Investment Objective

To provide capital preservation, with income and capital growth as secondary objectives.

Investment Strategy

The portfolio is invested in a conservative mix of stocks, bonds, alternatives, and cash that seeks stability with some growth and income potential. Holdings are diversified primarily among fixed income securities, typically focusing on short to intermediate-term maturities. Stock investments may be focused on dividend paying securities in pursuit of growth opportunities and income generation.

The fund manager will adjust the investment mix over time to manage risk by continually evaluating individual securities and market conditions to determine the relative attractiveness of each investment. In general, stock exposure will increase when valuations are low and decrease during speculative markets.

May be Appropriate for Investors

  • Who seek to minimize declines in account value with the potential for modest capital growth and income generation
  • Who want to assume a minimal amount of capital risk through limited stock exposure

About Risk-Based Funds

Risk-based funds offer professional management and asset allocation through a choice of investment objectives that range from fairly aggressive to fairly conservative. All an investor has to do is determine which objective best suits his or her current risk tolerance and investment time horizon, then decide when to move to a different objective as his or her personal situation changes over the years.

Time Horizon & Range of Stock Exposure

Conservative Term Moderate Term Extended Term Maximum Term
0-5 Years 3-10 Years 7-20 Years 15+ Years
15-45% 20-60% 40-70% 70-95%

Generally, the longer your time horizon, the more aggressive your investment objective can be. Greater stock exposure is typically associated with higher return potential and higher capital risk.

Manning and Napier Risk-Based Funds Graphic

Learn more about our Pro-Blend® Series

Daily Price

$9.75

Daily $ Change

$0.00

Daily % Change

0.00%

as of 12/10/2018

Ticker

MNCRX

CUSIP

563821628

Inception Date

06/30/2010

Investment Minimum

$2,000.00

Investment minimum may be waived for certain qualified retirement plans, participants in an automatic investment program, and discretionary investment accounts of the Advisor.

Important Documents

Summary Prospectus
Prospectus
Statement of Additional Information
Annual Report
Semi-Annual Report
Fact Sheet
Applications & Forms
XBRL-3/20/18

Performance

As of 11/30/2018

YTD

-0.85%

1 Year

-0.26%

3 Year

3.18%

5 Year

2.48%

10 Year

5.08%

Inception
(11/01/1995)

5.19%

US Stock Market Cycle (04/01/2000 - 11/30/2018)

5.09%

Inception performance is based on the Pro-Blend® Conservative Term Series Class S inception of 11/01/1995. For periods through 06/30/2010 (the inception date of the Class R shares), performance for the Class R shares is hypothetical and is based on the historical performance of the Class S shares adjusted for the Class R shares’ charges and expenses. Performance data quoted represents past performance and does not guarantee future results. Performance for periods greater than one year is annualized. The investment return and principal value of an investment will fluctuate, so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be higher or lower than that quoted.

Expense Ratio

Gross 1.18%*

Includes a 12b-1 fee of 0.50%, of which up to 0.25% is available as a shareholder servicing fee.

Top Ten Investments

As of 11/30/2018

TREASURY NOTES 17.35%
GOVERNMENT AGENCY 11.45%
UNITED STATES TREAS INFL INDEX 0.12500 04/15/2020 5.17%
TREASURY BONDS 3.60%
EXPORT-IMPORT BANK KOREA 2.62500 12/30/2020 0.98%
BANK OF AMERICA CORP 4.00000 01/22/2025 0.95%
JPMORGAN CHASE & CO 6.30000 04/23/2019 0.95%
MORGAN STANLEY FLT 3.81125 05/08/2024 0.95%
PRICELINE GROUP INC/THE 3.60000 06/01/2026 0.95%
SABINE PASS LIQUEFACTION 5.87500 06/30/2026 0.94%

This investment list is unaudited and excludes cash.

Asset Allocation

As of 11/30/2018

Bonds 71.16%
Stocks 27.80%
Cash 1.04%

Detailed Asset Class Allocation

As of 11/30/2018

International Equities 6.70%
Small Capitalization 0.78%
Mid Capitalization 2.48%
Large Capitalization 17.84%
Long Term Fixed Income 17.66%
Intermediate Term Fixed Income 34.89%
Short Term Fixed Income 18.61%
Cash 1.04%

Due to rounding, the sum of the detailed asset class allocation categories may not equal the asset allocation totals provided above.

