0001145549-23-071580.txt : 20231127 0001145549-23-071580.hdr.sgml : 20231127 20231127122947 ACCESSION NUMBER: 0001145549-23-071580 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 6 CONFORMED PERIOD OF REPORT: 20230929 FILED AS OF DATE: 20231127 DATE AS OF CHANGE: 20231127 PERIOD START: 20231231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CLEARWATER INVESTMENT TRUST CENTRAL INDEX KEY: 0000811161 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-05038 FILM NUMBER: 231439210 BUSINESS ADDRESS: STREET 1: 2000 WELLS FARGO PLACE STREET 2: 30 EAST 7TH STREET CITY: ST PAUL STATE: MN ZIP: 55101-4930 BUSINESS PHONE: 651-228-0935 MAIL ADDRESS: STREET 1: 2000 WELLS FARGO PLACE STREET 2: 30 EAST 7TH STREET CITY: ST PAUL STATE: MN ZIP: 55101 0000811161 S000000698 Clearwater Select Equity Fund C000002051 Clearwater Select Equity Fund QWVOX NPORT-P 1 primary_doc.xml NPORT-P false 0000811161 XXXXXXXX S000000698 C000002051 Clearwater Investment Trust 811-05038 0000811161 549300DJTRHSZ8F9UE31 2000 Wells Fargo Place 30 East 7th Street St. Paul 55101 6512280935 Clearwater Select Equity Fund S000000698 549300JPAPXQ14UDMS55 2023-12-31 2023-09-29 N 379230138.370000000000 5326321.440000000000 373903816.930000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 1306733.320000000000 N Northern Inst Fds 549300Y178DO5JBR1S04 Northern Inst Fds GOVT SELECT PT 665278701 973096.07 NS USD 973096.07 0.2602530453 Long STIV RF US N 1 N N N Howmet Aerospace Inc 549300HO5WFZUT5N2T22 Howmet Aerospace Inc COM 443201108 53079 NS USD 2454903.75 0.6565602272 Long EC CORP US N 1 N N N ESC GCI LIBERTY INC 529900KBRR0AMACIJU82 ESC GCI LIBERTY INC SHS 361ESC049 39067 NS USD 0 0.0000000000 Long EC CORP US N 3 N N N LPL Financial Holdings Inc. 549300XROQ4Y8G2L7682 LPL Financial Holdings Inc. 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COM STK USD0.01 03152W109 25147 NS USD 305787.52 0.0817824013 Long EC CORP US N 1 N N N NOW Inc. 549300AVH5SOCFVVDW91 NOW Inc. COM USD0.01 67011P100 63873 NS USD 758172.51 0.2027720702 Long EC CORP US N 1 N N N Asbury Automotive Group, Inc. 549300JH4DTA7U42GL91 Asbury Automotive Group, Inc. COM USD0.01 043436104 500 NS USD 115035 0.0307659336 Long EC CORP US N 1 N N N Chesapeake Utilities Corporation 254900WW0FDCKAOCKE74 Chesapeake Utilities Corporation COM USD0.4867 165303108 744 NS USD 72726 0.0194504567 Long EC CORP US N 1 N N N Donnelley Financial Solutions Inc 549300O1NPY4J56QCU04 Donnelley Financial Solutions Inc COM USD0.01 25787G100 43551 NS USD 2451050.28 0.6555296226 Long EC CORP US N 1 N N N OmniAb Inc. N/A OmniAb Inc. USD0.0001 A (USD12.5 VESTING) 68218J202 4983 NS USD 0 0.0000000000 Long EC CORP US N 3 N N N InfuSystem Holdings inc. 549300F58N8PHJ4QUI59 InfuSystem Holdings inc. COM STK USD0.0001 45685K102 78462 NS USD 756373.68 0.2022909758 Long EC CORP US N 1 N N N Lantronix Inc N/A Lantronix Inc COM USD0.001 516548203 139774 NS USD 621994.3 0.1663514176 Long EC CORP US N 1 N N N Photronics Inc. 549300OK5JVNIBNY6F63 Photronics Inc. COM USD0.01 719405102 2200 NS USD 44462 0.0118912934 Long EC CORP US N 1 N N N Apogee Enterprises 549300579S7QW8V4IJ60 Apogee Enterprises COM USD0.33 1/3 037598109 200 NS USD 9416 0.0025182947 Long EC CORP US N 1 N N N HCI Group, Inc. 549300CZF7EZJH0MPH74 HCI Group, Inc. 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COM USD0.01 062540109 3900 NS USD 193791 0.0518291045 Long EC CORP US N 1 N N N Knights Group Holdings Plc 213800URB59EOGJKT919 Knights Group Holdings Plc ORD GBP0.002 G5S03U102 411012 NS 468869.63 0.1253984605 Long EC CORP GB N 2 N N N Karat Packaging Inc. 549300JYUKCQP3P8D632 Karat Packaging Inc. COM 48563L101 33271 NS USD 767229.26 0.2051942840 Long EC CORP US N 1 N N N Redwood Trust Inc DRBV4N1ERQLEMIF11G78 Redwood Trust Inc COM STK USD0.01 758075402 2300 NS USD 16399 0.0043858873 Long EC CORP US N 1 N N N ScanSource Inc. 7FHBAN017QDY4K2KP156 ScanSource Inc. COM NPV 806037107 900 NS USD 27279 0.0072957265 Long EC CORP US N 1 N N N Bowman Consulting Group Ltd N/A Bowman Consulting Group Ltd COM 103002101 26182 NS USD 733881.46 0.1962754662 Long EC CORP US N 1 N N N Thunderbird Entertainment Group Inc 549300UXXHTSX6VCMJ56 Thunderbird Entertainment Group Inc COM 88605U107 151687 NS 238991.48 0.0639179033 Long EC CORP CA N 2 N N N Scholastic Corporation N/A Scholastic Corporation COM USD0.01 807066105 1200 NS USD 45768 0.0122405811 Long EC CORP US N 1 N N N Shoe Carnival Inc N/A Shoe Carnival Inc COM USD0.01 824889109 600 NS USD 14418 0.0038560719 Long EC CORP US N 1 N N N John Bean Technologies Corp. 5493007CT6ATBZ2L6826 John Bean Technologies Corp. 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COM USD0.01 922417100 400 NS USD 11244 0.0030071905 Long EC CORP US N 1 N N N Outfront Media Inc 549300RZWDYU5722I639 Outfront Media Inc COM NPV 69007J106 16500 NS USD 166650 0.0445702858 Long EC CORP US N 1 N N N Triumph Financial Inc 5493003RNRMEVYDZ1Q52 Triumph Financial Inc COM USD0.01 89679E300 800 NS USD 51832 0.0138623886 Long EC CORP US N 1 N N N Vericel Corporation 54930076YM3PLTDR4B91 Vericel Corporation COM NPV 92346J108 2500 NS USD 83800 0.0224121809 Long EC CORP US N 1 N N N Digital Turbine, Inc. 549300D0WZR1VI2QGB24 Digital Turbine, Inc. COM USD0.0001 25400W102 80921 NS USD 489572.05 0.1309352908 Long EC CORP US N 1 N N N Global Net Lease Inc 549300NUYANCT5SU8Z65 Global Net Lease Inc COM USD0.01 379378201 3400 NS USD 32674 0.0087386110 Long EC CORP US N 1 N N N OptimizeRx Corp. N/A OptimizeRx Corp. 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COM USD0.01 CL'A' 83545G102 823 NS USD 39306.48 0.0105124575 Long EC CORP US N 1 N N N Buckle Inc 5299007IU0461T3GDL34 Buckle Inc COM USD0.01 118440106 200 NS USD 6678 0.0017860208 Long EC CORP US N 1 N N N CIRCOR International Inc. 5493007701O01N3FQM69 CIRCOR International Inc. COM USD0.01 17273K109 700 NS USD 39025 0.0104371761 Long EC CORP US N 1 N N N Radian Group Inc. 54930005OUP720S5U385 Radian Group Inc. 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COM USD0.01 297602104 300 NS USD 8970 0.0023990127 Long EC CORP US N 1 N N N FED Signal Corp 549300RTXZRPTNP6G884 FED Signal Corp COM USD1 313855108 3316 NS USD 198064.68 0.0529720936 Long EC CORP US N 1 N N N Corvel Corp N/A Corvel Corp COM USD0.0001 221006109 400 NS USD 78660 0.0210374959 Long EC CORP US N 1 N N N TTM Technologies Inc 549300SC4BDOIS008048 TTM Technologies Inc COM NPV 87305R109 5905 NS USD 76056.4 0.0203411670 Long EC CORP US N 1 N N N Haverty Furniture Cos Inc 529900CVFMMIRXZVPD70 Haverty Furniture Cos Inc COM USD1 419596101 800 NS USD 23024 0.0061577333 Long EC CORP US N 1 N N N Helen Of Troy Corp N/A Helen Of Troy Corp COM USD0.10 G4388N106 2401 NS USD 279860.56 0.0748482758 Long EC CORP BM N 1 N N N Oil States International, Inc. 5493004TF4KQJGMYL777 Oil States International, Inc. COM USD0.01 678026105 1100 NS USD 9207 0.0024623980 Long EC CORP US N 1 N N N Insight Enterprises Inc. 529900S8991TYW6YP792 Insight Enterprises Inc. COM USD0.01 45765U103 1700 NS USD 247350 0.0661533766 Long EC CORP US N 1 N N N Kelly Services Inc N/A Kelly Services Inc CLASS'A'NON-VTG USD1 488152208 1900 NS USD 34561 0.0092432862 Long EC CORP US N 1 N N N Aaon Inc 549300ZHF0E5VM7PUD37 Aaon Inc COM STK USD0.004 000360206 2550 NS USD 145018.5 0.0387849745 Long EC CORP US N 1 N N N Encore Wire Corp N/A Encore Wire Corp COM USD0.01 292562105 800 NS USD 145968 0.0390389168 Long EC CORP US N 1 N N N M.D.C. Holdings Inc. 5299005FV4VNV75R8R35 M.D.C. Holdings Inc. COM USD0.01 552676108 3500 NS USD 144305 0.0385941500 Long EC CORP US N 1 N N N Foot Locker, Inc. 549300X383CBNP6MTV94 Foot Locker, Inc. COM USD0.01 344849104 7800 NS USD 135330 0.0361938001 Long EC CORP US N 1 N N N M/I Homes Inc. 5299005M71FH9CCSFB69 M/I Homes Inc. COM USD0.01 55305B101 1500 NS USD 126060 0.0337145529 Long EC CORP US N 1 N N N Mercury General Corporation 5493001Q9EXPCEL4W527 Mercury General Corporation COM NPV 589400100 2100 NS USD 58863 0.0157428187 Long EC CORP US N 1 N N N Minerals Technologies Inc. 549300D3I1QU67GP6403 Minerals Technologies Inc. COM USD0.10 603158106 1700 NS USD 93092 0.0248973120 Long EC CORP US N 1 N N N Moog Inc. 549300WM2I4U7OBAHG07 Moog Inc. CLASS'A'L/VTG COM USD1 615394202 1500 NS USD 169440 0.0453164671 Long EC CORP US N 1 N N N Oceaneering International, Inc. 549300L6PH74701W0R30 Oceaneering International, Inc. COM USD0.25 675232102 3994 NS USD 102725.68 0.0274738249 Long EC CORP US N 1 N N N Patterson-UTI Energy Inc. 254900XGFBKIXD6G0697 Patterson-UTI Energy Inc. COM USD0.01 703481101 21962 NS USD 303954.08 0.0812920506 Long EC CORP US N 1 N N N Allegiant Travel Company 549300JM9OZXOHWL2K18 Allegiant Travel Company COM USD0.001 01748X102 600 NS USD 46116 0.0123336532 Long EC CORP US N 1 N N N Cinemark Holdings Inc. 549300LL2QMPTYIE0K55 Cinemark Holdings Inc. COM USD0.001 17243V102 400 NS USD 7340 0.0019630717 Long EC CORP US N 1 N N N Eagle Bancorp Inc 549300B47NZODRMG3D47 Eagle Bancorp Inc COM USD0.01 268948106 6600 NS USD 141570 0.0378626785 Long EC CORP US N 1 N N N Heritage Financial N/A Heritage Financial COM NPV 42722X106 4121 NS USD 67213.51 0.0179761497 Long EC CORP US N 1 N N N HealthStream Inc. 529900OJ88H8635JNH64 HealthStream Inc. COM NPV 42222N103 300 NS USD 6474 0.0017314613 Long EC CORP US N 1 N N N Techtarget Inc 529900YQA5JL2H2VMB84 Techtarget Inc COM STK USD0.001 87874R100 900 NS USD 27324 0.0073077617 Long EC CORP US N 1 N N N Trimas Corporation 75G1WUQ8QK4P5MZOYD78 Trimas Corporation COM STK USD0.01 896215209 7847 NS USD 194291.72 0.0519630213 Long EC CORP US N 1 N N N Universal Insurance Holdings Inc 529900GGAZ6WVUCWQM46 Universal Insurance Holdings Inc COM USD0.01 91359V107 500 NS USD 7010 0.0018748137 Long EC CORP US N 1 N N N InterDigital, Inc. 529900HQAUTC3VI47G64 InterDigital, Inc. COM STK USD0.01 45867G101 1700 NS USD 136408 0.0364821095 Long EC CORP US N 1 N N N Hilltop Holdings Inc 54930010TA543US0PM65 Hilltop Holdings Inc COM STK USD0.01 432748101 2500 NS USD 70900 0.0189620958 Long EC CORP US N 1 N N N American Assets Trust Inc. N/A American Assets Trust Inc. COM USD0.01 024013104 300 NS USD 5835 0.0015605618 Long EC CORP US N 1 N N N Whitestone REIT N/A Whitestone REIT SBI COM USD0.001 CL 'B' 966084204 2500 NS USD 24075 0.0064388217 Long EC CORP US N 1 N N N CVR Energy Inc 529900SOYZIXZBTXB558 CVR Energy Inc COM USD0.01 12662P108 1061 NS USD 36105.83 0.0096564486 Long EC CORP US N 1 N N N Ensign Group Inc 5493003K4HEEA8Q0BC72 Ensign Group Inc COM USD0.001 29358P101 2225 NS USD 206769.25 0.0553001175 Long EC CORP US N 1 N N N DISH Network Corporation 529900U350CWHH15G169 DISH Network Corporation COM USD0.01 CLASS A 25470M109 27000 NS USD 158220 0.0423156953 Long EC CORP US N 1 N N N Hillenbrand, Inc. U246OE781574J2BUD366 Hillenbrand, Inc. COM STK NPV 431571108 3809 NS USD 161158.79 0.0431016702 Long EC CORP US N 1 N N N Alpha & Omega Semiconductor Ltd. 5493001FE7J03YOV2V35 Alpha & Omega Semiconductor Ltd. COM USD0.002 G6331P104 200 NS USD 5968 0.0015961324 Long EC CORP BM N 1 N N N ANI Pharmaceuticals Inc. 5493000T6CXTND40YH31 ANI Pharmaceuticals Inc. COM USD0.0001 00182C103 700 NS USD 40642 0.0108696403 Long EC CORP US N 1 N N N Fabrinet 5493004TETZ6IYF7CV44 Fabrinet COM USD0.01 G3323L100 100 NS USD 16662 0.0044562262 Long EC CORP KY N 1 N N N Northern Inst Fds 549300Y178DO5JBR1S04 Northern Inst Fds GOVT SELECT PT 665278701 470551.94 NS USD 470551.94 0.1258483917 Long STIV RF US N 1 N N N Perrigo Company PLC 549300IFOQS6R1QLY196 Perrigo Company PLC COM EUR0.001 G97822103 65520 NS USD 2093364 0.5598669779 Long EC CORP IE N 1 N N N MasterBrand Inc 549300E0Y4BR5Z9RDZ64 MasterBrand Inc COMMON STOCK 57638P104 97496 NS USD 1184576.4 0.3168131338 Long EC CORP US N 1 N N N Associated Banc-Corp 549300N3CIN473IW5094 Associated Banc-Corp COM USD0.01 045487105 119510 NS USD 2044816.1 0.5468829168 Long EC CORP US N 1 N N N Avnet, Inc. XJI53DCPL7QABOWK4Z75 Avnet, Inc. COM USD1.00 053807103 51756 NS USD 2494121.64 0.6670489915 Long EC CORP US N 1 N N N Celestica Inc. 549300J3CG5T6RZWLN53 Celestica Inc. SUB ORD VTG SHS NPV 15101Q108 110415 NS USD 2707375.8 0.7240834882 Long EC CORP CA N 1 N N N Old National Bancorp 549300MMK90CL5KMVX16 Old National Bancorp COM NPV 680033107 146586 NS USD 2131360.44 0.5700290672 Long EC CORP US N 1 N N N Steelcase Inc GIE4CCPBJDI8SMV1OX95 Steelcase Inc COM NPV 858155203 298314 NS USD 3332167.38 0.8911830340 Long EC CORP US N 1 N N N Bread Financial Holdings Inc 549300G8S4PO686J7H97 Bread Financial Holdings Inc COM USD0.01 018581108 25599 NS USD 875485.8 0.2341473289 Long EC CORP US N 1 N N N WSFS Financial Corporation 549300SU7VQHD6QRG886 WSFS Financial Corporation COM USD0.01 929328102 36559 NS USD 1334403.5 0.3568841610 Long EC CORP US N 1 N N N Woodward Governor YPYKXXTR8TFDH54ZMB45 Woodward Governor COM USD0.00875 980745103 21790 NS USD 2707625.4 0.7241502433 Long EC CORP US N 1 N N N The Gap Inc T2ZG1WRWZ4BUCMQL9224 The Gap Inc COM USD0.05 364760108 214571 NS USD 2280889.73 0.6100204456 Long EC CORP US N 1 N N N MKS Instruments Inc. 549300KEQATBHAGVF505 MKS Instruments Inc. COM NPV 55306N104 18520 NS USD 1602720.8 0.4286452097 Long EC CORP US N 1 N N N Genesco Inc 549300VY2Q511P1K5P56 Genesco Inc COM USD1 371532102 28735 NS USD 885612.7 0.2368557527 Long EC CORP US N 1 N N N Columbia Banking System Inc. N/A Columbia Banking System Inc. COM NPV 197236102 66805 NS USD 1356141.5 0.3626979556 Long EC CORP US N 1 N N N Advance Auto Parts Inc. 529900UCNQ5H9FSL0Y70 Advance Auto Parts Inc. COM USD0.0001 00751Y106 24800 NS USD 1387064 0.3709681306 Long EC CORP US N 1 N N N Newell Brands Inc. 549300LWGYFM1TVO1Z12 Newell Brands Inc. COM USD1 651229106 169284 NS USD 1528634.52 0.4088309482 Long EC CORP US N 1 N N N Olin Corporation 549300GKK294V7W57P06 Olin Corporation COM USD1 680665205 51753 NS USD 2586614.94 0.6917861821 Long EC CORP US N 1 N N N ScanSource Inc. 7FHBAN017QDY4K2KP156 ScanSource Inc. COM NPV 806037107 69327 NS USD 2101301.37 0.5619898153 Long EC CORP US N 1 N N N American Woodmark Corporation 5299007PFSDWMA74RB56 American Woodmark Corporation COM NPV 030506109 25151 NS USD 1901667.11 0.5085979399 Long EC CORP US N 1 N N N Terex Corporation YAWJZJYEQ7M1SYMOS462 Terex Corporation COM USD0.01 880779103 14846 NS USD 855426.52 0.2287825054 Long EC CORP US N 1 N N N USANA Health Sciences Inc. 549300YTURXE814MAH96 USANA Health Sciences Inc. COM USD0.001 90328M107 27734 NS USD 1625489.74 0.4347347276 Long EC CORP US N 1 N N N Universal Corporation 549300BZXZ66F6DTIF20 Universal Corporation COM NPV 913456109 45602 NS USD 2152870.42 0.5757818783 Long EC CORP US N 1 N N N Malibu Boats Inc 549300MHGS3WZNRLUK77 Malibu Boats Inc COM USD0.01 CL A 56117J100 32910 NS USD 1613248.2 0.4314607466 Long EC CORP US N 1 N N N Integer Holdings Corporation 549300SUD2ED5XG6X569 Integer Holdings Corporation COM NPV 45826H109 26150 NS USD 2050944.5 0.5485219479 Long EC CORP US N 1 N N N JELD-WEN Holding Inc. 529900AXX7CT9GZSCS30 JELD-WEN Holding Inc. COM USD0.01 47580P103 137083 NS USD 1831428.88 0.4898128334 Long EC CORP US N 1 N N N Spectrum Brands Holdings Inc 549300JM0MJETDD30O20 Spectrum Brands Holdings Inc COM USD0.01 84790A105 26336 NS USD 2063425.6 0.5518599989 Long EC CORP US N 1 N N N Univest Financial Corp. 4WII2HCR8UEWNU03U507 Univest Financial Corp. COM USD5 915271100 57749 NS USD 1003677.62 0.2684320337 Long EC CORP US N 1 N N N Dentsply Sirona Inc 9NHEHR1SOZCYXDO8HO28 Dentsply Sirona Inc COM USD0.01 24906P109 61340 NS USD 2095374.4 0.5604046563 Long EC CORP US N 1 N N N Essent Group Limited 254900QUO860OUT6ZF83 Essent Group Limited COM USD0.015 G3198U102 50710 NS USD 2398075.9 0.6413617063 Long EC CORP BM N 1 N N N NOV Inc. 549300EHF3IW1AR6U008 NOV Inc. COM 62955J103 134834 NS USD 2818030.6 0.7536779440 Long EC CORP US N 1 N N N GMS Inc 52990057RENOQO4U0D72 GMS Inc COM USD0.01 36251C103 24445 NS USD 1563746.65 0.4182216333 Long EC CORP US N 1 N N N Ingredion Incorporated PKSTQ48QDN0XSVS7YK88 Ingredion Incorporated COM USD0.01 457187102 13130 NS USD 1291992 0.3455412706 Long EC CORP US N 1 N N N BWX Technologies Inc 549300NP85N265KWMS58 BWX Technologies Inc COM USD0.01 05605H100 24526 NS USD 1838959.48 0.4918268808 Long EC CORP US N 1 N N N Resideo Technologies Inc 5493006TKFPYISY2DS54 Resideo Technologies Inc COM USD0.001 76118Y104 164470 NS USD 2598626 0.6949985216 Long EC CORP US N 1 N N N Northern Inst Fds 549300Y178DO5JBR1S04 Northern Inst Fds GOVT SELECT PT 665278701 1330790.58 NS USD 1330790.58 0.3559178911 Long STIV RF US N 1 N N N Independent Bank Group Inc N/A Independent Bank Group Inc COM USD0.01 45384B106 700 NS USD 27685 0.0074043106 Long EC CORP US N 1 N N N ServisFirst Bancshares, Inc. N/A ServisFirst Bancshares, Inc. COM USD0.001 81768T108 2800 NS USD 146076 0.0390678012 Long EC CORP US N 1 N N N Timkensteel Corporation 549300QZTZWHDE9HJL14 Timkensteel Corporation COM NPV 887399103 1500 NS USD 32580 0.0087134708 Long EC CORP US N 1 N N N Century Communities Inc 5299002QMB2O7ZL1CA26 Century Communities Inc COM USD0.01 156504300 1929 NS USD 128818.62 0.0344523415 Long EC CORP US N 1 N N N Veritiv Corporation 529900VQARHWQROHAS58 Veritiv Corporation COM USD1 923454102 400 NS USD 67560 0.0180688180 Long EC CORP US N 1 N N N ESCO Technologies Inc. 5493007JJLP5MEWVDH10 ESCO Technologies Inc. COM USD0.01 296315104 1000 NS USD 104440 0.0279323172 Long EC CORP US N 1 N N N Cohu Inc 529900FJPORJ3JJ2XS33 Cohu Inc COM USD1 192576106 2700 NS USD 92988 0.0248694974 Long EC CORP US N 1 N N N Woodward Governor YPYKXXTR8TFDH54ZMB45 Woodward Governor COM USD0.00875 980745103 700 NS USD 86982 0.0232632019 Long EC CORP US N 1 N N N H B Fuller Company JSMX3Z5FOYM8V0Q52357 H B Fuller Company COM USD1 359694106 1880 NS USD 128986.8 0.0344973210 Long EC CORP US N 1 N N N OraSure Technologies Inc. 529900GNNJPNM4XHXQ77 OraSure Technologies Inc. COM USD0.000001 68554V108 2400 NS USD 14232 0.0038063265 Long EC CORP US N 1 N N N Granite Construction Inc 549300OM4BWMCIXVCZ39 Granite Construction Inc COM USD0.01 387328107 2431 NS USD 92426.62 0.0247193572 Long EC CORP US N 1 N N N Enviri Corp. KAO98FK89NPNNPQGUZ43 Enviri Corp. COM USD1.25 415864107 4400 NS USD 31768 0.0084963027 Long EC CORP US N 1 N N N Otter Tail Corporation 549300HHVBQRQUVKKD91 Otter Tail Corporation COM USD5 689648103 900 NS USD 68328 0.0182742184 Long EC CORP US N 1 N N N PDF Solutions Inc 549300GMSP6MROFBI160 PDF Solutions Inc COM USD0.00015 693282105 1000 NS USD 32400 0.0086653301 Long EC CORP US N 1 N N N La-Z-Boy Inc 549300WNO1WMN9ZG2519 La-Z-Boy Inc COM USD1 505336107 600 NS USD 18528 0.0049552851 Long EC CORP US N 1 N N N Harmonic Inc 549300LRGRD8XC9BTL66 Harmonic Inc COM USD0.001 413160102 3900 NS USD 37557 0.0100445618 Long EC CORP US N 1 N N N Chevron Corp. N/A Chevron Corp. COM USD0.75 166764100 362 NS USD 61040.44 0.0163251717 Long EC CORP US N 1 N N N Meritage Homes Corp 52990044W9UMFJO2FB97 Meritage Homes Corp COM USD0.01 59001A102 1348 NS USD 164981.72 0.0441241069 Long EC CORP US N 1 N N N Vector Group Ltd 549300TUIF4WWN6NDN50 Vector Group Ltd COM USD0.1 92240M108 5100 NS USD 54264 0.0145128232 Long EC CORP US N 1 N N N Independent Bank Corp. 549300C5K3W8THR3GE10 Independent Bank Corp. COM USD0.01 453836108 200 NS USD 9818 0.0026258090 Long EC CORP US N 1 N N N LXP Industrial Trust 549300S4MH2ICXDBFV43 LXP Industrial Trust COM USD0.0001 529043101 15100 NS USD 134390 0.0359423985 Long EC CORP US N 1 N N N Matthews International Corp 549300ZVC5O0ATML6U61 Matthews International Corp CLASS'A'COM USD1 577128101 2100 NS USD 81711 0.0218534811 Long EC CORP US N 1 N N N AMN Healthcare Services Inc 529900W3ARRTCNFH2I39 AMN Healthcare Services Inc COM USD0.01 001744101 2400 NS USD 204432 0.0546750236 Long EC CORP US N 1 N N N MillerKnoll Inc. U98HXD3PNK7HYU2MU887 MillerKnoll Inc. COM USD0.20 600544100 2400 NS USD 58680 0.0156938756 Long EC CORP US N 1 N N N Urban Outfitters Inc. 549300N3DUFR5U6NRN38 Urban Outfitters Inc. COM USD0.0001 917047102 822 NS USD 26871.18 0.0071866557 Long EC CORP US N 1 N N N Avista Corporation Q0IK63NITJD6RJ47SW96 Avista Corporation COM NPV 05379B107 5900 NS USD 190983 0.0510781092 Long EC CORP US N 1 N N N WD-40 Co. 549300UZHTN0CNKBOB19 WD-40 Co. COM USD0.001 929236107 300 NS USD 60972 0.0163068675 Long EC CORP US N 1 N N N Shenandoah Telecommunications Co. 549300XH3H4OUKFPHS84 Shenandoah Telecommunications Co. COM STK NPV 82312B106 600 NS USD 12366 0.0033072677 Long EC CORP US N 1 N N N Quanex Building Products Corp. 5493000TL30VL5WOAW87 Quanex Building Products Corp. COM STK USD0.01 747619104 400 NS USD 11268 0.0030136092 Long EC CORP US N 1 N N N Select Medical Holdings Corporation N/A Select Medical Holdings Corporation COM USD0.001 81619Q105 4000 NS USD 101080 0.0270336903 Long EC CORP US N 1 N N N SM Energy Co. 84BUTVXV5ODI6BXNMH43 SM Energy Co. COM USD0.01 78454L100 3209 NS USD 127236.85 0.0340292996 Long EC CORP US N 1 N N N Air Lease Corporation 5493004NW4M4P8TMMK63 Air Lease Corporation COM USD0.01 00912X302 281 NS USD 11074.21 0.0029617804 Long EC CORP US N 1 N N N Chefs Warehouse Inc. 549300JYEDC8C547E980 Chefs Warehouse Inc. COM USD0.01 163086101 1624 NS USD 34396.32 0.0091992428 Long EC CORP US N 1 N N N Yelp Inc 5299007OU2DOSXPQBO35 Yelp Inc COM USD0.000001 985817105 3804 NS USD 158208.36 0.0423125822 Long EC CORP US N 1 N N N Anywhere Real Estate Inc. 5493004HBTOTE9DI9P12 Anywhere Real Estate Inc. COM USD0.01 75605Y106 1900 NS USD 12217 0.0032674178 Long EC CORP US N 1 N N N Hannon Armstrong Sustainable Infrastructure Capital, Inc. N/A Hannon Armstrong Sustainable Infrastructure Capital, Inc. COM USD0.01 41068X100 8800 NS USD 186560 0.0498951847 Long EC CORP US N 1 N N N NMI Holdings Inc 529900KNNGFXJX1C3Z08 NMI Holdings Inc COM USD0.01 CL 'A' 629209305 2724 NS USD 73793.16 0.0197358670 Long EC CORP US N 1 N N N LGI Homes Inc 549300W02B4WNV8CV109 LGI Homes Inc COM USD0.01 50187T106 700 NS USD 69643 0.0186259131 Long EC CORP US N 1 N N N Knowles Corporation 5493003EO323TDZQU148 Knowles Corporation COM USD1.0 49926D109 5000 NS USD 74050 0.0198045585 Long EC CORP US N 1 N N N AXIS Capital Holdings Limited N/A AXIS Capital Holdings Limited COM USD0.0125 G0692U109 2761 NS USD 155637.57 0.0416250284 Long EC CORP BM N 1 N N N The Andersons Inc L38MWB8MVRFV7HVJPU11 The Andersons Inc COM NPV 034164103 1800 NS USD 92718 0.0247972863 Long EC CORP US N 1 N N N US Silica Holdings Inc 529900HOXGPM9F75C193 US Silica Holdings Inc COM USD0.01 90346E103 2000 NS USD 28080 0.0075099528 Long EC CORP US N 1 N N N Matson Inc 549300OI5H3Y0I9I4I12 Matson Inc COM NPV 57686G105 1500 NS USD 133080 0.0355920410 Long EC CORP US N 1 N N N Chuys Holdings Inc N/A Chuys Holdings Inc COM USD0.01 171604101 5608 NS USD 199532.64 0.0533646973 Long EC CORP US N 1 N N N Customers Bancorp, Inc. 549300WLBCHYKZ53FN68 Customers Bancorp, Inc. COM USD1 23204G100 8000 NS USD 275600 0.0737087956 Long EC CORP US N 1 N N N PBF Energy Inc 2549003PBEDCSZMZIY02 PBF Energy Inc COM USD0.001 69318G106 580 NS USD 31047.4 0.0083035793 Long EC CORP US N 1 N N N A10 Networks Inc 549300UQD4IWUML81Q35 A10 Networks Inc COM USD0.00001 002121101 3600 NS USD 54108 0.0144711013 Long EC CORP US N 1 N N N Helix Energy Solutions Group, Inc. 416AP2JOUTCWEGSOZW41 Helix Energy Solutions Group, Inc. COM NPV 42330P107 3180 NS USD 35520.6 0.0094999298 Long EC CORP US N 1 N N N Ultra Clean Holdings Inc 5493007L6LS7QX18PE75 Ultra Clean Holdings Inc COM USD0.001 90385V107 145 NS USD 4302.15 0.0011506034 Long EC CORP US N 1 N N N Pacific Premier Bancorp Inc 549300Q1KIC3KLI0XG98 Pacific Premier Bancorp Inc COM USD0.01 69478X105 8430 NS USD 183436.8 0.0490598897 Long EC CORP US N 1 N N N Liveperson Inc 549300IN2P1JZ20G7N40 Liveperson Inc COM USD0.001 538146101 15300 NS USD 59517 0.0159177300 Long EC CORP US N 1 N N N Koppers Holdings Inc N/A Koppers Holdings Inc COM STK USD0.01 50060P106 1409 NS USD 55725.95 0.0149038195 Long EC CORP US N 1 N N N Dorman Products Inc. N/A Dorman Products Inc. COM USD0.01 258278100 124 NS USD 9394.24 0.0025124750 Long EC CORP US N 1 N N N PGT Innovations Inc 549300LRW9WM59C1S579 PGT Innovations Inc COM USD0.01 69336V101 3145 NS USD 87273.75 0.0233412300 Long EC CORP US N 1 N N N Kaiser Aluminium Corporation N/A Kaiser Aluminium Corporation COM USD0.01 483007704 900 NS USD 67734 0.0181153540 Long EC CORP US N 1 N N N Green Plains Inc VJ5WLTHARBSDR14KIZ98 Green Plains Inc COM STK USD0.001 393222104 2200 NS USD 66220 0.0177104370 Long EC CORP US N 1 N N N Amerisafe Inc 2549002B4EXPBLGMNN22 Amerisafe Inc COM STK USD0.01 03071H100 400 NS USD 20028 0.0053564578 Long EC CORP US N 1 N N N Virtus Investment Partners Inc 549300HWF93HB8BDM648 Virtus Investment Partners Inc COM USD0.01 92828Q109 200 NS USD 40398 0.0108043829 Long EC CORP US N 1 N N N MYR Grp Inc 529900G1IMMZHOQ17I54 MYR Grp Inc COM USD0.01 55405W104 600 NS USD 80856 0.0216248127 Long EC CORP US N 1 N N N OPENLANE Inc 5493004HKD20LBSG7D03 OPENLANE Inc COM USD0.01 48238T109 6300 NS USD 93996 0.0251390854 Long EC CORP US N 1 N N N Maxlinear Inc 549300EMOI0SM2IY4F64 Maxlinear Inc COM USD0.01 57776J100 7720 NS USD 171770 0.0459396220 Long EC CORP US N 1 N N N Hudson Pacific Properties Inc N/A Hudson Pacific Properties Inc COM USD0.01 444097109 22500 NS USD 149625 0.0400169758 Long EC CORP US N 1 N N N FutureFuel Corp. 529900WYQZSMWFXLA845 FutureFuel Corp. COM USD0.0001 36116M106 1800 NS USD 12906 0.0034516898 Long EC CORP US N 1 N N N Central Garden & Pet Company 5493004DVZLD37DJ0H83 Central Garden & Pet Company COM STK CL 'A' USD0.01 153527205 400 NS USD 16036 0.0042888035 Long EC CORP US N 1 N N N Neogenomics Inc 549300KN62PPGHBVXB46 Neogenomics Inc COM NPV 64049M209 5100 NS USD 62730 0.0167770419 Long EC CORP US N 1 N N N Gentherm Inc HKM6YX1U5JS60TCUB219 Gentherm Inc COM NPV 37253A103 1300 NS USD 70538 0.0188652795 Long EC CORP US N 1 N N N HCI Group, Inc. 549300CZF7EZJH0MPH74 HCI Group, Inc. COM NPV 40416E103 300 NS USD 16287 0.0043559331 Long EC CORP US N 1 N N N Premier Inc N/A Premier Inc COM USD0.01 CL'A' 74051N102 9000 NS USD 193500 0.0517512770 Long EC CORP US N 1 N N N Amphastar Pharmaceuticals Inc 54930055TH0ZLSAQMJ38 Amphastar Pharmaceuticals Inc COM USD0.0001 03209R103 2100 NS USD 96579 0.0258299048 Long EC CORP US N 1 N N N John Bean Technologies Corp. 5493007CT6ATBZ2L6826 John Bean Technologies Corp. COM USD0.01 477839104 1248 NS USD 131214.72 0.0350931748 Long EC CORP US N 1 N N N Avantax Inc 5299001IO03J69IP6L77 Avantax Inc COM USD0.0001 095229100 1800 NS USD 46044 0.0123143969 Long EC CORP US N 1 N N N Alexander & Baldwin Inc N/A Alexander & Baldwin Inc COM USD0.01 014491104 2700 NS USD 45171 0.0120809144 Long EC CORP US N 1 N N N Bloomin Brands Inc E1UJ2GO305B5FXGV7N04 Bloomin Brands Inc COM USD0.01 094235108 4763 NS USD 117122.17 0.0313241440 Long EC CORP US N 1 N N N Evertec Inc N/A Evertec Inc USD0.01 30040P103 2259 NS USD 83989.62 0.0224628945 Long EC CORP PR N 1 N N N Marcus & Millichap Inc 549300B2HE8ULXNB1N48 Marcus & Millichap Inc COM USD0.0001 566324109 191 NS USD 5603.94 0.0014987651 Long EC CORP US N 1 N N N Arcbest Corporation 5493006S3KBNE8ZS3J23 Arcbest Corporation COM USD0.01 03937C105 1766 NS USD 179513.9 0.0480107161 Long EC CORP US N 1 N N N Caretrust Reit Inc 5493001NVXE2B9GPLU96 Caretrust Reit Inc COM USD0.01 WHEN ISSUED 14174T107 5346 NS USD 109593 0.0293104791 Long EC CORP US N 1 N N N First Hawaiian Inc. 5493002DJSH46F5OLV06 First Hawaiian Inc. COM USD0.01 32051X108 9275 NS USD 167413.75 0.0447745496 Long EC CORP US N 1 N N N Uniti Group Inc 549300V3NU625PJUVA84 Uniti Group Inc COM USD0.0001 91325V108 44800 NS USD 211456 0.0565535815 Long EC CORP US N 1 N N N NV5 Global Inc. N/A NV5 Global Inc. COM USD0.01 62945V109 100 NS USD 9623 0.0025736565 Long EC CORP US N 1 N N N LCI Industries 549300E1B98YNJ1WIQ04 LCI Industries COM USD0.01 50189K103 700 NS USD 82194 0.0219826587 Long EC CORP US N 1 N N N American Eagle Outfitters Inc. 5299001Z9HXK01DHW793 American Eagle Outfitters Inc. COM USD0.01 02553E106 113710 NS USD 1888723.1 0.5051360843 Long EC CORP US N 1 N N N Arrow Electronics, Inc. 549300YNNLBXT8N8R512 Arrow Electronics, Inc. COM USD1 042735100 13330 NS USD 1669449.2 0.4464916175 Long EC CORP US N 1 N N N Stoneridge Inc. PNBCIH9LE7WI83VJIF08 Stoneridge Inc. COM NPV 86183P102 79900 NS USD 1603593 0.4288784782 Long EC CORP US N 1 N N N Steelcase Inc GIE4CCPBJDI8SMV1OX95 Steelcase Inc COM NPV 858155203 136915 NS USD 1529340.55 0.4090197748 Long EC CORP US N 1 N N N Commerce Bancshares Inc N/A Commerce Bancshares Inc COM USD5 200525103 35698 NS USD 1712790.04 0.4580830584 Long EC CORP US N 1 N N N Integra LifeSciences Holdings Corporation WB7IJCYY8YFTENS4O147 Integra LifeSciences Holdings Corporation COM STK USD0.01 457985208 41570 NS USD 1587558.3 0.4245900224 Long EC CORP US N 1 N N N H B Fuller Company JSMX3Z5FOYM8V0Q52357 H B Fuller Company COM USD1 359694106 14930 NS USD 1024347.3 0.2739601078 Long EC CORP US N 1 N N N Gentex Corp 549300S3UD8XV1MN0287 Gentex Corp COM USD0.06 371901109 79519 NS USD 2587548.26 0.6920357971 Long EC CORP US N 1 N N N Gorman-Rupp Co 254900WVLPOIWPGJPA07 Gorman-Rupp Co COM NPV 383082104 25840 NS USD 850136 0.2273675639 Long EC CORP US N 1 N N N Helen Of Troy Corp N/A Helen Of Troy Corp COM USD0.10 G4388N106 24630 NS USD 2870872.8 0.7678105090 Long EC CORP BM N 1 N N N Flowers Foods, Inc. 7YNCQQNDK8FBM9BBTK25 Flowers Foods, Inc. COM USD0.01 343498101 60200 NS USD 1335236 0.3571068118 Long EC CORP US N 1 N N N Gildan Activewear Inc. 549300SB3IBI34M00Z45 Gildan Activewear Inc. COM NPV 375916103 87928 NS USD 2462863.28 0.6586889913 Long EC CORP CA N 1 N N N Columbia Banking System Inc. N/A Columbia Banking System Inc. COM NPV 197236102 93674 NS USD 1901582.2 0.5085752308 Long EC CORP US N 1 N N N Acuity Brands, Inc. N/A Acuity Brands, Inc. COM STK USD0.01 00508Y102 8700 NS USD 1481697 0.3962775807 Long EC CORP US N 1 N N N Oxford Industries, Inc. IDZ20O0XD3GS4UOI2L88 Oxford Industries, Inc. COM USD1 691497309 800 NS USD 76904 0.0205678564 Long EC CORP US N 1 N N N Pitney Bowes Inc. 549300N2O26NW4ST6W55 Pitney Bowes Inc. COM USD1.00 724479100 3800 NS USD 11476 0.0030692385 Long EC CORP US N 1 N N N Renaissancere Holdings Ltd. EK6GB9U3U58PDI411C94 Renaissancere Holdings Ltd. COM USD1 G7496G103 10030 NS USD 1985137.6 0.5309219939 Long EC CORP BM N 1 N N N EnPro Industries Inc. 549300Y5CFT2LKCFDN54 EnPro Industries Inc. COM USD0.01 29355X107 900 NS USD 109071 0.0291708710 Long EC CORP US N 1 N N N St. Joe Co. 529900XVHOT3BF8PWG49 St. Joe Co. COM NPV 790148100 1800 NS USD 97794 0.0261548547 Long EC CORP US N 1 N N N American Woodmark Corporation 5299007PFSDWMA74RB56 American Woodmark Corporation COM NPV 030506109 400 NS USD 30244 0.0080887112 Long EC CORP US N 1 N N N American Woodmark Corporation 5299007PFSDWMA74RB56 American Woodmark Corporation COM NPV 030506109 34770 NS USD 2628959.7 0.7031112230 Long EC CORP US N 1 N N N Skywest Inc 529900UYS2KGS6Z42P09 Skywest Inc COM NPV 830879102 2700 NS USD 113238 0.0302853287 Long EC CORP US N 1 N N N Standard Motor Products, Inc. THGK1EO5B5HK0JHQVZ90 Standard Motor Products, Inc. COM USD2 853666105 100 NS USD 3362 0.0008991617 Long EC CORP US N 1 N N N Standex International Corp RCX52GR0JW2LRRMH9Z54 Standex International Corp COM USD1.50 854231107 600 NS USD 87414 0.0233787397 Long EC CORP US N 1 N N N Stewart Information Services Corporation 529900TV1XI0PLKENU10 Stewart Information Services Corporation COM USD1 860372101 31110 NS USD 1362618 0.3644300856 Long EC CORP US N 1 N N N Tanger Factory Outlet Centers Inc. UKEW8YSXE4Y581KYOL30 Tanger Factory Outlet Centers Inc. COM USD0.01 875465106 5600 NS USD 126560 0.0338482771 Long EC CORP US N 1 N N N Patrick Inds Inc 549300FZ5ZTCCJ3Z5W14 Patrick Inds Inc COM NPV 703343103 200 NS USD 15012 0.0040149363 Long EC CORP US N 1 N N N Badger Meter Inc 5493002JENE20OGTUG20 Badger Meter Inc COM USD1 056525108 1636 NS USD 235371.32 0.0629496970 Long EC CORP US N 1 N N N Sensient Technologies Corp CMMZHMFZQG86EI7WZU92 Sensient Technologies Corp COM USD0.10 81725T100 1600 NS USD 93568 0.0250246175 Long EC CORP US N 1 N N N Wabash National Corporation 5299004ZAWHQZI5XO485 Wabash National Corporation COM USD0.01 929566107 2100 NS USD 44352 0.0118618741 Long EC CORP US N 1 N N N Winnebago Industries Inc. 549300B7OYKYJLTE3G11 Winnebago Industries Inc. COM USD0.50 974637100 1668 NS USD 99162.6 0.0265208847 Long EC CORP US N 1 N N N Winnebago Industries Inc. 549300B7OYKYJLTE3G11 Winnebago Industries Inc. COM USD0.50 974637100 55800 NS USD 3317310 0.8872094506 Long EC CORP US N 1 N N N Wolverine World Wide, Inc. 549300OVC7PK14LQ8D87 Wolverine World Wide, Inc. COM USD1 978097103 3600 NS USD 29016 0.0077602845 Long EC CORP US N 1 N N N Air Lease Corporation 5493004NW4M4P8TMMK63 Air Lease Corporation COM USD0.01 00912X302 62170 NS USD 2450119.7 0.6552807404 Long EC CORP US N 1 N N N Integer Holdings Corporation 549300SUD2ED5XG6X569 Integer Holdings Corporation