CATHOLIC RESPONSIBLE INVESTMENTS ULTRA SHORT BOND FUND

 

January 31, 2026 (Unaudited)

 

 

SCHEDULE OF INVESTMENTS
U.S. TREASURY OBLIGATIONS — 39.8%
   Face
Amount
   Value 
U.S. Treasury Bills          
3.832%, 02/19/26(A),(B)  $3,900,000   $3,893,368 
3.817%, 02/12/26(A),(B)   2,875,000    2,872,131 
3.781%, 05/21/26(A),(B)   1,975,000    1,953,832 
3.763%, 05/14/26(A),(B)   4,875,000    4,826,275 
3.692%, 03/17/26(A),(B)   4,800,000    4,779,184 
3.667%, 10/29/26(A),(B)   1,000,000    974,314 
3.654%, 04/14/26(A),(B)   2,875,000    2,854,729 
3.646%, 06/11/26(A),(B)   1,925,000    1,900,650 
3.623%, 04/23/26(A),(B)   2,825,000    2,802,568 
3.623%, 05/26/26(A),(B)   2,875,000    2,842,770 
3.603%, 04/16/26(A),(B)   975,000    967,900 
3.600%, 05/19/26(A),(B)   2,000,000    1,978,918 
3.553%, 07/16/26(A),(B)   1,000,000    983,919 
0.000%, 03/31/26(B)   4,875,000    4,846,873 
           
Total U.S. Treasury Obligations          
(Cost $38,470,115)        38,477,431 
           
REPURCHASE AGREEMENTS — 30.9%
           
Citi Treasury          
3.660%, dated 01/31/26, to be repurchased on 02/02/26, repurchase price $10,003,050 (collateralized by various U.S. Treasury Obligations, par values $100 - $10,090,000, 3.750% - 4.625%, 04/30/2027 - 05/15/2044; with total market value $10,200,012)  $10,000,000   $10,000,000 
Gold Triparty Mortgage          
3.680%, dated 01/31/26, to be repurchased on 02/02/26, repurchase price $9,903,036 (collateralized by various U.S. Treasury Obligations, par values $219,926 - $5,694,480, 4.000% - 5.500%, 08/01/2031 - 10/01/2054; with total market value $10,098,000)   9,900,000    9,900,000 
REPURCHASE AGREEMENTS — continued
   Face
Amount
   Value 
Socgen Triparty Treasury          
3.660%, dated 01/31/26, to be repurchased on 02/02/26, repurchase price $10,003,050 (collateralized by a U.S. Treasury Obligation, par value $9,844,000, 5.000%, 05/15/2045; with total market value $10,200,020)  $10,000,000   $10,000,000 
Total Repurchase Agreements          
(Cost $29,900,000)        29,900,000 
           
ASSET-BACKED SECURITIES — 22.8%
           
Automotive — 17.7%          
Ally Auto Receivables Trust, Ser 2022-3, Cl A4          
5.070%, 10/16/28  $400,000   $401,093 
ARI Fleet Lease Trust, Ser 2023-B, Cl A2          
6.050%, 07/15/32 (C)   121,851    122,727 
ARI Fleet Lease Trust, Ser 2024-A, Cl A2          
5.300%, 11/15/32 (C)   164,392    165,327 
ARI Fleet Lease Trust, Ser 2025-B, Cl A1          
4.559%, 05/15/26 (C)   53,781    53,812 
ARI Fleet Lease Trust, Ser 2026-A, Cl A1          
3.812%, 01/15/27 (C)   325,000    324,990 
BMW Vehicle Lease Trust, Ser 2024-1, Cl A3          
4.980%, 03/25/27   139,772    140,063 
BMW Vehicle Lease Trust, Ser 2024-2, Cl A2A          
4.290%, 01/25/27   76,400    76,445 
BMW Vehicle Lease Trust, Ser 2025-1, Cl A2B          
4.087%, SOFR30A + 0.390%, 09/27/27 (D)   133,596    133,662 
Capital One Prime Auto Receivables Trust, Ser 2022-1, Cl A3          
3.170%, 04/15/27   4,760    4,759 
Capital One Prime Auto Receivables Trust, Ser 2022-1, Cl A4          
3.320%, 09/15/27   475,000    474,640 
CarMax Auto Owner Trust, Ser 2022-4, Cl A3          
5.340%, 08/16/27   52,089    52,213 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS ULTRA SHORT BOND FUND

 

January 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Chesapeake Funding II, Ser 2023-1A, Cl A1          
5.650%, 05/15/35 (C)  $229,551   $230,610 
Chesapeake Funding II, Ser 2023-1A, Cl A2          
4.957%, SOFR30A + 1.250%, 05/15/35 (C)(D)   39,024    39,155 
Chesapeake Funding II, Ser 2023-2A, Cl A1          
6.160%, 10/15/35 (C)   43,213    43,666 
Citizens Auto Receivables Trust, Ser 2023-1, Cl A3          
5.840%, 01/18/28 (C)   122,640    123,294 
CPS Auto Receivables Trust, Ser 2024-C, Cl A          
5.880%, 02/15/28 (C)   20,177    20,192 
Enterprise Fleet Financing, Ser 2023-1, Cl A2          
5.510%, 01/22/29 (C)   43,308    43,374 
Enterprise Fleet Financing, Ser 2023-2, Cl A2          
5.560%, 04/22/30 (C)   384,817    386,665 
Enterprise Fleet Financing, Ser 2024-3, Cl A2          
5.310%, 04/20/27 (C)   28,914    29,010 
Enterprise Fleet Financing, Ser 2025-2, Cl A1          
4.555%, 05/20/26 (C)   12,833    12,837 
Enterprise Fleet Financing, Ser 2025-3, Cl A1          
4.551%, 07/20/26 (C)   55,191    55,232 
Enterprise Fleet Financing, Ser 2025-4, Cl A1          
4.103%, 10/20/26 (C)   158,227    158,336 
Enterprise Fleet Financing, Ser 2026-1, Cl A1          
3.849%, 02/22/27 (C)   385,000    385,082 
Ford Credit Auto Lease Trust, Ser 2024-A, Cl A3          
5.060%, 05/15/27   95,078    95,264 
Ford Credit Auto Lease Trust, Ser 2024-B, Cl A2A          
5.180%, 02/15/27   1,917    1,918 
Ford Credit Auto Lease Trust, Ser 2024-B, Cl A2B          
4.107%, SOFR30A + 0.400%, 02/15/27 (D)   5,247    5,247 
Ford Credit Auto Lease Trust, Ser 2025-A, Cl A2B          
4.117%, SOFR30A + 0.410%, 08/15/27 (D)   271,425    271,480 
Ford Credit Auto Owner Trust, Ser 2022-C, Cl A4          
4.590%, 12/15/27   685,126    686,287 
ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Ford Credit Auto Owner Trust, Ser 2024-B, Cl A2B          
4.107%, SOFR30A + 0.400%, 04/15/27 (D)  $33,566   $33,572 
Ford Credit Auto Owner Trust, Ser 2025-A, Cl A2B          
4.117%, SOFR30A + 0.410%, 12/15/27 (D)   418,912    419,250 
Ford Credit Auto Owner Trust, Ser 2025-B, Cl A1          
4.057%, 10/15/26   236,403    236,457 
Ford Credit Auto Owner Trust, Ser 2025-C, Cl A1          
3.993%, 12/15/26   333,729    333,861 
GM Financial Automobile Leasing Trust, Ser 2024-1, Cl A3          
5.090%, 03/22/27   269,154    269,682 
Gm Financial Automobile Leasing Trust, Ser 2025-2, Cl A2B          
4.203%, SOFR30A + 0.500%, 07/20/27 (D)   105,864    105,959 
GM Financial Automobile Leasing Trust, Ser 2025-3, Cl A1          
4.359%, 08/20/26   73,442    73,466 
GM Financial Consumer Automobile Receivables Trust, Ser 2022-4, Cl A3          
4.820%, 08/16/27   179,944    180,152 
GM Financial Consumer Automobile Receivables Trust, Ser 2023-3, Cl A3          
5.450%, 06/16/28   192,466    193,778 
GMF Floorplan Owner Revolving Trust Series, Ser 2025-1A, Cl A2          
4.307%, SOFR30A + 0.600%, 03/15/29 (C)(D)   1,195,000    1,197,247 
Honda Auto Receivables Owner Trust, Ser 2023-2, Cl A3          
4.930%, 11/15/27   383,707    385,365 
Honda Auto Receivables Owner Trust, Ser 2025-2, Cl A2B          
4.187%, SOFR30A + 0.480%, 01/18/28 (D)   139,583    139,721 
Honda Auto Receivables Owner Trust, Ser 2025-4, Cl A2A          
4.040%, 06/15/28   210,000    210,532 
Hyundai Auto Lease Securitization Trust, Ser 2025-B, Cl A2A          
4.580%, 09/15/27 (C)   226,839    227,738 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS ULTRA SHORT BOND FUND

 

January 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Hyundai Auto Receivables Trust, Ser 2024-B, Cl A2A          
5.150%, 06/15/27  $29,367   $29,401 
Hyundai Auto Receivables Trust, Ser 2024-C, Cl A2B          
4.107%, SOFR30A + 0.400%, 09/15/27 (D)   103,633    103,669 
Hyundai Auto Receivables Trust, Ser 2025-A, Cl A2B          
4.047%, SOFR30A + 0.340%, 12/15/27 (D)   752,584    752,880 
Hyundai Auto Receivables Trust, Ser 2025-B, Cl A2B          
4.087%, SOFR30A + 0.380%, 08/15/28 (D)   208,130    208,277 
Hyundai Auto Receivables Trust, Ser 2025-C, Cl A2B          
4.057%, SOFR30A + 0.350%, 07/17/28 (D)   860,000    860,600 
Hyundai Auto Receivables Trust, Ser 2025-D, Cl A1          
4.039%, 11/16/26   274,177    274,284 
Hyundai Auto Receivables Trust, Ser 2025-D, Cl A2A          
4.030%, 11/15/28   465,000    465,950 
Mercedes-Benz Auto Lease Trust, Ser 2024-A, Cl A2B          
4.127%, SOFR30A + 0.420%, 02/16/27 (D)   8,107    8,107 
Mercedes-Benz Auto Lease Trust, Ser 2024-A, Cl A3          
5.320%, 01/18/28   192,000    193,672 
Mercedes-Benz Auto Lease Trust, Ser 2025-A, Cl A2B          
4.227%, SOFR30A + 0.520%, 04/17/28 (D)   138,456    138,591 
Mercedes-Benz Auto Receivables Trust, Ser 2025-1, Cl A2A          
4.500%, 02/15/28   327,120    327,669 
Nissan Auto Lease Trust, Ser 2024-B, Cl A2A          
5.050%, 06/15/27   113,589    113,981 
Nissan Auto Lease Trust, Ser 2024-B, Cl A2B          
4.117%, SOFR30A + 0.410%, 06/15/27 (D)   454,357    454,508 
Nissan Auto Receivables Owner Trust, Ser 2023-A, Cl A3          
4.910%, 11/15/27   120,592    120,942 
Nissan Auto Receivables Owner Trust, Ser 2025-A, Cl A2B          
4.157%, SOFR30A + 0.450%, 02/15/28 (D)   376,686    377,065 
ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Porsche Financial Auto Securitization Trust, Ser 2023-2A, Cl A3          
5.790%, 01/22/29 (C)  $379,744   $382,922 
Porsche Innovative Lease Owner Trust, Ser 2024-2A, Cl A3          
4.350%, 10/20/27 (C)   400,000    400,794 
Porsche Innovative Lease Owner Trust, Ser 2025-1A, Cl A2B          
4.203%, SOFR30A + 0.500%, 12/20/27 (C)(D)   71,481    71,540 
Santander Drive Auto Receivables Trust, Ser 2025-1, Cl A2          
4.760%, 08/16/27   14,265    14,270 
Santander Drive Auto Receivables Trust, Ser 2025-2, Cl A2          
4.710%, 06/15/28   208,530    208,808 
SBNA Auto Lease Trust, Ser 2023-A, Cl A3          
6.510%, 04/20/27 (C)   27,521    27,597 
SBNA Auto Lease Trust, Ser 2024-A, Cl A3          
5.390%, 11/20/26 (C)   48,495    48,569 
SBNA Auto Lease Trust, Ser 2024-A, Cl A4          
5.240%, 01/22/29 (C)   225,000    225,792 
SBNA Auto Lease Trust, Ser 2024-B, Cl A4          
5.550%, 12/20/28 (C)   105,000    106,226 
SFS Auto Receivables Securitization Trust, Ser 2024-3A, Cl A2          
4.710%, 05/22/28 (C)   111,666    111,754 
Stellantis Financial Underwritten Enhanced Lease Trust, Ser 2025-BA, Cl A1          
4.390%, 08/20/26 (C)   107,980    108,019 
Toyota Auto Receivables Owner Trust, Ser 2024-C, Cl A2B          
4.077%, SOFR30A + 0.370%, 05/17/27 (D)   119,422    119,437 
Volkswagen Auto Lease Trust, Ser 2024-A, Cl A2B          
4.173%, SOFR30A + 0.470%, 12/21/26 (D)   19,209    19,212 
Volkswagen Auto Lease Trust, Ser 2024-A, Cl A3          
5.210%, 06/21/27   500,000    502,743 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS ULTRA SHORT BOND FUND

 

January 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Volkswagen Auto Lease Trust, Ser 2025-B, Cl A2B          
4.073%, SOFR30A + 0.370%, 04/20/28 (D)  $365,000   $365,364 
Volkswagen Auto Loan Enhanced Trust, Ser 2025-2, Cl A1          
4.030%, 11/20/26   246,993    247,077 
Westlake Automobile Receivables Trust, Ser 2025-2A, Cl A1          
4.642%, 07/15/26 (C)   20,285    20,292 
Westlake Automobile Receivables Trust, Ser 2025-3A, Cl A1          
4.280%, 10/15/26 (C)   336,392    336,470 
World Omni Automobile Lease Securitization Trust, Ser 2025-A, Cl A2B          
4.097%, SOFR30A + 0.390%, 12/15/27 (D)   655,589    655,874 
World Omni Select Auto Trust, Ser 2024-A, Cl A2A          
5.370%, 02/15/28   3,483    3,485 
World Omni Select Auto Trust, Ser 2025-A, Cl A1          
4.222%, 10/15/26   145,064    145,087 
         17,095,088 
Credit Card — 0.5%          
CARDS II Trust, Ser 2024-1A, Cl A          
4.345%, SOFRRATE + 0.680%, 07/15/29 (C)(D)   280,000    280,423 
Evergreen Credit Card Trust, Ser 2024-1A, Cl A          
4.351%, SOFRRATE + 0.680%, 07/15/28 (C)(D)   170,000    170,281 
         450,704 
Other Asset-Backed Securities — 4.6%
522 Funding CLO, Ser 2021-3A, Cl AR          
4.969%, TSFR3M + 1.302%, 10/20/31 (C)(D)   4,343    4,344 
Amur Equipment Finance Receivables XII, Ser 2023-1A, Cl A2          
6.090%, 12/20/29 (C)   221,977    223,693 
Apidos CLO XXX, Ser 2024-XXXA, Cl A1AR          
4.748%, TSFR3M + 1.080%, 10/18/31 (C)(D)   32,956    32,949 
Auxilior Term Funding, Ser 2023-1A, Cl A2          
6.180%, 12/15/28 (C)   89,871    90,271 
ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Bain Capital Credit CLO, Ser 2024-2A, Cl A1R          
4.748%, TSFR3M + 1.080%, 07/19/31 (C)(D)  $114,050   $114,017 
Barings Equipment Finance, Ser 2025-B, Cl A1          
4.080%, 11/06/26 (C)   250,478    250,555 
Cbam, Ser 2018-7A, Cl A          
5.029%, TSFR3M + 1.362%, 07/20/31 (C)(D)   58,442    58,494 
CCG Receivables Trust, Ser 2023-2, Cl A2          
6.280%, 04/14/32 (C)   85,754    86,726 
CCG Receivables Trust, Ser 2025-2, Cl A1          
4.120%, 10/14/26 (C)   172,066    172,144 
CNH Equipment Trust, Ser 2022-C, Cl A3          
5.150%, 04/17/28   146,489    147,435 
CNH Equipment Trust, Ser 2024-B, Cl A2B          
4.107%, SOFR30A + 0.400%, 10/15/27 (D)   48,112    48,115 
Daimler Trucks Retail Trust, Ser 2023-1, Cl A3          
5.900%, 03/15/27   323,338    324,686 
Daimler Trucks Retail Trust, Ser 2024-1, Cl A3          
5.490%, 12/15/27   125,796    126,787 
DLLAA, Ser 2025-1A, Cl A2          
4.700%, 10/20/27 (C)   99,280    99,625 
HPEFS Equipment Trust, Ser 2025-2A, Cl A1          
4.153%, 10/20/26 (C)   191,957    192,051 
John Deere Owner Trust, Ser 2023-A, Cl A3          
5.010%, 11/15/27   129,749    130,298 
Kubota Credit Owner Trust, Ser 2025-2A, Cl A1          
4.480%, 07/15/26 (C)   109,990    110,058 
MMAF Equipment Finance, Ser 2019-B, Cl A5          
2.290%, 11/12/41 (C)   386,933    384,492 
PFS Financing, Ser 2025-A, Cl A          
4.357%, SOFR30A + 0.650%, 01/15/29 (C)(D)   285,000    285,353 
SCF Equipment Leasing, Ser 2025-2A, Cl A1          
4.100%, 11/20/26 (C)   226,188    226,298 
Sixth Street CLO XXV, Ser 2024-25A, Cl A          
5.148%, TSFR3M + 1.480%, 07/24/37 (C)(D)   1,000,000    1,002,608 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS ULTRA SHORT BOND FUND

 

January 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Volvo Financial Equipment Series, Ser 2025-2A, Cl A1          
4.073%, 10/15/26 (C)  $232,928   $233,049 
Volvo Financial Equipment Series, Ser 2025-2A, Cl A2          
3.960%, 06/15/28 (C)   120,000    120,087 
         4,464,135 
           
Total Asset-Backed Securities          
(Cost $22,001,948)        22,009,927 
           
CORPORATE OBLIGATIONS — 9.4%
           
CONSUMER DISCRETIONARY — 0.8%
American Honda Finance MTN          
4.422%, SOFRINDX + 0.720%, 10/05/26(D)  $472,000   $473,237 
Hyundai Capital America          
4.875%, 06/23/27(C)   275,000    277,931 
         751,168 
FINANCIALS — 7.3%          
Athene Global Funding          
5.684%, 02/23/26(C)   425,000    425,420 
4.787%, SOFRINDX + 1.030%, 08/27/26(C)(D)   350,000    351,067 
Australia & New Zealand Banking Group          
4.510%, SOFRRATE + 0.810%, 01/18/27(C)(D)   900,000    904,652 
Bank of America MTN          
3.500%, 04/19/26   525,000    524,582 
Citibank          
5.438%, 04/30/26   550,000    551,552 
Commonwealth Bank of Australia NY          
3.940%, SOFRRATE + 0.250%, 03/26/26(D)   575,000    575,136 
Cooperatieve Rabobank UA          
3.970%, SOFRRATE + 0.320%, 02/04/26(D)   425,000    425,015 
JPMorgan Chase          
3.300%, 04/01/26   625,000    624,471 
JPMorgan Chase Bank          
4.720%, SOFRRATE + 1.000%, 12/08/26(D)   525,000    527,789 
Mitsubishi UFJ Financial Group          
3.850%, 03/01/26   450,000    450,021 
Pacific Life Global Funding II MTN          
1.375%, 04/14/26(C)   400,000    398,119 
Protective Life Global Funding          
1.618%, 04/15/26(C)   482,000    479,808 
CORPORATE OBLIGATIONS — continued
   Face
Amount
   Value 
FINANCIALS — continued
Royal Bank of Canada MTN          
1.200%, 04/27/26  $550,000   $546,711 
Wells Fargo          
3.000%, 04/22/26   250,000    249,544 
         7,033,887 
INDUSTRIALS — 0.5%
Caterpillar Financial Services          
4.500%, 01/07/27   225,000    226,697 
John Deere Capital          
4.500%, 01/08/27   225,000    226,758 
         453,455 
MATERIALS — 0.3%          
Glencore Funding          
4.451%, SOFRINDX + 0.750%, 10/01/26(C)(D)   250,000    250,511 
           
UTILITIES — 0.5%          
Georgia Power          
3.982%, SOFRINDX + 0.280%, 09/15/26(D)   550,000    550,104 
           
Total Corporate Obligations          
(Cost $9,026,522)        9,039,125 
           
MORTGAGE-BACKED SECURITIES — 1.0%
           
Agency Mortgage-Backed Obligations — 1.0%
FNMA, Ser 2012-70, Cl BW          
1.750%, 06/25/27  $968,836   $954,779 
FNMA, Ser 2014-53, Cl VB          
3.500%, 01/25/35   11,488    11,458 
         966,237 
Total Mortgage-Backed Securities          
(Cost $967,018)        966,237 
           
COMMERCIAL PAPER — 0.5%
           
Gotham          
3.761%, 04/16/26(A)  $500,000   $496,057 
           
Total Commercial Paper          
(Cost $496,166)        496,057 
Total Investments in Securities— 104.4%          
(Cost $100,861,769)       $100,888,777 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS ULTRA SHORT BOND FUND

 

January 31, 2026 (Unaudited)

 

 

Percentages are based on Net Assets of $96,673,656.

 

(A) Interest rate represents the security's effective yield at the time of purchase.
(B) Zero coupon security.
(C) Securities sold within the terms of a private placement memorandum, exempt from registration under section 144A of the Securities Act of 1933, as amended, and maybe sold only to dealers in the program or other "accredited investors". The total value of these securities at January 31, 2026 was $12,684,295 and represented 13.1% of Net Assets.
(D) Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

 

Cl — Class 

CLO — Collateralized Loan Obligation 

FNMA — Federal National Mortgage Association 

MTN — Medium Term Note 

Ser — Series 

SOFRRATE — Secured Overnight Financing Rate Index 

SOFR30A — Secured Overnight Financing Rate 30-day Average 

TSFR3M — Term Secured Overnight Financing Rate 3 Month

 

CRI-QH-001-0900

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

SCHEDULE OF INVESTMENTS
CORPORATE OBLIGATIONS — 36.6%
   Face
Amount
   Value 
COMMUNICATION SERVICES — 1.7%
Alphabet          
1.100%, 08/15/30  $3,000,000   $2,646,588 
AT&T          
4.400%, 04/30/31   1,350,000    1,349,466 
2.750%, 06/01/31   975,000    896,874 
Comcast          
5.100%, 06/01/29   1,150,000    1,188,687 
NTT Finance          
5.104%, 07/02/27(A)   1,150,000    1,167,628 
Take-Two Interactive Software          
5.000%, 03/28/26   725,000    726,002 
4.950%, 03/28/28   600,000    611,354 
T-Mobile USA          
3.750%, 04/15/27   600,000    598,451 
Verizon Communications          
7.750%, 12/01/30   775,000    888,876 
         10,073,926 
CONSUMER DISCRETIONARY — 1.9%
AutoZone          
5.125%, 06/15/30   965,000    994,422 
Element Fleet Management          
5.643%, 03/13/27(A)   980,000    995,675 
General Motors Financial          
5.400%, 05/08/27   1,000,000    1,016,120 
4.200%, 10/27/28   1,025,000    1,027,761 
Hyatt Hotels          
5.750%, 01/30/27   750,000    761,704 
5.250%, 06/30/29   1,150,000    1,185,892 
Hyundai Capital America MTN          
5.950%, 09/21/26(A)   750,000    759,274 
5.275%, 06/24/27(A)   400,000    406,469 
5.250%, 01/08/27(A)   750,000    759,115 
4.250%, 01/08/29(A)   900,000    901,221 
O'Reilly Automotive          
5.750%, 11/20/26   850,000    860,702 
Trustees of Dartmouth College          
4.273%, 06/01/30   350,000    351,965 
YMCA of Greater New York          
5.184%, 08/01/30   500,000    501,884 
         10,522,204 
CONSUMER STAPLES — 0.6%
Coca-Cola Consolidated          
5.250%, 06/01/29   290,000    299,433 
Coty          
5.600%, 01/15/31(A)   220,000    222,734 
Keurig Dr Pepper          
5.100%, 03/15/27   480,000    485,258 
4.600%, 05/15/30   1,200,000    1,206,118 
CORPORATE OBLIGATIONS — continued
   Face
Amount
   Value 
CONSUMER STAPLES — continued
Mars          
4.600%, 03/01/28(A)  $1,200,000   $1,216,138 
         3,429,681 
ENERGY — 1.3%          
Columbia Pipelines Holding          
6.055%, 08/15/26(A)   290,000    292,390 
Enbridge          
5.900%, 11/15/26   720,000    730,173 
Energy Transfer          
6.050%, 12/01/26   925,000    939,438 
Equinor          
4.500%, 09/03/30   345,000    349,143 
Hess          
4.300%, 04/01/27   1,750,000    1,757,302 
ONEOK          
5.550%, 11/01/26   1,325,000    1,338,128 
Var Energi          
5.875%, 05/22/30(A)   1,840,000    1,913,590 
Williams          
5.400%, 03/02/26   300,000    300,421 
         7,620,585 
FINANCIALS — 20.8%
ABN AMRO Bank          
6.339%, H15T1Y + 1.650%, 09/18/27(A)(B)   1,200,000    1,216,673 
African Development Bank          
4.125%, 02/25/27   1,000,000    1,003,522 
3.500%, 09/18/29   500,000    496,410 
American Express          
5.645%, SOFRINDX + 0.750%, 04/23/27(B)   700,000    702,570 
5.389%, SOFRRATE + 0.970%, 07/28/27(B)   550,000    553,739 
5.098%, SOFRRATE + 1.000%, 02/16/28(B)   650,000    657,587 
American National Global Funding MTN          
4.875%, 01/23/31(A)   585,000    582,813 
Andina de Fomento MTN          
4.251%, 02/03/31   2,400,000    2,400,000 
Arab Energy Fund          
1.483%, 10/06/26(A)   2,930,000    2,881,895 
Arab Petroleum Investments          
5.428%, 05/02/29(A)   1,500,000    1,551,335 
Ares Capital          
7.000%, 01/15/27   900,000    923,875 
Asian Infrastructure Investment Bank MTN          
4.875%, 09/14/26   500,000    503,633 
4.426%, SOFRINDX + 0.620%, 08/16/27(B)   2,000,000    2,010,706 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
   Value 
FINANCIALS — continued    
3.916%, SOFRRATE + 0.220%, 04/15/26(B)  $750,000   $750,210 
Athene Global Funding          
5.583%, 01/09/29(A)   875,000    901,053 
5.339%, 01/15/27(A)   1,000,000    1,012,095 
Bank of America MTN          
5.933%, SOFRRATE + 1.340%, 09/15/27(B)   1,500,000    1,517,799 
5.819%, SOFRRATE + 1.570%, 09/15/29(B)   1,450,000    1,512,475 
5.162%, SOFRRATE + 1.000%, 01/24/31(B)   775,000    799,310 
3.705%, TSFR3M + 1.774%, 04/24/28(B)   1,000,000    995,988 
Bank of New York Mellon          
4.947%, SOFRRATE + 1.026%, 04/26/27(B)   470,000    471,109 
4.026%, SOFRRATE + 0.634%, 01/22/30(B)   755,000    754,469 
Barclays          
6.496%, SOFRRATE + 1.880%, 09/13/27(B)   500,000    507,218 
5.829%, SOFRRATE + 2.210%, 05/09/27(B)   550,000    552,510 
BNP Paribas          
2.591%, SOFRRATE + 1.228%, 01/20/28(A)(B)   625,000    616,610 
1.675%, SOFRRATE + 0.912%, 06/30/27(A)(B)   1,000,000    990,127 
BPCE          
6.612%, SOFRRATE + 1.980%, 10/19/27(A)(B)   1,125,000    1,144,626 
5.203%, 01/18/27(A)   1,150,000    1,164,860 
CaixaBank          
6.684%, SOFRRATE + 2.080%, 09/13/27(A)(B)   750,000    761,832 
Canadian Imperial Bank of Commerce          
5.237%, 06/28/27   845,000    860,746 
Central American Bank for Economic Integration          
5.000%, 02/09/26(A)   500,000    500,071 
3.750%, 01/22/29(A)   450,000    448,340 
Citibank          
4.876%, SOFRRATE + 0.712%, 11/19/27(B)   1,500,000    1,510,680 
Citigroup          
5.174%, SOFRRATE + 1.364%, 02/13/30(B)   1,150,000    1,181,658 
Citizens Bank          
4.575%, SOFRRATE + 2.000%, 08/09/28(B)   600,000    604,446 
CORPORATE OBLIGATIONS — continued
   Face
Amount
   Value 
FINANCIALS — continued
Clearinghouse Community Development Financial Institution          
7.000%, 10/15/30(A)  $1,000,000   $980,875 
Community Preservation          
2.867%, 02/01/30   250,000    234,428 
Cooperatieve Rabobank UA          
1.106%, H15T1Y + 0.550%, 02/24/27(A)(B)   1,750,000    1,746,844 
Corebridge Global Funding          
5.200%, 01/12/29(A)   380,000    390,278 
4.900%, 12/03/29(A)   925,000    942,947 
Credit Agricole          
5.230%, SOFRRATE + 1.130%, 01/09/29(A)(B)   1,250,000    1,275,432 
Credit Agricole Corporate & Investment Bank MTN          
4.570%, 08/25/30   2,000,000    1,989,905 
Danske Bank          
5.427%, H15T1Y + 0.950%, 03/01/28(A)(B)   1,350,000    1,369,648 
4.420%, H15T1Y + 0.850%, 09/12/31(A)(B)   875,000    870,908 
Equitable Financial Life Global Funding          
1.800%, 03/08/28(A)   1,350,000    1,288,295 
European Investment Bank          
2.375%, 05/24/27   2,500,000    2,461,787 
2.125%, 04/13/26   447,000    445,543 
F&G Global Funding          
4.650%, 09/08/28(A)   495,000    498,431 
Fifth Third Bancorp          
1.707%, SOFRRATE + 0.685%, 11/01/27(B)   1,000,000    983,018 
Fortitude Global Funding          
4.625%, 10/06/28(A)   185,000    185,341 
Goldman Sachs Bank USA NY          
5.414%, SOFRRATE + 0.750%, 05/21/27(B)   1,150,000    1,155,032 
Goldman Sachs Group          
6.484%, SOFRRATE + 1.770%, 10/24/29(B)   3,125,000    3,309,240 
4.387%, SOFRRATE + 1.510%, 06/15/27(B)   500,000    500,637 
4.223%, TSFR3M + 1.563%, 05/01/29(B)   1,000,000    1,002,563 
3.850%, 01/26/27   1,175,000    1,174,922 
2.640%, SOFRRATE + 1.114%, 02/24/28(B)   625,000    616,102 
Horace Mann Educators          
4.700%, 10/01/30   1,300,000    1,294,767 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
   Value 
FINANCIALS — continued        
HPS Corporate Lending Fund          
5.300%, 06/05/27(A)  $885,000   $889,665 
HSBC Holdings          
5.887%, SOFRRATE + 1.570%, 08/14/27(B)   1,410,000    1,423,802 
ING Groep          
6.083%, SOFRRATE + 1.560%, 09/11/27(B)   735,000    744,044 
Inter-American Development Bank MTN          
3.802%, 11/12/30   1,000,000    988,082 
Inter-American Investment          
4.125%, 02/15/28   500,000    503,823 
Intercontinental Exchange          
3.625%, 09/01/28   1,300,000    1,288,721 
International Bank for Reconstruction & Development MTN          
1.123%, 12/12/26(C)   2,500,000    2,482,816 
0.510%, 03/31/28(B)   1,000,000    983,168 
0.000%, 03/31/27(D)   2,500,000    2,391,475 
International Development Association          
4.375%, 11/27/29(A)   425,000    434,345 
0.875%, 04/28/26(A)   1,000,000    993,274 
International Finance Facility for Immunisation MTN          
4.125%, 10/29/27   1,000,000    1,006,406 
Jackson National Life Global Funding          
5.550%, 07/02/27(A)   595,000    606,838 
JPMorgan Chase          
6.087%, SOFRRATE + 1.570%, 10/23/29(B)   1,000,000    1,051,266 
6.070%, SOFRRATE + 1.330%, 10/22/27(B)   5,000,000    5,078,073 
5.571%, SOFRRATE + 0.930%, 04/22/28(B)   1,150,000    1,171,805 
4.979%, SOFRRATE + 0.930%, 07/22/28(B)   980,000    994,182 
4.347%, SOFRRATE + 0.840%, 01/22/32(B)   1,875,000    1,870,709 
3.702%, TSFR3M + 1.422%, 05/06/30(B)   825,000    813,454 
KBC Group          
5.796%, H15T1Y + 2.100%, 01/19/29(A)(B)   295,000    304,633 
KEB Hana Bank MTN          
4.299%, SOFRRATE + 0.600%, 10/21/28(A)(B)   425,000    426,435 
Kreditanstalt fuer Wiederaufbau          
1.000%, 10/01/26   250,000    245,652 
CORPORATE OBLIGATIONS — continued
   Face
Amount
   Value 
FINANCIALS — continued
Lincoln Financial Global Funding          
4.625%, 08/18/30(A)  $165,000   $165,689 
Lloyds Banking Group          
5.985%, H15T1Y + 1.480%, 08/07/27(B)   750,000    757,446 
5.087%, H15T1Y + 0.850%, 11/26/28(B)   1,200,000    1,221,941 
Lseg US Finance          
4.875%, 03/28/27(A)   1,000,000    1,011,139 
M&T Bank MTN          
7.413%, SOFRRATE + 2.800%, 10/30/29(B)   1,400,000    1,517,783 
4.833%, SOFRRATE + 0.930%, 01/16/29(B)   1,000,000    1,016,177 
Morgan Stanley MTN          
5.652%, SOFRRATE + 1.010%, 04/13/28(B)   1,150,000    1,171,738 
5.449%, SOFRRATE + 1.630%, 07/20/29(B)   205,000    211,350 
Morgan Stanley Bank          
4.952%, SOFRRATE + 1.080%, 01/14/28(B)   1,150,000    1,160,304 
Morgan Stanley Private Bank          
4.213%, SOFRRATE + 0.762%, 02/08/30(B)   1,205,000    1,205,173 
Nationwide Building Society          
6.557%, SOFRRATE + 1.910%, 10/18/27(A)(B)   1,125,000    1,144,457 
NatWest Group          
5.847%, H15T1Y + 1.350%, 03/02/27(B)   435,000    435,597 
NLG Global Funding          
4.350%, 09/15/30(A)   645,000    639,889 
Nordea Bank Abp          
5.375%, 09/22/27(A)   600,000    613,527 
Pacific Life Global Funding II          
4.450%, 05/01/28(A)   1,200,000    1,213,355 
PNC Bank          
4.050%, 07/26/28   1,375,000    1,375,620 
PNC Financial Services Group          
6.615%, SOFRINDX + 1.730%, 10/20/27(B)   750,000    763,902 
Principal Life Global Funding II          
4.950%, 11/27/29(A)   1,175,000    1,201,901 
RGA Global Funding          
5.448%, 05/24/29(A)   590,000    611,261 
Rocket Mortgage          
2.875%, 10/15/26(A)   1,330,000    1,311,930 
Royal Bank of Canada MTN          
4.696%, SOFRRATE + 1.060%, 08/06/31(B)   1,275,000    1,291,521 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
   Value 
FINANCIALS — continued
Skandinaviska Enskilda Banken          
5.125%, 03/05/27(A)  $950,000   $963,505 
Swedbank          
5.083%, 05/21/30(A)   1,455,000    1,497,728 
Truist Financial MTN          
4.123%, SOFRRATE + 1.368%, 06/06/28(B)   1,000,000    1,002,710 
1.267%, SOFRRATE + 0.609%, 03/02/27(B)   1,000,000    997,652 
UBS          
4.864%, SOFRRATE + 0.720%, 01/10/28(B)   1,175,000    1,185,304 
Wells Fargo MTN          
6.303%, SOFRRATE + 1.790%, 10/23/29(B)   1,450,000    1,531,606 
5.707%, SOFRRATE + 1.070%, 04/22/28(B)   1,150,000    1,173,047 
5.244%, SOFRRATE + 1.110%, 01/24/31(B)   775,000    800,790 
Westpac New Zealand          
5.132%, 02/26/27(A)   1,000,000    1,013,263 
WLB Asset II D Pte          
6.500%, 12/21/26(A)   978,522    949,629 
WLB Asset VI Pte          
7.250%, 12/21/27(A)   987,888    1,031,716 
WLB Asset VII Pte          
5.880%, 07/30/29(A)   462,500    466,035 
         119,107,286 
HEALTH CARE — 1.4%          
Ascension Health          
4.078%, 11/15/28   820,000    823,885 
CVS Pass-Through Trust          
6.036%, 12/10/28   1,281,848    1,298,907 
Elevance Health          
5.150%, 06/15/29   220,000    226,724 
Icon Investments Six DAC          
5.809%, 05/08/27   265,000    270,010 
Lifespan          
4.650%, 05/15/31   485,000    487,053 
PeaceHealth Obligated Group          
4.335%, 11/15/28   380,000    381,943 
Royalty Pharma          
1.750%, 09/02/27   1,275,000    1,230,571 
Smith & Nephew          
5.150%, 03/20/27   515,000    521,067 
Stryker          
4.700%, 02/10/28   1,200,000    1,218,624 
Zoetis          
4.150%, 08/17/28   1,300,000    1,307,741 
         7,766,525 
CORPORATE OBLIGATIONS — continued
   Face
Amount
   Value 
INDUSTRIALS — 1.8%
AerCap Ireland Capital DAC          
6.100%, 01/15/27  $1,000,000   $1,018,998 
4.875%, 04/01/28   925,000    940,031 
Aviation Capital Group          
4.875%, 01/28/33(A)   1,350,000    1,331,629 
4.800%, 10/24/30(A)   1,225,000    1,228,069 
Daimler Truck Finance North America          
5.125%, 09/25/27(A)   1,155,000    1,174,689 
5.000%, 01/15/27(A)   325,000    328,646 
HEICO          
5.250%, 08/01/28   270,000    277,285 
Norfolk Southern          
2.300%, 05/15/31   1,000,000    905,967 
PACCAR Financial          
4.550%, 05/08/30   1,345,000    1,369,978 
Penske Truck Leasing Lp          
5.350%, 01/12/27(A)   485,000    490,650 
Waste Management          
4.950%, 07/03/27   1,150,000    1,168,764 
         10,234,706 
INFORMATION TECHNOLOGY — 1.8%
Apple          
3.000%, 06/20/27   2,000,000    1,984,487 
Broadcom          
5.050%, 04/15/30   1,175,000    1,210,998 
Cadence Design Systems          
4.300%, 09/10/29   760,000    764,948 
Flex          
6.000%, 01/15/28   550,000    568,149 
Foundry JV Holdco          
5.500%, 01/25/31(A)   1,175,000    1,217,010 
International Business Machines          
4.300%, 02/03/31   2,275,000    2,273,988 
Open Text          
6.900%, 12/01/27(A)   1,295,000    1,338,481 
Oracle          
2.300%, 03/25/28   650,000    620,984 
Sprint Capital          
6.875%, 11/15/28   550,000    590,003 
         10,569,048 
REAL ESTATE — 1.5%
COPT Defense Properties          
2.250%, 03/15/26‡   550,000    548,814 
Cousins Properties          
5.250%, 07/15/30‡   1,200,000    1,231,502 
ERP Operating          
4.150%, 12/01/28‡   1,000,000    1,004,603 
Extra Space Storage          
5.700%, 04/01/28‡   1,225,000    1,263,967 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
   Value 
REAL ESTATE — continued
Host Hotels & Resorts          
2.900%, 12/15/31‡  $500,000   $452,765 
Realty Income          
4.700%, 12/15/28‡   1,250,000    1,273,499 
SBA Tower Trust          
4.831%, 10/15/29‡(A)   1,955,000    1,963,682 
Welltower OP          
2.050%, 01/15/29‡   1,200,000    1,136,377 
         8,875,209 
UTILITIES — 3.8%
Abu Dhabi Future Energy PJSC Masdar MTN          
4.875%, 05/21/30   500,000    507,847 
AEP Texas          
3.950%, 06/01/28   1,200,000    1,197,409 
Alliant Energy Finance          
5.400%, 06/06/27(A)   910,000    922,543 
Consumers 2023 Securitization Funding          
5.550%, 03/01/28   756,050    762,940 
Continental Wind          
6.000%, 02/28/33(A)   846,145    873,116 
ContourGlobal Power Holdings          
6.750%, 02/28/30(A)   250,000    257,820 
Emera US Finance          
3.550%, 06/15/26   1,025,000    1,022,167 
FirstEnergy Pennsylvania Electric          
5.150%, 03/30/26(A)   500,000    501,002 
Georgia Power          
4.850%, 03/15/31   1,200,000    1,230,726 
4.650%, 05/16/28   1,175,000    1,192,560 
Hanwha Futureproof          
4.750%, 04/30/28(A)   500,000    508,148 
ITC Holdings          
4.950%, 09/22/27(A)   1,200,000    1,214,770 
MidAmerican Energy          
3.650%, 04/15/29   2,000,000    1,979,805 
New York State Electric & Gas          
2.150%, 10/01/31(A)   895,000    789,095 
PG&E Recovery Funding          
4.838%, 06/01/33   3,402,118    3,469,036 
San Diego Gas & Electric          
4.950%, 08/15/28   1,000,000    1,024,923 
Solar Star Funding          
5.375%, 06/30/35(A)   486,274    493,881 
Texas Electric Market Stabilization Funding N          
4.265%, 08/01/34(A)   1,948,696    1,936,545 
CORPORATE OBLIGATIONS — continued
   Face
Amount
   Value 
UTILITIES — continued
XPLR Infrastructure Operating Partners LP          
7.250%, 01/15/29(A)  $1,016,000   $1,048,347 
         20,932,680 
           
Total Corporate Obligations          
(Cost $206,865,042)        209,131,850 
           
U.S. TREASURY OBLIGATIONS — 26.3%
           
U.S. Treasury Notes          
4.250%, 01/15/28  $18,330,000   $18,572,729 
3.875%, 07/15/28   14,900,000    15,005,930 
3.625%, 08/15/28   17,475,000    17,498,209 
3.625%, 12/31/30   3,754,000    3,725,552 
3.500%, 11/15/28   14,025,000    13,989,938 
3.500%, 01/15/29   397,000    395,883 
3.375%, 09/15/28   8,725,000    8,680,693 
3.125%, 08/31/27   28,700,000    28,526,230 
1.875%, 06/30/26   2,035,000    2,020,688 
1.250%, 06/30/28   17,785,000    16,843,646 
0.625%, 12/31/27   18,850,000    17,847,121 
0.500%, 06/30/27   7,200,000    6,903,000 
           
