NXG Cushing Midstream Energy Fund
 
SCHEDULE OF INVESTMENTS (Unaudited)
 
   
   
August 31, 2024
 
           
         
Fair
 
Common Stock - 88.7%
 
Shares
   
Value
 
Canadian Midstream - 3.0%
           
Keyera Corp(3)
   
126,000
   
$
3,774,437
 
Pembina Pipeline Corporation(3)
   
3,435
     
138,378
 
             
3,912,815
 
Cryptocurrency Miners - 1.6%
               
Cleanspark, Inc.(2)
   
200,500
     
2,143,345
 
                 
Exploration & Production - 5.4%
               
Viper Energy Inc
   
134,000
     
6,378,400
 
Vital Energy Inc(2)
   
16,000
     
574,240
 
             
6,952,640
 
General Partnerships - 4.4%
               
Enlink Midstream LLC(1)
   
396,000
     
5,686,560
 
                 
Integrated Oil - 3.2%
               
Cenovus Energy Inc.(3)
   
220,000
     
4,078,800
 
                 
Large Cap Diversified C Corps - 31.9%
               
Cheniere Energy, Inc.
   
57,000
     
10,559,820
 
Kinder Morgan, Inc.(1)
   
395,000
     
8,520,150
 
ONEOK, Inc.(1)
   
66,000
     
6,095,760
 
Pembina Pipeline Corporation(1)(3)
   
107,565
     
4,332,718
 
TC Energy Corp(3)
   
140,000
     
6,487,600
 
Williams Companies, Inc.(1)
   
112,000
     
5,126,240
 
             
41,122,288
 
Natural Gas Gatherers & Processors - 19.4%
               
Antero Midstream Corporation
   
140,000
     
2,081,800
 
DT Midstream, Inc.
   
97,000
     
7,623,230
 
Kinetik Holdings, Inc.
   
90,000
     
3,981,600
 
Targa Resources Corporation(1)
   
77,300
     
11,355,370
 
             
25,042,000
 
Natural Gas Transportation & Storage - 0.5%
               
Excelerate Energy Inc
   
35,000
     
638,050
 
                 
Oilfield Services - 0.3%
               
Valaris Ltd(2)(3)
   
6,000
     
366,360
 
                 
Refiners - 5.1%
               
Marathon Petroleum Corporation(1)
   
16,000
     
2,833,920
 
Phillips 66
   
26,500
     
3,718,215
 
             
6,552,135
 
Solar Equipment - 3.0%
               
First Solar Inc(2)
   
13,000
     
2,955,810
 
NEXTracker Inc(2)
   
22,000
     
894,740
 
             
3,850,550
 
Utilities - 7.3%
               
American Electric Power Co Inc
   
12,000
     
1,203,360
 
Duke Energy Corp
   
15,000
     
1,709,250
 
NextEra Energy Inc
   
24,000
     
1,932,240
 
Southern Co/The
   
21,000
     
1,814,400
 
Vistra Corporation
   
32,000
     
2,733,760
 
             
9,393,010
 
Water & Waste - 0.2%
               
Aris Water Solutions Inc
   
16,000
     
269,120
 
                 
YieldCo - 3.4%
               
Atlantica Sustainable Infrastructure(3)
   
115,000
     
2,508,150
 
Clearway Energy, Inc.(1)
   
66,000
     
1,911,360
 
             
4,419,510
 
Total Common Stocks (Cost $99,400,753)
         
$
114,427,183
 
                 
MLP Investments and Related Companies - 36.7%
 
Units
         
Coal - 1.8%
               
Alliance Resource Partners LP
   
100,000
   
$
2,392,000
 
                 
Crude Oil & Refined Products - 1.6%
               
Genesis Energy L.P.
   
150,000
     
2,079,000
 
                 
Large Cap Diversified C Corps - 6.0%
               
Plains GP Holdings, L.P.(1)
   
400,000
     
7,680,000
 
                 
Large Cap MLP - 16.6%
               
Energy Transfer, L.P.(1)
   
610,000
     
9,821,000
 
Enterprise Products Partners L.P.
   
158,000
     
4,635,720
 
MPLX, L.P.(1)
   
161,000
     
6,903,680
 
             
21,360,400
 
Natural Gas Gatherers & Processors - 8.5%
               
Hess Midstream, L.P.(1)
   
150,000
     
5,602,500
 
Western Midstream Partners, L.P.(1)
   
140,000
     
5,401,200
 
             
11,003,700
 
Upstream MLPs - 2.2%
               
TXO Energy Partners, L.P.
   
