UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

 

Washington, D.C. 20549

 

 

 

FORM N-Q

 

 

 

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED

 

MANAGEMENT INVESTMENT COMPANIES

 

INVESTMENT COMPANY ACT FILE NUMBER: 811-10325

 

 

 

VANECK VECTORS ETF TRUST

(Exact name of registrant as specified in its charter)

 

 

666 Third Avenue, New York, NY   10017
(Address of principal executive offices)   (Zip Code)

 

 

John J. Crimmins

Treasurer & Chief Financial Officer

VanEck Vectors ETF Trust

666 Third Avenue

New York, NY 10017

(Name and address of agent for service)

 

Registrant’s telephone number, including area code: (212) 293-2000

  Date of fiscal year end:     April 30
 Date of reporting period:     July 31, 2016

 

Form N-Q is to be used by management investment companies, other than small business investment companies registered on Form N-5 (§§ 239.24 and 274.5 of this chapter), to file reports with the Commission, not later than 60 days after the close of the first and third fiscal quarters, pursuant to rule 30b1 -5 under the Investment Company Act of 1940 (17 CFR 270.30b1-5). The Commission may use the information provided on Form N-Q in its regulatory, disclosure review, inspection, and policymaking roles.

 

A registrant is required to disclose the information specified by Form N -Q, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-Q unless the Form displays a currently valid Office of Management and Budget (“OMB”) control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to the Secretary, Securities and Exchange Commission, 100 F Street, Washington, DC 20549. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. § 3507.

 

 

ITEM 1. Schedule of Investments.

 

BDC INCOME ETF

SCHEDULE OF INVESTMENTS

July 31, 2016 (unaudited)

 

Number
 of Shares
      Value 
COMMON STOCKS: 100.1%     
Diversified Financials: 4.1%     
 92,002   Medallion Financial Corp. †  $744,296 
 54,718   Newtek Business Services Corp.   714,070 
 138,573   TPG Specialty Lending, Inc.   2,431,956 
          3,890,322 
Investment Companies: 94.1%     
 565,814   American Capital Ltd. *   9,318,957 
 740,687   Apollo Investment Corp.   4,266,357 
 1,029,867   Ares Capital Corp. †   15,592,186 
 340,366   BlackRock Kelso Capital Corp.   2,845,460 
 521,924   Fifth Street Finance Corp.   2,922,774 
 798,719   FS Investment Corp. †   7,587,830 
 109,091   Gladstone Capital Corp. †   871,637 
 129,913   Gladstone Investment Corp.   988,638 
 138,901   Goldman Sachs BDC, Inc.   2,789,132 
 221,070   Golub Capital BDC, Inc. †   4,209,173 
 330,933   Hercules Technology Growth Capital, Inc.   4,388,172 
 168,021   Main Street Capital Corp.   5,620,302 
 244,355   New Mountain Finance Corp.   3,264,583 
 124,693   PennantPark Floating Rate Capital Ltd. †   1,588,589 
 331,490   PennantPark Investment Corp.   2,443,081 
 1,099,073   Prospect Capital Corp. †   9,204,736 
 137,959   Solar Capital Ltd.   2,793,670 
 193,078   TCP Capital Corp.   3,069,940 
 147,398   THL Credit, Inc.   1,726,031 
 240,145   TICC Capital Corp.   1,354,418 
 156,630   Triangle Capital Corp. †   3,115,371 
          89,961,037 
Investment Management / Advisory Services: 1.9%      
 255,465   Medley Capital Corp. †   1,862,340 
Total Common Stocks
(Cost: $99,517,073)
   95,713,699 
MONEY MARKET FUND: 0.1%
(Cost: $84,807)
     
 84,807   Dreyfus Government Cash Management Fund   84,807 
Total Investments Before Collateral for Securities Loaned: 100.2%
(Cost: $99,601,880)
   95,798,506 

 

Principal
Amount
         
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES LOANED: 20.1%     
Repurchase Agreements: 20.1%      
$4,568,646   Repurchase agreement dated 7/29/16 with Citigroup Global Markets, Inc., 0.35%, due 8/1/16, proceeds $4,568,779; (collateralized by various U.S. government and agency obligations, 2.00% to 7.65%, due 6/1/18 to 8/1/46, valued at $4,647,022 including accrued interest)   4,568,646 
 4,568,646   Repurchase agreement dated 7/29/16 with Daiwa Capital Markets America, Inc., 0.40%, due 8/1/16, proceeds $4,568,798; (collateralized by cash in the amount of $8,244 and various U.S. government and agency obligations, 0.00% to 8.13%, due 8/10/16 to 9/9/49, valued at $4,646,510 including accrued interest)   4,568,646 
 4,568,646   Repurchase agreement dated 7/29/16 with HSBC Securities USA, Inc., 0.33%, due 8/1/16, proceeds $4,568,772; (collateralized by various U.S. government and agency obligations, 2.00% to 6.00%, due 4/1/25 to 8/1/48, valued at $4,648,770 including accrued interest)   4,568,646 
 961,637   Repurchase agreement dated 7/29/16 with Merrill Lynch, Pierce, Fenner & Smith, Inc., 0.35%, due 8/1/16, proceeds $961,665; (collateralized by various U.S. government and agency obligations, 2.00% to 7.00%, due 2/15/17 to 5/20/66, valued at $978,054 including accrued interest)   961,637 
 4,568,646   Repurchase agreement dated 7/29/16 with Nomura Securities Int., Inc., 0.36%, due 8/1/16, proceeds $4,568,783; (collateralized by various U.S. government and agency obligations, 0.00% to 8.50%, due 8/25/16 to 5/20/66, valued at $4,645,233 including accrued interest)   4,568,646 
Total Short-Term Investments Held as Collateral for Securities Loaned
(Cost: $19,236,221)
   19,236,221 
Total Investments: 120.3%
(Cost: $118,838,101)
   115,034,727 
Liabilities in excess of other assets: (20.3)%    (19,445,498)
NET ASSETS: 100.0%   $95,589,229 

 

*Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $18,782,508.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned (unaudited)
  % of
Investments
  Value 
Financial   99.9%  $95,713,699 
Money Market Fund   0.1    84,807 
    100.0%  $95,798,506 

 

The summary of inputs used to value the Fund’s investments as of July 31, 2016 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Common Stocks*  $95,713,699   $   $   $95,713,699 
Money Market Fund   84,807            84,807 
Repurchase Agreements       19,236,221        19,236,221 
Total  $95,798,506   $19,236,221   $   $115,034,727 

 

* See Schedule of Investments for security type and industry sector breakouts.

There were no transfers between levels during the period ended July 31, 2016.

 

See Notes to Schedules of Investments

 

CHINAAMC CHINA BOND ETF

SCHEDULE OF INVESTMENTS

July 31, 2016 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 64.7%    
Basic Materials: 1.6%     
CNY1,000,000   Shandong Gold Mining Co. Ltd.
5.16%, 09/03/16 (p)
  $157,908 
Consumer, Non-cyclical: 5.2%      
 2,000,000   Jiangsu Communications Holding Co. Ltd.
4.51%, 12/12/17
   308,224 
 1,135,000   Jiangxi Ganyue Expressway Co. Ltd.
5.15%, 04/19/23
   186,099 
          494,323 
Diversified: 1.8%      
 1,000,000   Xiamen C&D Corp. Ltd.
7.30%, 10/28/16 (p)
   169,491 
Energy: 7.3%      
 1,680,000   China Petroleum & Chemical Corp.
4.90%, 06/01/22
   275,829 
 2,063,000   Offshore Oil Engineering Co. Ltd.
5.77%, 11/09/17
   322,171 
 757,000   Pingdingshan Tianan Coal Mining Co. Ltd.
5.07%, 04/17/23
   102,630 
         700,630 
Financial: 25.5%     
 12,532,000   China Development Bank Corp.
5.84%, 01/03/19
   2,041,028 
 1,000,000   China Merchants Securities Co. Ltd.
5.08%, 05/26/25
   167,734 
 1,500,000   Guangzhou Yue Xiu Holdings Ltd.
5.20%, 02/28/18 (p)
   241,926 
          2,450,688 
Industrial: 18.1%      
 587,000   China Railway Corp.
4.63%, 08/25/21
   94,515 
 1,431,000   China Railway Group Ltd.
4.88%, 01/27/20
   228,542 
 500,000   Hubei Provincial Communications Investment Co. Ltd.
6.68%, 03/27/19 (p)
   90,532 
     Power Construction Corp. of China Ltd.     
 3,000,000   5.20%, 10/29/22   493,849 
 2,000,000   5.70%, 04/23/19   322,946 
 1,800,000   Tianjin Infrastructure Construction & Investment Group Co. Ltd.
5.70%, 02/26/23
   263,600 
 1,567,500   XCMG Construction Machinery Co. Ltd.
4.89%, 10/26/17 (p)
   241,888 
          1,735,872 
Utilities: 5.2%      
 3,000,000   Datang International Power Generation Co. Ltd.
5.00%, 11/03/24
   501,090 
Total Corporate Bonds
(Cost: $6,381,178)
   6,210,002 
GOVERNMENT OBLIGATIONS: 24.8%     
     China Government Bond     
 8,347,000   3.40%, 04/17/23   1,314,360 
 6,541,000   4.26%, 07/31/21   1,070,383 
Total Government Obligations
(Cost: $2,419,114)
   2,384,743 
Total Investments: 89.5%
(Cost: $8,800,292)
   8,594,745 
Other assets less liabilities: 10.5%    1,003,352 
NET ASSETS: 100.0%   $9,598,097 

 

CNYChinese Yuan
(p)Puttable Security - the redemption date shown is when the security may be redeemed by the investor

 

Summary of Investments
by Sector (unaudited)
  % of
Investments
  Value 
Basic Materials   1.8%  $157,908 
Consumer, Non-cyclical   5.8    494,323 
Diversified   2.0    169,491 
Energy   8.2    700,630 
Financial   28.5    2,450,688 
Government   27.7    2,384,743 
Industrial   20.2    1,735,872 
Utilities   5.8    501,090 
    100.0%  $8,594,745 

 

The summary of inputs used to value the Fund’s investments as of July 31, 2016 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Corporate Bonds*  $   $6,210,002   $   $6,210,002 
Government Obligations*       2,384,743        2,384,743 
Total  $   $8,594,745   $   $8,594,745 

 

* See Schedule of Investments for security type and industry sector breakouts.

There were no transfers between levels during the period ended July 31, 2016.

 

See Notes to Schedules of Investments

 

EM INVESTMENT GRADE + BB RATED USD SOVEREIGN BOND ETF

SCHEDULE OF INVESTMENTS

July 31, 2016 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 16.6%     
British Virgin Islands: 2.1%     
$300,000   Sinopec Group Overseas Development 2015 Ltd.
3.25%, 04/28/25 Reg S
  $309,526 
Indonesia: 1.6%     
 225,000   Pertamina Persero Pt
4.30%, 05/20/23 Reg S
   231,891 
Kazakhstan: 2.0%     
 275,000   KazMunayGas National Co. JSC
7.00%, 05/05/20 144A
   301,125 
Malaysia: 4.3%     
     Petronas Capital Ltd.     
 175,000   4.50%, 03/18/45 Reg S   200,822 
 400,000   5.25%, 08/12/19 Reg S   441,107 
         641,929 
Mexico: 3.7%     
     Petróleos Mexicanos     
 150,000   5.50%, 01/21/21   159,938 
 150,000   5.50%, 06/27/44   136,484 
 225,000   6.88%, 08/04/26 Reg S   253,125 
         549,547 
Netherlands: 1.6%     
 200,000   Majapahit Holding BV
7.75%, 01/20/20 Reg S
   230,750 
South Africa: 1.3%     
 200,000   Eskom Holdings SOC Ltd.
5.75%, 01/26/21 144A
   199,500 
Total Corporate Bonds
(Cost: $2,481,016)
   2,464,268 
GOVERNMENT OBLIGATIONS: 80.9%     
Azerbaijan: 1.4%     
 200,000   Republic of Azerbaijan International Bond
4.75%, 03/18/24 144A
   203,034 
Brazil: 4.6%     
     Brazilian Government International Bonds     
 100,000   4.88%, 01/22/21   106,400 
 350,000   5.00%, 01/27/45   321,650 
 235,000   5.88%, 01/15/19   257,325 
         685,375 
Chile: 2.7%     
     Corp. Nacional del Cobre de Chile     
 250,000   3.75%, 11/04/20 Reg S   271,212 
 125,000   4.88%, 11/04/44 Reg S   136,838 
         408,050 
China / Hong Kong: 2.8%     
 400,000   Export-Import Bank of China
2.50%, 07/31/19 Reg S
   410,393 
Colombia: 5.4%     
     Colombia Government International Bonds     
 300,000   4.38%, 07/12/21   322,500 
 200,000   5.63%, 08/26/43 (c)   220,500 
 200,000   7.38%, 09/18/37   258,500 
         801,500 
Croatia: 3.0%     
 400,000   Croatia Government International Bond
6.38%, 03/24/21 144A
   441,761 
Hungary: 3.5%     
     Hungary Government International Bonds     
 225,000   5.38%, 03/25/24   254,737 
 225,000   6.38%, 03/29/21   257,859 
         512,596 
Indonesia: 3.6%     
     Indonesia Government International Bonds     
 100,000   4.63%, 04/15/43 Reg S   105,803 
 300,000   7.75%, 01/17/38 Reg S   431,764 
         537,567 
Kazakhstan: 1.8%     
 225,000   Kazakhstan Government International Bond
6.50%, 07/21/45 144A
   266,625 
Lithuania: 2.4%     
 300,000   Lithuania Government International Bond
6.13%, 03/09/21 144A
   353,019 
Mexico: 5.1%     
     Mexican Government International Bonds     
 225,000   4.00%, 10/02/23   242,662 
 150,000   4.75%, 03/08/44   160,875 
 150,000   5.13%, 01/15/20   166,875 
 150,000   6.05%, 01/11/40   189,938 
         760,350 
Morocco: 1.5%     
 200,000   Moroccan Government International Bond
4.25%, 12/11/22 144A
   215,425 
Panama: 4.9%     
     Panamanian Government International Bonds     
 100,000   5.20%, 01/30/20   110,450 
 200,000   6.70%, 01/26/36   271,750 
 225,000   9.38%, 04/01/29 (p)   347,625 
         729,825 
Peru: 4.3%     
     Peruvian Government International Bonds     
 175,000   5.63%, 11/18/50   222,250 
 100,000   7.35%, 07/21/25   136,750 
 175,000   8.75%, 11/21/33   278,687 
         637,687 
Philippines: 7.1%     
     Philippine Government International Bonds     
 337,000   4.00%, 01/15/21   372,144 
 400,000   5.00%, 01/13/37   534,182 
 100,000   6.38%, 10/23/34   148,463 
         1,054,789 
Poland: 5.1%     
     Poland Government International Bonds     
 225,000   4.00%, 01/22/24   249,095 
 225,000   5.00%, 03/23/22   258,128 
 225,000   6.38%, 07/15/19   256,613 
         763,836 
Romania: 2.8%     
 375,000   Romanian Government International Bond
4.88%, 01/22/24 Reg S
   421,921 
Russia: 4.2%     
     Russian Federal Bonds     
 300,000   5.00%, 04/29/20 144A   320,399 
 75,000   5.63%, 04/04/42 144A   82,781 
 183,625   7.50%, 03/31/30 (s) 144A   224,742 
         627,922 
Serbia: 0.8%     
 120,000   Serbia International Bond
4.88%, 02/25/20 144A
   124,869 
South Africa: 3.7%     
     South Africa Government International Bonds     
 200,000   5.50%, 03/09/20   217,579 
 275,000   6.25%, 03/08/41   329,669 
         547,248 
Trinidad and Tobago: 0.7%     
 100,000   Petroleum Co. of Trinidad & Tobago Ltd.
9.75%, 08/14/19 Reg S
   109,375 
Turkey: 5.8%     
     Turkey Government International Bonds     
 200,000   6.25%, 09/26/22   220,089 
 400,000   6.63%, 02/17/45   464,100 
 150,000   7.38%, 02/05/25   178,616 
         862,805 
Uruguay: 3.7%     
     Uruguay Government International Bonds     
 265,000   4.38%, 10/27/27   282,556 
 270,000   5.10%, 06/18/50   274,050 
         556,606 
Total Government Obligations
(Cost: $12,118,778)
   12,032,578 

 

Number
of Shares
         
MONEY MARKET FUND: 1.3%
(Cost: $193,582)
     
 193,582   Dreyfus Government Cash Management Fund   193,582 
           
Total Investments: 98.8%
(Cost: $14,793,376)
   14,690,428 
Other assets less liabilities: 1.2%   172,649 
NET ASSETS: 100.0%  $14,863,077 

 

(c)Callable Security - the redemption date shown is when the security may be redeemed by the issuer
(p)Puttable Security - the redemption date shown is when the security may be redeemed by the investor
(s)Step Bond - coupon increases periodically based upon a predetermined schedule. The rate shown reflects the rate in effect at the end of the reporting period
Reg SSecurity was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144ASecurity exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $2,733,280, or 18.4% of net assets.

 

Summary of Investments
by Sector (unaudited)
  % of
Investments
  Value 
Energy   13.9%  $2,034,018 
Government   81.9    12,032,578 
Utilities   2.9    430,250 
Money Market Fund   1.3    193,582 
    100.0%  $14,690,428 

 

The summary of inputs used to value the Fund’s investments as of July 31, 2016 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Corporate Bonds*  $   $2,464,268   $   $2,464,268 
Government Obligations*       12,032,578        12,032,578 
Money Market Fund   193,582            193,582 
Total  $193,582   $14,496,846   $   $14,690,428 

 

* See Schedule of Investments for security type and geographic sector breakouts.

There were no transfers between levels during the period July 31, 2016.

 

See Notes to Schedules of Investments

 

EMERGING MARKETS AGGREGATE BOND ETF

SCHEDULE OF INVESTMENTS

July 31, 2016 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 37.3%     
Argentina: 0.2%    
USD 30,000   Pan American Energy, LLC
7.88%, 05/07/21 Reg S
  $30,900 
Austria: 0.4%    
  64,000   ESAL GmbH
6.25%, 02/05/18 (c) Reg S
   63,040 
Bermuda: 1.2%    
  100,000   Digicel Group Ltd.
7.13%, 04/01/17 (c) 144A
   82,970 
  100,000   Qtel International Finance Ltd.
3.25%, 02/21/23 Reg S
   102,500 
          185,470 
Brazil: 2.5%    
  150,000   Banco do Brasil SA
5.88%, 01/26/22 Reg S
   151,312 
  102,000   Itau Unibanco Holding SA
6.20%, 04/15/20 144A
   109,466 
EUR 100,000   Vale SA
4.38%, 03/24/18
   117,555 
          378,333 
British Virgin Islands: 3.2%    
USD 157,000   CNOOC Finance Ltd.
3.88%, 05/02/22 Reg S
   167,071 
  100,000   CNPC General Capital Ltd.
3.95%, 04/19/22 144A
   107,748 
  100,000   Gerdau Trade, Inc.
5.75%, 01/30/21 Reg S
   101,220 
  100,000   Sinopec Group Overseas Development
4.38%, 10/17/23 Reg S
   110,014 
          486,053 
Cayman Islands: 4.9%    
  100,000   Alibaba Group Holding Ltd.
3.60%, 08/28/24 (c) 144A
   104,183 
  100,000   China Overseas Finance Cayman VI Ltd.
4.25%, 05/08/19 Reg S
   105,915 
  100,000   Country Garden Holdings Co., Ltd.
7.50%, 01/10/18 (c) Reg S
   108,467 
  100,000   Hutchison Whampoa Ltd.
7.63%, 04/09/19 Reg S
   115,330 
  100,000   QNB Finance Ltd.
2.75%, 10/31/18 Reg S
   101,825 
  100,000   Saudi Electricity Global Sukuk Co. 2
3.47%, 04/08/23 144A
   101,196 
  100,000   Swire Pacific MTN Financing Ltd.
5.50%, 08/19/19 Reg S
   110,886 
          747,802 
China / Hong Kong: 1.5%    
EUR 100,000   China Construction Bank Asia Corp. Ltd.
1.50%, 02/11/20 Reg S
   114,209 
USD 100,000   CITIC Pacific Ltd.
6.63%, 04/15/21 Reg S
   117,766 
          231,975 
Colombia: 1.5%    
  102,000   Bancolombia SA
5.13%, 09/11/22
   105,825 
  90,000   Ecopetrol SA
5.88%, 09/18/23
   94,275 
COP 110,857,000   Empresas Publicas de Medellin ESP
8.38%, 02/01/21 Reg S
   34,115 
          234,215 
Curacao: 0.3%    
USD 40,000   Teva Pharmaceutical
2.95%, 12/18/22
   41,400 
Czech Republic: 0.4%    
EUR 50,000   CEZ AS
4.50%, 06/29/20 Reg S
   65,390 
India: 0.2%    
USD 28,000   ICICI Bank Ltd.
5.75%, 11/16/20 Reg S
   31,465 
Indonesia: 0.5%    
  70,000   Pertamina Persero Pt
4.30%, 05/20/23 144A
   72,144 
Ireland: 0.4%    
EUR 50,000   Vnesheconombank
3.04%, 02/21/18 Reg S
   56,912 
Israel: 0.7%    
USD 100,000   Israel Electric Corp. Ltd.
5.00%, 11/12/24 Reg S 144A
   109,300 
Kazakhstan: 0.7%    
  100,000   KazMunayGas National Co.
7.00%, 05/05/20 Reg S
   109,500 
Luxembourg: 2.1%    
  200,000   Gaz Capital SA
6.51%, 03/07/22 Reg S
   218,919 
  100,000   SB Cap SA
5.40%, 03/24/17 Reg S
   102,223 
          321,142 
Malaysia: 0.9%    
  100,000   Petronas Capital Ltd.
7.88%, 05/22/22 Reg S
   129,622 
Mexico: 4.3%    
      America Movil SAB de CV     
EUR 100,000   4.13%, 10/25/19   125,880 
USD 25,000   5.00%, 03/30/20   27,889 
  100,000   BBVA Bancomer SA
6.75%, 09/30/22 144A
   114,200 
  85,000   Grupo Televisa SAB
6.63%, 01/15/40
   101,941 
      Petróleos Mexicanos     
  150,000   5.50%, 01/21/21   159,937 
EUR 50,000   5.50%, 02/24/25 Reg S   62,161 
USD 64,000   6.63%, 06/15/38   66,080 
          658,088 
Netherlands: 3.5%    
  100,000   Bharti Airtel International Netherlands BV
5.13%, 03/11/23 144A
   109,470 
  100,000   Lukoil International Finance BV
7.25%, 11/05/19 Reg S
   111,200 
  128,000   Majapahit Holding BV
7.75%, 01/20/20 Reg S
   147,680 
  77,000   Petrobras International Finance Co.
6.75%, 01/27/41
   63,525 
  100,000   VimpelCom Holdings BV
5.95%, 02/13/23 144A
   102,495 
          534,370 
Peru: 0.8%    
  108,000   Banco de Credito del Peru
5.38%, 09/16/20 Reg S
   120,587 
South Africa: 0.7%    
  100,000   Eskom Holdings SOC Ltd.
5.75%, 01/26/21 144A
   99,750 
Turkey: 1.6%    
  50,000   Turkiye Garanti Bankasi AS
5.25%, 09/13/22 Reg S
   50,056 
  100,000   Turkiye Is Bankasi
5.50%, 04/21/19 144A
   101,226 
  100,000   Turkiye Vakiflar Bankasi TAO
6.00%, 11/01/22 144A
   97,225 
          248,507 
United Arab Emirates: 1.5%    
  100,000   DP World Ltd.
6.85%, 07/02/37 Reg S
   115,500 
  100,000   Dubai Electricity & Water Authority
7.38%, 10/21/20 Reg S
   118,075 
          233,575 
United Kingdom: 1.1%    
  30,000   AngloGold Ashanti Holdings Plc
8.50%, 08/01/16 (c)
   31,913 
  128,000   Vedanta Resources Plc
9.50%, 07/18/18 Reg S
   130,422 
          162,335 
United States: 1.4%    
  100,000   Cemex Finance, LLC
 6.00%, 04/01/19 (c) 144A
   102,750 
  100,000   Reliance Holding USA, Inc.
5.40%, 02/14/22 144A
   113,007 
          215,757 
Venezuela: 0.8%    
      Petróleos de Venezuela SA     
  132,700   5.38%, 04/12/27 Reg S   48,802 
  68,000   8.50%, 11/02/17 Reg S   53,108 
  30,000   9.00%, 11/17/21 Reg S   14,881 
          116,791 
Total Corporate Bonds
(Cost: $5,647,976)
   5,684,423 
GOVERNMENT OBLIGATIONS: 58.5%    
Argentina: 0.3%    
EUR 60,000   Provincia de Buenos Aires
4.00%, 05/15/35 (s) Reg S
   49,508 
Bahrain: 0.4%    
USD 64,000   Bahrain Government International Bonds
6.13%, 08/01/23 144A
   66,157 
Brazil: 5.5%    
  28,000   Banco Nacional de Desenvolvimento Economico e Social
6.50%, 06/10/19 Reg S
   30,240 
      Brazilian Government International Bonds     
  88,000   4.88%, 01/22/21   93,632 
  63,000   6.00%, 01/17/17   64,481 
BRL 420,000   Letra do Tesouro Nacional
15.50%, 01/01/19 ^
   98,558 
      Notas do Tesouro Nacional, Series F     
  196,000   10.00%, 01/01/17   59,865 
  102,000   10.00%, 01/01/19   30,224 
  855,000   10.00%, 01/01/21   249,016 
  425,000   10.00%, 01/01/23   121,418 
  300,000   10.00%, 01/01/25   84,562 
          831,996 
Cayman Islands: 0.8%    
EUR 100,000   IPIC GMTN Ltd.
2.38%, 05/30/18 Reg S
   116,524 
Chile: 1.4%    
      Chilean Government International Bonds     
USD 50,000   3.88%, 08/05/20   54,750 
CLP 9,000,000   5.50%, 08/05/20   14,624 
USD 119,600   Corp. Nacional del Cobre de Chile
7.50%, 01/15/19 144A
   136,579 
          205,953 
China / Hong Kong: 0.9%    
  128,000   Bank of China Ltd.
5.55%, 02/11/20 Reg S
   141,496 
Colombia: 2.2%    
      Colombian Government International Bonds     
  128,000   7.38%, 03/18/19   145,856 
COP 537,000,000   7.75%, 04/14/21   181,549 
          327,405 
Croatia: 0.7%    
USD 100,000   Croatia Government International Bonds
6.75%, 11/05/19 Reg S
   109,753 
Czech Republic: 0.7%    
      Czech Republic Government Bonds     
EUR 35,000   3.88%, 05/24/22 Reg S   47,931 
CZK 1,100,000   5.70%, 05/25/24 Reg S   65,280 
          113,211 
Dominican Republic: 0.2%    
USD 21,200   Dominican Republic International Bonds
7.50%, 05/06/21 Reg S
   23,797 
Hungary: 2.1%    
      Hungarian Government Bonds     
HUF 20,300,000   6.00%, 11/24/23   90,505 
USD 100,000   6.38%, 03/29/21   114,604 
HUF 26,920,000   7.50%, 11/12/20   119,508 
          324,617 
Indonesia: 4.8%    
USD 192,000   Indonesia Government International Bonds
5.88%, 03/13/20 Reg S
   215,102 
      Indonesian Treasury Bonds     
IDR 960,000,000   8.37%, 03/15/24   79,740 
  1,743,000,000   8.38%, 09/15/26   147,507 
  1,479,000,000   10.50%, 08/15/30   143,039 
  1,682,000,000   11.00%, 11/15/20   148,649 
          734,037 
Israel: 2.2%    
      Israel Government Bonds     
ILS 565,000   4.25%, 03/31/23   177,639 
  385,000   5.00%, 01/31/20   116,901 
  135,000   5.50%, 02/28/17   36,541 
          331,081 
Lebanon: 1.0%    
USD 140,000   Lebanon Government International Bonds
8.25%, 04/12/21 Reg S
   152,425 
Lithuania: 0.4%    
  50,000   Lithuania Government International Bonds
7.38%, 02/11/20 Reg S
   59,006 
Malaysia: 3.0%    
      Malaysian Government Bonds     
MYR 835,000   3.48%, 03/15/23   205,340 
  670,000   3.89%, 03/15/27   165,951 
  351,000   5.73%, 07/30/19   92,634 
          463,925 
Mexico: 5.4%    
      Mexican Government International Bonds     
USD 77,000   4.00%, 10/02/23   83,045 
  73,000   5.63%, 01/15/17 †   74,515 
  102,000   6.05%, 01/11/40   129,157 
MXN 1,460,100   7.50%, 06/03/27   86,991 
  5,294,900   8.00%, 06/11/20   306,980 
  2,070,000   10.00%, 12/05/24   140,849 
          821,537 
Nigeria: 0.4%    
NGN 18,470,000   Nigerian Government Bonds
16.39%, 01/27/22
   60,683 
Panama: 0.6%    
USD 69,400   Panamanian Government International Bonds
7.13%, 01/29/26
   92,822 
Peru: 1.2%    
      Peruvian Government International Bonds     
PEN 90,000   5.70%, 08/12/24   27,178 
USD 62,000   7.35%, 07/21/25   84,785 
PEN 200,000   7.84%, 08/12/20   65,459 
          177,422 
Philippines: 1.2%    
USD 142,000   Philippine Government International Bonds
5.00%, 01/13/37
   189,634 
Poland: 4.5%    
      Poland Government International Bonds     
PLN 200,000   1.50%, 04/25/20   50,462 
  580,000   2.50%, 07/25/18   151,515 
  150,000   3.25%, 07/25/25   39,885 
  625,000   4.00%, 10/25/23   175,345 
  450,000   5.75%, 04/25/29   147,304 
USD 100,000   6.38%, 07/15/19   114,050 
          678,561 
Qatar: 0.7%    
  100,000   Qatar Government International Bonds
5.25%, 01/20/20 Reg S
   111,250 
Romania: 1.2%    
      Romanian Government International Bonds     
EUR 50,000   4.63%, 09/18/20 Reg S   65,104 
RON 450,000   5.90%, 07/26/17   118,925 
          184,029 
Russia: 3.0%    
      Russian Federal Bonds     
RUB 3,550,000   7.50%, 03/15/18   52,609 
  4,550,000   7.50%, 02/27/19   66,700 
USD 28,250   7.50%, 03/31/30 (s) Reg S   34,576 
RUB 10,080,000   8.15%, 02/03/27   151,153 
USD 130,000   11.00%, 07/24/18 Reg S   152,755 
          457,793 
Serbia: 0.3%    
  50,000   Serbian International Bonds
4.88%, 02/25/20 144A
   52,029 
South Africa: 3.7%    
      South Africa Government International Bonds     
  78,000   5.50%, 03/09/20 †   84,856 
ZAR 2,604,300   7.75%, 02/28/23   182,445 
  1,331,400   8.25%, 09/15/17   96,786 
  2,070,000   8.75%, 02/28/48   138,878 
  790,000   10.50%, 12/21/26   64,195 
          567,160 
Thailand: 3.6%    
      Thailand Government Bonds     
THB 3,680,000   3.25%, 06/16/17   107,318 
  8,863,000   3.63%, 06/16/23   282,809 
  4,100,000   4.88%, 06/22/29   151,766 
          541,893 
Turkey: 4.5%    
      Turkey Government International Bonds     
USD 90,000   6.88%, 03/17/36   106,107 
TRY 488,600   7.10%, 03/08/23   144,448 
USD 160,000   7.38%, 02/05/25   190,524 
TRY 357,100   9.00%, 03/08/17   119,724 
  370,000   10.50%, 01/15/20   128,999 
          689,802 
Ukraine: 0.0%    
USD 20,000   Ukraine Government International Bonds
0.00%, 05/31/40 (a) 144A
   6,800 
United Arab Emirates: 0.7%    
  100,000   Abu Dhabi National Energy Co.
6.25%, 09/16/19 Reg S
   112,050 
Uruguay: 0.6%    
  77,000   Uruguay Government International Bonds
4.50%, 08/14/24 †
   84,816 
Venezuela: 0.3%    
  100,000   Venezuelan Government International Bonds
9.25%, 05/07/28 Reg S
   44,625 
Total Government Obligations
(Cost: $10,013,725)
 8,923,797 

