Schedule of Investments September 30, 2019

Schedule of Investments September 30, 2019

schedule of investments September 30, 2019 City National Rochdale Government Money Market Fund Type of Security Weightings (unaudited)*: Description Face Amount (000)/Shares Value (000) 58.7% U.S. Government Agency Obligations 1.986%, 10/16/19 $ 39,000 $ 38,968 37.9% Repurchase Agreements 2.010%, 10/18/19 37,000 36,965 3.4% Short-Term Investment 2.020%, 10/23/19 120,000 119,852 2.031%, 10/25/19 70,000 69,906 *Percentages based on total investments. 2.110%, 10/30/19 50,000 49,915 2.056%, 11/01/19 55,000 54,903 Description Face Amount (000) Value (000) 2.001%, 11/06/19 50,000 49,900 U.S. Government Agency Obligations [58.7%] 1.985%, 11/08/19 16,000 15,967 FFCB 1.969%, 11/22/19 50,000 49,858 1.924%, VAR US Treasury 1.978%, 11/27/19 14,000 13,956 3 Month Bill Money Market 1.978%, 11/29/19 50,000 49,839 Yield+0.075%, 11/01/19 $ 50,000 $ 50,000 1.974%, 12/04/19 70,000 69,756 1.978%, VAR ICE LIBOR 1.965%, 12/06/19 25,000 24,910 USD 1 Month-0.040%, 1.951%, 12/11/19 25,000 24,904 06/25/20 56,000 55,992 1.945%, 12/13/19 25,000 24,902 2.081%, VAR ICE LIBOR FNMA USD 1 Month+0.035%, 1.920%, VAR United States 01/26/21 25,000 24,999 Secured Overnight Financing FHLB Rate+0.100%, 04/30/20 40,000 40,000 1.943%, VAR ICE LIBOR 1.880%, VAR United States USD 1 Month-0.075%, Secured Overnight Financing 10/25/19 50,000 50,000 Rate+0.060%, 07/30/20 25,000 25,000 1.984%, VAR ICE LIBOR USD 1 Month-0.060%, Total U.S. Government Agency Obligations 10/28/19 100,000 100,000 (Cost $1,493,447) 1,493,447 1.956%, VAR ICE LIBOR USD 1 Month-0.080%, 11/13/19 11,000 11,000 Short-Term Investment [3.4%] 1.885%, VAR United States Morgan Stanley Secured Overnight Financing Institutional Liquidity Rate+0.065%, 11/15/19 20,000 20,000 Funds - Government 2.005%, VAR ICE LIBOR Portfolio, 1.800%** 86,154,673 86,155 USD 1 Month-0.095%, 01/02/20 50,000 50,000 Total Short-Term Investment 2.002%, VAR ICE LIBOR (Cost $86,155) 86,155 USD 1 Month-0.065%, 02/05/20 50,000 50,000 Repurchase Agreements [37.9%] 1.975%, VAR ICE LIBOR Barclays (B) USD 3 Month-0.200%, 2.250%, dated 09/30/19, 02/14/20 50,000 50,000 repurchased on 10/01/2019, 1.979%, VAR ICE LIBOR repurchase price $55,003,438 USD 1 Month-0.065%, (collateralized by U.S. 02/20/20 50,000 50,000 Treasury obligation, par value 2.074%, VAR ICE LIBOR of $47,327,400, 3.000%, USD 1 Month-0.015%, 11/15/2044 with a total 06/04/20 50,000 50,000 market value of $56,100,102) 55,000 55,000 1.860%, VAR United States Secured Overnight Financing Rate+0.040%, 08/25/20 7,000 7,000 FHLB DN (A) 2.057%, 10/02/19 70,000 69,996 2.185%, 10/04/19 50,000 49,991 2.166%, 10/11/19 20,000 19,988 2.035%, 10/15/19 25,000 24,980 See accompanying notes to financial statements. CITY NATIONAL ROCHDALE FUNDS | PAGE 17 schedule of investments September 30, 2019 City National Rochdale Government Money Market Fund (concluded) Description Face Amount (000) Value (000) Percentages are based on Net Assets of $2,542,752 (000). Barclays (B) ** The rate reported is the 7-day effective yield as of September 30, 2019. 1.900%, dated 09/30/19, repurchased on 10/01/19, (A) Zero coupon security. The rate reported is the effective yield at time of purchase. repurchase price (B) Tri-party Repurchase Agreement. $116,006,122 (collateralized by U.S. Treasury obligation, DN — Discount Note par value of $99,817,700, FFCB — Federal Farm Credit Bank 3.000%, 11/15/2044; with a total market value FHLB — Federal Home Loan Bank of $118,320,109) $ 116,000 $ 116,000 FNMA — Federal National Mortgage Association Daiwa (B) ICE — Intercontinental Exchange 2.150%, dated 09/30/19, LIBOR — London Interbank Offered Rates repurchased on 10/01/2019, USD — U.S. Dollar repurchase price $18,001,075 (collateralized by U.S. VAR — Variable Treasury obligation, par value of $18,237,000, 2.000%, The following is a list of the inputs used as of September 30, 2019, in valuing the 01/15/2021 with a total Fund’s investments carried at value (000): market value of $18,360,005) 18,000 18,000 Goldman Sachs (B) Investments in Securities Level 1 Level 2 Level 3 Total 2.280%, dated 09/30/19, repurchased U.S. Government Agency Obligations $ — $ 1,493,447 $ — $ 1,493,447 on 10/01/19, repurchase Short-Term Investment 86,155 — — 86,155 price $125,007,917 Repurchase Agreements — 964,000 — 964,000 (collateralized by various U.S. Total Investments Government obligations, in Securities $ 86,155 $ 2,457,447 $ — $ 2,543,602 par values ranging from $225,000 to $116,730,921, 0.000% - 2.625%, For the year ended September 30, 2019, there have been no transfers between any 10/11/19 - 11/15/2042; of the fair value hierarchy levels. Transfers between Levels are recognized at period with a total market value end. of $127,500,015) 125,000 125,000 Amounts designated as “—” are either $0 or have been rounded to $0. Wells Fargo (B) For more information on valuation inputs, see Note 2 – Significant Accounting 2.390%, dated Policies in the Notes to Financial Statements. 