Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Equity Securities GMS Cayman Corporation 29,819 $ 28,486,686 1.00% Monsanto Co 156,811 $ 18,789,094 0.66% Halliburton Co 259,703 $ 11,954,129 0.42% Rockwell Collins Inc 89,314 $ 11,674,233 0.41% Dell Technologies Inc Class V 150,268 $ 11,602,192 0.41% Bristol-Myers Squibb Co 180,820 $ 11,525,467 0.40% Brocade Communications Systems Inc 950,151 $ 11,354,304 0.40% CR Bard Inc 34,725 $ 11,129,363 0.39% Alere Inc 215,609 $ 10,993,903 0.38% DISH Network Corp 202,474 $ 10,980,165 0.38% Facebook Inc 61,232 $ 10,462,712 0.37% Tribune Media Co 220,637 $ 9,015,228 0.32% Mylan NV 231,846 $ 7,273,009 0.25% Microsoft Corp 97,428 $ 7,257,412 0.25% Puma Biotechnology Inc 56,626 $ 6,780,964 0.24% Citigroup Inc 91,306 $ 6,641,598 0.23% Electronic Arts Inc 55,024 $ 6,496,133 0.23% Orbital ATK Inc 48,047 $ 6,397,939 0.22% Jack in the Box Inc 62,593 $ 6,379,479 0.22% Prudential Financial Inc 57,860 $ 6,151,675 0.22% Host Hotels & Resorts Inc 331,336 $ 6,126,403 0.21% Alphabet Inc - A Shares 6,258 $ 6,093,540 0.21% Apple Inc 39,000 $ 6,010,680 0.21% Macquarie Infrastructure Corp 82,541 $ 5,957,809 0.21% Altaba Inc 88,831 $ 5,884,165 0.21% Broadcom Ltd 23,577 $ 5,718,366 0.20% Liberty Ventures 98,408 $ 5,663,380 0.20% Advisory Board Co/The 98,500 $ 5,282,063 0.18% Inc 257,360 $ 5,147,200 0.18% NIKE Inc 99,125 $ 5,139,631 0.18% Holdings Inc 71,177 $ 4,943,243 0.17% Costco Wholesale Corp 29,858 $ 4,905,371 0.17% Air Products & Chemicals Inc 32,240 $ 4,875,333 0.17% Autodesk Inc 42,478 $ 4,768,580 0.17% Canadian National Railway Co 54,456 $ 4,511,850 0.16% Nexstar Media Group Inc 71,754 $ 4,470,274 0.16% Arconic Inc 178,587 $ 4,443,245 0.16% EnPro Industries Inc 54,793 $ 4,412,480 0.15% Amazon.com Inc 4,589 $ 4,411,635 0.15% ConocoPhillips 88,053 $ 4,407,053 0.15% Richmont Mines Inc 462,840 $ 4,314,029 0.15% FMC Corp 46,119 $ 4,118,888 0.14%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Gray Television Inc 261,892 $ 4,111,704 0.14% PNC Group Inc/The 30,326 $ 4,087,035 0.14% Scripps Networks Interactive Inc 45,935 $ 3,945,357 0.14% QUALCOMM Inc 76,065 $ 3,943,210 0.14% Xylem Inc/NY 61,069 $ 3,824,751 0.13% TJX Cos Inc/The 51,639 $ 3,807,343 0.13% T-Mobile US Inc 60,913 $ 3,755,896 0.13% Verizon Communications Inc 75,825 $ 3,752,579 0.13% Bank of America Corp 147,286 $ 3,732,227 0.13% Bunge Ltd 53,192 $ 3,694,716 0.13% PTC Inc 65,647 $ 3,694,613 0.13% Mandatory Exchangeable Trust 5.75 06/03/2019 18,658 $ 3,659,207 0.13% Pinnacle Foods Inc 62,471 $ 3,571,467 0.12% Pinnacle Entertainment Inc 163,499 $ 3,484,164 0.12% Deere & Co 27,689 $ 3,477,462 0.12% Alstom SA 79,183 $ 3,364,319 0.12% Citrix Systems Inc 43,473 $ 3,339,596 0.12% Bayer AG 24,220 $ 3,308,514 0.12% Paychex Inc 54,767 $ 3,283,829 0.11% McDonald's Corp 20,789 $ 3,257,221 0.11% Kraft Heinz Co/The 41,921 $ 3,250,974 0.11% Workday Inc 30,508 $ 3,215,238 0.11% Marriott International Inc/MD 29,151 $ 3,214,189 0.11% Partners Group Holding AG 4,720 $ 3,204,399 0.11% Public Storage 14,939 $ 3,196,797 0.11% Ultra Petroleum Corp 368,014 $ 3,190,681 0.11% C&J Energy Services Inc 104,798 $ 3,140,796 0.11% New York REIT Inc 398,393 $ 3,127,385 0.11% Halcon Resources Corp 453,491 $ 3,083,739 0.11% Praxair Inc 21,961 $ 3,068,830 0.11% Allergan PLC 5.50 03/01/2018 4,075 $ 3,006,617 0.11% Ulta Beauty Inc 13,292 $ 3,004,790 0.11% Alphabet Inc - C Shares 3,130 $ 3,002,014 0.11% Lear Corp 17,265 $ 2,988,226 0.10% NVR Inc 1,043 $ 2,977,765 0.10% Baker Hughes a GE Co 81,153 $ 2,971,823 0.10% General Electric Co 122,593 $ 2,964,299 0.10% Inc 87,241 $ 2,943,511 0.10% Markel Corp 2,749 $ 2,935,877 0.10% Knight-Swift Transportation Holdings Inc 70,629 $ 2,934,635 0.10% Everi Holdings Inc 381,216 $ 2,893,429 0.10% Welltower Inc 6.50 45,600 $ 2,892,408 0.10% M&T Bank Corp 17,942 $ 2,889,380 0.10%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Activision Blizzard Inc 44,494 $ 2,870,308 0.10% Visa Inc 26,863 $ 2,827,062 0.10% Parsley Energy Inc 107,054 $ 2,819,802 0.10% MetLife Inc 54,272 $ 2,819,430 0.10% Marsh & McLennan Cos Inc 33,403 $ 2,799,505 0.10% Motorola Solutions Inc 32,931 $ 2,794,854 0.10% Mohawk Industries Inc 11,231 $ 2,779,785 0.10% Edwards Lifesciences Corp 25,370 $ 2,773,195 0.10% Element Comm Aviation 280 $ 2,772,843 0.10% Sony Corp 73,600 $ 2,745,918 0.10% ACS Actividades de Construccion y Servicios SA 73,719 $ 2,734,783 0.10% ManpowerGroup Inc 23,208 $ 2,734,367 0.10% Sinclair Broadcast Group Inc 84,985 $ 2,723,769 0.10% XL Group Ltd 67,990 $ 2,682,206 0.09% Equity Residential 40,652 $ 2,680,186 0.09% International Paper Co 46,202 $ 2,625,198 0.09% Newfield Exploration Co 86,750 $ 2,573,873 0.09% Yum! Brands Inc 34,751 $ 2,558,021 0.09% Home Depot Inc/The 15,420 $ 2,522,095 0.09% Eaton Corp PLC 32,692 $ 2,510,419 0.09% Ross Stores Inc 38,876 $ 2,510,223 0.09% Tropicana Entertainment Inc 53,176 $ 2,499,272 0.09% Accenture PLC - Class A 18,352 $ 2,478,805 0.09% Baxter International Inc 39,449 $ 2,475,425 0.09% Huntsman Corp 89,418 $ 2,451,842 0.09% American International Group Inc 39,930 $ 2,451,303 0.09% Chubb Ltd 17,184 $ 2,449,579 0.09% Bank of New York Mellon Corp/The 46,080 $ 2,443,162 0.09% NXP Semiconductors NV 21,602 $ 2,442,970 0.09% Kimberly-Clark Corp 20,117 $ 2,367,369 0.08% Waste Connections Inc 33,798 $ 2,364,508 0.08% Las Vegas Sands Corp 36,694 $ 2,354,287 0.08% United Parcel Service Inc 19,551 $ 2,347,880 0.08% Cimarex Energy Co 20,514 $ 2,331,826 0.08% Applied Materials Inc 44,667 $ 2,326,704 0.08% Corp - Class A 59,761 $ 2,299,603 0.08% Songa Offshore 322,488 $ 2,299,453 0.08% Vestas Wind Systems A/S 25,464 $ 2,288,852 0.08% CoStar Group Inc 8,520 $ 2,285,490 0.08% Anthem Inc 5.25 05/01/2018 43,075 $ 2,252,392 0.08% Shin-Etsu Chemical Co Ltd 24,890 $ 2,227,654 0.08% Digital Realty Trust Inc 18,804 $ 2,225,077 0.08% McKesson Corp 14,434 $ 2,217,207 0.08%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Bemis Co Inc 48,490 $ 2,209,689 0.08% Athene Holding Ltd 40,920 $ 2,203,133 0.08% Coach Inc 54,597 $ 2,199,167 0.08% Allergan PLC 10,713 $ 2,195,629 0.08% UnitedHealth Group Inc 11,188 $ 2,191,170 0.08% Hershey Co/The 20,027 $ 2,186,348 0.08% Time Warner Inc 21,198 $ 2,171,735 0.08% Cummins Inc 12,885 $ 2,165,067 0.08% NRG Energy Inc 84,257 $ 2,156,137 0.08% Veresen Inc 143,421 $ 2,151,746 0.08% ServiceNow Inc 18,169 $ 2,135,403 0.07% Amgen Inc 11,441 $ 2,133,174 0.07% Biogen Inc 6,780 $ 2,122,954 0.07% Priceline Group Inc/The 1,145 $ 2,096,289 0.07% AMP Ltd 551,827 $ 2,095,437 0.07% Procter & Gamble Co/The 22,915 $ 2,084,807 0.07% Repsol SA 112,935 $ 2,084,133 0.07% American Express Co 23,009 $ 2,081,394 0.07% Humana Inc 8,494 $ 2,069,393 0.07% Midstates Petroleum Co Inc 132,976 $ 2,066,447 0.07% Aon PLC 14,102 $ 2,060,302 0.07% Mitsubishi UFJ Financial Group Inc 316,393 $ 2,057,136 0.07% Fortive Corp 28,607 $ 2,025,090 0.07% Engie SA 118,564 $ 2,013,372 0.07% Medtronic PLC 25,734 $ 2,001,333 0.07% Northrop Grumman Corp 6,915 $ 1,989,584 0.07% Adobe Systems Inc 13,311 $ 1,985,735 0.07% Lennox International Inc 10,967 $ 1,962,764 0.07% Shionogi & Co Ltd 35,800 $ 1,957,075 0.07% Volkswagen AG 11,559 $ 1,955,187 0.07% Luxottica Group SpA 34,733 $ 1,943,632 0.07% OMV AG 33,297 $ 1,941,212 0.07% Altria Group Inc 30,572 $ 1,938,876 0.07% Avery Dennison Corp 19,475 $ 1,915,172 0.07% Central Japan Railway Co 10,900 $ 1,912,838 0.07% Coty Inc 115,517 $ 1,909,496 0.07% Berry Global Group Inc 33,670 $ 1,907,406 0.07% CSX Corp 35,078 $ 1,903,332 0.07% Hologic Inc 51,700 $ 1,896,873 0.07% Franklin Resources Inc 42,543 $ 1,893,589 0.07% Wynn Resorts Ltd 12,696 $ 1,890,688 0.07% S&P Global Inc 12,047 $ 1,883,067 0.07% Diageo PLC 57,233 $ 1,882,133 0.07%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Loral Space & Communications Inc 37,911 $ 1,876,595 0.07% Fresenius Medical Care AG & Co KGaA 19,160 $ 1,873,193 0.07% Ocwen Financial Corp 540,649 $ 1,859,833 0.07% Rice Energy Inc 64,108 $ 1,855,286 0.06% Bank of the Ozarks 38,449 $ 1,847,474 0.06% SM Energy Co 104,125 $ 1,847,178 0.06% PayPal Holdings Inc 28,804 $ 1,844,320 0.06% Vantiv Inc 26,120 $ 1,840,676 0.06% Snam SpA 381,645 $ 1,839,157 0.06% UCB SA 25,733 $ 1,833,935 0.06% VWR Corp 55,354 $ 1,832,771 0.06% Secom Co Ltd 25,000 $ 1,820,614 0.06% Newmont Mining Corp 48,231 $ 1,809,145 0.06% Genesee & Wyoming Inc 24,371 $ 1,803,698 0.06% Fast Retailing Co Ltd 6,100 $ 1,799,225 0.06% Klepierre SA 45,260 $ 1,777,646 0.06% State Street Corp 18,581 $ 1,775,229 0.06% Tesco PLC 702,944 $ 1,762,808 0.06% UGI Corp 37,570 $ 1,760,530 0.06% IDEX Corp 14,443 $ 1,754,391 0.06% Novartis AG 20,415 $ 1,751,096 0.06% Amphenol Corp 20,657 $ 1,748,408 0.06% Stanley Black & Decker Inc 11,404 $ 1,721,662 0.06% Illinois Tool Works Inc 11,562 $ 1,710,714 0.06% Kamigumi Co Ltd 73,500 $ 1,702,824 0.06% AMETEK Inc 25,705 $ 1,697,558 0.06% SAP SE 15,463 $ 1,695,435 0.06% Colgate-Palmolive Co 23,178 $ 1,688,517 0.06% Fiat Chrysler Automobiles NV 93,255 $ 1,671,250 0.06% Whiting Petroleum Corp 301,798 $ 1,647,817 0.06% Cardinal Health Inc 24,464 $ 1,637,131 0.06% MS&AD Insurance Group Holdings Inc 50,800 $ 1,637,100 0.06% BlackRock Inc 3,622 $ 1,619,360 0.06% Cisco Systems Inc 47,970 $ 1,613,231 0.06% Union Pacific Corp 13,890 $ 1,610,823 0.06% Level 3 Communications Inc 30,187 $ 1,608,665 0.06% FANUC Corp 7,900 $ 1,601,754 0.06% AMERCO 4,252 $ 1,594,075 0.06% Recordati SpA 34,446 $ 1,589,562 0.06% Becton Dickinson and Co 8,111 $ 1,589,350 0.06% Cognizant Technology Solutions Corp 21,898 $ 1,588,481 0.06% Hang Lung Group Ltd 441,000 $ 1,588,085 0.06% Saputo Inc 45,800 $ 1,585,335 0.06%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Delphi Automotive PLC 16,103 $ 1,584,535 0.06% Xilinx Inc 22,325 $ 1,581,280 0.06% American Airlines Group Inc 33,100 $ 1,571,919 0.06% Boston Scientific Corp 53,846 $ 1,570,688 0.05% Garmin Ltd 29,083 $ 1,569,610 0.05% Danske Bank A/S 38,957 $ 1,561,147 0.05% 3i Group PLC 127,305 $ 1,558,608 0.05% SunTrust Inc 25,707 $ 1,536,507 0.05% Brighthouse Financial Inc 25,218 $ 1,533,254 0.05% Instruments Inc 17,098 $ 1,532,665 0.05% Micron Technology Inc 38,854 $ 1,528,128 0.05% Genting Singapore PLC 1,764,400 $ 1,525,700 0.05% Japan Airlines Co Ltd 45,000 $ 1,523,309 0.05% Vonovia SE 35,744 $ 1,522,248 0.05% Kite Pharma Inc 8,455 $ 1,520,294 0.05% XPO Logistics Inc 22,272 $ 1,509,596 0.05% Cintas Corp 10,459 $ 1,509,025 0.05% Hitachi Ltd 212,000 $ 1,494,781 0.05% Keyence Corp 2,800 $ 1,489,230 0.05% Inc 20,938 $ 1,475,082 0.05% Astellas Pharma Inc 114,900 $ 1,462,395 0.05% AGL Energy Ltd 79,556 $ 1,460,858 0.05% Raytheon Co 7,725 $ 1,441,331 0.05% Jardine Matheson Holdings Ltd 22,700 $ 1,439,726 0.05% Martin Marietta Materials Inc 6,979 $ 1,439,279 0.05% AmerisourceBergen Corp 17,120 $ 1,416,680 0.05% Coca-Cola Co/The 31,462 $ 1,416,105 0.05% DNB ASA 69,565 $ 1,404,522 0.05% Nintendo Co Ltd 3,800 $ 1,401,187 0.05% AT&T Inc 35,768 $ 1,401,033 0.05% Telefonaktiebolaget LM Ericsson 241,933 $ 1,394,765 0.05% Miraca Holdings Inc 29,800 $ 1,387,308 0.05% Berkshire Hathaway Inc - Class B 7,565 $ 1,386,816 0.05% Moody's Corp 9,962 $ 1,386,810 0.05% ANSYS Inc 11,273 $ 1,383,535 0.05% Walgreens Boots Alliance Inc 17,806 $ 1,374,979 0.05% Constellation Software Inc/Canada 2,500 $ 1,363,935 0.05% NVIDIA Corp 7,604 $ 1,359,367 0.05% Choice Hotels International Inc 21,257 $ 1,358,322 0.05% Thomson Corp 29,600 $ 1,358,125 0.05% AGNC Investment Corp 62,637 $ 1,357,970 0.05% Ionis Pharmaceuticals Inc 26,728 $ 1,355,110 0.05% DXC Technology Co 15,633 $ 1,342,562 0.05%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Monster Beverage Corp 24,048 $ 1,328,652 0.05% WGL Holdings Inc 15,753 $ 1,326,403 0.05% Calumet Specialty Products Partners LP 157,951 $ 1,318,891 0.05% Asahi Group Holdings Ltd 32,500 $ 1,314,257 0.05% DowDuPont Inc 18,960 $ 1,312,601 0.05% Ste Industrielle d'Aviation Latecoere SA 190,517 $ 1,312,524 0.05% Atos SE 8,433 $ 1,308,018 0.05% Vulcan Materials Co 10,910 $ 1,304,836 0.05% Westar Energy Inc 26,295 $ 1,304,232 0.05% Porsche Automobil Holding SE 1.01 20,350 $ 1,302,023 0.05% Arista Networks Inc 6,860 $ 1,300,725 0.05% Progressive Corp/The 26,849 $ 1,300,029 0.05% Straumann Holding AG 2,019 $ 1,298,448 0.05% Holding Ltd 7,516 $ 1,298,088 0.05% Platform Specialty Products Corp 116,292 $ 1,296,656 0.05% Sysco Corp 24,033 $ 1,296,580 0.05% PACCAR Inc 17,891 $ 1,294,235 0.05% American Tower Corp 9,415 $ 1,286,842 0.05% CNH Industrial NV 105,884 $ 1,271,166 0.04% Everest Re Group Ltd 5,529 $ 1,262,768 0.04% DENTSPLY SIRONA Inc 20,938 $ 1,252,302 0.04% Muenchener Rueckversicherungs-Gesellschaft AG in 5,833 $ 1,248,407 0.04% Muenchen Sompo Holdings Inc 32,000 $ 1,247,022 0.04% AerGen Aviation Ltd 12,150 $ 1,246,419 0.04% Wolters Kluwer NV 26,931 $ 1,244,611 0.04% Randstad Holding NV 20,125 $ 1,243,792 0.04% Mizuho Financial Group Inc 708,600 $ 1,242,204 0.04% International Flavors & Fragrances Inc 8,670 $ 1,239,030 0.04% Laboratory Corp of America Holdings 8,198 $ 1,237,652 0.04% Akorn Inc 37,264 $ 1,236,792 0.04% Advanced Micro Devices Inc 96,957 $ 1,236,202 0.04% Lockheed Martin Corp 3,947 $ 1,224,715 0.04% Domino's Pizza Inc 6,163 $ 1,223,664 0.04% TechnipFMC PLC 43,656 $ 1,218,876 0.04% Legal & General Group PLC 347,489 $ 1,211,164 0.04% Western Digital Corp 13,947 $ 1,205,021 0.04% PAREXEL International Corp 13,657 $ 1,202,909 0.04% PPL Corp 31,530 $ 1,196,564 0.04% Microchip Technology Inc 13,316 $ 1,195,510 0.04% Subaru Corp 33,100 $ 1,193,823 0.04% London Stock Exchange Group PLC 23,156 $ 1,188,965 0.04% Seattle Genetics Inc 21,812 $ 1,186,791 0.04% Bank of Nova Scotia/The 18,400 $ 1,182,673 0.04%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Acacia Communications Inc 24,941 $ 1,174,721 0.04% Calpine Corp 79,229 $ 1,168,628 0.04% Wells Fargo & Co 21,122 $ 1,164,878 0.04% RioCan Real Estate Investment Trust 60,300 $ 1,156,465 0.04% Aflac Inc 14,103 $ 1,147,843 0.04% KLA-Tencor Corp 10,790 $ 1,143,740 0.04% ArcelorMittal 44,310 $ 1,143,027 0.04% Nitto Denko Corp 13,700 $ 1,142,735 0.04% FactSet Research Systems Inc 6,333 $ 1,140,637 0.04% Newcrest Mining Ltd 68,905 $ 1,134,160 0.04% Roche Holding AG 35,385 $ 1,132,320 0.04% Toyo Tire & Rubber Co Ltd 50,315 $ 1,132,179 0.04% Agnico Eagle Mines Ltd 24,900 $ 1,125,314 0.04% Fujitsu Ltd 150,880 $ 1,122,931 0.04% Sumitomo Rubber Industries Ltd 61,100 $ 1,121,438 