November Fund Holdings

As of 11/30/2018

CUSIP Security Description Country Ticker Shares/Par Market Value (USD)
000375204 ABB LTD-SPON ADR CH ABB 21,082 $427,542.96
00101JAM8 ADT CORP 5.25000 03/15/2020 US 165,000 $166,237.50
00206RDQ2 AT&T INC 4.25000 03/01/2027 US 5,690,000 $5,484,641.81
00254EML3 SWEDISH EXPORT CREDIT 1.12500 08/28/2019 SE 4,996,000 $4,936,072.33
00287Y109 ABBVIE INC US ABBV 10,278 $968,907.06
00289XAA7 ABENGOA YIELD PLC 7.00000 11/15/2019 GB 440,000 $448,800.00
004239109 ACADIA REALTY TRUST US AKR 3,200 $91,744.00
00774MAG0 AERCAP IRELAND CAP / GLOBA 4.45000 10/01/2025 IE 5,640,000 $5,489,967.82
008492100 AGREE REALTY CORP US ADC 2,150 $128,075.50
00928QAK7 AIRCASTLE LTD 6.25000 12/01/2019 BM 225,000 $230,022.43
015271109 ALEXANDRIA REAL EST EQUITIES US ARE 705 $87,772.50
01609W102 ALIBABA GROUP - ADR CN BABA 11,130 $1,790,371.80
01748XAA0 ALLEGIANT TRAVEL CO 5.50000 07/15/2019 US 254,000 $254,000.00
020002101 ALLSTATE CORPORATION US ALL 2,545 $226,988.55
02005NAT7 ALLY FINANCIAL INC 3.50000 01/27/2019 US 235,000 $234,339.65
02079K107 ALPHABET INC-CL C US GOOG 2,650 $2,900,239.50
02079K305 ALPHABET INC-CL A US GOOGL 1,430 $1,586,799.50
023135106 AMAZON.COM INC US AMZN 910 $1,538,054.70
02319V103 AMBEV SA-ADR BR ABEV 411,680 $1,757,873.60
0237400 DIAGEO PLC GB DGE LN 101,321 $3,659,032.88
02376RAA0 AMERICAN AIRLINES GROUP 5.50000 10/01/2019 US 225,000 $226,406.25
024835100 AMERICAN CAMPUS COMMUNITIES US ACC 2,380 $104,315.40
02665T306 AMERICAN HOMES 4 RENT- A US AMH 18,310 $381,397.30
02666TAA5 AMERICAN HOMES 4 RENT 4.25000 02/15/2028 US 5,840,000 $5,513,127.67
02753GAA7 AMERICAN MIDSTREAM PTR/F 9.50000 12/15/2021 US 270,000 $261,225.00
03027X100 AMERICAN TOWER REIT INC US AMT 11,560 $1,901,504.40
03063NAA5 AMERICOLD LLC TRUST 3.84730 01/14/2029 US 130,232.83 $130,986.51
03064D108 AMERICOLD REALTY TRUST US COLD 3,305 $88,574.00
031162100 AMGEN INC US AMGN 5,074 $1,056,660.50
03748R101 APARTMENT INVT & MGMT CO -A US AIV 6,600 $310,794.00
037833100 APPLE COMPUTER INC US AAPL 3,804 $679,318.32
03784Y200 APPLE HOSPITALITY REIT INC US APLE 5,445 $86,412.15
03969AAL4 ARDAGH PKG FIN/HLDGS USA 6.00000 02/15/2025 IE 220,000 $204,875.00
03990B101 ARES MANAGEMENT CORP - A US ARES 18,655 $418,618.20
053015103 AUTOMATIC DATA PROCESSING US ADP 4,205 $619,901.10
053484101 AVALONBAY COMMUNITIES INC US AVB 3,950 $752,751.50
055622104 BP PLC-SPONS ADR GB BP 19,739 $796,468.65
05604LAA0 BWAY 2015-1740 A 2.91700 01/10/2035 US 4,633,000 $4,428,712.50
058498106 BALL CORP US BLL 80,000 $3,928,800.00
060505104 BANK OF AMERICA CORP US BAC 50,700 $1,439,880.00
06051GFM6 BANK OF AMERICA CORP 4.00000 01/22/2025 US 8,600,000 $8,341,199.17
084670702 BERKSHIRE HATHAWAY INC-CL B US BRK/B 11,080 $2,418,099.20
088606108 BHP GROUP LTD AU BHP 14,180 $629,024.80
09061G101 BIOMARIN PHARMACEUTICAL INC US BMRN 17,495 $1,680,044.85
09247X101 BLACKROCK INC US BLK 2,645 $1,132,086.45
09253U108 BLACKSTONE GROUP LP/THE US BX 15,600 $526,188.00
096630AE8 BOARDWALK PIPELINES LP 5.95000 06/01/2026 US 7,910,000 $8,054,727.85
097023105 BOEING CO US BA 3,734 $1,294,801.84
09857L108 BOOKING HOLDINGS INC US BKNG 2,700 $5,108,076.00
0989529 ASTRAZENECA PLC GB AZN LN 7,360 $573,113.50
101121101 BOSTON PROPERTIES INC US BXP 4,290 $562,848.00
105368203 BRANDYWINE REALTY TRUST US BDN 21,770 $310,657.90
110122108 BRISTOL MYERS SQUIBB CO US BMY 55,952 $2,991,193.92
11135F101 BROADCOM INC US AVGO 2,450 $581,654.50
1248EPBR3 CCO HLDGS LLC/CAP CORP 5.50000 05/01/2026 US 255,000 $247,350.00
12503M108 CBOE GLOBAL MARKETS INC US CBOE 14,940 $1,607,842.80
12572Q105 CME GROUP INC US CME 8,730 $1,659,398.40
125896100 CMS ENERGY CORP US CMS 9,856 $513,399.04
12592BAB0 CNH INDUSTRIAL CAPITAL L 3.37500 07/15/2019 US 5,700,000 $5,678,853.00
12592TAA3 COMM 2015-3BP A FLT 3.17800 02/10/2035 US 500,000 $483,776.70
12629NAF2 COMM 2015-DC1 A5 FLT 3.35000 02/10/2048 US 4,455,000 $4,345,030.11
126307AU1 CSC HOLDINGS LLC 5.50000 05/15/2026 US 235,000 $227,582.81
12646XAH5 CSMC 2013-IVR3 A1 2.50000 05/25/2043 US 1,284,506.85 $1,189,211.98
126650100 CVS HEALTH CORP US CVS 7,984 $640,316.80
12770QAA3 CZR 2017-VICI A 3.53100 10/15/2034 US 2,520,000 $2,516,059.48
14314WAD3 CARMX 2017-3 A3 1.97000 04/15/2022 US 2,173,000 $2,139,123.15
149123101 CATERPILLAR INC US CAT 3,423 $464,398.41
149806AA9 CAZ 2015-1A A 2.00000 12/10/2023 US 111,937.77 $111,378.08
14980AAA0 CAZENOVIA CREEK FUNDING LLC 3.56070 07/15/2030 US 2,309,846.82 $2,302,616.54
156504AH5 CENTURY COMMUNITIES 5.87500 07/15/2025 US 498,000 $448,822.50
165183AL8 CFII 2017-2A A1 1.99000 05/15/2029 US 6,616,510.16 $6,538,771.46
165183BB9 CFII 2017-4A A1 2.12000 11/15/2029 US 1,911,873.62 $1,888,026.06
165240102 CHESAPEAKE LODGING TRUST US CHSP 4,635 $137,056.95
166764100 CHEVRON CORP US CVX 6,476 $770,255.44
16941R108 CHINA PETROLEUM & CHEM-ADR CN SNP 8,966 $765,158.44
17275R102 CISCO SYSTEMS INC US CSCO 28,948 $1,385,740.76
172967424 CITIGROUP INC US C 18,373 $1,190,386.67
172967EW7 CITIGROUP INC 8.12500 07/15/2039 US 5,895,000 $8,053,843.79
191216100 COCA COLA CO/THE US KO 65,615 $3,306,996.00
194162103 COLGATE-PALMOLIVE CO US CL 13,692 $869,715.84
19626G108 COLONY CAPITAL INC US CLNY 65,948 $406,239.68
199908104 COMFORT SYSTEMS US FIX 6,275 $330,441.50
20030N101 COMCAST CORP-CL A US CMCSA 23,567 $919,348.67
20369C106 COMMUNITY HEALTHCARE TRUST I US CHCT 15,202 $479,471.08
2099084 BORALEX INC -A CA BLX CN 13,245 $178,440.90
21871N101 CORECIVIC INC US CXW 20,070 $440,536.50
21987BAK4 CODELCO INC 5.62500 09/21/2035 CL 1,710,000 $1,805,214.78
222795106 COUSINS PROPERTIES INC US CUZ 37,900 $320,255.00
22282E102 COVANTA HOLDING CORP US CVA 36,905 $611,146.80
22282EAH5 COVANTA HOLDING CORP 6.00000 01/01/2027 US 235,000 $218,550.00
22530LAA4 CAALT 2017-1A A 2.56000 10/15/2025 US 1,445,000 $1,438,088.71
22663AAA7 ORTHO-CLINICAL DIAGNOSTI 6.62500 05/15/2022 US 245,000 $235,812.50
22822V101 CROWN CASTLE INTL CORP US CCI 8,468 $972,973.20
22944PAA5 CSMC 2013-TH1 A1 2.13000 02/25/2043 US 837,749.54 $765,907.49
229663109 CUBESMART US CUBE 2,530 $78,784.20
23311RAD8 DCP MIDSTREAM OPERATING 5.35000 03/15/2020 US 165,000 $166,650.00
23918K108 DAVITA INC. US DVA 26,860 $1,774,371.60
23918KAR9 DAVITA INC 5.00000 05/01/2025 US 285,000 $267,187.50
247361702 DELTA AIR LINES INC. US DAL 6,185 $375,491.35
25271C102 DIAMOND OFFSHORE DRILLING US DO 48,385 $609,651.00
253393102 DICK'S SPORTING GOODS INC US DKS 11,755 $422,944.90
253868103 DIGITAL REALTY TRUST INC US DLR 7,580 $872,003.20
25470DAT6 DISCOVERY COMMUNICATIONS 5.20000 09/20/2047 US 5,860,000 $5,403,217.63
256677105 DOLLAR GENERAL CORP US DG 6,330 $702,566.70
26078J100 DOWDUPONT INC US DWDP 10,575 $611,763.75
26151AAA7 DRAX FINCO PLC 6.62500 11/01/2025 GB 350,000 $343,875.00
26780TAA5 DYNAGAS LNG PARTNERS/FIN 6.25000 10/30/2019 MH 359,000 $355,858.75
269246401 ETRADE FINANCIAL CORP US ETFC 16,680 $872,197.20
2715777 QUEBECOR INC -CL B CA QBR/B CN 43,590 $940,597.82
277276101 EASTGROUP PROPERTIES US EGP 875 $87,517.50
2801836 SHAW COMMUNICATIONS INC-B CA SJR/B CN 40,835 $768,662.44
285512109 ELECTRONIC ARTS US EA 25,200 $2,118,564.00
291011104 EMERSON ELEC CO US EMR 6,705 $452,721.60
29372EBS6 EFF 2016-2 A2 1.74000 02/22/2022 US 77,043.94 $76,696.99
29372EBT4 EFF 2016-2 A3 2.04000 02/22/2022 US 980,000 $966,536.86
29444U700 EQUINIX INC US EQIX 8,695 $3,350,009.60
29472R108 EQUITY LIFESTYLE PROPERTIES US ELS 2,055 $204,534.15
29476L107 EQUITY RESIDENTIAL US EQR 8,575 $610,968.75
297178105 ESSEX PROPERTY TRUST INC US ESS 1,435 $376,701.85
30161N101 EXELON CORP US EXC 6,965 $323,106.35
302154BV0 EXPORT-IMPORT BANK KOREA 2.62500 12/30/2020 KR 8,725,000 $8,589,858.48
30225T102 EXTRA SPACE STORAGE INC US EXR 1,920 $184,281.60
30231G102 EXXON MOBIL CORP US XOM 24,758 $1,968,261.00
302491303 FMC CORP US FMC 8,935 $739,281.90
30251JAA9 FDIC 2011-R1 A 2.67200 07/25/2026 US 138,074.21 $137,373.75
30261KAN6 FREMF 2012-K711 B 3.68865 08/25/2045 US 2,200,000 $2,199,517.32
30262DAL5 FREMF 2011-K13 B 4.76806 01/25/2048 US 2,255,000 $2,301,478.48
30262SAR9 FREMF 2015-K42 B FLT 3.98325 12/25/2024 US 490,000 $483,372.11
30264DAA7 FS ENERGY & POWER FUND 7.50000 08/15/2023 US 355,000 $347,900.00
30286XAN9 FREMF 2015-K43 B FLT 3.86206 02/25/2048 US 500,000 $488,723.75
30287EAE0 FREMF 2014-K41 B FLT 3.96255 11/25/2047 US 2,227,000 $2,199,998.29
30291EAE4 FREMF 2013-K712 B FLT 3.47306 05/25/2045 US 1,025,000 $1,022,730.04
30291HAA5 FREMF 2013-K28 X2A 0.10000 06/25/2046 US 199,141,950 $667,643.30
30291YAJ9 FREMF 2014-K716 B FLT 4.08069 08/25/2047 US 2,624,000 $2,647,763.73
3128LCD86 FHLM POOL A78227 5.50000 06/01/2038 US 124,454.13 $133,630.56
3128M56M7 FHLM POOL G04176 5.50000 05/01/2038 US 117,543.01 $126,459.37
3128M5VT4 FHLM POOL G03926 6.00000 02/01/2038 US 346,681.16 $380,535.55
3128M6JQ2 FHLM POOL G04471 5.50000 07/01/2038 US 40,206.32 $43,186.90
