SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

SCHEDULE OF INVESTMENTS

COMMON STOCK — 64.2%

   

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Value

 

BERMUDA — 0.0%

RenaissanceRe Holdings

    287     $ 82,125  

 

               

CHINA — 0.1%

NXP Semiconductors

    1,853       425,023  

 

               

IRELAND — 0.5%

Accenture, Cl A

    5,702       2,066,234  

 

               

MEXICO — 0.0%

Southern Copper

    458       45,960  

 

               

SOUTH KOREA — 0.0%

Coupang, Cl A *

    811       20,567  

 

               

SWITZERLAND — 0.1%

TE Connectivity

    1,517       229,249  

 

               

UNITED STATES — 63.5%

COMMUNICATION SERVICES — 5.0%

Alphabet, Cl A

    20,754       3,506,388  

Alphabet, Cl C

    15,466       2,636,798  

AT&T

    30,892       715,459  

Atlanta Braves Holdings, Cl C *

    86       3,470  

Charter Communications, Cl A *

    424       168,313  

Comcast, Cl A

    20,717       894,767  

Electronic Arts

    938       153,522  

Fox, Cl A

    2,772       130,617  

Fox, Cl B

    2,648       118,445  

GCI Liberty * (1)

    1,489        

Interpublic Group

    1,735       53,455  

Liberty Media -Liberty Formula One, Cl C *

    1,373       121,318  

Live Nation Entertainment *

    1,042       144,057  

Meta Platforms, Cl A

    15,078       8,659,597  

Netflix *

    2,447       2,170,024  

News, Cl A

    2,994       87,874  

News, Cl B

    1,153       37,000  

Omnicom Group

    1,637       171,590  

Pinterest, Cl A *

    2,563       77,710  

 

1

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

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Value

 

UNITED STATES — continued

COMMUNICATION SERVICES — continued

ROBLOX, Cl A *

    653     $ 32,735  

Sirius XM Holdings

    3,070       82,737  

Snap, Cl A *

    4,654       54,964  

Spotify Technology *

    140       66,774  

Take-Two Interactive Software *

    528       99,465  

T-Mobile US

    1,852       457,333  

Trade Desk, Cl A *

    607       78,030  

Verizon Communications

    32,911       1,459,274  

Walt Disney

    5,223       613,546  

Warner Bros Discovery *

    10,635       111,455  
              22,906,717  

 

               

CONSUMER DISCRETIONARY — 7.1%

Airbnb, Cl A *

    497       67,647  

Amazon.com *

    28,913       6,010,724  

Aptiv *

    1,406       78,075  

AutoNation *

    7,727       1,382,283  

AutoZone *

    177       561,009  

Best Buy

    2,150       193,500  

Booking Holdings

    82       426,562  

Burlington Stores *

    468       131,920  

CarMax *

    898       75,405  

Carnival *

    5,725       145,587  

Carvana, Cl A *

    499       129,950  

Cava Group *

    312       43,961  

Chipotle Mexican Grill, Cl A *

    6,100       375,272  

Choice Hotels International

    751       113,581  

Churchill Downs

    381       54,144  

Darden Restaurants

    1,101       194,073  

Deckers Outdoor *

    3,549       695,462  

Dick's Sporting Goods

    6,318       1,309,342  

Domino's Pizza

    462       220,000  

DoorDash, Cl A *

    921       166,222  

DR Horton

    5,814       981,287  

DraftKings, Cl A *

    1,540       67,221  

eBay

    3,214       203,414  

Expedia Group *

    868       160,250  

Floor & Decor Holdings, Cl A *

    270       30,297  

Ford Motor

    26,156       291,116  

Gap

    11,651       282,537  

 

2

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

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UNITED STATES — continued

CONSUMER DISCRETIONARY — continued

Garmin

    1,308     $ 278,081  

General Motors

    4,393       244,207  

Genuine Parts

    1,331       168,678  

H&R Block

    1,278       75,760  

Hilton Worldwide Holdings

    634       160,681  

Home Depot

    4,177       1,792,476  

Hyatt Hotels, Cl A

    425       67,125  

Las Vegas Sands

    3,090       163,955  

Lennar, Cl A

    3,383       589,961  

Lennar, Cl B

    300       49,449  

LKQ

    572       22,474  

Lowe's

    3,180       866,327  

Lululemon Athletica *

    595       190,793  

Marriott International, Cl A

    630       182,127  

McDonald's

    2,047       605,932  

NIKE, Cl B

    3,125       246,156  

NVR *

    26       240,125  

Ollie's Bargain Outlet Holdings *

    332       32,851  

O'Reilly Automotive *

    386       479,883  

Penske Automotive Group

    7,045       1,173,274  

Pool

    917       345,792  

PulteGroup

    8,445       1,142,355  

Ralph Lauren, Cl A

    644       149,022  

Rivian Automotive, Cl A *

    3,071       37,558  

Ross Stores

    2,120       328,324  

Royal Caribbean Cruises

    7,313       1,784,811  

Service International

    268       23,742  

SharkNinja

    560       56,308  

Starbucks

    2,498       255,945  

Tesla *

    3,337       1,151,799  

TJX

    3,445       433,002  

Toll Brothers

    12,629       2,085,932  

TopBuild *

    159       62,112  

Tractor Supply

    2,572       729,599  

Ulta Beauty *

    475       183,654  

Williams-Sonoma

    9,258       1,592,561  

Wingstop

    225       73,973  

Yum! Brands

    1,600       222,304  
              32,679,949  

 

               

 

3

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

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Value

 

UNITED STATES — continued

CONSUMER STAPLES — 3.7%

Altria Group

    5,769     $ 333,102  

Archer-Daniels-Midland

    3,138       171,335  

BJ's Wholesale Club Holdings *

    303       29,179  

Brown-Forman, Cl A

    359       14,848  

Brown-Forman, Cl B

    2,007       84,455  

Bunge Global

    667       59,857  

Campbell Soup

    1,674       77,339  

Casey's General Stores

    1,107       465,925  

Church & Dwight

    879       96,804  

Clorox

    754       126,046  

Coca-Cola

    13,951       893,980  

Colgate-Palmolive

    3,023       292,113  

Conagra Brands

    2,688       74,054  

Constellation Brands, Cl A

    809       194,929  

Costco Wholesale

    1,314       1,277,050  

Dollar General

    1,776       137,232  

Dollar Tree *

    2,152       153,373  

General Mills

    4,001       265,106  

Hershey

    658       115,894  

Hormel Foods

    3,298       106,954  

Kellanova

    3,205       260,534  

Kenvue

    9,502       228,808  

Keurig Dr Pepper

    4,510       147,252  

Kimberly-Clark

    1,284       178,925  

Kraft Heinz

    5,219       166,851  

Kroger

    8,706       531,763  

McCormick

    667       52,207  

Mondelez International, Cl A

    3,423       222,324  

Monster Beverage *

    3,613       199,185  

PepsiCo

    6,683       1,092,336  

Performance Food Group *

    1,259       111,094  

Philip Morris International

    3,855       512,946  

Procter & Gamble

    8,166       1,463,837  

Sysco

    4,239       326,869  

Target

    8,080       1,069,065  

Tyson Foods, Cl A

    374       24,123  

US Foods Holding *

    3,133       218,589  

Walmart

    55,078       5,094,715  

WK Kellogg

    1,077       22,402  
              16,893,400  

 

               

 

4

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

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Value

 

UNITED STATES — continued

ENERGY — 2.5%

Baker Hughes, Cl A

    6,926     $ 304,398  

Cheniere Energy

    1,935       433,459  

Chevron

    6,942       1,124,118  

ConocoPhillips

    8,441       914,515  

Coterra Energy

    4,350       116,232  

Devon Energy

    12,909       489,897  

Diamondback Energy

    5,506       977,811  

EOG Resources

    3,408       454,150  

EQT

    2,836       128,868  

Exxon Mobil

    23,405       2,760,854  

Halliburton

    8,943       284,924  

Hess

    2,439       358,972  

Kinder Morgan

    12,238       345,968  

Marathon Petroleum

    4,453       695,336  

Occidental Petroleum

    6,668       337,267  

ONEOK

    1,690       191,984  

Phillips 66

    1,718       230,178  

Schlumberger

    5,583       245,317  

Targa Resources

    2,215       452,524  

Texas Pacific Land

    103       164,809  

Valero Energy

    2,073       288,313  

Williams

    3,528       206,459  
              11,506,353  

 

               

FINANCIALS — 9.7%

Affirm Holdings, Cl A *

    1,188       83,172  

Aflac

    4,970       566,580  

Allstate

    4,063       842,626  

Ally Financial

    818       32,704  

American Express

    2,555       778,457  

American Financial Group

    238       34,953  

American International Group

    3,061       235,330  

Ameriprise Financial

    3,182       1,826,373  

Aon, Cl A

    1,598       625,681  

Apollo Global Management

    1,166       204,085  

Arch Capital Group

    8,852       891,573  

Ares Management, Cl A

    635       112,224  

Arthur J Gallagher

    634       197,960  

Assurant

    1,374       312,035  

Assured Guaranty

    9,901       923,565  

 

5

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

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UNITED STATES — continued

FINANCIALS — continued

Bank of America

    22,174     $ 1,053,487  

Bank of New York Mellon

    4,274       349,912  

Bank OZK

    3,480       173,896  

Berkshire Hathaway, Cl B *

    4,970       2,400,609  

BlackRock Funding

    299       305,817  

Blackstone, Cl A

    606       115,801  

Block, Cl A *

    2,074       183,653  

Brown & Brown

    1,634       184,805  

Capital One Financial

    1,081       207,563  

Carlyle Group

    3,728       198,441  

Cboe Global Markets

    619       133,611  

Charles Schwab

    4,190       346,764  

Chubb

    1,111       320,779  

Cincinnati Financial

    1,043       166,703  

Citigroup

    5,968       422,952  

Citizens Financial Group

    19,944       960,104  

CME Group, Cl A

    1,292       307,496  

Coinbase Global, Cl A *

    300       88,860  

Corebridge Financial

    5,662       183,279  

Corpay *

    765       291,603  

Discover Financial Services

    1,723       314,327  

East West Bancorp

    8,019       879,524  

Equitable Holdings

    2,314       111,604  

Erie Indemnity, Cl A

    132       58,154  

Everest Group

    277       107,354  

FactSet Research Systems

    217       106,475  

Fidelity National Financial

    6,086       385,792  

Fidelity National Information Services

    1,785       152,260  

Fifth Third Bancorp

    4,565       219,394  

First American Financial

    1,494       104,804  

First Citizens BancShares, Cl A

    258       592,110  

First Hawaiian

    17,537       484,197  

Fiserv *

    1,563       345,360  

Global Payments

    1,022       121,577  

Goldman Sachs Group

    875       532,499  

Hartford Financial Services Group

    5,317       655,639  

Huntington Bancshares

    10,403       187,358  

Interactive Brokers Group, Cl A

    186       35,543  

Intercontinental Exchange

    1,928       310,331  

Jack Henry & Associates

    664       116,984  

Jefferies Financial Group

    2,725       215,656  

 

6

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

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UNITED STATES — continued

FINANCIALS — continued

JPMorgan Chase

    32,042     $ 8,001,528  

KeyCorp

    5,806       113,101  

Kinsale Capital Group

    96       48,810  

KKR

    1,501       244,468  

Loews

    1,638       142,064  

LPL Financial Holdings

    607       197,366  

M&T Bank

    956       210,310  

Markel Group *

    83       147,982  

Marsh & McLennan

    1,840       429,143  

Mastercard, Cl A

    3,074       1,638,258  

MetLife

    3,911       345,068  

Moody's

    645       322,487  

Morgan Stanley

    9,062       1,192,650  

Morningstar

    412       145,910  

MSCI, Cl A

    334       203,616  

Nasdaq

    6,501       539,518  

Northern Trust

    1,519       168,852  

OneMain Holdings, Cl A

    921       52,819  

PayPal Holdings *

    1,941       168,421  

PNC Financial Services Group

    1,429       306,835  

Primerica

    441       133,513  

Principal Financial Group

    1,341       116,788  

Progressive

    5,413       1,455,447  

Prudential Financial

    2,024       261,926  

Raymond James Financial

    1,436       243,086  

Regions Financial

    5,240       142,842  

Reinsurance Group of America, Cl A

    824       188,202  

Robinhood Markets, Cl A *

    3,221       120,916  

S&P Global

    645       337,019  

State Street

    2,265       223,125  

Synchrony Financial

    2,666       180,008  

T Rowe Price Group

    749       92,756  

Toast, Cl A *

    1,965       85,556  

Tradeweb Markets, Cl A

    569       77,100  

Travelers

    2,094       557,088  

Truist Financial

    1,659       79,101  

Unum Group

    418       32,144  

US Bancorp

    5,768       307,377  

Visa, Cl A

    5,387       1,697,336  

Wells Fargo

    9,638       734,126  

Willis Towers Watson

    785       252,770  

 

7

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

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Value

 

UNITED STATES — continued

FINANCIALS — continued

WR Berkley

    5,336     $ 344,439  

Zions Bancorp

    3,144       190,275  
              44,572,541  

 

               

HEALTH CARE — 5.7%

Abbott Laboratories

    4,221       501,328  

AbbVie

    7,688       1,406,366  

Agilent Technologies

    1,872       258,280  

Align Technology *

    224       52,140  

Alnylam Pharmaceuticals *

    566       143,238  

Amgen

    2,151       608,453  

Avantor *

    2,707       57,009  

Baxter International

    2,757       92,938  

Becton Dickinson

    734       162,875  

Biogen *

    647       103,928  

Bio-Techne

    513       38,660  

Boston Scientific *

    3,033       274,972  

Bristol-Myers Squibb

    9,321       551,990  

Bruker

    600       34,770  

Cardinal Health

    1,086       132,753  

Cencora, Cl A

    4,441       1,117,134  

Centene *

    3,226       193,560  

Cigna Group

    2,017       681,343  

Cooper *

    1,536       160,451  

CVS Health

    2,921       174,822  

Danaher

    4,516       1,082,440  

DaVita *

    207       34,397  

DexCom *

    882       68,787  

Edwards Lifesciences *

    1,683       120,082  

Elevance Health

    1,062       432,192  

Eli Lilly

    5,124       4,075,373  

Fortrea Holdings *

    905       19,050  

GE HealthCare Technologies

    2,198       182,918  

Gilead Sciences

    7,079       655,374  

GRAIL *

    51       892  

HCA Healthcare

    4,393       1,437,477  

Hologic *

    1,266       100,647  

Humana

    442       131,000  

ICON *

    103       21,656  

IDEXX Laboratories *

    827       348,787  

 

8

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

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Value

 

UNITED STATES — continued

HEALTH CARE — continued

Illumina *

    307     $ 44,254  

Incyte *

    1,174       87,569  

Insulet *

    229       61,093  

Intuitive Surgical *

    359       194,578  

IQVIA Holdings *

    1,292       259,485  

Johnson & Johnson

    8,350       1,294,333  

Labcorp Holdings

    897       216,321  

McKesson

    739       464,461  

Medtronic

    2,286       197,830  

Merck

    6,788       689,932  

Mettler-Toledo International *

    106       132,627  

Moderna *

    1,867       80,393  

Molina Healthcare *

    810       241,299  

Natera *

    208       34,898  

Neurocrine Biosciences *

    634       80,359  

Pfizer

    10,029       262,860  

Quest Diagnostics

    2,786       453,171  

Regeneron Pharmaceuticals *

    228       171,050  

ResMed

    934       232,585  

Revvity

    679       78,859  

Royalty Pharma, Cl A

    2,289       61,025  

Sarepta Therapeutics *

    356       47,469  

Solventum *

    436       31,178  

STERIS

    725       158,818  

Stryker

    778       305,093  

Teleflex

    293       56,505  

Tenet Healthcare *

    591       84,324  

Thermo Fisher Scientific

    1,564       828,341  

United Therapeutics *

    2,480       918,815  

UnitedHealth Group

    2,501       1,526,110  

Universal Health Services, Cl B

    704       144,320  

Veeva Systems, Cl A *

    247       56,279  

Vertex Pharmaceuticals *

    805       376,845  

Viatris, Cl W

    4,807       62,924  

Waters *

    379       145,809  

West Pharmaceutical Services

    357       116,268  

Zimmer Biomet Holdings

    629       70,511  

Zoetis, Cl A

    3,088       541,172  
              26,267,845  

 

               

 

9

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

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Value

 

UNITED STATES — continued

INDUSTRIALS — 10.6%

3M

    1,746     $ 233,143  

A O Smith

    380       28,306  

Advanced Drainage Systems

    211       28,546  

AECOM

    2,872       335,938  

Air Lease, Cl A

    1,766       89,889  

Allegion

    249       35,069  

Allison Transmission Holdings

    3,317       393,064  

Amentum Holdings *

    927       22,572  

AMETEK

    1,976       384,095  

Automatic Data Processing

    1,516       465,306  

Axon Enterprise *

    214       138,449  

Boeing *

    866       134,611  

Booz Allen Hamilton Holding, Cl A

    5,247       777,500  

Broadridge Financial Solutions

    1,887       445,370  

Builders FirstSource *

    10,598       1,976,209  

Carlisle

    1,107       505,567  

Carrier Global

    2,275       176,017  

Caterpillar

    1,816       737,496  

CH Robinson Worldwide

    448       47,300  

Cintas

    5,228       1,180,430  

Clean Harbors *

    367       95,453  

CNH Industrial

    3,603       45,254  

Comfort Systems USA

    114       56,233  

Copart *

    10,645       674,787  

CSX

    11,122       406,509  

Cummins

    1,258       471,800  

Curtiss-Wright

    177       66,133  

Deere

    1,092       508,763  

Delta Air Lines

    21,674       1,383,235  

Dover

    4,020       827,718  

Eaton

    5,848       2,195,456  

EMCOR Group

    302       154,056  

Emerson Electric

    1,298       172,115  

Equifax

    727       190,154  

Esab

    4,875       629,265  

Expeditors International of Washington

    1,221       148,522  

Fastenal

    12,553       1,048,929  

FedEx

    994       300,854  

Ferguson Enterprises

    1,515       327,134  

Fortive

    2,477       196,500  

Fortune Brands Innovations

    322       25,213  

 

10

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

INDUSTRIALS — continued

FTAI Aviation

    245     $ 41,361  

GE Vernova *

    434       145,008  

General Dynamics

    678       192,559  

General Electric

    6,296       1,146,879  

Graco

    963       87,710  

HEICO

    666       182,064  

HEICO, Cl A

    408       86,141  

Honeywell International

    2,962       689,939  

Howmet Aerospace

    8,692       1,028,959  

Hubbell, Cl B

    2,218       1,020,480  

IDEX

    511       117,852  

Illinois Tool Works

    1,102       305,827  

Ingersoll Rand

    6,969       725,961  

ITT

    3,419       533,774  

Jacobs Solutions

    3,618       510,970  

JB Hunt Transport Services

    1,496       282,909  

Johnson Controls International

    3,787       317,578  

L3Harris Technologies

    984       242,310  

Landstar System

    428       79,574  

Leidos Holdings

    764       126,366  

Lennox International

    211       140,764  

Lincoln Electric Holdings

    224       48,940  

Lockheed Martin

    1,167       617,821  

Masco

    749       60,339  

Nordson

    959       250,289  

Norfolk Southern

    870       239,989  

Northrop Grumman

    514       251,680  

Old Dominion Freight Line

    5,491       1,236,244  

Otis Worldwide

    2,336       240,561  

Owens Corning

    4,298       883,755  

PACCAR

    7,060       826,020  

Parker-Hannifin

    1,826       1,283,495  

Paychex

    1,441       210,775  

Pentair

    1,060       115,529  

Quanta Services

    6,306       2,172,543  

Regal Beloit

    493       85,146  

Republic Services, Cl A

    790       172,457  

Rockwell Automation

    1,009       297,796  

Rollins

    3,031       152,550  

RTX

    3,767       458,934  

Ryder System

    524       88,472  

 

11

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

INDUSTRIALS — continued

Snap-on

    1,532     $ 566,365  

Southwest Airlines

    2,769       89,605  

SS&C Technologies Holdings

    1,837       142,074  

Stanley Black & Decker

    700       62,615  

Tetra Tech

    743       30,842  

Textron

    1,438       123,136  

Trane Technologies

    5,746       2,391,600  

TransDigm Group

    148       185,440  

TransUnion

    863       87,595  

Uber Technologies *

    2,306       165,940  

U-Haul Holding *

    274       19,364  

U-Haul Holding, Cl B

    712       44,457  

Union Pacific

    2,078       508,403  

United Airlines Holdings *

    3,592       347,813  

United Parcel Service, Cl B

    2,222       301,570  

United Rentals

    3,404       2,947,864  

Veralto

    880       95,207  

Verisk Analytics, Cl A

    1,747       513,985  

Vertiv Holdings, Cl A

    8,360       1,066,736  

Waste Management

    1,190       271,582  

Watsco

    646       356,334  

Westinghouse Air Brake Technologies

    2,200       441,364  

WW Grainger

    956       1,152,305  

XPO *

    3,348       510,269  

Xylem

    1,566       198,491  
              48,378,236  

 

               

INFORMATION TECHNOLOGY — 16.1%

Adobe *

    1,372       707,856  

Advanced Micro Devices *

    3,208       440,057  

Akamai Technologies *

    830       78,037  

Amphenol, Cl A

    2,808       204,001  

Analog Devices

    1,132       246,833  

ANSYS *

    498       174,848  

Apple

    50,695       12,031,444  

Applied Materials

    2,359       412,141  

AppLovin, Cl A *

    9,063       3,051,965  

Arista Networks *

    2,196       891,181  

Arrow Electronics *

    273       32,804  

Aspen Technology *

    407       101,750  

 