 

Number
of Shares
         
MONEY MARKET FUND: 1.7%
(Cost: $256,365)
    
 256,365   Dreyfus Government Cash Management Fund   256,365 
Total Investments Before Collateral for Securities Loaned: 97.5%
(Cost: $15,918,066)
  14,864,585 

 

Principal
Amount
         
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES LOANED: 1.2%
(Cost: $184,371)
   
Repurchase Agreement: 1.2%     
USD 184,371   Repurchase agreement dated 7/29/16 with Daiwa Capital Markets America, Inc., 0.40%, due 8/1/16, proceeds $184,377; (collateralized by cash in the amount of $333 and various U.S. government and agency obligations, 0.00% to 8.13%, due 8/10/16 to 9/9/49, valued at $187,513 including accrued interest)   184,371 
Total Investments: 98.7%
(Cost: $16,102,437)
 15,048,956 
Other assets less liabilities: 1.3%  202,504 
NET ASSETS: 100.0% $15,251,460 

 

 

BRL Brazilian Real
CLP Chilean Peso
COP Colombian Peso
CZK Czech Koruna
EUR Euro
HUF Hungarian Forint
IDR Indonesian Rupiah
ILS Israeli Sheqel
MXN Mexican Peso
MYR Malaysian Ringgit
NGN Nigerian Naira
PEN Peruvian Nuevo Sol
PLN Polish Zloty
RON Romanian Leu
RUB Russian Ruble
THB Thai Baht
TRY Turkish Lira
USD United States Dollar
ZAR South African Rand
(a) Coupon is based upon predetermined growth targets for the Gross Domestic Product of Ukraine. The rate shown reflects the rate in effect at the end of the reporting period.
(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
(s) Step Bond - coupon increases periodically based upon a predetermined schedule. The rate shown reflects the rate in effect at the end of the reporting period
^ Zero Coupon Bond - the rate shown is the effective yield at purchase date
Security fully or partially on loan. Total market value of securities on loan is $178,096.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $1,788,695, or 11.7% of net assets.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned (unaudited)
  % of
Investments
  Value  
Basic Materials   3.4%  $498,876 
Communications   5.1    757,328 
Consumer, Non-cyclical   1.5    219,940 
Diversified   1.5    226,216 
Energy   11.7    1,732,894 
Financial   9.9    1,470,913 
Government   60.0    8,923,797 
Industrial   0.7    102,750 
Utilities   4.5    675,506 
Money Market Fund   1.7    256,365 
    100.0%  $14,864,585 

 

The summary of inputs used to value the Fund’s investments as of July 31, 2016 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value  
Corporate Bonds*  $   $5,684,423   $   $5,684,423 
Government Obligations*       8,923,797        8,923,797 
Money Market Fund   256,365            256,365 
Repurchase Agreement       184,371        184,371 
Total  $256,365   $14,792,591   $   $15,048,956 

 

* See Schedule of Investments for security type and geographic sector breakouts.

There were no transfers between levels during the period ended July 31, 2016

 

See Notes to Schedules of Investments

 

EMERGING MARKETS HIGH YIELD BOND ETF

SCHEDULE OF INVESTMENTS

July 31, 2016 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 87.6%     
Argentina: 3.7%     
$600,000   Arcor SAIC
6.00%, 07/06/20 (c) 144A
  $628,368 
 450,000   Banco de Galicia y Buenos Aires SA
8.75%, 08/29/16 (c) 144A
   465,750 
 500,000   Banco Hipotecario SA
9.75%, 11/30/20 144A
   552,500 
 600,000   Cablevision SA
6.50%, 06/15/19 (c) 144A
   619,500 
 500,000   IRSA Propiedades Comerciales SA
8.75%, 03/23/20 (c) 144A
   541,250 
     Pan American Energy LLC     
 200,000   7.88%, 05/07/21 † Reg S   206,000 
 470,000   7.88%, 05/07/21 144A   484,100 
 600,000   Petrobras Argentina SA
7.38%, 07/21/20 (c) 144A
   604,500 
 320   Transportadora de Gas del Sur SA
9.63%, 05/14/18 (c) 144A
   343 
     YPF SA     
 1,740,000   8.50%, 07/28/25 144A   1,840,050 
 3,485,000   8.75%, 04/04/24 144A   3,746,375 
 1,195,000   8.88%, 12/19/18 144A   1,299,562 
         10,988,298 
Austria: 0.5%     
 700,000   JBS Investments GmbH
7.75%, 10/28/17 (c) 144A
   745,500 
 700,000   Sappi Papier Holding GmbH
7.75%, 04/15/17 (c) 144A
   724,500 
         1,470,000 
Azerbaijan: 0.8%     
 700,000   International Bank of Azerbaijan OJSC
5.63%, 06/11/19 Reg S
   692,006 
 1,450,000   Southern Gas Corridor CJSC
6.88%, 03/24/26 144A
   1,595,725 
         2,287,731 
Bahrain: 0.2%     
 500,000   BBK BSC
3.50%, 03/24/20 Reg S
   483,175 
Bangladesh: 0.1%     
 400,000   Banglalink Digital Communications Ltd.
8.63%, 05/06/17 (c) 144A
   428,160 
Barbados: 0.7%     
 1,890,000   Columbus International, Inc.
7.38%, 03/30/18 (c) 144A
   2,024,114 
Bermuda: 3.5%     
 645,000   China Oil & Gas Group Ltd.
5.25%, 08/29/16 (c) 144A
   659,513 
     Digicel Group Ltd.     
 1,400,000   7.13%, 04/01/17 (c) 144A   1,161,580 
 1,735,000   8.25%, 09/30/16 (c) 144A   1,591,862 
     Digicel Ltd.     
 1,900,000   6.00%, 08/29/16 (c) 144A   1,774,125 
 2,175,000   6.75%, 03/01/18 (c) 144A   2,027,100 
 450,000   GCX Ltd.
7.00%, 08/01/16 (c) 144A
   456,864 
 550,000   GeoPark Latin America Ltd., Agencia en Chile
7.50%, 02/11/17 (c) Reg S
   453,750 
     Inkia Energy Ltd.     
 300,000   8.38%, 08/29/16 (c) Reg S   315,000 
 350,000   8.38%, 08/29/16 (c) 144A   367,500 
     Noble Group Ltd.     
 400,000   6.75%, 01/29/20 Reg S   341,000 
 1,250,000   6.75%, 01/29/20 144A   1,065,625 
         10,213,919 
Brazil: 4.7%     
 150,000   Banco ABC Brasil SA
7.88%, 04/08/20 144A
   155,933 
     Banco Bradesco SA     
 160,000   5.75%, 03/01/22 144A   168,800 
 1,070,000   5.90%, 01/16/21 144A   1,131,525 
     Banco BTG Pactual SA     
 525,000   5.75%, 09/28/22 Reg S   464,625 
 75,000   5.75%, 09/28/22 144A   66,375 
     Banco do Brasil SA     
 1,230,000   5.88%, 01/26/22 144A   1,240,762 
 1,195,000   8.50%, 10/20/20 (c) 144A   1,217,824 
     Banco do Estado do Rio Grande do Sul SA     
 400,000   7.38%, 02/02/22 Reg S   395,800 
 50,000   7.38%, 02/02/22 144A   49,475 
 1,510,000   Banco Nacional de Desenvolvimento Economico e Social
5.50%, 07/12/20 † 144A
   1,595,315 
 400,000   Banco Pan SA
8.50%, 04/23/20 144A
   399,500 
 438,000   Banco Votorantim SA
7.38%, 01/21/20 144A
   456,615 
 1,520,000   Caixa Economica Federal
4.25%, 05/13/19 † 144A
   1,523,800 
     Centrais Eletricas Brasileiras SA     
 520,000   5.75%, 10/27/21 † 144A   499,850 
 485,000   6.88%, 07/30/19 144A   499,696 
     Itau Unibanco Holding SA     
 3,015,000   5.13%, 05/13/23 † 144A   3,038,035 
 350,000   5.75%, 01/22/21 144A   367,500 
 700,000   Votorantim Cimentos SA
7.25%, 04/05/41 144A
   677,250 
         13,948,680 
British Virgin Islands: 3.5%     
 650,000   Arcos Dorados Holdings, Inc.
6.63%, 09/27/23 144A
   661,375 
 500,000   Central American Bottling Corp.
6.75%, 02/09/17 (c) 144A
   514,860 
 1,340,000   Gold Fields Orogen Holding BVI Ltd.
4.88%, 10/07/20 144A
   1,360,100 
 1,500,000   Greenland Global Investment Ltd.
5.88%, 07/03/24 † Reg S
   1,574,760 
 850,000   GTL Trade Finance, Inc.
5.89%, 01/29/24 (c) † 144A
   802,188 
 800,000   Oceanwide Holdings International Co. Ltd.
9.63%, 08/11/18 (c) (p) Reg S
   884,526 
 400,000   Road King 2012 Ltd.
9.88%, 08/15/16 (c) † Reg S
   416,420 
 450,000   Sparkle Assets Ltd.
6.88%, 01/30/17 (c) † Reg S
   471,209 
 500,000   Star Energy Geothermal Wayang Windu Ltd.
6.13%, 03/28/17 (c) 144A
   524,375 
 1,350,000   Studio City Finance Ltd.
8.50%, 08/29/16 (c) † 144A
   1,414,125 
 1,215,000   Trillion Chance Ltd.
8.50%, 01/10/17 (c) Reg S
   1,289,505 
 400,000   Yingde Gases Investment Ltd.
8.13%, 08/29/16 (c) Reg S
   369,000 
         10,282,443 
Canada: 0.2%     
     Pacific Exploration and Production Corp.     
 775,000   5.13%, 03/28/18 (c) (d) * 144A   131,750 
 1,905,000   5.38%, 01/26/17 (c) (d) * 144A   323,850 
         455,600 
Cayman Islands: 13.8%     
 900,000   Agile Group Holdings Ltd.
8.38%, 02/18/17 (c) † Reg S
   961,901 
 500,000   Agromercantil Senior Trust
6.25%, 04/10/19 144A
   524,375 
 1,020,000   Alpha Star Holding Ltd.
4.97%, 04/09/19 Reg S
   979,347 
 700,000   Batelco International Finance No. 1 Ltd.
4.25%, 05/01/20 Reg S
   701,785 
 800,000   CAR, Inc.
6.13%, 02/04/18 (c) 144A
   845,429 
 500,000   Cementos Progreso Trust
7.13%, 05/06/18 (c) 144A
   532,500 
 850,000   Central China Real Estate Ltd.
6.50%, 06/04/17 (c) Reg S
   876,024 
 300,000   China Hongqiao Group Ltd.
6.88%, 05/03/18 Reg S
   310,894 
 400,000   China Shanshui Cement Group Ltd.
7.50%, 03/10/18 (c) † § Reg S
   317,566 
 815,000   CIFI Holdings Group Co. Ltd.
8.88%, 01/27/17 (c) Reg S
   872,436 
 1,125,000   Comcel Trust
6.88%, 02/06/19 (c) 144A
   1,175,625 
     Country Garden Holdings Co. Ltd.     
 1,815,000   7.50%, 01/10/18 (c) 144A   1,968,674 
 1,100,000   7.50%, 03/09/18 (c) † Reg S   1,192,201 
 400,000   DIP Sukuk Ltd.
4.29%, 02/20/19 Reg S
   412,676 
 2,590,000   Evergrande Real Estate Group Ltd.
8.75%, 10/30/16 (c) † 144A
   2,674,175 
 600,000   Ezdan Sukuk Co. Ltd.
4.38%, 05/18/21 Reg S
   600,480 
 500,000   Future Land Development Holdings Ltd.
10.25%, 07/21/17 (c) Reg S
   556,264 
 400,000   Geely Automobile Holdings Ltd.
5.25%, 10/06/17 (c) 144A
   420,000 
 1,605,000   Global A&T Electronics Ltd.
10.00%, 08/29/16 (c) 144A
   1,207,762 
 200,000   Glorious Property Holdings Ltd.
13.25%, 03/04/17 (c) Reg S
   149,500 
     Greenland Hong Kong Holdings Ltd.     
 250,000   4.38%, 08/07/17 Reg S   253,195 
 200,000   4.75%, 10/18/16 Reg S   201,000 
 500,000   Greentown China Holdings Ltd.
5.88%, 08/11/18 (c) Reg S
   534,660 
 1,650,000   Grupo Aval Ltd.
4.75%, 09/26/22 144A
   1,596,870 
 639,624   Guanay Finance Ltd.
6.00%, 12/15/20 144A
   649,218 
 750,000   Industrial Senior Trust
5.50%, 11/01/22 144A
   752,813 
 1,455,000   KWG Property Holdings Ltd.
8.98%, 01/14/17 (c) Reg S
   1,555,036 
 940,000   Longfor Properties Co. Ltd.
6.75%, 01/29/18 (c) Reg S
   1,018,347 
 850,000   MAF Global Securities Ltd.
7.13%, 10/29/18 (c) Reg S
   898,238 
 775,000   Marfrig Overseas Ltd.
9.50%, 08/29/16 (c) 144A
   802,125 
 1,490,000   MCE Finance Ltd.
5.00%, 08/29/16 (c) 144A
   1,510,675 
 650,000   MIE Holdings Corp.
7.50%, 04/25/17 (c) 144A
   409,618 
 900,000   Mumtalakat Sukuk Holding Co.
4.00%, 11/25/21 Reg S
   879,750 
 798,750   Odebrecht Drilling Norbe VIII/IX Ltd.
6.35%, 06/30/20 (c) 144A
   218,658 
 737,290   Odebrecht Offshore Drilling Finance Ltd.
6.75%, 12/01/21 (c) 144A
   125,339 
 500,000   Parkson Retail Group Ltd.
4.50%, 05/03/18 Reg S
   476,726 
 810,000   Shelf Drilling Holdings Ltd.
8.63%, 08/29/16 (c) 144A
   659,138 
     Shimao Property Holdings Ltd.     
 1,655,000   6.63%, 01/14/17 (c) Reg S   1,735,747 
 1,600,000   8.38%, 02/10/19 (c) † Reg S   1,832,611 
 390,000   Sunac China Holdings Ltd.
9.38%, 08/05/16 (c) Reg S
   410,085 
 400,000   Suzano Trading Ltd.
5.88%, 01/23/21 144A
   421,640 
 225,000   TAM Capital 3, Inc.
8.38%, 08/29/16 (c) 144A
   230,906 
     Vale Overseas Ltd.     
 1,525,000   4.38%, 01/11/22   1,484,969 
 2,230,000   6.88%, 11/21/36   2,157,525 
 1,915,000   Wynn Macau Ltd.
5.25%, 10/15/16 (c) 144A
   1,929,362 
 800,000   Yuzhou Properties Co. Ltd.
8.63%, 01/24/17 (c) Reg S
   853,063 
         40,876,928 
Chile: 1.0%     
 1,410,000   AES Gener SA
8.38%, 06/18/19 (c) † 144A
   1,519,275 
 750,000   CorpGroup Banking SA
6.75%, 03/15/18 (c) 144A
   719,063 
 800,000   Latam Airlines Group SA
7.25%, 06/09/20 144A
   819,000 
         3,057,338 
China / Hong Kong: 1.2%     
     Bank of East Asia Ltd.     
 1,170,000   4.25%, 11/20/19 (c) Reg S   1,200,405 
 1,100,000   5.50%, 12/02/20 (c) † Reg S   1,111,190 
 445,000   China CITIC Bank International Ltd.
6.88%, 06/24/20 Reg S
   506,863 
 300,000   Chong Hing Bank Ltd.
6.50%, 09/25/19 (c) † Reg S
   314,462 
 600,000   Zoomlion HK SPV Co. Ltd.
6.13%, 12/20/22 144A
   561,000 
         3,693,920 
Colombia: 1.5%     
 850,000   Banco Davivienda SA
5.88%, 07/09/22 144A
   887,400 
 1,218,000   Banco de Bogota SA
5.38%, 02/19/23 144A
   1,248,450 
 565,000   Banco GNB Sudameris SA
3.88%, 05/02/18 144A
   562,886 
     Colombia Telecomunicaciones SA ESP     
 830,000   5.38%, 09/27/17 (c) 144A   811,325 
 1,105,000   8.50%, 03/30/20 (c) 144A   1,035,937 
         4,545,998 
Croatia: 0.4%     
     Agrokor D.D.     
 350,000   8.88%, 08/29/16 (c) Reg S   372,932 
 50,000   8.88%, 08/29/16 (c) 144A   53,276 
 800,000   Hrvatska Elektroprivreda
5.88%, 10/23/22 144A
   859,149 
         1,285,357 
Dominican Republic: 0.5%     
     Aeropuertos Dominicanos Siglo XXI SA     
 650,000   9.75%, 08/29/16 (c) Reg S   691,438 
 275,000   9.75%, 08/29/16 (c) 144A   292,531 
 550,000   Banco de Reservas de la Republica Dominicana
7.00%, 02/01/23 144A
   566,671 
         1,550,640 
Georgia: 0.3%     
 720,000   Georgian Railway JSC
7.75%, 07/11/22 144A
   802,800 
           
