M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Common Stocks—67.4%     
           
     Australia—4.6%     
 3,859   AGL Energy Ltd.  $31,562 
 4,977   ALS Ltd.   49,617 
 101,642   AMP Ltd.   93,459 
 3,777   Ampol Ltd.   79,721 
 2,658   Ansell Ltd.   58,454 
 12,134   ANZ Group Holdings Ltd.   255,692 
 8,398   APA Group   45,054 
 2,749   ARB Corp. Ltd.†   90,275 
 4,576   Aristocrat Leisure Ltd.   185,388 
 978   ASX Ltd.   43,226 
 10,882   Atlas Arteria Ltd.   36,789 
 3,580   AUB Group Ltd.   76,182 
 31,634   Aurizon Holdings Ltd.   77,202 
 25,890   Bank of Queensland Ltd.†   110,616 
 87,244   Beach Energy Ltd.†   73,284 
 6,079   Bendigo & Adelaide Bank Ltd.   48,962 
 21,786   BHP Group Ltd.†   692,238 
 7,612   BHP Group Ltd., ADR   472,781 
 12,902   BHP Group Ltd., Class DI   398,977 
 5,245   BlueScope Steel Ltd.   80,500 
 13,591   Brambles Ltd.   178,809 
 3,529   Breville Group Ltd.†   83,294 
 3,417   Brickworks Ltd.†   68,957 
 3,952   Capricorn Metals Ltd.*   15,710 
 1,476   CAR Group Ltd.   38,225 
 22,133   Challenger Ltd.   99,461 
 18,979   Champion Iron Ltd.†   96,440 
 8,596   City Chic Collective Ltd.†, *   802 
 27,200   Cleanaway Waste Management Ltd.   55,286 
 370   Cochlear Ltd.   72,158 
 6,045   Codan Ltd.   67,369 
 9,946   Coles Group Ltd.   124,184 
 7,954   Commonwealth Bank of Australia   744,510 
 3,756   Computershare Ltd.   65,619 
 16,210   Coronado Global Resources, Inc., CDI#   13,504 
 1,547   Corporate Travel Management Ltd.†   13,797 
 765   CSL Ltd.   151,409 
 1,480   Dicker Data Ltd.†   9,618 
 1,695   Domino's Pizza Enterprises Ltd.†   41,542 
 25,989   Downer EDI Ltd.   98,462 
 3,054   Eagers Automotive Ltd.†   23,056 
 19,239   Emerald Resources NL†, *   51,341 
 12,518   Endeavour Group Ltd.   43,445 
 26,880   Evolution Mining Ltd.   86,227 
 6,090   Flight Centre Travel Group Ltd.†   94,101 
 14,861   Fortescue Ltd.†   212,470 
 145   Gold Road Resources Ltd.   171 
 11,113   GrainCorp Ltd., Class A   70,683 
 10,061   Harvey Norman Holdings Ltd.†   34,431 
 1,600   HUB24 Ltd.   64,567 
 2,262   IDP Education Ltd.†   24,865 
 6,212   IGO Ltd.†   25,167 
 7,978   Iluka Resources Ltd.   38,444 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Australia (Continued)     
 18,669   Incitec Pivot Ltd.   $40,140 
 21,084   Insurance Australia Group Ltd.    107,282 
 1,024   IRESS Ltd.*    7,023 
 4,226   James Hardie Industries PLC, CDI*    167,790 
 1,986   JB Hi-Fi Ltd.    109,759 
 15,241   Lendlease Corp. Ltd.    74,812 
 14,208   Lottery Corp. Ltd.    50,292 
 2,708   Lovisa Holdings Ltd.†    67,398 
 8,824   Lynas Rare Earths Ltd.*    48,926 
 892   Macquarie Group Ltd.    143,299 
 361   Macquarie Technology Group Ltd.*    20,757 
 16,327   Medibank Pvt Ltd.    41,200 
 38,904   Metcash Ltd.    96,289 
 1,895   Mineral Resources Ltd.†    68,178 
 20,266   National Australia Bank Ltd.    523,307 
 4,471   Netwealth Group Ltd.    76,843 
 27,710   New Hope Corp. Ltd.†    99,810 
 3,668   NEXTDC Ltd.*    44,378 
 16,970   nib holdings Ltd.    69,689 
 76,777   Nickel Industries Ltd.    49,099 
 30,345   Nine Entertainment Co. Holdings Ltd.    26,329 
 5,875   Northern Star Resources Ltd.    64,865 
 11,530   oOh!media Ltd.†    10,482 
 6,210   Orica Ltd.    79,640 
 8,647   Origin Energy Ltd.    59,841 
 23,252   Orora Ltd.    43,885 
 6,506   Paladin Energy Ltd.*    51,951 
 2,144   Perpetual Ltd.    27,600 
 68,759   Perseus Mining Ltd.    124,070 
 4,897   PEXA Group Ltd.*, †    50,106 
 28,614   Pilbara Minerals Ltd.†, *    64,688 
 1,933   Pinnacle Investment Management Group Ltd.    24,122 
 2,408   Premier Investments Ltd.    51,275 
 573   Pro Medicus Ltd.†    70,613 
 7,109   PSC Insurance Group Ltd.    30,324 
 5,039   Qantas Airways Ltd.*    25,849 
 13,764   QBE Insurance Group Ltd.    157,390 
 9,918   Qube Holdings Ltd.    27,084 
 48,600   Ramelius Resources Ltd.†    73,919 
 1,820   Ramsay Health Care Ltd.    52,369 
 355   REA Group Ltd.†    49,331 
 2,536   Reece Ltd.†    49,968 
 29,575   Reliance Worldwide Corp. Ltd.    120,022 
 3,221   Rio Tinto Ltd.†    287,552 
 20,484   Sandfire Resources Ltd.†, *    153,512 
 40,802   Santos Ltd.    198,023 
 2,959   SEEK Ltd.†    50,836 
 2,649   Seven Group Holdings Ltd.    78,530 
 57,922   Sigma Healthcare Ltd.†    57,664 
 3,115   Sims Ltd.†    27,264 
 3,263   Sonic Healthcare Ltd.    61,427 
 31,643   South32 Ltd.    82,474 
 8,695   Steadfast Group Ltd.    34,084 
 8,934   Suncorp Group Ltd.    111,733 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Australia (Continued)     
 9,441   Super Retail Group Ltd.†  $118,596 
 3,536   Technology One Ltd.   58,328 
 24,644   Telstra Group Ltd.   66,106 
 2,964   TPG Telecom Ltd.†   10,082 
 10,038   Transurban Group   91,119 
 3,558   Treasury Wine Estates Ltd.   29,518 
 3,389   Tuas Ltd.*   12,676 
 154,114   Vault Minerals Ltd.*   34,628 
 30,432   Ventia Services Group Pty. Ltd.   95,728 
 14,458   Viva Energy Group Ltd.#   29,287 
 11,024   Webjet Group Ltd.*   7,621 
 11,024   Webjet Ltd.†, *   56,018 
 6,549   Wesfarmers Ltd.   318,883 
 2,636   West African Resources Ltd.*   3,162 
 15,208   Westpac Banking Corp.   333,506 
 14,291   Whitehaven Coal Ltd.   71,334 
 679   WiseTech Global Ltd.†   64,401 
 22,948   Woodside Energy Group Ltd.†   399,766 
 1,661   Woodside Energy Group Ltd., ADR   28,636 
 5,982   Woolworths Group Ltd.†   137,717 
 3,162   Worley Ltd.   32,419 
 784   Xero Ltd.*   80,999 
 6,051   Yancoal Australia Ltd.†   25,644 
         12,299,370 
     Austria—0.4%     
 1,865   ANDRITZ AG   132,139 
 2,872   BAWAG Group AG#   222,349 
 1,363   CA Immobilien Anlagen AG   40,753 
 2,017   Erste Group Bank AG   110,577 
 2,065   OMV AG   88,176 
 3,082   Raiffeisen Bank International AG   61,273 
 263   Strabag SE, Bearer Shares   10,978 
 3,952   Telekom Austria AG   38,713 
 470   Verbund AG   38,977 
 1,541   Vienna Insurance Group AG Wiener Versicherung Gruppe   51,204 
 3,281   voestalpine AG   85,389 
 3,461   Wienerberger AG   114,422 
         994,950 
     Belgium—0.7%     
 831   Ackermans & van Haaren NV   176,403 
 6,673   Ageas SA   355,952 
 5,257   Anheuser-Busch InBev SA   347,482 
 69   Argenx SE*   37,298 
 1,973   Azelis Group NV†   43,244 
 1,485   Colruyt Group NV   69,130 
 174   D'ieteren Group   36,781 
 224   Deme Group NV   36,404 
 547   Elia Group SA   62,533 
 2,078   Euronav NV   34,536 
 32   Gimv NV   1,494 
 3,331   KBC Group NV   264,818 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Belgium (Continued)     
 6   Lotus Bakeries NV  $80,414 
 490   Melexis NV†   40,445 
 1,947   Solvay SA†   76,289 
 1,351   Syensqo SA§   119,723 
 517   UCB SA   93,231 
 2,988   Umicore SA   38,782 
 191   VGP NV   19,560 
         1,934,519 
     Canada—7.5%     
 3,137   Agnico Eagle Mines Ltd.   252,709 
 1,100   Air Canada*   13,331 
 3,797   Alamos Gold, Inc., Class A   75,682 
 5,239   Algonquin Power & Utilities Corp.†   28,553 
 3,609   Algonquin Power & Utilities Corp.   19,720 
 5,591   Alimentation Couche-Tard, Inc.   309,098 
 3,374   AltaGas Ltd.   83,524 
 785   Altus Group Ltd.   31,860 
 549   Andlauer Healthcare Group, Inc.   15,831 
 9,336   ARC Resources Ltd.   157,803 
 2,528   Aritzia, Inc.*   95,011 
 2,100   Atco Ltd., Class I   74,376 
 26,500   Athabasca Oil Corp.*   94,052 
 1,848   AtkinsRealis Group, Inc.   75,084 
 553   ATS Corp.*   16,045 
 205   ATS Corp.*, †   5,955 
 17,621   B2Gold Corp.†   54,273 
 12,321   B2Gold Corp.   38,080 
 5,072   Bank of Montreal   457,657 
 7,101   Bank of Nova Scotia   386,907 
 8,603   Barrick Gold Corp.   171,113 
 1,119   Bausch & Lomb Corp.*   21,586 
 5,083   Bausch Health Cos., Inc.*   41,485 
 34,353   Baytex Energy Corp.   102,618 
 708   BCE, Inc.   24,615 
 1,128   Bombardier, Inc., Class B*   85,831 
 3,362   Boralex, Inc., Class A   89,441 
 667   Boyd Group Services, Inc.   101,082 
 1,680   Brookfield Corp.   89,226 
 704   Brookfield Corp.†   37,418 
 354   Brookfield Infrastructure Corp., Class A†   15,374 
 600   Brookfield Wealth Solutions Ltd.†, *   31,896 
 940   BRP, Inc.   55,958 
 2,527   CAE, Inc.†, *   47,381 
 902   Cameco Corp.   43,091 
 6,281   Canadian Imperial Bank of Commerce   385,280 
 2,955   Canadian National Railway Co.   346,075 
 18,184   Canadian Natural Resources Ltd.   603,825 
 1,042   Canadian Pacific Kansas City Ltd.†   89,133 
 846   Canadian Tire Corp. Ltd., Class A   101,392 
 1,300   Canadian Utilities Ltd., Class A   34,517 
 1,880   Canadian Western Bank   74,827 
 3,394   Capital Power Corp.   123,393 
 16,865   Capstone Copper Corp.*   131,807 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Canada (Continued)     
 1,524   CCL Industries, Inc., Class B  $92,908 
 4,879   Celestica, Inc.*   249,421 
 12,642   Cenovus Energy, Inc.   211,468 
 1,850   CGI, Inc.*   212,805 
 4,510   CI Financial Corp.   61,392 
 740   Cogeco Communications, Inc.   39,122 
 514   Colliers International Group, Inc.   78,015 
 122   Constellation Software, Inc.   396,909 
 2,623   Definity Financial Corp.   105,719 
 7,600   Denison Mines Corp.*   13,824 
 511   Descartes Systems Group, Inc.*   52,613 
 2,540   Dollarama, Inc.   260,188 
 9,286   Dundee Precious Metals, Inc.   94,065 
 9,101   Eldorado Gold Corp.*   158,131 
 2,063   Emera, Inc.   81,287 
 2,538   Empire Co. Ltd., Class A   77,560 
 3,107   Enbridge, Inc.†   126,175 
 5,120   Enbridge, Inc.   207,988 
 6,178   Endeavour Mining PLC   146,816 
 1,100   EQB, Inc.   84,791 
 3,881   Equinox Gold Corp.†, *   23,635 
 700   ERO Copper Corp.*   15,584 
 2,700   ERO Copper Corp.†, *   60,129 
 1,229   Exchange Income Corp.   46,726 
 312   Fairfax Financial Holdings Ltd.   393,947 
 5,898   Finning International, Inc.   193,584 
 9,374   First Majestic Silver Corp.†   56,244 
 3,171   First Quantum Minerals Ltd.*   43,235 
 347   FirstService Corp.   63,401 
 2,703   Fortis, Inc.   122,814 
 10,041   Fortuna Mining Corp.*   46,699 
 10,100   Fortuna Mining Corp.†, *   46,763 
 656   Franco-Nevada Corp.   81,498 
 645   George Weston Ltd.   108,259 
 1,368   GFL Environmental, Inc.   54,556 
 6,200   Gibson Energy, Inc.   101,817 
 2,776   Gildan Activewear, Inc.   130,755 
 1,643   Great-West Lifeco, Inc.   56,028 
 1,700   Heroux-Devtek, Inc.*   40,349 
 23,043   Hudbay Minerals, Inc.   211,824 
 1,698   Hydro One Ltd.#   58,858 
 1,615   iA Financial Corp., Inc.   133,862 
 3,400   IAMGOLD Corp.*   17,824 
 21,700   IAMGOLD Corp.†, *   113,491 
 1,311   IGM Financial, Inc.   39,336 
 777   Imperial Oil Ltd.†   54,740 
 1,034   Imperial Oil Ltd.   72,746 
 788   Intact Financial Corp.   151,313 
 1,068   Ivanhoe Mines Ltd., Class A*   15,888 
 2,348   Keyera Corp.   73,212 
 18,607   Kinross Gold Corp.   174256 
 200   Lassonde Industries, Inc., Class A   26,212 
 4,710   Lightspeed Commerce, Inc.†, *   77,668 
 2,489   Linamar Corp.   116,127 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Canada (Continued)     
 1,153   Loblaw Cos. Ltd.  $153,523 
 4,000   Lundin Gold, Inc.   86,510 
 7,550   Lundin Mining Corp.   79,103 
 3,172   Magna International, Inc.   130,121 
 4,204   Manulife Financial Corp.   124,244 
 2,166   Maple Leaf Foods, Inc.   35,474 
 15,052   MEG Energy Corp.   282,799 
 3,636   Methanex Corp.   150,290 
 1,582   Metro, Inc.   100,000 
 3,940   National Bank of Canada   372,136 
 33,488   New Gold, Inc.*   96,718 
 1,400   North West Co., Inc.   53,135 
 9,193   Northland Power, Inc.   158,581 
 5,933   Nutrien Ltd.   285,135 
 385   Nuvei Corp.†   12,840 
 8,000   NuVista Energy Ltd.*   65,777 
 40,400   OceanaGold Corp.   114,409 
 1,764   Open Text Corp.   58,716 
 1,875   Osisko Gold Royalties Ltd.   34,729 
 2,072   Pan American Silver Corp.   43,265 
 4,147   Paramount Resources Ltd., Class A   80,797 
 6,127   Parkland Corp.   157,926 
 2,049   Pembina Pipeline Corp.   84,463 
 11,030   Peyto Exploration & Development Corp.   125,596 
 1,500   Premium Brands Holdings Corp.   106,218 
 7,464   Primo Water Corp.   188,423 
 2,652   Quebecor, Inc., Class B   69,239 
 1,095   RB Global, Inc.   88,133 
 422   Restaurant Brands International, Inc.†   30,435 
 1,200   Restaurant Brands International, Inc.   86,590 
 1,645   Richelieu Hardware Ltd.   48,774 
 3,843   Rogers Communications, Inc., Class B   154,521 
 8,676   Royal Bank of Canada   1,082,856 
 3,340   Russel Metals, Inc.   101,352 
 10,574   Sandstorm Gold Ltd.   63,444 
 2,504   Saputo, Inc.   54,044 
 8,205   Secure Energy Services, Inc.   74,197 
 700   Shopify, Inc., Class A*   56,080 
 400   Spin Master Corp.#   9,035 
 900   Stantec, Inc.   72,373 
 1,800   Stella-Jones, Inc.   118,172 
 122   Strathcona Resources Ltd.   2,431 
 4,366   Sun Life Financial, Inc.   253,260 
 15,768   Suncor Energy, Inc.   582,082 
 17,204   Tamarack Valley Energy Ltd.   49,738 
 7,999   TC Energy Corp.   380,318 
 5,557   Teck Resources Ltd., Class B   290,271 
 640   TFI International, Inc.   87,663 
 527   Thomson Reuters Corp.   89,899 
 1,730   TMX Group Ltd.   54,224 
 5,500   Torex Gold Resources, Inc.*   104,961 
 656   Toromont Industries Ltd.   64,036 
 4,896   Toronto-Dominion Bank†   309,721 
 7,806   Toronto-Dominion Bank   493,600 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Canada (Continued)     
 3,337   Tourmaline Oil Corp.  $154,976 
 3,838   TransAlta Corp.   39,786 
 1,600   Triple Flag Precious Metals Corp.   25,888 
 30,569   Veren, Inc.   188,030 
 4,544   Vermilion Energy, Inc.   44,372 
 176   Victoria Gold Corp./Vancouver*, §   62 
 787   Waste Connections, Inc.   140,712 
 570   West Fraser Timber Co. Ltd.   55,535 
 946   Wheaton Precious Metals Corp.   57,776 
 33,764   Whitecap Resources, Inc.   252,147 
 1,581   Winpak Ltd.   55,539 
 822   WSP Global, Inc.   146,039 
         20,121,731 
     Denmark—2.2%     
 5,110   ALK-Abello AS*   131,097 
 8,077   Ambu AS, Class B*   158,186 
 15   AP Moller - Maersk AS, Class A   24,304 
 30   AP Moller - Maersk AS, Class B   50,444 
 1,214   Carlsberg AS, Class B   144,595 
 610   Coloplast AS, Class B   79,705 
 4,232   Danske Bank AS   127,341 
 4,231   Demant AS*   165,284 
 1,164   DSV AS   240,307 
 348   Genmab AS*   84,187 
 5,034   GN Store Nord AS*   112,572 
 8,387   H Lundbeck AS   54,230 
 4,236   H Lundbeck AS, Class A   23,342 
 5,888   ISS AS   117,733 
 1,781   Jyske Bank AS, Registered   138,697 
 2,216   NKT AS*   209,305 
 20,596   Novo Nordisk AS, Class B   2,419,893 
 2,597   Novonesis (Novozymes) B, Class B   187,003 
 723   Orsted AS*, #   48,066 
 1,637   Pandora AS   269,511 
 987   Ringkjoebing Landbobank AS   155,643 
 158   Rockwool AS, Class A   73,496 
 463   Rockwool AS, Class B   217,376 
 1,860   Royal Unibrew AS*   156,237 
 1,028   Sampo OYJ, Class A*   47,811 
 2,364   TORM PLC, Class A   80,347 
 2,761   Tryg AS   65,473 
 4,343   Vestas Wind Systems AS*   95,887 
 881   Zealand Pharma AS*   106,958 
         5,785,030 
     Finland—1.0%     
 3,577   Elisa OYJ   189,610 
 3,644   Finnair OYJ†, *   10,354 
 6,074   Fortum OYJ†   100,033 
 2,640   Huhtamaki OYJ†   102,502 
 844   Kalmar OYJ , Class B*   27,372 
 4,001   Kemira OYJ   99,852 
 2,475   Kesko OYJ, Class A   52,456 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Finland (Continued)     
 8,405   Kesko OYJ, Class B†  $179,308 
 2,114   Kojamo OYJ*   24,215 
 2,610   Kone OYJ, Class B   156,016 
 2,574   Konecranes OYJ   193,118 
 20,302   Metso OYJ   216,952 
 2,807   Neste OYJ†   54,462 
 14,164   Nokia OYJ   61,868 
 21,352   Nokia OYJ, ADR   93,308 
 29,644   Nordea Bank Abp   349,451 
 727   Orion OYJ, Class A   39,694 
 3,470   Orion OYJ, Class B   190,119 
 2,463   Sampo OYJ, Class A   114,877 
 5,416   Stora Enso OYJ, Class R   69,331 
 2,814   UPM-Kymmene OYJ   94,191 
 4,926   Valmet OYJ†   157,702 
 4,259   Wartsila OYJ Abp   95,292 
         2,672,083 
     France—5.5%     
 2,982   Accor SA   129,457 
 181   Aeroports de Paris SA   23,231 