12

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

INFORMATION TECHNOLOGY — continued

Atlassian, Cl A *

    71     $ 18,714  

Autodesk *

    1,083       316,128  

Bentley Systems, Cl B

    1,009       49,945  

Broadcom

    7,674       1,243,802  

Cadence Design Systems *

    2,715       832,989  

CDW

    2,111       371,388  

Cisco Systems

    16,091       952,748  

Cognizant Technology Solutions, Cl A

    2,552       205,410  

Coherent *

    529       52,985  

Corning

    6,629       322,633  

Crowdstrike Holdings, Cl A *

    183       63,312  

Datadog, Cl A *

    214       32,688  

Dell Technologies, Cl C

    449       57,288  

DocuSign, Cl A *

    571       45,503  

Dynatrace *

    1,440       80,914  

Entegris

    1,102       116,404  

F5 *

    173       43,311  

Fair Isaac *

    607       1,441,643  

First Solar *

    662       131,917  

Flex *

    4,462       173,884  

Fortinet *

    6,551       622,672  

Gartner *

    456       236,176  

Gen Digital

    3,766       116,181  

GLOBALFOUNDRIES *

    236       10,207  

GoDaddy, Cl A *

    817       161,415  

Guidewire Software *

    380       77,098  

Hewlett Packard Enterprise

    8,859       187,988  

HP

    4,250       150,577  

HubSpot *

    117       84,363  

Intel

    9,141       219,841  

International Business Machines

    3,550       807,305  

Intuit

    556       356,802  

Jabil

    195       26,487  

Juniper Networks

    4,413       158,515  

Keysight Technologies *

    3,899       666,105  

KLA

    2,462       1,592,988  

Kyndryl Holdings *

    12,505       434,049  

Lam Research

    20,788       1,535,817  

Manhattan Associates *

    649       185,251  

Marvell Technology

    1,746       161,837  

Microchip Technology

    3,363       229,256  

 

13

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

INFORMATION TECHNOLOGY — continued

Micron Technology

    2,515     $ 246,344  

Microsoft

    34,176       14,472,169  

MongoDB, Cl A *

    114       36,764  

Monolithic Power Systems

    160       90,822  

Motorola Solutions

    1,226       612,632  

NetApp

    1,536       188,375  

Nutanix, Cl A *

    1,279       83,493  

NVIDIA

    130,418       18,030,288  

Okta, Cl A *

    884       68,563  

ON Semiconductor *

    2,481       176,449  

Oracle

    5,564       1,028,450  

Palantir Technologies, Cl A *

    2,157       144,692  

Palo Alto Networks *

    558       216,404  

Pegasystems

    1,717       163,063  

PTC *

    464       92,828  

Pure Storage, Cl A *

    1,082       57,335  

QUALCOMM

    5,384       853,525  

Roper Technologies

    279       158,037  

Salesforce

    1,927       635,891  

Seagate Technology Holdings

    948       96,061  

ServiceNow *

    215       225,630  

Skyworks Solutions

    918       80,408  

Snowflake, Cl A *

    606       105,929  

Synopsys *

    1,826       1,019,803  

TD SYNNEX

    3,576       425,508  

Teledyne Technologies *

    1,047       508,067  

Teradyne

    959       105,490  

Texas Instruments

    4,046       813,367  

Trimble *

    1,542       112,520  

Twilio, Cl A *

    471       49,238  

Tyler Technologies *

    159       100,038  

VeriSign *

    497       93,028  

Western Digital *

    1,942       141,747  

Workday, Cl A *

    187       46,748  

Zebra Technologies, Cl A *

    450       183,150  

Zoom Video Communications, Cl A *

    352       29,107  

Zscaler *

    223       46,070  
              74,485,486  

 

               

 

14

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

MATERIALS — 1.8%

Air Products & Chemicals

    312     $ 104,311  

Amcor

    11,449       121,817  

AptarGroup

    149       25,771  

Avery Dennison

    913       188,032  

Ball

    639       39,720  

Celanese, Cl A

    760       55,640  

CF Industries Holdings

    1,420       127,317  

Corteva

    4,158       258,794  

CRH

    1,003       102,577  

Dow

    3,575       158,051  

DuPont de Nemours

    2,667       222,935  

Eastman Chemical

    330       34,558  

Ecolab

    205       50,998  

Element Solutions

    4,689       134,480  

Freeport-McMoRan

    10,586       467,901  

Graphic Packaging Holding

    5,617       169,015  

International Flavors & Fragrances

    275       25,124  

International Paper

    4,583       269,618  

Linde

    1,337       616,344  

LyondellBasell Industries, Cl A

    3,547       295,607  

Martin Marietta Materials

    357       214,200  

Newmont

    3,803       159,498  

Nucor

    4,473       691,928  

Packaging Corp of America

    1,699       422,796  

PPG Industries

    694       86,313  

Reliance

    2,911       935,130  

RPM International

    3,293       457,003  

Sherwin-Williams

    1,290       512,646  

Steel Dynamics

    6,300       915,201  

Vulcan Materials

    749       215,809  

Westlake

    563       72,289  
              8,151,423  

 

               

REAL ESTATE — 0.2%

CBRE Group, Cl A *

    4,705       658,653  

CoStar Group *

    1,247       101,431  

Zillow Group, Cl C *

    1,064       90,131  
              850,215  

 

               

 

15

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

UTILITIES — 1.1%

Alliant Energy

    1,412     $ 89,238  

Ameren

    1,029       97,127  

American Electric Power

    2,485       248,152  

American Water Works

    552       75,591  

Atmos Energy

    848       128,319  

CenterPoint Energy

    4,401       143,561  

CMS Energy

    1,584       110,421  

Consolidated Edison

    1,713       172,311  

Constellation Energy

    829       212,688  

Dominion Energy

    1,856       109,040  

DTE Energy

    1,300       163,514  

Duke Energy

    2,189       256,222  

Edison International

    1,730       151,808  

Entergy

    1,355       211,610  

Evergy

    1,983       128,161  

Eversource Energy

    816       52,624  

Exelon

    4,665       184,547  

FirstEnergy

    3,669       156,116  

NextEra Energy

    3,582       281,796  

NiSource

    5,185       197,497  

NRG Energy

    2,250       228,623  

PG&E

    9,595       207,540  

PPL

    5,203       181,741  

Public Service Enterprise Group

    2,477       233,581  

Sempra

    1,587       148,654  

Southern

    3,107       276,927  

Vistra

    2,002       320,000  

WEC Energy Group

    904       91,349  

Xcel Energy

    1,327       96,287  
              4,955,045  

 

               
              291,647,210  

Total Common Stock

               

(Cost $139,786,268)

            294,516,368  

REGISTERED INVESTMENT COMPANIES — 35.2%

                 

EQUITY FUNDS — 35.2%

AQR Large Cap Defensive Style Fund, Cl R6 *

    362,555       9,643,957  

Avantis U.S. Small Capital Value ETF

    118,592       12,510,270  

 

16

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

REGISTERED INVESTMENT COMPANIES — continued

 

 

Shares

   

Value

 

EQUITY FUNDS — continued

DFA Real Estate Securities Portfolio, Cl I *

    482,930     $ 21,422,761  

DFA US Small Cap Portfolio, Cl I *

    190,859       10,144,141  

DFA US Targeted Value Portfolio, Cl I *

    578,697       21,596,963  

Dimensional US Small Cap ETF

    154,192       10,899,833  

Dimensional US Targeted Value ETF

    277,847       16,851,421  

iShares MSCI USA Min Vol Factor ETF

    241,000       22,786,550  

iShares MSCI USA Momentum Factor ETF

    58,020       12,562,490  

Vanguard US Momentum Factor ETF

    32,134       5,724,351  

Vanguard US Quality Factor ETF

    37,908       5,653,220  

Vanguard US Value Factor ETF

    89,966       11,601,871  

Total Registered Investment Companies

               

(Cost $109,679,470)

            161,397,828  

RIGHTS — 0.0%

      Number of
Rights
         

Abiomed*

    362       5,651  
                 

Total Rights

               

(Cost $–)

            5,651  

SHORT-TERM INVESTMENT — 0.6%

   


Shares

         

DWS Government Money Market Series, Institutional Shares, 4.700% (A)

               

(Cost $2,607,765)

    2,607,765       2,607,765  

 

               

Total Investments — 100.0%

               

(Cost $252,073,503)

          $ 458,527,612  
                 

 

A list of open futures contracts held by the Fund at November 30, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

         

Notional Amount

         

Value

         

Unrealized Appreciation

 

Long Contracts

                                                               

S&P 500 Index E-MINI

    4       Dec-2024             $ 1,134,430             $ 1,210,300             $ 75,870  

 

Percentages are based on Net Assets of $458,659,279.

 

*

Non-income producing security.

 

17

 

SYMMETRY PANORAMIC US EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

(1)

Level 3 security in accordance with fair value hierarchy.

(A)

The rate reported is the 7-day effective yield as of November 30, 2024.

 

 

Cl — Class

ETF — Exchange-Traded Fund

MSCI — Morgan Stanley Capital International

S&P— Standard & Poor's

 

 

Amounts designated as “—” are $0.

 

SYM-QH-001-0600

 

18

 

SYMMETRY PANORAMIC INTERNATIONAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

SCHEDULE OF INVESTMENTS

REGISTERED INVESTMENT COMPANIES — 67.2%

   

Shares

   

Value

 

EQUITY FUNDS — 67.2%

AQR International Defensive Style Fund, Cl R6

    477,013     $ 7,045,483  

Avantis Emerging Markets Equity ETF

    185,894       11,346,970  

Avantis International Equity ETF

    54,104       3,470,772  

Avantis International Small Cap Value ETF

    76,217       5,150,745  

DFA Emerging Markets Portfolio, Cl I

    517,881       15,132,489  

DFA Emerging Markets Small Cap Portfolio, Cl I

    418,873       9,990,124  

DFA Emerging Markets Targeted Value Portfolio, Cl I

    188,596       2,208,459  

DFA International High Relative Profitability Portfolio, Cl I

    879,258       11,386,387  

DFA International Real Estate Securities, Cl I

    1,923,071       7,134,594  

DFA International Small Cap Growth Portfolio, Cl I

    87,756       1,355,838  

DFA International Small Cap Value Portfolio, Cl I

    481,234       11,001,002  

DFA International Value Portfolio, Cl I

    532,319       11,359,680  

DFA Large Cap International Portfolio, Cl I

    780,263       21,722,531  

Dimensional Emerging Markets High Profitability

    225,049       5,677,154  

iShares MSCI EAFE Min Vol Factor ETF

    98,625       7,286,415  

iShares MSCI Emerging Markets Min Vol Factor ETF

    142,766       8,541,690  

Schwab International Small-Cap Equity ETF

    47,868       1,760,106  

Total Registered Investment Companies

               

(Cost $109,948,963)

            141,570,439  

COMMON STOCK — 29.7%

                 

AUSTRALIA — 0.3%

BlueScope Steel

    2,357       34,160  

Fortescue

    30,993       384,321  

REA Group

    1,089       179,651  

Wesfarmers

    1,889       88,811  
              686,943  

 

               

AUSTRIA — 0.1%

Erste Group Bank

    2,598       142,815  

 

               

 

19

 

SYMMETRY PANORAMIC INTERNATIONAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

BELGIUM — 0.2%

Lotus Bakeries

    10     $ 120,550  

UCB

    1,908       374,712  
              495,262  

 

               

BRAZIL — 0.5%

Banco do Brasil

    70,100       288,611  

Cia de Saneamento Basico do Estado de Sao Paulo SABESP ADR

    10,614       161,970  

Itau Unibanco Holding ADR

    53,504       286,782  

TIM

    25,000       64,880  

Ultrapar Participacoes

    5,900       17,366  

WEG

    8,000       72,022  

Wheaton Precious Metals

    1,709       106,337  
              997,968  

 

               

CANADA — 2.6%

Canadian Imperial Bank of Commerce

    4,768       309,478  

Canadian Natural Resources

    28,598       970,594  

Canadian Pacific Kansas City

    3,830       292,991  

Cenovus Energy

    32,912       521,364  

Constellation Software

    28       94,673  

Dollarama

    865       90,099  

George Weston

    1,001       160,894  

Hydro One

    1,413       46,210  

Imperial Oil

    9,043       669,692  

Intact Financial

    1,902       362,251  

National Bank of Canada

    6,172       611,447  

RB Global

    1,530       151,170  

Royal Bank of Canada

    6,482       815,533  

Sun Life Financial

    402       24,741  

Teck Resources, Cl B

    1,591       74,280  

WSP Global

    1,891       336,251  
              5,531,668  

 

               

CHILE — 0.1%

Antofagasta

    7,299       158,512  

 

               

CHINA — 3.9%

AAC Technologies Holdings

    35,000       158,175  

Agricultural Bank of China, Cl A

    35,800       23,843  

 

20

 

SYMMETRY PANORAMIC INTERNATIONAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

CHINA — continued

Agricultural Bank of China, Cl H

    1,071,000     $ 536,418  

Airtac International Group

    1,046       25,593  

Akeso *

    2,000       18,875  

Aluminum Corp of China, Cl H

    194,000       115,938  

Anhui Conch Cement, Cl A

    4,300       15,300  

Bank of Beijing, Cl A

    21,900       17,355  

Bank of China, Cl A

    28,000       19,427  

Bank of China, Cl H

    636,000       296,492  

Bank of Communications, Cl A

    24,800       25,190  

Bank of Communications, Cl H

    111,000       80,395  

Bank of Ningbo, Cl A

    6,868       23,538  

Bank of Shanghai, Cl A

    15,700       17,828  

Baoshan Iron & Steel, Cl A

    31,100       28,553  

BOE Technology Group, Cl A

    78,900       47,091  

Bosideng International Holdings

    14,000       7,309  

BYD, Cl A

    1,000       38,320  

BYD, Cl H

    2,500       82,448  

BYD Electronic International

    24,000       107,344  

China CITIC Bank, Cl H

    384,000       245,309  

China Coal Energy, Cl H

    72,000       85,616  

China Construction Bank, Cl H

    780,000       589,620  

China Everbright Bank, Cl A

    28,900       14,427  

China Galaxy Securities, Cl H

    7,500       6,815  

China Hongqiao Group

    140,000       205,579  

China Life Insurance, Cl H

    12,000       22,911  

China Merchants Bank, Cl A

    7,100       35,882  

China Merchants Port Holdings

    44,000       69,766  

China Merchants Securities, Cl A

    9,300       24,756  

China Merchants Shekou Industrial Zone Holdings, Cl A

    8,400       13,761  

China Pacific Insurance Group, Cl A

    4,500       21,224  

China Pacific Insurance Group, Cl H

    46,600       147,505  

China Petroleum & Chemical, Cl A

    33,400       29,494  

China Petroleum & Chemical, Cl H

    70,000       37,610  

China Resources Power Holdings

    16,000       36,652  

China Shenhua Energy, Cl H

    116,000       482,262  

China Taiping Insurance Holdings

    174,800       277,340  

China Tourism Group Duty Free, Cl A

    1,900       18,416  

China Vanke, Cl A *

    8,300       9,932  

CITIC Securities, Cl A

    7,450       31,800  

COSCO SHIPPING Holdings, Cl H

    118,700       166,582  

Foshan Haitian Flavouring & Food, Cl A

    3,912       24,609  

 

21

 

SYMMETRY PANORAMIC INTERNATIONAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

CHINA — continued

Geely Automobile Holdings

    45,000     $ 81,012  

Great Wall Motor, Cl H

    82,500       133,602  

Guotai Junan Securities, Cl A

    17,100       45,092  

Haier Smart Home, Cl A

    38,142       133,664  

Haitong Securities, Cl A

    21,000       33,292  

Hisense Home Appliances Group, Cl H

    21,000       59,542  

Huatai Securities, Cl A

    7,500       18,745  

Huaxia Bank, Cl A

    8,800       9,224  

Industrial & Commercial Bank of China, Cl A

    10,600       9,028  

Industrial & Commercial Bank of China, Cl H

    326,000       192,175  

Industrial Bank, Cl A

    7,500       18,793  

Inner Mongolia Yili Industrial Group, Cl A

    7,400       29,394  

JD.com, Cl A

    8,250       154,189  

Jiangsu Hengrui Pharmaceuticals, Cl A

    5,204       36,665  

Kunlun Energy

    54,000       51,096  

Kweichow Moutai, Cl A

    300       63,706  

Lenovo Group

    80,000       94,649  

Luxshare Precision Industry, Cl A

    5,769       31,030  

Luzhou Laojiao, Cl A

    900       17,392  

Midea Group, Cl A

    2,800       27,285  

NARI Technology, Cl A

    8,668       29,759  

New China Life Insurance, Cl A

    2,800       18,474  

PetroChina, Cl A

    19,100       21,273  

PetroChina, Cl H

    998,000       710,450  

PICC Property & Casualty, Cl H

    222,000       337,003  

Ping An Bank, Cl A

    9,600       15,175  

Ping An Insurance Group of China, Cl A

    3,500       25,982  

Poly Developments and Holdings Group, Cl A

    8,700       12,411  

Pop Mart International Group

    20,200       234,446  

Postal Savings Bank of China, Cl H

    95,000       54,095  

SAIC Motor, Cl A

    9,100       22,203  

Sany Heavy Industry, Cl A

    12,800       31,063  

Shanghai Pudong Development Bank, Cl A

    11,600       15,263  

Shenwan Hongyuan Group, Cl A

    28,000       20,838  

Sinotruk Hong Kong

    90,500       251,257  

Tencent Holdings

    3,900       201,373  

Tencent Music Entertainment Group ADR

    6,219       70,959  

Trip.com Group *

    1,200       77,990  

Xiaomi, Cl B *

    114,600       412,380  

 

22

 

SYMMETRY PANORAMIC INTERNATIONAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

CHINA — continued

Yankuang Energy Group, Cl H

    120,900     $ 139,340  
              8,224,609  

 

               

DENMARK — 1.0%

Danske Bank

    7,431       214,096  

DSV Panalpina

    419       89,862  

Novo Nordisk, Cl B

    8,745       938,470  

Pandora

    4,163       672,630  

ROCKWOOL International, Cl B

    204       74,695  

Tryg

    830       19,181  

Zealand Pharma *

    369       38,279  
              2,047,213  

 

               

FRANCE — 0.9%

Air Liquide

    1,282       213,555  

Capgemini

    162       26,080  

Cie Generale des Etablissements Michelin SCA

    9,662       314,795  

Danone

    3,209       219,817  

Dassault Systemes

    1,619       55,965  

EssilorLuxottica

    851       207,159  

Hermes International SCA

    135       295,087  

Klepierre

    1,709       51,732  

L'Oreal

    162       56,450  

LVMH Moet Hennessy Louis Vuitton

    119       74,709  

Safran

    678       158,440  

Sodexo

    1,636       136,254  

TotalEnergies

    1,653       96,214  
              1,906,257  

 

               

GERMANY — 1.5%

Brenntag

    825       53,357  

Commerzbank

    7,098       109,081  

CTS Eventim & KGaA

    364       32,263  

Deutsche Boerse

    408       95,666  

Deutsche Telekom

    16,546       530,100  

Hannover Rueck

    1,224       320,367  

Heidelberg Materials

    652       82,569  

MTU Aero Engines

    38       12,974  

 

23

 

SYMMETRY PANORAMIC INTERNATIONAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

GERMANY — continued

Muenchener Rueckversicherungs-Gesellschaft in Muenchen

    2,081     $ 1,090,523  

Siemens

    4,123       802,101  

Siemens Energy *

    2,099       114,042  
              3,243,043  

 

               

HONG KONG — 0.0%

Techtronic Industries

    4,000       56,922  

 

               

INDONESIA — 0.3%

Adaro Energy Indonesia

    1,498,700       196,659  

Bank Mandiri Persero

    808,800       314,476  

Sumber Alfaria Trijaya

    867,100       155,863  
              666,998  

 

               

ITALY — 1.5%

Banco BPM

    5,605       42,772  

Ferrari

    455       197,543  

Intesa Sanpaolo

    375,784       1,444,580  

Leonardo

    12,970       349,803  

Prysmian

    4,988       329,501  

UniCredit

    18,597       715,394  
              3,079,593  

 

               

JAPAN — 4.8%

Advantest

    8,600       476,192  

Ajinomoto

    6,000       252,458  

Chiba Bank

    2,200       18,393  

Chugai Pharmaceutical

    3,300       145,204  

Daiichi Sankyo

    5,700       180,978  

Disco

    900       245,898  

Fuji Electric

    600       33,898  

FUJIFILM Holdings

    11,100       251,111  

Fujitsu

    18,000       345,771  

Hitachi

    15,500       390,548  

Hoya

    3,600       465,309  

ITOCHU

    12,100       598,585  

Japan Tobacco

    28,300       798,207  

Marubeni

    14,600       220,327  

Mitsubishi HC Capital

    28,800       194,292  

 

24

 

SYMMETRY PANORAMIC INTERNATIONAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

JAPAN — continued

Mitsubishi Heavy Industries

    5,000     $ 73,602  

Mitsubishi UFJ Financial Group

    19,500       232,711  

Mitsui

    12,000       252,130  

Mizuho Financial Group

    35,300       891,160  

Nippon Sanso Holdings

    2,500       73,154  

Nippon Steel

    5,500       112,645  

Nippon Yusen

    22,000       705,217  

Nitto Denko

    900       14,387  

Nomura Real Estate Holdings

    3,400       84,507  

Nomura Research Institute

    3,300       101,031  

Obayashi

    17,900       255,741  

ORIX

    15,600       351,100  

Renesas Electronics

    5,900       77,372  

Resona Holdings

    30,600       255,882  

Sekisui House

    1,400       33,195  

Shin-Etsu Chemical

    2,500       92,755  

Sompo Holdings

    3,300       87,179  

Sony

    4,900       98,358  

Sumitomo Electric Industries

    1,900       36,677  

Sumitomo Mitsui Financial Group

    15,000       370,151  

TDK

    16,500       213,829  

Tokio Marine Holdings

    16,800       626,344  

Tokyo Electron

    400       62,702  

Tokyo Gas

    11,500       346,591  
              10,065,591  

 