COM NPV 45826H109 1165 NS USD 91370.95 0.0244370199 Long EC CORP US N 1 N N N Varex Imaging Corporation 549300CWYWPVCT8E9W67 Varex Imaging Corporation COM USD0.01 92214X106 11640 NS USD 218715.6 0.0584951504 Long EC CORP US N 1 N N N JELD-WEN Holding Inc. 529900AXX7CT9GZSCS30 JELD-WEN Holding Inc. COM USD0.01 47580P103 7063 NS USD 94361.68 0.0252368860 Long EC CORP US N 1 N N N Quaker Houghton 549300PJQ1R3WCWCPS54 Quaker Houghton COM USD1 747316107 700 NS USD 112000 0.0299542275 Long EC CORP US N 1 N N N Brady Corp 549300G2LEQOFQC8GY34 Brady Corp CLASS'A'COM NON-VTG USD0.01 104674106 2600 NS USD 142792 0.0381895005 Long EC CORP US N 1 N N N Agilysys Inc 5299001XWB5V3B5IPN93 Agilysys Inc COM NPV 00847J105 900 NS USD 59544 0.0159249511 Long EC CORP US N 1 N N N Piper Sandler Companies QUQDBTUSOAKFEVMRMF78 Piper Sandler Companies COM USD0.01 724078100 500 NS USD 72655 0.0194314679 Long EC CORP US N 1 N N N Alamo Group Inc 54930080C93RVZRSDV26 Alamo Group Inc COM USD0.10 011311107 310 NS USD 53586.6 0.0143316536 Long EC CORP US N 1 N N N Genworth Financial Inc. 549300EMCG286BDNKJ33 Genworth Financial Inc. COM USD0.001 CLASS A 37247D106 19868 NS USD 116426.48 0.0311380828 Long EC CORP US N 1 N N N National Beverage Corp. 549300O9MZIQJI8TGV17 National Beverage Corp. COM STK USD0.01 635017106 1000 NS USD 47020 0.0125754266 Long EC CORP US N 1 N N N DXP Enterprises Inc. N/A DXP Enterprises Inc. COM USD0.01 233377407 843 NS USD 29454.42 0.0078775393 Long EC CORP US N 1 N N N Safety Insurance Group Inc. 254900LDCFLA3J746840 Safety Insurance Group Inc. COM USD0.01 78648T100 500 NS USD 34095 0.0091186552 Long EC CORP US N 1 N N N Lakeland Financial Corp. N/A Lakeland Financial Corp. COM NPV 511656100 800 NS USD 37968 0.0101544831 Long EC CORP US N 1 N N N Gibraltar Industries, Inc. 549300AE5O3GN0YBLM57 Gibraltar Industries, Inc. COM USD0.01 374689107 1400 NS USD 94514 0.0252776237 Long EC CORP US N 1 N N N Bancorp Inc N/A Bancorp Inc COM NPV 05969A105 2400 NS USD 82800 0.0221447325 Long EC CORP US N 1 N N N Inter Parfums Inc N/A Inter Parfums Inc COM USD0.001 458334109 900 NS USD 120906 0.0323361235 Long EC CORP US N 1 N N N The Greenbrier Companies, Inc. 5493001GAGGFR30BP390 The Greenbrier Companies, Inc. COM USD0.001 393657101 2600 NS USD 104000 0.0278146398 Long EC CORP US N 1 N N N Signet Jewelers Limited 549300N3XPGE91WV7M22 Signet Jewelers Limited COM STK USD0.18 G81276100 2100 NS USD 150801 0.0403314952 Long EC CORP BM N 1 N N N Materion Corp 549300CJ5RI351SUYT02 Materion Corp COM NPV 576690101 700 NS USD 71337 0.0190789708 Long EC CORP US N 1 N N N Shutterstock Inc 529900G2TDIS56V0LO22 Shutterstock Inc COM USD0.01 825690100 3300 NS USD 125565 0.0335821659 Long EC CORP US N 1 N N N Sanmina Corp X5K24XLM8QYRXF00EB42 Sanmina Corp COM USD0.01 801056102 3248 NS USD 176301.44 0.0471515486 Long EC CORP US N 1 N N N Rush Enterprises Inc. 529900V3XHTN7A6DFT17 Rush Enterprises Inc. COM CLASS'A'USD0.01 781846209 42945 NS USD 1753444.35 0.4689559910 Long EC CORP US N 1 N N N DiamondRock Hospitality Co. 529900KKD4BPVBUAQ734 DiamondRock Hospitality Co. COM USD0.01 252784301 7700 NS USD 61831 0.0165366057 Long EC CORP US N 1 N N N TreeHouse Foods, Inc. 5493007M7EVHE470Q576 TreeHouse Foods, Inc. COM USD0.01 89469A104 1814 NS USD 79054.12 0.0211429026 Long EC CORP US N 1 N N N Regency Centers Corp. 529900053A7X7FJ97S58 Regency Centers Corp. COM USD0.01 758849103 555 NS USD 32989.2 0.0088229107 Long EC CORP US N 1 N N N Corcept Therapeutics Inc. 529900EO9LUTFMZ7FF90 Corcept Therapeutics Inc. COM STK USD0.00001 218352102 3494 NS USD 95194.03 0.0254594967 Long EC CORP US N 1 N N N WisdomTree, Inc. 549300WIU8IS7UFO7871 WisdomTree, Inc. COM USD0.01 97717P104 6000 NS USD 42000 0.0112328353 Long EC CORP US N 1 N N N Par Pacific Holdings, Inc. 549300BTNS7MHSHRLR55 Par Pacific Holdings, Inc. COM USD0.01 69888T207 2902 NS USD 104297.88 0.0278943074 Long EC CORP US N 1 N N N Hostess Brands Inc N/A Hostess Brands Inc COM USD0.0001 CL A 44109J106 2126 NS USD 70817.06 0.0189399136 Long EC CORP US N 1 N N N PGT Innovations Inc 549300LRW9WM59C1S579 PGT Innovations Inc COM USD0.01 69336V101 65478 NS USD 1817014.5 0.4859577297 Long EC CORP US N 1 N N N Hanesbrands Inc. GX5LWVWZLL5S4W1L2F20 Hanesbrands Inc. COM USD0.01 410345102 230130 NS USD 911314.8 0.2437297398 Long EC CORP US N 1 N N N Armstrong World Industries, Inc. KXMRXXOJ88Q45Y45MG74 Armstrong World Industries, Inc. COM STK USD0.01 04247X102 18970 NS USD 1365840 0.3652918045 Long EC CORP US N 1 N N N Nexpoint Residential Trust Inc 549300U2J6XVYBF87166 Nexpoint Residential Trust Inc COM USD0.001 'WI' 65341D102 4500 NS USD 144810 0.0387292115 Long EC CORP US N 1 N N N Hope Bancorp Inc 549300UTF4QGMBHIZ219 Hope Bancorp Inc COM USD0.001 43940T109 4200 NS USD 37170 0.0099410593 Long EC CORP US N 1 N N N Donnelley Financial Solutions Inc 549300O1NPY4J56QCU04 Donnelley Financial Solutions Inc COM USD0.01 25787G100 400 NS USD 22512 0.0060207997 Long EC CORP US N 1 N N N Advansix Inc 5493009TPRODMCAZLF67 Advansix Inc COM USD0.01 00773T101 735 NS USD 22843.8 0.0061095391 Long EC CORP US N 1 N N N Green Brick Partners Inc. 549300R7SCIV7FQI6T56 Green Brick Partners Inc. COM USD0.01 392709101 1300 NS USD 53963 0.0144323212 Long EC CORP US N 1 N N N Glaukos Corporation 5299004JA1LHE21M6T14 Glaukos Corporation COM USD0.001 377322102 841 NS USD 63285.25 0.0169255426 Long EC CORP US N 1 N N N Alarm.com Holdings Inc. 549300HIH92U1EKIHZ32 Alarm.com Holdings Inc. COM USD0.01 011642105 700 NS USD 42798 0.0114462592 Long EC CORP US N 1 N N N Axcelis Technologies Inc. 529900HF9B6NL1QG9F05 Axcelis Technologies Inc. COM USD0.001 054540208 67 NS USD 10924.35 0.0029217006 Long EC CORP US N 1 N N N Edgewell Personal Care Co 549300CY8QZDL4Z3RU59 Edgewell Personal Care Co COM USD0.01 28035Q102 233 NS USD 8611.68 0.0023031806 Long EC CORP US N 1 N N N Archrock Inc 549300K3RIHMHDVFTL28 Archrock Inc COM USD0.01 03957W106 7300 NS USD 91980 0.0245999093 Long EC CORP US N 1 N N N E L F Beauty Inc 549300U2K9TCON25C029 E L F Beauty Inc COM USD0.01 26856L103 1900 NS USD 208677 0.0558103423 Long EC CORP US N 1 N N N Ichor Holdings Ltd 529900PS8R2JVLJ2H892 Ichor Holdings Ltd COM USD0.0001 G4740B105 1500 NS USD 46440 0.0124203065 Long EC CORP KY N 1 N N N Ryan Specialty Holdings Inc N/A Ryan Specialty Holdings Inc CL A 78351F107 40849 NS USD 1977091.6 0.5287701036 Long EC CORP US N 1 N N N Bio-Techne Corp 54930073RLKQ51TILZ35 Bio-Techne Corp COM USD0.01 09073M104 32801 NS USD 2232764.07 0.5971493119 Long EC CORP US N 1 N N N Dolby Laboratories Inc. 549300X04FB2QPCJ5J24 Dolby Laboratories Inc. COM STK USD0.001 CLASS 'A' 25659T107 17721 NS USD 1404566.46 0.3756491366 Long EC CORP US N 1 N N N Wix.com Limited 5493008P6N29Q1AG9464 Wix.com Limited COM ILS0.01 M98068105 36596 NS USD 3359512.8 0.8984965245 Long EC CORP IL N 1 N N N Masimo Corporation 549300Q4A8JK0PIYCU29 Masimo Corporation COM STK USD0.001 574795100 22257 NS USD 1951493.76 0.5219240007 Long EC CORP US N 1 N N N Peloton Interactive Inc 5493002YS021166W0339 Peloton Interactive Inc COM USD0.000025 CL A 70614W100 154471 NS USD 780078.55 0.2086308068 Long EC CORP US N 1 N N N Pacific Biosciences Of California Inc. 529900F1BWRE1M0KZN89 Pacific Biosciences Of California Inc. COM USD0.0001 69404D108 164973 NS USD 1377524.55 0.3684168194 Long EC CORP US N 1 N N N Fidelity Colcheste 549300SHPEJB1OPRCV46 Fidelity Colcheste GOVT PT INSTL 31607A703 750758.8 NS USD 750758.8 0.2007892848 Long STIV RF US N 1 N N Pivotree Inc N/A Pivotree Inc COM 72583B109 0 NS 0 0.0000000000 N/A EC CORP CA N 1 N N 2023-10-24 Clearwater Investment Trust Jason Mitchell Jason Mitchell CCO XXXX NPORT-EX 2 edgar.htm
CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Common Stocks:            
Communication Services:            
10,603   ACTIVISION BLIZZARD, INC.   $471,997   992,759    
130,692   ALPHABET, INC., CLASS A(b)   5,031,789   17,102,355    
84,721   ALPHABET, INC., CLASS C(b)   3,743,298   11,170,464    
39,517   AT&T, INC.   467,394   593,545    
1,429   CHARTER COMMUNICATIONS, INC., CLASS A(b)   491,189   628,503    
67,600   COMCAST CORP., CLASS A   1,026,668   2,997,384    
8,300   ELECTRONIC ARTS, INC.   116,945   999,320    
3,300   FOX CORP., CLASS A   102,157   102,960    
200   FOX CORP., CLASS B   5,710   5,776    
3,574   INTERPUBLIC GROUP OF (THE) COS., INC.   55,609   102,431    
183   LIBERTY GLOBAL PLC, CLASS A(b)(c)   1,707   3,133    
1,900   LIVE NATION ENTERTAINMENT, INC.(b)   130,373   157,776    
4,649   MATCH GROUP, INC.(b)   171,640   182,125    
48,955   META PLATFORMS, INC., CLASS A(b)   4,873,957   14,696,780    
5,874   NETFLIX, INC.(b)   1,261,830   2,218,022    
2,675   NEWS CORP., CLASS A   12,252   53,660    
2,595   OMNICOM GROUP, INC.   81,950   193,276    
58,107   PLAYTIKA HOLDING CORP.(b)(c)   532,056   559,570    
2,000   TAKE-TWO INTERACTIVE SOFTWARE, INC.(b)   216,815   280,780    
13,937   T-MOBILE U.S., INC.(b)   1,097,267   1,951,877    
37,683   VERIZON COMMUNICATIONS, INC.   1,158,463   1,221,306    
24,418   WALT DISNEY (THE) CO.(b)   477,665   1,979,079    
24,502   WARNER BROS. DISCOVERY, INC.(b)   280,834   266,092    
        21,809,565   58,458,973   7.45%
Consumer Discretionary:            
100   AIRBNB, INC., CLASS A(b)   13,229   13,721    
147,230   AMAZON.COM, INC.(b)   10,288,053   18,715,878    
3,400   APTIV PLC(b)(c)   303,982   335,206    
23,316   AUTONATION, INC.(b)   2,768,302   3,530,042    
1,324   AUTOZONE, INC.(b)   1,581,870   3,362,947    
34,097   BATH & BODY WORKS, INC.   939,271   1,152,479    
16,989   BEST BUY CO., INC.   931,199   1,180,226    
1,289   BOOKING HOLDINGS, INC.(b)   2,757,890   3,975,212    
9,521   BORGWARNER, INC.   233,852   384,363    
1,248   BRUNSWICK CORP.   99,725   98,592    
2,168   CARMAX, INC.(b)   58,264   153,343    
12,700   CARNIVAL CORP.(b)   108,019   174,244    
400   CHIPOTLE MEXICAN GRILL, INC.(b)   558,552   732,732    
4,000   D.R. HORTON, INC.   410,275   429,880    
1,700   DARDEN RESTAURANTS, INC.   112,210   243,474    
17,100   EBAY, INC.   602,970   753,939    
12,508   EXPEDIA GROUP, INC.(b)   1,162,573   1,289,200    
22,663   FORD MOTOR CO.   78,732   281,474    
13,928   GAP (THE), INC.   139,153   148,055    
2,200   GARMIN LTD.(c)   40,557   231,440    
132,229   GENERAL MOTORS CO.   4,373,760   4,359,590    
3,450   GENUINE PARTS CO.   102,425   498,111    
10,855   H&R BLOCK, INC.   368,543   467,416    
426   HASBRO, INC.   12,602   28,176    
1,600   HILTON WORLDWIDE HOLDINGS, INC.   115,613   240,288    
20,826   HOME DEPOT (THE), INC.   4,023,383   6,292,784    
2,535   LAS VEGAS SANDS CORP.   21,685   116,204    
945   LEAR CORP.   129,908   126,819    
15,427   LENNAR CORP., CLASS A   1,684,172   1,731,372    
16,820   LKQ CORP.   476,562   832,758    
12,647   LOWE'S COS., INC.   2,405,676   2,628,552    
93,033   MACY'S, INC.   1,008,716   1,080,113    
2,938   MARRIOTT INTERNATIONAL, INC., CLASS A   61,838   577,493    
7,902   MCDONALD'S CORP.   949,776   2,081,703    
6   MGM RESORTS INTERNATIONAL   186   221    
3,600   MOHAWK INDUSTRIES, INC.(b)   282,562   308,916    
2,715   NEWELL BRANDS, INC.   25,274   24,516    
16,567   NIKE, INC., CLASS B   987,686   1,584,137    
518   NVR, INC.(b)   2,038,923   3,088,989    
8,786   PENSKE AUTOMOTIVE GROUP, INC.   1,159,421   1,467,789    
40   PHINIA, INC.   880   1,072    
0 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Consumer Discretionary (Cont'd):            
870   POOL CORP.   $187,171   309,807    
55,929   PULTEGROUP, INC.   3,478,737   4,141,542    
1,233   PVH CORP.   90,881   94,337    
2,443   ROSS STORES, INC.   224,440   275,937    
22,087   ROYAL CARIBBEAN CRUISES LTD.(b)   860,666   2,035,096    
23,500   STARBUCKS CORP.   154,545   2,144,845    
16,078   TAPESTRY, INC.   511,795   462,242    
47,353   TESLA, INC.(b)   10,314,713   11,848,668    
3,202   THOR INDUSTRIES, INC.   252,565   304,606    
8,583   TJX (THE) COS., INC.   36,625   762,857    
51,725   TOLL BROTHERS, INC.   3,032,997   3,825,581    
600   TRACTOR SUPPLY CO.   111,014   121,830    
34,547   TRAVEL + LEISURE CO.   1,262,960   1,268,911    
700   ULTA BEAUTY, INC.(b)   244,098   279,615    
6,725   VF CORP.   80,995   118,831    
700   WHIRLPOOL CORP.   91,112   93,590    
15,254   WILLIAMS-SONOMA, INC.   1,830,184   2,370,472    
1,554   WYNN RESORTS LTD.   31,066   143,605    
        66,214,833   95,325,838   12.14%
Consumer Staples:            
82,723   ALTRIA GROUP, INC.   3,631,837   3,478,502    
13,712   ARCHER-DANIELS-MIDLAND CO.   451,070   1,034,159    
9,900   CAMPBELL SOUP CO.   413,479   406,692    
10,068   CHURCH & DWIGHT CO., INC.   241,887   922,531    
100   CLOROX (THE) CO.   13,042   13,106    
69,073   COCA-COLA (THE) CO.   1,562,344   3,866,707    
10,780   COLGATE-PALMOLIVE CO.   731,660   766,566    
1,900   CONAGRA BRANDS, INC.   26,152   52,098    
1,823   CONSTELLATION BRANDS, INC., CLASS A   251,171   458,175    
4,852   COSTCO WHOLESALE CORP.   909,621   2,741,186    
3,089   DOLLAR GENERAL CORP.   207,226   326,816    
1,924   DOLLAR TREE, INC.(b)   23,650   204,810    
12,400   GENERAL MILLS, INC.   277,056   793,476    
1,642   HERSHEY (THE) CO.   60,568   328,531    
4,800   HORMEL FOODS CORP.   43,206   182,544    
1,300   J M SMUCKER (THE) CO.   60,305   159,783    
3,300   KELLOGG CO.   195,316   196,383    
15,702   KEURIG DR. PEPPER, INC.   431,401   495,712    
3,750   KIMBERLY-CLARK CORP.   334,238   453,188    
3,705   KRAFT HEINZ (THE) CO.   26,475   124,636    
78,178   KROGER (THE) CO.   2,289,741   3,498,465    
1,833   LAMB WESTON HOLDINGS, INC.   73,271   169,479    
1,400   MCCORMICK & CO., INC. (NON VOTING)   21,613   105,896    
12,521   MOLSON COORS BEVERAGE CO., CLASS B   669,435   796,210    
17,969   MONDELEZ INTERNATIONAL, INC., CLASS A   803,237   1,247,049    
2,272   MONSTER BEVERAGE CORP.(b)   64,265   120,302    
21,713   PEPSICO, INC.   2,335,657   3,679,051    
18,202   PHILIP MORRIS INTERNATIONAL, INC.   1,410,895   1,685,141    
32,478   PROCTER & GAMBLE (THE) CO.   1,716,094   4,737,241    
126   SEABOARD CORP.   460,948   472,878    
7,100   SYSCO CORP.   110,707   468,955    
3,667   TARGET CORP.   313,207   405,460    
7,680   TYSON FOODS, INC., CLASS A   284,043   387,763    
29,450   WALGREENS BOOTS ALLIANCE, INC.   466,301   654,968    
45,743   WALMART, INC.   5,379,202   7,315,678    
        26,290,320   42,750,137   5.45%
Energy:            
33,566   BAKER HUGHES CO.   1,027,747   1,185,551    
978   CHENIERE ENERGY, INC.   147,347   162,309    
9,305   CHESAPEAKE ENERGY CORP.   759,853   802,370    
42,676   CHEVRON CORP.   2,866,282   7,196,027    
22,923   CONOCOPHILLIPS   557,203   2,746,175    
8,000   COTERRA ENERGY, INC.   157,673   216,400    
6,026   DEVON ENERGY CORP.   160,507   287,440    
100   DIAMONDBACK ENERGY, INC.   15,307   15,488    
12,584   EOG RESOURCES, INC.   894,171   1,595,148    
200   EQT CORP.   7,794   8,116    
1 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Energy (Cont'd):            
99,987   EXXON MOBIL CORP.   $7,732,036   11,756,471    
32,529   HALLIBURTON CO.   1,319,081   1,317,425    
2,600   HESS CORP.   90,342   397,800    
66,777   HF SINCLAIR CORP.   2,982,246   3,801,615    
17,112   KINDER MORGAN, INC.   150,868   283,717    
9,400   MARATHON OIL CORP.   110,346   251,450    
21,074   MARATHON PETROLEUM CORP.   1,875,712   3,189,339    
6,935   OCCIDENTAL PETROLEUM CORP.   82,433   449,943    
5,800   ONEOK, INC.   148,297   367,894    
7,168   PHILLIPS 66   509,833   861,235    
3,156   PIONEER NATURAL RESOURCES CO.   417,339   724,460    
27,009   SCHLUMBERGER N.V.   1,142,844   1,574,625    
2,900   TARGA RESOURCES CORP.   189,675   248,588    
33,793   VALERO ENERGY CORP.   3,211,310   4,788,806    
11,500   WILLIAMS (THE) COS., INC.   124,134   387,435    
        26,680,380   44,615,827   5.68%
Financials:            
4,579   AFLAC, INC.   225,517   351,438    
8,300   ALLSTATE (THE) CORP.   197,623   924,703    
7,933   AMERICAN EXPRESS CO.   715,083   1,183,524    
36,540   AMERICAN INTERNATIONAL GROUP, INC.   1,839,014   2,214,324    
3,596   AMERIPRISE FINANCIAL, INC.   287,239   1,185,529    
2,548   AON PLC, CLASS A   406,718   826,113    
3,211   ARCH CAPITAL GROUP LTD.(b)   104,134   255,949    
2,300   ARTHUR J. GALLAGHER & CO.   80,002   524,239    
4,900   ASSURANT, INC.   218,575   703,542    
12,758   AXIS CAPITAL HOLDINGS LTD.   735,528   719,168    
93,602   BANK OF AMERICA CORP.   689,814   2,562,823    
10,000   BANK OF NEW YORK MELLON (THE) CORP.   206,454   426,500    
40,366   BERKSHIRE HATHAWAY, INC., CLASS B(b)   7,928,396   14,140,210    
1,600   BLACKROCK, INC.   1,020,493   1,034,384    
100   BLACKSTONE, INC.   10,595   10,714    
8,148   BRIGHTHOUSE FINANCIAL, INC.(b)   346,933   398,763    
1,700   BROWN & BROWN, INC.   88,516   118,728    
7,747   CAPITAL ONE FINANCIAL CORP.   241,908   751,846    
18,308   CHARLES SCHWAB (THE) CORP.   211,335   1,005,109    
5,185   CHUBB LTD.(c)   608,428   1,079,413    
200   CINCINNATI FINANCIAL CORP.   20,055   20,458    
73,536   CITIGROUP, INC.   3,001,351   3,024,536    
10,800   CITIZENS FINANCIAL GROUP, INC.   280,751   289,440    
4,794   CME GROUP, INC.   685,657   959,855    
1,800   COMERICA, INC.   71,996   74,790    
6,500   DISCOVER FINANCIAL SERVICES   564,628   563,095    
2,828   EVEREST RE GROUP LTD.   1,041,344   1,051,083    
469   FAIRFAX FINANCIAL HOLDINGS LTD.(c)   86,576   384,088    
7,900   FIDELITY NATIONAL INFORMATION SERVICES, INC.   142,948   436,633    
10,565   FIFTH THIRD BANCORP   109,297   267,611    
9,784   FISERV, INC.(b)   172,685   1,105,201    
300   FLEETCOR TECHNOLOGIES, INC.(b)   52,039   76,602    
4,743   GLOBAL PAYMENTS, INC.   413,168   547,295    
100   GLOBE LIFE, INC.   11,345   10,873    
7,579   GOLDMAN SACHS GROUP (THE), INC.   807,418   2,452,337    
1,200   HARTFORD FINANCIAL SERVICES GROUP (THE), INC.   26,940   85,092    
43,846   HUNTINGTON BANCSHARES, INC.   221,602   455,998    
7,140   INTERCONTINENTAL EXCHANGE, INC.   634,550   785,543    
5,900   INVESCO LTD.   83,166   85,668    
1,000   JACK HENRY & ASSOCIATES, INC.   147,550   151,140    
50,092   JPMORGAN CHASE & CO.   2,064,862   7,264,342    
20,104   KEYCORP   178,289   216,319    
32,300   LINCOLN NATIONAL CORP.   703,014   797,487    
7,377   MARSH & MCLENNAN COS., INC.   675,052   1,403,843    
17,433   MASTERCARD, INC., CLASS A   4,589,692   6,901,899    
1,300   MERCURY GENERAL CORP.   38,019   36,439    
5,731   METLIFE, INC.   201,149   360,537    
85,959   MGIC INVESTMENT CORP.   1,219,723   1,434,656    
2,100   MOODY'S CORP.   584,215   663,957    
1,000   MSCI, INC.   462,200   513,080    
2 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Financials (Cont'd):            
5,100   NASDAQ, INC.   $42,534   247,809    
1,476   PAYPAL HOLDINGS, INC.(b)   59,127   86,287    
7,114   PNC FINANCIAL SERVICES GROUP (THE), INC.   273,331   873,386    
10,575   POPULAR, INC.   728,404   666,331    
1,800   PRINCIPAL FINANCIAL GROUP, INC.   37,586   129,726    
7,588   PROGRESSIVE (THE) CORP.   837,867   1,057,008    
5,900   PRUDENTIAL FINANCIAL, INC.   182,566   559,851    
1,050   RAYMOND JAMES FINANCIAL, INC.   89,754   105,451    
6,699   REGIONS FINANCIAL CORP.   27,215   115,223    
9,764   REINSURANCE GROUP OF AMERICA, INC.   1,439,746   1,417,635    
1,739   RENAISSANCERE HOLDINGS LTD.   356,711   344,183    
4,500   S&P GLOBAL, INC.   1,430,397   1,644,345    
4,100   STATE STREET CORP.   270,194   274,536    
5,920   STIFEL FINANCIAL CORP.   350,271   363,725    
80,501   SYNCHRONY FINANCIAL   2,086,548   2,460,916    
3,549   T. ROWE PRICE GROUP, INC.   106,978   372,184    
2,620   TRAVELERS (THE) COS., INC.   93,128   427,872    
51,594   TRUIST FINANCIAL CORP.   1,332,829   1,476,104    
83,381   UNUM GROUP   3,606,135   4,101,511    
20,385   US BANCORP   410,978   673,928    
29,861   VISA, INC., CLASS A   5,759,145   6,868,329    
11,782   W R BERKLEY CORP.   230,551   748,039    
51,027   WELLS FARGO & CO.   729,863   2,084,963    
278,903   WESTERN UNION (THE) CO.   3,098,238   3,675,942    
1,300   WILLIS TOWERS WATSON PLC(c)   274,247   271,648    
2,700   ZIONS BANCORP N.A.   52,466   94,203    
        59,360,395   93,978,051   11.97%
Health Care:            
32,234   ABBOTT LABORATORIES   2,223,601   3,121,863    
39,933   ABBVIE, INC.   3,671,317   5,952,413    
845   AGILENT TECHNOLOGIES, INC.   54,611   94,488    
1,653   ALIGN TECHNOLOGY, INC.(b)   406,027   504,694    
5,700   AMERISOURCEBERGEN CORP.   95,209   1,025,829    
17,957   AMGEN, INC.   3,491,240   4,826,123    
38   AVANOS MEDICAL, INC.(b)   563   768    
6,600   BAXTER INTERNATIONAL, INC.   246,350   249,084    
3,809   BECTON, DICKINSON AND CO.   586,445   984,741    
895   BIOGEN, INC.(b)   233,503   230,024    
32,800   BOSTON SCIENTIFIC CORP.(b)   182,160   1,731,840    
25,280   BRISTOL-MYERS SQUIBB CO.   811,175   1,467,251    
3,392   CARDINAL HEALTH, INC.   183,682   294,493    
200   CATALENT, INC.(b)   8,298   9,106    
11,143   CENTENE CORP.(b)   641,692   767,530    
700   CHARLES RIVER LABORATORIES INTERNATIONAL, INC.(b)   136,115   137,186    
11,337   CIGNA GROUP (THE)   2,397,193   3,243,176    
16,630   CVS HEALTH CORP.   746,454   1,161,107    
10,860   DANAHER CORP.   1,071,927   2,694,366    
5,332   DENTSPLY SIRONA, INC.   141,306   182,141    
6,000   DEXCOM, INC.(b)   87,312   559,800    
2,556   ELEVANCE HEALTH, INC.   775,579   1,112,934    
13,651   ELI LILLY & CO.   1,771,513   7,332,362    
32,791   EXELIXIS, INC.(b)   544,681   716,483    
3,782   GE HEALTHCARE TECHNOLOGIES, INC.   169,994   257,327    
53,978   GILEAD SCIENCES, INC.   2,960,067   4,045,111    
200   HCA HEALTHCARE, INC.   47,486   49,196    
500   HENRY SCHEIN, INC.(b)   37,265   37,125    
5,008   HOLOGIC, INC.(b)   81,572   347,555    
3,559   HUMANA, INC.   1,525,371   1,731,525    
1,000   IDEXX LABORATORIES, INC.(b)   257,727   437,270    
2,300   ILLUMINA, INC.(b)   98,233   315,744    
900   INSULET CORP.(b)   143,370   143,541    
4,700   INTUITIVE SURGICAL, INC.(b)   872,295   1,373,763    
100   IONIS PHARMACEUTICALS, INC.(b)   3,269   4,536    
3,773   IQVIA HOLDINGS, INC.(b)   448,528   742,338    
23,161   JOHNSON & JOHNSON   1,405,650   3,607,326    
500   LABORATORY CORP. OF AMERICA HOLDINGS   10,088   100,525    
9,286   MCKESSON CORP.   1,334,109   4,038,017    
3 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Health Care (Cont'd):            
28,500   MEDTRONIC PLC(c)   $2,349,138   2,233,260    
42,378   MERCK & CO., INC.   1,366,535   4,362,815    
200   METTLER-TOLEDO INTERNATIONAL, INC.(b)   220,864   221,614    
4,215   MODERNA, INC.(b)   428,306   435,367    
4,100   MOLINA HEALTHCARE, INC.(b)   997,794   1,344,349    
3,547   ORGANON & CO.   39,446   61,576    
48,566   PFIZER, INC.   615,682   1,610,934    
1,308   REGENERON PHARMACEUTICALS, INC.(b)   682,034   1,076,432    
18   REPLIGEN CORP.(b)   2,766   2,862    
4,000   RESMED, INC.   81,990   591,480    
1,600   REVVITY, INC.   174,301   177,120    
1,200   STERIS PLC   207,491   263,304    
1,800   STRYKER CORP.   439,036   491,886    
500   TELEFLEX, INC.   103,815   98,205    
5,122   THERMO FISHER SCIENTIFIC, INC.   2,002,198   2,592,603    
10,973   UNITED THERAPEUTICS CORP.(b)   2,460,635   2,478,471    
13,997   UNITEDHEALTH GROUP, INC.   3,643,489   7,057,147    
2,838   UNIVERSAL HEALTH SERVICES, INC., CLASS B   257,448   356,822    
7,305   VERTEX PHARMACEUTICALS, INC.(b)   1,872,538   2,540,241    
165,202   VIATRIS, INC.   1,561,641   1,628,892    
700   WATERS CORP.(b)   16,422   191,947    
3,374   ZIMMER BIOMET HOLDINGS, INC.   135,863   378,630    
6,047   ZOETIS, INC.   858,592   1,052,057    
        50,421,001   86,878,715   11.07%
Industrials:            
6,987   3M CO.   417,187   654,123    
1,400   A O SMITH CORP.   72,742   92,582    
18,995   ACUITY BRANDS, INC.   3,090,908   3,235,038    
14,500   AGCO CORP.   1,754,849   1,715,060    
1,700   ALASKA AIR GROUP, INC.(b)   62,642   63,036    
1,100   ALLEGION PLC(c)   112,309   114,620    
66,661   ALLISON TRANSMISSION HOLDINGS, INC.   2,823,584   3,936,999    
8,800   AMERICAN AIRLINES GROUP, INC.(b)   126,329   112,728    
5,175   AMETEK, INC.   73,221   764,658    
6,766   AUTOMATIC DATA PROCESSING, INC.   361,211   1,627,764    
500   AXON ENTERPRISE, INC.(b)   94,810   99,495    
5,087   BOEING (THE) CO.(b)   553,526   975,076    
2,213   BROADRIDGE FINANCIAL SOLUTIONS, INC.   89,066   396,238    
27,796   BUILDERS FIRSTSOURCE, INC.(b)   2,108,800   3,460,324    
500   C.H. ROBINSON WORLDWIDE, INC.   44,875   43,065    
10,840   CARRIER GLOBAL CORP.   64,437   598,368    
14,635   CATERPILLAR, INC.   1,167,890   3,995,355    
2,100   CERIDIAN HCM HOLDING, INC.(b)   121,209   142,485    
4,200   CINTAS CORP.   616,293   2,020,242    
8,000   COPART, INC.(b)   143,195   344,720    
36,272   CSX CORP.   810,618   1,115,364    
1,600   CUMMINS, INC.   317,297   365,536    
3,193   DEERE & CO.   101,416   1,204,974    
11,440   DELTA AIR LINES, INC.   343,866   423,280    
16,778   DONALDSON CO., INC.   1,048,827   1,000,640    
125   DOVER CORP.   13,234   17,439    
11,904   EATON CORP. PLC   223,705   2,538,885    
7,080   EMCOR GROUP, INC.   1,431,957   1,489,561    
1,600   EQUIFAX, INC.   275,443   293,088    
13,507   EXPEDITORS INTERNATIONAL OF WASHINGTON, INC.   1,369,219   1,548,307    
200   FASTENAL CO.   9,916   10,928    
2,856   FEDEX CORP.   262,842   756,612    
7,076   FORTIVE CORP.   372,199   524,756    
40,600   GATES INDUSTRIAL CORP. PLC(b)   476,896   471,366    
900   GENERAC HOLDINGS, INC.(b)   92,907   98,064    
3,451   GENERAL DYNAMICS CORP.   652,822   762,568    
42,701   GENERAL ELECTRIC CO.   4,243,233   4,720,596    
9,288   HONEYWELL INTERNATIONAL, INC.   284,831   1,715,865    
25,039   HOWMET AEROSPACE, INC.   299,194   1,158,054    
8,007   HUBBELL, INC.   1,849,446   2,509,474    
800   HUNTINGTON INGALLS INDUSTRIES, INC.   160,336   163,664    
1,371   IDEX CORP.   119,804   285,195    
4 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Industrials (Cont'd):            
4,824   ILLINOIS TOOL WORKS, INC.   $155,812   1,111,015    
2,100   INGERSOLL RAND, INC.   102,096   133,812    
8,859   JOHNSON CONTROLS INTERNATIONAL PLC   448,126   471,387    
7,852   L3HARRIS TECHNOLOGIES, INC.   1,174,546   1,367,190    
3,593   LANDSTAR SYSTEM, INC.   632,676   635,745    
3,369   LOCKHEED MARTIN CORP.   1,271,213   1,377,786    
11,762   MANPOWERGROUP, INC.   914,601   862,390    
2,063   MASCO CORP.   53,990   110,267    
17,915   MASTERBRAND, INC.(b)   133,945   217,667    
20,759   MSC INDUSTRIAL DIRECT CO., INC., CLASS A   1,813,898   2,037,496    
677   NORFOLK SOUTHERN CORP.   12,958   133,322    
3,271   NORTHROP GRUMMAN CORP.   397,418   1,439,862    
3,900   OLD DOMINION FREIGHT LINE, INC.   666,125   1,595,646    
5,320   OTIS WORLDWIDE CORP.   90,693   427,249    
28,767   OWENS CORNING   2,660,172   3,924,107    
45,465   PACCAR, INC.   3,288,062   3,865,434    
4,628   PARKER-HANNIFIN CORP.   350,966   1,802,699    
3,285   PAYCHEX, INC.   328,672   378,859    
1,553   PAYCOM SOFTWARE, INC.   217,948   402,646    
2,719   PENTAIR PLC(c)   57,667   176,055    
200   QUANTA SERVICES, INC.   29,452   37,414    
13,328   RAYTHEON TECHNOLOGIES CORP.   243,616   959,216    
682   RB GLOBAL, INC.(c)   35,812   42,625    
1,617   REPUBLIC SERVICES, INC.   65,855   230,439    
1,400   ROBERT HALF INTERNATIONAL, INC.   100,238   102,592    
9,842   ROLLINS, INC.   237,243   367,402    
17,901   RYDER SYSTEM, INC.   1,534,307   1,914,512    
48,190   SCHNEIDER NATIONAL, INC., CLASS B   1,271,962   1,334,381    
8,300   SOUTHWEST AIRLINES CO.   220,494   224,681    
2,057   STANLEY BLACK & DECKER, INC.   58,948   171,924    
8,554   TEXTRON, INC.   551,135   668,410    
10,505   TRANE TECHNOLOGIES PLC(c)   490,333   2,131,570    
600   TRANSDIGM GROUP, INC.(b)   296,945   505,878    
5,902   UNION PACIFIC CORP.   369,465   1,201,824    
2,500   UNITED AIRLINES HOLDINGS, INC.(b)   106,363   105,750    
9,457   UNITED PARCEL SERVICE, INC., CLASS B   1,131,941   1,474,063    
3,660   UNITED RENTALS, INC.   357,777   1,627,126    
494   VERISK ANALYTICS, INC.   83,738   116,703    
8,650   WASTE MANAGEMENT, INC.   135,675   1,318,606    
899   WESCO INTERNATIONAL, INC.   129,785   129,294    
1,200   WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP.   21,945   127,524    
2,300   XYLEM, INC.   89,663   209,369    
        50,993,367   85,038,129   10.83%
Information Technology:            
13,372   ACCENTURE PLC, CLASS A(c)   2,608,625   4,106,675    
17,214   ADOBE, INC.(b)   4,232,617   8,777,419    
24,373   ADVANCED MICRO DEVICES, INC.(b)   272,579   2,506,032    
100   AKAMAI TECHNOLOGIES, INC.(b)   10,626   10,654    
1,099   AMDOCS LTD.   95,664   92,855    
6,700   AMPHENOL CORP., CLASS A   490,411   562,733    
5,951   ANALOG DEVICES, INC.   369,802   1,041,961    
1,200   ANSYS, INC.(b)   324,664   357,060    
294,711   APPLE, INC.   19,872,498   50,457,470    
13,205   APPLIED MATERIALS, INC.   1,025,431   1,828,232    
47,075   APPLOVIN CORP., CLASS A(b)   620,345   1,881,117    
3,300   ARISTA NETWORKS, INC.(b)   346,079   606,969    
25,802   ARROW ELECTRONICS, INC.(b)   2,951,251   3,231,442    
5,955   AUTODESK, INC.(b)   953,618   1,232,149    
25,946   AVNET, INC.   1,082,080   1,250,338    
10,155   BROADCOM, INC.   4,470,494   8,434,540    
9,400   CADENCE DESIGN SYSTEMS, INC.(b)   407,205   2,202,420    
7,000   CDW CORP.   292,424   1,412,320    
156,655   CISCO SYSTEMS, INC.   5,695,074   8,421,773    
6,994   COGNIZANT TECHNOLOGY SOLUTIONS CORP., CLASS A   283,349   473,774    
15,600   CORNING, INC.   85,176   475,332    
4,689   CRANE NXT CO.   221,457   260,568    
954   EPAM SYSTEMS, INC.(b)   163,143   243,928    
5 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Information Technology (Cont'd):            
100   F5, INC.(b)   $14,240   16,114    
3,851   FAIR ISAAC CORP.(b)   1,733,363   3,344,709    
100   FIRST SOLAR, INC.(b)   16,140   16,159    
27,615   FORTINET, INC.(b)   393,491   1,620,448    
357   GARTNER, INC.(b)   91,624   122,669    
22,781   GEN DIGITAL, INC.   207,695   402,768    
373   GODADDY, INC., CLASS A(b)   26,125   27,781    
216,189   HEWLETT PACKARD ENTERPRISE CO.   2,829,886   3,755,203    
44,411   HP, INC.   1,011,384   1,141,363    
43,850   INTEL CORP.   758,140   1,558,867    
11,723   INTERNATIONAL BUSINESS MACHINES CORP.   1,192,830   1,644,737    
3,680   INTUIT, INC.   523,933   1,880,259    
24,332   JABIL, INC.   1,916,929   3,087,487    
9,500   KEYSIGHT TECHNOLOGIES, INC.(b)   1,219,888   1,256,945    
5,476   KLA CORP.   1,781,428   2,511,622    
4,493   LAM RESEARCH CORP.   421,510   2,816,078    
32,216   MICROCHIP TECHNOLOGY, INC.   1,950,391   2,514,459    
33,760   MICRON TECHNOLOGY, INC.   669,074   2,296,693    
145,894   MICROSOFT CORP.   15,733,467   46,066,030    
500   MONOLITHIC POWER SYSTEMS, INC.   180,141   231,000    
1,900   MOTOROLA SOLUTIONS, INC.   402,783   517,256    
58,474   NCR CORP.(b)   1,333,890   1,577,044    
49,266   NVIDIA CORP.   5,154,382   21,430,217    
3,825   NXP SEMICONDUCTORS N.V.(c)   327,712   764,694    
25,247   ON SEMICONDUCTOR CORP.(b)   1,808,033   2,346,709    
19,877   ORACLE CORP.   1,256,311   2,105,372    
2,400   PTC, INC.(b)   82,674   340,032    
1,300   QORVO, INC.(b)   123,264   124,111    
7,515   QUALCOMM, INC.   758,389   834,616    
700   ROPER TECHNOLOGIES, INC.   94,318   338,996    
13,390   SALESFORCE, INC.(b)   939,415   2,715,224    
5,500   SEAGATE TECHNOLOGY HOLDINGS PLC   51,728   362,725    
2,647   SERVICENOW, INC.(b)   529,253   1,479,567    
24,755   SKYWORKS SOLUTIONS, INC.   2,431,455   2,440,595    
5,300   SYNOPSYS, INC.(b)   438,338   2,432,541    
10,207   TD SYNNEX CORP.   913,031   1,019,271    
600   TELEDYNE TECHNOLOGIES, INC.(b)   226,008   245,148    
18,255   TERADATA CORP.(b)   685,204   821,840    
6,600   TERADYNE, INC.   274,405   663,036    
27,783   TEXAS INSTRUMENTS, INC.   936,448   4,417,775    
7,049   TRIMBLE, INC.(b)   94,849   379,659    
500   TYLER TECHNOLOGIES, INC.(b)   190,425   193,070    
1,176   VERISIGN, INC.(b)   200,718   238,175    
5,145   WESTERN DIGITAL CORP.(b)   87,708   234,766    
600   ZEBRA TECHNOLOGIES CORP., CLASS A(b)   88,190   141,918    
        98,975,222   224,343,509   28.58%
Materials:            
3,094   AIR PRODUCTS AND CHEMICALS, INC.   525,323   876,840    
1,600   ALBEMARLE CORP.   110,503   272,064    
13,770   AMCOR PLC(c)   60,200   126,133    
4,165   AVERY DENNISON CORP.   371,149   760,821    
4,200   BALL CORP.   214,268   209,076    