Total U.S. Treasury Obligations          
(Cost $149,106,489)        150,009,619 
           
ASSET-BACKED SECURITIES — 20.2%
           
Automotive — 11.4%
Americredit Automobile Receivables Trust, Ser 2023-1, Cl A3          
5.620%, 11/18/27  $234,845   $235,487 
ARI Fleet Lease Trust, Ser 2023-B, Cl A2          
6.050%, 07/15/32 (A)   97,481    98,181 
ARI Fleet Lease Trust, Ser 2025-B, Cl A3          
4.600%, 03/15/34 (A)   260,000    263,501 
ARI Fleet Lease Trust, Ser 2026-A, Cl A2          
3.960%, 11/15/34 (A)   1,145,000    1,145,976 
Bank of America Auto Trust, Ser 2023-1A, Cl A3          
5.530%, 02/15/28 (A)   329,919    332,152 
Bank of America Auto Trust, Ser 2023-2A, Cl A3          
5.740%, 06/15/28 (A)   600,774    606,284 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
BMW Vehicle Owner Trust, Ser 2023-A, Cl A3        
5.470%, 02/25/28  $172,053   $173,107 
BofA Auto Trust 2024-1, Ser 2024-1A, Cl A4          
5.310%, 06/17/30 (A)   1,235,000    1,260,887 
BofA Auto Trust 2025-1, Ser 2025-1A, Cl A4          
4.470%, 11/20/31 (A)   450,000    455,028 
Capital One Prime Auto Receivables Trust, Ser 2025-1, Cl A3          
3.850%, 07/15/30   325,000    325,179 
Capital One Prime Auto Receivables Trust, Ser 2025-1, Cl A4          
3.920%, 02/18/31   340,000    339,692 
Carmax Auto Owner Trust, Ser 2022-3, Cl B          
4.690%, 02/15/28   800,000    802,115 
CarMax Auto Owner Trust, Ser 2023-1, Cl A3          
4.750%, 10/15/27   112,970    113,184 
Carmax Auto Owner Trust, Ser 2023-3, Cl A3          
5.280%, 05/15/28   423,223    426,059 
CarMax Auto Owner Trust, Ser 2024-4, Cl A2A          
4.670%, 12/15/27   332,296    332,800 
Carmax Auto Owner Trust, Ser 2025-3, Cl A3          
4.350%, 07/15/30   501,000    505,258 
CarMax Auto Owner Trust, Ser 2026-1, Cl A4          
4.180%, 03/15/32   350,000    350,650 
Chesapeake Funding II, Ser 2023-1A, Cl A1          
5.650%, 05/15/35 (A)   252,506    253,670 
Citizens Auto Receivables Trust, Ser 2023-2, Cl A3          
5.830%, 02/15/28 (A)   495,980    499,053 
Citizens Auto Receivables Trust, Ser 2024-1, Cl A3          
5.110%, 04/17/28 (A)   335,067    336,784 
Enterprise Fleet Financing, Ser 2022-3, Cl A2          
4.380%, 07/20/29 (A)   6,245    6,247 
Enterprise Fleet Financing, Ser 2023-1, Cl A2          
5.510%, 01/22/29 (A)   19,669    19,699 
Enterprise Fleet Financing, Ser 2023-2, Cl A2          
5.560%, 04/22/30 (A)   507,958    510,395 
ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Enterprise Fleet Financing, Ser 2023-3, Cl A2          
6.400%, 03/20/30 (A)  $1,117,902   $1,131,633 
Enterprise Fleet Financing, Ser 2024-1, Cl A3          
5.160%, 09/20/30 (A)   355,000    361,818 
Enterprise Fleet Financing, Ser 2025-2, Cl A3          
4.410%, 06/20/29 (A)   1,010,000    1,019,765 
Enterprise Fleet Financing, Ser 2025-4, Cl A3          
4.110%, 12/20/29 (A)   1,009,000    1,012,407 
Flagship Credit Auto Trust, Ser 2023-2, Cl A3          
5.220%, 12/15/27 (A)   29,031    29,030 
Flagship Credit Auto Trust, Ser 2023-3, Cl A3          
5.440%, 04/17/28 (A)   309,720    310,036 
Ford Credit Auto Lease Trust, Ser 2025-B, Cl A3          
4.230%, 12/15/28   2,450,000    2,464,334 
Ford Credit Auto Lease Trust, Ser 2026-A, Cl A3          
4.000%, 07/15/29   525,000    526,259 
Ford Credit Auto Lease Trust, Ser 2026-A, Cl A4          
4.080%, 02/15/30   800,000    801,844 
Ford Credit Auto Owner Trust, Ser 2021-REV1, Cl A          
1.370%, 10/17/33 (A)   245,000    243,714 
Ford Credit Auto Owner Trust, Ser 2024-C, Cl A3          
4.070%, 07/15/29   550,000    552,124 
Ford Credit Auto Owner Trust, Ser 2024-D, Cl A3          
4.610%, 08/15/29   1,566,000    1,583,553 
Ford Credit Auto Owner Trust, Ser 2025-C, Cl A4          
3.980%, 01/15/32   1,070,000    1,071,104 
Ford Credit Floorplan Master Owner Trust A, Ser 2024-1, Cl A1          
5.290%, 04/15/29 (A)   1,200,000    1,219,895 
Ford Credit Floorplan Master Owner Trust, Ser 2023-1, Cl A1          
4.920%, 05/15/28 (A)   730,000    732,183 
Foursight Capital Automobile Receivables Trust, Ser 2023-2, Cl A2          
5.990%, 05/15/28 (A)   49,409    49,548 
GLS Auto Select Receivables Trust, Ser 2023-2A, Cl A2          
6.370%, 06/15/28 (A)   96,912    97,270 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
GM Financial Consumer Automobile Receivables Trust, Ser 2023-2, Cl A3        
4.470%, 02/16/28  $167,116   $167,395 
GM Financial Consumer Automobile Receivables Trust, Ser 2023-3, Cl A3          
5.450%, 06/16/28   949,500    955,964 
GM Financial Consumer Automobile Receivables Trust, Ser 2023-4, Cl A4          
5.710%, 02/16/29   500,000    512,562 
GM Financial Consumer Automobile Receivables Trust, Ser 2024-1, Cl A3          
4.850%, 12/18/28   402,321    404,945 
GM Financial Consumer Automobile Receivables Trust, Ser 2025-2, Cl B          
4.620%, 05/16/31   405,000    410,896 
Gm Financial Consumer Automobile Receivables Trust, Ser 2025-3, Cl A3          
4.180%, 08/16/30   2,000,000    2,014,743 
GM Financial Consumer Automobile Receivables Trust, Ser 2025-4, Cl A3          
3.840%, 02/18/31   220,000    220,066 
GM Financial Consumer Automobile Receivables Trust, Ser 2025-4, Cl A4          
3.930%, 04/16/32   200,000    199,692 
GM Financial Consumer Automobile Receivables Trust, Ser 2026-1, Cl A4          
3.970%, 06/16/32   975,000    974,837 
GMF Floorplan Owner Revolving Trust, Ser 2024-1A, Cl A1          
5.130%, 03/15/29 (A)   2,275,000    2,307,458 
Honda Auto Receivables 2025-2 Owner Trust, Ser 2025-2, Cl A3          
4.150%, 10/15/29   460,000    462,550 
Honda Auto Receivables Owner Trust, Ser 2023-2, Cl A3          
4.930%, 11/15/27   581,375    583,883 
Honda Auto Receivables Owner Trust, Ser 2023-4, Cl A3          
5.670%, 06/21/28   1,275,498    1,289,075 
Honda Auto Receivables Owner Trust, Ser 2024-1, Cl A4          
5.170%, 05/15/30   880,000    895,037 
ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Hyundai Auto Lease Securitization Trust, Ser 2023- C, Cl A3          
5.800%, 12/15/26 (A)  $51,142   $51,177 
Hyundai Auto Lease Securitization Trust, Ser 2025- C, Cl A3          
4.360%, 07/17/28 (A)   1,450,000    1,461,676 
Hyundai Auto Lease Securitization Trust, Ser 2026- A, Cl A4          
4.010%, 12/17/29 (A)   645,000    645,498 
Hyundai Auto Receivables Trust, Ser 2023-A, Cl A3          
4.580%, 04/15/27   42,725    42,751 
Hyundai Auto Receivables Trust, Ser 2023-B, Cl A3          
5.480%, 04/17/28   879,420    885,271 
Hyundai Auto Receivables Trust, Ser 2025-D, Cl A4          
4.070%, 03/15/32   540,000    541,935 
Hyundai Auto Receivables Trust, Ser 2025-D, Cl B          
4.360%, 03/15/32   595,000    599,587 
Hyundai Floorplan Master Owner Trust, Ser 2025-1A, Cl A          
4.010%, 10/15/30 (A)   2,165,000    2,167,299 
M&T Bank Auto Receivables Trust, Ser 2024-1A, Cl A3          
5.220%, 02/17/32 (A)   1,040,051    1,051,492 
Mercedes-Benz Auto Lease Trust, Ser 2024-A, Cl A3          
5.320%, 01/18/28   2,000,000    2,017,411 
Mercedes-Benz Auto Receivables Trust, Ser 2023-1, Cl A3          
4.510%, 11/15/27   189,737    190,134 
Nissan Auto Lease Trust 2025- B, Ser 2025-B, Cl A3          
4.320%, 11/15/28   2,250,000    2,268,424 
Nissan Auto Receivables 2025-A Owner Trust, Ser 2025-A, Cl A3          
4.490%, 12/17/29   1,410,000    1,426,943 
Porsche Financial Auto Securitization Trust, Ser 2023-2A, Cl A3          
5.790%, 01/22/29 (A)   140,505    141,680 
Santander Drive Auto Receivables Trust, Ser 2022-2, Cl C          
3.760%, 07/16/29   677,365    676,840 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Santander Drive Auto Receivables Trust, Ser 2024-1, Cl A3        
5.250%, 04/17/28  $15,934   $15,943 
SBNA Auto Lease Trust, Ser 2024-A, Cl A3          
5.390%, 11/20/26 (A)   85,350    85,482 
SFS Auto Receivables Securitization Trust, Ser 2023-1A, Cl A3          
5.470%, 10/20/28 (A)   512,340    515,490 
SFS Auto Receivables Securitization Trust, Ser 2024-1A, Cl A3          
4.950%, 05/21/29 (A)   234,654    235,904 
Tesla Auto Lease Trust, Ser 2024-A, Cl A3          
5.300%, 06/21/27 (A)   500,805    502,165 
Tesla Auto Lease Trust, Ser 2024-B, Cl A2A          
4.790%, 01/20/27 (A)   35,285    35,300 
Tesla Auto Lease Trust, Ser 2024-B, Cl A3          
4.820%, 10/20/27 (A)   500,000    501,761 
Tesla Electric Vehicle Trust, Ser 2023-1, Cl A3          
5.380%, 06/20/28 (A)   267,056    269,601 
Toyota Auto Receivables Owner Trust, Ser 2025-C, Cl A3          
4.110%, 03/15/30   865,000    870,456 
Toyota Auto Receivables Owner Trust, Ser 2026-A, Cl A4          
3.970%, 07/15/31   580,000    580,053 
Toyota Lease Owner Trust, Ser 2024-B, Cl A4          
4.250%, 01/22/29 (A)   1,500,000    1,505,119 
Toyota Lease Owner Trust, Ser 2025-B, Cl A4          
3.970%, 01/22/30 (A)   675,000    675,774 
USAA Auto Owner Trust, Ser 2023-A, Cl A3          
5.580%, 05/15/28 (A)   382,797    385,081 
Volkswagen Auto Lease Trust, Ser 2024-A, Cl A3          
5.210%, 06/21/27   320,000    321,753 
Volkswagen Auto Lease Trust, Ser 2025-A, Cl A4          
4.560%, 03/20/30   2,250,000    2,276,178 
Volkswagen Auto Lease Trust, Ser 2025-B, Cl A4          
4.000%, 05/20/30   1,770,000    1,774,165 
ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Volkswagen Auto Loan Enhanced Trust, Ser 2024-1, Cl A3          
4.630%, 07/20/29  $710,000   $718,885 
Volkswagen Auto Loan Enhanced Trust, Ser 2025-1, Cl A3          
4.500%, 08/20/29   1,338,000    1,351,540 
Volkswagen Auto Loan Enhanced Trust, Ser 2025-2, Cl A4          
4.050%, 09/20/32   890,000    892,614 
Westlake Automobile Receivables Trust, Ser 2023- P1, Cl A2          
5.890%, 02/16/27 (A)   2,986    2,989 
Wheels Fleet Lease Funding 1, Ser 2023-1A, Cl A          
5.800%, 04/18/38 (A)   429,914    432,391 
Wheels Fleet Lease Funding 1, Ser 2023-2A, Cl A          
6.460%, 08/18/38 (A)   473,009    478,544 
Wheels Fleet Lease Funding 1, Ser 2025-2A, Cl A1          
4.410%, 05/18/40 (A)   1,350,000    1,360,238 
World Omni Auto Receivables Trust, Ser 2025-B, Cl A4          
4.530%, 08/15/31   730,000    740,199 
World Omni Select Auto Trust, Ser 2023-A, Cl A3          
5.650%, 07/17/28   93,357    93,458 
         64,786,209 
Other Asset-Backed Securities — 8.8%
Affirm Asset Securitization Trust, Ser 2024-A, Cl A          
5.610%, 02/15/29 (A)   550,000    550,863 
AGL CLO 33, Ser 2024-33A, Cl A1          
5.020%, TSFR3M + 1.350%, 07/21/37 (A)(B)   2,150,000    2,155,353 
AGL CLO 7, Ser 2025-7A, Cl BR2          
5.272%, TSFR3M + 1.600%, 10/15/38 (A)(B)   3,260,000    3,270,289 
Amur Equipment Finance Receivables XI, Ser 2022-2A, Cl A2          
5.300%, 06/21/28 (A)   31,032    31,082 
Amur Equipment Finance Receivables XIII, Ser 2024-1A, Cl A2          
5.380%, 01/21/31 (A)   151,920    153,551 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Amur Equipment Finance Receivables XIII, Ser 2024-1A, Cl B        
5.370%, 01/21/31 (A)  $190,000   $193,878 
Amur Equipment Finance Receivables XV, Ser 2025-1A, Cl A2          
4.700%, 09/22/31 (A)   972,696    982,642 
Auxilior Term Funding, Ser 2023-1A, Cl A2          
6.180%, 12/15/28 (A)   77,153    77,496 
Bain Capital Credit CLO, Ser 2026-2A, Cl AR3          
%, TSFR3M + 0.980%, 07/19/34 (A)(B)   2,205,000    2,205,000 
Barings Equipment Finance, Ser 2026-A, Cl A4          
4.240%, 11/13/45 (A)   460,000    460,875 
Beechwood Park CLO, Ser 2025-1A, Cl B2RR          
5.118%, TSFR3M + 1.450%, 01/17/35 (A)(B)   1,000,000    1,000,754 
Benefit Street Partners CLO 44, Ser 2025-44A, Cl A1          
4.944%, TSFR3M + 1.220%, 01/15/39 (A)(B)   2,250,000    2,255,128 
Blue Owl Asset Leasing Trust, Ser 2024-1A, Cl A2          
5.050%, 03/15/29 (A)   119,682    120,133 
CCG Receivables Trust, Ser 2023-1, Cl A2          
5.820%, 09/16/30 (A)   100,750    101,105 
Centersquare Issuer, Ser 2025-1A, Cl A2          
5.500%, 03/26/55 (A)   1,050,000    1,028,110 
CIFC Funding, Ser 2024-5A, Cl AR          
5.078%, TSFR3M + 1.410%, 07/17/37 (A)(B)   1,275,000    1,278,093 
CNH Equipment Trust, Ser 2023-A, Cl A3          
4.810%, 08/15/28   562,915    565,272 
CNH Equipment Trust, Ser 2026-A, Cl A3          
4.000%, 05/15/31   295,000    295,693 
CNH Equipment Trust, Ser 2026-A, Cl A4          
4.140%, 07/15/33   440,000    441,556 
Dell Equipment Finance Trust, Ser 2023-2, Cl A3          
5.650%, 01/22/29 (A)   70,319    70,522 
Dell Equipment Finance Trust, Ser 2023-3, Cl A3          
5.930%, 04/23/29 (A)   206,734    207,729 
ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Dext ABS, Ser 2023-2, Cl A2          
6.560%, 05/15/34 (A)  $147,282   $147,942 
DLLAA, Ser 2023-1A, Cl A3          
5.640%, 02/22/28 (A)   343,757    347,384 
DLLAD, Ser 2023-1A, Cl A3          
4.790%, 01/20/28 (A)   348,145    349,757 
DLLMT, Ser 2023-1A, Cl A3          
5.340%, 03/22/27 (A)   493,730    495,658 
DLLST, Ser 2024-1A, Cl A3          
5.050%, 08/20/27 (A)   165,346    166,046 
GreatAmerica Leasing Receivables, Ser 2024-1, Cl A3          
4.980%, 01/18/28 (A)   585,000    589,524 
John Deere Owner Trust, Ser 2023-A, Cl A3          
5.010%, 11/15/27   290,228    291,453 
John Deere Owner Trust, Ser 2025-B, Cl A3          
4.170%, 12/17/29   1,660,000    1,671,703 
Kubota Credit Owner Trust, Ser 2024-2A, Cl A3          
5.260%, 11/15/28 (A)   1,950,000    1,980,291 
Madison Park Funding XLVI, Ser 2025-46A, Cl B1RR          
5.172%, TSFR3M + 1.500%, 10/15/34 (A)(B)   2,175,000    2,174,726 
MMAF Equipment Finance, Ser 2021-A, Cl A5          
1.190%, 11/13/43 (A)   620,000    617,689 
Mosaic Solar Loan Trust, Ser 2020-1A, Cl B          
3.100%, 04/20/46 (A)   110,070    96,016 
Neuberger Berman Loan Advisers CLO 38, Ser 2025- 38A, Cl AR2          
4.628%, TSFR3M + 0.960%, 10/20/36 (A)(B)   2,000,000    1,999,468 
NYCTL Trust, Ser 2025-A, Cl A          
4.840%, 11/10/38 (A)   1,276,500    1,276,208 
Octagon Investment Partners 36, Ser 2018-1A, Cl A1          
4.904%, TSFR3M + 0.970%, 04/15/31 (A)(B)   42,007    42,008 
OHA Credit Funding 16-R, Ser 2025-16RA, Cl B          
5.218%, TSFR3M + 1.550%, 10/20/38 (A)(B)   2,175,000    2,179,528 
OHA Credit Funding 23, Ser 2025-23A, Cl A1          
4.900%, TSFR3M + 1.190%, 01/20/39 (A)(B)   1,700,000    1,704,041 
PFS Financing, Ser 2024-B, Cl A          
4.950%, 02/15/29 (A)   2,050,000    2,071,655 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face
Amount
   Value 
Progress Residential Trust, Ser 2024-SFR3, Cl A        
3.000%, 06/17/41 (A)  $951,920   $908,642 
Progress Residential Trust, Ser 2025-SFR1, Cl A          
3.400%, 02/17/42 (A)   776,887    744,394 
Rad Clo 25, Ser 2024-25A, Cl A1          
5.128%, TSFR3M + 1.460%, 07/20/37 (A)(B)   2,200,000    2,204,664 
SCF Equipment Leasing, Ser 2025-1A, Cl A2          
4.820%, 07/22/30 (A)   64,676    64,875 
SCF Equipment Leasing, Ser 2025-2A, Cl A3          
4.330%, 06/20/36 (A)   910,000    910,430 
Sunnova Helios XI Issuer, Ser 2023-A, Cl A          
5.300%, 05/20/50 (A)   859,067    782,016 
Sunnova Helios XII Issuer, Ser 2023-B, Cl A          
5.300%, 08/22/50 (A)   840,081    775,139 
Sunnova Hestia I Issuer, Ser 2023-GRID1, Cl 1A          
5.750%, 12/20/50 (A)   1,383,815    1,360,234 
Switch ABS Issuer, Ser 2025-1A, Cl A2          
5.036%, 03/25/55 (A)   1,000,000    983,852 
Switch ABS Issuer, Ser 2025-2A, Cl A21          
5.121%, 10/25/55 (A)   1,090,000    1,087,026 
Tesla Sustainable Energy Trust, Ser 2024-1A, Cl A2          
5.080%, 06/21/50 (A)   1,152,504    1,156,538 
T-Mobile US Trust, Ser 2024-2A, Cl A          
4.250%, 05/21/29 (A)   1,900,000    1,908,512 
Vivint Solar Financing V, Ser 2018-1A, Cl A          
4.730%, 04/30/48 (A)   400,922    389,758 
Vivint Solar Financing V, Ser 2018-1A, Cl B          
7.370%, 04/30/48 (A)   109,696    107,364 
Vivint Solar Financing VII, Ser 2020-1A, Cl B          
3.220%, 07/31/51 (A)   835,679    720,495 
Volvo Financial Equipment Series, Ser 2025-2A, Cl A4          
4.060%, 06/15/33 (A)   748,000    746,406 
         50,496,566 
           
Total Asset-Backed Securities          
(Cost $114,707,782)        115,282,775 
MORTGAGE-BACKED SECURITIES — 11.2%
   Face
Amount
   Value 
Agency Mortgage-Backed Obligations — 4.2%
FHLMC          
5.000%, 07/01/35  $75,412   $76,660 
4.500%, 12/01/40   2,387,161    2,390,993 
FHLMC, Ser 2003-2690, Cl TZ          
4.500%, 10/15/33   750,701    758,419 
FHLMC, Ser 2017-4750, Cl PA          
3.000%, 07/15/46   364,425    355,764 
FHLMC, Ser 2022-5243, Cl A          
5.000%, 12/25/48   1,848,050    1,875,442 
FHLMC, Ser 2023-5290, Cl DE          
5.000%, 11/25/44   1,846,326    1,873,157 
FNMA          
5.000%, 03/01/34   58,014    58,777 
4.500%, 12/01/40   2,112,837    2,116,229 
3.500%, 11/01/34   129,920    129,453 
FNMA, Ser 2009-62, Cl WA          
5.585%, 08/25/39 (B)   10,782    10,904 
FNMA, Ser 2011-17, Cl ZM          
3.500%, 03/25/31   894,884    884,445 
FNMA, Ser 2013-104, Cl TY          
3.000%, 10/25/33   1,804,038    1,746,939 
FNMA, Ser 2013-43, Cl MB          
3.500%, 05/25/33   714,949    701,162 
FNMA, Ser 2017-12, Cl KE          
3.000%, 03/25/47   345,310    333,893 
FNMA, Ser 2017-19, Cl EA          
3.000%, 03/25/47   829,928    803,328 
FNMA, Ser 2017-87, Cl P          
3.000%, 02/25/46   816,305    798,290 
FNMA, Ser 2019-18, Cl A          
3.500%, 05/25/49   387,005    375,653 
FNMA, Ser 2022-29, Cl MG          
4.500%, 11/25/42   952,773    962,243 
FNMA, Ser 2022-72, Cl CB          
5.250%, 07/25/39   2,701,531    2,714,832 
FNMA, Ser 2022-76, Cl HC          
5.000%, 12/25/43   1,654,721    1,678,994 
FNMA, Ser 2024-58, Cl BA          
5.000%, 09/25/53   1,626,285    1,653,127 
GNMA, Ser 2017-99, Cl WA          
4.955%, 12/20/32 (B)   86,101    86,626 
GNMA, Ser 2022-177, Cl LA          
3.500%, 01/20/52   87,324    86,762 
GNMA, Ser 2023-146, Cl CT          
5.000%, 10/20/34   693,875    696,610 
GNMA, Ser 2023-49, Cl A          
4.500%, 07/20/48   1,218,271    1,218,025 
         24,386,727 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

MORTGAGE-BACKED SECURITIES — continued
   Face
Amount
   Value 
Non-Agency Mortgage-Backed Obligations — 7.0%
A&D Mortgage Trust, Ser 2025- NQM5, Cl A1          
5.120%, 12/25/70 (A)(C)  $2,249,103   $2,260,667 
A&D Mortgage Trust, Ser 2026- NQM1, Cl A1          
4.912%, 02/25/71 (A)(B)   490,000    490,303 
Angel Oak Mortgage Trust, Ser 2024-5, Cl A1          
4.950%, 07/25/68 (A)(C)   797,058    796,185 
Angel Oak Mortgage Trust, Ser 2024-8, Cl A1          
5.338%, 05/27/69 (A)(C)   317,797    319,875 
Angel Oak Mortgage Trust, Ser 2024-9, Cl A1          
5.138%, 09/25/69 (A)(C)   1,147,780    1,152,699 
BANK, Ser 2018-BN10, Cl ASB          
3.641%, 02/15/61   154,920    154,226 
BANK, Ser 2024-BNK48, Cl A1          
4.333%, 10/15/57   309,415    309,927 
BBCMS Mortgage Trust, Ser 2024-C28, Cl A1          
4.910%, 09/15/57   619,738    626,942 
BBCMS Mortgage Trust, Ser 2024-C30, Cl A1          
4.902%, 11/15/57   973,347    986,570 
BBCMS Mortgage Trust, Ser 2025-C32, Cl A1          
4.968%, 02/15/62   767,445    778,277 
BBCMS Trust, Ser 2015-SRCH, Cl A2          
4.197%, 08/10/35 (A)   1,435,000    1,413,303 
Benchmark Mortgage Trust, Ser V20, Cl A3          
5.184%, 02/15/59   1,200,000    1,236,448 
BRAVO Residential Funding Trust, Ser 2024-NQM5, Cl A1          
5.803%, 06/25/64 (A)(C)   1,284,897    1,300,734 
BX Commercial Mortgage Trust, Ser 2022-AHP, Cl A          
4.670%, TSFR1M + 0.990%, 01/17/39 (A)(B)   492,000    491,846 
BX Commercial Mortgage Trust, Ser 2022-AHP, Cl AS          
5.170%, TSFR1M + 1.490%, 01/17/39 (A)(B)   2,500,000    2,499,219 
BX Commercial Mortgage Trust, Ser 2022-AHP, Cl B          
5.520%, TSFR1M + 1.840%, 01/17/39 (A)(B)   1,750,000    1,750,000 
BX Trust, Ser 2022-CLS, Cl B          
6.300%, 10/13/27 (A)   2,200,000    2,214,867 
MORTGAGE-BACKED SECURITIES — continued
   Face
Amount
   Value 
CHI Commercial Mortgage Trust, Ser SFT, Cl A          
5.665%, 04/15/42 (A)(B)  $250,000   $256,535 
CHI Commercial Mortgage Trust, Ser SFT, Cl XA, IO          
0.310%, 04/15/42 (A)(B)   975,000    8,608 
COLT Mortgage Loan Trust, Ser 2026-1, Cl A1          
4.758%, 02/25/71 (A)(B)   768,000    768,153 
COLT, Ser 2025-1, Cl A1          
5.699%, 01/25/70 (A)(C)   569,000    575,494 
Deephaven Residential Mortgage Trust, Ser 2026- INV1, Cl A1          
4.797%, 12/25/70 (A)(B)   325,000    325,096 
EFMT, Ser 2025-NQM5, Cl A1          
0.000%, 11/25/70 (A)(B)   1,945,114    1,955,333 
FHLMC Multifamily ML Certificates, Ser 2023-ML18, Cl XCA, IO          
1.439%, 09/25/37 (B)   16,732,892    1,750,592 
FREMF Mortgage Trust, Ser 2019-K89, Cl B          
4.290%, 01/25/51 (A)(B)   1,400,000    1,395,511 
FREMF Mortgage Trust, Ser 2019-K94, Cl B          
3.963%, 07/25/52 (A)(B)   1,262,000    1,238,444 
GCAT Trust, Ser 2024-NQM2, Cl A1          
6.085%, 06/25/59 (A)(C)   706,250    715,310 
GCAT Trust, Ser 2025-NQM5, Cl A1          
4.981%, 08/25/70 (A)(B)   983,670    986,742 
GSR Mortgage Loan Trust, Ser 2004-9, Cl 3A1          
4.915%, 08/25/34 (B)   7,260    6,951 
HOMES Trust, Ser 2025-NQM4, Cl A1          
5.220%, 08/25/70 (A)(B)   2,302,686    2,320,957 
Hudson Yards Mortgage Trust, Ser 2016-10HY, Cl A          
2.835%, 08/10/38 (A)   1,000,000    990,998 
MAC Trust, Ser 2025-801B, Cl A          
5.380%, TSFR1M + 1.700%, 10/15/40 (A)(B)   250,000    250,934 
Manhattan West Mortgage Trust, Ser 2020-1MW, Cl C          
2.335%, 09/10/39 (A)(B)   214,000    205,803 
MFA Trust, Ser 2025-NQM5, Cl A1          
5.186%, 11/25/70 (A)(B)   2,224,630    2,238,517 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

MORTGAGE-BACKED SECURITIES — continued
   Face
Amount
   Value 
Morgan Stanley Residential Mortgage Loan Trust, Ser 2024-3, Cl A1        
6.000%, 07/25/54 (A)(B)  $174,100   $175,902 
Morgan Stanley Residential Mortgage Loan Trust, Ser 2025-NQM1, Cl A1          
5.738%, 11/25/69 (A)(B)   827,056    837,973 
New Residential Mortgage Loan Trust, Ser 2026-NQM1, Cl A1          
4.824%, 11/25/65 (A)(B)   335,000    335,168 
OBX Trust, Ser 2023-NQM2, Cl A1          
6.319%, 01/25/62 (A)(C)   562,436    560,794 
OBX Trust, Ser 2024-NQM13, Cl A1          
5.116%, 06/25/64 (A)   208,293    209,150 
OBX Trust, Ser 2024-NQM15, Cl A1          
5.316%, 10/25/64 (A)(C)   385,119    388,017 
OBX Trust, Ser 2024-NQM7, Cl A1          
6.243%, 03/25/64 (A)(C)   463,623    469,790 
Sequoia Mortgage Trust, Ser 2013-2, Cl A          
1.874%, 02/25/43 (B)   65,240    57,127 
STWD Mortgage Trust, Ser 2021-LIH, Cl D          
6.100%, TSFR1M + 2.419%, 11/15/36 (A)(B)   450,000    449,156 
Verus Securitization Trust, Ser 2024-4, Cl A1          
6.218%, 06/25/69 (A)(C)   638,364    647,413 
Wells Fargo Commercial Mortgage Trust, Ser 2024-C63, Cl A1          
4.894%, 08/15/57   710,132    718,689 
Wells Fargo Commercial Mortgage Trust, Ser 609M, Cl A          
5.223%, TSFR1M + 1.542%, 08/15/42 (A)(B)   250,000    250,625 
         39,871,870 
           
Total Mortgage-Backed Securities          
(Cost $62,626,655)        64,258,597 
MUNICIPAL BONDS — 4.1%
   Face
Amount
   Value 
California — 1.1%          
California Community Choice Financing Authority, RB          
6.125%, 04/01/30  $1,420,000   $1,472,363 
5.950%, 08/01/29   825,000    842,110 
California State Public Works Board, Ser D, RB          
3.770%, 11/01/26   135,000    135,045 
City & County of San Francisco California, GO          
3.700%, 06/15/26   1,500,000    1,500,627 
City of Oakland California, GO          
4.005%, 07/15/27   250,000    251,047 
San Francisco City & County Public Utilities Commission Wastewater Revenue, RB          
4.655%, 10/01/27   1,400,000    1,420,689 
         5,621,881 
Colorado — 0.2%
Broomfield Urban Renewal Authority, TA          
4.700%, 12/01/28   800,000    816,188 
Denver City & County Housing Authority, RB          
4.125%, 06/01/28   500,000    502,085 
         1,318,273 
Hawaii — 0.1%
State of Hawaii Department of Business Economic Development & Tourism, Ser A-2, RB          
3.242%, 01/01/31   562,108    553,389 
           
Illinois — 0.2%
Village of Deerfield Illinois, Ser B, GO          
4.000%, 12/01/28   1,250,000    1,250,037 
           
Indiana — 0.0%          
City of Fort Wayne Indiana, RB
10.750%, 12/01/29 (E)   117,179    12 
           
Iowa — 0.0%
Iowa Finance Authority, RB          
7.000%, 11/01/27 (A)   250,000    253,308 
           
Louisiana — 0.1%
Louisiana Local Government Environmental Facilities & Community Development Authority, RB          
3.615%, 02/01/29   394,307    393,605 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

MUNICIPAL BONDS — continued
   Face
Amount
   Value 
Maryland — 0.1%
Montgomery County Housing Opportunities Commission, RB          
4.412%, 12/01/27  $350,000   $354,327 
           
New Hampshire — 0.5%
New Hampshire Business Finance Authority, RB          
3.970%, 02/01/29 (A)(B)   2,500,000    2,500,000 
3.840%, 07/01/33 (A)(B)   850,000    850,000 
         3,350,000 
New Jersey — 0.5%
Jersey City Municipal Utilities Authority, Ser B, RB          
4.800%, 05/01/26   450,000    451,121 
Jersey City Redevelopment Agency, RB          
4.500%, 12/09/26   750,000    752,780 
New Jersey Economic Development Authority, RB          
4.984%, 03/01/27   1,000,000    1,009,952 
New Jersey Transportation Trust Fund Authority, Ser BB, RB          
4.608%, 06/15/26   510,000    511,533 
         2,725,386 
New York — 0.2%
New York State Energy Research & Development Authority, Ser A, RB          
6.222%, 04/01/40   600,000    617,741 
5.822%, 04/01/27   665,000    668,452 
5.739%, 04/01/26   250,000    250,160 
         1,536,353 
Oklahoma — 0.1%
Oklahoma Development Finance Authority, Ser C, RB          
5.450%, 08/15/28   600,000    611,588 
           
Oregon — 0.3%
Warm Springs Reservation Confederated Tribe, Ser S, RB          
2.370%, 11/01/27 (A)   1,000,000    964,687 
2.165%, 11/01/26 (A)   500,000    491,843 
         1,456,530 
Pennsylvania — 0.4%
Philadelphia Authority for Industrial Development, Ser A, RB          
6.350%, 04/15/28   2,025,000    2,099,105 
MUNICIPAL BONDS — continued
   Face
Amount
   Value 
South Dakota — 0.0%          
South Dakota Housing Development Authority, Ser E, RB          
5.460%, 05/01/53  $185,000   $188,443 
           
Texas — 0.1%
Hidalgo County Drain District No. 1, GO          
3.939%, 09/01/26   500,000    500,388 
           
West Virginia — 0.2%
Tobacco Settlement Finance Authority, RB          
2.351%, 06/01/28   1,000,000    958,738 
           
Total Municipal Bonds          
(Cost $23,052,021)        23,171,363 
           
SOVEREIGN DEBT — 1.0%
           
CANADA — 0.2%
CDP Financial MTN          
1.000%, 05/26/26(A)  $1,000,000   $991,275 
           
IRELAND — 0.4%
BB Blue Financing DAC          
4.395%, 09/20/29   2,500,000    2,442,691 
           
JAPAN — 0.1%
Japan Bank for International Cooperation          
1.625%, 01/20/27   500,000    490,134 
Japan International Cooperation Agency          
4.250%, 05/22/30   230,000    232,385 
           
         722,519 
NETHERLANDS — 0.1%
Nederlandse Waterschapsbank          
4.500%, 01/16/30(A)   250,000    256,209 
           
SOUTH KOREA — 0.0%
Korea Electric Power          
4.875%, 01/31/27(A)   250,000    252,224 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

SOVEREIGN DEBT — continued
   Face
Amount
   Value 
SWEDEN — 0.2%
Kommuninvest I Sverige          
4.625%, 09/29/28(A)  $1,000,000   $1,023,917 
           
Total Sovereign Debt          
(Cost $5,689,847)        5,688,835 
           
REPURCHASE AGREEMENTS — 0.6%
           
Barclays Capital          
3.660%, dated 01/31/26, to be repurchased on 02/02/26, repurchase price $1,800,549 (collateralized by a U.S. Treasury Obligation, par value $1,866,900, 2.875%, 04/30/2029; with total market value $1,836,022)  $1,800,000   $1,800,000 
Socgen Triparty Treasury          
3.660%, dated 01/31/26, to be repurchased on 02/02/26, repurchase price $1,800,549 (collateralized by a U.S. Treasury Obligation, par value $1,772,000, 5.000%, 05/15/2045; with total market value $1,836,087)   1,800,000    1,800,000 
           
Total Repurchase Agreements          
(Cost $3,600,000)        3,600,000 
BANK LOAN OBLIGATION — 0.3%
   Face
Amount
   Value 
ECOLOGICAL SERVICES & EQUIPMENT — 0.3%
Terraform Power Operating Specified Refinancing Term Loan  
5.672%, TSFR1M + 2.500%, 05/21/29(B)  $1,616,834   $1,612,792 
           
Total Bank Loan Obligation          
(Cost $1,616,834)        1,612,792 
           
U.S. GOVERNMENT AGENCY OBLIGATIONS — 0.1%
 
Export-Import Bank of the United States          
2.628%, 11/12/26  $554,066   $550,201 
United States International Development Finance          
1.790%, 10/15/29   250,689    240,720 
           
Total U.S. Government Agency Obligations          
(Cost $798,255)        790,921 
Total Investments in Securities— 100.4%
(Cost $568,062,925)       $573,546,752 

 

Percentages are based on Net Assets of $571,101,641.

 

A list of the open futures contracts held by the Fund at January 31, 2026, is as follows:

 

Type of Contract    Number of
Contracts
   Expiration
Date
  Notional Amount   Value   Unrealized
Appreciation/
(Depreciation)
 
Long Contracts                       
U.S. 2-Year Treasury Note   393   Mar-2026  $82,075,710   $81,937,430   $(138,280)
                        
Short Contracts                       
U.S. 5-Year Treasury Note   (264)   Mar-2026   (28,918,034)   (28,757,438)   160,596 
           $53,157,676   $53,179,992   $22,316 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS SHORT DURATION BOND FUND

 

January 31, 2026 (Unaudited)

 

 

Real Estate Investment Trust.
(A) Securities sold within the terms of a private placement memorandum, exempt from registration under section 144A of the Securities Act of 1933, as amended, and maybe sold only to dealers in the program or other "accredited investors". The total value of these securities at January 31, 2026 was $180,033,335 and represented 31.5% of Net Assets.
(B) Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.
(C) Step coupon security. Coupon rate will either increase (step-up bond) or decrease (step-down bond) at regular intervals until maturity. Interest rate shown reflects the rate currently in effect.
(D) Zero coupon security.
(E) Security in default and no interest is being accrued.

 

ABS — Asset-Backed Security

Cl — Class

CLO — Collateralized Loan Obligation

DAC — Designated Activity Company

FHLMC — Federal Home Loan Mortgage Corporation

FNMA — Federal National Mortgage Association

FREMF— Freddie Mac Multi-Family

GNMA — Government National Mortgage Association

GO — General Obligation

H15T1Y — US Treasury Yield Curve Rate T Note Constant Maturity 1 Year

IO — Interest Only — face amount represents notional amount

LP — Limited Partnership

MTN — Medium Term Note

PJSC — Public Joint-Stock Company

RB — Revenue Bond

Ser — Series

SOFRRATE — Secured Overnight Financing Rate Index

TA — Tax Allocation

TSFR1M — Term Secured Overnight Financing Rate 1 Month

TSFR3M — Term Secured Overnight Financing Rate 3 Month

 

CRI-QH-001-0900

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

SCHEDULE OF INVESTMENTS
U.S. TREASURY OBLIGATIONS — 34.1%
   Face
Amount
  Value
U.S. Treasury Bonds  
5.000%, 05/15/45  $4,100,000   $4,199,297 
4.875%, 08/15/45   5,676,000    5,713,529 
4.750%, 11/15/43   5,420,000    5,397,981 
4.750%, 02/15/45   5,460,000    5,422,676 
4.750%, 11/15/53   1,785,000    1,743,652 
4.750%, 05/15/55   53,300,000    52,121,678 
4.750%, 08/15/55   2,099,000    2,058,660 
4.625%, 05/15/44   19,110,000    18,735,265 
4.625%, 11/15/44   6,230,000    6,092,502 
4.625%, 11/15/45   3,235,000    3,154,631 
4.625%, 05/15/54   2,420,000    2,324,902 
4.625%, 02/15/55   19,415,000    18,626,849 
4.625%, 11/15/55   8,474,000    8,124,075 
4.500%, 02/15/44   13,528,000    13,071,958 
4.500%, 11/15/54   2,960,000    2,785,175 
4.250%, 08/15/54   965,000    870,724 
4.125%, 08/15/44   11,220,000    10,278,988 
4.125%, 08/15/53   14,912,000    13,157,513 
3.875%, 05/15/43   3,615,000    3,231,895 
3.625%, 05/15/53   165,000    132,819 
3.375%, 08/15/42   6,970,000    5,884,749 
3.000%, 02/15/49   615,000    451,496 
3.000%, 08/15/52   4,522,000    3,235,350 
2.875%, 05/15/43   5,705,000    4,416,472 
2.500%, 02/15/45   14,955,000    10,561,969 
2.500%, 02/15/46   870,000    604,412 
2.500%, 05/15/46   210,000    145,318 
2.375%, 02/15/42   870,000    638,125 
2.250%, 08/15/46   1,805,000    1,184,954 
2.250%, 02/15/52   5,235,000    3,163,290 
2.000%, 11/15/41   1,305,000    907,791 
2.000%, 02/15/50   4,745,000    2,773,786 
2.000%, 08/15/51   6,755,000    3,857,210 
1.875%, 02/15/41   935,000    650,921 
1.875%, 02/15/51   325,000    181,035 
1.875%, 11/15/51   3,200,000    1,762,000 
1.750%, 08/15/41   9,530,000    6,409,297 
1.625%, 11/15/50   12,805,000    6,698,640 
1.375%, 08/15/50   12,530,000    6,145,084 
1.250%, 05/15/50   17,155,000    8,190,172 
1.125%, 08/15/40   3,465,000    2,167,385 
U.S. Treasury Notes  
4.625%, 04/30/29   16,000,000    16,477,500 
4.375%, 11/30/28   3,995,000    4,076,929 
4.375%, 11/30/30   2,650,000    2,716,768 
4.375%, 01/31/32   18,555,000    18,991,332 
4.250%, 06/30/31   17,325,000    17,658,642 
4.250%, 05/15/35   6,216,000    6,235,425 
4.250%, 08/15/35   40,718,800    40,764,604 
4.125%, 10/31/29   6,770,000    6,870,492 
4.125%, 07/31/31   5,825,000    5,898,495 
U.S. TREASURY OBLIGATIONS — continued
   Face
Amount
   Value  
4.125%, 11/30/31  $8,020,000   $8,107,406 
4.000%, 10/31/29   422,000    426,401 
4.000%, 04/30/32   2,080,000    2,084,631 
4.000%, 01/31/33   2,750,000    2,745,273 
4.000%, 11/15/35   36,538,000    35,830,760 
3.875%, 07/15/28   38,350,000    38,618,151 
3.875%, 04/30/30   3,345,000    3,361,725 
3.875%, 07/31/30   450,000    452,074 
3.875%, 12/31/32   4,885,000    4,841,493 
3.875%, 08/15/34   80,830,000    79,153,409 
3.823%, USBMMY3M + 0.190%, 10/31/27(A)   37,680,000    37,743,883 
3.772%, USBMMY3M + 0.159%, 07/31/27(A)   37,720,000    37,764,861 
3.750%, 05/31/30   1,700,000    1,699,668 
3.711%, USBMMY3M + 0.098%, 01/31/27(A)   39,330,000    39,344,578 
3.625%, 08/15/28   2,965,000    2,968,706 
3.625%, 09/30/30   1,996,800    1,983,875 
3.625%, 10/31/30   103,238,000    102,506,491 
3.625%, 12/31/30   19,554,000    19,405,817 
3.625%, 09/30/31   13,155,000    12,975,660 
3.500%, 10/15/28   865,000    862,905 
3.500%, 01/15/29   11,655,000    11,621,310 
3.500%, 09/30/29   4,595,000    4,565,743 
3.500%, 11/30/30   3,164,000    3,124,203 
3.375%, 12/31/27   5,035,000    5,020,446 
3.375%, 09/15/28   1,570,000    1,561,721 
1.625%, 05/15/31   8,150,000    7,290,111 
1.500%, 11/30/28   795,000    750,499 
1.375%, 11/15/31   13,895,000    12,080,508 
1.250%, 06/30/28   19,530,000    18,494,757 
1.250%, 08/15/31   2,695,000    2,343,703 
1.125%, 02/15/31   2,385,000    2,095,912 
0.625%, 05/15/30   2,180,000    1,912,780 
           
