North
Square
Spectrum
Alpha
Fund
Schedule
of
Investments
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
EXCHANGE-TRADED
FUNDS
1.2%
4,000
iShares®
Russell
2000
ETF
$
940,680‌
TOTAL
EXCHANGE-TRADED
FUNDS
(Cost $886,625)
940,680‌
MUTUAL
FUNDS
98.4%
2,543,360‌
North
Square
Dynamic
Small
Cap
Fund,
Class
I
(a)(b)
40,464,861‌
981,464‌
North
Square
Kennedy
MicroCap
Fund,
Class
I
(a)
13,612,909‌
1,514,992‌
North
Square
Select
Small
Cap
Fund,
Class
I
(a)(c)
22,315,832‌
TOTAL
MUTUAL
FUNDS
(Cost $60,240,665)
76,393,602‌
SHORT-TERM
INVESTMENTS
0.4%
323,196‌
First
American
Treasury
Obligations
Fund,
Class
X,
4.20%
(d)
323,196‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost
$323,196)
323,196‌
TOTAL
INVESTMENTS
100.0%
(Cost
$61,450,486)
$
77,657,478‌
Liabilities
in
Excess
of
Other
Assets — 
0.0%
(e)
(27,208)
NET
ASSETS
100.00%
$
77,630,270‌
(a)
Affiliated
Company.
(b)
Represents
an
investment
greater
than
25%
of
the
Fund’s
net
assets.
Performance
of
the
Fund
may
be
adversely
impacted
by
concentrated
investments
in
securities.
As
of
August
31,
2025,
the
percentage
of
net
assets
invested
in
North
Square
Dynamic
Small
Cap
Fund,
Class
I
was
52.1%
of
the
Fund.
(c)
Represents
an
investment
greater
than
25%
of
the
Fund’s
net
assets.
Performance
of
the
Fund
may
be
adversely
impacted
by
concentrated
investments
in
securities.
As
of
August
31,
2025,
the
percentage
of
net
assets
invested
in
North
Square
Select
Small
Cap
Fund,
Class
I
was
28.7%
of
the
Fund.
(d)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
August
31,
2025.
(e)
Percentage
rounds
to
less
than
0.1%.
ETF
-
Exchange-Traded
Funds
North
Square
Dynamic
Small
Cap
Fund
Schedule
of
Investments
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
99.1%
COMMUNICATIONS
0.8%
ADVERTISING
&
MARKETING
0.3%
96,590
QuinStreet
,
Inc.
(a)
$
1,514,531‌
ENTERTAINMENT
CONTENT
0.0%
(b)
77,120
CuriosityStream
,
Inc.
353,210‌
INTERNET
MEDIA
&
SERVICES
0.1%
41,220
MediaAlpha
,
Inc.
(a)
435,695‌
TELECOMMUNICATIONS
0.4%
39,900
IDT
Corp.,
Class
B
(a)
2,556,393‌
TOTAL  COMMUNICATIONS
4,859,829‌
CONSUMER
DISCRETIONARY
14.3%
APPAREL
&
TEXTILE
PRODUCTS
0.5%
135,760
Levi
Strauss
&
Co.,
Class
A
3,036,951‌
AUTOMOTIVE
2.4%
54,864
Dana,
Inc.
1,106,058‌
40,610
Dorman
Products,
Inc.
(a)
6,570,292‌
437,800
Garrett
Motion,
Inc.
5,687,022‌
26,080
Motorcar
Parts
of
America,
Inc.
(a)
388,592‌
13,751,964‌
CONSUMER
SERVICES
4.6%
54,440
Adtalem
Global
Education,
Inc.
(a)
7,128,918‌
260,612
Coursera,
Inc.
(a)
2,997,038‌
36,960
Grand
Canyon
Education,
Inc.
(a)
7,450,027‌
82,910
Laureate
Education,
Inc.
(a)
2,278,367‌
38,420
Stride,
Inc.
(a)
6,269,760‌
26,124,110‌
E-COMMERCE
DISCRETIONARY
0.8%
195,780
Revolve
Group,
Inc.
(a)
4,379,599‌
HOME
CONSTRUCTION
1.8%
50,980
Century
Communities,
Inc.
3,358,562‌
28,356
Forestar
Group,
Inc.
(a)
784,611‌
41,470
M/I
Homes,
Inc.
(a)
6,106,872‌
10,250,045‌
LEISURE
FACILITIES
&
SERVICES
2.4%
202,750
Life
Time
Group
Holdings,
Inc.
(a)
5,660,780‌
63,920
Lindblad
Expeditions
Holdings,
Inc.
(a)
931,954‌
185,693
Rush
Street
Interactive,
Inc.
(a)
4,140,954‌
282,010
Super
Group
(SGHC)
Ltd.
3,279,776‌
14,013,464‌
North
Square
Dynamic
Small
Cap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
99.1%
(Continued)
CONSUMER
DISCRETIONARY
14.3%
(Continued)
LEISURE
PRODUCTS
0.2%
139,110
Peloton
Interactive,
Inc.,
Class
A
(a)
$
1,057,236‌
RETAIL
-
DISCRETIONARY
1.6%
22,120
Buckle,
Inc.
1,251,771‌
17,580
Group
1
Automotive,
Inc.
8,170,832‌
9,422,603‌
TOTAL  CONSUMER
DISCRETIONARY
82,035,972‌
CONSUMER
STAPLES
6.5%
BEVERAGES
1.9%
4,610
Boston
Beer
Co.,
Inc.,
Class
A
(a)
1,019,225‌
45,480
Coca-Cola
Consolidated,
Inc.
5,332,075‌
28,640
National
Beverage
Corp.
(a)
1,204,312‌
83,533
Vita
Coco
Co.,
Inc.
(The)
(a)
2,985,469‌
96,291
Zevia
PBC,
Class
A
(a)
269,615‌
10,810,696‌
FOOD
2.7%
90,790
BellRing
Brands,
Inc.
(a)
3,726,930‌
108,595
Dole
PLC
1,598,519‌
1,486
Nathan's
Famous,
Inc.
155,584‌
9,776
Seneca
Foods
Corp.,
Class
A
(a)
1,106,643‌
62,537
Simply
Good
Foods
Co.
(The)
(a)
1,790,434‌
149,997
SunOpta
,
Inc.
(a)
940,481‌
123,930
Vital
Farms,
Inc.
(a)
6,331,584‌
15,650,175‌
HOUSEHOLD
PRODUCTS
0.3%
346,893
Honest
Co.,
Inc.
(The)
(a)
1,373,696‌
TOBACCO
&
CANNABIS
1.2%
69,960
Turning
Point
Brands,
Inc.
6,961,020‌
WHOLESALE
-
CONSUMER
STAPLES
0.4%
13,064
Andersons,
Inc.
(The)
534,318‌
29,180
Chefs'
Warehouse,
Inc.
(The)
(a)
1,842,425‌
2,376,743‌
TOTAL  CONSUMER
STAPLES
37,172,330‌
ENERGY
5.7%
OIL
&
GAS
PRODUCERS
2.7%
135,346
Berry
Corp.
(
bry
)
452,056‌
123,680
California
Resources
Corp.
6,144,422‌
253,118
Clean
Energy
Fuels
Corp.
(a)
665,700‌
9,733
Gulfport
Energy
Corp.
(a)
1,693,834‌
58,900
Par
Pacific
Holdings,
Inc.
(a)
2,040,296‌
153,910
PBF
Energy,
Inc.,
Class
A
4,204,821‌
North
Square
Dynamic
Small
Cap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
99.1%
(Continued)
ENERGY
5.7%
(Continued)
OIL
&
GAS
PRODUCERS
2.7%
(Continued)
13,260
SM
Energy
Co.
$
378,573‌
15,579,702‌
OIL
&
GAS
SERVICES
&
EQUIPMENT
1.6%
99,788
Flotek
Industries,
Inc.
(a)
1,206,437‌
63,490
Kodiak
Gas
Services,
Inc.
2,272,307‌
156,690
Oceaneering
International,
Inc.
(a)
3,823,236‌
111,283
Oil
States
International,
Inc.
(a)
623,185‌
237,760
Tetra
Technologies,
Inc.
(a)
1,117,472‌
9,042,637‌
RENEWABLE
ENERGY
1.4%
103,870
American
Superconductor
Corp.
(a)
5,183,113‌
259,500
Green
Plains,
Inc.
(a)
2,883,045‌
8,066,158‌
TOTAL  ENERGY
32,688,497‌
FINANCIALS
13.1%
ASSET
MANAGEMENT
0.5%
9,340
Oppenheimer
Holdings,
Inc.,
Class
A
677,804‌
10,256
Virtus
Investment
Partners,
Inc.
2,065,866‌
2,743,670‌
BANKING
8.7%
52,790
Ameris
Bancorp
3,868,451‌
89,150
Axos
Financial,
Inc.
(a)
8,131,371‌
41,950
Banc
of
California,
Inc.
709,794‌
94,280
Bank
OZK
4,946,872‌
134,659
BankUnited
,
Inc.
5,277,286‌
31,615
Customers
Bancorp,
Inc.
(a)
2,266,479‌
21,360
Eagle
Bancorp,
Inc.
414,811‌
210,990
First
BanCorp
4,690,308‌
33,018
Hanmi
Financial
Corp.
830,733‌
32,670
International
Bancshares
Corp.
2,337,212‌
45,140
Live
Oak
Bancshares,
Inc.
1,746,467‌
53,430
OFG
Bancorp
2,390,993‌
82,200
Pacific
Premier
Bancorp,
Inc.
2,013,078‌
11,440
Peapack
Gladstone
Financial
Corp.
331,874‌
83,180
Provident
Financial
Services,
Inc.
1,650,291‌
47,910
Synovus
Financial
Corp.
2,472,635‌
68,680
Texas
Capital
Bancshares,
Inc.
(a)
5,945,628‌
50,024,283‌
INSTITUTIONAL
FINANCIAL
SERVICES
1.2%
505,583
BGC
Group,
Inc.,
Class
A
4,959,769‌
55,400
Marex
Group
PLC
1,958,944‌
6,918,713‌
North
Square
Dynamic
Small
Cap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
99.1%
(Continued)
FINANCIALS
13.1%
(Continued)
INSURANCE
2.5%
85,369
Hamilton
Insurance
Group
Ltd.
(a)
$
2,035,197‌
88,510
Jackson
Financial,
Inc.
8,744,788‌
84,150
NMI
Holdings,
Inc.,
Class
A
(a)
3,311,302‌
201,380
SelectQuote
,
Inc.
(a)
455,119‌
14,546,406‌
SPECIALTY
FINANCE
0.2%
70,301
Marathon
Digital
Holdings,
Inc.
(a)
1,123,410‌
TOTAL  FINANCIALS
75,356,482‌
HEALTH
CARE
12.9%
BIOTECH
&
PHARMA
9.5%
125,034
Acadia
Pharmaceuticals,
Inc.
(a)
3,249,634‌
131,020
Adaptive
Biotechnologies
Corp.
(a)
1,726,844‌
244,650
Amicus
Threaputic
,
Inc.
(a)
1,856,894‌
250,030
Amneal
Pharmaceuticals,
Inc.
(a)
2,390,287‌
67,872
Amphastar
Pharmaceuticals,
Inc.
(a)
2,078,241‌
17,300
AnaptysBio
,
Inc.
(a)
351,709‌
55,970
Arcutis
Biotherapeutics
,
Inc.
(a)
868,654‌
296,896
BioCryst
Pharmaceuticals,
Inc.
(a)
2,467,206‌
90,951
Cogent
Biosciences,
Inc.
(a)
1,098,688‌
256,511
Day
One
Biopharmaceuticals,
Inc.
(a)
1,926,398‌
174,074
Dyne
Therapeutics,
Inc.
(a)
2,348,258‌
320,580
Fortrea
Holdings,
Inc.
(a)
3,157,713‌
1,683,566
Geron
Corp.
(a)
2,356,992‌
77,380
Harmony
Biosciences
Holdings,
Inc.
(a)
2,854,548‌
26,639
Keros
Therapeutics,
Inc.
(a)
405,179‌
36,379
Kiniksa
Pharmaceuticals
International
PLC
(a)
1,218,333‌
189,938
Kura
Oncology,
Inc.
(a)
1,500,510‌
61,470
Mirum
Pharmaceuticals,
Inc.
(a)
4,540,789‌
175,350
Niagen
Bioscience,
Inc.
(a)
1,735,965‌
90,585
Nurix
Therapeutics,
Inc.
(a)
846,064‌
13,321
Praxis
Precision
Medicines,
Inc.
(a)
606,638‌
165,845
Prothena
Corp.
PLC
(a)
1,359,929‌
23,060
Rhythm
Pharmaceuticals,
Inc.
(a)
2,378,639‌
82,366
Sarepta
Therapeutics,
Inc.
(a)
1,499,061‌
345,130
Syndax
Pharmaceuticals,
Inc.
(a)
5,635,973‌
37,490
Theravance
Biopharma
Inc.
(a)
520,361‌
30,790
Travere
Therapeutics,
Inc.
(a)
538,825‌
15,810
Ultragenyx
Pharmaceutical,
Inc.
(a)
473,668‌
83,330
Vera
Therapeutics,
Inc.
(a)
1,803,261‌
38,729
Zymeworks
,
Inc.
(a)
573,576‌
54,368,837‌
North
Square
Dynamic
Small
Cap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
99.1%
(Continued)
HEALTH
CARE
12.9%
(Continued)
HEALTH
CARE
FACILITIES
&
SERVICES
1.7%
71,062
Ardent
Health,
Inc.
(a)
$
901,777‌
137,119
Aveanna
Healthcare
Holdings,
Inc.
(a)
1,096,952‌
105,125
Enhabit
,
Inc.
(a)
828,385‌
12,650
GeneDx
Holdings
Corp.
(a)
1,638,049‌
58,231
Pennant
Group,
Inc.
(The)
(a)
1,398,126‌
161,060
Progyny
,
Inc.
(a)
3,812,290‌
9,675,579‌
MEDICAL
EQUIPMENT
&
DEVICES
1.7%
127,482
10X
Genomics,
Inc.,
Class
A
(a)
1,786,023‌
31,020
AtriCure
,
Inc.
(a)
1,147,430‌
14,360
iRhythm
Technologies,
Inc.
(a)
2,440,913‌
5,220
LeMaitre
Vascular,
Inc.
497,805‌
48,160
NeuroPace
,
Inc.
(a)
440,664‌
124,590
NovoCure
Ltd.
(a)
1,536,195‌
69,180
SI-BONE,
Inc.
(a)
1,153,230‌
58,859
Varex
Imaging
Corp.
(a)
679,821‌
9,682,081‌
TOTAL  HEALTH
CARE
73,726,497‌
INDUSTRIALS
21.1%
AEROSPACE
&
DEFENSE
1.0%
68,700
Amprius
Technologies
Inc
(a)
487,083‌
128,190
Leonardo
DRS,
Inc.
5,340,395‌
5,827,478‌
COMMERCIAL
SUPPORT
SERVICES
2.5%
166,966
AMN
Healthcare
Services,
Inc.
(a)
3,469,553‌
26,580
CorVel
Corp.
(a)
2,366,949‌
4,894
CRA
International,
Inc.
948,261‌
321,672
LegalZoom.com,
Inc.
(a)
3,564,126‌
39,724
Willdan
Group,
Inc.
(a)
4,364,079‌
14,712,968‌
ELECTRICAL
EQUIPMENT
5.3%
119,760
Atmus
Filtration
Technologies,
Inc.
5,331,715‌
64,020
Itron
,
Inc.
(a)
7,870,619‌
149,530
NEXTracker
,
Inc.,
Class
A
(a)
10,057,388‌
87,259
nLight
,
Inc.
(a)
2,513,059‌
15,954
Watts
Water
Technologies,
Inc.,
Class
A
4,417,663‌
30,190,444‌
ENGINEERING
&
CONSTRUCTION
5.8%
3,070
Dycom
Industries,
Inc.
(a)
775,083‌
97,680
Frontdoor
,
Inc.
(a)
5,934,060‌
59,064
Great
Lakes
Dredge
&
Dock
Corp.
(a)
688,686‌
3,820
IES
Holdings,
Inc.
(a)
1,334,364‌
North
Square
Dynamic
Small
Cap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
99.1%
(Continued)
INDUSTRIALS
21.1%
(Continued)
ENGINEERING
&
CONSTRUCTION
5.8%
(Continued)
27,140
Montrose
Environmental
Group
Inc.
(a)
$
842,968‌
31,339
MYR
Group,
Inc.
(a)
5,868,855‌
88,730
Primoris
Services
Corp.
10,518,942‌
120,579
Tutor
Perini
Corp.
(a)
7,106,926‌
33,069,884‌
INDUSTRIAL
INTERMEDIATE
PRODUCTS
1.8%
16,057
Insteel
Industries,
Inc.
616,268‌
100,270
Mueller
Industries,
Inc.
9,619,904‌
10,236,172‌
INDUSTRIAL
SUPPORT
SERVICES
0.6%
22,583
DXP
Enterprises,
Inc.
(a)
2,820,165‌
20,701
Global
Industrial
Co.
772,768‌
3,592,933‌
MACHINERY
0.1%
9,240
Astec
Industries,
Inc.
427,720‌
MARINE
TRANSPORTATION
0.6%
35,700
Matson,
Inc.
3,714,585‌
TRANSPORTATION
&
LOGISTICS
1.9%
24,420
Bristow
Group,
Inc.
(a)
940,414‌
11,380
Covenant
Logistics
Group,
Inc.,
Class
A
274,599‌
30,541
Dorian,
LPG
Ltd.
976,701‌
59,230
SkyWest,
Inc.
(a)
7,190,522‌
105,310
Sun
Country
Airlines
Holdings,
Inc.
(a)
1,395,358‌
10,777,594‌
TRANSPORTATION
EQUIPMENT
1.5%
62,920
AerSale
Corp.
(a)
543,000‌
47,070
Blue
Bird
Corp.
(a)
2,748,417‌
69,720
Greenbrier
Companies,
Inc.
(The)
3,251,044‌
37,550
REV
Group,
Inc.
1,998,035‌
8,540,496‌
TOTAL  INDUSTRIALS
121,090,274‌
MATERIALS
4.3%
CHEMICALS
1.8%
31,970
Balchem
Corp.
5,182,017‌
47,550
Celanese
Corp.
2,264,806‌
11,860
Stepan
Co.
(The)
593,356‌
373,950
Tronox
Holdings
PLC,
Class
A
(a)
1,600,506‌
2,170
WD-40
Co.
468,807‌
10,109,492‌
North
Square
Dynamic
Small
Cap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
99.1%
(Continued)
MATERIALS
4.3%
(Continued)
CONSTRUCTION
MATERIALS
0.7%
34,120
United
States
Lime
&
Minerals,
Inc.
$
4,296,390‌
CONTAINERS
&
PACKAGING
0.2%
249,289
Ardagh
Metal
Packaging
S.A.
919,876‌
11,328
Karat
Packaging,
Inc.
286,372‌
1,206,248‌
FORESTRY,
PAPER
&
WOOD
PRODUCTS
0.2%
78,010
Mativ
Holdings,
Inc.
980,586‌
METALS
&
MINING
0.7%
55,423
Coeur
Mining,
Inc.
(a)
728,813‌
220,123
Constellium
SE,
Class
A
(a)
3,189,582‌
3,918,395‌
STEEL
0.7%
17,070
Carpenter
Technology
Corp.
4,111,822‌
TOTAL  MATERIALS
24,622,933‌
REAL
ESTATE
5.1%
REAL
ESTATE
SERVICES
1.4%
182,653
Anywhere
Real
Estate,
Inc.
(a)
1,116,010‌
679,490
Compass,
Inc.,
Class
A
(a)
6,169,769‌
117,673
Real
Brokerage,
Inc.
(The)
(a)
633,081‌
7,918,860‌
REIT
3.7%
17,410
Alexander
&
Baldwin,
Inc.
336,709‌
64,354
American
Assets
Trust,
Inc.
1,344,999‌
144,220
American
Healthcare
REIT,
Inc.
6,171,174‌
150,932
Diversified
Healthcare
Trust
575,051‌
1,133,518
Hudson
Pacific
Properties,
Inc.
3,185,186‌
92,955
Industrial
Logistics
Properties
Trust
572,603‌
146,490
Millrose
Properties,
Inc.
(a)
5,172,562‌
10,506
NexPoint
Residential
Trust,
Inc.
362,562‌
174,290
Piedmont
Realty
Trust,
Inc.,
Class
A
1,476,236‌
73,940
Safehold
,
Inc.
1,217,052‌
52,910
Urban
Edge
Properties
1,094,708‌
21,508,842‌
TOTAL  REAL
ESTATE
29,427,702‌
TECHNOLOGY
13.1%
SEMICONDUCTORS
2.8%
73,711
Ambarella
,
Inc.
(a)
6,079,684‌
123,253
Arteris
,
Inc.
(a)
1,161,043‌
214,650
MaxLinear
,
Inc.
(a)
3,374,298‌
161,200
Ouster,
Inc.
(a)
4,599,036‌
North
Square
Dynamic
Small
Cap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
99.1%
(Continued)
TECHNOLOGY
13.1%
(Continued)
SEMICONDUCTORS
2.8%
(Continued)
6,580
Silicon
Laboratories,
Inc.
(a)
$
884,023‌
16,098,084‌
SOFTWARE
7.3%
111,440
ACI
Worldwide,
Inc.
(a)
5,499,564‌
155,680
Alignment
Healthcare,
Inc.
(a)
2,546,925‌
138,138
Amplitude,
Inc.,
Class
A
(a)
1,578,917‌
135,240
Appian
Corp.,
Class
A
(a)
4,162,687‌
80,727
Backblaze
,
Inc.,
Class
A
(a)
674,071‌
37,380
Bandwidth,
Inc.,
Class
A
(a)
560,700‌
30,470
Cerence
,
Inc.
(a)
320,849‌
3,070
CommVault
Systems,
Inc.
(a)
573,000‌
289,640
DoubleVerify
Holdings,
Inc.
(a)
4,712,443‌
389,369
Fastly
,
Inc.,
Class
A
(a)
2,963,098‌
52,140
Klaviyo
,
Inc.,
Class
A
(a)
1,691,422‌
50,140
Mitek
Systems,
Inc.
(a)
509,924‌
31,895
Outset
Medical,
Inc.
(a)
443,659‌
77,920
Phreesia
,
Inc.
(a)
2,466,947‌
271,264
Porch
Group,
Inc.
(a)
4,603,350‌
101,670
Privia
Health
Group,
Inc.
(a)
2,342,477‌
30,000
RingCentral,
Inc.,
Class
A
(a)
915,300‌
7,900
Rubrik
,
Inc.,
Class
A
(a)
706,260‌
54,960
Workiva
,
Inc.,
Class
A
(a)
4,519,910‌
41,791,503‌
TECHNOLOGY
HARDWARE
2.6%
92,240
Arlo
Technologies,
Inc.
(a)
1,605,899‌
66,930
Credo
Technology
Group
Holding
Ltd.
(a)
8,236,071‌
63,615
Cricut
,
Inc.,
Class
A
362,606‌
212,180
Extreme
Networks,
Inc.
(a)
4,536,408‌
14,740,984‌
TECHNOLOGY
SERVICES
0.4%
45,180
Cleanspark
,
Inc.
(a)
427,855‌
25,292
Paymentus
Holdings,
Inc.,
Class
A
(a)
984,617‌
58,020
Riot
Blockchain
,
Inc.
(a)
798,355‌
2,210,827‌
TOTAL  TECHNOLOGY
74,841,398‌
UTILITIES
2.2%
ELEC
&
GAS
MARKETING
&
TRADING
0.1%
23,785
Genie
Energy
Ltd.,
Class
B
363,910‌
ELECTRIC
UTILITIES
1.6%
41,824
Avista
Corp.
1,528,249‌
North
Square
Dynamic
Small
Cap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
99.1%
(Continued)
UTILITIES
2.2%
(Continued)
ELECTRIC
UTILITIES
1.6%
(Continued)
184,550
Portland
General
Electric
Co.
$
7,895,049‌
9,423,298‌
GAS
&
WATER
UTILITIES
0.5%
109,140
Aris
Water
Solution,
Inc.,
Class
A
2,648,828‌
TOTAL  UTILITIES
12,436,036‌
TOTAL
COMMON
STOCKS
(Cost $487,827,305)
568,257,950‌
EXCHANGE-TRADED
FUNDS
0.0%
(b)
62
iShares
®
Russell
2000
ETF
14,581‌
TOTAL
EXCHANGE-TRADED
FUNDS
(Cost $10,827)
14,581‌
Sh
ar
e
s
F
air
V
alu
e
RIGHTS
0.0%
(b)
HEALTH
CARE
0.0%
(b)
29,400‌
Novartis
A.G.