0.04% Marathon Oil Corp 82,280 $ 1,115,717 0.04% TD Ameritrade Holding Corp 22,700 $ 1,107,760 0.04% Origin Energy Ltd 188,065 $ 1,107,563 0.04% Realogy Holdings Corp 33,530 $ 1,104,814 0.04% Avista Corp 21,234 $ 1,099,284 0.04% Southwest Airlines Co 19,631 $ 1,098,943 0.04% Mixi Inc 22,600 $ 1,091,489 0.04% ABB Ltd 43,842 $ 1,084,125 0.04% Tokyo Electron Ltd 7,000 $ 1,077,644 0.04% Forest City Realty Trust Inc 41,974 $ 1,070,757 0.04% Skyworks Solutions Inc 10,493 $ 1,069,237 0.04% Intercontinental Exchange Inc 15,560 $ 1,068,972 0.04% Zillow Group Inc - C Shares 26,537 $ 1,067,053 0.04% Orion Oyj 22,922 $ 1,064,312 0.04% Danaher Corp 12,406 $ 1,064,187 0.04% Toronto-Dominion Bank/The 18,900 $ 1,064,095 0.04% Credit Acceptance Corp 3,794 $ 1,062,965 0.04% Vertex Pharmaceuticals Inc 6,976 $ 1,060,631 0.04% Adidas AG 4,681 $ 1,060,086 0.04% Sherwin-Williams Co/The 2,953 $ 1,057,292 0.04% Nippon Telegraph & Telephone Corp 23,011 $ 1,054,381 0.04% Fairfax Financial Holdings Ltd 2,023 $ 1,052,771 0.04% eBay Inc 27,342 $ 1,051,573 0.04% First Republic Bank/CA 10,062 $ 1,051,077 0.04% GCP Applied Technologies Inc 34,117 $ 1,047,392 0.04% Tokio Marine Holdings Inc 26,752 $ 1,047,004 0.04% Samsung Electronics Co Ltd 462 $ 1,039,603 0.04% Starbucks Corp 19,344 $ 1,038,966 0.04%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Dollar Tree Inc 11,936 $ 1,036,284 0.04% Axis Capital Holdings Ltd 17,968 $ 1,029,746 0.04% Agilent Technologies Inc 16,015 $ 1,028,163 0.04% Chipotle Mexican Grill Inc 3,300 $ 1,015,839 0.04% Tableau Software Inc 13,523 $ 1,012,737 0.04% Aisin Seiki Co Ltd 19,200 $ 1,012,276 0.04% Masco Corp 25,752 $ 1,004,586 0.04% Tate & Lyle PLC 115,187 $ 1,000,190 0.03% Japan Post Bank Co Ltd 80,900 $ 999,797 0.03% Regions Financial Corp 65,584 $ 998,844 0.03% LVMH Moet Hennessy Louis Vuitton SE 3,600 $ 995,168 0.03% SEI Investments Co 16,254 $ 992,469 0.03% Boliden AB 29,199 $ 990,411 0.03% Wayfair Inc 14,675 $ 989,095 0.03% Osaka Gas Co Ltd 53,200 $ 988,799 0.03% Mastercard Inc 6,982 $ 985,858 0.03% Unicharm Corp 42,900 $ 982,641 0.03% RWE AG 43,153 $ 981,723 0.03% Diamondback Energy Inc 10,005 $ 980,090 0.03% Telefonica SA 90,083 $ 978,933 0.03% Symantec Corp 29,662 $ 973,210 0.03% Mitsubishi Corp 41,000 $ 953,899 0.03% T Rowe Price Group Inc 10,467 $ 948,834 0.03% ASML Holding NV 5,538 $ 946,315 0.03% Hirose Electric Co Ltd 6,700 $ 943,415 0.03% Nissan Chemical Industries Ltd 26,700 $ 939,622 0.03% Merck & Co Inc 14,654 $ 938,296 0.03% Analog Devices Inc 10,888 $ 938,219 0.03% Denso Corp 18,500 $ 936,292 0.03% Yandex NV 28,382 $ 935,187 0.03% LyondellBasell Industries NV 9,421 $ 933,150 0.03% Franco-Nevada Corp 12,000 $ 929,609 0.03% Fluor Corp 22,008 $ 926,537 0.03% Camden Property Trust 10,120 $ 925,474 0.03% Toho Gas Co Ltd 31,600 $ 925,459 0.03% Arch Capital Group Ltd 9,294 $ 915,459 0.03% Adecco Group AG 11,746 $ 915,067 0.03% Fastenal Co 20,072 $ 914,882 0.03% DexCom Inc 18,661 $ 912,989 0.03% Tiffany & Co 9,821 $ 901,371 0.03% Shimamura Co Ltd 7,500 $ 899,661 0.03% Netflix Inc 4,940 $ 895,869 0.03% GoDaddy Inc 20,576 $ 895,262 0.03%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Toyo Suisan Kaisha Ltd 24,300 $ 892,749 0.03% EXOR NV 14,051 $ 891,740 0.03% Banco Bilbao Vizcaya Argentaria SA 99,360 $ 888,313 0.03% Viacom Inc - B Shares 31,881 $ 887,567 0.03% Express Scripts Holding Co 13,959 $ 883,884 0.03% T-Mobile US Inc 5.50 12/15/2017 8,825 $ 881,706 0.03% Fortinet Inc 24,598 $ 881,592 0.03% LafargeHolcim Ltd 15,006 $ 878,525 0.03% Hitachi High-Technologies Corp 24,152 $ 877,172 0.03% Zodiac Aerospace 30,234 $ 874,101 0.03% USS Co Ltd 43,300 $ 873,923 0.03% General Motors Co 21,619 $ 872,975 0.03% Pandora A/S 8,789 $ 868,988 0.03% Allison Transmission Holdings Inc 23,045 $ 864,879 0.03% Anadarko Petroleum Corp 17,671 $ 863,228 0.03% Hitachi Chemical Co Ltd 31,400 $ 861,636 0.03% CME Group Inc 6,342 $ 860,483 0.03% Hess Corp 18,340 $ 859,963 0.03% Bandai Namco Holdings Inc 25,000 $ 858,871 0.03% Cenovus Energy Inc 85,000 $ 852,214 0.03% CIMIC Group Ltd 24,453 $ 849,784 0.03% TransUnion 17,973 $ 849,404 0.03% Harley-Davidson Inc 17,556 $ 846,375 0.03% Globalstar Inc 519,068 $ 846,081 0.03% Maruichi Steel Tube Ltd 28,900 $ 841,381 0.03% Honda Motor Co Ltd 28,320 $ 836,588 0.03% Oracle Corp 17,277 $ 835,343 0.03% NV 14,066 $ 831,450 0.03% Koito Co Ltd 13,100 $ 822,617 0.03% Ball Corp 19,843 $ 819,516 0.03% Melco Resorts & Entertainment Ltd 33,661 $ 811,903 0.03% Omron Corp 15,900 $ 810,780 0.03% White Mountains Insurance Group Ltd 946 $ 810,722 0.03% Santos Ltd 255,625 $ 810,616 0.03% Willis Towers Watson PLC 5,254 $ 810,324 0.03% WestRock Co 14,244 $ 808,062 0.03% CF Industries Holdings Inc 22,954 $ 807,063 0.03% Envision Healthcare Corp 17,944 $ 806,583 0.03% Mediobanca SpA 75,022 $ 806,214 0.03% Insulet Corp 14,560 $ 801,965 0.03% Westlake Chemical Corp 9,638 $ 800,821 0.03% EOG Resources Inc 8,269 $ 799,943 0.03% Mettler-Toledo International Inc 1,271 $ 795,849 0.03%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS AstraZeneca PLC 23,395 $ 792,623 0.03% Takeda Pharmaceutical Co Ltd 14,300 $ 790,732 0.03% Eastman Chemical Co 8,724 $ 789,435 0.03% Mitsubishi Tanabe Pharma Corp 34,200 $ 785,130 0.03% Alcoa Corp 16,767 $ 781,678 0.03% Kroger Co/The 38,922 $ 780,775 0.03% Sumitomo Mitsui Financial Group Inc 20,300 $ 780,315 0.03% Waters Corp 4,342 $ 779,476 0.03% NxStage Medical Inc 28,107 $ 775,753 0.03% InterContinental Hotels Group PLC 14,583 $ 771,449 0.03% Novo Nordisk A/S 16,043 $ 771,327 0.03% CA Inc 23,077 $ 770,310 0.03% Yamaha Corp 20,800 $ 767,966 0.03% Barrick Gold Corp 47,700 $ 767,635 0.03% UniFirst Corp/MA 5,050 $ 765,075 0.03% Expedia Inc 5,298 $ 762,594 0.03% Kansas City Southern 6,995 $ 760,217 0.03% Steel Dynamics Inc 22,000 $ 758,340 0.03% Zebra Technologies Corp 6,950 $ 754,631 0.03% Devon Energy Corp 20,556 $ 754,611 0.03% Black Hills Corp 7.75 11/01/2018 10,000 $ 754,300 0.03% Standard Chartered PLC 75,782 $ 753,507 0.03% Idemitsu Kosan Co Ltd 26,600 $ 751,766 0.03% Alliance Data Systems Corp 3,375 $ 747,731 0.03% Travelers Cos Inc/The 6,100 $ 747,372 0.03% DigitalGlobe Inc 21,129 $ 744,797 0.03% Sika AG 100 $ 744,569 0.03% Macquarie Group Ltd 10,395 $ 744,241 0.03% Pfizer Inc 20,817 $ 743,167 0.03% RenaissanceRe Holdings Ltd 5,486 $ 741,378 0.03% TDK Corp 10,870 $ 738,651 0.03% Coca-Cola Amatil Ltd 120,509 $ 731,497 0.03% Enel SpA 120,923 $ 728,474 0.03% Freeport-McMoRan Inc 51,598 $ 724,436 0.03% Robert Half International Inc 14,298 $ 719,761 0.03% EMS-Chemie Holding AG 1,070 $ 712,084 0.02% AvalonBay Communities Inc 3,982 $ 710,468 0.02% NN Group NV 16,887 $ 707,162 0.02% E.ON SE 62,345 $ 706,766 0.02% Arkema SA 5,733 $ 703,446 0.02% Inc 6,400 $ 700,294 0.02% Waste Management Inc 8,908 $ 697,229 0.02% METRO AG 32,885 $ 695,129 0.02%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Amadeus IT Group SA 10,446 $ 679,391 0.02% Hornbeck Offshore Services Inc 167,806 $ 677,936 0.02% Automatic Data Processing Inc 6,187 $ 676,363 0.02% CenterPoint Energy Inc 22,926 $ 669,668 0.02% DaVita Inc 11,252 $ 668,256 0.02% AO Smith Corp 11,208 $ 666,091 0.02% Silgan Holdings Inc 22,622 $ 665,765 0.02% Stericycle Inc 9,235 $ 661,411 0.02% Daiwa House Industry Co Ltd 19,110 $ 660,108 0.02% voestalpine AG 12,940 $ 659,879 0.02% Renault SA 6,707 $ 659,009 0.02% Ezaki Glico Co Ltd 12,412 $ 655,176 0.02% Casino Guichard Perrachon SA 11,011 $ 653,029 0.02% NGK Spark Plug Co Ltd 30,606 $ 651,802 0.02% Alps Electric Co Ltd 24,520 $ 648,032 0.02% Twenty-First Century Fox Inc - A Shares 24,500 $ 646,310 0.02% Omnicom Group Inc 8,697 $ 644,187 0.02% Rockwell Automation Inc 3,608 $ 642,982 0.02% Bunge Ltd 4.88 6,157 $ 640,416 0.02% Suruga Bank Ltd 29,400 $ 634,444 0.02% Kroton Educacional SA 100,500 $ 633,688 0.02% 15,393 $ 632,037 0.02% Navios Maritime Partners LP 307,375 $ 630,119 0.02% Uber Technologies Inc 15,196 $ 630,026 0.02% Pinterest Inc 87,425 $ 627,632 0.02% Under Armour Inc - Class C 41,783 $ 627,581 0.02% Kuraray Co Ltd 33,500 $ 626,778 0.02% Centene Corp 6,474 $ 626,489 0.02% Kajima Corp 63,000 $ 626,183 0.02% Keysight Technologies Inc 15,009 $ 625,275 0.02% Expeditors International of Washington Inc 10,341 $ 619,012 0.02% Church & Dwight Co Inc 12,738 $ 617,156 0.02% China Telecom Corp Ltd 1,198,000 $ 616,357 0.02% US Bancorp 11,500 $ 616,285 0.02% Zoetis Inc 9,637 $ 614,455 0.02% Tosoh Corp 27,000 $ 609,448 0.02% Williams Cos Inc/The 20,293 $ 608,993 0.02% Matlin and Partners Acquisition Corp 62,713 $ 608,943 0.02% ABC-Mart Inc 11,500 $ 607,460 0.02% Itau Unibanco Holding SA 0.18 44,000 $ 604,329 0.02% Skandinaviska Enskilda Banken AB 45,781 $ 603,998 0.02% CJ CheilJedang Corp 1,949 $ 603,487 0.02% Daicel Corp 49,825 $ 600,777 0.02%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS SMC Corp/Japan 1,700 $ 600,714 0.02% National Australia Bank Ltd 24,162 $ 599,046 0.02% ICICI Bank Ltd 69,524 $ 595,125 0.02% Goodman Networks Inc 169,992 $ 594,972 0.02% Ryman Healthcare Ltd 88,352 $ 591,914 0.02% Alleghany Corp 1,066 $ 590,575 0.02% CJ E&M Corp 8,744 $ 589,769 0.02% Zurich Insurance Group AG 1,916 $ 585,490 0.02% PDC Energy Inc 11,934 $ 585,124 0.02% Callon Petroleum Co 51,840 $ 582,682 0.02% Jagged Peak Energy Inc 42,513 $ 580,728 0.02% HP Inc 29,070 $ 580,237 0.02% HOCHTIEF AG 3,415 $ 576,800 0.02% Capital Bank Financial Corp 13,924 $ 571,580 0.02% Old Mutual PLC 219,268 $ 571,187 0.02% Linde AG 2,737 $ 569,150 0.02% Wynn Macau Ltd 209,600 $ 566,859 0.02% CCL Industries Inc 11,500 $ 556,498 0.02% Suzuki Motor Corp 10,500 $ 551,093 0.02% Discovery Communications Inc - C Shares 26,974 $ 546,493 0.02% RLJ Lodging Trust 24,702 $ 543,444 0.02% CRH PLC 14,223 $ 541,093 0.02% Mabuchi Motor Co Ltd 10,800 $ 541,073 0.02% Cairn Homes PLC 265,537 $ 539,457 0.02% Electricite de France SA 44,401 $ 539,262 0.02% Fortum OYJ 26,884 $ 537,193 0.02% AstraZeneca PLC 8,032 $ 534,139 0.02% Goldman Sachs Group Inc/The 2,238 $ 530,831 0.02% KapStone Paper and Packaging Corp 24,610 $ 528,869 0.02% T&D Holdings Inc 36,200 $ 525,167 0.02% Panera Bread Co 1,664 $ 524,160 0.02% Nokian Renkaat OYJ 11,764 $ 523,466 0.02% Cie de Saint-Gobain 8,774 $ 522,752 0.02% Exact Sciences Corp 11,000 $ 518,320 0.02% Lion Corp 28,300 $ 517,095 0.02% Kikkoman Corp 16,800 $ 516,195 0.02% CarMax Inc 6,745 $ 511,338 0.02% Kerry Properties Ltd 123,000 $ 510,887 0.02% Daiichi Sankyo Co Ltd 22,600 $ 510,008 0.02% BNP Paribas SA 6,308 $ 508,900 0.02% Mitsubishi Gas Chemical Co Inc 21,600 $ 506,812 0.02% Middleby Corp/The 3,953 $ 506,656 0.02% Husqvarna AB 49,178 $ 506,438 0.02%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS UPM-Kymmene OYJ 18,661 $ 506,291 0.02% Suntory Beverage & Food Ltd 11,300 $ 502,640 0.02% Maxim Integrated Products Inc 10,527 $ 502,243 0.02% Erste Group Bank AG 11,618 $ 501,954 0.02% Align Technology Inc 2,691 $ 501,253 0.02% Geberit AG 1,056 $ 499,927 0.02% Ultra Electronics Holdings PLC 20,724 $ 499,450 0.02% Churchill Downs Inc 2,414 $ 497,767 0.02% Mitsubishi Heavy Industries Ltd 12,580 $ 497,406 0.02% Canon Inc 14,500 $ 496,204 0.02% Veeva Systems Inc 8,742 $ 493,136 0.02% Smurfit Kappa Group PLC 15,708 $ 492,537 0.02% West Corp 20,766 $ 487,378 0.02% Cobham PLC 249,329 $ 486,987 0.02% DBS Group Holdings Ltd 31,500 $ 484,913 0.02% First Citizens BancShares Inc/NC 1,293 $ 483,440 0.02% Sumitomo Chemical Co Ltd 77,254 $ 483,306 0.02% Kinross Gold Corp 113,200 $ 479,926 0.02% Boral Ltd 89,907 $ 479,377 0.02% Onex Corp 6,200 $ 478,460 0.02% YPF SA 21,404 $ 476,881 0.02% Orica Ltd 30,608 $ 476,442 0.02% Daikin Industries Ltd 4,700 $ 475,981 0.02% Becton Dickinson and Co 6.13 05/01/2020 8,525 $ 471,092 0.02% Nokia OYJ 78,016 $ 468,757 0.02% Walt Disney Co/The 4,737 $ 466,926 0.02% NGK Insulators Ltd 24,650 $ 461,852 0.02% Hana Tour Service Inc 6,133 $ 461,720 0.02% Bank of Ireland Group PLC 56,335 $ 461,413 0.02% Inpex Corp 43,000 $ 458,070 0.02% Medibank Pvt Ltd 199,531 $ 457,800 0.02% Nitori Holdings Co Ltd 3,200 $ 457,638 0.02% King Yuan Electronics Co Ltd 464,000 $ 456,125 0.02% Sberbank of Russia PJSC 135,517 $ 453,137 0.02% Inventec Corp 612,000 $ 453,122 0.02% Black Knight Financial Services Inc 10,500 $ 452,025 0.02% China Construction Bank Corp 540,000 $ 451,144 0.02% JSR Corp 23,600 $ 448,729 0.02% New Oriental Education & Technology Group Inc 5,070 $ 447,478 0.02% Neuroderm Ltd 11,372 $ 442,371 0.02% Tryg A/S 19,091 $ 441,410 0.02% Obic Co Ltd 7,000 $ 440,717 0.02% Kyudenko Corp 11,362 $ 440,698 0.02%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Mitsubishi Motors Corp 55,640 $ 440,521 0.02% Hellenic Telecommunications Organization SA 36,362 $ 440,371 0.02% Leucadia National Corp 17,435 $ 440,234 0.02% Nippon Television Holdings Inc 24,945 $ 438,199 0.02% Leonardo SpA 23,263 $ 436,182 0.02% Dominion Diamond Corp 30,613 $ 434,092 0.02% Neinor Homes SA 20,237 $ 433,335 0.02% Dai-ichi Life Holdings Inc 23,900 $ 428,708 0.02% Range Resources Corp 21,777 $ 426,176 0.01% Vinci SA 4,476 $ 425,276 0.01% Fiserv Inc 3,293 $ 424,665 0.01% Sumitomo Mitsui Trust Holdings Inc 11,720 $ 423,358 0.01% E*TRADE Financial Corp 9,700 $ 423,017 0.01% Restaurant Brands International Inc 6,600 $ 421,681 0.01% Hino Motors Ltd 34,380 $ 420,709 0.01% Insurance Australia Group Ltd 83,818 $ 419,793 0.01% Unum Group 8,173 $ 417,885 0.01% Wienerberger AG 16,993 $ 415,387 0.01% Clean Harbors Inc 7,297 $ 413,740 0.01% Shimao Property Holdings Ltd 189,500 $ 413,263 0.01% Koninklijke KPN NV 119,257 $ 409,262 0.01% Assurant Inc 4,278 $ 408,635 0.01% AES Corp/VA 37,050 $ 408,291 0.01% Obayashi Corp 34,000 $ 407,811 0.01% NCR Corp 5.50 281 $ 407,380 0.01% Zimmer Holdings Inc 3,472 $ 406,536 0.01% Sundrug Co Ltd 9,800 $ 406,106 0.01% Incitec Pivot Ltd 142,775 $ 404,499 0.01% Equinix Inc 900 $ 401,670 0.01% Crescent Point Energy Corp 49,900 $ 400,720 0.01% Occidental Petroleum Corp 6,200 $ 398,102 0.01% Packaging Corp of America 3,459 $ 396,678 0.01% Tokyo Steel Manufacturing Co Ltd 47,900 $ 395,347 0.01% Start Today Co Ltd 12,400 $ 392,958 0.01% IMAX China Holding Inc 129,900 $ 392,464 0.01% JFE Holdings Inc 20,033 $ 391,842 0.01% Hongkong Land Holdings Ltd 54,200 $ 390,818 0.01% Nippon Yusen KK 18,776 $ 390,723 0.01% SCSK Corp 9,150 $ 388,685 0.01% Konami Holdings Corp 8,000 $ 385,146 0.01% Heineken NV 3,891 $ 385,022 0.01% Kennedy-Wilson Holdings Inc 20,745 $ 384,820 0.01% Synchrony