3128M6SU3 FHLM POOL G04731 5.50000 04/01/2038 US 255,859.49 $275,935.80
3128M6T99 FHLM POOL G04776 5.50000 07/01/2038 US 263,600.17 $283,276.21
3128M73P9 FHLM POOL G05906 6.00000 04/01/2040 US 72,552.06 $79,660.64
3128M7C95 FHLM POOL G05196 5.50000 10/01/2038 US 336,193.35 $362,570.22
3128M7KW5 FHLM POOL G05409 5.50000 03/01/2039 US 295,956.28 $318,974.90
3128M82W3 FHLM POOL G06789 6.00000 05/01/2040 US 272,942.38 $299,289.61
3128M9GM8 FHLM POOL G07104 5.50000 05/01/2040 US 234,056.43 $250,375.90
3128M9ZU9 FHLM POOL G07655 5.50000 12/01/2035 US 119,248.54 $128,858.73
3128MBDP9 FHLM POOL G12610 6.00000 03/01/2022 US 31,312.34 $32,031.94
3128MBE45 FHLM POOL G12655 6.00000 05/01/2022 US 21,528.1 $22,094.65
3128MBUB1 FHLM POOL G13078 6.00000 03/01/2023 US 30,167.96 $31,070.23
3128MJ2U3 FHLM GOLD POOL FG G08786 4.50000 10/01/2047 US 1,927,312.44 $1,990,380.81
3128MJG20 FHLM POOL G08216 5.50000 08/01/2037 US 293,311.86 $316,582.63
3128MJJT8 FHLM POOL G08273 5.50000 06/01/2038 US 321,172.21 $345,307.25
3128P75F6 FHLM POOL C91746 4.50000 12/01/2033 US 129,405.72 $134,358.41
3128P75X7 FHLM POOL C91762 4.50000 05/01/2034 US 1,005,493.45 $1,043,965.25
312941F69 FHLM POOL A92889 4.50000 07/01/2040 US 1,319,271.13 $1,372,309.44
312941ZQ3 FHLM POOL Q93451 4.50000 08/01/2040 US 1,331,073.63 $1,384,563.74
3132J8YK0 FHLM POOL Q17513 3.50000 04/01/2043 US 1,883,327.86 $1,863,340.27
3132M45M3 FHLM POOL Q24752 3.50000 02/01/2044 US 1,537,712.21 $1,521,233.35
3132QUNJ8 FHLM POOL Q37592 4.00000 12/01/2045 US 1,972,661.94 $1,986,335.66
3132QVKA8 FHLM POOL Q38388 4.00000 01/01/2046 US 335,128.24 $337,798.01
3132WF3E7 FHLM POOL Q42596 3.50000 08/01/2046 US 2,246,177.85 $2,209,797.68
3132XTPU6 FHLM GOLD POOL FG Q51334 4.00000 10/01/2047 US 3,359,919.21 $3,381,438.89
31335AFY9 FHLM POOL G60183 4.00000 12/01/2044 US 1,039,988.3 $1,047,981.23
31335ALP1 FHLM POOL G60334 4.50000 10/01/2041 US 1,094,600.65 $1,138,557.40
31335AV54 FHLM POOL G60636 4.00000 01/01/2046 US 1,508,656.75 $1,519,755.68
31336WBS7 FHLM POOL G11850 5.50000 07/01/2020 US 20,573.82 $20,702.58
3136B1YD0 FNR 2018-31 KP 3.50000 07/25/2047 US 2,449,665.43 $2,436,710.62
31371N7J8 FEDERAL NATL MTG ASSN 123456 6.00000 12/01/2038 US 18,684.77 $20,301.68
313747206 FEDERAL RLTY INVT TR SH BEN INT US FRT 725 $95,765.25
3137A2B34 FHMS K009 X1 FLT 1.44443 08/25/2020 US 20,317,423.86 $349,140.71
3137ADTK3 FHMS K014 X1 FLT 1.32338 04/25/2021 US 2,616,426.14 $61,911.45
3137AJMG6 FMHS K016 X1 FLT 1.64995 10/25/2021 US 6,481,246.99 $232,357.24
3137AME78 FHMS K017 X1 FLT 1.45146 12/25/2021 US 8,026,860.65 $260,833.64
3137AUPF0 FHMS K021 x1 FLT 1.57841 06/25/2022 US 14,955,512.28 $634,732.88
3137B3NB0 FHMS K030 X1 FLT 0.30922 04/25/2023 US 75,285,547.1 $574,097.47
3137B4GZ3 FHMS K032 X1 FLT 0.21808 05/25/2023 US 46,708,633.22 $218,470.29
3137F4YU0 FHR 4791 BA MTGE 4.00000 03/15/2044 US 3,125,605.8 $3,187,831.30
3137FG2L8 FHR 4801 BA MTGE 4.50000 05/15/2044 US 3,124,997.75 $3,227,941.11
3138AJXA5 FEDERAL NATL MTG ASSN A15172 4.00000 08/01/2041 US 504,465.11 $511,096.50
3138EGE26 FEDERAL NATL MTG ASSN AL0152 6.00000 06/01/2040 US 720,423.16 $787,908.71
3138EHR87 FEDERAL NATL MTG ASSN AL1410 4.50000 12/01/2041 US 1,134,309.02 $1,178,005.44
3138EHXZ0 FEDERAL NATL MTG ASSN AL1595 6.00000 01/01/2040 US 524,560 $572,950.83
3138EQST0 FEDERAL NATL MTG ASSN AL7729 4.00000 06/01/2043 US 634,364.64 $642,695.87
3138ETT89 FEDERAL NATL MTG ASSN AL8674 FLT 5.65400 01/01/2049 US 1,277,452.6 $1,365,608.62
3138WDAY7 FEDERAL NATL MTG ASSN FN AS3622 3.50000 10/01/2044 US 13,602,297.53 $13,394,264.54
3138WDRZ6 FEDERAL NATL MTG ASSN AS4103 4.50000 12/01/2044 US 932,893.24 $967,641.34
3138Y6Y81 FEDERAL NATL MTG ASSN AX5234 4.50000 11/01/2044 US 917,233.23 $944,375.67
3138YTGK4 FEDERAL NATL MTG ASSN AZ2001 3.50000 05/01/2045 US 2,495,695.23 $2,457,916.04
31403DDX4 FEDERAL NATL MTG ASSN 745418 5.50000 04/01/2036 US 452,013.97 $486,976.03
3140E2GZ8 FEDERAL NATL MTG ASSN AZ9215 4.00000 10/01/2045 US 902,385.95 $910,285.44
3140EWKL8 FEDERAL NATL MTG ASSN BC2098 4.00000 06/01/2046 US 1,010,506.77 $1,017,220.34
3140EX2Y8 FEDERAL NATL MTG ASSN BC3490 3.50000 02/01/2046 US 2,089,865.09 $2,057,896.49
3140F2QS2 FEDERAL NATL MTG ASSN BC6764 3.50000 04/01/2046 US 1,593,903.43 $1,568,863.00
3140F4UB0 FEDERAL NATL MTG ASSN BC8677 4.00000 05/01/2046 US 489,079.28 $492,131.17
3140F9M51 FEDERAL NATL MTG ASSN BD2179 4.00000 07/01/2046 US 220,241.09 $221,681.60
3140FEX33 FEDERAL NATL MTG ASSN BD6997 4.00000 10/01/2046 US 798,527.23 $803,564.94
3140FEXR0 FEDERAL NATL MTG ASSN BD6987 4.00000 10/01/2046 US 1,165,095.38 $1,172,415.69
3140FPGW3 FEDERAL NATL MTG ASSN BE3812 4.00000 12/01/2046 US 859,447.67 $864,825.40
3140FTWF4 FEDERAL NATL MTG ASSN BE7845 4.50000 02/01/2047 US 1,093,069.1 $1,132,089.32
3140HPMQ7 FEDERAL NATIONAL MTGE FN BK9366 4.50000 08/01/2048 US 2,873,292.8 $2,956,705.93
3140HPUY1 FEDERAL NATL MTG ASSN FN BK9598 4.50000 08/01/2048 US 2,872,486.12 $2,955,874.82
3140Q9D42 FEDERAL NATL MTG ASSN FN CA1922 5.00000 06/01/2048 US 3,796,591.86 $3,977,379.91
3140Q9JA2 FEDERAL NATL MTGE ASSN FN CA2056 4.50000 07/01/2048 US 2,156,838.02 $2,220,782.08
3140Q9PD9 FEDERAL NATL MTG ASSN FN CA2219 5.00000 08/01/2048 US 1,914,879.05 $2,005,966.34
3140Q9T78 FEDERAL NATL MTG ASSN FN CA2373 5.00000 09/01/2048 US 7,264,795.52 $7,609,994.77
31410EKR8 FEDERAL NATL MTG ASSN 886904 6.50000 09/01/2036 US 52,612.95 $57,186.43
31410FSE6 FEDERAL NATL MTG ASSN 888017 6.00000 11/01/2021 US 23,626.26 $24,209.17
31410FV51 FEDERAL NATL MTG ASSN 888136 6.00000 12/01/2021 US 28,527.71 $29,242.72
31410G5V1 FEDERAL NATL MTG ASSN 889260 5.00000 04/01/2038 US 18,766.34 $19,750.51
31410GCD3 FEDERAL NATL MTG ASSN 888468 5.50000 09/01/2021 US 137,540.11 $139,847.67
31410GN33 FEDERAL NATL MTG ASSN 888810 5.50000 11/01/2022 US 163,809.38 $166,524.85
31410GN82 FEDERAL NATL MTG ASSN 888815 4.50000 11/01/2022 US 18,790.92 $19,194.47
31410HAQ4 MACYS RETAIL HLDGS INC 6.90000 04/01/2029 US 2,610,000 $2,740,561.78
31410KJV7 FEDERAL NATL MTG ASSN 889576 6.00000 04/01/2038 US 405,823.27 $443,960.26
31410KLD4 FEDERAL NATL MTG ASSN 889624 5.50000 05/01/2038 US 354,285.32 $380,237.11
31410LC75 FEDERAL NATL MTG ASSN 890294 5.50000 01/01/2039 US 708,426.98 $762,121.23
31410LD74 FHLM POOL 890326 5.50000 01/01/2040 US 746,284.42 $803,134.17
31411JXP6 FEDERAL NATL MTG ASSN 909786 5.50000 03/01/2037 US 140,307.81 $150,671.66
31411RHZ4 FEDERAL NATL MTG ASSN 912948 5.00000 05/01/2038 US 8,614.67 $9,011.57
31411YN90 FEDERAL NATL MTG ASSN 918516 5.50000 06/01/2037 US 54,689.91 $58,709.11
31412SSJ5 FEDERAL NATL MTG ASSN 933521 5.00000 01/01/2038 US 12,473.13 $13,147.75
31414NG73 FEDERAL NATL MTG ASSN 971022 5.00000 01/01/2039 US 33,982.66 $35,790.99
31414TS51 FEDERAL NATL MTG ASSN 975840 5.00000 05/01/2038 US 53,563.23 $56,024.64
31415LXP7 FEDERAL NATL MTG ASSN 983686 5.00000 02/01/2039 US 63,535.27 $66,543.25
31415QZX7 FEDERAL NATL MTG ASSN 986458 6.00000 08/01/2038 US 9,215.83 $9,980.15
31415SLL4 FEDERAL NATL MTG ASSN 987831 6.00000 09/01/2038 US 9,968.88 $10,724.50
31415VX26 FEDERAL NATL MTG ASSN 990897 6.00000 09/01/2038 US 30,150.81 $32,436.18
31416ADZ0 FEDERAL NATL MTG ASSN 993920 6.00000 11/01/2038 US 79,785.82 $85,833.42
31416BRR1 FEDERAL NATL MTG ASSN 995196 6.00000 07/01/2038 US 559,190.12 $611,731.22
31416BSW9 FEDERAL NATL MTG ASSN 995233 5.50000 10/01/2021 US 9,191.3 $9,303.63
31416BVW5 FEDERAL NATL MTG ASSN 995329 5.50000 12/01/2021 US 106,254.53 $108,136.74
31416HXD2 FEDERAL NATL MTG ASSN AA0675 6.00000 12/01/2038 US 13,221.67 $14,223.87
31416JWZ0 FEDERAL NATL MTG ASSN AA1563 4.50000 02/01/2024 US 16,525.21 $16,793.03
31416KAL2 FEDERAL NATL MTG ASSN AA1810 5.00000 01/01/2039 US 82,999.18 $87,449.94
31416QRJ6 FEDERAL NATL MTG ASSN AA6788 6.00000 08/01/2039 US 159,432.01 $171,706.25
31417AX61 FEDERAL NATL MTG ASSN AB4300 3.50000 01/01/2042 US 268,570.82 $265,711.19
31417JQR4 FEDERAL NATL MTG ASSN AC0463 5.00000 11/01/2039 US 58,640.52 $62,089.07
31417KWT0 FEDERAL NATL MTG ASSN AC1557 4.50000 09/01/2024 US 54,730.49 $56,106.10
31417QVD3 FEDERAL NATL MTG ASSN AC5111 5.00000 11/01/2039 US 110,211.5 $116,822.58
31417VQ30 FEDERAL NATL MTG ASSN AC8573 5.00000 01/01/2040 US 85,253.15 $90,404.31
31417YJC2 FEDERAL NATL MTG ASSN MA0258 4.50000 12/01/2039 US 898,268.81 $934,050.75
31417YJD0 FEDERAL NATL MTG ASSN MA0259 5.00000 12/01/2039 US 51,095.7 $54,161.56
31418B6G6 FEDERAL NATL MTG ASSN FN MA2670 3.00000 07/01/2046 US 2,338,738.83 $2,232,475.89
31418BBC9 FEDERAL NATL MTG ASSN MA1834 4.50000 02/01/2034 US 741,956.46 $770,317.86
31418BDH6 FEDERAL NATL MTG ASSN MA1903 4.50000 05/01/2034 US 722,842.62 $750,492.48
31418CAF1 FEDERAL NATL MTG ASSN FN MA2705 3.00000 08/01/2046 US 2,690,574.16 $2,568,323.59
31418CRE6 FEDERAL NATL MTG ASSN FN MA3184 4.50000 11/01/2047 US 3,109,564.73 $3,199,952.56