Total U.S. Treasury Obligations          
(Cost $890,043,356)        870,703,872 
           
CORPORATE OBLIGATIONS — 26.4%
 
COMMUNICATION SERVICES — 1.7%
Alphabet  
5.350%, 11/15/45  $2,900,000   $2,861,020 
1.100%, 08/15/30   5,000,000    4,410,980 
AT&T  
4.350%, 06/15/45   3,065,000    2,525,006 
3.550%, 09/15/55   1,238,000    823,338 
2.550%, 12/01/33   150,000    127,686 
CCO Holdings  
7.000%, 02/01/33(B)   1,330,000    1,342,902 
4.500%, 05/01/32   975,000    875,603 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
COMMUNICATION SERVICES — continued
Charter Communications Operating  
6.100%, 06/01/29  $1,630,000   $1,702,989 
5.125%, 07/01/49   1,230,000    968,619 
4.200%, 03/15/28   630,000    627,760 
Comcast  
4.650%, 02/15/33   2,500,000    2,499,945 
Cox Communications
5.950%, 09/01/54(B)   1,390,000    1,222,337 
1.800%, 10/01/30(B)   650,000    569,288 
Meta Platforms  
5.625%, 11/15/55   745,000    709,612 
4.450%, 08/15/52   3,050,000    2,448,172 
Prosus MTN  
4.850%, 07/06/27(B)   500,000    503,015 
3.680%, 01/21/30(B)   200,000    193,000 
3.061%, 07/13/31(B)   1,940,000    1,772,797 
Rogers Communications  
3.800%, 03/15/32   1,705,000    1,615,657 
Telecom Italia Capital  
7.200%, 07/18/36   175,000    189,735 
Time Warner Cable  
6.750%, 06/15/39   800,000    804,654 
Verizon Communications  
5.875%, 11/30/55   1,210,000    1,194,406 
4.400%, 11/01/34   3,130,000    3,012,855 
3.875%, 03/01/52   3,500,000    2,595,072 
3.550%, 03/22/51   895,000    633,907 
2.850%, 09/03/41   2,500,000    1,799,621 
2.650%, 11/20/40   2,390,000    1,703,023 
1.500%, 09/18/30   2,500,000    2,208,792 
         41,941,791 
CONSUMER DISCRETIONARY — 0.8%
Alimentation Couche-Tard  
3.625%, 05/13/51(B)   5,000,000    3,577,173 
Amazon.com  
4.650%, 11/20/35   1,694,000    1,678,658 
AutoNation  
4.450%, 01/15/29   1,405,000    1,408,153 
Block Financial  
5.375%, 09/15/32   820,000    822,149 
Carnival  
5.750%, 03/15/30(B)   1,955,000    2,012,749 
eBay  
4.250%, 03/06/29   725,000    727,912 
Ford Motor Credit  
7.350%, 11/04/27   525,000    548,436 
5.303%, 09/06/29   1,130,000    1,144,891 
General Motors  
6.250%, 04/15/35   1,070,000    1,136,094 
5.625%, 04/15/30   740,000    770,841 
CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
CONSUMER DISCRETIONARY — continued
Genuine Parts  
4.950%, 08/15/29  $830,000   $843,560 
Nissan Motor Acceptance MTN  
5.625%, 09/29/28(B)   1,453,000    1,458,034 
5.550%, 09/13/29(B)   665,000    661,061 
Polaris  
5.600%, 03/01/31   420,000    426,619 
PVH  
5.500%, 06/13/30   902,000    916,898 
Starbucks  
4.450%, 08/15/49   2,500,000    2,098,656 
Stellantis Financial Services US  
4.950%, 09/15/28(B)   1,260,000    1,277,721 
Trustees of Dartmouth College  
4.273%, 06/01/30   1,000,000    1,005,615 
         22,515,220 
CONSUMER STAPLES — 0.7%
Albertsons  
5.750%, 03/31/34(B)   2,205,000    2,168,602 
Anheuser-Busch InBev Worldwide  
5.450%, 01/23/39   2,020,000    2,081,637 
Campbell's  
4.550%, 03/21/31   1,395,000    1,385,532 
Coca-Cola  
1.450%, 06/01/27   25,000    24,313 
JBS  
6.250%, 03/01/56   1,484,000    1,502,312 
Mather Foundation  
2.675%, 10/01/31   2,500,000    2,251,111 
PepsiCo  
3.900%, 07/18/32   3,000,000    2,944,933 
2.875%, 10/15/49(C)   5,000,000    3,301,336 
RELX Capital  
3.000%, 05/22/30   50,000    47,587 
Sysco  
2.400%, 02/15/30   2,500,000    2,330,788 
         18,038,151 
ENERGY — 1.3%
APA  
6.750%, 02/15/55   860,000    868,131 
BP Capital Markets America  
3.060%, 06/17/41   2,250,000    1,714,634 
Cameron LNG  
3.701%, 01/15/39(B)   1,995,000    1,693,200 
Chevron USA  
4.687%, 04/15/30   870,000    889,657 
CVR Energy  
7.500%, 02/15/31(B)   1,300,000    1,300,000 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
ENERGY — continued
Energy Transfer  
6.500%, 02/01/42  $835,000   $883,334 
6.300%, 01/15/56   805,000    807,254 
6.100%, 12/01/28   1,855,000    1,949,506 
Helmerich & Payne  
5.500%, 12/01/34(C)   620,000    615,638 
Hess Midstream Operations  
5.875%, 03/01/28(B)   1,690,000    1,721,760 
Kinder Morgan Energy Partners  
5.500%, 03/01/44   370,000    357,699 
Kinetik Holdings  
6.625%, 12/15/28(B)   610,000    628,240 
MPLX  
5.500%, 02/15/49   2,350,000    2,160,680 
Northern Oil & Gas  
7.875%, 10/15/33(B)   695,000    701,335 
ONEOK  
6.250%, 10/15/55   922,000    929,141 
5.400%, 10/15/35   2,630,000    2,652,440 
Patterson-UTI Energy  
7.150%, 10/01/33   1,525,000    1,643,403 
Plains All American Pipeline  
5.600%, 01/15/36   520,000    527,815 
SM Energy  
9.625%, 06/15/33(B)   765,000    836,631 
Sweihan PV Power PJSC  
3.625%, 01/31/49(B)   2,290,250    1,969,473 
Targa Resources  
6.125%, 05/15/55   1,165,000    1,167,918 
Topaz Solar Farms  
5.750%, 09/30/39(B)   5,023,974    5,057,484 
TransCanada PipeLines  
4.625%, 03/01/34   1,345,000    1,313,433 
Williams  
5.950%, 03/15/56   1,100,000    1,102,653 
         33,491,459 
FINANCIALS — 14.9%
African Development Bank  
5.750%, H15T5Y + 1.575%(A)(D)   5,000,000    4,990,958 
4.125%, 02/25/27   2,500,000    2,508,805 
3.500%, 09/18/29   1,000,000    992,819 
Ally Financial  
5.548%, SOFRRATE + 1.780%, 07/31/33(A)   1,870,000    1,882,872 
American Express  
4.804%, SOFRRATE + 1.237%, 10/24/36(A)   685,000    671,937 
3.550%, H15T5Y + 2.854%(A)(D)   675,000    667,945 
CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
FINANCIALS — continued
American Honda Finance  
4.450%, 01/08/31  $705,000   $705,007 
American National Global Funding MTN  
5.250%, 06/03/30(B)   575,000    583,921 
American National Group  
6.000%, 07/15/35   485,000    489,133 
Andina de Fomento MTN  
4.251%, 02/03/31   2,400,000    2,400,000 
Anglo American Capital  
5.750%, 04/05/34(B)   1,765,000    1,850,854 
3.875%, 03/16/29(B)   420,000    414,873 
2.625%, 09/10/30(B)   500,000    461,185 
Antares Holdings  
6.350%, 10/23/29(B)   720,000    736,819 
Apollo Debt Solutions BDC  
5.875%, 08/30/30   470,000    473,770 
5.700%, 01/23/31(B)   285,000    283,510 
Apollo Global Management  
5.150%, 08/12/35   410,000    408,656 
Arab Energy Fund  
5.428%, 05/02/29   2,750,000    2,844,114 
Arab Petroleum Investments  
5.428%, 05/02/29(B)   1,500,000    1,551,335 
Ares Capital  
7.000%, 01/15/27   487,000    500,048 
5.800%, 03/08/32   297,000    298,723 
5.250%, 04/12/31   335,000    330,018 
2.875%, 06/15/28   1,320,000    1,266,817 
Ares Strategic Income Fund  
5.700%, 03/15/28   570,000    577,658 
Arthur J Gallagher  
6.500%, 02/15/34   1,510,000    1,660,317 
Asian Infrastructure Investment Bank  
4.500%, 01/16/30   1,200,000    1,234,026 
4.426%, SOFRINDX + 0.620%, 08/16/27(A)   1,000,000    1,005,353 
Athene Global Funding  
5.380%, 01/07/30(B)   810,000    828,300 
4.830%, 05/09/28(B)   300,000    303,358 
Atlas Warehouse Lending  
6.250%, 01/15/30(B)   445,000    469,840 
4.950%, 11/15/30(B)   625,000    627,867 
Avolon Holdings Funding  
4.950%, 10/15/32(B)   837,000    830,720 
4.950%, 01/15/28(B)   709,000    717,778 
Bacardi-Martini BV  
5.550%, 02/01/30(B)   1,080,000    1,112,061 
Bain Capital Specialty Finance  
5.950%, 03/01/31   548,000    538,888 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
FINANCIALS — continued
5.950%, 03/15/30(C)  $350,000   $349,512 
Bank of America  
5.518%, SOFRRATE + 1.738%, 10/25/35(A)   2,055,000    2,097,335 
4.450%, 03/03/26   1,275,000    1,275,890 
2.676%, U.S. SOFR + 1.930%, 06/19/41(A)   2,700,000    1,978,541 
Bank of Montreal  
5.004%, SOFRINDX + 0.670%, 01/27/29(A)   575,000    585,800 
Bank of New York Mellon MTN  
4.942%, SOFRRATE + 0.887%, 02/11/31(A)   960,000    986,624 
4.729%, SOFRRATE + 1.135%, 04/20/29(A)   585,000    594,990 
Bank of Nova Scotia  
4.338%, SOFRRATE + 1.090%, 09/15/31(A)   1,248,000    1,243,802 
Barclays  
5.690%, SOFRRATE + 1.740%, 03/12/30(A)   1,240,000    1,291,236 
5.674%, SOFRRATE + 1.490%, 03/12/28(A)   3,130,000    3,183,519 
2.894%, H15T1Y + 1.300%, 11/24/32(A)   1,000,000    908,643 
Barings BDC  
5.200%, 09/15/28   820,000    817,085 
Barings Private Credit  
5.750%, 02/06/29(B)   270,000     
BGC Group  
6.150%, 04/02/30   305,000    314,882 
Blackstone Private Credit Fund  
2.625%, 12/15/26   2,845,000    2,801,458 
Blackstone Reg Finance  
4.950%, 02/15/36   750,000    741,796 
Blue Owl Capital  
2.875%, 06/11/28   2,700,000    2,558,887 
Blue Owl Credit Income  
7.750%, 01/15/29   2,670,000    2,829,429 
6.600%, 09/15/29   555,000    571,124 
Blue Owl Technology Finance II  
6.750%, 04/04/29   585,000    600,283 
BNP Paribas  
5.283%, SOFRRATE + 1.280%, 11/19/30(A)(B)   675,000    695,179 
5.176%, SOFRRATE + 1.520%, 01/09/30(A)(B)   1,465,000    1,501,846 
4.375%, 05/12/26(B)   250,000    249,955 
1.675%, SOFRRATE + 0.912%, 06/30/27(A)(B)   2,950,000    2,920,875 
Boardwalk Pipelines  
5.375%, 02/15/36   765,000    767,991 
CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
FINANCIALS — continued
Burlington Northern Santa Fe  
5.550%, 03/15/56  $490,000   $486,044 
Bush Foundation  
2.754%, 10/01/50   1,000,000    616,669 
CaixaBank  
4.885%, SOFRRATE + 1.360%, 07/03/31(A)(B)   845,000    857,167 
Canadian Imperial Bank of Commerce  
4.857%, SOFRRATE + 1.030%, 03/30/29(A)   1,475,000    1,499,721 
Cantor Fitzgerald  
7.200%, 12/12/28(B)   750,000    798,700 
Capital Impact Partners  
5.999%, 08/01/35   2,500,000    2,664,497 
Capital One Financial  
7.624%, SOFRRATE + 3.070%, 10/30/31(A)   775,000    870,214 
6.377%, SOFRRATE + 2.860%, 06/08/34(A)   1,115,000    1,197,287 
5.268%, SOFRRATE + 2.370%, 05/10/33(A)   1,320,000    1,346,562 
4.927%, SOFRRATE + 2.057%, 05/10/28(A)   675,000    682,021 
4.722%, SOFRRATE + 1.150%, 01/30/32(A)   918,000    918,362 
Cargill  
5.375%, 10/23/55(B)   735,000    707,549 
Carlyle Secured Lending  
5.750%, 02/15/31   510,000    501,521 
Central American Bank for Economic Integration  
5.000%, 02/09/26(B)   500,000    500,071 
CGI  
4.950%, 03/14/30   1,275,000    1,293,853 
Charles Schwab  
4.000%, H15T5Y + 3.168%(A)(D)   4,910,000    4,890,432 
Citibank  
4.876%, SOFRRATE + 0.712%, 11/19/27(A)   4,620,000    4,652,895 
Citigroup  
8.125%, 07/15/39   785,000    998,217 
4.643%, SOFRRATE + 1.143%, 05/07/28(A)   2,085,000    2,101,210 
4.600%, 03/09/26   40,000    40,022 
4.450%, 09/29/27   1,920,000    1,932,388 
2.666%, U.S. SOFR + 1.146%, 01/29/31(A)   2,205,000    2,065,744 
Citizens Bank  
4.575%, SOFRRATE + 2.000%, 08/09/28(A)   940,000    946,935 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
FINANCIALS — continued
Clearinghouse Community Development Financial Institution  
7.000%, 10/15/30(B)  $1,000,000   $980,875 
Clearway Energy Operating  
5.750%, 01/15/34(B)   1,000,000    1,003,903 
CNH Industrial Capital  
4.750%, 03/21/28   505,000    510,852 
4.500%, 10/16/30   1,049,000    1,050,359 
CNO Global Funding MTN  
4.375%, 09/08/28(B)   658,000    660,025 
Commonwealth Bank of Australia NY  
4.423%, 03/14/28   585,000    593,233 
Community Preservation  
2.867%, 02/01/30   2,400,000    2,250,514 
Conservation Fund A Nonprofit  
3.474%, 12/15/29   2,116,000    2,029,788 
Continental Resources  
2.875%, 04/01/32(B)   665,000    583,965 
Corebridge Financial  
6.875%, H15T5Y + 3.846%, 12/15/52(A)   765,000    785,685 
6.375%, H15T5Y + 2.646%, 09/15/54(A)   2,045,000    2,089,286 
Credit Agricole  
4.656%, SOFRRATE + 1.170%, 01/12/32(A)(B)   1,955,000    1,956,287 
Credit Agricole Corporate & Investment Bank MTN  
4.570%, 08/25/30   1,500,000    1,492,429 
Crescent Energy Finance  
8.375%, 01/15/34(B)   760,000    767,193 
7.625%, 04/01/32(B)   400,000    396,760 
Deutsche Bank NY  
5.297%, SOFRRATE + 1.720%, 05/09/31(A)   1,270,000    1,301,850 
4.950%, SOFRRATE + 1.300%, 08/04/31(A)   665,000    672,963 
DNB Bank  
4.853%, SOFRRATE + 1.050%, 11/05/30(A)(B)   430,000    439,609 
Element Fleet Management  
5.037%, 03/25/30(B)   177,000    180,877 
4.641%, 11/24/30(B)   1,135,000    1,137,571 
European Investment Bank  
3.750%, 02/14/33   2,500,000    2,453,101 
0.875%, 05/17/30   3,500,000    3,103,615 
0.625%, 10/21/27   5,000,000    4,754,533 
F&G Global Funding  
4.650%, 09/08/28(B)   420,000    422,911 
CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
FINANCIALS — continued
4.500%, 01/09/29(B)  $1,380,000   $1,379,573 
Federation des Caisses Desjardins du Quebec  
4.565%, 08/26/30(B)   760,000    764,416 
Fifth Third Bank  
4.967%, SOFRRATE + 0.810%, 01/28/28(A)   430,000    433,734 
Ford Foundation  
2.815%, 06/01/70   7,065,000    4,027,302 
2.415%, 06/01/50   2,500,000    1,504,816 
Fortitude Global Funding  
4.625%, 10/06/28(B)   640,000    641,179 
Foundry JV Holdco  
6.200%, 01/25/37(B)   2,375,000    2,509,500 
FS KKR Capital  
6.125%, 01/15/30(C)   565,000    551,316 
GA Global Funding Trust  
5.500%, 04/01/32(B)   608,000    621,453 
4.400%, 09/23/27(B)   560,000    561,951 
Glencore Funding  
6.375%, 10/06/30(B)   390,000    420,485 
5.893%, 04/04/54(B)   1,930,000    1,961,312 
5.186%, 04/01/30(B)   505,000    519,902 
Global Payments  
4.875%, 11/15/30   1,567,000    1,567,106 
Goldman Sachs Group  
5.049%, SOFRRATE + 1.210%, 07/23/30(A)   1,610,000    1,649,193 
4.939%, SOFRRATE + 1.330%, 10/21/36(A)   1,628,000    1,606,818 
4.387%, SOFRRATE + 1.510%, 06/15/27(A)   2,500,000    2,503,187 
4.148%, SOFRRATE + 0.710%, 01/21/29(A)   2,209,000    2,210,608 
4.017%, TSFR3M + 1.635%, 10/31/38(A)   2,310,000    2,066,859 
Golub Capital BDC  
7.050%, 12/05/28   82,000    86,314 
6.000%, 07/15/29   810,000    828,940 
2.500%, 08/24/26   3,530,000    3,489,627 
Golub Capital Private Credit Fund  
5.450%, 08/15/28(B)   195,000    196,300 
HA Sustainable Infrastructure Capital  
8.000%, H15T5Y + 4.301%, 06/01/56(A)   475,000    498,207 
6.750%, 07/15/35   2,400,000    2,516,427 
6.375%, 07/01/34   2,500,000    2,555,595 
HAT Holdings I  
3.750%, 09/15/30(B)   1,000,000    932,784 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
FINANCIALS — continued
Hercules Capital  
6.000%, 06/16/30  $385,000   $389,440 
Honda Motor  
4.688%, 07/08/30   372,000    376,145 
HPS Corporate Lending Fund  
5.450%, 01/14/28   857,000    864,967 
5.450%, 11/15/30(B)   60,000    59,311 
HSBC Holdings  
5.240%, SOFRRATE + 1.570%, 05/13/31(A)   522,000    537,514 
5.133%, SOFRRATE + 1.430%, 11/06/36(A)   563,000    562,819 
5.130%, SOFRRATE + 1.040%, 11/19/28(A)   505,000    514,161 
Huntington Bancshares  
5.272%, SOFRRATE + 1.276%, 01/15/31(A)   285,000    293,305 
Hyundai Capital America  
6.100%, 09/21/28(B)   1,005,000    1,049,987 
5.150%, 03/27/30(B)   985,000    1,010,616 
4.250%, 09/18/28(B)   380,000    380,489 
ING Groep  
4.858%, SOFRRATE + 1.010%, 03/25/29(A)   300,000    304,846 
Inter-American Development Bank  
4.106%, SOFRINDX + 0.300%, 02/15/29(A)   2,500,000    2,500,175 
3.975%, SOFRINDX + 0.280%, 04/12/27(A)   1,500,000    1,501,086 
3.500%, 04/12/33   2,500,000    2,401,869 
1.125%, 01/13/31   2,500,000    2,196,282 
0.875%, 04/20/26   1,000,000    994,065 
Inter-American Investment  
4.125%, 02/15/28   2,500,000    2,519,117 
International Bank for Reconstruction & Development  
1.745%, 07/31/33(E)   2,500,000    2,568,636 
1.123%, 12/12/26(E)   2,500,000    2,482,816 
0.750%, 08/26/30   2,500,000    2,181,821 
0.000%, 03/31/27(F)   2,500,000    2,391,475 
0.000%, 03/31/28(A)(G)   1,000,000    983,168 
International Development Association  
4.500%, 02/12/35(B)   1,425,000    1,448,586 
4.375%, 11/27/29(B)   2,125,000    2,171,727 
0.875%, 04/28/26(B)   1,000,000    993,274 
International Finance Facility for Immunisation MTN  
1.000%, 04/21/26   2,500,000    2,484,918 
CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
FINANCIALS — continued
Jackson National Life Global Funding  
4.700%, 06/05/28(B)  $946,000   $957,772 
4.550%, 09/09/30(B)   925,000    923,006 
Jefferies Financial Group  
5.500%, 02/15/36   465,000    459,408 
JPMorgan Chase  
7.625%, 10/15/26   75,000    76,904 
5.294%, SOFRRATE + 1.460%, 07/22/35(A)   1,205,000    1,236,976 
4.032%, TSFR3M + 1.722%, 07/24/48(A)   830,000    677,041 
3.328%, U.S. SOFR + 1.580%, 04/22/52(A)   2,075,000    1,464,753 
2.956%, TSFR3M + 2.515%, 05/13/31(A)   975,000    918,899 
2.522%, U.S. SOFR + 2.040%, 04/22/31(A)   725,000    675,140 
KBC Group  
4.454%, H15T1Y + 0.850%, 09/23/31(A)(B)   1,680,000    1,675,351 
KEB Hana Bank MTN  
4.299%, SOFRRATE + 0.600%, 10/21/28(A)(B)   1,425,000    1,429,814 
KeyCorp MTN  
2.250%, 04/06/27   4,865,000    4,765,892 
Kreditanstalt fuer Wiederaufbau  
4.375%, 02/28/34   2,500,000    2,539,059 
1.750%, 09/14/29   2,500,000    2,339,178 
Liberty Utilities Finance GP 1  
2.050%, 09/15/30(B)   2,500,000    2,267,647 
Lincoln Financial Global Funding  
4.625%, 05/28/28(B)   825,000    833,444 
Lloyds Banking Group  
4.650%, 03/24/26   1,000,000    1,001,170 
Low Income Investment Fund  
3.711%, 07/01/29   2,500,000    2,406,265 
LPL Holdings  
5.150%, 06/15/30   585,000    596,832 
LYB International Finance III  
5.125%, 01/15/31   320,000    321,684 
3.375%, 10/01/40   1,255,000    904,696 
2.250%, 10/01/30   100,000    89,299 
M&T Bank MTN  
5.385%, SOFRRATE + 1.610%, 01/16/36(A)   2,050,000    2,078,726 
5.179%, SOFRRATE + 1.400%, 07/08/31(A)   590,000    605,276 
4.833%, SOFRRATE + 0.930%, 01/16/29(A)   2,500,000    2,540,442 
Macquarie Airfinance Holdings  
5.200%, 03/27/28(B)   600,000    609,466 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
FINANCIALS — continued
Main Street Capital  
6.500%, 06/04/27  $815,000   $831,830 
5.400%, 08/15/28   390,000    392,403 
Manulife Financial  
4.986%, 12/11/35   835,000    833,776 
Marex Group  
6.404%, 11/04/29   635,000    661,636 
5.829%, 05/08/28   695,000    707,767 
Markel Group  
6.000%, 05/16/54   1,080,000    1,092,170 
Massachusetts Higher Education Assistance  
2.673%, 07/01/31   500,000    442,804 
Mastercard  
1.900%, 03/15/31   2,500,000    2,247,277 
Methanex US Operations  
6.250%, 03/15/32(B)   640,000    659,955 
Mitsubishi HC Finance America  
5.150%, 10/24/29(B)   1,105,000    1,133,520 
Mitsubishi UFJ Financial Group  
5.057%, H15T1Y + 0.900%, 01/14/37(A)   522,000    521,508 
Mizuho Financial Group  
5.778%, H15T1Y + 1.650%, 07/06/29(A)   1,000,000    1,039,289 
5.748%, H15T1Y + 1.900%, 07/06/34(A)   1,650,000    1,744,649 
4.711%, H15T1Y + 0.920%, 07/08/31(A)   1,450,000    1,468,042 
Morgan Stanley  
5.466%, SOFRRATE + 1.730%, 01/18/35(A)   1,585,000    1,639,612 
5.230%, SOFRRATE + 1.108%, 01/15/31(A)   850,000    875,337 
4.654%, SOFRRATE + 1.100%, 10/18/30(A)   1,380,000    1,396,916 
4.493%, SOFRRATE + 0.950%, 01/16/32(A)   947,000    946,620 
4.431%, TSFR3M + 1.890%, 01/23/30(A)   475,000    478,115 
3.217%, U.S. SOFR + 1.485%, 04/22/42(A)   1,610,000    1,250,644 
2.239%, SOFRRATE + 1.178%, 07/21/32(A)   1,700,000    1,508,587 
Morgan Stanley Private Bank  
4.734%, SOFRRATE + 1.080%, 07/18/31(A)   1,185,000    1,200,936 
4.465%, SOFRRATE + 1.020%, 11/19/31(A)   1,660,000    1,661,069 
MSD Investment  
6.250%, 05/31/30(B)   270,000    270,408 
6.125%, 02/05/31(B)   193,000    192,079 
CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
FINANCIALS — continued
Mutual of Omaha Global Funding  
5.000%, 04/01/30(B)  $255,000   $260,198 
National Bank of Canada  
4.500%, 10/10/29   935,000    945,463 
National Community Renaissance of California  
3.270%, 12/01/32   1,000,000    867,094 
Nationwide Building Society  
5.127%, 07/29/29(B)   1,075,000    1,106,077 
NatWest Group  
5.808%, H15T1Y + 1.950%, 09/13/29(A)   3,355,000    3,494,783 
5.778%, H15T1Y + 1.500%, 03/01/35(A)   1,910,000    2,016,523 
1.642%, H15T1Y + 0.900%, 06/14/27(A)   1,750,000    1,735,141 
NatWest Markets  
4.789%, 03/21/28(B)   1,045,000    1,062,185 
NHP Foundation  
6.000%, 12/01/33   1,000,000    1,068,872 
NLG Global Funding  
5.400%, 01/23/30(B)   310,000    319,309 
4.350%, 09/15/30(B)   1,230,000    1,220,253 
Norinchukin Bank  
4.674%, 09/09/30(B)   590,000    593,756 
North Haven Private Income Fund  
5.125%, 09/25/28(B)   335,000    334,007 
Oaktree Strategic Credit Fund  
8.400%, 11/14/28   1,480,000    1,594,405 
Oberlin College  
2.874%, 10/01/51   1,000,000    629,593 
OneMain Financial Issuance Trust  
6.625%, 05/15/29   290,000    298,939 
Pacific Life Global Funding II  
4.850%, 02/10/30(B)   1,205,000    1,227,632 
Pricoa Global Funding I  
4.750%, 08/26/32(B)   985,000    990,607 
Prologis Targeted US Logistics Fund  
4.250%, 01/15/31‡(B)   375,000    372,118 
Protective Life  
4.700%, 01/15/31(B)   620,000    622,070 
Raizen Fuels Finance  
6.950%, 03/05/54(B)   1,075,000    819,903 
6.450%, 03/05/34(B)   375,000    307,476 
6.250%, 07/08/32(B)   900,000    757,125 
RGA Global Funding  
5.000%, 08/25/32(B)   548,000    553,132 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
FINANCIALS — continued
4.600%, 11/25/30(B)  $1,019,000   $1,021,395 
Rockefeller Foundation  
2.492%, 10/01/50   2,000,000    1,213,980 
Rocket  
6.500%, 08/01/29(B)   443,000    455,690 
Royal Bank of Canada MTN  
5.153%, SOFRRATE + 1.030%, 02/04/31(A)   565,000    582,348 
4.498%, SOFRRATE + 0.890%, 08/06/29(A)   2,070,000    2,092,108 
RWE Finance US  
6.250%, 04/16/54(B)   2,000,000    2,069,247 
5.125%, 09/18/35(B)   1,075,000    1,070,279 
Salvation Army  
4.528%, 09/01/48   1,500,000    1,307,804 
Sammons Financial Group Global Funding  
4.950%, 06/12/30(B)   1,370,000    1,387,844 
Santander Holdings USA  
5.353%, SOFRRATE + 1.940%, 09/06/30(A)   2,125,000    2,179,709 
3.244%, 10/05/26   1,485,000    1,477,495 
Santander UK Group Holdings  
5.136%, SOFRINDX + 1.578%, 09/22/36(A)   570,000    565,940 
Santos Finance  
5.750%, 11/13/35(B)   437,000    438,856 
SBL Holdings  
7.200%, 10/30/34(B)   835,000    805,518 
5.900%, 09/26/28(B)   681,000    680,226 
SiriusPoint  
7.000%, 04/05/29   569,000    602,855 
Sitios Latinoamerica  
6.000%, 11/25/29(B)   655,000    675,567 
Sixth Street Lending Partners  
6.500%, 03/11/29   765,000    794,261 
Societe Generale  
5.512%, SOFRRATE + 1.650%, 05/22/31(A)(B)   1,235,000    1,275,980 
5.250%, 02/19/27(B)   200,000    202,374 
SoftBank  
4.699%, 07/09/30(B)   612,000    614,523 
Starwood Property Trust  
7.250%, 04/01/29‡(B)   750,000    790,904 
6.500%, 10/15/30‡(B)   263,000    273,893 
5.250%, 10/15/28‡(B)   720,000    723,694 
Sumitomo Mitsui Financial Group  
5.046%, SOFRRATE + 1.220%, 01/15/37(A)   685,000    683,979 
CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
FINANCIALS — continued
Svenska Handelsbanken  
4.375%, 05/23/28(B)  $1,075,000   $1,087,285 
Synchrony Financial  
5.935%, SOFRINDX + 2.130%, 08/02/30(A)   540,000    559,399 
5.450%, SOFRRATE + 1.680%, 03/06/31(A)   360,000    367,077 
Toronto-Dominion Bank  
5.146%, H15T5Y + 1.500%, 09/10/34(A)   4,125,000    4,192,551 
4.568%, 12/17/26   9,100,000    9,162,129 
4.411%, 01/13/31   1,609,000    1,613,673 
TPG Operating Group II  
5.375%, 01/15/36   1,065,000    1,058,578 
Truist Bank  
4.632%, H15T5Y + 1.150%, 09/17/29(A)   2,735,000    2,751,286 
4.420%, SOFRRATE + 0.770%, 07/24/28(A)   1,250,000    1,257,040 
Turkcell Iletisim Hizmetleri  
7.650%, 01/24/32(B)   1,025,000    1,089,964 
UBS Group  
5.125%, H15T5Y + 4.855%(A)(D)   4,090,000    4,090,000 
4.844%, SOFRRATE + 1.290%, 11/06/33(A)(B)   1,892,000    1,893,263 
3.875%, H15T5Y + 3.098%(A)(B)(C)(D)   2,970,000    2,955,851 
UniCredit MTN  
7.296%, USISDA05 + 4.914%, 04/02/34(A)(B)   2,400,000    2,574,105 
Unum Group  
6.750%, 12/15/28   465,000    492,723 
US Bancorp  
5.300%, TSFR3M + 3.176%(A)(D)   1,860,000    1,861,787 
4.839%, SOFRRATE + 1.600%, 02/01/34(A)   1,438,000    1,443,702 
4.481%, SOFRRATE + 0.867%, 01/26/32(A)   1,402,000    1,405,366 
US Bank  
4.507%, SOFRRATE + 0.690%, 10/22/27(A)   1,155,000    1,159,823 
USAA Capital  
2.125%, 05/01/30(B)   5,000,000    4,595,497 
Venture Global Plaquemines LNG  
6.125%, 12/15/30(B)   1,015,000    1,044,716 
Vmed O2 UK Financing I  
6.750%, 01/15/33(B)   1,960,000    1,911,314 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
FINANCIALS — continued
Wells Fargo  
5.605%, SOFRRATE + 1.740%, 04/23/36(A)  $650,000   $677,841 
4.182%, SOFRRATE + 0.740%, 01/23/30(A)   1,295,000    1,296,321 
3.900%, H15T5Y + 3.453%(A)(D)   2,160,000    2,157,606 
Western-Southern Global Funding  
4.700%, 12/10/32(B)   1,445,000    1,430,804 
WK Kellogg Foundation Trust  
2.443%, 10/01/50(B)   2,500,000    1,489,825 
WLB Asset II D Pte  
6.500%, 12/21/26(B)   2,446,306    2,374,073 
WLB Asset VI Pte  
7.250%, 12/21/27(B)   1,481,832    1,547,574 
WLB Asset VII Pte  
5.880%, 07/30/29(B)   462,500    466,035 
ZF North America Capital  
7.500%, 03/24/31(B)   985,000    1,009,618 
7.125%, 04/14/30(B)   320,000    327,142 
         376,158,938 
HEALTH CARE — 0.2%
Cardinal Health  
5.000%, 11/15/29   1,550,000    1,592,671 
Cigna Group  
7.875%, 05/15/27   651,000    681,092 
Elevance Health  
4.000%, 09/15/28   1,370,000    1,369,610 
Molina Healthcare  
6.500%, 02/15/31(B)   1,100,000    1,127,154 
         4,770,527 
INDUSTRIALS — 0.7%
AerCap Ireland Capital DAC  
4.125%, 02/28/29   1,250,000    1,245,901 
3.300%, 01/30/32   1,855,000    1,716,244 
3.000%, 10/29/28   225,000    218,270 
Aviation Capital Group  
5.125%, 04/10/30(B)   620,000    630,050 
4.250%, 04/30/29(B)   263,000    262,096 
Caterpillar Financial Services  
3.950%, 11/14/28   1,565,000    1,570,510 
Daimler Truck Finance North America  
5.625%, 01/13/35(B)   770,000    797,749 
4.650%, 10/12/30(B)   905,000    911,957 
Family Forest Impact Foundation  
5.500%, 07/01/32   1,250,000    1,239,472 
Fedex Freight Holding  
4.650%, 03/15/31(B)   940,000    939,819 
CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
INDUSTRIALS — continued
Mileage Plan IP  
5.021%, 10/20/29(B)  $1,871,000   $1,892,261 
Nature Conservancy  
3.957%, 03/01/52   2,485,000    1,958,225 
Norfolk Southern  
2.300%, 05/15/31   3,500,000    3,170,886 
Southwest Airlines  
4.375%, 11/15/28   725,000    729,165 
Union Pacific Railroad Pass Through Trust  
6.176%, 01/02/31   11,659    12,337 
5.082%, 01/02/29   8,314    8,449 
         17,303,391 
INFORMATION TECHNOLOGY — 0.9%
Analog Devices  
4.250%, 06/15/28   1,155,000    1,163,833 
APLD ComputeCo  
9.250%, 12/15/30(B)   961,000    998,197 
Apple  
3.000%, 06/20/27   1,750,000    1,736,426 
Arrow Electronics  
5.150%, 08/21/29   845,000    864,635 
Dell International  
6.020%, 06/15/26   20,000    20,058 
4.750%, 10/06/32   538,000    536,783 
Flex  
5.375%, 11/13/35   2,410,000    2,407,637 
Gartner  
5.600%, 11/20/35   1,553,000    1,548,726 
Hewlett Packard Enterprise  
4.400%, 10/15/30   878,000    873,886 
Jabil  
4.200%, 02/01/29   498,000    497,858 
Kyndryl Holdings  
6.350%, 02/20/34   1,500,000    1,572,840 
3.150%, 10/15/31   1,725,000    1,571,806 
Microchip Technology  
5.050%, 02/15/30   610,000    624,287 
NXP BV  
4.300%, 08/19/28   625,000    627,857 
Oracle  
5.950%, 09/26/55   1,443,000    1,274,431 
5.375%, 09/27/54   2,410,000    1,936,328 
3.900%, 05/15/35   2,445,000    2,107,639 
3.600%, 04/01/40   495,000    365,604 
Roper Technologies  
4.250%, 09/15/28   325,000    326,888 
TD SYNNEX  
4.300%, 01/17/29   625,000    625,242 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
INFORMATION TECHNOLOGY — continued
Tyco Electronics Group  
4.625%, 02/01/30  $1,025,000   $1,044,326 
VMware  
1.400%, 08/15/26   525,000    518,132 
         23,243,419 
MATERIALS — 0.7%
Air Products and Chemicals  
4.800%, 03/03/33   1,500,000    1,526,484 
Alcoa Nederland Holding BV  
7.125%, 03/15/31(B)   1,030,000    1,089,490 
Amcor Flexibles North America  
4.800%, 03/17/28   925,000    938,551 
Dow Chemical  
5.600%, 02/15/54   250,000    218,785 
5.150%, 02/15/34(C)   4,000,000    3,966,222 
4.800%, 01/15/31   950,000    947,101 
Eastman Chemical  
5.000%, 08/01/29   480,000    490,498 
FMG Resources August 2006 Pty  
6.125%, 04/15/32(B)   2,500,000    2,604,160 
Freeport-McMoRan  
5.250%, 09/01/29   1,532,000    1,555,914 
Inversiones CMPC  
6.125%, 06/23/33(B)   1,060,000    1,085,114 
LD Celulose International GmbH  
7.950%, 01/26/32(B)   375,000    395,024 
Mosaic  
4.350%, 01/15/29   381,000    382,203 
PPG Industries  
4.375%, 03/15/31   629,000    627,167 
Smurfit Kappa Treasury ULC  
5.438%, 04/03/34   2,250,000    2,322,957 
Westlake  
6.375%, 11/15/55   850,000    843,995 
         18,993,665 
REAL ESTATE — 0.5%
EPR Properties  
4.750%, 11/15/30‡   1,225,000    1,214,745 
Equinix Europe 2 Financing  
4.600%, 11/15/30‡   1,063,000    1,067,287 
ERP Operating  
4.150%, 12/01/28‡   3,672,000    3,688,901 
Essential Properties  
5.400%, 12/01/35‡   500,000    502,209 
Extra Space Storage  
5.700%, 04/01/28‡   250,000    257,952 
Host Hotels & Resorts  
5.700%, 07/01/34‡   1,525,000    1,574,952 
4.250%, 12/15/28‡   255,000    255,630 
CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
REAL ESTATE — continued
Mid-America Apartments  
4.650%, 01/15/33‡  $938,000   $935,167 
Omega Healthcare Investors  
5.200%, 07/01/30‡   900,000    915,105 
Simon Property Group  
4.300%, 01/15/31‡   2,350,000    2,344,956 
         12,756,904 
UTILITIES — 4.0%
Alabama Power  
3.700%, 12/01/47   1,845,000    1,406,601 
Avangrid  
3.800%, 06/01/29   2,500,000    2,467,611 
California Buyer  
6.375%, 02/15/32(B)   1,675,000    1,670,411 
CenterPoint Energy  
6.700%, H15T5Y + 2.586%, 05/15/55(A)   850,000    872,773 
CenterPoint Energy Houston Electric  
3.350%, 04/01/51   2,600,000    1,826,190 
Consolidated Edison of New York  
4.450%, 03/15/44   965,000    838,734 
Constellation Energy Generation  
5.875%, 01/15/66   985,000    965,171 
Continental Wind  
6.000%, 02/28/33(B)   2,147,094    2,215,532 
ContourGlobal Power Holdings  
6.750%, 02/28/30(B)   500,000    515,640 
Dominion Energy  
4.600%, 05/15/28   865,000    875,936 
2.250%, 08/15/31   4,650,000    4,156,235 
Dominion Energy South Carolina  
6.250%, 10/15/53   1,170,000    1,256,197 
Entergy Arkansas  
5.750%, 01/15/56   490,000    491,844 
Entergy Mississippi  
5.800%, 04/15/55   2,125,000    2,136,314 
Essential Utilities  
4.800%, 08/15/27   570,000    577,177 
Florida Power & Light  
5.600%, 02/15/66   418,000    412,363 
Georgia Power  
3.250%, 03/15/51   3,368,000    2,314,305 
Hanwha Futureproof  
4.750%, 04/30/28(B)(C)   1,000,000    1,016,295 
Interstate Power and Light  
4.100%, 09/26/28   790,000    791,281 
MidAmerican Energy  
5.850%, 09/15/54   975,000    1,002,268 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
UTILITIES — continued
5.300%, 02/01/55  $1,050,000   $999,007 
4.250%, 07/15/49   2,055,000    1,686,531 
3.950%, 08/01/47   2,500,000    1,989,224 
2.700%, 08/01/52   2,588,000    1,594,983 
National Rural Utilities Cooperative Finance  
4.150%, 12/15/32   6,720,000    6,583,788 
New York State Electric & Gas  
5.850%, 08/15/33(B)   2,500,000    2,651,438 
5.300%, 08/15/34(B)   1,000,000    1,029,232 
5.050%, 08/15/35(B)   1,400,000    1,408,418 
2.150%, 10/01/31(B)   3,740,000    3,297,447 
NextEra Energy Capital Holdings  
4.685%, 09/01/27   720,000    728,273 
4.625%, 07/15/27   100,000    101,038 
Niagara Mohawk Power  
5.783%, 09/16/52(B)   836,000    826,855 
1.960%, 06/27/30(B)   3,500,000    3,171,891 
NRG Energy  
7.000%, 03/15/33(B)   3,135,000    3,450,074 
NSTAR Electric  
4.850%, 03/01/30   370,000    378,779 
Oncor Electric Delivery  
4.150%, 06/01/32   2,500,000    2,442,143 
Pacific Gas and Electric  
6.700%, 04/01/53   5,000,000    5,306,502 
5.000%, 06/04/28   315,000    320,683 
4.950%, 07/01/50   2,315,000    1,963,122 
PECO Energy  
4.150%, 10/01/44   1,015,000    852,720 
3.000%, 09/15/49   1,810,000    1,191,458 
PG&E Recovery Funding  
5.536%, 07/15/47   1,250,000    1,255,694 
5.529%, 06/01/49   2,500,000    2,506,405 
5.231%, 06/01/42   1,000,000    1,002,760 
Public Service Electric and Gas MTN  
5.125%, 03/15/53   1,250,000    1,167,130 
4.650%, 03/15/33   2,595,000    2,605,698 
3.100%, 03/15/32   4,500,000    4,176,389 
Public Service of New Hampshire  
4.400%, 07/01/28   580,000    586,952 
San Diego Gas & Electric  
4.950%, 08/15/28   1,000,000    1,024,923 
2.950%, 08/15/51   2,500,000    1,607,513 
SCE Recovery Funding  
5.112%, 12/15/47   800,000    762,787 
Sempra  
6.550%, H15T5Y + 2.138%, 04/01/55(A)   2,055,000    2,091,768 
CORPORATE OBLIGATIONS — continued
   Face
Amount
  Value
UTILITIES — continued
Solar Star Funding  
5.375%, 06/30/35(B)  $907,711   $921,911 
3.950%, 06/30/35(B)   788,659    751,628 
Southern  
3.750%, H15T5Y + 2.915%, 09/15/51(A)   1,450,000    1,438,842 
Southern California Edison  
3.650%, 06/01/51   3,000,000    2,061,591 
3.450%, 02/01/52   2,530,000    1,686,124 
2.750%, 02/01/32   2,500,000    2,243,790 
Union Electric  
3.900%, 04/01/52   2,195,000    1,673,153 
Virginia Electric and Power  
5.600%, 09/15/55   1,095,000    1,068,050 
WBI Operating  
6.250%, 10/15/30(B)   855,000    861,412 
Wisconsin Power and Light  
3.950%, 09/01/32   2,500,000    2,408,129 
XPLR Infrastructure Operating Partners  
7.750%, 04/15/34(B)   570,000    580,827 
         104,265,960 
Total Corporate Obligations          
(Cost $678,630,241)        673,479,425 
           
MORTGAGE-BACKED SECURITIES — 23.4%
 
Agency Mortgage-Backed Obligations — 17.1%
FHLMC  
7.000%, 11/01/32  $112,037   $117,162 
7.000%, 10/01/32   3,870    4,048 
7.000%, 09/01/32   6,810    7,122 
7.000%, 07/01/32   1,604    1,678 
7.000%, 06/01/32   29,343    30,809 
6.673%, RFUCCT1Y + 1.703%, 04/01/38 (A)   56,592    58,837 
6.630%, RFUCCT1Y + 1.630%, 05/01/44 (A)   683    705 
6.630%, RFUCCT1Y + 1.787%, 10/01/41 (A)   3,672    3,821 
6.599%, RFUCCT1Y + 1.724%, 04/01/36 (A)   4,698    4,829 
6.597%, RFUCCT1Y + 1.630%, 02/01/45 (A)   94,441    97,941 
6.566%, RFUCCT1Y + 1.876%, 01/01/42 (A)   23,226    24,282 
6.553%, RFUCCT1Y + 1.776%, 11/01/39 (A)   37,321    38,682 
6.535%, RFUCCT1Y + 2.035%, 09/01/37 (A)   1,508    1,556 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MORTGAGE-BACKED SECURITIES — continued
   Face
Amount
   Value  
6.520%, RFUCCT1Y + 1.788%, 08/01/42 (A)  $2,073   $2,168 
6.500%, 09/01/55   965,743    999,150 
6.500%, 01/01/38   548    582 
6.500%, 11/01/37   1,022    1,032 
6.500%, 09/01/37   10,166    10,476 
6.500%, 08/01/37   1,838    1,926 
6.500%, 12/01/32   40,382    42,296 
6.500%, 12/01/31   985    1,020 
6.486%, RFUCCT1Y + 1.655%, 08/01/44 (A)   184,351    191,463 
6.443%, RFUCCT1Y + 1.630%, 02/01/45 (A)   8,021    8,335 
6.381%, RFUCCT1Y + 1.650%, 04/01/43 (A)   25,206    26,070 
6.376%, RFUCCT1Y + 1.959%, 04/01/40 (A)   964    995 
6.348%, RFUCCT1Y + 1.619%, 05/01/46 (A)   10,646    11,046 
6.308%, RFUCCT1Y + 1.607%, 11/01/44 (A)   189,476    196,834 
6.290%, RFUCCT1Y + 1.609%, 10/01/44 (A)   24,647    25,594 
6.272%, RFUCCT1Y + 1.630%, 01/01/45 (A)   10,139    10,535 
6.262%, RFUCCT1Y + 1.615%, 11/01/44 (A)   19,377    20,133 
6.255%, RFUCCT1Y + 1.630%, 07/01/44 (A)   16,132    16,634 
6.248%, RFUCCT1Y + 1.623%, 12/01/45 (A)   67,409    69,914 
6.199%, RFUCCT1Y + 1.612%, 01/01/44 (A)   17,574    18,217 
6.191%, RFUCCT1Y + 1.630%, 02/01/45 (A)   40,464    41,970 
6.000%, 07/01/55   1,319,517    1,350,639 
6.000%, 04/01/55   1,307,086    1,337,914 
6.000%, 08/01/54   3,461,718    3,543,361 
6.000%, 05/01/39   25,206    26,632 
6.000%, 04/01/39   13,294    13,848 
6.000%, 02/01/39   9,931    10,491 
6.000%, 09/01/38   7,369    7,767 
6.000%, 06/01/38   2,655    2,759 
6.000%, 11/01/36   17,471    18,456 
6.000%, 12/01/33   6,320    6,564 
5.948%, RFUCCT1Y + 1.630%, 01/01/45 (A)   72,525    74,932 
5.907%, RFUCCT1Y + 1.630%, 12/01/44 (A)   26,865    27,802 
5.500%, 06/01/55   1,191,864    1,209,143 
5.500%, 12/01/54   3,811,655    3,866,914 
5.500%, 06/01/53   1,466,547    1,505,415 
5.500%, 06/01/37   299    306 
5.500%, 01/01/35   49,585    50,914 
MORTGAGE-BACKED SECURITIES — continued
   Face
Amount
   Value  
5.000%, 06/01/53  $4,181,918   $4,195,912 
5.000%, 04/01/34   3,582    3,638 
4.500%, 09/01/53   3,443,356    3,399,027 
4.500%, 09/01/48   522,118    520,887 
4.500%, 03/01/47   365,808    366,188 
4.500%, 03/01/46   63,085    63,233 
4.500%, 11/01/45   128,154    128,573 
4.500%, 02/01/45   478,957    475,793 
4.500%, 10/01/44   18,934    18,942 
4.500%, 08/01/44   327,507    328,274 
4.500%, 07/01/44   90,290    90,502 
4.500%, 03/01/44   8,278    8,298 
4.500%, 01/01/44   76,431    76,610 
4.500%, 12/01/43   64,388    64,413 
4.500%, 11/01/43   6,925    6,964 
4.500%, 05/01/42   32,526    32,162 
4.500%, 09/01/41   104,652    105,219 
4.500%, 07/01/41   14,247    14,324 
4.500%, 05/01/41   29,420    29,579 
4.500%, 04/01/40   40,659    40,930 
4.500%, 12/01/33   11,802    11,920 
4.500%, 06/01/31   9,503    9,583 
4.500%, 06/01/26   11    11 
4.500%, 02/01/26   29    29 
4.250%, 09/01/42   827,889    803,661 
4.179%, SOFR30A + 2.278%, 09/01/52 (A)   733,431    732,299 
4.000%, 01/01/52   845,199    815,092 
4.000%, 05/01/46   554,963    540,953 
4.000%, 07/01/34   40,111    39,835 
4.000%, 10/01/31   21,331    21,278 
3.500%, 07/01/52   7,694,840    7,176,882 
3.500%, 04/01/52   9,600,600    8,937,517 
3.500%, 02/01/52   426,719    396,548 
3.500%, 01/01/52   2,442,481    2,272,435 
3.500%, 04/01/51   2,277,652    2,118,195 
3.500%, 04/01/37   281,766    275,547 
3.000%, 06/01/52   5,223,616    4,648,093 
3.000%, 03/01/52   1,113,555    1,003,888 
3.000%, 11/01/50   1,476,242    1,319,875 
3.000%, 02/01/50   6,011,650    5,402,855 
2.500%, 01/01/54   8,618,630    7,354,031 
2.500%, 05/01/52   2,242,418    1,946,516 
2.500%, 07/01/50   4,048,773    3,506,210 
2.500%, 01/01/36   704,247    669,964 
2.000%, 06/01/52   4,202,102    3,418,272 
2.000%, 04/01/52   1,616,110    1,312,173 
2.000%, 03/01/52   4,019,758    3,316,800 
2.000%, 01/01/52   1,227,504    1,010,067 
2.000%, 04/01/51   3,038,344    2,484,701 
2.000%, 12/01/50   3,094,259    2,565,279 
2.000%, 11/01/50   1,128,193    936,768 
2.000%, 09/01/50   10,686,318    8,769,927 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MORTGAGE-BACKED SECURITIES — continued
   Face
Amount
   Value  
2.000%, 07/01/50  $4,548,737   $3,779,410 
2.000%, 02/01/42   1,439,936    1,254,024 
FHLMC Multiclass Certificates, Ser 2024-P016, Cl A2  
4.606%, 09/25/33 (A)   2,500,000    2,533,744 
FHLMC Multifamily Variable Rate Certificate, Ser M069, Cl A  
4.013%, 04/15/37   1,190,000    1,161,614 
FHLMC Multifamily Variable Rate Certificate, Ser ML-14  
4.050%, 08/25/38   675,737    641,269 
FHLMC Structured Pass-Through Certificates, Ser 2002-41, Cl 2A  
4.586%, 07/25/32 (A)   15,250    14,417 
FHLMC Structured Pass-Through Certificates, Ser 2002-48, Cl 1A  
4.306%, 07/25/33 (A)   139,137    135,190 
FHLMC Structured Pass-Through Certificates, Ser 2002-51, Cl 1A  
6.500%, 09/25/43 (A)   103,390    106,897 
FHLMC Structured Pass-Through Certificates, Ser 2002-51, Cl 2A  
7.500%, 08/25/42 (A)   38,236    38,315 
FHLMC Structured Pass-Through Certificates, Ser 2003-54, Cl 3A  
7.000%, 02/25/43   295,215    306,182 
FHLMC Structured Pass-Through Certificates, Ser 2003-57, Cl 1A2  
7.000%, 07/25/43   16,071    17,041 
FHLMC, Ser 1998-2084, Cl ZC  
6.500%, 08/15/28   10,929    11,143 
FHLMC, Ser 2001-2295, Cl BD  
6.000%, 03/15/31   5,108    5,260 
FHLMC, Ser 2003-2676, Cl PZ  
5.500%, 09/15/33   24,257    25,257 
FHLMC, Ser 2005-2944, Cl OH  
5.500%, 03/15/35   108,947    114,167 
FHLMC, Ser 2005-2957, Cl VZ  
5.000%, 02/15/35   26,819    27,414 
FHLMC, Ser 2006-3143, Cl BC  
5.500%, 02/15/36   80,832    84,058 
FHLMC, Ser 2006-3185, Cl GT  
6.000%, 07/15/26   1,611    1,603 
FHLMC, Ser 2007-3330, Cl GZ  
5.500%, 06/15/37   2,231    2,325 
FHLMC, Ser 2013-299, Cl F1  
4.322%, SOFR30A + 0.614%, 01/15/43 (A)   112,707    111,614 
MORTGAGE-BACKED SECURITIES — continued
   Face
Amount
  Value
FHLMC, Ser 2013-4283, Cl EW  
4.500%, 12/15/43 (A)  $86,543   $87,207 
FHLMC, Ser 2014-4319, Cl MA  
4.500%, 03/15/44 (A)   159,629    161,121 
FHLMC, Ser 2015-4440, Cl ZD  
2.500%, 02/15/45   2,966,389    2,674,426 
FNMA  
7.000%, 12/01/37   156    166 
7.000%, 08/01/32   71,048    74,223 
7.000%, 11/01/29   16,449    17,184 
6.583%, RFUCCT1Y + 1.583%, 02/01/44 (A)   12,744    13,231 
6.580%, RFUCCT1Y + 1.580%, 04/01/44 (A)   77,716    80,800 
6.540%, RFUCCT1Y + 1.815%, 07/01/41 (A)   27,227    28,319 
6.506%, RFUCCT1Y + 1.566%, 05/01/44 (A)   36,294    37,701 
6.500%, 01/01/54   909,323    940,624 
6.500%, 01/01/49   4,429    4,620 
6.500%, 10/01/39   26,561    28,056 
6.500%, 08/01/39   11,902    12,621 
6.500%, 10/01/38   8,997    9,540 
6.500%, 03/01/38   2,624    2,775 
6.500%, 02/01/38   2,566    2,726 
6.500%, 12/01/37   10,128    10,739 
6.500%, 11/01/37   642    680 
6.500%, 03/01/35   106,654    111,545 
6.500%, 05/01/33   1,304    1,351 
6.500%, 12/01/32   4,865    5,101 
6.500%, 08/01/32   12,159    12,586 
6.472%, RFUCCT1Y + 1.790%, 06/01/38 (A)   2,907    3,032 
6.457%, RFUCCT1Y + 1.568%, 05/01/45 (A)   155,732    161,612 
6.433%, RFUCCT1Y + 1.689%, 11/01/36 (A)   4,239    4,337 
6.402%, RFUCCT1Y + 1.556%, 06/01/44 (A)   27,005    28,048 
6.390%, RFUCCT1Y + 1.698%, 04/01/44 (A)   50,860    53,211 
6.366%, RFUCCT1Y + 1.551%, 02/01/44 (A)   6,535    6,778 
6.360%, RFUCCT1Y + 1.610%, 10/01/47 (A)   27,211    28,099 
6.358%, RFUCCT1Y + 1.601%, 10/01/48 (A)   77,953    80,954 
6.348%, H15T1Y + 2.299%, 08/01/34 (A)   5,813    5,968 
6.338%, RFUCCT1Y + 1.685%, 06/01/42 (A)   4,450    4,593 
6.338%, RFUCCT1Y + 1.460%, 05/01/35 (A)   15,739    16,262 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MORTGAGE-BACKED SECURITIES — continued
   Face
Amount
   Value  
6.330%, RFUCCT1Y + 1.580%, 09/01/44 (A)  $979   $1,016 
6.315%, RFUCCT1Y + 1.553%, 01/01/45 (A)   14,924    15,496 
6.308%, RFUCCT1Y + 1.580%, 09/01/47 (A)   90,831    94,300 
6.303%, RFUCCT1Y + 1.590%, 07/01/44 (A)   69,468    72,239 
6.246%, RFUCCT1Y + 1.782%, 12/01/39 (A)   6,062    6,258 
6.199%, RFUCCT1Y + 1.470%, 06/01/35 (A)   1,942    1,992 
6.156%, RFUCCT1Y + 1.577%, 10/01/44 (A)   76,749    79,769 
6.124%, H15T1Y + 1.999%, 09/01/34 (A)   330    339 
6.118%, RFUCCT1Y + 1.580%, 11/01/44 (A)   9,011    9,364 
6.107%, RFUCCT1Y + 1.567%, 08/01/43 (A)   2,188    2,267 
6.086%, RFUCCT1Y + 1.620%, 11/01/48 (A)   150,427    156,206 
6.000%, 07/01/39   40,452    42,112 
6.000%, 05/01/38   22,088    23,314 
6.000%, 08/01/37   49,136    50,968 
6.000%, 07/01/37   15,538    16,352 
6.000%, 03/01/37   6,739    7,113 
6.000%, 09/01/36   34,055    35,219 
6.000%, 03/01/36   3,869    3,984 
6.000%, 11/01/35   7,010    7,279 
6.000%, 07/01/35   2,907    3,023 
6.000%, 04/01/35   30,247    31,522 
6.000%, 04/01/34   7,406    7,672 
6.000%, 03/01/34   105,545    109,594 
6.000%, 12/01/33   1,876    1,945 
6.000%, 11/01/33   2,064    2,121 
6.000%, 12/01/32   2,298    2,377 
5.975%, RFUCCT1Y + 1.600%, 12/01/44 (A)   16,236    16,870 
5.935%, RFUCCT1Y + 1.564%, 01/01/44 (A)   5,682    5,814 
5.859%, RFUCCT1Y + 1.590%, 12/01/44 (A)   70,768    73,432 
5.500%, 11/01/55   997,556    1,013,006 
5.500%, 09/01/53   1,705,682    1,750,890 
5.500%, 02/01/38   1,964    1,982 
5.500%, 04/01/37   69,441    71,047 
5.500%, 09/01/36   5,904    6,044 
5.500%, 10/01/35   32,065    33,287 
5.500%, 04/01/35   90,086    93,120 
5.500%, 11/01/33   3,588    3,673 
5.500%, 06/01/33   19,871    20,533 
5.500%, 11/01/29   2,053    2,082 
MORTGAGE-BACKED SECURITIES — continued
   Face
Amount
   Value  
5.059%, RFUCCT1Y + 1.653%, 05/01/46 (A)  $19,382   $20,082 
5.000%, 11/01/54   1,892,987    1,912,593 
5.000%, 03/01/49   148,501    150,670 
5.000%, 12/01/48   117,805    119,926 
5.000%, 08/01/40   9,926    10,176 
5.000%, 09/01/39   27,127    27,455 
4.500%, 03/01/52   278,463    273,626 
4.500%, 06/01/48   221,335    220,636 
4.500%, 07/01/47   65,974    66,056 
4.500%, 02/01/46   451,604    453,389 
4.500%, 09/01/45   36,910    36,953 
4.500%, 02/01/45   156,762    156,944 
4.500%, 10/01/44   19,163    19,186 
4.500%, 09/01/43   5,749    5,756 
4.500%, 01/01/43   388,916    389,476 
4.500%, 07/01/42   147,037    147,660 
4.500%, 01/01/42   41,836    42,065 
4.500%, 12/01/41   22,095    22,155 
4.500%, 11/01/41   19,562    19,640 
4.500%, 09/01/41   9,847    9,815 
4.500%, 08/01/41   11,292    11,315 
4.500%, 05/01/41   728,727    730,518 
4.500%, 06/01/36   15,739    15,825 
4.500%, 09/01/31   22,720    22,884 
4.500%, 06/01/31   6,393    6,425 
4.500%, 01/01/31   51,810    51,956 
4.500%, 08/01/26   1,476    1,478 
4.000%, 01/01/57   5,034,274    4,820,046 
4.000%, 10/01/52   2,169,259    2,084,775 
4.000%, 08/01/52   1,050,548    1,009,389 
4.000%, 04/01/52   1,302,461    1,256,619 
4.000%, 10/01/51   1,181,187    1,136,716 
4.000%, 04/01/48   1,301,633    1,268,180 
4.000%, 03/01/46   2,848,317    2,775,795 
4.000%, 01/01/37   240,870    238,295 
4.000%, 11/01/35   41,970    41,558 
4.000%, 01/01/35   696,515    690,053 
4.000%, 10/01/34   296,940    295,246 
4.000%, 06/01/34   388,863    385,732 
4.000%, 03/01/34   153,457    152,330 
4.000%, 11/01/33   255,527    253,862 
4.000%, 10/01/33   31,666    31,307 
4.000%, 10/01/32   25,911    25,773 
4.000%, 09/01/31   74,725    74,479 
4.000%, 12/01/30   106,006    105,652 
4.000%, 11/01/30   76,946    76,754 
3.704%, SOFR30A + 2.238%, 10/01/52 (A)   2,799,355    2,769,132 
3.500%, 05/01/52   3,564,992    3,309,427 
3.500%, 04/01/52   6,042,797    5,645,597 
3.500%, 03/01/52   1,516,405    1,407,766 
3.500%, 01/01/52   1,702,617    1,585,101 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MORTGAGE-BACKED SECURITIES — continued
   Face Amount   Value 
3.500%, 11/01/51  $1,004,935   $936,372 
3.500%, 04/01/37   249,066    241,720 
3.500%, 02/01/31   241,374    239,516 
3.500%, 12/01/29   77,793    77,262 
3.000%, 05/01/52   833,852    750,137 
3.000%, 04/01/52   2,608,328    2,350,164 
3.000%, 03/01/52   1,324,399    1,190,637 
3.000%, 01/01/52   2,493,455    2,211,805 
3.000%, 11/01/51   1,806,039    1,617,504 
3.000%, 08/01/50   1,441,301    1,315,445 
3.000%, 07/01/50   895,668    807,447 
3.000%, 04/01/50   1,355,552    1,222,471 
2.500%, 04/01/52   3,981,018    3,433,917 
2.500%, 03/01/52   1,429,443    1,238,068 
2.500%, 02/01/52   4,981,833    4,291,182 
2.500%, 01/01/52   3,913,309    3,337,344 
2.500%, 10/01/51   1,909,703    1,625,107 
2.500%, 08/01/51   2,686,338    2,331,412 
2.500%, 07/01/51   2,356,377    2,017,617 
2.500%, 02/01/51   1,568,723    1,358,519 
2.500%, 01/01/51   1,022,354    885,400 
2.500%, 11/01/50   4,925,091    4,273,877 
2.500%, 10/01/50   6,499,120    5,627,561 
2.500%, 07/01/50   7,894,216    6,834,004 
2.500%, 03/01/43   1,518,094    1,368,864 
2.500%, 06/01/42   2,494,325    2,247,594 
2.500%, 10/01/41   1,107,837    1,003,148 
2.500%, 05/01/41   733,221    662,546 
2.000%, 12/01/51   1,446,116    1,178,090 
2.000%, 11/01/51   5,889,531    4,810,744 
2.000%, 10/01/51   2,847,841    2,358,926 
2.000%, 09/01/51   1,385,256    1,145,192 
2.000%, 08/01/51   1,543,448    1,262,004 
2.000%, 02/01/51   1,015,087    838,127 
2.000%, 01/01/51   2,664,054    2,207,177 
2.000%, 12/01/50   431,128    357,294 
2.000%, 10/01/50   1,496,007    1,227,934 
2.000%, 08/01/50   621,153    514,915 
2.000%, 09/01/36   947,075    875,210 
1.500%, 10/01/50   1,589,443    1,231,695 
FNMA Grantor Trust, Ser 2000- T6, Cl A1          
7.500%, 11/25/40   10,535    10,605 
FNMA Grantor Trust, Ser 2001- T1, Cl A1          
7.500%, 10/25/40   88,048    88,678 
FNMA Grantor Trust, Ser 2001- T10, Cl A1          
7.000%, 12/25/41   55,077    56,636 
FNMA Grantor Trust, Ser 2001- T12, Cl A1          
6.500%, 08/25/41   1,920    1,942 
MORTGAGE-BACKED SECURITIES — continued
   Face Amount   Value 
FNMA Grantor Trust, Ser 2001- T3, Cl A1          
7.500%, 11/25/40  $5,423   $5,467 
FNMA Grantor Trust, Ser 2001- T4, Cl A1          
7.500%, 07/25/41   27,482    28,195 
FNMA Grantor Trust, Ser 2001- T7, Cl A1          
7.500%, 02/25/41   1,287    1,327 
FNMA Grantor Trust, Ser 2001- T8, Cl A1          
7.500%, 07/25/41   3,167    3,270 
FNMA Grantor Trust, Ser 2004- T1, Cl 1A2          
6.500%, 01/25/44   780    805 
FNMA REMIC Trust, Ser 2001- W3, Cl A          
4.582%, 09/25/41 (A)   46,801    47,247 
FNMA REMIC Trust, Ser 2002- W6, Cl 2A          
7.500%, 06/25/42 (A)   3,713    3,746 
FNMA REMIC Trust, Ser 2002- W6, Cl 2A1          
7.000%, 06/25/42 (A)   3,713    3,725 
FNMA REMIC Trust, Ser 2003- W4, Cl 3A          
4.455%, 10/25/42 (A)   43,784    44,485 
FNMA REMIC Trust, Ser 2003- W4, Cl 4A          
5.063%, 10/25/42 (A)   16,250    16,656 
FNMA Trust, Ser 2003-W2, Cl 1A3          
7.500%, 07/25/42   5,314    5,603 
FNMA Trust, Ser 2004-W2, Cl 2A2          
7.000%, 02/25/44   6,818    7,076 
FNMA Trust, Ser 2004-W2, Cl 5A          
7.500%, 03/25/44   2,197    2,283 
FNMA, Ser 2001-2, Cl ZK          
6.500%, 02/25/31   16,124    16,647 
FNMA, Ser 2001-79, Cl BA          
7.000%, 03/25/45   5,820    6,019 
FNMA, Ser 2002-33, Cl A1          
7.000%, 06/25/32   45,362    46,055 
FNMA, Ser 2007-104, Cl ZE          
6.000%, 08/25/37   11,029    11,531 
FNMA, Ser 2007-21, Cl MT          
5.750%, 03/25/37   2,506    2,587 
FNMA, Ser 2009-11, Cl MP          
7.000%, 03/25/49   3,951    4,286 
FNMA, Ser 2010-136, Cl BA          
3.500%, 12/25/30   88,341    87,330 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MORTGAGE-BACKED SECURITIES — continued
   Face Amount   Value 
FNMA, Ser 2010-49, Cl ZJ          
4.500%, 05/25/40  $31,586   $31,764 
FNMA, Ser 2012-132, Cl IK, IO          
3.000%, 12/25/32   1,181,627    76,864 
FNMA, Ser 2013-128, Cl CF          
4.412%, SOFR30A + 0.714%, 12/25/43 (A)   194,109    193,084 
FNMA, Ser 2014-1, Cl KF          
4.412%, SOFR30A + 0.714%, 02/25/44 (A)   280,278    278,665 
FNMA, Ser 2020-61, Cl NI, IO          
3.500%, 09/25/50   2,593,251    407,659 
FNMA, Ser 2025-114, Cl AE          
4.500%, 01/25/56   990,745    987,216 
FNMA, Ser M1G, Cl A2          
1.468%, 11/25/30 (A)   1,925,000    1,709,893 
FNMA, Ser M3G, Cl A2          
1.245%, 01/25/31 (A)   2,000,000    1,757,332 
GNMA          
7.000%, 12/15/29   324    335 
6.500%, 05/15/29   449    462 
6.000%, 01/20/55   8,909,459    9,131,581 
6.000%, 12/20/54   5,905,364    6,052,591 
6.000%, 09/20/54   12,184,121    12,487,887 
6.000%, 07/20/54   11,983,988    12,282,761 
6.000%, 06/20/54   4,932,624    5,055,599 
6.000%, 05/20/54   5,575,368    5,714,367 
6.000%, 04/20/54   10,338,606    10,602,925 
6.000%, 02/20/54   8,624,725    8,854,784 
6.000%, 12/20/53   3,010,453    3,088,707 
6.000%, 11/20/53   5,228,107    5,404,218 
6.000%, 10/20/53   3,547,361    3,635,800 
5.500%, 09/20/54   3,261,457    3,309,433 
5.500%, 02/20/53   1,446,719    1,470,197 
5.000%, 12/20/53   7,845,083    7,861,684 
5.000%, 02/20/53   522,599    525,453 
5.000%, 11/20/52   3,415,534    3,438,844 
4.500%, 12/20/52   1,869,095    1,839,277 
4.500%, 10/20/52   4,003,357    3,941,958 
4.500%, 09/20/52   865,748    851,962 
4.500%, 08/20/52   6,216,667    6,120,365 
4.000%, 09/20/52   1,751,535    1,674,539 
4.000%, 08/20/52   8,460,049    8,078,905 
4.000%, 04/20/52   90,742    86,565 
4.000%, 03/20/52   92,675    88,421 
4.000%, 02/20/52   1,314,441    1,254,454 
4.000%, 01/20/52   997,756    952,274 
4.000%, 12/20/48   1,083,230    1,037,016 
3.500%, 08/20/52   11,403,704    10,534,439 
3.500%, 07/20/52   1,533,132    1,421,089 
3.500%, 04/20/52   3,611,640    3,343,607 
3.500%, 03/20/52   1,620,406    1,504,391 
3.500%, 02/20/52   1,178,504    1,089,937 
MORTGAGE-BACKED SECURITIES — continued
   Face Amount   Value 
3.500%, 01/20/52  $1,244,222   $1,153,987 
3.500%, 06/20/51   1,224,879    1,141,060 
3.500%, 01/20/50   752,142    700,201 
3.500%, 10/20/49   2,271,975    2,077,414 
3.000%, 03/20/52   318,889    288,131 
3.000%, 01/20/52   2,628,525    2,376,361 
3.000%, 12/20/51   4,569,359    4,136,080 
3.000%, 10/20/51   1,518,628    1,372,355 
3.000%, 07/20/51   2,128,020    1,923,486 
3.000%, 05/20/51   981,245    887,134 
2.500%, 03/20/53   3,301,135    2,872,338 
2.500%, 07/20/52   1,212,297    1,052,060 
2.500%, 04/20/52   2,108,478    1,828,158 
2.500%, 03/20/52   2,659,842    2,300,571 
2.500%, 08/20/51   1,302,320    1,128,723 
2.500%, 05/20/51   676,299    586,411 
2.500%, 03/20/51   2,368,554    2,052,865 
2.500%, 12/20/50   1,303,484    1,109,575 
2.000%, 10/20/51   1,458,321    1,213,695 
2.000%, 01/20/51   1,861,431    1,549,230 
2.000%, 12/20/50   1,371,076    1,130,092 
2.000%, 11/20/50   2,908,134    2,420,772 
GNMA, Ser 2012-98, Cl BM          
4.874%, 08/20/42 (A)   127,033    130,139 
GNMA, Ser 2015-142, Cl KI, IO          
4.500%, 04/20/45   1,670,173    274,978 
GNMA, Ser 2016-84, Cl IB, IO          
4.500%, 11/16/45   1,659,348    318,364 
GNMA, Ser 2017-H17, Cl FQ          
5.047%, TSFR12M + 0.985%, 09/20/67 (A)   693,095    699,602 
GNMA, Ser 2017-H22, Cl FH          
4.514%, TSFR12M + 0.935%, 11/20/67 (A)   409,392    412,109 
GNMA, Ser 2017-H24, Cl FQ          
4.527%, TSFR12M + 0.915%, 11/20/67 (A)   520,629    524,155 
GNMA, Ser 2018-H04, Cl FK          
4.914%, TSFR12M + 0.755%, 03/20/68 (A)   720,805    725,031 
GNMA, Ser 2018-H05, Cl CF          
4.934%, TSFR12M + 0.775%, 03/20/68 (A)   811,778    816,971 
GNMA, Ser 2018-H05, Cl FE          
4.944%, TSFR12M + 0.785%, 02/20/68 (A)   227,335    228,559 
GNMA, Ser 2019-20, Cl IC, IO          
5.000%, 02/20/49   1,524,645    320,815 
GNMA, Ser 2019-H09, Cl FG          
5.025%, TSFR12M + 1.065%, 05/20/69 (A)   252,228    256,051 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MORTGAGE-BACKED SECURITIES — continued
   Face Amount   Value 
GNMA, Ser 2019-H16, Cl CF          
4.649%, TSFR1M + 0.814%, 10/20/69 (A)  $277,522   $277,659 
GNMA, Ser 2020-H01, Cl FV          
4.599%, TSFR1M + 0.764%, 01/20/70 (A)   3,281,297    3,277,383 
GNMA, Ser 2020-H02, Cl FB          
4.549%, TSFR1M + 0.714%, 01/20/70 (A)   453,280    451,944 
GNMA, Ser 2022-H04, Cl FG          
4.253%, SOFR30A + 0.550%, 02/20/67 (A)   697,187    697,171 
GNMA, Ser 2022-H08, Cl FE          
4.668%, SOFR30A + 0.750%, 03/20/72 (A)   1,899,827    1,907,633 
GNMA, Ser 2022-H11, Cl EF          
4.673%, SOFR30A + 0.970%, 05/20/72 (A)   2,290,698    2,313,550 
GNMA, Ser 2023-H04, Cl FC          
4.553%, SOFR30A + 0.850%, 01/20/73 (A)   1,915,777    1,931,156 
GNMA, Ser 2023-H13, Cl FJ          
5.123%, SOFR30A + 1.420%, 02/20/73 (A)   1,174,356    1,204,026 
GNMA, Ser 29, Cl AE          
3.500%, 05/16/64 (A)   2,885,699    2,780,530 
         431,303,414 
Non-Agency Mortgage-Backed Obligations — 6.3% 
ALA Trust, Ser OANA, Cl A          
5.424%, TSFR1M + 1.743%, 06/15/40 (A)(B)   310,000    312,519 
Angel Oak Mortgage Trust, Ser 2025-5, Cl A1          
5.573%, 04/25/70 (B)(E)   1,634,592    1,653,730 
Angel Oak Mortgage Trust, Ser 2025-7, Cl A1          
5.509%, 06/25/70 (B)(E)   6,407,202    6,475,247 
Angel Oak Mortgage Trust, Ser 2025-8, Cl A1          
5.410%, 07/25/70 (B)(E)   2,869,586    2,896,316 
BANK-2025, Ser BNK51, Cl C          
5.946%, 12/25/67 (A)   1,000,000    991,224 
BANK5, Ser 5YR10, Cl D          
4.000%, 10/15/57 (B)   2,100,000    1,859,001 
BANK5, Ser 5YR12, Cl D          
4.000%, 12/15/57 (B)   1,160,000    1,028,266 
BANK5, Ser 5YR14, Cl C          
6.463%, 04/15/58 (A)   1,551,000    1,586,843 
Barclays Commercial Mortgage Trust, Ser 2019-C4, Cl C          
3.469%, 08/15/52   1,300,000    1,072,416 
MORTGAGE-BACKED SECURITIES — continued
   Face Amount   Value 
BBCMS Mortgage Trust, Ser 2018-TALL, Cl A          
4.600%, TSFR1M + 0.919%, 03/15/37 (A)(B)  $1,840,000   $1,757,288 
BBCMS Mortgage Trust, Ser 2023-C19, Cl C          
6.403%, 04/15/56 (A)   540,000    515,248 
BBCMS Mortgage Trust, Ser 5C27, Cl C          
6.700%, 07/15/57 (A)   1,300,000    1,345,435 
BBCMS Mortgage Trust, Ser C17, Cl C          
5.450%, 09/15/55 (A)   2,200,000    2,103,230 
BBCMS Mortgage Trust, Ser C32, Cl D          
4.500%, 02/15/62 (B)   2,725,000    2,156,657 
BBCMS Mortgage Trust, Ser C39, Cl C          
5.907%, 12/15/58 (A)   1,825,000    1,830,221 
Benchmark Mortgage Trust, Ser 2019-B10, Cl E          
3.000%, 03/15/62 (B)   1,260,000    789,166 
Benchmark Mortgage Trust, Ser 2022-B35, Cl D          
2.500%, 05/15/55 (B)   3,265,000    1,947,081 
Benchmark Mortgage Trust, Ser B10, Cl C          
3.750%, 03/15/62   1,260,000    1,050,027 
Benchmark Mortgage Trust, Ser V15, Cl C          
6.268%, 06/15/58   965,000    990,317 
Benchmark Mortgage Trust, Ser V7, Cl A3          
6.228%, 05/15/56 (A)   400,000    422,267 
BFLD Commercial Mortgage Trust, Ser 660F, Cl A          
5.180%, TSFR1M + 1.500%, 11/15/42 (A)(B)   725,000    727,492 
BMO Mortgage Trust, Ser 2023- C7, Cl C          
7.123%, 12/15/56 (A)   2,250,000    2,360,463 
BMO Mortgage Trust, Ser 5C4, Cl C          
7.018%, 05/15/57 (A)   1,900,000    1,960,213 
BMO Mortgage Trust, Ser 5C5, Cl D          
4.500%, 02/15/57 (B)   2,000,000    1,792,238 
BMO Mortgage Trust, Ser C12, Cl C          
6.393%, 06/15/58 (A)   2,320,000    2,370,361 
BMO Mortgage Trust, Ser C9, Cl C          
6.379%, 07/15/57 (A)   1,400,000    1,430,104 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MORTGAGE-BACKED SECURITIES — continued
   Face Amount   Value 
BRCK Trust, Ser 830B, Cl B          
5.357%, 12/10/42 (A)(B)  $2,970,000   $2,996,379 
BX Commercial Mortgage Trust, Ser 2022-AHP, Cl AS          
5.170%, TSFR1M + 1.490%, 01/17/39 (A)(B)   2,500,000    2,499,219 
BX Trust, Ser 2022-CLS, Cl B          
6.300%, 10/13/27 (B)   2,100,000    2,114,191 
BX Trust, Ser 2024-VLT4, Cl A          
5.172%, TSFR1M + 1.491%, 06/15/41 (A)(B)   685,000    685,856 
BX Trust, Ser ARIA, Cl C          
5.517%, 12/13/42 (A)(B)   5,265,000    5,348,753 
BX Trust, Ser DELC, Cl A          
5.230%, TSFR1M + 1.550%, 12/15/42 (A)(B)   375,000    377,109 
BX Trust, Ser VLT7, Cl A          
5.380%, TSFR1M + 1.700%, 07/15/44 (A)(B)   1,540,000    1,544,810 
Century Plaza Towers, Ser 2019-CPT, Cl A          
2.865%, 11/13/39 (B)   675,000    625,276 
Century Plaza Towers, Ser 2019-CPT, Cl B          
2.997%, 11/13/39 (A)(B)   733,000    671,663 
Century Plaza Towers, Ser 2019-CPT, Cl C          
2.997%, 11/13/39 (A)(B)   500,000    450,276 
Century Plaza Towers, Ser 2019-CPT, Cl E          
2.997%, 11/13/39 (A)(B)   2,000,000    1,678,315 
CHI Commercial Mortgage Trust, Ser 110W, Cl A          
5.102%, 12/13/40 (A)(B)   6,900,000    6,965,665 
CHI Commercial Mortgage Trust, Ser SFT, Cl A          
5.665%, 04/15/42 (A)(B)   155,000    159,052 
COMM Mortgage Trust, Ser 2022-HC, Cl A          
2.819%, 01/10/39 (B)   1,390,000    1,345,231 
COMM Mortgage Trust, Ser 2022-HC, Cl C          
3.376%, 01/10/39 (B)   1,570,000    1,492,004 
COMM Mortgage Trust, Ser CBM, Cl A2          
5.867%, 12/10/41 (A)(B)   180,000    182,789 
CSAIL 2021-C20 Commercial Mortgage Trust, Ser C20, Cl AS          
3.076%, 03/15/54 (A)   1,180,000    1,050,327 
CSMC OA, Ser 2014-USA, Cl A2          
3.953%, 09/15/37 (B)   1,230,000    1,131,788 
MORTGAGE-BACKED SECURITIES — continued
   Face Amount   Value 
CSMC Trust, Ser 2021-NQM5, Cl M1          
2.168%, 05/25/66 (A)(B)  $1,310,000   $882,687 
DC Commercial Mortgage Trust, Ser DC, Cl A          
6.314%, 09/12/40 (B)   820,000    843,646 
DLIC Re-REMIC Trust, Ser FRR1, Cl A111          
2.246%, 04/27/53 (A)(B)   1,770,000    1,535,546 
DLIC Re-REMIC Trust, Ser FRR1, Cl A120          
2.600%, 09/27/53 (A)(B)   1,770,000    1,533,313 
DLIC Re-REMIC Trust, Ser FRR1, Cl B104          
1.875%, 12/27/52 (A)(B)   1,770,000    1,529,682 
Extended Stay America Trust, Ser ESH, Cl A          
4.980%, TSFR1M + 1.300%, 10/15/42 (A)(B)   225,000    225,984 
Extended Stay America Trust, Ser ESH2, Cl A          
4.870%, TSFR1M + 1.200%, 02/15/43 (A)(B)   820,000    821,794 
FASST, Ser 2022-S4, Cl A2A          
3.000%, 01/25/57 (B)   2,747,929    2,804,868 
FHLMC Multifamily ML Certificates          
1.219%, 07/25/41 (A)(B)   9,654,298    842,762 
FHLMC Multifamily ML Certificates, Ser ML08, Cl AUS          
1.877%, 07/25/37   1,583,615    1,290,106 
FREMF Mortgage Trust, Ser 2017-K69, Cl C          
3.726%, 10/25/49 (A)(B)   2,788,000    2,731,539 
FREMF Mortgage Trust, Ser 2018-K83, Cl C          
4.281%, 11/25/51 (A)(B)   2,890,000    2,859,256 
GS Mortgage Securities Trust, Ser 2013-PEMB, Cl A          
3.550%, 03/05/33 (A)(B)   110,000    81,194 
Hudson Yards Mortgage Trust, Ser 2016-10HY, Cl A          
2.835%, 08/10/38 (B)   1,750,000    1,734,247 
Hudson Yards Mortgage Trust, Ser 2019-55HY, Cl A          
2.943%, 12/10/41 (A)(B)   1,000,000    944,297 
INT Commercial Mortgage Trust, Ser PLAZA, Cl A          
5.042%, 11/05/37 (A)(B)   800,000    808,464 
Jackson Park Trust, Ser 2019- LIC, Cl A          
2.766%, 10/14/39 (B)   1,000,000    930,984 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MORTGAGE-BACKED SECURITIES — continued
   Face Amount   Value 
JP Morgan Chase Commercial Mortgage Securities Trust, Ser BMS, Cl A          
5.280%, TSFR1M + 1.600%, 01/15/42 (A)(B)  $840,000   $840,000 
JPMBB Commercial Mortgage Securities Trust, Ser 2015- C28, Cl C          
4.283%, 10/15/48 (A)   815,570    803,377 
MAD Commercial Mortgage Trust, Ser 11MD, Cl C          
5.818%, 10/15/42 (A)(B)   870,000    876,853 
NW RE-REMIC TRUST, Ser 2021-FRR1, Cl AK88          
2.769%, 12/18/51 (A)(B)   2,500,000    2,263,448 
NYC Commercial Mortgage Trust, Ser 300P, Cl A          
4.879%, 07/13/42 (A)(B)   2,550,000    2,574,564 
OBX Trust, Ser 2022-NQM1, Cl M1          
3.504%, 11/25/61 (A)(B)   1,010,000    758,485 
One Bryant Park Trust, Ser 2019-OBP, Cl A          
2.516%, 09/15/54 (B)   3,385,000    3,154,317 
Onslow Bay Mortgage Loan Trust, Ser 2021-NQM4, Cl M1          
3.248%, 10/25/61 (B)   1,750,000    1,264,280 
OWS Real Estate Finance, Ser MARG2, Cl A          
7.750%, TSFR1M + 4.000%, 08/15/34 (A)(B)   6,000,000    6,006,973 
PENN Commercial Mortgage Trust, Ser P11, Cl A          
5.344%, 08/10/42 (A)(B)   2,350,000    2,417,511 
RFM Reremic Trust, Ser 2024- FRR2, Cl A123          
2.015%, 02/27/54 (A)(B)   2,800,000    2,343,113 
SBAP, Ser 2006-20B, Cl 1          
5.350%, 02/01/26   166    167 
SBAP, Ser 2006-20C, Cl 1          
5.570%, 03/01/26   175    175 
SBAP, Ser 2007-20C, Cl 1          
5.230%, 03/01/27   358    360 
SFAVE Commercial Mortgage Securities Trust, Ser 2015- 5AVE, Cl A1          
3.872%, 01/05/43 (A)(B)   3,045,000    2,653,360 
SFAVE Commercial Mortgage Securities Trust, Ser 2015- 5AVE, Cl A2B          
4.144%, 01/05/43 (A)(B)   5,447,000    4,797,919 
MORTGAGE-BACKED SECURITIES — continued
   Face Amount   Value 
SFAVE Commercial Mortgage Securities Trust, Ser 2015- 5AVE, Cl C          
4.388%, 01/05/43 (A)(B)  $3,515,000   $2,855,457 
SLG Office Trust, Ser 2021-OVA, Cl C          
2.851%, 07/15/41 (B)   2,500,000    2,232,820 
STWD Mortgage Trust, Ser 2021-LIH, Cl AS          
5.052%, TSFR1M + 1.371%, 11/15/36 (A)(B)   1,000,000    997,500 
TCO Commercial Mortgage Trust, Ser DPM, Cl A          
4.923%, TSFR1M + 1.243%, 12/15/39 (A)(B)   510,000    511,275 
Vendee Mortgage Trust, Ser 2011-2, Cl DZ          
3.750%, 10/15/41   1,141,694    1,074,603 
Verus Securitization Trust, Ser 2021-1, Cl A1          
0.815%, 01/25/66 (A)(B)   3,047,516    2,792,728 
Verus Securitization Trust, Ser 2021-2, Cl M1          
2.187%, 02/25/66 (A)(B)   2,910,000    2,437,824 
Verus Securitization Trust, Ser 2021-4, Cl M1          
2.195%, 07/25/66 (A)(B)   1,400,000    989,306 
Verus Securitization Trust, Ser 2021-5, Cl A2          
1.218%, 09/25/66 (A)(B)   1,684,404    1,482,395 
Verus Securitization Trust, Ser 2021-5, Cl A3          
1.373%, 09/25/66 (A)(B)   1,671,927    1,467,862 
Verus Securitization Trust, Ser 2021-R3, Cl M1          
2.411%, 04/25/64 (A)(B)   2,745,000    2,478,399 
Verus Securitization Trust, Ser 2024-3, Cl A2          
6.642%, 04/25/69 (B)(E)   1,724,356    1,752,355 
Verus Securitization Trust, Ser 2024-9, Cl M1          
6.198%, 11/25/69 (A)(B)   1,820,000    1,841,981 
Verus Securitization Trust, Ser 2025-1, Cl A3          
5.976%, 01/25/70 (B)(E)   1,628,222    1,645,895 
Verus Securitization Trust, Ser 2025-2, Cl A3          
5.662%, 03/25/70 (B)(E)   2,764,032    2,785,013 
Verus Securitization Trust, Ser 2025-8, Cl A1          
4.869%, 09/25/70 (A)(B)   902,603    904,999 
Verus Securitization Trust, Ser 2026-1, Cl A3          
5.218%, 01/25/71 (B)(E)   3,260,000    3,268,218 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MORTGAGE-BACKED SECURITIES — continued
   Face Amount   Value 
WB Commercial Mortgage Trust, Ser 2024-HQ, Cl A          
6.134%, 03/15/40 (A)(B)  $500,000   $500,901 
Wells Fargo Commercial Mortgage Trust, Ser 2019-C52, Cl C          
3.561%, 08/15/52   1,100,000    941,276 
Wells Fargo Commercial Mortgage Trust, Ser 2022-C62, Cl A4          
4.000%, 04/15/55 (A)   420,000    402,561 
Wells Fargo Commercial Mortgage Trust, Ser 2024- SVEN, Cl A          
6.011%, 06/10/37 (B)   1,650,000    1,707,481 
Wells Fargo Commercial Mortgage Trust, Ser 5C4, Cl C          
6.284%, 05/15/58 (A)   738,000    753,238 
Wells Fargo Commercial Mortgage Trust, Ser 609M, Cl A          
5.223%, TSFR1M + 1.542%, 08/15/42 (A)(B)   500,000    501,250 
WHARF Commercial Mortgage Trust, Ser DC, Cl D          
6.833%, 07/15/40 (A)(B)   1,000,000    1,041,257 
         165,263,938 
Total Mortgage-Backed Securities          
(Cost $608,523,494)        596,567,352 
           