11,110   BERRY GLOBAL GROUP, INC.   614,155   687,820    
1,400   CELANESE CORP.   139,561   175,728    
30,437   CF INDUSTRIES HOLDINGS, INC.   2,140,761   2,609,668    
183   CHEMOURS (THE) CO.   5,265   5,133    
9,262   CORTEVA, INC.   236,362   473,844    
8,062   DOW, INC.   185,436   415,677    
7,362   DUPONT DE NEMOURS, INC.   218,512   549,132    
4,214   EASTMAN CHEMICAL CO.   315,742   323,298    
3,991   ECOLAB, INC.   236,070   676,075    
19,000   FREEPORT-MCMORAN, INC.   286,861   708,510    
14,771   HUNTSMAN CORP.   356,079   360,412    
221   INTERNATIONAL FLAVORS & FRAGRANCES, INC.   4,754   15,066    
9,341   INTERNATIONAL PAPER CO.   310,484   331,325    
6,465   LINDE PLC   1,521,181   2,407,243    
6,607   LOUISIANA-PACIFIC CORP.   378,476   365,169    
6 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Materials (Cont'd):            
20,732   LYONDELLBASELL INDUSTRIES N.V., CLASS A   $1,355,517   1,963,320    
700   MARTIN MARIETTA MATERIALS, INC.   27,965   287,336    
18,188   MOSAIC (THE) CO.   699,110   647,493    
7,800   NEWMONT CORP.   153,062   288,210    
9,103   NUCOR CORP.   1,252,497   1,423,254    
1,000   PACKAGING CORP. OF AMERICA   114,697   153,550    
5,172   PPG INDUSTRIES, INC.   123,888   671,326    
10,609   RELIANCE STEEL & ALUMINUM CO.   2,557,143   2,781,998    
32,100   SEALED AIR CORP.   1,008,007   1,054,806    
18,743   STEEL DYNAMICS, INC.   1,970,796   2,009,625    
29,586   UNITED STATES STEEL CORP.   933,576   960,953    
2,100   VULCAN MATERIALS CO.   63,441   424,242    
8,135   WESTLAKE CORP.   856,316   1,014,190    
3,358   WESTROCK CO.   99,509   120,216    
        19,446,666   26,149,553   3.33%
Real Estate:            
2,129   ALEXANDRIA REAL ESTATE EQUITIES, INC.   110,363   213,113    
2,880   AMERICAN TOWER CORP.   179,676   473,616    
1,934   AVALONBAY COMMUNITIES, INC.   225,956   332,145    
3,388   BOSTON PROPERTIES, INC.   169,359   201,518    
1,400   CAMDEN PROPERTY TRUST   72,220   132,412    
4,300   CBRE GROUP, INC., CLASS A(b)   306,057   317,598    
100   COSTAR GROUP, INC.(b)   7,631   7,689    
4,600   CROWN CASTLE, INC.   151,615   423,338    
457   DIGITAL REALTY TRUST, INC.   20,856   55,306    
952   EQUINIX, INC.   131,626   691,400    
5,516   EQUITY RESIDENTIAL   179,921   323,844    
675   ESSEX PROPERTY TRUST, INC.   73,174   143,161    
900   FEDERAL REALTY INVESTMENT TRUST   47,642   81,567    
70   GAMING AND LEISURE PROPERTIES, INC.   2,718   3,189    
57,500   HEALTHPEAK PROPERTIES, INC.   994,833   1,055,700    
10,322   HOST HOTELS & RESORTS, INC.   73,056   165,875    
7,700   INVITATION HOMES, INC.   228,811   244,013    
2,300   IRON MOUNTAIN, INC.   103,977   136,735    
6,972   KIMCO REALTY CORP.   66,465   122,637    
4,900   MID-AMERICA APARTMENT COMMUNITIES, INC.   537,238   630,385    
12,118   PROLOGIS, INC.   352,040   1,359,761    
1,735   PUBLIC STORAGE   227,274   457,207    
4,002   REALTY INCOME CORP.   83,178   199,860    
3,900   REGENCY CENTERS CORP.   85,344   231,816    
680   REXFORD INDUSTRIAL REALTY, INC.   33,593   33,558    
3,800   SBA COMMUNICATIONS CORP.   554,352   760,646    
4,134   SIMON PROPERTY GROUP, INC.   304,125   446,596    
33   SUN COMMUNITIES, INC.   2,773   3,905    
4,100   UDR, INC.   63,318   146,247    
4,700   VENTAS, INC.   206,398   198,011    
4,265   VICI PROPERTIES, INC.   59,215   124,111    
6,400   WELLTOWER, INC.   407,634   524,288    
4,916   WEYERHAEUSER CO.   22,140   150,725    
        6,084,578   10,391,972   1.32%
Utilities:            
55,300   AES (THE) CORP.   863,461   840,560    
2,000   ALLIANT ENERGY CORP.   24,835   96,900    
2,900   AMEREN CORP.   143,805   217,007    
5,900   AMERICAN ELECTRIC POWER CO., INC.   372,550   443,798    
5,800   CENTERPOINT ENERGY, INC.   66,308   155,730    
10,200   CMS ENERGY CORP.   135,756   541,722    
4,975   CONSOLIDATED EDISON, INC.   318,863   425,512    
3,500   CONSTELLATION ENERGY CORP.   137,851   381,780    
8,873   DOMINION ENERGY, INC.   285,022   396,357    
2,300   DTE ENERGY CO.   71,502   228,344    
9,251   DUKE ENERGY CORP.   427,582   816,493    
4,325   EDISON INTERNATIONAL   135,088   273,729    
464   ENTERGY CORP.   10,276   42,920    
2,974   EVERGY, INC.   67,407   150,782    
19,661   EVERSOURCE ENERGY   1,003,308   1,143,287    
10,500   EXELON CORP.   342,581   396,795    
7 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Utilities (Cont'd):            
5,500   FIRSTENERGY CORP.   $150,953   187,990    
105,674   HAWAIIAN ELECTRIC INDUSTRIES, INC.   1,393,618   1,300,847    
16,354   NEXTERA ENERGY, INC.   192,414   936,921    
6,900   NISOURCE, INC.   43,973   170,292    
10,300   PG&E CORP.(b)   139,468   166,139    
13,100   PINNACLE WEST CAPITAL CORP.   782,497   965,208    
700   PPL CORP.   10,384   16,492    
1,200   PUBLIC SERVICE ENTERPRISE GROUP, INC.   51,552   68,292    
7,400   SEMPRA ENERGY   239,277   503,422    
13,300   SOUTHERN (THE) CO.   486,970   860,776    
3,500   WEC ENERGY GROUP, INC.   263,727   281,925    
        8,161,028   12,010,020   1.53%
    Sub-total Common Stocks:   434,437,355   779,940,724   99.35%
Escrows:            
Communication Services:            
1,360   GCI LIBERTY, INC., CLASS A(b)(d)   -   -    
        -   -   0.00%
    Sub-total Escrows:   -   -   0.00%
Rights:            
Health Care:            
300   ABIOMED, INC. (CONTINGENT VALUE RIGHTS)(b)(d)   -   -    
        -   -   0.00%
    Sub-total Rights:   -   -   0.00%
Short-Term Investments:            
5,300,460   NORTHERN INSTITUTIONAL FUNDS - U.S. GOVERNMENT SELECT PORTFOLIO, INSTITUTIONAL SHARES, 5.22%(e)   5,300,460   5,300,460    
    Sub-total Short-Term Investments:   5,300,460   5,300,460   0.68%
    Grand total   $439,737,815   785,241,184   100.03%
    
Notes to Schedule of Investments:
(a) Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market where the securities are traded. Foreign security values are stated in U.S. dollars.
(b) Non-income producing assets.
(c) Foreign security values are stated in U.S. dollars. As of September 30, 2023, the value of foreign stocks or depositary receipts of companies based outside of the United States represented 1.60% of net assets.
(d) Security has been deemed worthless and is a Level 3 investment.
(e) The short-term investment is a money market portfolio of the investment company, Northern Institutional Funds. At December 31, 2022, the value of the Clearwater Core Equity Fund's investment in the U.S. Government Select Portfolio of the Northern Institutional Funds was $4,611,528 with net purchases of $688,932 during the nine months ended September 30, 2023.
8 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
September 30, 2023 (unaudited)
Fair value is an estimate of the price the Clearwater Core Equity Fund ("Core Equity Fund") would receive upon selling a security in a timely transaction to an independent buyer in the principal or most advantageous market for the security. This guidance establishes a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Various inputs are used in determining the value of the Core Equity Fund's investments, as described below. These inputs are summarized in the three broad levels listed below.
Level 1 – Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 – Other significant observable inputs including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc. or quoted prices for identical or similar assets in markets that are not active.  Inputs that are derived principally from or corroborated by observable market data are also considered Level 2 measurements. An adjustment to any observable input that is significant to the fair value may render the measurement a Level 3 measurement.
Level 3 – Valuations based on unobservable inputs, which may include the Clearwater Management Co., Inc.'s (the “Adviser”) own assumptions in determining the fair value of an investment.
Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market in which such securities are traded, with foreign security values stated in U.S. dollars. Equity securities which have not traded on the date of valuation or securities for which sales prices are not generally reported are valued at the mean between the last bid and asked prices. Security transactions are accounted for as of trade date. With respect to Fund investments that do not have readily available market quotations, the Board of Trustees (the "Board") of Clearwater Investment Trust has designated the Adviser as the valuation designee to perform fair value determinations pursuant to Rule 2a-5 under the Investment Company Act of 1940, as amended. When prices are not readily available (including those for which trading has been suspended), are determined not to be reliable, or when the Adviser becomes aware that a significant event impacting the value of a security or group of securities has occurred after the closing of the exchange on which the security or securities principally trade, but before the calculation of the daily net asset value, the Core Equity Fund may value these securities at fair value as determined by the Adviser using procedures approved by the Board.
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following is a summary of the inputs used in valuing the Core Equity Fund’s investments and other financial instruments, if any, which are carried at fair value, as of September 30, 2023.
  Level 1   Level 2   Level 3   Total
Common Stocks $779,940,724   $   $   $779,940,724
Escrows     —*  
Rights     —*  
Short-Term Investments 5,300,460       5,300,460
Total $785,241,184   $   $   $785,241,184
    
* Security has been deemed worthless and is a Level 3 investment.
For the  Core Equity Fund, the investment value is comprised of equity securities, escrow, rights and short-term investments. See the Core Equity Fund’s Schedule of Investments for industry classification. Investments in equity and short-term securities generally are valued at the last sales price or the regular trading session closing price on the principal exchange or market where they are traded.
There were no significant Level 3 valuations at September 30, 2023.
9 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Core Equity Fund
September 30, 2023 (unaudited)
Clearwater Core Equity Fund Portfolio Diversification
(as a percentage of net assets)
10 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Select Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Common Stocks:            
Communication Services:            
6,100   AMC NETWORKS, INC., CLASS A(b)   $75,828   71,858    
3,500   CARS.COM, INC.(b)   42,390   59,010    
400   CINEMARK HOLDINGS, INC.(b)   6,595   7,340    
2,400   COGENT COMMUNICATIONS HOLDINGS, INC.   128,057   148,560    
27,000   DISH NETWORK CORP., CLASS A(b)   159,710   158,220    
83,622   EVENTBRITE, INC., CLASS A(b)   672,479   824,513    
400   GANNETT CO., INC.(b)   922   980    
128,702   NEW YORK TIMES (THE) CO., CLASS A   5,383,373   5,302,522    
34,069   OOMA, INC.(b)   600,763   443,238    
16,405   SCHOLASTIC CORP.   632,408   625,687    
600   SHENANDOAH TELECOMMUNICATIONS CO.   11,024   12,366    
17,502   SHUTTERSTOCK, INC.   1,171,326   665,951    
12,195   TECHTARGET, INC.(b)   511,498   370,240    
3,500   TELEPHONE AND DATA SYSTEMS, INC.   24,522   64,085    
151,687   THUNDERBIRD ENTERTAINMENT GROUP, INC.(b)(c)   536,158   238,992    
88,477   WARNER MUSIC GROUP CORP., CLASS A   2,713,038   2,778,178    
3,804   YELP, INC.(b)   111,139   158,208    
        12,781,230   11,929,948   3.19%
Consumer Discretionary:            
31,727   1-800-FLOWERS.COM, INC., CLASS A(b)   961,928   222,089    
1,558   ABERCROMBIE & FITCH CO., CLASS A(b)   25,016   87,824    
2,046   ACADEMY SPORTS & OUTDOORS, INC.   82,840   96,714    
55,864   ADIENT PLC(b)   2,047,887   2,050,209    
24,800   ADVANCE AUTO PARTS, INC.   1,789,117   1,387,064    
837   AMERICAN AXLE & MANUFACTURING HOLDINGS, INC.(b)   5,969   6,077    
122,110   AMERICAN EAGLE OUTFITTERS, INC.   2,036,201   2,028,247    
400   AMERICA'S CAR-MART, INC.(b)   24,862   36,396    
500   ASBURY AUTOMOTIVE GROUP, INC.(b)   84,891   115,035    
4,763   BLOOMIN' BRANDS, INC.   93,604   117,122    
1,295   BOOT BARN HOLDINGS, INC.(b)   77,565   105,141    
1,900   BRINKER INTERNATIONAL, INC.(b)   49,107   60,021    
200   BUCKLE (THE), INC.   6,390   6,678    
700   CALERES, INC.   16,331   20,132    
89,643   CARPARTS.COM, INC.(b)   484,279   369,329    
99,794   CENTURY CASINOS, INC.(b)   1,418,206   511,943    
1,929   CENTURY COMMUNITIES, INC.   86,775   128,819    
5,608   CHUY'S HOLDINGS, INC.(b)   117,797   199,533    
131,462   DANA, INC.   1,573,541   1,928,548    
15,487   DENNY'S CORP.(b)   249,246   131,175    
124   DORMAN PRODUCTS, INC.(b)   9,593   9,394    
67,838   DREAM FINDERS HOMES, INC., CLASS A(b)   1,164,702   1,508,039    
300   ETHAN ALLEN INTERIORS, INC.   6,708   8,970    
7,800   FOOT LOCKER, INC.   132,332   135,330    
4,500   FRONTDOOR, INC.(b)   94,527   137,655    
103,115   FULL HOUSE RESORTS, INC.(b)   871,209   440,301    
214,571   GAP (THE), INC.   2,870,602   2,280,890    
51,255   GEN RESTAURANT GROUP, INC.(b)   670,841   596,608    
28,735   GENESCO, INC.(b)   848,158   885,613    
79,519   GENTEX CORP.   2,347,052   2,587,548    
1,300   GENTHERM, INC.(b)   65,622   70,538    
987   G-III APPAREL GROUP LTD.(b)   14,210   24,596    
87,928   GILDAN ACTIVEWEAR, INC.(c)   2,096,537   2,462,863    
1,300   GREEN BRICK PARTNERS, INC.(b)   28,259   53,963    
900   GROUP 1 AUTOMOTIVE, INC.   129,981   241,839    
1,900   GUESS?, INC.   28,931   41,116    
230,130   HANESBRANDS, INC.   2,562,859   911,315    
800   HAVERTY FURNITURE COS., INC.   20,316   23,024    
27,031   HELEN OF TROY LTD.(b)   4,124,213   3,150,733    
47,911   HOOKER FURNISHINGS CORP.   1,123,840   931,869    
601   INSTALLED BUILDING PRODUCTS, INC.   45,818   75,059    
2,100   KONTOOR BRANDS, INC.   72,197   92,211    
600   LA-Z-BOY, INC.   13,860   18,528    
700   LCI INDUSTRIES   79,807   82,194    
700   LGI HOMES, INC.(b)   57,078   69,643    
1,500   M/I HOMES, INC.(b)   57,345   126,060    
33,020   MALIBU BOATS, INC., CLASS A(b)   1,881,329   1,618,640    
11 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Select Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Consumer Discretionary (Cont'd):            
575   MARINEMAX, INC.(b)   $13,007   18,872    
3,500   MDC HOLDINGS, INC.   99,518   144,305    
1,348   MERITAGE HOMES CORP.   96,515   164,982    
300   MONARCH CASINO & RESORT, INC.   18,189   18,630    
169,284   NEWELL BRANDS, INC.   1,567,061   1,528,635    
2,300   ODP (THE) CORP.(b)   82,462   106,145    
36,344   OVERSTOCK.COM, INC.(b)   1,190,529   574,962    
800   OXFORD INDUSTRIES, INC.   67,825   76,904    
6,878   PATRICK INDUSTRIES, INC.   511,414   516,263    
154,471   PELOTON INTERACTIVE, INC., CLASS A(b)   2,866,204   780,079    
3,600   PERDOCEO EDUCATION CORP.   37,564   61,560    
21,629   PVH CORP.   1,050,702   1,654,835    
1,400   SHAKE SHACK, INC., CLASS A(b)   65,264   81,298    
21,890   SHOE CARNIVAL, INC.   575,442   526,017    
2,100   SIGNET JEWELERS LTD.   118,747   150,801    
4,000   SIX FLAGS ENTERTAINMENT CORP.(b)   73,577   94,040    
28,885   SKYLINE CHAMPION CORP.(b)   1,767,337   1,840,552    
10,414   SLEEP NUMBER CORP.(b)   781,027   256,080    
823   SONIC AUTOMOTIVE, INC., CLASS A   28,187   39,306    
100   STANDARD MOTOR PRODUCTS, INC.   3,250   3,362    
1,777   STEVEN MADDEN LTD.   50,250   56,455    
83,405   STONERIDGE, INC.(b)   1,705,555   1,673,938    
1,200   STRATEGIC EDUCATION, INC.   69,846   90,300    
48,216   STRIDE, INC.(b)   1,706,528   2,171,166    
5,500   TRI POINTE HOMES, INC.(b)   86,442   150,425    
2,100   UPBOUND GROUP, INC.   46,462   61,845    
822   URBAN OUTFITTERS, INC.(b)   17,875   26,871    
72,578   VF CORP.   1,475,450   1,282,453    
2,000   VISTA OUTDOOR, INC.(b)   48,955   66,240    
57,468   WINNEBAGO INDUSTRIES, INC.   2,623,516   3,416,473    
3,600   WOLVERINE WORLD WIDE, INC.   27,599   29,016    
45,511   WYNDHAM HOTELS & RESORTS, INC.   2,595,020   3,164,835    
700   XPEL, INC.(b)   44,646   53,977    
        54,161,443   49,074,257   13.13%
Consumer Staples:            
1,800   ANDERSONS (THE), INC.   56,519   92,718    
400   CENTRAL GARDEN & PET CO., CLASS A(b)   13,784   16,036    
30,694   CHEFS' WAREHOUSE (THE), INC.(b)   942,401   650,099    
233   EDGEWELL PERSONAL CARE CO.   8,656   8,612    
1,900   ELF BEAUTY, INC.(b)   71,657   208,677    
60,200   FLOWERS FOODS, INC.   1,586,718   1,335,236    
1,300   FRESH DEL MONTE PRODUCE, INC.   30,767   33,592    
119,186   GROCERY OUTLET HOLDING CORP.(b)   3,504,266   3,438,516    
27,300   HALOWS CO. LTD.(c)   656,515   766,736    
74,163   HILTON FOOD GROUP PLC(c)   516,228   644,856    
2,126   HOSTESS BRANDS, INC.(b)   43,386   70,817    
13,130   INGREDION, INC.   1,203,344   1,291,992    
900   INTER PARFUMS, INC.   68,995   120,906    
700   J & J SNACK FOODS CORP.   91,908   114,555    
744   JOHN B. SANFILIPPO & SON, INC.   55,342   73,507    
161,194   MAMAMANCINI'S HOLDINGS, INC.(b)   478,880   704,418    
1,000   NATIONAL BEVERAGE CORP.(b)   39,795   47,020    
1,300   PRICESMART, INC.   76,855   96,759    
4,357   SIMPLY GOOD FOODS (THE) CO.(b)   146,160   150,404    
27,924   SPECTRUM BRANDS HOLDINGS, INC.   1,804,599   2,187,845    
1,814   TREEHOUSE FOODS, INC.(b)   75,897   79,054    
45,602   UNIVERSAL CORP.   2,437,199   2,152,870    
28,434   USANA HEALTH SCIENCES, INC.(b)   2,604,724   1,666,517    
5,100   VECTOR GROUP LTD.   45,813   54,264    
300   WD-40 CO.   59,193   60,972    
12,652   WINFARM SAS(b)(c)   518,360   107,071    
        17,137,961   16,174,049   4.33%
Energy:            
7,300   ARCHROCK, INC.   48,773   91,980    
7,490   BAYTEX ENERGY CORP.(c)   23,594   33,031    
2,100   CALLON PETROLEUM CO.(b)   72,871   82,152    
362   CHEVRON CORP.   35,198   61,040    
12 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Select Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Energy (Cont'd):            
2,000   CIVITAS RESOURCES, INC.   $114,995   161,740    
1,017   CONSOL ENERGY, INC.   57,529   106,693    
1,800   CORE LABORATORIES, INC.   33,948   43,218    
1,061   CVR ENERGY, INC.   28,107   36,106    
88,937   DMC GLOBAL, INC.(b)   3,253,916   2,176,288    
1,700   DORIAN LPG LTD.   24,290   48,841    
1,900   DRIL-QUIP, INC.(b)   39,103   53,523    
2,200   GREEN PLAINS, INC.(b)   64,124   66,220    
3,180   HELIX ENERGY SOLUTIONS GROUP, INC.(b)   19,514   35,521    
200   HELMERICH & PAYNE, INC.   7,654   8,432    
41,597   HIGHPEAK ENERGY, INC.(d)   469,244   702,157    
332   NABORS INDUSTRIES LTD.(b)   37,057   40,883    
3,300   NORTHERN OIL AND GAS, INC.   103,014   132,759    
134,834   NOV, INC.   1,634,007   2,818,031    
3,994   OCEANEERING INTERNATIONAL, INC.(b)   50,619   102,726    
1,100   OIL STATES INTERNATIONAL, INC.(b)   5,060   9,207    
2,902   PAR PACIFIC HOLDINGS, INC.(b)   45,626   104,298    
21,962   PATTERSON-UTI ENERGY, INC.   250,429   303,954    
580   PBF ENERGY, INC., CLASS A   19,990   31,047    
3,446   PROPETRO HOLDING CORP.(b)   24,164   36,631    
774   REX AMERICAN RESOURCES CORP.(b)   16,958   31,517    
2,600   RPC, INC.   20,213   23,244    
3,209   SM ENERGY CO.   87,806   127,237    
1,300   TALOS ENERGY, INC.(b)   17,956   21,372    
2,000   US SILICA HOLDINGS, INC.(b)   24,573   28,080    
740   VITAL ENERGY, INC.(b)   34,720   41,011    
        6,665,052   7,558,939   2.02%
Financials:            
28,717   AFC GAMMA, INC.   616,672   337,138    
19,504   A-MARK PRECIOUS METALS, INC.   577,271   572,052    
27,585   AMERICAN EQUITY INVESTMENT LIFE HOLDING CO.   796,377   1,479,659    
400   AMERISAFE, INC.   18,734   20,028    
1,100   APOLLO COMMERCIAL REAL ESTATE FINANCE, INC.   9,512   11,143    
20,500   ARGO GROUP INTERNATIONAL HOLDINGS LTD.   515,873   611,720    
119,510   ASSOCIATED BANC-CORP   2,084,499   2,044,816    
300   ASSURED GUARANTY LTD.   14,439   18,156    
1,800   AVANTAX, INC.(b)   34,988   46,044    
49,287   AXIS CAPITAL HOLDINGS LTD.   2,539,237   2,778,308    
31,614   AXOS FINANCIAL, INC.(b)   1,550,220   1,196,906    
700   B RILEY FINANCIAL, INC.   26,474   28,693    
2,400   BANCORP (THE), INC.(b)   53,353   82,800    
3,900   BANK OF HAWAII CORP.   184,962   193,791    
27,399   BREAD FINANCIAL HOLDINGS, INC.   820,363   937,046    
800   BRIGHTSPHERE INVESTMENT GROUP, INC.   12,484   15,512    
29,135   CALIFORNIA BANCORP(b)   555,019   585,613    
29,600   CAPITOL FEDERAL FINANCIAL, INC.   145,861   141,192    
600   CITY HOLDING CO.   53,184   54,210    
147,339   CNO FINANCIAL GROUP, INC.   2,726,779   3,496,354    
168,038   COLUMBIA BANKING SYSTEM, INC.   3,928,832   3,411,171    
35,698   COMMERCE BANCSHARES, INC.   1,673,529   1,712,790    
8,000   CUSTOMERS BANCORP, INC.(b)   139,005   275,600    
41,791   DONNELLEY FINANCIAL SOLUTIONS, INC.(b)   1,946,827   2,351,997    
6,600   EAGLE BANCORP, INC.   153,548   141,570    
700   ELLINGTON FINANCIAL, INC.   8,085   8,729    
400   EMPLOYERS HOLDINGS, INC.   13,746   15,980    
500   ENCORE CAPITAL GROUP, INC.(b)   22,889   23,880    
1,800   ENOVA INTERNATIONAL, INC.(b)   54,842   91,566    
28,551   ESQUIRE FINANCIAL HOLDINGS, INC.   854,172   1,304,495    
50,710   ESSENT GROUP LTD.   1,910,505   2,398,076    
2,259   EVERTEC, INC.   68,287   83,990    
116,237   EZCORP, INC., CLASS A(b)   869,913   958,955    
14,237   FEDERAL AGRICULTURAL MORTGAGE CORP., CLASS C   1,865,580   2,196,769    
130,084   FIDUCIAN GROUP LTD.(c)   760,862   474,916    
9,275   FIRST HAWAIIAN, INC.   174,544   167,414    
27,609   FIRST WESTERN FINANCIAL, INC.(b)   521,286   501,103    
11,733   FIRSTCASH HOLDINGS, INC.   713,810   1,177,759    
2,200   FRANKLIN BSP REALTY TRUST, INC.   24,406   29,128    
13 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Select Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Financials (Cont'd):            
19,868   GENWORTH FINANCIAL, INC., CLASS A(b)   $71,184   116,426    
75,634   GLACIER BANCORP, INC.   3,077,407   2,155,569    
8,800   HANNON ARMSTRONG SUSTAINABLE INFRASTRUCTURE CAPITAL, INC.   184,849   186,560    
17,127   HCI GROUP, INC.   924,383   929,825    
4,121   HERITAGE FINANCIAL CORP.   71,163   67,213    
2,500   HILLTOP HOLDINGS, INC.   66,017   70,900    
4,200   HOPE BANCORP, INC.   38,242   37,170    
909   HUNTINGTON BANCSHARES, INC.   9,494   9,454    
24,236   I3 VERTICALS, INC., CLASS A(b)   546,637   512,349    
200   INDEPENDENT BANK CORP.   9,914   9,818    
700   INDEPENDENT BANK GROUP, INC.   26,939   27,685    
1,462   INVESCO MORTGAGE CAPITAL, INC.   15,267   14,635    
52,230   JDC GROUP A.G.(b)(c)   1,191,985   954,639    
67,875   KINGSWAY FINANCIAL SERVICES, INC.(b)   606,551   512,456    
10,600   KKR REAL ESTATE FINANCE TRUST, INC.   125,870   125,822    
800   LAKELAND FINANCIAL CORP.   44,136   37,968    
209,029   LENDINGCLUB CORP.(b)   2,982,514   1,275,077    
800   LINCOLN NATIONAL CORP.   19,208   19,752    
8,638   LPL FINANCIAL HOLDINGS, INC.   1,660,201   2,052,821    
8,585   MARKETAXESS HOLDINGS, INC.   2,286,419   1,834,099    
2,100   MERCURY GENERAL CORP.   60,597   58,863    
82,238   MORTGAGE ADVICE BUREAU HOLDINGS LTD.(c)   1,053,801   532,853    
2,600   MR COOPER GROUP, INC.(b)   103,966   139,256    
2,539   NATIONAL WESTERN LIFE GROUP, INC., CLASS A   705,076   1,110,787    
3,590   NEW YORK COMMUNITY BANCORP, INC.   28,581   40,711    
10,100   NEW YORK MORTGAGE TRUST, INC.   85,793   85,749    
2,724   NMI HOLDINGS, INC., CLASS A(b)   39,406   73,793    
8,300   NORTHWEST BANCSHARES, INC.   85,460   84,909    
995   OFG BANCORP   22,845   29,711    
157,249   OLD NATIONAL BANCORP   2,300,391   2,286,400    
8,430   PACIFIC PREMIER BANCORP, INC.   180,370   183,437    
19,100   PACWEST BANCORP   148,753   151,081    
1,700   PALOMAR HOLDINGS, INC.(b)   85,370   86,275    
1,100   PATHWARD FINANCIAL, INC.   36,415   50,699    
20,100   PAYONEER GLOBAL, INC.(b)   89,952   123,012    
500   PIPER SANDLER COS.   52,300   72,655    
7,300   PRA GROUP, INC.(b)   138,795   140,233    
2,100   PROG HOLDINGS, INC.(b)   33,764   69,741    
2,100   RADIAN GROUP, INC.   49,135   52,731    
3,700   READY CAPITAL CORP.   36,013   37,407    
2,300   REDWOOD TRUST, INC.   13,958   16,399    
10,030   RENAISSANCERE HOLDINGS LTD.   1,610,066   1,985,138    
40,849   RYAN SPECIALTY HOLDINGS, INC.(b)   1,629,866   1,977,092    
500   SAFETY INSURANCE GROUP, INC.   37,195   34,095    
2,800   SERVISFIRST BANCSHARES, INC.   124,031   146,076    
1,310   SIMMONS FIRST NATIONAL CORP., CLASS A   21,676   22,218    
1,903   SIRIUSPOINT LTD.(b)(c)   10,615   19,354    
24,707   SKYWARD SPECIALTY INSURANCE GROUP, INC.(b)   530,034   675,984    
31,210   STEWART INFORMATION SERVICES CORP.   1,311,025   1,366,998    
1,182   STONEX GROUP, INC.(b)   72,388   114,559    
30,910   SYNOVUS FINANCIAL CORP.   857,377   859,298    
2,800   TOMPKINS FINANCIAL CORP.   136,519   137,172    
800   TRIUMPH FINANCIAL, INC.(b)   46,438   51,832    
1,000   TRUPANION, INC.(b)   26,610   28,200    
500   UNIVERSAL INSURANCE HOLDINGS, INC.   4,870   7,010    
57,749   UNIVEST FINANCIAL CORP.   1,067,701   1,003,678    
200   VIRTUS INVESTMENT PARTNERS, INC.   32,442   40,398    
78   WALKER & DUNLOP, INC.   5,251   5,791    
50,457   WEBSTER FINANCIAL CORP.   2,111,257   2,033,922    
6,000   WISDOMTREE, INC.   28,964   42,000    
91,459   WSFS FINANCIAL CORP.   4,083,552   3,338,253    
        62,097,967   62,243,077   16.66%
Health Care:            
9,921   ADDUS HOMECARE CORP.(b)   825,410   845,170    
7,500   AGILITI, INC.(b)   49,318   48,675    
25,147   AMICUS THERAPEUTICS, INC.(b)   167,175   305,787    
14 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Select Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Health Care (Cont'd):            
2,400   AMN HEALTHCARE SERVICES, INC.(b)   $193,049   204,432    
2,100   AMPHASTAR PHARMACEUTICALS, INC.(b)   60,514   96,579    
700   ANI PHARMACEUTICALS, INC.(b)   22,511   40,642    
600   ARCUS BIOSCIENCES, INC.(b)   9,822   10,770    
10,600   AVID BIOSERVICES, INC.(b)   105,265   100,064    
120,047   BIOCRYST PHARMACEUTICALS, INC.(b)   936,390   849,933    
9,600   BIOLIFE SOLUTIONS, INC.(b)   134,933   132,576    
88,914   BIOMERICA, INC.(b)   277,205   76,297    
113,272   BIOTE CORP., CLASS A(b)   418,992   579,953    
32,801   BIO-TECHNE CORP.   1,980,770   2,232,764    
6,961   CHARLES RIVER LABORATORIES INTERNATIONAL, INC.(b)   1,528,134   1,364,217    
4,289   COMMUNITY HEALTH SYSTEMS, INC.(b)   10,209   12,438    
17,007   COMPUTER PROGRAMS AND SYSTEMS, INC.(b)   628,404   271,092    
1,100   CONMED CORP.   90,438   110,935    
3,494   CORCEPT THERAPEUTICS, INC.(b)   69,996   95,194    
400   CORVEL CORP.(b)   55,868   78,660    
27,065   CROSS COUNTRY HEALTHCARE, INC.(b)   664,211   670,941    
61,340   DENTSPLY SIRONA, INC.   1,956,573   2,095,374    
1,200   DYNAVAX TECHNOLOGIES CORP.(b)   13,631   17,724    
2,735   EMBECTA CORP.   55,535   41,162    
2,225   ENSIGN GROUP (THE), INC.   171,080   206,769    
50,162   ERGOMED PLC(b)(c)   690,902   818,247    
15,497   ESTABLISHMENT LABS HOLDINGS, INC.(b)(c)   1,102,045   760,438    
93,616   EVOLUS, INC.(b)   849,867   855,650    
1,200   FULGENT GENETICS, INC.(b)   36,187   32,088    
841   GLAUKOS CORP.(b)   48,882   63,285    
92,963   HARROW HEALTH, INC.(b)   1,270,162   1,335,878    
300   HEALTHSTREAM, INC.   6,462   6,474    
78,462   INFUSYSTEM HOLDINGS, INC.(b)   809,634   756,374    
22,169   INMODE LTD.(b)(c)   834,684   675,268    
57,999   INOTIV, INC.(b)   1,103,928   178,637    
7,111   INSMED, INC.(b)   127,319   179,553    
107,949   INSTEM PLC(b)(c)   1,268,530   1,096,038    
27,945   INTEGER HOLDINGS CORP.(b)   2,186,526   2,191,726    
41,570   INTEGRA LIFESCIENCES HOLDINGS CORP.(b)   2,210,916   1,587,558    
76,877   IOVANCE BIOTHERAPEUTICS, INC.(b)   723,488   349,790    
3,800   ITEOS THERAPEUTICS, INC.(b)   42,622   41,610    
47,116   KINIKSA PHARMACEUTICALS LTD., CLASS A(b)   655,380   818,405    
34,884   LEMAITRE VASCULAR, INC.   1,823,586   1,900,480    
16,507   LIGAND PHARMACEUTICALS, INC.(b)   1,575,241   989,099    
22,257   MASIMO CORP.(b)   3,236,774   1,951,494    
3,012   MERIT MEDICAL SYSTEMS, INC.(b)   176,915   207,888    
10,610   MIRUM PHARMACEUTICALS, INC.(b)   237,204   335,276    
7,677   MOLINA HEALTHCARE, INC.(b)   2,215,295   2,517,212    
5,100   NEOGENOMICS, INC.(b)   44,444   62,730    
12,135   NEXUS A.G.(c)   1,029,221   663,219    
164,103   OCUPHIRE PHARMA, INC.(b)   426,845   549,745    
5,286   OMNIAB, INC.(b)(e)   -   -    
5,286   OMNIAB, INC.(b)(e)   -   -    
184,095   OMNIAB, INC. (NASDAQ GLOBAL MARKET EXCHANGE)(b)   1,133,819   955,453    
76,701   OPTIMIZERX CORP.(b)   1,793,424   596,734    
126,067   OPTINOSE, INC.(b)   256,243   155,062    
2,400   ORASURE TECHNOLOGIES, INC.(b)   9,502   14,232    
18,128   ORTHOPEDIATRICS CORP.(b)   1,001,801   580,096    
500   OWENS & MINOR, INC.(b)   7,800   8,080    
164,973   PACIFIC BIOSCIENCES OF CALIFORNIA, INC.(b)   2,009,804   1,377,525    
38,486   PACIRA BIOSCIENCES, INC.(b)   1,584,267   1,180,750    
57,370   PENNANT GROUP (THE), INC.(b)   725,731   638,528    
65,520   PERRIGO CO. PLC(c)   2,502,232   2,093,364    
62,055   PHIBRO ANIMAL HEALTH CORP., CLASS A   1,583,227   792,442    
9,000   PREMIER, INC., CLASS A   196,880   193,500    
2,500   PRESTIGE CONSUMER HEALTHCARE, INC.(b)   110,887   142,975    
34,117   PUMA BIOTECHNOLOGY, INC.(b)   133,408   89,728    
26,280   REVANCE THERAPEUTICS, INC.(b)   356,766   301,432    
31,189   RHYTHM PHARMACEUTICALS, INC.(b)   358,270   715,008    
15,354   ROCKET PHARMACEUTICALS, INC.(b)   302,659   314,603    
9,401   SCHOLAR ROCK HOLDING CORP.(b)   288,155   66,747    
15 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Select Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Health Care (Cont'd):            
17,288   SCPHARMACEUTICALS, INC.(b)   $179,065   123,091    
4,000   SELECT MEDICAL HOLDINGS CORP.   91,586   101,080    
52,695   STAAR SURGICAL CO.(b)   2,658,935   2,117,285    
40,252   SUPERNUS PHARMACEUTICALS, INC.(b)   1,363,923   1,109,748    
600   TANDEM DIABETES CARE, INC.(b)   12,504   12,462    
15,554   TRAVERE THERAPEUTICS, INC.(b)   465,890   139,053    
14,883   UROGEN PHARMA LTD.(b)   280,381   208,511    
418   US PHYSICAL THERAPY, INC.   32,458   38,343    
15,716   UTAH MEDICAL PRODUCTS, INC.   1,802,857   1,351,576    
148,734   VAREX IMAGING CORP.(b)   3,338,564   2,794,712    
1,100   VERADIGM, INC.(b)   13,571   14,454    
2,500   VERICEL CORP.(b)   60,043   83,800    
5,130   VERONA PHARMA PLC ADR(b)(c)(f)   85,761   83,619    
110,353   VIEMED HEALTHCARE, INC.(b)   575,900   742,676    
15,517   VIR BIOTECHNOLOGY, INC.(b)   229,939   145,394    
18,183   Y-MABS THERAPEUTICS, INC.(b)   405,812   99,097    
5,673   ZYNEX, INC.(b)   49,463   45,384    
        61,160,019   50,838,854   13.61%
Industrials:            
2,550   AAON, INC.   92,593   145,019    
500   AAR CORP.(b)   18,655   29,765    
8,700   ACUITY BRANDS, INC.   1,293,694   1,481,697    
29,351   ADENTRA, INC.(c)   744,094   662,977    
62,451   AIR LEASE CORP.   2,223,469   2,461,194    
310   ALAMO GROUP, INC.   40,969   53,587    
700   ALBANY INTERNATIONAL CORP., CLASS A   55,495   60,396    
600   ALLEGIANT TRAVEL CO.   44,820   46,116    
17,551   ALLIED MOTION TECHNOLOGIES, INC.   580,569   542,677    
60,321   AMERICAN WOODMARK CORP.(b)   4,431,276   4,560,871    
34,470   API GROUP CORP.(b)   731,709   893,807    
200   APOGEE ENTERPRISES, INC.   7,740   9,416    
1,460   APPLIED INDUSTRIAL TECHNOLOGIES, INC.   152,746   225,731    
1,766   ARCBEST CORP.   104,075   179,514    
1,800   ARCOSA, INC.   108,698   129,420    
56,051   ARIS WATER SOLUTIONS, INC., CLASS A   828,583   559,389    
18,970   ARMSTRONG WORLD INDUSTRIES, INC.   1,726,196   1,365,840    
1,100   ASTEC INDUSTRIES, INC.   35,388   51,821    
700   AZZ, INC.   25,907   31,906    
2,800   BARNES GROUP, INC.   88,428   95,116    
1,177   BOISE CASCADE CO.   67,222   121,278    
26,182   BOWMAN CONSULTING GROUP LTD.(b)   347,120   733,881    
2,600   BRADY CORP., CLASS A   111,195   142,792    
118,890   BRIGHTVIEW HOLDINGS, INC.(b)   1,410,582   921,398    
24,526   BWX TECHNOLOGIES, INC.   1,329,318   1,838,959    
700   CIRCOR INTERNATIONAL, INC.(b)   11,638   39,025    
18,937   CLEAN HARBORS, INC.(b)   2,602,058   3,169,296    
1,100   COMFORT SYSTEMS U.S.A., INC.   105,717   187,451    