CVR
$
–‌
Total
Cost
($–)
–‌
SHORT-TERM
INVESTMENTS
0.8%
4,344,187‌
First
American
Treasury
Obligations
Fund,
Class
X,
4.20%
(c)
4,344,187‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost
$4,344,187)
4,344,187‌
TOTAL
INVESTMENTS
99.9%
(Cost
$492,182,319)
$
572,616,718‌
Other
Assets
in
Excess
of
Liabilities
0.1%
295,243
NET
ASSETS
100.00%
$
572,911,961‌
(a)
Non-income
producing
security.
(b)
Percentage
rounds
to
less
than
0.1%.
(c)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
August
31,
2025.
ETF
-
Exchange-Traded
Funds
North
Square
Multi
Strategy
Fund
Schedule
of
Investments
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
EXCHANGE-TRADED
FUNDS
49.2%
17,800
Invesco®
S&P
500®
GARP
ETF
$
2,008,552‌
14,900
iShares
MSCI
EAFE
ETF
1,363,052‌
198,202
North
Square
RCIM
Tax-Advantaged
Preferred
and
Income
Securities
ETF
(a)
5,048,542‌
21,100
Vanguard®
Dividend
Appreciation
ETF
4,450,412‌
7,100
Vanguard®
Growth
ETF
3,256,202‌
12,485
Vanguard®
Value
ETF
2,287,501‌
6,800
iShares
Russell
Mid-Cap
Growth
ETF
971,788‌
TOTAL
EXCHANGE-TRADED
FUNDS
(Cost $15,985,297)
19,386,049‌
MUTUAL
FUNDS
48.8%
448,162‌
North
Square
Altrinsic
International
Equity
Fund,
Class
I
(a)
5,664,769‌
373,082‌
North
Square
Dynamic
Small
Cap
Fund,
Class
I
(a)
5,935,733‌
81,898‌
North
Square
Kennedy
MicroCap
Fund,
Class
I
(a)
1,135,926‌
342,516‌
North
Square
McKee
Bond
Fund,
Class
I
(a)
3,034,694‌
161,198‌
North
Square
Select
Small
Cap
Fund,
Class
I
(a)
2,374,439‌
112,936‌
North
Square
Strategic
Income
Fund,
Class
I
(a)
1,107,906‌
TOTAL
MUTUAL
FUNDS
(Cost $15,499,753)
19,253,467‌
SHORT-TERM
INVESTMENTS
2.0%
789,185‌
First
American
Treasury
Obligations
Fund,
Class
X,
4.20%
(b)
789,185‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost
$789,185)
789,185‌
TOTAL
INVESTMENTS
100.0%
(Cost
$32,274,235)
$
39,428,701‌
Liabilities
in
Excess
of
Other
Assets — 
0.0%
(c)
(10,900)
NET
ASSETS
100.00%
$
39,417,801‌
(a)
Affiliated
Company.
(b)
Non-income
producing
security.
(c)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
August
31,
2025.
(d)
Percentage
rounds
to
less
than
0.1%.
ETF
-
Exchange-Traded
Funds
MSCI
-
Morgan
Stanley
Capital
International
North
Square
Preferred
and
Income
Securities
Fund
Schedule
of
Investments
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
PREFERRED
STOCKS
1.4%
FINANCIALS
1.4%
BANKING
1.2%
100,000
Citizens
Financial
Group,
Inc.,
6.50%
$
2,522,000‌
60,000
Comerica,
Inc.,
6.88%
1,518,000‌
4,040,000‌
SPECIALTY
FINANCE
0.2%
25,000
Annaly
Capital
Management,
Inc.,
8.88%
641,750‌
TOTAL
FINANCIALS
(Cost $4,699,600)
4,681,750‌
TOTAL
PREFERRED
STOCKS
(Cost $4,699,600)
4,681,750‌
EXCHANGE-TRADED
FUNDS
0.9%
125,000
North
Square
RCIM
Tax-Advantaged
Preferred
and
Income
Securities
ETF
(a)
3,183,963‌
TOTAL
EXCHANGE-TRADED
FUNDS
(Cost $3,140,500)
3,183,963‌
P
ri
nc
i
p
al
Amo
u
nt
($)
CORPORATE
BONDS
89.1%
COMMUNICATIONS
8.9%
ENTERTAINMENT
CONTENT
1.1%
3,800,000
Paramount
Global,
6.25%,
2/28/57
(b)
3,701,849‌
TELECOMMUNICATIONS
7.8%
4,800,000
Bell
Canada,
7.00%,
9/15/55
(H15T5Y
+
236bps)
(b)
4,921,368‌
11,000,000
Rogers
Communications,
Inc.,
7.13%,
4/15/55
(H15T5Y
+
262bps)
(b)
11,424,362‌
6,000,000
TELUS
Corp.,
7.00%,
10/15/55
(b)
6,172,086‌
5,000,000
Vodafone
Group
PLC,
5.13%,
6/04/81
(H15T5Y
+
307bps)
(b)
3,884,433‌
26,402,249‌
CONSUMER
DISCRETIONARY
2.8%
AUTOMOTIVE
2.8%
5,000,000
General
Motors
Financial
Co.,
Inc.,
6.50%,
12/30/49
(SOFR
+
3bps)
(b)(c)
4,920,628‌
4,757,000
General
Motors
Financial
Co.,
Inc.,
5.75%,
3/30/66
(b)(c)
4,658,893‌
9,579,521‌
ENERGY
10.4%
OIL
&
GAS
PRODUCERS
10.4%
5,000,000
BP
Capital
Markets
PLC,
6.13%,
6/18/55
(H15T5Y
+
167bps)
(b)(c)
5,110,190‌
5,500,000
Enbridge,
Inc.,
7.20%,
6/27/54
(H15T5Y
+
297bps)
(b)
5,732,936‌
2,000,000
Enbridge,
Inc.,
5.50%,
7/15/77
(TSFR3M
+
368bps)
(b)
1,995,163‌
2,500,000
Energy
Transfer
LP,
7.13%,
5/15/70
(b)(c)
2,571,705‌
8,315,000
Energy
Transfer
LP,
6.63%,
2/15/72
(US0003M
+
416bps)
(b)(c)
8,281,985‌
8,225,000
South
Bow
Canadian
Infrastructure
Holdings
Ltd.,
7.50%,
3/01/55
(b)
8,601,845‌
North
Square
Preferred
and
Income
Securities
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
89.1%
(Continued)
ENERGY
10.4%
(continued)
OIL
&
GAS
PRODUCERS
10.4%
(continued)
2,892,000
TransCanada
Trust,
5.30%,
3/15/77
(US0003M
+
321bps)
(b)
$
2,880,555‌
35,174,379‌
FINANCIALS
31.4%
ASSET
MANAGEMENT
3.2%
3,800,000
UBS
Group
AG,
7.13%,
12/31/49
(USISSO05
+
318bps)
(b)(c)(d)
3,878,041‌
8,000,000
UBS
Group
AG,
4.38%,
8/10/71
(b)(c)
7,192,767‌
11,070,808‌
BANKING
25.3%
2,000,000
Banco
Bilbao
Vizcaya
Argentaria
SA,
6.13%,
2/16/49
(USSW5
+
387bps)
(b)(c)
1,995,297‌
2,000,000
Banco
Bilbao
Vizcaya
Argentaria
SA,
6.00%,
12/31/49
(b)(c)
2,365,891‌
1,000,000
Banco
Santander
SA,
3.63%,
12/31/49
(EUAMDB05
+
376bps)
(b)(c)
1,097,680‌
6,000,000
Banco
Santander
SA,
8.00%,
12/31/49
(H15T5Y
+
391bps)
(b)(c)
6,527,850‌
5,000,000
Bank
of
America
Corp.,
6.63%,
12/31/49
(b)(c)
5,160,040‌
4,000,000
BNP
Paribas
SA,
7.45%,
12/31/49
(H15T5Y
+
3bps)
(b)(c)(d)
4,092,247‌
5,000,000
CaixaBank
SA,
3.63%,
3/14/71
(EUSA5
+
386bps)
(b)(c)
5,611,329‌
10,000,000
Citigroup,
Inc.,
6.95%,
2/15/80
(H15T5Y
+
273bps)
(b)(c)
10,178,920‌
2,000,000
Citigroup,
Inc.,
3.88%,
5/18/72
(b)(c)
1,979,164‌
11,405,000
Citizens
Financial
Group,
Inc.,
4.00%,
10/06/71
(b)(c)
11,173,510‌
4,800,000
HSBC
Holdings
PLC,
7.05%,
12/31/49
(H15T5Y
+
3bps)
(b)(c)
4,963,771‌
1,248,000
Huntington
Bancshares,
Inc.,
4.45%,
3/15/68
(b)(c)
1,232,829‌
4,185,000
ING
Groep
NV,
3.88%,
10/16/69
(H15T5Y
+
286bps)
(b)(c)
3,989,626‌
3,500,000
ING
Groep
NV,
4.25%,
10/16/69
(H15T5Y
+
286bps)
(b)(c)
3,067,227‌
7,614,000
KeyCorp,
4.89%,
12/15/65
(b)(c)
7,545,823‌
4,800,000
Svenska
Handelsbanken
AB,
4.75%,
3/01/71
(b)(c)
4,509,844‌
10,000,000
Truist
Financial
Corp.,
4.95%,
12/01/71
(b)(c)
9,978,508‌
85,469,556‌
INSURANCE
1.5%
5,200,000
MetLife,
Inc.,
3.85%,
3/15/26
(b)(c)
5,190,198‌
SPECIALTY
FINANCE
1.4%
4,700,000
Capital
One
Financial
Corp.,
3.95%,
12/01/70
(b)(c)
4,611,486‌
HEALTH
CARE
1.6%
HEALTH
CARE
FACILITIES
&
SERVICES
1.6%
5,000,000
CVS
Health
Corp,
7.00%,
3/10/55
(H15T5Y
+
289bps)
(b)
5,218,040‌
MATERIALS
1.8%
CHEMICALS
1.8%
5,900,000
FMC
Corp.,
8.45%,
11/01/55
(b)
6,178,982‌
North
Square
Preferred
and
Income
Securities
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
89.1%
(Continued)
UTILITIES
32.2%
ELECTRIC
UTILITIES
29.8%
7,000,000
Algonquin
Power
&
Utilities
Corp.,
4.75%,
1/18/82
(b)
$
6,813,469‌
8,782,000
American
Electric
Power
Co.,
Inc.,
6.95%,
12/15/54
(H15T5Y
+
268bps)
(b)
9,358,591‌
7,650,000
CenterPoint
Energy,
Inc.,
6.85%,
2/15/55
(H15T5Y
+
295bps)
(b)
8,037,503‌
8,751,000
CMS
Energy
Corp.,
4.75%,
6/01/50
(H15T5Y
+
412bps)
(b)
8,474,744‌
1,880,000
Dominion
Energy,
Inc.,
6.88%,
2/01/55
(H15T5Y
+
239bps)
(b)
1,966,589‌
9,000,000
Dominion
Energy,
Inc.,
6.20%,
2/15/56
(H15T10Y
+
2bps)
(b)
8,976,290‌
8,500,000
Duke
Energy
Corp.,
6.45%,
9/01/54
(H15T5Y
+
259bps)
(b)
8,821,912‌
5,000,000
Emera,
Inc.,
6.75%,
6/15/76
(b)
5,043,890‌
2,000,000
EUSHI
Finance,
Inc.,
7.63%,
12/15/54
2,094,598‌
9,200,000
NextEra
Energy
Capital
Holdings,
Inc.,
6.50%,
8/15/55
(H15T5Y
+
198bps)
(b)
9,659,052‌
7,752,000
NiSource
Inc.,
6.38%,
3/31/55
(H15T5Y
+
253bps)
(b)
7,979,878‌
6,648,000
NRG
Energy,
Inc.,
10.25%,
12/31/49
(H15T5Y
+
592bps)
(b)(c)(d)
7,332,903‌
5,150,000
Southern
Co.
(The),
6.38%,
3/15/55
(b)
5,401,495‌
9,762,000
Vistra
Corp.,
8.88%,
12/31/49
(H15T5Y
+
505bps)
(b)(c)(d)
10,643,382‌
100,604,296‌
GAS
&
WATER
UTILITIES
2.4%
8,000,000
AltaGas
Ltd.,
7.20%,
10/15/54
(H15T5Y
+
357bps)
(b)(d)
8,126,552‌
TOTAL
CORPORATE
BONDS
(Cost $288,183,112)
301,327,916‌
Sh
ar
e
s
SHORT-TERM
INVESTMENTS
5.0%
17,011,043‌
First
American
Treasury
Obligations
Fund,
Class
X,
4.20%
(e)
17,011,043‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost
$17,011,043)
17,011,043‌
TOTAL
INVESTMENTS
96.4%
(Cost
$313,034,255)
$
326,204,672‌
Other
Assets
in
Excess
of
Liabilities
3.6%
12,042,573
NET
ASSETS
100.00%
$
338,247,245‌
(a)
Affiliated
Company.
(b)
Variable
rate
security.
Interest
rate
resets
periodically.
The
rate
shown
is
the
effective
interest
rate
as
of
August
31,
2025.
For
securities
based
on
a
published
reference
rate
and
spread,
the
reference
rate
and
spread
(in
basis
points)
are
indicated
parenthetically.
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.
These
securities,
therefore,
do
not
indicate
a
reference
rate
and
spread.
(c)
Security
is
perpetual
in
nature
and
has
no
stated
maturity
date.
(d)
Security
exempt
from
registration
under
Rule
144A
or
Section
4(2)
of
the
Securities
Act
of
1933.
The
security
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
As
of
August
31,
2025
the
total
market
value
of
144A
securities
is
$34,073,125
or
10.1%
of
net
assets.
(e)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
August
31,
2025.
ETF
-
Exchange-Traded
Fund
North
Square
Preferred
and
Income
Securities
Fund
Schedule
of
Futures
Contracts
August
31,
2025
(Unaudited)
Short
Contracts
Contracts
Expiration
Date
Notional
Amount
Value
and
Unrealized
Appreciation
(Depreciation)
Euro
Foreign
Exchange
Currency
Futures
(63)
09/16/2025
$
(9,222,019‌)
$
(111,195‌)
Ultra
10-Year
US
Treasury
Note
Futures
(171)
12/22/2025
(19,563,469‌)
(98,864‌)
$
(210,059‌)
North
Square
Tactical
Growth
Fund
Schedule
of
Investments
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
EXCHANGE-TRADED
FUNDS
98.4%
688,900
Financial
Select
Sector
SPDR®
Fund
$
37,193,711‌
153,075
Invesco
QQQ
Trust,
Series
1
87,313,980‌
229,600
iShares
®
3-7
Year
Treasury
Bond
ETF
27,480,824‌
357,500
iShares
®
MSCI
Canada
ETF
17,442,425‌
720,600
iShares
®
MSCI
Eurozone
ETF
43,099,086‌
487,500
iShares
®
MSCI
India
ETF
25,340,250‌
391,600
Schwab
International
Small-Cap
Equity
ETF
17,328,300‌
129,440
SPDR®
S&P
500®
ETF
Trust
83,495,272‌
398,700
VanEck
Gold
Miners
ETF
25,185,879‌
124,200
Vanguard
FTSE
All-World
ex-US
Small-Cap
ETF
17,421,534‌
357,400
Vanguard
Global
ex-US
Real
Estate
ETF
16,833,540‌
194,287
Vanguard
Growth
ETF
89,103,904‌
354,498
Vanguard
Value
ETF
64,951,124‌
TOTAL
EXCHANGE-TRADED
FUNDS
(Cost $311,668,324)
552,189,829‌
SHORT-TERM
INVESTMENTS
1.8%
9,951,335‌
First
American
Treasury
Obligations
Fund,
Class
X,
4.20%
(a)
9,951,335‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost
$9,951,335)
9,951,335‌
TOTAL
INVESTMENTS
100.2%
(Cost
$321,619,659)
$
562,141,164‌
Liabilities
in
Excess
of
Other
Assets — 
(0.2)%
(1,230,622)
NET
ASSETS
100.00%
$
560,910,542‌
(a)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
August
31,
2025.
ETF
-
Exchange-Traded
Funds
FTSE
-
Financial
Times
Stock
Exchange
MSCI
-
Morgan
Stanley
Capital
International
SPDR
-
Standard
and
Poor's
Depository
Receipt
North
Square
Tactical
Defensive
Fund
Schedule
of
Investments
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
EXCHANGE-TRADED
FUNDS
98.8%
25,500
Invesco
QQQ
Trust,
Series
1
(a)
$
14,545,200‌
166,800
SPDR®
Portfolio
Developed
World
ex-US
ETF
6,962,232‌
54,400
SPDR®
Portfolio
Emerging
Markets
ETF
2,415,360‌
169,700
SPDR®
Portfolio
S&P
500®
ETF
12,880,230‌
29,500
SPDR®
Portfolio
S&P
600®
Small
Cap
ETF
1,358,180‌
21,800
SPDR®
S&P
500®
ETF
Trust
(a)
14,062,090‌
TOTAL
EXCHANGE-TRADED
FUNDS
(Cost $46,495,557)
52,223,292‌
SHORT-TERM
INVESTMENTS
1.3%
698,598‌
First
American
Treasury
Obligations
Fund,
Class
X,
4.20%
(b)
698,598‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost
$698,598)
698,598‌
TOTAL
INVESTMENTS
100.1%
(Cost
$47,194,155)
$
52,921,890‌
Liabilities
in
Excess
of
Other
Assets — 
(0.1)%
(33,835)
NET
ASSETS
100.00%
$
52,888,055‌
(a)
Represents
an
investment
greater
than
25%
of
the
Fund's
net
assets.
Performance
of
the
Fund
may
be
adversely
impacted
by
concentrated
investments
in
securities.
As
of
August
31,
2025,
the
percentage
of
net
assets
invested
in
Invesco
QQQ
Trust,
Series
1
and
SPDR®
S&P
500®
ETF
Trust
was
27.5%
and
26.6%,
respectively
of
the
Fund.
The
financial
statements
and
portfolio
holdings
for
these
securities
can
be
found
at
www.sec.gov.
(b)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
August
31,
2025.
ETF
-
Exchange-Traded
Funds
SPDR
-
Standard
and
Poor's
Depository
Receipt
North
Square
Core
Plus
Bond
Fund
Schedule
of
Investments
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
PREFERRED
STOCKS
0.5%
FINANCIALS
0.5%
SPECIALTY
FINANCE
0.5%
4,750
Synchrony
Financial,
Series
B,
8.25%
$
122,788‌
TOTAL
FINANCIALS
(Cost $122,122)
122,788‌
TOTAL
PREFERRED
STOCKS
(Cost $122,122)
122,788‌
P
ri
nc
i
p
al
Amo
u
nt
($)
ASSET
BACKED
SECURITIES
13.5%
80,000
Applebee's
Funding
LLC
/
IHOP
Funding
LLC
2025-1A
A2,
6.72%,
6/07/55
(a)
81,055‌
120,395
Bear
Stearns
Asset
Backed
Securities
I
Trust
2004-HE7
M1,
5.34%,
8/25/34
(TSFR1M
+
101bps)
(b)
117,363‌
175,000
BMW
Vehicle
Lease
Trust,
2024-2
A3,
4.18%,
2/25/27
175,221‌
103,302
BXP
Trust
2017-CQHP,
5.26%,
11/15/34
(TSFR1M
+
90bps)
(a)(b)
99,948‌
100,000
CFCRE
Commercial
Mortgage
Trust
2011-C2
E,
5.25%,
12/15/47
(a)(b)
93,471‌
127,721
Citigroup
Commercial
Mortgage
Trust
2014-GC23,
4.59%,
7/10/47
(a)(b)
122,125‌
3,500,000
Citigroup
Commercial
Mortgage
Trust
2020-555,
0.74%,
12/10/29
(a)(b)
102,085‌
116,006
Citigroup
Mortgage
Loan
Trust,
Inc.
2007-WFH3
M1,
4.83%,
6/25/37
(TSFR1M
+
50bps)
(b)
116,309‌
150,107
COMM
2010-C1
Mortgage
Trust,
5.79%,
7/10/46
(a)(b)
148,388‌
117,327
COMM
2013-CCE11
Mortgage
Trust,
4.46%,
8/10/50
(a)(b)
111,442‌
100,000
COMM
2013-CCRE7
Mortgage
Trust,
4.24%,
3/10/46
(a)(b)
93,425‌
52,063
COMM
2015-CCRE23
Mortgage
Trust,
4.22%,
5/10/48
(b)
50,635‌
88,896
Dell
Equipment
Finance
Trust
2023-3
A3,
5.93%,
6/22/26
(a)
89,411‌
121,527
HomeBanc
Mortgage
Trust
2005-3
M4,
5.44%,
7/25/35
(b)
122,253‌
60,000
Honda
Auto
Receivables
2024-3
Owner
Trust,
4.57%,
10/21/27
60,437‌
25,000
Hyundai
Auto
Receivables
Trust
2024-C
A3,
4.41%,
5/15/29
25,163‌
118,156
Impac
CMB
Trust
2005-4
1M1,
4.87%,
5/25/35
(TSFR1M
+
54bps)
(b)
113,051‌
159,526
JPMorgan
Chase
Commercial
Mortgage
Securities
2012-WLDN,
3.91%,
5/05/30
(a)
153,178‌
114,273
JPMorgan
Chase
Commercial
Mortgage
Securities
Trust
2012-C6,
4.96%,
5/15/45
(b)
113,369‌
100,000
JPMorgan
Chase
Commercial
Mortgage
Securities
Trust
2013-C10,
4.10%,
12/15/47
(b)
93,912‌
125,072
JPMorgan
Chase
Commercial
Mortgage
Securities
Trust,
2019
MFP,
6.07%,
7/15/36
(TSFR1M
+
171bps)
(a)(b)
122,042‌
181,118
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust,
2012-C5,
4.65%,
8/15/45
(a)(b)
177,758‌
121,954
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust,
2014-C17,
3.50%,
8/15/47
(a)
118,885‌
100,000
Morgan
Stanley
Capital
I
Trust
2014-150E
A,
3.91%,
9/09/32
(a)
90,993‌
182,661
Morgan
Stanley
Capital
I
Trust,
2011-C2,
5.21%,
6/15/44
(a)(b)
181,390‌
188,000
Nissan
Auto
Lease
Trust
2025-A
A3,
4.75%,
3/15/28
190,341‌
North
Square
Core
Plus
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
ASSET
BACKED
SECURITIES
13.5%
(Continued)
90,243
Structured
Adjustable
Rate
Mortgage
Loan
Trust
2004-4
B1,
5.93%,
4/25/34
(b)
$
86,675‌
45,000
Verizon
Master
Trust
2024-3
A1A,
5.34%,
4/22/30
45,948‌
TOTAL
ASSET
BACKED
SECURITIES
(Cost $3,066,887)
3,096,273‌
CORPORATE
BONDS
39.7%
COMMUNICATIONS
3.4%
CABLE
&
SATELLITE
0.5%
75,000
Clear
Channel
Outdoor
Holdings,
Inc.,
4.25%,
2/01/31
(a)
69,228‌
66,000
Comcast
Corp.,
3.25%,
11/01/39
52,005‌
121,233‌
ENTERTAINMENT
CONTENT
1.4%
60,000
Fox
Corp.,
6.50%,
10/13/33
65,333‌
150,000
Paramount
Global,
6.25%,
2/28/57
(b)
146,126‌
50,000
TEGNA,
Inc.,
4.63%,
3/15/28
49,773‌
69,000
Walt
Disney
Co.