ASSET-BACKED SECURITIES — 9.8% 
           
Automotive — 6.4%          
Ally Auto Receivables Trust, Ser 2025-1, Cl A3          
3.960%, 03/15/30  $355,000   $356,113 
American Credit Acceptance Receivables Trust, Ser 2023-4, Cl D          
7.650%, 09/12/30 (B)   1,155,000    1,199,560 
American Credit Acceptance Receivables Trust, Ser 2024-1, Cl D          
5.860%, 05/13/30 (B)   4,560,000    4,616,439 
American Credit Acceptance Receivables Trust, Ser 2025-2, Cl C          
5.110%, 03/12/31 (B)   525,000    530,523 
American Credit Acceptance Receivables Trust, Ser 2025-4, Cl D          
5.250%, 09/12/31 (B)   3,980,000    4,002,436 
ASSET-BACKED SECURITIES — continued
   Face Amount   Value 
American Credit Acceptance Receivables Trust, Ser 2026-1, Cl C          
4.550%, 01/12/33 (B)  $1,490,000   $1,492,554 
American Credit Acceptance Receivables Trust, Ser 2026-1, Cl D          
5.100%, 01/12/33 (B)   2,465,000    2,466,083 
AutoNation Finance Trust, Ser 2025-1A, Cl A3          
4.620%, 11/13/29 (B)   370,000    373,199 
AutoNation Finance Trust, Ser 2026-1A, Cl A3          
4.030%, 08/12/30 (B)   285,000    285,551 
Avis Budget Rental Car Funding, Ser 2024-1A, Cl A          
5.360%, 06/20/30 (B)   1,495,000    1,543,588 
Avis Budget Rental Car Funding, Ser 2025-2A, Cl A          
5.120%, 08/20/31 (B)   550,000    564,259 
BMW Vehicle Lease Trust, Ser 2024-2, Cl A3          
4.180%, 10/25/27   545,000    546,391 
BMW Vehicle Lease Trust, Ser 2025-1, Cl A3          
4.430%, 06/26/28   285,000    287,420 
BofA Auto Trust, Ser 2025-1A, Cl A3          
4.350%, 11/20/29 (B)   255,000    256,711 
Bridgecrest Lending Auto Securitization Trust, Ser 2024-3, Cl A3          
5.340%, 04/17/28   148,495    148,693 
Bridgecrest Lending Auto Securitization Trust, Ser 2024-3, Cl B          
5.370%, 10/16/28   615,000    618,078 
Bridgecrest Lending Auto Securitization Trust, Ser 2025-2, Cl A3          
4.780%, 12/15/28   820,000    823,534 
Bridgecrest Lending Auto Securitization Trust, Ser 2025-2, Cl D          
5.620%, 03/17/31   7,915,000    8,059,683 
Bridgecrest Lending Auto Securitization Trust, Ser 2025-3, Cl A3          
4.660%, 01/15/29   370,000    371,728 
Bridgecrest Lending Auto Securitization Trust, Ser 2026-1, Cl A3          
4.040%, 12/17/29   305,000    305,699 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face Amount   Value 
CarMax Auto Owner Trust, Ser 2024-3, Cl A3          
4.890%, 07/16/29  $790,000   $799,178 
CarMax Auto Owner Trust, Ser 2024-4, Cl A3          
4.600%, 10/15/29   1,475,000    1,490,183 
CarMax Auto Owner Trust, Ser 2025-2, Cl A3          
4.480%, 03/15/30   480,000    484,981 
CarMax Auto Owner Trust, Ser 2025-4, Cl A3          
3.970%, 12/16/30   455,000    455,957 
CarMax Select Receivables Trust, Ser 2025-A, Cl A3          
4.770%, 09/17/29   745,000    751,175 
Carvana Auto Receivables Trust, Ser 2024-P4, Cl A3          
4.640%, 01/10/30   225,000    226,362 
Carvana Auto Receivables Trust, Ser 2025-P2, Cl A4          
4.750%, 06/10/31   1,005,000    1,020,920 
Carvana Auto Receivables Trust, Ser 2025-P3, Cl A3          
4.040%, 11/11/30   580,000    581,500 
CPS Auto Receivables Trust, Ser 2024-B, Cl D          
6.420%, 07/15/30 (B)   2,965,000    3,049,870 
Credit Acceptance Auto Loan Trust, Ser 2024-3A, Cl A          
4.680%, 09/15/34 (B)   2,275,000    2,287,599 
Credit Acceptance Auto Loan Trust, Ser 2025-1A, Cl A          
5.020%, 03/15/35 (B)   925,000    935,927 
Credit Acceptance Auto Loan Trust, Ser 2025-2A, Cl B          
4.870%, 01/15/36 (B)   375,000    378,773 
Drive Auto Receivables Trust, Ser 2024-2, Cl B          
4.520%, 07/16/29   765,000    767,834 
Drive Auto Receivables Trust, Ser 2025-2, Cl D          
4.900%, 12/15/32   3,905,000    3,912,928 
Drive Auto Receivables Trust, Ser 2025-S1, Cl R2          
6.260%, 06/16/29 (B)   4,641,163    4,675,103 
Enterprise Fleet Financing, Ser 2024-3, Cl A4          
5.060%, 03/20/31 (B)   840,000    858,877 
Enterprise Fleet Financing, Ser 2025-1, Cl A3          
4.820%, 02/20/29 (B)   335,000    340,528 
Enterprise Fleet Financing, Ser 2025-3, Cl A3          
4.460%, 09/20/29 (B)   865,000    874,881 
ASSET-BACKED SECURITIES — continued
   Face Amount   Value 
Exeter Automobile Receivables Trust, Ser 2021-2A, Cl E          
2.900%, 07/17/28 (B)  $1,590,000   $1,587,215 
Exeter Automobile Receivables Trust, Ser 2022-5A, Cl D          
7.400%, 02/15/29   3,632,739    3,679,648 
Exeter Automobile Receivables Trust, Ser 2023-4A, Cl D          
6.950%, 12/17/29   1,100,000    1,122,960 
Exeter Automobile Receivables Trust, Ser 2024-1A, Cl D          
5.840%, 06/17/30   4,215,000    4,299,988 
Exeter Automobile Receivables Trust, Ser 2024-2A, Cl D          
5.920%, 02/15/30   2,850,000    2,910,062 
Exeter Automobile Receivables Trust, Ser 2024-4A, Cl C          
5.480%, 08/15/30   700,000    710,878 
Exeter Automobile Receivables Trust, Ser 2025-2A, Cl A3          
4.740%, 01/16/29   1,240,000    1,243,866 
Exeter Automobile Receivables Trust, Ser 2025-4A, Cl A3          
4.390%, 09/17/29   145,000    145,623 
Exeter Automobile Receivables Trust, Ser 2025-5A, Cl D          
5.160%, 03/15/32   2,685,000    2,703,306 
Exeter Automobile Receivables Trust, Ser 2026-1A, Cl D          
5.000%, 05/17/32   2,045,000    2,048,611 
Exeter Select Automobile Receivables Trust, Ser 2025-1, Cl A3          
4.690%, 04/15/30   210,000    212,137 
First Investors Auto Owner Trust 2025-1, Ser 2025-1A, Cl C          
4.750%, 12/15/31 (B)   725,000    729,554 
Flagship Credit Auto Trust, Ser 2021-2, Cl D          
1.590%, 06/15/27 (B)   2,735,760    2,702,969 
Ford Credit Auto Lease Trust, Ser 2025-A, Cl A3          
4.720%, 06/15/28   420,000    423,836 
Ford Credit Auto Owner Trust, Ser 2021-1, Cl D          
2.310%, 10/17/33 (B)   1,750,000    1,740,138 
Ford Credit Auto Owner Trust, Ser 2024-B, Cl A3          
5.100%, 04/15/29   1,082,000    1,095,024 
GLS Auto Receivables Issuer Trust, Ser 2023-1A, Cl D          
7.010%, 01/16/29 (B)   1,415,000    1,444,033 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face Amount   Value 
GLS Auto Receivables Issuer Trust, Ser 2023-2A, Cl D          
6.310%, 03/15/29 (B)  $2,341,000   $2,397,003 
GLS Auto Receivables Issuer Trust, Ser 2024-1A, Cl D          
5.950%, 12/17/29 (B)   1,210,000    1,233,961 
GLS Auto Receivables Issuer Trust, Ser 2024-3A, Cl B          
5.080%, 01/16/29 (B)   365,000    367,236 
GLS Auto Receivables Issuer Trust, Ser 2024-4A, Cl A3          
4.750%, 07/17/28 (B)   320,000    320,677 
GLS Auto Receivables Issuer Trust, Ser 2025-1A, Cl D          
5.610%, 11/15/30 (B)   6,100,000    6,204,753 
GLS Auto Receivables Issuer Trust, Ser 2025-2A, Cl C          
5.110%, 01/15/31 (B)   310,000    315,247 
GLS Auto Receivables Issuer Trust, Ser 2025-3A, Cl D          
5.160%, 06/16/31 (B)   2,020,000    2,027,997 
GLS Auto Receivables Issuer Trust, Ser 2025-4A, Cl A3          
4.290%, 07/16/29 (B)   280,000    280,996 
GLS Auto Receivables Issuer Trust, Ser 2025-4A, Cl D          
5.130%, 08/15/31 (B)   4,600,000    4,625,912 
GLS Auto Select Receivables Issuer Trust, Ser 2025-4A, Cl A2          
4.170%, 02/18/31 (B)   305,000    304,974 
GLS Auto Select Receivables Issuer Trust, Ser 2026-1A, Cl A2          
4.050%, 02/17/32 (B)   265,000    265,114 
GLS Auto Select Receivables Trust, Ser 2024-4A, Cl A2          
4.430%, 12/17/29 (B)   233,554    234,477 
GLS Auto Select Receivables Trust, Ser 2025-1A, Cl A2          
4.710%, 04/15/30 (B)   321,848    324,168 
GLS Auto Select Receivables Trust, Ser 2025-3A, Cl A2          
4.460%, 10/15/30 (B)   341,534    343,789 
GM Financial Automobile Leasing Trust, Ser 2025-1, Cl A3          
4.660%, 02/21/28   570,000    574,413 
GM Financial Automobile Leasing Trust, Ser 2025-3, Cl A3          
4.170%, 08/21/28   810,000    813,833 
ASSET-BACKED SECURITIES — continued
   Face Amount   Value 
Hertz Vehicle Financing III, Ser 2023-2A, Cl A          
5.570%, 09/25/29 (B)  $2,000,000   $2,057,802 
Hertz Vehicle Financing III, Ser 2024-1A, Cl A          
5.440%, 01/25/29 (B)   1,115,000    1,136,751 
Hertz Vehicle Financing, Ser 2022-2A, Cl A          
2.330%, 06/26/28 (B)   1,235,000    1,209,169 
Hyundai Auto Lease Securitization Trust, Ser 2026-A, Cl A3          
3.970%, 12/15/28 (B)   840,000    841,874 
Hyundai Auto Receivables Trust, Ser 2025-B, Cl A3          
4.360%, 12/17/29   360,000    363,688 
LAD Auto Receivables Trust, Ser 2024-3A, Cl A3          
4.520%, 03/15/29 (B)   330,000    331,395 
LAD Auto Receivables Trust, Ser 2025-1A, Cl A3          
4.690%, 07/16/29 (B)   910,000    916,005 
LAD Auto Receivables Trust, Ser 2025-2A, Cl A3          
4.250%, 01/15/30 (B)   970,000    974,238 
M&T Bank Auto Receivables Trust, Ser 2025-1A, Cl A3          
4.730%, 06/17/30 (B)   290,000    294,033 
Octane Receivables Trust, Ser 2023-1A, Cl C          
6.370%, 09/20/29 (B)   895,000    907,485 
Octane Receivables Trust, Ser 2023-2A, Cl C          
6.240%, 06/20/31 (B)   3,580,000    3,637,860 
Octane Receivables Trust, Ser 2024-2A, Cl D          
6.190%, 07/20/32 (B)   1,560,000    1,603,098 
Octane Receivables Trust, Ser 2024-3A, Cl D          
5.860%, 10/20/31 (B)   1,950,000    1,981,687 
Octane Receivables Trust, Ser 2024-RPT1, Cl R1          
6.680%, 02/22/30   1,824,000    1,840,530 
Octane Receivables Trust, Ser 2025-1A, Cl A2          
4.250%, 02/20/31 (B)   930,000    931,092 
PenFed Auto Receivables Owner Trust, Ser 2024-A, Cl A3          
4.700%, 06/15/29 (B)   340,000    341,452 
Santander Drive Auto Receivables Trust, Ser 2023-1, Cl C          
5.090%, 05/15/30   3,617,649    3,633,817 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face Amount   Value 
Santander Drive Auto Receivables Trust, Ser 2024-2, Cl D          
6.280%, 08/15/31  $3,730,000   $3,852,826 
Santander Drive Auto Receivables Trust, Ser 2024-3, Cl D          
5.970%, 10/15/31   3,200,000    3,288,439 
Santander Drive Auto Receivables Trust, Ser 2024-4, Cl A3          
4.850%, 01/16/29   3,350    3,358 
Santander Drive Auto Receivables Trust, Ser 2025-2, Cl A3          
4.670%, 08/15/29   690,000    694,680 
Santander Drive Auto Receivables Trust, Ser 2025-4, Cl A3          
4.170%, 04/15/30   595,000    597,194 
Santander Drive Auto Receivables Trust, Ser 2025-4, Cl D          
4.950%, 01/15/32   1,050,000    1,053,856 
SBNA Auto Lease Trust, Ser 2024-C, Cl A3          
4.560%, 02/22/28 (B)   158,713    159,097 
SBNA Auto Receivables Trust, Ser 2024-A, Cl D          
6.040%, 04/15/30 (B)   2,155,000    2,203,713 
SFS Auto Receivables Securitization Trust, Ser 2024-3A, Cl A3          
4.550%, 06/20/30 (B)   265,000    266,833 
SFS Auto Receivables Securitization Trust, Ser 2025-1A, Cl A3          
4.750%, 07/22/30 (B)   285,000    288,011 
SFS Auto Receivables Securitization Trust, Ser 2025-2A, Cl A3          
4.440%, 12/20/30 (B)   1,000,000    1,008,185 
Tesla Auto Lease Trust, Ser 2023-B, Cl B          
6.570%, 08/20/27 (B)   632,593    633,750 
Tesla Auto Lease Trust, Ser 2024-A, Cl A3          
5.300%, 06/21/27 (B)   500,805    502,165 
Tesla Electric Vehicle Trust, Ser 2023-1, Cl A4          
5.380%, 02/20/29 (B)   900,000    915,563 
Tesla Sustainable Energy Trust, Ser 2024-1A, Cl A3          
5.290%, 06/20/50 (B)   1,335,000    1,335,890 
ASSET-BACKED SECURITIES — continued
   Face Amount   Value 
Toyota Lease Owner Trust, Ser 2025-B, Cl A3          
3.960%, 11/20/28 (B)  $680,000   $681,647 
USB Auto Owner Trust, Ser 2025-1A, Cl A3          
4.490%, 06/17/30 (B)   145,000    146,102 
Veros Auto Receivables Trust 2026-1, Ser 2026-1, Cl A          
4.530%, 08/15/28 (B)   220,000    220,032 
Westlake Automobile Receivables Trust, Ser 2023-1A, Cl D          
6.790%, 11/15/28 (B)   1,925,000    1,968,608 
Westlake Automobile Receivables Trust, Ser 2023-2A, Cl D          
7.010%, 11/15/28 (B)   2,340,000    2,385,742 
Westlake Automobile Receivables Trust, Ser 2024-1A, Cl D          
6.020%, 10/15/29 (B)   2,010,000    2,063,358 
Westlake Automobile Receivables Trust, Ser 2024-2A, Cl D          
5.910%, 04/15/30 (B)   1,005,000    1,030,884 
Westlake Automobile Receivables Trust, Ser 2024-3A, Cl A3          
4.710%, 04/17/28 (B)   480,000    481,327 
Westlake Automobile Receivables Trust, Ser 2025-1A, Cl A3          
4.750%, 08/15/28 (B)   1,310,000    1,317,428 
Westlake Automobile Receivables Trust, Ser 2025-1A, Cl D          
5.540%, 11/15/30 (B)   3,570,000    3,639,821 
Westlake Automobile Receivables Trust, Ser 2025-2A, Cl A3          
4.510%, 05/15/29 (B)   285,000    287,025 
Westlake Automobile Receivables Trust, Ser 2025-3A, Cl A3          
4.220%, 06/15/29 (B)   430,000    431,402 
Westlake Automobile Receivables Trust, Ser 2026-1A, Cl A3          
4.010%, 07/16/29 (B)   625,000    625,881 
Westlake Automobile Receivables Trust, Ser 2026-1A, Cl D          
4.750%, 07/15/31 (B)   3,100,000    3,104,195 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face Amount   Value 
Wheels Fleet Lease Funding 1, Ser 2024-2A, Cl A1          
4.870%, 06/21/39 (B)  $337,977   $341,587 
Wheels Fleet Lease Funding 1, Ser 2024-3A, Cl A1          
4.800%, 09/19/39 (B)   591,121    597,307 
Wheels Fleet Lease Funding 1, Ser 2025-3A, Cl A1          
4.080%, 09/18/40 (B)   535,000    536,571 
World Omni Auto Receivables Trust, Ser 2024-C, Cl A3          
4.430%, 12/17/29   500,000    503,010 
World Omni Auto Receivables Trust, Ser 2025-C, Cl A3          
4.080%, 11/15/30   1,060,000    1,065,719 
World Omni Select Auto Trust, Ser 2024-A, Cl A3          
4.980%, 02/15/30   460,000    462,090 
         163,870,488 
Other Asset-Backed Securities — 3.4% 
Affirm Asset Securitization Trust, Ser 2025-X1, Cl D          
6.110%, 04/15/30 (B)   3,200,000    3,227,479 
Affirm Master Trust, Ser 2025-2A, Cl A          
4.670%, 07/15/33 (B)   1,120,000    1,128,019 
AGL CLO 11, Ser 2025-11A, Cl CR          
5.622%, TSFR3M + 1.950%, 10/15/38 (A)(B)   2,750,000    2,761,806 
Applebee's Funding, Ser 2025-1A, Cl A2          
6.720%, 06/07/55 (B)   2,060,000    2,077,464 
BHG Securitization Trust, Ser 2025-2CON, Cl A          
4.840%, 09/17/36 (B)   455,900    459,874 
Bluepeak ABS Issuer, Ser 2025-1A, Cl A2          
5.858%, 12/20/55 (B)   1,575,000    1,602,511 
CBAMR 2019-11R, Ser 2025-11RA, Cl CR          
5.535%, TSFR3M + 1.800%, 03/20/38 (A)(B)   3,410,000    3,417,178 
CIFC Funding, Ser 2025-3A, Cl CR2          
5.471%, TSFR3M + 1.800%, 01/16/38 (A)(B)   2,285,000    2,286,444 
Compass Datacenters Issuer II, Ser 2024-2A, Cl A1          
5.022%, 08/25/49 (B)   335,000    335,516 
Compass Datacenters Issuer III, Ser 2025-1A, Cl A2          
5.656%, 02/25/50 (B)   245,000    247,547 
ASSET-BACKED SECURITIES — continued
   Face Amount   Value 
Consumer Portfolio Services Auto Trust, Ser 2025-B, Cl D          
5.560%, 07/15/31 (B)  $2,505,000   $2,543,684 
Consumer Portfolio Services Auto Trust, Ser 2025-D, Cl D          
5.450%, 02/17/32 (B)   2,745,000    2,782,879 
Crockett Partners Equipment IIA, Ser 2024-1C, Cl A          
6.050%, 01/20/31 (B)   483,636    493,004 
CyrusOne Data Centers Issuer I, Ser 2025-1A, Cl A2          
5.910%, 02/20/50 (B)   675,000    687,288 
EnFin Residential Solar Receivables Trust, Ser 2024-2A, Cl A          
5.980%, 09/20/55 (B)   1,330,587    1,265,521 
Foundation Finance Trust, Ser 2025-3A, Cl D          
5.710%, 08/15/52 (B)   2,280,000    2,290,142 
Golub Capital Partners CLO, Ser 2025-78A, Cl C          
5.670%, TSFR3M + 2.000%, 04/21/39 (A)(B)   3,115,000    3,077,860 
GoodLeap Sustainable Home Solutions Trust, Ser 2021-5CS, Cl B          
2.560%, 10/20/48 (B)   2,034,383    1,421,538 
GoodLeap Sustainable Home Solutions Trust, Ser 2023-1GS, Cl A          
5.520%, 02/22/55 (B)   1,430,414    1,338,272 
GreenSky Home Improvement Issuer Trust, Ser 2024-2, Cl A4          
5.150%, 10/27/59 (B)   63,310    64,291 
GreenSky Home Improvement Trust, Ser 2024-1, Cl A3          
5.550%, 06/25/59 (B)   365,000    373,940 
Hotwire Funding, Ser 2024-1A, Cl A2          
5.893%, 06/20/54 (B)   1,820,000    1,849,000 
MetroNet Infrastructure Issuer, Ser 2025-2A, Cl A2          
5.400%, 08/20/55 (B)   5,375,000    5,454,781 
Mission Lane Credit Card Master Trust, Ser 2024-B, Cl A          
5.880%, 01/15/30 (B)   610,000    613,335 
Mosaic Solar Loan Trust, Ser 2022-1A, Cl B          
3.160%, 01/20/53 (B)   940,638    663,058 
MVW Owner Trust, Ser 2024-1A, Cl C          
6.200%, 02/20/43 (B)   538,456    550,439 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face Amount   Value 
New Economy Assets, Ser 2021-1, Cl A1          
1.910%, 10/20/61 (B)  $1,090,000   $915,455 
NextGear Floorplan Master Owner Trust, Ser 2025-2A, Cl A2          
4.230%, 10/15/30 (B)   500,000    501,704 
OWN Equipment Fund I, Ser 2024-2M, Cl A          
5.700%, 12/20/32 (B)   723,441    733,225 
Pagaya Ai Debt Grantor Trust, Ser 2025-6, Cl D          
5.268%, 04/15/33 (B)   3,500,000    3,491,009 
Pagaya AI Debt Grantor Trust, Ser 2025-R3, Cl D          
5.655%, 01/18/33 (B)   7,895,000    7,898,257 
Pagaya AI Debt Trust, Ser 2024-10, Cl D          
6.429%, 06/15/32 (B)   2,179,934    2,199,385 
Pagaya AI Debt Trust, Ser 2024-3, Cl C          
7.297%, 10/15/31 (B)   977,167    980,096 
Pagaya AI Debt Trust, Ser 2025-1, Cl D          
6.282%, 07/15/32 (B)   1,826,053    1,840,078 
Pagaya AI Debt Trust, Ser 2025-4, Cl D          
6.572%, 01/17/33 (B)   2,894,897    2,919,109 
PK Alift Loan Funding 7, Ser 2025-2, Cl A          
4.750%, 03/15/43 (B)   244,441    244,546 
Planet Fitness Master Issuer, Ser 2025-1A, Cl A2I          
5.274%, 12/06/55 (B)   425,000    427,967 
Reach Abs Trust 2026-1, Ser 2026-1A, Cl A          
4.320%, 02/15/33 (B)   460,000    459,975 
Renew, Ser 2024-2A, Cl A          
5.326%, 11/20/60 (B)   928,009    891,391 
Republic Finance Issuance Trust, Ser 2024-A, Cl A          
5.910%, 08/20/32 (B)   405,000    409,102 
SCF Equipment Leasing, Ser 2025-2A, Cl A3          
4.330%, 06/20/36 (B)   920,000    920,435 
SCF Equipment Trust, Ser 2025-1A, Cl A3          
5.110%, 11/21/33 (B)   615,000    629,117 
SEB Funding, Ser 2024-1A, Cl A2          
7.386%, 04/30/54 (B)   30,000    30,828 
Shentel Issuer, Ser 2025-1A, Cl A2          
5.640%, 12/20/55 (B)   1,140,000    1,158,573 
ASSET-BACKED SECURITIES — continued
   Face Amount   Value 
Sierra Timeshare Receivables Funding, Ser 2024-1A, Cl C          
5.940%, 01/20/43 (B)  $667,742   $677,245 
Sierra Timeshare Receivables Funding, Ser 2024-2A, Cl A          
5.140%, 06/20/41 (B)   586,599    594,792 
SMB Private Education Loan Trust, Ser 2017-B, Cl A2A          
2.820%, 10/15/35 (B)   5,169    5,158 
SMB Private Education Loan Trust, Ser 2018-A, Cl A2A          
3.500%, 02/15/36 (B)   186,565    185,862 
SMB Private Education Loan Trust, Ser 2023-B, Cl A1A          
4.990%, 10/16/56 (B)   1,127,507    1,136,448 
SMB Private Education Loan Trust, Ser 2024-A, Cl A1A          
5.240%, 03/15/56 (B)   1,430,024    1,459,671 
SoFi Consumer Loan Program Trust, Ser 2025-2, Cl A          
4.820%, 06/25/34 (B)   209,305    210,458 
Stellantis Financial Underwritten Enhanced Lease Trust 2025-C, Ser 2025-CA, Cl A3          
4.110%, 04/20/29 (B)   1,645,000    1,652,206 
Stellantis Financial Underwritten Enhanced Lease Trust, Ser 2025-BA, Cl A3          
4.270%, 01/22/29 (B)   930,000    935,265 
Sunnova Helios XI Issuer, Ser 2023-A, Cl A          
5.300%, 05/20/50 (B)   859,067    782,016 
Sunnova Helios XII Issuer, Ser 2023-B, Cl A          
5.300%, 08/22/50 (B)   840,081    775,139 
Sunnova Hestia I Issuer, Ser 2023-GRID1, Cl 1A          
5.750%, 12/20/50 (B)   1,016,239    998,922 
Sunnova Hestia II Issuer, Ser 2024-GRID1, Cl 1A          
5.630%, 07/20/51 (B)   1,024,674    998,020 
Sunrun Julius Issuer, Ser 2023-2A, Cl A1          
6.600%, 01/30/59 (B)   1,213,385    1,225,893 
United States Small Business Administration, Ser 2006-20F, Cl 1          
5.820%, 06/01/26   80    81 
United States Small Business Administration, Ser 2006-20G, Cl 1          
6.070%, 07/01/26   206    206 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued
   Face Amount   Value 
United States Small Business Administration, Ser 2006-20H, Cl 1          
5.700%, 08/01/26  $316   $316 
United States Small Business Administration, Ser 2007-20D, Cl 1          
5.320%, 04/01/27   1,207    1,212 
United States Small Business Administration, Ser 2007-20E, Cl 1          
5.310%, 05/01/27   472    472 
United States Small Business Administration, Ser 2007-20F, Cl 1          
5.710%, 06/01/27   1,015    1,025 
Verus Securitization Trust 2025-1, Ser 2025-1, Cl A2          
5.773%, 01/25/70 (B)(E)   1,828,180    1,846,440 
Vivint Solar Financing V, Ser 2018-1A, Cl B          
7.370%, 04/30/48 (B)   219,392    214,728 
Vivint Solar Financing VII, Ser 2020-1A, Cl A          
2.210%, 07/31/51 (B)   1,158,030    1,052,087 
Volofin Finance Designated Activity, Ser 2024-1A, Cl A          
5.935%, 06/15/37 (B)   422,432    430,169 
Zayo Issuer, Ser 2025-2A, Cl A2          
5.953%, 06/20/55 (B)   1,305,000    1,339,921 
         86,186,874 
Total Asset-Backed Securities          
(Cost $247,994,942)        250,057,362 
           
MUNICIPAL BONDS — 2.9%          
           
Alaska — 0.1%          
City of Port Lions Alaska, RB          
7.500%, 10/01/52  $3,025,000   $3,158,463 
           
California — 1.0%          
California Community Choice Financing Authority, RB          
6.125%, 04/01/30   1,500,000    1,555,313 
California Health Facilities Financing Authority, RB          
3.034%, 06/01/34   1,865,000    1,688,886 
2.984%, 06/01/33   3,090,000    2,837,398 
California Statewide Communities Development Authority, RB          
2.682%, 02/01/39   500,000    387,819 
MUNICIPAL BONDS — continued
   Face Amount   Value 
City & County of San Francisco California, GO          
5.770%, 06/15/45  $1,500,000   $1,534,247 
3.700%, 06/15/26   2,500,000    2,501,045 
City & County of San Francisco California Community Facilities District No. 2014-1, Special Tax          
6.332%, 09/01/51   1,250,000    1,278,599 
3.482%, 09/01/50   2,500,000    1,765,921 
City of Los Angeles California, Ser A, GO          
5.000%, 09/01/42   2,500,000    2,467,528 
4.750%, 09/01/38   2,000,000    1,979,824 
City of Los Angeles Department of Airports Customer Facility Charge Revenue, RB          
3.258%, 05/15/30   2,250,000    2,181,679 
3.158%, 05/15/29   1,000,000    976,432 
Regents of the University of California Medical Center Pooled Revenue, RB          
4.563%, 05/15/53   600,000    520,838 
San Jose Financing Authority, RB          
4.662%, 05/01/37   500,000    488,818 
State of California, GO          
7.625%, 03/01/40   40,000    47,802 
7.550%, 04/01/39   100,000    120,221 
7.500%, 04/01/34   675,000    782,924 
7.300%, 10/01/39   625,000    721,345 
         23,836,639 
Connecticut — 0.1%          
Connecticut Green Bank, RB          
2.900%, 11/15/35   2,500,000    2,227,873 
           
District of Columbia — 0.1%          
District of Columbia, RB          
3.532%, 04/01/47   1,600,000    1,093,686 
2.932%, 04/01/33   1,590,000    1,364,802 
         2,458,488 
Hawaii — 0.0%          
City & County of Honolulu Hawaii, Ser D, RB          
4.970%, 07/01/35   840,000    860,669 
State of Hawaii Department of Business Economic Development & Tourism, Ser A-2, RB          
3.242%, 01/01/31   562,108    553,389 
         1,414,058 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MUNICIPAL BONDS — continued
   Face Amount   Value 
Illinois — 0.1%          
State of Illinois, GO          
5.100%, 06/01/33  $1,614,216   $1,652,255 
           
Iowa — 0.0%          
Iowa Finance Authority, RB          
7.000%, 11/01/27 (B)   415,000    420,491 
           
Maryland — 0.1%          
Maryland Economic Development, RB          
5.942%, 05/31/57   2,250,000    2,257,537 
5.433%, 05/31/56   500,000    479,704 
Montgomery County Housing Opportunities Commission, RB          
5.418%, 12/01/44   1,000,000    979,264 
         3,716,505 
Minnesota — 0.2%          
Minnesota Housing Finance Agency, Ser D, RB          
5.947%, 08/01/54   1,200,000    1,203,640 
5.897%, 08/01/49   1,400,000    1,405,597 
         2,609,237 
Nebraska — 0.1%          
City of North Platte Nebraska Combined Utilities Revenue, Ser B, RB          
5.548%, 12/15/42   1,525,000    1,538,073 
           
New Hampshire — 0.3%          
New Hampshire Business Finance Authority, RB          
5.876%, 12/01/35   1,500,000    1,596,779 
5.694%, 11/01/45   1,000,000    992,865 
3.970%, 02/01/29 (A)(B)   5,500,000    5,500,000 
3.840%, 07/01/33 (A)(B)   850,000    850,000 
         8,939,644 
New Jersey — 0.1%          
New Jersey Housing & Mortgage Finance Agency, Ser C, RB          
3.100%, 11/01/40   3,100,000    2,472,475 
New Jersey Turnpike Authority, RB          
7.414%, 01/01/40   275,000    326,405 
7.102%, 01/01/41   925,000    1,068,911 
         3,867,791 
New York — 0.4%          
City of New York New York, Ser D-1, GO          
5.094%, 10/01/49   1,000,000    944,519 
MUNICIPAL BONDS — continued
   Face Amount   Value 
New York City Housing Development, Ser D, RB          
5.884%, 02/01/55  $1,250,000   $1,247,550 
5.448%, 08/01/54   850,000    815,190 
New York City Housing Development, Ser G, RB          
5.881%, 08/01/45   1,120,000    1,126,594 
New York State Energy Research & Development Authority, Ser A, RB          
4.871%, 04/01/37   1,937,000    1,811,433 
New York Transportation Development, RB          
6.971%, 06/30/51   2,500,000    2,521,137 
United Nations Development, Ser A, RB          
6.536%, 08/01/55   400,000    424,252 
         8,890,675 
Ohio — 0.3%          
American Municipal Power, RB          
7.499%, 02/15/50   2,320,000    2,684,290 
American Municipal Power, Sub- Ser, RB          
6.449%, 02/15/44   1,740,000    1,836,372 
American Municipal Power, Ser E-RMKT, RB          
6.270%, 02/15/50   730,000    757,073 
Toledo-Lucas County Port Authority, Ser D-2, RB          
5.850%, 11/15/44 (B)   1,335,000    1,334,885 
         6,612,620 
Oregon — 0.0%          
State of Oregon, GO          
5.832%, 05/01/45   1,000,000    1,038,537 
           
Pennsylvania — 0.0%          
Redevelopment Authority of the City of Philadelphia, Ser A, RB          
5.226%, 09/01/40   610,000    613,722 
           
South Dakota — 0.0%          
South Dakota Housing Development Authority, Ser E, RB          
5.460%, 05/01/53   220,000    224,094 
           
Tennessee — 0.0%          
Metropolitan Government of Nashville & Davidson County Tennessee Water & Sewer Revenue, RB          
2.942%, 07/01/43   500,000    381,221 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MUNICIPAL BONDS — continued
   Face Amount   Value 
Wisconsin — 0.0%          
Public Finance Authority, RB          
6.250%, 06/01/31 (B)  $500,000   $506,676 
Public Finance Authority, Ser A, RB          
5.292%, 07/01/29   550,000    556,064 
         1,062,740 
Total Municipal Bonds          
(Cost $75,069,921)        74,663,126 
           
SOVEREIGN DEBT — 1.4%          
           
BRAZIL — 0.0%          
Brazilian Government International Bond          
5.500%, 02/04/33  $1,000,000   $985,500 
           
CANADA — 0.6%          
CDP Financial MTN          
1.000%, 05/26/26(B)   2,500,000    2,478,187 
Export Development Canada          
4.750%, 06/05/34   5,000,000    5,202,542 
OMERS Finance Trust          
4.000%, 04/19/52(B)   3,345,000    2,572,156 
3.500%, 04/19/32   5,000,000    4,787,693 
         15,040,578 
           
DOMINICAN REPUBLIC — 0.0%          
Dominican Republic International Bond          
6.600%, 06/01/36(B)   650,000    678,925 
           
ECUADOR — 0.1%          
Amazon Conservation DAC          
6.034%, 01/16/42(B)   2,000,000    2,057,800 
           
FRANCE — 0.1%          
Caisse d'Amortissement de la Dette Sociale MTN          
2.125%, 01/26/32(B)   2,500,000    2,225,404 
           
IRELAND — 0.2%          
BB Blue Financing DAC          
4.395%, 09/20/37   2,500,000    2,423,898 
SOVEREIGN DEBT — continued
   Face Amount   Value 
IRELAND — continued          
GPS Blue Financing DAC          
5.645%, 11/09/41(B)  $2,500,000   $2,487,500 
         4,911,398 
JAPAN — 0.1%          
Japan Bank for International Cooperation          
4.375%, 10/05/27   1,000,000    1,010,895 
Japan International Cooperation Agency          
4.250%, 05/22/30   470,000    474,874 
         1,485,769 
MEXICO — 0.0%          
Mexico Government International Bond          
5.375%, 03/22/33   860,000    846,971 
           
NETHERLANDS — 0.2%          
Nederlandse Waterschapsbank          
4.500%, 01/16/30(B)   1,000,000    1,024,837 
4.375%, 02/28/29(B)   500,000    509,272 
1.000%, 05/28/30(B)   2,500,000    2,217,587 
         3,751,696 
RUSSIA — 0.0%          
Serbia International Bond          
6.000%, 06/12/34(B)   850,000    881,818 
SOUTH KOREA — 0.1%          
Korea Electric Power          
4.427%, SOFRRATE + 0.620%, 11/12/28(A)(B)   1,000,000    1,002,650 
4.125%, 11/12/30(B)   1,000,000    997,850 
         2,000,500 
Total Sovereign Debt          
(Cost $35,048,874)       34,866,359 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

BANK LOAN OBLIGATIONS — 0.1%
   Face Amount   Value 
ECOLOGICAL SERVICES & EQUIPMENT — 0.1%          
Terraform Power Operating Specified Refinancing Term Loan          
5.672%, TSFR1M + 2.500%, 05/21/29(A)  $1,616,834   $1,612,792 
Vistra Zero Operating Company Term Loan          
5.917%, 03/20/31   995,000    980,075 
         2,592,867 
Total Bank Loan Obligations          
(Cost $2,608,042)        2,592,867 
U.S. GOVERNMENT AGENCY OBLIGATION — 0.0%
   Face Amount   Value 
United States International Development Finance          
1.790%, 10/15/29  $250,689   $240,720 
           
Total U.S. Government Agency Obligation          
(Cost $241,304)        240,720 
           
SHORT-TERM INVESTMENT — 0.3%    
   Shares      
State Street Institutional U.S. Government Money Market Fund, Institutional Class, 3.620%, (H)          
(Cost $8,399,235)   8,399,235   $8,399,235 
Total Short-Term Investment          
(Cost $8,399,235)        8,399,235 
Total Investments in Securities— 98.4%          
(Cost $2,546,559,409)       $2,511,570,318 

 

Percentages are based on Net Assets of $2,552,359,873.


