rupees 11,900,000 U.S. Dollars 143,179 Bank of America (238)
3/20/24 Brazilian Reals 180,000 U.S. Dollars 36,403 Citibank (240)
3/20/24 Polish Zloty 150,000 U.S. Dollars 37,681 Goldman Sachs (242)
3/20/24 Chilean Pesos 23,000,000 U.S. Dollars 24,889 Goldman Sachs (244)
3/15/24 U.S. Dollars 542,677 Euro 501,440 Morgan Stanley (248)
3/20/24 U.S. Dollars 25,201 Colombian Pesos 100,000,000 Goldman Sachs (251)
213

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024: (continued)
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
3/20/24 Taiwan Dollars 1,900,000 U.S. Dollars 61,358 Goldman Sachs $(257)
3/20/24 New Zealand Dollars 250,000 U.S. Dollars 153,091 Goldman Sachs (270)
3/20/24 U.S. Dollars 26,325 South African Rand 500,000 Deutsche Bank (271)
3/20/24 U.S. Dollars 17,539 Colombian Pesos 70,000,000 Citibank (277)
3/20/24 Swedish Kronor 300,000 U.S. Dollars 29,164 Goldman Sachs (280)
3/20/24 Indonesian Rupiahs 370,000,000 U.S. Dollars 23,728 Bank of America (290)
3/20/24 U.S. Dollars 62,096 Polish Zloty 250,000 JPMorgan Chase (303)
3/20/24 Mexican Pesos 2,100,000 U.S. Dollars 121,334 Morgan Stanley (319)
3/20/24 Colombian Pesos 100,000,000 U.S. Dollars 25,773 Morgan Stanley (322)
3/20/24 U.S. Dollars 76,112 Philippine Pesos 4,300,000 JPMorgan Chase (326)
3/20/24 U.S. Dollars 27,693 Hungarian Forints 10,000,000 Citibank (328)
3/20/24 Hungarian Forints 16,000,000 U.S. Dollars 45,174 Goldman Sachs (340)
3/20/24 U.S. Dollars 152,453 New Zealand Dollars 250,000 Citibank (369)
3/20/24 U.S. Dollars 22,678 Mexican Pesos 400,000 Morgan Stanley (373)
3/20/24 U.S. Dollars 54,286 Taiwan Dollars 1,700,000 Morgan Stanley (383)
3/20/24 U.S. Dollars 62,003 Polish Zloty 250,000 Deutsche Bank (395)
3/20/24 U.S. Dollars 57,342 Swedish Kronor 600,000 Goldman Sachs (427)
3/20/24 Chilean Pesos 21,000,000 U.S. Dollars 22,939 Bank of America (437)
3/20/24 U.S. Dollars 76,742 Taiwan Dollars 2,400,000 Deutsche Bank (438)
3/20/24 U.S. Dollars 177,808 Thai Baht 6,300,000 Goldman Sachs (454)
3/20/24 U.S. Dollars 28,070 Norwegian Kroner 300,000 Morgan Stanley (488)
3/20/24 Czech Republic Koruna 1,100,000 U.S. Dollars 48,327 Bank of America (505)
3/20/24 U.S. Dollars 96,781 Indian Rupees 8,100,000 Bank of America (515)
3/20/24 U.S. Dollars 136,757 Polish Zloty 550,000 Goldman Sachs (519)
3/20/24 Philippine Pesos 3,300,000 U.S. Dollars 59,221 Bank of America (560)
3/20/24 U.S. Dollars 115,934 Swiss Francs 100,000 Barclays (567)
3/20/24 Czech Republic Koruna 2,200,000 U.S. Dollars 96,223 Barclays (580)
3/20/24 Singapore Dollars 110,000 U.S. Dollars 82,770 Morgan Stanley (592)
3/20/24 British Pounds 90,000 U.S. Dollars 114,694 Goldman Sachs (593)
3/20/24 Philippine Pesos 2,000,000 U.S. Dollars 36,155 JPMorgan Chase (602)
3/21/24 Japanese Yen 3,000,000 U.S. Dollars 21,170 Deutsche Bank (624)
3/20/24 British Pounds 80,000 U.S. Dollars 102,063 Deutsche Bank (639)
3/20/24 U.S. Dollars 201,549 Swedish Kronor 2,100,000 Deutsche Bank (642)
3/20/24 Taiwan Dollars 2,600,000 U.S. Dollars 84,280 Deutsche Bank (668)
3/20/24 Thai Baht 1,100,000 U.S. Dollars 31,799 JPMorgan Chase (674)
3/20/24 Euro 170,000 U.S. Dollars 184,780 Goldman Sachs (677)
3/20/24 U.S. Dollars 159,021 Indian Rupees 13,300,000 Citibank (739)
3/20/24 Canadian Dollars 180,000 U.S. Dollars 134,712 Bank of America (744)
3/20/24 Mexican Pesos 2,600,000 U.S. Dollars 150,656 Barclays (828)
3/20/24 Australian Dollars 150,000 U.S. Dollars 99,412 JPMorgan Chase (845)
3/20/24 British Pounds 240,000 U.S. Dollars 305,135 Barclays (865)
214