(The),
3.50%,
5/13/40
57,019‌
318,251‌
INTERNET
MEDIA
&
SERVICES
0.2%
20,000
Meta
Platforms,
Inc.,
5.60%,
5/15/53
19,787‌
30,000
Ziff
Davis,
Inc.,
4.63%,
10/15/30
(a)
28,310‌
48,097‌
PUBLISHING
&
BROADCASTING
0.2%
50,000
Nexstar
Media
Group,
Inc.,
4.75%,
11/01/28
(a)
49,112‌
TELECOMMUNICATIONS
1.1%
20,000
AT&T,
Inc.,
4.35%,
3/01/29
20,089‌
150,000
Rogers
Communications,
Inc.,
7.13%,
4/15/55
(H15T5Y
+
262bps)
(b)
155,787‌
95,000
Verizon
Communications,
Inc.,
2.65%,
11/20/40
67,403‌
243,279‌
CONSUMER
DISCRETIONARY
2.3%
APPAREL
&
TEXTILE
PRODUCTS
0.1%
30,000
Crocs,
Inc.,
4.25%,
3/15/29
(a)
28,607‌
AUTOMOTIVE
1.7%
45,000
American
Honda
Finance
Corp.,
2.00%,
3/24/28
42,684‌
91,000
American
Honda
Finance
Corp.,
4.80%,
3/05/30
92,909‌
60,000
Ford
Motor
Co.,
Class
B,
3.25%,
2/12/32
51,457‌
88,000
General
Motors
Financial
Co.,
Inc.,
5.35%,
1/07/30
90,036‌
75,000
General
Motors
Financial
Co.,
Inc.,
5.75%,
3/30/66
(b)(c)
73,453‌
45,000
Toyota
Motor
Credit
Corp.,
5.35%,
1/09/36
46,491‌
397,030‌
CONSUMER
SERVICES
0.1%
25,000
Rent-A-Center,
Inc.,
6.38%,
2/15/29
(a)
24,538‌
North
Square
Core
Plus
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
39.7%
(Continued)
CONSUMER
DISCRETIONARY
2.3%
(continued)
LEISURE
FACILITIES
&
SERVICES
0.1%
18,000
McDonald's
Corp.,
4.40%,
2/12/31
$
18,067‌
RETAIL
-
DISCRETIONARY
0.3%
30,000
Gap,
Inc.
(The),
3.88%,
10/01/31
(a)
27,190‌
30,000
Patrick
Industries,
Inc.,
4.75%,
5/01/29
(a)
29,450‌
56,640‌
CONSUMER
STAPLES
2.1%
BEVERAGES
0.7%
37,000
Coca-Cola
Co.
(The),
1.65%,
6/01/30
33,219‌
34,000
Keurig
Dr
Pepper,
Inc.,
5.20%,
3/15/31
34,784‌
78,000
PepsiCo,
Inc.,
5.00%,
7/23/35
78,764‌
146,767‌
FOOD
0.3%
54,000
HLF
Financing
Sarl
LLC,
12.25%,
4/15/29
(a)
58,862‌
HOUSEHOLD
PRODUCTS
0.3%
70,000
Central
Garden
&
Pet
Co.,
4.13%,
10/15/30
66,269‌
RETAIL
-
CONSUMER
STAPLES
0.1%
30,000
Walmart,
Inc.,
4.90%,
4/28/35
30,487‌
TOBACCO
&
CANNABIS
0.5%
51,000
British
American
Tobacco
PLC,
5.35%,
8/15/32
52,530‌
29,000
Philip
Morris
International,
Inc.,
5.13%,
2/15/30
30,023‌
50,000
Turning
Point
Brands,
Inc.,
7.63%,
3/15/32
(a)
52,395‌
134,948‌
WHOLESALE
-
CONSUMER
STAPLES
0.2%
40,000
US
Foods
Holding
Corp.,
6.88%,
9/15/28
(a)
41,262‌
ENERGY
4.7%
OIL
&
GAS
PRODUCERS
4.3%
21,000
BP
Capital
Markets
America,
Inc.,
4.89%,
9/11/33
21,129‌
84,000
California
Resources
Corp.,
8.25%,
6/15/29
(a)
86,858‌
68,000
Chevron
USA,
Inc.,
4.82%,
4/15/32
69,685‌
29,000
ConocoPhillips
Co.,
5.00%,
1/15/35
29,012‌
70,000
ConocoPhillips
Co.,
5.30%,
5/15/53
64,211‌
27,000
Energy
Transfer
LP,
3.75%,
5/15/30
26,184‌
125,000
Energy
Transfer
LP,
6.63%,
2/15/72
(US0003M
+
416bps)
(b)(c)
124,504‌
10,000
Enterprise
Products
Operating
LLC,
4.80%,
2/01/49
8,650‌
94,000
Exxon
Mobil
Corp.,
4.33%,
3/19/50
77,896‌
40,000
Murphy
Oil
Corp.,
4.75%,
9/15/29
39,374‌
26,000
ONEOK,
Inc.,
5.05%,
11/01/34
25,362‌
20,000
ONEOK,
Inc.,
5.70%,
11/01/54
18,260‌
North
Square
Core
Plus
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
39.7%
(Continued)
ENERGY
4.7%
(continued)
OIL
&
GAS
PRODUCERS
4.3%
(continued)
60,000
Phillips
66
Co.,
5.25%,
6/15/31
$
62,178‌
150,000
South
Bow
Canadian
Infrastructure
Holdings
Ltd.,
7.50%,
3/01/55
(b)
156,873‌
55,000
TotalEnergies
Capital
SA,
5.49%,
4/05/54
52,404‌
75,000
Vital
Energy,
Inc.,
7.75%,
7/31/29
(a)
75,059‌
68,000
Vital
Energy,
Inc.,
7.88%,
4/15/32
(a)
67,043‌
1,004,682‌
OIL
&
GAS
SERVICES
&
EQUIPMENT
0.4%
40,000
Helix
Energy
Solutions
Group,
Inc.,
9.75%,
3/01/29
(a)
41,663‌
40,000
Noble
Finance
II
LLC,
8.00%,
4/15/30
(a)
41,449‌
83,112‌
FINANCIALS
13.7%
ASSET
MANAGEMENT
1.1%
200,000
UBS
Group
AG,
7.13%,
12/31/49
(USISSO05
+
318bps)
(a)(b)(c)
204,107‌
37,319
United
Airlines
2023-1
Class
A
Pass
Through
Trust,
5.80%,
7/15/36
38,511‌
242,618‌
BANKING
9.4%
200,000
Banco
Bilbao
Vizcaya
Argentaria
SA,
6.13%,
2/16/49
(USSW5
+
387bps)
(b)(c)
199,530‌
200,000
Banco
Santander
SA,
8.00%,
12/31/49
(H15T5Y
+
391bps)
(b)(c)
217,595‌
39,000
Bank
of
Nova
Scotia
(The),
5.13%,
2/14/31
(SOFRRATE
+
107bps)
(b)
40,140‌
200,000
CaixaBank
SA,
3.63%,
3/14/71
(EUSA5
+
386bps)
(a)(b)(c)
224,453‌
60,000
Canadian
Imperial
Bank
of
Commerce,
5.26%,
4/08/29
62,131‌
55,000
Citigroup,
Inc.,
4.95%,
5/07/31
(b)
56,052‌
150,000
Citigroup,
Inc.,
6.95%,
2/15/80
(H15T5Y
+
273bps)
(b)(c)
152,684‌
200,000
HSBC
Holdings
PLC,
7.05%,
12/31/49
(H15T5Y
+
3bps)
(b)(c)
206,824‌
200,000
ING
Groep
NV,
4.25%,
10/16/69
(H15T5Y
+
286bps)
(b)(c)
175,270‌
50,000
JPMorgan
Chase
&
Co.,
5.00%,
7/22/30
51,293‌
80,000
JPMorgan
Chase
&
Co.,
5.14%,
1/24/31
(SOFRRATE
+
90bps)
(b)
82,466‌
43,000
JPMorgan
Chase
&
Co.,
1.95%,
2/04/32
(b)
37,816‌
33,000
Morgan
Stanley,
1.59%,
5/04/27
(b)
32,391‌
153,000
Morgan
Stanley
Bank
NA,
4.15%,
5/07/29
154,491‌
153,000
Morgan
Stanley
Private
Bank
NA,
4.15%,
5/07/29
154,491‌
22,000
PNC
Financial
Services
Group
Inc.
(The),
6.88%,
10/20/34
(SOFRRATE
+
2bps)
(b)
24,710‌
79,000
Royal
Bank
of
Canada,
4.65%,
10/18/30
(SOFRINDEX
+
108bps)
(b)
79,713‌
39,000
Toronto-Dominion
Bank
(The),
4.86%,
1/31/28
39,667‌
23,000
Toronto-Dominion
Bank
(The),
4.78%,
12/17/29
23,513‌
33,000
US
Bancorp,
Series
CC,
5.68%,
1/23/35
(SOFRRATE
+
186bps)
(b)
34,405‌
50,000
Wells
Fargo
&
Co.,
5.24%,
1/24/31
(SOFRRATE
+
111bps)
(b)
51,665‌
68,000
Wells
Fargo
Bank
NA,
4.25%,
3/11/27
68,374‌
2,169,674‌
North
Square
Core
Plus
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
39.7%
(Continued)
FINANCIALS
13.7%
(continued)
INSTITUTIONAL
FINANCIAL
SERVICES
2.2%
84,000
Bank
of
New
York
Mellon
Corp.
(The),
5.06%,
7/22/32
(b)
$
86,559‌
125,000
CenterPoint
Energy,
Inc.,
6.85%,
2/15/55
(H15T5Y
+
295bps)
(b)
131,332‌
64,000
Goldman
Sachs
Bank
USA,
4.30%,
3/11/27
64,373‌
35,000
Goldman
Sachs
Bank
USA,
5.41%,
5/21/27
(SOFRRATE
+
75bps)
(b)
35,261‌
116,000
Goldman
Sachs
Group,
Inc.
(The),
1.43%,
3/09/27
(b)
114,210‌
84,000
Goldman
Sachs
Group,
Inc.
(The),
1.99%,
1/27/32
(b)
73,802‌
505,537‌
SPECIALTY
FINANCE
1.0%
50,000
American
Express
Co.,
5.28%,
7/26/35
(SOFRRATE
+
142bps)
(b)
51,079‌
60,000
Bread
Financial
Holdings,
Inc.,
9.75%,
3/15/29
(a)
64,160‌
20,000
Capital
One
Financial
Corp.,
1.88%,
11/02/27
(b)
19,439‌
19,000
Capital
One
Financial
Corp.,
6.31%,
6/08/29
(b)
19,946‌
72,000
Springleaf
Finance
Corp.,
5.38%,
11/15/29
71,236‌
225,860‌
HEALTH
CARE
1.1%
BIOTECH
&
PHARMA
0.4%
28,000
Eli
Lilly
&
Co.,
5.00%,
2/09/54
25,682‌
70,000
Prestige
Consumer
Healthcare,
Inc.,
3.75%,
4/01/31
(a)
64,555‌
90,237‌
HEALTH
CARE
FACILITIES
&
SERVICES
0.7%
20,000
Cigna
Group
(The),
2.38%,
3/15/31
17,940‌
30,000
HealthEquity
,
Inc.,
4.50%,
10/01/29
(a)
29,038‌
50,000
Pediatrix
Medical
Group,
Inc.,
5.38%,
2/15/30
(a)
49,498‌
28,000
UnitedHealth
Group,
Inc.,
2.30%,
5/15/31
25,016‌
35,000
UnitedHealth
Group,
Inc.,
5.15%,
7/15/34
35,574‌
10,000
UnitedHealth
Group,
Inc.,
5.38%,
4/15/54
9,240‌
166,306‌
INDUSTRIALS
2.4%
AEROSPACE
&
DEFENSE
0.4%
30,000
Boeing
Co.
(The),
5.15%,
5/01/30
30,783‌
29,000
Lockheed
Martin
Corp.,
5.00%,
8/15/35
29,196‌
38,000
Lockheed
Martin
Corp.,
4.70%,
5/15/46
33,949‌
15,000
Northrop
Grumman
Corp.,
3.25%,
1/15/28
14,735‌
108,663‌
COMMERCIAL
SUPPORT
SERVICES
0.4%
82,000
Deluxe
Corp.,
8.00%,
6/01/29
(a)
81,274‌
DIVERSIFIED
INDUSTRIALS
0.3%
77,000
Honeywell
International,
Inc.,
4.75%,
2/01/32
78,223‌
North
Square
Core
Plus
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
39.7%
(Continued)
INDUSTRIALS
2.4%
(continued)
ELECTRICAL
EQUIPMENT
0.2%
35,000
Johnson
Controls
International
PLC,
5.50%,
4/19/29
$
36,503‌
INDUSTRIAL
INTERMEDIATE
PROD
0.3%
60,000
Enpro
,
Inc.,
6.13%,
6/01/33
(a)
61,375‌
MACHINERY
0.4%
47,000
Caterpillar,
Inc.,
5.20%,
5/15/35
48,182‌
39,000
John
Deere
Capital
Corp.,
5.10%,
4/11/34
39,999‌
88,181‌
TRANSPORTATION
&
LOGISTICS
0.4%
80,000
Burlington
Northern
Santa
Fe
LLC,
4.55%,
9/01/44
70,612‌
21,979
FedEx
Corp.
2020-1
Class
AA
Pass
Through
Trust,
1.88%,
2/20/34
19,238‌
89,850‌
MATERIALS
2.2%
CHEMICALS
0.7%
150,000
FMC
Corp.,
8.45%,
11/01/55
(b)
157,093‌
METALS
&
MINING
1.5%
50,000
Alliance
Resource
Operating
Partners
LP,
8.63%,
6/15/29
(a)
52,871‌
79,000
Eldorado
Gold
Corp.,
6.25%,
9/01/29
(a)
79,254‌
80,000
Hudbay
Minerals,
Inc.,
6.13%,
4/01/29
(a)
80,936‌
80,000
New
Gold,
Inc.,
6.88%,
4/01/32
(a)
83,448‌
50,000
SunCoke
Energy,
Inc.,
4.88%,
6/30/29
(a)
45,700‌
342,209‌
REAL
ESTATE
0.5%
REAL
ESTATE
INVESTMENT
TRUSTS
0.2%
50,000
American
Tower
Corp.,
3.80%,
8/15/29
49,015‌
REAL
ESTATE
OWNERS
&
DEVELOPERS
0.1%
30,000
Howard
Hughes
Corp.
(The),
4.38%,
2/01/31
(a)
27,963‌
REIT
0.2%
30,000
RLJ
Lodging
Trust
LP,
4.00%,
9/15/29
(a)
28,174‌
TECHNOLOGY
1.5%
SEMICONDUCTORS
0.7%
35,000
Broadcom,
Inc.,
4.35%,
2/15/30
35,109‌
71,000
Broadcom,
Inc.,
4.90%,
7/15/32
71,900‌
15,000
Intel
Corp.,
5.70%,
2/10/53
13,803‌
25,000
Synaptics
,
Inc.,
4.00%,
6/15/29
(a)
23,887‌
144,699‌
SOFTWARE
0.6%
30,000
Consensus
Cloud
Solutions,
Inc.,
6.50%,
10/15/28
(a)
30,144‌
North
Square
Core
Plus
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
39.7%
(Continued)
TECHNOLOGY
1.5%
(continued)
SOFTWARE
0.6%
(continued)
34,000
Oracle
Corp.,
4.80%,
8/03/28
$
34,659‌
67,000
Oracle
Corp.,
3.60%,
4/01/40
53,152‌
30,000
ZoomInfo
Technologies
LLC/
ZoomInfo
Finance
Corp.,
3.88%,
2/01/29
(a)
28,193‌
146,148‌
TECHNOLOGY
HARDWARE
0.2%
49,000
Apple,
Inc.,
2.95%,
9/11/49
32,561‌
30,000
Cisco
Systems,
Inc.,
4.95%,
2/26/31
31,067‌
63,628‌
UTILITIES
5.8%
ELECTRIC
UTILITIES
5.2%
40,000
Alabama
Power
Co.,
3.45%,
10/01/49
28,335‌
15,000
Berkshire
Hathaway
Energy
Co.,
3.70%,
7/15/30
14,699‌
10,000
Consolidated
Edison
Company
of
New
York,
Inc.,
5.70%,
5/15/54
9,899‌
45,000
Dominion
Energy,
Inc.,
5.45%,
3/15/35
45,611‌
120,000
Dominion
Energy,
Inc.,
6.88%,
2/01/55
(H15T5Y
+
239bps)
(b)
125,527‌
50,000
Dominion
Energy,
Inc.,
6.20%,
2/15/56
(H15T10Y
+
2bps)
(b)
49,868‌
138,000
Duke
Energy
Carolinas
LLC,
5.30%,
2/15/40
138,376‌
20,000
Entergy
Corp.,
1.90%,
6/15/28
18,837‌
27,000
Florida
Power
&
Light
Co.,
5.30%,
6/15/34
27,936‌
35,000
Florida
Power
&
Light
Co.,
5.30%,
4/01/53
33,405‌
119,000
MidAmerican
Energy
Co.,
4.25%,
7/15/49
96,400‌
15,000
NextEra
Energy
Capital
Holdings,
Inc.,
2.25%,
6/01/30
13,681‌
100,000
NextEra
Energy
Capital
Holdings,
Inc.,
6.50%,
8/15/55
(H15T5Y
+
198bps)
(b)
104,990‌
100,000
NiSource,
Inc.,
6.38%,
3/31/55
(H15T5Y
+
253bps)
(b)
102,940‌
75,000
NRG
Energy,
Inc.,
10.25%,
12/31/49
(H15T5Y
+
592bps)
(a)(b)(c)
82,727‌
21,000
Pacific
Gas
and
Electric
Co.,
4.55%,
7/01/30
20,809‌
65,000
Virginia
Electric
and
Power
Co.,
5.45%,
4/01/53
61,721‌
200,000
Vistra
Corp.,
8.88%,
12/31/49
(H15T5Y
+
505bps)
(a)(b)(c)
218,057‌
1,193,818‌
GAS
&
WATER
UTILITIES
0.6%
125,000
AltaGas
Ltd.,
7.20%,
10/15/54
(H15T5Y
+
357bps)
(a)(b)
126,977‌
TOTAL
CORPORATE
BONDS
(Cost $8,990,623)
9,095,268‌
MORTGAGE-BACKED
SECURITIES
29.1%
273,317‌
Fannie
Mae
Pool
,
3.50%,
10/13/37
252,871‌
179,400‌
Fannie
Mae
Pool
,
5.00%,
11/01/46
182,528‌
109,921‌
Fannie
Mae
Pool
,
4.00%,
6/01/47
105,112‌
106,415‌
Fannie
Mae
Pool
,
3.50%,
9/01/49
95,262‌
73,977‌
Fannie
Mae
Pool
,
3.00%,
9/01/50
64,791‌
61,390‌
Fannie
Mae
Pool
,
2.50%,
5/01/51
51,789‌
48,367‌
Fannie
Mae
Pool
,
3.00%,
5/01/51
42,259‌
North
Square
Core
Plus
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
MORTGAGE-BACKED
SECURITIES
29.1%
(Continued)
249,948‌
Fannie
Mae
Pool
,
2.50%,
10/01/51
$
208,457‌
41,319‌
Fannie
Mae
Pool
,
4.00%,
1/01/52
39,100‌
69,878‌
Fannie
Mae
Pool
,
5.00%,
6/01/52
69,681‌
231,040‌
Fannie
Mae
Pool
,
5.50%,
11/01/52
234,138‌
30,265‌
Fannie
Mae
Pool
,
6.50%,
1/01/53
31,736‌
228,627‌
Fannie
Mae
Pool
,
4.50%,
4/01/53
220,479‌
41,140‌
Fannie
Mae
Pool
,
6.00%,
9/01/53
42,615‌
88,719‌
Fannie
Mae
Pool
,
4.50%,
11/01/54
86,217‌
132,320‌
Fannie
Mae
Pool
,
5.50%,
9/01/56
136,558‌
128,200‌
Fannie
Mae
REMICS
2024-11
,
5.00%,
2/25/51
128,020‌
199,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
4.70%,
3/05/29
199,504‌
77,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
4.97%,
1/15/30
77,137‌
122,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
5.11%,
7/15/32
122,162‌
146,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
5.34%,
1/28/33
146,079‌
79,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
4.94%,
3/03/33
79,483‌
100,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
5.09%,
3/11/33
99,830‌
54,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
4.72%,
4/14/33
53,709‌
85,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
5.27%,
6/23/33
85,263‌
47,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
1.95%,
5/14/35
37,030‌
77,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
1.74%,
2/01/36
57,691‌
37,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
2.37%,
3/18/41
26,038‌
24,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
2.50%,
7/29/41
17,075‌
80,000‌
Federal
Home
Loan
Banks
,
4.84%,
3/06/30
80,162‌
155,000‌
Federal
Home
Loan
Banks
,
4.54%,
4/17/30
155,021‌
75,000‌
Federal
Home
Loan
Banks
,
5.19%,
2/25/32
75,261‌
25,000‌
Federal
Home
Loan
Banks
,
5.25%,
6/25/32
25,219‌
35,000‌
Federal
Home
Loan
Banks
,
5.35%,
6/12/34
35,182‌
155,000‌
Federal
Home
Loan
Banks
,
5.38%,
4/09/35
155,436‌
75,000‌
Federal
Home
Loan
Banks
,
5.75%,
12/27/35
75,003‌
50,000‌
Federal
Home
Loan
Banks
,
1.90%,
2/25/36
38,053‌
120,000‌
Federal
Home
Loan
Banks
,
2.00%,
2/26/36
92,309‌
50,000‌
Federal
Home
Loan
Banks
,
2.15%,
2/25/41
34,064‌
98,000‌
Federal
Home
Loan
Mortgage
Corp.
,
1.72%,
9/22/36
72,291‌
37,000‌
Federal
Home
Loan
Mortgage
Corp.
,
2.00%,
10/29/40
24,883‌
195,000‌
Federal
National
Mortgage
Association
,
1.53%,
8/17/35
147,050‌
223,000‌
Federal
National
Mortgage
Association
,
1.60%,
8/24/35
168,225‌
56,871‌
Freddie
Mac
Gold
Pool
,
4.00%,
8/01/45
54,307‌
650,000‌
Freddie
Mac
Multifamily
Structured
Pass-Through
Certificates
K-G04
,
2.63%,
11/25/30
(b)
73,042‌
84,853‌
Freddie
Mac
Pool
,
2.50%,
4/01/42
74,866‌
106,555‌
Freddie
Mac
Pool
,
3.00%,
7/01/51
92,976‌
77,761‌
Freddie
Mac
Pool
,
2.50%,
2/01/52
65,198‌
75,028‌
Freddie
Mac
Pool
,
3.50%,
4/01/52
68,302‌
240,459‌
Freddie
Mac
Pool
,
3.00%,
5/01/52
210,676‌
55,200‌
Freddie
Mac
Pool
,
4.00%,
9/01/52
51,638‌
North
Square
Core
Plus
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
MORTGAGE-BACKED
SECURITIES
29.1%
(Continued)
128,540‌
Freddie
Mac
Pool
,
5.00%,
7/01/53
$
128,757‌
121,276‌
Freddie
Mac
REMICS
,
3.00%,
5/15/43
118,957‌
46,697‌
Freddie
Mac
REMICS
,
5.50%,
11/25/51
47,412‌
188,166‌
Ginnie
Mae
II
Pool
,
2.50%,
8/20/50
157,425‌
124,247‌
Ginnie
Mae
II
Pool
,
2.50%,
12/20/50
104,985‌
215,631‌
Ginnie
Mae
II
Pool
,
2.00%,
3/20/51
173,964‌
332,656‌
Ginnie
Mae
II
Pool
,
3.00%,
10/20/51
295,071‌
80,340‌
Ginnie
Mae
II
Pool
,
3.00%,
3/20/52
70,097‌
200,955‌
Ginnie
Mae
II
Pool
,
5.00%,
11/20/52
200,090‌
192,899‌
Ginnie
Mae
II
Pool
,
5.50%,
9/01/53
(b)
195,747‌
204,351‌
Government
National
Mortgage
Association
2022-189
PT
,
2.50%,
10/20/51
171,277‌
84,692‌
Government
National
Mortgage
Association
2024-65
NB
,
5.50%,
2/20/48
85,160‌
60,000‌
Government
National
Mortgage
Association
2024-8
JL
,
5.00%,
1/20/54
59,822‌
TOTAL
MORTGAGE-BACKED
SECURITIES
(Cost $6,702,590)
6,670,542‌
NON
U.S.
GOVERNMENT
&
AGENCIES
0.4%
SUPRANATIONAL
0.4%
100,000‌
International
Bank
for
Reconstruction
&
Development,
4.70%,
11/8/34
100,021‌
TOTAL
NON
U.S.
GOVERNMENT
&
AGENCIES
(Cost $100,000)
100,021‌
U.S.
GOVERNMENT
&
AGENCIES
12.8%
GOVERNMENT
SPONSORED
0.3%
88,000‌
Resolution
Funding
Corp.
Principal
"Strips",
0.00
%
,
1/15/30
74,307‌
U.S.