A list of the open futures contracts held by the Fund at January 31, 2026, is as follows:

 

Type of Contract  Number of
Contracts
   Expiration
Date
  Notional Amount   Value   Unrealized
Appreciation/
(Depreciation)
 
Long Contracts
U.S. 5-Year Treasury Note   807   Mar-2026  $88,342,710   $87,906,258   $(436,452)
U.S. Ultra Long Treasury Bond   29   Mar-2026   3,475,380    3,405,687    (69,693)
           $91,818,090   $91,311,945   $(506,145)

 

 

CATHOLIC RESPONSIBLE INVESTMENTS BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

Real Estate Investment Trust.
(A) Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.
(B) Securities sold within the terms of a private placement memorandum, exempt from registration under section 144A of the Securities Act of 1933, as amended, and maybe sold only to dealers in the program or other "accredited investors". The total value of these securities at January 31, 2026 was $528,074,552 and represented 20.7% of Net Assets.
(C) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $8,219,207.
(D) Perpetual security with no stated maturity date.
(E) Step coupon security. Coupon rate will either increase (step-up bond) or decrease (step-down bond) at regular intervals until maturity. Interest rate shown reflects the rate currently in effect.
(F) Zero coupon security.
(G) No interest rate available.
(H) This security was purchased with cash collateral received from securities lending. The total was of such securities as of January 31, 2026, was $8,399,235.

 

Cl — Class

CLO — Collateralized Loan Obligation

DAC — Designated Activity Company
FHLMC — Federal Home Loan Mortgage Corporation
FNMA — Federal National Mortgage Association
GNMA — Government National Mortgage Association
GO — General Obligation
H15T1Y — US Treasury Yield Curve Rate T Note Constant Maturity 1 Year
H15T5Y — US Treasury Yield Curve Rate T Note Constant Maturity 5 Year
MTN — Medium Term Note
PJSC — Public Joint-Stock Company
REMIC — Real Estate Mortgage Investment Conduit

RFUCCT1Y — Refinitiv USD IBOR Consumer Cash Fallbacks Term 1 Year

RB — Revenue Bond

Ser — Series

SOFR — Secured Overnight Financing Rate

SOFR30A — Secured Overnight Financing Rate 30-day Average

SOFRINDX — Secured Overnight Financing Rate Index
TSFR1M — Term Secured Overnight Financing Rate 1 Month
TSFR3M — Term Secured Overnight Financing Rate 3 Month
TSFR12M — Term Secured Overnight Financing Rate 12 Month
USBMMY3M — U.S. Treasury 3 Month Bill Money Market Yield
USD — U.S. Dollar
USISDA05 — US Mid-Market Swap Rate 5 Year

 

CRI-QH-001-0900


 

 

CATHOLIC RESPONSIBLE INVESTMENTS OPPORTUNISTIC BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

SCHEDULE OF INVESTMENTS       
U.S. TREASURY OBLIGATIONS — 32.7%    
  

Face

Amount 

   Value 
U.S. Treasury Notes        
3.838%, USBMMY3M + 0.205%, 10/31/26(A)  $27,700,000   $27,728,651‌ 
3.823%, USBMMY3M + 0.190%, 10/31/27(A)   42,490,000    42,562,038‌ 
3.793%, USBMMY3M + 0.160%, 04/30/27(A)   42,520,000    42,573,304‌ 
3.792%, USBMMY3M + 0.159%, 07/31/27(A)   42,520,000    42,570,570‌ 
3.750%, 01/31/31   43,050,000    42,959,191‌ 
3.625%, 10/31/30   31,880,000    31,653,353‌ 
3.625%, 12/31/30   13,205,000    13,104,931‌ 
           
Total U.S. Treasury Obligations          
(Cost $243,209,879)        243,152,038 
           
CORPORATE OBLIGATIONS — 22.3% 
           
COMMUNICATION SERVICES — 0.6% 
Alphabet          
1.100%, 08/15/30  2,500,000‌   $2,205,490‌ 
Charter Communications Operating          
6.100%, 06/01/29   810,000‌    846,271‌ 
4.200%, 03/15/28   310,000‌    308,898‌ 
Verizon Communications          
1.500%, 09/18/30   1,000,000‌    883,516‌ 
         4,244,175‌ 
CONSUMER DISCRETIONARY — 0.4% 
Ford Motor Credit          
5.303%, 09/06/29   560,000‌    567,380‌ 
General Motors Financial          
3.600%, 06/21/30   1,625,000‌    1,568,055‌ 
YMCA of Greater New York          
5.184%, 08/01/30   500,000‌    501,884‌ 
         2,637,319‌ 
CONSUMER STAPLES — 0.1%          
Coty          
6.625%, 07/15/30(B)   525,000‌    538,236‌ 
           
ENERGY — 0.3%          
Expand Energy          
5.375%, 03/15/30   620,000‌    631,117‌ 
Patterson-UTI Energy          
3.950%, 02/01/28   1,525,000‌    1,510,426‌ 
         2,141,543‌ 
CORPORATE OBLIGATIONS — continued     
  

Face

 Amount

   Value 
FINANCIALS — 15.9%          
African Development Bank          
5.750%, H15T5Y + 1.575%(A)(C)  $1,000,000‌   $998,192‌ 
Aircastle          
5.000%, 09/15/30(B)   1,735,000‌    1,758,422‌ 
American Express          
3.550%, H15T5Y + 2.854%(A)(C)   360,000‌    356,238‌ 
Andina de Fomento MTN          
4.251%, 02/03/31   1,000,000‌    1,000,000‌ 
Anglo American Capital          
3.875%, 03/16/29(B)   200,000‌    197,559‌ 
2.625%, 09/10/30(B)   200,000‌    184,474‌ 
Arab Energy Fund          
1.483%, 10/06/26   500,000‌    491,791‌ 
Arab Petroleum Investments          
5.428%, 05/02/29(B)   1,000,000‌    1,034,223‌ 
Ares Capital          
7.000%, 01/15/27   240,000‌    246,430‌ 
2.875%, 06/15/28   650,000‌    623,811‌ 
Ares Strategic Income Fund          
5.700%, 03/15/28   2,105,000‌    2,133,283‌ 
Asian Development Bank MTN          
1.750%, 08/14/26   750,000‌    742,146‌ 
Athene Global Funding          
5.583%, 01/09/29(B)   2,485,000‌    2,558,991‌ 
Avolon Holdings Funding          
5.375%, 05/30/30(B)   3,925,000‌    4,030,085‌ 
Barclays          
5.690%, SOFRRATE + 1.740%, 03/12/30(A)   1,910,000‌    1,988,873‌ 
5.674%, SOFRRATE + 1.490%, 03/12/28(A)   760,000‌    772,995‌ 
Blue Owl Capital          
2.875%, 06/11/28   810,000‌    767,666‌ 
Blue Owl Credit Income          
7.750%, 01/15/29   955,000‌    1,012,174‌ 
BNP Paribas          
5.176%, SOFRRATE + 1.520%, 01/09/30(A)(B)   2,390,000‌    2,449,892‌ 
Bridge Housing          
3.250%, 07/15/30   250,000‌    235,615‌ 
Central American Bank for Economic Integration          
5.000%, 02/09/26(B)   500,000‌    500,071‌ 
Charles Schwab          
4.000%, H15T5Y + 3.168%(A)(C)   2,560,000‌    2,549,797‌ 
Citibank          
4.876%, SOFRRATE + 0.712%, 11/19/27(A)   2,000,000‌    2,014,240‌ 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS OPPORTUNISTIC BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued     
  

Face

 Amount

   Value 
FINANCIALS — continued          
4.491%, SOFRRATE + 0.712%, 11/19/27(A)  $1,500,000‌    $1,502,987‌ 
Citizens Bank          
4.575%, SOFRRATE + 2.000%, 08/09/28(A)   520,000‌    523,836‌ 
Clearinghouse Community Development Financial Institution          
7.000%, 10/15/30(B)   1,000,000‌    980,875‌ 
Conservation Fund A Nonprofit          
3.474%, 12/15/29   3,000,000‌    2,877,771‌ 
Cooperatieve Rabobank UA          
1.106%, H15T1Y + 0.550%, 02/24/27(A)(B)   3,000,000‌    2,994,589‌ 
Corebridge Financial          
6.875%, H15T5Y + 3.846%, 12/15/52(A)   4,123,000‌    4,234,496‌ 
Credit Agricole Corporate & Investment Bank MTN          
4.570%, 08/25/30   2,000,000‌    1,989,905‌ 
Enel Finance International          
5.125%, 06/26/29(B)   2,000,000‌    2,052,520‌ 
European Investment Bank          
3.250%, 11/15/27   700,000‌    696,245‌ 
2.375%, 05/24/27   1,253,000‌    1,233,847‌ 
Fifth Third Bancorp          
1.707%, SOFRRATE + 0.685%, 11/01/27(A)   503,000‌    494,458‌ 
Foundry JV Holdco          
5.900%, 01/25/33(B)   3,000,000‌    3,149,985‌ 
Goldman Sachs Group          
4.387%, SOFRRATE + 1.510%, 06/15/27(A)   1,000,000‌    1,001,275‌ 
Golub Capital BDC          
2.500%, 08/24/26   1,610,000‌    1,591,586‌ 
HA Sustainable Infrastructure Capital          
8.000%, H15T5Y + 4.301%, 06/01/56(A)   475,000‌    498,207‌ 
Inter-American Development Bank          
3.975%, SOFRINDX + 0.280%, 04/12/27(A)   1,000,000‌    1,000,724‌ 
3.802%, 11/12/30   1,000,000‌    988,082‌ 
International Bank for Reconstruction & Development          
1.123%, 12/12/26(D)   2,500,000‌    2,482,816‌ 
0.000%, 03/31/27(E)   2,500,000‌    2,391,475‌ 
0.000%, 03/31/28(A)(F)   1,000,000‌    983,168‌ 
International Development Association          
4.375%, 11/27/29(B)   2,125,000‌    2,171,727‌ 
CORPORATE OBLIGATIONS — continued     
  

Face

 Amount

   Value 
FINANCIALS — continued          
4.000%, 06/11/30(B)  $450,000‌   $453,101‌ 
0.875%, 04/28/26(B)   1,000,000‌    993,274‌ 
International Finance Facility for Immunisation MTN          
4.125%, 10/29/27   1,000,000‌    1,006,406‌ 
JPMorgan Chase          
6.070%, SOFRRATE + 1.330%, 10/22/27(A)   5,000,000‌    5,078,073‌ 
KEB Hana Bank MTN          
4.299%, SOFRRATE + 0.600%, 10/21/28(A)(B)   425,000‌    426,435‌ 
Kreditanstalt fuer Wiederaufbau          
1.750%, 09/14/29   1,000,000‌    935,671‌ 
Liberty Utilities Finance GP 1          
2.050%, 09/15/30(B)   1,000,000‌    907,059‌ 
LPL Holdings          
5.150%, 06/15/30   3,190,000‌    3,254,521‌ 
M&T Bank MTN          
4.833%, SOFRRATE + 0.930%, 01/16/29(A)   1,000,000‌    1,016,177‌ 
Mars          
4.650%, 04/20/31(B)   1,000,000‌    1,019,653‌ 
National Rural Utilities Cooperative Finance          
1.350%, 03/15/31   789,000‌    680,830‌ 
NHP Foundation          
5.850%, 12/01/28   250,000‌    259,512‌ 
Oaktree Strategic Credit Fund          
8.400%, 11/14/28   1,415,000‌    1,524,661‌ 
Prudential Financial          
5.700%, US0003M + 2.665%, 09/15/48(A)   2,115,000‌    2,142,535‌ 
Repsol E&P Capital Markets US          
5.204%, 09/16/30(B)   1,000,000‌    1,015,355‌ 
4.805%, 09/16/28(B)   1,305,000‌    1,320,185‌ 
Santander Holdings USA          
5.353%, SOFRRATE + 1.940%, 09/06/30(A)   785,000‌    804,983‌ 
South Bow USA Infrastructure Holdings          
5.026%, 10/01/29   1,580,000‌    1,604,454‌ 
Starwood Property Trust          
7.250%, 04/01/29‡(B)   500,000‌    527,270‌ 
6.000%, 04/15/30‡(B)   360,000‌    370,350‌ 
5.250%, 10/15/28‡(B)   180,000‌    180,924‌ 
Toronto-Dominion Bank          
5.146%, H15T5Y + 1.500%, 09/10/34(A)   2,935,000‌    2,983,032‌ 
4.568%, 12/17/26   4,820,000‌    4,852,907‌ 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS OPPORTUNISTIC BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

  

CORPORATE OBLIGATIONS — continued     
  

Face

 Amount

   Value 
FINANCIALS — continued          
Truist Bank          
4.632%, H15T5Y + 1.150%, 09/17/29(A)  $2,000,000‌   $2,011,909‌ 
Truist Financial MTN          
7.161%, SOFRRATE + 2.446%, 10/30/29(A)   1,965,000‌    2,116,187‌ 
1.267%, SOFRRATE + 0.609%, 03/02/27(A)   1,634,000‌    1,630,164‌ 
UBS Group          
5.617%, USISSO01 + 1.340%, 09/13/30(A)(B)   2,000,000‌    2,090,678‌ 
5.125%, H15T5Y + 4.855%(A)(C)   2,140,000‌    2,140,000‌ 
3.875%, H15T5Y + 3.098%(A)(B)(C)(G)   1,590,000‌    1,582,425‌ 
US Bancorp          
5.300%, TSFR3M + 3.176%(A)(C)   985,000‌    985,947‌ 
USAA Capital          
2.125%, 05/01/30(B)   2,500,000‌    2,297,748‌ 
Volkswagen Group of America Finance          
5.350%, 03/27/30(B)   2,165,000‌    2,225,003‌ 
Wells Fargo          
3.900%, H15T5Y + 3.453%(A)(C)   1,160,000‌    1,158,715‌ 
WLB Asset II D Pte          
6.500%, 12/21/26(B)   978,522‌    949,629‌ 
WLB Asset VI Pte          
7.250%, 12/21/27(B)   987,888‌    1,031,716‌ 
WLB Asset VII Pte          
5.880%, 07/30/29(B)   462,500‌    466,035‌ 
         118,531,066‌ 
HEALTH CARE — 0.1%          
CVS Pass-Through Trust          
6.036%, 12/10/28   825,447‌    836,432‌ 
           
INDUSTRIALS — 0.9%          
Aviation Capital Group          
6.375%, 07/15/30(B)   1,300,000‌    1,387,016‌ 
Mileage Plan IP          
5.021%, 10/20/29(B)   3,205,000‌    3,241,718‌ 
Norfolk Southern          
2.300%, 05/15/31   2,500,000‌    2,264,919‌ 
         6,893,653‌ 
INFORMATION TECHNOLOGY — 0.6% 
Apple          
3.000%, 06/20/27   1,415,000‌    1,404,024‌ 
Arrow Electronics          
5.150%, 08/21/29   1,900,000‌    1,944,149‌ 
CORPORATE OBLIGATIONS — continued     
  

Face

 Amount

   Value 
INFORMATION TECHNOLOGY — continued 
Oracle          
2.875%, 03/25/31  $1,000,000‌   $898,655‌ 
         4,246,828‌ 
MATERIALS — 0.5%          
Alcoa Nederland Holding BV          
7.125%, 03/15/31(B)   685,000‌    724,563‌ 
Freeport-McMoRan          
5.250%, 09/01/29   810,000‌    822,644‌ 
LD Celulose International GmbH          
7.950%, 01/26/32(B)   200,000‌    210,679‌ 
Smurfit Kappa Treasury ULC          
5.200%, 01/15/30   2,250,000‌    2,316,848‌ 
         4,074,734‌ 
REAL ESTATE — 0.1%          
ERP Operating          
4.150%, 12/01/28‡   1,000,000‌    1,004,603‌ 
           
UTILITIES — 2.8%          
Avangrid          
3.800%, 06/01/29   2,000,000‌    1,974,089‌ 
California Buyer          
6.375%, 02/15/32(B)   675,000‌    673,151‌ 
CenterPoint Energy          
7.000%, H15T5Y + 3.254%, 02/15/55(A)   1,500,000‌    1,572,640‌ 
Comision Federal de Electricidad          
5.700%, 01/24/30(B)   525,000‌    534,581‌ 
Consumers 2023 Securitization Funding          
5.550%, 03/01/28   430,798‌    434,723‌ 
Continental Wind          
6.000%, 02/28/33(B)   846,145‌    873,116‌ 
Hanwha Futureproof          
4.750%, 04/30/28(B)   500,000‌    508,148‌ 
MidAmerican Energy          
3.650%, 04/15/29   1,000,000‌    989,902‌ 
New York State Electric & Gas          
2.150%, 10/01/31(B)   1,000,000‌    881,670‌ 
NextEra Energy Capital Holdings          
6.700%, H15T5Y + 2.364%, 09/01/54(A)   3,008,000‌    3,105,634‌ 
PG&E Recovery Funding          
4.838%, 06/01/33   2,169,718‌    2,212,396‌ 
San Diego Gas & Electric          
4.950%, 08/15/28   1,000,000‌    1,024,923‌ 
Sempra          
6.625%, H15T5Y + 2.354%, 04/01/55(A)   2,029,000‌    2,058,228‌ 
Solar Star Funding          
5.375%, 06/30/35(B)   1,556,077‌    1,580,420‌ 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS OPPORTUNISTIC BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

CORPORATE OBLIGATIONS — continued     
  

Face

 Amount

   Value 
UTILITIES — continued        
3.950%, 06/30/35(B)  $606,661‌   $578,175 
XPLR Infrastructure Operating Partners          
7.750%, 04/15/34(B)   285,000‌    290,413‌ 
7.250%, 01/15/29(B)   1,016,000‌    1,048,347‌ 
         20,340,556‌ 
Total Corporate Obligations          
(Cost $163,326,985)        165,489,145 
           
ASSET-BACKED SECURITIES — 19.9%      
           
Automotive — 9.3%          
American Credit Acceptance Receivables Trust, Ser 2023-1, Cl D          
6.350%, 04/12/29 (B)  2,213,955‌   $2,236,860‌ 
American Credit Acceptance Receivables Trust, Ser 2023-3, Cl D          
6.820%, 10/12/29 (B)   1,450,000‌    1,483,480‌ 
American Credit Acceptance Receivables Trust, Ser 2024-1, Cl D          
5.860%, 05/13/30 (B)   1,630,000‌    1,650,226‌ 
American Credit Acceptance Receivables Trust, Ser 2025-4, Cl D          
5.250%, 09/12/31 (B)   1,515,000‌    1,523,673‌ 
American Credit Acceptance Receivables Trust, Ser 2026-1, Cl D          
5.100%, 01/12/33 (B)   935,000‌    935,518‌ 
Bridgecrest Lending Auto Securitization Trust, Ser 2025-2, Cl D          
5.620%, 03/17/31   3,055,000‌    3,111,220‌ 
Carvana Auto Receivables Trust, Ser 2021-N2, Cl C          
1.070%, 03/10/28   89,283‌    87,500‌ 
Consumer Portfolio Services Auto Trust, Ser 2025-A, Cl D          
5.660%, 04/15/31 (B)   3,520,000‌    3,582,787‌ 
CPS Auto Receivables Trust, Ser 2022-C, Cl D          
6.450%, 04/15/30 (B)   454,074‌    458,576‌ 
CPS Auto Receivables Trust, Ser 2023-A, Cl D          
6.440%, 04/16/29 (B)   1,800,000‌    1,829,136‌ 
CPS Auto Receivables Trust, Ser 2023-B, Cl D          
6.340%, 07/16/29 (B)   1,955,000‌    2,002,637‌ 
ASSET-BACKED SECURITIES — continued 
  

Face

Amount 

   Value 
CPS Auto Receivables Trust, Ser 2023-D, Cl D          
7.800%, 01/15/30 (B)  $3,555,000   $3,714,404‌ 
CPS Auto Receivables Trust, Ser 2026-A, Cl D          
4.980%, 06/15/32 (B)   2,175,000‌    2,179,110‌ 
Drive Auto Receivables Trust, Ser 2025-2, Cl D          
4.900%, 12/15/32   1,460,000‌    1,463,103‌ 
Drive Auto Receivables Trust, Ser 2025-S1, Cl R2          
6.260%, 06/16/29 (B)   1,782,445‌    1,795,499‌ 
Exeter Automobile Receivables Trust, Ser 2021-2A, Cl D          
1.400%, 04/15/27   290,343‌    289,750‌ 
Exeter Automobile Receivables Trust, Ser 2021-2A, Cl E          
2.900%, 07/17/28 (B)   1,190,000‌    1,187,911‌ 
Exeter Automobile Receivables Trust, Ser 2022-6A, Cl D          
8.030%, 04/06/29   3,950,000‌    4,060,884‌ 
Exeter Automobile Receivables Trust, Ser 2023-1A, Cl D          
6.690%, 06/15/29   1,611,524‌    1,637,463‌ 
Exeter Automobile Receivables Trust, Ser 2024-1A, Cl D          
5.840%, 06/17/30   1,005,000‌    1,025,374‌ 
Exeter Automobile Receivables Trust, Ser 2024-5A, Cl D          
5.060%, 02/18/31   1,110,000‌    1,118,224‌ 
Exeter Automobile Receivables Trust, Ser 2025-3A, Cl D          
5.570%, 10/15/31   2,040,000‌    2,081,391‌ 
Exeter Automobile Receivables Trust, Ser 2025-5A, Cl D          
5.160%, 03/15/32   3,375,000‌    3,398,384‌ 
Exeter Automobile Receivables Trust, Ser 2026-1A, Cl D          
5.000%, 05/17/32   780,000‌    781,495‌ 
Flagship Credit Auto Trust, Ser 2022-1, Cl D          
3.640%, 03/15/28 (B)   1,000,000‌    971,245‌ 
GLS Auto Receivables Issuer Trust, Ser 2021-1A, Cl E          
3.140%, 01/18/28 (B)   1,212,098‌    1,211,452‌ 
GLS Auto Receivables Issuer Trust, Ser 2022-3A, Cl D          
6.420%, 06/15/28 (B)   439,740‌    443,633‌ 
GLS Auto Receivables Issuer Trust, Ser 2023-2A, Cl D          
6.310%, 03/15/29 (B)   430,000‌    440,299‌ 
GLS Auto Receivables Issuer Trust, Ser 2025-2A, Cl D          
5.590%, 01/15/31 (B)   1,001,000‌    1,017,410‌ 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS OPPORTUNISTIC BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued      
  

Face

Amount 

   Value 
          
GLS Auto Receivables Issuer Trust, Ser 2025-4A, Cl D          
5.130%, 08/15/31 (B)  $1,740,000‌   $1,750,035‌ 
Octane Receivables Trust, Ser 2023-1A, Cl D          
7.760%, 03/20/30 (B)   1,080,000‌    1,117,185‌ 
Octane Receivables Trust, Ser 2023-2A, Cl D          
7.380%, 06/20/31 (B)   3,779,000‌    3,911,404‌ 
Octane Receivables Trust, Ser 2023-3A, Cl D          
7.580%, 09/20/29 (B)   1,000,000‌    1,041,991‌ 
Octane Receivables Trust, Ser 2024-1A, Cl D          
6.430%, 10/21/30 (B)   1,295,000‌    1,330,295‌ 
Octane Receivables Trust, Ser 2024-RPT1, Cl R1          
6.680%, 02/22/30   3,875,000‌    3,910,117‌ 
Santander Drive Auto Receivables Trust, Ser 2025-1, Cl D          
5.430%, 03/17/31   600,000‌    611,894‌ 
Santander Drive Auto Receivables Trust, Ser 2025-4, Cl D          
4.950%, 01/15/32   400,000‌    401,528‌ 
Tesla Auto Lease Trust, Ser 2024-A, Cl A3          
5.300%, 06/21/27 (B)   500,805‌    502,165‌ 
Tesla Auto Lease Trust, Ser 2024-B, Cl A2A          
4.790%, 01/20/27 (B)   88,213‌    88,251‌ 
Tesla Auto Lease Trust, Ser 2024-B, Cl A3          
4.820%, 10/20/27 (B)   1,000,000‌    1,003,521‌ 
Tesla Electric Vehicle Trust, Ser 2023-1, Cl A3          
5.380%, 06/20/28 (B)   516,882‌    521,809‌ 
Tesla Sustainable Energy Trust, Ser 2024-1A, Cl A3          
5.290%, 06/20/50 (B)   865,000‌    865,577‌ 
Westlake Automobile Receivables Trust, Ser 2024-1A, Cl D          
6.020%, 10/15/29 (B)   1,685,000‌    1,729,854‌ 
Westlake Automobile Receivables Trust, Ser 2025-1A, Cl D          
5.540%, 11/15/30 (B)   1,435,000‌    1,463,274‌ 
Westlake Automobile Receivables Trust, Ser 2026-1A, Cl D          
4.750%, 07/15/31 (B)   1,175,000‌    1,176,696‌ 
         69,144,240‌ 
ASSET-BACKED SECURITIES — continued 
  

Face

 Amount

   Value 
Other Asset-Backed Securities — 10.6%      
Affirm Asset Securitization Trust, Ser 2024-X2, Cl D          
6.080%, 12/17/29 (B)  $710,000‌   $714,211‌ 
Affirm Asset Securitization Trust, Ser 2025-X1, Cl D          
6.110%, 04/15/30 (B)   1,215,000‌    1,225,469‌ 
AGL CLO 11, Ser 2025-11A, Cl CR          
5.622%, TSFR3M + 1.950%, 10/15/38 (A)(B)   1,655,000‌    1,662,105‌ 
AGL CLO 13, Ser 2025-13A, Cl CR          
5.468%, TSFR3M + 1.800%, 10/20/34 (A)(B)   1,765,000‌    1,765,253‌ 
AGL CLO 16, Ser 2025-16A, Cl DR          
6.068%, TSFR3M + 2.400%, 01/20/35 (A)(B)   3,100,000‌    3,072,915‌ 
Antares CLO 2023-1, Ser 2025-1A, Cl A2R          
5.368%, TSFR3M + 1.700%, 07/25/37 (A)(B)   2,795,000‌    2,811,580‌ 
Barings Private Credit CLO, Ser 2024-1A, Cl A1AR          
5.302%, TSFR3M + 1.630%, 10/15/36 (A)(B)   3,255,000‌    3,263,935‌ 
CIFC Funding, Ser 2025-3A, Cl CR2          
5.471%, TSFR3M + 1.800%, 01/16/38 (A)(B)   895,000‌    895,566‌ 
CLI Funding VI, Ser 2020-1A, Cl A          
2.080%, 09/18/45 (B)   923,426‌    872,911‌ 
Commonbond Student Loan Trust, Ser 2021-AGS, Cl B          
1.400%, 03/25/52 (B)   362,818‌    278,941‌ 
Consumer Portfolio Services Auto Trust, Ser 2025-B, Cl D          
5.560%, 07/15/31 (B)   2,940,000‌    2,985,741‌ 
Consumer Portfolio Services Auto Trust, Ser 2025-D, Cl D          
5.450%, 02/17/32 (B)   1,035,000‌    1,049,365‌ 
EnFin Residential Solar Receivables Trust, Ser 2024-2A, Cl A          
5.980%, 09/20/55 (B)   1,774,116‌    1,687,362‌ 
Foundation Finance Trust, Ser 2021-1A, Cl D          
4.960%, 05/15/41 (B)   690,656‌    686,468‌ 
Foundation Finance Trust, Ser 2023-2A, Cl C          
7.310%, 06/15/49 (B)   1,254,350‌    1,307,740‌ 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS OPPORTUNISTIC BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued 
  

Face

Amount

   Value 
Foundation Finance Trust, Ser 2025-3A, Cl D          
5.710%, 08/15/52 (B)  $2,290,000‌   $2,300,379‌ 
Golub Capital Partners Clo 45M, Ser 2024-45A, Cl A1R          
5.288%, TSFR3M + 1.620%, 07/20/37 (A)(B)   3,400,000‌    3,405,161‌ 
Golub Capital Partners Clo 47M, Ser 2024-47A, Cl A1AR          
5.521%, TSFR3M + 1.620%, 08/05/37 (A)(B)   1,385,000‌    1,386,658‌ 
Golub Capital Partners CLO, Ser 2025-78A, Cl C          
5.670%, TSFR3M + 2.000%, 04/21/39 (A)(B)   1,230,000‌    1,215,335‌ 
Guggenheim MM CLO, Ser 2021-3A, Cl A          
5.481%, TSFR3M + 1.812%, 01/21/34 (A)(B)   3,060,000‌    3,069,584‌ 
Hardee's Funding, Ser 2021-1A, Cl A2          
2.865%, 06/20/51 (B)   1,313,125‌    1,230,707‌ 
Home Equity Loan Trust, Ser 2006-HSA2, Cl AI3          
4.444%, 03/25/36 (A)   40,889‌    709‌ 
Hotwire Funding, Ser 2024-1A, Cl A2          
5.893%, 06/20/54 (B)   500,000‌    507,998‌ 
Jersey Mike's Funding, Ser 2019-1A, Cl A2          
4.433%, 02/15/50 (B)   1,621,125‌    1,621,871‌ 
Madison Park Funding XXXVI, Ser 2025-36A, Cl D1RR          
6.222%, TSFR3M + 2.550%, 04/15/35 (A)(B)   6,000,000‌    5,931,966‌ 
MetroNet Infrastructure Issuer, Ser 2025-2A, Cl A2          
5.400%, 08/20/55 (B)   1,935,000‌    1,963,935‌ 
Mosaic Solar Loan Trust, Ser 2022-1A, Cl B          
3.160%, 01/20/53 (B)   940,638‌    663,058‌ 
Mosaic Solar Loan Trust, Ser 2023-2A, Cl C          
8.180%, 09/22/53 (B)   1,000,000‌    211,105‌ 
MVW Owner Trust, Ser 2024-1A, Cl C          
6.200%, 02/20/43 (B)   634,239‌    648,417‌ 
MVW Owner Trust, Ser 2024-2A, Cl C          
4.920%, 03/20/42 (B)   472,361‌    471,602‌ 
ASSET-BACKED SECURITIES — continued      
  

Face

Amount

   Value 
Neuberger Berman Loan Advisers CLO 35, Ser 2025-35A, Cl DR          
6.818%, TSFR3M + 3.150%, 01/19/33 (A)(B)  $3,200,000‌   $3,200,419‌ 
Octagon Investment Partners 26, Ser 2018-1A, Cl CR          
5.734%, TSFR3M + 2.062%, 07/15/30 (A)(B)   1,000,000‌    1,001,251‌ 
Pagaya AI Debt Grantor Trust And Pagaya AI Debt Trust, Ser 2024-6, Cl C          
7.068%, 11/15/31 (B)   1,054,383‌    1,059,976‌ 
Pagaya AI Debt Grantor Trust, Ser 2024-11, Cl D          
6.307%, 07/15/32 (B)   729,710‌    736,260‌ 
Pagaya AI Debt Grantor Trust, Ser 2024-9, Cl D          
6.174%, 03/15/32 (B)   956,669‌    961,709‌ 
Pagaya AI Debt Grantor Trust, Ser 2025-3, Cl D          
6.988%, 12/15/32 (B)   959,805‌    973,253‌ 
Pagaya AI Debt Grantor Trust, Ser 2025-5, Cl D          
5.865%, 03/15/33 (B)   719,972‌    722,974‌ 
Pagaya AI Debt Grantor Trust, Ser 2025-R2, Cl D          
5.802%, 10/15/32 (B)   1,635,222‌    1,639,935‌ 
Pagaya AI Debt Grantor Trust, Ser 2025-R3, Cl D          
5.655%, 01/18/33 (B)   2,990,000‌    2,991,280‌ 
Pagaya AI Debt Trust, Ser 2024-10, Cl D          
6.429%, 06/15/32 (B)   853,018‌    860,628‌ 
Pagaya AI Debt Trust, Ser 2024-3, Cl C          
7.297%, 10/15/31 (B)   912,596‌    915,329‌ 
Pagaya AI Debt Trust, Ser 2025-1, Cl D          
6.282%, 07/15/32 (B)   724,737‌    730,307‌ 
Pagaya AI Debt Trust, Ser 2025-4, Cl D          
6.572%, 01/17/33 (B)   1,119,960‌    1,129,355‌ 
Pagaya Point of Sale Holdings Grantor Trust, Ser 2025-1, Cl D          
6.739%, 01/20/34 (B)   760,000‌    766,581‌ 
ServiceMaster Funding, Ser 2020-1, Cl A2I          
2.841%, 01/30/51 (B)   937,960‌    894,581‌ 
Sierra Timeshare Receivables Funding, Ser 2025-3A, Cl C          
4.980%, 08/22/44 (B)   1,157,845‌    1,156,350‌ 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS OPPORTUNISTIC BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

ASSET-BACKED SECURITIES — continued    
 

Face

Amount

   Value 
SoFi Consumer Loan Program Trust 2026-1, Ser 2026-1, Cl D        
5.060%, 12/26/35 (B)  $2,175,000‌   $2,182,076 
SoFi Consumer Loan Program Trust, Ser 2025-4, Cl D          
5.270%, 08/25/35 (B)   2,345,000‌    2,365,597‌ 
Sunnova Helios XI Issuer, Ser 2023-A, Cl A          
5.300%, 05/20/50 (B)   859,067‌    782,016‌ 
Sunnova Helios XII Issuer, Ser 2023-B, Cl A          
5.300%, 08/22/50 (B)   840,081‌    775,139‌ 
Sunrun Neptune Issuer, Ser 2024-1A, Cl A          
6.270%, 02/01/55 (B)   1,274,414‌    1,247,169‌ 
Switch ABS Issuer, Ser 2025-2A, Cl A21          
5.121%, 10/25/55 (B)   1,090,000‌    1,087,026‌ 
Trinity Rail Leasing, Ser 2025-1A, Cl A          
5.090%, 10/19/55 (B)   247,851‌    245,708‌ 
Vivint Solar Financing V, Ser 2018-1A, Cl B          
7.370%, 04/30/48 (B)   109,696‌    107,364‌ 
Westgate Resorts, Ser 2023-1A, Cl C          
7.490%, 12/20/37 (B)   995,865‌    1,016,625‌ 
         78,456,955‌ 
Total Asset-Backed Securities          
(Cost $147,744,706)        147,601,195 
           
MORTGAGE-BACKED SECURITIES — 19.2% 
           
Agency Mortgage-Backed Obligations — 6.7% 
FHLMC Multiclass Certificates,
Ser 2024-P016, Cl A2
 
4.615%, 09/25/33 (A)  $2,500,000‌   $2,533,744‌ 
FNMA          
5.136%, 07/01/29 (A)   1,000,000‌    1,018,566‌ 
GNMA          
6.000%, 12/20/54   2,858,304‌    2,929,565‌ 
6.000%, 09/20/54   5,962,577‌    6,111,233‌ 
6.000%, 07/20/54   6,427,202‌    6,587,439‌ 
6.000%, 06/20/54   2,690,522‌    2,757,600‌ 
6.000%, 05/20/54   3,034,951‌    3,110,616‌ 
6.000%, 04/20/54   4,922,586‌    5,048,438‌ 
6.000%, 02/20/54   1,891,484‌    1,941,938‌ 
6.000%, 12/20/53   3,936,330‌    4,038,651‌ 
6.000%, 11/20/53   4,789,622‌    4,938,117‌ 
6.000%, 10/20/53   3,970,493‌    4,069,482‌ 
5.500%, 09/20/54   458,581‌    465,326‌ 
5.000%, 02/20/53   522,599‌    525,453‌ 
5.000%, 11/20/52   674,119‌    678,719‌ 
MORTGAGE-BACKED SECURITIES — continued 
  

Face

 Amount

   Value 
4.500%, 12/20/52  $746,067‌   $734,165‌ 
4.500%, 10/20/52   349,957‌    344,590‌ 
4.500%, 08/20/52   308,418‌    303,640‌ 
4.000%, 09/20/52   835,169‌    798,456‌ 
3.500%, 12/20/52   199,321‌    184,375‌ 
3.500%, 04/20/52   524,926‌    485,970‌ 
3.000%, 12/20/51   409,247‌    370,441‌ 
         49,976,524‌ 
Non-Agency Mortgage-Backed Obligations — 12.5%
Aventura Mall Trust, Ser AVM, Cl D          
4.112%, 07/05/40 (A)(B)  1,200,000‌   1,168,694‌ 
BBCMS Mortgage Trust, Ser 2018-TALL, Cl A          
4.600%, TSFR1M + 0.919%, 03/15/37 (A)(B)   1,670,000‌    1,594,930‌ 
BBCMS Mortgage Trust, Ser 2018-TALL, Cl C          
4.999%, TSFR1M + 1.318%, 03/15/37 (A)(B)   2,400,000‌    2,172,235‌ 
BBCMS Mortgage Trust, Ser 2024-5C25, Cl C          
6.643%, 03/15/57 (A)   925,000‌    954,228‌ 
BBCMS Mortgage Trust, Ser CHRS, Cl D          
4.267%, 08/05/38 (A)(B)   1,500,000‌    1,353,202‌ 
BBCMS Mortgage Trust, Ser TALL, Cl D          
5.327%, TSFR1M + 1.646%, 03/15/37 (A)(B)   1,000,000‌    890,112‌ 
BBCMS Trust, Ser SRCH, Cl B          
4.498%, 08/10/35 (B)   1,000,000‌    974,434‌ 
Benchmark Mortgage Trust, Ser V13, Cl C          
5.908%, 02/15/58 (A)   1,750,000‌    1,760,030‌ 
Benchmark Mortgage Trust, Ser V15, Cl C          
6.268%, 06/15/58   410,000‌    420,865‌ 
Benchmark Mortgage Trust, Ser V6, Cl D          
4.000%, 03/15/57   1,200,000‌    1,086,513‌ 
BMO Mortgage Trust, Ser 2023-C7, Cl C          
7.123%, 12/15/56 (A)   250,000‌    262,488‌ 
BMO Mortgage Trust, Ser 5C5, Cl D          
4.500%, 02/15/57 (B)   1,400,000‌    1,254,740‌ 
BMO Mortgage Trust, Ser 5C8, Cl D          
4.500%, 12/15/57 (B)   1,200,000‌    1,083,876‌ 
BPR Trust, Ser 2023-BRK2, Cl A          
6.899%, 10/05/38 (A)(B)   2,100,000‌    2,184,244‌ 
BPR Trust, Ser 2023-BRK2, Cl C          
8.335%, 10/05/38 (A)(B)   1,500,000‌    1,552,734‌ 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS OPPORTUNISTIC BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MORTGAGE-BACKED SECURITIES — continued 
  

Face 

Amount 

   Value 
BRCK Trust, Ser 830B, Cl B          
5.357%, 12/10/42 (A)(B)  $600,000‌   $605,539‌ 
BRCK Trust, Ser 830B, Cl C          
5.658%, 12/10/42 (A)(B)   600,000‌    607,512‌ 
BRCK Trust, Ser 830B, Cl D          
6.409%, 12/10/42 (A)(B)   1,500,000‌    1,527,717‌ 
BX Commercial Mortgage Trust, Ser 2022-AHP, Cl AS          
5.170%, TSFR1M + 1.490%, 01/17/39 (A)(B)   2,500,000‌    2,499,219‌ 
BX Trust, Ser 2022-CLS, Cl B          
6.300%, 10/13/27 (B)   2,200,000‌    2,214,867‌ 
Cantor Commercial Real Estate Lending, Ser 2019-CF2, Cl E          
2.500%, 11/15/52 (B)   2,000,000‌    1,433,203‌ 
Century Plaza Towers, Ser 2019-CPT, Cl A          
2.865%, 11/13/39 (B)   530,000‌    490,957‌ 
Century Plaza Towers, Ser 2019-CPT, Cl B          
2.997%, 11/13/39 (A)(B)   1,000,000‌    916,320‌ 
CFCRE Commercial Mortgage Trust, Ser 2016-C6, Cl AM          
3.502%, 11/10/49 (A)   3,005,000‌    2,934,216‌ 
CHI Commercial Mortgage Trust, Ser 110W, Cl A          
5.102%, 12/13/40 (A)(B)   1,100,000‌    1,110,858‌ 
CHI Commercial Mortgage Trust, Ser SFT, Cl A          
5.665%, 04/15/42 (A)(B)   500,000‌    513,070‌ 
CHI Commercial Mortgage Trust, Ser SFT, Cl XA, IO          
0.310%, 04/15/42 (A)(B)   1,975,000‌    17,437‌ 
CHNGE Mortgage Trust, Ser 2022-NQM1, Cl A3          
5.820%, 06/25/67 (B)(D)   682,283‌    680,181‌ 
Citigroup Commercial Mortgage Trust, Ser 2016-P6, Cl AS          
4.032%, 12/10/49 (A)   1,400,000‌    1,342,910‌ 
COMM Mortgage Trust, Ser 2022-HC, Cl A          
2.819%, 01/10/39 (B)   386,000‌    373,568‌ 
COMM Mortgage Trust, Ser 2022-HC, Cl C          
3.376%, 01/10/39 (B)   500,000‌    475,161‌ 
CSAIL Commercial Mortgage Trust, Ser C20, Cl C          
3.706%, 03/15/54 (A)   1,200,000‌    1,024,468‌ 
CSMC OA, Ser 2014-USA, Cl A2          
3.953%, 09/15/37 (B)   1,000,000‌    920,202‌ 
DLIC Re-REMIC Trust, Ser FRR1, Cl CK57          
1.268%, 08/27/49 (A)(B)   1,565,000‌    1,525,561‌ 
MORTGAGE-BACKED SECURITIES — continued 
  

Face 

Amount 

   Value 
Fashion Show Mall, Ser SHOW, Cl C        
6.276%, 10/10/41 (A)(B)  $2,300,000‌   $2,311,783 
FHLMC Multifamily ML Certificates, Ser 2023-ML18, Cl XCA, IO          
1.439%, 09/25/37 (A)   22,951,983    2,401,232‌ 
FIVE Mortgage Trust, Ser 2023-V1, Cl C          
6.348%, 02/10/56 (A)   2,223,000‌    2,243,778‌ 
FIVE Mortgage Trust, Ser V1, Cl D          
6.348%, 02/10/56 (A)(B)   384,000‌    368,995‌ 
GAM RE-REMIC Trust, Ser 2021-FRR2, Cl AK74, PO          
0.000%, 09/27/51 (B)   1,500,000‌    1,342,171‌ 
Hudson Yards Mortgage Trust, Ser 2016-10HY, Cl A          
2.835%, 08/10/38 (B)   1,000,000‌    990,998‌ 
Hudson Yards Mortgage Trust, Ser 2019-55HY, Cl D          
2.943%, 12/10/41 (A)(B)   1,500,000‌    1,362,159‌ 
Hudson Yards Mortgage Trust, Ser SPRL, Cl D          
6.340%, 01/13/40 (A)(B)   2,000,000‌    2,087,051‌ 
JPMBB Commercial Mortgage Securities Trust, Ser 2015-C28, Cl C          
4.283%, 10/15/48 (A)   276,063‌    271,936‌ 
JPMDB Commercial Mortgage Securities Trust, Ser 2017-C5, Cl AS          
3.858%, 03/15/50 (A)   2,340,000‌    2,149,695‌ 
Life Mortgage Trust, Ser 2021-BMR, Cl C          
4.895%, TSFR1M + 1.214%, 03/15/38 (A)(B)   80,100‌    79,699‌ 
MAD Commercial Mortgage Trust, Ser 11MD, Cl C          
5.818%, 10/15/42 (A)(B)   2,730,000‌    2,752,373‌ 
Morgan Stanley Capital I Trust, Ser 2018-L1, Cl C          
4.800%, 10/15/51 (A)   2,455,000‌    2,269,825‌ 
MSWF Commercial Mortgage Trust, Ser 1, Cl D          
4.000%, 05/15/56 (B)   1,550,000‌    1,256,331‌ 
NJ Trust, Ser GSP, Cl A          
6.481%, 01/06/29 (A)(B)   1,500,000‌    1,575,125‌ 
NYMT Loan Trust Series, Ser 2024-BPL2, Cl A1          
6.509%, 05/25/39 (B)(D)   1,580,000‌    1,595,483‌ 
One Bryant Park Trust, Ser 2019-OBP, Cl A          
2.516%, 09/15/54 (B)   1,000,000‌    931,851‌ 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS OPPORTUNISTIC BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MORTGAGE-BACKED SECURITIES — continued 
  