Hungary: 0.4%     
 1,045,000   MFB Magyar Fejlesztesi Bank Zrt
6.25%, 10/21/20 144A
   1,164,485 
India: 1.4%     
 400,000   Bank of India
3.13%, 05/06/20 Reg S
   399,372 
 645,000   Indian Overseas Bank
4.63%, 02/21/18 Reg S
   660,572 
 820,000   JSW Steel Ltd.
4.75%, 11/12/19 † Reg S
   792,596 
 400,000   Reliance Communications Ltd.
6.50%, 11/06/20 † Reg S
   413,000 
 1,000,000   Syndicate Bank
4.13%, 04/12/18 Reg S
   1,017,864 
 850,000   Tata Motors Ltd.
4.63%, 04/30/20 Reg S
   888,250 
         4,171,654 
Indonesia: 1.3%     
     Gajah Tunggal Tbk PT     
 600,000   7.75%, 08/29/16 (c) Reg S   510,000 
 90,000   7.75%, 08/29/16 (c) 144A   76,500 
     Perusahaan Listrik Negara PT     
 1,550,000   5.25%, 10/24/42 144A   1,568,243 
 1,650,000   5.50%, 11/22/21 Reg S   1,824,801 
         3,979,544 
Ireland: 4.1%     
 400,000   AK Transneft OJSC
8.70%, 08/07/18 144A
   447,775 
     Alfa Bank OJSC     
 900,000   7.75%, 04/28/21 144A   1,027,359 
 545,000   7.88%, 09/25/17 Reg S   579,520 
 300,000   Brunswick Rail Finance Ltd.
6.50%, 11/01/17 Reg S
   152,250 
 250,000   Credit Bank of Moscow
7.70%, 02/01/18 Reg S
   261,456 
 300,000   EDC Finance Ltd.
4.88%, 04/17/20 144A
   304,426 
 400,000   EuroChem Mineral & Chemical Co. OJSC
5.13%, 12/12/17 144A
   411,402 
 975,000   Gazprombank OJSC
7.25%, 05/03/19 Reg S
   1,037,107 
 500,000   Metalloinvest Finance Ltd.
5.63%, 04/17/20 144A
   525,212 
 650,000   Mobile Telesystems OJSC
5.00%, 05/30/23 144A
   672,750 
 500,000   Nomos Bank
7.25%, 04/25/18 144A
   524,806 
 700,000   Novatek OAO
4.42%, 12/13/22 144A
   693,000 
 300,000   Phosagro OAO
4.20%, 02/13/18 144A
   306,375 
 925,000   Rosneft Oil Co.
4.20%, 03/06/22 144A
   903,309 
 600,000   Russian Railways
5.70%, 04/05/22 Reg S
   642,854 
 525,000   Sibur Securities Ltd.
3.91%, 01/31/18 144A
   531,563 
 300,000   Vimpel Communications OJSC
9.13%, 04/30/18 144A
   331,228 
 2,595,000   Vnesheconombank
6.90%, 07/09/20 144A
   2,787,160 
         12,139,552 
Israel: 0.4%     
 1,135,000   B Communications Ltd.
7.38%, 02/15/17 (c) † 144A
   1,228,637 
Kazakhstan: 3.5%     
 700,000   Halyk Savings Bank of Kazakhstan JSC
7.25%, 01/28/21 144A
   753,900 
 500,000   Kazkommertsbank JSC
7.50%, 11/29/16 144A
   497,500 
     KazMunayGas National Co. JSC     
 600,000   4.40%, 04/30/23 144A   591,000 
 1,000,000   5.75%, 04/30/43 144A   984,350 
 1,600,000   6.38%, 04/09/21 144A   1,736,000 
 2,000,000   7.00%, 05/05/20 144A   2,190,000 
 1,700,000   9.13%, 07/02/18 144A   1,877,140 
 850,000   Samruk-Energy JSC
3.75%, 12/20/17 Reg S
   854,165 
 850,000   Zhaikmunai International BV
7.13%, 11/13/16 (c) 144A
   750,125 
         10,234,180 
Luxembourg: 7.5%     
 500,000   ALROSA Finance SA
7.75%, 11/03/20 144A
   568,190 
 500,000   Andrade Gutierrez International SA
4.00%, 04/30/18 144A
   380,000 
 1,560,000   Consolidated Energy Finance SA
6.75%, 10/15/16 (c) 144A
   1,556,100 
 700,000   CSN Resources SA
6.50%, 07/21/20 144A
   416,290 
 1,170,000   Evraz Group SA
6.75%, 04/27/18 144A
   1,219,725 
 1,420,000   Gazprom Neft OAO
6.00%, 11/27/23 144A
   1,496,325 
     Gazprom OAO     
 1,600,000   4.95%, 07/19/22 144A   1,628,000 
 700,000   9.25%, 04/23/19 (p) 144A   805,349 
     Gazprom PAO     
 200,000   6.21%, 11/22/16 144A   202,982 
 770,000   7.29%, 08/16/37 144A   866,250 
     MHP SA     
 200,000   8.25%, 04/02/20 Reg S   190,000 
 875,000   8.25%, 04/02/20 144A   831,250 
 380,000   Minerva Luxembourg SA
7.75%, 01/31/18 (c) 144A
   402,800 
 850,000   MOL Group Finance SA
6.25%, 09/26/19 Reg S
   935,518 
     Offshore Drilling Holding SA     
 700,000   8.38%, 09/20/17 (c) Reg S   329,000 
 590,000   8.38%, 09/20/17 (c) † 144A   277,300 
 1,405,000   Puma International Financing SA
6.75%, 02/01/17 (c) 144A
   1,458,671 
 300,000   QGOG Constellation SA
6.25%, 11/09/16 (c) Reg S
   138,000 
     Rosneft Finance SA     
 200,000   7.25%, 02/02/20 144A   221,760 
 545,000   7.88%, 03/13/18 144A   587,919 
 1,380,000   Russian Agricultural Bank OJSC
5.10%, 07/25/18 144A
   1,419,082 
     Sberbank of Russia     
 800,000   4.95%, 02/07/17 144A   812,264 
 1,000,000   5.13%, 10/29/22 144A   1,015,650 
 750,000   6.13%, 02/07/22 144A   819,300 
     Severstal OAO     
 600,000   5.90%, 10/17/22 144A   647,433 
 200,000   6.70%, 10/25/17 144A   210,354 
 250,000   Sistema JSFC
6.95%, 05/17/19 144A
   267,500 
 500,000   Topaz Marine SA
8.63%, 11/01/16 (c) 144A
   487,500 
     VTB Bank OJSC     
 580,000   6.00%, 04/12/17 144A   595,264 
 730,000   6.88%, 05/29/18 (p) 144A   779,147 
 470,000   VTB Bank SA
6.95%, 10/17/22 144A
   488,683 
         22,053,606 
Marshall Islands: 0.2%     
 690,000   Navios South American Logistics, Inc.
7.25%, 05/01/17 (c) 144A
   476,100 
Mexico: 5.1%     
 1,420,000   BBVA Bancomer SA
7.25%, 04/22/20 144A
   1,578,330 
     Cemex SAB de CV     
 1,400,000   5.70%, 01/11/20 (c) 144A   1,406,580 
 970,000   5.88%, 08/15/16 (c) † 144A   998,993 
 1,070,000   6.50%, 12/10/17 (c) † 144A   1,152,925 
 1,160,000   7.25%, 01/15/18 (c) 144A   1,264,284 
 621,000   Controladora Mabe SA de CV
7.88%, 10/28/19 Reg S
   692,726 
 900,000   Credito Real SAB de CV
7.25%, 07/20/20 (c) 144A
   885,195 
 760,000   Elementia SAB de CV
5.50%, 01/15/20 (c) 144A
   793,996 
 820,000   Grupo Elektra SAB de CV
7.25%, 08/29/16 (c) † Reg S
   832,300 
 500,000   Grupo Idesa SA de CV
7.88%, 12/18/17 (c) 144A
   513,750 
 400,000   Grupo KUO SAB de CV
6.25%, 12/04/17 (c) 144A
   421,240 
 550,000   Grupo Posadas SAB de CV
7.88%, 06/30/19 (c) 144A
   569,250 
 500,000   Metalsa SA de CV
4.90%, 04/24/23 144A
   497,500 
 600,000   Office Depot de Mexico SA de CV
6.88%, 09/20/17 (c) 144A
   633,000 
 795,000   Sixsigma Networks Mexico SA de CV
8.25%, 11/07/17 (c) 144A
   798,975 
 850,000   Tenedora Nemak SA
5.50%, 02/28/18 (c) 144A
   886,125 
 720,000   TV Azteca SAB de CV
7.63%, 09/18/17 (c) Reg S
   480,600 
 600,000   Unifin Financiera SAPI de CV
6.25%, 07/22/17 (c) 144A
   606,000 
         15,011,769 
Mongolia: 0.2%     
 600,000   Trade & Development Bank of Mongolia LLC
9.38%, 05/19/20 144A
   624,168 
Morocco: 0.2%     
 500,000   BMCE Bank
6.25%, 11/27/18 Reg S
   528,695 
Netherlands: 6.2%     
 605,000   Access Finance BV
7.25%, 07/25/17 144A
   605,000 
 870,000   Ajecorp BV
6.50%, 05/14/17 (c) † 144A
   391,500 
 550,000   Cimpor Financial Operations BV
5.75%, 07/17/19 (c) 144A
   453,750 
 500,000   Credit Europe Bank NV
8.00%, 01/24/18 (c) Reg S
   488,935 
 1,100,000   EA Partners I BV
6.88%, 09/28/20 Reg S
   1,134,056 
     FBN Finance Co. BV     
 675,000   8.00%, 07/23/19 (c) 144A   481,417 
 400,000   8.25%, 08/07/18 (c) 144A   324,000 
 830,000   Greenko Dutch BV
8.00%, 08/01/17 (c) 144A
   897,516 
 500,000   GTB Finance BV
6.00%, 11/08/18 144A
   498,750 
 955,000   Indo Energy Finance II BV
6.38%, 01/24/18 (c) 144A
   623,696 
     Kazakhstan Temir Zholy Finance BV     
 1,000,000   6.38%, 10/06/20 144A   1,061,250 
 1,600,000   6.95%, 07/10/42 144A   1,688,000 
 865,000   Listrindo Capital BV
6.95%, 08/29/16 (c) Reg S
   898,735 
     Majapahit Holding BV     
 1,660,000   7.75%, 01/20/20 † 144A   1,915,225 
 1,395,000   8.00%, 08/07/19 144A   1,605,561 
     Petrobras Global Finance BV     
 1,450,000   4.38%, 05/20/23   1,247,000 
 1,050,000   6.25%, 03/17/24   987,000 
 1,475,000   Petrobras International Finance Co.
5.38%, 01/27/21
   1,403,094 
 1,500,000   VTR Finance BV
6.88%, 01/15/19 (c) 144A
   1,548,750 
         18,253,235 
Nigeria: 0.3%     
 500,000   Fidelity Bank Plc
6.88%, 05/09/18 144A
   395,000 
 650,000   Zenith Bank Plc
6.25%, 04/22/19 144A
   632,125 
         1,027,125 
Panama: 0.5%     
 400,000   AES El Salvador Trust II
6.75%, 03/28/18 (c) 144A
   373,000 
 500,000   AES Panama SRL
6.00%, 06/25/19 (c) 144A
   518,750 
 650,000   Avianca Holdings SA
8.38%, 05/10/17 (c) 144A
   580,125 
         1,471,875 
Paraguay: 0.3%     
 450,000   Banco Regional SAECA
8.13%, 01/24/19 144A
   480,375 
 400,000   Telefonica Celular del Paraguay SA
6.75%, 12/13/17 (c) 144A
   416,000 
         896,375 
Peru: 1.5%     
 600,000   Banco Internacional del Peru SAA Interbank
6.63%, 03/19/24 (c) 144A
   655,500 
 500,000   Cementos Pacasmayo SAA
4.50%, 02/08/23 144A
   511,250 
 565,000   InRetail Shopping Malls
6.50%, 07/09/18 (c) 144A
   597,346 
 700,000   Minsur SA
6.25%, 02/07/24 144A
   723,450 
 1,000,000   Union Andina de Cementos SAA
5.88%, 10/30/18 (c) 144A
   1,045,000 
 880,000   Volcan Cia Minera SAA
5.38%, 02/02/22 † 144A
   836,000 
         4,368,546 
Philippines: 0.4%     
 600,000   Rizal Commercial Banking Corp.
3.45%, 02/02/21 † Reg S
   620,481 
 500,000   Security Bank Corp.
3.95%, 02/03/20 Reg S
   532,518 
         1,152,999 
Russia: 0.1%     
     Ukrlandfarming Plc     
 234,421   10.88%, 03/26/18 (d) * 144A   71,545 
 416,750   10.88%, 03/26/18 (d) * Reg S   127,192 
         198,737 
Singapore: 1.7%     
 2,090,000   ABJA Investment Co. Pte Ltd.
5.95%, 07/31/24 Reg S
   2,100,450 
 111,000   Bakrie Telecom Pte Ltd.
11.50%, 05/07/15 (e) * Reg S
   3,885 
 500,000   Pratama Agung Pte Ltd.
6.25%, 02/24/18 (c) † Reg S
   524,766 
     STATS ChipPAC Ltd.     
 118,000   4.50%, 08/29/16 (c) 144A   116,230 
 600,000   8.50%, 11/24/18 (c) 144A   639,000 
 1,030,000   TBG Global Pte Ltd.
4.63%, 04/03/17 (c) 144A
   1,053,175 
 600,000   Theta Capital Pte Ltd.
6.13%, 11/14/16 (c) Reg S
   617,488 
         5,054,994 
South Africa: 1.9%     
     Eskom Holdings SOC Ltd.     
 1,780,000   5.75%, 01/26/21 † 144A   1,775,550 
 1,980,000   6.75%, 08/06/23 144A   2,027,065 
 1,740,000   7.13%, 02/11/25 144A   1,783,500 
          5,586,115 
South Korea: 0.8%     
     Woori Bank Co. Ltd.     
 1,500,000   4.75%, 04/30/24 144A   1,589,374 
 700,000   5.00%, 06/10/20 (c) 144A   727,364 
         2,316,738 
Sri Lanka: 0.7%     
 900,000   Bank of Ceylon
5.33%, 04/16/18 Reg S
   911,250 
 1,200,000   National Savings Bank
8.88%, 09/18/18 144A
   1,302,120 
         2,213,370 
Thailand: 0.4%     
 1,080,000   Krung Thai Bank PCL
5.20%, 12/26/19 (c) Reg S
   1,134,986 
Turkey: 3.1%     
 500,000   Albaraka Turk Katilim Bankasi AS
6.25%, 06/30/19 Reg S
   502,186 
 800,000   Arcelik AS
5.00%, 04/03/23 144A
   782,371 
 1,100,000   Tupras Turkiye Petrol Rafinerileri AS
4.13%, 05/02/18 144A
   1,105,498 
 2,030,000   Turkiye Is Bankasi SA
6.00%, 10/24/22 † 144A
   2,003,001 
     Turkiye Sise ve Cam Fabrikalari AS     
 400,000   4.25%, 05/09/20 Reg S   397,252 
 400,000   4.25%, 05/09/20 144A   397,252 
     Turkiye Vakiflar Bankasi Tao     
 1,000,000   6.00%, 11/01/22 Reg S   972,250 
 1,085,000   6.00%, 11/01/22 144A   1,054,891 
 2,130,000   Yapi ve Kredi Bankasi AS
5.50%, 12/06/22 144A
   2,055,184 
         9,269,885 
United Kingdom: 3.7%     
     AngloGold Ashanti Holdings Plc     
 1,275,000   5.13%, 08/01/22 †   1,317,994 
 600,000   5.38%, 04/15/20 †   630,000 
 680,000   6.50%, 04/15/40   693,600 
 1,060,000   DTEK Finance Plc
7.88%, 04/04/18 (f) 144A
   715,500 
 800,000   Hikma Pharmaceuticals Plc
4.25%, 04/10/20 † Reg S
   817,000 
 900,000   Oschadbank
9.38%, 03/10/23 (s) 144A
   891,000 
 250,000   Polyus Gold International Ltd.
5.63%, 04/29/20 144A
   261,365 
 700,000   Ukraine Railways
9.50%, 05/21/18 144A
   623,140 
     Vedanta Resources Plc     
 1,300,000   6.00%, 01/31/19 † Reg S   1,199,250 
 1,100,000   6.00%, 01/31/19 † 144A   1,014,750 
 2,410,000   8.25%, 06/07/21 † 144A   2,241,300 
 400,000   West China Cement Ltd.
6.50%, 09/11/17 (c) † Reg S
   408,531 
         10,813,430 
United States: 2.0%     
     Cemex Finance LLC     
 1,255,000   6.00%, 04/01/19 (c) † 144A   1,289,512 
 2,310,000   9.38%, 10/12/17 (c) 144A   2,561,212 
     JBS USA LLC     
 670,000   5.75%, 06/15/20 (c) † 144A   656,600 
 810,000   7.25%, 08/29/16 (c) 144A   840,375 
 530,816   Rio Oil Finance Trust
9.25%, 07/06/24 144A
   459,156 
 510,000   Rolta Americas LLC
8.88%, 07/24/17 (c) 144A
   61,200 
         5,868,055 
Venezuela: 3.1%     
 830,000   CA La Electricidad de Caracas
8.50%, 04/10/18 Reg S
   402,550 
     Petroleos de Venezuela SA     
 1,315,000   5.38%, 04/12/27 Reg S   483,604 
 1,480,000   5.50%, 04/12/37 Reg S   529,100 
 3,120,000   6.00%, 05/16/24 144A   1,154,400 
 3,210,000   6.00%, 11/15/26 144A   1,179,675 
 2,536,667   8.50%, 11/02/17 144A   1,981,137 
 2,695,000   9.00%, 11/17/21 Reg S   1,336,774 
 800,000   9.75%, 05/17/35 Reg S   355,000 
 1,860,000   9.75%, 05/17/35 144A   825,375 
 1,595,000   12.75%, 02/17/22 144A   876,453 
         9,124,068 
Total Corporate Bonds
(Cost: $262,419,594)
   258,758,024 
GOVERNMENT OBLIGATIONS: 9.7%     
Argentina: 4.3%     
     City of Buenos Aires     
 500,000   7.50%, 06/01/27 144A   521,250 
 1,305,000   8.95%, 02/19/21 144A   1,464,862 
 600,000   Province of Mendoza
8.38%, 05/19/24 144A
   622,500 
     Provincia de Buenos Aires     
 2,750,000   9.13%, 03/16/24 144A   3,038,750 
 930,000   9.38%, 09/14/18 144A   1,016,025 
 955,000   9.95%, 06/09/21 144A   1,071,987 
 980,000   10.88%, 01/26/21 144A   1,119,650 
 1,115,000   10.88%, 01/26/21 Reg S   1,273,887 
 800,000   Provincia de Chubut
7.75%, 07/26/26 144A
   804,000 
     Provincia de Cordoba     
 800,000   7.13%, 06/10/21 144A   808,000 
 170,000   12.38%, 08/17/17 Reg S   182,538 
 400,000   12.38%, 08/17/17 144A   429,500 
 450,000   Provincia de Neuquen
8.63%, 05/12/28 144A
   484,875 
         12,837,824 
Azerbaijan: 0.9%     
 2,710,000   State Oil Co. of the Azerbaijan Republic
4.75%, 03/13/23 Reg S
   2,561,389 
Costa Rica: 1.5%     
 700,000   Banco de Costa Rica
5.25%, 08/12/18 144A
   726,250 
 2,295,000   Banco Nacional de Costa Rica
6.25%, 11/01/23 144A
   2,383,931 
 1,200,000   Instituto Costarricense de Electricidad
6.95%, 11/10/21 144A
   1,272,000 
         4,382,181 
Hungary: 0.5%     
     Magyar Export-Import Bank Zrt     
 770,000   4.00%, 01/30/20 144A   795,603 
 620,000   5.50%, 02/12/18 Reg S   652,144 
         1,447,747 
Kazakhstan: 0.4%     
 1,400,000   KazAgro National Management Holding JSC
4.63%, 05/24/23 144A
   1,298,500 
Trinidad and Tobago: 0.7%     
     Petroleum Co. of Trinidad & Tobago Ltd.     
 1,072,500   6.00%, 05/08/22 144A   1,056,412 
 500,000   9.75%, 08/14/19 Reg S   546,875 
 505,000   9.75%, 08/14/19 144A   552,344 
         2,155,631 
Turkey: 0.8%     
     Export Credit Bank of Turkey     
 150,000   5.88%, 04/24/19 Reg S   155,894 
 2,040,000   5.88%, 04/24/19 144A   2,120,154 
         2,276,048 
Ukraine: 0.6%     
 1,840,000   Ukreximbank
9.75%, 01/22/25 144A
   1,798,600 
Total Government Obligations
(Cost: $27,788,726)
   28,757,920 

 

Number
of Shares
        
MONEY MARKET FUND: 1.6%
(Cost: $4,644,442)
     
 4,644,442   Dreyfus Government Cash Management Fund   4,644,442 
Total Investments Before Collateral for Securities Loaned: 98.9%
(Cost: $294,852,762)
   292,160,386 

 

Principal
Amount
        
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES LOANED: 8.7%     
Repurchase Agreements: 8.7%     
$6,087,281   Repurchase agreement dated 7/29/16 with Citigroup Global Markets, Inc., 0.35%, due 8/1/16, proceeds $6,087,459; (collateralized by various U.S. government and agency obligations, 2.00% to 7.65%, due 6/1/18 to 8/1/46, valued at $6,191,710 including accrued interest)   6,087,281 
 1,070,162   Repurchase agreement dated 7/29/16 with Credit Agricole CIB, 0.35%, due 8/1/16, proceeds $1,070,193; (collateralized by various U.S. government and agency obligations, 2.50% to 4.00%, due 1/1/30 to 12/1/45, valued at $1,088,633 including accrued interest)   1,070,162 
 6,087,281   Repurchase agreement dated 7/29/16 with Daiwa Capital Markets America, Inc., 0.40%, due 8/1/16, proceeds $6,087,484; (collateralized by cash in the amount of $10,985 and various U.S. government and agency obligations, 0.00% to 8.13%, due 8/10/16 to 9/9/49, valued at $6,191,027 including accrued interest)   6,087,281 
 6,087,281   Repurchase agreement dated 7/29/16 with HSBC Securities USA, Inc., 0.33%, due 8/1/16, proceeds $6,087,448; (collateralized by various U.S. government and agency obligations, 2.00% to 6.00%, due 4/1/25 to 8/1/48, valued at $6,194,039 including accrued interest)   6,087,281 
 205,552   Repurchase agreement dated 7/29/16 with Merrill Lynch, Pierce, Fenner & Smith, Inc., 0.35%, due 8/1/16, proceeds $205,558; (collateralized by various U.S. government and agency obligations, 2.00% to 7.00%, due 2/15/17 to 5/20/66, valued at $209,061 including accrued interest)   205,552 
 6,087,281   Repurchase agreement dated 7/29/16 with Nomura Securities Int., Inc., 0.36%, due 8/1/16, proceeds $6,087,464; (collateralized by various U.S. government and agency obligations, 0.00% to 8.50%, due 8/25/16 to 5/20/66, valued at $6,189,326 including accrued interest)   6,087,281 
Total Short-Term Investments Held As Collateral For Securities Loaned
(Cost: $25,624,838)
   25,624,838 
Total Investments: 107.6%
(Cost: $320,477,600)
   317,785,224 
Liabilities in excess of other assets: (7.6)%   (22,482,446)
NET ASSETS: 100.0%  $295,302,778 

 

(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
(d) Security in default of coupon payment
(e) Security in principal default
(f) On the last coupon payment date only partial interest was paid
(p) Puttable Security - the redemption date shown is when the security may be redeemed by the investor
(s) Step Bond - coupon increases periodically based upon a predetermined schedule. The rate shown reflects the rate in effect at the end of the reporting period
* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $24,779,369.
§ Illiquid Security — the aggregate value of illiquid securities is $317,566 which represents 0.1% of net assets.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $210,429,552, or 71.3% of net assets.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned (unaudited)
  % of
Investments
  Value 
Basic Materials   8.3%  $24,260,302 
Communications   6.7    19,579,352 
Consumer, Cyclical   5.0    14,760,025 
Consumer, Non-cyclical   3.5    10,191,240 
Diversified   1.4    3,988,586 
Energy   16.1    46,990,703 
Financial   33.3    97,287,057 
Government   9.8    28,757,920 
Industrial   7.1    20,775,326 
Technology   0.3    816,430 
Utilities   6.9    20,109,003 
Money Market Fund   1.6    4,644,442 
    100.0%  $292,160,386 

 

The summary of inputs used to value the Fund’s investments as of July 31, 2016 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Corporate Bonds*  $   $258,758,024   $   $258,758,024 
Government Obligations*       28,757,920        28,757,920 
Money Market Fund   4,644,442            4,644,442 
Repurchase Agreements       25,624,838        25,624,838 
Total  $4,644,442   $313,140,782   $   $317,785,224 

 

* See Schedule of Investments for security type and geographic sector breakouts.

There were no transfers between levels during the period ended July 31, 2016.

 

The following table reconciles the valuation of the Fund’s Level 3 investment securities and related transactions during the period ended July 31, 2016:

 

   Government Obligations 
   Ukraine 
Balance as of April 30, 2016  $83,123 
Realized gain (loss)   (4,260)
Net change in unrealized appreciation (depreciation)   9,043 
Purchases    
Sales   (87,906)
Transfers in and/or out of level 3    
Balance as of July 31, 2016  $ 

 

See Notes to Schedules of Investments

 