 971   Air France-KLM†, *   9,747 
 1,619   Air Liquide SA   312,247 
 1,951   Airbus SE   284,978 
 10,637   Alstom SA*   220,649 
 866   Alten SA   96,495 
 514   Amundi SA#   38,363 
 2,048   Arkema SA   194,917 
 1,585   Atos SE†, *   1,251 
 3,777   AXA SA   145,177 
 4,246   Ayvens SA†, #   29,942 
 393   BioMerieux   47,072 
 4,454   BNP Paribas SA   305,163 
 5,145   Bollore SE   34,277 
 3,160   Bouygues SA   105,738 
 4,210   Bureau Veritas SA   139,560 
 899   Capgemini SE   194,090 
 6,781   Carrefour SA   115,564 
 3,959   Cie de Saint-Gobain SA   360,137 
 7,397   Cie Generale des Etablissements Michelin SCA   300,210 
 3,850   Clariane SE†, *   7,350 
 4,277   Credit Agricole SA   65,344 
 2,681   Danone SA   194,998 
 150   Dassault Aviation SA   30,890 
 1,320   Dassault Systemes SE   52,353 
 1,478   Edenred SE   55,971 
 1,145   Eiffage SA   110,428 
 8,496   Elis SA†   177,230 
 15,406   Engie SA   266,070 
 228   Eramet SA†   17,969 
 556   EssilorLuxottica SA   131,580 
 1,296   Eurofins Scientific SE   82,086 
 717   Euronext NV#   77,778 
 1,133   Gaztransport Et Technigaz SA   159,794 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     France (Continued)     
 10,520   Getlink SE  $187,599 
 155   Hermes International SCA   380,619 
 89   ID Logistics Group SACA*, †   37,548 
 290   Interparfums SA†   14,640 
 339   Ipsen SA   41,698 
 3,076   JCDecaux SE*   68,823 
 570   Kering SA   162,970 
 702   L'Oreal SA   314,174 
 2,974   La Francaise des Jeux SAEM#   122,290 
 1,669   Legrand SA   191,916 
 2,346   LVMH Moet Hennessy Louis Vuitton SE   1,797,982 
 1,147   Neoen SA#   49,794 
 1,109   Nexans SA   162,458 
 25,581   Orange SA   292,870 
 474   Pernod Ricard SA   71,547 
 579   Pluxee NV*   12,206 
 1,449   Publicis Groupe SA   158,392 
 1,544   Renault SA   67,012 
 10,305   Rexel SA   297,902 
 2,456   Rubis SCA   67,035 
 1,353   Safran SA   317,936 
 2,805   Sanofi SA   321,293 
 124   Sartorius Stedim Biotech   25,915 
 1,758   Schneider Electric SE   462,224 
 6,876   SCOR SE   153,540 
 1,311   SEB SA   149,582 
 4,891   Societe Generale SA   121,683 
 841   Sodexo SA   68,948 
 361   SOITEC*   36,005 
 646   Sopra Steria Group   135,477 
 5,001   SPIE SA   190,943 
 6,426   STMicroelectronics NV   190,823 
 5,533   Technip Energies NV   133,159 
 2,304   Teleperformance SE   238,517 
 894   Thales SA   141,859 
 31,242   TotalEnergies SE†   2,034,455 
 11,692   Vallourec SACA*   176,808 
 3,558   Veolia Environnement SA   116,916 
 2,551   Verallia SA#   74,626 
 3,910   Vinci SA   456,786 
 95   Virbac SACA   40,502 
 6,270   Vivendi SE   72,447 
 2,202   Worldline SA*, #   16,026 
         14,694,051 
     Germany—4.4%     
 780   adidas AG   206,558 
 787   Allianz SE, Registered   258,434 
 1,264   Aurubis AG   92,652 
 7,886   BASF SE   417,452 
 10,754   Bayer AG, Registered   363,015 
 3,707   Bayerische Motoren Werke AG   326,732 
 2,899   Bechtle AG   129,468 
 325   Beiersdorf AG   48,894 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Germany (Continued)     
 2,005   Brenntag SE  $149,490 
 161   Carl Zeiss Meditec AG, Bearer Shares   12,751 
 6,184   Commerzbank AG   113,753 
 1,756   Continental AG   113,646 
 1,507   Covestro AG*, #   93,840 
 2,032   CTS Eventim AG & Co. KGaA   211,150 
 6,165   Daimler Truck Holding AG   230,788 
 11,971   Deutsche Bank AG, Registered   206,566 
 1,817   Deutsche Boerse AG   426,160 
 9,773   Deutsche Lufthansa AG, Registered   71,583 
 10,100   Deutsche Post AG   450,050 
 39,796   Deutsche Telekom AG, Registered   1,169,048 
 943   Deutsche Wohnen SE   26,085 
 1,544   DWS Group GmbH & Co. KGaA#   63,523 
 7,619   E.ON SE   113,265 
 2,482   Encavis AG*   48,073 
 2,371   Evonik Industries AG   55,425 
 655   Fielmann Group AG   33,831 
 1,717   Fraport AG Frankfurt Airport Services Worldwide*   95,659 
 3,419   Freenet AG   101,693 
 2,203   Fresenius Medical Care AG   93,652 
 3,220   Fresenius SE & Co. KGaA*   122,692 
 861   FUCHS SE   32,299 
 5,583   GEA Group AG   273,199 
 1,230   Gerresheimer AG   109,534 
 733   Hamburger Hafen und Logistik AG   13,218 
 202   Hannover Rueck SE   57,586 
 188   Hapag-Lloyd AG#   34,069 
 1,620   Heidelberg Materials AG   176,002 
 385   Hella GmbH & Co. KGaA   36,771 
 711   Henkel AG & Co. KGaA   60,427 
 1,726   Hensoldt AG   56,601 
 324   HOCHTIEF AG   39,889 
 10,112   Infineon Technologies AG   354,119 
 3,794   KION Group AG   149,124 
 919   Knorr-Bremse AG   81,685 
 593   Krones AG   85,153 
 2,150   LEG Immobilien SE   224,441 
 10,060   Mercedes-Benz Group AG   649,948 
 166   Merck KGaA   29,196 
 142   MTU Aero Engines AG   44,259 
 826   Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen, Registered   454,490 
 671   Nemetschek SE   69,464 
 2,001   Nordex SE*   31,006 
 3,117   Puma SE   130,113 
 695   Qiagen NV*   31,309 
 54   Rational AG   55,001 
 431   Rheinmetall AG   233,359 
 1,496   RTL Group SA   50,708 
 2,202   SAP SE   501,016 
 3,673   Siemens AG, Registered   741,426 
 1,155   Siemens Energy AG*   42,518 
 1,781   Siemens Healthineers AG#   106,778 
 337   Sixt SE   24,609 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Germany (Continued)     
 1,184   Stroeer SE & Co. KGaA  $75,717 
 459   Symrise AG   63,407 
 1,209   TAG Immobilien AG*   22,354 
 1,019   Talanx AG   85,753 
 14,859   TUI AG*   113,136 
 6,141   United Internet AG, Registered   126,258 
 418   Volkswagen AG   46,669 
 4,135   Vonovia SE   150,652 
 615   Wacker Chemie AG   60,654 
 5,328   Zalando SE*, #   175,672 
         11,745,517 
     Hong Kong—1.2%     
 61,800   AIA Group Ltd.   553,699 
 7,000   ASMPT Ltd.   85,543 
 44,640   Bank of East Asia Ltd.   57,423 
 28,000   BOC Hong Kong Holdings Ltd.   89,685 
 9,600   Budweiser Brewing Co. APAC Ltd.#   12,917 
 26,181   Cathay Pacific Airways Ltd.   28,121 
 20,400   Chow Tai Fook Jewellery Group Ltd.   22,962 
 10,906   CK Asset Holdings Ltd.   47,979 
 13,000   CK Hutchison Holdings Ltd.   74,751 
 6,000   CK Infrastructure Holdings Ltd.   41,061 
 6,500   CLP Holdings Ltd.   57,568 
 8,000   Cowell e Holdings, Inc.*   23,309 
 17,600   ESR Group Ltd.#   28,074 
 62,947   Far East Consortium International Ltd.   9,798 
 98,000   First Pacific Co. Ltd.   54,207 
 127,000   FIT Hon Teng Ltd.*, #   39,698 
 5,000   Galaxy Entertainment Group Ltd.   25,116 
 20,000   Hang Lung Group Ltd.   27,014 
 69,479   Hang Lung Properties Ltd.   67,836 
 3,800   Hang Seng Bank Ltd.   47,782 
 8,500   Henderson Land Development Co. Ltd.   27,116 
 24,500   HK Electric Investments & HK Electric Investments Ltd.   16,640 
 19,200   HKR International Ltd.*   2,816 
 48,000   HKT Trust & HKT Ltd.   61,437 
 68,457   Hong Kong & China Gas Co. Ltd.   56,359 
 6,606   Hong Kong Exchanges & Clearing Ltd.   277,196 
 14,179   Hongkong & Shanghai Hotels Ltd.   10,451 
 10,000   Hysan Development Co. Ltd.   17,289 
 13,000   Kerry Logistics Network Ltd.   14,482 
 26,500   Kerry Properties Ltd.   56,451 
 9,991   Kowloon Development Co. Ltd.   5,025 
 64,000   Man Wah Holdings Ltd.   53,183 
 16,000   MGM China Holdings Ltd.   25,521 
 6,185   MTR Corp. Ltd.   23,351 
 28,188   NagaCorp Ltd.*   13,525 
 50,000   New World Development Co. Ltd.   62,067 
 44,000   NewOcean Energy Holdings Ltd.*, §    
 127,000   Pacific Basin Shipping Ltd.   40,352 
 107,789   PCCW Ltd.   59,206 
 6,000   Power Assets Holdings Ltd.   38,436 
 4,800   PRADA SpA   37,047 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Hong Kong (Continued)     
 19,200   Samsonite International SA#  $52,854 
 9,600   Sands China Ltd.*   24,599 
 22,000   Shandong Hi-Speed Holdings Group Ltd.*   18,367 
 44,000   Shangri-La Asia Ltd.   31,922 
 21,000   SITC International Holdings Co. Ltd.   56,729 
 96,250   SJM Holdings Ltd.*   38,258 
 10,500   Stella International Holdings Ltd.   19,828 
 5,500   Sun Hung Kai Properties Ltd.   60,527 
 4,500   Swire Pacific Ltd., Class A   38,436 
 15,000   Swire Pacific Ltd., Class B   20,299 
 6,200   Swire Properties Ltd.   12,745 
 10,000   Techtronic Industries Co. Ltd.   151,920 
 7,983   Transport International Holdings Ltd.   8,677 
 52,000   United Laboratories International Holdings Ltd.   67,560 
 5,400   VTech Holdings Ltd.   37,719 
 88,826   WH Group Ltd.#   70,386 
 12,000   Wharf Real Estate Investment Co. Ltd.   42,450 
 27,200   Wynn Macau Ltd.   23,653 
 67,174   Xinyi Glass Holdings Ltd.   80,016 
 35,500   Yue Yuen Industrial Holdings Ltd.   67,768 
 29,000   Zensun Enterprises Ltd.*, §   463 
         3,217,669 
     Ireland—0.2%     
 23,256   AIB Group PLC   133,191 
 14,825   Bank of Ireland Group PLC   165,520 
 9,232   Glanbia PLC   162,473 
 602   Kerry Group PLC, Class A   62,421 
 1,085   Kingspan Group PLC   101,875 
         625,480 
     Israel—0.6%     
 182   AFI Properties Ltd.*   8,417 
 162   Africa Israel Residences Ltd.   10,538 
 734   Airport City Ltd.*   11,014 
 160   Alrov Properties & Lodgings Ltd.*   5,674 
 2,317   Amot Investments Ltd.   10,000 
 471   Ashtrom Group Ltd.*   6,540 
 2,639   Azorim-Investment Development & Construction Co. Ltd.*   12,388 
 154   Azrieli Group Ltd.   10,716 
 10,509   Bank Hapoalim BM   105,121 
 16,904   Bank Leumi Le-Israel BM   165,236 
 353   Bet Shemesh Engines Holdings 1997 Ltd.*   23,626 
 22,557   Bezeq The Israeli Telecommunication Corp. Ltd.   25,934 
 92   Big Shopping Centers Ltd.*   10,239 
 124   Blue Square Real Estate Ltd.   9,689 
 63   Brack Capital Properties NV*   4,994 
 506   Camtek Ltd.   40,693 
 5,502   Cellcom Israel Ltd.*   24,648 
 1,006   Clal Insurance Enterprises Holdings Ltd.*   17,079 
 142   Danel Adir Yeoshua Ltd.   12,989 
 260   Delek Automotive Systems Ltd.   1,497 
 153   Delek Group Ltd.   17,894 
 611   Delta Galil Ltd.   27,617 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Israel (Continued)     
 7,604   Doral Group Renewable Energy Resources Ltd.*  $30,025 
 96   Elbit Systems Ltd.   19,210 
 30   Electra Ltd.   11,950 
 986   Electra Real Estate Ltd.   11,360 
 4,030   Energix-Renewable Energies Ltd.   14,572 
 899   Enlight Renewable Energy Ltd.*   15,082 
 567   Equital Ltd.*   19,077 
 166   Fattal Holdings 1998 Ltd.*   18,983 
 699   First International Bank of Israel Ltd.   28,895 
 153   Formula Systems 1985 Ltd.   12,243 
 122   Formula Systems 1985 Ltd., ADR†   9,760 
 294   Fox Wizel Ltd.   22,200 
 1,517   Gav-Yam Lands Corp. Ltd.   12,554 
 2,147   Harel Insurance Investments & Financial Services Ltd.   20,843 
 313   Hilan Ltd.   16,423 
 8,898   ICL Group Ltd.   37,903 
 1   Isracard Ltd.   2 
 2,814   Israel Canada T.R Ltd.   10,364 
 16,353   Israel Discount Bank Ltd., Class A   91,462 
 50   Isras Investment Co. Ltd.   9,925 
 302   Kenon Holdings Ltd.   8,506 
 955   Kvutzat Acro Ltd.   11,528 
 521   Lapidoth Capital Ltd.   8,176 
 325   M Yochananof & Sons Ltd.   19,537 
 1,175   Matrix IT Ltd.   22,457 
 252   Mega Or Holdings Ltd.   6,456 
 526   Menora Mivtachim Holdings Ltd.   15,351 
 12,957   Migdal Insurance & Financial Holdings Ltd.   17,663 
 8,220   Mivne Real Estate KD Ltd.   21,036 
 1,572   Mizrahi Tefahot Bank Ltd.   61,355 
 2,988   Next Vision Stabilized Systems Ltd.   31,660 
 156   Nice Ltd.*   27,150 
 12   Nice Ltd., ADR†, *   2,084 
 215   Nova Ltd.*   44,871 
 130,510   Oil Refineries Ltd.   33,644 
 1,226   One Software Technologies Ltd.   16,539 
 1,134   OPC Energy Ltd.*   9,174 
 8,718   Partner Communications Co. Ltd.*   37,558 
 282   Paz Oil Co. Ltd.   29,646 
 3,099   Phoenix Financial Ltd.   34,915 
 497   Priortech Ltd.*   20,931 
 282   Rami Levy Chain Stores Hashikma Marketing 2006 Ltd.   15,734 
 1,204   Retailors Ltd.   21,319 
 1,415   Shapir Engineering & Industry Ltd.*   8,123 
 5,468   Shikun & Binui Ltd.*   13,172 
 20,592   Shikun & Binui Soltec Renewable Energy*   12,141 
 2,661   Shufersal Ltd.   23,627 
 700   Strauss Group Ltd.   11,135 
 2,274   Tel Aviv Stock Exchange Ltd.   21,472 
 473   Teva Pharmaceutical Industries Ltd.*   8,411 
 1,022   Tower Semiconductor Ltd.*   45,234 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Israel (Continued)     
 171   YH Dimri Construction & Development Ltd.  $15,229 
         1,651,210 
     Italy—2.0%     
 62,353   A2A SpA   143,953 
 2,124   ACEA SpA   41,565 
 4,441   Amplifon SpA   127,592 
 4,544   Azimut Holding SpA   117,248 
 1,967   Banca Generali SpA   88,108 
 9,318   Banca Mediolanum SpA   117,415 
 39,576   Banca Monte dei Paschi di Siena SpA   228,288 
 14,817   Banca Popolare di Sondrio SpA   113,393 
 14,608   Banco BPM SpA   98,508 
 42,499   BPER Banca SpA   238,904 
 2,680   Brembo NV†   29,334 
 1,134   Brunello Cucinelli SpA   122,129 
 3,257   Buzzi SpA   129,794 
 3,914   Credito Emiliano SpA   44,266 
 4,038   Davide Campari-Milano NV†   34,161 
 80,669   Enel SpA   644,291 
 21,244   Eni SpA†   323,548 
 607   Ferrari NV   283,584 
 5,782   FinecoBank Banca Fineco SpA   98,957 
 2,518   Generali   72,736 
 30,199   Hera SpA   120,413 
 1,991   Infrastrutture Wireless Italiane SpA#   24,490 
 32,221   Intesa Sanpaolo SpA   137,639 
 17,564   Iren SpA   39,767 
 12,956   Italgas SpA   78,311 
 1,706   Leonardo SpA   38,019 
 3,294   Mediobanca Banca di Credito Finanziario SpA   56,192 
 1,371   Moncler SpA   87,020 
 20,578   Nexi SpA†, #, *   139,546 
 12,036   Pirelli & C SpA#   73,018 
 4,004   Poste Italiane SpA#   56,114 
 1,227   Prysmian SpA   89,052 
 570   Recordati Industria Chimica e Farmaceutica SpA   32,232 
 624   Reply SpA   93,911 
 38,184   Saipem SpA*   84,095 
 13,537   Snam SpA   68,879 
 756   SOL SpA†   30,043 
 16,483   Stellantis NV   227,662 
 5,817   Stellantis NV†   81,729 
 153,794   Telecom Italia SpA*   42,713 
 1,807   Tenaris SA   28,432 
 1,050   Tenaris SA, ADR   33,379 
 5,987   Terna - Rete Elettrica Nazionale   53,902 
 11,429   UniCredit SpA   500,809 
 7,073   Unipol Gruppo SpA   84,008 
         5,399,149 
     Japan—14.6%     
 2,500   77 Bank Ltd.   68,099 
 1,800   ABC-Mart, Inc.   38,198 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Japan (Continued)     
 1,200   Adastria Co. Ltd.  $27,845 
 3,100   ADEKA Corp.   62,906 
 4,000   Advantest Corp.   187,608 
 4,900   Aeon Co. Ltd.   132,928 
 1,100   Aeon Delight Co. Ltd.†   31,035 
 2,100   Aeon Mall Co. Ltd.   30,552 
 2,600   AGC, Inc.   84,065 
 1,300   Ai Holdings Corp.†   21,545 
 2,500   Aica Kogyo Co. Ltd.†   59,089 
 900   Ain Holdings, Inc.   34,027 
 3,100   Air Water, Inc.   43,386 
 5,100   Aisin Corp.†   55,959 
 2,300   Ajinomoto Co., Inc.   88,751 
 1,400   Alfresa Holdings Corp.   21,975 
 8,800   Alps Alpine Co. Ltd.†   94,536 
 2,700   Amada Co. Ltd.   27,380 
 1,900   Amano Corp.   56,924 
 1,100   Amvis Holdings, Inc.   14,741 
 1,600   ANA Holdings, Inc.   34,165 
 2,900   Anritsu Corp.†   21,933 
 1,800   Aozora Bank Ltd.†   33,364 
 1,000   Arata Corp.   25,257 
 1,900   Arcs Co. Ltd.   33,856 
 2,000   ARE Holdings, Inc.   25,257 
 1,600   Artience Co. Ltd.   43,082 
 2,200   As One Corp.   44,329 
 10,500   Asahi Group Holdings Ltd.   137,236 
 1,600   Asahi Intecc Co. Ltd.   28,065 
 15,000   Asahi Kasei Corp.   112,924 
 4,400   Asics Corp.   91,873 
 1,400   ASKUL Corp.   21,069 
 2,500   Astellas Pharma, Inc.†   28,648 
 4,200   AZ-COM MARUWA Holdings, Inc.   33,518 
 4,400   Azbil Corp.   35,528 
 3,500   Bandai Namco Holdings, Inc.   79,777 
 1,000   BayCurrent, Inc.   36,904 
 600   Belc Co. Ltd.   26,843 
 3,800   Bic Camera, Inc.†   41,854 
 900   BIPROGY, Inc.   30,433 
 4,300   Bridgestone Corp.   164,550 
 2,300   Brother Industries Ltd.†   44,488 
 1,800   Bunka Shutter Co. Ltd.   22,606 
 400   C Uyemura & Co. Ltd.   31,839 
 1,700   Calbee, Inc.   41,316 
 1,200   Canon Marketing Japan, Inc.   38,791 
 4,400   Canon, Inc.   143,978 
 2,200   Capcom Co. Ltd.   50,942 
 2,700   Casio Computer Co. Ltd.†   22,327 
 2,500   Central Japan Railway Co.   57,697 
 3,700   Chiba Bank Ltd.   29,670 
 3,800   Chubu Electric Power Co., Inc.   44,445 