Financial 12,389 $ 384,678 0.01%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Julius Baer Group Ltd 6,427 $ 381,379 0.01% China Longyuan Power Group Corp Ltd 507,000 $ 379,581 0.01% OPAP SA 35,748 $ 378,695 0.01% Legrand SA 5,239 $ 378,097 0.01% JPMorgan Chase & Co 3,934 $ 375,736 0.01% Xinyi Glass Holdings Ltd 378,000 $ 374,645 0.01% TESARO Inc 2,887 $ 372,712 0.01% China Resources Cement Holdings Ltd 604,000 $ 372,373 0.01% Gemalto NV 8,320 $ 371,841 0.01% Grivalia Properties REIC AE 35,996 $ 370,541 0.01% BT Group PLC 97,238 $ 369,844 0.01% Rheinmetall AG 3,278 $ 369,706 0.01% Bankinter SA 38,975 $ 369,132 0.01% Astoria Financial Corp 17,165 $ 369,048 0.01% Galaxy Entertainment Group Ltd 52,000 $ 367,611 0.01% Alexion Pharmaceuticals Inc 2,618 $ 367,279 0.01% Statoil ASA 18,223 $ 366,364 0.01% Hibernia REIT plc 202,932 $ 365,821 0.01% Yahoo Japan Corp 76,800 $ 365,023 0.01% HSN Inc 9,334 $ 364,493 0.01% Verint Systems Inc 8,653 $ 362,128 0.01% Ingredion Inc 3,000 $ 361,920 0.01% Japan Steel Works Ltd/The 15,700 $ 361,414 0.01% Regeneron Pharmaceuticals Inc 800 $ 357,696 0.01% Concho Resources Inc 2,712 $ 357,225 0.01% Kyoritsu Maintenance Co Ltd 11,948 $ 357,146 0.01% Land Securities Group PLC 27,243 $ 355,133 0.01% UBS Group AG 20,757 $ 355,090 0.01% Delta Air Lines Inc 7,256 $ 349,884 0.01% MINEBEA MITSUMI Inc 22,300 $ 349,268 0.01% Bureau Veritas SA 13,458 $ 347,314 0.01% Schneider Electric SE 3,980 $ 346,581 0.01% Tokai Rika Co Ltd 17,500 $ 346,248 0.01% Open Text Corp 10,700 $ 345,247 0.01% RPC Group PLC 25,831 $ 343,027 0.01% Atwood Oceanics Inc 36,523 $ 342,951 0.01% Toyota Industries Corp 5,942 $ 341,739 0.01% LEG Immobilien AG 3,367 $ 340,941 0.01% NTT DOCOMO Inc 14,800 $ 338,280 0.01% salesforce.com Inc 3,618 $ 337,994 0.01% Volkswagen AG 2.06 2,069 $ 337,773 0.01% Sprint Corp 43,349 $ 337,255 0.01% QinetiQ Group PLC 101,822 $ 337,137 0.01%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Veolia Environnement SA 14,577 $ 336,843 0.01% Sumitomo Dainippon Pharma Co Ltd 25,700 $ 334,796 0.01% MEIJI Holdings Co Ltd 4,200 $ 332,592 0.01% SEB SA 1,806 $ 331,438 0.01% Dip Corp 14,371 $ 328,558 0.01% Swedish Match AB 9,335 $ 327,858 0.01% Tokyo Seimitsu Co Ltd 9,220 $ 327,188 0.01% Navient Corp 21,627 $ 324,838 0.01% Mallinckrodt PLC 8,672 $ 324,073 0.01% Parkway Inc 14,068 $ 323,986 0.01% Nikon Corp 18,600 $ 322,549 0.01% NOK Corp 14,400 $ 322,122 0.01% Fuji Electric Co Ltd 58,000 $ 321,823 0.01% TechnoPro Holdings Inc 6,770 $ 321,234 0.01% Pioneer Corp 170,100 $ 316,091 0.01% Straight Path Communications Inc 1,735 $ 313,462 0.01% Guidewire Software Inc 3,997 $ 311,206 0.01% Pola Orbis Holdings Inc 10,200 $ 308,425 0.01% China Traditional Chinese Medicine Holdings Co Ltd 546,000 $ 305,148 0.01% Vale SA 30,297 $ 305,091 0.01% Barclays PLC 117,503 $ 304,683 0.01% PepsiCo Inc 2,734 $ 304,650 0.01% Sino Biopharmaceutical Ltd 286,000 $ 302,999 0.01% Raia Drogasil SA 12,800 $ 302,990 0.01% Keihin Corp 17,500 $ 299,638 0.01% Toyoda Gosei Co Ltd 12,600 $ 297,767 0.01% Shanghai Pharmaceuticals Holding Co Ltd 120,900 $ 296,209 0.01% China Shenhua Energy Co Ltd 125,000 $ 295,544 0.01% Genworth Financial Inc 76,652 $ 295,110 0.01% Home BancShares Inc/AR 11,629 $ 293,283 0.01% Land & Houses PCL 986,600 $ 293,051 0.01% DeNA Co Ltd 13,000 $ 291,592 0.01% Ibstock PLC 94,663 $ 289,112 0.01% Incyte Corp 2,457 $ 286,830 0.01% News Corp - A Shares 21,525 $ 285,422 0.01% Nippon Shinyaku Co Ltd 4,090 $ 284,256 0.01% Caterpillar Inc 2,257 $ 281,470 0.01% Encana Corp 23,886 $ 281,377 0.01% Celgene Corp 1,903 $ 277,495 0.01% Rakuten Inc 25,400 $ 277,311 0.01% Starwood Waypoint Homes 7,525 $ 273,684 0.01% Sumitomo Electric Industries Ltd 16,700 $ 273,012 0.01% Ferrotec Holdings Corp 16,100 $ 272,157 0.01%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Eisai Co Ltd 5,260 $ 270,116 0.01% Bankrate Inc 19,361 $ 270,086 0.01% DIC Corp 7,420 $ 269,053 0.01% Sankyo Co Ltd 8,350 $ 266,435 0.01% Toshiba Machine Co Ltd 48,200 $ 263,279 0.01% CU Bancorp 6,773 $ 262,623 0.01% DMG Mori Co Ltd 14,600 $ 262,545 0.01% World Fuel Services Corp 7,720 $ 261,785 0.01% CaixaBank SA 52,122 $ 261,625 0.01% Irish Residential Properties REIT PLC 149,892 $ 261,229 0.01% Forward Venture Services LLC 54,650 $ 260,681 0.01% NetApp Inc 5,943 $ 260,066 0.01% Tokyo Ohka Kogyo Co Ltd 7,300 $ 259,613 0.01% Lattice Semiconductor Corp 49,702 $ 258,947 0.01% Nipro Corp 18,700 $ 258,124 0.01% Pacific Continental Corp 9,557 $ 257,561 0.01% Capcom Co Ltd 10,400 $ 256,065 0.01% FUJIFILM Holdings Corp 6,524 $ 253,466 0.01% Exedy Corp 8,300 $ 252,948 0.01% WeWork Cos Inc Series D-1 4,867 $ 252,159 0.01% Teva Pharmaceutical Industries Ltd 7.00 12/15/2018 725 $ 249,864 0.01% JGC Corp 15,400 $ 249,396 0.01% Mondi PLC 9,224 $ 247,988 0.01% Japan Petroleum Exploration Co Ltd 11,400 $ 247,058 0.01% Redfin Corp 9,803 $ 245,957 0.01% Forestar Group Inc 14,196 $ 244,171 0.01% Suzuken Co Ltd/Aichi Japan 6,795 $ 241,680 0.01% State National Cos Inc 11,419 $ 239,685 0.01% Advance Auto Parts Inc 2,409 $ 238,973 0.01% Yamato Kogyo Co Ltd 8,810 $ 238,802 0.01% Showa Corp 19,420 $ 238,718 0.01% Citizen Watch Co Ltd 34,600 $ 238,591 0.01% Nissin Kogyo Co Ltd 13,300 $ 238,085 0.01% Xcerra Corp 23,745 $ 233,888 0.01% Acadia Healthcare Co Inc 4,881 $ 233,117 0.01% Zenkoku Hosho Co Ltd 5,540 $ 232,859 0.01% Hite Jinro Co Ltd 10,129 $ 232,850 0.01% Matsumotokiyoshi Holdings Co Ltd 3,450 $ 231,086 0.01% Illumina Inc 1,156 $ 230,275 0.01% Daikyonishikawa Corp 14,280 $ 230,066 0.01% Imperial Brands PLC 5,389 $ 230,006 0.01% IDEXX Laboratories Inc 1,473 $ 229,037 0.01% Calgon Carbon Corp 10,640 $ 227,696 0.01%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Nichicon Corp 18,400 $ 226,348 0.01% Dixons Carphone PLC 87,089 $ 225,805 0.01% Ushio Inc 16,800 $ 224,222 0.01% Asahi Intecc Co Ltd 4,290 $ 223,780 0.01% Chesapeake Energy Corp 5.75 355 $ 223,650 0.01% Crocs Inc 22,995 $ 223,052 0.01% Sekisui House Ltd 13,200 $ 222,496 0.01% Honeywell International Inc 1,563 $ 221,540 0.01% Taisei Corp 4,200 $ 220,256 0.01% Xebio Holdings Co Ltd 11,200 $ 219,318 0.01% IHI Corp 6,280 $ 218,912 0.01% Chevron Corp 1,863 $ 218,903 0.01% Zuora Inc 40,988 $ 217,646 0.01% Sanwa Holdings Corp 18,700 $ 214,756 0.01% Ichigo Inc 62,200 $ 213,168 0.01% United Technologies Corp 1,835 $ 213,007 0.01% Nippon Shokubai Co Ltd 2,960 $ 209,225 0.01% Takara Leben Co Ltd 42,700 $ 208,802 0.01% ITOCHU Corp 12,410 $ 203,335 0.01% SoftBank Group Corp 2,500 $ 202,741 0.01% WeWork Cos Inc Series D-2 3,824 $ 198,121 0.01% Chiyoda Corp 33,800 $ 197,791 0.01% Computershare Ltd 17,340 $ 197,282 0.01% Shinko Electric Industries Co Ltd 29,000 $ 195,698 0.01% Siix Corp 4,440 $ 195,435 0.01% Ichiyoshi Securities Co Ltd 19,900 $ 195,218 0.01% Itoham Yonekyu Holdings Inc 21,500 $ 193,813 0.01% Murata Manufacturing Co Ltd 1,290 $ 189,912 0.01% Encana Corp 16,100 $ 189,548 0.01% Daifuku Co Ltd 3,770 $ 185,913 0.01% Nippon Ceramic Co Ltd 6,600 $ 185,421 0.01% NextEra Energy Inc 1,258 $ 184,360 0.01% Co/The 722 $ 183,540 0.01% Denka Co Ltd 5,540 $ 182,728 0.01% Trusco Nakayama Corp 7,460 $ 181,911 0.01% Avex Group Holdings Inc 13,300 $ 180,866 0.01% Toray Industries Inc 18,546 $ 179,959 0.01% Persol Holdings Co Ltd 7,700 $ 179,412 0.01% United Arrows Ltd 4,900 $ 178,096 0.01% Airbnb, Inc 1,685 $ 176,925 0.01% Taiheiyo Cement Corp 4,550 $ 175,786 0.01% Hitachi Metals Ltd 12,500 $ 174,198 0.01% Randgold Resources Ltd 1,776 $ 173,580 0.01%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Kyoei Steel Ltd 11,100 $ 173,217 0.01% Alkermes PLC 3,388 $ 172,246 0.01% Gree Inc 25,100 $ 171,692 0.01% Neurocrine Biosciences Inc 2,753 $ 168,704 0.01% Teradyne Inc 4,498 $ 167,730 0.01% Toppan Forms Co Ltd 15,500 $ 164,515 0.01% W-Scope Corp 8,100 $ 164,316 0.01% CenturyLink Inc 8,625 $ 163,013 0.01% Fourlis Holdings SA 23,177 $ 161,274 0.01% Rexnord Corp 5.75 11/15/2019 2,750 $ 160,078 0.01% Tsubaki Nakashima Co Ltd 7,600 $ 159,728 0.01% Silver Spring Networks Inc 9,865 $ 159,517 0.01% Toyo Engineering Corp 13,000 $ 158,665 0.01% H2O Retailing Corp 8,750 $ 156,079 0.01% KH Neochem Co Ltd 6,300 $ 154,481 0.01% Pacific Metals Co Ltd 6,050 $ 154,259 0.01% Canadian Natural Resources Ltd 4,600 $ 154,065 0.01% Infosys Ltd 10,460 $ 152,611 0.01% AEON Financial Service Co Ltd 7,280 $ 152,296 0.01% Benesse Holdings Inc 4,220 $ 152,253 0.01% Hyundai Motor Co 1,156 $ 152,074 0.01% Seven & i Holdings Co Ltd 3,900 $ 150,674 0.01% Mail.Ru Group Ltd 4,558 $ 150,327 0.01% Ono Pharmaceutical Co Ltd 6,620 $ 150,264 0.01% Ocelot Partners Ltd 15,246 $ 149,404 0.01% Hosiden Corp 9,100 $ 148,574 0.01% BR Malls Participacoes SA 33,200 $ 148,434 0.01% Eli Lilly & Co 1,723 $ 147,385 0.01% Marklogic Corp 14,832 $ 146,688 0.01% State Bank of India Ltd 3,797 $ 146,164 0.01% Localiza Rent a Car SA 8,000 $ 146,100 0.01% Aisan Industry Co Ltd 15,100 $ 145,273 0.01% Inc 3,559 $ 144,709 0.01% Fortescue Metals Group Ltd 35,374 $ 143,256 0.01% Ain Holdings Inc 2,032 $ 140,116 0.00% Sumitomo Riko Co Ltd 13,900 $ 139,908 0.00% Kobe Steel Ltd 12,200 $ 139,718 0.00% PAL GROUP Holdings Co Ltd 4,500 $ 139,556 0.00% CEMEX Holdings Philippines Inc 1,388,200 $ 137,497 0.00% Fuji Media Holdings Inc 9,620 $ 137,033 0.00% SHO-BOND Holdings Co Ltd 2,400 $ 136,800 0.00% Jamco Corp 6,150 $ 135,465 0.00% Zillow Group Inc - A Shares 3,368 $ 135,225 0.00%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS cocokara fine Inc 2,350 $ 134,066 0.00% SMS Co Ltd 4,100 $ 130,665 0.00% Funai Electric Co Ltd 16,700 $ 130,575 0.00% KDDI Corp 4,900 $ 129,164 0.00% Kuroda Electric Co Ltd 7,400 $ 129,039 0.00% BB&T Corp 2,710 $ 127,207 0.00% Relia Inc 10,900 $ 125,886 0.00% Kenedix Inc 22,600 $ 125,746 0.00% Corp 3,286 $ 123,784 0.00% EPS Holdings Inc 6,400 $ 122,857 0.00% Kanto Denka Kogyo Co Ltd 11,400 $ 121,867 0.00% Dover Corp 1,330 $ 121,549 0.00% Dominion Energy Inc 6.75 08/15/2019 2,375 $ 120,531 0.00% Post Holdings Inc 2.50 725 $ 119,716 0.00% Tocalo Co Ltd 3,100 $ 119,692 0.00% Canadian Natural Resources Ltd 3,513 $ 117,650 0.00% General Communication Inc 2,875 $ 117,271 0.00% TV Asahi Holdings Corp 5,780 $ 115,412 0.00% Cawachi Ltd 4,800 $ 114,884 0.00% Exxon Mobil Corp 1,398 $ 114,608 0.00% Yume No Machi Souzou Iinkai Co Ltd 7,500 $ 114,522 0.00% Forescout Tech Inc 9,157 $ 113,822 0.00% Nippon Gas Co Ltd 3,600 $ 111,963 0.00% Mitsubishi Materials Corp 3,230 $ 111,878 0.00% Yusen Logistics Co Ltd 11,900 $ 108,662 0.00% Melco Holdings Inc 3,410 $ 108,482 0.00% Alpine Electronics Inc 5,900 $ 107,476 0.00% General Assembly Space, Inc 2,184 $ 107,062 0.00% Daiseki Co Ltd 4,250 $ 107,013 0.00% Square Inc 3,595 $ 103,572 0.00% Disco Corp 507 $ 103,329 0.00% Tokyo TY Financial Group Inc 4,023 $ 102,969 0.00% Sanyo Shokai Ltd 6,700 $ 102,145 0.00% LAC Co Ltd 8,200 $ 101,281 0.00% Pirelli & C SpA 13,143 $ 100,969 0.00% Nakayama Steel Works Ltd 15,400 $ 99,629 0.00% Descente Ltd 7,200 $ 98,427 0.00% Morinaga & Co Ltd/Japan 1,760 $ 97,996 0.00% Sohgo Security Services Co Ltd 2,110 $ 96,856 0.00% Klarna Holding AB 808 $ 95,521 0.00% Otsuka Corp 1,467 $ 94,087 0.00% Tochigi Bank Ltd/The 22,000 $ 93,923 0.00% Tokai Carbon Co Ltd 9,700 $ 91,359 0.00%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Prestige International Inc 9,100 $ 90,869 0.00% Belc Co Ltd 1,800 $ 90,301 0.00% PG&E Corp 1,290 $ 87,836 0.00% Jafco Co Ltd 1,700 $ 87,057 0.00% Outsourcing Inc 6,065 $ 84,458 0.00% SUMCO Corp 5,350 $ 84,412 0.00% DraftKings Inc 54,277 $ 84,129 0.00% Constellation Brands Inc 420 $ 83,769 0.00% Seiren Co Ltd 4,500 $ 82,944 0.00% Park Sterling Corp 6,455 $ 80,171 0.00% CMIC Holdings Co Ltd 5,700 $ 79,764 0.00% IXYS Corp 3,341 $ 79,182 0.00% Neturen Co Ltd 7,800 $ 78,540 0.00% PharMerica Corp 2,625 $ 76,913 0.00% Agrium Inc 690 $ 73,975 0.00% Honeys Holdings Co Ltd 6,280 $ 72,482 0.00% Miraial Co Ltd 5,400 $ 72,062 0.00% Sodick Co Ltd 5,700 $ 70,676 0.00% Ci:z Holdings Co Ltd 2,000 $ 70,511 0.00% Golar LNG Ltd 3,097 $ 70,023 0.00% First Potomac Realty Trust 6,212 $ 69,202 0.00% FedEx Corp 303 $ 68,351 0.00% Hisaka Works Ltd 8,000 $ 68,009 0.00% LIFULL Co Ltd 7,800 $ 67,968 0.00% Nittoku Engineering Co Ltd 1,600 $ 67,866 0.00% Nuance Communications Inc 4,142 $ 65,112 0.00% UACJ Corp 2,250 $ 64,163 0.00% Warabeya Nichiyo Holdings Co Ltd 2,500 $ 63,776 0.00% PeptiDream Inc 2,048 $ 63,302 0.00% Cloudera Inc 3,756 $ 62,425 0.00% Yondoshi Holdings Inc 2,170 $ 61,708 0.00% Bank of Kyoto Ltd/The 1,200 $ 61,080 0.00% K's Holdings Corp 2,750 $ 60,909 0.00% Nishimatsuya Chain Co Ltd 5,400 $ 60,446 0.00% Altech Corp 1,800 $ 59,294 0.00% Adastria Co Ltd 2,500 $ 56,487 0.00% Tenma Corp 2,700 $ 54,649 0.00% Micronics Japan Co Ltd 5,900 $ 54,468 0.00% RealPage Inc 1,341 $ 53,506 0.00% Rent-A-Center Inc/TX 4,650 $ 53,382 0.00% Tadano Ltd 4,500 $ 52,633 0.00% Enplas Corp 1,100 $ 51,046 0.00% WeWork Cos Inc 979 $ 50,722 0.00%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS IDOM Inc 8,200 $ 50,675 0.00% Systena Corp 2,000 $ 49,925 0.00% Hoshino Resorts REIT Inc 10 $ 49,792 0.00% Chubu Steel Plate Co Ltd 7,200 $ 46,724 0.00% Itokuro Inc 1,050 $ 46,103 0.00% Proto Corp 2,500 $ 45,014 0.00% Shinsei Bank Ltd 2,800 $ 44,875 0.00% Blackhawk Network Holdings Inc 1,016 $ 44,501 0.00% Bob Evans Farms Inc/DE 528 $ 40,925 0.00% Nets A/S 1,566 $ 40,569 0.00% Proofpoint Inc 449 $ 39,162 0.00% Matlin and Partners Acquisition Corp - Warrants 5/28/2021 103,668 $ 36,284 0.00% Nippon Chemi-Con Corp 990 $ 35,213 0.00% Jand Inc 3,781 $ 35,201 0.00% Dropbox Inc 2,671 $ 33,414 0.00% Valero Energy Corp 433 $ 33,311 0.00% EQT Corp 471 $ 30,728 0.00% Cypress Semiconductor Corp 2,043 $ 30,686 0.00% METAWATER Co Ltd 1,100 $ 30,248 0.00% Teladoc Inc 886 $ 29,371 0.00% Alpha Systems Inc 1,400 $ 28,737 0.00% Estee Lauder Cos Inc/The 263 $ 28,362 0.00% Rowan Cos PLC 2,000 $ 25,700 0.00% Veracode Inc 6,031 $ 24,245 0.00% Technology Corp 59,552 $ 19,652 0.00% Nice Ltd 239 $ 19,433 0.00% Gendai Agency Inc 3,700 $ 18,451 0.00% Trade Desk Inc/The 257 $ 15,808 0.00% MainSource Financial Group Inc 402 $ 14,416 0.00% Jand Inc 1,693 $ 13,104 0.00% Dommo Energia SA 26,974 $ 10,951 0.00% Ocelot Partners Ltd - Warrants 3/8/2020 15,246 $ 7,623 0.00% Birst Inc 21,065 $ 4,002 0.00% Goodman Networks Inc 142,878 $ - 0.00% Safeway, Inc. - CVR - Property Development Centers 11,050 $ - 0.00% Safeway, Inc. - CVR - Casa Ley 11,050 $ - 0.00%