               

MALAYSIA — 0.0%

Telekom Malaysia

    63,100       90,312  

 

               

MEXICO — 0.6%

America Movil ADR

    3,259       48,331  

Arca Continental

    14,900       126,204  

Coca-Cola Femsa ADR

    1,429       113,791  

Grupo Aeroportuario del Sureste ADR

    334       86,887  

Grupo Bimbo, Ser A

    5,900       17,575  

Grupo Carso

    24,400       146,495  

Grupo Financiero Inbursa, Cl O *

    62,800       149,571  

Grupo Mexico

    24,500       119,724  

Promotora y Operadora de Infraestructura

    7,800       74,214  

 

25

 

SYMMETRY PANORAMIC INTERNATIONAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

MEXICO — continued

Southern Copper

    4,261     $ 427,591  
              1,310,383  

 

               

NETHERLANDS — 0.3%

Euronext

    2,584       288,738  

NN Group

    3,905       181,491  

Wolters Kluwer

    1,621       270,929  
              741,158  

 

               

NORWAY — 0.4%

Kongsberg Gruppen

    2,543       299,895  

Orkla

    49,334       456,041  

Telenor

    4,585       54,100  
              810,036  

 

               

PHILIPPINES — 0.0%

International Container Terminal Services

    1,570       9,904  

 

               

POLAND — 0.3%

Bank Polska Kasa Opieki

    6,845       228,838  

Budimex

    785       91,236  

Dino Polska *

    283       26,952  

LPP

    12       46,393  

mBank *

    731       95,776  

Powszechna Kasa Oszczednosci Bank Polski

    5,789       79,777  

Santander Bank Polska

    113       12,186  
              581,158  

 

               

ROMANIA — 0.0%

NEPI Rockcastle

    5,267       40,816  

 

               

RUSSIA — 0.0%

Evraz * (1)

    29,556        

 

               

SOUTH AFRICA — 0.2%

Aspen Pharmacare Holdings

    1,529       14,086  

FirstRand

    6,672       28,597  

Harmony Gold Mining ADR

    19,012       174,720  

 

26

 

SYMMETRY PANORAMIC INTERNATIONAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

SOUTH AFRICA — continued

Shoprite Holdings

    2,080     $ 34,225  

Sibanye Stillwater *

    68,981       69,152  
              320,780  

 

               

SOUTH KOREA — 1.2%

Alteogen *

    229       46,303  

DB Insurance

    1,519       119,174  

Hana Financial Group

    2,771       124,260  

Hanmi Semiconductor

    1,036       56,292  

Hanwha Aerospace

    532       119,654  

HD Hyundai

    1,770       98,996  

HD Hyundai Electric

    466       118,404  

KB Financial Group

    4,476       309,135  

Kia

    5,045       337,828  

Korea Zinc

    203       172,785  

Krafton *

    560       125,856  

LG Innotek

    257       30,088  

Meritz Financial Group

    2,356       172,892  

NH Investment & Securities

    14,968       143,479  

Samsung E&A *

    1,742       22,485  

Samsung Fire & Marine Insurance

    303       85,724  

Samsung Life Insurance

    657       50,615  

SK Hynix

    1,578       184,237  

SK Square *

    2,735       146,337  
              2,464,544  

 

               

SPAIN — 0.9%

Banco Bilbao Vizcaya Argentaria

    35,047       331,545  

Banco Santander

    122,982       568,594  

CaixaBank

    110,550       601,690  

Iberdrola

    23,846       340,534  
              1,842,363  

 

               

SWEDEN — 0.8%

Alfa Laval

    4,917       209,639  

Atlas Copco, Cl A

    32,712       523,271  

Essity, Cl B

    2,216       61,086  

Investor, Cl B

    11,172       306,717  

Skandinaviska Enskilda Banken, Cl A

    15,724       218,321  

SKF, Cl B

    10,895       209,602  

 

27

 

SYMMETRY PANORAMIC INTERNATIONAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

SWEDEN — continued

Tele2, Cl B

    11,048     $ 116,099  
              1,644,735  

 

               

SWITZERLAND — 0.6%

Chocoladefabriken Lindt & Spruengli

    5       57,904  

Kuehne + Nagel International

    1,107       265,013  

Partners Group Holding

    42       61,062  

Sika

    313       81,260  

Sonova Holding

    199       68,101  

Swiss Life Holding

    127       104,222  

Zurich Insurance Group

    1,088       690,843  
              1,328,405  

 

               

TAIWAN — 3.6%

Accton Technology

    15,000       306,283  

Acer

    39,000       45,701  

Advantech

    5,387       56,097  

ASE Technology Holding

    33,000       156,780  

Asia Cement

    58,000       75,230  

ASML Holding

    840       574,823  

Chailease Holding

    26,921       98,708  

Compal Electronics

    18,000       20,531  

CTBC Financial Holding

    75,000       86,635  

Delta Electronics

    8,000       94,847  

E.Sun Financial Holding

    276,841       230,966  

Evergreen Marine Taiwan

    14,600       98,088  

Fubon Financial Holding

    66,195       180,381  

Hon Hai Precision Industry

    115,000       700,314  

Inventec

    15,000       22,863  

Lite-On Technology

    70,000       225,831  

MediaTek

    12,000       471,171  

Mega Financial Holding

    57,465       70,491  

Micro-Star International

    29,000       153,719  

Novatek Microelectronics

    25,000       375,039  

Quanta Computer

    17,000       154,546  

Realtek Semiconductor

    21,000       310,277  

SinoPac Financial Holdings

    56,347       40,506  

Synnex Technology International

    54,000       126,338  

Taishin Financial Holding

    216,533       114,323  

Taiwan Cooperative Financial Holding

    159,996       122,926  

Taiwan Semiconductor Manufacturing

    54,000       1,682,670  

 

28

 

SYMMETRY PANORAMIC INTERNATIONAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

TAIWAN — continued

United Microelectronics

    310,000     $ 420,570  

Wan Hai Lines

    8,000       20,572  

Wiwynn

    2,000       120,686  

Yang Ming Marine Transport

    15,000       33,994  

Yuanta Financial Holding

    189,640       194,880  

Zhen Ding Technology Holding

    36,000       128,074  
              7,514,860  

 

               

THAILAND — 0.2%

Advanced Info Service NVDR

    20,700       172,249  

Bumrungrad Hospital NVDR

    21,000       127,656  

Delta Electronics Thailand NVDR

    4,700       20,742  

PTT Exploration & Production NVDR

    4,900       18,255  
              338,902  

 

               

TÜRKIYE — 0.5%

Akbank

    46,343       81,375  

Ford Otomotiv Sanayi

    3,306       92,195  

Haci Omer Sabanci Holding

    161,980       422,543  

Turk Hava Yollari AO *

    3,202       26,315  

Turkcell Iletisim Hizmetleri

    70,824       185,168  

Turkiye Is Bankasi, Cl C

    558,779       219,925  
              1,027,521  

 

               

UNITED KINGDOM — 1.6%

Ashtead Group

    6,149       493,650  

AstraZeneca

    170       23,047  

Auto Trader Group

    3,155       33,758  

BAE Systems

    17,152       268,537  

Berkeley Group Holdings

    5,422       287,032  

British American Tobacco

    6,838       260,148  

Hargreaves Lansdown

    3,259       45,409  

HSBC Holdings

    2,844       26,549  

Imperial Brands

    22,318       731,172  

JD Sports Fashion

    74,755       97,224  

Legal & General Group

    74,166       209,372  

Next

    1,123       144,473  

Pearson

    18,749       294,686  

Rolls-Royce Holdings *

    39,847       283,929  

SSE

    1,149       25,958  

 

29

 

SYMMETRY PANORAMIC INTERNATIONAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED KINGDOM — continued

Tesco

    18,090     $ 84,523  
              3,309,467  

 

               

UNITED STATES — 0.8%

CONSUMER STAPLES — 0.0%

JBS

    15,200       94,061  

 

               

ENERGY — 0.2%

Shell

    4,894       157,545  

Tenaris

    11,856       227,793  
              385,338  

 

               

INDUSTRIALS — 0.6%

Experian

    5,803       277,874  

Schneider Electric

    4,005       1,033,288  
              1,311,162  

 

               
              1,790,561  

Total Common Stock

               

(Cost $37,388,969)

            62,469,299  

PREFERRED STOCK — 0.1%

                 

BRAZIL — 0.1%

Cia Energetica de Minas Gerais(2)

    76,594       150,428  

Petroleo Brasileiro(2)

    25,100       164,697  

 

               

Total Preferred Stock

               

(Cost $227,012)

            315,125  

WARRANTS — 0.0%

      Number of
Warrants
         

Constellation Software, Expires 08/22/28(1)

    28        
                 

Total Warrants

               

(Cost $–)

             

 

30

 

SYMMETRY PANORAMIC INTERNATIONAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

SHORT-TERM INVESTMENT — 2.5%

   

Shares

   

Value

 

DWS Government Money Market Series, Institutional Shares, 4.700% (A)

               

(Cost $5,354,204)

    5,354,204     $ 5,354,204  

 

               

Total Investments — 99.5%

               

(Cost $152,919,148)

          $ 209,709,067  
                 

 

A list of open futures contracts held by the Fund at November 30, 2024, is as follows:

Type of Contract  Number of
Contracts
  Expiration Date  Notional Amount  Value  Unrealized Depreciation 
Long Contracts                    
IFSC Nifty50 Index   104  Dec-2024  $5,076,869  $5,055,128  $(21,741)

  

Percentages are based on Net Assets of $210,670,476.

 

*

Non-income producing security.

(1)

Level 3 security in accordance with fair value hierarchy.

(2)

No Interest Rate Available.

(A)

The rate reported is the 7-day effective yield as of November 30, 2024.

 

ADR — American Depositary Receipt

Cl — Class

EAFE — Europe, Australasia and Far East

ETF — Exchange-Traded Fund

IFSC — International Financial Service Centre

Min — Minimum

MSCI — Morgan Stanley Capital International

NVDR — Non-Voting Depositary Receipt

Ser — Series

Vol — Volatility

 

 

Amounts designated as “—” are $0.

 

SYM-QH-001-0600

 

31

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

SCHEDULE OF INVESTMENTS

COMMON STOCK — 51.8%

   

Shares

   

Value

 

AUSTRALIA — 0.1%

BlueScope Steel

    1,841     $ 26,682  

Fortescue

    24,313       301,487  

REA Group

    734       121,087  

Wesfarmers

    1,077       50,635  
              499,891  

 

               

AUSTRIA — 0.0%

Erste Group Bank

    2,210       121,486  

 

               

BELGIUM — 0.1%

Lotus Bakeries

    7       84,385  

UCB

    1,641       322,276  
              406,661  

 

               

BRAZIL — 0.2%

Banco do Brasil

    81,400       335,135  

Cia de Saneamento Basico do Estado de Sao Paulo SABESP

    6,800       104,381  

Itau Unibanco Holding ADR

    24,573       131,711  

PRIO

    8,000       53,431  

TIM

    22,700       58,911  

Ultrapar Participacoes

    5,700       16,777  

Wheaton Precious Metals

    1,224       76,159  
              776,505  

 

               

CANADA — 1.1%

Canadian Imperial Bank of Commerce

    5,380       349,202  

Canadian Natural Resources

    20,988       712,316  

Canadian Pacific Kansas City

    3,055       233,704  

Cenovus Energy

    25,153       398,453  

CGI, Cl A

    253       28,637  

Constellation Software

    22       74,386  

Dollarama

    718       74,787  

Fairfax Financial Holdings

    12       17,024  

George Weston

    834       134,051  

Hydro One

    1,426       46,635  

Imperial Oil

    6,944       514,247  

Intact Financial

    1,593       303,400  

National Bank of Canada

    4,302       426,190  

 

32

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

CANADA — continued

RB Global

    1,078     $ 106,510  

Royal Bank of Canada

    4,299       540,879  

Sun Life Financial

    315       19,386  

Teck Resources, Cl B

    2,215       103,414  

WSP Global

    1,366       242,898  
              4,326,119  

 

               

CHILE — 0.0%

Antofagasta

    5,161       112,081  

 

               

CHINA — 1.6%

AAC Technologies Holdings

    29,000       131,059  

Agricultural Bank of China, Cl A

    38,600       25,708  

Agricultural Bank of China, Cl H

    831,000       416,212  

Airtac International Group

    1,046       25,593  

Aluminum Corp of China, Cl H

    182,000       108,767  

Anhui Conch Cement, Cl A

    3,288       11,699  

Bank of Beijing, Cl A

    15,300       12,125  

Bank of China, Cl A

    24,900       17,276  

Bank of China, Cl H

    102,000       47,551  

Bank of Communications, Cl A

    23,300       23,666  

Bank of Communications, Cl H

    177,000       128,198  

Bank of Ningbo, Cl A

    4,440       15,217  

Bank of Shanghai, Cl A

    12,297       13,964  

Baoshan Iron & Steel, Cl A

    28,100       25,798  

BOE Technology Group, Cl A

    72,900       43,510  

Bosideng International Holdings

    32,000       16,706  

BYD, Cl A

    800       30,656  

BYD, Cl H

    1,000       32,979  

BYD Electronic International

    22,000       98,399  

China CITIC Bank, Cl H

    280,000       178,871  

China Coal Energy, Cl H

    84,000       99,886  

China Communications Services, Cl H

    22,000       11,592  

China Construction Bank, Cl H

    525,000       396,860  

China Everbright Bank, Cl A

    26,600       13,279  

China Galaxy Securities, Cl H

    9,000       8,178  

China Hongqiao Group

    105,500       154,918  

China Life Insurance, Cl H

    25,000       47,732  

China Merchants Bank, Cl A

    5,100       25,775  

China Merchants Port Holdings

    70,000       110,991  

China Merchants Securities, Cl A

    5,500       14,641  

 

33

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

CHINA — continued

China Merchants Shekou Industrial Zone Holdings, Cl A

    6,200     $ 10,157  

China Pacific Insurance Group, Cl A

    3,400       16,036  

China Pacific Insurance Group, Cl H

    40,800       129,146  

China Petroleum & Chemical, Cl A

    24,500       21,635  

China Petroleum & Chemical, Cl H

    144,000       77,369  

China Resources Power Holdings

    12,000       27,489  

China Shenhua Energy, Cl H

    100,500       417,822  

China Taiping Insurance Holdings

    144,200       228,789  

China Tourism Group Duty Free, Cl A

    1,400       13,570  

COSCO SHIPPING Holdings, Cl H

    96,250       135,076  

Foshan Haitian Flavouring & Food, Cl A

    3,088       19,425  

Geely Automobile Holdings

    38,000       68,410  

Great Wall Motor, Cl H

    60,500       97,975  

Guotai Junan Securities, Cl A

    7,677       20,244  

Haier Smart Home, Cl A

    6,741       26,565  

Haitong Securities, Cl A

    11,400       18,073  

Hansoh Pharmaceutical Group

    4,000       9,966  

Hisense Home Appliances Group, Cl H

    16,000       45,365  

Huatai Securities, Cl A

    7,200       17,996  

Huaxia Bank, Cl A

    6,500       6,813  

Industrial & Commercial Bank of China, Cl A

    13,200       11,243  

Industrial & Commercial Bank of China, Cl H

    339,000       199,839  

Industrial Bank, Cl A

    5,400       13,531  

Inner Mongolia Yili Industrial Group, Cl A

    4,100       16,286  

JD.com, Cl A

    6,650       124,286  

Jiangsu Hengrui Pharmaceuticals, Cl A

    4,220       29,732  

Jiangsu Yanghe Distillery, Cl A

    900       10,720  

Kunlun Energy

    18,000       17,032  

Kweichow Moutai, Cl A

    200       42,471  

Lenovo Group

    84,000       99,381  

Luxshare Precision Industry, Cl A

    5,415       29,126  

Luzhou Laojiao, Cl A

    800       15,460  

Midea Group, Cl A

    2,100       20,464  

NARI Technology, Cl A

    6,583       22,600  

New China Life Insurance, Cl A

    2,100       13,856  

NXP Semiconductors

    1,074       246,343  

PetroChina, Cl A

    15,900       17,709  

PetroChina, Cl H

    748,000       532,481  

PICC Property & Casualty, Cl H

    168,000       255,030  

Ping An Bank, Cl A

    7,000       11,065  

 

34

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

CHINA — continued

Ping An Insurance Group of China, Cl A

    2,900     $ 21,528  

Poly Developments and Holdings Group, Cl A

    6,900       9,843  

Pop Mart International Group

    15,000       174,093  

SAIC Motor, Cl A

    6,000       14,639  

Sany Heavy Industry, Cl A

    12,400       30,092  

Shanghai Pudong Development Bank, Cl A

    10,000       13,158  

Shenwan Hongyuan Group, Cl A

    19,800       14,735  

Sinotruk Hong Kong

    66,000       183,237  

Tencent Holdings

    4,300       222,026  

Tencent Music Entertainment Group ADR

    5,871       66,988  

Trip.com Group *

    750       48,744  

Wuliangye Yibin, Cl A

    800       16,341  

Xiaomi, Cl B *

    83,200       299,390  

Yankuang Energy Group, Cl H

    105,300       121,360  

Yonghui Superstores, Cl A *

    16,900       11,972  
              6,672,528  

 

               

DENMARK — 0.4%

Danske Bank

    7,177       206,778  

DSV Panalpina

    413       88,575  

Novo Nordisk, Cl B

    6,375       684,134  

Pandora

    2,919       471,633  

ROCKWOOL International, Cl B

    119       43,572  

Tryg

    432       9,983  

Zealand Pharma *

    329       34,129  
              1,538,804  

 

               

FINLAND — 0.0%

Wartsila Abp

    1,330       24,240  

 

               

FRANCE — 0.4%

Air Liquide

    893       148,756  

Cie Generale des Etablissements Michelin SCA

    8,706       283,648  

Danone

    2,250       154,125  

Dassault Systemes

    1,220       42,172  

EssilorLuxottica

    578       140,703  

Hermes International SCA

    98       214,212  

Klepierre

    1,120       33,902  

 

35

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

FRANCE — continued

L'Oreal

    155     $ 54,011  

LVMH Moet Hennessy Louis Vuitton

    89       55,875  

Safran

    787       183,912  

Sodexo

    1,124       93,612  

TotalEnergies

    2,817       163,965  
              1,568,893  

 

               

GERMANY — 0.6%

Brenntag

    992       64,158  

Commerzbank

    10,794       165,881  

CTS Eventim & KGaA

    621       55,041  

Deutsche Boerse

    247       57,915  

Deutsche Telekom

    14,835       475,283  

Hannover Rueck

    1,226       320,891  

Heidelberg Materials

    176       22,288  

MTU Aero Engines

    169       57,700  

Muenchener Rueckversicherungs-Gesellschaft in Muenchen

    1,286       673,913  

RWE

    433       14,630  

SAP

    228       54,222  

Siemens

    2,716       528,379  

Siemens Energy *

    582       31,621  
              2,521,922  

 

               

HONG KONG — 0.0%

Techtronic Industries

    2,500       35,576  

 

               

INDONESIA — 0.1%

Adaro Energy Indonesia

    1,134,000       148,803  

Bank Mandiri Persero

    820,300       318,947  

Sumber Alfaria Trijaya

    703,300       126,420  
              594,170  

 

               

IRELAND — 0.2%

Accenture, Cl A

    2,420       876,935  

 

               

ITALY — 0.5%

Ferrari

    239       103,764  

Intesa Sanpaolo

    227,211       873,439  

 

36

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

ITALY — continued

Leonardo

    11,312     $ 305,087  

Prysmian

    4,171       275,531  

UniCredit

    18,029       693,544  
              2,251,365  

 

               

JAPAN — 1.9%

Advantest

    8,100       448,506  

Ajinomoto

    4,800       201,967  

Chiba Bank

    9,000       75,245  

Chugai Pharmaceutical

    2,100       92,402  

Daiichi Sankyo

    4,500       142,877  

Disco

    600       163,932  

Fuji Electric

    500       28,248  

FUJIFILM Holdings

    7,800       176,456  

Fujitsu

    14,000       268,933  

Hitachi

    7,000       176,377  

Hoya

    2,900       374,832  

ITOCHU

    9,400       465,016  

Japan Post Holdings

    13,200       132,354  

Japan Tobacco

    22,500       634,617  

Kansai Electric Power

    3,400       43,799  

Marubeni

    12,500       188,637  

Mitsubishi HC Capital

    35,300       238,143  

Mitsubishi UFJ Financial Group

    15,200       181,396  

Mitsui

    16,200       340,376  

Mitsui OSK Lines

    1,600       54,847  

Mizuho Financial Group

    35,600       898,733  

Nippon Sanso Holdings

    1,800       52,671  

Nippon Steel

    4,900       100,357  

Nippon Yusen

    19,700       631,490  

Nitto Denko

    3,000       47,955  

Nomura Real Estate Holdings

    2,400       59,652  

Nomura Research Institute

    2,400       73,477  

Obayashi

    8,900       127,156  

ORIX

    7,500       168,798  

Renesas Electronics

    4,400       57,701  

Resona Holdings

    32,300       270,098  

Sekisui House

    600       14,226  

Shin-Etsu Chemical

    4,500       166,960  

Sompo Holdings

    3,000       79,254  

Sony

    6,000       120,438  

Sumitomo Electric Industries

    3,600       69,492  

 