FALLEN ANGEL HIGH YIELD BOND ETF

SCHEDULE OF INVESTMENTS

July 31, 2016 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 95.6%     
Bermuda: 1.7%     
     Weatherford International Ltd.     
$2,164,000   4.50%, 01/15/22 (c) †  $1,796,120 
 708,000   5.13%, 09/15/20   669,060 
 2,300,000   6.75%, 09/15/40   1,667,500 
 593,000   9.63%, 03/01/19 †   658,230 
         4,790,910 
Canada: 5.8%     
     Bombardier, Inc.     
 360,000   6.00%, 04/15/17 (c) † Reg S   319,500 
 70,000   7.45%, 05/01/34 144A   58,275 
     Cenovus Energy, Inc.     
 275,000   4.45%, 03/15/42 (c)   225,451 
 2,507,000   5.70%, 10/15/19   2,664,304 
 3,737,000   6.75%, 11/15/39   4,022,335 
     Kinross Gold Corp.     
 1,272,000   5.13%, 06/01/21 (c)   1,310,160 
 602,000   6.88%, 03/01/41 (c)   584,693 
     Teck Resources Ltd.     
 700,000   3.00%, 03/01/19 †   673,785 
 1,405,000   3.75%, 11/01/22 (c)   1,155,612 
 1,386,000   4.75%, 10/15/21 (c) †   1,242,202 
 4,629,000   6.25%, 01/15/41 (c)   3,564,330 
         15,820,647 
Cayman Islands: 4.2%     
     Noble Holding International Ltd.     
 2,943,000   4.63%, 03/01/21   2,451,519 
 439,000   4.90%, 08/01/20 †   379,461 
 2,075,000   5.25%, 03/15/42   1,168,432 
 336,000   6.05%, 03/01/41   207,270 
     Transocean, Inc.     
 200,000   3.75%, 10/15/17 (s)   197,000 
 1,756,000   5.05%, 07/15/22 (c) (s) †   1,264,320 
 2,630,000   6.00%, 03/15/18   2,577,400 
 412,000   6.50%, 11/15/20   370,800 
 1,993,000   6.80%, 03/15/38   1,185,835 
 2,125,000   8.13%, 12/15/21   1,785,000 
         11,587,037 
Finland: 1.4%     
     Nokia OYJ     
 1,529,000   5.38%, 05/15/19   1,658,965 
 600,000   6.63%, 05/15/39   649,500 
 495,000   Stora Enso OYJ
7.25%, 04/15/36 144A
   537,075 
     UPM-Kymmene OYJ     
 375,000   5.50%, 01/30/18 144A   397,500 
 520,000   7.45%, 11/26/27 144A   608,400 
         3,851,440 
France: 0.9%     
 530,000   BPCE SA
12.50%, 09/30/19 (c) 144A
   666,252 
 1,420,000   Credit Agricole SA
8.38%, 10/13/19 (c) 144A
   1,609,314 
 240,000   Natixis SA
10.00%, 04/30/18 (c) 144A
   270,000 
         2,545,566 
Ireland: 0.2%     
 431,000   Smurfit Kappa Treasury Funding Ltd.
7.50%, 11/20/25
   508,580 
Italy: 1.0%     
 2,830,000   Intesa Sanpaolo SpA
5.02%, 06/26/24 144A
   2,702,175 
Japan: 1.4%     
 3,580,000   SoftBank Corp.
4.50%, 04/15/20 144A
   3,723,200 
Liberia: 0.3%     
     Royal Caribbean Cruises     
 190,000   7.25%, 03/15/18   205,200 
 463,000   7.50%, 10/15/27   541,710 
         746,910 
Luxembourg: 7.8%     
     ArcelorMittal     
 1,220,000   6.13%, 06/01/18   1,290,150 
 1,160,000   6.25%, 08/05/20 (s)   1,218,000 
 2,380,000   6.50%, 03/01/21 (s) †   2,522,800 
 1,387,000   7.25%, 02/25/22 (s) †   1,525,700 
 1,845,000   7.75%, 03/01/41 (s)   1,909,575 
 1,917,000   8.00%, 10/15/39 (s)   2,041,605 
 1,520,000   10.85%, 06/01/19 (s)   1,793,600 
     Telecom Italia Capital     
 1,855,000   6.00%, 09/30/34   1,827,175 
 2,165,000   6.38%, 11/15/33   2,213,712 
 1,923,000   7.00%, 06/04/18   2,100,877 
 1,890,000   7.72%, 06/04/38   2,032,733 
 1,030,000   UniCredit Luxembourg Finance SA
6.00%, 10/31/17 † 144A
   1,053,994 
         21,529,921 
Netherlands: 0.8%     
 2,242,000   Royal Bank of Scotland NV
4.65%, 06/04/18
   2,316,378 
Norway: 0.1%     
 210,000   Eksportfinans ASA
5.50%, 06/26/17
   216,854 
Switzerland: 0.0%     
 90,000   Credit Suisse
5.86%, 05/15/17 (c)
   92,099 
United Kingdom: 7.6%     
     Anglo American Capital Plc     
 1,995,000   2.63%, 09/27/17 144A   2,001,883 
 595,000   3.63%, 05/14/20 † 144A   580,125 
 2,845,000   4.13%, 04/15/21 144A   2,780,987 
 1,350,000   4.88%, 05/14/25 † 144A   1,326,375 
 1,249,000   Barclays Bank Plc
6.28%, 12/15/34 (c)
   1,309,676 
     Ensco Plc     
 385,000   4.50%, 07/01/24 (c)   265,169 
 1,095,000   4.70%, 03/15/21 †   932,119 
 1,811,000   5.20%, 12/15/24 (c)   1,233,744 
 1,615,000   5.75%, 04/01/44 (c)   946,794 
     Lloyds Banking Group Plc     
 505,000   6.41%, 10/01/35 (c) 144A   550,450 
 625,000   6.66%, 05/21/37 (c) 144A   687,500 
     Royal Bank of Scotland Group Plc     
 692,000   4.70%, 07/03/18   710,711 
 95,000   6.99%, 10/05/17 (c) 144A   105,355 
 440,000   7.64%, 09/30/17 (c)   422,400 
 1,985,000   7.65%, 09/30/31 (c)   2,337,337 
 1,060,000   Standard Chartered Plc
7.01%, 07/30/37 (c) † 144A
   1,134,200 
     Tesco Plc     
 1,075,000   5.50%, 11/15/17 144A   1,122,143 
 1,765,000   6.15%, 11/15/37 144A   1,729,735 
 640,000   Virgin Media Secured Finance Plc
5.25%, 01/15/21
   682,400 
         20,859,103 
United States: 62.4%     
 125,000   Abbey National Capital Trust I
8.96%, 06/30/30 (c)
   166,094 
     ADT Corp.     
 1,200,000   3.50%, 07/15/22   1,132,500 
 948,000   4.13%, 06/15/23 †   913,635 
 400,000   4.88%, 07/15/32 144A   335,000 
 345,000   Aecom Global II / URS Fox US LP
5.00%, 01/01/22 (c)
   335,081 
     Alcatel-Lucent USA, Inc.     
 1,905,000   6.45%, 03/15/29   2,033,587 
 485,000   6.50%, 01/15/28   511,675 
     Alcoa, Inc.     
 2,360,000   5.40%, 01/15/21 (c) †   2,521,424 
 1,225,000   5.72%, 02/23/19   1,313,812 
 1,538,000   5.90%, 02/01/27   1,654,883 
 1,157,000   5.95%, 02/01/37   1,177,247 
 1,400,000   6.15%, 08/15/20   1,543,052 
 1,426,000   6.75%, 07/15/18   1,552,557 
     Allegheny Technologies, Inc.     
 1,455,000   5.95%, 10/15/20 (c)   1,287,675 
 750,000   7.88%, 05/15/23 (c) (s)   708,750 
 722,000   Ally Financial, Inc.
8.00%, 11/01/31
   882,645 
     Avon Products, Inc.     
 2,192,000   6.35%, 03/15/20 (s) †   1,965,501 
 960,000   6.75%, 03/15/23 (s)   752,400 
 638,000   BAC Capital Trust XI
6.63%, 05/23/36
   767,786 
     Belo Corp.     
 336,000   7.25%, 09/15/27   350,280 
 269,000   7.75%, 06/01/27   287,830 
 425,000   BMC Software, Inc.
7.25%, 06/01/18
   405,875 
 165,000   Broadcom Corp.
2.70%, 11/01/18
   164,164 
 257,000   Brunswick Corp.
7.13%, 08/01/27
   278,845 
     Carpenter Technology Corp.     
 461,000   4.45%, 12/01/22 (c)   455,119 
 325,000   5.20%, 04/15/21 (c)   332,272 
     CenturyLink, Inc.     
 370,000   6.00%, 04/01/17   380,175 
 1,843,000   6.88%, 01/15/28   1,686,345 
 1,355,000   7.60%, 09/15/39   1,219,500 
 310,000   Choice Hotels International, Inc.
5.70%, 08/28/20
   340,613 
 112,000   Cincinnati Bell
6.30%, 12/01/28
   105,840 
 264,000   Citigroup Capital III
7.63%, 12/01/36
   342,471 
 405,000   Clear Channel Communications, Inc.
7.25%, 10/15/27
   243,000 
     Cliffs Natural Resources, Inc.     
 1,431,000   4.88%, 01/01/21 (c)   1,108,138 
 180,000   5.95%, 01/15/18   180,900 
 230,000   6.25%, 10/01/40   150,650 
 203,000   7.75%, 03/31/17 (c) 144A   185,238 
 594,000   Commercial Metals Co.
7.35%, 08/15/18
   642,601 
 275,000   ConAgra Foods, Inc.
9.75%, 03/01/21
   353,066 
     Continental Resources, Inc.     
 1,439,000   3.80%, 03/01/24 (c) †   1,237,540 
 1,048,000   4.90%, 12/01/43 (c)   841,020 
 425,000   Cooper Tire & Rubber Co.
7.63%, 03/15/27
   467,500 
 625,000   Countrywide Capital III
8.05%, 06/15/27
   803,525 
 490,000   Crown Cork & Seal Co., Inc.
7.38%, 12/15/26
   547,575 
     DCP Midstream LLC     
 2,410,000   4.75%, 09/30/21 144A   2,319,625 
 1,540,000   5.35%, 03/15/20 144A   1,555,400 
     DCP Midstream Operating LP     
 465,000   2.50%, 11/01/17 (c)   461,234 
 234,000   2.70%, 03/01/19 (c)   226,688 
 2,241,000   3.88%, 12/15/22 (c)   2,123,347 
 135,000   5.60%, 10/01/43 (c)   123,525 
 200,000   Dean Holding Co.
6.90%, 10/15/17
   210,000 
     Dell, Inc.     
 1,463,000   4.63%, 04/01/21 †   1,506,890 
 1,056,000   5.88%, 06/15/19 †   1,134,809 
 1,155,000   6.50%, 04/15/38   1,036,613 
 1,360,000   Dresdner Funding Trust I
8.15%, 06/30/29 (c) 144A
   1,606,772 
     Edgewell Personal Care     
 171,000   4.70%, 05/19/21   182,084 
 1,385,000   4.70%, 05/24/22   1,456,854 
 2,214,000   Embarq Corp.
8.00%, 06/01/36
   2,306,711 
 724,000   Energen Corp.
4.63%, 06/01/21 (c)
   690,515 
     EnLink Midstream Partners LP     
 390,000   2.70%, 03/01/19 (c)   382,302 
 2,450,000   4.15%, 03/01/25 (c)   2,303,230 
 746,000   5.05%, 10/01/44 (c)   624,601 
 180,000   Fifth Street Finance Corp.
4.88%, 03/01/19
   178,025 
 420,000   First Niagara Financial Group, Inc.
7.25%, 12/15/21
   507,278 
     FirstEnergy Corp.     
 841,000   2.75%, 02/15/18 (c)   851,684 
 1,465,000   4.25%, 12/15/22 (c)   1,558,593 
 2,111,000   7.38%, 11/15/31   2,731,590 
     Freeport-McMoRan, Inc.     
 2,595,000   2.38%, 03/15/18   2,575,537 
 2,630,000   3.10%, 03/15/20 †   2,451,660 
 3,618,000   3.55%, 12/01/21 (c) †   3,111,480 
 4,065,000   3.88%, 12/15/22 (c) †   3,516,428 
 4,610,000   5.45%, 09/15/42 (c)   3,561,225 
 2,764,000   Frontier Communications Corp.
9.00%, 08/15/31
   2,605,070 
 485,000   GenOn Americas Generation, LLC
9.13%, 05/01/31 †
   397,700 
     Genworth Holdings, Inc.     
 1,852,000   4.80%, 02/15/24 †   1,393,630 
 757,000   6.52%, 05/22/18   761,731 
 1,529,000   7.63%, 09/24/21   1,292,036 
 640,000   7.70%, 06/15/20   577,600 
 2,009,000   Goldman Sachs Capital I
6.35%, 02/15/34
   2,436,505 
 205,000   Goodyear Tire & Rubber Co.
7.00%, 03/15/28
   228,575 
 555,000   Graham Holdings Co.
7.25%, 02/01/19
   604,673 
 630,000   Harsco Corp.
5.75%, 05/15/18
   627,638 
     HCA, Inc.     
 587,000   7.50%, 11/15/95   601,382 
 590,000   7.69%, 06/15/25   657,850 
 510,000   8.36%, 04/15/24 (p)   583,950 
 295,000   IFM (US) Colonial Pipeline 2 LLC
6.45%, 02/01/21 (c) 144A
   329,518 
 220,000   iHeartCommunications, Inc.
6.88%, 06/15/18
   170,500 
     Illinois Power Generating     
 445,000   7.00%, 04/15/18   178,000 
 660,000   7.95%, 06/01/32   264,000 
     International Game Technology     
 215,000   5.50%, 06/15/20   224,675 
 718,000   7.50%, 06/15/19   809,904 
     JC Penney Corp., Inc.     
 443,000   5.75%, 02/15/18   455,404 
 295,000   6.38%, 10/15/36   233,050 
 1,420,000   7.40%, 04/01/37 (p)   1,171,500 
     Joy Global, Inc.     
 695,000   5.13%, 10/15/21   752,685 
 230,000   6.63%, 11/15/36   268,646 
 925,000   L Brands, Inc.
6.95%, 03/01/33
   938,875 
 245,000   Land O’Lakes, Inc.
6.00%, 08/15/22 (c) 144A
   260,925 
 525,000   Leidos Holdings, Inc.
4.45%, 09/01/20 (c)
   536,156 
     Leidos, Inc.     
 285,000   5.50%, 07/01/33   238,209 
 720,000   7.13%, 07/01/32   725,544 
 1,411,000   Leucadia National Corp.
5.50%, 01/18/23 (c)
   1,473,674 
     Masco Corp.     
 390,000   3.50%, 03/01/21 (c)   407,074 
 435,000   6.50%, 08/15/32   477,413 
 60,000   6.63%, 04/15/18   64,800 
 200,000   7.75%, 08/01/29   242,500 
     McClatchy Co.     
 75,000   5.75%, 09/01/17   72,375 
 200,000   6.88%, 03/15/29   141,000 
     MDC Holdings, Inc.     
 364,000   5.50%, 10/15/23 (c)   375,830 
 392,000   5.63%, 02/01/20   423,360 
 546,000   6.00%, 10/15/42 (c)   494,130 
     Meccanica Holdings USA, Inc.     
 785,000   6.25%, 07/15/19 144A   867,425 
 760,000   6.25%, 01/15/40 144A   735,300 
 190,000   7.38%, 07/15/39 144A   203,775 
     Murphy Oil Corp.     
 2,862,000   4.00%, 03/01/22 (c) †   2,491,065 
 532,000   6.13%, 06/01/42 (c)   470,543 
     Nabors Industries, Inc.     
 1,169,000   4.63%, 09/15/21 †   1,038,243 
 718,000   5.00%, 09/15/20   676,217 
 640,000   5.10%, 06/15/23 (c)   576,335 
 1,851,000   6.15%, 02/15/18   1,881,941 
 149,000   Neiman Marcus Group LLC
7.13%, 06/01/28
   141,550 
     New Albertsons, Inc.     
 922,000   6.63%, 06/01/28   862,070 
 1,195,000   8.00%, 05/01/31   1,195,000 
 255,000   8.70%, 05/01/30   260,100 
     NGPL Pipeco LLC     
 1,689,000   7.12%, 12/15/17 144A   1,777,672 
 795,000   7.77%, 12/15/37 144A   822,825 
     NuStar Logistics, LP     
 1,191,000   4.80%, 09/01/20   1,173,135 
 345,000   8.15%, 04/15/18   372,384 
     ONEOK, Inc.     
 890,000   4.25%, 11/02/21 (c)   863,300 
 650,000   6.00%, 06/15/35   601,250 
 670,000   Pactiv LLC
7.95%, 12/15/25
   737,000 
 340,000   Provident Financing Trust I
7.41%, 03/15/38
   383,660 
     PulteGroup, Inc.     
 1,074,000   6.38%, 05/15/33   1,146,495 
 175,000   7.63%, 10/15/17   186,375 
 417,000   7.88%, 06/15/32   486,848 
 365,000   QEP Resources, Inc.
6.80%, 03/01/20
   366,825 
 50,000   Red Oak Power LLC
9.20%, 11/30/29
   52,000 
     Rite Aid Corp.     
 127,000   6.88%, 12/15/28 144A   146,685 
 499,000   7.70%, 02/15/27 †   596,305 
     Rockies Express Pipeline     
 1,100,000   5.63%, 04/15/20 144A   1,138,500 
 845,000   6.85%, 07/15/18 144A   893,588 
 946,000   6.88%, 04/15/40 144A   936,540 
     Rowan Cos, Inc.     
 1,821,000   4.75%, 10/15/23 (c) †   1,495,456 
 2,386,000   4.88%, 03/01/22 (c)   2,024,600 
 995,000   RR Donnelley & Sons Co.
7.63%, 06/15/20
   1,079,575 
     Safeway, Inc.     
 951,000   5.00%, 08/15/19   959,920 
 1,070,000   7.25%, 02/01/31   1,054,485 
 216,000   Seacor Holdings, Inc.
7.38%, 10/01/19
   208,440 
 645,000   Sealed Air Corp.
6.88%, 07/15/33 144A
   686,925 
 202,000   ServiceMaster Co. LLC
7.45%, 08/15/27
   212,100 
     SLM Corp.     
 500,000   5.63%, 08/01/33   391,250 
 3,031,000   8.00%, 03/25/20   3,243,170 
 3,762,000   8.45%, 06/15/18   4,095,877 
     Southwestern Energy Co.     
 3,888,000   4.10%, 12/15/21 (c)   3,460,320 
 499,000   5.80%, 12/23/19 (c)   489,020 
 1,937,000   Springleaf Finance Corp.
6.90%, 12/15/17
   2,049,385 
     Sprint Capital Corp.     
 3,196,000   6.88%, 11/15/28   2,756,550 
 2,680,000   6.90%, 05/01/19   2,663,250 
 3,092,000   8.75%, 03/15/32   2,898,750 
 370,000   Sprint Communications, Inc.
9.25%, 04/15/22
   377,400 
     Talen Energy Supply LLC     
 1,344,000   4.60%, 09/15/21 (c) †   1,081,920 
 525,000   6.50%, 05/01/18   543,375 
 585,000   Tenet Healthcare Corp.
6.88%, 11/15/31
   491,400 
 150,000   Texas Capital Bank NA
5.25%, 01/31/26
   147,143 
 197,000   Textron Financial Corp.
6.00%, 02/15/17 (c) 144A
   125,095 
     Toll Brothers Finance Corp.     
 534,000   6.75%, 11/01/19   599,415 
 330,000   8.91%, 10/15/17   358,710 
 554,000   Toys R Us, Inc.
7.38%, 10/15/18 †
   495,830 
 100,000   TRW Automotive, Inc.
4.45%, 09/01/23 (c) § 144A
   98,800 
 783,000   United States Cellular Corp.
6.70%, 12/15/33
   759,510 
     United States Steel Corp.     
 480,000   6.65%, 06/01/37   396,000 
 235,000   7.00%, 02/01/18   246,163 
     Vereit Operating Partnership LP     
 525,000   3.00%, 01/06/19 (c)   528,938 
 1,285,000   4.60%, 11/06/23 (c)   1,349,250 
     Vulcan Materials Co.     
 355,000   7.00%, 06/15/18   392,275 
 180,000   7.15%, 11/30/37   218,700 
 121,000   Wendy’s International
7.00%, 12/15/25
   123,571 
     Williams Cos, Inc.     
 1,673,000   3.70%, 10/15/22 (c)   1,534,977 
 2,772,000   4.55%, 03/24/24 (c)   2,654,190 
 1,200,000   5.75%, 12/24/43 (c) †   1,107,000 
 150,000   Windstream Holding of the Midwest Inc.
6.75%, 04/01/28
   120,750 
     XPO CNW, Inc.     
 407,000   6.70%, 05/01/34   278,795 
 387,000   7.25%, 01/15/18 †   398,610 
     Yum! Brands, Inc.     
 1,313,000   3.75%, 08/01/21 (c) †   1,317,924 
 925,000   3.88%, 08/01/23 (c)   914,594 
 350,000   6.25%, 03/15/18   374,063 
 627,000   6.88%, 11/15/37   642,675 
         171,985,270 
Total Corporate Bonds
(Cost: $248,027,820)
   263,276,090 

 

Number
of Shares
        
MONEY MARKET FUND: 1.7%
(Cost: $4,775,524)
     
 4,775,524   Dreyfus Government Cash Management Fund   4,775,524 
Total Investments Before Collateral for Securities Loaned: 97.3%
(Cost: $252,803,344)
   268,051,614 

 

Principal
Amount
    
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES LOANED: 11.1%     
Repurchase Agreements: 11.1%     
$7,297,467   Repurchase agreement dated 7/29/16 with Citigroup Global Markets, Inc., 0.35%, due 8/1/16, proceeds $7,297,680; (collateralized by various U.S. government and agency obligations, 2.00% to 7.65%, due 6/1/18 to 8/1/46, valued at $7,422,657 including accrued interest)   7,297,467 
 7,297,467   Repurchase agreement dated 7/29/16 with Daiwa Capital Markets America, Inc., 0.40%, due 8/1/16, proceeds $7,297,710; (collateralized by cash in the amount of $13,169 and various U.S. government and agency obligations, 0.00% to 8.13%, due 8/10/16 to 9/9/49, valued at $7,421,839 including accrued interest)   7,297,467 
 7,297,467   Repurchase agreement dated 7/29/16 with HSBC Securities USA, Inc., 0.33%, due 8/1/16, proceeds $7,297,668; (collateralized by various U.S. government and agency obligations, 2.00% to 6.00%, due 4/1/25 to 8/1/48, valued at $7,425,449 including accrued interest)   7,297,467 
 1,536,030   Repurchase agreement dated 7/29/16 with Merrill Lynch, Pierce, Fenner & Smith, Inc., 0.35%, due 8/1/16, proceeds $1,536,075; (collateralized by various U.S. government and agency obligations, 2.00% to 7.00%, due 2/15/17 to 5/20/66, valued at $1,562,254 including accrued interest)   1,536,030 
 7,297,467   Repurchase agreement dated 7/29/16 with Nomura Securities Int., Inc., 0.36%, due 8/1/16, proceeds $7,297,686; (collateralized by various U.S. government and agency obligations, 0.00% to 8.50%, due 8/25/16 to 5/20/66, valued at $7,419,800 including accrued interest)   7,297,467 
Total Short-Term Investments Held As Collateral For Securities Loaned
(Cost: $30,725,898)
   30,725,898 
Total Investments: 108.4%
(Cost: $283,529,242)
   298,777,512 
Liabilities in excess of other assets: (8.4)%   (23,209,681)
NET ASSETS: 100.0%  $275,567,831 

 

(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
(p) Puttable Security - the redemption date shown is when the security may be redeemed by the investor
(s) Step Bond - coupon increases periodically based upon a predetermined schedule. The rate shown reflects the rate in effect at the end of the reporting period
Security fully or partially on loan. Total market value of securities on loan is $28,594,225.
§ Illiquid Security — the aggregate value of illiquid securities is $98,800 which represents 0.0% of net assets.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $38,670,546, or 14.0% of net assets.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned (unaudited)
  % of
Investments
  Value 
Basic Materials   22.5%  $60,245,948 
Communications   13.6    36,578,660 
Consumer, Cyclical   6.4    17,136,181 
Consumer, Non-cyclical   6.0    15,983,993 
Diversified   0.5    1,473,674 
Energy   25.7    68,940,774 
Financial   15.0    40,214,561 
Industrial   3.8    10,258,930 
Technology   1.8    4,784,507 
Utilities   2.9    7,658,862 
Money Market Fund   1.8    4,775,524 
    100.0%  $268,051,614 

 

The summary of inputs used to value the Fund’s investments as of July 31, 2016 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Corporate Bonds*  $   $263,276,090   $   $263,276,090 
Money Market Fund   4,775,524            4,775,524 
Repurchase Agreements       30,725,898        30,725,898 
Total  $4,775,524   $294,001,988   $   $298,777,512 

 

* See Schedule of Investments for security type and geographic sector breakouts.

There were no transfers between levels during the period ended July 31, 2016.

 

See Notes to Schedules of Investments

 

INTERNATIONAL HIGH YIELD BOND ETF

SCHEDULE OF INVESTMENTS

July 31, 2016 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 94.9%   
Argentina: 0.7%   
USD 66,150   Aeropuertos Argentinia 2000 SA
10.75%, 08/29/16 (c) Reg S
  $72,848 
      Pan American Energy LLC     
  150,000   7.88%, 05/07/21 Reg S   154,500 
  25,000   7.88%, 05/07/21 144A   25,750 
      YPF SA     
  125,000   8.50%, 07/28/25 144A   132,188 
  465,000   8.88%, 12/19/18 † 144A   505,687 
             890,973  
Australia: 0.7%      
  100,000   Barminco Finance Pty Ltd.
9.00%, 06/01/18 144A
   92,250 
  455,000   FMG Resources August 2006 Pty Ltd.
6.88%, 04/01/17 (c) † 144A
   445,900 
EUR 200,000   Origin Energy Finance Ltd.
7.88%, 06/16/18 (c) Reg S
   221,693 
  150,000   Santos Finance Ltd.
8.25%, 09/22/17 (c)
   168,194 
             928,037  
Austria: 1.0%      
USD 300,000   JBS Investments GmbH
7.25%, 04/03/19 (c) 144A
   310,650 
EUR 300,000   Raiffeisen Bank International
4.50%, 02/21/20 (c) Reg S
   297,063 
USD 300,000   Sappi Papier Holding GmbH
7.75%, 04/15/17 (c) 144A
   310,500 
EUR 150,000   Telekom Austria AG
5.63%, 02/01/18 (c) Reg S
   177,768 
  200,000   Wienerberger AG
6.50%, 02/09/21 (c)
   236,394 
             1,332,375  
Barbados: 0.2%      
USD 250,000   Columbus International, Inc.
7.38%, 03/30/18 (c) 144A
   267,740 
Belgium: 0.2%      
EUR 200,000   Barry Callebaut Services NV
5.63%, 06/15/21 Reg S
   273,424 
Bermuda: 1.0%      
USD 200,000   China Oil & Gas Group Ltd.
5.25%, 08/29/16 (c) 144A
   204,500 
      Digicel Group Ltd.     
  260,000   7.13%, 04/01/17 (c) 144A   215,722 
  380,000   8.25%, 09/30/16 (c) 144A   348,650 
  240,000   Digicel Ltd.
6.00%, 08/29/16 (c) 144A
   224,100 
  200,000   Inkia Energy Ltd.
8.38%, 08/29/16 (c) 144A
   210,000 
  125,000   Noble Group Ltd.
6.75%, 01/29/20 144A
   106,563 
             1,309,535  
Brazil: 3.2%      
  520,000   Banco Bradesco SA
5.90%, 01/16/21 144A
   549,900 
  180,000   Banco BTG Pactual SA
5.75%, 09/28/22 Reg S
   159,300 
      Banco do Brasil SA     
EUR 200,000   3.75%, 07/25/18 Reg S   228,903 
USD 820,000   5.88%, 01/19/23 144A   820,000 
  200,000   Banco Votorantim SA
7.38%, 01/21/20 144A
   208,500 
  425,000   Cent Elet Brasileiras SA
6.88%, 07/30/19 144A
   437,877 
  1,210,000   Itau Unibanco Holding SA
5.13%, 05/13/23 † 144A
   1,219,244 
  300,000   Samarco Mineracao SA
4.13%, 11/01/22 Reg S
   120,900 
  450,000   Votorantim Cimentos SA
7.25%, 04/05/41 144A
   435,375 
             4,179,999  
British Virgin Islands: 1.4%        
  100,000   Arcos Dorados Holdings, Inc.
6.63%, 09/27/23 144A
   101,750 
  250,000   Gold Fields Orogen Holding BVI Ltd.
4.88%, 10/07/20 144A
   253,750 
  200,000   Greenland Global Investment Ltd.
5.88%, 07/03/24 Reg S
   209,968 
  300,000   GTL Trade Finance, Inc.
5.89%, 01/29/24 (c) † 144A
   283,125 
  200,000   Oceanwide Holdings International Co. Ltd.
9.63%, 08/11/18 (c) (p) Reg S
   221,132 
  200,000   Star Energy Geothermal Wayang Windu Ltd.
6.13%, 03/28/17 (c) Reg S
   209,750 
  200,000   Studio City Finance Ltd.
8.50%, 08/29/16 (c) † 144A
   209,500 
  200,000   Trillion Chance Ltd.
8.50%, 01/10/17 (c) Reg S
   212,264 
  200,000   Yingde Gases Investment Ltd.
8.13%, 08/29/16 (c) 144A
   184,500 
             1,885,739  
Canada: 6.3%        
      Air Canada     
CAD 100,000   7.63%, 10/01/16 (c) 144A   79,752 
USD 200,000   8.75%, 04/01/17 (c) 144A   214,250 
  320,000   Baytex Energy Corp.
5.63%, 06/01/19 (c) 144A
   254,400 
      Bombardier, Inc.     
EUR 300,000   6.13%, 05/15/21 Reg S   337,572 
USD 570,000   6.13%, 01/15/23 144A   497,735 
CAD 399,000   7.35%, 12/22/26 144A   267,724 
USD 250,000   Brookfield Residential
6.50%, 08/29/16 (c) 144A
   256,250 
  100,000   Cascades, Inc.
5.50%, 07/15/17 (c) 144A
   99,500 
  500,000   Cenovus Energy, Inc.
6.75%, 11/15/39
   538,177 
  150,000   Concordia Healthcare Corp.
9.50%, 12/15/18 (c) † 144A
   137,625 
  200,000   Eldorado Gold Corp.
6.13%, 12/15/16 (c) 144A
   201,500 
  200,000   Emera Inc.
6.75%, 06/15/26 (c)
   216,603 
      First Quantum Minerals Ltd.     
  221,000   6.75%, 02/15/17 (c) 144A   204,536 
  321,000   7.00%, 02/15/18 (c) 144A   288,033 
  200,000   Gibson Energy, Inc.
6.75%, 08/29/16 (c) 144A
   202,500 
CAD 150,000   Great Canadian Gaming Corp.
6.63%, 07/25/17 (c) 144A
   119,340 
USD 200,000   Hudbay Minerals, Inc.
9.50%, 10/01/16 (c)
   192,500 
  200,000   Iamgold Corp.
6.75%, 10/01/16 (c) 144A
   188,000 
  250,000   Jupiter Resources, Inc.
8.50%, 10/01/17 (c) 144A
   188,750 
  150,000   Kinross Gold Corp.
5.95%, 12/15/23 (c)
   153,900 
  256,000   Lightstream Resources
8.63%, 08/29/16 (c) 144A
   21,760 
  250,000   Lundin Mining Corp.
7.50%, 11/01/17 (c) 144A
   265,050 
  400,000   MEG Energy Corp.
6.38%, 07/30/17 (c) 144A
   284,000 
  200,000   New Gold, Inc.
6.25%, 11/15/17 (c) 144A
   204,500 
  430,000   New Red Finance, Inc.
6.00%, 10/01/17 (c) 144A
   452,037 
  100,000   Northern Blizzard Resources, Inc.
7.25%, 02/01/17 (c) 144A
   94,000 
  250,000   NOVA Chemicals Corp.
5.25%, 08/01/18 (c) 144A
   258,750 
  200,000   Open Text Corp.
5.63%, 01/15/18 (c) 144A
   206,500 
   