Total Equity Securities $ 1,163,064,043 40.70%

Fixed Income Securities Treasury Note/Bond 1.75 9/30/2022 38,200,000 $ 37,847,844 1.32% United States Treasury Note/Bond 1.38 9/30/2019 36,334,000 $ 36,254,501 1.27% Republic of Poland Government Bond 2.50 7/25/2027 104,501,000 $ 26,564,847 0.93% Republic of South Africa Government International Bond 6.88 5/27/2019 22,930,000 $ 24,564,909 0.86%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS United States Treasury Note/Bond 1.88 10/31/2022 20,160,000 $ 20,087,550 0.70% Turkey Government International Bond 6.75 4/3/2018 15,400,000 $ 15,724,940 0.55% United States Treasury Note/Bond 1.88 9/30/2022 15,000,000 $ 14,963,672 0.52% Russian Federal Bond - OFZ 8.13 2/3/2027 795,000,000 $ 14,468,006 0.51% United States Treasury Note/Bond 2.13 3/31/2024 14,325,000 $ 14,328,917 0.50% United States Treasury Bill 1.03 12/21/2017 13,000,000 $ 12,971,328 0.45% United States Treasury Note/Bond 1.50 2/28/2019 12,180,000 $ 12,191,419 0.43% Argentine Republic Government International Bond 7.13 6/28/2117 12,125,000 $ 12,100,750 0.42% Serbia International Bond 5.88 12/3/2018 11,400,000 $ 11,823,077 0.41% Hellenic Republic Treasury Bill 0.00 12/15/2017 10,000,000 $ 11,770,358 0.41% United States Treasury Note/Bond 1.75 5/31/2022 11,345,000 $ 11,270,992 0.39% United States Treasury Note/Bond 3.75 11/15/2043 9,550,000 $ 11,194,391 0.39% Corporate Risk Holdings LLC 9.50 7/1/2019 10,489,000 $ 11,144,563 0.39% Argentina POM Politica Monetaria 26.25 6/21/2020 181,025,000 $ 11,056,509 0.39% Novellus Systems Inc 2.63 5/15/2041 2,000,000 $ 10,987,500 0.38% Fannie Mae Pool 4.00 10/1/2041 9,550,000 $ 10,055,105 0.35% Serbia International Bond 5.25 11/21/2017 9,740,000 $ 9,777,285 0.34% Petrobras Global Finance BV 6.85 6/5/2115 9,630,000 $ 9,184,613 0.32% VimpelCom Holdings BV 4.95 6/16/2024 8,950,000 $ 9,158,356 0.32% SunEdison Inc, Term 8.74 4/26/2018 8,979,728 $ 8,968,503 0.31% Fannie Mae 3.50 11/1/2041 8,500,000 $ 8,746,865 0.31% Cenveo Corp 6.00 8/1/2019 10,650,000 $ 8,440,125 0.30% Ukraine Government International Bond 7.75 9/1/2025 8,150,000 $ 8,434,272 0.30% Aabar Investments PJSC 0.50 3/27/2020 7,800,000 $ 8,213,923 0.29% United States Treasury Note/Bond 1.75 11/30/2021 8,100,000 $ 8,072,473 0.28% Freddie Mac Structured Agency Credit Risk Debt Notes 10.04 3/25/2028 6,983,317 $ 7,985,675 0.28% Sberbank of Russia Via SB Capital SA 5.50 2/26/2024 7,050,000 $ 7,192,551 0.25% Portugal Government International Bond 5.13 10/15/2024 6,696,000 $ 7,105,460 0.25% Montenegro Government International Bond 3.88 3/18/2020 5,812,000 $ 7,051,884 0.25% Indonesia Treasury Bond 7.00 5/15/2022 91,350,000,000 $ 7,019,619 0.25% Bahrain Government International Bond 7.50 9/20/2047 7,000,000 $ 6,845,160 0.24% Italy Buoni Ordinari del Tesoro BOT 0.00 3/14/2018 5,777,000 $ 6,839,631 0.24% Hellenic Republic Treasury Bill 0.00 11/10/2017 5,780,000 $ 6,815,632 0.24% Eskom Holdings SOC Ltd 5.75 1/26/2021 6,600,000 $ 6,707,184 0.23% Indonesia Treasury Bond 7.50 5/15/2038 87,000,000,000 $ 6,685,352 0.23% Intel Corp 3.25 8/1/2039 3,501,000 $ 6,433,088 0.23% MTN Mauritius Investment Ltd 5.37 2/13/2022 6,200,000 $ 6,423,448 0.22% Star West Generation LLC, Term Loan B 6.05 3/13/2020 7,274,108 $ 6,419,401 0.22% Cobalt International Energy Inc 10.75 12/1/2021 6,571,000 $ 6,373,870 0.22% China Evergrande Group 8.25 3/23/2022 6,150,000 $ 6,368,725 0.22% Anthem Inc 2.75 10/15/2042 2,450,000 $ 6,357,750 0.22% Iraq International Bond 5.80 1/15/2028 6,764,000 $ 6,319,903 0.22% Constellation Merger Sub Inc 8.50 9/15/2025 6,358,000 $ 6,246,735 0.22%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Portugal Treasury Bill 0.00 1/19/2018 5,260,000 $ 6,222,752 0.22% Banque Ouest Africaine de Developpement 5.00 7/27/2027 5,900,000 $ 6,062,250 0.21% Wachovia Bank Commercial Mortgage Trust Series 6.15 4/15/2047 5,868,000 $ 6,038,113 0.21% 2007-C31 Finansbank AS/Turkey 4.88 5/19/2022 6,000,000 $ 5,987,124 0.21% Peruvian Government International Bond 6.35 8/12/2028 17,750,000 $ 5,882,333 0.21% Aabar Investments PJSC 1.00 3/27/2022 5,900,000 $ 5,871,410 0.21% Minejesa Capital BV 4.63 8/10/2030 5,670,000 $ 5,781,937 0.20% Sri Lanka Government International Bond 5.88 7/25/2022 5,420,000 $ 5,772,690 0.20% Malaysia Government Bond 4.18 7/15/2024 23,800,000 $ 5,733,514 0.20% United States Treasury Bill 1.13 1/11/2018 5,700,000 $ 5,683,808 0.20% United States Treasury Bill 1.19 7/19/2018 5,740,000 $ 5,683,126 0.20% Oilflow SPV 1 DAC 12.00 1/13/2022 5,300,000 $ 5,560,898 0.19% Fannie Mae Connecticut Avenue Securities 6.79 4/25/2028 5,000,000 $ 5,540,208 0.19% Caesars Entertainment Operating Co Inc 0.00 2/15/2020 4,151,594 $ 5,480,104 0.19% SunEdison Inc, Term Loan 13.24 4/26/2018 5,468,961 $ 5,455,289 0.19% Hellenic Republic Treasury Bill 0.00 11/3/2017 4,624,000 $ 5,453,779 0.19% Walter Investment Management Corp, Term Loan 4.99 12/11/2020 5,748,732 $ 5,264,172 0.18% KazTransGas JSC 4.38 9/26/2027 5,300,000 $ 5,260,250 0.18% TC Ziraat Bankasi AS 5.13 5/3/2022 5,000,000 $ 5,078,520 0.18% COBALT CMBS Commercial Mortgage Trust 2007-C2 5.62 4/15/2047 5,060,000 $ 5,037,432 0.18% Staples Inc, Term Loan 5.31 8/15/2024 4,959,000 $ 4,935,098 0.17% ESAL GmbH 6.25 2/5/2023 5,080,000 $ 4,923,790 0.17% Bahrain Government International Bond 7.00 10/12/2028 4,800,000 $ 4,896,528 0.17% Petrobras Global Finance BV 8.38 5/23/2021 4,225,000 $ 4,886,741 0.17% Turkiye Vakiflar Bankasi TAO 5.63 5/30/2022 4,800,000 $ 4,874,880 0.17% United States Treasury Strip Principal 0.00 11/15/2046 11,425,000 $ 4,864,522 0.17% Caesars Entertainment Operating Co Inc 0.00 2/15/2020 3,655,881 $ 4,862,322 0.17% Endo Dac / Endo Finance LLC / Endo Finco Inc 6.00 2/1/2025 5,841,000 $ 4,731,210 0.17% Turkey Government International Bond 4.88 10/9/2026 4,750,000 $ 4,718,356 0.17% ASP AMC Merger Sub Inc 8.00 5/15/2025 4,740,000 $ 4,562,250 0.16% Netflix Inc 4.38 11/15/2026 4,524,000 $ 4,539,563 0.16% Harland Clarke Holdings Corp, Term Loan B6 6.80 2/9/2022 4,506,591 $ 4,526,330 0.16% Cloud Crane LLC 10.13 8/1/2024 4,075,000 $ 4,523,250 0.16% GenOn Energy Inc 0.00 10/15/2020 6,145,000 $ 4,470,488 0.16% Valeant Pharmaceuticals International Inc, Term Loan BF1 5.99 3/11/2022 4,330,232 $ 4,406,444 0.15% Unifin Financiera SAB de CV SOFOM ENR 7.00 1/15/2025 4,200,000 $ 4,252,500 0.15% Qatar Government International Bond 6.55 4/9/2019 3,988,000 $ 4,249,214 0.15% Export Credit Bank of Turkey 4.25 9/18/2022 4,200,000 $ 4,145,232 0.15% CEDC Finance Corp International Inc 10.00 12/31/2022 4,225,523 $ 4,082,912 0.14% Nova Austral SA 8.25 5/26/2021 3,900,000 $ 3,996,716 0.14% GenOn Energy Inc 0.00 10/15/2018 5,430,000 $ 3,977,475 0.14% Venezuela Government International Bond 9.25 9/15/2027 10,000,000 $ 3,950,000 0.14% Republic of South Africa Government Bond 8.75 1/31/2044 57,780,000 $ 3,852,588 0.13%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Everi Payments Inc 10.00 1/15/2022 3,532,000 $ 3,832,220 0.13% FTS International Inc 6.25 5/1/2022 4,177,000 $ 3,821,955 0.13% HTA Group Ltd/Mauritius 9.13 3/8/2022 3,600,000 $ 3,785,220 0.13% Southcross Energy Partners LP, Term Loan B 5.55 7/29/2021 4,266,746 $ 3,697,861 0.13% Constellium NV 6.63 3/1/2025 3,401,000 $ 3,481,774 0.12% MTN Mauritius Investment Ltd 4.76 11/11/2024 3,500,000 $ 3,477,250 0.12% Hornbeck Offshore Services Inc 5.88 4/1/2020 5,271,000 $ 3,426,150 0.12% DISH Network Corp 3.38 8/15/2026 3,057,000 $ 3,420,019 0.12% American Bath Group LLC, Term Loan 6.55 9/30/2023 3,393,541 $ 3,402,025 0.12% TKC Holdings Inc, Term Loan 9.24 1/31/2024 3,337,000 $ 3,370,370 0.12% LTF Merger Sub Inc 8.50 6/15/2023 3,168,000 $ 3,366,000 0.12% Caesars Entertainment Operating Co Inc 0.00 6/1/2017 2,504,112 $ 3,230,305 0.11% HTA Group Ltd/Mauritius 9.13 3/8/2022 3,065,000 $ 3,222,694 0.11% Twitter Inc 0.25 9/15/2019 3,374,000 $ 3,196,865 0.11% 21st Century Oncology Inc, Term Loan B 7.43 4/30/2022 3,377,842 $ 3,173,482 0.11% Ocwen Loan Servicing LLC, Term Loan B 6.23 12/7/2020 3,176,456 $ 3,165,529 0.11% Brand Energy & Infrastructure Services Inc, Term Loan 5.53 6/14/2024 3,074,000 $ 3,088,602 0.11% ABG Orphan Holdco Sarl 14.00 2/28/2021 2,966,758 $ 3,085,428 0.11% Peruvian Government International Bond 6.35 8/12/2028 9,300,000 $ 3,082,011 0.11% Fannie Mae Interest Strip 4.00 11/25/2040 15,177,053 $ 3,078,262 0.11% Highland Acquisition Holdings LLC, Term Loan 6.74 11/23/2022 3,042,657 $ 3,052,789 0.11% Staples Inc 8.50 9/15/2025 3,101,000 $ 3,015,723 0.11% THL Credit Wind River 2014-3 CLO Ltd 6.91 1/22/2027 3,000,000 $ 2,998,740 0.10% Citigroup Commercial Mortgage Trust 2014-GC19 5.06 3/10/2047 3,229,000 $ 2,987,007 0.10% Diamond Resorts International Inc 7.75 9/1/2023 2,778,000 $ 2,986,350 0.10% Qatar Government International Bond 6.55 4/9/2019 2,790,000 $ 2,972,745 0.10% Equinix Inc 5.38 5/15/2027 2,711,000 $ 2,944,824 0.10% Denbury Resources Inc 5.50 5/1/2022 5,114,000 $ 2,921,373 0.10% Fannie Mae Connecticut Avenue Securities 6.99 7/25/2029 2,625,000 $ 2,915,117 0.10% BlueMountain CLO 2013-4 Ltd 6.95 4/15/2025 3,000,000 $ 2,898,276 0.10% Confie Seguros Holding II Co, Term Loan B 6.74 4/13/2022 2,912,988 $ 2,862,010 0.10% Zambia Government International Bond 5.38 9/20/2022 3,000,000 $ 2,855,460 0.10% Malaysia Government Bond 3.44 2/15/2021 11,960,000 $ 2,836,496 0.10% Petrobras Global Finance BV 6.00 1/27/2028 2,810,000 $ 2,807,893 0.10% Provincia de Buenos Aires/Argentina 25.58 5/31/2022 45,870,000 $ 2,676,082 0.09% Enel SpA 8.75 9/24/2073 2,170,000 $ 2,628,413 0.09% Sri Lanka Government International Bond 6.25 7/27/2021 2,400,000 $ 2,580,353 0.09% VeriSign Inc 4.70 8/15/2037 825,000 $ 2,566,781 0.09% Dell International LLC / EMC Corp 6.02 6/15/2026 2,310,000 $ 2,565,371 0.09% Argentine Republic Government International Bond 6.25 4/22/2019 2,429,000 $ 2,556,523 0.09% DISH Network Corp 2.38 3/15/2024 2,556,000 $ 2,540,025 0.09% BWAY Holding Co 5.50 4/15/2024 2,416,000 $ 2,524,720 0.09% AMMC CLO 17 Ltd 8.07 11/15/2027 2,500,000 $ 2,490,760 0.09%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Global Tel*Link Corp, Term Loan 9.05 11/23/2020 2,500,000 $ 2,487,500 0.09% Eldorado Resorts Inc 6.00 4/1/2025 2,298,000 $ 2,412,900 0.08% Working Capital Solutions Funding LCC 7.93 8/30/2018 2,400,000 $ 2,400,000 0.08% Alliant Holdings Intermediate LLC / Alliant Holdings 8.25 8/1/2023 2,265,000 $ 2,394,762 0.08% Co-Issuer Eco-Bat Technologies Ltd, PIK Term Loan 10.42 3/29/2018 5,650,229 $ 2,303,899 0.08% Peru Government Bond 6.15 8/12/2032 7,100,000 $ 2,290,122 0.08% Rialto Holdings LLC / Rialto Corp 7.00 12/1/2018 2,238,000 $ 2,254,785 0.08% Ukraine Government International Bond 7.75 9/1/2022 2,100,000 $ 2,226,798 0.08% Monitronics International Inc 9.13 4/1/2020 2,500,000 $ 2,225,000 0.08% StandardAero Aviation Holdings Inc 10.00 7/15/2023 2,000,000 $ 2,215,000 0.08% Give & Go Prepared Foods Corp, Term Loan 5.56 7/29/2023 2,184,000 $ 2,211,300 0.08% Diamond Resorts International Inc 10.75 9/1/2024 2,074,000 $ 2,208,810 0.08% Fannie Mae Connecticut Avenue Securities 5.59 5/25/2029 2,000,000 $ 2,174,426 0.08% Goodman Networks Inc 8.00 5/11/2022 2,552,538 $ 2,118,607 0.07% Heartland Dental LLC, Term Loan 6.06 7/26/2023 2,047,000 $ 2,055,188 0.07% Cobalt International Energy Inc 7.75 12/1/2023 3,206,000 $ 2,035,810 0.07% ALM VII R Ltd 8.44 10/15/2028 2,000,000 $ 2,016,266 0.07% Digicert Holdings Inc, Term Loan 0.00 9/20/2024 1,993,000 $ 2,012,930 0.07% Can Am Construction Inc/Canada, Term Loan B 6.80 6/29/2024 2,000,000 $ 2,000,000 0.07% McAfee LLC, Term Loan 0.00 9/26/2025 2,000,000 $ 2,000,000 0.07% Bahrain Government International Bond 6.75 9/20/2029 2,000,000 $ 1,982,960 0.07% Commercial Mortgage Trust 2005-GG5 5.61 4/10/2037 2,028,907 $ 1,980,252 0.07% Alphabet Holding Co Inc, Term Loan 0.00 9/15/2024 1,995,000 $ 1,970,063 0.07% Ocwen Loan Servicing LLC 8.38 11/15/2022 1,986,000 $ 1,951,245 0.07% Air Canada 2015-2 Class B Pass Through Trust 5.00 6/15/2025 1,831,462 $ 1,913,877 0.07% Lenardo US Holdings Inc 6.25 1/15/2040 1,685,000 $ 1,904,050 0.07% Montenegro Government International Bond 5.38 5/20/2019 1,500,000 $ 1,866,120 0.07% VistaJet Malta Finance PLC / VistaJet Co Finance LLC 7.75 6/1/2020 2,054,000 $ 1,848,600 0.06% Avantor Performance Material Holdings LLC, Term Loan 0.00 9/20/2024 1,808,000 $ 1,812,900 0.06% Republic of South Africa Government Bond 8.88 2/28/2035 25,613,700 $ 1,787,528 0.06% Uniti Group LP / Uniti Group Finance Inc / CSL Capital 8.25 10/15/2023 2,000,000 $ 1,770,000 0.06% LLC AMMC CLO 18 Ltd 7.99 5/26/2028 1,750,000 $ 1,744,682 0.06% Confie Seguros Holding II Co, Term Loan 11.05 5/8/2019 1,720,000 $ 1,681,300 0.06% Magnetite IX Ltd 7.06 7/25/2026 1,750,000 $ 1,630,769 0.06% Evergreen Skills Lux Sarl, Term Loan 9.48 4/28/2022 1,999,833 $ 1,625,705 0.06% Denbury Resources Inc 9.00 5/15/2021 1,630,000 $ 1,591,288 0.06% Republic of South Africa Government Bond 10.50 12/21/2026 18,963,075 $ 1,571,811 0.06% ClubCorp Holdings Inc, Term Loan B 4.59 8/16/2024 1,574,000 $ 1,563,376 0.05% Global Tel*Link Corp, Term Loan 5.30 5/23/2020 1,523,309 $ 1,536,638 0.05% Republic of South Africa Government Bond 8.75 2/28/2048 22,820,000 $ 1,524,328 0.05% Oilflow SPV 1 DAC 12.00 1/13/2022 1,445,000 $ 1,516,132 0.05% Securus Technologies Holdings Inc, Term Loan 0.00 6/20/2024 1,494,000 $ 1,508,313 0.05%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS General Motors Financial Co Inc 2.23 4/13/2020 1,500,000 $ 1,507,878 0.05% Lightstone Holdco LLC, Term Loan 5.74 1/30/2024 1,511,232 $ 1,503,676 0.05% Superior Industries International Inc, Term Loan 5.74 3/22/2024 1,500,000 $ 1,477,500 0.05% Transcanada Trust 5.30 3/15/2077 1,435,000 $ 1,469,081 0.05% CERP DUMMY 8.00 10/15/2023 1,329,000 $ 1,464,115 0.05% Sound Point Clo XV Ltd 7.27 1/23/2029 1,500,000 $ 1,453,580 0.05% Ford Credit Auto Owner Trust 2016-C 1.37 9/15/2019 1,453,387 $ 1,453,330 0.05% American Express Credit Corp 1.64 5/3/2019 1,430,000 $ 1,433,615 0.05% JPMorgan Chase & Co 2.00 6/1/2021 1,425,000 $ 1,432,225 0.05% USAA Capital Corp 1.54 2/1/2019 1,430,000 $ 1,431,616 0.05% DTI Holdco Inc, Term Loan B 6.56 9/23/2023 1,494,635 $ 1,431,113 0.05% PepsiCo Inc 1.35 5/2/2019 1,430,000 $ 1,429,763 0.05% Cisco Systems Inc 1.67 9/20/2019 1,420,000 $ 1,428,366 0.05% Gilead Sciences Inc 1.58 9/20/2019 1,415,000 $ 1,417,971 0.05% Gilead Sciences Inc 1.55 3/20/2019 1,415,000 $ 1,417,548 0.05% Silversea Cruise Finance Ltd 7.25 2/1/2025 1,322,000 $ 1,414,540 0.05% Petrobras Global Finance BV 6.25 12/14/2026 1,000,000 $ 1,413,420 0.05% Trust 2017-M6MZ 8.16 8/15/2019 1,410,000 $ 1,412,638 0.05% Teva Pharmaceutical Finance Netherlands III BV 3.15 10/1/2026 1,530,000 $ 1,410,196 0.05% Avery Point VII CLO Ltd 7.90 1/15/2028 1,400,000 $ 1,409,437 0.05% Citibank NA 1.58 9/18/2019 1,400,000 $ 1,401,060 0.05% International Car Wash Group Ltd, Term Loan 0.00 9/25/2025 1,401,000 $ 1,393,995 0.05% Gabon Government International Bond 6.95 6/16/2025 1,400,000 $ 1,392,454 0.05% United States Treasury Strip Principal 0.00 5/15/2047 3,298,000 $ 1,385,226 0.05% Commercial Vehicle Group Inc, Term Loan B 7.24 3/29/2023 1,378,000 $ 1,378,000 0.05% APX Group Inc 7.63 9/1/2023 1,300,000 $ 1,366,625 0.05% DT Auto Owner Trust 2016-1 4.66 12/15/2022 1,335,000 $ 1,364,622 0.05% Freddie Mac Structured Agency Credit Risk Debt Notes 6.19 7/25/2029 1,297,000 $ 1,355,076 0.05% Citigroup Commercial Mortgage Trust 2014-GC19 4.56 3/10/2047 1,795,000 $ 1,347,664 0.05% OneMain Financial Issuance Trust 2016-2 5.94 3/20/2028 1,295,000 $ 1,345,785 0.05% Citibank Credit Card Issuance Trust 1.45 4/7/2022 1,330,000 $ 1,333,295 0.05% Citibank Credit Card Issuance Trust 1.92 4/7/2022 1,330,000 $ 1,330,832 0.05% Ally Financial Inc 4.75 9/10/2018 1,300,000 $ 1,328,730 0.05% Inc 7.75 8/15/2025 1,260,000 $ 1,326,150 0.05% Toyota Auto Receivables 2017-C Owner Trust 1.31 7/15/2020 1,315,000 $ 1,315,019 0.05% Golden Nugget Inc/NV, Term Loan 0.00 10/4/2023 1,299,000 $ 1,305,495 0.05% BXHTL Mezzanine Trust 9.43 5/15/2020 1,289,543 $ 1,295,991 0.05% Serbia International Bond 5.25 11/21/2017 1,285,000 $ 1,289,919 0.05% NBCUniversal Enterprise Inc 5.25 12/19/2049 1,205,000 $ 1,286,338 0.05% AECOM 5.13 3/15/2027 1,240,000 $ 1,281,850 0.04% Freddie Mac Structured Agency Credit Risk Debt Notes 5.68 3/25/2030 1,270,000 $ 1,278,830 0.04% EnLink Midstream Partners LP 6.00 12/31/2049 1,265,000 $ 1,266,015 0.04% Chase Issuance Trust 1.53 1/18/2022 1,260,000 $ 1,264,777 0.04%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Citibank Credit Card Issuance Trust 1.48 1/19/2021 1,260,000 $ 1,262,566 0.04% US Bank NA/Cincinnati OH 1.63 1/24/2020 1,255,000 $ 1,258,909 0.04% International Business Machines Corp 1.55 1/27/2020 1,255,000 $ 1,257,418 0.04% Navios Maritime Partners LP, Term Loan 6.32 9/4/2020 1,253,850 $ 1,246,014 0.04% Alphabet Holding Co Inc, Term Loan 0.00 9/15/2025 1,252,000 $ 1,233,220 0.04% Caterpillar Financial Services Corp 1.81 1/10/2020 1,225,000 $ 1,231,998 0.04% Berkshire Hathaway Finance Corp 1.62 1/10/2020 1,225,000 $ 1,230,286 0.04% Sumitomo Mitsui Banking Corp 1.85 1/11/2019 1,225,000 $ 1,230,150 0.04% American Honda Finance Corp 1.60 11/19/2018 1,225,000 $ 1,228,018 0.04% United Technologies Corp 1.66 11/1/2019 1,220,000 $ 1,226,028 0.04% JPMorgan Chase Bank NA 1.92 9/23/2019 1,215,000 $ 1,223,687 0.04% Lee Enterprises Inc 9.50 3/15/2022 1,178,000 $ 1,223,648 0.04% Nissan Motor Acceptance Corp 1.88 1/13/2020 1,215,000 $ 1,222,420 0.04% OneMain Financial Issuance Trust 2014-2 5.31 9/18/2024 1,210,000 $ 1,219,813 0.04% Shell International Finance BV 1.66 9/12/2019 1,210,000 $ 1,216,855 0.04% BMW US Capital LLC 1.73 9/13/2019 1,205,000 $ 1,211,637 0.04% Metropolitan Life Global Funding I 1.66 9/14/2018 1,205,000 $ 1,208,271 0.04% Citibank Credit Card Issuance Trust 1.75 11/19/2021 1,210,000 $ 1,208,188 0.04% BA Credit Card Trust 1.56 6/15/2020 1,205,000 $ 1,206,059 0.04% Mexican Bonos 5.75 3/5/2026 23,500,000 $ 1,203,301 0.04% Caterpillar Financial Services Corp 2.01 2/23/2018 1,200,000 $ 1,203,194 0.04% Veritas US Inc, Term Loan B1 5.81 1/27/2023 1,189,875 $ 1,200,286 0.04% Freddie Mac Structured Agency Credit Risk Debt Notes 10.59 4/25/2028 999,062 $ 1,195,539 0.04% AIM Aviation Finance Ltd 5.07 2/15/2040 1,210,167 $ 1,193,372 0.04% Multi-Color Corp 4.88 11/1/2025 1,177,000 $ 1,189,888 0.04% USS Ultimate Holdings Inc, Term Loan 4.98 8/9/2024 1,168,000 $ 1,179,680 0.04% MCAFEE LLC, Term Loan 0.00 9/26/2025 1,178,000 $ 1,178,000 0.04% Financiera de Desarrollo Territorial SA Findeter 7.88 8/12/2024 3,380,000,000 $ 1,171,238 0.04% Odebrecht Drilling Norbe VIII/IX Ltd 0.00 6/30/2021 1,805,375 $ 1,168,980 