35,707   CONSTRUCTION PARTNERS, INC., CLASS A(b)   1,045,056   1,305,448    
1,639   CSG SYSTEMS INTERNATIONAL, INC.   64,966   83,786    
12,058   DUCOMMUN, INC.(b)   570,259   524,644    
843   DXP ENTERPRISES, INC.(b)   19,189   29,454    
800   ENCORE WIRE CORP.   91,748   145,968    
74,205   ENERPAC TOOL GROUP CORP.   1,507,973   1,961,238    
900   ENPRO INDUSTRIES, INC.   77,086   109,071    
4,400   ENVIRI CORP.(b)   19,868   31,768    
26,623   ESAB CORP.   1,031,392   1,869,467    
1,000   ESCO TECHNOLOGIES, INC.   74,760   104,440    
3,316   FEDERAL SIGNAL CORP.   119,424   198,065    
37,328   FRANKLIN COVEY CO.(b)   1,722,893   1,602,118    
169,940   GATES INDUSTRIAL CORP. PLC(b)   2,363,036   1,973,003    
1,400   GIBRALTAR INDUSTRIES, INC.(b)   56,403   94,514    
24,010   GLOBAL INDUSTRIAL CO.   823,990   804,335    
26,805   GMS, INC.(b)   1,226,640   1,714,716    
25,840   GORMAN-RUPP (THE) CO.   792,796   850,136    
34,842   GRACO, INC.   2,134,929   2,539,285    
37,649   GRAHAM CORP.(b)   373,116   624,973    
2,431   GRANITE CONSTRUCTION, INC.   64,987   92,427    
16 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Select Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Industrials (Cont'd):            
2,600   GREENBRIER (THE) COS., INC.   $70,680   104,000    
27,983   HEXCEL CORP.   2,012,617   1,822,813    
3,809   HILLENBRAND, INC.   146,006   161,159    
53,079   HOWMET AEROSPACE, INC.   1,811,128   2,454,904    
1,973   HUB GROUP, INC., CLASS A(b)   129,965   154,959    
9,707   ICF INTERNATIONAL, INC.   855,829   1,172,703    
131,145   INTERFACE, INC.   1,042,609   1,286,532    
144,146   JELD-WEN HOLDING, INC.(b)   1,344,786   1,925,791    
8,139   JOHN BEAN TECHNOLOGIES CORP.   1,023,617   855,734    
412,772   JOHNSON SERVICE GROUP PLC(c)   782,509   677,427    
2,979   KADANT, INC.   640,748   671,913    
33,271   KARAT PACKAGING, INC.   672,154   767,229    
1,900   KELLY SERVICES, INC., CLASS A   26,974   34,561    
411,012   KNIGHTS GROUP HOLDINGS PLC(c)   535,385   468,870    
7,606   KORNIT DIGITAL LTD.(b)(c)   205,113   143,829    
44,208   MASONITE INTERNATIONAL CORP.(b)   4,207,008   4,121,070    
99,843   MASTERBRAND, INC.(b)   883,434   1,213,092    
1,500   MATSON, INC.   98,158   133,080    
2,100   MATTHEWS INTERNATIONAL CORP., CLASS A   48,981   81,711    
2,400   MILLERKNOLL, INC.   35,057   58,680    
1,500   MOOG, INC., CLASS A   111,928   169,440    
272,361   MRC GLOBAL, INC.(b)   2,432,452   2,791,700    
600   MYR GROUP, INC.(b)   57,948   80,856    
63,873   NOW, INC.(b)   705,804   758,173    
100   NV5 GLOBAL, INC.(b)   9,537   9,623    
6,300   OPENLANE, INC.(b)   74,444   93,996    
96,313   PGT INNOVATIONS, INC.(b)   1,591,219   2,672,686    
3,800   PITNEY BOWES, INC.   9,567   11,476    
400   QUANEX BUILDING PRODUCTS CORP.   7,672   11,268    
98,053   RADIANT LOGISTICS, INC.(b)   633,746   553,999    
164,470   RESIDEO TECHNOLOGIES, INC.(b)   2,835,286   2,598,626    
139,290   REV GROUP, INC.   1,480,838   2,228,640    
42,945   RUSH ENTERPRISES, INC., CLASS A   814,245   1,753,444    
14,458   RXO, INC.(b)   230,373   285,256    
15,311   SITEONE LANDSCAPE SUPPLY, INC.(b)   1,891,034   2,502,583    
2,700   SKYWEST, INC.(b)   45,446   113,238    
1,600   SPX TECHNOLOGIES, INC.(b)   88,269   130,240    
600   STANDEX INTERNATIONAL CORP.   52,056   87,414    
435,229   STEELCASE, INC., CLASS A   5,449,286   4,861,508    
13,734   STERLING INFRASTRUCTURE, INC.(b)   299,035   1,009,174    
1,100   SUN COUNTRY AIRLINES HOLDINGS, INC.(b)   15,521   16,324    
8,500   SUNPOWER CORP.(b)   51,898   52,445    
38,390   TECNOGLASS, INC.(c)   1,640,643   1,265,334    
124   TENNANT CO.   7,135   9,195    
14,846   TEREX CORP.   386,298   855,427    
3,000   TRINITY INDUSTRIES, INC.   65,630   73,050    
96,258   TRUEBLUE, INC.(b)   1,519,965   1,412,105    
400   VERITIV CORP.   48,032   67,560    
2,100   WABASH NATIONAL CORP.   33,108   44,352    
22,511   WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP.   2,043,210   2,392,244    
28,685   WILLDAN GROUP, INC.(b)   1,154,105   586,035    
22,490   WOODWARD, INC.   2,084,826   2,794,607    
        77,943,779   88,001,270   23.55%
Information Technology:            
3,600   A10 NETWORKS, INC.   52,187   54,108    
800   ADEIA, INC.   6,456   8,544    
14,444   ADTRAN HOLDINGS, INC.   128,091   118,874    
1,342   ADVANCED ENERGY INDUSTRIES, INC.   101,891   138,387    
900   AGILYSYS, INC.(b)   47,400   59,544    
700   ALARM.COM HOLDINGS, INC.(b)   34,067   42,798    
200   ALPHA & OMEGA SEMICONDUCTOR LTD.(b)   4,954   5,968    
216,394   ARLO TECHNOLOGIES, INC.(b)   1,328,819   2,228,858    
13,330   ARROW ELECTRONICS, INC.(b)   1,312,456   1,669,449    
16,242   ASPEN TECHNOLOGY, INC.(b)   3,097,227   3,317,591    
1,312   AVID TECHNOLOGY, INC.(b)   29,931   35,253    
51,756   AVNET, INC.   1,933,626   2,494,122    
67   AXCELIS TECHNOLOGIES, INC.(b)   3,800   10,924    
17 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Select Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Information Technology (Cont'd):            
1,636   BADGER METER, INC.   $154,127   235,371    
22,568   BELDEN, INC.   769,805   2,178,940    
2,504   BENCHMARK ELECTRONICS, INC.   50,443   60,747    
77,810   BIGCOMMERCE HOLDINGS, INC., CLASS 1(b)   685,316   767,985    
13,159   BILL HOLDINGS, INC.(b)   1,005,987   1,428,673    
45,781   CAMBIUM NETWORKS CORP.(b)   1,045,297   335,575    
110,415   CELESTICA, INC.(b)(c)   797,231   2,707,376    
1,917   CERENCE, INC.(b)   31,514   39,049    
25,781   CEVA, INC.(b)   1,164,879   499,894    
520   CLIMB GLOBAL SOLUTIONS, INC.   21,801   22,365    
49,846   CODA OCTOPUS GROUP, INC.(b)   396,328   309,045    
2,700   COHU, INC.(b)   73,544   92,988    
14,860   CONSENSUS CLOUD SOLUTIONS, INC.(b)   621,372   374,175    
1,900   CORSAIR GAMING, INC.(b)   22,922   27,607    
3,300   CTS CORP.   98,658   137,742    
27,632   DIGI INTERNATIONAL, INC.(b)   685,171   746,064    
80,921   DIGITAL TURBINE, INC.(b)   1,467,052   489,572    
1,700   DIODES, INC.(b)   111,873   134,028    
17,721   DOLBY LABORATORIES, INC., CLASS A   1,363,572   1,404,566    
400   DOUBLEVERIFY HOLDINGS, INC.(b)   10,984   11,180    
34,091   ELASTIC N.V.(b)   3,389,738   2,769,553    
1,000   EPLUS, INC.(b)   41,490   63,520    
6,749   EXTREME NETWORKS, INC.(b)   89,817   163,393    
100   FABRINET(b)(c)   16,791   16,662    
29,254   FD TECHNOLOGIES PLC(b)(c)   664,314   522,405    
63,925   GRID DYNAMICS HOLDINGS, INC.(b)   994,426   778,607    
74,839   HARMONIC, INC.(b)   964,622   720,700    
1,500   ICHOR HOLDINGS LTD.(b)   40,593   46,440    
14,066   IMPINJ, INC.(b)   823,908   774,052    
1,700   INSIGHT ENTERPRISES, INC.(b)   143,345   247,350    
1,700   INTERDIGITAL, INC.   73,063   136,408    
2,500   ITRON, INC.(b)   110,376   151,450    
50,667   ITURAN LOCATION AND CONTROL LTD.(c)   1,337,049   1,514,943    
25,784   KIMBALL ELECTRONICS, INC.(b)   616,253   705,966    
5,000   KNOWLES CORP.(b)   64,124   74,050    
3,100   KULICKE & SOFFA INDUSTRIES, INC.(c)   123,108   150,753    
139,774   LANTRONIX, INC.(b)   733,334   621,994    
13,044   LATTICE SEMICONDUCTOR CORP.(b)   840,437   1,120,871    
15,300   LIVEPERSON, INC.(b)   54,397   59,517    
2,600   LIVERAMP HOLDINGS, INC.(b)   48,085   74,984    
67,971   LUNA INNOVATIONS, INC.(b)   515,093   398,310    
7,720   MAXLINEAR, INC.(b)   177,753   171,770    
18,520   MKS INSTRUMENTS, INC.   1,726,317   1,602,721    
20,275   NAPCO SECURITY TECHNOLOGIES, INC.   431,239   451,119    
23,811   OKTA, INC.(b)   1,404,983   1,940,835    
1,700   ONESPAN, INC.(b)   15,193   18,275    
4,469   ONTO INNOVATION, INC.(b)   287,013   569,887    
800   OSI SYSTEMS, INC.(b)   59,840   94,432    
214,973   PARK CITY GROUP, INC.   1,185,108   1,883,164    
1,000   PDF SOLUTIONS, INC.(b)   24,850   32,400    
2,200   PHOTRONICS, INC.(b)   32,884   44,462    
140   POWER INTEGRATIONS, INC.   8,400   10,683    
12,654   PROGRESS SOFTWARE CORP.   566,039   665,347    
63,116   RADWARE LTD.(b)(c)   2,129,717   1,067,923    
1,800   RAMBUS, INC.(b)   46,397   100,422    
20,410   RAPID7, INC.(b)   770,620   934,370    
39,896   RED VIOLET, INC.(b)   1,059,826   798,319    
3,248   SANMINA CORP.(b)   119,288   176,301    
70,627   SCANSOURCE, INC.(b)   2,654,116   2,140,704    
10,112   SITIME CORP.(b)   1,259,111   1,155,296    
6,223   SOLARWINDS CORP.(b)   52,445   58,745    
25,154   SOUNDTHINKING, INC.(b)   728,600   450,257    
1,168   SPS COMMERCE, INC.(b)   143,291   199,273    
5,905   TTM TECHNOLOGIES, INC.(b)   68,078   76,056    
145   ULTRA CLEAN HOLDINGS, INC.(b)   3,816   4,302    
86,020   UPLAND SOFTWARE, INC.(b)   936,635   397,412    
37,811   VEECO INSTRUMENTS, INC.(b)   836,325   1,062,867    
18 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Select Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Information Technology (Cont'd):            
58,654   WALKME LTD.(b)(c)   $543,164   556,040    
91,666   WEAVE COMMUNICATIONS, INC.(b)   477,440   747,078    
36,596   WIX.COM LTD.(b)(c)   5,537,073   3,359,513    
        53,628,705   54,069,263   14.47%
Materials:            
735   ADVANSIX, INC.   21,577   22,844    
123,523   ASPEN AEROGELS, INC.(b)   896,805   1,062,298    
4,785   ATI, INC.(b)   128,941   196,903    
50,716   AXALTA COATING SYSTEMS LTD.(b)   1,234,484   1,364,260    
62   BALCHEM CORP.   7,550   7,690    
1,800   CARPENTER TECHNOLOGY CORP.   58,388   120,978    
33,558   FMC CORP.   3,969,694   2,247,379    
156,130   FORAN MINING CORP.(b)(c)   441,951   426,462    
1,800   FUTUREFUEL CORP.   10,948   12,906    
16,810   H.B. FULLER CO.   871,400   1,153,334    
14,230   HAYNES INTERNATIONAL, INC.   554,264   661,980    
15,772   INGEVITY CORP.(b)   787,495   750,905    
1,387   INNOSPEC, INC.   121,931   141,751    
900   KAISER ALUMINUM CORP.   59,411   67,734    
22,680   KOPPERS HOLDINGS, INC.   523,575   896,994    
700   MATERION CORP.   55,545   71,337    
1,700   MINERALS TECHNOLOGIES, INC.   86,510   93,092    
396   O-I GLASS, INC.(b)   6,082   6,625    
51,753   OLIN CORP.   1,062,872   2,586,615    
112,779   ORION S.A.   1,312,689   2,399,937    
700   QUAKER CHEMICAL CORP.   105,692   112,000    
1,600   SENSIENT TECHNOLOGIES CORP.   94,877   93,568    
8,599   SMITH-MIDLAND CORP.(b)   194,143   162,951    
7,900   SUNCOKE ENERGY, INC.   48,141   80,185    
492   SYLVAMO CORP.   18,922   21,619    
1,500   TIMKENSTEEL CORP.(b)   22,828   32,580    
103,201   TRIMAS CORP.   2,854,806   2,555,257    
1,900   WARRIOR MET COAL, INC.   55,152   97,052    
        15,606,673   17,447,236   4.67%
Real Estate:            
3,900   ACADIA REALTY TRUST   49,022   55,965    
376   AGREE REALTY CORP.   23,983   20,770    
2,700   ALEXANDER & BALDWIN, INC.   44,542   45,171    
300   AMERICAN ASSETS TRUST, INC.   5,121   5,835    
1,900   ANYWHERE REAL ESTATE, INC.(b)   11,826   12,217    
5,000   ARMADA HOFFLER PROPERTIES, INC.   50,699   51,200    
5,346   CARETRUST REIT, INC.   90,552   109,593    
146,871   DIAMONDROCK HOSPITALITY CO.   1,150,240   1,179,374    
5,029   ESSENTIAL PROPERTIES REALTY TRUST, INC.   93,408   108,777    
3,400   GLOBAL NET LEASE, INC.   34,084   32,674    
22,500   HUDSON PACIFIC PROPERTIES, INC.   117,599   149,625    
2,434   INNOVATIVE INDUSTRIAL PROPERTIES, INC.   175,268   184,157    
15,100   LXP INDUSTRIAL TRUST   139,152   134,390    
191   MARCUS & MILLICHAP, INC.   5,730   5,604    
4,500   NEXPOINT RESIDENTIAL TRUST, INC.   142,983   144,810    
1,000   ORION OFFICE REIT, INC.   6,430   5,210    
16,500   OUTFRONT MEDIA, INC.   192,699   166,650    
555   REGENCY CENTERS CORP.   24,356   32,989    
521   RETAIL OPPORTUNITY INVESTMENTS CORP.   7,344   6,450    
31,001   RMR GROUP (THE), INC., CLASS A   768,376   760,145    
7,900   RPT REALTY   58,155   83,424    
8,100   SAFEHOLD, INC.   141,715   144,180    
6,800   SITE CENTERS CORP.   72,391   83,844    
2,400   SL GREEN REALTY CORP.   60,029   89,520    
1,800   ST. JOE (THE) CO.   57,905   97,794    
5,600   TANGER FACTORY OUTLET CENTERS, INC.   78,338   126,560    
44,800   UNITI GROUP, INC.   148,965   211,456    
4,600   URBAN EDGE PROPERTIES   60,501   70,196    
2,500   WHITESTONE REIT   21,804   24,075    
        3,833,217   4,142,655   1.11%
19 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Select Equity Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Utilities:            
1,655   AMERICAN STATES WATER CO.   $127,894   130,215    
5,900   AVISTA CORP.   189,425   190,983    
744   CHESAPEAKE UTILITIES CORP.   66,090   72,726    
17,367   CONSOLIDATED WATER CO. LTD.(c)   317,490   493,918    
900   OTTER TAIL CORP.   66,600   68,328    
        767,499   956,170   0.26%
    Sub-total Common Stocks:   365,783,545   362,435,718   97.00%
Escrows:            
Communication Services:            
39,067   GCI LIBERTY, INC., CLASS A(b)(e)   -   -    
        -   -   0.00%
    Sub-total Escrows:   -   -   0.00%
Short-Term Investments:            
740,409   FIDELITY INVESTMENTS MONEY MARKET GOVERNMENT PORTFOLIO, INSTITUTIONAL SHARES(g)   740,409   740,409    
12,254,874   NORTHERN INSTITUTIONAL FUNDS - U.S. GOVERNMENT SELECT PORTFOLIO, INSTITUTIONAL SHARES, 5.22%(h)   12,254,874   12,254,874    
    Sub-total Short-Term Investments:   12,995,283   12,995,283   3.48%
    Grand total   $378,778,828   375,431,001   100.48%
    
Notes to Schedule of Investments:
(a) Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market where the securities are traded. Foreign security values are stated in U.S. dollars.
(b) Non-income producing assets.
(c) Foreign security values are stated in U.S. dollars. As of September 30, 2023, the value of foreign stocks or depositary receipts of companies based outside of the United States represented 7.08% of net assets.
(d) Security is either wholly or partially on loan.
(e) Security has been deemed worthless and is a Level 3 investment.
(f) Securities are American Depositary Receipts of companies based outside of the United States representing 0.02% of net assets as of September 30, 2023.
(g) Investment relates to cash collateral received from portfolio securities loaned.
(h) The short-term investment is a money market portfolio of the investment company, Northern Institutional Funds. At December 31, 2022, the value of the Clearwater Select Equity Fund's investment in the U.S. Government Select Portfolio of the Northern Institutional Funds was $12,324,435 with net sales of $69,560 during the nine months ended September 30, 2023.
20 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Select Equity Fund
September 30, 2023 (unaudited)
Fair value is an estimate of the price the Clearwater Select Equity Fund ("Select Equity Fund") would receive upon selling a security in a timely transaction to an independent buyer in the principal or most advantageous market for the security. This guidance establishes a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Various inputs are used in determining the value of the Select Equity Fund's investments, as described below. These inputs are summarized in the three broad levels listed below.
Level 1 – Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 – Other significant observable inputs including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc. or quoted prices for identical or similar assets in markets that are not active.  Inputs that are derived principally from or corroborated by observable market data are also considered Level 2 measurements. An adjustment to any observable input that is significant to the fair value may render the measurement a Level 3 measurement.
Level 3 – Valuations based on unobservable inputs, which may include the Clearwater Management Co., Inc.'s (the “Adviser”) own assumptions in determining the fair value of an investment.
Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market in which such securities are traded, with foreign security values stated in U.S. dollars. Equity securities which have not traded on the date of valuation or securities for which sales prices are not generally reported are valued at the mean between the last bid and asked prices. Security transactions are accounted for as of trade date. With respect to Fund investments that do not have readily available market quotations, the Board of Trustees (the "Board") of Clearwater Investment Trust has designated the Adviser as the valuation designee to perform fair value determinations pursuant to Rule 2a-5 under the Investment Company Act of 1940, as amended. When prices are not readily available (including those for which trading has been suspended), are determined not to be reliable, or when the Adviser becomes aware that a significant event impacting the value of a security or group of securities has occurred after the closing of the exchange on which the security or securities principally trade, but before the calculation of the daily net asset value, the Select Equity Fund may value these securities at fair value as determined by the Adviser using procedures approved by the Board.
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following is a summary of the inputs used in valuing the Select Equity Fund’s investments and other financial instruments, if any, which are carried at fair value, as of September 30, 2023.
  Level 1   Level 2   Level 3   Total
Common Stocks $353,380,010   $9,055,708   $—*   $362,435,718
Escrows     —*  
Short-Term Investments 12,995,283       12,995,283
Total $366,375,293   $9,055,708   $   $375,431,001
    
* Security has been deemed worthless and is a Level 3 investment.
For the Select Equity Fund, the investment value is comprised of equity securities, escrows, and short-term investments. See the Select Equity Fund’s Schedule of Investments for industry classification. Investments in equity and short-term securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market where the securities are traded.
There were no significant Level 3 valuations at September 30, 2023.
21 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Select Equity Fund
September 30, 2023 (unaudited)
Clearwater Select Equity Fund Portfolio Diversification
(as a percentage of net assets)
22 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Closed-End Funds:                        
105,231   BLACKROCK LONG-TERM MUNICIPAL ADVANTAGE TRUST   $962,380   943,922    
54,667   BLACKROCK MUNICIPAL INCOME FUND INC   606,170   554,870    
14,351   BLACKROCK MUNICIPAL INCOME QUALITY TRUST   190,922   141,501    
88,691   BLACKROCK MUNIHOLDINGS FUND INC   1,351,205   914,404    
27,182   BLACKROCK MUNIHOLDINGS NEW JERSEY QUALITY FUND INC   370,587   275,082    
82,054   BLACKROCK MUNIHOLDINGS QUALITY FUND II INC   1,031,620   720,434    
128,111   BLACKROCK MUNIYIELD MICHIGAN QUALITY FUND INC   1,650,396   1,272,142    
48,700   BLACKROCK MUNIYIELD PENNSYLVANIA QUALITY FUND   684,813   505,019    
66,132   BLACKROCK MUNIYIELD QUALITY FUND II INC   793,094   594,527    
96,091   BLACKROCK MUNIYIELD QUALITY FUND III INC   1,260,856   917,669    
48,128   BNY MELLON STRATEGIC MUNICIPAL BOND FUND INC   344,865   239,196    
177,771   DWS MUNICIPAL INCOME TRUST   2,003,096   1,368,837    
167,452   INVESCO ADVANTAGE MUNICIPAL INCOME TRUST II   1,848,233   1,240,819    
158,905   INVESCO MUNICIPAL OPPORTUNITY TRUST   1,932,487   1,307,788    
108,737   INVESCO MUNICIPAL TRUST   1,338,021   906,867    
55,087   INVESCO PENNSYLVANIA VALUE MUNICIPAL INCOME TRUST   739,279   493,029    
190,374   INVESCO QUALITY MUNICIPAL INCOME TRUST   2,321,500   1,597,238    
70,073   INVESCO TRUST FOR INVESTMENT GRADE MUNICIPALS   896,688   595,620    
81,582   INVESCO VALUE MUNICIPAL INCOME TRUST   1,234,553   848,453    
56,334   NUVEEN AMT-FREE MUNICIPAL CREDIT INCOME FUND   792,918   580,804    
212,362   NUVEEN AMT-FREE QUALITY MUNICIPAL INCOME FUND   2,802,706   2,055,664    
71,998   NUVEEN NEW JERSEY QUALITY MUNICIPAL INCOME FUND   1,101,444   761,739    
84,266   NUVEEN PENNSYLVANIA QUALITY MUNICIPAL INCOME FUND   1,197,701   856,985    
209,657   NUVEEN QUALITY MUNICIPAL INCOME FUND   2,955,001   2,125,922    
    Sub-total Closed-End Funds:           30,410,535   21,818,531   3.39%
Municipal Bonds:                    
Alabama                    
400,000   MOBILE CNTY AL LTD OBLG(b)   11/1/2045   4.00   400,000   327,816    
915,000   STADIUM TRACE VLG IMPT DIST DEV INCENTIVE ANTIC BONDS   3/1/2036   3.63   915,000   703,711    
            1,315,000   1,031,527   0.16%
Alaska                    
350,000   ALASKA ST INDL DEV & EXPORT AUTH CMNTY PROVIDER REVENUE(c)   12/1/2010   5.40   350,000   910    
            350,000   910   0.00%
Arizona                    
2,000,000   ARIZONA BRD OF RGTS UNIV ARIZONA SYS REVENUE   6/1/2046   5.00   2,051,090   2,010,726    
1,250,000   ARIZONA ST INDL DEV AUTH ECON DEV REVENUE(b)(c)(d)   7/1/2030   6.75   1,239,818   75,000    
1,250,000   ARIZONA ST INDL DEV AUTH ECON DEV REVENUE(b)(c)(d)   7/1/2050   7.75   1,237,783   75,000    
400,000   ARIZONA ST INDL DEV AUTH ECON DEV REVENUE(b)(c)(d)   7/1/2051   6.00   400,000   24,000    
550,000   GLENDALE AZ INDL DEV AUTH   11/15/2046   5.25   553,913   378,681    
870,000   MARICOPA CNTY AZ INDL DEV AUTH EDU REVENUE(b)   7/1/2052   6.00   900,751   868,720    
500,000   NAVAJO NATION AZ(b)   12/1/2030   5.50   509,486   509,749    
2,000,000   PHOENIX AZ CIVIC IMPT CORP WTR SYS REVENUE   7/1/2039   5.00   2,074,256   2,039,318    
1,000,000   PHOENIX AZ INDL DEV AUTH EDU REVENUE(b)   7/1/2036   5.13   988,427   977,513    
650,000   PIMA CNTY AZ INDL DEV AUTH SENIOR LIVING REVENUE(b)   11/15/2035   6.25   650,000   650,391    
650,000   PIMA CNTY AZ INDL DEV AUTH SENIOR LIVING REVENUE(b)   11/15/2057   7.00   650,000   649,930    
500,000   TEMPE AZ   1/1/2029   5.00   500,000   506,586    
220,000   TEMPE AZ INDL DEV AUTH REVENUE(b)   10/1/2024   4.70   219,891   188,279    
500,000   TEMPE AZ INDL DEV AUTH REVENUE(b)   10/1/2037   6.00   501,556   328,766    
            12,476,971   9,282,659   1.44%
Arkansas                    
500,000   ARKANSAS ST DEV FIN AUTH INDL DEV REVENUE(b)   9/1/2049   4.50   451,122   451,786    
925,000   MOUNTAIN HOME AR SALES & USE TAX REVENUE   9/1/2038   2.00   925,000   616,351    
            1,376,122   1,068,137   0.17%
23 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
California                    
2,350,000   ACALANES CA UNION HIGH SCH DIST (Step to 6.55% on 8/1/2024)(e)   8/1/2039   0.00   $2,227,513   2,474,734    
1,000,000   ALVORD CA UNIF SCH DIST (Step to 7.35% on 8/1/2026)(e)   8/1/2046   0.00   818,281   1,032,213    
650,000   CALIFORNIA PUBLIC FIN AUTH SENIOR LIVING REVENUE(b)   5/15/2029   3.13   650,000   605,135    
930,000   CALIFORNIA SCH FIN AUTH SCH FAC REVENUE(b)   7/1/2033   5.00   970,494   933,714    
500,000   CALIFORNIA ST MUNI FIN AUTH MOBILE HOME PARK REVENUE   8/15/2053   5.25   520,401   506,832    
1,500,000   CALIFORNIA ST SCH FACS FING AUTH REVENUE   8/1/2029   6.00   1,486,080   1,606,634    
250,000   CALIFORNIA ST STWD CMNTYS DEV AUTH STWD REVENUE   9/2/2033   4.75   248,045   239,241    
1,000,000   CARLSBAD CA UNIF SCH DIST   8/1/2031   6.13   995,518   1,153,255    
1,000,000   CENTRL CA UNIF SCH DIST   8/1/2043   5.00   1,043,534   1,017,701    
1,000,000   COLTON CA JT UNIF SCH DIST   8/1/2035   5.80   999,116   1,057,676    
1,105,000   CORONA-NORCO CA UNIF SCH DIST   8/1/2039   6.80   1,102,408   1,236,574    
750,000   EL PASO DE ROBLES CA REDEV AGY TAX ALLOCATION REVENUE   7/1/2033   6.38   744,871   751,407    
1,000,000   ENCINITAS CA UNION SCH DIST   8/1/2035   6.75   998,671   1,220,785    
1,155,000   ENTERPRISE CA ELEM SCH DIST   8/1/2035   6.20   1,152,951   1,346,736    
1,000,000   HELENDALE CA SCH DIST   8/1/2034   6.25   997,606   1,142,089    
1,000,000   IMPERIAL CA CMNTY CLG DIST   8/1/2040   6.75   1,004,470   1,055,442    
750,000   MARTINEZ CA UNIF SCH DIST   8/1/2035   6.13   746,188   764,766    
2,000,000   OAK PARK CA UNIF SCH DIST   8/1/2038   7.10   1,997,960   2,339,371    
1,000,000   REDONDO BEACH CA UNIF SCH DIST   8/1/2034   6.38   995,508   1,078,892    
750,000   RIVER ISLANDS CA PUBLIC FING AUTH SPL TAX   9/1/2052   5.25   810,888   783,272    
1,000,000   RIVERSIDE CA CMNTY PPTYS DEV INC LEASE REVENUE   10/15/2038   6.00   1,000,135   1,000,688    
350,000   SACRAMENTO CNTY CA WTR FING AUTH REVENUE (Floating, 3M CME Term SOFR + 0.57%)(f)   6/1/2039   4.37   350,000   286,659    
970,000   SAN DIEGO CA HSG AUTH MF HSG REVENUE(g)   10/15/2042   5.30   976,524   974,911    
1,250,000   SAN FRANCISCO CALIF CITY & CNTY ARPTS COMMN INTL ARPT REV   5/1/2039   5.00   1,253,159   1,247,385    
2,000,000   SAN JOAQUIN HILLS CA TRANSPRTN CORRIDOR AGY TOLL ROAD REV   1/15/2049   5.25   2,037,088   2,008,246    
1,000,000   SAN JOSE CA FING AUTH LEASE REVENUE   6/1/2039   5.00   1,000,000   1,000,547    
500,000   SANTA MONICA CA REDEV AGY   7/1/2036   5.88   500,000   500,846    
1,910,000   SULPHUR SPRINGS CA UNION SCH DIST COPS   12/1/2037   6.50   1,909,076   2,017,285    
1,000,000   TRACY CA JT UNIF SCH DIST (Step to 7.30% on 8/1/2027)(e)   8/1/2041   0.00   853,158   949,387    
            30,389,643   32,332,423   5.02%
Colorado                    
1,000,000   BASELINE MET DIST #1 CO SPL REVENUE   12/1/2051   5.00   969,925   827,290    
1,000,000   BRIGHTON CROSSING MET DIST #6 CO   12/1/2050   5.00   1,014,056   804,371    
830,000   CHAMBERS HIGHPOINT MET DIST #2 CO   12/1/2051   5.00   869,637   654,865    
1,400,000   COLLIERS HILL MET DIST #2 CO(h)   12/15/2047   5.75   1,400,000   1,239,373    
1,040,000   COLORADO EDUCTNL & CULTURAL AUTH REVENUE(b)   7/1/2043   6.00   1,040,000   983,604    
1,000,000   COLORADO ST EDUCTNL & CULTURAL FACS AUTH REVENUE   7/1/2034   5.60   995,958   1,000,873    
600,000   COLORADO ST HLTH FACS AUTH REVENUE   5/15/2030   3.50   600,000   531,099    
1,000,000   COLORADO ST HLTH FACS AUTH REVENUE   8/1/2033   7.63   991,433   999,955    
735,000   COLORADO ST HLTH FACS AUTH REVENUE   5/15/2049   5.00   775,277   496,263    
1,670,000   COLORADO ST HLTH FACS AUTH REVENUE   5/15/2058   5.00   1,719,065   1,063,715    
1,485,000   COLORADO ST HSG & FIN AUTH   11/1/2052   6.00   1,568,887   1,555,468    
1,500,000   CROSSROADS MET DIST #1 CO   12/1/2051   6.50   1,476,194   1,354,785    
24 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Colorado (Cont'd):                    
1,000,000   DENVER CO CITY & CNTY DEDICATED TAX REVENUE   8/1/2042   5.00   $1,039,008   1,008,787    
1,500,000   DENVER CO CITY & CNTY MF HSG REVENUE   2/1/2039   2.05   1,500,000   971,129    
870,000   DENVER CO CONVENTION CENTER HOTEL AUTH REVENUE   12/1/2030   5.00   894,574   873,286    
980,000   DOUGLAS CNTY CO MF REVENUE   10/1/2029   4.50   980,000   980,195    
775,000   GARFIELD/PITKIN/EAGLE CO SCH DIST #RE-1 ROARING FORK   12/15/2043   5.00   817,531   776,441    
1,000,000   GREEN VALLEY RANCH EAST MET DIST #6 CO   12/1/2050   5.88   1,000,000   916,039    
1,000,000   JOHNSTOWN PLAZA MET DIST CO   12/1/2046   4.25   946,977   753,492    
655,000   LAMBERTSON FARMS CO MET DIST #1 REVENUE   12/15/2025   5.00   646,140   638,672    
500,000   LAMBERTSON FARMS CO MET DIST #1 REVENUE   12/15/2035   5.50   500,000   471,423    
2,000,000   LEGATO CMNTY AUTH CO LTD TAX SUPPORTED REVENUE (Step to 5.00% on 12/1/2026)(e)   12/1/2051   0.00   1,754,469   1,220,184    
1,000,000   LITTLETON VLG MET DIST #2 COLO SPL REV   12/1/2045   5.38   996,758   920,246    
184,432   MOUNT CARBON CO MET DIST REVENUE(c)   6/1/2043   8.00   -   184,432    
1,373,686   REUNION MET DIST CO SPL REVENUE   12/1/2044   3.63   1,324,363   948,021    
500,000   RIVERVIEW MET DIST CO   12/1/2051   5.00   527,684   399,986    
1,000,000   RUDOLPH FARMS MET DIST #6 CO REVENUE SUPPORTED   6/1/2052   6.50   1,000,000   915,455    
500,000   SKY RANCH CMNTY AUTH BRD CO   12/1/2052   5.75   500,000   438,853    
1,000,000   TRANSPORT MET DIST #3 CO   12/1/2041   5.00   1,021,959   811,970    
1,000,000   TREE FARM MET DIST CO(b)   12/1/2041   4.50   1,000,000   836,342    
500,000   VERVE MET DIST #1 CO   12/1/2033   5.75   481,291   458,441    
1,000,000   WESTGATE MET DIST CO   12/1/2051   5.13   1,000,000   799,033    
1,000,000   WINDLER PUB IMPT AUTH CO LTD TAX SUPPORTED REVENUE   12/1/2041   4.00   1,000,000   651,381    
1,000,000   WINDSHIRE PARK CO MET DIST #2   12/1/2047   6.50   1,060,004   956,945    
            33,411,190   28,442,414   4.42%
Connecticut                    
2,000,000   CONNECTICUT ST HSG FIN AUTH HSG MTGE FIN PROGRAM   5/15/2045   3.85   2,010,026   1,654,928    
583,408   MASHANTUCKET WSTRN PEQUOT TRIBE CT   7/1/2031   6.05   586,069   129,808    
650,000   STAMFORD CT HSG AUTH(b)   12/1/2027   11.00   650,000   683,452    
            3,246,095   2,468,188   0.38%
District of Columbia                    
3,400,000   DIST OF COLUMBIA   6/1/2038   5.00   3,427,597   3,408,690    
1,500,000   DIST OF COLUMBIA HSG FIN AGY MF HSG MTGE REVENUE   6/15/2031   4.45   1,500,000   1,477,000    
495,000   DIST OF COLUMBIA HSG FIN AGY MF HSG REVENUE   7/1/2033   5.45   495,000   495,520    
1,000,000   DIST OF COLUMBIA HSG FIN AGY MF HSG REVENUE   6/1/2041   5.00   1,000,000   1,000,447    
3,500,000   DISTRICT OF COLUMBIA HSG FIN AGY   3/1/2042   2.50   3,500,000   2,358,740    
1,000,000   DISTRICT OF COLUMBIA HSG FIN AGY   9/1/2043   4.05   1,000,000   855,171    
            10,922,597   9,595,568   1.49%
Florida                    
550,000   ARTISAN LAKES EAST CDD FL CAPITAL IMPT REVENUE(b)   5/1/2052   4.00   575,250   395,297    
385,000   ASTURIA FL CMNTY DEV DIST SPL ASSMNT   5/1/2034   5.75   385,000   385,431    
250,000   AVE MARIA FL STEWARDSHIP CMNTY DIST CAPITAL IMPT REVENUE(b)   5/1/2033   4.50   249,021   238,552    
1,000,000   AVE MARIA FL STEWARDSHIP CMNTY DIST CAPITAL IMPT REVENUE   5/1/2052   4.00   1,015,226   726,505    
1,000,000   AVE MARIA FL STEWARDSHIP CMNTY DIST CAPITAL IMPT REVENUE(b)   5/1/2053   5.50   998,453   916,942    
495,000   BLACKBURN CREEK CMNTY DEV DIST FL CAP IMPT REVENUE   5/1/2035   6.25   495,000   503,992    
170,000   BLACKBURN CREEK CMNTY DEV DIST FL CAP IMPT REVENUE   5/1/2045   6.25   170,000   171,177    
25 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Florida (Cont'd):                    
1,500,000   BROWARD CNTY FL ARPT SYS REVENUE   10/1/2038   5.00   $1,572,679   1,505,971    
525,000   CAPITAL TRUST AGY FL EDUCTNL FACS REVENUE(b)   7/1/2051   4.00   556,581   361,855    
485,000   CAPITAL TRUST AGY FL EDUCTNL FACS REVENUE   6/1/2056   4.00   511,844   363,595    
1,415,000   CAPITAL TRUST AGY FL EDUCTNL FACS REVENUE(b)   6/1/2056   5.00   1,512,516   1,112,984    
445,000   CAPITAL TRUST AGY FL EDUCTNL FACS REVENUE(b)   7/1/2056   4.00   468,636   296,638    
750,000   CAPITAL TRUST AGY FL REVENUE(c)   4/1/2035   7.00   750,000   592,500    
1,750,000   CAPITAL TRUST AGY FL REVENUE(b)(c)(d)   12/1/2035   6.75   1,745,953   573,125    
750,000   CAPITAL TRUST AGY FL REVENUE(b)(c)(d)   7/1/2037   6.75   750,000   165,000    
655,000   CELEBRATION POINTE CMNTY DEV DIST #1 FL SPL ASSMNT REVENUE   5/1/2032   5.00   657,120   652,439    
500,000   CFM FL CDD REVENUE   5/1/2051   4.00   515,170   362,874    
1,100,000   COBBLESTONE CDD FL SPL ASSMNT REVENUE(b)   5/1/2053   4.30   1,085,446   835,519    
1,000,000   COLLIER CNTY FL EDUCTNL FACS AUTH REVENUE   6/1/2038   5.25   1,018,914   948,707    
559,270   COLLIER CNTY FLA INDL DEV AUTH CONTINUING CARE CMNTY REV(b)(c)(d)   5/15/2026   7.25   559,270   30,760    
1,304,964   COLLIER CNTY FLA INDL DEV AUTH CONTINUING CARE CMNTY REV(b)(c)(d)   5/15/2044   8.13   1,414,997   71,773    
1,000,000   EAST NASSAU STEWARDSHIP DIST FL SPL ASSMNT REVENUE   5/1/2051   4.00   1,019,681   726,541    
1,000,000   ELEVATION POINTE CMNTY DEV DIST FL SPL ASSMNT REVENUE   5/1/2032   4.40   1,000,000   933,329    
500,000   ENTRADA CMNTY DEV DIST FL CAPITAL IMPT REVENUE   5/1/2043   5.60   500,000   479,944    
800,000   ENTRADA CMNTY DEV DIST FL CAPITAL IMPT REVENUE(b)   5/1/2052   4.00   835,980   579,839    
1,350,000   FLORIDA DEV FIN CORP SURFACE TRANPRTN FAC REVENUE(b)   1/1/2049   7.38   1,294,205   1,338,695    
1,000,000   FLORIDA ST DEV FIN CORP(b)(i)   7/1/2057   7.25   980,143   1,040,000    
2,000,000   FLORIDA ST DEV FIN CORP EDUCTNL FACS REVENUE(b)(j)   4/23/2058   6.25   1,986,867   1,939,760    
200,000   FLORIDA ST DEV FIN CORP SENIOR LIVING REVENUE(b)   6/1/2027   2.38   200,000   189,748    
1,000,000   FLORIDA ST DEV FIN CORP SENIOR LIVING REVENUE(b)   11/15/2030   5.00   1,000,000   889,822    
1,350,000   FLORIDA ST DEV FIN CORP SENIOR LIVING REVENUE(b)   6/1/2051   5.00   1,467,254   1,047,351    