 3,600   Chugai Pharmaceutical Co. Ltd.   173,632 
 5,900   Chugin Financial Group, Inc.†   58,661 
 6,100   Chugoku Electric Power Co., Inc.   41,466 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Japan (Continued)     
 8,700   Citizen Watch Co. Ltd.†  $55,145 
 1,300   CKD Corp.   26,638 
 2,600   Coca-Cola Bottlers Japan Holdings, Inc.   36,072 
 2,500   Colowide Co. Ltd.†   30,066 
 900   COMSYS Holdings Corp.   19,569 
 8,000   Concordia Financial Group Ltd.   44,084 
 1,000   Cosmo Energy Holdings Co. Ltd.   54,368 
 400   Cosmos Pharmaceutical Corp.   20,837 
 4,800   Create Restaurants Holdings, Inc.   37,672 
 1,700   Create SD Holdings Co. Ltd.   37,909 
 3,600   CyberAgent, Inc.   25,536 
 1,000   Dai-Dan Co. Ltd.   20,456 
 4,900   Dai-ichi Life Holdings, Inc.   125,530 
 9,700   Daicel Corp.   89,930 
 5,600   Daido Steel Co. Ltd.   54,724 
 2,700   Daifuku Co. Ltd.   51,877 
 700   Daihen Corp.†   31,755 
 1,900   Daiichi Sankyo Co. Ltd.   62,252 
 4,200   Daiichikosho Co. Ltd.   50,906 
 1,300   Daikin Industries Ltd.   181,579 
 300   Daikokutenbussan Co. Ltd.   24,463 
 4,000   Daio Paper Corp.†   25,220 
 2,280   Daiseki Co. Ltd.   59,409 
 2,800   Daishi Hokuetsu Financial Group, Inc.   45,801 
 600   Daito Trust Construction Co. Ltd.†   72,680 
 7,000   Daiwa House Industry Co. Ltd.   219,412 
 4,700   Daiwa Securities Group, Inc.†   32,865 
 4,300   Daiwabo Holdings Co. Ltd.   81,303 
 5,300   DCM Holdings Co. Ltd.   58,227 
 3,700   Denka Co. Ltd.†   57,987 
 8,600   Denso Corp.   127,182 
 900   Dentsu Group, Inc.   27,596 
 400   Dentsu Soken, Inc.   15,418 
 3,000   Dexerials Corp.   42,279 
 3,600   DIC Corp.   81,230 
 1,900   Dip Corp.   37,544 
 500   Disco Corp.   130,423 
 1,800   DMG Mori Co. Ltd.   37,772 
 2,500   Dowa Holdings Co. Ltd.   91,407 
 1,500   DTS Corp.   42,268 
 3,300   East Japan Railway Co.   65,403 
 5,500   Ebara Corp.   89,068 
 2,100   EDION Corp.†   26,841 
 600   Eisai Co. Ltd.   22,313 
 2,900   Elecom Co. Ltd.   29,277 
 1,700   Electric Power Development Co. Ltd.   28,328 
 700   en Japan, Inc.   11,845 
 37,400   ENEOS Holdings, Inc.   202,633 
 1,000   Exedy Corp.   22,230 
 8,600   EXEO Group, Inc.   93,076 
 2,300   Ezaki Glico Co. Ltd.   70,236 
 1,300   FANUC Corp.   37,899 
 1,000   Fast Retailing Co. Ltd.   329,936 
 2,400   Financial Partners Group Co. Ltd.   37,071 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Japan (Continued)     
 3,300   Food & Life Cos. Ltd.  $66,069 
 1,400   FP Corp.   27,893 
 900   Fuji Co. Ltd.   13,244 
 3,300   Fuji Corp.   52,373 
 1,400   Fuji Electric Co. Ltd.†   83,966 
 500   Fuji Kyuko Co. Ltd.   9,612 
 700   Fuji Oil Holdings, Inc.   15,444 
 700   Fuji Seal International, Inc.   12,303 
 600   Fuji Soft, Inc.   37,655 
 4,800   FUJIFILM Holdings Corp.   123,169 
 3,000   Fujikura Ltd.   100,567 
 900   Fujimi, Inc.†   14,841 
 1,300   Fujitsu General Ltd.   19,085 
 7,700   Fujitsu Ltd.   157,268 
 400   Fukuda Denshi Co. Ltd.   21,430 
 1,200   Fukuoka Financial Group, Inc.   30,650 
 500   Fukushima Galilei Co. Ltd.   19,029 
 600   Fukuyama Transporting Co. Ltd.   15,864 
 2,800   Furukawa Electric Co. Ltd.   70,290 
 1,300   Fuso Chemical Co. Ltd.   35,999 
 2,000   Future Corp.   25,326 
 3,000   Glory Ltd.†   53,394 
 700   GMO Payment Gateway, Inc.   42,860 
 400   Goldwin, Inc.   23,038 
 3,800   GS Yuasa Corp.   75,286 
 4,900   Gunma Bank Ltd.†   29,927 
 3,000   H.U. Group Holdings, Inc.†   55,345 
 3,400   H2O Retailing Corp.†   48,685 
 5,000   Hachijuni Bank Ltd.   29,240 
 2,800   Hakuhodo DY Holdings, Inc.   22,774 
 1,800   Hamamatsu Photonics KK†   23,489 
 1,900   Hankyu Hanshin Holdings, Inc.   58,457 
 1,500   Hanwa Co. Ltd.   51,870 
 800   Harmonic Drive Systems, Inc.   19,676 
 3,500   Haseko Corp.†   45,599 
 6,300   Hazama Ando Corp.†   49,050 
 2,300   Heiwa Corp.   33,958 
 600   Heiwa Real Estate Co. Ltd.   17,033 
 700   Heiwado Co. Ltd.   11,640 
 12,900   Hino Motors Ltd.*   41,565 
 10,000   Hirogin Holdings, Inc.†   76,953 
 200   Hirose Electric Co. Ltd.   25,340 
 1,000   HIS Co. Ltd.*   11,710 
 1,600   Hitachi Construction Machinery Co. Ltd.†   38,640 
 27,000   Hitachi Ltd.   710,294 
 7,000   Hitachi Zosen Corp.   48,266 
 6,200   Hokkaido Electric Power Co., Inc.†   41,641 
 3,000   Hokuetsu Corp.†   32,729 
 1,800   Hokuhoku Financial Group, Inc.   19,569 
 2,300   Hokuriku Electric Power Co.†   14,799 
 30,900   Honda Motor Co. Ltd.   324,103 
 939   Honda Motor Co. Ltd., ADR   29,794 
 400   Horiba Ltd.   26,005 
 600   Hoshizaki Corp.   20,806 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Japan (Continued)     
 2,500   House Foods Group, Inc.  $52,983 
 2,000   Hoya Corp.   275,317 
 4,400   Hulic Co. Ltd.   44,528 
 8,400   Hyakugo Bank Ltd.   31,852 
 700   Ibiden Co. Ltd.†   21,552 
 3,300   Ichibanya Co. Ltd.†   23,902 
 6,100   Ichigo, Inc.   15,576 
 10,500   Idemitsu Kosan Co. Ltd.   75,102 
 500   IHI Corp.†   25,893 
 1,100   Iida Group Holdings Co. Ltd.†   16,922 
 4,200   Iino Kaiun Kaisha Ltd.†   36,674 
 1,900   Inaba Denki Sangyo Co. Ltd.   50,631 
 900   Inabata & Co. Ltd.   20,852 
 9,012   INFRONEER Holdings, Inc.   73,519 
 13,200   Inpex Corp.   177,990 
 1,200   Internet Initiative Japan, Inc.   25,215 
 1,500   Isetan Mitsukoshi Holdings Ltd.†   23,232 
 6,200   Isuzu Motors Ltd.   83,299 
 1,900   Ito En Ltd.   45,119 
 5,000   ITOCHU Corp.†   267,107 
 2,700   Itochu Enex Co. Ltd.   29,268 
 680   Itoham Yonekyu Holdings, Inc.   18,286 
 2,800   Iwatani Corp.   40,210 
 4,100   Iyogin Holdings, Inc.   38,768 
 1,900   Izumi Co. Ltd.   46,890 
 3,500   J. Front Retailing Co. Ltd.   37,660 
 4,100   JAC Recruitment Co. Ltd.   21,794 
 1,400   Japan Airlines Co. Ltd.   24,523 
 1,200   Japan Airport Terminal Co. Ltd.   43,024 
 1,800   Japan Aviation Electronics Industry Ltd.†   31,848 
 2,200   Japan Elevator Service Holdings Co. Ltd.   47,605 
 7,200   Japan Exchange Group, Inc.   92,952 
 1,200   Japan Material Co. Ltd.   15,471 
 7,800   Japan Post Holdings Co. Ltd.   74,133 
 1,000   Japan Post Insurance Co. Ltd.   18,118 
 3,000   Japan Securities Finance Co. Ltd.   39,972 
 1,000   Japan Steel Works Ltd.   34,956 
 5,800   Japan Tobacco, Inc.   168,643 
 1,000   Jeol Ltd.†   38,678 
 6,200   JFE Holdings, Inc.†   82,760 
 2,600   Joyful Honda Co. Ltd.   37,682 
 7,200   JTEKT Corp.   51,173 
 1,300   Juroku Financial Group, Inc.   35,728 
 2,000   Justsystems Corp.   49,817 
 10,400   JVCKenwood Corp.   97,325 
 6,900   K's Holdings Corp.   74,053 
 800   Kadokawa Corp.   17,778 
 2,000   Kaga Electronics Co. Ltd.   38,963 
 2,900   Kagome Co. Ltd.   64,729 
 2,200   Kajima Corp.†   40,954 
 1,500   Kakaku.com, Inc.   26,003 
 1,500   Kamigumi Co. Ltd.   34,013 
 4,300   Kandenko Co. Ltd.   66,598 
 2,000   Kaneka Corp.   54,298 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Japan (Continued)     
 4,100   Kanematsu Corp.  $69,006 
 4,100   Kansai Electric Power Co., Inc.   67,608 
 1,800   Kansai Paint Co. Ltd.†   31,961 
 2,000   Kao Corp.   98,925 
 100   Kasumigaseki Capital Co. Ltd.   10,423 
 3,000   Katitas Co. Ltd.†   41,559 
 800   Kato Sangyo Co. Ltd.   23,601 
 900   Kawasaki Heavy Industries Ltd.†   36,351 
 14,200   KDDI Corp.   453,886 
 4,600   Keihan Holdings Co. Ltd.   96,945 
 4,500   Keikyu Corp.†   36,617 
 700   Keio Corp.†   16,676 
 600   Keisei Electric Railway Co. Ltd.†   17,822 
 900   Kewpie Corp.   22,418 
 500   Keyence Corp.   237,815 
 3,300   Kikkoman Corp.   37,380 
 1,500   Kintetsu Group Holdings Co. Ltd.†   37,217 
 5,200   Kirin Holdings Co. Ltd.   79,090 
 1,700   Kiyo Bank Ltd.†   19,812 
 700   Kobayashi Pharmaceutical Co. Ltd.   27,776 
 1,300   Kobe Bussan Co. Ltd.   40,920 
 4,600   Kobe Steel Ltd.†   54,778 
 3,600   Koei Tecmo Holdings Co. Ltd.†   41,442 
 900   Kohnan Shoji Co. Ltd.   23,827 
 3,200   Koito Manufacturing Co. Ltd.†   43,973 
 2,900   Kokuyo Co. Ltd.   51,069 
 8,600   Komatsu Ltd.   237,312 
 900   KOMEDA Holdings Co. Ltd.   17,321 
 1,900   Komeri Co. Ltd.†   48,913 
 600   Konami Group Corp.   60,720 
 21,400   Konica Minolta, Inc.   61,524 
 1,200   Konoike Transport Co. Ltd.   20,798 
 500   Kose Corp.   32,298 
 3,400   Kotobuki Spirits Co. Ltd.†   43,066 
 6,900   Kubota Corp.   97,505 
 900   Kumagai Gumi Co. Ltd.   22,543 
 500   Kura Sushi, Inc.†   13,081 
 4,700   Kuraray Co. Ltd.   69,310 
 1,200   Kureha Corp.   23,737 
 800   Kurita Water Industries Ltd.   34,321 
 2,500   Kusuri No. Aoki Holdings Co. Ltd.   57,975 
 2,500   Kyoritsu Maintenance Co. Ltd.†   41,781 
 2,400   Kyoto Financial Group, Inc.   36,812 
 1,800   Kyowa Kirin Co. Ltd.   31,648 
 600   Kyudenko Corp.   28,233 
 3,100   Kyushu Electric Power Co., Inc.   33,702 
 5,000   Kyushu Financial Group, Inc.   24,251 
 1,200   Kyushu Railway Co.   34,524 
 400   Lasertec Corp.   65,695 
 10,100   Leopalace21 Corp.   42,023 
 1,900   Life Corp.   47,987 
 1,000   Lintec Corp.   22,995 
 4,100   Lion Corp.   46,071 
 5,000   Lixil Corp.†   59,610 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Japan (Continued)     
 8,500   LY Corp.  $24,798 
 4,100   M3, Inc.   41,021 
 3,100   Mabuchi Motor Co. Ltd.   47,969 
 5,100   Macnica Holdings, Inc.   70,472 
 600   Makino Milling Machine Co. Ltd.†   24,505 
 900   Makita Corp.   30,314 
 2,300   Mani, Inc.   29,141 
 2,200   Marubeni Corp.   35,818 
 2,000   Maruha Nichiro Corp.   44,126 
 2,000   Marui Group Co. Ltd.†   33,265 
 100   Maruwa Co. Ltd.   29,188 
 4,100   Matsui Securities Co. Ltd.†   22,308 
 1,620   MatsukiyoCocokara & Co.†   26,522 
 1,000   Max Co. Ltd.   25,048 
 7,000   Mazda Motor Corp.†   52,113 
 500   McDonald's Holdings Co. Japan Ltd.   23,795 
 3,700   MCJ Co. Ltd.   39,182 
 9,000   Mebuki Financial Group, Inc.   35,975 
 1,600   Medipal Holdings Corp.   27,725 
 2,400   Megmilk Snow Brand Co. Ltd.   45,186 
 1,700   Meidensha Corp.   39,565 
 1,600   MEIJI Holdings Co. Ltd.   39,965 
 900   Meiko Electronics Co. Ltd.   38,636 
 2,600   MEITEC Group Holdings, Inc.   57,364 
 2,100   Mercari, Inc.*   36,630 
 1,000   Micronics Japan Co. Ltd.   27,379 
 2,100   Minebea Mitsumi, Inc.   41,174 
 3,400   Mirait One Corp.   50,246 
 2,100   MISUMI Group, Inc.   37,843 
 1,000   Mitani Corp.   11,445 
 15,500   Mitsubishi Chemical Group Corp.   99,099 
 5,600   Mitsubishi Corp.   115,039 
 7,800   Mitsubishi Electric Corp.   125,012 
 4,900   Mitsubishi Estate Co. Ltd.   76,999 
 1,500   Mitsubishi Gas Chemical Co., Inc.   28,904 
 14,000   Mitsubishi Heavy Industries Ltd.   206,262 
 2,500   Mitsubishi Logisnext Co. Ltd.   22,595 
 900   Mitsubishi Logistics Corp.   32,700 
 3,900   Mitsubishi Materials Corp.†   69,873 
 16,900   Mitsubishi Motors Corp.†   45,212 
 1,000   Mitsubishi Shokuhin Co. Ltd.   36,598 
 49,100   Mitsubishi UFJ Financial Group, Inc.   496,551 
 1,400   Mitsuboshi Belting Ltd.†   38,720 
 1,700   Mitsui Chemicals, Inc.†   45,006 
 5,300   Mitsui E&S Co. Ltd.†   41,707 
 7,900   Mitsui Fudosan Co. Ltd.   73,545 
 4,500   Mitsui High-Tec, Inc.   28,198 
 2,600   Mitsui Mining & Smelting Co. Ltd.   88,280 
 1,000   Mitsui-Soko Holdings Co. Ltd.   43,208 
 1,000   Miura Co. Ltd.   24,436 
 10,390   Mizuho Financial Group, Inc.   212,246 
 700   Mizuno Corp.   44,321 
 1,700   Modec, Inc.   40,038 
 8,000   Monex Group, Inc.   33,508 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Japan (Continued)     
 900   Monogatari Corp.  $24,359 
 2,900   MonotaRO Co. Ltd.   48,375 
 2,600   Morinaga & Co. Ltd.   51,910 
 4,200   Morinaga Milk Industry Co. Ltd.†   102,659 
 5,500   MS&AD Insurance Group Holdings, Inc.   127,431 
 7,800   Murata Manufacturing Co. Ltd.   152,310 
 1,500   Musashi Seimitsu Industry Co. Ltd.†   20,393 
 2,800   Nabtesco Corp.   48,100 
 3,600   Nagase & Co. Ltd.   80,178 
 4,900   Nagoya Railroad Co. Ltd.   59,356 
 2,500   Nakanishi, Inc.   46,321 
 1,800   Namura Shipbuilding Co. Ltd.†   17,471 
 2,700   Nankai Electric Railway Co. Ltd.   44,325 
 1,100   NEC Corp.   105,236 
 1,800   NEC Networks & System Integration Corp.   34,679 
 2,500   NET One Systems Co. Ltd.   62,254 
 1,300   Nexon Co. Ltd.   25,593 
 2,800   Nextage Co. Ltd.†   35,788 
 3,900   NGK Insulators Ltd.   50,770 
 1,000   NH Foods Ltd.   37,106 
 2,400   NHK Spring Co. Ltd.   30,358 
 1,100   Nichias Corp.†   43,548 
 700   Nichiha Corp.   16,925 
 1,500   Nichirei Corp.†   46,620 
 3,200   NIDEC Corp.   66,928 
 4,600   Nifco, Inc.   116,372 
 10,300   Nihon M&A Center Holdings, Inc.†   46,919 
 4,800   Nikkon Holdings Co. Ltd.   63,237 
 3,000   Nikon Corp.†   31,007 
 3,300   Nintendo Co. Ltd.   175,326 
 1,900   Nippn Corp.†   29,334 
 3,300   Nippon Electric Glass Co. Ltd.   77,193 
 1,600   NIPPON EXPRESS HOLDINGS, Inc.†   83,949 
 3,500   Nippon Gas Co. Ltd.   55,937 
 5,700   Nippon Kayaku Co. Ltd.   49,534 
 6,200   Nippon Paint Holdings Co. Ltd.   47,344 
 1,900   Nippon Sanso Holdings Corp.†   68,914 
 2,600   Nippon Shinyaku Co. Ltd.   67,404 
 4,500   Nippon Shokubai Co. Ltd.   54,291 
 1,800   Nippon Soda Co. Ltd.   31,235 
 8,800   Nippon Steel Corp.†   195,807 
 104,100   Nippon Telegraph & Telephone Corp.   106,327 
 8,500   Nipro Corp.   84,187 
 4,800   Nishi-Nippon Financial Holdings, Inc.   54,504 
 2,400   Nishi-Nippon Railroad Co. Ltd.   38,206 
 1,000   Nishimatsu Construction Co. Ltd.†   35,394 
 1,600   Nishimatsuya Chain Co. Ltd.   27,430 
 1,400   Nissan Chemical Corp.   49,931 
 21,600   Nissan Motor Co. Ltd.†   60,491 
 800   Nisshin Oillio Group Ltd.   29,334 
 3,400   Nisshin Seifun Group, Inc.   43,019 
 7,800   Nisshinbo Holdings, Inc.   52,034 
 1,200   Nissin Foods Holdings Co. Ltd.   33,456 
 16,100   Nissui Corp.   102,778 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Japan (Continued)     
 1,200   Niterra Co. Ltd.†  $33,355 
 400   Nitori Holdings Co. Ltd.   60,658 
 6,000   Nitto Denko Corp.   99,711 
 700   Nitto Kogyo Corp.   14,660 
 300   Noevir Holdings Co. Ltd.   10,791 
 2,100   NOF Corp.   35,944 
 900   Nohmi Bosai Ltd.   18,260 
 4,500   Nojima Corp.   63,434 
 16,900   Nomura Holdings, Inc.   87,366 
 1,500   Nomura Real Estate Holdings, Inc.†   39,983 
 2,200   Nomura Research Institute Ltd.   81,127 
 14,600   North Pacific Bank Ltd.   39,211 
 2,000   NSD Co. Ltd.   44,042 
 2,900   NSK Ltd.†   14,546 
 24,200   NTN Corp.†   43,155 
 3,600   NTT Data Group Corp.   64,486 
 3,100   Obayashi Corp.   39,105 
 500   OBIC Business Consultants Co. Ltd.   25,824 
 1,500   Obic Co. Ltd.   52,663 
 2,100   Odakyu Electric Railway Co. Ltd.†   23,363 
 900   Ohsho Food Service Corp.   17,840 
 13,300   Oji Holdings Corp.†   53,117 
 2,700   Okamura Corp.†   37,140 
 4,600   Okasan Securities Group, Inc.   19,843 
 1,000   Okinawa Cellular Telephone Co.   27,518 
 2,200   OKUMA Corp.†   46,885 
 1,400   Okumura Corp.   42,275 
 2,200   Olympus Corp.   41,612 
 1,200   Omron Corp.   54,663 
 3,800   Ono Pharmaceutical Co. Ltd.   50,539 
 1,500   Open House Group Co. Ltd.†   56,410 
 3,300   Open Up Group, Inc.   46,931 
 500   Oracle Corp.   51,296 
 800   Organo Corp.   38,963 
 3,300   Oriental Land Co. Ltd.   84,908 
 2,100   Osaka Gas Co. Ltd.   47,107 
 2,900   OSG Corp.   40,849 
 1,400   Otsuka Corp.   34,521 
 900   Otsuka Holdings Co. Ltd.   50,615 
 1,600   PAL GROUP Holdings Co. Ltd.   28,254 
 1,200   PALTAC Corp.   36,820 
 2,500   Pan Pacific International Holdings Corp.   64,272 
 16,800   Panasonic Holdings Corp.   145,294 
 700   Paramount Bed Holdings Co. Ltd.   12,614 
 4,400   Park24 Co. Ltd.*   54,876 
 15,700   Penta-Ocean Construction Co. Ltd.   69,824 
 3,200   PeptiDream, Inc.*   59,246 
 26,000   Persol Holdings Co. Ltd.   46,455 
 1,100   PHC Holdings Corp.†   8,067 
 4,400   Pigeon Corp.   51,493 
 1,200   Pilot Corp.   37,029 
 900   Pola Orbis Holdings, Inc.   9,261 
 2,000   Rakus Co. Ltd.   31,122 
 700   Rakuten Bank Ltd.*   15,707 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Japan (Continued)     