31418CZ56 FEDERAL NATL MTG ASSN FN MA3463 4.00000 09/01/2033 US 4,102,715.59 $4,190,472.84
31418MG63 FEDERAL NATL MTG ASSN AD0220 6.00000 10/01/2038 US 69,988.56 $76,715.72
31418MKV3 FEDERAL NATL MTG ASSN AD0307 5.50000 01/01/2039 US 369,211.37 $397,030.92
31418MQQ8 FEDERAL NATL MTG ASSN AD0462 5.50000 10/01/2024 US 22,509.99 $23,327.06
31419AB71 FEDERAL NATL MTG ASSN AE0061 6.00000 02/01/2040 US 214,420.51 $234,573.49
31419AU62 FEDERAL NATL MTG ASSN AE0604 6.00000 07/01/2039 US 409,713.7 $448,202.04
31428X106 FEDEX CORPORATION US FDX 7,355 $1,684,295.00
316773100 FIFTH THIRD BANCORP US FITB 5,500 $153,615.00
32054K103 FIRST INDUSTRIAL REALTY TR US FR 4,590 $147,155.40
336130AB5 FIRST QUALITY FINANCE CO 5.00000 07/01/2025 US 250,000 $228,750.00
34960PAB7 FORTRESS TRANS & INFRAST 6.50000 10/01/2025 US 260,000 $251,550.00
357081AE8 FREMF 2015-K720 B FLT 3.50661 07/25/2022 US 270,000 $266,767.97
35802XAD5 FRESENIUS MED CARE II 5.62500 07/31/2019 US 1,000,000 $1,012,680.93
36143WAN1 GAHR 2015-NRF BFX FLT 3.49490 12/15/2034 US 2,495,000 $2,480,867.57
36246MAT6 GTP AQUISITION PARTNERS 2.35000 06/15/2020 US 945,000 $926,007.77
36248EAA3 GSMS 2010-C2 3.84900 12/10/2043 US 68,679.1 $69,068.44
36295HTS9 GNMA POOL 671161 5.50000 11/15/2037 US 29,819.28 $31,858.10
363576109 ARTHUR J GALLAGHER & CO US AJG 4,010 $309,050.70
369604BQ5 GENERAL ELECTRIC CO 5.00000 01/21/2021 US 4,490,000 $3,569,550.00
37045VAR1 GENERAL MOTORS CO FLT 3.22706 09/10/2021 US 5,610,000 $5,565,541.76
37185LAF9 GENESIS ENERGY LP/GENESI 5.62500 06/15/2024 US 200,000 $175,000.00
374297109 GETTY REALTY CORP US GTY 5,565 $170,233.35
375558103 GILEAD SCIENCES INC US GILD 10,838 $779,685.72
37953TAB1 GLOBAL SHIP LEASE INC 9.87500 11/15/2022 MH 495,000 $480,768.75
38379RRX3 GNR 2017-54 AH MTGE 2.60000 12/16/2056 US 2,425,283.05 $2,262,467.74
388689101 GRAPHIC PACKAGING HOLDING CO US GPK 68,006 $815,391.94
39807UAB2 GREYSTAR REAL ESTATE PAR 5.75000 12/01/2025 US 370,000 $351,500.00
40414L109 HCP INC US HCP 10,560 $308,985.60
421946104 HEALTHCARE REALTY TRUST INC US HR 15,440 $478,640.00
42225P501 HEALTHCARE TRUST OF AMERICA US HTA 21,045 $591,785.40
42809H107 HESS CORP US HES 11,991 $646,194.99
437076102 HOME DEPOT INC US HD 7,205 $1,299,205.60
438128308 HONDA MOTOR CO LTD -SPONS ADR JP HMC 16,698 $470,382.66
438516106 HONEYWELL INTERNATIONAL INC US HON 5,812 $852,911.00
44053FAA8 HORIZON PHARMA INC/HORIZ 8.75000 11/01/2024 US 400,000 $418,000.00
44107P104 HOST MARRIOTT CORP US HST 16,960 $322,240.00
444454AD4 HUGHES SATELLITE SYSTEMS 5.25000 08/01/2026 US 463,000 $431,747.50
446150104 HUNTINGTON BANCSHARES US HBAN 10,305 $150,349.95
44891GAD6 HALST 2017-B A3 1.97000 07/15/2020 US 3,900,000 $3,875,281.02
45031UCD1 ISTAR INC 5.25000 09/15/2022 US 336,000 $320,880.00
45337C102 INCYTE CORP US INCY 51,340 $3,298,595.00
45378A106 INDEPENDENCE REALTY TRUST IN US IRT 16,210 $163,721.00
45763PAE6 INMARSAT FINANCE PLC 4.87500 05/15/2022 GB 170,000 $163,625.00
458140100 INTEL CORP US INTC 60,123 $2,964,665.13
45866F104 INTERCONTINENTALEXCHANGE INC US ICE 20,730 $1,694,055.60
459200101 INTERNATIONAL BUSINESS MACH CORP US IBM 6,470 $804,026.90
459745GH2 INTL LEASE FINANCE CORP 6.25000 05/15/2019 US 5,764,000 $5,825,208.15
46187BAA1 IHSFR 2017-SFR2 A 3.15250 12/17/2036 US 755,847.34 $754,907.82
46187BAB9 IHSFR 2017-SFR2 B 3.45250 12/17/2036 US 570,000 $573,721.76
46187W107 INVITATION HOMES INC US INVH 15,950 $342,287.00
464287739 ISHARES DJ US REAL ESTATE US 155 $12,675.90
464288513 ISHARES IBOXX H/Y CORP BOND 4.46500 US 22,945 $1,918,202.00
466032109 J&J SNACK FOODS CORP US JJSF 3,667 $575,242.29
46625H100 JP MORGAN CHASE & CO US JPM 28,776 $3,199,603.44
46625HHL7 JPMORGAN CHASE & CO 6.30000 04/23/2019 US 8,230,000 $8,329,663.57
46639GAL0 JPMMT 2013-1 1A2 3.00000 03/25/2043 US 651,443.68 $621,085.10
46640BAC8 JPMMT 2013-2 A2 3.50000 05/25/2043 US 716,500.92 $692,066.81
46641YAA1 JPMMT 2014-2 1A1 3.00000 06/25/2029 US 946,760.51 $932,263.71
46647PAY2 JPMORGAN CHASE & CO 4.02300 12/05/2024 US 4,560,000 $4,546,314.57
46647SAJ9 JPMMT 2017-3 1A5 3.50000 08/25/2047 US 2,781,363.14 $2,722,840.48
46649HAC6 JPMMT 2017-6 A3 3.50000 12/25/2048 US 1,367,619.31 $1,318,416.47
46649HAE2 JPMMT 2017-6 A5 3.50000 12/25/2048 US 2,135,238.7 $2,089,030.00
4741844 MERCK KGAA DE MRK GR 31,150 $3,448,258.27
476405105 JERNIGAN CAPITAL INC US JCAP 22,340 $477,629.20
478160104 JOHNSON & JOHNSON US JNJ 56,312 $8,272,232.80
47987LAA9 JONAH NRG LLC/FINANCE 7.25000 10/15/2025 US 495,000 $366,300.00
485170302 KANSAS CITY SOUTHERN US KSU 6,964 $717,640.20
493267108 KEYCORP US KEY 21,018 $385,470.12
49446R109 KIMCO REALTY CORP US KIM 8,495 $138,893.25
494550AW6 KINDER MORGAN ENER PART 6.95000 01/15/2038 US 7,150,000 $7,936,881.45
500472303 KONINKLIJKE PHILIPS NVR - NY ADR NL PHG 9,621 $365,116.95
500630CK2 KOREA DEVELOPMENT BANK 1.37500 09/12/2019 KR 200,000 $197,387.75
500630CR7 KOREA DEVELOPMENT BANK FLT 3.01375 09/19/2020 KR 3,000,000 $3,011,069.34
500754106 KRAFT HEINZ CO/THE US KHC 8,413 $430,072.56
50187TAE6 LGI HOMES INC 6.87500 07/15/2026 US 350,000 $316,312.50
50212YAB0 LPL HOLDINGS INC 5.75000 09/15/2025 US 215,000 $203,712.50
502160AM6 LSB INDUSTRIES 9.62500 05/01/2023 US 300,000 $306,750.00
50218LAC0 LSTAR COMMERCIAL MORTGAGE TR FLT 2.76700 01/20/2041 US 2,629.32 $2,623.90
505742AD8 LADDER CAP FIN LLLP/CORP 5.87500 08/01/2021 US 225,000 $225,000.00
529043101 LEXINGTON REALTY TRUST US LXP 16,870 $148,118.60
531172104 LIBERTY PROPERTY TRUST US LPT 7,150 $323,823.50
532457108 ELI LILLY & CO US LLY 12,917 $1,532,472.88
534187109 LINCOLN NATL CORP IND US LNC 3,385 $213,153.45
53815P108 LIVERAMP HOLDINGS INC US RAMP 53,455 $2,528,421.50
539830109 LOCKHEED MARTIN CORP US LMT 2,128 $639,315.04
550021109 LULULEMON - ADR CA LULU 23,590 $3,126,854.50
554382101 THE MACERICH CO US MAC 1,270 $63,868.30
55616XAC1 MACYS RETAIL HLDGS INC 7.00000 02/15/2028 US 2,600,000 $2,750,673.43
55933JAB0 MAGNACHIP SEMICONDUCTOR 6.62500 07/15/2021 US 386,000 $364,770.00
56585A102 MARATHON PETROLEUM CORP US MPC 5,481 $357,141.96
5671735 SANOFI-AVENTIS FR SAN FP 7,708 $698,812.98
57636Q104 MASTERCARD INC-CLASS A US MA 25,690 $5,165,488.30
580135101 MCDONALDS CORP US MCD 5,666 $1,068,097.66
58502BAC0 MEDNAX INC 6.25000 01/15/2027 US 225,000 $224,100.00
58933Y105 MERCK & CO INC US MRK 58,045 $4,605,290.30
59001ABA9 MERITAGE HOMES CORP 5.12500 06/06/2027 US 185,000 $162,800.00
594918104 MICROSOFT CORP US MSFT 50,527 $5,602,939.03
59522J103 MID-AMERICA APARTMENT COMM US MAA 2,940 $304,466.40
60871R209 MOLSON COORS BREWING CO -B US TAP 3,745 $246,308.65
609207105 MONDELEZ INTERNATIONAL INC US MDLZ 98,626 $4,436,197.48
61744YAG3 MORGAN STANLEY FLT 3.81125 05/08/2024 US 8,380,000 $8,325,662.66
62426EAA3 MOUNTAIN PROVINCE DIAMON 8.00000 12/15/2022 CA 420,000 $421,050.00
624758108 MUELLER WATER PRODUCTS INC - A US MWA 30,920 $325,587.60
62913TAM4 NGL ENRGY PART LP/FIN CO 6.12500 03/01/2025 US 290,000 $258,100.00
637417106 NATIONAL RETAIL PROPERTIES US NNN 3,350 $167,701.00
637870106 NATIONAL STORAGE AFFILIATES US NSA 2,755 $77,057.35
63938CAE8 NAVIENT CORP 7.25000 09/25/2023 US 205,000 $206,025.00
64829DAG1 NRZT 2014-3A AFX3 3.75000 11/25/2054 US 817,947.99 $817,290.36
64829EAA2 NRZT 2015-2A A1 3.75000 08/25/2055 US 899,430.35 $897,035.26
64829LAA6 NRZT 2016-4A A1 3.75000 11/25/2056 US 1,175,879.42 $1,170,654.99
651229106 NEWELL BRANDS INC US NWL 28,715 $671,931.00
66727WAA0 NORTHWEST ACQ/DOMINION 7.12500 11/01/2022 CA 420,000 $415,800.00
66987V109 NOVARTIS AG- REG CH NVS 70,425 $6,446,000.25
67103H107 O'REILLY AUTOMOTIVE INC US ORLY 1,355 $469,886.90
680223104 OLD REPUBLIC INTL CORP US ORI 12,260 $276,463.00
68323ADY7 ONTARIO (PROVINCE OF) 1.25000 06/17/2019 CA 2,044,000 $2,026,725.50
69145LAA2 OXFORD FIN LLC/CO-ISS II 6.37500 12/15/2022 US 350,000 $347,375.00
693475105 PNC FINANCIAL SERVICES GROUP US PNC 1,904 $258,525.12
70014LAC4 PARK AEROSPACE HOLDINGS 4.50000 03/15/2023 KY 371,000 $360,797.50
70338P100 PATTERN ENERGY GROUP INC -A US PEGI 12,580 $260,280.20
7123870 NESTLE SA-REGISTERED CH NESN SW 38,795 $3,309,717.77
713448108 PEPSICO INC US PEP 42,437 $5,174,767.78
71642QAB3 PDLLN 7 1/4 05/01/22 7.25000 05/01/2022 GB 225,000 $207,843.75
717081103 PFIZER INC US PFE 36,172 $1,672,231.56
71943U104 PHYSICIANS REALTY TRUST US DOC 35,845 $638,399.45
729640102 PLYMOUTH INDUSTRIAL REIT INC US 12,245 $154,409.45
733174AK2 POPULAR INC 6.12500 09/14/2023 PR 280,000 $279,650.00
741503AZ9 PRICELINE GROUP INC/THE 3.60000 06/01/2026 US 8,750,000 $8,305,550.58
74251V102 PRINCIPAL FINANCIAL GROUP US PFG 3,701 $182,533.32
74333KAA6 PROG 2017-SFR2 A 2.89700 12/17/2034 US 1,500,000 $1,449,973.50
74340W103 PROLOGIS US PLD 11,175 $752,524.50
744320AL6 PRUDENTIAL FINANCIAL INC 5.87500 09/15/2042 US 5,340,000 $5,470,189.20