37

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

JAPAN — continued

Sumitomo Mitsui Financial Group

    8,700     $ 214,687  

TDK

    9,000       116,634  

Tokio Marine Holdings

    1,400       52,195  

Tokyo Electron

    300       47,027  

Tokyo Gas

    3,700       111,512  

ZOZO

    1,400       44,171  
              7,953,644  

 

               

MALAYSIA — 0.0%

Telekom Malaysia

    43,200       61,830  

 

               

MEXICO — 0.3%

America Movil ADR

    3,463       51,356  

Arca Continental

    11,400       96,559  

Coca-Cola Femsa ADR

    1,593       126,851  

Grupo Bimbo, Ser A

    18,400       54,811  

Grupo Carso

    17,100       102,666  

Grupo Financiero Inbursa, Cl O *

    67,800       161,480  

Grupo Mexico

    14,300       69,880  

Promotora y Operadora de Infraestructura

    10,290       97,905  

Southern Copper

    3,420       343,197  
              1,104,705  

 

               

NETHERLANDS — 0.3%

ASML Holding

    796       544,713  

Euronext

    2,383       266,278  

NN Group

    8,379       389,428  

Wolters Kluwer

    1,037       173,321  
              1,373,740  

 

               

NORWAY — 0.2%

Kongsberg Gruppen

    2,255       265,931  

Orkla

    36,348       335,999  
              601,930  

 

               

PHILIPPINES — 0.0%

Metropolitan Bank & Trust

    24,600       32,016  

 

               

 

38

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

POLAND — 0.1%

Bank Polska Kasa Opieki

    4,547     $ 152,013  

Budimex

    513       59,623  

Dino Polska *

    183       17,428  

LPP

    6       23,196  

mBank *

    494       64,724  

Powszechna Kasa Oszczednosci Bank Polski

    7,038       96,989  

Powszechny Zaklad Ubezpieczen

    790       8,616  
              422,589  

 

               

ROMANIA — 0.0%

NEPI Rockcastle

    5,921       45,884  

 

               

RUSSIA — 0.0%

Evraz * (1)

    16,851        

 

               

SOUTH AFRICA — 0.1%

Aspen Pharmacare Holdings

    1,196       11,018  

FirstRand

    5,526       23,686  

Harmony Gold Mining ADR

    13,821       127,015  

Shoprite Holdings

    2,772       45,611  

Sibanye Stillwater *

    53,377       53,509  
              260,839  

 

               

SOUTH KOREA — 0.5%

Alteogen *

    236       47,718  

Coupang, Cl A *

    1,694       42,960  

DB Insurance

    1,142       89,596  

Hana Financial Group

    4,656       208,789  

Hanmi Semiconductor

    966       52,489  

Hanwha Aerospace

    411       92,439  

HD Hyundai

    623       34,844  

HD Hyundai Electric

    331       84,102  

HD Hyundai Heavy Industries *

    75       11,882  

KB Financial Group

    3,071       212,099  

Kia

    3,952       264,637  

Korea Zinc

    112       95,330  

Krafton *

    415       93,269  

LG Innotek

    105       12,293  

LS Electric

    50       5,210  

Meritz Financial Group

    1,869       137,154  

 

39

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

SOUTH KOREA — continued

NH Investment & Securities

    14,168     $ 135,810  

Samsung E&A *

    748       9,655  

Samsung Fire & Marine Insurance

    256       72,427  

Samsung Life Insurance

    632       48,689  

SK Hynix

    1,527       178,282  

SK Square *

    2,019       108,027  
              2,037,701  

 

               

SPAIN — 0.3%

Banco Bilbao Vizcaya Argentaria

    17,512       165,664  

Banco Santander

    70,225       324,678  

CaixaBank

    86,144       468,855  

Iberdrola

    18,507       264,290  
              1,223,487  

 

               

SWEDEN — 0.3%

Alfa Laval

    4,339       184,996  

Atlas Copco, Cl A

    25,804       412,769  

Epiroc, Cl A

    1,316       24,006  

Essity, Cl B

    1,507       41,542  

Investor, Cl B

    10,944       300,457  

Skandinaviska Enskilda Banken, Cl A

    15,002       208,296  

SKF, Cl B

    7,831       150,656  

Tele2, Cl B

    903       9,489  
              1,332,211  

 

               

SWITZERLAND — 0.3%

Chocoladefabriken Lindt & Spruengli

    5       57,904  

Kuehne + Nagel International

    809       193,673  

Partners Group Holding

    76       110,493  

Sika

    290       75,288  

Sonova Holding

    131       44,830  

Swiss Life Holding

    60       49,239  

TE Connectivity

    1,162       175,601  

UBS Group

    1,015       32,836  

Zurich Insurance Group

    839       532,737  
              1,272,601  

 

               

TAIWAN — 1.3%

Accton Technology

    11,000       224,607  

 

40

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

TAIWAN — continued

Acer

    42,000     $ 49,216  

Advantech

    5,058       52,671  

ASE Technology Holding

    51,000       242,296  

Asia Cement

    40,000       51,883  

Asustek Computer

    2,000       36,484  

Chailease Holding

    21,589       79,158  

Compal Electronics

    17,000       19,391  

Delta Electronics

    9,000       106,703  

E.Sun Financial Holding

    220,392       183,871  

Eclat Textile

    1,000       16,446  

Evergreen Marine Taiwan

    16,800       112,869  

Fubon Financial Holding

    19,920       54,282  

Hon Hai Precision Industry

    85,000       517,624  

Hua Nan Financial Holdings

    18,900       15,197  

Lite-On Technology

    10,000       32,262  

MediaTek

    10,000       392,642  

Mega Financial Holding

    29,796       36,550  

Micro-Star International

    18,000       95,412  

Novatek Microelectronics

    17,000       255,027  

Quanta Computer

    13,000       118,182  

Realtek Semiconductor

    15,000       221,626  

SinoPac Financial Holdings

    26,985       19,398  

Synnex Technology International

    32,000       74,867  

Taishin Financial Holding

    154,493       81,568  

Taiwan Cooperative Financial Holding

    146,562       112,605  

Taiwan Semiconductor Manufacturing

    42,000       1,308,743  

United Microelectronics

    202,000       274,049  

Wan Hai Lines

    12,000       30,857  

Wiwynn

    1,000       60,343  

Yang Ming Marine Transport

    18,000       40,793  

Yuanta Financial Holding

    165,242       169,808  

Zhen Ding Technology Holding

    26,000       92,498  
              5,179,928  

 

               

THAILAND — 0.0%

Bumrungrad Hospital NVDR

    20,100       122,185  

Delta Electronics Thailand NVDR

    4,500       19,860  
              142,045  

 

               

TÜRKIYE — 0.2%

Akbank

    38,532       67,659  

 

41

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

TÜRKIYE — continued

BIM Birlesik Magazalar

    10,804     $ 147,690  

Ford Otomotiv Sanayi

    2,480       69,160  

Haci Omer Sabanci Holding

    131,072       341,916  

Turk Hava Yollari AO *

    2,594       21,319  

Turkcell Iletisim Hizmetleri

    29,483       77,083  

Turkiye Is Bankasi, Cl C

    386,393       152,077  
              876,904  

 

               

UNITED KINGDOM — 0.7%

Ashtead Group

    4,475       359,259  

AstraZeneca

    1,371       185,871  

BAE Systems

    12,198       190,975  

Berkeley Group Holdings

    4,645       245,899  

British American Tobacco

    4,617       175,651  

Hargreaves Lansdown

    3,596       50,105  

HSBC Holdings

    6,445       60,164  

Imperial Brands

    17,996       589,577  

JD Sports Fashion

    39,370       51,203  

Legal & General Group

    52,042       146,916  

Next

    1,155       148,590  

Pearson

    15,095       237,254  

Rolls-Royce Holdings *

    23,217       165,432  

SSE

    784       17,712  

Tesco

    25,520       119,239  
              2,743,847  

 

               

UNITED STATES — 40.0%

COMMUNICATION SERVICES — 2.7%

Alphabet, Cl A

    8,286       1,399,920  

Alphabet, Cl C

    7,039       1,200,079  

AT&T

    15,921       368,730  

Atlanta Braves Holdings, Cl C *

    44       1,775  

Charter Communications, Cl A *

    502       199,276  

Comcast, Cl A

    6,271       270,844  

Electronic Arts

    769       125,862  

Fox, Cl A

    1,383       65,167  

Fox, Cl B

    1,153       51,574  

Liberty Media -Liberty Formula One, Cl A *

    600       48,540  

Liberty Media -Liberty Formula One, Cl C *

    946       83,589  

Live Nation Entertainment *

    922       127,467  

Meta Platforms, Cl A

    7,986       4,586,520  

 

42

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

COMMUNICATION SERVICES — continued

Netflix *

    956     $ 847,790  

News, Cl B

    1,712       54,938  

Omnicom Group

    925       96,959  

Pinterest, Cl A *

    2,910       88,231  

ROBLOX, Cl A *

    559       28,023  

Snap, Cl A *

    3,407       40,237  

Spotify Technology *

    162       77,268  

Take-Two Interactive Software *

    647       121,882  

TKO Group Holdings, Cl A *

    262       36,146  

T-Mobile US

    1,691       417,576  

Trade Desk, Cl A *

    389       50,006  

Verizon Communications

    11,020       488,627  

Walt Disney

    1,584       186,072  

Warner Bros Discovery *

    7,406       77,615  

Warner Music Group, Cl A

    700       22,764  
              11,163,477  

 

               

CONSUMER DISCRETIONARY — 4.4%

Airbnb, Cl A *

    496       67,511  

Amazon.com *

    18,427       3,830,789  

Aptiv *

    823       45,701  

AutoNation *

    4,486       802,501  

AutoZone *

    113       358,158  

Best Buy

    1,253       112,770  

Booking Holdings

    47       244,493  

Burlington Stores *

    389       109,651  

Carnival *

    3,738       95,057  

Carvana, Cl A *

    212       55,209  

Chipotle Mexican Grill, Cl A *

    4,140       254,693  

Choice Hotels International

    455       68,814  

Darden Restaurants

    621       109,464  

Deckers Outdoor *

    474       92,885  

Dick's Sporting Goods

    2,972       615,917  

Domino's Pizza

    142       67,619  

DoorDash, Cl A *

    412       74,358  

DR Horton

    4,399       742,463  

DraftKings, Cl A *

    1,135       49,543  

eBay

    2,574       162,908  

Expedia Group *

    306       56,494  

Ford Motor

    12,647       140,761  

 

43

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

CONSUMER DISCRETIONARY — continued

Gap

    5,512     $ 133,666  

Garmin

    412       87,591  

General Motors

    4,309       239,537  

Genuine Parts

    797       101,004  

Hilton Worldwide Holdings

    565       143,194  

Home Depot

    1,796       770,717  

Las Vegas Sands

    1,152       61,125  

Lennar, Cl A

    681       118,760  

Lennar, Cl B

    77       12,692  

Lowe's

    752       204,867  

Lululemon Athletica *

    318       101,970  

Marriott International, Cl A

    590       170,563  

McDonald's

    995       294,530  

NIKE, Cl B

    4,071       320,673  

NVR *

    33       304,774  

O'Reilly Automotive *

    281       349,345  

Penske Automotive Group

    3,074       511,944  

Pool

    654       246,617  

PulteGroup

    2,777       375,645  

Ralph Lauren, Cl A

    503       116,394  

Ross Stores

    1,244       192,658  

Royal Caribbean Cruises

    4,248       1,036,767  

Starbucks

    1,808       185,248  

Tesla *

    1,778       613,694  

TJX

    2,581       324,406  

Toll Brothers

    7,686       1,269,497  

TopBuild *

    188       73,440  

Tractor Supply

    1,436       407,350  

Ulta Beauty *

    245       94,727  

Williams-Sonoma

    5,264       905,513  

Wingstop

    85       27,945  

Yum! Brands

    686       95,313  
              18,049,925  

 

               

CONSUMER STAPLES — 2.2%

Altria Group

    3,770       217,680  

Archer-Daniels-Midland

    991       54,109  

Brown-Forman, Cl A

    439       18,157  

Brown-Forman, Cl B

    689       28,993  

Campbell Soup

    1,028       47,494  

 

44

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

CONSUMER STAPLES — continued

Casey's General Stores

    473     $ 199,081  

Church & Dwight

    1,050       115,636  

Clorox

    278       46,473  

Coca-Cola

    5,977       383,006  

Colgate-Palmolive

    2,292       221,476  

Constellation Brands, Cl A

    601       144,811  

Costco Wholesale

    643       624,919  

Dollar General

    1,055       81,520  

Dollar Tree *

    923       65,782  

Estee Lauder, Cl A

    451       32,526  

General Mills

    2,434       161,277  

Hershey

    837       147,421  

Hormel Foods

    1,658       53,769  

JBS

    9,800       60,645  

Kellanova

    1,266       102,913  

Kenvue

    7,138       171,883  

Keurig Dr Pepper

    3,013       98,374  

Kimberly-Clark

    811       113,013  

Kraft Heinz

    2,761       88,269  

Kroger

    4,181       255,375  

McCormick

    1,068       83,505  

Mondelez International, Cl A

    4,499       292,210  

Monster Beverage *

    2,759       152,104  

PepsiCo

    3,293       538,241  

Philip Morris International

    2,109       280,624  

Procter & Gamble

    4,757       852,740  

Sysco

    1,387       106,952  

Target

    4,952       655,199  

Tyson Foods, Cl A

    865       55,793  

US Foods Holding *

    859       59,932  

Walmart

    27,573       2,550,502  

WK Kellogg

    598       12,438  
              9,174,842  

 

               

ENERGY — 1.9%

Baker Hughes, Cl A

    4,219       185,425  

Cheniere Energy

    852       190,857  

Chevron

    3,827       619,706  

ConocoPhillips

    4,579       496,056  

Coterra Energy

    2,756       73,640  

 

45

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

ENERGY — continued

Devon Energy

    6,522     $ 247,510  

Diamondback Energy

    3,158       560,829  

EOG Resources

    2,677       356,737  

EQT

    1,335       60,662  

Exxon Mobil

    6,997       825,366  

Halliburton

    5,489       174,880  

Hess

    1,353       199,135  

Kinder Morgan

    6,341       179,260  

Marathon Petroleum

    2,902       453,147  

Occidental Petroleum

    4,970       251,383  

ONEOK

    2,300       261,280  

Phillips 66

    1,176       157,560  

Schlumberger

    3,456       151,857  

Targa Resources

    6,980       1,426,014  

Tenaris

    10,560       202,893  

Texas Pacific Land

    69       110,406  

Valero Energy

    1,767       245,754  

Williams

    3,561       208,390  
              7,638,747  

 

               

FINANCIALS — 6.3%

Aflac

    3,243       369,702  

Allstate

    2,219       460,198  

American Express

    1,137       346,421  

American International Group

    2,638       202,809  

Ameriprise Financial

    1,828       1,049,217  

Aon, Cl A

    1,169       457,710  

Apollo Global Management

    969       169,604  

Arch Capital Group

    3,974       400,261  

Ares Management, Cl A

    145       25,626  

Arthur J Gallagher

    528       164,863  

Assurant

    1,057       240,045  

Assured Guaranty

    510       47,573  

Bank of America

    9,968       473,580  

Bank of New York Mellon

    1,903       155,799  

Bank OZK

    2,910       145,413  

Berkshire Hathaway, Cl B *

    2,626       1,268,411  

BlackRock Funding

    213       217,856  

Blackstone, Cl A

    238       45,479  

Block, Cl A *

    968       85,716  

 

46

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

FINANCIALS — continued

Brown & Brown

    1,232     $ 139,339  

Capital One Financial

    989       189,898  

Carlyle Group

    1,244       66,218  

Cboe Global Markets

    418       90,225  

Charles Schwab

    2,422       200,445  

Chubb

    901       260,146  

Cincinnati Financial

    763       121,950  

Citigroup

    2,537       179,797  

Citizens Financial Group

    11,823       569,159  

CME Group, Cl A

    722       171,836  

Coinbase Global, Cl A *

    261       77,308  

Corebridge Financial

    3,430       111,029  

Corpay *

    369       140,655  

Discover Financial Services

    919       167,653  

East West Bancorp

    3,823       419,307  

Equitable Holdings

    1,214       58,551  

Erie Indemnity, Cl A

    189       83,266  

Everest Group

    149       57,746  

FactSet Research Systems

    154       75,563  

Fidelity National Financial

    3,034       192,325  

Fidelity National Information Services

    1,469       125,306  

Fifth Third Bancorp

    3,609       173,449  

First American Financial

    1,333       93,510  

First Citizens BancShares, Cl A

    130       298,350  

First Hawaiian

    1,993       55,027  

Fiserv *

    1,269       280,398  

Global Payments

    982       116,819  

Goldman Sachs Group

    805       489,899  

Hartford Financial Services Group

    2,749       338,979  

Huntington Bancshares

    4,380       78,884  

Interactive Brokers Group, Cl A

    163       31,148  

Intercontinental Exchange

    1,625       261,560  

Jefferies Financial Group

    1,798       142,294  

JPMorgan Chase

    17,839       4,454,755  

KeyCorp

    3,591       69,953  

KKR

    2,096       341,376  

Loews

    807       69,991  

LPL Financial Holdings

    431       140,140  

M&T Bank

    807       177,532  

Markel Group *

    66       117,673  

Marsh & McLennan

    2,355       549,257  

 

47

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

FINANCIALS — continued

Mastercard, Cl A

    1,321     $ 704,014  

MetLife

    2,727       240,603  

Moody's

    459       229,491  

Morgan Stanley

    6,567       864,283  

Morningstar

    165       58,435  

MSCI, Cl A

    229       139,605  

Nasdaq

    3,894       323,163  

Northern Trust

    930       103,379  

PayPal Holdings *

    2,786       241,741  

PNC Financial Services Group

    1,082       232,327  

Principal Financial Group

    1,334       116,178  

Progressive

    2,923       785,936  

Prudential Financial

    1,002       129,669  

Raymond James Financial

    865       146,427  

Regions Financial

    6,591       179,671  

Reinsurance Group of America, Cl A

    239       54,588  

Robinhood Markets, Cl A *

    2,022       75,906  

Rocket, Cl A *

    2,356       34,233  

S&P Global

    487       254,462  

State Street

    1,537       151,410  

Synchrony Financial

    2,305       155,634  

T Rowe Price Group

    1,241       153,685  

Toast, Cl A *

    1,524       66,355  

Tradeweb Markets, Cl A

    588       79,674  

Travelers

    1,239       329,624  

Truist Financial

    3,566       170,027  

US Bancorp

    3,586       191,098  

Visa, Cl A

    2,432       766,275  

Wells Fargo

    4,772       363,483  

Western Alliance Bancorp

    2,713       253,964  

Willis Towers Watson

    543       174,846  

WR Berkley

    3,753       242,256  
              26,117,441  

 

               

HEALTH CARE — 3.8%

Abbott Laboratories

    1,856       220,437  

AbbVie

    4,278       782,575  

Agilent Technologies

    727       100,304  

Align Technology *

    188       43,761  

Alnylam Pharmaceuticals *

    471       119,196  

 

48

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

HEALTH CARE — continued

Amgen

    871     $ 246,380  

Avantor *

    1,809       38,098  

Baxter International

    1,541       51,947  

Becton Dickinson

    873       193,719  

Biogen *

    409       65,698  

Boston Scientific *

    1,466       132,908  

Bristol-Myers Squibb

    8,177       484,242  

Cardinal Health

    1,059       129,452  

Cencora, Cl A

    2,256       567,497  

Centene *

    2,173       130,380  

Chemed

    99       56,667  

Cigna Group

    1,659       560,410  

Cooper *

    976       101,953  

CVS Health

    2,882       172,488  

Danaher

    2,706       648,601  

DexCom *

    572       44,610  

Edwards Lifesciences *

    1,770       126,289  

Elevance Health

    674       274,291  

Eli Lilly

    2,747       2,184,826  

Fortrea Holdings *

    887       18,671  

GE HealthCare Technologies

    1,341       111,598  

Gilead Sciences

    5,962       551,962  

GRAIL *

    58       1,015  

HCA Healthcare

    2,897       947,956  

Hologic *

    1,429       113,606  

Humana

    292       86,543  

ICON *

    323       67,911  

IDEXX Laboratories *

    462       194,848  

Illumina *

    350       50,453  

Incyte *

    344       25,659  

Insulet *

    253       67,495  

Intuitive Surgical *

    220       119,240  

IQVIA Holdings *

    447       89,775  

Johnson & Johnson

    3,075       476,656  

Labcorp Holdings

    684       164,953  

McKesson

    766       481,431  

Medtronic

    2,675       231,495  

Merck

    4,341       441,219  

Mettler-Toledo International *

    90       112,608  

Moderna *

    666       28,678  

Molina Healthcare *

    687       204,657  

 

49

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

HEALTH CARE — continued

Pfizer

    4,924     $ 129,058  

Quest Diagnostics

    1,602       260,581  

Regeneron Pharmaceuticals *

    173       129,788  

ResMed

    683       170,081  

Royalty Pharma, Cl A

    1,078       28,739  

Solventum *

    498       35,612  

STERIS

    377       82,586  

Stryker

    488       191,369  

Thermo Fisher Scientific

    792       419,467  

United Therapeutics *

    1,086       402,352  

UnitedHealth Group

    1,302       794,480  

Veeva Systems, Cl A *

    358       81,570  

Vertex Pharmaceuticals *

    367       171,804  

Waters *

    248       95,411  

West Pharmaceutical Services

    206       67,090  

Zimmer Biomet Holdings

    622       69,726  

Zoetis, Cl A

    2,941       515,410  
              15,710,282  

 

               