 4,200   Rakuten Group, Inc.*, †  $27,048 
 7,900   Recruit Holdings Co. Ltd.   478,480 
 4,200   Relo Group, Inc.   54,880 
 12,500   Renesas Electronics Corp.   180,814 
 10,700   Rengo Co. Ltd.   74,366 
 11,900   Resona Holdings, Inc.   82,598 
 2,800   Resonac Holdings Corp.   71,692 
 2,600   Resorttrust, Inc.   52,027 
 6,400   Ricoh Co. Ltd.   68,687 
 1,600   Riken Keiki Co. Ltd.   42,748 
 1,200   Rinnai Corp.   29,481 
 1,500   Riso Kyoiku Co. Ltd.   2,693 
 2,800   Rohm Co. Ltd.†   31,288 
 1,500   Rohto Pharmaceutical Co. Ltd.   37,280 
 3,000   Rorze Corp.   41,120 
 7,900   Round One Corp.   60,188 
 3,400   Ryohin Keikaku Co. Ltd.   62,311 
 264   Ryoyo Ryosan Holdings, Inc.†   4,666 
 1,100   Saizeriya Co. Ltd.   43,702 
 1,100   Sakata Seed Corp.   27,017 
 1,800   SAMTY HOLDINGS Co. Ltd.   34,967 
 600   San-A Co. Ltd.   10,750 
 2,100   San-Ai Obbli Co. Ltd.   28,419 
 5,700   San-In Godo Bank Ltd.†   48,384 
 1,800   Sangetsu Corp.   35,230 
 1,300   Sanken Electric Co. Ltd.*, †   60,656 
 3,000   Sankyo Co. Ltd.   43,959 
 2,700   Sankyu, Inc.   90,435 
 2,100   Sanrio Co. Ltd.   60,344 
 3,600   Santen Pharmaceutical Co. Ltd.   43,445 
 2,300   Sanwa Holdings Corp.   60,411 
 600   Sapporo Holdings Ltd.   33,017 
 4,800   Sawai Group Holdings Co. Ltd.†   68,047 
 1,700   SBI Holdings, Inc.†   38,974 
 1,200   SBI Sumishin Net Bank Ltd.   22,401 
 600   SCREEN Holdings Co. Ltd.†   41,634 
 1,600   SCSK Corp.   32,946 
 2,200   Secom Co. Ltd.   81,035 
 2,400   Sega Sammy Holdings, Inc.   47,758 
 3,000   Seibu Holdings, Inc.†   66,606 
 2,400   Seiko Epson Corp.†   44,076 
 700   Seiko Group Corp.   18,946 
 1,600   Seino Holdings Co. Ltd.   26,796 
 800   Seiren Co. Ltd.†   15,040 
 2,700   Sekisui Chemical Co. Ltd.   41,921 
 2,100   Sekisui House Ltd.   58,065 
 6,200   Senko Group Holdings Co. Ltd.†   53,793 
 1,700   Seria Co. Ltd.   41,517 
 26,400   Seven & i Holdings Co. Ltd.   394,370 
 27,000   Seven Bank Ltd.†   53,784 
 5,300   SG Holdings Co. Ltd.   56,826 
 4,900   Sharp Corp.*, †   32,381 
 400   SHIFT, Inc.†, *   38,017 
 1,900   Shiga Bank Ltd.   42,898 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Japan (Continued)     
 4,500   Shikoku Electric Power Co., Inc.  $39,842 
 1,700   Shimadzu Corp.   56,468 
 200   Shimano, Inc.   37,808 
 3,500   Shimizu Corp.   23,950 
 10,400   Shin-Etsu Chemical Co. Ltd.   432,498 
 2,000   Shin-Etsu Polymer Co. Ltd.   21,569 
 800   Shinko Electric Industries Co. Ltd.*   30,553 
 4,500   Shionogi & Co. Ltd.   64,295 
 3,700   Ship Healthcare Holdings, Inc.   60,201 
 1,200   Shiseido Co. Ltd.   32,353 
 2,500   Shizuoka Financial Group, Inc.   21,647 
 1,300   SHO-BOND Holdings Co. Ltd.   51,304 
 1,500   Shoei Co. Ltd.†   23,305 
 1,400   Simplex Holdings, Inc.   23,573 
 400   Sinfonia Technology Co. Ltd.   14,055 
 7,900   SKY Perfect JSAT Holdings, Inc.   49,030 
 2,300   Skylark Holdings Co. Ltd.   36,974 
 100   SMC Corp.   44,286 
 3,200   SMS Co. Ltd.   48,014 
 900   Socionext, Inc.†   17,759 
 151,000   SoftBank Corp.†   196,676 
 5,500   Sohgo Security Services Co. Ltd.   39,607 
 1,160   Sojitz Corp.†   27,159 
 5,100   Sompo Holdings, Inc.   113,586 
 57,500   Sony Group Corp.   1,111,193 
 3,000   Sotetsu Holdings, Inc.†   49,783 
 700   Square Enix Holdings Co. Ltd.   27,737 
 1,900   Starts Corp., Inc.   45,938 
 8,400   Subaru Corp.   145,060 
 2,400   Sugi Holdings Co. Ltd.   44,510 
 4,500   SUMCO Corp.†   48,280 
 1,400   Sumitomo Bakelite Co. Ltd.   39,129 
 10,600   Sumitomo Chemical Co. Ltd.   30,054 
 4,300   Sumitomo Corp.   95,559 
 7,200   Sumitomo Electric Industries Ltd.   114,995 
 1,600   Sumitomo Forestry Co. Ltd.   78,984 
 1,700   Sumitomo Heavy Industries Ltd.   40,689 
 1,600   Sumitomo Metal Mining Co. Ltd.   47,769 
 16,800   Sumitomo Mitsui Financial Group, Inc.   355,930 
 3,800   Sumitomo Mitsui Trust Holdings, Inc.†   89,656 
 1,800   Sumitomo Osaka Cement Co. Ltd.   51,173 
 2,700   Sumitomo Realty & Development Co. Ltd.   90,285 
 2,400   Sumitomo Riko Co. Ltd.   24,330 
 3,700   Sumitomo Rubber Industries Ltd.   40,353 
 900   Sumitomo Warehouse Co. Ltd.†   16,863 
 700   Sundrug Co. Ltd.   20,621 
 800   Suntory Beverage & Food Ltd.   30,024 
 6,300   Suruga Bank Ltd.†   48,875 
 1,000   Suzuken Co. Ltd.   34,810 
 12,700   Suzuki Motor Corp.   140,718 
 1,200   SWCC Corp.   47,841 
 3,900   Sysmex Corp.   76,711 
 6,800   Systena Corp.   17,553 
 1,900   T Hasegawa Co. Ltd.   43,294 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Japan (Continued)     
 2,200   T&D Holdings, Inc.  $38,191 
 3,200   Tadano Ltd.   21,272 
 1,800   Taiheiyo Cement Corp.   42,193 
 400   Taikisha Ltd.   13,623 
 600   Taisei Corp.   26,133 
 1,700   Taiyo Holdings Co. Ltd.   43,764 
 1,200   Taiyo Yuden Co. Ltd.†   24,342 
 2,000   Takara Bio, Inc.   13,999 
 6,200   Takara Holdings, Inc.   52,499 
 900   Takasago Thermal Engineering Co. Ltd.†   32,186 
 5,200   Takashimaya Co. Ltd.   41,354 
 11,800   Takeda Pharmaceutical Co. Ltd.   336,861 
 1,500   Takeuchi Manufacturing Co. Ltd.   46,130 
 700   Takuma Co. Ltd.   7,807 
 1,000   Tamron Co. Ltd.   31,101 
 13,000   TDK Corp.   164,891 
 2,700   TechnoPro Holdings, Inc.   52,206 
 8,400   Teijin Ltd.†   82,758 
 1,800   Terumo Corp.   33,815 
 4,900   THK Co. Ltd.   85,710 
 3,900   TIS, Inc.   99,070 
 700   TKC Corp.   18,629 
 3,100   Toagosei Co. Ltd.   34,845 
 1,500   Tobu Railway Co. Ltd.   26,123 
 9,400   Toda Corp.†   61,603 
 1,000   Toei Animation Co. Ltd.   21,047 
 600   Toho Co. Ltd.   24,267 
 1,300   Toho Gas Co. Ltd.   35,900 
 1,200   Toho Holdings Co. Ltd.   37,897 
 3,300   Tohoku Electric Power Co., Inc.   31,479 
 9,700   Tokai Carbon Co. Ltd.†   62,158 
 5,300   TOKAI Holdings Corp.   35,807 
 3,000   Tokai Rika Co. Ltd.   40,911 
 11,000   Tokai Tokyo Financial Holdings, Inc.†   36,966 
 10,100   Tokio Marine Holdings, Inc.   367,599 
 3,100   Tokuyama Corp.   62,194 
 6,100   Tokyo Electric Power Co. Holdings, Inc.*   27,031 
 600   Tokyo Electron Device Ltd.†   15,029 
 2,700   Tokyo Electron Ltd.   475,095 
 1,400   Tokyo Gas Co. Ltd.†   32,505 
 1,400   Tokyo Kiraboshi Financial Group, Inc.†   40,278 
 700   Tokyo Ohka Kogyo Co. Ltd.   16,993 
 800   Tokyo Seimitsu Co. Ltd.   42,025 
 2,000   Tokyo Steel Manufacturing Co. Ltd.   27,608 
 2,700   Tokyo Tatemono Co. Ltd.   43,142 
 3,000   Tokyu Corp.†   38,678 
 9,700   Tokyu Fudosan Holdings Corp.   66,545 
 1,900   Tomy Co. Ltd.   51,715 
 5,000   Topcon Corp.   53,766 
 9,400   Toray Industries, Inc.   55,148 
 1,100   Toridoll Holdings Corp.†   28,471 
 1,300   Toshiba TEC Corp.   31,386 
 3,600   Tosoh Corp.   47,917 
 1,600   TOTO Ltd.†   59,413 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Japan (Continued)     
 1,800   Towa Corp.†  $27,515 
 2,100   Towa Pharmaceutical Co. Ltd.   43,980 
 3,100   Toyo Construction Co. Ltd.   28,773 
 2,400   Toyo Seikan Group Holdings Ltd.   37,588 
 500   Toyo Suisan Kaisha Ltd.   32,524 
 400   Toyo Tanso Co. Ltd.   15,836 
 6,700   Toyo Tire Corp.   97,289 
 3,700   Toyoda Gosei Co. Ltd.   62,943 
 4,000   Toyota Boshoku Corp.   51,988 
 77,000   Toyota Motor Corp.   1,362,133 
 5,400   Toyota Tsusho Corp.   97,123 
 500   Transcosmos, Inc.   12,333 
 900   Trend Micro, Inc.   53,139 
 1,100   Trusco Nakayama Corp.   18,919 
 3,900   Tsubakimoto Chain Co.†   50,987 
 2,500   Tsumura & Co.   78,483 
 700   Tsuruha Holdings, Inc.   44,175 
 800   U-Next Holdings Co. Ltd.   30,503 
 1,000   UACJ Corp.   35,624 
 4,000   UBE Corp.   74,295 
 600   Ulvac, Inc.   31,807 
 1,000   Unicharm Corp.   36,062 
 3,700   Ushio, Inc.   52,260 
 3,800   USS Co. Ltd.   35,865 
 600   UT Group Co. Ltd.   11,489 
 700   Visional, Inc.*   38,622 
 1,600   Wacoal Holdings Corp.   49,884 
 1,500   Welcia Holdings Co. Ltd.   21,270 
 2,400   West Japan Railway Co.   45,487 
 300   Workman Co. Ltd.   9,309 
 1,100   Yakult Honsha Co. Ltd.   25,402 
 9,500   Yamada Holdings Co. Ltd.   29,658 
 2,100   Yamaguchi Financial Group, Inc.   22,640 
 2,700   Yamaha Corp.†   23,172 
 11,400   Yamaha Motor Co. Ltd.   101,527 
 2,300   Yamato Holdings Co. Ltd.†   26,149 
 2,600   Yamazaki Baking Co. Ltd.   51,475 
 4,200   Yamazen Corp.   39,713 
 400   Yaoko Co. Ltd.†   27,057 
 1,200   Yaskawa Electric Corp.   41,730 
 1,300   Yellow Hat Ltd.   23,517 
 2,100   Yokogawa Electric Corp.   53,404 
 2,200   Yokohama Rubber Co. Ltd.   49,166 
 2,900   Yonex Co. Ltd.   42,756 
 1,700   Yoshinoya Holdings Co. Ltd.   37,152 
 900   Zensho Holdings Co. Ltd.   49,695 
 6,200   Zeon Corp.†   58,646 
 1,000   ZOZO, Inc.†   36,278 
         39,164,914 
     Netherlands—2.4%     
 4,092   Aalberts NV   165,985 
 3,265   ABN AMRO Bank NV, CVA#   58,896 
 90   Adyen NV*, #   140,517 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Netherlands (Continued)     
 11,005   Aegon Ltd.  $70,659 
 4,173   Aegon Ltd., Registered†   26,666 
 1,165   Akzo Nobel NV   82,089 
 13,946   Allfunds Group PLC   85,692 
 384   Aperam SA   12,028 
 3,118   Arcadis NV   215,884 
 2,831   ArcelorMittal SA   74,182 
 396   ASM International NV   259,812 
 1,963   ASML Holding NV   1,629,220 
 118   ASML Holding NV, Registered   98,324 
 2,907   ASR Nederland NV   142,381 
 1,709   BE Semiconductor Industries NV   216,014 
 1,433   Coca-Cola Europacific Partners PLC   112,617 
 1,557   CTP NV#   28,424 
 98   HAL Trust   12,916 
 1,104   Heineken NV†   97,871 
 2,070   IMCD NV   359,228 
 16,312   ING Groep NV   295,498 
 10,469   InPost SA*   197,411 
 1,082   JDE Peet's NV   22,595 
 9,384   Koninklijke Ahold Delhaize NV   324,133 
 50,841   Koninklijke KPN NV   207,642 
 1,815   Koninklijke Philips NV†, *   59,387 
 3,061   Koninklijke Philips NV*   100,244 
 2,715   Koninklijke Vopak NV   125,965 
 3,146   NN Group NV   156,818 
 3,356   OCI NV   95,560 
 3,422   Prosus NV   149,549 
 3,308   Randstad NV†   164,231 
 4,850   SBM Offshore NV   88,486 
 4,341   Signify NV#   102,249 
 3,669   Universal Music Group NV†   95,977 
 2,776   Wolters Kluwer NV   467,533 
         6,542,683 
     New Zealand—0.2%     
 5,589   a2 Milk Co. Ltd.†, *   24,322 
 103,494   Air New Zealand Ltd.   34,847 
 7,273   Auckland International Airport Ltd.   34,516 
 7,155   Chorus Ltd.   39,637 
 10,574   Contact Energy Ltd.   54,883 
 1,222   EBOS Group Ltd.†   28,057 
 2,584   Fisher & Paykel Healthcare Corp. Ltd.   57,046 
 13,521   Fletcher Building Ltd.*   25,340 
 3,784   Freightways Group Ltd.   21,876 
 22,649   Genesis Energy Ltd.   30,361 
 5,520   Infratil Ltd.   42,959 
 647   Mainfreight Ltd.†   29,332 
 5,833   Mercury NZ Ltd.   23,902 
 6,055   Meridian Energy Ltd.   22,850 
 1,991   Port of Tauranga Ltd.   7,526 
 7,473   Ryman Healthcare Ltd.†, *   20,415 
 16,731   Spark New Zealand Ltd.   32,207 
 10,463   Summerset Group Holdings Ltd.   79,433 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     New Zealand (Continued)     
 7,097   Vector Ltd.  $17,088 
         626,597 
     Norway—0.7%     
 1,014   AF Gruppen ASA   12,145 
 204   Aker ASA, Class A   10,593 
 4,007   Aker BP ASA   85,889 
 4,348   Aker Solutions ASA   16,720 
 1,456   Atea ASA   18,819 
 2,299   Austevoll Seafood ASA   21,066 
 1,080   Avance Gas Holding Ltd.#   10,807 
 438   Bakkafrost P/F   25,214 
 875   Bluenord ASA*   38,348 
 480   Bonheur ASA   12,145 
 7,171   Borr Drilling Ltd.†, *   39,369 
 1,580   Borregaard ASA   29,705 
 2,559   BW LPG Ltd.#   36,495 
 1,212   Cadeler AS, ADR*   34,154 
 289   Cavendish Hydrogen ASA*   320 
 968   Crayon Group Holding ASA*, #   11,438 
 5,438   DNB Bank ASA   111,512 
 12,792   DNO ASA   13,831 
 6,672   Elkem ASA*, #   12,961 
 5,641   Elopak ASA   23,787 
 745   Entra ASA*, #   9,686 
 9,681   Equinor ASA   244,664 
 4,440   Europris ASA#   28,316 
 1,012   FLEX LNG Ltd.   26,065 
 1,736   Frontline PLC   39,300 
 1,401   Gjensidige Forsikring ASA   26,207 
 2,309   Golden Ocean Group Ltd.   30,807 
 3,883   Hafnia Ltd.   27,633 
 2,783   Hoegh Autoliners ASA   35,892 
 391   Kongsberg Gruppen ASA   38,237 
 7,739   Leroy Seafood Group ASA   35,479 
 2,023   Mowi ASA   36,375 
 19,591   MPC Container Ships ASA   45,205 
 14,484   NEL ASA*   6,849 
 864   Nordic Semiconductor ASA*   8,732 
 3,224   Norsk Hydro ASA   20,915 
 23,135   Norwegian Air Shuttle ASA   28,412 
 5,186   Odfjell Drilling Ltd.   25,014 
 1,567   Odfjell SE, Class A   21,056 
 973   Okeanis Eco Tankers Corp.#, *   31,902 
 4,229   Orkla ASA   39,854 
 1,686   Protector Forsikring ASA   38,663 
 397   Salmar ASA   20,823 
 4,491   Scatec ASA*, #   35,386 
 614   Schibsted ASA, Class A   19,817 
 840   Schibsted ASA, Class B   25,328 
 1,208   Sparebank 1 Oestlandet   16,621 
 3,200   SpareBank 1 Sorost-Norge   20,623 
 1,199   SpareBank 1 SR-Bank ASA   15,475 
 580   Stolt-Nielsen Ltd.   21,435 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Norway (Continued)     
 4,328   Storebrand ASA  $47,533 
 2,103   Subsea 7 SA   33,977 
 3,478   Telenor ASA   44,493 
 5,109   TGS ASA   48,050 
 1,776   TOMRA Systems ASA   26,170 
 5,444   Var Energi ASA   16,869 
 2,363   Veidekke ASA   27,676 
 2,083   Wallenius Wilhelmsen ASA   24,515 
 1,244   Yara International ASA   39,384 
         1,894,756 
     Portugal—0.2%     
 361,360   Banco Comercial Portugues SA, Class R   163,071 
 1,860   EDP Renovaveis SA†   32,527 
 14,431   EDP SA   65,894 
 6,461   Galp Energia SGPS SA   120,827 
 1,457   Jeronimo Martins SGPS SA   28,610 
 2,806   Navigator Co. SA   11,519 
         422,448 
     Singapore—0.7%     
 14,300   CapitaLand Investment Ltd.   34,714 
 6,300   City Developments Ltd.   26,470 
 53,700   ComfortDelGro Corp. Ltd.   63,090 
 11,574   DBS Group Holdings Ltd.   342,650 
 15,900   DFI Retail Group Holdings Ltd.   34,503 
 56,500   Genting Singapore Ltd.   38,465 
 242,400   Golden Agri-Resources Ltd.   52,808 
 7,200   Hongkong Land Holdings Ltd.   26,424 
 1,900   iFAST Corp. Ltd.   10,792 
 123,655   Keppel Infrastructure Trust   44,738 
 7,500   Keppel Ltd.   38,689 
 88,000   Netlink NBN Trust   62,649 
 36,200   Olam Group Ltd.   31,546 
 16,439   Oversea-Chinese Banking Corp. Ltd.   193,137 
 13,623   SATS Ltd.   38,264 
 22,126   Seatrium Ltd.†, *   30,643 
 10,100   Sembcorp Industries Ltd.   43,535 
 19,200   Sheng Siong Group Ltd.   22,856 
 7,100   SIA Engineering Co. Ltd.   13,369 
 14,199   Singapore Airlines Ltd.†   75,124 
 7,100   Singapore Exchange Ltd.   63,087 
 13,200   Singapore Technologies Engineering Ltd.   47,860 
 9,300   Singapore Telecommunications Ltd.   23,444 
 10,200   United Overseas Bank Ltd.   255,308 
 6,200   UOL Group Ltd.   26,821 
 5,200   Venture Corp. Ltd.   56,805 
 15,300   Wilmar International Ltd.   39,879 
 23,500   Yangzijiang Shipbuilding Holdings Ltd.   44,797 
         1,782,467 
     Spain—1.7%     
 999   Acciona SA   141,785 
 2,624   ACS Actividades de Construccion y Servicios SA   121,159 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Spain (Continued)     
 462   Aena SME SA#  $101,621 
 3,838   Amadeus IT Group SA   277,356 
 36,165   Banco Bilbao Vizcaya Argentaria SA   390,815 
 9,155   Banco Bilbao Vizcaya Argentaria SA, ADR†   99,240 
 65,963   Banco de Sabadell SA†   140,171 
 71,052   Banco Santander SA   363,860 
 30,372   Bankinter SA   268,034 
 33,324   CaixaBank SA   198,975 
 1,311   Cellnex Telecom SA#   53,164 
 1,335   CIE Automotive SA   38,414 
 1,292   Corp. ACCIONA Energias Renovables SA†   30,375 
 3,950   Enagas SA   60,590 
 3,205   Endesa SA   70,033 
 4,660   Ercros SA   18,130 
 829   Ferrovial SE†   35,602 
 2,889   Fluidra SA   75,573 
 1,891   Grifols SA†, *   21,523 
 1,450   Grupo Catalana Occidente SA   64,724 
 19,573   Iberdrola SA   302,631 
 4,352   Indra Sistemas SA†   79,885 
 7,460   Industria de Diseno Textil SA   441,280 
 752   Laboratorios Farmaceuticos Rovi SA   59,936 
 1,890   Logista Integral SA   56,930 
 36,698   Mapfre SA   97,714 
 1,262   Naturgy Energy Group SA†   32,619 