74460D109 PUBLIC STORAGE INC US PSA 2,255 $480,901.30
74736K101 QORVO INC US QRVO 86,450 $5,689,274.50
756109104 REALTY INCOME CORP US O 1,520 $97,416.80
75886F107 REGENERON PHARMACEUTICALS INC US REGN 4,785 $1,749,635.25
7591EP100 REGIONS FINANCIAL CORP. US RF 16,125 $265,256.25
767204100 RIO TINTO PLC - SPON ADR GB RIO 10,713 $500,939.88
77340RAK3 ROCKIES EXPRESS PIPELINE 5.62500 04/15/2020 US 315,000 $318,150.00
780259107 ROYAL DUTCH SHELL PLC-ADR B NL RDS/B 6,585 $408,467.55
78410G104 SBA COMMUNICATIONS CORP US SBAC 10,025 $1,712,370.25
78442PGC4 SLM CORP 5.12500 04/05/2022 US 330,000 $323,400.00
78471CAB5 SOFI 2017-D A2FX 2.65000 09/25/2040 US 1,400,000 $1,358,318.78
78490DAA2 SOFI 2018-C A1FX 3.08000 01/25/2048 US 2,803,912.27 $2,796,978.19
785592AV8 SABINE PASS LIQUEFACTION 5.87500 06/30/2026 US 7,880,000 $8,294,977.35
80105N105 SANOFI-AVENTIS-ADR FR SNY 19,631 $890,265.85
80282KAE6 SANTANDER HOLDINGS USA 4.50000 07/17/2025 US 5,630,000 $5,450,649.76
806857108 SCHLUMBERGER LTD NL SLB 34,560 $1,558,656.00
808513105 CHARLES SCHWAB CORP/THE US SCHW 35,635 $1,596,448.00
81211K100 SEALED AIR CORP US SEE 80,720 $2,948,701.60
812578102 SEATTLE GENETICS INC US SGEN 40,910 $2,560,147.80
81745CAB9 SEMT 2013-7 A2 3.00000 06/25/2043 US 819,634.7 $770,237.78
81745EAA7 SEMT 2013-8 A1 3.00000 06/25/2043 US 1,002,743.67 $946,104.70
81745MAA9 SEMT 2013-2 1.87400 02/25/2043 US 830,447.76 $726,987.26
81762P102 SERVICENOW INC US NOW 9,910 $1,836,025.70
81783QAC9 SEVEN GENERATIONS ENERGY 5.37500 09/30/2025 CA 241,000 $224,130.00
822538AE4 SHELF DRILL HOLD LTD 8.25000 02/15/2025 KY 250,000 $234,375.00
828806109 SIMON PROPERTY GROUP INC US SPG 5,415 $1,005,511.35
831641FC4 SBIC 2015-10A 1 2.51700 03/10/2025 US 871,222.97 $846,766.09
831641FE0 SBIC 2015-10B 1 2.82900 09/10/2025 US 4,065,127.79 $3,986,694.40
83401BAA4 SOFI 2017-F A1FX 2.05000 01/25/2041 US 426,302.82 $422,016.56
83401BAB2 SOFI 2017-F A2FX 2.84000 01/25/2041 US 500,000 $482,264.75
83404FAB0 SOFI 2017-A A2A 1.55000 03/26/2040 US 340,511.62 $337,929.96
83405DAB4 SOFI 2017-C A2A 1.75000 07/25/2040 US 115,224.83 $114,206.78
83405JAA3 SCLP 2017-4 A 2.50000 05/26/2026 US 555,552.27 $547,373.21
83405LAA8 SCLP 2017-5 A1 2.14000 09/25/2026 US 975,916.33 $970,512.19
83406EAB1 SOFI 2018-A A2A 2.39000 02/25/2042 US 1,082,444.65 $1,070,885.44
835495102 SONOCO PRODUCTS CO US SON 17,557 $1,010,229.78
84265VAD7 SOUTHERN COPPER CORP 5.37500 04/16/2020 US 5,460,000 $5,553,180.31
844741108 SOUTHWEST AIRLS CO US LUV 5,675 $309,911.75
845467AL3 SOUTHWESTERN ENERGY CO 6.20000 01/23/2025 US 345,000 $330,768.75
85254J102 STAG INDUSTRIAL INC US STAG 15,830 $424,085.70
85571XAA5 SRPT 2014-STAR A FLTG RATE 3.52650 11/15/2027 US 2,118,873 $2,119,138.49
862121100 STORE CAPITAL CORP US STOR 3,090 $92,576.40
866674104 SUN COMMUNITIES US SUI 3,565 $371,116.50
867892101 SUNSTONE HOTEL INVESTORS INC US SHO 12,650 $193,039.00
867914103 SUNTRUST BANKS INC US STI 4,085 $256,088.65
874039100 TAIWAN SEMICONDUCTOR - SP ADR TW TSM 33,671 $1,265,692.89
87612E106 TARGET CORP US TGT 6,346 $450,312.16
87677QAA9 TXEZ 2016-1A 3.13100 06/15/2028 US 420,355.49 $418,677.77
87854WAA1 TECHNIPLAS LLC 10.00000 05/01/2020 US 300,000 $278,250.00
88104LAE3 TERRAFORM POWER OPERATIN 5.00000 01/31/2028 US 190,000 $170,107.00
882508104 TEXAS INSTRUMENTS INC US TXN 7,984 $797,202.40
88579Y101 3M CO US MMM 5,823 $1,210,718.16
88650V208 TIER REIT INC US TIER 12,820 $301,782.80
89173CAA5 TPMT 2016-5 A1 2.50000 10/25/2056 US 1,903,164.06 $1,847,858.49
89613BAA5 TAH 2016-SFR1 A 2.58900 11/17/2033 US 1,801,256.3 $1,730,437.39
89613FAA6 TAH 2017-SFR2 A 2.92800 01/17/2036 US 1,843,033.94 $1,753,196.73
901109AF5 TUTOR PERINI CORP 6.87500 05/01/2025 US 359,000 $344,640.00
902653104 UDR INC US UDR 9,130 $389,120.60
902973304 U.S. BANCORP US USB 13,310 $724,862.60
903002103 UMH PROPERTIES INC US UMH 6,480 $84,434.40
90320MAA3 UPCB FINANCE IV LTD 5.37500 01/15/2025 KY 225,000 $215,860.50
904767704 UNILEVER PLC - ADR GB UL 73,002 $3,963,278.58
907818108 UNION PAC CORP US UNP 5,966 $917,451.48
911312106 UNITED PARCEL SERVICE US UPS 6,848 $789,505.92
912810FM5 UNITED STATES TREAS BOND 6.25000 05/15/2030 US 6,958,000 $9,099,759.38
912810PT9 UNITED STATES TREAS BOND 4.75000 02/15/2037 US 10,907,000 $13,336,363.88
912810QV3 UNITED STATES TREAS INFL INDEX 0.75000 02/15/2042 US 4,775,497.63 $4,280,599.39
912810RK6 US TREASURY N/B 2.50000 02/15/2045 US 10,673,000 $9,146,677.64
912828D23 US TREASURY N/B 1.62500 04/30/2019 US 55,159,000 $54,956,462.77
912828K33 UNITED STATES TREAS INFL INDEX 0.12500 04/15/2020 US 46,311,100.36 $45,409,601.53
912828R28 US TREASURY N/B 1.62500 04/30/2023 US 19,465,000 $18,470,460.16
912828R36 US TREASURY N/B 1.62500 05/15/2026 US 20,150,000 $18,375,068.31
912828UH1 UNITED STATES TREAS INFL INDEX 0.12500 01/15/2023 US 4,689,899.3 $4,517,039.22
912828XB1 UNITED STATES TREAS NTS 2.12500 05/15/2025 US 18,885,000 $17,999,765.63
912828XQ8 US TREASURY N/B 2.00000 07/31/2022 US 43,860,000 $42,559,619.42
913017109 UNITED TECHNOLOGIES CORP US UTX 6,165 $751,143.60
91704F104 URBAN EDGE PROPERTIES US UE 14,315 $285,441.10
91913Y100 VALERO ENERGY US VLO 4,775 $381,522.50
92276F100 VENTAS INC US VTR 2,920 $185,390.80
92339V100 VEREIT INC US VER 33,010 $252,526.50
92343V104 VERIZON COMMUNICATIONS US VZ 13,580 $818,874.00
92343VDV3 VERIZON COMMUNICATIONS 5.50000 03/16/2047 US 7,950,000 $8,293,218.43
92532F100 VERTEX PHARMACEUTICALS INC US VRTX 7,575 $1,369,484.25
92826C839 VISA INC - CLASS A SHARES US V 34,570 $4,898,914.70
92903PAC3 VNO 2010 - VNO A2FX 4.00350 09/13/2028 US 155,000 $157,347.24
929042109 VORNADO REALTY TRUST US VNO 5,430 $390,742.80
92922PAL0 W & T OFFSHORE INC 9.75000 11/01/2023 US 260,000 $235,300.00
92935JBC8 WF-RBS COMMERCIAL MORTGAGE T FLT 4.86900 02/15/2044 US 835,015.48 $857,885.72
92960PAA7 W/S PACKAGING HOLDINGS 9.00000 04/15/2023 US 355,000 $360,325.00
931142103 WAL MART STORES US WMT 17,465 $1,705,457.25
931427108 WALGREENS BOOTS ALLIANCE INC US WBA 6,801 $575,840.67
94106L109 WASTE MANAGEMENT INC US WM 9,915 $929,531.25
94856UAA9 WEEKLEY HOMES LLC/ FINAN 6.62500 08/15/2025 US 350,000 $324,625.00
948741103 WEINGARTEN REALTY INVESTORS US WRI 7,965 $229,869.90
949746101 WELLS FARGO COMPANY US WFC 45,475 $2,468,383.00
94987MAB7 WELLS FARGO COMMERCIAL MORTGAGE 4.39300 11/15/2043 US 265,000 $269,031.45
95040Q104 WELLTOWER INC. US WELL 3,775 $273,045.75
962178AL3 TRI POINTE HOLDINGS INC 4.37500 06/15/2019 US 340,000 $338,198.00
962178AN9 TRI POINTE GROUP / HOMES 5.87500 06/15/2024 US 260,000 $233,012.00
96949LAD7 WILLIAMS PARTNERS LP 3.75000 06/15/2027 US 4,410,000 $4,076,638.97
97651JAE6 WINWATER MORTGAGE LOAN TRUST 3.50000 03/20/2045 US 836,752.58 $833,466.49
97652TAA1 WIN 2015-1 A1 3.50000 01/20/2045 US 997,887.35 $974,369.24
98919V105 ZAYO GROUP HOLDINGS INC US ZAYO 32,390 $852,504.80
AP8694550 BOREALIS FINANCE LLC 7.50000 11/16/2022 MH 440,000 $420,200.00
B296BQ5 STORAGEVAULT CANADA INC CA SVI CN 23,295 $44,358.07
B29TNV3 INNERGEX RENEWABLE ENERGY CA INE CN 21,975 $208,064.95
B3FP8W8 CANADA HOUSING TRUST 4.10000 12/15/2018 CA 268,000 $201,819.44
B3ZD2V9 MEX BONOS DESARR FIX RT 6.50000 06/10/2021 MX 2,725,000 $127,321.75
B4888C1 CANADIAN GOVERNMENT FLT 2.75000 06/01/2022 CA 327,000 $250,588.84
B4NDCC9 MEX BONOS DESARR FIX RT 6.50000 06/09/2022 MX 4,996,000 $228,323.00
B4YN9R2 SINGAPORE GOVERNMENT 2.50000 06/01/2019 SG 590,000 $431,049.64
B615Y14 MEX BONOS DESARR FIX RT 8.00000 06/11/2020 MX 7,267,000 $354,350.04
B68XHC3 NORTHLAND POWER INC CA NPI CN 12,995 $218,498.70
B6TC406 MEX BONOS DESARR FIX RT 7.75000 05/29/2031 MX 908,000 $39,315.18
BBG00MBFLVG6 QRVO US 12/21/18 C67.5 US -193 -$30,880.00
BBG00MCR9B13 BABA US 12/07/18 C165 CN -60 -$13,200.00
BBG00MD5C001 NOW US 12/07/18 C205 US -49 -$490.00
BBG00MHMRQ16 GOOG US 12/28/18 C1110 US -11 -$21,670.00
BD82246 EAGLE BULK SHIPCO 8.25000 11/28/2022 MH 196,000 $191,100.00
BF955D8 TELENET FINANCE LUX NOTE 5.50000 03/01/2028 LU 400,000 $366,000.00
BFYM460 UNIBAIL-RODAMCO-WESTFIELD FR URW NA 1,105 $189,948.26
BGHQ198 HIBERNIA REIT PLC IE HBRN ID 96,180 $148,084.82
BMMV2K8 TENCENT HOLDINGS LTD CN 700 HK 96,160 $3,844,346.49
BP9DL90 INDUSTRIA DE DISENO TEXTIL ES ITX SM 73,590 $2,261,791.66
BYYHL23 ANHEUSER-BUSCH INBEV SA/NV BE ABI BB 55,530 $4,266,394.96
G3157S106 ENSCO INTERNATIONAL INC US ESV 128,760 $730,069.20
G37585AC3 GASLOG LTD 8.87500 03/22/2022 BM 430,000 $445,050.00
G51502105 JOHNSON CONTROLS INTERNATIONAL US JCI 16,055 $558,392.90
G5960L103 MEDTRONIC INC IE MDT 61,475 $5,995,656.75
G96629103 WILLIS TOWERS WATSON PLC GB WLTW 1,650 $263,092.50
H1467J104 CHUBB LTD CH CB 2,585 $345,717.90
H8817H100 TRANSOCEAN LTD US RIG 82,610 $766,620.80
N47279109 INTERXION HOLDING NV NL INXN 47,890 $2,982,110.30
N53745100 LYONDELLBASELL INDU-CL A US LYB 3,912 $365,028.72
USD US DOLLAR US 9,267,024.3 $9,267,024.30