INDUSTRIALS — 6.9%

3M

    1,415       188,945  

AECOM

    1,348       157,676  

Air Lease, Cl A

    1,150       58,535  

Allison Transmission Holdings

    2,427       287,599  

Amentum Holdings *

    879       21,404  

AMETEK

    470       91,359  

Automatic Data Processing

    805       247,079  

Axon Enterprise *

    99       64,049  

Boeing *

    914       142,072  

Booz Allen Hamilton Holding, Cl A

    3,095       458,617  

Broadridge Financial Solutions

    1,184       279,448  

Builders FirstSource *

    3,314       617,962  

Carlisle

    715       326,540  

Carrier Global

    2,066       159,846  

Caterpillar

    1,166       473,524  

Cintas

    3,348       755,945  

Copart *

    7,052       447,026  

CSX

    7,967       291,194  

Cummins

    493       184,895  

Deere

    1,038       483,604  

 

50

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

INDUSTRIALS — continued

Delta Air Lines

    9,233     $ 589,250  

Dover

    2,700       555,930  

Eaton

    3,602       1,352,263  

EMCOR Group

    208       106,105  

Emerson Electric

    1,567       207,784  

Equifax

    514       134,442  

Esab

    1,106       142,762  

Expeditors International of Washington

    698       84,905  

Experian

    4,503       215,624  

Fastenal

    5,286       441,698  

FedEx

    914       276,640  

Ferguson Enterprises

    683       147,480  

Fortive

    1,538       122,010  

GE Vernova *

    316       105,582  

General Dynamics

    603       171,258  

General Electric

    4,652       847,408  

Graco

    797       72,591  

HEICO

    516       141,059  

HEICO, Cl A

    280       59,116  

Honeywell International

    1,106       257,621  

Howmet Aerospace

    4,415       522,648  

Hubbell, Cl B

    1,351       621,582  

IDEX

    418       96,403  

Illinois Tool Works

    599       166,234  

Ingersoll Rand

    4,230       440,639  

ITT

    1,371       214,041  

Jacobs Solutions

    2,250       317,767  

JB Hunt Transport Services

    496       93,799  

Johnson Controls International

    1,819       152,541  

L3Harris Technologies

    542       133,468  

Landstar System

    113       21,009  

Leidos Holdings

    533       88,158  

Lennox International

    94       62,710  

Lockheed Martin

    491       259,940  

Masco

    908       73,148  

Nordson

    654       170,687  

Norfolk Southern

    538       148,407  

Northrop Grumman

    379       185,577  

nVent Electric

    1,352       105,875  

Old Dominion Freight Line

    3,225       726,076  

Otis Worldwide

    1,188       122,340  

 

51

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

INDUSTRIALS — continued

Owens Corning

    1,728     $ 355,311  

PACCAR

    1,955       228,735  

Parker-Hannifin

    1,345       945,400  

Paychex

    1,038       151,828  

Pentair

    704       76,729  

Quanta Services

    3,315       1,142,084  

Regal Beloit

    474       81,865  

Republic Services, Cl A

    640       139,712  

Rockwell Automation

    385       113,629  

Rollins

    1,732       87,172  

RTX

    1,913       233,061  

Ryder System

    349       58,925  

Schneider Electric

    3,162       815,794  

Snap-on

    913       337,527  

Southwest Airlines

    1,809       58,539  

SS&C Technologies Holdings

    1,137       87,936  

Stanley Black & Decker

    729       65,209  

Textron

    857       73,385  

Timken

    400       30,980  

Trane Technologies

    3,473       1,445,532  

TransDigm Group

    132       165,392  

TransUnion

    458       46,487  

Uber Technologies *

    892       64,188  

U-Haul Holding *

    93       6,572  

U-Haul Holding, Cl B

    878       54,822  

Union Pacific

    1,220       298,485  

United Airlines Holdings *

    2,025       196,081  

United Parcel Service, Cl B

    2,187       296,820  

United Rentals

    1,847       1,599,502  

Veralto

    369       39,922  

Verisk Analytics, Cl A

    884       260,082  

Vertiv Holdings, Cl A

    3,925       500,830  

Waste Management

    1,525       348,036  

Watsco

    501       276,352  

Westinghouse Air Brake Technologies

    1,325       265,821  

WW Grainger

    677       816,015  

XPO *

    1,412       215,203  

Xylem

    1,052       133,341  
              28,605,200  

 

               

 

52

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

INFORMATION TECHNOLOGY — 9.6%

Adobe *

    640     $ 330,195  

Advanced Micro Devices *

    2,160       296,298  

Amdocs

    844       73,192  

Amphenol, Cl A

    2,066       150,095  

Analog Devices

    1,081       235,712  

ANSYS *

    174       61,091  

Apple

    28,068       6,661,378  

Applied Materials

    1,157       202,139  

AppLovin, Cl A *

    4,195       1,412,666  

Arista Networks *

    964       391,210  

Arrow Electronics *

    273       32,804  

Atlassian, Cl A *

    73       19,241  

Autodesk *

    459       133,982  

Bentley Systems, Cl B

    1,002       49,599  

Broadcom

    4,612       747,513  

Cadence Design Systems *

    1,859       570,360  

CDW

    1,452       255,450  

Cisco Systems

    5,660       335,129  

Cloudflare, Cl A *

    528       52,710  

Cognizant Technology Solutions, Cl A

    1,459       117,435  

Corning

    3,224       156,912  

Crowdstrike Holdings, Cl A *

    105       36,327  

Datadog, Cl A *

    325       49,644  

Dell Technologies, Cl C

    752       95,948  

Dynatrace *

    932       52,369  

Entegris

    648       68,448  

Fair Isaac *

    417       990,388  

First Solar *

    557       110,993  

Flex *

    1,608       62,664  

Fortinet *

    4,563       433,713  

Gartner *

    335       173,507  

Gen Digital

    3,804       117,353  

GLOBALFOUNDRIES *

    410       17,733  

GoDaddy, Cl A *

    449       88,709  

Hewlett Packard Enterprise

    7,177       152,296  

HP

    2,988       105,865  

HubSpot *

    73       52,637  

Intel

    3,699       88,961  

International Business Machines

    1,864       423,892  

Intuit

    196       125,779  

Jabil

    1,394       189,347  

 

53

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

INFORMATION TECHNOLOGY — continued

Juniper Networks

    1,278     $ 45,906  

Keysight Technologies *

    1,469       250,964  

KLA

    1,478       956,310  

Kyndryl Holdings *

    6,559       227,663  

Lam Research

    7,140       527,503  

Manhattan Associates *

    440       125,594  

Marvell Technology

    1,718       159,241  

Microchip Technology

    1,576       107,436  

Micron Technology

    2,374       232,533  

Microsoft

    16,943       7,174,683  

MongoDB, Cl A *

    27       8,707  

Monolithic Power Systems

    140       79,470  

Motorola Solutions

    890       444,733  

NetApp

    713       87,442  

Nutanix, Cl A *

    844       55,096  

NVIDIA

    69,227       9,570,633  

Okta, Cl A *

    678       52,586  

ON Semiconductor *

    2,272       161,585  

Oracle

    2,685       496,295  

Palantir Technologies, Cl A *

    619       41,523  

Palo Alto Networks *

    99       38,394  

Pegasystems

    493       46,820  

PTC *

    527       105,432  

Pure Storage, Cl A *

    808       42,816  

QUALCOMM

    2,095       332,120  

Roper Technologies

    344       194,855  

Salesforce

    946       312,171  

Samsara, Cl A *

    635       33,966  

Seagate Technology Holdings

    835       84,611  

ServiceNow *

    74       77,659  

Skyworks Solutions

    485       42,481  

Snowflake, Cl A *

    279       48,769  

Synopsys *

    1,018       568,543  

TD SYNNEX

    434       51,642  

Teledyne Technologies *

    612       296,979  

Teradyne

    750       82,500  

Texas Instruments

    919       184,747  

Trimble *

    1,191       86,907  

Tyler Technologies *

    104       65,434  

VeriSign *

    267       49,977  

Western Digital *

    1,814       132,404  

 

54

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

INFORMATION TECHNOLOGY — continued

Workday, Cl A *

    421     $ 105,246  

Zebra Technologies, Cl A *

    243       98,901  

Zoom Video Communications, Cl A *

    797       65,904  

Zscaler *

    219       45,243  
              39,722,108  

 

               

MATERIALS — 1.3%

Air Products & Chemicals

    387       129,386  

Amcor

    5,053       53,764  

Avery Dennison

    492       101,327  

Ball

    939       58,368  

Celanese, Cl A

    736       53,883  

CF Industries Holdings

    1,125       100,867  

Corteva

    2,267       141,098  

Dow

    4,461       197,221  

DuPont de Nemours

    1,894       158,319  

Eagle Materials

    274       84,644  

Ecolab

    728       181,105  

Element Solutions

    2,957       84,807  

Freeport-McMoRan

    8,540       377,468  

Graphic Packaging Holding

    1,659       49,919  

International Flavors & Fragrances

    1,296       118,403  

International Paper

    1,935       113,836  

Linde

    676       311,629  

LyondellBasell Industries, Cl A

    1,878       156,513  

Martin Marietta Materials

    269       161,400  

Newmont

    3,129       131,230  

Nucor

    1,967       304,275  

Packaging Corp of America

    1,341       333,708  

PPG Industries

    1,268       157,701  

Reliance

    1,718       551,890  

RPM International

    1,535       213,027  

Sherwin-Williams

    567       225,326  

Smurfit WestRock

    1,804       99,256  

Steel Dynamics

    3,487       506,556  

Vulcan Materials

    275       79,236  

Westlake

    353       45,325  
              5,281,487  

 

               

 

55

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

COMMON STOCK — continued

 

 

Shares

   

Value

 

UNITED STATES — continued

REAL ESTATE — 0.1%

CBRE Group, Cl A *

    2,645     $ 370,274  

CoStar Group *

    1,416       115,177  

Zillow Group, Cl C *

    619       52,435  
              537,886  

 

               

UTILITIES — 0.8%

Ameren

    710       67,017  

American Electric Power

    1,232       123,028  

American Water Works

    463       63,403  

Atmos Energy

    663       100,325  

CenterPoint Energy

    2,026       66,088  

CMS Energy

    796       55,489  

Consolidated Edison

    1,001       100,691  

Constellation Energy

    777       199,347  

Dominion Energy

    1,314       77,197  

DTE Energy

    954       119,994  

Duke Energy

    1,937       226,726  

Edison International

    1,663       145,928  

Entergy

    1,042       162,729  

Evergy

    1,568       101,340  

Eversource Energy

    830       53,527  

Exelon

    2,885       114,131  

FirstEnergy

    2,829       120,374  

NextEra Energy

    2,471       194,394  

NiSource

    1,057       40,261  

NRG Energy

    1,257       127,724  

PG&E

    6,191       133,911  

PPL

    1,964       68,603  

Public Service Enterprise Group

    1,448       136,546  

Sempra

    1,826       171,041  

Southern

    2,677       238,601  

Vistra

    981       156,803  

WEC Energy Group

    1,166       117,824  

Xcel Energy

    1,714       124,368  
              3,407,410  

 

               
              165,408,805  

Total Common Stock

               

(Cost $112,427,234)

            214,401,882  

 

56

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

REGISTERED INVESTMENT COMPANIES — 46.6%

   

Shares

   

Value

 

EQUITY FUNDS — 46.6%

AQR International Defensive Style Fund, Cl R6 *

    270,271     $ 3,991,897  

AQR Large Cap Defensive Style Fund, Cl R6 *

    244,740       6,510,085  

Avantis Emerging Markets Equity ETF

    83,457       5,094,215  

Avantis International Equity ETF

    42,074       2,699,047  

Avantis International Small Cap Value ETF

    53,670       3,627,019  

Avantis U.S. Small Capital Value ETF

    68,838       7,261,721  

DFA Emerging Markets Portfolio, Cl I *

    237,299       6,933,879  

DFA Emerging Markets Small Cap Portfolio, Cl I *

    165,174       3,939,398  

DFA Emerging Markets Targeted Value Portfolio, Cl I *

    107,089       1,254,017  

DFA International High Relative Profitability Portfolio, Cl I *

    679,596       8,800,765  

DFA International Real Estate Securities, Cl I *

    856,509       3,177,650  

DFA International Small Cap Growth Portfolio, Cl I *

    85,280       1,317,579  

DFA International Small Cap Value Portfolio, Cl I *

    339,195       7,753,997  

DFA International Value Portfolio, Cl I *

    380,619       8,122,408  

DFA Large Cap International Portfolio, Cl I *

    561,197       15,623,714  

DFA Real Estate Securities Portfolio, Cl I *

    289,759       12,853,701  

DFA US Small Cap Portfolio, Cl I *

    113,481       6,031,511  

DFA US Targeted Value Portfolio, Cl I *

    286,726       10,700,632  

Dimensional Emerging Markets High Profitability

    122,990       3,102,583  

Dimensional US Small Cap ETF

    71,747       5,071,795  

Dimensional US Targeted Value ETF

    273,794       16,605,606  

iShares MSCI EAFE Min Vol Factor ETF

    13,000       960,440  

iShares MSCI Emerging Markets Min Vol Factor ETF

    7,500       448,725  

iShares MSCI Global Min Vol Factor ETF

    107,078       12,358,943  

iShares MSCI USA Min Vol Factor ETF

    72,000       6,807,600  

iShares MSCI USA Momentum Factor ETF

    43,998       9,526,447  

Schwab International Small-Cap Equity ETF

    37,746       1,387,920  

Vanguard Small Cap Value ETF

    19,094       4,128,123  

Vanguard US Momentum Factor ETF

    30,062       5,355,245  

Vanguard US Quality Factor ETF

    28,129       4,194,878  

 

57

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

REGISTERED INVESTMENT COMPANIES — continued

 

 

Shares

   

Value

 

EQUITY FUNDS — continued

Vanguard US Value Factor ETF

    55,458     $ 7,151,775  

Total Registered Investment Companies

               

(Cost $142,040,571)

            192,793,315  

PREFERRED STOCK — 0.1%

                 

BRAZIL — 0.1%

Cia Energetica de Minas Gerais(2)

    9,423       18,506  

Petroleo Brasileiro(2)

    26,600       174,539  

 

               

Total Preferred Stock

               

(Cost $130,245)

            193,045  

RIGHTS — 0.0%

      Number of
Rights
         

Abiomed*

    241       3,762  
                 

Total Rights

               

(Cost $–)

            3,762  

WARRANTS — 0.0%

      Number of
Warrants
         

Constellation Software, Expires 08/22/28(1)

    22        
                 

Total Warrants

               

(Cost $–)

             

SHORT-TERM INVESTMENT — 1.3%

   


Shares

         

DWS Government Money Market Series, Institutional Shares, 4.700% (A)

               

(Cost $5,261,717)

    5,261,717       5,261,717  

 

               

Total Investments — 99.8%

               

(Cost $259,859,767)

          $ 412,653,721  
                 

 

 

 

58

 

SYMMETRY PANORAMIC GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

A list of open futures contracts held by the Fund at November 30, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

 

Expiration Date

 

Notional Amount

 

Value

 

Unrealized Appreciation/ (Depreciation)

 

Long Contracts

                           

IFSC Nifty50 Index

  86   Dec-2024   $ 4,198,162   $ 4,180,202   $ (17,960 )

S&P 500 Index E-MINI

  1   Dec-2024     284,980     302,575     17,595  
            $ 4,483,142   $ 4,482,777   $ (365 )

 

Percentages are based on Net Assets of $413,594,326.

 

*

Non-income producing security.

(1)

Level 3 security in accordance with fair value hierarchy.

(2)

No Interest Rate Available.

(A)

The rate reported is the 7-day effective yield as of November 30, 2024.

 

 

ADR — American Depositary Receipt

Cl — Class

EAFE — Europe, Australasia and Far East

ETF — Exchange-Traded Fund

IFSC— International Financial Service Centre

Min. — Minimum

MSCI — Morgan Stanley Capital International

NASDAQ – National Association of Securities Dealers and Automated Quotations

NVDR — Non-Voting Depositary Receipt

S&P— Standard & Poor's

Ser — Series

Vol — Volatility

 

 

Amounts designated as “—” are $0.

 

SYM-QH-001-0600

 

59

 

SYMMETRY PANORAMIC TAX-MANAGED GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

SCHEDULE OF INVESTMENTS

REGISTERED INVESTMENT COMPANIES — 99.1%

   

Shares

   

Value

 

EQUITY FUNDS — 99.1%

AQR Emerging Multi-Style II Fund, Cl R6

    693,995     $ 7,509,028  

AQR International Defensive Style Fund, Cl R6

    4,637       68,488  

AQR International Multi-Style Fund, Cl R6

    996,728       13,954,189  

AQR Large Cap Defensive Style Fund, Cl R6

    14,345       381,580  

AQR Large Capital Multi-Style Fund, Cl R6

    1,057,771       23,038,262  

Avantis Emerging Markets Equity ETF

    46,830       2,858,503  

Avantis International Equity ETF

    21,033       1,349,267  

Avantis International Small Cap Value ETF

    23,085       1,560,084  

DFA Emerging Markets Portfolio, Cl I

    125,208       3,658,576  

DFA Emerging Markets Small Cap Portfolio, Cl I

    90,126       2,149,512  

DFA Emerging Markets Targeted Value Portfolio, Cl I

    33,646       393,992  

DFA International High Relative Profitability Portfolio, Cl I

    219,241       2,839,175  

DFA International Small Cap Growth Portfolio, Cl I

    30,149       465,803  

DFA International Small Cap Value Portfolio, Cl I

    149,638       3,420,715  

DFA Large Cap International Portfolio, Cl I

    196,661       5,475,047  

DFA Real Estate Securities Portfolio, Cl I

    51,320       2,276,574  

DFA US High Relative Profitability Portfolio, Cl I

    412,431       10,611,839  

Dimensional Emerging Markets High Profitability

    58,569       1,477,479  

Dimensional International Value ETF

    91,494       3,360,575  

Dimensional US Core Equity 2 ETF

    82,143       2,994,112  

Dimensional US Equity ETF

    311,583       20,517,741  

Dimensional US Marketwide Value ETF

    213,113       9,440,906  

Dimensional US Small Cap ETF

    47,433       3,353,039  

Dimensional US Targeted Value ETF

    177,534       10,767,437  

iShares MSCI Global Min Vol Factor ETF

    66,722       7,701,053  

iShares MSCI USA Momentum Factor ETF

    8,304       1,797,982  

Schwab International Small-Cap Equity ETF

    11,998       441,166  

Vanguard Small Cap Value ETF

    7,431       1,606,582  

Vanguard US Momentum Factor ETF

    2,889       514,646  

Vanguard US Quality Factor ETF

    8,804       1,312,941  

 

60

 

SYMMETRY PANORAMIC TAX-MANAGED GLOBAL EQUITY FUND
NOVEMBER 30, 2024 (Unaudited)

 

REGISTERED INVESTMENT COMPANIES — continued

 

 

Shares

   

Value

 

EQUITY FUNDS — continued

Vanguard US Value Factor ETF

    17,776     $ 2,292,365  

Total Registered Investment Companies

               

(Cost $98,261,440)

            149,588,658  

SHORT-TERM INVESTMENT — 1.0%

                 

DWS Government Money Market Series, Institutional Shares, 4.700% (A)

               

(Cost $1,443,556)

    1,443,556       1,443,556  

 

               

Total Investments — 100.1%

               

(Cost $99,704,996)

          $ 151,032,214  
                 

 

Percentages are based on Net Assets of $150,956,330.

 

(A)

The rate reported is the 7-day effective yield as of November 30, 2024.