590,000   FLORIDA ST HSG FIN CORP REVENUE   1/1/2045   4.20   590,000   539,306    
985,000   FLORIDA ST HSG FIN CORP REVENUE   7/1/2046   3.25   985,000   730,404    
1,000,000   FLORIDA ST HSG FIN CORP REVENUE   7/1/2048   4.55   1,000,000   916,429    
510,000   FLORIDA ST HSG FIN CORP REVENUE   7/1/2049   3.30   510,000   470,466    
2,265,000   FLORIDA ST HSG FIN CORP REVENUE   1/1/2052   2.30   2,265,000   1,522,780    
1,495,000   FLORIDA ST HSG FIN CORP REVENUE   7/1/2052   4.55   1,495,000   1,381,305    
1,000,000   FORT LAUDERDAL FL SPL ASSMNT(b)   7/1/2048   4.00   1,039,652   742,748    
1,000,000   FRERC CDD FL   11/1/2040   5.38   1,000,000   924,686    
700,000   GRANDE PINES CDD FL SPL ASSMNT REVENUE   5/1/2041   3.75   699,082   533,441    
650,000   HARBOR BAY FL CDD CAPITAL IMPT REVENUE   5/1/2048   4.10   645,982   492,044    
700,000   HERITAGE HARBOUR FL N CDD SPL ASSMNT   5/1/2034   5.00   700,000   690,928    
2,500,000   HILLSBOROUGH CNTY FL CMNTY INVESTMENT TAX REVENUE   11/1/2023   5.00   2,501,017   2,501,607    
1,000,000   HYDE PARK CDD #1 FL SPL ASSMNT   5/1/2052   4.00   991,537   721,168    
1,000,000   JULINGTON CREEK PLANTATION FLCDD   5/1/2043   5.50   1,101,670   1,040,714    
710,000   LAKE CNTY FLA RETMNT FAC REVENUE   8/15/2050   5.75   724,324   591,965    
1,000,000   LAKE CNTY FLA RETMNT FAC REVENUE   8/15/2055   5.75   978,140   817,541    
1,750,000   LAKELAND FL HOSP SYS REVENUE   11/15/2045   5.00   1,746,500   1,616,057    
500,000   LAKES OF SARASOTA CDD FL IMPT REVENUE   5/1/2031   3.88   497,230   462,537    
26 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Florida (Cont'd):                    
500,000   LAKES OF SARASOTA CDD FL IMPT REVENUE   5/1/2031   4.13   $498,863   467,953    
385,000   LAKES OF SARASOTA CDD FL IMPT REVENUE   5/1/2041   4.13   383,800   317,967    
135,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2025   4.25   134,938   133,816    
900,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2034   5.35   900,000   905,738    
1,000,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2036   5.00   1,000,000   977,786    
750,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE(b)   5/1/2037   5.00   745,605   722,757    
745,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2037   5.25   741,374   733,606    
700,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2038   5.00   700,000   669,893    
1,000,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2039   5.30   1,000,000   971,297    
580,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE(b)   5/1/2040   3.63   576,051   447,468    
1,000,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE(b)   5/1/2040   3.75   1,000,000   787,428    
1,250,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2043   6.13   1,250,000   1,251,733    
630,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2049   4.00   626,749   470,137    
245,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2049   4.50   241,694   199,232    
940,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2050   4.00   926,328   694,209    
1,445,000   LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE   5/1/2052   4.00   1,513,833   1,050,027    
1,000,000   LAKEWOOD RANCH FL STEWARDSHIP DIST UTILITY REVENUE   10/1/2053   5.25   1,068,088   1,034,066    
1,300,000   LAUREL ROAD CDD FL CAPITAL IMPT REVENUE   5/1/2031   3.13   1,300,000   1,116,556    
1,000,000   LEE CNTY FL INDL DEV AUTH HLTHCR FACS REVENUE   11/15/2049   5.00   971,250   891,761    
90,000   LONG LAKE RANCH CMNTY DEV DIST FLA CAP IMPT REV   5/1/2024   5.63   90,000   90,245    
500,000   LT RANCH CDD FL CAPITAL IMPT REVENUE   5/1/2040   4.00   504,312   407,715    
735,000   MARSHALL CREEK FL CDD SPL ASSMNT   5/1/2032   5.00   738,878   723,145    
400,000   MEADOW VIEW AT TWIN CREEKS CDD FL SPL ASSMNT   5/1/2052   3.75   396,528   272,021    
500,000   MEADOW VIEW AT TWIN CREEKS CDD FL SPL ASSMNT   5/1/2052   4.00   515,513   360,584    
500,000   MIAMI BEACH FL HLTH FACS AUTH   11/15/2044   5.00   507,740   472,925    
1,000,000   MIAMI-DADE CNTY FL AVIATION REVENUE   10/1/2033   5.00   1,009,070   998,140    
160,000   N SPRINGS FL IMPT DIST   5/1/2027   6.00   160,000   162,931    
115,000   NEW RIVER FL CDD CAPITAL IMPT REVENUE(c)   5/1/2013   5.00   114,821   1    
825,000   NORTH RIVER RANCH CDD FL CAPITAL IMPT REVENUE   5/1/2035   4.20   825,000   734,666    
2,000,000   NORTH RIVER RANCH IMPT STEWARDSHIP DIST FL SPL ASSMNT REVENU   5/1/2033   5.75   2,000,000   1,924,449    
500,000   NORTH SPRINGS FL IMPT DIST   5/1/2044   6.50   500,000   505,394    
1,400,000   NTHRN PALM BEACH CNTY FL IMPT DIST   8/1/2029   5.00   1,401,263   1,401,137    
500,000   NTHRN PALM BEACH CNTY FL IMPT DIST   8/1/2037   5.00   505,195   476,438    
1,000,000   ORANGE CNTY FL HLTH FACS AUTH REVENUE   8/1/2034   5.00   1,006,731   986,787    
1,250,000   ORANGE CNTY FL HLTH FACS AUTH REVENUE   8/1/2040   5.00   1,242,750   1,178,939    
1,000,000   PALM BEACH CNTY FL HLTH FACS AUTH REVENUE(b)   7/1/2027   11.50   1,000,000   1,083,821    
1,000,000   PALM BEACH CNTY FL HLTH FACS AUTH REVENUE   6/1/2041   4.00   1,026,357   751,671    
27 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Florida (Cont'd):                    
2,935,000   PALM BEACH CNTY FL HLTH FACS AUTH REVENUE   5/15/2053   4.00   $2,854,364   1,743,052    
1,000,000   PALM COAST PARK FL CDD SPL ASSMNT REVENUE   5/1/2042   5.00   996,338   909,832    
560,000   PALM COAST PARK FL CDD SPL ASSMNT REVENUE   5/1/2043   5.40   560,000   526,549    
700,000   PALM COAST PARK FL CDD SPL ASSMNT REVENUE   5/1/2052   4.00   728,800   504,817    
500,000   PARKER ROAD FL CDD CAPITAL IMPT REVENUE   5/1/2050   4.10   498,369   368,718    
500,000   PARKVIEW AT LONG LAKE RANCH CDD FL SPL ASSMNET   5/1/2051   4.00   502,873   363,271    
500,000   PINELLAS CNTY FL INDL DEV AUTH INDL DEV REVENUE   7/1/2039   5.00   535,381   472,841    
580,000   POINCIANA FL W CDD SPL ASSMNT   5/1/2030   5.38   576,006   584,565    
1,000,000   POITRAS EAST CDD FL SPL ASSMNT REVENUE   5/1/2052   5.25   996,978   911,974    
375,000   RIVER LANDING CDD FL CAP IMPT REVENUE   11/1/2035   4.25   373,935   328,575    
490,000   ROLLING HILLS FL CDD CAPITAL IMPT REVENUE   5/1/2032   3.65   490,000   429,572    
1,000,000   SAINT JOHNS CNTY FL INDL DEV AUTH REVENUE   8/1/2055   4.00   1,041,427   731,153    
725,000   SANDRIDGE CMNTY DEV DIST FL SPL ASSMNT REVENUE   5/1/2051   4.00   715,414   523,735    
1,000,000   SAWYERS LANDING CDD FL SPL ASSMNT REVENUE   5/1/2041   4.13   991,918   803,834    
2,250,000   SAWYERS LANDING CDD FL SPL ASSMNT REVENUE   5/1/2053   4.25   2,197,966   1,658,522    
145,000   SILVERLEAF FL CDD CAPITAL IMPT REVENUE   5/1/2044   6.75   142,609   146,647    
400,000   SOUTHERN GROVE CMNTY DEV DIST #5 SPL ASSMNT   5/1/2048   4.00   418,591   297,593    
142,538   STERLING HILL FL CDD CAPITAL IMPT REVENUE(c)   11/1/2010   5.50   142,538   72,695    
650,000   SUNBRIDGE STEWARDSHIP DIST FL SPL ASSMNT REVENUE   5/1/2042   5.20   650,000   597,657    
115,000   TOLOMATO FL CDD (Step to 6.61% on 11/1/2024)(e)   5/1/2040   0.00   105,569   106,531    
1,480,000   TOLOMATO FL CDD   5/1/2040   3.75   1,430,193   1,272,397    
125,000   TOLOMATO FL CDD(c)   5/1/2040   6.61   -   1    
1,000,000   TRADITION CDD #9 FL SPL ASSMNT   5/1/2052   4.00   1,051,382   721,219    
700,000   TROUT CREEK CDD FL CAPITAL IMPT REVENUE   5/1/2038   5.38   700,000   679,386    
385,000   TROUT CREEK CDD FL CAPITAL IMPT REVENUE   5/1/2040   4.00   388,464   309,171    
1,005,000   TROUT CREEK CDD FL CAPITAL IMPT REVENUE   5/1/2052   5.50   999,220   920,526    
475,000   TSR CDD FL SPL ASSMNT REVENUE   11/1/2035   5.38   473,951   474,614    
1,500,000   UNIVERSITY PARK RECREATION DIST FL ON-AD VALOREM ASSMNT   5/1/2050   3.50   1,500,000   1,109,155    
750,000   VIERA STEWARDSHIP DIST FL SPL ASSMNT REVENUE   5/1/2053   4.00   780,856   541,077    
700,000   VIERA STEWARDSHIP DIST FL SPL ASSMNT REVENUE   5/1/2054   5.50   693,793   643,882    
1,000,000   VILLAGE CDD #15 SPL ASSMNT REVENUE(b)   5/1/2028   4.25   1,000,000   983,644    
1,000,000   VILLAGE CDD #15 SPL ASSMNT REVENUE(b)   5/1/2038   4.85   1,000,000   963,508    
500,000   WATERSET SOUTH CDD FL SPL ASSMNT REVENUE   5/1/2053   6.10   500,000   485,702    
900,000   WINDWARD AT LAKEWOOD RANCH CDD FL CAPITAL IMPT   5/1/2052   4.25   904,465   679,419    
655,000   WIREGRASS FL CDD CAPITAL IMPT REVENUE   5/1/2035   5.38   652,162   655,912    
1,000,000   WIREGRASS II CDD FL CAPITAL IMPROVEMENT REVENUE   5/1/2050   3.88   986,090   708,312    
1,000,000   WIREGRASS II CDD FL CAPITAL IMPROVEMENT REVENUE   5/1/2052   5.25   995,535   889,212    
750,000   WYNNFIELD LAKES FL CDD   5/1/2036   4.50   746,090   697,921    
28 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Florida (Cont'd):                    
350,934   ZEPHYR RIDGE FL CDD CAPITAL IMPT REVENUE(c)   5/1/2013   5.25   $351,276   54,044    
            106,556,624   88,318,465   13.72%
Georgia                    
500,000   ATHENS-CLARKE CNTY GA UNIF GOVT DEV AUTH REVENUE   6/15/2039   5.00   500,000   495,183    
1,250,000   GAINESVILLE & HALL CNTY GA DEV AUTH EDUCTNL FACS REVENUE(b)   9/1/2044   6.25   1,214,505   1,073,361    
1,950,000   GEORGIA ST HSG & FIN AUTH REVENUE   12/1/2043   3.90   1,936,000   1,686,061    
895,000   GEORGIA ST HSG & FIN AUTH REVENUE   12/1/2048   4.00   895,000   863,547    
1,000,000   MAIN STREET NATURAL GAS INC GA GAS SUPPLY REVENUE (Floating, U.S. SOFR + 1.70%)(f)   12/1/2053   5.26   1,000,000   992,936    
500,000   SUNBRIDGE STEWARDSHIP DIST FL SPL ASSMNT REVENUE   5/1/2042   5.40   500,000   475,776    
            6,045,505   5,586,864   0.87%
Idaho                    
130,000   IDAHO ST HLTH FACS AUTH REVENUE   10/1/2028   8.00   130,000   119,258    
570,000   IDAHO ST HLTH FACS AUTH REVENUE   10/1/2031   3.80   570,000   468,376    
750,000   IDAHO ST HLTH FACS AUTH REVENUE   10/1/2033   4.00   744,365   593,926    
1,000,000   IDAHO ST HLTH FACS AUTH REVENUE   10/1/2050   4.50   1,027,167   660,654    
2,500,000   IDAHO ST HSG & FIN ASSN SF MTGE REVENUE   1/1/2048   4.75   2,500,000   2,396,623    
2,000,000   IDAHO ST HSG & FIN ASSN SF MTGE REVENUE   7/1/2048   4.75   2,000,000   1,916,272    
1,000,000   SPRING VLY CMNTY INFRASTRUCTURE DIST #1 SPL ASSMNT(b)   9/1/2051   3.75   1,000,000   718,497    
            7,971,532   6,873,606   1.07%
Illinois                    
1,250,000   BURBANK IL EDUCTNL FACS REVENUE(b)   9/1/2035   6.00   1,254,029   1,191,678    
1,000,000   BUREAU CNTY TWP IL HIGH SCH DIST #502   10/1/2043   6.63   1,001,593   1,004,143    
1,000,000   CHICAGO IL MIDWAY ARPT REVENUE   1/1/2035   5.25   1,000,000   1,000,097    
1,000,000   CHICAGO IL O'HARE INTERNATIONAL ARPT REVENUE   1/1/2046   5.00   1,009,877   986,881    
1,000,000   CHICAGO IL O'HARE INTERNATIONAL ARPT REVENUE   1/1/2053   5.50   1,058,669   1,019,250    
750,000   CHICAGO IL PARK DIST   1/1/2042   4.00   765,381   638,564    
500,000   DECATUR IL   3/1/2034   5.00   501,022   501,578    
830,000   EVANSTON ILL EDL FAC REV(b)   4/1/2041   4.38   828,467   589,074    
1,500,000   ILLINOIS ST   2/1/2039   5.00   1,504,371   1,444,204    
1,500,000   ILLINOIS ST   5/1/2047   5.50   1,608,777   1,556,113    
1,000,000   ILLINOIS ST EDUCTNL FACS AUTH   11/1/2036   4.50   1,000,000   991,002    
675,000   ILLINOIS ST FIN AUTH EDUCTNL FAC REVENUE   2/1/2034   6.00   675,438   675,282    
500,000   ILLINOIS ST FIN AUTH REVENUE   5/15/2036   5.00   500,598   226,250    
750,000   ILLINOIS ST FIN AUTH REVENUE   12/1/2037   5.00   756,415   714,141    
1,450,000   ILLINOIS ST FIN AUTH REVENUE   5/15/2038   5.13   1,414,008   1,198,928    
1,500,000   ILLINOIS ST FIN AUTH REVENUE   5/15/2045   5.00   1,527,633   1,132,886    
1,000,000   ILLINOIS ST FIN AUTH REVENUE   11/15/2045   5.00   1,021,136   923,461    
500,000   ILLINOIS ST FIN AUTH REVENUE(f)(k)   7/15/2055   4.77   500,000   500,000    
1,250,000   ILLINOIS ST HSG DEV AUTH REVENUE   10/1/2048   4.75   1,250,000   1,198,303    
2,455,000   ILLINOIS ST HSG DEV AUTH REVENUE   4/1/2053   5.25   2,605,059   2,504,247    
1,000,000   ILLINOIS ST SALES TAX REVENUE   6/15/2033   5.00   1,042,482   1,019,740    
1,500,000   ILLINOIS ST SPORTS FACS AUTH   6/15/2031   5.25   1,511,754   1,507,106    
500,000   LAKE CNTY IL SCH DIST #33   12/1/2040   5.00   507,160   505,669    
1,000,000   LINCOLNWOOD IL TAX INCREMENT ALLOCATION REVENUE NTS COPS(b)   1/1/2041   4.82   1,000,000   862,194    
1,080,000   MACOUPIN SANGAMON & MONTGOMERY CNTYS IL CMNTY SCH DIST #34   12/1/2037   4.25   1,081,119   998,941    
1,000,000   MALTA IL TAX INCR REVENUE(c)   12/30/2025   5.75   1,000,000   250,000    
750,000   ROCKFORD IL   12/15/2030   4.00   750,000   745,908    
325,000   S WSTRN IL DEV AUTH REV(c)   10/1/2022   7.00   325,000   260,000    
29 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Illinois (Cont'd):                    
1,000,000   UNIV OF ILLINOIS IL REVENUES   4/1/2044   5.00   $1,006,939   957,500    
            30,006,927   27,103,140   4.21%
Indiana                    
1,500,000   INDIANA FIN AUTH EDUCTNL FACS REVENUE   7/1/2047   5.00   1,535,204   1,371,140    
700,000   INDIANA FIN AUTH EDUCTNL FACS REVENUE   6/1/2051   5.00   762,685   551,750    
500,000   INDIANA ST FIN AUTH HOSP REVENUE   12/1/2040   5.00   506,624   502,648    
625,000   INDIANA ST FIN AUTH HSG REVENUE   11/20/2027   4.80   625,000   628,438    
1,000,000   INDIANA ST FIN AUTH REVENUE   11/15/2033   6.50   990,823   1,001,947    
1,500,000   INDIANA ST FIN AUTH REVENUE   11/15/2041   4.00   1,689,573   1,214,164    
1,000,000   INDIANA ST FIN AUTH REVENUE   11/15/2046   5.25   1,015,202   919,670    
1,500,000   INDIANA ST HSG & CMNTY DEV AUTH MF HSG REVENUE   1/1/2036   5.75   1,500,000   1,377,345    
2,500,000   INDIANA ST HSG & CMNTY DEV AUTH SF MTGE REVENUE   7/1/2053   4.70   2,500,000   2,368,008    
1,000,000   INDIANA ST HSG & CMNTY DEV AUTH SF MTGE REVENUE   7/1/2053   5.75   1,090,099   1,034,481    
2,000,000   INDIANAPOLIS IN LOCAL PUBLIC IMPT BOND BANK   1/1/2031   5.00   2,005,614   1,997,735    
600,000   MERRILLVILLE IN ECON DEV REVENUE   4/1/2036   5.75   600,000   507,593    
615,000   MUNSTER IN ECON DEV TAX INCR REVENUE   7/15/2026   4.75   614,199   615,427    
            15,435,023   14,090,346   2.19%
Iowa                    
1,500,000   DES MOINES IA   6/1/2040   1.88   1,027,899   908,291    
1,500,000   IOWA ST FIN AUTH REVENUE   5/15/2048   5.00   1,624,223   1,104,115    
1,000,000   IOWA ST FIN AUTH REVENUE   5/15/2053   4.00   1,091,951   593,885    
1,000,000   IOWA ST FIN AUTH SF MTGE REVENUE   7/1/2042   4.05   1,000,000   872,386    
2,000,000   IOWA ST FIN AUTH SF MTGE REVENUE   7/1/2053   5.50   2,111,353   2,056,059    
1,000,000   IOWA ST HGR EDU LOAN AUTH REVENUE   10/1/2052   5.38   1,018,881   971,141    
            7,874,307   6,505,877   1.01%
Kansas                    
935,000   WYANDOTTE CNTY KS KANSAS CITY UNIF GOVT SPL OBLG REVENUE   9/1/2032   5.75   930,473   833,312    
1,435,000   WYANDOTTE CNTY KS KANSAS CITY UNIF GOVT SPL OBLG REVENUE(b)   9/1/2035   5.25   1,421,735   1,334,077    
            2,352,208   2,167,389   0.34%
Kentucky                    
1,000,000   CHRISTIAN CNTY KY SCH DIST FIN CORP   10/1/2041   5.00   1,057,232   1,029,907    
1,500,000   KENTUCKY ST ECON DEV FIN AUTH   1/1/2045   5.00   1,488,210   1,419,626    
1,500,000   KENTUCKY ST HSG CORP SF MTGE   7/1/2043   4.70   1,500,000   1,457,834    
            4,045,442   3,907,367   0.61%
Louisiana                    
580,000   LOUISIANA PUB FACS AUTH REVENUE(b)   6/1/2031   4.00   597,155   514,797    
1,000,000   LOUISIANA PUB FACS AUTH REVENUE(b)   6/1/2051   5.00   1,056,800   748,030    
980,000   LOUISIANA ST HSG CORP SF MTGE REVENUE   12/1/2042   4.05   980,000   839,129    
1,250,000   LOUISIANA ST HSG CORP SF MTGE REVENUE   12/1/2046   2.55   1,250,000   784,851    
1,000,000   LOUISIANA ST HSG CORP SF MTGE REVENUE   6/1/2054   5.75   1,071,819   1,043,976    
500,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH   11/15/2025   5.50   499,500   493,700    
1,000,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH   11/15/2030   6.00   1,004,905   980,682    
600,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVE(b)   11/1/2037   5.65   600,000   619,000    
1,000,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVE(b)   7/1/2039   5.00   1,043,574   805,160    
30 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Louisiana (Cont'd):                    
600,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVE(b)   11/1/2039   5.50   $600,000   614,091    
900,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVE(b)   11/1/2044   4.00   900,000   759,599    
650,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVE(b)   11/1/2044   4.40   650,000   581,566    
1,150,000   LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVE(b)   11/1/2046   4.00   1,150,000   948,234    
500,000   LOUISIANA ST PUBLIC FACS AUTH HOSP REVENUE   7/1/2035   5.00   510,227   500,792    
335,000   LOUISIANA ST PUBLIC FACS AUTH REVENUE (Floating, 3M CME Term SOFR + 0.70%)(f)   2/15/2036   4.47   335,000   301,559    
1,000,000   NEW ORLEANS LA AVIATION BRD   1/1/2048   5.00   1,011,874   980,260    
            13,260,854   11,515,426   1.79%
Maine                    
2,500,000   MAINE ST HSG AUTH MTGE PURCHASE   11/15/2053   4.70   2,500,000   2,366,479    
            2,500,000   2,366,479   0.37%
Maryland                    
500,000   MARYLAND ST CMNTY DEV ADMIN DEPT HSG & CMNTY DEV   7/1/2031   4.50   500,000   500,349    
1,000,000   MARYLAND ST CMNTY DEV ADMIN DEPT HSG & CMNTY DEV   9/1/2044   2.55   1,000,000   653,575    
1,000,000   MARYLAND ST CMNTY DEV ADMIN DEPT HSG & CMNTY DEV   3/1/2047   5.05   1,000,000   993,385    
975,000   MARYLAND ST CMNTY DEV ADMIN DEPT HSG & CMNTY DEV   9/1/2052   5.00   1,021,071   978,412    
1,500,000   MARYLAND ST STADIUM AUTH REVENUE   5/1/2036   5.00   1,559,598   1,530,769    
500,000   MONTGOMERY CNTY MD HSG OPPORTUNITIES COMMISSION MF REVENUE   7/1/2037   5.13   500,000   508,792    
545,000   MONTGOMERY CNTY MD HSG OPPORTUNITIES COMMISSION SF MTGE REVE   7/1/2038   4.00   545,000   524,117    
            6,125,669   5,689,399   0.88%
Massachusetts                    
1,000,000   MASSACHUSETTS ST BAY TRANSPRTN AUTH SALES TAX REVENUE(l)   7/1/2031   0.00   740,244   704,270    
4,000,000   MASSACHUSETTS ST DEV FIN AGY MF REVENUE   1/1/2042   2.30   4,000,000   2,537,091    
1,500,000   MASSACHUSETTS ST DEV FIN AGY REVENUE   6/1/2049   4.00   1,511,345   1,536,551    
810,000   MASSACHUSETTS ST EDUCTNL FING AUTH   7/1/2033   3.50   777,243   784,988    
1,000,000   MASSACHUSETTS ST EDUCTNL FING AUTH   7/1/2037   2.00   1,000,000   801,141    
1,500,000   MASSACHUSETTS ST EDUCTNL FING AUTH   7/1/2048   3.75   1,448,228   1,090,273    
1,700,000   MASSACHUSETTS ST EDUCTNL FING AUTH   7/1/2051   3.00   1,708,181   1,031,557    
265,000   MASSACHUSETTS ST HSG FIN AGY   12/1/2033   5.00   265,000   265,087    
270,000   MASSACHUSETTS ST HSG FIN AGY   12/1/2038   5.15   270,000   270,060    
310,000   MASSACHUSETTS ST HSG FIN AGY   12/1/2043   5.00   310,000   310,061    
2,025,000   MASSACHUSETTS ST HSG FIN AGY HSG REVENUE   12/1/2043   4.00   2,025,000   1,988,857    
2,000,000   MASSACHUSETTS ST HSG FIN AGY HSG REVENUE   12/1/2048   4.90   2,000,000   1,958,663    
1,000,000   MASSACHUSETTS ST SCH BLDG AUTH SALES TAX REVENUE   8/15/2037   5.00   1,026,023   1,014,356    
1,500,000   WALTHAM MA   10/15/2039   2.13   1,103,272   1,014,438    
            18,184,536   15,307,393   2.38%
Michigan                    
770,000   MICHIGAN ST FIN AUTH LTD OBLIG REVENUE   12/1/2031   3.00   765,023   623,042    
31 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Michigan (Cont'd):                    
650,000   MICHIGAN ST FIN AUTH LTD OBLIG REVENUE   12/1/2039   4.25   $652,450   485,788    
1,000,000   MICHIGAN ST HSG DEV AUTH MF REVENUE(m)   2/1/2026   5.00   1,012,034   1,003,080    
1,500,000   MICHIGAN ST HSG DEV AUTH RENTAL HSG REVENUE   10/1/2048   5.00   1,500,000   1,449,563    
1,000,000   MICHIGAN ST HSG DEV AUTH RENTAL HSG REVENUE   10/1/2049   3.35   1,043,547   713,377    
1,000,000   MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE   12/1/2040   5.20   1,000,000   989,744    
1,000,000   MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE   12/1/2048   4.90   1,000,000   979,331    
1,500,000   MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE   12/1/2048   4.95   1,500,000   1,452,616    
205,000   MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE   6/1/2050   3.15   205,000   190,411    
5,000,000   MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE   6/1/2051   2.75   4,881,262   3,120,818    
6,500,000   MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE   6/1/2052   2.50   6,500,000   3,724,038    
5,000,000   MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE   12/1/2053   4.95   5,000,000   4,902,535    
1,500,000   MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE   6/1/2054   5.75   1,586,948   1,553,393    
330,000   MICHIGAN ST PUBLIC EDUCTNL FACS AUTH(c)   11/1/2028   6.35   330,000   330,007    
1,000,000   MICHIGAN ST TRUNK LINE   11/15/2044   5.50   1,115,272   1,082,723    
750,000   TAYLOR MI BROWNFIELD REDEV AUTH   5/1/2032   5.00   753,856   753,705    
750,000   UNIVERSAL ACADEMY MI PUBLIC SCH ACADEMY REVENUE   12/1/2040   4.00   820,517   620,902    
            29,665,909   23,975,073   3.72%
Minnesota                    
950,000   APPLE VLY MN SENIOR LIVING REVENUE   1/1/2047   5.00   930,802   546,132    
1,585,000   ELK RIVER MN INDEP SCH DIST #728   2/1/2039   2.50   1,267,104   1,153,052    
1,000,000   LAUDERDALE MN MF REVENUE   1/1/2040   5.13   991,826   897,436    
2,000,000   MINNESOTA ST HGR EDU FACS AUTH REVENUE   10/1/2047   5.00   2,065,426   1,982,950    
995,000   MINNESOTA ST HSG FIN AGY   7/1/2051   2.50   805,409   688,561    
4,940,000   MINNESOTA ST HSG FIN AGY   1/1/2053   6.00   5,236,695   5,159,860    
1,615,000   MINNESOTA ST OFFICE OF HGR EDU REVENUE   11/1/2038   2.65   1,539,974   1,407,203    
            12,837,236   11,835,194   1.84%
Mississippi                    
500,000   MISSISSIPPI DEV BK SPL OBLIG(b)   11/1/2036   3.63   500,000   431,520    
1,000,000   MISSISSIPPI ST DEV BANK SPL OBLG(b)   11/1/2039   4.55   1,000,000   943,254    
2,000,000   MISSISSIPPI ST HOME CORP SF MTGE REVENUE   6/1/2042   2.55   2,000,000   1,401,457    
            3,500,000   2,776,231   0.43%
Missouri                    
395,000   JOPLIN MO INDL DEV AUTH SALES TAX REV   11/1/2040   3.50   391,426   336,839    
306,825   KANSAS CITY MO INDL DEV AUTH SENIOR LIVING FACS REVENUE   11/15/2046   2.00   396,461   14,285    
687,493   KANSAS CITY MO INDL DEV AUTH SENIOR LIVING FACS REVENUE   11/15/2046   5.00   890,647   479,427    
1,025,000   MISSOURI JT MUNI ELEC UTILITY COMMISSION PWR PROJ REVENUE   12/1/2036   5.00   1,039,965   1,030,476    
2,000,000   MISSOURI ST HLTH & EDUCTNL FACS AUTH   2/1/2048   4.00   2,052,132   1,510,220    
1,000,000   MISSOURI ST HLTH & EDUCTNL FACS AUTH HLTH FACS REVENUE   11/15/2038   5.00   1,000,192   979,957    
975,000   MISSOURI ST HSG DEV COMMISSION SF MTGE REVENUE   11/1/2047   3.25   975,000   705,563    
1,000,000   MISSOURI ST HSG DEV COMMISSION SF MTGE REVENUE   11/1/2048   4.55   1,000,000   902,157    
1,000,000   MISSOURI ST HSG DEV COMMISSION SF MTGE REVENUE   11/1/2053   5.00   1,001,360   986,747    
500,000   SAINT LOUIS CNTY MO PATTONVILLE SCH DIST #R-3   3/1/2043   5.25   546,461   524,521    
32 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Missouri (Cont'd):                    
1,000,000   WENTZVILLE MO SCH DIST #R-4   3/1/2039   1.88   $712,212   628,600    
            10,005,856   8,098,792   1.26%
Montana                    
1,000,000   FORSYTH MT POLL CONTROL REVENUE   7/1/2028   3.88   1,000,000   953,608    
315,000   MONTANA ST BRD OF HSG   12/1/2038   5.20   315,000   311,250    
1,000,000   MONTANA ST BRD OF HSG SF MTGE   12/1/2042   2.55   1,000,000   676,814    
1,000,000   MONTANA ST BRD OF HSG SF MTGE   6/1/2052   4.55   1,000,000   917,123    
            3,315,000   2,858,795   0.44%
Nebraska                    
160,000   MEAD NE TAX INCR REVENUE(c)   7/1/2012   5.13   160,000   6,640    
1,745,000   NEBRASKA ST INVESTMENT FIN AUTH SF HSG REVENUE   9/1/2040   4.35   1,745,000   1,661,013    
165,000   NEBRASKA ST INVESTMENT FIN AUTH SF HSG REVENUE   9/1/2042   3.05   165,000   149,635    
1,000,000   NEBRASKA ST INVESTMENT FIN AUTH SF HSG REVENUE   9/1/2048   4.65   1,000,000   925,471    
545,000   OMAHA NE PUBLIC PWR DIST SEPARATE ELEC REVENUE   2/1/2046   5.00   552,649   548,095    
            3,622,649   3,290,854   0.51%
Nevada                    
1,000,000   LAS VEGAS VLY NV WTR DIST   6/1/2046   5.00   1,028,102   1,006,107    
1,250,000   NEVADA ST HSG DIV SF MTGE REVENUE   4/1/2046   2.60   1,250,000   845,120    
1,480,000   NEVADA ST HSG DIV SF MTGE REVENUE   10/1/2051   2.45   1,480,000   1,065,792    
1,000,000   NEVADA ST HSG DIV SF MTGE REVENUE   10/1/2053   4.55   1,000,000   913,605    
            4,758,102   3,830,624   0.60%
New Hampshire                    
1,000,000   NATIONAL FIN AUTH LEASE REVENUE   6/1/2051   5.25   1,074,443   1,036,328    
1,500,000   NEW HAMPSHIRE ST BUSINESS FIN AUTH WTR FAC REVENUE   4/1/2048   5.00   1,500,000   1,410,802    
            2,574,443   2,447,130   0.38%
New Jersey                    
1,000,000   CAMDEN CNTY NJ IMPT AUTH CHRT SCH REVENUE(b)   7/15/2042   5.00   1,041,363   929,257    
500,000   NEW JERSEY ST ECON DEV AUTH   6/15/2042   5.00   520,743   500,742    
1,765,000   NEW JERSEY ST HGR EDU ASSISTANCE AUTH STUDENT LOAN REVENUE   12/1/2039   3.50   1,760,668   1,627,876    
1,000,000   NEW JERSEY ST HGR EDU ASSISTANCE AUTH STUDENT LOAN REVENUE   12/1/2041   4.00   968,546   945,938    
1,000,000   NEW JERSEY ST HGR EDU ASSISTANCE AUTH STUDENT LOAN REVENUE   12/1/2050   4.25   988,864   819,652    
2,675,000   NEW JERSEY ST HSG & MTGE FIN AGY REVENUE   10/1/2035   3.75   2,675,000   2,500,206    
3,950,000   NEW JERSEY ST HSG & MTGE FIN AGY REVENUE   10/1/2042   4.50   3,950,000   3,754,384    
1,220,000   NEW JERSEY ST HSG & MTGE FIN AGY REVENUE   10/1/2046   2.30   1,220,000   825,770    
875,000   NEW JERSEY ST HSG & MTGE FIN AGY REVENUE   4/1/2049   4.00   876,424   716,869    
4,000,000   NEW JERSEY ST HSG & MTGE FIN AGY REVENUE   10/1/2053   4.80   4,000,000   3,848,423    
1,485,000   NEW JERSEY ST HSG & MTGE FIN AGY REVENUE   10/1/2053   5.00   1,557,060   1,491,530    
500,000   NEW JERSEY ST TRANSPRTN TRUST FUND AUTH   6/15/2041   5.25   502,664   501,908    
1,000,000   NEW JERSEY ST TRANSPRTN TRUST FUND AUTH   6/15/2046   4.00   1,098,182   880,180    
            21,159,514   19,342,735   3.00%
New Mexico                    
980,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2043   3.85   980,000   912,530    
650,000   NEW MEXICO ST MTGE FIN AUTH   9/1/2047   2.70   487,514   427,604    
1,975,000   NEW MEXICO ST MTGE FIN AUTH   9/1/2047   3.95   1,975,000   1,604,381    
485,000   NEW MEXICO ST MTGE FIN AUTH   3/1/2048   3.75   489,558   468,410    
425,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2048   3.90   425,000   412,155    
590,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2048   4.00   590,671   541,579    
33 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
New Mexico (Cont'd):                    
690,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2049   3.35   $690,000   591,741    
605,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2049   4.00   605,000   586,551    
1,370,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2050   3.00   1,396,612   1,042,257    
990,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2051   2.35   990,000   679,539    
1,210,000   NEW MEXICO ST MTGE FIN AUTH   7/1/2051   2.63   1,210,000   758,152    
1,975,000   NEW MEXICO ST MTGE FIN AUTH   9/1/2052   2.80   1,975,000   1,251,438    
1,000,000   NEW MEXICO ST MTGE FIN AUTH   9/1/2052   4.30   1,000,000   834,039    
1,500,000   NEW MEXICO ST MTGE FIN AUTH   9/1/2053   4.70   1,500,000   1,420,304    
            14,314,355   11,530,680   1.79%
New York                    
1,000,000   BUILD NYC RESOURCE CORP NY REVENUE   7/1/2057   5.25   1,019,664   946,163    
1,000,000   DUTCHESS CNTY NY LOCAL DEV CORP MF   10/1/2040   5.00   1,000,000   961,446    
750,000   HEMPSTEAD TOWN NY LOCAL DEV CORP REVENUE   9/1/2038   5.00   750,000   750,013    
1,830,000   LONG ISLAND NY PWR AUTH ELEC SYS REVENUE   9/1/2044   5.00   1,850,350   1,834,956    
610,000   MONROE CNTY NY INDL DEV CORP REVENUE   1/1/2030   4.00   563,052   546,895    
600,000   NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE   11/1/2042   3.85   600,655   499,717    
3,000,000   NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE   5/1/2045   3.90   2,838,750   2,502,275    
1,000,000   NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE   11/1/2047   3.65   1,000,000   774,330    
1,000,000   NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE   11/1/2049   3.95   1,000,000   804,394    
2,250,000   NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE   11/1/2056   2.60   2,250,000   1,266,026    
2,000,000   NEW YORK ST CONVENTION CENTER DEV CORP REVENUE   11/15/2040   5.00   2,030,188   2,004,967    
2,000,000   NEW YORK ST DORM AUTH ST PERSONAL INCOME TAX REVENUE   3/15/2041   5.00   2,012,648   1,999,415    
1,000,000   NEW YORK ST HSG FIN AGY   11/1/2042   4.00   1,000,000   901,207    
2,000,000   NEW YORK ST HSG FIN AGY AFFORDABLE HSG REVENUE   11/1/2046   2.60   2,000,000   1,260,574    
500,000   NEW YORK ST HSG FIN AGY REVENUE   11/1/2045   5.10   500,000   500,089    
2,930,000   NEW YORK ST HSG FIN AGY REVENUE   5/1/2048   4.10   2,930,000   2,410,493    
1,700,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   10/1/2045   2.45   1,606,007   1,065,977    
980,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   10/1/2046   2.50   975,456   611,220    
3,435,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   10/1/2047   3.30   3,435,000   2,530,203    
985,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   10/1/2048   3.80   985,000   881,844    
5,000,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   10/1/2048   4.80   5,000,000   4,828,511    
1,875,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   10/1/2049   2.95   1,875,000   1,302,592    
1,435,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   4/1/2050   2.55   1,435,000   863,397    
2,030,000   NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE   10/1/2053   4.65   2,030,000   1,885,576    
1,250,000   NEW YORK ST TRANSPRTN DEV CORP SPL FAC REVENUE   10/1/2030   4.00   1,246,198   1,204,848    
1,500,000   NEW YORK ST TRANSPRTN DEV CORP SPL FAC REVENUE   7/1/2041   5.00   1,494,660   1,459,881    
650,000   WESTCHESTER CNTY NY LOCAL DEV CORP REVENUE(b)   7/1/2029   3.60   650,000   579,081    
650,000   WESTCHESTER CNTY NY LOCAL DEV CORP REVENUE(b)   7/1/2046   5.00   680,815   510,450    
500,000   WESTERN REGL OFF-TRACK BETTING CORP REVENUE(b)   12/1/2041   4.13   494,616   357,534    
            45,253,059   38,044,074   5.91%
North Carolina                    
1,000,000   GTR ASHEVILLE REGL ARPT AUTH NC ARPT SYS REVENUE   7/1/2052   5.50   1,060,490   1,027,362    
34 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
North Carolina (Cont'd):                    
1,625,000   MECKLENBURG CNTY NC MF HSG REVENUE   1/1/2036   5.38   $1,625,000   1,627,296    
130,000   NORTH CAROLINA ST EDU ASSISTANCE AUTH   6/1/2039   3.13   128,803   120,054    
2,500,000   NORTH CAROLINA ST HSG FIN AGY HOME OWNERSHIP REVENUE   7/1/2042   3.50   2,500,000   1,988,704    
2,000,000   NORTH CAROLINA ST HSG FIN AGY HOME OWNERSHIP REVENUE   7/1/2046   4.40   2,000,000   1,825,029    
1,000,000   NORTH CAROLINA ST MED CARE COMMISSION HLTH CARE FACS REVENUE   11/1/2037   5.00   1,044,974   991,689    
            8,359,267   7,580,134   1.18%
North Dakota                    
795,000   GRAND FORKS ND HLTH CARE SYS REVENUE   12/1/2035   5.00   841,737   824,261    
410,000   NORTH DAKOTA ST HSG FIN AGY   7/1/2043   3.05   410,801   299,774    
985,000   NORTH DAKOTA ST HSG FIN AGY   1/1/2044   3.05   985,000   819,550    
920,000   NORTH DAKOTA ST HSG FIN AGY   7/1/2044   2.50   920,000   678,658    
985,000   NORTH DAKOTA ST HSG FIN AGY   1/1/2053   4.00   1,029,402   954,820    