Investments will change over time.

Distributions

  • Pro-Blend® Conservative Term Series Class R Distribution History
  • 2018 Distribution Calendar
  • Fourth Quarter 2017 Distributions
  • Third Quarter 2018 Distributions
  • Second Quarter 2018 Distributions
  • First Quarter 2018 Distributions
  • Tax Letter
  • Fourth Quarter 2018 Distribution Estimates

A Word About Risk

All investments involve risks, including possible loss of principal. Because the fund invests in both stocks and bonds, the value of your investment will fluctuate in response to stock market movements and changes in interest rates. Investing in the fund will also involve a number of other risks, including issuer-specific risk, foreign investment risk, and small-cap/mid-cap risk. Investments in options and futures, like all derivatives, can be highly volatile and involve risks in addition to the risks of the underlying instrument on which the derivative is based, such as counterparty, correlation and liquidity risk. Also, the use of leverage increases exposure to the market and may magnify potential losses.

Daily Price

$9.75

Daily $ Change

$0.00

Daily % Change

0.00%

as of 12/10/2018

Ticker

MNCRX

CUSIP

563821628

Inception Date

06/30/2010

Investment Minimum

$2,000.00

Investment minimum may be waived for certain qualified retirement plans, participants in an automatic investment program, and discretionary investment accounts of the Advisor.

Important Documents

Summary Prospectus
Prospectus
Statement of Additional Information
Annual Report
Semi-Annual Report
Fact Sheet
Applications & Forms
XBRL-3/20/18

Investment Objective

To provide capital preservation, with income and capital growth as secondary objectives.

Investment Strategy

The portfolio is invested in a conservative mix of stocks, bonds, alternatives, and cash that seeks stability with some growth and income potential. Holdings are diversified primarily among fixed income securities, typically focusing on short to intermediate-term maturities. Stock investments may be focused on dividend paying securities in pursuit of growth opportunities and income generation.

The fund manager will adjust the investment mix over time to manage risk by continually evaluating individual securities and market conditions to determine the relative attractiveness of each investment. In general, stock exposure will increase when valuations are low and decrease during speculative markets.

May be Appropriate for Investors

  • Who seek to minimize declines in account value with the potential for modest capital growth and income generation
  • Who want to assume a minimal amount of capital risk through limited stock exposure

About Risk-Based Funds

Risk-based funds offer professional management and asset allocation through a choice of investment objectives that range from fairly aggressive to fairly conservative. All an investor has to do is determine which objective best suits his or her current risk tolerance and investment time horizon, then decide when to move to a different objective as his or her personal situation changes over the years.

Time Horizon & Range of Stock Exposure

Conservative Term Moderate Term Extended Term Maximum Term
0-5 Years 3-10 Years 7-20 Years 15+ Years
15-45% 20-60% 40-70% 70-95%

Generally, the longer your time horizon, the more aggressive your investment objective can be. Greater stock exposure is typically associated with higher return potential and higher capital risk.

Manning and Napier Risk-Based Funds Graphic

Learn more about our Pro-Blend® Series

Performance

As of 11/30/2018

YTD

-0.85%

1 Year

-0.26%

3 Year

3.18%

5 Year

2.48%

10 Year

5.08%

Inception
(11/01/1995)

5.19%

US Stock Market Cycle (04/01/2000 - 11/30/2018)

5.09%

Inception performance is based on the Pro-Blend® Conservative Term Series Class S inception of 11/01/1995. For periods through 06/30/2010 (the inception date of the Class R shares), performance for the Class R shares is hypothetical and is based on the historical performance of the Class S shares adjusted for the Class R shares’ charges and expenses. Performance data quoted represents past performance and does not guarantee future results. Performance for periods greater than one year is annualized. The investment return and principal value of an investment will fluctuate, so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be higher or lower than that quoted.

Expense Ratio

Gross 1.18%*

Includes a 12b-1 fee of 0.50%, of which up to 0.25% is available as a shareholder servicing fee.

Top Ten Investments

As of 11/30/2018

TREASURY NOTES 17.35%
GOVERNMENT AGENCY 11.45%
UNITED STATES TREAS INFL INDEX 0.12500 04/15/2020 5.17%
TREASURY BONDS 3.60%
EXPORT-IMPORT BANK KOREA 2.62500 12/30/2020 0.98%
BANK OF AMERICA CORP 4.00000 01/22/2025 0.95%
JPMORGAN CHASE & CO 6.30000 04/23/2019 0.95%
MORGAN STANLEY FLT 3.81125 05/08/2024 0.95%
PRICELINE GROUP INC/THE 3.60000 06/01/2026 0.95%
SABINE PASS LIQUEFACTION 5.87500 06/30/2026 0.94%

This investment list is unaudited and excludes cash.

Asset Allocation

As of 11/30/2018

Bonds
71.16%
Stocks
27.80%
Cash
1.04%

Detailed Asset Class Allocation

As of 11/30/2018

International Equities
6.70%
Small Capitalization
0.78%
Mid Capitalization
2.48%
Large Capitalization
17.84%
Long Term Fixed Income
17.66%
Intermediate Term Fixed Income
34.89%
Short Term Fixed Income
18.61%
Cash
1.04%

Due to rounding, the sum of the detailed asset class allocation categories may not equal the asset allocation totals provided above.