TREASURY
BONDS
6.5%
279,000‌
United
States
Treasury
Bond,
2.75
%
,
11/15/42
210,961‌
270,000‌
United
States
Treasury
Bond,
4.00
%
,
11/15/52
231,789‌
111,000‌
United
States
Treasury
Bond,
4.63
%
,
2/15/55
105,832‌
158,000‌
United
States
Treasury
Note/Bond,
3.75
%
,
12/31/28
158,737‌
290,000‌
United
States
Treasury
Note/Bond,
4.75
%
,
2/15/45
285,786‌
398,000‌
United
States
Treasury
Note/Bond,
3.13
%
,
5/15/48
298,127‌
207,000‌
United
States
Treasury
Note/Bond,
4.50
%
,
11/15/54
193,278‌
1,484,510‌
U.S.
TREASURY
NOTES
6.0%
51,000‌
United
States
Treasury
Note,
4.25
%
,
5/15/35
51,163‌
171,000‌
United
States
Treasury
Note,
4.25
%
,
8/15/35
171,361‌
168,000‌
United
States
Treasury
Note/Bond,
3.88
%
,
7/31/27
168,709‌
227,000‌
United
States
Treasury
Note/Bond,
3.88
%
,
7/15/28
228,782‌
379,000‌
United
States
Treasury
Note/Bond,
3.88
%
,
7/31/30
382,109‌
261,000‌
United
States
Treasury
Note/Bond,
4.00
%
,
7/31/32
262,223‌
81,000‌
United
States
Treasury
Note/Bond,
4.75
%
,
5/15/55
78,823‌
38,000‌
United
States
Treasury
Note/Bond,
4.75
%
,
8/15/55
37,008‌
1,380,178‌
TOTAL
U.S.
GOVERNMENT
&
AGENCIES
(Cost $2,956,215)
2,938,995‌
North
Square
Core
Plus
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
C
ont
ra
ct
s
Description
Expiration
Date
Exercise
Price
Notional
Value
Fair
Value
PURCHASED
CALL
OPTIONS
0.70%
29
E-mini
S&P
500®
Index
12/22/2025
$
6,700.00
$
18,932,650
$
151,888‌
TOTAL
PURCHASED
CALL
OPTIONS
(Cost $135,388)
151,888‌
Sh
ar
e
s
SHORT-TERM
INVESTMENTS
1.80%
417,865‌
First
American
Treasury
Obligations
Fund,
Class
X,
4.20%
(d)
417,865‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost $417,865)
417,865‌
TOTAL
INVESTMENTS
98.5%
(Cost
$22,491,690)
$
22,593,640‌
Other
Assets
in
Excess
of
Liabilities
1.5%
341,574
NET
ASSETS
100.00%
$
22,935,214‌
(a)
Security
exempt
from
registration
under
Rule
144A
or
Section
4(2)
of
the
Securities
Act
of
1933.
The
security
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
As
of
August
31,
2025
the
total
market
value
of
144A
securities
is
$4,193,413
or
18.3%
of
net
assets.
(b)
Variable
rate
security.
Interest
rate
resets
periodically.
The
rate
shown
is
the
effective
interest
rate
as
of
August
31,
2025.
For
securities
based
on
a
published
reference
rate
and
spread,
the
reference
rate
and
spread
(in
basis
points)
are
indicated
parenthetically.
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.
These
securities,
therefore,
do
not
indicate
a
reference
rate
and
spread.
(c)
Security
is
perpetual
in
nature
and
has
no
stated
maturity
date.
(d)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
August
31,
2025.
REMIC
Real
Estate
Mortgage
Investment
Conduit
North
Square
Core
Plus
Bond
Fund
Futures
Table
Schedule
of
Investments
August
31,
2025
(Unaudited)
Contracts
Long
Contracts
Expiration
Date
Notional
Amount
Value
and
Unrealized
Appreciation
(Depreciation)
12
10-Year
US
Treasury
Note
Future
12/22/2025
$
1,350,000‌
$
6,904‌
12
2-Year
US
Treasury
Note
Future
01/02/2026
2,502,469‌
1,946‌
1
3-Year
US
Treasury
Note
Future
01/02/2026
213,164‌
578‌
27
5-Year
US
Treasury
Note
Future
01/02/2026
2,955,656‌
9,185‌
1
Ultra
US
Treasury
Bond
Future
12/22/2025
116,563‌
(187‌)
9
US
Treasury
Bond
Future
12/22/2025
1,028,250‌
1,687‌
$
20,113‌
Contracts
Short
Contracts
Expiration
Date
Notional
Amount
Value
and
Unrealized
Appreciation
(Depreciation)
(43)
Bloomberg
US
Corporate
High
Yield
Very
Liquid
Future
09/17/2025
$
(4,682,055‌)
$
(73,290‌)
(10)
E-mini
S&P
500®
Index
Future
09/22/2025
(3,236,375‌)
(45,987‌)
(2)
Euro
Foreign
Exchange
Currency
Future
09/16/2025
(292,763‌)
3,187‌
(7)
Ultra
10-Year
US
Treasury
Note
Future
12/22/2025
(800,844‌)
(4,047‌)
$
(120,137‌)
North
Square
Kennedy
MicroCap
Fund
Schedule
of
Investments
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
93.3%
COMMUNICATIONS
2.8%
ADVERTISING
&
MARKETING
0.9%
44,727
Advantage
Solutions,
Inc.
(a)
$
81,403‌
6,327
Magnite,
Inc.
(a)
164,186‌
245,589‌
ENTERTAINMENT
CONTENT
0.4%
12,454
Inspired
Entertainment,
Inc.
(a)
115,822‌
INTERNET
MEDIA
&
SERVICES
1.0%
16,248
OptimizeRx
Corp.
(a)
293,602‌
PUBLISHING
&
BROADCASTING
0.5%
11,991
Thryv
Holdings,
Inc.
(a)
154,204‌
TOTAL  COMMUNICATIONS
809,217‌
CONSUMER
DISCRETIONARY
2.9%
AUTOMOTIVE
0.6%
4,568
Gentherm,
Inc.
(a)
167,966‌
CONSUMER
SERVICES
2.3%
22,166
Legacy
Education,
Inc.
(a)
267,322‌
3,597
Matthews
International
Corp.,
Class
A
88,378‌
11,773
Universal
Technical
Institute,
Inc.
(a)
313,044‌
668,744‌
TOTAL  CONSUMER
DISCRETIONARY
836,710‌
CONSUMER
STAPLES
4.0%
FOOD
2.5%
5,606
LifeVantage
Corp.
73,438‌
22,582
Nature's
Sunshine
Products,
Inc.
(a)
380,507‌
41,396
SunOpta,
Inc.
(a)
259,553‌
713,498‌
WHOLESALE
-
CONSUMER
STAPLES
1.5%
7,099
Chefs'
Warehouse,
Inc.
(The)
(a)
448,231‌
TOTAL  CONSUMER
STAPLES
1,161,729‌
ENERGY
5.3%
OIL
&
GAS
PRODUCERS
0.9%
8,592
Riley
Exploration
Permian,
Inc.
251,402‌
OIL
&
GAS
SERVICES
&
EQUIPMENT
4.0%
23,081
Helix
Energy
Solutions
Group,
Inc.
(a)
152,104‌
28,044
MRC
Global,
Inc.
(a)
422,904‌
24,524
Oil
States
International,
Inc.
(a)
137,334‌
8,194
Solaris
Energy
Infrastructure,
Inc.,
Class
A
258,848‌
6,574
Thermon
Group
Holdings,
Inc.
(a)
174,343‌
1,145,533‌
North
Square
Kennedy
MicroCap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
93.3%
(Continued)
ENERGY
5.3%
(Continued)
RENEWABLE
ENERGY
0.4%
2,330
American
Superconductor
Corp.
(a)
$
116,267‌
TOTAL  ENERGY
1,513,202‌
FINANCIALS
24.2%
ASSET
MANAGEMENT
1.0%
5,679
Acuren
Corp.
(a)
64,002‌
13,187
Trinity
Capital,
Inc.
213,630‌
277,632‌
BANKING
17.9%
12,713
Amerant
Bancorp,
Inc.
273,330‌
13,114
Capital
Bancorp,
Inc.
445,745‌
12,940
Carter
Bankshares,
Inc.
(a)
251,812‌
1,673
Coastal
Financial
Corp.
(a)
191,558‌
15,081
FB
Financial
Corp.
809,548‌
2,521
First
Financial
Corp.
148,739‌
3,468
Horizon
Bancorp
58,470‌
13,328
Investar
Holding
Corp.
312,408‌
6,214
Northeast
Bank
687,020‌
20,068
Old
Second
Bancorp,
Inc.
370,455‌
6,502
Origin
Bancorp,
Inc.
252,863‌
2,010
QCR
Holdings,
Inc.
157,544‌
10,554
Simmons
First
National
Corp.,
Class
A
219,312‌
14,116
Southern
California
Bancorp
(a)
237,713‌
14,073
Third
Coast
Bancshares,
Inc.
(a)
560,528‌
2,506
Timberland
Bancorp,
Inc.
83,826‌
7,711
VersaBank
84,590‌
5,145,461‌
INSTITUTIONAL
FINANCIAL
SERVICES
0.4%
5,582
Perella
Weinberg
Partners
123,530‌
INSURANCE
3.0%
23,895
Abacus
Life,
Inc.
(a)
170,849‌
25,829
Crawford
&
Co.,
Class
A
279,987‌
15,686
James
River
Group
Holdings,
Ltd.
88,155‌
13,976
Tiptree,
Inc.
327,737‌
866,728‌
SPECIALTY
FINANCE
1.9%
9,306
LendingClub
Corp.
(a)
159,877‌
4,553
Mid
Penn
Bancorp,
Inc.
137,227‌
37,451
Oportun
Financial
Corp.
(a)
247,551‌
544,655‌
TOTAL  FINANCIALS
6,958,006‌
North
Square
Kennedy
MicroCap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
93.3%
(Continued)
HEALTH
CARE
20.6%
BIOTECH
&
PHARMA
10.7%
23,123
Abeona
Therapeutics,
Inc.
(a)
$
157,930‌
24,001
Adaptive
Biotechnologies
Corp.
(a)
316,333‌
12,901
Aldeyra
Therapeutics,
Inc.
(a)
75,342‌
18,346
Annexon,
Inc.
(a)
37,793‌
4,446
Apogee
Therapeutics,
Inc.
(a)
161,701‌
12,160
Arvinas,
Inc.
(a)
93,997‌
20,155
Avadel
Pharmaceuticals
PLC
(a)
297,488‌
16,314
Cogent
Biosciences,
Inc.
(a)
197,073‌
19,827
CorMedix,
Inc.
(a)
294,034‌
14,949
Day
One
Biopharmaceuticals,
Inc.
(a)
112,267‌
25,221
Elutia,
Inc.
(a)
57,504‌
25,747
Exagen,
Inc.
(a)
253,865‌
15,239
Immunome,
Inc.
(a)
144,923‌
3,764
NewAmsterdam
Pharma
Co.
NV
(a)
90,524‌
3,941
Oruka
Therapeutics,
Inc.
(a)
58,327‌
30,988
Ovid
Therapeutics,
Inc.
(a)
39,665‌
1,587
Praxis
Precision
Medicines,
Inc.
(a)
72,272‌
35,726
Puma
Biotechnology,
Inc.
(a)
180,059‌
5,883
Tectonic
Therapeutic,
Inc.
(a)
150,252‌
9,826
WAVE
Life
Sciences
Ltd.
(a)
94,329‌
25,476
Xeris
Biopharma
Holdings,
Inc.
(a)
199,477‌
3,085,155‌
HEALTH
CARE
FACILITIES
&
SERVICES
2.5%
36,828
AdaptHealth
Corp.
(a)
349,498‌
6,447
GoodRx
Holdings,
Inc.
(a)
28,044‌
34,975
Personalis,
Inc.
(a)
171,028‌
1,999
US
Physical
Therapy,
Inc.
165,697‌
714,267‌
HEALTH
CARE
TECHNOLOGY
0.4%
33,933
Health
Catalyst,
Inc.
(a)
115,033‌
MEDICAL
EQUIPMENT
&
DEVICES
7.0%
10,026
AtriCure,
Inc.
(a)
370,862‌
20,659
Bioventus,
Inc.
(a)
152,877‌
18,753
CryoLife,
Inc.
(a)
823,819‌
19,958
Delcath
Systems,
Inc.
(a)
219,937‌
60,821
MaxCyte,
Inc.
(a)
84,541‌
38,570
Neogen
Corp.
(a)
221,777‌
6,777
OrthoPediatrics
Corp.
(a)
144,757‌
2,018,570‌
TOTAL  HEALTH
CARE
5,933,025‌
North
Square
Kennedy
MicroCap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
93.3%
(Continued)
INDUSTRIALS
13.9%
AEROSPACE
&
DEFENSE
1.6%
12,587
Park
Aerospace
Corp.
$
235,880‌
3,891
V2X,
Inc.
(a)
223,733‌
459,613‌
COMMERCIAL
SUPPORT
SERVICES
3.6%
6,743
Barrett
Business
Services,
Inc.
329,058‌
622
CRA
International,
Inc.
120,519‌
15,838
Healthcare
Services
Group,
Inc.
(a)
247,231‌
20,220
Kelly
Services,
Inc.,
Class
A
287,731‌
26,346
Quest
Resource
Holding
Corp.
(a)
49,135‌
1,033,674‌
ELECTRICAL
EQUIPMENT
0.6%
4,478
LSI
Industries,
Inc.
102,681‌
8,551
Stoneridge,
Inc.
(a)
70,973‌
173,654‌
ENGINEERING
&
CONSTRUCTION
0.9%
20,466
Orion
Group
Holdings,
Inc.
(a)
151,449‌
636
VSE
Corp.
103,286‌
254,735‌
INDUSTRIAL
INTERMEDIATE
PRODUCTS
1.9%
1,096
AZZ,
Inc.
123,727‌
25,177
Hillman
Solutions
Corp.
248,749‌
4,666
Insteel
Industries,
Inc.
179,081‌
551,557‌
INDUSTRIAL
SUPPORT
SERVICES
0.2%
10,617
Custom
Truck
One
Source,
Inc.,
Class
A
(a)
65,188‌
MACHINERY
2.9%
3,827
Albany
International
Corp.,
Class
A
243,053‌
6,725
Heilos
Technologies,
Inc.
364,764‌
8,230
Ichor
Holdings
Ltd.
(a)
138,675‌
8,652
Titan
International,
Inc.
(a)
76,311‌
822,803‌
TRANSPORTATION
&
LOGISTICS
0.7%
6,789
Werner
Enterprises,
Inc.
195,863‌
TRANSPORTATION
EQUIPMENT
1.5%
8,141
REV
Group,
Inc.
433,183‌
TOTAL  INDUSTRIALS
3,990,270‌
MATERIALS
5.0%
CHEMICALS
1.0%
16,708
LSB
Industries,
Inc.
(a)
139,011‌
North
Square
Kennedy
MicroCap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
93.3%
(Continued)
MATERIALS
5.0%
(Continued)
CHEMICALS
1.0%
(Continued)
2,450
Minerals
Technologies,
Inc.
$
160,352‌
299,363‌
CONTAINERS
&
PACKAGING
2.7%
19,869
TriMas
Corp.
768,334‌
METALS
&
MINING
1.3%
3,499
Materion
Corp.
387,689‌
TOTAL  MATERIALS
1,455,386‌
REAL
ESTATE
3.7%
REIT
3.7%
39,575
Chatham
Lodging
Trust
301,957‌
9,321
Community
Healthcare
Trust,
Inc.
143,637‌
11,109
CTO
Realty
Growth,
Inc.
191,963‌
10,202
Easterly
Government
Properties,
Inc.
233,524‌
9,367
Plymouth
Industrial
REIT,
Inc.
206,074‌
1,077,155‌
TOTAL  REAL
ESTATE
1,077,155‌
TECHNOLOGY
10.9%
CONSUMER
SERVICES
0.3%
3,590
Upbound
Group,
Inc.
91,222‌
SCIENTIFIC
INSTRUMENTS
&
SERVICES
0.3%
9,836
MIND
Technology,
Inc.
(a)
99,540‌
SEMICONDUCTORS
2.0%
7,888
Aehr
Test
Systems
(a)
196,806‌
2,192
Axcelis
Technologies,
Inc.
(a)
175,448‌
10,397
MagnaChip
Semiconductor
Corp.
(a)
32,750‌
2,192
Silicon
Motion
Technology
Corp.
-
ADR
174,658‌
579,662‌
SOFTWARE
4.0%
19,618
Asure
Software,
Inc.
(a)
164,791‌
11,200
AudioEye,
Inc.
(a)
143,920‌
9,372
Computer
Programs
&
Systems,
Inc.
(a)
187,065‌
23,227
Evolent
Health,
Inc.,
Class
A
(a)
224,140‌
8,336
Red
Violet,
Inc.
(a)
418,801‌
1,138,717‌
TECHNOLOGY
HARDWARE
3.5%
14,310
Aviat
Networks,
Inc.
(a)
328,558‌
17,513
CommScope
Holding
Co.,
Inc.
(a)
280,908‌
13,876
Key
Tronic
Corp.
(a)
40,518‌
7,118
Kornit
Digital
Ltd.
(a)
106,343‌
North
Square
Kennedy
MicroCap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
93.3%
(Continued)
TECHNOLOGY
10.9%
(Continued)
TECHNOLOGY
HARDWARE
3.5%
(Continued)
53,786
Powerfleet,
Inc.
(a)
$
251,181‌
1,007,508‌
TECHNOLOGY
SERVICES
0.8%
8,913
Penguin
Solutions,
Inc.
(a)
215,071‌
TOTAL  TECHNOLOGY
3,131,720‌
TOTAL
COMMON
STOCKS
(Cost $21,660,778)
26,866,420‌
EXCHANGE-TRADED
FUNDS
0.5%
914
iShares
Micro-Cap
ETF
130,090‌
TOTAL
EXCHANGE-TRADED
FUNDS
(Cost $101,526)
130,090‌
SHORT-TERM
INVESTMENTS
5.7%
1,645,629‌
First
American
Treasury
Obligations
Fund,
Class
X,
4.20%
(b)
1,645,629‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost
$1,645,629)
1,645,629‌
TOTAL
INVESTMENTS
99.5%
(Cost
$23,407,933)
$
28,642,139‌
Other
Assets
in
Excess
of
Liabilities
0.5%
146,256
NET
ASSETS
100.00%
$
28,788,395‌
(a)
Non-income
producing
security.
(b)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
August
31,
2025.
ADR
-
American
Depositary
Receipt.
ETF
-
Exchange-Traded
Funds
North
Square
Select
Small
Cap
Fund
Schedule
of
Investments
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
98.7%
CONSUMER
DISCRETIONARY
23.7%
AUTOMOTIVE
4.6%
8,670
Miller
Industries,
Inc.
$
364,920‌
15,875
Phinia,
Inc.
928,370‌
1,293,290‌
LEISURE
FACILITIES
&
SERVICES
7.2%
6,655
Monarch
Casino
&
Resort,
Inc.
694,316‌
35,957
OneSpaWorld
Holdings
Ltd.
811,550‌
3,105
Vail
Resorts,
Inc.
508,599‌
2,014,465‌
RETAIL
-
DISCRETIONARY
4.3%
1,885
Asbury
Automotive
Group,
Inc.
(a)
474,153‌
39,170
Driven
Brands
Holdings,
Inc.
(a)
721,511‌
1,195,664‌
SPECIALTY
RETAIL
2.9%
20,610
Valvoline,
Inc.
(a)
799,256‌
WHOLESALE
-
DISCRETIONARY
4.7%
45,412
Openlane,
Inc.
(a)
1,313,315‌
TOTAL  CONSUMER
DISCRETIONARY
6,615,990‌
CONSUMER
STAPLES
5.0%
WHOLESALE
-
CONSUMER
STAPLES
5.0%
14,585
Grocery
Outlet
Holding
Corp.
(a)
264,134‌
11,017
Performance
Food
Group
Co.
(a)
1,117,124‌
1,381,258‌
TOTAL  CONSUMER
STAPLES
1,381,258‌
FINANCIALS
17.1%
BANKING
14.8%
18,365
First
Merchants
Corp.
762,515‌
8,647
Nicolet
Bankshares,
Inc.
(a)
1,195,793‌
7,578
SouthState
Corp.
773,411‌
7,130
Stock
Yards
Bancorp,
Inc.
575,462‌
13,231
Webster
Financial
Corp.
823,233‌
4,130,414‌
INSTITUTIONAL
FINANCIAL
SERVICES
2.3%
9,905
Jefferies
Financial
Group,
Inc.
642,340‌
TOTAL  FINANCIALS
4,772,754‌
HEALTH
CARE
1.9%
HEALTH
CARE
FACILITIES
&
SERVICES
1.9%
6,015
HealthEquity,
Inc.
(a)
537,320‌
TOTAL  HEALTH
CARE
537,320‌
North
Square
Select
Small
Cap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
98.7%
(Continued)
INDUSTRIALS
22.6%
COMMERCIAL
SUPPORT
SERVICES
7.3%
152,228
Emerald
Holding,
Inc.
(a)
$
783,974‌
34,089
Pursuit
Attractions
and
Hospitality,
Inc.
(a)
1,271,520‌
2,055,494‌
ELECTRICAL
EQUIPMENT
4.8%
9,955
Bel
Fuse,
Inc.,
Class
B
1,339,545‌
ENGINEERING
&
CONSTRUCTION
3.3%
9,185
Arcosa,
Inc.
908,856‌
MACHINERY
3.4%
6,715
JBT
Marel
Corp.
962,192‌
TRANSPORTATION
EQUIPMENT
3.8%
19,840
REV
Group,
Inc.
1,055,686‌
TOTAL  INDUSTRIALS
6,321,773‌
MATERIALS
10.7%
CONSTRUCTION
MATERIALS
3.1%
3,795
Eagle
Materials,
Inc.
876,265‌
CONTAINERS
&
PACKAGING
7.6%
42,415
Myers
Industries,
Inc.
710,027‌
36,456
TriMas
Corp.
(a)
1,409,754‌
2,119,781‌
TOTAL  MATERIALS
2,996,046‌
REAL
ESTATE
3.7%
REAL
ESTATE
OWNERS
&
DEVELOPERS
3.7%
37,386
Legacy
Housing
Corp.
(a)
1,044,752‌
TOTAL  REAL
ESTATE
1,044,752‌
TECHNOLOGY
14.0%
SOFTWARE
9.7%
37,145
Alkami
Technology,
Inc.
(a)
950,912‌
2,246
Daily
Journal
Corp.
(a)
1,049,331‌
21,807
nCino,
Inc.
(a)
700,223‌
2,700,466‌
TECHNOLOGY
HARDWARE
3.3%
77,380
Pitney
Bowes,
Inc.
937,846‌
TECHNOLOGY
SERVICES
1.0%
21,760
Flywire
Corp.
(a)
286,144‌
North
Square
Select
Small
Cap
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
98.7%
(Continued)
TECHNOLOGY
14.0%
(Continued)
TECHNOLOGY
SERVICES
1.0%
(Continued)
TOTAL  TECHNOLOGY
$
3,924,456‌
TOTAL
COMMON
STOCKS
(Cost $20,179,032)
27,594,349‌
SHORT-TERM
INVESTMENTS
1.3%
369,654‌
First
American
Treasury
Obligations
Fund,
Class
X,
4.20%
(b)
369,654‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost
$369,654)
369,654‌
TOTAL
INVESTMENTS
100.0%
(Cost
$20,548,686)
$
27,964,003‌
Other
Assets
in
Excess
of
Liabilities
0.0%
(c)
7,855
NET
ASSETS
100.00%
$
27,971,858‌
(a)
Non-income
producing
security.
(b)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
August
31,
2025.
(c)
Percentage
rounds
to
less
than
0.1%.
North
Square
Altrinsic
International
Equity
Fund
Schedule
of
Investments
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
96.1%
Belgium
1.7%
15,385
KBC
Group
N.V.
$
1,813,214‌
Bermuda
4.6%
17,214
AXIS
Capital
Holdings
Ltd.
1,696,956‌
9,620
Everest
Re
Group,
Ltd.
3,288,886‌
4,985,842‌
Canada
1.0%
7,905
Agnico
Eagle
Mines
Ltd.
1,139,664‌
Cayman
Islands
2.4%
104,001
Alibaba
Group
Holding
Ltd.
1,722,023‌
343,079
Sands
China
Ltd.