0.04% PF Chang's China Bistro Inc 10.25 6/30/2020 1,189,000 $ 1,162,248 0.04% Pacific Gas & Electric Co 1.52 11/30/2017 1,150,000 $ 1,149,903 0.04% Portugal Government International Bond 5.13 10/15/2024 1,079,000 $ 1,144,981 0.04% Honda Auto Receivables 2016-4 Owner Trust 1.21 12/18/2020 1,145,000 $ 1,136,899 0.04% American Homes 4 Rent 2015-SFR1 5.64 4/17/2052 1,045,000 $ 1,136,654 0.04% Clear Channel Worldwide Holdings Inc 7.63 3/15/2020 1,145,000 $ 1,130,688 0.04% AMC Networks Inc 4.75 8/1/2025 1,111,000 $ 1,122,110 0.04% Ciena Corp 3.75 10/15/2018 925,000 $ 1,118,672 0.04% ACOF V DP Acquiror LLC, Term Loan 4.31 8/9/2024 1,115,000 $ 1,114,309 0.04% Heartland Dental LLC, Term Loan 9.82 7/26/2024 1,100,000 $ 1,106,875 0.04% Serbia International Bond 5.88 12/3/2018 1,063,000 $ 1,102,450 0.04% Koppers Inc 6.00 2/15/2025 1,000,000 $ 1,075,000 0.04% TKC Holdings Inc, Term Loan 5.49 2/1/2023 1,059,844 $ 1,068,672 0.04% Latam Airlines 2015-1 Pass Through Trust B 4.50 8/15/2025 1,063,305 $ 1,067,558 0.04%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Imagine! Print Solutions Inc, Term Loan 6.05 6/21/2022 1,061,665 $ 1,061,665 0.04% PlayCore Inc, Term Loan 0.00 9/18/2025 1,077,000 $ 1,060,845 0.04% VC GB Holdings Inc, Term Loan 9.24 2/21/2025 1,064,000 $ 1,056,020 0.04% H&E Equipment Services Inc 5.63 9/1/2025 1,000,000 $ 1,055,000 0.04% Shenton Aircraft Investment I Ltd 4.75 10/15/2042 1,006,127 $ 1,053,506 0.04% BA Credit Card Trust 1.95 8/15/2022 1,030,000 $ 1,031,482 0.04% TMS International Corp, Term Loan B 4.31 8/9/2024 1,031,000 $ 1,031,000 0.04% Werner FinCo LP, Term Loan 5.26 6/23/2024 1,025,000 $ 1,026,927 0.04% American Homes 4 Rent 2014-SFR3 Trust 6.42 12/17/2036 900,000 $ 1,020,731 0.04% Almonde Inc, Term Loan 8.57 4/28/2025 1,000,000 $ 1,016,070 0.04% China Evergrande Group 8.75 6/28/2025 1,000,000 $ 1,014,798 0.04% Intelsat Jackson Holdings SA 9.75 7/15/2025 1,000,000 $ 1,010,000 0.04% Ancestry.com Operations Inc, Term Loan B 4.49 10/19/2023 1,000,000 $ 1,005,630 0.04% USS Ultimate Holdings Inc, Term Loan 8.98 8/8/2025 1,000,000 $ 1,005,000 0.04% Cyxtera DC Holdings Inc, Term Loan B 4.31 3/15/2024 1,000,000 $ 1,003,330 0.04% Kingpin Intermediate Holdings LLC, Term Loan B 5.57 6/29/2024 1,000,000 $ 1,002,920 0.04% GTT Communications Inc, Term Loan B 4.50 1/9/2024 997,494 $ 1,001,234 0.04% UFC Holdings LLC, Term Loan B 4.49 8/18/2023 997,487 $ 1,001,068 0.04% Bowman Park CLO Ltd 6.71 11/23/2025 1,000,000 $ 1,000,077 0.03% PRPM 2017-2 LLC 3.47 9/25/2022 1,000,000 $ 999,903 0.03% United States Treasury Note/Bond 0.75 4/30/2018 1,000,000 $ 997,107 0.03% Unitymedia Finance LLC, Term Loan B 3.49 9/8/2025 998,820 $ 995,574 0.03% Gabon Government International Bond 6.95 6/16/2025 1,000,000 $ 994,610 0.03% Uber Technologies Inc, Term Loan B 5.25 7/7/2023 988,005 $ 992,333 0.03% KUEHG Corp, Term Loan 9.51 8/15/2025 977,000 $ 972,115 0.03% AES Corp/VA, Term Loan B 3.32 5/19/2022 971,008 $ 971,416 0.03% Bellatrix Exploration Ltd 8.50 5/15/2020 1,040,000 $ 967,200 0.03% PF Chang's China Bistro Inc, Term Loan 6.24 8/18/2022 1,004,000 $ 953,800 0.03% Citigroup Inc 2.02 11/24/2017 945,000 $ 945,822 0.03% Hellenic Republic Treasury Bill 0.00 10/13/2017 800,000 $ 944,678 0.03% Vero Parent Inc, Term Loan B 6.31 8/9/2024 961,000 $ 941,780 0.03% Cencosud SA 4.38 7/17/2027 935,000 $ 939,208 0.03% Avanti Communications Group PLC 10.00 10/1/2021 1,124,159 $ 933,052 0.03% Securus Technologies Holdings Inc, Term Loan 9.00 4/30/2021 932,000 $ 932,774 0.03% TTM Technologies Inc 1.75 12/15/2020 550,000 $ 928,125 0.03% Tennessee Merger Sub Inc, Term Loan 3.99 1/12/2024 941,545 $ 923,307 0.03% CPS Auto Receivables Trust 2016-B 8.14 5/15/2023 855,000 $ 913,932 0.03% Hongkong & Shanghai Banking Corp Ltd/The 1.50 7/29/2049 1,100,000 $ 912,120 0.03% Halcon Resources Corp 6.75 2/15/2025 880,000 $ 910,800 0.03% California Resources Corp 8.00 12/15/2022 1,399,000 $ 909,350 0.03% Ardonagh Midco 3 PLC 8.38 7/15/2023 655,000 $ 908,418 0.03% BCP Renaissance Parent LLC, Term Loan 0.00 9/19/2024 890,000 $ 899,176 0.03% SLM Private Credit Student Loan Trust 2003-B 3.78 3/15/2033 850,000 $ 857,865 0.03%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Microchip Technology Inc 2.25 2/15/2037 708,000 $ 856,238 0.03% Hellenic Republic Treasury Bill 0.00 2/2/2018 728,000 $ 854,404 0.03% DT Auto Owner Trust 2016-2 5.43 11/15/2022 820,000 $ 851,704 0.03% Prestige Auto Receivables Trust 2016-1 5.15 11/15/2021 815,000 $ 844,510 0.03% American Express Credit Account Secured Note Trust 1.47 5/15/2020 835,000 $ 835,091 0.03% 2012-4 Quikrete Holdings Inc, Term Loan B 4.00 11/3/2023 834,571 $ 833,903 0.03% Serta Simmons Bedding LLC, Term Loan 4.80 10/20/2023 859,707 $ 833,366 0.03% WFRBS Commercial Mortgage Trust 2011-C4 5.41 6/15/2044 845,000 $ 831,963 0.03% BRF GmbH 4.35 9/29/2026 840,000 $ 825,300 0.03% 1011778 BC ULC, Term Loan B 3.52 2/16/2024 825,841 $ 824,396 0.03% NGL Energy Partners LP / NGL Energy Finance Corp 7.50 11/1/2023 825,000 $ 820,875 0.03% Colony American Homes 2014-2 4.44 7/17/2031 815,039 $ 817,896 0.03% Quintiles IMS Inc 3.25 3/15/2025 680,000 $ 816,694 0.03% Neurocrine Biosciences Inc 2.25 5/15/2024 715,000 $ 813,759 0.03% SCG Trust 2013-SRP1 4.58 11/15/2026 850,000 $ 811,913 0.03% Gruden Acquisition Inc, Term Loan 6.80 8/18/2022 823,904 $ 811,034 0.03% MEG Energy Corp 7.00 3/31/2024 940,000 $ 806,050 0.03% OneMain Financial Issuance Trust 2015-3 4.16 11/20/2028 790,000 $ 805,862 0.03% Post Holdings Inc 5.75 3/1/2027 781,000 $ 804,430 0.03% Ford Credit Auto Owner Trust 2017-A 1.35 12/15/2019 803,818 $ 804,181 0.03% FTS International Inc 8.82 6/15/2020 787,000 $ 799,789 0.03% United States Treasury Note/Bond 3.00 2/15/2047 773,000 $ 795,133 0.03% JP Morgan Chase Commercial Mortgage Securities Trust 5.74 7/15/2036 785,000 $ 793,818 0.03% 2015-SGP Grifols SA 3.20 5/1/2025 655,000 $ 787,301 0.03% NGL Energy Partners LP / NGL Energy Finance Corp 6.13 3/1/2025 845,000 $ 785,850 0.03% American Homes 4 Rent 2014-SFR2 Trust 6.23 10/17/2036 695,000 $ 776,664 0.03% Weatherford International Ltd 5.88 7/1/2021 700,000 $ 764,313 0.03% Flagstar Bancorp Inc 6.13 7/15/2021 717,000 $ 761,939 0.03% Provincia de Buenos Aires/Argentina 5.75 6/15/2019 735,000 $ 760,725 0.03% Al Aqua ZIP Bidco Pty Ltd, Term Loan 4.49 12/13/2023 757,000 $ 758,893 0.03% USI Inc/NY, Term Loan B 4.31 4/5/2024 759,691 $ 756,842 0.03% Jane Street Group LLC, Term Loan B 5.73 8/11/2022 750,000 $ 756,098 0.03% Coinstar Funding LLC Series 2017-1 5.22 4/25/2047 723,188 $ 751,813 0.03% Apidos CLO XXII 7.31 10/20/2027 750,000 $ 748,047 0.03% Carestream Dental Equipment Inc, Term Loan 4.49 8/7/2024 745,000 $ 743,368 0.03% California Resources Corp, Term Loan 11.61 12/31/2021 695,000 $ 739,828 0.03% Odebrecht Offshore Drilling Finance Ltd 0.00 10/1/2023 2,067,250 $ 739,042 0.03% Zekelman Industries Inc 9.88 6/15/2023 655,000 $ 738,513 0.03% CSMC 2014-USA OA LLC 4.37 9/15/2037 825,000 $ 735,254 0.03% Colony American Homes 2015-1 3.38 7/17/2032 730,000 $ 733,188 0.03% Spirit Realty Capital Inc 2.88 5/15/2019 725,000 $ 726,813 0.03% Netflix Inc 3.63 5/15/2027 605,000 $ 725,843 0.03%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Southwestern Energy Co 6.70 1/23/2025 715,000 $ 725,725 0.03% NGL Energy Partners LP / NGL Energy Finance Corp 5.13 7/15/2019 725,000 $ 725,000 0.03% Apple Inc 1.51 2/7/2020 720,000 $ 721,329 0.03% HarborView Mortgage Loan Trust 2003-2 1.98 10/19/2033 741,203 $ 720,241 0.03% NextGear Floorplan Master Owner Trust 2.08 4/18/2022 715,000 $ 719,001 0.03% KMG Chemicals Inc, Term Loan B 5.49 6/13/2024 710,160 $ 718,739 0.03% Tesla Inc 5.30 8/15/2025 735,000 $ 716,625 0.03% Aleris International Inc 9.50 4/1/2021 672,000 $ 715,680 0.03% Motor 2017-1 PLC 1.77 9/25/2024 715,000 $ 715,556 0.03% Cenovus Energy Inc 5.40 6/15/2047 720,000 $ 715,192 0.03% BWAY Corp, Term Loan B 4.48 4/3/2024 713,213 $ 714,867 0.03% Gulfport Energy Corp 6.38 5/15/2025 705,000 $ 713,813 0.02% Stillwater Mining Co 6.13 6/27/2022 700,000 $ 710,850 0.02% New Arclin US Holding Corp, Term Loan 10.17 2/7/2025 703,000 $ 709,151 0.02% Cronos Containers Program I Ltd 3.27 11/18/2029 709,167 $ 708,083 0.02% Inter-American Development Bank 2.38 7/7/2027 712,000 $ 704,811 0.02% Cox Communications Inc 4.50 6/30/2043 765,000 $ 704,216 0.02% Invitation Homes 2015-SFR1 Trust 5.43 3/17/2032 690,000 $ 701,019 0.02% Kloeckner Pentaplast of America Inc, Term Loan B 5.55 6/29/2022 700,000 $ 700,875 0.02% IndyMac INDX Mortgage Loan Trust 2005-AR11 3.30 8/25/2035 774,218 $ 700,678 0.02% Cemex SAB de CV 6.13 5/5/2025 650,000 $ 699,563 0.02% Ziggo Secured Finance Partnership, Term Loan E 3.73 4/15/2025 700,122 $ 699,513 0.02% Finisar Corp 0.50 12/15/2036 745,000 $ 698,438 0.02% McAfee, Term Loan 0.00 9/27/2024 695,000 $ 698,128 0.02% International Car Wash Group Ltd, Term Loan 0.00 9/25/2024 693,000 $ 695,599 0.02% CenturyLink Escrow LLC, Term Loan B 2.75 1/15/2025 715,000 $ 692,478 0.02% RCO Mortgage LLC 2017-1 3.38 8/25/2022 691,257 $ 692,160 0.02% Wachovia Bank Commercial Mortgage Trust Series 5.36 5/15/2043 740,828 $ 688,264 0.02% 2006-C25 Chesapeake Energy Corp 5.50 9/15/2026 745,000 $ 683,538 0.02% Macquarie Infrastructure Corp 2.00 10/1/2023 705,000 $ 682,969 0.02% Bass Pro Group LLC, Term Loan B 6.30 11/15/2023 725,000 $ 682,102 0.02% Blackbird Capital Aircraft Lease Securitization Ltd 2016-1 5.68 12/16/2041 675,625 $ 680,514 0.02% Ladder Capital Finance Holdings LLLP / Ladder Capital 5.88 8/1/2021 665,000 $ 679,963 0.02% Finance Corp Surgery Center Holdings Inc, Term Loan 4.49 6/20/2024 680,000 $ 674,050 0.02% Sprint Communications Inc, Term Loan B 3.75 1/31/2024 671,625 $ 672,048 0.02% Albertson's LLC, Term Loan B4 3.99 8/25/2021 690,928 $ 665,557 0.02% NRG Yield Inc 3.50 2/1/2019 650,000 $ 660,563 0.02% Freddie Mac Structured Agency Credit Risk Debt Notes 6.39 10/25/2029 620,000 $ 655,685 0.02% Citigroup Mortgage Loan Trust 2005-3 3.46 8/25/2035 655,407 $ 655,140 0.02% Morgan Stanley Capital I Trust 2007-TOP27 6.15 6/11/2042 590,000 $ 654,469 0.02% YPF SA 6.95 7/21/2027 615,000 $ 651,900 0.02% Banco Supervielle SA 25.04 8/9/2020 11,000,000 $ 649,482 0.02%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS DISH DBS Corp 5.88 11/15/2024 615,000 $ 644,597 0.02% Truck Hero Inc, Term Loan 5.34 5/16/2024 643,307 $ 642,232 0.02% NAB Holdings LLC, Term Loan B 4.80 6/14/2024 638,400 $ 641,196 0.02% Structured Adjustable Rate Mortgage Loan Trust 1.55 7/25/2035 764,119 $ 640,677 0.02% JBS USA LUX SA / JBS USA Finance Inc 7.25 6/1/2021 625,000 $ 637,500 0.02% Toronto-Dominion Bank/The 1.72 1/18/2019 630,000 $ 631,984 0.02% Colony NorthStar Inc 3.88 1/15/2021 625,000 $ 626,953 0.02% Digicert Holdings Inc, Term Loan 0.00 9/19/2025 619,000 $ 623,902 0.02% Capital One Multi-Asset Execution Trust 2.00 1/17/2023 620,000 $ 621,785 0.02% Fannie Mae Connecticut Avenue Securities 6.09 10/25/2029 600,000 $ 619,031 0.02% Wells Fargo & Co 1.94 4/23/2018 615,000 $ 616,966 0.02% MASTR Adjustable Rate Mortgages Trust 2005-2 3.29 3/25/2035 648,505 $ 612,607 0.02% PepsiCo Inc 1.57 10/4/2019 610,000 $ 612,296 0.02% Time Warner Cable LLC 4.50 9/15/2042 645,000 $ 611,297 0.02% Exxon Mobil Corp 1.47 3/15/2019 610,000 $ 611,003 0.02% American Express Credit Corp 2.09 11/5/2018 605,000 $ 609,822 0.02% Toyota Motor Credit Corp 1.74 10/18/2019 605,000 $ 609,013 0.02% Morgan Stanley 2.59 4/25/2018 605,000 $ 608,686 0.02% Bank of America Corp 2.39 3/22/2018 605,000 $ 607,571 0.02% Berkshire Hathaway Finance Corp 1.87 3/7/2018 605,000 $ 606,528 0.02% JPMorgan Chase & Co 2.21 1/25/2018 605,000 $ 606,527 0.02% Merck & Co Inc 1.68 5/18/2018 605,000 $ 606,347 0.02% Sumitomo Mitsui Banking Corp 2.05 7/23/2018 600,000 $ 602,711 0.02% Securus Technologies Holdings Inc, Term Loan 0.00 6/20/2025 598,000 $ 601,738 0.02% Freddie Mac Structured Agency Credit Risk Debt Notes 3.73 3/25/2030 600,000 $ 600,719 0.02% PlayCore Inc, Term Loan 0.00 9/18/2024 592,000 $ 594,960 0.02% Petrobras Global Finance BV 5.30 1/27/2025 589,687 $ 588,802 0.02% Element Fleet Management Corp 5.13 6/30/2019 725,000 $ 588,309 0.02% Sundial Brands LLC, Term Loan 7.49 8/11/2024 594,000 $ 585,090 0.02% GS Mortgage Securities Trust 2007-GG10 5.95 8/10/2045 572,517 $ 584,714 0.02% Colony American Finance 2015-1 Ltd 5.65 10/15/2047 550,000 $ 581,395 0.02% IndyMac INDX Mortgage Loan Trust 2004-AR12 2.02 12/25/2034 631,110 $ 580,435 0.02% Sofi Professional Loan Program 2016-A LLC 3.57 1/26/2038 577,624 $ 579,968 0.02% Odebrecht Offshore Drilling Finance Ltd 0.00 10/1/2023 1,614,936 $ 577,340 0.02% First Investors Auto Owner Trust 2015-2 4.22 12/15/2021 565,000 $ 576,085 0.02% Petrobras Global Finance BV 5.63 5/20/2043 645,000 $ 575,663 0.02% Provincia de Buenos Aires/Argentina 6.50 2/15/2023 545,000 $ 574,517 0.02% BCPE Eagle Buyer LLC, Term Loan 9.24 3/8/2025 574,000 $ 572,565 0.02% American Express Issuance Trust II 1.66 8/15/2019 570,000 $ 572,034 0.02% Ludgate Funding PLC 0.90 1/1/2061 432,283 $ 563,832 0.02% Freddie Mac Structured Agency Credit Risk Debt Notes 3.09 10/25/2027 550,000 $ 561,871 0.02% Valeant Pharmaceuticals International Inc 6.13 4/15/2025 635,000 $ 556,419 0.02% Capital One NA/Mclean VA 2.46 8/17/2018 550,000 $ 554,133 0.02%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS SunPower Corp 0.75 6/1/2018 575,000 $ 550,563 0.02% VOLT LIV LLC 6.00 2/25/2047 545,000 $ 549,499 0.02% Chief Power Finance LLC, Term Loan B 5.99 12/31/2020 864,334 $ 540,209 0.02% Toyota Auto Receivables 2017-A Owner Trust 1.30 9/16/2019 540,000 $ 540,100 0.02% JBS USA LUX SA / JBS USA Finance Inc 5.75 6/15/2025 540,000 $ 537,975 0.02% CAM Mortgage Trust 5.00 1/15/2056 545,000 $ 535,595 0.02% iStar Inc 3.13 9/15/2022 530,000 $ 534,638 0.02% Virgin Media Bristol LLC, Term Loan I 3.98 1/31/2025 530,000 $ 531,791 0.02% Banco Hipotecario SA 22.48 1/12/2020 9,230,000 $ 527,345 0.02% Toys R US - Delaware Inc, Term Loan 0.00 1/22/2019 521,000 $ 526,210 0.02% TTM Technologies Inc 5.63 10/1/2025 520,000 $ 526,175 0.02% Landry's Inc 6.75 10/15/2024 520,000 $ 525,850 0.02% Dukinfield 2 Plc 1.58 12/20/2052 387,647 $ 524,721 0.02% Vale Overseas Ltd 6.25 8/10/2026 460,000 $ 521,962 0.02% VOLT LVI LLC 3.50 3/25/2047 515,916 $ 519,873 0.02% TGP Holdings III LLC, Term Loan 0.00 9/25/2025 516,000 $ 516,000 0.02% Suzano Austria GmbH 5.75 7/14/2026 480,000 $ 515,664 0.02% Valeant Pharmaceuticals International Inc 4.50 5/15/2023 510,000 $ 513,858 0.02% Wells Fargo Mortgage Backed Securities 2004-I Trust 3.44 7/25/2034 495,594 $ 502,820 0.02% WFRBS Commercial Mortgage Trust 2012-C6 5.77 4/15/2045 500,000 $ 501,072 0.02% Acuity Specialty Products Inc, Term Loan 5.23 8/9/2024 500,000 $ 500,625 0.02% Discover Card Execution Note Trust 1.53 8/17/2020 495,000 $ 495,518 0.02% Morgan Stanley Capital I Trust 2011-C2 5.67 6/15/2044 475,000 $ 491,693 0.02% CLI Funding V LLC 3.38 10/18/2029 489,363 $ 489,074 0.02% Provincia de Buenos Aires/Argentina 7.88 6/15/2027 450,000 $ 487,710 0.02% TransDigm Inc, Term Loan F 4.24 6/9/2023 486,093 $ 487,259 0.02% BioMarin Pharmaceutical Inc 1.50 10/15/2020 400,000 $ 478,750 0.02% Change Healthcare Holdings LLC, Term Loan B 3.99 2/3/2024 473,744 $ 474,810 0.02% Freddie Mac Structured Agency Credit Risk Debt Notes 3.44 2/25/2024 455,197 $ 469,814 0.02% BRF SA 7.75 5/22/2018 1,500,000 $ 467,692 0.02% Fresh Market Inc/The 9.75 5/1/2023 762,000 $ 464,820 0.02% Toyota Auto Receivables 2017-A Owner Trust 1.73 2/16/2021 460,000 $ 459,709 0.02% CBS Radio Inc 7.25 11/1/2024 430,000 $ 459,025 0.02% HSBC Bank PLC 1.81 9/29/2049 550,000 $ 456,070 0.02% Gates Global LLC, Term Loan B1 4.58 3/29/2024 453,679 $ 455,381 0.02% Colony American Homes 2014-1 4.03 5/17/2031 450,000 $ 452,621 0.02% Acorda Therapeutics Inc 1.75 6/15/2021 500,000 $ 451,250 0.02% Nissan Auto Receivables 2016-B Owner Trust 1.53 4/15/2019 446,809 $ 447,079 0.02% Inc 2.25 11/15/2040 300,000 $ 443,063 0.02% GTT Communications Inc 7.88 12/31/2024 416,000 $ 442,000 0.02% Almonde Inc, Term Loan 4.82 4/26/2024 440,000 $ 441,808 0.02% Ford Credit Auto Owner Trust 2016-B 1.54 3/15/2019 441,615 $ 441,788 0.02% Tidewater Sales Finance Master Trust Series 2017-A 4.55 4/15/2021 435,000 $ 434,721 0.02%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Avolon TLB Borrower 1 US LLC, Term Loan B2 0.00 4/3/2022 430,000 $ 430,804 0.02% Tesla Inc 2.38 3/15/2022 350,000 $ 429,844 0.02% Avolon TLB Borrower 1 US LLC, Term Loan B2 3.99 1/20/2022 428,925 $ 429,727 0.02% MASTR Alternative Loan Trust 2004-8 6.00 9/25/2034 403,362 $ 428,452 0.01% SM Energy Co 6.13 11/15/2022 425,000 $ 426,063 0.01% GCA2014 Holdings Ltd - Class C 6.00 1/5/2030 615,812 $ 424,910 0.01% DHX Media Ltd, Term Loan B 4.99 12/22/2023 425,933 $ 424,335 0.01% Cosan Luxembourg SA 7.00 1/20/2027 390,000 $ 422,682 0.01% Imagine! Print Solutions Inc, Term Loan 10.05 6/21/2023 427,000 $ 418,460 0.01% Freddie Mac Structured Agency Credit Risk Debt Notes 4.69 10/25/2029 390,000 $ 412,369 0.01% Alternative Loan Trust 2005-14 1.45 5/25/2035 438,339 $ 411,499 0.01% Cobalt International Energy Inc 3.13 5/15/2024 2,155,000 $ 409,450 0.01% VOLT LVI LLC 5.88 3/25/2047 405,000 $ 407,996 0.01% Ghana Government International Bond 9.25 9/15/2022 367,000 $ 407,847 0.01% EP Energy LLC / Everest Acquisition Finance Inc 9.38 5/1/2020 487,000 $ 405,428 0.01% GMACM Mortgage Loan Trust 2005-AR1 3.90 3/18/2035 400,684 $ 405,234 0.01% Fifth Third Auto Trust 2017-1 1.39 4/15/2020 405,000 $ 405,073 0.01% Bayview Opportunity Master Fund IIIa Trust 2017-RN7 3.10 9/28/2032 405,000 $ 405,000 0.01% Siemens Financieringsmaatschappij NV 1.60 5/25/2018 400,000 $ 400,654 0.01% Inc, Term Loan B 4.58 1/26/2021 466,375 $ 398,919 0.01% Continental Resources Inc/OK 5.00 9/15/2022 390,000 $ 396,338 0.01% SCG Trust 2013-SRP1 4.73 11/15/2026 400,000 $ 396,305 0.01% BCP Raptor LLC, Term Loan 5.51 6/7/2024 389,025 $ 391,577 0.01% Icahn Enterprises LP / Icahn Enterprises Finance Corp 6.75 2/1/2024 370,000 $ 390,350 0.01% YPF SA 24.10 7/7/2020 410,000 $ 386,715 0.01% John Deere Capital Corp 1.59 1/16/2018 384,000 $ 384,273 0.01% Green Plains Inc, Term Loan B 6.70 8/18/2023 380,000 $ 380,315 0.01% Honda Auto Receivables 2017-3 Owner Trust 1.79 9/20/2021 380,000 $ 379,608 0.01% Nissan Auto Receivables 2017-A Owner Trust 1.74 8/16/2021 375,000 $ 374,770 0.01% COMM 2016-SAVA Mortgage Trust 4.24 10/15/2034 370,000 $ 373,929 0.01% Ajax Mortgage Loan Trust 2016-B 4.00 9/25/2065 373,276 $ 372,708 0.01% CSFB Mortgage-Backed Pass-Through Certificates Series 5.25 11/25/2020 384,636 $ 372,006 0.01% 2005-10 Meritor Inc 3.25 10/15/2037 350,000 $ 370,781 0.01% Wachovia Bank Commercial Mortgage Trust