Face 

Amount 

   Value 
OWS Real Estate Finance, Ser MARG2, Cl A          
7.750%, TSFR1M + 4.000%, 08/15/34 (A)(B)  $2,310,000‌   $2,312,685‌ 
RFM Reremic Trust, Ser FRR1, Cl AK55, PO          
0.000%, 03/28/49 (B)   1,640,000‌    1,623,359‌ 
RFM Reremic Trust, Ser FRR1, Cl AK64          
2.761%, 03/01/50 (A)(B)   2,100,000‌    2,027,038‌ 
RIDE Trust, Ser SHRE, Cl D          
6.972%, 02/14/47 (A)(B)   1,310,000‌    1,348,305‌ 
SFAVE Commercial Mortgage Securities Trust, Ser 2015-5AVE, Cl A1          
3.872%, 01/05/43 (A)(B)   802,500‌    700,037‌ 
SFAVE Commercial Mortgage Securities Trust, Ser 2015-5AVE, Cl A2B          
4.144%, 01/05/43 (A)(B)   1,500,000‌    1,322,661‌ 
STWD Mortgage Trust, Ser 2021-LIH, Cl AS          
5.052%, TSFR1M + 1.371%, 11/15/36 (A)(B)   715,000‌    713,212‌ 
STWD Mortgage Trust, Ser 2021-LIH, Cl D          
6.100%, TSFR1M + 2.419%, 11/15/36 (A)(B)   450,000‌    449,156‌ 
SUMIT Mortgage Trust, Ser 2022-BVUE, Cl A          
2.789%, 02/12/41 (B)   660,000‌    599,297‌ 
UBS Commercial Mortgage Trust, Ser 2017-C3, Cl C          
4.355%, 08/15/50 (A)   1,500,000‌    1,411,252‌ 
Verus Securitization Trust, Ser 2021-1, Cl A1          
0.815%, 01/25/66 (A)(B)   507,394‌    465,039‌ 
Verus Securitization Trust, Ser 2025-12, Cl M1          
5.760%, 12/25/70 (A)(B)   1,000,000‌    1,003,951‌ 
Verus Securitization Trust, Ser 2025-3, Cl A3          
5.928%, 05/25/70 (B)(D)   1,542,336‌    1,559,833‌ 
Verus Securitization Trust, Ser 2026-1, Cl A3          
5.218%, 01/25/71 (B)(D)   660,000‌    661,750‌ 
Verus Securitization Trust, Ser 2026-1, Cl M1          
5.670%, 01/25/71 (A)(B)   1,660,000‌    1,664,161‌ 
Wells Fargo Commercial Mortgage Trust, Ser 2016-C35, Cl C          
4.176%, 07/15/48 (A)   2,000,000‌    1,976,684‌ 
MORTGAGE-BACKED SECURITIES — continued 
  

Face 

Amount 

   Value 
Wells Fargo Commercial Mortgage Trust, Ser 2019-C49, Cl D        
3.000%, 03/15/52 (B)  $1,500,000‌   $1,244,141 
Wells Fargo Commercial Mortgage Trust, Ser 2024-SVEN, Cl A          
6.011%, 06/10/37 (B)   1,500,000‌    1,552,256‌ 
Wells Fargo Commercial Mortgage Trust, Ser 609M, Cl A          
5.223%, TSFR1M + 1.542%, 08/15/42 (A)(B)   500,000‌    501,250‌ 
Wells Fargo Commercial Mortgage Trust, Ser C34, Cl B          
4.089%, 06/15/49   1,225,000‌    1,205,780‌ 
Wells Fargo Commercial Mortgage Trust, Ser C34, Cl C          
5.055%, 06/15/49 (A)   3,000,000‌    2,802,932‌ 
         93,061,555‌ 
Total Mortgage-Backed Securities          
(Cost $139,212,516)        143,038,079 
           
MUNICIPAL BONDS — 2.1%          
           
Alaska — 0.1%          
City of Port Lions Alaska, RB          
7.000%, 10/01/32  $380,000‌   $402,360‌ 
           
Arizona — 0.1%          
Arizona Industrial Development Authority, RB          
4.809%, 10/01/30   500,000‌    506,016‌ 
           
California — 0.7%          
California Community Choice Financing Authority, RB          
6.125%, 04/01/30   1,420,000‌    1,472,363‌ 
5.950%, 08/01/29   825,000‌    842,110‌ 
City & County of San Francisco California, GO          
3.700%, 06/15/26   2,500,000‌    2,501,045‌ 
City of Los Angeles Department of Airports Customer Facility Charge Revenue, RB          
3.258%, 05/15/30   1,000,000‌    969,635‌ 
         5,785,153‌ 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS OPPORTUNISTIC BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

MUNICIPAL BONDS — continued        
  

Face

Amount

   Value 
Hawaii — 0.1%        
State of Hawaii Department of Business Economic Development & Tourism, Ser A-2, RB          
3.242%, 01/01/31  $562,108‌   $553,389‌ 
           
Illinois — 0.2%          
Village of Deerfield Illinois, Ser B, GO          
4.000%, 12/01/28   1,250,000‌    1,250,037‌ 
           
Indiana — 0.0%          
City of Fort Wayne Indiana, RB          
10.750%, 12/01/29 (H)   234,358‌    23‌ 
           
Iowa — 0.1%          
Iowa Finance Authority, RB          
7.000%, 11/01/27 (B)   415,000‌    420,491‌ 
           
Maryland — 0.0%          
Montgomery County Housing Opportunities Commission, GO          
4.482%, 12/01/29   250,000‌    254,713‌ 
           
New Hampshire — 0.4%          
New Hampshire Business Finance Authority, RB          
3.970%, 02/01/29 (A)(B)   2,500,000‌    2,500,000‌ 
3.840%, 07/01/33 (A)(B)   850,000‌    850,000‌ 
         3,350,000 
New York — 0.2%          
New York State Energy Research & Development Authority, Ser A, RB          
5.822%, 04/01/28   500,000‌    503,618‌ 
4.621%, 04/01/27   820,000‌    820,382‌ 
         1,324,000 
Pennsylvania — 0.0%          
Redevelopment Authority of the City of Philadelphia, Ser A, RB          
5.226%, 09/01/40   275,000‌    276,678‌ 
           
South Dakota — 0.0%          
South Dakota Housing Development Authority, Ser E, RB          
5.460%, 05/01/53   180,000‌    183,350‌ 
           
Wisconsin — 0.2%          
Public Finance Authority, RB          
6.250%, 06/01/31 (B)   500,000‌    506,676‌ 
MUNICIPAL BONDS — continued     
  

Face

Amount

   Value 
Public Finance Authority, Ser A, RB          
5.292%, 07/01/29  $500,000‌   $505,512‌ 
         1,012,188‌ 
Total Municipal Bonds          
(Cost $15,398,899)        15,318,398 
           
SOVEREIGN DEBT — 1.6%          
           
CANADA — 0.4%          
CDP Financial MTN          
1.000%, 05/26/26(B)   1,000,000‌ $    991,275‌ 
OMERS Finance Trust          
3.500%, 04/19/32(B)   2,000,000‌    1,915,077‌ 
         2,906,352‌ 
FINLAND — 0.1%          
Kuntarahoitus          
3.625%, 10/09/29(B)   1,000,000‌    995,173‌ 
           
IRELAND — 0.3%          
BB Blue Financing DAC          
4.395%, 09/20/29   2,500,000‌    2,442,692‌ 
           
JAPAN — 0.5%          
Japan Bank for International Cooperation          
4.375%, 10/05/27   2,046,000‌    2,068,290‌ 
1.625%, 01/20/27   1,500,000‌    1,470,400‌ 
Japan International Cooperation Agency          
4.250%, 05/22/30   230,000‌    232,385‌ 
         3,771,075‌ 
NETHERLANDS — 0.2%          
Nederlandse Waterschapsbank          
4.375%, 02/28/29(B)   400,000‌    407,418‌ 
1.000%, 05/28/30(B)   1,000,000‌    887,035‌ 
         1,294,453‌ 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS OPPORTUNISTIC BOND FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

SOVEREIGN DEBT — continued        
 

Face

Amount

   Value 
SOUTH KOREA — 0.1%          
Korea Electric Power          
4.875%, 01/31/27(B)  $250,000   $252,224 
           
Total Sovereign Debt          
(Cost $11,612,860)         11,661,969 
           
BANK LOAN OBLIGATIONS — 0.3%          
           
ECOLOGICAL SERVICES & EQUIPMENT — 0.3%      
Terraform Power Operating Specified Refinancing Term Loan          
5.672%, TSFR1M + 2.500%, 05/21/29(A)  $1,616,834   $1,612,792 
Vistra Zero Operating Company Term Loan          
5.917%, 03/20/31   995,000    980,075 
        2,592,867 
Total Bank Loan Obligations          
(Cost $2,608,115)        2,592,867 
           
U.S. GOVERNMENT AGENCY OBLIGATION — 0.0% 
           
United States International Development Finance          
1.790%, 10/15/29  $200,551   $192,576 
           
Total U.S. Government Agency Obligation          
(Cost $193,044)        192,576 
           
SHORT-TERM INVESTMENT — 0.2%      
  Shares      
State Street Institutional U.S. Government Money Market Fund, Institutional Class, 3.620%, (I)          
(Cost $1,623,730)   1,623,730   $1,623,730 
           
Total Short-Term Investment          
(Cost $1,623,730)        1,623,730 
           
Total Investments in Securities— 98.3%          
(Cost $724,930,734)       $730,669,997 
Real Estate Investment Trust.

(A)Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates for certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(B)Securities sold within the terms of a private placement memorandum, exempt from registration under section 144A of the Securities Act of 1933, as amended, and maybe sold only to dealers in the program or other "accredited investors". The total value of these securities at January 31, 2026 was $253,923,199 and represented 34.2% of Net Assets.

(C)Perpetual security with no stated maturity date.

(D)Step coupon security. Coupon rate will either increase (step-up bond) or decrease (step-down bond) at regular intervals until maturity. Interest rate shown reflects the rate currently in effect.

(E)Zero coupon security.

(F)No interest rate available.

(G)This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $1,591,427.

(H)Security in default and no interest is being accrued.

(I)This security was purchased with cash collateral received from securities lending. The total was of such securities as of January 31, 2026, was $1,623,730.

 

Cl — Class

CLO — Collateralized Loan Obligation 

DAC — Designated Activity Company

FHLMC — Federal Home Loan Mortgage Corporation

FNMA — Federal National Mortgage Association

GNMA — Government National Mortgage Association

GO — General Obligation 

H15T1Y — US Treasury Yield Curve Rate T Note Constant Maturity 1 Year 

H15T5Y — US Treasury Yield Curve Rate T Note Constant Maturity 5 Year

IO— Interest Only 

MTN — Medium Term Note

RB — Revenue Bond 

REMIC — Real Estate Mortgage Investment Conduit

Ser — Series 

SOFRRATE — Secured Overnight Financing Rate

SOFRINDX — Secured Overnight Financing Rate Index

TSFR1M — Term Secured Overnight Financing Rate 1 Month

TSFR3M — Term Secured Overnight Financing Rate 3 Month

USBMMY3M — U.S. Treasury Bill Money Market Yield 3 Month

 

CRI-QH-001-0900

 

Percentages are based on Net Assets of $743,265,653.

 

 

CATHOLIC RESPONSIBLE INVESTMENTS EQUITY INDEX FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

SCHEDULE OF INVESTMENTS 

COMMON STOCK — 99.5%#

 

   Shares   Value 
COMMUNICATION SERVICES — 11.6%          
Alphabet, Cl A    460,641   $155,696,658 
Alphabet, Cl C    371,496    125,762,541 
AT&T    759,621    19,909,666 
Charter Communications, Cl A *   6,706    1,382,241 
Comcast, Cl A   277,005    8,240,899 
Electronic Arts    27,074    5,520,930 
Fox, Cl A   25,286    1,840,315 
Fox, Cl B, Cl B    14,042    920,734 
Match Group    18,004    560,824 
Meta Platforms, Cl A    167,188    119,790,202 
Netflix *   322,956    26,963,596 
News, Cl A   28,532    771,220 
News, Cl B, Cl B    9,437    293,491 
Omnicom Group   24,288    1,871,115 
Paramount Skydance, Cl B    23,680    265,453 
Take-Two Interactive Software *   14,886    3,279,386 
TKO Group Holdings, Cl A   5,121    1,037,412 
T-Mobile US   46,480    9,166,321 
Trade Desk, Cl A *   33,600    1,019,088 
Verizon Communications    468,965    20,878,322 
Walt Disney   136,051    15,346,553 
Warner Bros Discovery *   204,727    5,638,181 
         526,155,148 
CONSUMER DISCRETIONARY — 10.3%          
Airbnb, Cl A *   32,410    4,192,882 
Amazon.com *   741,345    177,403,859 
Aptiv *   16,437    1,245,103 
AutoZone *   1,268    4,697,040 
Best Buy   14,895    969,665 
Booking Holdings    2,456    12,284,519 
Carnival *   82,722    2,483,314 
Carvana, Cl A *   10,777    4,322,762 
Chipotle Mexican Grill, Cl A *   100,800    3,918,096 
Darden Restaurants   8,864    1,767,038 
Deckers Outdoor *   11,085    1,322,884 
Domino's Pizza   2,369    972,072 
DoorDash, Cl A *   28,488    5,829,215 
DR Horton   20,870    3,106,291 
eBay   34,475    3,144,809 
Expedia Group    8,917    2,361,578 
Ford Motor   298,217    4,139,252 
Garmin    12,459    2,512,233 
General Motors   71,116    5,973,744 
Genuine Parts   10,601    1,473,433 
Hasbro    13,985    1,249,000 
Hilton Worldwide Holdings    17,713    5,287,508 
Home Depot    75,855    28,414,524 
Lennar, Cl A   16,442    1,797,933 
Lowe's    42,739    11,413,877 
Lululemon Athletica *   8,224    1,435,088 
COMMON STOCK — continued        
   Shares   Value 
CONSUMER DISCRETIONARY— continued          
Marriott International, Cl A   16,974   $5,351,902 
McDonald's    54,271    17,095,365 
NIKE, Cl B   90,635    5,602,149 
Norwegian Cruise Line Holdings *   34,671    761,375 
NVR *   216    1,649,318 
O'Reilly Automotive *   64,326    6,330,322 
Pool    2,498    634,717 
PulteGroup    14,854    1,858,087 
Ralph Lauren, Cl A    2,954    1,043,973 
Ross Stores    24,784    4,675,502 
Royal Caribbean Cruises   19,328    6,274,835 
Starbucks    86,657    7,968,111 
Tapestry    18,763    2,381,212 
Tesla *   214,136    92,166,276 
TJX   84,813    12,705,836 
Tractor Supply    40,280    2,049,446 
Ulta Beauty *   3,417    2,212,029 
Williams-Sonoma    9,281    1,899,357 
Yum! Brands    21,159    3,290,224 
         469,667,755 
CONSUMER STAPLES — 5.8%          
Archer-Daniels-Midland    76,049    5,118,858 
Brown-Forman, Cl B    13,373    366,019 
Bunge Global   40,865    4,653,706 
Campbell's   14,987    419,336 
Clorox   9,296    1,048,496 
Coca-Cola    508,138    38,013,804 
Colgate-Palmolive   99,384    8,973,381 
Conagra Brands    36,410    673,949 
Constellation Brands, Cl A   15,835    2,481,345 
Costco Wholesale    38,229    35,944,817 
Dollar General    32,828    4,708,520 
Dollar Tree *   27,232    3,202,211 
Estee Lauder, Cl A   18,736    2,159,886 
General Mills    118,360    5,475,334 
Hershey    34,693    6,756,462 
Hormel Foods   31,217    768,250 
J M Smucker    24,849    2,605,666 
Kenvue   145,981    2,540,069 
Keurig Dr Pepper    225,690    6,192,934 
Kimberly-Clark    25,240    2,523,748 
Kraft Heinz    129,456    3,073,286 
Kroger    60,342    3,792,495 
Lamb Weston Holdings    10,586    486,215 
McCormick   51,461    3,181,834 
Molson Coors Beverage, Cl B   12,928    621,061 
Mondelez International, Cl A   212,028    12,397,277 
Monster Beverage *   162,008    13,083,766 
PepsiCo   183,135    28,135,030 
Sysco    55,318    4,638,414 
 
 

CATHOLIC RESPONSIBLE INVESTMENTS EQUITY INDEX FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued        
   Shares   Value 
CONSUMER STAPLES— continued          
Target   34,628   $3,652,215 
Tyson Foods, Cl A    53,677    3,506,718 
Walmart    423,928    50,506,782 
         261,701,884 
ENERGY — 3.2%          
APA    27,052    714,443 
Baker Hughes, Cl A   75,231    4,215,945 
Chevron    144,238    25,515,653 
ConocoPhillips    94,170    9,815,339 
Coterra Energy   58,039    1,674,425 
Devon Energy    47,780    1,921,234 
Diamondback Energy   14,193    2,326,942 
EOG Resources   41,350    4,636,575 
EQT Corporation   47,600    2,747,948 
Expand Energy Corporation   18,150    2,040,242 
Exxon Mobil   352,174    49,797,404 
Halliburton   64,113    2,149,068 
Kinder Morgan    149,214    4,549,535 
Marathon Petroleum    22,908    4,036,161 
Occidental Petroleum   54,787    2,486,782 
ONEOK   48,000    3,801,120 
Phillips 66    30,705    4,408,010 
SLB Limited    113,842    5,507,676 
Targa Resources   16,358    3,287,631 
Texas Pacific Land   4,413    1,537,313 
Valero Energy   23,244    4,217,159 
Williams    93,047    6,258,341 
         147,644,946 
FINANCIALS — 12.8%          
Aflac   35,947    3,988,320 
Allstate   20,142    4,008,057 
American Express    40,946    14,419,953 
American International Group   41,126    3,079,515 
Ameriprise Financial    7,080    3,732,505 
Aon, Cl A   16,380    5,727,103 
Apollo Global Management   35,386    4,760,832 
Arch Capital Group *   27,563    2,647,150 
Ares Management, Cl A    15,699    2,349,669 
Arthur J Gallagher   19,570    4,880,171 
Assurant    3,817    908,942 
Bank of America   511,969    27,236,751 
Bank of New York Mellon    55,136    6,611,909 
Berkshire Hathaway, Cl B *   143,754    69,078,110 
Blackstone   56,275    8,014,686 
Block, Cl A *   41,700    2,519,931 
Brown & Brown    22,404    1,615,328 
Capital One Financial   48,448    10,606,611 
Cboe Global Markets    7,975    2,113,854 
Charles Schwab    127,289    13,227,873 
Chubb   46,780    14,481,217 
Cincinnati Financial    11,890    1,912,982 


COMMON STOCK — continued        
   Shares   Value 
FINANCIALS— continued          
Citigroup   136,356   $15,777,753 
Citizens Financial Group   32,749    2,062,532 
CME Group, Cl A   27,480    7,943,369 
Coinbase Global, Cl A *   17,387    3,385,944 
Corpay *   5,331    1,677,293 
Erie Indemnity, Cl A   1,936    547,907 
Everest Group    3,199    1,059,765 
FactSet Research Systems    2,854    725,943 
Fidelity National Information Services    39,427    2,178,342 
Fifth Third Bancorp   50,326    2,527,372 
Fiserv *   40,975    2,611,337 
Franklin Resources    23,460    624,505 
Global Payments   18,065    1,295,983 
Globe Life    6,067    850,715 
Goldman Sachs Group   26,028    24,346,852 
Hartford Insurance Group   25,421    3,433,360 
Huntington Bancshares    119,851    2,094,995 
Interactive Brokers Group, Cl A    33,900    2,538,432 
Intercontinental Exchange    43,451    7,550,915 
Invesco   33,886    924,749 
Jack Henry & Associates   5,516    988,522 
JPMorgan Chase   207,454    63,458,104 
KeyCorp    70,767    1,522,906 
Loews   13,097    1,382,650 
M&T Bank    11,712    2,595,028 
Marsh & McLennan    37,334    7,025,885 
Mastercard, Cl A   65,867    35,488,481 
MetLife    42,129    3,323,136 
Moody's    11,692    6,027,928 
Morgan Stanley    105,049    19,202,957 
MSCI, Cl A   5,726    3,488,394 
Nasdaq   34,417    3,334,663 
Northern Trust    14,412    2,153,585 
PayPal Holdings    71,299    3,756,744 
PNC Financial Services Group    29,885    6,673,321 
Principal Financial Group    15,239    1,443,438 
Progressive    44,687    9,294,896 
Prudential Financial   26,672    2,963,526 
Raymond James Financial   13,436    2,228,495 
Regions Financial    66,780    1,903,230 
Robinhood Markets, Cl A *   59,926    5,961,438 
S&P Global   23,624    12,468,511 
State Street   21,285    2,785,355 
Synchrony Financial   27,461    1,994,492 
T Rowe Price Group   16,631    1,757,564 
Travelers   27,624    7,859,304 
Truist Financial   97,534    5,015,198 
US Bancorp    118,438    6,645,556 
Visa, Cl A   137,347    44,202,385 
W R Berkley   22,917    1,571,648 
Wells Fargo    239,235    21,648,375 
 
 

CATHOLIC RESPONSIBLE INVESTMENTS EQUITY INDEX FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued        
   Shares   Value 
FINANCIALS— continued          
Willis Towers Watson   7,297   $2,316,579 
         584,561,826 
HEALTH CARE — 6.8%          
Align Technology *   5,085    829,008 
Baxter International    48,000    963,360 
Boston Scientific *   223,362    20,891,048 
Cardinal Health   62,318    13,390,892 
Cencora, Cl A   40,819    14,663,001 
Centene *   35,600    1,542,192 
Cigna Group   39,275    10,765,670 
CVS Health    153,139    11,411,918 
DaVita *   6,244    682,719 
Dexcom *   33,213    2,425,878 
Edwards Lifesciences *   107,234    8,724,558 
Elevance Health    30,852    10,666,771 
Henry Schein *   45,330    3,421,508 
Hologic *   96,781    7,251,800 
Humana    15,640    3,052,928 
IDEXX Laboratories *   15,284    10,247,311 
Insulet *   12,409    3,174,346 
Intuitive Surgical *   41,441    20,895,381 
McKesson    19,930    16,566,015 
Medtronic    195,871    20,166,878 
Molina Healthcare *   3,917    703,454 
Quest Diagnostics   45,281    8,468,906 
ResMed   32,845    8,484,192 
STERIS   32,602    8,561,285 
Stryker    53,633    19,820,611 
West Pharmaceutical Services   119,333    27,580,243 
Zimmer Biomet Holdings    59,936    5,218,628 
Zoetis, Cl A    401,787    50,151,053 
         310,721,554 
INDUSTRIALS — 7.8%          
3M   51,550    7,895,398 
A O Smith    8,656    636,129 
Allegion   15,540    2,570,161 
AMETEK    35,920    8,045,362 
Automatic Data Processing   32,885    8,116,676 
Axon Enterprise *   6,014    2,908,250 
Broadridge Financial Solutions   8,895    1,753,293 
Builders FirstSource *   8,427    964,049 
Carrier Global   60,286    3,591,840 
Caterpillar    46,987    30,887,374 
CH Robinson Worldwide   9,003    1,755,135 
Cintas   26,031    4,982,073 
Comfort Systems USA    4,299    4,909,888 
Copart *   67,892    2,755,057 
CSX    141,882    5,357,464 
Cummins   20,528    11,882,017 
Dayforce *   12,170    843,016 
Deere   25,700    13,569,600 
COMMON STOCK — continued        
   Shares   Value 
INDUSTRIALS— continued          
Delta Air Lines    49,400   $3,254,966 
Dover   13,980    2,816,830 
EMCOR Group    4,706    3,391,755 
Emerson Electric   49,568    7,284,513 
Equifax   9,327    1,878,458 
Expeditors International of Washington    10,213    1,639,595 
Fastenal    130,858    5,674,003 
FedEx   16,543    5,330,982 
GE Vernova    26,013    18,895,063 
Generac Holdings *   4,472    751,475 
Howmet Aerospace   46,250    9,623,700 
Hubbell, Cl B    5,420    2,644,635 
IDEX   5,704    1,132,529 
Illinois Tool Works   36,437    9,519,531 
Ingersoll Rand    27,359    2,355,336 
JB Hunt Transport Services   5,732    1,161,991 
Johnson Controls International    100,244    11,955,099 
Lennox International   2,432    1,204,035 
Masco   15,791    1,043,627 
Nordson    5,500    1,509,915 
Norfolk Southern   17,100    4,980,204 
Old Dominion Freight Line    14,023    2,428,784 
Otis Worldwide   32,181    2,748,901 
PACCAR    58,550    7,196,380 
Parker-Hannifin   16,138    15,102,586 
Paychex    24,684    2,545,661 
Paycom Software    3,724    501,809 
Pentair    12,471    1,314,069 
Quanta Services    16,424    7,795,323 
Republic Services, Cl A   19,076    4,103,057 
Rockwell Automation   14,297    6,028,330 
Rollins   53,970    3,418,460 
Snap-on    5,063    1,853,615 
Southwest Airlines   39,371    1,870,910 
Stanley Black & Decker    11,787    927,165 
Trane Technologies    24,085    10,129,669 
TransDigm Group    7,039    10,048,454 
Uber Technologies *   158,300    12,671,915 
Union Pacific    45,203    10,627,225 
United Airlines Holdings *   24,671    2,524,337 
United Parcel Service, Cl B    56,316    5,981,886 
United Rentals    5,212    4,076,097 
Veralto    18,885    1,869,237 
Verisk Analytics, Cl A   10,621    2,309,643 
Waste Management   37,193    8,265,772 
Westinghouse Air Brake Technologies    22,384    5,151,454 
WW Grainger   4,118    4,447,193 
Xylem   33,396    4,604,307 
         352,013,263 
 
 

CATHOLIC RESPONSIBLE INVESTMENTS EQUITY INDEX FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued        
   Shares   Value 
INFORMATION TECHNOLOGY — 34.0%      
Accenture, Cl A   47,259   $12,459,363 
Adobe *   31,900    9,354,675 
Advanced Micro Devices *   124,895    29,566,393 
Akamai Technologies *   10,963    1,065,055 
Amphenol, Cl A   129,428    18,647,986 
Analog Devices   44,169    13,731,259 
Apple    1,154,691    299,619,221 
Applied Materials    64,839    20,898,906 
AppLovin, Cl A *   20,628    9,759,313 
Arista Networks *    78,692    11,153,804 
Autodesk *   16,232    4,104,586 
Broadcom    366,596    121,453,255 
Cadence Design Systems *   20,744    6,147,692 
CDW   9,922    1,254,042 
Cisco Systems    350,250    27,431,580 
Cognizant Technology Solutions, Cl A    36,801    3,019,890 
Crowdstrike Holdings, Cl A *   19,124    8,441,429 
Datadog, Cl A *   24,801    3,207,265 
Dell Technologies, Cl C   22,968    2,628,458 
EPAM Systems *   4,210    878,206 
F5 *   4,396    1,211,582 
Fair Isaac *   1,807    2,643,948 
First Solar *   8,178    1,844,303 
Fortinet *   48,170    3,914,294 
Gartner *   5,493    1,151,388 
Gen Digital   42,748    1,025,524 
GoDaddy, Cl A *   10,299    1,035,255 
Hewlett Packard Enterprise   100,519    2,163,169 
HP    71,223    1,384,575 
Intel *   345,666    16,063,099 
International Business Machines   71,233    21,847,161 
Intuit    21,247    10,600,553 
Jabil   8,142    1,931,201 
Keysight Technologies *   13,097    2,833,274 
KLA    12,313    17,582,225 
Lam Research    113,202    26,428,139 
Microchip Technology   41,228    3,130,030 
Micron Technology    90,038    37,354,965 
Microsoft   570,502    245,481,306 
Monolithic Power Systems    3,979    4,472,993 
Motorola Solutions    12,693    5,109,440 
NetApp   15,234    1,467,796 
NVIDIA   1,867,354    356,907,370 
NXP Semiconductors    19,179    4,337,139 
ON Semiconductor *   30,700    1,838,623 
Oracle   128,177    21,095,371 
Palantir Technologies, Cl A *   174,081    25,518,534 
Palo Alto Networks *   52,124    9,224,384 
PTC *   9,129    1,425,311 
Qnity Electronics   15,961    1,535,081 
COMMON STOCK — continued        
   Shares   Value 
INFORMATION TECHNOLOGY— continued  
QUALCOMM   81,617   $12,372,321 
Roper Technologies   8,203    3,045,200 
Salesforce    72,549    15,401,427 
Sandisk *   10,610    6,114,012 
Seagate Technology Holdings    22,165    9,036,449 
ServiceNow *   79,058    9,250,577 
Skyworks Solutions   11,289    629,475 
Super Micro Computer *   38,200    1,112,002 
Synopsys *   14,155    6,583,703 
TE Connectivity    30,220    6,732,412 
Teradyne   11,935    2,876,932 
Texas Instruments   69,510    14,982,880 
Trimble *   18,100    1,223,560 
Tyler Technologies *   3,279    1,211,263 
VeriSign    6,358    1,552,814 
Western Digital   31,984    8,003,356 
Workday, Cl A *   16,537    2,904,393 
Zebra Technologies, Cl A *   3,861    907,258 
         1,541,320,445 
MATERIALS — 2.2%          
Air Products and Chemicals   16,960    4,621,600 
Albemarle    8,969    1,530,380 
Amcor   35,207    1,557,910 
Avery Dennison    5,890    1,092,654 
Ball    20,468    1,164,015 
CF Industries Holdings   11,898    1,109,251 
Corteva   51,539    3,752,039 
CRH    58,254    7,130,872 
Dow   54,128    1,491,226 
DuPont de Nemours    31,965    1,403,903 
Ecolab   19,972    5,631,904 
Freeport-McMoRan    123,151    7,417,385 
International Flavors & Fragrances   19,467    1,358,991 
International Paper   40,230    1,622,074 
Linde    39,501    18,050,772 
LyondellBasell Industries, Cl A   19,595    960,155 
Martin Marietta Materials    4,596    2,996,362 
Mosaic    24,166    664,565 
Newmont    127,833    14,362,038 
Nucor   17,441    3,099,614 
Packaging Corp of America   6,811    1,515,788 
PPG Industries    17,101    1,977,389 
Sherwin-Williams    17,569    6,230,670 
Smurfit WestRock    39,841    1,658,581 
Steel Dynamics   10,461    1,878,482 
Vulcan Materials   10,069    3,026,137 
         97,304,757 
REAL ESTATE — 2.3%          
American Tower ‡   36,946    6,623,679 
AvalonBay Communities ‡   10,777    1,914,750 
 
 

CATHOLIC RESPONSIBLE INVESTMENTS EQUITY INDEX FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued        
   Shares   Value 
REAL ESTATE— continued          
BXP ‡   11,272  $728,960 
Camden Property Trust ‡   8,108    884,177 
CBRE Group, Cl A *   22,339    3,805,002 
CoStar Group *   32,300    1,986,450 
Crown Castle International ‡   33,208    2,882,787 
Digital Realty Trust ‡   24,607    4,083,532 
Equinix ‡   7,482    6,142,198 
Equity Residential ‡   26,382    1,644,126 
Essex Property Trust ‡   4,908    1,236,178 
Extra Space Storage ‡   16,175    2,231,665 
Federal Realty Investment Trust ‡   5,971    604,026 
Host Hotels & Resorts ‡   48,691    902,244 
Invitation Homes ‡   43,000    1,149,390 
Iron Mountain ‡   22,541    2,076,702 
Kimco Realty ‡   51,655    1,088,887 
Mid-America Apartment Communities ‡   8,922    1,198,225 
Prologis ‡   88,474    11,551,165 
Public Storage ‡   12,034    3,323,671 
Realty Income ‡   154,230    9,432,707 
Regency Centers ‡   12,587    917,215 
SBA Communications, Cl A ‡   8,120    1,494,973 
Simon Property Group ‡   46,888    8,970,143 
UDR ‡   22,883    850,103 
Welltower ‡   126,477    23,823,208 
Weyerhaeuser ‡    54,969    1,417,101 
         102,963,264 
UTILITIES — 2.7%          
Alliant Energy   29,600    1,950,936 
American Water Works   14,870    1,920,163 
Atmos Energy   35,760    5,948,319 
CenterPoint Energy   133,786    5,309,966 
COMMON STOCK — continued        
   Shares   Value 
UTILITIES— continued          
CMS Energy   38,237   $2,733,563 
Consolidated Edison    54,050    5,763,352 
Constellation Energy    23,799    6,679,903 
Dominion Energy    140,367    8,445,883 
Edison International    29,287    1,823,994 
Entergy   86,030    8,249,417 
Eversource Energy    46,769    3,233,141 
Exelon    187,913    8,414,744 
FirstEnergy    102,957    4,873,984 
NextEra Energy    233,988    20,567,545 
NRG Energy   19,081    2,912,333 
PG&E    167,500    2,582,850 
Pinnacle West Capital   9,104    851,770 
Public Service Enterprise Group    46,246    3,808,821 
Sempra   87,724    7,632,865 
Southern   189,243    16,901,292 
         120,604,841 
           
Total Common Stock         
(Cost $1,723,931,167)        4,514,659,683 

 

RIGHTS — 0.0%          

   Number of     
   Rights     
Abiomed * (A)(B)   5,594   $ 
           
Total Rights         
(Cost $–)         
Total Investments in Securities— 99.5%          
(Cost $1,723,931,167)       $4,514,659,683 

 

Percentages are based on Net Assets of $4,538,339,638.

 

A list of the open futures contracts held by the Fund at January 31, 2026, is as follows:

 

Type of Contract  Number of Contracts   Expiration Date  Notional Amount   Value   Unrealized Appreciation/ (Depreciation) 
Long Contracts S&P 500 Index E-Mini   66   Mar-2026  $22,995,750   $22,986,975   $(8,775)
 
 

CATHOLIC RESPONSIBLE INVESTMENTS EQUITY INDEX FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

#More narrow industries are utilized for compliance purposes, whereas broad sectors are utilized for reporting purposes.

*Non-income producing security.

Real Estate Investment Trust.

 

(A)Level 3 security in accordance with fair value hierarchy.

(B)Expiration date not available.

 

Cl — Class

 

Amounts designated as “–” are $0 or have been round to $0.

 

CRI-QH-001-0900 

 
 

CATHOLIC RESPONSIBLE INVESTMENTS SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

SCHEDULE OF INVESTMENTS

COMMON STOCK — 98.8%

 

   Shares   Value 
COMMUNICATION SERVICES — 3.3%          
Angi, Cl A *   16,808   $218,167 
Cable One   2,086    168,945 
Cargurus, Cl A *   30,432    985,997 
Cars.com *   22,010    250,034 
Cinemark Holdings    39,526    935,976 
Cogent Communications Holdings    20,671    502,305 
DoubleVerify Holdings, Cl Rights *   53,814    582,267 
Gogo *   40,327    185,101 
IAC *   26,956    996,024 
Iridium Communications   39,829    793,394 
John Wiley & Sons, Cl A   15,183    474,165 
Lumen Technologies *   363,425    3,205,409 
Madison Square Garden Sports *   6,927    1,964,151 
QuinStreet *   21,381    284,153 
Scholastic    9,836    343,965 
Shenandoah Telecommunications    23,567    279,740 
Shutterstock    9,004    178,729 
TEGNA    60,332    1,155,961 
Telephone and Data Systems    38,578    1,741,025 
TripAdvisor *   45,960    610,808 
Uniti Group *   74,234    617,625 
Versant Media Group *   56,403    1,837,610 
Yelp, Cl A *   21,883    599,157 
Ziff Davis *   15,173    579,912 
         19,490,620 
CONSUMER DISCRETIONARY — 12.9%          
Abercrombie & Fitch, Cl A *   500    48,815 
Academy Sports & Outdoors   24,958    1,372,940 
Acushnet Holdings    10,328    1,001,196 
Adient *   29,669    617,115 
Adtalem Global Education *   14,706    1,522,806 
Advance Auto Parts   23,823    1,143,742 
American Axle & Manufacturing Holdings *   44,104    351,509 
American Eagle Outfitters   60,604    1,412,679 
Asbury Automotive Group *   7,283    1,707,936 
BJ's Restaurants *   10,727    448,603 
Bloomin' Brands    42,049    252,294 
Boot Barn Holdings *   11,654    2,080,006 
Brinker International *   17,269    2,723,667 
Buckle   11,283    533,686 
Callaway Golf *   55,953    802,926 
CarMax *   55,008    2,450,056 
Carter's   13,537    468,516 
Cavco Industries *   2,952    1,452,443 
Century Communities    9,577    603,159 
Champion Homes *   21,227    1,663,772 
COMMON STOCK — continued        
   Shares   Value 
CONSUMER DISCRETIONARY— continued          
Cheesecake Factory (A)   19,606   $1,136,364 
Cracker Barrel Old Country Store    11,125    335,085 
Dana    43,767    1,264,866 
Dave & Buster's Entertainment *   15,179    284,910 
Dorman Products *   10,419    1,294,040 
Dream Finders Homes, Cl A *   10,636    195,596 
Ethan Allen Interiors    8,609    197,404 
Etsy *   37,439    1,982,769 
Fox Factory Holding *   15,557    286,249 
Frontdoor *   29,086    1,719,273 
Gentherm *   11,337    362,331 
G-III Apparel Group   13,797    404,942 
Green Brick Partners *   11,424    792,711 
Group 1 Automotive    4,634    1,641,641 
Installed Building Products    8,663    2,496,157 
Kohl's    43,967    768,104 
Kontoor Brands   19,160    1,144,427 
La-Z-Boy, Cl Z   15,436    562,025 
LCI Industries   9,065    1,329,745 
Leggett & Platt   50,735    592,077 
LGI Homes *   7,556    378,631 
LKQ    95,885    3,149,822 
M/I Homes *   9,796    1,309,725 
MarineMax *   9,278    250,784 
Marriott Vacations Worldwide    12,486    678,115 
Matthews International, Cl A   17,042    448,034 
Meritage Homes   26,478    1,840,486 
Mister Car Wash *   61,925    343,684 
Mohawk Industries *   19,643    2,325,338 
Monro   13,726    256,951 
National Vision Holdings *   31,786    837,561 
Oxford Industries    5,822    214,541 
Papa John's International   15,474    544,221 
Patrick Industries    12,465    1,572,709 
Perdoceo Education   26,149    837,553 
Phinia   14,401    1,024,919 
Pursuit Attractions and          
Hospitality *   12,575    436,730 
Sabre *   221,989    288,586 
Sally Beauty Holdings *   36,523    555,880 
Shake Shack, Cl A *   16,382    1,450,954 
Signet Jewelers    15,377    1,418,836 
Six Flags Entertainment *   45,166    813,440 
Sonic Automotive, Cl A   5,515    330,679 
Sonos *   49,144    705,216 
Standard Motor Products    7,776    310,496 
Steven Madden   27,788    1,219,337 
Strategic Education   10,345    879,532 
Stride *   17,468    1,477,793 
Tri Pointe Homes *   32,198    1,073,803 
 
 

CATHOLIC RESPONSIBLE INVESTMENTS SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

  

COMMON STOCK — continued        
   Shares   Value 
CONSUMER DISCRETIONARY— continued          
Under Armour, Cl A *   78,465   $484,129 
Under Armour, Cl C *   51,494    312,569 
United Parks & Resorts *   12,875    484,744 
Upbound Group, Cl A   19,356    365,828 
Urban Outfitters *   20,296    1,437,972 
Victoria's Secret *   30,877    1,683,105 
Wendy's (A)   64,028    498,778 
Winmark   1,112    501,167 
Winnebago Industries    10,567    485,131 
Wolverine World Wide    32,730    579,976 
XPEL *   9,436    486,048 
         75,742,385 
CONSUMER STAPLES — 2.6%          
Andersons   13,629    844,862 
Cal-Maine Foods   17,078    1,426,525 
Central Garden & Pet *   2,987    101,050 
Central Garden & Pet, Cl A *   19,336    593,035 
Chefs' Warehouse *   14,568    916,327 
Edgewell Personal Care    17,275    336,171 
Energizer Holdings    22,761    496,873 
Fresh Del Monte Produce    14,996    594,741 
Freshpet *   19,507    1,359,638 
Grocery Outlet Holding *   43,980    419,129 
Inter Parfums   6,847    668,062 
J & J Snack Foods   6,563    623,485 
John B Sanfilippo & Son   3,374    272,957 
National Beverage *   10,303    351,126 
PriceSmart   9,999    1,421,958 
Reynolds Consumer Products    20,311    470,606 
Simply Good Foods *   37,305    700,215 
Tootsie Roll Industries    9,634    364,952 
TreeHouse Foods *   22,342    550,507 
United Natural Foods *   25,281    941,212 
Vital Farms *   16,390    466,295 
WD-40    5,068    1,171,874 
         15,091,600 
ENERGY — 5.0%          
Archrock    72,020    2,131,072 
Atlas Energy Solutions, Cl A    41,433    483,523 
Bristow Group *   11,480    504,661 
Cactus, Cl A   28,732    1,615,600 
California Resources    32,515    1,739,552 
Comstock Resources *   34,802    847,429 
Core Laboratories    23,073    450,846 
Crescent Energy, Cl A    109,291    1,067,775 
CVR Energy *   16,451    374,096 
Dorian LPG    17,760    524,453 
Helix Energy Solutions Group *   70,353    558,603 
Helmerich & Payne    42,443    1,437,969 
Innovex International *   21,208    527,019 
International Seaways    17,744    1,058,429 
COMMON STOCK — continued        
   Shares   Value 
ENERGY— continued          
Kinetik Holdings, Cl A (A)   21,478   $878,665 
Kodiak Gas Services   35,694    1,499,505 
Liberty Energy, Cl A   66,041    1,627,911 
Magnolia Oil & Gas, Cl A   75,084    1,915,393 
Noble    52,889    1,883,906 
Northern Oil and Gas   42,081    1,052,025 
Par Pacific Holdings *   21,426    808,617 
Patterson-UTI Energy    156,547    1,178,799 
REX American Resources *   14,564    492,409 
RPC    56,608    376,443 
SM Energy   89,572    1,743,967 
Talos Energy *   63,978    762,618 
Tidewater *   19,373    1,210,619 
World Kinect    29,616    796,966 
         29,548,870 
FINANCIALS — 18.4%          
Acadian Asset Management    9,901    548,713 
Adamas Trust ‡   31,999    255,992 
Ameris Bancorp    23,961    1,931,736 
AMERISAFE    7,050    265,150 
Apollo Commercial Real Estate Finance ‡   48,926    528,890 
Arbor Realty Trust ‡(A)   73,314    564,518 
ARMOUR Residential REIT ‡   44,897    781,208 
Artisan Partners Asset          
Management, Cl A   26,395    1,175,105 
Assured Guaranty    16,229    1,377,031 
Atlantic Union Bankshares    53,387    2,073,551 
Axos Financial *   21,219    2,100,469 
Banc of California    50,285    1,004,694 
BancFirst   7,707    847,385 
Bancorp *   16,452    977,907 
Bank of Hawaii   14,904    1,114,521 
BankUnited    28,149    1,336,233 
Banner    12,769    789,635 
Beacon Financial Corporation    31,433    891,135 
BGC Group, Cl A   134,592    1,226,133 
Blackstone Mortgage Trust, Cl A    59,060    1,136,905 
Bread Financial Holdings    17,105    1,240,797 
Capitol Federal Financial   45,243    329,369 
Cathay General Bancorp   25,487    1,304,425 
Central Pacific Financial    9,979    325,016 
City Holding   5,398    664,440 
Cohen & Steers    10,318    663,035 
Community Financial System   19,727    1,232,937 
Customers Bancorp *   11,904    940,654 
CVB Financial   48,174    949,510 
Dime Community Bancshares    15,292    520,234 
Donnelley Financial Solutions *   9,941    514,447 
Eagle Bancorp    14,020    375,175 
Ellington Financial ‡   40,201    516,583 
 
 

CATHOLIC RESPONSIBLE INVESTMENTS SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued        
   Shares   Value 
FINANCIALS— continued          
Employers Holdings   8,351   $364,271 
Enact Holdings   10,726    426,573 
Encore Capital Group *   9,478    523,186 
Enova International *   9,385    1,550,120 
EVERTEC   23,969    719,310 
EZCORP, Cl A *   21,512    461,432 
FB Financial   15,051    865,884 
First BanCorp Puerto Rico   58,775    1,300,103 
First Bancorp Southern Pines    15,533    899,827 
First Commonwealth Financial   38,744    698,554 
First Financial Bancorp   38,759    1,113,934 
First Hawaiian    46,346    1,230,486 
First Interstate BancSystem, Cl A    33,533    1,189,416 
Franklin BSP Realty Trust ‡   30,358    311,473 
Fulton Financial    67,651    1,396,993 
Genworth Financial, Cl A *   149,608    1,247,731 
Goosehead Insurance, Cl A *   10,322    638,312 
HA Sustainable Infrastructure Capital    47,627    1,638,845 
Hanmi Financial    11,047    293,519 
HCI Group   4,024    638,488 
Heritage Financial   12,627    325,903 
Hilltop Holdings    16,082    602,271 
Hope Bancorp    48,019    575,268 
Horace Mann Educators   15,241    682,949 
Independent Bank   18,572    1,500,246 
Jackson Financial, Cl A   25,462    3,027,941 
Lakeland Financial   9,563    569,955 
Lincoln National    63,325    2,634,953 
MarketAxess Holdings    13,925    2,356,528 
Mercury General   10,292    901,476 
Moelis, Cl A    27,719    1,986,621 
National Bank Holdings, Cl A   14,168    569,270 
Navient   32,864    322,396 
NBT Bancorp    19,508    866,740 
NCR Atleos *   28,423    1,060,178 
NMI Holdings, Cl A *   28,795    1,114,942 
Northwest Bancshares   54,729    704,910 
OFG Bancorp    16,466    663,580 
Palomar Holdings *   10,193    1,259,753 
Park National   5,361    873,521 
Pathward Financial    8,531    770,264 
Payoneer Global *   112,392    718,185 
PennyMac Mortgage Investment Trust ‡   32,318    382,322 
Piper Sandler   6,232    2,158,453 
PJT Partners   9,106    1,575,611 
PRA Group *   16,902    216,177 
Preferred Bank   4,215    361,521 
ProAssurance *   22,938    555,558 
PROG Holdings   14,814    480,566 
COMMON STOCK — continued        
   Shares   Value 
FINANCIALS— continued          
Provident Financial Services    48,931   $1,083,332 
Radian Group   50,754    1,669,807 
Redwood Trust ‡   61,146    335,080 
Renasant   35,595    1,342,287 
S&T Bancorp    14,319    610,562 
Safety Insurance Group    5,532    435,368 
Seacoast Banking Corp of Florida    36,288    1,213,471 
ServisFirst Bancshares   18,825    1,540,826 
Sezzle *   6,842    432,688 
Simmons First National, Cl A   61,690    1,254,158 
SiriusPoint *   38,946    794,888 
Southside Bancshares    10,505    338,156 
Stellar Bancorp   17,257    640,925 
StepStone Group, Cl A   28,844    2,038,982 
Stewart Information Services    10,498    707,880 
StoneX Group *   17,395    1,952,763 
Tompkins Financial    4,719    378,086 
Triumph Financial *   8,426    531,596 
Trupanion *   14,743    471,629 
TrustCo Bank NY   6,859    297,681 
Trustmark    22,460    954,999 
Two Harbors Investment ‡   46,541    533,825 
United Community Banks   45,535    1,567,770 
United Fire Group    8,286    297,799 
Victory Capital Holdings, Cl A    18,000    1,269,540 
Virtu Financial, Cl A   29,898    1,241,066 
Virtus Investment Partners   2,358    384,943 
WaFd    29,516    962,812 
Walker & Dunlop   12,761    802,539 
Westamerica BanCorp    9,260    468,371 
Western Union    119,065    1,115,639 
WisdomTree   43,623    706,693 
World Acceptance *   1,080    130,950 
WSFS Financial   20,482    1,325,800 
         107,662,959 
HEALTH CARE — 11.5%          
Acadia Healthcare *   37,707    506,782 
ACADIA Pharmaceuticals *   54,565    1,371,218 
AdaptHealth, Cl A *   46,424    466,561 
Addus HomeCare *   7,231    748,264 
ADMA Biologics *   98,487    1,703,825 
Alkermes *   73,350    2,485,832 
AMN Healthcare Services *   18,830    401,079 
Apellis Pharmaceuticals *   47,094    1,063,383 
Arcus Biosciences *   39,202    824,810 
Arrowhead Pharmaceuticals *   54,159    3,754,843 
Artivion *   17,945    731,618 
Avanos Medical *   23,918    318,588 
BrightSpring Health Services *   45,089    1,770,645 
Catalyst Pharmaceuticals *   58,174    1,413,628 
 
 

CATHOLIC RESPONSIBLE INVESTMENTS SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued        
   Shares   Value 
HEALTH CARE— continued          
Certara *   52,846   $464,516 
Collegium Pharmaceutical *   17,118    786,059 
Concentra Group Holdings Parent    45,924    1,018,593 
CONMED   12,343    473,848 
CorVel *   12,508    870,932 
Embecta    25,465    270,184 
Enovis *   24,674    543,815 
Glaukos *   22,457    2,680,917 
Harmony Biosciences Holdings *   21,751    794,347 
HealthStream   9,465    210,975 
ICU Medical *   9,945    1,490,756 
Indivior Pharmaceuticals *   52,249    1,848,570 
Innoviva *   43,675    873,500 
Inspire Medical Systems *   10,753    814,862 
Integer Holdings *   13,918    1,208,917 
Integra LifeSciences Holdings *   32,864    366,105 
Krystal Biotech *   10,438    2,914,707 
LeMaitre Vascular    8,484    720,885 
Ligand Pharmaceuticals *   8,845    1,699,125 
Merit Medical Systems *   23,132    1,875,774 
Myriad Genetics *   59,313    333,339 
National HealthCare   5,106    730,720 
Neogen *   91,569    935,835 
NeoGenomics *   55,165    665,290 
Omnicell *   18,401    892,449 
Pacira BioSciences *   24,796    509,310 
Phibro Animal Health, Cl A    12,876    516,971 
Prestige Consumer Healthcare *   24,147    1,556,757 
Privia Health Group *   47,264    1,097,470 
Progyny *   32,915    785,681 
Protagonist Therapeutics *   25,839    2,113,630 
PTC Therapeutics *   34,213    2,584,108 
RadNet *   27,502    1,927,890 
Schrodinger *   27,115    378,797 
Select Medical Holdings    43,818    659,461 
STAAR Surgical *   22,794    431,946 
Supernus Pharmaceuticals *   26,983    1,299,501 
Tandem Diabetes Care *   29,387    584,507 
Teleflex   18,087    1,887,740 
TG Therapeutics *   57,316    1,686,810 
TransMedics Group *   13,394    1,794,461 
UFP Technologies *   3,149    790,840 
US Physical Therapy    6,315    529,639 
Veracyte *   34,667    1,320,119 
Vericel *   25,091    902,774 
Waystar Holding *   46,604    1,237,802 
         67,642,310 
INDUSTRIALS — 17.5%          
AAR *   15,567    1,648,701 
COMMON STOCK — continued        
   Shares   Value 
INDUSTRIALS— continued          
ABM Industries   23,267   $1,071,213 
Air Lease, Cl A    39,355    2,543,514 
Alamo Group    4,151    810,732 
Albany International, Cl A   12,396    687,854 
Allegiant Travel *   5,914    524,158 
American Woodmark *   5,618    333,653 
Apogee Enterprises   8,143    302,350 
ArcBest   8,582    774,268 
Arcosa    19,144    2,191,414 
Armstrong World Industries    16,580    3,046,409 
Astec Industries    9,433    459,576 
AZZ    11,338    1,409,200 
Boise Cascade    14,150    1,143,461 
Brady, Cl A   16,593    1,434,797 
Casella Waste Systems, Cl A *   24,690    2,490,727 
CoreCivic *   42,820    793,455 
CSG Systems International   10,936    872,146 
CSW Industrials    6,482    1,750,010 
Deluxe    18,437    486,737 
DNOW *   73,252    1,112,698 
DXP Enterprises *   5,253    683,153 
Enerpac Tool Group, Cl A    19,847    801,025 
EnPro Industries   8,298    1,981,396 
Enviri *   34,973    661,689 
ESCO Technologies    10,143    2,314,328 
Everus Construction Group *   19,944    1,764,800 
Federal Signal    23,552    2,545,736 
Forward Air *   10,667    297,396 
Franklin Electric    14,792    1,473,579 
Gates Industrial *   100,154    2,305,545 
GEO Group *   54,491    870,766 
Gibraltar Industries *   11,067    567,294 
Granite Construction    17,025    2,055,599 
Greenbrier   11,599    584,821 
Griffon    15,623    1,272,493 
Hayward Holdings *   78,149    1,261,325 
Healthcare Services Group *   30,701    577,793 
Heartland Express   23,222    234,310 
Hertz Global Holdings *(A)   56,332    276,027 
Hillenbrand    28,895    922,039 
HNI    26,493    1,266,100 
Hub Group, Cl A    22,693    1,079,733 
Insperity   14,825    633,472 
Insteel Industries    7,432    246,296 
Interface, Cl A    23,823    749,710 
JBT Marel    20,378    3,205,663 
JetBlue Airways *   126,350    615,325 
Kadant    4,613    1,480,958 
Kennametal   30,370    1,044,424 
Korn Ferry   19,626    1,363,418 
Legalzoom.com *   51,850    460,947 
Lindsay   4,047    506,968 
 