180,000
   Pacific Exploration and Production Corp.
5.13%, 03/28/18 (c) (d) * 144A
   30,600 
  220,000   5.38%, 01/26/17 (c) (d) * 144A   37,400 
  280,000   Precision Drilling Corp.
6.50%, 12/15/16 (c)
   256,200 
      Quebecor Media, Inc.     
  140,000   5.75%, 01/15/23   147,000 
CAD 235,000   6.63%, 01/15/23 144A   190,119 
USD 200,000   Seven Generations Energy Ltd.
8.25%, 08/29/16 (c) 144A
   207,000 
      Teck Resources Ltd.     
  100,000   4.75%, 10/15/21 (c) †   89,625 
  850,000   6.25%, 01/15/41 (c)   654,500 
  300,000   Tervita Corp.
9.75%, 08/29/16 (c) 144A
   79,500 
CAD 250,000   Videotron Ltd.
6.88%, 08/29/16 (c)
   198,420 
             8,315,608  
Cayman Islands: 6.2%        
USD 200,000   Agile Group Holdings Ltd.
9.00%, 05/21/18 (c) Reg S
   225,099 
  200,000   Alpha Star Holding Ltd.
4.97%, 04/09/19 Reg S
   192,029 
  200,000   CAR, Inc.
6.13%, 02/04/18 (c) 144A
   211,357 
  200,000   Central China Real Estate
8.00%, 01/28/17 (c) Reg S
   211,751 
  200,000   CIFI Holdings Group Co. Ltd.
7.75%, 06/05/18 (c) Reg S
   220,099 
  500,000   Country Garden Holdings Co. Ltd.
7.50%, 01/10/18 (c) 144A
   542,334 
  400,000   Evergrande Real Estate Group Ltd.
8.75%, 10/30/16 (c) 144A
   413,000 
  150,000   Global A&T Electronics Ltd.
10.00%, 08/29/16 (c) 144A
   112,875 
  200,000   Grupo Aval Ltd.
4.75%, 09/26/22 144A
   193,560 
  200,000   Industrial Senior Trust
5.50%, 11/01/22 Reg S
   200,750 
  200,000   KWG Property Holdings Ltd.
8.98%, 01/14/17 (c) Reg S
   213,751 
  300,000   Longfor Properties
6.88%, 10/18/16 (c) Reg S
   313,875 
  200,000   MAF Global Securities Ltd.
7.13%, 10/29/18 (c) Reg S
   211,350 
  200,000   MCE Finance Ltd.
5.00%, 08/29/16 (c) 144A
   202,775 
  300,000   MIE Holdings Corp.
7.50%, 04/25/17 (c) 144A
   189,054 
  450,000   Noble Holding International Ltd.
6.95%, 01/01/25 (c) †
   373,725 
  277,568   Odebrecht Offshore Drilling Finance Ltd.
6.75%, 12/01/21 (c) 144A
   47,187 
  400,000   Shimao Property Holdings Ltd.
8.38%, 02/10/19 (c) † Reg S
   458,153 
  120,000   Sunac China Holdings Ltd.
9.38%, 08/05/16 (c) Reg S
   126,180 
  200,000   Suzano Trading Ltd.
5.88%, 01/23/21 144A
   210,820 
  200,000   TAM Capital 3, Inc.
8.38%, 08/29/16 (c) 144A
   205,250 
  200,000   Texhong Textile Group Ltd.
6.50%, 01/18/17 (c) Reg S
   209,640 
  485,000   UPCB Finance IV Ltd.
5.38%, 01/15/20 (c) 144A
   491,101 
      Vale Overseas Ltd.     
  1,025,000   4.38%, 01/11/22   998,094 
  900,000   6.88%, 11/21/36   870,750 
  260,000   Wynn Macau Ltd.
5.25%, 10/15/16 (c) 144A
   261,950 
  200,000   Yuzhou Properties Co., Ltd.
8.63%, 01/24/17 (c) Reg S
   213,266 
             8,119,775  
China / Hong Kong: 0.2%        
  200,000   Bank of East Asia Ltd.
5.50%, 12/02/20 (c) Reg S
   202,035 
  120,000   Yancoal International Resources Development Co. Ltd.
5.73%, 05/16/22 144A
   117,600 
             319,635  
Colombia: 0.6%        
  100,000   Banco Davivienda SA
5.88%, 07/09/22 Reg S
   104,400 
  200,000   Banco de Bogota SA
5.38%, 02/19/23 144A
   205,000 
      Banco GNB Sudameris SA     
  80,000   7.50%, 07/30/22 Reg S   83,400 
  50,000   7.50%, 07/30/22 144A   52,125 
  300,000   Colombia Telecomunicaciones SA, ESP
5.38%, 09/27/17 (c) Reg S
   293,250 
             738,175  
Croatia: 0.1%        
  175,000   Agrokor D.D.
8.88%, 08/29/16 (c) Reg S
   186,466 
Dominican Republic: 0.1%        
  100,000   Aeropuertos Dominicanos Siglo XXI SA
9.75%, 08/29/16 (c) Reg S
   106,375 
Finland: 0.7%        
  334,000   Nokia OYJ
5.38%, 05/15/19
   362,390 
EUR 200,000   Stora Enso OYJ
5.50%, 03/07/19 Reg S
   250,694 
USD 210,000   UPM-Kymmene OYJ
7.45%, 11/26/27 144A
   245,700 
             858,784  
France: 6.6%        
EUR 200,000   Accor SA
4.13%, 06/30/20 (c) Reg S
   224,768 
      Areva SA     
  200,000   3.13%, 12/20/22 (c) Reg S   184,595 
  200,000   3.50%, 03/22/21   192,004 
  100,000   4.38%, 11/06/19   102,320 
  200,000   4.88%, 09/23/24   195,224 
  220,000   BPCE SA
12.50%, 09/30/19 (c) Reg S
   327,238 
      Casino Guichard Perrachon SA     
  600,000   3.31%, 01/25/23 Reg S   751,868 
  300,000   4.87%, 01/31/19 (c) Reg S   320,904 
USD 290,000   Cie Generale de Geophysique - Veritas
6.50%, 08/29/16 (c)
   131,950 
EUR 150,000   CMA CGM SA
7.75%, 01/15/18 (c) Reg S
   132,659 
      Credit Agricole SA     
  350,000   8.20%, 03/31/18 (c)   438,354 
USD 100,000   8.38%, 10/13/19 (c) 144A   113,332 
EUR 100,000   Europcar Groupe SA
5.75%, 06/15/18 (c) Reg S
   113,989 
  175,000   Faurecia
3.13%, 06/15/18 (c) Reg S
   201,071 
  350,000   Groupama SA
7.88%, 10/27/19 (c)
   419,258 
  167,000   Italcementi Finance SA
6.63%, 03/19/20 Reg S
   222,971 
  200,000   Loxam SAS
4.88%, 07/23/17 (c) 144A
   236,230 
  100,000   Médi-Partenaires SAS
7.00%, 08/08/16 (c) Reg S
   118,012 
USD 100,000   Natixis SA
10.00%, 04/30/18 (c) 144A
   112,500 
EUR 200,000   Nexans SA
4.25%, 03/19/18 Reg S
   236,746 
      Numericable Group SA     
  705,000   5.63%, 05/15/19 (c) 144A   805,316 
USD 900,000   6.00%, 05/15/17 (c) 144A   880,875 
EUR 410,000   Peugeot SA
7.38%, 03/06/18 Reg S
   511,271 
USD 300,000   Rexel SA
5.25%, 08/29/16 (c) 144A
   312,188 
EUR 300,000   Societe Generale SA
9.38%, 09/04/19 (c) Reg S
   406,936 
  300,000   Solvay Finance, Inc.
4.20%, 05/12/19 (c) Reg S
   350,156 
  200,000   Vallourec SA
3.25%, 08/02/19
   216,939 
  300,000   Veolia Environnement
4.45%, 04/16/18 (c) Reg S
   354,346 
             8,614,020  
Germany: 3.0%        
  200,000   Deutsche Lufthansa AG
5.13%, 02/12/21 (c) Reg S
   238,310 
  150,000   Franz Haniel & Cie. GmbH
5.88%, 02/01/17
   172,628 
  200,000   Hapag-Lloyd AG
7.75%, 08/29/16 (c) Reg S
   230,266 
USD 200,000   Norddeutsche Landesbank Girozentrale
6.25%, 04/10/24 Reg S
   171,730 
      RWE AG     
EUR 475,000   2.75%, 10/21/20 (c) Reg S   465,357 
GBP 100,000   7.00%, 03/20/19 (c) Reg S   134,596 
EUR 160,000   Techem GmbH
6.13%, 08/08/16 (c) Reg S
   187,854 
      ThyssenKrupp AG     
  100,000   3.13%, 07/25/19 (c) Reg S   119,373 
  645,000   4.00%, 08/27/18   770,632 
  42,000   4.38%, 02/28/17   48,108 
  180,000   Trionista HoldCo GmbH
5.00%, 08/29/16 (c) Reg S
   207,384 
      Unitymedia Hessen GmbH & Co.     
  660,000   4.00%, 01/15/20 (c) Reg S   770,335 
  324,000   5.50%, 09/15/17 (c) Reg S   387,449 
             3,904,022  
India: 0.2%        
USD 300,000   Bank of India
3.13%, 05/06/20 Reg S
   299,529 
Indonesia: 0.1%        
  200,000   Gajah Tunggal Tbk PT
7.75%, 08/29/16 (c) 144A
   170,000 
Ireland: 4.8%        
  850,000   AerCap Ireland Capital Ltd.
4.50%, 05/15/21
   910,562 
  560,000   Alfa Bank
7.75%, 04/28/21 Reg S
   639,246 
EUR 300,000   Allied Irish Banks Plc
2.75%, 04/16/19 Reg S
   354,975 
  700,000   Ardagh Packaging Finance Plc
4.25%, 06/30/17 (c) Reg S
   810,857 
  200,000   Bank of Ireland
4.25%, 06/11/19 (c) Reg S
   224,083 
USD 200,000   EuroChem Mineral & Chemical Co. OJSC
5.13%, 12/12/17 144A
   205,701 
      Gazprombank OJSC     
EUR 280,000   4.00%, 07/01/19 Reg S   325,330 
USD 200,000   7.25%, 05/03/19 Reg S   212,740 
  180,000   Grifols Worldwide Operations Ltd.
5.25%, 04/01/17 (c)
   188,550 
  200,000   Metalloinvest Finance Ltd.
5.63%, 04/17/20 144A
   210,085 
  250,000   Mobile Telesystems OJSC
5.00%, 05/30/23 144A
   258,750 
  200,000   Nomos Bank
7.25%, 04/25/18 144A
   209,922 
  350,000   Novatek OAO
4.42%, 12/13/22 144A
   346,500 
  310,000   Rosneft Oil Co.
4.20%, 03/06/22 144A
   302,731 
  475,000   Russian Railways
5.70%, 04/05/22 Reg S
   508,926 
  200,000   Sibur Securities Ltd.
3.91%, 01/31/18 144A
   202,500 
EUR 306,000   Smurfit Kappa Acquisitions
5.13%, 06/15/18 (c) Reg S
   371,951 
             6,283,409  
Israel: 0.1%        
USD 140,000   B Communications Ltd.
7.38%, 02/15/17 (c) 144A
   151,550 
Italy: 6.9%        
EUR 100,000   Astaldi SpA
7.13%, 12/01/16 (c) Reg S
   111,212 
  100,000   Autostrada Brescia Verona Vicenza Padova SpA
2.38%, 03/20/20 Reg S
   117,386 
  200,000   Banca Monte dei Paschi di Siena SpA
3.63%, 04/01/19 Reg S
   224,350 
  200,000   Banca Popolare di Milano
7.13%, 03/01/21 Reg S
   237,796 
  200,000   Banca Popolare Di Vicenza
5.00%, 10/25/18 Reg S
   216,994 
      Banco Popolare SC     
  400,000   3.50%, 03/14/19 Reg S   463,866 
  300,000   6.00%, 11/05/20 Reg S   346,613 
  175,000   Buzzi Unicem SpA
6.25%, 09/28/18 Reg S
   219,653 
      Enel SpA     
  300,000   6.50%, 01/10/19 (c) Reg S   366,607 
USD 445,000   8.75%, 09/24/23 (c) 144A   516,756 
      Intesa Sanpaolo SpA     
EUR 450,000   5.00%, 09/23/19 Reg S   553,250 
  300,000   6.63%, 09/13/23 Reg S   403,596 
  200,000   8.05%, 06/20/18 (c)   242,406 
  350,000   8.38%, 10/14/19 (c) Reg S   444,229 
      Leonardo Finmeccanica SpA     
  100,000   4.38%, 12/05/17   118,336 
  167,000   4.88%, 03/24/25   222,797 
  136,000   5.25%, 01/21/22   182,736 
GBP 175,000   8.00%, 12/16/19   272,362 
EUR 200,000   Mediobanca SpA
5.00%, 11/15/20
   245,501 
      Telecom Italia SpA     
  750,000   5.25%, 02/10/22 Reg S   992,359 
  800,000   5.38%, 01/29/19 Reg S   1,000,266 
GBP 150,000   6.38%, 06/24/19   223,535 
      UniCredit SpA     
EUR 300,000   5.75%, 10/28/20 (c) Reg S   351,282 
  150,000   6.70%, 06/05/18 Reg S   181,253 
  300,000   6.95%, 10/31/22 Reg S   381,857 
  250,000   Unipol Gruppo Finanziario SpA
5.00%, 01/11/17 Reg S
   284,982 
  200,000   UnipolSai SpA
5.75%, 06/18/24 (c) Reg S
   212,516 
             9,134,496  
Japan: 0.9%        
USD 1,100,000   SoftBank Corp.
4.50%, 04/15/20 144A
   1,144,000 
Kazakhstan: 0.9%        
  200,000   Halyk Savings Bank of Kazakhstan JSC
7.25%, 01/28/21 144A
   215,400 
      KazMunayGas National Co. JSC     
  400,000   6.38%, 04/09/21 144A   434,000 
  300,000   9.13%, 07/02/18 144A   331,260 
  200,000   Zhaikmunai International BV
7.13%, 11/13/16 (c) 144A
   176,500 
             1,157,160  
Luxembourg: 16.0%        
  200,000   Accudyne Industries Borrower
7.75%, 08/29/16 (c) † 144A
   169,000 
  200,000   Albea Beauty Holdings SA
8.38%, 08/29/16 (c) 144A
   211,250 
  220,000   Alrosa Finance SA
7.75%, 11/03/20 144A
   250,004 
      Altice Financing SA     
EUR 100,000   5.25%, 02/15/18 (c) Reg S   115,180 
USD 600,000   6.63%, 02/15/18 (c) 144A   603,378 
  350,000   9.88%, 12/15/16 (c) 144A   375,813 
  1,030,000   Altice SA
7.75%, 05/15/17 (c) 144A
   1,048,694 
      ArcelorMittal     
EUR 150,000   3.00%, 04/09/21 Reg S   168,841 
USD 360,000   7.25%, 02/25/22 (s) †   396,000 
  475,000   7.75%, 03/01/41 (s) †   491,625 
  380,000   8.00%, 10/15/39 (s)   404,700 
  340,000   10.85%, 06/01/19 (s)   401,200 
  236,958   Ardagh Finance Holdings SA
8.63%, 08/09/16 (c) 144A
   245,252 
GBP 100,000   Cabot Financial Luxembourg SA
6.50%, 04/01/17 (c) Reg S
   125,109 
EUR 150,000   Cirsa Funding Luxembourg SA
5.88%, 05/15/18 (c) Reg S
   174,195 
USD 200,000   Consolidated Energy Finance SA
6.75%, 10/15/16 (c) 144A
   199,500 
  240,000   Convatec Healthcare E SA
10.50%, 08/29/16 (c) 144A
   246,600 
      CSN Resources SA     
  220,000   6.50%, 07/21/20 Reg S   130,834 
  200,000   6.50%, 07/21/20 144A   118,940 
EUR 275,000   Dufry Finance SCA
4.50%, 07/15/17 (c) Reg S
   325,964 
      Evraz Group SA     
USD 300,000   6.50%, 04/22/20 Reg S   305,430 
  180,000   6.50%, 04/22/20 144A   183,258 
      Fiat Chrysler Finance Europe     
EUR 710,000   4.75%, 07/15/22 Reg S   870,614 
  250,000   6.63%, 03/15/18 Reg S   303,151 
  220,000   Fiat Finance & Trade SA
7.00%, 03/23/17 Reg S
   256,210 
  450,000   Fiat Industrial Finance Europe SA
6.25%, 03/09/18 Reg S
   547,584 
  100,000   Galapagos SA
5.38%, 06/15/17 (c) 144A
   102,598 
  200,000   Garfunkelux Holdco 3 SA
7.50%, 08/01/18 (c) Reg S
   226,584 
      Gazprom Neft OAO     
USD 400,000   4.38%, 09/19/22 144A   387,000 
  100,000   6.00%, 11/27/23 144A   105,375 
      Gazprom OAO     
  980,000   4.95%, 07/19/22 144A   997,150 
  650,000   9.25%, 04/23/19 (p) 144A   747,824 
  780,000   Gazprom PAO
7.29%, 08/16/37 144A
   877,500 
EUR 100,000   Geo Debt Finance SCA
7.50%, 08/29/16 (c) Reg S
   109,435 
      HeidelbergCement Finance Luxembourg SA     
  200,000   2.25%, 03/12/19 Reg S   233,682 
  540,000   8.00%, 01/31/17 Reg S   627,616 
      Ineos Group Holdings SA     
  400,000   5.75%, 08/29/16 (c) 144A   461,278 
  100,000   5.75%, 08/29/16 (c) Reg S   115,320 
USD 95,000   International Automotive Components Group SA
9.13%, 08/29/16 (c) 144A
   94,288 
EUR 150,000   Intralot Capital Luxembourg SA
6.00%, 05/15/17 (c) Reg S
   157,430 
  150,000   Lecta SA
8.88%, 08/26/16 (c) Reg S
   175,911 
  200,000   Matterhorn Telecom SA
3.88%, 05/01/18 (c) Reg S
   221,508 
USD 120,000   MHP SA
8.25%, 04/02/20 144A
   114,000 
  350,000   Millicom International Cellular
6.63%, 10/15/17 (c) 144A
   366,608 
  150,000   Minerva Luxembourg SA
12.25%, 02/10/17 (c) Reg S
   166,125 
  330,000   MOL Group Finance SA
6.25%, 09/26/19 Reg S
   363,201 
  200,000   OAO TMK
6.75%, 04/03/20 Reg S
   207,500 
  200,000   Offshore Drilling Holding SA
8.38%, 09/20/17 (c) † 144A
   94,000 
EUR 200,000   Play Finance 2 SA
5.25%, 08/08/16 (c) Reg S
   230,483 
USD 300,000   Puma International Financing SA
6.75%, 02/01/17 (c) Reg S
   311,460 
  200,000   Rosneft Finance SA
7.88%, 03/13/18 144A
   215,750 
  160,000   Russian Agricultural Bank OJSC
5.30%, 12/27/17 144A
   164,704 
      Sberbank of Russia     
  410,000   5.13%, 10/29/22 144A   416,416 
  200,000   5.18%, 06/28/19 Reg S   211,898 
  290,000   6.13%, 02/07/22 144A   316,796 
  300,000   Severstal OAO
6.70%, 10/25/17 144A
   315,531 
EUR 100,000   Takko Luxembourg 2 SCA
9.88%, 08/08/16 (c) Reg S
   67,677 
  470,000   Telecom Italia Finance SA
7.75%, 01/24/33
   719,406 
  250,000   Telenet Finance V Luxembourg SCA
6.25%, 08/15/17 (c) Reg S
   301,459 
USD 100,000   Tonon Luxembourg SA
10.50%, 05/14/17 (c) (d) * 144A
   42,500 
EUR 160,000   UniCredit International Bank Luxembourg SA
8.13%, 12/10/19 (c) Reg S
   200,266 
      VTB Bank OJSC     
USD 360,000   6.88%, 05/29/18 (p) 144A   384,237 
  200,000   6.95%, 10/17/22 144A   207,950 
      Wind Acquisition Finance SA     
EUR 100,000   4.00%, 08/08/16 (c) Reg S   112,664 
  200,000   4.00%, 08/08/16 (c) 144A   225,327 
USD 400,000   6.50%, 08/29/16 (c) 144A   413,752 
  585,000   7.38%, 04/23/17 (c) 144A   583,537 
             21,062,072  
Marshall Islands: 0.2%        
  250,000   Drill Rigs Holdings, Inc.
6.50%, 08/29/16 (c) 144A
   116,250 
  100,000   Teekay Corp.
8.50%, 01/15/20
   86,500 
             202,750  
Mexico: 0.6%        
  200,000   BBVA Bancomer SA
7.25%, 04/22/20 144A
   222,300 
  250,000   Grupo Elektra SAB de CV
7.25%, 08/29/16 (c) Reg S
   253,750 
  57,000   Servicios Corporativos Javer SAPI de CV
9.88%, 08/29/16 (c) Reg S
   59,565 
  170,000   Tenedora Nemak SA
5.50%, 02/28/18 (c) 144A
   177,225 
  200,000   TV Azteca SAB de CV
7.63%, 09/18/17 (c) Reg S
   133,500 
             846,340  
Netherlands: 9.3%        
  200,000   Access Finance BV
7.25%, 07/25/17 144A
   200,000 
  200,000   Carlson Wagonlit BV
6.88%, 08/29/16 (c) 144A
   206,900 
  200,000   Cimpor Financial Operations BV
5.75%, 07/17/19 (c) 144A
   165,000 
EUR 210,000   Constellium NV
4.63%, 05/15/17 (c) Reg S
   199,643 
USD 200,000   FBN Finance Co. BV
8.00%, 07/23/19 (c) 144A
   142,642 
      Fresenius Finance BV     
EUR 191,000   2.88%, 07/15/20 144A   233,935 
  185,000   4.00%, 02/01/24 144A   248,510 
  50,000   4.00%, 02/01/24 Reg S   67,165 
  300,000   Gas Natural Fenosa Finance BV
4.13%, 11/18/22 (c) Reg S
   342,867 
  200,000   GRP Isolux Corsan Finance BV
6.63%, 04/15/17 (c) Reg S
   43,053 
  150,000   Grupo Antolin Dutch BV
5.13%, 06/30/18 (c) Reg S
   179,215 
USD 200,000   GTB Finance BV
6.00%, 11/08/18 144A
   199,500 
  300,000   Indo Energy Finance II BV
6.38%, 01/24/18 (c) 144A
   195,926 
  230,000   InterGen NV
7.00%, 06/30/18 (c) 144A
   184,575 
  250,000   Kazakhstan Temir Zholy Finance BV
6.95%, 07/10/42 144A
   263,750 
GBP 249,000   Koninklijke KPN NV
6.88%, 03/14/20 (c) Reg S
   357,062 
EUR 300,000   LGE HoldCo VI BV
7.13%, 05/15/19 (c) Reg S
   379,926 
USD 200,000   Listrindo Capital BV
6.95%, 08/29/16 (c) 144A
   207,800 
  675,000   Majapahit Holding BV
7.75%, 01/20/20 † 144A
   778,781 
  300,000   Marfrig Holding Europe BV
8.00%, 06/08/19 (c) 144A
   309,000 
  570,000   NXP BV / NXP Funding LLC
5.75%, 03/15/18 (c) 144A
   599,925 
      Petrobras Global Finance BV     
EUR 350,000   2.75%, 01/15/18   390,651 
  700,000   3.25%, 04/01/19 Reg S   760,673 
USD 550,000   4.38%, 05/20/23   473,000 
  435,000   7.88%, 03/15/19 †   462,405 
  1,630,000   Petrobras International Finance Co.
5.38%, 01/27/21
   1,550,537 
EUR 160,000   Portugal Telecom International Finance BV
4.63%, 05/08/20 (d) Reg S
   37,470 
  300,000   Repsol International Finance BV
3.88%, 03/25/21 (c) Reg S
   309,300 
      Schaeffler Finance BV     
  100,000   3.50%, 05/15/17 (c) Reg S   116,158 
  250,000   3.50%, 05/15/17 (c) 144A   290,396 
USD 300,000   4.25%, 05/15/17 (c) 144A   309,000 
EUR 147,000   6.88%, 08/30/16 (c) Reg S   169,038 
  400,000   SNS Bank NV
11.25%, 11/27/19 (c) (d) * Reg S
   15,656 
  600,000   Telefonica Europe BV
6.50%, 09/18/18 (c) Reg S
   720,226 
  150,000   UPC Holding BV
6.38%, 09/15/17 (c) Reg S
   180,469 
      VimpelCom Holdings BV     
USD 200,000   5.95%, 02/13/23 144A   204,990 
  50,000   6.25%, 03/01/17 Reg S   51,247 
  400,000   6.25%, 03/01/17 144A   409,976 
  240,000   VTR Finance BV
6.88%, 01/15/19 (c) 144A
   247,800 
             12,204,167  
Norway: 0.3%        
  50,000   Eksportfinans ASA
5.50%, 06/26/17
   51,632 
EUR 200,000   Lock AS
7.00%, 08/15/17 (c) Reg S
   235,575 
  130,000   Norske Skog Holding AS
8.00%, 02/24/18 (c) 144A
   58,367 
             345,574  
Peru: 0.2%        
USD 200,000   Cia Minera Ares SAC
7.75%, 01/23/18 (c) 144A
   212,500 
  97,000   Corp. Azucarera del Peru SA
6.38%, 08/02/17 (c) 144A
   92,635 
             305,135  
Russia: 0.0%        
  182,328   Ukrlandfarming Plc
10.88%, 03/26/18 (d) * 144A
   55,647 
Singapore: 0.4%        
  350,000   ABJA Investment Co. Pte Ltd.
5.95%, 07/31/24 Reg S
   351,750 
  150,000   Bakrie Telecom Pte Ltd.
11.50%, 05/07/15 (e) * Reg S
   5,250 
  200,000   Theta Capital Pte Ltd.
6.13%, 11/14/16 (c) Reg S
   205,829 
             562,829  
South Africa: 0.5%        
EUR 200,000   Edcon Pty Ltd.
9.50%, 08/29/16 (c) (d) * Reg S
   68,303 
      Eskom Holdings SOC Ltd.     
USD 300,000   5.75%, 01/26/21 144A   299,250 
  265,000   6.75%, 08/06/23 144A   271,299 
             638,852  
South Korea: 0.3%        
  350,000   Woori Bank Co. Ltd.
6.21%, 05/02/17 (c) 144A
   361,423 
Spain: 0.8%        
  190,000   Abengoa Finance SAU
8.88%, 11/01/17 Reg S
   11,875 
EUR 100,000   Banco de Sabadell SA
2.50%, 12/05/16 Reg S
   112,758 
  300,000   Bankia SA
3.50%, 01/17/19 Reg S
   359,352 
  50,000   Bankinter SA
6.38%, 09/11/19 Reg S
   64,037 
USD 100,000   BBVA International Preferred SAU
5.92%, 04/18/17 (c)
   100,250 
EUR 100,000   BPE Financiaciones SA
2.50%, 02/01/17
   113,069 
  200,000   CaixaBank SA
5.00%, 11/14/18 (c) Reg S
   235,863 
             997,204  
Sri Lanka: 0.3%        
USD 200,000   Bank of Ceylon
5.33%, 04/16/18 Reg S
   202,500 
  200,000   National Savings Bank
8.88%, 09/18/18 144A
   217,020 
             419,520  
Sweden: 0.7%        
EUR 150,000   Perstorp Holding AB
9.00%, 08/29/16 (c) 144A
   167,905 
  200,000   Stena AB
6.13%, 02/01/17 Reg S
   227,642 
  32,000   TVN Finance Corporation III AB
7.38%, 12/15/16 (c) Reg S
   37,961 
  150,000   Unilabs Subholding AB
8.50%, 08/08/16 (c) Reg S
   172,594 
  300,000   Volvo Treasury AB
4.20%, 06/10/20 (c) Reg S
   345,791 
             951,893  
Switzerland: 0.1%        
EUR 100,000   UBS AG
7.15%, 12/21/17 (c)
   121,791 
Turkey: 0.8%        
USD 200,000   Arcelik AS
5.00%, 04/03/23 144A
   195,593 
  200,000   Tupras Turkiye Petrol Rafinerileri AS
4.13%, 05/02/18 144A
   201,000 
  225,000   Turkiye Is Bankasi SA
6.00%, 10/24/22 144A
   222,008 
  200,000   Turkiye Vakiflar Bankasi T.A.O.
6.00%, 11/01/22 144A
   194,450 
  270,000   Yapi ve Kredi Bankasi A/S
5.50%, 12/06/22 144A
   260,516 
             1,073,567  
United Kingdom: 11.8%        
  195,167   Afren Plc
6.63%, 12/09/16 (c) (d) * 144A
   1,659 
      Algeco Scotsman Global Finance Plc     
  100,000   8.50%, 08/29/16 (c) 144A   87,500 
  250,000   10.75%, 10/15/16 (c) 144A   157,500 
      Anglo American Capital Plc     
EUR 1,000,000   2.50%, 04/29/21 Reg S   1,079,512 
USD 200,000   2.63%, 09/27/17 144A   200,690 
  400,000   4.88%, 05/14/25 † 144A   393,000 
      AngloGold Ashanti Holdings Plc     
  175,000   5.13%, 08/01/22   180,901 
  137,000   5.38%, 04/15/20 †   143,850 
GBP 100,000   Arqiva Broadcast Finance Plc
9.50%, 09/30/16 (c) Reg S
   144,055 
  35,226   Bakkavor Finance 2 Plc
8.25%, 08/29/16 (c) Reg S
   47,833 
      Barclays Bank Plc     
EUR 150,000   4.75%, 03/15/20 (c) Reg S   158,058 
GBP 400,000   14.00%, 06/15/19 (c) Reg S   669,825 
  200,000   Boparan Finance Plc
5.50%, 07/15/17 (c) Reg S
   248,380 
USD 200,000   CEVA Group Plc
7.00%, 03/01/17 (c) 144A
   168,500 
GBP 75,000   Co-Operative Bank Plc
5.13%, 09/20/17
   92,154 
  149,000   Co-operative Group Holdings Ltd.
6.88%, 07/08/20 (s) Reg S
   215,646 
  100,000   Elli Finance UK Plc
8.75%, 08/29/16 (c) Reg S
   107,863 
USD 200,000   EnQuest Plc
7.00%, 04/15/17 (c) 144A
   115,000 
GBP 175,000   Enterprise Inns
6.50%, 12/06/18
   246,616 
  255,000   HBOS Capital Funding LP
6.46%, 11/30/18 (c) Reg S
   361,586 
  100,000   Heathrow Finance Plc
7.13%, 03/01/17 Reg S
   137,414 
USD 200,000   Inmarsat Finance Plc
4.88%, 05/15/17 (c) 144A
   186,960 
EUR 150,000   International Personal Finance Plc
5.75%, 04/07/21 Reg S
   144,338 
GBP 380,000   Jaguar Land Rover Plc
5.00%, 02/15/22 144A
   536,059 
USD 300,000   KCA Deutag Finance Plc
7.25%, 05/15/17 (c) 144A
   229,500 
GBP 100,000   Ladbrokes Group Finance Plc
5.13%, 09/16/22 Reg S
   138,516 
EUR 250,000   Lincoln Finance Ltd.
6.88%, 04/15/18 (c) Reg S
   302,976 
USD 350,000   Lloyds TSB Bank Plc
12.00%, 12/16/24 (c) 144A
   479,647 
      Lynx I Corp.     
GBP 126,900   6.00%, 04/15/17 (c) 144A   176,362 
  450,000   6.00%, 04/15/17 (c) Reg S   625,397 
  200,000   Lynx II Corp.
7.00%, 04/15/18 (c) 144A
   281,472 
  100,000   Matalan Finance Plc
6.88%, 08/08/16 (c) 144A
   105,353 
  100,000   New Look Secured Issuer Plc
6.50%, 06/24/18 (c) Reg S
   125,866 
  100,000   Odeon & UCI Finco Plc
9.00%, 08/08/16 (c) Reg S
   138,081 
  150,000   Old Mutual Plc
8.00%, 06/03/21 Reg S
   224,745 
USD 200,000   Oschadbank
9.63%, 03/20/25 (s) 144A
   194,500 
EUR 200,000   OTE Plc
3.50%, 07/09/20 Reg S
   225,726 
USD 200,000   Polyus Gold International Ltd.
5.63%, 04/29/20 144A
   209,092 
EUR 100,000   PPC Finance Plc
5.50%, 05/01/17 (c) Reg S
   92,200 
GBP 100,000   Premier Foods Investments Plc
6.50%, 03/15/17 (c) Reg S
   135,558 
  120,000   R&R Ice Cream Plc
5.50%, 08/29/16 (c) Reg S
   163,845 
EUR 132,000   Rexam Plc
6.75%, 08/05/16 (c) Reg S
   147,981 
      Royal Bank of Scotland Group Plc     
  300,000   3.62%, 03/25/19 (c) Reg S   332,703 
  250,000   4.35%, 01/23/17   285,048 
  146,000   4.63%, 09/22/16 (c)   161,673 
USD 300,000   5.13%, 05/28/24   301,514 
  575,000   6.13%, 12/15/22   612,662 
EUR 150,000   6.93%, 04/09/18   182,821 
GBP 100,000   Stonegate Pub Company Financing Plc
5.75%, 08/29/16 (c) Reg S
   135,036 
  100,000   Stretford 79 Plc
6.75%, 07/15/19 (c) Reg S
   117,833 
EUR 200,000   Synlab Bondco Plc
6.25%, 07/01/18 (c) Reg S
   239,306 
  800,000   Tesco Corporate Treasury Services Plc
1.38%, 07/01/19 Reg S
   900,804 
      Tesco Plc     
GBP 320,000   6.13%, 02/24/22   480,291 
USD 100,000   6.15%, 11/15/37 144A   98,002 
GBP 100,000   Thames Water Kemble Finance Plc
7.75%, 04/01/19 Reg S
   149,900 
EUR 200,000   Thomas Cook Finance Plc
7.75%, 08/29/16 (c) Reg S
   222,016 
GBP 100,000   Travis Perkins Plc
4.38%, 09/15/21 Reg S
   132,101 
USD 350,000   Tullow Oil Plc
6.00%, 11/01/16 (c) 144A
   288,750 
GBP 100,000   Twinkle Pizza Plc
6.63%, 08/01/17 (c) Reg S
   130,184 
USD 445,000   Vedanta Resources Plc
6.00%, 01/31/19 † 144A
   410,512 
  220,000   Virgin Media Finance Plc
4.88%, 02/15/22
   185,350 
GBP 100,000   Voyage Care Bondco Plc
6.50%, 08/29/16 (c) Reg S
   130,043 
  125,000   William Hill Plc
4.25%, 06/05/20 Reg S
   171,929 
            15,490,194  
United States: 5.2%        
USD 300,000   Alcatel-Lucent USA, Inc.
6.45%, 03/15/29
   320,250 
  200,000   Ashtead Capital, Inc.
6.50%, 07/15/17 (c) 144A
   212,000 
  235,000   Calfrac Holdings LP
7.50%, 08/29/16 (c) † 144A
   150,400 
  160,000   Case New Holland, Inc.
7.88%, 12/01/17
   172,600 
  73,593   CEDC Finance Corporation International, Inc.
10.00%, 08/29/16 (c)
   18,030 
      Cemex Finance LLC     
  685,000   6.00%, 04/01/19 (c) 144A   703,837 
  625,000   9.38%, 10/12/17 (c) 144A   692,969 
  200,000   Cott Beverages, Inc.
5.38%, 07/01/17 (c)
   205,750 
EUR 160,000   Deutsche Bank Contingent Capital Trust IV
8.00%, 05/15/18 (c) Reg S
   183,822 
USD 730,000   Fresenius Medical Care US Finance, Inc.
5.75%, 02/15/21 144A
   824,900 
  480,000   JBS USA LLC / JBS USA Finance, Inc.
7.25%, 08/29/16 (c) 144A
   498,000 
  355,000   RBS Capital Trust II
6.43%, 01/03/34 (c)
   370,975 
  1,330,000   Reynolds Group Issuer, Inc.
5.75%, 08/29/16 (c)
   1,376,550 
  217,152   Rio Oil Finance Trust
9.25%, 07/06/24 144A
   187,837 
  900,000   ZF North America Capital, Inc.
4.50%, 04/29/22 144A
   937,125 
             6,855,045  
Venezuela: 1.3%        
      Petroleos de Venezuela SA     
  285,000   5.38%, 04/12/27 Reg S   104,812 
  345,000   5.50%, 04/12/37 Reg S   123,338 
  400,000   6.00%, 05/16/24 144A   148,000 
  306,667   8.50%, 11/02/17 Reg S   239,507 
  153,333   8.50%, 11/02/17 144A   119,753 
  90,000   9.00%, 11/17/21 Reg S   44,642 
  825,000   9.00%, 11/17/21 144A   409,217 
  700,000   9.75%, 05/17/35 144A   310,625 
  465,000   12.75%, 02/17/22 144A   255,518 
             1,755,412  
Total Corporate Bonds
(Cost: $132,221,993)
    124,820,241  
GOVERNMENT OBLIGATIONS: 0.9%        
Azerbaijan: 0.3%        
USD 400,000   State Oil Company of the Azerbaijan Republic
4.75%, 03/13/23 Reg S
   378,065 
Costa Rica: 0.2%        
  200,000   Instituto Costarricense de Electricidad
6.95%, 11/10/21 Reg S
   212,000 
Trinidad and Tobago: 0.2%        
  237,500   Petroleum Co. of Trinidad & Tobago Ltd.
6.00%, 05/08/22 144A
   233,938 
Turkey: 0.1%        
  200,000   Export Credit Bank of Turkey
5.88%, 04/24/19 Reg S
   207,858 
United Kingdom: 0.1%        
  200,000   Ukreximbank
9.75%, 01/22/25 144A
   195,500 
Total Government Obligations
(Cost: $1,223,182)
    1,227,361  