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024: (continued)
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
3/20/24 U.S. Dollars 85,660 Colombian Pesos 340,000,000 JPMorgan Chase $(875)
3/21/24 Japanese Yen 19,000,000 U.S. Dollars 131,064 Barclays (941)
3/20/24 Euro 120,000 U.S. Dollars 130,919 Barclays (964)
3/20/24 Philippine Pesos 4,200,000 U.S. Dollars 75,626 Morgan Stanley (966)
3/20/24 U.S. Dollars 278,616 Swiss Francs 240,000 Morgan Stanley (987)
3/21/24 Japanese Yen 8,000,000 U.S. Dollars 55,784 Goldman Sachs (996)
3/20/24 Swiss Francs 60,000 U.S. Dollars 70,936 Deutsche Bank (1,035)
3/20/24 Brazilian Reals 3,430,000 U.S. Dollars 690,185 Morgan Stanley (1,078)
3/20/24 U.S. Dollars 137,207 South African Rand 2,600,000 Morgan Stanley (1,090)
3/20/24 U.S. Dollars 59,546 South African Rand 1,140,000 JPMorgan Chase (1,092)
3/20/24 U.S. Dollars 702,814 Euro 650,000 Deutsche Bank (1,109)
3/20/24 New Zealand Dollars 90,000 U.S. Dollars 56,146 Citibank (1,130)
3/20/24 U.S. Dollars 154,405 Mexican Pesos 2,700,000 JPMorgan Chase (1,185)
3/20/24 U.S. Dollars 92,399 South African Rand 1,760,000 Goldman Sachs (1,218)
3/20/24 South Korean Won 55,000,000 U.S. Dollars 42,552 Deutsche Bank (1,226)
3/15/24 New Zealand Dollars 95,800 U.S. Dollars 59,921 Morgan Stanley (1,360)
3/20/24 South Korean Won 90,000,000 U.S. Dollars 68,984 Goldman Sachs (1,360)
3/20/24 Czech Republic Koruna 3,000,000 U.S. Dollars 131,855 Goldman Sachs (1,433)
3/20/24 U.S. Dollars 198,234 Polish Zloty 800,000 Morgan Stanley (1,441)
3/20/24 Thai Baht 2,200,000 U.S. Dollars 63,707 Citibank (1,457)
3/20/24 Indonesian Rupiahs 1,430,000,000 U.S. Dollars 92,071 Deutsche Bank (1,487)
3/20/24 Canadian Dollars 400,000 U.S. Dollars 299,262 JPMorgan Chase (1,556)
3/20/24 Polish Zloty 400,000 U.S. Dollars 101,478 Barclays (1,640)
3/20/24 Australian Dollars 120,000 U.S. Dollars 80,567 Morgan Stanley (1,715)
3/20/24 U.S. Dollars 176,886 Canadian Dollars 240,000 Citibank (1,738)
3/20/24 Indonesian Rupiahs 2,415,192,387 U.S. Dollars 154,803 JPMorgan Chase (1,810)
3/20/24 Canadian Dollars 130,000 U.S. Dollars 98,569 Morgan Stanley (1,814)
3/20/24 U.S. Dollars 405,915 Swiss Francs 350,000 Goldman Sachs (1,841)
3/20/24 Euro 350,000 U.S. Dollars 380,934 JPMorgan Chase (1,899)
3/20/24 Singapore Dollars 2,000,000 U.S. Dollars 1,496,063 JPMorgan Chase (1,923)
3/20/24 Polish Zloty 1,050,000 U.S. Dollars 264,011 Deutsche Bank (1,937)
3/20/24 South Korean Won 145,000,000 U.S. Dollars 110,987 Morgan Stanley (2,035)
3/20/24 Taiwan Dollars 6,300,000 U.S. Dollars 204,701 Bank of America (2,105)
3/20/24 U.S. Dollars 310,314 Canadian Dollars 420,000 Goldman Sachs (2,278)
3/20/24 South Korean Won 200,000,000 U.S. Dollars 152,561 JPMorgan Chase (2,283)
3/21/24 Japanese Yen 8,000,000 U.S. Dollars 57,322 JPMorgan Chase (2,534)
3/20/24 Thai Baht 2,800,000 U.S. Dollars 81,877 Barclays (2,650)
3/20/24 Swedish Kronor 1,100,000 U.S. Dollars 108,648 Morgan Stanley (2,739)
3/20/24 British Pounds 730,000 U.S. Dollars 928,344 Morgan Stanley (2,856)
3/20/24 Chilean Pesos 54,000,000 U.S. Dollars 60,811 Citibank (2,949)
3/20/24 Chilean Pesos 45,000,000 U.S. Dollars 51,239 JPMorgan Chase (3,021)
3/20/24 Australian Dollars 350,000 U.S. Dollars 233,320 Goldman Sachs (3,335)
215

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Forward Foreign Currency Exchange Contracts outstanding at January 31, 2024: (continued)
             
Settlement
Date
Currency
Purchased
Amount
of Currency
Purchased
Currency
Sold
Amount
of Currency
Sold
Counterparty Unrealized
Appreciation
(Depreciation)
3/20/24 New Zealand Dollars 160,000 U.S. Dollars 101,290 Barclays $(3,484)
3/21/24 Japanese Yen 17,000,000 U.S. Dollars 119,947 Morgan Stanley (3,523)
3/20/24 Euro 420,000 U.S. Dollars 458,463 Morgan Stanley (3,621)
3/20/24 Brazilian Reals 1,670,000 U.S. Dollars 339,189 Goldman Sachs (3,675)
3/20/24 Singapore Dollars 540,000 U.S. Dollars 407,308 Barclays (3,889)
3/20/24 Indonesian Rupiahs 5,674,807,613 U.S. Dollars 363,481 Barclays (4,004)
3/20/24 Czech Republic Koruna 3,800,000 U.S. Dollars 169,233 Morgan Stanley (4,030)
3/15/24 British Pounds 1,166,900 U.S. Dollars 1,485,058 Morgan Stanley (5,728)
3/20/24 Australian Dollars 350,000 U.S. Dollars 236,292 Bank of America (6,305)
3/20/24 Chilean Pesos 130,780,000 U.S. Dollars 146,856 Morgan Stanley (6,724)
3/20/24 U.S. Dollars 183,529 Norwegian Kroner 2,000,000 Deutsche Bank (6,858)
3/20/24 Norwegian Kroner 4,800,000 U.S. Dollars 464,116 Goldman Sachs (7,190)
3/20/24 Swedish Kronor 4,200,000 U.S. Dollars 411,626 Deutsche Bank (7,242)
3/20/24 Norwegian Kroner 3,800,000 U.S. Dollars 369,093 Deutsche Bank (7,357)
3/20/24 Norwegian Kroner 4,600,000 U.S. Dollars 446,935 Morgan Stanley (9,045)
3/20/24 New Zealand Dollars 650,000 U.S. Dollars 408,321 Morgan Stanley (10,986)
3/20/24 South Korean Won 1,045,000,000 U.S. Dollars 796,921 Citibank (11,724)
3/20/24 U.S. Dollars 1,344,515 British Pounds 1,070,000 Morgan Stanley (12,021)
3/20/24 U.S. Dollars 1,311,157 Canadian Dollars 1,780,000 Deutsche Bank (13,640)
3/20/24 U.S. Dollars 486,586 Norwegian Kroner 5,300,000 Goldman Sachs (17,938)
3/15/24 U.S. Dollars 3,073,770 British Pounds 2,448,500 Morgan Stanley (30,300)
3/15/24 U.S. Dollars 1,842,726 Norwegian Kroner 20,198,400 Morgan Stanley (79,819)
Total Unrealized Depreciation $(356,324)
Net Unrealized Depreciation $(127,942)
    
Long Contracts for Difference at January 31, 2024:
Over the Counter
               
Reference Company The Fund Pays
Financing Rate
Expiration
Date
Counterparty Notional
Amount
Pay
Frequency
Value Unrealized
Appreciation
(Depreciation)
Aflac, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 351 Monthly $29,590 $(89)
Agilent Technologies, Inc. U.S. Fed Funds 1/24/2025 Barclays 2,097 Monthly 272,606 (5,258)
Alexandria Real Estate Equities, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 689 Monthly 83,126 (4,074)
Allstate Corp. U.S. Fed Funds 1/24/2025 Barclays 539 Monthly 83,590 (165)
Allstate Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 2,295 Monthly 355,604 7,912
Altria Group, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 15,393 Monthly 616,316 (14,167)
American Airlines Group, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 10,162 Monthly 144,493 473
American Electric Power Co., Inc. U.S. Fed Funds 1/24/2025 Barclays 24 Monthly 1,873 19
216

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Long Contracts for Difference at January 31, 2024:
Over the Counter(continued)
               