 

Cl — Class

ETF — Exchange-Traded Fund

Min — Minimum

MSCI — Morgan Stanley Capital International

Vol — Volatility

 

 

SYM-QH-001-0600

 

61

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

SCHEDULE OF INVESTMENTS

CORPORATE OBLIGATIONS — 45.8%

   

Face Amount

   

Value

 

AUSTRALIA — 0.6%

FMG Resources August 2006 Pty

               

4.500%, 09/15/27

  $ 719,000     $ 699,895  

Rio Tinto Finance USA

               

5.000%, 03/09/33

    421,000       430,103  
              1,129,998  

 

               

CANADA — 1.6%

Canadian National Railway

               

5.850%, 11/01/33

    166,000       178,458  

3.850%, 08/05/32

    285,000       269,748  

Canadian Natural Resources

               

3.850%, 06/01/27

    461,000       451,511  

2.950%, 07/15/30

    14,000       12,613  

Cenovus Energy

               

2.650%, 01/15/32

    411,000       349,558  

Fairfax Financial Holdings

               

6.000%, 12/07/33

    268,000       279,796  

4.625%, 04/29/30

    75,000       74,116  

Kinross

               

6.250%, 07/15/33

    287,000       305,276  

National Bank of Canada

               

5.600%, 12/18/28

    403,000       414,925  

Suncor Energy

               

6.850%, 06/01/39

    237,000       265,431  
              2,601,432  

 

               

FINLAND — 0.2%

Nokia

               

6.625%, 05/15/39

    336,000       344,911  
                 

 

               

GERMANY — 0.5%

Kreditanstalt fuer Wiederaufbau

               

1.250%, 01/31/25

    820,000       815,404  

 

62

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

Landwirtschaftliche Rentenbank

               

3.875%, 06/14/28

  $ 36,000     $ 35,629  
              851,033  

 

               

JAPAN — 0.5%

Mizuho Financial Group

               

2.260%, H15T1Y + 0.900%, 07/09/32(A)

    205,000       173,510  

Rakuten Group

               

11.250%, 02/15/27

    590,000       643,240  
              816,750  

 

               

LUXEMBOURG — 0.3%

ArcelorMittal

               

4.550%, 03/11/26

    446,000       443,141  
                 

 

               

SPAIN — 0.3%

Telefonica Emisiones

               

4.103%, 03/08/27

    494,000       487,824  
                 

 

               

SUPRANATIONAL — 1.5%

Asian Development Bank

               

0.625%, 04/29/25

    1,000,000       983,988  

European Investment Bank

               

3.625%, 07/15/30

    100,000       97,152  

International Bank for Reconstruction & Development

               

1.250%, 02/10/31

    800,000       671,501  

0.875%, 07/15/26

    432,000       409,050  

Nordic Investment Bank

               

4.375%, 03/14/28

    359,000       360,613  
              2,522,304  

 

               

UNITED KINGDOM — 2.8%

BAT Capital

               

4.390%, 08/15/37

    232,000       207,068  

BAT International Finance

               

1.668%, 03/25/26

    251,000       241,042  

 

63

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

GlaxoSmithKline Capital

               

3.375%, 06/01/29

  $ 11,000     $ 10,515  

Harbour Energy

               

5.500%, 10/15/26

    812,000       808,378  

HSBC Holdings

               

7.336%, SOFRRATE + 3.030%, 11/03/26(A)

    200,000       204,248  

6.800%, 06/01/38

    480,000       522,714  

4.755%, SOFRRATE + 2.110%, 06/09/28(A)

    200,000       199,125  

Jaguar Land Rover Automotive

               

4.500%, 10/01/27

    610,000       589,743  

Lloyds Banking Group

               

1.627%, H15T1Y + 0.850%, 05/11/27(A)

    472,000       450,450  

Mead Johnson Nutrition

               

5.900%, 11/01/39

    330,000       351,828  

NatWest Group

               

7.472%, H15T1Y + 2.850%, 11/10/26(A)

    506,000       517,319  

5.847%, H15T1Y + 1.350%, 03/02/27(A)

    201,000       203,171  

RELX Capital

               

3.000%, 05/22/30

    464,000       426,893  
              4,732,494  

 

               

UNITED STATES — 37.5%

COMMUNICATION SERVICES — 3.8%

AT&T

               

4.850%, 03/01/39

    101,000       96,714  

4.350%, 03/01/29

    164,000       162,251  

4.250%, 03/01/27

    82,000       81,447  

2.550%, 12/01/33

    649,000       534,838  

CCO Holdings

               

5.000%, 02/01/28

    746,000       728,984  

Comcast

               

1.950%, 01/15/31

    165,000       140,235  

Electronic Arts

               

1.850%, 02/15/31

    505,000       426,465  

Fox

               

4.709%, 01/25/29

    72,000       71,987  

3.500%, 04/08/30

    426,000       400,473  

Interpublic Group of

               

5.375%, 06/15/33

    414,000       417,590  

 

64

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

COMMUNICATION SERVICES — continued

Match Group Holdings II

               

4.625%, 06/01/28

  $ 162,000     $ 155,365  

Meta Platforms

               

4.800%, 05/15/30

    419,000       426,830  

4.600%, 05/15/28

    90,000       90,768  

Netflix

               

6.375%, 05/15/29

    15,000       16,064  

4.875%, 04/15/28

    436,000       440,445  

Sirius XM Radio

               

4.000%, 07/15/28

    768,000       721,096  

TEGNA

               

4.625%, 03/15/28

    824,000       783,300  

T-Mobile USA

               

5.050%, 07/15/33

    537,000       538,620  

3.500%, 04/15/31

    94,000       86,718  

2.625%, 02/15/29

    35,000       32,115  

1.500%, 02/15/26

    26,000       25,016  

Verizon Communications

               

4.500%, 08/10/33

    80,000       77,308  

2.355%, 03/15/32

    30,000       25,315  
              6,479,944  

 

               

CONSUMER DISCRETIONARY — 3.5%

Adtalem Global Education

               

5.500%, 03/01/28

    762,000       748,913  

AutoZone

               

6.550%, 11/01/33

    252,000       276,122  

5.200%, 08/01/33

    57,000       57,318  

Block Financial

               

3.875%, 08/15/30

    229,000       213,508  

2.500%, 07/15/28

    228,000       208,788  

Brunswick

               

2.400%, 08/18/31

    245,000       204,688  

DR Horton

               

1.300%, 10/15/26

    390,000       366,355  

Lennar

               

5.250%, 06/01/26

    142,000       142,801  

Marriott International

               

5.450%, 09/15/26

    119,000       120,682  

2.750%, 10/15/33

    40,000       33,552  

 

65

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

CONSUMER DISCRETIONARY — continued

MDC Holdings

               

3.850%, 01/15/30

  $ 436,000     $ 415,044  

Meritage Homes

               

5.125%, 06/06/27

    416,000       417,707  

Nordstrom

               

6.950%, 03/15/28

    679,000       701,902  

NVR

               

3.000%, 05/15/30

    468,000       425,625  

O'Reilly Automotive

               

4.700%, 06/15/32

    298,000       292,525  

3.900%, 06/01/29

    153,000       148,161  

Tapestry

               

3.050%, 03/15/32

    135,000       116,617  

Toll Brothers Finance

               

4.875%, 03/15/27

    418,000       418,754  

Tri Pointe Homes

               

5.700%, 06/15/28

    709,000       711,396  
              6,020,458  

 

               

CONSUMER STAPLES — 2.1%

Church & Dwight

               

3.150%, 08/01/27

    441,000       427,657  

Costco Wholesale

               

1.750%, 04/20/32

    523,000       432,886  

Flowers Foods

               

2.400%, 03/15/31

    492,000       423,913  

Ingredion

               

2.900%, 06/01/30

    450,000       410,716  

JBS USA Holding Lux Sarl

               

5.500%, 01/15/30

    407,000       410,141  

Philip Morris International

               

4.875%, 02/13/26

    603,000       604,985  

0.875%, 05/01/26

    10,000       9,498  

Pilgrim's Pride

               

4.250%, 04/15/31

    375,000       349,788  

Procter & Gamble

               

4.050%, 01/26/33

    498,000       485,959  
              3,555,543  

 

               

 

66

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

ENERGY — 2.3%

Boardwalk Pipelines

               

3.600%, 09/01/32

  $ 84,000     $ 75,066  

ConocoPhillips

               

5.050%, 09/15/33

    28,000       28,451  

Coterra Energy

               

3.900%, 05/15/27

    433,000       424,031  

Diamondback Energy

               

3.125%, 03/24/31

    495,000       444,828  

Equities

               

7.000%, 02/01/30

    220,000       237,573  

5.750%, 02/01/34

    68,000       69,578  

Helmerich & Payne

               

2.900%, 09/29/31

    402,000       343,552  

HF Sinclair

               

5.875%, 04/01/26

    193,000       194,697  

4.500%, 10/01/30

    237,000       226,992  

MPLX

               

4.500%, 04/15/38

    23,000       20,784  

4.125%, 03/01/27

    530,000       523,518  

Oceaneering International

               

6.000%, 02/01/28

    714,000       708,680  

Valero Energy

               

2.800%, 12/01/31

    343,000       298,126  

Western Midstream Operating

               

4.050%, 02/01/30

    457,000       433,980  
              4,029,856  

 

               

FINANCIALS — 9.5%

Ameriprise Financial

               

5.150%, 05/15/33

    413,000       421,171  

Apollo Global Management

               

6.375%, 11/15/33

    384,000       424,561  

Athene Holding

               

4.125%, 01/12/28

    305,000       298,860  

Bank of America

               

2.651%, SOFRRATE + 1.220%, 03/11/32(A)

    1,055,000       922,812  

2.482%, H15T5Y + 1.200%, 09/21/36(A)

    839,000       697,237  

1.898%, SOFRRATE + 1.530%, 07/23/31(A)

    10,000       8,533  

 

67

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

FINANCIALS — continued

BlackRock

               

4.750%, 05/25/33

  $ 186,000     $ 186,196  

Blackstone Secured Lending Fund

               

3.625%, 01/15/26

    221,000       216,926  

Blue Owl Capital

               

2.875%, 06/11/28

    310,000       283,110  

Blue Owl Technology Finance

               

2.500%, 01/15/27

    439,000       409,471  

Brown & Brown

               

5.650%, 06/11/34

    57,000       58,677  

Capital One Financial

               

7.624%, SOFRRATE + 3.070%, 10/30/31(A)

    145,000       162,113  

2.359%, SOFRRATE + 1.337%, 07/29/32(A)

    349,000       286,409  

CBRE Services

               

2.500%, 04/01/31

    481,000       417,409  

Citigroup

               

3.070%, SOFRRATE + 1.280%, 02/24/28(A)

    317,000       305,489  

Citizens Financial Group

               

3.250%, 04/30/30

    224,000       205,423  

Corebridge Financial

               

6.050%, 09/15/33

    169,000       178,617  

Discover Bank

               

2.700%, 02/06/30

    274,000       244,499  

Discover Financial Services

               

4.100%, 02/09/27

    233,000       229,891  

Enstar Group

               

4.950%, 06/01/29

    435,000       431,976  

F&G Annuities & Life

               

7.400%, 01/13/28

    391,000       410,520  

First American Financial

               

5.450%, 09/30/34

    13,000       12,863  

Goldman Sachs Group

               

4.411%, TSFR3M + 1.692%, 04/23/39(A)

    593,000       541,707  

4.017%, TSFR3M + 1.635%, 10/31/38(A)

    210,000       184,644  

 

68

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

FINANCIALS — continued

1.093%, SOFRRATE + 0.789%, 12/09/26(A)

  $ 231,000     $ 222,418  

Huntington National Bank

               

4.552%, SOFRINDX + 1.650%, 05/17/28(A)

    471,000       467,910  

Ladder Capital Finance Holdings LLLP

               

4.250%, 02/01/27

    855,000       832,238  

Manufacturers & Traders Trust

               

4.700%, 01/27/28

    261,000       259,743  

MGIC Investment

               

5.250%, 08/15/28

    172,000       170,376  

Morgan Stanley

               

2.511%, SOFRRATE + 1.200%, 10/20/32(A)

    42,000       35,915  

2.484%, SOFRRATE + 1.360%, 09/16/36(A)

    1,146,000       947,610  

2.475%, SOFRRATE + 1.000%, 01/21/28(A)

    184,000       175,480  

Necessity Retail REIT

               

4.500%, 09/30/28

    728,000       675,990  

OneMain Finance

               

3.500%, 01/15/27

    433,000       415,979  

Principal Financial Group

               

5.375%, 03/15/33

    54,000       55,430  

Reinsurance Group of America

               

6.000%, 09/15/33

    29,000       30,634  

Santander Holdings USA

               

7.660%, SOFRRATE + 3.280%, 11/09/31(A)

    130,000       144,245  

2.490%, SOFRRATE + 1.249%, 01/06/28(A)

    649,000       615,801  

SLM

               

3.125%, 11/02/26

    834,000       793,771  

Starwood Property Trust

               

4.375%, 01/15/27

    319,000       310,766  

3.625%, 07/15/26

    459,000       443,006  

Synchrony Bank

               

5.625%, 08/23/27

    457,000       461,697  

Synovus Bank

               

5.625%, 02/15/28

    426,000       428,789  

 

69

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

FINANCIALS — continued

Truist Financial MTN

               

5.122%, SOFRRATE + 1.852%, 01/26/34(A)

  $ 638,000     $ 632,066  

Wells Fargo MTN

               

3.584%, TSFR3M + 1.572%, 05/22/28(A)

    307,000       298,159  

3.196%, TSFR3M + 1.432%, 06/17/27(A)

    20,000       19,510  

2.572%, TSFR3M + 1.262%, 02/11/31(A)

    45,000       40,187  
              16,016,834  

 

               

HEALTH CARE — 3.0%

Agilent Technologies

               

2.750%, 09/15/29

    464,000       424,626  

Boston Scientific

               

4.550%, 03/01/39

    348,000       329,949  

4.000%, 03/01/28

    54,000       53,114  

Cardinal Health

               

5.450%, 02/15/34

    159,000       161,765  

Centene

               

4.250%, 12/15/27

    542,000       524,118  

Elevance Health

               

5.350%, 10/15/25

    10,000       10,046  

Humana

               

5.875%, 03/01/33

    44,000       45,441  

3.125%, 08/15/29

    310,000       287,406  

2.150%, 02/03/32

    165,000       134,904  

McKesson

               

1.300%, 08/15/26

    319,000       302,474  

Merck

               

4.500%, 05/17/33

    259,000       255,534  

3.900%, 03/07/39

    397,000       350,061  

Pfizer

               

3.900%, 03/15/39

    18,000       15,722  

Quest Diagnostics

               

6.400%, 11/30/33

    292,000       319,262  

4.200%, 06/30/29

    116,000       113,683  

Regeneron Pharmaceuticals

               

1.750%, 09/15/30

    514,000       432,264  

 

70

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

HEALTH CARE — continued

Royalty Pharma

               

2.150%, 09/02/31

  $ 471,000     $ 393,685  

1.200%, 09/02/25

    62,000       60,259  

STERIS Irish FinCo UnLtd

               

2.700%, 03/15/31

    487,000       425,734  

UnitedHealth Group

               

6.625%, 11/15/37

    20,000       22,843  

5.150%, 10/15/25

    28,000       28,142  

4.500%, 04/15/33

    17,000       16,588  

3.500%, 08/15/39

    526,000       436,618  

2.875%, 08/15/29

    20,000       18,617  

2.300%, 05/15/31

    26,000       22,560  
              5,185,415  

 

               

INDUSTRIALS — 3.4%

Acuity Brands Lighting

               

2.150%, 12/15/30

    502,000       433,382  

Allegiant Travel

               

7.250%, 08/15/27

    671,000       668,284  

Ardagh Metal Packaging Finance USA

               

3.250%, 09/01/28

    534,000       480,815  

BNSF Funding Trust I

               

6.613%, US0003M + 2.350%, 12/15/55(A)

    61,000       61,404  

Booz Allen Hamilton

               

5.950%, 08/04/33

    312,000       324,248  

Broadridge Financial Solutions

               

2.900%, 12/01/29

    11,000       10,058  

Burlington Northern Santa Fe

               

3.250%, 06/15/27

    154,000       149,785  

Carlisle

               

2.200%, 03/01/32

    458,000       380,804  

Cintas No. 2

               

3.700%, 04/01/27

    409,000       401,613  

Concentrix

               

6.850%, 08/02/33

    47,000       48,244  

CoreCivic

               

4.750%, 10/15/27

    780,000       756,764  

EnerSys

               

4.375%, 12/15/27

    737,000       703,687  

 

71

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

INDUSTRIALS — continued

Ingersoll Rand

               

5.700%, 08/14/33

  $ 22,000     $ 22,943  

5.400%, 08/14/28

    370,000       378,565  

Nordson

               

5.600%, 09/15/28

    397,000       409,962  

Owens Corning

               

3.950%, 08/15/29

    23,000       22,188  

Pentair Finance Sarl

               

4.500%, 07/01/29

    181,000       177,339  

Trane Technologies Global Holding

               

3.750%, 08/21/28

    386,000       376,126  
              5,806,211  

 

               

INFORMATION TECHNOLOGY — 2.3%

Adobe

               

2.150%, 02/01/27

    169,000       161,422  

Amphenol

               

4.750%, 03/30/26

    427,000       427,289  

Apple

               

4.300%, 05/10/33

    262,000       261,963  

ASGN

               

4.625%, 05/15/28

    735,000       703,721  

Broadcom

               

3.187%, 11/15/36

    73,000       60,011  

CDW

               

2.670%, 12/01/26

    443,000       423,104  

Juniper Networks

               

3.750%, 08/15/29

    436,000       416,379  

Keysight Technologies

               

4.950%, 10/15/34

    55,000       54,081  

Motorola Solutions

               

4.600%, 02/23/28

    438,000       437,846  

NetApp

               

2.375%, 06/22/27

    460,000       435,629  

Oracle

               

3.800%, 11/15/37

    116,000       99,860  

Texas Instruments

               

3.875%, 03/15/39

    441,000       392,451  

 

72

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

INFORMATION TECHNOLOGY — continued

Western Digital

               

2.850%, 02/01/29

  $ 109,000     $ 97,585  
              3,971,341  

 

               

MATERIALS — 0.9%

AptarGroup

               

3.600%, 03/15/32

    451,000       410,794  

LYB International Finance III

               

1.250%, 10/01/25

    80,000       77,713  

NewMarket

               

2.700%, 03/18/31

    309,000       267,245  

Novelis

               

3.250%, 11/15/26

    500,000       481,039  

Reliance

               

2.150%, 08/15/30

    299,000       257,926  

RPM International

               

3.750%, 03/15/27

    137,000       134,085  
              1,628,802  

 

               

REAL ESTATE — 2.7%

Agree

               

2.600%, 06/15/33

    192,000       158,047  

2.000%, 06/15/28

    292,000       265,159  

AvalonBay Communities

               

5.300%, 12/07/33

    234,000       239,672  

2.050%, 01/15/32

    253,000       213,989  

Brandywine Operating Partnership

               

8.300%, 03/15/28

    635,000       670,230  

CubeSmart

               

2.500%, 02/15/32

    39,000       33,230  

2.250%, 12/15/28

    434,000       393,905  

EPR Properties

               

3.750%, 08/15/29

    10,000       9,298  

Essential Properties

               

2.950%, 07/15/31

    42,000       36,206  

Forestar Group

               

3.850%, 05/15/26

    226,000       221,046  

Global Net Lease

               

3.750%, 12/15/27

    725,000       670,937  

 

73

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

REAL ESTATE — continued

Highwoods Realty

               

4.125%, 03/15/28

  $ 432,000     $ 415,449  

Omega Healthcare Investors

               

4.750%, 01/15/28

    433,000       430,023  

Realty Income

               

1.800%, 03/15/33

    186,000       145,528  

Tanger Properties

               

2.750%, 09/01/31

    491,000       418,879  

Vornado Realty

               

2.150%, 06/01/26

    290,000       276,276  
              4,597,874  

 

               

UTILITIES — 4.0%

Black Hills

               

5.950%, 03/15/28

    396,000       411,394  

4.350%, 05/01/33

    19,000       17,857  

Consolidated Edison of New York

               

4.000%, 12/01/28

    35,000       34,381  

3.350%, 04/01/30

    549,000       516,066  

Constellation Energy Generation

               

5.600%, 03/01/28

    438,000       450,413  

DTE Energy

               

3.400%, 06/15/29

    11,000       10,418  

2.950%, 03/01/30

    458,000       415,028  

Duke Energy Carolinas

               

4.950%, 01/15/33

    10,000       10,065  

Edison International

               

6.950%, 11/15/29

    376,000       407,313  

Entergy Texas

               

4.500%, 03/30/39

    569,000       527,439  

Essential Utilities

               

5.375%, 01/15/34

    331,000       335,960  

Evergy Kansas Central

               

5.900%, 11/15/33

    401,000       426,131  

MidAmerican Energy

               

5.350%, 01/15/34

    233,000       241,036  

3.650%, 04/15/29

    510,000       490,842  

Northern States Power

               

5.350%, 11/01/39

    226,000       230,658  

 

74

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

CORPORATE OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

UTILITIES — continued

Oklahoma Gas and Electric

               

5.400%, 01/15/33

  $ 316,000     $ 326,079  

Pacific Gas and Electric

               

3.250%, 06/01/31

    238,000       214,531  

Piedmont Natural Gas

               

2.500%, 03/15/31

    15,000       13,064  

PPL Electric Utilities

               

5.000%, 05/15/33

    462,000       468,145  

Public Service Electric and Gas

               

5.200%, 08/01/33

    480,000       493,135  

Puget Sound Energy

               

5.330%, 06/15/34

    156,000       159,153  

Sempra

               

3.800%, 02/01/38

    502,000       430,580  

Southern California Edison

               

2.750%, 02/01/32

    17,000       14,868  

Southern California Gas

               

5.200%, 06/01/33

    95,000       97,064  
              6,741,620  

 

               
              64,033,898  

Total Corporate Obligations

               

(Cost $77,317,076)

            77,963,785  

MORTGAGE-BACKED SECURITIES — 26.4%

                 

Agency Mortgage Backed Obligations — 26.4%

FHLMC

               

6.000%, 08/01/53

    306,748       314,526  

4.500%, 10/01/52

    867,940       834,470  

2.500%, 01/01/52

    819,199       693,111  

FHLMC Multifamily Structured Pass Through Certificates, Ser K102, Cl A1

               

2.184%, 05/25/29

    853,759       809,751  

FHLMC Multifamily Structured Pass Through Certificates, Ser K122, Cl A1

               

0.863%, 05/25/30

    871,348       783,495  

FHLMC Multifamily Structured Pass Through Certificates, Ser K126, Cl A1

               

1.319%, 10/25/30

    595,822       548,917  

 

75

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

MORTGAGE-BACKED SECURITIES — continued

 

 

Face Amount

   

Value

 

Agency Mortgage Backed Obligations — continued

FHLMC Multifamily Structured Pass Through Certificates, Ser K747, Cl AM

               

1.752%, 12/25/28(A)

  $ 2,000,000     $ 1,795,542  

FNMA

               

7.000%, 12/01/53

    498,338       516,182  

6.500%, 01/01/53

    1,226,702       1,257,292  

6.000%, 08/01/53

    1,473,314       1,493,150  

5.500%, 12/01/52

    2,782,001       2,795,259  

5.000%, 10/01/52

    2,477,120       2,437,049  

4.500%, 11/01/52

    581,997       559,613  

3.500%, 12/01/52

    2,869,815       2,602,410  

3.000%, 06/01/52

    6,262,520       5,465,347  

2.500%, 01/01/52

    6,344,531       5,445,107  

2.000%, 03/01/52

    11,240,144       9,228,632  

1.500%, 12/01/36

    888,804       775,915  

GNMA

               

5.500%, 09/20/53

    871,814       873,767  

5.000%, 07/20/53

    926,665       914,565  

4.500%, 04/20/53

    917,211       885,976  

3.500%, 05/20/52

    1,670,934       1,528,140  

2.500%, 11/20/51

    581,343       496,536  

2.000%, 04/20/52

    2,309,487       1,899,146  
                 

Total Mortgage-Backed Securities

               