 

CATHOLIC RESPONSIBLE INVESTMENTS SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

  

COMMON STOCK — continued        
   Shares   Value 
INDUSTRIALS— continued          
Liquidity Services *   10,641  $340,512 
ManpowerGroup   20,995    762,748 
Marten Transport    21,565    265,250 
Masterbrand *   51,620    625,634 
Matson    11,680    1,872,304 
Mercury Systems *   21,017    1,973,076 
MillerKnoll    30,827    619,006 
Mueller Water Products, Cl A   59,831    1,619,625 
MYR Group *   6,166    1,541,747 
OPENLANE *   43,354    1,302,354 
Pitney Bowes   62,513    652,010 
Powell Industries    3,694    1,638,621 
Primoris Services    20,923    3,101,835 
Proto Labs *   10,267    540,558 
Quanex Building Products   22,578    422,660 
Resideo Technologies *   54,872    1,879,915 
Robert Half    37,746    1,306,389 
Rush Enterprises, Cl A    23,297    1,495,434 
RXO *   66,217    965,444 
Schneider National, Cl B   19,433    521,582 
SkyWest *   15,023    1,450,020 
Standex International    4,860    1,166,400 
Sun Country Airlines Holdings *   19,991    350,642 
Sunrun *   91,061    1,730,159 
Tennant    6,868    522,586 
Titan International *   26,455    252,381 
Trinity Industries   31,203    896,774 
UniFirst   5,844    1,256,460 
Upwork *   51,745    1,036,452 
Verra Mobility, Cl A *   63,414    1,223,890 
Vestis    56,053    366,026 
Vicor *   9,028    1,423,445 
Werner Enterprises    22,463    769,358 
WillScot Holdings    69,017    1,382,411 
Worthington Enterprises   12,611    700,793 
Zurn Elkay Water Solutions   57,829    2,666,495 
         102,632,197 
INFORMATION TECHNOLOGY — 12.9%      
A10 Networks   26,869    468,595 
ACI Worldwide *   38,648    1,675,777 
ACM Research, Cl A *   20,749    1,205,932 
Adeia    44,268    800,808 
Alarm.com Holdings *   18,892    921,552 
Alpha & Omega Semiconductor *   11,398    251,896 
Arlo Technologies *   42,506    539,401 
Axcelis Technologies *   11,617    1,023,109 
Badger Meter   11,040    1,618,243 
Benchmark Electronics   13,759    717,394 
BlackLine *   19,607    911,137 
Box, Cl A *   54,275    1,375,871 
COMMON STOCK — continued        
   Shares   Value 
INFORMATION TECHNOLOGY— continued          
Calix *   23,518   $1,050,549 
Cleanspark *   109,879    1,300,967 
Clear Secure, Cl A   34,953    1,140,167 
Cohu *   18,381    524,594 
Corsair Gaming *   27,464    140,066 
CTS    10,883    559,495 
Digi International *   14,093    606,986 
DigitalOcean Holdings *   26,819    1,481,750 
Diodes *   17,376    1,028,485 
DXC Technology *   65,231    941,283 
Enphase Energy *   49,051    1,813,906 
ePlus    9,812    841,968 
Extreme Networks *   50,944    742,764 
FormFactor *   29,601    2,086,574 
Grid Dynamics Holdings *   30,586    252,946 
Harmonic *   41,633    404,673 
Ichor Holdings *   13,981    424,184 
Impinj *   10,311    1,423,949 
Insight Enterprises *   11,605    975,052 
InterDigital    9,891    3,228,818 
Itron *   17,157    1,699,916 
Knowles *   31,898    773,208 
Kulicke & Soffa Industries   19,534    1,119,884 
LiveRamp Holdings *   25,327    616,712 
MARA Holdings *(A)   145,812    1,385,214 
MaxLinear, Cl A *   33,014    572,793 
Mirion Technologies, Cl A *   94,770    2,354,087 
N-able *   36,700    222,769 
NCR Voyix *   61,176    606,866 
NetScout Systems *   25,692    714,495 
OSI Systems *   5,981    1,496,087 
PC Connection    4,239    249,296 
PDF Solutions *   11,887    378,601 
Penguin Solutions *   18,463    354,674 
Photronics *   22,103    764,101 
Plexus *   10,110    2,015,226 
Power Integrations    20,729    952,290 
Progress Software *   16,505    675,385 
Q2 Holdings *   24,454    1,497,808 
Qorvo *   31,497    2,460,231 
Ralliant   43,369    2,297,256 
Rogers *   6,602    641,978 
Sanmina *   20,611    2,920,166 
ScanSource *   7,511    322,898 
Semtech *   33,068    2,637,173 
SiTime *   8,366    3,037,778 
SolarEdge Technologies *   24,112    746,266 
Sprinklr, Cl A *   45,058    287,470 
SPS Commerce *   14,589    1,302,214 
Teradata *   36,257    1,034,050 
Ultra Clean Holdings *   17,840    779,251 
Veeco Instruments *   22,537    703,831 
 
 

CATHOLIC RESPONSIBLE INVESTMENTS SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued        
   Shares   Value 
INFORMATION TECHNOLOGY— continued          
Viasat *   52,355   $2,364,875 
Viavi Solutions *   85,654    2,095,097 
Vishay Intertechnology    48,080    968,812 
         75,527,649 
MATERIALS — 5.6%          
Alpha Metallurgical Resources *   4,300    902,140 
Balchem    12,132    2,064,502 
Celanese, Cl A    42,299    1,879,768 
Century Aluminum *   21,171    959,681 
Chemours    60,224    902,758 
Eastman Chemical   42,731    2,962,113 
Element Solutions   85,214    2,479,727 
FMC    51,178    808,612 
Hawkins    7,953    1,035,878 
HB Fuller   20,262    1,217,746 
Ingevity *   14,507    954,416 
Innospec   9,282    758,525 
Kaiser Aluminum   6,035    740,012 
Koppers Holdings    7,323    215,736 
Materion    7,993    1,105,272 
Metallus *   15,051    300,268 
Minerals Technologies    11,813    776,823 
O-I Glass, Cl I *   62,378    953,136 
Quaker Chemical   5,248    806,828 
Sealed Air    55,113    2,308,132 
Sensient Technologies    15,914    1,504,191 
Solstice Advanced Materials *   60,598    3,743,139 
Stepan    7,981    459,785 
SunCoke Energy   31,512    247,684 
Sylvamo    12,410    607,345 
Warrior Met Coal   20,247    1,808,057 
Worthington Steel   12,187    490,283 
         32,992,557 
REAL ESTATE — 6.9%          
Acadia Realty Trust ‡   52,461    1,049,745 
Alexander & Baldwin ‡   27,255    565,269 
American Assets Trust ‡   17,566    317,242 
Apple Hospitality REIT ‡   82,418    959,346 
Armada Hoffler Properties ‡   29,828    207,901 
CareTrust REIT ‡   85,471    3,191,487 
Centerspace ‡   6,204    398,731 
Curbline Properties ‡   37,379    906,441 
Cushman & Wakefield *   89,076    1,464,409 
DiamondRock Hospitality ‡   76,307    700,498 
Douglas Emmett ‡   67,303    710,720 
Easterly Government Properties, Cl A ‡   16,792    392,765 
Essential Properties Realty Trust ‡   74,225    2,253,471 
eXp World Holdings   42,506    384,254 
Four Corners Property Trust ‡   39,739    979,566 
COMMON STOCK — continued        
   Shares   Value 
REAL ESTATE— continued          
Getty Realty ‡   19,900   $594,214 
Global Net Lease ‡   94,446    893,459 
Highwoods Properties ‡   41,167    1,064,167 
Innovative Industrial Properties, Cl A ‡   10,498    507,263 
JBG SMITH Properties ‡   31,461    529,803 
Kennedy-Wilson Holdings   55,767    549,305 
LTC Properties ‡   17,836    650,479 
LXP Industrial Trust ‡   23,944    1,186,445 
Macerich ‡   108,221    2,048,624 
Marcus & Millichap    10,251    278,827 
Millrose Properties ‡   62,186    1,853,143 
NexPoint Residential Trust ‡   11,844    357,926 
Outfront Media ‡   57,396    1,395,871 
Pebblebrook Hotel Trust ‡   57,933    661,595 
Phillips Edison ‡   47,125    1,707,339 
Ryman Hospitality Properties ‡   23,602    2,235,109 
Safehold ‡   17,120    241,563 
Saul Centers ‡   4,662    147,925 
SL Green Realty ‡   29,235    1,309,143 
St. Joe    14,998    992,718 
Summit Hotel Properties ‡   59,068    261,081 
Sunstone Hotel Investors ‡   74,835    656,303 
Tanger ‡   43,120    1,410,886 
Terreno Realty ‡   38,732    2,383,567 
Urban Edge Properties ‡   47,145    916,027 
Veris Residential ‡   34,825    528,992 
Whitestone REIT, Cl B ‡   16,752    238,549 
Xenia Hotels & Resorts ‡   35,515    523,846 
         40,606,014 
UTILITIES — 2.2%          
American States Water   16,874    1,231,127 
Avista   35,647    1,471,865 
California Water Service Group    26,377    1,179,052 
Chesapeake Utilities    10,464    1,346,507 
Clearway Energy, Cl A    16,213    547,513 
Clearway Energy, Cl C    36,575    1,322,186 
H2O America    15,154    788,614 
Hawaiian Electric Industries *   70,411    1,078,697 
MDU Resources Group   87,540    1,795,445 
Middlesex Water   9,203    482,053 
Northwest Natural Holding    19,423    904,335 
Unitil    8,347    424,946 
         12,572,340 
Total Common Stock          
(Cost $434,419,296)         579,509,501 
 
 

CATHOLIC RESPONSIBLE INVESTMENTS SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

RIGHTS — 0.0%        
   Number of
Rights
   Value 
Toriba Therapeutics * (B)(C)   2,044   $ 
           
Total Rights         
(Cost $122)          
SHORT-TERM INVESTMENT — 0.8%          
    Shares    Value 
State Street Institutional U.S. Government Money Market Fund, Institutional Class, 3.620%, (D)          
(Cost $4,772,606)   4,772,606   $4,772,606 
Total Short-Term Investment         
(Cost $4,772,606)        4,772,606 
Total Investments in Securities— 99.6%          
(Cost $439,192,024)       $584,282,107 

 

Percentages are based on Net Assets of $586,638,004.

 

A list of the open futures contracts held by the Fund at January 31, 2026, is as follows:

 

Type of Contract  Number of Contracts   Expiration Date   Notional Amount   Value   Unrealized Appreciation/ (Depreciation) 
Long Contracts Russell 2000 Index E-Mini   57    Mar-2026   $7,568,230   $7,480,110   $(88,120)

 

*Non-income producing security.
Real Estate Investment Trust.
(A)This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $4,541,460.

(B)Level 3 security in accordance with fair value hierarchy.

(C)Expiration date not available.

(D)This security was purchased with cash collateral received from securities lending. The total was of such securities as of January 31, 2026, was $4,772,606.

 

Cl — Class 

REIT — Real Estate investment Trust

 

Amounts designated as “–” are $0 or have been round to $0.

 

CRI-QH-001-0900 

 
 

CATHOLIC RESPONSIBLE INVESTMENTS MULTI-STYLE US EQUITY FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

SCHEDULE OF INVESTMENTS
COMMON STOCK — 98.7%#
   Shares   Value 
COMMUNICATION SERVICES — 9.5%
Alphabet, Cl A   44,300‌   $14,973,400‌ 
Alphabet, Cl C   51,563‌    17,455,622‌ 
Comcast, Cl A   1,814‌    53,966‌ 
Liberty Media -Liberty Formula One, Cl C *   352‌    30,631‌ 
Meta Platforms, Cl A   36,345‌    26,041,193‌ 
Netflix *   53,393‌    4,457,782‌ 
Spotify Technology *   107‌    53,537‌ 
TKO Group Holdings, Cl A   1,201‌    243,299‌ 
T-Mobile US   17,523‌    3,455,711‌ 
Walt Disney   42,784‌    4,826,035‌ 
         71,591,176‌ 
CONSUMER DISCRETIONARY — 7.8%
Airbnb, Cl A *   325‌    42,045‌ 
Amazon.com *   148,836‌    35,616,455‌ 
Aptiv *   20,613‌    1,561,435‌ 
AutoNation *   5,289‌    1,084,139‌ 
AutoZone *   686‌    2,541,143‌ 
Booking Holdings   498‌    2,490,916‌ 
Carvana, Cl A *   567‌    227,429‌ 
Cava Group *   15,035‌    911,422‌ 
Chipotle Mexican Grill, Cl A *   41,978‌    1,631,685‌ 
Darden Restaurants   233‌    46,448‌ 
Domino's Pizza   99‌    40,623‌ 
DoorDash, Cl A *   808‌    165,333‌ 
General Motors   2,417‌    203,028‌ 
Hilton Worldwide Holdings   974‌    290,749‌ 
Home Depot   8,053‌    3,016,573‌ 
Lowe's   1,137‌    303,647‌ 
Lululemon Athletica *   5,814‌    1,014,543‌ 
McDonald's   1,790‌    563,850‌ 
NIKE, Cl B   1,512‌    93,457‌ 
O'Reilly Automotive *   30,934‌    3,044,215‌ 
Pool   90‌    22,868‌ 
PulteGroup   1,518‌    189,887‌ 
Ross Stores   844‌    159,220‌ 
Royal Caribbean Cruises   685‌    222,385‌ 
Starbucks   1,500‌    137,925‌ 
Tesla *   6,258‌    2,693,506‌ 
TJX   2,796‌    418,869‌ 
Ulta Beauty *   152‌    98,399‌ 
Wingstop   273‌    72,462‌ 
         58,904,656‌ 
CONSUMER STAPLES — 4.7%
Coca-Cola   85,955‌    6,430,294‌ 
Coca-Cola Europacific Partners   18,431‌    1,690,123‌ 
Colgate-Palmolive   3,289‌    296,964‌ 
Costco Wholesale   4,690‌    4,409,772‌ 
elf Beauty *   553‌    46,999‌ 
Estee Lauder, Cl A   1,446‌    166,695‌ 
COMMON STOCK — continued
   Shares   Value 
CONSUMER STAPLES— continued
Kenvue   3,583‌   $62,344‌ 
Keurig Dr Pepper   4,976‌    136,541‌ 
Lamb Weston Holdings   1,350‌    62,005‌ 
Magnum Ice Cream *   138‌    2,450‌ 
Mondelez International, Cl A   2,146‌    125,477‌ 
Monster Beverage *   43,514‌    3,514,191‌ 
PepsiCo   2,065‌    317,246‌ 
Sysco   55,662‌    4,667,259‌ 
Target   861‌    90,810‌ 
Tyson Foods, Cl A   703‌    45,927‌ 
Unilever ADR   71,990‌    4,921,236‌ 
US Foods Holding *   87,340‌    7,303,371‌ 
Walmart   9,988‌    1,189,970‌ 
         35,479,674‌ 
ENERGY — 2.9%          
Baker Hughes, Cl A   2,860‌    160,274‌ 
Cenovus Energy   143,126‌    2,822,445‌ 
Chevron   4,898‌    866,456‌ 
ConocoPhillips   47,902‌    4,992,825‌ 
Diamondback Energy   29,023‌    4,758,321‌ 
EOG Resources   1,011‌    113,363‌ 
EQT Corporation   1,590‌    91,791‌ 
Expand Energy Corporation   708‌    79,586‌ 
Exxon Mobil   8,186‌    1,157,500‌ 
Marathon Petroleum   24,566‌    4,328,284‌ 
SLB Limited   38,536‌    1,864,372‌ 
Targa Resources   971‌    195,152‌ 
Valero Energy   738‌    133,895‌ 
Williams   5,018‌    337,511‌ 
         21,901,775‌ 
FINANCIALS — 15.1%          
Allstate   12,798‌    2,546,674‌ 
American Express   14,836‌    5,224,794‌ 
American International Group   2,938‌    219,997‌ 
Aon, Cl A   9,242‌    3,231,373‌ 
Apollo Global Management   26,607‌    3,579,706‌ 
Ares Management, Cl A   1,146‌    171,522‌ 
Arthur J Gallagher   5,474‌    1,365,051‌ 
Axis Capital Holdings   617‌    63,662‌ 
Bank of America   18,972‌    1,009,310‌ 
Bank of New York Mellon   2,751‌    329,900‌ 
Berkshire Hathaway, Cl B *   18,973‌    9,117,096‌ 
Blackstone   858‌    122,196‌ 
Block, Cl A *   5,196‌    313,994‌ 
Blue Owl Capital, Cl A   150,661‌    2,055,016‌ 
Capital One Financial   14,387‌    3,149,831‌ 
Cboe Global Markets   138‌    36,578‌ 
Charles Schwab   36,231‌    3,765,125‌ 
Chubb   2,032‌    629,026‌ 
Citigroup   7,075‌    818,648‌ 
CME Group, Cl A   1,411‌    407,864‌ 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS MULTI-STYLE US EQUITY FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued
   Shares   Value 
FINANCIALS— continued
Corebridge Financial   2,362‌   $72,820‌ 
Corpay *   7,933‌    2,495,960‌ 
East West Bancorp   1,196‌    136,870‌ 
Equitable Holdings   4,359‌    202,258‌ 
Everest Group   5,599‌    1,854,837‌ 
Fifth Third Bancorp   2,909‌    146,090‌ 
Fiserv *   590‌    37,601‌ 
Global Payments   82‌    5,883‌ 
Goldman Sachs Group   3,796‌    3,550,816‌ 
Hartford Insurance Group   929‌    125,471‌ 
Huntington Bancshares   215,890‌    3,773,757‌ 
Intercontinental Exchange   20,879‌    3,628,353‌ 
Invesco   1,900‌    51,851‌ 
JPMorgan Chase   42,821‌    13,098,516‌ 
KeyCorp   4,693‌    100,993‌ 
Klarna Group *(A)   225‌    5,191‌ 
LPL Financial Holdings   11,268‌    4,107,186‌ 
Marsh & McLennan   2,305‌    433,778‌ 
Mastercard, Cl A   13,476‌    7,260,734‌ 
MetLife   4,529‌    357,247‌ 
Moody's   20,498‌    10,567,949‌ 
Morgan Stanley   26,534‌    4,850,415‌ 
MSCI, Cl A   158‌    96,257‌ 
Popular   354‌    47,270‌ 
Progressive   851‌    177,008‌ 
RenaissanceRe Holdings   140‌    39,438‌ 
Robinhood Markets, Cl A *   1,097‌    109,130‌ 
S&P Global   713‌    376,314‌ 
Tradeweb Markets, Cl A   2,383‌    245,616‌ 
Truist Financial   615‌    31,623‌ 
US Bancorp   8,623‌    483,837‌ 
Visa, Cl A   37,680‌    12,126,554‌ 
Voya Financial   2,003‌    153,550‌ 
Wells Fargo   55,016‌    4,978,398‌ 
Western Alliance Bancorp   713‌    63,564‌ 
         113,950,498‌ 
HEALTH CARE — 6.7%
Boston Scientific *   4,008‌    374,868‌ 
Cardinal Health   666‌    143,110‌ 
Cencora, Cl A   22,233‌    7,986,538‌ 
Centene *   81,448‌    3,528,327‌ 
Cigna Group   593‌    162,547‌ 
CVS Health   54,469‌    4,059,030‌ 
Edwards Lifesciences *   1,197‌    97,388‌ 
Elevance Health   503‌    173,907‌ 
Guardant Health *   247‌    28,168‌ 
Humana   8,505‌    1,660,176‌ 
IDEXX Laboratories *   4,724‌    3,167,253‌ 
Intuitive Surgical *   1,047‌    527,918‌ 
McKesson   6,436‌    5,349,668‌ 
Medline, Cl A *   924‌    40,841‌ 
COMMON STOCK — continued
   Shares   Value 
HEALTH CARE— continued
Medtronic   55,496‌   $5,713,868‌ 
Natera *   97‌    22,421‌ 
Quest Diagnostics   29,698‌    5,554,417‌ 
ResMed   512‌    132,255‌ 
Stryker   23,493‌    8,682,073‌ 
Veeva Systems, Cl A *   9,296‌    1,895,640‌ 
West Pharmaceutical Services   4,939‌    1,141,502‌ 
Zoetis, Cl A   464‌    57,917‌ 
         50,499,832‌ 
INDUSTRIALS — 12.6%
3M   461‌    70,607‌ 
Allegion   8,778‌    1,451,793‌ 
AMETEK   51,021‌    11,427,684‌ 
API Group *   3,292‌    136,848‌ 
Automatic Data Processing   86‌    21,227‌ 
Booz Allen Hamilton Holding, Cl A   380‌    33,600‌ 
Canadian National Railway   1,323‌    127,299‌ 
Carrier Global   1,990‌    118,564‌ 
Caterpillar   1,290‌    847,994‌ 
CH Robinson Worldwide   30,195‌    5,886,515‌ 
Cintas   983‌    188,136‌ 
Copart *   70,557‌    2,863,203‌ 
CSX   8,820‌    333,043‌ 
Cummins   8,429‌    4,878,874‌ 
Dayforce *   234‌    16,209‌ 
Deere   850‌    448,800‌ 
Dover   950‌    191,416‌ 
Emerson Electric   10,661‌    1,566,741‌ 
Equifax   257‌    51,760‌ 
Esab   985‌    119,284‌ 
FedEx   13,034‌    4,200,206‌ 
GE Vernova   13,032‌    9,466,054‌ 
HEICO   10,726‌    3,549,341‌ 
Howmet Aerospace   1,250‌    260,100‌ 
Hubbell, Cl B   10,125‌    4,940,392‌ 
Ingersoll Rand   1,315‌    113,208‌ 
Johnson Controls International   1,449‌    172,808‌ 
Middleby *   944‌    138,928‌ 
Mueller Industries   328‌    44,654‌ 
Old Dominion Freight Line   14,748‌    2,554,354‌ 
PACCAR   1,828‌    224,679‌ 
Parker-Hannifin   514‌    481,022‌ 
QXO *   91,262‌    2,024,191‌ 
Saia *   688‌    230,391‌ 
SiteOne Landscape Supply *   482‌    69,186‌ 
Stanley Black & Decker   731‌    57,500‌ 
Trane Technologies   433‌    182,111‌ 
TransDigm Group   9,695‌    13,840,000‌ 
TransUnion   24,784‌    1,958,432‌ 
Uber Technologies *   56,318‌    4,508,256‌ 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS MULTI-STYLE US EQUITY FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued
   Shares   Value 
INDUSTRIALS— continued
Union Pacific   197‌   $46,315‌ 
United Airlines Holdings *   21,232‌    2,172,458‌ 
United Rentals   7,929‌    6,200,954‌ 
Veralto   23,173‌    2,293,664‌ 
Verisk Analytics, Cl A   4,690‌    1,019,887‌ 
Vertiv Holdings, Cl A   1,175‌    218,762‌ 
Waste Connections   664‌    111,286‌ 
Waste Management   676‌    150,234‌ 
Westinghouse Air Brake          
Technologies   10,566‌    2,431,659‌ 
WW Grainger   180‌    194,389‌ 
Xylem   364‌    50,185‌ 
         94,685,203‌ 
INFORMATION TECHNOLOGY — 31.3%
Accenture, Cl A   2,602‌    685,991‌ 
Adobe *   666‌    195,304‌ 
Advanced Micro Devices *   16,744‌    3,963,807‌ 
Amphenol, Cl A   46,893‌    6,756,343‌ 
Analog Devices   28,809‌    8,956,142‌ 
Apple   146,977‌    38,137,592‌ 
Applied Materials   18,218‌    5,872,026‌ 
AppLovin, Cl A *   835‌    395,047‌ 
Arista Networks *   3,048‌    432,024‌ 
Autodesk *   250‌    63,217‌ 
Broadcom   54,814‌    18,159,878‌ 
CDW   448‌    56,623‌ 
Cisco Systems   8,173‌    640,109‌ 
Crowdstrike Holdings, Cl A *   611‌    269,698‌ 
Dell Technologies, Cl C   25,838‌    2,956,901‌ 
Descartes Systems Group *   1,735‌    129,709‌ 
Fair Isaac *   28‌    40,969‌ 
First Solar *   344‌    77,579‌ 
Flex *   44,229‌    2,788,196‌ 
Fortinet *   2,243‌    182,266‌ 
HubSpot *   70‌    19,600‌ 
Intel *   12,129‌    563,635‌ 
International Business Machines   479‌    146,909‌ 
Intuit   9,605‌    4,792,127‌ 
Keysight Technologies *   12,247‌    2,649,393‌ 
KLA   640‌    913,882‌ 
Lam Research   4,966‌    1,159,362‌ 
Microchip Technology   55,017‌    4,176,891‌ 
Micron Technology   21,649‌    8,981,737‌ 
Microsoft   89,190‌    38,377,565‌ 
Monolithic Power Systems   446‌    501,371‌ 
NVIDIA   223,703‌    42,756,354‌ 
NXP Semiconductors   20,454‌    4,625,468‌ 
Oracle   49,831‌    8,201,186‌ 
Palantir Technologies, Cl A *   1,020‌    149,522‌ 
Palo Alto Networks *   1,958‌    346,507‌ 
COMMON STOCK — continued
   Shares   Value 
INFORMATION TECHNOLOGY— continued
PTC *   214‌   $33,412‌ 
QUALCOMM   558‌    84,587‌ 
Salesforce   1,729‌    367,050‌ 
Sandisk *   993‌    572,216‌ 
SAP ADR   16,797‌    3,376,869‌ 
Seagate Technology Holdings   1,258‌    512,874‌ 
ServiceNow *   23,983‌    2,806,251‌ 
Snowflake, Cl A *   12,007‌    2,313,749‌ 
Synopsys *   122‌    56,744‌ 
Taiwan Semiconductor Manufacturing ADR   32,687‌    10,805,015‌ 
TE Connectivity   1,715‌    382,068‌ 
Teradyne   942‌    227,069‌ 
Trimble *   17,958‌    1,213,961‌ 
Tyler Technologies *   4,965‌    1,834,071‌ 
Western Digital   2,376‌    594,547‌ 
Workday, Cl A *   257‌    45,137‌ 
         234,346,550‌ 
MATERIALS — 5.3%
Agnico Eagle Mines   186‌    35,433‌ 
Ball   1,491‌    84,793‌ 
CF Industries Holdings   496‌    46,242‌ 
Corteva   1,323‌    96,314‌ 
CRH   59,902‌    7,332,604‌ 
Dow   598‌    16,475‌ 
Ecolab   640‌    180,474‌ 
Franco-Nevada   915‌    214,439‌ 
Freeport-McMoRan   58,692‌    3,535,019‌ 
International Paper   3,224‌    129,992‌ 
Kinross Gold   209,150‌    6,600,774‌ 
Linde   21,552‌    9,848,617‌ 
Martin Marietta Materials   3,144‌    2,049,731‌ 
Mosaic   1,034‌    28,435‌ 
Newmont   39,511‌    4,439,061‌ 
Packaging Corp of America   250‌    55,638‌ 
Reliance   8,235‌    2,713,432‌ 
RPM International   105‌    11,231‌ 
Sherwin-Williams   562‌    199,308‌ 
Steel Dynamics   11,623‌    2,087,142‌ 
West Fraser Timber   1,162‌    79,434‌ 
         39,784,588‌ 
REAL ESTATE — 0.8%
American Tower ‡   22,491‌    4,032,187‌ 
AvalonBay Communities ‡   421‌    74,799‌ 
BXP ‡   604‌    39,061‌ 
CBRE Group, Cl A *   981‌    167,094‌ 
CoStar Group *   259‌    15,929‌ 
CubeSmart ‡   1,646‌    61,774‌ 
Equinix ‡   338‌    277,474‌ 
Equity LifeStyle Properties ‡   244‌    15,413‌ 
Essex Property Trust ‡   305‌    76,820‌ 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS MULTI-STYLE US EQUITY FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued
   Shares   Value 
REAL ESTATE— continued
Kimco Realty ‡   2,280   $48,062 
Prologis ‡   2,527    329,925 
Public Storage ‡   410    113,238 
Regency Centers ‡   653    47,584 
Rexford Industrial Realty ‡   4,391    177,967 
Simon Property Group ‡   515    98,525 
Sun Communities ‡   307    39,121 
Welltower ‡   1,610    303,260 
         5,918,233 
UTILITIES — 2.0%
Alliant Energy   4,334    285,654 
Atmos Energy   920    153,033 
CenterPoint Energy   63,949    2,538,136 
CMS Energy   1,351    96,583 
Consolidated Edison   2,089    222,750 
Constellation Energy   506    142,024 
Entergy   38,763    3,716,984 
Exelon   1,055    47,243 
FirstEnergy   115,300    5,458,302 
NextEra Energy   6,275    551,572 
NRG Energy   8,950    1,366,038 
PG&E   15,701    242,109 
Sempra   3,185    277,127 
Southern   2,350    209,879 
         15,307,434 
           
Total Common Stock          
(Cost $505,182,639)        742,369,619 
           
SHORT-TERM INVESTMENT — 0.0%
           
State Street Institutional U.S. Government Money Market Fund, Institutional Class, 3.620%, (B)          
(Cost $4,727)   4,727   $4,727 
Total Short-Term Investment          
(Cost $4,727)        4,727 
Total Investments in Securities— 98.7%
(Cost $505,187,366)       $742,374,346 

 

Percentages are based on Net Assets of $752,431,056.

 

# More narrow industries are utilized for compliance purposes, whereas broad sectors are utilized for reporting purposes.
* Non-income producing security.
Real Estate Investment Trust.
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $4,406.
(B) This security was purchased with cash collateral received from securities lending. The total was of such securities as of January 31, 2026, was $4,727.

 

ADR — American Depositary Receipt 

Cl — Class

 

CRI-QH-001-0900

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL EQUITY FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

SCHEDULE OF INVESTMENTS
COMMON STOCK — 97.4%          
   Shares   Value 
AUSTRALIA — 0.2%          
Materials — 0.2%          
Sandfire Resources *   367,531   $5,017,119 
           
AUSTRIA — 0.6%          
Financials — 0.6%          
Erste Group Bank   106,759    13,930,033 
           
BELGIUM — 0.9%          
Consumer Staples — 0.6%          
Anheuser-Busch InBev   178,217    12,875,193 
           
Materials — 0.3%          
Syensqo   85,856    7,252,213 
           
         20,127,406 
BERMUDA — 1.0%          
Financials — 1.0%          
Arch Capital Group *   230,607    22,147,496 
           
BRAZIL — 1.8%          
Consumer Discretionary — 0.2%          
C&A MODAS   145,000    331,790 
Cogna Educacao   1,295,690    1,128,505 
Cyrela Brazil Realty Empreendimentos e Participacoes   128,400    732,306 
Direcional Engenharia   351,700    940,455 
Vibra Energia   85,600    468,584 
         3,601,640 
Financials — 1.0%          
NU Holdings, Cl A *   1,241,677    22,039,767 
Pagseguro Digital, Cl A   170,511    1,918,248 
         23,958,015 
Industrials — 0.2%          
Localiza Rent a Car   365,286    3,379,674 
Movida Participacoes   236,500    561,939 
         3,941,613 
Materials — 0.4%          
Gerdau ADR   459,128    1,960,477 
Suzano   473,100    4,453,992 
Vale ADR, Cl B   125,053    2,009,602 
         8,424,071 
COMMON STOCK — continued
   Shares   Value 
BRAZIL — continued
Utilities — 0.0%          
Cia de Saneamento de Minas Gerais Copasa MG   37,600   $366,050 
           
         40,291,389 
CANADA — 4.4%          
Consumer Discretionary — 0.4%          
Dollarama   39,672    5,375,928 
Gildan Activewear   51,800    3,384,223 
         8,760,151 
Energy — 0.3%          
ARC Resources   281,000    5,243,784 
Gibson Energy, Cl Common Subs. Receipt   120,400    2,383,727 
         7,627,511 
Industrials — 2.5%          
Canadian Pacific Kansas City (CAD)   216,673    16,195,873 
Canadian Pacific Kansas City (USD)   293,838    21,843,917 
Stantec   68,500    6,825,972 
Waste Connections   72,231    12,105,915 
         56,971,677 
Information Technology — 1.0%          
Shopify, Cl A *   119,445    15,674,768 
Shopify, Cl A *   58,600    7,731,833 
         23,406,601 
Materials — 0.2%          
Barrick Mining   78,152    3,592,054 
           
         100,357,994 
CHILE — 0.1%          
Consumer Discretionary — 0.0%          
Falabella   125,274    984,505 
           
Industrials — 0.1%          
Latam Airlines Group   36,393,422    1,195,217 
           
         2,179,722 
CHINA — 6.7%          
Communication Services — 3.4%          
G-bits Network Technology Xiamen, Cl A   24,600    1,608,488 
Giant Network Group, Cl A   255,500    1,615,111 
Kuaishou Technology, Cl B   44,400    453,779 
Perfect World, Cl A   386,100    1,045,746 
Tencent Holdings   914,792    70,334,175 
Tencent Music Entertainment Group ADR   70,902    1,189,736 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL EQUITY FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued
   Shares   Value 
CHINA — continued
Communication Services— continued
Weibo ADR   108,122   $1,143,931 
         77,390,966 
Consumer Discretionary — 1.1%
Alibaba Group Holding ADR   46,146    7,824,516 
Atour Lifestyle Holdings ADR   25,611    915,337 
Haier Smart Home, Cl A   410,800    1,354,709 
Pop Mart International Group   88,400    2,527,828 
Yum China Holdings   270,464    13,366,331 
         25,988,721 
Consumer Staples — 0.2%
Guangdong Haid Group, Cl A   154,295    1,144,437 
JD Health International *   203,500    1,637,790 
Kweichow Moutai, Cl A   11,500    2,318,296 
         5,100,523 
Financials — 1.2%
China Construction Bank, Cl H   7,690,921    7,768,143 
China Galaxy Securities, Cl H   1,330,500    1,789,669 
China International Capital, Cl H   224,000    607,267 
China Life Insurance, Cl H   806,000    3,587,995 
New China Life Insurance, Cl H   282,000    2,293,769 
People's Insurance Group of China, Cl H   2,171,000    1,888,332 
PICC Property & Casualty, Cl H   566,000    1,172,092 
Ping An Insurance Group of China, Cl H   649,500    6,026,192 
Qifu Technology ADR   69,028    1,073,385 
         26,206,844 
Health Care — 0.1%
Sinopharm Group, Cl H   690,000    1,841,654 
           
Industrials — 0.2%          
China Railway Group, Cl H   2,038,000    1,176,439 
COSCO SHIPPING Holdings, Cl H   906,700    1,593,527 
Harbin Electric, Cl H   408,000    1,036,706 
Yutong Bus, Cl A   415,400    1,848,607 
         5,655,279 
Materials — 0.5%
Asia - Potash International Investment Guangzhou, Cl A *   106,500    859,114 
China Hongqiao Group   846,500    3,872,803 
China Lumena New Materials *(A)   15,350     
Jiangxi Copper, Cl H   203,000    1,213,132 
Zhejiang NHU, Cl A   615,379    2,469,040 
Zijin Mining Group, Cl H   372,000    1,940,213 
         10,354,302 
         152,538,289 
COMMON STOCK — continued
   Shares   Value 
COLUMBIA — 0.0%
Financials — 0.0%          
Grupo Cibest ADR   5,608   $457,893 
           
DENMARK — 0.2%
Health Care — 0.2%
Ascendis Pharma ADR *   17,314    3,914,695 
           
FRANCE — 8.8%
Consumer Discretionary — 1.9%          
Hermes International   2,026    4,892,258 
Kering   107,710    33,746,806 
LVMH Moet Hennessy Louis Vuitton   8,643    5,598,491 
         44,237,555 
Consumer Staples — 0.6%
Danone   55,253    4,345,346 
L'Oreal   21,985    10,137,460 
         14,482,806 
Energy — 0.4%          
Gaztransport Et Technigaz   36,011    7,786,692 
           
Financials — 1.7%          
AXA   76,956    3,521,872 
BNP Paribas   174,253    18,910,851 
Societe Generale   180,024    15,832,706 
Worldline *(B)   547,763    931,203 
         39,196,632 
Health Care — 0.3%
Abivax *   14,398    1,619,289 
Ipsen   28,951    4,746,768 
         6,366,057 
Industrials — 2.8%          
Alstom *   950,775    30,466,974 
Cie de Saint-Gobain   179,307    17,762,868 
Elis   135,481    3,947,904 
Rexel   188,917    7,945,429 
Schneider Electric   11,624    3,344,727 
         63,467,902 
Information Technology — 0.8%
Capgemini   87,336    13,619,396 
Dassault Systemes   134,552    3,714,269 
         17,333,665 
Materials — 0.3%          
Air Liquide   40,332    7,580,097 
           
         200,451,406 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL EQUITY FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued
   Shares   Value 
GERMANY — 9.7%          
Communication Services — 1.8%          
Deutsche Telekom   1,101,008   $37,082,127 
Scout24   43,785    4,375,123 
         41,457,250 
Financials — 1.3%          
Deutsche Bank   193,042    7,645,317 
Deutsche Boerse   53,110    13,497,641 
Hannover Rueck   30,467    8,645,819 
         29,788,777 
Industrials — 3.4%          
Daimler Truck Holding   82,858    4,026,469 
Siemens Energy *   421,645    72,100,814 
         76,127,283 
Information Technology — 2.7%          
Infineon Technologies   374,887    18,391,972 
Nemetschek   78,972    6,925,192 
SAP   178,577    35,803,605 
         61,120,769 
Materials — 0.3%          
LANXESS   346,433    7,181,688 
           
Utilities — 0.2%          
E.ON   216,315    4,604,672 
RWE   1,067    68,005 
         4,672,677 
         220,348,444 
GREECE — 0.6%          
Consumer Discretionary — 0.0%          
FF Group *(A)   8,921     
           
Financials — 0.6%          
National Bank of Greece   723,101    12,812,308 
Piraeus Bank   48,550    491,519 
         13,303,827 
Utilities — 0.0%          
Public Power   32,336    767,073 
           
         14,070,900 
HONG KONG — 1.4%          
Consumer Discretionary — 0.1%          
Geely Automobile Holdings   637,000    1,311,663 
           
Consumer Staples — 0.0%          
WH Group   75,534    89,165 
           
Financials — 1.2%          
AIA Group   1,594,000    18,396,399 
COMMON STOCK — continued          
   Shares   Value 
HONG KONG — continued
Financials— continued
Prudential   619,135   $10,198,432 
         28,594,831 
Information Technology — 0.1%
Lenovo Group   1,122,000    1,264,561 
           
         31,260,220 
HUNGARY — 0.1%
Industrials — 0.1%
Wizz Air Holdings *(B)   105,526    2,052,551 
           
INDIA — 2.9%
Communication Services — 0.0%
Bharti Airtel   54,069    1,159,616 
           
Consumer Discretionary — 0.3%
Cartrade Tech *   28,308    816,470 
Eicher Motors   13,094    1,014,800 
Mahindra & Mahindra   56,625    2,114,362 
Maruti Suzuki India   8,432    1,339,578 
TVS Motor   38,645    1,546,934 
         6,832,144 
Consumer Staples — 0.1%
Radico Khaitan   12,043    370,379 
Varun Beverages   489,006    2,504,849 
         2,875,228 
Energy — 0.1%
Bharat Petroleum   364,156    1,443,715 
           
Financials — 1.6%
Bank of Baroda   335,498    1,093,330 
Bank of India   957,684    1,710,990 
BSE   32,148    977,807 
Canara Bank   1,331,344    2,136,803 
HDFC Bank ADR   114,598    3,710,683 
ICICI Bank ADR   600,334    17,583,783 
IIFL Finance   104,469    601,617 
LIC Housing Finance   198,063    1,134,699 
Muthoot Finance   61,714    2,571,679 
REC   645,913    2,560,301 
South Indian Bank   3,104,948    1,269,813 
         35,351,505 
Industrials — 0.1%
Cummins India   28,074    1,256,352 
Gujarat Pipavav Port   336,771    612,064 
Polycab India   15,921    1,217,012 
         3,085,428 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL EQUITY FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued
   Shares   Value 
INDIA — continued
Information Technology — 0.2%
Infosys ADR (B)   131,497   $2,311,717 
Persistent Systems   23,294    1,531,645 
Tech Mahindra   24,940    473,213 
         4,316,575 
Materials — 0.5%          
APL Apollo Tubes   117,177    2,605,772 
Chambal Fertilisers and Chemicals   159,448    765,511 
Hindalco Industries   172,361    1,794,159 
National Aluminium   524,619    2,186,013 
Paradeep Phosphates   480,037    726,169 
Vedanta   322,578    2,385,721 
         10,463,345 
         65,527,556 
INDONESIA — 0.3%
Consumer Staples — 0.0%          
Indofood Sukses Makmur   1,000,600    406,335 
           
Financials — 0.2%
Bank Central Asia   7,563,300    3,341,840 
           
Industrials — 0.1%
Astra International   5,476,900    2,076,683 
           
Utilities — 0.0%
Perusahaan Gas Negara Persero   5,956,700    754,088 
           
         6,578,946 
IRELAND — 3.4%
Consumer Discretionary — 0.1%          
PDD Holdings ADR *   27,394    2,768,164 
           
Financials — 1.1%
AIB Group   1,173,874    13,169,385 
Aon, Cl A   35,693    12,479,701 
         25,649,086 
Health Care — 0.8%          
Medtronic   184,823    19,029,376 
           
Industrials — 0.8%          
Experian   294,837    11,198,704 
Ryanair Holdings   201,711    6,870,802 
         18,069,506 
COMMON STOCK — continued
   Shares   Value 
IRELAND — continued
Materials — 0.6%          
Smurfit WestRock   293,398   $12,214,159 
           
         77,730,291 
ISRAEL — 0.5%          
Information Technology — 0.5%
Monday.com *   49,371    5,665,322 
Nice ADR *(B)   28,709    3,054,925 
Wix.com *   30,469    2,645,928 
         11,366,175 
         11,366,175 
ITALY — 1.6%          
Consumer Discretionary — 0.6%
Ferrari   22,812    7,636,482 
PRADA   1,044,900    5,343,563 
         12,980,045 
Financials — 0.7%          
Generali   7,580    310,314 
UniCredit   194,867    17,043,563 
         17,353,877 
Utilities — 0.3%          
Enel   583,502    6,470,271 
           
         36,804,193 
JAPAN — 8.6%          
Communication Services — 1.6%
KDDI   472,200    7,998,455 
Nintendo   469,700    29,180,712 
         37,179,167 
Financials — 1.2%          
Sompo Holdings   598,200    20,695,507 
Sumitomo Mitsui Financial Group   173,900    6,139,455 
         26,834,962 
Health Care — 0.7%
Hoya   95,700    16,106,275 
           
Industrials — 3.2%
FANUC   492,800    19,852,325 
Kajima   182,200    7,457,081 
Komatsu   125,300    4,811,430 
Mitsubishi Electric   450,800    14,138,548 
Obayashi   179,500    4,065,045 
SMC   41,200    16,069,298 
TOPPAN Holdings   226,900    7,031,604 
         73,425,331 
Information Technology — 1.8%
Keyence   25,300    9,311,655 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL EQUITY FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued
   Shares   Value 
JAPAN — continued
Information Technology— continued
Murata Manufacturing   41,900   $853,981 
Renesas Electronics   1,832,500    30,564,899 
         40,730,535 
Materials — 0.1%          
Toyo Seikan Group Holdings   102,900    2,590,116 
           
         196,866,386 
JERSEY — 0.1%          
Financials — 0.1%          
CVC Capital Partners   91,198    1,626,178 
           
MALAYSIA — 0.1%          
Industrials — 0.1%          
Zetrix Ai   7,867,400    1,607,203 
           
Materials — 0.0%          
Press Metal Aluminium Holdings   395,600    758,338 
           
         2,365,541 
MEXICO — 0.4%          
Consumer Discretionary — 0.0%
Alsea   127,900    393,056 
           
Consumer Staples — 0.1%
Arca Continental   138,900    1,576,207 
           
Financials — 0.2%          
Gentera   669,600    1,874,818 
Grupo Financiero Banorte, Cl O   210,300    2,388,500 
         4,263,318 
Materials — 0.1%          
Grupo Mexico   216,600    2,407,735 
         8,640,316 
NETHERLANDS — 7.5%          
Communication Services — 0.3%
Universal Music Group   244,886    6,025,810 
           
Consumer Staples — 0.6%
Heineken   162,728    13,481,926 
JBS *   99,281    1,568,987 
         15,050,913 
Financials — 1.2%          
Adyen *   13,145    19,562,788 
ASR Nederland   34,995    2,550,942 
COMMON STOCK — continued
   Shares   Value 
NETHERLANDS — continued
Financials— continued          
ING Groep   220,284   $6,519,971 
         28,633,701 
Health Care — 0.7%          
Koninklijke Philips   545,587    15,723,882 
           
Information Technology — 4.3%
ASM International   24,501    20,651,497 
ASML Holding   24,405    35,121,564 
ASML Holding, Cl G   29,596    42,115,108 
         97,888,169 
Materials — 0.4%
Akzo Nobel   124,379    8,745,301 
           
         172,067,776 
NEW ZEALAND — 0.1%
Health Care — 0.1%
Fisher & Paykel Healthcare   118,728    2,786,320 
           
POLAND — 0.1%
Consumer Discretionary — 0.0%
LPP   83    460,528 
           
Financials — 0.1%
Powszechny Zaklad Ubezpieczen   104,607    2,067,974 
           
         2,528,502 
QATAR — 0.0%
Communication Services — 0.0%
Ooredoo QPSC   232,327    913,575 
           
RUSSIA — 0.0%
Financials — 0.0%
Sberbank of Russia PJSC ADR (A)   55,964     
           
SINGAPORE — 3.6%
Communication Services — 0.0%
JOYY ADR   14,761    949,870 
           
Consumer Discretionary — 1.8%
Sea ADR *   258,472    30,109,403 
Trip.com Group   174,700    10,725,621 
         40,835,024 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL EQUITY FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued
   Shares   Value 
SINGAPORE — continued
Financials — 0.4%
United Overseas Bank   302,700   $9,145,411 
           
Information Technology — 1.4%
Seagate Technology Holdings   77,032    31,405,176 
           
         82,335,481 
SOUTH AFRICA — 0.4%
Communication Services — 0.0%
MTN Group Limited   43,320    484,537 
           
Materials — 0.4%
Gold Fields   83,491    4,158,950 
Impala Platinum Holdings   203,289    3,816,620 
         7,975,570 
         8,460,107 
SOUTH KOREA — 4.6%
Communication Services — 0.1%
KT   26,647    1,054,252 
LG Uplus   76,888    854,199 
         1,908,451 
Consumer Discretionary — 0.4%
Hankook Tire & Technology   15,126    669,005 
Hyundai Mobis   5,889    1,840,059 
Hyundai Motor   11,102    3,864,669 
Kia   26,561    2,826,176 
Youngone   14,225    898,512 
         10,098,421 
Energy — 0.1%
HD Hyundai   7,656    1,242,476 
           
Financials — 0.4%
DB Insurance   10,093    996,476 
Hana Financial Group   36,808    2,557,496 
KIWOOM Securities   3,993    1,227,366 
Samsung Securities   16,837    1,056,828 
Shinhan Financial Group   34,495    2,016,017 
Woori Financial Group   85,100    1,780,196 
         9,634,379 
Industrials — 0.2%
GS Holdings   12,303    586,002 
Hanwha   24,068    1,910,878 
HD Korea Shipbuilding & Offshore Engineering   3,343    957,548 
Hyosung Heavy Industries   689    1,235,763 
LX International   23,830    632,556 
         5,322,747 
Information Technology — 3.3%
BH *   32,122    406,372 
COMMON STOCK — continued
   Shares   Value 
SOUTH KOREA — continued
Information Technology— continued
LG Innotek   5,063   $859,706 
Samsung Electronics GDR   3,662    10,081,196 
Samsung Electronics   279,565    30,884,882 
SK Hynix   51,689    32,273,447 
         74,505,603 
Utilities — 0.1%
Korea Electric Power   46,228    1,864,519 
           
         104,576,596 
SPAIN — 0.4%
Consumer Discretionary — 0.3%
Industria de Diseno Textil   117,956    7,703,287 
           
Utilities — 0.1%          
Iberdrola   90,961    2,052,481 
Iberdrola (B)   90,961    27,713 
         2,080,194 
         9,783,481 
           
SWEDEN — 2.6%
Communication Services — 1.2%
Spotify Technology *   56,677    28,358,337 
           
Consumer Discretionary — 0.3%
Electrolux, Cl B *   874,425    7,107,338 
           
Industrials — 0.7%
Atlas Copco, Cl A   723,914    15,021,873 
           
Information Technology — 0.4%
Hexagon, Cl B   791,896    8,984,384 
           
         59,471,932 
SWITZERLAND — 2.2%
Consumer Staples — 0.0%
Nestle   375    35,924 
           
Financials — 1.0%
UBS Group   499,332    23,718,136 
           
Health Care — 0.5%
Alcon   102,739    8,348,334 
Galderma Group   17,311    3,239,324 
         11,587,658 
Industrials — 0.7%          
ABB   171,922    14,859,823 
           
         50,201,541 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL EQUITY FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued
   Shares   Value 
TAIWAN — 7.2%          
Consumer Discretionary — 0.0%
Pou Chen   600,000   $579,950 
           
Industrials — 0.1%
Eva Airways   1,159,000    1,371,836 
Evergreen Marine Taiwan   153,000    903,649 
         2,275,485 
Information Technology — 7.1%
Accton Technology   74,000    2,587,281 
ADATA Technology   158,000    1,788,265 
Asia Vital Components   35,087    1,594,090 
ASPEED Technology   6,772    1,893,830 
Chroma ATE   46,000    1,412,495 
Delta Electronics   69,000    2,633,202 
Elite Material   25,000    1,356,064 
Global Unichip   11,000    902,519 
Gold Circuit Electronics   119,000    2,598,608 
Hon Hai Precision Industry   606,000    4,188,927 
King Slide Works   5,000    492,225 
King Yuan Electronics   137,000    1,269,328 
MPI   12,000    948,347 
Taiwan Semiconductor Manufacturing   1,572,000    86,925,213 
Taiwan Semiconductor Manufacturing ADR   143,603    47,469,408 
Taiwan Surface Mounting Technology   162,000    472,570 
Wistron   404,000    1,653,329 
Wiwynn   18,000    2,017,658 
         162,203,359 
         165,058,794 
THAILAND — 0.1%
Consumer Discretionary — 0.0%
Com7, Cl F   1,343,400    933,353 
           
Consumer Staples — 0.1%
CP ALL   1,097,600    1,513,208 
           
Real Estate — 0.0%
Sansiri   4,163,200    181,471 
           
         2,628,032 
TÜRKIYE — 0.2%
Consumer Discretionary — 0.0%
Dogus Otomotiv Servis ve Ticaret   151,835    801,662 
COMMON STOCK — continued
   Shares   Value 
TÜRKIYE — continued
Consumer Staples — 0.0%
Ulker Biskuvi Sanayi   320,286   $999,201 
           
Industrials — 0.1%
Anadolu Grubu Holding   697,997    561,311 
Turk Hava Yollari AO   154,782    1,082,506 
         1,643,817 
Real Estate — 0.1%
Emlak Konut Gayrimenkul Yatirim Ortakligi ‡   2,749,475    1,616,251 
           
         5,060,931 
UNITED ARAB EMIRATES — 0.2%
Communication Services — 0.0%
Emirates Telecommunications Group PJSC   71,452    383,267 
           
Financials — 0.1%
Emirates NBD Bank PJSC   134,238    1,136,842 
           
Real Estate — 0.1%
Emaar Properties PJSC   549,740    2,248,726 
           
         3,768,835 
UNITED KINGDOM — 11.5%
Communication Services — 0.2%
Zegona Communications   167,694    3,626,515 
           
Consumer Discretionary — 1.7%
Berkeley Group Holdings   106,373    6,027,082 
Compass Group   151,647    4,560,163 
InterContinental Hotels Group   42,600    5,755,273 
SSP Group   6,788,216    17,045,061 
WH Smith   651,349    6,033,246 
         39,420,825 
Consumer Staples — 1.3%
Diageo   620,662    14,322,325 
Unilever   222,511    15,180,429 
         29,502,754 
Energy — 0.6%
BP   2,301,330    14,633,308 
Shell (EUR)   1,553    60,050 
Shell (GBP)   1,668    64,300 
         14,757,658 
Financials — 3.4%
3i Group   628,554    28,957,525 
Barclays   3,482,746    23,310,335 
Lloyds Banking Group   3,101,841    4,644,887 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL EQUITY FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued
   Shares   Value 
UNITED KINGDOM — continued
Financials— continued
NatWest Group   1,218,612   $11,139,046 
Standard Chartered   334,642    8,586,701 
         76,638,494 
Health Care — 0.8%
Smith & Nephew   1,040,854    17,790,113 
           
Industrials — 1.3%
Ashtead Group   155,102    10,013,882 
RELX (EUR)   358,316    12,844,633 
Smiths Group   114,103    3,929,676 
Weir Group   84,550    3,745,112 
         30,533,303 
Information Technology — 0.5%
Halma   79,231    3,859,106 
Sage Group   496,651    6,531,251 
         10,390,357 
Materials — 0.7%
Linde   35,288    16,125,557 
Rio Tinto   535    48,950 
         16,174,507 
Real Estate — 0.4%          
Segro ‡   816,337    8,529,313 
           
Utilities — 0.6%          
National Grid   825,526    14,065,298 
           
         261,429,137 
UNITED STATES — 2.0%
Consumer Discretionary — 0.9%
Carnival *   505,501    15,175,140 
Coupang, Cl A *   277,773    5,599,904 
         20,775,044 
Financials — 0.1%          
Eurobank   542,380    2,660,225 
           
Industrials — 0.9%          
Ferguson Enterprises   80,530    20,330,604 
           
Materials — 0.1%          
Anglogold Ashanti   23,112    2,098,594 
           
         45,864,467 
COMMON STOCK — continued
   Shares   Value 
URUGUAY — 0.3%
Consumer Discretionary — 0.3%
MercadoLibre *   2,688   $5,773,260 
           
Total Common Stock          
(Cost $1,579,916,692)        2,219,359,906 
           
PREFERRED STOCK — 0.0%
           
BRAZIL — 0.0%
Consumer Discretionary — 0.0%          
Cyrela Brazil Realty Empreendimentos e Participacoes* (C)   24,342    130,836 
Industrials — 0.0%          
Localiza Rent a Car* (C)   14,049    125,613 
         256,449 
           
Total Preferred Stock          
(Cost $195,546)        256,449 
           
SHORT-TERM INVESTMENT — 0.4%
           
State Street Institutional U.S. Government Money Market Fund, Institutional Class, 3.620%, (D)          
(Cost $8,368,428)   8,368,428   $8,368,428 
Total Short-Term Investment          
(Cost $8,368,428)        8,368,428 
Total Investments in Securities— 97.8%
(Cost $1,588,480,666)       $2,227,984,783 

 

Percentages are based on Net Assets of $2,278,210,102.