Reference Company The Fund Pays
Financing Rate
Expiration
Date
Counterparty Notional
Amount
Pay
Frequency
Value Unrealized
Appreciation
(Depreciation)
American Express Co. U.S. Fed Funds 1/24/2025 Barclays 1,785 Monthly $357,990 $27,391
American International Group, Inc. U.S. Fed Funds 1/24/2025 Barclays 4,268 Monthly 296,336 734
American International Group, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 5,139 Monthly 356,522 11,078
American Tower Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 197 Monthly 38,543 7
American Water Works Company, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 1,557 Monthly 192,694 (10,355)
Amgen, Inc. U.S. Fed Funds 1/24/2025 Barclays 264 Monthly 82,896 759
Antero Resources Corp. U.S. Fed Funds 1/24/2025 Barclays 1,236 Monthly 27,513 766
Anthem, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 94 Monthly 46,327 1,782
Aon PLC, Class A U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 939 Monthly 279,663 (2,338)
Apache Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 10,994 Monthly 343,767 335
Applied Materials, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 87 Monthly 14,005 628
AT&T, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 32,139 Monthly 567,512 38,438
Atmos Energy Corp. U.S. Fed Funds 1/24/2025 Barclays 600 Monthly 68,291 407
AutoZone, Inc. U.S. Fed Funds 1/24/2025 Barclays 97 Monthly 267,606 (1,180)
AvalonBay Communities, Inc. U.S. Fed Funds 1/24/2025 Barclays 202 Monthly 36,121 (486)
Baker Hughes Co., Class A U.S. Fed Funds 1/24/2025 Barclays 4,857 Monthly 138,296 (10,205)
Becton Dickinson and Company U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 967 Monthly 230,161 (9,394)
Best Buy Co., Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 2,187 Monthly 158,028 (6,281)
Block, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 1,450 Monthly 94,242 1,622
Booking Holdings, Inc. U.S. Fed Funds 1/24/2025 Barclays 60 Monthly 210,264 (637)
BorgWarner, Inc. U.S. Fed Funds 1/24/2025 Barclays 919 Monthly 31,121 592
Bristol-Myers Squibb Co. U.S. Fed Funds 1/24/2025 Barclays 6,744 Monthly 329,221 (5,079)
Builders FirstSource, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 1,687 Monthly 292,196 15,730
Bunge Ltd. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 1,924 Monthly 169,321 (5,752)
Caesars Entertainment, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 710 Monthly 31,143 (375)
Camden Property Trust REIT U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 2,956 Monthly 276,448 (16,935)
Cardinal Health, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 3,436 Monthly 374,447 8,925
Carnival Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 17,223 Monthly 284,597 (14,222)
Carnival Corp. U.S. Fed Funds 1/24/2025 Barclays 20,716 Monthly 343,102 (1,612)
Carrier Global Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 3,987 Monthly 217,772 (4,976)
Caterpillar, Inc. U.S. Fed Funds 1/24/2025 Barclays 1,008 Monthly 302,401 11,421
Caterpillar, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 1,201 Monthly 359,983 15,020
CF Industries Holdings, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 3,657 Monthly 275,588 (2,651)
CH Robinson Worldwide, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 3,566 Monthly 299,254 (6,745)
Chubb Limited U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 1,522 Monthly 372,198 25,593
Cigna Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 995 Monthly 298,835 (6,570)
Cisco Systems, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 6,980 Monthly 349,551 (3,567)
Cleveland Cliffs, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 18,548 Monthly 370,759 13,853
Cleveland Cliffs, Inc. U.S. Fed Funds 1/24/2025 Barclays 15,171 Monthly 303,896 29,191
Clorox (The) Co. U.S. Fed Funds 1/24/2025 Barclays 706 Monthly 102,439 1,664
217

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Long Contracts for Difference at January 31, 2024:
Over the Counter(continued)
               
Reference Company The Fund Pays
Financing Rate
Expiration
Date
Counterparty Notional
Amount
Pay
Frequency
Value Unrealized
Appreciation
(Depreciation)
CME Group, Inc., Class A U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 1,429 Monthly $293,579 $9,779
Colgate-Palmolive Co. U.S. Fed Funds 1/24/2025 Barclays 3,151 Monthly 265,043 11,639
Conagra Brands, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 2,445 Monthly 70,977 732
ConocoPhillips U.S. Fed Funds 1/24/2025 Barclays 3,046 Monthly 340,403 11,253
Crocs, Inc. U.S. Fed Funds 1/24/2025 Barclays 2,888 Monthly 292,758 (2,078)
CSX Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 1,164 Monthly 41,425 1,046
CSX Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 10,322 Monthly 367,779 9,193
CVS Health Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 511 Monthly 37,810 (3,418)
D.R. Horton, Inc. U.S. Fed Funds 1/24/2025 Barclays 1,523 Monthly 217,433 (15,596)
Darden Restaurants, Inc. U.S. Fed Funds 1/24/2025 Barclays 1,994 Monthly 323,849 1,620
DaVita, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 3,390 Monthly 365,477 (3,389)
DaVita, Inc. U.S. Fed Funds 1/24/2025 Barclays 2,666 Monthly 288,056 9,112
Deere & Co. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 623 Monthly 244,343 (3,598)
Dell Technologies, Inc., Class C U.S. Fed Funds 1/24/2025 Barclays 4,343 Monthly 359,570 7,179
Dell Technologies, Inc., Class C U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 3,611 Monthly 298,706 11,560
Delta Air Lines, Inc. U.S. Fed Funds 1/24/2025 Barclays 8,974 Monthly 350,889 18,553
Devon Energy Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 6,584 Monthly 275,715 (22,939)
Devon Energy Corp. U.S. Fed Funds 1/24/2025 Barclays 7,814 Monthly 328,000 6,219
Discovery Incment, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 4,909 Monthly 49,087 (1,721)
Dominion Energy, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 4,168 Monthly 189,744 (14,529)
Dominion Energy, Inc. U.S. Fed Funds 1/24/2025 Barclays 2,975 Monthly 135,878 2,074
Dow, Inc. U.S. Fed Funds 1/24/2025 Barclays 247 Monthly 13,193 (37)
Duke Energy Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 1,182 Monthly 112,694 (3,177)
DuPont de Nemours, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 4,386 Monthly 270,075 (60,624)
Ebay, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 6,744 Monthly 276,428 1,947
Elastic N.V. U.S. Fed Funds 1/24/2025 Barclays 1,417 Monthly 165,658 (8,945)
Energy, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 5,632 Monthly 285,342 (12,365)
EOG Resources, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 241 Monthly 27,383 781
EQT Corp. U.S. Fed Funds 1/24/2025 Barclays 3,559 Monthly 125,835 (83)
Eversource Energy U.S. Fed Funds 1/24/2025 Barclays 4,600 Monthly 249,152 6,364
Exelon Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 10,762 Monthly 373,883 (9,996)
Expedia Group, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs 1,435 Monthly 212,465 (852)
Factset Research Systems, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 39 Monthly 18,525 498
FedEx Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 1,375 Monthly 330,675 (11,136)
FedEx Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 477 Monthly 114,933 (2,238)
Flex Ltd. U.S. Fed Funds 1/24/2025 Barclays 5,980 Monthly 141,824 3,377
Ford Motor Co. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 29,906 Monthly 349,814 7,091
Fortune Brands Home & Security, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 1,878 Monthly 145,425 575
Fox Corp., Class A U.S. Fed Funds 1/24/2025 Barclays 9,307 Monthly 300,304 9,274
Freeport-McMoRan, Inc. U.S. Fed Funds 1/24/2025 Barclays 5,321 Monthly 210,979 11,184
Gap (The), Inc. U.S. Fed Funds 1/24/2025 Barclays 15,197 Monthly 283,723 (4,564)
Gap (The), Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 18,281 Monthly 340,970 (20,322)
218

