1 DebtState Street Treasury Money Market Portfolio 41.84% 41.8% 113,569,430 $113.57M - - - 2 —Other Assets In Excess Of Liabilities-18.0% 18.00% 59.8% - $48.84M - - - 3 DebtCarillon Reams Unconstrained Bond Fund 5.16% 65.0% 1,105,062 $14.01M - - - 4 —Western Digital Corp. 3.000%, Due 11/15/281 3.05% 68.0% 1,244,000 $8.29M - - - 5 Q QSPIX Aqr Style Premia Alternative Fund 1.95% 70.0% 593,919 $5.28M - - - 6 —Cds Republic Of South Africa 1.69% 71.7% 1,123,000 $4.58M - - - 7 —Sold PLN Bought USD 20260415 1.55% 73.2% 850,000 $4.20M - - - 8 —Sold BRL Bought USD 20260702 1.55% 74.8% 523,000 $4.22M - - - 9 —Bloom Energy Corp. 3.000%, Due 06/01/291 1.50% 76.3% 556,000 $4.06M - - - 10 —Interdigital, Inc. 3.500%, Due 06/01/271 1.39% 77.7% 893,000 $3.77M - - - 11 —Lumentum Holdings, Inc. 0.500%, Due 12/15/261 1.28% 79.0% 877,000 $3.46M - - - 12 —Premium Brands Holdings CorpCons. Staples · Food Products 1.21% 80.2% 47,770 $3.28M - Cons. Staples Food Products 13 —Crh Plc 1.06% 81.2% 23,540 $2.88M - - - 14 —Cae IncIndustrials · Aerospace & Defense 0.94% 82.2% 79,835 $2.56M +51.7K Industrials Aerospace & Defense 15 —Mexico Bonos 8.500%, Due March 02, 2028 (Cost-$1,974,339) 0.79% 83.0% 36,870,000 $2.15M - - - 16 V VZ Verizon Communic Comm. Services · Wireless Telecommunication Services 0.77% 83.7% 47,018 $2.09M +46.8K Comm. Services Wireless Telecommunication Services 17 C COMT Ishares Commod Select Str 0.75% 84.5% 74,107 $2.03M - - - 18 W WN George Weston LtdCons. Staples · Food & Staples Retailing 0.72% 85.2% 27,880 $1.94M - Cons. Staples Food & Staples Retailing 19 —Wayfair, Inc. 3.250%, Due 09/15/271 0.72% 85.9% 1,160,000 $1.94M - - - 20 —Brookfield Business Partners Lp 0.69% 86.6% 53,822 $1.88M - - - 21 —Penn National Gaming IncConsumer Disc. · Hotels & Leisure 0.69% 87.3% 145,627 $1.87M - Consumer Disc. Hotels & Leisure 22 W WYNN Wynn Resorts Ltd. Consumer Disc. · Hotels & Leisure 0.68% 88.0% 17,243 $1.85M - Consumer Disc. Hotels & Leisure 23 —Restoration Hardware Holdings IncConsumer Disc. · Specialty Retail 0.67% 88.6% 9,151 $1.82M - Consumer Disc. Specialty Retail 24 DebtFreddie Mac Gold Pool 0.65% 89.3% 531,000 $1.75M - - - 25 B BDI Black Diamond Group LtdIndustrials · Construction 0.63% 89.9% 140,410 $1.70M - Industrials Construction 26 —Extendicare IncHealth Care · Healthcare Services 0.62% 90.5% 98,070 $1.67M - Health Care Healthcare Services 27 C CWSRF Chartwell Retirement ResidencesReal Estate · Equity Real Estate Investment Trusts (REITs) 0.61% 91.2% 112,378 $1.67M -13.0K Real Estate Equity Real Estate Investment Trusts (REITs) 28 —Applied Digital Corp. 2.750%, Due 06/01/301 0.60% 91.8% 454,000 $1.63M - - - 29 —Keyera CorpEnergy · Oil & Gas 0.59% 92.3% 47,220 $1.60M - Energy Oil & Gas 30 —Nebius Group Nv 3.000%, Due 06/05/311,3 0.59% 92.9% 894,000 $1.61M - - - 31 S S SentinelOne Inc Info Tech · Software 0.56% 93.5% 107,880 $1.51M - Info Tech Software 32 C CVNA Carvana Co Consumer Disc. · Specialty Retail 0.55% 94.0% 3,755 $1.51M - Consumer Disc. Specialty Retail 33 —Kinder Morgan, Inc. Class PEnergy · Oil & Gas 0.51% 94.6% 45,422 $1.38M - Energy Oil & Gas 34 DebtGinnie Mae Ii Pool 0.51% 95.1% 747,000 $1.37M - - - 35 DebtNextera Energy Capital Holdings Inc 0.50% 95.6% 807,000 $1.35M - - - 36 —Signet Jewelers Limited Common SharesConsumer Disc. · Apparel & Luxury 0.48% 96.1% 13,993 $1.29M +9.8K Consumer Disc. Apparel & Luxury 37 H HR Healthcare Realty Trust IncReal Estate · Equity Real Estate Investment Trusts (REITs) 0.47% 96.5% 75,910 $1.27M - Real Estate Equity Real Estate Investment Trusts (REITs) 38 —Rocket Companies IncFinancials · Thrifts 0.46% 97.0% 69,545 $1.25M - Financials Thrifts 39 —Bridgebio Pharma, Inc. 2.500%, Due 03/15/271 0.46% 97.4% 668,000 $1.24M - - - 40 A AAV Advantage Oil & Gas Ltd.Energy · Oil & Gas 0.44% 97.9% 148,050 $1.20M - Energy Oil & Gas 41 —Core Scientific, Inc. 3.000%, Due 09/01/291,3 0.44% 98.3% 652,000 $1.18M - - - 42 M MTZ Mastec Inc Industrials · Construction 0.43% 98.8% 4,899 $1.18M - Industrials Construction 43 DebtHsbc Holdings Plc 0.42% 99.2% 513,000 $1.14M - - - 44 —The Boyd Group IncIndustrials · Commercial Services 0.41% 99.6% 6,740 $1.10M - Industrials Commercial Services 45 —Liberty Live Holdings, Inc. 2.375%, Due 09/30/531,3 0.41% 100.0% 761,000 $1.12M - - - 46 E ESTC Elastic N.V. Ordinary Shares Info Tech · Software 0.40% 100.4% 16,608 $1.09M - Info Tech Software 47 —Guardant Health, Inc. 0.000%, Due 11/15/271,7 0.40% 100.8% 967,000 $1.08M - - - 48 —Bought INR Sold USD 20260424 0.40% 101.2% 600,000 $1.08M - - - 49 —Rfr Usd Sofr/1.92750 03/25/22-5y Lch 0.40% 101.6% 854,000 $1.08M - - - 50 C CMC Commercial Metals Co Materials · Metals & Mining 0.39% 102.0% 13,907 $1.07M - Materials Metals & Mining More holdings · Pro