Series 5.48 12/15/2043 368,000 $ 370,043 0.01% 2007-C30 VOLT LV LLC 3.50 3/25/2047 361,857 $ 364,528 0.01% SM Energy Co 5.00 1/15/2024 385,000 $ 362,863 0.01% SCG Trust 2013-SRP1 3.74 11/15/2026 365,000 $ 359,466 0.01% Cox Communications Inc 4.70 12/15/2042 380,000 $ 356,155 0.01% General Electric Co 2.01 4/2/2018 354,000 $ 355,285 0.01% Embraer Overseas Ltd 5.70 9/16/2023 320,000 $ 350,800 0.01% Petroleos Mexicanos 7.65 11/24/2021 6,500,000 $ 349,212 0.01% Mexichem SAB de CV 4.00 10/4/2027 345,000 $ 344,448 0.01%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Global Container Assets Ltd 4.50 2/5/2030 357,071 $ 344,270 0.01% Rise Ltd 4.75 2/15/2039 339,343 $ 342,737 0.01% SLM Private Credit Student Loan Trust 2003-A 3.56 6/15/2032 340,000 $ 342,340 0.01% GCAT 2017-2 LLC 3.50 4/25/2047 342,379 $ 340,338 0.01% Verint Systems Inc 1.50 6/1/2021 345,000 $ 337,238 0.01% Invitation Homes 2015-SFR3 Trust 4.98 8/17/2032 330,000 $ 335,947 0.01% Freddie Mac Structured Agency Credit Risk Debt Notes 2.89 4/25/2024 331,112 $ 335,340 0.01% Post Holdings Inc, Term Loan B 3.50 5/17/2024 334,163 $ 334,811 0.01% HD Supply Inc, Term Loan B4 3.74 10/17/2023 332,488 $ 334,150 0.01% CLUB Credit Trust 2017-NP1 2.42 9/15/2023 330,000 $ 329,990 0.01% NGPL PipeCo LLC 7.77 12/15/2037 265,000 $ 329,925 0.01% Embraer Netherlands Finance BV 5.05 6/15/2025 310,000 $ 328,988 0.01% NeuStar Inc, Term Loan B2 5.06 3/1/2024 325,000 $ 327,301 0.01% USAA Auto Owner Trust 2015-1 1.20 6/17/2019 327,297 $ 327,186 0.01% GCAT 2017-5 LLC 3.23 7/25/2047 327,144 $ 327,160 0.01% TAL Advantage V LLC 3.55 11/20/2038 323,750 $ 323,378 0.01% Workday Inc 0.25 10/1/2022 325,000 $ 323,172 0.01% Nabors Industries Inc 0.75 1/15/2024 395,000 $ 321,184 0.01% VOLT XL LLC 4.88 11/27/2045 320,000 $ 320,729 0.01% Hertz Vehicle Financing LLC 3.29 10/25/2023 315,000 $ 312,891 0.01% SoFi Professional Loan Program 2015-A LLC 2.43 3/25/2033 306,323 $ 311,071 0.01% Honda Auto Receivables 2017-1 Owner Trust 1.72 7/21/2021 310,000 $ 309,828 0.01% American Homes 4 Rent 2014-SFR2 Trust 5.15 10/17/2036 280,000 $ 306,072 0.01% Ares Capital Corp 3.75 2/1/2022 300,000 $ 305,250 0.01% Camelot Finance LP, Term Loan 4.74 10/3/2023 302,743 $ 303,736 0.01% Embraer Netherlands Finance BV 5.40 2/1/2027 280,000 $ 303,240 0.01% Horizon Pharma Investment Ltd 2.50 3/15/2022 325,000 $ 293,516 0.01% Zayo Group LLC, Term Loan B2 3.49 1/19/2024 293,212 $ 293,447 0.01% DISH DBS Corp 7.75 7/1/2026 255,000 $ 292,783 0.01% Innoviva Inc 2.13 1/15/2023 300,000 $ 292,688 0.01% Ship Finance International Ltd 5.75 10/15/2021 275,000 $ 287,031 0.01% Viking Cruises Ltd 5.88 9/15/2027 285,000 $ 285,983 0.01% Toyota Auto Receivables 2016-D Owner Trust 1.36 5/15/2019 280,532 $ 280,614 0.01% USAA Auto Owner Trust 2016-1 1.20 6/15/2020 280,000 $ 279,161 0.01% Harbor Freight Tools USA Inc, Term Loan 4.49 8/16/2023 275,282 $ 276,314 0.01% Freddie Mac Structured Agency Credit Risk Debt Notes 5.49 11/25/2023 250,000 $ 275,001 0.01% Ajax Mortgage Loan Trust 2016-C 4.00 10/25/2057 274,624 $ 273,839 0.01% Residential Asset Securitization Trust 2005-A8CB 5.38 7/25/2035 314,173 $ 271,306 0.01% Traverse Midstream Partners LLC, Term Loan 5.33 9/21/2024 267,000 $ 270,338 0.01% Continental Resources Inc/OK 3.80 6/1/2024 280,000 $ 270,200 0.01% Towd Point Mortgage Funding 2016-Granite1 PLC 1.69 7/20/2046 200,000 $ 269,911 0.01% TGP Holdings III LLC, Term Loan 0.00 9/25/2024 268,831 $ 269,503 0.01% Quintiles IMS Inc, Term Loan B2 3.32 1/14/2025 265,000 $ 266,230 0.01%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Kabbage Asset Securitization LLC 8.00 3/15/2022 253,000 $ 264,963 0.01% Colony American Finance 2016-1 Ltd 4.64 6/15/2048 260,000 $ 264,895 0.01% DT Auto Owner Trust 2015-2 4.25 2/15/2022 260,000 $ 264,696 0.01% Tronox Finance LLC, Term Loan B 0.00 9/13/2024 263,023 $ 263,954 0.01% PRPM 2017-2 LLC 5.00 9/25/2022 270,000 $ 260,551 0.01% CCRESG Commercial Mortgage Trust 2016-HEAT 5.67 4/10/2029 255,000 $ 258,500 0.01% GreenSky Holdings LLC, Term Loan B 5.25 8/23/2024 260,000 $ 258,050 0.01% MEG Energy Corp 6.38 1/30/2023 295,000 $ 257,388 0.01% Banco Macro SA 17.50 5/8/2022 5,115,000 $ 255,731 0.01% VOLT LIV LLC 3.50 2/25/2047 254,113 $ 255,675 0.01% Ginnie Mae 0.60 1/16/2053 7,001,712 $ 255,399 0.01% BP Capital Markets PLC 1.73 2/13/2018 255,000 $ 255,338 0.01% Petrobras Global Finance BV 7.25 3/17/2044 245,000 $ 255,106 0.01% Ford Credit Auto Owner Trust 2015-B 1.16 11/15/2019 255,332 $ 255,016 0.01% Adjustable Rate Mortgage Trust 2005-1 3.31 5/25/2035 252,005 $ 254,187 0.01% Blackbird Capital Aircraft Lease Securitization Ltd 2016-1 4.21 12/16/2041 244,375 $ 254,014 0.01% JP Morgan Mortgage Trust 2006-A1 3.46 2/25/2036 271,138 $ 252,173 0.01% Alternative Loan Trust 2004-J10 6.00 9/25/2034 242,904 $ 251,430 0.01% Greenbrier Cos Inc/The 2.88 2/1/2024 220,000 $ 247,225 0.01% THUNDERBOLT AIRCRAFT LEASE LTD 5.75 5/17/2032 244,048 $ 247,181 0.01% AASET 2017-1 Trust 3.97 5/16/2042 244,325 $ 245,969 0.01% Structured Adjustable Rate Mortgage Loan Trust 3.66 9/25/2034 242,384 $ 245,906 0.01% AP Exhaust Acquisition LLC, Term Loan 6.31 5/9/2024 250,373 $ 243,800 0.01% Oak Hill Advisors Residential Loan Trust 2017-NPLA 3.00 6/25/2057 239,127 $ 239,251 0.01% Ionis Pharmaceuticals Inc 1.00 11/15/2021 225,000 $ 237,656 0.01% NGPL PipeCo LLC 4.88 8/15/2027 225,000 $ 235,766 0.01% Consolidated Communications Inc, Term Loan B 4.24 10/5/2023 239,705 $ 232,979 0.01% VOLT LXI LLC 3.13 6/25/2047 231,900 $ 232,494 0.01% Nissan Auto Receivables 2017-A Owner Trust 1.29 1/15/2020 230,000 $ 230,000 0.01% KAR Auction Services Inc 5.13 6/1/2025 221,000 $ 229,840 0.01% Cision US Inc, Term Loan 5.50 6/16/2023 227,000 $ 229,742 0.01% Allegheny Technologies Inc 4.75 7/1/2022 125,000 $ 228,750 0.01% MASTR Adjustable Rate Mortgages Trust 2004-7 3.31 7/25/2034 230,993 $ 225,626 0.01% Five Guys Funding LLC 4.60 7/25/2047 220,000 $ 225,392 0.01% NRG Yield Inc 3.25 6/1/2020 225,000 $ 224,578 0.01% OneMain Financial Issuance Trust 2015-1 3.19 3/18/2026 220,000 $ 222,153 0.01% Engility Corp, Term Loan B2 4.53 8/14/2023 219,719 $ 222,055 0.01% IndyMac INDX Mortgage Loan Trust 2005-AR16IP 1.88 7/25/2045 230,356 $ 221,823 0.01% SpringCastle America Funding LLC 3.05 4/25/2029 219,994 $ 221,493 0.01% Geopark Ltd 6.50 9/21/2024 220,000 $ 220,550 0.01% Engineered Machinery Holdings Inc, Term Loan 4.56 7/25/2024 220,133 $ 220,133 0.01% Bayview Opportunity Master Fund IVb Trust 2017-NPL1 3.60 1/28/2032 219,254 $ 218,687 0.01% BioMarin Pharmaceutical Inc 0.60 8/1/2024 215,000 $ 217,822 0.01%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS JP Morgan Chase Commercial Mortgage Securities Trust 3.99 1/15/2046 268,000 $ 217,248 0.01% 2013-C13 CBS Radio Inc, Term Loan B 4.75 10/6/2023 215,558 $ 217,042 0.01% Wells Fargo Mortgage Backed Securities 2003-M Trust 3.03 12/25/2033 214,035 $ 216,416 0.01% ConvergeOne Holdings Corp, Term Loan 6.05 6/14/2024 213,000 $ 212,734 0.01% Echo Global Logistics Inc 2.50 5/1/2020 220,000 $ 211,613 0.01% GCAT 2017-3 LLC 3.35 4/25/2047 207,107 $ 206,800 0.01% Rackspace Hosting Inc, Term Loan B 4.33 11/3/2023 203,976 $ 203,415 0.01% Hercules Capital Inc 4.38 2/1/2022 200,000 $ 203,125 0.01% BCAP LLC Trust 2007-AA2 6.00 3/25/2022 201,411 $ 199,951 0.01% HSBC Bank PLC 1.75 6/29/2049 240,000 $ 198,986 0.01% Nissan Auto Receivables 2016-C Owner Trust 1.18 1/15/2021 200,000 $ 198,560 0.01% RALI Series 2006-QO4 Trust 1.43 4/25/2046 210,905 $ 197,695 0.01% JP Morgan Chase Commercial Mortgage Securities Trust 6.56 2/12/2051 197,000 $ 196,056 0.01% 2007-CIBC20 AMAG Pharmaceuticals Inc 3.25 6/1/2022 200,000 $ 194,500 0.01% Bayview Opportunity Master Fund IIIb Trust 2017-RN3 3.23 5/28/2032 193,989 $ 194,147 0.01% AmeriCredit Automobile Receivables 2015-4 3.72 12/8/2021 189,000 $ 192,951 0.01% Corp 2.25 9/30/2046 180,000 $ 191,250 0.01% Atlas Air Worldwide Holdings Inc 1.88 6/1/2024 150,000 $ 191,063 0.01% RWT Holdings Inc 5.63 11/15/2019 185,000 $ 190,550 0.01% Deutsche Mortgage Securities Inc Mortgage Loan Trust 1.59 6/25/2034 202,193 $ 190,082 0.01% 2004-4 Banc of America Funding 2004-B Trust 3.38 11/20/2034 190,477 $ 190,080 0.01% TransDigm Inc, Term Loan G 4.26 8/16/2024 189,525 $ 189,739 0.01% Grupo Televisa SAB 7.25 5/14/2043 4,370,000 $ 189,127 0.01% Envision Healthcare Corp, Term Loan C 4.26 11/17/2023 188,575 $ 188,930 0.01% Eurosail-UK 2007-2np PLC 0.45 3/13/2045 142,843 $ 186,551 0.01% JP Morgan Mortgage Trust 2005-A2 3.47 4/25/2035 185,767 $ 185,111 0.01% SemGroup Corp 7.25 3/15/2026 181,000 $ 181,905 0.01% Tronox Finance PLC 5.75 10/1/2025 177,000 $ 181,425 0.01% DT Auto Owner Trust 2014-3 4.47 11/15/2021 175,000 $ 178,279 0.01% Whiting Petroleum Corp 1.25 4/1/2020 200,000 $ 178,250 0.01% OSAT 2016-NPL1 Trust 3.75 7/25/2056 176,072 $ 177,442 0.01% Inc 3.50 10/1/2026 180,000 $ 176,838 0.01% Newgate Funding 2007-3 0.27 12/15/2050 150,832 $ 176,372 0.01% Blackstone Mortgage Trust Inc 4.38 5/5/2022 175,000 $ 176,094 0.01% Viacom Inc 6.25 2/28/2057 175,000 $ 176,094 0.01% Axalta Coating Systems US Holdings Inc, Term Loan B2 3.30 6/21/2024 175,159 $ 175,944 0.01% Alternative Loan Trust 2005-J1 5.50 2/25/2025 171,999 $ 174,855 0.01% Prospect Capital Corp 4.95 7/15/2022 175,000 $ 174,344 0.01% VOLT XXIV LLC 4.25 2/25/2055 174,202 $ 174,153 0.01% Banc of America Funding 2007-4 Trust 5.50 11/25/2034 168,731 $ 172,478 0.01% Colony American Homes 2015-1 4.23 7/17/2032 170,000 $ 172,075 0.01%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Flagship Credit Auto Trust 2015-1 3.76 6/15/2021 165,000 $ 167,795 0.01% World Financial Network Credit Card Master Trust 1.71 2/15/2022 165,000 $ 165,286 0.01% Toyota Auto Receivables 2016-C 1.14 8/17/2020 165,000 $ 164,191 0.01% IndyMac INDX Mortgage Loan Trust 2004-AR7 2.46 9/25/2034 179,512 $ 163,544 0.01% GFL Environmental Inc, Term Loan B 4.05 9/27/2023 158,400 $ 158,945 0.01% VOLT LVII LLC 3.38 4/25/2047 157,443 $ 158,302 0.01% Seattle SpinCo Inc, Term Loan 3.99 4/19/2024 157,366 $ 157,563 0.01% Alternative Loan Trust 2003-22CB 5.75 12/25/2033 153,038 $ 156,950 0.01% DSLA Mortgage Loan Trust 2005-AR5 1.57 9/19/2045 188,600 $ 154,305 0.01% Spirit Realty Capital Inc 3.75 5/15/2021 150,000 $ 153,281 0.01% Cavium Inc, Term Loan B1 3.50 8/16/2022 152,680 $ 153,062 0.01% Donnelley Financial Solutions Inc, Term Loan B 7.25 9/26/2023 151,429 $ 152,092 0.01% Donnelley Financial Solutions Inc, Term Loan B 0.00 9/29/2023 151,429 $ 152,092 0.01% Rovi Corp 0.50 3/1/2020 150,000 $ 150,656 0.01% Big River Steel LLC, Term Loan 6.23 8/15/2023 148,000 $ 149,480 0.01% Boyd Gaming Corp, Term Loan B 3.69 9/15/2023 148,765 $ 149,174 0.01% Structured Asset Securities Corp Trust 2005-1 5.50 2/25/2035 144,806 $ 148,905 0.01% Walter Investment Management Corp 4.50 11/1/2019 870,000 $ 147,900 0.01% Evolent Health Inc 2.00 12/1/2021 130,000 $ 146,088 0.01% Westlake Automobile Receivables Trust 2017-1 3.46 10/17/2022 145,000 $ 145,823 0.01% Alternative Loan Trust 2004-16CB 5.50 8/25/2034 141,948 $ 145,775 0.01% Donnelley Financial Solutions Inc 8.25 10/15/2024 135,000 $ 144,450 0.01% NGPL PipeCo LLC 4.38 8/15/2022 135,000 $ 140,063 0.00% Wells Fargo Mortgage Backed Securities 2005-AR12 Trust 3.26 6/25/2035 136,807 $ 138,427 0.00% Structured Adjustable Rate Mortgage Loan Trust Series 3.31 6/25/2034 139,928 $ 138,371 0.00% 2004-6 Continental Resources Inc/OK 4.50 4/15/2023 135,000 $ 135,338 0.00% NGL Energy Partners LP / NGL Energy Finance Corp 6.88 10/15/2021 135,000 $ 135,000 0.00% MASTR Adjustable Rate Mortgages Trust 2006-2 3.65 4/25/2036 134,503 $ 133,690 0.00% Lehman XS Trust Series 2006-2N 1.50 2/25/2046 148,979 $ 131,497 0.00% Oi SA 0.00 9/15/2016 1,475,000 $ 130,401 0.00% OneMain Financial Issuance Trust 2014-2 3.02 9/18/2024 130,000 $ 130,319 0.00% GTT Communications Inc, Term Loan B 4.50 1/9/2024 129,025 $ 129,509 0.00% TMK Hawk Parent Corp, Term Loan 0.00 9/13/2024 128,274 $ 129,075 0.00% Alternative Loan Trust 2004-16CB 5.50 7/25/2034 124,851 $ 127,245 0.00% Apollo Commercial Real Estate Finance Inc 4.75 8/23/2022 125,000 $ 127,109 0.00% Sierra Timeshare 2013-3 Receivables Funding LLC 2.20 10/20/2030 126,094 $ 126,022 0.00% NYMT Residential 2016-RP1 4.00 3/25/2021 125,221 $ 125,663 0.00% Redwood Trust Inc 4.75 8/15/2023 125,000 $ 124,531 0.00% Ludgate Funding PLC 0.00 1/1/2061 108,483 $ 122,556 0.00% First Investors Auto Owner Trust 2014-2 3.47 2/15/2021 120,000 $ 120,798 0.00% Wells Fargo Mortgage Backed Securities 2005-16 Trust 6.00 1/25/2036 119,141 $ 119,927 0.00% SoFi Professional Loan Program 2015-C LLC 3.58 8/25/2036 117,663 $ 118,073 0.00% CHL Mortgage Pass-Through Trust 2005-21 5.50 10/25/2035 120,311 $ 114,984 0.00%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Tronox Blocked Borrower LLC, Term Loan B 0.00 9/13/2024 113,977 $ 114,380 0.00% Banc of America Funding 2005-7 Trust 5.75 11/25/2035 108,413 $ 114,070 0.00% Synaptics Inc 0.50 6/15/2022 125,000 $ 113,359 0.00% RMAC Securities No 1 PLC 0.00 6/12/2044 98,742 $ 113,219 0.00% Banc of America Alternative Loan Trust 2003-8 5.50 10/25/2033 109,216 $ 111,293 0.00% Tutor Perini Corp 2.88 6/15/2021 95,000 $ 110,616 0.00% First Data Corp, Term Loan 3.49 7/8/2022 107,207 $ 107,356 0.00% Seven Generations Energy Ltd 5.38 9/30/2025 104,000 $ 104,780 0.00% RFMSI Series 2006-S1 Trust 5.75 1/25/2036 103,901 $ 104,040 0.00% First Investors Auto Owner Trust 2015-1 3.59 1/18/2022 100,000 $ 100,887 0.00% Wells Fargo Mortgage Backed Securities Trust 3.53 8/25/2034 98,500 $ 100,822 0.00% VOLT XXII LLC 4.25 2/25/2055 99,692 $ 100,164 0.00% AJAX Mortgage Loan Trust 3.47 4/25/2057 98,959 $ 99,620 0.00% Brookdale Senior Living Inc 2.75 6/15/2018 100,000 $ 99,500 0.00% CHL Mortgage Pass-Through Trust 2004-HYB8 3.04 1/20/2035 98,716 $ 98,239 0.00% GCAT 2017-4 LLC 3.23 5/25/2022 96,626 $ 96,935 0.00% Gartner Inc, Term Loan B 3.24 3/15/2024 94,525 $ 95,234 0.00% Bayview Opportunity Master Fund IIIb Trust 2017-RN2 3.47 4/28/2032 94,041 $ 94,619 0.00% Lightstone Holdco LLC, Term Loan 5.74 1/30/2024 94,435 $ 93,963 0.00% CHL Mortgage Pass-Through Trust 2004-12 3.70 8/25/2034 95,342 $ 93,761 0.00% Structured Asset Securities Corp Mortgage Pass-Through 5.75 11/25/2034 90,640 $ 91,654 0.00% Certificates Series 2004-20 PRA Group Inc 3.50 6/1/2023 100,000 $ 91,563 0.00% VOLT XXII LLC 3.50 2/25/2055 91,139 $ 91,433 0.00% MASTR Alternative Loan Trust 2004-5 6.00 6/25/2034 86,914 $ 90,022 0.00% GMACM Mortgage Loan Trust 2005-AR4 4.00 7/19/2035 90,895 $ 88,051 0.00% Ashland LLC, Term Loan B 3.30 5/24/2024 84,788 $ 85,084 0.00% SM Energy Co 1.50 7/1/2021 90,000 $ 84,488 0.00% Alternative Loan Trust 2004-J3 5.50 4/25/2034 83,039 $ 84,268 0.00% Credit Suisse First Boston Mortgage Securities Corp 3.32 11/25/2033 82,416 $ 82,933 0.00% Alternative Loan Trust 2004-14T2 5.50 8/25/2034 79,405 $ 82,709 0.00% AmeriCredit Automobile Receivables Trust 2016-2 3.65 5/9/2022 80,000 $ 81,786 0.00% Intercept Pharmaceuticals Inc 3.25 7/1/2023 105,000 $ 81,113 0.00% Adjustable Rate Mortgage Trust 2004-4 3.40 3/25/2035 82,693 $ 81,092 0.00% JP Morgan Chase Commercial Mortgage Securities Trust 5.46 1/15/2049 76,783 $ 76,720 0.00% 2007-LDP10 Starwood Property Trust Inc 4.38 4/1/2023 75,000 $ 75,844 0.00% SM Energy Co 6.75 9/15/2026 75,000 $ 75,000 0.00% MASTR Alternative Loan Trust 2004-5 5.50 6/25/2034 72,359 $ 74,141 0.00% Alternative Loan Trust 2003-9T1 5.50 7/25/2033 71,105 $ 72,342 0.00% Wells Fargo Mortgage Backed Securities 2005-AR10 Trust 3.30 5/1/2035 69,822 $ 71,477 0.00% GCA2014 Holdings Ltd - Class D 7.50 1/5/2030 246,479 $ 71,035 0.00% First Investors Auto Owner Trust 2014-1 3.28 4/15/2021 70,000 $ 70,391 0.00% First Investors Auto Owner Trust 2016-2 3.35 11/15/2022 70,000 $ 69,842 0.00%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Lehman XS Trust Series 2005-7N 1.52 12/25/2035 79,987 $ 67,926 0.00% MASTR Alternative Loan Trust 2003-9 5.25 11/25/2033 64,587 $ 66,736 0.00% General Cable Corp 4.50 11/15/2029 75,000 $ 66,563 0.00% Teladoc Inc 3.00 12/15/2022 60,000 $ 65,138 0.00% TransDigm Inc, Term Loan E 4.26 5/13/2022 64,349 $ 64,480 0.00% AMC Entertainment Holdings Inc, Term Loan B 3.48 10/31/2023 64,675 $ 64,352 0.00% Alternative Loan Trust 2004-28CB 5.75 1/25/2035 63,713 $ 63,776 0.00% Banc of America Funding 2005-5 Trust 5.50 9/25/2035 58,375 $ 61,077 0.00% Rmac 2005-Ns3 PLC 0.03 6/12/2043 51,324 $ 59,137 0.00% Sierra Timeshare 2013-1 Receivables Funding LLC 1.59 11/20/2029 58,117 $ 58,072 0.00% Altice US Finance I Corp, Term Loan B 3.49 7/28/2025 56,866 $ 56,568 0.00% CSFB Mortgage-Backed Pass-Through Certificates Series 5.75 11/25/2033 52,874 $ 54,614 0.00% 2003-27 Credit Suisse First Boston Mortgage Securities Corp 3.33 12/25/2033 53,828 $ 53,960 0.00% Evergreen Skills Lux Sarl, Term Loan 4.02 4/8/2021 53,250 $ 53,361 0.00% Ford Credit Auto Owner Trust 2016-A 1.63 12/15/2018 52,885 $ 52,893 0.00% CHL Mortgage Pass-Through Trust 2004-HYB4 3.51 9/20/2034 52,247 $ 50,802 0.00% GSR Mortgage Loan Trust 2005-4F 6.50 2/25/2035 50,468 $ 50,501 0.00% SoFi Professional Loan Program 2014-B LLC 2.48 8/25/2032 49,579 $ 50,164 0.00% Banc of America Mortgage 2005-A Trust 3.47 2/25/2035 50,047 $ 49,859 0.00% CSC Holdings LLC, Term Loan 3.48 7/15/2025 44,775 $ 44,487 0.00% Merrill Lynch Mortgage Investors Trust Series MLCC 3.12 5/25/2036 43,106 $ 43,068 0.00% 2006-2 California Resources Corp 6.00 11/15/2024 89,000 $ 40,495 0.00% SunEdison Inc 0.00 1/15/2020 1,425,000 $ 30,353 0.00% VOLT XXIV LLC 3.50 2/25/2055 28,986 $ 29,150 0.00% Wells Fargo Mortgage Backed Securities 2005-11 Trust 5.50 11/25/2035 25,672 $ 26,539 0.00% Seattle SpinCo Inc, Term Loan 3.99 4/19/2024 23,302 $ 23,331 0.00% Engineered Machinery Holdings Inc, Delay-Draw Term 6.50 7/25/2024 22,013 $ 22,013 0.00% Loan DD SM Energy Co 6.50 1/1/2023 20,000 $ 20,150 0.00% OneMain Financial Issuance Trust 2014-2 2.47 9/18/2024 17,386 $ 17,406 0.00% SunEdison Inc 0.00 1/1/2021 725,000 $ 15,443 0.00% CAM Mortgage Trust 4.00 1/15/2056 13,608 $ 13,632 0.00% VOLT XIX LLC 3.88 4/25/2055 10,881 $ 10,885 0.00% California Resources Corp 5.50 9/15/2021 18,000 $ 10,080 0.00% Toyota Auto Receivables 2014-C Owner Trust 0.93 7/16/2018 9,033 $ 9,031 0.00% SunEdison Inc 0.00 10/1/2018 400,000 $ 8,520 0.00% Commercial Mortgage Trust 2007-GG11 6.47 12/10/2049 5,319 $ 5,309 0.00% OGX Austria GmbH 0.00 4/1/2022 1,100,000 $ 110 0.00% OGX Austria GmbH 0.00 6/1/2018 600,000 $ 6 0.00% Alpha Natural Resources Inc 0.00 12/15/2020 100,000 $ - 0.00% Bonanza Creek Energy Inc 0.00 4/15/2021 55,000 $ - 0.00% GCA2014 Holdings Ltd - Class E 0.00 1/5/2030 1,030,000 $ - 0.00%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