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Long Contracts for Difference at January 31, 2024:
Over the Counter(continued)
               
Reference Company The Fund Pays
Financing Rate
Expiration
Date
Counterparty Notional
Amount
Pay
Frequency
Value Unrealized
Appreciation
(Depreciation)
General Electric Co. U.S. Fed Funds 1/24/2025 Barclays 2,234 Monthly $295,512 $2,344
General Electric Co. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 325 Monthly 42,953 1,363
H&R Block, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 7,242 Monthly 338,555 7,958
Halliburton Co. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 17,843 Monthly 634,886 37,045
Hartford Financial Services Group (The), Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 2,200 Monthly 190,732 10,310
Hartford Financial Services Group (The), Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 4,283 Monthly 371,744 18,354
Healthpeak Properties, Inc. U.S. Fed Funds 1/24/2025 Barclays 13,888 Monthly 256,635 (17,098)
Hewlett Packard Enterprise Co. U.S. Fed Funds 1/24/2025 Barclays 837 Monthly 12,784 (190)
HF Sinclair Corporation U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 5,206 Monthly 293,533 16,366
Home Depot (The), Inc. U.S. Fed Funds 1/24/2025 Barclays 997 Monthly 351,520 (4,100)
Honeywell International, Inc. U.S. Fed Funds 1/24/2025 Barclays 1,803 Monthly 364,286 1,811
Hormel Foods Corp U.S. Fed Funds 1/24/2025 Barclays 2,641 Monthly 80,044 (110)
HP, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 9,431 Monthly 269,779 (22,582)
HP, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 9,344 Monthly 267,837 (5,292)
Humana, Inc. U.S. Fed Funds 1/24/2025 Barclays 218 Monthly 82,117 (7,187)
International Business Machines Corp. U.S. Fed Funds + (0.15)% 1/24/2025 Barclays 1,894 Monthly 347,501 20,161
International Paper Co. U.S. Fed Funds 1/24/2025 Barclays 9,062 Monthly 324,339 (5,065)
Jabil, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 625 Monthly 78,238 792
Johnson & Johnson U.S. Fed Funds 1/24/2025 Barclays 2,274 Monthly 360,943 (8,514)
Johnson Controls International PLC U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 3,960 Monthly 207,802 (18,710)
Kimberly-Clarke Corp. U.S. Fed Funds 1/24/2025 Barclays 2,411 Monthly 291,343 (3,619)
Kinder Morgan, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 1,463 Monthly 24,669 (1,826)
KLA Corp. U.S. Fed Funds 1/24/2025 Barclays 482 Monthly 286,005 (14,329)
Kohls Corp. U.S. Fed Funds 1/24/2025 Barclays 9,865 Monthly 253,847 (3,235)
Kohls Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 8,784 Monthly 225,844 1,560
L Brands, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 8,233 Monthly 350,065 (24,237)
L Brands, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 6,581 Monthly 280,178 (3,726)
Laboratory Corporation of America Holdings U.S. Fed Funds 1/24/2025 Barclays 743 Monthly 165,086 (2,345)
Lam Research Corp. U.S. Fed Funds 1/24/2025 Barclays 347 Monthly 286,024 (3,214)
Las Vegas Sands Corp. U.S. Fed Funds 1/24/2025 Barclays 2,777 Monthly 135,693 2,591
Lear Corp. U.S. Fed Funds 1/24/2025 Barclays 1,281 Monthly 170,081 2,340
Lennox International, Inc. U.S. Fed Funds 1/24/2025 Barclays 34 Monthly 14,541 (917)
Lockheed Martin Corp. U.S. Fed Funds 1/24/2025 Barclays 1,086 Monthly 465,889 (27,372)
Lowe's Cos., Inc. U.S. Fed Funds 1/24/2025 Barclays 1,556 Monthly 330,812 (11,290)
Macys, Inc. U.S. Fed Funds 1/24/2025 Barclays 7,158 Monthly 130,802 (322)
Marathon Petroleum Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 1,768 Monthly 291,799 15,532
Marathon Petroleum Corp. U.S. Fed Funds + U.S. Fed Funds 1/24/2025 Barclays 12,525 Monthly 589,044 28,824
219

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Long Contracts for Difference at January 31, 2024:
Over the Counter(continued)
               
Reference Company The Fund Pays
Financing Rate
Expiration
Date
Counterparty Notional
Amount
Pay
Frequency
Value Unrealized
Appreciation
(Depreciation)
Marsh & McLennan Cos., Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 539 Monthly $104,327 $(444)
Martin Marietta Materials, Inc. U.S. Fed Funds 1/24/2025 Barclays 543 Monthly 275,763 (103)
Mcdonalds Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 685 Monthly 199,871 (81)
Mcdonalds Corp. U.S. Fed Funds 1/24/2025 Barclays 536 Monthly 156,727 (3,221)
McKesson Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 751 Monthly 374,267 16,318
McKesson Corp. U.S. Fed Funds 1/24/2025 Barclays 563 Monthly 281,219 7,172
MGM Resorts International U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 5,621 Monthly 243,199 5,599
Mid-America Apartment Communities, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 2,248 Monthly 283,138 (16,948)
Mondelez International, Inc., Class A U.S. Fed Funds 1/24/2025 Barclays 665 Monthly 50,021 899
Mosaic (The) Co. U.S. Fed Funds 1/24/2025 Barclays 8,905 Monthly 273,167 (11,793)
Motorola Solutions, Inc. U.S. Fed Funds 1/24/2025 Barclays 1,135 Monthly 362,237 (6,626)
Murphy Oil Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 8,668 Monthly 334,791 4,020
Murphy Oil USA, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 756 Monthly 265,622 (21,358)
Netflix, Inc. U.S. Fed Funds 1/24/2025 Barclays 627 Monthly 353,352 48,812
Netflix, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 522 Monthly 293,936 42,729
Newmont Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 9,834 Monthly 338,200 (51,234)
Newmont Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 8,176 Monthly 281,591 (11,754)
Nike, Inc., Class B U.S. Fed Funds 1/24/2025 Barclays 2,741 Monthly 277,998 2,363
Nordstrom, Inc. U.S. Fed Funds 1/24/2025 Barclays 865 Monthly 15,682 (519)
Norfolk Southern Corp. U.S. Fed Funds 1/24/2025 Barclays 1,504 Monthly 353,414 (7,757)
Northrop Grumman Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 1,405 Monthly 626,382 (43,949)
Norwegian Cruise Line Holdings Ltd. U.S. Fed Funds 1/24/2025 Barclays 12,498 Monthly 222,268 3,326
NRG Energy, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs 301 Monthly 15,848 516
Nutrien ltd. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 5,756 Monthly 286,491 1,771
Occidental Petroleum Corp. U.S. Fed Funds 1/24/2025 Barclays 767 Monthly 44,110 590
Olin Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 4,702 Monthly 243,983 (6,493)
Omnicom Group, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 3,785 Monthly 341,106 6,875
O'Reilly Automotive, Inc. U.S. Fed Funds 1/24/2025 Barclays 295 Monthly 301,472 (4,130)
Otis Worldwide Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 432 Monthly 38,084 259
Ovintiv, Inc. U.S. Fed Funds 1/24/2025 Barclays 8,064 Monthly 341,718 8,756
Owens Corning U.S. Fed Funds 1/24/2025 Barclays 1,873 Monthly 283,506 (5,798)
Packaging Corp. Of America U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 2,150 Monthly 355,477 (7,078)
Packaging Corp. Of America U.S. Fed Funds 1/24/2025 Barclays 1,704 Monthly 282,358 789
Parker-Hannifin Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 602 Monthly 279,075 1,704
Patterson-UTI Energy, Inc. U.S. Fed Funds 1/24/2025 Barclays 2,711 Monthly 30,035 2,139
PBF Energy, Inc., Class A U.S. Fed Funds 1/24/2025 Barclays 1,515 Monthly 76,453 11,232
Pfizer, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 3,051 Monthly 82,621 (905)
Procter & Gamble (The) Co. U.S. Fed Funds 1/24/2025 Barclays 3,112 Monthly 488,527 28,386
Public Service Enterprise Group, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 458 Monthly 26,535 216
Public Storage U.S. Fed Funds 1/24/2025 Barclays 218 Monthly 61,667 (2,349)
220