 

Number
of Shares
       
MONEY MARKET FUND: 1.3%
(Cost: $1,655,637)
     
 1,655,637   Dreyfus Government Cash Management Fund   1,655,637 
Total Investments Before Collateral for Securities Loaned: 97.1%
(Cost: $135,100,812)
   127,703,239 

 

Principal
Amount
       
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES LOANED: 4.9%        
Repurchase Agreements: 4.9%        
USD 1,535,291   Repurchase agreement dated 7/29/16 with Citigroup Global Markets, Inc., 0.35%, due 8/1/16, proceeds $1,535,336; (collateralized by various U.S. government and agency obligations, 2.00% to 7.65%, due 6/1/18 to 8/1/46, valued at $1,561,629 including accrued interest)   1,535,291 
  1,535,291   Repurchase agreement dated 7/29/16 with Daiwa Capital Markets America, Inc., 0.40%, due 8/1/16, proceeds $1,535,342; (collateralized by cash in the amount of $2,771 and various U.S. government and agency obligations, 0.00% to 8.13%, due 8/10/16 to 9/9/49, valued at $1,561,457 including accrued interest)   1,535,291 
  1,535,291   Repurchase agreement dated 7/29/16 with HSBC Securities USA, Inc., 0.33%, due 8/1/16, proceeds $1,535,333; (collateralized by various U.S. government and agency obligations, 2.00% to 6.00%, due 4/1/25 to 8/1/48, valued at $1,562,217 including accrued interest)   1,535,291 
  321,271   Repurchase agreement dated 7/29/16 with Merrill Lynch, Pierce, Fenner & Smith, Inc., 0.35%, due 8/1/16, proceeds $321,280; (collateralized by various U.S. government and agency obligations, 2.00% to 7.00%, due 2/15/17 to 5/20/66, valued at $326,756 including accrued interest)   321,271 
  1,535,291   Repurchase agreement dated 7/29/16 with Nomura Securities Int., Inc., 0.36%, due 8/1/16, proceeds $1,535,337; (collateralized by various U.S. government and agency obligations, 0.00% to 8.50%, due 8/25/16 to 5/20/66, valued at $1,561,028 including accrued interest)   1,535,291 
Total Short-Term Investments Held As Collateral For Securities Loaned
(Cost: $6,462,435)
   6,462,435 
Total Investments: 102.0%
(Cost: $141,563,247)
   134,165,674 
Liabilities in excess of other assets: (2.0)%   (2,595,914)
NET ASSETS: 100.0%  $131,569,760 

 

CADCanadian Dollar
EUREuro
GBPBritish Pound
USDUnited States Dollar
(c)Callable Security - the redemption date shown is when the security may be redeemed by the issuer
(d)Security in default of coupon payment
(e)Security in principal default
(p)Puttable Security - the redemption date shown is when the security may be redeemed by the investor
(s)Step Bond - coupon increases periodically based upon a predetermined schedule. The rate shown reflects the rate in effect at the end of the reporting period
*Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $6,122,033.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144ASecurity exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $54,881,897, or 41.7% of net assets.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned (unaudited)
  % of
Investments
  Value  
Basic Materials   13.0%  $16,669,977 
Communications   15.5    19,759,953 
Consumer, Cyclical   9.2    11,774,537 
Consumer, Non-cyclical   8.5    10,844,285 
Diversified   1.0    1,257,514 
Energy   13.2    16,922,649 
Financial   24.1    30,749,118 
Government   1.0    1,227,361 
Industrial   8.4    10,730,926 
Technology   0.6    806,425 
Utilities   4.2    5,304,857 
Money Market Fund   1.3    1,655,637 
    100.0%  $127,703,239 

 

The summary of inputs used to value the Fund’s investments as of July 31, 2016 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Corporate Bonds*  $   $124,820,241   $   $124,820,241 
Government Obligations*       1,227,361        1,227,361 
Money Market Fund   1,655,637            1,655,637 
Repurchase Agreements       6,462,435        6,462,435 
Total  $1,655,637   $132,510,037   $   $134,165,674 

 

* See Schedule of Investments for security type and geographic sector breakouts.

There were no transfers between levels during the period ended July 31, 2016.

 

See Notes to Schedules of Investments

 

INVESTMENT GRADE FLOATING RATE ETF

SCHEDULE OF INVESTMENTS

July 31, 2016 (unaudited)

 

Principal
Amount
      Value 
FLOATING RATE NOTES: 99.2%     
Australia: 8.8%     
$825,000   Australia & New Zealand Banking Group Ltd.
1.19%, 05/15/18
  $825,921 
 1,020,000   Commonwealth Bank of Australia
1.06%, 03/12/18 144A
   1,018,073 
     Macquarie Bank Ltd.     
 125,000   1.36%, 10/27/17 144A   124,859 
 600,000   1.43%, 03/24/17 144A   599,432 
     National Australia Bank Ltd.     
 500,000   0.91%, 06/30/17 144A   499,613 
 750,000   1.45%, 01/14/19 144A   753,663 
     Westpac Banking Corp.     
 450,000   1.04%, 12/01/17   450,084 
 1,190,000   1.09%, 05/25/18   1,188,101 
 1,320,000   1.49%, 07/30/18   1,325,562 
         6,785,308 
British Virgin Islands: 1.4%     
 270,000   CNPC General Capital Ltd.
1.53%, 05/14/17 144A
   269,402 
     Sinopec Group Overseas Development 2014 Ltd.     
 180,000   1.44%, 04/10/17 144A   180,210 
 600,000   1.58%, 04/10/19 144A   599,332 
         1,048,944 
Canada: 5.3%     
 160,000   Bank of Montreal
1.36%, 07/31/18
   160,375 
 150,000   Enbridge, Inc.
1.14%, 06/02/17
   148,119 
 1,700,000   Royal Bank of Canada
1.20%, 03/06/20
   1,675,698 
     Toronto-Dominion Bank     
 470,000   0.88%, 05/02/17   469,623 
 600,000   1.25%, 07/23/18   600,725 
 1,015,000   1.30%, 04/30/18   1,016,100 
         4,070,640 
Chile: 0.2%     
 190,000   Banco Santander Chile
1.56%, 04/11/17 144A
   190,475 
China / Hong Kong: 0.2%     
 150,000   Industrial & Commercial Bank of China Ltd.
1.82%, 11/13/17
   150,678 
France: 3.1%     
 250,000   Banque Federative du Credit Mutuel SA
1.55%, 01/20/17 144A
   250,560 
     BNP Paribas SA     
 175,000   1.09%, 05/07/17   174,982 
 145,000   1.25%, 12/12/16   145,227 
 405,000   BPCE SA
1.29%, 06/17/17
   405,461 
     Credit Agricole SA     
 200,000   1.20%, 06/12/17 144A   199,946 
 500,000   1.48%, 04/15/19 144A   501,345 
 245,000   Electricite de France SA
1.16%, 01/20/17 144A
   245,207 
 450,000   Total Capital International SA
1.20%, 08/10/18
   449,423 
         2,372,151 
Germany: 0.8%     
     Deutsche Bank AG     
 225,000   1.14%, 05/30/17   223,860 
 300,000   1.24%, 02/13/17   299,324 
 100,000   1.31%, 02/13/18   98,956 
         622,140 
Japan: 2.9%     
     Mizuho Bank Ltd.     
 325,000   1.09%, 09/25/17 144A   324,417 
 100,000   1.12%, 04/16/17 144A   99,978 
 360,000   1.28%, 03/26/18 144A   359,261 
     Sumitomo Mitsui Banking Corp.     
 335,000   0.98%, 07/11/17   334,912 
 100,000   1.01%, 05/02/17   99,350 
 175,000   1.09%, 01/10/17   175,109 
 350,000   1.27%, 01/16/18   349,658 
 480,000   The Bank of Tokyo-Mitsubishi UFJ Ltd.     
     1.23%, 03/05/18 144A   478,339 
         2,221,024 
Luxembourg: 0.7%     
 575,000   Actavis Funding SCS
1.91%, 03/12/20
   576,949 
Netherlands: 3.1%     
 270,000   Cooperatieve Centrale Raiffeisen-Boerenleenbank BA
1.07%, 04/28/17
   270,166 
     Nederlandse Waterschapsbank NV     
 545,000   0.86%, 02/14/18 144A   546,044 
 540,000   0.88%, 10/18/16 144A   540,030 
     Shell International Finance BV     
 482,000   0.84%, 11/15/16   482,242 
 350,000   1.08%, 05/11/20   345,822 
 180,000   Volkswagen International Finance NV
1.07%, 11/18/16 144A
   179,982 
         2,364,286 
Norway: 1.4%     
     Statoil ASA     
 941,000   0.92%, 05/15/18   940,638 
 125,000   1.09%, 11/08/18   124,404 
         1,065,042 
Singapore: 0.6%     
 500,000   DBS Group Holdings Ltd.
1.18%, 07/16/19 144A
   499,809 
South Korea: 0.7%     
     Export-Import Bank of Korea     
 50,000   1.42%, 01/14/17   50,053 
 50,000   1.51%, 09/17/16   50,030 
 180,000   Hyundai Capital Services, Inc.
1.45%, 03/18/17 144A
   180,064 
     Kookmin Bank     
 200,000   1.61%, 01/27/17 144A   200,058 
 50,000   1.91%, 10/11/16 144A   50,040 
         530,245 
Spain: 0.3%     
 245,000   Telefonica Emisiones SAU
1.29%, 06/23/17
   244,704 
Sweden: 0.3%     
 250,000   Nordea Bank AB
1.01%, 04/04/17 144A
   250,104 
Switzerland: 2.4%     
 590,000   Credit Suisse
1.16%, 05/26/17
   589,934 
     UBS AG     
 720,000   1.27%, 08/14/19   716,916 
 540,000   1.34%, 03/26/18   540,933 
         1,847,783 
United Kingdom: 3.3%     
 200,000   Barclays Bank Plc
1.21%, 02/17/17
   199,977 
 720,000   BP Capital Markets Plc
1.27%, 09/26/18
   719,245 
 400,000   HSBC Bank Plc
1.27%, 05/15/18 144A
   398,088 
 600,000   HSBC Holdings Plc
2.90%, 03/08/21 †
   619,293 
 410,000   Lloyds Bank Plc
1.17%, 03/16/18
   406,734 
 200,000   Standard Chartered Plc
1.00%, 09/08/17 144A
   198,670 
         2,542,007 
United States: 63.7%     
     American Express Credit Corp.     
 280,000   0.95%, 06/05/17   279,889 
 1,525,000   1.20%, 03/18/19   1,528,572 
 250,000   American Honda Finance Corp.
0.97%, 12/11/17
   250,561 
 180,000   Amgen, Inc.
1.03%, 05/22/17
   180,182 
 340,000   Anheuser-Busch InBev Finance, Inc.
1.90%, 02/01/21
   349,682 
     Apple, Inc.     
 800,000   0.88%, 02/07/20   798,150 
 1,020,000   0.89%, 05/03/18   1,022,358 
 750,000   0.93%, 05/06/19   752,475 
 525,000   AT&T, Inc.
1.56%, 06/30/20
   524,713 
     Bank of America Corp.     
 530,000   0.93%, 10/14/16   529,984 
 150,000   1.52%, 04/01/19   150,384 
 860,000   1.72%, 03/22/18   866,465 
 1,350,000   1.72%, 01/15/19   1,362,285 
     Berkshire Hathaway Finance Corp.     
 165,000   0.81%, 01/10/17   165,079 
 300,000   0.97%, 01/12/18   300,592 
 400,000   1.34%, 03/15/19   403,044 
     Chevron Corp.     
 340,000   0.80%, 11/15/17   339,735 
 410,000   0.86%, 03/02/18   408,645 
     Cisco Systems, Inc.     
 505,000   0.96%, 03/03/17   505,899 
 128,000   0.96%, 06/15/18   128,220 
     Citigroup, Inc.     
 540,000   1.16%, 05/01/17   540,199 
 1,565,000   1.42%, 04/27/18   1,564,488 
 526,000   2.33%, 05/15/18   536,218 
 500,000   CoBank ACB
1.25%, 06/15/17 (c) 144A
   478,074 
 400,000   ConocoPhillips Co.
1.53%, 05/15/22
   387,398 
 300,000   Daimler Finance North America LLC
1.01%, 03/10/17 144A
   300,027 
     Exxon Mobil Corp.     
 270,000   0.69%, 03/15/17   269,911 
 800,000   0.80%, 03/15/19   795,263 
     Ford Motor Credit Co. LLC     
 400,000   1.46%, 01/17/17   400,513 
 550,000   1.49%, 03/12/19   546,464 
 510,000   1.60%, 01/09/18   510,279 
     General Electric Capital Corp.     
 932,000   1.01%, 05/05/26   882,314 
 510,000   1.18%, 01/14/19   511,274 
 645,000   1.65%, 03/15/23   650,785 
 300,000   Glencore Funding LLC
2.04%, 01/15/19 144A
   289,500 
     Goldman Sachs Group, Inc.     
 630,000   1.45%, 12/15/17   630,904 
 1,250,000   1.73%, 11/15/18   1,259,296 
 750,000   1.73%, 10/23/19   750,085 
 1,300,000   1.85%, 08/15/20 (c)   1,303,949 
 800,000   1.87%, 03/23/20 (c)   802,822 
 1,550,000   1.95%, 04/30/18   1,563,266 
 931,000   2.27%, 11/29/23   933,364 
     International Business Machines Corp.     
 180,000   0.82%, 02/06/18   179,953 
 680,000   1.00%, 02/12/19   682,098 
 550,000   1.21%, 11/06/21   543,459 
 200,000   Johnson & Johnson
0.74%, 11/28/16
   200,086 
     JPMorgan Chase & Co.     
 250,000   1.26%, 04/25/18   250,488 
 2,250,000   1.61%, 01/25/18   2,266,146 
 2,015,000   1.67%, 01/23/20 †   2,032,728 
     Merck & Co., Inc.     
 615,000   0.99%, 05/18/18   617,594 
 600,000   1.00%, 02/10/20   600,956 
 410,000   Metropolitan Life Global Funding I
1.04%, 04/10/17 144A
   410,511 
     Morgan Stanley     
 300,000   1.39%, 01/05/18   300,217 
 300,000   1.45%, 07/23/19   299,090 
 720,000   1.56%, 01/24/19   722,122 
 1,050,000   1.87%, 01/27/20   1,054,570 
 870,000   1.99%, 04/25/18   880,387 
 620,000   NBCUniversal Enterprise, Inc.
1.37%, 04/15/18 144A
   623,840 
     Oracle Corp.     
 315,000   0.86%, 07/07/17   315,377 
 350,000   1.17%, 10/08/19   351,568 
 350,000   1.26%, 01/15/19   352,446 
     Pfizer, Inc.     
 160,000   0.78%, 05/15/17   160,154 
 345,000   0.95%, 06/15/18   345,918 
 150,000   Procter & Gamble Co.
0.72%, 11/04/16
   150,052 
 400,000   Roche Holdings, Inc.
0.97%, 09/30/19 144A
   400,775 
 126,000   State Street Corp.
1.53%, 08/18/20
   126,481 
 385,000   The Bank of New York Mellon Corp.
1.20%, 08/01/18
   385,368 
 380,000   The Bear Stearns Cos, LLC
1.04%, 11/21/16
   380,224 
 205,000   The Coca-Cola Co.
0.74%, 11/01/16
   205,065 
 100,000   The Kroger Co.
1.21%, 10/17/16
   100,052 
     Toyota Motor Credit Corp.     
 850,000   1.03%, 03/12/20   847,957 
 500,000   1.13%, 07/13/18   501,312 
 450,000   US Bancorp
1.12%, 10/15/18 (c)
   450,771 
 295,000   US Bank NA
0.86%, 08/11/17 (c)
   294,867 
     Verizon Communications, Inc.     
 1,375,000   1.06%, 06/09/17   1,377,142 
 150,000   1.43%, 06/17/19   151,931 
 500,000   2.41%, 09/14/18   514,509 
 310,000   Volkswagen Group of America Finance LLC
1.08%, 11/20/17 144A
   307,027 
 765,000   Wachovia Corp.
0.92%, 06/15/17
   764,650 
 2,250,000   Wells Fargo Bank
1.34%, 04/23/18
   2,256,786 
         49,157,984 
Total Floating Rate Notes
(Cost: $76,599,908)
   76,540,273 
      
Number
of Shares
         
MONEY MARKET FUND: 0.7%
(Cost: $521,926)
     
 521,926   Dreyfus Government Cash Management Fund   521,926 
Total Investments Before Collateral for Securities Loaned: 99.9%
(Cost: $77,121,834)
   77,062,199 
      
Principal
Amount
         
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES LOANED: 2.1%     
Repurchase Agreements: 2.1%     
$1,000,000   Repurchase agreement dated 7/29/16 with Daiwa Capital Markets America, Inc., 0.40%, due 8/1/16, proceeds $1,000,033; (collateralized by cash in the amount of $1,805 and various U.S. government and agency obligations, 0.00% to 8.13%, due 8/10/16 to 9/9/49, valued at $1,017,043 including accrued interest)   1,000,000 
 581,814   Repurchase agreement dated 7/29/16 with Nomura Securities Int., Inc., 0.36%, due 8/1/16, proceeds $581,831; (collateralized by various U.S. government and agency obligations, 0.00% to 8.50%, due 8/25/16 to 5/20/66, valued at $591,567 including accrued interest)   581,814 
Total Short-Term Investments Held As Collateral For Securities Loaned
(Cost: $1,581,814)
   1,581,814 
Total Investments: 102.0%
(Cost: $78,703,648)
   78,644,013 
Liabilities in excess of other assets: (2.0)%   (1,524,593)
NET ASSETS: 100.0%  $77,119,420 

 

(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
Security fully or partially on loan. Total market value of securities on loan is $1,545,370.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $12,546,755, or 16.3% of net assets.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned (unaudited)
  % of
Investments
   Value  
Basic Materials   0.4%    $289,500  
Communications   5.3     4,070,958  
Consumer, Cyclical   5.0     3,844,122  
Consumer, Non-cyclical   5.0     3,887,465  
Energy   8.4     6,459,789  
Financial   68.4     52,745,348  
Technology   6.5     4,997,884  
Utilities   0.3     245,207  
Money Market Fund   0.7     521,926  
    100.0%  $77,062,199 

 

The summary of inputs used to value the Fund’s investments as of July 31, 2016 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Floating Rate Notes*  $   $76,540,273   $   $76,540,273 
Money Market Fund   521,926            521,926 
Repurchase Agreements       1,581,814        1,581,814 
Total  $521,926   $78,122,087   $   $78,644,013 

 

* See Schedule of Investments for security type and geographic sector breakouts.

There were no transfers between levels during the period ended July 31, 2016.