1,000,000   NORTH DAKOTA ST HSG FIN AGY   7/1/2053   5.75   1,086,889   1,035,028    
            5,273,829   4,612,091   0.72%
Ohio                    
500,000   CLEVELAND-CUYAHOGA CNTY OH PORT AUTH TAX INCREMENT FING REV(b)   12/1/2055   4.50   500,000   382,613    
1,500,000   CLOVERLEAF OH LOCAL SCH DIST COPS   12/1/2047   5.75   1,561,731   1,562,595    
865,000   COLUMBUS-FRANKLIN CNTY OH FIN AUTH DEV REVENUE   5/15/2045   3.00   880,632   578,994    
1,435,000   COLUMBUS-FRANKLIN CNTY OH FIN AUTH DEV REVENUE   5/15/2049   4.00   1,497,371   1,169,482    
585,000   DAYTON OH ARPT REVENUE   12/1/2025   5.00   585,000   584,789    
2,000,000   FRANKLIN CNTY OH HLTH CARE FACS REVENUE   7/1/2045   4.00   2,042,397   1,467,966    
750,000   LAKE CNTY OH PORT & ECON DEV AUTH LEASE REVENUE(b)(c)(d)   12/1/2037   6.50   750,000   217,500    
1,500,000   LUCAS MET HSG AUTH OH COPS   11/1/2036   5.00   1,520,703   1,508,374    
500,000   OHIO ST HGR EDUCTNL FAC COMMISSION(f)(k)   1/1/2043   4.77   500,000   500,000    
2,000,000   OHIO ST HGR EDUCTNL FAC COMMISSION   11/1/2049   4.00   2,028,038   1,333,325    
1,000,000   OHIO ST HSG FIN AGY MF HSG REVENUE(b)   3/1/2026   6.25   1,000,000   992,897    
505,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   9/1/2039   3.35   461,018   469,759    
3,975,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   9/1/2046   2.85   3,975,000   2,604,913    
960,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   9/1/2047   4.55   960,000   896,398    
2,455,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   9/1/2047   5.10   2,455,000   2,392,058    
495,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   9/1/2048   4.00   495,000   478,940    
1,185,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   9/1/2048   4.50   1,186,395   1,171,741    
625,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   3/1/2049   4.00   625,000   600,476    
3,640,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   9/1/2051   2.45   3,661,524   2,407,456    
1,955,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   9/1/2051   2.75   1,955,000   1,231,676    
960,000   OHIO ST HSG FIN AGY RSDL MTGE REVENUE   3/1/2052   5.00   1,007,095   963,472    
            29,646,904   23,515,424   3.65%
Oklahoma                    
2,000,000   OKLAHOMA ST DEV FIN AUTH   8/1/2049   5.00   2,152,614   1,722,935    
1,000,000   OKLAHOMA ST HSG FIN AGY SF MTGE REVENUE   9/1/2043   4.50   1,001,331   932,454    
35 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Oklahoma (Cont'd):                    
1,975,000   OKLAHOMA ST HSG FIN AGY SF MTGE REVENUE   9/1/2053   6.25   $2,110,711   2,076,742    
            5,264,656   4,732,131   0.74%
Oregon                    
425,000   OREGON ST HSG & CMNTY SVCS DEPT MTGE REVENUE   7/1/2038   4.00   425,000   417,818    
1,000,000   OREGON ST HSG & CMNTY SVCS DEPT MTGE REVENUE   1/1/2042   3.70   1,000,000   837,779    
2,000,000   OREGON ST HSG & CMNTY SVCS DEPT MTGE REVENUE   1/1/2045   2.38   1,819,334   1,304,483    
1,050,000   OREGON ST HSG & CMNTY SVCS DEPT MTGE REVENUE   1/1/2046   4.70   1,050,000   992,471    
785,000   OREGON ST HSG & CMNTY SVCS DEPT MTGE REVENUE   7/1/2048   3.75   785,000   704,833    
1,000,000   POLK CNTY OR HOSP FAC AUTH REVENUE   7/1/2055   5.13   965,794   744,167    
650,000   YAMHILL CNTY OR HOSP AUTH   11/15/2056   5.00   723,728   459,343    
            6,768,856   5,460,894   0.85%
Pennsylvania                    
370,000   BUTLER CNTY PA GEN AUTH REVENUE (Floating, ICE LIBOR USD 3M + 0.70%)(f)   10/1/2034   4.49   370,000   328,764    
1,500,000   COATESVILLE PA AREA SCH DIST   11/15/2037   5.25   1,560,900   1,552,783    
500,000   MONTGOMERY CNTY PA INDL DEV AUTH   11/15/2033   5.00   512,321   501,688    
830,000   PENNSYLVANIA HGR EDU ASSISTANCE AGY LOAN REVENUE   6/1/2042   2.63   831,256   663,882    
1,700,000   PENNSYLVANIA HGR EDU ASSISTANCE AGY LOAN REVENUE   6/1/2047   3.00   1,700,000   1,130,746    
1,000,000   PENNSYLVANIA ST ECON DEV FING AUTH UPMC REVENUE   4/15/2045   4.00   1,027,217   864,092    
1,000,000   PENNSYLVANIA ST HGR EDUCTNL FACS AUTH REVENUE   10/1/2034   5.00   1,032,171   1,017,969    
500,000   PENNSYLVANIA ST HGR EDUCTNL FACS AUTH REVENUE (Floating, ICE LIBOR USD 3M + 0.65%)(f)   7/1/2039   4.44   500,000   419,195    
1,685,000   PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE   10/1/2042   3.65   1,685,000   1,486,000    
1,000,000   PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE   10/1/2046   3.00   1,030,475   669,157    
1,000,000   PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE   10/1/2049   3.40   1,000,000   717,003    
2,000,000   PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE   10/1/2051   2.55   2,000,000   1,190,937    
675,000   PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE   10/1/2051   3.00   671,969   645,104    
1,000,000   PENNSYLVANIA ST TURNPIKE COMMISSION TURNPIKE REVENUE   12/1/2045   5.00   1,025,697   1,005,439    
750,000   PHILADELPHIA PA AUTH FOR INDL DEV REVENUES   8/1/2036   5.63   741,530   757,633    
            15,688,536   12,950,392   2.01%
Puerto Rico                    
1,500,000   PUERTO RICO SALES TAX FING CORP SALES TAX REVENUE   7/1/2040   4.55   1,462,437   1,380,119    
            1,462,437   1,380,119   0.21%
Rhode Island                    
960,000   RHODE ISLAND ST STUDENT LOAN AUTH STUDENT LOAN REVENUE   12/1/2037   3.63   952,112   843,724    
            952,112   843,724   0.13%
South Carolina                    
650,000   BERKELEY CNTY SC ASSMNT REVENUE   11/1/2040   4.25   647,637   531,884    
1,000,000   SOUTH CAROLINA JOBS-ECON DEV AUTH   11/15/2053   7.50   1,000,000   956,350    
960,000   SOUTH CAROLINA ST HSG FIN & DEV AUTH MTGE REVENUE   7/1/2037   3.20   960,000   819,499    
1,100,000   SOUTH CAROLINA ST HSG FIN & DEV AUTH MTGE REVENUE   7/1/2045   3.05   1,100,000   823,720    
1,000,000   SOUTH CAROLINA ST HSG FIN & DEV AUTH MTGE REVENUE   7/1/2048   4.90   1,000,000   979,195    
36 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
South Carolina (Cont'd):                    
665,000   SOUTH CAROLINA ST JOBS-ECON DEV AUTH ECON DEV REVENUE   4/1/2054   4.00   $686,671   441,099    
1,000,000   SOUTH CAROLINA ST JOBS-ECON DEV AUTH SOL WST DISP REVENUE(b)   6/1/2031   6.00   1,000,000   855,138    
1,000,000   SOUTH CAROLINA ST PUBLIC SVC AUTH REVENUE   12/1/2038   5.00   1,006,183   979,905    
            7,400,491   6,386,790   0.99%
South Dakota                    
2,000,000   SOUTH DAKOTA ST HSG DEV AUTH   11/1/2042   2.50   2,000,000   1,343,338    
            2,000,000   1,343,338   0.21%
Tennessee                    
1,000,000   FRANKLIN TN HLTH & EDUCTNL FACS BRD REVENUE(b)(c)(d)   6/1/2027   6.50   1,000,000   210,000    
600,000   NASHVILLE MET DEV & HSG AGY TN TAX INCR REVENUE(b)   6/1/2036   5.13   600,000   586,038    
150,000   SHELBY CNTY TN HLTH EDUCTNL & HSG FACS BRD REVENUE(c)   1/1/2019   5.35   134,966   1    
625,000   SHELBY CNTY TN HLTH EDUCTNL & HSG FACS BRD REVENUE(c)   1/1/2029   5.55   556,863   6    
130,000   SHELBY CNTY TN HLTH EDUCTNL & HSG FACS BRD REVENUE   1/1/2029   6.00   -   1    
3,000,000   TENNESSEE HSG DEV AGY RSDL FIN PROGRAM REVENUE   7/1/2042   3.50   3,000,000   2,433,108    
495,000   TENNESSEE HSG DEV AGY RSDL FIN PROGRAM REVENUE   7/1/2042   3.85   495,000   460,921    
430,000   TENNESSEE HSG DEV AGY RSDL FIN PROGRAM REVENUE   7/1/2042   3.90   430,000   410,549    
1,000,000   TENNESSEE HSG DEV AGY RSDL FIN PROGRAM REVENUE   7/1/2042   4.25   1,000,000   929,388    
2,980,000   TENNESSEE HSG DEV AGY RSDL FIN PROGRAM REVENUE   7/1/2046   2.38   2,854,185   2,035,290    
800,000   TENNESSEE HSG DEV AGY RSDL FIN PROGRAM REVENUE   7/1/2046   2.55   800,000   513,649    
500,000   TENNESSEE HSG DEV AGY RSDL FIN PROGRAM REVENUE   7/1/2048   4.70   500,000   475,558    
605,000   TENNESSEE HSG DEV AGY RSDL FIN PROGRAM REVENUE   1/1/2049   3.95   605,000   564,948    
1,990,000   TENNESSEE HSG DEV AGY RSDL FIN PROGRAM REVENUE   7/1/2051   2.50   1,990,000   1,257,459    
1,975,000   TENNESSEE HSG DEV AGY RSDL FIN PROGRAM REVENUE   7/1/2053   4.70   1,973,781   1,870,726    
            15,939,795   11,747,642   1.82%
Texas                    
1,000,000   ALAMITO TX PUBLIC FACS CORP MF HSG REVENUE(n)   8/1/2044   5.00   1,030,283   1,010,531    
2,000,000   AUSTIN TX ARPT SYS REVENUE   11/15/2044   5.00   2,010,738   1,991,178    
1,000,000   BRAZOS TX HGR EDU AUTH STUDENT LOAN PROGRAM REV   4/1/2040   3.00   1,002,925   750,762    
625,000   CLIFTON TX HGR EDU FIN CORP EDU REVENUE   12/1/2035   5.00   633,743   618,621    
2,000,000   CRANDALL TX INDEP SCH DIST   8/15/2036   5.00   2,077,301   2,029,427    
1,000,000   DALLAS-FORT WORTH TX INTERNATIONAL ARPT REVENUE   11/1/2037   5.25   1,000,133   1,000,857    
420,000   EDINBURG TX ECON DEV CORP SALES TAX REVENUE   8/15/2031   3.00   420,000   350,789    
700,000   EDINBURG TX ECON DEV CORP SALES TAX REVENUE   8/15/2046   3.38   690,635   479,652    
1,500,000   FORT WORTH TX   3/1/2040   2.00   1,053,958   938,855    
1,000,000   GEORGETOWN TX INDEP SCH DIST   8/15/2035   2.50   868,818   803,034    
1,000,000   GEORGETOWN TX INDEP SCH DIST   8/15/2035   5.00   1,032,493   1,015,746    
1,500,000   GRAND PARKWAY TRANSPRTN CORP TX SYS TOLL REVENUE (Step to 5.50% on 10/1/2023)(e)   10/1/2035   0.00   1,497,027   1,608,802    
1,125,000   GTR TEXOMA TX UTILITY AUTH CONTRACT REVENUE   10/1/2032   5.00   1,290,713   1,226,081    
2,000,000   HOUSTON TX ARPT SYS REVENUE   7/1/2048   5.25   2,140,086   2,034,513    
1,000,000   HSG SYNERGY PFC TX MF HSG REVENUE(o)   2/1/2027   5.00   1,026,072   1,009,412    
1,000,000   MATAGORDA CNTY TX NAV DIST #1   11/1/2029   2.60   886,049   864,821    
1,000,000   MATAGORDA CNTY TX NAV DIST #1   5/1/2030   4.25   1,000,000   954,466    
37 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Texas (Cont'd):                    
273,000   N CENTRL TEXAS ST HLTH FAC DEV CORP(c)   2/15/2025   5.38   $273,000   150,150    
1,000,000   N TX TOLLWAY AUTH REVENUE   1/1/2042   6.20   998,242   1,026,509    
2,000,000   NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE   10/1/2027   5.50   1,967,983   1,916,411    
470,000   NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE   1/1/2029   4.00   432,534   416,332    
1,500,000   NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE   10/1/2033   6.50   1,500,000   1,414,881    
1,000,000   NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE   10/1/2034   5.00   1,003,931   892,133    
500,000   NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE   10/1/2049   5.25   506,515   380,422    
1,000,000   NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE   11/1/2049   4.00   1,097,334   766,123    
1,100,000   NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE   1/1/2055   5.00   1,139,406   741,152    
1,029,449   NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE(f)(p)   11/15/2061   2.00   1,029,449   393,771    
1,000,000   NEW HOPE CULTURAL EDU FACS FIN CORP TX RETMNT CMNTY REVENUE(b)   12/1/2028   12.00   1,000,000   1,007,776    
645,000   NEW HOPE CULTURAL EDU FACS FIN CORP TX SENIOR LIVING REVENUE   7/1/2025   4.00   638,869   322,500    
1,100,000   NEW HOPE CULTURAL EDU FACS FIN CORP TX STUDENT HSG REV   4/1/2046   5.00   1,104,197   1,018,770    
700,000   NEW HOPE CULTURAL EDU FACS FINCORP TX EDU REVENUE(b)   8/15/2039   5.00   694,750   635,672    
2,000,000   NEW HOPE CULTURAL EDU FACS FINCORP TX EDU REVENUE(b)   8/15/2051   5.00   1,990,000   1,677,511    
250,000   NORTHWEST TX INDEP SCH DIST   2/15/2040   5.00   275,099   262,723    
250,000   NORTHWEST TX INDEP SCH DIST   2/15/2041   5.00   273,777   261,789    
1,000,000   PECOS BARSTOW TOYAH TX INDEP SCH DIST   2/15/2042   5.00   1,020,806   1,005,548    
1,000,000   SAN ANTONIO TX WTR REVENUE   5/15/2039   5.00   1,025,349   1,005,833    
1,000,000   SUGAR LAND TX DEV CORP SALES TAX REVENUE   2/15/2033   5.00   1,000,000   1,000,291    
1,000,000   TEXAS ST   10/1/2036   5.00   1,022,504   1,014,333    
3,500,000   TEXAS ST AFFORDABLE HSG CORP SF MTGE REVENUE   3/1/2053   4.88   3,586,362   3,408,364    
1,650,000   TEXAS ST DEPT OF HSG & CMNTY AFFAIRS   9/1/2044   3.63   1,673,394   1,387,898    
635,000   TEXAS ST DEPT OF HSG & CMNTY AFFAIRS   9/1/2048   4.25   641,387   574,170    
1,000,000   TEXAS ST DEPT OF HSG & CMNTY AFFAIRS   3/1/2050   3.00   720,117   681,107    
1,500,000   TEXAS ST DEPT OF HSG & CMNTY AFFAIRS   9/1/2052   5.25   1,538,877   1,514,550    
2,455,000   TEXAS ST DEPT OF HSG & CMNTY AFFAIRS   9/1/2052   5.50   2,637,258   2,522,459    
1,000,000   TEXAS ST DEPT OF HSG & CMNTY AFFAIRS   9/1/2053   5.25   1,032,261   1,009,463    
3,500,000   TEXAS ST DEPT OF HSG & CMNTY AFFAIRS RESDL MTG REVENUE   1/1/2048   5.13   3,557,674   3,446,214    
485,000   TEXAS ST DEPT OF HSG & CMNTY AFFAIRS RESDL MTG REVENUE   7/1/2051   2.50   488,701   311,871    
4,750,000   TEXAS ST DEPT OF HSG & CMNTY AFFAIRS RESDL MTG REVENUE   1/1/2052   3.13   4,834,940   3,178,291    
            60,365,690   54,032,564   8.39%
Utah                    
1,000,000   BLACK DESERT PUB INFRASTRUCTURE DIST(b)   3/1/2051   4.00   1,010,089   696,574    
2,000,000   INTERMOUNTAIN PWR AGY UT PWR SPLY REVENUE   7/1/2043   5.25   2,221,925   2,111,201    
1,000,000   JORDAN VLY UT WTR CONSERVANCY DIST WTR REVENUE   10/1/2046   5.00   1,027,945   1,005,959    
850,000   MILITARY INSTALLATION DEV AUTH UT TAX ALLOCATION REVENUE   6/1/2041   4.00   875,696   630,836    
2,000,000   MILITARY INSTALLATION DEV AUTH UT TAX ALLOCATION REVENUE   6/1/2052   4.00   2,030,412   1,355,547    
38 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Utah (Cont'd):                    
500,000   RED BRIDGE PUBLIC INFRASTRUCTURE DIST #1 UT(b)   2/1/2041   4.13   $500,000   369,969    
1,000,000   SALT LAKE CITY UT ARPT REVENUE   7/1/2039   5.25   1,058,755   1,048,179    
1,000,000   UTAH CNTY UT HOSP REVENUE   5/15/2045   5.00   1,008,536   1,000,267    
1,000,000   UTAH INFRASTRUCTURE AGY TELECOMUNICATION REVENUE   10/15/2033   5.50   1,033,430   1,044,200    
2,000,000   UTAH INFRASTRUCTURE AGY TELECOMUNICATION REVENUE   10/15/2037   5.00   2,014,393   1,901,232    
825,000   UTAH ST CHRT SCH FIN AUTH CHRT SCH REVENUE(b)   6/15/2027   4.25   825,000   771,431    
900,000   UTAH ST CHRT SCH FIN AUTH CHRT SCH REVENUE(b)   12/15/2031   3.50   896,814   733,903    
915,000   UTAH ST CHRT SCH FIN AUTH CHRT SCH REVENUE(b)   6/15/2032   5.25   915,000   884,549    
5,296,026   UTAH ST HSG CORP   12/21/2052   6.00   5,489,340   5,281,020    
2,424,366   UTAH ST HSG CORP   1/21/2053   6.50   2,525,435   2,502,202    
3,980,254   UTAH ST HSG CORP   4/21/2053   5.50   4,070,490   3,845,695    
2,983,548   UTAH ST HSG CORP   5/21/2053   6.50   3,103,788   3,079,427    
4,012,601   UTAH ST HSG CORP   6/21/2053   6.00   4,108,808   4,001,087    
2,756,866   UTAH ST HSG CORP   9/21/2053   6.50   2,842,771   2,846,370    
20,000   UTAH ST HSG CORP SF MTGE REVENUE   1/1/2033   5.75   20,000   20,022    
            37,578,627   35,129,670   5.46%
Vermont                    
415,000   VERMONT ST STUDENT ASSISTANCE CORP EDU LOAN REVENUE   6/15/2036   3.38   411,817   383,361    
            411,817   383,361   0.06%
Virginia                    
1,500,000   BOTETOURT CNTY VA RSDL CARE FAC REVENUE   7/1/2044   6.00   1,508,065   1,465,076    
3,000,000   CHESAPEAKE BAY VA BRIDGE & TUNNEL DIST REVENUE   7/1/2041   5.00   3,088,002   3,037,148    
500,000   FAIRFAX CNTY VA REDEV & HSG AUTH MF REVENUE   8/1/2039   5.60   500,000   500,881    
462,000   MARQUIS VA CMNTY DEV AUTH REVENUE(l)   9/1/2041   0.00   185,380   1,155    
349,000   MARQUIS VA CMNTY DEV AUTH REVENUE(c)   9/1/2041   5.63   373,459   122,150    
1,000,000   VIRGINIA ST HSG DEV AUTH   10/1/2043   5.35   1,000,000   1,000,585    
1,000,000   VIRGINIA ST HSG DEV AUTH   9/1/2050   2.50   1,000,000   604,834    
            7,654,906   6,731,829   1.05%
Washington                    
1,500,000   FRANKLIN CNTY WA SCH DIST #1 PASCO   12/1/2040   5.50   1,730,863   1,643,175    
700,000   KALISPEL TRIBE OF INDIANS PRIORITY DIST WA REVENUE(b)   1/1/2038   5.25   688,258   714,541    
295,000   KING CNTY WA HSG AUTH   5/1/2028   5.20   295,000   299,734    
1,000,000   KING CNTY WA SWR REVENUE   7/1/2036   5.00   1,046,437   1,021,867    
1,000,000   PIKE PLACE MARKET WA PRESERVATION & DEV AUTH SPL OBLG   12/1/2040   5.00   1,019,723   978,212    
500,000   SEATTLE WA HSG AUTH   6/1/2054   2.50   486,365   270,478    
1,500,000   VANCOUVER WA HSG AUTH   6/1/2038   3.00   1,496,452   1,145,615    
515,000   WALLA WALLA CNTY WA SCH DIST #300 TOUCHET   12/1/2029   4.00   515,000   507,118    
1,000,000   WASHINGTON ST HLTH CARE FACS AUTH   10/1/2025   5.00   1,000,000   1,000,649    
230,000   WASHINGTON ST HSG FIN COMMISSION NONPROFIT HSG REVENUE(b)   7/1/2025   6.00   230,374   233,880    
500,000   WASHINGTON ST HSG FIN COMMISSION NONPROFIT HSG REVENUE(b)   1/1/2038   5.00   522,337   418,652    
            9,030,809   8,233,921   1.28%
West Virginia                    
1,500,000   WEST VIRGINIA ST HSG DEV FUND   11/1/2048   4.55   1,500,000   1,361,813    
1,885,000   WEST VIRGINIA ST HSG DEV FUND   11/1/2051   2.50   1,885,000   1,316,418    
39 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
West Virginia (Cont'd):                    
1,500,000   WEST VIRGINIA ST HSG DEV FUND   11/1/2053   4.85   $1,500,000   1,454,578    
            4,885,000   4,132,809   0.64%
Wisconsin                    
16,520   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2046   0.00   2,143   369    
18,299   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2047   0.00   2,281   378    
17,930   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2048   0.00   2,161   349    
17,786   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2049   0.00   2,074   327    
17,496   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2050   0.00   1,975   297    
18,980   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2051   0.00   2,077   304    
446,246   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(c)(d)(f)(p)   7/1/2051   3.75   443,916   241,184    
19,357   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2052   0.00   2,048   288    
19,095   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2053   0.00   1,958   269    
18,909   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2054   0.00   1,882   249    
18,634   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2055   0.00   1,799   232    
18,360   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2056   0.00   1,722   216    
106,459   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(c)(d)   7/1/2056   5.50   104,505   56,390    
18,454   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2057   0.00   2,469   204    
18,165   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2058   0.00   1,592   190    
17,992   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2059   0.00   1,535   178    
17,834   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2060   0.00   1,481   165    
17,573   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2061   0.00   1,421   152    
17,400   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2062   0.00   1,371   143    
17,125   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2063   0.00   1,315   133    
16,967   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2064   0.00   1,270   125    
16,823   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2065   0.00   1,229   115    
16,731   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2066   0.00   1,190   106    
215,987   PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(b)(d)(l)   1/1/2067   0.00   13,893   1,235    
520,000   PUBLIC FIN AUTH WI EDU REVENUE(b)   6/15/2049   5.00   523,251   435,597    
1,000,000   PUBLIC FIN AUTH WI HOTEL REVENUE   2/1/2052   5.00   1,050,666   883,381    
1,000,000   PUBLIC FIN AUTH WI HOTEL REVENUE(b)   2/1/2062   6.00   1,000,000   919,571    
120,000   PUBLIC FIN AUTH WI REVENUE   4/1/2025   5.00   120,171   119,319    
1,250,000   PUBLIC FIN AUTH WI REVENUE(b)   6/1/2028   3.00   1,250,000   1,134,504    
1,250,000   PUBLIC FIN AUTH WI REVENUE(b)(c)(d)   11/1/2028   6.25   1,250,000   750,000    
1,000,000   PUBLIC FIN AUTH WI REVENUE(b)   1/1/2033   6.13   991,240   615,000    
13,694   PUBLIC FIN AUTH WI REVENUE(b)(c)(d)   12/1/2048   5.50   13,694   4,245    
1,695,000   PUBLIC FIN AUTH WI REVENUE(b)   11/15/2053   4.75   1,717,600   1,155,917    
475,000   PUBLIC FIN AUTH WI SENIOR LIVING REVENUE(b)   11/15/2024   5.00   474,740   477,584    
1,000,000   RACINE CNTY WI   3/1/2026   4.00   1,000,667   1,000,103    
500,000   WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE   8/1/2032   5.00   520,701   423,169    
330,000   WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE   3/15/2033   4.50   335,062   318,117    
700,000   WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE   6/1/2037   5.00   724,959   612,145    
40 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Par/Shares   Security   Maturity
date
  Coupon
rate
  Cost   Fair value (a)   Percent of
net assets
Wisconsin (Cont'd):                    
1,410,000   WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE   6/1/2041   5.00   $1,416,741   1,183,109    
1,500,000   WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE   4/1/2057   5.13   1,500,000   1,043,613    
            14,488,799   11,378,972   1.77%
    Sub-total Municipal Bonds:       698,024,899   602,259,564   93.56%
Short-Term Investments:                    
13,389,816   NORTHERN INSTITUTIONAL FUNDS - U.S. GOVERNMENT SELECT PORTFOLIO, INSTITUTIONAL SHARES, 5.22%(q)   13,389,816   13,389,816    
    Sub-total Short-Term Investments:           13,389,816   13,389,816   2.08%
    Grand total           $741,825,250   637,467,911   99.03%
    
Notes to Schedule of Investments:
(a) Investments in U.S. and foreign securities generally are valued at the last sales price or the regular trading session closing price on the principal exchange or market in which such securities are traded. Foreign security values are stated in U.S. dollars. Debt securities are valued at the market price supplied by an independent pricing vendor provided such prices are believed to reflect the fair value of such securities.
(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. The value of these securities is determined by valuations supplied by a pricing service or brokers, or, if not available, in accordance with procedures established by the Board of Trustees of Clearwater Investment Trust.
(c) Non-income producing assets. For long-term debt securities, item identified is in default as to payment of interest and/or principal.
(d) Restricted security that has been deemed illiquid. At September 30, 2023, the value of these restricted illiquid securities amounted to $2,500,000 or 0.39% of net assets. Additional information on these restricted illiquid securities is as follows:
    
SECURITY ACQUISITION DATE ACQUISITION COST
ARIZONA ST INDL DEV AUTH ECON DEV REVENUE, 7.75%, 7/1/2030 - 7/1/2051 8/12/2020-6/4/2021 $ 400,000 - 1,237,500
CAPITAL TRUST AGY FL REVENUE, 6.75%, 12/1/2035 12/2/2015-1/21/2016 1,748,875
CAPITAL TRUST AGY FL REVENUE, 6.75%, 7/1/2037 6/28/2017 750,000
COLLIER CNTY FLA INDL DEV AUTH CONTINUING CARE CMNTY REV, 7.25%, 5/15/2026 12/16/2013 559,270
COLLIER CNTY FLA INDL DEV AUTH CONTINUING CARE CMNTY REV, 8.13%, 5/15/2044 6/27/2017-4/12/2018 1,462,522
FRANKLIN TN HLTH & EDUCTNL FACS BRD REVENUE, 6.50%, 6/1/2027 5/24/2017 1,000,000
LAKE CNTY OH PORT & ECON DEV AUTH LEASE REVENUE, 6.50%, 12/1/2037 10/27/2017 750,000
PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE, 5.50%, 1/1/2046 - 1/1/2067 3/26/2018-3/8/2022 49 - 443,916
PUBLIC FIN AUTH WI REVENUE, 6.25%, 11/1/2028-12/1/2048 4/3/2017-3/26/2019 13,694 - 1,250,000
    
(e) For step bonds, the coupon rate disclosed is the current rate in effect.
(f) Variable or floating rate security. Rate as of September 30, 2023 is disclosed.
(g) Security has converted to a fixed rate as of September 1, 2007, and will be going forward.
(h) Security has converted to a fixed rate as of December 16, 2022, and will be going forward.
(i) Security has converted to a fixed rate as of August 25, 2022, and will be going forward.
(j) Security has converted to a fixed rate as of April 24, 2023, and will be going forward.
(k) 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.
(l) Zero coupon bond.
(m) Security has converted to a fixed rate as of June 21, 2023, and will be going forward.
41 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
(n) Security has converted to a fixed rate as of August 3, 2023, and will be going forward.
(o) Security has converted to a fixed rate as of July 1, 2023, and will be going forward.
(p) These securities are remarketed by an agent, and the rate at which these securities are set are determined by general market conditions and supply and demand.
(q) The short-term investment is a money market portfolio of the investment company, Northern Institutional Funds. At December 31, 2022, the value of the Clearwater Tax-Exempt Bond Fund's investment in the U.S. Government Select Portfolio of the Northern Institutional Funds was $11,705,149 with net purchases of $1,684,667 during the nine months ended September 30, 2023.
Diversification of investments representing geographic diversification, as a percentage of total investments at fair value (excluding closed-end funds), is as follows:
Geographical Diversification   Percent
Florida   14.35%
Texas   8.78
Illinois   6.58
New York   6.18
Utah   5.71
California   5.25
Colorado   4.62
Michigan   3.89
Ohio   3.82
New Jersey   3.14
Other   37.68
    100.00%
At September 30, 2023, the Clearwater Tax-Exempt Bond Fund ("Tax-Exempt Bond Fund") had open futures contracts as follows:
Type   Number of
Contracts
  Notional
Amount
(000s)
  Contract
Position
  Contract
Exp.
  Value and
Unrealized
Appreciation
(Depreciation)
(000s)
10-Year U.S. Treasury Note   426   $(46,035)   Short   12/19   $895
U.S. Treasury Long Bond   82   (9,330)   Short   12/19   496
Ultra 10-Year U.S. Treasury Note   100   (11,156)   Short   12/19   347
2-Year U.S. Treasury Note   143   (28,988)   Short   12/29   125
5-Year U.S. Treasury Note   263   (27,710)   Short   12/29   281
                    $2,144
Fair value is an estimate of the price the Tax-Exempt Bond Fund would receive upon selling a security in a timely transaction to an independent buyer in the principal or most advantageous market for the security. This guidance establishes a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Various inputs are used in determining the value of the Tax-Exempt Bond Fund's investments and other financial instruments, as described below. These inputs are summarized in the three broad levels listed below.
Level 1 – Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 – Other significant observable inputs including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc. or quoted prices for identical or similar assets in markets that are not active.  Inputs that are derived principally from or corroborated by observable market data are also considered Level 2 measurements. An adjustment to any observable input that is significant to the fair value may render the measurement a Level 3 measurement.
42 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Level 3 – Valuations based on unobservable inputs, which may include the Clearwater Management Co., Inc.'s (the “Adviser”) own assumptions in determining the fair value of an investment.
Debt securities are valued at the price supplied by an independent pricing service provided such prices are believed to reflect the fair value of such securities. Investments in closed-end funds are valued at the last sales price or the regular trading session closing price on the principal exchange or market in which the funds are traded. Equity securities which have not traded on the date of valuation or securities for which sales prices are not generally reported are valued at the mean between the last bid and asked prices. Security transactions are accounted for as of trade date. With respect to Fund investments that do not have readily available market quotations, the Board of Trustees (the "Board") of Clearwater Investment Trust has designated the Adviser as the valuation designee to perform fair value determinations pursuant to Rule 2a-5 under the Investment Company Act of 1940, as amended. When prices are not readily available (including those for which trading has been suspended), are determined not to be reliable, or when the Adviser becomes aware that a significant event impacting the value of a security or group of securities has occurred after the closing of the exchange on which the security or securities principally trade, but before the calculation of the daily net asset value, the Tax-Exempt Bond Fund may value these securities at fair value as determined by the Adviser using procedures approved by the Board.
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following is a summary of the inputs used in valuing the Tax-Exempt Bond Fund’s investments and other financial instruments, if any, which are carried at fair value, as of September 30, 2023.
  Level 1 Level 2 Level 3 Total
Closed-End Funds $21,818,531 $ $ $21,818,531
Municipal Bonds        
Alabama 1,031,527 1,031,527
Alaska 910 910
Arizona 9,282,659 9,282,659
Arkansas 1,068,137 1,068,137
California 32,332,423 32,332,423
Colorado 28,442,414 28,442,414
Connecticut 2,468,188 2,468,188
District of Columbia 9,595,568 9,595,568
Florida 88,318,465 88,318,465
Georgia 5,586,864 5,586,864
Idaho 6,873,606 6,873,606
Illinois 27,103,140 27,103,140
Indiana 14,090,346 14,090,346
Iowa 6,505,877 6,505,877
Kansas 2,167,389 2,167,389
Kentucky 3,907,367 3,907,367
Louisiana 11,515,426 11,515,426
Maine 2,366,479 2,366,479
Maryland 5,689,399 5,689,399
Massachusetts 15,307,393 15,307,393
Michigan 23,975,073 23,975,073
Minnesota 11,835,194 11,835,194
Mississippi 2,776,231 2,776,231
Missouri 8,098,792 8,098,792
Montana 2,858,795 2,858,795
Nebraska 3,290,854 3,290,854
Nevada 3,830,624 3,830,624
New Hampshire 2,447,130 2,447,130
New Jersey 19,342,735 19,342,735
New Mexico 11,530,680 11,530,680
New York 38,044,074 38,044,074
North Carolina 7,580,134 7,580,134
North Dakota 4,612,091 4,612,091
Ohio 23,515,424 23,515,424
Oklahoma 4,732,131 4,732,131
Oregon 5,460,894 5,460,894
Pennsylvania 12,950,392 12,950,392
43 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
  Level 1   Level 2   Level 3   Total
Puerto Rico $   $1,380,119   $   $1,380,119
Rhode Island   843,724     843,724
South Carolina   6,386,790     6,386,790
South Dakota   1,343,338     1,343,338
Tennessee   11,747,642     11,747,642
Texas   54,032,564     54,032,564
Utah   35,129,670     35,129,670
Vermont   383,361     383,361
Virginia   6,731,829     6,731,829
Washington   8,233,921     8,233,921
West Virginia   4,132,809     4,132,809
Wisconsin   11,378,972     11,378,972
Short-Term Investments 13,389,816       13,389,816
Total $35,208,347   $602,259,564   $   $637,467,911
For the Tax-Exempt Bond Fund, the investment value is comprised of closed-end funds, municipal bonds, and short-term investments. Investments in closed-end funds and short-term securities generally are valued at the last sales price or the regular trading session closing price on the principal exchange or market where they are traded. Investments in municipal bonds generally are based on valuations using evaluated prices provided by the primary pricing service. The Board has designated to the Adviser the responsibility to determine in good faith the fair value of securities for which no price quotation is available from an approved pricing service or broker-dealer at the time the Tax-Exempt Bond Fund’s net asset value is calculated, including securities for which the prices do not represent fair value or for which a significant event occurs that materially affects the value of the security after the close of the market on which the security principally trades and before the time the Tax-Exempt Bond Fund’s net asset value is calculated.
Other Financial Instruments Level 1   Level 2   Level 3   Total
Assets              
Futures Contracts $2,143,826   $   $   $2,143,826
The futures contracts outstanding at September 30, 2023 are considered Level 1 investments due to the contracts being marked-to-market daily at the applicable exchange rates that have been adjusted from the initial quoted rate.