903,553‌
2,625,576‌
France
12.1%
74,005
Bureau
Veritas
SA
2,232,149‌
9,598
Capgemini
SE
1,364,917‌
18,571
Cia
Generale
de
Establissements
Michelin
SCA
672,423‌
19,017
Danone
1,587,065‌
12,048
Pernod
Ricard
SA
1,372,254‌
24,217
Sanofi
2,402,263‌
37,401
SCOR
SE
1,224,954‌
38,490
TotalEnergies
SE
2,416,085‌
13,272,110‌
Germany
10.4%
9,313
Adidas
AG
1,811,634‌
12,003
Bayerische
Motoren
Werke
AG
1,255,574‌
28,446
Daimler
Truck
Holding
AG
1,337,871‌
6,133
Deutsche
Boerse
AG
1,804,884‌
35,847
DHL
Group
1,633,583‌
11,620
Henkel
AG
&
Co.
KGaA
980,703‌
5,253
Siemens
AG
1,455,945‌
19,862
Siemens
Healthineers
AG
1,099,686‌
11,379,880‌
Hong
Kong
0.9%
75,607
Techtronic
Industries
Co.
Ltd.
977,785‌
India
1.5%
22,325
HDFC
Bank
Ltd.
-
ADR
1,588,647‌
Indonesia
0.8%
3,131,175
PT
Bank
Mandiri
(
Persero
)
Tbk
898,985‌
Ireland
8.1%
124,221
Bank
of
Ireland
Group
PLC
1,837,062‌
8,672
CRH
PLC
979,502‌
North
Square
Altrinsic
International
Equity
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
96.1%
(Continued)
Ireland
8.1%
(Continued)
3,667
Icon
PLC
(a)
$
652,506‌
12,351
Kerry
Group
PLC,
Class
A
1,130,736‌
24,610
Medtronic
PLC
2,284,055‌
5,884
Willis
Towers
Watson
PLC
1,922,832‌
8,806,693‌
Israel
1.3%
7,585
Check
Point
Software
Technologies
Ltd.
(a)
1,464,967‌
Japan
13.3%
14,836
Daito
Trust
Construction
Co.,
Ltd.
1,578,597‌
138,096
Kubota
Corp.
1,596,543‌
60,928
MinebeaMitsumi
,
Inc.
1,038,204‌
73,033
Murata
Manufacturing
Co.
Ltd.
1,178,916‌
4,602
SMC
Corp.
1,408,368‌
94,976
Sony
Group
Corp.
2,595,591‌
94,833
Sumitomo
Mitsui
Trust
Holdings,
Inc.
2,698,632‌
183,073
Suzuki
Motor
Corp.
2,422,363‌
14,517,214‌
Korea  (Republic
Of)
4.6%
22,506
Hana
Financial
Group,
Inc.
1,329,027‌
29,137
KB
Financial
Group,
Inc.
2,279,639‌
1,179
Samsung
Electronics
Co.
Ltd.
-
ADR
1,458,262‌
5,066,928‌
Mexico
3.6%
9,496
Fomento
Economico
Mexicano
,
SAB
de
CV
-
ADR
822,733‌
180,860
Grupo
Financiero
Banorte
SAB
de
CV
1,647,345‌
497,615
Wal-Mart
de
Mexico
SAB
de
CV
1,486,564‌
3,956,642‌
Netherlands
5.3%
24,378
Akzo
Nobel
N.V.
1,684,875‌
27,453
Heineken
N.V.
2,226,384‌
69,588
Koninklijke
Philips
N.V.
1,921,668‌
5,832,927‌
Norway
0.8%
33,268
DNB
Bank
Asa
876,513‌
South
Africa
0.6%
42,857
Standard
Bank
Group
Ltd.
602,938‌
Spain
1.2%
87,492
Bankinter
SA
1,305,553‌
Sweden
1.6%
84,854
Hexagon
AB
945,596‌
North
Square
Altrinsic
International
Equity
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
96.1%
(Continued)
Sweden
1.6%
(Continued)
31,407
Sandvik
AB
$
794,295‌
1,739,891‌
Switzerland
7.7%
13,097
Chubb
Ltd.
3,602,592‌
10,137
Nestle
S.A.
956,217‌
2,096
Roche
Holding
AG
683,452‌
21,114
Sandoz
Group
AG
1,324,877‌
2,476
Zurich
Insurance
Group
AG
1,809,328‌
8,376,466‌
United
Kingdom
12.7%
24,914
Admiral
Group
PLC
1,220,777‌
6,943
Aon
PLC,
Class
A
2,548,080‌
37,199
BP
PLC
-
ADR
1,310,521‌
55,082
Diageo
PLC
1,527,520‌
119,089
GSK
PLC
2,353,033‌
114,674
Haleon
PLC
564,296‌
165,935
Informa
PLC
1,954,482‌
16,826
Intertek
Group
PLC
1,067,144‌
72,201
Smith
&
Nephew
PLC
1,354,141‌
13,899,994‌
TOTAL
COMMON
STOCKS
(Cost
$87,999,410)
105,128,429‌
PREFERRED
STOCKS
1.7%
Brazil
1.7%
258,435
Itau
Unibanco
Holding
SA,
4.64%
1,835,002‌
TOTAL
PREFERRED
STOCKS
(Cost
$1,341,600)
1,835,002‌
SHORT-TERM
INVESTMENTS
1.8%
1,919,007‌
First
American
Treasury
Obligations
Fund,
Class
X,
4.20%
(b)
1,919,007‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost
$1,919,007)
1,919,007‌
TOTAL
INVESTMENTS
99.6%
(Cost
$91,260,017)
108,882,438‌
OTHER
ASSETS
IN
EXCESS
OF
LIABILITIES
0.5%
493,192‌
NET
ASSETS
100.0%
$
109,375,630‌
(a)
Non-income
producing
security.
(b)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
August
31,
2025.
ADR
-
American
Depositary
Receipt.
North
Square
McKee
Bond
Fund
Schedule
of
Investments
August
31,
2025
(Unaudited)
See
accompanying
Notes
to
Financial
Statements.
,
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
ASSET
BACKED
SECURITIES
3.1%
400,000
Aligned
Data
Centers
Issuer
LLC
2021-1
A2,
1.94%,
8/15/46
(a)
$
389,051‌
6,331
Ally
Auto
Receivables
Trust
2022-2
A3,
4.76%,
5/17/27
6,336‌
388,905
Amur
Equipment
Finance
Receivables
X
2022-1
B,
2.20%,
1/20/28
(a)
387,980‌
10,000
BBCMS
Mortgage
Trust
2017-C1
A4,
3.67%,
2/15/50
9,837‌
68,572
BBCMS
Mortgage
Trust
2022-C14,
1.73%,
2/18/55
67,251‌
9,264
CarMax
Auto
Owner
Trust
2022-4
A3,
5.34%,
8/15/27
9,299‌
2,107
CarMax
Auto
Owner
Trust
2023-1
A3,
4.75%,
10/15/27
2,111‌
600,000
CarMax
Auto
Owner
Trust
2024-4
A3,
4.60%,
10/15/29
605,537‌
185,199
Dell
Equipment
Finance
Trust
2023-3
A3,
5.93%,
6/22/26
(a)
186,273‌
599,932
EQUS
2021
EQAZ
Mortgage
Trust,
5.38%,
10/15/36
(1MO
SOFR
+
102bps)
(a)(b)
599,916‌
5,000
Ford
Credit
Auto
Owner
Trust
2024-C,
4.07%,
7/15/29
5,007‌
400,000
GMF
Floorplan
Owner
Revolving
Trust,
4.64%,
3/15/30
(a)
405,902‌
278,000
Harley-Davidson
Motorcycle
Trust
2024-A,
5.37%,
3/15/29
281,395‌
520,000
NextGear
Floorplan
Master
Owner
Trust
2024-2
A2,
4.42%,
9/15/27
(a)
523,475‌
26,417
North
Mill
Equipment
Funding
2022-B
A2,
6.07%,
6/01/49
(a)
26,461‌
1,050,000
Toyota
Auto
Receivables
2024-C
Owner
Trust,
4.88%,
1/18/28
1,059,867‌
526,244
Tricon
Residential
2022-SFR2
Trust,
3.86%,
4/19/39
(a)
520,547‌
15,000
UBS
Commercial
Mortgage
Trust
2018-C8
A4,
3.98%,
2/15/51
14,842‌
465,000
Verizon
Master
Trust
2023-7
A1A,
5.67%,
11/20/26
475,152‌
2,016
World
Omni
Auto
Receivables
Trust
2023-B
A3,
4.66%,
5/15/28
2,020‌
TOTAL
ASSET
BACKED
SECURITIES
(Cost $5,555,140)
5,578,259‌
CORPORATE
BONDS
28.2%
COMMUNICATIONS
1.8%
CABLE
&
SATELLITE
0.3%
812,000
Comcast
Corp.,
3.25%,
11/01/39
639,820‌
ENTERTAINMENT
CONTENT
0.8%
765,000
Fox
Corp.,
6.50%,
10/13/33
832,999‌
769,000
Walt
Disney
Co.
(The),
3.50%,
5/13/40
635,472‌
1,468,471‌
INTERNET
MEDIA
&
SERVICES
0.1%
218,000
Meta
Platforms,
Inc.,
5.60%,
5/15/53
215,679‌
TELECOMMUNICATIONS
0.6%
108,000
AT&T,
Inc.,
4.35%,
3/01/29
108,480‌
1,227,000
Verizon
Communications,
Inc.,
2.65%,
11/20/40
870,567‌
979,047‌
CONSUMER
DISCRETIONARY
2.4%
AUTOMOTIVE
2.3%
518,000
American
Honda
Finance
Corp.,
2.00%,
3/24/28
491,341‌
1,065,000
American
Honda
Finance
Corp.,
4.80%,
3/05/30
1,087,336‌
301,000
BMW
Bank
of
North
America,
3.90%,
8/29/29
301,495‌
1,060,000
Ford
Motor
Co.,
Class
B,
3.25%,
2/12/32
909,074‌
North
Square
McKee
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
See
accompanying
Notes
to
Financial
Statements.
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
28.2%
(Continued)
CONSUMER
DISCRETIONARY
2.4%
(continued)
AUTOMOTIVE
2.3%
(continued)
854,000
General
Motors
Financial
Co.,
Inc.,
5.35%,
1/07/30
$
873,755‌
474,000
Toyota
Motor
Credit
Corp.,
5.35%,
1/09/36
489,704‌
4,152,705‌
LEISURE
FACILITIES
&
SERVICES
0.1%
192,000
McDonald's
Corp.,
4.40%,
2/12/31
192,719‌
CONSUMER
STAPLES
1.7%
BEVERAGES
1.0%
426,000
Coca-Cola
Co.
(The),
1.65%,
6/01/30
382,469‌
441,000
Keurig
Dr
Pepper,
Inc.,
5.20%,
3/15/31
451,169‌
964,000
PepsiCo,
Inc.,
5.00%,
7/23/35
973,443‌
1,807,081‌
RETAIL
-
CONSUMER
STAPLES
0.1%
186,000
Walmart,
Inc.,
4.90%,
4/28/35
189,019‌
TOBACCO
&
CANNABIS
0.6%
732,000
BAT
Capital
Corp.,
5.35%,
8/15/32
753,956‌
292,000
Philip
Morris
International,
Inc.,
5.13%,
2/15/30
302,296‌
1,056,252‌
ENERGY
2.9%
OIL
&
GAS
PRODUCERS
2.9%
261,000
BP
Capital
Markets
America
Inc.,
4.89%,
9/11/33
262,597‌
712,000
Chevron
Corp.,
4.82%,
4/15/32
729,640‌
258,000
ConocoPhillips
Co.,
5.00%,
1/15/35
258,107‌
831,000
ConocoPhillips
Co.,
5.30%,
5/15/53
762,275‌
323,000
Energy
Transfer
L.P.,
3.75%,
5/15/30
313,238‌
76,000
Enterprise
Products
Operating
LLC,
4.80%,
2/01/49
65,742‌
1,125,000
Exxon
Mobil
Corp.,
4.33%,
3/19/50
932,260‌
317,000
ONEOK,
Inc.,
5.05%,
11/01/34
309,225‌
204,000
ONEOK,
Inc.,
5.70%,
11/01/54
186,257‌
738,000
Phillips
66
Co.,
5.25%,
6/15/31
764,795‌
560,000
TotalEnergies
Capital
SA,
5.49%,
4/05/54
533,568‌
5,117,704‌
FINANCIALS
9.8%
ASSET
MANAGEMENT
0.2%
349,864
United
Airlines
2023-1
Class
A
Pass
Through
Trust,
5.80%,
7/15/36
361,043‌
BANKING
6.5%
644,000
American
Express
National
Bank,
4.05%,
4/10/28
647,571‌
250,000
American
Express
National
Bank,
4.25%,
6/12/28
252,805‌
417,000
Bank
of
Nova
Scotia
(The),
5.13%,
2/14/31
(SOFRRATE
+
107bps)
(b)
429,190‌
592,000
Canadian
Imperial
Bank
of
Commerce,
5.26%,
4/08/29
613,026‌
North
Square
McKee
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
See
accompanying
Notes
to
Financial
Statements.
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
28.2%
(Continued)
FINANCIALS
9.8%
(continued)
BANKING
6.5%
(continued)
676,000
Citigroup,
Inc.,
4.95%,
5/07/31
(b)
$
688,931‌
510,000
HSBC
Holdings
PLC,
5.29%,
11/19/30
(b)
526,082‌
534,000
JPMorgan
Chase
&
Co.,
5.00%,
7/22/30
547,808‌
813,000
JPMorgan
Chase
&
Co.,
5.14%,
1/24/31
(SOFRRATE
+
90bps)
(b)
838,060‌
524,000
JPMorgan
Chase
&
Co.,
1.95%,
2/04/32
(b)
460,831‌
336,000
Morgan
Stanley,
1.59%,
5/04/27
(b)
329,796‌
358,000
Morgan
Stanley,
5.59%,
1/18/36
(b)
370,292‌
300,000
Morgan
Stanley
Bank
NA,
4.10%,
5/08/28
302,036‌
788,000
Morgan
Stanley
Bank
NA,
4.15%,
5/07/29
795,682‌
265,000
Morgan
Stanley
Private
Bank
NA,
4.10%,
5/08/28
266,799‌
695,000
Morgan
Stanley
Private
Bank
NA,
4.15%,
5/07/29
701,775‌
180,000
PNC
Financial
Services
Group
Inc.
(The),
6.88%,
10/20/34
(SOFRRATE
+
2bps)
(b)
202,176‌
925,000
Royal
Bank
of
Canada,
4.65%,
10/18/30
(SOFRINDEX
+
108bps)
(b)
933,351‌
353,000
Toronto-Dominion
Bank
(The),
4.86%,
1/31/28
359,037‌
244,000
Toronto-Dominion
Bank
(The),
4.78%,
12/17/29
249,439‌
369,000
U.S.
Bancorp,
Series
CC,
5.68%,
1/23/35
(SOFRRATE
+
186bps)
(b)
384,705‌
462,000
Wells
Fargo
&
Co.,
5.24%,
1/24/31
(SOFRRATE
+
111bps)
(b)
477,385‌
1,415,000
Wells
Fargo
Bank
NA,
4.25%,
3/11/27
1,422,785‌
11,799,562‌
INSTITUTIONAL
FINANCIAL
SERVICES
2.6%
993,000
Bank
of
New
York
Mellon
Corp.
(The),
5.06%,
7/22/32
(b)
1,023,255‌
1,000,000
Goldman
Sachs
Bank
USA,
4.30%,
3/11/27
1,005,825‌
381,000
Goldman
Sachs
Bank
USA,
5.41%,
5/21/27
(SOFRRATE
+
75bps)
(b)
383,841‌
1,340,000
Goldman
Sachs
Group,
Inc.
(The),
1.43%,
3/09/27
(b)
1,319,324‌
984,000
Goldman
Sachs
Group,
Inc.
(The),
1.99%,
1/27/32
(b)
864,536‌
4,596,781‌
SPECIALTY
FINANCE
0.5%
422,000
American
Express
Co.,
5.28%,
7/26/35
(SOFRRATE
+
142bps)
(b)
431,105‌
314,000
Capital
One
Financial
Corp.,
1.88%,
11/02/27
(b)
305,184‌
195,000
Capital
One
Financial
Corp.,
6.31%,
6/08/29
(b)
204,708‌
940,997‌
HEALTH
CARE
0.8%
BIOTECH
&
PHARMA
0.2%
420,000
Eli
Lilly
&
Co.,
5.00%,
2/09/54
385,232‌
HEALTH
CARE
FACILITIES
&
SERVICES
0.6%
226,000
Cigna
Group
(The),
2.38%,
3/15/31
202,724‌
263,000
UnitedHealth
Group,
Inc.,
2.30%,
5/15/31
234,975‌
393,000
UnitedHealth
Group,
Inc.,
5.15%,
7/15/34
399,444‌
122,000
UnitedHealth
Group,
Inc.,
5.38%,
4/15/54
112,722‌
949,865‌
North
Square
McKee
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
See
accompanying
Notes
to
Financial
Statements.
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
28.2%
(Continued)
INDUSTRIALS
3.0%
AEROSPACE
&
DEFENSE
0.7%
324,000
Boeing
Co.
(The),
5.15%,
5/01/30
$
332,454‌
351,000
Lockheed
Martin
Corp.,
5.00%,
8/15/35
353,368‌
446,000
Lockheed
Martin
Corp.,
4.70%,
5/15/46
398,451‌
197,000
Northrop
Grumman
Corp.,
3.25%,
1/15/28
193,517‌
1,277,790‌
DIVERSIFIED
INDUSTRIALS
0.5%
888,000
Honeywell
International,
Inc.,
4.75%,
2/01/32
902,110‌
ELECTRICAL
EQUIPMENT
0.2%
299,000
Johnson
Controls
International
PLC,
5.50%,
4/19/29
311,839‌
MACHINERY
0.6%
526,000
Caterpillar,
Inc.,
5.20%,
5/15/35
539,227‌
478,000
Deere
&
Co.,
5.10%,
4/11/34
490,252‌
1,029,479‌
TRANSPORTATION
&
LOGISTICS
1.0%
472,892
BNSF
Railway
Co.
2015-1
Pass
Through
Trust,
3.44%,
6/16/28
(a)
460,530‌
1,097,000
Burlington
Northern
Santa
Fe
LLC,
4.55%,
9/01/44
968,272‌
4,000
Canadian
Pacific
Railway
Co.,
2.05%,
3/05/30
3,642‌
268,145
FedEx
Corp.
2020-1
Class
AA
Pass
Through
Trust,
1.88%,
2/20/34
234,706‌
10,099
Union
Pacific
Railroad
Co.
2005
Pass
Through
Trust,
5.08%,
1/02/29
10,187‌
155,401
Union
Pacific
Railroad
Co.
2014-1
Pass
Through
Trust,
3.23%,
5/14/26
154,287‌
1,831,624‌
REAL
ESTATE
0.3%
REAL
ESTATE
INVESTMENT
TRUSTS
0.3%
449,000
American
Tower
Corp.,
3.80%,
8/15/29
440,159‌
TECHNOLOGY
2.1%
SEMICONDUCTORS
0.8%
303,000
Broadcom,
Inc.,
4.35%,
2/15/30
303,940‌
861,000
Broadcom,
Inc.,
4.90%,
7/15/32
871,914‌
147,000
Intel
Corp.,
5.70%,
2/10/53
135,272‌
1,311,126‌
SOFTWARE
0.5%
334,000
Oracle
Corp.,
4.80%,
8/03/28
340,475‌
723,000
Oracle
Corp.,
3.60%,
4/01/40
573,571‌
914,046‌
TECHNOLOGY
HARDWARE
0.4%
632,000
Apple,
Inc.,
2.95%,
9/11/49
419,968‌
413,000
Cisco
Systems,
Inc.,
4.95%,
2/26/31
427,685‌
847,653‌
North
Square
McKee
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
See
accompanying
Notes
to
Financial
Statements.
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
28.2%
(Continued)
TECHNOLOGY
2.1%
(continued)
TECHNOLOGY
SERVICES
0.4%
600,000
International
Business
Machines
Corp.,
4.15%,
5/15/39
$
529,311‌
250,000
International
Business
Machines
Corp.,
1.70%,
10/01/52
240,685‌
769,996‌
UTILITIES
3.4%
ELECTRIC
UTILITIES
3.4%
494,000
Alabama
Power
Co.,
3.45%,
10/01/49
349,941‌
129,000
Berkshire
Hathaway
Energy
Co.,
3.70%,
7/15/30
126,411‌
103,000
Consolidated
Edison
Company
of
New
York,
Inc.,
5.70%,
5/15/54
101,960‌
490,000
Dominion
Energy,
Inc.,
5.45%,
3/15/35
496,656‌
1,695,000
Duke
Energy
Carolinas
LLC,
5.30%,
2/15/40
1,699,623‌
342,000
Entergy
Corp.,
1.90%,
6/15/28
322,107‌
313,000
Florida
Power
&
Light
Co.,
5.30%,
6/15/34
323,846‌
472,000
Florida
Power
&
Light
Co.,
5.30%,
4/01/53
450,488‌
1,455,000
MidAmerican
Energy
Co.,
4.25%,
7/15/49
1,178,674‌
136,000
NextEra
Energy
Capital
Holdings,
Inc.,
2.25%,
6/01/30
124,038‌
193,000
Pacific
Gas
and
Electric
Co.,
4.55%,
7/01/30
191,241‌
862,000
Virginia
Electric
and
Power
Co.,
5.45%,
4/01/53
818,523‌
6,183,508‌
TOTAL
CORPORATE
BONDS
(Cost $50,277,650)
50,671,307‌
MORTGAGE-BACKED
SECURITIES
45.3%
14,150‌
Ellington
Financial
Mortgage
Trust
2020-01
A1
,
2.01%,
5/25/65
(a)(b)
14,083‌
260,415‌
Fannie
Mae
Pool
,
4.00%,
5/15/27
246,068‌
15,649‌
Fannie
Mae
Pool
,
5.00%,
11/01/29
15,843‌
18,747‌
Fannie
Mae
Pool
,
1.50%,
10/01/36
16,862‌
16,583‌
Fannie
Mae
Pool
,
2.50%,
4/01/37
15,464‌
86,051‌
Fannie
Mae
Pool
,
3.50%,
10/13/37
79,614‌
70,922‌
Fannie
Mae
Pool
,
3.50%,
12/01/37
69,168‌
6,184‌
Fannie
Mae
Pool
,
4.00%,
3/01/39
6,037‌
253,941‌
Fannie
Mae
Pool
,
3.00%,
1/01/40
237,249‌
43,249‌
Fannie
Mae
Pool
,
4.50%,
7/01/40
42,743‌
2,771‌
Fannie
Mae
Pool
,
4.00%,
9/01/40
2,702‌
56,147‌
Fannie
Mae
Pool
,
4.00%,
9/01/40
54,861‌
168,332‌
Fannie
Mae
Pool
,
2.50%,
10/01/40
151,452‌
235,589‌
Fannie
Mae
Pool
,
3.00%,
10/01/40
220,393‌
216,776‌
Fannie
Mae
Pool
,
2.00%,
11/01/40
189,045‌
152,751‌
Fannie
Mae
Pool
,
2.00%,
1/01/41
132,318‌
4,288‌
Fannie
Mae
Pool
,
4.00%,
1/01/41
4,180‌
20,696‌
Fannie
Mae
Pool
,
4.00%,
1/01/41
20,171‌
301,369‌
Fannie
Mae
Pool
,
1.50%,
3/01/41
251,062‌
186,077‌
Fannie
Mae
Pool
,
2.50%,
3/01/41
167,084‌
17,140‌
Fannie
Mae
Pool
,
2.00%,
7/01/41
14,738‌
North
Square
McKee
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
See
accompanying
Notes
to
Financial
Statements.