(Cost $45,007,769)

            44,953,898  

U.S. TREASURY OBLIGATIONS — 24.6%

                 

U.S. Treasury Bonds

               

5.000%, 05/15/37

    108,000        

4.250%, 02/15/54

    183,000       178,739  

4.250%, 08/15/54

    183,000       178,968  

3.375%, 11/15/48

    324,000       269,009  

3.125%, 05/15/48

    1,071,000       852,324  

3.000%, 08/15/48

    1,015,000       788,687  

2.875%, 05/15/49

    2,584,000       1,952,939  

2.875%, 05/15/52

    2,047,000       1,537,089  

2.250%, 05/15/41

    2,492,000       1,861,894  

2.250%, 08/15/46

    137,000       93,791  

2.000%, 02/15/50

    118,000       73,473  

1.875%, 02/15/41

    3,073,000       2,169,226  

1.875%, 02/15/51

    2,045,000       1,226,920  

1.875%, 11/15/51

    1,694,000       1,009,121  

1.625%, 11/15/50

    3,116,000       1,752,872  

 

76

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

U.S. TREASURY OBLIGATIONS — continued

 

 

Face Amount

   

Value

 

1.375%, 11/15/40

  $ 3,082,000     $ 2,012,329  

1.375%, 08/15/50

    3,740,000       1,969,052  

1.250%, 05/15/50

    3,307,000       1,690,575  

1.125%, 05/15/40

    1,024,000       650,400  

1.125%, 08/15/40

    3,034,000       1,910,116  
              22,177,524  

 

               

U.S. Treasury Notes

               

3.250%, 06/30/29

    1,848,000       1,782,382  

3.125%, 11/15/28

    1,336,000       1,288,405  

2.750%, 05/31/29

    1,154,000       1,090,169  

1.750%, 11/15/29

    308,000       276,382  

1.625%, 08/15/29

    815,000       730,507  

1.500%, 11/30/28

    446,000       403,369  

1.375%, 12/31/28

    944,000       847,867  

1.250%, 11/30/26

    901,000       850,741  

0.875%, 06/30/26

    1,798,000       1,705,993  

0.875%, 11/15/30

    2,065,000       1,717,338  

0.750%, 03/31/26

    1,248,000       1,191,352  

0.750%, 04/30/26

    1,729,000       1,646,130  

0.750%, 05/31/26

    473,000       449,073  

0.750%, 08/31/26

    1,474,000       1,388,554  

0.625%, 07/31/26

    613,000       577,729  

0.625%, 05/15/30

    2,016,000       1,675,406  

0.625%, 08/15/30

    2,117,000       1,744,292  

0.500%, 10/31/27

    256,000       230,790  
              19,596,479  

 

               

Total U.S. Treasury Obligations

               

(Cost $42,614,176)

            41,774,003  

SOVEREIGN DEBT — 1.3%

                 

CANADA — 0.3%

Canada Government International Bond

               

3.750%, 04/26/28

    415,000       409,801  
                 

INDONESIA — 0.2%

Indonesia Government International Bond

               

4.550%, 01/11/28

    315,000       312,742  
                 

 

77

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

SOVEREIGN DEBT — continued

 

 

Face Amount

   

Value

 

MEXICO — 0.2%

Mexico Government International Bond

               

4.280%, 08/14/41

  $ 523,000     $ 404,287  
                 

PANAMA — 0.1%

Panama Government International Bond

               

4.500%, 01/19/63

    237,000       152,952  
                 

PHILIPPINES — 0.3%

Philippine Government International Bond

               

3.200%, 07/06/46

    740,000       538,926  
                 

SOUTH KOREA — 0.2%

Korea Development Bank

               

4.375%, 02/15/28

    209,000       208,519  

2.000%, 02/24/25

    200,000       198,612  
              407,131  

Total Sovereign Debt

               

(Cost $2,255,181)

            2,225,839  

MUNICIPAL BONDS — 0.5%

                 

ILLINOIS — 0.2%

State of Illinois, GO

               

6.630%, 02/01/35

    317,308       333,700  
                 

LOUISIANA — 0.2%

Louisiana Local Government Environmental Facilities & Community Development Authority, RB

               

4.475%, 08/01/39

    290,000       277,938  
                 

OHIO — 0.1%

JobsOhio Beverage System, Ser A, RB

               

2.833%, 01/01/38

    310,000       254,636  
                 

Total Municipal Bonds

               

(Cost $860,614)

            866,274  

 

78

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

U.S. GOVERNMENT AGENCY OBLIGATION — 0.3%

   

Face Amount

   

Value

 

Tennessee Valley Authority

               

3.875%, 03/15/28

  $ 439,000     $ 434,734  
                 

Total U.S. Government Agency Obligation

               

(Cost $436,102)

            434,734  

ASSET-BACKED SECURITY — 0.2%

                 

Automotive — 0.2%

Mercedes-Benz Auto Lease Trust, Ser 2024-A, Cl A4

               

5.320%, 02/15/30

    300,000       304,268  

Total Asset-Backed Security

               

(Cost $303,733)

            304,268  

SHORT-TERM INVESTMENT — 0.5%

   


Shares

         

DWS Government Money Market Series, Institutional Shares, 4.700% (B)

               

(Cost $832,076)

    832,076       832,076  

 

               

Total Investments — 99.6%

               

(Cost $169,626,727)

          $ 169,354,877  
                 

 

Percentages are based on Net Assets of $170,114,534.

(A)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates on certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(B)

The rate reported is the 7-day effective yield as of November 30, 2024.

 

Cl — Class

FHLMC — Federal Home Loan Mortgage Corporation

FNMA — Federal National Mortgage Association

GNMA — Government National Mortgage Association

GO — General Obligation

H15T1Y — US Treasury Yield Curve Rate T Note Constant Maturity 1 Year

LLLP — Limited Liability Limited Partnership

MTN — Medium Term Note

RB — Revenue Bond

REIT — Real Estate investment Trust

Ser — Series

SOFRINDX — Secured Overnight Financing Rate Index

 

79

 

SYMMETRY PANORAMIC US SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

SOFRRATE — Secured Overnight Financing Rate

TSFR3M — 3 Month CME Term Secured

 

 

SYM-QH-001-0600

 

80

 

SYMMETRY PANORAMIC MUNICIPAL FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

SCHEDULE OF INVESTMENTS

REGISTERED INVESTMENT COMPANIES — 98.8%

   

Shares

   

Value

 

MUNICIPAL BOND FUNDS — 98.8%

DFA Intermediate-Term Municipal Bond Portfolio, Cl I

    900,525     $ 9,104,303  

DFA Short-Term Municipal Bond Portfolio, Cl I (A)

    1,721,356       17,506,193  

iShares National Muni Bond ETF

    16,965       1,841,381  

iShares Short-Term National Muni Bond ETF

    38,376       4,060,564  

Vanguard Tax-Exempt Bond Index ETF

    72,696       3,711,131  

Total Registered Investment Companies

               

(Cost $36,477,628)

            36,223,572  

SHORT-TERM INVESTMENT — 1.4%

                 

DWS Government Money Market Series, Institutional Shares, 4.700% (B)

               

(Cost $503,725)

    503,725       503,725  

 

               

Total Investments — 100.2%

               

(Cost $36,981,353)

          $ 36,727,297  

 

Percentages are based on Net Assets of $36,654,278.

 

(A)

Represents greater than 25% of the Fund’s total investments. For further financial information, please go to the Fund’s website https://www.dimensional.com/us-en/funds.

(B)

The rate reported is the 7-day effective yield as of November 30, 2024.

 

Cl — Class

ETF — Exchange-Traded Fund

 


SYM-QH-001-0600

 

81

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
SCHEDULE OF INVESTMENTS
CORPORATE OBLIGATIONS — 50.3%
   Face Amount   Value 
AUSTRALIA — 2.5%
BHP Billiton Finance MTN          
1.500%, 04/29/30  $292,000   $285,702 
Brambles Finance          
1.500%, 10/04/27   626,000    642,383 
CSL Finance          
4.250%, 04/27/32   681,000    656,034 
Dyno Nobel Finance MTN          
3.950%, 08/03/27   200,000    193,749 
FMG Resources August 2006 Pty          
4.500%, 09/15/27   384,000    373,796 
Goodman US Finance Three          
3.700%, 03/15/28   663,000    635,496 
Macquarie Group          
5.491%, SOFRRATE + 2.865%, 11/09/33(A)   128,000    130,333 
1.340%, SOFRRATE + 1.069%, 01/12/27(A)   535,000    513,848 
Mineral Resources MTN          
9.250%, 10/01/28   283,000    296,421 
8.000%, 11/01/27   1,148,000    1,170,081 
Origin Energy Finance MTN          
1.000%, 09/17/29   509,000    487,367 
Perenti Finance Pty          
7.500%, 04/26/29   738,000    770,078 
Rio Tinto Finance USA          
5.000%, 03/09/33   349,000    356,546 
Santos Finance MTN          
5.250%, 03/13/29   648,000    645,124 
South32 Treasury          
4.350%, 04/14/32   21,000    19,572 
         7,176,530 
           
AUSTRIA — 0.5%
BAWAG PSK Bank fuer Arbeit und Wirtschaft und Oesterreichische Postsparkasse MTN          
1.750%, 03/08/30   300,000    304,496 
Erste Group Bank MTN          
0.875%, 11/15/32(A)   200,000    197,185 

 

82

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
    

Face Amount

    

Value

 
Raiffeisen Bank International MTN          
0.050%, 09/01/27  $700,000   $685,221 
         1,186,902 
           
BELGIUM — 0.6%
KBC Group          
5.796%, H15T1Y + 2.100%, 01/19/29(A)   432,000    442,637 
Telenet Finance Luxembourg Notes Sarl          
5.500%, 03/01/28   1,200,000    1,162,500 
         1,605,137 
           
CANADA — 2.7%
Air Canada          
3.875%, 08/15/26   809,000    789,253 
Air Canada 2020-1 Class C Pass Through Trust          
10.500%, 07/15/26   16,000    17,120 
Bank of Nova Scotia          
0.010%, 01/14/27   882,000    887,371 
Canadian National Railway          
5.850%, 11/01/33   551,000    592,351 
Canadian Natural Resources          
3.850%, 06/01/27   377,000    369,240 
2.950%, 07/15/30   352,000    317,122 
Cascades          
5.125%, 01/15/26   820,000    814,551 
Cenovus Energy          
2.650%, 01/15/32   50,000    42,525 
Constellation Software          
5.461%, 02/16/34   203,000    207,671 
Enerflex          
9.000%, 10/15/27   1,300,000    1,356,943 
Fairfax Financial Holdings          
2.750%, 03/29/28   514,000    538,725 
Suncor Energy          
7.150%, 02/01/32   532,000    592,600 
Toronto-Dominion Bank MTN          
1.707%, 07/28/25   842,000    885,711 
         7,411,183 

 

83

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
   Face Amount   Value 
CHILE — 0.1%
Empresa de los Ferrocarriles del Estado          
3.830%, 09/14/61  $237,000   $158,788 
           
           
CHINA — 0.5%
China Construction Bank          
2.850%, H15T5Y + 1.400%, 01/21/32(A)   893,000    858,492 
Industrial & Commercial Bank of China MTN          
1.625%, 10/28/26   600,000    567,789 
         1,426,281 
           
CZECHIA — 0.1%
Ceska sporitelna MTN          
5.943%, EUR003M + 2.400%, 06/29/27(A)   300,000    331,185 
           
           
DENMARK — 0.6%
H Lundbeck MTN          
0.875%, 10/14/27   529,000    529,022 
Pandora MTN          
4.500%, 04/10/28   563,000    622,435 
Sydbank MTN          
5.125%, EUSA1 + 1.850%, 09/06/28(A)   482,000    537,216 
         1,688,673 
           
FINLAND — 0.2%
Nokia          
4.375%, 06/12/27   619,000    607,401 
           
           
FRANCE — 1.4%
Arkea Home Loans SFH MTN          
3.000%, 03/30/27   700,000    749,988 
Electricite de France          
5.700%, 05/23/28   864,000    885,414 
La Banque Postale MTN          
4.000%, 05/03/28   1,400,000    1,532,161 

 

84

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
    

Face Amount

    

Value

 
La Banque Postale Home Loan SFH MTN          
3.000%, 01/31/31  $300,000   $323,647 
MMS USA Holdings MTN          
1.750%, 06/13/31   200,000    197,267 
         3,688,477 
           
GERMANY — 4.8%
Aareal Bank MTN          
0.050%, 09/02/26   500,000    500,981 
Berlin Hyp MTN          
1.750%, 05/10/32   49,000    49,083 
1.250%, 08/25/25   47,000    49,238 
0.010%, 01/27/31   689,000    626,153 
Commerzbank MTN          
3.375%, 12/12/25   312,000    333,522 
Deutsche Bahn Finance GMBH MTN          
1.125%, 05/29/51   1,128,000    759,278 
Deutsche Bank MTN          
1.875%, EUR003M + 1.380%, 02/23/28(A)   700,000    721,395 
0.010%, 10/02/29   226,000    212,204 
Deutsche Kreditbank          
3.000%, 01/31/35   200,000    217,738 
Deutsche Pfandbriefbank MTN          
0.010%, 08/25/26   300,000    303,580 
Fresenius Medical Care US Finance III          
1.875%, 12/01/26   663,000    622,003 
Hella GmbH & KGaA          
0.500%, 01/26/27   659,000    660,018 
Kreditanstalt fuer Wiederaufbau MTN          
5.125%, 09/29/25   1,101,000    1,106,760 
2.500%, 11/19/25   2,067,000    2,192,528 
Landwirtschaftliche Rentenbank MTN          
0.100%, 03/08/27   541,000    546,045 
0.050%, 01/31/31   1,131,000    1,036,081 
Muenchener Hypothekenbank eG MTN          
2.750%, 09/24/25   816,000    864,541 
NRW Bank          
2.875%, 04/05/33   15,000    16,207 
1.625%, 08/03/32   1,766,000    1,752,179 

 

85

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
   Face Amount   Value 
Wintershall Dea Finance BV          
1.332%, 09/25/28  $300,000   $294,970 
         12,864,504 
           
GREECE — 0.6%
Danaos          
8.500%, 03/01/28   1,026,000    1,048,604 
National Bank of Greece MTN          
4.500%, EUR006M + 1.812%, 01/29/29(A)   502,000    552,550 
         1,601,154 
           
ITALY — 1.2%
Banco BPM MTN          
3.750%, 06/27/28   200,000    218,946 
BPER Banca SPA MTN          
4.250%, EUR003M + 1.600%, 02/20/30(A)   473,000    522,757 
Enel Finance International          
5.000%, 06/15/32   657,000    653,061 
ERG MTN          
0.500%, 09/11/27   672,000    665,450 
Intesa Sanpaolo MTN          
4.000%, 09/23/29   709,000    674,775 
         2,734,989 
           
JAPAN — 0.6%
Aozora Bank          
5.900%, 09/08/26   540,000    543,079 
JT International Financial Services BV MTN          
3.875%, 09/28/28   699,000    676,576 
Renesas Electronics          
2.170%, 11/25/26   286,000    270,695 
         1,490,350 
           
LUXEMBOURG — 0.2%
ArcelorMittal          
4.250%, 07/16/29   508,000    498,058 

 

86

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
   Face Amount   Value 
MEXICO — 0.1%
Infraestructura Energetica Nova SAPI          
4.750%, 01/15/51  $394,000   $292,252 
           
           
NETHERLANDS — 0.9%
IMCD          
4.875%, 09/18/28   403,000    450,422 
Koninklijke KPN MTN          
0.875%, 11/15/33   100,000    87,011 
Sandoz Finance BV          
4.220%, 04/17/30   523,000    584,748 
TenneT Holding BV MTN          
0.875%, 06/16/35   954,000    812,025 
Wolters Kluwer          
3.000%, 09/23/26   550,000    585,677 
         2,519,883 
           
NORWAY — 0.7%
Aker BP          
5.600%, 06/13/28   488,000    498,580 
1.125%, 05/12/29   116,000    112,593 
DNB Bank          
1.535%, H15T1Y + 0.720%, 05/25/27(A)   588,000    559,868 
SpareBank 1 Sor-Norge MTN          
4.875%, 08/24/28   201,000    226,233 
Var Energi          
7.500%, 01/15/28   606,000    644,687 
         2,041,961 
           
PANAMA — 0.1%
AES Panama Generation Holdings SRL          
4.375%, 05/31/30   201,712    179,171 

 

87

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
   Face Amount   Value 
QATAR — 0.1%
QatarEnergy          
3.300%, 07/12/51  $200,000   $142,203 
           
           
SAUDI ARABIA — 0.1%
Gaci First Investment          
5.375%, 10/13/22   202,000    174,730 
           
           
SPAIN — 0.5%
CaixaBank          
5.673%, SOFRINDX + 1.780%, 03/15/30(A)   660,000    671,505 
Unicaja Banco MTN          
5.125%, EUSA1 + 2.150%, 02/21/29(A)   500,000    560,016 
         1,231,521 
           
SUPRANATIONAL — 4.3%
African Development Bank          
4.625%, 01/04/27   866,000    873,343 
Asian Development Bank MTN          
4.250%, 01/09/26   888,000    886,237 
3.125%, 08/20/27   250,000    243,220 
Council of Europe Development Bank MTN          
3.125%, 09/13/28   1,548,000    1,689,438 
European Investment Bank          
4.500%, 10/16/28   484,000    489,716 
0.750%, 10/26/26   728,000    681,878 
0.375%, 09/15/27   2,106,000    2,122,270 
Inter-American Development Bank MTN          
4.500%, 05/15/26   1,060,000    1,062,509 
3.500%, 09/14/29   16,000    15,549 
International Bank for Reconstruction & Development          
3.500%, 07/12/28   1,098,000    1,073,632 
3.100%, 04/14/38   975,000    1,057,727 
International Finance MTN          
4.375%, 01/15/27   865,000    867,148 

 

88

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
   Face Amount   Value 
Nordic Investment Bank        
5.000%, 10/15/25  $835,000   $838,100 
         11,900,767 
           
SWEDEN — 0.8%
Epiroc MTN          
3.625%, 02/28/31   489,000    532,790 
Molnlycke Holding MTN          
4.250%, 09/08/28   184,000    202,741 
0.875%, 09/05/29   491,000    470,805 
Tele2 MTN          
3.750%, 11/22/29   535,000    580,448 
Telefonaktiebolaget LM Ericsson MTN          
1.125%, 02/08/27   593,000    605,493 
         2,392,277 
           
SWITZERLAND — 0.9%
Holcim Finance Luxembourg MTN          
0.500%, 11/29/26   201,000    204,155 
0.125%, 07/19/27   490,000    486,373 
Lonza Finance International          
3.875%, 05/25/33   427,000    473,575 
UBS Group          
7.750%, EUAMDB01 + 4.950%, 03/01/29(A)   816,000    988,483 
UBS Switzerland MTN          
3.390%, 12/05/25   100,000    106,802 
         2,259,388 
           
UNITED ARAB EMIRATES — 0.2%
Abu Dhabi National Energy PJSC          
4.696%, 04/24/33   637,000    626,733 
           
           
UNITED KINGDOM — 4.8%
3i Group          
4.875%, 06/14/29   524,000    590,058 
AA Bond MTN          
8.450%, 01/31/28   555,000    748,336 

 

89

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
   Face Amount   Value 
Babcock International Group MTN          
1.375%, 09/13/27  $262,000   $265,071 
Barclays MTN          
2.885%, EUAMDB01 + 1.680%, 01/31/27(A)   830,000    879,486 
BAT International Finance          
5.931%, 02/02/29   31,000    32,239 
1.668%, 03/25/26   723,000    694,316 
Compass Group Finance Netherlands BV MTN          
1.500%, 09/05/28   625,000    636,307 
Harbour Energy          
5.500%, 10/15/26   254,000    252,867 
HSBC Holdings          
6.254%, SOFRRATE + 2.390%, 03/09/34(A)   514,000    546,207 
4.762%, SOFRRATE + 2.530%, 03/29/33(A)   464,000    443,887 
Imperial Brands Finance          
6.125%, 07/27/27   434,000    446,847 
3.875%, 07/26/29   247,000    235,338 
Informa MTN          
1.250%, 04/22/28   511,000    513,060 
InterContinental Hotels Group MTN          
2.125%, 05/15/27   625,000    652,787 
ITV          
1.375%, 09/26/26   636,000    657,913 
Lloyds Banking Group          
4.976%, H15T1Y + 2.300%, 08/11/33(A)   483,000    475,594 
4.500%, EUSA1 + 1.600%, 01/11/29(A)   157,000    174,062 
National Grid          
5.602%, 06/12/28   669,000    687,242 
Nationwide Building Society MTN          
3.960%, US0003M + 1.855%, 07/18/30(A)   583,000    556,383 
2.250%, 05/16/37   799,000    793,316 
NatWest Group          
5.808%, H15T1Y + 1.950%, 09/13/29(A)   619,000    636,315 
RELX Capital          
3.000%, 05/22/30   744,000    684,500 
Rolls-Royce MTN          
1.625%, 05/09/28   388,000    392,722 

 

90

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
   Face Amount   Value 
SSE MTN          
4.000%, 09/05/31  $100,000   $111,925 
Standard Chartered          
0.800%, 11/17/29(A)   688,000    666,937 
         12,773,715 
           