 3,196   Redeia Corp. SA   62,152 
 16,433   Repsol SA   216,673 
 58,157   Telefonica SA†   284,586 
 5,440   Telefonica SA, ADR†   26,438 
 42,183   Unicaja Banco SA#   53,765 
 776   Vidrala SA   87,762 
 1,225   Viscofan SA   86,862 
         4,460,377 
     Sweden—2.1%     
 984   AAK AB   32,264 
 4,267   AddLife AB, Class B   68,233 
 3,120   AddNode Group AB   34,070 
 1,249   AddTech AB, Class B   37,411 
 3,560   AFRY AB   64,849 
 1,239   Alfa Laval AB   59,487 
 1,255   Alimak Group AB#   14,013 
 6,385   Alleima AB   44,889 
 1,797   AQ Group AB   21,254 
 3,136   Assa Abloy AB, Class B   105,482 
 13,066   Atlas Copco AB, Class A   252,743 
 7,880   Atlas Copco AB, Class B   134,853 
 810   Atrium Ljungberg AB, Class B†   19,620 
 1,217   Avanza Bank Holding AB†   30,138 
 1,245   Axfood AB†   35,085 
 2,166   Beijer Alma AB   39,371 
 1,530   Beijer Ref AB†   25,151 
 7,216   Betsson AB, Class B   88,532 
 1,754   Better Collective AS†, *   38,946 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Sweden (Continued)     
 3,201   Bilia AB, Class A†  $37,854 
 5,965   Billerud Aktiebolag   68,426 
 1,495   BioGaia AB, Class B   16,531 
 1,975   Boliden AB   66,995 
 8,308   Bravida Holding AB#   62,540 
 670   Bufab AB   24,040 
 381   Camurus AB*   24,235 
 2,626   Castellum AB*   38,488 
 447   Catena AB   25,528 
 14,402   Corem Property Group AB, Class B†   14,706 
 2,643   Dios Fastigheter AB   22,784 
 11,207   Dometic Group AB#   66,651 
 1,713   Electrolux AB, Class B†, *   16,621 
 4,995   Electrolux Professional AB, Class B   32,953 
 9,901   Elekta AB, Class B†   70,583 
 8,427   Embracer Group AB*   21,898 
 2,293   Engcon AB†   26,462 
 3,115   Epiroc AB, Class A   67,325 
 1,782   Epiroc AB, Class B   33,742 
 689   Essity AB, Class A   21,540 
 3,217   Essity AB, Class B   100,382 
 641   Evolution AB#   62,990 
 1,567   Fabege AB†   15,522 
 2,158   Fagerhult Group AB   13,812 
 4,532   Fastighets AB Balder, Class B*   39,814 
 1,712   FastPartner AB, Class A   13,958 
 3,690   Fortnox AB†   22,890 
 1,600   Getinge AB, Class B   34,471 
 4,010   Granges AB   48,092 
 3,509   H & M Hennes & Mauritz AB, Class B†   59,705 
 888   Hemnet Group AB   32,684 
 3,499   Hexagon AB, Class B   37,623 
 3,325   Hexpol AB   34,377 
 366   HMS Networks AB†   14,559 
 833   Holmen AB, Class B†   36,040 
 690   Hufvudstaden AB, Class A   9,423 
 5,315   Husqvarna AB, Class B   37,157 
 1,077   Indutrade AB   33,468 
 7,302   Instalco AB   30,054 
 4,675   International Petroleum Corp.*   55,331 
 1,619   JM AB†   32,361 
 2,288   Kindred Group PLC, SDR   29,085 
 2,602   Lagercrantz Group AB, Class B   49,038 
 977   Lifco AB, Class B   32,150 
 2,222   Lindab International AB   62,049 
 3,266   Loomis AB   107,346 
 1,134   Medicover AB, Class B   21,260 
 1,828   Munters Group AB#   41,723 
 1,021   Mycronic AB   39,711 
 4,415   NCAB Group AB   29,322 
 4,443   NCC AB, Class B   74,241 
 3,693   New Wave Group AB, Class B   41,527 
 5,005   Nibe Industrier AB, Class B†   27,430 
 7,632   Nolato AB, Class B   42,008 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Sweden (Continued)     
 1,918   Nordnet AB publ†  $46,005 
 590   NP3 Fastigheter AB   15,453 
 4,865   Nyfosa AB   57,676 
 1,014   OEM International AB, Class B   11,802 
 6,582   Peab AB, Class B   52,755 
 1,448   Saab AB, Class B†   30,783 
 1,598   Sagax AB, Class B   45,505 
 6,200   Sandvik AB   138,519 
 6,187   Scandic Hotels Group AB#, *, †   42,949 
 1,043   Sdiptech AB, Class B*   30,604 
 1,030   Sectra AB, Class B†   28,783 
 2,362   Securitas AB, Class B   29,979 
 20,665   Sinch AB*, #   62,142 
 13,385   Skandinaviska Enskilda Banken AB, Class A   204,613 
 2,462   Skanska AB, Class B   51,345 
 426   SKF AB, Class A   8,515 
 2,466   SKF AB, Class B   49,049 
 844   SkiStar AB†   13,704 
 4,349   SSAB AB, Class A   22,773 
 7,406   SSAB AB, Class B   37,920 
 43,452   Storskogen Group AB, Class B   41,647 
 3,118   Svenska Cellulosa AB SCA, Class B   45,423 
 6,847   Svenska Handelsbanken AB, Class A   70,285 
 1,660   Sweco AB, Class B   28,130 
 5,585   Swedbank AB, Class A   118,400 
 1,127   Swedish Orphan Biovitrum AB*   36,287 
 3,908   Systemair AB   34,709 
 6,025   Tele2 AB, Class B   68,165 
 1,292   Telefonaktiebolaget LM Ericsson, Class A   9,783 
 24,421   Telefonaktiebolaget LM Ericsson, Class B†   184,483 
 19,797   Telia Co. AB   64,016 
 1,057   Thule Group AB#   32,223 
 836   Trelleborg AB, Class B   32,120 
 1,381   Troax Group AB   28,964 
 6,750   Truecaller AB, Class B†   25,602 
 398   VBG Group AB, Class B   15,225 
 696   Vitec Software Group AB, Class B   36,048 
 1,282   Vitrolife AB   32,240 
 2,412   Volvo AB, Class A   64,315 
 14,602   Volvo AB, Class B   385,616 
 7,017   Volvo Car AB, Class B†, *   19,291 
 1,622   Wallenstam AB, Class B   9,415 
 2,008   Wihlborgs Fastigheter AB   23,173 
         5,654,330 
     Switzerland—5.6%     
 5,589   ABB Ltd., Registered   323,513 
 2,812   Accelleron Industries AG   145,658 
 6,161   Adecco Group AG, Registered   209,504 
 3,400   Alcon, Inc.   338,948 
 583   Allreal Holding AG, Registered   109,388 
 275   ALSO Holding AG, Registered   88,055 
 1,877   Avolta AG   79,396 
 1,692   Baloise Holding AG, Registered   344,857 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Switzerland (Continued)     
 58   Banque Cantonale de Geneve, Bearer Shares  $17,681 
 930   Banque Cantonale Vaudoise, Registered   95,983 
 127   Barry Callebaut AG, Registered   234,988 
 149   Belimo Holding AG, Registered   106,246 
 281   BKW AG   50,931 
 262   Bucher Industries AG, Registered   118,718 
 1   Chocoladefabriken Lindt & Spruengli AG, Registered   127,370 
 2,187   Cie Financiere Richemont SA, Registered Class A   345,744 
 7,509   Clariant AG, Registered   113,564 
 95   Comet Holding AG, Registered   37,434 
 197   Daetwyler Holding AG, Bearer Shares†   40,175 
 1,324   DKSH Holding AG   105,125 
 86   dormakaba Holding AG†   63,610 
 967   DSM-Firmenich AG   133,099 
 3,335   EFG International AG   44,764 
 73   Emmi AG, Registered   74,609 
 44   EMS-Chemie Holding AG, Registered   36,911 
 782   Flughafen Zurich AG, Registered   187,935 
 1,950   Galenica AG#   171,534 
 276   Geberit AG, Registered   179,815 
 2,324   Georg Fischer AG, Registered   175,326 
 29   Givaudan SA, Registered   158,989 
 566   Helvetia Holding AG, Registered   97,638 
 3,040   Holcim AG   296,547 
 45   Inficon Holding AG, Registered   64,867 
 110   Investis Holding SA   14,232 
 1,776   Julius Baer Group Ltd.   106,810 
 507   Kuehne & Nagel International AG, Registered   138,259 
 599   Logitech International SA, Registered†   53,748 
 476   Logitech International SA, Registered   42,496 
 311   Lonza Group AG, Registered   196,444 
 547   Luzerner Kantonalbank AG, Registered   40,911 
 103   Medacta Group SA#   15,212 
 9   Metall Zug AG, Registered Class B   13,080 
 16,124   Nestle SA, Registered   1,618,592 
 8,864   Novartis AG, ADR   1,019,537 
 9,049   Novartis AG, Registered   1,038,708 
 161   Partners Group Holding AG   241,590 
 1,116   PSP Swiss Property AG, Registered   163,375 
 5,304   Roche Holding AG   1,695,826 
 248   Roche Holding AG, Bearer Shares†   84,801 
 3,418   Sandoz Group AG   142,439 
 486   Sandoz Group AG, ADR   20,220 
 180   Schindler Holding AG, Registered   51,149 
 666   SFS Group AG   103,872 
 1,178   SGS SA, Registered   131,308 
 126   Siegfried Holding AG, Registered   169,419 
 2,038   SIG Group AG   45,415 
 586   Sika AG, Registered   193,937 
 3,443   Softwareone Holding AG   60,777 
 356   Sonova Holding AG, Registered   127,787 
 90   St. Galler Kantonalbank AG, Registered   44,078 
 829   Stadler Rail AG†   25,957 
 480   Straumann Holding AG, Registered   78,407 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Switzerland (Continued)     
 844   Sulzer AG, Registered  $138,016 
 232   Swatch Group AG, Bearer Shares†   49,684 
 534   Swatch Group AG, Registered†   22,872 
 208   Swiss Life Holding AG, Registered   173,507 
 2,534   Swiss Prime Site AG, Registered   283,984 
 2,431   Swiss Re AG   335,201 
 339   Swisscom AG, Registered   221,300 
 478   Swissquote Group Holding SA, Registered   171,918 
 1,526   Temenos AG, Registered   106,740 
 1,464   UBS Group AG, Registered†, *   45,252 
 13,387   UBS Group AG, Registered   412,200 
 214   VAT Group AG#   108,928 
 1,108   Vontobel Holding AG, Registered   72,396 
 108   Ypsomed Holding AG, Registered   52,574 
 2   Zuger Kantonalbank, Bearer Shares   19,803 
 875   Zurich Insurance Group AG   527,057 
         15,138,740 
     United Kingdom—8.8%     
 665   4imprint Group PLC   44,276 
 2,058   Admiral Group PLC   76,600 
 33,558   Airtel Africa PLC#   51,147 
 9,670   AJ Bell PLC   58,113 
 6,600   Anglo American PLC   214,332 
 2,371   Antofagasta PLC   63,810 
 1,907   Ascential PLC   14,443 
 4,716   Ashtead Group PLC   364,811 
 1,357   Associated British Foods PLC   42,326 
 5,866   AstraZeneca PLC   908,795 
 2,628   AstraZeneca PLC, ADR   204,747 
 7,793   Auto Trader Group PLC#   90,415 
 13,256   Aviva PLC   85,707 
 835   Avon Technologies PLC   13,619 
 26,574   B&M European Value Retail SA   147,513 
 19,768   Babcock International Group PLC   124,903 
 9,767   BAE Systems PLC   161,593 
 13,907   Balfour Beatty PLC   80,098 
 1,935   Bank of Georgia Group PLC   95,072 
 81,785   Barclays PLC   245,528 
 24,401   Barratt Developments PLC   156,166 
 27,509   Beazley PLC   279,882 
 4,795   Bellway PLC   199,628 
 707   Berkeley Group Holdings PLC   44,615 
 163,993   BP PLC   858,804 
 3,764   BP PLC, ADR   118,152 
 8,229   Breedon Group PLC   47,088 
 5,028   Bridgepoint Group PLC#   23,165 
 13,157   British American Tobacco PLC   479,158 
 773   British American Tobacco PLC, ADR   28,276 
 4,032   Britvic PLC   68,730 
 97,861   BT Group PLC†   193,505 
 1,635   Bunzl PLC   77,250 
 2,654   Burberry Group PLC   24,873 
 510   Carnival PLC*   8,305 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     United Kingdom (Continued)     
 41,656   Centamin PLC  $81,867 
 90,145   Centrica PLC   140,586 
 45,989   Coats Group PLC   61,731 
 1,369   Coca-Cola HBC AG   48,759 
 10,000   Compass Group PLC   320,066 
 2,752   Computacenter PLC   91,026 
 9,207   ConvaTec Group PLC#   27,942 
 1,693   Cranswick PLC   113,626 
 549   Croda International PLC   30,952 
 5,495   Darktrace PLC*   42,375 
 1,019   DCC PLC   69,412 
 2,124   De La Rue PLC*   2,499 
 7,588   Diageo PLC   264,069 
 745   Diploma PLC   44,164 
 44,907   Direct Line Insurance Group PLC   112,452 
 21,785   Drax Group PLC   187,714 
 20,429   DS Smith PLC   126,129 
 4,344   Dunelm Group PLC   67,021 
 2,569   easyJet PLC   17,860 
 4,850   Energean PLC   58,488 
 3,543   Entain PLC   36,151 
 3,432   Evraz PLC*, §    
 6,215   Experian PLC   326,632 
 478   Flutter Entertainment PLC*   112,315 
 3,491   Frasers Group PLC*   38,902 
 8,295   Fresnillo PLC   67,815 
 868   Games Workshop Group PLC   124,751 
 2,265   Gamma Communications PLC   50,510 
 63,583   Glencore PLC*   363,576 
 6,845   Grafton Group PLC, CDI   95,248 
 23,256   Grainger PLC   76,331 
 3,333   Greggs PLC   139,207 
 21,221   GSK PLC   430,253 
 6,435   GSK PLC, ADR   263,063 
 16,470   Haleon PLC   86,515 
 1,753   Halma PLC   61,123 
 38,234   Harbour Energy PLC   136,073 
 5,962   Hargreaves Lansdown PLC   88,836 
 57,167   Hays PLC   70,926 
 3,050   Helical PLC   9,175 
 5,594   Hikma Pharmaceuticals PLC   142,922 
 2,129   Hill & Smith PLC   58,350 
 11,961   Hiscox Ltd.   183,260 
 7,741   Howden Joinery Group PLC   93,868 
 95,822   HSBC Holdings PLC   857,307 
 8,825   IMI PLC   213,790 
 9,231   Imperial Brands PLC   268,178 
 16,522   Inchcape PLC   175,940 
 6,450   Informa PLC   70,729 
 917   InterContinental Hotels Group PLC   99,746 
 10,061   International Consolidated Airlines Group SA   27,628 
 10,685   International Distribution Services PLC   48,913 
 24,047   International Workplace Group PLC   57,162 
 1,532   Intertek Group PLC   105,687 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     United Kingdom (Continued)     
 6,648   Investec PLC  $50,573 
 131,729   ITV PLC   140,980 
 19,557   J. Sainsbury PLC   77,237 
 16,601   JD Sports Fashion PLC   34,191 
 1,084   JET2 PLC   20,290 
 17,213   John Wood Group PLC*   29,157 
 1,521   Johnson Matthey PLC   30,930 
 2,148   Just Eat Takeaway.com NV†, #, *   32,173 
 19,655   Just Group PLC   36,579 
 23,151   Kingfisher PLC   99,665 
 9,831   Lancashire Holdings Ltd.   90,296 
 40,503   Legal & General Group PLC   122,543 
 419,144   Lloyds Banking Group PLC   329,500 
 30,105   Lloyds Banking Group PLC, ADR†   93,928 
 761   London Stock Exchange Group PLC   103,980 
 41,345   Man Group PLC   117,075 
 32,319   Marks & Spencer Group PLC   160,996 
 7,717   Melrose Industries PLC   47,016 
 11,923   Mitchells & Butlers PLC*   47,104 
 43,680   Mitie Group PLC   69,026 
 4,309   Mondi PLC   81,863 
 1,105   Morgan Sindall Group PLC   45,502 
 7,845   National Grid PLC   108,030 
 1,372   National Grid PLC, ADR   95,587 
 33,155   NatWest Group PLC   152,439 
 15,508   NatWest Group PLC, ADR   145,155 
 979   Next PLC   128,034 
 537   NMC Health PLC*, §    
 2,579   Ocado Group PLC*   13,251 
 17,868   OSB Group PLC   92,927 
 1,080   Oxford Instruments PLC   30,683 
 4,475   Pearson PLC   60,636 
 6,275   Pennon Group PLC   49,665 
 9,926   Persimmon PLC   218,102 
 16,478   Pets at Home Group PLC   67,280 
 5,331   Phoenix Group Holdings PLC   39,877 
 3,157   Playtech PLC*   31,740 
 3,692   Plus500 Ltd.   123,598 
 25,790   Premier Foods PLC   63,236 
 7,055   Prudential PLC   65,516 
 1,341   Prudential PLC, ADR   24,862 
 14,053   QinetiQ Group PLC   84,434 
 4,228   Reckitt Benckiser Group PLC   258,721 
 9,691   RELX PLC   454,640 
 310   RELX PLC, ADR   14,713 
 208   Renishaw PLC   10,414 
 3,920   Rentokil Initial PLC   19,098 
 824   RHI Magnesita NV   37,786 
 13,936   Rightmove PLC   115,032 
 3,804   Rio Tinto PLC   269,494 
 1,811   Rio Tinto PLC, SP ADR   128,889 
 1,675   Robert Walters PLC   7,368 
 51,408   Rolls-Royce Holdings PLC*   362,344 
 23,365   Rotork PLC   104,147 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     United Kingdom (Continued)     
 12,872   RS Group PLC  $139,395 
 5,394   Sage Group PLC   73,882 
 2,515   Savills PLC   39,878 
 5,215   Schroders PLC   24,347 
 39,363   Serco Group PLC   93,675 
 1,639   Severn Trent PLC   57,893 
 53,100   Shell PLC   1,721,557 
 9,675   Shell PLC, ADR   638,066 
 2,913   Smith & Nephew PLC   45,099 
 420   Smith & Nephew PLC, ADR   13,079 
 1,470   Smiths Group PLC   32,958 
 3,811   Softcat PLC   79,076 
 1,908   Spectris PLC   69,589 
 375   Spirax Group PLC   37,677 
 3,530   SSE PLC   88,867 
 8,935   St. James's Place PLC   87,681 
 15,119   Standard Chartered PLC   160,292 
 15,180   Tate & Lyle PLC   138,513 
 21,402   Taylor Wimpey PLC   47,012 
 2,170   TBC Bank Group PLC   76,881 
 2,501   Telecom Plus PLC   61,792 
 41,950   Tesco PLC   201,177 
 32,660   TP ICAP Group PLC   103,267 
 8,288   Travis Perkins PLC   102,607 
 7,296   Unilever PLC   472,836 
 4,808   Unilever PLC, ADR†   312,328 
 4,797   United Utilities Group PLC   67,052 
 20,342   Virgin Money U.K. PLC§   59,288 
 11,268   Vistry Group PLC*   196,746 
 196,611   Vodafone Group PLC   197,249 
 2,052   Weir Group PLC   59,422 
 3,849   WH Smith PLC   75,028 
 1,109   Whitbread PLC   46,467 
 1,347   Wise PLC, Class A*   12,093 
 4,839   WPP PLC   49,375 
 719   WPP PLC, ADR   36,784 
         23,542,295 
     United States—0.1%     
 1,055   Alcoa Corp., CDI   42,085 
 246   Chord Energy Corp.   32,037 
 498   CRH PLC   45,394 
 435   Newmont Corp., CDI   23,433 
         142,949 
     TOTAL COMMON STOCKS (Cost $147,962,699)   180,513,315 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Affiliated Investment Company—31.5%     
           