 

See Notes to Schedules of Investments

 

J.P. MORGAN EM LOCAL CURRENCY BOND ETF

SCHEDULE OF INVESTMENTS

July 31, 2016 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 2.8%     
Brazil: 0.5%     
BRL 7,841,000   Banco do Brasil SA
9.75%, 07/18/17 Reg S
  $2,355,405 
 2,969,000   Banco Safra Cayman Islands Ltd.
10.88%, 04/03/17 Reg S
   897,846 
 18,181,000   Concessionaria Ecovias dos Imigrantes SA (TIPS)
5.47%, 04/15/24
   6,672,007 
         9,925,258 
Colombia: 0.5%     
COP 13,470,000,000   Empresas Publicas de Medellin ESP
8.38%, 02/01/21 Reg S
   4,145,226 
 19,450,000,000   Financiera de Desarrollo Territorial SA Findeter
7.88%, 05/12/24 (c) Reg S
   5,691,305 
         9,836,531 
Germany: 0.5%     
TRY 6,700,000   KFW
10.00%, 03/06/19
   2,267,354 
ZAR 98,300,000   Landwirtschaftliche Rentenbank
6.00%, 03/18/19 Reg S
   6,777,056 
         9,044,410 
Mexico: 0.4%     
     Petroleos Mexicanos     
MXN 28,330,000   7.19%, 09/12/24 Reg S   1,380,033 
 109,600,000   7.65%, 11/24/21 Reg S   5,694,532 
         7,074,565 
South Africa: 0.9%     
     Eskom Holdings Ltd.     
ZAR 11,350,000   7.85%, 04/02/26   730,015 
 96,000,000   9.25%, 04/20/18   7,042,057 
 77,330,000   9.50%, 08/18/27 ^   1,386,869 
     Transnet Ltd.     
 21,000,000   9.50%, 08/19/25   1,402,090 
 92,800,000   10.80%, 11/06/23   6,918,865 
 5,000,000   13.50%, 04/18/28   412,609 
         17,892,505 
Total Corporate Bonds
(Cost: $79,794,347)
   53,773,269 
GOVERNMENT OBLIGATIONS: 92.2%     
Brazil: 8.0%     
     Brazilian Government International Bonds     
BRL 2,590,000   8.50%, 01/05/24   735,158 
 4,560,000   10.25%, 01/10/28   1,410,717 
 2,860,000   12.50%, 01/05/22   950,045 
     Letra do Tesouro Nacional     
 69,050,000   12.32%, 01/01/20 ^   14,473,541 
 27,900,000   12.48%, 04/01/18 ^   7,085,222 
 16,500,000   12.91%, 10/01/17 ^   4,421,698 
 42,829,000   13.24%, 01/01/18 ^   11,169,526 
 59,840,000   13.24%, 07/01/18 ^   14,771,450 
 43,000,000   13.27%, 07/01/19 ^   9,560,503 
 99,150,000   15.14%, 01/01/19 ^   23,266,785 
     Nota do Tesouro Nacional, Series F     
 5,000,000   10.00%, 01/01/18   1,499,523 
 8,400,000   10.00%, 01/01/19   2,488,997 
 89,706,000   10.17%, 01/01/21   26,126,625 
 52,758,000   10.00%, 01/01/23   15,072,436 
 40,600,000   10.00%, 01/01/25   11,444,035 
 21,410,000   10.00%, 01/01/27   5,954,552 
         150,430,813 
Chile: 2.9%     
CLP 450,000,000   Bonos del Banco Central de Chile
4.50%, 06/01/20
   698,232 
 33,535,000,000   Chilean Government International Bonds
5.50%, 08/05/20
   54,489,814 
         55,188,046 
Colombia: 4.9%     
COP 587,000,000   Colombian Government International Bonds
7.75%, 04/14/21
   198,453 
     Colombian TES     
 35,898,000,000   7.50%, 08/26/26   11,613,406 
 31,290,000,000   7.75%, 09/18/30   10,221,965 
 8,000,000,000   Republic of Colombia
9.85%, 06/28/27
   3,129,982 
     Titulos de Tesoreria     
 22,446,700,000   5.00%, 11/21/18   7,006,259 
 32,976,700,000   6.00%, 04/28/28   9,366,435 
 25,857,200,000   7.00%, 09/11/19   8,408,843 
 37,377,200,000   7.00%, 05/04/22   12,035,755 
 49,720,800,000   10.00%, 07/24/24   18,689,893 
 33,121,700,000   11.00%, 07/24/20   12,197,007 
         92,867,998 
Hungary: 4.8%     
     Hungarian Government Bonds     
HUF 1,222,260,000   2.50%, 06/22/18   4,500,296 
 292,100,000   2.50%, 10/27/21   1,072,181 
 1,387,600,000   3.00%, 06/26/24   5,093,453 
 1,800,510,000   3.50%, 06/24/20   6,913,697 
 2,451,220,000   4.00%, 04/25/18   9,245,666 
 1,119,000,000   5.50%, 12/20/18   4,422,523 
 1,996,610,000   5.50%, 06/24/25   8,724,883 
 3,219,350,000   6.00%, 11/24/23   14,353,100 
 2,973,070,000   6.50%, 06/24/19   12,247,250 
 923,580,000   6.75%, 11/24/17   3,581,745 
 1,833,530,000   7.00%, 06/24/22   8,349,770 
 2,909,000,000   7.50%, 11/12/20   12,914,165 
         91,418,729 
Indonesia: 8.3%     
     Indonesian Treasury Bonds     
IDR 48,840,000,000   5.63%, 05/15/23   3,475,990 
 65,316,000,000   6.12%, 05/15/28   4,529,046 
 104,433,000,000   6.63%, 05/15/33   7,312,008 
 39,762,000,000   7.00%, 05/15/22   3,068,830 
 29,421,000,000   7.00%, 05/15/27   2,231,939 
 188,243,000,000   8.25%, 07/15/21   15,337,152 
 79,154,000,000   8.25%, 06/15/32   6,475,859 
 87,200,000,000   8.25%, 05/15/36   7,336,776 
 302,013,000,000   8.37%, 03/15/24   25,086,090 
 224,022,000,000   8.38%, 09/15/26   18,958,536 
 215,529,000,000   8.38%, 03/15/34   18,050,564 
 75,800,000,000   8.75%, 05/15/31   6,606,084 
 226,692,000,000   9.00%, 03/15/29   19,876,762 
 88,011,000,000   9.50%, 07/15/31   7,999,107 
 52,342,000,000   10.50%, 08/15/30   5,062,159 
 48,289,000,000   11.00%, 09/15/25   4,635,357 
         156,042,259 
Malaysia: 7.7%     
     Malaysian Government Bonds     
MYR 28,339,000   3.26%, 03/01/18   7,062,757 
 25,150,000   3.31%, 10/31/17   6,237,181 
 25,305,000   3.42%, 08/15/22   6,237,109 
 49,241,000   3.48%, 03/15/23   12,109,137 
 11,080,000   3.49%, 03/31/20   2,759,294 
 33,643,000   3.58%, 09/28/18   8,436,826 
 11,880,000   3.65%, 10/31/19   2,970,184 
 19,515,000   3.66%, 10/15/20   4,918,657 
 4,322,000   3.73%, 06/15/28   1,048,135 
 900,000   3.84%, 04/15/33   212,299 
 36,867,000   3.89%, 07/31/20   9,309,133 
 6,200,000   3.89%, 03/15/27   1,535,666 
 38,323,000   3.96%, 09/15/25   9,631,355 
 28,042,000   4.01%, 09/15/17   7,006,305 
 26,134,000   4.05%, 09/30/21   6,654,530 
 32,852,000   4.16%, 07/15/21   8,405,447 
 27,881,000   4.18%, 07/15/24   7,159,954 
 1,600,000   4.23%, 06/30/31   406,477 
 33,788,000   4.24%, 02/07/18   8,492,629 
 4,080,000   4.25%, 05/31/35   1,011,235 
 48,242,000   4.38%, 11/29/19   12,330,278 
 29,085,000   4.39%, 04/15/26   7,603,450 
 37,386,000   4.50%, 04/15/30   9,689,775 
 18,863,000   5.73%, 07/30/19   4,978,224 
         146,206,037 
Mexico: 8.6%     
     Mexican Government International Bonds     
MXN 216,321,500   4.75%, 06/14/18   11,457,180 
 499,000   5.00%, 06/15/17   26,678 
 82,238,000   5.00%, 12/11/19   4,329,476 
 230,214,000   6.50%, 06/10/21   12,747,639 
 146,880,000   6.50%, 06/09/22   8,150,338 
 167,432,300   7.50%, 06/03/27   9,975,442 
 151,150,000   7.75%, 12/14/17   8,388,868 
 225,523,000   7.75%, 05/29/31   13,778,162 
 121,221,000   7.75%, 11/23/34   7,459,982 
 254,943,800   7.75%, 11/13/42   15,949,351 
 129,505,900   8.00%, 06/11/20   7,508,304 
 103,700,000   8.00%, 12/07/23   6,267,478 
 270,759,700   8.50%, 12/13/18   15,465,430 
 95,842,000   8.50%, 05/31/29   6,185,408 
 113,863,900   8.50%, 11/18/38   7,581,813 
 374,487,200   10.00%, 12/05/24   25,481,279 
 26,901,000   10.00%, 11/20/36   2,030,854 
         162,783,682 
Peru: 2.9%     
     Peruvian Government Bonds     
PEN 22,965,000   5.20%, 09/12/23   6,811,622 
 30,763,000   5.70%, 08/12/24   9,289,628 
 20,108,000   6.90%, 08/12/37   6,484,710 
 38,051,000   6.95%, 08/12/31   12,406,963 
 26,358,000   7.84%, 08/12/20   8,626,799 
 29,590,000   8.20%, 08/12/26   10,481,671 
 30,000   8.60%, 08/12/17   9,315 
         54,110,708 
Philippines: 3.0%     
     Philippine Government International Bonds     
PHP 561,000,000   3.90%, 11/26/22   12,306,609 
 867,500,000   4.95%, 01/15/21   19,839,970 
 987,500,000   6.25%, 01/14/36   24,596,464 
         56,743,043 
Poland: 9.3%     
     Polish Government Bonds     
PLN 71,926,000   1.50%, 04/25/20   18,147,493 
 14,800,000   1.75%, 07/25/21   3,713,854 
 60,600,000   2.00%, 04/25/21   15,443,323 
 65,177,000   2.50%, 07/25/18   17,026,341 
 54,025,000   2.50%, 07/25/26   13,448,327 
 51,049,000   3.25%, 07/25/19   13,651,276 
 67,912,000   3.25%, 07/25/25   18,057,844 
 34,314,000   3.75%, 04/25/18   9,139,241 
 43,073,000   4.00%, 10/25/23   12,084,216 
 50,179,000   5.25%, 10/25/17   13,462,684 
 47,085,000   5.25%, 10/25/20   13,635,913 
 27,941,000   5.50%, 10/25/19   7,991,370 
 37,845,000   5.75%, 10/25/21   11,355,443 
 26,566,000   5.75%, 09/23/22   8,117,192 
         175,274,517 
Romania: 3.1%     
     Romanian Government Bonds     
RON 17,325,000   2.50%, 04/29/19   4,466,423 
 25,290,000   3.25%, 01/17/18   6,581,759 
 28,530,000   4.75%, 06/24/19 †   7,791,312 
 27,805,000   4.75%, 02/24/25   7,805,782 
 22,870,000   5.60%, 11/28/18   6,327,542 
 31,800,000   5.75%, 04/29/20   9,071,763 
 25,050,000   5.85%, 04/26/23   7,486,050 
 29,120,000   5.95%, 06/11/21   8,348,288 
          57,878,919 
Russia: 4.6%  
     Russian Federal Bonds     
RUB 259,796,000   6.20%, 01/31/18   3,772,719 
 403,140,000   6.40%, 05/27/20   5,685,657 
 501,768,000   6.70%, 05/15/19   7,219,896 
 481,590,000   6.80%, 12/11/19   6,888,820 
 450,509,000   7.00%, 01/25/23   6,369,374 
 628,553,000   7.00%, 08/16/23   8,860,481 
 758,872,000   7.05%, 01/19/28   10,467,141 
 587,301,000   7.50%, 03/15/18   8,703,503 
 249,699,000   7.50%, 02/27/19   3,660,414 
 34,062,000   7.50%, 08/18/21   495,312 
 422,250,000   7.60%, 04/14/21   6,163,735 
 498,055,000   7.60%, 07/20/22   7,241,701 
 5,000,000   7.85%, 03/10/18 Reg S   74,237 
 703,861,000   8.15%, 02/03/27   10,554,659 
         86,157,649 
South Africa: 5.3%     
     South African Government Bonds     
ZAR 213,362,000   6.25%, 03/31/36   11,255,473 
 134,502,000   6.50%, 02/28/41   7,045,002 
 346,305,000   7.00%, 02/28/31   20,893,960 
 9,890,000   7.25%, 01/15/20   699,177 
 7,378,000   7.75%, 02/28/23   516,867 
 47,940,000   8.00%, 01/31/30   3,186,386 
 40,371,000   8.25%, 03/31/32   2,694,129 
 163,310,000   8.50%, 01/31/37   10,924,123 
 154,000,000   8.75%, 01/31/44   10,359,524 
 271,800,000   8.75%, 02/28/48   18,235,265 
 179,822,000   10.50%, 12/21/26   14,612,240 
 267   13.50%, 09/15/16   19 
         100,422,165 
Supranational: 7.1%     
TRY 2,225,000   African Development Bank
4.55%, 12/21/17
   692,743 
     European Bank for Reconstruction & Development     
IDR 147,100,000,000   7.38%, 04/15/19   11,311,152 
TRY 6,805,000   8.00%, 10/11/18   2,215,565 
IDR 3,500,000,000   9.25%, 12/02/20   289,971 
     European Investment Bank     
MXN 55,900,000   4.00%, 02/25/20 Reg S   2,886,480 
PLN 23,850,000   4.25%, 10/25/22   6,939,242 
IDR 32,200,000,000   5.20%, 03/01/22 Reg S   2,284,053 
TRY 970,000   5.25%, 09/03/18 Reg S   300,258 
IDR 20,100,000,000   6.95%, 02/06/20 Reg S   1,538,977 
 29,900,000,000   7.20%, 07/09/19 Reg S   2,248,007 
ZAR 51,640,000   7.50%, 01/30/19   3,681,366 
 94,500,000   7.50%, 09/10/20 Reg S   6,681,395 
 165,470,000   8.13%, 12/21/26   11,665,856 
TRY 36,991,000   8.50%, 07/25/19   12,112,522 
 18,600,000   8.75%, 09/18/21 Reg S   6,092,731 
ZAR 22,890,000   9.00%, 12/21/18 Reg S   1,683,025 
BRL 24,600,000   9.24%, 08/27/21 ^   5,025,937 
 12,370,000   9.51%, 10/22/19 ^   2,836,061 
     Inter-American Development Bank     
IDR 30,500,000,000   7.00%, 02/04/19   2,290,766 
 32,900,000,000   7.25%, 07/17/17   2,511,889 
 24,680,000,000   7.88%, 03/14/23   1,900,734 
BRL 26,450,000   10.25%, 05/18/18   8,141,861 
     International Bank for Reconstruction & Development     
PLN 14,000,000   1.13%, 08/07/17 Reg S   3,600,354 
MXN 131,600,000   4.00%, 08/16/18   6,907,740 
 105,588,000   7.50%, 03/05/20   6,063,628 
TRY 22,150,000   9.63%, 07/13/18   7,481,732 
RUB 170,000,000   10.30%, 03/05/19   2,725,495 
     International Finance Corp.     
BRL 4,350,000   10.00%, 06/12/17   1,331,888 
 32,410,000   10.50%, 04/17/18   10,083,757 
         133,525,185 
Thailand: 6.6%     
     Thailand Government Bonds     
THB 316,608,000   2.55%, 06/26/20   9,418,529 
 118,178,000   2.80%, 10/10/17   3,444,229 
 127,090,000   3.45%, 03/08/19   3,826,186 
 157,168,000   3.58%, 12/17/27   5,130,937 
 469,501,000   3.63%, 06/16/23   14,981,274 
 695,025,000   3.65%, 12/17/21   21,965,723 
 424,905,000   3.85%, 12/12/25   14,066,271 
 786,620,000   3.88%, 06/13/19   24,072,672 
 824,000   4.75%, 12/20/24   28,637 
 512,467,000   4.88%, 06/22/29   18,969,563 
 286,538,000   5.13%, 03/13/18   8,703,178 
         124,607,199 
Turkey: 5.1%     
     Turkish Government Bonds     
TRY 6,035,000   6.30%, 02/14/18   1,950,681 
 32,840,000   7.10%, 03/08/23   9,708,730 
 15,725,000   7.40%, 02/05/20   4,980,210 
 40,524,000   8.00%, 03/12/25   12,353,101 
 2,050,000   8.30%, 06/20/18   680,100 
 33,130,000   8.50%, 09/14/22   10,592,204 
 7,150,000   8.80%, 11/14/18   2,380,424 
 30,840,000   8.80%, 09/27/23   9,942,565 
 45,280,000   9.00%, 07/24/24   14,734,342 
 19,382,000   9.40%, 07/08/20   6,507,877 
 11,748,000   9.50%, 01/12/22   3,930,864 
 11,350,000   10.40%, 03/20/24   3,981,790 
 29,860,000   10.50%, 01/15/20   10,410,531 
 12,160,000   10.70%, 02/17/21   4,260,516 
         96,413,935 
Total Government Obligations
(Cost: $1,824,331,840)
   1,740,070,884 

 

Number
of Shares
         
MONEY MARKET FUND: 0.1%
(Cost: $1,548,645)
     
 1,548,645   Dreyfus Government Cash Management Fund   1,548,645 
Total Investments Before Collateral for Securities Loaned: 95.1%
(Cost: $1,905,674,832)
   1,795,392,798 
      
Principal
Amount
         
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES LOANED: 0.1%     
Repurchase Agreements: 0.1%     
USD 1,000,000   Repurchase agreement dated 7/29/16 with Daiwa Capital Markets America, Inc., 0.40%, due 8/1/16, proceeds $1,000,033; (collateralized by cash in the amount of $1,805 and various U.S. government and agency obligations, 0.00% to 8.13%, due 8/10/16 to 9/9/49, valued at $1,017,043 including accrued interest)   1,000,000 
 844,365   Repurchase agreement dated 7/29/16 with Nomura Securities Int., Inc., 0.36%, due 8/1/16, proceeds $844,390; (collateralized by various U.S. government and agency obligations, 0.00% to 8.50%, due 8/25/16 to 5/20/66, valued at $858,520 including accrued interest)   844,365 
Total Short-Term Investments Held As Collateral For Securities Loaned
(Cost: $1,844,365)
   1,844,365 
Total Investments: 95.2%
(Cost: $1,907,519,197)
   1,797,237,163 
Other assets less liabilities: 4.8%   90,452,886 
NET ASSETS: 100.0%  $1,887,690,049 

 

BRL Brazilian Real
CLP Chilean Peso
COP Colombian Peso
HUF Hungarian Forint
IDR Indonesian Rupiah
MXN Mexican Peso
MYR Malaysian Ringgit
PEN Peruvian Nuevo Sol
PHP Philippine Peso
PLN Polish Zloty
RON Romanian Leu
RUB Russian Ruble
THB Thai Baht
TRY Turkish Lira
USD United States Dollar
ZAR South African Rand
(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
^ Zero Coupon Bond - the rate shown is the effective yield at purchase date
Security fully or partially on loan. Total market value of securities on loan is $1,775,097.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
TIPS Treasury Inflation Protected Securities

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned (unaudited)
  % of
Investments
  Value 
Consumer, Non-cyclical   0.4%  $6,672,007 
Energy   0.4    7,074,565 
Financial   1.0    17,988,966 
Government   96.9    1,740,070,884 
Industrial   0.5    8,733,564 
Utilities   0.7    13,304,167 
Money Market Fund   0.1    1,548,645 
    100.0%  $1,795,392,798 

 

The summary of inputs used to value the Fund’s investments as of July 31, 2016 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Corporate Bonds*  $   $53,773,269   $   $53,773,269 
Government Obligations*       1,740,070,884        1,740,070,884 
Money Market Fund   1,548,645            1,548,645 
Repurchase Agreements       1,844,365        1,844,365 
Total  $1,548,645   $1,795,688,518   $   $1,797,237,163 

 

* See Schedule of Investments for security type and geographic sector breakouts.

There were no transfers between levels during the period ended July 31, 2016.

 

See Notes to Schedules of Investments

 

MORTGAGE REIT INCOME ETF

SCHEDULE OF INVESTMENTS

July 31, 2016 (unaudited)

 

Number
 of Shares
      Value 
REAL ESTATE INVESTMENT TRUSTS: 99.8%    
United States: 99.8%    
 511,084   American Capital Agency Corp.  $10,012,136 
 126,343   American Capital Mortgage Investment Corp.   2,066,971 
 1,572,457   Annaly Capital Management, Inc.   17,265,578 
 344,164   Anworth Mortgage Asset Corp.   1,693,287 
 200,416   Apollo Commercial Real Estate Finance, Inc.   3,256,760 
 130,923   ARMOUR Residential REIT, Inc. †   2,786,041 
 187,926   Blackstone Mortgage Trust, Inc.   5,451,733 
 309,745   Capstead Mortgage Corp.   3,081,963 
 346,102   Chimera Investment Corp.   5,807,592 
 264,658   Colony Financial, Inc.   4,705,619 
 547,208   CYS Investments, Inc.   4,897,512 
 125,743   Hannon Armstrong Sustainable Infrastructure Capital, Inc.   2,827,960 
 279,632   Invesco Mortgage Capital, Inc.   4,026,701 
 182,582   iStar Financial, Inc. * †   1,891,549 
 139,579   Ladder Capital Corp.   1,822,902 
 664,004   MFA Financial, Inc.   4,993,310 
 388,054   New Residential Investment Corp.   5,304,698 
 427,563   New York Mortgage Trust, Inc. †   2,796,262 
 250,553   PennyMac Mortgage Investment Trust   4,066,475 
 140,578   Redwood Trust, Inc.   2,006,048 
 96,739   Resource Capital Corp. †   1,316,618 
 341,061   Starwood Property Trust, Inc.   7,435,130 
 628,322   Two Harbors Investment Corp.   5,497,817 
 163,819   Western Asset Mortgage Capital Corp.   1,611,979 

Total Real Estate Investment Trusts

(Cost: $114,139,738)

 106,622,641 
MONEY MARKET FUND: 0.8%
(Cost: $922,551)
   
 922,551   Dreyfus Government Cash Management Fund   922,551 
Total Investments Before Collateral for Securities Loaned: 100.6%
(Cost: $115,062,289)
 107,545,192 
          
Principal
Amount
         
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES LOANED: 5.4%    
Repurchase Agreements: 5.4%    
$1,363,149   Repurchase agreement dated 7/29/16 with Citigroup Global Markets, Inc., 0.35%, due 8/1/16, proceeds $1,363,189; (collateralized by various U.S. government and agency obligations, 2.00% to 7.65%, due 6/1/18 to 8/1/46, valued at $1,386,534 including accrued interest)   1,363,149 
 1,363,149   Repurchase agreement dated 7/29/16 with Daiwa Capital Markets America, Inc., 0.40%, due 8/1/16, proceeds $1,363,194; (collateralized by cash in the amount of $2,460 and various U.S. government and agency obligations, 0.00% to 8.13%, due 8/10/16 to 9/9/49, valued at $1,386,381 including accrued interest)   1,363,149 
 1,363,149   Repurchase agreement dated 7/29/16 with HSBC Securities USA, Inc., 0.33%, due 8/1/16, proceeds $1,363,186; (collateralized by various U.S. government and agency obligations, 2.00% to 6.00%, due 4/1/25 to 8/1/48, valued at $1,387,056 including accrued interest)   1,363,149 
 286,926   Repurchase agreement dated 7/29/16 with Merrill Lynch, Pierce, Fenner & Smith, Inc., 0.35%, due 8/1/16, proceeds $286,934; (collateralized by various U.S. government and agency obligations, 2.00% to 7.00%, due 2/15/17 to 5/20/66, valued at $291,824 including accrued interest)   286,926 
 1,363,149   Repurchase agreement dated 7/29/16 with Nomura Securities Int., Inc., 0.36%, due 8/1/16, proceeds $1,363,190; (collateralized by various U.S. government and agency obligations, 0.00% to 8.50%, due 8/25/16 to 5/20/66, valued at $1,386,000 including accrued interest)   1,363,149 

Total Short-Term Investments Held as Collateral for Securities Loaned

(Cost: $5,739,522)

 5,739,522 

Total Investments: 106.0%

(Cost: $120,801,811)

 113,284,714 
Liabilities in excess of other assets: (6.0)%  (6,444,036)
NET ASSETS: 100.0% $106,840,678 

 

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $5,602,477.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned (unaudited)
  % of
Investments
  Value 
Financials   99.1%  $106,622,641 
Money Market Fund   0.9    922,551 
    100.0%  $107,545,192 

 

The summary of inputs used to value the Fund’s investments as of July 31, 2016 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Real Estate Investment Trusts*  $106,622,641   $   $   $106,622,641 
Money Market Fund   922,551            922,551 
Repurchase Agreements       5,739,522        5,739,522 
Total  $107,545,192   $5,739,522   $   $113,284,714 

 

* See Schedule of Investments for security type and geographic sector breakouts.

There were no transfers between levels during the period ended July 31, 2016.

 

See Notes to Schedules of Investments

 

PREFERRED SECURITIES EX FINANCIALS ETF

SCHEDULE OF INVESTMENTS

July 31, 2016 (unaudited)

 

Number
of Shares
      Value 
PREFERRED SECURITIES: 100.0%    
Basic Materials: 1.6%    
$187,312   Alcoa, Inc.
5.38%, 10/01/17 †
  $6,780,694 
Communications: 21.1%    
 86,164   Comcast Corp.
5.00%, 12/15/17 (c) †
   2,325,566 
 144,230   Frontier Communications Corp.
11.13%, 06/29/18
   14,261,462 
     General Electric Co.     
 219,418   4.70%, 05/16/18 (c)   5,834,325 
 247,252   4.88%, 10/15/17 (c)   6,512,618 
 189,560   4.88%, 01/29/18 (c)   5,017,653 
     Qwest Corp.     
 232,267   6.13%, 06/01/18 (c) †   5,976,230 
 122,877   6.63%, 09/15/20 (c)   3,210,776 
 149,850   6.88%, 10/01/19 (c)   4,003,992 
 157,342   7.00%, 04/01/17 (c) †   4,111,346 
 119,880   7.00%, 07/01/17 (c)   3,168,428 
 198,176   7.38%, 08/29/16 (c)   5,124,831 
 172,327   7.50%, 09/15/16 (c) †   4,416,741 
 89,910   Telephone & Data Systems, Inc.
7.00%, 08/29/16 (c)
   2,294,503 
 149,850   T-Mobile US, Inc.
5.50%, 12/15/17
   11,698,789 
     United States Cellular Corp.     
 102,497   6.95%, 08/29/16 (c)   2,666,972 
 82,417   7.25%, 12/08/19 (c) †   2,253,281 
 89,910   7.25%, 12/01/20 (c)   2,386,211 
 149,850   Verizon Communications, Inc.
5.90%, 02/15/19 (c)
   4,168,827 
         89,432,551 
Consumer, Non-cyclical: 8.7%    
 187,312   Anthem, Inc.
5.25%, 05/01/18
   8,329,765 
     CHS, Inc.     
 147,602   6.75%, 09/30/24 (c)   4,317,359 
 125,874   7.10%, 03/31/24 (c) †   3,816,500 
 155,094   7.50%, 01/21/25 (c)   4,707,103 
 135,399   7.88%, 09/26/23 (c)   4,120,192 
 91,948   8.00%, 07/18/23 (c)   3,038,881 
 103,478   Tyson Foods, Inc.
4.75%, 07/15/17
   8,331,014 
         36,660,814 
Energy: 8.2%    
 239,760   Kinder Morgan, Inc.
9.75%, 10/26/18
   11,700,288 
     NextEra Energy, Inc.     
 74,925   5.80%, 09/01/16   4,913,582 
 104,895   6.37%, 09/01/18 †   6,547,546 
 120,629   NuStar Logistics LP
7.63%, 01/15/18 (c)
   3,070,008 
 258,491   Southwestern Energy Co.
6.25%, 01/15/18
   8,620,675 
         34,852,099 
Government: 0.5%    
 81,940   Tennessee Valley Authority
3.55%, 06/01/17 (p)
   2,150,925 
Industrial: 3.4%    
 86,164   Hess Corp.
8.00%, 02/01/19
   5,679,931 
 103,396   Seaspan Corp.
6.38%, 04/30/19
   2,606,613 
 224,775   Stanley Black & Decker, Inc.
5.75%, 07/25/17 (c)
   5,929,564 
         14,216,108 
Real Estate Investment Trusts: 30.4%    
 77,547   American Homes 4 Rent
6.50%, 05/24/21 (c)
   2,063,526 
 103,022   American Tower Corp.
5.50%, 02/15/18
   11,399,384 
     Annaly Capital Management, Inc.     
 137,862   7.50%, 09/13/17 (c)   3,602,334 
 89,910   7.63%, 05/16/17 (c)   2,332,265 
 86,164   7.63%, 08/27/17 (c)   2,234,233 
 135,989   CBL & Associates Properties, Inc.
7.38%, 08/29/16 (c)
   3,388,846 
     Colony Capital, Inc.     
 86,164   7.13%, 04/13/20 (c)   2,128,251 
 75,524   8.50%, 03/20/17 (c) †   1,969,666 
     Digital Realty Trust, Inc.     
 74,925   5.88%, 04/09/18 (c) †   1,960,787 
 74,925   6.35%, 08/24/20 (c)   2,070,927 
 86,164   7.00%, 09/15/16 (c) †   2,194,597 
 109,390   7.38%, 03/26/19 (c)   3,128,554 
 96,354   FelCor Lodging Trust, Inc.
1.95%, 12/31/49
   2,418,485 
 74,925   General Growth Properties, Inc.
6.38%, 02/13/18 (c)
   1,985,513 
 92,907   Government Properties Income Trust
5.88%, 05/26/21 (c)
   2,373,774 
 86,913   Hospitality Properties Trust
7.13%, 01/15/17 (c)
   2,291,027 
 119,880   Kimco Realty Corp.
6.00%, 03/20/17 (c)
   3,118,079 
     National Retail Properties, Inc.     
 86,164   5.70%, 05/30/18 (c)   2,285,069 
 86,164   6.63%, 02/23/17 (c)   2,240,264 
     NorthStar Realty Finance Corp.     
 104,887   8.25%, 08/29/16 (c)   2,644,201 
 74,925   8.75%, 05/15/19 (c)   1,904,594 
 104,895   PS Business Parks, Inc.
6.00%, 05/14/17 (c)
   2,735,662 
     Public Storage     
 97,402   4.95%, 07/20/21 (c)   2,444,790 
 149,850   5.20%, 01/16/18 (c)   3,909,587 
 148,351   5.38%, 09/20/17 (c)   3,898,664 
 89,910   5.40%, 01/20/21 (c)   2,408,689 
 86,164   5.63%, 06/15/17 (c)   2,264,390 
 138,611   5.75%, 03/13/17 (c)   3,638,539 
 137,862   5.90%, 01/12/17 (c)   3,543,053 
 86,164   6.00%, 06/04/19 (c)   2,441,026 
 85,414   6.38%, 03/17/19 (c)   2,413,800 
 122,502   Realty Income Corp.
6.63%, 02/15/17 (c) †
   3,226,703 
 74,925   Regency Centers Corp.
6.63%, 02/16/17 (c)
   1,942,056 
     Senior Housing Properties Trust     
 104,895   5.63%, 08/01/17 (c)   2,691,606 
 74,925   6.25%, 02/18/21 (c)   1,978,020 
 77,547   Ventas Realty LP
5.45%, 03/07/18 (c)
   2,113,156 
 320,934   VEREIT, Inc.
6.70%, 01/03/19 (c) †
   8,671,637 
     Vornado Realty Trust     
 89,910   5.40%, 01/25/18 (c) †   2,339,458 
 89,910   5.70%, 07/18/17 (c)   2,335,862 
 80,919   6.63%, 08/29/16 (c)   2,083,664 
 82,417   Wells Fargo Real Estate Investment Corp.
6.38%, 12/11/19 (c)
   2,292,017 
     Welltower, Inc.     
 86,164   6.50%, 03/07/17 (c)   2,287,654 
 107,704   6.50%, 12/31/49   7,566,206 
         128,960,615 
Reinsurance: 4.1%    
 82,417   Aspen Insurance Holdings Ltd.
5.95%, 07/01/23 (c)
   2,385,148 
 119,880   Axis Capital Holdings Ltd.
6.88%, 04/15/17 (c)
   3,162,434 
 88,065   PartnerRe Ltd.
7.25%, 04/29/21 (c)
   2,685,102 
     Reinsurance Group of America, Inc.     
 119,880   5.75%, 06/15/26 (c)   3,209,188 
 119,880   6.20%, 09/15/22 (c)   3,673,123 
 82,417   RenaissanceRe Holdings Ltd.
5.38%, 06/01/18 (c) †
   2,163,446 
         17,278,441 
Technology: 0.8%    
 127,372   Pitney Bowes, Inc.
6.70%, 03/07/18 (c)
   3,469,613 
Utilities: 21.2%    
 77,547   AES Trust III
6.75%, 08/29/16 (c) †
   3,983,589 
 74,925   BGE Capital Trust II
6.20%, 08/29/16 (c)
   1,978,769 
     Dominion Resources, Inc.     
 239,760   5.25%, 07/30/21 (c)   6,135,458 
 149,850   6.38%, 07/01/17   7,813,179 
     DTE Energy Co.     
 89,910   5.38%, 06/01/21 (c)   2,313,384 
 83,916   6.50%, 12/01/16 (c)   2,190,208 
 149,850   Duke Energy Corp.
5.13%, 01/15/18 (c)
   3,971,025 
 224,775   eBay, Inc.
6.00%, 03/01/21 (c) †
   6,019,474 
 172,327   Exelon Corp.
6.50%, 06/01/17
   8,624,966 
 89,910   FPL Group Capital Trust I
5.88%, 08/29/16 (c) †
   2,402,395 
     NextEra Energy Capital Holdings, Inc.     
 134,865   5.00%, 01/15/18 (c)   3,448,498 
 149,850   5.13%, 11/15/17 (c)   3,894,602 
 170,829   5.25%, 06/01/21 (c)   4,344,181 
 104,895   5.63%, 06/15/17 (c)   2,726,221 
 119,880   5.70%, 03/01/17 (c)   3,158,838 
 134,865   PPL Capital Funding, Inc.
5.90%, 04/30/18 (c)
   3,610,336 
 142,357   SCE Trust I
5.63%, 06/15/17 (c)
   3,745,413 
 119,880   SCE Trust II
5.10%, 03/15/18 (c)
   3,155,242 
 82,417   SCE Trust III
5.75%, 03/15/24 (c)
   2,494,763 
 97,402   SCE Trust IV
5.38%, 09/15/25 (c)
   2,887,969 
 89,910   SCE Trust V
5.45%, 03/15/26 (c)
   2,594,803 
 299,699   Southern Co.
6.25%, 10/15/20 (c)
   8,391,572 
         89,884,885 
Total Preferred Securities
(Cost: $408,085,240)
 423,686,745 
     