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Long Contracts for Difference at January 31, 2024:
Over the Counter(continued)
               
Reference Company The Fund Pays
Financing Rate
Expiration
Date
Counterparty Notional
Amount
Pay
Frequency
Value Unrealized
Appreciation
(Depreciation)
Quest Diagnostics, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 2,700 Monthly $346,086 $(14,226)
Ralph Lauren Corp., Class A U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 1,751 Monthly 251,085 10,112
Range Resources Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 4,176 Monthly 121,023 (3,004)
Royal Caribbean Cruises Ltd. U.S. Fed Funds 1/24/2025 Barclays 2,363 Monthly 300,962 1,475
Royal Caribbean Cruises Ltd. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 2,465 Monthly 314,025 3,867
SBA Communications Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 640 Monthly 143,251 (1,410)
Schlumberger Ltd. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 3,590 Monthly 174,542 (254)
Seagate Technology, LLC U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 145 Monthly 12,414 (516)
Sherwin-Williams (The) Co. U.S. Fed Funds + (0.15)% 1/24/2025 Barclays 1,191 Monthly 362,124 (4,084)
Skyworks Solutions, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 143 Monthly 14,938 0
Stanley Black & Decker, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 2,960 Monthly 275,611 (3,517)
Starbucks Corp. U.S. Fed Funds 1/24/2025 Barclays 2,973 Monthly 276,282 (415)
Steel Dynamics, Inc. U.S. Fed Funds 1/24/2025 Barclays 561 Monthly 67,638 2,882
Steris, PLC U.S. Fed Funds 1/24/2025 Barclays 2,176 Monthly 299,053 (299)
Stryker Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 223 Monthly 74,750 3,723
Synchrony Financial U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 7,596 Monthly 294,254 (3,510)
Sysco Corp. U.S. Fed Funds 1/24/2025 Barclays 992 Monthly 80,202 5,197
Target Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 2,144 Monthly 297,211 (6,658)
Tenet Healthcare Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 3,692 Monthly 304,535 11,648
Tenet Healthcare Corp. U.S. Fed Funds 1/24/2025 Barclays 4,168 Monthly 344,497 5,222
TJX (The) Cos., Inc. U.S. Fed Funds 1/24/2025 Barclays 2,821 Monthly 267,468 (857)
Trane Technologies PLC U.S. Fed Funds 1/24/2025 Barclays 356 Monthly 89,633 (303)
Travelers (The) Cos., Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 901 Monthly 190,127 10,470
Twilio Inc. U.S. Fed Funds 1/24/2025 Barclays 3,962 Monthly 278,334 (14,537)
Uber Technologies, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 2,213 Monthly 144,212 2,228
UDR, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 5,726 Monthly 205,494 (15,472)
Union Pacific Corp. U.S. Fed Funds 1/24/2025 Barclays 1,488 Monthly 362,580 833
UnitedHealth Group, Inc. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 232 Monthly 118,575 (1,238)
Valero Energy Corp. U.S. Fed Funds 1/24/2025 Barclays 2,620 Monthly 363,531 25,237
Valero Energy Corp. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 2,117 Monthly 293,474 19,746
VeriSign, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 1,430 Monthly 283,834 (5,743)
Verisk Analytics, Inc. U.S. Fed Funds 1/24/2025 Barclays 943 Monthly 227,526 (2,058)
ViacomCBS, Inc., Class B U.S. Fed Funds + (0.25)% 1/24/2025 Barclays 1,168 Monthly 17,024 964
Vistra Operations Co. LLC U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 2,656 Monthly 108,642 4,686
Vistra Operations Co. LLC U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 8,518 Monthly 348,825 13,897
Welltower, Inc. U.S. Fed Funds 1/24/2025 Barclays 1,463 Monthly 126,425 (3,694)
Whirlpool Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 568 Monthly 61,910 (7,160)
Willis Towers Watson, PLC U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 200 Monthly 49,162 4
Wynn Resorts Finance LLC/Wynn Resourts Capital Corp. U.S. Fed Funds + 0.20% 2/8/2024 JPMorgan Chase 3,095 Monthly 291,297 (9,072)
Yum Brands, Inc. U.S. Fed Funds + 0.20% 8/19/2026 Goldman Sachs 3,329 Monthly 430,209 (1,928)
Total (Cost $47,869,605)       787,960   $47,886,513 $16,908
    
221

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Short Contracts for Difference at January 31, 2024:
Over the Counter
               