November Fund Holdings

As of 11/30/2018

CUSIP Security Description Country Ticker Shares/Par Market Value (USD)
000375204 ABB LTD-SPON ADR CH ABB 21,082 $427,542.96
00101JAM8 ADT CORP 5.25000 03/15/2020 US 165,000 $166,237.50
00206RDQ2 AT&T INC 4.25000 03/01/2027 US 5,690,000 $5,484,641.81
00254EML3 SWEDISH EXPORT CREDIT 1.12500 08/28/2019 SE 4,996,000 $4,936,072.33
00287Y109 ABBVIE INC US ABBV 10,278 $968,907.06
00289XAA7 ABENGOA YIELD PLC 7.00000 11/15/2019 GB 440,000 $448,800.00
004239109 ACADIA REALTY TRUST US AKR 3,200 $91,744.00
00774MAG0 AERCAP IRELAND CAP / GLOBA 4.45000 10/01/2025 IE 5,640,000 $5,489,967.82
008492100 AGREE REALTY CORP US ADC 2,150 $128,075.50
00928QAK7 AIRCASTLE LTD 6.25000 12/01/2019 BM 225,000 $230,022.43
015271109 ALEXANDRIA REAL EST EQUITIES US ARE 705 $87,772.50
01609W102 ALIBABA GROUP - ADR CN BABA 11,130 $1,790,371.80
01748XAA0 ALLEGIANT TRAVEL CO 5.50000 07/15/2019 US 254,000 $254,000.00
020002101 ALLSTATE CORPORATION US ALL 2,545 $226,988.55
02005NAT7 ALLY FINANCIAL INC 3.50000 01/27/2019 US 235,000 $234,339.65
02079K107 ALPHABET INC-CL C US GOOG 2,650 $2,900,239.50
02079K305 ALPHABET INC-CL A US GOOGL 1,430 $1,586,799.50
023135106 AMAZON.COM INC US AMZN 910 $1,538,054.70
02319V103 AMBEV SA-ADR BR ABEV 411,680 $1,757,873.60
0237400 DIAGEO PLC GB DGE LN 101,321 $3,659,032.88
02376RAA0 AMERICAN AIRLINES GROUP 5.50000 10/01/2019 US 225,000 $226,406.25
024835100 AMERICAN CAMPUS COMMUNITIES US ACC 2,380 $104,315.40
02665T306 AMERICAN HOMES 4 RENT- A US AMH 18,310 $381,397.30
02666TAA5 AMERICAN HOMES 4 RENT 4.25000 02/15/2028 US 5,840,000 $5,513,127.67
02753GAA7 AMERICAN MIDSTREAM PTR/F 9.50000 12/15/2021 US 270,000 $261,225.00
03027X100 AMERICAN TOWER REIT INC US AMT 11,560 $1,901,504.40
03063NAA5 AMERICOLD LLC TRUST 3.84730 01/14/2029 US 130,232.83 $130,986.51
03064D108 AMERICOLD REALTY TRUST US COLD 3,305 $88,574.00
031162100 AMGEN INC US AMGN 5,074 $1,056,660.50
03748R101 APARTMENT INVT & MGMT CO -A US AIV 6,600 $310,794.00
037833100 APPLE COMPUTER INC US AAPL 3,804 $679,318.32
03784Y200 APPLE HOSPITALITY REIT INC US APLE 5,445 $86,412.15
03969AAL4 ARDAGH PKG FIN/HLDGS USA 6.00000 02/15/2025 IE 220,000 $204,875.00
03990B101 ARES MANAGEMENT CORP - A US ARES 18,655 $418,618.20
053015103 AUTOMATIC DATA PROCESSING US ADP 4,205 $619,901.10
053484101 AVALONBAY COMMUNITIES INC US AVB 3,950 $752,751.50
055622104 BP PLC-SPONS ADR GB BP 19,739 $796,468.65
05604LAA0 BWAY 2015-1740 A 2.91700 01/10/2035 US 4,633,000 $4,428,712.50
058498106 BALL CORP US BLL 80,000 $3,928,800.00
060505104 BANK OF AMERICA CORP US BAC 50,700 $1,439,880.00
06051GFM6 BANK OF AMERICA CORP 4.00000 01/22/2025 US 8,600,000 $8,341,199.17
084670702 BERKSHIRE HATHAWAY INC-CL B US BRK/B 11,080 $2,418,099.20
088606108 BHP GROUP LTD AU BHP 14,180 $629,024.80
09061G101 BIOMARIN PHARMACEUTICAL INC US BMRN 17,495 $1,680,044.85
09247X101 BLACKROCK INC US BLK 2,645 $1,132,086.45
09253U108 BLACKSTONE GROUP LP/THE US BX 15,600 $526,188.00
096630AE8 BOARDWALK PIPELINES LP 5.95000 06/01/2026 US 7,910,000 $8,054,727.85
097023105 BOEING CO US BA 3,734 $1,294,801.84
09857L108 BOOKING HOLDINGS INC US BKNG 2,700 $5,108,076.00
0989529 ASTRAZENECA PLC GB AZN LN 7,360 $573,113.50
101121101 BOSTON PROPERTIES INC US BXP 4,290 $562,848.00
105368203 BRANDYWINE REALTY TRUST US BDN 21,770 $310,657.90
110122108 BRISTOL MYERS SQUIBB CO US BMY 55,952 $2,991,193.92
11135F101 BROADCOM INC US AVGO 2,450 $581,654.50
1248EPBR3 CCO HLDGS LLC/CAP CORP 5.50000 05/01/2026 US 255,000 $247,350.00
12503M108 CBOE GLOBAL MARKETS INC US CBOE 14,940 $1,607,842.80
12572Q105 CME GROUP INC US CME 8,730 $1,659,398.40
125896100 CMS ENERGY CORP US CMS 9,856 $513,399.04
12592BAB0 CNH INDUSTRIAL CAPITAL L 3.37500 07/15/2019 US 5,700,000 $5,678,853.00
12592TAA3 COMM 2015-3BP A FLT 3.17800 02/10/2035 US 500,000 $483,776.70
12629NAF2 COMM 2015-DC1 A5 FLT 3.35000 02/10/2048 US 4,455,000 $4,345,030.11
126307AU1 CSC HOLDINGS LLC 5.50000 05/15/2026 US 235,000 $227,582.81
12646XAH5 CSMC 2013-IVR3 A1 2.50000 05/25/2043 US 1,284,506.85 $1,189,211.98
126650100 CVS HEALTH CORP US CVS 7,984 $640,316.80
12770QAA3 CZR 2017-VICI A 3.53100 10/15/2034 US 2,520,000 $2,516,059.48
14314WAD3 CARMX 2017-3 A3 1.97000 04/15/2022 US 2,173,000 $2,139,123.15
149123101 CATERPILLAR INC US CAT 3,423 $464,398.41
149806AA9 CAZ 2015-1A A 2.00000 12/10/2023 US 111,937.77 $111,378.08
14980AAA0 CAZENOVIA CREEK FUNDING LLC 3.56070 07/15/2030 US 2,309,846.82 $2,302,616.54
156504AH5 CENTURY COMMUNITIES 5.87500 07/15/2025 US 498,000 $448,822.50
165183AL8 CFII 2017-2A A1 1.99000 05/15/2029 US 6,616,510.16 $6,538,771.46
165183BB9 CFII 2017-4A A1 2.12000 11/15/2029 US 1,911,873.62 $1,888,026.06
165240102 CHESAPEAKE LODGING TRUST US CHSP 4,635 $137,056.95
166764100 CHEVRON CORP US CVX 6,476 $770,255.44
16941R108 CHINA PETROLEUM & CHEM-ADR CN SNP 8,966 $765,158.44
17275R102 CISCO SYSTEMS INC US CSCO 28,948 $1,385,740.76
172967424 CITIGROUP INC US C 18,373 $1,190,386.67
172967EW7 CITIGROUP INC 8.12500 07/15/2039 US 5,895,000 $8,053,843.79
191216100 COCA COLA CO/THE US KO 65,615 $3,306,996.00
194162103 COLGATE-PALMOLIVE CO US CL 13,692 $869,715.84
19626G108 COLONY CAPITAL INC US CLNY 65,948 $406,239.68
199908104 COMFORT SYSTEMS US FIX 6,275 $330,441.50
20030N101 COMCAST CORP-CL A US CMCSA 23,567 $919,348.67
20369C106 COMMUNITY HEALTHCARE TRUST I US CHCT 15,202 $479,471.08
2099084 BORALEX INC -A CA BLX CN 13,245 $178,440.90
21871N101 CORECIVIC INC US CXW 20,070 $440,536.50
21987BAK4 CODELCO INC 5.62500 09/21/2035 CL 1,710,000 $1,805,214.78
222795106 COUSINS PROPERTIES INC US CUZ 37,900 $320,255.00
22282E102 COVANTA HOLDING CORP US CVA 36,905 $611,146.80
22282EAH5 COVANTA HOLDING CORP 6.00000 01/01/2027 US 235,000 $218,550.00
22530LAA4 CAALT 2017-1A A 2.56000 10/15/2025 US 1,445,000 $1,438,088.71
22663AAA7 ORTHO-CLINICAL DIAGNOSTI 6.62500 05/15/2022 US 245,000 $235,812.50
22822V101 CROWN CASTLE INTL CORP US CCI 8,468 $972,973.20
22944PAA5 CSMC 2013-TH1 A1 2.13000 02/25/2043 US 837,749.54 $765,907.49
229663109 CUBESMART US CUBE 2,530 $78,784.20
23311RAD8 DCP MIDSTREAM OPERATING 5.35000 03/15/2020 US 165,000 $166,650.00
23918K108 DAVITA INC. US DVA 26,860 $1,774,371.60
23918KAR9 DAVITA INC 5.00000 05/01/2025 US 285,000 $267,187.50
247361702 DELTA AIR LINES INC. US DAL 6,185 $375,491.35
25271C102 DIAMOND OFFSHORE DRILLING US DO 48,385 $609,651.00
253393102 DICK'S SPORTING GOODS INC US DKS 11,755 $422,944.90
253868103 DIGITAL REALTY TRUST INC US DLR 7,580 $872,003.20
25470DAT6 DISCOVERY COMMUNICATIONS 5.20000 09/20/2047 US 5,860,000 $5,403,217.63
256677105 DOLLAR GENERAL CORP US DG 6,330 $702,566.70
26078J100 DOWDUPONT INC US DWDP 10,575 $611,763.75
26151AAA7 DRAX FINCO PLC 6.62500 11/01/2025 GB 350,000 $343,875.00
26780TAA5 DYNAGAS LNG PARTNERS/FIN 6.25000 10/30/2019 MH 359,000 $355,858.75
269246401 ETRADE FINANCIAL CORP US ETFC 16,680 $872,197.20
2715777 QUEBECOR INC -CL B CA QBR/B CN 43,590 $940,597.82
277276101 EASTGROUP PROPERTIES US EGP 875 $87,517.50
2801836 SHAW COMMUNICATIONS INC-B CA SJR/B CN 40,835 $768,662.44
285512109 ELECTRONIC ARTS US EA 25,200 $2,118,564.00
291011104 EMERSON ELEC CO US EMR 6,705 $452,721.60
29372EBS6 EFF 2016-2 A2 1.74000 02/22/2022 US 77,043.94 $76,696.99
29372EBT4 EFF 2016-2 A3 2.04000 02/22/2022 US 980,000 $966,536.86
29444U700 EQUINIX INC US EQIX 8,695 $3,350,009.60
29472R108 EQUITY LIFESTYLE PROPERTIES US ELS 2,055 $204,534.15
29476L107 EQUITY RESIDENTIAL US EQR 8,575 $610,968.75
297178105 ESSEX PROPERTY TRUST INC US ESS 1,435 $376,701.85
30161N101 EXELON CORP US EXC 6,965 $323,106.35
302154BV0 EXPORT-IMPORT BANK KOREA 2.62500 12/30/2020 KR 8,725,000 $8,589,858.48
30225T102 EXTRA SPACE STORAGE INC US EXR 1,920 $184,281.60
30231G102 EXXON MOBIL CORP US XOM 24,758 $1,968,261.00
302491303 FMC CORP US FMC 8,935 $739,281.90
30251JAA9 FDIC 2011-R1 A 2.67200 07/25/2026 US 138,074.21 $137,373.75
30261KAN6 FREMF 2012-K711 B 3.68865 08/25/2045 US 2,200,000 $2,199,517.32
30262DAL5 FREMF 2011-K13 B 4.76806 01/25/2048 US 2,255,000 $2,301,478.48
30262SAR9 FREMF 2015-K42 B FLT 3.98325 12/25/2024 US 490,000 $483,372.11
30264DAA7 FS ENERGY & POWER FUND 7.50000 08/15/2023 US 355,000 $347,900.00
30286XAN9 FREMF 2015-K43 B FLT 3.86206 02/25/2048 US 500,000 $488,723.75
30287EAE0 FREMF 2014-K41 B FLT 3.96255 11/25/2047 US 2,227,000 $2,199,998.29
30291EAE4 FREMF 2013-K712 B FLT 3.47306 05/25/2045 US 1,025,000 $1,022,730.04
30291HAA5 FREMF 2013-K28 X2A 0.10000 06/25/2046 US 199,141,950 $667,643.30
30291YAJ9 FREMF 2014-K716 B FLT 4.08069 08/25/2047 US 2,624,000 $2,647,763.73
3128LCD86 FHLM POOL A78227 5.50000 06/01/2038 US 124,454.13 $133,630.56
3128M56M7 FHLM POOL G04176 5.50000 05/01/2038 US 117,543.01 $126,459.37
3128M5VT4 FHLM POOL G03926 6.00000 02/01/2038 US 346,681.16 $380,535.55
3128M6JQ2 FHLM POOL G04471 5.50000 07/01/2038 US 40,206.32 $43,186.90
3128M6SU3 FHLM POOL G04731 5.50000 04/01/2038 US 255,859.49 $275,935.80
3128M6T99 FHLM POOL G04776 5.50000 07/01/2038 US 263,600.17 $283,276.21
3128M73P9 FHLM POOL G05906 6.00000 04/01/2040 US 72,552.06 $79,660.64
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680223104 OLD REPUBLIC INTL CORP US ORI 12,260 $276,463.00
68323ADY7 ONTARIO (PROVINCE OF) 1.25000 06/17/2019 CA 2,044,000 $2,026,725.50
69145LAA2 OXFORD FIN LLC/CO-ISS II 6.37500 12/15/2022 US 350,000 $347,375.00
693475105 PNC FINANCIAL SERVICES GROUP US PNC 1,904 $258,525.12
70014LAC4 PARK AEROSPACE HOLDINGS 4.50000 03/15/2023 KY 371,000 $360,797.50
70338P100 PATTERN ENERGY GROUP INC -A US PEGI 12,580 $260,280.20
7123870 NESTLE SA-REGISTERED CH NESN SW 38,795 $3,309,717.77
713448108 PEPSICO INC US PEP 42,437 $5,174,767.78
71642QAB3 PDLLN 7 1/4 05/01/22 7.25000 05/01/2022 GB 225,000 $207,843.75
717081103 PFIZER INC US PFE 36,172 $1,672,231.56
71943U104 PHYSICIANS REALTY TRUST US DOC 35,845 $638,399.45
729640102 PLYMOUTH INDUSTRIAL REIT INC US 12,245 $154,409.45
733174AK2 POPULAR INC 6.12500 09/14/2023 PR 280,000 $279,650.00
741503AZ9 PRICELINE GROUP INC/THE 3.60000 06/01/2026 US 8,750,000 $8,305,550.58
74251V102 PRINCIPAL FINANCIAL GROUP US PFG 3,701 $182,533.32
74333KAA6 PROG 2017-SFR2 A 2.89700 12/17/2034 US 1,500,000 $1,449,973.50