142,000
     
2,840,000
 
                 
Total MLP Investments and Related Companies (Cost $38,437,221)
         
$
47,355,100
 
                 
Preferred Stock - 2.0%
               
Crude Oil & Refined Products - 0.4%
               
NGL Energy Partners, L.P.(1)(2)
   
20,313
   
$
490,431
 
                 
Utilities - 1.9%
               
NextEra Energy Capital Holdings, Inc.(1)
   
81,000
     
2,001,510
 
                 
Total Preferred Stock (Cost $2,549,836)
         
$
2,491,941
 
                 
Short-Term Investments - Investment Companies - 1.8%
 
Shares
         
First American Government Obligations Fund - Class X, 5.22%(4)
   
1,130,708
   
$
1,130,708
 
First American Treasury Obligations Fund - Class X, 5.18%(4)
   
1,130,708
     
1,130,708
 
Total Short-Term Investments - Investment Companies (Cost $2,261,416)
         
$
2,261,416
 
                 
Total Investments - 129.2% (Cost $142,649,226)
         
$
166,535,640
 
Written Options (5) - 0.0% (Premiums Received $48,385)
           
48,385
 
Liabiliities in Excess of Other Assets - (29.2)%
           
(37,593,398
)
Net Assets Applicable to Common Stockholders - 100.0%
         
$
128,942,242
 

(1)
All or a portion of these securities are held as collateral pursuant to the loan agreements.
(2)
No distribution or dividend was made during the period ended August 31, 2024. As such, it is classified as a non-income producing security as of August 31, 2024.
(3)
Foreign issued security. Foreign concentration is as follows: Canada 14.59%, United Kingdom 1.95%, Bermuda 0.28%.
(4)
Rate reported is the current yield as of August 31, 2024.
(5)
Description
 
Exercise
Price
 
Expiration
Date
Currency
 
Number of
Contracts
   
Premiums
Received
   
Fair
Value
   
Unrealized
Appreciation
(Depreciation)
 
 
Cleanspark, Inc., Call Option
 
$
11.00
 
9/6/2024
USD
   
1,000
   
$
27,102
   
$
27,102
     
-
 
 
First Solar Inc, Call Option
 
$
237.50
 
9/6/2024
USD
   
100
   
$
13,034
   
$
13,034
     
-
 
 
Vistra Corp, Call Option
 
$
89.00
 
9/6/2024
USD
   
200
   
$
8,248
   
$
8,248
     
-
 
                         
$
48,385
   
$
48,385
   
$
-
 

Fair Value Measurements

Various inputs that are used in determining the fair value of the Fund’s investments are summarized in the three broad levels listed below:

Level 1 — quoted prices in active markets for identical securities
Level 2 — other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.)
Level 3 — significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments)
 
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
 
These inputs are summarized in the three broad levels listed below.

         
Fair Value Measurements at Reporting Date Using
       
         
Quoted Prices in
         
Significant
 
         
Active Markets for
   
Significant Other
   
Unobservable
 
   
Fair Value at
   
Identical Assets
   
Observable Inputs
   
Inputs
 
Description
 
August 31, 2024
   
(Level 1)
   
(Level 2)
   
(Level 3)
 
Assets
Equity Securities
                       
Common Stock (a)
 
$
114,427,184
   
$
114,427,184
   
$
-
   
$
-
 
Master Limited Partnerships and Related Companies (a)
   
47,355,100
     
47,355,100
     
-
     
-
 
Preferred Stock (a)
   
2,491,941
     
2,491,941
     
-
         
Total Equity Securities
   
164,274,225
     
164,274,225
     
-
     
-
 
Other
      Short Term Investments (a)
   
2,261,416
     
2,261,416
     
-
     
-
 
Total Other
   
2,261,416
     
2,261,416
     
-
     
-
 
Total Assets
 
$
166,535,641
   
$
166,535,641
   
$
-
   
$
-
 

(a)
All other industry classifications are identified in the Schedule of Investments.  The Fund did not hold Level 3 investments at any time during the period ended August 31, 2024.

Transfers into and out of each level are measured at fair value at the end of the period.  There were no transfers between any levels during the period ended August 31, 2024.
 

 

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