Reference Company The Fund Receives
Financing Rate
Expiration
Date
Counterparty Notional
Amount
Pay
Frequency
Value Unrealized
Appreciation
(Depreciation)
AbbVie, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,782) Monthly $(292,428) $(4,670)
Advanced Auto Parts, Inc. U.S. Fed Funds 1/24/2025 Barclays (4,485) Monthly (299,558) (6,060)
Advanced Micro Devices, Inc. U.S. Fed Funds + 0.05% 1/24/2025 Barclays (2,074) Monthly (347,439) 1,366
AES (The) Corp. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (35,964) Monthly (597,969) 84,733
Air Products & Chemicals, Inc. U.S. Fed Funds 1/24/2025 Barclays (1,095) Monthly (279,726) 6,141
Albemarle Corp. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (1,897) Monthly (216,984) 35,294
Ally Financial, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (9,947) Monthly (364,290) (35,641)
Amazon.com, Inc. U.S. Fed Funds 1/24/2025 Barclays (1,611) Monthly (249,051) 300
Amcor, PLC U.S. Fed Funds 1/24/2025 Barclays (22,678) Monthly (213,638) 896
American Express Co. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (277) Monthly (55,514) (5,383)
Analog Devices, Inc. U.S. Fed Funds 1/24/2025 Barclays (1,559) Monthly (299,581) 8,026
Apache Corp. U.S. Fed Funds 1/24/2025 Barclays (587) Monthly (18,373) (346)
Apollo Global Management, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (2,039) Monthly (204,631) (9,988)
Aptiv PLC U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (2,922) Monthly (237,230) (231)
Aramark Services, Inc. U.S. Fed Funds 1/24/2025 Barclays (12,474) Monthly (362,386) (5,255)
Arrow Electronics, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (604) Monthly (67,135) 891
Arthur J Gallagher & Co. U.S. Fed Funds 1/24/2025 Barclays (709) Monthly (164,432) 3,969
Autodesk, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,072) Monthly (271,715) (8,769)
Avantor, Inc. U.S. Fed Funds 1/24/2025 Barclays (12,825) Monthly (294,551) (12,529)
Avery Dennison Corp. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (96) Monthly (19,034) (277)
Avis Budget Group, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (1,999) Monthly (326,329) 13,878
Ball Corp. U.S. Fed Funds + (0.15)% 1/24/2025 Barclays (6,109) Monthly (338,399) 5,843
Barrick Gold Corp. U.S. Fed Funds 1/24/2025 Barclays (13,247) Monthly (206,448) 73
Baxter International, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (7,494) Monthly (289,364) 6,802
Baxter International, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (686) Monthly (26,519) 20
Best Buy Co., Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (4,662) Monthly (337,323) (2,311)
Bio-rad Laboratories, Class A U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (53) Monthly (16,976) (270)
Boeing (The) Co. U.S. Fed Funds 1/24/2025 Barclays (72) Monthly (15,158) 317
Boeing (The) Co. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,689) Monthly (355,818) (16,802)
Booz Allen Hamilton Holding Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,753) Monthly (246,498) (24,445)
BorgWarner, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (10,111) Monthly (342,143) (7,368)
Boston Scientific Corp. U.S. Fed Funds 1/24/2025 Barclays (6,046) Monthly (382,101) (14,867)
Brookfield Asset Management, Inc. U.S. Fed Funds 1/24/2025 Barclays (3,535) Monthly (140,126) 1,945
Brown & Brown, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (3,414) Monthly (264,327) (9,813)
Brown-Forman Corp., Class B U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (5,107) Monthly (279,518) 4,891
Campbell Soup U.S. Fed Funds 1/24/2025 Barclays (8,243) Monthly (367,528) (11,678)
Canadian National Railway Co. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (1,672) Monthly (206,781) 2,619
222

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Short Contracts for Difference at January 31, 2024:
Over the Counter(continued)
               
Reference Company The Fund Receives
Financing Rate
Expiration
Date
Counterparty Notional
Amount
Pay
Frequency
Value Unrealized
Appreciation
(Depreciation)
Canadian Natural Resources Ltd. U.S. Fed Funds 1/24/2025 Barclays (9,836) Monthly $(628,790) $(15,122)
Capital One Financial Corp. U.S. Fed Funds 1/24/2025 Barclays (2,604) Monthly (352,217) (14,531)
Catalent Pharma Solutions, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (2,806) Monthly (144,723) (5,436)
Cboe Global Markets, Inc. U.S. Fed Funds 1/24/2025 Barclays (69) Monthly (12,673) 152
CBRE Group, Inc., Class A U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (3,299) Monthly (284,210) (2,376)
CDW Corporation of Delaware U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (1,313) Monthly (296,821) (10,311)
Celanese Corp. U.S. Fed Funds 1/24/2025 Barclays (1,978) Monthly (289,073) (1,709)
Charles River Laboratories International, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (506) Monthly (109,244) (4,790)
Charter Communications, Inc., Class A U.S. Fed Funds 1/24/2025 Barclays (928) Monthly (343,672) 2,612
Charter Communications, Inc., Class A U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (744) Monthly (275,458) (1,897)
Chevron Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,938) Monthly (285,203) (6,732)
Cintas Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (499) Monthly (301,136) (7,440)
Comcast Corp., Class A U.S. Fed Funds 1/24/2025 Barclays (377) Monthly (17,546) (1)
ConocoPhillips U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,560) Monthly (174,203) (4,725)
Constellation Brands, Inc., Class A U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (63) Monthly (15,420) 560
Corteva, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (1,906) Monthly (86,415) 3,186
Corteva, Inc. U.S. Fed Funds 1/24/2025 Barclays (3,695) Monthly (167,900) (1,536)
D.R. Horton, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,949) Monthly (277,979) 20,198
Danaher Corp. U.S. Fed Funds 1/24/2025 Barclays (1,475) Monthly (353,500) (11,345)
Danaher Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,226) Monthly (293,590) (15,595)
Dentsply Sirona, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (3,833) Monthly (132,941) 4,855
Diamondback Energy, Inc. U.S. Fed Funds 1/24/2025 Barclays (661) Monthly (101,536) (620)
Dick's Sporting Goods, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,973) Monthly (293,589) (11,923)
Discover Financial Services U.S. Fed Funds 1/24/2025 Barclays (2,903) Monthly (306,034) (16,751)
Dollar General Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (2,139) Monthly (281,946) 12,851
Dollar Tree, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,185) Monthly (154,486) 6,626
Dow, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (6,662) Monthly (356,422) (2,670)
Eastman Chemical Co. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (3,981) Monthly (331,971) 11,549
Emerson Electric Co. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (454) Monthly (41,567) 773
Enbridge, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (9,709) Monthly (343,582) 17,690
Entegris, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (2,519) Monthly (296,119) (12,152)
Equifax, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,241) Monthly (302,659) 3,185
Equity Residential U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (4,625) Monthly (277,524) 7,978
Estee Lauder (The) Cos., Inc., Class A U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (2,170) Monthly (285,533) 14,721
223

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Short Contracts for Difference at January 31, 2024:
Over the Counter(continued)
               