44 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater Tax-Exempt Bond Fund
September 30, 2023 (unaudited)
Clearwater Tax-Exempt Bond Fund Portfolio Diversification
(as a percentage of net assets)
45 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Common Stocks:            
Australia:            
275,180   ADAIRS LTD.   $331,893   251,391    
29,184   ANZ GROUP HOLDINGS LTD.   380,372   480,156    
16,849   APA GROUP   112,443   89,797    
2,554   ASX LTD.   51,631   93,237    
36,024   ATLASSIAN CORP., CLASS A(b)   9,058,049   7,259,196    
75,937   AURIZON HOLDINGS LTD.   180,375   170,170    
445,000   BEACH ENERGY LTD.   647,241   470,291    
45,302   BHP GROUP LTD.   1,107,240   1,284,564    
49,300   BLUESCOPE STEEL LTD.   459,311   615,690    
18,654   BRAMBLES LTD.   73,901   171,685    
151,800   CEDAR WOODS PROPERTIES LTD.   545,697   444,198    
971   COCHLEAR LTD.   35,893   159,169    
21,681   COMMONWEALTH BANK OF AUSTRALIA   891,314   1,381,482    
9,576   CSL LTD.   226,091   1,542,860    
34,742   DEXUS   176,794   163,340    
649,200   EMECO HOLDINGS LTD.   351,482   262,967    
97,180   FORTESCUE METALS GROUP LTD.   212,026   1,303,266    
19,923   GOODMAN GROUP   57,689   275,998    
68,716   GPT GROUP (THE)   176,591   172,701    
1,039,600   GRANGE RESOURCES LTD.   584,855   312,747    
208,100   HELIA GROUP LTD.   425,619   466,693    
126,010   HUB24 LTD.   1,964,044   2,625,756    
7,819   MACQUARIE GROUP LTD.   175,414   841,320    
174,400   METCASH LTD.   556,523   421,685    
44,772   NATIONAL AUSTRALIA BANK LTD.   551,215   835,802    
403,300   NEW HOPE CORP. LTD.(c)   712,713   1,643,744    
17,785   NEWCREST MINING LTD.   171,926   281,711    
64,600   NICK SCALI LTD.   464,540   459,605    
26,749   NORTHERN STAR RESOURCES LTD.   133,395   179,063    
275,600   OCEANAGOLD CORP.   566,164   539,736    
378,300   PACT GROUP HOLDINGS LTD.(b)   787,238   169,000    
2,468   RAMSAY HEALTH CARE LTD.   49,765   82,269    
18,171   RIO TINTO LTD.   570,958   1,335,174    
20,500   SANTOS LTD.   45,732   103,806    
123,143   SCENTRE GROUP   212,496   195,898    
10,274   SEEK LTD.   106,072   145,427    
39,820   SONIC HEALTHCARE LTD.   470,951   761,857    
57,859   SOUTH32 LTD.   37,235   126,583    
473,980   STEADFAST GROUP LTD.   1,894,131   1,718,656    
297,819   STOCKLAND   734,663   753,923    
75,800   SUPER RETAIL GROUP LTD.   517,213   583,726    
26,284   TRANSURBAN GROUP   146,611   214,042    
12,261   TREASURY WINE ESTATES LTD.   49,081   97,158    
462,400   VICINITY LTD.   579,585   503,975    
10,565   WASHINGTON H SOUL PATTINSON & CO. LTD.   183,547   221,015    
8,635   WESFARMERS LTD.   249,487   293,357    
41,271   WESTPAC BANKING CORP.   580,062   560,697    
25,548   WOODSIDE ENERGY GROUP LTD.   510,437   595,231    
9,073   WOOLWORTHS GROUP LTD.   201,073   218,596    
        29,308,778   33,880,410   3.71%
Austria:            
18,200   BAWAG GROUP A.G.(b)(d)   714,959   836,121    
1,727   ERSTE GROUP BANK A.G.   28,884   59,660    
14,475   EUROTELESITES A.G.(b)   59,355   63,357    
3,577   OMV A.G.   129,822   170,805    
313   STRABAG S.E. (BEARER)   5,505   12,331    
57,900   TELEKOM AUSTRIA A.G.(b)   363,157   403,448    
21,794   VIENNA INSURANCE GROUP A.G. WIENER VERSICHERUNG GRUPPE   595,919   607,407    
23,500   WIENERBERGER A.G.   561,499   595,417    
        2,459,100   2,748,546   0.30%
Belgium:            
7,120   AGEAS S.A./N.V.   106,907   293,621    
19,000   BPOST S.A.   195,697   104,063    
19,702   D'IETEREN GROUP   3,139,996   3,314,420    
102,700   ECONOCOM GROUP S.A./N.V.   381,201   270,869    
46 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Belgium (Cont'd):            
434   ELIA GROUP S.A./N.V.   $51,795   42,416    
38,644   GROUPE BRUXELLES LAMBERT N.V.   3,321,966   2,872,237    
3,576   KBC GROUP N.V.   87,957   222,954    
217   SOFINA S.A.   37,602   43,725    
14,300   TESSENDERLO GROUP S.A.   622,327   412,668    
2,245   UCB S.A.   107,034   183,703    
        8,052,482   7,760,676   0.85%
Brazil:            
129,000   CAMIL ALIMENTOS S.A.(b)   274,164   197,354    
173,012   CI&T, INC., CLASS A(b)   2,269,363   1,124,578    
928,408   GRUPO SBF S.A.   2,926,277   1,259,660    
235,400   ODONTOPREV S.A.   566,205   509,993    
174,140   TELEFONICA BRASIL S.A. ADR(e)   1,896,429   1,488,897    
501,859   VAMOS LOCACAO DE CAMINHOES MAQUINAS E EQUIPAMENTOS S.A.   1,465,476   973,456    
106,600   VIBRA ENERGIA S.A.(b)   500,792   401,244    
        9,898,706   5,955,182   0.65%
Canada:            
3,840   AGNICO EAGLE MINES LTD.   146,646   174,528    
5,359   AIR CANADA(b)   65,966   76,464    
85,000   ALGONQUIN POWER & UTILITIES CORP.   624,625   503,200    
109,091   ALIMENTATION COUCHE-TARD, INC.   3,155,681   5,540,289    
7,866   ALTAGAS LTD.   135,598   150,863    
120,200   ARTIS REAL ESTATE INVESTMENT TRUST(c)   1,120,762   571,686    
163,600   B2GOLD CORP.   818,860   469,751    
6,372   BANK OF MONTREAL   529,066   537,606    
8,810   BANK OF NOVA SCOTIA (THE)   350,953   401,648    
21,552   BARRICK GOLD CORP.   329,659   313,582    
261   BROOKFIELD ASSET MANAGEMENT LTD., CLASS A   7,830   8,702    
11,605   BRP, INC. (SUB VOTING)   468,941   878,417    
6,515   CAE, INC.(b)   109,270   152,125    
5,652   CANADIAN APARTMENT PROPERTIES REIT   174,890   187,589    
7,900   CANADIAN NATIONAL RAILWAY CO.   940,871   855,807    
4,615   CANADIAN NATURAL RESOURCES LTD.   252,893   298,452    
166,668   CANADIAN PACIFIC KANSAS CITY LTD.   7,650,913   12,401,766    
7,173   CANADIAN TIRE CORP. LTD., CLASS A   783,882   771,299    
18,853   CANADIAN UTILITIES LTD., CLASS A   501,070   398,366    
28,399   CARGOJET, INC.(c)   2,478,562   1,882,603    
47,300   CASCADES, INC.   494,913   427,293    
20,700   CENTERRA GOLD, INC.   168,086   101,195    
4,854   CGI, INC.(b)   385,356   478,070    
57,700   CI FINANCIAL CORP.(c)   896,767   656,758    
307   CONSTELLATION SOFTWARE, INC.   271,176   633,793    
151,400   CORUS ENTERTAINMENT, INC., CLASS B   490,896   114,811    
18,591   DESCARTES SYSTEMS GROUP (THE), INC.(b)   717,307   1,364,503    
10,000   DESCARTES SYSTEMS GROUP (THE), INC. (NASDAQ GLOBAL SELECT EXCHANGE)(b)   743,876   733,800    
6,582   DOLLARAMA, INC.   86,132   453,483    
6,399   EMERA, INC.   261,745   223,405    
7,214   ENBRIDGE, INC.   272,366   239,433    
72,100   ENERPLUS CORP.   414,689   1,268,684    
55,025   EXCHANGE INCOME CORP.   2,198,623   1,816,544    
332   FAIRFAX FINANCIAL HOLDINGS LTD.   109,228   271,019    
317   FIRSTSERVICE CORP.   37,450   46,108    
18,308   FORTIS, INC.   727,467   695,387    
1,786   FRANCO-NEVADA CORP.   212,062   238,413    
2,479   GFL ENVIRONMENTAL, INC. (SUB VOTING)   63,803   78,718    
2,184   GFL ENVIRONMENTAL, INC. (SUB VOTING) (NEW YORK EXCHANGE)   59,481   69,364    
2,549   GILDAN ACTIVEWEAR, INC.   73,352   71,397    
6,138   HYDRO ONE LTD.(d)   154,425   156,269    
19,500   IA FINANCIAL CORP., INC.   882,358   1,223,192    
1,503   IGM FINANCIAL, INC.   37,289   38,121    
3,196   IMPERIAL OIL LTD.   141,353   196,842    
415   INTACT FINANCIAL CORP.   33,776   60,503    
1,100   INTERNATIONAL PETROLEUM CORP.(b)   2,833   10,561    
42,876   KINROSS GOLD CORP.   152,204   195,515    
47 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Canada (Cont'd):            
2,635   LOBLAW COS. LTD.   $101,823   223,876    
921   LUMINE GROUP, INC.(b)   9,604   13,643    
634   MAGNA INTERNATIONAL, INC.   32,119   33,989    
14,440   MANULIFE FINANCIAL CORP.   232,014   263,963    
3,331   METRO, INC.   71,587   172,994    
73,700   MULLEN GROUP LTD.   791,421   728,183    
19,328   NATIONAL BANK OF CANADA   618,005   1,283,980    
10,766   ONEX CORP.   493,620   632,763    
7,493   OPEN TEXT CORP.   205,449   263,004    
7,809   PARKLAND CORP.   166,853   228,420    
49,000   PIZZA PIZZA ROYALTY CORP.   343,236   498,568    
2,253   POWER CORP. OF CANADA   51,403   57,360    
150,221   PRAIRIESKY ROYALTY LTD.   2,429,894   2,760,549    
41,090   QUEBECOR, INC., CLASS B   926,060   880,640    
3,916   RESTAURANT BRANDS INTERNATIONAL, INC.   219,594   260,884    
19,784   RIOCAN REAL ESTATE INVESTMENT TRUST   262,184   263,204    
11,072   ROYAL BANK OF CANADA   1,017,596   968,136    
16,691   SHOPIFY, INC., CLASS A(b)   464,706   910,828    
10,500   STELCO HOLDINGS, INC.   316,173   290,127    
126,363   SUNCOR ENERGY, INC.   2,605,067   4,345,603    
4,185   TC ENERGY CORP.   132,808   144,006    
10,940   TELUS CORP.   224,373   178,648    
1,358   TFI INTERNATIONAL, INC.   127,516   174,408    
34,584   THOMSON REUTERS CORP.   3,771,504   4,230,795    
1,036   THOMSON REUTERS CORP. (NEW YORK EXCHANGE)   108,812   126,723    
416   TRISURA GROUP LTD.(b)   490   9,228    
31,500   WAJAX CORP.   462,770   652,612    
34,615   WASTE CONNECTIONS, INC.   4,936,946   4,648,794    
537   WEST FRASER TIMBER CO. LTD.   38,544   38,987    
1,244   WEST FRASER TIMBER CO. LTD. (NEW YORK EXCHANGE)   94,866   90,240    
7,242   WHEATON PRECIOUS METALS CORP.   227,571   293,663    
1,466   WSP GLOBAL, INC.   166,444   206,908    
        52,387,003   64,313,650   7.05%
Chile:            
318,400   CENCOSUD S.A.   432,618   603,729    
198,200   VINA CONCHA Y TORO S.A.   327,546   220,419    
        760,164   824,148   0.09%
China:            
654,000   3SBIO, INC.(b)(d)   426,195   545,492    
452,076   ALIBABA GROUP HOLDING LTD.(b)   7,546,380   4,901,134    
411,762   ANHUI CONCH CEMENT CO. LTD., CLASS H   2,189,924   1,089,030    
291,500   ASIA CEMENT CHINA HOLDINGS CORP.   362,392   97,608    
860,000   AVICHINA INDUSTRY & TECHNOLOGY CO. LTD., CLASS H   394,096   407,919    
656,000   CHINA BLUECHEMICAL LTD., CLASS H   177,444   161,970    
1,191,000   CHINA SUNTIEN GREEN ENERGY CORP. LTD., CLASS H   329,834   411,590    
299,500   HENGAN INTERNATIONAL GROUP CO. LTD.   2,017,321   955,676    
288,874   HUALI INDUSTRIAL GROUP CO. LTD., CLASS A   1,956,928   1,986,727    
187,500   NETDRAGON WEBSOFT HOLDINGS LTD.   425,716   346,574    
181,800   SUNRESIN NEW MATERIALS CO. LTD., CLASS A   1,510,048   1,456,678    
57,200   TRIP.COM GROUP LTD.(b)   1,173,491   2,018,075    
412,000   ZHEJIANG EXPRESSWAY CO. LTD., CLASS H   352,185   306,949    
        18,861,954   14,685,422   1.61%
Czech Republic:            
701   PHILIP MORRIS CR A.S.   402,293   521,209    
        402,293   521,209   0.06%
Denmark:            
132,215   ALK-ABELLO A/S(b)   1,866,815   1,481,539    
68   AP MOLLER - MAERSK A/S, CLASS A   78,187   120,644    
70   AP MOLLER - MAERSK A/S, CLASS B   61,056   126,148    
1,300   CARLSBERG A/S, CLASS B   50,752   163,814    
1,500   COLOPLAST A/S, CLASS B   27,666   158,277    
22,200   D/S NORDEN A/S   318,701   1,235,993    
12,005   DANSKE BANK A/S   141,793   279,630    
3,896   DEMANT A/S(b)   70,444   161,340    
30,780   DSV A/S   3,689,862   5,738,358    
9,500   MATAS A/S   145,220   131,160    
48 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Denmark (Cont'd):            
17,179   NOVO NORDISK A/S ADR(e)   $866,824   1,562,258    
125,666   NOVO NORDISK A/S, CLASS B   7,155,748   11,431,313    
2,460   NOVOZYMES A/S, CLASS B   38,505   99,171    
2,787   ORSTED A/S(d)   248,326   151,734    
2,802   PANDORA A/S   27,668   288,855    
12,200   PER AARSLEFF HOLDING A/S   552,758   558,530    
245   ROCKWOOL A/S, CLASS B   37,155   59,112    
6,562   SOLAR A/S, CLASS B   419,879   441,733    
40,800   SPAR NORD BANK A/S   620,980   632,678    
3,250   TOPDANMARK A/S   33,362   141,266    
16,220   VESTAS WIND SYSTEMS A/S(b)   150,564   346,205    
        16,602,265   25,309,758   2.77%
Egypt:            
323,300   EASTERN CO. S.A.E.   244,707   251,954    
        244,707   251,954   0.03%
Finland:            
9,600   CARGOTEC OYJ, CLASS B   522,724   403,504    
27,200   KEMIRA OYJ   447,150   423,348    
5,584   KESKO OYJ, CLASS B   30,705   99,883    
3,256   KONE OYJ, CLASS B   35,674   137,284    
23,500   KONECRANES OYJ   864,459   778,709    
21,225   NESTE OYJ   67,704   720,793    
221,158   NOKIA OYJ   967,445   831,759    
625,757   NOKIA OYJ ADR(e)   2,742,122   2,340,331    
46,541   NORDEA BANK ABP   419,121   511,431    
1,960   ORION OYJ, CLASS B   49,561   76,986    
15,829   STORA ENSO OYJ (REGISTERED)   75,698   198,146    
11,934   UPM-KYMMENE OYJ   99,929   408,189    
38,449   VALMET OYJ   999,027   877,153    
        7,321,319   7,807,516   0.86%
France:            
4,611   AIR LIQUIDE S.A.   539,629   777,032    
10,358   AIRBUS S.E.   325,383   1,385,718    
6,173   ALSTOM S.A.   108,951   146,478    
14,391   ALTEN S.A.   2,061,199   1,888,853    
4,199   ARKEMA S.A.   378,617   414,053    
21,399   AXA S.A.   257,534   633,845    
15,160   BNP PARIBAS S.A.   712,479   965,130    
21,146   CAPGEMINI S.E.   3,293,388   3,671,764    
9,832   CARREFOUR S.A.   151,251   169,086    
17,497   CIE DE SAINT-GOBAIN   382,786   1,048,220    
8,124   CIE GENERALE DES ETABLISSEMENTS MICHELIN S.C.A.   78,557   248,999    
37,390   COFACE S.A.   449,179   477,360    
852   COVIVIO S.A.   39,755   37,800    
43,315   CREDIT AGRICOLE S.A.   349,095   533,015    
181,899   DANONE S.A.   11,232,535   10,021,892    
4,893   DASSAULT SYSTEMES S.E.   167,866   181,916    
3,422   EDENRED   102,446   213,808    
26,507   ENGIE S.A.   331,812   406,443    
591   ESSILORLUXOTTICA S.A.   53,785   102,930    
2,180   ESSILORLUXOTTICA S.A. (EURONEXT PARIS EXCHANGE)   301,642   378,944    
2,901   EURAZEO S.E.   76,265   172,814    
858   EUROAPI S.A.(b)   11,312   10,812    
21,423   GAZTRANSPORT ET TECHNIGAZ S.A.   2,701,112   2,631,855    
9,197   GETLINK S.E.   70,409   146,531    
376   HERMES INTERNATIONAL S.C.A.   464,612   683,528    
3,399   INFOTEL S.A.   145,404   178,327    
8,900   IPSEN S.A.   736,413   1,165,704    
9,500   KAUFMAN & BROAD S.A.   362,957   276,354    
1,026   KERING S.A.   174,510   466,483    
671   KLEPIERRE S.A.   8,398   16,428    
4,848   LEGRAND S.A.   109,851   444,934    
6,263   L'OREAL S.A.   660,831   2,593,755    
11,270   LVMH MOET HENNESSY LOUIS VUITTON S.E.   1,479,252   8,502,389    
58,600   MERCIALYS S.A.   617,151   528,117    
14,296   MERSEN S.A.   465,081   571,474    
49 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
France (Cont'd):            
14,900   NEXITY S.A.   $742,412   219,678    
25,890   ORANGE S.A.   251,572   297,098    
2,734   PERNOD RICARD S.A.   171,347   455,104    
3,242   PUBLICIS GROUPE S.A.   158,840   244,825    
4,530   RENAULT S.A.   108,733   185,481    
22,900   REXEL S.A.   437,632   512,524    
53,557   SAFRAN S.A.   5,879,225   8,373,852    
28,716   SANOFI ADR(e)   1,121,725   1,540,326    
278   SCHNEIDER ELECTRIC S.E.   8,838   46,035    
48,983   SCHNEIDER ELECTRIC S.E. (EURONEXT PARIS EXCHANGE)   6,347,485   8,075,473    
14,443   SOCIETE GENERALE S.A.   201,715   349,380    
3,699   SOCIETE POUR L'INFORMATIQUE INDUSTRIELLE   108,264   182,979    
7,150   SODEXO S.A.(b)   647,363   737,187    
4,719   SODEXO S.A.(b)   415,153   486,543    
42,944   SODEXO S.A. (EURONEXT PARIS EXCHANGE)   3,698,178   4,422,684    
9,802   SOITEC(b)   847,745   1,626,225    
51,800   TELEVISION FRANCAISE 1   458,222   396,639    
1,413   THALES S.A.   81,763   198,263    
35,335   TOTALENERGIES S.E.   1,732,392   2,325,303    
13,514   VEOLIA ENVIRONNEMENT S.A.   143,775   390,962    
10,500   VICAT S.A.   406,419   321,315    
7,810   VINCI S.A.   316,569   864,620    
22,858   VIVENDI S.E.   184,128   200,565    
537   WENDEL S.E.   37,844   42,432    
        53,908,786   74,588,284   8.18%
Germany:            
20,972   ADIDAS A.G.   2,195,450   3,692,412    
7,853   ALLIANZ S.E. (REGISTERED)   680,763   1,872,638    
6,098   AURUBIS A.G.   286,000   452,071    
10,508   BASF S.E.   428,412   476,984    
76,113   BAYER A.G. (REGISTERED)   4,310,975   3,655,701    
3,104   BAYERISCHE MOTOREN WERKE A.G.   225,884   316,172    
828   BEIERSDORF A.G.   35,556   106,915    
7,564   BRENNTAG S.E.   520,586   587,383    
3,380   COVESTRO A.G.(b)(d)   99,223   182,439    
23,800   CROPENERGIES A.G.   337,485   199,199    
5,205   DAIMLER TRUCK HOLDING A.G.   126,102   180,512    
14,087   DEUTSCHE BANK A.G. (REGISTERED)   136,469   155,554    
4,525   DEUTSCHE BOERSE A.G.   273,151   782,125    
22,387   DEUTSCHE LUFTHANSA A.G. (REGISTERED)(b)   128,838   177,858    
54,300   DEUTSCHE PFANDBRIEFBANK A.G.(d)   673,490   385,925    
17,828   DEUTSCHE POST A.G.   210,542   726,607    
44,230   DEUTSCHE TELEKOM A.G. (REGISTERED)   728,220   928,805    
97,183   EVOTEC S.E.(b)   2,230,876   1,942,273    
23,600   FREENET A.G.   557,311   553,601    
49,183   FRESENIUS MEDICAL CARE A.G. & CO. KGAA   3,285,510   2,124,263    
6,137   FRESENIUS S.E. & CO. KGAA   142,558   191,304    
14,238   HAMBURGER HAFEN UND LOGISTIK A.G.   354,630   253,238    
2,246   HANNOVER RUECK S.E.   94,321   493,555    
4,440   HEIDELBERG MATERIALS A.G.   183,098   344,911    
62,491   HENSOLDT A.G.   2,012,993   1,843,602    
20,563   INFINEON TECHNOLOGIES A.G.   112,405   681,970    
6,898   JOST WERKE S.E.(d)   220,852   331,198    
1,916   KION GROUP A.G.   36,282   73,818    
9,952   MERCEDES-BENZ GROUP A.G.   550,799   693,178    
2,159   MERCK KGAA   96,589   360,857    
904   MTU AERO ENGINES A.G.   139,764   164,245    
3,091   MUENCHENER RUECKVERSICHERUNGS-GESELLSCHAFT A.G. IN MUENCHEN (REGISTERED)   382,823   1,205,887    
6,900   PUBLITY A.G.(b)(c)   253,482   141,251    
34,845   PUMA S.E.   1,581,409   2,168,858    
2,462   RHEINMETALL A.G.   290,379   634,758    
6,238   RWE A.G.   186,468   231,815    
3,657   SAP S.E. ADR(e)   311,122   472,923    
45,159   SCHOTT PHARMA A.G. & CO. KGAA(b)   1,326,363   1,510,631    
38,242   SCOUT24 S.E.(d)   2,358,915   2,655,527    
50 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Germany (Cont'd):            
12,193   SIEMENS A.G. (REGISTERED)   $724,684   1,748,029    
2,953   SIEMENS HEALTHINEERS A.G.(d)   135,447   149,997    
1,130   SILTRONIC A.G.   82,927   96,652    
1,829   SYMRISE A.G.   181,019   174,701    
17,300   UNITED INTERNET A.G. (REGISTERED)   656,976   370,677    
717   VOLKSWAGEN A.G.   93,858   94,495    
5,487   ZALANDO S.E.(b)(d)   107,697   122,534    
        30,088,703   36,710,048   4.02%
Greece:            
6,746   HELLENIC TELECOMMUNICATIONS ORGANIZATION S.A.   54,075   98,564    
        54,075   98,564   0.01%
Hong Kong:            
220,400   AIA GROUP LTD.   733,244   1,782,830    
46,000   BOC HONG KONG HOLDINGS LTD.   63,016   125,434    
408,000   CHINA MEDICAL SYSTEM HOLDINGS LTD.   472,941   615,316    
1,520,000   CHINA OVERSEAS PROPERTY HOLDINGS LTD.   1,980,747   1,702,864    
1,462,000   CITIC TELECOM INTERNATIONAL HOLDINGS LTD.   547,331   578,510    
48,544   CK ASSET HOLDINGS LTD.   130,843   255,333    
20,500   CK HUTCHISON HOLDINGS LTD.   118,979   109,258    
2,000   CLP HOLDINGS LTD.   13,542   14,749    
998,000   FIRST PACIFIC CO. LTD.   376,906   394,213    
988   FUTU HOLDINGS LTD. ADR(b)(e)   35,968   57,116    
23,000   GALAXY ENTERTAINMENT GROUP LTD.   67,134   137,577    
608,500   GRAND PHARMACEUTICAL GROUP LTD.   389,449   325,600    
37,331   HENDERSON LAND DEVELOPMENT CO. LTD.   82,610   97,769    
11,800   HONG KONG EXCHANGES & CLEARING LTD.   203,281   439,927    
134,000   KINGBOARD HOLDINGS LTD.   630,206   298,545    
40,500   LINK REIT   84,196   197,419    
46,500   MTR CORP. LTD.   172,190   183,279    
388,000   PAX GLOBAL TECHNOLOGY LTD.   368,074   273,141    
37,517   PRUDENTIAL PLC   383,673   403,988    
2,786,000   SINOFERT HOLDINGS LTD.(b)   377,076   325,718    
1,024,000   SSY GROUP LTD.   465,746   591,353    
15,000   SUN HUNG KAI PROPERTIES LTD.   177,504   159,543    
11,500   TECHTRONIC INDUSTRIES CO. LTD.   93,938   111,653    
600,000   UNITED LABORATORIES INTERNATIONAL HOLDINGS (THE) LTD.   352,686   606,974    
469,800   VALUETRONICS HOLDINGS LTD.   216,550   180,561    
626,000   VSTECS HOLDINGS LTD.   568,356   351,123    
30,000   WHARF REAL ESTATE INVESTMENT CO. LTD.   145,316   115,780    
418,000   XINYI GLASS HOLDINGS LTD.   481,711   543,099    
358,000   YUEXIU TRANSPORT INFRASTRUCTURE LTD.   311,883   189,131    
        10,045,096   11,167,803   1.22%
Hungary:            
68,616   WIZZ AIR HOLDINGS PLC(b)(d)   1,950,913   1,596,881    
        1,950,913   1,596,881   0.18%
India:            
93,900   AMARA RAJA ENERGY & MOBILITY LTD.   730,323   719,872    
140,586   CAMPUS ACTIVEWEAR LTD.(b)   574,368   488,496    
511,000   CESC LTD.   527,922   552,233    
266,600   FIRSTSOURCE SOLUTIONS LTD.   267,193   536,993    
249,400   GUJARAT STATE FERTILIZERS & CHEMICALS LTD.   419,138   521,601    
478,371   HCL TECHNOLOGIES LTD.   4,024,070   7,096,298    
244,636   ICICI BANK LTD. ADR(e)   5,471,811   5,655,984    
565,258   INDUS TOWERS LTD.(b)   2,200,790   1,307,203    
40,400   JUBILANT PHARMOVA LTD.   278,630   211,481    
142,600   KARNATAKA BANK (THE) LTD.   387,774   427,113    
52,500   LG BALAKRISHNAN & BROS. LTD.   457,964   671,972    
108,100   LIC HOUSING FINANCE LTD.   554,741   605,056    
150,600   LT FOODS LTD.   166,836   300,760    
345,400   MARKSANS PHARMA LTD.   218,954   456,914    
342,300   NAVA LTD.   535,317   1,859,603    
454,600   NMDC LTD.   552,018   807,362    
454,600   NMDC STEEL LTD.(b)   218,274   281,816    
182,100   OIL INDIA LTD.   563,046   653,913    
349,800   PCBL LTD. /INDIA   562,279   709,162    
51 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
India (Cont'd):            
199,800   PETRONET LNG LTD.   $538,925   576,583    
460,200   REDINGTON LTD.   919,384   854,701    
166,147   UPL LTD.   1,511,799   1,231,356    
        21,681,556   26,526,472   2.91%
Indonesia:            
4,097,000   ADARO ENERGY INDONESIA TBK PT   470,816   754,488    
8,194,900   ERAJAYA SWASEMBADA TBK PT   345,258   239,790    
1,094,700   INDOFOOD SUKSES MAKMUR TBK PT   488,225   468,915    
1,324,000   MATAHARI DEPARTMENT STORE TBK PT   151,981   205,656    
        1,456,280   1,668,849   0.18%
Ireland:            
15,616   ACCENTURE PLC, CLASS A   1,784,172   4,795,830    
2,899   AERCAP HOLDINGS N.V.(b)   131,933   181,680    
41,080   CRH PLC   1,263,466   2,265,774    
3,568   DCC PLC   188,706   200,028    
141,210   EXPERIAN PLC   2,590,097   4,613,212    
2,158   FLUTTER ENTERTAINMENT PLC - CDI(b)   240,212   352,235    
36,009   ICON PLC(b)   6,442,740   8,867,216    
920   KERRY GROUP PLC, CLASS A   50,283   76,800    
17,539   RYANAIR HOLDINGS PLC(b)   235,787   294,874    
        12,927,396   21,647,649   2.37%
Israel:            
48,641   BANK HAPOALIM B.M.   229,967   432,492    
35,900   HAREL INSURANCE INVESTMENTS & FINANCIAL SERVICES LTD.   422,925   283,574    
115,300   ICL GROUP LTD.   461,518   638,271    
29,044   MIZRAHI TEFAHOT BANK LTD.   475,042   1,051,366    
5,800   RAMI LEVY CHAIN STORES HASHIKMA MARKETING 2006 LTD.   397,897   331,746    
        1,987,349   2,737,449   0.30%
Italy:            
416,800   A2A S.P.A.   806,512   740,905    
42,000   BANCA IFIS S.P.A.   804,497   725,330    
25,272   BANCA MEDIOLANUM S.P.A.   87,322   215,759    
51,325   ENEL S.P.A.   241,364   314,942    
43,069   ENI S.P.A.   477,488   691,751    
30,094   FERRARI N.V.   4,762,362   8,869,183    
375,900   IREN S.P.A.   999,472   724,776    
2,133   IVECO GROUP N.V.(b)   4,835   19,911    
75,670   LEONARDO S.P.A.   606,153   1,090,531    
44,692   MEDIOBANCA BANCA DI CREDITO FINANZIARIO S.P.A.   349,727   591,539    
609,000   MFE-MEDIAFOREUROPE N.V., CLASS A   475,447   257,051    
910   MONCLER S.P.A.   37,687   52,821    
244,500   PIAGGIO & C S.P.A.   596,766   780,542    
104,200   PIRELLI & C S.P.A.(d)   506,260   501,047    
4,902   PRYSMIAN S.P.A.   148,153   196,666    
265,332   TECHNOPROBE S.P.A.(b)   1,771,958   2,081,521    
6,336   TENARIS S.A.   83,304   100,115    
34,652   TERNA - RETE ELETTRICA NAZIONALE   130,368   260,684    
63,644   UNICREDIT S.P.A.   671,591   1,522,955    
71,681   UNIPOL GRUPPO S.P.A.   376,844   387,555    
        13,938,110   20,125,584   2.21%
Japan:            
30,600   ADEKA CORP.   390,224   523,002    
138,000   ADVANTEST CORP.   4,750,709   3,836,271    
4,700   AEON CO. LTD.   52,433   93,127    
600   AEON REIT INVESTMENT CORP.   728,822   588,142    
2,300   AISIN CORP.   37,584   86,872    
15,000   AJINOMOTO CO., INC.   116,767   578,103    
23,000   ARCS CO. LTD.   480,595   420,134    
5,500   ASAHI GROUP HOLDINGS LTD.   83,346   205,628    
13,000   ASAHI KASEI CORP.   46,220   81,715    
22,100   ASAHI YUKIZAI CORP   276,792   545,797    
37,000   ASTELLAS PHARMA, INC.   236,149   511,059    
4,500   BANDAI NAMCO HOLDINGS, INC.   14,652   91,523    
67,400   BAYCURRENT CONSULTING, INC.   1,331,379   2,252,051    
52 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Japan (Cont'd):            
13,800   BRIDGESTONE CORP.   $205,726   537,866    
32,100   BROTHER INDUSTRIES LTD.   541,898   516,897    
48,400   BUNKA SHUTTER CO. LTD.   363,296   357,962    
1,900   CANON, INC.   42,134   45,911    
4,500   CENTRAL JAPAN RAILWAY CO.   103,827   109,420    
32,500   CHIBA BANK (THE) LTD.   178,628   235,751    
13,500   CHUGAI PHARMACEUTICAL CO. LTD.   82,278   418,300    
55,900   CONCORDIA FINANCIAL GROUP LTD.   180,730   254,055    
28,400   CREDIT SAISON CO. LTD.   361,395   450,201    
27,500   CRESCO LTD.   342,183   325,313    
10,600   DAI-ICHI LIFE HOLDINGS, INC.   182,119   220,540    
29,100   DAIICHI SANKYO CO. LTD.   150,922   798,673    
4,500   DAIKIN INDUSTRIES LTD.   124,473   705,984    
29,500   DAITRON CO. LTD.   489,565   595,443    
7,400   DAIWA HOUSE INDUSTRY CO. LTD.   74,451   198,712    
28,000   DAIWABO HOLDINGS CO. LTD.   223,879   536,187    
32,800   DENSO CORP.   185,234   526,429    
3,300   DENTSU GROUP, INC.   56,753   97,113    
3,400   EAST JAPAN RAILWAY CO.   181,974   194,578    
3,100   EISAI CO. LTD.   127,178   172,096    
40,800   ELEMATEC CORP.   418,802   504,675    
34,800   ENEOS HOLDINGS, INC.   122,810   137,282    
20,400   EXEDY CORP.   319,517   356,588    
13,000   FANUC CORP.   182,941   339,340    
3,900   FAST RETAILING CO. LTD.   188,734   849,448    
34,200   FJ NEXT HOLDINGS CO. LTD.   337,056   239,979    
31,700   FUJI CORP.   564,353   492,479    
4,700   FUJI ELECTRIC CO. LTD.   61,631   211,986    
36,100   FUJI PHARMA CO. LTD.   376,394   281,695    
8,700   FUJIFILM HOLDINGS CORP.   163,215   503,737    
2,400   FUJITSU LTD.   131,326   282,376    
35,800   FURUNO ELECTRIC CO. LTD.   322,070   330,810    
20,800   GMO PAYMENT GATEWAY, INC.   1,663,264   1,134,324    
28,100   GUNGHO ONLINE ENTERTAINMENT, INC.   437,266   443,392    
3,000   HAMAMATSU PHOTONICS K.K.   52,686   126,133    
141   HIROSE ELECTRIC CO. LTD.   11,109   16,324    
19,000   HITACHI LTD.   295,895   1,177,893    
45,600   HONDA MOTOR CO. LTD.   370,123   512,738    
5,300   HOYA CORP.   112,594   546,184    
72,100   IDOM, INC.   435,748   350,441    
40,800   INNOTECH CORP.   377,287   437,019    
15,200   INPEX CORP.   144,096   228,113    
115,700   INTEGRAL CORP.(b)   1,894,069   1,673,098    
18,200   ITOCHU CORP.   192,005   657,570    
21,720   ITOHAM YONEKYU HOLDINGS, INC.   686,193   588,437    
21,900   JACCS CO. LTD.   467,646   755,741    
85,800   JAPAN ELEVATOR SERVICE HOLDINGS CO. LTD.   923,427   1,259,184    
7,000   JAPAN EXCHANGE GROUP, INC.   56,090   129,833    
14,300   JAPAN TOBACCO, INC.   255,669   329,088    
54,200   JEOL LTD.   2,894,491   1,614,707    
18,900   KAGA ELECTRONICS CO. LTD.   477,103   819,894    
3,500   KAJIMA CORP.   15,004   56,959    
26,900   KANAMOTO CO. LTD.   620,666   472,375    
57,300   KANDENKO CO. LTD.   547,713   527,789    
12,300   KANEKA CORP.   387,968   319,256    
2,000   KANSAI PAINT CO. LTD.   10,449   28,583    
9,000   KAO CORP.   183,106   334,194    
29,762   KDDI CORP.   238,488   911,053    
2,400   KEISEI ELECTRIC RAILWAY CO. LTD.   22,185   83,128    
16,724   KEYENCE CORP.   2,326,255   6,215,832    
6,000   KIKKOMAN CORP.   52,867   314,633    
67,600   KITZ CORP.   466,295   467,783    
55,000   KOBE BUSSAN CO. LTD.   1,153,557   1,289,913    
22,200   KOHNAN SHOJI CO. LTD.   670,131   579,109    
10,100   KOMATSU LTD.   197,184   272,949    
22,400   KOMERI CO. LTD.   432,959   472,044    
2,300   KONAMI GROUP CORP.   50,313   121,255    
53 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Japan (Cont'd):            
21,000   KUBOTA CORP.   $129,773   310,630    
6,900   KUREHA CORP.   316,117   383,921    
400   KYOCERA CORP.   11,033   20,287    
5,000   KYOWA KIRIN CO. LTD.   54,616   87,076    
13,100   LINTEC CORP.   259,789   209,601    
97,300   M&A RESEARCH INSTITUTE HOLDINGS, INC.(b)(c)   2,302,748   2,234,895    
4,800   M3, INC.   51,468   87,128    
19,100   MARUBENI CORP.   186,544   297,667    
6,500   MARUI GROUP CO. LTD.   32,287   105,623    
7,700   MAZDA MOTOR CORP.   38,348   87,300    
396,100   MEBUKI FINANCIAL GROUP, INC.   843,829   1,092,396    
4,800   MEIJI HOLDINGS CO. LTD.   38,749   119,325    
12,800   MELCO HOLDINGS, INC.   351,215   266,727    
61,200   MICRONICS JAPAN CO. LTD.   625,569   870,564    
8,700   MINEBEA MITSUMI, INC.   84,406   141,907    
597   MIRAI CORP.   328,940   189,326    
48,300   MIRAIT ONE CORP   598,489   635,241    
4,500   MITSUBISHI CHEMICAL GROUP CORP.   14,284   28,361    
17,500   MITSUBISHI CORP.   230,376   833,711    
19,400   MITSUBISHI ELECTRIC CORP.   185,711   239,843    
8,500   MITSUBISHI GAS CHEMICAL CO., INC.   75,149   114,399    
12,900   MITSUBISHI HC CAPITAL, INC.   33,945   85,921    
1,200   MITSUBISHI HEAVY INDUSTRIES LTD.   45,240   67,231    
21,200   MITSUBISHI SHOKUHIN CO. LTD.   523,817   552,884    
127,100   MITSUBISHI UFJ FINANCIAL GROUP, INC.   634,731   1,078,055    
16,600   MITSUI & CO. LTD.   187,177   601,652    
7,400   MITSUI CHEMICALS, INC.   87,469   191,812    
4,800   MITSUI OSK LINES LTD.   108,940   131,689    
24,000   MITSUI-SOKO HOLDINGS CO. LTD.   510,010   691,544    
26,000   MIZUHO FINANCIAL GROUP, INC.   302,862   440,399    
20,400   MUGEN ESTATE CO. LTD.   117,733   149,139    
32,400   MURATA MANUFACTURING CO. LTD.   162,615   592,137    
20,200   NANTO BANK (THE) LTD.   470,557   358,128    
4,500   NEC CORP.   151,340   248,551    
6,900   NEXON CO. LTD.   122,522   122,494    
16,700   NICHIAS CORP.   297,341   340,848    
7,800   NIDEC CORP.   129,234   361,338    
16,600   NIKKON HOLDINGS CO. LTD.   337,754   350,906    
69,900   NINTENDO CO. LTD.   2,300,273   2,912,051    
400   NIPPON EXPRESS HOLDINGS, INC.   11,192   20,871    
760,000   NIPPON TELEGRAPH & TELEPHONE CORP.   342,697   897,634    
9,300   NIPPON YUSEN K.K.   39,009   240,994    
60,900   NISHI-NIPPON FINANCIAL HOLDINGS, INC.   426,037   692,346    
5,000   NISSAN CHEMICAL CORP.   50,851   212,547    
42,500   NISSAN MOTOR CO. LTD.   138,126   187,468    
1,200   NISSIN FOODS HOLDINGS CO. LTD.   43,959   99,689    
3,000   NITERRA CO. LTD.   28,359   67,888    
2,700   NITORI HOLDINGS CO. LTD.   87,310   302,325    
3,200   NITTO DENKO CORP.   77,639   209,779    
7,000   NITTO FUJI FLOUR MILLING CO. LTD.   211,323   229,427    
26,000   NITTO KOGYO CORP.   446,429   623,407    
24,800   NOMURA REAL ESTATE HOLDINGS, INC.   548,769   622,437    
9,801   NOMURA RESEARCH INSTITUTE LTD.   43,930   255,061    
16,000   NSW, INC.   308,868   299,777    
7,000   NTT DATA GROUP CORP.   36,519   93,788    
27,100   OBAYASHI CORP.   184,757   238,615    
51,100   OKAMURA CORP.   721,626   772,428    
33,200   OLYMPUS CORP.   211,415   430,142    
1,100   OMRON CORP.   31,828   48,997    
5,000   ONO PHARMACEUTICAL CO. LTD.   43,040   95,899    
24,000   ORIENTAL LAND CO. LTD.   113,097   787,884    
24,900   PANASONIC HOLDINGS CORP.   190,748   279,988    
41,000   PERSOL HOLDINGS CO. LTD.   37,131   66,701    
123,100   PLUS ALPHA CONSULTING CO. LTD.   2,503,023   2,307,142    
123,000   RAKUS CO. LTD.   1,675,038   1,706,929    
2,700   RECRUIT HOLDINGS CO. LTD.   40,141   83,145    
9,300   RENESAS ELECTRONICS CORP.(b)   125,942   142,685    
54 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Japan (Cont'd):            
45,300   RESONA HOLDINGS, INC.   $172,185   250,362    
3,600   RINNAI CORP.   52,047   67,408    
26,600   RION CO. LTD.   502,380   396,870    
1,600   ROHM CO. LTD.   13,823   30,279    
17,000   S FOODS, INC.   381,610   380,259    
13,620   SBI HOLDINGS, INC.   110,355   286,690    
1,200   SECOM CO. LTD.   44,072   81,378    
12,700   SEKISUI CHEMICAL CO. LTD.   64,585   182,827    
6,000   SEKISUI HOUSE LTD.   44,394   119,466    
73,300   SEVEN & I HOLDINGS CO. LTD.   2,598,954   2,870,397    
15,600   SHIBAURA MECHATRONICS CORP.   411,582   731,429    
10,800   SHIFT, INC.(b)   1,418,314   1,980,861    
4,000   SHIMADZU CORP.   25,419   106,229    
1,500   SHIMANO, INC.   58,204   202,542    
46,000   SHIN-ETSU CHEMICAL CO. LTD.   461,684   1,335,122    
4,000   SHIONOGI & CO. LTD.   67,679   178,861    
5,800   SHISEIDO CO. LTD.   87,058   203,613    
28,900   SHIZUOKA FINANCIAL GROUP, INC.   174,482   235,047    