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
MORTGAGE-BACKED
SECURITIES
45.3%
(Continued)
385,964‌
Fannie
Mae
Pool
,
2.50%,
9/01/41
$
343,151‌
435,556‌
Fannie
Mae
Pool
,
2.50%,
10/01/41
387,243‌
5,300‌
Fannie
Mae
Pool
,
4.00%,
10/01/41
5,152‌
241,510‌
Fannie
Mae
Pool
,
2.50%,
11/01/41
214,418‌
931,824‌
Fannie
Mae
Pool
,
2.00%,
8/01/42
801,210‌
278,239‌
Fannie
Mae
Pool
,
3.50%,
9/01/42
263,489‌
156,841‌
Fannie
Mae
Pool
,
3.50%,
1/01/44
147,290‌
7,453‌
Fannie
Mae
Pool
,
4.00%,
3/01/45
7,176‌
26,331‌
Fannie
Mae
Pool
,
3.50%,
12/01/45
24,497‌
77,076‌
Fannie
Mae
Pool
,
3.00%,
4/01/46
69,029‌
150,311‌
Fannie
Mae
Pool
,
2.50%,
5/01/46
127,202‌
72,248‌
Fannie
Mae
Pool
,
3.50%,
6/01/46
67,028‌
2,446‌
Fannie
Mae
Pool
,
4.00%,
7/01/46
2,331‌
59,701‌
Fannie
Mae
Pool
,
3.00%,
10/01/46
53,306‌
49,912‌
Fannie
Mae
Pool
,
4.00%,
10/01/46
48,617‌
61,792‌
Fannie
Mae
Pool
,
3.00%,
11/01/46
56,479‌
18,431‌
Fannie
Mae
Pool
,
3.00%,
11/01/46
16,469‌
179,400‌
Fannie
Mae
Pool
,
5.00%,
11/01/46
182,528‌
145,066‌
Fannie
Mae
Pool
,
3.00%,
2/01/47
129,584‌
2,782‌
Fannie
Mae
Pool
,
4.50%,
3/01/47
2,730‌
841,699‌
Fannie
Mae
Pool
,
4.50%,
4/01/47
839,291‌
5,376‌
Fannie
Mae
Pool
,
3.50%,
5/01/47
5,018‌
3,713‌
Fannie
Mae
Pool
,
3.50%,
5/01/47
3,435‌
242,401‌
Fannie
Mae
Pool
,
2.50%,
12/01/47
207,746‌
38,888‌
Fannie
Mae
Pool
,
3.50%,
3/01/48
35,755‌
159,200‌
Fannie
Mae
Pool
,
2.50%,
4/01/48
136,334‌
86,690‌
Fannie
Mae
Pool
,
3.00%,
4/01/48
77,374‌
222,606‌
Fannie
Mae
Pool
,
3.50%,
8/01/48
203,750‌
6,298‌
Fannie
Mae
Pool
,
4.50%,
11/01/48
6,164‌
105,454‌
Fannie
Mae
Pool
,
3.00%,
12/01/48
94,177‌
13,874‌
Fannie
Mae
Pool
,
3.50%,
2/01/49
12,704‌
18,151‌
Fannie
Mae
Pool
,
3.50%,
6/01/49
16,806‌
18,113‌
Fannie
Mae
Pool
,
2.50%,
7/01/49
15,527‌
297,938‌
Fannie
Mae
Pool
,
3.50%,
7/01/49
272,549‌
392,916‌
Fannie
Mae
Pool
,
3.50%,
9/01/49
351,735‌
72,278‌
Fannie
Mae
Pool
,
3.00%,
12/01/49
63,729‌
17,182‌
Fannie
Mae
Pool
,
3.00%,
2/01/50
15,252‌
16,936‌
Fannie
Mae
Pool
,
3.00%,
2/01/50
15,148‌
233,746‌
Fannie
Mae
Pool
,
2.50%,
5/01/50
191,618‌
1,103,219‌
Fannie
Mae
Pool
,
2.50%,
6/01/50
935,195‌
37,855‌
Fannie
Mae
Pool
,
2.50%,
6/01/50
31,997‌
18,143‌
Fannie
Mae
Pool
,
3.00%,
6/01/50
15,918‌
205,006‌
Fannie
Mae
Pool
,
5.00%,
6/01/50
205,948‌
117,966‌
Fannie
Mae
Pool
,
2.50%,
10/01/50
99,952‌
16,885‌
Fannie
Mae
Pool
,
2.00%,
1/01/51
13,605‌
North
Square
McKee
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
See
accompanying
Notes
to
Financial
Statements.
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
MORTGAGE-BACKED
SECURITIES
45.3%
(Continued)
353,474‌
Fannie
Mae
Pool
,
2.50%,
2/01/51
$
296,662‌
313,521‌
Fannie
Mae
Pool
,
2.50%,
2/01/51
266,184‌
260,600‌
Fannie
Mae
Pool
,
2.00%,
3/01/51
211,072‌
20,804‌
Fannie
Mae
Pool
,
2.50%,
3/01/51
17,440‌
24,491‌
Fannie
Mae
Pool
,
2.00%,
5/01/51
19,619‌
23,452‌
Fannie
Mae
Pool
,
2.50%,
5/01/51
19,785‌
339,471‌
Fannie
Mae
Pool
,
2.50%,
6/01/51
287,005‌
629,340‌
Fannie
Mae
Pool
,
2.50%,
6/01/51
531,581‌
1,115,180‌
Fannie
Mae
Pool
,
2.50%,
7/01/51
939,322‌
654,903‌
Fannie
Mae
Pool
,
2.50%,
8/01/51
551,452‌
235,245‌
Fannie
Mae
Pool
,
2.50%,
10/01/51
196,194‌
25,385‌
Fannie
Mae
Pool
,
2.50%,
10/01/51
21,195‌
26,927‌
Fannie
Mae
Pool
,
3.00%,
11/01/51
23,637‌
24,632‌
Fannie
Mae
Pool
,
3.00%,
12/01/51
21,428‌
235,280‌
Fannie
Mae
Pool
,
2.00%,
1/01/52
189,611‌
236,782‌
Fannie
Mae
Pool
,
3.00%,
1/01/52
206,019‌
279,551‌
Fannie
Mae
Pool
,
3.50%,
1/01/52
254,092‌
567,118‌
Fannie
Mae
Pool
,
4.00%,
1/01/52
536,668‌
424,497‌
Fannie
Mae
Pool
,
2.00%,
2/01/52
345,099‌
515,003‌
Fannie
Mae
Pool
,
2.00%,
2/01/52
414,870‌
342,918‌
Fannie
Mae
Pool
,
3.00%,
2/01/52
300,071‌
310,102‌
Fannie
Mae
Pool
,
3.50%,
2/01/52
280,421‌
38,257‌
Fannie
Mae
Pool
,
2.00%,
3/01/52
30,920‌
22,582‌
Fannie
Mae
Pool
,
5.00%,
9/01/52
22,382‌
399,627‌
Fannie
Mae
Pool
,
5.00%,
11/01/52
396,939‌
255,278‌
Fannie
Mae
Pool
,
6.50%,
1/01/53
267,690‌
734,015‌
Fannie
Mae
Pool
,
4.50%,
4/01/53
707,853‌
528,319‌
Fannie
Mae
Pool
,
4.00%,
7/01/53
495,491‌
352,410‌
Fannie
Mae
Pool
,
6.00%,
9/01/53
365,046‌
475,079‌
Fannie
Mae
Pool
,
5.50%,
3/01/54
482,187‌
26,099‌
Fannie
Mae
Pool
,
5.50%,
8/01/54
26,457‌
363,461‌
Fannie
Mae
Pool
,
4.50%,
11/01/54
353,210‌
1,368,253‌
Fannie
Mae
Pool
,
6.00%,
3/01/55
1,405,512‌
55,189‌
Fannie
Mae
Pool
,
4.50%,
4/01/56
53,655‌
140,760‌
Fannie
Mae
Pool
,
4.00%,
7/01/56
131,864‌
284,755‌
Fannie
Mae
Pool
,
4.50%,
8/01/56
276,837‌
457,365‌
Fannie
Mae
Pool
,
5.50%,
9/01/56
472,015‌
5,772‌
Fannie
Mae
REMICS
,
1.25%,
1/25/28
5,607‌
1,695‌
Fannie
Mae
REMICS
,
5.50%,
1/25/32
1,700‌
63,249‌
Fannie
Mae
REMICS
,
4.00%,
4/25/33
63,053‌
2,274‌
Fannie
Mae
REMICS
,
5.00%,
8/25/35
2,322‌
228,000‌
Fannie
Mae
REMICS
,
3.50%,
10/25/37
223,307‌
27,540‌
Fannie
Mae
REMICS
,
2.00%,
12/25/41
25,785‌
92,183‌
Fannie
Mae
REMICS
,
3.50%,
2/25/43
88,238‌
238,451‌
Fannie
Mae
REMICS
,
3.00%,
6/25/43
234,753‌
North
Square
McKee
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
See
accompanying
Notes
to
Financial
Statements.
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
MORTGAGE-BACKED
SECURITIES
45.3%
(Continued)
416,972‌
Fannie
Mae
REMICS
,
5.50%,
6/25/44
$
422,067‌
85,274‌
Fannie
Mae
REMICS
,
2.00%,
10/25/44
78,250‌
919,464‌
Fannie
Mae
REMICS
,
6.00%,
10/25/44
961,718‌
42,784‌
Fannie
Mae
REMICS
,
3.00%,
4/25/45
40,977‌
62,678‌
Fannie
Mae
REMICS
,
3.50%,
9/25/48
60,599‌
37,578‌
Fannie
Mae
REMICS
,
5.50%,
1/25/49
38,559‌
4,844‌
Fannie
Mae
REMICS
,
3.00%,
2/25/49
4,506‌
51,955‌
Fannie
Mae
REMICS
,
3.00%,
7/25/49
47,512‌
150,561‌
Fannie
Mae
REMICS
,
2.00%,
3/25/50
126,666‌
508,502‌
Fannie
Mae
REMICS
,
2.00%,
7/25/50
429,601‌
9,156‌
Fannie
Mae
REMICS
,
1.00%,
2/25/51
7,003‌
436,438‌
Fannie
Mae
REMICS
,
5.00%,
7/25/51
441,472‌
326,443‌
Fannie
Mae
REMICS
,
5.00%,
1/25/53
325,802‌
124,909‌
Fannie
Mae
REMICS
,
3.50%,
6/25/53
118,487‌
299,133‌
Fannie
Mae
REMICS
2024-11
,
5.00%,
2/25/51
298,713‌
9,259‌
Fannie
Mae
Trust,
Series
2003-W8,
Class
3F2
,
4.81%,
5/25/42
(SOFR
NYF
30D
+
46bps)
(b)
9,237‌
810,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
4.70%,
3/05/29
812,052‌
833,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
4.97%,
1/15/30
834,479‌
2,832,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
5.11%,
7/15/32
2,835,765‌
623,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
5.34%,
1/28/33
623,339‌
852,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
4.94%,
3/03/33
857,207‌
1,906,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
5.09%,
3/11/33
1,902,755‌
1,658,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
5.11%,
3/25/33
1,652,543‌
500,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
4.72%,
4/14/33
497,306‌
1,376,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
5.27%,
6/23/33
1,380,256‌
309,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
5.25%,
3/03/34
309,292‌
550,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
1.95%,
5/14/35
433,327‌
935,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
1.74%,
2/01/36
700,539‌
452,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
2.37%,
3/18/41
318,084‌
292,000‌
Federal
Farm
Credit
Banks
Funding
Corp.
,
2.50%,
7/29/41
207,744‌
850,000‌
Federal
Home
Loan
Banks
,
4.84%,
3/06/30
851,720‌
1,750,000‌
Federal
Home
Loan
Banks
,
4.54%,
4/17/30
1,750,233‌
805,000‌
Federal
Home
Loan
Banks
,
5.19%,
2/25/32
807,804‌
450,000‌
Federal
Home
Loan
Banks
,
5.35%,
6/12/34
452,346‌
1,760,000‌
Federal
Home
Loan
Banks
,
5.38%,
4/09/35
1,764,946‌
910,000‌
Federal
Home
Loan
Banks
,
5.75%,
12/27/35
910,040‌
625,000‌
Federal
Home
Loan
Banks
,
1.90%,
2/25/36
475,665‌
1,440,000‌
Federal
Home
Loan
Banks
,
2.00%,
2/26/36
1,107,711‌
470,000‌
Federal
Home
Loan
Banks
,
2.15%,
2/25/41
320,197‌
1,204,000‌
Federal
Home
Loan
Mortgage
Corp.
,
1.72%,
9/22/36
888,147‌
449,000‌
Federal
Home
Loan
Mortgage
Corp.
,
2.00%,
10/29/40
301,955‌
2,450,000‌
Federal
National
Mortgage
Association
,
1.60%,
8/24/35
1,848,210‌
2,534,000‌
Federal
National
Mortgage
Association
,
1.63%,
9/14/35
1,934,843‌
17,107‌
Freddie
Mac
Gold
Pool
,
4.00%,
1/01/41
16,695‌
North
Square
McKee
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
See
accompanying
Notes
to
Financial
Statements.
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
MORTGAGE-BACKED
SECURITIES
45.3%
(Continued)
31,717‌
Freddie
Mac
Gold
Pool
,
3.00%,
11/01/42
$
29,043‌
66,145‌
Freddie
Mac
Gold
Pool
,
3.50%,
12/01/42
62,395‌
5,225‌
Freddie
Mac
Gold
Pool
,
3.00%,
11/01/46
4,671‌
204,507‌
Freddie
Mac
Gold
Pool
,
3.00%,
12/01/46
182,993‌
1,075,874‌
Freddie
Mac
Gold
Pool
,
3.00%,
12/01/46
962,269‌
113,059‌
Freddie
Mac
Gold
Pool
,
3.00%,
1/01/47
101,106‌
461,556‌
Freddie
Mac
Pool
,
2.50%,
3/15/28
390,427‌
236,736‌
Freddie
Mac
Pool
,
3.50%,
6/15/29
215,807‌
237,547‌
Freddie
Mac
Pool
,
3.00%,
7/01/38
225,093‌
331,795‌
Freddie
Mac
Pool
,
3.00%,
9/01/39
312,005‌
134,994‌
Freddie
Mac
Pool
,
2.50%,
4/01/42
119,104‌
3,517‌
Freddie
Mac
Pool
,
3.50%,
8/01/49
3,217‌
21,280‌
Freddie
Mac
Pool
,
3.00%,
2/01/50
19,424‌
7,145‌
Freddie
Mac
Pool
,
2.50%,
5/01/50
5,857‌
117,956‌
Freddie
Mac
Pool
,
2.00%,
8/01/50
95,419‌
212,772‌
Freddie
Mac
Pool
,
2.50%,
11/01/50
178,523‌
180,544‌
Freddie
Mac
Pool
,
2.50%,
12/01/50
152,631‌
282,763‌
Freddie
Mac
Pool
,
2.00%,
2/01/51
226,689‌
606,397‌
Freddie
Mac
Pool
,
2.50%,
3/01/51
512,692‌
32,115‌
Freddie
Mac
Pool
,
2.50%,
5/01/51
27,297‌
23,307‌
Freddie
Mac
Pool
,
2.50%,
6/01/51
19,520‌
40,620‌
Freddie
Mac
Pool
,
3.50%,
7/01/51
37,131‌
408,816‌
Freddie
Mac
Pool
,
2.50%,
9/01/51
346,373‌
876,935‌
Freddie
Mac
Pool
,
3.50%,
9/01/51
811,227‌
371,032‌
Freddie
Mac
Pool
,
2.00%,
11/01/51
296,908‌
424,284‌
Freddie
Mac
Pool
,
3.00%,
12/01/51
371,130‌
199,069‌
Freddie
Mac
Pool
,
2.50%,
2/01/52
166,908‌
663,139‌
Freddie
Mac
Pool
,
3.00%,
8/01/52
581,491‌
459,823‌
Freddie
Mac
Pool
,
5.00%,
12/01/52
464,168‌
501,851‌
Freddie
Mac
Pool
,
6.00%,
2/01/53
519,156‌
318,511‌
Freddie
Mac
Pool
,
6.00%,
5/01/53
326,816‌
246,602‌
Freddie
Mac
Pool
,
5.50%,
6/01/53
249,668‌
378,987‌
Freddie
Mac
Pool
,
5.00%,
7/01/53
379,625‌
18,693‌
Freddie
Mac
Pool
,
6.00%,
8/01/53
19,272‌
391,814‌
Freddie
Mac
Pool
,
5.50%,
9/01/53
399,412‌
19,059‌
Freddie
Mac
Pool
,
6.50%,
11/01/53
19,934‌
12,947‌
Freddie
Mac
Pool
,
5.00%,
4/01/54
12,812‌
193,689‌
Freddie
Mac
Pool
,
5.50%,
11/01/54
195,994‌
17,540‌
Freddie
Mac
REMICS
,
3.50%,
8/15/27
17,471‌
23,007‌
Freddie
Mac
REMICS
,
3.00%,
8/15/40
22,876‌
9,524‌
Freddie
Mac
REMICS
,
2.00%,
12/15/41
9,045‌
17,631‌
Freddie
Mac
REMICS
,
2.00%,
6/25/42
16,784‌
27,287‌
Freddie
Mac
REMICS
,
3.00%,
5/15/43
26,765‌
5,046‌
Freddie
Mac
REMICS
,
3.00%,
11/15/43
5,006‌
91,630‌
Freddie
Mac
REMICS
,
2.00%,
3/25/44
87,084‌
North
Square
McKee
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
See
accompanying
Notes
to
Financial
Statements.
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
MORTGAGE-BACKED
SECURITIES
45.3%
(Continued)
118,695‌
Freddie
Mac
REMICS
,
3.00%,
8/15/44
$
115,418‌
234,796‌
Freddie
Mac
REMICS
,
2.00%,
5/25/46
211,089‌
234,077‌
Freddie
Mac
REMICS
,
3.00%,
6/25/48
218,407‌
558,834‌
Freddie
Mac
REMICS
,
2.50%,
10/25/48
513,163‌
731,538‌
Freddie
Mac
REMICS
,
1.50%,
2/25/49
593,823‌
101,472‌
Freddie
Mac
REMICS
,
1.00%,
4/25/49
83,818‌
1,301,499‌
Freddie
Mac
REMICS
,
5.50%,
9/25/49
1,321,777‌
45,963‌
Freddie
Mac
REMICS
,
1.00%,
1/25/50
34,595‌
342,116‌
Freddie
Mac
REMICS
,
1.00%,
9/25/50
267,951‌
17,511‌
Freddie
Mac
REMICS
,
0.75%,
12/25/50
13,359‌
39,482‌
Freddie
Mac
REMICS
,
2.00%,
1/25/51
32,547‌
508,168‌
Freddie
Mac
REMICS
,
5.50%,
11/25/51
515,959‌
132,272‌
Freddie
Mac
REMICS
,
3.25%,
4/15/53
129,102‌
24,905‌
Freddie
Mac
REMICS
,
3.00%,
1/15/55
24,156‌
64,686‌
Freddie
Mac
Seasoned
Credit
Risk
Transfer
Trust
,
Series
2021-2,
2.00%,
11/25/60
56,620‌
72,758‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
5.37%,
7/25/44
(12MTA
+
140bps)
(b)
70,474‌
11,558‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
5.17%,
10/25/44
(12MTA
+
120bps)
(b)
10,610‌
242,012‌
Ginnie
Mae
I
Pool
,
3.00%,
8/15/45
217,109‌
18,175‌
Ginnie
Mae
II
Pool
,
3.50%,
4/20/27
18,058‌
6,667‌
Ginnie
Mae
II
Pool
,
3.50%,
7/20/27
6,609‌
391,745‌
Ginnie
Mae
II
Pool
,
3.50%,
12/20/34
380,703‌
1,900‌
Ginnie
Mae
II
Pool
,
5.00%,
6/20/48
1,921‌
42,482‌
Ginnie
Mae
II
Pool
,
5.00%,
7/20/48
42,888‌
359,779‌
Ginnie
Mae
II
Pool
,
3.50%,
1/20/50
330,239‌
223,645‌
Ginnie
Mae
II
Pool
,
2.50%,
12/20/50
188,973‌
1,088,035‌
Ginnie
Mae
II
Pool
,
2.00%,
2/20/51
865,583‌
2,542,617‌
Ginnie
Mae
II
Pool
,
2.00%,
3/20/51
2,051,297‌
769,907‌
Ginnie
Mae
II
Pool
,
2.00%,
4/20/51
612,494‌
1,359,188‌
Ginnie
Mae
II
Pool
,
2.50%,
6/20/51
1,133,772‌
424,127‌
Ginnie
Mae
II
Pool
,
2.50%,
9/20/51
358,119‌
723,061‌
Ginnie
Mae
II
Pool
,
3.00%,
3/20/52
630,872‌
960,870‌
Ginnie
Mae
II
Pool
,
3.50%,
3/20/52
878,110‌
371,424‌
Ginnie
Mae
II
Pool
,
4.00%,
7/20/52
342,473‌
328,086‌
Ginnie
Mae
II
Pool
,
3.50%,
6/20/53
300,837‌
305,551‌
Ginnie
Mae
II
Pool
,
5.50%,
9/01/53
(b)
310,064‌
455,708‌
Ginnie
Mae
II
Pool
,
6.00%,
9/20/53
468,570‌
804,699‌
Ginnie
Mae
II
Pool
,
3.00%,
12/20/53
695,839‌
371,254‌
Government
National
Mortgage
Association
,
5.50%,
11/20/33
380,853‌
3,597‌
Government
National
Mortgage
Association
,
5.50%,
8/20/35
3,707‌
887‌
Government
National
Mortgage
Association
,
4.00%,
5/20/39
873‌
109,861‌
Government
National
Mortgage
Association
,
6.00%,
3/20/42
110,692‌
62,994‌
Government
National
Mortgage
Association
,
2.75%,
6/20/42
61,275‌
North
Square
McKee
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
See
accompanying
Notes
to
Financial
Statements.
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
MORTGAGE-BACKED
SECURITIES
45.3%
(Continued)
4,262‌
Government
National
Mortgage
Association
,
2.25%,
9/16/44
$
4,163‌
20,061‌
Government
National
Mortgage
Association
,
6.00%,
11/20/44
20,412‌
507,053‌
Government
National
Mortgage
Association
,
2.00%,
3/20/45
466,431‌
4,624‌
Government
National
Mortgage
Association
,
2.50%,
10/20/45
4,564‌
136,982‌
Government
National
Mortgage
Association
,
2.50%,
9/20/46
132,146‌
15,258‌
Government
National
Mortgage
Association
,
5.00%,
8/20/47
15,301‌
304,940‌
Government
National
Mortgage
Association
,
2.00%,
3/20/50
258,559‌
111,534‌
Government
National
Mortgage
Association
,
1.00%,
8/20/50
85,764‌
133,489‌
Government
National
Mortgage
Association
,
1.25%,
5/20/51
104,502‌
1,415,352‌
Government
National
Mortgage
Association
,
1.75%,
9/20/51
1,234,963‌
26,515‌
Government
National
Mortgage
Association
,
3.50%,
1/20/52
25,803‌
14,113‌
Government
National
Mortgage
Association
,
5.00%,
7/20/53
14,267‌
833,754‌
Government
National
Mortgage
Association
2022-189
PT
,
2.50%,
10/20/51
698,810‌
291,777‌
Government
National
Mortgage
Association
2024-020
,
5.50%,
2/20/54
297,678‌
441,667‌
Government
National
Mortgage
Association
2024-65
NB
,
5.50%,
2/20/48
444,109‌
540,000‌
Government
National
Mortgage
Association
2024-8
JL
,
5.00%,
1/20/54
538,400‌
413,000‌
Morgan
Stanley
Capital
I
Trust
2016-UBS12
,
3.60%,
12/17/49
405,012‌
337,000‌
Morgan
Stanley
Capital
I
Trust
2016-UBS9
,
3.59%,
3/17/49
334,607‌
925,000‌
PSMC
2020-3
Trust
,
3.00%,
11/25/50
(a)(b)
765,117‌
334,000‌
UBS
Commercial
Mortgage
Trust
,
2.92%,
10/18/52
314,632‌
64,118‌
Wells
Fargo
Commercial
Mortgage
Trust
,
Series
2021-SAVE,
5.73%,
2/15/40
(1MO
SOFR
+
136bps)
(a)(b)
64,142‌
160,000‌
Wells
Fargo
Commercial
Mortgage
Trust
,
Series
2016-C35,
2.93%,
7/17/48
157,559‌
351,000‌
Wells
Fargo
Commercial
Mortgage
Trust
,
Series
2017-RB1,
3.64%,
3/15/50
340,797‌
TOTAL
MORTGAGE-BACKED
SECURITIES
(Cost $83,188,838)
81,597,186‌
NON
U.S.
GOVERNMENT
&
AGENCIES
1.3%
SUPRANATIONAL
0.9%
730,000‌
International
Bank
for
Reconstruction
&
Development,
4.63%,
7/18/28
730,277‌
900,000‌
International
Bank
for
Reconstruction
&
Development,
4.70%,
11/8/34
900,193‌
1,630,470‌
SOVEREIGN
0.4%
766,000‌
Mexico
Government
International
Bond,
7.38%,
5/13/55
805,449‌
TOTAL
NON
U.S.
GOVERNMENT
&
AGENCIES
(Cost $2,390,392)
2,435,919‌
U.S.