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL EQUITY FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

* Non-income producing security.
Real Estate Investment Trust.
(A) Level 3 security in accordance with fair value hierarchy.
(B) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $7,993,978.
(C) There is currently no rate available.
(D) This security was purchased with cash collateral received from securities lending. The total was of such securities as of January 31, 2026, was $8,368,428.

 

ADR — American Depositary Receipt 

CAD — Canadian Dollar 

Cl — Class 

EUR — Euro 

GBP — British Pound 

GDR — Global Depositary Receipt 

PJSC — Public Joint-Stock Company 

QPSC — Qatari Joint-Stock Company 

USD — U.S. Dollar

 

Amounts designated as “–” are $0 or have been round to $0.

 

CRI-QH-001-0900

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

SCHEDULE OF INVESTMENTS

COMMON STOCK — 88.0%

   Shares   Value 
AUSTRALIA — 4.6%          
Consumer Staples — 0.1% 
Inghams Group   93,796   $164,010 
           
Financials — 0.5%          
Helia Group   16,861    68,589 
Steadfast Group   149,845    545,936 
         614,525 
Health Care — 0.4%          
Ansell   21,126    481,861 
Regis Healthcare   14,682    69,253 
         551,114 
Industrials — 1.0%          
Emeco Holdings *   112,469    103,439 
Mader Group   7,063    40,623 
Monadelphous Group   41,327    894,566 
Service Stream   60,900    97,103 
Virgin Australia Holdings *   33,619    73,458 
         1,209,189 
Information Technology — 0.3% 
Bravura Solutions   33,797    48,238 
IRESS   14,491    82,077 
Technology One   11,520    202,338 
         332,653 
Materials — 2.3%          
Catalyst Metals *   33,634    191,905 
Greatland Resources *   4,334    36,792 
Hillgrove Resources *   1,146,098    43,633 
Metals X *   386,933    347,460 
Orora   134,497    192,138 
Perenti   363,291    703,594 
Perseus Mining   210,877    817,090 
Ramelius Resources   143,352    444,160 
Westgold Resources   11,005    52,829 
         2,829,601 
         5,701,092 
AUSTRIA — 1.5%          
Financials — 1.2%          
BAWAG Group   5,115    835,109 
Vienna Insurance Group Wiener Versicherung Gruppe   7,359    580,548 
         1,415,657 
Industrials — 0.3%          
ANDRITZ   879    76,332 
Palfinger   3,776    162,844 
Porr Ag   4,460    184,097 
         423,273 
         1,838,930 
COMMON STOCK — continued 
   Shares   Value 
BELGIUM — 1.2%          
Industrials — 0.6%          
Ackermans & van Haaren   568   $168,664 
Azelis Group   21,450    213,181 
Deme Group   1,628    325,704 
         707,549 
Information Technology — 0.1% 
Barco   9,537    131,398 
           
Materials — 0.5%          
Titan   9,243    622,471 
         1,461,418 
BERMUDA — 0.7%          
Financials — 0.7%          
Lancashire Holdings   96,132    814,182 
           
BRAZIL — 0.5%          
Consumer Discretionary — 0.0%
C&A MODAS   15,900    36,382 
           
Industrials — 0.1%          
Marcopolo   73,810    85,151 
           
Utilities — 0.4%          
Cia De Sanena Do Parana   59,400    527,113 
         648,646 
CANADA — 7.1%          
Communication Services — 0.3% 
Cogeco   1,644    81,074 
Quebecor, Cl B   6,963    255,402 
         336,476 
Consumer Discretionary — 0.6% 
Aritzia *   6,144    486,974 
Linamar   4,724    301,130 
         788,104 
Energy — 1.8%          
Parex Resources   28,733    428,613 
PrairieSky Royalty   60,600    1,326,429 
Precision Drilling *   1,240    99,445 
Secure Waste Infrastructure   7,467    96,884 
Strathcona Resources   3,052    58,599 
Total Energy Services   20,794    253,217 
         2,263,187 
Financials — 0.7%          
AGF Management, Cl B   3,434    46,027 
Definity Financial   3,122    153,639 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued 
   Shares   Value 
CANADA — continued          
Financials— continued          
Onex   7,100   $608,309 
         807,975 
Health Care — 0.5%          
Extendicare, Cl Trust Units   36,294    621,539 
           
Industrials — 0.7%          
Finning International   8,367    527,606 
MDA Space *   9,713    275,650 
         803,256 
Information Technology — 0.1% 
Docebo *   3,262    64,149 
           
Materials — 1.9%          
B2Gold   20,440    100,075 
Capstone Copper *   12,793    142,559 
Cascades   23,881    225,557 
Fortuna Mining *   16,979    167,013 
Hudbay Minerals   20,083    478,290 
IAMGOLD *   6,663    121,584 
Major Drilling Group International, Cl Common Subs. Receipt *   16,600    183,144 
OceanaGold   10,232    333,372 
Silvercorp Metals   8,864    89,743 
Torex Gold Resources   5,901    285,605 
Transcontinental, Cl Common Subs. Receipt   10,257    174,971 
Wesdome Gold Mines *   5,862    96,491 
         2,398,404 
Real Estate — 0.5%          
Colliers International Group   1,920    263,808 
Primaris REIT ‡   27,675    338,235 
         602,043 
         8,685,133 
CAYMAN ISLANDS — 0.1% 
Financials — 0.1%          
StoneCo, Cl A *   3,286    53,036 
           
Materials — 0.0%          
Jinan Acetate Chemical   26,000    40,295 
           
         93,331 
CHINA — 1.6%          
Communication Services — 0.3% 
Meitu   62,500    61,756 
Newborn Town *   166,000    244,181 
XD   8,800    96,671 
         402,608 
COMMON STOCK — continued 
   Shares   Value 
CHINA — continued          
Consumer Discretionary — 0.5% 
Atour Lifestyle Holdings ADR   4,670   $166,906 
Chervon Holdings   74,900    231,518 
JNBY Design   85,000    210,217 
         608,641 
Consumer Staples — 0.0% 
Star Lake Bioscience Zhaoqing  Guangdong, Cl A   64,300    68,706 
           
Financials — 0.2%          
FinVolution Group ADR   28,903    148,272 
ZhongAn Online P&C Insurance, Cl H *(A)   26,800    57,143 
         205,415 
Industrials — 0.1%          
Lonking Holdings   214,000    87,809 
           
Materials — 0.3%          
Fufeng Group   376,000    406,996 
           
Real Estate — 0.2%          
Country Garden Services Holdings   92,000    76,096 
Greentown Service Group   130,000    75,610 
Onewo, Cl H   33,800    84,738 
         236,444 
         2,016,619 
COLOMBIA — 0.2%          
Financials — 0.2%          
Grupo de Inversiones Suramericana   11,403    198,505 
           
DENMARK — 0.9%          
Financials — 0.1%          
Jyske Bank   639    93,334 
           
Health Care — 0.5%          
ALK-Abello *   18,905    626,996 
           
Industrials — 0.3%          
D/S Norden   2,467    111,846 
Per Aarsleff Holding   2,262    323,758 
         435,604 
         1,155,934 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued 
   Shares   Value 
FINLAND — 1.0%          
Consumer Discretionary — 0.0% 
Puuilo   3,836   $56,189 
           
Industrials — 0.5%          
Metso   32,957    646,674 
           
Materials — 0.5%          
Huhtamaki   15,840    557,920 
         1,260,783 
FRANCE — 3.0%          
Consumer Discretionary — 0.2% 
Valeo   13,853    194,179 
           
Energy — 1.0%          
Etablissements Maurel et Prom   8,351    65,491 
Gaztransport Et Technigaz   2,031    439,165 
Technip Energies   17,640    693,812 
         1,198,468 
Financials — 0.1%          
Pluxee   6,544    87,010 
           
Industrials — 0.0%          
Elis   2,431    70,839 
           
Information Technology — 1.2% 
Alten   14,497    1,426,317 
Vusion   444    69,372 
         1,495,689 
Real Estate — 0.1%          
Carmila, Strike Price 866859 ‡   6,889    133,789 
           
Utilities — 0.4%          
Rubis SCA   11,578    470,532 
         3,650,506 
GERMANY — 3.0%          
Communication Services — 0.5% 
CTS Eventim & KGaA   6,579    554,914 
Springer Nature & KGaA   5,506    115,073 
         669,987 
Consumer Discretionary — 0.1% 
HUGO BOSS   1,053    43,820 
TUI *   13,511    144,578 
         188,398 
Energy — 0.1%          
Friedrich Vorwerk Group   895    96,495 
COMMON STOCK — continued 
   Shares   Value 
GERMANY — continued          
Industrials — 0.5%          
Cewe Stiftung & KGAA   383   $46,041 
KION Group   820    58,131 
Krones   1,569    253,400 
MBB   922    238,597 
         596,169 
Information Technology — 1.1% 
Atoss Software   3,260    377,076 
Bechtle   14,521    755,389 
IONOS Group *   6,895    223,103 
         1,355,568 
Materials — 0.1%          
thyssenkrupp   6,856    91,727 
           
Real Estate — 0.6%          
TAG Immobilien   43,022    732,534 
         3,730,878 
GREECE — 0.1%          
Industrials — 0.1%          
Global Ship Lease, Cl A   3,543    133,004 
           
HONG KONG — 1.2%          
Consumer Discretionary — 0.1% 
TCL Electronics Holdings   40,000    61,511 
Yue Yuen Industrial Holdings   30,500    68,045 
         129,556 
Consumer Staples — 0.3%          
China Foods   334,000    185,072 
First Pacific   290,000    226,979 
         412,051 
Financials — 0.7%          
Bank of East Asia   259,200    495,251 
Dah Sing Banking Group   60,400    86,064 
Dah Sing Financial Holdings   48,000    232,186 
         813,501 
Real Estate — 0.1%          
China Overseas Property Holdings   115,000    64,044 
         1,419,152 
HUNGARY — 0.5%          
Communication Services — 0.5% 
Magyar Telekom Telecommunications   95,405    595,006 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued 
   Shares   Value 
INDIA — 3.1%          
Communication Services — 0.1% 
Tips Music   18,637   $110,391 
           
Consumer Staples — 0.2% 
Avanti Feeds   13,011    112,911 
Kaveri Seed   17,413    178,167 
         291,078 
Financials — 0.6%          
Karur Vysya Bank   74,789    245,296 
Motilal Oswal Financial Services   7,251    59,494 
Multi Commodity Exchange of India   5,329    146,783 
South Indian Bank   576,908    235,935 
         687,508 
Health Care — 0.7%          
Acutaas Chemicals   3,216    66,991 
Ajanta Pharma   6,504    196,850 
Indegene   26,511    139,175 
Sai Life Sciences *   50,931    463,078 
         866,094 
Industrials — 0.9%          
BLS International Services   17,909    50,205 
eClerx Services   4,140    209,584 
Force Motors   1,807    377,098 
Nava   62,716    385,203 
Shipping Corp of India   30,808    75,586 
         1,097,676 
Information Technology — 0.1% 
Coforge   2,295    41,301 
Hexaware Technologies   8,824    66,945 
Websol Energy System *   53,674    47,568 
         155,814 
Materials — 0.4%          
Epigral   5,794    65,768 
Godawari Power and Ispat   79,350    214,338 
Gulf Oil Lubricants India   4,381    51,950 
National Aluminium   28,093    117,060 
         449,116 
Real Estate — 0.1%          
Mindspace Business Parks REIT ‡   14,034    76,083 
NESCO   5,395    66,925 
         143,008 
Utilities — 0.0%          
PTC India   36,375    68,295 
         3,868,980 
COMMON STOCK — continued 
   Shares   Value 
INDONESIA — 0.5%          
Consumer Staples — 0.3% 
Dharma Satya Nusantara   651,600   $53,378 
Japfa Comfeed Indonesia   881,500    145,656 
Perusahaan Perkebunan London Sumatra Indonesia   427,400    29,565 
Triputra Agro Persada   1,157,100    103,233 
         331,832 
Energy — 0.1%          
Adaro Andalan Indonesia   172,600    78,374 
Elnusa   1,529,500    62,904 
         141,278 
Materials — 0.0%          
Aneka Tambang   161,400    39,734 
           
Real Estate — 0.1%          
Pakuwon Jati   5,404,800    115,937 
         628,781 
ISRAEL — 1.3%          
Consumer Discretionary — 0.1% 
Global-e Online, Cl E *   3,529    128,985 
           
Consumer Staples — 0.2% 
Oddity Tech, Cl A *   6,275    206,071 
           
Energy — 0.0%          
Delek Group   156    44,033 
           
Financials — 0.1%          
Harel Insurance Investments & Financial Services   1,951    89,757 
           
Industrials — 0.2%          
El Al Israel Airlines   32,784    185,955 
Fiverr International *   2,721    45,577 
         231,532 
Information Technology — 0.7% 
Camtek *(A)   677    99,201 
Ituran Location and Control   9,560    426,663 
Tower Semiconductor *   2,384    321,196 
         847,060 
         1,547,438 
ITALY — 3.6%          
Consumer Discretionary — 0.7% 
De' Longhi   16,051    712,147 
OVS   18,601    105,521 
         817,668 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued 
   Shares   Value 
ITALY — continued          
Consumer Staples — 0.1% 
Orsero   4,410   $102,380 
           
Financials — 0.5%          
Azimut Holding   13,264    562,359 
Credito Emiliano   2,190    40,427 
         602,786 
Health Care — 0.3%          
Amplifon   27,412    443,560 
           
Industrials — 0.9%          
Interpump Group   14,915    868,437 
TREVI - Finanziaria Industriale *   286,720    238,821 
         1,107,258 
Information Technology — 0.2% 
Reply   510    67,105 
Technoprobe *   12,887    240,028 
         307,133 
Materials — 0.9%          
Buzzi   19,058    1,088,752 
         4,469,537 
JAPAN — 22.8%          
Communication Services — 0.3% 
DeNA   3,600    59,228 
Japan Communications *   103,700    96,109 
NexTone *   13,600    149,374 
Toei   1,400    51,128 
         355,839 
Consumer Discretionary — 3.5% 
Chiyoda Co.   6,400    45,630 
Foster Electric   21,600    389,038 
Fujita Kanko   28,000    452,765 
Greens   4,400    60,292 
Intermestic   13,100    152,376 
Joshin Denki   3,700    65,932 
JTEKT   15,200    180,061 
Mazda Motor   19,500    150,546 
McDonald's Holdings Japan   8,800    382,836 
Mitsubishi Motors   62,100    153,157 
Noritsu Koki   9,100    130,129 
Open House Group   3,300    194,807 
PIA *   3,700    64,086 
Shimamura   9,800    658,975 
Stanley Electric   37,000    731,271 
Toyoda Gosei   7,600    207,145 
Toyota Boshoku   5,200    87,601 
COMMON STOCK — continued 
   Shares   Value 
JAPAN — continued        
Consumer Discretionary— continued 
Workman   4,700   $193,987 
         4,300,634 
Consumer Staples — 1.9% 
Chubu Shiryo   18,100    212,423 
Earth   1,500    47,563 
euglena *   35,500    95,978 
Ezaki Glico   9,200    331,544 
H2O Retailing   7,200    98,916 
Lacto Japan   7,800    178,202 
Lion   27,800    298,980 
Maruha Nichiro   18,600    168,064 
San-A, Cl A   30,700    587,151 
Showa Sangyo   15,900    324,949 
         2,343,770 
Energy — 0.0%          
Mitsuuroko Group Holdings   2,800    39,513 
           
Financials — 2.5%          
77 Bank   3,800    209,371 
Credit Saison   5,800    157,096 
Hachijuni Nagano Bank   38,000    476,287 
Hyakugo Bank   21,200    193,423 
Juroku Financial Group   2,100    112,029 
Kyoto Financial Group   12,400    300,534 
Shizuoka Financial Group   35,800    586,724 
Tokyo Century   14,000    195,662 
Tokyo Kiraboshi Financial Group   2,900    189,953 
TOMONY Holdings   23,800    135,133 
Traders Holdings   12,100    76,340 
Zenkoku Hosho   19,300    384,959 
         3,017,511 
Industrials — 7.5%          
ALSOK   53,600    416,580 
Chiyoda Corp. *   43,600    363,587 
Daihen   900    68,081 
Daiseki   30,700    692,236 
Glory   40,800    1,066,196 
grems   5,000    78,028 
Hamakyorex   5,900    70,211 
Hoshizaki   20,700    684,589 
Japan Elevator Service Holdings   25,500    269,362 
Kamigumi   21,100    740,805 
MEITEC Group Holdings   50,000    1,122,069 
MISUMI Group   35,800    593,703 
Nankai Electric Railway   8,700    161,626 
NGK Insulators   15,900    382,167 
Nishi-Nippon Railroad   17,700    327,026 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued 
   Shares   Value 
JAPAN — continued          
Industrials— continued          
NSK   19,400   $135,356 
NTN   30,600    73,578 
Sato Holdings   17,800    267,939 
Sumitomo Warehouse   19,300    464,469 
Taikisha   27,100    607,351 
TRE Holdings   5,600    62,346 
YAMABIKO   30,100    628,652 
         9,275,957 
Information Technology — 3.4% 
Change Holdings   8,500    58,006 
Cybozu   16,600    256,845 
DTS   115,300    942,335 
Ferrotec Holdings   3,700    141,923 
Horiba   6,800    809,133 
ISB   6,000    70,629 
Japan Material   15,400    179,167 
Maruwa   2,100    647,753 
Oki Electric Industry   62,600    828,686 
Siix   24,900    204,188 
Sumida   6,100    46,859 
         4,185,524 
Materials — 1.8%          
Aica Kogyo   11,100    252,771 
Artience   3,900    93,803 
Fuji Seal International   27,500    570,562 
Lintec   4,100    126,906 
Nihon Parkerizing   43,000    411,240 
Nippon Chemical Industrial   2,000    42,448 
Nippon Light Metal Holdings   18,400    325,667 
Nippon Paper Industries   33,000    251,397 
Sakata INX   5,700    87,694 
         2,162,488 
Real Estate — 1.9%          
B-Lot   8,200    80,050 
Global One Real Estate Investment ‡   521    461,174 
Japan Excellent ‡   88    85,369 
Kasumigaseki Capital   700    34,080 
KDX Realty Investment ‡   106    115,046 
Leopalace21   39,100    175,354 
NIPPON REIT Investment ‡   152    94,728 
Orix JREIT ‡   1,239    832,474 
Sekisui House Reit ‡   772    454,806 
         2,333,081 
         28,014,317 
COMMON STOCK — continued 
   Shares   Value 
LUXEMBOURG — 0.2%          
Energy — 0.2%          
d'Amico International Shipping   30,914   $219,147 
           
MALAYSIA — 0.6%          
Industrials — 0.0%          
Zetrix Ai   396,900    81,081 
           
Real Estate — 0.6%          
Eco World Development Group   238,500    134,960 
SP Setia Group   221,100    55,167 
Sunway Real Estate Investment Trust ‡   806,800    529,297 
         719,424 
         800,505 
MEXICO — 0.2%          
Financials — 0.2%          
Gentera   92,500    258,991 
           
NETHERLANDS — 1.5%          
Consumer Discretionary — 0.1% 
Basic-Fit *   2,746    105,061 
           
Financials — 0.0%          
Hoist Finance   4,274    60,497 
           
Industrials — 1.2%          
Aalberts   16,120    621,233 
Arcadis   13,595    612,770 
Koninklijke Heijmans NorthV   2,008    164,207 
Signify   2,095    44,638 
         1,442,848 
Real Estate — 0.2%          
Wereldhave ‡   7,386    183,657 
         1,792,063 
NORWAY — 1.7%          
Energy — 0.1%          
Sea1 offshore *   25,422    66,133 
Solstad Offshore   12,001    63,511 
         129,644 
Financials — 0.7%          
SpareBank 1 SMN   40,136    809,072 
           
Industrials — 0.3%          
Hoegh Autoliners   19,626    219,407 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued 
   Shares   Value 
NORWAY — continued          
Industrials— continued          
Wallenius Wilhelmsen, Cl B   11,187   $130,405 
         349,812 
Information Technology — 0.4% 
Atea   34,772    558,276 
           
Materials — 0.2%          
Elopak   39,104    204,094 
         2,050,898 
PHILIPPINES — 0.3%          
Real Estate — 0.3%          
AREIT ‡   372,400    274,175 
Robinsons Land   406,700    125,356 
         399,531 
         399,531 
POLAND — 0.1%          
Health Care — 0.1%          
Diagnostyka   2,226    119,531 
           
PORTUGAL — 0.4%          
Consumer Staples — 0.4%          
Sonae SGPS   238,747    502,840 
           
SAUDI ARABIA — 0.3%          
Industrials — 0.3%          
Al Babtain Power & Telecommunication   20,025    373,758 
           
SINGAPORE — 0.7%          
Real Estate — 0.7%          
Centurion   43,200    51,740 
Digital Core REIT Management Pte ‡   293,000    158,252 
UOL Group   76,600    655,806 
         865,798 
         865,798 
SOUTH AFRICA — 0.6%          
Communication Services — 0.0% 
Telkom SOC   14,134    51,811 
           
Consumer Staples — 0.2%          
AVI   39,419    264,227 
COMMON STOCK — continued 
   Shares   Value 
SOUTH AFRICA — continued 
Materials — 0.1%          
Omnia Holdings   22,444   $117,983 
           
Real Estate — 0.3%          
Redefine Properties ‡   786,093    303,760 
         737,781 
SOUTH KOREA — 2.4%          
Consumer Discretionary — 0.2% 
LF   6,974    92,998 
Youngone   2,213    139,783 
         232,781 
Financials — 0.6%          
JB Financial Group   18,072    315,316 
KIWOOM Securities   1,260    387,298 
         702,614 
Industrials — 0.9%          
HD Construction Equipment   2,194    165,161 
Korea Electric Terminal   4,627    239,962 
S-1, Cl 1   11,707    648,236 
         1,053,359 
Information Technology — 0.3% 
Cafe24 *   2,484    65,204 
DB HiTek   2,176    158,763 
IsuPetasys   1,126    90,942 
LG Innotek   421    71,487 
         386,396 
Materials — 0.4%          
Han Kuk Carbon   4,829    113,033 
Hansol Chemical   764    148,753 
KCC   538    181,946 
Unid   1,365    75,487 
         519,219 
         2,894,369 
SPAIN — 1.7%          
Consumer Discretionary — 0.1% 
Gestamp Automocion   20,358    73,255 
           
Consumer Staples — 1.1% 
Distribuidora Internacional de Alimentacion *   3,808    177,321 
Viscofan   17,655    1,189,142 
         1,366,463 
Information Technology — 0.2%          
Indra Sistemas   4,885    316,884 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued 
   Shares   Value 
SPAIN — continued          
Materials — 0.3%          
Vidrala   3,777   $396,029 
         2,152,631 
SWEDEN — 3.3%          
Communication Services — 0.1% 
Hemnet Group   11,655    187,014 
           
Consumer Discretionary — 0.2% 
Clas Ohlson, Cl B   5,813    200,284 
           
Consumer Staples — 0.5%          
AAK   22,705    639,295 
           
Health Care — 1.2%          
Ambea   20,520    314,873 
Asker Healthcare Group *   26,390    223,827 
Attendo   55,037    552,836 
Camurus *   4,335    327,447 
         1,418,983 
Industrials — 0.9%          
Beijer Ref, Cl B   26,838    384,420 
Loomis, Cl B   5,400    225,478 
NCC AB, Cl B   6,928    178,511 
Peab, Cl B   29,767    299,370 
         1,087,779 
Materials — 0.4%          
Hexpol   61,299    504,845 
         4,038,200 
SWITZERLAND — 2.4%          
Financials — 0.5%          
EFG International   5,450    139,817 
Vontobel Holding   5,027    434,945 
         574,762 
Health Care — 0.1%          
Dottikon Es Holding *   255    123,347 
           
Industrials — 1.3%          
Accelleron Industries   879    84,525 
Bossard Holding   2,585    509,993 
Bucher Industries   721    335,778 
Montana Aerospace *   16,048    695,360 
         1,625,656 
Information Technology — 0.2% 
Temenos   2,260    200,503 
COMMON STOCK — continued 
   Shares   Value 
SWITZERLAND — continued 
Real Estate — 0.3%          
International Workplace Group   69,965   $237,867 
Intershop Holding   833    181,220 
         419,087 
         2,943,355 
TAIWAN — 3.5%          
Consumer Discretionary — 0.3% 
Depo Auto Parts Industries   88,000    420,562 
           
Industrials — 0.4%          
AcBel Polytech   36,000    56,240 
Advanced Energy Solution Holding   2,000    70,700 
Sincere Navigation   84,000    77,557 
Sunonwealth Electric Machine Industry   9,000    40,477 
United Integrated Services   7,000    199,613 
         444,587 
Information Technology — 2.4% 
Airoha Technology   8,000    110,035 
Arcadyan Technology   33,000    187,410 
ASROCK   26,000    176,743 
Chenbro Micom   5,000    142,686 
Chenming Electronic Technology   15,000    53,345 
Compeq Manufacturing   75,000    399,883 
Genius Electronic Optical   5,000    71,553 
ITE Technology   20,000    75,903 
MPI   6,000    474,174 
Phison Electronics   1,000    74,161 
Pixart Imaging   27,000    170,346 
Posiflex Technology   9,000    50,764 
Powertech Technology   6,000    47,511 
Thinking Electronic Industrial   86,000    452,531 
Visual Photonics Epitaxy   20,000    105,792 
Winbond Electronics *   83,000    328,210 
         2,921,047 
Materials — 0.4%          
Eternal Materials   250,000    485,678 
           
Real Estate — 0.0%          
Sakura Development   48,000    71,867 
         4,343,741 
THAILAND — 0.5%          
Energy — 0.1%          
Bangchak NVDR   120,600    115,984 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

COMMON STOCK — continued 
   Shares   Value 
THAILAND — continued          
Industrials — 0.2%          
Regional Container Lines   300,800   $262,895 
           
Materials — 0.1%          
TOA Paint Thailand   214,600    98,894 
           
Utilities — 0.1%          
Rojana Industrial Park   580,000    84,736 
         562,509 
TÜRKIYE — 0.5%          
Financials — 0.0%          
Turkiye Sinai Kalkinma Bankasi *   198,282    64,310 
           
Real Estate — 0.5%          
Reysas Gayrimenkul Yatirim Ortakligi *‡   891,794    579,050 
         643,360 
UNITED KINGDOM — 7.9% 
Communication Services — 0.3% 
4imprint Group   6,242    350,715 
           
Consumer Discretionary — 1.8% 
Carnival ADR *   16,079    478,993 
Currys   244,739    491,869 
Domino's Pizza Group   178,871    447,595 
Dunelm Group   6,940    87,996 
Games Workshop Group   2,867    670,744 
         2,177,197 
Consumer Staples — 0.8%          
Cranswick   617    44,535 
Nomad Foods   45,213    574,205 
Premier Foods   154,612    400,570 
         1,019,310 
Financials — 2.1%          
Aberdeen Group   19,358    57,964 
AJ Bell   61,351    389,627 
Beazley   26,162    407,599 
CMC Markets   20,281    90,867 
Foresight Group Holdings   68,332    397,205 
Man Group   32,510    117,676 
OSB Group   23,954    200,784 
Paragon Banking Group   56,961    695,134 
Saga *   36,194    258,789 
         2,615,645 
COMMON STOCK — continued 
   Shares   Value 
UNITED KINGDOM — continued 
Health Care — 0.3%          
Convatec Group   112,422   $355,626 
           
Industrials — 2.1%          
Diploma   6,934    506,593 
easyJet   25,226    165,524 
Howden Joinery Group   38,779    445,515 
IMI   29,437    1,114,777 
Johnson Service Group   85,706    166,229 
Mitie Group   54,976    126,037 
Stolt-Nielsen   3,628    114,181 
         2,638,856 
Materials — 0.5%          
Capital   78,045    142,439 
Elementis   187,556    414,570 
         557,009 
         9,714,358 
UNITED STATES — 0.7%          
Consumer Staples — 0.2%          
Primo Brands, Cl A   15,227    288,399 
           
Industrials — 0.5%          
Cirrus Aircraft   5,100    39,629 
Reliance Worldwide   197,549    516,439 
         556,068 
         844,467 
Total Common Stock          
(Cost $84,193,555)        108,190,005 
           
EXCHANGE-TRADED FUNDS — 4.3% 
INTERNATIONAL — 3.7%          
iShares Core MSCI Emerging Markets ETF   13,911   $1,009,382 
iShares MSCI Canada ETF   7,667    416,011 
iShares MSCI EAFE Small-Capital ETF(A)   38,111    3,116,337 
         4,541,730 
UNITED STATES — 0.6%          
VanEck Junior Gold Miners ETF   5,704    707,810 
           
Total Exchange-Traded Funds          
(Cost $4,758,414)        5,249,540 

 

 

CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL SMALL-CAP FUND

 

JANUARY 31, 2026 (Unaudited)

 

 

PREFERRED STOCK — 0.2% 
   Shares   Value 
BRAZIL — 0.2%          
Utilities — 0.2%          
Cia De Sanena Do Parana(B)   129,700   $218,002 
           
Total Preferred Stock          
(Cost $142,377)        218,002 
SHORT-TERM INVESTMENT — 0.2%    
   Shares   Value 
State Street Institutional U.S. Government Money Market Fund, Institutional Class, 3.620%, (C)          
(Cost $297,000)   297,000   $297,000 
           
Total Short-Term Investment          
(Cost $297,000)        297,000 
           
Total Investments in Securities— 92.7%      
(Cost $89,391,346)   $113,954,547 

 

Percentages are based on Net Assets of $122,941,805.

 

A list of the open futures contracts held by the Fund at January 31, 2026, is as follows:

 

Type of Contract  Number of
Contracts
   Expiration
Date
  Notional Amount   Value   Unrealized
Appreciation/
(Depreciation)
 
Long Contracts                      
CAD Currency  15   Mar-2026  $1,088,415   $1,105,950   $17,535 
MSCI EAFE Index  26   Mar-2026   3,744,852    3,947,840    202,988 
MSCI Emerging Markets Index  19   Mar-2026   1,321,621    1,444,760    123,139 
Russell 2000 Index E-Mini  2   Mar-2026   255,385    262,460    7,075 
S&P TSX 60 Index  4   Mar-2026   1,095,532    1,094,532    (1,000)
          $7,505,805   $7,855,542   $349,737 

 

*Non-income producing security.

Real Estate Investment Trust.

(A)This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $280,221.

(B)There is currently no rate available.

(C)This security was purchased with cash collateral received from securities lending. The total was of such securities as of January 31, 2026, was $297,000.

 

ADR — American Depositary Receipt

CAD — Canadian Dollar

Cl — Class

EAFE — Europe, Australasia, and the Far East

ETF — Exchange-Traded Fund

REIT — Real Estate investment Trust

SGPS — Sociedade Gestora de Participações Sociais (holding company)

 

CRI-QH-001-0900

 

 

CATHOLIC RESPONSIBLE INVESTMENTS MAGNUS 45/55 FUND

 

January 31, 2026 (Unaudited)

 

 

SCHEDULE OF INVESTMENTS

OPEN-END MUTUAL FUNDS — 99.6%

 

   Shares   Value 
EQUITY — 34.7%          
Catholic Responsible Investments Equity Index Fund, Cl Institutional Shares†(A)   2,485,443   $36,113,481 
Catholic Responsible Investments Multi-Style US Equity Fund, Cl Institutional Shares†   902,967    11,115,522 
Catholic Responsible Investments Small-Cap Fund, Cl Institutional Shares†   704,887    7,485,904 
         54,714,907 
FIXED INCOME — 53.2%          
Catholic Responsible Investments Bond Fund, Cl Institutional Shares†(A)   4,911,333    42,041,011 
Catholic Responsible Investments Opportunistic Bond Fund, Cl Institutional Shares†(A)   2,234,310    20,935,483 
Catholic Responsible Investments Short Duration Bond Fund, Cl Institutional Shares†(A)   2,143,218    20,874,945 
         83,851,439 
INTERNATIONAL — 11.7%          
Catholic Responsible Investments International Equity Fund, Cl Institutional Shares†   1,251,777    14,745,936 
Catholic Responsible Investments International Small-Cap Fund, Cl Institutional Shares†   314,260    3,705,127 
         18,451,063 
Total Open-End Mutual Funds          
(Cost $130,234,673)        157,017,409 
Total Investments in Securities— 99.6%          
(Cost $130,234,673)       $157,017,409 

 

Percentages are based on Net Assets of $157,652,552.

 

Investment in Affiliated Security.
(A) Represents greater than 10% of the Fund’s total investments. For further financial information, please go to the Fund’s website at https://cbisonline.com/us/legal-financial/.

 
 

CATHOLIC RESPONSIBLE INVESTMENTS MAGNUS 45/55 FUND

 

January 31, 2026 (Unaudited)

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended January 31, 2026:

 

Security Description  Value 10/31/2025   Purchases at Cost   Proceeds from Sales   Change in Unrealized Appreciation   Realized Gain (Loss)   Value 1/31/2026   Income   Capital Gains 
Catholic Responsible Investments Equity Index Fund, Cl Institutional Shares  $32,597,512   $4,588,329   $(1,079,526)  $(537,551)  $544,717   $36,113,481   $141,592   $ 
Catholic Responsible Investments Multi-Style US Equity Fund, Cl Institutional Shares   10,006,515    1,701,027    (203,000)   (422,051)   33,031    11,115,522    10,465     
Catholic Responsible Investments Small-Cap Fund, Cl Institutional Shares   6,294,094    1,065,982    (265,951)   234,649    157,130    7,485,904    128,682     
Catholic Responsible Investments Bond Fund, Cl Institutional Shares   38,009,174    4,883,078    (655,495)   (120,779)   (74,967)   42,041,011    444,689     
Catholic Responsible Investments Opportunistic Bond Fund, Cl Institutional Shares   18,800,104    2,444,290    (327,747)   21,574    (2,738)   20,935,483    225,096     
Catholic Responsible Investments Short Duration Bond Fund, Cl Institutional Shares   18,750,510    2,435,189    (327,747)   28,627    (11,634)   20,874,945    215,996     
Catholic Responsible Investments International Equity Fund, Cl Institutional Shares   12,610,378    1,978,742    4,476    372,332    (219,992)   14,745,936    89,566     
Catholic Responsible Investments International Small-Cap Fund, Cl Institutional Shares   3,071,339    648,603    (260,616)   40,617    205,184    3,705,127    78,478     
Totals:  $140,139,626   $19,745,240   $(3,115,606)  $(382,582)  $630,731   $157,017,409   $1,334,564   $ 

 

Amounts designated as “–” are $0.

 

CRI-QH-001-0900

 
 

CATHOLIC RESPONSIBLE INVESTMENTS MAGNUS 60/40 ALPHA PLUS FUND

 

January 31, 2026 (Unaudited)

 

 

SCHEDULE OF INVESTMENTS

OPEN-END MUTUAL FUNDS — 99.9% 

   Shares   Value 
EQUITY — 45.9%          
Catholic Responsible Investments Equity Index Fund, Cl Institutional Shares†(A)   16,989,336   $246,855,050 
Catholic Responsible Investments Multi-Style US Equity Fund, Cl Institutional Shares†(A)   31,342,838    385,830,334 
Catholic Responsible Investments Small-Cap Fund, Cl Institutional Shares†   9,528,318    101,190,740 
         733,876,124 
FIXED INCOME — 38.5%          
Catholic Responsible Investments Bond Fund, Cl Institutional Shares†(A)   36,057,447    308,651,744 
Catholic Responsible Investments Opportunistic Bond Fund, Cl Institutional Shares†   16,390,014    153,574,433 
Catholic Responsible Investments Short Duration Bond Fund, Cl Institutional Shares†   15,719,306    153,106,040 
         615,332,217 
INTERNATIONAL — 15.5%          
Catholic Responsible Investments International Equity Fund, Cl Institutional Shares†(A)   16,881,266    198,861,314 
Catholic Responsible Investments International Small-Cap Fund, Cl Institutional Shares†   4,233,366    49,911,386 
         248,772,700 
Total Open-End Mutual Funds          
(Cost $1,255,641,588)        1,597,981,041 
Total Investments in Securities— 99.9%          
(Cost $1,255,641,588)       $1,597,981,041 

 

Percentages are based on Net Assets of $1,599,086,656.

 

Investment in Affiliated Security.
(A) Represents greater than 10% of the Fund’s total investments. For further financial information, please go to the Fund’s website at https://cbisonline.com/us/legal-financial/.

 
 

CATHOLIC RESPONSIBLE INVESTMENTS MAGNUS 60/40 ALPHA PLUS FUND

 

January 31, 2026 (Unaudited)

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended January 31, 2026:

 

Security Description  Value 10/31/2025   Purchases at Cost   Proceeds from Sales   Change in Unrealized Appreciation   Realized Gain (Loss)   Value 1/31/2026   Income   Capital Gains 
Catholic Responsible Investments Equity Index Fund, Cl Institutional Shares  $239,736,140   $14,865,887   $(7,748,829)  $(4,548,742)  $4,550,594   $246,855,050   $978,785   $ 
Catholic Responsible Investments Multi-Style US Equity Fund, Cl Institutional Shares   374,275,413    32,809,640    (7,151,024)   (15,211,634)   1,107,939    385,830,334    367,474     
Catholic Responsible Investments Small-Cap Fund, Cl Institutional Shares   91,680,456    7,830,921    (3,748,778)   3,181,429    2,246,712    101,190,740    1,758,411     
Catholic Responsible Investments Bond Fund, Cl Institutional Shares   301,540,626    13,937,756    (5,345,626)   (655,203)   (825,809)   308,651,744    3,306,772     
Catholic Responsible Investments Opportunistic Bond Fund, Cl Institutional Shares   149,118,757    6,988,177    (2,672,813)   265,657    (125,345)   153,574,433    1,672,686     
Catholic Responsible Investments Short Duration Bond Fund, Cl Institutional Shares   148,717,458    6,920,069    (2,672,813)   240,671    (99,345)   153,106,040    1,604,577     
Catholic Responsible Investments International Equity Fund, Cl Institutional Shares   183,382,543    13,551,929    82,496    4,889,247    (3,044,901)   198,861,314    1,221,375     
Catholic Responsible Investments International Small-Cap Fund, Cl Institutional Shares   44,693,700    5,481,881    (3,620,247)   495,749    2,860,303    49,911,386    1,068,831     
Totals:  $1,533,145,093   $102,386,260   $(32,877,634)  $(11,342,826)  $6,670,148   $1,597,981,041   $11,978,911   $ 

 

Amounts designated as “–” are $0.

 

CRI-QH-001-0900

 
 

CATHOLIC RESPONSIBLE INVESTMENTS MAGNUS 60/40 BETA PLUS FUND

 

January 31, 2026 (Unaudited)

 

 

SCHEDULE OF INVESTMENTS

OPEN-END MUTUAL FUNDS — 100.0%

 

   Shares   Value 
EQUITY — 46.2%          
Catholic Responsible Investments Equity Index Fund, Cl Institutional Shares†(A)   18,714,105   $271,915,950 
Catholic Responsible Investments Small-Cap Fund, Cl Institutional Shares†   4,039,095    42,895,191 
         314,811,141 
           
FIXED INCOME — 38.3%          
Catholic Responsible Investments Bond Fund, Cl Institutional Shares†(A)   15,322,910    131,164,110 
Catholic Responsible Investments Opportunistic Bond Fund, Cl Institutional Shares†   6,967,946    65,289,657 
Catholic Responsible Investments Short Duration Bond Fund, Cl Institutional Shares†   6,683,237    65,094,728 
         261,548,495 
           
INTERNATIONAL — 15.5%          
Catholic Responsible Investments International Equity Fund, Cl Institutional Shares†(A)   7,157,987    84,321,092 
Catholic Responsible Investments International Small-Cap Fund, Cl Institutional Shares†   1,796,952    21,186,061 
         105,507,153 
Total Open-End Mutual Funds          
(Cost $515,892,214)        681,866,789 
Total Investments in Securities— 100.0%          
(Cost $515,892,214)       $681,866,789 

 

Percentages are based on Net Assets of $682,174,979.

 

Investment in Affiliated Security.
(A) Represents greater than 10% of the Fund’s total investments. For further financial information, please go to the Fund’s website at https://cbisonline.com/us/legal-financial/.

 
 

CATHOLIC RESPONSIBLE INVESTMENTS MAGNUS 60/40 BETA PLUS FUND

 

January 31, 2026 (Unaudited)

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended January 31, 2026:

 

Security Description  Value 10/31/2025   Purchases at Cost   Proceeds from Sales   Change in Unrealized Appreciation   Realized Gain (Loss)   Value 1/31/2026   Income   Capital Gains 
Catholic Responsible Investments Equity Index Fund, Cl Institutional Shares  $270,272,383   $11,134,879   $(9,768,771)  $(4,141,976)  $4,419,435   $271,915,950   $1,069,364   $ 
Catholic Responsible Investments Small-Cap Fund, Cl Institutional Shares   39,821,437    2,512,186    (1,778,796)   1,366,965    973,399    42,895,191    742,936     
Catholic Responsible Investments Bond Fund, Cl Institutional Shares   131,226,819    3,218,591    (2,675,051)   (208,964)   (397,285)   131,164,110    1,397,878     
Catholic Responsible Investments Opportunistic Bond Fund, Cl Institutional Shares   64,937,489    1,617,789    (1,337,526)   95,020    (23,115)   65,289,657    707,432     
Catholic Responsible Investments Short Duration Bond Fund, Cl Institutional Shares   64,774,228    1,589,102    (1,337,526)   112,819    (43,895)   65,094,728    678,745     
Catholic Responsible Investments International Equity Fund, Cl Institutional Shares   79,741,715    4,129,134    (963,861)   2,091,911    (677,807)   84,321,092    511,372     
Catholic Responsible Investments International Small-Cap Fund, Cl Institutional Shares   19,449,663    1,919,954    (1,598,328)   233,202    1,181,570    21,186,061    449,777     
Totals:  $670,223,734   $26,121,635   $(19,459,859)  $(451,023)  $5,432,302   $681,866,789   $5,557,504   $ 

 

Amounts designated as “–” are $0.

 

CRI-QH-001-0900

 
 

CATHOLIC RESPONSIBLE INVESTMENTS MAGNUS 75/25 FUND

 

January 31, 2026 (Unaudited)

 

 

SCHEDULE OF INVESTMENTS

OPEN-END MUTUAL FUNDS — 99.5% 

   Shares   Value 
EQUITY — 56.9%          
Catholic Responsible Investments Equity Index Fund, Cl Institutional Shares†(A)   4,011,148   $58,281,987 
Catholic Responsible Investments Multi-Style US Equity Fund, Cl Institutional Shares†(A)   2,049,141    25,224,931 
Catholic Responsible Investments Small-Cap Fund, Cl Institutional Shares†   1,236,836    13,135,203 
         96,642,121 
           
FIXED INCOME — 23.6%          
Catholic Responsible Investments Bond Fund, Cl Institutional Shares†(A)   2,346,222    20,083,659 
Catholic Responsible Investments Opportunistic Bond Fund, Cl Institutional Shares†   1,065,624    9,984,900 
Catholic Responsible Investments Short Duration Bond Fund, Cl Institutional Shares†   1,021,600    9,950,385 
         40,018,944 
           
INTERNATIONAL — 19.0%          
Catholic Responsible Investments International Equity Fund, Cl Institutional Shares†(A)   2,190,051    25,798,805 
Catholic Responsible Investments International Small-Cap Fund, Cl Institutional Shares†   548,363    6,465,204 
         32,264,009 
Total Open-End Mutual Funds          
(Cost $112,168,744)        168,925,074 
Total Investments in Securities— 99.5%          
(Cost $112,168,744)       $168,925,074 

 

Percentages are based on Net Assets of $169,858,574.

 

Investment in Affiliated Security.
(A) Represents greater than 10% of the Fund’s total investments. For further financial information, please go to the Fund’s website at https://cbisonline.com/us/legal-financial/.

 
 

CATHOLIC RESPONSIBLE INVESTMENTS MAGNUS 75/25 FUND

 

January 31, 2026 (Unaudited)

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended January 31, 2026:

 

Security Description  Value 10/31/2025   Purchases at Cost   Proceeds from Sales   Change in Unrealized Appreciation   Realized Gain (Loss)   Value 1/31/2026   Income   Capital Gains 
Catholic Responsible Investments Equity Index Fund, Cl Institutional Shares  $59,718,178   $1,882,038   $(2,731,910)  $(2,052,686)  $1,466,367   $58,281,987   $230,249   $ 
Catholic Responsible Investments Multi-Style US Equity Fund, Cl Institutional Shares   25,856,845    1,421,430    80,547    (1,271,241)   (862,650)   25,224,931    23,946     
Catholic Responsible Investments Small-Cap Fund, Cl Institutional Shares   12,578,899    658,142    (711,521)   281,042    328,641    13,135,203    227,348     
Catholic Responsible Investments Bond Fund, Cl Institutional Shares   20,742,591    312,133    (875,873)   (83,615)   (11,577)   20,083,659    215,201     
Catholic Responsible Investments Opportunistic Bond Fund, Cl Institutional Shares   10,254,462    157,240    (437,936)   8,271    2,863    9,984,900    108,775     
Catholic Responsible Investments Short Duration Bond Fund, Cl Institutional Shares   10,224,729    152,769    (437,936)   11,396    (573)   9,950,385    104,303     
Catholic Responsible Investments International Equity Fund, Cl Institutional Shares   25,180,498    1,042,965    504,948    311,340    (1,240,946)   25,798,805    157,942     
Catholic Responsible Investments International Small-Cap Fund, Cl Institutional Shares   6,128,103    530,471    (626,203)   2,187    430,646    6,465,204    137,950     
Totals:  $170,684,305   $6,157,188   $(5,235,884)  $(2,793,306)  $112,771   $168,925,074   $1,205,714   $ 

 

Amounts designated as “–” are $0.

 

CRI-QH-001-0900