09/30/19, repurchased on 10/01/19, repurchase price $650,043,153 (collateralized by various U.S. Government obligations, par values ranging from $1,000 to $146,518,000, 0.000% - 6.750%, 10/15/19 - 09/24/2038; with a total market value of $663,002,048) 650,000 650,000 Total Repurchase Agreements (Cost $964,000) 964,000 Total Investments [100.0%] (Cost $2,543,602) $ 2,543,602 See accompanying notes to financial statements. CITY NATIONAL ROCHDALE FUNDS | PAGE 18 schedule of investments September 30, 2019 City National Rochdale Government Bond Fund Type of Security Weightings (unaudited)*: Description Face Amount (000)/Shares Value (000) 66.8% U.S. Treasury Obligations GNMA, Pool 376533 17.3% U.S. Government Mortgage-Backed Obligations 7.500%, 06/15/24 $ — $ — GNMA, Pool 398660 15.0% U.S. Government Agency Obligations 7.500%, 05/15/26 1 1 0.9% Short-Term Investment GNMA, Pool 497411 *Percentages based on total investments. 6.000%, 01/15/29 2 2 GNMA ARM, Pool G2 81318 Description Face Amount (000) Value (000) 3.875%, VAR US Treasury Yield Curve Rate T Note U.S. Treasury Obligations [66.5%] Constant Maturity 1 U.S. Treasury Bonds Yr+1.500%, 04/20/35 88 92 8.125%, 05/15/21 $ 1,500 $ 1,652 GNMA ARM, Pool G2 81447 8.000%, 11/15/21 1,500 1,697 3.750%, VAR US Treasury U.S. Treasury Notes Yield Curve Rate T Note 2.750%, 07/31/23 1,175 1,226 Constant Maturity 1 Yr+1.500%, 08/20/35 21 22 2.625%, 02/28/23 1,700 1,759 2.625%, 12/31/25 1,600 1,696 Total U.S. Government Mortgage-Backed Obligations 2.375%, 12/31/20 870 876 (Cost $7,498) 7,480 2.375%, 04/15/21 1,300 1,312 2.000%, 11/30/20 875 877 U.S. Government Agency Obligations [15.0%] 2.000%, 11/30/22 1,500 1,519 FHLB 1.875%, 05/31/22 1,665 1,677 3.375%, 09/08/23 1,585 1,689 1.875%, 07/31/22 1,700 1,713 3.125%, 09/09/22 1,610 1,677 1.875%, 08/31/24 2,805 2,846 FNMA 1.750%, 02/28/22 1,800 1,806 2.625%, 09/06/24 1,400 1,467 1.625%, 08/15/22 1,800 1,802 1.250%, 08/17/21 1,700 1,687 1.625%, 04/30/23 1,225 1,227 1.500%, 01/31/22 1,700 1,696 Total U.S. Government Agency Obligations 1.375%, 10/31/20 680 677 (Cost $6,330) 6,520 1.250%, 10/31/21 1,330 1,319 1.125%, 02/28/21 1,600 1,586 Short-Term Investment** [0.9%] Total U.S. Treasury Obligations SEI Daily Income Trust Government Fund, (Cost $28,814) 28,963 Cl F, 1.800% 385,661 386 U.S. Government Mortgage-Backed Obligations [17.2%] Total Short-Term Investment FHLMC, Ser 2016-4635, Cl (Cost $386) 386 EG, Pool FHR 4635 EG 2.500%, 12/15/46 1,967 1,990 Total Investments [99.6%] FNMA, Pool AL5866 (Cost $43,028) $ 43,349 2.669%, 08/01/22 1,509 1,544 FNMA, Pool AS4877 3.000%, 04/01/30 1,435 1,473 Percentages are based on Net Assets of $43,503 (000). FNMA, Pool FN0004 3.619%, 12/01/20 2,291 2,289 ** The rate reported is the 7-day effective yield as of September 30, 2019. FNMA ARM, Pool 766620 4.640%, VAR ICE ARM — Adjustable Rate Mortgage LIBOR USD 12 Cl — Class Month+1.640%, 03/01/34 62 65 FHLB — Federal Home Loan Bank GNMA, Pool 329656 FHLMC — Federal Home Loan Mortgage Corporation 8.000%, 08/15/22 2 2 FNMA — Federal National Mortgage Association See accompanying notes to financial statements.

View Full Text

Details

  • File Type
    pdf
  • Upload Time
    -
  • Content Languages
    English
  • Upload User
    Anonymous/Not logged-in
  • File Pages
    108 Page
  • File Size
    -

Download

Channel Download Status
Express Download Enable

Copyright

We respect the copyrights and intellectual property rights of all users. All uploaded documents are either original works of the uploader or authorized works of the rightful owners.

  • Not to be reproduced or distributed without explicit permission.
  • Not used for commercial purposes outside of approved use cases.
  • Not used to infringe on the rights of the original creators.
  • If you believe any content infringes your copyright, please contact us immediately.

Support

For help with questions, suggestions, or problems, please contact us