     United States—31.5%     
 3,325,703   DFA Emerging Markets Core Equity Portfolio, Class I‡‡ (Cost $66,853,244)  $84,339,832 

 

       Expiration
Date
    
     WarrantS—0.0%        
              
     Canada—0.0%        
 122   Constellation Software, Inc. *, §  03/31/2040   0 
              
     TOTAL WARRANTS (Cost $0)      0 
              
     Preferred Stocks—0.3%        
              
     Germany—0.3%        
 666   Bayerische Motoren Werke AG, 8.12%      55,083 
 667   Dr. Ing hc F Porsche AG, 3.23%#      53,087 
 2,268   FUCHS SE, 2.55%      110,023 
 1,055   Henkel AG & Co. KGaA, 2.20%      99,117 
 949   Jungheinrich AG, 2.78%      28,585 
 917   Porsche Automobil Holding SE, 6.24%      41,933 
 126   Sartorius AG, 0.29%      35,373 
 2,217   Schaeffler AG, 9.74%      11,436 
 872   Sixt SE, 7.58%      50,766 
 2,512   Volkswagen AG, 9.56%      266,089 
            751,492 
     Italy—0.0%        
 29,205   Telecom Italia SpA, 0.0%*      9,278 
     TOTAL PREFERRED STOCK (Cost $1,059,185)      760,770 

 

       7-Day
Yield
     
     Short-Term Investments—1.6%          
 4,289,947   State Street Navigator Securities Lending Government Money Market Portfolio
(Cost $4,289,947)††
   5.04%   4,289,947 
     TOTAL INVESTMENTS, AT VALUE—100.8%
(Cost $220,165,075)
        269,903,864 
     Liabilities in Excess of Other Assets—(0.8)%        (2,023,343)
     NET ASSETS—100.0%       $267,880,521 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M International Equity Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Notes to the Schedule of Investments:
ADR—American Depositary Receipt
SP ADR—Sponsored American Depositary Receipt
Denotes all or a portion of security on loan. As of September 30, 2024, the market value of the securities on loan was $14,445,611 (Note 1).
†† Represents cash collateral received from securities lending transactions. Non-cash collateral amounted to $10,941,833.
§ Fair valued security - Represents fair value as measured based on the Portfolio Valuation policies specified in Note 1. As of September 30, 2024, the total value of the fair valued securities was $179,536.
* Non-income producing security
# Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. The aggregate value of securities exempt from registration under Rule 144A of the Securities Act of 1933 at September 30, 2024, amounts to approximately $3,435,359, and represents 1.28% of net assets.
‡‡ Affiliated issuer. Assets with a total aggregate market value of $84,339,832, or 31.5% of net assets, were affiliated with the Fund as of September 30, 2024 (Note 2).
Percentages indicated are based on net assets.

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Large Cap Growth Fund

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Common Stocks—99.2%     
           
     Aerospace & Defense—3.3%     
 22,400   General Electric Co.  $4,224,192 
 51,700   Howmet Aerospace, Inc.   5,182,925 
         9,407,117 
     Biotechnology—2.3%     
 56,500   Neurocrine Biosciences, Inc.*   6,509,930 
           
     Broadline Retail—6.3%     
 96,300   Amazon.com, Inc.*   17,943,579 
           
     Communications Equipment—7.4%     
 55,075   Arista Networks, Inc.*   21,138,886 
           
     Electrical Equipment—1.0%     
 11,300   GE Vernova, Inc.*   2,881,274 
           
     Financial Services—9.6%     
 69,640   Fiserv, Inc.*   12,510,826 
 10,100   Mastercard, Inc., Class A   4,987,380 
 36,200   Visa, Inc., Class A   9,953,190 
         27,451,396 
     Ground Transportation—4.0%     
 153,750   Uber Technologies, Inc.*   11,555,850 
           
     Health Care Equipment and Supplies—1.2%     
 29,000   Abbott Laboratories   3,306,290 
           
     Interactive Media & Services—10.3%     
 83,350   Alphabet, Inc., Class A   13,823,597 
 27,065   Meta Platforms, Inc., Class A   15,493,089 
         29,316,686 
     Pharmaceuticals—4.0%     
 94,900   Novo Nordisk AS, ADR   11,299,743 
           
     Semiconductors and Semiconductor Equipment—20.3%     
 70,800   Advanced Micro Devices, Inc.*   11,616,864 
 12,600   ASML Holding NV, Registered   10,498,950 
 295,350   NVIDIA Corp.   35,867,304 
         57,983,118 
     Software—24.7%     
 11,650   Adobe, Inc.*   6,032,137 
 23,800   Autodesk, Inc.*   6,556,424 
 8,000   Cadence Design Systems, Inc.*   2,168,240 
 56,400   Dynatrace, Inc.*   3,015,708 
 81,200   Fortinet, Inc.*   6,297,060 
 17,900   Intuit, Inc.   11,115,900 
 77,220   Microsoft Corp.   33,227,766 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Large Cap Growth Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Software (Continued)     
 4,230   Synopsys, Inc.*  $2,142,030 
         70,555,265 
     Technology Hardware, Storage & Peripherals—4.8%     
 58,500   Apple, Inc.   13,630,500 
           
     TOTAL COMMON STOCKS (Cost $163,268,173)   282,979,634 
           
     TOTAL INVESTMENTS, AT VALUE—99.2%
(Cost $163,268,173)
   282,979,634 
     Other Assets in Excess of Liabilities—0.8%   2,370,635 
     NET ASSETS—100.0%  $285,350,269 

 

Notes to the Schedule of Investments:
 
ADR—American Depositary Receipt
* Non-income producing security
Percentages indicated are based on net assets.