GOVERNMENT
&
AGENCIES
19.9%
GOVERNMENT
SPONSORED
0.5%
1,077,000‌
Resolution
Funding
Corp.
Principal
"Strips",
0.00
%
,
1/15/30
909,411‌
U.S.
TREASURY
BONDS
10.0%
3,405,000‌
United
States
Treasury
Bond,
2.75
%
,
11/15/42
2,574,632‌
3,295,000‌
United
States
Treasury
Bond,
4.00
%
,
11/15/52
2,828,680‌
1,350,000‌
United
States
Treasury
Bond,
4.63
%
,
2/15/55
1,287,141‌
1,926,000‌
United
States
Treasury
Note,
3.75
%
,
12/31/28
1,934,991‌
3,510,000‌
United
States
Treasury
Note/Bond,
4.75
%
,
2/15/45
3,458,995‌
North
Square
McKee
Bond
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
See
accompanying
Notes
to
Financial
Statements.
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
U.S.
GOVERNMENT
&
AGENCIES
19.9%
(Continued)
4,851,000‌
United
States
Treasury
Note/Bond,
3.13
%
,
5/15/48
$
3,633,702‌
2,536,000‌
United
States
Treasury
Note/Bond,
4.50
%
,
11/15/54
2,367,891‌
18,086,032‌
U.S.
TREASURY
NOTES
9.4%
627,000‌
United
States
Treasury
Note,
4.25
%
,
5/15/35
629,008‌
2,065,000‌
United
States
Treasury
Note,
4.25
%
,
8/15/35
2,069,356‌
2,051,000‌
United
States
Treasury
Note/Bond,
3.88
%
,
7/31/27
2,059,653‌
2,753,000‌
United
States
Treasury
Note/Bond,
3.88
%
,
7/15/28
2,774,615‌
4,626,000‌
United
States
Treasury
Note/Bond,
3.88
%
,
7/31/30
4,663,948‌
3,167,000‌
United
States
Treasury
Note/Bond,
4.00
%
,
7/31/32
3,181,845‌
978,000‌
United
States
Treasury
Note/Bond,
4.75
%
,
5/15/55
951,716‌
460,000‌
United
States
Treasury
Note/Bond,
4.75
%
,
8/15/55
447,997‌
16,778,138‌
TOTAL
U.S.
GOVERNMENT
&
AGENCIES
(Cost $35,983,672)
35,773,581‌
Sh
ar
e
s
SHORT-TERM
INVESTMENTS
1.4%
2,469,162‌
First
American
Treasury
Obligations
Fund,
Class
X,
4.20%
(c)
2,469,162‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost
$2,469,162)
2,469,162‌
TOTAL
INVESTMENTS
99.2%
(Cost
$179,864,854)
$
178,525,414‌
Other
Assets
in
Excess
of
Liabilities
0.8%
1,404,978
NET
ASSETS
100.00%
$
179,930,392‌
(a)
Security
exempt
from
registration
under
Rule
144A
or
Section
4(2)
of
the
Securities
Act
of
1933.
The
security
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
As
of
August
31,
2025
the
total
market
value
of
144A
securities
is
$4,343,477
or
2.4%
of
net
assets.
(b)
Variable
rate
security.
Interest
rate
resets
periodically.
The
rate
shown
is
the
effective
interest
rate
as
of
August
31,
2025.
For
securities
based
on
a
published
reference
rate
and
spread,
the
reference
rate
and
spread
(in
basis
points)
are
indicated
parenthetically.
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.
These
securities,
therefore,
do
not
indicate
a
reference
rate
and
spread.
(c)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
August
31,
2025.
REMIC
Real
Estate
Mortgage
Investment
Conduit
North
Square
Strategic
Income
Fund
Schedule
of
Investments
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
5.0%
MATERIALS
5.0%
METALS
&
MINING
5.0%
35,434
Agnico
Eagle
Mines
Ltd.
$
5,108,520‌
154,890
Alamos
Gold,
Inc.,
Class
A
4,716,400‌
259,233
Kinross
Gold
Corp.
5,417,970‌
906,740
New
Gold,
Inc.
(a)
5,349,766‌
423,384
Orla
Mining
Ltd.
(a)
4,682,627‌
310,251
Wesdome
Gold
Mines,
Ltd.
(a)
4,120,133‌
29,395,416‌
TOTAL  MATERIALS
29,395,416‌
TOTAL
COMMON
STOCKS
(Cost $21,451,187)
29,395,416‌
PREFERRED
STOCKS
0.3%
FINANCIALS
0.3%
BANKING
0.3%
75,000
Citizens
Financial
Group,
Inc.,
–%
(a)
1,891,500‌
TOTAL
FINANCIALS
(Cost $1,899,000)
1,891,500‌
TOTAL
PREFERRED
STOCKS
(Cost $1,899,000)
1,891,500‌
EXCHANGE-TRADED
FUNDS
0.9%
200,800
North
Square
RCIM
Tax-Advantaged
Preferred
&
Income
Securities
ETF
(b)
5,114,718‌
TOTAL
EXCHANGE-TRADED
FUNDS
(Cost $5,066,512)
5,114,718‌
P
ri
nc
i
p
al
Amo
u
nt
($)
ASSET
BACKED
SECURITIES
14.4%
784,029
Aegis
Asset
Backed
Securities
Trust
2005-2,
5.16%,
6/25/35
(TSFR1M
+
83bps)
(c)
752,757‌
78,275
Ameriquest
Mortgage
Securities,
Inc.,
2004-R2,
5.08%,
4/25/34
(TSFR1M
+
76bps)
(c)
78,145‌
5,720,000
Applebee's
Funding
LLC
/
IHOP
Funding
LLC
2025-1A
A2,
6.72%,
6/07/55
(d)
5,795,430‌
3,880,708
BXP
Trust
2017-CQHP,
5.26%,
11/15/34
(TSFR1M
+
90bps)
(c)(d)
3,754,699‌
2,261,699
Citigroup
Commercial
Mortgage
Trust
2014-GC23,
4.59%,
7/10/47
(c)(d)
2,162,608‌
26,130,000
Citigroup
Commercial
Mortgage
Trust
2015-101A,
1.10%,
1/14/43
(c)(d)
2,035,187‌
72,000,000
Citigroup
Commercial
Mortgage
Trust
2020-555,
0.74%,
12/10/29
(c)(d)
2,100,031‌
3,640,895
COMM
2010-C1
Mortgage
Trust,
5.79%,
7/10/46
(c)(d)
3,599,196‌
3,011,391
COMM
2013-CCE11
Mortgage
Trust,
4.46%,
8/10/50
(c)(d)
2,860,339‌
350,000
COMM
2013-CCRE7
Mortgage
Trust,
4.24%,
3/10/46
(c)(d)
326,987‌
1,770,145
COMM
2015-CCRE23
Mortgage
Trust,
4.22%,
5/10/48
(c)
1,721,602‌
5,037,000
CyrusOne
Data
Centers
Issuer
I
2024-2
A2,
4.50%,
5/20/29
(d)
4,965,520‌
516,812
FBR
Securitization
Trust
2005-5
M2,
5.14%,
11/26/35
(TSFR1M
+
82bps)
(c)
513,441‌
North
Square
Strategic
Income
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
ASSET
BACKED
SECURITIES
14.4%
(Continued)
3,000,000
GS
Mortgage
Securities
Trust
2015-GC32
E,
4.50%,
7/10/48
(c)(d)
$
2,897,842‌
3,570,000
HI-FI
Music
IP
Issuer
LP
2022-1
A2,
3.94%,
2/01/62
(d)
3,512,573‌
4,571,377
HomeBanc
Mortgage
Trust
2005-3
M4,
5.44%,
7/25/35
(c)
4,598,670‌
113,992
HSI
Asset
Securitization
Corporation
Trust
2006-OPT3,
4.98%,
2/25/36
(TSFR1M
+
65bps)
(c)
112,969‌
825,132
Impac
CMB
Trust
Series
2005-4,
4.87%,
5/25/35
(TSFR1M
+
54bps)
(c)
789,478‌
4,342,206
JPMorgan
Chase
Commercial
Mortgage
Securities
Trust
2012-WLDN,
3.91%,
5/05/30
(d)
4,169,430‌
3,648,000
JPMorgan
Chase
Commercial
Mortgage
Securities
Trust
2013-C10,
4.10%,
12/15/47
(c)
3,425,928‌
2,970,000
JPMorgan
Chase
Commercial
Mortgage
Securities
Trust
2019-MFP,
6.57%,
7/15/36
(TSFR1M
+
221bps)
(c)(d)
2,327,135‌
61,043
JPMorgan
Mortgage
Acquisition
Trust
2006-CH1,
4.92%,
7/25/36
(TSFR1M
+
59bps)
(c)
61,001‌
273,742
JPMorgan
Mortgage
Acquisition
Trust
2007-CH3,
4.70%,
3/25/37
(TSFR1M
+
37bps)
(c)
271,128‌
3,580,000
Kapitus
Asset
Securitization
IV
LLC
2024-1,
5.49%,
9/10/31
(d)
3,603,456‌
653,941
Long
Beach
Mortgage
Loan
Trust
2005-1,
5.71%,
2/25/35
(TSFR1M
+
139bps)
(c)
641,885‌
5,000,000
Lyra
Music
Assets
Delaware
LP
2025-1
A2,
5.60%,
9/20/65
(d)
5,069,935‌
3,024,487
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2012-C5,
4.65%,
8/15/45
(c)(d)
2,968,382‌
2,072,014
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2013-C7
C,
4.04%,
2/15/46
(c)
1,971,194‌
2,211,937
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2014-C17,
3.50%,
8/15/47
(d)
2,156,283‌
491,178
Morgan
Stanley
Capital
I
Trust
2011-C2,
5.21%,
6/15/44
(c)(d)
487,761‌
2,500,000
Morgan
Stanley
Capital
I
Trust
2011-C2,
5.21%,
6/15/44
(c)(d)
2,385,106‌
2,800,000
Morgan
Stanley
Capital
I
Trust
2014-150E,
3.91%,
9/09/32
(d)
2,547,795‌
261,164
Renaissance
Home
Equity
Loan
Trust
2005-3,
5.14%,
11/25/35
261,112‌
251,000,000
RIDE
2025-SHRE
XCP,
0.28%,
2/14/47
(c)(d)
2,671,343‌
2,475,254
Wells
Fargo
Commercial
Mortgage
Trust
2014-LC18
C,
4.19%,
12/15/47
(c)
2,409,090‌
4,448,000
Wells
Fargo
Commercial
Mortgage
Trust
2017-SMP,
5.26%,
12/15/34
(c)(d)
4,142,192‌
TOTAL
ASSET
BACKED
SECURITIES
(Cost $84,020,487)
84,147,630‌
CORPORATE
BONDS
28.4%
COMMUNICATIONS
3.2%
ENTERTAINMENT
CONTENT
0.5%
3,100,000
Paramount
Global,
6.25%,
2/28/57
(c)
3,019,929‌
TELECOMMUNICATIONS
2.7%
4,000,000
Bell
Canada,
7.00%,
9/15/55
(H15T5Y
+
236bps)
(c)
4,101,140‌
5,775,000
Rogers
Communications,
Inc.,
7.13%,
4/15/55
(H15T5Y
+
262bps)
(c)
5,997,790‌
5,700,000
TELUS
Corp.,
6.63%,
10/15/55
(c)
5,800,457‌
15,899,387‌
North
Square
Strategic
Income
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
28.4%
(Continued)
CONSUMER
DISCRETIONARY
0.7%
AUTOMOTIVE
0.7%
4,416,000
General
Motors
Financial
Co.,
Inc.,
5.75%,
3/30/66
(c)(e)
$
4,324,926‌
ENERGY
2.6%
OIL
&
GAS
PRODUCERS
2.6%
2,050,000
Enbridge,
Inc.,
7.20%,
6/27/54
(H15T5Y
+
297bps)
(c)
2,136,822‌
500,000
Energy
Transfer
LP,
6.50%,
2/15/56
(H15T5Y
+
268bps)
(c)
497,991‌
2,000,000
Energy
Transfer
LP,
6.75%,
2/15/56
(H15T5Y
+
248bps)
(c)
1,995,199‌
2,500,000
Energy
Transfer
LP,
7.13%,
5/15/70
(c)(e)
2,571,705‌
3,000,000
Energy
Transfer
LP,
6.63%,
2/15/72
(US0003M
+
416bps)
(c)(e)
2,988,088‌
5,000,000
South
Bow
Canadian
Infrastructure
Holdings
Ltd.,
7.50%,
3/01/55
(c)
5,229,085‌
15,418,890‌
FINANCIALS
10.3%
ASSET
MANAGEMENT
0.9%
805,000
Charles
Schwab
Corp.
(The),
4.00%,
12/31/49
(US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
3bps)
(c)(e)
737,038‌
1,000,000
UBS
Group
AG,
7.00%,
12/31/49
(USISSO05
+
308bps)
(c)(d)(e)
1,016,914‌
4,000,000
UBS
Group
AG,
4.38%,
8/10/71
(c)(e)
3,596,384‌
5,350,336‌
BANKING
7.1%
5,000,000
Bank
of
America
Corp.,
5.88%,
3/15/49
(c)(e)
5,063,550‌
500,000
Bank
of
America
Corp.,
6.63%,
12/31/49
(c)(e)
516,004‌
3,000,000
BNP
Paribas
SA,
7.45%,
12/31/49
(H15T5Y
+
3bps)
(c)(d)(e)
3,069,185‌
6,000,000
Citigroup,
Inc.,
6.95%,
2/15/80
(H15T5Y
+
273bps)
(c)(e)
6,107,352‌
6,000,000
Citizens
Financial
Group,
Inc.,
4.00%,
10/06/71
(c)(e)
5,878,217‌
4,343,000
Fifth
Third
Bancorp,
4.50%,
12/31/49
(H15T5Y
+
422bps)
(c)(e)
4,339,437‌
4,800,000
HSBC
Holdings
PLC,
7.05%,
12/31/49
(H15T5Y
+
3bps)
(c)(e)
4,963,771‌
4,385,000
ING
Groep
NV,
3.88%,
10/16/69
(H15T5Y
+
286bps)
(c)(e)
4,180,289‌
2,700,000
KeyCorp,
4.89%,
12/15/65
(c)(e)
2,675,824‌
2,000,000
Svenska
Handelsbanken
AB,
4.75%,
3/01/71
(c)(e)
1,879,102‌
2,900,000
Truist
Financial
Corp.,
4.95%,
12/01/71
(c)(e)
2,893,767‌
41,566,498‌
INSTITUTIONAL
FINANCIAL
SERVICES
0.5%
3,000,000
CenterPoint
Energy,
Inc.,
6.85%,
2/15/55
(H15T5Y
+
295bps)
(c)
3,151,962‌
INSURANCE
0.9%
5,000,000
MetLife,
Inc.,
3.85%,
3/15/26
(c)(e)
4,990,575‌
SPECIALTY
FINANCE
0.9%
2,000,000
AerCap
Ireland
Capital
DAC,
6.50%,
1/31/56
(c)
2,062,418‌
3,000,000
Capital
One
Financial
Corp.,
3.95%,
12/01/70
(c)(e)
2,943,502‌
5,005,920‌
North
Square
Strategic
Income
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
28.4%
(Continued)
MATERIALS
0.8%
CHEMICALS
0.8%
4,250,000
FMC
Corp.,
8.45%,
11/01/55
(c)
$
4,450,961‌
UTILITIES
10.8%
ELECTRIC
UTILITIES
10.0%
5,467,000
Algonquin
Power
&
Utilities,
Corp.,
4.75%,
1/18/82
(c)
5,321,319‌
6,000,000
American
Electric
Power
Co.,
Inc.,
6.95%,
12/15/54
(H15T5Y
+
268bps)
(c)
6,393,936‌
2,250,000
CMS
Energy
Corp.,
4.75%,
6/01/50
(H15T5Y
+
412bps)
(c)
2,178,971‌
2,000,000
CMS
Energy
Corp.,
6.50%,
6/01/55
(H15T5Y
+
196bps)
(c)
2,045,086‌
3,500,000
Dominion
Energy,
Inc.,
6.88%,
2/01/55
(H15T5Y
+
239bps)
(c)
3,661,202‌
3,000,000
Dominion
Energy,
Inc.,
6.00%,
2/15/56
(H15T10Y
+
226bps)
(c)
3,030,457‌
4,500,000
Duke
Energy
Corp.,
6.45%,
9/01/54
(H15T5Y
+
259bps)
(c)
4,670,424‌
4,436,000
Emera,
Inc.,
6.75%,
6/15/76
(c)
4,474,939‌
2,000,000
Exelon
Corp.,
6.50%,
3/15/55
(H15T5Y
+
198bps)
(c)
2,067,247‌
5,500,000
NextEra
Energy
Capital
Holdings,
Inc.,
6.50%,
8/15/55
(H15T5Y
+
198bps)
(c)
5,774,434‌
2,000,000
NiSource,
Inc.,
6.38%,
3/31/55
(H15T5Y
+
253bps)
(c)
2,058,792‌
4,000,000
NRG
Energy,
Inc.,
10.25%,
12/31/49
(H15T5Y
+
592bps)
(c)(d)(e)
4,412,096‌
6,400,000
Southern
Co.
(The),
6.38%,
3/15/55
(c)
6,712,538‌
5,040,000
Vistra
Corp.,
8.88%,
12/31/49
(H15T5Y
+
505bps)
(c)(d)(e)
5,495,047‌
58,296,488‌
GAS
&
WATER
UTILITIES
0.8%
4,550,000
AltaGas
Ltd.,
7.20%,
10/15/54
(H15T5Y
+
357bps)
(c)(d)
4,621,976‌
TOTAL
CORPORATE
BONDS
(Cost $159,956,915)
166,097,848‌
MORTGAGE-BACKED
SECURITIES
42.5%
3,000,000‌
BXHPP
Trust
2021-FILM
,
5.13%,
8/15/36
(1
MO
SOFR
+
77bps)
(c)(d)
2,902,399‌
5,017,926‌
Fannie
Mae
Pool
,
3.50%,
10/01/51
4,545,037‌
8,700,135‌
Fannie
Mae
Pool
,
2.50%,
12/01/51
7,260,358‌
3,336,292‌
Fannie
Mae
Pool
,
3.00%,
12/01/51
2,897,970‌
2,394,850‌
Fannie
Mae
Pool
,
2.50%,
5/01/52
2,008,755‌
8,798,949‌
Fannie
Mae
Pool
,
2.50%,
6/01/52
7,357,504‌
1,900,806‌
Fannie
Mae
Pool
,
3.00%,
7/01/52
1,651,205‌
2,271,900‌
Fannie
Mae
Pool
,
5.00%,
7/01/52
2,252,633‌
4,264,936‌
Fannie
Mae
Pool
,
4.50%,
11/01/52
4,117,400‌
2,570,071‌
Fannie
Mae
Pool
,
5.00%,
6/01/53
2,552,381‌
7,091,131‌
Fannie
Mae
Pool
,
5.50%,
6/01/53
7,210,242‌
7,369,749‌
Fannie
Mae
Pool
,
5.50%,
10/01/53
7,456,073‌
844,526‌
Fannie
Mae
Pool
,
6.00%,
10/01/53
869,492‌
3,721,644‌
Fannie
Mae
Pool
,
6.00%,
10/01/53
3,805,666‌
3,800,772‌
Fannie
Mae
Pool
,
6.00%,
1/01/54
3,891,634‌
4,827,237‌
Fannie
Mae
Pool
,
5.50%,
5/01/54
4,876,312‌
4,498,669‌
Fannie
Mae
Pool
,
4.50%,
8/01/54
4,353,530‌
1,034,186‌
Fannie
Mae
Pool
,
6.00%,
11/01/54
1,061,117‌
North
Square
Strategic
Income
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
MORTGAGE-BACKED
SECURITIES
42.5%
(Continued)
8,330,896‌
Fannie
Mae
Pool
,
4.00%,
1/01/55
$
7,780,749‌
4,698,307‌
Fannie
Mae
Pool
,
5.00%,
6/01/55
4,646,695‌
7,031,612‌
Fannie
Mae
Pool
,
5.00%,
6/01/55
6,938,733‌
3,538,343‌
Fannie
Mae-Aces
,
1.38%,
8/25/28
(c)
106,268‌
1,212,739‌
Fannie
Mae-Aces
,
0.75%,
9/25/28
1,155,862‌
2,648,588‌
Fannie
Mae-Aces
,
1.25%,
3/26/29
(c)
86,585‌
3,793,608‌
Freddie
Mac
30-Year
Pool
,
3.50%,
9/01/52
3,434,685‌
7,264,040‌
Freddie
Mac
Pool
,
2.00%,
2/01/52
5,804,441‌
4,162,731‌
Freddie
Mac
Pool
,
2.00%,
3/01/52
3,321,276‌
3,992,318‌
Freddie
Mac
Pool
,
4.00%,
5/01/52
3,733,907‌
5,730,727‌
Freddie
Mac
Pool
,
3.50%,
9/01/52
5,200,025‌
1,751,863‌
Freddie
Mac
Pool
,
4.50%,
2/01/53
1,688,811‌
2,842,375‌
Freddie
Mac
Pool
,
5.00%,
6/01/53
2,815,251‌
2,485,823‌
Freddie
Mac
Pool
,
5.50%,
6/01/53
2,522,090‌
1,567,123‌
Freddie
Mac
Pool
,
5.50%,
6/01/53
1,581,005‌
2,649,879‌
Freddie
Mac
Pool
,
5.50%,
8/01/53
2,686,373‌
2,723,460‌
Freddie
Mac
Pool
,
6.00%,
11/01/53
2,811,061‌
4,991,358‌
Freddie
Mac
Pool
,
5.50%,
12/01/53
5,054,675‌
1,986,576‌
Freddie
Mac
Pool
,
6.00%,
12/01/53
2,049,567‌
4,738,582‌
Freddie
Mac
Pool
,
6.50%,
12/01/53
4,926,039‌
3,755,472‌
Freddie
Mac
Pool
,
5.50%,
9/01/54
3,785,643‌
7,327,807‌
Freddie
Mac
Pool
,
5.50%,
9/01/54
7,396,487‌
2,904,788‌
Freddie
Mac
Pool
,
5.00%,
11/01/54
2,869,362‌
7,235,495‌
Freddie
Mac
Pool
,
5.00%,
11/01/54
7,165,157‌
3,825,945‌
Freddie
Mac
Pool
,
5.00%,
12/01/54
3,786,177‌
1,880,352‌
Freddie
Mac
Pool
,
6.00%,
12/01/54
1,925,504‌
1,951,613‌
Freddie
Mac
Pool
,
5.50%,
3/01/55
1,972,582‌
4,965,961‌
Freddie
Mac
Pool
,
6.00%,
7/01/55
5,076,636‌
11,559,464‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
0.98%,
1/25/26
(c)
9,811‌
139,695,097‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
1.15%,
7/25/26
(c)
1,028,365‌
36,880,018‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
1.48%,
1/25/27
(c)
587,539‌
30,000,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
0.47%,
3/25/27
(c)
223,737‌
30,893,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
0.47%,
8/25/27
(c)
257,969‌
316,824,056‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
0.36%,
12/25/27
(c)
2,439,767‌
540,888‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
1.68%,
12/25/27
518,557‌
120,439,858‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
0.09%,
9/25/28
(c)
478,989‌
7,690,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
1.83%,
10/27/28
(c)
318,616‌
15,695,757‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
2.02%,
4/27/29
(c)
789,548‌
7,570,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
1.80%,
4/25/30
(c)
549,489‌
7,249,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
1.84%,
4/25/30
(c)
541,845‌
3,332,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
1.60%,
8/25/30
(c)
231,127‌
3,455,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
2.73%,
10/25/30
(c)
410,407‌
15,350,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
2.63%,
11/25/30
(c)
1,724,904‌
49,208,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
0.36%,
2/25/31
(c)
1,040,351‌
63,626,747‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
0.53%,
10/25/31
(c)
1,676,425‌
North
Square
Strategic
Income
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
MORTGAGE-BACKED
SECURITIES
42.5%
(Continued)
12,044,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
1.18%,
1/25/32
(c)
$
658,960‌
125,870,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
0.00%,
5/25/33
(c)
563,923‌
21,872,199‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
0.94%,
7/25/33
(c)
763,071‌
1,835,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
3.18%,
4/25/48
(c)
239,728‌
2,750,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
2.63%,
1/25/49
(c)
312,395‌
1,715,000‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
2.62%,
2/25/49
(c)
199,560‌
268,951,155‌
Freddie
Mac
Structured
Pass-Through
Certificates
,
0.10%,
11/25/49
(d)
176,808‌
1,686,770‌
Ginnie
Mae
II
Pool
,
3.00%,
8/20/52
1,496,619‌
2,269,806‌
Ginnie
Mae
II
Pool
,
3.00%,
9/20/52
2,012,414‌
5,400,199‌
Ginnie
Mae
II
Pool
,
2.50%,
2/20/53
4,646,382‌
4,656,337‌
Ginnie
Mae
II
Pool
,
3.50%,
2/20/53
4,265,991‌
3,087,584‌
Ginnie
Mae
II
Pool
,
2.50%,
3/20/53
2,637,343‌
4,632,993‌
Ginnie
Mae
II
Pool
,
3.00%,
3/20/54
4,119,901‌
2,062,631‌
Government
National
Mortgage
Association
,
2.00%,
7/20/52
1,691,733‌
1,981,665‌
Government
National
Mortgage
Association
,
2.50%,
4/20/53
1,692,693‌
1,230,519‌
Government
National
Mortgage
Association
,
0.77%,
12/16/56
(c)
56,336‌
19,534,370‌
Government
National
Mortgage
Association
,
1.27%,
9/16/60
(c)
1,758,949‌
36,324,008‌
Government
National
Mortgage
Association
,
1.08%,
11/16/60
(c)
3,143,225‌
71,183,587‌
Government
National
Mortgage
Association
,
0.81%,
11/16/61
(c)
4,128,036‌
40,492,393‌
Government
National
Mortgage
Association
,
–%,
1/16/62
(c)
2,903,199‌
48,230,413‌
Government
National
Mortgage
Association
,
1.01%,
9/16/62
(c)
3,425,531‌
11,091,667‌
Government
National
Mortgage
Association
,
0.97%,
5/16/63
(c)
774,476‌
6,973,096‌
Government
National
Mortgage
Association
,
0.99%,
5/16/63
(c)
513,301‌
42,762,009‌
Government
National
Mortgage
Association
,
0.99%,
5/16/63
(c)
3,147,536‌
50,285,391‌
Government
National
Mortgage
Association
,
0.88%,
9/16/63
(c)
3,140,604‌
14,105,602‌
Government
National
Mortgage
Association
,
0.68%,
7/16/66
(c)
902,173‌
56,662,380‌
Government
National
Mortgage
Association
,
0.55%,
10/16/66
(c)
2,903,454‌
29,468,452‌
Government
National
Mortgage
Association
,
0.71%,
2/16/67
(c)
1,725,228‌
2,154,423‌
UMBS
Fannie
Mae
Pool
,
5.00%,
3/01/53
2,139,378‌
3,643,832‌
UMBS
Fannie
Mae
Pool
,
4.50%,
7/01/53
3,526,481‌
2,713,549‌
UMBS
Freddie
Mac
Pool
,
5.50%,
5/01/54
2,756,579‌
TOTAL
MORTGAGE-BACKED
SECURITIES
(Cost $246,355,658)
248,640,807‌
NON
U.S.