900   SMC CORP.   106,941   402,868    
23,200   SOFTBANK CORP.   233,056   262,370    
36,800   SOFTBANK GROUP CORP.   412,233   1,557,434    
33,400   SOJITZ CORP.   711,933   732,104    
5,700   SOMPO HOLDINGS, INC.   114,918   243,989    
17,200   SONY GROUP CORP.   1,207,916   1,406,989    
2,800   SQUARE ENIX HOLDINGS CO. LTD.   122,801   95,933    
5,700   SUBARU CORP.   26,572   110,726    
17,900   SUMITOMO CORP.   237,245   357,079    
40,400   SUMITOMO HEAVY INDUSTRIES LTD.   1,122,628   1,024,235    
10,200   SUMITOMO MITSUI FINANCIAL GROUP, INC.   308,888   500,036    
1,600   SUMITOMO REALTY & DEVELOPMENT CO. LTD.   36,088   41,564    
5,800   SUZUKI MOTOR CORP.   104,611   233,249    
34,100   SWCC CORP.   593,339   485,412    
2,600   SYSMEX CORP.   51,707   123,994    
20,100   T RAD CO. LTD.   425,712   301,628    
2,200   TAISEI CORP.   19,821   77,406    
14,200   TAKEDA PHARMACEUTICAL CO. LTD.   375,360   440,994    
3,600   TDK CORP.   62,321   133,320    
11,600   TERUMO CORP.   117,165   307,308    
51,400   TOAGOSEI CO. LTD.   437,472   461,941    
1,000   TOHO CO. LTD.   13,412   34,115    
43,200   TOKIO MARINE HOLDINGS, INC.   359,676   995,862    
32,700   TOKYO ELECTRIC POWER CO. HOLDINGS, INC.(b)   107,478   146,220    
9,900   TOKYO ELECTRON LTD.   135,391   1,347,240    
8,200   TOKYO GAS CO. LTD.   148,002   186,342    
51,200   TOKYO STEEL MANUFACTURING CO. LTD.   317,332   583,103    
3,000   TOTO LTD.   30,029   77,491    
1,000   TOYO SUISAN KAISHA LTD.   25,714   39,211    
33,300   TOYOTA BOSHOKU CORP.   638,507   606,980    
4,000   TOYOTA INDUSTRIES CORP.   101,266   314,895    
90,500   TOYOTA MOTOR CORP.   1,282,111   1,626,218    
1,700   TOYOTA TSUSHO CORP.   14,142   99,914    
32,900   TPR CO. LTD.   424,011   401,515    
21,900   TRANSCOSMOS, INC.   679,057   467,849    
900   TREND MICRO, INC.   26,539   34,097    
50,900   TSUGAMI CORP.   536,991   394,691    
7,700   UNICHARM CORP.   67,055   271,671    
800   USS CO. LTD.   3,505   13,228    
19,000   VALOR HOLDINGS CO. LTD.   422,334   277,916    
34,400   VISIONAL, INC.(b)   1,683,076   1,727,952    
23,000   WARABEYA NICHIYO HOLDINGS CO. LTD.   372,710   434,444    
3,900   WEST JAPAN RAILWAY CO.   155,776   161,362    
2,600   YAKULT HONSHA CO. LTD.   22,252   63,154    
83,700   YAMAGUCHI FINANCIAL GROUP, INC.   555,179   732,249    
4,600   YAMAHA MOTOR CO. LTD.   46,377   120,864    
5,000   YASKAWA ELECTRIC CORP.   48,019   180,253    
55 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Japan (Cont'd):            
10,100   YUASA TRADING CO. LTD.   $293,394   279,294    
        79,083,757   107,115,267   11.74%
Jordan:            
29,800   HIKMA PHARMACEUTICALS PLC   629,055   759,274    
        629,055   759,274   0.08%
Macau:            
45,200   SANDS CHINA LTD.(b)   104,151   137,452    
        104,151   137,452   0.02%
Malaysia:            
503,500   FRENCKEN GROUP LTD.   337,379   409,672    
274,300   RHB BANK BHD.   377,864   317,055    
        715,243   726,727   0.08%
Mexico:            
201,200   BANCO DEL BAJIO S.A.(d)   360,811   632,780    
139,765   CONTROLADORA VUELA CIA DE AVIACION S.A.B. DE C.V. ADR(b)(e)   1,303,046   949,004    
107,949   GRUMA S.A.B. DE C.V., CLASS B   1,224,860   1,848,838    
202,141   GRUPO AEROPORTUARIO DEL CENTRO NORTE S.A.B. DE C.V.   1,969,992   2,193,829    
186,700   MEGACABLE HOLDINGS S.A.B. DE C.V. - CPO   409,781   410,949    
403,376   PROLOGIS PROPERTY MEXICO S.A. DE C.V.   1,338,556   1,387,599    
28,213   PROMOTORA Y OPERADORA DE INFRAESTRUCTURA S.A.B. DE C.V.   262,856   252,173    
216,829   QUALITAS CONTROLADORA S.A.B. DE C.V.   1,066,330   1,629,250    
224,700   REGIONAL S.A.B. DE C.V.   1,800,310   1,613,869    
        9,736,542   10,918,291   1.20%
Netherlands:            
6,447   ADYEN N.V.(b)(d)   8,967,495   4,778,951    
143,900   AEGON N.V.   363,250   693,547    
459   AKZO NOBEL N.V.   18,664   33,124    
14,126   ASM INTERNATIONAL N.V.   4,271,530   5,899,006    
13,954   ASML HOLDING N.V. (REGISTERED)   3,790,212   8,214,162    
21,600   ASR NEDERLAND N.V.   788,307   810,713    
30,400   EUROCOMMERCIAL PROPERTIES N.V.   737,194   673,403    
3,610   EXOR N.V.   90,616   320,002    
51,500   FORFARMERS N.V.   322,452   134,772    
980   HEINEKEN HOLDING N.V.   24,979   73,756    
2,822   HEINEKEN N.V.   79,167   248,244    
31,004   ING GROEP N.V. ADR(e)   261,928   408,633    
4,634   JUST EAT TAKEAWAY.COM N.V.(b)(d)   71,044   57,362    
17,656   KONINKLIJKE AHOLD DELHAIZE N.V.   203,381   532,383    
65,970   KONINKLIJKE KPN N.V.   190,999   217,430    
306,519   KONINKLIJKE PHILIPS N.V.(b)   6,314,677   6,108,767    
24,250   PROSUS N.V.(b)   599,752   714,637    
8,117   QIAGEN N.V.(b)   119,395   328,511    
209   RANDSTAD N.V.   4,033   11,520    
23,800   SIGNIFY N.V.(d)   640,632   636,844    
49,916   STELLANTIS N.V.   203,470   957,430    
97,212   UNIVERSAL MUSIC GROUP N.V.   2,511,442   2,527,975    
6,193   WOLTERS KLUWER N.V.   101,075   750,008    
        30,675,694   35,131,180   3.85%
New Zealand:            
31,147   HALLENSTEIN GLASSON HOLDINGS LTD.   115,879   113,661    
        115,879   113,661   0.01%
Norway:            
6,359   ADEVINTA ASA(b)   37,714   62,723    
30,933   AKER BP ASA   1,041,758   854,898    
32,200   ATEA ASA(b)   360,833   402,150    
1,222,562   AUTOSTORE HOLDINGS LTD.(b)(d)   1,757,663   1,718,345    
41,357   BAKKAFROST P/F   2,089,779   2,107,274    
12,068   DNB BANK ASA   82,736   243,066    
1,416   EQUINOR ASA ADR(e)   34,019   46,431    
65,300   EUROPRIS ASA(d)   420,002   364,268    
54,709   KONGSBERG GRUPPEN ASA   2,214,971   2,252,932    
23,955   NORSK HYDRO ASA   48,328   150,355    
56 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Norway (Cont'd):            
35,300   SPAREBANK 1 SR-BANK ASA   $380,636   404,928    
2,400   YARA INTERNATIONAL ASA   55,523   90,897    
        8,523,962   8,698,267   0.95%
Poland:            
24,000   ASSECO POLAND S.A.   487,128   392,745    
37,500   CYFROWY POLSAT S.A.(b)   259,610   103,684    
179,720   ORANGE POLSKA S.A.   314,475   307,059    
        1,061,213   803,488   0.09%
Portugal:            
28,336   EDP - ENERGIAS DE PORTUGAL S.A.   83,675   117,916    
14,452   GALP ENERGIA SGPS S.A.   143,129   214,080    
9,417   JERONIMO MARTINS SGPS S.A.   105,676   211,347    
123,300   NAVIGATOR (THE) CO. S.A.   307,999   464,738    
365,400   SONAE SGPS S.A.   405,827   354,666    
        1,046,306   1,362,747   0.15%
Russia:            
152,020   CIAN PLC ADR(b)(e)(f)   2,339,655   -    
3,168   GLOBALTRANS INVESTMENT PLC GDR (REGISTERED)(b)(f)   21,771   -    
24,310   HEADHUNTER GROUP PLC ADR(b)(e)(f)   515,030   -    
25,740,000   RUSHYDRO PJSC(c)(f)   218,665   -    
        3,095,121   -   0.00%
Saudi Arabia:            
56,896   ALDREES PETROLEUM AND TRANSPORT SERVICES CO.   1,926,963   2,129,590    
33,872   BUPA ARABIA FOR COOPERATIVE INSURANCE CO.   1,697,203   1,878,028    
        3,624,166   4,007,618   0.44%
Singapore:            
302,700   AEM HOLDINGS LTD.   265,969   762,449    
779,800   AZTECH GLOBAL LTD.   481,808   458,642    
147,000   CAPITALAND ASCENDAS REIT   291,464   295,472    
5,000   CITY DEVELOPMENTS LTD.   26,102   24,079    
28,200   DBS GROUP HOLDINGS LTD.   158,529   692,437    
39,200   KEPPEL CORP. LTD.   150,880   194,562    
5,640   KEPPEL REIT   1,183   3,525    
16,500   OVERSEA-CHINESE BANKING CORP. LTD.   141,635   154,101    
4,931   SEA LTD. ADR(b)(e)   269,692   216,717    
748,133   SEATRIUM LTD.(b)   74,131   73,094    
51,700   SINGAPORE AIRLINES LTD.   194,072   244,150    
13,000   SINGAPORE EXCHANGE LTD.   40,226   92,513    
9,500   UNITED OVERSEAS BANK LTD.   119,702   197,764    
45,500   UOL GROUP LTD.   221,846   212,650    
48,200   VENTURE CORP. LTD.   558,851   436,516    
        2,996,090   4,058,671   0.45%
South Africa:            
134,900   ADCOCK INGRAM HOLDINGS LTD.   394,451   405,807    
33,591   AFRICAN RAINBOW MINERALS LTD.   339,096   302,387    
45,442   ASTRAL FOODS LTD.   337,713   326,084    
42,500   BARLOWORLD LTD.   242,391   194,422    
132,200   INVESTEC PLC   773,831   770,852    
68,600   OCEANA GROUP LTD.   268,470   273,011    
54,187   TELKOM S.A. SOC LTD.(b)   276,428   66,559    
5,284   THUNGELA RESOURCES LTD.   1,910   48,198    
55,527   TIGER BRANDS LTD.   510,748   449,161    
42,500   ZEDA LTD.(b)   47,481   26,048    
        3,192,519   2,862,529   0.31%
South Korea:            
25,000   DAESANG CORP.   545,401   345,763    
20,489   DB HITEK CO. LTD.   270,468   740,426    
4,784   DL E&C CO. LTD.   210,584   110,401    
1,907   DL HOLDINGS CO. LTD.   140,872   59,777    
31,100   DOOSAN BOBCAT, INC.   908,313   1,168,604    
9,900   GS HOLDINGS CORP.   371,567   291,654    
55,182   HPSP CO. LTD.   1,381,350   1,242,678    
9,075   HUONS CO. LTD.   416,763   293,832    
3,500   HYUNDAI GLOVIS CO. LTD.   391,747   478,139    
57 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
South Korea (Cont'd):            
15,994   HYUNDAI GREEN FOOD/NEW(b)   $265,187   133,202    
23,300   JW LIFE SCIENCE CORP.   391,190   228,864    
18,600   KC TECH CO. LTD.   295,116   299,592    
223,200   KOREA REAL ESTATE INVESTMENT & TRUST CO. LTD.   478,487   199,683    
25,300   KT CORP.   539,161   621,407    
64,100   LG UPLUS CORP.   723,972   492,007    
10,183   LOTTE FINE CHEMICAL CO. LTD.   404,389   439,712    
4,775   MAEIL DAIRIES CO. LTD.   380,763   152,684    
17,812   NAVER CORP.   2,195,643   2,658,049    
58,100   PARTRON CO. LTD.   410,902   339,886    
202,165   SAMSUNG ELECTRONICS CO. LTD.   7,725,882   10,242,683    
14,251   SAMSUNG SECURITIES CO. LTD.   434,059   387,948    
14,900   VIEWORKS CO. LTD.   386,364   342,721    
39,900   YOUNG POONG PRECISION CORP.   405,022   424,200    
10,700   YOUNGONE CORP.   365,651   382,916    
        20,038,853   22,076,828   2.42%
Spain:            
1,260   ACCIONA S.A.   78,312   160,208    
9,041   ACS ACTIVIDADES DE CONSTRUCCION Y SERVICIOS S.A.   206,316   325,576    
1,333   AENA SME S.A.(d)   146,281   200,505    
6,379   AMADEUS IT GROUP S.A.   179,436   384,422    
76,363   BANCO BILBAO VIZCAYA ARGENTARIA S.A. ADR(e)   369,094   614,722    
51,052   BANCO SANTANDER S.A.   144,309   193,864    
68,298   BANCO SANTANDER S.A. ADR(e)   211,946   256,801    
60,498   CAIXABANK S.A.   164,674   241,984    
4,781   CELLNEX TELECOM S.A.(b)(d)   151,731   166,242    
31,300   CIA DE DISTRIBUCION INTEGRAL LOGISTA HOLDINGS S.A.   607,086   798,434    
10,898   ENAGAS S.A.   184,898   180,345    
140,872   FAES FARMA S.A.   588,215   475,863    
39   FERROVIAL S.E.   588   1,189    
69,814   IBERDROLA S.A.   430,525   779,503    
12,493   INDUSTRIA DE DISENO TEXTIL S.A.   239,195   464,981    
27,680   MIQUEL Y COSTAS & MIQUEL S.A.   387,291   320,767    
10,622   NATURGY ENERGY GROUP S.A.   164,427   288,478    
93,900   PROSEGUR CIA DE SEGURIDAD S.A.   216,845   151,521    
6,653   REDEIA CORP. S.A.   83,539   104,489    
31,112   REPSOL S.A.   268,381   512,153    
71,500   TELEFONICA S.A.   252,344   292,566    
        5,075,433   6,914,613   0.76%
Sweden:            
2,065   ALLEIMA AB   1,539   10,816    
22,200   ASSA ABLOY AB, CLASS B   89,466   483,645    
288,454   ATLAS COPCO AB, CLASS A   1,842,587   3,864,671    
15,920   ATLAS COPCO AB, CLASS B   22,691   185,982    
34,700   BILIA AB, CLASS A   639,435   336,917    
18,000   BOLIDEN AB   418,169   512,347    
80,252   BYGGMAX GROUP AB(b)   455,012   216,440    
195,400   CLOETTA AB, CLASS B   556,844   326,647    
3,608   ELECTROLUX AB, CLASS B(b)   30,334   37,148    
7,501   ELECTROLUX PROFESSIONAL AB, CLASS B   16,773   38,656    
9,604   EPIROC AB, CLASS A   18,146   181,781    
4,000   EPIROC AB, CLASS B   7,248   63,958    
8,600   ESSITY AB, CLASS B   62,137   185,332    
55,778   EVOLUTION AB(d)   7,152,688   5,620,630    
370,493   FORTNOX AB   1,939,421   1,971,106    
10,131   H & M HENNES & MAURITZ AB, CLASS B   98,015   144,040    
77,603   HEMNET GROUP AB   1,051,549   1,369,474    
25,557   HEXAGON AB, CLASS B   56,077   217,514    
130,200   HUMANA AB(b)   538,994   317,192    
17,500   HUSQVARNA AB, CLASS B   64,201   133,445    
8,270   INDUSTRIVARDEN AB, CLASS C   85,948   217,584    
43,812   INVESTOR AB, CLASS B   150,033   838,589    
49,100   INWIDO AB   276,126   493,116    
36,400   KINDRED GROUP PLC SDR   177,628   332,132    
7,801   KNOW IT AB   144,666   90,293    
14,800   LOOMIS AB   372,004   397,418    
44,500   MEKO AB   323,086   386,639    
58 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Sweden (Cont'd):            
163,821   MUNTERS GROUP AB(d)   $1,888,733   2,096,141    
365,240   NCAB GROUP AB   2,206,463   1,795,123    
4,231   NIBE INDUSTRIER AB, CLASS B   36,600   27,572    
144,444   NORDNET AB PUBL   1,745,718   1,898,745    
29,428   ORRON ENERGY AB(b)   485,724   19,689    
77,000   RESURS HOLDING AB(d)   417,550   165,498    
16,008   SANDVIK AB   135,894   293,492    
54,844   SDIPTECH AB, CLASS B(b)   1,459,095   1,105,847    
84,900   SECURITAS AB, CLASS B   649,198   670,300    
35,236   SKANDINAVISKA ENSKILDA BANKEN AB, CLASS A   139,725   419,700    
2,634   SKANSKA AB, CLASS B   22,223   43,189    
8,600   SVENSKA CELLULOSA AB S.C.A., CLASS B   15,915   117,613    
13,823   SVENSKA HANDELSBANKEN AB, CLASS A   72,323   122,877    
12,741   SWEDBANK AB, CLASS A   176,972   234,563    
35,506   TETHYS OIL AB(b)   259,465   178,417    
69,292   THULE GROUP AB(d)   1,658,785   1,809,309    
31,682   VITEC SOFTWARE GROUP AB, CLASS B   688,984   1,486,340    
24,387   VOLVO AB, CLASS B   156,616   501,998    
        28,806,800   31,959,925   3.50%
Switzerland:            
225,748   ABB LTD. (REGISTERED)   4,650,183   8,067,387    
4,727   ALCON, INC.   75,580   365,277    
20,169   BACHEM HOLDING A.G.   1,394,087   1,486,933    
484   BALOISE HOLDING A.G. (REGISTERED)   26,452   70,217    
34   CHOCOLADEFABRIKEN LINDT & SPRUENGLI A.G. (PARTICIPATION CERTIFICATE)   48,855   378,180    
3   CHOCOLADEFABRIKEN LINDT & SPRUENGLI A.G. (REGISTERED)   75,352   328,912    
42,234   CIE FINANCIERE RICHEMONT S.A. (REGISTERED)   2,994,717   5,145,894    
1,200   DORMAKABA HOLDING A.G.   436,003   589,827    
11,527   DSM-FIRMENICH A.G.   802,873   973,745    
384   DUFRY A.G. (REGISTERED)(b)   8,927   14,613    
54,800   EFG INTERNATIONAL A.G.(b)   442,650   621,803    
44,301   GARMIN LTD.   4,741,247   4,660,465    
990   GEBERIT A.G. (REGISTERED)   85,632   494,239    
140   GIVAUDAN S.A. (REGISTERED)   76,496   458,284    
237,814   GLOBAL BLUE GROUP HOLDING A.G.(b)   2,124,658   1,445,909    
6,900   HELVETIA HOLDING A.G. (REGISTERED)   678,020   966,784    
96,840   HOLCIM A.G.(b)   4,815,704   6,200,233    
3,711   JULIUS BAER GROUP LTD.   74,659   237,823    
6,478   LONZA GROUP A.G. (REGISTERED)   3,186,289   2,997,027    
117,259   MEDMIX A.G.(d)   4,422,551   2,971,921    
101,207   NESTLE S.A. (REGISTERED)   5,090,750   11,428,435    
119,660   NOVARTIS A.G. (REGISTERED)   9,261,329   12,210,576    
3,868   NOVARTIS A.G. ADR(e)   312,227   393,994    
11,952   ROCHE HOLDING A.G.   1,552,784   3,260,089    
755   SCHINDLER HOLDING A.G. (PARTICIPATION CERTIFICATE)   34,888   150,490    
3,000   SGS S.A. (REGISTERED)   129,434   251,845    
1,696   SIEGFRIED HOLDING A.G. (REGISTERED)(b)   1,384,286   1,452,156    
26,307   SIKA A.G. (REGISTERED)   3,648,746   6,667,700    
1,308   SONOVA HOLDING A.G. (REGISTERED)   84,414   309,968    
635   SULZER A.G. (REGISTERED)   20,376   60,648    
743   SWISS LIFE HOLDING A.G. (REGISTERED)   101,194   462,838    
967   SWISS RE A.G.   77,541   99,261    
194   SWISSCOM A.G. (REGISTERED)   49,414   115,249    
454,649   UBS GROUP A.G. (REGISTERED)   7,317,112   11,237,905    
7,700   VALIANT HOLDING A.G. (REGISTERED)   734,240   797,664    
8,800   VETROPACK HOLDING A.G. (REGISTERED)   405,746   389,411    
6,700   ZEHNDER GROUP A.G. (REGISTERED)   261,335   393,391    
4,209   ZURICH INSURANCE GROUP A.G.   808,513   1,928,721    
        62,435,264   90,085,814   9.87%
Taiwan:            
140,406   ASIA VITAL COMPONENTS CO. LTD.   526,616   1,487,675    
219,000   CHICONY ELECTRONICS CO. LTD.   585,753   785,450    
146,000   CHIPBOND TECHNOLOGY CORP.   286,157   308,605    
419,000   CHIPMOS TECHNOLOGIES, INC.   449,603   485,573    
78,537   INNODISK CORP.   450,307   726,020    
59 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
Taiwan (Cont'd):            
102,000   INSYDE SOFTWARE CORP.   $407,878   465,386    
145,000   JARLLYTEC CO. LTD.   327,630   597,942    
383,000   KINDOM DEVELOPMENT CO. LTD.   503,834   392,892    
660,000   POU CHEN CORP.   670,550   585,953    
220,000   RADIANT OPTO-ELECTRONICS CORP.   841,929   838,321    
105,000   SERCOMM CORP.   398,506   401,925    
220,000   SIGURD MICROELECTRONICS CORP.   403,537   391,600    
146,000   SINO-AMERICAN SILICON PRODUCTS, INC.   723,315   712,157    
225,000   TAIWAN HON CHUAN ENTERPRISE CO. LTD.   422,583   735,775    
157,000   TAIWAN SURFACE MOUNTING TECHNOLOGY CORP.   456,051   447,462    
84,369   TOPCO SCIENTIFIC CO. LTD.   263,727   444,318    
57,000   UNITED INTEGRATED SERVICES CO. LTD.   402,404   401,479    
149,100   USERJOY TECHNOLOGY CO. LTD.   374,944   374,728    
187,000   ZHEN DING TECHNOLOGY HOLDING LTD.   694,432   570,593    
        9,189,756   11,153,854   1.22%
Thailand:            
500,300   POLYPLEX THAILAND PCL (REGISTERED)   376,789   175,869    
432,100   PRUKSA HOLDING PCL (REGISTERED)   233,658   151,895    
1,424,300   SUPALAI PCL (REGISTERED)   958,379   786,226    
        1,568,826   1,113,990   0.12%
Turkey:            
104,100   BIM BIRLESIK MAGAZALAR A.S.   669,519   1,037,829    
53,800   COCA-COLA ICECEK A.S.   315,265   771,429    
270,800   TURKCELL ILETISIM HIZMETLERI A.S.(b)   605,645   526,001    
        1,590,429   2,335,259   0.26%
United Kingdom:            
27,355   3I GROUP PLC   109,603   688,537    
2,834   ADMIRAL GROUP PLC   35,119   81,966    
540,200   AIRTEL AFRICA PLC(d)   753,867   823,905    
52,849   ANGLO AMERICAN PLC   409,100   1,463,195    
6,588   ASHTEAD GROUP PLC   294,400   400,436    
136,091   ASSOCIATED BRITISH FOODS PLC   3,192,429   3,420,617    
66,527   ASTRAZENECA PLC   8,204,231   8,952,991    
489,514   BAE SYSTEMS PLC   5,676,701   5,942,145    
113,471   BAKKAVOR GROUP PLC(d)   166,389   131,860    
978,924   BALTIC CLASSIFIEDS GROUP PLC   2,192,930   2,321,349    
26,000   BANK OF GEORGIA GROUP PLC   447,200   1,165,248    
186,343   BARCLAYS PLC   357,496   360,906    
14,400   BELLWAY PLC   632,327   400,265    
62,893   BERKELEY GROUP HOLDINGS PLC   3,336,564   3,137,094    
115,735   BP PLC   603,532   747,283    
5,069   BUNZL PLC   39,524   179,912    
8,744   BURBERRY GROUP PLC   51,148   202,795    
282,181   BYTES TECHNOLOGY GROUP PLC   1,867,302   1,712,782    
157,500   CENTRAL ASIA METALS PLC   465,909   361,443    
209,855   CNH INDUSTRIAL N.V.   1,975,096   2,542,323    
486,716   COMPASS GROUP PLC   7,465,082   11,857,248    
23,816   COMPUTACENTER PLC   743,505   732,943    
2,276   CRODA INTERNATIONAL PLC   82,788   136,430    
20,544   DIAGEO PLC   873,928   757,639    
42,240   DIPLOMA PLC   1,322,559   1,543,209    
177,500   DIRECT LINE INSURANCE GROUP PLC(b)   614,920   371,689    
27,190   DOWLAIS GROUP PLC   31,892   35,538    
108,100   DRAX GROUP PLC   316,682   578,300    
11,278   ENTAIN PLC   146,379   128,367    
40,749   FERGUSON PLC   5,356,492   6,700,181    
18,300   FRASERS GROUP PLC(b)   185,881   179,819    
14,717   GAMES WORKSHOP GROUP PLC   1,227,852   1,896,495    
50,906   GSK PLC   747,876   920,263    
46,518   HALEON PLC   141,587   193,030    
1,707   HALMA PLC   38,256   40,104    
4,854   HARGREAVES LANSDOWN PLC   45,104   45,537    
242,382   HSBC HOLDINGS PLC   1,401,351   1,898,828    
10,605   IMPERIAL BRANDS PLC   227,928   215,354    
50,389   INCHCAPE PLC   357,024   463,871    
25,000   INFORMA PLC   150,330   227,809    
60 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
United Kingdom (Cont'd):            
3,162   INTERCONTINENTAL HOTELS GROUP PLC ADR(e)   $155,759   236,359    
4,528   INTERTEK GROUP PLC   190,215   226,414    
518,146   J SAINSBURY PLC   1,239,535   1,594,150    
234,700   JUPITER FUND MANAGEMENT PLC   895,723   274,931    
295,800   KINGFISHER PLC   764,284   801,802    
92,531   LEGAL & GENERAL GROUP PLC   219,999   249,992    
80,708   LIBERTY GLOBAL PLC, CLASS A(b)   2,249,780   1,381,721    
57,550   LIBERTY GLOBAL PLC, CLASS C(b)   1,685,769   1,068,128    
7,063,985   LLOYDS BANKING GROUP PLC   4,740,781   3,803,719    
6,030   LONDON STOCK EXCHANGE GROUP PLC   69,795   605,333    
278,852   M&G PLC   497,048   667,810    
370,300   MAN GROUP PLC/JERSEY   651,704   1,006,112    
27,190   MELROSE INDUSTRIES PLC   78,639   154,959    
456,400   MITIE GROUP PLC   439,408   572,311    
7,231   MONDI PLC   114,215   120,628    
145,235   MORGAN ADVANCED MATERIALS PLC   467,561   433,204    
4   NATIONAL GRID PLC   29   48    
1,518   NATIONAL GRID PLC ADR(e)   85,245   92,036    
297,247   NATWEST GROUP PLC   420,566   850,528    
2,141   NEXT PLC   36,699   189,989    
123,700   OSB GROUP PLC   637,568   493,465    
199,288   PEARSON PLC   2,080,268   2,108,240    
10,230   PHOENIX GROUP HOLDINGS PLC   58,370   59,918    
217,800   QINETIQ GROUP PLC   947,859   846,299    
9,159   RECKITT BENCKISER GROUP PLC   360,759   647,270    
151,700   REDDE NORTHGATE PLC   615,982   624,895    
57,235   REDROW PLC   447,916   345,110    
384,600   REGIONAL REIT LTD.(d)   487,088   133,400    
21,616   RELX PLC   156,210   729,476    
183,813   RELX PLC (LONDON EXCHANGE)   2,548,998   6,199,023    
120,868   ROLLS-ROYCE HOLDINGS PLC(b)   107,369   324,006    
279,784   RS GROUP PLC   3,134,821   2,499,795    
24,928   SAGE GROUP (THE) PLC   108,477   300,005    
9,979   SCHRODERS PLC   43,138   49,322    
16,135   SEGRO PLC   67,053   140,751    
97,625   SERCO GROUP PLC   182,201   177,016    
4,954   SEVERN TRENT PLC   76,220   142,741    
1   SHELL PLC   -   32    
29,499   SHELL PLC ADR(e)   1,420,013   1,899,146    
414,000   SPEEDY HIRE PLC   294,411   161,391    
1,007   SPIRAX-SARCO ENGINEERING PLC   115,138   116,446    
7,418   ST. JAMES'S PLACE PLC   82,237   74,823    
108,800   STANDARD CHARTERED PLC   699,097   1,005,523    
82,413   STHREE PLC   315,585   373,887    
12,700   STOLT-NIELSEN LTD.   390,340   367,933    
7,240   SYNTHOMER PLC(b)   264,958   20,473    
148,000   TP ICAP GROUP PLC   641,118   304,734    
126,800   TYMAN PLC   343,290   445,448    
155,014   UNILEVER PLC   7,854,276   7,649,654    
3,404   UNILEVER PLC ADR(e)   126,859   168,158    
8,137   UNITED UTILITIES GROUP PLC   56,989   93,826    
2,756   WHITBREAD PLC   54,937   115,935    
27,611   WILLIS TOWERS WATSON PLC   6,143,025   5,769,595    
94,600   WINCANTON PLC   471,523   313,033    
235,716   WISE PLC, CLASS A(b)   1,927,655   1,958,239    
2   WPP PLC   15   18    
6,965   WPP PLC ADR(e)   266,228   310,500    
        100,819,028   115,259,406   12.63%
United States:            
23,940   AON PLC, CLASS A   5,562,070   7,761,827    
216,993   ARCH CAPITAL GROUP LTD.(b)   7,351,309   17,296,512    
12,603   EPAM SYSTEMS, INC.(b)   5,311,399   3,222,461    
11,739   LINDE PLC   3,904,341   4,371,017    
3,048   METTLER-TOLEDO INTERNATIONAL, INC.(b)   2,042,261   3,377,397    
57,621   SENSATA TECHNOLOGIES HOLDING PLC   3,138,865   2,179,226    
61 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Shares   Security   Cost   Fair value (a)   Percent of
net assets
United States (Cont'd):            
25,661   STERIS PLC   $4,342,348   5,630,537    
        31,652,593   43,838,977   4.81%
Uruguay:            
11,248   GLOBANT S.A.(b)   1,851,419   2,225,417    
3,204   MERCADOLIBRE, INC.(b)   4,546,272   4,062,287    
        6,397,691   6,287,704   0.69%
Vietnam:            
686,895   FPT CORP.   2,104,948   2,618,224    
        2,104,948   2,618,224   0.29%
    Sub-total Common Stocks:   708,616,354   871,265,820   95.50%
Preferred Stocks:            
Brazil:            
263,400   CIA DE SANEAMENTO DO PARANA(b)   350,151   239,476    
179,200   CIA ENERGETICA DE MINAS GERAIS, 0.46%(g)   357,186   442,425    
        707,337   681,901   0.08%
Chile:            
223,300   EMBOTELLADORA ANDINA S.A., CLASS B, 5.94%(g)   477,638   502,309    
        477,638   502,309   0.06%
Germany:            
1,521   BAYERISCHE MOTOREN WERKE A.G., 9.70%(g)   49,612   142,011    
27,400   JUNGHEINRICH A.G., 2.41%(g)   758,041   821,436    
330   SARTORIUS A.G., 0.45%(g)   63,895   111,980    
2,800   STO S.E. & CO. KGAA, 0.24%(g)   304,841   384,173    
1,044   VOLKSWAGEN A.G., 8.05%(g)   131,516   120,202    
        1,307,905   1,579,802   0.17%
South Korea:            
79,865   SAMSUNG ELECTRONICS CO. LTD., 2.65%(g)   3,317,974   3,224,362    
        3,317,974   3,224,362   0.35%
    Sub-total Preferred Stocks:   5,810,854   5,988,374   0.66%
Rights:            
United Kingdom:            
43,440   SYNTHOMER PLC(b)   454,449   16,695    
        454,449   16,695   0.00%
    Sub-total Rights:   454,449   16,695   0.00%
Warrants:            
Canada:            
307   CONSTELLATION SOFTWARE, INC.(b)(f)   -   -    
        -   -   0.00%
    Sub-total Warrants:   -   -   0.00%
Participatory Notes:            
United Kingdom:            
244,577   RYANAIR HOLDINGS PLC, ISSUED BY HSBC BANK PLC, EXPIRES 10/31/23(b)   2,722,979   4,117,774    
        2,722,979   4,117,774   0.45%
    Sub-total Participatory Notes:   2,722,979   4,117,774   0.45%
Short-Term Investments:            
6,578,525   FIDELITY INVESTMENTS MONEY MARKET GOVERNMENT PORTFOLIO, INSTITUTIONAL SHARES(h)   6,578,525   6,578,525    
29,563,008   NORTHERN INSTITUTIONAL FUNDS - U.S. GOVERNMENT SELECT PORTFOLIO, INSTITUTIONAL SHARES, 5.22%(i)   29,563,008   29,563,008    
    Sub-total Short-Term Investments:   36,141,533   36,141,533   3.96%
    Grand total   $753,746,169   917,530,196   100.57%
    
Notes to Schedule of Investments:
(a) Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market where the securities are traded. Foreign security values are stated in U.S. dollars.
(b) Non-income producing assets.
(c) Security is either wholly or partially on loan.
62 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
(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. The value of these securities is determined by valuations supplied by a pricing service or brokers, or, if not available, in accordance with procedures established by the Board of Trustees of Clearwater Investment Trust.
(e) Securities are American Depositary Receipts of companies based outside of the United States representing 2.05% of net assets as of September 30, 2023.
(f) Security has been deemed worthless and is a Level 3 investment.
(g) Current yield is disclosed. Dividends are calculated based on a percentage of the issuer’s net income.
(h) Investment relates to cash collateral received from portfolio securities loaned.
(i) The short-term investment is a money market portfolio of the investment company, Northern Institutional Funds. At December 31, 2022, the value of the Clearwater International Fund's investment in the U.S. Government Select Portfolio of the Northern Institutional Funds was $22,771,623 with net purchases of $6,791,385 during the nine months ended September 30, 2023.
At September 30, 2023, the industry sectors for the Clearwater International Fund ("International Fund") were:
Industry Sector   Percent of
Long-Term
Investments
Communication Services   4.04%
Consumer Discretionary   13.00
Consumer Staples   8.08
Energy   3.24
Financials   16.95
Health Care   11.76
Industrials   20.03
Information Technology   14.20
Materials   6.11
Real Estate   1.50
Utilities   1.09
    100.00%
At September 30, 2023, the International Fund’s investments were denominated in the following currencies:
Concentration by Currency   Percent of
Long-Term
Investments
Euro   21.04%
United States Dollar   16.29
British Pound   12.64
Japanese Yen   12.15
Swiss Franc   9.37
Other currencies   28.51
    100.00%
63 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Fair value is an estimate of the price the International Fund  would receive upon selling a security in a timely transaction to an independent buyer in the principal or most advantageous market for the security. This guidance establishes a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Various inputs are used in determining the value of the International Fund's investments and other financial instruments, as described below. These inputs are summarized in the three broad levels listed below.
Level 1 – Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 – Other significant observable inputs including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc. or quoted prices for identical or similar assets in markets that are not active.  Inputs that are derived principally from or corroborated by observable market data are also considered Level 2 measurements. An adjustment to any observable input that is significant to the fair value may render the measurement a Level 3 measurement.
Level 3 – Valuations based on unobservable inputs, which may include the Clearwater Management Co., Inc.'s (the “Adviser”) own assumptions in determining the fair value of an investment.
Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market in which such securities are traded, with foreign security values stated in U.S. dollars. Equity securities which have not traded on the date of valuation or securities for which sales prices are not generally reported are valued at the mean between the last bid and asked prices. Security transactions are accounted for as of trade date. With respect to Fund investments that do not have readily available market quotations, the Board of Trustees (the "Board") of Clearwater Investment Trust has designated the Adviser as the valuation designee to perform fair value determinations pursuant to Rule 2a-5 under the Investment Company Act of 1940, as amended. When prices are not readily available (including those for which trading has been suspended), are determined not to be reliable, or when the Adviser becomes aware that a significant event impacting the value of a security or group of securities has occurred after the closing of the exchange on which the security or securities principally trade, but before the calculation of the daily net asset value, the International Fund may value these securities at fair value as determined by the Adviser using procedures approved by the Board.
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following is a summary of the inputs used in valuing the International Fund’s investments and other financial instruments, if any, which are carried at fair value, as of September 30, 2023.
  Level 1   Level 2   Level 3   Total
Common Stocks              
Australia $7,259,196   $26,621,214   $   $33,880,410
Brazil 2,613,475   3,341,707     5,955,182
Canada 26,053,128   38,260,522     64,313,650
Denmark 1,562,258   23,747,500     25,309,758
Finland 2,340,331   5,467,185     7,807,516
France 2,764,056   71,824,228     74,588,284
Germany 472,923   36,237,125     36,710,048
Hong Kong 57,116   11,110,687     11,167,803
India 5,655,984   20,870,488     26,526,472
Ireland 13,844,726   7,802,923     21,647,649
Mexico 949,004   9,969,287     10,918,291
Netherlands 8,622,795   26,508,385     35,131,180
Norway 46,431   8,651,836     8,698,267
Russia     —*  
Singapore 216,717   3,841,954     4,058,671
Spain 871,523   6,043,090     6,914,613
Switzerland 6,500,368   83,585,446     90,085,814
United Kingdom 10,925,643   104,333,763     115,259,406
United States 43,838,977       43,838,977
Uruguay 6,287,704       6,287,704
All other countries   242,166,125     242,166,125
Participatory Notes   4,117,774     4,117,774
Preferred Stocks   5,988,374     5,988,374
Rights   16,695     16,695
Warrants     —*  
Short-Term Investments 36,141,533       36,141,533
64 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
  Level 1 Level 2 Level 3 Total
Total $177,023,888 $740,506,308 $ $917,530,196
    
* Security has been deemed worthless and is a Level 3 investment.
For the International Fund, the investment value is comprised of equity securities, rights, warrants, participatory notes and short-term investments. See the International Fund’s Schedule of Investments for additional information on industry sector and currency concentration information. Investments in equity securities and short-term securities generally are valued at the last sales price or the regular trading session closing price on the principal exchange or market where the securities are traded.
There were no significant Level 3 valuations at September 30, 2023.
65 (Continued)

CLEARWATER INVESTMENT TRUST
Schedule of Investments - Clearwater International Fund
September 30, 2023 (unaudited)
Clearwater International Fund Portfolio Diversification
(as a percentage of net assets)
66 (Continued)
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