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Capital Appreciation Fund

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Common Stocks—98.4%     
           
     Aerospace & Defense—2.0%     
 9,907   BWX Technologies, Inc.  $1,076,891 
 4,010   Curtiss-Wright Corp.   1,318,047 
 19,031   Hexcel Corp.   1,176,687 
 62,770   Kratos Defense & Security Solutions, Inc.*   1,462,541 
         5,034,166 
     Automobile Components—2.6%     
 50,133   BorgWarner, Inc.   1,819,327 
 74,745   Dana, Inc.   789,307 
 19,833   Modine Manufacturing Co.*   2,633,624 
 116,572   Stoneridge, Inc.*   1,304,441 
         6,546,699 
     Banks—4.2%     
 14,070   Bancorp, Inc.*   752,745 
 37,561   Citizens Financial Group, Inc.   1,542,630 
 91,531   First BanCorp   1,937,711 
 40,139   Hope Bancorp, Inc.   504,146 
 23,215   Pinnacle Financial Partners, Inc.   2,274,374 
 17,113   Popular, Inc.   1,715,920 
 15,984   Wintrust Financial Corp.   1,734,744 
         10,462,270 
     Biotechnology—5.5%     
 35,171   Exact Sciences Corp. †, *   2,395,849 
 37,244   Halozyme Therapeutics, Inc.*   2,131,847 
 10,265   Incyte Corp.*   678,516 
 21,551   Insmed, Inc.*   1,573,223 
 21,503   Natera, Inc.*   2,729,806 
 5,536   Sarepta Therapeutics, Inc.*   691,391 
 3,375   United Therapeutics Corp.*   1,209,431 
 25,569   Vericel Corp.*   1,080,290 
 17,804   Viking Therapeutics, Inc.*   1,127,171 
         13,617,524 
     Building Products—3.7%     
 34,059   AZEK Co., Inc.*   1,593,961 
 19,625   Builders FirstSource, Inc.*   3,804,502 
 18,166   Tecnoglass, Inc.†   1,247,278 
 36,441   Trex Co., Inc.*   2,426,242 
         9,071,983 
     Capital Markets—1.3%     
 44,785   Carlyle Group, Inc.   1,928,442 
 20,928   TPG, Inc.   1,204,616 
         3,133,058 
     Chemicals—1.8%     
 14,003   Albemarle Corp.   1,326,224 
 48,129   Aspen Aerogels, Inc.*   1,332,692 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Capital Appreciation Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Chemicals (Continued)     
 28,199   FMC Corp.  $1,859,442 
         4,518,358 
     Commercial Services & Supplies—0.6%     
 67,199   ACV Auctions, Inc., Class A*   1,366,156 
           
     Construction and Engineering—3.9%     
 10,532   AECOM   1,087,639 
 44,369   Granite Construction, Inc.   3,517,574 
 27,558   MasTec, Inc.*   3,392,390 
 5,331   Quanta Services, Inc.   1,589,438 
         9,587,041 
     Construction Materials—2.7%     
 12,004   Eagle Materials, Inc.   3,452,950 
 80,587   Summit Materials, Inc., Class A*   3,145,311 
         6,598,261 
     Containers and Packaging—0.3%     
 69,726   Pactiv Evergreen, Inc.   802,546 
           
     Diversified Consumer Services—0.5%     
 51,871   Perdoceo Education Corp.   1,153,611 
           
     Diversified Telecommunication Services—0.8%     
 26,519   Cogent Communications Holdings, Inc.   2,013,322 
           
     Electrical Equipment—3.4%     
 120,495   Array Technologies, Inc.*   795,267 
 10,999   EnerSys   1,122,448 
 2,044   Hubbell, Inc.   875,547 
 22,489   NEXTracker, Inc., Class A*   842,888 
 10,418   Regal Rexnord Corp.   1,728,138 
 126,919   Shoals Technologies Group, Inc., Class A*   712,015 
 23,857   Vertiv Holdings Co., Class A   2,373,533 
         8,449,836 
     Electronic Equipment, Instruments & Components—5.9%     
 20,637   Cognex Corp.   835,799 
 35,325   Coherent Corp.*   3,140,746 
 5,434   Fabrinet*   1,284,815 
 90,180   Flex Ltd.*   3,014,717 
 29,763   Jabil, Inc.   3,566,500 
 12,041   Rogers Corp.*   1,360,753 
 21,168   Sanmina Corp.*   1,448,950 
         14,652,280 
     Financial Services—0.8%     
 9,183   Euronet Worldwide, Inc.*   911,229 
 24,776   NMI Holdings, Inc.*   1,020,524 
         1,931,753 
     Food Products—1.1%     
 48,285   Darling Ingredients, Inc.*   1,794,271 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Capital Appreciation Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Food Products (Continued)     
 13,495   Lamb Weston Holdings, Inc.  $873,666 
         2,667,937 
     Ground Transportation—2.8%     
 33,538   Knight-Swift Transportation Holdings, Inc.   1,809,375 
 61,261   RXO, Inc.*   1,715,308 
 30,804   XPO, Inc.*   3,311,738 
         6,836,421 
     Health Care Equipment and Supplies—6.5%     
 6,055   Align Technology, Inc.*   1,539,908 
 28,649   Cooper Cos., Inc.*   3,161,131 
 14,990   Hologic, Inc.*   1,221,085 
 10,647   Inspire Medical Systems, Inc.*   2,247,049 
 10,843   Insulet Corp.*   2,523,708 
 11,853   iRhythm Technologies, Inc.*   879,967 
 17,526   Lantheus Holdings, Inc.*   1,923,478 
 32,161   Novocure Ltd.*   502,676 
 3,325   STERIS PLC   806,446 
 28,077   Tandem Diabetes Care, Inc.*   1,190,746 
         15,996,194 
     Health Care REITs—0.6%     
 7,754   Alexandria Real Estate Equities, Inc.   920,787 
 24,278   Sila Realty Trust, Inc.   613,991 
         1,534,778 
     Hotels, Restaurants & Leisure—2.8%     
 16,473   Boyd Gaming Corp.   1,064,979 
 74,815   Caesars Entertainment, Inc.*   3,122,778 
 33,080   Planet Fitness, Inc., Class A*   2,686,758 
         6,874,515 
     Household Durables—0.7%     
 14,741   LGI Homes, Inc.*   1,747,103 
           
     Industrial REITs—1.3%     
 92,536   LXP Industrial Trust   929,987 
 20,784   Rexford Industrial Realty, Inc.   1,045,643 
 28,663   STAG Industrial, Inc.   1,120,437 
         3,096,067 
     Insurance—1.9%     
 5,579   Everest Group Ltd.   2,186,019 
 800   Markel Group, Inc.*   1,254,864 
 24,119   W.R. Berkley Corp.   1,368,271 
         4,809,154 
     Interactive Media & Services—0.5%     
 129,214   ZoomInfo Technologies, Inc.*   1,333,488 
           
     IT Services—2.4%     
 7,748   EPAM Systems, Inc.*   1,542,084 
 113,203   Grid Dynamics Holdings, Inc.*   1,584,842 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Capital Appreciation Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     IT Services (Continued)     
 5,898   MongoDB, Inc.*  $1,594,524 
 15,840   Okta, Inc.*   1,177,546 
         5,898,996 
     Leisure Products—0.8%     
 106,856   Mattel, Inc.*   2,035,607 
           
     Life Sciences Tools and Services—2.7%     
 101,497   Avantor, Inc.*   2,625,727 
 11,409   Charles River Laboratories International, Inc.*   2,247,231 
 18,053   Qiagen NV*   822,675 
 6,896   Revvity, Inc.   880,964 
         6,576,597 
     Machinery—1.7%     
 11,237   Helios Technologies, Inc.   536,005 
 15,422   Stanley Black & Decker, Inc.   1,698,425 
 83,556   Symbotic, Inc.†, *   2,037,931 
         4,272,361 
     Marine Transportation—0.9%     
 18,173   Kirby Corp.*   2,224,920 
           
     Media—1.2%     
 155,370   Integral Ad Science Holding Corp.*   1,679,550 
 100,768   Magnite, Inc.*   1,395,637 
         3,075,187 
     Metals and Mining—4.5%     
 82,976   ATI, Inc.*   5,551,924 
 27,478   Carpenter Technology Corp.   4,384,939 
 71,615   MP Materials Corp.†, *   1,264,005 
         11,200,868 
     Oil, Gas and Consumable Fuels—2.3%     
 27,257   Devon Energy Corp.   1,066,294 
 165,987   Permian Resources Corp.   2,259,083 
 59,040   SM Energy Co.   2,359,829 
         5,685,206 
     Passenger Airlines—1.3%     
 48,797   Alaska Air Group, Inc.*   2,206,112 
 173,396   Controladora Vuela Cia de Aviacion SAB de CV, ADR†, *   1,097,597 
         3,303,709 
     Pharmaceuticals—0.9%     
 19,212   Amphastar Pharmaceuticals, Inc.*   932,359 
 55,858   Elanco Animal Health, Inc.*   820,554 
 3,730   Jazz Pharmaceuticals PLC*   415,559 
         2,168,472 
     Professional Services—3.5%     
 8,699   Equifax, Inc.   2,556,288 
 32,544   KBR, Inc.   2,119,591 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Capital Appreciation Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Professional Services (Continued)     
 9,169   Paycom Software, Inc.  $1,527,280 
 240,490   Planet Labs PBC*   536,293 
 17,301   TransUnion   1,811,415 
         8,550,867 
     Real Estate Management and Development—0.4%     
 74,318   DigitalBridge Group, Inc.   1,050,113 
           
     Residential REITs—0.4%     
 46,520   Independence Realty Trust, Inc.   953,660 
           
     Semiconductors and Semiconductor Equipment—7.7%     
 372,025   indie Semiconductor, Inc., Class A†, *   1,484,380 
 31,422   Lattice Semiconductor Corp.*   1,667,565 
 15,992   MACOM Technology Solutions Holdings, Inc.*   1,779,270 
 91,819   MaxLinear, Inc.*   1,329,539 
 11,008   MKS Instruments, Inc.   1,196,680 
 2,801   Monolithic Power Systems, Inc.   2,589,524 
 24,747   Qorvo, Inc.*   2,556,365 
 9,727   SiTime Corp.*   1,668,278 
 35,506   Ultra Clean Holdings, Inc.*   1,417,755 
 10,735   Universal Display Corp.   2,253,276 
 117,147   Wolfspeed, Inc.†, *   1,136,326 
         19,078,958 
     Software—2.2%     
 12,825   Guidewire Software, Inc.*   2,346,205 
 1,913   HubSpot, Inc.*   1,016,951 
 1,823   Tyler Technologies, Inc.*   1,064,122 
 12,200   Workiva, Inc.*   965,264 
         5,392,542 
     Specialty Retail—0.2%     
 162,022   Leslie's, Inc.*   511,990 
           
     Technology Hardware, Storage & Peripherals—0.7%     
 33,308   Pure Storage, Inc., Class A*   1,673,394 
           
     Trading Companies and Distributors—6.4%     
 40,188   Beacon Roofing Supply, Inc.*   3,473,449 
 47,003   FTAI Aviation Ltd.   6,246,699 
 18,460   GMS, Inc.*   1,671,922 
 337,785   MRC Global, Inc.*   4,303,381 
         15,695,451 
     TOTAL  COMMON STOCKS (Cost $175,063,235)   243,183,419 

 

       7-Day
Yield
     
     Short-Term Investments—1.4%          
                
 3,306,113   State Street Navigator Securities Lending Government Money Market Portfolio
(Cost $ 3,306,113)††
   5.04%   3,306,113 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Capital Appreciation Fund

SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

September 30, 2024

 

       Value
(Note 1)
 
     TOTAL INVESTMENTS, AT VALUE—99.8%
(Cost $178,369,347)
  $246,489,532 
     Other Assets in Excess of Liabilities—0.2%   556,917 
     NET ASSETS—100.0%  $247,046,449 

 

Notes to the Schedule of Investments:
 
ADR—American Depositary Receipt
REIT—Real Estate Investment Trust
* Non-income producing security
Denotes all or a portion of security on loan. As of September 30, 2024, the market value of the securities on loan was $7,665,315 (Note 1).
†† Represents collateral received from securities lending transactions. Non-cash collateral amounted to $4,717,939.
Percentages indicated are based on net assets.

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Large Cap Value Fund

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2024

 

Shares      Value
(Note 1)
 
     Common Stocks—98.0%     
           
     Aerospace & Defense—3.6%     
 600   Huntington Ingalls Industries, Inc.  $158,628 
 2,800   L3Harris Technologies, Inc.   666,036 
 3,600   Lockheed Martin Corp.   2,104,416 
 19,400   RTX Corp.   2,350,504 
 3,700   Textron, Inc.   327,746 
         5,607,330 
     Air Freight and Logistics—0.7%     
 3,900   FedEx Corp.   1,067,352 
           
     Automobile Components—0.1%     
 3,400   Gentex Corp.   100,946 
           
     Automobiles—1.0%     
 63,300   Ford Motor Co.   668,448 
 18,800   General Motors Co.   842,992 
         1,511,440 
     Banks—12.7%     
 106,300   Bank of America Corp.   4,217,984 
 23,700   Citigroup, Inc.   1,483,620 
 6,100   Citizens Financial Group, Inc.   250,527 
 1,700   Commerce Bancshares, Inc.   100,980 
 700   Cullen/Frost Bankers, Inc.   78,302 
 1,800   East West Bancorp, Inc.   148,932 
 7,500   Fifth Third Bancorp   321,300 
 200   First Citizens BancShares, Inc., Class A   368,190 
 3,600   First Horizon Corp.   55,908 
 19,600   Huntington Bancshares, Inc.   288,120 
 38,400   JPMorgan Chase & Co.   8,097,024 
 7,300   KeyCorp.   122,275 
 1,800   M&T Bank Corp.   320,616 
 5,400   PNC Financial Services Group, Inc.   998,190 
 12,400   Regions Financial Corp.   289,292 
 2,300   Webster Financial Corp.   107,203 
 47,000   Wells Fargo & Co.   2,655,030 
         19,903,493 
     Beverages—0.2%     
 100   Coca-Cola Consolidated, Inc.   131,640 
 600   Constellation Brands, Inc., Class A   154,614 
         286,254 
     Biotechnology—3.9%     
 27,800   AbbVie, Inc.   5,489,944 
 4,200   Gilead Sciences, Inc.   352,128 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Large Cap Value Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Biotechnology (Continued)     
 700   United Therapeutics Corp.*  $250,845 
         6,092,917 
     Broadline Retail—0.3%     
 7,900   eBay, Inc.   514,369 
           
     Building Products—1.4%     
 1,300   Allegion PLC   189,462 
 2,000   Builders FirstSource, Inc.*   387,720 
 1,800   Fortune Brands Innovations, Inc.   161,154 
 8,300   Johnson Controls International PLC   644,163 
 4,300   Masco Corp.   360,942 
 1,800   Owens Corning   317,736 
 1,000   UFP Industries, Inc.   131,210 
         2,192,387 
     Capital Markets—5.3%     
 1,400   Ameriprise Financial, Inc.   657,734 
 11,100   Bank of New York Mellon Corp.   797,646 
 4,900   Carlyle Group, Inc.   210,994 
 4,500   Goldman Sachs Group, Inc.   2,227,995 
 3,000   Invesco Ltd.   52,680 
 2,800   Jefferies Financial Group, Inc.   172,340 
 1,000   LPL Financial Holdings, Inc.   232,630 
 22,300   Morgan Stanley   2,324,552 
 2,700   Northern Trust Corp.   243,081 
 2,800   Raymond James Financial, Inc.   342,888 
 5,400   Robinhood Markets, Inc., Class A*   126,468 
 1,700   SEI Investments Co.   117,623 
 4,500   State Street Corp.   398,115 
 1,400   Stifel Financial Corp.   131,460 
 3,000   T. Rowe Price Group, Inc.   326,790 
         8,362,996 
     Chemicals—1.2%     
 1,500   Celanese Corp.   203,940 
 2,400   CF Industries Holdings, Inc.   205,920 
 11,100   Dow, Inc.   606,393 
 1,800   Eastman Chemical Co.   201,510 
 5,185   LyondellBasell Industries NV, Class A   497,241 
 1,700   PPG Industries, Inc.   225,182 
         1,940,186 
     Communications Equipment—1.0%     
 27,200   Cisco Systems, Inc.   1,447,584 
 900   F5, Inc.*   198,180 
         1,645,764 
     Construction Materials—0.1%     
 500   Eagle Materials, Inc.   143,825 
           
     Consumer Finance—2.7%     
 3,800   Ally Financial, Inc.   135,242 
 9,600   American Express Co.   2,603,520 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Large Cap Value Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Consumer Finance (Continued)     
 4,800   Capital One Financial Corp.  $718,704 
 3,800   Discover Financial Services   533,102 
 5,800   Synchrony Financial   289,304 
         4,279,872 
     Consumer Staples Distribution & Retail—1.5%     
 1,000   BJ's Wholesale Club Holdings, Inc.*   82,480 
 9,200   Kroger Co.   527,160 
 7,800   Sysco Corp.   608,868 
 7,300   Target Corp.   1,137,778 
         2,356,286 
     Containers and Packaging—0.6%     
 22,700   Amcor PLC   257,191 
 1,600   Berry Global Group, Inc.   108,768 
 2,300   Crown Holdings, Inc.   220,524 
 4,900   Graphic Packaging Holding Co.   144,991 
 4,400   International Paper Co.†   214,940 
         946,414 
     Distributors—0.2%     
 2,200   Genuine Parts Co.   307,296 
           
     Diversified Consumer Services—0.3%     
 12,700   ADT, Inc.   91,821 
 2,200   H&R Block, Inc.   139,810 
 2,900   Service Corp. International   228,897 
         460,528 
     Diversified Telecommunication Services—3.5%     
 113,900   AT&T, Inc.   2,505,800 
 66,500   Verizon Communications, Inc.   2,986,515 
         5,492,315 
     Electric Utilities—2.4%     
 12,200   Duke Energy Corp.   1,406,660 
 4,500   Edison International   391,905 
 3,700   Evergy, Inc.   229,437 
 3,200   NRG Energy, Inc.   291,520 
 3,152   OGE Energy Corp.   129,295 
 1,749   Pinnacle West Capital Corp.   154,944 
 11,700   PPL Corp.   387,036 
 7,800   Southern Co.   703,404 
         3,694,201 
     Electrical Equipment—0.1%     
 500   Acuity Brands, Inc.   137,695 
           
     Electronic Equipment, Instruments & Components—0.2%     
 1,200   Arrow Electronics, Inc.*   159,396 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Large Cap Value Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Electronic Equipment, Instruments & Components (Continued)     
 1,300   TD SYNNEX Corp.  $156,104 
         315,500 
     Energy Equipment and Services—0.3%     
 11,100   Baker Hughes Co.   401,265 
           
     Entertainment—0.4%     
 6,100   Walt Disney Co.   586,759 
           
     Financial Services—2.4%     
 7,700   Apollo Global Management, Inc.   961,807 
 900   Corpay, Inc.*   281,484 
 5,700   Equitable Holdings, Inc.   239,571 
 6,644   Fiserv, Inc.*   1,193,594 
 14,100   PayPal Holdings, Inc.*   1,100,223 
         3,776,679 
     Food Products—1.3%     
 1,300   Bunge Global SA   125,632 
 4,700   Campbell Soup Co.   229,924 
 7,500   Conagra Brands, Inc.   243,900 
 8,300   General Mills, Inc.   612,955 
 1,900   Hormel Foods Corp.   60,230 
 1,000   Ingredion, Inc.   137,430 
 16,300   Kraft Heinz Co.   572,293 
         1,982,364 
     Ground Transportation—0.8%     
 30,800   CSX Corp.   1,063,524 
 200   U-Haul Holding Co.*, †   15,496 
 3,100   U-Haul Holding Co. NV   223,200 
         1,302,220 
     Health Care Equipment and Supplies—1.5%     
 20,200   Medtronic PLC   1,818,606 
 700   Teleflex, Inc.   173,124 
 3,200   Zimmer Biomet Holdings, Inc.   345,440 
         2,337,170 
     Health Care Providers and Services—6.8%     
 3,862   Cardinal Health, Inc.   426,828 
 3,200   Cencora, Inc.   720,256 
 7,200   Centene Corp.*   542,016 
 4,500   Cigna Group   1,558,980 
 1,300   DaVita, Inc.*   213,109 
 4,100   Elevance Health, Inc.   2,132,000 
 5,500   HCA Healthcare, Inc.   2,235,365 
 2,000   Henry Schein, Inc.*   145,800 
 1,600   Labcorp Holdings, Inc.   357,568 
 2,700   McKesson Corp.   1,334,934 
 500   Molina Healthcare, Inc.*   172,280 
 2,300   Quest Diagnostics, Inc.   357,075 
 1,300   Tenet Healthcare Corp.*   216,060 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Large Cap Value Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Health Care Providers and Services (Continued)     
 1,200   Universal Health Services, Inc., Class B  $274,812 
         10,687,083 
     Hotels, Restaurants & Leisure—0.5%     
 1,700   Darden Restaurants, Inc.   279,021 
 2,000   Expedia Group, Inc.*   296,040 
 5,000   MGM Resorts International*   195,450 
         770,511 
     Household Durables—2.0%     
 5,800   DR Horton, Inc.   1,106,466 
 4,500   Lennar Corp., Class A   843,660 
 30   NVR, Inc.*   294,354 
 4,400   PulteGroup, Inc.   631,532 
 800   Toll Brothers, Inc.   123,592 
 200   TopBuild Corp.*   81,362 
         3,080,966 
     Household Products—0.4%     
 4,600   Kimberly-Clark Corp.   654,488 
           