Reference Company The Fund Receives
Financing Rate
Expiration
Date
Counterparty Notional
Amount
Pay
Frequency
Value Unrealized
Appreciation
(Depreciation)
Extra Space Storage Incment, Inc. U.S. Fed Funds 1/24/2025 Barclays (1,900) Monthly $(274,153) $8,358
Exxon Mobil Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,429) Monthly (146,753) (5,371)
Fidelity National Information Services, Inc. U.S. Fed Funds 1/24/2025 Barclays (5,509) Monthly (275,367) (909)
FirstEnergy Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (9,716) Monthly (355,695) 12,055
Fiserv, Inc. U.S. Fed Funds 1/24/2025 Barclays (2,571) Monthly (364,385) (3,108)
Fluor Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (3,221) Monthly (121,215) (1,806)
FMC Corp. U.S. Fed Funds 1/24/2025 Barclays (4,937) Monthly (277,182) 1,265
Foot Locker, Inc. U.S. Fed Funds 1/24/2025 Barclays (7,159) Monthly (200,497) 1,744
Ford Motor Co. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (25,059) Monthly (292,789) 7,168
Freeport-McMoRan, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (9,037) Monthly (358,039) (6,814)
Gartner, Inc. U.S. Fed Funds 1/24/2025 Barclays (582) Monthly (266,096) 6,280
General Mills, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (5,521) Monthly (357,724) (10,840)
General Motors Co. U.S. Fed Funds 1/24/2025 Barclays (15,080) Monthly (584,586) (51,937)
Graphic Packaging Holding Company U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (6,861) Monthly (174,709) 1,207
HCA Healthcare, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,198) Monthly (364,587) (28,165)
Host Hotels & Resorts, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (17,037) Monthly (326,826) 10,506
Howmet Aerospace Inc. U.S. Fed Funds + (0.15)% 1/24/2025 Barclays (6,501) Monthly (365,381) (869)
Hyatt Hotels Corp., Class A U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (372) Monthly (47,666) (445)
Illumina, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,078) Monthly (153,941) (7,064)
Intel Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (994) Monthly (42,822) (48)
Intercontinental Exchange, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (805) Monthly (102,398) (215)
International Flavors & Fragrances, Inc. U.S. Fed Funds 1/24/2025 Barclays (3,746) Monthly (301,927) (3,147)
Intui, Inc. U.S. Fed Funds 1/24/2025 Barclays (472) Monthly (297,689) (41)
IQVIA, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,296) Monthly (269,355) 6,304
Iron Mountain, Inc. U.S. Fed Funds + (0.15)% 1/24/2025 Barclays (4,056) Monthly (273,609) (1,292)
Johnson Controls International PLC U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (5,896) Monthly (310,088) (1,138)
KB Home U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (1,444) Monthly (85,978) 2,073
Keysight Technologies, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,893) Monthly (289,593) (4,318)
KKR & Co., Inc. U.S. Fed Funds 1/24/2025 Barclays (3,438) Monthly (297,374) (7,688)
Kraft Heinz Foods Co. U.S. Fed Funds 1/24/2025 Barclays (9,696) Monthly (359,655) (3,230)
Kroger (The) Co. U.S. Fed Funds 1/24/2025 Barclays (5,901) Monthly (272,128) (1,095)
Lamb Weston Holdings, Inc. U.S. Fed Funds + (12.70)% 8/19/2026 Goldman Sachs (3,406) Monthly (348,214) 20,724
Lennar Corp. U.S. Fed Funds 1/24/2025 Barclays (2,008) Monthly (300,614) 11,168
Marriott International, Inc., Class A U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (1,028) Monthly (246,004) (5,694)
224

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Short Contracts for Difference at January 31, 2024:
Over the Counter(continued)
               
Reference Company The Fund Receives
Financing Rate
Expiration
Date
Counterparty Notional
Amount
Pay
Frequency
Value Unrealized
Appreciation
(Depreciation)
Marriott International, Inc., Class A U.S. Fed Funds 1/24/2025 Barclays (1,553) Monthly $(371,931) $(3,280)
Marvell Technology, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (4,141) Monthly (279,707) (11,938)
Medical Properties Trust, Inc. U.S. Fed Funds + (0.69)% 2/8/2024 JPMorgan Chase (5,981) Monthly (18,484) 1,792
Medical Properties Trust, Inc. U.S. Fed Funds + (0.60)% 1/24/2025 Barclays (26,584) Monthly (82,326) 3,806
Merck & Co., Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (503) Monthly (60,685) (792)
Metlife, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (5,197) Monthly (359,169) 2,127
Mohawk Industries, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (563) Monthly (58,616) (1,516)
NextEra Energy, Inc. U.S. Fed Funds + (10.77)% 8/19/2026 Goldman Sachs (6,811) Monthly (398,557) 11,731
Nordstrom, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (9,852) Monthly (178,372) 5,368
Oneok, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (3,966) Monthly (270,034) 12,623
Oracle Corp. U.S. Fed Funds + 20.00% 8/19/2026 Goldman Sachs (2,533) Monthly (282,834) 5,069
PayPal Holdings, Inc. U.S. Fed Funds + 42.00% 8/19/2026 Goldman Sachs (4,532) Monthly (277,845) 7,900
Penn National Gaming, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (4,526) Monthly (101,734) 11,441
Penn National Gaming, Inc. U.S. Fed Funds 1/24/2025 Barclays (7,533) Monthly (169,693) 6,127
Perkinelmer, Inc. U.S. Fed Funds 1/24/2025 Barclays (2,681) Monthly (287,063) (974)
Permian Resources Corp. U.S. Fed Funds 1/24/2025 Barclays (6,276) Monthly (84,517) (1,234)
Pfizer, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (9,781) Monthly (263,710) 13,288
Philip Morris International, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (3,220) Monthly (291,968) 12,354
Progressive Corp. U.S. Fed Funds 1/24/2025 Barclays (567) Monthly (100,257) (3,708)
Prologis, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (2,167) Monthly (273,672) 14,907
Prudential Financial, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (3,469) Monthly (363,338) (7,661)
PulteGroup, Inc. U.S. Fed Funds + 0.05% 1/24/2025 Barclays (548) Monthly (57,239) 2,625
QUALCOMM, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (84) Monthly (12,471) 504
Quanta Services, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (1,392) Monthly (269,256) 16,897
Raymond James Financial, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (2,643) Monthly (290,666) (1,759)
Raytheon Technologies Corp. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (4,034) Monthly (366,536) (20,257)
Raytheon Technologies Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (3,355) Monthly (305,173) (18,321)
Rexford Industrial Reality, Inc. U.S. Fed Funds 1/24/2025 Barclays (427) Monthly (22,418) 1,263
S&P Global, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (600) Monthly (268,230) (8,928)
Sealed Air Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (9,969) Monthly (343,754) 17,523
Semiconductor Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (3,461) Monthly (245,656) 9,666
Sempra Energy U.S. Fed Funds + 5.00% 8/19/2026 Goldman Sachs (3,455) Monthly (246,811) 10,448
Simon Property Group, Inc. U.S. Fed Funds + 20.00% 8/19/2026 Goldman Sachs (972) Monthly (134,419) 7,036
Southern (The) Co. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (353) Monthly (24,517) 306
Southwest Airlines Co. U.S. Fed Funds 1/24/2025 Barclays (11,613) Monthly (346,761) 3,487
Southwest Airlines Co. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (3,952) Monthly (117,977) (1,212)
225

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Short Contracts for Difference at January 31, 2024:
Over the Counter(continued)
               