GOVERNMENT
&
AGENCIES
1.1%
NON
U.S.
TREASURY
1.1%
125,000,000‌
Mexican
Bonos,
5.50%,
3/4/27
6,483,895‌
TOTAL
NON
U.S.
GOVERNMENT
&
AGENCIES
(Cost $6,146,643)
6,483,895‌
North
Square
Strategic
Income
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
C
ont
ra
ct
s
Description
Expiration
Date
Exercise
Price
Notional
Value
Fair
Value
PURCHASED
CALL
OPTIONS
1.10%
1,300
E-mini
S&P
500®
Index
12/22/2025
$
6,700.00
$
848,705,000
$
6,808,750‌
TOTAL
PURCHASED
CALL
OPTIONS
(Cost $6,102,963)
6,808,750‌
TOTAL
INVESTMENTS
93.7%
(Cost
$530,999,365)
$
548,580,564‌
Other
Assets
in
Excess
of
Liabilities
6.3%
36,699,095
NET
ASSETS
100.00%
$
585,279,659‌
(a)
Non-income
producing
security.
(b)
Affiliated
Company.
(c)
Variable
rate
security.
Interest
rate
resets
periodically.
The
rate
shown
is
the
effective
interest
rate
as
of
August
31,
2025.
For
securities
based
on
a
published
reference
rate
and
spread,
the
reference
rate
and
spread
(in
basis
points)
are
indicated
parenthetically.
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.
These
securities,
therefore,
do
not
indicate
a
reference
rate
and
spread.
(d)
Security
exempt
from
registration
under
Rule
144A
or
Section
4(2)
of
the
Securities
Act
of
1933.
The
security
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
As
of
August
31,
2025
the
total
market
value
of
144A
securities
is
$88,233,655
or
15.30%
of
net
assets.
(e)
Security
is
perpetual
in
nature
and
has
no
stated
maturity
date.
ETF
-
Exchange-Traded
Funds
North
Square
Strategic
Income
Fund
Schedule
of
Credit
Default
Swap
Contracts
August
31,
2025
(Unaudited)
*
Buy
Protection
CENTRALLY
CLEARED
CREDIT
DEFAULT
SWAP
AGREEMENTS
Description
Fixed
Deal
(Pay)Rate
Maturity
Date
Notional
Value
Fair
Value
Amortized
Upfront
Payments
Paid/
(Received)
Unrealized
Appreciation
(Depreciation)
CDX.NA.IG
SERIES
44
1.00%
6/20/2030
$
200,000,000‌
$
(4,325,050‌)
$
(3,657,765‌)
$
(667,285‌)
$
(667,285‌)
North
Square
Strategic
Income
Fund
Schedule
of
Futures
Contracts
August
31,
2025
(Unaudited)
See
accompanying
Notes
to
Financial
Statements.
Contracts
Long
Contracts
Expiration
Date
Notional
Amount
Value
and
Unrealized
Appreciation
(Depreciation)
454
10-Year
US
Treasury
Note
Future
12/22/2025
$
51,075,000‌
$
261,186‌
162
2-Year
US
Treasury
Note
Future
01/02/2026
33,783,328‌
26,349‌
798
5-Year
US
Treasury
Note
Future
01/02/2026
87,356,062‌
349,085‌
200
Japanese
Yen
Currency
Future
09/16/2025
17,033,750‌
(450,888‌)
91
Ultra
10-Year
US
Treasury
Note
Future
12/22/2025
10,410,969‌
51,183‌
$
236,915‌
Contracts
Short
Contracts
Expiration
Date
Notional
Amount
Value
and
Unrealized
Appreciation
(Depreciation)
(150)
Bloomberg
US
Corporate
Investment
Grade
Duration
Future
09/17/2025
$
(16,143,750‌)
$
(82,822‌)
(464)
E-mini
S&P
500®
Index
Future
09/22/2025
(150,167,800‌)
(1,699,390‌)
(126)
Mexican
Peso
Currency
Future
09/16/2025
(3,372,390‌)
(79,065‌)
(20)
Ultra
US
Treasury
Bond
Future
12/22/2025
(2,331,250‌)
4,018‌
(368)
US
Treasury
Bond
Future
12/22/2025
(42,044,000‌)
(78,951‌)
$
(1,936,210‌)
North
Square
Small
Cap
Value
Fund
Schedule
of
Investments
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
97.9%
CONSUMER
DISCRETIONARY
5.2%
AUTOMOTIVE
1.8%
158,419
Goodyear
Tire
&
Rubber
Co.
(The)
(a)
$
1,343,393‌
16,823
Lear
Corp.
1,850,530‌
3,193,923‌
HOME
CONSTRUCTION
0.9%
62,288
Interface,
Inc.
1,664,335‌
RETAIL
-
DISCRETIONARY
1.3%
39,236
Advance
Auto
Parts,
Inc.
2,393,004‌
WHOLESALE
-
DISCRETIONARY
1.2%
82,411
G-III
Apparel
Group
Ltd.
(a)
2,225,097‌
TOTAL  CONSUMER
DISCRETIONARY
9,476,359‌
ENERGY
8.8%
OIL
&
GAS
PRODUCERS
5.0%
101,965
Murphy
Oil
Corp.
2,534,850‌
91,479
SM
Energy
Co.
2,611,726‌
531,429
Whitecap
Resources,
Inc.
4,001,660‌
9,148,236‌
OIL
&
GAS
SERVICES
&
EQUIPMENT
2.4%
139,285
DNOW,
Inc.
(a)
2,228,560‌
142,767
MRC
Global,
Inc.
(a)
2,152,926‌
4,381,486‌
RENEWABLE
ENERGY
1.4%
24,221
EnerSys
2,486,286‌
TOTAL  ENERGY
16,016,008‌
FINANCIALS
21.7%
ASSET
MANAGEMENT
1.1%
60,047
F&G
Annuities
&
Life,
Inc.
2,075,825‌
BANKING
12.7%
44,075
Ameris
Bancorp
3,229,816‌
75,120
Cathay
General
Bancorp
3,749,239‌
68,548
Hancock
Whitney
Corp.
4,313,040‌
49,837
International
Bancshares
Corp.
3,565,339‌
92,999
OFG
Bancorp
4,161,705‌
51,724
Pathward
Financial
Group,
Inc.
4,110,507‌
23,129,646‌
INSTITUTIONAL
FINANCIAL
SERVICES
2.0%
35,933
StoneX
Group,
Inc.
(a)
3,671,275‌
INSURANCE
4.2%
157,348
Fidelis
Insurance
Holdings
Ltd.
2,750,443‌
North
Square
Small
Cap
Value
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
97.9%
(Continued)
FINANCIALS
21.7%
(Continued)
INSURANCE
4.2%
(Continued)
28,880
Jackson
Financial,
Inc.
$
2,853,344‌
38,530
Kemper
Corp.
(a)
2,067,134‌
7,670,921‌
SPECIALTY
FINANCE
1.7%
24,998
Enova
International,
Inc.
(a)
3,032,257‌
TOTAL  FINANCIALS
39,579,924‌
HEALTH
CARE
6.3%
BIOTECH
&
PHARMA
1.2%
260,566
SIGA
Technologies,
Inc.
2,186,149‌
HEALTH
CARE
FACILITIES
&
SERVICES
3.8%
323,891
AdaptHealth
Corp.
(a)
3,073,725‌
137,020
Pediatrix
Medical
Group,
Inc.
(a)
2,358,114‌
119,773
Select
Medical
Holdings
Corp.
1,558,247‌
6,990,086‌
MEDICAL
EQUIPMENT
&
DEVICES
1.3%
41,027
LivaNova
PLC
(a)
2,312,692‌
TOTAL  HEALTH
CARE
11,488,927‌
INDUSTRIALS
18.8%
COMMERCIAL
SUPPORT
SERVICES
2.7%
35,989
ABM
Industries,
Inc.
1,769,579‌
131,208
Healthcare
Services
Group,
Inc.
(a)
2,048,157‌
26,508
ManpowerGroup,
Inc.
1,123,939‌
4,941,675‌
ELECTRICAL
EQUIPMENT
1.9%
26,215
Belden,
Inc.
3,413,193‌
ENGINEERING
&
CONSTRUCTION
1.3%
19,756
Primoris
Services
Corp.
2,342,074‌
INDUSTRIAL
INTERMEDIATE
PROD
3.2%
34,996
Gibraltar
Industries,
Inc.
(a)
2,190,400‌
21,235
Timken
Co.
(The)
1,639,979‌
5,803
Valmont
Industries,
Inc.
2,130,397‌
5,960,776‌
INDUSTRIAL
SUPPORT
SERVICES
1.3%
67,891
Resideo
Technologies,
Inc.
(a)
2,311,689‌
MACHINERY
2.0%
74,628
Gates
Industrial
Corp.
PLC
(a)
1,907,492‌
34,850
Terex
Corp.
1,740,409‌
3,647,901‌
North
Square
Small
Cap
Value
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
97.9%
(Continued)
INDUSTRIALS
18.8%
(Continued)
TRANSPORTATION
&
LOGISTICS
4.7%
99,580
Ardmore
Shipping
Corp.
$
1,157,119‌
19,547
Copa
Holdings,
S.A.,
Class
A
2,293,645‌
67,483
Covenant
Logistics
Group,
Inc.,
Class
A
1,628,365‌
71,063
Global
Ship
Lease,
Inc.,
Class
A
2,135,443‌
29,594
Teekay
Tankers
Ltd.,
Class
A
(a)
1,455,137‌
8,669,709‌
TRANSPORTATION
EQUIPMENT
1.7%
58,642
REV
Group,
Inc.
3,120,341‌
TOTAL  INDUSTRIALS
34,407,358‌
MATERIALS
10.0%
CHEMICALS
2.8%
38,967
Minerals
Technologies,
Inc.
2,550,390‌
235,770
Orion
S.A.
2,487,374‌
5,037,764‌
CONSTRUCTION
MATERIALS
0.5%
20,948
Apogee
Enterprises,
Inc.
921,188‌
METALS
&
MINING
5.2%
130,115
Century
Aluminum
Co.
(a)
2,905,468‌
556,292
New
Gold,
Inc.
(a)
3,282,123‌
99,879
Pan
American
Silver
Corp.
3,387,895‌
9,575,486‌
STEEL
1.5%
83,049
Worthington
Steel,
Inc.
(a)
2,765,532‌
TOTAL  MATERIALS
18,299,970‌
REAL
ESTATE
7.0%
REIT
7.0%
225,508
Apple
Hospitality
REIT,
Inc.
2,945,134‌
146,650
Cousins
Properties,
Inc.
4,324,709‌
73,195
NexPoint
Residential
Trust,
Inc.
2,525,959‌
255,052
Park
Hotels
&
Resorts,
Inc.
2,999,412‌
12,795,214‌
TOTAL  REAL
ESTATE
12,795,214‌
TECHNOLOGY
15.5%
CONSUMER
SERVICES
1.1%
79,278
Upbound
Group,
Inc.
(a)
2,014,454‌
SOFTWARE
4.7%
33,225
Clear
Secure,
Inc.,
Class
A
1,206,400‌
33,826
Pegasystems,
Inc.
1,833,707‌
102,548
RingCentral,
Inc.,
Class
A
(a)
3,128,740‌
North
Square
Small
Cap
Value
Fund
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
COMMON
STOCKS
97.9%
(Continued)
TECHNOLOGY
15.5%
(Continued)
SOFTWARE
4.7%
(Continued)
121,023
Verint
Systems,
Inc.
(a)
$
2,467,659‌
8,636,506‌
TECHNOLOGY
HARDWARE
5.5%
54,254
Avnet,
Inc.
2,960,641‌
199,534
Daktronics,
Inc.
(a)
3,461,915‌
163,954
Knowles
Corp.
(a)
3,500,418‌
9,922,974‌
TECHNOLOGY
SERVICES
4.2%
21,028
Euronet
Worldwide,
Inc.
(a)
1,959,599‌
136,845
Paysafe
Ltd.
(a)
1,930,883‌
84,726
Penguin
Solutions,
Inc.
(a)
2,044,438‌
14,647
Science
Applications
International
Corp.
1,723,952‌
7,658,872‌
TOTAL  TECHNOLOGY
28,232,806‌
UTILITIES
4.6%
ELECTRIC
UTILITIES
2.6%
46,736
Avista
Corp.
1,707,734‌
232,065
Hawaiian
Electric
Industries,
Inc.
(a)
3,007,562‌
4,715,296‌
GAS
&
WATER
UTILITIES
2.0%
36,730
Northwest
Natural
Holding
Co.
1,525,397‌
62,382
UGI
Corp.
2,160,912‌
3,686,309‌
TOTAL  UTILITIES
8,401,605‌
TOTAL
COMMON
STOCKS
(Cost $168,161,043)
178,698,171‌
SHORT-TERM
INVESTMENTS
2.1%
3,850,975‌
First
American
Government
Obligations
Fund,
Class
X,
4.22%
(b)
3,850,975‌
TOTAL
SHORT-TERM
INVESTMENTS
(Cost
$3,850,975)
3,850,975‌
TOTAL
INVESTMENTS
100.0%
(Cost
$172,012,018)
$
182,549,146‌
Other
Assets
in
Excess
of
Liabilities
0.0%
(c)
27,154
NET
ASSETS
100.00%
$
182,576,300‌
(a)
Non-income
producing
security.
(b)
Rate
disclosed
is
the
seven
day
effective
yield
as
of
August
31,
2025.
(c)
Percentage
rounds
to
less
than
0.1%.
North
Square
RCIM
Tax-Advantaged
Preferred
and
Income
Securities
ETF
Schedule
of
Investments
August
31,
2025
(Unaudited)
Sh
ar
e
s
F
air
V
alu
e
PREFERRED
STOCKS
19.9%
FINANCIALS
18.8%
ASSET
MANAGEMENT
1.9%
13,000
Charles
Schwab
Corp.
(The),
Series
D,
5.95%
$
327,600‌
BANKING
12.2%
5,000
Citizens
Financial
Group,
Inc.,
6.50%
126,100‌
20,000
Comerica,
Inc.,
6.88%
506,000‌
15,200
Huntington
Bancshares
Inc.,
Series
J,
6.88%
384,864‌
12,800
KeyCorp,
Series
H,
6.20%
317,440‌
15,150
M&T
Bank
Corp.,
Series
J,
7.50%
410,565‌
14,450
UMB
Financial
Corp.,
7.75%
379,312‌
2,124,281‌
INSURANCE
1.6%
9,969
Allstate
Corp.
(The),
7.38%
271,556‌
SPECIALTY
FINANCE
3.1%
16,250
Capital
One
Financial
Corp.,
5.00%
320,450‌
8,647
Synchrony
Financial,
Series
B,
8.25%
223,525‌
543,975‌
TOTAL
FINANCIALS
(Cost $3,222,366)
3,267,412‌
COMMUNICATIONS
1.1%
TELECOMMUNICATIONS
1.1%
9,000
AT&T,
Inc.,
5.00%
184,770‌
TOTAL
COMMUNICATIONS
(Cost $174,554)
184,770‌
TOTAL
PREFERRED
STOCKS
(Cost $3,396,920)
3,452,182‌
P
ri
nc
i
p
al
Amo
u
nt
($)
CORPORATE
BONDS
76.1%
CONSUMER
DISCRETIONARY
2.9%
AUTOMOTIVE
2.9%
500,000
General
Motors
Financial
Co.,
Inc.,
6.50%,
3/30/73(SOFR
+
3bps)
(a)(b)
492,216‌
ENERGY
6.2%
OIL
&
GAS
PRODUCERS
6.2%
550,000
BP
Capital
Markets
PLC,
6.45%,
3/01/74(H15T5Y
+
240bps)
(a)(b)
579,629‌
500,000
TransCanada
Trust,
5.30%,
3/15/77(US0003M
+
321bps)
(a)
497,985‌
1,077,614‌
FINANCIALS
58.3%
ASSET
MANAGEMENT
1.3%
200,000
UBS
Group
A.G.,
9.25%,
5/13/72(H15T5Y
+
475bps)
(a)(b)(c)
219,694‌
North
Square
RCIM
Tax-Advantaged
Preferred
and
Income
Securities
ETF
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
P
ri
nc
i
p
al
Amo
u
nt
($)
F
air
V
alu
e
CORPORATE
BONDS
76.1%
(Continued)
FINANCIALS
58.3%
(continued)
BANKING
42.7%
200,000
Banco
Bilbao
Vizcaya
Argentaria
S.A.,
9.38%,
9/19/73(H15T5Y
+
510bps)
(a)(b)
$
221,563‌
200,000
Banco
Santander
SA,
9.63%,
2/21/73(H15T5Y
+
531bps)
(a)(b)
222,323‌
550,000
Bank
of
America
Corp.,
6.30%,
12/29/49(US0003M
+
455bps)
(a)(b)
553,550‌
500,000
Bank
of
Montreal,
7.70%,
5/26/84(H15T5Y
+
345bps)
(a)
522,566‌
550,000
Citigroup,
Inc.,
7.63%,
2/15/72(H15T5Y
+
321bps)
(a)(b)
576,647‌
350,000
Citizens
Financial
Group,
Inc.,
5.65%,
10/06/73(H15T5Y
+
531bps)
(a)(b)
350,658‌
350,000
Fifth
Third
Bancorp,
4.50%,
9/30/68(H15T5Y
+
422bps)
(a)(b)
349,739‌
200,000
First
Citizens
BancShares,
Inc.,
8.55%,
6/15/70(TSFR3M
+
423bps)
(a)(b)(c)
206,500‌
200,000
HSBC
Holdings
PLC,
7.05%,
12/05/73(H15T5Y
+
3bps)
(a)(b)
206,824‌
550,000
JPMorgan
Chase
&
Co.,
6.88%,
3/01/74(H15T5Y
+
274bps)
(a)(b)
579,311‌
200,000
Lloyds
Banking
Group
PLC,
8.00%,
3/27/70(H15T5Y
+
391bps)
(a)(b)
215,326‌
200,000
NatWest
Group
PLC,
8.13%,
6/30/72(H15T5Y
+
375bps)
(a)(b)
221,947‌
550,000
PNC
Financial
Services
Group,
Inc.
(The),
6.25%,
6/15/73(H15T7Y
+
281bps)
(a)
(b)
557,598‌
525,000
Royal
Bank
of
Canada,
7.50%,
5/02/84(H15T5Y
+
289bps)
(a)
550,222‌
200,000
Standard
Chartered
PLC,
7.75%,
2/15/73(H15T5Y
+
498bps)
(a)(b)(c)
207,870‌
400,000
Toronto-Dominion
Bank
(The),
8.13%,
10/31/82(H15T5Y
+
408bps)
(a)
422,420‌
300,000
Truist
Financial
Corp.,
6.67%,
3/01/73(H15T5Y
+
3bps)
(a)(b)
300,697‌
550,000
US
Bancorp,
5.30%,
12/29/49(US0003M
+
291bps)
(a)(b)
549,455‌
550,000
Wells
Fargo
&
Co.,
7.63%,
9/15/73(H15T5Y
+
361bps)
(a)(b)
588,768‌
7,403,984‌
INSTITUTIONAL
FINANCIAL
SERVICES
11.4%
500,000
Bank
of
New
York
Mellon
Corp.
(The),
6.30%,
3/20/74(H15T5Y
+
2bps)
(a)(b)
512,509‌
550,000
Goldman
Sachs
Group,
Inc.
(The),
7.50%,
8/18/70(H15T5Y
+
316bps)
(a)(b)
584,853‌
350,000
Morgan
Stanley,
7.74%,
9/15/70(TSFR3M
+
342bps)
(a)(b)
353,276‌
500,000
State
Street
Corp.,
6.70%,
3/15/74(H15T5Y
+
261bps)
(a)(b)
518,673‌
1,969,311‌
SPECIALTY
FINANCE
2.9%
500,000
Air
Lease
Corp.,
6.00%,
9/15/73(H15T5Y
+
256bps)
(a)(b)
492,461‌
UTILITIES
8.7%
ELECTRIC
UTILITIES
8.7%
500,000
Dominion
Energy
Inc.,
4.35%,
12/09/71(H15T5Y
+
320bps)
(a)(b)
491,641‌
400,000
Electricite
de
France
SA,
9.13%,
6/15/73(H15T5Y
+
541bps)
(a)(b)(c)
461,912‌
500,000
Vistra
Corp.,
8.88%,
1/15/71(H15T5Y
+
505bps)
(a)(b)(c)
545,144‌
1,498,697‌
TOTAL
CORPORATE
BONDS
(Cost $12,984,242)
13,153,977‌
TOTAL
INVESTMENTS
96.0%
(Cost
$16,381,162)
$
16,606,159‌
Other
Assets
in
Excess
of
Liabilities
4.0%
687,086
NET
ASSETS
100.00%
$
17,293,245‌
North
Square
RCIM
Tax-Advantaged
Preferred
and
Income
Securities
ETF
Schedule
of
Investments
(continued)
August
31,
2025
(Unaudited)
(a)
Variable
rate
security.
Interest
rate
resets
periodically.
The
rate
shown
is
the
effective
interest
rate
as
of
August
31,
2025.
For
securities
based
on
a
published
reference
rate
and
spread,
the
reference
rate
and
spread
(in
basis
points)
are
indicated
parenthetically.
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.
These
securities,
therefore,
do
not
indicate
a
reference
rate
and
spread.
(b)
Security
is
perpetual
in
nature
and
has
no
stated
maturity
date.
(c)
Security
exempt
from
registration
under
Rule
144A
or
Section
4(2)
of
the
Securities
Act
of
1933.
The
security
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
As
of
August
31,
2025
the
total
market
value
of
144A
securities
is
1,641,120
or
9.60%
of
net
assets.