SCHEDULE OF INVESTMENTS

ISSUER COUPON MATURITY SHARES/ PAR MARKET % TOTAL NET RATE DATE VALUE VALUE ASSETS Midstates Petroleum Co Inc 0.00 6/1/2020 1,471,000 $ - 0.00% GenOn Energy Inc, Term Loan 0.00 11/30/2017 -11,521,000 $ - 0.00% Engineered Machinery Holdings Inc, Delay-Draw Term 0.00 7/25/2024 -6,604 $ - 0.00% Loan DD Shutterfly Inc, Term Loan 0.00 8/9/2024 -500,000 $ - 0.00% TMK Hawk Parent Corp, Term Loan 0.00 9/13/2024 -5,726 $ - 0.00% PlayCore Inc, Term Loan 0.00 9/18/2024 -80,000 $ - 0.00% TGP Holdings III LLC, Delay-Draw Term Loan DD 0.00 9/25/2024 -42,169 $ - 0.00%

Total Fixed Income Securities $ 1,282,677,333 44.88%

Investment Companies BlackRock Liquidity Funds FedFund Portfolio 0.93 12/31/2049 269,467,100 $ 269,467,100 9.43% Goldman Sachs Financial Square Funds - Government 0.93 12/31/2049 109,037,129 $ 109,037,129 3.82% Fund Wells Fargo Advantage Government Money Market Fund 0.86 12/31/2049 41,807,531 $ 41,807,531 1.46% First American Government Obligations Fund 0.89 12/31/2049 31,713,018 $ 31,713,018 1.11% Morgan Stanley Institutional Liquidity Funds - Government 0.91 12/31/2049 10,425,376 $ 10,425,376 0.36% Portfolio Financial Select Sector SPDR Fund 30,168 $ 780,144 0.03%

Total Investment Companies $ 463,230,298 16.21%

Senior Floating Rate Interests No Data Available 0.00 9/27/2024 283,000 $ 283,000 0.01%

Total Senior Floating Rate Interests $ 283,000 0.01%

Short Term Securities Merrill Lynch Repurchase Agreement 0.43 10/2/2017 20,683,423 $ 20,683,423 0.72% Merrill Lynch Repurchase Agreement 1.18 10/2/2017 19,681,760 $ 19,681,760 0.69% Merrill Lynch Repurchase Agreement 1.05 10/2/2017 11,752,748 $ 11,752,748 0.41% Merrill Lynch Repurchase Agreement 1.18 10/2/2017 11,660,925 $ 11,660,925 0.41% Merrill Lynch Repurchase Agreement -0.40 10/2/2017 9,355,553 $ 9,355,553 0.33% Barclays Bank PLC Repurchase Agreement -0.50 9/27/2018 6,228,075 $ 6,228,075 0.22% Barclays Bank PLC Repurchase Agreement 0.00 9/27/2018 6,140,400 $ 6,140,400 0.21% Merrill Lynch Repurchase Agreement 0.25 6/7/2018 5,365,058 $ 5,365,058 0.19% Merrill Lynch Repurchase Agreement 1.18 10/2/2017 5,209,669 $ 5,209,669 0.18% Barclays Bank PLC Repurchase Agreement 0.60 7/26/2018 4,333,102 $ 4,333,102 0.15% Merrill Lynch Repurchase Agreement 0.43 10/2/2017 3,794,505 $ 3,794,505 0.13% Merrill Lynch Repurchase Agreement 1.18 10/2/2017 3,357,240 $ 3,357,240 0.12% Merrill Lynch Repurchase Agreement 0.25 6/30/2018 1,423,240 $ 1,423,240 0.05% Merrill Lynch Repurchase Agreement 0.00 6/30/2018 649,578 $ 649,578 0.02%

Total Short Term Securities $ 109,635,273 3.84%

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

Total Market Value $ 3,018,889,947 105.64%

Cash -161,096,780 -5.64%

Total Net Assets $ 2,857,793,167 100.00%

Securities Sold Short

ISSUER SHARES/ PAR MARKET VALUE VALUE SunPower Corp (231.00) $(1,683.99) Evolent Health Inc (425.00) $(7,565.00) Starwood Property Trust Inc (362.00) $(7,862.64) Prospect Capital Corp (1,662.00) $(11,168.64) First Financial Bancorp (557.00) $(14,565.55) Jardine Cycle & Carriage Ltd (700.00) $(20,370.10) Redwood Trust Inc (1,551.00) $(25,265.79) Ares Capital Corp (1,654.00) $(27,109.06) Nice Systems Inc (25,000.00) $(28,187.50) Apollo Commercial Real Estate Finance Inc (1,561.00) $(28,269.71) Blackstone Mortgage Trust Inc (981.00) $(30,430.62) Synaptics Inc (806.00) $(31,579.08) General Cable Corp (1,862.00) $(35,098.70) Littelfuse Inc (186.00) $(36,433.68) PRA Group Inc (1,299.00) $(37,216.35) NRG Yield Inc - C Shares (2,618.00) $(50,527.40) Teladoc Inc (50,000.00) $(54,281.25) Spirit Realty Capital Inc (6,550.00) $(56,133.50) Proofpoint Inc (50,000.00) $(62,468.75) Dominion Energy Inc (892.00) $(68,621.56) Potash Corp of Saskatchewan Inc (3,876.00) $(74,574.24) South State Corp (910.00) $(81,945.50) Element Fleet Management Corp (11,133.00) $(82,532.76) Blackhawk Network Holdings Inc (75,000.00) $(83,718.75) RealPage Inc (75,000.00) $(87,187.50) AMAG Pharmaceuticals Inc (5,116.00) $(94,390.20) Colony NorthStar Inc (7,920.00) $(99,475.20) Ship Finance International Ltd (6,894.00) $(99,963.00) Liberty Ventures (1,811.00) $(104,223.05) Liberty Expedia Holdings Inc (100,000.00) $(106,312.50)