Reference Company The Fund Receives
Financing Rate
Expiration
Date
Counterparty Notional
Amount
Pay
Frequency
Value Unrealized
Appreciation
(Depreciation)
Spirit AeroSystems Holdings, Inc., Class A U.S. Fed Funds 1/24/2025 Barclays (10,827) Monthly $(297,012) $(244)
Stellantis N.V. U.S. Fed Funds + (0.15)% 1/24/2025 Barclays (11,754) Monthly (257,850) (7,137)
Suncor Energy, Inc. U.S. Fed Funds + (0.15)% 1/24/2025 Barclays (1,571) Monthly (51,513) (1,728)
Targa Resources Partners L.P./Targa Resources Partners Finance Corp. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (4,069) Monthly (344,881) (1,752)
Target Corp. U.S. Fed Funds 1/24/2025 Barclays (2,426) Monthly (337,066) 3,447
TC Energy Corp. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (8,945) Monthly (351,620) 7,791
TC Energy Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (1,980) Monthly (77,927) 244
Teck Resources Ltd., Class B U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (4,661) Monthly (185,923) 1,263
Teledyne Technologies, Inc. U.S. Fed Funds 1/24/2025 Barclays (313) Monthly (130,854) 6,048
Tempur Sealy International, Inc. U.S. Fed Funds 1/24/2025 Barclays (5,891) Monthly (293,598) 9,848
Tesla, Inc. U.S. Fed Funds + (5.00)% 8/19/2026 Goldman Sachs (1,855) Monthly (346,778) 50,100
Texas Instruments, Inc. U.S. Fed Funds + 5.00% 8/19/2026 Goldman Sachs (461) Monthly (73,815) 1,526
Thermo Fisher Scientific, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (530) Monthly (284,760) 2,171
T-Mobile US, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (1,362) Monthly (218,925) 3,639
T-Mobile US, Inc. U.S. Fed Funds 1/24/2025 Barclays (2,271) Monthly (365,962) 7,345
Toll Brothers, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (1,593) Monthly (157,951) 3,250
Tractor Supply Company U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (250) Monthly (56,137) 700
TransDigm, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (227) Monthly (247,448) (21,088)
TransDigm, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (107) Monthly (116,711) (6,788)
Transocean Ltd. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (11,763) Monthly (64,016) 5,974
Transocean Ltd. U.S. Fed Funds 1/24/2025 Barclays (32,015) Monthly (174,628) (1,107)
Tyson Foods, Inc., Class A U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (12,119) Monthly (662,400) (339)
United Airlines Holdings, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (7,836) Monthly (323,820) (19,332)
United Parcel Service, Inc., Class B U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (2,247) Monthly (318,203) 30,824
United Rentals North America, Inc. U.S. Fed Funds 1/24/2025 Barclays (981) Monthly (613,335) (45,454)
Universal Health Services, Inc., Class B U.S. Fed Funds 1/24/2025 Barclays (849) Monthly (134,697) (2,211)
US Foods Holding Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (4,324) Monthly (198,652) (353)
Verizon Communications, Inc. U.S. Fed Funds 1/24/2025 Barclays (7,342) Monthly (310,792) (20,195)
VF Corp. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (17,312) Monthly (284,595) (17,631)
Viatris, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (18,359) Monthly (215,571) (248)
VICI Properties, Inc. U.S. Fed Funds 1/24/2025 Barclays (9,335) Monthly (280,882) 5,982
Walgreen Boots Alliance, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (2,881) Monthly (64,879) 1,010
Walmart, Inc. U.S. Fed Funds + 0.05% 1/24/2025 Barclays (2,093) Monthly (345,531) (5,648)
Walt Disney (The) Co. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (4,131) Monthly (396,299) (8,414)
226

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Short Contracts for Difference at January 31, 2024:
Over the Counter(continued)
               
Reference Company The Fund Receives
Financing Rate
Expiration
Date
Counterparty Notional
Amount
Pay
Frequency
Value Unrealized
Appreciation
(Depreciation)
Weyerhaeuser Co. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (1,099) Monthly $(35,943) $691
Williams (The) Cos., Inc. U.S. Fed Funds 1/24/2025 Barclays (5,854) Monthly (202,786) (3,925)
Workday, Inc. U.S. Fed Funds + (0.15)% 8/19/2026 Goldman Sachs (91) Monthly (26,440) (879)
Xcel Energy, Inc. U.S. Fed Funds + (0.15)% 2/8/2024 JPMorgan Chase (1,947) Monthly (116,195) 7,595
XPO, Inc. U.S. Fed Funds 1/24/2025 Barclays (1,401) Monthly (119,639) 871
Xylem, Inc. U.S. Fed Funds 1/24/2025 Barclays (2,708) Monthly (304,179) 2,854
Zimmer Biomet Holdings, Inc. U.S. Fed Funds 1/24/2025 Barclays (69) Monthly (8,658) (199)
Total (Cost $43,332,411)       (813,405)   $(43,343,009) $(10,598)
    
Credit Default Swap Contracts outstanding - Sell Protection as of January 31, 2024:
Centrally Cleared
                 
Reference Obligation Implied
Credit
Spread
Fixed
Deal
Receive Rate
Maturity
Date
  Notional
Amount
Value Upfront
Premiums
Paid/
(Received)
Unrealized
Appreciation
(Depreciation)
Markit CDX North America High Yield Index Series 41 (Pay Quarterly) 3.59% 5.00% 12/20/2028 USD 2,920,500 $182,056 $111,722 $70,334
Total           $182,056 $111,722 $70,334
227

Morningstar Funds Trust    January 31, 2024 (unaudited)

Schedule of Investments (continued)
Morningstar Alternatives Fund
Valuation Hierarchy
The following is a summary of the inputs used, as of January 31, 2024, in valuing the Fund's investments carried at fair value:
Morningstar Alternatives Fund Level 1 Level 2 Level 3 Totals
Investments        
Assets:        
Asset-Backed Securities $$2,722,312 $$2,722,312
Common Stocks 67,128,657 —* 67,128,657
Convertible Bonds 57,049,915 57,049,915
Convertible Preferred Stocks 1,658,182 1,170,307 2,828,489
Corporate Bonds 43,519,945 43,519,945
Foreign Issuer Bonds 6,020,615 6,020,615
Mortgage-Backed Securities 25,969,474 25,969,474
Preferred Stocks 4,660,284 4,660,284
Rights 287,322 287,322
Investment Companies 387,265 387,265
Short-Term Investments 6,563,927 13,664,676 20,228,603
Purchased Options 8,960 2,567 11,527
Total Assets – Investments at value $80,407,275 $150,119,811 $287,322 $230,814,408
Liabilities:        
Common Stocks $(22,534,710) $$$(22,534,710)
Rights —*
Total Liabilities – Investments at value $(22,534,710) $$$(22,534,710)
Net Investments $57,872,565 $150,119,811 $287,322 $208,279,698
    
*Includes securities determined to have no value as of January 31, 2024.
    
Morningstar Alternatives Fund Level 1 Level 2 Level 3 Totals
Derivative Financial Instruments        
Assets:        
Futures Contracts $388,390 $$— $388,390
Forward Foreign Currency Exchange Contracts 228,382 228,382
Contracts for Difference 47,886,513 47,886,513
Swap Agreements 182,056 182,056
Total Assets - Derivative Financial Instruments $388,390 $48,296,951 $— $48,685,341
Liabilities:        
Futures Contracts $(582,582) $$— $(582,582)
Forward Foreign Currency Exchange Contracts (356,324) (356,324)
Contracts for Difference (43,343,009) (43,343,009)
Total Liabilities - Derivative Financial Instruments $(582,582) $(43,699,333) $— $(44,281,915)
Net Derivative Financial Instruments $(194,192) $4,597,618 $— $4,403,426
228