Principal
Amount
         
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES LOANED: 3.6%    
Repurchase Agreements: 3.6%    
$3,639,156   Repurchase agreement dated 7/29/16 with Citigroup Global Markets, Inc., 0.35%, due 8/1/16, proceeds $3,639,262; (collateralized by various U.S. government and agency obligations, 2.00% to 7.65%, due 6/1/18 to 8/1/46, valued at $3,701,587 including accrued interest)   3,639,156 
 3,639,156   Repurchase agreement dated 7/29/16 with Daiwa Capital Markets America, Inc., 0.40%, due 8/1/16, proceeds $3,639,277; (collateralized by cash in the amount of $6,567 and various U.S. government and agency obligations, 0.00% to 8.13%, due 8/10/16 to 9/9/49, valued at $3,701,179 including accrued interest)   3,639,156 
 3,639,156   Repurchase agreement dated 7/29/16 with HSBC Securities USA, Inc., 0.33%, due 8/1/16, proceeds $3,639,256; (collateralized by various U.S. government and agency obligations, 2.00% to 6.00%, due 4/1/25 to 8/1/48, valued at $3,702,979 including accrued interest)   3,639,156 
 765,996   Repurchase agreement dated 7/29/16 with Merrill Lynch, Pierce, Fenner & Smith, Inc., 0.35%, due 8/1/16, proceeds $766,018; (collateralized by various U.S. government and agency obligations, 2.00% to 7.00%, due 2/15/17 to 5/20/66, valued at $779,073 including accrued interest)   765,996 
 3,639,156   Repurchase agreement dated 7/29/16 with Nomura Securities Int., Inc., 0.36%, due 8/1/16, proceeds $3,639,265; (collateralized by various U.S. government and agency obligations, 0.00% to 8.50%, due 8/25/16 to 5/20/66, valued at $3,700,162 including accrued interest)   3,639,156 

Total Short-Term Investments Held As Collateral For Securities Loaned

(Cost: $15,322,620)

 15,322,620 

Total Investments: 103.6%

(Cost: $423,407,860)

 439,009,365 
Liabilities in excess of other assets: (3.6)%  (15,430,667)
NET ASSETS: 100.0% $423,578,698 
           
(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
(p) Puttable Security - the redemption date shown is when the security may be redeemed by the investor
Security fully or partially on loan. Total market value of securities on loan is $14,847,556.
   
Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned (unaudited)
  % of
Investments
  Value 
Basic Materials   1.6%  $6,780,694 
Communications   21.1    89,432,551 
Consumer, Non-cyclical   8.7    36,660,814 
Energy   8.2    34,852,099 
Government   0.5    2,150,925 
Industrial   3.4    14,216,108 
Real Estate Investment Trusts   30.4    128,960,615 
Reinsurance   4.1    17,278,441 
Technology   0.8    3,469,613 
Utilities   21.2    89,884,885 
    100.0%  $423,686,745 

 

The summary of inputs used to value the Fund’s investments as of July 31, 2016 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Preferred Securities*  $423,686,745   $   $   $423,686,745 
Repurchase Agreements       15,322,620        15,322,620 
Total  $423,686,745   $15,322,620   $   $439,009,365 

 

* See Schedule of Investments for security type and industry sector breakouts.

There were no transfers between levels during the period ended July 31, 2016.

 

See Notes to Schedules of Investments

 

TREASURY-HEDGED HIGH YIELD BOND ETF

SCHEDULE OF INVESTMENTS

July 31, 2016 (unaudited)

 

Principal
 Amount
      Value 
CORPORATE BONDS: 97.9%     
Basic Materials: 4.8%     
     Alcoa, Inc.     
$40,000   5.13%, 07/01/24 (c) †  $42,250 
 34,000   5.90%, 02/01/27   36,584 
 17,000   Ashland, Inc.
4.75%, 05/15/22 (c)
   17,701 
 20,000   Blue Cube Spinco, Inc.
9.75%, 10/15/20 (c) 144A
   22,950 
     Freeport-McMoRan, Inc.     
 50,000   3.88%, 12/15/22 (c)   43,252 
 50,000   5.40%, 05/14/34 (c)   39,000 
 17,000   Hexion US Finance Corp.
6.63%, 08/29/16 (c)
   14,450 
         216,187 
Communications: 24.9%     
 17,000   Alcatel-Lucent USA, Inc.
6.45%, 03/15/29
   18,148 
 40,000   Avaya, Inc.
10.50%, 03/01/17 (c) 144A
   11,000 
 27,000   Cablevision Systems Corp.
8.63%, 09/15/17
   28,721 
     CCO Holdings LLC     
 40,000   5.50%, 05/01/21 (c) 144A   41,850 
 27,000   5.75%, 07/15/18 (c)   28,553 
 67,000   CenturyLink, Inc.
5.80%, 03/15/22
   68,759 
 27,000   Cequel Communications Holdings I LLC
6.38%, 08/29/16 (c) 144A
   27,945 
 27,000   Clear Channel Worldwide Holdings, Inc.
6.50%, 11/15/17 (c)
   28,080 
 100,000   DISH DBS Corp.
5.88%, 07/15/22
   100,188 
 27,000   Equinix, Inc.
5.38%, 04/01/18 (c)
   28,359 
     Frontier Communications Corp.     
 34,000   8.25%, 04/15/17   35,658 
 34,000   8.50%, 04/15/20   36,711 
 40,000   Gannett Co, Inc.
6.38%, 10/15/18 (c)
   43,150 
 30,000   Hughes Satellite Systems Corp.
6.50%, 06/15/19
   32,700 
 27,000   iHeartCommunications, Inc.
9.00%, 08/29/16 (c)
   21,828 
 54,000   Level 3 Financing, Inc.
5.38%, 08/15/17 (c)
   56,902 
 50,000   Neptune Finco Corp.
10.88%, 10/15/20 (c) 144A
   58,625 
 34,000   Netflix, Inc.
5.88%, 02/15/25 †
   36,550 
 34,000   Nielsen Finance LLC
4.50%, 10/01/16 (c)
   34,978 
 27,000   Sirius XM Radio, Inc.
4.63%, 05/15/18 (c) 144A
   27,101 
     Sprint Corp.     
 67,000   7.88%, 09/15/23   61,515 
 67,000   8.38%, 08/15/17   69,596 
 47,000   9.13%, 03/01/17   48,586 
     T-Mobile USA, Inc.     
 50,000   6.25%, 04/01/17 (c)   52,500 
 67,000   6.63%, 04/01/18 (c)   72,162 
 9,000   Univision Communications, Inc.
8.50%, 08/29/16 (c) 144A
   9,448 
 50,000   Windstream Services LLC
7.75%, 10/01/16 (c) †
   47,750 
         1,127,363 
Consumer, Cyclical: 9.6%     
 30,000   Caesars Entertainment Resort Properties LLC
11.00%, 10/01/16 (c)
   30,750 
 34,000   Dollar Tree, Inc.
5.75%, 03/01/18 (c) 144A
   36,890 
 40,000   GLP Capital LP
4.88%, 08/01/20 (c)
   42,505 
 20,000   Hanesbrands, Inc.
4.88%, 02/15/26 (c) 144A
   20,550 
 40,000   HD Supply, Inc.
7.50%, 10/15/16 (c)
   41,850 
 30,000   Lennar Corp.
4.50%, 08/15/19 (c)
   31,688 
 27,000   Ltd Brands, Inc.
6.63%, 04/01/21
   31,118 
 50,000   MGM Resorts International
6.63%, 12/15/21
   55,594 
 17,000   Rite Aid Corp.
6.75%, 08/29/16 (c)
   17,909 
 50,000   Scientific Games International, Inc.
7.00%, 01/01/18 (c) 144A
   52,250 
 34,000   Wynn Las Vegas LLC
4.25%, 02/28/23 (c) 144A
   32,598 
 40,000   ZF North America Capital, Inc.
4.75%, 04/29/25 144A
   41,950 
         435,652 
Consumer, Non-cyclical: 16.9%     
 47,000   ADT Corp.
3.50%, 07/15/22 †
   44,356 
 20,000   Centene Corp.
5.63%, 02/15/18 (c)
   21,175 
 40,000   CHS
6.88%, 02/01/18 (c)
   34,600 
 40,000   Community Health Systems, Inc.
8.00%, 08/29/16 (c) †
   38,650 
 34,000   Constellation Brands, Inc.
4.25%, 05/01/23
   36,210 
 50,000   DaVita HealthCare Partners, Inc.
5.00%, 05/01/20 (c)
   50,687 
 27,000   Fresenius Medical Care US Finance II, Inc.
5.63%, 07/31/19 144A
   29,801 
 110,000   HCA, Inc.
6.50%, 02/15/20
   121,412 
 14,000   JBS USA LLC
8.25%, 08/29/16 (c) 144A
   14,595 
 40,000   Kinetic Concepts, Inc.
10.50%, 08/29/16 (c)
   41,050 
 17,000   Post Holdings, Inc.
6.75%, 12/01/17 (c) 144A
   18,190 
 20,000   Prime Security Services Borrower LLC / Prime Finance, Inc.
9.25%, 05/15/19 (c) 144A
   21,400 
 74,000   Reynolds Group Issuer, Inc.
5.75%, 08/29/16 (c)
   76,590 
 34,000   Spectrum Brands, Inc.
5.75%, 07/15/20 (c)
   36,975 
 67,000   Tenet Healthcare Corp.
4.75%, 06/01/20
   68,424 
 27,000   The Hertz Corp.
7.38%, 08/29/16 (c) †
   28,080 
 54,000   United Rentals North America, Inc.
7.63%, 04/15/17 (c)
   57,952 
 27,000   Valeant Pharmaceuticals International
6.38%, 10/15/16 (c) 144A
   24,503 
         764,650 
Energy: 11.2%     
 40,000   Antero Resources Corp.
5.13%, 06/01/17 (c)
   37,500 
     California Resources Corp.     
 27,000   6.00%, 08/15/24 (c)   11,745 
 40,000   8.00%, 12/15/18 (c) 144A   25,808 
 24,000   Chesapeake Energy Corp.
8.00%, 12/15/18 (c) † 144A
   20,910 
 25,000   Citgo Holding, Inc.
10.75%, 02/15/20 144A
   24,734 
 34,000   Concho Resources, Inc.
5.50%, 10/01/17 (c)
   33,745 
 20,000   CONSOL Energy, Inc.
5.88%, 04/15/17 (c)
   18,350 
 30,000   Continental Resources, Inc.
4.50%, 01/15/23 (c)
   27,300 
 34,000   Denbury Resources, Inc.
5.50%, 05/01/17 (c)
   21,760 
 20,000   Energy Transfer Equity LP
7.50%, 10/15/20
   21,650 
 40,000   EP Energy LLC
9.38%, 08/29/16 (c)
   23,000 
 34,000   Halcon Resources Corp.
8.88%, 11/15/16 (c)
   7,650 
 20,000   Newfield Exploration Co.
5.63%, 07/01/24
   19,850 
 17,000   NGPL Pipeco LLC
7.12%, 12/15/17 144A
   17,893 
 34,000   QEP Resources, Inc.
6.88%, 03/01/21
   34,340 
 20,000   Range Resources Corp.
5.00%, 02/15/17 (c) †
   18,450 
 14,000   Rockies Express Pipeline
6.88%, 04/15/40 144A
   13,860 
 51,000   Sabine Pass Liquefaction LLC
5.63%, 11/01/20 (c)
   52,912 
 20,000   Targa Resources Partners LP
5.25%, 11/01/17 (c)
   19,650 
 40,000   Tesoro Logistics LP
6.13%, 10/15/16 (c)
   41,754 
 17,000   Whiting Petroleum Corp.
5.00%, 12/15/18 (c)
   14,918 
         507,779 
Financial: 17.2%     
 94,000   Ally Financial, Inc.
8.00%, 11/01/31
   114,915 
     Bank of America Corp.     
 34,000   5.20%, 06/01/23 (c)   33,448 
 77,000   8.00%, 01/30/18 (c)   78,338 
     CIT Group, Inc.     
 44,000   4.25%, 08/15/17   44,957 
 51,000   5.50%, 02/15/19 144A   54,187 
 90,000   Citigroup, Inc.
6.30%, 05/15/24 (c)
   92,362 
 34,000   Genworth Financial, Inc.
6.15%, 11/15/16 (c)
   11,220 
 40,000   Goldman Sachs Group, Inc.
5.38%, 05/10/20 (c)
   40,662 
 34,000   Icahn Enterprises LP
6.00%, 02/01/17 (c)
   34,085 
 40,000   International Lease Finance Corp.
6.25%, 05/15/19
   43,950 
 40,000   Morgan Stanley
5.55%, 07/15/20 (c)
   40,550 
     Navient Corp.     
 34,000   5.50%, 01/25/23 †   31,663 
 54,000   5.88%, 03/25/21   53,662 
 34,000   8.45%, 06/15/18   37,017 
 30,000   Springleaf Finance Corp.
8.25%, 12/15/20
   31,125 
 40,000   Vereit Operating Partnership LP
3.00%, 01/06/19 (c)
   40,300 
         782,441 
Industrial: 4.1%     
 27,000   Ball Corp.
5.00%, 03/15/22
   29,025 
 30,000   Building Materials Corp.
of America
5.38%, 11/15/19 (c) 144A
   31,612 
 27,000   Case New Holland, Inc.
7.88%, 12/01/17
   29,126 
 34,000   Cemex Finance LLC
9.38%, 10/12/17 (c) 144A
   37,697 
 27,000   TransDigm, Inc.
5.50%, 08/29/16 (c)
   27,810 
 30,000   XPO Logistics, Inc.
6.50%, 06/15/18 (c) † 144A
   29,850 
         185,120 
Technology: 4.0%     
 17,000   BMC Software Finance, Inc.
8.13%, 08/29/16 (c) 144A
   13,940 
 70,000   First Data Corp.
7.00%, 12/01/18 (c) 144A
   72,275 
 34,000   Micron Technology, Inc.
5.50%, 08/01/19 (c)
   30,685 
 34,000   NCR Corp.
6.38%, 12/15/18 (c)
   35,360 
 25,000   Western Digital Corp.
10.50%, 04/01/19 (c) 144A
   28,219 
         180,479 
Utilities: 5.2%     
 34,000   AES Corp.
7.38%, 06/01/21 (c)
   38,760 
     Calpine Corp.     
 34,000   5.75%, 10/15/19 (c)   34,085 
 17,000   6.00%, 11/01/16 (c) 144A   17,808 
 34,000   Dynegy, Inc.
6.75%, 05/01/17 (c)
   34,808 
 17,000   FirstEnergy Corp.
7.38%, 11/15/31
   21,998 
     NRG Energy, Inc.     
 40,000   6.25%, 07/15/18 (c)   40,400 
 10,000   7.63%, 01/15/18   10,750 
 40,000   Talen Energy Supply LLC
4.63%, 08/29/16 (c) 144A
   38,100 
         236,709 
Total Corporate Bonds
(Cost: $4,524,091)
   4,436,380 
      
Number
 of Shares
        
MONEY MARKET FUND: 0.6%
(Cost: $24,561)
     
 24,561   Dreyfus Government Cash Management Fund   24,561 
Total Investments Before Collateral for Securities Loaned: 98.5%
(Cost: $4,548,652)
   4,460,941 
      
Principal
Amount
        
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES LOANED: 7.7%
(Cost: $350,022)
     
Repurchase Agreement: 7.7%     
$350,022   Repurchase agreement dated 7/29/16 with Daiwa Capital Markets America, Inc., 0.40%, due 8/1/16, proceeds $350,034; (collateralized by cash in the amount of $632 and various U.S. government and agency obligations, 0.00% to 8.13%, due 8/10/16 to 9/9/49, valued at $355,987 including accrued interest)   350,022 
Total Investments: 106.2%
(Cost: $4,898,674)
   4,810,963 
Liabilities in excess of other assets: (6.2)%   (280,010)
NET ASSETS: 100.0%  $4,530,953 

 

(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
Security fully or partially on loan. Total market value of securities on loan is $338,509.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $918,539, or 20.3% of net assets.

 

At July 31, 2016, the Fund held the following open futures contracts:

 

   Number
of Contracts
  Expiration Date  Unrealized
Depreciation
 
Contracts to Sell:           
U.S. Treasury 5 Year Note (s)  36  September 2016  $(69,469)

 

(s) Cash in the amount of $103,959 has been segregated by the broker as collateral to cover margin requirements for open futures contracts.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned (unaudited)
  % of
Investments
  Value 
Basic Materials   4.8%  $216,187 
Communications   25.3    1,127,363 
Consumer, Cyclical   9.8    435,652 
Consumer, Non-cyclical   17.1    764,650 
Energy   11.4    507,779 
Financial   17.5    782,441 
Industrial   4.2    185,120 
Technology   4.0    180,479 
Utilities   5.3    236,709 
Money Market Fund   0.6    24,561 
    100.0%  $4,460,941 

 

The summary of inputs used to value the Fund’s investments as of July 31, 2016 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Corporate Bonds*  $   $4,436,380   $   $4,436,380 
Money Market Fund   24,561            24,561 
Repurchase Agreement       350,022        350,022 
Total  $24,561   $4,786,402   $   $4,810,963 
                     
Other Financial Instruments:                    
Futures Contracts  $(69,469)  $   $   $(69,469)

 

** See Schedule of Investments for security type and industry sector breakouts.

.There were no transfers between levels for the period ended July 31, 2016.

 

See Notes to Schedules of Investments

 

VANECK VECTORS ETF TRUST

NOTES TO SCHEDULES OF INVESTMENTS

July 31, 2016 (unaudited)

 

Security Valuation–The Funds value their investments in securities and other assets and liabilities carried at fair value daily. Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants on the measurement date. Securities traded on national exchanges or traded on the NASDAQ National Market System are valued at the last sales price as reported at the close of each business day. Securities traded on the NASDAQ Stock Market are valued at the NASDAQ official closing price. Over-the-counter securities not included in the NASDAQ National Market System and listed securities for which no sale was reported are valued at the mean of the bid and ask prices. To the extent these securities are actively traded, they are categorized as Level 1 in the fair value hierarchy (described below). Debt securities are valued on the basis of evaluated prices furnished by an independent pricing service approved by the Board of Trustees or provided by securities dealers. The pricing services may use valuation models or matrix pricing, which consider: (i) yield or price with respect to bonds that are considered comparable in characteristics such as rating, interest rate and maturity date and/or (ii) quotations from bond dealers to determine current value and are categorized as Level 2 in the fair value hierarchy. Money market fund investments are valued at net asset value and are categorized as Level 1 in the fair value hierarchy. Short-term obligations with more than sixty days remaining to maturity are valued at market value. Short-term obligations with sixty days or less to maturity are valued at amortized cost, which with accrued interest approximates fair value. Securities for which quotations are not available are stated at fair value as determined by the Pricing Committee of Van Eck Associates Corporation, the Adviser. The Pricing Committee provides oversight of the Funds’ valuation policies and procedures, which are approved by the Funds’ Board of Trustees. Among other things, these procedures allow the Funds to utilize independent pricing services, quotations from securities dealers, and other market sources to determine fair value. The Pricing Committee convenes regularly to review the fair value of financial instruments for which market prices are not readily available. The Pricing Committee employs various methods for calibrating the valuation approaches utilized to determine fair value, including a regular review of key inputs and assumptions, transactional back-testing and disposition analysis.

 

Certain factors such as economic conditions, political events, market trends, the nature of and duration of any restrictions on disposition, trading in similar securities of the issuer or comparable issuers and other security specific information are used to determine the fair value for these securities. Depending on the relative significance of valuation inputs, these securities may be classified either as Level 2 or Level 3 in the fair value hierarchy. The price which the Funds may realize upon sale of an investment may differ materially from the value presented in the Schedules of Investments.

 

The Funds utilize various methods to measure the fair value of their investments on a recurring basis which includes a hierarchy that prioritizes inputs to valuation methods used to measure fair value. The fair value hierarchy gives highest priority to unadjusted quoted prices in active markets for identical assets and liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. The transfers between levels of the fair value hierarchy assume the financial instruments were transferred at the beginning of the reporting period. The three levels of the fair value hierarchy are described below:

 

Level 1 - Quoted prices in active markets for identical securities.

 

Level 2 - Significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).

 

Level 3 - Significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments).

 

A summary of the inputs, the levels used to value the Funds’ investments, and transfers between levels are located in the Schedules of Investments. Additionally, tables that reconcile the valuation of the Funds’ Level 3 investments and that present additional information about valuation methodologies and unobservable inputs, if applicable, are located in the Schedules of Investments.

 

Income Taxes–As of July 31, 2016, for Federal income tax purposes, the identified cost of investments owned, net unrealized appreciation (depreciation), gross unrealized appreciation, and gross unrealized depreciation of investments were as follows:

 

Fund  Cost of
Investments
  

Gross Unrealized
Appreciation

   Gross Unrealized
Depreciation
   Net Unrealized
Appreciation
(Depreciation)
 
BDC Income ETF  $119,673,125   $2,275,687   $(6,914,085)  $(4,638,398)
ChinaAMC China Bond ETF   8,818,499    35,690    (259,444)   (223,754)
EM Investment Grade + BB Rated USD Sovereign Bond ETF   14,793,376    27,054    (130,002)   (102,948)
Emerging Markets Aggregate Bond ETF   16,106,553    528,603    (1,586,200)   (1,057,597)
Emerging Markets High Yield Bond ETF   320,555,542    9,993,921    (12,764,239)   (2,770,318)
Fallen Angel High Yield Bond ETF   284,202,584    15,884,493    (1,309,565)   14,574,928 
International High Yield Bond ETF   141,605,645    4,142,653    (11,582,624)   (7,439,971)
Investment Grade Floating Rate ETF   78,703,648    126,436    (186,071)   (59,635)
J.P. Morgan EM Local Currency Bond ETF   1,929,853,354    38,175,094    (170,791,285)   (132,616,191)
Mortgage REIT Income ETF   123,943,442    1,990,712    (12,649,440)   (10,658,728)
Preferred Securities ex Financials ETF   422,884,250    21,217,438    (5,092,323)   16,125,115 
Treasury-Hedged High Yield Bond ETF   4,898,674    111,239    (198,950)   (87,711)

 

Other–The United Kingdom recently decided to leave the European Union (“EU”), creating economic and political uncertainty in its wake. Significant uncertainty exists regarding the timing of the United Kingdom’s withdrawal from the EU and the effects such withdrawal will have on the Euro, European economies and the global markets. This may further impact the value of the Euro and the British pound sterling, and has caused volatility and uncertainty in European and global markets.

 

As a result of events involving Ukraine and the Russian Federation, the United States and the European Union have imposed sanctions on certain Russian individuals and companies. These sanctions do not currently impact the Funds. Additional economic sanctions may be imposed or other actions may be taken that may adversely affect the value and liquidity of the Russian-related issuers held by the Funds.

 

ITEM 2. Controls and Procedures.

 

(a) The registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”) (17 CFR 270.30a-3 (c)) are effective, as of a date within 90 days of the filing date of the report that includes the disclosure required by this paragraph, based on their evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rules 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934, as amended (17 CFR 240.13a-15(b) or 240.15d-15 (b)).
   
(b) There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act (17 CFR 270.30a-3(d)) that occurred during the registrant’s last fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

ITEM 3. Exhibits.

 

Certifications of principal executive officer and principal financial officer as required by Rule 30a-2(a) under the Investment Company Act of 1940 are attached as Exhibit 99.CERT

 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

(Registrant) VanEck Vectors ETF Trust

 

By John J. Crimmins, Treasurer & Chief Financial Officer, VanEck Vectors ETF Trust

 

Date: September 26, 2016

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By Jan F. van Eck, Chief Executive Officer, VanEck Vectors ETF Trust

 

Date: September 26, 2016

 

By John J. Crimmins, Treasurer & Chief Financial Officer, VanEck Vectors ETF Trust

 

Date: September 26, 2016