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

Alamos Gold Inc (15,783.00) $(106,632.49) Post Holdings Inc (1,232.00) $(108,748.64) Rexnord Corp (4,913.00) $(124,839.33) Acorda Therapeutics Inc (5,522.00) $(130,595.30) Chesapeake Energy Corp (30,386.00) $(130,659.80) Macquarie Infrastructure Corp (125,000.00) $(132,734.38) Atlas Air Worldwide Holdings Inc (2,027.00) $(133,376.60) ServiceNow Inc (125,000.00) $(134,453.13) Square Inc (100,000.00) $(140,312.50) Credit Saison Co Ltd (6,900.00) $(143,172.39) Innoviva Inc (10,319.00) $(145,704.28) Meritor Inc (5,874.00) $(152,782.74) NRG Yield Inc - A Shares (8,592.00) $(162,990.24) Twitter Inc (10,156.00) $(171,331.72) Ascena Retail Group Inc (71,759.00) $(175,809.55) PacWest Bancorp (3,593.00) $(181,482.43) Allegheny Technologies Inc (7,872.00) $(188,140.80) Advanced Micro Devices Inc (14,783.00) $(188,483.25) Teva Pharmaceutical Industries Ltd (11,252.00) $(198,035.20) Stericycle Inc (2,908.00) $(208,270.96) Helmerich & Payne Inc (4,325.00) $(225,375.75) VanEck Vectors Oil Services ET (8,667.00) $(225,948.69) Lundin Petroleum AB (10,390.00) $(227,675.20) Patterson-UTI Energy Inc (11,002.00) $(230,381.88) NCR Corp (6,182.00) $(231,948.64) Superior Energy Services Inc (22,014.00) $(235,109.52) Quintiles IMS Holdings Inc (2,519.00) $(239,481.33) Dick's Sporting Goods Inc (9,288.00) $(250,868.88) Foot Locker Inc (7,257.00) $(255,591.54) Nuance Communications Inc (275,000.00) $(257,468.75) Priceline Group Inc/The (225,000.00) $(258,187.50) Columbia Banking System Inc (6,144.00) $(258,723.84) GNC Holdings Inc (29,363.00) $(259,568.92) Visa Inc (2,526.00) $(265,836.24) Bank of Queensland Ltd (26,334.00) $(268,736.32) Invitation Homes Inc (12,150.00) $(275,197.50) Tesla Inc (834.00) $(284,477.40) Baloise Holding AG (1,800.00) $(285,035.63) Essity AB (10,513.00) $(286,626.88) Cenveo Corp (642,000.00) $(288,900.00) Expedia Inc (2,009.00) $(289,175.46) Home BancShares Inc/AR (11,630.00) $(293,308.60) Neurocrine Biosciences Inc (275,000.00) $(312,984.38) Keyera Corp (10,300.00) $(314,840.31) Martin Marietta Materials Inc (1,527.00) $(314,913.21) Atco Ltd/Canada (9,400.00) $(345,037.07)

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

Yokohama Rubber Co Ltd/The (16,900.00) $(348,530.64) Ensco PLC (58,436.00) $(348,862.92) Capita PLC (46,347.00) $(350,667.49) Siemens AG (2,497.00) $(352,348.23) G-III Apparel Group Ltd (12,192.00) $(353,811.84) AerCap Holdings NV (7,101.00) $(362,932.11) Liberty Interactive Corp QVC Group (15,399.00) $(362,954.43) Vail Resorts Inc (1,606.00) $(366,360.72) AutoZone Inc (620.00) $(368,968.20) Sterling Bancorp/DE (15,026.00) $(370,390.90) MacDonald Dettwiler & Associates Ltd (6,585.00) $(374,596.91) SCANA Corp (7,777.00) $(377,106.73) MAN SE (3,392.00) $(382,901.37) PLC (9,278.00) $(384,573.10) Perrigo Co PLC (4,562.00) $(386,173.30) Seattle Genetics Inc (7,150.00) $(389,031.50) Vishay Intertechnology Inc (20,727.00) $(389,667.60) Empire Co Ltd (22,200.00) $(392,847.93) Singapore Airlines Ltd (53,700.00) $(398,193.62) Paddy Power Betfair PLC (4,010.00) $(399,550.94) CIT Group Inc (8,308.00) $(407,507.40) DeNA Co Ltd (18,200.00) $(408,229.20) Vantiv Inc (5,807.00) $(409,219.29) Colruyt SA (8,248.00) $(422,608.92) Best Buy Co Inc (7,439.00) $(423,725.44) Oriental Land Co Ltd/Japan (5,600.00) $(426,942.38) Xcel Energy Inc (9,154.00) $(433,167.28) Swisscom AG (850.00) $(435,800.10) Yaskawa Electric Corp (14,100.00) $(447,529.58) HSBC Holdings PLC (45,424.00) $(449,053.44) PulteGroup Inc (16,578.00) $(453,076.74) Domino's Pizza Enterprises Ltd (12,911.00) $(465,159.17) Shopify Inc (4,000.00) $(465,221.40) Challenger Ltd/Australia (47,613.00) $(466,715.37) First Horizon National Corp (24,375.00) $(466,781.25) JFE Holdings Inc (23,900.00) $(467,479.28) Splunk Inc (7,095.00) $(471,320.85) DexCom Inc (9,685.00) $(473,838.63) ProPetro Holding Corp (33,180.00) $(476,133.00) United Technologies Corp (4,129.00) $(479,294.32) Discovery Communications Inc - C Shares (23,738.00) $(480,931.88) Cabot Oil & Gas Corp (18,149.00) $(485,485.75) Taiyo Nippon Sanso Corp (41,400.00) $(490,643.32) Takeda Pharmaceutical Co Ltd (8,900.00) $(492,133.87) JC Penney Co Inc (129,672.00) $(494,050.32) Keane Group Inc (29,700.00) $(495,396.00)

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

Keikyu Corp (24,500.00) $(496,853.41) L Brands Inc (12,068.00) $(502,149.48) Liberty Broadband Corp - C Shares (5,290.00) $(504,137.00) Altice NV - A Shares (25,163.00) $(504,160.52) Weatherford International PLC (113,162.00) $(518,281.96) Mazda Motor Corp (34,300.00) $(525,473.34) Provident Financial PLC (47,757.00) $(531,754.07) DXC Technology Co (6,227.00) $(534,774.76) REA Group Ltd (10,377.00) $(546,595.11) TOTAL SA (10,253.00) $(550,526.08) Chugoku Bank Ltd/The (40,300.00) $(552,723.76) J Front Retailing Co Ltd (40,300.00) $(557,199.50) Telenet Group Holding NV (8,636.00) $(571,640.96) Mondelez International Inc (14,170.00) $(576,152.20) WR Berkley Corp (8,767.00) $(585,109.58) Woodside Petroleum Ltd (25,935.00) $(593,861.80) Zayo Group Holdings Inc (17,288.00) $(595,052.96) Kyushu Electric Power Co Inc (56,200.00) $(597,039.30) MTR Corp Ltd (102,063.00) $(597,601.09) Allianz SE (2,703.00) $(607,054.76) Antero Resources Corp (30,974.00) $(616,382.60) SPDR S&P Oil & Gas Equipment & Services ETF (37,240.00) $(617,439.20) Praxair Inc (4,428.00) $(618,768.72) Odakyu Electric Railway Co Ltd (33,200.00) $(629,972.00) Harley-Davidson Inc (13,242.00) $(638,396.82) Colombia Government International Bond (598,000.00) $(638,664.00) Sumitomo Mitsui Trust Holdings Inc (18,000.00) $(650,208.74) Canadian Imperial Bank of Commerce (7,600.00) $(664,950.51) Dell Technologies Inc Class V (8,616.00) $(665,241.36) Koninklijke Vopak NV (15,414.00) $(675,960.97) Ciena Corp (31,020.00) $(681,509.40) First Data Corp (37,833.00) $(682,507.32) Black Hills Corp (9,938.00) $(684,430.06) Toray Industries Inc (71,400.00) $(692,821.55) Tractor Supply Co (11,110.00) $(703,151.90) AT&T Inc (18,000.00) $(705,060.00) Envision Healthcare Corp (15,844.00) $(712,187.80) Marui Group Co Ltd (50,200.00) $(718,625.66) JCDecaux SA (19,498.00) $(731,001.15) AEON Financial Service Co Ltd (35,000.00) $(732,193.61) Chubb Ltd (5,159.00) $(735,415.45) FirstEnergy Corp (23,918.00) $(737,391.94) RPC Inc (29,965.00) $(742,832.35) GEA Group AG (16,397.00) $(746,444.85) Cameco Corp (78,000.00) $(753,275.90) Electric Power Development Co Ltd (30,000.00) $(753,624.17)

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

Casio Computer Co Ltd (54,200.00) $(764,520.54) Bed Bath & Beyond Inc (32,968.00) $(773,758.96) ING Groep NV (42,075.00) $(775,536.93) K+S AG (28,558.00) $(778,495.02) Suzuken Co Ltd/Aichi Japan (21,900.00) $(778,923.94) ONEOK Inc (14,200.00) $(786,822.00) TTM Technologies Inc (51,362.00) $(789,433.94) Mitsubishi Materials Corp (22,900.00) $(793,190.13) Power Assets Holdings Ltd (92,000.00) $(798,567.74) United Utilities Group PLC (69,907.00) $(800,454.22) ResMed Inc (10,502.00) $(808,233.92) Eni SpA (49,073.00) $(812,728.05) CenturyLink Inc (43,126.00) $(815,081.40) Renesas Electronics Corp (75,200.00) $(819,566.86) Hamamatsu Photonics KK (27,300.00) $(825,864.72) Becton Dickinson and Co (4,239.00) $(830,632.05) Deutsche Wohnen SE (19,632.00) $(834,326.07) Acuity Brands Inc (4,884.00) $(836,531.52) BAE Systems PLC (98,846.00) $(837,100.86) Ono Pharmaceutical Co Ltd (36,900.00) $(837,574.83) Kone OYJ (15,918.00) $(843,797.35) Sony Financial Holdings Inc (52,200.00) $(856,578.92) Sabre Corp (47,372.00) $(857,433.20) McDonald's Holdings Co Japan Ltd (19,700.00) $(871,561.24) T-Mobile US Inc (14,168.00) $(873,598.88) Sempra Energy (7,750.00) $(884,507.50) KeyCorp (47,390.00) $(891,879.80) Kansai Paint Co Ltd (35,700.00) $(899,313.51) Sumitomo Metal Mining Co Ltd (28,000.00) $(901,412.04) DowDuPont Inc (13,026.00) $(901,789.98) Zillow Group Inc - C Shares (22,439.00) $(902,272.19) AG (48,671.00) $(908,892.35) FamilyMart UNY Holdings Co Ltd (17,300.00) $(911,396.85) Macy's Inc (41,853.00) $(913,232.46) Ryohin Keikaku Co Ltd (3,100.00) $(913,823.46) BHP Billiton Ltd (45,068.00) $(913,969.68) Host Hotels & Resorts Inc (49,783.00) $(920,487.67) easyJet PLC (57,946.00) $(945,600.10) Hikari Tsushin Inc (7,700.00) $(965,986.05) Fidelity National Information Services Inc (10,361.00) $(967,613.79) Commonwealth Bank of Australia (16,385.00) $(970,209.09) Leidos Holdings Inc (16,732.00) $(990,869.04) Suncor Energy Inc (28,800.00) $(1,009,356.04) Spectrum Brands Holdings Inc (9,542.00) $(1,010,688.64) Ferrari NV (9,278.00) $(1,026,589.43) Hormel Foods Corp (32,493.00) $(1,044,325.02)

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

International Paper Co (18,404.00) $(1,045,715.28) Park24 Co Ltd (43,700.00) $(1,064,215.17) Yamato Holdings Co Ltd (52,800.00) $(1,066,554.93) Consolidated Edison Inc (13,302.00) $(1,073,205.36) SM Energy Co (1,074,000.00) $(1,082,055.00) Signet Jewelers Ltd (16,474.00) $(1,096,344.70) Hennes & Mauritz AB (42,448.00) $(1,102,639.66) Power Corp of Canada (43,900.00) $(1,115,663.39) UBS Group AG (65,664.00) $(1,123,312.73) Flowserve Corp (26,522.00) $(1,129,571.98) Sonic Healthcare Ltd (69,221.00) $(1,137,497.05) BP PLC (181,535.00) $(1,162,911.36) Advance Auto Parts Inc (11,760.00) $(1,166,592.00) Coca-Cola Bottlers Japan Inc (36,100.00) $(1,169,266.39) Seibu Holdings Inc (69,100.00) $(1,180,297.38) Kraft Heinz Co/The (15,220.00) $(1,180,311.00) Transurban Group (127,721.00) $(1,192,696.70) Keihan Holdings Co Ltd (40,800.00) $(1,194,981.86) Kobe Steel Ltd (104,500.00) $(1,196,761.59) Tenaris SA (84,867.00) $(1,202,982.35) Treasury Wine Estates Ltd (112,262.00) $(1,207,688.10) MetLife Inc (23,403.00) $(1,215,785.85) Marubeni Corp (178,700.00) $(1,221,629.25) Calbee Inc (34,800.00) $(1,222,225.15) United Internet AG (19,624.00) $(1,223,213.88) Ferrovial SA (55,919.00) $(1,232,103.16) Cardinal Health Inc (18,468.00) $(1,235,878.56) Securitas AB (74,178.00) $(1,243,731.31) Enbridge Inc (29,800.00) $(1,244,781.41) QUALCOMM Inc (24,607.00) $(1,275,626.88) Konica Minolta Inc (156,600.00) $(1,286,653.41) Under Armour Inc - Class C (86,495.00) $(1,299,154.90) Daiwa Securities Group Inc (230,000.00) $(1,303,826.88) Olympus Corp (38,600.00) $(1,308,004.55) Toyota Motor Corp (22,000.00) $(1,311,825.51) Energizer Holdings Inc (28,566.00) $(1,315,464.30) Anheuser-Busch InBev SA/NV (11,128.00) $(1,330,202.86) Great Plains Energy Inc (43,966.00) $(1,332,169.80) Welltower Inc (19,082.00) $(1,341,082.96) Liberty Global PLC - A Shares (40,213.00) $(1,363,622.83) Nomura Real Estate Holdings Inc (64,000.00) $(1,365,254.04) Chugai Pharmaceutical Co Ltd (33,600.00) $(1,396,286.30) FedEx Corp (6,190.00) $(1,396,340.20) Abbott Laboratories (26,270.00) $(1,401,767.20) Pembina Pipeline Corp (40,287.00) $(1,413,556.29) Automatic Data Processing Inc (13,159.00) $(1,438,541.88)

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

Macy's Retail Holdings Inc (1,677,000.00) $(1,443,142.13) Isetan Mitsukoshi Holdings Ltd (138,200.00) $(1,444,161.49) Morgan Stanley (30,082.00) $(1,449,049.94) SoftBank Group Corp (18,000.00) $(1,459,733.42) Bank of Kyoto Ltd/The (28,800.00) $(1,465,925.53) Eurazeo SA (16,457.00) $(1,470,956.09) Textron Inc (27,370.00) $(1,474,695.60) Seiko Epson Corp (60,900.00) $(1,474,749.18) Fortis Inc/Canada (41,100.00) $(1,475,021.44) Xerox Corp (44,613.00) $(1,485,166.77) MSG Networks Inc (70,378.00) $(1,492,013.60) SES SA (68,430.00) $(1,498,057.00) KION Group AG (15,738.00) $(1,507,617.09) Daimler AG (18,923.00) $(1,510,520.33) PrairieSky Royalty Ltd (59,500.00) $(1,522,608.70) Industrial Alliance Insurance & Financial Services Inc (33,700.00) $(1,525,986.78) Netflix Inc (8,520.00) $(1,545,102.00) Chugoku Electric Power Co Inc/The (146,600.00) $(1,557,360.98) Kroger Co/The (78,173.00) $(1,568,150.38) CommScope Holding Co Inc (47,779.00) $(1,586,740.59) Emera Inc (42,300.00) $(1,602,162.29) International Lease Finance Corp (1,436,000.00) $(1,607,927.25) JGC Corp (101,000.00) $(1,635,646.35) Signature Bank/New York NY (12,866.00) $(1,647,362.64) CH Robinson Worldwide Inc (21,910.00) $(1,667,351.00) Dillard's Inc (29,964.00) $(1,680,081.48) Wabtec Corp/DE (22,210.00) $(1,682,407.50) New Media Investment Group Inc (114,815.00) $(1,698,113.85) CarMax Inc (22,407.00) $(1,698,674.67) United Parcel Service Inc (14,265.00) $(1,713,083.85) Ricoh Co Ltd (177,700.00) $(1,727,983.12) American Airlines Group Inc (36,682.00) $(1,742,028.18) EQT Corp (26,789.00) $(1,747,714.36) Great-West Lifeco Inc (60,900.00) $(1,752,690.04) Japan Tobacco Inc (53,800.00) $(1,763,077.83) Gap Inc/The (59,907.00) $(1,769,053.71) Aeroports de Paris (10,972.00) $(1,773,669.58) Vifor Pharma AG (15,156.00) $(1,787,598.49) Coty Inc (109,520.00) $(1,810,365.60) Charter Communications Inc (4,986.00) $(1,812,012.12) SM Energy Co (1,825,000.00) $(1,825,000.00) Air Liquide SA (13,818.00) $(1,842,698.96) Power Financial Corp (66,600.00) $(1,847,346.02) ICA Gruppen AB (50,908.00) $(1,915,118.29) AmerisourceBergen Corp (23,547.00) $(1,948,514.25) CBOE Holdings Inc (18,294.00) $(1,968,983.22)

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

Santen Pharmaceutical Co Ltd (125,600.00) $(1,981,707.28) Essilor International SA (15,995.00) $(1,982,369.60) Exelon Corp (53,029.00) $(1,997,602.43) Yamada Denki Co Ltd (365,700.00) $(1,999,687.62) Groupe Bruxelles Lambert SA (19,079.00) $(2,008,285.21) AP Moller - Maersk A/S (1,072.00) $(2,041,155.50) Goodyear Tire & Rubber Co/The (61,931.00) $(2,059,205.75) Hanesbrands Inc (84,599.00) $(2,084,519.36) General Motors Co (51,668.00) $(2,086,353.84) Harris Corp (15,957.00) $(2,101,217.76) CF Industries Holdings Inc (60,201.00) $(2,116,667.16) Hewlett Packard Enterprise Co (144,436.00) $(2,124,653.56) Ally Financial Inc (90,275.00) $(2,190,071.50) Goldman Sachs Group Inc/The (9,271.00) $(2,198,988.49) Nordstrom Inc (46,806.00) $(2,206,902.90) Digital Realty Trust Inc (18,806.00) $(2,225,313.98) Accor SA (46,164.00) $(2,295,884.51) Flowers Foods Inc (2,220,000.00) $(2,359,656.85) Iliad SA (8,926.00) $(2,372,549.00) EW Scripps Co/The (124,218.00) $(2,373,805.98) TransDigm Group Inc (9,568.00) $(2,446,059.20) Dufry AG (15,904.00) $(2,527,999.30) Clariant AG (106,154.00) $(2,544,540.59) VeriSign Inc (24,005.00) $(2,553,891.95) MGM Resorts International (86,205.00) $(2,809,420.95) Allergan PLC (13,994.00) $(2,868,070.30) BofI Holding Inc (101,114.00) $(2,878,715.58) Microchip Technology Inc (32,872.00) $(2,951,248.16) Ball Corp (77,778.00) $(3,212,231.40) United States Treasury Inflation Indexed Bonds (3,345,738.96) $(3,345,512.52) Venezuela Government International Bond (10,000,000.00) $(3,427,000.00) Alibaba Group Holding Ltd (20,437.00) $(3,529,674.27) Berkshire Hathaway Inc - Class B (20,640.00) $(3,783,724.80) Fossil Group Inc (504,287.00) $(4,704,997.71) Kohl's Corp (111,111.00) $(5,072,217.15) Endo Finance LLC (5,841,000.00) $(5,125,477.50) United States Treasury Inflation Indexed Bonds (5,175,073.20) $(5,191,282.56) Intel Corp (146,896.00) $(5,593,799.68) Pakistan Government International Bond (5,000,000.00) $(5,696,000.00) Pakistan Government International Bond (5,000,000.00) $(5,768,520.00) Turkey Government International Bond (5,695,000.00) $(6,615,027.25) Anthem Inc (35,687.00) $(6,776,247.56) Lam Research Corp (59,632.00) $(11,034,305.28) United States Treasury Inflation Indexed Bonds (11,560,035.60) $(11,615,473.95) United States Treasury Note/Bond (11,622,000.00) $(11,656,048.86) United States Treasury Note/Bond (13,312,000.00) $(13,276,640.00)

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

United States Treasury Note/Bond (13,666,000.00) $(13,422,574.38) United States Treasury Inflation Indexed Bonds (19,085,859.57) $(19,616,790.77) Fannie Mae (40,445,000.00) $(41,694,685.79) United States Treasury Note/Bond (49,660,000.00) $(49,316,647.78) United States Treasury Note/Bond (59,926,000.00) $(59,102,017.50) $(595,305,017.10)

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency Global Multi-Strategy Fund As of September 30, 2017

This fund utilizes alternative investment strategies such as arbitrage, leverage, derivatives, and shorting securities in addition to traditional investments. Investment risk may be magnified with the use of these alternative strategies. In addition, securities such as bonds, equities, commodities, international and emerging market securities, and currencies are used to implement the investment strategy. These investments are subject to risks associated with market and interest rate movements. The fund is considered non-diversified which may make it more susceptible to price volatility if the fund does not meet its objective. Due to the nature of the investment process, investors should not expect significant outperformance during market rallies. Additional risks are included in the funds prospectus. It is possible to lose money when investing in the fund. Portfolio holdings may not reflect the current portfolio composition. The holdings listed do not constitute a recommendation to purchase or sell a particular security.

Insurance products and plan administrative services, if applicable, are provided by Principal Life Insurance Company. Principal mutual funds are part of the Principal Funds, Inc. series. Principal Funds, Inc. is distributed by Principal Funds Distributor, Inc. Securities are offered through Principal Securities, Inc., 800-547-7754, member SIPC and/or independent broker/dealers. Securities sold by a Principal Securities Registered Representative are offered through Principal Securities. Principal Funds Distributor, Principal Securities and Principal Life are members of Principal Financial Group®, Des Moines, IA 50392. Certain investment options may not be available in all states or U.S. commonwealths.

Investors should carefully consider a mutual fund’s investment objectives, risks, charges, and expenses prior to investing. A prospectus, or summary prospectus if available, containing this and other information can be obtained by contacting a financial professional, visiting principal.com, or calling 1-800-547-7754. Read the prospectus carefully before investing

A mutual fund's share price and investment return will vary with market conditions, and the principal value of an investment when you sell your shares may be more or less than the original cost.

Information is current as of the creation of this piece. Keep in mind that portfolio holdings are subject to risk.

Not FDIC or NCUA Insured PQ 10863 May Lose Value, Not a Deposit, No Bank or Credit Union Guarantee 9-17 Not Insured by any Federal Government Agency