74340W103 PROLOGIS US PLD 11,175 $752,524.50
744320AL6 PRUDENTIAL FINANCIAL INC 5.87500 09/15/2042 US 5,340,000 $5,470,189.20
74460D109 PUBLIC STORAGE INC US PSA 2,255 $480,901.30
74736K101 QORVO INC US QRVO 86,450 $5,689,274.50
756109104 REALTY INCOME CORP US O 1,520 $97,416.80
75886F107 REGENERON PHARMACEUTICALS INC US REGN 4,785 $1,749,635.25
7591EP100 REGIONS FINANCIAL CORP. US RF 16,125 $265,256.25
767204100 RIO TINTO PLC - SPON ADR GB RIO 10,713 $500,939.88
77340RAK3 ROCKIES EXPRESS PIPELINE 5.62500 04/15/2020 US 315,000 $318,150.00
780259107 ROYAL DUTCH SHELL PLC-ADR B NL RDS/B 6,585 $408,467.55
78410G104 SBA COMMUNICATIONS CORP US SBAC 10,025 $1,712,370.25
78442PGC4 SLM CORP 5.12500 04/05/2022 US 330,000 $323,400.00
78471CAB5 SOFI 2017-D A2FX 2.65000 09/25/2040 US 1,400,000 $1,358,318.78
78490DAA2 SOFI 2018-C A1FX 3.08000 01/25/2048 US 2,803,912.27 $2,796,978.19
785592AV8 SABINE PASS LIQUEFACTION 5.87500 06/30/2026 US 7,880,000 $8,294,977.35
80105N105 SANOFI-AVENTIS-ADR FR SNY 19,631 $890,265.85
80282KAE6 SANTANDER HOLDINGS USA 4.50000 07/17/2025 US 5,630,000 $5,450,649.76
806857108 SCHLUMBERGER LTD NL SLB 34,560 $1,558,656.00
808513105 CHARLES SCHWAB CORP/THE US SCHW 35,635 $1,596,448.00
81211K100 SEALED AIR CORP US SEE 80,720 $2,948,701.60
812578102 SEATTLE GENETICS INC US SGEN 40,910 $2,560,147.80
81745CAB9 SEMT 2013-7 A2 3.00000 06/25/2043 US 819,634.7 $770,237.78
81745EAA7 SEMT 2013-8 A1 3.00000 06/25/2043 US 1,002,743.67 $946,104.70
81745MAA9 SEMT 2013-2 1.87400 02/25/2043 US 830,447.76 $726,987.26
81762P102 SERVICENOW INC US NOW 9,910 $1,836,025.70
81783QAC9 SEVEN GENERATIONS ENERGY 5.37500 09/30/2025 CA 241,000 $224,130.00
822538AE4 SHELF DRILL HOLD LTD 8.25000 02/15/2025 KY 250,000 $234,375.00
828806109 SIMON PROPERTY GROUP INC US SPG 5,415 $1,005,511.35
831641FC4 SBIC 2015-10A 1 2.51700 03/10/2025 US 871,222.97 $846,766.09
831641FE0 SBIC 2015-10B 1 2.82900 09/10/2025 US 4,065,127.79 $3,986,694.40
83401BAA4 SOFI 2017-F A1FX 2.05000 01/25/2041 US 426,302.82 $422,016.56
83401BAB2 SOFI 2017-F A2FX 2.84000 01/25/2041 US 500,000 $482,264.75
83404FAB0 SOFI 2017-A A2A 1.55000 03/26/2040 US 340,511.62 $337,929.96
83405DAB4 SOFI 2017-C A2A 1.75000 07/25/2040 US 115,224.83 $114,206.78
83405JAA3 SCLP 2017-4 A 2.50000 05/26/2026 US 555,552.27 $547,373.21
83405LAA8 SCLP 2017-5 A1 2.14000 09/25/2026 US 975,916.33 $970,512.19
83406EAB1 SOFI 2018-A A2A 2.39000 02/25/2042 US 1,082,444.65 $1,070,885.44
835495102 SONOCO PRODUCTS CO US SON 17,557 $1,010,229.78
84265VAD7 SOUTHERN COPPER CORP 5.37500 04/16/2020 US 5,460,000 $5,553,180.31
844741108 SOUTHWEST AIRLS CO US LUV 5,675 $309,911.75
845467AL3 SOUTHWESTERN ENERGY CO 6.20000 01/23/2025 US 345,000 $330,768.75
85254J102 STAG INDUSTRIAL INC US STAG 15,830 $424,085.70
85571XAA5 SRPT 2014-STAR A FLTG RATE 3.52650 11/15/2027 US 2,118,873 $2,119,138.49
862121100 STORE CAPITAL CORP US STOR 3,090 $92,576.40
866674104 SUN COMMUNITIES US SUI 3,565 $371,116.50
867892101 SUNSTONE HOTEL INVESTORS INC US SHO 12,650 $193,039.00
867914103 SUNTRUST BANKS INC US STI 4,085 $256,088.65
874039100 TAIWAN SEMICONDUCTOR - SP ADR TW TSM 33,671 $1,265,692.89
87612E106 TARGET CORP US TGT 6,346 $450,312.16
87677QAA9 TXEZ 2016-1A 3.13100 06/15/2028 US 420,355.49 $418,677.77
87854WAA1 TECHNIPLAS LLC 10.00000 05/01/2020 US 300,000 $278,250.00
88104LAE3 TERRAFORM POWER OPERATIN 5.00000 01/31/2028 US 190,000 $170,107.00
882508104 TEXAS INSTRUMENTS INC US TXN 7,984 $797,202.40
88579Y101 3M CO US MMM 5,823 $1,210,718.16
88650V208 TIER REIT INC US TIER 12,820 $301,782.80
89173CAA5 TPMT 2016-5 A1 2.50000 10/25/2056 US 1,903,164.06 $1,847,858.49
89613BAA5 TAH 2016-SFR1 A 2.58900 11/17/2033 US 1,801,256.3 $1,730,437.39
89613FAA6 TAH 2017-SFR2 A 2.92800 01/17/2036 US 1,843,033.94 $1,753,196.73
901109AF5 TUTOR PERINI CORP 6.87500 05/01/2025 US 359,000 $344,640.00
902653104 UDR INC US UDR 9,130 $389,120.60
902973304 U.S. BANCORP US USB 13,310 $724,862.60
903002103 UMH PROPERTIES INC US UMH 6,480 $84,434.40
90320MAA3 UPCB FINANCE IV LTD 5.37500 01/15/2025 KY 225,000 $215,860.50
904767704 UNILEVER PLC - ADR GB UL 73,002 $3,963,278.58
907818108 UNION PAC CORP US UNP 5,966 $917,451.48
911312106 UNITED PARCEL SERVICE US UPS 6,848 $789,505.92
912810FM5 UNITED STATES TREAS BOND 6.25000 05/15/2030 US 6,958,000 $9,099,759.38
912810PT9 UNITED STATES TREAS BOND 4.75000 02/15/2037 US 10,907,000 $13,336,363.88
912810QV3 UNITED STATES TREAS INFL INDEX 0.75000 02/15/2042 US 4,775,497.63 $4,280,599.39
912810RK6 US TREASURY N/B 2.50000 02/15/2045 US 10,673,000 $9,146,677.64
912828D23 US TREASURY N/B 1.62500 04/30/2019 US 55,159,000 $54,956,462.77
912828K33 UNITED STATES TREAS INFL INDEX 0.12500 04/15/2020 US 46,311,100.36 $45,409,601.53
912828R28 US TREASURY N/B 1.62500 04/30/2023 US 19,465,000 $18,470,460.16
912828R36 US TREASURY N/B 1.62500 05/15/2026 US 20,150,000 $18,375,068.31
912828UH1 UNITED STATES TREAS INFL INDEX 0.12500 01/15/2023 US 4,689,899.3 $4,517,039.22
912828XB1 UNITED STATES TREAS NTS 2.12500 05/15/2025 US 18,885,000 $17,999,765.63
912828XQ8 US TREASURY N/B 2.00000 07/31/2022 US 43,860,000 $42,559,619.42
913017109 UNITED TECHNOLOGIES CORP US UTX 6,165 $751,143.60
91704F104 URBAN EDGE PROPERTIES US UE 14,315 $285,441.10
91913Y100 VALERO ENERGY US VLO 4,775 $381,522.50
92276F100 VENTAS INC US VTR 2,920 $185,390.80
92339V100 VEREIT INC US VER 33,010 $252,526.50
92343V104 VERIZON COMMUNICATIONS US VZ 13,580 $818,874.00
92343VDV3 VERIZON COMMUNICATIONS 5.50000 03/16/2047 US 7,950,000 $8,293,218.43
92532F100 VERTEX PHARMACEUTICALS INC US VRTX 7,575 $1,369,484.25
92826C839 VISA INC - CLASS A SHARES US V 34,570 $4,898,914.70
92903PAC3 VNO 2010 - VNO A2FX 4.00350 09/13/2028 US 155,000 $157,347.24
929042109 VORNADO REALTY TRUST US VNO 5,430 $390,742.80
92922PAL0 W & T OFFSHORE INC 9.75000 11/01/2023 US 260,000 $235,300.00
92935JBC8 WF-RBS COMMERCIAL MORTGAGE T FLT 4.86900 02/15/2044 US 835,015.48 $857,885.72
92960PAA7 W/S PACKAGING HOLDINGS 9.00000 04/15/2023 US 355,000 $360,325.00
931142103 WAL MART STORES US WMT 17,465 $1,705,457.25
931427108 WALGREENS BOOTS ALLIANCE INC US WBA 6,801 $575,840.67
94106L109 WASTE MANAGEMENT INC US WM 9,915 $929,531.25
94856UAA9 WEEKLEY HOMES LLC/ FINAN 6.62500 08/15/2025 US 350,000 $324,625.00
948741103 WEINGARTEN REALTY INVESTORS US WRI 7,965 $229,869.90
949746101 WELLS FARGO COMPANY US WFC 45,475 $2,468,383.00
94987MAB7 WELLS FARGO COMMERCIAL MORTGAGE 4.39300 11/15/2043 US 265,000 $269,031.45
95040Q104 WELLTOWER INC. US WELL 3,775 $273,045.75
962178AL3 TRI POINTE HOLDINGS INC 4.37500 06/15/2019 US 340,000 $338,198.00
962178AN9 TRI POINTE GROUP / HOMES 5.87500 06/15/2024 US 260,000 $233,012.00
96949LAD7 WILLIAMS PARTNERS LP 3.75000 06/15/2027 US 4,410,000 $4,076,638.97
97651JAE6 WINWATER MORTGAGE LOAN TRUST 3.50000 03/20/2045 US 836,752.58 $833,466.49
97652TAA1 WIN 2015-1 A1 3.50000 01/20/2045 US 997,887.35 $974,369.24
98919V105 ZAYO GROUP HOLDINGS INC US ZAYO 32,390 $852,504.80
AP8694550 BOREALIS FINANCE LLC 7.50000 11/16/2022 MH 440,000 $420,200.00
B296BQ5 STORAGEVAULT CANADA INC CA SVI CN 23,295 $44,358.07
B29TNV3 INNERGEX RENEWABLE ENERGY CA INE CN 21,975 $208,064.95
B3FP8W8 CANADA HOUSING TRUST 4.10000 12/15/2018 CA 268,000 $201,819.44
B3ZD2V9 MEX BONOS DESARR FIX RT 6.50000 06/10/2021 MX 2,725,000 $127,321.75
B4888C1 CANADIAN GOVERNMENT FLT 2.75000 06/01/2022 CA 327,000 $250,588.84
B4NDCC9 MEX BONOS DESARR FIX RT 6.50000 06/09/2022 MX 4,996,000 $228,323.00
B4YN9R2 SINGAPORE GOVERNMENT 2.50000 06/01/2019 SG 590,000 $431,049.64
B615Y14 MEX BONOS DESARR FIX RT 8.00000 06/11/2020 MX 7,267,000 $354,350.04
B68XHC3 NORTHLAND POWER INC CA NPI CN 12,995 $218,498.70
B6TC406 MEX BONOS DESARR FIX RT 7.75000 05/29/2031 MX 908,000 $39,315.18
BBG00MBFLVG6 QRVO US 12/21/18 C67.5 US -193 -$30,880.00
BBG00MCR9B13 BABA US 12/07/18 C165 CN -60 -$13,200.00
BBG00MD5C001 NOW US 12/07/18 C205 US -49 -$490.00
BBG00MHMRQ16 GOOG US 12/28/18 C1110 US -11 -$21,670.00
BD82246 EAGLE BULK SHIPCO 8.25000 11/28/2022 MH 196,000 $191,100.00
BF955D8 TELENET FINANCE LUX NOTE 5.50000 03/01/2028 LU 400,000 $366,000.00
BFYM460 UNIBAIL-RODAMCO-WESTFIELD FR URW NA 1,105 $189,948.26
BGHQ198 HIBERNIA REIT PLC IE HBRN ID 96,180 $148,084.82
BMMV2K8 TENCENT HOLDINGS LTD CN 700 HK 96,160 $3,844,346.49
BP9DL90 INDUSTRIA DE DISENO TEXTIL ES ITX SM 73,590 $2,261,791.66
BYYHL23 ANHEUSER-BUSCH INBEV SA/NV BE ABI BB 55,530 $4,266,394.96
G3157S106 ENSCO INTERNATIONAL INC US ESV 128,760 $730,069.20
G37585AC3 GASLOG LTD 8.87500 03/22/2022 BM 430,000 $445,050.00
G51502105 JOHNSON CONTROLS INTERNATIONAL US JCI 16,055 $558,392.90
G5960L103 MEDTRONIC INC IE MDT 61,475 $5,995,656.75
G96629103 WILLIS TOWERS WATSON PLC GB WLTW 1,650 $263,092.50
H1467J104 CHUBB LTD CH CB 2,585 $345,717.90
H8817H100 TRANSOCEAN LTD US RIG 82,610 $766,620.80
N47279109 INTERXION HOLDING NV NL INXN 47,890 $2,982,110.30
N53745100 LYONDELLBASELL INDU-CL A US LYB 3,912 $365,028.72
USD US DOLLAR US 9,267,024.3 $9,267,024.30

Investments will change over time.

Distributions

  • Pro-Blend® Conservative Term Series Class R Distribution History
  • 2018 Distribution Calendar
  • Fourth Quarter 2017 Distributions
  • Third Quarter 2018 Distributions
  • Second Quarter 2018 Distributions
  • First Quarter 2018 Distributions
  • Tax Letter
  • Fourth Quarter 2018 Distribution Estimates

A Word About Risk

All investments involve risks, including possible loss of principal. Because the fund invests in both stocks and bonds, the value of your investment will fluctuate in response to stock market movements and changes in interest rates. Investing in the fund will also involve a number of other risks, including issuer-specific risk, foreign investment risk, and small-cap/mid-cap risk. Investments in options and futures, like all derivatives, can be highly volatile and involve risks in addition to the risks of the underlying instrument on which the derivative is based, such as counterparty, correlation and liquidity risk. Also, the use of leverage increases exposure to the market and may magnify potential losses.


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