Mundoval Fund 
       Schedule of Investments
    March 31, 2024 (Unaudited)
 Shares               Fair Value    % of Net Assets
                   
 COMMON STOCKS                
                   
 Aerospace & Defense               
           3,500   Airbus SE **           $       161,560   0.59%
                   
 Aircraft Engines & Engine Parts               
              800   Honeywell International Inc.                   164,200    
           4,000   RTX Corp.                   390,120    
                        554,320   2.04%
                   
 Beverages                   
           4,000   Diageo PLC **                   594,960    
         12,000   LVMH Moët Hennessy Louis Vuitton **              2,172,360    
                     2,767,320   10.19%
                   
 Cable & Other Pay Television Services               
           2,064   The Walt Disney Company *                   252,551   0.93%
                   
 Electronic Computers               
         10,000   Apple Inc.                1,714,800   6.31%
                   
 Fabricated Rubber Products, NEC               
              400   West Pharmaceutical Services, Inc.                 158,284   0.58%
                   
 Fire, Marine & Casualty Insurance               
           1,600   Berkshire Hathaway Inc. Class B *                   672,832   2.48%
                   
 Food and Kindred Products               
           6,000   Nestlé S.A. **                   637,200   2.35%
                   
 Guided Missiles & Space Vehicles & Parts               
              700   Lockheed Martin Corporation                   318,409   1.17%
                   
 Hospital & Medical Service Plans               
              500   Elevance Health, Inc.                   259,270   0.95%
                   
 Industrial Inorganic Chemicals                 
              400   Linde PLC (United Kingdom)                   185,728   0.68%
                   
 Interactive Media & Services               
           2,500   Tencent Holdings Limited **                     97,575   0.36%
                   
 National Commercial Banks               
         25,000   Bank of America Corporation                   948,000    
              500   Capital One Financial Corporation                     74,445    
                     1,022,445   3.76%
                   
 Perfumes, Cosmetics & Other Toilet Preparations             
           5,000   The Estée Lauder Companies Inc. Class A                 770,750   2.84%
                   
 Pharmaceutical Preparations               
           2,000   Merck & Co.                   263,900    
         18,000   Novo Nordisk A/S **                2,311,200    
         10,000   Roche Holding Ltd. **                   319,200    
              600   Zoetis Inc. Class A                   101,526    
                     2,995,826   11.03%
                   
 Plastic Material, Synth Resin/Rubber, Cellulose (No Glass)             
              200   Celanese Corporation                       34,372   0.13%
                   
 Retail - Family Clothing Stores               
         12,000   The TJX Companies, Inc.                1,217,040   4.48%
                   
 Retail - Variety Stores               
              100   Costco Wholesale Corporation                     73,263   0.27%
                   
 Rubber & Plastics Footwear               
           8,000   NIKE, Inc. - Class B                   751,840   2.77%
                   
 Search, Detection, Navigation, Guidance, Aeronautical Systems         
              500   Northrop Grumman Corp.                   239,330   0.88%
                   
 Security & Commodity Brokers, Dealers, Exchanges & Services         
           5,000   T. Rowe Price Group, Inc.                   609,600   2.24%
                   
 Security Brokers, Dealers & Flotation Companies             
              150   BlackRock, Inc.                   125,055    
           1,500   The Charles Schwab Corporation                   108,510    
                        233,565   0.86%
                   
 Semiconductors & Related Devices               
           2,000   Intel Corporation                     88,340    
           7,500   Taiwan Semiconductor Manufacturing Company Ltd. **          1,020,375    
                     1,108,715   4.08%
                   
 Services - Business Services, NEC               
           7,000   MasterCard Incorporated Class A                3,370,990    
              700   Visa Inc. Class A                    195,356    
                     3,566,346   13.13%
                   
 Services - Computer Programming, Data Processing, Etc.             
         14,000   Alphabet Inc. Class A *                2,113,020    
         12,000   Alphabet Inc. Class C *                1,827,120    
                     3,940,140   14.51%
                   
 Services - Prepackaged Software                
              600   Microsoft Corporation                   252,432   0.93%
                   
 Soap, Detergents, Cleaning Preparations, Perfumes, Cosmetics         
           6,000   Unilever PLC **                   301,140   1.11%
                   
 Special Industry Machinery, NEC                 
              300   ASML Holding N.V. **                     291,141   1.07%
                   
 Sugar & Confectionery Products               
           4,500   The Hershey Company                   875,250   3.22%
                   
 Total for Common Stocks (Cost - $8,299,456)           $   26,063,044   95.97%
                   
 Money Market Funds               
     1,078,329   Invesco Treasury Portfolio Institutional Class 5.21% ***          1,078,329   3.97%
              (Cost - $1,078,329)              
                   
 Total Investment Securities                27,141,373   99.94%
              (Cost - $9,377,785)               
                   
 Other Assets in Excess of Liabilities                      17,040   0.06%
                     
 Net Assets                $   27,158,413   100.00%
                   
                   
 * Non-Income Producing Securities.               
 ** ADR - American Depositary Receipt.               
 *** The yield shown represents the 7-day yield at March 31, 2024.