UNITED STATES — 20.2%
COMMUNICATION SERVICES — 2.0%
AT&T          
2.050%, 05/19/32   438,000    432,859 
Belo          
7.750%, 06/01/27   387,000    402,955 
Charter Communications Operating          
5.050%, 03/30/29   676,000    669,838 
Cogent Communications Group          
3.500%, 05/01/26   834,000    808,654 
Fox          
6.500%, 10/13/33   285,000    305,867 
3.500%, 04/08/30   338,000    317,746 
Meta Platforms          
4.600%, 05/15/28   281,000    283,398 
Netflix          
6.375%, 05/15/29   10,000    10,709 
4.875%, 04/15/28   571,000    576,822 
Omnicom Group          
4.200%, 06/01/30   494,000    480,882 
2.450%, 04/30/30   191,000    169,547 
TEGNA          
5.000%, 09/15/29   781,000    738,135 
4.625%, 03/15/28   68,000    64,641 
         5,262,053 
           
CONSUMER DISCRETIONARY — 3.0%
Adtalem Global Education          
5.500%, 03/01/28   1,521,000    1,494,878 
Bath & Body Works          
6.694%, 01/15/27   790,000    807,979 
Block Financial          
3.875%, 08/15/30   165,000    153,838 
2.500%, 07/15/28   530,000    485,340 

 

91

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
   Face Amount   Value 
CONSUMER DISCRETIONARY — continued
Choice Hotels International          
3.700%, 01/15/31  $595,000   $543,959 
Dick's Sporting Goods          
3.150%, 01/15/32   20,000    17,724 
Lennar          
5.250%, 06/01/26   148,000    148,835 
Meritage Homes          
5.125%, 06/06/27   526,000    528,159 
NVR          
3.000%, 05/15/30   734,000    667,541 
Patrick Industries          
4.750%, 05/01/29   53,000    50,569 
PulteGroup          
6.375%, 05/15/33   556,000    600,771 
PVH          
3.125%, 12/15/27   563,000    596,521 
Shea Homes          
4.750%, 02/15/28   1,216,000    1,181,254 
Travel + Leisure          
6.625%, 07/31/26   775,000    784,161 
         8,061,529 
           
CONSUMER STAPLES — 0.7%
Philip Morris International          
4.875%, 02/13/26   351,000    352,156 
2.875%, 05/14/29   374,000    396,213 
Pilgrim's Pride          
4.250%, 04/15/31   644,000    600,703 
Smithfield Foods          
4.250%, 02/01/27   678,000    664,177 
         2,013,249 
           
ENERGY — 1.9%
Apache          
4.375%, 10/15/28   302,000    292,586 
California Resources          
8.250%, 06/15/29   10,000    10,263 
Civitas Resources          
5.000%, 10/15/26   816,000    803,950 

 

92

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
   Face Amount   Value 
ENERGY — continued
Coterra Energy          
5.600%, 03/15/34  $192,000   $194,881 
Expand Energy          
4.750%, 02/01/32   586,000    557,663 
Helix Energy Solutions Group          
9.750%, 03/01/29   1,342,000    1,450,133 
Helmerich & Payne          
2.900%, 09/29/31   687,000    587,114 
Marathon Oil          
4.400%, 07/15/27   58,000    57,753 
New Fortress Energy          
6.500%, 09/30/26   800,000    746,395 
Ovintiv          
5.650%, 05/15/28   428,000    436,572 
         5,137,310 
           
FINANCIALS — 4.1%
Apollo Management Holdings          
4.872%, 02/15/29   129,000    128,927 
Arch Capital Group          
7.350%, 05/01/34   12,000    13,899 
Athene Global Funding MTN          
0.832%, 01/08/27   464,000    471,021 
Bank of America MTN          
3.648%, 03/31/29(A)   150,000    163,296 
Barings BDC          
3.300%, 11/23/26   461,000    440,637 
BGC Group          
8.000%, 05/25/28   286,000    306,294 
Brown & Brown          
5.650%, 06/11/34   112,000    115,295 
CBRE Services          
5.950%, 08/15/34   197,000    207,715 
Chubb INA Holdings          
0.875%, 06/15/27   413,000    418,119 
Citizens Financial Group          
3.250%, 04/30/30   757,000    694,220 
Discover Bank          
4.650%, 09/13/28   620,000    613,725 

 

93

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
   Face Amount   Value 
FINANCIALS — continued
Enact Holdings          
6.250%, 05/28/29  $557,000   $571,194 
F&G Global Funding          
2.300%, 04/11/27   12,000    11,254 
2.000%, 09/20/28   722,000    637,143 
First American Financial          
4.000%, 05/15/30   412,000    388,089 
Global Atlantic Finance          
4.400%, 10/15/29   117,000    112,111 
Hercules Capital          
3.375%, 01/20/27   35,000    33,370 
2.625%, 09/16/26   594,000    564,696 
M&T Bank          
7.413%, SOFRRATE + 2.800%, 10/30/29(A)   90,000    97,093 
5.053%, SOFRRATE + 1.850%, 01/27/34(A)   410,000    398,471 
Main Street Capital          
3.000%, 07/14/26   561,000    538,771 
MGIC Investment          
5.250%, 08/15/28   629,000    623,061 
NMI Holdings          
6.000%, 08/15/29   337,000    341,713 
Reliance Standard Life Global Funding II          
2.750%, 01/21/27   645,000    610,997 
SLM          
3.125%, 11/02/26   800,000    761,411 
Starwood Property Trust          
3.625%, 07/15/26   800,000    772,124 
Synchrony Financial          
5.150%, 03/19/29   558,000    553,608 
Synovus Bank          
5.625%, 02/15/28   420,000    422,750 
         11,011,004 
           
HEALTH CARE — 1.3%
Agilent Technologies          
2.750%, 09/15/29   721,000    659,818 
Centene          
4.625%, 12/15/29   415,000    397,894 

 

94

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
   Face Amount   Value 
HEALTH CARE — continued
3.000%, 10/15/30  $11,000   $9,592 
2.625%, 08/01/31   218,000    182,194 
McKesson          
5.100%, 07/15/33   187,000    190,554 
Regeneron Pharmaceuticals          
1.750%, 09/15/30   803,000    675,307 
Stryker          
3.650%, 03/07/28   714,000    695,614 
Universal Health Services          
4.625%, 10/15/29   566,000    551,582 
         3,362,555 
           
INDUSTRIALS — 2.5%
Acuity Brands Lighting          
2.150%, 12/15/30   627,000    541,295 
Booz Allen Hamilton          
5.950%, 08/04/33   601,000    624,593 
3.875%, 09/01/28   15,000    14,359 
Cintas No. 2          
3.700%, 04/01/27   281,000    275,925 
CoreCivic          
4.750%, 10/15/27   1,282,000    1,243,810 
EnerSys          
4.375%, 12/15/27   742,000    708,461 
Flowserve          
2.800%, 01/15/32   420,000    360,188 
Jacobs Engineering Group          
6.350%, 08/18/28   616,000    645,465 
Nordson          
5.600%, 09/15/28   561,000    579,316 
Quanta Services          
5.250%, 08/09/34   60,000    60,031 
Steelcase          
5.125%, 01/18/29   1,533,000    1,490,494 
Wabtec Transportation Netherlands BV          
1.250%, 12/03/27   306,000    308,754 
         6,852,691 
           

 

95

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
   Face Amount   Value 
INFORMATION TECHNOLOGY — 0.9%
Amphenol          
4.750%, 03/30/26  $628,000   $628,424 
Gartner          
4.500%, 07/01/28   554,000    540,822 
Skyworks Solutions          
3.000%, 06/01/31   591,000    514,444 
VeriSign          
2.700%, 06/15/31   627,000    542,197 
Xerox Holdings          
5.000%, 08/15/25   269,000    266,801 
         2,492,688 
           
MATERIALS — 0.7%
AptarGroup          
3.600%, 03/15/32   452,000    411,705 
Novelis          
3.250%, 11/15/26   851,000    818,729 
Packaging Corp of America          
5.700%, 12/01/33   58,000    60,703 
Westlake          
1.625%, 07/17/29   594,000    590,808 
         1,881,945 
           
REAL ESTATE — 1.7%
Agree          
2.600%, 06/15/33   124,000    102,072 
Broadstone Net Lease          
2.600%, 09/15/31   543,000    456,064 
EPR Properties          
4.950%, 04/15/28   550,000    542,651 
Essential Properties          
2.950%, 07/15/31   10,000    8,620 
Forestar Group          
3.850%, 05/15/26   835,000    816,696 
Highwoods Realty          
3.875%, 03/01/27   602,000    585,807 
National Health Investors          
3.000%, 02/01/31   80,000    68,909 

 

96

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
CORPORATE OBLIGATIONS — continued
   Face Amount   Value 
REAL ESTATE — continued
RLJ Lodging Trust          
4.000%, 09/15/29  $605,000   $552,319 
3.750%, 07/01/26   800,000    778,543 
Vornado Realty          
2.150%, 06/01/26   800,000    762,140 
         4,673,821 
           
UTILITIES — 1.4%
Alliant Energy Finance          
3.600%, 03/01/32   143,000    129,181 
Black Hills          
5.950%, 03/15/28   620,000    644,101 
Duke Energy          
3.100%, 06/15/28   153,000    162,898 
Essential Utilities          
5.375%, 01/15/34   482,000    489,223 
NRG Energy          
2.450%, 12/02/27   592,000    549,646 
Oncor Electric Delivery          
3.500%, 05/15/31   341,000    370,462 
PPL Electric Utilities          
5.000%, 05/15/33   107,000    108,423 
Vistra Operations          
4.300%, 07/15/29   432,000    417,395 
3.700%, 01/30/27   267,000    260,502 
Xcel Energy          
5.450%, 08/15/33   631,000    641,794 
         3,773,625 
           
         54,522,470 
Total Corporate Obligations          
(Cost $135,793,559)        135,526,683 
SOVEREIGN DEBT — 23.7%
           
AUSTRIA — 0.1%
Republic of Austria Government Bond          
0.250%, 10/20/36   526,000    421,417 
           

 

97

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
SOVEREIGN DEBT — continued
   Face Amount   Value 
BELGIUM — 1.1%
Kingdom of Belgium Government Bond          
2.750%, 04/22/39  $2,833,000   $2,935,897 
           
CANADA — 2.9%
Canada Housing Trust No. 1          
4.150%, 06/15/33   16,000    12,070 
1.600%, 12/15/31   3,585,000    2,291,770 
         2,303,840 
Canadian Government Bond          
1.750%, 12/01/53   226,000    119,677 
           
Province of British Columbia Canada          
4.800%, 11/15/28   802,000    815,730 
           
Province of Ontario Canada          
3.600%, 03/08/28   1,225,000    888,025 
3.100%, 05/19/27   938,000    911,893 
2.550%, 12/02/52   1,922,000    1,048,185 
         2,848,103 
Province of Quebec Canada          
4.400%, 12/01/55   1,349,000    1,034,304 
3.625%, 04/13/28   917,000    898,045 
         1,932,349 
CHILE — 0.4%
Chile Government International Bond          
1.250%, 01/22/51   457,000    278,400 
0.100%, 01/26/27   907,000    900,790 
         1,179,190 
FRANCE — 4.4%
Action Logement Services MTN          
0.375%, 10/05/31   1,500,000    1,339,556 
           
French Republic Government Bond OAT          
1.250%, 05/25/38   5,000    4,217 

0.000%, 05/25/32(1)

   11,989,000    10,400,744 
         10,404,961 

 

98

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
SOVEREIGN DEBT — continued
   Face Amount   Value 
GERMANY — 1.7%
Bundesrepublik Deutschland Bundesanleihe          
1.000%, 05/15/38  $1,943,775   $1,755,337 

0.000%, 08/15/52(1)

   7,000    3,960 
         1,759,297 
Bundesschatzanweisungen          
2.900%, 06/18/26   1,730,268    1,854,998 
           
State of North Rhine-Westphalia Germany MTN          
3.400%, 03/07/73   72,000    87,326 
2.900%, 01/15/53   965,000    993,199 
         1,080,525 
HONG KONG — 0.1%
Hong Kong Government International Bond MTN          
1.375%, 02/02/31   200,000    168,848 
           
HUNGARY — 0.1%
Hungary Government International Bond          
5.250%, 06/16/29   200,000    198,072 
           
INDONESIA — 0.1%
Indonesia Government International Bond          
4.550%, 01/11/28   200,000    198,567 
           
ISRAEL — 0.2%
Israel Government International Bond MTN          
6.500%, 11/06/31   212,000    224,459 
5.000%, 10/30/26   340,000    369,488 
         593,947 
ITALY — 1.4%
Italy Buoni Poliennali Del Tesoro          
3.850%, 07/01/34   2,467,000    2,751,345 
2.150%, 03/01/72   1,395,000    978,365 
         3,729,710 

 

99

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
SOVEREIGN DEBT — continued
   Face Amount   Value 
JAPAN — 4.6%
Japan Bank for International Cooperation          
3.875%, 09/16/25  $240,000   $238,425 
           
Japan Government Forty Year Bond          
1.300%, 03/20/63   374,200,000    1,761,359 
           
Japan Government Ten Year Bond          
0.600%, 12/20/33   56,650,000    366,833 
0.400%, 06/20/33   11,600,000    74,278 
         441,111 
Japan Government Thirty Year Bond          
1.200%, 06/20/53   491,650,000    2,578,095 
           
Japan Government Twenty Year Bond          
0.500%, 03/20/41   1,173,800,000    6,588,970 
0.400%, 06/20/41   107,350,000    589,007 
         7,177,977 
MEXICO — 0.1%
Mexico Government International Bond          
5.400%, 02/09/28   207,000    207,298 
           
NETHERLANDS — 0.4%
Netherlands Government Bond          
2.000%, 01/15/54   672,000    644,193 
0.500%, 07/15/32   496,000    462,353 
         1,106,546 
PERU — 0.1%
Peruvian Government International Bond          
3.230%, 07/28/21   337,000    191,097 
           
ROMANIA — 0.1%
Romanian Government International Bond          
3.625%, 03/27/32   206,000    172,793 
           

 

100

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
SOVEREIGN DEBT — continued
   Face Amount   Value 
SAUDI ARABIA — 0.2%
Saudi Government International Bond MTN          
4.750%, 01/18/28  $430,000   $430,058 
           
SOUTH KOREA — 0.2%
Korea Development Bank          
4.000%, 09/08/25   639,000    634,934 
           
SPAIN — 1.7%
Spain Government Bond          
1.900%, 10/31/52   245,000    190,878 
1.450%, 10/31/71   1,000    583 
0.800%, 07/30/29   4,399,000    4,338,260 
         4,529,721 
SUPRANATIONAL — 1.8%
European Financial Stability Facility          
2.750%, 08/17/26   1,255,000    1,338,321 
           
European Union MTN          
2.750%, 10/05/26   2,767,000    2,958,126 
0.700%, 07/06/51   1,056,000    656,660 
         3,614,786 
UNITED KINGDOM — 2.0%
United Kingdom Gilt          
1.125%, 01/31/39   7,656,105    5,530,525 
         5,530,525 
Total Sovereign Debt          
(Cost $65,189,570)        63,837,730 
U.S. TREASURY OBLIGATIONS — 12.7%
           
U.S. Treasury Bonds          
1.875%, 11/15/51   1,357,800    808,846 
1.750%, 08/15/41   22,308,400    15,233,326 
         16,042,172 
           
U.S. Treasury Notes          
3.375%, 05/15/33   6,288,000    5,930,370 
2.625%, 07/31/29   7,947,900    7,453,640 

 

101

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
U.S. TREASURY OBLIGATIONS — continued
   Face Amount   Value 
1.375%, 11/15/31  $5,742,700   $4,789,322 
         18,173,332 
           
Total U.S. Treasury Obligations          
(Cost $34,080,359)        34,215,504 
MORTGAGE-BACKED SECURITIES — 12.0%
           
Agency Mortgage Backed Obligations — 12.0%
FHLMC          
6.000%, 08/01/53   350,570    359,458 
2.500%, 01/01/52   1,146,879    970,355 
FHLMC Multifamily Structured Pass Through Certificates, Ser K102, Cl A1          
2.184%, 05/25/29   426,879    404,875 
FHLMC Multifamily Structured Pass Through Certificates, Ser K122, Cl A1          
0.863%, 05/25/30   609,944    548,447 
FHLMC Multifamily Structured Pass Through Certificates, Ser K126, Cl A1          
1.319%, 10/25/30   297,911    274,458 
FHLMC Multifamily Structured Pass Through Certificates, Ser K747, Cl AM          
1.752%, 12/25/28(A)   1,500,000    1,346,657 
FNMA          
7.000%, 12/01/53   321,508    333,021 
6.500%, 01/01/53   792,029    811,780 
6.000%, 08/01/53   949,978    962,768 
5.500%, 12/01/52   1,644,215    1,650,932 
5.000%, 10/01/52   1,610,434    1,584,378 
3.500%, 12/01/52   1,849,436    1,677,109 
3.000%, 06/01/52   5,337,141    4,657,460 
2.500%, 01/01/52   3,781,049    3,248,700 
2.000%, 03/01/52   9,635,870    7,869,748 
1.500%, 12/01/36   1,086,050    893,303 
GNMA          
5.500%, 09/20/53   1,220,539    1,223,273 
5.000%, 07/20/53   1,297,331    1,280,392 
3.500%, 05/20/52   1,077,752    985,651 
2.000%, 04/20/52   1,503,659    1,236,494 
           
Total Mortgage-Backed Securities          
(Cost $32,386,924)        32,319,259 

 

102

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 
SHORT-TERM INVESTMENT — 1.6%
   Shares   Value 
DWS Government Money Market Series, Institutional Shares, 4.700% (B)          
(Cost $4,255,177)   4,255,177   $4,255,177 
           
Total Investments — 100.3%          
(Cost $271,705,589)       $270,154,353 
           

 

 

A list of the open centrally cleared swap contracts held by the Fund at November 30, 2024, is as follows:

 

Interest Rate Swap
Fund Pays 

Fund Receives

Payment Frequency Termination Date

Currency

Notional Amount

   

Value

   

Upfront Payments/ Receipts

   

Net Unrealized
Appreciation
(Depreciation)

 
IW 2 CNY-CURVE FLOAT 

0.0165% FIXED

Quarterly 03/19/2030

CNY

173,500,000  $73,697  $  $73,697 

 

A list of the open forward foreign currency contracts held by the Fund at November 30, 2024, is as follows:

 

Counterparty

 

Settlement
Date

   

Currency to Deliver

   

Currency to Receive

 

Unrealized Appreciation
(Depreciation)

 

Barclays PLC

    12/04/24       EUR       794,107       USD       862,536   $ 21,979  

BNP Paribas

    12/04/24       USD       1,060,718       EUR       1,004,674   $ 2,724  

BNP Paribas

    12/04/24       CAD       7,572,861       USD       5,453,979   $ 44,485  

BNP Paribas

    01/03/25       GBP       5,066,171       USD       6,414,906   $ (42,209 )

Goldman Sachs

    01/06/25       JPY       1,843,033,749       USD       12,234,763   $ (148,691 )

HSBC

    12/04/24       GBP       5,066,171       USD       6,579,667   $ 122,337  

HSBC

    12/04/24       EUR       74,500,454       USD       81,089,051   $ 2,230,711  

HSBC

    01/03/25       EUR       74,289,886       USD       78,361,789   $ (381,186 )

HSBC

    12/04/24       JPY       1,843,033,749       USD       12,112,893   $ (211,212 )

Morgan Stanley

    01/03/25       EUR       403,788       USD       423,884   $ (4,108 )

RBC

    01/03/25       CAD       7,572,861       USD       5,389,967   $ (26,124 )
                                                  $ 1,608,706  

 

Percentages are based on Net Assets of $269,266,692.

 

103

 

SYMMETRY PANORAMIC GLOBAL SYSTEMATIC FIXED INCOME FUND
NOVEMBER 30, 2024 (Unaudited)

 

(1)

No Interest Rate Available.

(A)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates on certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(B)

The rate reported is the 7-day effective yield as of November 30, 2024.

 

Cl — Class

EUR003M — 3 Month EUR Swap Rate

EUR006M — 6 Month EUR Swap Rate

EUSA1 — EUR Swap Annual 10 Yr

FHLMC — Federal Home Loan Mortgage Corporation

FNMA — Federal National Mortgage Association

GNMA — Government National Mortgage Association

H15T1Y — 1 Year US Treasury Yield Curve Constant Maturity Rate

MTN — Medium Term Note

PJSC — Public Joint-Stock Company

Ser — Series

SOFRINDX — Secured Overnight Financing Rate Index

SOFRRATE — Secured Overnight Financing Rate

US0003M — 3 Month USD Swap Rate

 

 

SYM-QH-001-0600

 

104

 

SYMMETRY PANORAMIC ALTERNATIVES FUND
NOVEMBER 30, 2024 (Unaudited)

 

SCHEDULE OF INVESTMENTS

REGISTERED INVESTMENT COMPANIES — 95.0%

   

Shares

   

Value

 

EQUITY FUNDS — 95.0%

AQR Alternative Risk Premia Fund, Cl R6

    28,269     $ 323,398  

AQR Diversified Arbitrage Fund, Cl R6 (A)

    251,706       3,070,814  

AQR Managed Futures Strategy Fund, Cl R6

    186,903       1,605,493  

AQR Style Premia Alternative Fund, Cl R6

    159,049       1,286,704  

Total Registered Investment Companies

               

(Cost $5,693,298)

            6,286,409  

SHORT-TERM INVESTMENT — 4.9%

                 

DWS Government Money Market Series, Institutional Shares, 4.700% (B)

               

(Cost $322,592)

    322,592       322,592  

 

               

Total Investments — 99.9%

               

(Cost $6,015,890)

          $ 6,609,001  
                 

 

Percentages are based on Net Assets of $6,617,573.

 

(A)

Represents greater than 25% of the Fund’s total investments. For further financial information, please go to the Fund’s website https://funds.aqr.com/funds/aqr-diversified-arbitrage-fund.

(B)

The rate reported is the 7-day effective yield as of November 30, 2024.

 

Cl — Class

 

 

SYM-QH-001-0600

 

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