     Insurance—7.1%     
 8,700   Aflac, Inc.   972,660 
 1,100   American Financial Group, Inc.   148,060 
 8,900   American International Group, Inc.   651,747 
 4,900   Arch Capital Group Ltd.*   548,212 
 700   Assurant, Inc.   139,202 
 5,600   Chubb Ltd.   1,614,984 
 2,100   Cincinnati Financial Corp.   285,852 
 100   Everest Group Ltd.   39,183 
 3,700   Fidelity National Financial, Inc.   229,622 
 4,500   Hartford Financial Services Group, Inc.   529,245 
 3,300   Loews Corp.   260,865 
 150   Markel Group, Inc.*   235,287 
 11,300   MetLife, Inc.   932,024 
 3,900   Old Republic International Corp.   138,138 
 500   Primerica, Inc.   132,575 
 3,400   Principal Financial Group, Inc.   292,060 
 3,600   Progressive Corp.   913,536 
 5,000   Prudential Financial, Inc.   605,500 
 900   Reinsurance Group of America, Inc.   196,083 
 5,700   Travelers Cos., Inc.   1,334,484 
 2,700   Unum Group   160,488 
 1,400   Willis Towers Watson PLC   412,342 
 5,275   W.R. Berkley Corp.   299,251 
         11,071,400 
     Interactive Media & Services—0.0%     
 1,700   Match Group, Inc.*   64,328 
           
     IT Services—1.8%     
 7,800   Cognizant Technology Solutions Corp., Class A   602,004 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Large Cap Value Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     IT Services (Continued)     
 10,400   International Business Machines Corp.  $2,299,232 
         2,901,236 
     Leisure Products—0.1%     
 2,200   Hasbro, Inc.   159,104 
           
     Life Sciences Tools and Services—0.1%     
 400   Bio-Rad Laboratories, Inc., Class A*   133,832 
           
     Machinery—4.4%     
 1,400   Allison Transmission Holdings, Inc.   134,498 
 7,700   Caterpillar, Inc.   3,011,624 
 2,100   Cummins, Inc.   679,959 
 3,700   Deere & Co.   1,544,121 
 1,800   Dover Corp.   345,132 
 700   Middleby Corp.*   97,391 
 1,000   Oshkosh Corp.   100,210 
 8,222   PACCAR, Inc.   811,347 
 800   Snap-on, Inc.   231,768 
         6,956,050 
     Media—2.0%     
 58,000   Comcast Corp., Class A   2,422,660 
 5,300   Fox Corp., Class A   224,349 
 5,900   Interpublic Group of Cos., Inc.   186,617 
 3,400   Omnicom Group, Inc.   351,526 
         3,185,152 
     Metals and Mining—0.9%     
 700   Commercial Metals Co.   38,472 
 5,000   Nucor Corp.   751,700 
 1,000   Reliance, Inc.   289,210 
 3,300   Steel Dynamics, Inc.   416,064 
         1,495,446 
     Multi-Utilities—1.9%     
 5,500   Consolidated Edison, Inc.   572,715 
 13,200   Dominion Energy, Inc.   762,828 
 8,300   Public Service Enterprise Group, Inc.   740,443 
 8,300   Sempra   694,129 
 2,100   WEC Energy Group, Inc.   201,978 
         2,972,093 
     Oil, Gas and Consumable Fuels—7.0%     
 7,100   Antero Midstream Corp.   106,855 
 3,700   Cheniere Energy, Inc.   665,408 
 22,969   Chevron Corp.   3,382,645 
 16,300   ConocoPhillips   1,716,064 
 9,300   Devon Energy Corp.   363,816 
 700   DT Midstream, Inc.   55,062 
 9,200   EOG Resources, Inc.   1,130,956 
 35,000   Kinder Morgan, Inc.   773,150 
 9,035   Marathon Oil Corp.   240,602 
 5,600   Marathon Petroleum Corp.   912,296 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Large Cap Value Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Oil, Gas and Consumable Fuels (Continued)     
 6,700   Phillips 66  $880,715 
 5,100   Valero Energy Corp.   688,653 
         10,916,222 
     Passenger Airlines—0.5%     
 10,100   Delta Air Lines, Inc.   512,979 
 5,200   United Airlines Holdings, Inc.*   296,712 
         809,691 
     Pharmaceuticals—4.1%     
 26,700   Johnson & Johnson   4,327,002 
 17,100   Merck & Co., Inc.   1,941,876 
 18,800   Viatris, Inc.   218,268 
         6,487,146 
     Professional Services—0.3%     
 200   CACI International, Inc., Class A*   100,912 
 2,099   Leidos Holdings, Inc.   342,137 
 600   Science Applications International Corp.   83,562 
         526,611 
     Semiconductors and Semiconductor Equipment—0.3%     
 3,300   Amkor Technology, Inc.   100,980 
 2,900   ON Semiconductor Corp.*   210,569 
 2,200   Skyworks Solutions, Inc.   217,294 
         528,843 
     Software—0.2%     
 9,800   Gen Digital, Inc.   268,814 
           
     Specialty Retail—3.4%     
 1,300   AutoNation, Inc.*   232,596 
 200   AutoZone, Inc.*   630,008 
 3,400   Best Buy Co., Inc.   351,220 
 2,400   CarMax, Inc.*   185,712 
 500   Dick's Sporting Goods, Inc.   104,350 
 200   Lithia Motors, Inc.   63,528 
 11,800   Lowe's Cos., Inc.   3,196,030 
 300   Murphy USA, Inc.   147,861 
 1,000   Penske Automotive Group, Inc.   162,420 
 1,800   Williams-Sonoma, Inc.   278,856 
         5,352,581 
     Technology Hardware, Storage & Peripherals—0.7%     
 21,000   Hewlett Packard Enterprise Co.   429,660 
 20,800   HP, Inc.   746,096 
         1,175,756 
     Textiles, Apparel and Luxury Goods—0.4%     
 900   Crocs, Inc.*   130,329 
 649   Ralph Lauren Corp.   125,822 
 2,100   Skechers USA, Inc., Class A*   140,532 

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Large Cap Value Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
September 30, 2024

 

Shares      Value
(Note 1)
 
     Textiles, Apparel and Luxury Goods (Continued)     
 3,700   Tapestry, Inc.  $173,826 
         570,509 
     Tobacco—2.8%     
 27,100   Altria Group, Inc.   1,383,184 
 24,400   Philip Morris International, Inc.   2,962,160 
         4,345,344 
     Trading Companies and Distributors—0.6%     
 1,000   United Rentals, Inc.   809,730 
 800   WESCO International, Inc.   134,384 
         944,114 
           
     TOTAL COMMON STOCKS (Cost $114,380,741)   153,803,143 
           
     Exchange-Traded Fund—1.5%     
 12,800   iShares Russell 1000 Value ETF (Cost $2,292,831)   2,429,440 
           
     TOTAL INVESTMENTS, AT VALUE—99.5%
(Cost $116,673,572)††
   156,232,583 
     Other Assets in Excess of Liabilities—0.5%   708,746 
     NET ASSETS—100.0%  $156,941,329 

 

Notes to the Schedule of Investments:
 
* Non-income producing security
Denotes all or a portion of security on loan. As of September 30, 2024, the market value of the securities on loan was $196,649 (Note 1).
†† Non-cash collateral amounted to $201,258.
Percentages indicated are based on net assets.

 

The accompanying notes are an integral part of these Schedules of Investments.

 

 

 

 

M Fund, Inc.

NOTES TO SCHEDULES OF INVESTMENTS (Unaudited)

 

M Fund, Inc. (the "Corporation") was incorporated in Maryland on August 11, 1995 and is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. As of September 30, 2024, the Corporation consisted of four separate diversified investment portfolios: M International Equity Fund, M Large Cap Growth Fund, M Capital Appreciation Fund and M Large Cap Value Fund (each singularly a “Fund” or collectively the “Funds”), each of which is a separate mutual fund.

 

1.Significant Accounting Policies

 

The following is a summary of significant accounting policies for the Funds. Such policies are in conformity with accounting principles generally accepted in the United States of America ("GAAP") for investment companies and are consistently followed by the Funds in the preparation of their Schedules of Investments.

 

Portfolio Valuation

 

Equity securities and other similar investments traded on a recognized U.S. securities exchange (other than the National Association of Securities Dealers Automated Quotation System “NASDAQ”) are valued at the last sale price on the exchange on which the securities are traded. If no sale occurs, equity securities and other similar investments traded on a U.S. exchange (other than NASDAQ) are valued at the most recent bid price. Equity securities and other similar investments traded on NASDAQ are valued at the NASDAQ Official Closing Price. If no sale occurs, equity securities and other similar investments traded on NASDAQ are valued at the most recent bid price. Equity securities and other similar investments traded on a non-U.S. exchange are generally valued according to the latest closing values on that exchange prior to the close of the New York Stock Exchange. However, if an event which may change the value of a security occurs after the time that the closing value on the non-U.S. exchange was determined, the Board of Directors may decide to value the security based on fair value. The Board of Directors has approved the use of an independent fair value service for foreign securities, which may provide a fair value price on trading days when the S&P 500 Index moves more than 0.5%. The use of a fair value price may cause the value of the security on the books of the Fund to be significantly different from the closing value on the non-U.S. exchange and may affect the calculation of the Fund’s NAV. Over-the-counter securities are valued at the last sale price on the valuation date or, if no sale occurs, at the most recent bid price. Short-term obligations maturing in sixty days or less are valued at amortized cost, which approximates market value.

 

Amortized cost valuation involves initially valuing a security at its cost, and thereafter, assuming a constant accretion or amortization to maturity of any discount or premium, regardless of the impact of fluctuating interest rates on the market value of the security. Securities for which a pricing service supplies no quotations or quotations are not deemed to be representative of market value or for which there are no readily available market quotations are valued at fair value as determined in good faith by the Pricing Committee appointed by the Board of Directors (excluding debt securities with a remaining maturity of sixty days or less). Investments in mutual funds, including money market funds, are valued at their respective NAVs as of the close of the Exchange on the valuation date. These securities are generally categorized as Level 1 in the fair value hierarchy.

 

Fair value is defined as the price that the Funds would receive upon selling an investment in a timely transaction to an independent buyer in the principal or most advantageous market for the investment. A three-tier hierarchy is utilized to maximize the use of observable data inputs and minimize the use of unobservable data inputs and to establish classification of fair value measurements for disclosure purposes.

 

 

 

 

M Fund, Inc.

NOTES TO SCHEDULES OF INVESTMENTS (Unaudited) (Continued)

 

Inputs refer broadly to the assumptions that market participants would use to price the asset or liability, including assumptions about risk. Observable inputs are inputs that reflect the assumptions market participants would use to price the asset or liability based on market data obtained from sources independent of the reporting entity. Unobservable inputs are inputs that reflect the reporting entity’s own assumptions about the assumptions market participants would use to price the asset or liability based on the best information available in the circumstances. The three-tier hierarchy of inputs is summarized in the three broad Levels listed below.

 

Level 1 — quoted prices in active markets for identical investments;

 

Level 2 — quoted prices in markets that are not active or other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and

 

Level 3 — significant unobservable inputs (including the Fund’s own assumptions used to determine the fair value of investments).

 

The valuation techniques used by the Funds to measure fair value during the period ended September 30, 2024 maximized the use of observable inputs and minimized the use of unobservable inputs.

 

The availability of observable inputs can vary from security to security and is affected by a wide variety of factors, including, for example, the type of security, whether the security is new and not yet established in the marketplace, the liquidity of markets, and other characteristics particular to the security. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3.

 

The inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for disclosure purposes, the level in the fair value hierarchy within which the fair value measurement falls in its entirety is determined based on the lowest level input that is significant to the fair value measurement in its entirety.

 

As of September 30, 2024, the M Large Cap Growth Fund, M Capital Appreciation Fund and M Large Cap Value Fund, had (i) all long-term investments classified as Level 1, as represented on the Schedule of Investments; and (ii) all short-term investments classified as Level 2.

 

 

 

 

M Fund, Inc.

NOTES TO SCHEDULES OF INVESTMENTS (Unaudited) (Continued)

 

The following is a summary of the inputs used as of September 30, 2024 in valuing the M International Equity Fund investments:

 

Assets Valuation Input

 

Description  Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
  

Significant
Other
Observable
Inputs

(Level 2)

   Significant
Unobservable
Inputs
(Level 3)
   Total 
Common Stocks                    
Australia  $12,299,370   $   $   $12,299,370 
Austria   994,950            994,950 
Belgium   1,814,796    119,723        1,934,519 
Canada   20,121,669    62        20,121,731 
Denmark   5,785,030            5,785,030 
Finland   2,672,083            2,672,083 
France   14,694,051            14,694,051 
Germany   11,745,517            11,745,517 
Hong Kong   3,217,206    463        3,217,669 
Ireland   625,480            625,480 
Israel   1,651,210            1,651,210 
Italy   5,399,149            5,399,149 
Japan   39,164,914            39,164,914 
Netherlands   6,542,683            6,542,683 
New Zealand   626,597            626,597 
Norway   1,894,756            1,894,756 
Portugal   422,448            422,448 
Singapore   1,782,467            1,782,467 
Spain   4,460,377            4,460,377 
Sweden   5,654,330            5,654,330 
Switzerland   15,138,740            15,138,740 
United Kingdom   23,483,007    59,288        23,542,295 
United States   142,949            142,949 
Total Common Stocks   180,333,779    179,536        180,513,315 
Affiliated Investment Company                    
United States   84,339,832            84,339,832 
Warrants                    
Canada                
Preferred Stocks                    
Germany   751,492            751,492 
Italy   9,278            9,278 
Total Preferred Stock   760,770            760,770 
Short-Term Investments       4,289,947        4,289,947 
Total Investments, at Value   265,434,381    4,469,483        269,903,864 
Total  $265,434,381   $4,469,483   $            —   $269,903,864 

 

At September 30, 2024, Level 2 Common Stocks were priced based on a fair value determination by the Valuation Committee.

 

 

 

 

M Fund, Inc.

NOTES TO SCHEDULES OF INVESTMENTS (Unaudited) (Continued)

 

The following is a reconciliation of investments in securities for which significant unobservable inputs (Level 3) were used in determining value for the M International Equity Fund:

 

Investments in Securities  Balance as of
December 31,
2023
   Realized Gain
(Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
   Purchases   Sales   Transfers in to
Level 3*
   Transfers out
of Level 3
   Balance as of
September 30,
2024
   Net Change in
Unrealized
Appreciation
(Depreciation)
from
Investments
still held as of
9/30/24 for the
period ended
9/30/2024
 
Common Stocks  $39   $-   $-   $-   $(39)  $-   $-   $-   $- 
Rights   -    -    -    -    -    -    -    -    - 
Total  $39   $           -   $            -   $        -   $(39)  $          -   $           -   $        -   $       - 

 

* The Fund(s) recognize transfers between the levels as of the beginning of the period.

 

The M International Equity Fund did not have any significant transfers in and out of Level 1, Level 2 or Level 3 of the fair value hierarchy during the period ended September 30, 2024.

 

Securities Lending

 

The Funds participate in a securities lending program under the terms of a Securities Lending Agency Agreement with State Street Bank and Trust Company, which serves as the Funds’ securities lending agent. Each Fund may loan its portfolio securities in an amount up to 33 1/3 of its total assets. The Funds receive cash (U.S. currency) and non-cash (U.S. Treasuries and Agencies) as collateral against the loaned securities. Cash collateral is invested by the securities lending agent in a money market mutual fund that meets the quality and diversification requirements in accordance with Rule 2a-7 under the 1940 Act. All collateral received will be in an amount at least equal to 102% (for loans of U.S. securities) or 105% (for loans of non-U.S. securities) of the market value of the loaned securities at the inception of each loan. The market value of the loaned securities is determined each day at the close of business of the Funds and any change in the amount of collateral is delivered to or paid by the Fund the next day. The collateral value does not include the calculated mark, which is the amount charged/returned to the borrower daily to maintain 102% or 105% of market value. There is a day lag in receiving the mark, which may at times result in a collateral percentage above or below 102% or 105%.

 

The collateral received is recorded on a lending Fund’s statement of assets and liabilities, along with the related obligation to return the collateral. A Fund may also record realized gain or loss on securities deemed sold due to a borrower's inability to return securities on loan. Upon an event of default under the Securities Agency Lending Agreement, there is a risk of delay in the recovery of the securities or loss of rights in the collateral. If the borrower fails to return loaned securities and collateral is insufficient to cover the value of loaned securities (provided that the insufficiency is not due to investment losses), the securities lending agent has agreed, at its option, to pay the amount of any shortfall in collateral to the Funds; or to replace the securities. Any dividends or interest payable by the issuers of the loaned portfolio securities, during the time that the securities are on loan, are paid to the borrowers of those securities. Dividend or interest payments that are made to borrowers of the loaned securities are reimbursed by the borrowers to the Funds. Such reimbursement amounts do not comprise qualified dividend income under the Internal Revenue Code of 1986, as amended.

 

Income generated from the investment of collateral, less negotiated rebate fees paid to the borrower through the securities lending agent, is the source of the Fund’s securities lending income, 75% of which is paid to the Fund, 25% of which is paid to the custodian as securities lending agent, beginning February 1, 2024. From January 1, 2024 through January 31, 2024, 70% was paid to the Fund and 30% was paid to the custodian as securities lending agent.

 

 

 

 

M Fund, Inc.

NOTES TO SCHEDULES OF INVESTMENTS (Unaudited) (Continued)

 

As of September 30, 2024, the value of the securities on loan and the value of the related collateral were as follows:

 

   Value of Securities
Loaned with
Cash Collateral
   Value of Cash
Collateral
   Value of Securities
Loaned with
Non-Cash Collateral
   Value of Non-Cash
Collateral
 
M International Equity Fund  $4,038,347   $4,289,947   $10,407,264   $10,941,833 
M Capital Appreciation Fund   3,065,969    3,306,113    4,599,346    4,717,939 
M Large Cap Value Fund           196,649    201,258 

 

2.Tax Information

 

As of September 30, 2024, aggregated gross unrealized appreciation for investment securities in which there is an excess of value over tax cost and aggregate gross unrealized depreciation for investment securities in which there is an excess of tax cost over value were as follows:

 

   Federal
Income Tax
Cost
   Tax Basis
Unrealized
Appreciation
   Tax Basis
Unrealized
Depreciation
   Tax Basis
Net Unrealized
Appreciation/
Depreciation
 
M International Equity Fund  $223,225,657   $55,578,457   $(8,900,250)  $46,678,207 
M Large Cap Growth Fund   163,337,839    121,654,137    (2,012,342)   119,641,795 
M Capital Appreciation Fund   182,158,093    81,302,575    (16,971,136)   64,331,439 
M Large Cap Value Fund   116,984,076    40,059,363    (810,856)   39,248,507 

 

The Funds did not have any unrecognized tax benefits as of September 30, 2024, nor were there any increases or decreases in unrecognized tax benefits for the period then ended. The Funds recognize interest and penalties, if any, related to unrecognized tax benefits as an income tax expense. During the period ended September 30, 2024, the Funds did not incur any such interest or penalties. The Funds are subject to examination by U.S. federal and state tax authorities for returns filed for the prior three fiscal years, December 2021 through December 2023. No examination of any of the Funds' tax filings is currently in progress.